UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: September 30, 2010


Check here if Amendment [ ];


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



The Institutional Investment Manager filing this report and the person by whom
it is signed 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 Reporting Manager:

Name:  Monika M. Machon

Title: Senior Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Monika M. Machon               New York, New York        November 15, 2010
-------------------------------    ------------------------  -----------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

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

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

[ ] 13F COMBINATION REPORT.  (Check 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

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 3,896

Form 13F Information Table Value Total: $12,087,745(thousands)

List of Other Included Managers:

Provide a numbered list of the name(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.


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-13934                 AIG Asset Management (U.S.), LLC

2         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

3         28-11910                 FSC SECURITIES CORPORATION

4         28-12857                 SAGEPOINT FINANCIAL, INC.



                                  13F SECURITIES - 3Q 2010



                                                                                                     VOTING AUTHORITY
                       TITLE OF   CUSIP      ACTUAL     SHARES/   SH/ PUT/ INVESTMENT OTHER ---------------------------------
      ISSUER NAME        CLASS    NUMBER     VALUE     PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)  SHARED (B)   NONE (C)
---------------------- -------- --------- ----------- ----------- --- ---- ---------- ----- ---------- ---------- -----------
                                                                                 
1 800 FLOWERS.COM
   INC CL A            EQUITY   68243Q106      37,963      20,086 SH       SOLE         2       20,086
1ST SOURCE CORP        EQUITY   336901103     204,813      11,798 SH       SOLE         2       11,798
1ST UNITED BANCORP
   INC/NOR             EQUITY   33740N105     108,789      16,919 SH       SOLE         2       16,919
3D SYSTEMS CORP        EQUITY   88554D205     220,867      14,059 SH       SOLE         2       14,059
3M CO                  EQUITY   88579Y101  21,827,682     251,732 SH       SOLE         2      251,732
3M CO                  COM      88579Y101     351,378   4052.3377 SH       DEFINED      4                           4052.3377
3M CO                  COM      88579Y101   1,118,842      13,031 SH       SOLE         1       13,031
3M CO                  COM      88579Y101     221,284        2552 SH       DEFINED      3                                2552
99 CENTS ONLY STORES   EQUITY   65440K106   2,578,914     136,595 SH       SOLE         2      136,595
A123 SYSTEM INC        COM      03739T108     266,975      26,940 SH       SOLE         1       26,940
A123 SYSTEMS INC       EQUITY   03739T108     503,100      56,087 SH       SOLE         2       56,087
AAON INC               EQUITY   360206        260,978      11,096 SH       SOLE         2       11,096
AAR CORP               EQUITY   361105        657,672      35,245 SH       SOLE         2       35,245
AAR CORP.              COM      361105        555,333      23,581 SH       SOLE         1       23,581
AARON S INC            EQUITY   2535201     2,936,354     159,152 SH       SOLE         2      159,152
ABAXIS INC             EQUITY   2567105       460,660      19,942 SH       SOLE         2       19,942
ABAXIS INC             COM      2567105       344,542      13,344 SH       SOLE         1       13,344
ABBOTT LABORATORIES    EQUITY   2824100    48,422,875     926,931 SH       SOLE         2      926,931
ABBOTT LABORATORIES    COM      2824100     5,741,109     113,798 SH       SOLE         1      113,798
ABBOTT LABS            COM      2824100       268,360   5137.0577 SH       DEFINED      4                           5137.0577
ABBOTT LABS            COM      2824100       981,547       18789 SH       DEFINED      3                               18789
ABERCROMBIE + FITCH
   CO CL               EQUITY   2896207    16,188,634     411,715 SH       SOLE         2      411,715
ABERDEEN ASIA
   PACIFIC INCOM       COM      3009107        73,080       10500 SH       DEFINED      4                               10500
ABINGTON BANCORP INC   EQUITY   00350L109     169,726      16,103 SH       SOLE         2       16,103
ABIOMED INC            EQUITY   3654100       256,125      24,140 SH       SOLE         2       24,140
ABM INDUSTRIES INC     EQUITY   957100        997,523      46,203 SH       SOLE         2       46,203
ABM INDUSTRIES, INC.   COM      957100        672,140      28,123 SH       SOLE         1       28,123
ABOVENET INC           EQUITY   00374N107     905,845      17,390 SH       SOLE         2       17,390
ABRAXAS PETROLEUM
   CORP                EQUITY   3830106       147,504      51,938 SH       SOLE         2       51,938
ACACIA RESEARCH
   ACACIA T            EQUITY   3881307       459,026      26,081 SH       SOLE         2       26,081
ACADIA REALTY TRUST    EQUITY   4239109       687,515      36,185 SH       SOLE         2       36,185
ACADIA REALTY TRUST    COM      4239109       478,078      24,024 SH       SOLE         1       24,024
ACCELRYS INC           EQUITY   00430U103     295,584      42,469 SH       SOLE         2       42,469
ACCENTURE PLC          COM      B4BNMY3     4,198,703      93,346 SH       SOLE         1       93,346
ACCENTURE PLC CL A     EQUITY   G1151C101     318,675       7,500 SH       SOLE         2        7,500
ACCO BRANDS CORP       EQUITY   00081T108     243,357      42,323 SH       SOLE         2       42,323
ACCURAY INC            EQUITY   4397105       245,535      39,475 SH       SOLE         2       39,475
ACE LTD                EQUITY   H0023R105  11,919,814     204,632 SH       SOLE         2      204,632
ACETO CORP             EQUITY   4446100       133,261      19,626 SH       SOLE         2       19,626
ACI WORLDWIDE INC      EQUITY   4498101     2,204,676      98,467 SH       SOLE         2       98,467
ACME PACKET INC        COM      4764106     3,464,074      83,231 SH       SOLE         1       83,231





