UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON D.C. 20549

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for Calendar Year or Quarter Ended: MARCH 31, 2010

Check here if amendment [_]  Amendment Number [_]

   This Amendment (Check only one.): [_] is a restatement.
                                     [_] adds new holdings entries.

Institutional Investment Manager filing this report:

Name:     STATE STREET CORPORATION
Address:  ONE LINCOLN STREET
          BOSTON, MASSACHUSETTS 02111

Form 13F File Number: 28-00399

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person signing this report on behalf of the reporting manager:

Name:      JAMES J. MALERBA
Title      EXECUTIVE VICE PRESIDENT AND CORPORATE CONTROLLER
Telephone: 617-664-8697

Signature, Place, and Date of Signing:


  /s/ JAMES J. MALERBA       Boston, Massachusetts          May 17, 2010
-------------------------  -------------------------  ------------------------
       [Signature]               [City, State]                 [Date]

Report Type (Check only one):

[_] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
    are reported in this report.)

[_] 13F NOTICE. (Check here if no holdings reported are in this report and all
    holdings are reported by other reporting manager(s).)

[X] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)




                             FORM 13F SUMMARY PAGE

List of Other Managers Reporting for this Manager:
(if there are no entries in this list, omit this section.)

28-10104  Altrinsic Global Advisors, LLC
28-06213  Eagle Global Advisors LLC
28-06254  Martin Currie Investment Management, LTD
28-06518  First State Investments International Limited
28-06580  LSV Asset Management
28-05015  Systematic Financial Management, L.P.
28-01185  Frontier Capital Management Co. LLC
28-02494  TCW Investment Management Company
28-10234  OFI Institutional Asset Management, Inc
28-05416  Denver Investment Advisors LLC
28-05655  Riverbridge Partners
28-02443  Oppenheimer Capital LLC
28-00074  Jennison Associates LLC
28-01203  C.S. McKee, L.P.
28-05267  Delaware Investment Advisors
28-10449  Columbus Circle Investors

REPORT SUMMARY:

Number of Other Included Managers:      11
Form 13F Information Table Entry Total: 3,817
Form 13F Information Table Value Total: 491,822,037 (thousands)

List of Other Included Managers:

Provide a numbered list of the names(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

NO.  FORM 13F FILE NUMBER  NAME
---  --------------------  ---------------------------------------------------
1         28-00733         State Street Bank and Trust Company
2         28-11338         SSgA Funds Management, Inc.
3         28-11339         Tuckerman Group, LLC
4         28-11328         Rexiter Capital Management LTD
5         28-11326         State Street Global Advisors LTD
6         28-11327         State Street Global Advisors Ltd.
8         28-11330         State Street Global Advisors, Australia
10        28-11332         State Street Global Advisors (Japan) Co., Ltd.
12        28-11331         State Street Global Advisors Asia LTD
13        28-11334         State Street Global Advisors GmbH
18        28-13812         State Street Global Advisors France, S.A.





                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS       CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------             ------------ --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
1-800-FLOWERS.COM  Common       68243Q106    1216   484475 SH        DEFINED   1,2,6,                    484475
                   equity
                   shares
1ST                Common       336901103    6398   364546 SH        DEFINED   1,2,5,8,                  364546
SOURCE             equity
CORP               shares
3COM CORP          Common       885535104   97536 12683501 SH        DEFINED   1,2,5,6,8,18,           12683501
                   equity
                   shares
3D                 Common       88554D205    4377   320644 SH        DEFINED   1,2,6,                    320644
SYSTEMS            equity
CORP               shares
3M CO              Common       88579Y101 4302112 51479140 SH        DEFINED   1,2,5,6,8,10,12,13,18,  50937203          541937
                   equity
                   shares
3PAR INC           Common       88580F109    6053   605317 SH        DEFINED   1,2,6,8,                  605317
                   Stock
4KIDS              Common       350865101      21    17836 SH        DEFINED   1,                         17836
ENTERTAINMENT      equity
INC                shares
8X8 INC            Common       282914100     101    68963 SH        DEFINED   1,                         68963
                   equity
                   shares
99 CENTS           Common       65440K106   24650  1512267 SH        DEFINED   1,2,5,6,8,               1512267
ONLY               equity
STORES             shares
A. H.              Common       001282102     504    70251 SH        DEFINED   1,                         70251
BELO CORP          equity
                   shares
A.C.               Common       00086T103      56    19251 SH        DEFINED   1,                         19251
MOORE              equity
ARTS &             shares
CRAFTS INC
A123               Common       03739T108    3316   241334 SH        DEFINED   1,2,6,10,                 241334
SYSTEMS            equity
INC                shares
AAON INC           Common       000360206    6158   272234 SH        DEFINED   1,2,5,6,8,                272234
                   equity
                   shares
AAR CORP           Common       000361105   26409  1064475 SH        DEFINED   1,2,5,6,8,               1064475
                   equity
                   shares
AARON'S            Common       002535201   70805  2128454 SH        DEFINED   1,2,5,6,8,10,            2128454
INC                equity
                   shares
AASTROM            Common       00253U305      28    17146 SH        DEFINED   1,                         17146
BIOSCIENCES        equity
INC                shares
ABAXIS INC         Common       002567105   12876   474773 SH        DEFINED   1,2,6,8,                  474773
                   equity
                   shares
ABB LTD            American     000375204     698    34557 SH        DEFINED   1,                         34557
                   Depository
                   Receipt
ABBOTT             Common       002824100 2758048 52355651 SH        DEFINED   1,2,5,6,8,10,12,13,18,  52355651
LABORATORIES       equity
                   shares
                   Common       002896207  150855  3305316 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3305316
ABERCROMBIE &      equity
FITCH -CL          shares
A
ABINGTON           Common       00350L109    3243   410485 SH        DEFINED   1,2,                      410485
BANCORP            equity
INC                shares
ABIOMED            Common       003654100    6242   604297 SH        DEFINED   1,2,5,6,8,                604297
INC                equity
                   shares
ABM                Common       000957100   49944  2355843 SH        DEFINED   1,2,5,8,                 2355843
INDUSTRIES         equity
INC                shares
ABOVENET           Common       00374N107   14317   282215 SH        DEFINED   1,2,5,8,                  282215
INC                equity
                   shares
ABRAXAS            Common       003830106     106    55087 SH        DEFINED   1,2,                       55087
PETROLEUM          equity
CORP/NV            shares
ABRAXIS            Common       00383Y102    3739    72260 SH        DEFINED   1,2,5,6,8,10,              72260
BIOSCIENCE         equity
INC                shares
ACACIA             Tracking     003881307    6160   568828 SH        DEFINED   1,2,5,8,                  568828
RESEARCH           stocks are
CORP               issued by a
                   parent co to
                   monitor or
                   track the
                   underlying
                   performance
                   and earnin
ACADIA             Common       004225108      57    37560 SH        DEFINED   1,                         37560
PHARMACEUTICALS    equity
INC                shares
ACADIA             Real Estate  004239109   25124  1406699 SH        DEFINED   1,2,3,5,8,               1406699
REALTY             Investment
TRUST              Trust
ACCELRYS           Common       00430U103    3023   490705 SH        DEFINED   1,2,                      490705
INC                equity
                   shares
ACCENTURE          Common       G1151C101  184269  4392591 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4392591
PLC                equity
                   shares
ACCO               Common       00081T108   10208  1332640 SH        DEFINED   1,2,5,6,8,               1332640
BRANDS             equity
CORP               shares
ACCURAY            Common       004397105    4599   755190 SH        DEFINED   1,2,5,6,8,                755190
INC                equity
                   shares
ACE LTD            Common       H0023R105  117349  2243581 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2243581
                   equity
                   shares
ACETO CORP         Common       004446100    2796   462869 SH        DEFINED   1,2,8,                    462869
                   equity
                   shares
ACI                Common       004498101   23768  1153238 SH        DEFINED   1,2,5,6,8,               1153238
WORLDWIDE          equity
INC                shares
ACME               Common       004764106   14652   759933 SH        DEFINED   1,2,5,6,8,                759933
PACKET INC         Stock
ACORDA             Common       00484M106   47580  1390933 SH        DEFINED   1,2,5,6,8,               1390933
THERAPEUTICS       equity
INC                shares
ACTEL CORP         Common       004934105    8387   605594 SH        DEFINED   1,2,5,6,8,                605594
                   equity
                   shares
ACTIONS            American     00507E107     300   128128 SH        DEFINED   2,                        128128
SEMICNDCTR         Depository
LTD -ADR           Receipt
ACTIVE             Common       00504W100      45    55230 SH        DEFINED   1,                         55230
POWER INC          equity
                   shares
                   Common       00506P103    2086   734381 SH        DEFINED   1,2,                      734381
ACTIVIDENTITY      equity
CORP               shares
                   Common       00507V109  106246  8809757 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8809757
ACTIVISION         equity
BLIZZARD           shares
INC
ACTUANT            Common       00508X203   28931  1479839 SH        DEFINED   1,2,5,6,8,               1479839
CORP -CL A         equity
                   shares
ACTUATE            Common       00508B102    4908   877914 SH        DEFINED   1,2,5,                    877914
CORP               equity
                   shares
ACUITY             Common       00508Y102   42068   996644 SH        DEFINED   1,2,5,6,8,                996644
BRANDS INC         equity
                   shares
ACURA              Common       00509L703     677   125667 SH        DEFINED   1,2,                      125667
PHARMACEUTICALS    equity
INC                shares
ACXIOM             Common       005125109   46548  2594631 SH        DEFINED   1,2,5,6,8,               2594631
CORP               equity
                   shares
ADAPTEC            Common       00651F108    8401  2569007 SH        DEFINED   1,2,5,8,                 2569007
INC                equity
                   shares
ADC                Common       000886309   25728  3516487 SH        DEFINED   1,2,5,6,8,               3516487
TELECOMMUNICATIONS equity
INC                shares
                   Common       007094105   10287   482057 SH        DEFINED   1,2,5,6,8,                482057
ADMINISTAFF        equity
INC                shares
ADOBE              Common       00724F101  610850 17275067 SH        DEFINED   1,2,5,6,8,10,12,13,18,  17275067
SYSTEMS            equity
INC                shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
ADOLOR            Common         00724X102   1591   883934 SH        DEFINED   1,2,                      883934
CORP              equity shares
ADTRAN INC        Common         00738A106  44407  1684421 SH        DEFINED   1,2,5,6,8,               1684421
                  equity shares
ADVANCE           Common         00739W107   7356  1265569 SH        DEFINED   1,2,5,                   1265569
AMER CASH         equity shares
ADVANCE CT
ADVANCE           Common         00751Y106 118932  2837125 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2837125
AUTO              equity shares
PARTS INC
ADVANCED          Common         00752J108   2809   805006 SH        DEFINED   1,2,6,                    805006
ANALOGIC          equity shares
TECH
ADVANCED          Common         00752H102   3634   931742 SH        DEFINED   1,2,                      931742
BATTERY           equity shares
TECH INC
ADVANCED          Common         007973100  11838   719790 SH        DEFINED   1,2,5,6,8,                719790
ENERGY            equity shares
INDS INC
ADVANCED          Common         007903107 190704 20572159 SH        DEFINED   1,2,5,6,8,10,12,13,18,  20572159
MICRO             equity shares
DEVICES
ADVANCED          Any issuer     007903AL    3762  3800000 SH        DEFINED   2,                       3800000
MICRO             issuing in any
DEVICES           currency
                  offered in all
                  markets
                  simultaneously
ADVANCED          American       00756M404   2302   508109 SH        DEFINED   1,6,8,                    508109
SEMICON           Depository
ENGINEERING       Receipt
ADVENT            Common         007974108  23218   518843 SH        DEFINED   1,2,5,6,8,                518843
SOFTWARE          equity shares
INC
ADVENTRX          Common         00764X103     14    63059 SH        DEFINED   1,                         63059
PHARMACEUTICALS   equity shares
INC
ADVISORY          Common         00762W107   9569   303768 SH        DEFINED   1,2,5,6,8,                303768
BOARD CO          equity shares
AECOM             Common         00766T100  57843  2038027 SH        DEFINED   1,2,5,6,8,10,            2038027
TECHNOLOGY        equity shares
CORP
AEGEAN            Common         Y0017S102    645    24154 SH        DEFINED   1,5,                       24154
MARINE            equity shares
PETROLM
NETWK
AEGON NV          Similar to     007924103    359    52676 SH        DEFINED   1,2,                       52676
                  ADR
                  Certificates
                  representing
                  ordinary
                  shares
AEP               Common         001031103   2882   110769 SH        DEFINED   1,2,                      110769
INDUSTRIES        equity shares
INC
AERCAP            Common         N00985106   1225    93523 SH        DEFINED   1,5,                       93523
HOLDINGS          equity shares
NV
                  Common         007865108  89392  3100666 SH        DEFINED   1,2,5,6,8,10,            3100666
AEROPOSTALE       equity shares
INC
                  Common         008073108   8171   312873 SH        DEFINED   1,2,5,6,8,                312873
AEROVIRONMENT     equity shares
INC
AES CORP          Common         00130H105 297435 27039556 SH        DEFINED   1,2,5,6,8,10,12,13,18,  27039556
                  equity shares
AES TRUST         Preferred      00808N20    1053    23400 SH        DEFINED   1,2,                       23400
III               equity shares
AETNA INC         Common         00817Y108 866546 24680898 SH        DEFINED   1,2,5,6,8,10,12,13,18,  24680898
                  equity shares
AFC               Common         00104Q107   5478   510558 SH        DEFINED   1,2,6,                    510558
ENTERPRISES       Stock
INC
                  Common         008252108  73388   928957 SH        DEFINED   1,2,5,6,8,10,             928957
AFFILIATED        equity shares
MANAGERS
GRP INC
AFFYMAX           Common         00826A109   7101   303087 SH        DEFINED   1,2,6,8,                  303087
INC               equity shares

AFFYMETRIX        Common         00826T108  16333  2225203 SH        DEFINED   1,2,5,6,8,               2225203
INC               equity shares
AFLAC INC         Common         001055102 918129 16911561 SH        DEFINED   1,2,5,6,8,10,12,13,18,  16911561
                  equity shares
AGA               Common         008368102   3374   207609 SH        DEFINED   1,2,                      207609
MEDICAL           equity shares
HOLDINGS
INC
AGCO CORP         Common         001084102  79935  2228470 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2228470
                  equity shares
AGFEED            Common         00846L101   2020   460183 SH        DEFINED   1,2,                      460183
INDUSTRIES        Stock
INC
AGILENT           Common         00846U101 385036 11193870 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11193870
TECHNOLOGIES      equity shares
INC
AGILYSYS          Common         00847J105   5598   501779 SH        DEFINED   1,2,                      501779
INC               equity shares
AGL               Common         001204106  63286  1637277 SH        DEFINED   1,2,5,6,8,10,            1637277
RESOURCES         equity shares
INC
AGREE             Real Estate    008492100   4452   194733 SH        DEFINED   1,2,3,8,                  194733
REALTY            Investment
CORP              Trust
AGRIUM INC        Common         008916108    979    15680 SH        DEFINED   1,                         15680
                  equity shares
AIR               Common         009128307  10029   294964 SH        DEFINED   1,2,6,8,                  294964
METHODS           equity shares
CORP
AIR               Common         009158106 588637  7959920 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7959920
PRODUCTS &        equity shares
CHEMICALS
INC
AIR               Common         00922R105   3642  1080603 SH        DEFINED   1,2,                     1080603
TRANSPORT         equity shares
SERVICES
GROUP
AIRCASTLE         Common         G0129K104   9838  1038875 SH        DEFINED   1,2,5,8,                 1038875
LTD               equity shares
AIRGAS INC        Common         009363102 187691  2950192 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2950192
                  equity shares
AIRTRAN           Common         00949P108  19712  3875901 SH        DEFINED   1,2,5,6,                 3875901
HOLDINGS          equity shares
INC
AIRVANA           Common         00950V101   3349   437255 SH        DEFINED   1,2,6,                    437255
INC               Stock
AIXTRON AG        American       009606104    416    13250 SH        DEFINED   1,                         13250
                  Depository
                  Receipt
AK STEEL          Common         001547108 121175  5300754 SH        DEFINED   1,2,5,6,8,10,12,13,      5300754
HOLDING           equity shares
CORP
AKAMAI            Common         00971T101 177879  5658838 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5658838
TECHNOLOGIES      equity shares
INC
AKEENA            Common         009720103     14    13600 SH        DEFINED   1,                         13600
SOLAR INC         equity shares
AKORN INC         Common         009728106   1537  1004678 SH        DEFINED   1,2,6,                   1004678
                  equity shares
ALAMO             Common         011311107   3054   150573 SH        DEFINED   1,2,                      150573
GROUP INC         equity shares
ALASKA            Common         011659109  52074  1263004 SH        DEFINED   1,2,5,6,8,               1263004
AIR GROUP         equity shares
INC
ALASKA            Common         01167P101   6995   861443 SH        DEFINED   1,2,5,6,8,                861443
COMMUNICATIONS    equity shares
SYS GP
ALBANY            Common         012348108  13713   633718 SH        DEFINED   1,2,5,8,                  633718
INTL CORP         equity shares
-CL A
ALBANY            Common         012423109   5637   675070 SH        DEFINED   1,2,5,6,                  675070
MOLECULAR         Stock
RESH INC
ALBEMARLE         Common         012653101  78312  1835999 SH        DEFINED   1,2,5,6,8,10,            1835999
CORP              equity shares
                  Common         013078100  44855  1715283 SH        DEFINED   1,2,5,6,8,10,12,         1715283
ALBERTO-CULVER    equity shares
CO
ALCATEL-LUCENT    American       013904305    927   297149 SH        DEFINED   1,5,8,12,                 297149
                  Depository
                  Receipt
ALCOA INC         Common         013817101 631172 44323897 SH        DEFINED   1,2,5,6,8,10,12,13,18,  44323897
                  equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER               CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            ----------- --------- ------- -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                        
ALCOA INC         USA:        013817AT     3465  1500000 SH        DEFINED   1,2,                       1500000
                  Bond
ALCON INC         Common      H01301102   22590   140405 SH        DEFINED   1,2,5,6,8,12,               140405
                  equity
                  shares
                  Common      014482103   28725   869125 SH        DEFINED   1,2,5,6,8,10,               869125
ALEXANDER &       equity
BALDWIN           shares
INC
                  Real Estate 014752109   21316    71261 SH        DEFINED   1,2,3,5,6,8,                 71261
ALEXANDER'S       Investment
INC               Trust
                  Real Estate 015271109   99858  1477196 SH        DEFINED   1,2,3,5,6,8,10,            1470946            NA
ALEXANDRIA        Investment
R E               Trust
EQUITIES
INC
ALEXION           Common      015351109   71226  1310022 SH        DEFINED   1,2,5,6,8,10,              1310022
PHARMACEUTICALS   Stock
INC
ALEXZA            Common      015384100      36    13400 SH        DEFINED   1,                           13400
PHARMACTCLS       equity
INC               shares
ALICO INC         Common      016230104    1744    69067 SH        DEFINED   1,2,5,                       69067
                  equity
                  shares
ALIGN             Common      016255101   24213  1251983 SH        DEFINED   1,2,5,6,8,                 1251983
TECHNOLOGY        equity
INC               shares
ALKERMES          Common      01642T108   48835  3765226 SH        DEFINED   1,2,5,6,8,                 3765226
INC               equity
                  shares
ALLEGHANY         Common      017175100   16302    56058 SH        DEFINED   1,2,5,8,10,                  56058
CORP              equity
                  shares
ALLEGHENY         Common      017361106  151666  6594169 SH        DEFINED   1,2,5,6,8,10,12,13,18,     6594169
ENERGY INC        equity
                  shares
ALLEGHENY         Common      01741R102  229320  4247497 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4247497
TECHNOLOGIES      equity
INC               shares
ALLEGIANT         Common      01748X102   18284   315998 SH        DEFINED   1,2,5,6,8,                  315998
TRAVEL CO         equity
                  shares
ALLERGAN          Common      018490102  647450  9911980 SH        DEFINED   1,2,5,6,8,10,12,13,18,     9911980
INC               equity
                  shares
ALLERGAN          USA:        018490AL     1678  1450000 SH        DEFINED   1,2,                       1450000
INC               Bond
ALLETE INC        Common      018522300   24440   729991 SH        DEFINED   1,2,5,8,                    729991
                  equity
                  shares
ALLIANCE          USA:        018581AD     2043  2000000 SH        DEFINED   1,2,                       2000000
DATA              Bond
SYSTEMS
CO 144A
ALLIANCE          Common      018581108   85513  1334328 SH        DEFINED   1,2,5,6,8,10,12,13,18,     1334328
DATA              equity
SYSTEMS           shares
CORP
ALLIANCE          Common      018680108      22    15571 SH        DEFINED   1,                           15571
FIBER             equity
OPTIC             shares
PRODUCT
ALLIANCE          Common      019205103    2211    74994 SH        DEFINED   1,2,                         74994
FINANCIAL         equity
CORP/NY           shares
ALLIANCE          Common      018606202    3451   614124 SH        DEFINED   1,2,5,6,                    614124
HEALTHCARE        equity
SVCS INC          shares
ALLIANCE          Common      018772103    9212  1809879 SH        DEFINED   1,2,5,                     1809879
ONE INTL          equity
INC               shares
                  Limited     01881G106     242     7900 SH        DEFINED   1,                            7900
ALLIANCEBERNSTEIN Partnership
HOLDING LP
ALLIANT           Common      018802108   98792  2970120 SH        DEFINED   1,2,5,6,8,10,12,13,18,     2970120
ENERGY            equity
CORP              shares
ALLIANT           Common      018804104   60338   742161 SH        DEFINED   1,2,5,6,8,10,12,            742161
TECHSYSTEMS       equity
INC               shares
ALLIED            Common      01903Q108   18193  3660616 SH        DEFINED   1,2,5,6,8,                 3660616
CAPITAL           equity
CORP              shares
ALLIED            Common      01923A109    2386   877028 SH        DEFINED   1,2,                        877028
HEALTHCARE        equity
INTL INC          shares
ALLIED            American    019228402      43    13272 SH        DEFINED   1,                           13272
IRISH             Depository
BANKS             Receipt
ALLIED            Common      019344100   17441  1052584 SH        DEFINED   1,2,5,6,                   1052584
NEVADA            equity
GOLD CORP         shares
ALLIED            Common      G0219G203   27001   602182 SH        DEFINED   1,2,5,8,10,                 602182
WORLD             equity
ASSRNC CO         shares
HLDGS
                  Common      019645506    4082  1153004 SH        DEFINED   1,2,5,8,                   1153004
ALLIS-CHALMERS    equity
ENERGY INC        shares
ALLOS             Common      019777101   10272  1382556 SH        DEFINED   1,2,5,6,8,                 1382556
THERAPEUTICS      equity
INC               shares
ALLOY INC         Common      019855303      86    10486 SH        DEFINED   1,                           10486
                  equity
                  shares
                  Common      01988P108   13689   698775 SH        DEFINED   1,2,5,6,8,10,               698775
ALLSCRIPTS-MISYS  equity
HLTHCR SOL        shares
ALLSTATE          Common      020002101  617344 19103208 SH        DEFINED   1,2,5,6,8,10,12,13,18,    19103208
CORP              equity
                  shares
ALMOST            Common      020409108    5829   154667 SH        DEFINED   1,2,6,8,                    154667
FAMILY INC        Stock
ALNYLAM           Common      02043Q107   11798   693206 SH        DEFINED   1,2,5,6,8,                  693206
PHARMACEUTICALS   Stock
INC
ALON USA          Common      020520102    1403   193512 SH        DEFINED   1,2,5,6,                    193512
ENERGY INC        equity
                  shares
ALPHA             Common      02076X102  120514  2416524 SH        DEFINED   1,2,5,6,8,10,12,13,18,     2416524
NATURAL           equity
RESOURCES         shares
INC
ALPHATEC          Common      02081G102    3532   554406 SH        DEFINED   1,2,                        554406
HOLDINGS          equity
INC               shares
ALTAIR            Common      021373105      72   100419 SH        DEFINED   1,5,                        100419
NANOTECHNOLOGIES  equity
INC               shares
ALTERA            Common      021441100  242379  9970331 SH        DEFINED   1,2,5,6,8,10,12,13,18,     9970331
CORP              equity
                  shares
                  Common      L0175J104     385    17205 SH        DEFINED   1,5,8,                       17205
ALTISOURCE        equity
PORTFOLIO         shares
SOLTNS
ALTRA             Common      02208R106    8876   646457 SH        DEFINED   1,2,8,                      646457
HOLDINGS          equity
INC               shares
ALTRIA            Common      02209S103 1639071 79867083 SH        DEFINED   1,2,5,6,8,10,12,13,18,    79867083
GROUP INC         equity
                  shares
ALUFP             A U S       549463AH     2230  2550000 SH        DEFINED   1,2,                       2550000
2.875             issuer
06/15/25          issuing in
                  U S dollars
                  in the U S
                  capital
                  market
ALUMINA           American    022205108     135    21533 SH        DEFINED   1,                           21533
LTD               Depository
                  Receipt
ALUMINUM          American    022276109     514    19951 SH        DEFINED   1,6,                         19951
CORP              Depository
CHINA LTD         Receipt
ALVARION          Common      M0861T100     374    94447 SH        DEFINED   1,2,                         94447
LTD               equity
                  shares
AMAG              Common      00163U106   14749   422919 SH        DEFINED   1,2,5,6,8,                  422919
PHARMACEUTICALS   equity
INC               shares
                  Common      023135106 1505015 11087490 SH        DEFINED   1,2,5,6,8,10,12,13,18,    11087490
AMAZON.COM        equity
INC               shares
AMB               Real Estate 00163T109  148098  5436790 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   5415690            NA
PROPERTY          Investment
CORP              Trust
AMBAC             Common      023139108    3294  5916529 SH        DEFINED   1,2,5,6,8,                 5916529
FINANCIAL         equity
GP                shares
                  Common      023177108    4089   370087 SH        DEFINED   1,2,5,6,8,                  370087
AMBASSADORS       equity
GROUP INC         shares
AMCOL             Common      02341W103   13882   510374 SH        DEFINED   1,2,5,8,                    510374
INTERNATIONAL     equity
CORP              shares
AMCORE            Common      023912108      16    35592 SH        DEFINED   1,2,                         35592
FINANCIAL         Stock
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                     
AMDOCS LTD        Common     G02602103   58480  1940095 SH        DEFINED   1,2,5,6,8,10,12,         1940095
                  equity
                  shares
AMEDISYS          Common     023436108   39721   719033 SH        DEFINED   1,2,5,6,8,                719033
INC               equity
                  shares
AMER              Common     027070101   17864   459589 SH        DEFINED   1,2,5,6,8,                459589
ITALIAN           Stock
PASTA CO
-CL A
AMERCO            Common     023586100   10430   192118 SH        DEFINED   1,2,5,6,8,                192118
                  equity
                  shares
AMEREN            Common     023608102  250567  9607609 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9607609
CORP              equity
                  shares
AMERICA           American   02364W105  182260  3620571 SH        DEFINED   1,2,4,5,6,8,10,18,       3620571
MOVIL SA          Depository
DE CV             Receipt
AMERICA           Common     02364L109    2215   137647 SH        DEFINED   1,2,5,                    137647
SERVICE           equity
GROUP INC         shares
AMERICA'S         Common     03062T105    4738   196443 SH        DEFINED   1,2,5,                    196443
CAR-MART          equity
INC               shares
AMERICAN          Common     023850100    1714   565619 SH        DEFINED   1,2,5,6,8,                565619
APPAREL           equity
INC               shares
AMERICAN          Common     024061103   10939  1096111 SH        DEFINED   1,2,5,6,8,               1096111
AXLE &            equity
MFG               shares
HOLDINGS
AMERICAN          Real       024835100   48351  1747767 SH        DEFINED   1,2,3,5,8,               1740367            NA
CAMPUS            Estate
COMMUNITIES       Investment
                  Trust
AMERICAN          Common     02503X105    9630   376137 SH        DEFINED   1,2,8,18,                 376137
CAPITAL           Stock
AGENCY
CORP
AMERICAN          Common     02503Y103   27630  5438893 SH        DEFINED   1,2,5,6,8,10,            5438893
CAPITAL           equity
LTD               shares
AMERICAN          Common     02505A103     230   129707 SH        DEFINED   1,2,                      129707
CARESOURCE        equity
HLDGS             shares
AMERICAN          Common     025195405    4829   192393 SH        DEFINED   1,2,5,6,                  192393
COMMERCIAL        equity
LINES             shares
AMERICAN          Common     025334103    3472   181307 SH        DEFINED   1,2,6,8,                  181307
DAIRY INC         Stock
AMERICAN          Common     025353103    4282   328095 SH        DEFINED   1,2,                      328095
DENTAL            equity
PARTNERS          shares
INC
AMERICAN          Common     025537101  679613 19883257 SH        DEFINED   1,2,5,6,8,10,12,13,18,  19883257
ELECTRIC          equity
POWER CO          shares
AMERICAN          Common     025676206   15015  1410851 SH        DEFINED   1,2,5,8,                 1410851
EQTY INVT         equity
LIFE HLDG         shares
AMERICAN          Common     025816109 1916594 46441248 SH        DEFINED   1,2,5,6,8,10,12,13,18,  46441248
EXPRESS CO        equity
                  shares
AMERICAN          Common     025932104   53318  1873400 SH        DEFINED   1,2,5,6,8,10,            1873400
FINANCIAL         equity
GROUP INC         shares
AMERICAN          Common     026375105   30317  1449445 SH        DEFINED   1,2,5,6,8,               1449445
GREETINGS         equity
-CL A             shares
AMERICAN          Common     026874784  162531  4760710 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4760710
INTERNATIONAL     equity
GROUP             shares
AMERICAN          USA:       02687411     1754   170650 SH        DEFINED   1,2,                      170650
INTL GROUP        Bond
AMERICAN          Common     02744M108   36069  1941284 SH        DEFINED   1,2,5,6,8,18,            1941284
MEDICAL           equity
SYSTMS            shares
HLDS
AMERICAN          Common     028591105   16876   148632 SH        DEFINED   1,2,5,6,8,10,             148632
NATIONAL          equity
INSURANCE         shares
AMERICAN          Common     027745108    2039   101180 SH        DEFINED   1,2,                      101180
NATL              equity
BANKSHARES        shares
AMERICAN          Common     028723104     287    42268 SH        DEFINED   1,2,                       42268
OIL & GAS         equity
INC               shares
AMERICAN          Common     028731107    4874  1194536 SH        DEFINED   1,2,5,6,8,               1194536
ORIENTAL          equity
BIOENGR           shares
AMERICAN          Common     028884104    7331   228783 SH        DEFINED   1,2,8,                    228783
PHYSICIANS        equity
CAPITAL           shares
AMERICAN          Common     028882108    3249   129941 SH        DEFINED   1,2,                      129941
PHYSICIANS        equity
SVC GP            shares
AMERICAN          Common     02913V103   18527   399062 SH        DEFINED   1,2,5,6,8,                399062
PUBLIC            Stock
EDUCATION
AMERICAN          Common     02916P103    3096   254599 SH        DEFINED   1,2,5,                    254599
RAILCAR           equity
INDS INC          shares
AMERICAN          Common     029174109     300    27926 SH        DEFINED   1,2,                       27926
REALTY            equity
INVESTORS         shares
AMERICAN          Common     029263100    6563   731615 SH        DEFINED   1,2,5,8,                  731615
REPROGRAPHICS     equity
CO                shares
AMERICAN          Common     G02995101    2797   168567 SH        DEFINED   1,2,5,                    168567
SAFETY            equity
INS HLDG          shares
LTD
AMERICAN          Common     029429107   14148   188841 SH        DEFINED   1,2,5,6,8,                188841
SCIENCE           equity
ENGINEERING       shares
AMERICAN          Common     029683109    2358   405766 SH        DEFINED   1,2,                      405766
SOFTWARE          equity
-CL A             shares
AMERICAN          Common     029899101   46755  1347407 SH        DEFINED   1,2,5,8,                 1347407
STATES            equity
WATER CO          shares
AMERICAN          Common     030111108   25992   899376 SH        DEFINED   1,2,5,6,8,                899376
SUPERCONDUCTOR    Stock
CP
AMERICAN          Common     029912201  558089 13097971 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13097971
TOWER CORP        equity
                  shares
AMERICAN          Common     030371108    3406   417971 SH        DEFINED   1,2,8,                    417971
VANGUARD          equity
CORP              shares
AMERICAN          Common     030420103   30133  1384789 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1384789
WATER             equity
WORKS CO          shares
INC
AMERICAN          Common     030506109    4848   250018 SH        DEFINED   1,2,5,8,                  250018
WOODMARK          equity
CORP              shares
                  Common     03060R101   51316  2159750 SH        DEFINED   1,2,5,6,8,10,            2159750
AMERICREDIT       equity
CORP              shares
AMERIGON          Common     03070L300    4065   402071 SH        DEFINED   1,2,5,                    402071
INC               Stock
                  Common     03073T102   42751  1286118 SH        DEFINED   1,2,5,6,8,               1286118
AMERIGROUP        equity
CORP              shares
                  Common     03076C106  439402  9686075 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9686075
AMERIPRISE        equity
FINANCIAL         shares
INC
AMERIS            Common     03076K108    2713   300408 SH        DEFINED   1,2,                      300408
BANCORP           equity
                  shares
AMERISAFE         Common     03071H100    7112   434448 SH        DEFINED   1,2,8,                    434448
INC               equity
                  shares
AMERISERV         Common     03074A102      17    10294 SH        DEFINED   1,                         10294
FINANCIAL         equity
INC/PA            shares
                  Common     03073E105  335265 11578445 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11578445
AMERISOURCEBERGEN equity
CORP              shares
AMERISTAR         Common     03070Q101    9378   514718 SH        DEFINED   1,2,5,8,                  514718
CASINOS           equity
INC               shares
AMERN             Common     02553E106  101110  5460994 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5460994
EAGLE             equity
OUTFITTERS        shares
INC
AMERON            Common     030710107   12372   196722 SH        DEFINED   1,2,5,8,                  196722
INTERNATIONAL     equity
CORP              shares
AMES              Common     031001100    2397   119536 SH        DEFINED   1,2,                      119536
NATIONAL          equity
CORP              shares
AMETEK INC        Common     031100100  106188  2560856 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2560856
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
AMGEN INC         Common         031162100 2091904 35007290 SH        DEFINED   1,2,5,6,8,10,12,13,18,  35007290
                  equity shares
AMGEN INC         Any issuer     031162AN     7179  7250000 SH        DEFINED   1,2,                     7250000
                  issuing in any
                  currency
                  offered in all
                  markets
                  simultaneously
AMGEN INC         A U S issuer   031162AQ     6344  6250000 SH        DEFINED   1,2,                     6250000
                  issuing in U S
                  dollars in the
                  U S capital
                  market
AMICAS INC        Common         001712108    3519   584514 SH        DEFINED   1,2,                      584514
                  equity shares
AMICUS            Common         03152W109     811   254328 SH        DEFINED   1,2,                      254328
THERAPEUTICS      equity shares
INC
AMKOR             Common         031652100   22560  3190973 SH        DEFINED   1,2,5,6,8,               3190973
TECHNOLOGY        equity shares
INC
AMN               Common         001744101    6903   784456 SH        DEFINED   1,2,5,6,8,                784456
HEALTHCARE        equity shares
SERVICES
INC
AMPAL             Common         032015109     933   335644 SH        DEFINED   1,2,                      335644
AMERICAN          equity shares
ISRAEL
-CL A
                  Common         032037103    5235   210903 SH        DEFINED   1,2,8,                    210903
AMPCO-PITTSBURGH  equity shares
CORP
AMPHENOL          Common         032095101  233445  5532321 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5532321
CORP              equity shares
AMR               Common         001765106   29594  3248555 SH        DEFINED   1,2,5,6,8,10,            3248555
CORP/DE           equity shares
AMREP CORP        Common         032159105     436    30022 SH        DEFINED   1,2,                       30022
                  equity shares
AMSURG            Common         03232P405   15402   713404 SH        DEFINED   1,2,5,8,                  713404
CORP              equity shares
AMTRUST           Common         032359309    8525   611131 SH        DEFINED   1,2,5,8,                  611131
FINANCIAL         equity shares
SERVICES
AMYLIN            USA: Bond      032346AF     1296  1450000 SH        DEFINED   1,2,                     1450000
PHARMACEUTICALS
AMYLIN            Common         032346108   57290  2548521 SH        DEFINED   1,2,5,6,8,10,18,         2548521
PHARMACEUTICALS   equity shares
INC
ANADARKO          Common         032511107 1335872 18342325 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18342325
PETROLEUM         equity shares
CORP
ANADIGICS         Common         032515108    5908  1215731 SH        DEFINED   1,2,6,8,                 1215731
INC               equity shares
ANADYS            Common         03252Q408      75    29629 SH        DEFINED   1,                         29629
PHARMACEUTICALS   equity shares
INC
ANALOG            Common         032654105  283451  9834755 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9834755
DEVICES           equity shares
ANALOGIC          Common         032657207   12072   282513 SH        DEFINED   1,2,5,8,                  282513
CORP              equity shares
ANAREN INC        Common         032744104    5343   373544 SH        DEFINED   1,2,6,                    373544
                  equity shares
                  Common         032803108    1976   116591 SH        DEFINED   1,2,                      116591
ANCESTRY.COM      equity shares
INC
ANCHOR            Common         032839102      32    29445 SH        DEFINED   1,                         29445
BANCORP           equity shares
INC/WI
ANDERSONS         Common         034164103   13924   415885 SH        DEFINED   1,2,5,8,                  415885
INC               equity shares
                  Common         03475V101    8114   518543 SH        DEFINED   1,2,8,                    518543
ANGIODYNAMICS     equity shares
INC
ANGLOGOLD         American       035128206   24287   639980 SH        DEFINED   1,2,6,18,                 639980
ASHANTI           Depository
LTD               Receipt
ANIMAL            Common         03525N109      26    13800 SH        DEFINED   1,                         13800
HEALTH            equity shares
INTL INC
ANIXTER           Common         035290105   35300   753470 SH        DEFINED   1,2,5,6,8,                753470
INTL INC          equity shares
ANNALY            Real Estate    035710409  184372 10732091 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10732091
CAPITAL           Investment
MANAGEMENT        Trust
ANNALY            USA: Bond      035710AA     1720  1750000 SH        DEFINED   1,2,                     1750000
CAPITAL
MGMT
ANNTAYLOR         Common         036115103   54708  2642882 SH        DEFINED   1,2,5,6,8,               2642882
STORES            equity shares
CORP
ANSYS INC         Common         03662Q105   78047  1808192 SH        DEFINED   1,2,5,6,8,10,            1808192
                  equity shares
ANTARES           Common         036642106      49    36092 SH        DEFINED   1,                         36092
PHARMA INC        equity shares
                  Common         037032109      30    40922 SH        DEFINED   1,                         40922
ANTIGENICS        Stock
INC/DE
ANWORTH           Real Estate    037347101   17661  2620273 SH        DEFINED   1,2,5,8,                 2620273
MTG ASSET         Investment
CORP              Trust
AOL INC           Common         00184X105   58294  2305938 SH        DEFINED   1,2,5,6,8,10,12,18,      2305938
                  equity shares
AON CORP          Common         037389103  559724 13105253 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13105253
                  equity shares
APAC              Common         00185E106    2894   503293 SH        DEFINED   1,2,6,                    503293
CUSTOMER          equity shares
SERVICES
INC
APACHE            Common         037411105 1283676 12646775 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12646775
CORP              equity shares
APARTMENT         Real Estate    03748R101   89231  4846872 SH        DEFINED   1,2,3,5,6,8,10,12,13,    4830274            NA
INVT              Investment
&MGMT -CL         Trust
A
APCO OIL          Common         G0471F109    4728   174725 SH        DEFINED   1,2,                      174725
AND GAS           equity shares
INTL INC
APOGEE            Common         037598109   21663  1370234 SH        DEFINED   1,2,5,8,                 1370234
ENTERPRISES       equity shares
INC
APOLLO            Real Estate    03762U105    2576   143042 SH        DEFINED   1,2,                      143042
COMMERCIAL        Investment
RE FIN INC        Trust
APOLLO            Common         037604105  268578  4382086 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4382086
GROUP INC         equity shares
-CL A
APOLLO            Common         03761U106   73594  5781127 SH        DEFINED   1,2,5,6,8,               5781127
INVESTMENT        equity shares
CORP
APPLE INC         Common         037833100 7138161 30376678 SH        DEFINED   1,2,5,6,8,10,12,13,18,  30376678
                  equity shares
APPLIED           Common         03819M106      35    44838 SH        DEFINED   1,                         44838
ENERGETICS        Stock
INC
APPLIED           Common         03820C105   22542   907127 SH        DEFINED   1,2,5,8,                  907127
INDUSTRIAL        equity shares
TECH INC
APPLIED           Common         038222105  590045 43771887 SH        DEFINED   1,2,5,6,8,10,12,13,18,  43771887
MATERIALS         equity shares
INC
APPLIED           Common         03822W406   12315  1426955 SH        DEFINED   1,2,5,6,8,               1426955
MICRO             equity shares
CIRCUITS
CORP
APPLIED           Common         038237103    6072   310097 SH        DEFINED   1,2,6,8,                  310097
SIGNAL            equity shares
TECHNOLOGY
APPROACH          Common         03834A103    2718   299358 SH        DEFINED   1,2,6,                    299358
RESOURCES         Stock
INC
                  Common         038336103   55160  1401785 SH        DEFINED   1,2,5,6,8,10,            1401785
APTARGROUP        equity shares
INC
AQUA              Common         03836W103   47945  2728771 SH        DEFINED   1,2,5,6,8,10,18,         2728771
AMERICA           equity shares
INC
ARBITRON          Common         03875Q108   14735   552700 SH        DEFINED   1,2,5,6,8,                552700
INC               equity shares
ARBOR             Real Estate    038923108      94    28989 SH        DEFINED   1,                         28989
REALTY            Investment
TRUST INC         Trust







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED    NO
ISSUER               CLASS       CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING  VOTING
------            ------------ --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------  ------
                                                                                       
ARCADIA           Common       039209101     33    83800 SH        DEFINED   1,                         83800
RESOURCES         equity
INC               shares
ARCELORMITTAL     USA: Bond    03938LAK    3225  2000000 SH        DEFINED   1,2,                     2000000
                  Similar to   03938L104    865    21377 SH        DEFINED   1,                         21377
ARCELORMITTAL     ADR
SA                Certificates
                  representing
                  ordinary
                  shares
ARCH              Common       G0450A105  73520   964199 SH        DEFINED   1,2,5,6,8,10,12,13,18,    964199
CAPITAL           equity
GROUP LTD         shares
ARCH              Common       03937R102  18791   546420 SH        DEFINED   1,2,5,8,                  546420
CHEMICALS         equity
INC               shares
ARCH COAL         Common       039380100 118132  5169882 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5169882
INC               equity
                  shares
ARCHER            A U S        039483AW    3026  3050000 SH        DEFINED   1,2,                     3050000
DANIELS           issuer
                  issuing in U
                  S dollars in
                  the U S
                  capital
                  market
ARCHER            USA: Bond    03948320    3229    79500 SH        DEFINED   2,                         79500
DANIELS
MIDLAND
CO UNIT
99/99/9999
ARCHER-DANIELS-   Common       039483102 690989 23916349 SH        DEFINED   1,2,5,6,8,10,12,13,18,  23916349
MIDLAND           equity
CO                shares
ARCHIPELAGO       Common       03956P102   1847   126807 SH        DEFINED   1,2,                      126807
LEARNING          equity
INC               shares

ARCSIGHT          Common       039666102  11387   406657 SH        DEFINED   1,2,5,6,8,18,             406657
INC               equity
                  shares
ARCTIC            Common       039670104    569    52398 SH        DEFINED   1,                         52398
CAT INC           Stock
ARDEA             Common       03969P107   4511   247023 SH        DEFINED   1,2,                      247023
BIOSCIENCES       Stock
INC
ARDEN             Common       039762109   2641    24845 SH        DEFINED   1,2,6,                     24845
GROUP INC         equity
-CL A             shares
ARENA             Common       040047102   5503  1775027 SH        DEFINED   1,2,5,6,8,               1775027
PHARMACEUTICALS   equity
INC               shares
ARENA             Common       040049108  26440   791622 SH        DEFINED   1,2,5,6,8,                791622
RESOURCES         equity
INC               shares
ARES              Common       04010L103  40875  2754388 SH        DEFINED   1,2,8,                   2754388
CAPITAL           equity
CORP              shares
ARGAN INC         Common       04010E109   1458   112186 SH        DEFINED   1,2,6,                    112186
                  equity
                  shares
ARGO              Common       G0464B107  24190   742256 SH        DEFINED   1,2,5,8,                  742256
GROUP             equity
INTL              shares
HOLDINGS
LTD
ARGON ST          Common       040149106   7401   278126 SH        DEFINED   1,2,5,8,                  278126
INC               equity
                  shares
ARIAD             Common       04033A100   7276  2140120 SH        DEFINED   1,2,8,                   2140120
PHARMACEUTICALS   equity
INC               shares
ARIBA INC         Common       04033V203  23536  1831634 SH        DEFINED   1,2,5,6,8,               1831634
                  Stock
ARKANSAS          Common       040790107  16682   557995 SH        DEFINED   1,2,5,8,                  557995
BEST CORP         equity
                  shares
ARM               American     042068106    228    21304 SH        DEFINED   1,                         21304
HOLDINGS          Depository
PLC               Receipt
ARMSTRONG         Common       04247X102  40111  1104683 SH        DEFINED   1,2,5,8,10,              1104683
WORLD             equity
INDUSTRIES        shares
ARQULE INC        Common       04269E107   5549   963351 SH        DEFINED   1,2,6,                    963351
                  equity
                  shares
ARRAY             Common       04269X105   2476   903767 SH        DEFINED   1,2,                      903767
BIOPHARMA         equity
INC               shares
ARRIS             Common       04269Q100  41871  3486369 SH        DEFINED   1,2,5,6,8,18             3486369
GROUP INC         equity
                  shares
ARROW             Common       042735100 127109  4218678 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4218678
ELECTRONICS       equity
INC               shares
ARROW             Common       042744102   6043   224729 SH        DEFINED   1,2,5,8,                  224729
FINANCIAL         equity
CORP              shares
ARROWHEAD         Common       042797100     19    16800 SH        DEFINED   1,                         16800
RESEARCH          Stock
CORP
ART               Common       04289L107  13943  3161607 SH        DEFINED   1,2,5,6,8,               3161607
TECHNOLOGY        equity
GROUP INC         shares
ARTESIAN          Common       043113208   2797   158382 SH        DEFINED   1,2,5,                    158382
RESOURCES         Stock
-CL A
                  Common       043136100    408    13721 SH        DEFINED   1,2,                       13721
ARTHROCARE        Stock
CORP
ARTHUR J          Common       363576109  51323  2090549 SH        DEFINED   1,2,5,6,8,10,12,         2090549
GALLAGHER &       equity
CO                shares
ARTIO             Common       04315B107  13247   535439 SH        DEFINED   1,2,                      535439
GLOBAL            equity
INVESTORS         shares
INC
ARUBA             Common       043176106  15749  1152923 SH        DEFINED   1,2,5,6,8,               1152923
NETWORKS          equity
INC               shares
                  Common       043353101  23354  1749362 SH        DEFINED   1,2,5,6,8,               1749362
ARVINMERITOR      equity
INC               shares
ARYX              Common       043387109    263   302530 SH        DEFINED   1,2,                      302530
THERAPEUTICS      equity
INC               shares
ASBURY            Common       043436104  10717   800872 SH        DEFINED   1,2,5,8,                  800872
AUTOMOTIVE        equity
GROUP INC         shares
ASCENT            Common       043632108   7861   288472 SH        DEFINED   1,2,5,6,8,                288472
MEDIA CORP        equity
                  shares
ASCENT            Common       043635101   1166   302813 SH        DEFINED   1,2,                      302813
SOLAR             equity
TECHNOLOGIES      shares
ASHFORD           Real Estate  044103109  15274  2130277 SH        DEFINED   1,2,3,5,8,               2130277
HOSPITALITY       Investment
TRUST             Trust
ASHLAND           Common       044209104 101307  1918891 SH        DEFINED   1,2,5,6.8,10,12,18,      1914541            4350
INC               equity
                  shares
ASIAINFO          Common       04518A104  15142   571815 SH        DEFINED   1,2,5,6,8,                571815
HOLDINGS          Stock
INC
ASML              Similar to   N07059186    241     6808 SH        DEFINED   1,                          6808
HOLDING NV        ADR
                  Certificates
                  representing
                  ordinary
                  shares
ASPEN             Common       G05384105  30053  1042074 SH        DEFINED   1,2,5,8,10,18,           1042074
INSURANCE         equity
HOLDINGS          shares
LTD
ASPEN             Common       045327103    591    57698 SH        DEFINED   1,2,                       57698
TECHNOLOGY        Stock
INC
ASPENBIO          Common       045346103     54    23478 SH        DEFINED   1,                         23478
PHARMA INC        equity
                  shares
ASSET             Common       04543P100   1901   301321 SH        DEFINED   1,2,5,6,                  301321
ACCEPTANCE        equity
CAPITL CP         shares
ASSISTED          Common       04544X300   6947   211545 SH        DEFINED   1,2,5,6,                  211545
LIVING            equity
CONCEPTS          shares
INC
                  Common       045487105  70457  5105593 SH        DEFINED   1,2,5,6,8,10,18,         5105593
ASSOCIATED        equity
BANC-CORP         shares
                  Real Estate  045604105   8076   585641 SH        DEFINED   1,2,3,5,8,                585641
ASSOCIATED        Investment
ESTATES           Trust
RLTY CORP
ASSURANT          Common       04621X108 147804  4299122 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4293342            5780
INC               equity
                  shares
ASSURED           Common       G0585R106  56143  2555459 SH        DEFINED   1,2,5,8,                 2555459
GUARANTY          equity
LTD               shares
ASTA              Common       046220109     98    13872 SH        DEFINED   1,                         13872
FUNDING           equity
INC               shares
ASTEC             Common       046224101  12213   421704 SH        DEFINED   1,2,5,6,8,                421704
INDUSTRIES        equity
INC               shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                            
ASTORIA           Common         046265104   40847   2811835 SH        DEFINED   1,2,5,6,8,                  2811835
FINANCIAL         equity shares
CORP
                  American       046353108    5270    117925 SH        DEFINED   1,                           117925
ASTRAZENECA       Depository
PLC               Receipt
ASTRONICS         Common         046433108    1436    146387 SH        DEFINED   1,2,                         146387
CORP              equity shares
AT&T INC          Common         00206R102 5302416 205198597 SH        DEFINED   1,2,5,6,8,10,12,13,18,    205198597
                  equity shares
ATC               Common         00211W104   10399    605982 SH        DEFINED   1,2,5,6,8,                   605982
TECHNOLOGY        equity shares
CORP
                  Common         04685W103   25331    692869 SH        DEFINED   1,2,5,6,8,                   692869
ATHENAHEALTH      Stock
INC
ATHEROS           Common         04743P108   63726   1646200 SH        DEFINED   1,2,5,6,8,                  1646200
COMMUNICATIONS    equity shares
INC
ATLANTIC          Common         049079205    9166    201886 SH        DEFINED   1,2,8,                       201886
TELE-NETWORK      equity shares
INC
ATLAS AIR         Common         049164205   29693    559384 SH        DEFINED   1,2,5,                       559384
WORLDWIDE         equity shares
HLDG INC
ATLAS             Common         049298102   67148   2157705 SH        DEFINED   1,2,5,6,8,                  2157705
ENERGY INC        equity shares
ATMEL CORP        Common         049513104   55569  11047571 SH        DEFINED   1,2,5,6,8,10,              11047571
                  equity shares
ATMI INC          Common         00207R101   12921    669158 SH        DEFINED   1,2,5,6,8,                   669158
                  equity shares
ATMOS             Common         049560105   55714   1949752 SH        DEFINED   1,2,5,6,8,10,               1949752
ENERGY            equity shares
CORP
ATP OIL &         Common         00208J108   15152    805546 SH        DEFINED   1,2,5,6,8,                   805546
GAS CORP          equity shares
ATRINSIC          Common         04964C109       9     10587 SH        DEFINED   1,                            10587
INC               equity shares
ATRION            Common         049904105    4602     32171 SH        DEFINED   1,2,6,                        32171
CORP              equity shares
ATS               Common         002083103    2058    791543 SH        DEFINED   1,2,6,                       791543
MEDICAL           equity shares
INC
ATWOOD            Common         050095108   56262   1624669 SH        DEFINED   1,2,5,6,8,10,               1624669
OCEANICS          equity shares
AU                American       002255107    9998    882402 SH        DEFINED   1,2,5,6,8,                   882402
OPTRONICS         Depository
CORP              Receipt
AUBURN            Common         050473107     662     32036 SH        DEFINED   1,2,                          32036
NATIONAL          equity shares
BANCORP
                  Common         M15342104     377     93240 SH        DEFINED   1,2,                          93240
AUDIOCODES        equity shares
LTD
AUDIOVOX          Common         050757103    2875    369478 SH        DEFINED   1,2,                         369478
CORP -CL A        equity shares
AUTHENTEC         Common         052660107      22     10200 SH        DEFINED   1,                            10200
INC               equity shares
                  Common         052666104      34     30017 SH        DEFINED   1,                            30017
AUTHENTIDATE      equity shares
HOLDING
CORP
AUTOBYTEL         Common         05275N106      53     50400 SH        DEFINED   1,                            50400
INC               equity shares
AUTODESK          Common         052769106  222450   7561182 SH        DEFINED   1,2,5,6,8,10,12,13,18,      7561182
INC               equity shares
AUTOLIV           Common         052800109   48707    944950 SH        DEFINED   1,2,5,6,8,10,12,18,          944950
INC               equity shares
AUTOMATIC         Common         053015103  767341  17255253 SH        DEFINED   1,2,5,6,8,10,12,13,18,     17255253
DATA              equity shares
PROCESSING
                  Common         05329W102   72872   4030536 SH        DEFINED   1,2,5,6,8,10,12,13,18,      4030536
AUTONATION        equity shares
INC
AUTOZONE          Common         053332102  211313   1218051 SH        DEFINED   1,2,5,6,8,10,12,13,18,      1218051
INC               equity shares
AUXILIUM          Common         05334D107   33657   1080139 SH        DEFINED   1,2,5,6,8,                  1080139
PHARMA INC        Stock
AVAGO             Common         Y0486S104     633     30850 SH        DEFINED   1,                            30850
TECHNOLOGIES      equity shares
LTD
AVALONBAY         Real Estate    053484101  321045   3717947 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,    3706415           NA
COMMUNITIES       Investment
INC               Trust
AVANIR            Common         05348P401    2313    997031 SH        DEFINED   1,2,                         997031
PHARMACEUTICALS   equity shares
INC
AVATAR            Common         053494100    3292    151445 SH        DEFINED   1,2,5,                       151445
HOLDINGS          equity shares
INC
AVERY             Common         053611109  139546   3832631 SH        DEFINED   1,2,5,6,8,10,12,13,18,      3832631
DENNISON          equity shares
CORP
AVI               Common         002346104    2200   1848525 SH        DEFINED   1,2,5,                      1848525
BIOPHARMA         equity shares
INC
AVIAT             Common         05366Y102   11371   1715169 SH        DEFINED   1,2,5,8,                    1715169
NETWORKS          equity shares
INC
AVID              Common         05367P100    8681    630000 SH        DEFINED   1,2,5,6,8,                   630000
TECHNOLOGY        equity shares
INC
AVIS              Common         053774105   32435   2820462 SH        DEFINED   1,2,5,6,8,18,               2820462
BUDGET            equity shares
GROUP INC
AVISTA            Common         05379B107   32141   1551518 SH        DEFINED   1,2,5,8,                    1551518
CORP              equity shares
AVNET INC         Common         053807103  154381   5146044 SH        DEFINED   1,2,5,6,8,10,12,13,18,      5146044
                  equity shares
AVON              Common         054303102  469398  13859480 SH        DEFINED   1,2,5,6,8,10,12,13,18,     13859480
PRODUCTS          equity shares
AVX CORP          Common         002444107    7875    554599 SH        DEFINED   1,2,5,8,10,                  554599
                  equity shares
AWARE INC         Common         05453N100      34     14192 SH        DEFINED   1,                            14192
                  equity shares
AXA               Depository     054536107     940     42636 SH        DEFINED   1,                            42636
                  Receipt
AXCELIS           Common         054540109     243    146331 SH        DEFINED   1,                           146331
TECHNOLOGIES      equity shares
INC
AXIS              Common         G0692U109   83133   2659411 SH        DEFINED   1,2,5,6,8,10,12,13,18,      2659411
CAPITAL           equity shares
HOLDINGS
LTD
AXT INC           Common         00246W103      92     28912 SH        DEFINED   1,2,                          28912
                  equity shares
AZZ INC           Common         002474104    8607    254258 SH        DEFINED   1,2,5,6,8,                   254258
                  equity shares
AZZ INC           Non- or        002474104     217        64 SH  PUT   DEFINED   1,                               NA           64
                  limited-voting
                  common
                  shares
B&G FOODS         Common         05508R106    9651    920909 SH        DEFINED   1,2,8,                       920909
INC               equity shares
BADGER            Common         056525108   11699    303784 SH        DEFINED   1,2,5,6,8,                   303784
METER INC         equity shares
BAIDU INC         American       056752108   71459    119266 SH        DEFINED   1,2,5,6,                     119266
-ADR              Depository
                  Receipt
BAKER             Common         057149106    5159    149617 SH        DEFINED   1,2,6,8,                     149617
(MICHAEL)         equity shares
CORP
BAKER             Common         057224107  547286  11684157 SH        DEFINED   1,2,5,6,8,10,12,13,18,     11684157
HUGHES INC        equity shares
BALCHEM           Common         057665200   13780    559041 SH        DEFINED   1,2,6,8,                     559041
CORP -CL B        equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS       CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ------------ --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
BALDOR            Common       057741100   40155   1073659 SH        DEFINED   1,2,5,6,8,                1073659
ELECTRIC          equity
CO                shares
BALDWIN &         Common       057755209    4171    173163 SH        DEFINED   1,2,5,                     173163
LYONS -CL         equity
B                 shares
BALL CORP         Common       058498106  185085   3467332 SH        DEFINED   1,2,5,6,8,10,12,13,18,    3467332
                  equity
                  shares
BALLY             Common       05874B107   70488   1738720 SH        DEFINED   1,2,5,6,8,                1738720
TECHNOLOGIES      equity
INC               shares
BANCFIRST         Common       05945F103    5639    134554 SH        DEFINED   1,2,5,8,                   134554
CORP/OK           equity
                  shares
BANCO DE          American     059520106     989     17095 SH        DEFINED   1,5,6,                      17095
CHILE             Depository
                  Receipt
BANCO             Common       P16994132   10562    736170 SH        DEFINED   1,2,                       736170
LATINOAMERICANO   equity
DE COM            shares
BANCO             American     05961W105     291      9725 SH        DEFINED   1,2,                         9725
MACRO SA          Depository
                  Receipt
BANCO             Depository   05967A107    6880    553490 SH        DEFINED   1,2,5,6,10,18,             553490
SANTANDER         Receipt
BRASIL
-ADR
BANCO             American     05964H105    6588    496191 SH        DEFINED   1,2,5,8,12,                496191
SANTANDER         Depository
SA                Receipt
BANCO             American     05965X109   15629    229096 SH        DEFINED   1,2,5,6,8,                 229096
SANTANDER-CHILE   Depository
                  Receipt
                  American     05968L102   29708    650630 SH        DEFINED   1,2,5,6,8,10,18,           650630
BANCOLOMBIA       Depository
SA                Receipt
BANCORP           Common       05969A105    3250    365185 SH        DEFINED   1,2,                       365185
INC               equity
                  shares
BANCORP           Common       059690107    1779     65056 SH        DEFINED   1,2,                        65056
RHODE             equity
ISLAND INC        shares
                  Common       059692103   47141   2249087 SH        DEFINED   1,2,5,6,8,10,             2249087
BANCORPSOUTH      equity
INC               shares
BANCTRUST         Common       05978R107     146     30154 SH        DEFINED   1,                          30154
FINANCIAL         equity
GRP INC           shares
BANK KY           Common       062896105     860     43142 SH        DEFINED   1,2,                        43142
FINANCIAL         Stock
CORP
BANK              Common       063750103    6773   1042070 SH        DEFINED   1,2,5,8,                  1042070
MUTUAL            equity
CORP              shares
BANK OF           Common       060505104 7642037 429088710 SH        DEFINED   1,2,5,6,8,10,12,13,18,  429088710
AMERICA           equity
CORP              shares
BANK OF           USA: Bond    06050568     6882      7050 SH        DEFINED   2,                           7050
AMERICA
CORP
BANK OF           Common       062401104      17     14309 SH        DEFINED   1,                          14309
GRANITE           equity
CORP              shares
BANK OF           Common       062540109   60547   1346979 SH        DEFINED   1,2,5,6,8,10,             1346979
HAWAII            equity
CORP              shares
BANK OF           Common       063425102    3671    110981 SH        DEFINED   1,2,                       110981
MARIN             equity
BANCORP           shares
BANK OF           Common       064058100 1338916  43355488 SH        DEFINED   1,2,5,6,8,10,12,13,18,   43355488
NEW YORK          equity
MELLON            shares
CORP
BANK OF           Common       063904106   14377    405608 SH        DEFINED   1,2,5,8,                   405608
THE               equity
OZARKS INC        shares
                  Common       065908600      46     25746 SH        DEFINED   1,                          25746
BANKATLANTIC      equity
BANCORP           shares
-CL A
                  Common       06643P104    4071    443909 SH        DEFINED   1,2,                       443909
BANKFINANCIAL     equity
CORP              shares
BANNER            Common       06652V109    1308    340595 SH        DEFINED   1,2,                       340595
CORP              equity
                  shares
BAR               Common       066849100    1704     55891 SH        DEFINED   1,2,                        55891
HARBOR            equity
BANKSHARES        shares
BARCLAYS          Public       06739H776     867     35592 SH        DEFINED   2,                          35592
BANK PLC          preferred
                  instrument
BARCLAYS          Public       06739H511     746     29766 SH        DEFINED   2,                          29766
BANK PLC          preferred
                  instrument
BARCLAYS          Public       06739H362    1764     68539 SH        DEFINED   2,                          68539
BANK PLC          preferred
                  instrument
BARCLAYS          Public       06739F390     441     19433 SH        DEFINED   2,                          19433
BK PLC            preferred
                  instrument
BARCLAYS          Investments  06739F291   61662    922400 SH        DEFINED   1,4,                       922400
IPATH             that contain
MSCI              a pool of
INDIA             securities
INDEX ETN         representing
                  a specific
                  index and
                  are built
                  like mutu
BARCLAYS          American     06738E204     889     40846 SH        DEFINED   1,                          40846
PLC               Depository
                  Receipt
BARD              Common       067383109  274883   3173442 SH        DEFINED   1,2,5,6,8,10,12,13,18,    3173442
(C.R.) INC        equity
                  shares
BARNES &          Common       067774109   35233   1629644 SH        DEFINED   1,2,5,6,8,10,             1629644
NOBLE INC         equity
                  shares
BARNES            Common       067806109   20279   1042641 SH        DEFINED   1,2,5,8,                  1042641
GROUP INC         equity
                  shares
BARNWELL          Common       068221100      44     10323 SH        DEFINED   1,2,                        10323
INDUSTRIES        equity
                  shares
BARRETT           Common       068463108    1603    118233 SH        DEFINED   1,2,                       118233
BUSINESS          equity
SVCS INC          shares
BARRICK           Common       067901108    1553     40509 SH        DEFINED   1,5,                        40509
GOLD CORP         equity
                  shares
BARRY (R          Common       068798107     251     24640 SH        DEFINED   1,                           6300          18340
G) CORP           equity
                  shares
BASIC             Common       06985P100    4205    545368 SH        DEFINED   1,2,5,6,                   545368
ENERGY            equity
SERVICES          shares
INC
BASSETT           Common       070203104     165     29187 SH        DEFINED   1,2,                        29187
FURNITURE         equity
INDS              shares
                  American     110448107    1576     22872 SH        DEFINED   1,                          22872
BAT-BRITISH       Depository
AMER              Receipt
TOBACCO
PLC
BAXTER            Common       071813109 1345014  23131907 SH        DEFINED   1,2,5,6,8,10,12,13,18,   23131907
INTERNATIONAL     equity
INC               shares
BB&T CORP         Common       054937107  804008  24822727 SH        DEFINED   1,2,5,6,8,10,12,13,18,   24822727
                  equity
                  shares
BCE INC           Common       05534B760     210      7147 SH        DEFINED   2,                           7147
                  Stock
BCO               American     05946K101    3663    267591 SH        DEFINED   1,2,5,8,12,                267591
BILBAO            Depository
VIZCAYA           Receipt
ARGENTRIA
BE                Common       073302101   62978   2068669 SH        DEFINED   1,2,5,6,8,10,             2068669
AEROSPACE         equity
INC               shares
BEACON            Common       073677106      45     99946 SH        DEFINED   1,                          99946
POWER CORP        equity
                  shares
BEACON            Common       073685109   18517    962385 SH        DEFINED   1,2,5,6,8,                 962385
ROOFING           equity
SUPPLY INC        shares
BEAZER            Common       07556Q105    5827   1283520 SH        DEFINED   1,2,6,                    1283520
HOMES USA         equity
INC               shares
BEBE              Common       075571109    4646    522073 SH        DEFINED   1,2,5,                     522073
STORES INC        equity
                  shares
BECKMAN           Common       075811109  104414   1662680 SH        DEFINED   1,2,5,6,8,10,12,13,18,    1662680
COULTER           equity
INC               shares
BECKMAN           USA: Bond    075811AD     1519   1350000 SH        DEFINED   1,2,                      1350000
COULTER
INC
BECTON            Common       075887109  989712  12570967 SH        DEFINED   1,2,5,6,8,10,12,13,18,   12432854         138113
DICKINSON &       equity
CO                shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ----------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
BED BATH          Common      075896100  413845  9452207 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9452207
& BEYOND          equity
INC               shares
BEL FUSE          Common      077347300    4968   244935 SH        DEFINED   1,2,6,                    244935
INC               equity
                  shares
BELDEN INC        Common      077454106   32237  1173966 SH        DEFINED   1,2,5,6,8,               1173966
                  equity
                  shares
BELL              Common      078137106     134    19258 SH        DEFINED   1,                         19258
MICROPRODUCTS     equity
INC               shares
BELO CORP         Common      080555105   13758  2017320 SH        DEFINED   1,2,5,8,                 2017320
-SER A COM        equity
                  shares
BEMIS CO          Common      081437105  132546  4615118 SH        DEFINED   1,2,5,6,8,10,12,13,      4608018           7100
INC               equity
                  shares
BENCHMARK         Common      08160H101   40878  1970964 SH        DEFINED   1,2,5,8,                 1970964
ELECTRONICS       equity
INC               shares
                  Common      08173R104    6221   656181 SH        DEFINED   1,2,5,6,8,                656181
BENEFICIAL        equity
MUTUAL            shares
BANCORP
BENIHANA          Common      082047200    1258   193489 SH        DEFINED   1,2,                      193489
INC -CL A         equity
                  shares
BERKLEY           Common      084423102   88115  3377348 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3377348
(W R) CORP        equity
                  shares
BERKSHIRE         Common      084670702 3946697 48562811 SH        DEFINED   1,2,5,6,8,10,12,13,18,  48562811
HATHAWAY          equity
                  shares
BERKSHIRE         Common      084670108  159802     1312 SH        DEFINED   1,5,6,8,12,                 1312
HATHAWAY          equity
INC DEL           shares
BERKSHIRE         Common      084680107    5249   286377 SH        DEFINED   1,2,5,8,                  286377
HILLS             equity
BANCORP           shares
INC
BERRY             Common      085789105   34272  1214017 SH        DEFINED   1,2,5,8,                 1214017
PETROLEUM         equity
-CL A             shares
BEST BUY          Common      086516101  563013 13223331 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13223331
CO INC            equity
                  shares
BGC               Common      05541T101    5858   958816 SH        DEFINED   1,2,5,                    958816
PARTNERS          equity
INC               shares
BHP               American    088606108    6907    85991 SH        DEFINED   1,2,                       85991
BILLITON          Depository
GROUP             Receipt
(AUS)
BHP               American    05545E209    2847    41608 SH        DEFINED   1,                         41608
BILLITON          Depository
GROUP             Receipt
(GBR)
BIDZ.COM          Common      08883T200      30    14900 SH        DEFINED   1,                         14900
INC               equity
                  shares
BIG 5             Common      08915P101    9235   606761 SH        DEFINED   1,2,5,8,                  606761
SPORTING          equity
GOODS CORP        shares
BIG LOTS          Common      089302103  115289  3164929 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3164929
INC               equity
                  shares
BIGBAND           Common      089750509    2651   750931 SH        DEFINED   1,2,6,                    750931
NETWORKS          equity
INC               shares
BIGLARI           Common      85787320    11391    29876 SH        DEFINED   1,2,8,                     29876
HOLDINGS          equity
INC               shares
BILL              Common      06846N104   41971  1366676 SH        DEFINED   1,2,5,6,8,               1366676
BARRETT           equity
CORP              shares
BIO               Common      09057G602   10649   246960 SH        DEFINED   1,2,6,8,                  246960
REFERENCE         equity
LABS              shares
BIO-RAD           Common      090572207   42651   412009 SH        DEFINED   1,2,5,6,8,10,             412009
LABORATORIES      equity
INC               shares
                  Common      09058M103      18    14300 SH        DEFINED   1,                         14300
BIOANALYTICAL     Stock
SYSTEMS
INC
                  Common      09071B100      53    11967 SH        DEFINED   1,                         11967
BIOCLINICA        equity
INC               shares
BIOCRYST          Common      09058V103    2924   445128 SH        DEFINED   1,2,5,                    445128
PHARMACEUTICALS   equity
INC               shares
BIODEL INC        Common      09064M105    1057   247627 SH        DEFINED   1,2,                      247627
                  equity
                  shares
                  Common      09060J106     645   168496 SH        DEFINED   1,2,                      168496
BIODELIVERY       equity
SCIENCES          shares
INTL
BIOGEN            Common      09062X103  577634 10070324 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10070324
IDEC INC          equity
                  shares
BIOLASE           Common      090911108      71    36389 SH        DEFINED   1,                         36389
TECHNOLOGY        Stock
INC
BIOMARIN          Common      09061G101   48351  2068920 SH        DEFINED   1,2,5,6,8,10,            2068920
PHARMACEUTICAL    Stock
INC
BIOMED            Real Estate 09063H107   61344  3708798 SH        DEFINED   1,2,3,5,8,               3694698             NA
REALTY            Investment
TRUST INC         Trust
                  Common      09064X101    3327   253038 SH        DEFINED   1,2,5,                    253038
BIOMIMETIC        equity
THERAPEUTICS      shares
INC
BIONOVO           Common      090643107       5    12100 SH        DEFINED   1,                         12100
INC               equity
                  shares
BIOSANTE          Common      09065V203      49    27320 SH        DEFINED   1,                         27320
PHARMACEUTICALS   equity
INC               shares
BIOSCRIP          Common      09069N108    6228   780483 SH        DEFINED   1,2,                      780483
INC               equity
                  shares
                  Common      090931106    1651    59494 SH        DEFINED   1,2,                       59494
BIOSPECIFICS      Stock
TECHNOLOGIES
CP
BIOVAIL           Common      09067J109     531    31300 SH        DEFINED   1,                         31300
CORP              equity
                  shares
BJ                Common      055482103  263360 12306522 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12306522
SERVICES          equity
CO                shares
BJ'S              Common      09180C106    8985   385624 SH        DEFINED   1,2,5,6,8,                385624
RESTAURANTS       equity
INC               shares
BJ'S              Common      05548J106   41943  1133895 SH        DEFINED   1,2,5,6,8,10,            1133895
WHOLESALE         equity
CLUB INC          shares
BLACK BOX         Common      091826107   14269   463893 SH        DEFINED   1,2,5,8,                  463893
CORP              equity
                  shares
BLACK             Common      092113109   93456  3079269 SH        DEFINED   1,2,5,6,8,               3079269
HILLS CORP        equity
                  shares
BLACKBAUD         Common      09227Q100   23888   950711 SH        DEFINED   1,2,5,6,8,                950711
INC               equity
                  shares
                  Common      091935502   28186   676573 SH        DEFINED   1,2,5,6,8,                676573
BLACKBOARD        equity
INC               shares
BLACKROCK         Common      09247X101   96231   441915 SH        DEFINED   1,2,5,6,8,10,12,13,18,    441915
INC               equity
                  shares
BLACKROCK         Common      092533108    3243   325609 SH        DEFINED   1,2,8,                    325609
KELSO             equity
CAPITAL           shares
CORP
                  Limited     09253U108     538    38400 SH        DEFINED   1,8,                       38400
BLACKSTONE        Partnership
GROUP LP
BLOCK H &         Common      093671105  192375 10807598 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10807598
R INC             equity
                  shares
                  Common      093679108      51   202371 SH        DEFINED   1,                        202371
BLOCKBUSTER       equity
INC               shares
                  Common      093679207       4    18890 SH        DEFINED   1,                         18890
BLOCKBUSTER       equity
INC               shares
BLOUNT            Common      095180105    7934   765785 SH        DEFINED   1,2,5,6,8,                765785
INTL INC          equity
                  shares
BLUE COAT         Common      09534T508   26415   851006 SH        DEFINED   1,2,5,6,8,                851006
SYSTEMS           equity
INC               shares
BLUE              Common      095395208       7    18592 SH        DEFINED   1,2,                       18592
DOLPHIN           equity
ENERGY CO         shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                       
BLUE NILE         Common     09578R103   14942   271583 SH        DEFINED   1,2,5,6,8,                  271583
INC               equity
                  shares
BLUEGREEN         Common     096231105     919   281170 SH        DEFINED   1,2,                        281170
CORP              equity
                  shares
BLUELINX          Common     09624H109     618   162266 SH        DEFINED   1,2,                        162266
HOLDINGS          equity
INC               shares
BLYTH INC         Common     09643P207    4586   146740 SH        DEFINED   1,2,5,8,                    146740
                  equity
                  shares
BMC               Common     055921100  246813  6495074 SH        DEFINED   1,2,5,6,8,10,12,13,18,     6495074
SOFTWARE          Stock
INC
BMP               Common     05569C105    2636   520899 SH        DEFINED   1,2,                        520899
SUNSTONE          equity
CORP              shares
BOB EVANS         Common     096761101   34527  1116986 SH        DEFINED   1,2,5,6,8,                 1116986
FARMS             equity
                  shares
BOEING CO         Common     097023105 2191627 30183651 SH        DEFINED   1,2,5,6,8,10,12,13,18,    30183651
                  equity
                  shares
BOISE INC         Common     09746Y105    5342   871443 SH        DEFINED   1,2,8,                      871443
                  equity
                  shares
BOK               Common     05561Q201   27466   523763 SH        DEFINED   1,2,5,8,10,                 523763
FINANCIAL         equity
CORP              shares
BOLT              Common     097698104    1748   154515 SH        DEFINED   1,2,                        154515
TECHNOLOGY        equity
CORP              shares
BON-TON           Common     09776J101   17094  1029982 SH        DEFINED   1,                         1029982
STORES INC        equity
                  shares
                  Common     098570104     919   126868 SH        DEFINED   1,2,                        126868
BOOKS-A-MILLION   equity
INC               shares
BOOTS &           Common     099469504    3020  1242850 SH        DEFINED   1,2,                       1242850
COOTS INC         equity
                  shares
BORDERS           Common     099709107    1769  1028707 SH        DEFINED   1,2,5,                     1028707
GROUP INC         equity
                  shares
                  Common     099724106  104220  2729706 SH        DEFINED   1,2,5,6,8,10,12,13,18,     2729706
BORGWARNER        equity
INC               shares
BOSTON            Common     100557107   11320   216609 SH        DEFINED   1,2,6,8,                    216609
BEER INC          equity
-CL A             shares
BOSTON            Common     101119105   30256  4105228 SH        DEFINED   1,2,5,8,                   4105228
PRIVATE           equity
FINL              shares
HOLDINGS
BOSTON            Real       101121101  481088  6376737 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   6357137             NA
PROPERTIES        Estate
INC               Investment
                  Trust
BOSTON            USA:       10112RAK     2453  2450000 SH        DEFINED   1,2,                       2450000
PROPERTIES        Bond
LP
BOSTON            Common     101137107  374006 51801402 SH        DEFINED   1,2,5,6,8,10,12,13,18,    51801402
SCIENTIFIC        equity
CORP              shares
                  Common     101388106    8746   519676 SH        DEFINED   1,2,6,8,                    519676
BOTTOMLINE        equity
TECHNOLOGIES      shares
INC
BOVIE             Common     10211F100    2062   329900 SH        DEFINED   1,2,5,                      329900
MEDICAL           equity
CORP              shares
BOWNE &           Common     103043105    8812   789587 SH        DEFINED   1,2,5,6,8,                  789587
CO INC            equity
                  shares
BOYD              Common     103304101   11205  1134138 SH        DEFINED   1,2,5,6,8,10,              1134138
GAMING            equity
CORP              shares
BP PLC            American   055622104 2479806 43453340 SH        DEFINED   1,2,                      43453340
                  Depository
                  Receipt
BPZ               Common     055639108   13119  1784917 SH        DEFINED   1,2,5,6,8,                 1784917
RESOURCES         Stock
INC
BRADESCO          American   059460303  117331  6366282 SH        DEFINED   1,2,5,6,8,10,18,           6366282
BANCO             Depository
                  Receipt
BRADY CORP        Common     104674106   34830  1119218 SH        DEFINED   1,2,5,8,                   1119218
                  equity
                  shares
                  Real       105368203   39983  3271501 SH        DEFINED   1,2,3,5,6,8,10,            3253201             NA
BRANDYWINE        Estate
REALTY            Investment
TRUST             Trust
BRASIL            American   10553M101    1733    90759 SH        DEFINED   1,2,5,6,8,10,                90759
TELECOM SA        Depository
                  Receipt
BRASIL            Depository 10553M200     310    36555 SH        DEFINED   1,2,10,                      36555
TELECOM SA        Receipt
BRASKEM SA        American   105532105     977    67503 SH        DEFINED   1,2,5,6,8,10,                67503
                  Depository
                  Receipt
BRE               Real       05564E106   63056  1763808 SH        DEFINED   1,2,3,5,6,8,10,            1756009             NA
PROPERTIES        Estate
-CL A             Investment
                  Trust
                  American   10552T107    1725    31400 SH        DEFINED   1,2,6,10,                    31400
BRF-BRASIL        Depository
FOODS SA          Receipt
BRIDGE            Common     108035106    2848   121708 SH        DEFINED   1,2,                        121708
BANCORP           equity
INC               shares
                  Common     10807M105    9197   374167 SH        DEFINED   1,2,8,18,                   374167
BRIDGEPOINT       equity
EDUCATION         shares
INC
BRIGGS &          Common     109043109   24353  1248875 SH        DEFINED   1,2,5,6,8,                 1248875
STRATTON          equity
                  shares
BRIGHAM           Common     109178103   32748  2053153 SH        DEFINED   1,2,5,6,8,                 2053153
EXPLORATION       equity
CO                shares
                  Common     109473405   11929  1584144 SH        DEFINED   1,2,5,8,                   1584144
BRIGHTPOINT       equity
INC               shares
BRINKER           Common     109641100   44828  2325740 SH        DEFINED   1,2,5,6,8,10,              2325740
INTL INC          equity
                  shares
BRINKS CO         Common     109696104   29071  1031112 SH        DEFINED   1,2,5,6,8,10,              1031112
                  equity
                  shares
BRINKS            Common     109699108   50192  1179600 SH        DEFINED   1,2,5,6,8,10,              1179600
HOME              equity
SECURITY          shares
HLDGS
                  Common     110122108 1565750 58654187 SH        DEFINED   1,2,5,6,8,10,12,13,18,    58654187
BRISTOL-MYERS     equity
SQUIBB CO         shares
BRISTOW           Common     110394103   44366  1175894 SH        DEFINED   1,2,5,8,                   1175894
GROUP INC         equity
                  shares
BRITISH           American   111013108     356     9779 SH        DEFINED   1,                            9779
SKY               Depository
BROADCASTING      Receipt
GRP
BROADCOM          Common     111320107  497352 14982644 SH        DEFINED   1,2,5,6,8,10,12,13,18,    14982644
CORP              equity
                  shares
BROADPOINT        Common     11134A103    4581  1145372 SH        DEFINED   1,2,6,8,                   1145372
GLEACHER          equity
SEC GP            shares

