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
2u IncCOMMON STOCK90214J1011,31944,841SH DFND 44,84144,8410
3m CoCOMMON STOCK88579Y1011,3687,811SH DFND 7,8117,8110
58.com Inc-adrCOMMON STOCK31680Q10454411,854SH DFND 11,85411,8540
Aaon IncorporatedCOMMON STOCK00036020633612,224SH DFND 12,22412,2240
AAR CorporationCOMMON STOCK00036110548520,771SH DFND 20,77120,7710
Aaron's IncCOMMON STOCK0025353001,24356,786SH DFND 56,78656,7860
Abbott LaboratoriesCOMMON STOCK0028241001,03426,300SH DFND 26,30026,3000
Abercrombie & Fitch Company- Cl ACOMMON STOCK00289620737421,000SH DFND 21,00021,0000
ABM Industries IncorporatedCOMMON STOCK00095710059316,257SH DFND 16,25716,2570
Acadia Realty TrustCOMMON STOCK00423910945012,667SH DFND 12,66712,6670
Acceleron Pharma IncCOMMON STOCK00434H10848014,140SH DFND 14,14014,1400
Accenture Plc - CL ACOMMON STOCKG1151C1013743,300SH DFND 3,3003,3000
Acco Brands CorpCOMMON STOCK00081T10889186,277SH DFND 86,27786,2770
Accuray IncCOMMON STOCK00439710516632,005SH DFND 32,00532,0050
Accuride CorpCOMMON STOCK00439T2063024,539SH DFND 24,53924,5390
Achillion PharmaceuticalsCOMMON STOCK00448Q20115519,846SH DFND 19,84619,8460
Acorda Therapeutics IncCOMMON STOCK00484M10634513,546SH DFND 13,54613,5460
Activision Blizzard IncCOMMON STOCK00507V10971418,023SH DFND 18,02318,0230
Acuity Brands IncCOMMON STOCK00508Y1022481,000SH DFND 1,0001,0000
Adeptus Health Inc-class ACOMMON STOCK00685510052910,249SH DFND 10,24910,2490
Adobe Systems IncorporatedCOMMON STOCK00724F1015946,200SH DFND 6,2006,2000
ADTRAN IncorporatedCOMMON STOCK00738A10629315,700SH DFND 15,70015,7000
Advance Auto Parts Inc.COMMON STOCK00751Y1061,0676,602SH DFND 6,6026,6020
Advanced Energy Industries IncorporatedCOMMON STOCK0079731002055,400SH DFND 5,4005,4000
Advanced Micro Devices IncorporatedCOMMON STOCK00790310732262,556SH DFND 62,55662,5560
Aegerion Pharmaceuticals IncCOMMON STOCK00767E10213993,100SH DFND 93,10093,1000
Aerohive Networks IncCOMMON STOCK00778610622834,408SH DFND 34,40834,4080
Aetna Inc.COMMON STOCK00817Y1082692,200SH DFND 2,2002,2000
Affiliated Managers Group IncorporatedCOMMON STOCK0082521081,2028,542SH DFND 8,5428,5420
AFLAC IncorporatedCOMMON STOCK0010551024115,700SH DFND 5,7005,7000
Agilent Technologies Inc.COMMON STOCK00846U1014149,330SH DFND 9,3309,3300
AGL Resources IncorporatedCOMMON STOCK0012041064687,100SH DFND 7,1007,1000
Air Lease CorpCOMMON STOCK00912X30284431,500SH DFND 31,50031,5000
Air Methods CorporationCOMMON STOCK00912830771820,027SH DFND 20,02720,0270
Air Products and Chemicals IncorporatedCOMMON STOCK0091581062231,568SH DFND 1,5681,5680
Aircastle LtdCOMMON STOCKG0129K10420310,378SH DFND 10,37810,3780
Ak Steel Holding CorpCOMMON STOCK001547108934200,486SH DFND 200,486200,4860
Akamai TechnologiesCOMMON STOCK00971T1012,32341,543SH DFND 41,54341,5430
Akorn IncorporatedCOMMON STOCK00972810687630,765SH DFND 30,76530,7650
Alarm.com Holdings IncCOMMON STOCK01164210531012,100SH DFND 12,10012,1000
Alaska Airgroup IncorporatedCOMMON STOCK0116591092,54743,702SH DFND 43,70243,7020
Albany Molecular ResearchCOMMON STOCK01242310916812,500SH DFND 12,50012,5000
Albemarle CorpCOMMON STOCK01265310187511,030SH DFND 11,03011,0300
Albemarle CorpCOMMON STOCK01265310199912,600SHPutDFND 12,60012,6000
Albemarle CorpCOMMON STOCK01265310190411,400SHCallDFND 11,40011,4000
Alcoa IncorporatedCOMMON STOCK0138171011,313141,612SH DFND 141,612141,6120
Alexandria Real Estate Equities IncCOMMON STOCK0152711092082,012SH DFND 2,0122,0120
Alexion Pharmaceuticals IncorporatedCOMMON STOCK0153511091,55613,329SH DFND 13,32913,3290
Align Technology IncCOMMON STOCK0162551014635,745SH DFND 5,7455,7450
Allegiant Travel CoCOMMON STOCK01748X1022161,423SH DFND 1,4231,4230
Allegion PlcCOMMON STOCKG0176J1092854,100SH DFND 4,1004,1000
Allergan plcCOMMON STOCKG0177J1088,07534,942SH DFND 34,94234,9420
AlleteCOMMON STOCK0185223005258,122SH DFND 8,1228,1220
ALLIANCE DATA SYS CORPCOMMON STOCK0185811084932,516SH DFND 2,5162,5160
Allied World Assurance Co Holdings AGCOMMON STOCKH0153110445913,051SH DFND 13,05113,0510
Allison Transmission HoldingCOMMON STOCK01973R10163122,364SH DFND 22,36422,3640
Allscripts Healthcare Solutions IncCOMMON STOCK01988P10846936,902SH DFND 36,90236,9020
Allstate CorporationCOMMON STOCK0200021011,94727,838SH DFND 27,83827,8380
Ally Financial IncCOMMON STOCK02005N10018410,800SH DFND 10,80010,8000
Alon USA Energy IncCOMMON STOCK02052010220030,900SH DFND 30,90030,9000
Alphabet Inc.COMMON STOCK02079K3051,6952,409SH DFND 2,4092,4090
Altisource Portfolio SolutionsCOMMON STOCKL0175J10456020,111SH DFND 20,11120,1110
Altria Group IncCOMMON STOCK02209S1032213,200SH DFND 3,2003,2000
Altria Group IncCOMMON STOCK02209S1035247,600SHPutDFND 7,6007,6000
Altria Group IncCOMMON STOCK02209S1034346,300SHCallDFND 6,3006,3000
AMAG Pharmaceuticals IncCOMMON STOCK00163U1068,982375,500SH DFND 375,500375,5000
Amazon.Com IncorporatedCOMMON STOCK0231351062,6793,744SH DFND 3,7443,7440
Amazon.Com IncorporatedCOMMON STOCK0231351062,3613,300SHPutDFND 3,3003,3000
Amazon.Com IncorporatedCOMMON STOCK0231351064,3646,100SHCallDFND 6,1006,1000
Amc Entertainment Hlds-cl ACOMMON STOCK00165C10438113,816SH DFND 13,81613,8160
Amc Networks Inc - ACOMMON STOCK00164V1032,17235,941SH DFND 35,94135,9410
American Airlines Group IncCOMMON STOCK02376R1022418,500SH DFND 8,5008,5000
American Campus Communities IncCOMMON STOCK0248351002234,218SH DFND 4,2184,2180
American Capital LtdCOMMON STOCK02503Y10349331,145SH DFND 31,14531,1450
American Eagle OutfittersCOMMON STOCK02553E10648130,200SH DFND 30,20030,2000
American Electric PowerCOMMON STOCK02553710193913,400SHCallDFND 13,40013,4000
American Equity Investment Life Holding CoCOMMON STOCK02567620616111,317SH DFND 11,31711,3170
American International Group Inc.COMMON STOCK0268747842,92655,326SH DFND 55,32655,3260
American Public EducationCOMMON STOCK02913V10359721,245SH DFND 21,24521,2450
American Water Works Co IncCOMMON STOCK0304201032282,700SH DFND 2,7002,7000
American Water Works Co IncCOMMON STOCK0304201032032,400SHPutDFND 2,4002,4000
American Water Works Co IncCOMMON STOCK0304201035166,100SHCallDFND 6,1006,1000
American Woodmark CorporationCOMMON STOCK0305061094146,233SH DFND 6,2336,2330
Ameriprise Financial Inc.COMMON STOCK03076C1064204,677SH DFND 4,6774,6770
Amerisafe IncCOMMON STOCK03071H10062910,280SH DFND 10,28010,2800
AmerisourceBergen CorporationCOMMON STOCK03073E1053,81948,153SH DFND 48,15348,1530
AMETEK IncorporatedCOMMON STOCK03110010052111,275SH DFND 11,27511,2750
Amgen IncorporatedCOMMON STOCK0311621008635,669SH DFND 5,6695,6690
Amicus Therapeutics IncCOMMON STOCK03152W10939872,981SH DFND 72,98172,9810
Amkor Technology IncorporatedCOMMON STOCK03165210023641,032SH DFND 41,03241,0320
AMN Healthcare Services Inc.COMMON STOCK00174410143610,911SH DFND 10,91110,9110
Amphenol Corporation - CL ACOMMON STOCK0320951012524,400SH DFND 4,4004,4000
Amsurg CorpCOMMON STOCK03232P4054575,900SH DFND 5,9005,9000
Amtrust Financial ServicesCOMMON STOCK03235930985935,064SH DFND 35,06435,0640
Anadarko Petroleum CorporationCOMMON STOCK03251110776114,291SH DFND 14,29114,2910
Anadarko Petroleum CorporationCOMMON STOCK03251110792117,300SHPutDFND 17,30017,3000
Anadarko Petroleum CorporationCOMMON STOCK0325111073045,700SHCallDFND 5,7005,7000
Antero Resources CorpCOMMON STOCK03674X1062,46494,854SH DFND 94,85494,8540
Anthem IncCOMMON STOCK0367521032,00315,254SH DFND 15,25415,2540
Anworth Mortgage Asset CorpCOMMON STOCK03734710110021,180SH DFND 21,18021,1800
Apogee Enterprises IncorporatedCOMMON STOCK03759810993020,056SH DFND 20,05620,0560
Apple IncCOMMON STOCK0378331002,74028,657SH DFND 28,65728,6570
Applied Genetic TechnologiesCOMMON STOCK03820J10015811,161SH DFND 11,16111,1610
Applied Materials IncorporatedCOMMON STOCK03822210553722,400SH DFND 22,40022,4000
Applied Optoelectronics IncCOMMON STOCK03823U10212511,200SH DFND 11,20011,2000
AramarkCOMMON STOCK03852U10616,762501,557SH DFND 501,557501,5570
ARC Document Solutions IncCOMMON STOCK00191G10311429,234SH DFND 29,23429,2340
Archer-Daniels-Midland CompanyCOMMON STOCK03948310297022,615SH DFND 22,61522,6150
Archer-Daniels-Midland CompanyCOMMON STOCK0394831022145,000SHPutDFND 5,0005,0000
Archer-Daniels-Midland CompanyCOMMON STOCK0394831021,01223,600SHCallDFND 23,60023,6000
Archrock IncCOMMON STOCK03957W10624225,743SH DFND 25,74325,7430
Arena Pharmaceuticals IncCOMMON STOCK0400471024526,203SH DFND 26,20326,2030
Ares Capital CorpCOMMON STOCK04010L1032,275160,235SH DFND 160,235160,2350
Ares Commercial Real EstateCOMMON STOCK04013V10813510,985SH DFND 10,98510,9850
Argan IncCOMMON STOCK04010E1093488,346SH DFND 8,3468,3460
Argo Group International HoldiCOMMON STOCKG0464B1071,42927,539SH DFND 27,53927,5390
Ariad PharmaceuticalsCOMMON STOCK04033A10015821,400SH DFND 21,40021,4000
Arista Networks IncCOMMON STOCK0404131064547,052SH DFND 7,0527,0520
Armstrong World IndustriesCOMMON STOCK04247X1024,072104,000SH DFND 104,000104,0000
Arrow Electronics IncorporatedCOMMON STOCK0427351003165,100SH DFND 5,1005,1000
Ashland IncorporatedCOMMON STOCK0442091041,67414,588SH DFND 14,58814,5880
Aspen Insurance Holdings IncCOMMON STOCKG0538410566114,252SH DFND 14,25214,2520
Aspen Technology IncorporatedCOMMON STOCK0453271032,13653,070SH DFND 53,07053,0700
Assurant IncCOMMON STOCK04621X1082763,200SH DFND 3,2003,2000
Assured Guaranty LtdCOMMON STOCKG0585R10627710,900SH DFND 10,90010,9000
AT&T IncCOMMON STOCK00206R1023548,195SH DFND 8,1958,1950
AT&T IncCOMMON STOCK00206R1023417,900SHPutDFND 7,9007,9000
AT&T IncCOMMON STOCK00206R1021,13226,200SHCallDFND 26,20026,2000
Athenahealth IncCOMMON STOCK04685W1036995,067SH DFND 5,0675,0670
Atlantic Power CorpCOMMON STOCK04878Q86320683,164SH DFND 83,16483,1640
Atlas Air Worldwide HoldingsCOMMON STOCK0491642052034,900SH DFND 4,9004,9000
Atwood Oceanics IncorporatedCOMMON STOCK05009510820916,700SH DFND 16,70016,7000
Automatic Data Processing IncorporatedCOMMON STOCK0530151037,02776,488SH DFND 76,48876,4880
Aveo Pharmaceuticals IncCOMMON STOCK0535881098183,869SH DFND 83,86983,8690
Avery Dennison CorporationCOMMON STOCK0536111096959,300SH DFND 9,3009,3000
Avg TechnologiesCOMMON STOCKN0783110520810,931SH DFND 10,93110,9310
Avista Corp.COMMON STOCK05379B1073678,196SH DFND 8,1968,1960
Axalta Coating Systems LtdCOMMON STOCKG0750C1081,15243,425SH DFND 43,42543,4250
Axcelis TechnologiesCOMMON STOCK05454020812145,098SH DFND 45,09845,0980
Axiall CorpCOMMON STOCK05463D1002,91989,515SH DFND 89,51589,5150
Axis Capital HoldingsCOMMON STOCKG0692U1092644,800SH DFND 4,8004,8000
B&G Foods Inc - Class ACOMMON STOCK05508R10691118,899SH DFND 18,89918,8990
B/E Aerospace IncCOMMON STOCK0733021018,146176,410SH DFND 176,410176,4100
Babcock & Wilcox EnterprCOMMON STOCK05614L10048933,272SH DFND 33,27233,2720
Baidu Inc - Spon AdrCOMMON STOCK0567521081,4088,526SH DFND 8,5268,5260
Baidu Inc - Spon AdrCOMMON STOCK0567521083,65022,100SHPutDFND 22,10022,1000
Baidu Inc - Spon AdrCOMMON STOCK0567521082,92217,700SHCallDFND 17,70017,7000
Baker Hughes IncorporatedCOMMON STOCK0572241073908,646SH DFND 8,6468,6460
Ball CorporationCOMMON STOCK05849810673710,200SHCallDFND 10,20010,2000
Banc of California IncCOMMON STOCK05990K1061,02356,500SH DFND 56,50056,5000
Bancorpsouth IncorporatedCOMMON STOCK05969210347921,103SH DFND 21,10321,1030
Bank of America CorporationCOMMON STOCK06050510416212,200SHPutDFND 12,20012,2000
Bank of America CorporationCOMMON STOCK0605051041,814136,700SHCallDFND 136,700136,7000
Bank of New York Mellon CorpCOMMON STOCK0640581003779,700SH DFND 9,7009,7000
Bank of the Ozarks IncCOMMON STOCK0639041061,00626,816SH DFND 26,81626,8160
Bankrate IncCOMMON STOCK06647F1021,192159,379SH DFND 159,379159,3790
Bankunited IncCOMMON STOCK06652K10366021,500SH DFND 21,50021,5000
Bard (C.R.) IncorporatedCOMMON STOCK0673831092591,100SH DFND 1,1001,1000
Barnes Group IncorporatedCOMMON STOCK06780610949915,069SH DFND 15,06915,0690
Barrick Gold CorporationCOMMON STOCK06790110825211,800SHPutDFND 11,80011,8000
Barrick Gold CorporationCOMMON STOCK0679011081,01447,500SHCallDFND 47,50047,5000
Baxter International IncorporatedCOMMON STOCK0718131091,24227,459SH DFND 27,45927,4590
Bazaarvoice IncCOMMON STOCK0732711085112,629SH DFND 12,62912,6290
Beacon Roofing Supply IncCOMMON STOCK0736851091,05523,205SH DFND 23,20523,2050
Becton Dickinson & CompanyCOMMON STOCK0758871095433,201SH DFND 3,2013,2010
Bed Bath & Beyond IncorporatedCOMMON STOCK0758961002425,604SH DFND 5,6045,6040
Belden IncCOMMON STOCK0774541062113,497SH DFND 3,4973,4970
Beneficial Bancorp IncCOMMON STOCK08171T10294774,469SH DFND 74,46974,4690
Berkshire Hills Bancorp IncCOMMON STOCK0846801072218,211SH DFND 8,2118,2110
Berry Plastics Group IncCOMMON STOCK08579W1032065,300SH DFND 5,3005,3000
Best Buy IncorporatedCOMMON STOCK0865161011,19739,127SH DFND 39,12739,1270
Big Lots Inc.COMMON STOCK08930210358811,737SH DFND 11,73711,7370
Bill Barrett CorpCOMMON STOCK06846N1048313,044SH DFND 13,04413,0440
Biocryst Pharmaceuticals Inc.COMMON STOCK09058V1034716,687SH DFND 16,68716,6870
Biogen IncCOMMON STOCK09062X1034,38318,123SH DFND 18,12318,1230
BioScrip IncCOMMON STOCK09069N108631247,500SH DFND 247,500247,5000
Bio-Techne CorpCOMMON STOCK09073M1048687,700SH DFND 7,7007,7000
BioTelemetry IncCOMMON STOCK09067210623714,570SH DFND 14,57014,5700
BJ's Restaurants IncCOMMON STOCK09180C10680518,368SH DFND 18,36818,3680
Black Knight Financial-cl ACOMMON STOCK09214X10068018,082SH DFND 18,08218,0820
Blackrock IncCOMMON STOCK09247X1012,7408,000SHPutDFND 8,0008,0000
Blackrock IncCOMMON STOCK09247X1012,3646,900SHCallDFND 6,9006,9000
Blackstone Mortgage Trust Inc - Class ACOMMON STOCK09257W1002097,559SH DFND 7,5597,5590
Block H & R IncorporatedCOMMON STOCK09367110569730,304SH DFND 30,30430,3040
Bloomin' Brands IncCOMMON STOCK0942351081,51984,976SH DFND 84,97684,9760
Blue Bird CorpCOMMON STOCK09530610619616,491SH DFND 16,49116,4910
Blue Buffalo Pet Products InCOMMON STOCK09531U10283535,779SH DFND 35,77935,7790
Bluebird Bio IncCOMMON STOCK09609G10043710,098SH DFND 10,09810,0980
Bob Evans Farms IncCOMMON STOCK09676110149813,117SH DFND 13,11713,1170
Boeing CompanyCOMMON STOCK0970231051,70113,098SH DFND 13,09813,0980
Boot Barn Holdings IncCOMMON STOCK09940610010311,999SH DFND 11,99911,9990
Booz Allen Hamilton HoldingCOMMON STOCK09950210648816,479SH DFND 16,47916,4790
Boston Private Financial Holdings IncCOMMON STOCK10111910525421,564SH DFND 21,56421,5640
Boston Scientific CorporationCOMMON STOCK10113710779433,994SH DFND 33,99433,9940
Bottomline Technologies IncorporatedCOMMON STOCK10138810628113,072SH DFND 13,07213,0720
Box Inc - Class ACOMMON STOCK10316T10414514,000SH DFND 14,00014,0000