                                                                                 
ACME PACKET INC        EQUITY   4764106     1,282,751      33,810 SH       SOLE         2       33,810
ACORDA THERAPEUTICS
   INC                 EQUITY   00484M106     987,463      29,905 SH       SOLE         2       29,905
ACTEL CORP             EQUITY   4934105       318,856      19,991 SH       SOLE         2       19,991
ACTIVISION BLIZZARD
   INC                 EQUITY   00507V109   1,630,401     150,684 SH       SOLE         2      150,684
ACTUANT CORP           COM      00508X203     957,761      40,652 SH       SOLE         1       40,652
ACTUANT CORP CL A      EQUITY   00508X203   1,406,185      61,245 SH       SOLE         2       61,245
ACTUATE CORPORATION    EQUITY   00508B102     180,363      35,022 SH       SOLE         2       35,022
ACUITY BRANDS INC      EQUITY   00508Y102   5,653,518     127,792 SH       SOLE         2      127,792
ACXIOM CORP            EQUITY   5125109     3,582,822     225,903 SH       SOLE         2      225,903
ADC TELECOMMUN-
   ICATIONS INC        COM      886309      1,008,532      79,600 SH       SOLE         1       79,600
ADC TELECOMMUN-
   ICATIONS INC        EQUITY   886309      3,609,772     284,907 SH       SOLE         2      284,907
ADMINISTAFF INC        EQUITY   7094105       531,194      19,725 SH       SOLE         2       19,725
ADMINISTAFF, INC.      COM      7094105       391,496      13,472 SH       SOLE         1       13,472
ADOBE SYSTEMS INC      EQUITY   00724F101  10,882,532     416,158 SH       SOLE         2      416,158
ADOBE SYSTEMS INC.     COM      00724F101   6,793,728     231,947 SH       SOLE         1      231,947
ADTRAN INC             EQUITY   00738A106   6,477,656     183,503 SH       SOLE         2      183,503
ADVANCE AUTO PARTS     COM      00751Y106     345,089       5,231 SH       SOLE         1        5,231
ADVANCE AUTO PARTS
   INC                 EQUITY   00751Y106  10,785,971     183,810 SH       SOLE         2      183,810
ADVANCED ENERGY
   INDUSTRIES          COM      7973100       289,998      23,034 SH       SOLE         1       23,034
ADVANCED ENERGY
   INDUSTRIES          EQUITY   7973100       432,155      33,090 SH       SOLE         2       33,090
ADVANCED MICRO
   DEVICES             EQUITY   7903107     2,183,531     307,107 SH       SOLE         2      307,107
ADVANCED MICRO
   DEVICES INC         COM      7903107        94,239     13254.5 SH       DEFINED      4                             13254.5
ADVENT SOFTWARE INC    EQUITY   7974108     2,425,896      46,482 SH       SOLE         2       46,482
ADVISORY BOARD CO/THE  EQUITY   00762W107     527,328      11,944 SH       SOLE         2       11,944
AECOM TECHNOLOGY CORP  EQUITY   00766T100   6,149,255     253,473 SH       SOLE         2      253,473
AEROPOSTALE INC        EQUITY   7865108     4,689,758     201,710 SH       SOLE         2      201,710
AEROVIRONMENT INC      COM      8073108       213,499       9,016 SH       SOLE         1        9,016
AEROVIRONMENT INC      EQUITY   8073108       327,565      14,722 SH       SOLE         2       14,722
AES CORP               COM      00130H105   6,621,021     563,012 SH       SOLE         1      563,012
AES CORP               EQUITY   00130H105   4,903,075     431,989 SH       SOLE         2      431,989
AES TR III             COM      00808N202     282,924        5800 SH       DEFINED      4                                5800
AETNA INC              EQUITY   00817Y108   5,836,818     184,651 SH       SOLE         2      184,651
AFC ENTERPRISES        EQUITY   00104Q107     244,764      19,739 SH       SOLE         2       19,739
AFFILIATED MANAGERS
   GROUP               EQUITY   8252108    20,960,507     268,690 SH       SOLE         2      268,690
AFFYMETRIX INC         COM      00826T108     191,390      42,343 SH       SOLE         1       42,343
AFFYMETRIX INC         EQUITY   00826T108     291,229      63,866 SH       SOLE         2       63,866
AFLAC INC              EQUITY   1055102    12,837,680     248,263 SH       SOLE         2      248,263
AFLAC, INC.            COM      1055102     5,460,976      95,505 SH       SOLE         1       95,505
AGA MEDICAL HOLDINGS
   INC                 EQUITY   8368102     4,966,172     355,743 SH       SOLE         2      355,743
AGCO CORP              EQUITY   1084102     7,937,716     203,479 SH       SOLE         2      203,479
AGIC CONV & INCOME FD  COM      1190107       771,737       78111 SH       DEFINED      3                               78111
AGIC CONV & INCOME FD  COM      1190107       327,295       33127 SH       DEFINED      4                               33127
AGILENT TECHNOLOGIES