BROADRIDGE        Common     11133T103   69844  3266813 SH        DEFINED   1,2,5,6,8,10,12,           3266813
FINANCIAL         equity
SOLUTNS           shares

BROADWIND         Common     11161T108    2690   601896 SH        DEFINED   1,2,                        601896
ENERGY INC        equity
                  shares
BROCADE           Common     111621306   25871  4530748 SH        DEFINED   1,2,5,6,8,10,              4530748
COMMUNICATIONS    equity
SYS               shares
BRONCO            Common     112211107    2086   443875 SH        DEFINED   1,2,5,6,                    443875
DRILLING          Stock
CO
BROOKDALE         Common     112463104    9783   469678 SH        DEFINED   1,2,5,6,8,10,               469678
SENIOR            equity
LIVING INC        shares
                  Common     112723101    1907   218146 SH        DEFINED   1,2,                        218146
BROOKFIELD        equity
HOMES CORP        shares
                  Misc       G16252101     290    16494 SH        DEFINED   1,                           16494
BROOKFIELD        Equity
INFRS
PTRS LP

BROOKFIELD        Common     112900105    7854   511349 SH        DEFINED   1,2,3,                      511349
PROPERTIES        equity
CORP              shares
BROOKLINE         Common     11373M107   28321  2661768 SH        DEFINED   1,2,5,8,                   2645718          16050
BANCORP           equity
INC               shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
BROOKLYN          Common         114039100    354    42192 SH        DEFINED   1,2,                       42192
FEDERAL           equity shares
BANCORP
BROOKS            Common         114340102  11952  1355058 SH        DEFINED   1,2,5,6,8,               1355058
AUTOMATION        equity shares
INC
BROWN &           Common         115236101  42469  2369920 SH        DEFINED   1,2,5,6,8,10,12,         2369920
BROWN INC         equity shares
BROWN             Common         115637100   1031    16415 SH        DEFINED   1,2,                       16415
FORMAN            equity shares
CORP
BROWN             Common         115736100  14179   915958 SH        DEFINED   1,2,5,8,                  915958
SHOE CO           equity shares
INC
                  Common         115637209 227735  3830695 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3830695
BROWN-FORMAN      equity shares
-CL B
BRUKER            Common         116794108  18466  1260468 SH        DEFINED   1,2,5,6,8,               1260468
CORP              equity shares
BRUNSWICK         Common         117043109  32219  2017473 SH        DEFINED   1,2,5,6,8,               2017473
CORP              equity shares
BRUSH             Common         117421107  10444   462747 SH        DEFINED   1,2,5,6,8,                462747
ENGINEERED        equity shares
MATERIALS
BRYN MAWR         Common         117665109   2237   123260 SH        DEFINED   1,2,                      123260
BANK CORP         equity shares
BUCKEYE           Limited        118230101    210     3500 SH        DEFINED   1,                          3500
PARTNERS          Partnership
LP
BUCKEYE           Common         118255108  15899  1212747 SH        DEFINED   1,2,5,8,                 1207647           5100
TECHNOLOGIES      equity shares
INC
BUCKLE INC        Common         118440106  36591   995394 SH        DEFINED   1,2,5,6,8,                995394
                  equity shares
BUCYRUS           Common         118759109 108615  1645932 SH        DEFINED   1,2,5,6,8,10,            1645932
INTERNATIONAL     equity shares
INC
BUFFALO           Common         119848109  17740   369510 SH        DEFINED   1,2,5,6,8,                369510
WILD              equity shares
WINGS INC
                  Common         120076104   2206   309853 SH        DEFINED   1,2,                      309853
BUILD-A-BEAR      equity shares
WORKSHOP
INC
BUILDERS          Common         12008R107   2721   863865 SH        DEFINED   1,2,                      863865
FIRSTSOURCE       equity shares
BUNGE LTD         Common         G16962105 121864  1977347 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1977347
                  equity shares
BURGER            Common         121208201  40586  1909023 SH        DEFINED   1,2,5,6,8,10,            1909023
KING              equity shares
HOLDINGS
INC
BWAY              Common         12429T104   4290   213430 SH        DEFINED   1,2,6,                    213430
HOLDING CO        equity shares
C H               Common         12541W209 308587  5524480 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5524480
ROBINSON          equity shares
WORLDWIDE
INC
C&D               Common         124661109     47    29214 SH        DEFINED   1,                         29214
TECHNOLOGIES      equity shares
INC
CA INC            Common         12673P105 337473 14378888 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14378888
                  equity shares
CABELAS           Common         126804301  16076   917570 SH        DEFINED   1,2,5,8,                  917570
INC               equity shares
                  Common         12686C109  96332  3990545 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3990545
CABLEVISION       equity shares
SYS CORP
-CL A
CABOT CORP        Common         127055101 156774  5155483 SH        DEFINED   1,2,5,6,8,10,            5155483
                  equity shares
CABOT             Common         12709P103  21674   572766 SH        DEFINED   1,2,5,6,8,                572766
MICROELECTRONICS  equity shares
CORP
CABOT             Common         127097103 170688  4638368 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4636268           2100
OIL & GAS         equity shares
CORP
CACHE INC         Common         127150308     87    15717 SH        DEFINED   1,                         15717
                  equity shares
CACI INTL         Common         127190304  35461   726230 SH        DEFINED   1,2,5,                    726230
INC -CL A         equity shares
CADENCE           Common         127387108  37681  5657793 SH        DEFINED   1,2,5,6,8,10,            5657793
DESIGN            equity shares
SYSTEMS
INC
CADENCE           Common         12738A101     20    10806 SH        DEFINED   1,                         10806
FINANCIAL         equity shares
CORP
CADENCE           Common         12738T100   4544   497750 SH        DEFINED   1,2,6,8,                  497750
PHARMACEUTICALS   equity shares
INC
CADIZ INC         Common         127537207   3351   262442 SH        DEFINED   1,2,5,                    262442
                  equity shares
CAI               Common         12477X106   2493   202321 SH        DEFINED   1,2,                      202321
INTERNATIONAL     equity shares
INC
CAL DIVE          Common         12802T101  12074  1653376 SH        DEFINED   1,2,5,6,8,               1653376
INTERNATIONAL     equity shares
INC
CAL-MAINE         Common         128030202   9957   293893 SH        DEFINED   1,2,5,6,8,                293893
FOODS INC         Stock
CALAMOS           Common         12811R104   6617   461465 SH        DEFINED   1,2,5,6,8,                461465
ASSET             equity shares
MANAGEMENT
INC
CALAMP            Common         128126109     54    19191 SH        DEFINED   1,                         19191
CORP              equity shares
CALAVO            Common         128246105   3904   214027 SH        DEFINED   1,2,6,8,                  214027
GROWERS           equity shares
INC
CALGON            Common         129603106  21011  1227254 SH        DEFINED   1,2,5,6,8,               1227254
CARBON            equity shares
CORP
CALIF             Common         130222102    524    39261 SH        DEFINED   1,2,                       39261
FIRST             equity shares
NATIONAL
BANCORP
                  Common         13054D109  12240   729030 SH        DEFINED   1,2,5,6,8,                729030
CALIFORNIA        equity shares
PIZZA
KITCHEN
INC
                  Common         130788102  17014   452388 SH        DEFINED   1,2,5,8,                  452388
CALIFORNIA        equity shares
WATER
SERVICE GP
CALIPER           Common         130872104    140    35506 SH        DEFINED   1,                         35506
LIFE              equity shares
SCIENCES
INC
CALLAWAY          Common         131193104  13096  1484828 SH        DEFINED   1,2,5,6,8,               1484828
GOLF CO           equity shares
CALLIDUS          Common         13123E500   1504   414217 SH        DEFINED   1,2,                      414217
SOFTWARE          equity shares
INC
CALLON            Common         13123X102    123    22892 SH        DEFINED   1,                         22892
PETROLEUM         equity shares
CO/DE
CALPINE           Common         131347304  55274  4648773 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4648773
CORP              equity shares
CAMBIUM           Common         13201A107     71    17828 SH        DEFINED   1,2,                       17828
LEARNING          equity shares
GROUP INC
CAMBREX           Common         132011107   2708   668529 SH        DEFINED   1,2,                      658629           9900
CORP              equity shares
CAMDEN            Common         133034108   5438   169354 SH        DEFINED   1,2,5,8,                  169354
NATIONAL          equity shares
CORP
CAMDEN            Real Estate    133131102  87327  2097682 SH        DEFINED   1,2,3,5,6,8,10,18,       2088632             NA
PROPERTY          Investment
TRUST             Trust
CAMERON           Common         13342B105 429189 10014349 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10014349
INTERNATIONAL     equity shares
CORP
CAMERON           Non- or        13342BAB    1667  1250000 SH        DEFINED   2,                       1250000
INTL CORP         limited-voting
                  common
                  shares
CAMPBELL          Common         134429109 250708  7092170 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7092170
SOUP CO           equity shares
CANADIAN          Common         136069101    329     4506 SH        DEFINED   1,                          4506
IMPERIAL          equity shares
BANK







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED    NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING  VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ --------
                                                                                         
CANADIAN          Common         136375102     567     9355 SH        DEFINED   1,                          9355
NATIONAL          equity shares
RAILWAY CO
CANADIAN          Common         136635109     532    21891 SH        DEFINED   1,5,                       21891
SOLAR INC         equity shares
CANO              Common         137801106      35    30300 SH        DEFINED   1,                         30300
PETROLEUM         equity shares
INC
CANTEL            Common         138098108    9290   468033 SH        DEFINED   1,2,6,8,                  468033
MEDICAL           equity shares
CORP
CAPE              Common         139209100    1501   185956 SH        DEFINED   1,2,                      185956
BANCORP           equity shares
INC
CAPELLA           Common         139594105   28319   305252 SH        DEFINED   1,2,5,6,8,                305252
EDUCATION         equity shares
CO
CAPITAL           Common         139674105    3188   223712 SH        DEFINED   1,2,5,8,                  223712
CITY BK           equity shares
GROUP INC
CAPITAL           Common         14018Y205      95    27433 SH        DEFINED   1,                         27433
GOLD CORP         equity shares
CAPITAL           Common         14040H105  684968 16536940 SH        DEFINED   1,2,5,6,8,10,12,13,18,  16536940
ONE               equity shares
FINANCIAL
CORP
CAPITAL           Common         140475104    2309   438992 SH        DEFINED   1,2,                      438992
SENIOR            equity shares
LIVING
CORP
CAPITAL           Common         140501107    5123    56373 SH        DEFINED   1,2,8,                     56373
SOUTHWEST         Stock
CORP
CAPITAL           Real Estate    14052H506      32    20323 SH        DEFINED   1,                         20323
TRUST             Investment
INC/MD            Trust
                  Real Estate    14055X102   16668  2979144 SH        DEFINED   1,2,5,8,10,              2979144
CAPITALSOURCE     Investment
INC               Trust
CAPITOL           Common         14056D105      43    17580 SH        DEFINED   1,2,                       17580
BANCORP           equity shares
LTD
CAPITOL           Common         14057C106    8241   220001 SH        DEFINED   1,2,5,6,8,10,             220001
FEDERAL           equity shares
FINANCIAL
CAPLEASE          Real Estate    140288101    7407  1334520 SH        DEFINED   1,2,3,5,                 1334520
INC               Investment
                  Trust
CAPSTEAD          Real Estate    14067E506   16696  1396770 SH        DEFINED   1,2,5,8,                 1396770
MORTGAGE          Investment
CORP              Trust
CAPSTONE          Common         14067D102     318   250247 SH        DEFINED   1,2,6,8,                  250247
TURBINE           equity shares
CORP
CARACO            Common         14075T107    1283   214193 SH        DEFINED   1,2,                      214193
PHARMACEUTICAL    equity shares
LABS
CARBO             Common         140781105   25736   411917 SH        DEFINED   1,2,5,6,8,                411917
CERAMICS          equity shares
INC
CARDIAC           Common         14141A108     707   378096 SH        DEFINED   1,2,                      378096
SCIENCE           equity shares
CORP
CARDICA           Common         14141R101      21    10800 SH        DEFINED   1,                         10800
INC               equity shares
CARDINAL          Common         14149F109    6127   573691 SH        DEFINED   1,2,6,8,                  573691
FINANCIAL         equity shares
CORP
CARDINAL          Common         14149Y108  534083 14829853 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14829853
HEALTH INC        equity shares
CARDIOME          USA:           14159U202     595    71128 SH        DEFINED   1,                         71128
PHARMA            Common
CORP              Stock
CARDIONET         Common         14159L103    4000   522849 SH        DEFINED   1,2,6,8,                  522849
INC               equity shares
                  Common         141619106     667   125519 SH        DEFINED   1,2,                      125519
CARDIOVASCULAR    equity shares
SYSTEMS
INC
CARDIUM           Common         141916106     308   699403 SH        DEFINED   1,2,                      699403
THERAPEUTICS      equity shares
INC
                  Common         14161H108    5250   417654 SH        DEFINED   1,2,6,                    417654
CARDTRONICS       equity shares
INC
CARE              Real Estate    141657106     935   104875 SH        DEFINED   1,2,                      104875
INVESTMENT        Investment
TRUST             Trust
CAREER            Common         141665109   50792  1605317 SH        DEFINED   1,2,5,6,8,10,            1605317
EDUCATION         equity shares
CORP
                  Common         14170T101  175922  6656157 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6656157
CAREFUSION        Stock
CORP
CARIBOU           Common         142042209     761   114950 SH        DEFINED   1,2,                      114950
COFFEE CO         equity shares
CARLISLE          Common         142339100   51717  1357395 SH        DEFINED   1,2,5,6,8,10,18,         1357395
COS INC           equity shares
CARMAX INC        Common         143130102  146587  5835456 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5835456
                  equity shares
CARMIKE           Common         143436400    2416   174183 SH        DEFINED   1,2,                      174183
CINEMAS           equity shares
INC
CARNIVAL          Any issuer     143658AN     1881  1750000 SH        DEFINED   1,2,                     1750000
CORP              issuing in any
                  currency
                  offered in all
                  markets
                  simultaneously
CARNIVAL          Composition    143658300  536795 13806450 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13806450
CORP/PLC          of more than 1
(USA)             security
CARPENTER         Common         144285103   73329  2003515 SH        DEFINED   1,2,5,6,8,10,            1995855             7660
TECHNOLOGY        equity shares
CORP
CARRIAGE          Common         143905107      90    19570 SH        DEFINED   1,                         19570
SERVICES          equity shares
INC
CARRIZO           Common         144577103   13533   589664 SH        DEFINED   1,2,5,6,8,                589664
OIL & GAS         equity shares
INC
CARROLS           Common         14574X104    1343   197569 SH        DEFINED   1,2,                      197569
RESTAURANT        equity shares
GROUP INC
CARTER'S          Common         146229109   49484  1641271 SH        DEFINED   1,2,5,6,8,18,            1641271
INC               equity shares
CASCADE           Common         147154108      16    29351 SH        DEFINED   1,                         29351
BANCORP           equity shares
CASCADE           Common         147195101    6635   206007 SH        DEFINED   1,2,5,                    206007
CORP              equity shares
CASELLA           Common         147448104     119    23560 SH        DEFINED   1,                         23560
WASTE SYS         equity shares
INC -CL A
CASEYS            Common         147528103   55744  1768050 SH        DEFINED   1,2,5,8,                 1768050
GENERAL           equity shares
STORES INC
CASH              Common         14754D100   31124   789840 SH        DEFINED   1,2,5,6,8,                789840
AMERICA           equity shares
INTL INC
CASS              Common         14808P109    4992   160011 SH        DEFINED   1,2,6,8,                  160011
INFORMATION       equity shares
SYSTEMS
INC
CASTLE (A         Common         148411101    4611   352488 SH        DEFINED   1,2,5,                    352488
M) & CO           equity shares
CASUAL            Common         148711302     133    34546 SH        DEFINED   1,                         34546
MALE              equity shares
RETAIL
GRP INC
CATALYST          Common         14888B103   34476   832998 SH        DEFINED   1,2,5,6,8,                832998
HEALTH            equity shares
SOLUTIONS
                  Common         149123101 5295619 80923027 SH        DEFINED   1,2,5,6,8,10,12,13,18,  26523601         54399426
CATERPILLAR       equity shares
INC
CATHAY            Common         149150104   47802  4103184 SH        DEFINED   1,2,5,6,8,               4103184
GENERAL           equity shares
BANCORP
CATO CORP         Common         149205106   14887   694371 SH        DEFINED   1,2,5,8,                  694371
-CL A             equity shares
CAVCO             Common         149568107    4202   123080 SH        DEFINED   1,2,5,                    123080
INDUSTRIES        equity shares
INC
CAVIUM            Private        14965A101   17966   720170 SH        DEFINED   1,2,5,6,8,                720170
NETWORKS          company?no
INC               public equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
CB                Common         12497T101 122572  7730888 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7730888
RICHARD           equity shares
ELLIS
GROUP INC
CBEYOND           Common         149847105   6720   491225 SH        DEFINED   1,2,5,6,8,                491225
INC               equity shares
CBIZ INC          Common         124805102   6325   962710 SH        DEFINED   1,2,5,6,8,                962710
                  equity shares
CBL &             Real Estate    124830100  65870  4808065 SH        DEFINED   1,2,3,5,6,8,             4788465             NA
ASSOCIATES        Investment
PPTYS INC         Trust
CBS CORP          Common         124857202 305645 21925769 SH        DEFINED   1,2,5,6,8,10,12,13,18,  21925769
                  equity shares
CDC CORP          Common         G2022L106     99    33545 SH        DEFINED   1,5,6,                     33545
                  equity shares
CDI CORP          Common         125071100   4918   329262 SH        DEFINED   1,2,5,                    329262
                  equity shares
CEC               Common         125137109  21915   575351 SH        DEFINED   1,2,5,6,8,                575351
ENTERTAINMENT     equity shares
INC
CEDAR             Real Estate    150602209  14012  1771407 SH        DEFINED   1,2,3,5,8,               1771407
SHOPPING          Investment
CENTERS           Trust
INC
CEL-SCI           Common         150837409     54    83158 SH        DEFINED   1,                         83158
CORP              equity shares
CELADON           Common         150838100   8291   593502 SH        DEFINED   1,2,8,                    593502
GROUP INC         Stock
CELANESE          Common         150870103 123767  3885869 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3885869
CORP              equity shares
CELERA            Tracking       15100E106  13401  1887522 SH        DEFINED   1,2,5,6,8,               1887522
CORP              stocks are
                  issued by a
                  parent co to
                  monitor or
                  track the
                  underlying
                  performance
                  and earnin
CELESTICA         Common         15101Q108    306    27999 SH        DEFINED   1,2,                       27999
INC               equity shares
CELGENE           Common         151020104 944624 15245683 SH        DEFINED   1,2,5,6,8,10,12,13,18,  15245683
CORP              equity shares
CELL              Common         150934503   5611 10376393 SH        DEFINED   1,2,5,6,8,              10376393
THERAPEUTICS      Stock
INC
CELLCOM           Common         M2196U109   7276   212926 SH        DEFINED   1,2,6,8,18,               212926
ISRAEL LTD        equity shares
CELLDEX           Common         15117B103   3302   537844 SH        DEFINED   1,2,                      537844
THERAPEUTICS      equity shares
INC
CELLU             Common         151169109    384    38447 SH        DEFINED   1,2,                       38447
TISSUE            equity shares
HOLDINGS
INC
CEMEX SAB         American       151290889  43755  4285513 SH        DEFINED   1,2,4,5,6,8,10,          4285513
DE CV             Depository
                  Receipt
CENTENE           Common         15135B101  26448  1100158 SH        DEFINED   1,2,5,6,8,               1100158
CORP              equity shares
CENTER            Common         151408101   1636   196902 SH        DEFINED   1,2,                      196902
BANCORP           equity shares
INC
CENTER            Common         15146E102     49    10013 SH        DEFINED   1,                         10013
FINANCIAL         equity shares
CORP/CA
                  Common         15189T107 233963 16292680 SH        DEFINED   1,2,5,6,8,10,12,13,18,  16292680
CENTERPOINT       equity shares
ENERGY INC
                  Common         15201P109   4234   345599 SH        DEFINED   1,2,                      345599
CENTERSTATE       equity shares
BANKS INC
CENTRAIS          American       15234Q108    222    12278 SH        DEFINED   1,2,5,                     12278
ELETRICAS         Depository
BRASILEIR         Receipt
CENTRAL           Common         153435102  23487   670853 SH        DEFINED   1,2,5,8,10,               670853
EUROPEAN          equity shares
DIST CORP
CENTRAL           Common         G20045202   8292   282917 SH        DEFINED   1,2,5,6,10,               282917
EUROPEAN          Stock
MEDIA
CENTRAL           Common         15346Q103     36    30900 SH        DEFINED   1,                         30900
FEDERAL           equity shares
CORP
CENTRAL           Common         153527205  15078  1646019 SH        DEFINED   1,2,5,8,                 1646019
GARDEN &          equity shares
PET CO
CENTRAL           Common         154760102   1378   820503 SH        DEFINED   1,2,                      820503
PACIFIC           equity shares
FINANCIAL
CP
CENTRAL           Common         155771108   5721   283633 SH        DEFINED   1,2,5,8,                  283633
VERMONT           equity shares
PUB SERV
CENTURY           Common         156431108  16964  1232881 SH        DEFINED   1,2,5,8,                 1232881
ALUMINUM          equity shares
CO
CENTURY           Common         156432106   1317    68611 SH        DEFINED   1,2,                       68611
BANCORP           equity shares
INC/MA
CENTURY           Common         156492100     32    12762 SH        DEFINED   1,                         12762
CASINOS           equity shares
INC
                  Common         156700106 420894 11869535 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11869535
CENTURYTEL        equity shares
INC
CENVEO INC        Common         15670S105   8934  1031683 SH        DEFINED   1,2,5,6,8,               1031683
                  equity shares
CEPHALON          Common         156708109 208497  3076306 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3076306
INC               equity shares
CEPHALON          Non- or        156708AR    1513  1300000 SH        DEFINED   2,                       1300000
INC               limited-voting
                  common
                  shares
CEPHALON          A U S issuer   156708AP    3278  2100000 SH        DEFINED   1,2,                     2100000
INC CEPH          issuing in U S
                  dollars in the
                  U S capital
                  market
CEPHEID           Common         15670R107  42048  2395840 SH        DEFINED   1,2,5,6,8,               2395840
INC               Stock
CERADYNE          Common         156710105  16255   716399 SH        DEFINED   1,2,5,8,                  716399
INC               equity shares
CERAGON           Common         M22013102    635    58120 SH        DEFINED   1,                         58120
NETWORKS          equity shares
LTD
CERNER            Common         156782104 144721  1701395 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1701395
CORP              equity shares
CERUS CORP        Common         157085101     83    29597 SH        DEFINED   1,                         29597
                  equity shares
CEVA INC          Common         157210105   4621   396353 SH        DEFINED   1,2,8,                    396353
                  equity shares
CF                Common         125269100 162059  1777950 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1777950
INDUSTRIES        equity shares
HOLDINGS
INC
CFS               Common         12525D102     66    14968 SH        DEFINED   1,                         14968
BANCORP           equity shares
INC
CGG               American       204386106    217     7652 SH        DEFINED   1,2,                        7652
VERITAS           Depository
                  Receipt
CGI GROUP         Common         39945C109    213    14270 SH        DEFINED   1,                         14270
INC -CL A         equity shares
CH ENERGY         Common         12541M102  16077   393607 SH        DEFINED   1,2,5,8,                  393607
GROUP INC         equity shares
CHARLES &         Common         159765106     18    10104 SH        DEFINED   1,                         10104
COLVARD           equity shares
LTD
CHARLES           Common         159864107  59801  1521268 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1521268
RIVER             equity shares
LABS INTL
INC
CHARMING          Common         161133103  13452  2463660 SH        DEFINED   1,2,5,6,8,               2463660
SHOPPES           equity shares
INC
CHART             Common         16115Q308  12482   624078 SH        DEFINED   1,2,5,8,                  624078
INDUSTRIES        equity shares
INC
CHASE CORP        Common         16150R104   1348   106839 SH        DEFINED   1,2,                       93019          13820
                  equity shares
CHECK             Common         M22465104  49362  1407291 SH        DEFINED   1,2,5,6,8,10,12,18,      1407291
POINT             equity shares
SOFTWARE
TECHN







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
                  Common         162825103   19713   891191 SH        DEFINED   1,2,5,8,                  891191
CHECKPOINT        equity shares
SYSTEMS
INC
                  Common         163072101   53939  1993207 SH        DEFINED   1,2,5,6,8,18,            1993207
CHEESECAKE        equity shares
FACTORY
INC
CHELSEA           Common         163428105    1603   451526 SH        DEFINED   1,2,                      451526
THERAPEUTICS      equity shares
INTL
CHEMED            Common         16359R103   31415   577473 SH        DEFINED   1,2,5,6,8,                577473
CORP              equity shares
CHEMICAL          Common         163731102   11019   466524 SH        DEFINED   1,2,5,8,                  466524
FINANCIAL         equity shares
CORP
CHENIERE          Common         16411R208    3279  1061015 SH        DEFINED   1,2,6,                   1061015
ENERGY INC        equity shares
CHEROKEE          Common         16444H102    2585   143629 SH        DEFINED   1,2,5,                    143629
INC/DE            equity shares
                  Common         165167107  591773 25032642 SH        DEFINED   1,2,5,6,8,10,12,13,18,  25032642
CHESAPEAKE        equity shares
ENERGY
CORP
                  A U S issuer   165167BZ     2335  2850000 SH        DEFINED   1,2,                     2850000
CHESAPEAKE        issuing in U S
ENERGY            dollars in the
CORP              U S capital
                  market
                  Non- or        165167CB     1209  1650000 SH        DEFINED   2,                       1650000
CHESAPEAKE        limited-voting
ENERGY            common
CORP              shares
                  Common         165240102    1680    86286 SH        DEFINED   1,2,                       86286
CHESAPEAKE        equity shares
LODGING TR
                  Common         165303108    5976   200539 SH        DEFINED   1,2,5,                    200539
CHESAPEAKE        equity shares
UTILITIES
CORP
CHEVIOT           Common         166774109     248    26922 SH        DEFINED   1,2,                       26922
FINANCIAL         equity shares
CORP
CHEVRON           Common         166764100 7155457 94346682 SH        DEFINED   1,2,5,6,8,10,12,13,18,  94346682
CORP              equity shares
CHICAGO           Similar to     167250109    2830   121361 SH        DEFINED   1,2,5,6,                  121361
BRIDGE &          ADR
IRON CO           Certificates
                  representing
                  ordinary
                  shares
CHICOPEE          Common         168565109    1262    99346 SH        DEFINED   1,2,                       99346
BANCORP           equity shares
INC
CHICOS            Common         168615102   72321  5014268 SH        DEFINED   1,2,5,6,8,10,            5014268
FAS INC           equity shares
CHILDRENS         Common         168905107   39174   879132 SH        DEFINED   1,2,5,6,8,                879132
PLACE             equity shares
RETAIL
STRS
CHIMERA           Real Estate    16934Q109   35656  9166006 SH        DEFINED   1,2,5,8,10,              9166006
INVESTMENT        Investment
CORP              Trust
CHINA             Common         16936R105    1356    58679 SH        DEFINED   1,2,                       58679
AUTOMOTIVE        equity shares
SYSTEMS
INC
CHINA BAK         Common         16936Y100    1575   653564 SH        DEFINED   1,2,                      653564
BATTERY           equity shares
INC
CHINA             Common         16938R103    3108   239633 SH        DEFINED   1,2,6,                    239633
FIRE &            equity shares
SECURTY
GRP INC
CHINA             Common         16943W105    2348   167700 SH        DEFINED   1,2,                      167700
GREEN             equity shares
AGRICULTURE
INC
CHINA             Common         16939V103    1550   407791 SH        DEFINED   1,2,                      407791
HOUSING &         equity shares
LAND DEV
INC
CHINA             Common         16944F101    2513   497687 SH        DEFINED   1,2,6,                    497687
INFORMATION       equity shares
SEC TECH
CHINA             American       16939P106    1002    13911 SH        DEFINED   1,6,                       13911
LIFE              Depository
INSURANCE         Receipt
(CHN)
CHINA             American       169483104     256    18807 SH        DEFINED   1,2,6,                     18807
MEDICAL           Depository
TECHNOLGS         Receipt
-ADR
CHINA             American       16941M109    1330    27639 SH        DEFINED   1,6,                       27639
MOBILE LTD        Depository
                  Receipt
CHINA             American       16941R108     803     9761 SH        DEFINED   1,6,                        9761
PETROLEUM &       Depository
CHEM CORP         Receipt
CHINA             Common         16941J106    1099   523272 SH        DEFINED   1,2,                      523272
PRECISION         equity shares
STEEL INC
CHINA             American       16948Q103     343    41550 SH        DEFINED   1,                         41550
REAL              Depository
ESTATE            Receipt
INFO -ADR
CHINA             Common         16942J105    5618   730530 SH        DEFINED   1,2,6,8,                  730530
SECURITY &        equity shares
SURV TECH
CHINA SKY         Common         16941P102    2631   167455 SH        DEFINED   1,2,6,                    167455
ONE               Stock
MEDICAL
INC
CHINA             American       169426103     208     4236 SH        DEFINED   1,6,                        4236
TELECOM           Depository
CORP LTD          Receipt
CHINA             Common         169453107     892   132360 SH        DEFINED   1,2,                      132360
TRANSINFO         equity shares
TECHNOLOGY
CHINA             American       16945R104     219    19611 SH        DEFINED   1,6,                       19611
UNICOM            Depository
(HONG             Receipt
KONG) LTD
                  Common         16937B109    2713   151472 SH        DEFINED   1,2,6,                    151472
CHINA-BIOTICS     equity shares
INC
CHINACAST         Common         16946T109    4075   557489 SH        DEFINED   1,2,                      557489
EDUCATION         Stock
CORP
CHINDEX           Common         169467107    2792   236435 SH        DEFINED   1,2,6,                    236435
INTL INC          Stock
CHIPOTLE          Common         169656105   73278   650377 SH        DEFINED   1,2,5,6,8,10,             650377
MEXICAN           equity shares
GRILL INC
CHIQUITA          Common         170032809   20605  1309947 SH        DEFINED   1,2,5,8,                 1309947
BRANDS            equity shares
INTL INC
CHOICE            Common         169905106   10536   302669 SH        DEFINED   1,2,5,6,8,10,             302669
HOTELS            equity shares
INTL INC
CHORDIANT         Common         170404305    2875   567040 SH        DEFINED   1,2,5,                    567040
SOFTWARE          equity shares
INC
                  Common         171046105    6143   767878 SH        DEFINED   1,2,5,                    767878
CHRISTOPHER &     equity shares
BANKS CORP
CHUBB CORP        Common         171232101  668397 12890764 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12890764
                  equity shares
CHUNGHWA          American       17133Q106    5427   279138 SH        DEFINED   1,6,8,12,                 279138
TELECOM           Depository
LTD               Receipt
CHURCH &          Common         171340102  118879  1775639 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1775639
DWIGHT INC        equity shares
CHURCHILL         Common         171484108    7209   192227 SH        DEFINED   1,2,5,8,                  192227
DOWNS INC         equity shares
CIA               American       20440T201   33420   497106 SH        DEFINED   1,2,5,6,8,10,18,          497106
BRASILEIRA        Depository
DE DISTRIB        Receipt
CIA DE            American       20441W203   71706   782299 SH        DEFINED   1,2,5,6,8,10,18,          782299
BEBIDAS           Depository
DAS               Receipt
AMERICAS
CIA               American       204409601    7648   459608 SH        DEFINED   1,2,5,6,8,10,             459608
ENERGETICA        Depository
DE MINAS          Receipt
CIA               American       20441A102     933    25353 SH        DEFINED   1,6,8,10,                  25353
SANEAMENTO        Depository
BASICO            Receipt
ESTADO
CIBER INC         Common         17163B102    6780  1802977 SH        DEFINED   1,2,5,8,                 1792477          10500
                  equity shares
CIENA CORP        Common         171779309   28587  1875759 SH        DEFINED   1,2,5,6,8,10,            1875759
                  equity shares
CIENA CORP        A U S issuer   171779AE      680  1000000 SH        DEFINED   2,                       1000000
                  issuing in U S
                  dollars in the
                  U S capital
                  market
CIGNA CORP        Common         125509109  345774  9452533 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9452533
                  equity shares
CIMAREX           Common         171798101  146043  2459471 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2459471
ENERGY CO         equity shares








                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER              CLASS      CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------            ---------- --------- ------- --------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                         
                  Common     171871106   23112   6779660 SH        DEFINED   1,2,5,6,8,                   6779660
CINCINNATI        equity
BELL INC          shares
                  Common     172062101  225334   7797163 SH        DEFINED   1,2,5,6,8,10,12,13,18,       7797163
CINCINNATI        equity
FINANCIAL         shares
CORP
CINEDIGM          Common     172407108      49     30102 SH        DEFINED   1,                             30102
DIGITAL           equity
CINEMA            shares
CORP
CINEMARK          Common     17243V102   11296    615920 SH        DEFINED   1,2,5,8,                      615920
HOLDINGS          equity
INC               shares
CINTAS            Common     172908105  126056   4487579 SH        DEFINED   1,2,5,6,8,10,12,13,18,       4487579
CORP              equity
                  shares
CIRCOR            Common     17273K109   13679    411893 SH        DEFINED   1,2,5,8,                      411893
INTL INC          equity
                  shares
CIRRUS            Common     172755100   11586   1380887 SH        DEFINED   1,2,5,6,8,                   1380887
LOGIC INC         equity
                  shares
CISCO             Common     17275R102 5128571 197012268 SH        DEFINED   1,2,5,6,8,10,12,13,18,     197012268
SYSTEMS           equity
INC               shares
CIT GROUP         Common     125581801   11490    294906 SH        DEFINED   1,2,                          294906
INC               equity
                  shares
CITI              Common     17306X102    8816    271772 SH        DEFINED   1,2,6,8,                      271772
TRENDS INC        equity
                  shares
CITIGROUP         Common     172967101 2852865 704411030 SH        DEFINED   1,2,5,6,8,10,12,13,18,     704411030
INC               equity
                  shares
CITIGROUP         USA:       17296741     9545     78400 SH        DEFINED   2,                             78400
INC               Bond
                  Common     172922106    2551    203271 SH        DEFINED   1,2,                          203271
CITIZENS &        equity
NORTHERN          shares
CORP
CITIZENS          Common     174715102    1539     62361 SH        DEFINED   1,2,                           62361
HOLDING CO        equity
                  shares
CITIZENS          Common     174740100    4530    655510 SH        DEFINED   1,2,5,6,8,                    655510
INC               equity
                  shares
CITIZENS          Common     174420109    9029   7651584 SH        DEFINED   1,2,                         7651584
REPUBLIC          Stock
BANCORP
CITRIX            Common     177376100  285208   6008170 SH        DEFINED   1,2,5,6,8,10,12,13,18,       6008170
SYSTEMS           equity
INC               shares
CITY              Common     177835105   29540    861479 SH        DEFINED   1,2,5,8,                      861479
HOLDING CO        equity
                  shares
CITY              Common     178566105   68771   1274237 SH        DEFINED   1,2,5,6,8,10,12,             1274237
NATIONAL          equity
CORP              shares
CITYBANK          Common     17770A109      26     22855 SH        DEFINED   1,                             22855
                  Stock
CKE               Common     12561E105   12966   1171241 SH        DEFINED   1,2,5,8,                     1171241
RESTAURANTS       equity
INC               shares
CKX INC           Common     12562M106    6788   1107410 SH        DEFINED   1,2,5,6,8,                   1107410
                  equity
                  shares
CLARCOR           Common     179895107   40974   1187461 SH        DEFINED   1,2,5,6,8,                   1187461
INC               equity
                  shares
CLARIENT          Common     180489106    1312    500830 SH        DEFINED   1,2,6,                        500830
INC               equity
                  shares
CLAYTON           Common     969490101    4601    131524 SH        DEFINED   1,2,5,6,8,                    131524
WILLIAMS          Stock
ENERGY INC
CLEAN             Common     184499101   15215    667917 SH        DEFINED   1,2,5,6,8,                    667917
ENERGY            Stock
FUELS CORP
CLEAN             Common     184496107   38079    683995 SH        DEFINED   1,2,5,6,8,                    680395          3600
HARBORS           Stock
INC
CLEAR             Common     18451C109    4199    395793 SH        DEFINED   1,2,5,8,10,                   395793
CHANNEL           equity
OUTDOOR           shares
HLDGS
                  Common     18538R103   13873    281688 SH        DEFINED   1,2,5,8,                      281688
CLEARWATER        Stock
PAPER CORP
CLEARWIRE         Common     18538Q105    4298    601050 SH        DEFINED   1,2,5,10,                     601050
CORP              equity
                  shares
CLEARWIRE         Rights     18538Q13       96    516840 SH        DEFINED   1,2,5,10,                     516840
CORP-RIGHTS
CLECO CORP        Common     12561W105   51452   1937947 SH        DEFINED   1,2,5,6,8,                   1937947
                  equity
                  shares
CLIFFS            Common     18683K101  375468   5293183 SH        DEFINED   1,2,5,6,8,10,12,13,18,       5293183
NATURAL           equity
RESOURCES         shares
INC
CLIFTON           Common     18712Q103    1838    198290 SH        DEFINED   1,2,                          198290
SAVINGS           equity
BANCORP           shares
INC
CLINICAL          Common     18725U109    4905    252828 SH        DEFINED   1,2,6,8,                      252828
DATA INC          equity
                  shares
CLOROX            Common     189054109  334145   5209629 SH        DEFINED   1,2,5,6,8,10,12,13,18,       5209629
CO/DE             equity
                  shares
CLOUD             Common     18911Q102    9790    588369 SH        DEFINED   1,2,                          588369
PEAK              equity
ENERGY INC        shares
CME GROUP         Common     12572Q105  715409   2263164 SH        DEFINED   1,2,5,6,8,10,12,13,18,       2263164
INC               equity
                  shares
CMS               Common     125896100  138731   8968635 SH        DEFINED   1,2,5,6,8,10,12,13,          8968635
ENERGY            equity
CORP              shares
CNA               Common     126117100   11101    415451 SH        DEFINED   1,2,5,8,10,12,                415451
FINANCIAL         equity
CORP              shares
CNA               Common     12612L108    6075    341490 SH        DEFINED   1,2,5,8,                      341490
SURETY            equity
CORP              shares
CNB               Common     126128107    2728    176671 SH        DEFINED   1,2,                          176671
FINANCIAL         equity
CORP/PA           shares
CNH               Common     N20935206     427     13878 SH        DEFINED   1,5,6,                         13878
GLOBAL NV         equity
                  shares
CNOOC LTD         American   126132109    1969     11733 SH        DEFINED   1,6,                           11733
                  Depository
                  Receipt
CNX GAS           Common     12618H309   10174    267392 SH        DEFINED   1,2,5,6,10,                   267392
CORP              equity
                  shares
COACH INC         Common     189754104  413176  10453214 SH        DEFINED   1,2,5,6,8,10,12,13,18,      10453214
                  equity
                  shares
COBALT            Common     19075F106    5026    369539 SH        DEFINED   1,2,10,                       369539
INTL              equity
ENERGY INC        shares
COBIZ             Common     190897108    3664    588055 SH        DEFINED   1,2,5,                        588055
FINANCIAL         equity
INC               shares
COBRA             Common     191042100      27     10846 SH        DEFINED   1,                             10846
ELECTRONICS       equity
CORP              shares
COCA-COLA         Common     191098102    5461     93092 SH        DEFINED   1,2,6,8,                       93092
BTLNG CONS        equity
                  shares
COCA-COLA         Common     191216100 4368530  79427836 SH        DEFINED   1,2,5,6,8,10,12,13,18,      79427836
CO                equity
                  shares
COCA-COLA         Common     191219104  321274  11615049 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   11615049
ENTERPRISES       equity
INC               shares
COCA-COLA         American   1912EP104     200      7500 SH        DEFINED   1,                              7500
HELLENIC          Depository
BOTTLING          Receipt
COEUR             Common     192108504   59074   3943557 SH        DEFINED   1,2,5,8,                     3943557
D'ALENE           equity
MINES CORP        shares
COGDELL           Real       19238U107    4749    641771 SH        DEFINED   1,2,3,                        641771
SPENCER           Estate
INC               Investment
                  Trust
COGENT            Common     19239V302    9187    882555 SH        DEFINED   1,2,5,6,8,                    882555
COMMUNICATIONS    equity
GRP               shares
COGENT INC        Common     19239Y108    8628    845911 SH        DEFINED   1,2,5,6,8,                    845911
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                        
COGNEX            Common     192422103   17609   952331 SH        DEFINED   1,2,5,6,8,                   952331
CORP              equity
                  shares
COGNIZANT         Common     192446102  487792  9568176 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   9568176
TECH              equity
SOLUTIONS         shares
COGO              Common     192448108    3574   511081 SH        DEFINED   1,2,5,                       511081
GROUP INC         equity
                  shares
COHEN &           Common     19247A100    8342   334206 SH        DEFINED   1,2,5,6,8,                   334206
STEERS INC        equity
                  shares
COHERENT          Common     192479103   15424   482609 SH        DEFINED   1,2,5,6,8,                   482609
INC               Stock
COHU INC          Common     192576106    7074   513740 SH        DEFINED   1,2,5,8,                     513740
                  equity
                  shares
COINSTAR          Common     19259P300   20803   640106 SH        DEFINED   1,2,5,6,8,                   640106
INC               equity
                  shares
COLDWATER         Common     193068103   11317  1630643 SH        DEFINED   1,2,5,6,8,                  1630643
CREEK INC         equity
                  shares
COLE              Common     193294105    2120   165479 SH        DEFINED   1,2,                         165479
KENNETH           equity
PROD INC          shares
-CL A
COLEMAN           Common     193459302     144    29200 SH        DEFINED   1,                            29200
CABLE INC         equity
                  shares
COLFAX            Common     194014106    5918   502815 SH        DEFINED   1,2,5,8,                     502815
CORP              equity
                  shares
                  Common     194162103 3092236 36837166 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  36837166
COLGATE-PALMOLIVE equity
CO                shares
                  Common     19421W100   73403  3227904 SH        DEFINED   1,2,5,6,8,                  3227904
COLLECTIVE        equity
BRANDS INC        shares
COLONIAL          Real       195872106   31715  2462331 SH        DEFINED   1,2,3,5,6,8,                2462331
PROPERTIES        Estate
TRUST             Investment
                  Trust
COLONY            Common     19624R106    4592   229617 SH        DEFINED   1,2,                         229617
FINANCIAL         equity
INC               shares
COLUMBIA          Common     197236102   30292  1491500 SH        DEFINED   1,2,5,8,                    1491500
BANKING           equity
SYSTEM INC        shares
COLUMBIA          Common     197779101      40    37629 SH        DEFINED   1,                            37629
LABORATORIES      equity
INC               shares
COLUMBIA          Common     198516106   13366   253627 SH        DEFINED   1,2,5,8,                     253627
SPORTSWEAR        equity
CO                shares
COLUMBUS          Common     199333105    6134   386539 SH        DEFINED   1,2,8,                       386539
MCKINNON          equity
CORP              shares
COMARCO           Common     200080109      40    13186 SH        DEFINED   1,                            13186
INC               equity
                  shares
                  Common     20010A103      23    19600 SH        DEFINED   1,                            19600
COMBINATORX       equity
INC               shares
COMCAST           Common     20030N101 1704729 90563166 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  90559266           3900
CORP              equity
                  shares
COMCAST           Common     20030N200   84600  4707870 SH        DEFINED   1,5,18,8,10,12,13,18,       4707870
CORP NEW          equity
                  shares
COMERICA          Common     200340107  262411  6895860 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   6895860
INC               equity
                  shares
COMFORT           Common     199908104   13749  1100830 SH        DEFINED   1,2,5,8,                    1100830
SYSTEMS           equity
USA INC           shares
COMMERCE          Common     200525103  106106  2579153 SH        DEFINED   1,2,5,6,8,10,12,            2579153
BANCSHARES        equity
INC               shares
                  Common     201723103   67953  4512149 SH        DEFINED   1,2,5,6,8,10,               4512149
COMMERCIAL        equity
METALS            shares
                  Common     202608105      99    13934 SH        DEFINED   1,                            13934
COMMERCIAL        equity
VEHICLE           shares
GROUP INC
COMMSCOPE         Common     203372107   58155  2075434 SH        DEFINED   1,2,5,6,8,10,               2075434
INC               equity
                  shares
                  Common     203900105    1342   103770 SH        DEFINED   1,2,                         103770
COMMUNICATIONS    equity
SYSTEMS           shares
INC
COMMUNITY         Common     203607106   36582  1603310 SH        DEFINED   1,2,5,8,                    1603310
BANK              equity
SYSTEM INC        shares
COMMUNITY         Common     203668108   74654  2021510 SH        DEFINED   1,2,5,6,8,10,12,            2021510
HEALTH            equity
SYSTEMS           shares
INC
COMMUNITY         Common     204149108    9269   342168 SH        DEFINED   1,2,5,8,                     342168
TRUST             equity
BANCORP           shares
INC
COMMVAULT         Common     204166102   18569   869963 SH        DEFINED   1,2,5,6,8,                   869963
SYSTEMS           equity
INC               shares
COMPANIA          American   204429104    2776    74014 SH        DEFINED   1,2,5,6,                      74014
CERVECERIAS       Depository
UNIDAS            Receipt
COMPASS           Common     20451Q104    8911   583967 SH        DEFINED   1,2,                         583967
DIVERSIFIED       equity
HOLDINGS          shares
COMPASS           Common     20451N101   64693   806340 SH        DEFINED   1,2,5,6,8,10,                806340
MINERALS          equity
INTL INC          shares
                  Common     20452A108    6263   356844 SH        DEFINED   1,2,6,8,                     356844
COMPELLENT        Stock
TECHNOLOGIES
INC
COMPLETE          Common     20453E109   15787  1366828 SH        DEFINED   1,2,5,6,8,                  1366828
PRODUCTION        equity
SERVICES          shares
                  Common     20478T107    1790   346853 SH        DEFINED   1,2,5,                       346853
COMPUCREDIT       equity
HOLDINGS          shares
CORP
COMPUTER          Common     205306103    7802   199653 SH        DEFINED   1,2,5,8,                     199653
PROGRAMS &        equity
SYSTEMS           shares
COMPUTER          Common     205363104  303683  5573438 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   5573438
SCIENCES          equity
CORP              shares
COMPUTER          Common     205477102    1917   264390 SH        DEFINED   1,2,                         264390
TASK              equity
GROUP INC         shares
COMPUWARE         Common     205638109   57375  6830301 SH        DEFINED   1,2,5,6,8,10,12,13,         6830301
CORP              equity
                  shares
COMSCORE          Common     20564W105    6959   416941 SH        DEFINED   1,2,6,8,                     416941
INC               Stock
COMSTOCK          Common     205768203   29602   930766 SH        DEFINED   1,2,5,6,8,10,                927766           3000
RESOURCES         equity
INC               shares
COMSYS IT         Common     20581E104    5430   310663 SH        DEFINED   1,2,                         310663
PARTNERS          Stock
INC
COMTECH           Common     205826209   20296   634441 SH        DEFINED   1,2,5,6,8,                   634441
TELECOMMUN        equity
                  shares
COMVERGE          Common     205859101    4190   370499 SH        DEFINED   1,2,6,                       370499
INC               equity
                  shares
CON-WAY           Common     205944101   35380  1007392 SH        DEFINED   1,2,5,6,8,10,               1007392
INC               equity
                  shares
CONAGRA           Common     205887102  553853 22092931 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  22092931
FOODS INC         equity
                  shares
CONCEPTUS         Common     206016107   11377   570011 SH        DEFINED   1,2,5,6,8,                   570011
INC               equity
                  shares
CONCHO            Common     20605P101   60824  1206846 SH        DEFINED   1,2,5,6,8,10,               1206846
RESOURCES         equity
INC               shares
CONCUR            Common     206708109   37578   916150 SH        DEFINED   1,2,5,6,8,                   916150
TECHNOLOGIES      equity
INC               shares
CONEXANT          Common     207142308     312    91899 SH        DEFINED   1,2,6,8,                      91899
SYSTEMS           equity
INC               shares
CONMED            Common     207410101   16201   680415 SH        DEFINED   1,2,5,8,                     680415
CORP              equity
                  shares
CONN'S INC        Common     208242107    1649   210650 SH        DEFINED   1,2,5,                       210650
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                        
                  Common     207797101    4101   176240 SH        DEFINED   1,2,5,                       176240
CONNECTICUT       equity
WATER SVC         shares
INC
CONOCOPHILLIPS    Common     20825C104 2715504 53029972 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  53029972
                  equity
                  shares
CONSECO           Common     208464883   32192  5175640 SH        DEFINED   1,2,5,6,8,                  5175640
INC               equity
                  shares
CONSOL            Common     20854P109  350606  8218605 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   8218605
ENERGY INC        equity
                  shares
                  Common     209034107    9092   479519 SH        DEFINED   1,2,8,                       479519
CONSOLIDATED      Stock
COMM
HLDGS INC
                  Common     209115104  554311 12445246 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  12445246
CONSOLIDATED      equity
EDISON INC        shares
                  Common     209341106   12978   313338 SH        DEFINED   1,2,5,8,                     257252          56086
CONSOLIDATED      equity
GRAPHICS          shares
INC
                  Common     210226106    3278   104024 SH        DEFINED   1,2,5,6,8,                   104024
CONSOLIDATED      equity
TOMOKA            shares
LAND CO
                  Common     G23773107    3654   269038 SH        DEFINED   1,2,5,6,                     269038
CONSOLIDATED      Stock
WATER CO
INC
CONSTANT          Common     210313102   10820   464661 SH        DEFINED   1,2,6,8,                     464661
CONTACT           equity
INC               shares
                  Common     21036P108  116827  7106279 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   7106279
CONSTELLATION     equity
BRANDS            shares
                  Common     210371100  277798  7912202 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   7912202
CONSTELLATION     equity
ENERGY            shares
GRP INC
CONTANGO          Common     21075N204   14239   277822 SH        DEFINED   1,2,5,6,8,                   277822
OIL & GAS         equity
CO                shares
                  Common     210795308   34752  1581802 SH        DEFINED   1,2,5,6,8,10,               1581802
CONTINENTAL       equity
AIRLS INC         shares
-CL B
                  Common     212015101   14402   337066 SH        DEFINED   1,2,5,6,10,12,               337066
CONTINENTAL       equity
RESOURCES         shares
INC
                  Common     212172100    1887   509961 SH        DEFINED   1,2,                         509961
CONTINUCARE       equity
CORP              shares
CONVERGYS         Common     212485106   33105  2699056 SH        DEFINED   1,2,5,6,8,10,               2699056
CORP              equity
                  shares
COOPER            Common     216648402   25905   666287 SH        DEFINED   1,2,5,6,8,10,                666287
COMPANIES         equity
INC               shares
COOPER            Common     G24140108   59376  1238115 SH        DEFINED   1,5,18,8,10,12,13,18,       1238115
INDUSTRIES        equity
PLC               shares
COOPER            Common     216831107   30326  1594418 SH        DEFINED   1,2,5,8,                    1594418
TIRE &            equity
RUBBER CO         shares
COPA              Common     P31076105   60437   994344 SH        DEFINED   1,2,4,5,6,10,                994344
HOLDINGS          equity
SA                shares
COPART INC        Common     217204106   49514  1390849 SH        DEFINED   1,2,5,6,8,10,               1390849
                  equity
                  shares
COPEL-CIA         American   20441B407   41928  2047257 SH        DEFINED   1,2,5,6,8,10,18,            2047257
PARANAENSE        Depository
ENERGIA           Receipt
CORE              Common     N22717107    8309    62772 SH        DEFINED   1,2,5,6,8,                    62772
LABORATORIES      equity
NV                shares
CORE MARK         Common     218681104    6678   218170 SH        DEFINED   1,2,8,                       218170
HOLDING           equity
CO INC            shares
                  Common     218868107   45283  2574337 SH        DEFINED   1,2,5,6,8,                  2574337
CORINTHIAN        equity
COLLEGES          shares
INC
CORN              Common     219023108   54839  1582210 SH        DEFINED   1,2,5,6,8,10,               1582210
PRODUCTS          equity
INTL INC          shares
CORNELL           Common     219141108    4487   245036 SH        DEFINED   1,2,5,6,8,                   245036
COMPANIES         equity
INC               shares
                  Common     21924P103     820   129145 SH        DEFINED   1,2,                         129145
CORNERSTONE       equity
THERAPEUTICS      shares
INC
CORNING           Common     219350105 1033886 51157193 SH        DEFINED   1,2,5,6,8,10,12,13,18,     51157193
INC               equity
                  shares
CORP              Real       22002T108   78211  1948935 SH        DEFINED   1,2,3,5,6,8,10,             1940735             NA
OFFICE            Estate
PPTYS TR          Investment
INC               Trust
CORPBANCA         American   21987A209    1416    32929 SH        DEFINED   1,2,5,                        32929
                  Depository
                  Receipt
CORPORATE         Common     21988R102   26333   989785 SH        DEFINED   1,2,5,6,8,                   989785
EXECUTIVE         equity
BRD CO            shares
                  Common     22025Y407   51932  2614899 SH        DEFINED   1,2,3,5,6,8,10,             2598599             NA
CORRECTIONS       equity
CORP AMER         shares
CORVEL            Common     221006109    6670   186579 SH        DEFINED   1,2,5,6,8,                   186579
CORP              equity
                  shares
COSI INC          Common     22122P101      28    31987 SH        DEFINED   1,                            31987
                  equity
                  shares
COST PLUS         Common     221485105      58    27929 SH        DEFINED   1,                            27929
INC               equity
                  shares
COSTAR            Common     22160N109   16452   395773 SH        DEFINED   1,2,5,6,8,                   395773
GROUP INC         equity
                  shares
COSTCO            Common     22160K105  869608 14564338 SH        DEFINED   1,2,5,6,8,10,12,13,18,     14564338
WHOLESALE         equity
CORP              shares
COURIER           Common     222660102    3751   227186 SH        DEFINED   1,2,5,                       223586           3600
CORP              equity
                  shares
COUSINS           Real       222795106   29163  3509345 SH        DEFINED   1,2,3,5,6,8,                3509345
PROPERTIES        Estate
INC               Investment
                  Trust
COVANCE           Common     222816100   98168  1603815 SH        DEFINED   1,2,5,6,8,10,12,13,18,      1603815
INC               equity
                  shares
COVANTA           Common     22282E102   20964  1258345 SH        DEFINED   1,2,5,6,8,10,               1258345
HOLDING           equity
CORP              shares
COVENANT          Common     22284P105      76    12531 SH        DEFINED   1,                            12531
TRANSPORTATION    equity
GRP               shares
COVENTRY          Common     222862104  130368  5273803 SH        DEFINED   1,2,5,6,8,10,12,13,18,      5273803
HEALTH            equity
CARE INC          shares
COVIDIEN          Common     G2554F105  159908  3182545 SH        DEFINED   1,2,5,6,8,10,12,13,18,      3182545
PLC               equity
                  shares
COWEN             Common     223622101    1728   305290 SH        DEFINED   1,2,                         305290
GROUP INC         equity
                  shares
CPFL              American   126153105     618    10136 SH        DEFINED   1,6,8,10,                     10136
ENERGIA SA        Depository
                  Receipt
CPI CORP          Common     125902106    1271    91692 SH        DEFINED   1,2,                          91692
                  equity
                  shares
CPI               Common     12618M100    2379   179384 SH        DEFINED   1,2,                         179384
INTERNATIONAL     equity
INC               shares
CRA               Common     12618T105    5144   224441 SH        DEFINED   1,2,5,6,8,                   221541           2900
INTERNATIONAL     equity
INC               shares
CRACKER           Common     22410J106   25792   554513 SH        DEFINED   1,2,5,8,                     554513
BARREL            equity
OLD CTRY          shares
STOR
CRANE CO          Common     224399105   37556  1057766 SH        DEFINED   1,2,5,6,8,10,               1057766
                  equity
                  shares
                  Common     224633107    1689   414918 SH        DEFINED   1,2,6,                       414918
CRAWFORD &        equity
CO                shares
CRAY INC          Common     225223304    5663   951817 SH        DEFINED   1,2,5,8,                     951817
                  equity
                  shares
CREDICORP         Common     G2519Y108  113258  1284398 SH        DEFINED   1,2,5,6,8,10,12,18,         1284398
LTD               equity
                  shares
CREDIT            Common     225310101    5686   137865 SH        DEFINED   1,2,5,6,8,                   137865
ACCEPTANCE        Stock
CORP