Boyd Gaming CorporationCOMMON STOCK10330410133918,421SH DFND 18,42118,4210
Brady Corporation (CL A)COMMON STOCK10467410690129,472SH DFND 29,47229,4720
Brandywine Realty TrustCOMMON STOCK10536820337822,520SH DFND 22,52022,5200
Bravo Brio Restaurant GroupCOMMON STOCK10567B10914117,185SH DFND 17,18517,1850
Briggs & Stratton CorporationCOMMON STOCK10904310996645,612SH DFND 45,61245,6120
BrightcoveCOMMON STOCK10921T10111112,603SH DFND 12,60312,6030
Brinker International IncorporatedCOMMON STOCK1096411002776,090SH DFND 6,0906,0900
Bristol Myers Squibb CompanyCOMMON STOCK1101221081,01513,800SH DFND 13,80013,8000
Bristow Group IncCOMMON STOCK11039410318115,900SH DFND 15,90015,9000
Brixmor Property Group IncCOMMON STOCK11120U1051,09041,178SH DFND 41,17841,1780
Broadcom LtdCOMMON STOCKY098271094753,058SH DFND 3,0583,0580
Broadridge Financial SolCOMMON STOCK11133T1032153,300SH DFND 3,3003,3000
Broadsoft IncCOMMON STOCK11133B40975118,292SH DFND 18,29218,2920
Brookline Bancorp IncCOMMON STOCK11373M10742538,500SH DFND 38,50038,5000
Bruker CorpCOMMON STOCK11679410863027,700SH DFND 27,70027,7000
Brunswick CorporationCOMMON STOCK1170431092184,800SH DFND 4,8004,8000
BUFFALO WILD WINGS INCCOMMON STOCK1198481096724,836SH DFND 4,8364,8360
Build-A-Bear Workshop IncCOMMON STOCK12007610420415,231SH DFND 15,23115,2310
Builders FirstSource IncCOMMON STOCK12008R1073,151280,071SH DFND 280,071280,0710
Bunge LtdCOMMON STOCKG169621051,38723,447SH DFND 23,44723,4470
Bunge LtdCOMMON STOCKG169621054978,400SHPutDFND 8,4008,4000
Burlington Stores IncCOMMON STOCK12201710685012,742SH DFND 12,74212,7420
C&J Energy Services LtdCOMMON STOCKG3164Q101183304,400SH DFND 304,400304,4000
CA IncCOMMON STOCK12673P1051,45644,342SH DFND 44,34244,3420
Cable One IncCOMMON STOCK12685J1056401,252SH DFND 1,2521,2520
Cabot CorporationCOMMON STOCK12705510146010,069SH DFND 10,06910,0690
Cabot Oil & Gas Corporation-CL ACOMMON STOCK1270971032349,090SH DFND 9,0909,0900
Cadence Design Systems IncorporatedCOMMON STOCK1273871082078,500SH DFND 8,5008,5000
Caesars Entertainment Corp.COMMON STOCK12768610317122,200SH DFND 22,20022,2000
Cai International IncCOMMON STOCK12477X1068711,596SH DFND 11,59611,5960
Caladrius Biosciences IncCOMMON STOCK1280582031627,424SH DFND 27,42427,4240
CalAmp CorpCOMMON STOCK12812610923515,900SH DFND 15,90015,9000
Caleres IncCOMMON STOCK1295001042359,691SH DFND 9,6919,6910
Calgon Carbon CorporationCOMMON STOCK12960310640630,900SH DFND 30,90030,9000
Callon Petroleum CorpCOMMON STOCK13123X1021,279113,899SH DFND 113,899113,8990
Cal-Maine Foods IncCOMMON STOCK1280302022936,602SH DFND 6,6026,6020
Cambrex CorporationCOMMON STOCK1320111073717,164SH DFND 7,1647,1640
Campbell Soup CompanyCOMMON STOCK1344291092734,100SH DFND 4,1004,1000
Canadian Pacific Railway LtdCOMMON STOCK13645T1005,28040,996SH DFND 40,99640,9960
Canadian Pacific Railway LtdCOMMON STOCK13645T1002,47319,200SHPutDFND 19,20019,2000
Canadian Pacific Railway LtdCOMMON STOCK13645T1001,0438,100SHCallDFND 8,1008,1000
Cantel Medical CorpCOMMON STOCK1380981084406,400SH DFND 6,4006,4000
Capella Education CoCOMMON STOCK13959410556810,795SH DFND 10,79510,7950
Capital One Financial CorporationCOMMON STOCK14040H1052,77543,695SH DFND 43,69543,6950
Capital One Financial CorporationCOMMON STOCK14040H1051,84229,000SHPutDFND 29,00029,0000
Capital One Financial CorporationCOMMON STOCK14040H10592714,600SHCallDFND 14,60014,6000
Capital Southwest CorporationCOMMON STOCK14050110714010,252SH DFND 10,25210,2520
Cara Therapeutics IncCOMMON STOCK14075510921544,763SH DFND 44,76344,7630
Cardinal Health IncorporatedCOMMON STOCK14149Y1081,86123,853SH DFND 23,85323,8530
Care Capital Properties IncCOMMON STOCK1416241062,15182,068SH DFND 82,06882,0680
Career Education CorporationCOMMON STOCK14166510914123,643SH DFND 23,64323,6430
CareTrust Reit IncCOMMON STOCK14174T10729721,530SH DFND 21,53021,5300
Carlisle Companies IncorporatedCOMMON STOCK1423391001,05710,004SH DFND 10,00410,0040
Carnival CorporationCOMMON STOCK1436583002,86364,778SH DFND 64,77864,7780
Carriage Services Inc - CL ACOMMON STOCK14390510728211,907SH DFND 11,90711,9070
Carter's IncCOMMON STOCK1462291095154,841SH DFND 4,8414,8410
Casella Waste Systems Inc-ACOMMON STOCK14744810413517,235SH DFND 17,23517,2350
Casey's General Stores IncorporatedCOMMON STOCK1475281035654,300SH DFND 4,3004,3000
Cash America International IncorporatedCOMMON STOCK14754D1003417,991SH DFND 7,9917,9910
Castle Brands IncCOMMON STOCK1484351005270,500SH DFND 70,50070,5000
Catalent IncCOMMON STOCK14880610250722,064SH DFND 22,06422,0640
Catchmark Timber Trust Inc-aCOMMON STOCK14912Y20217614,416SH DFND 14,41614,4160
Caterpillar IncorporatedCOMMON STOCK14912310111,003145,142SH DFND 145,142145,1420
Cathay General BancorpCOMMON STOCK14915010459521,100SH DFND 21,10021,1000
Cavium IncCOMMON STOCK14964U1082356,100SH DFND 6,1006,1000
CBL & Associates Properties IncorporatedCOMMON STOCK12483010016217,451SH DFND 17,45117,4510
CBS Corp Class BCOMMON STOCK1248572022,81851,763SH DFND 51,76351,7630
Cdk Global IncCOMMON STOCK12508E1011,46726,444SH DFND 26,44426,4440
Cdw Corp/deCOMMON STOCK12514G10840110,000SH DFND 10,00010,0000
CEB IncCOMMON STOCK1251341062073,354SH DFND 3,3543,3540
Cedar Realty Trust IncCOMMON STOCK15060220920227,222SH DFND 27,22227,2220
Celanese CorpCOMMON STOCK1508701032,77442,388SH DFND 42,38842,3880
Celldex Therapeutics IncCOMMON STOCK15117B1036615,137SH DFND 15,13715,1370
Centene CorpCOMMON STOCK15135B1011,80625,300SHPutDFND 25,30025,3000
Centene CorpCOMMON STOCK15135B1016429,000SHCallDFND 9,0009,0000
Centerpoint Energy Inc.COMMON STOCK15189T10781633,994SH DFND 33,99433,9940
Centerpoint Energy Inc.COMMON STOCK15189T10753522,300SHCallDFND 22,30022,3000
Central Garden & Pet Company - ACOMMON STOCK15352720523610,852SH DFND 10,85210,8520
Central Pacific Financial CorpCOMMON STOCK15476040927011,460SH DFND 11,46011,4600
CenturyLink IncCOMMON STOCK1567001061,76160,717SH DFND 60,71760,7170
CEPHEIDCOMMON STOCK15670R10738612,568SH DFND 12,56812,5680
Cerner CorporationCOMMON STOCK1567821041,26621,608SH DFND 21,60821,6080
CF Industries Holdings IncCOMMON STOCK12526910090037,332SH DFND 37,33237,3320
Charles River LaboratoriesCOMMON STOCK15986410713,424162,837SH DFND 162,837162,8370
Cheesecake Factory IncorporatedCOMMON STOCK1630721012896,000SH DFND 6,0006,0000
Chemical Financial CorporationCOMMON STOCK1637311021,11129,787SH DFND 29,78729,7870
Chemtura CorpCOMMON STOCK1638932091,10942,058SH DFND 42,05842,0580
Chesapeake Lodging TrustCOMMON STOCK16524010273431,575SH DFND 31,57531,5750
Chesapeake Utilities CorporationCOMMON STOCK1653031084837,300SH DFND 7,3007,3000
Chevron CorporationCOMMON STOCK1667641004404,200SH DFND 4,2004,2000
Chicago Bridge & Iron - NY SHRCOMMON STOCK16725010991426,405SH DFND 26,40526,4050
Children's Place Inc/TheCOMMON STOCK1689051076908,600SH DFND 8,6008,6000
Chimerix IncCOMMON STOCK16934W10611930,253SH DFND 30,25330,2530
Chipotle Mexican GrillCOMMON STOCK1696561051,7724,400SHPutDFND 4,4004,4000
Chipotle Mexican GrillCOMMON STOCK1696561052,5786,400SHCallDFND 6,4006,4000
Church & Dwight Company IncCOMMON STOCK1713401023,45933,620SH DFND 33,62033,6200
Churchill Downs IncorporatedCOMMON STOCK1714841086074,800SH DFND 4,8004,8000
Ciber Inc.COMMON STOCK17163B1022516,463SH DFND 16,46316,4630
Ciena CorporationCOMMON STOCK17177930966635,500SH DFND 35,50035,5000
Cigna CorpCOMMON STOCK1255091094993,900SH DFND 3,9003,9000
Cimarex Energy CoCOMMON STOCK1717981015995,018SH DFND 5,0185,0180
Cimpress NVCOMMON STOCKN201461011,06911,560SH DFND 11,56011,5600
Cinemark Holdings IncCOMMON STOCK17243V10254614,983SH DFND 14,98314,9830
Cintas CorporationCOMMON STOCK1729081054884,975SH DFND 4,9754,9750
Cisco Systems IncorporatedCOMMON STOCK17275R10260821,200SH DFND 21,20021,2000
Citigroup IncorporatedCOMMON STOCK17296742492721,858SH DFND 21,85821,8580
Citigroup IncorporatedCOMMON STOCK1729674241,03024,300SHPutDFND 24,30024,3000
Citigroup IncorporatedCOMMON STOCK1729674241,15327,200SHCallDFND 27,20027,2000
Citizens Financial GroupCOMMON STOCK1746101051,08454,247SH DFND 54,24754,2470
Citrix SystemsCOMMON STOCK1773761002,69933,698SH DFND 33,69833,6980
Citrix SystemsCOMMON STOCK1773761003444,300SHPutDFND 4,3004,3000
Citrix SystemsCOMMON STOCK1773761004085,100SHCallDFND 5,1005,1000
Civeo CorpCOMMON STOCK17878Y108318176,794SH DFND 176,794176,7940
Clean Energy Fuels CorpCOMMON STOCK18449910110831,173SH DFND 31,17331,1730
Clear Channel Outdoor Holdings Inc. Class ACOMMON STOCK18451C10913922,321SH DFND 22,32122,3210
Clearwater Paper Corp.COMMON STOCK18538R1031,16217,779SH DFND 17,77917,7790
CME Group IncCOMMON STOCK12572Q10511,692120,041SH OTR 120,04190,04130,000
Coach IncorporatedCOMMON STOCK1897541042857,000SH DFND 7,0007,0000
Cobalt International EnergyCOMMON STOCK19075F106272203,300SH DFND 203,300203,3000
Coca-Cola Bottling Co ConsolidatedCOMMON STOCK1910981023392,300SH DFND 2,3002,3000
Coeur Mining IncCOMMON STOCK19210850418417,288SH DFND 17,28817,2880
Cognizant Technology Solutions CorporatiCOMMON STOCK1924461022294,000SH DFND 4,0004,0000
Coherent IncorporatedCOMMON STOCK1924791035976,500SH DFND 6,5006,5000
Colony Starwood HomesCOMMON STOCK19625X1022568,420SH DFND 8,4208,4200
Columbia Pipeline GroupCOMMON STOCK19828010924,106945,685SH DFND 945,685945,6850
Columbia Property Trust IncCOMMON STOCK19828720369332,395SH DFND 32,39532,3950
Commercial Metals CompanyCOMMON STOCK20172310344426,250SH DFND 26,25026,2500
Commercial Vehicle Group IncCOMMON STOCK20260810513726,333SH DFND 26,33326,3330
Commscope Holding Co IncCOMMON STOCK20337X1091,99764,371SH DFND 64,37164,3710
Communications Sales & LeCOMMON STOCK20341J1041,74560,385SH DFND 60,38560,3850
CommunityOne BancorpCOMMON STOCK20416Q1083,481275,392SH DFND 275,392275,3920
Commvault Systems IncCOMMON STOCK20416610278418,152SH DFND 18,15218,1520
COMPASS MINERALS INTL INCCOMMON STOCK20451N1014666,276SH DFND 6,2766,2760
Computer Task Group IncorporatedCOMMON STOCK2054771025010,115SH DFND 10,11510,1150
Comscore IncCOMMON STOCK20564W1053,160132,315SH DFND 132,315132,3150
Comtech Telecom CorporationCOMMON STOCK2058262092,941229,045SH DFND 229,045229,0450
ConAgra IncorporatedCOMMON STOCK2058871022,30348,180SH DFND 48,18048,1800
Concert Pharmaceuticals IncCOMMON STOCK20602210514112,582SH DFND 12,58212,5820
ConocoPhillipsCOMMON STOCK20825C10479018,128SH DFND 18,12818,1280
Consol Energy IncCOMMON STOCK20854P10947829,699SH DFND 29,69929,6990
Consolidated Edison IncorporatedCOMMON STOCK2091151041,07013,300SHPutDFND 13,30013,3000
Consolidated Edison IncorporatedCOMMON STOCK2091151042,92036,300SHCallDFND 36,30036,3000
Constellation Brands Inc - ACOMMON STOCK21036P1081,81510,976SH DFND 10,97610,9760
Constellation Brands Inc - ACOMMON STOCK21036P1083,11018,800SHPutDFND 18,80018,8000
Constellation Brands Inc - ACOMMON STOCK21036P1085463,300SHCallDFND 3,3003,3000
Container Store Group Inc/thCOMMON STOCK2107511035911,082SH DFND 11,08211,0820
Continental Building ProductCOMMON STOCK21117110388339,719SH DFND 39,71939,7190
Convergys CorporationCOMMON STOCK2124851061,10944,376SH DFND 44,37644,3760
Cooper Companies IncCOMMON STOCK2166484025763,355SH DFND 3,3553,3550
Cooper Tire & Rubber CompanyCOMMON STOCK2168311071,11037,228SH DFND 37,22837,2280
Copart IncorporatedCOMMON STOCK21720410679716,258SH DFND 16,25816,2580
Corcept Therapeutics IncCOMMON STOCK21835210215528,449SH DFND 28,44928,4490
CoreLogic IncCOMMON STOCK21871D10351413,363SH DFND 13,36313,3630
Corindus Vascular Robotics ICOMMON STOCK2187301097653,041SH DFND 53,04153,0410
Cornerstone Ondemand IncCOMMON STOCK21925Y10346012,075SH DFND 12,07512,0750
Cousins Properties IncorporatedCOMMON STOCK2227951061,362130,922SH DFND 130,922130,9220
Crane Co.COMMON STOCK2243991052614,602SH DFND 4,6024,6020
Credit Acceptance CorporationCOMMON STOCK2253101012411,300SH DFND 1,3001,3000
Crown Castle Intl CorpCOMMON STOCK22822V1011,92118,936SH DFND 18,93618,9360
Crown Holdings Inc.COMMON STOCK2283681062895,700SH DFND 5,7005,7000
Csra IncCOMMON STOCK12650T10428212,024SH DFND 12,02412,0240
CSX CorporationCOMMON STOCK1264081036,500249,215SH DFND 249,215249,2150
Cubic CorporationCOMMON STOCK2296691062335,800SH DFND 5,8005,8000
Curis Inc.COMMON STOCK2312691013018,963SH DFND 18,96318,9630
Curtiss-Wright CorporationCOMMON STOCK2315611012022,395SH DFND 2,3952,3950
CVR Energy IncCOMMON STOCK12662P10842027,100SH DFND 27,10027,1000
CVS Health CorpCOMMON STOCK1266501003,17533,167SH DFND 33,16733,1670
Cyber-ark Software Ltd/israeCOMMON STOCKM2682V1084769,801SH DFND 9,8019,8010
Cynosure IncCOMMON STOCK2325772053657,500SH DFND 7,5007,5000
Cyrusone IncCOMMON STOCK23283R1001,09919,736SH DFND 19,73619,7360
Cytokinetics IncCOMMON STOCK23282W60515616,470SH DFND 16,47016,4700
Danaher CorporationCOMMON STOCK2358511021,09710,859SH DFND 10,85910,8590
Darden Restaurants IncCOMMON STOCK2371941052,15634,034SH DFND 34,03434,0340
Darling Ingredients IncCOMMON STOCK23726610131721,259SH DFND 21,25921,2590
Dave & Buster's EntertainmenCOMMON STOCK23833710992619,781SH DFND 19,78119,7810
DDR CorpCOMMON STOCK23317H10226414,570SH DFND 14,57014,5700
Dean Foods CompanyCOMMON STOCK2423702031,34374,226SH DFND 74,22674,2260
Deere & CompanyCOMMON STOCK2441991054,53856,000SH DFND 56,00056,0000
Del Frisco's Restaurant GroupCOMMON STOCK24507710237826,402SH DFND 26,40226,4020
Del Taco Restaurants IncCOMMON STOCK2454961045,089559,252SH DFND 559,252559,2520
Delta Air Lines IncCOMMON STOCK2473617021,22633,656SH DFND 33,65633,6560
Deluxe CorporationCOMMON STOCK2480191012,08331,385SH DFND 31,38531,3850
DemandwareCOMMON STOCK24802Y1052883,842SH DFND 3,8423,8420
Denbury Resources IncorporatedCOMMON STOCK24791620820657,477SH DFND 57,47757,4770
Denny's CorporationCOMMON STOCK24869P10448144,818SH DFND 44,81844,8180
Devon Energy Corp.COMMON STOCK25179M10344012,140SH DFND 12,14012,1400
DeVry Education Group IncCOMMON STOCK25189310379944,771SH DFND 44,77144,7710
DHI Group IncCOMMON STOCK23331S10049178,870SH DFND 78,87078,8700
DHT Holdings IncCOMMON STOCKY2065G12130360,200SH DFND 60,20060,2000
Diamond Offshore DrillingCOMMON STOCK25271C10227711,400SH DFND 11,40011,4000
Diamond Resorts InternationaCOMMON STOCK25272T10487129,074SH DFND 29,07429,0740
Diamondback Energy IncCOMMON STOCK25278X1096907,560SH DFND 7,5607,5600
Dick's Sporting Goods IncCOMMON STOCK2533931021,07623,871SH DFND 23,87123,8710
Diebold IncorporatedCOMMON STOCK25365110312,580506,632SH DFND 506,632506,6320
Digital Realty Trust IncCOMMON STOCK2538681032,19120,100SHPutDFND 20,10020,1000
Digital Realty Trust IncCOMMON STOCK2538681031,19911,000SHCallDFND 11,00011,0000
Digitalglobe IncCOMMON STOCK25389M8771,31861,602SH DFND 61,60261,6020