                                                                                 
   INC                 EQUITY   00846U101   5,812,320     174,178 SH       SOLE         2      174,178
AGILYSYS INC           COM      00847J105      67,064      11,704 SH       SOLE         1       11,704
AGL RESOURCES INC      EQUITY   1204106     6,537,426     170,423 SH       SOLE         2      170,423
AGL RESOURCES, INC.    COM      1204106       479,505      12,295 SH       SOLE         1       12,295
AGRIUM INC             COM      8916108     3,058,848      36,108 SH       SOLE         1       36,108
AIR METHODS CORP       COM      9128307       278,681       6,640 SH       SOLE         1        6,640
AIR METHODS CORP       EQUITY   9128307       418,503      10,065 SH       SOLE         2       10,065
AIR PRODS & CHEMS INC  COM      9158106       312,267   3770.4371 SH       DEFINED      3                           3770.4371
AIR PRODUCTS +
   CHEMICALS I         EQUITY   9158106    12,565,368     151,719 SH       SOLE         2      151,719
AIR TRANSPORT
   SERVICES GRO        EQUITY   00922R105     254,672      41,818 SH       SOLE         2       41,818
AIR TRANSPORT
   SERVICES GROUP INC  COM      00922R105     980,244     131,400 SH       SOLE         1      131,400
AIRCASTLE LTD          EQUITY   G0129K104     332,348      39,192 SH       SOLE         2       39,192
AIRGAS INC             EQUITY   9363102     2,621,987      38,587 SH       SOLE         2       38,587
AIRTRAN HOLDINGS INC   EQUITY   00949P108   2,921,346     397,462 SH       SOLE         2      397,462
AK STEEL HOLDING CORP  EQUITY   1547108       515,293      37,313 SH       SOLE         2       37,313
AKAMAI TECHNOLOGIES
   INC                 EQUITY   00971T101   4,098,753      81,681 SH       SOLE         2       81,681
AKORN INC              COM      9728106     1,093,005     204,300 SH       SOLE         1      204,300
ALASKA AIR GROUP INC   EQUITY   11659109    5,364,478     105,124 SH       SOLE         2      105,124
ALASKA COMM SYSTEMS
   GROUP               EQUITY   01167P101     349,353      34,419 SH       SOLE         2       34,419
ALBANY INTERNATIONAL
   CORP. CLASS A       COM      12348108      357,077      16,562 SH       SOLE         1       16,562
ALBANY INTL CORP CL A  EQUITY   12348108      467,078      24,687 SH       SOLE         2       24,687
ALBEMARLE CORP         EQUITY   12653101    9,318,560     199,072 SH       SOLE         2      199,072
ALBERTO CULVER CO      EQUITY   13078100    7,061,822     187,565 SH       SOLE         2      187,565
ALCOA INC              COM      13817101      422,995  34929.4357 SH       DEFINED      4                          34929.4357
ALCOA INC              EQUITY   13817101    3,931,051     324,612 SH       SOLE         2      324,612
ALCOA INC              COM      13817101    165204.62       13642 SH       DEFINED      3                               13642
ALCON INC              COM      2852395     2,962,144      17,869 SH       SOLE         1       17,869
ALEXANDER & BALDWIN,
   INC.                COM      14482103    2,341,935      63,900 SH       SOLE         1       63,900
ALEXANDER + BALDWIN
   INC                 EQUITY   14482103    3,137,377      90,051 SH       SOLE         2       90,051
ALEXANDER S INC        EQUITY   14752109      501,774       1,589 SH       SOLE         2      222,724
ALEXANDRIA REAL
   ESTATE EQU          EQUITY   15271109    8,334,900     119,070 SH       SOLE         2      119,070
ALEXION
   PHARMACEUTICALS IN  EQUITY   15351109   21,360,891     331,897 SH       SOLE         2      331,897
ALEXZA
   PHARMACEUTICALS
   INC                 EQUITY   15384100      106,943      33,736 SH       SOLE         2       14,731
ALIGN TECHNOLOGY INC   COM      16255101      739,851      40,562 SH       SOLE         1       40,562
ALIGN TECHNOLOGY INC   EQUITY   16255101    1,067,619      54,526 SH       SOLE         2       54,526
ALKERMES INC           EQUITY   01642T108   1,073,479      73,275 SH       SOLE         2       73,275
ALLEGHENY ENERGY INC   EQUITY   17361106    1,421,547      57,975 SH       SOLE         2       57,975
ALLEGHENY
   TECHNOLOGIES INC    COM      01741R102     211,540   4554.1517 SH       DEFINED      4                           4554.1517
ALLEGHENY
   TECHNOLOGIES INC    EQUITY   01741R102   1,531,224      32,965 SH       SOLE         2       32,965
ALLEGIANT TRAVEL CO    COM      01748X102     453,814       9,309 SH       SOLE         1        9,309





