RECENT 8K FILINGS July 12, 2010 Form 8-K is used by companies to file current reports on the following events: 1.01 Entry into a Material Definitive Agreement 1.02 Termination of a Material Definitive Agreement 1.03 Bankruptcy or Receivership 2.01 Completion of Acquisition or Disposition of Assets 2.02 Results of Operations and Financial Condition 2.03 Creation of a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement of a Registrant 2.04 Triggering Events That Accelerate or Increase a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement 2.05 Cost Associated with Exit or Disposal Activities 2.06 Material Impairments 3.01 Notice of Delisting or Failure to Satisfy a Continued Listing Rule or Standard; Transfer of Listing 3.02 Unregistered Sales of Equity Securities 3.03 Material Modifications to Rights of Security Holders 4.01 Changes in Registrant's Certifying Accountant 4.02 Non-Reliance on Previously Issued Financial Statements or a Related Audit Report or Completed Interim Review 5.01 Changes in Control of Registrant 5.02 Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers; Compensatory Arrangements of Certain Officers 5.03 Amendments to Articles of Incorporation or Bylaws; Change in Fiscal Year 5.04 Temporary Suspension of Trading Under Registrant's Employee Benefit Plans 5.05 Amendments to the Registrant's Code of Ethics, or Waiver of a Provision of the Code of Ethics 5.06 Change in Shell Company Status 6.01. ABS Informational and Computational Material. 6.02. Change of Servicer or Trustee. 6.03. Change in Credit Enhancement or Other External Support. 6.04. Failure to Make a Required Distribution. 6.05. Securities Act Updating Disclosure. 7.01 Regulation FD Disclosure 8.01 Other Events 9.01 Financial Statements and Exhibits 8-K reports may be obtained in person or by writing to the Commission's Public Reference Branch at 100 F Street, N.E., Washington, D.C. 20549-1090 or at the following e-mail box address: publicinfo@sec.gov. In most cases, this information is also available on the Commission's website: www.sec.gov. STATE NAME OF ISSUER CODE 8K ITEM NO. DATE COMMENT ------------------------------------------------------------------------------------------------------- ACUITY BRANDS INC DE 8.01,9.01 07/08/10 Ad Systems Communications NV 5.03,8.01,9.01 07/07/10 Addus HomeCare Corp DE 5.07 07/07/10 Advance America, Cash Advance Centers DE 8.01,9.01 07/08/10 Agfeed Industries, Inc NV 3.01,5.02 07/05/10 Alpine Alpha 2, Ltd. DE 1.01,2.01,3.02,4.01,5.01,5.02, 07/06/10 5.03,5.06,9.01 AMERICAN ELECTRIC