Dillards Incorporated Cl ACOMMON STOCK25406710191215,055SH DFND 15,05515,0550
Discover Financial ServicesCOMMON STOCK2547091082574,800SH DFND 4,8004,8000
Discovery Communications Inc - ACOMMON STOCK25470F10448419,200SH DFND 19,20019,2000
DISH Network CorpCOMMON STOCK25470M1091,38626,452SH DFND 26,45226,4520
Dolby Laboratories Inc - Class ACOMMON STOCK25659T1071,79137,436SH DFND 37,43637,4360
Dollar General CorpCOMMON STOCK2566771057758,243SH DFND 8,2438,2430
Dollar General CorpCOMMON STOCK2566771057147,600SHPutDFND 7,6007,6000
Dollar Tree IncCOMMON STOCK2567461081,41415,000SHPutDFND 15,00015,0000
Dollar Tree IncCOMMON STOCK2567461082262,400SHCallDFND 2,4002,4000
Domtar CorpCOMMON STOCK2575592033239,240SH DFND 9,2409,2400
Dorian Lpg LtdCOMMON STOCKY2106R11031945,300SH DFND 45,30045,3000
Douglas Dynamics IncCOMMON STOCK25960R10531312,156SH DFND 12,15612,1560
Dow Chemical CompanyCOMMON STOCK2605431034599,236SH DFND 9,2369,2360
Dr Pepper Snapple Group IncCOMMON STOCK26138E10920,865215,928SH DFND 215,928215,9280
Dreamworks Animation SKG ACOMMON STOCK26153C10314,697359,595SH DFND 359,595359,5950
Drew Industries IncCOMMON STOCK26168L2058389,882SH DFND 9,8829,8820
Dril-QuipCOMMON STOCK2620371042053,500SH DFND 3,5003,5000
DTE Energy CompanyCOMMON STOCK2333311074364,400SHPutDFND 4,4004,4000
Duke Energy CorporationCOMMON STOCK26441C20486710,100SHPutDFND 10,10010,1000
Duke Energy CorporationCOMMON STOCK26441C2042,74632,000SHCallDFND 32,00032,0000
Dupont Fabros TechnologyCOMMON STOCK26613Q1064519,497SH DFND 9,4979,4970
Dynegy IncCOMMON STOCK26817R10866638,655SH DFND 38,65538,6550
Dynex Capital IncorporatedCOMMON STOCK26817Q50610314,845SH DFND 14,84514,8450
E*Trade Financial CorporationCOMMON STOCK26924640127611,745SH DFND 11,74511,7450
Eagle Materials IncCOMMON STOCK26969P1081,94125,157SH DFND 25,15725,1570
Eagle Pharmaceuticals IncCOMMON STOCK2697961082727,000SH DFND 7,0007,0000
EarthLink Holdings CorpCOMMON STOCK27033X10143167,406SH DFND 67,40667,4060
East-West BankCOMMON STOCK27579R10436210,600SH DFND 10,60010,6000
Eaton Corp PLCCOMMON STOCKG291831037,275121,800SH DFND 121,800121,8000
Eaton Vance CorporationCOMMON STOCK2782651032657,500SH DFND 7,5007,5000
Ebay IncorporatedCOMMON STOCK2786421033,154134,728SH DFND 134,728134,7280
Ebix IncCOMMON STOCK27871520681316,965SH DFND 16,96516,9650
EchoStar CorpCOMMON STOCK27876810676819,345SH DFND 19,34519,3450
Ecolab IncorporatedCOMMON STOCK2788651007126,000SHCallDFND 6,0006,0000
Edgewell Personal Care CoCOMMON STOCK28035Q1026,68979,245SH DFND 79,24579,2450
Edison InternationalCOMMON STOCK28102010785411,000SHPutDFND 11,00011,0000
Education Realty Trust IncCOMMON STOCK28140H2032485,384SH DFND 5,3845,3840
Edwards Lifesciences Corp.COMMON STOCK28176E1081,66416,686SH DFND 16,68616,6860
El Paso Electric CompanyCOMMON STOCK28367785451110,800SH DFND 10,80010,8000
El Pollo Loco Holdings IncCOMMON STOCK26860310731724,366SH DFND 24,36624,3660
Electronic Arts IncorporatedCOMMON STOCK2855121091,62221,412SH DFND 21,41221,4120
Eli Lilly & CompanyCOMMON STOCK53245710889311,344SH DFND 11,34411,3440
Ellie Mae IncCOMMON STOCK28849P1002382,600SH DFND 2,6002,6000
EMC CorporationCOMMON STOCK26864810243,6301,605,806SH DFND 1,605,8061,605,8060
EMCOR Group IncorporatedCOMMON STOCK29084Q1001,23124,998SH DFND 24,99824,9980
Emergent Biosolutions IncCOMMON STOCK29089Q10545616,200SH DFND 16,20016,2000
Emerson Electric CompanyCOMMON STOCK2910111041,22123,402SH DFND 23,40223,4020
Empire District Electric CompanyCOMMON STOCK29164110839111,511SH DFND 11,51111,5110
Employers Holdings IncCOMMON STOCK2922181041,34746,429SH DFND 46,42946,4290
Encore Wire CorporationCOMMON STOCK29256210571919,291SH DFND 19,29119,2910
Endo International PlcCOMMON STOCKG3040110627017,296SH DFND 17,29617,2960
Endologix IncCOMMON STOCK29266S10633126,571SH DFND 26,57126,5710
Energen CorporationCOMMON STOCK29265N10859512,343SH DFND 12,34312,3430
Energizer Holdings IncCOMMON STOCK29272W1091,54830,070SH DFND 30,07030,0700
Energy XXI LtdCOMMON STOCKG10082140117,416SH DFND 17,41617,4160
Enernoc IncCOMMON STOCK29276410720332,197SH DFND 32,19732,1970
EnerSysCOMMON STOCK29275Y1021,50125,236SH DFND 25,23625,2360
Ennis IncCOMMON STOCK29338910223812,423SH DFND 12,42312,4230
Enstar Group LtdCOMMON STOCKG3075P1015453,364SH DFND 3,3643,3640
Entegris IncCOMMON STOCK29362U10442929,665SH DFND 29,66529,6650
Entergy CorporationCOMMON STOCK29364G1033904,800SH DFND 4,8004,8000
Entergy CorporationCOMMON STOCK29364G1034725,800SHCallDFND 5,8005,8000
Entravision Communications CorpCOMMON STOCK29382R10719929,687SH DFND 29,68729,6870
Envision Healthcare HoldingsCOMMON STOCK29413U10388634,925SH DFND 34,92534,9250
Enzon Pharmaceuticals IncCOMMON STOCK2939041081947,998SH DFND 47,99847,9980
EQT CorpCOMMON STOCK26884L1092563,300SH DFND 3,3003,3000
EQT CorpCOMMON STOCK26884L10986711,200SHPutDFND 11,20011,2000
EQT CorpCOMMON STOCK26884L1097059,100SHCallDFND 9,1009,1000
Equifax IncorporatedCOMMON STOCK2944291054493,500SH DFND 3,5003,5000
Equinix IncCOMMON STOCK29444U7004,73112,200SHPutDFND 12,20012,2000
Equinix IncCOMMON STOCK29444U7003,8399,900SHCallDFND 9,9009,9000
Equity CommonwealthCOMMON STOCK2946281025,202178,570SH DFND 178,570178,5700
Equity Lifestyle Properties InCOMMON STOCK29472R1082703,376SH DFND 3,3763,3760
Essex Property TrustCOMMON STOCK2971781051,2995,697SH DFND 5,6975,6970
Estee LauderCOMMON STOCK5184391043003,300SH DFND 3,3003,3000
Ethan Allen Interiors IncorporatedCOMMON STOCK29760210471921,768SH DFND 21,76821,7680
Euronet Worldwide IncCOMMON STOCK2987361096028,700SH DFND 8,7008,7000
Evercore Partners Inc - cl ACOMMON STOCK29977A10557513,010SH DFND 13,01013,0100
Everest Re Group LimitedCOMMON STOCKG3223R1089585,247SH DFND 5,2475,2470
Examworks Group IncCOMMON STOCK30066A10541211,824SH DFND 11,82411,8240
Exco Resources IncCOMMON STOCK2692794023829,568SH DFND 29,56829,5680
Exelixis IncCOMMON STOCK30161Q10424631,445SH DFND 31,44531,4450
Exelon CorporationCOMMON STOCK30161N10155315,200SH DFND 15,20015,2000
Exlservice Holdings IncCOMMON STOCK3020811042043,900SH DFND 3,9003,9000
Express Inc.COMMON STOCK30219E10334123,500SH DFND 23,50023,5000
Express Scripts Holding Co(CL A)COMMON STOCK30219G10839,931526,800SH DFND 526,800526,8000
Extended Stay America IncCOMMON STOCK30224P20079553,186SH DFND 53,18653,1860
Exterran CorpCOMMON STOCK30227H10621917,046SH DFND 17,04617,0460
Exxon Mobil CorporationCOMMON STOCK30231G1028068,600SH DFND 8,6008,6000
F5 Networks IncCOMMON STOCK3156161022,11218,553SH DFND 18,55318,5530
FabrinetCOMMON STOCKG3323L10069418,700SH DFND 18,70018,7000
Facebook Inc-aCOMMON STOCK30303M1024,56239,921SH DFND 39,92139,9210
Fair Isaac CorpCOMMON STOCK30325010426,383233,459SH DFND 233,459233,4590
Fastenal CompanyCOMMON STOCK3119001041,22027,487SH DFND 27,48727,4870
FBR & CoCOMMON STOCK30247C40015810,554SH DFND 10,55410,5540
Federal Signal CorporationCOMMON STOCK31385510849738,584SH DFND 38,58438,5840
Federated Investors Incorporated - CL BCOMMON STOCK31421110342014,600SH DFND 14,60014,6000
Fedex CorporationCOMMON STOCK31428X1062,09513,806SH DFND 13,80613,8060
FEI CompanyCOMMON STOCK30241L10912,826120,000SH DFND 120,000120,0000
Felcor Lodging Trust IncorporatedCOMMON STOCK31430F10118429,593SH DFND 29,59329,5930
Ferro CorporationCOMMON STOCK31540510023817,813SH DFND 17,81317,8130
Ferroglobe PlcCOMMON STOCKG338561089511,078SH DFND 11,07811,0780
Fibrogen IncCOMMON STOCK31572Q80818010,993SH DFND 10,99310,9930
Fiesta Restaurant GroupCOMMON STOCK31660B10177335,427SH DFND 35,42735,4270
Fifth Third BancorpCOMMON STOCK3167731003,520200,141SH DFND 200,141200,1410
Financial Engines IncCOMMON STOCK31748510048618,770SH DFND 18,77018,7700
Finisar CorporationCOMMON STOCK31787A50771740,930SH DFND 40,93040,9300
Finish Line Incorporated (CL A)COMMON STOCK31792310072735,990SH DFND 35,99035,9900
First American FinancialCOMMON STOCK31847R10251512,800SH DFND 12,80012,8000
First Data Corp- Class ACOMMON STOCK32008D10629626,774SH DFND 26,77426,7740
First Horizon National CorporationCOMMON STOCK32051710556941,300SH DFND 41,30041,3000
First Midwest Bancorp IncorporatedCOMMON STOCK32086710430617,400SH DFND 17,40017,4000
First Potomac Realty TrustCOMMON STOCK33610F10931233,965SH DFND 33,96533,9650
First Republic Bank/San FranCOMMON STOCK33616C1005708,148SH DFND 8,1488,1480
First Solar IncCOMMON STOCK3364331071,10222,737SH DFND 22,73722,7370
Firstenergy CorpCOMMON STOCK3379321071,17633,682SH DFND 33,68233,6820
Firstmerit CorporationCOMMON STOCK3379151025,995295,755SH DFND 295,755295,7550
Fitbit Inc - ACOMMON STOCK33812L10213110,745SH DFND 10,74510,7450
Five BelowCOMMON STOCK33829M1012415,200SH DFND 5,2005,2000
Fiveprime Therapeutics IncCOMMON STOCK33830X10450912,300SH DFND 12,30012,3000
Flowers Foods IncCOMMON STOCK34349810154028,789SH DFND 28,78928,7890
Flowserve CorporationCOMMON STOCK34354P1054,20193,000SH DFND 93,00093,0000
FMC CorporationCOMMON STOCK3024913032,91162,850SH DFND 62,85062,8500
FMC Technologies Inc.COMMON STOCK30249U10166725,019SH DFND 25,01925,0190
Fnf GroupCOMMON STOCK31620R3033008,001SH DFND 8,0018,0010
Fnfv GroupCOMMON STOCK31620R40278168,133SH DFND 68,13368,1330
Foot Locker Inc.COMMON STOCK3448491042,38143,410SH DFND 43,41043,4100
Forest City Realty Trust- ACOMMON STOCK3456051091,19653,627SH DFND 53,62753,6270
Fortune Brands Home & Security Inc.COMMON STOCK34964C1063,77665,141SH DFND 65,14165,1410
Fox Factory Holding CorpCOMMON STOCK35138V10226615,315SH DFND 15,31515,3150
Francescas Holdings CorpCOMMON STOCK35179310448443,824SH DFND 43,82443,8240
Franklin Resources IncorporatedCOMMON STOCK3546131012,35270,485SH DFND 70,48570,4850
Franklin Resources IncorporatedCOMMON STOCK3546131012678,000SHPutDFND 8,0008,0000
Franklin Street Properties CCOMMON STOCK35471R10618615,194SH DFND 15,19415,1940
Freeport-McMoRan IncCOMMON STOCK35671D85776969,000SHPutDFND 69,00069,0000
Freeport-McMoRan IncCOMMON STOCK35671D8571,479132,700SHCallDFND 132,700132,7000
Freightcar America IncCOMMON STOCK35702310020814,780SH DFND 14,78014,7800
Fresh Del Monte Produce IncorporatedCOMMON STOCKG3673810581715,008SH DFND 15,00815,0080
Frontline LtdCOMMON STOCKG3682E19249362,600SH DFND 62,60062,6000
FTI Consulting Inc.COMMON STOCK30294110963215,525SH DFND 15,52515,5250
Fuller H B CoCOMMON STOCK3596941063147,137SH DFND 7,1377,1370
Gallagher Arthur J & CoCOMMON STOCK3635761092385,000SH DFND 5,0005,0000
GameStop CorporationCOMMON STOCK36467W10971726,989SH DFND 26,98926,9890
Gaming And Leisure PropeCOMMON STOCK36467J10899828,946SH DFND 28,94628,9460
Gannett Co IncCOMMON STOCK36473H1041,03374,820SH DFND 74,82074,8200
Gartner Group IncCOMMON STOCK3666511076596,763SH DFND 6,7636,7630
Gaslog LtdCOMMON STOCKG3758510923418,049SH DFND 18,04918,0490
GATX CorporationCOMMON STOCK36144810357713,117SH DFND 13,11713,1170
General Cable CorpCOMMON STOCK36930010821617,000SH DFND 17,00017,0000
General Dynamics CorpCOMMON STOCK3695501082,63618,929SH DFND 18,92918,9290
General Electric CompanyCOMMON STOCK3696041032,92292,813SH DFND 92,81392,8130
General Mills IncorporatedCOMMON STOCK37033410489912,600SHPutDFND 12,60012,6000
General Mills IncorporatedCOMMON STOCK3703341041,29818,200SHCallDFND 18,20018,2000
General Motors CoCOMMON STOCK37045V10035812,648SH DFND 12,64812,6480
Genesco Inc.COMMON STOCK3715321021,25919,584SH DFND 19,58419,5840
Genesis Healthcare Inc - Class ACOMMON STOCK37185X1062413,742SH DFND 13,74213,7420
Genomic Health Inc.COMMON STOCK37244C10130611,800SH DFND 11,80011,8000
Genpact LtdCOMMON STOCKG3922B1071,56258,200SH DFND 58,20058,2000
Genuine Parts CoCOMMON STOCK3724601052632,599SH DFND 2,5992,5990
Gerdau SA-ADRCOMMON STOCK3737371056938,182SH DFND 38,18238,1820
Geron CorpCOMMON STOCK37416310323788,300SH DFND 88,30088,3000
Gibraltar Industries IncCOMMON STOCK3746891073069,689SH DFND 9,6899,6890
Gigamon IncCOMMON STOCK37518B10264017,105SH DFND 17,10517,1050
Gilead Sciences IncCOMMON STOCK3755581031,14713,751SH DFND 13,75113,7510
Gladstone Investment CorporationCOMMON STOCK3765461079312,993SH DFND 12,99312,9930
Glatfelter CoCOMMON STOCK37731610459830,573SH DFND 30,57330,5730
Global Blood Therapeutics InCOMMON STOCK37890U10843526,243SH DFND 26,24326,2430
Global Brass & Copper HoldinCOMMON STOCK37953G10385031,140SH DFND 31,14031,1400
Global Eagle Entertainment ICOMMON STOCK37951D10247070,750SH DFND 70,75070,7500
Globalstar IncCOMMON STOCK378973408326269,687SH DFND 269,687269,6870
Globus Medical Inc - ACOMMON STOCK3795772082,800117,497SH DFND 117,497117,4970
Godaddy Inc - Class ACOMMON STOCK3802371073079,829SH DFND 9,8299,8290
Gogo IncCOMMON STOCK38046C10935141,864SH DFND 41,86441,8640
Gold Fields Limited - ADRCOMMON STOCK38059T10636674,641SH DFND 74,64174,6410
Gold Resource CorpCOMMON STOCK38068T10516445,594SH DFND 45,59445,5940
Goldman Sachs IncCOMMON STOCK38141G1041,56710,549SH DFND 10,54910,5490
Goldman Sachs IncCOMMON STOCK38141G1044,57630,800SHPutDFND 30,80030,8000
Goldman Sachs IncCOMMON STOCK38141G1042,40716,200SHCallDFND 16,20016,2000
Graham Holdings Co(CL B)COMMON STOCK3846371041,2212,495SH DFND 2,4952,4950
Gramercy Property TrustCOMMON STOCK38500210016217,517SH DFND 17,51717,5170
Grand Canyon Education IncCOMMON STOCK38526M1061,91447,954SH DFND 47,95447,9540
Granite Construction IncorporatedCOMMON STOCK38732810750111,000SH DFND 11,00011,0000
Graphic Packaging Holding CoCOMMON STOCK38868910117,3131,380,618SH DFND 1,380,6181,380,6180
Great Plains Energy IncCOMMON STOCK3911641001,37145,106SH DFND 45,10645,1060
Great Plains Energy IncCOMMON STOCK3911641001,52050,000SHCallDFND 50,00050,0000
Great Western Bancorp IncCOMMON STOCK39141610497530,900SH DFND 30,90030,9000
Green Dot Corp-class ACOMMON STOCK39304D10237916,500SH DFND 16,50016,5000
Green Plains IncCOMMON STOCK39322210420910,600SH DFND 10,60010,6000
Greif Inc.- Class ACOMMON STOCK39762410763917,141SH DFND 17,14117,1410
Group 1 Automotive IncorporatedCOMMON STOCK3989051092274,600SH DFND 4,6004,6000
Groupon IncCOMMON STOCK39947310714444,343SH DFND 44,34344,3430
GTx IncCOMMON STOCK40052B1081934,033SH DFND 34,03334,0330
Guidewire Software IncCOMMON STOCK40171V10063010,200SH DFND 10,20010,2000
Gulfmark Offshore Inc.COMMON STOCK4026292086721,400SH DFND 21,40021,4000
Gulfport Energy CorpCOMMON STOCK40263530462319,924SH DFND 19,92419,9240
H&E Equipment Services IncCOMMON STOCK40403010834918,347SH DFND 18,34718,3470
Haemonetics CorporationCOMMON STOCK40502410049016,898SH DFND 16,89816,8980
Hain Celestial Group IncCOMMON STOCK4052171002244,497SH DFND 4,4974,4970
Halcon Resources CorpCOMMON STOCK40537Q506816,521SH DFND 16,52116,5210
Halyard Health IncCOMMON STOCK40650V10054216,679SH DFND 16,67916,6790
Hanesbrands IncCOMMON STOCK4103451022,33692,940SH DFND 92,94092,9400
