SECURITIES ACT REGISTRATIONS August 10, 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-8 SUN HEALTHCARE GROUP INC, 101 SUN AVENUE N E, ALBUQUERQUE, NM, 87109, 5058213355 - 4,078,830 ($38,177,849.00) Equity, (File 333-161138 - Aug. 7) (BR. 11B) S-3 UNIVERSAL TRAVEL GROUP, SHENNAN ROAD, HUALIAN CENTER, ROOM 301 - 309, SHENZHEN,, F4, 00000, 86 7558 3668 489 - 0 ($50,000,000.00) Equity, (File 333-161139 - Aug. 7) (BR. 05C) S-8 WEBSENSE INC, 10240 SORRENTO VALLEY RD, SAN DIEGO, CA, 92121, 8583208000 - 0 ($110,735,704.44) Equity, (File 333-161140 - Aug. 7) (BR. 03B) S-1 Alaska Pacific Energy Corp, 2005 COSTA DEL MAR ROAD, CARLSBAD, CA, 92009, 604-274-1565 - 2,303,000 ($230,300.00) Equity, (File 333-161141 - Aug. 7) (BR. 04C) S-8 ARADIGM CORP, 3929 POINT EDEN WAY, HAYWARD, CA, 94545, 5102659000 - 0 ($542,500.00) Equity, (File 333-161142 - Aug. 7) (BR. 10A) S-3 CORTEX PHARMACEUTICALS INC/DE/, 15241 BARRANCA PKWY, IRVINE, CA, 92718, 7147273157 - 12,120,939 ($2,787,815.97) Equity, (File 333-161143 - Aug. 7) (BR. 01A) S-8 McAfee, Inc., 3965 FREEDOM CIRCLE, SANTA CLARA, CA, 95054, 4089883832 - 0 ($486,035,000.00) Equity, (File 333-161144 - Aug. 7) (BR. 03C) S-8 DealerTrack Holdings, Inc., 1111 MARCUS AVENUE, SUITE M04, LAKE SUCCESS, NY, 11042, (516) 734-3600 - 0 ($91,726,950.00) Equity, (File 333-161145 - Aug. 7) (BR. 03B) S-4 COMBINATORX, INC, 245 FIRST STREET, 16TH FLOOR, CAMBRIDGE, MA, 02142, 617-301-7000 - 1 ($34.47) Equity, (File 333-161146 - Aug. 7) (BR. 01A) S-3 PEPCO HOLDINGS INC, SUITE 1300, 701 NINTH STREET, NW, WASHINGTON, DC, 20068, 202-872-2000 - 0 ($108,337,500.00) Equity, (File 333-161147 - Aug. 7) (BR. 02A) S-B OESTERREICHISCHE KONTROLLBANK AKTIENGESELLSCHAFT, AM HOF 4, PO BOX 70, A-1010 VIENNA, AUSTRIA, C4, 00000, 011431531272569 - 0 ($5,280,931,356.00) Non-Convertible Debt, (File 333-161148 - Aug. 7) (BR. DN) S-8 LYRIS, INC., 103 FOULK ROAD, SUITE 205Q, WILMINGTON, DE, 19803, 302 691-6189 - 4,000,000 ($1,100,000.00) Equity, (File 333-161149 - Aug. 7) (BR. 03C) S-8 ACCELRYS, INC., 10188 TELESIS COURT, SUITE 100, SAN DIEGO, CA, 92121-3752, (858) 799-5000 - 0 ($4,304,000.00) Equity, (File 333-161150 - Aug. 7) (BR. 03C) S-8 WISCONSIN ENERGY CORP, 231 W MICHIGAN ST, P O BOX 1331, MILWAUKEE, WI, 53201, 414-221-2345 - 5,000,000 ($216,800,000.00) Equity, (File 333-161151 - Aug. 7) (BR. 02B) S-3 CHINA EDUCATION ALLIANCE INC., 58 HENG SHAN RD., KUN LUN SHOPPING MALL, HARBIN, F4, 150090, 86451-82335794 - 3,354,390 ($17,409,284.10) Equity, (File 333-161153 - Aug. 7) (BR. 11B) S-8 Emergent BioSolutions Inc., 2273 RESEARCH BLVD, SUITE 400, ROCKVILLE, MD, 