POWER CO INC NY 7.01 07/09/10 AMERICAN PHYSICIANS CAPITAL INC MI 8.01,9.01 07/09/10 AMTECH SYSTEMS INC AZ 5.02 07/07/10 ANAVEX LIFE SCIENCES CORP. NV 1.01,3.02,9.01 07/05/10 ANGEION CORP/MN MN 5.02 07/09/10 ASHFORD HOSPITALITY TRUST INC MD 7.01,9.01 07/09/10 Augme Technologies, Inc. 5.02,8.01 07/09/10 AUTOMATIC DATA PROCESSING INC DE 8.01,9.01 07/09/10 AVIAT NETWORKS, INC. DE 8.01,9.01 07/09/10 AVIAT NETWORKS, INC. DE 2.02,7.01,9.01 07/09/10 Avro Energy Inc. NV 1.01 07/08/10 BANK OF SOUTH CAROLINA CORP SC 2.02,9.01 07/09/10 BE Resources Inc. CO 1.01,7.01,9.01 07/09/10 BIOHEART, INC. FL 5.02 07/01/10 BION ENVIRONMENTAL TECHNOLOGIES INC CO 5.02,7.01,9.01 06/30/10 BIOPACK ENVIRONMENTAL SOLUTIONS INC. NV 5.02 07/08/10 BOVIE MEDICAL CORP DE 8.01 07/09/10 Bronco Drilling Company, Inc. DE 7.01,9.01 07/09/10 Burlington Coat Factory Investments H 5.02 07/09/10 CABOT MICROELECTRONICS CORP DE 8.01,9.01 07/08/10 CALIFORNIA GOLD CORP. 4.01,9.01 07/08/10 CALYPTE BIOMEDICAL CORP DE 1.01,1.02,3.02 07/02/10 CARACO PHARMACEUTICAL LABORATORIES LT MI 5.02 07/06/10 CAREER EDUCATION CORP DE 8.01 07/09/10 CARMAX AUTO FUNDING LLC DE 8.01,9.01 07/08/10 Celsion CORP MD 3.01,9.01 07/06/10 CENTRAL PACIFIC FINANCIAL CORP HI 1.01,9.01 07/02/10 China Lithium Technologies Inc. 5.03,9.01 06/02/10 CHINA MEDICINE CORP NV 8.01,9.01 07/09/10 China Unitech Group, Inc. 1.01,2.01,3.02,5.01,5.02,5.03, 07/09/10 5.06,9.01 China XD Plastics Co Ltd NV 5.02 07/07/10 CHINA-BIOTICS, INC DE 8.01,9.01 07/07/10 CNS RESPONSE, INC. DE 2.03,3.02,5.02,8.01,9.01 07/05/10 Cogo Group, Inc. MD 1.01,2.03,9.01 07/06/10 Cole Credit Property Trust III, Inc. MD 2.01,7.01,9.01 07/09/10 COLGATE PALMOLIVE CO DE 5.02,9.01 07/08/10 COMMONWEALTH BANKSHARES INC VA 1.01,7.01,9.01 07/02/10 COMMUNITY BANK SHARES OF INDIANA INC IN 8.01 07/09/10 Compass Diversified Holdings DE 8.01,9.01 07/08/10 CONTINENTAL RESOURCES INC OK 7.01,9.01 07/09/10 Cooper Industries plc 8.01,9.01 07/06/10 COSI INC DE 2.02,9.01 07/08/10 COTT CORP /CN/ 1.01,9.01 07/07/10 AMEND CROSS A T CO RI 1.01 07/07/10 CYBERSOURCE CORP DE 8.01,9.01 07/08/10 Deep Down, Inc. NV 4.01 07/08/10 DEL MONTE FOODS CO DE 7.01,9.01 07/09/10 DISCOVERY LABORATORIES INC /DE/ DE 5.02 07/02/10 DSP GROUP INC /DE/ DE 5.02,9.01 07/08/10 Duke Energy Indiana, Inc. IN 8.01,9.01 07/06/10 ECOSYSTEM CORP 8.01 07/09/10 EL PASO ELECTRIC CO /TX/ TX 8.01 07/07/10 Energizer Resources, Inc. NV 8.01,9.01 03/15/10 EVERGREEN ENERGY INC DE 4.01,9.01 06/23/10 AMEND FERO INDUSTRIES, INC. CO 1.01,2.01,5.06,9.01 05/23/10 Fidelity National Information Service 