Hanover Insurance Group Inc/ThCOMMON STOCK4108671057799,200SH DFND 9,2009,2000
Harman International Industries Inc.COMMON STOCK4130861096579,149SH DFND 9,1499,1490
Harmony Gold - ADRCOMMON STOCK41321630011230,958SH DFND 30,95830,9580
Harris CorporationCOMMON STOCK4138751056097,300SHPutDFND 7,3007,3000
Harris CorporationCOMMON STOCK4138751056097,300SHCallDFND 7,3007,3000
Harsco CorporationCOMMON STOCK41586410715523,271SH DFND 23,27123,2710
Harte-Hanks Inc.COMMON STOCK4161961033521,771SH DFND 21,77121,7710
Hartford Financial Services Group Inc.COMMON STOCK41651510457512,954SH DFND 12,95412,9540
Hatteras Financial CorpCOMMON STOCK41902R1034,100250,000SH DFND 250,000250,0000
Haverty Furniture Companies IncorporatedCOMMON STOCK41959610127315,128SH DFND 15,12815,1280
Hawaiian Electric Industries Inc.COMMON STOCK41987010082725,223SH DFND 25,22325,2230
HCA Holdings Inc.COMMON STOCK40412C1011,72722,420SH DFND 22,42022,4200
HCI Group IncCOMMON STOCK40416E10327610,100SH DFND 10,10010,1000
HCP IncCOMMON STOCK40414L1091,17633,245SH DFND 33,24533,2450
Hd Supply Holdings IncCOMMON STOCK40416M10534910,016SH DFND 10,01610,0160
Headwaters IncorporatedCOMMON STOCK42210P10229216,292SH DFND 16,29216,2920
Healthsouth CorporationCOMMON STOCK42192430939310,130SH DFND 10,13010,1300
Heartware International IncCOMMON STOCK4223681003,17655,000SH DFND 55,00055,0000
Hecla Mining CoCOMMON STOCK4227041061,066209,011SH DFND 209,011209,0110
Heico Corp.-NEWCOMMON STOCK4228061094887,300SH DFND 7,3007,3000
Heidrick & Struggles IntlCOMMON STOCK42281910221012,455SH DFND 12,45512,4550
Helix Energy Solutions Group ICOMMON STOCK42330P1077110,539SH DFND 10,53910,5390
Henry Schein IncorporatedCOMMON STOCK8064071026363,600SH DFND 3,6003,6000
Herbalife LtdCOMMON STOCKG4412G1012,01434,413SH DFND 34,41334,4130
Heritage Insurance HoldingsCOMMON STOCK42727J10238932,481SH DFND 32,48132,4810
Hess CorpCOMMON STOCK42809H10760810,115SH DFND 10,11510,1150
Hewlett Packard Enterprise CompanyCOMMON STOCK42824C1099,636527,395SH DFND 527,395527,3950
Hexcel CorporationCOMMON STOCK42829110868716,491SH DFND 16,49116,4910
HFF Inc - Class ACOMMON STOCK40418F10832211,146SH DFND 11,14611,1460
Hibbett Sports IncCOMMON STOCK42856710174221,337SH DFND 21,33721,3370
Higher One Holdings IncCOMMON STOCK42983D10420740,561SH DFND 40,56140,5610
Hill-Rom Holdings IncCOMMON STOCK43147510220,685410,008SH DFND 410,008410,0080
HMS Holdings CorpCOMMON STOCK40425J1011,46583,166SH DFND 83,16683,1660
HNI CorpCOMMON STOCK40425110050710,900SH DFND 10,90010,9000
HollyFrontier CorpCOMMON STOCK43610610840216,900SH DFND 16,90016,9000
Hologic Inc.COMMON STOCK43644010145,3501,310,684SH DFND 1,310,6841,310,6840
Home Bancshares IncCOMMON STOCK43689320037619,000SH DFND 19,00019,0000
Home Depot Inc.COMMON STOCK4370761022,94723,082SH DFND 23,08223,0820
Honeywell International Inc.COMMON STOCK4385161061,78015,300SHPutDFND 15,30015,3000
Honeywell International Inc.COMMON STOCK4385161061,58213,600SHCallDFND 13,60013,6000
Horace Mann Educators Corp.COMMON STOCK4403271042186,455SH DFND 6,4556,4550
Horizon Global CorpCOMMON STOCK44052W10413411,795SH DFND 11,79511,7950
Hormel Foods CorporationCOMMON STOCK4404521001,34836,831SH DFND 36,83136,8310
Hortonworks IncCOMMON STOCK44089410317216,135SH DFND 16,13516,1350
HP IncCOMMON STOCK40434L10571957,281SH DFND 57,28157,2810
HRG Group IncCOMMON STOCK40434J10059943,591SH DFND 43,59143,5910
HUB Group Inc - CL ACOMMON STOCK44332010685622,297SH DFND 22,29722,2970
Hubbell IncorporatedCOMMON STOCK4435106076,88765,300SH DFND 65,30065,3000
Hudson Pacific Properties Inc.COMMON STOCK4440971091,54552,944SH DFND 52,94452,9440
Hunt (JB) Transport Services Inc.COMMON STOCK4456581073,25340,200SH DFND 40,20040,2000
Huntington Bancshares IncorporatedCOMMON STOCK44615010431835,600SH DFND 35,60035,6000
Huntington Ingalls IndustCOMMON STOCK4464131067614,528SH DFND 4,5284,5280
Huntsman CorpCOMMON STOCK4470111071,32498,470SH DFND 98,47098,4700
Hyatt Hotels Corp - Cl ACOMMON STOCK4485791021,14223,241SH DFND 23,24123,2410
IBM Corporation (Intl Business Machines)COMMON STOCK4592001012,29215,100SHPutDFND 15,10015,1000
IBM Corporation (Intl Business Machines)COMMON STOCK4592001012,80818,500SHCallDFND 18,50018,5000
ICU Medical IncorporatedCOMMON STOCK44930G1074243,757SH DFND 3,7573,7570
Idacorp IncorporatedCOMMON STOCK4511071063664,500SH DFND 4,5004,5000
Idera Pharmaceuticals IncCOMMON STOCK45168K3062817,988SH DFND 17,98817,9880
Idexx Laboratories CorporationCOMMON STOCK45168D1045305,712SH DFND 5,7125,7120
IDT Corporation - Class BCOMMON STOCK44894750728219,857SH DFND 19,85719,8570
IHS Inc. - Class ACOMMON STOCK4517341076545,661SH DFND 5,6615,6610
II-Vi IncCOMMON STOCK90210410869837,223SH DFND 37,22337,2230
Impac Mortgage Holdings IncCOMMON STOCK45254P50824915,899SH DFND 15,89915,8990
Impax Labrotories Inc.COMMON STOCK45256B1011,51052,408SH DFND 52,40852,4080
Ims Health Holdings IncCOMMON STOCK44970B10938015,000SH DFND 15,00015,0000
Inc Research Holdings Inc-aCOMMON STOCK45329R1091,27933,535SH DFND 33,53533,5350
Incyte Corp.COMMON STOCK45337C1026,51181,409SH DFND 81,40981,4090
Independence Contract DrilliCOMMON STOCK45341530919035,065SH DFND 35,06535,0650
Infinera CorpCOMMON STOCK45667G10369961,984SH DFND 61,98461,9840
Infinity Pharmaceuticals IncCOMMON STOCK45665G303369277,600SH DFND 277,600277,6000
Infoblox IncCOMMON STOCK45672H10469537,051SH DFND 37,05137,0510
Infrareit IncCOMMON STOCK45685L10018910,797SH DFND 10,79710,7970
Ingersoll-Rand PlcCOMMON STOCKG477911013185,000SH DFND 5,0005,0000
Ingredion IncCOMMON STOCK4571871026475,000SH DFND 5,0005,0000
Ingredion IncCOMMON STOCK4571871027385,700SHPutDFND 5,7005,7000
Innophos Holdings IncCOMMON STOCK45774N1082415,721SH DFND 5,7215,7210
Innoviva IncCOMMON STOCK45781M10186181,771SH DFND 81,77181,7710
Inogen IncCOMMON STOCK45780L1044018,000SH DFND 8,0008,0000
Inovalon Holdings Inc - ACOMMON STOCK45781D10128115,617SH DFND 15,61715,6170
Inovio Pharmaceuticals IncCOMMON STOCK45773H20124826,801SH DFND 26,80126,8010
Insight Enterprises IncorporatedCOMMON STOCK45765U10368226,231SH DFND 26,23126,2310
Insmed Inc.COMMON STOCK45766930727828,163SH DFND 28,16328,1630
Insperity IncCOMMON STOCK45778Q1071,81623,520SH DFND 23,52023,5200
Intel CorporationCOMMON STOCK4581401001,18936,235SH DFND 36,23536,2350
Intel CorporationCOMMON STOCK45814010084025,600SHPutDFND 25,60025,6000
Intel CorporationCOMMON STOCK45814010070521,500SHCallDFND 21,50021,5000
InterActiveCorpCOMMON STOCK44919P50823,966425,678SH DFND 425,678425,6780
InterActiveCorpCOMMON STOCK44919P5085,630100,000SHPutDFND 100,000100,0000
Intercontinental Exchange IncCOMMON STOCK45866F1042,5429,931SH DFND 9,9319,9310
Interface Incorporated (CL A)COMMON STOCK45866530421514,100SH DFND 14,10014,1000
International Flavors and FragrancesCOMMON STOCK4595061014663,698SH DFND 3,6983,6980
International Game TechnologyCOMMON STOCKG4863A10845824,429SH DFND 24,42924,4290
International Speedway CorporationCOMMON STOCK46033520141312,337SH DFND 12,33712,3370
InterOil Corporation (USD)COMMON STOCK4609511061,60435,648SH DFND 35,64835,6480
Interpublic Group Companies IncorporatedCOMMON STOCK46069010024710,700SH DFND 10,70010,7000
Intralinks Holdings IncCOMMON STOCK46118H10413620,941SH DFND 20,94120,9410
Intuit IncorporatedCOMMON STOCK4612021032,35721,116SH DFND 21,11621,1160
Invesco LtdCOMMON STOCKG491BT10833813,226SH DFND 13,22613,2260
Investors Bancorp IncCOMMON STOCK46146L10183074,900SH DFND 74,90074,9000
iPath S&P 500 VIX Short-Term Futures ETNCOMMON STOCK06740Q2528,989650,900SHPutDFND 650,900650,9000
IPG Photonics CorpCOMMON STOCK44980X1094045,054SH DFND 5,0545,0540
Iridium Communications IncCOMMON STOCK46269C1029510,697SH DFND 10,69710,6970
IROBOT CorpCOMMON STOCK46272610050014,257SH DFND 14,25714,2570
Ironwood Pharmaceuticals IncCOMMON STOCK46333X10844634,118SH DFND 34,11834,1180
iShares iBoxx High Yield Corporate Bond ETFCOMMON STOCK46428851316,940200,000SHPutDFND 200,000200,0000
iShares iBoxx High Yield Corporate Bond ETFCOMMON STOCK46428851321,345252,000SHCallDFND 252,000252,0000
iStar IncCOMMON STOCK45031U10117618,360SH DFND 18,36018,3600
ITC Holdings CorpCOMMON STOCK46568510532,369691,350SH DFND 691,350691,3500
Itron IncorporatedCOMMON STOCK46574110650311,670SH DFND 11,67011,6700
Ixia CommunicationsCOMMON STOCK45071R10932433,000SH DFND 33,00033,0000
J Alexander's HoldingsCOMMON STOCK46609J10610310,341SH DFND 10,34110,3410
j2 Global IncCOMMON STOCK48123V1025989,459SH DFND 9,4599,4590
Jabil Circuit IncorporatedCOMMON STOCK4663131031,46279,179SH DFND 79,17979,1790
Jack Henry & Associates IncCOMMON STOCK4262811012272,600SH DFND 2,6002,6000
Jack in the Box IncorporatedCOMMON STOCK4663671092552,972SH DFND 2,9722,9720
Jakks Pacific IncCOMMON STOCK47012E10618923,957SH DFND 23,95723,9570
Jazz Pharmaceuticals PlcCOMMON STOCKG508711053,75226,549SH DFND 26,54926,5490
JC Penney Company Inc (HLDG Co)COMMON STOCK70816010613,4051,509,600SH DFND 1,509,6001,509,6000
Jd.com Inc-adrCOMMON STOCK47215P10652224,572SH DFND 24,57224,5720
Jetblue Airways CorpCOMMON STOCK47714310191755,358SH DFND 55,35855,3580
Jetblue Airways CorpCOMMON STOCK47714310196458,200SHCallDFND 58,20058,2000
John Bean TechnologiesCOMMON STOCK4778391042,15535,200SH DFND 35,20035,2000
Johnson & JohnsonCOMMON STOCK4781601041,88715,553SH DFND 15,55315,5530
Johnson Controls IncorporatedCOMMON STOCK4783661079,781220,991SH DFND 220,991220,9910
Jones Lang LaSalle Inc.COMMON STOCK48020Q1072342,400SH DFND 2,4002,4000
JOY GLOBAL INCCOMMON STOCK48116510834516,326SH DFND 16,32616,3260
JPMorgan Chase & Co.COMMON STOCK46625H10069311,154SH DFND 11,15411,1540
JPMorgan Chase & Co.COMMON STOCK46625H1003,98964,200SHPutDFND 64,20064,2000
JPMorgan Chase & Co.COMMON STOCK46625H1004,05165,200SHCallDFND 65,20065,2000
K12 IncCOMMON STOCK48273U10218414,767SH DFND 14,76714,7670
Kaiser Aluminum CorpCOMMON STOCK4830077042983,300SH DFND 3,3003,3000
Kansas City SouthernCOMMON STOCK4851703025,55961,700SH DFND 61,70061,7000
Kar Auction Services IncCOMMON STOCK48238T10968316,352SH DFND 16,35216,3520
KBR IncCOMMON STOCK48242W10686064,991SH DFND 64,99164,9910
Kcg Holdings IncCOMMON STOCK48244B10025719,300SH DFND 19,30019,3000
Kearny Financial CorpCOMMON STOCK48716P10897577,502SH DFND 77,50277,5020
Kellogg CompanyCOMMON STOCK4878361085486,712SH DFND 6,7126,7120
Kennedy-Wilson Holdings IncCOMMON STOCK4893981071,66787,909SH DFND 87,90987,9090
Keryx Biopharmaceuticals Inc.COMMON STOCK49251510120330,687SH DFND 30,68730,6870
Key Energy Group IncorporatedCOMMON STOCK492914106523,376SH DFND 23,37623,3760
KeyCorp - NEWCOMMON STOCK4932671087,603688,046SH DFND 688,046688,0460
Keysight Technologies IncCOMMON STOCK49338L1031,33345,813SH DFND 45,81345,8130
Kilroy Realty CorporationCOMMON STOCK49427F1085558,374SH DFND 8,3748,3740
Kimberly-Clark CorporationCOMMON STOCK4943681032,59818,900SHPutDFND 18,90018,9000
Kimberly-Clark CorporationCOMMON STOCK4943681034263,100SHCallDFND 3,1003,1000
Kinder Morgan IncCOMMON STOCK49456B1011,13160,400SHPutDFND 60,40060,4000
Kinder Morgan IncCOMMON STOCK49456B1012,061110,100SHCallDFND 110,100110,1000
Kite Realty Group TrustCOMMON STOCK49803T30032811,719SH DFND 11,71911,7190
KLA -Tencor CorporationCOMMON STOCK48248010017,285235,966SH DFND 235,966235,9660
Klx IncCOMMON STOCK48253910344514,342SH DFND 14,34214,3420
Knoll IncCOMMON STOCK49890420088736,519SH DFND 36,51936,5190
Korn/Ferry InternationalCOMMON STOCK50064320076837,093SH DFND 37,09337,0930
Kraton Performance PolymersCOMMON STOCK50077C1062749,800SH DFND 9,8009,8000
Krispy Kreme Doughnuts IncCOMMON STOCK5010141043,858184,050SH DFND 184,050184,0500
Kroger CompanyCOMMON STOCK5010441012,78675,724SH DFND 75,72475,7240
L-3 Communications Holdings IncorporatedCOMMON STOCK5024241041,69511,553SH DFND 11,55311,5530
La Quinta Holdings IncCOMMON STOCK50420D10834930,625SH DFND 30,62530,6250
Laboratory Corp. of America HoldingsCOMMON STOCK50540R40930,858236,880SH DFND 236,880236,8800
Lam Research CorporationCOMMON STOCK5128071081,43417,059SH DFND 17,05917,0590
Lamar Advertising CompanyCOMMON STOCK51281610979011,918SH DFND 11,91811,9180
Lancaster Colony CorporationCOMMON STOCK5138471032942,300SH DFND 2,3002,3000
Laredo Petroleum IncCOMMON STOCK51680610657454,752SH DFND 54,75254,7520
Lasalle Hotel PropertiesCOMMON STOCK51794210899942,355SH DFND 42,35542,3550
La-Z-Boy IncorporatedCOMMON STOCK5053361071,22043,838SH DFND 43,83843,8380
Ldr Holding CorpCOMMON STOCK50185U1053,695100,000SH DFND 100,000100,0000
Lear CorpCOMMON STOCK5218652043153,100SH DFND 3,1003,1000
Legg Mason IncorporatedCOMMON STOCK5249011052297,776SH DFND 7,7767,7760
Leidos Holdings IncCOMMON STOCK52532710255011,484SH DFND 11,48411,4840
Lennox International IncCOMMON STOCK5261071076,86748,158SH DFND 48,15848,1580
Level 3 Communications IncorporatedCOMMON STOCK52729N3081,01719,759SH DFND 19,75919,7590
Lexicon Pharmaceuticals IncCOMMON STOCK52887230217712,351SH DFND 12,35112,3510
Lexington Realty TrustCOMMON STOCK52904310114214,053SH DFND 14,05314,0530
Lgi Homes IncCOMMON STOCK50187T10633110,372SH DFND 10,37210,3720
Liberty Interactive Corp QVC GroupCOMMON STOCK53071M10455421,845SH DFND 21,84521,8450
Liberty Lilac GroupCOMMON STOCKG5480U1384,321133,940SH DFND 133,940133,9400
Liberty Lilac Group-cCOMMON STOCKG5480U1535,193159,828SH DFND 159,828159,8280
Liberty Property TrustCOMMON STOCK5311721043408,570SH DFND 8,5708,5700
Liberty Tripadvisor Holdings IncCOMMON STOCK53146510249022,393SH DFND 22,39322,3930
Liberty Ventures - Ser ACOMMON STOCK53071M8804,803129,564SH DFND 129,564129,5640
Ligand Pharmaceuticals IncorporatedCOMMON STOCK53220K5045254,400SH DFND 4,4004,4000
Lincoln Electric Holdings IncorporatedCOMMON STOCK5339001061,78130,148SH DFND 30,14830,1480
Lincoln National CorporationCOMMON STOCK5341871092606,700SH DFND 6,7006,7000
LinkedIn Corp - ACOMMON STOCK53578A10837,411197,679SH DFND 197,679197,6790
Lionbridge Technologies IncorporatedCOMMON STOCK53625210916441,553SH DFND 41,55341,5530
Lithia Motors Inc. - Class ACOMMON STOCK5367971032353,300SH DFND 3,3003,3000
Littlefuse IncorporatedCOMMON STOCK5370081043032,563SH DFND 2,5632,5630
Liveperson IncCOMMON STOCK53814610112119,123SH DFND 19,12319,1230
LKQ CorpCOMMON STOCK50188920886927,408SH DFND 27,40827,4080
Lockheed Martin CorpCOMMON STOCK5398301093331,341SH DFND 1,3411,3410
Logmein IncCOMMON STOCK54142L10970111,053SH DFND 11,05311,0530
Louisiana-Pacific CorporationCOMMON STOCK54634710526515,268SH DFND 15,26815,2680
Lowe's Companies IncorporatedCOMMON STOCK5486611074435,600SH DFND 5,6005,6000
Luminex CorporationCOMMON STOCK55027E10293946,409SH DFND 46,40946,4090
Luxoft Holding IncCOMMON STOCKG572791042594,974SH DFND 4,9744,9740