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------             ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
CREDIT             American   225401108    1213    23614 SH        DEFINED   1,                         23614
SUISSE             Depository
GROUP              Receipt
CREDO              Common     225439207    1126   113868 SH        DEFINED   1,2,5,                    113868
PETROLEUM          equity
CORP               shares
CREE INC           Common     225447101  179643  2558206 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2558206
                   equity
                   shares
CREXUS             Real       226553105    2797   209231 SH        DEFINED   1,2,                      209231
INVESTMENT         Estate
CORP               Investment
                   Trust
CROCS INC          Common     227046109   18621  2123255 SH        DEFINED   1,2,5,6,8,               2123255
                   equity
                   shares
CROSS              Common     227483104    6828   675358 SH        DEFINED   1,2,5,8,                  675358
COUNTRY            equity
HEALTHCARE         shares
INC
CROSSTEX           Common     22765Y104    7388   850217 SH        DEFINED   1,2,5,6,                  850217
ENERGY INC         equity
                   shares
CROWN              Common     228227104  159860  4181521 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4181521
CASTLE             equity
INTL CORP          shares
CROWN              Common     228368106   67695  2511325 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2511325
HOLDINGS           equity
INC                shares
CROWN              Common     228411104     418   217874 SH        DEFINED   1,2,                      217874
MEDIA              equity
HOLDINGS           shares
INC
CRYOLIFE           Common     228903100    3850   595036 SH        DEFINED   1,2,6,                    595036
INC                equity
                   shares
CSG                Common     126349109   17700   844482 SH        DEFINED   1,2,5,6,8,                844482
SYSTEMS            equity
INTL INC           shares
CSN-CIA            American   20440W105   72830  1823933 SH        DEFINED   1,2,5,6,8,10,18,         1823933
SIDERURGICA        Depository
NACIONAL           Receipt
CSS                Common     125906107    3178   158089 SH        DEFINED   1,2,5,                    158089
INDUSTRIES         equity
INC                shares
CSX CORP           Common     126408103  714561 14038518 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14038518
                   equity
                   shares
CTC MEDIA          Common     12642X106    6373   370069 SH        DEFINED   1,2,5,6,8,10,             370069
INC                equity
                   shares
CTRIP.COM          American   22943F100   68945  1759236 SH        DEFINED   1,2,4,5,6,               1759236
INTL LTD           Depository
-ADR               Receipt
CTS CORP           Common     126501105    9238   972118 SH        DEFINED   1,2,5,8,                  972118
                   equity
                   shares
CUBIC CORP         Common     229669106   13028   361889 SH        DEFINED   1,2,5,6,8,                361889
                   equity
                   shares
CUBIC              Common     229675103     424   400274 SH        DEFINED   1,2,                      400274
ENERGY INC         equity
                   shares
CUBIST             Common     229678107   52161  2314196 SH        DEFINED   1,2,5,6,8,               2314196
PHARMACEUTICALS    equity
INC                shares
                   Common     229899109   81198  1455170 SH        DEFINED   1,2,5,6,8,10,            1455170
CULLEN/FROST       equity
BANKERS            shares
INC
CULP INC           Common     230215105     134    11213 SH        DEFINED   1,                         11213
                   equity
                   shares
                   Common     230770109    1319   125241 SH        DEFINED   1,2,                      125241
CUMBERLAND         equity
PHARMACEUTICALS    shares
CUMMINS            Common     231021106  918719 14824947 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14824947
INC                equity
                   shares
CUMULUS            Common     231082108     136    40027 SH        DEFINED   1,                         40027
MEDIA INC          equity
                   shares
CURIS INC          Common     231269101    4161  1355440 SH        DEFINED   1,2,                     1355440
                   equity
                   shares
                   Common     231561101   36892  1060101 SH        DEFINED   1,2,5,8,                 1060101
CURTISS-WRIGHT     equity
CORP               shares
CUTERA INC         Common     232109108    3035   292627 SH        DEFINED   1,2,                      292627
                   equity
                   shares
CVB                Common     126600105   40382  4064247 SH        DEFINED   1,2,5,8,                 4064247
FINANCIAL          equity
CORP               shares
CVR                Common     12662P108    4232   483637 SH        DEFINED   1,2,5,8,                  483637
ENERGY INC         equity
                   shares
CVS                Common     126650100 1725034 47181935 SH        DEFINED   1,2,5,6,8,10,12,13,18,  47181935
CAREMARK           equity
CORP               shares
                   Common     23251P102   10715   559242 SH        DEFINED   1,2,5,6,8,                559242
CYBERONICS         equity
INC                shares
                   Common     23251J106   27808  1576416 SH        DEFINED   1,2,5,6,8,               1576416
CYBERSOURCE        equity
CORP               shares
CYMER INC          Common     232572107   27038   724875 SH        DEFINED   1,2,5,6,8,                724875
                   equity
                   shares
CYNOSURE           Common     232577205    2212   196787 SH        DEFINED   1,2,                      196787
INC                equity
                   shares
CYPRESS            Common     232674507    3701   755406 SH        DEFINED   1,2,5,6,8,                755406
BIOSCIENCE         equity
INC                shares
CYPRESS            Common     232806109   33299  2895576 SH        DEFINED   1,2,5,6,8,10,18,         2895576
SEMICONDUCTOR      Stock
CORP
CYPRESS            Common     23281A307    4195   313539 SH        DEFINED   1,2,                      313539
SHARPRIDGE         equity
INVTS INC          shares
CYTEC              Common     232820100   48888  1045958 SH        DEFINED   1,2,5,6,8,10,            1045958
INDUSTRIES         equity
INC                shares
                   Common     23282W100    3270  1021951 SH        DEFINED   1,2,                     1021951
CYTOKINETICS       equity
INC                shares
CYTORI             Common     23283K105    2275   498830 SH        DEFINED   1,2,                      498830
THERAPEUTICS       equity
INC                shares
CYTRX CORP         Common     232828301      80    72369 SH        DEFINED   1,                         72369
                   equity
                   shares
D R                Common     23331A109  152284 12086024 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12086024
HORTON INC         equity
                   shares
D.R.               USA:       23331ABB     1681  1425000 SH        DEFINED   1,2,                     1425000
HORTON             Bond
INC DHI
DAIMLER AG         Common     D1668R123    1807    38435 SH        DEFINED   1,                         38435
                   equity
                   shares
                   Common     234264109    5420   711256 SH        DEFINED   1,2,5,6,8,                711256
DAKTRONICS         equity
INC                shares
DANA               Common     235825205   35290  2970577 SH        DEFINED   1,2,5,8,                 2970577
HOLDING            equity
CORP               shares
DANAHER            Common     235851102  706393  8839856 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8839856
CORP               equity
                   shares
DANAHER            A U S      235851AF     2144  1850000 SH        DEFINED   2,                       1850000
CORP               issuer
                   issuing in
                   U S
                   dollars in
                   the U S
                   capital
                   market
DANVERS            Common     236442109    5591   404248 SH        DEFINED   1,2,6,8,                  404248
BANCORP            Stock
INC
DARDEN             Common     237194105  230119  5166500 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5166500
RESTAURANTS        equity
INC                shares
DARLING            Common     237266101   20947  2337812 SH        DEFINED   1,2,5,6,8,               2337812
INTERNATIONAL      equity
INC                shares
DAVITA INC         Common     23918K108  211920  3342589 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3342589
                   equity
                   shares
DAWSON             Common     239359102    4856   166060 SH        DEFINED   1,2,5,6,8,                166060
GEOPHYSICAL        equity
CO                 shares
DCT                Real       233153105   35670  6820280 SH        DEFINED   1,2,3,5,8,               6820280
INDUSTRIAL         Estate
TRUST INC          Investment
                   Trust
DDI CORP           Common     233162502    1568   276598 SH        DEFINED   1,2,                      276598
                   Stock







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                        
                  Common     242309102   13837   812684 SH        DEFINED   1,2,5,6,8,                   812684
DEALERTRACK       equity
HOLDINGS          shares
INC
DEAN              Common     242370104  102051  6504228 SH        DEFINED   1,2,5,6,8,10,12,13,18,      6504228
FOODS CO          equity
                  shares
DEARBORN          Common     24242R108      12    11040 SH        DEFINED   1,                            11040
BANCORP           equity
INC               shares
DECKERS           Common     243537107   43697   316646 SH        DEFINED   1,2,5,6,8,                   316646
OUTDOOR           equity
CORP              shares
DECORATOR         Common     243631207      18    11400 SH        DEFINED   1,                            11400
INDUSTRIES        equity
INC               shares
DEERE & CO        Common     244199105  834527 14034922 SH        DEFINED   1,2,5,6,8,10,12,13,18,     14034922
                  equity
                  shares
DEL MONTE         Common     24522P103   65732  4501475 SH        DEFINED   1,2,5,6,8,10,18,            4501475
FOODS CO          equity
                  shares
DELCATH           Common     24661P104    3929   485028 SH        DEFINED   1,2,                         485028
SYSTEMS           equity
INC               shares
DELEK US          Common     246647101    2059   282858 SH        DEFINED   1,2,5,                       282858
HOLDINGS          equity
INC               shares
DELIAS INC        Common     246911101      57    32909 SH        DEFINED   1,                            32909
                  equity
                  shares
DELL INC          Common     24702R101  963165 64150481 SH        DEFINED   1,2,5,6,8,10,12,13,18,     64150481
                  equity
                  shares
DELPHI            Common     247131105   32481  1288913 SH        DEFINED   1,2,5,8,                    1288913
FINANCIAL         equity
GROUP INC         shares
DELTA AIR         Common     247361702  127584  8744594 SH        DEFINED   1,2,5,6,8,10,12,18,         8744594
LINES INC         equity
                  shares
DELTA             Common     247907207    4701  3334066 SH        DEFINED   1,2,5,6,8,                  3334066
PETROLEUM         equity
CORP              shares
DELTEK INC        Common     24784L105    2644   346089 SH        DEFINED   1,2,6,8,                     346089
                  equity
                  shares
DELTIC            Common     247850100    9596   217840 SH        DEFINED   1,2,5,6,8,                   217840
TIMBER            equity
CORP              shares
DELUXE            Common     248019101   35204  1808446 SH        DEFINED   1,2,5,6,8,18,               1808446
CORP              equity
                  shares
DEMANDTEC         Common     24802R506    2569   369626 SH        DEFINED   1,2,6,                       369626
INC               equity
                  shares
DENBURY           Common     247916208  280307 16615738 SH        DEFINED   1,2,5,6,8,10,12,13,18,     16615738
RESOURCES         equity
INC               shares
DENDREON          Common     24823Q107   69761  1912845 SH        DEFINED   1,2,5,6,8,10,               1912845
CORP              equity
                  shares
DENNYS            Common     24869P104    7970  2075409 SH        DEFINED   1,2,5,6,8,                  2075409
CORP              equity
                  shares
DENTSPLY          Common     249030107  168683  4840256 SH        DEFINED   1,2,5,6,8,10,12,13,18,      4840256
INTERNATL         equity
INC               shares
DEPOMED           Common     249908104    3590  1011273 SH        DEFINED   1,2,                        1011273
INC               equity
                  shares
                  American   25030W100   14186   501635 SH        DEFINED   1,4,5,6,                     501635
DESARROLLADORA    Depository
HOMEX SA          Receipt
                  Common     25065D100    2088    81355 SH        DEFINED   1,2,5,                        81355
DESTINATION       equity
MATERNITY         shares
CORP
DEUTSCHE          Common     D18190898     282     3672 SH        DEFINED   1,                             3672
BANK AG           equity
                  shares
DEUTSCHE          American   251566105     711    52679 SH        DEFINED   1,                            52679
TELEKOM           Depository
                  Receipt
                  Real       251591103   82469  6776455 SH        DEFINED   1,2,3,5,6,8,                6741255            NA
DEVELOPERS        Estate
DIVERSIFIED       Investment
RLTY              Trust
DEVON             Common     25179M103 1053669 16353695 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  16353695
ENERGY            equity
CORP              shares
DEVRY INC         Common     251893103  126662  1942664 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   1942664
                  equity
                  shares
DEX ONE           Common     25212W100    1575    56405 SH        DEFINED   1,2,                          56405
CORP              equity
                  shares
DEXCOM INC        Common     252131107    9473   973564 SH        DEFINED   1,2,6,8,                     973564
                  equity
                  shares
DG                Common     23326R109   12631   395352 SH        DEFINED   1,2,5,6,8,                   395352
FASTCHANNEL       Stock
INC
DHT               Common     Y2065G105    3635   927211 SH        DEFINED   1,2,                         927211
HOLDINGS          equity
INC               shares
DIAGEO PLC        American   25243Q205     514     7627 SH        DEFINED   1,                             7627
                  Depository
                  Receipt
DIAMOND           Common     252603105   17856   424729 SH        DEFINED   1,2,5,6,8,                   424729
FOODS INC         equity
                  shares
DIAMOND           Common     25264R207    2759    40220 SH        DEFINED   1,2,                          40220
HILL              Stock
INVESTMENT
GRP
DIAMOND           Common     25269L106    4098   521106 SH        DEFINED   1,2,8,                       521106
MANAGEMENT &      equity
TECHNL            shares
DIAMOND           Common     25271C102  244995  2759035 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   2759035
OFFSHRE           equity
DRILLING          shares
INC
                  Real       252784301   46213  4567249 SH        DEFINED   1,2,3,5,8,                  4567249
DIAMONDROCK       Estate
HOSPITALITY       Investment
CO                Trust
DIANA             Common     Y2066G104     629    41570 SH        DEFINED   1,2,5,6,                      41570
SHIPPING          equity
INC               shares
DICE              Common     253017107    2126   279742 SH        DEFINED   1,2,6,                       279742
HOLDINGS          equity
INC               shares
DICKS             Common     253393102   71010  2719638 SH        DEFINED   1,2,5,6,8,10,               2719638
SPORTING          equity
GOODS INC         shares
DIEBOLD           Common     253651103   82111  2585356 SH        DEFINED   1,2,5,6,8,10,12,            2585356
INC               equity
                  shares
DIEDRICH          Common     253675201    1535    44112 SH        DEFINED   1,2,                          44112
COFFEE INC        Stock
DIGI              Common     253798102    7450   699822 SH        DEFINED   1,2,5,6,                     699822
INTERNATIONAL     equity
INC               shares
DIGITAL           Real       253868103   97630  1801286 SH        DEFINED   1,2,3,5,6,8,10,             1790586            NA
REALTY            Estate
TRUST INC         Investment
                  Trust
DIGITAL           Common     25388B104   36220  1196331 SH        DEFINED   1,2,5,6,8,                  1196331
RIVER INC         equity
                  shares
                  Common     25389M877   10227   365909 SH        DEFINED   1,2,5,8,                     365909
DIGITALGLOBE      equity
INC               shares
DILLARDS          Common     254067101   35600  1508489 SH        DEFINED   1,2,5,8,                    1508489
INC -CL A         equity
                  shares
DIME              Common     253922108    9296   736007 SH        DEFINED   1,2,5,8,                     736007
COMMUNITY         equity
BANCSHARES        shares
                  Common     254423106   14654   370705 SH        DEFINED   1,2,5,6,8,                   370705
DINEEQUITY        equity
INC               shares
DIODES INC        Common     254543101   16282   726893 SH        DEFINED   1,2,5,6,8,                   726893
                  equity
                  shares
DIONEX            Common     254546104   30312   405345 SH        DEFINED   1,2,5,6,8,                   405345
CORP              equity
                  shares
DIRECTV           Common     25490A101 1278673 37819366 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  37819366
                  equity
                  shares
DISCOVER          Common     254709108  276727 18570086 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  18570086
FINANCIAL         equity
SVCS INC          shares
DISCOVERY         Common     25470F104  224050  6630659 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   6630659
COMMUNICATIONS    equity
INC               shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                              SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER             CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------           ---------- --------- ------- -------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                       
DISCOVERY        Common     25470F302   66422  2258489 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   2258489
COMMUNICATNS     equity
NEW              shares
DISCOVERY        Common     254668106    1165  2241287 SH        DEFINED   1,2,                        2241287
LABORATORIES     equity
INC              shares
DISH             Common     25470M109  100673  4834463 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   4834463
NETWORK          equity
CORP             shares
DISNEY           Common     254687106 2380656 68188032 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  68188032
(WALT) CO        equity
                 shares
DITECH           Common     25500T108      42    25585 SH        DEFINED   1,                            25585
NETWORKS         equity
INC              shares
DIVX INC         Common     255413106    4729   660523 SH        DEFINED   1,2,6,                       660523
                 Stock
DOLAN            Common     25659P402    6190   569493 SH        DEFINED   1,2,6,8,                     569493
MEDIA CO         equity
                 shares
DOLBY            Common     25659T107   40479   689944 SH        DEFINED   1,2,5,6,18,8,10,12,13,       689944
LABORATORIES     equity
INC              shares
DOLE FOOD        Common     256603101    7750   654002 SH        DEFINED   1,2,                         654002
CO INC           equity
                 shares
DOLLAR           Common     256664103   11412   474316 SH        DEFINED   1,2,5,6,8,                   474316
FINANCIAL        equity
CORP             shares
DOLLAR           Common     256677105    7844   306866 SH        DEFINED   1,2,6,10,                    306866
GENERAL          Stock
CORP
DOLLAR           Common     256743105   22968   714852 SH        DEFINED   1,2,5,6,8,                   714852
THRIFTY          equity
AUTOMOTIVE       shares
GP
DOLLAR           Common     256746108  167293  2824845 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   2824845
TREE INC         equity
                 shares
DOMINION         Common     25746U109  988158 24036904 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  24036904
RESOURCES        equity
INC              shares
DOMINO'S         Common     25754A201   10739   787315 SH        DEFINED   1,2,5,8,                     787315
PIZZA INC        equity
                 shares
DOMTAR           Common     257559203   59686   926154 SH        DEFINED   1,2,5,6,8,10,18,             926154
CORP             equity
                 shares
DONALDSON        Common     257651109   70592  1564550 SH        DEFINED   1,2,5,6,8,10,               1564550
CO INC           equity
                 shares
DONEGAL          Common     257701201    3512   242042 SH        DEFINED   1,2,                         242042
GROUP INC        equity
                 shares
DONNELLEY        Common     257867101  187017  8759592 SH        DEFINED   1,2,5,6,8,10,12,13,18,      8759592
(R R) &          Stock
SONS CO
DORAL            Common     25811P886     469   108708 SH        DEFINED   1,2,                         108708
FINANCIAL        equity
CORP             shares
DORMAN           Common     258278100    3822   201267 SH        DEFINED   1,2,                         201267
PRODUCTS         equity
INC              shares
DOT HILL         Common     25848T109      77    51627 SH        DEFINED   1,                            51627
SYSTEMS          equity
CORP             shares
                 Common     258598101    2733   306769 SH        DEFINED   1,2,6,                       306769
DOUBLE-TAKE      Stock
SOFTWARE
INC
DOUGLAS          Real       25960P109   46802  3045025 SH        DEFINED   1,2,3,5,8,10,               3045025
EMMETT INC       Estate
                 Investment
                 Trust
DOVER CORP       Common     260003108  327367  6988448 SH        DEFINED   1,2,5,6,8,10,12,13,18,      6988448
                 equity
                 shares
DOVER            Common     260095104    1116   281841 SH        DEFINED   1,2,5,                       281841
DOWNS            equity
GAMING &         shares
ENTMT
DOW              Common     260543103 1224509 41408123 SH        DEFINED   1,2,5,6,8,10,12,13,18,     41408123
CHEMICAL         equity
                 shares
DPL INC          Common     233293109   75502  2776842 SH        DEFINED   1,2,5,6,8,10,               2776842
                 equity
                 shares
DR PEPPER        Common     26138E109  309547  8805192 SH        DEFINED   1,2,5,6,8,10,12,13,18,      8805192
SNAPPLE          equity
GROUP INC        shares
DR               American   256135203    8119   287612 SH        DEFINED   1,2,5,6,                     287612
REDDY'S          Depository
LABORATORIES     Receipt
LTD
                 Common     26153C103   60872  1545318 SH        DEFINED   1,2,5,6,8,10,               1545318
DREAMWORKS       Stock
ANIMATION
INC
DRESS            Common     261570105   69628  2639115 SH        DEFINED   1,2,5,6,8,                  2277968          361147
BARN INC         equity
                 shares
                 Common     261608103   40338  1283835 SH        DEFINED   1,2,5,6,8,10,               1283835
DRESSER-RAND     equity
GROUP INC        shares
DREW             Common     26168L205    8488   385456 SH        DEFINED   1,2,5,6,8,                   385456
INDUSTRIES       equity
INC              shares
DRI CORP         Common     23330F109      30    16137 SH        DEFINED   1,                            16137
                 equity
                 shares
DRIL-QUIP        Common     262037104   53962   886956 SH        DEFINED   1,2,5,6,8,                   886956
INC              equity
                 shares
                 Common     262241102    5285  1480395 SH        DEFINED   1,2,                        1480395
DRUGSTORE.COM    equity
INC              shares
DRYSHIPS         Common     Y2109Q101     958   164032 SH        DEFINED   1,2,5,6,                     164032
INC              equity
                 shares
DSP GROUP        Common     23332B106    6508   781229 SH        DEFINED   1,2,5,                       781229
INC              equity
                 shares
DST              Common     233326107   42604  1027852 SH        DEFINED   1,2,5,6,8,10,12,13,18,      1027852
SYSTEMS          equity
INC              shares
DSW INC          Common     23334L102    7992   313050 SH        DEFINED   1,2,5,6,8,                   313050
                 equity
                 shares
DTE              Common     233331107  329757  7391687 SH        DEFINED   1,2,5,6,8,10,12,13,18,      7391687
ENERGY CO        equity
                 shares
DTS INC          Common     23335C101   11844   347954 SH        DEFINED   1,2,5,6,8,                   347954
                 equity
                 shares
DU PONT          Common     263534109 1480705 39749456 SH        DEFINED   1,2,5,6,8,10,12,13,18,     39749456
(E I) DE         equity
NEMOURS          shares
DUCOMMUN         Common     264147109    5129   244143 SH        DEFINED   1,2,5,                       244143
INC              equity
                 shares
DUFF &           Common     26433B107    5193   310231 SH        DEFINED   1,2,6,8,                     310231
PHELPS           equity
CORP             shares
DUKE             Common     26441C105  869375 53270531 SH        DEFINED   1,2,5,6,8,10,12,13,18,     53270531
ENERGY           equity
CORP             shares
DUKE             Real       264411505  107238  8648241 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,    8616641              NA
REALTY           Estate
CORP             Investment
                 Trust
DUN &            Common     26483E100  127435  1712380 SH        DEFINED   1,2,5,6,8,10,12,13,18,      1712380
BRADSTREET       equity
CORP             shares
DUOYUAN          Common     26605B109    1387   128412 SH        DEFINED   1,2,                         128412
PRINTING         equity
INC              shares
DUPONT           Real       26613Q106   25748  1192600 SH        DEFINED   1,2,3,5,6,8,                1192600
FABROS           Estate
TECHNOLOGY       Investment
INC              Trust
DURECT           Common     266605104    5271  1757068 SH        DEFINED   1,2,5,6,                    1757068
CORP             equity
                 shares
DXP              Common     233377407    1822   142681 SH        DEFINED   1,2,                         142681
ENTERPRISES      equity
INC              shares
DYAX CORP        Common     26746E103    4545  1332764 SH        DEFINED   1,2,5,6,8,                  1332764
                 equity
                 shares
DYCOM            Common     267475101   10422  1188410 SH        DEFINED   1,2,5,8,                    1188410
INDUSTRIES       equity
INC              shares
DYNAMEX          Common     26784F103    3236   187812 SH        DEFINED   1,2,                         187812
INC              equity
                 shares
DYNAMIC          Common     267888105    4100   262488 SH        DEFINED   1,2,5,6,8,                   262488
MATERIALS        equity
CORP             shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
DYNAMICS          Common         268057106    1616   143375 SH        DEFINED   1,2,                      143375
RESEARCH          equity shares
CORP
DYNAVAX           Common         268158102      19    14991 SH        DEFINED   1,                         14991
TECHNOLOGIES      Stock
CORP
DYNCORP           Preferred      26817C101    7240   611293 SH        DEFINED   1,2,5,6,8,                611293
INTL INC          equity shares
DYNEGY INC        Common         26817G102   13394 10630269 SH        DEFINED   1,2,5,6,8,10,18,        10630269
                  equity shares
DYNEX             Real Estate    26817Q506    1698   188622 SH        DEFINED   1,2,                      188622
CAPITAL           Investment
INC               Trust
E TRADE           Common         269246104  109516 66417342 SH        DEFINED   1,2,5,6,8,10,12,13,     66417342
FINANCIAL         equity shares
CORP
E-HOUSE           American       26852W103     624    32786 SH        DEFINED   1,2,6,                     32786
CHINA             Depository
HOLDINGS          Receipt
-ADR
EAGLE             Common         268948106    3093   261006 SH        DEFINED   1,2,                      261006
BANCORP           equity shares
INC/MD
EAGLE             Common         Y2187A101    6544  1232436 SH        DEFINED   1,2,5,8,                 1232436
BULK              equity shares
SHIPPING
INC
EAGLE             Common         26969P108   13933   524977 SH        DEFINED   1,2,5,6,8,10,             524977
MATERIALS         equity shares
INC
EARTHLINK         Common         270321102   26045  3048480 SH        DEFINED   1,2,5,8,                 3048480
INC               equity shares
EAST WEST         Common         27579R104   61578  3534895 SH        DEFINED   1,2,5,6,8,               3534895
BANCORP           equity shares
INC
EASTERN CO        Common         276317104    1278    94371 SH        DEFINED   1,2,                       94371
                  equity shares
EASTERN           Common         276534104    1304   128619 SH        DEFINED   1,2,                      128619
INSURANCE         equity shares
HLDGS INC
EASTGROUP         Real Estate    277276101   32907   871927 SH        DEFINED   1,2,3,5,8,                871927
PROPERTIES        Investment
                  Trust
EASTMAN           Common         277432100  206314  3238804 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3238804
CHEMICAL          equity shares
CO
EASTMAN           Common         277461109   66797 11536698 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11536698
KODAK CO          equity shares
EATON CORP        Common         278058102  432560  5708709 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5708709
                  equity shares
EATON             Common         278265103  113307  3378250 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3378250
VANCE CORP        equity shares
EBAY INC          Common         278642103 1075104 39908384 SH        DEFINED   1,2,5,6,8,10,12,13,18,  39908384
                  equity shares
EBIX INC          Common         278715206    7674   480528 SH        DEFINED   1,2,6,8,                  480528
                  equity shares
ECHELON           Common         27874N105    5882   654221 SH        DEFINED   1,2,5,6,8,                654221
CORP              equity shares
ECHO              Common         27875T101    1122    86908 SH        DEFINED   1,2,                       86908
GLOBAL            equity shares
LOGISTICS
INC
ECHOSTAR          Common         278768106    9328   459973 SH        DEFINED   1,2,5,6,8,10,             459973
CORP              equity shares
ECLIPSYS          Common         278856109   23774  1195213 SH        DEFINED   1,2,5,6,8,               1195213
CORP              equity shares
ECOLAB INC        Common         278865100  373825  8505265 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8505265
                  equity shares
ECOPETROL         American       279158109    7808   275607 SH        DEFINED   1,5,6,8,10,               275607
SA                Depository
                  Receipt
EDGEWATER         Common         280358102      54    17022 SH        DEFINED   1,                         17022
TECHNOLOGY        equity shares
INC
EDISON            Common         281020107 1263607 36979012 SH        DEFINED   1,2,5,6,8,10,12,13,18,  36979012
INTERNATIONAL     equity shares
EDUCATION         Common         28140M103    4715   215436 SH        DEFINED   1,2,10,                   215436
MANAGEMENT        equity shares
CORP
EDUCATION         Real Estate    28140H104   11181  1947925 SH        DEFINED   1,2,3,5,8,               1947925
REALTY            Investment
TRUST INC         Trust
EDWARDS           Common         28176E108  213248  2156508 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2156508
LIFESCIENCES      equity shares
CORP
EFJOHNSON         Common         26843B101      29    31450 SH        DEFINED   1,                         31450
TECHNOLOGIES      equity shares
INC
EHEALTH           Common         28238P109    7243   459869 SH        DEFINED   1,2,5,6,8,                459869
INC               Stock
EINSTEIN          Common         28257U104    1339   110217 SH        DEFINED   1,2,                      110217
NOAH              equity shares
RESTAURANT
GRP
EL PASO           Common         28336L109  331743 30599959 SH        DEFINED   1,2,5,6,8,10,12,13,18,  30599959
CORP              equity shares
EL PASO           Common         283677854   22947  1113929 SH        DEFINED   1,2,5,8,                 1113929
ELECTRIC          equity shares
CO
ELECTRO           Common         285218103    5507   419458 SH        DEFINED   1,2,5,8,                  419458
RENT CORP         equity shares
ELECTRO           Common         285229100    7437   580555 SH        DEFINED   1,2,5,6,8,                580555
SCIENTIFIC        equity shares
INDS INC
                  Common         285512109  197491 10583668 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10583668
ELECTRONIC        equity shares
ARTS INC
                  Common         286082102   11682  1004476 SH        DEFINED   1,2,5,8,                 1004476
ELECTRONICS       equity shares
FOR
IMAGING
INC
                  Depository     15234Q207    3122   208121 SH        DEFINED   1,2,5,6,8,10,             208121
ELETROBRAS-CENTR  Receipt
ELETR BRAS
ELIXIR            Common         28661G105      18    72200 SH        DEFINED   1,                         72200
GAMING            equity shares
TECHNOLOGIES
ELIZABETH         Common         28660G106    9649   536070 SH        DEFINED   1,2,5,8,                  536070
ARDEN INC         equity shares
ELLIS             Common         288853104    6597   289833 SH        DEFINED   1,2,                      289833
PERRY             equity shares
INTL INC
ELOYALTY          Common         290151307     516    91643 SH        DEFINED   1,2,                       91643
CORP              equity shares
                  American       29081P204     308    17604 SH        DEFINED   1,2,6,                     17604
EMBOTELLADORA     Depository
ANDINA S A        Receipt
                  American       29081P303     885    43361 SH        DEFINED   1,2,5,6,                   43361
EMBOTELLADORA     Depository
ANDINA SA         Receipt
                  American       29081M102    1484    61927 SH        DEFINED   1,2,5,6,8,10,              61927
EMBRAER-EMPRESA   Depository
BRAS AERO         Receipt
SA
EMC CORP          Non- or        268648AK     5416  4450000 SH        DEFINED   1,2,                     4450000
                  limited-voting
                  common
                  shares
EMC CORP          A U S issuer   268648AM     6148  4900000 SH        DEFINED   1,2,                     4900000
                  issuing in U S
                  dollars in the
                  U S capital
                  market
EMC               Common         268648102 1245484 69040116 SH        DEFINED   1,2,5,6,8,10,12,13,18,  69040116
CORP/MA           equity shares
EMC               Common         268664109    2350   104365 SH        DEFINED   1,2,                      104365
INSURANCE         equity shares
GROUP INC
EMCOR             Common         29084Q100   44014  1782179 SH        DEFINED   1,2,5,6,8,               1782179
GROUP INC         equity shares
EMCORE            Common         290846104    1553  1283409 SH        DEFINED   1,2,                     1283409
CORP              equity shares
EMDEON INC        Common         29084T104    4516   273377 SH        DEFINED   1,2,10,                   273377
                  equity shares
EMERGENCY         Common         29100P102   43524   769661 SH        DEFINED   1,2,5,6,8,                769661
MEDICAL           equity shares
SVCS CORP







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                 SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS       CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ------------ --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                       
EMERGENT          Common       29089Q105    6552   390224 SH        DEFINED   1,2,6,                    390224
BIOSOLUTIONS      equity
INC               shares
EMERITUS          Common       291005106    7858   386139 SH        DEFINED   1,2,5,6,8,                386139
CORP              equity
                  shares
EMERSON           Common       291011104 1283564 25494263 SH        DEFINED   1,2,5,6,8,10,12,13,18,  25494263
ELECTRIC          equity
CO                shares
EMERSON           Common       291087203      23    10566 SH        DEFINED   1,                         10566
RADIO CORP        equity
                  shares
EMMIS             Common       291525103      42    36922 SH        DEFINED   1,                         36922
COMMUNICTNS       equity
CP -CL A          shares
EMPIRE            Common       291641108   14215   788856 SH        DEFINED   1,2,5,8,                  788856
DISTRICT          equity
ELECTRIC          shares
CO
EMPIRE            Common       292052107      58    31846 SH        DEFINED   1,                         31846
RESORTS           equity
INC               shares
EMPLOYERS         Common       292218104   16703  1124763 SH        DEFINED   1,2,5,8,                 1124763
HOLDINGS          equity
INC               shares
EMS               Common       26873N108    5443   327911 SH        DEFINED   1,2,6,8,                  327911
TECHNOLOGIES      equity
INC               shares
EMULEX            Common       292475209   23773  1790103 SH        DEFINED   1,2,5,8,                 1790103
CORP              equity
                  shares
ENBRIDGE          Common       29250X103     439     8590 SH        DEFINED   1,5,8,                      8590
ENERGY            equity
MGMT LLC          shares
ENBRIDGE          Common       29250N105     237     4968 SH        DEFINED   1,                          4968
INC               equity
                  shares
ENCANA            Common       292505104     656    21120 SH        DEFINED   1,                         21120
CORP              equity
                  shares
ENCORE            Common       29255V201     275    29080 SH        DEFINED   1,                         29080
BANCSHARES        equity
INC               shares
ENCORE            Common       292554102    5451   331380 SH        DEFINED   1,2,5,                    331380
CAPITAL           equity
GROUP INC         shares
ENCORE            Common       292562105    8265   397363 SH        DEFINED   1,2,5,8,                  397363
WIRE CORP         equity
                  shares
ENDEAVOUR         Common       29259G101    2563  2018186 SH        DEFINED   1,2,6,                   2018186
INTERNATIONAL     equity
CORP              shares
                  American     29244T101   22362   475894 SH        DEFINED   1,2,5,6,18,               475894
ENDESA-EMPR       Depository
NAC ELEC          Receipt
(CHILE)
ENDO              Common       29264F205   73422  3100933 SH        DEFINED   1,2,5,6,8,10,            3100933
PHARMACEUTICALS   equity
HLDGS             shares
ENDOLOGIX         Common       29266S106    3487   863150 SH        DEFINED   1,2,                      863150
INC               equity
                  shares
ENDURANCE         Common       G30397106   31763   855116 SH        DEFINED   1,2,5,6,8,10,             855116
SPECIALTY         equity
HOLDINGS          shares
ENER1 INC         Common       29267A203    4406   931602 SH        DEFINED   1,2,6,8,                  931602
                  Stock
ENERGEN           Common       29265N108  109246  2347500 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2347500
CORP              equity
                  shares
ENERGIZER         Common       29266R108  108184  1723780 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1723780
HOLDINGS          equity
INC               shares
ENERGY            Common       292659109    7175   916383 SH        DEFINED   1,2,5,6,8,                916383
CONVERSION        equity
DEV               shares
ENERGY            Common       29270U303     406    33308 SH        DEFINED   1,2,                       33308
PARTNERS          Stock
LTD
ENERGY            Common       29270J100    3764   597939 SH        DEFINED   1,2,6,8,                  597939
RECOVERY          Stock
INC
                  Common       292756202   10129  1569445 SH        DEFINED   1,2,5,8,                 1555445          14000
ENERGYSOLUTIONS   equity
INC               shares
ENERNOC           Common       292764107    8034   270896 SH        DEFINED   1,2,5,6,8,                270896
INC               equity
                  shares
ENERPLUS          Composition  29274D604     673    28360 SH        DEFINED   1,                         28360
RESOURCES         of more than
FUND              1 security
ENERSIS SA        American     29274F104   17155   858172 SH        DEFINED   1,2,5,6,8,                858172
                  Depository
                  Receipt
ENERSYS           Common       29275Y102   31645  1282491 SH        DEFINED   1,2,5,8,18,              1282491
INC               equity
                  shares
ENGLOBAL          Common       293306106    1083   390919 SH        DEFINED   1,2,5,                    390919
CORP              equity
                  shares
ENI SPA           American     26874R108    1731    36885 SH        DEFINED   1,2,                       36885
                  Depository
                  Receipt
ENNIS INC         Common       293389102   10354   631059 SH        DEFINED   1,2,5,8,                  631059
                  equity
                  shares
ENPRO             Common       29355X107   18863   648657 SH        DEFINED   1,2,5,8,                  648657
INDUSTRIES        equity
INC               shares
ENSCO PLC         Common       29358Q109    5181   115688 SH        DEFINED   1,5,6,8,18,               115688
-ADR              equity
                  shares
ENSIGN            Common       29358P101    3365   194179 SH        DEFINED   1,2,                      194179
GROUP INC         equity
                  shares
ENSTAR            Common       G3075P101    9410   136278 SH        DEFINED   1,2,5,8,                  136278
GROUP LTD         equity
                  shares
ENTEGRIS          Common       29362U104   13977  2773303 SH        DEFINED   1,2,5,6,8,               2773303
INC               equity
                  shares
ENTERCOM          Common       293639100     577    48517 SH        DEFINED   1,2,                       45617           2900
COMMUNICATIONS    equity
CORP              shares
ENTERGY           Common       29364G103  611228  7513563 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7513563
CORP              equity
                  shares
                  Common       29365M109     123   240352 SH        DEFINED   1,2,                      240352
ENTEROMEDICS      equity
INC               shares
                  Common       293668109     814    66648 SH        DEFINED   1,2,                       66648
ENTERPRISE        equity
BANCORP           shares
INC/MA
                  Common       293712105    2167   195966 SH        DEFINED   1,2,                      195966
ENTERPRISE        equity
FINL              shares
SERVICES
CP
                  Limited      293792107     324     9379 SH        DEFINED   8,                          9379
ENTERPRISE        Partnership
PRODS
PRTNER -LP
                  Real Estate  29380T105   45355  1102657 SH        DEFINED   1,2,3,5,8,               1096657             NA
ENTERTAINMENT     Investment
PROPERTIES        Trust
TR
                  Common       29382R107     199    72264 SH        DEFINED   1,2,                       72264
ENTRAVISION       equity
COMMUNICATIONS    shares
ENTREMED          Common       29382F103      27    40090 SH        DEFINED   1,                         40090
INC               equity
                  shares
ENTROPIC          Common       29384R105    4661   917582 SH        DEFINED   1,2,                      917582
COMMUNICATIONS    equity
INC               shares
ENZO              Common       294100102    4145   688536 SH        DEFINED   1,2,5,6,8,                688536
BIOCHEM           equity
INC               shares
ENZON             Common       293904108   12498  1227748 SH        DEFINED   1,2,5,6,8,               1227748
PHARMACEUTICALS   equity
INC               shares
EOG               Common       26875P101  864459  9301261 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9301261
RESOURCES         equity
INC               shares
EPICEPT           Common       294264304      36    17045 SH        DEFINED   1,                         17045
CORP              equity
                  shares
EPICOR            Common       29426L108   10473  1095457 SH        DEFINED   1,2,5,8,                 1095457
SOFTWARE          equity
CORP              shares
EPIQ              Common       26882D109    8947   719768 SH        DEFINED   1,2,5,6,8,                719768
SYSTEMS           equity
INC               shares
EPLUS INC         Common       294268107     992    56503 SH        DEFINED   1,2,                       56503
                  Stock







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                 SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER              CLASS      CUSIP    VALUE      VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            ---------- --------- -------- --------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                         
EPOCH             Common     29428R103     2979    263821 SH        DEFINED   1,2,                         242891         20930
HOLDING           Stock
CORP
EQT CORP          Common     26884L109   221923   5412759 SH        DEFINED   1,2,5,6,8,10,12,13,18,      5412759
                  equity
                  shares
EQUIFAX           Common     294429105   160281   4477126 SH        DEFINED   1,2,5,6,8,10,12,13,18,      4477126
INC               equity
                  shares
EQUINIX           Common     29444U502    79381    814708 SH        DEFINED   1,2,5,6,8,10,                814708
INC               equity
                  shares
EQUITY            Real       29472R108    51443    954503 SH        DEFINED   1,2,3,5,6,8,                 950203            NA
LIFESTYLE         Estate
PROPERTIES        Investment
                  Trust
EQUITY            Real       294752100    27205   1440155 SH        DEFINED   1,2,3,5,6,8,                1440155
ONE INC           Estate
                  Investment
                  Trust
EQUITY            Real       29476L107   494679  12635472 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   12595672            NA
RESIDENTIAL       Estate
                  Investment
                  Trust
                  Common     29481V108     6975   1009430 SH        DEFINED   1,2,5,6,8,                  1009430
ERESEARCH-        equity
TECHNOLOGY INC    shares
ERICSSON          American   294821608     7348    704542 SH        DEFINED   1,2,                         704542
(LM)              Depository
TELEFON           Receipt
ERIE              Common     29530P102    15096    350015 SH        DEFINED   1,2,5,6,8,10,12,             350015
INDEMNITY         equity
CO -CL A          shares
ESB               Common     26884F102     2081    161418 SH        DEFINED   1,2,5,                       161418
FINANCIAL         equity
CORP              shares
ESCO              Common     296315104    18408    578678 SH        DEFINED   1,2,5,6,8,                   578678
TECHNOLOGIES      equity
INC               shares
ESSA              Common     29667D104     4093    326384 SH        DEFINED   1,2,                         326384
BANCORP           equity
INC               shares
ESSEX             Real       297178105    87547    973280 SH        DEFINED   1,2,3,5,6,8,10,              969130            NA
PROPERTY          Estate
TRUST             Investment
                  Trust
ESTERLINE         Common     297425100    34921    706472 SH        DEFINED   1,2,5,6,8,                   706472
TECHNOLOGIES      equity
CORP              shares
ETHAN             Common     297602104    11126    539305 SH        DEFINED   1,2,5,8,                     539305
ALLEN             equity
INTERIORS         shares
INC
                  Common     298716101        4     10800 SH        DEFINED   1,                            10800
EUROBANCSHARES    equity
INC               shares
EURONET           Common     298736109    21255   1153284 SH        DEFINED   1,2,5,6,8,                  1153284
WORLDWIDE         equity
INC               shares
EV3 INC           Common     26928A200    25085   1579196 SH        DEFINED   1,2,5,6,8,                  1579196
                  equity
                  shares
EVERCORE          Common     29977A105     8290    276317 SH        DEFINED   1,2,6,8,                     276317
PARTNERS          equity
INC               shares
EVEREST           Common     G3223R108   131347   1622968 SH        DEFINED   1,2,5,6,8,10,12,13,18,      1622968
RE GROUP          equity
LTD               shares
EVERGREEN         Common     30024B104      397   2204057 SH        DEFINED   1,2,                        2204057
ENERGY INC        equity
                  shares
EVERGREEN         Common     30033R108     3906   3456431 SH        DEFINED   1,2,5,6,8,                  3456431
SOLAR INC         equity
                  shares
EVOLVING          Common     30049R209       93     13438 SH        DEFINED   1,                            13438
SYSTEMS           equity
INC               shares
EW                Common     811054402     6625    783985 SH        DEFINED   1,2,6,8,                     783985
SCRIPPS           equity
-CL A             shares
EXACT             Common     30063P105       92     20617 SH        DEFINED   1,                            20617
SCIENCES          Stock
CORP
EXACTECH          Common     30064E109     3009    143478 SH        DEFINED   1,2,6,                       143478
INC               equity
                  shares
EXAR CORP         Common     300645108     5648    801170 SH        DEFINED   1,2,5,6,8,                   801170
                  equity
                  shares
EXCEL             Common     V3267N107      486     80543 SH        DEFINED   1,2,5,6,                      80543
MARITIME          equity
CARRIERS          shares
LTD
EXCO              Common     269279402    45282   2463635 SH        DEFINED   1,2,5,6,8,10,               2463635
RESOURCES         equity
INC               shares
EXELIXIS          Common     30161Q104    14991   2469745 SH        DEFINED   1,2,5,6,8,                  2469745
INC               equity
                  shares
EXELON            Common     30161N101  1143861  26109583 SH        DEFINED   1,2,5,6,8,10,12,13,18,     26109583
CORP              equity
                  shares
EXIDE             Common     302051206     6508   1131139 SH        DEFINED   1,2,5,6,8,                  1131139
TECHNOLOGIES      equity
                  shares
                  Common     302081104     4899    293680 SH        DEFINED   1,2,5,6,                     293680
EXLSERVICE        equity
HOLDINGS          shares
INC
EXPEDIA           Common     30212P105   207010   8293658 SH        DEFINED   1,2,5,6,8,10,12,13,18,      8293658
INC               equity
                  shares
                  Common     302130109   260826   7063084 SH        DEFINED   1,2,5,6,8,10,12,13,18,      7063084
EXPEDITORS        equity
INTL WASH         shares
INC
EXPONENT          Common     30214U102     7956    278949 SH        DEFINED   1,2,6,8,                     278949
INC               equity
                  shares
EXPRESS           Common     302182100   903506   8878990 SH        DEFINED   1,2,5,6,8,10,12,13,18,      8878990
SCRIPTS           equity
INC               shares
EXTERRAN          Common     30225X103    45395   1878173 SH        DEFINED   1,2,5,6,8,10,               1878173
HOLDINGS          equity
INC               shares
EXTRA             Real       30225T102    36482   2877109 SH        DEFINED   1,2,3,5,8,                  2877109
SPACE             Estate
STORAGE           Investment
INC               Trust
EXTREME           Common     30226D106     5189   1690084 SH        DEFINED   1,2,5,                      1690084
NETWORKS          equity
INC               shares
EXXON             Common     30231G102 11426669 170598067 SH        DEFINED   1,2,5,6,8,10,12,13,18,    170598067
MOBIL CORP        equity
                  shares
EZCORP            Common     302301106    22277   1081397 SH        DEFINED   1,2,5,6,8,                  1081397
INC -CL A         equity
                  shares
F N B             Common     302520101    43264   5334647 SH        DEFINED   1,2,5,8,                    5334647
CORP/FL           equity
                  shares
F5                Common     315616102   100738   1634238 SH        DEFINED   1,2,5,6,8,10,               1634238
NETWORKS          equity
INC               shares
FACET             Common     30303Q103    15853    587370 SH        DEFINED   1,2,5,6,8,                   587370
BIOTECH           Stock
CORP
FACTSET           Common     303075105    61984    844807 SH        DEFINED   1,2,5,6,8,10,                844807
RESEARCH          equity
SYSTEMS           shares
INC
FAIR              Common     303250104    40037   1580000 SH        DEFINED   1,2,5,6,8,                  1580000
ISAAC CORP        equity
                  shares
FAIRCHILD         Common     303726103    28598   2684080 SH        DEFINED   1,2,5,6,8,10,               2674580          9500
SEMICONDUCTOR     equity
INTL              shares
                  Common     306137100     2316    665462 SH        DEFINED   1,2,5,6,                     665462
FALCONSTOR        equity
SOFTWARE          shares
INC
FAMILY            Common     307000109   178160   4865664 SH        DEFINED   1,2,5,6,8,10,12,13,18,      4865664
DOLLAR            equity
STORES            shares
FAMOUS            Common     307068106       95     11790 SH        DEFINED   1,                            11790
DAVES OF          equity
AMERICA           shares
INC
FANNIE MAE        Common     313586109     4747   4520505 SH        DEFINED   1,2,5,6,8,10,               4520505
                  Stock
FANNIE MAE        USA:       31358674        21     14400 SH        DEFINED   1,                            14400
                  Bond
FARMER            Common     307675108     2293    122341 SH        DEFINED   1,2,5,                       122341
BROS CO           equity
                  shares
FARMERS           Common     309562106     1036    120871 SH        DEFINED   1,2,                         120871
CAPITAL           equity
BANK CORP         shares
FARO              Common     311642102     9094    353430 SH        DEFINED   1,2,5,6,8,                   353430
TECHNOLOGIES      equity
INC               shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                       
FASTENAL          Common     311900104  207879  4331722 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4331722
CO                equity
                  shares
FBL               Common     30239F106    7050   287998 SH        DEFINED   1,2,5,8,                    287998
FINANCIAL         equity
GROUP             shares
INC-CL A
FBR               Common     30247C301    1965   431787 SH        DEFINED   1,2,5,6,8,                  431787
CAPITAL           equity
MARKETS           shares
CORP
FEDERAL           Common     313400301    3023  2380309 SH        DEFINED   1,2,5,6,8,10,              2380309
HOME LOAN         equity
MORTG CORP        shares
FEDERAL           Real       313747206  158508  2177008 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   2168458             NA
REALTY            Estate
INVESTMENT        Investment
TR                Trust
FEDERAL           Common     313855108   13438  1491465 SH        DEFINED   1,2,5,6,8,                 1491465
SIGNAL            equity
CORP              shares
                  Common     313549404    3928   213951 SH        DEFINED   1,2,5,6,8,10,               213951
FEDERAL-MOGUL     Stock
CORP
FEDERATED         Common     314211103   71268  2701582 SH        DEFINED   1,2,5,6,8,10,12,13,        2701582
INVESTORS         equity
INC               shares
FEDEX CORP        Common     31428X106 1002964 10739412 SH        DEFINED   1,2,5,6,8,10,12,13,18,    10739412
                  equity
                  shares
FEI CO            Common     30241L109   18164   792831 SH        DEFINED   1,2,5,6,8,                  792831
                  equity
                  shares
FELCOR            Real       31430F101   12086  2120324 SH        DEFINED   1,2,3,5,8,                 2120324
LODGING           Estate
TRUST INC         Investment
                  Trust
FEMALE            Common     314462102    1650   230122 SH        DEFINED   1,2,                        230122
HEALTH CO         Stock
FERRO CORP        Common     315405100   15071  1714607 SH        DEFINED   1,2,5,8,                   1707707           6900
                  equity
                  shares
FIBRIA            American   31573A109    3172   144952 SH        DEFINED   1,2,6,10,                   144952
CELULOSE          Depository
SA                Receipt
FIDELITY          Common     31620R105   87430  5899480 SH        DEFINED   1,2,5,6,8,10,12,13,18,     5899480
NATIONAL          equity
FINANCIAL         shares
FIDELITY          Common     31620M106  256261 10932629 SH        DEFINED   1,2,5,6,8,10,12,13,18,    10932629
NATIONAL          equity
INFO SVCS         shares
FIFTH             Common     31678A103    9100   783824 SH        DEFINED   1,2,8,                      783824
STREET            equity
FINANCE           shares
CORP
FIFTH             Common     316773100  423226 31124414 SH        DEFINED   1,2,5,6,8,10,12,13,18,    31124414
THIRD             equity
BANCORP           shares
FINANCIAL         Common     317585404    3244   221856 SH        DEFINED   1,2,                        221856
INSTITUTIONS      equity
INC               shares
FINISAR           Common     31787A507    1710   108850 SH        DEFINED   1,2,5,6,8,                  108850
CORP              equity
                  shares
FINISH            Common     317923100   17463  1071216 SH        DEFINED   1,2,5,8,                   1071216
LINE INC          equity
-CL A             shares
FIRST             Common     318457108     771   378118 SH        DEFINED   1,2,                        378118
ACCEPTANCE        equity
CORP              shares
FIRST             Common     318522307   90370  2670509 SH        DEFINED   1,2,5,6,8,10,12,13,18,     2670509
AMERICAN          equity
CORP/CA           shares
FIRST             Common     31866P102    2694   169036 SH        DEFINED   1,2,                        169036
BANCORP           equity
INC/ME            shares
FIRST             Common     318672102    4454  1848256 SH        DEFINED   1,2,5,8,                   1848256
BANCORP P         equity
R                 shares
FIRST             Common     318910106    4775   353150 SH        DEFINED   1,2,5,8,                    353150
BANCORP/NC        equity
                  shares
FIRST             Common     319383105    4001   905151 SH        DEFINED   1,2,5,                      905151
BUSEY CORP        equity
                  shares
FIRST             Common     319395109     179    67675 SH        DEFINED   1,2,                         67675
CALIF             equity
FINL              shares
GROUP INC
FIRST             Common     31942D107   10758   498759 SH        DEFINED   1,2,5,6,8,                  498759
CASH              equity
FINANCIAL         shares
SVCS
FIRST             Common     31946M103   14394    72421 SH        DEFINED   1,2,5,6,8,10,                72421
CITIZENS          equity
BANCSH            shares
-CL A
FIRST             Common     31983A103    3864   312362 SH        DEFINED   1,2,5,                      312362
CMNTY             equity
BANCSHARES        shares
INC
FIRST             Common     319829107   24128  3595801 SH        DEFINED   1,2,5,8,                   3595801
COMMONWLTH        equity
FINL CP/PA        shares
FIRST             Common     32006W106    1779   175790 SH        DEFINED   1,2,                        175790
DEFIANCE          equity
FINANCIAL         shares
CP
FIRST             Common     320218100    7239   249963 SH        DEFINED   1,2,5,8,                    249963
FINANCIAL         equity
CORP/IN           shares
FIRST             Common     320239106    4485   297818 SH        DEFINED   1,2,8,                      297818
FINANCIAL         equity
HOLDINGS          shares
INC
FIRST             Common     32022K102    3550   519812 SH        DEFINED   1,2,8,                      519812
FINANCIAL         equity
NORTHWEST         shares
FIRST             Common     32022D108     531    60727 SH        DEFINED   1,2,                         60727
FINANCIAL         equity
SERVICE           shares
CORP
FIRST             Common     320209109   43505  2445461 SH        DEFINED   1,2,5,8,                   2445461
FINL              equity
BANCORP           shares
INC/OH
FIRST             Common     32020R109   24882   482682 SH        DEFINED   1,2,5,6,8,                  482682
FINL              equity
BANKSHARES        shares
INC
FIRST             Common     320517105  115358  8210524 SH        DEFINED   1,2,5,6,8,10,12,13,        8210524
HORIZON           equity
NATIONAL          shares
CORP
FIRST             Real       32054K103   14282  1840431 SH        DEFINED   1,2,3,5,6,8,               1840431
INDL              Estate
REALTY            Investment
TRUST INC         Trust
FIRST             Common     320734106    2995   124267 SH        DEFINED   1,2,                        124267
LONG              equity
ISLAND            shares
CORP
FIRST             Common     320771108    3580  1260404 SH        DEFINED   1,2,5,                     1260404
MARBLEHEAD        equity
CORP              shares
FIRST             Common     320795107      29    28422 SH        DEFINED   1,                           28422
MARINER           equity
BANCORP           shares
FIRST             Common     320817109    2907   417644 SH        DEFINED   1,2,8,                      417644
MERCHANTS         equity
CORP              shares
FIRST             Common     320841109    4305   330402 SH        DEFINED   1,2,                        330402
MERCURY           equity
FINANCIAL         shares
CORP
FIRST             Common     320867104   44920  3315163 SH        DEFINED   1,2,5,8,                   3315163
MIDWEST           equity
BANCORP           shares
INC
FIRST             Common     33582V108   63644  4477198 SH        DEFINED   1,2,5,6,8,10,              4477198
NIAGARA           equity
FINANCIAL         shares
GRP
FIRST             Common     33610T109      85    21354 SH        DEFINED   1,                           21354
PLACE             equity
FINANCIAL         shares
CP/DE
FIRST             Real       33610F109   20232  1346121 SH        DEFINED   1,2,3,8,                   1346121
POTOMAC           Estate
REALTY            Investment
TRUST             Trust
FIRST             Common     336312103      36    16800 SH        DEFINED   1,                           16800
SECURITY          equity
GROUP INC         shares
FIRST             Common     336433107  197636  1611383 SH        DEFINED   1,2,5,6,8,10,12,13,18,     1611383
SOLAR INC         equity
                  shares
FIRST             Common     33646W100    2091   167260 SH        DEFINED   1,2,                        167260
SOUTH             equity
BANCORP           shares
INC/VA
FIRST             Common     336453105       7    11862 SH        DEFINED   1,                           11862
STATE             equity
BANCORPORATION    shares
                  Common     337932107  867074 22181487 SH        DEFINED   1,2,5,6,8,10,12,13,18,    22181487
FIRSTENERGY       equity
CORP              shares
                  Common     337915102   76702  3555948 SH        DEFINED   1,2,5,6,8,                 3555948
FIRSTMERIT        equity
CORP              shares
FISERV INC        Common     337738108  259137  5105151 SH        DEFINED   1,2,5,6,8,10,12,13,18,     5105151
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                          
FISHER            Common         337756209    1824    129388 SH        DEFINED   1,2,6,8,                   126588          2800
COMMUNICATIONS    equity shares
INC
FIVE STAR         Common         33832D106     111     36554 SH        DEFINED   1,                          36554
QUALITY           equity shares
CARE INC
FLAGSTAR          Common         337930101     793   1322444 SH        DEFINED   1,2,                      1322444
BANCORP           equity shares
INC
FLAGSTONE         Common         G3529T105   10150    885649 SH        DEFINED   1,2,8,                     885649
REINSURANCE       equity shares
HLDGS
FLEXSTEEL         Common         339382103     191     14061 SH        DEFINED   1,                          14061
INDUSTRIES        equity shares
INC
                  Common         Y2573F102   57299   7308578 SH        DEFINED   1,2,5,6,8,10,12,13,18,    7308578
FLEXTRONICS       Stock
INTERNATIONAL
FLIR              Common         302445101  137332   4869919 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4869919
SYSTEMS           equity shares
INC
FLOTEK            Common         343389102      32     24951 SH        DEFINED   1,                          24951
INDUSTRIES        equity shares
INC
FLOW INTL         Common         343468104    2385    792354 SH        DEFINED   1,2,                       792354
CORP              equity shares
FLOWERS           Common         343498101   36666   1482070 SH        DEFINED   1,2,5,6,8,10,             1482070
FOODS INC         equity shares
FLOWSERVE         Common         34354P105  202604   1837336 SH        DEFINED   1,2,5,6,8,10,12,13,18,    1837336
CORP              equity shares
FLUOR CORP        Common         343412102  281675   6056231 SH        DEFINED   1,2,5,6,8,10,12,13,18,    6056231
                  equity shares
FLUSHING          Common         343873105    8233    650298 SH        DEFINED   1,2,5,8,                   646698          3600
FINANCIAL         equity shares
CORP
FMC CORP          Common         302491303  151417   2501106 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2501106
                  equity shares
FMC               Common         30249U101  334639   5177769 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5177769
TECHNOLOGIES      equity shares
INC
FOCUS             American       34415V109   27899   1527876 SH        DEFINED   1,2,5,6,                  1527876
MEDIA             Depository
HOLDING           Receipt
LTD -ADR
FOMENTO           American       344419106   29722    625341 SH        DEFINED   1,2,6,18,                  625341
ECONOMICO         Depository
MEXICANO          Receipt
FOOT              Common         344849104   67250   4470229 SH        DEFINED   1,2,5,6,8,10,12,          4470229
LOCKER INC        equity shares
FORCE             Common         345203202   10306   1711961 SH        DEFINED   1,2,5,6,8,                1711961
PROTECTION        equity shares
INC
FORD              Common         345370860 4881307 388314504 SH        DEFINED   1,2,5,6,8,10,12,13,18,  388314504
MOTOR CO          equity shares
FORD              USA: Bond      345370CN    11458   7250000 SH        DEFINED   1,2,                      7250000
MOTOR
COMPANY
FORD MTR          USA:           345395206    5870    126500 SH        DEFINED   2,                         126500
CO CAP TR         Preferred
II                Stock
FORD MTR          A U S issuer   345370CF     2523   1600000 SH        DEFINED   1,2,                      1600000
CO DEL SR         issuing in U S
NT CV             dollars in the
4.25%             U S capital
                  market
FOREST            Common         345550107   24087   1671523 SH        DEFINED   1,2,3,5,6,8,10,12,        1652523            NA
CITY              equity shares
ENTRPRS
-CL A
FOREST            Common         345838106  350040  11164577 SH        DEFINED   1,2,5,6,8,10,12,13,18,   11164577
LABORATORIES      equity shares
-CL A
FOREST            Common         346091705   75282   2915655 SH        DEFINED   1,2,5,6,8,10,18,          2915655
OIL CORP          equity shares
FORESTAR          Common         346233109   14653    776099 SH        DEFINED   1,2,5,6,8,                 776099
GROUP INC         equity shares
                  Common         346375108   18279   1029199 SH        DEFINED   1,2,5,6,8,                1024799          4400
FORMFACTOR        equity shares
INC
FORRESTER         Common         346563109   13912    461540 SH        DEFINED   1,2,5,6,8,                 461540
RESEARCH          equity shares
INC
FORTINET          Common         34959E109    3274    186230 SH        DEFINED   1,2,                       186230
INC               equity shares
FORTRESS          Common         34958B106     243     60800 SH        DEFINED   1,8,                        60800
INVESTMENT        equity shares
GROUP
FORTUNE           Common         349631101  238262   4905491 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4905491
BRANDS INC        equity shares
FORWARD           Common         349853101   16932    642972 SH        DEFINED   1,2,5,6,8,                 642972
AIR CORP          equity shares
FORWARD           Common         349862300      38     12523 SH        DEFINED   1,                          12523
INDUSTRIES        equity shares
INC
FOSSIL INC        Common         349882100   57596   1526114 SH        DEFINED   1,2,5,6,8,                1526114
                  equity shares
FOSTER            Common         350060109    6269    217012 SH        DEFINED   1,2,5,6,8,                 217012
(LB) CO           equity shares
FOSTER            Common         H27178104   28810   1060007 SH        DEFINED   1,2,5,8,10,12,13,18,      1060007
WHEELER AG        equity shares
FOX CHASE         Common         35137P106    1727    159755 SH        DEFINED   1,2,                       159755
BANCORP           equity shares
INC
FPIC              Common         302563101    6818    251491 SH        DEFINED   1,2,8,                     251491
INSURANCE         equity shares
GROUP INC
FPL GROUP         Common         302571104  783518  16204549 SH        DEFINED   1,2,5,6,8,10,12,13,18,   16204549
INC               equity shares
FRANCE            American       35177Q105    1024     42599 SH        DEFINED   1,2,                        42599
TELECOM           Depository
                  Receipt
FRANKLIN          Common         353469109    1388    174767 SH        DEFINED   1,2,                       174767
COVEY CO          equity shares
FRANKLIN          Common         353514102   14224    473190 SH        DEFINED   1,2,5,8,                   473190
ELECTRIC          equity shares
CO INC
FRANKLIN          Common         354613101  610845   5507779 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5506139          1640
RESOURCES         equity shares
INC
FRANKLIN          Real Estate    35471R106   33204   2301038 SH        DEFINED   1,2,3,5,8,                2301038
STREET            Investment
PROPERTIES        Trust
FREDS INC         Common         356108100   10779    899710 SH        DEFINED   1,2,5,8,                   899710
                  equity shares
                  USA:           35671D78     7672     66095 SH        DEFINED   1,2,                        66095
FREEPORT-MCMORAN  Common
C & G             Stock
                  Non- or        35671D85     2000      2400 SH  CALL  DEFINED   18,                          2400
FREEPORT-MCMORAN  limited-voting
COP               common
                  shares
                  Non- or        35671D85     2000      2400 SH  PUT   DEFINED   18,                          2400
FREEPORT-MCMORAN  limited-voting
COP               common
                  shares
                  Common         35671D857 1351695  16190541 SH        DEFINED   1,2,5,6,8,10,12,13,18,   16190541
FREEPORT-MCMORAN  equity shares
COP&GOLD
                  Common         357023100    5695    235715 SH        DEFINED   1,2,5,8,                   235715
FREIGHTCAR        equity shares
AMERICA
INC
FRESENIUS         Right to       35802M11        9     61781 SH        DEFINED   1,                          61781
KABI              purchase or
PHARMA-CVR        put a security
                  Has an
                  expiration
                  date
FRESENIUS         American       358029106     264      4694 SH        DEFINED   1,                           4694
MEDICAL           Depository
CARE AG&CO        Receipt
FRESH DEL         Common         G36738105   18698    923381 SH        DEFINED   1,2,5,8,                   923381
MONTE             equity shares
PRODUCE
INC
FRIEDMAN          Common         358435105      64     11240 SH        DEFINED   1,                          11240
INDUSTRIES        equity shares
INC
FRISCH'S          Common         358748101     818     36995 SH        DEFINED   1,2,                        36995
RESTAURANTS       equity shares
INC
FRONTIER          Common         35906A108   69876   9391894 SH        DEFINED   1,2,5,6,8,10,12,13,       9391894
COMMUNICATIONS    equity shares
CORP







