SECURITIES ACT REGISTRATIONS March 16, 2009 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-3 CARROLLTON BANCORP, 15 CHARLES PLZ STE 200, BALTIMORE, MD, 21201-3936, 4105364600 - 214,580 ($10,581,147.00) Equity, (File 333-157891 - Mar. 13) (BR. 07B) S-3 ADVANTA CORP, P.O. BOX 844, WELSH & MCKEAN ROADS, SPRING HOUSE, PA, 19477, 2154445341 - 0 ($500,000,000.00) Non-Convertible Debt, (File 333-157892 - Mar. 13) (BR. 07C) S-3ASR WESTAMERICA BANCORPORATION, 1108 FIFTH AVE, SAN RAFAEL, CA, 94901, (707) 863-6000 - 0 ($96,284,909.00) Equity, 0 ($0.00) Unallocated (Universal) Shelf, (File 333-157893 - Mar. 13) (BR. 07C) S-4 CONSOL Energy Inc, C/O CONSOL INC, 1800 WASHINGTON RD, PITTSBURGH, PA, 15241, 724-485-4000 - 733,001 ($18,420,315.13) Equity, (File 333-157894 - Mar. 13) (BR. 04A) S-8 Medefile International, Inc., 2 RIDGEDALE AVENUE, SUITE 217, CEDAR KNOLLS, NJ, 07927, (973) 993-8001 - 150,000,000 ($120,000.00) Equity, (File 333-157895 - Mar. 13) (BR. 03A) S-8 CRAWFORD & CO, 1001SUMMIT BLVD, NE, ATLANTA, GA, 30319, 4042560830 - 144,000 ($616,320.00) Equity, (File 333-157896 - Mar. 13) (BR. 01A) S-8 OPTIMER PHARMACEUTICALS INC, 10110 SORRENTO VALLEY ROAD, SUITE C, SAN DIEGO, CA, 92121, 8589090736 - 0 ($21,168,000.00) Equity, (File 333-157897 - Mar. 13) (BR. 01C) S-B REPUBLIC OF KOREA, 88 KWANMOON-RO, KWACHUN-SHI, KYUNGGI-DO, REPUBLIC OF KOREA, M5, 427725, 8225039267 - 0 ($7,000,000,000.00) Non-Convertible Debt, (File 333-157904 - Mar. 13) (BR. DN) S-3 PENNICHUCK CORP, 25 MANCHESTER STREET, MERRIMACK, NH, 03054, 603-882-5191 - 300,000 ($5,643,000.00) Equity, (File 333-157905 - Mar. 13) (BR. 02C) F-3ASR BP PLC, 1 ST JAMES'S SQUARE, LONDON, SW1Y 4PD, X0, 00000, 442074964000 - 0 ($0.00) Non-Convertible Debt, (File 333-157906 - Mar. 13) (BR. 04B) S-8 Invitel Holdings A/S, PUSKAS TIVADAR U.8-10 U.8-10, BUDA?RS, K5, H-2040, 011-361-801-1500 - 5,000,000 ($20,050,000.00) Equity, (File 333-157907 - Mar. 13) (BR. 11C) S-3 MIDDLESEX WATER CO, 1500 RONSON RD, P O BOX 1500, ISELIN, NJ, 08830, 7326341500 - 80,000 ($964,000.00) Other, (File 333-157909 - Mar. 13) (BR. 02B) S-3 HARLEY DAVIDSON CUSTOMER FUNDING CORP, 4150 TECHNOLOGY WAY, CARSON CITY, NV, 89706, 7028851200 - 0 ($2,681,800,000.00) Asset-Backed Securities, (File 333-157910 - Mar. 13) (BR. 05D) S-4 ONCOR ELECTRIC DELIVERY CO LLC, 1601 BRYAN STREET, ENERGY PLAZA, DALLAS, TX, 75201, 2144862000 - 0 ($1,500,000,000.00) Non-Convertible Debt, (File 333-157914 - Mar. 13) (BR. 02C) S-3 BANC OF AMERICA MORTGAGE SECURITIES INC, 201 NORTH TRYON ST, CHARLOTTE, NC, 28255, 7043884503 - 0 ($365,268,193,384.00) Mortgage Backed Securities, (File 333-157917 - Mar. 13) (BR. 05D) S-3ASR VERTEX PHARMACEUTICALS INC / MA, 130 WAVERLY STREET, CAMBRIDGE, MA, 02139-4242, 6165776000 - 0 ($300,968,097.00) Equity, (File 333-157919 - Mar. 13) (BR. 01C) S-3 UNIVERSAL DISPLAY CORP \PA\, 6096710980 - 12,015 ($74,854.00) Equity, (File 333-157926 - Mar. 13) (BR. 10C) S-8 Transcept Pharmaceuticals Inc, 1003 W. CUTTING BLVD, SUITE 110, POINT RICHMOND, CA, 94804, (510) 215-3500 - 258,344 ($769,865.12) Equity, (File 333-157927 - Mar. 13) (BR. 01C) S-8 MAXYGEN INC, 515 GALVESTON DRIVE, REDWOOD CITY, CA, 94063, 6502985300 - 462,571 ($3,122,354.25) Equity, (File 333-157928 - Mar. 13) (BR. 01B) S-8 Transcept Pharmaceuticals Inc, 1003 W. CUTTING BLVD, SUITE 110, POINT RICHMOND, CA, 94804, (510) 215-3500 - 1,043,775 ($3,110,449.50) Equity, (File 333-157929 - Mar. 13) (BR. 01C) S-3ASR SOUTHWEST GAS CORP, 5241 SPRING MOUNTAIN RD, PO