Lyondellbasell Indu-cl ACOMMON STOCKN537451004005,375SH DFND 5,3755,3750
M.D.C Holdings IncorporatedCOMMON STOCK5526761082148,800SH DFND 8,8008,8000
Macerich StkCOMMON STOCK5543821011,60018,734SH DFND 18,73418,7340
Mack-Cali Realty Corp.COMMON STOCK5544891042308,533SH DFND 8,5338,5330
Macquarie Infrastructure CorpCOMMON STOCK55608B1053,93653,157SH DFND 53,15753,1570
Macrogenics IncCOMMON STOCK55609910934712,858SH DFND 12,85812,8580
Macy's IncCOMMON STOCK55616P10497428,993SH DFND 28,99328,9930
Magellan Health IncCOMMON STOCK5590792076399,712SH DFND 9,7129,7120
magicJack VocalTec LtdCOMMON STOCKM6787E10112820,282SH DFND 20,28220,2820
Maiden Holdings LtdCOMMON STOCKG5753U11244436,300SH DFND 36,30036,3000
Malibu Boats Inc - ACOMMON STOCK56117J10013210,904SH DFND 10,90410,9040
Mallinckrodt PlcCOMMON STOCKG5785G1073305,434SH DFND 5,4345,4340
Manhattan Associates IncorporatedCOMMON STOCK5627501093014,700SH DFND 4,7004,7000
Manitowoc Company Inc.COMMON STOCK563571108835153,256SH DFND 153,256153,2560
Manning & Napier IncCOMMON STOCK56382Q10214014,747SH DFND 14,74714,7470
MannKind CorpCOMMON STOCK56400P201120103,325SH DFND 103,325103,3250
ManpowerGroup IncCOMMON STOCK56418H1005608,700SH DFND 8,7008,7000
MantechCOMMON STOCK5645631042566,775SH DFND 6,7756,7750
Marathon Petroleum CorpCOMMON STOCK56585A1022456,464SH DFND 6,4646,4640
Marchex IncCOMMON STOCK56624R10811435,900SH DFND 35,90035,9000
Marcus & Millichap IncCOMMON STOCK56632410947918,867SH DFND 18,86718,8670
MarineMax IncCOMMON STOCK56790810839723,400SH DFND 23,40023,4000
Markel CorporationCOMMON STOCK570535104514539SH DFND 5395390
MarketAxess Holdings IncCOMMON STOCK57060D1086404,400SH DFND 4,4004,4000
Marriott International-CL ACOMMON STOCK5719032023,98960,028SH DFND 60,02860,0280
Marriott Vacations Worldwide CorporationCOMMON STOCK57164Y1072744,000SH DFND 4,0004,0000
Martin Marietta Materials IncorporatedCOMMON STOCK5732841069,35048,700SH DFND 48,70048,7000
Marvell Technology GroupCOMMON STOCKG5876H1051,202126,132SH DFND 126,132126,1320
Masco CorporationCOMMON STOCK5745991067,005226,400SH DFND 226,400226,4000
Masimo CorporationCOMMON STOCK57479510070713,464SH DFND 13,46413,4640
Masonite International CorpCOMMON STOCK5753851093,28149,604SH DFND 49,60449,6040
Mastercard Inc-class ACOMMON STOCK57636Q1045846,636SH DFND 6,6366,6360
Matador Resources CoCOMMON STOCK57648520523411,807SH DFND 11,80711,8070
Materion CorpCOMMON STOCK57669010159223,900SH DFND 23,90023,9000
Matrix Service CompanyCOMMON STOCK57685310531218,900SH DFND 18,90018,9000
Matson IncCOMMON STOCK57686G1052929,056SH DFND 9,0569,0560
Mattel IncCOMMON STOCK57708110296430,824SH DFND 30,82430,8240
Mattel IncCOMMON STOCK5770811022698,600SHPutDFND 8,6008,6000
Mattel IncCOMMON STOCK57708110247615,200SHCallDFND 15,20015,2000
Maxim Integrated Products IncorporatedCOMMON STOCK57772K10142811,981SH DFND 11,98111,9810
MB Financial CorpCOMMON STOCK55264U1082908,000SH DFND 8,0008,0000
McDonald's CorpCOMMON STOCK5801351012412,000SH DFND 2,0002,0000
McDonald's CorpCOMMON STOCK5801351011,43211,900SHPutDFND 11,90011,9000
McDonald's CorpCOMMON STOCK5801351016145,100SHCallDFND 5,1005,1000
McGrath RentcorpCOMMON STOCK58058910937612,276SH DFND 12,27612,2760
Mead Johnson Nutrition Co-ACOMMON STOCK5828391067167,886SH DFND 7,8867,8860
Media General IncorporatedCOMMON STOCK58441K10025,1001,460,171SH DFND 1,460,1711,460,1710
Medifast Inc.COMMON STOCK58470H10183525,100SH DFND 25,10025,1000
Medivation IncCOMMON STOCK58501N1012113,500SH DFND 3,5003,5000
Medtronic PLCCOMMON STOCKG5960L1033474,000SH DFND 4,0004,0000
Memorial Resource DevelopmenCOMMON STOCK58605Q10916210,200SH DFND 10,20010,2000
Mentor Graphics CorpCOMMON STOCK58720010624311,423SH DFND 11,42311,4230
Mercer Intl IncCOMMON STOCK5880561019311,672SH DFND 11,67211,6720
Merck & Co. IncorporatedCOMMON STOCK58933Y1052253,900SH DFND 3,9003,9000
Meredith CorpCOMMON STOCK5894331015039,699SH DFND 9,6999,6990
Meridian Bancorp IncCOMMON STOCK58958U10343729,549SH DFND 29,54929,5490
Meridian Bioscience IncCOMMON STOCK58958410179940,961SH DFND 40,96140,9610
Merit Medical Systems Inc.COMMON STOCK58988910424112,139SH DFND 12,13912,1390
Meritage Homes CorpCOMMON STOCK59001A10257115,200SHPutDFND 15,20015,2000
Meritage Homes CorpCOMMON STOCK59001A10268718,300SHCallDFND 18,30018,3000
Merrimack Pharmaceuticals InCOMMON STOCK5903281006111,400SH DFND 11,40011,4000
MetLife Inc.COMMON STOCK59156R1082716,800SH DFND 6,8006,8000
Mettler-Toledo International IncCOMMON STOCK592688105328900SH DFND 9009000
MGIC Investment CorpCOMMON STOCK552848103803134,925SH DFND 134,925134,9250
MGM Resorts InternationalCOMMON STOCK5529531014,752210,000SH DFND 210,000210,0000
Michael Kors Holdings LtdCOMMON STOCKG6075410162712,664SH DFND 12,66412,6640
Michaels Cos Inc/theCOMMON STOCK59408Q1061,47651,903SH DFND 51,90351,9030
Micron Technology IncorporatedCOMMON STOCK5951121032,370172,272SH DFND 172,272172,2720
Microsoft CorporationCOMMON STOCK59491810499219,377SH DFND 19,37719,3770
MicroStrategy IncorporatedCOMMON STOCK5949724081,1036,304SH DFND 6,3046,3040
Mid-America Apartment Communities Inc.COMMON STOCK59522J1032852,678SH DFND 2,6782,6780
Milacron Holdings CorpCOMMON STOCK59870L10614510,000SH DFND 10,00010,0000
Miller (Herman) Inc.COMMON STOCK60054410086028,786SH DFND 28,78628,7860
Mimedx Group IncCOMMON STOCK60249610114217,800SH DFND 17,80017,8000
Mirati Therapeutics IncCOMMON STOCK60468T10525145,900SH DFND 45,90045,9000
Mistras Group IncCOMMON STOCK60649T10738115,970SH DFND 15,97015,9700
MKS Instruments IncCOMMON STOCK55306N1043327,700SH DFND 7,7007,7000
Mobileye NvCOMMON STOCKN514881172,41352,303SH DFND 52,30352,3030
Moelis & CoCOMMON STOCK60786M10541618,489SH DFND 18,48918,4890
Molina Healthcare IncCOMMON STOCK60855R1001,05021,033SH DFND 21,03321,0330
Mondelez International IncCOMMON STOCK60920710518,785412,763SH DFND 412,763412,7630
Monogram Residential Trust ICOMMON STOCK60979P10541040,151SH DFND 40,15140,1510
Monotype Imaging Holdings InCOMMON STOCK61022P10047919,460SH DFND 19,46019,4600
MONSANTO COCOMMON STOCK61166W10114,142136,755SH DFND 136,755136,7550
Monster Beverage CorpCOMMON STOCK61174X1097184,470SH DFND 4,4704,4700
Monster Worldwide IncCOMMON STOCK611742107404168,890SH DFND 168,890168,8900
Moog Inc. -CL ACOMMON STOCK6153942024708,714SH DFND 8,7148,7140
Morgans Hotel Group CoCOMMON STOCK61748W1083516,180SH DFND 16,18016,1800
Morningstar IncCOMMON STOCK6177001096457,886SH DFND 7,8867,8860
Motorola Solutions IncCOMMON STOCK6200763073435,200SH DFND 5,2005,2000
Movado Group Inc.COMMON STOCK62458010677735,821SH DFND 35,82135,8210
MSC Industrial Direct Co IncCOMMON STOCK5535301066639,392SH DFND 9,3929,3920
Msci IncCOMMON STOCK55354G1007549,777SH DFND 9,7779,7770
MSG Networks Inc - ACOMMON STOCK5535731061,26482,402SH DFND 82,40282,4020
MTS Systems CorporationCOMMON STOCK55377710394221,486SH DFND 21,48621,4860
Mylan NVCOMMON STOCKN594651094059,355SH DFND 9,3559,3550
Mylan NVCOMMON STOCKN594651093,45980,000SHCallDFND 80,00080,0000
Myriad Genetics Inc.COMMON STOCK62855J10443414,167SH DFND 14,16714,1670
National Bank Hold-cl ACOMMON STOCK63370710455027,007SH DFND 27,00727,0070
National General HldgsCOMMON STOCK6362203031,42566,542SH DFND 66,54266,5420
National Instruments CorporationCOMMON STOCK63651810235613,000SH DFND 13,00013,0000
Nautilus IncCOMMON STOCK63910B10221111,805SH DFND 11,80511,8050
Navidea Biopharmaceuticals IncCOMMON STOCK63937X1032546,539SH DFND 46,53946,5390
Navigant Consulting Co.COMMON STOCK63935N10724114,900SH DFND 14,90014,9000
Navigators Group IncorporatedCOMMON STOCK6389041024825,244SH DFND 5,2445,2440
NCI Building Systems IncorporatedCOMMON STOCK6288522041,03164,488SH DFND 64,48864,4880
Net 1 UEPS Technologies IncCOMMON STOCK64107N20626026,023SH DFND 26,02326,0230
NetApp IncCOMMON STOCK64110D10457823,511SH DFND 23,51123,5110
NetFlix Inc.COMMON STOCK64110L1061,71018,697SH DFND 18,69718,6970
NeuStar Inc - Class ACOMMON STOCK64126X20130613,000SH DFND 13,00013,0000
Nevro CorpCOMMON STOCK64157F1032593,514SH DFND 3,5143,5140
New Gold IncCOMMON STOCK64453510635881,706SH DFND 81,70681,7060
New Mountain Finance CorpCOMMON STOCK64755110025319,593SH DFND 19,59319,5930
NEW SENIOR INVESTMENT GRCOMMON STOCK64869110367463,072SH DFND 63,07263,0720
New York Reit IncCOMMON STOCK64976L10935438,284SH DFND 38,28438,2840
Newcastle Investment CorpCOMMON STOCK65105M6038117,558SH DFND 17,55817,5580
Newlink Genetics CorpCOMMON STOCK65151110739935,400SH DFND 35,40035,4000
Newmont Mining Corp Hldg CoCOMMON STOCK6516391063017,700SH DFND 7,7007,7000
Newmont Mining Corp Hldg CoCOMMON STOCK6516391061,13429,000SHPutDFND 29,00029,0000
Newmont Mining Corp Hldg CoCOMMON STOCK6516391062195,600SHCallDFND 5,6005,6000
News Corp/new-cl ACOMMON STOCK65249B1091,04792,230SH DFND 92,23092,2300
NEXSTAR BROADCASTING GROUP ICOMMON STOCK65336K10364113,481SH DFND 13,48113,4810
NextEra Energy IncCOMMON STOCK65339F1012,13816,400SHPutDFND 16,40016,4000
NextEra Energy IncCOMMON STOCK65339F1011,53911,800SHCallDFND 11,80011,8000
NIC INCCOMMON STOCK62914B10063528,920SH DFND 28,92028,9200
NIKE IncCOMMON STOCK65410610314,104255,509SH DFND 255,509255,5090
NiSource IncCOMMON STOCK65473P1052,961111,659SH DFND 111,659111,6590
Noble Corp plcCOMMON STOCKG6543110112214,800SH DFND 14,80014,8000
Noble Energy IncCOMMON STOCK6550441052657,393SH DFND 7,3937,3930
Nordson CorpCOMMON STOCK6556631025947,100SH DFND 7,1007,1000
Norfolk Southern Corp.COMMON STOCK6558441082062,420SH DFND 2,4202,4200
Northern Oil And Gas IncCOMMON STOCK6655311098518,444SH DFND 18,44418,4440
Northern Trust CorporationCOMMON STOCK6658591043986,000SH DFND 6,0006,0000
Northstar Asset Managemen-wiCOMMON STOCK66705Y1041,303127,607SH DFND 127,607127,6070
Northwest BiotherapeuticsCOMMON STOCK66737P6001831,660SH DFND 31,66031,6600
Northwest Natural Gas Co.COMMON STOCK6676551041,06716,462SH DFND 16,46216,4620
Norwegian Cruise Line Holdings LtdCOMMON STOCKG667211043749,400SH DFND 9,4009,4000
Nrg Yield Inc-class ACOMMON STOCK62942X30634922,961SH DFND 22,96122,9610
Nuance Communications IncCOMMON STOCK67020Y10093860,044SH DFND 60,04460,0440
Nucor CorporationCOMMON STOCK67034610586017,400SH DFND 17,40017,4000
Nucor CorporationCOMMON STOCK6703461054208,500SHPutDFND 8,5008,5000
Nutri/System IncCOMMON STOCK67069D10886934,252SH DFND 34,25234,2520
NuVasive IncCOMMON STOCK6707041052223,712SH DFND 3,7123,7120
Nvidia CorporationCOMMON STOCK67066G10467214,302SH DFND 14,30214,3020
Nvidia CorporationCOMMON STOCK67066G1042,24747,800SHPutDFND 47,80047,8000
Nvidia CorporationCOMMON STOCK67066G10491219,400SHCallDFND 19,40019,4000
Nxp Semiconductors NvCOMMON STOCKN6596X1092,54932,537SH DFND 32,53732,5370
NxStage Medical Inc.COMMON STOCK67072V10330914,241SH DFND 14,24114,2410
O Reilly Automotive IncCOMMON STOCK67103H1072981,100SH DFND 1,1001,1000
Oasis Petroleum IncCOMMON STOCK67421510833936,242SH DFND 36,24236,2420
Occidental Petroleum CorpCOMMON STOCK6745991052893,822SH DFND 3,8223,8220
Oceaneering Intl IncCOMMON STOCK6752321022066,900SH DFND 6,9006,9000
Oclaro IncCOMMON STOCK67555N20642486,885SH DFND 86,88586,8850
Office Depot IncCOMMON STOCK676220106529159,786SH DFND 159,786159,7860
OGE Energy CorporationCOMMON STOCK67083710358017,700SH DFND 17,70017,7000
Old Rep Intl CorpCOMMON STOCK68022310477840,313SH DFND 40,31340,3130
Ollie's Bargain Outlet HoldiCOMMON STOCK6811161091,75870,622SH DFND 70,62270,6220
Omega Protein StkCOMMON STOCK68210P10758229,108SH DFND 29,10829,1080
Omnicom GroupCOMMON STOCK6819191064735,800SH DFND 5,8005,8000
On Assignment IncCOMMON STOCK68215910865417,693SH DFND 17,69317,6930
On Deck Capital IncCOMMON STOCK68216310010821,047SH DFND 21,04721,0470
ON Semiconductor CorporationCOMMON STOCK68218910566275,053SH DFND 75,05375,0530
One Gas IncCOMMON STOCK68235P10893814,082SH DFND 14,08214,0820
OneBeacon Insurance Group Ltd.COMMON STOCKG6774210929621,480SH DFND 21,48021,4800
ONEOK Inc.COMMON STOCK68268010371215,000SHCallDFND 15,00015,0000
Opko Health IncCOMMON STOCK68375N10325427,173SH DFND 27,17327,1730
Oracle CorporationCOMMON STOCK68389X1055,655138,166SH DFND 138,166138,1660
Orasure Technologies IncorporatedCOMMON STOCK68554V108657111,236SH DFND 111,236111,2360
Orbital ATK IncCOMMON STOCK68557N1031,10813,015SH DFND 13,01513,0150
Orexigen Therapeutics IncCOMMON STOCK686164302512,073SH DFND 12,07312,0730
Organovo Holdings IncCOMMON STOCK68620A10415541,741SH DFND 41,74141,7410
Ormat Technologies IncCOMMON STOCK68668810298922,600SH DFND 22,60022,6000
Orthofix International N.V.COMMON STOCKN6748L10278818,595SH DFND 18,59518,5950
Oshkosh Corp(CLASS B)COMMON STOCK6882392013316,942SH DFND 6,9426,9420
Outfront Media IncCOMMON STOCK69007J1061,12146,391SH DFND 46,39146,3910
Owens & Minor IncCOMMON STOCK69073210240010,700SH DFND 10,70010,7000
Owens Corning IncCOMMON STOCK6907421011,37626,712SH DFND 26,71226,7120
PACCAR Inc.COMMON STOCK6937181082284,400SH DFND 4,4004,4000
Pacific Biosciences of California Inc.COMMON STOCK69404D10823232,921SH DFND 32,92132,9210
Pacific Gas & Elec CoCOMMON STOCK69331C1081,34220,997SH DFND 20,99720,9970
Pacific Sunwear Calif IncCOMMON STOCK694873100024,399SH DFND 24,39924,3990
Packaging Corp Of AmericaCOMMON STOCK6951561093575,335SH DFND 5,3355,3350
Packaging Corp Of AmericaCOMMON STOCK69515610999714,900SHPutDFND 14,90014,9000
Packaging Corp Of AmericaCOMMON STOCK6951561093825,700SHCallDFND 5,7005,7000
Palo Alto Networks IncCOMMON STOCK6974351055154,200SH DFND 4,2004,2000
Paramount Group IncCOMMON STOCK69924R10857135,828SH DFND 35,82835,8280
Parexel International Corp.COMMON STOCK6994621073024,800SH DFND 4,8004,8000
Parker Drilling CompanyCOMMON STOCK7010811013214,133SH DFND 14,13314,1330
Parkway Properties Inc.COMMON STOCK70159Q10444326,505SH DFND 26,50526,5050
Parsley Energy Inc-class ACOMMON STOCK70187710272326,720SH DFND 26,72026,7200
Patrick Industries Inc.COMMON STOCK7033431033495,785SH DFND 5,7855,7850
Pattern Energy Group IncCOMMON STOCK70338P10036715,976SH DFND 15,97615,9760
Patterson Cos IncCOMMON STOCK7033951033787,900SH DFND 7,9007,9000
Paychex Inc.COMMON STOCK7043261071,33322,400SHPutDFND 22,40022,4000
Paychex Inc.COMMON STOCK7043261071,96433,000SHCallDFND 33,00033,0000
Paycom Software IncCOMMON STOCK70432V1021,25629,074SH DFND 29,07429,0740
Paylocity Holding CorpCOMMON STOCK70438V10671316,497SH DFND 16,49716,4970
Paypal Holdings IncCOMMON STOCK70450Y1031,85250,724SH DFND 50,72450,7240
Pbf Energy IncCOMMON STOCK69318G10625410,700SH DFND 10,70010,7000
PC - Tel Inc.COMMON STOCK69325Q10517537,065SH DFND 37,06537,0650
PDC Energy IncCOMMON STOCK69327R10160110,436SH DFND 10,43610,4360
PDF SOLUTIONS INCCOMMON STOCK69328210523216,614SH DFND 16,61416,6140