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                          
FRONTIER          Common         35914P105   49242   3647553 SH        DEFINED   1,2,5,6,8,10,18,          3647553
OIL CORP          equity shares
FRONTLINE         Common         G3682E127   13032    425412 SH        DEFINED   1,2,5,8,10,                425412
LTD               equity shares
FSI INTL          Common         302633102     187     48279 SH        DEFINED   1,                          48279
INC               equity shares
FTI               Common         302941109   39858   1013684 SH        DEFINED   1,2,5,6,8,10,18,          1013684
CONSULTING        equity shares
INC
FUEL              Common         35952W103    8363    261678 SH        DEFINED   1,2,5,6,8,                 261678
SYSTEMS           Stock
SOLUTIONS
INC
FUEL TECH         Common         359523107    2647    330098 SH        DEFINED   1,2,5,6,                   330098
INC               equity shares
FUELCELL          Common         35952H106    4086   1449088 SH        DEFINED   1,2,5,6,8,                1449088
ENERGY INC        equity shares
FULLER            Common         359694106   29222   1259046 SH        DEFINED   1,2,5,8,                  1259046
(H. B.) CO        equity shares
FULTON            Common         360271100   64732   6352538 SH        DEFINED   1,2,5,6,8,10,             6352538
FINANCIAL         equity shares
CORP
FUQI              Common         36102A207    2499    229241 SH        DEFINED   1,2,6,8,                   229241
INTERNATIONAL     Stock
INC
FURMANITE         Common         361086101    3539    681874 SH        DEFINED   1,2,6,                     666374         15500
CORP              equity shares
FURNITURE         Common         360921100    5920    920692 SH        DEFINED   1,2,5,                     920692
BRANDS            equity shares
INTL INC
FUSHI             Common         36113E107    3647    325040 SH        DEFINED   1,2,6,                     325040
COPPERWELD        equity shares
INC
FX ENERGY         Common         302695101    2656    774328 SH        DEFINED   1,2,5,                     774328
INC               equity shares
G&K               Common         361268105   11406    440726 SH        DEFINED   1,2,5,8,                   440726
SERVICES          equity shares
INC -CL A
G-III             Common         36237H101    7912    287080 SH        DEFINED   1,2,8,                     287080
APPAREL           equity shares
GROUP LTD
GAFISA SA         American       362607301     261     18975 SH        DEFINED   6,10,                       18975
                  Depository
                  Receipt
GAIAM INC         Common         36268Q103    2755    331973 SH        DEFINED   1,2,6,                     331973
                  equity shares
GAMCO             Common         361438104    6085    133747 SH        DEFINED   1,2,5,6,8,                 133747
INVESTORS         equity shares
INC
GAMESTOP          Common         36467W109  135688   6192971 SH        DEFINED   1,2,5,6,8,10,12,13,18,    6192971
CORP              equity shares
GANNETT CO        Common         364730101  133063   8054171 SH        DEFINED   1,2,5,6,8,10,12,13,18,    8054171
                  equity shares
GAP INC           Common         364760108  447944  19381506 SH        DEFINED   1,2,5,6,8,10,12,13,18,   19373606          7900
                  equity shares
GARDNER           Common         365558105   32278    732919 SH        DEFINED   1,2,5,6,8,10,              727569          5350
DENVER INC        equity shares
GARMIN LTD        Common         G37260109   87593   2276320 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2276320
                  equity shares
GARTNER           Common         366651107   44011   1978903 SH        DEFINED   1,2,5,6,8,                1978903
INC               equity shares
GASCO             Common         367220100      38    119485 SH        DEFINED   1,2,                       119485
ENERGY INC        equity shares
GASTAR            Common         367299203     196     40285 SH        DEFINED   1,2,                        40285
EXPLORATION       equity shares
LTD
GATX CORP         Common         361448103   27999    977274 SH        DEFINED   1,2,5,6,8,10,              977274
                  equity shares
GAYLORD           Common         367905106   24871    849126 SH        DEFINED   1,2,5,8,                   849126
ENTERTAINMENT     equity shares
CO
GEEKNET           Common         36846Q104      63     42143 SH        DEFINED   1,                          42143
INC               equity shares
GEN-PROBE         Common         36866T103   50465   1009307 SH        DEFINED   1,2,5,6,8,10,             1009307
INC               equity shares
GENCO             Common         Y2685T107   11910    564198 SH        DEFINED   1,2,5,6,8,                 564198
SHIPPING &        equity shares
TRADING
GENCORP           Common         368682100    8072   1401327 SH        DEFINED   1,2,6,8,                  1401327
INC               equity shares
GENERAC           Common         368736104    3722    265652 SH        DEFINED   1,2,                       265652
HOLDINGS          equity shares
INC
GENERAL           Common         369300108   16601    614841 SH        DEFINED   1,2,5,6,8,10,              614841
CABLE             equity shares
CORP/DE
GENERAL           Common         369385109    6461   1119811 SH        DEFINED   1,2,5,6,8,                1119811
COMMUNICATION     equity shares
-CL A
GENERAL           Common         369550108  973731  12613095 SH        DEFINED   1,2,5,6,8,10,12,13,18,   12613095
DYNAMICS          equity shares
CORP
GENERAL           Common         369604103 6642260 364944340 SH        DEFINED   1,2,5,6,8,10,12,13,18,  364944340
ELECTRIC          equity shares
CO
GENERAL           REIT           370021107    2480    154123 SH        DEFINED   1,8,                       154123
GROWTH
PPTYS INC
GENERAL           Non- or        Y2693R101    6969    969204 SH        DEFINED   1,2,5,8,                   969204
MARITIME          limited-voting
CORP              common
                  shares
GENERAL           Common         370334104 1389513  19628668 SH        DEFINED   1,2,5,6,8,10,12,13,18,   19628668
MILLS INC         equity shares
GENERAL           Common         370373102    3884   1169933 SH        DEFINED   1,2,6,                    1169933
MOLY INC          equity shares
GENERAL           Common         370853103    1105    268876 SH        DEFINED   1,2,                       268876
STEEL             equity shares
HOLDINGS
INC
GENESCO           Common         371532102   16193    522174 SH        DEFINED   1,2,5,8,                   515394          6780
INC               equity shares
GENESEE &         Common         371559105   26517    777159 SH        DEFINED   1,2,5,6,8,                 777159
WYOMING           equity shares
INC -CL A
GENOMIC           Common         37244C101    4933    280470 SH        DEFINED   1,2,5,6,8,                 280470
HEALTH INC        equity shares
GENOPTIX          Common         37243V100   13191    371672 SH        DEFINED   1,2,5,6,8,                 371672
INC               Stock
GENPACT           Common         G3922B107   10314    614944 SH        DEFINED   1,2,5,6,8,10,              614944
LTD               equity shares
GENTEX            Common         371901109   57430   2952174 SH        DEFINED   1,2,5,6,8,10,12,          2952174
CORP              equity shares
GENTIVA           Common         37247A102   18414    651135 SH        DEFINED   1,2,5,6,8,                 651135
HEALTH            equity shares
SERVICES
INC
GENUINE           Common         372460105  218000   5160979 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5160979
PARTS CO          equity shares
GENVEC INC        Common         37246C109      82    104533 SH        DEFINED   1,2,                       104533
                  equity shares
GENWORTH          Common         37247D106  328592  17919284 SH        DEFINED   1,2,5,6,8,10,12,13,18,   17919284
FINANCIAL         equity shares
INC
GENZYME           Common         372917104  473634   9137904 SH        DEFINED   1,2,5,6,8,10,12,13,18,    9137904
CORP              equity shares
GEO GROUP         Common         36159R103   21649   1092278 SH        DEFINED   1,2,5,6,8,                1092278
INC               equity shares
GEOEYE INC        Common         37250W108   10729    363710 SH        DEFINED   1,2,6,8,                   363710
                  Stock
                  Common         372910307    1311    181822 SH        DEFINED   1,2,                       181822
GEOKINETICS       equity shares
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
GEOMET INC        Common         37250U201      22    24400 SH        DEFINED   1,                         24400
                  equity shares
                  Common         372476101    2241   146749 SH        DEFINED   1,2,5,                    146749
GEORESOURCES      equity shares
INC
GERBER            Common         373730100     363    58482 SH        DEFINED   1,                         58482
SCIENTIFIC        equity shares
INC
GERDAU SA         American       373737105   16110   988325 SH        DEFINED   1,2,5,6,8,10,18,          988325
                  Depository
                  Receipt
GERMAN            Common         373865104    3273   216309 SH        DEFINED   1,2,                      216309
AMERICAN          equity shares
BANCORP
INC
GERON CORP        Common         374163103   10034  1766596 SH        DEFINED   1,2,5,6,8,               1766596
                  equity shares
GETTY             Real Estate    374297109   11636   497246 SH        DEFINED   1,2,3,5,8,                497246
REALTY            Investment
CORP              Trust
GFI GROUP         Common         361652209    8568  1474527 SH        DEFINED   1,2,5,6,8,               1474527
INC               equity shares
GIANT             American       374511103     789   103754 SH        DEFINED   1,2,6,                    103754
INTERACTIVE       Depository
GROUP -ADR        Receipt
GIBRALTAR         Common         374689107    8286   652126 SH        DEFINED   1,2,5,8,                  652126
INDUSTRIES        equity shares
INC
GIGAMEDIA         Common         Y2711Y104      43    13334 SH        DEFINED   1,5,6,                     13334
LTD               equity shares
GILAT             Common         M51474118      71    12550 SH        DEFINED   1,                         12550
SATELLITE         equity shares
NETWORKS
LTD
GILEAD            Common         375558103 1444450 31768879 SH        DEFINED   1,2,5,6,8,10,12,13,18,  31768879
SCIENCES          equity shares
INC
GILEAD            Non- or        375558AG     1995  1650000 SH        DEFINED   1,2,                     1650000
SCIENCES          limited-voting
INC               common
                  shares
GILEAD            A U S issuer   375558AH     2467  1950000 SH        DEFINED   1,2,                     1950000
SCIENCES          issuing in U S
INC               dollars in the
                  U S capital
                  market
GIVEN             Common         M52020100     609    25782 SH        DEFINED   1,2,                       25782
IMAGING           equity shares
GLACIER           Common         37637Q105   38598  2534370 SH        DEFINED   1,2,5,8,                 2534370
BANCORP           equity shares
INC
GLADSTONE         Common         376535100    5015   425041 SH        DEFINED   1,2,8,                    425041
CAPITAL           equity shares
CORP.
GLADSTONE         REIT           376536108    2467   170721 SH        DEFINED   1,2,3,5,                  170721
COMMERCIAL
CORP
GLADSTONE         Common         376546107    2355   393791 SH        DEFINED   1,2,                      393791
INVESTMENT        equity shares
CORP.
GLATFELTER        Common         377316104   18108  1249051 SH        DEFINED   1,2,5,8,                 1244251            4800
                  equity shares
                  American       37733W105  576904 14977115 SH        DEFINED   1,2,                    14687394          289721
GLAXOSMITHKLINE   Depository
PLC               Receipt
GLG               Common         37929X107    6179  2012646 SH        DEFINED   1,2,6,8,10,              2012646
PARTNERS          equity shares
INC
GLIMCHER          Real Estate    379302102    7062  1392826 SH        DEFINED   1,2,3,8,                 1392826
REALTY            Investment
TRUST             Trust
GLOBAL            Common         378967103   10722  1312341 SH        DEFINED   1,2,5,6,8,               1312341
CASH              equity shares
ACCESS
HOLDINGS
GLOBAL            Common         G3921A175   10645   702658 SH        DEFINED   1,2,5,6,8,                702658
CROSSING          equity shares
LTD
GLOBAL            Common         37950B107    1135    84732 SH        DEFINED   1,2,                       84732
DEFNSE            equity shares
TCH & SYS
INC
GLOBAL            Common         379336100   14561  2267994 SH        DEFINED   1,2,5,6,8,               2267994
INDUSTRIES        equity shares
LTD
GLOBAL            Common         37940X102   87076  1911648 SH        DEFINED   1,2,5,6,8,10,            1911648
PAYMENTS          equity shares
INC
GLOBAL            Common         G39300101    1763   270843 SH        DEFINED   1,2,                      270843
SOURCES           equity shares
LTD
                  Common         378973408     123    90114 SH        DEFINED   1,                         90114
GLOBALSTAR        equity shares
INC
GLOBE             Common         37954N206     131    11700 SH        DEFINED   1,8,                       11700
SPECIALTY         equity shares
METALS INC
GLOBECOMM         Common         37956X103    3194   415343 SH        DEFINED   1,2,                      415343
SYSTEMS           equity shares
INC
GMX               Common         38011M108    5475   666636 SH        DEFINED   1,2,5,6,8,                666636
RESOURCES         Stock
INC
GOL               American       38045R107     278    22398 SH        DEFINED   1,6,10,                    22398
LINHAS            Depository
AEREAS            Receipt
INTELIGENT
GOLAR LNG         Common         G9456A100    7087   605729 SH        DEFINED   1,2,                      605729
LTD               Stock
GOLD              American       38059T106   97870  7755159 SH        DEFINED   1,5,6,                   7755159
FIELDS LTD        Depository
                  Receipt
GOLDMAN           Common         38141G104 3223110 18896339 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18896339
SACHS             equity shares
GROUP INC
GOODRICH          Common         382388106  302703  4292157 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4292157
CORP              equity shares
GOODRICH          Common         382410405    9132   582885 SH        DEFINED   1,2,5,6,8,                582885
PETROLEUM         equity shares
CORP
GOODYEAR          Common         382550101   95341  7542767 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7542767
TIRE &            equity shares
RUBBER CO
GOOGLE INC        Common         38259P508 4545726  8018476 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8018476
                  equity shares
                  Common         383082104    6843   268974 SH        DEFINED   1,2,5,8,                  268974
GORMAN-RUPP       equity shares
CO
                  Real Estate    38376A103    8948   344016 SH        DEFINED   1,2,3,8,                  344016
GOVERNMENT        Investment
PPTYS             Trust
INCOME TR
GP                Common         36225V104    2861   342186 SH        DEFINED   1,2,                      342186
STRATEGIES        equity shares
CORP
GRACE (W          Common         38388F108   45609  1642971 SH        DEFINED   1,2,5,6,8,               1642971
R) & CO           equity shares
GRACO INC         Common         384109104   37402  1168828 SH        DEFINED   1,2,5,6,8,10,            1168828
                  equity shares
GRAFTECH          Common         384313102   40820  2986073 SH        DEFINED   1,2,5,6,8,               2986073
INTERNATIONAL     equity shares
LTD
GRAHAM            Common         384556106    4071   226284 SH        DEFINED   1,2,                      226284
CORP              equity shares
GRAHAM            Common         384701108    2429   193526 SH        DEFINED   1,2,                      193526
PACKAGING         equity shares
CO INC
GRAINGER          Common         384802104  229666  2124070 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2124070
(W W) INC         equity shares
GRAMERCY          Real Estate    384871109    2555   915789 SH        DEFINED   1,2,6,                    915789
CAPITAL           Investment
CORP              Trust
GRAN              Common         38500T101   22054  3737965 SH        DEFINED   1,2,5,6,                 3737965
TIERRA            equity shares
ENERGY INC
GRAND             Common         38526M106    7928   303413 SH        DEFINED   1,2,5,6,8,                303413
CANYON            Stock
EDUCATION
INC
GRANITE           Common         387328107   32528  1076367 SH        DEFINED   1,2,5,6,8,               1076367
CONSTRUCTION      equity shares
INC
GRAPHIC           Common         388689101    8776  2431016 SH        DEFINED   1,2,5,6,8,               2431016
PACKAGING         equity shares
HOLDING CO
GRAY              Common         389375106      83    35908 SH        DEFINED   1,                         35908
TELEVISION        equity shares
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                     
GREAT             Common     390064103    5609   731341 SH        DEFINED   1,2,5,6,8,                731341
ATLANTIC          equity
& PAC TEA         shares
CO
GREAT             Common     390607109    4910   935223 SH        DEFINED   1,2,6,8,                  893523          41700
LAKES             Stock
DREDGE &
DOCK CP
GREAT             Common     391164100   49665  2674492 SH        DEFINED   1,2,5,6,8,10,            2674492
PLAINS            equity
ENERGY INC        shares
GREAT             Common     390905107    4773   212720 SH        DEFINED   1,2,                      212720
SOUTHERN          equity
BANCORP           shares
GREAT             Common     391523107    1855   583476 SH        DEFINED   1,2,                      583476
WOLF              equity
RESORTS           shares
INC
                  Common     39153L106   10068   475127 SH        DEFINED   1,2,5,6,8,                475127
GREATBATCH        equity
INC               shares
GREEN             Common     394361208     243    29745 SH        DEFINED   1,                         29745
BANKSHARES        equity
INC               shares
GREEN MTN         Common     393122106   72263   746362 SH        DEFINED   1,2,5,6,8,10,             746362
COFFEE            equity
ROASTERS          shares
GREEN             Common     393222104    2294   160787 SH        DEFINED   1,2,                      160787
PLAINS            Stock
RENEWABLE
ENRGY
                  Common     393657101    3723   338130 SH        DEFINED   1,2,                      338130
GREENBRIER        equity
COMPANIES         shares
INC
                  Common     395259104   35262   429225 SH        DEFINED   1,2,5,6,8,10,             429225
GREENHILL &       equity
CO INC            shares
                  Common     G4095J109   16787   629192 SH        DEFINED   1,2,6,8,                  629192
GREENLIGHT        equity
CAPITAL           shares
RE LTD
GREIF INC         Common     397624107   37409   681163 SH        DEFINED   1,2,5,6,8,10,             681163
-CL A             equity
                  shares
GRIFFIN           Common     398231100    1592    54790 SH        DEFINED   1,2,                       54790
LAND &            equity
NURSERIES         shares
INC
GRIFFON           Common     398433102   12278   985386 SH        DEFINED   1,2,5,8,                  985386
CORP              equity
                  shares
GROUP 1           Common     398905109   32887  1032220 SH        DEFINED   1,2,5,8,                 1032220
AUTOMOTIVE        equity
INC               shares
GRUBB &           Common     400095204      90    40981 SH        DEFINED   1,                         40981
ELLIS CO          equity
                  shares
GRUPO             American   400506101    1205    32539 SH        DEFINED   1,6,                       32539
AEROPORTUARIO     Depository
DEL PACI          Receipt
GRUPO             American   40051E202     288     5558 SH        DEFINED   1,                          5558
AEROPORTUARIO     Depository
SURESTE           Receipt
GRUPO             American   40049J206   73968  3519323 SH        DEFINED   1,2,4,5,6,18,            3519323
TELEVISA          Depository
SAB               Receipt
GSE               Common     36227K106    1587   293398 SH        DEFINED   1,2,                      293398
SYSTEMS           equity
INC               shares
GSI               Common     36238G102   17789   642871 SH        DEFINED   1,2,5,6,8,                642871
COMMERCE          equity
INC               shares
GSI               Common     36241U106    1451   311367 SH        DEFINED   1,2,                      311367
TECHNOLOGY        equity
INC               shares
GT SOLAR          Common     3623E0209    3410   651995 SH        DEFINED   1,2,5,6,8,                651995
INTL INC          equity
                  shares
GTX INC           Common     40052B108    1174   351417 SH        DEFINED   1,2,5,6,                  351417
                  equity
                  shares
GUARANTY          Common     40075T102    1592  1001178 SH        DEFINED   1,2,                     1001178
BANCORP           equity
                  shares
GUESS INC         Common     401617105   74154  1578412 SH        DEFINED   1,2,5,6,8,10,            1578412
                  equity
                  shares
GUIDANCE          Common     401692108     177    30154 SH        DEFINED   1,                         30154
SOFTWARE          equity
INC               shares
GULF              Common     402307102    6176   283950 SH        DEFINED   1,2,5,8,                  283950
ISLAND            equity
FABRICATION       shares
INC
GULFMARK          Common     402629208   12056   454091 SH        DEFINED   1,2,5,8,                  454091
OFFSHORE          equity
INC               shares
GULFPORT          Common     402635304    5943   528730 SH        DEFINED   1,2,5,6,8,                528730
ENERGY            equity
CORP              shares
GYMBOREE          Common     403777105   51130   990312 SH        DEFINED   1,2,5,6,8,                990312
CORP              equity
                  shares
H&E               Common     404030108    7548   700196 SH        DEFINED   1,2,5,                    700196
EQUIPMENT         equity
SERVICES          shares
INC
HACKETT           Common     404609109    1972   709470 SH        DEFINED   1,2,5,                    709470
GROUP INC         equity
                  shares
                  Common     405024100   34978   612038 SH        DEFINED   1,2,5,6,8,                612038
HAEMONETICS       equity
CORP              shares
HAIN              Common     405217100   15986   921398 SH        DEFINED   1,2,5,8,                  921398
CELESTIAL         equity
GROUP INC         shares
                  Common     406216101 1027740 34110197 SH        DEFINED   1,2,5,6,8,10,12,13,18,  34110197
HALLIBURTON       equity
CO                shares
HALLMARK          Common     40624Q203    1467   163043 SH        DEFINED   1,2,                      163043
FINANCIAL         equity
SERVICES          shares
HALOZYME          Common     40637H109   10141  1269192 SH        DEFINED   1,2,5,6,8,               1269192
THERAPEUTICS      equity
INC               shares
HAMPTON           Common     409321106     469   300854 SH        DEFINED   1,2,                      300854
ROADS             equity
BANKSHARES        shares
INC
HANCOCK           Common     410120109   42132  1007702 SH        DEFINED   1,2,5,8,                 1007702
HOLDING CO        equity
                  shares
                  Common     410345102   64683  2325054 SH        DEFINED   1,2,5,6,8,10,            2325054
HANESBRANDS       equity
INC               shares
HANGER            Common     41043F208   11038   607143 SH        DEFINED   1,2,5,6,8,                607143
ORTHOPEDIC        equity
GROUP INC         shares
HANMI             Common     410495105     458   191033 SH        DEFINED   1,                        191033
FINANCIAL         equity
CORP              shares
HANOVER           Common     410867105   43981  1008511 SH        DEFINED   1,2,5,6,8,10,            1001111           7400
INSURANCE         equity
GROUP INC         shares
HANSEN            Common     411307101    1100   480231 SH        DEFINED   1,2,6,                    480231
MEDICAL           equity
INC               shares
HANSEN            Common     411310105   79893  1840694 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1840694
NATURAL           equity
CORP              shares
HARBIN            Common     41145W109    6125   283680 SH        DEFINED   1,2,6,8,                  283680
ELECTRIC          Stock
INC
HARBINGER         Common     41146A106     895   132146 SH        DEFINED   1,2,                      132146
GROUP INC         equity
                  shares
HARBOR            Common     41150V103      12    23507 SH        DEFINED   1,                         23507
BIOSCIENCES       Stock
INC
                  Common     412822108  212359  7565329 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7565329
HARLEY-DAVIDSON   equity
INC               shares
                  Common     412824104   11267   333745 SH        DEFINED   1,2,5,8,                  333745
HARLEYSVILLE      equity
GROUP INC         shares
                  Common     412850109    6207   926409 SH        DEFINED   1,2,5,6,8,                918209           8200
HARLEYSVILLE      equity
NATL              shares
CORP/PA
HARMAN            Common     413086109   95801  2048782 SH        DEFINED   1,2,5,6,8,10,12,13,      2048782
INTERNATIONAL     equity
INDS              shares
HARMONIC          Common     413160102   14312  2268197 SH        DEFINED   1,2,5,6,8,               2268197
INC               equity
                  shares
HARMONY           American   413216300     278    29334 SH        DEFINED   1,6,                       29334
GOLD              Depository
MINING CO         Receipt
LTD
HARRIS &          Common     413833104    2388   518035 SH        DEFINED   1,2,                      518035
HARRIS            equity
GROUP             shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                          
HARRIS            Common         413875105 234170  4930164 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4930164
CORP              equity shares
HARRIS            Common         414549105     31    25664 SH        DEFINED   1,                           25664
INTERACTIVE       equity shares
INC
HARRIS            Non- or        41456720     206     8331 SH        DEFINED   2,                            8331
PREFERRED         limited-voting
CAPITAL           common
CORP              shares
PREFERRED
HARSCO            Common         415864107  76554  2396807 SH        DEFINED   1,2,5,6,8,10,12,13,18,     2396807
CORP              equity shares
HARTE             Common         416196103  15371  1195252 SH        DEFINED   1,2,5,6,8,                 1195252
HANKS INC         equity shares
HARTFORD          Common         416515104 658539 23171549 SH        DEFINED   1,2,5,6,8,10,12,13,18,    23171549
FINANCIAL         equity shares
SERVICES
HARVARD           Common         416906105   1771   457737 SH        DEFINED   1,2,                        457737
BIOSCIENCE        equity shares
INC
HARVEST           Common         41754V103   4910   652025 SH        DEFINED   1,2,                        652025
NATURAL           equity shares
RESOURCES
HASBRO INC        Common         418056107 155801  4070039 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4070039
                  equity shares
HATTERAS          Common         41902R103  20409   791979 SH        DEFINED   1,2,5,8,                    791979
FINANCIAL         equity shares
CORP
HAVERTY           Common         419596101   6603   404584 SH        DEFINED   1,2,8,                      404584
FURNITURE         equity shares
HAWAIIAN          Common         419870100  44848  1997687 SH        DEFINED   1,2,5,6,8,10,              1997687
ELECTRIC          equity shares
INDS
HAWAIIAN          Common         419879101  12276  1665680 SH        DEFINED   1,2,6,                     1665680
HOLDINGS          equity shares
INC
HAWK CORP         Common         420089104   1770    90779 SH        DEFINED   1,2,                         90779
                  equity shares
HAWKINS           Common         420261109   3784   156351 SH        DEFINED   1,2,                        156351
INC               Stock
HAYNES            Common         420877201   8401   236447 SH        DEFINED   1,2,5,6,8,                  236447
INTERNATIONAL     equity shares
INC
HCC               Common         404132102  62073  2249018 SH        DEFINED   1,2,5,6,8,10,              2249018
INSURANCE         equity shares
HOLDINGS
INC
HCP INC           Real Estate    40414L109 452720 13718787 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,  13677437            NA
                  Investment
                  Trust
HDFC BANK         American       40415F101  30684   220134 SH        DEFINED   1,2,4,5,6,8,                220134
LTD               Depository
                  Receipt
                  Common         42210P102   6625  1443396 SH        DEFINED   1,2,5,6,8,                 1443396
HEADWATERS        equity shares
INC
HEALTH            Real Estate    42217K106 253852  5612477 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   5595127            NA
CARE REIT         Investment
INC               Trust
HEALTH            Common         42218Q102   2332   366627 SH        DEFINED   1,2,5,                      366627
GRADES INC        equity shares
HEALTH            Common         421933102  49892  5796557 SH        DEFINED   1,2,5,6,8,10,18,           5796557
MANAGEMENT        equity shares
ASSOC
HEALTH            Common         42222G108  52969  2131449 SH        DEFINED   1,2,5,6,8,10,18,           2131449
NET INC           equity shares
                  Real Estate    421946104  51466  2209782 SH        DEFINED   1,2,3,5,8,                 2209782
HEALTHCARE        Investment
REALTY            Trust
TRUST INC
                  Common         421906108  18966   847078 SH        DEFINED   1,2,5,6,8,                  847078
HEALTHCARE        equity shares
SERVICES
GROUP
                  Common         421924309  40506  2163787 SH        DEFINED   1,2,5,6,8,                 2163787
HEALTHSOUTH       equity shares
CORP
                  Common         42224N101  23910  1358502 SH        DEFINED   1,2,5,8,                   1358502
HEALTHSPRING      equity shares
INC
                  Common         42222L107    134    37393 SH        DEFINED   1,                           37393
HEALTHTRONICS     equity shares
INC
                  Common         422245100  12700   790262 SH        DEFINED   1,2,5,6,8,                  790262
HEALTHWAYS        equity shares
INC
HEARTLAND         Common         422347104  23694  1436007 SH        DEFINED   1,2,5,6,8,                 1436007
EXPRESS           equity shares
INC
HEARTLAND         Common         42234Q102   4006   250838 SH        DEFINED   1,2,5,8,                    250838
FINANCIAL         equity shares
USA INC
HEARTLAND         Common         42235N108  15640   840867 SH        DEFINED   1,2,5,6,8,                  840867
PAYMENT           equity shares
SYSTEMS
HEARTWARE         Common         422368100   5426   122012 SH        DEFINED   1,2,                        122012
INTERNATIONAL     equity shares
INC
HECKMANN          Common         422680108   9683  1669424 SH        DEFINED   1,2,5,8,                   1669424
CORP              Stock
HECLA             Common         422704106  64677 11823996 SH        DEFINED   1,2,5,6,8,                11823996
MINING CO         equity shares
HEELYS INC        Common         42279M107     41    17300 SH        DEFINED   1,                           17300
                  Stock
HEICO CORP        Common         422806109  21595   418831 SH        DEFINED   1,2,5,6,                    418831
                  equity shares
HEICO             Common         422806208   1372    34576 SH        DEFINED   1,2,5,6,8,                   34576
CORP NEW          equity shares
                  Common         422819102  10691   381417 SH        DEFINED   1,2,5,6,8,                  381417
HEIDRICK &        equity shares
STRUGGLES
INTL
HEINZ (H          Common         423074103 483798 10606835 SH        DEFINED   1,2,5,6,8,10,12,13,18,    10606835
J) CO             equity shares
HELEN OF          Common         G4388N106  17339   665331 SH        DEFINED   1,2,5,8,                    665331
TROY LTD          equity shares
HELICOS           Common         42326R109     10    13100 SH        DEFINED   1,                           13100
BIOSCIENCES       equity shares
CORP
HELIX             Common         42330P107  28853  2214368 SH        DEFINED   1,2,5,6,8,10,              2214368
ENERGY            equity shares
SOLUTIONS
GROUP
                  Common         423452101 158778  4169585 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4169585
HELMERICH &       equity shares
PAYNE
                  Common         42366C103   1560  2107851 SH        DEFINED   1,2,                       2107851
HEMISPHERX        equity shares
BIOPHARMA
INC
HENRY             Common         426281101  63134  2624004 SH        DEFINED   1,2,5,6,8,                 2624004
(JACK) &          equity shares
ASSOCIATES
HERBALIFE         Common         G4412G101  35275   764652 SH        DEFINED   1,2,5,6,8,10,               764652
LTD               equity shares
HERCULES          Common         427093109  14074  3265403 SH        DEFINED   1,2,5,6,8,                 3265403
OFFSHORE          equity shares
INC
HERCULES          Common         427096508   8966   846661 SH        DEFINED   1,2,8,                      846661
TECH              equity shares
GROWTH
CAP INC
HERITAGE          Common         426927109     83    19901 SH        DEFINED   1,                           19901
COMMERCE          equity shares
CORP
HERITAGE          Common         42722X106   2259   149676 SH        DEFINED   1,2,                        149676
FINANCIAL         equity shares
CORP
HERITAGE          Common         42725U109    219    18154 SH        DEFINED   1,2,                         18154
FINANCIAL         equity shares
GROUP
                  Common         42726M106    324    28673 SH        DEFINED   1,                           28673
HERITAGE-CRYSTAL  equity shares
CLEAN INC
HERLEY            Common         427398102   3807   259710 SH        DEFINED   1,2,                        259710
INDUSTRIES        equity shares
INC/DE
HERSHA            Real Estate    427825104  17833  3442648 SH        DEFINED   1,2,3,5,8,                 3442648
HOSPITALITY       Investment
TRUST             Trust
HERSHEY CO        Common         427866108 232799  5437966 SH        DEFINED   1,2,5,6,8,10,12,13,18,     5437966
                  equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER              CLASS      CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            ---------- --------- ------- --------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                        
HERTZ             Common     42805T105   22148   2217003 SH        DEFINED   1,2,5,6,8,10,               2217003
GLOBAL            equity
HOLDINGS          shares
INC
HESS CORP         Common     42809H107  702446  11230155 SH        DEFINED   1,2,5,6,8,10,12,13,18,     11230155
                  equity
                  shares
HEWITT            Common     42822Q100   69263   1741152 SH        DEFINED   1,2,5,6,8,10,               1741152
ASSOCIATES        equity
INC               shares
                  Common     428236103 5691185 108167390 SH        DEFINED   1,2,5,6,8,10,12,13,18,    108167390
HEWLETT-PACKARD   equity
CO                shares
HEXCEL            Common     428291108   27229   1885641 SH        DEFINED   1,2,5,6,8,                  1885641
CORP              equity
                  shares
HFF INC           Common     40418F108      90     12100 SH        DEFINED   1,                            12100
                  equity
                  shares
HHGREGG           Common     42833L108    6319    250364 SH        DEFINED   1,2,6,8,                     250364
INC               equity
                  shares
HI TECH           Common     42840B101    4334    195753 SH        DEFINED   1,2,                         195753
PHARMACAL         equity
CO INC            shares
HIBBETT           Common     428567101   14905    582701 SH        DEFINED   1,2,5,6,8,                   582701
SPORTS INC        equity
                  shares
HICKORY           Common     429060106    2048    231897 SH        DEFINED   1,2,                         231897
TECH CORP         equity
                  shares
HIGHWOODS         Real       431284108   98694   3110421 SH        DEFINED   1,2,3,5,6,8,                3100371            NA
PROPERTIES        Estate
INC               Investment
                  Trust
HILL              Common     431466101    2669    457861 SH        DEFINED   1,2,5,6,                     457861
INTERNATIONAL     equity
INC               shares
HILL-ROM          Common     431475102   43596   1600144 SH        DEFINED   1,2,5,6,8,10,               1600144
HOLDINGS          equity
INC               shares
                  Common     431571108   20563    935085 SH        DEFINED   1,2,5,6,8,10,                935085
HILLENBRAND       equity
INC               shares
HILLTOP           Common     432748101    9939    845871 SH        DEFINED   1,2,3,5,6,8,                 845871
HOLDINGS          equity
INC               shares
HIMAX             American   43289P106     558    178257 SH        DEFINED   1,2,                         178257
TECHNOLOGIES      Depository
INC               Receipt
HITACHI           American   433578507     312      8396 SH        DEFINED   1,                             8396
LTD               Depository
                  Receipt
HITTITE           Common     43365Y104   18960    431210 SH        DEFINED   1,2,5,6,8,                   431210
MICROWAVE         equity
CORP              shares
HMS               Common     40425J101   29448    577269 SH        DEFINED   1,2,5,6,8,                   577269
HOLDINGS          equity
CORP              shares
HNI CORP          Common     404251100   38567   1448252 SH        DEFINED   1,2,5,6,8,                  1448252
                  equity
                  shares
HOKU CORP         Common     434711107      43     16600 SH        DEFINED   1,                            16600
                  equity
                  shares
HOLLY CORP        Common     435758305   35335   1266795 SH        DEFINED   1,2,5,6,8,10,               1266795
                  equity
                  shares
HOLLYWOOD         Common     436233100      18     15519 SH        DEFINED   1,                            15519
MEDIA CORP        equity
                  shares
HOLOGIC           Common     436440101  126110   6802494 SH        DEFINED   1,2,5,6,8,10,12,13,18,      6802494
INC               equity
                  shares
HOLOGIC           A U S      436440AA     4297   4750000 SH        DEFINED   1,2,                        4750000
INC               issuer
                  issuing in
                  U S
                  dollars in
                  the U S
                  capital
                  market
HOME              Common     43689E107    2102    150127 SH        DEFINED   1,2,                         150127
BANCORP           equity
INC               shares
HOME              Common     436893200   11202    423667 SH        DEFINED   1,2,5,6,8,                   423667
BANCSHARES        equity
INC               shares
HOME              Common     437076102 2033189  62836891 SH        DEFINED   1,2,5,6,8,10,12,13,18,     62836891
DEPOT INC         equity
                  shares
HOME              Common     43710G105    4841    333642 SH        DEFINED   1,2,5,                       333642
FEDERAL           equity
BANCORP           shares
INC
HOME              American   43713W107    1346     41120 SH        DEFINED   1,2,6,                        41120
INNS &            Depository
HOTELS            Receipt
MNGT -ADR
HOME              Real       437306103   59106   1262305 SH        DEFINED   1,2,3,5,8,                  1257355            NA
PROPERTIES        Estate
INC               Investment
                  Trust
HONDA             American   438128308    1376     38989 SH        DEFINED   1,2,                          38989
MOTOR CO          Depository
LTD               Receipt
HONEYWELL         Common     438516106 3527990  77927325 SH        DEFINED   1,2,5,6,8,10,12,13,18,     77927325
INTERNATIONAL     equity
INC               shares
HOOKER            Common     439038100    3885    241605 SH        DEFINED   1,2,                         241605
FURNITURE         equity
CORP              shares
HOOPER            Common     439104100      60     68456 SH        DEFINED   1,                            68456
HOLMES INC        equity
                  shares
HORACE            Common     440327104   19812   1313842 SH        DEFINED   1,2,5,6,8,                  1313842
MANN              equity
EDUCATORS         shares
CORP
HORIZON           Common     44044K101    3257    598683 SH        DEFINED   1,2,5,                       598683
LINES INC         equity
                  shares
HORMEL            Common     440452100  128993   3070534 SH        DEFINED   1,2,5,6,8,10,12,13,18,      3070534
FOODS CORP        equity
                  shares
HORNBECK          Common     440543106    8885    478484 SH        DEFINED   1,2,5,6,8,                   478484
OFFSHORE          equity
SVCS INC          shares
HORSEHEAD         Common     440694305    9914    837352 SH        DEFINED   1,2,6,8,                     837352
HOLDING           equity
CORP              shares
HOSPIRA           Common     441060100  349761   6174074 SH        DEFINED   1,2,5,6,8,10,12,13,18,      6174074
INC               equity
                  shares
                  Real       44106M102  107292   4479814 SH        DEFINED   1,2,3,5,6,8,10,12,          4462364            NA
HOSPITALITY       Estate
PROPERTIES        Investment
TRUST             Trust
HOST              Real       44107P104  438842  29955069 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   29862859            NA
HOTELS &          Estate
RESORTS           Investment
INC               Trust
HOT TOPIC         Common     441339108    6330    973831 SH        DEFINED   1,2,5,6,8,                   973831
INC               equity
                  shares
HOUSTON           Common     44183U100     455     25093 SH        DEFINED   1,2,                          25093
AMERN             equity
ENERGY            shares
CORP
HOUSTON           Common     44244K109    4215    364018 SH        DEFINED   1,2,6,                       364018
WIRE &            equity
CABLE CO          shares
HOVNANIAN         Common     442487203    4237    974000 SH        DEFINED   1,2,5,6,                     974000
ENTRPRS           equity
INC -CL A         shares
HQ                Common     40426A208     884    147273 SH        DEFINED   1,2,                         147273
SUSTAINABLE       equity
MARITIME          shares
IND
HRPT              Real       40426W101   49027   6301081 SH        DEFINED   1,2,3,5,6,8,10,             6264581            NA
PROPERTIES        Estate
TRUST             Investment
                  Trust
HSBC              American   404280406    4177     82393 SH        DEFINED   1,2,                          82393
HLDGS PLC         Depository
                  Receipt
HSBC              Public     404280604     842     36887 SH        DEFINED   2,                            36887
HLDGS PLC         preferred
                  instrument
HSN INC           Common     404303109   49390   1677637 SH        DEFINED   1,2,5,6,8,                  1665437         12200
                  equity
                  shares
HUANENG           American   443304100     266     11438 SH        DEFINED   1,6,                          11438
POWER             Depository
INTERNATIONAL     Receipt
HUB GROUP         Common     443320106   24179    862411 SH        DEFINED   1,2,5,6,8,                   862411
INC -CL A         equity
                  shares
HUBBELL           Common     443510201   82080   1627610 SH        DEFINED   1,2,5,6,8,10,               1627610
INC -CL B         equity
                  shares
HUDSON            Common     443683107  266532  18823510 SH        DEFINED   1,2,5,6,8,10,12,13,18,     18823510
CITY              equity
BANCORP           shares
INC
HUDSON            Common     443792106     119     27048 SH        DEFINED   1,                            27048
HIGHLAND          equity
GROUP INC         shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                              SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                    
HUDSON            Common     444172100    236     9759 SH        DEFINED   1,2,                        9759
VALLEY            equity
HOLDING           shares
CORP
HUGHES            Common     444398101   4936   177238 SH        DEFINED   1,2,5,6,8,                177238
COMMUNICATIONS    equity
INC               shares
HUMAN             Common     444903108 131353  4350504 SH        DEFINED   1,2,5,6,8,               4350504
GENOME            equity
SCIENCES          shares
INC
HUMANA INC        Common     444859102 287265  6144480 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6144480
                  equity
                  shares
HUNT (JB)         Common     445658107  78238  2180541 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2180541
TRANSPRT          equity
SVCS INC          shares
                  Common     446150104 157859 29385345 SH        DEFINED   1,2,5,6,8,10,12,13,18,  29385345
HUNTINGTON        equity
BANCSHARES        shares
HUNTSMAN          Common     447011107  25668  2130110 SH        DEFINED   1,2,5,8,10,18,           2130110
CORP              equity
                  shares
HURCO             Common     447324104   2091   124215 SH        DEFINED   1,2,                      124215
COMPANIES         equity
INC               shares
HURON             Common     447462102   8481   417789 SH        DEFINED   1,2,5,6,8,                417789
CONSULTING        equity
GROUP INC         shares
                  Common     448407106    574    91930 SH        DEFINED   1,2,                       91930
HUTCHINSON        equity
TECHNOLOGY        shares
INC
HYATT             Common     448579102  17083   438477 SH        DEFINED   1,2,5,6,10,               438477
HOTELS            equity
CORP              shares
HYPERCOM          Common     44913M105    237    61394 SH        DEFINED   1,2,                       61394
CORP              equity
                  shares
                  Common     448954107     43    35600 SH        DEFINED   1,                         35600
HYPERDYNAMICS     equity
CORP              shares
IAC/              Common     44919P508  36275  1595223 SH        DEFINED   1,2,5,6,8,10,12,         1595223
INTERACTIVECORP   equity
                  shares
                  Common     450828108  47666   794301 SH        DEFINED   1,2,5,8,                  794301
IBERIABANK        equity
CORP              shares
ICAD INC          Common     44934S107     63    41208 SH        DEFINED   1,2,                       41208
                  equity
                  shares
ICF               Common     44925C103   4786   192665 SH        DEFINED   1,2,6,8,                  192665
INTERNATIONAL     equity
INC               shares
ICICI             American   45104G104  52231  1223207 SH        DEFINED   1,2,5,6,8,18,            1223207
BANK LTD          Depository
                  Receipt
ICO GLBAL         Common     44930K108    193   161030 SH        DEFINED   1,2,6,                    161030
COMM              equity
HLDGS             shares
LTD/DE
ICO INC           Common     449293109   4220   522225 SH        DEFINED   1,2,                      510525          11700
                  equity
                  shares
ICONIX            Common     451055107  24591  1597178 SH        DEFINED   1,2,5,8,                 1597178
BRAND             equity
GROUP INC         shares
ICU               Common     44930G107  10171   295232 SH        DEFINED   1,2,5,6,8,                295232
MEDICAL           equity
INC               shares
ICX               Private    44934T105   1426   204613 SH        DEFINED   1,2,6,                    204613
TECHNOLOGIES      company?no
INC               public
                  equity
                  shares
IDACORP           Common     451107106  62353  1801076 SH        DEFINED   1,2,5,6,8,               1801076
INC               equity
                  shares
IDENIX            Common     45166R204   1603   568561 SH        DEFINED   1,2,6,                    568561
PHARMACEUTICALS   equity
INC               shares
IDERA             Common     45168K306   2225   358358 SH        DEFINED   1,2,                      358358
PHARMACEUTICALS   equity
INC               shares
IDEX CORP         Common     45167R104  55564  1678675 SH        DEFINED   1,2,5,6,8,10,            1678675
                  equity
                  shares
IDEXX             Common     45168D104  72900  1266732 SH        DEFINED   1,2,5,6,8,10,            1266732
LABS INC          equity
                  shares
IDT CORP          Common     448947507    314    48387 SH        DEFINED   1,                         48387
                  Stock
IGATE CORP        Common     45169U105   5414   556474 SH        DEFINED   1,2,6,                    556474
                  Stock
IGO INC           Common     449593102     53    26437 SH        DEFINED   1,                         26437
                  equity
                  shares
IHS INC           Common     451734107  35852   670513 SH        DEFINED   1,2,5,6,8,10,12,13,18,    670513
                  equity
                  shares
II-VI INC         Common     902104108  18487   546319 SH        DEFINED   1,2,5,6,8,                546319
                  equity
                  shares
IKANOS            Common     45173E105     81    26900 SH        DEFINED   1,                         26900
COMMUNICATIONS    equity
INC               shares
ILLINOIS          Common     452308109 645274 13624878 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13624878
TOOL WORKS        equity
                  shares
ILLUMINA          Common     452327109  70483  1809967 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1809967
INC               equity
                  shares
IMATION           Common     45245A107   6906   627571 SH        DEFINED   1,2,5,6,8,                627571
CORP              equity
                  shares
IMERGENT          Common     45247Q100    764   113484 SH        DEFINED   1,2,                      113484
INC               equity
                  shares
IMMERSION         Common     452521107   2681   536283 SH        DEFINED   1,2,5,                    536283
CORP              equity
                  shares
IMMUCOR           Common     452526106  48369  2160314 SH        DEFINED   1,2,5,6,8,               2160314
INC               equity
                  shares
IMMUNOGEN         Common     45253H101   8962  1107843 SH        DEFINED   1,2,5,6,8,               1107843
INC               equity
                  shares
                  Common     452907108   4489  1352080 SH        DEFINED   1,2,5,                   1352080
IMMUNOMEDICS      equity
INC               shares
IMPAX             Common     45256B101  27028  1511622 SH        DEFINED   1,2,5,                   1511622
LABORATORIES      Stock
INC
IMPERIAL          Common     453038408   1116    28719 SH        DEFINED   1,                         28719
OIL LTD           equity
                  shares
IMPERIAL          Common     453096208   3493   225180 SH        DEFINED   1,2,                      225180
SUGAR CO          equity
                  shares
INCONTACT         Common     45336E109   1096   384653 SH        DEFINED   1,2,                      384653
INC               equity
                  shares
INCYTE            Common     45337C102  51774  3708761 SH        DEFINED   1,2,5,6,8,               3708761
CORP              equity
                  shares
                  Common     453440307   1136   119723 SH        DEFINED   1,2,                      119723
INDEPENDENCE      equity
HOLDING CO        shares
                  Common     453836108  11712   474561 SH        DEFINED   1,2,5,8,                  474561
INDEPENDENT       equity
BANK              shares
CORP/MA
                  Common     453838104     10    14795 SH        DEFINED   1,                         14795
INDEPENDENT       equity
BANK              shares
CORP/MI
INDOSAT           American   744383100    557    18285 SH        DEFINED   1,2,6,                     18285
TBK               Depository
                  Receipt
INFINERA          Common     45667G103  14027  1646330 SH        DEFINED   1,2,5,6,8,               1646330
CORP              Stock
INFINITY          Common     45665G303   1876   307488 SH        DEFINED   1,2,                      307488
PHARMACEUTICALS   equity
INC               shares
INFINITY          Common     45665Q103  14826   326144 SH        DEFINED   1,2,5,8,                  326144
PROPERTY &        equity
CAS CORP          shares
INFOGROUP         Common     45670G108   7048   903621 SH        DEFINED   1,2,5,6,8,                903621
INC               equity
                  shares
                  Common     45666Q102  77563  2888140 SH        DEFINED   1,2,5,6,8,               2888140
INFORMATICA       equity
CORP              shares
                  Common     45675Y104   1335   391490 SH        DEFINED   1,2,                      391490
INFORMATION       equity
SERVICES          shares
GROUP







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
INFOSPACE         Common     45678T300    8354    756061 SH        DEFINED   1,2,5,6,8,                 756061
INC               equity
                  shares
INFOSYS           American   456788108  116818   1985020 SH        DEFINED   1,2,4,5,6,8,              1985020
TECHNOLOGIES      Depository
LTD               Receipt
ING GROEP         American   456837103    1035    103888 SH        DEFINED   1,                         103888
NV                Depository
                  Receipt
                  Common     G47791101   85649   2451374 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2451374
INGERSOLL-RAND    equity
PLC               shares
INGLES            Common     457030104    3989    265424 SH        DEFINED   1,2,5,8,                   265424
MARKETS           equity
INC -CL A         shares
INGRAM            Common     457153104   73020   4160400 SH        DEFINED   1,2,5,6,8,10,18,          4160400
MICRO INC         equity
                  shares
INHIBITEX         Common     45719T103      39     25600 SH        DEFINED   1,                          25600
INC               equity
                  shares
INLAND            Real       457461200   22209   2427182 SH        DEFINED   1,2,3,5,8,                2427182
REAL              Estate
ESTATE            Investment
CORP              Trust
                  Common     45773Y105    3276    612319 SH        DEFINED   1,2,5,6,                   612319
INNERWORKINGS     equity
INC               shares
INNODATA          Common     457642205    1574    388580 SH        DEFINED   1,2,                       388580
ISOGEN INC        equity
                  shares
INNOPHOS          Common     45774N108   10922    391110 SH        DEFINED   1,2,5,8,                   391110
HOLDINGS          equity
INC               shares
INNOSPEC          Common     45768S105    5341    470166 SH        DEFINED   1,2,5,8,                   470166
INC               equity
                  shares
INNOTRAC          Common     45767M109      16     10328 SH        DEFINED   1,                          10328
CORP              equity
                  shares
                  Common     45769N105     181     28783 SH        DEFINED   1,                          28783
INNOVATIVE        equity
SOLTNS &          shares
SUPP INC
INOVIO            Common     45773H102      32     24100 SH        DEFINED   1,                          24100
BIOMEDICAL        equity
CORP              shares
INSIGHT           Common     45765U103   17643   1228643 SH        DEFINED   1,2,5,8,                  1228643
ENTERPRISES       equity
INC               shares
INSIGNIA          Common     45765Y105      79     12011 SH        DEFINED   1,                          12011
SYSTEMS           equity
INC               shares
                  Common     457667103   24144    907330 SH        DEFINED   1,2,5,8,                   907330
INSITUFORM        equity
TECHNOLOGIES-CL   shares
A
INSMED INC        Common     457669208    2632   2230586 SH        DEFINED   1,2,5,                    2230586
                  equity
                  shares
INSPIRE           Common     457733103    7338   1175894 SH        DEFINED   1,2,5,6,8,                1175894
PHARMACEUTICALS   equity
INC               shares
INSTEEL           Common     45774W108    4364    408244 SH        DEFINED   1,2,5,                     408244
INDUSTRIES        equity
                  shares
INSULET           Common     45784P101    9570    634170 SH        DEFINED   1,2,5,6,8,                 634170
CORP              equity
                  shares
INTEGRA           Common     45814P105      13     20546 SH        DEFINED   1,2,                        20546
BANK CORP         equity
                  shares
INTEGRA           Common     457985208   18953    432415 SH        DEFINED   1,2,5,6,8,                 427665          4750
LIFESCIENCES      equity
HLDGS             shares
INTEGRAL          Common     45810H107    3905    405483 SH        DEFINED   1,2,                       405483
SYSTEMS           equity
INC               shares
                  Common     458118106   25366   4138083 SH        DEFINED   1,2,5,6,8,10,18,          4138083
INTEGRATED        equity
DEVICE            shares
TECH INC
                  Common     45811E301     721    127665 SH        DEFINED   1,2,5,                     127665
INTEGRATED        equity
ELECTRICAL        shares
SVCS
                  Common     45812P107     261     24699 SH        DEFINED   1,                          24699
INTEGRATED        equity
SILICON           shares
SOLUTION
INTEGRYS          Common     45822P105  212323   4481269 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4481269
ENERGY            equity
GROUP INC         shares
INTEL CORP        Common     458140100 4281167 192306376 SH        DEFINED   1,2,5,6,8,10,12,13,18,  192306376
                  equity
                  shares
INTEL CORP        A U S      458140AD     4202   4250000 SH        DEFINED   1,2,                      4250000
                  issuer
                  issuing in
                  U S
                  dollars in
                  the U S
                  capital
                  market
INTER             Common     458334109    5342    360492 SH        DEFINED   1,2,                       360492
PARFUMS           equity
INC               shares
                  Common     45841N107    7856    486468 SH        DEFINED   1,2,5,6,8,10,              486468
INTERACTIVE       equity
BROKERS           shares
GROUP
                  Common     45840J107   11902    371923 SH        DEFINED   1,2,5,6,8,10,              371923
INTERACTIVE       equity
DATA CORP         shares
                  Common     45839M103    4778    255644 SH        DEFINED   1,2,5,6,                   255644
INTERACTIVE       Stock
INTELLIGENCE
INC
                  American   45857P301     210     13423 SH        DEFINED   1,                          13423
INTERCONTINENTAL  Depository
HOTELS GRP        Receipt
                  Common     45865V100  278224   2480158 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2480158
INTERCONTINENTAL  equity
EXCHANGE INC      shares
                  Common     45867G101   32052   1150483 SH        DEFINED   1,2,5,6,8,                1150483
INTERDIGITAL      equity
INC               shares
INTERFACE         Common     458665106   13728   1185529 SH        DEFINED   1,2,5,8,                  1185529
INC -CL A         Stock
                  Common     458738101       9     12342 SH        DEFINED   1,                          12342
INTERLEUKIN       equity
GENETICS          shares
INC
INTERLINE         Common     458743101   12932    675627 SH        DEFINED   1,2,5,8,                   675627
BRANDS INC        equity
                  shares
INTERMEC          Common     458786100   17846   1258525 SH        DEFINED   1,2,5,6,8,                1258525
INC               equity
                  shares
INTERMUNE         Common     45884X103   37275    836605 SH        DEFINED   1,2,5,6,8,                 836605
INC               equity
                  shares
INTERNAP          Common     45885A300    7240   1292902 SH        DEFINED   1,2,5,6,8,                1292902
NETWORK           equity
SVCS CORP         shares
                  Common     459028106    3910    261191 SH        DEFINED   1,2,6,8,                   261191
INTERNATIONAL     equity
ASSETS            shares
HLDG CP
                  Common     45928H106   13163   2880211 SH        DEFINED   1,2,5,6,8,                2874911          5300
INTERNATIONAL     equity
COAL              shares
GROUP INC
INTERNET          Common     460608102    5136    557039 SH        DEFINED   1,2,6,8,                   557039
BRANDS INC        equity
                  shares
INTERNET          Common     46059C205    6012    711533 SH        DEFINED   1,2,6,8,                   711533
CAPITAL           equity
GROUP INC         shares
INTEROIL          Common     460951106     458      6962 SH        DEFINED   1,5,                         6962
CORP              Stock
                  Common     460690100  138403  16634961 SH        DEFINED   1,2,5,6,8,10,12,13,18,   16634961
INTERPUBLIC       equity
GROUP OF          shares
COS
INTERSIL          Common     46069S109   44437   3010629 SH        DEFINED   1,2,5,6,8,10,             3010629
CORP -CL A        equity
                  shares
INTERVAL          Common     46113M108   13804    948053 SH        DEFINED   1,2,5,6,8,                 948053
LEISURE           equity
GROUP             shares
INTEVAC           Common     461148108    6545    473568 SH        DEFINED   1,2,5,6,8,                 473568
INC               equity
                  shares
INTL              Common     459044103   44731   1945098 SH        DEFINED   1,2,5,6,8,                1945098
BANCSHARES        equity
CORP              shares
INTL              Common     459200101 8155246  63588341 SH        DEFINED   1,2,5,6,8,10,12,13,18,   63588341
BUSINESS          equity
MACHINES          shares
CORP
INTL              Common     459506101  134060   2812252 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2812252
FLAVORS &         equity
FRAGRANCES        shares
INTL GAME         Common     459902102  173090   9381590 SH        DEFINED   1,2,5,6,8,10,12,13,18,    9381590
TECHNOLOGY        equity
                  shares