BOX 98510, LAS VEGAS, NV, 89193-8510, 7028767237 - 1,000,000 ($17,940,000.00) Equity, (File 333-157930 - Mar. 13) (BR. 02B) S-8 Mellanox Technologies, Ltd., 2900 STENDER WAY, SANTA CLARA, CA, 95054, 408-970-3400 - 0 ($5,012,569.34) Equity, (File 333-157931 - Mar. 13) (BR. 10B) S-8 Data Domain, Inc., 2421 MISSION COLLEGE BLVD, SANTA CLARA, CA, 95054, (408) 980-4800 - 3,610,137 ($46,787,375.52) Equity, (File 333-157932 - Mar. 13) (BR. 03A) S-8 SERACARE LIFE SCIENCES INC, 37 BIRCH STREET, MILFORD, MA, 01757, 5082446400 - 1,500,000 ($780,000.00) Equity, (File 333-157933 - Mar. 13) (BR. 01C) S-8 INTELLON CORP, 5955 T.G. LEE BLVD., SUITE 600, ORLANDO, FL, 32822, (407) 428-2805 - 1,253,654 ($2,162,553.15) Equity, (File 333-157935 - Mar. 13) (BR. 10) S-4 OPPENHEIMER HOLDINGS INC, SUITE 1110, P.O. BOX 2015, 20 EGLINTON AVE. WEST, TORONTO, A6, M4R 1K8, (416)322-1515 - 13,109,469 ($90,421,506.86) Equity, (File 333-157937 - Mar. 13) (BR. 08A) S-8 FGX International Holdings LTD, 500 GEORGE WASHINGTON HIGHWAY, SMITHFIELD, RI, 02917, (401) 231-3800 - 0 ($451,000.00) Equity, (File 333-157940 - Mar. 13) (BR. 10) S-3ASR NISOURCE INC/DE, 801 EAST 86TH AVE, MERRILLVILLE, IN, 46410-6272, 2196475200 - 0 ($20,275,000.00) Equity, (File 333-157943 - Mar. 13) (BR. 02A) S-8 ACME PACKET INC, 71 THIRD AVENUE, BURLINGTON, MA, 01803, 781-328-4400 - 0 ($13,405,359.00) Equity, (File 333-157944 - Mar. 13) (BR. 03A) S-8 CYNOSURE INC, 5 CARLISLE ROAD, WESTFORD, MA, 01886, (978) 256-4200 - 0 ($6,274,627.00) Equity, (File 333-157945 - Mar. 13) (BR. 10A) S-8 STANDARD MICROSYSTEMS CORP, 80 ARKAY DRIVE, HAUPPAUGE, NY, 11788, 6314342904 - 0 ($14,040,000.00) Equity, (File 333-157947 - Mar. 13) (BR. 10C) S-3ASR ODYSSEY RE HOLDINGS CORP, 300 FIRST STAMFORD PL, STAMFORD, CT, 06902, 2039778000 - 0 ($0.00) Other, (File 333-157948 - Mar. 13) (BR. 01B) S-8 PALL CORP, 2200 NORTHERN BLVD, EAST HILLS, NY, 11548, 5164845400 - 0 ($19,060,000.00) Equity, (File 333-157950 - Mar. 13) (BR. 06B) S-8 PALL CORP, 2200 NORTHERN BLVD, EAST HILLS, NY, 11548, 5164845400 - 0 ($19,060,000.00) Equity, (File 333-157951 - Mar. 13) (BR. 06B) S-3 ACI WORLDWIDE, INC., 120 BROADWAY, SUITE 3350, NEW YORK, NY, 10271, 402-390-7600 - 0 ($50,146,009.90) Equity, (File 333-157952 - Mar. 13) (BR. 03C) S-8 ZAP, 501 FOURTH STREET, SANTA ROSA, CA, 95401, 7075258658 - 20,000,000 ($2,200,000.00) Equity, (File 333-157954 - Mar. 13) (BR. 05C) S-8 Index Oil & Gas Inc., 10000 MEMORIAL DRIVE, SUITE 440, HOUSTON, TX, 77024, (713) 683-0800 - 5,500,000 ($550,000.00) Equity, (File 333-157955 - Mar. 13) (BR. 04A) S-8 Molecular Insight Pharmaceuticals, Inc., 160 SECOND STREET, CAMBRIDGE, MA, 02142, 617-492-5554 - 0 ($1,855,136.00) Equity, (File 333-157957 - Mar. 13) (BR. 01B) S-1 Halberd Corp, 30600 TELEGRAPH ROAD, SUITE 2175, BINGHAM FARMS, MI, 48025, 248-530-0270 - 656,000 ($164,000.00) Equity, (File 333-157958 - Mar. 13) (BR. ) S-8 GLU MOBILE INC, 2207 BRIDGEPOINTE PARKWAY, SUITE 250, SAN MATEO, CA, 94404, 650-532-2400 - 0 ($552,424.38) Equity, (File 333-157959 - Mar. 13) (BR. 03A) S-3ASR PUGET SOUND ENERGY INC, 10885 NE 4TH STREET, BELLEVUE, WA, 98004-5515, 4254546363 - 0 ($0.00) Other, (File 333-157960 - Mar. 13) (BR. 02B) S-8 EMULEX CORP /DE/, 3333 SUSAN STREET, COSTA MESA, CA, 92626, 7146625600 - 0 ($7,140,000.00) Equity, (File 333-157961 - Mar. 13) (BR. 03B) S-1 Klein Retail Centers, Inc., 89 WEST CHICAGO STREET, COLDWATER, MI, 49036, 517-278-3050 - 3,910,430 ($19,552,150.00) Equity, (File 333-157962 - Mar. 13) (BR. )