20850, (301) 795-1800 - 3,900,000 ($56,374,500.00) Equity, (File 333-161154 - Aug. 7) (BR. 01B) S-8 CONSTELLATION BRANDS, INC., 207 HIGH POINT DRIVE, BUILDING 100, VICTOR, NY, 14564, 585-678-7100 - 24,000,000 ($296,277,000.00) Equity, (File 333-161155 - Aug. 7) (BR. 09A) S-8 MONARCH COMMUNITY BANCORP INC, 375 N WILLOWBROOK RD, COLDWATER, MI, 49036, 5172784566 - 0 ($195,000.00) Equity, (File 333-161156 - Aug. 7) (BR. 07A) S-1 Neurokine Pharmaceuticals Inc., 1275 WEST 6TH AVENUE, VANCOUVER, A1, V6H 1A6, 604 805 7783 - 50,200 ($10,040.00) Equity, (File 333-161157 - Aug. 7) (BR. 01) S-8 VASCO DATA SECURITY INTERNATIONAL INC, 1901 SOUTH MYERS ROAD, SUITE 210, OAKBROOK TERRACE, IL, 60181, 6309328844 - 0 ($60,040,000.00) Equity, (File 333-161158 - Aug. 7) (BR. 03C) S-8 GREATBATCH, INC., 10000 WEHRLE DRIVE, CLARENCE, NY, 14031, 716-759-5600 - 0 ($29,673,000.00) Equity, (File 333-161159 - Aug. 7) (BR. 10B) S-1 URBAN TANTRA INTERNATIONAL, 1521 ALTON ROAD SUITE 153, MIAMI BEACH, FL, 33139, 305-675-6302 - 500,000,000 ($10,000,000.00) Equity, (File 333-161160 - Aug. 7) (BR. 08) S-8 ADEX MEDIA, INC., 883 NORTH SHORELINE BOULEVARD, SUITE A200, MOUNTAIN VIEW, CA, 94043, (650) 967-3040 - 10,000,000 ($16,500,000.00) Equity, (File 333-161161 - Aug. 7) (BR. 03C) S-8 CALLIDUS SOFTWARE INC, 160 WEST SANTA CLARA STREET, 15TH FLOOR, SAN JOSE, CA, 95113, 2,097,921 ($5,286,760.92) Equity, (File 333-161162 - Aug. 7) (BR. 03B) S-8 ZORAN CORP \DE\, 1390 KIFER ROAD, SUNNYVALE, CA, 94086, 4085236500 - 3,600,000 ($41,580,000.00) Equity, (File 333-161163 - Aug. 7) (BR. 10C) S-8 CITRIX SYSTEMS INC, 851 WEST CYPRESS CREEK ROAD, FORT LAUDERDALE, FL, 33309, 9542673000 - 5,600,000 ($201,152,000.00) Equity, (File 333-161164 - Aug. 7) (BR. 03A) S-3 HUDSON VALLEY HOLDING CORP, 21 SCARSDALE ROAD, YONKERS, NY, 10707, 9149616100 - 0 ($100,000,000.00) Other, (File 333-161165 - Aug. 7) (BR. 07A) F-10 North American Energy Partners Inc., ZONE 3, ACHESON INDUSTRIAL AREA, 2-53016 HIGHWAY 60, ACHESON, A0, T7X 5A7, 780-960-7171 - 0 ($192,755,864.00) Equity, (File 333-161167 - Aug. 7) (BR. 04B) S-3 MISSISSIPPI POWER CO, 2992 WEST BEACH, GULFPORT, MS, 39501, 2288641211 - 1,575,000,000 ($1,575,000,000.00) Unallocated (Universal) Shelf, (File 333-161168 - Aug. 7) (BR. 02A) S-8 IPC The Hospitalist Company, Inc., 4605 LANKERSHIM BLVD., SUITE 617, NORTH HOLLYWOOD, CA, 91602, 818-766-3502 - 0 ($11,193,650.82) Equity, (File 333-161169 - Aug. 7) (BR. 01C) S-8 HUDSON HIGHLAND GROUP INC, 560 LEXINGTON AVENUE, 5TH FLOOR, NEW YORK, NY, 10022, 2123517300 - 4,000,000 ($8,900,000.00) Equity, (File 333-161170 - Aug. 7) (BR. 11A) S-8 