                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
INTL              Common         460146103 847767 34446702 SH        DEFINED   1,2,5,6,8,10,12,13,18,  34446702
PAPER CO          equity shares
INTL              Common         460254105  40122  1752063 SH        DEFINED   1,2,5,6,8,10,            1752063
RECTIFIER         equity shares
CORP
INTL              Common         460321201   3372   114738 SH        DEFINED   1,2,                      114738
SHIPHOLDING       equity shares
CORP
INTL              Common         460335201  15481   600720 SH        DEFINED   1,2,5,6,8,10,             600720
SPEEDWAY          equity shares
CORP -CL A
INTREPID          Common         46121Y102  25602   845378 SH        DEFINED   1,2,5,6,8,10,             845378
POTASH INC        equity shares
INTUIT INC        Common         461202103 385869 11236347 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11236347
                  equity shares
INTUITIVE         Common         46120E602 430822  1236944 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1236944
SURGICAL          equity shares
INC
INUVO INC         Common         46122W105     19    65900 SH        DEFINED   1,                         65900
                  equity shares
INVACARE          Common         461203101  25285   952731 SH        DEFINED   1,2,5,8,                  952731
CORP              equity shares
INVENTIV          Common         46122E105  21472   956017 SH        DEFINED   1,2,5,6,8,                956017
HEALTH INC        equity shares
INVENTURE         Common         461214108     50    17407 SH        DEFINED   1,                         17407
GROUP INC         equity shares
INVERNESS         Preferred      46126P30    1235     4616 SH        DEFINED   1,2,                        4616
MEDICAL           Stock
INNOVATIONS
INVERNESS         Common         46126P106  33054   848630 SH        DEFINED   1,2,5,6,8,10,             848630
MEDICAL           Stock
INNOVATNS
INVESCO           American       G491BT108 334558 15269185 SH        DEFINED   1,2,5,6,8,10,12,13,18,  15269185
LTD               Depository
                  Receipt
INVESCO           Common         46131B100   8434   366675 SH        DEFINED   1,2,                      366675
MORTGAGE          equity shares
CAPITAL
INC
                  Common         46145F105   9658   578691 SH        DEFINED   1,2,5,6,8,10,             578691
INVESTMENT        equity shares
TECHNOLOGY
GP INC
INVESTORS         Common         46146P102  13616  1031520 SH        DEFINED   1,2,5,6,8,               1031520
BANCORP           equity shares
INC
INVESTORS         Real Estate    461730103  14956  1658136 SH        DEFINED   1,2,3,5,8,               1658136
REAL              Investment
ESTATE            Trust
TRUST
ION               Common         462044108  13462  2716643 SH        DEFINED   1,2,5,8,                 2716643
GEOPHYSICAL       equity shares
CORP
IOWA              Common         462594201  12366   740494 SH        DEFINED   1,2,5,8,                  740494
TELECOM           equity shares
SERVICES
INC
IPASS INC         Common         46261V108    777   675340 SH        DEFINED   1,2,                      675340
                  equity shares
IPATH             Investments    06739F135    808    17560 SH        DEFINED   5,                         17560
CBOE S&P          that contain a
500               pool of
BUYWRITE          securities
INDEX ETN         representing a
                  specific index
                  and are built
                  like mutu
IPC THE           Common         44984A105  11873   340474 SH        DEFINED   1,2,6,8,                  340474
HOSPITALIST       Stock
CO INC
IPG               Common         44980X109   6129   414101 SH        DEFINED   1,2,5,6,8,                414101
PHOTONICS         equity shares
CORP
IRIS              Common         46270W105   3676   360086 SH        DEFINED   1,2,6,                    360086
INTERNATIONAL     Stock
INC
IROBOT            Common         462726100   5516   363834 SH        DEFINED   1,2,6,8,                  363834
CORP              equity shares
IRON              Common         462846106 172243  6286233 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6286233
MOUNTAIN          equity shares
INC
IRONWOOD          Common         46333X108   3462   256087 SH        DEFINED   1,2,                      256087
PHARMACEUTICALS   equity shares
INC
ISHARES           Investments    464288646  39566   378300 SH        DEFINED   2,                        378300
BARCLAYS          that contain a
1-3 YEAR          pool of
CREDIT            securities
BOND FUND         representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287226   1330    12765 SH        DEFINED   1,                         12765
BARCLAYS          that contain a
AGGREGATE         pool of
BOND FUND         securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464288612   6262    59007 SH        DEFINED   1,                         59007
BARCLAYS          that contain a
INTERMEDIATE      pool of
GOVERNMENT/CREDIT securities
BOND FUND         representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287176  41564   400000 SH        DEFINED   2,                        400000
BARCLAYS          that contain a
TIPS BOND         pool of
FUND              securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287564    231     3871 SH        DEFINED   1,                          3871
COHEN &           that contain a
STEERS /          pool of
REALTY            securities
MAJORS            representing a
INDEX FUND        specific index
                  and are built
                  like mutu
ISHARES           Investments    46428R107    451    14252 SH        DEFINED   1,                         14252
GSCI              that contain a
COMMODITY         pool of
INDEXED           securities
TRUST             representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287242  18587   175800 SH        DEFINED   2,                        175800
IBOXX $           that contain a
INVESTOP          pool of
INVESTMENT        securities
GRADE             representing a
BOND FUND         specific index
                  and are built
                  like mutu
ISHARES           Investments    464286400   2730    37057 SH        DEFINED   18,                        37057
MSCI              that contain a
BRAZIL            pool of
(FREE)            securities
INDEX FUND        representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464286657    659    14208 SH        DEFINED   6,                         14208
MSCI BRIC         that contain a
INDEX FUND        pool of
                  securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464286509  21919   785905 SH        DEFINED   2,                        785905
MSCI              that contain a
CANADA            pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287465 237803  4246393 SH        DEFINED   1,2,6,                   4246393
MSCI EAFE         that contain a
INDEX FUND        pool of
                  securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287234 538454 12783775 SH        DEFINED   1,2,5,18,               12783775
MSCI              that contain a
EMERGING          pool of
MARKETS           securities
INDEX FUND        representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464286772   3456    69122 SH        DEFINED   5,6,                       69122
MSCI              that contain a
KOREA             pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464286830    295    25282 SH        DEFINED   6,                         25282
MSCI              that contain a
MALAYSIA          pool of
(FREE)            securities
INDEX FUND        representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464286731  14594  1162896 SH        DEFINED   1,6,                     1162896
MSCI              that contain a
TAIWAN            pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464286715   9089   158600 SH        DEFINED   1,                        158600
MSCI              that contain a
TURKEY            pool of
INVESTABLE        securities
MARKET            representing a
INDEX FUND        specific index
                  and are built
                  like mutu
ISHARES           Investments    464286699  10309   634430 SH        DEFINED   1,                        634430
MSCI              that contain a
UNITED            pool of
KINGDOM           securities
INDEX FUND        representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287655    295     4354 SH        DEFINED   1,                          4354
RUSSELL           that contain a
2000              pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Non- or        464287655    435       62 SH  PUT   DEFINED   1,                            NA            62
RUSSELL           limited-voting
2000              common
INDEX FUND        shares
ISHARES           Investments    464287689    504     7146 SH        DEFINED   1,                          7146
RUSSELL           that contain a
3000              pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287200  65224   555852 SH        DEFINED   2,6,                      555852
S&P 500           that contain a
FUND              pool of
                  securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287507    258     3170 SH        DEFINED   1,                          3170
S&P MID           that contain a
CAP 400           pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464287804  23806   400403 SH        DEFINED   1,2,                      400403
S&P SMALL         that contain a
CAP 600           pool of
INDEX FUND        securities
                  representing a
                  specific index
                  and are built
                  like mutu
ISHARES           Investments    464288240   1067    24962 SH        DEFINED   1,                         24962
TRUST             that contain a
ISHARES           pool of
MSCI ACWI         securities
EX US             representing a
INDEX FUND        specific index
                  and are built
                  like mutu
ISILON            Common         46432L104   4110   477404 SH        DEFINED   1,2,6,                    477404
SYSTEMS           equity shares
INC
ISIS              Common         464330109  45655  4180847 SH        DEFINED   1,2,5,6,8,               4180847
PHARMACEUTICALS   Stock
INC
ISLE OF           Common         464592104   2791   358800 SH        DEFINED   1,2,5,6,                  358800
CAPRI             equity shares
CASINOS
INC
ISRAMCO           Common         465141406   1049    16002 SH        DEFINED   1,2,                       16002
INC               equity shares
ISTA              Common         45031X204   2784   684051 SH        DEFINED   1,2,                      684051
PHARMACEUTICALS   equity shares
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
ISTAR             Real       45031U101   10197   2221538 SH        DEFINED   1,2,5,8,                  2221538
FINANCIAL         Estate
INC               Investment
                  Trust
ITAU              American   465562106   98837   4494632 SH        DEFINED   1,2,4,5,6,8,10,18,        4494632
UNIBANCO          Depository
HLDG SA           Receipt
ITC               Common     465685105   31971    581289 SH        DEFINED   1,2,5,6,8,10,              581289
HOLDINGS          equity
CORP              shares
ITRON INC         Common     465741106   60935    839674 SH        DEFINED   1,2,5,6,8,10,              839674
                  equity
                  shares
ITT CORP          Common     450911102  367430   6853599 SH        DEFINED   1,2,5,6,8,10,12,13,18,    6853599
                  equity
                  shares
ITT               Common     45068B109  104485    928917 SH        DEFINED   1,2,5,6,8,10,12,13,18,     928917
EDUCATIONAL       equity
SERVICES          shares
INC
IXIA              Common     45071R109    6499    701117 SH        DEFINED   1,2,5,6,8,                 701117
                  equity
                  shares
IXYS CORP         Common     46600W106    3905    457277 SH        DEFINED   1,2,5,6,                   457277
                  Stock
J & J             Common     466032109   15957    367077 SH        DEFINED   1,2,5,8,                   367077
SNACK             equity
FOODS CORP        shares
J CREW            Common     46612H402   91352   1990239 SH        DEFINED   1,2,5,6,8,                1990239
GROUP INC         equity
                  shares
J2 GLOBAL         Common     46626E205   22286    952380 SH        DEFINED   1,2,5,6,8,                 952380
COMMUNICATIONS    equity
INC               shares
JABIL             Common     466313103  106202   6560549 SH        DEFINED   1,2,5,6,8,10,12,13,       6560549
CIRCUIT           equity
INC               shares
JACK IN           Common     466367109   28860   1225481 SH        DEFINED   1,2,5,8,                  1225481
THE BOX           equity
INC               shares
JACKSON           Common     468202106    1209    604559 SH        DEFINED   1,2,                       604559
HEWITT            equity
TAX               shares
SERVICE
JACOBS            Common     469814107  187899   4157976 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4157976
ENGINEERING       equity
GROUP INC         shares
JAKKS             Common     47012E106    7717    591356 SH        DEFINED   1,2,5,8,                   591356
PACIFIC           equity
INC               shares
JAMBA INC         Common     47023A101      58     21301 SH        DEFINED   1,                          21301
                  equity
                  shares
JAMES             Common     470355207    8484    533575 SH        DEFINED   1,2,5,8,                   533575
RIVER             Stock
COAL CO
JANUS             Common     47102X105   87132   6097394 SH        DEFINED   1,2,5,6,8,10,12,13,       6097394
CAPITAL           equity
GROUP INC         shares
JARDEN            Common     471109108   40357   1212284 SH        DEFINED   1,2,5,6,8,10,             1212284
CORP              equity
                  shares
JAVELIN           Common     471894105    1113    862601 SH        DEFINED   1,2,                       862601
PHARMACEUTICALS   equity
INC               shares
JAZZ              Common     472147107     313     28681 SH        DEFINED   1,2,                        28681
PHARMACEUTICALS   equity
INC               shares
JDA               Common     46612K108   22846    821207 SH        DEFINED   1,2,5,8,                   821207
SOFTWARE          Stock
GROUP INC
JDS               Common     46612J507   84679   6757301 SH        DEFINED   1,2,5,6,8,10,12,13,       6757301
UNIPHASE          equity
CORP              shares
JEFFERIES         Common     472319102   64932   2743238 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2743238
GROUP INC         equity
                  shares
JETBLUE           Common     477143101   41633   7461037 SH        DEFINED   1,2,5,6,                  7461037
AIRWAYS           equity
CORP              shares
JMP GROUP         Common     46629U107    2573    302696 SH        DEFINED   1,2,                       302696
INC               equity
                  shares
JO-ANN            Common     47758P307   48421   1153428 SH        DEFINED   1,2,5,8,                  1153428
STORES INC        equity
                  shares
JOE'S             Common     47777N101      35     13239 SH        DEFINED   1,                          13239
JEANS INC         equity
                  shares
JOHN BEAN         Common     477839104   10844    618249 SH        DEFINED   1,2,5,6,8,                 618249
TECHNOLOGIES      equity
                  shares
JOHNSON &         Common     478160104 8524537 130745667 SH        DEFINED   1,2,5,6,8,10,12,13,18,  130368336         377331
JOHNSON           equity
                  shares
JOHNSON           Common     478366107  708507  21475445 SH        DEFINED   1,2,5,6,8,10,12,13,18,   21475445
CONTROLS          equity
INC               shares
JONES             Common     480074103   40751   2137885 SH        DEFINED   1,2,5,6,8,                2137885
APPAREL           equity
GROUP INC         shares
JONES             Common     48020Q107   66489    912166 SH        DEFINED   1,2,5,6,8,10,              912166
LANG              equity
LASALLE           shares
INC
JONES             Common     48023P106      18     27800 SH        DEFINED   1,                          27800
SODA CO           equity
                  shares
JOS A             Common     480838101   39806    728375 SH        DEFINED   1,2,5,6,8,                 728375
BANK              equity
CLOTHIERS         shares
INC
JOURNAL           Common     481130102    3916    932393 SH        DEFINED   1,2,                       932393
COMMUNICATIONS    equity
INC               shares
JOY               Common     481165108  159747   2822351 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2822351
GLOBAL INC        equity
                  shares
JPMORGAN          Common     46625H100 6597286 147436401 SH        DEFINED   1,2,5,6,8,10,12,13,18,  147432281           4120
CHASE & CO        equity
                  shares
JUNIPER           Common     48203R104  522723  17043764 SH        DEFINED   1,2,5,6,8,10,12,13,18,   17043764
NETWORKS          Stock
INC
K V               Common     482740206    1625    923089 SH        DEFINED   1,2,6,8,                   923089
PHARMACEUTICAL    equity
-CL A             shares
K-FED             Common     48246S101     529     59341 SH        DEFINED   1,2,                        59341
BANCORP           equity
                  shares
K-SWISS           Common     482686102    5788    553369 SH        DEFINED   1,2,5,6,8,                 553369
INC -CL A         equity
                  shares
K-TRON            Common     482730108    7238     48264 SH        DEFINED   1,2,5,6,8,                  48264
INTERNATIONAL     equity
INC               shares
K12 INC           Common     48273U102    9786    440609 SH        DEFINED   1,2,6,8,                   440609
                  Stock
KADANT INC        Common     48282T104    4805    333420 SH        DEFINED   1,2,                       333420
                  equity
                  shares
KAISER            Common     483007704   14333    371619 SH        DEFINED   1,2,5,8,                   371619
ALUMINUM          equity
CORP              shares
KAMAN CORP        Common     483548103   13861    554199 SH        DEFINED   1,2,5,6,8,                 554199
                  equity
                  shares
KANSAS            Common     484836101    3021     95663 SH        DEFINED   1,2,5,8,                    95663
CITY LIFE         equity
INS CO            shares
KANSAS            Common     485170302   71037   1963962 SH        DEFINED   1,2,5,6,8,10,             1963962
CITY              equity
SOUTHERN          shares
KAPSTONE          Common     48562P103    7455    628045 SH        DEFINED   1,2,8,                     628045
PAPER &           Stock
PACKAGING
KAR               Common     48238T109    2074    137723 SH        DEFINED   1,2,10,                    137723
AUCTION           equity
SERVICES          shares
INC
KAYDON            Common     486587108   30843    820296 SH        DEFINED   1,2,5,8,                   820296
CORP              equity
                  shares
KAYNE             Common     48660Q102    3061    189427 SH        DEFINED   1,2,                       189427
ANDERSON          equity
ENERGY            shares
DEVELOPMENT
CO.
KB                American   48241A105    6784    141451 SH        DEFINED   1,2,6,                     141451
FINANCIAL         Depository
GROUP             Receipt
KB HOME           Common     48666K109   58549   3495452 SH        DEFINED   1,2,5,6,8,10,             3495452
                  equity
                  shares
KBR INC           Common     48242W106   99257   4479129 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4479129
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER               CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------             ---------- --------- ------- -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                        
KBW INC            Common     482423100   18154   674866 SH        DEFINED   1,2,5,6,8,                  674866
                   equity
                   shares
KEARNY             Common     487169104    4197   402359 SH        DEFINED   1,2,5,                      402359
FINANCIAL          equity
CORP               shares
KEITHLEY           Common     487584104     220    33286 SH        DEFINED   1,                           33286
INSTR INC          equity
                   shares
KELLOGG CO         Common     487836108  450006  8422354 SH        DEFINED   1,2,5,6,8,10,12,13,18,     8422354
                   equity
                   shares
KELLY              Common     488152208   10041   602677 SH        DEFINED   1,2,5,8,                    602677
SERVICES           equity
INC -CL A          shares
KENDLE             Common     48880L107    6095   348671 SH        DEFINED   1,2,5,6,8,                  348671
INTERNATIONAL      equity
INC                shares
KENEXA             Common     488879107    7640   555659 SH        DEFINED   1,2,5,6,8,                  555659
CORP               equity
                   shares
                   Common     489170100   44592  1582539 SH        DEFINED   1,2,5,6,8,10,              1582539
KENNAMETAL         equity
INC                shares
KENSEY             Common     490057106    5028   213129 SH        DEFINED   1,2,6,8,                    213129
NASH CORP          equity
                   shares
KENTUCKY           Common     491292108     386    36791 SH        DEFINED   1,2,                         36791
FIRST              equity
FEDERAL            shares
BNCRP
                   American   500631106    6056   372923 SH        DEFINED   1,2,6,                      372923
KEPCO-KOREA        Depository
ELEC               Receipt
POWER CORP
KERYX              Common     492515101     128    46674 SH        DEFINED   1,                           46674
BIOPHARMACEUTICALS equity
INC                shares
KEY                Common     492914106   27648  2895120 SH        DEFINED   1,2,5,6,8,                 2895120
ENERGY             equity
SERVICES           shares
INC
KEYCORP            Common     493267108  268425 34635491 SH        DEFINED   1,2,5,6,8,10,12,13,18,    34635491
                   equity
                   shares
KEYNOTE            Common     493308100    2769   243124 SH        DEFINED   1,2,                        243124
SYSTEMS            equity
INC                shares
KFORCE INC         Common     493732101    9532   626682 SH        DEFINED   1,2,5,6,8,                  626682
                   equity
                   shares
KID                Common     49375T100     487    56356 SH        DEFINED   1,                           56356
BRANDS INC         equity
                   shares
KILROY             Real       49427F108   46152  1496491 SH        DEFINED   1,2,3,5,6,8,               1496491
REALTY             Estate
CORP               Investment
                   Trust
KIMBALL            Common     494274103    5106   734674 SH        DEFINED   1,2,5,8,                    734674
INTERNATIONAL      equity
-CL B              shares
                   Common     494368103  966976 15380516 SH        DEFINED   1,2,5,6,8,10,12,13,18,    15380516
KIMBERLY-CLARK     equity
CORP               shares
KIMCO              Real       49446R109  289458 18507538 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,  18450838            NA
REALTY             Estate
CORP               Investment
                   Trust
KINDER             Common     49455U100   20292   346165 SH        DEFINED   1,2,5,6,8,10,12,13,18,      346165
MORGAN             equity
MANAGEMENT         shares
LLC
KINDRED            Common     494580103   24365  1349859 SH        DEFINED   1,2,5,6,8,                 1349859
HEALTHCARE         equity
INC                shares
KINETIC            Common     49460W208   82741  1731091 SH        DEFINED   1,2,5,6,8,10,12,18,        1731091
CONCEPTS           equity
INC                shares
KING               Common     495582108   92096  7831261 SH        DEFINED   1,2,5,6,8,10,12,13,        7831261
PHARMACEUTICALS    equity
INC                shares
KINROSS            Common     496902404     534    31222 SH        DEFINED   1,                           31222
GOLD CORP          equity
                   shares
KIRBY CORP         Common     497266106   44505  1166571 SH        DEFINED   1,2,5,6,8,10,              1166571
                   equity
                   shares
                   Common     497498105    6519   310432 SH        DEFINED   1,2,                        310432
KIRKLAND'S         equity
INC                shares
KITE               Real       49803T102    8731  1845921 SH        DEFINED   1,2,3,8,                   1845921
REALTY             Estate
GROUP              Investment
TRUST              Trust
                   Common     482480100  171077  5532870 SH        DEFINED   1,2,5,6,8,10,12,13,18,     5532870
KLA-TENCOR         equity
CORP               shares
KNIGHT             Common     499005106   33103  2170658 SH        DEFINED   1,2,5,6,8,                 2170658
CAPITAL            equity
GROUP INC          shares
KNIGHT             Common     499064103   26360  1249864 SH        DEFINED   1,2,5,6,8,                 1249864
TRANSPORTATION     equity
INC                shares
                   Common     G5299G106    5477   323312 SH        DEFINED   1,2,5,                      323312
KNIGHTSBRIDGE      Stock
TANKERS
LTD
KNOLL INC          Common     498904200   11108   981317 SH        DEFINED   1,2,5,6,8,                  981317
                   equity
                   shares
KNOLOGY            Common     499183804    9622   715932 SH        DEFINED   1,2,5,6,8,                  715932
INC                equity
                   shares
KNOT INC           Common     499184109    4722   603849 SH        DEFINED   1,2,5,6,8,                  603849
                   equity
                   shares
KODIAK             Common     50015Q100     391   114658 SH        DEFINED   1,2,8,                      114658
OIL & GAS          equity
CORP               shares
KOHL'S             Common     500255104  572079 10442871 SH        DEFINED   1,2,5,6,8,10,12,13,18,    10442871
CORP               equity
                   shares
KOHLBERG           Common     500233101    1884   332895 SH        DEFINED   1,2,                        332895
CAPITAL            equity
CORP               shares
KOPIN CORP         Common     500600101    5290  1429606 SH        DEFINED   1,2,5,6,8,                 1429606
                   equity
                   shares
KOPPERS            Common     50060P106   11452   404408 SH        DEFINED   1,2,5,8,                    404408
HOLDINGS           equity
INC                shares
                   Common     500643200   23536  1333464 SH        DEFINED   1,2,5,6,8,                 1333464
KORN/FERRY         equity
INTERNATIONAL      shares
KRAFT              Common     50075N104 2408195 79641274 SH        DEFINED   1,2,5,6,8,10,12,13,18,    79641274
FOODS INC          equity
                   shares
KRATON             Common     50077C106    2343   131185 SH        DEFINED   1,2,                        131185
PERFORMANCE        equity
POLYMERS           shares
KRATOS             Common     50077B207     167    11708 SH        DEFINED   1,                           11708
DEFENSE &          equity
SECURITY           shares
KRISPY             Common     501014104    4275  1063343 SH        DEFINED   1,2,6,                     1063343
KREME              equity
DOUGHNUTS          shares
INC
KROGER CO          Common     501044101  500774 23119546 SH        DEFINED   1,2,5,6,8,10,12,13,18,    23119546
                   equity
                   shares
KRONOS             Common     50105F105     186    12694 SH        DEFINED   1,2,                         12694
WORLDWIDE          equity
INC                shares
KT CORP            American   48268K101    2467   118830 SH        DEFINED   1,2,5,6,                    118830
                   Depository
                   Receipt
KUBOTA             American   501173207     236     5180 SH        DEFINED   1,                            5180
CORP               Depository
                   Receipt
KULICKE &          Common     501242101    9577  1320909 SH        DEFINED   1,2,6,8,                   1320909
SOFFA              equity
INDUSTRIES         shares
KVH                Common     482738101    3504   265623 SH        DEFINED   1,2,                        265623
INDUSTRIES         equity
INC                shares
KYOCERA            American   501556203     509     5235 SH        DEFINED   1,2,                          5235
CORP               Depository
                   Receipt
L-1                Common     50212A106   13388  1499234 SH        DEFINED   1,2,5,6,8,                 1499234
IDENTITY           equity
SOLUTIONS          shares
INC
L-3 COMMS          USA:       502413AW     2012  1900000 SH        DEFINED   1,2,                       1900000
HLDGS INC          Bond
L-3                Common     502424104  377265  4117122 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4117122
COMMUNICATIONS     equity
HLDGS INC          shares
LA BARGE           Common     502470107    2544   230220 SH        DEFINED   1,2,                        230220
INC                equity
                   shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
LA-Z-BOY          Common         505336107  17098  1361771 SH        DEFINED   1,2,8,                   1346791          14980
INC               equity shares
                  Common         50540R409 267515  3531515 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3531515
LABORATORY        equity shares
CP OF
AMER HLDGS
                  Common         505447102   4245   807102 SH        DEFINED   1,2,8,                    807102
LABRANCHE &       equity shares
CO INC
LACLEDE           Common         505597104  19572   580430 SH        DEFINED   1,2,5,8,                  580430
GROUP INC         equity shares
LADENBURG         Common         50575Q102     57    60925 SH        DEFINED   1,                         60925
THALMANN          equity shares
FINL SERV
LADISH CO         Common         505754200   6638   329244 SH        DEFINED   1,2,5,8,                  329244
INC               equity shares
LAKELAND          Common         511637100   3431   387682 SH        DEFINED   1,2,8,                    387682
BANCORP           equity shares
INC
LAKELAND          Common         511656100   7218   375909 SH        DEFINED   1,2,8,                    375909
FINANCIAL         equity shares
CORP
LAKES             Common         51206P109    722   313747 SH        DEFINED   1,2,                      313747
ENTERTAINMENT     equity shares
INC
LAM               Common         512807108 117562  3150095 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3150095
RESEARCH          equity shares
CORP
LAMAR             Common         512815101  43776  1274401 SH        DEFINED   1,2,5,6,8,10,12,         1274401
ADVERTISING       equity shares
CO -CL A
LAN               American       501723100  10788   611215 SH        DEFINED   1,2,5,6,                  611215
AIRLINES          Depository
SA                Receipt
LANCASTER         Common         513847103  38245   649410 SH        DEFINED   1,2,5,6,8,                649410
COLONY            equity shares
CORP
LANCE INC         Common         514606102  14362   620928 SH        DEFINED   1,2,5,8,                  620928
                  equity shares
LANDAUER          Common         51476K103  14737   225960 SH        DEFINED   1,2,5,6,8,                225960
INC               equity shares
LANDEC            Common         514766104   3504   531232 SH        DEFINED   1,2,6,                    503652          27580
CORP              equity shares
LANDRYS           Common         51508L103   3248   181253 SH        DEFINED   1,2,8,                    181253
RESTAURANTS       equity shares
INC
LANDSTAR          Common         515098101  48340  1151261 SH        DEFINED   1,2,5,6,8,10,            1151261
SYSTEM INC        equity shares
LANNETT           Common         516012101    570   134199 SH        DEFINED   1,2,                      134199
CO INC            equity shares
LAS VEGAS         Common         517834107  95219  4479265 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4479265
SANDS CORP        equity shares
LASALLE           Real Estate    517942108  57871  2483716 SH        DEFINED   1,2,3,5,8,               2473916             NA
HOTEL             Investment
PROPERTIES        Trust
LASERCARD         Common         51807U101     67    10671 SH        DEFINED   1,                         10671
CORP              equity shares
LATTICE           Common         518415104   9978  2678415 SH        DEFINED   1,2,5,6,8,               2678415
SEMICONDUCTOR     equity shares
CORP
LAUDER            Common         518439104 275879  4251901 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4251901
(ESTEE)           equity shares
COS INC
-CL A
LAWSON            Common         520776105   1443    93279 SH        DEFINED   1,2,                       93279
PRODUCTS          equity shares
LAWSON            Common         52078P102  22721  3437355 SH        DEFINED   1,2,5,8,                 3437355
SOFTWARE          equity shares
INC
LAYNE             Common         521050104  10867   406843 SH        DEFINED   1,2,5,8,                  406843
CHRISTENSEN       equity shares
CO
LAZARD LTD        Common         G54050102  25298   708230 SH        DEFINED   1,2,5,6,10,               708230
                  equity shares
LCA               Common         501803308   2458   295476 SH        DEFINED   1,2,                      295476
VISION INC        equity shares
LDK SOLAR         American       50183L107     96    14568 SH        DEFINED   1,5,                       14568
CO LTD            Depository
-ADR              Receipt
LEAP              Common         521863308  10614   648748 SH        DEFINED   1,2,5,6,8,10,             648748
WIRELESS          equity shares
INTL INC
LEAPFROG          Common         52186N106   4085   623589 SH        DEFINED   1,2,                      623589
ENTERPRISES       equity shares
INC
LEAR CORP         Common         521865204   6113    76892 SH        DEFINED   1,2,                       76892
                  equity shares
LEARNING          Common         522015106   1629   115801 SH        DEFINED   1,2,                      115801
TREE INTL         equity shares
INC
LECG CORP         Common         523234102    101    34029 SH        DEFINED   1,                         34029
                  equity shares
LECROY            Common         52324W109     99    19918 SH        DEFINED   1,                         19918
CORP              equity shares
LEE               Common         523768109    175    51747 SH        DEFINED   1,                         51747
ENTERPRISES       equity shares
INC
LEGACY            Common         52463G105   1301   137069 SH        DEFINED   1,2,                      137069
BANCORP           equity shares
INC
LEGG              Common         524901105 163806  5713470 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5713470
MASON INC         equity shares
LEGGETT &         Common         524660107 209134  9664232 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9664232
PLATT INC         equity shares
LENDER            Common         52602E102 115372  3056213 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3056213
PROCESSING        equity shares
SERVICES
LENNAR            Common         526057104 114778  6669277 SH        DEFINED   1,2,5,6,8,10,12,13,      6669277
CORP              equity shares
LENNOX            Common         526107107  77405  1746509 SH        DEFINED   1,2,5,6,8,10,            1746509
INTERNATIONAL     equity shares
INC
LEUCADIA          Common         527288104 160740  6478841 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6478841
NATIONAL          equity shares
CORP
LEVEL 3           Common         52729N100  37378 23073077 SH        DEFINED   1,2,5,6,8,10,12,13,18,  23073077
COMMUNICATIONS    equity shares
INC
LEXICON           Common         528872104   3023  2042753 SH        DEFINED   1,2,5,6,                 2042753
PHARMACEUTICALS   equity shares
INC
LEXINGTON         Real Estate    529043101  20196  3102249 SH        DEFINED   1,2,3,5,8,               3102249
REALTY            Investment
TRUST             Trust
LEXMARK           Common         529771107  85066  2357537 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2357537
INTL INC          equity shares
-CL A
LG                American       50186V102   1639    92709 SH        DEFINED   1,2,6,                     92709
DISPLAY           Depository
CO LTD            Receipt
LHC GROUP         Common         50187A107  11011   328400 SH        DEFINED   1,2,5,6,8,                328400
INC               equity shares
LIBERTY           Common         530555101  92942  3187325 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3187325
GLOBAL INC        equity shares
LIBERTY           Common         530555309  21388   740310 SH        DEFINED   1,2,5,8,10,12,13,18,      740310
GLOBAL INC        equity shares
LIBERTY           Common         53071M302  35385   972930 SH        DEFINED   1,2,5,6,8,10,             972930
MEDIA             equity shares
CAPITAL
GROUP
LIBERTY           Common         53071M104 139683  9123631 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9123631
MEDIA             equity shares
INTERACTIVE
LIBERTY           A U S issuer   530718AF    2929  2750000 SH        DEFINED   1,2,                     2750000
MEDIA LLC         issuing in U S
                  dollars in the
                  U S capital
                  market
LIBERTY           Non- or        530715AR     593   950000 SH        DEFINED   2,                        950000
MEDIA LLC         limited-voting
                  common
                  shares
LIBERTY           Common         53071M708  30351   555057 SH        DEFINED   1,2,5,6,8,10,12,          555057
MEDIA             equity shares
STARZ
GROUP







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                            
LIBERTY           Real Estate    531172104  140221   4131446 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   4115496               NA
PROPERTY          Investment
TRUST             Trust
LIFE              Common         53215T106    3731    168307 SH        DEFINED   1,2,6,                      168307
PARTNERS          Stock
HOLDINGS
INC
LIFE              Common         53217V109  316010   6043833 SH        DEFINED   1,2,5,6,8,10,12,13,18,     6043833
TECHNOLOGIES      equity shares
CORP
LIFE TIME         Common         53217R207   39825   1410770 SH        DEFINED   1,2,5,6,8,                 1410770
FITNESS           equity shares
INC
LIFEPOINT         Common         53219L109   42193   1147172 SH        DEFINED   1,2,5,6,8,10,              1147172
HOSPITALS         equity shares
INC
LIFEPOINT         A U S issuer   53219LAH     1565   1550000 SH        DEFINED   1,2,                       1550000
HOSPITALS         issuing in U S
INC               dollars in the
                  U S capital
                  market
LIFEWAY           Common         531914109     864     72773 SH        DEFINED   1,2,                         72773
FOODS INC         equity shares
LIGAND            Common         53220K207    3547   2026656 SH        DEFINED   1,2,5,6,8,                 2026656
PHARMACEUTICAL    equity shares
INC
LIGHTPATH         Common         532257805      22     10070 SH        DEFINED   1,2,                         10070
TECHNOLOGIES      equity shares
INC
LIHUA             Common         532352101     368     40100 SH        DEFINED   1,                           40100
INTERNATIONAL     equity shares
INC
LILLY             Common         532457108 1355268  37417670 SH        DEFINED   1,2,5,6,8,10,12,13,18,    37417670
(ELI) & CO        equity shares
LIMELIGHT         Common         53261M104    2227    608432 SH        DEFINED   1,2,6,                      608432
NETWORKS          equity shares
INC
LIMITED           Common         532716107  262388  10657510 SH        DEFINED   1,2,5,6,8,10,12,13,18,    10657510
BRANDS INC        equity shares
LIN TV            Common         532774106    3417    594226 SH        DEFINED   1,2,6,                      586826            7400
CORP              equity shares
LINCARE           Common         532791100   73081   1628371 SH        DEFINED   1,2,5,6,8,10,12,           1628371
HOLDINGS          equity shares
INC
LINCOLN           Common         533535100    5852    231320 SH        DEFINED   1,2,6,8,                    231320
EDUCATIONAL       Stock
SERVICES
LINCOLN           Common         533900106   50988    937858 SH        DEFINED   1,2,5,6,8,10,               937858
ELECTRIC          equity shares
HLDGS INC
LINCOLN           Common         534187109  341811  11133902 SH        DEFINED   1,2,5,6,8,10,12,13,18,    11133902
NATIONAL          equity shares
CORP
LINDSAY           Common         535555106   10369    250403 SH        DEFINED   1,2,5,6,8,                  250403
CORP              equity shares
LINEAR            Common         535678106  215784   7630284 SH        DEFINED   1,2,5,6,8,10,12,13,18,     7630284
TECHNOLOGY        equity shares
CORP
LINEAR            Any issuer     535678AC     2600   2650000 SH        DEFINED   1,2,                       2650000
TECHNOLOGY        issuing in any
CORP A            currency
                  offered in all
                  markets
                  simultaneously
LINN              Composition    536020100     489     19000 SH        DEFINED   1,                           19000
ENERGY LLC        of more than 1
                  security
                  Common         536252109    3967   1092929 SH        DEFINED   1,2,                       1092929
LIONBRIDGE        equity shares
TECHNOLOGIES
INC
LIONS             Common         535919203     332     53276 SH        DEFINED   1,5,6,8,                     53276
GATE              equity shares
ENTERTAINMENT
CP
LIQUIDITY         Common         53635B107    3065    265581 SH        DEFINED   1,2,6,                      265581
SERVICES          equity shares
INC
LITHIA            Common         536797103    2670    413941 SH        DEFINED   1,2,                        413941
MOTORS            equity shares
INC -CL A
                  Common         537008104   19321    508308 SH        DEFINED   1,2,5,8,                    508308
LITTELFUSE        equity shares
INC
LIVE              Common         538034109   50546   3485933 SH        DEFINED   1,2,5,6,8,                 3485933
NATION            equity shares
ENTERTAINMENT
                  Common         538146101    6361    829311 SH        DEFINED   1,2,5,                      829311
LIVEPERSON        equity shares
INC
LIZ               Common         539320101   15032   2023188 SH        DEFINED   1,2,5,6,8,                 2023188
CLAIBORNE         equity shares
INC
LKQ CORP          Common         501889208   60453   2975734 SH        DEFINED   1,2,5,6,8,10,              2975734
                  equity shares
LLOYDS            American       539439109     209     54196 SH        DEFINED   1,2,                         54196
BANKING           Depository
GROUP PLC         Receipt
LMI               Common         502079106    2786    149965 SH        DEFINED   1,2,                        149965
AEROSPACE         equity shares
INC
LOCAL.COM         Common         53954R105      93     13963 SH        DEFINED   1,2,                         13963
CORP              equity shares
LOCKHEED          Common         539830109 6213312  74661283 SH        DEFINED   1,2,5,6,8,10,12,13,18,    74661283
MARTIN            equity shares
CORP
LODGENET          Common         540211109    3629    520625 SH        DEFINED   1,2,                        520625
INTERACTIVE       equity shares
CORP
LODGIAN           Common         54021P403      82     32940 SH        DEFINED   1,                           32940
INC               equity shares
LOEWS CORP        Common         540424108  462609  12409030 SH        DEFINED   1,2,5,6,8,10,12,13,18,    12409030
                  equity shares
LOGITECH          Common         H50430232     661     40474 SH        DEFINED   1,                           40474
INTERNATIONAL     equity shares
SA
LOGMEIN           Common         54142L109    2539    122717 SH        DEFINED   1,2,                        122717
INC               equity shares
LOJACK            Common         539451104     143     34697 SH        DEFINED   1,                           34697
CORP              equity shares
LONGTOP           American       54318P108     375     10900 SH        DEFINED   1,                           10900
FINANCIAL         Depository
TECH -ADR         Receipt
LOOPNET           Common         543524300    4953    440664 SH        DEFINED   1,2,6,8,                    440664
INC               equity shares
LORAL             Common         543881106    7125    202876 SH        DEFINED   1,2,5,8,                    202876
SPACE &           equity shares
COMMUNICATIONS
LORILLARD         Common         544147101  405750   5392744 SH        DEFINED   1,2,5,6,8,10,12,13,18,     5392744
INC               equity shares
LOUISIANA-        Common         546347105   35734   3948508 SH        DEFINED   1,2,5,6,8,                 3948508
PACIFIC CORP      equity shares
LOWE'S            Common         548661107 2762596 113938454 SH        DEFINED   1,2,5,6,8,10,12,13,18,    49827642        64110812
COMPANIES         equity shares
INC
LRAD CORP         Common         50213V109      43     28203 SH        DEFINED   1,                           28203
                  equity shares
LSB               Common         502160104    5649    370647 SH        DEFINED   1,2,6,                      370647
INDUSTRIES        equity shares
INC
LSI CORP          Common         502161102  143422  23435037 SH        DEFINED   1,2,5,6,8,10,12,13,18,    23435037
                  equity shares
LSI               Common         50216C108    2522    369800 SH        DEFINED   1,2,                        369800
INDUSTRIES        equity shares
INC
LTC               Real Estate    502175102   15483    572165 SH        DEFINED   1,2,3,5,8,                  572165
PROPERTIES        Investment
INC               Trust
                  Common         502403108     445    146952 SH        DEFINED   1,2,                        146952
LTX-CREDENCE      equity shares
CORP
LUBRIZOL          Common         549271104  324677   3599973 SH        DEFINED   1,2,5,6,8,10,12,13,18,     3599973
CORP              equity shares
LUBYS INC         Common         549282101    1356    344232 SH        DEFINED   1,2,                        344232
                  equity shares
LUCENT            A U S issuer   549463AG     1911   1900000 SH        DEFINED   1,2,                       1900000
TECHNOLOGIES      issuing in U S
A                 dollars in the
                  U S capital
                  market
LUFKIN            Common         549764108   27454    346857 SH        DEFINED   1,2,5,6,8,                  346857
INDUSTRIES        equity shares
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                              SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                    
LULULEMON         Common     550021109  31494   759658 SH        DEFINED   1,2,5,6,8,                759658
ATHLETICA         equity
INC               shares
LUMBER            Common     55003T107   7608   285272 SH        DEFINED   1,2,6,8,                  285272
LIQUIDATORS       equity
HLDGS INC         shares
LUMINEX           Common     55027E102  13372   794545 SH        DEFINED   1,2,5,6,8,                794545
CORP              equity
                  shares
LUXOTTICA         American   55068R202    222     8280 SH        DEFINED   1,                          8280
GROUP SPA         Depository
                  Receipt
LYDALL INC        Common     550819106    662    84301 SH        DEFINED   1,                         84301
                  equity
                  shares
M & F             Common     552541104   8106   264910 SH        DEFINED   1,2,5,6,8,                264910
WORLDWIDE         equity
CORP              shares
M & T             Common     55261F104 270914  3412878 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3412878
BANK CORP         equity
                  shares
M/I HOMES         Common     55305B101   6260   427306 SH        DEFINED   1,2,6,8,                  427306
INC               equity
                  shares
MAC-GRAY          Common     554153106   2089   185071 SH        DEFINED   1,2,                      185071
CORP              equity
                  shares
MACATAWA          Common     554225102     23    13222 SH        DEFINED   1,                         13222
BANK CORP         equity
                  shares
MACERICH          Real       554382101 123647  3227544 SH        DEFINED   1,2,3,5,6,8,10,12,18,    3213681             NA
CO                Estate
                  Investment
                  Trust
MACK-CALI         Real       554489104  87901  2494358 SH        DEFINED   1,2,3,5,6,8,10,          2483158             NA
REALTY            Estate
CORP              Investment
                  Trust
MACQUARIE         Closed     55608B105    544    39380 SH        DEFINED   1,8,                       39380
INFRASTRUCT       end
CO LLC            mutual
                  fund
MACY'S INC        Common     55616P104 357582 16425462 SH        DEFINED   1,2,5,6,8,10,12,13,18,  16425462
                  equity
                  shares
MADDEN            Common     556269108  17530   359222 SH        DEFINED   1,2,5,6,8,                359222
STEVEN LTD        equity
                  shares
MADISON           Common     55826P100  16058   738976 SH        DEFINED   1,2,5,6,8,10,12,18,       738976
SQUARE            equity
GARDEN INC        shares
MAGELLAN          Common     559079207  34715   798414 SH        DEFINED   1,2,5,8,                  798414
HEALTH            equity
SERVICES          shares
INC
MAGELLAN          Common     559091301     43    19023 SH        DEFINED   1,                         19023
PETROLEUM         equity
CORP              shares
MAGMA             Common     559181102    118    45488 SH        DEFINED   1,6,                       45488
DESIGN            equity
AUTOMATION        shares
INC
MAGNETEK          Common     559424106    140    83270 SH        DEFINED   1,                         83270
INC               equity
                  shares
MAGNUM            Common     55973B102     72    23800 SH        DEFINED   1,                         23800
HUNTER            equity
RESOURCES         shares
CORP
MAGUIRE           Real       559775101    138    44786 SH        DEFINED   1,                         44786
PROPERTIES        Estate
INC               Investment
                  Trust
MAGYAR            American   559776109    203     9853 SH        DEFINED   1,                          9853
TELEKOM           Depository
                  Receipt
MAHANAGAR         American   559778402    306    93264 SH        DEFINED   5,8,                       93264
TELEPHONE         Depository
NIGAM             Receipt
MAIDEN            Common     G5753U112   7882  1066602 SH        DEFINED   1,2,6,8,                 1066602
HOLDINGS          equity
LTD               shares
                  Common     560305104  10452   478336 SH        DEFINED   1,2,6,8,                  478336
MAIDENFORM        equity
BRANDS INC        shares
MAIN              Common     56035L104   1991   127546 SH        DEFINED   1,2,                      127546
STREET            equity
CAPITAL           shares
CORP
                  Common     56062Y102   2790   414561 SH        DEFINED   1,2,                      414561
MAINSOURCE        equity
FINL              shares
GROUP INC
MAJESCO           Common     560690208     16    17557 SH        DEFINED   1,                         17557
ENTERTAINMENT     equity
CO                shares
MAKO              Common     560879108   4939   366410 SH        DEFINED   1,2,6,                    366410
SURGICAL          equity
CORP              shares
MANHATTAN         Common     562750109  16364   642241 SH        DEFINED   1,2,5,6,8,                642241
ASSOCIATES        equity
INC               shares
MANITOWOC         Common     563571108  20601  1584683 SH        DEFINED   1,2,5,6,8,10,            1584683
CO                equity
                  shares
MANNATECH         Common     563771104   1024   306729 SH        DEFINED   1,2,                      306729
INC               equity
                  shares
MANNKIND          Common     56400P201   7073  1077463 SH        DEFINED   1,2,5,6,8,               1077463
CORP              equity
                  shares
MANPOWER          Common     56418H100 121378  2124957 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2124957
INC/WI            equity
                  shares
MANTECH           Common     564563104  32750   670696 SH        DEFINED   1,2,5,6,8,                670696
INTL CORP         equity
                  shares
MANULIFE          Common     56501R106   2090   106170 SH        DEFINED   1,                        106170
FINANCIAL         equity
CORP              shares
MAP               Common     56509R108   3352   210921 SH        DEFINED   1,2,6,                    210921
PHARMACEUTICALS   equity
INC               shares
MARATHON          Common     565849106 845865 26727719 SH        DEFINED   1,2,5,6,8,10,12,13,18,  26727719
OIL CORP          equity
                  shares
MARCHEX           Common     56624R108   2356   461083 SH        DEFINED   1,2,                      461083
INC               equity
                  shares
MARCUS            Common     566330106   5714   439908 SH        DEFINED   1,2,5,8,                  439908
CORP              equity
                  shares
MARINE            Common     568427108   1203   200561 SH        DEFINED   1,2,5,                    200561
PRODUCTS          equity
CORP              shares
MARINEMAX         Common     567908108    757    70337 SH        DEFINED   1,2,                       70337
INC               equity
                  shares
MARINER           Common     56845T305  28853  1927413 SH        DEFINED   1,2,5,6,8,10,            1927413
ENERGY INC        equity
                  shares
MARKEL            Common     570535104  40632   108451 SH        DEFINED   1,2,5,6,8,10,12,          108451
CORP              equity
                  shares
MARKET            Common     57056R103     28    14200 SH        DEFINED   1,                         14200
LEADER INC        equity
                  shares
                  Common     57060D108   9082   577367 SH        DEFINED   1,2,6,8,                  577367
MARKETAXESS       equity
HOLDINGS          shares
INC
MARRIOTT          Common     571903202 316457 10030667 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10030667
INTL INC          equity
                  shares
MARSH &           Common     571748102 440566 18041190 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18041190
MCLENNAN          equity
COS               shares
                  Common     571837103 188069 23362581 SH        DEFINED   1,2,5,6,8,10,12,13,18,  23362581
MARSHALL &        equity
ILSLEY            shares
CORP
MARTEK            Common     572901106  20160   895588 SH        DEFINED   1,2,5,6,8,18,             895588
BIOSCIENCES       equity
CORP              shares
MARTEN            Common     573075108   7246   367613 SH        DEFINED   1,2,6,8,                  359313           8300
TRANSPORT         equity
LTD               shares
MARTHA            Common     573083102   2640   473121 SH        DEFINED   1,2,6,                    473121
STEWART           equity
LIVING            shares
OMNIMD
MARTIN            Common     573284106  87830  1051227 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1051227
MARIETTA          equity
MATERIALS         shares
MARVELL           Common     G5876H105 173266  8498890 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8498890
TECHNOLOGY        Stock
GROUP LTD
MASCO CORP        Common     574599106 224597 14471424 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14471424
                  equity
                  shares
MASIMO            Common     574795100  42494  1603881 SH        DEFINED   1,2,5,6,8,               1603881
CORP              Stock







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
MASSEY            Common         576206106  237610  4545630 SH        DEFINED   1,2,5,6,8,10,12,13,      4545630
ENERGY CO         equity shares
MASSEY            USA: Bond      576203AJ     1822  1875000 SH        DEFINED   1,2,                     1875000
ENERGY CO
MASTEC INC        Common         576323109   13106  1039334 SH        DEFINED   1,2,5,8,                 1039334
                  equity shares
                  Common         57636Q104  773682  3046833 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3046833
MASTERCARD        equity shares
INC
MATRIX            Common         576853105    6999   650506 SH        DEFINED   1,2,5,6,8,                650506
SERVICE CO        Stock
MATRIXX           Common         57685L105    1492   294251 SH        DEFINED   1,2,                      294251
INITIATIVES       equity shares
INC
MATTEL INC        Common         577081102  290735 12785198 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12785198
                  Stock
MATTHEWS          Common         577128101   33735   950272 SH        DEFINED   1,2,5,6,8,                950272
INTL CORP         equity shares
-CL A
MATTSON           Common         577223100     415    89894 SH        DEFINED   1,6,                       80394           9500
TECHNOLOGY        equity shares
INC
MAX               Common         G6052F103   24571  1069683 SH        DEFINED   1,2,5,8,                 1069683
CAPITAL           Stock
GROUP LTD
MAXIM             Common         57772K101   98718  5091156 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5091156
INTEGRATED        Stock
PRODUCTS
MAXIMUS           Common         577933104   25248   414205 SH        DEFINED   1,2,5,8,                  414205
INC               equity shares
MAXWELL           Common         577767106    5265   424903 SH        DEFINED   1,2,5,6,8,                424903
TECHNOLOGIES      equity shares
INC
MAXYGEN           Common         577776107    3267   497200 SH        DEFINED   1,2,6,                    497200
INC               equity shares
MB                Common         55264U108   46221  2051550 SH        DEFINED   1,2,5,8,                 2051550
FINANCIAL         equity shares
INC/MD
MBIA INC          Common         55262C100   14986  2390136 SH        DEFINED   1,2,5,6,8,10,            2390136
                  equity shares
MBT               Common         578877102      22    15967 SH        DEFINED   1,                         15967
FINANCIAL         equity shares
CORP
MCAFEE INC        Common         579064106  204541  5097651 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5097651
                  equity shares
MCCLATCHY         Common         579489105     507   103225 SH        DEFINED   1,2,8,                    103225
CO -CL A          equity shares
                  Common         579780206  168701  4397845 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4397845
MCCORMICK &       equity shares
COMPANY
INC
                  Common         579793100    2972   295141 SH        DEFINED   1,2,                      295141
MCCORMICK &       equity shares
SCHMICKS
SEAFOOD
MCDERMOTT         Common         580037109   93969  3490475 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3490475
INTL INC          equity shares
                  Common         580135101 2785130 41743549 SH        DEFINED   1,2,5,6,8,10,12,13,18,  41743549
MCDONALD'S        equity shares
CORP
MCG               Common         58047P107    8815  1692002 SH        DEFINED   1,2,8,                   1692002
CAPITAL           equity shares
CORP
MCGRATH           Common         580589109   11603   478729 SH        DEFINED   1,2,5,8,                  478729
RENTCORP          equity shares
                  Common         580645109  395824 11103056 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11103056
MCGRAW-HILL       equity shares
COMPANIES
MCKESSON          Common         58155Q103  651897  9919349 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9919349
CORP              equity shares
MCMORAN           Common         582411104   24724  1689975 SH        DEFINED   1,2,5,6,8,               1689975
EXPLORATION       equity shares
CO
MDC               Common         552676108   60292  1742047 SH        DEFINED   1,2,5,6,8,10,            1742047
HOLDINGS          equity shares
INC
MDRNA INC         Common         55276N100      26    23650 SH        DEFINED   1,                         23650
                  equity shares
MDU               Common         552690109  127035  5886705 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5886705
RESOURCES         equity shares
GROUP INC
MEAD              Common         582839106  336290  6463380 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6463380
JOHNSON           equity shares
NUTRITION
CO
                  Common         58319P108    9907  1254057 SH        DEFINED   1,2,8,                   1254057
MEADOWBROOK       equity shares
INS GROUP
INC
                  Common         583334107  178523  6987203 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6987203
MEADWESTVACO      equity shares
CORP
                  Common         583421102    4028   273814 SH        DEFINED   1,2,                      273814
MEASUREMENT       equity shares
SPECIALTIES
INC
MECHEL OAO        American       583840103   41971  1476798 SH        DEFINED   1,2,5,6,8,10,18,         1476798
                  Depository
                  Receipt
MEDALLION         Common         583928106    2574   323324 SH        DEFINED   1,2,                      323324
FINANCIAL         equity shares
CORP
MEDASSETS         Common         584045108   15707   747948 SH        DEFINED   1,2,5,6,8,                747948
INC               equity shares
MEDCATH           Common         58404W109    4089   390568 SH        DEFINED   1,2,                      390568
CORP              equity shares
MEDCO             Common         58405U102 1047679 16232714 SH        DEFINED   1,2,5,6,8,10,12,13,18,  16232714
HEALTH            equity shares
SOLUTIONS
INC
MEDIA             Common         584404107     428    51593 SH        DEFINED   1,                         51593
GENERAL           equity shares
-CL A
MEDIACOM          Common         58446K105    7089  1181387 SH        DEFINED   1,2,5,6,                 1181387
COMMUNICATIONS    equity shares
CORP
MEDICAL           Common         58449L100    3090   251826 SH        DEFINED   1,2,                      251826
ACTION            equity shares
INDUSTRIES
MEDICAL           Real Estate    58463J304   23739  2265165 SH        DEFINED   1,2,3,5,8,               2265165
PROPERTIES        Investment
TRUST             Trust
MEDICINES         Common         584688105    8092  1032174 SH        DEFINED   1,2,5,6,8,               1032174
CO                equity shares
MEDICIS           Common         584690309   51894  2062548 SH        DEFINED   1,2,5,6,8,               2062548
PHARMACEUT        equity shares
CP -CL A
MEDIDATA          Common         58471A105    1848   121598 SH        DEFINED   1,2,                      121598
SOLUTIONS         equity shares
INC
MEDIFAST          Common         58470H101    6295   250488 SH        DEFINED   1,2,8,                    250488
INC               equity shares
                  Common         58501N101   24548  2340104 SH        DEFINED   1,2,5,6,8,               2340104
MEDIVATION        equity shares
INC
MEDNAX INC        Common         58502B106   37937   652732 SH        DEFINED   1,2,5,6,8,10,             652732
                  equity shares
MEDQUIST          Common         584949101    1168   149488 SH        DEFINED   1,2,                      149488
INC               equity shares
MEDTOX            Common         584977201     192    15971 SH        DEFINED   1,                         15971
SCIENTIFIC        equity shares
INC
MEDTRONIC         Common         585055106 1698315 37716247 SH        DEFINED   1,2,5,6,8,10,12,13,18,  37716247
INC               equity shares
MEDTRONIC         Any issuer     585055AL     6095  5950000 SH        DEFINED   1,2,                     5950000
INC               issuing in any
                  currency
                  offered in all
                  markets
                  simultaneously
MEDTRONIC         Any issuer     585055AM     6344  5950000 SH        DEFINED   1,2,                     5950000
INC               issuing in any
                  currency
                  offered in all
                  markets
                  simultaneously
MELA              Common         28519210     2977   401229 SH        DEFINED   1,2,                      401229
SCIENCES          equity shares
INC
MELCO             Depository     585464100     211    43701 SH        DEFINED   1,2,5,6,                   43701
CROWN             Receipt
ENTMT LTD
-ADR







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                          
MELLANOX          Common         M51363113     653     27701 SH        DEFINED   2,                          27701
TECHNOLOGIES      Stock
LTD
MEMC              Common         552715104  111948   7302558 SH        DEFINED   1,2,5,6,8,10,12,13,18,    7302558
ELECTRONIC        equity shares
MATRIALS
INC
MEMSIC INC        Common         586264103     757    237278 SH        DEFINED   1,2,                       237278
                  equity shares
MENS              Common         587118100   46941   1960826 SH        DEFINED   1,2,5,6,8,                1960826
WEARHOUSE         equity shares
INC
MENTOR            Common         587200106   24987   3115610 SH        DEFINED   1,2,5,6,8,                3115610
GRAPHICS          equity shares
CORP
                  Common         58733R102   22645    469478 SH        DEFINED   1,2,5,6,8,                 469478
MERCADOLIBRE      Stock
INC
MERCER            Common         587902107    1693     94053 SH        DEFINED   1,2,                        94053
INSURANCE         equity shares
GROUP INC
MERCHANTS         Common         588448100    2134     98279 SH        DEFINED   1,2,                        98279
BANCSHARES        equity shares
INC/VT
MERCK & CO        Common         58933Y105 4064494 108833592 SH        DEFINED   1,2,5,6,8,10,12,13,18,  108833592
                  equity shares
MERCURY           Common         589378108    6692    487751 SH        DEFINED   1,2,8,                     487751
COMPUTER          equity shares
SYSTEMS
INC
MERCURY           Common         589400100   48376   1086304 SH        DEFINED   1,2,5,6,8,10,12,           667955         418349
GENERAL           equity shares
CORP
MEREDITH          Common         589433101   36840   1070603 SH        DEFINED   1,2,5,6,8,10,12,13,       1070603
CORP              equity shares
MERGE             Common         589499102    1063    513738 SH        DEFINED   1,2,                       513738
HEALTHCARE        equity shares
INC
MERIDIAN          Common         589584101   17291    849337 SH        DEFINED   1,2,5,6,8,                 849337
BIOSCIENCE        equity shares
INC
MERIDIAN          Common         58964Q104    1807    173708 SH        DEFINED   1,2,6,                     173708
INTERSTATE        equity shares
BANCORP
MERIDIAN          Common         58977Q109      27     95934 SH        DEFINED   1,                          95934
RESOURCE          equity shares
CORP
MERIT             Common         589889104    9270    607869 SH        DEFINED   1,2,5,6,8,                 603269           4600
MEDICAL           equity shares
SYSTEMS
INC
MERITAGE          Common         59001A102   14568    693716 SH        DEFINED   1,2,5,6,8,                 693716
HOMES CORP        equity shares
MET-PRO           Common         590876306    2529    258057 SH        DEFINED   1,2,                       258057
CORP              equity shares
METABOLIX         Common         591018809    4916    403610 SH        DEFINED   1,2,8,                     403610
INC               equity shares
METALICO          Common         591176102    3670    612744 SH        DEFINED   1,2,6,                     612744
INC               equity shares
METHODE           Common         591520200   11177   1125183 SH        DEFINED   1,2,5,8,                  1125183
ELECTRONICS       equity shares
INC
METLIFE           Common         59156R108 1204032  27781076 SH        DEFINED   1,2,5,6,8,10,12,13,18,   27781076
INC               equity shares
METRO             Common         59161R101    2018    146583 SH        DEFINED   1,2,                       146583
BANCORP           equity shares
INC
METROCORP         Common         591650106      30     10154 SH        DEFINED   1,                          10154
BANCSHARES        equity shares
INC
METROPCS          Common         591708102   61004   8616376 SH        DEFINED   1,2,5,6,8,10,12,13,18,    8616376
COMMUNICATIONS    equity shares
INC
                  Common         592142103    1845    571324 SH        DEFINED   1,2,5,                     571324
METROPOLITAN      equity shares
HLTH
NTWRKS INC
                  Common         592688105   78490    718773 SH        DEFINED   1,2,5,6,8,10,              718773
METTLER-TOLEDO    equity shares
INTL INC
MF GLOBAL         Common         55277J108   17796   2200298 SH        DEFINED   1,2,5,8,                  2200298
HOLDINGS          equity shares
LTD
MFA               Real Estate    55272X102   48798   6633123 SH        DEFINED   1,2,5,8,                  6633123
FINANCIAL         Investment
INC               Trust
MGE               Common         55277P104   17433    493016 SH        DEFINED   1,2,5,8,                   493016
ENERGY INC        equity shares
MGIC              Common         552848103   43376   3957985 SH        DEFINED   1,2,5,6,8,                3944205          13780
INVESTMENT        equity shares
CORP/WI
MGM MIRAGE        Common         552953101   39016   3251305 SH        DEFINED   1,2,5,6,8,10,12,13,18,    3251305
                  equity shares
MICREL INC        Common         594793101   12247   1148919 SH        DEFINED   1,2,5,6,8,                1148919
                  equity shares
MICROCHIP         Common         595017104  177949   6319221 SH        DEFINED   1,2,5,6,8,10,12,13,18,    6319221
TECHNOLOGY        equity shares
INC
MICROCHIP         USA: Bond      595017AB     2854   2850000 SH        DEFINED   1,2,                      2850000
TECHNOLOGY
INC
MICROMET          Common         59509C105    8345   1032790 SH        DEFINED   1,2,6,8,                  1032790
INC               equity shares
MICRON            Common         595112103  311241  29966546 SH        DEFINED   1,2,5,6,8,10,12,13,18,   29966546
TECHNOLOGY        Stock
INC
MICRON            Non- or        595112AH     3124   3250000 SH        DEFINED   1,2,                      3250000
TECHNOLOGY        limited-voting
INC               common
                  shares
MICROS            Common         594901100   56021   1703803 SH        DEFINED   1,2,5,6,8,10,             1703803
SYSTEMS           equity shares
INC
MICROSEMI         Common         595137100   29674   1711301 SH        DEFINED   1,2,5,6,8,                1711301
CORP              equity shares
MICROSOFT         Common         594918104 7743339 264534730 SH        DEFINED   1,2,5,6,8,10,12,13,18,  264534730
CORP              equity shares
                  Common         594972408   17531    206310 SH        DEFINED   1,2,5,6,8,                 206310
MICROSTRATEGY     equity shares
INC
MICROTUNE         Common         59514P109    2516    921707 SH        DEFINED   1,2,5,                     921707
INC               equity shares
                  Common         594960106    4331   1535978 SH        DEFINED   1,2,                      1535978
MICROVISION       equity shares
INC
MICRUS            Common         59518V102    5580    282977 SH        DEFINED   1,2,5,                     282977
ENDOVASCULAR      equity shares
CORP
                  Real Estate    59522J103   52636   1016327 SH        DEFINED   1,2,3,5,8,                1012227             NA
MID-AMERICA       Investment
APT               Trust
CMNTYS INC
MIDAS INC         Common         595626102    3271    289952 SH        DEFINED   1,2,                       289952
                  equity shares
                  Common         596087106     160    534416 SH        DEFINED   1,2,                       534416
MIDDLEBROOK       equity shares
PHARMACEUTICALS
MIDDLEBY          Common         596278101   19501    338288 SH        DEFINED   1,2,5,6,8,                 338288
CORP              equity shares
MIDDLESEX         Common         596680108    4663    273461 SH        DEFINED   1,2,5,                     273461
WATER CO          equity shares
MIDSOUTH          Common         598039105    1424     86276 SH        DEFINED   1,2,                        86276
BANCORP           equity shares
INC
MIDWEST           Common         598251106       5     17250 SH        DEFINED   1,                          17250
BANC              Stock
HOLDINGS
INC
MILLER            Common         600544100   30196   1672006 SH        DEFINED   1,2,5,6,8,                1660376          11630
(HERMAN)          equity shares
INC
MILLER            Common         600551204    2173    174784 SH        DEFINED   1,2,                       174784
INDUSTRIES        equity shares
INC/TN
MILLICOM          Common         L6388F110   14574    163482 SH        DEFINED   1,2,5,6,8,12,              163482
INTL              equity shares
CELLULAR
SA
MILLIPORE         Common         601073109  288383   2730895 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2730895
CORP              equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                          
MILLIPORE         USA: Bond      601073AD     1773   1400000 SH        DEFINED   1,2,                      1400000
CORP
MINAS             American       204448104   92835   2997594 SH        DEFINED   1,2,5,6,8,10,12,18,       2997594
BUENAVENTURA      Depository
SA                Receipt
MINDRAY           American       602675100    5118    140215 SH        DEFINED   1,2,6,                     140215
MEDICAL           Depository
INTL -ADR         Receipt
MINDSPEED         Common         602682205     183     22810 SH        DEFINED   1,                          22810
TECHNOLOGIES      equity shares
INC
MINE              Common         602720104   22857    817474 SH        DEFINED   1,2,5,6,8,                 817474
SAFETY            equity shares
APPLIANCES
CO
MINERALS          Common         603158106   31052    599006 SH        DEFINED   1,2,5,6,8,                 599006
TECHNOLOGIES      equity shares
INC
MINES             Common         603432105      32     12400 SH        DEFINED   1,                          12400
MANAGEMENT        equity shares
INC
MIPS              Common         604567107    4276    958760 SH        DEFINED   1,2,                       958760
TECHNOLOGIES      equity shares
INC
MIRANT            Common         60467R100   30374   2794697 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2794697
CORP              equity shares
MISSION           Real Estate    605203108    2692    391301 SH        DEFINED   1,2,3,5,                   391301
WEST              Investment
PROPERTIES        Trust
INC
MISTRAS           Common         60649T107    1430    143168 SH        DEFINED   1,2,                       143168
GROUP INC         equity shares
MITCHAM           Common         606501104      89     12300 SH        DEFINED   1,                          12300
INDUSTRIES        equity shares
INC
                  American       606822104    1977    378035 SH        DEFINED   1,2,                       378035
MITSUBISHI        Depository
UFJ               Receipt
FINANCIAL
GRP
MITSUI &          American       606827202     920      2741 SH        DEFINED   1,2,                         2741
CO LTD            Depository
                  Receipt
MIZUHO            American       60687Y109      88     22360 SH        DEFINED   1,                          22360
FINANCIAL         Depository
GROUP INC         Receipt
MKS               Common         55306N104   21178   1081059 SH        DEFINED   1,2,5,6,8,                1081059
INSTRUMENTS       equity shares
INC
MOBILE            Common         60740F105   11877    765605 SH        DEFINED   1,2,5,6,8,                 765605
MINI INC          equity shares
MOBILE            American       607409109  138086   2488031 SH        DEFINED   1,2,5,6,8,10,12,18,       2488031
TELESYSTEMS       Depository
OJSC              Receipt
MODINE            Common         607828100   10572    940568 SH        DEFINED   1,2,5,6,8,                 940568
MANUFACTURING     equity shares
CO
MODUSLINK         Common         60786L107    8971   1064154 SH        DEFINED   1,2,5,8,                  1064154
GLOBAL            equity shares
SOLUTIONS
MOHAWK            Common         608190104  111121   2043414 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2043414
INDUSTRIES        equity shares
INC
MOLECULAR         Common         60852M104     345    263407 SH        DEFINED   1,2,                       263407
INSIGHT           equity shares
PHARMACTLS
MOLEX INC         Common         608554101   80503   3859194 SH        DEFINED   1,2,5,6,8,10,12,13,       3859194
                  equity shares
MOLEX INC         Common         608554200    2798    158504 SH        DEFINED   1,2,5,8,12,                158504
                  equity shares
MOLINA            Common         60855R100    8168    324528 SH        DEFINED   1,2,5,8,                   324528
HEALTHCARE        equity shares
INC
MOLSON            Common         60871R209  219091   5209020 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5209020
COORS             equity shares
BREWING CO
MOLSON            Non- or        60871RAA     1745   1600000 SH        DEFINED   1,2,                      1600000
COORS             limited-voting
BREWING CO        common
                  shares
MOMENTA           Common         60877T100   11130    743512 SH        DEFINED   1,2,5,6,8,                 743512
PHARMACEUTICALS   equity shares
INC
MONARCH           Common         609027107    1721    201477 SH        DEFINED   1,2,6,                     201477
CASINO &          equity shares
RESORT INC
MONEYGRAM         Common         60935Y109    5858   1537630 SH        DEFINED   1,2,6,                    1537630
INTERNATIONAL     equity shares
INC
MONMOUTH          Real Estate    609720107    3428    407654 SH        DEFINED   1,2,3,5,                   407654
RE INVEST         Investment
CP -CL A          Trust
                  Common         609839105   14597    654578 SH        DEFINED   1,2,5,6,8,                 654578
MONOLITHIC        Stock
POWER
SYSTEMS
INC
MONOTYPE          Common         61022P100    5524    567715 SH        DEFINED   1,2,6,                     567715
IMAGING           equity shares
HOLDINGS
MONRO             Common         610236101   30627    856463 SH        DEFINED   1,2,5,6,8,                 856463
MUFFLER           equity shares
BRAKE INC
MONSANTO          Common         61166W101 1364807  19109599 SH        DEFINED   1,2,5,6,8,10,12,13,18,   19109599
CO                equity shares
MONSTER           Common         611742107   64277   3869791 SH        DEFINED   1,2,5,6,8,10,12,13,       3869791
WORLDWIDE         Stock
INC
                  Common         G62185106   33087   1969232 SH        DEFINED   1,2,5,8,                  1969232
MONTPELIER        equity shares
RE
HOLDINGS
MOODY'S           Common         615369105  206991   6957677 SH        DEFINED   1,2,5,6,8,10,12,13,18,    6957677
CORP              equity shares
MOOG INC          Common         615394202   36163   1020986 SH        DEFINED   1,2,5,8,                  1020986
-CL A             equity shares
MORGAN            Common         617446448 4757377 161641950 SH        DEFINED   1,2,5,6,8,10,12,13,18,  161352861         289089
STANLEY           equity shares
MORGANS           Common         61748W108    2947    459677 SH        DEFINED   1,2,6,                     459677
HOTEL             equity shares
GROUP CO
                  Common         617700109    9389    195233 SH        DEFINED   1,2,5,6,8,10,              195233
MORNINGSTAR       equity shares
INC
MORTONS           Common         619430101      73     12014 SH        DEFINED   1,                          12014
RESTAURANT        equity shares
GROUP INC
MOSAIC CO         Common         61945A107  135686   2232777 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2232777
                  equity shares
MOSYS INC         Common         619718109     125     31222 SH        DEFINED   1,                          31222
                  equity shares
MOTOROLA          Common         620076109  535845  76325734 SH        DEFINED   1,2,5,6,8,10,12,13,18,   76325734
INC               equity shares
MOVADO            Common         624580106    3991    353786 SH        DEFINED   1,2,5,8,                   353786
GROUP INC         equity shares
MOVE INC          Common         62458M108    5966   2854616 SH        DEFINED   1,2,5,6,8,                2854616
                  equity shares
MSC               Common         553530106   45068    888534 SH        DEFINED   1,2,5,6,8,10,              888534
INDUSTRIAL        equity shares
DIRECT
-CL A
MSCI              Common         55354G100   76610   2122620 SH        DEFINED   1,2,5,6,8,10,             2122620
INC-CL A          equity shares
MTR               Common         553769100      41     20212 SH        DEFINED   1,                          20212
GAMING            equity shares
GROUP INC
MTS               Common         553777103   10679    367850 SH        DEFINED   1,2,5,6,8,                 367850
SYSTEMS           equity shares
CORP
MUELLER           Common         624756102   23639    882392 SH        DEFINED   1,2,5,6,8,                 873452           8940
INDUSTRIES        equity shares
MUELLER           Common         624758108   17982   3761918 SH        DEFINED   1,2,5,6,8,                3761918
WATER             equity shares
PRODUCTS
INC
                  Common         625383104    2351    196220 SH        DEFINED   1,2,                       196220
MULTI-COLOR       equity shares
CORP
                  Common         62541B101    6232    241943 SH        DEFINED   1,2,5,6,8,                 241943
MULTI-FINELINE    equity shares
ELECTRON
INC
                  Common         625453105    2462    631324 SH        DEFINED   1,2,                       631324
MULTIMEDIA        equity shares
GAMES INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                 CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------             -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
MURPHY             Common         626717102 395909  7045889 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7045889
OIL CORP           equity shares
MVC                Common         553829102   5597   412422 SH        DEFINED   1,2,                      412422
CAPITAL            equity shares
INC.
MWI                Common         55402X105   9044   223853 SH        DEFINED   1,2,6,8,                  223853
VETERINARY         equity shares
SUPPLY
MYERS              Common         628464109   7328   699220 SH        DEFINED   1,2,5,8,                  699220
INDUSTRIES         equity shares
INC
MYLAN INC          Common         628530107 249549 10995538 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10995538
                   Stock
MYLAN INC          USA: Bond      62853020    6345     4650 SH        DEFINED   2,                          4650
MYLAN INC          USA: Bond      628530AG    1882  1700000 SH        DEFINED   1,2,                     1700000
MYR GROUP          Common         55405W104   5488   336504 SH        DEFINED   1,2,6,8,                  336504
INC                equity shares
MYRIAD             Common         62855J104  52223  2171446 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2171446
GENETICS           equity shares
INC
MYRIAD             Common         62856H107   2723   602446 SH        DEFINED   1,2,5,6,                  602446
PHARMACEUTICALS    Stock
INC
N B T              Common         628778102  20011   874374 SH        DEFINED   1,2,5,8,                  874374
BANCORP            equity shares
INC
NABI               Common         629519109   5419   990659 SH        DEFINED   1,2,5,6,                  990659
BIOPHARMACEUTICALS equity shares
NABORS             Any issuer     629568AP    5017  5050000 SH        DEFINED   1,2,                     5050000
INDUSTRIES         issuing in any
INC                currency
                   offered in all
                   markets
                   simultaneously
NABORS             Common         G6359F103 243968 12428332 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12428332
INDUSTRIES         equity shares
LTD
NACCO              Common         629579103   9617   129703 SH        DEFINED   1,2,5,8,                  129703
INDUSTRIES         equity shares
-CL A
NALCO              Common         62985Q101  37007  1521045 SH        DEFINED   1,2,5,6,8,10,            1521045
HOLDING CO         equity shares
NAM TAI            Common         629865205     70    14069 SH        DEFINED   1,5,6,                     14069
ELECTRONIC         equity shares
                   Common         630077105     97    10239 SH        DEFINED   1,                         10239
NANOMETRICS        equity shares
INC
NANOPHASE          Common         630079101     30    15558 SH        DEFINED   1,                         15558
TECHNOLOGIES       equity shares
CORP
                   Common         63009F105   1107   231163 SH        DEFINED   1,2,                      231163
NANOSPHERE         equity shares
INC
NAPCO              Common         630402105     83    35079 SH        DEFINED   1,                         35079
SECURITY           equity shares
TECH INC
NARA               Common         63080P105   6233   711487 SH        DEFINED   1,2,5,6,8,                711487
BANCORP            equity shares
INC
NASB               Common         628968109   1550    67032 SH        DEFINED   1,2,                       67032
FINANCIAL          equity shares
INC
NASDAQ             Common         631103108 105844  5011533 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5011533
OMX GROUP          equity shares
INC
NASH               Common         631158102  12020   356222 SH        DEFINED   1,2,5,8,18,               356222
FINCH CO           equity shares
NATHAN'S           Common         632347100    254    16388 SH        DEFINED   1,                          2500          13888
FAMOUS INC         equity shares
NATIONAL           American       633643408   2178   536349 SH        DEFINED   1,2,                      536349
BANK OF            Depository
GREECE             Receipt
NATIONAL           Common         634865109   4092   150207 SH        DEFINED   1,2,                      150207
BANKSHARES         equity shares
INC VA
NATIONAL           Common         635017106   2709   243657 SH        DEFINED   1,2,8,                    243657
BEVERAGE           equity shares
CORP
NATIONAL           Public         633643507    478    20966 SH        DEFINED   2,                         20966
BK GREECE          preferred
S A                instrument
NATIONAL           Common         635309107  15616   904764 SH        DEFINED   1,2,5,6,8,                904764
CINEMEDIA          Stock
INC
NATIONAL           USA: Bond      635405AW    3953  3850000 SH        DEFINED   1,2,                     3850000
CITY CORP
NATIONAL           Common         632381208      8    13300 SH        DEFINED   1,                         13300
COAL CORP          equity shares
NATIONAL           Common         63607P208  15840  1118970 SH        DEFINED   1,2,5,8,                 1118970
FINANCIAL          equity shares
PRTNRS CP
NATIONAL           Common         636180101  99705  1972404 SH        DEFINED   1,2,5,6,8,10,            1972404
FUEL GAS           equity shares
CO
NATIONAL           Non- or        636274300    303     6215 SH        DEFINED   1,                          6215
GRID               limited-voting
                   common
                   shares
NATIONAL           Real Estate    63633D104  24988   644698 SH        DEFINED   1,2,3,5,8,                644698
HEALTH             Investment
INVESTORS          Trust
NATIONAL           Common         635906100   5992   169362 SH        DEFINED   1,2,3,5,8,                169362
HEALTHCARE         equity shares
CORP
NATIONAL           Common         636518102  40486  1212857 SH        DEFINED   1,2,5,6,8,10,            1212857
INSTRUMENTS        equity shares
CORP
NATIONAL           Common         63654U100   2677   129269 SH        DEFINED   1,2,5,                    129269
INTERSTATE         Stock
CORP
NATIONAL           Common         637071101 683545 16832705 SH        DEFINED   1,2,5,6,8,10,12,13,18,  16832705
OILWELL            equity shares
VARCO INC
NATIONAL           Common         637138108  34263  4965589 SH        DEFINED   1,2,5,8,                 4965589
PENN               equity shares
BANCSHARES
INC
NATIONAL           Common         637215104  15684   131939 SH        DEFINED   1,2,5,6,8,                131939
PRESTO             equity shares
INDS INC
NATIONAL           Common         637372103    542    21407 SH        DEFINED   1,2,                       21407
RESEARCH           equity shares
CORP
NATIONAL           Real Estate    637417106  49897  2185595 SH        DEFINED   1,2,3,5,8,               2173945             NA
RETAIL             Investment
PROPERTIES         Trust
NATIONAL           Common         637640103 123473  8544868 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8544868
SEMICONDUCTOR      equity shares
CORP
NATIONAL           Common         638522102   8344    45263 SH        DEFINED   1,2,8,                     45263
WESTERN            equity shares
LIFE -CL A
                   Real Estate    638620104 128099  3644380 SH        DEFINED   1,2,3,5,6,8,10,          3628580             NA
NATIONWIDE         Investment
HEALTH             Trust
PPTYS INC
NATURAL            Common         63886Q109   3728   234939 SH        DEFINED   1,2,                      234939
GAS                equity shares
SERVICES
GROUP
NATUS              Common         639050103   9418   591969 SH        DEFINED   1,2,5,6,8,                591969
MEDICAL            Stock
INC
NAUTILUS           Common         63910B102    283    93694 SH        DEFINED   1,                         93694
INC                equity shares
NAVARRE            Common         639208107     59    28417 SH        DEFINED   1,                         28417
CORP               equity shares
NAVIGANT           Common         63935N107  19721  1625840 SH        DEFINED   1,2,5,6,8,               1625840
CONSULTING         equity shares
INC
                   Common         638904102  10961   278681 SH        DEFINED   1,2,5,8,                  278681
NAVIGATORS         equity shares
GROUP INC
NAVISITE           Common         63935M208     38    14820 SH        DEFINED   1,                         14820
INC                equity shares
NAVISTAR           Common         63934E108  29920   667512 SH        DEFINED   1,2,5,6,8,10,             667512
INTERNATIONAL      Stock
CORP
NAVISTAR           USA: Bond      63934EAL    1766  1575000 SH        DEFINED   1,2,                     1575000
INTL CORP