Pegasystems Inc.COMMON STOCK70557310382630,655SH DFND 30,65530,6550
Penn National Gaming IncCOMMON STOCK70756910944531,900SH DFND 31,90031,9000
Pennsylvania Real Estate Investment TrustCOMMON STOCK70910210755225,754SH DFND 25,75425,7540
Pentair PLCCOMMON STOCKG7S00T10410,508180,275SH DFND 180,275180,2750
Penumbra IncCOMMON STOCK70975L1073275,500SH DFND 5,5005,5000
People's United Financial IncCOMMON STOCK71270410545130,778SH DFND 30,77830,7780
Pepsico IncorporatedCOMMON STOCK71344810823,511221,926SH DFND 221,926221,9260
Pepsico IncorporatedCOMMON STOCK7134481081,63115,400SHPutDFND 15,40015,4000
Pepsico IncorporatedCOMMON STOCK7134481089008,500SHCallDFND 8,5008,5000
Perkinelmer IncorporatedCOMMON STOCK71404610971213,578SH DFND 13,57813,5780
Pernix Therapeutics HoldingsCOMMON STOCK71426V10897215,800SH DFND 215,800215,8000
PetMed Express IncCOMMON STOCK71638210634518,400SH DFND 18,40018,4000
Pfizer IncorporatedCOMMON STOCK71708110375721,500SH DFND 21,50021,5000
PHH CorpCOMMON STOCK69332020236927,679SH DFND 27,67927,6790
Philip Morris InternationalCOMMON STOCK7181721091,20411,837SH DFND 11,83711,8370
Phototronics Inc.COMMON STOCK71940510228031,470SH DFND 31,47031,4700
Physicians Realty TrustCOMMON STOCK71943U10475135,766SH DFND 35,76635,7660
Pier 1 Imports Inc./DelCOMMON STOCK720279108629122,318SH DFND 122,318122,3180
Pinnacle Financial Partners IncCOMMON STOCK72346Q10450510,334SH DFND 10,33410,3340
Pinnacle Foods IncCOMMON STOCK72348P10458912,729SH DFND 12,72912,7290
Pinnacle West Capital CorporationCOMMON STOCK7234841012192,700SH DFND 2,7002,7000
Pioneer Energy Services CorpCOMMON STOCK72366410812527,281SH DFND 27,28127,2810
Pioneer Natural ResourcesCOMMON STOCK72378710713,73190,806SH DFND 90,80690,8060
Pioneer Natural ResourcesCOMMON STOCK7237871072,72218,000SHPutDFND 18,00018,0000
Pioneer Natural ResourcesCOMMON STOCK7237871072,28415,100SHCallDFND 15,10015,1000
Pitney Bowes IncorporatedCOMMON STOCK72447910034019,126SH DFND 19,12619,1260
Pjt Partners Inc - ACOMMON STOCK69343T10710,206443,720SH DFND 443,720443,7200
Planet Fitness Inc - Cl ACOMMON STOCK72703H10145023,850SH DFND 23,85023,8500
Plexus Corp.COMMON STOCK72913210083119,234SH DFND 19,23419,2340
PNC Financial Services GroupCOMMON STOCK6934751051,46317,972SH DFND 17,97217,9720
PNC Financial Services GroupCOMMON STOCK6934751056107,500SHCallDFND 7,5007,5000
Polycom Inc.COMMON STOCK73172K10429926,600SH DFND 26,60026,6000
Pool CorpCOMMON STOCK73278L1055646,000SH DFND 6,0006,0000
Portola Pharmaceuticals IncCOMMON STOCK73701010858424,761SH DFND 24,76124,7610
Post Holdings IncCOMMON STOCK73744610431,551381,562SH DFND 381,562381,5620
Post Properties IncorporatedCOMMON STOCK7374641073044,973SH DFND 4,9734,9730
Potbelly CorpCOMMON STOCK73754Y10056845,285SH DFND 45,28545,2850
PPG Industries IncorporatedCOMMON STOCK6935061071,49414,347SH DFND 14,34714,3470
PPG Industries IncorporatedCOMMON STOCK6935061074794,600SHCallDFND 4,6004,6000
PPL CorporationCOMMON STOCK69351T10699426,326SH DFND 26,32626,3260
Pra Health Sciences IncCOMMON STOCK69354M1081,83543,930SH DFND 43,93043,9300
Praxair IncCOMMON STOCK74005P10429,569263,095SH DFND 263,095263,0950
Premier Inc-class ACOMMON STOCK74051N10277123,589SH DFND 23,58923,5890
Press Ganey Holdings IncCOMMON STOCK74113L10273018,549SH DFND 18,54918,5490
Prestige Brand Holdings IncCOMMON STOCK74112D1013937,100SH DFND 7,1007,1000
Price (T. Rowe) Associates Inc.COMMON STOCK74144T1081,01713,940SH DFND 13,94013,9400
Primerica IncCOMMON STOCK74164M1081,02117,833SH DFND 17,83317,8330
Primoris Services CorpCOMMON STOCK74164F10343022,700SH DFND 22,70022,7000
PrivateBancorp IncCOMMON STOCK74296210327,708629,300SH DFND 629,300629,3000
Procter & Gamble CompanyCOMMON STOCK74271810919,859234,548SH DFND 234,548234,5480
Progenics Pharmaceuticals Inc.COMMON STOCK7431871069,8852,342,388SH OTR 2,342,3882,054,575287,813
Progress Software CorporationCOMMON STOCK74331210050718,446SH DFND 18,44618,4460
Progressive CorporationCOMMON STOCK7433151032948,777SH DFND 8,7778,7770
ProLogis IncCOMMON STOCK74340W1032755,600SHCallDFND 5,6005,6000
Proto Labs IncCOMMON STOCK7437131093405,900SH DFND 5,9005,9000
Prudential Financial Inc.COMMON STOCK7443201023424,800SH DFND 4,8004,8000
PS Business Parks Inc./CACOMMON STOCK69360J1075284,982SH DFND 4,9824,9820
PTC IncCOMMON STOCK69370C10091924,458SH DFND 24,45824,4580
Ptc Therapeutics IncCOMMON STOCK69366J2007410,500SH DFND 10,50010,5000
Public Service Enterprise GPCOMMON STOCK74457310655011,800SH DFND 11,80011,8000
Public StorageCOMMON STOCK74460D1091,8847,371SH DFND 7,3717,3710
PVH CorpCOMMON STOCK6936561001,52616,197SH DFND 16,19716,1970
Qep Resources IncCOMMON STOCK74733V1001,35877,011SH DFND 77,01177,0110
QIAGEN NVCOMMON STOCKN7248210735316,200SH DFND 16,20016,2000
Qihoo 360 Technology Co-adrCOMMON STOCK74734M1096,47288,600SH DFND 88,60088,6000
Qihoo 360 Technology Co-adrCOMMON STOCK74734M1097,305100,000SHPutDFND 100,000100,0000
Qihoo 360 Technology Co-adrCOMMON STOCK74734M1098,963122,700SHCallDFND 122,700122,7000
Qlik Technologies IncCOMMON STOCK74733T10542314,310SH DFND 14,31014,3100
QLogic CorporationCOMMON STOCK74727710177752,697SH DFND 52,69752,6970
Qorvo IncCOMMON STOCK74736K1015249,485SH DFND 9,4859,4850
Quad Graphics IncCOMMON STOCK74730110993440,108SH DFND 40,10840,1080
Qualcomm IncorporatedCOMMON STOCK7475251031,19322,269SH DFND 22,26922,2690
Qualcomm IncorporatedCOMMON STOCK7475251031,17321,900SHPutDFND 21,90021,9000
Qualcomm IncorporatedCOMMON STOCK7475251031,33925,000SHCallDFND 25,00025,0000
Quality Systems IncorporatedCOMMON STOCK74758210430725,740SH DFND 25,74025,7400
Quanex Building ProductsCOMMON STOCK74761910440121,549SH DFND 21,54921,5490
Quanta Services IncorporatedCOMMON STOCK74762E1027,120307,954SH DFND 307,954307,9540
Quantum Corp - DLT & StorageCOMMON STOCK7479062041944,403SH DFND 44,40344,4030
Quest Diagnostics IncorporatedCOMMON STOCK74834L1004886,000SH DFND 6,0006,0000
Quintiles Transnational HoldCOMMON STOCK74876Y1012,44637,446SH DFND 37,44637,4460
R.R. Donnelley & Sons CompanyCOMMON STOCK2578671011,48987,997SH DFND 87,99787,9970
Rackspace Hosting IncCOMMON STOCK7500861001,60176,764SH DFND 76,76476,7640
RAIT Financial TrustCOMMON STOCK7492276098527,286SH DFND 27,28627,2860
Ramco-Gershenson Properties TrustCOMMON STOCK75145220241521,141SH DFND 21,14121,1410
Range Resources CorporationCOMMON STOCK75281A10967615,676SH DFND 15,67615,6760
Range Resources CorporationCOMMON STOCK75281A10966415,400SHPutDFND 15,40015,4000
Range Resources CorporationCOMMON STOCK75281A1091,38932,200SHCallDFND 32,20032,2000
Rapid7 IncCOMMON STOCK75342210453342,387SH DFND 42,38742,3870
Raptor Pharmaceutical CorpCOMMON STOCK75382F106581108,286SH DFND 108,286108,2860
Rayonier Advanced MateriCOMMON STOCK75508B10421816,070SH DFND 16,07016,0700
Rayonier IncorporatedCOMMON STOCK75490710372027,458SH DFND 27,45827,4580
Raytheon CompanyCOMMON STOCK75511150710,39176,435SH DFND 76,43576,4350
Realogy Holdings CorpCOMMON STOCK75605Y10651617,769SH DFND 17,76917,7690
Realpage IncCOMMON STOCK75606N10985738,359SH DFND 38,35938,3590
Realty Income CorporationCOMMON STOCK75610910486712,500SHCallDFND 12,50012,5000
Red Hat Inc.COMMON STOCK7565771022,67036,775SH DFND 36,77536,7750
Regal Beloit CorpCOMMON STOCK75875010378014,168SH DFND 14,16814,1680
Regal Entertainment GroupCOMMON STOCK75876610944420,159SH DFND 20,15920,1590
Regeneron Pharmaceuticals IncorporatedCOMMON STOCK75886F1071,0322,956SH DFND 2,9562,9560
Regions Financial CorporationCOMMON STOCK7591EP10042650,100SH DFND 50,10050,1000
Reinsurance Group Of AmericaCOMMON STOCK7593516043493,600SH DFND 3,6003,6000
Reliance Steel & Aluminum CompanyCOMMON STOCK7595091025467,100SH DFND 7,1007,1000
Renaissance Re Holdings LimitedCOMMON STOCKG7496G1032,62022,310SH DFND 22,31022,3100
Renewable Energy Group IncCOMMON STOCK75972A3011,120126,852SH DFND 126,852126,8520
Rent-A-Center Inc.COMMON STOCK76009N10017814,520SH DFND 14,52014,5200
Repligen CorporationCOMMON STOCK75991610936813,444SH DFND 13,44413,4440
Republic Services IncorporatedCOMMON STOCK76075910086816,925SH DFND 16,92516,9250
Republic Services IncorporatedCOMMON STOCK76075910064712,600SHCallDFND 12,60012,6000
ResMed IncorporatedCOMMON STOCK7611521075218,245SH DFND 8,2458,2450
Resources Global ProfessionalsCOMMON STOCK76122Q10522415,125SH DFND 15,12515,1250
Restoration Hardware HoldingCOMMON STOCK76128310046316,160SH DFND 16,16016,1600
Retail Properties Of Ame - ACOMMON STOCK76131V20236521,622SH DFND 21,62221,6220
Retailmenot IncCOMMON STOCK76132B10672293,680SH DFND 93,68093,6800
Retrophin IncCOMMON STOCK76129910667637,967SH DFND 37,96737,9670
Revance Therapeutics IncCOMMON STOCK76133010937027,200SH DFND 27,20027,2000
Rex Energy CorpCOMMON STOCK7615651001624,395SH DFND 24,39524,3950
Reynolds American IncCOMMON STOCK7617131065,29698,206SH DFND 98,20698,2060
Rice Energy IncCOMMON STOCK76276010681536,969SH DFND 36,96936,9690
Rigel Pharmaceuticals IncCOMMON STOCK7665596036529,251SH DFND 29,25129,2510
Ring Energy IncCOMMON STOCK76680V10817619,905SH DFND 19,90519,9050
Ringcentral Inc-class ACOMMON STOCK76680R20696448,905SH DFND 48,90548,9050
Rite Aid IncorporatedCOMMON STOCK76775410462683,605SH DFND 83,60583,6050
Rite Aid IncorporatedCOMMON STOCK767754104920122,800SHPutDFND 122,800122,8000
Roadrunner Transportation SyCOMMON STOCK76973Q10512316,500SH DFND 16,50016,5000
Robert Half International IncorporatedCOMMON STOCK7703231032,09254,821SH DFND 54,82154,8210
Rockwell Automation CorporationCOMMON STOCK7739031098107,057SH DFND 7,0577,0570
Rogers CorporationCOMMON STOCK77513310162510,222SH DFND 10,22210,2220
Roka Bioscience IncCOMMON STOCK7754311091932,545SH DFND 32,54532,5450
Roper Technologies IncCOMMON STOCK7766961062561,500SH DFND 1,5001,5000
Rowan Cos PlcCOMMON STOCKG7665A10128616,200SH DFND 16,20016,2000
Royal Caribbean Cruises LimitedCOMMON STOCKV7780T1037,204107,286SH DFND 107,286107,2860
RPX CorporationCOMMON STOCK74972G103936102,028SH DFND 102,028102,0280
Rsp Permian IncCOMMON STOCK74978Q1053379,664SH DFND 9,6649,6640
Rubicon Project Inc/theCOMMON STOCK78112V1021,384101,412SH DFND 101,412101,4120
Rudolph Technologies IncoporatedCOMMON STOCK78127010318812,133SH DFND 12,13312,1330
Ruth's Hospitality Group IncCOMMON STOCK78333210953733,656SH DFND 33,65633,6560
Ryder Systems IncorporatedCOMMON STOCK7835491082233,642SH DFND 3,6423,6420
Ryman Hospitality PropertiesCOMMON STOCK78377T1072334,603SH DFND 4,6034,6030
Sabre CorpCOMMON STOCK78573M10475528,164SH DFND 28,16428,1640
Sage Therapeutics IncCOMMON STOCK78667J1082829,373SH DFND 9,3739,3730
Sally Beauty Co IncCOMMON STOCK79546E1042267,700SH DFND 7,7007,7000
Sanderson Farms IncorporatedCOMMON STOCK80001310491010,502SH DFND 10,50210,5020
Sanmina CorpCOMMON STOCK80105610245617,000SH DFND 17,00017,0000
SBA Communications CorpCOMMON STOCK78388J1066395,922SH DFND 5,9225,9220
ScanSource IncCOMMON STOCK80603710756015,100SH DFND 15,10015,1000
Scholastic CorporationCOMMON STOCK8070661051,01125,526SH DFND 25,52625,5260
Schulman (A.) IncorporatedCOMMON STOCK80819410434714,200SH DFND 14,20014,2000
Schwab (Charles) CorporationCOMMON STOCK8085131051,06842,191SH DFND 42,19142,1910
Schwab (Charles) CorporationCOMMON STOCK80851310567826,800SHPutDFND 26,80026,8000
Schwab (Charles) CorporationCOMMON STOCK80851310528311,200SHCallDFND 11,20011,2000
Science Applications InteCOMMON STOCK8086251071,19420,461SH DFND 20,46120,4610
Sciquest IncCOMMON STOCK80908T10131918,067SH DFND 18,06718,0670
Scorpio Tankers IncCOMMON STOCKY7542C10622854,400SH DFND 54,40054,4000
Scotts Miracle-Gro CompanyCOMMON STOCK8101861062032,900SH DFND 2,9002,9000
Scripps Networks InteractiveCOMMON STOCK81106510169211,114SH DFND 11,11411,1140
Seaworld Entertainment IncCOMMON STOCK81282V10018312,800SH DFND 12,80012,8000
SEI Investments CompanyCOMMON STOCK7841171033186,600SH DFND 6,6006,6000
Select Comfort CorporationCOMMON STOCK81616X10326212,257SH DFND 12,25712,2570
Select Medical Holdings CorpCOMMON STOCK81619Q10532630,000SH DFND 30,00030,0000
Selective Insurance Group IncorporatedCOMMON STOCK8163001073789,900SH DFND 9,9009,9000
Semgroup Corp-class ACOMMON STOCK81663A1051,73653,305SH DFND 53,30553,3050
Sempra EnergyCOMMON STOCK8168511097386,475SH DFND 6,4756,4750
Semtech CorporationCOMMON STOCK81685010161025,552SH DFND 25,55225,5520
Senior Housing Prop TrustCOMMON STOCK81721M10938518,461SH DFND 18,46118,4610
Seritage Growth Prop- A ReitCOMMON STOCK81752R1002805,614SH DFND 5,6145,6140
Service Corporation InternationalCOMMON STOCK8175651041,31948,775SH DFND 48,77548,7750
Servicemaster Global HoldingCOMMON STOCK81761R1092997,512SH DFND 7,5127,5120
Seventy Seven Energy IncCOMMON STOCK818097107116,041SH DFND 16,04116,0410
Shake Shack Inc - Class ACOMMON STOCK8190471013509,600SH DFND 9,6009,6000
Ship Finance International LtdCOMMON STOCKG8107510619012,900SH DFND 12,90012,9000
Shoe Carnival IncorporatedCOMMON STOCK82488910938215,238SH DFND 15,23815,2380
Shoretel IncCOMMON STOCK8252111057411,000SH DFND 11,00011,0000
Shutterfly IncCOMMON STOCK82568P30491319,579SH DFND 19,57919,5790
Shutterstock IncCOMMON STOCK82569010061413,398SH DFND 13,39813,3980
Signature Bank/New York NYCOMMON STOCK82669G1042,99123,944SH DFND 23,94423,9440
Signet Jewelers LimitedCOMMON STOCKG812761001,02512,432SH DFND 12,43212,4320
Silver Bay Realty Trust CorpCOMMON STOCK82735Q10244325,991SH DFND 25,99125,9910
Silver Spring Networks IncCOMMON STOCK82817Q10323319,200SH DFND 19,20019,2000
Silver Wheaton Corp (USD)COMMON STOCK8283361072,00385,108SH DFND 85,10885,1080
Simon Property Group IncorporatedCOMMON STOCK8288061091,9529,000SHPutDFND 9,0009,0000
Simon Property Group IncorporatedCOMMON STOCK8288061091,5837,300SHCallDFND 7,3007,3000
Simpson Manufacturing Company IncCOMMON STOCK82907310572318,100SH DFND 18,10018,1000
Sina CorpCOMMON STOCKG814771044879,393SH DFND 9,3939,3930
Sinclair Broadcast Group - ACOMMON STOCK82922610959119,799SH DFND 19,79919,7990
Sirius XM Holdings IncCOMMON STOCK82968B103465117,700SH DFND 117,700117,7000
SJW CorporationCOMMON STOCK7843051042807,105SH DFND 7,1057,1050
Skullcandy IncCOMMON STOCK83083J1048714,240SH DFND 14,24014,2400
SkyWest IncorporatedCOMMON STOCK83087910251119,300SH DFND 19,30019,3000
Skyworks Solutions IncorporatedCOMMON STOCK83088M10270711,168SH DFND 11,16811,1680
SL Green Realty CorporationCOMMON STOCK78440X1015985,614SH DFND 5,6145,6140
SLM Corp.COMMON STOCK78442P10635557,400SH DFND 57,40057,4000
SM Energy CoCOMMON STOCK78454L1002649,794SH DFND 9,7949,7940
SM Energy CoCOMMON STOCK78454L1002358,700SHCallDFND 8,7008,7000
Smith & Wesson Holding CorpCOMMON STOCK8317561011,55457,164SH DFND 57,16457,1640
Smith (A.O.) CorporationCOMMON STOCK83186520993410,600SHCallDFND 10,60010,6000
