SECURITIES ACT REGISTRATIONS September 2, 2008 The following registration statements have been filed with the SEC under the Securities Act of 1933. The reported information appears as follows: Form, Name, Address and Phone Number (if available) of the issuer of the security; Title and the number and/or face amount of the securities being offered; Name of the managing underwriter or depositor (if applicable); File number and date filed; Assigned Branch; and a designation if the statement is a New Issue. Registration  statements  may  be viewed in person in the Commission's Public  Reference  Branch  at  100 F Street, N.E., Washington, D.C. To obtain  paper  copies, please refer to information on the Commission's Web  site at http://www.sec.gov/answers/publicdocs.htm. In most cases, you  can  view  and  download  this  information  by  using the search function located at: http://www.sec.gov/edgar/searchedgar/companysearch.html. S-1 KORE NUTRITION, INC., 200 - 736 GRANVILLE STREET, VANCOUVER, A1, V6Z1G3, 604-685-6472 - 3,294,490 ($164,724.50) Equity, (File 333-153243 - Aug. 29) (BR. 04) S-1 Celsius Holdings, Inc., 140 NE 4TH AVENUE, SUITE C, DELRAY BEACH, FL, 33483, 561-276-2239 - 58,059,016 ($4,644,721.00) Equity, (File 333-153244 - Aug. 29) (BR. 09A) S-8 FIRST MARBLEHEAD CORP, 800 BOYLSTON ST., 34TH FLOOR, BOSTON, MA, 02199-8157, 617 638-2000 - 0 ($68,000,000.00) Equity, (File 333-153245 - Aug. 29) (BR. 07B) S-8 MOLINA HEALTHCARE INC, ONE GOLDEN SHORE DRIVE, LONG BEACH, CA, 90802, 5624353666 - 1,365,626 ($42,826,031.36) Equity, (File 333-153246 - Aug. 29) (BR. 01B) S-4 Galileo Holding CORP, 299 PARK AVENUE, NEW YORK, NY, 10171, (212) 763-5600 - 0 ($1,035,732,012.71) Equity, (File 333-153247 - Aug. 29) (BR. 05A) S-8 CISCO SYSTEMS INC, 170 WEST TASMAN DR, SAN JOSE, CA, 95134-1706, 4085264000 - 1,092,777 ($9,630,926.97) Equity, (File 333-153248 - Aug. 29) (BR. 03C) S-8 TARGET CORP, 1000 NICOLLET MALL, MINNEAPOLIS, MN, 55403, 6123046073 - 0 ($8,324,000,000.00) Equity, (File 333-153250 - Aug. 29) (BR. 02B) S-8 PRINCETON NATIONAL BANCORP INC, 606 S MAIN ST, PRINCETON, IL, 61356, 8158754444 - 50,000 ($1,301,625.00) Equity, (File 333-153251 - Aug. 29) (BR. 07B) S-8 Coda Octopus Group, Inc., 164 WEST 25TH STREET,, 6TH FLOOR,, NEW YORK, NY, 10001, 212 924 3442 - 7,500,000 ($2,025,000.00) Equity, (File 333-153254 - Aug. 29) (BR. 05A) S-8 MIMEDX GROUP, INC., 1234 AIRPORT ROAD, SUITE 105, DESTIN, FL, 32541, 850-269-0000 - 6,635,000 ($21,766,575.00) Equity, (File 333-153255 - Aug. 29) (BR. 10B) S-3 EPICEPT CORP, 777 OLD SAW MILL RIVER RD., TARRYTOWN, NY, 10591, 914-606-3500 - 0 ($3,800,000.00) Equity, (File 333-153256 - Aug. 29) (BR. 01A) S-3 GLIMCHER REALTY TRUST, 180 EAST BROAD STREET, COLUMBUS, OH, 43215, 6146219000 - 400,000,000 ($400,000,000.00) Equity, (File 333-153257 - Aug. 29) (BR. 08B) S-1 Golden