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
NBTY INC          Common         628782104  60660  1264277 SH        DEFINED   1,2,5,6,8,10,            1264277
                  equity shares
NCI               Common         628852204   4644   420683 SH        DEFINED   1,2,                      420683
BUILDING          equity shares
SYSTEMS
INC
NCI INC           Common         62886K104   3884   128485 SH        DEFINED   1,2,6,                    128485
                  equity shares
NCR CORP          Common         62886E108  45972  3331337 SH        DEFINED   1,2,5,6,8,10,12,         3331337
                  equity shares
NEENAH            Common         640079109   5509   347811 SH        DEFINED   1,2,                      347811
PAPER INC         equity shares
NEKTAR            Common         640268108  32291  2122993 SH        DEFINED   1,2,5,6,8,               2122993
THERAPEUTICS      equity shares
NELNET INC        Common         64031N108   8319   446868 SH        DEFINED   1,2,5,8,                  446868
                  equity shares
NEOGEN            Common         640491106  11381   452264 SH        DEFINED   1,2,6,8,                  452264
CORP              equity shares
NESS              Common         64104X108   5648   895075 SH        DEFINED   1,2,8,                    895075
TECHNOLOGIES      equity shares
INC
NET 1             Common         64107N206  12411   674856 SH        DEFINED   1,2,5,6,8,                674856
UEPS              equity shares
TECHNOLOGIES
INC
NET               American       64109T201    977    75449 SH        DEFINED   1,6,10,                    75449
SERVICOS          Depository
COMUNICACAO       Receipt
SA
NETAPP INC        Common         64110D104 384518 11801288 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11801288
                  equity shares
NETAPP INC        USA: Bond      64110DAB    3952  3350000 SH        DEFINED   1,2,                     3350000
                  American       64110W102  41666  1174691 SH        DEFINED   1,2,5,6,                 1174691
NETEASE.COM       Depository
INC -ADR          Receipt
NETEZZA           Common         64111N101  11065   865130 SH        DEFINED   1,2,6,8,                  865130
CORP              Stock
NETFLIX           Common         64110L106  83457  1131776 SH        DEFINED   1,2,5,6,8,10,            1131776
INC               equity shares
NETGEAR           Common         64111Q104  20341   779357 SH        DEFINED   1,2,5,6,8,                779357
INC               equity shares
NETLOGIC          Common         64118B100  29312   994878 SH        DEFINED   1,2,5,6,8,                994878
MICROSYSTEMS      Stock
INC
NETSCOUT          Common         64115T104  10371   701235 SH        DEFINED   1,2,5,6,8,                701235
SYSTEMS           equity shares
INC
NETSUITE          Common         64118Q107   5428   374180 SH        DEFINED   1,2,5,6,                  374180
INC               equity shares
NETWORK           Common         64121A107     82    43757 SH        DEFINED   1,                         43757
ENGINES           equity shares
INC
NETWORK           Common         641208103   2856   518391 SH        DEFINED   1,2,5,                    518391
EQUIPMENT         Stock
TECH INC
                  Common         64127R302     23    11400 SH        DEFINED   1,                         11400
NEURALSTEM        equity shares
INC
                  Common         64125C109   2159   846737 SH        DEFINED   1,2,6,                    846737
NEUROCRINE        equity shares
BIOSCIENCES
INC
NEUROGESX         Common         641252101   1896   201702 SH        DEFINED   1,2,                      201702
INC               equity shares
NEUSTAR           Common         64126X201  37873  1502915 SH        DEFINED   1,2,5,6,8,10,            1502915
INC               equity shares
NEUTRAL           Common         64128B108  10692   669070 SH        DEFINED   1,2,5,6,8,                669070
TANDEM INC        Stock
NEVADA            Common         64126Q206     26    31982 SH        DEFINED   1,                         31982
GOLD &            equity shares
CASINOS
INC
NEW               Common         644398109     51    25324 SH        DEFINED   1,                         25324
FRONTIER          equity shares
MEDIA INC
NEW               Common         646025106  39310  1046588 SH        DEFINED   1,2,5,8,                 1046588
JERSEY            equity shares
RESOURCES
CORP
NEW               American       647581107  18454   215810 SH        DEFINED   1,2,6,18,                 215810
ORIENTAL          Depository
ED & TECH         Receipt
-ADR
NEW               Common         649295102   2359   492430 SH        DEFINED   1,2,5,6,                  492430
YORK &            equity shares
COMPANY
INC
NEW YORK          Common         649445103 188240 11380875 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11380875
CMNTY             equity shares
BANCORP
INC
NEW YORK          Common         650111107  37477  3367193 SH        DEFINED   1,2,5,6,8,10,12,13,      3367193
TIMES CO          equity shares
-CL A
                  Common         650203102  42480  3366081 SH        DEFINED   1,2,5,6,8,               3366081
NEWALLIANCE       equity shares
BANCSHARES
INC
NEWBRIDGE         Common         65080T102     73    20558 SH        DEFINED   1,                         20558
BANCORP           equity shares
NEWELL            Common         651229106 138417  9100976 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9100976
RUBBERMAID        equity shares
INC
NEWFIELD          Common         651290108 192435  3695483 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3695483
EXPLORATION       equity shares
CO
NEWMARKET         Common         651587107  26595   258228 SH        DEFINED   1,2,5,6,8,                258228
CORP              equity shares
NEWMONT           Common         651639106 875580 17186659 SH        DEFINED   1,2,5,6,8,10,12,13,18,  17186659
MINING            equity shares
CORP
NEWMONT           A U S issuer   651639AH    2251  1750000 SH        DEFINED   1,2,                     1750000
MINING            issuing in U S
CORP              dollars in the
                  U S capital
                  market
NEWMONT           USA: Bond      651639AJ    1874  1450000 SH        DEFINED   1,2,                     1450000
MINING
CORP
NEWMONT           Non- or        651639AK    1456  1150000 SH        DEFINED   2,                       1150000
MINING            limited-voting
CORP              common
                  shares
NEWPARK           Common         651718504   9632  1834635 SH        DEFINED   1,2,5,8,                 1834635
RESOURCES         equity shares
NEWPORT           Common         651824104  10982   881697 SH        DEFINED   1,2,5,8,                  881697
CORP              equity shares
NEWS CORP         Non- or        65248E203  41440  2436227 SH        DEFINED   1,2,5,8,10,12,13,18,     2436227
                  limited-voting
                  common
                  shares
NEWS CORP         Non- or        65248E104  57135  3964927 SH        DEFINED   1,5,8,12,18,             3964927
                  limited-voting
                  common
                  shares
NEWSTAR           Common         65251F105   3238   507462 SH        DEFINED   1,2,6,                    507462
FINANCIAL         equity shares
INC
NEXMED INC        Common         652903105      7    15000 SH        DEFINED   1,                         15000
                  equity shares
NEXSTAR           Common         65336K103     53    10746 SH        DEFINED   1,                         10746
BROADCASTING      equity shares
GROUP
NEXTWAVE          Common         65337Y102     29    61200 SH        DEFINED   1,                         61200
WIRELESS          equity shares
INC
NGAS              Common         62912T103     42    27960 SH        DEFINED   1,                         27960
RESOURCES         equity shares
INC
NGP               Common         62912R107   3474   407781 SH        DEFINED   1,2,                      407781
CAPITAL           equity shares
RESOURCES
CO.
NIC INC           Common         62914B100   8339  1059647 SH        DEFINED   1,2,6,8,                 1059647
                  equity shares
NICE              American       653656108    404    12723 SH        DEFINED   1,6,                       12723
SYSTEMS           Depository
LTD               Receipt
NICOR INC         Common         654086107  90623  2161810 SH        DEFINED   1,2,5,6,8,10,12,13,      2161810
                  equity shares
NIGHTHAWK         Common         65411N105   1815   570793 SH        DEFINED   1,2,                      570793
RADIOLOGY         equity shares
HLDGS







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
NII               Common         62913F201  106597  2558499 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2558499
HOLDINGS          equity shares
INC
NII               Any issuer     62913FAJ     3153  3300000 SH        DEFINED   1,2,                     3300000
HOLDINGS          issuing in any
INC               currency
                  offered in all
                  markets
                  simultaneously
NIKE INC          Common         654106103  888651 12087078 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12087078
                  equity shares
NISOURCE          Common         65473P105  197379 12491256 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12491256
INC               equity shares
NIVS              Common         62914U108     309    80595 SH        DEFINED   1,                         80595
INTELLIMEDIA      equity shares
TECHNOLOGY
NL                Common         629156407    1111   129500 SH        DEFINED   1,2,5,                    129500
INDUSTRIES        equity shares
NMT               Common         629294109      69    15242 SH        DEFINED   1,                         15242
MEDICAL           Stock
INC
NN INC            Common         629337106      61    11178 SH        DEFINED   1,                         11178
                  equity shares
NOBEL             Common         654889104     508    64743 SH        DEFINED   1,2,                       64743
LEARNING          equity shares
CMNTYS INC
NOBLE CORP        Common         H5833N103   76508  1830760 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1830760
                  equity shares
NOBLE             Common         655044105  489212  6701532 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6701532
ENERGY INC        equity shares
NOKIA             American       654902204   10339   665308 SH        DEFINED   1,2,                      665308
(AB) OY           Depository
                  Receipt
NOMURA            Non- or        65535H208     386    52690 SH        DEFINED   1,2,                       52690
HOLDINGS          limited-voting
INC               common
                  shares
NORDIC            Common         G65773106   32024  1057913 SH        DEFINED   1,2,5,                   1057913
AMER              equity shares
TANKER
SHIPPING
NORDSON           Common         655663102   75946  1118175 SH        DEFINED   1,2,5,6,8,               1118175
CORP              equity shares
NORDSTROM         Common         655664100  235354  5761423 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5761423
INC               equity shares
NORFOLK           Common         655844108  697078 12472325 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12472325
SOUTHERN          equity shares
CORP
NORTH             Common         65686Y109    1152   207193 SH        DEFINED   1,2,                      207193
AMER              equity shares
GALV &
COATINGS
NORTHEAST         Common         664112109     573    79687 SH        DEFINED   1,2,                       79687
COMMUNITY         equity shares
BANCORP
NORTHEAST         Common         664397106  194496  7036767 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7036767
UTILITIES         equity shares
NORTHERN          Common         665531109    9728   613754 SH        DEFINED   1,2,6,8,                  613754
OIL & GAS         equity shares
INC
NORTHERN          Common         665859104  464753  8410307 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8410307
TRUST CORP        equity shares
                  Common         66611L105    5545   382964 SH        DEFINED   1,2,8,                    382964
NORTHFIELD        equity shares
BANCORP
INC
NORTHGATE         Common         666416102      36    11900 SH        DEFINED   1,                            NA          11900
MINERALS          equity shares
CORP
NORTHRIM          Common         666762109    1961   114819 SH        DEFINED   1,2,                      114819
BANCORP           equity shares
INC
NORTHROP          Common         666807102 2145258 32713445 SH        DEFINED   1,2,5,6,8,10,12,13,18,  32713445
GRUMMAN           equity shares
CORP
NORTHSTAR         Real Estate    66704R100    5759  1367993 SH        DEFINED   1,2,5,6,8,               1367993
REALTY            Investment
FINANCE CP        Trust
NORTHWEST         Common         667340103   11748   999223 SH        DEFINED   1,2,5,8,                  999223
BANCSHARES        Stock
INC
NORTHWEST         Common         667655104   69780  1497180 SH        DEFINED   1,2,5,8,                 1497180
NATURAL           equity shares
GAS CO
NORTHWEST         Common         667746101    3987   182458 SH        DEFINED   1,2,5,6,8,                182458
PIPE CO           equity shares
                  Common         668074305   24699   917412 SH        DEFINED   1,2,5,8,                  917412
NORTHWESTERN      equity shares
CORP
NORWOOD           Common         669549107     804    29788 SH        DEFINED   1,2,                       29788
FINANCIAL         equity shares
CORP
NOVAMED           Common         66986W108    1217   357800 SH        DEFINED   1,2,                      357800
INC               equity shares
NOVARTIS          American       66987V109    4052    76470 SH        DEFINED   1,2,                       76470
AG                Depository
                  Receipt
NOVATEL           Common         66987M604    4519   671421 SH        DEFINED   1,2,5,6,8,                671421
WIRELESS          equity shares
INC
NOVAVAX           Common         670002104    3066  1327465 SH        DEFINED   1,2,                     1327465
INC               equity shares
NOVELL INC        Common         670006105   61973 10346137 SH        DEFINED   1,2,5,6,8,10,12,13,     10346137
                  equity shares
NOVELLUS          Common         670008101   70795  2831796 SH        DEFINED   1,2,5,6,8,10,12,13,      2831796
SYSTEMS           equity shares
INC
NOVO              American       670100205     301     3904 SH        DEFINED   1,                          3904
NORDISK           Depository
A/S               Receipt
NPS               Common         62936P103    5368  1065012 SH        DEFINED   1,2,6,                   1065012
PHARMACEUTICALS   equity shares
INC
NRG               Common         629377508  217845 10423228 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10423228
ENERGY INC        equity shares
NSTAR             Common         67019E107   94028  2654665 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2654665
                  equity shares
NTELOS            Common         67020Q107   11796   660681 SH        DEFINED   1,2,5,8,                  660681
HOLDINGS          equity shares
CORP
NTT               American       62942M201    1275    83891 SH        DEFINED   1,2,                       83891
DOCOMO INC        Depository
                  Receipt
NU                Common         669908105      40    12548 SH        DEFINED   1,                         12548
HORIZONS          equity shares
ELECTRS
CORP
NU SKIN           Common         67018T105   34540  1186407 SH        DEFINED   1,2,5,8,                 1186407
ENTERPRISES       equity shares
-CL A
NUANCE            Common         67020Y100   50033  3006775 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3006775
COMMUNICATIONS    equity shares
INC
NUCOR CORP        Common         670346105  550436 12129481 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12129481
                  equity shares
                  Common         67060Y101    3306   221255 SH        DEFINED   1,2,                      201325          19930
NUTRACEUTICAL     equity shares
INTL CORP
                  Common         67069D108   11030   619336 SH        DEFINED   1,2,5,6,8,                619336
NUTRISYSTEM       equity shares
INC
NUVASIVE          Common         670704105   35112   777621 SH        DEFINED   1,2,5,6,8,                777621
INC               equity shares
NV ENERGY         Common         67073Y106   70299  5701429 SH        DEFINED   1,2,5,6,8,10,            5701429
INC               equity shares
NVE CORP          Common         629445206    3657    80732 SH        DEFINED   1,2,                       80732
                  equity shares
NVIDIA            Common         67066G104  325208 18723974 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18723974
CORP              equity shares
NVR INC           Common         62944T105  127309   175236 SH        DEFINED   1,2,5,6,8,10,12,          175236
                  equity shares
NXSTAGE           Common         67072V103    5745   501782 SH        DEFINED   1,2,                      501782
MEDICAL           equity shares
INC
NYMAGIC           Common         629484106    2107    99266 SH        DEFINED   1,2,                       99266
INC               equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                        
NYSE              Common     629491101  268498  9067817 SH        DEFINED   1,2,5,6,8,10,12,13,18,      9067817
EURONEXT          equity
                  shares
                  Common     670823103    5238   585950 SH        DEFINED   1,2,5,                       585950
O'CHARLEY'S       equity
INC               shares
O'REILLY          Common     686091109  197998  4746266 SH        DEFINED   1,2,5,6,8,10,12,13,18,      4746266
AUTOMOTIVE        equity
INC               shares
OBAGI             Common     67423R108    4355   357574 SH        DEFINED   1,2,                         357574
MEDICAL           equity
PRODUCTS          shares
INC
OCCAM             Common     67457P309     104    15798 SH        DEFINED   1,                            15798
NETWORKS          equity
INC               shares
                  Common     674599105 2457029 29061640 SH        DEFINED   1,2,5,6,8,10,12,13,18,     29061640
OCCIDENTAL        equity
PETROLEUM         shares
CORP
OCEAN             Common     67501R103     118    10991 SH        DEFINED   1,                            10991
SHORE             equity
HOLDING CO        shares
                  Common     675232102   88869  1399387 SH        DEFINED   1,2,5,6,8,10,               1399387
OCEANEERING       equity
INTERNATIONAL     shares
                  Common     675234108    2962   260759 SH        DEFINED   1,2,                         260759
OCEANFIRST        equity
FINANCIAL         shares
CORP
                  Common     Y64202107      38    50551 SH        DEFINED   1,                            50551
OCEANFREIGHT      equity
INC               shares
OCH-ZIFF          Common     67551U105     661    41300 SH        DEFINED   1,8,                          41300
CAPITAL           equity
MGMT LP           shares
OCLARO INC        Common     67555N107     577   209740 SH        DEFINED   1,2,                         209740
                  equity
                  shares
OCULUS            Common     67575P108      22    10600 SH        DEFINED   1,                            10600
INNOVATIVE        equity
SCIENCES          shares
OCWEN             Common     675746309   15017  1354120 SH        DEFINED   1,2,5,8,                    1338720          15400
FINANCIAL         equity
CORP              shares
ODYSSEY           Common     67611V101   15117   834717 SH        DEFINED   1,2,5,8,                     834717
HEALTHCARE        equity
INC               shares
ODYSSEY           Common     676118102    1360  1038211 SH        DEFINED   1,2,5,                      1038211
MARINE            equity
EXPLORATION       shares
OFFICE            Common     676220106  121650 15244332 SH        DEFINED   1,2,5,6,8,10,12,13,        15244332
DEPOT INC         equity
                  shares
OFFICEMAX         Common     67622P101   52048  3169823 SH        DEFINED   1,2,5,6,8,                  3169823
INC               equity
                  shares
OGE               Common     670837103   82599  2121191 SH        DEFINED   1,2,5,6,8,10,               2121191
ENERGY            equity
CORP              shares
OHIO              Common     677719106    1430    66397 SH        DEFINED   1,2,                          66397
VALLEY            equity
BANC CORP         shares
OIL DRI           Common     677864100    1711    88505 SH        DEFINED   1,2,                          88505
CORP              equity
AMERICA           shares
OIL               Common     678026105   71975  1586786 SH        DEFINED   1,2,5,6,8,10,               1586786
STATES            equity
INTL INC          shares
OILSANDS          Common     678046103    2904  3928548 SH        DEFINED   1,2,5,8,                    3928548
QUEST INC         equity
                  shares
OLD               Common     679580100   21902   655199 SH        DEFINED   1,2,5,6,8,                   655199
DOMINION          equity
FREIGHT           shares
OLD               Common     680033107   41718  3491084 SH        DEFINED   1,2,5,8,                    3487284           3800
NATIONAL          equity
BANCORP           shares
OLD POINT         Common     680194107     339    22950 SH        DEFINED   1,2,                          22950
FINANCIAL         equity
CORP              shares
OLD               Common     680223104   72295  5701522 SH        DEFINED   1,2,5,6,8,10,12,13,18,      5701522
REPUBLIC          equity
INTL CORP         shares
OLD               Common     680277100    1608   244015 SH        DEFINED   1,2,                         244015
SECOND            equity
BANCORP           shares
INC/IL
OLIN CORP         Common     680665205  133427  6800566 SH        DEFINED   1,2,5,6,8,                  6800566
                  equity
                  shares
OLYMPIC           Common     68162K106    6694   205013 SH        DEFINED   1,2,5,8,                     205013
STEEL INC         equity
                  shares
OM GROUP          Common     670872100   27587   813197 SH        DEFINED   1,2,5,8,                     813197
INC               equity
                  shares
OMEGA             Common     682095104     451    42970 SH        DEFINED   1,2,                          42970
FLEX INC          equity
                  shares
OMEGA             Real       681936100   56867  2917728 SH        DEFINED   1,2,3,5,6,8,                2905128             NA
HEALTHCARE        Estate
INVS INC          Investment
                  Trust
OMEGA             Common     68210P107    1967   342017 SH        DEFINED   1,2,                         342017
PROTEIN           equity
CORP              shares
OMEROS            Common     682143102     575    81698 SH        DEFINED   1,2,                          81698
CORP              equity
                  shares
OMNI              Common     68210T208      54    27849 SH        DEFINED   1,2,                          27849
ENERGY            Stock
SERVICES
CORP
                  Common     68216R107    1442   125091 SH        DEFINED   1,2,                         125091
OMNIAMERICAN      equity
BANCORP           shares
INC
OMNICARE          Common     681904108   88244  3119278 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   3119278
INC               equity
                  shares
OMNICARE          A U S      681904AL     2117  2488000 SH        DEFINED   1,2,                        2488000
INC OCR           issuer
                  issuing in
                  U S
                  dollars in
                  the U S
                  capital
                  market
OMNICELL          Common     68213N109    9377   668385 SH        DEFINED   1,2,5,6,8,                   668385
INC               equity
                  shares
OMNICOM           Common     681919106  381765  9836125 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   9830675           5450
GROUP             equity
                  shares
                  Common     682128103   18565  1080613 SH        DEFINED   1,2,5,6,8,                  1080613
OMNIVISION        equity
TECHNOLOGIES      shares
INC
OMNOVA            Common     682129101    9709  1236861 SH        DEFINED   1,2,                        1236861
SOLUTIONS         equity
INC               shares
ON                Common     682159108    6749   946614 SH        DEFINED   1,2,                         946614
ASSIGNMENT        Stock
INC
ON                Common     682189105   42143  5267848 SH        DEFINED   1,2,5,6,8,10,               5267848
SEMICONDUCTOR     equity
CORP              shares
ONCOGENEX         Common     68230A106    1718    83677 SH        DEFINED   1,2,6,                        83677
PHARMACEUTICALS   equity
                  shares
ONE               Real       682406103     262    15734 SH        DEFINED   1,2,                          15734
LIBERTY           Estate
PROPERTIES        Investment
INC               Trust
ONEBEACON         Common     G67742109    4176   242072 SH        DEFINED   1,2,8,10,                    242072
INSURANCE         equity
GROUP             shares
ONEOK INC         Common     682680103  211904  4641928 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,   4641928
                  equity
                  shares
ONLINE            Common     68273G101    1946   482929 SH        DEFINED   1,2,                         482929
RESOURCES         equity
CORP              shares
ONYX              Common     683399109   60457  1996602 SH        DEFINED   1,2,5,6,8,                  1996602
PHARMACEUTICALS   Stock
INC
OPEN JT           American   68370R109   59584  3236498 SH        DEFINED   1,2,5,6,18,8,10,12,18,      3236498
STK               Depository
CO-VIMPEL         Receipt
COMMUN
OPEN TEXT         Common     683715106     339     7133 SH        DEFINED   1,2,5,                         7133
CORP              Stock
OPENTABLE         Common     68372A104    2524    66187 SH        DEFINED   1,2,8,                        66187
INC               equity
                  shares
OPENWAVE          Common     683718308    3512  1526875 SH        DEFINED   1,2,5,                      1526875
SYSTEMS           equity
INC               shares
OPKO              Common     68375N103    1510   762751 SH        DEFINED   1,2,6,                       762751
HEALTH INC        equity
                  shares
OPLINK            Common     68375Q403    9671   521604 SH        DEFINED   1,2,6,8,                     521604
COMMUNICATIONS    equity
INC               shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                                  SHARED   NO
ISSUER              CLASS      CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS          SOLE VOTING VOTING VOTING
------            ---------- --------- ------- --------- --- ---- ---------- ------------------------- ----------- ------ ------
                                                                                         
OPNET             Common     683757108    3692    229011 SH        DEFINED   1,2,5,6,8,                    229011
TECHNOLOGIES      equity
INC               shares
OPNEXT INC        Common     68375V105    1166    493858 SH        DEFINED   1,2,5,6,                      493858
                  equity
                  shares
                  Common     683797104    4950    194031 SH        DEFINED   1,2,                          194031
OPPENHEIMER       equity
HOLDINGS          shares
INC
OPTIMER           Common     68401H104    6308    513670 SH        DEFINED   1,2,8,                        513670
PHARMACEUTICALS   equity
INC               shares
                  Common     684010101   20219   1241199 SH        DEFINED   1,2,5,6,8,                   1241199
OPTIONSXPRESS     equity
HOLDINGS          shares
INC
ORACLE            Common     68389X105 3362654 130893440 SH        DEFINED   1,2,5,6,18,8,10,12,13,18,  130893440
CORP              equity
                  shares
ORASURE           Common     68554V108    5661    954678 SH        DEFINED   1,2,6,                        954678
TECHNOLOGIES      Stock
INC
ORBCOMM           Common     68555P100      58     27025 SH        DEFINED   1,                             27025
INC               equity
                  shares
ORBITAL           Common     685564106   23563   1239497 SH        DEFINED   1,2,5,6,8,                   1239497
SCIENCES          equity
CORP              shares
ORBITZ            Common     68557K109    5245    737699 SH        DEFINED   1,2,5,6,                      737699
WORLDWIDE         equity
INC               shares
ORBOTECH          Common     M75253100    1424    131531 SH        DEFINED   1,2,5,6,                      131531
LTD               equity
                  shares
ORCHID            Common     68573C107      36     18796 SH        DEFINED   1,                             18796
CELLMARK          equity
INC               shares
ORCHIDS           Common     68572N104    1449     88057 SH        DEFINED   1,2,                           88057
PAPER             equity
PRODUCTS          shares
OREXIGEN          Common     686164104    3414    579605 SH        DEFINED   1,2,6,8,                      579605
THERAPEUTICS      equity
INC               shares
                  Common     G67743107   28676   2023224 SH        DEFINED   1,2,3,5,6,8,                 2023224
ORIENT-EXPRESS    equity
HOTELS            shares
ORIENTAL          Common     68618W100   12369    908345 SH        DEFINED   1,2,5,8,                      908345
FINANCIAL         equity
GROUP INC         shares
ORION             Common     686275108    1585    323403 SH        DEFINED   1,2,                          323403
ENERGY            Stock
SYSTEMS
INC
ORION             Common     68628V308    9411    521387 SH        DEFINED   1,2,6,8,                      521387
MARINE            Stock
GROUP INC
ORITANI           Common     686323106    3218    200264 SH        DEFINED   1,2,5,6,                      200264
FINANCIAL         equity
CORP              shares
ORIX CORP         American   686330101     453     10275 SH        DEFINED   1,                             10275
                  Depository
                  Receipt
ORMAT             Common     686688102    5125    182118 SH        DEFINED   1,2,5,6,8,10,                 182118
TECHNOLOGIES      equity
INC               shares
ORRSTOWN          Common     687380105    2382     93876 SH        DEFINED   1,2,                           93876
FINANCIAL         equity
SVCS INC          shares
ORTHOFIX          Common     N6748L102   14043    386010 SH        DEFINED   1,2,5,6,8,                    386010
INTERNATIONAL     equity
NV                shares
                  Common     68750J107      39     43076 SH        DEFINED   1,                             43076
ORTHOLOGIC        Stock
CORP
ORTHOVITA         Common     68750U102    5159   1211135 SH        DEFINED   1,2,6,8,                     1211135
INC               equity
                  shares
OSHKOSH           Common     688239201   97471   2416228 SH        DEFINED   1,2,5,6,8,10,18,             2416228
CORP              equity
                  shares
OSI               Common     671040103   93304   1566821 SH        DEFINED   1,2,5,6,8,10,                1566821
PHARMACEUTICALS   equity
INC               shares
OSI               Common     671044105   11308    403152 SH        DEFINED   1,2,5,6,8,                    403152
SYSTEMS           equity
INC               shares
OSIRIS            Common     68827R108    2329    314693 SH        DEFINED   1,2,6,                        314693
THERAPEUTICS      equity
INC               shares
OSTEOTECH         Common     688582105     184     46909 SH        DEFINED   1,                             46909
INC               equity
                  shares
                  American   423325307     863    137375 SH        DEFINED   1,2,                          137375
OTE-HELLENIC      Depository
TELECOM           Receipt
ORG
OTTER             Common     689648103   15706    715214 SH        DEFINED   1,2,5,8,                      715214
TAIL CORP         equity
                  shares
OUTDOOR           Common     690027206    1599    242568 SH        DEFINED   1,2,8,                        242568
CHANNEL           equity
HLDGS INC         shares
OVERHILL          Common     690212105    1463    250963 SH        DEFINED   1,2,                          250963
FARMS INC         equity
                  shares
OVERSEAS          Common     690368105   21414    544467 SH        DEFINED   1,2,5,6,8,10,                 544467
SHIPHOLDING       equity
GROUP             shares
                  Common     690370101    4799    295347 SH        DEFINED   1,2,5,6,8,                    295347
OVERSTOCK.COM     equity
INC               shares
OWENS &           Common     690732102   69230   1505111 SH        DEFINED   1,2,5,6,8,                   1505111
MINOR INC         equity
                  shares
OWENS             Common     690742101   61322   2402717 SH        DEFINED   1,2,5,6,8,10,                2402717
CORNING           equity
                  shares
                  Common     690768403  219420   6173879 SH        DEFINED   1,2,5,6,8,10,12,13,18,       6173879
OWENS-ILLINOIS    equity
INC               shares
OXFORD            Common     691497309    8695    427695 SH        DEFINED   1,2,5,8,                      427695
INDUSTRIES        equity
INC               shares
OXIGENE           Common     691828107     664    539814 SH        DEFINED   1,2,                          539814
INC               equity
                  shares
OYO               Common     671074102    3912     81822 SH        DEFINED   1,2,6,                         81822
GEOSPACE          equity
CORP              shares
P F               Common     69333Y108   25770    583954 SH        DEFINED   1,2,5,6,8,                    583954
CHANGS            equity
CHINA             shares
BISTRO INC
PACCAR INC        Common     693718108  522727  12061085 SH        DEFINED   1,2,5,6,8,10,12,13,18,      12061085
                  equity
                  shares
PACER             Common     69373H106    4232    703027 SH        DEFINED   1,2,6,8,                      703027
INTERNATIONAL     equity
INC               shares
PACIFIC           Common     69404P101    2026   1119226 SH        DEFINED   1,2,5,                       1119226
CAPITAL           equity
BANCORP           shares
PACIFIC           Common     69412V108    3249    309452 SH        DEFINED   1,2,                          309452
CONTINENTAL       equity
CORP              shares
PACIFIC           Common     69423U107      49     43781 SH        DEFINED   1,                             43781
ETHANOL           Stock
INC
PACIFIC           Common     69478X105      49     10000 SH        DEFINED   1,                             10000
PREMIER           equity
BANCORP           shares
INC
PACIFIC           Common     694873100    6857   1291383 SH        DEFINED   1,2,5,6,8,                   1291383
SUNWEAR           equity
CALIF INC         shares
PACKAGING         Common     695156109   51377   2087654 SH        DEFINED   1,2,5,6,8,10,                2077394         10260
CORP OF           equity
AMERICA           shares
PACTIV            Common     695257105  126243   5013606 SH        DEFINED   1,2,5,6,8,10,12,13,18,       5013606
CORP              equity
                  shares
PACWEST           Common     695263103   41527   1818251 SH        DEFINED   1,2,5,6,8,                   1818251
BANCORP           equity
                  shares
PAETEC            Common     695459107   13429   2869526 SH        DEFINED   1,2,5,6,8,                   2869526
HOLDING           equity
CORP              shares
PAIN              Common     69562K100    4484    715164 SH        DEFINED   1,2,6,                        715164
THERAPEUTICS      Stock
INC
PALATIN           Common     696077304      11     42006 SH        DEFINED   1,                             42006
TECHNOLOGIES      equity
INC               shares
PALL CORP         Common     696429307  160163   3956115 SH        DEFINED   1,2,5,6,8,10,12,13,18,       3956115
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
PALM              Common         696639103     22    10915 SH        DEFINED   1,                         10915
HARBOR            equity shares
HOMES INC
PALM INC          Common         696643105  17857  4749113 SH        DEFINED   1,2,5,6,8,               4749113
                  equity shares
PALOMAR           Common         697529303   4189   385773 SH        DEFINED   1,2,5,6,8,                385773
MED               equity shares
TECHNOLOGIES
INC
PANASONIC         American       69832A205   1535   100226 SH        DEFINED   1,                        100226
CORP              Depository
                  Receipt
PANERA            Common         69840W108  51735   676362 SH        DEFINED   1,2,5,6,8,10,             676362
BREAD CO          equity shares
PANHANDLE         Common         698477106   3096   131005 SH        DEFINED   1,2,                      131005
OIL & GAS         equity shares
INC
PANTRY INC        Common         698657103   5805   464773 SH        DEFINED   1,2,5,8,                  464773
                  equity shares
PAPA              Common         698813102  16310   634378 SH        DEFINED   1,2,5,6,8,                634378
JOHNS             equity shares
INTERNATIONAL
INC
PAR               Common         69888P106  30469  1226308 SH        DEFINED   1,2,5,6,8,               1226308
PHARMACEUTICAL    equity shares
COS INC
PAR               Common         698884103    742   122650 SH        DEFINED   1,2,                      122650
TECHNOLOGY        equity shares
CORP
PARAGON           Common         69913R309    152    32524 SH        DEFINED   1,2,                       32524
SHIPPING          Stock
INC
                  Common         699173209  65240  3614394 SH        DEFINED   1,2,5,6,8,               3614394
PARAMETRIC        equity shares
TECHNOLOGY
CORP
PARAMOUNT         Common         69924P102   1671  1202408 SH        DEFINED   1,2,                     1202408
GOLD AND          equity shares
SILVER
PAREXEL           Common         699462107  28532  1224037 SH        DEFINED   1,2,5,6,8,               1216777           7260
INTERNATIONAL     equity shares
CORP
PARK              Common         700416209  13237   459399 SH        DEFINED   1,2,5,8,                  459399
ELECTROCHEMICAL   equity shares
CORP
PARK              Common         700658107  14715   236151 SH        DEFINED   1,2,5,8,                  236151
NATIONAL          equity shares
CORP
PARKER            Common         701081101  14158  2871844 SH        DEFINED   1,2,5,8,                 2871844
DRILLING          equity shares
CO
                  Common         701094104 370204  5717810 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5717810
PARKER-HANNIFIN   equity shares
CORP
                  Common         701354102    974   573145 SH        DEFINED   1,2,                      573145
PARKERVISION      equity shares
INC
PARKWAY           Real Estate    70159Q104  14270   759350 SH        DEFINED   1,2,3,5,8,                759350
PROPERTIES        Investment
INC               Trust
PARLUX            Common         701645103     27    13631 SH        DEFINED   1,                         13631
FRAGRANCES        equity shares
INC
PARTNERRE         Common         G6852T105 100559  1261399 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1261399
LTD               equity shares
PATRIOT           Common         70336T104  82130  4014197 SH        DEFINED   1,2,5,6,8,               4014197
COAL CORP         equity shares
PATRIOT           Common         70337B102   2242    26539 SH        DEFINED   1,2,6,                     26539
TRANSN            equity shares
HOLDING
INC
PATTERSON         Common         703395103  95192  3065779 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3065779
COMPANIES         equity shares
INC
                  Common         703481101  81251  5816133 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5816133
PATTERSON-UTI     equity shares
ENERGY INC
PAYCHEX           Common         704326107 317215 10332716 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10332716
INC               equity shares
PC                Common         69318J100   1079   174068 SH        DEFINED   1,2,                      174068
CONNECTION        equity shares
INC
PC MALL           Common         69323K100    941   185880 SH        DEFINED   1,2,                      185880
INC               equity shares
PCTEL INC         Common         69325Q105   3128   506196 SH        DEFINED   1,2,                      506196
                  equity shares
PDF               Common         693282105     88    20183 SH        DEFINED   1,                         20183
SOLUTIONS         equity shares
INC
PDL               Common         69329Y104  18090  2913052 SH        DEFINED   1,2,5,6,8,               2913052
BIOPHARMA         equity shares
INC
PEABODY           USA: Bond      704549AG    2005  1850000 SH        DEFINED   1,2,                     1850000
ENERGY
CORP
PEABODY           Non- or        704549104 508760 11132599 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11132599
ENERGY            limited-voting
CORP              common
                  shares
                  Common         704699107   2452   156107 SH        DEFINED   1,2,                      156107
PEAPACK-GLADSTONE equity shares
FINL CORP
PEARSON           American       705015105    678    43184 SH        DEFINED   1,                         43184
PLC               Depository
                  Receipt
                  Common         70509V100   5797   275645 SH        DEFINED   1,2,                      275645
PEBBLEBROOK       equity shares
HOTEL
TRUST
PEET'S            Common         705560100   9679   244110 SH        DEFINED   1,2,6,8,                  244110
COFFEE &          equity shares
TEA INC
                  Common         705573103  11379   307544 SH        DEFINED   1,2,6,8,                  307544
PEGASYSTEMS       equity shares
INC
PENFORD           Common         707051108    253    24705 SH        DEFINED   1,                         24705
CORP              equity shares
PENN              Common         707569109  19495   701242 SH        DEFINED   1,2,5,6,8,10,             701242
NATIONAL          equity shares
GAMING INC
PENN              Common         707882106  25523  1041771 SH        DEFINED   1,2,5,8,                 1041771
VIRGINIA          equity shares
CORP
                  Common         708062104   6794   655813 SH        DEFINED   1,2,                      655813
PENNANTPARK       equity shares
INVESTMENT
CORP
PENNEY (J         Common         708160106 811187 25215632 SH        DEFINED   1,2,5,6,8,10,12,13,18,  25215632
C) CO             equity shares
                  Common         708254206   1764    75012 SH        DEFINED   1,2,                       75012
PENNICHUCK        equity shares
CORP
PENNS             Common         708430103   2112    62965 SH        DEFINED   1,2,                       62965
WOODS             equity shares
BANCORP
INC
                  Real Estate    709102107  20070  1599095 SH        DEFINED   1,2,3,5,8,               1599095
PENNSYLVANIA      Investment
RE INVS           Trust
TRUST
PENNYMAC          Closed end     70931T103   4434   266958 SH        DEFINED   1,2,8,                    266958
MORTGAGE          mutual fund
INVEST TR
PENSKE            Common         70959W103   8898   617046 SH        DEFINED   1,2,5,6,8,10,             617046
AUTOMOTIVE        equity shares
GROUP INC
PENSON            Common         709600100   4059   403111 SH        DEFINED   1,2,                      403111
WORLDWIDE         equity shares
INC
PENTAIR           Common         709631105 107542  3019134 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3019134
INC               equity shares
PENWEST           Common         709754105    123    35581 SH        DEFINED   1,                         35581
PHARMACEUTICALS   equity shares
CO
PEOPLE'S          Common         712704105 216930 13870470 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13870470
UNITED            equity shares
FINL INC
PEOPLES           Common         709789101   3899   236561 SH        DEFINED   1,2,8,                    236561
BANCORP           equity shares
INC/OH
PEOPLES           Common         71103B102   1006    67200 SH        DEFINED   1,2,                       67200
FINANCIAL         equity shares
CORP/MS
PEP               Common         713278109  12221  1216037 SH        DEFINED   1,2,5,8,                 1216037
BOYS-MANNY        equity shares
MOE & JACK
PEPCO             Common         713291102 160577  9363111 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9363111
HOLDINGS          equity shares
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS       CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------             ------------ --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
PEPSICO            Common       713448108 3489466  52743548 SH        DEFINED   1,2,5,6,8,10,12,13,18,   52743548
INC                equity
                   shares
PEREGRINE          Common       713661304     179     58182 SH        DEFINED   1,5,                        58182
PHARMACEUTICLS     equity
INC                shares
PERFECT            American     71372U104    8498    227635 SH        DEFINED   1,5,                       227635
WORLD CO           Depository
LTD -ADR           Receipt
                   Common       71375U101    8224    729694 SH        DEFINED   1,2,5,6,8,                 729694
PERFICIENT         equity
INC                shares
                   Common       71376K102      44     16379 SH        DEFINED   1,                          16379
PERFORMANCE        equity
TECHNOLOGIES       shares
INC
PERICOM            Common       713831105    7712    720044 SH        DEFINED   1,2,5,6,8,                 715444          4600
SEMICONDUCTOR      equity
CORP               shares
                   Common       714046109   79433   3323559 SH        DEFINED   1,2,5,6,8,10,12,13,       3323559
PERKINELMER        equity
INC                shares
PERMA-FIX          Common       714157104    1872    835736 SH        DEFINED   1,2,                       835736
ENVIRONMENTAL      equity
SVCS               shares
PERRIGO CO         Common       714290103  123476   2102571 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2102571
                   equity
                   shares
PERVASIVE          Common       715710109    1229    242875 SH        DEFINED   1,2,                       242875
SOFTWARE           equity
INC                shares
PETMED             Common       716382106   10768    485714 SH        DEFINED   1,2,5,6,8,                 485714
EXPRESS            equity
INC                shares
PETROBRAS          Depository   71646J109     568     34065 SH        DEFINED   1,2,5,8,                    34065
ENERGIA SA         Receipt
                   American     71654V408  233966   5258849 SH        DEFINED   1,2,4,5,6,8,10,18,        5258849
PETROBRAS-PETROLEO Depository
BRASILIER          Receipt
                   American     71646E100     842      7183 SH        DEFINED   1,6,                         7183
PETROCHINA         Depository
CO LTD             Receipt
PETROHAWK          Common       716495106  106616   5254371 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5254371
ENERGY             equity
CORP               shares
PETROLEO           American     71654V101  205884   5200400 SH        DEFINED   1,2,5,6,8,10,18,          5200400
BRASILEIRO         Depository
SA PETRO           Receipt
PETROLEUM          Common       716578109   12079    521327 SH        DEFINED   1,2,5,6,8,                 521327
DEVELOPMENT        equity
CORP               shares
                   Common       716748108    5932   1170567 SH        DEFINED   1,2,5,8,                  1170567
PETROQUEST         equity
ENERGY INC         shares
PETSMART           Common       716768106  113342   3545961 SH        DEFINED   1,2,5,6,8,10,12,13,18,    3545961
INC                equity
                   shares
PFIZER INC         Common       717081103 4820139 281064745 SH        DEFINED   1,2,5,6,8,10,12,13,18,  281064745
                   equity
                   shares
PG&E CORP          Common       69331C108  643775  15176204 SH        DEFINED   1,2,5,6,8,10,12,13,18,   15176204
                   equity
                   shares
PGT INC            Common       69336V101      43     23660 SH        DEFINED   1,                          23660
                   equity
                   shares
                   Common       717124101   62122   2615679 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2610379          5300
PHARMACEUTICAL     equity
PROD DEV           shares
INC
                   Common       716933106     262     41983 SH        DEFINED   1,2,                        41983
PHARMACYCLICS      Stock
INC
                   Common       71715N106   11109    414529 SH        DEFINED   1,2,6,8,                   414529
PHARMASSET         equity
INC                shares
                   Common       71714F104   12485    685247 SH        DEFINED   1,2,5,6,8,                 681447          3800
PHARMERICA         equity
CORP               shares
PHASE              Common       71721R406   11068    846804 SH        DEFINED   1,2,5,6,8,                 846804
FORWARD            Stock
INC
PHC                Common       693315103      15     12193 SH        DEFINED   1,                          12193
INC/MA             equity
-CL A              shares
PHH CORP           Common       693320202   30520   1294847 SH        DEFINED   1,2,5,8,                  1294847
                   equity
                   shares
PHI INC            Common       69336T205    5708    269501 SH        DEFINED   1,2,5,                     269501
                   equity
                   shares
PHILIP             Common       718172109 3805303  72958763 SH        DEFINED   1,2,5,6,8,10,12,13,18,   72958763
MORRIS             equity
INTERNATIONAL      shares
PHILIPS            Similar to   500472303    1409     44007 SH        DEFINED   1,2,                        44007
ELECTRONICS        ADR
(KON) NV           Certificates
                   representing
                   ordinary
                   shares
                   Common       718592108   62953   1095786 SH        DEFINED   1,2,5,6,8,10,             1095786
PHILLIPS-VAN       equity
HEUSEN             shares
CORP
PHOENIX            Common       71902E109    6003   2480768 SH        DEFINED   1,2,5,8,                  2480768
COMPANIES          equity
INC                shares
PHOENIX            Common       719153108    2042    634281 SH        DEFINED   1,2,                       634281
TECHNOLOGIES       equity
LTD                shares
                   Common       719405102    8122   1595646 SH        DEFINED   1,2,                      1595646
PHOTRONICS         equity
INC                shares
PICO               Common       693366205   16221    436173 SH        DEFINED   1,2,5,6,8,                 436173
HOLDINGS           equity
INC                shares
PIEDMONT           Common       720186105   92859   3366883 SH        DEFINED   1,2,5,8,                  3366883
NATURAL            equity
GAS CO             shares
PIEDMONT           Real Estate  720190206   14870    749141 SH        DEFINED   1,2,3,10,                  749141
OFFICE             Investment
REALTY             Trust
TRUST
PIER 1             Common       720279108   44381   6967256 SH        DEFINED   1,2,5,6,8,                6967256
IMPORTS            equity
INC/DE             shares
PIKE               Common       721283109    2932    314629 SH        DEFINED   1,2,5,6,                   314629
ELECTRIC           equity
CORP               shares
PILGRIM'S          Common       72147K108     498     46762 SH        DEFINED   1,2,                        46762
PRIDE CORP         equity
                   shares
PINNACLE           Common       723443107     182     24387 SH        DEFINED   1,                          24387
AIRLINES           equity
CORP               shares
PINNACLE           Common       723456109   14353   1454469 SH        DEFINED   1,2,5,6,8,                1454469
ENTERTAINMENT      equity
INC                shares
PINNACLE           Common       72346Q104   28318   1874128 SH        DEFINED   1,2,5,6,8,                1874128
FINL               equity
PARTNERS           shares
INC
PINNACLE           Common       723484101  276046   7316355 SH        DEFINED   1,2,5,6,8,10,12,13,18,    7316355
WEST               equity
CAPITAL            shares
CORP
PIONEER            Common       723655106    9531   1353777 SH        DEFINED   1,2,5,6,8,                1353777
DRILLING           equity
CO                 shares
PIONEER            Common       723787107  290265   5153846 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5153846
NATURAL            equity
RESOURCES          shares
CO
PIPER              Common       724078100   19926    494759 SH        DEFINED   1,2,5,8,                   494759
JAFFRAY            equity
COS INC            shares
PITNEY             Common       724479100  247419  10119004 SH        DEFINED   1,2,5,6,8,10,12,13,18,   10119004
BOWES INC          equity
                   shares
                   Common       72581M305     109     18877 SH        DEFINED   1,                          18877
PIXELWORKS         equity
INC                shares
PLAINS             Common       726505100  120090   4004328 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4004328
EXPLORATION &      equity
PROD CO            shares
PLANAR             Common       726900103      50     17935 SH        DEFINED   1,                          17935
SYSTEMS            equity
INC                shares
                   Common       727493108   49373   1578421 SH        DEFINED   1,2,5,6,8,18,             1578421
PLANTRONICS        equity
INC                shares
PLATINUM           Common       G7127P100   47029   1268245 SH        DEFINED   1,2,5,8,                  1268245
UNDERWRITERS       equity
HLDG               shares
PLATO              Common       72764Y100     128     23061 SH        DEFINED   1,                          23061
LEARNING           equity
INC                shares
PLAYBOY            Common       728117300    1557    425483 SH        DEFINED   1,2,                       425483
ENTERPRISES        equity
-CL B              shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                     
                  American   718252604   54658  1024817 SH        DEFINED   1,2,4,5,6,18,            1024817
PLDT-PHILIPPINE   Depository
LNG DIST          Receipt
TEL
PLEXUS            Common     729132100   32802   910399 SH        DEFINED   1,2,5,6,8,                910399
CORP              equity
                  shares
PLUG              Common     72919P103      45    64381 SH        DEFINED   1,                         64381
POWER INC         equity
                  shares
PLUM              Real       729251108  216929  5575139 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5575139
CREEK             Estate
TIMBER CO         Investment
INC               Trust
PLX               Common     693417107    3269   620377 SH        DEFINED   1,2,                      620377
TECHNOLOGY        equity
INC               shares
PMA               Common     693419202    4572   744668 SH        DEFINED   1,2,5,                    744668
CAPITAL           Stock
CORP
PMC               Real       693434102      94    12785 SH        DEFINED   1,                         12785
COMMERCIAL        Estate
TRUST             Investment
                  Trust
                  Common     69344F106   30974  3472445 SH        DEFINED   1,2,5,6,8,10,            3472445
PMC-SIERRA        equity
INC               shares
PMFG INC          Common     69345P103    3132   236764 SH        DEFINED   1,2,                      236764
                  Stock
PMI GROUP         Common     69344M101    8599  1586541 SH        DEFINED   1,2,5,6,                 1586541
INC               equity
                  shares
PNC               Common     693475105 1112325 18630907 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18630907
FINANCIAL         equity
SVCS              shares
GROUP INC
PNM               Common     69349H107   37493  2992244 SH        DEFINED   1,2,5,6,8,               2992244
RESOURCES         equity
INC               shares
POLARIS           Common     731068102   37067   724536 SH        DEFINED   1,2,5,6,8,                724536
INDUSTRIES        equity
INC               shares
POLO              Common     731572103  162785  1914208 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1914208
RALPH             equity
LAUREN CP         shares
-CL A
POLYCOM           Common     73172K104   80331  2626903 SH        DEFINED   1,2,5,6,8,               2621163           5740
INC               equity
                  shares
POLYONE           Common     73179P106   29377  2859540 SH        DEFINED   1,2,5,8,                 2859540
CORP              equity
                  shares
POLYPORE          Common     73179V103    7684   440109 SH        DEFINED   1,2,5,6,8,                440109
INTERNATIONAL     equity
INC               shares
PONIARD           Common     732449301     563   489794 SH        DEFINED   1,2,                      489794
PHARMACEUTICALS   equity
INC               shares
POOL CORP         Common     73278L105   23607  1042694 SH        DEFINED   1,2,5,6,8,               1042694
                  equity
                  shares
POPULAR           Common     733174106   22909  7872585 SH        DEFINED   1,2,5,6,8,10,12,         7872585
INC               equity
                  shares
PORTEC            Common     736212101    1268   109083 SH        DEFINED   1,2,                      109083
RAIL              equity
PRODUCTS          shares
INC
PORTER            Common     736233107     483    36895 SH        DEFINED   1,2,                       36895
BANCORP           equity
INC               shares
PORTFOLIO         Common     73640Q105   19835   357691 SH        DEFINED   1,2,5,6,8,                357691
RECOVRY           equity
ASSOC INC         shares
PORTLAND          Common     736508847   32898  1703678 SH        DEFINED   1,2,5,8,                 1703678
GENERAL           equity
ELECTRIC          shares
CO
PORTUGAL          American   737273102     453    40813 SH        DEFINED   1,                         40813
TELECOM           Depository
SGPS SA           Receipt
POSCO             American   693483109   12785   109268 SH        DEFINED   1,2,4,6,                  109268
                  Depository
                  Receipt
POST              Real       737464107   37325  1695041 SH        DEFINED   1,2,3,5,6,8,             1695041
PROPERTIES        Estate
INC               Investment
                  Trust
POTASH            Common     73755L107    1978    17900 SH        DEFINED   1,                         17900
CORP SASK         equity
INC               shares
POTLATCH          Real       737630103   43713  1247508 SH        DEFINED   1,2,5,6,8,               1247508
CORP              Estate
                  Investment
                  Trust
POWELL            Common     739128106    5534   170109 SH        DEFINED   1,2,5,6,8,                170109
INDUSTRIES        equity
INC               shares
POWER             Common     739276103   20156   490466 SH        DEFINED   1,2,5,6,8,                490466
INTEGRATIONS      equity
INC               shares
POWER-ONE         Common     739308104    7049  1670618 SH        DEFINED   1,2,6,8,                 1670618
INC               equity
                  shares
                  Common     73936N105    2416   306580 SH        DEFINED   1,2,5,                    296380          10200
POWERSECURE       equity
INTL INC          shares
                  USA:       73935S105     316    13016 SH        DEFINED   1,                         13016
POWERSHARES       Common
DB                Stock
COMMODITY
INDEX
TRACKING
FUND
POWERWAVE         Common     739363109    3704  2962961 SH        DEFINED   1,2,5,6,                 2962961
TECHNOLOGIES      equity
INC               shares
POZEN INC         Common     73941U102    5037   519821 SH        DEFINED   1,2,5,6,                  519821
                  equity
                  shares
PPG               Common     693506107  433121  6622641 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6622641
INDUSTRIES        equity
INC               shares
PPL CORP          Common     69351T106  422443 15245151 SH        DEFINED   1,2,5,6,8,10,12,13,18,  15245151
                  equity
                  shares
PRAXAIR           Common     74005P104  909594 10958806 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10958806
INC               equity
                  shares
PRECISION         Common     740189105  573861  4528699 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4528699
CASTPARTS         equity
CORP              shares
PREFORMED         Common     740444104    1566    41041 SH        DEFINED   1,2,                       41041
LINE              Stock
PRODUCTS
CO
PREMIER           Common     74051E102      23    14700 SH        DEFINED   1,                         14700
EXHIBITIONS       equity
INC               shares
PREMIERE          Common     740585104   10357  1253906 SH        DEFINED   1,2,5,6,8,               1253906
GLOBAL            equity
SERVICES          shares
INC
                  Common     740921101     445   989807 SH        DEFINED   1,2,                      989807
PREMIERWEST       equity
BANCORP           shares
PREPAID           Common     740065107    6586   174002 SH        DEFINED   1,2,5,6,8,                174002
LEGAL             equity
SERVICES          shares
INC
                  Common     740884101    4761   477575 SH        DEFINED   1,2,5,                    477575
PRESIDENTIAL      equity
LIFE CORP         shares
PRESSTEK          Common     741113104     134    29878 SH        DEFINED   1,                         29878
INC               equity
                  shares
PRESTIGE          Common     74112D101    9828  1092055 SH        DEFINED   1,2,5,8,                 1092055
BRANDS            equity
HOLDINGS          shares
PRGX              Common     69357C503      86    14712 SH        DEFINED   1,                         14712
GLOBAL INC        equity
                  shares
PRICE (T.         Common     74144T108  480616  8749602 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8749602
ROWE)             equity
GROUP             shares
                  Common     741503403  380257  1490721 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1490721
PRICELINE.COM     equity
INC               shares
                  Common     741511109    6828   293678 SH        DEFINED   1,2,5,8,                  293678
PRICESMART        equity
INC               shares
PRIDE             Common     74153Q102  139496  4632864 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4632864
INTERNATIONAL     equity
INC               shares
PRIMEDIA          Common     74157K846    1485   431611 SH        DEFINED   1,2,                      431611
INC               equity
                  shares
                  Common     74158E104     312    11586 SH        DEFINED   1,2,                       11586
PRIMEENERGY       equity
CORP              shares
PRIMORIS          Common     74164F103    1149   148487 SH        DEFINED   1,2,                      148487
SERVICES          equity
CORP              shares
PRIMUS            Common     G72457107    1805   429748 SH        DEFINED   1,2,                      429748
GUARANTY          equity
LTD               shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                                 SHARED    NO
ISSUER              CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING  VOTING
------          -------------- --------- ------- --------- --- ---- ---------- ------------------------ ----------- ------ --------
                                                                                          