8.01,9.01 07/08/10 FNDS3000 Corp DC 5.02 07/09/10 FOUR STAR HOLDINGS, INC. FL 1.01,2.01,3.02,9.01 07/06/10 FUSION TELECOMMUNICATIONS INTERNATION DE 1.01,2.03,9.01 07/09/10 FX Real Estate & Entertainment Inc. 1.01,3.02 07/07/10 Geeknet, Inc DE 5.02,9.01 07/08/10 General Moly, Inc DE 2.05,7.01,9.01 07/06/10 Global Indemnity plc L2 5.02,5.03 07/06/10 GOLDEN QUEEN MINING CO LTD A1 5.07 05/26/10 GROUP 1 AUTOMOTIVE INC DE 7.01,9.01 07/07/10 GSE SYSTEMS INC DE 9.01 06/30/10 AMEND HAIN CELESTIAL GROUP INC DE 1.01,1.02,2.03,9.01 07/06/10 Harry & David Holdings, Inc. DE 1.01,9.01 07/07/10 HEALTHCARE TRUST OF AMERICA, INC. MD 7.01,9.01 07/09/10 HEALTHCARE TRUST OF AMERICA, INC. MD 7.01,9.01 07/09/10 HERITAGE OAKS BANCORP CA 1.01,9.01 07/06/10 Heron Lake BioEnergy, LLC MN 1.01,9.01 07/02/10 Heron Lake BioEnergy, LLC MN 1.01,9.01 07/02/10 Heron Lake BioEnergy, LLC MN 3.02,3.03,9.01 07/02/10 Hillenbrand, Inc. IN 1.01,2.03,8.01,9.01 07/06/10 IMPLANT SCIENCES CORP MA 5.02 07/09/10 IMPLANT SCIENCES CORP MA 7.01,8.01,9.01 07/09/10 Incoming,Inc. NV 5.02,9.01 07/09/10 INLAND WESTERN RETAIL REAL ESTATE TRU MD 7.01,9.01 07/09/10 INNOSPEC INC. DE 5.07 05/12/10 INTER PARFUMS INC DE 1.01 07/09/10 INTERNATIONAL BARRIER TECHNOLOGY INC A1 7.01,9.01 07/07/10 INVESTMENT TECHNOLOGY GROUP INC DE 8.01,9.01 07/09/10 JABIL CIRCUIT INC DE 5.02 07/03/10 KENSINGTON LEASING, LTD. NV 8.01,9.01 05/18/10 LANDEC CORP \CA\ CA 9.01 04/30/10 AMEND LIFEHEALTHCARE, INC. DE 5.02 07/07/10 LIONS GATE ENTERTAINMENT CORP /CN/ 1.01,9.01 07/09/10 LOOKSMART LTD DE 5.02 07/01/10 LRAD Corp DE 2.02,9.01 07/08/10 Madison Square Garden, Inc. DE 1.01,9.01 07/08/10 Maiden Holdings, Ltd. D0 8.01,9.01 07/06/10 MARKET & RESEARCH CORP. DE 5.02 07/07/10 MARKET 2000 PLUS HOLDRS SM TRUST NY 8.01,9.01 07/09/10 MASTEC INC FL 1.01,9.01 07/06/10 MATERIAL SCIENCES CORP DE 2.02,9.01 07/09/10 MEDICAL STAFFING NETWORK HOLDINGS INC DE 1.01,1.03,2.04,8.01,9.01 07/02/10 MEDICINES CO /DE DE 8.01 07/09/10 MERCANTILE BANK CORP MI 8.01 07/09/10 MERCER GOLD CORP. NV 5.02 07/07/10 METRO ONE DEVELOPMENT, INC 4.01 07/09/10 N-VIRO INTERNATIONAL CORP DE 1.01,3.02,9.01 07/01/10 NANOMETRICS INC DE 7.01,9.01 07/08/10 NeoStem, Inc. DE 5.02 07/07/10 New Oriental Energy & Chemical Corp. DE 3.01,9.01 07/06/10 NewPage Holding CORP DE 5.02 07/02/10 nFinanSe Inc. 1.01,3.02,3.03,5.03,9.01 07/03/10 Oilsands Quest Inc 7.01,8.01,9.01 07/06/10 OMNICELL, Inc CA 2.05 07/06/10 OTEEGEE INNOVATIONS, INC. NV 1.01,3.02,9.01 05/11/10 OWENS MORTGAGE INVESTMENT FUND A CALI CA 2.04,9.01 07/07/10 PATRIOT SCIENTIFIC CORP DE 8.01,9.01 