Smucker (J.M.) CompanyCOMMON STOCK8326964054793,146SH DFND 3,1463,1460
Smucker (J.M.) CompanyCOMMON STOCK8326964051,79811,800SHPutDFND 11,80011,8000
Smucker (J.M.) CompanyCOMMON STOCK8326964056104,000SHCallDFND 4,0004,0000
Snap-on IncorporatedCOMMON STOCK8330341014592,907SH DFND 2,9072,9070
Sonic Automotive IncorporatedCOMMON STOCK83545G10217310,100SH DFND 10,10010,1000
Sonoco Products CompanyCOMMON STOCK8354951023136,303SH DFND 6,3036,3030
South Jersey Industries IncorporatedCOMMON STOCK83851810856417,830SH DFND 17,83017,8300
Southern CompanyCOMMON STOCK8425871075099,500SH DFND 9,5009,5000
Southern CompanyCOMMON STOCK8425871071,53928,700SHPutDFND 28,70028,7000
Southwest Gas CorporationCOMMON STOCK8448951024015,095SH DFND 5,0955,0950
Southwestern Energy CompanyCOMMON STOCK8454671092,396190,455SH DFND 190,455190,4550
Spark Therapeutics IncCOMMON STOCK84652J1031,15022,500SH DFND 22,50022,5000
Spartan Motors IncorporatedCOMMON STOCK8468191007512,043SH DFND 12,04312,0430
SpartanNash CoCOMMON STOCK84721510040713,300SH DFND 13,30013,3000
SPDR S&P 500 ETF TrustCOMMON STOCK78462F1031,748,1068,345,200SHPutDFND 8,345,2008,345,2000
SPDR S&P 500 ETF TrustCOMMON STOCK78462F103301,0331,437,100SHCallDFND 1,437,1001,437,1000
SPDR S&P Metals & Mining ETFCOMMON STOCK78464A7553,238132,660SH DFND 132,660132,6600
Spectrum Brands Holdings IncCOMMON STOCK84763R1012361,977SH DFND 1,9771,9770
Spectrum Pharmaceuticals IncCOMMON STOCK84763A10828142,767SH DFND 42,76742,7670
Spirit Aerosystems Hold - Class ACOMMON STOCK8485741091,35131,412SH DFND 31,41231,4120
Spirit Realty Capital IncCOMMON STOCK84860W10215011,776SH DFND 11,77611,7760
Splunk IncCOMMON STOCK8486371041,18821,920SH DFND 21,92021,9200
Sprint CorpCOMMON STOCK85207U10542994,692SH DFND 94,69294,6920
Sprouts Farmers Market IncCOMMON STOCK85208M10276733,475SH DFND 33,47533,4750
SPX CorporationCOMMON STOCK78463510461041,088SH DFND 41,08841,0880
Spx Flow IncCOMMON STOCK78469X10730011,520SH DFND 11,52011,5200
SS&C Technologies HoldingsCOMMON STOCK78467J1001,08238,549SH DFND 38,54938,5490
St Jude Med Inc (Stj)COMMON STOCK79084910325,895331,990SH DFND 331,990331,9900
Stamps.com IncCOMMON STOCK8528572001,37815,766SH DFND 15,76615,7660
Staples IncorporatedCOMMON STOCK85503010249757,692SH DFND 57,69257,6920
Starbucks CorporationCOMMON STOCK8552441095,31393,022SH DFND 93,02293,0220
Starwood Hotels & ResortsCOMMON STOCK85590A40140,253544,333SH DFND 544,333544,3330
StarzCOMMON STOCK85571Q1023,271109,309SH DFND 109,309109,3090
State Street CorporationCOMMON STOCK85747710359010,933SH DFND 10,93310,9330
Steel Dynamics IncorporatedCOMMON STOCK8581191001,33254,351SH DFND 54,35154,3510
Steelcase Incorporated - CL ACOMMON STOCK85815520350437,164SH DFND 37,16437,1640
Stepan CompanyCOMMON STOCK85858610071311,980SH DFND 11,98011,9800
Stericycle IncCOMMON STOCK8589121084254,082SH DFND 4,0824,0820
Steris PlcCOMMON STOCKG847201045788,400SH DFND 8,4008,4000
Store Capital CorpCOMMON STOCK8621211001,36346,273SH DFND 46,27346,2730
Strayer Education IncCOMMON STOCK8632361054228,596SH DFND 8,5968,5960
Stryker CorporationCOMMON STOCK8636671014433,700SH DFND 3,7003,7000
Sturm Ruger & Company IncorporatedCOMMON STOCK8641591083906,093SH DFND 6,0936,0930
Sucampo Pharmaceuticals - Class ACOMMON STOCK86490910619718,000SH DFND 18,00018,0000
Summit Materials Inc -cl ACOMMON STOCK86614U10032415,814SH DFND 15,81415,8140
Sun Communities IncCOMMON STOCK8666741044025,239SH DFND 5,2395,2390
Suncoke Energy IncCOMMON STOCK86722A10324241,586SH DFND 41,58641,5860
Sunpower Corp - Class ACOMMON STOCK86765240646029,700SH DFND 29,70029,7000
Sunrun IncCOMMON STOCK86771W10516728,100SH DFND 28,10028,1000
SunTrust Banks IncCOMMON STOCK8679141032345,700SH DFND 5,7005,7000
Superior Industries International Inc.COMMON STOCK86816810543516,251SH DFND 16,25116,2510
Supernus Pharmaceuticals IncCOMMON STOCK86845910829514,500SH DFND 14,50014,5000
SUPERVALU INCORPORATEDCOMMON STOCK86853610322948,576SH DFND 48,57648,5760
support.com IncCOMMON STOCK86858W1011213,793SH DFND 13,79313,7930
Surmodics IncCOMMON STOCK86887310028712,206SH DFND 12,20612,2060
Sykes Enterprises Inc.COMMON STOCK87123710342614,726SH DFND 14,72614,7260
Symantec CorporationCOMMON STOCK8715031081,89392,160SH DFND 92,16092,1600
Synaptics IncCOMMON STOCK87157D1093827,100SH DFND 7,1007,1000
Synaptics IncCOMMON STOCK87157D1091,03219,200SHPutDFND 19,20019,2000
Synaptics IncCOMMON STOCK87157D1091,08620,200SHCallDFND 20,20020,2000
Synchronoss Technologies IncCOMMON STOCK87157B1032026,354SH DFND 6,3546,3540
Synchrony FinancialCOMMON STOCK87165B1037,263287,300SH DFND 287,300287,3000
Synergy Pharmaceuticals IncCOMMON STOCK87163930813134,385SH DFND 34,38534,3850
Synergy Resources CorpCOMMON STOCK87164P10336454,700SH DFND 54,70054,7000
SYNNEX CORPCOMMON STOCK87162W1003133,300SH DFND 3,3003,3000
Synopsys IncCOMMON STOCK87160710756610,473SH DFND 10,47310,4730
Tahoe Resources IncCOMMON STOCK87386810347631,800SH DFND 31,80031,8000
Take - Two Interactive SoftwareCOMMON STOCK8740541091,15430,423SH DFND 30,42330,4230
Talen Energy CorpCOMMON STOCK87422J10547334,897SH DFND 34,89734,8970
Tallgrass Energy Gp LpCOMMON STOCK87469610729012,835SH DFND 12,83512,8350
Targa Resources Corp.COMMON STOCK87612G10160714,394SH DFND 14,39414,3940
Target CorporationCOMMON STOCK87612E1062,12630,446SH DFND 30,44630,4460
Taubman Centers Inc.COMMON STOCK87666410385611,541SH DFND 11,54111,5410
TCF Financial CorporationCOMMON STOCK87227510239631,300SH DFND 31,30031,3000
Tech Data Corp.COMMON STOCK8782371065077,053SH DFND 7,0537,0530
Teekay Tankers Ltd-class ACOMMON STOCKY8565N102321107,700SH DFND 107,700107,7000
TEGNA IncCOMMON STOCK87901J10559725,782SH DFND 25,78225,7820
Teleflex Inc.COMMON STOCK8793691063722,100SH DFND 2,1002,1000
Telephone and Data Systems IncorporatedCOMMON STOCK87943382978926,610SH DFND 26,61026,6100
Tempur Sealy International IncCOMMON STOCK88023U1012274,100SH DFND 4,1004,1000
Tenneco IncCOMMON STOCK8803491053026,484SH DFND 6,4846,4840
Teradata CorpCOMMON STOCK88076W10337314,860SH DFND 14,86014,8600
Terex Corp.COMMON STOCK88077910334717,100SH DFND 17,10017,1000
Terraform Global IncCOMMON STOCK88104M10114343,909SH DFND 43,90943,9090
Terraform Power Inc - ACOMMON STOCK88104R10021619,800SH DFND 19,80019,8000
Tesaro IncCOMMON STOCK8815691074084,851SH DFND 4,8514,8510
Tesco CorpCOMMON STOCK88157K10124836,999SH DFND 36,99936,9990
Tesla Motors IncCOMMON STOCK88160R1011,0374,886SH DFND 4,8864,8860
Tessera Technologies IncCOMMON STOCK88164L1001,10336,007SH DFND 36,00736,0070
Tetra Tech IncorporatedCOMMON STOCK88162G10340013,000SH DFND 13,00013,0000
TETRA Technologies Inc.COMMON STOCK88162F105687107,891SH DFND 107,891107,8910
Tetraphase Pharmaceuticals ICOMMON STOCK88165N1056515,157SH DFND 15,15715,1570
Texas Instruments IncorporatedCOMMON STOCK88250810492714,800SHPutDFND 14,80014,8000
Texas Instruments IncorporatedCOMMON STOCK8825081045398,600SHCallDFND 8,6008,6000
Texas Roadhouse Inc - CL ACOMMON STOCK8826811093567,800SH DFND 7,8007,8000
Textron IncorporatedCOMMON STOCK88320310116,310446,107SH DFND 446,107446,1070
Textron IncorporatedCOMMON STOCK8832031012,19460,000SHCallDFND 60,00060,0000
TFS Financial CorpCOMMON STOCK87240R10736020,923SH DFND 20,92320,9230
The Brinks CompanyCOMMON STOCK10969610453618,800SH DFND 18,80018,8000
The Coca-Cola CompanyCOMMON STOCK1912161002134,700SHPutDFND 4,7004,7000
The Coca-Cola CompanyCOMMON STOCK1912161003497,700SHCallDFND 7,7007,7000
The Ensign Group IncCOMMON STOCK29358P10141219,600SH DFND 19,60019,6000
Thermo Fisher Scientific IncCOMMON STOCK8835561025323,600SH DFND 3,6003,6000
Thor Industries Inc.COMMON STOCK88516010195014,674SH DFND 14,67414,6740
TICC Capital CorpCOMMON STOCK87244T10925348,095SH DFND 48,09548,0950
Tidewater IncorporatedCOMMON STOCK8864231026013,600SH DFND 13,60013,6000
TIFFANY & CO NEWCOMMON STOCK8865471081,25320,656SH DFND 20,65620,6560
Tile Shop Hldgs IncCOMMON STOCK88677Q10940220,200SH DFND 20,20020,2000
Timken CompanyCOMMON STOCK88738910459419,381SH DFND 19,38119,3810
Timkensteel CorpCOMMON STOCK8873991032,559266,000SH DFND 266,000266,0000
TJX Companies Inc.COMMON STOCK8725401092473,200SH DFND 3,2003,2000
T-Mobile US IncCOMMON STOCK8725901042736,300SH DFND 6,3006,3000
Toll Brothers Inc.COMMON STOCK88947810349518,400SH DFND 18,40018,4000
Toro CompanyCOMMON STOCK8910921083003,400SH DFND 3,4003,4000
Total System Services Inc.COMMON STOCK8919061094578,600SH DFND 8,6008,6000
Tower International IncCOMMON STOCK89182610966732,419SH DFND 32,41932,4190
TOWER SEMICONDUCTORCOMMON STOCKM8791527416112,959SH DFND 12,95912,9590
Transdigm Group IncCOMMON STOCK8936411007382,800SH DFND 2,8002,8000
Transocean Ltd (USD)COMMON STOCKH8817H1001,354113,904SH DFND 113,904113,9040
TransUnionCOMMON STOCK89400J1071,97358,987SH DFND 58,98758,9870
Travelers Cos Inc/TheCOMMON STOCK89417E1096,86357,655SH DFND 57,65557,6550
Travelport Worldwide LtdCOMMON STOCKG9019D10431024,081SH DFND 24,08124,0810
TRI Pointe Group IncCOMMON STOCK87265H10914712,400SH DFND 12,40012,4000
Triangle Petroleum CorpCOMMON STOCK89600B2011656,170SH DFND 56,17056,1700
Trimas CorpCOMMON STOCK89621520957531,968SH DFND 31,96831,9680
Trinet Group IncCOMMON STOCK89628810779438,193SH DFND 38,19338,1930
Trinseo SaCOMMON STOCKL9340P1012,29153,375SH DFND 53,37553,3750
TripAdvisor IncCOMMON STOCK8969452013,79759,048SH DFND 59,04859,0480
Triple-s Management Corp-bCOMMON STOCK89674910837115,195SH DFND 15,19515,1950
TrueBlue IncCOMMON STOCK89785X10136919,500SH DFND 19,50019,5000
Trustmark CorporationCOMMON STOCK89840210225610,300SH DFND 10,30010,3000
TTM TechnologiesCOMMON STOCK87305R10927336,200SH DFND 36,20036,2000
Turquoise Hill Resources LtdCOMMON STOCK9004351087221,276SH DFND 21,27621,2760
Tutor Perini CorpCOMMON STOCK90110910827111,515SH DFND 11,51511,5150
Twenty-First Century Fox Inc - CL ACOMMON STOCK90130A1011,78365,930SH DFND 65,93065,9300
Twitter IncCOMMON STOCK90184L10262136,728SH DFND 36,72836,7280
Two Harbors Investment CorpCOMMON STOCK90187B1011,469171,569SH DFND 171,569171,5690
Tyler Technologies Inc.COMMON STOCK9022521051,1506,900SHPutDFND 6,9006,9000
Tyson Foods Inc-- Class ACOMMON STOCK90249410381912,263SH DFND 12,26312,2630
Ubiquiti Networks IncCOMMON STOCK90347A1002095,400SH DFND 5,4005,4000
UDR IncCOMMON STOCK9026531041,67145,270SH DFND 45,27045,2700
UGI CORPCOMMON STOCK9026811054259,390SH DFND 9,3909,3900
Ulta Salon Cosmetics & Fragrance Inc.COMMON STOCK90384S3036092,500SHPutDFND 2,5002,5000
Ulta Salon Cosmetics & Fragrance Inc.COMMON STOCK90384S3032,63010,800SHCallDFND 10,80010,8000
Ultimate Software Group IncCOMMON STOCK90385D1078654,112SH DFND 4,1124,1120
Ultimate Software Group IncCOMMON STOCK90385D1079474,500SHPutDFND 4,5004,5000
Ultimate Software Group IncCOMMON STOCK90385D1071,2205,800SHCallDFND 5,8005,8000
Ultrapetrol (Bahamas) LtdCOMMON STOCKP94398107413,500SH DFND 13,50013,5000
UMB Financial Corp.COMMON STOCK9027881084468,385SH DFND 8,3858,3850
Umpqua Holdings CorpCOMMON STOCK90421410321714,000SH DFND 14,00014,0000
Unifirst Corp STKCOMMON STOCK9047081044303,716SH DFND 3,7163,7160
Union Bankshares CorpCOMMON STOCK90539J10924910,058SH DFND 10,05810,0580
United Bankshares Inc W VACOMMON STOCK9099071072466,562SH DFND 6,5626,5620
United Community Banks Inc/GACOMMON STOCK90984P30357231,300SH DFND 31,30031,3000
United Continental Holdings IncCOMMON STOCK9100471092836,900SH DFND 6,9006,9000
United HealthCare GroupCOMMON STOCK91324P1025493,890SH DFND 3,8903,8900
United HealthCare GroupCOMMON STOCK91324P1021,0737,600SHPutDFND 7,6007,6000
United HealthCare GroupCOMMON STOCK91324P1022,18915,500SHCallDFND 15,50015,5000
United Natural Foods IncCOMMON STOCK9111631034058,655SH DFND 8,6558,6550
United Online Inc.COMMON STOCK91126820912911,730SH DFND 11,73011,7300
United Parcel ServiceCOMMON STOCK9113121061,85317,200SH DFND 17,20017,2000
United States Steel CorpCOMMON STOCK91290910821412,700SH DFND 12,70012,7000
United States Steel CorpCOMMON STOCK91290910882649,000SHPutDFND 49,00049,0000
United States Steel CorpCOMMON STOCK9129091081,708101,300SHCallDFND 101,300101,3000
United Technologies Corp.COMMON STOCK9130171098,72585,084SH DFND 85,08485,0840
United Therapeutics Corp.COMMON STOCK91307C1023923,700SH DFND 3,7003,7000
Univar IncCOMMON STOCK91336L10722511,897SH DFND 11,89711,8970
Universal Corp.-VirginiaCOMMON STOCK9134561091,27021,988SH DFND 21,98821,9880
Universal Forest ProductsCOMMON STOCK9135431043804,100SH DFND 4,1004,1000
Universal Health Services (CLASS B)COMMON STOCK9139031004793,571SH DFND 3,5713,5710
Universal Insurance HoldingsCOMMON STOCK91359V10743423,366SH DFND 23,36623,3660
Unum GroupCOMMON STOCK91529Y1061,51147,546SH DFND 47,54647,5460
Urban Outfitters Inc.COMMON STOCK91704710229110,565SH DFND 10,56510,5650
US BancorpCOMMON STOCK9029733041,18229,300SHPutDFND 29,30029,3000
US BancorpCOMMON STOCK9029733043358,300SHCallDFND 8,3008,3000
Us Concrete IncCOMMON STOCK90333L2013175,200SH DFND 5,2005,2000
Us Silica Holdings IncCOMMON STOCK90346E10355816,200SHCallDFND 16,20016,2000
VAIL RESORTS INCCOMMON STOCK91879Q1091,92713,940SH DFND 13,94013,9400
Vale SA - ADRCOMMON STOCK91912E10534367,748SH DFND 67,74867,7480
Valero Energy CorporationCOMMON STOCK91913Y1003116,100SH DFND 6,1006,1000
Valley National BancorpCOMMON STOCK9197941079,056992,980SH DFND 992,980992,9800
Valspar CorporationCOMMON STOCK92035510422,295206,378SH DFND 206,378206,3780
Vanda Pharmaceuticals IncCOMMON STOCK92165910814212,719SH DFND 12,71912,7190
Vantiv Inc - Cl ACOMMON STOCK92210H10557710,200SH DFND 10,20010,2000
Varian Medical Systems Inc.COMMON STOCK92220P1056097,408SH DFND 7,4087,4080
Varonis Systems IncCOMMON STOCK92228010227411,394SH DFND 11,39411,3940
Vector Group Ltd.COMMON STOCK92240M10837616,768SH DFND 16,76816,7680
Veeva Systems Inc-class ACOMMON STOCK92247510841312,100SH DFND 12,10012,1000
Ventas IncCOMMON STOCK92276F1004666,400SHPutDFND 6,4006,4000
Ventas IncCOMMON STOCK92276F1004376,000SHCallDFND 6,0006,0000
Vera Bradley IncCOMMON STOCK92335C10614410,157SH DFND 10,15710,1570
VEREIT IncCOMMON STOCK92339V10066865,915SH DFND 65,91565,9150
VeriFone Systems IncCOMMON STOCK92342Y10933317,947SH DFND 17,94717,9470
VERINT SYS INCCOMMON STOCK92343X1001,64349,603SH DFND 49,60349,6030
Verisign Inc.COMMON STOCK92343E1022,77832,129SH DFND 32,12932,1290
Verizon CommunicationsCOMMON STOCK92343V1043,87569,400SHPutDFND 69,40069,4000
Verizon CommunicationsCOMMON STOCK92343V1044,76885,400SHCallDFND 85,40085,4000
VF CorporationCOMMON STOCK9182041081,40822,900SHPutDFND 22,90022,9000
VF CorporationCOMMON STOCK9182041084066,600SHCallDFND 6,6006,6000
Vince Holding CorpCOMMON STOCK92719W10825145,891SH DFND 45,89145,8910