                                                                                 
ALLEGIANT TRAVEL CO    EQUITY   01748X102     581,815      13,748 SH       SOLE         2       13,748
ALLERGAN INC           COM      18490102      238,776        3589 SH       DEFINED      4                                3589
ALLERGAN INC           EQUITY   18490102   10,622,579     159,666 SH       SOLE         2      159,666
ALLERGAN, INC.         COM      18490102    4,042,972      58,189 SH       SOLE         1       58,189
ALLETE INC             EQUITY   18522300    1,021,679      28,045 SH       SOLE         2       28,045
ALLETE INC.            COM      18522300      677,095      18,576 SH       SOLE         1       18,576
ALLIANCE DATA
   SYSTEMS CORP        EQUITY   18581108    8,250,234     126,421 SH       SOLE         2      126,421
ALLIANCE ONE
   INTERNATIONAL       EQUITY   18772103      333,465      80,353 SH       SOLE         2       80,353
ALLIANCE ONE
   INTERNATIONAL I     COM      18772103      232,029      53,463 SH       SOLE         1       53,463
ALLIANCEBERNSTEIN
   HOLDING LP          COM      01881G106     266,741       10100 SH       DEFINED      3                               10100
ALLIANCEBERNSTEIN
   INCOME FUN          COM      1.88E+104     565,114       67436 SH       DEFINED      3                               67436
ALLIANCEBERNSTEIN
   INCOME FUN          COM      1.88E+104     234,766       28015 SH       DEFINED      4                               28015
ALLIANCEBERNSTEIN
   NATL MUNI           COM      01864U106   3,475,961      235021 SH       DEFINED      3                              235021
ALLIANT ENERGY CORP    EQUITY   18802108    8,807,060     242,285 SH       SOLE         2      242,285
ALLIANT TECHSYSTEMS
   INC                 EQUITY   18804104    5,457,980      72,387 SH       SOLE         2       72,387
ALLIED NEVADA GOLD
   CORP                EQUITY   19344100    1,532,495      57,830 SH       SOLE         2       57,830
ALLIS CHALMERS
   ENERGY INC          EQUITY   19645506      115,463      27,689 SH       SOLE         2       29,559
ALLOS THERAPEUTICS
   INC                 EQUITY   19777101      286,551      60,710 SH       SOLE         2       60,710
ALLSCRIPTS
   HEALTHCARE SOLU     EQUITY   01988P108   6,595,711     357,104 SH       SOLE         2      357,104
ALLSTATE CORP          EQUITY   20002101   12,018,405     380,932 SH       SOLE         2      380,932
ALMOST FAMILY INC      EQUITY   20409108      218,669       7,380 SH       SOLE         2        7,380
ALNYLAM
   PHARMACEUTICALS IN  EQUITY   02043Q107     345,436      28,130 SH       SOLE         2       28,130
ALPHA NATURAL
   RESOURCES IN        EQUITY   02076X102   4,775,787     116,058 SH       SOLE         2      116,058
ALTERA CORP.           COM      21441100    6,433,705     190,290 SH       SOLE         1      190,290
ALTERA CORPORATION     EQUITY   21441100    4,447,756     147,472 SH       SOLE         2      147,472
ALTERRA CAPITAL
   HOLDINGS L          EQUITY   G0229R108   1,481,968      74,396 SH       SOLE         2       74,396
ALTRA HOLDINGS INC     EQUITY   02208R106     304,911      20,700 SH       SOLE         2       20,700
ALTRIA GROUP INC       COM      02209S103   1,010,890  42085.3523 SH       DEFINED      4                          42085.3523
ALTRIA GROUP INC       COM      02209S103   3,176,836     122,800 SH       SOLE         1      122,800
ALTRIA GROUP INC       EQUITY   02209S103  32,130,929   1,337,674 SH       SOLE         2    1,337,674
ALTRIA GROUP INC       COM      02209S103     943,526  39280.8686 SH       DEFINED      3                          39280.8686
AMAG PHARMACEUTICALS
   INC                 EQUITY   00163U106     279,267      16,227 SH       SOLE         2       16,227
AMAZON.COM INC         EQUITY   23135106   44,352,959     282,395 SH       SOLE         2      282,395
AMAZON.COM, INC.       COM      23135106      206,044       1,198 SH       SOLE         1        1,198
AMB PROPERTY CORP      EQUITY   00163T109   9,738,975     367,925 SH       SOLE         2      367,925
AMBAC FINL GROUP INC   COM      23139108       41,500       74775 SH       DEFINED      4                               74775
AMCOL INTERNATIONAL
   CORP                EQUITY   02341W103     567,459      21,667 SH       SOLE         2       21,667