07/08/10 Pebblebrook Hotel Trust MD 1.01,2.03,7.01,9.01 07/08/10 PEETS COFFEE & TEA INC WA 5.02,9.01 07/09/10 PFGI CAPITAL CORP MD 8.01,9.01 07/09/10 PHOTONIC PRODUCTS GROUP INC NJ 5.02 07/02/10 POLYONE CORP 1.02 07/07/10 PRICESMART INC DE 2.02,9.01 07/09/10 PROGRESSIVE CORP/OH/ OH 8.01,9.01 07/09/10 Quad/Graphics, Inc. WI 2.01,5.02,5.03,9.01 07/02/10 Reef Oil & Gas Income & Development F TX 1.01,2.01,2.03,9.01 06/30/10 REGIS CORP MN 2.02,9.01 07/09/10 RG GLOBAL LIFESTYLES INC CA 1.01,2.01,3.02,5.02,5.07,9.01 07/07/10 ROTATE BLACK INC NV 1.01,9.01 07/01/10 SABINE ROYALTY TRUST TX 2.02,9.01 07/02/10 SEAFARER EXPLORATION CORP DE 5.02 07/06/10 SERVOTRONICS INC /DE/ DE 5.02 07/09/10 SHENANDOAH TELECOMMUNICATIONS CO/VA/ VA 8.01,9.01 07/08/10 SOHU COM INC DE 5.02,5.07,9.01 07/02/10 Solar Energy Initiatives, Inc. DE 1.02,2.03,3.02,9.01 06/29/10 SOUTH JERSEY INDUSTRIES INC NJ 2.03,9.01 06/30/10 STEELCLOUD INC VA 1.01,2.03,3.02,3.03,5.01,5.02, 07/02/10 5.03,9.01 Strasbaugh CA 5.02 07/07/10 STRATS (SM) TRUST FOR JPMORGAN CHASE 8.01,9.01 07/01/10 STRATS SM TRUST FOR IBM CORP SEC SERI 8.01,9.01 06/29/10 Strats(SM) Trust for JPMorgan Chase C 8.01,9.01 07/01/10 STRATS(SM) Trust For Morgan Stanley S 8.01,9.01 07/01/10 Striker Energy Corp NV 1.01,3.02,5.02,9.01 07/02/10 SUN RIVER ENERGY, INC CO 7.01,9.01 06/01/10 TechMedia Advertising, Inc. NV 4.01,9.01 07/07/10 TELECOM HOLDRS TRUST NY 8.01,9.01 07/09/10 TIDEWATER INC DE 8.01,9.01 07/07/10 Touchmark Bancshares, Inc. GA 5.02,9.01 07/02/10 TRANS LUX CORP DE 3.01,8.01,9.01 07/02/10 TRANSATLANTIC PETROLEUM LTD. D0 1.01,2.03,8.01,9.01 07/03/10 Transfer Technology International Cor DE 3.02,8.01 07/08/10 TRI VALLEY CORP DE 3.01 07/02/10 TRI VALLEY CORP DE 3.02 07/02/10 U.S. Aerospace, Inc. DE 2.01,8.01,9.01 07/01/10 AMEND UCI MEDICAL AFFILIATES INC DE 8.01,9.01 07/07/10 UNITED NATURAL FOODS INC DE 5.02 07/07/10 UNIVEST CORP OF PENNSYLVANIA PA 5.02 07/09/10 USD ENERGY CORP. NV 8.01,9.01 07/06/10 UTEK CORP 9.01 07/09/10 AMEND VALASSIS COMMUNICATIONS INC DE 5.02,9.01 07/08/10 Vanda Pharmaceuticals Inc. DE 5.02 07/07/10 Vantage Drilling CO E9 1.01,9.01 07/06/10 VCG HOLDING CORP CO 5.02,8.01,9.01 07/09/10 VERISIGN INC/CA DE 8.01 07/09/10 VERSAR INC DE 5.02,9.01 07/02/10 VISCOUNT SYSTEMS INC NV 5.07 05/18/10 VLOV INC. NV 8.01,9.01 07/09/10 We Save Homes, Inc. 5.02 07/01/10 WIRELESS HOLDRS TRUST NY 8.01,9.01 07/09/10 WORTHINGTON INDUSTRIES INC OH 2.02,9.01 07/01/10 YOUNG INNOVATIONS INC MO 1.01,9.01 07/05/10 ZION OIL & GAS INC DE 1.01,5.02,9.01 07/08/10 ZION OIL & GAS INC DE 8.01,9.01 07/09/10