Vipshop Holdings Ltd - Ads - ADRCOMMON STOCK92763W10311,6731,045,000SH DFND 1,045,0001,045,0000
Vipshop Holdings Ltd - Ads - ADRCOMMON STOCK92763W10314,5211,300,000SHCallDFND 1,300,0001,300,0000
Virgin America IncCOMMON STOCK92765X20813,755244,704SH DFND 244,704244,7040
Virtu Financial Inc-class ACOMMON STOCK9282541011,07259,561SH DFND 59,56159,5610
Visa Inc - Class A SharesCOMMON STOCK92826C83939,015526,018SH DFND 526,018526,0180
Visa Inc - Class A SharesCOMMON STOCK92826C8395126,900SHPutDFND 6,9006,9000
Visa Inc - Class A SharesCOMMON STOCK92826C8391,35718,300SHCallDFND 18,30018,3000
Vishay Intertechnology Inc.COMMON STOCK9282981081,468118,513SH DFND 118,513118,5130
Vista Outdoor IncCOMMON STOCK9283771001,19425,023SH DFND 25,02325,0230
Visteon CorpCOMMON STOCK92839U2064396,672SH DFND 6,6726,6720
Vitamin Shoppe IncCOMMON STOCK92849E1013019,840SH DFND 9,8409,8400
Vmware Inc-class ACOMMON STOCK9285634022,68546,916SH DFND 46,91646,9160
Vonage HoldingsCOMMON STOCK92886T20146876,715SH DFND 76,71576,7150
Voya Financial IncCOMMON STOCK9290891001,63365,946SH DFND 65,94665,9460
Vwr CorpCOMMON STOCK91843L1031,09137,756SH DFND 37,75637,7560
W&T Offshore IncCOMMON STOCK92922P1064720,187SH DFND 20,18720,1870
W.R. Berkley CorporationCOMMON STOCK0844231025899,825SH DFND 9,8259,8250
W.R. Grace & CompanyCOMMON STOCK38388F1082,63736,024SH DFND 36,02436,0240
Wabash National CorporationCOMMON STOCK92956610748237,945SH DFND 37,94537,9450
Wabco Holdings IncCOMMON STOCK92927K10215,130165,227SH DFND 165,227165,2270
Wabtec CorporationCOMMON STOCK9297401082,19931,309SH DFND 31,30931,3090
Waddell & Reed Financial Inc.-CL ACOMMON STOCK93005910036721,300SH DFND 21,30021,3000
Walgreens Boots Alliance IncCOMMON STOCK9314271082,60431,272SH DFND 31,27231,2720
Wal-Mart Stores IncorporatedCOMMON STOCK9311421033,07442,100SHPutDFND 42,10042,1000
Wal-Mart Stores IncorporatedCOMMON STOCK9311421033,70350,700SHCallDFND 50,70050,7000
Warren Resources IncCOMMON STOCK93564A100011,320SH DFND 11,32011,3200
Washington Real Estate Investment TrustCOMMON STOCK93965310163920,305SH DFND 20,30520,3050
Waste Management Inc.COMMON STOCK94106L10985512,900SHPutDFND 12,90012,9000
Waste Management Inc.COMMON STOCK94106L1091,20618,200SHCallDFND 18,20018,2000
Waters CorporationCOMMON STOCK9418481033942,800SH DFND 2,8002,8000
Watts Water Technologies IncCOMMON STOCK9427491022544,358SH DFND 4,3584,3580
Web.com Group IncCOMMON STOCK94733A10431517,300SH DFND 17,30017,3000
WebMD Health CorpCOMMON STOCK94770V1024537,800SH DFND 7,8007,8000
WEC Energy Group IncCOMMON STOCK92939U1063074,700SH DFND 4,7004,7000
Weingarten Realty InvestorsCOMMON STOCK94874110355713,653SH DFND 13,65313,6530
WellCare Health Plans IncCOMMON STOCK94946T1069088,462SH DFND 8,4628,4620
Wells Fargo CompanyCOMMON STOCK9497461013,04464,314SH DFND 64,31464,3140
Welltower IncCOMMON STOCK95040Q1041,53920,200SHPutDFND 20,20020,2000
Welltower IncCOMMON STOCK95040Q1041,76723,200SHCallDFND 23,20023,2000
Wendy's Co/TheCOMMON STOCK95058W10036838,300SH DFND 38,30038,3000
WESCO InternationalCOMMON STOCK95082P1057,621148,000SH DFND 148,000148,0000
West CorpCOMMON STOCK95235520450625,731SH DFND 25,73125,7310
West Pharmaceutical Services IncorporateCOMMON STOCK9553061051,06214,000SH DFND 14,00014,0000
Westar Energy Inc.COMMON STOCK95709T1005109,100SH DFND 9,1009,1000
Western Alliance BancorpCOMMON STOCK95763810968921,100SH DFND 21,10021,1000
Western Union CompanyCOMMON STOCK9598021091,08856,712SH DFND 56,71256,7120
Westlake Chemical CorpCOMMON STOCK96041310254112,611SH DFND 12,61112,6110
Westrock CoCOMMON STOCK96145D1057,723198,700SH DFND 198,700198,7000
Weyerhaeuser CompanyCOMMON STOCK96216610413,724460,985SH DFND 460,985460,9850
WGL Holdings Inc.COMMON STOCK92924F1064115,800SH DFND 5,8005,8000
Whitewave Foods Co - ACOMMON STOCK9662441052184,647SH DFND 4,6474,6470
Whiting Petroleum CorpCOMMON STOCK96638710219220,765SH DFND 20,76520,7650
Wiley (john) & Sons -cl ACOMMON STOCK96822320658111,125SH DFND 11,12511,1250
Willbros Group IncorporatedCOMMON STOCK9692031083614,352SH DFND 14,35214,3520
Williams-Sonoma IncCOMMON STOCK9699041013546,800SH DFND 6,8006,8000
Windstream Holdings IncCOMMON STOCK97382A20051455,436SH DFND 55,43655,4360
Winnebago Industries Inc.COMMON STOCK97463710040817,800SH DFND 17,80017,8000
Wintrust Financial CorpCOMMON STOCK97650W1084,99097,849SH DFND 97,84997,8490
Wix.com LtdCOMMON STOCKM980681052919,600SH DFND 9,6009,6000
World Fuel Services CorporationCOMMON STOCK9814751061,06122,349SH DFND 22,34922,3490
Worthington Industries IncorporatedCOMMON STOCK98181110260414,269SH DFND 14,26914,2690
WP GLIMCHER IncCOMMON STOCK92939N10278670,270SH DFND 70,27070,2700
Wpx Energy IncCOMMON STOCK98212B10341444,514SH DFND 44,51444,5140
Wyndham Worldwide CorpCOMMON STOCK98310W1084,69565,911SH DFND 65,91165,9110
XCEL Energy IncorporatedCOMMON STOCK98389B1002826,300SH DFND 6,3006,3000
Xcerra CorpCOMMON STOCK98400J1087012,138SH DFND 12,13812,1380
Xenia Hotels & Resorts IncCOMMON STOCK98401710354132,245SH DFND 32,24532,2450
Xerox CorpCOMMON STOCK9841211032,016212,458SH DFND 212,458212,4580
XOMA CorpCOMMON STOCK98419J1071730,730SH DFND 30,73030,7300
Xylem IncCOMMON STOCK98419M10076817,200SH DFND 17,20017,2000
Yahoo! IncorporatedCOMMON STOCK9843321069,921264,138SH DFND 264,138264,1380
Yelp IncCOMMON STOCK98581710554417,906SH DFND 17,90617,9060
Yum! Brands IncCOMMON STOCK9884981014,43853,521SH DFND 53,52153,5210
Zafgen IncCOMMON STOCK98885E1039015,020SH DFND 15,02015,0200
Zagg IncCOMMON STOCK98884U10849894,870SH DFND 94,87094,8700
Zayo Group Holdings IncCOMMON STOCK98919V1053,375120,846SH DFND 120,846120,8460
Zendesk IncCOMMON STOCK98936J1011,33150,451SH DFND 50,45150,4510
Zillow Group Inc - CCOMMON STOCK98954M20041211,367SH DFND 11,36711,3670
Zimmer Biomet Holdings IncCOMMON STOCK98956P10250,509419,579SH DFND 419,579419,5790
Zions BancorporationCOMMON STOCK98970110764525,647SH DFND 25,64725,6470
Ziopharm Oncology IncCOMMON STOCK98973P10114326,106SH DFND 26,10626,1060
Zix CorporationCOMMON STOCK98974P100436116,341SH DFND 116,341116,3410
Zoetis IncCOMMON STOCK98978V10391619,300SH DFND 19,30019,3000
Zynga IncCOMMON STOCK98986T10820582,170SH DFND 82,17082,1700
Advisory Board CoCOMMON STOCK00762W10756415,943SH DFND 15,94315,9430
Akebia Therapeutics IncCOMMON STOCK00972D10514118,798SH DFND 18,79818,7980
American Assets Trust IncCOMMON STOCK0240131042445,754SH DFND 5,7545,7540
Amphastar Pharmaceuticals InCOMMON STOCK03209R10348830,276SH DFND 30,27630,2760
Anheuser-Busch Inbev Spn ADRCOMMON STOCK03524A1081,1718,893SH DFND 8,8938,8930
Apple Hospitality Reit IncCOMMON STOCK03784Y20029415,649SH DFND 15,64915,6490
Avangrid IncCOMMON STOCK05351W10353311,570SH DFND 11,57011,5700
Avenue Financial Holdings InCOMMON STOCK05358K1025,551282,495SH DFND 282,495282,4950
Boingo Wireless IncCOMMON STOCK09739C10225628,647SH DFND 28,64728,6470
CBIZ IncCOMMON STOCK12480510211110,623SH DFND 10,62310,6230
Capstead Mortgage CorporationCOMMON STOCK14067E50617818,312SH DFND 18,31218,3120
Carbonite IncCOMMON STOCK14133710512012,322SH DFND 12,32212,3220
Cavco Industries IncCOMMON STOCK1495681072903,100SH DFND 3,1003,1000
Chemours Co/theCOMMON STOCK1638511081,443175,100SH DFND 175,100175,1000
Cooper-standard HoldingCOMMON STOCK21676P1036768,554SH DFND 8,5548,5540
DENTSPLY SIRONA IncCOMMON STOCK24906P1092794,500SH DFND 4,5004,5000
ESCO Technologies Inc.COMMON STOCK2963151042606,500SH DFND 6,5006,5000
Eagle Bancorp IncCOMMON STOCK2689481062465,114SH DFND 5,1145,1140
Empire State Realty Trust InCOMMON STOCK29210410646324,360SH DFND 24,36024,3600
Etsy IncCOMMON STOCK29786A10655658,016SH DFND 58,01658,0160
FLAGSTAR BANCORP INCCOMMON STOCK33793070531713,005SH DFND 13,00513,0050
First Nbc Bank Holding CoCOMMON STOCK32115D10633419,900SH DFND 19,90019,9000
Gcp Applied TechnologiesCOMMON STOCK36164Y10110,687410,414SH DFND 410,414410,4140
Hercules Capital IncCOMMON STOCK42709650845936,978SH DFND 36,97836,9780
Internap CorpCOMMON STOCK45885A3002612,689SH DFND 12,68912,6890
Madison Square Garden Co/TheCOMMON STOCK55825T1036954,028SH DFND 4,0284,0280
Manitowoc Foodservice InCOMMON STOCK56356810466137,537SH DFND 37,53737,5370
Maxlinear Inc-class ACOMMON STOCK57776J1001,40578,134SH DFND 78,13478,1340
Natera IncCOMMON STOCK63230710412510,321SH DFND 10,32110,3210
Natural Health Trends CorpCOMMON STOCK63888P40656219,935SH DFND 19,93519,9350
Neophotonics CorpCOMMON STOCK64051T10056259,000SH DFND 59,00059,0000
Newell Brands IncCOMMON STOCK6512291069,985205,589SH DFND 205,589205,5890
Northstar Realty Europe CCOMMON STOCK66706L10126028,080SH DFND 28,08028,0800
Omega Healthcare Invs IncCOMMON STOCK6819361002256,617SH DFND 6,6176,6170
Ophthotech CorpCOMMON STOCK68374510353610,501SH DFND 10,50110,5010
Potlatch CorpCOMMON STOCK73763010355216,198SH DFND 16,19816,1980
Redwood Trust IncCOMMON STOCK75807540263245,798SH DFND 45,79845,7980
Rmr Group Inc/the - ACOMMON STOCK74967R10632710,567SH DFND 10,56710,5670
S&P Global IncCOMMON STOCK78409V1043102,894SH DFND 2,8942,8940
SPDR Barclays High Yield Bond ETFCOMMON STOCK78464A41728,552800,000SHCallDFND 800,000800,0000
Spire IncCOMMON STOCK84857L1011,22517,290SH DFND 17,29017,2900
Syngenta-ADRCOMMON STOCK87160A10024,880323,995SH DFND 323,995323,9950
Topbuild CorpCOMMON STOCK89055F1031,29535,760SH DFND 35,76035,7600
USG Corp.COMMON STOCK90329340531511,670SH DFND 11,67011,6700
Wingstop IncCOMMON STOCK97415510340915,000SH DFND 15,00015,0000
iShares MSCI Mexico Capped ETFCOMMON STOCK4642868222,82656,097SH DFND 56,09756,0970
1st Century Bancshares IncCOMMON STOCK31943X10233429,739SH DFND 29,73929,7390
Aimmune Therapeutics IncCOMMON STOCK00900T10712311,400SH DFND 11,40011,4000
Alphabet Inc. - C SharesCOMMON STOCK02079K1071,6622,401SH DFND 2,4012,4010
ArcelorMittal - Class A NYCOMMON STOCK03938L1049921,298SH DFND 21,29821,2980
Armstrong Flooring IncCOMMON STOCK04238R1063,769222,375SH DFND 222,375222,3750
B2gold CorpCOMMON STOCK11777Q20918473,448SH DFND 73,44873,4480
Callaway Golf CompanyCOMMON STOCK13119310413913,600SH DFND 13,60013,6000
Cardtronics PLCCOMMON STOCKG1991C10569517,462SH DFND 17,46217,4620
Carrols Restaurant Group IncCOMMON STOCK14574X10434028,600SH DFND 28,60028,6000
Cascadian Therapeutics IncCOMMON STOCK14740B1014648,760SH DFND 48,76048,7600
Charter Communications IncCOMMON STOCK16119P1084,13818,100SH DFND 18,10018,1000
ChipMOS TECHNOLOGIES Bermuda LtdCOMMON STOCKG2110R11411,478633,776SH DFND 633,776633,7760
Chubb LtdCOMMON STOCKH1467J1042882,200SHPutDFND 2,2002,2000
Chubb LtdCOMMON STOCKH1467J1046805,200SHCallDFND 5,2005,2000
Coca-Cola European Partners PLCCOMMON STOCKG258391042,14360,040SH DFND 60,04060,0400
Coherus Biosciences IncCOMMON STOCK19249H10319111,300SH DFND 11,30011,3000
Dana IncCOMMON STOCK23582520530929,296SH DFND 29,29629,2960
Dermira IncCOMMON STOCK24983L10442214,425SH DFND 14,42514,4250
Diageo PLC - ADRCOMMON STOCK25243Q2057466,613SH DFND 6,6136,6130
EPIQ SYS INCCOMMON STOCK26882D10915710,752SH DFND 10,75210,7520
Easterly Government PropertiCOMMON STOCK27616P10333817,151SH DFND 17,15117,1510
Eclipse Resources CorpCOMMON STOCK27890G1001,465438,560SH DFND 438,560438,5600
Fcb Financial Holdings-cl ACOMMON STOCK30255G10377222,705SH DFND 22,70522,7050
Four Corners Property TrustCOMMON STOCK35086T10924311,820SH DFND 11,82011,8200
Ftd Cos IncCOMMON STOCK30281V1082038,125SH DFND 8,1258,1250
GigPeak IncCOMMON STOCK37518Q1091,396712,137SH DFND 712,137712,1370
Glycomimetics IncCOMMON STOCK38000Q10240055,000SH DFND 55,00055,0000
Grupo Televisa SAB - Sponsored ADRCOMMON STOCK40049J20644417,053SH DFND 17,05317,0530
Habit Restaurants Inc/the-aCOMMON STOCK40449J10322413,699SH DFND 13,69913,6990
Hannon Armstrong SustainableCOMMON STOCK41068X10026412,232SH DFND 12,23212,2320
Healthcare Realty Trust Inc.COMMON STOCK4219461049,296265,687SH DFND 265,687265,6870
Healthcare Trust Of AmericaCOMMON STOCK42225P5012176,699SH DFND 6,6996,6990
Herc Holdings IncCOMMON STOCK42704L10430727,761SH DFND 27,76127,7610
Hj Heinz Holding CorpCOMMON STOCK5007541062122,400SH DFND 2,4002,4000
Hope Bancorp IncCOMMON STOCK43940T10941928,100SH DFND 28,10028,1000
Immunogen IncorporatedCOMMON STOCK45253H10119563,300SH DFND 63,30063,3000
Incontact IncCOMMON STOCK45336E1096,024434,955SH DFND 434,955434,9550
Installed Building ProductsCOMMON STOCK45780R10141011,300SH DFND 11,30011,3000
Integer Holdings CorpCOMMON STOCK45826H1093069,908SH DFND 9,9089,9080
Ionis Pharmaceuticals IncCOMMON STOCK4622221002129,100SH DFND 9,1009,1000
Jumei International-adrCOMMON STOCK48138L1075713,844SH DFND 13,84413,8440
Laporte Bancorp IncCOMMON STOCK51665110633920,746SH DFND 20,74620,7460
MACOM Technology Solutions Holdings IncCOMMON STOCK55405Y1002948,900SH DFND 8,9008,9000
Match Group IncCOMMON STOCK57665R1064,522300,000SHPutDFND 300,000300,0000
Medgenics IncCOMMON STOCK58436Q20344480,000SH DFND 80,00080,0000
Minerva Neurosciences IncCOMMON STOCK60338010623022,500SH DFND 22,50022,5000
National Storage AffiliatesCOMMON STOCK6378701067,282349,755SH DFND 349,755349,7550
Neogenomics IncCOMMON STOCK64049M20911414,179SH DFND 14,17914,1790
Novocure LtdCOMMON STOCKG6674U10819516,700SH DFND 16,70016,7000
Nuvectra CorpCOMMON STOCK67075N1081,700229,668SH DFND 229,668229,6680
Ovascience IncCOMMON STOCK69014Q10122442,925SH DFND 42,92542,9250
Paratek Pharmaceuticals IncCOMMON STOCK69937430286962,500SH DFND 62,50062,5000
Performance Food Group CoCOMMON STOCK71377A10327410,190SH DFND 10,19010,1900
Regional Management CorpCOMMON STOCK75902K10615910,858SH DFND 10,85810,8580
SPDR Dow Jones Industrial Average ETF TrustCOMMON STOCK78467X10958,175325,000SHPutDFND 325,000325,0000
SPDR Gold SharesCOMMON STOCK78463V1071,32510,480SH DFND 10,48010,4800
Servisfirst Bancshares IncCOMMON STOCK81768T10859812,100SH DFND 12,10012,1000
Shenandoah Telecom CoCOMMON STOCK82312B10660515,500SH DFND 15,50015,5000
Silicon Motion Technol-adrCOMMON STOCK82706C1082936,138SH DFND 6,1386,1380
Sovran Self Storage IncorporatedCOMMON STOCK84610H1088468,068SH DFND 8,0688,0680
Suffolk BancorpCOMMON STOCK8647391074,700150,100SH DFND 150,100150,1000
TG Therapeutics IncCOMMON STOCK88322Q10814323,516SH DFND 23,51623,5160
Taro Pharmaceutical IndusCOMMON STOCKM8737E1083882,663SH DFND 2,6632,6630
VanEck Vectors Semiconductor ETFCOMMON STOCK92189F6761,71030,000SHPutDFND 30,00030,0000
XL Group Ltd.COMMON STOCKG982941041,18435,559SH DFND 35,55935,5590
Xencor IncCOMMON STOCK98401F10546824,664SH DFND 24,66424,6640
Xenith Bankshares IncCOMMON STOCK9841021035631,400SH DFND 31,40031,4000
Zoe's Kitchen IncCOMMON STOCK98979J1093309,100SH DFND 9,1009,1000
iShares MSCI Taiwan IndexCOMMON STOCK4642867311,12480,000SHPutDFND 80,00080,0000