                                                                                 
AMCOL INTERNATIONAL
   CORP.               COM      02341W103     450,417      15,049 SH       SOLE         1       15,049
AMDOCS LTD             EQUITY   G02602103     982,006      34,264 SH       SOLE         2       34,264
AMEDISYS INC           COM      23436108      477,729      17,259 SH       SOLE         1       17,259
AMEDISYS INC           EQUITY   23436108      613,683      25,785 SH       SOLE         2       25,785
AMEREN CORP            COM      23608102      283,080   9967.6192 SH       DEFINED      4                           9967.6192
AMEREN CORPORATION     EQUITY   23608102    2,316,588      81,570 SH       SOLE         2       81,570
AMERICA MOVIL SAB DE
   CV                  COM      02364W105     220,816       3,730 SH       SOLE         1        3,730
AMERICAN AXLE + MFG
   HOLDIN              EQUITY   24061103      418,041      46,346 SH       SOLE         2       46,346
AMERICAN CAMPUS
   COMMUNITIE          EQUITY   24835100    1,534,511      50,411 SH       SOLE         2       50,411
AMERICAN CAPITAL
   AGENCY CO           EQUITY   02503X105     672,248      25,301 SH       SOLE         2       25,301
AMERICAN CAPITAL LTD   EQUITY   02503Y103   1,523,998     262,306 SH       SOLE         2      262,306
AMERICAN EAGLE
   OUTFITTERS          EQUITY   2.55E+109   6,394,069     427,411 SH       SOLE         2      427,411
AMERICAN ELECTRIC
   POWER               EQUITY   25537101    5,519,858     152,356 SH       SOLE         2      152,356
AMERICAN EQUITY INVT
   LIFE                EQUITY   25676206      462,541      45,170 SH       SOLE         2       45,170
AMERICAN EXPRESS CO    COM      25816109      216,439   5149.6426 SH       DEFINED      4                           5149.6426
AMERICAN EXPRESS CO    EQUITY   25816109   32,628,856     776,323 SH       SOLE         2      776,323
AMERICAN EXPRESS CO.   COM      25816109    8,022,945     182,755 SH       SOLE         1      182,755
AMERICAN FINANCIAL
   GROUP I             EQUITY   25932104    5,296,945     173,216 SH       SOLE         2      173,216
AMERICAN GREETINGS
   CORP CL             EQUITY   26375105    2,177,428     117,129 SH       SOLE         2      117,129
AMERICAN
   INTERNATIONAL GRO   EQUITY   26874784    1,791,210      45,811 SH       SOLE         2       45,811
AMERICAN
   INTERNATIONAL
   GROUP INC           COM      26874784    5,378,317     120,509 SH       SOLE         1      120,509
AMERICAN INTL GROUP
   INC                 COM      26874784      397,373       10163 SH       DEFINED      4                               10163
AMERICAN MEDICAL SYS
   HLDGS               EQUITY   02744M108   1,332,419      68,050 SH       SOLE         2       68,050
AMERICAN MEDICAL
   SYSTEMS HOLDI       COM      02744M108     877,706      45,477 SH       SOLE         1       45,477
AMERICAN OIL + GAS
   INC                 EQUITY   28723104      314,280      38,800 SH       SOLE         2       38,800
AMERICAN PHYSICIANS
   CAP IN              EQUITY   28884104      293,703       7,084 SH       SOLE         2        7,084
AMERICAN PUBLIC
   EDUCATION           EQUITY   02913V103     544,950      16,584 SH       SOLE         2       16,584
AMERICAN PUBLIC
   EDUCATION INC       COM      02913V103     299,313      11,057 SH       SOLE         1       11,057
AMERICAN
   REPROGRAPHICS CO    EQUITY   29263100      223,034      28,412 SH       SOLE         2       28,412
AMERICAN SCIENCE &
   ENGINEERI           COM      29429107      442,886       5,405 SH       SOLE         1        5,405
AMERICAN SCIENCE +
   ENGINEE             EQUITY   29429107      597,743       8,116 SH       SOLE         2        8,116