Opportunities CORP, 4400 ROUTE 9 SOUTH, #1000, FREEHOLD, NJ, 07728, 732-409-5103 - 5,585,000 ($139,625.00) Equity, (File 333-153261 - Aug. 29) (BR. 09) S-4 PLY GEM INDUSTRIES INC, 777 THIRD AVE, NEW YORK, NY, 10017-1401, 2128321550 - 700,000,000 ($700,000,000.00) Debt, (File 333-153262 - Aug. 29) (BR. 06B) S-8 PREFORMED LINE PRODUCTS CO, P.O. BOX 91129, CLEVELAND, OH, 44101, 400,000 ($21,700,000.00) Equity, (File 333-153263 - Aug. 29) (BR. 06B) S-8 PARK ELECTROCHEMICAL CORP, 48 SOUTH SERVICE ROAD, MELVILLE, NY, 11747, 6314653600 - 1,800,000 ($50,346,000.00) Equity, (File 333-153264 - Aug. 29) (BR. 03A) S-1 CHASE PACKAGING CORP, POB 6199, 636 RIVER ROAD, FAIRHAVEN, NJ, 07704, 732-741-1925 - 0 ($3,415,720.00) Equity, (File 333-153265 - Aug. 29) (BR. 09A) S-1 GRAYBAR ELECTRIC CO INC, 34 N MERAMEC AVE, ST LOUIS, MO, 63105, 3145129200 - 1,000,000 ($20,000,000.00) Equity, (File 333-153266 - Aug. 29) (BR. 10B) S-8 Cinemark Holdings, Inc., 3900 DALLAS PARKWAY, SUITE 500, PLANO, TX, 75093, (972) 665-1000 - 0 ($160,462,306.30) Equity, (File 333-153273 - Aug. 29) (BR. 05A) F-3 Capital Product Partners L.P., 3 IASSONOS STREET, PIRAEUS, J3, 18537, 0030 210 458 4950 - 0 ($472,848,113.00) Limited Partnership Interests, (File 333-153274 - Aug. 29) (BR. 05A) S-8 TEKELEC, 5200 PARAMOUNT PARKWAY, MORRISVILLE, NC, 27560, 919-460-5500 - 0 ($69,570,000.00) Equity, (File 333-153275 - Aug. 29) (BR. 11A) S-8 PROVIDENT NEW YORK BANCORP, 400 RELLA BLVD, MONTEBELLO, NY, 10901, 8453698040 - 0 ($14,927,000.00) Equity, (File 333-153276 - Aug. 29) (BR. 07C) S-8 ASML HOLDING NV, DE RUN 6501, DR VELDHOVEN, P7, 5504, 31402683000 - 0 ($10,038,250.95) Equity, (File 333-153277 - Aug. 29) (BR. 10A) S-1 GENTA INC DE/, 200 CONNELL DRIVE, .., BERKELEY HEIGHTS, NJ, 07922, (908) 286-9800 - 0 ($23,000,000.00) Equity, (File 333-153278 - Aug. 29) (BR. 01A) S-1 Golden Elephant Glass Technology, Inc., 12890 HILLTOP ROAD, ARGYLE, TX, 76226, 972-233-0300 - 5,561,475 ($33,368,850.00) Equity, (File 333-153279 - Aug. 29) (BR. 08B) S-4 FIRST COMMUNITY BANCSHARES INC /NV/, PO BOX 989, BLUEFIELD, VA, 26406-0989, 3044879000 - 552,300 ($8,187,408.45) Equity, (File 333-153281 - Aug. 29) (BR. 07C) S-3 Allegiant Travel CO, 3301 N. BUFFALO DRIVE, SUITE B-9, LAS VEGAS, NV, 89129, 702-851-7300 - 0 ($125,000,000.00) Unallocated (Universal) Shelf, (File 333-153282 - Aug. 29) (BR. 05C) S-8 ADVENT SOFTWARE INC /DE/, 600 TOWNSEND ST, SAN FRANCISCO, CA, 94103, 4155437696 - 0 ($43,067,210.00) Equity, (File 333-153283 - Aug. 29) (BR. 03A) S-8 ELDORADO ARTESIAN SPRINGS INC, P O BOX 445, ELDORADO SPRINGS, CO, 80025, 3034991316 - 0 ($3,405,000.00) Equity, (File 333-153284 - Aug. 29) (BR. 02C) S-3 THERMADYNE HOLDINGS CORP /DE, 16052 SWINGLEY RIDGE RD., SUITE 300, CHESTERFIELD, MO, 63017, 636 728 3032 - 0 ($118,851,720.10) Equity, (File 333-153285 - Aug. 29) (BR. 10C)