PRINCETON       Common         742352107     839    240482 SH        DEFINED   1,2,5,                       240482
REVIEW INC      equity shares
PRINCIPAL       Common         74251V102  327268  11203959 SH        DEFINED   1,2,5,6,8,10,12,13,18,     11203959
FINANCIAL       equity shares
GRP INC
                Common         742962103   26108   1905688 SH        DEFINED   1,2,5,6,8,                  1905688
PRIVATEBANCORP  equity shares
INC
                Common         74267C106   50095    855744 SH        DEFINED   1,2,5,8,                     855744
PROASSURANCE    equity shares
CORP
PROCERA         Common         74269U104      12     29700 SH        DEFINED   1,                            29700
NETWORKS        equity shares
INC
PROCTER &       Common         742718109 6518692 103032821 SH        DEFINED   1,2,5,6,8,10,12,13,18,    103032821
GAMBLE CO       equity shares
PROGENICS       Common         743187106    2753    516531 SH        DEFINED   1,2,6,                       516531
PHARMACEUTICAL  equity shares
INC
PROGRESS        Common         743263105  988684  25116913 SH        DEFINED   1,2,5,6,8,10,12,13,18,     11709926         13406987
ENERGY INC      equity shares
PROGRESS        Common         743312100   31496   1002092 SH        DEFINED   1,2,5,6,8,                  1002092
SOFTWARE        equity shares
CORP
                Common         743315103  448378  23487572 SH        DEFINED   1,2,5,6,8,10,12,13,18,     23487572
PROGRESSIVE     equity shares
CORP-OHIO
PROLOGIS        Real Estate    743410102  290766  22027701 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   21960872               NA
                Investment
                Trust
PROLOGIS        A U S issuer   743410AR     1807   1900000 SH        DEFINED   2,                          1900000
                issuing in U S
                dollars in the
                U S capital
                market
PROLOGIS        USA: Bond      743410AQ     2410   2450000 SH        DEFINED   2,                          2450000
TRUST
PROS            Common         74346Y103    3155    319368 SH        DEFINED   1,2,6,                       319368
HOLDINGS        equity shares
INC
PROSPECT        Common         74348T102   14972   1232254 SH        DEFINED   1,2,8,                      1232254
CAPITAL         equity shares
CORP
                Common         743606105   88124   2150274 SH        DEFINED   1,2,5,6,8,18,               2150274
PROSPERITY      equity shares
BANCSHARES
INC
PROTALIX        Common         74365A101    4381    667869 SH        DEFINED   1,2,6,8,                     667869
BIOTHERAPEUTICS equity shares
INC
                Common         743674103   41075   1867912 SH        DEFINED   1,2,5,6,8,10,12,            1867912
PROTECTIVE      equity shares
LIFE CORP
                Common         743815102    4228    278372 SH        DEFINED   1,2,                         278372
PROVIDENCE      equity shares
SERVICE
CORP
PROVIDENT       Common         743868101      42     12204 SH        DEFINED   1,                            12204
FINANCIAL       equity shares
HOLDINGS
PROVIDENT       Common         74386T105   31731   2661486 SH        DEFINED   1,2,5,8,                    2661486
FINANCIAL       equity shares
SVCS INC
PROVIDENT       Common         744028101    6850    722597 SH        DEFINED   1,2,5,8,                     722597
NEW YORK        equity shares
BANCORP
                Common         744319104     349     41377 SH        DEFINED   1,2,                          41377
PRUDENTIAL      equity shares
BANCORP
INC/PA
                Common         744320102  999426  16518960 SH        DEFINED   1,2,5,6,8,10,12,13,18,     16518960
PRUDENTIAL      equity shares
FINANCIAL
INC
                American       74435K204     446     26875 SH        DEFINED   1,                            26875
PRUDENTIAL      Depository
PLC             Receipt
                Non- or        G7293H18      244     10022 SH        DEFINED   2,                            10022
PRUDENTIAL      limited-voting
PLC PUBLIC      common
                shares
                Non- or        G7293H11      202      8331 SH        DEFINED   2,                             8331
PRUDENTIAL      limited-voting
PLC PUBLIC      common
                shares
PS              Real Estate    69360J107   33948    635722 SH        DEFINED   1,2,3,5,6,8,                 635722
BUSINESS        Investment
PARKS           Trust
PSS WORLD       Common         69366A100   37649   1601417 SH        DEFINED   1,2,5,6,8,                  1601417
MEDICAL         equity shares
INC
                Common         74439H108   51524   1728979 SH        DEFINED   1,2,5,6,8,                  1728979
PSYCHIATRIC     equity shares
SOLUTIONS
INC
PUBLIC          Common         744573106  633611  21446729 SH        DEFINED   1,2,5,6,8,10,12,13,18,     21446729
SERVICE         equity shares
ENTRP GRP
INC
PUBLIC          Real Estate    74460D109  568215   6176926 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,    6158922               NA
STORAGE         Investment
                Trust
                Common         745867101  150411  13369864 SH        DEFINED   1,2,5,6,8,10,12,13,18,     13369864
PULTEGROUP      equity shares
INC
PURE            Common         746218106      60     36612 SH        DEFINED   1,2,                          36612
BIOSCIENCE      equity shares
PVF             Common         693654105      41     21791 SH        DEFINED   1,                            21791
CAPITAL         equity shares
CORP
PZENA           Common         74731Q103     959    125746 SH        DEFINED   1,2,                         125746
INVESTMENT      equity shares
MANAGEMENT
QAD INC         Common         74727D108    1403    267330 SH        DEFINED   1,2,                         267330
                equity shares
QC              Common         74729T101     251     48637 SH        DEFINED   1,                            48637
HOLDINGS        equity shares
INC
QIAGEN NV       Common         N72482107    2001     87207 SH        DEFINED   1,5,                          87207
                Stock
QLOGIC          Common         747277101   71558   3525043 SH        DEFINED   1,2,5,6,8,10,12,13,18,      3525043
CORP            equity shares
QUAKER          Common         747316107    6092    224710 SH        DEFINED   1,2,                         224710
CHEMICAL        equity shares
CORP
QUALCOMM        Common         747525103 2318390  55217149 SH        DEFINED   1,2,5,6,8,10,12,13,18,     55217149
INC             equity shares
QUALITY         Common         747582104   30294    492632 SH        DEFINED   1,2,5,6,8,                   492632
SYSTEMS         equity shares
INC
QUANEX          Common         747619104   14250    862051 SH        DEFINED   1,2,5,8,                     862051
BUILDING        equity shares
PRODUCTS
QUANTA          Common         74762E102  127349   6645485 SH        DEFINED   1,2,5,6,8,10,12,13,18,      6645485
SERVICES        equity shares
INC
QUANTUM         Common         747906204   13408   5098051 SH        DEFINED   1,2,6,8,                    5098051
CORP            equity shares
QUANTUM         Common         74765E109      55     82582 SH        DEFINED   1,                            82582
FUEL SYS        equity shares
TECH
WORLDW
QUEST           Common         74834L100  304559   5227729 SH        DEFINED   1,2,5,6,8,10,12,13,18,      5227729
DIAGNOSTICS     equity shares
INC
QUEST           Common         74834T103   35306   1984626 SH        DEFINED   1,2,5,6,8,                  1984626
SOFTWARE        equity shares
INC
QUESTAR         Common         748356102  323105   7477660 SH        DEFINED   1,2,5,6,8,10,12,13,18,      7477660
CORP            equity shares
QUESTCOR        Common         74835Y101   12270   1490919 SH        DEFINED   1,2,5,6,8,                  1490919
PHARMACEUTICALS Stock
INC
                Common         74837P108      74     25573 SH        DEFINED   1,                            25573
QUICKLOGIC      equity shares
CORP
                Common         74837R104   33977   2415199 SH        DEFINED   1,2,5,6,8,10,               2415199
QUICKSILVER     equity shares
RESOURCES
INC
QUIDEL          Common         74838J101    7672    527641 SH        DEFINED   1,2,5,6,8,                   527641
CORP            Stock
                Common         74838C106   13356   2823617 SH        DEFINED   1,2,5,8,                    2823617
QUIKSILVER      equity shares
INC
                Common         74874Q100    1871    109999 SH        DEFINED   1,2,                         109999
QUINSTREET      equity shares
INC
QWEST           Common         749121109  525962 100758729 SH        DEFINED   1,2,5,6,8,10,12,13,18,    100758729
COMMUNICATION   equity shares
INTL INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                              SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER              CLASS      CUSIP   VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            ---------- --------- ------ -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                      
QWEST             A U S      749121BY    3817  3350000 SH        DEFINED   1,2,                       3350000
COMMUNICATIONS    issuer
INT               issuing in
                  U S
                  dollars in
                  the U S
                  capital
                  market
RACKSPACE         Common     750086100  25678  1370952 SH        DEFINED   1,2,5,6,8,                 1370952
HOSTING           equity
INC               shares
RADIAN            Common     750236101  27226  1740791 SH        DEFINED   1,2,5,6,8,                 1740791
GROUP INC         equity
                  shares
RADIANT           Common     75025N102   9150   641231 SH        DEFINED   1,2,6,8,                    641231
SYSTEMS           equity
INC               shares
RADIO ONE         Common     75040P405     97    31703 SH        DEFINED   1,                           31703
INC               equity
                  shares
                  Common     750438103 103596  4578457 SH        DEFINED   1,2,5,6,8,10,12,13,        4560877          17580
RADIOSHACK        equity
CORP              shares
RADISYS           Common     750459109   4420   493351 SH        DEFINED   1,2,5,                      493351
CORP              equity
                  shares
RADNET INC        Common     750491102   1417   445687 SH        DEFINED   1,2,                        445687
                  equity
                  shares
RADVISION         Common     M81869105    125    18198 SH        DEFINED   1,2,                         18198
LTD               Stock
RADWARE           Common     M81873107    354    16028 SH        DEFINED   1,2,                         16028
LTD               equity
                  shares
RAE               Common     75061P102    452   555030 SH        DEFINED   1,2,                        555030
SYSTEMS           equity
INC               shares
                  Common     750753402   4090   346574 SH        DEFINED   1,2,                        346574
RAILAMERICA       equity
INC               shares
RAIT              Real       749227104   2847  1438101 SH        DEFINED   1,2,                       1438101
FINANCIAL         Estate
TRUST             Investment
                  Trust
RALCORP           Common     751028101  88697  1308719 SH        DEFINED   1,2,5,6,8,10,12,13,18,     1308719
HOLDINGS          equity
INC               shares
RAM               Common     75130P109     64    44000 SH        DEFINED   1,                           44000
ENERGY            equity
RESOURCES         shares
INC
RAMBUS INC        Common     750917106  32856  1503703 SH        DEFINED   1,2,5,6,8,10,              1503703
                  equity
                  shares
                  Real       751452202  10112   898054 SH        DEFINED   1,2,3,5,8,                  898054
RAMCO-GERSHENSON  Estate
PROPERTIES        Investment
                  Trust
RAMTRON           Common     751907304     59    21213 SH        DEFINED   1,                           21213
INTERNATIONAL     equity
CORP              shares
RANGE             Common     75281A109 297328  6343667 SH        DEFINED   1,2,5,6,8,10,12,13,18,     6343667
RESOURCES         equity
CORP              shares
RASER             Common     754055101   1070  1070012 SH        DEFINED   1,2,6,                     1070012
TECHNOLOGIES      Stock
INC
RAVEN             Common     754212108   9210   312319 SH        DEFINED   1,2,5,6,8,                  312319
INDUSTRIES        equity
INC               shares
RAYMOND           Common     754730109  56888  2125317 SH        DEFINED   1,2,5,6,8,10,              2125317
JAMES             equity
FINANCIAL         shares
CORP
RAYONIER          Real       754907103  86873  1912248 SH        DEFINED   1,2,5,6,8,10,12,13,18,     1912248
INC               Estate
                  Investment
                  Trust
RAYTHEON          Common     755111507 752525 13174257 SH        DEFINED   1,2,5,6,8,10,12,13,18,    13174257
CO                equity
                  shares
RBC               Common     75524B104  12801   401652 SH        DEFINED   1,2,5,6,8,                  401652
BEARINGS          equity
INC               shares
RC2 CORP          Common     749388104   8281   549031 SH        DEFINED   1,2,5,8,                    549031
                  equity
                  shares
RCN CORP          Common     749361200  14583   967071 SH        DEFINED   1,2,5,6,8,                  967071
                  equity
                  shares
READING           Common     755408101   1069   250414 SH        DEFINED   1,2,                        250414
INTL INC          Stock
-CL A
                  Common     75605L104   8129  1683029 SH        DEFINED   1,2,5,6,8,                 1683029
REALNETWORKS      equity
INC               shares
REALTY            Real       756109104  74000  2411201 SH        DEFINED   1,2,3,5,6,8,10,            2396451             NA
INCOME            Estate
CORP              Investment
                  Trust
RED HAT           Common     756577102 177201  6054001 SH        DEFINED   1,2,5,6,8,10,12,13,18,     6054001
INC               equity
                  shares
RED LION          Common     756764106   1862   257951 SH        DEFINED   1,2,                        257951
HOTELS            equity
CORP              shares
RED ROBIN         Common     75689M101   8302   339681 SH        DEFINED   1,2,5,8,                    339681
GOURMET           equity
BURGERS           shares
REDDY ICE         Common     75734R105    118    25577 SH        DEFINED   1,                           25577
HOLDINGS          equity
INC               shares
REDWOOD           Real       758075402  25226  1635908 SH        DEFINED   1,2,5,8,                   1635908
TRUST INC         Estate
                  Investment
                  Trust
REED              American   758204200    436    17954 SH        DEFINED   1,                           17954
ELSEVIER          Depository
NV                Receipt
REED              American   758205207    371    11553 SH        DEFINED   1,                           11553
ELSEVIER          Depository
PLC               Receipt
REGAL             Common     758766109  16874   960386 SH        DEFINED   1,2,5,6,8,10,               960386
ENTERTAINMENT     equity
GROUP             shares
                  Common     758750103  67926  1143335 SH        DEFINED   1,2,5,6,8,                 1143335
REGAL-BELOIT      equity
CORP              shares
REGENCY           Real       758849103 117051  3123865 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   3112339             NA
CENTERS           Estate
CORP              Investment
                  Trust
REGENERON         Common     75886F107  61074  2305544 SH        DEFINED   1,2,5,6,8,                 2305544
PHARMACEUT        Stock
REGIONS           Common     7591EP100 374336 47686170 SH        DEFINED   1,2,5,6,8,10,12,13,18,    47686170
FINANCIAL         equity
CORP              shares
REGIS             Common     758932107  34467  1843945 SH        DEFINED   1,2,5,6,8,                 1843945
CORP/MN           equity
                  shares
REHABCARE         Common     759148109  16458   603516 SH        DEFINED   1,2,5,8,                    603516
GROUP INC         equity
                  shares
                  Common     759351604  84102  1601325 SH        DEFINED   1,2,5,6,8,10,              1601325
REINSURANCE       equity
GROUP             shares
AMER INC
RELIANCE          Common     759509102 109866  2231818 SH        DEFINED   1,2,5,6,8,10,              2231818
STEEL &           equity
ALUMINUM          shares
CO
                  Common     75968L105   2442   150433 SH        DEFINED   1,2,5,8,                    146133           4300
RENAISSANCE       equity
LEARNING          shares
INC
                  Common     G7496G103  61358  1081015 SH        DEFINED   1,2,5,6,8,10,12,13,18,     1081015
RENAISSANCERE     equity
HOLDINGS          shares
LTD
RENASANT          Common     75970E107   7094   438439 SH        DEFINED   1,2,5,8,                    438439
CORP              equity
                  shares
                  Common     76009N100  76564  3237363 SH        DEFINED   1,2,5,6,8,18,              3237363
RENT-A-CENTER     equity
INC               shares
RENTECH           Common     760112102    309   299674 SH        DEFINED   1,2,5,8,                    299674
INC               equity
                  shares
RENTRAK           Common     760174102   3880   180061 SH        DEFINED   1,2,5,                      180061
CORP              equity
                  shares
REPLIGEN          Common     759916109   2216   545783 SH        DEFINED   1,2,5,                      545783
CORP              equity
                  shares
REPROS            Common     76028H100    142   210425 SH        DEFINED   1,2,                        210425
THERAPEUTICS      Stock
INC
REPSOL            American   76026T205    760    31951 SH        DEFINED   1,                           31951
YPF SA            Depository
                  Receipt
REPUBLIC          Common     760276105   4234   713718 SH        DEFINED   1,2,5,                      713718
AIRWAYS           equity
HLDGS INC         shares
REPUBLIC          Common     760281204   5300   276361 SH        DEFINED   1,2,5,                      276361
BANCORP           equity
INC/KY            shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                              SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                    
REPUBLIC          Common     760416107    407   105179 SH        DEFINED   1,2,                      105179
FIRST             equity
BANCORP           shares
INC
REPUBLIC          Common     760759100 314503 10837060 SH        DEFINED   1,2,5,6,8,10,12,13,18,  10837060
SERVICES          equity
INC               shares
RES-CARE          Common     760943100   7267   606080 SH        DEFINED   1,2,5,8,                  606080
INC               equity
                  shares
RESEARCH          Common     760911107     46    16343 SH        DEFINED   1,                         16343
FRONTIERS         equity
INC               shares
RESEARCH          Common     760975102  17950   242735 SH        DEFINED   1,2,5,                    242735
IN MOTION         Stock
LTD
RESMED INC        Common     761152107  97270  1528195 SH        DEFINED   1,2,5,6,8,10,            1528195
                  equity
                  shares
RESOLUTE          Common     76116A108    474    39104 SH        DEFINED   1,2,                       39104
ENERGY            Stock
CORP
RESOURCE          Common     761195205   1121   233615 SH        DEFINED   1,2,                      233615
AMERICA           equity
INC               shares
RESOURCE          Common     76120W302   5640   834329 SH        DEFINED   1,2,                      834329
CAPITAL           equity
CORP              shares
RESOURCES         Common     76122Q105  19147  1005096 SH        DEFINED   1,2,5,6,8,               1005096
CONNECTION        equity
INC               shares
RETAIL            Common     76128Y102   5176   544227 SH        DEFINED   1,2,6,                    544227
VENTURES          equity
INC               shares
                  Common     76129W105     31    20339 SH        DEFINED   1,                         20339
RETRACTABLE       equity
TECHNOLOGIES      shares
INC
REVLON            Common     761525609   4923   331495 SH        DEFINED   1,2,6,8,                  331495
INC -CL A         equity
                  shares
REWARDS           Common     761557206   2241   167209 SH        DEFINED   1,2,                      167209
NETWORKS          equity
INC               shares
REX               Common     761565100   7019   616236 SH        DEFINED   1,2,5,6,8,                616236
ENERGY            equity
CORP              shares
REX               Common     761624105   2571   158733 SH        DEFINED   1,2,                      158733
STORES            equity
CORP              shares
REYNOLDS          Common     761713106 330565  6123877 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6123877
AMERICAN          equity
INC               shares
RF MICRO          Common     749941100  46458  9328853 SH        DEFINED   1,2,5,6,8,               9318753          10100
DEVICES           equity
INC               shares
                  Common     763165107     94    11844 SH        DEFINED   1,                         11844
RICHARDSON        equity
ELECTRONICS       shares
LTD
RIGEL             Common     766559603   7280   913450 SH        DEFINED   1,2,5,6,8,                913450
PHARMACEUTICALS   equity
INC               shares
RIGHTNOW          Common     76657R106   7718   432112 SH        DEFINED   1,2,6,8,                  432112
TECHNOLOGIES      equity
INC               shares
RIMAGE            Common     766721104   2562   177150 SH        DEFINED   1,2,                      177150
CORP              equity
                  shares
RIO TINTO         American   767204100    237     2880 SH        DEFINED   1,                          2880
GROUP             Depository
(GBP)             Receipt
                  Common     767735103   9452   418043 SH        DEFINED   1,2,5,6,8,                418043
RISKMETRICS       equity
GROUP INC         shares
RITCHIE           Common     767744105    877    38605 SH        DEFINED   1,                         38605
BROS              equity
AUCTIONEERS       shares
INC
RITE AID          Common     767754104  10792  7194573 SH        DEFINED   1,2,5,6,8,10,            7194573
CORP              equity
                  shares
RIVERBED          Common     768573107  33646  1184720 SH        DEFINED   1,2,5,6,8,               1184720
TECHNOLOGY        equity
INC               shares
RIVERVIEW         Common     769397100     31    13577 SH        DEFINED   1,                         13577
BANCORP           equity
INC               shares
RLI CORP          Common     749607107 135586  2364215 SH        DEFINED   1,2,5,8,                 2364215
                  equity
                  shares
ROBBINS &         Common     770196103  15710   659519 SH        DEFINED   1,2,5,6,8,                659519
MYERS INC         equity
                  shares
ROBERT            Common     770323103 155835  5123797 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5115157           8640
HALF INTL         equity
INC               shares
ROCHESTER         Common     771497104   1959   152816 SH        DEFINED   1,2,                      152816
MEDICAL           equity
CORP              shares
ROCK OF           Common     772632105     39    11657 SH        DEFINED   1,                         11657
AGES CORP         equity
-CL A             shares
ROCK-TENN         Common     772739207  42762   937399 SH        DEFINED   1,2,5,8,                  937399
CO                equity
                  shares
ROCKVILLE         Common     774186100   2078   170456 SH        DEFINED   1,2,5,                    170456
FINANCIAL         equity
INC               shares
ROCKWELL          Common     773903109 273195  4846313 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4846313
AUTOMATION        equity
                  shares
ROCKWELL          Common     774341101 329856  5270110 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5270110
COLLINS           equity
INC               shares
ROCKWELL          Common     774374102   1497   259017 SH        DEFINED   1,2,                      259017
MED               equity
TECHNOLOGIES      shares
ROCKWOOD          Common     774415103  26887  1010014 SH        DEFINED   1,2,5,8,                 1010014
HOLDINGS          equity
INC               shares
RODMAN &          Common     77487R100     50    12600 SH        DEFINED   1,                         12600
RENSHAW           equity
CAPITAL GP        shares
ROFIN             Common     775043102  12945   572265 SH        DEFINED   1,2,5,6,8,                572265
SINAR             equity
TECHNOLOGIES      shares
INC
ROGERS            Common     775109200   1470    43077 SH        DEFINED   1,2,                       43077
COMMUNICATIONS    equity
-CL B             shares
ROGERS            Common     775133101   9994   344519 SH        DEFINED   1,2,5,6,8,                344519
CORP              equity
                  shares
ROLLINS           Common     775711104  28699  1323608 SH        DEFINED   1,2,5,6,8,               1323608
INC               equity
                  shares
ROMA              Common     77581P109   2034   162188 SH        DEFINED   1,2,6,                    162188
FINANCIAL         equity
CORP              shares
ROPER             Common     776696106 167709  2899541 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2899541
INDUSTRIES        equity
INC/DE            shares
ROSETTA           Common     777779307  29006  1231665 SH        DEFINED   1,2,5,6,8,               1231665
RESOURCES         equity
INC               shares
ROSETTA           Common     777780107   3073   127742 SH        DEFINED   1,2,                      127742
STONE INC         Stock
ROSS              Common     778296103 276439  5169984 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5169984
STORES INC        equity
                  shares
ROVI CORP         Common     779376102  77290  2081604 SH        DEFINED   1,2,5,6,8,10,            2081604
                  equity
                  shares
ROWAN COS         Common     779382100 163352  5611547 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5611547
INC               equity
                  shares
ROYAL             Common     780087102   1396    23918 SH        DEFINED   1,                         23918
BANK OF           equity
CANADA            shares
ROYAL             Common     V7780T103  65479  1984824 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1984824
CARIBBEAN         equity
CRUISES           shares
LTD
ROYAL             American   780259107   3175    57390 SH        DEFINED   1,                         57390
DUTCH             Depository
SHELL PLC         Receipt
ROYAL             American   780259206   1711    29579 SH        DEFINED   1,2,                       29579
DUTCH             Depository
SHELL PLC         Receipt
ROYAL             Common     780287108  57396  1242078 SH        DEFINED   1,2,5,6,8,10,            1242078
GOLD INC          equity
                  shares
RPC INC           Common     749660106   6504   584362 SH        DEFINED   1,2,5,6,8,                584362
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
RPM               Common         749685103 111072  5204860 SH        DEFINED   1,2,5,6,8,10,            5204860
INTERNATIONAL     equity shares
INC
RRI               Common         74971X107  15775  4275164 SH        DEFINED   1,2,5,6,8,10,12,18,      4275164
ENERGY INC        equity shares
RSC               Common         74972L102   7407   930574 SH        DEFINED   1,2,5,6,8,                930574
HOLDINGS          equity shares
INC
RTI               Common         74975N105   4667  1077795 SH        DEFINED   1,2,5,8,                 1077795
BIOLOGICS         equity shares
INC
RTI INTL          Common         74973W107  21382   704989 SH        DEFINED   1,2,5,6,8,                704989
METALS INC        equity shares
RUBICON           Common         78112T107   4580   226752 SH        DEFINED   1,2,6,                    226752
TECHNOLOGY        equity shares
INC
RUBY              Common         781182100  14939  1413300 SH        DEFINED   1,2,5,8,                 1413300
TUESDAY           equity shares
INC
RUDDICK           Common         781258108  39630  1252530 SH        DEFINED   1,2,5,6,8,               1252530
CORP              equity shares
RUDOLPH           Common         781270103   5773   671928 SH        DEFINED   1,2,5,6,                  671928
TECHNOLOGIES      equity shares
INC
RUE21 INC         Common         781295100   3779   109645 SH        DEFINED   1,2,                      109645
                  equity shares
                  Common         781748108    184    25339 SH        DEFINED   1,                         25339
RURAL/METRO       equity shares
CORP
RUSH              Common         781846209   8507   644015 SH        DEFINED   1,2,5,8,                  644015
ENTERPRISES       equity shares
INC
RUTHS             Common         783332109   2867   540946 SH        DEFINED   1,2,                      540946
HOSPITALITY       equity shares
GROUP INC
RYANAIR           American       783513104   7915   291300 SH        DEFINED   1,2,5,6,                  291300
HOLDINGS          Depository
PLC               Receipt
RYDER             Common         783549108  69521  1793639 SH        DEFINED   1,2,5,6,8,10,12,13,      1793639
SYSTEM INC        equity shares
RYLAND            Common         783764103  62121  2768114 SH        DEFINED   1,2,5,6,8,               2768114
GROUP INC         equity shares
S & T             Common         783859101  24793  1186252 SH        DEFINED   1,2,5,8,                 1186252
BANCORP           equity shares
INC
S Y               Common         785060104   5562   244501 SH        DEFINED   1,2,5,8,                  244501
BANCORP           equity shares
INC
S&P 400           ETF            78467Y107  17408   121600 SH        DEFINED   2,                        121600
MID CAP
DEPOSITARY
RECEIPTS
S&P 400           Non- or        78467Y107    207       14 SH  PUT   DEFINED   1,                            NA             14
MID CAP           limited-voting
DEPOSITARY        common
RECEIPTS          shares
S1 CORP           Common         78463B101   7894  1338014 SH        DEFINED   1,2,5,6,8,               1338014
                  equity shares
SABA              Common         784932600   2069   417926 SH        DEFINED   1,2,5,                    417926
SOFTWARE          equity shares
INC
SAFEGUARD         Common         786449207   5587   429802 SH        DEFINED   1,2,5,                    429802
SCIENTIFICS       equity shares
INC
SAFETY            Common         78648T100  12293   326427 SH        DEFINED   1,2,5,8,                  326427
INSURANCE         equity shares
GROUP INC
SAFEWAY           Common         786514208 363663 14642951 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14634081           8870
INC               equity shares
SAIA INC          Common         78709Y105   4346   313117 SH        DEFINED   1,2,5,6,                  313117
                  equity shares
SAIC INC          Common         78390X101 201224 11368607 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11368607
                  equity shares
SAKS INC          Common         79377W108  37613  4373625 SH        DEFINED   1,2,5,6,8,               4373625
                  equity shares
                  Common         794006106     29    10171 SH        DEFINED   1,                         10171
SALARY.COM        equity shares
INC
SALEM             Common         794093104     42    11682 SH        DEFINED   1,                         11682
COMMUNICATIONS    equity shares
CORP
                  Common         79466L302 269497  3613905 SH        DEFINED   1,2,5,68,10,12,13,18,    3613905
SALESFORCE.COM    equity shares
INC
SALIX             Common         795435106  50343  1351481 SH        DEFINED   1,2,5,6,8,               1351481
PHARMACEUTICALS   equity shares
LTD
SALLY             Common         79546E104  18327  2054599 SH        DEFINED   1,2,5,6,8,               2054599
BEAUTY            equity shares
HOLDINGS
INC
SANDERS           Common         80000Q104   2259   364933 SH        DEFINED   1,2,                      364933
MORRIS            equity shares
HARRIS
GROUP
SANDERSON         Common         800013104  24028   448203 SH        DEFINED   1,2,5,8,                  448203
FARMS INC         equity shares
SANDISK           Common         80004C101 259916  7505517 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7505517
CORP              equity shares
SANDISK           A U S issuer   80004CAC    2671  3070000 SH        DEFINED   1,2,                     3070000
CORP              issuing in U S
                  dollars in the
                  U S capital
                  market
SANDRIDGE         Common         80007P307  11788  1533525 SH        DEFINED   1,2,5,8,10,18,           1533525
ENERGY INC        equity shares
SANDY             Common         800363103   6075   404982 SH        DEFINED   1,2,5,8,                  404982
SPRING            equity shares
BANCORP
INC
SANGAMO           Common         800677106   4409   813540 SH        DEFINED   1,2,5,6,8,                813540
BIOSCIENCES       equity shares
INC
                  Common         800907206   3261   197608 SH        DEFINED   1,2,5,6,8,                197608
SANMINA-SCI       equity shares
CORP
SANOFI-AVENTIS    American       80105N105   2071    55430 SH        DEFINED   1,2,                       55430
                  Depository
                  Receipt
SANTANDER         Common         802809103   1965   160162 SH        DEFINED   1,2,5,                    160162
BANCORP           equity shares
SANTARUS          Common         802817304   5715  1062210 SH        DEFINED   1,2,                     1062210
INC               equity shares
SAP AG            American       803054204  17264   358405 SH        DEFINED   1,2,5,                    358405
                  Depository
                  Receipt
SAPIENT           Common         803062108  15931  1738310 SH        DEFINED   1,2,5,6,8,               1738310
CORP              equity shares
SAPPI LTD         American       803069202    133    29946 SH        DEFINED   1,6,                       29946
                  Depository
                  Receipt
SARA LEE          Common         803111103 383196 27507648 SH        DEFINED   1,2,5,6,8,10,12,13,18,  27501648           6000
CORP              equity shares
SASOL LTD         American       803866300    708    17158 SH        DEFINED   1,6,                       17158
                  Depository
                  Receipt
SATCON            Common         803893106   3294  1355630 SH        DEFINED   1,2,                     1355630
TECHNOLOGY        equity shares
CORP
SATYAM            American       804098101   2178   417250 SH        DEFINED   1,2,5,6,                  417250
COMPUTER          Depository
SERVICES          Receipt
LTD
                  Common         804137107   3989   300371 SH        DEFINED   1,2,5,                    300371
SAUER-DANFOSS     equity shares
INC
SAUL              Real Estate    804395101  10432   251978 SH        DEFINED   1,2,3,5,6,8,              251978
CENTERS           Investment
INC               Trust
SAVIENT           Common         80517Q100  41936  2902177 SH        DEFINED   1,2,5,6,8,               2902177
PHARMACEUTICALS   equity shares
INC
SAVVIS INC        Common         805423308  14601   884926 SH        DEFINED   1,2,5,6,8,                884926
                  equity shares
SBA               Common         78388J106  58914  1633321 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1633321
COMMUNICATIONS    equity shares
CORP
SBA               USA: Bond      78388JAN    1438  1350000 SH        DEFINED   1,2,                     1350000
COMMUNICATIONS
CORP 144A







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------             ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
SCANA CORP         Common     80589M102  169279  4503301 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4503301
                   equity
                   shares
                   Common     806037107   19356   672547 SH        DEFINED   1,2,5,6,8,                672547
SCANSOURCE         equity
INC                shares
SCBT               Common     78401V102    9309   251327 SH        DEFINED   1,2,5,8,                  251327
FINANCIAL          equity
CORP               shares
SCHAWK             Common     806373106    5689   313793 SH        DEFINED   1,2,5,8,                  313793
INC -CL A          equity
                   shares
SCHEIN             Common     806407102  131596  2234225 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2234225
(HENRY)            equity
INC                shares
SCHIFF             Common     806693107    1838   224683 SH        DEFINED   1,2,                      224683
NUTRITION          equity
INTL INC           shares
                   Common     806857108 2695644 42468651 SH        DEFINED   1,2,5,6,8,10,12,13,18,  42468651
SCHLUMBERGER       equity
LTD                shares
SCHNITZER          Common     806882106   13833   262997 SH        DEFINED   1,2,5,6,8,10,             262997
STEEL              equity
INDS -CL A         shares
                   Common     807066105   26304   939421 SH        DEFINED   1,2,5,6,8,18,             939421
SCHOLASTIC         equity
CORP               shares
SCHOOL             Common     807863105    9320   410016 SH        DEFINED   1,2,5,8,                  410016
SPECIALTY          equity
INC                shares
SCHULMAN           Common     808194104   20275   826373 SH        DEFINED   1,2,5,8,                  826373
(A.) INC           equity
                   shares
SCHWAB             Common     808513105  619699 33153254 SH        DEFINED   1,2,5,6,8,10,12,13,18,  33153254
(CHARLES)          equity
CORP               shares
                   Common     808541106   17997   376846 SH        DEFINED   1,2,5,8,                  376846
SCHWEITZER-MAUDUIT equity
INTL INC           shares
SCICLONE           Common     80862K104    2478   702107 SH        DEFINED   1,2,                      702107
PHARMACEUTICALS    equity
INC                shares
                   Common     80874P109   17565  1247474 SH        DEFINED   1,2,5,6,8,10,            1247474
SCIENTIFIC         equity
GAMES CORP         shares
SCM                Common     784018103      27    14231 SH        DEFINED   1,                         14231
MICROSYSTEMS       equity
INC                shares
SCOLR              Common     78402X107      15    18140 SH        DEFINED   1,                         18140
PHARMA INC         equity
                   shares
SCOTTS             Common     810186106   43030   928375 SH        DEFINED   1,2,5,6,8,10,             928375
MIRACLE-GRO        equity
CO                 shares
SCRIPPS            Common     811065101  132444  2986344 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2986344
NETWORKS           equity
INTERACTIVE        shares
SEABOARD           Common     811543107   10238     7881 SH        DEFINED   1,2,5,8,                    7881
CORP               equity
                   shares
SEABRIGHT          Common     811656107    5538   503039 SH        DEFINED   1,2,8,                    503039
INSURANCE          Stock
HLDGS
SEACHANGE          Common     811699107    4645   646872 SH        DEFINED   1,2,5,6,                  616372          30500
INTERNATIONAL      equity
INC                shares
SEACOAST           Common     811707306      52    30662 SH        DEFINED   1,                         30662
BANKING            equity
CORP/FL            shares
SEACOR             Common     811904101   39455   489022 SH        DEFINED   1,2,5,6,8,10,             489022
HOLDINGS           equity
INC                shares
SEAGATE            Common     G7945J104  165518  9064349 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9059349           5000
TECHNOLOGY         Stock
SEAHAWK            Common     81201R107    2945   156237 SH        DEFINED   1,2,5,6,8,10,             156237
DRILLING           Stock
INC
SEALED             Common     81211K100  125535  5954941 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5954941
AIR CORP           equity
                   shares
SEALY CORP         Common     812139301    3039   868370 SH        DEFINED   1,2,5,                    868370
                   equity
                   shares
SEARS              Common     812350106  412100  3800293 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3800293
HOLDINGS           equity
CORP               shares
SEASPAN            Common     Y75638109     167    16658 SH        DEFINED   1,5,                       16658
CORP               equity
                   shares
SEATTLE            Common     812578102   43022  3603156 SH        DEFINED   1,2,5,6,8,               3603156
GENETICS           equity
INC                shares
SEI                Common     784117103   77506  3527205 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3527205
INVESTMENTS        equity
CO                 shares
SELECT             Common     81616X103     543    68159 SH        DEFINED   1,2,                       68159
COMFORT            equity
CORP               shares
SELECT             Common     81619Q105    4640   549798 SH        DEFINED   1,2,                      549798
MEDICAL            equity
HOLDINGS           shares
CORP
SELECTIVE          Common     816300107   21775  1311614 SH        DEFINED   1,2,5,8,                 1311614
INS GROUP          equity
INC                shares
SEMPRA             Common     816851109  488065  9780903 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9780903
ENERGY             equity
                   shares
SEMTECH            Common     816850101   34426  1973363 SH        DEFINED   1,2,5,6,8,               1973363
CORP               equity
                   shares
SENECA             Common     817070501    4992   171426 SH        DEFINED   1,2,                      168326           3100
FOODS              equity
CORP -CL B         shares
SENIOR             Real       81721M109   96538  4358182 SH        DEFINED   1,2,3,5,6,8,10,          4340232             NA
HOUSING            Estate
PPTYS              Investment
TRUST              Trust
SENOMYX            Common     81724Q107     117    35718 SH        DEFINED   1,                         35718
INC                equity
                   shares
SENSIENT           Common     81725T100   47923  1649108 SH        DEFINED   1,2,5,6,8,               1649108
TECHNOLOGIES       equity
CORP               shares
SEQUENOM           Common     817337405    8427  1335484 SH        DEFINED   1,2,5,6,8,               1335484
INC                equity
                   shares
SERVICE            Common     817565104   59987  6534543 SH        DEFINED   1,2,5,6,8,10,            6534543
CORP               equity
INTERNATIONAL      shares
SEVERN             Common     81811M100      47    13689 SH        DEFINED   1,                         13689
BANCORP            equity
INC                shares
SFN GROUP          Common     784153108   12745  1591173 SH        DEFINED   1,2,5,8,                 1591173
INC                equity
                   shares
SHANDA             American   81941Q203    2126    48767 SH        DEFINED   1,2,6,                     48767
INTERACTIVE-ADR    Depository
                   Receipt
SHAW               Common     82028K200     677    34094 SH        DEFINED   1,                         34094
COMMUNICATIONS     equity
INC-CL B           shares
SHAW               Common     820280105   91271  2651672 SH        DEFINED   1,2,5,6,8,10,            2651672
GROUP INC          equity
                   shares
                   Common     82312B106    8497   451974 SH        DEFINED   1,2,5,6,8,                451974
SHENANDOAH         equity
TELECOMMUN         shares
CO
                   Common     823213103    3793   506416 SH        DEFINED   1,2,                      506416
SHENGDATECH        equity
INC                shares
                   Common     824348106  265659  3925224 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3925224
SHERWIN-WILLIAMS   equity
CO                 shares
SHINHAN            American   824596100    4285    53896 SH        DEFINED   1,2,6,                     53896
FINANCIAL          Depository
GROUP LTD          Receipt
SHIP               Common     G81075106   16569   932961 SH        DEFINED   1,2,5,6,                  932961
FINANCE            equity
INTL LTD           shares
SHIRE LTD          American   82481R106    1791    27200 SH        DEFINED   1,                         27200
                   Depository
                   Receipt
SHOE               Common     824889109    4199   183695 SH        DEFINED   1,2,5,                    183695
CARNIVAL           equity
INC                shares
SHORE              Common     825107105    2157   151378 SH        DEFINED   1,2,5,                    151378
BANCSHARES         equity
INC                shares
SHORETEL           Common     825211105    5000   756464 SH        DEFINED   1,2,6,8,                  756464
INC                equity
                   shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                              SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER             CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------           ---------- --------- ------- -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                      
SHUFFLE          Common     825549108   11211  1368831 SH        DEFINED   1,2,5,6,8,                 1368831
MASTER INC       equity
                 shares
                 Common     82568P304   10631   441290 SH        DEFINED   1,2,5,6,8,                  441290
SHUTTERFLY       equity
INC              shares
SIEMENS AG       American   826197501    2133    21335 SH        DEFINED   1,2,                         21335
                 Depository
                 Receipt
SIERRA           Common     82620P102    1893   146865 SH        DEFINED   1,2,                        146865
BANCORP/CA       equity
                 shares
SIGA             Common     826917106    3549   535257 SH        DEFINED   1,2,6,                      535257
TECHNOLOGIES     Stock
INC
SIGMA            Common     826565103    7335   625291 SH        DEFINED   1,2,5,6,8,                  625291
DESIGNS          Stock
INC
                 Common     826552101  233673  4354703 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4354703
SIGMA-ALDRICH    equity
CORP             shares
SIGMATRON        Common     82661L101      65    12110 SH        DEFINED   1,                           12110
INTERNATIONAL    equity
INC              shares
SIGNATURE        Common     82669G104   52883  1426362 SH        DEFINED   1,2,5,6,8,                 1426362
BANK/NY          equity
                 shares
SIGNET           Common     G81276100   26412   816704 SH        DEFINED   1,2,5,8,10,                 816704
JEWELERS         equity
LTD              shares
SILGAN           Common     827048109   51526   855488 SH        DEFINED   1,2,5,6,8,                  852558            2930
HOLDINGS         equity
INC              shares
SILICON          Common     82706L108    6581   615663 SH        DEFINED   1,2,6,8,                    615663
GRAPHICS         equity
INTL CORP        shares
SILICON          Common     82705T102    4557  1508929 SH        DEFINED   1,2,5,                     1508929
IMAGE INC        equity
                 shares
SILICON          Common     826919102   56266  1180313 SH        DEFINED   1,2,5,6,8,10,              1180313
LABORATORIES     equity
INC              shares
SILICON          American   82706C108     165    36947 SH        DEFINED   2,                           36947
MOTION           Depository
TECH -ADR        Receipt
SILICON          Common     827057100    6078  1999293 SH        DEFINED   1,2,5,6,                   1999293
STORAGE          equity
TECHNOLOGY       shares
                 American   827084864   40149  6680404 SH        DEFINED   1,4,5,6,8,                 6680404
SILICONWARE      Depository
PRECISION        Receipt
INDS
SIMMONS          Common     828730200   10823   392577 SH        DEFINED   1,2,5,8,                    390577            2000
FIRST            equity
NATL CP          shares
-CL A
SIMON            Real       828806109 1115620 13296334 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,  13255358              NA
PROPERTY         Estate
GROUP INC        Investment
                 Trust
SIMPSON          Common     829073105   57143  2058455 SH        DEFINED   1,2,5,6,8,                 2058455
MANUFACTURING    equity
INC              shares
SIMS             American   829160100     313    15914 SH        DEFINED   1,                           15914
METAL            Depository
MGMT LTD         Receipt
SINA CORP        Common     G81477104    5483   145474 SH        DEFINED   1,2,5,6,                    145474
                 equity
                 shares
SINCLAIR         Common     829226109    6271  1234506 SH        DEFINED   1,2,                       1234506
BROADCAST        equity
GP -CL A         shares
SINOPEC          American   82935M109     281     7084 SH        DEFINED   1,6,                          7084
SHANGHAI         Depository
PETROCHEM        Receipt
SIRIUS XM        Common     82967N108    8727 10025018 SH        DEFINED   1,2,5,6,8,12,             10025018
RADIO INC        equity
                 shares
SIRONA           Common     82966C103   20520   539563 SH        DEFINED   1,2,5,6,8,                  539563
DENTAL           equity
SYSTEMS          shares
INC
SJW CORP         Common     784305104    6604   259804 SH        DEFINED   1,2,5,8,                    259804
                 equity
                 shares
SK               American   78440P108   20715  1200178 SH        DEFINED   1,2,5,6,12,                1200178
TELECOM          Depository
CO LTD           Receipt
SKECHERS         Common     830566105   26378   726263 SH        DEFINED   1,2,5,6,8,                  726263
U S A INC        equity
                 shares
SKILLED          Common     83066R107    2586   419138 SH        DEFINED   1,2,8,                      419138
HEALTHCARE       equity
GROUP INC        shares
SKILLSOFT        American   830928107     570    55280 SH        DEFINED   1,5,6,                       55280
PLC -ADR         Depository
                 Receipt
SKYLINE          Common     830830105    2907   156275 SH        DEFINED   1,2,5,                      156275
CORP             equity
                 shares
SKYWEST          Common     830879102   26793  1873373 SH        DEFINED   1,2,5,8,                   1873373
INC              equity
                 shares
SKYWORKS         Common     83088M102   65858  4217292 SH        DEFINED   1,2,5,8,                   4217292
SOLUTIONS        equity
INC              shares
SL GREEN         Real       78440X101  146642  2560537 SH        DEFINED   1,2,3,5,6,8,10,            2549537              NA
REALTY           Estate
CORP             Investment
                 Trust
SLM CORP         Common     78442P106  228422 18244545 SH        DEFINED   1,2,5,6,8,10,12,13,18,    18244545
                 equity
                 shares
SMART            Common     83169Y108    8399  1294190 SH        DEFINED   1,2,6,8,                   1294190
BALANCE          equity
INC              shares
SMART            Common     G82245104    7987  1035885 SH        DEFINED   1,2,5,8,                   1035885
MODULAR          equity
TECHNOLOGIES     shares
SMARTHEAT        Common     83172F104    1709   159162 SH        DEFINED   1,2,                        159162
INC              equity
                 shares
SMITH &          American   83175M205     342     6837 SH        DEFINED   1,                            6837
NEPHEW PLC       Depository
                 Receipt
SMITH &          Common     831756101    4327  1144833 SH        DEFINED   1,2,5,6,8,                 1144833
WESSON           equity
HOLDING          shares
CORP
SMITH (A         Common     831865209   32142   611783 SH        DEFINED   1,2,5,8,                    611783
O) CORP          equity
                 shares
SMITH            Common     832110100  416304  9722189 SH        DEFINED   1,2,5,6,8,10,12,13,18,     9722189
INTERNATIONAL    equity
INC              shares
SMITH            Common     832154108    5467   618434 SH        DEFINED   1,2,5,6,8,                  618434
MICRO            equity
SOFTWARE         shares
INC
                 Common     832248108   69469  3349500 SH        DEFINED   1,2,5,6,8,10,12,           3349500
SMITHFIELD       equity
FOODS INC        shares
SMITHTOWN        Common     832449102    1078   261050 SH        DEFINED   1,2,8,                      261050
BANCORP          equity
INC              shares
SMUCKER          Common     832696405  244831  4062735 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4062735
(JM) CO          equity
                 shares
SNAP-ON          Common     833034101   99054  2250759 SH        DEFINED   1,2,5,6,8,10,12,13,        1860596          390163
INC              equity
                 shares
SOC              American   833635105   13942   372870 SH        DEFINED   1,2,5,6,8,                  372870
QUIMICA Y        Depository
MINERA DE        Receipt
CHI
SOHU.COM         Common     83408W103   16321   298921 SH        DEFINED   1,2,5,6,8,10,               298921
INC              equity
                 shares
SOLAR            Common     83413U100    1205    56991 SH        DEFINED   1,2,                         56991
CAPITAL          equity
LTD -REDH        shares
                 Common     83416B109    5884   275710 SH        DEFINED   1,2,5,8,                    275710
SOLARWINDS       equity
INC              shares
SOLERA           Common     83421A104   84162  2177534 SH        DEFINED   1,2,5,6,8,                 2177534
HOLDINGS         equity
INC              shares
SOLITARIO        Common     8342EP107      22    10585 SH        DEFINED   1,                           10585
EXPLORATION &    equity
RLTY             shares
SOLTA            Common     83438K103      66    30500 SH        DEFINED   1,                           30500
MEDICAL          equity
INC              shares
SOLUTIA          Common     834376501   44514  2763129 SH        DEFINED   1,2,5,6,8,                 2763129
INC              equity
                 shares
                 Common     834445405    5372   280643 SH        DEFINED   1,2,5,6,                    280643
SOMANETICS       equity
CORP             shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS       CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ------------ --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
SONIC             Common       83545G102   10783    980980 SH        DEFINED   1,2,5,8,                   980980
AUTOMOTIVE        equity
INC -CL A         shares
SONIC CORP        Common       835451105   15370   1390970 SH        DEFINED   1,2,5,6,8,                1390970
                  equity
                  shares
SONIC             Common       835460106     822     87736 SH        DEFINED   1,2,                        87736
SOLUTIONS         equity
                  shares
SONICWALL         Common       835470105   11849   1363482 SH        DEFINED   1,2,5,6,8,                1363482
INC               equity
                  shares
SONOCO            Common       835495102  164598   5345821 SH        DEFINED   1,2,5,6,8,10,             5345821
PRODUCTS          equity
CO                shares
SONOSITE          Common       83568G104    8873    276332 SH        DEFINED   1,2,5,6,8,                 276332
INC               equity
                  shares
SONUS             Common       835916107   12013   4602587 SH        DEFINED   1,2,5,6,8,                4602587
NETWORKS          equity
INC               shares
SONY CORP         American     835699307   10124    264190 SH        DEFINED   1,2,                       264190
                  Depository
                  Receipt
SOTHEBY'S         Common       835898107   63851   2053760 SH        DEFINED   1,2,5,6,8,                2053760
                  equity
                  shares
                  Common       83616T108    9179    399946 SH        DEFINED   1,2,6,8,                   399946
SOURCEFIRE        equity
INC               shares
SOUTH             Common       837841105    3108   4495158 SH        DEFINED   1,2,5,6,                  4495158
FINANCIAL         equity
GROUP INC         shares
SOUTH             Common       838518108   31330    744481 SH        DEFINED   1,2,5,8,                   744481
JERSEY            equity
INDUSTRIES        shares
INC
SOUTHERN          Common       842632101      80     35900 SH        DEFINED   1,                          35900
CMNTY             equity
FINL CORP         shares
SOUTHERN          Common       842587107 1057700  31896864 SH        DEFINED   1,2,5,6,8,10,12,13,18,   31896864
CO                equity
                  shares
SOUTHERN          Common       84265V105  170750   5391524 SH        DEFINED   1,2,5,6,8,10,12,18,       5391524
COPPER            equity
CORP              shares
SOUTHERN          Common       844030106   60086   2368046 SH        DEFINED   1,2,5,6,8,10,             2368046
UNION CO          equity
                  shares
SOUTHSIDE         Common       84470P109    6884    319158 SH        DEFINED   1,2,8,                     319158
BANCSHARES        equity
INC               shares
SOUTHWEST         Common       844741108  312698  23653410 SH        DEFINED   1,2,5,6,8,10,12,13,18,   23653410
AIRLINES          equity
                  shares
SOUTHWEST         Common       844767103    2602    314645 SH        DEFINED   1,2,8,                     314645
BANCORP           equity
INC               shares
SOUTHWEST         Common       844895102   37568   1255268 SH        DEFINED   1,2,5,8,                  1255268
GAS CORP          equity
                  shares
SOUTHWEST         Common       845331107    4797    459507 SH        DEFINED   1,2,                       459507
WATER CO          equity
                  shares
                  Common       845467109  524686  12885850 SH        DEFINED   1,2,5,6,8,10,12,13,18,   12885850
SOUTHWESTERN      equity
ENERGY CO         shares
SOVRAN            Real Estate  84610H108   32147    922187 SH        DEFINED   1,2,3,5,8,                 922187
SELF              Investment
STORAGE           Trust
INC
SPANISH           Common       846425882       8     10888 SH        DEFINED   1,                          10888
BROADCASTING      equity
SYS INC           shares
SPARTAN           Common       846819100    4713    841627 SH        DEFINED   1,2,6,8,                   841627
MOTORS INC        equity
                  shares
SPARTAN           Common       846822104    7047    488702 SH        DEFINED   1,2,5,8,                   488702
STORES INC        equity
                  shares
SPARTECH          Common       847220209    9480    810233 SH        DEFINED   1,2,5,8,                   810233
CORP              equity
                  shares
SPDR              ETF          78464A649    3885     70449 SH        DEFINED   1,                          70449
BARCLAYS
CAPITAL
AGGREGATE
BOND ETF
SPDR              ETF          78464A359   23526    600926 SH        DEFINED   1,5,18,                    600926
BARCLAYS
CAPITAL
CONVERTIBLE
SECURITIES
ETF
SPDR              ETF          78464A417  128894   3239360 SH        DEFINED   1,2,5,                    3239360
BARCLAYS
CAPITAL
HIGH
YIELD
BOND ETF
SPDR              ETF          78464A656     804     15701 SH        DEFINED   1,                          15701
BARCLAYS
CAPITAL
TIPS ETF
SPDR DJ           ETF          78463X749     352     10516 SH        DEFINED   5,                          10516
GLOBAL
REAL
ESTATE ETF
SPDR DJ           ETF          78463X863   14142    402000 SH        DEFINED   2,                         402000
INTERNATIONAL
REAL
ESTATE ETF
SPDR DJ           ETF          78464A607   11306    210301 SH        DEFINED   1,8,                       210301
WILSHIRE
REIT ETF
SPDR              ETF          78463X855    1508     36879 SH        DEFINED   5,                          36879
FTSE/MACQUARIE
GLOBAL
INFRASTRUCTURE
100 ETF
SPDR GOLD         Investments  78463V107   44702    410209 SH        DEFINED   1,2,18,                    407629          2580
TRUST             that contain
                  a pool of
                  securities
                  representing
                  a specific
                  index and
                  are built
                  like mutu
SPDR S&P          Investments  78464A763   29068    589500 SH        DEFINED   2,                         589500
DIVIDEND          that contain
ETF               a pool of
                  securities
                  representing
                  a specific
                  index and
                  are built
                  like mutu
SPDR S&P          ETF          78463X301    4140     55030 SH        DEFINED   5,                          55030
EMERGING
ASIA
PACIFIC
ETF
SPDR S&P          ETF          78463X509    2344     35636 SH        DEFINED   5,18,                       35636
EMERGING
MARKETS
ETF
SPDR S&P          ETF          78463X871   48175   1801600 SH        DEFINED   2,                        1801600
INTERNATIONAL
SMALL CAP
ETF
SPDR              ETF          78462F103  524677   4484806 SH        DEFINED   1,2,5,10,                 4484806
TRUST
SERIES I
SPECTRA           Common       847560109  572832  25425302 SH        DEFINED   1,2,5,6,8,10,12,13,18,   25425302
ENERGY            equity
CORP              shares
                  Common       84760C107    4017    581376 SH        DEFINED   1,2,                       581376
SPECTRANETICS     equity
CORP              shares
SPECTRUM          Common       847615101    2502    214014 SH        DEFINED   1,2,                       214014
CONTROL           equity
INC               shares
SPECTRUM          Common       84763A108    3643    790165 SH        DEFINED   1,2,                       790165
PHARMACEUTICALS   equity
INC               shares
SPEEDWAY          Common       847788106    4903    314111 SH        DEFINED   1,2,5,8,                   314111
MOTORSPORTS       equity
INC               shares
SPHERIX           Common       84842R106      23     16667 SH        DEFINED   1,                          16667
INC               Stock
SPIRIT            Common       848574109   24943   1068100 SH        DEFINED   1,2,5,6,8,10,             1068100
AEROSYSTEMS       equity
HOLDINGS          shares
SPORT             Common       849163209      35     13343 SH        DEFINED   1,                          13343
CHALET INC        equity
                  shares
SPORT             Common       84916A104    2366    176062 SH        DEFINED   1,2,                       176062
SUPPLY            equity
GROUP INC         shares
SPRINT            Common       852061100  381117 100294028 SH        DEFINED   1,2,5,6,8,10,12,13,18,  100294028
NEXTEL            equity
CORP              shares
SPX CORP          Common       784635104   82483   1243711 SH        DEFINED   1,2,5,6,8,10,12,13,18,    1243711
                  equity
                  shares
SRA               Common       78464R105   26433   1271439 SH        DEFINED   1,2,5,6,8,                1271439
INTERNATIONAL     equity
INC               shares
SRS LABS          Common       78464M106    1773    178351 SH        DEFINED   1,2,                       178351
INC               equity
                  shares
ST JOE CO         Common       790148100   32600   1007722 SH        DEFINED   1,2,5,6,8,10,12,          1007722
                  equity
                  shares
ST JUDE           Common       790849103  463304  11286327 SH        DEFINED   1,2,5,6,8,10,12,13,18,   11286327
MEDICAL           equity
INC               shares
ST MARY           Common       792228108   46104   1320177 SH        DEFINED   1,2,5,6,8,10,             1320177
LAND &            equity
EXPLOR CO         shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS       CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ------------ --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
STAAR             Common       852312305    139    36455 SH        DEFINED   1,                         36455
SURGICAL          equity
CO                shares
STAGE             Common       85254C305  16565  1076828 SH        DEFINED   1,2,5,8,                 1076828
STORES INC        equity
                  shares
                  Common       852857200   2947   291739 SH        DEFINED   1,2,6,                    291739
STAMPS.COM        Stock
INC
STANCORP          Common       852891100  51953  1092212 SH        DEFINED   1,2,5,6,8,10,            1092212
FINANCIAL         equity
GROUP INC         shares
STANDARD          Common       853626109  11176   480076 SH        DEFINED   1,2,5,6,8,                474176           5900
MICROSYSTEMS      equity
CORP              shares
STANDARD          Common       853666105   5060   510039 SH        DEFINED   1,2,                      510039
MOTOR             equity
PRODS             shares
STANDARD          Common       85375C101  11199  2477697 SH        DEFINED   1,2,5,6,8,               2477697
PACIFIC           equity
CORP              shares
STANDARD          Common       853790103   3035   184839 SH        DEFINED   1,2,6,                    184839
PARKING           equity
CORP              shares
STANDARD          Common       853887107   2582   484144 SH        DEFINED   1,2,                      484144
REGISTER          equity
CO                shares
STANDEX           Common       854231107   8885   344769 SH        DEFINED   1,2,5,6,8,                337169           7600
INTERNATIONAL     equity
CORP              shares
STANLEY           Common       854502101 314924  5484496 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5484496
BLACK &           equity
DECKER INC        shares
STANLEY           Common       854305208   1680   165400 SH        DEFINED   1,2,                      165400
FURNITURE         equity
CO INC            shares
STANLEY           Common       854532108   6957   245904 SH        DEFINED   1,2,5,6,8,                245904
INC               equity
                  shares
STAPLES           Common       855030102 556801 23804636 SH        DEFINED   1,2,5,6,8,10,12,13,18,  23804636
INC               equity
                  shares
STAR              Common       85517P101   2925  1147097 SH        DEFINED   1,2,                     1147097
SCIENTIFIC        equity
INC               shares
STARBUCKS         Common       855244109 599104 24672918 SH        DEFINED   1,2,5,6,8,10,12,13,18,  24672918
CORP              equity
                  shares
STARTEK           Common       85569C107   1547   222551 SH        DEFINED   1,2,                      222551
INC               equity
                  shares
STARWOOD          Common       85590A401 350241  7506420 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7506420
HOTELS&RESORTS    equity
WRLD              shares
STARWOOD          Real Estate  85571B105  17229   892685 SH        DEFINED   1,2,                      892685
PROPERTY          Investment
TRUST INC         Trust
STATE             Common       855707105   5205   289967 SH        DEFINED   1,2,5,8,                  289967
AUTO              equity
FINANCIAL         shares
CORP
STATE             Common       855716106   2234   283809 SH        DEFINED   1,2,                      283809
BANCORP/NY        equity
                  shares
STATE             Common       857477103 991391 21962572 SH        DEFINED   1,2,5,6,8,10,12,13,18,  21962572
STREET            equity
CORP              shares
STEC INC          Common       784774101   5915   493781 SH        DEFINED   1,2,5,6,8,                493781
                  equity
                  shares
STEEL             Common       858119100 110729  6338230 SH        DEFINED   1,2,5,6,8,10,            6338230
DYNAMICS          equity
INC               shares
STEELCASE         Common       858155203   9644  1490591 SH        DEFINED   1,2,5,8,                 1490591
INC               equity
                  shares
STEIN             Common       858375108   5203   574995 SH        DEFINED   1,2,8,                    574995
MART INC          equity
                  shares
STEINER           Common       P8744Y102  16035   361794 SH        DEFINED   1,2,5,6,8,                357424           4370
LEISURE           equity
LTD               shares
STEINWAY          Common       858495104   2479   131652 SH        DEFINED   1,2,                      131652
MUSICAL           equity
INSTRS INC        shares
                  Common       85856G100   5834   436384 SH        DEFINED   1,2,8,                    436384
STELLARONE        equity
CORP              shares
STEMCELLS         Common       85857R105   2524  2176263 SH        DEFINED   1,2,5,                   2176263
INC               equity
                  shares
STEPAN CO         Common       858586100  10423   186491 SH        DEFINED   1,2,5,6,8,                186491
                  equity
                  shares
                  Common       85916J102   2803   559537 SH        DEFINED   1,2,6,                    559537
STEREOTAXIS       equity
INC               shares
                  Common       858912108 151996  2788918 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2788918
STERICYCLE        equity
INC               shares
STERIS            Common       859152100  65755  1953711 SH        DEFINED   1,2,5,6,8,               1953711
CORP              equity
                  shares
STERLING          Common       859158107   4802   477840 SH        DEFINED   1,2,8,                    477840
BANCORP/NY        equity
                  shares
STERLING          Common       858907108  25145  4506283 SH        DEFINED   1,2,5,8,                 4506283
BANCSHRS/TX       equity
                  shares
STERLING          Common       859241101   5053   321446 SH        DEFINED   1,2,6,8,                  321446
CONSTRUCTION      equity
CO INC            shares
STERLING          Common       859319105    660  1158196 SH        DEFINED   1,2,                     1158196
FINANCIAL         equity
CORP/WA           shares
STERLITE          USA: Bond    859737AB    1280  1200000 SH        DEFINED   1,2,                     1200000
INDS
INDIA LTD
NOTE
4.000%10/3
STERLITE          American     859737207   6857   368463 SH        DEFINED   1,2,6,8,                  368463
INDUSTRIES        Depository
(INDIA)           Receipt
STEWART           Common       860370105  11689  1870204 SH        DEFINED   1,2,5,8,                 1870204
ENTERPRISES       equity
-CL A             shares
STEWART           Common       860372101   5189   376022 SH        DEFINED   1,2,5,8,                  376022
INFORMATION       equity
SERVICES          shares
STIFEL            Common       860630102  38238   710683 SH        DEFINED   1,2,5,6,8,                710683
FINANCIAL         equity
CORP              shares
                  Common       86074Q102  46147  3555244 SH        DEFINED   1,2,5,6,8,               3555244
STILLWATER        equity
MINING CO         shares
STONE             Common       861642106  17047   962896 SH        DEFINED   1,2,5,8,                  962896
ENERGY            equity
CORP              shares
                  Common       86183P102   3290   332670 SH        DEFINED   1,2,                      332670
STONERIDGE        equity
INC               shares
STR               Common       78478V100   4421   188142 SH        DEFINED   1,2,                      188142
HOLDINGS          equity
INC               shares
STRATASYS         Common       862685104  10896   447444 SH        DEFINED   1,2,5,6,8,                447444
INC               equity
                  shares
STRATEGIC         Real Estate  86272T106   6541  1539048 SH        DEFINED   1,2,3,6,                 1539048
HOTELS &          Investment
RESORTS           Trust
STRAYER           Common       863236105  68332   280607 SH        DEFINED   1,2,5,6,8,10,             280607
EDUCATION         equity
INC               shares
                  Investments  78463X202   8727   224340 SH        DEFINED   10,                       224340
STREETTRACKS      that contain
EURO              a pool of
STOXX 50          securities
FUND              representing
                  a specific
                  index and
                  are built
                  like mutu
STRYKER           Common       863667101 536500  9376097 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9376097
CORP              equity
                  shares
STUDENT           Common       863902102   2166    60949 SH        DEFINED   1,2,5,10,                  60949
LOAN CORP         equity
                  shares
STURM             Common       864159108   8427   702846 SH        DEFINED   1,2,6,                    702846
RUGER &           equity
CO INC            shares
SUCAMPO           Common       864909106    580   162409 SH        DEFINED   1,2,                      162409
PHARMACEUTICALS   equity
INC               shares
                  Common       864596101  17452   915145 SH        DEFINED   1,2,5,6,8,                915145
SUCCESSFACTORS    equity
INC               shares
SUFFOLK           Common       864739107   7143   232598 SH        DEFINED   1,2,5,6,8,                232598
BANCORP           equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                  SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP   VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------ -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                        
SULPHCO           Common         865378103    319  1099241 SH        DEFINED   1,2,6,                   1099241
INC               equity shares
SUN               Common         86663B102   1115   282907 SH        DEFINED   1,2,8,                    282907
BANCORP           equity shares
INC/NJ
SUN               Real Estate    866674104  17392   690151 SH        DEFINED   1,2,3,5,8,                690151
COMMUNITIES       Investment
INC               Trust
SUN               Common         866933401   8693   911165 SH        DEFINED   1,2,5,8,                  911165
HEALTHCARE        equity shares
GROUP INC
SUN               Common         866942105   5964   229563 SH        DEFINED   1,2,6,8,                  229563
HYDRAULICS        equity shares
CORP
SUN LIFE          Common         866796105  18244   299560 SH        DEFINED   1,                        299560
FINANCIAL         equity shares
INC
SUNCOR            Common         867224107    839    25759 SH        DEFINED   1,                         25759
ENERGY INC        equity shares
SUNLINK           Common         86737U102     52    13400 SH        DEFINED   1,                         13400
HEALTH            equity shares
SYSTEMS
INC
SUNOCO INC        Common         86764P109 247247  8321213 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8321213
                  equity shares
SUNPOWER          Common         867652109  20579  1088824 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1088824
CORP              equity shares
SUNPOWER          Common         867652307   3580   213866 SH        DEFINED   1,2,5,8,10,12,18,         209366           4500
CORP              equity shares
SUNRISE           Common         86768K106   4341   847855 SH        DEFINED   1,2,6,                    847855
SENIOR            equity shares
LIVING INC
SUNSTONE          Real Estate    867892101  36529  3270235 SH        DEFINED   1,2,3,5,6,8,             3270235
HOTEL             Investment
INVESTORS         Trust
INC
SUNTECH           Non- or        86800CAE     953  1150000 SH        DEFINED   2,                       1150000
POWER             limited-voting
HLDGS CO          common
                  shares
SUNTECH           American       86800C104   3561   253977 SH        DEFINED   1,2,6,                    253977
POWER             Depository
HOLDINGS          Receipt
-ADR
SUNTRUST          Common         867914103 497170 18558021 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18558021
BANKS INC         equity shares
SUPER             Common         86800U104   7585   438975 SH        DEFINED   1,2,6,8,                  438975
MICRO             Stock
COMPUTER
INC
SUPERGEN          Common         868059106   3760  1175099 SH        DEFINED   1,2,                     1175099
INC               equity shares
SUPERIOR          Common         868157108  49349  2347706 SH        DEFINED   1,2,5,6,8,10,            2347706
ENERGY            equity shares
SERVICES
INC
SUPERIOR          Common         868168105   8239   512371 SH        DEFINED   1,2,5,8,                  512371
INDUSTRIES        equity shares
INTL
SUPERIOR          Common         868358102    225    23702 SH        DEFINED   1,                         23702
UNIFORM           equity shares
GROUP INC
SUPERIOR          Common         86837X105   5025   375530 SH        DEFINED   1,2,5,6,8,                375530
WELL              equity shares
SERVICES
INC
                  Common         868447103    564    13796 SH        DEFINED   1,2,                       13796
SUPERMEDIA        equity shares
INC
SUPERTEX          Common         868532102   5735   224101 SH        DEFINED   1,2,5,6,8,                224101
INC               equity shares
SUPERVALU         Common         868536103 231384 13871950 SH        DEFINED   1,2,5,6,8,10,12,13,18,  13871950
INC               equity shares
                  Common         86858W101   2629   803855 SH        DEFINED   1,2,5,                    803855
SUPPORT.COM       equity shares
INC
SUPREME           Common         868607102     55    20930 SH        DEFINED   1,                         20930
INDUSTRIES        equity shares
INC
SUREWEST          Common         868733106   2675   311356 SH        DEFINED   1,2,                      311356
COMMUNICATIONS    equity shares
SURMODICS         Common         868873100   8107   387131 SH        DEFINED   1,2,5,6,8,                387131
INC               equity shares
                  Common         869099101  45557  4643897 SH        DEFINED   1,2,5,8,                 4643897
SUSQUEHANNA       equity shares
BANCSHARES
INC
SUSSER            Common         869233106   1247   147535 SH        DEFINED   1,2,                      147535
HOLDINGS          equity shares
CORP
SUTOR             Common         869362103    288    99349 SH        DEFINED   1,2,                       99349
TECHNOLOGY        equity shares
GROUP LTD
SVB               Common         78486Q101  78953  1692089 SH        DEFINED   1,2,5,6,8,               1692089
FINANCIAL         equity shares
GROUP
SWIFT             Common         870738101  27356   889925 SH        DEFINED   1,2,5,8,                  889925
ENERGY CO         equity shares
SWITCH &          Common         871043105   7435   418641 SH        DEFINED   1,2,5,6,8,                418641
DATA              equity shares
FACILITIES
CO
SWS GROUP         Common         78503N107   7128   619164 SH        DEFINED   1,2,5,8,                  619164
INC               equity shares
SYBASE INC        Common         871130100  84862  1820299 SH        DEFINED   1,2,5,6,8,10,18,         1820299
                  equity shares
SYCAMORE          Common         871206405   7776   386683 SH        DEFINED   1,2,5,8,                  386683
NETWORKS          equity shares
INC
SYKES             Common         871237103  18134   793976 SH        DEFINED   1,2,5,6,8,                793976
ENTERPRISES       equity shares
INC
SYMANTEC          Common         871503108 485231 28677953 SH        DEFINED   1,2,5,6,8,10,12,13,18,  28677953
CORP              equity shares
SYMANTEC          A U S dollar   871503AD    3026  2900000 SH        DEFINED   1,2,                     2900000
CORP              denominated
                  issue offered
                  in Europe
SYMANTEC          Non- or        871503AF    2930  2750000 SH        DEFINED   1,2,                     2750000
CORP              limited-voting
                  common
                  shares
SYMETRA           Common         87151Q106   2128   161420 SH        DEFINED   1,2,10,                   161420
FINANCIAL         equity shares
CORP
                  Common         871543104   8267  1405836 SH        DEFINED   1,2,5,8,                 1405836
SYMMETRICOM       equity shares
INC
SYMMETRY          Common         871546206   8376   834240 SH        DEFINED   1,2,5,6,8,                834240
MEDICAL           equity shares
INC
SYMS CORP         Common         871551107   1051   105506 SH        DEFINED   1,2,                      105506
                  equity shares
SYMYX             Common         87155S108   2829   630172 SH        DEFINED   1,2,5,6,                  630172
TECHNOLOGIES      equity shares
INC
SYNAPTICS         Common         87157D109  21635   783604 SH        DEFINED   1,2,5,6,8,                783604
INC               equity shares
                  Common         87157B103   6956   359133 SH        DEFINED   1,2,5,6,8,                359133
SYNCHRONOSS       Stock
TECHNOLOGIES
SYNERON           Common         M87245102    620    56726 SH        DEFINED   1,2,5,                     56726
MEDICAL           equity shares
LTD
SYNGENTA          American       87160A100   1202    21647 SH        DEFINED   1,                         21647
AG                Depository
                  Receipt
SYNIVERSE         Common         87163F106  39771  2042695 SH        DEFINED   1,2,5,6,8,               2042695
HOLDINGS          equity shares
INC
SYNNEX            Common         87162W100  17340   586613 SH        DEFINED   1,2,5,8,                  586613
CORP              equity shares
SYNOPSYS          Common         871607107  92994  4157064 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4157064
INC               equity shares
SYNOVIS           Common         87162G105   3436   221234 SH        DEFINED   1,2,6,                    221234
LIFE TECH         equity shares
INC
SYNOVUS           Common         87161C105  53311 16204068 SH        DEFINED   1,2,5,6,8,10,18,        16204068
FINANCIAL         equity shares
CORP
SYNTA             Private        87162T206   1451   336574 SH        DEFINED   1,2,                      336574
PHARMACEUTICALS   company?no
CORP              public equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS       CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ----------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
SYNTEL INC        Common      87162H103   10747   279800 SH        DEFINED   1,2,5,6,8,                279800
                  equity
                  shares
SYNTHESIS         Common      871628103      22    21500 SH        DEFINED   1,                         21500
ENERGY            equity
SYSTEMS           shares
INC
                  Common      871630109    2615  1233620 SH        DEFINED   1,2,5,                   1233620
SYNTROLEUM        equity
CORP              shares
SYNUTRA           Common      87164C102    6412   283611 SH        DEFINED   1,2,                      283611
INTERNATIONAL     equity
INC               shares
SYSCO CORP        Common      871829107  573923 19455016 SH        DEFINED   1,2,5,6,8,10,12,13,18,  19455016
                  equity
                  shares
SYSTEMAX          Common      871851101    4568   210104 SH        DEFINED   1,2,5,6,                  210104
INC               equity
                  shares
T-3               Common      87306E107    6282   255766 SH        DEFINED   1,2,6,8,                  255766
ENERGY            equity
SERVICES          shares
INC
TAIWAN            American    874039100  116164 11073103 SH        DEFINED   1,2,4,5,6,8,18,         11073103
SEMICONDUCTOR     Depository
MFG CO            Receipt
TAKE-TWO          Common      874054109   18916  1920369 SH        DEFINED   1,2,5,8,                 1920369
INTERACTIVE       equity
SFTWR             shares
TAL               Common      874083108    8963   448596 SH        DEFINED   1,2,5,                    448596
INTERNATIONAL     equity
GROUP INC         shares
TALBOTS           Common      874161102    6828   526889 SH        DEFINED   1,2,5,6,8,                526889
INC               equity
                  shares
TALECRIS          Common      874227101   28343  1422850 SH        DEFINED   1,2,5,6,10,              1422850
BIOTHERAPEUTCS    equity
HLDG              shares
TALEO CORP        Common      87424N104   20415   787936 SH        DEFINED   1,2,5,6,8,                787936
                  equity
                  shares
TAM SA            American    87484D103     854    50367 SH        DEFINED   1,2,5,6,8,10,              50367
                  Depository
                  Receipt
TANGER            Real        875465106   59727  1383856 SH        DEFINED   1,2,3,5,8,               1378156            NA
FACTORY           Estate
OUTLET            Investment
CTRS              Trust
TARGACEPT         Common      87611R306     252    12828 SH        DEFINED   1,2,                       12828
INC               equity
                  shares
TARGET            Common      87612E106 3342188 63536054 SH        DEFINED   1,2,5,6,8,10,12,13,18,  63536054
CORP              equity
                  shares
TASER             Common      87651B104    7054  1203834 SH        DEFINED   1,2,5,6,8,               1203834
INTERNATIONAL     equity
INC               shares
TATA              American    876564105     860    69274 SH        DEFINED   1,2,5,6,8,                 69274
COMMUNICATIONS    Depository
LTD               Receipt
TATA              American    876568502    8668   469530 SH        DEFINED   1,2,5,6,8,                469530
MOTORS LTD        Depository
                  Receipt
TAUBMAN           Real        876664103   46590  1167086 SH        DEFINED   1,2,3,5,6,8,10,          1161500            NA
CENTERS           Estate
INC               Investment
                  Trust
TCF               Common      872275102   55564  3485849 SH        DEFINED   1,2,5,6,8,10,            3485849
FINANCIAL         equity
CORP              shares
TD                Common      87236Y108   92173  4835919 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4835919
AMERITRADE        equity
HOLDING           shares
CORP
TEAM              Common      87817A107    3551   211355 SH        DEFINED   1,2,                      211355
HEALTH            equity
HOLDINGS          shares
INC
TEAM INC          Common      878155100    6045   364396 SH        DEFINED   1,2,5,6,8,                364396
                  equity
                  shares
TECH DATA         Common      878237106   57510  1372375 SH        DEFINED   1,2,5,6,8,10,18,         1372375
CORP              equity
                  shares
TECH/OPS          Common      878293109      57    11300 SH        DEFINED   1,                         11300
SEVCON INC        equity
                  shares
TECHNE            Common      878377100   49360   774644 SH        DEFINED   1,2,5,6,8,10,             774644
CORP              equity
                  shares
                  American    878520105      31    21570 SH        DEFINED   1,                         21570
TECHNICOLOR       Depository
SA                Receipt
                  Common      878555101    6346  1201272 SH        DEFINED   1,2,5,8,                 1201272
TECHNITROL        equity
INC               shares
                  Common      87874R100    1057   202153 SH        DEFINED   1,2,5,                    202153
TECHTARGET        equity
INC               shares
TECHWELL          Common      87874D101    5672   303322 SH        DEFINED   1,2,                      303322
INC               Stock
TECO              Common      872375100  124355  7826009 SH        DEFINED   1,2,5,6,8,10,12,13,      7826009
ENERGY INC        equity
                  shares
TECUMSEH          Common      878895200    5094   415188 SH        DEFINED   1,2,5,                    415188
PRODUCTS          equity
CO -CL A          shares
TEEKAY            Common      Y8564W103   11048   485830 SH        DEFINED   1,2,5,6,10,               485830
CORP              equity
                  shares
TEEKAY            Common      Y8565N102    2597   206608 SH        DEFINED   1,2,                      206608
TANKERS           equity
LTD               shares
TEJON             Common      879080109    6194   202951 SH        DEFINED   1,2,5,6,8,                202951
RANCH CO          equity
                  shares
TEKELEC           Common      879101103   33766  1859358 SH        DEFINED   1,2,5,6,8,               1859358
                  equity
                  shares
TELE              American    879246106    8293   469542 SH        DEFINED   1,2,5,6,8,10,             469542
NORTE             Depository
LESTE             Receipt
PARTICIPACO
TELECOM           American    879273209     231    12307 SH        DEFINED   1,2,                       12307
ARGENTINA         Depository
STET-FRNCE        Receipt
                  Common      87929J103    5531   754578 SH        DEFINED   1,2,6,8,                  754578
TELECOMMUNICATION equity
SYS INC           shares
TELEDYNE          Common      879360105   34837   843833 SH        DEFINED   1,2,5,6,8,                843833
TECHNOLOGIES      equity
INC               shares
TELEFLEX          Common      879369106   74726  1166314 SH        DEFINED   1,2,5,6,8,10,            1166314
INC               equity
                  shares
                  American    879382208    3419    48087 SH        DEFINED   1,2,8,                     48087
TELEFONICA        Depository
SA                Receipt
                  American    715684106    1846    51608 SH        DEFINED   1,2,6,                     51608
TELEKOMUNIKASI    Depository
INDONESIA         Receipt
                  Common      879433860    1658    55570 SH        DEFINED   1,2,                       55570
TELEPHONE &       equity
DATA SYS          shares
INC
                  Common      879433100   76861  2270636 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2270636
TELEPHONE &       equity
DATA              shares
SYSTEMS
INC
TELETECH          Common      879939106   19722  1155153 SH        DEFINED   1,2,5,6,8,               1155153
HOLDINGS          equity
INC               shares
TELIK INC         Common      87959M109      44    53237 SH        DEFINED   1,                         53237
                  Stock
TELLABS           Common      879664100   87118 11508352 SH        DEFINED   1,2,5,6,8,10,12,13,     11508352
INC               equity
                  shares
TELMEX            American    879690105     602    31212 SH        DEFINED   1,6,8,                     31212
INTERNACIONAL     Depository
SAB DE            Receipt
                  American    879403780    3223   206595 SH        DEFINED   1,6,                      206595
TELMEX-TELEFONOS  Depository
DE MEXICO         Receipt
TELULAR           Common      87970T208      50    16333 SH        DEFINED   1,                         16333
CORP              equity
                  shares
TELVENT           Common      E90215109     400    13843 SH        DEFINED   1,                         13843
GIT SA            equity
                  shares
                  Common      879868107   48048  2342971 SH        DEFINED   1,2,5,6,8,10,            2342971
TEMPLE-INLAND     equity
INC               shares
TEMPUR            Common      88023U101   84139  2788689 SH        DEFINED   1,2,5,6,8,               2788689
PEDIC             equity
INTL INC          shares
TENARIS SA        American    88031M109   48027  1119267 SH        DEFINED   1,4,5,                   1119267
                  Depository
                  Receipt