                                                                                 
AMERICAN SOFTWARE
   INC CL A            EQUITY   29683109      100,542      17,041 SH       SOLE         2       17,409
AMERICAN STATES
   WATER CO            EQUITY   29899101      598,635      16,731 SH       SOLE         2       16,731
AMERICAN STATES
   WATER CO.           COM      29899101      414,815      11,127 SH       SOLE         1       11,127
AMERICAN
   SUPERCONDUCTOR CO   EQUITY   30111108    1,077,304      34,640 SH       SOLE         2       34,640
AMERICAN
   SUPERCONDUCTOR
   CORP                COM      30111108      265,190        8527 SH       DEFINED      3                                8527
AMERICAN TOWER CORP    COM      29912201    3,163,462      60,406 SH       SOLE         1       60,406
AMERICAN TOWER CORP
   CL A                EQUITY   29912201   11,558,874     225,495 SH       SOLE         2      225,495
AMERICAN VANGUARD
   CORP                COM      30371108       91,739      12,777 SH       SOLE         1       12,777
AMERICAN VANGUARD
   CORP                EQUITY   30371108      114,200      18,479 SH       SOLE         2       14,760
AMERICREDIT CORP       EQUITY   03060R101   5,233,829     213,975 SH       SOLE         2      213,975
AMERIGAS PARTNERS L P  COM      30975106      280,063        6250 SH       DEFINED      4                                6250
AMERIGON INC           EQUITY   03070L300     171,886      16,688 SH       SOLE         2       38,547
AMERIGROUP CORP        COM      03073T102   1,355,271      30,531 SH       SOLE         1       30,531
AMERIGROUP CORP        EQUITY   03073T102   1,976,172      46,531 SH       SOLE         2       46,531
AMERIPRISE FINANCIAL
   INC                 COM      03076C106   1,992,598      36,595 SH       SOLE         1       36,595
AMERIPRISE FINANCIAL
   INC                 EQUITY   03076C106   5,573,770     117,764 SH       SOLE         2      117,764
AMERIS BANCORP         EQUITY   03076K108     170,619      18,248 SH       SOLE         2       22,299
AMERISAFE INC          COM      03071H100     199,804      11,156 SH       SOLE         1       11,156
AMERISAFE INC          EQUITY   03071H100     318,190      16,943 SH       SOLE         2       16,943
AMERISOURCEBERGEN CO   COM      3.07E+108   2,070,668      65,840 SH       SOLE         1       65,840
AMERISOURCEBERGEN
   CORP                EQUITY   3.07E+108   5,580,365     182,008 SH       SOLE         2      182,008
AMERISTAR CASINOS INC  EQUITY   03070Q101     356,434      20,426 SH       SOLE         2       20,426
AMERON INTERNATIONAL
   CORP                EQUITY   30710107      484,011       7,122 SH       SOLE         2        7,122
AMETEK INC             EQUITY   31100100   27,248,629     570,413 SH       SOLE         2      570,413
AMGEN INC              COM      31162100      278,250        5049 SH       DEFINED      4                                5049
AMGEN INC              EQUITY   31162100   30,910,483     560,887 SH       SOLE         2      560,887
AMGEN, INC.            COM      31162100    7,445,960     134,671 SH       SOLE         1      134,671
AMKOR TECHNOLOGY INC   EQUITY   31652100      532,334      81,025 SH       SOLE         2       81,025
AMN HEALTHCARE
   SERVICE             COM      1744101       112,974      23,390 SH       SOLE         1       23,390
AMPHENOL CORP CL A     EQUITY   32095101    2,842,065      58,025 SH       SOLE         2       58,025
AMPHENOL CORP. CLASS
   A                   COM      32095101      354,083       6,747 SH       SOLE         1        6,747
AMR CORP.              COM      1765106       202,163      23,078 SH       SOLE         1       23,078
AMSURG CORP            EQUITY   03232P405     487,220      27,873 SH       SOLE         2       27,873
AMSURG CORP CL A       COM      03232P405     346,172      18,502 SH       SOLE         1       18,502
AMTRUST FINANCIAL
   SERVICES            EQUITY   32359309      250,252      17,235 SH       SOLE         2       17,235
ANADARKO PETROLEUM
   CORP                EQUITY   32511107    8,939,222     156,691 SH       SOLE         2      156,691
ANADARKO PETROLEUM





                                                                                 
   CORP.               COM      32511107    8,779,076     135,668 SH       SOLE         1      135,668
ANADIGICS INC          EQUITY   32515108      306,753      50,370 SH       SOLE         2       50,370
ANALOG DEVICES INC     EQUITY   32654105    5,607,135     178,685 SH       SOLE         2      178,685
ANALOG DEVICES, INC.   COM      32654105    3,733,410     105,404 SH       SOLE         1      105,404
ANALOGIC CORP          EQUITY   32657207      521,685      11,624 SH       SOLE         2       11,624
ANALOGIC CORP.         COM      32657207      360,751       7,710 SH       SOLE         1        7,710
ANCESTRY.COM INC       EQUITY   32803108      332,342      14,602 SH       SOLE         2       14,602
ANDERSONS INC/THE      COM      34164103      408,801      11,010 SH       SOLE         1       11,010
ANDERSONS INC/THE      EQUITY   34164103      628,761      16,590 SH       SOLE         2       16,590
ANGIODYNAMICS INC      EQUITY   03475V101     291,038      19,097 SH       SOLE         2       19,097
ANIXTER
   INTERNATIONAL INC   EQUITY   35290105    1,366,865      25,317 SH       SOLE         2       25,317
ANIXTER
   INTERNATIONALL,
   INC.                COM      35290105      980,463      16,783 SH       SOLE         1       16,783
ANNALY CAP MGMT INC    COM      35710409      748,498  42528.3191 SH       DEFINED      4                          42528.3191
ANNALY CAPITAL
   MANAGEMENT          EQUITY   35710409      253,933      14,428 SH       SOLE         2       14,428
ANNALY MTG MGMT INC    COM      35710409      264,455      14,857 SH       SOLE         1       14,857
ANNTAYLOR STORES CORP  EQUITY   36115103    3,503,686     173,107 SH       SOLE         2      173,107
ANSYS INC              EQUITY   03662Q105   8,376,274     198,255 SH       SOLE         2      198,255
ANWORTH MORTGAGE
   ASSET COR           EQUITY   37347101      654,192      91,752 SH       SOLE         2       91,752
AOL INC                EQUITY   00184X105   5,779,224     233,504 SH       SOLE         2      233,504
AON CORP               EQUITY   37389103    3,599,841      92,044 SH       SOLE         2       92,044
AOXING
   PHARMACEUTICAL CO
   I                   EQUITY   03740A106      57,100      18,660 SH       SOLE         2       10,424
APAC CUSTOMER
   SERVICES INC        EQUITY   1.85E+108     139,061      24,569 SH       SOLE         2       13,319
APACHE CORP            COM      37411105      220,482    2255.336 SH       DEFINED      4                            2255.336
APACHE CORP            EQUITY   37411105   21,223,109     217,094 SH       SOLE         2      217,094
APACHE CORP.           COM      37411105   13,661,044     124,747 SH       SOLE         1      124,747
APARTMENT INVT &
   MGMT CO - A         COM      03748R101   4,457,893     175,094 SH       SOLE         1      175,094
APARTMENT INVT +
   MGMT CO             EQUITY   03748R101     844,061      39,479 SH       SOLE         2       39,479
APCO OIL AND GAS
   INTL INC            EQUITY   G0471F109     243,931       7,048 SH       SOLE         2        7,048
APOGEE ENTERPRISES
   INC                 EQUITY   37598109      231,559      25,307 SH       SOLE         2       25,307
APOGEE ENTERPRISES,
   INC.                COM      37598109      197,271      16,789 SH       SOLE         1       16,789
APOLLO GROUP INC CL A  EQUITY   37604105    3,190,786      62,138 SH       SOLE         2       62,138
APOLLO GROUP, INC.
   CLASS A             COM      37604105    1,454,938      39,574 SH       SOLE         1       39,574
APOLLO INVESTMENT
   CORP                EQUITY   03761U106   5,836,338     570,512 SH       SOLE         2      570,512
APOLLO INVT CORP       COM      03761U106   1,106,886      108200 SH       DEFINED      4                              108200
APPLE COMPUTER, INC.   COM      37833100   45,377,860     142,420 SH       SOLE         1      142,420
APPLE INC              COM      37833100    3,700,384       13041 SH       DEFINED      4                               13041
APPLE INC              EQUITY   37833100  176,648,846     622,551 SH       SOLE         2      622,551
APPLIED INDUSTRIAL
   TECH IN             EQUITY   03820C105   1,149,795      37,575 SH       SOLE         2       37,575