HUDSON HIGHLAND GROUP INC, 560 LEXINGTON AVENUE, 5TH FLOOR, NEW YORK, NY, 10022, 2123517300 - 1,600,000 ($3,560,000.00) Equity, (File 333-161171 - Aug. 7) (BR. 11A) S-8 PC CONNECTION INC, ROUTE 101A, 730 MILFORD RD, MERRIMACK, NH, 03054, 6036832000 - 300,000 ($1,596,000.00) Equity, (File 333-161172 - Aug. 7) (BR. 02A) S-8 CALIPER LIFE SCIENCES INC, 68 ELM STREET, ., HOPKINTON, MA, 01748, 508-435-9500 - 0 ($18,409,234.00) Equity, (File 333-161173 - Aug. 7) (BR. 10A) N-2 Central Park Group Alternative Strategies Fund, 12 EAST 49TH STREET, 14TH FLOOR, NEW YORK, NY, 10017, 212-317-9200 - 0 ($150,000,000.00) Equity, (File 333-161174 - Aug. 7) (BR. 17) S-8 Altisource Portfolio Solutions S.A., C/O OCWEN FINANCIAL CORPORATION, 1661 WORTHINGTON ROAD, SUITE 100, WEST PALM BEACH, FL, 33409, 561-681-8000 - 0 ($18,133,334.00) Equity, (File 333-161175 - Aug. 7) (BR. 11C) S-4 SPEEDWAY MOTORSPORTS INC, US HIGHWAY 29 NORTH, PO BOX 600, CONCORD, NC, 28026, 7044553239 - 0 ($275,000,000.00) Non-Convertible Debt, (File 333-161176 - Aug. 7) (BR. 05C) S-8 Voyant International CORP, 444 CASTRO STREET, SUITE 318, MOUNTAIN VIEW, CA, 94041, (800) 710-6637 - 10,000,000 ($180,000.00) Equity, (File 333-161177 - Aug. 7) (BR. 03A) S-8 Skinny Nutritional Corp., 3 BALA PLAZA EAST, SUITE 117, BALA CYNWYD, PA, 19004, 610-784-2000 - 25,000,000 ($2,387,875.00) Equity, (File 333-161178 - Aug. 7) (BR. 02A) S-3ASR PEABODY ENERGY CORP, 701 MARKET ST, ST LOUIS, MO, 63101-1826, 3143423400 - 0 ($0.00) Unallocated (Universal) Shelf, (File 333-161179 - Aug. 7) (BR. 04A) S-8 TOWERSTREAM CORP, 55 HAMMARLUND WAY, MIDDLETOWN, RI, 02842, (401) 848-5848 - 1,000,000 ($1,570,000.00) Equity, (File 333-161180 - Aug. 7) (BR. 11B) S-4 BIOSANTE PHARMACEUTICALS INC, 8474780500 - 0 ($38,824,458.00) Equity, (File 333-161181 - Aug. 7) (BR. 01C) S-3ASR CBL & ASSOCIATES PROPERTIES INC, 2030 HAMILTON PLACE BVLD, SUITE 500, CBL CENTER, CHATTANOOGA, TN, 37421, 4238550001 - 0 ($0.00) Unallocated (Universal) Shelf, (File 333-161182 - Aug. 7) (BR. 08A) S-8 TASER INTERNATIONAL INC, 17800 N. 85TH ST., SCOTTSDALE, AZ, 85255, 480-991-0797 - 0 ($5,200,000.00) Equity, (File 333-161183 - Aug. 7) (BR. 06B) S-8 AMN HEALTHCARE SERVICES INC, 12400 HIGH BLUFF DRIVE, SUITE 100, SAN DIEGO, CA, 92130, 8668718519 - 267,763 ($7.37) Equity, (File 333-161184 - Aug. 7) (BR. 09A) S-4 ENTERPRISE PRODUCTS PARTNERS L P, 1100 LOUISIANA 10TH FLOOR, HOUSTON, TX, 77002, 7133816500 - 0 ($3,543,087,555.00) Equity, (File 333-161185 - Aug. 7) (BR. 02C) S-8 FIVE STAR QUALITY CARE INC, 617 796 8387 - 0 ($8,220,000.00) Equity, (File 333-161186 - Aug. 7) (BR. 11C)