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                         
TENET             Common         88033G100   78861 13786913 SH        DEFINED   1,2,5,6,8,10,12,13,     13786913
HEALTHCARE        equity shares
CORP
TENNANT CO        Common         880345103    9266   338283 SH        DEFINED   1,2,5,8,                  338283
                  equity shares
TENNECO           Common         880349105   29181  1232562 SH        DEFINED   1,2,5,6,8,               1232562
INC               equity shares
TERADATA          Common         88076W103  167454  5796247 SH        DEFINED   1,2,5,6,8,10,12,13,18,   5796247
CORP              equity shares
TERADYNE          Common         880770102   60596  5412282 SH        DEFINED   1,2,5,6,8,10,12,13,      5412282
INC               equity shares
TEREX CORP        Common         880779103   50144  2208021 SH        DEFINED   1,2,5,6,8,10,12,18,      2208021
                  equity shares
TERNIUM           American       880890108   40378   984105 SH        DEFINED   1,2,4,5,                  984105
SA -ADR           Depository
                  Receipt
TERRA             Common         880915103   93689  2047395 SH        DEFINED   1,2,5,6,8,10,            2047395
INDUSTRIES        equity shares
INC
TERREMARK         Common         881448203    7855  1120484 SH        DEFINED   1,2,5,6,8,               1120484
WORLDWIDE         equity shares
INC
TERRENO           Real Estate    88146M101    2009   101825 SH        DEFINED   1,2,                      101825
RLTY CORP         Investment
                  Trust
TERRESTAR         Common         881451108     101    76866 SH        DEFINED   1,                         76866
CORP              equity shares
                  Common         88145X108    4326   227345 SH        DEFINED   1,2,                      227345
TERRITORIAL       equity shares
BANCORP
INC
TESCO CORP        Common         88157K101     531    45486 SH        DEFINED   1,2,5,6,8,                 45486
                  equity shares
TESORO            Common         881609101  104654  7529043 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7529043
CORP              equity shares
TESSERA           Common         88164L100   27522  1357088 SH        DEFINED   1,2,5,6,8,18,            1357088
TECHNOLOGIES      equity shares
INC
TETRA             Common         88162G103   31721  1376763 SH        DEFINED   1,2,5,6,8,               1376763
TECH INC          equity shares
TETRA             Common         88162F105   24646  2016840 SH        DEFINED   1,2,5,6,8,               2016840
TECHNOLOGIES      equity shares
INC/DE
TEVA              Non- or        88163VAE     2247  1650000 SH        DEFINED   1,2,                     1650000
PHARM             limited-voting
FINANCE           common
LLC C             shares
TEVA              A U S issuer   88165FAA     2454  1900000 SH        DEFINED   1,2,                     1900000
PHARMACEUT        issuing in U S
FIN BV D          dollars in the
                  U S capital
                  market
TEVA              American       881624209  100907  1602838 SH        DEFINED   1,2,5,6,8,10,18,         1602838
PHARMACEUTICALS   Depository
                  Receipt
TEXAS             Common         88224Q107   33877  1783939 SH        DEFINED   1,2,5,6,8,               1783939
CAPITAL           equity shares
BANCSHARES
INC
TEXAS             Common         882491103   18977   555370 SH        DEFINED   1,2,5,8,                  555370
INDUSTRIES        equity shares
INC
TEXAS             Common         882508104 1043977 42663563 SH        DEFINED   1,2,5,6,8,10,12,13,18,  42663563
INSTRUMENTS       equity shares
INC
TEXAS             Common         882681109   15079  1085626 SH        DEFINED   1,2,5,6,8,               1085626
ROADHOUSE         equity shares
INC
TEXTAINER         Common         G8766E109    4113   190866 SH        DEFINED   1,2,                      190866
GROUP             equity shares
HOLDINGS
LTD
TEXTRON           Common         883203101  188361  8872417 SH        DEFINED   1,2,5,6,8,10,12,13,18,   8872417
INC               equity shares
TEXTRON           USA: Bond      883203BN     2638  1500000 SH        DEFINED   1,2,                     1500000
INC TXT
TFS               Common         87240R107   15967  1196048 SH        DEFINED   1,2,5,8,10,12,18,        1196048
FINANCIAL         equity shares
CORP
TGC               Common         872417308     889   220051 SH        DEFINED   1,2,                      220051
INDUSTRIES        equity shares
INC
                  Common         883375107     225   135399 SH        DEFINED   1,                        135399
THERAGENICS       equity shares
CORP
                  Common         88338T104   17119  1285196 SH        DEFINED   1,2,5,6,8,               1285196
THERAVANCE        equity shares
INC
THERMO            Common         883556102  728515 14155723 SH        DEFINED   1,2,5,6,8,10,12,13,18,  14155723
FISHER            equity shares
SCIENTIFIC
INC
                  Common         883623209      45    64298 SH        DEFINED   1,                         64298
THERMOGENESIS     equity shares
CORP
THESTREET.COM     Common         88368Q103      77    20835 SH        DEFINED   1,                         20835
                  equity shares
THOMAS &          Common         884315102   48543  1236321 SH        DEFINED   1,2,5,6,8,10,18,         1236321
BETTS CORP        equity shares
THOMAS            Common         884453101      49    14800 SH        DEFINED   1,                         14800
PROPERTIES        equity shares
GROUP
THOMAS            Common         884481102    1665   424674 SH        DEFINED   1,2,                      424674
WEISEL            equity shares
PARTNERS
GRP
THOMPSON          Common         884768102     401    30800 SH        DEFINED   1,                         30800
CREEK             equity shares
METALS CO
INC
                  Common         884903105     456    12570 SH        DEFINED   1,                         12570
THOMSON-REUTERS   equity shares
CORP
THOR              Common         885160101   22189   734508 SH        DEFINED   1,2,5,6,8,10,             734508
INDUSTRIES        equity shares
INC
THORATEC          Common         885175307   58297  1735750 SH        DEFINED   1,2,5,6,8,               1735750
CORP              equity shares
THQ INC           Common         872443403    9823  1401312 SH        DEFINED   1,2,5,8,                 1401312
                  equity shares
TIBCO             Common         88632Q103   48589  4503191 SH        DEFINED   1,2,5,6,8,18,            4503191
SOFTWARE          equity shares
INC
TICC              Common         87244T109    2855   433303 SH        DEFINED   1,2,                      433303
CAPITAL           equity shares
CORP
TIDEWATER         Common         886423102   63114  1333814 SH        DEFINED   1,2,5,6,8,10,            1333814
INC               equity shares
TIER              Common         88650Q100    2637   331239 SH        DEFINED   1,2,                      331239
TECHNOLOGIES      Stock
INC
TIERONE           Common         88650R108       5    14534 SH        DEFINED   1,                         14534
CORP              equity shares
TIFFANY &         Common         886547108  205529  4327392 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4327392
CO                equity shares
TIM               Common         88706M103    4306   132131 SH        DEFINED   1,5,8,13,18,              132131
HORTONS           equity shares
INC
TIM               American       88706P106    1753    63149 SH        DEFINED   1,2,5,6,8,10,              63149
PARTICIPACOES     Depository
SA                Receipt
                  Common         887098101      41    10283 SH        DEFINED   1,                         10283
TIMBERLAND        equity shares
BANCORP
INC
                  Common         887100105   33277  1559385 SH        DEFINED   1,2,5,6,8,               1550185           9200
TIMBERLAND        equity shares
CO -CL A
TIME              Common         88732J207  626998 11757219 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11757219
WARNER            Stock
CABLE INC
TIME              Common         887317303 1266912 40515250 SH        DEFINED   1,2,5,6,8,10,12,13,18,  40515250
WARNER INC        equity shares
TIMKEN CO         Common         887389104   76255  2540998 SH        DEFINED   1,2,5,6,8,10,            2540998
                  equity shares
TITAN             Common         88830M102    6147   704137 SH        DEFINED   1,2,5,8,                  704137
INTERNATIONAL     equity shares
INC
TITAN             Common         88830R101    3156   229644 SH        DEFINED   1,2,6,                    229644
MACHINERY         Stock
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                     
TITANIUM          Common     888339207   89474  5393246 SH        DEFINED   1,2,5,6,8,10,12,13,      5393246
METALS            equity
CORP              shares
TIVO INC          Common     888706108   38856  2269654 SH        DEFINED   1,2,5,6,8,               2269654
                  Stock
TJX               Common     872540109  653863 15376697 SH        DEFINED   1,2,5,6,8,10,12,13,18,  15376697
COMPANIES         equity
INC               shares
TNS INC           Common     872960109   12858   576592 SH        DEFINED   1,2,5,6,8,18,             576592
                  equity
                  shares
TODD              Common     889039103    1502    91438 SH        DEFINED   1,2,                       91438
SHIPYARDS         equity
CORP              shares
TOLL              Common     889478103  103009  4952364 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4952364
BROTHERS          equity
INC               shares
TOLLGRADE         Common     889542106     359    57009 SH        DEFINED   1,                         57009
COMMUNICATIONS    equity
INC               shares
TOMKINS           American   890030208     176    12360 SH        DEFINED   1,                         12360
PLC               Depository
                  Receipt
                  Common     890088107    3350   982269 SH        DEFINED   1,2,6,                    982269
TOMOTHERAPY       equity
INC               shares
TOMPKINS          Common     890110109    7750   210962 SH        DEFINED   1,2,5,8,                  210962
FINANCIAL         equity
CORP              shares
TOOTSIE           Common     890516107   20029   740997 SH        DEFINED   1,2,5,6,8,                740997
ROLL              equity
INDUSTRIES        shares
INC
TORCHMARK         Common     891027104  156337  2921641 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2921641
CORP              equity
                  shares
TOREADOR          Common     891050106    3457   422666 SH        DEFINED   1,2,                      422666
RESOURCES         equity
CORP              shares
TORO CO           Common     891092108   28610   579828 SH        DEFINED   1,2,5,6,8,10,18,          579828
                  equity
                  shares
TORONTO           Common     891160509    3756    50362 SH        DEFINED   1,10,                      50362
DOMINION          equity
BANK              shares
TOTAL             American   89151E109    3637    62693 SH        DEFINED   1,2,                       62693
                  Depository
                  Receipt
TOTAL             Common     891906109   96585  6167647 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6156517          11130
SYSTEM            equity
SERVICES          shares
INC
TOWER             Common     891709107    2085    77898 SH        DEFINED   1,2,                       77898
BANCORP           equity
INC               shares
TOWER             Common     891777104   22339  1006588 SH        DEFINED   1,2,5,6,8,               1006588
GROUP INC         equity
                  shares
TOWERS            Common     891894107   64817  1364576 SH        DEFINED   1,2,5,6,8,               1364576
WATSON &          equity
CO                shares
TOWN              Common     89214A102    1476   377610 SH        DEFINED   1,2,                      377610
SPORTS            equity
INTL              shares
HOLDINGS
TOWNEBANK         Common     89214P109    6120   438373 SH        DEFINED   1,2,8,                    438373
                  equity
                  shares
TOYOTA            American   892331307    3218    40015 SH        DEFINED   1,2,                       40015
MOTOR CORP        Depository
                  Receipt
TRACTOR           Common     892356106   64394  1108834 SH        DEFINED   1,2,5,6,8,               1108834
SUPPLY CO         equity
                  shares
                  Common     89267P105    5421   773356 SH        DEFINED   1,2,5,6,8,                773356
TRADESTATION      equity
GROUP INC         shares
TRANS             Common     89336Q100      23    12640 SH        DEFINED   1,                         12640
WORLD             equity
ENTMT CORP        shares
TRANS1 INC        Common     89385X105     706   217237 SH        DEFINED   1,2,                      217237
                  equity
                  shares
TRANSACT          Common     892918103      83    11469 SH        DEFINED   1,                         11469
TECHNOLOGIES      equity
INC               shares
                  Common     893521104   74082  1403062 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1403062
TRANSATLANTIC     equity
HOLDINGS          shares
INC
TRANSCEND         Common     893929208    2033   125102 SH        DEFINED   1,2,                      125102
SERVICES          Stock
INC
                  Real       893617209     184    14735 SH        DEFINED   1,2,                       14735
TRANSCONTINENTAL  Estate
RLTY INVS         Investment
                  Trust
TRANSDIGM         Common     893641100   21190   399518 SH        DEFINED   1,2,5,6,8,10,             399518
GROUP INC         equity
                  shares
                  USA:       893830AU     3554  3550000 SH        DEFINED   1,2,                     3550000
TRANSOCEAN        Bond
INC A
                  A U S      893830AV     6775  6900000 SH        DEFINED   1,2,                     6900000
TRANSOCEAN        issuer
INC B             issuing in
                  U S
                  dollars in
                  the U S
                  capital
                  market
                  USA:       893830AW     5044  5250000 SH        DEFINED   1,2,                     5250000
TRANSOCEAN        Bond
INC C
                  Common     H8817H100  170701  1990794 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1990794
TRANSOCEAN        equity
LTD               shares
                  Common     894065309      35    12649 SH        DEFINED   1,                         12649
TRANSWITCH        equity
CORP              shares
TRAVELERS         Common     89417E109 1362251 25261937 SH        DEFINED   1,2,5,6,8,10,12,13,18,  25261937
COS INC           equity
                  shares
TRAVELZOO         Common     89421Q106    1279    85238 SH        DEFINED   1,2,                       85238
INC               equity
                  shares
TRC COS           Common     872625108      43    14676 SH        DEFINED   1,                         14676
INC               equity
                  shares
TREDEGAR          Common     894650100   12670   741801 SH        DEFINED   1,2,5,8,                  741801
CORP              equity
                  shares
TREE.COM          Common     894675107    1171   127932 SH        DEFINED   1,2,8,                    127932
INC               equity
                  shares
TREEHOUSE         Common     89469A104   35151   801247 SH        DEFINED   1,2,5,6,8,                801247
FOODS INC         equity
                  shares
TREX CO           Common     89531P105    6164   289529 SH        DEFINED   1,2,                      289529
INC               equity
                  shares
                  Common     895735108      46    23312 SH        DEFINED   1,                         23312
TRI-VALLEY        equity
CORP              shares
TRIANGLE          Common     895848109    2275   162013 SH        DEFINED   1,2,                      162013
CAPITAL           equity
CORP.             shares
TRICO             Common     896095106    5266   264605 SH        DEFINED   1,2,                      264605
BANCSHARES        equity
                  shares
TRICO             Common     896106200      41    17742 SH        DEFINED   1,                         17742
MARINE            equity
SERVICES          shares
INC
TRIDENT           Common     895919108    2277  1308337 SH        DEFINED   1,2,6,                   1308337
MICROSYSTEMS      equity
INC               shares
TRIMAS            Common     896215209    1728   266189 SH        DEFINED   1,2,                      266189
CORP              Stock
TRIMBLE           Common     896239100   68160  2373252 SH        DEFINED   1,2,5,6,8,10,            2373252
NAVIGATION        equity
LTD               shares
TRIMERIS          Common     896263100      58    23528 SH        DEFINED   1,                         23528
INC               equity
                  shares
TRINITY           Common     896522109   33828  1691025 SH        DEFINED   1,2,5,6,8,10,            1691025
INDUSTRIES        equity
                  shares
TRIPLE-S          Common     896749108    8327   469115 SH        DEFINED   1,2,8,                    469115
MANAGEMENT        equity
CORP              shares
TRIQUINT          Common     89674K103   26573  3796150 SH        DEFINED   1,2,5,6,8,               3796150
SEMICONDUCTOR     equity
INC               shares
TRIUMPH           Common     896818101   28185   400274 SH        DEFINED   1,2,5,8,                  400274
GROUP INC         equity
                  shares
TRUE              Common     89784N104   17891   589289 SH        DEFINED   1,2,5,6,8,                589289
RELIGION          Stock
APPAREL
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                 SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER               CLASS       CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ------------ --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                       
TRUEBLUE          Common       89785X101   15599  1006393 SH        DEFINED   1,2,5,6,8,               1006393
INC               equity
                  shares
TRUSTCO           Common       898349105   12751  2066560 SH        DEFINED   1,2,5,8,                 2066560
BANK              equity
CORP/NY           shares
TRUSTMARK         Common       898402102   65362  2675476 SH        DEFINED   1,2,5,6,8,               2675476
CORP              equity
                  shares
TRW               Common       87264S106   39716  1389636 SH        DEFINED   1,2,5,6,8,10,            1389636
AUTOMOTIVE        equity
HOLDINGS          shares
CORP
TSAKOS            Common       G9108L108     194    13139 SH        DEFINED   1,5,6,                     13139
ENERGY            equity
NAVIGATION        shares
LTD
TTM               Common       87305R109   10281  1157714 SH        DEFINED   1,2,6,8,                 1157714
TECHNOLOGIES      equity
INC               shares
TUESDAY           Common       899035505    4059   615982 SH        DEFINED   1,2,                      615982
MORNING           equity
CORP              shares
                  Common       899896104   95768  1984594 SH        DEFINED   1,2,5,6,8,               1984594
TUPPERWARE        equity
BRANDS            shares
CORP
TURKCELL          American     900111204    1372    91111 SH        DEFINED   1,2,6,8,                   91111
ILETISIM          Depository
HIZMET            Receipt
TUTOR             Common       901109108   12080   555387 SH        DEFINED   1,2,5,8,                  555387
PERINI            equity
CORP              shares
TW                Common       87311L104   60991  3360396 SH        DEFINED   1,2,5,6,8,10,18,         3360396
TELECOM           equity
INC               shares
TWIN DISC         Common       901476101    2592   212117 SH        DEFINED   1,2,                      212117
INC               equity
                  shares
TYCO              Common       H8912P106   82683  3003047 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3003047
ELECTRONICS       equity
LTD               shares
TYCO              Common       H89128104  136007  3555528 SH        DEFINED   1,2,5,6,8,10,12,13,18,   3555528
INTERNATIONAL     equity
LTD               shares
TYLER             Common       902252105   15102   805895 SH        DEFINED   1,2,5,6,8,                805895
TECHNOLOGIES      equity
INC               shares
TYSON             Common       902494103  227669 11888039 SH        DEFINED   1,2,5,6,8,10,12,13,18,  11888039
FOODS INC         equity
-CL A             shares
U S               Common       902973304 1816719 70192483 SH        DEFINED   1,2,5,6,8,10,12,13,18,  70192483
BANCORP           equity
                  shares
U S               Common       90333L102     233   614206 SH        DEFINED   1,2,                      614206
CONCRETE          equity
INC               shares
U S               Common       911805109     113    19041 SH        DEFINED   1,                         19041
ENERGY            equity
CORP/WY           shares
U S               Common       90338S102    1002  1101148 SH        DEFINED   1,2,                     1101148
GEOTHERMAL        equity
INC               shares
U S               Common       902952100    2185   220938 SH        DEFINED   1,2,                      220938
GLOBAL            equity
INVESTORS         shares
INC
U S GOLD          Common       912023207    4137  1532134 SH        DEFINED   1,2,8,                   1532134
CORP              equity
                  shares
U S               Common       911922102    1179    30489 SH        DEFINED   1,2,6,                     30489
LIME &            equity
MINERALS          shares
U S               Common       90337L108    4472   257009 SH        DEFINED   1,2,5,                    257009
PHYSICAL          equity
THERAPY           shares
INC
                  Real Estate  91274F104   20530  2838106 SH        DEFINED   1,2,3,5,8,               2838106
U-STORE-IT        Investment
TRUST             Trust
UAL CORP          Common       902549807   69005  3529673 SH        DEFINED   1,2,5,6,8,               3529673
                  equity
                  shares
UAL CORP          USA: Bond    902549AH     1898  1900000 SH        DEFINED   1,2,                     1900000
UBS AG            Common       H89231338   56344  3460943 SH        DEFINED   1,                       3460943
                  equity
                  shares
UDR INC           Real Estate  902653104   82504  4677070 SH        DEFINED   1,2,3,5,6,8,10,18,       4655110             NA
                  Investment
                  Trust
UGI CORP          Common       902681105   60618  2284010 SH        DEFINED   1,2,5,6,8,10,            2284010
                  equity
                  shares
UIL               Common       902748102   19428   705576 SH        DEFINED   1,2,5,8,                  705576
HOLDINGS          equity
CORP              shares
ULTA              Common       90384S303   12738   562844 SH        DEFINED   1,2,5,6,8,                562844
SALON             equity
COSMETCS &        shares
FRAG
ULTIMATE          Common       90385D107   16048   486676 SH        DEFINED   1,2,5,6,8,                486676
SOFTWARE          Stock
GROUP INC
ULTRA             Common       90385V107     137    16038 SH        DEFINED   1,                         16038
CLEAN             equity
HOLDINGS          shares
INC
ULTRA             Common       903914109   66459  1425048 SH        DEFINED   1,2,5,6,8,10,12,13,18,   1425048
PETROLEUM         equity
CORP              shares
ULTRALIFE         Common       903899102     921   229623 SH        DEFINED   1,2,                      229623
CORP              equity
                  shares
ULTRAPAR          American     90400P101     574    11844 SH        DEFINED   5,6,10,                    11844
PARTICIPACOES     Depository
SA                Receipt
                  Common       P94398107    2159   393275 SH        DEFINED   1,2,                      393275
ULTRAPETROL       equity
BAHAMAS           shares
LTD
ULTRATECH         Common       904034105    6729   494757 SH        DEFINED   1,2,6,8,                  494757
INC               equity
                  shares
ULURU INC         Common       90403T100       4    24385 SH        DEFINED   1,                         24385
                  equity
                  shares
UMB               Common       902788108   43509  1071654 SH        DEFINED   1,2,5,8,                 1071654
FINANCIAL         equity
CORP              shares
UMH               Real Estate  903002103    1264   154722 SH        DEFINED   1,2,                      154722
PROPERTIES        Investment
INC               Trust
UMPQUA            Common       904214103   46155  3480732 SH        DEFINED   1,2,5,8,                 3480732
HOLDINGS          equity
CORP              shares
UNDER             Common       904311107   32740  1111870 SH        DEFINED   1,2,5,6,8,               1111870
ARMOUR INC        equity
                  shares
UNICA CORP        Common       904583101    1941   218287 SH        DEFINED   1,2,                      218287
                  equity
                  shares
UNIFI INC         Common       904677101    3431   942689 SH        DEFINED   1,2,                      942689
                  equity
                  shares
UNIFIRST          Common       904708104   18468   358821 SH        DEFINED   1,2,5,8,                  358821
CORP              equity
                  shares
UNILEVER          Similar to   904784709     409    13545 SH        DEFINED   1,                         13545
NV                ADR
                  Certificates
                  representing
                  ordinary
                  shares
UNILEVER          American     904767704    2406    80658 SH        DEFINED   1,                         80658
PLC               Depository
                  Receipt
UNILIFE           Common       90478E103     247    42125 SH        DEFINED   1,2,                       42125
CORP              equity
                  shares
UNION             Common       90653P105    1867   303011 SH        DEFINED   1,2,                      303011
DRILLING          equity
INC               shares
UNION             Common       90662P104    6297   417050 SH        DEFINED   1,2,                      417050
FIRST             equity
MARKET            shares
BANKSHARS
UNION             Common       907818108 1258292 17165327 SH        DEFINED   1,2,5,6,8,10,12,13,18,  17165327
PACIFIC           equity
CORP              shares
UNISOURCE         Common       909205106   31194   991633 SH        DEFINED   1,2,5,8,                  991633
ENERGY            equity
CORP              shares
UNISYS            Common       909214306   39156  1123820 SH        DEFINED   1,2,5,6,8,               1123820
CORP              equity
                  shares
UNIT CORP         Common       909218109   55408  1310496 SH        DEFINED   1,2,5,6,8,10,            1308796           1700
                  equity
                  shares
UNITED            Common       90933T109    7156   747711 SH        DEFINED   1,2,5,8,                  747711
AMERICA           equity
INDEMNITY         shares
LTD







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                    SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER                CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            -------------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                          
UNITED            Common         909907107   42238   1610492 SH        DEFINED   1,2,5,8,                  1610492
BANKSHARES        equity shares
INC/WV
UNITED            Common         909912107     659     27803 SH        DEFINED   1,2,                        27803
CAPITAL           equity shares
CORP
UNITED            Common         90984P105    8381   1900342 SH        DEFINED   1,2,5,6,8,                1900342
COMMUNITY         equity shares
BANKS INC
UNITED            Common         909839102      63     41754 SH        DEFINED   1,                          41754
COMMUNITY         equity shares
FINL CORP
UNITED            Common         91030T109    4879    349002 SH        DEFINED   1,2,                       349002
FINANCIAL         equity shares
BANCORP
INC
UNITED            Common         910331107    8766    487272 SH        DEFINED   1,2,5,8,                   487272
FIRE &            equity shares
CAS CO
UNITED            American       910873405   12890   3428283 SH        DEFINED   1,2,6,8,                  3428283
MICROELECTRONICS  Depository
CORP              Receipt
UNITED            Common         911163103   29239   1036474 SH        DEFINED   1,2,5,6,8,                1036474
NATURAL           equity shares
FOODS INC
UNITED            Common         911268100   15818   2114761 SH        DEFINED   1,2,5,8,                  2114761
ONLINE INC        equity shares
UNITED            Common         911312106 1916464  29754136 SH        DEFINED   1,2,5,6,8,10,12,13,18,   29754136
PARCEL            equity shares
SERVICE
INC
UNITED            Common         911363109   22720   2422209 SH        DEFINED   1,2,5,6,8,                2422209
RENTALS           equity shares
INC
UNITED            Common         911459105    1466     97930 SH        DEFINED   1,2,                        97930
SEC               equity shares
BANCSHARES
INC
UNITED            Common         912909108  370830   5838004 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5838004
STATES            equity shares
STEEL CORP
UNITED            Common         913004107   36132    613177 SH        DEFINED   1,2,5,8,                   613177
STATIONERS        equity shares
INC
UNITED            Common         913017109 8832661 119811282 SH        DEFINED   1,2,5,6,8,10,12,13,18,  119811282
TECHNOLOGIES      equity shares
CORP
UNITED            Common         91307C102   84581   1528384 SH        DEFINED   1,2,5,6,8,10,18,          1528384
THERAPEUTICS      equity shares
CORP
                  Common         91324P102 1285987  39368097 SH        DEFINED   1,2,5,6,8,10,12,13,18,   39368097
UNITEDHEALTH      equity shares
GROUP INC
UNITIL            Common         913259107    4768    205065 SH        DEFINED   1,2,                       205065
CORP              equity shares
UNITRIN           Common         913275103   28301   1008955 SH        DEFINED   1,2,5,6,8,10,             1008955
INC               equity shares
UNIVERSAL         Common         913377107   10635    690678 SH        DEFINED   1,2,5,8,                   690678
AMERICAN          equity shares
CORP
UNIVERSAL         Common         913456109   72856   1382723 SH        DEFINED   1,2,5,6,8,                1382723
CORP/VA           equity shares
UNIVERSAL         Common         91347P105    6518    553786 SH        DEFINED   1,2,5,6,8,                 553786
DISPLAY           equity shares
CORP
UNIVERSAL         Common         913483103    6224    278594 SH        DEFINED   1,2,5,6,8,                 278594
ELECTRONICS       equity shares
INC
UNIVERSAL         Common         913543104   50676   1315564 SH        DEFINED   1,2,5,8,                  1315564
FOREST            equity shares
PRODS INC
UNIVERSAL         Real Estate    91359E105   12524    354375 SH        DEFINED   1,2,3,5,8,                 354375
HEALTH            Investment
RLTY              Trust
INCOME
UNIVERSAL         Common         913903100   67530   1923755 SH        DEFINED   1,2,5,6,8,10,12,          1923755
HEALTH            equity shares
SVCS -CL B
UNIVERSAL         Common         91359V107    1292    255368 SH        DEFINED   1,2,                       255368
INSURANCE         equity shares
HLDGS
UNIVERSAL         Common         913915104    9839    430591 SH        DEFINED   1,2,5,6,8,                 430591
TECHNICAL         equity shares
INST
UNIVERSAL         Common         91388Q202    1933    195044 SH        DEFINED   1,2,                       195044
TRAVEL            Stock
GROUP
UNIVERSAL         Common         91388P105    2093    119073 SH        DEFINED   1,2,                       119073
TRUCKLOAD         equity shares
SERVICES
UNIVEST           Common         915271100    5733    306721 SH        DEFINED   1,2,8,                     306721
CORP OF           equity shares
PENNSYLVANIA
UNUM GROUP        Common         91529Y106  323389  13056097 SH        DEFINED   1,2,5,6,8,10,12,13,18,   13056097
                  equity shares
UNVL              Common         913837100    3107    129500 SH        DEFINED   1,2,5,                     129500
STAINLESS &       equity shares
ALLOY
PRODS
UQM               Common         903213106      77     18319 SH        DEFINED   1,                          18319
TECHNOLOGIES      equity shares
INC
URANERZ           Common         91688T104    1411    758403 SH        DEFINED   1,2,                       758403
ENERGY            equity shares
CORP
URANIUM           Common         916896103    3483   1081543 SH        DEFINED   1,2,6,                    1081543
ENERGY            equity shares
CORP
URANIUM           Common         916901507      22     31070 SH        DEFINED   1,                          31070
RESOURCES         equity shares
INC
URBAN             Common         917047102  176185   4632790 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4632790
OUTFITTERS        equity shares
INC
UROLOGIX          Common         917273104      25     14851 SH        DEFINED   1,                          14851
INC               Stock
URS CORP          Common         903236107  113807   2294042 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2294042
                  equity shares
URSTADT           Real Estate    917286205    7524    475922 SH        DEFINED   1,2,3,5,8,                 475922
BIDDLE            Investment
PROPERTIES        Trust
US                Common         90341W108   23723   3227628 SH        DEFINED   1,2,5,6,8,                3227628
AIRWAYS           equity shares
GROUP INC
US AUTO           Common         90343C100    1125    149608 SH        DEFINED   1,2,                       149608
PARTS             equity shares
NETWORK
INC
US                Common         911684108    6945    167832 SH        DEFINED   1,2,5,8,10,                167832
CELLULAR          equity shares
CORP
US                Common         91732J102    5937    369678 SH        DEFINED   1,2,5,8,                   369678
ECOLOGY           equity shares
INC
US STEEL          USA: Bond      912909AE     4751   2250000 SH        DEFINED   1,2,                      2250000
CORP
USA               Non- or        90341G103   10207    799696 SH        DEFINED   1,2,5,6,8,                 799696
MOBILITY          limited-voting
INC               common
                  shares
USA               Common         90328S500      13     11800 SH        DEFINED   1,                          11800
TECHNOLOGIES      equity shares
INC
USA TRUCK         Common         902925106    2086    129091 SH        DEFINED   1,2,                       129091
INC               equity shares
USANA             Common         90328M107    4176    132218 SH        DEFINED   1,2,5,6,                   132218
HEALTH            equity shares
SCIENCES
INC
USEC INC          Common         90333E108   14059   2436498 SH        DEFINED   1,2,5,8,                  2436498
                  equity shares
USEC INC          Non- or        90333EAC     1162   1400000 SH        DEFINED   1,2,                      1400000
                  limited-voting
                  common
                  shares
USG CORP          Common         903293405   46840   2729583 SH        DEFINED   1,2,5,6,8,10,             2729583
                  equity shares
UTAH              Common         917488108    1411     50162 SH        DEFINED   1,2,                        50162
MEDICAL           equity shares
PRODUCTS
INC
UTI               Common         G87210103   18130   1183409 SH        DEFINED   1,2,5,6,8,10,             1183409
WORLDWIDE         Stock
INC
UTSTARCOM         Common         918076100    6323   2266437 SH        DEFINED   1,2,5,                    2266437
INC               equity shares
VAALCO            Common         91851C201    5840   1182239 SH        DEFINED   1,2,6,8,                  1182239
ENERGY INC        equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER               CLASS        CUSIP    VALUE     VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------          -------------- --------- ------- --------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                          
VAIL            Common         91879Q109   26153    652363 SH        DEFINED   1,2,5,6,8,                   652363
RESORTS         equity shares
INC
VALASSIS        Common         918866104   28684   1030689 SH        DEFINED   1,2,5,6,8,18,               1030689
COMMUNICATIONS  equity shares
INC
VALE            USA: Bond      91912F30     2549     28000 SH        DEFINED   2,                            28000
CAPITAL II
VALE S A        American       91912E204   59675   2149680 SH        DEFINED   1,2,5,6,8,10,               2149680
                Depository
                Receipt
VALE SA         American       91912E105  435657  13533836 SH        DEFINED   1,2,4,5,6,8,10,18,         13533836
                Depository
                Receipt
VALEANT         Common         91911X104   65479   1525962 SH        DEFINED   1,2,5,6,8,10,               1525962
PHARMACEUTICALS equity shares
INTL
VALENCE         Common         918914102     738    868756 SH        DEFINED   1,2,6,                       868756
TECHNOLOGY      equity shares
INC
VALERO          Common         91913Y100  439257  22296775 SH        DEFINED   1,2,5,6,8,10,12,13,18,     22296775
ENERGY          equity shares
CORP
VALHI INC       Common         918905100    1138     57845 SH        DEFINED   1,2,5,10,                     57845
                equity shares
VALIDUS         Common         G9319H102   42988   1561490 SH        DEFINED   1,2,5,6,8,10,12,18,         1561490
HOLDINGS        equity shares
LTD
VALLEY          Common         919794107   65510   4262186 SH        DEFINED   1,2,5,6,8,10,12,            4262186
NATIONAL        equity shares
BANCORP
VALMONT         Common         920253101   34269    413724 SH        DEFINED   1,2,5,6,8,10,                413724
INDUSTRIES      equity shares
INC
VALSPAR         Common         920355104   79867   2709179 SH        DEFINED   1,2,5,6,8,10,               2709179
CORP            equity shares
VALUE           Common         920437100     524     22705 SH        DEFINED   1,2,                          22705
LINE INC        equity shares
                Common         92046N102   33420   3295822 SH        DEFINED   1,2,5,6,8,                  3295822
VALUECLICK      equity shares
INC
                Common         92047K107     232     69962 SH        DEFINED   1,                            69962
VALUEVISION     equity shares
MEDIA INC
-CL A
VANCEINFO       American       921564100     515     21576 SH        DEFINED   1,                            21576
TECHNOLOGIES    Depository
-ADR            Receipt
VANDA           Common         921659108    5897    511044 SH        DEFINED   1,2,                         511044
PHARMACEUTICALS equity shares
INC
VANGUARD        Investments    922042858  157563   3735502 SH        DEFINED   1,2,10,18,                  3735502
ETF             that contain a
EMERGING        pool of
MARKETS         securities
                representing a
                specific index
                and are built
                like mutu
VANGUARD        Investments    922042874     312      6345 SH        DEFINED   1,                             6345
ETF             that contain a
EUROPEAN        pool of
                securities
                representing a
                specific index
                and are built
                like mutu
VANGUARD        Investments    922042866     318      5704 SH        DEFINED   1,                             5704
ETF             that contain a
PACIFIC         pool of
                securities
                representing a
                specific index
                and are built
                like mutu
VANGUARD        Investments    922908553   14973    306575 SH        DEFINED   1,2,                         306575
ETF REIT        that contain a
                pool of
                securities
                representing a
                specific index
                and are built
                like mutu
VANGUARD        Investments    922908769    2420     39670 SH        DEFINED   1,                            39670
ETF TOTAL       that contain a
STOCK           pool of
MARKET          securities
                representing a
                specific index
                and are built
                like mutu
VANGUARD        Investments    922042775   15398    345451 SH        DEFINED   1,                           345451
FTSE            that contain a
ALL-WORLD       pool of
EX-US ETF       securities
                representing a
                specific index
                and are built
                like mutu
VANGUARD        Investments    921937835  164134   2072400 SH        DEFINED   2,                          2072400
TOTAL           that contain a
BOND            pool of
MARKET ETF      securities
                representing a
                specific index
                and are built
                like mutu
VANTAGE         Common         G93205113    1636   1105327 SH        DEFINED   1,2,                        1105327
DRILLING        equity shares
CO
VARIAN INC      Common         922206107   46626    900470 SH        DEFINED   1,2,5,6,8,                   900470
                equity shares
VARIAN          Common         92220P105  230018   4157208 SH        DEFINED   1,2,5,6,8,10,12,13,18,      4157208
MEDICAL         equity shares
SYSTEMS
INC
VARIAN          Common         922207105   31591    953846 SH        DEFINED   1,2,5,6,8,10,                953846
SEMICONDUCTOR   equity shares
EQUIPMT
VASCO           Common         92230Y104    4340    526082 SH        DEFINED   1,2,5,6,                     526082
DATA SEC        equity shares
INTL INC
VASCULAR        Common         92231M109    2737    304447 SH        DEFINED   1,2,                         304447
SOLUTIONS       equity shares
INC
VCA             Common         918194101   49421   1763021 SH        DEFINED   1,2,5,6,8,10,               1763021
ANTECH INC      equity shares
VECTOR          Common         92240M108   10005    648386 SH        DEFINED   1,2,                         648386
GROUP LTD       equity shares
VECTREN         Common         92240G101  100697   4073517 SH        DEFINED   1,2,5,6,8,10,               4073517
CORP            equity shares
VEECO           Common         922417100   38619    887796 SH        DEFINED   1,2,5,6,8,                   887796
INSTRUMENTS     equity shares
INC
VENOCO INC      Common         92275P307    4677    364575 SH        DEFINED   1,2,5,6,8,                   364575
                equity shares
VENTAS INC      Real Estate    92276F100  342235   7207990 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,    7185940            NA
                Investment
                Trust
VERIFONE        Common         92342Y109   35828   1773541 SH        DEFINED   1,2,5,6,8,                  1773541
HOLDINGS        equity shares
INC
VERIGY LTD      Common         Y93691106    1922    169105 SH        DEFINED   1,2,5,6,8,                   169105
                equity shares
VERISIGN        Common         92343E102  169369   6511701 SH        DEFINED   1,2,5,6,8,10,12,13,18,      6511701
INC             equity shares
VERISIGN        Non- or        92343EAD     3074   3400000 SH        DEFINED   1,2,                        3400000
INC             limited-voting
                common
                shares
VERISK          Common         92345Y106   24138    855956 SH        DEFINED   1,2,5,6,10,                  855956
ANALYTICS       equity shares
INC
VERIZON         Common         92343V104 3178685 102484899 SH        DEFINED   1,2,5,6,8,10,12,13,18,    102484899
COMMUNICATIONS  equity shares
INC
VERTEX          Common         92532F100  213385   5222330 SH        DEFINED   1,2,5,6,8,10,12,13,18,      5222330
PHARMACEUTICALS equity shares
INC
VERTRO INC      Common         92535G105      12     28929 SH        DEFINED   1,                            28929
                Stock
VF CORP         Common         918204108  265083   3307329 SH        DEFINED   1,2,5,6,8,10,12,13,18,      3307329
                equity shares
VIACOM INC      Common         92553P201  715861  20821383 SH        DEFINED   1,2,5,6,8,10,12,13,18,     20814623          6760
                equity shares
VIACOM          Common         92553P102     251      6847 SH        DEFINED   1,                             6847
INC NEW         equity shares
VIAD CORP       Common         92552R406    9725    473218 SH        DEFINED   1,2,5,6,8,                   473218
                equity shares
VIASAT INC      Common         92552V100   21151    611134 SH        DEFINED   1,2,5,6,8,                   611134
                equity shares
VICAL INC       Common         925602104    3097    921867 SH        DEFINED   1,2,                         921867
                equity shares
VICOR CORP      Common         925815102    5553    402069 SH        DEFINED   1,2,5,6,                     402069
                equity shares
VIEWPOINT       Common         926727108    2901    178971 SH        DEFINED   1,2,6,                       178971
FINANCIAL       equity shares
GROUP
VILLAGE         Common         927107409    3509    125180 SH        DEFINED   1,2,                         125180
SUPER           equity shares
MARKET
-CL A
VINA            American       927191106    2323     51744 SH        DEFINED   1,2,6,                        51744
CONCHA Y        Depository
TORO SA         Receipt
VIRAGE          Common         92763R104    2103    267539 SH        DEFINED   1,2,                         267539
LOGIC CORP      equity shares
VIRCO           Common         927651109      49     12730 SH        DEFINED   1,                            12730
MFG. CORP       equity shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                   SHS/PRN  SH/ PUT/                                                 SHARED   NO
ISSUER                CLASS        CUSIP    VALUE    VAL    PRN CALL DISCRETION         MANAGERS         SOLE VOTING VOTING VOTING
------            -------------- --------- ------- -------- --- ---- ---------- ------------------------ ----------- ------ ------
                                                                                           
VIRGIN            Common         92769L101   79641  4614212 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4614212
MEDIA INC         equity shares
VIRGIN            An issue in    92769LAB7    3433  2750000 SH        DEFINED   1,2,                       2750000
MEDIA INC         any currency
144A              issued on a
                  private basis
VIRGINIA          Common         92778Q109     181    27285 SH        DEFINED   1,                           27285
COMM              equity shares
BANCORP
INC
VIRNETX           Common         92823T108      69    14400 SH        DEFINED   1,                           14400
HOLDING           equity shares
CORP
                  Common         928241108   31120  2283175 SH        DEFINED   1,2,5,6,8,                 2283175
VIROPHARMA        equity shares
INC
VIRTUAL           Common         92826B104    1265   114966 SH        DEFINED   1,2,6,                      114966
RADIOLOGIC        equity shares
CORP
VIRTUS            Common         92828Q109    2647   127014 SH        DEFINED   1,2,5,                      127014
INVESTMENT        Stock
PTNRS INC
VIRTUSA           Common         92827P102    2635   255587 SH        DEFINED   1,2,                        255587
CORP              Stock
VISA INC          Common         92826C839 1349476 14825448 SH        DEFINED   1,2,5,6,8,10,12,13,18,    14825448
                  equity shares
VISHAY            Common         928298108   59962  5860953 SH        DEFINED   1,2,5,6,8,10,              5860953
INTERTECHNOLOGY   equity shares
INC
VISTA             Common         927926303      54    26900 SH        DEFINED   1,                           26900
GOLD CORP         equity shares
                  Common         N93540107    7123   124876 SH        DEFINED   1,2,5,6,8,                  124876
VISTAPRINT        equity shares
NV
                  Common         92847A200    2193   181964 SH        DEFINED   1,2,                        181964
VITACOST.COM      equity shares
INC
VITAL             Common         92846N104    4506   278682 SH        DEFINED   1,2,5,6,8,                  278682
IMAGES INC        equity shares
VITAMIN           Common         92849E101    3316   147705 SH        DEFINED   1,2,                        147705
SHOPPE INC        equity shares
VITRAN            Common         92850E107     262    17202 SH        DEFINED   1,                           17202
CORP INC          equity shares
VIVO              American       92855S200   13411   494677 SH        DEFINED   1,2,6,10,18,                494677
PARTICIPACOES     Depository
SA                Receipt
VIVUS INC         Common         928551100   17545  2011997 SH        DEFINED   1,2,5,6,8,                 2011997
                  equity shares
VMWARE            Common         928563402   40796   760637 SH        DEFINED   1,2,5,6,8,10,12,13,18,      760637
INC -CL A         equity shares
VOCUS INC         Common         92858J108    5309   311371 SH        DEFINED   1,2,5,6,8,                  311371
                  equity shares
VODAFONE          Depository     92857W209    9724   418932 SH        DEFINED   1,2,5,                      418932
GROUP PLC         Receipt
VOLCANO           Common         928645100   22313   923567 SH        DEFINED   1,2,5,6,8,                  923567
CORP              Stock
VOLCOM INC        Common         92864N101    7241   370963 SH        DEFINED   1,2,5,6,8,                  370963
                  equity shares
VOLT INFO         Common         928703107    2725   266936 SH        DEFINED   1,2,5,                      266936
SCIENCES          equity shares
INC
VOLTERRA          Common         928708106   11194   445979 SH        DEFINED   1,2,6,8,                    445979
SEMICONDUCTOR     equity shares
CORP
VONAGE            Common         92886T201     180   133269 SH        DEFINED   1,2,6,                      133269
HOLDINGS          equity shares
CORP
VORNADO           Non- or        929043AC     1337  1200000 SH        DEFINED   1,2,                       1200000
REALTY            limited-voting
L.P.              common
                  shares
VORNADO           Real Estate    929042109  576666  7617780 SH        DEFINED   1,2,3,5,6,8,10,12,13,18,   7592382             NA
REALTY            Investment
TRUST             Trust
VSE CORP          Common         918284100    3687    89571 SH        DEFINED   1,2,                         89571
                  Stock
VULCAN            Common         929160109  212350  4495134 SH        DEFINED   1,2,5,6,8,10,12,13,18,     4495134
MATERIALS         equity shares
CO
W&T               Common         92922P106    5735   682779 SH        DEFINED   1,2,5,6,8,                  682779
OFFSHORE          equity shares
INC
WABASH            Common         929566107     227    32339 SH        DEFINED   1,                           32339
NATIONAL          equity shares
CORP
WABCO             Common         92927K102   20124   670700 SH        DEFINED   1,2,5,6,8,10,               670700
HOLDINGS          equity shares
INC
WABTEC            Common         929740108   41449   983251 SH        DEFINED   1,2,5,6,8,10,               983251
CORP              equity shares
WACHOVIA          Public         94974680     8380     8550 SH        DEFINED   2,                            8550
CORP              preferred
                  instrument
                  Common         930059100   66080  1833084 SH        DEFINED   1,2,5,6,8,10,              1827344           5740
WADDELL&REED      equity shares
FINL INC
-CL A
WAL-MART          Common         931142103 4383775 78847813 SH        DEFINED   1,2,5,6,8,10,12,13,18,    78844053           3760
STORES INC        equity shares
WALGREEN          Common         931422109 1194259 32198957 SH        DEFINED   1,2,5,6,8,10,12,13,18,    32198957
CO                equity shares
WALTER            Common         93317Q105   92201   999251 SH        DEFINED   1,2,5,6,8,10,               999251
ENERGY INC        equity shares
WALTER            Real Estate    93317W102    7284   455243 SH        DEFINED   1,2,8,                      455243
INVESTMENT        Investment
MGMT CORP         Trust
WARNACO           Common         934390402   68622  1438312 SH        DEFINED   1,2,5,6,8,                 1438312
GROUP INC         equity shares
WARNER            Common         G94368100   20313   795020 SH        DEFINED   1,2,5,6,8,10,12,13,18,      795020
CHILCOTT          equity shares
PLC
WARNER            Common         934550104    3882   561785 SH        DEFINED   1,2,5,6,8,10,               561785
MUSIC             equity shares
GROUP CORP
WARREN            Common         93564A100    3176  1260146 SH        DEFINED   1,2,6,                     1260146
RESOURCES         equity shares
INC
                  Common         937303105    3181   252627 SH        DEFINED   1,2,                        252627
WASHINGTON        equity shares
BANKING CO
                  Common         938824109   48188  2371466 SH        DEFINED   1,2,5,6,8,10,              2371466
WASHINGTON        equity shares
FED INC
                  Common         939640108   85739   193027 SH        DEFINED   1,2,5,6,8,10,12,13,18,      193027
WASHINGTON        equity shares
POST -CL B
                  Real Estate    939653101   60000  1963998 SH        DEFINED   1,2,3,5,8,                 1955598             NA
WASHINGTON        Investment
REIT              Trust
                  Common         940610108    5159   276773 SH        DEFINED   1,2,5,8,                    276773
WASHINGTON        equity shares
TR
BANCORP
INC
WASTE             Common         941053100   57980  1707295 SH        DEFINED   1,2,5,6,8,10,              1707295
CONNECTIONS       equity shares
INC
WASTE             Common         94106L109  692477 20111350 SH        DEFINED   1,2,5,6,8,10,12,13,18,    20111350
MANAGEMENT        equity shares
INC
WASTE             Common         941075202    4834   488804 SH        DEFINED   1,2,8,                      488804
SERVICES          equity shares
INC
WATERS            Common         941848103  220628  3266631 SH        DEFINED   1,2,5,6,8,10,12,13,18,     3266631
CORP              equity shares
                  Common         941888109     512   141383 SH        DEFINED   1,2,                        141383
WATERSTONE        equity shares
FINANCIAL
INC
WATSCO INC        Common         942622200   34468   605828 SH        DEFINED   1,2,5,8,                    605828
                  equity shares
WATSON            Common         942683103  157516  3768428 SH        DEFINED   1,2,5,6,8,10,12,13,18,     3768428
PHARMACEUTICALS   equity shares
INC
WATTS             Common         942749102   21355   687542 SH        DEFINED   1,2,5,8,                    687542
WATER             equity shares
TECHNOLOGIES
INC







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                SHS/PRN  SH/ PUT/                                               SHARED   NO
ISSUER              CLASS      CUSIP    VALUE     VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING VOTING
------            ---------- --------- ------- --------- --- ---- ---------- ---------------------- ----------- ------ ------
                                                                                      
WAUSAU            Common     943315101   10158   1189482 SH        DEFINED   1,2,5,8,                  1189482
PAPER CORP        equity
                  shares
WAVE              Common     943526301     134     33574 SH        DEFINED   1,                          33574
SYSTEMS           Stock
CORP -CL A
WCA WASTE         Common     92926K103      64     12600 SH        DEFINED   1,                          12600
CORP              equity
                  shares
WD-40 CO          Common     929236107   11402    347307 SH        DEFINED   1,2,5,8,                   347307
                  equity
                  shares
                  Common     H27013103   65797   4148623 SH        DEFINED   1,2,5,6,8,10,12,13,18,    4148623
WEATHERFORD       equity
INTL LTD          shares
WEB.COM           Common     94733A104    3906    716736 SH        DEFINED   1,2,                       716736
GROUP INC         equity
                  shares
WEBMD             Common     94770V102   29409    634097 SH        DEFINED   1,2,5,6,8,10,12,           634097
HEALTH            equity
CORP              shares
                  Common     94770W100      25     25152 SH        DEFINED   1,                          25152
WEBMEDIABRANDS    equity
INC               shares
WEBSENSE          Common     947684106   24496   1075806 SH        DEFINED   1,2,5,6,8,                1075806
INC               equity
                  shares
WEBSTER           Common     947890109   63333   3621111 SH        DEFINED   1,2,5,6,8,                3621111
FINANCIAL         equity
CORP              shares
WEIGHT            Common     948626106    9617    376691 SH        DEFINED   1,2,5,6,8,10,12,           376691
WATCHERS          equity
INTL INC          shares
                  Real       948741103   76973   3570194 SH        DEFINED   1,2,3,5,6,8,10,12,        3553294             NA
WEINGARTEN        Estate
REALTY            Investment
INVST             Trust
WEIS              Common     948849104    8929    245582 SH        DEFINED   1,2,5,8,                   245582
MARKETS           equity
INC               shares
WELLCARE          Common     94946T106   41006   1376411 SH        DEFINED   1,2,5,6,8,                1376411
HEALTH            equity
PLANS INC         shares
WELLPOINT         Common     94973V107  986361  15320928 SH        DEFINED   1,2,5,6,8,10,12,13,18,   15320928
INC               equity
                  shares
WELLS             Common     949746101 5666844 182088634 SH        DEFINED   1,2,5,6,8,10,12,13,18,  182088634
FARGO & CO        equity
                  shares
                  Common     950587105   37564   7512756 SH        DEFINED   1,2,5,6,8,10,12,          7512756
WENDY'S/ARBY'S    equity
GROUP INC         shares
WERNER            Common     950755108   34233   1477482 SH        DEFINED   1,2,5,6,8,                1468022           9460
ENTERPRISES       equity
INC               shares
WESBANCO          Common     950810101    8816    542176 SH        DEFINED   1,2,5,8,                   542176
INC               equity
                  shares
WESCO             Common     950817106    5439     14110 SH        DEFINED   1,2,5,8,10,12,              14110
FINANCIAL         equity
CORP              shares
WESCO             Common     95082P105   17123    493326 SH        DEFINED   1,2,5,6,8,10,              493326
INTL INC          equity
                  shares
WEST              Common     95123P106    1855    281913 SH        DEFINED   1,2,                       281913
BANCORPORATION    equity
INC               shares
WEST              Common     952145100      89     34577 SH        DEFINED   1,                          34577
COAST             equity
BANCORP/OR        shares
WEST              Common     954235107    2842    261938 SH        DEFINED   1,2,                       261938
MARINE INC        equity
                  shares
WEST              Common     955306105   30769    733466 SH        DEFINED   1,2,5,6,8,                 733466
PHARMACEUTICAL    equity
SVSC INC          shares
                  Common     957090103   66826   1158951 SH        DEFINED   1,2,5,6,8,                1158951
WESTAMERICA       equity
BANCORPORATION    shares
WESTAR            Common     95709T100   51572   2312651 SH        DEFINED   1,2,5,6,8,10,             2312651
ENERGY INC        equity
                  shares
WESTELL           Common     957541105      73     51412 SH        DEFINED   1,                          51412
TECH INC          equity
-CL A             shares
WESTERN           Common     957638109    5377    945057 SH        DEFINED   1,2,5,6,8,                 945057
ALLIANCE          equity
BANCORP           shares
WESTERN           Common     958102105  334652   8581733 SH        DEFINED   1,2,5,6,8,10,12,13,18,    8576743           4990
DIGITAL           equity
CORP              shares
WESTERN           Common     959319104    4674    850322 SH        DEFINED   1,2,5,8,                   850322
REFINING          equity
INC               shares
WESTERN           Common     959802109  380337  22423027 SH        DEFINED   1,2,5,6,8,10,12,13,18,   22423027
UNION CO          equity
                  shares
WESTFIELD         Common     96008P104    5290    575652 SH        DEFINED   1,2,                       575652
FINANCIAL         equity
INC               shares
WESTLAKE          Common     960413102    9917    384519 SH        DEFINED   1,2,5,8,                   384519
CHEMICAL          equity
CORP              shares
                  Common     960878106    2709    214684 SH        DEFINED   1,2,5,                     214684
WESTMORELAND      equity
COAL CO           shares
WESTPAC           American   961214301    2731     21487 SH        DEFINED   1,                          21487
BANKING           Depository
                  Receipt
WESTWOOD          Common     961765104    4144    112615 SH        DEFINED   1,2,6,                     112615
HOLDINGS          equity
GROUP INC         shares
WET SEAL          Common     961840105    8813   1851447 SH        DEFINED   1,2,6,8,                  1851447
INC               equity
                  shares
WEYCO             Common     962149100    3173    134899 SH        DEFINED   1,2,                       134899
GROUP INC         equity
                  shares
                  Common     962166104  336986   7443915 SH        DEFINED   1,2,5,6,8,10,12,13,18,    7443915
WEYERHAEUSER      equity
CO                shares
WGL               Common     92924F106  126911   3634106 SH        DEFINED   1,2,5,6,8,                2942679         691427
HOLDINGS          equity
INC               shares
WHIRLPOOL         Common     963320106  228821   2620340 SH        DEFINED   1,2,5,6,8,10,12,13,18,    2620340
CORP              equity
                  shares
WHITE             Common     963801105    2555    365036 SH        DEFINED   1,2,5,                     365036
ELECTRONIC        equity
DESIGNS CP        shares
WHITE             Common     G9618E107   42427    119565 SH        DEFINED   1,2,5,6,8,10,12,13,18,     119565
MTNS INS          equity
GROUP LTD         shares
WHITING           Common     966387102   65313    807136 SH        DEFINED   1,2,5,6,8,10,              807136
PETROLEUM         equity
CORP              shares
WHITNEY           Common     966612103   41017   2974710 SH        DEFINED   1,2,5,6,8,10,             2974710
HOLDING           equity
CORP              shares
WHOLE             Common     966837106  206174   5695645 SH        DEFINED   1,2,5,6,8,10,12,13,18,    5695645
FOODS             equity
MARKET INC        shares
WILBER            Common     967797101     510     77819 SH        DEFINED   1,2,                        77819
CORP              equity
                  shares
WILEY             Common     968223206   42501    982010 SH        DEFINED   1,2,5,6,8,10,18,           982010
(JOHN) &          equity
SONS -CL A        shares
WILLBROS          Common     969203108    9887    823221 SH        DEFINED   1,2,5,6,8,                 823221
GROUP INC         equity
                  shares
WILLIAMS          Common     969457100  558127  24155660 SH        DEFINED   1,2,5,6,8,10,12,13,18,   24155660
COS INC           equity
                  shares
                  Common     969904101   94523   3594644 SH        DEFINED   1,2,5,6,8,10,             3594644
WILLIAMS-SONOMA   equity
INC               shares
WILLIS            Common     G96666105   29665    948064 SH        DEFINED   1,2,5,6,8,10,12,13,18,     948064
GROUP             equity
HOLDINGS          shares
PLC
WILLIS            Common     970646105    1413     89527 SH        DEFINED   1,2,                        89527
LEASE             equity
FINANCE           shares
CORP
                  Common     971807102   49901   3011546 SH        DEFINED   1,2,5,6,8,10,             3011546
WILMINGTON        equity
TRUST CORP        shares
WILSHIRE          Common     97186T108    5607    508314 SH        DEFINED   1,2,5,8,                   508314
BANCORP           equity
INC               shares
WIMM BILL         American   97263M109   13031    581244 SH        DEFINED   1,2,5,6,8,10,12,18,        581244
DANN FOODS        Depository
                  Receipt







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                               SHS/PRN  SH/ PUT/                                               SHARED    NO
ISSUER              CLASS      CUSIP    VALUE    VAL    PRN CALL DISCRETION        MANAGERS        SOLE VOTING VOTING  VOTING
------            ---------- --------- ------- -------- --- ---- ---------- ---------------------- ----------- ------ -------
                                                                                     
                  Common     97381W104  164562 15111314 SH        DEFINED   1,2,5,6,8,10,12,13,18,  15111314
WINDSTREAM        Stock
CORP
                  Common     974280307   13919  1114410 SH        DEFINED   1,2,5,8,                 1114410
WINN-DIXIE        equity
STORES INC        shares
WINNEBAGO         Common     974637100    8833   604603 SH        DEFINED   1,2,5,8,                  604603
INDUSTRIES        equity
                  shares
WINTHROP          Real       976391300    3597   298745 SH        DEFINED   1,2,3,                    298745
REALTY            Estate
TRUST             Investment
                  Trust
WINTRUST          Common     97650W108   46764  1256660 SH        DEFINED   1,2,5,8,                 1256660
FINANCIAL         equity
CORP              shares
WIPRO LTD         American   97651M109   15691   673137 SH        DEFINED   1,2,5,6,8,                673137
                  Depository
                  Receipt
WIRELESS          Common     976524108      10    10100 SH        DEFINED   1,                         10100
TELECOM           equity
GROUP INC         shares
WISCONSIN         Common     976657106  231549  4686279 SH        DEFINED   1,2,5,6,8,10,12,13,18,   4686279
ENERGY            equity
CORP              shares
WMS               Common     929297109   47380  1128408 SH        DEFINED   1,2,5,6,8,10,            1128408
INDUSTRIES        equity
INC               shares
WOLVERINE         Common     978097103   32705  1121587 SH        DEFINED   1,2,5,8,                 1121587
WORLD WIDE        equity
                  shares
WONDER            Common     978166106    3102   293168 SH        DEFINED   1,2,6,                    293168
AUTO              equity
TECHNOLOGY        shares
INC
WOODWARD          Common     980745103   60726  1898869 SH        DEFINED   1,2,5,6,8,               1898869
GOVERNOR          equity
CO                shares
WOORI             American   981063100     314     7151 SH        DEFINED   1,6,                        7151
FINANCE           Depository
HOLDINGS          Receipt
CO
WORLD             Common     981419104   14889   413292 SH        DEFINED   1,2,5,8,                  413292
ACCEPTANCE        equity
CORP/DE           shares
WORLD             Common     981475106   69410  2605478 SH        DEFINED   1,2,5,6,8,18,            2605478
FUEL              equity
SERVICES          shares
CORP
WORLD             Common     98156Q108    7191   415666 SH        DEFINED   1,2,8,                    415666
WRESTLING         equity
ENTMT INC         shares
                  Common     981811102   35979  2084037 SH        DEFINED   1,2,5,6,8,               2084037
WORTHINGTON       equity
INDUSTRIES        shares
WPP PLC           American   92933H101     374     7262 SH        DEFINED   1,                          7262
                  Depository
                  Receipt
WRIGHT            Common     98233Q105   31549  1047428 SH        DEFINED   1,2,5,6,8,18,            1047428
EXPRESS           equity
CORP              shares
WRIGHT            Common     98235T107   13637   767403 SH        DEFINED   1,2,5,6,8,                767403
MEDICAL           equity
GROUP INC         shares
WSFS              Common     929328102    5457   139914 SH        DEFINED   1,2,5,8,                  139914
FINANCIAL         equity
CORP              shares
WUXI              American   929352102     621    39909 SH        DEFINED   1,2,6,                     39909
PHARMATECH        Depository
(CAYMAN)-ADR      Receipt
WYNDHAM           Common     98310W108  149573  5811420 SH        DEFINED   1,2,5,6,8,10,12,13,      5811420
WORLDWIDE         equity
CORP              shares
WYNN              Common     983134107  171790  2264823 SH        DEFINED   1,2,5,6,8,10,12,13,18,   2264823
RESORTS           equity
LTD               shares
X-RITE INC        Common     983857103    1390   458694 SH        DEFINED   1,2,                      458694
                  equity
                  shares
XCEL              Common     98389B100  392207 18500072 SH        DEFINED   1,2,5,6,8,10,12,13,18,  18500072
ENERGY INC        equity
                  shares
XENOPORT          Common     98411C100    5315   574007 SH        DEFINED   1,2,5,6,8,                574007
INC               Stock
XERIUM            Common     98416J100      17    23300 SH        DEFINED   1,                         23300
TECHNOLOGIES      equity
INC               shares
XEROX CORP        Common     984121103  746624 76491161 SH        DEFINED   1,2,5,6,8,10,12,13,18,  76491161
                  equity
                  shares
XILINX INC        Common     983919101  245593  9631111 SH        DEFINED   1,2,5,6,8,10,12,13,18,   9631111
                  equity
                  shares
XILINX INC        USA:       983919AD     1610  1750000 SH        DEFINED   1,2,                     1750000
                  Bond
XL                Common     G98255105  233639 12364708 SH        DEFINED   1,2,5,6,8,10,12,13,18,  12364708
CAPITAL           equity
LTD               shares
XOMA LTD          Common     G9825R107      88   154648 SH        DEFINED   1,6,                      154648
                  equity
                  shares
XTO               Common     98385X106 1046358 22178005 SH        DEFINED   1,2,5,6,8,10,12,13,18,  22178005
ENERGY INC        equity
                  shares
YADKIN            Common     984314104    1108   257638 SH        DEFINED   1,2,                      257638
VALLEY            equity
FINANCIAL         shares
CORP
YAHOO INC         Common     984332106  716516 43346421 SH        DEFINED   1,2,5,6,8,10,12,13,18,  43346421
                  equity
                  shares
YAMANA            Common     98462Y100    1177   114732 SH        DEFINED   1,                        114732
GOLD INC          equity
                  shares
YANZHOU           American   984846105     747    31009 SH        DEFINED   1,6,                       31009
COAL              Depository
MINING CO         Receipt
LTD
YORK              Common     987184108    3414   248292 SH        DEFINED   1,2,5,                    248292
WATER CO          equity
                  shares
                  Common     987413101    1436   488597 SH        DEFINED   1,2,                      488597
YOUBET.COM        equity
INC               shares
YOUNG             Common     987520103    3239   115018 SH        DEFINED   1,2,                      115018
INNOVATIONS       equity
INC               shares
YRC               Common     984249102    5916 10878288 SH        DEFINED   1,2,5,6,8,              10878288
WORLDWIDE         equity
INC               shares
YUM               Common     988498101  775351 20228316 SH        DEFINED   1,2,5,6,8,10,12,13,18,  15537694          4690622
BRANDS INC        equity
                  shares
ZALE CORP         Common     988858106    1448   528575 SH        DEFINED   1,2,                      528575
                  equity
                  shares
ZEBRA             Common     989207105   36063  1218334 SH        DEFINED   1,2,5,6,8,10,            1218334
TECHNOLOGIES      equity
CP -CL A          shares
ZENITH            Common     989390109   34296   894988 SH        DEFINED   1,2,5,8,                  894988
NATIONAL          equity
INSURANCE         shares
CP
ZEP INC           Common     98944B108    9893   452149 SH        DEFINED   1,2,5,6,8,                452149
                  equity
                  shares
ZHONE             Common     98950P884      55    19855 SH        DEFINED   1,                         19855
TECHNOLOGIES      Stock
INC
ZHONGPIN          Common     98952K107    5108   402234 SH        DEFINED   1,2,6,8,                  402234
INC               equity
                  shares
ZIMMER            Common     98956P102  442391  7472819 SH        DEFINED   1,2,5,6,8,10,12,13,18,   7472819
HOLDINGS          equity
INC               shares
ZION              Common     989696109    1289   208279 SH        DEFINED   1,2,                      208279
OIL & GAS         equity
INC               shares
ZIONS             Common     989701107  133139  6101701 SH        DEFINED   1,2,5,6,8,10,12,13,18,   6101701
BANCORPORATION    equity
                  shares
ZIOPHARM          Common     98973P101      54    10600 SH        DEFINED   1,                         10600
ONCOLOGY          equity
INC               shares
ZIX CORP          Common     98974P100    2928  1267333 SH        DEFINED   1,2,5,                   1267333
                  equity
                  shares
ZOLL              Common     989922109   11559   438501 SH        DEFINED   1,2,5,6,8,                438501
MEDICAL           equity
CORP              shares
ZOLTEK            Common     98975W104    5549   575073 SH        DEFINED   1,2,5,6,8,                575073
COS INC           equity
                  shares
ZORAN CORP        Common     98975F101   12033  1118303 SH        DEFINED   1,2,5,6,8,               1118303
                  equity
                  shares







                                                 STATE STREET CORPORATION (STT)
                                           FORM 13F INFORMATION TABLE AS OF 3/31/2010

                                                                  SHS/
                                                                  PRN   SH/ PUT/                        SOLE  SHARED   NO
ISSUER                        CLASS                CUSIP   VALUE  VAL   PRN CALL DISCRETION  MANAGERS  VOTING VOTING VOTING
------            -----------------------------  --------- ----- ------ --- ---- ---------- ---------- ------ ------ ------
                                                                                    
ZUMIEZ INC        Common equity shares           989817101 8240  402154 SH        DEFINED   1,2,5,6,8, 402154
ZYGO CORP         Common equity shares           989855101 2608  282503 SH        DEFINED   1,2,       282503
ZYMOGENETICS INC  Common equity shares           98985T109 4777  833642 SH        DEFINED   1,2,5,6,8, 833642
TOTAL MARKET VALUE: 491,822,037