                                                                                 
APPLIED INDUSTRIAL
   TECH., INC.         COM      03820C105     708,535      22,572 SH       SOLE         1       22,572
APPLIED MATERIALS INC  EQUITY   38222105    8,425,391     721,352 SH       SOLE         2      721,352
APPLIED MATERIALS,
   INC.                COM      38222105    2,050,560     160,200 SH       SOLE         1      160,200
APPLIED MATLS INC      COM      38222105      200,744       17187 SH       DEFINED      4                               17187
APPLIED MICRO
   CIRCUITS COR        EQUITY   03822W406     505,560      50,556 SH       SOLE         2       50,556
APPLIED MICRO
   CIRCUITS CORP       COM      03822W406     708,305      64,100 SH       SOLE         1       64,100
APPLIED SIGNAL
   TECHNOLOGY          COM      38237103      264,768       8,016 SH       SOLE         1        8,016
APPLIED SIGNAL
   TECHNOLOGY          EQUITY   38237103      298,709      12,006 SH       SOLE         2       12,006
APTARGROUP INC         EQUITY   38336103    6,740,527     147,592 SH       SOLE         2      147,592
AQUA AMERICA INC       EQUITY   03836W103   6,124,264     300,209 SH       SOLE         2      300,209
ARBITRON INC           EQUITY   03875Q108     672,035      24,027 SH       SOLE         2       24,027
ARBITRON, INC.         COM      03875Q108     433,223      16,087 SH       SOLE         1       16,087
ARCH CHEMICALS INC     EQUITY   03937R102     726,433      20,702 SH       SOLE         2       20,702
ARCH CHEMICALS, INC.   COM      03937R102     541,603      15,032 SH       SOLE         1       15,032
ARCH COAL INC          COM      39380100      323,244       12102 SH       DEFINED      4                               12102
ARCH COAL INC          EQUITY   39380100    9,473,476     354,679 SH       SOLE         2      354,679
ARCHER DANIELS
   MIDLAND CO          COM      39483201    1,039,844  25153.4607 SH       DEFINED      4                          25153.4607
ARCHER DANIELS
   MIDLAND CO          EQUITY   39483102    6,485,474     203,179 SH       SOLE         2      203,179
ARCSIGHT INC           EQUITY   39666102      826,290      18,969 SH       SOLE         2       18,969
ARDEA BIOSCIENCES INC  COM      03969P107     644,540      26,800 SH       SOLE         1       26,800
ARDEA BIOSCIENCES INC  EQUITY   03969P107     236,279      10,273 SH       SOLE         2       10,273
ARENA
   PHARMACEUTICALS
   INC                 COM      40047102      268,125      170780 SH       DEFINED      4                              170780
ARES CAP CORP          COM      04010L103     213,194  13622.6338 SH       DEFINED      4                          13622.6338
ARGO GROUP
   INTERNATIONAL       EQUITY   G0464B107     833,100      23,981 SH       SOLE         2       23,981
ARIAD
   PHARMACEUTICALS
   INC                 EQUITY   04033A100     326,541      85,482 SH       SOLE         2       85,482
ARIBA INC              EQUITY   04033V203   4,953,274     262,078 SH       SOLE         2      262,078
ARKANSAS BEST CORP     EQUITY   40790107      552,832      22,816 SH       SOLE         2       22,816
ARKANSAS BEST CORP.    COM      40790107      378,851      15,148 SH       SOLE         1       15,148
ARM HLDGS PLC          COM      42068106      289,167       15414 SH       DEFINED      4                               15414
ARQULE, INC.           COM      4.27E+110     121,279      22,294 SH       SOLE         1       22,294
ARRIS GROUP INC        COM      04269Q100     757,958      74,897 SH       SOLE         1       74,897
ARRIS GROUP INC        EQUITY   04269Q100   1,115,089     114,134 SH       SOLE         2      114,134
ARROW ELECTRONICS INC  EQUITY   42735100    6,887,198     257,658 SH       SOLE         2      257,658
ART TECHNOLOGY GROUP
   INC                 EQUITY   04289L107     500,824     121,265 SH       SOLE         2      121,265
ARTHROCARE CORP        EQUITY   43136100      565,860      20,819 SH       SOLE         2       20,819
ARTHUR J GALLAGHER +
   CO                  EQUITY   363576109   6,061,276     229,855 SH       SOLE         2      229,855
ARTIO GLOBAL
   INVESTORS INC       EQUITY   04315B107     328,047      21,441 SH       SOLE         2       21,441
ARUBA NETWORKS INC     COM      43176106      505,971       23710 SH       DEFINED      4                               23710





                                                                                 
ARUBA NETWORKS INC     EQUITY   43176106    1,207,161      56,568 SH       SOLE         2       56,568
ARVINMERITOR INC       COM      43353101    1,114,434      61,300 SH       SOLE         1       61,300
ARVINMERITOR INC       EQUITY   43353101    1,129,059      72,655 SH       SOLE         2       72,655
ASBURY AUTOMOTIVE
   GROUP               EQUITY   43436104      315,449      22,420 SH       SOLE         2       22,420
ASCENT MEDIA CORP A    EQUITY   43632108      294,878      11,040 SH       SOLE         2       11,040
ASHFORD HOSPITALITY
   TRUST               EQUITY   44103109      283,654      31,343 SH       SOLE         2       31,343
ASHLAND INC            COM      44209104    2,242,156      40,182 SH       SOLE         1       40,182
ASHLAND INC            EQUITY   44209104    9,616,956     197,190 SH       SOLE         2      197,190
ASML HOLDING N V       EQUITY   N07059186   5,431,671     182,700 SH       SOLE         2      182,700
ASPEN TECHNOLOGY INC   EQUITY   45327103      498,258      48,048 SH       SOLE         2       48,048
ASPENBIO PHARMA INC    EQUITY   45346103       14,065      27,579 SH       SOLE         2       24,545
ASSET ACCEPTANCE
   CAPITAL             EQUITY   04543P100      62,319      11,605 SH       SOLE         2       27,423
ASSISTED LIVING
   CONCEPTS I          EQUITY   04544X300     231,040       7,590 SH       SOLE         2        7,590
ASSOCIATED BANC CORP   EQUITY   45487105    4,990,648     378,366 SH       SOLE         2      378,366
ASSOCIATED ESTATES
   REALTY              EQUITY   45604105      340,665      24,368 SH       SOLE         2       24,368
ASSURANT INC           COM      04621X108   3,365,448      81,646 SH       SOLE         1       81,646
ASSURANT INC           EQUITY   04621X108   3,833,370      94,186 SH       SOLE         2       94,186
ASTEC INDS INC COM     COM      46224101      382,105      11,911 SH       SOLE         1       11,911
ASTEC INDUSTRIES INC   EQUITY   46224101      510,573      17,896 SH       SOLE         2       17,896
ASTORIA FINANCIAL
   CORP                EQUITY   46265104    3,333,707     244,586 SH       SOLE         2      244,586
AT&T INC               COM      00206R102   4,328,410 151343.0058 SH       DEFINED      4                         151343.0058
AT&T INC               COM      00206R102  23,282,022     797,876 SH       SOLE         1      797,876
AT+T INC               EQUITY   00206R102  79,345,237   2,774,309 SH       SOLE         2    2,774,309
ATC TECHNOLOGY CORP    EQUITY   00211W104     448,215      18,117 SH       SOLE         2       18,117
ATHENAHEALTH INC       EQUITY   04685W103     844,057      25,562 SH       SOLE         2       25,562
ATLANTIC TELE
   NETWORK INC         EQUITY   49079205      354,528       7,200 SH       SOLE         2        7,200
ATLANTIC
   TELE-NETWORK INC    COM      49079205      208,852       5,396 SH       SOLE         1        5,396
ATLAS AIR WORLDWIDE
   HOLDIN              EQUITY   49164205    6,244,544     124,146 SH       SOLE         2      124,146
ATLAS ENERGY INC       EQUITY   49298102    3,433,163     119,873 SH       SOLE         2      119,873
ATMEL CORP             COM      49513104      116,695      11,159 SH       SOLE         1       11,159
ATMEL CORP             EQUITY   49513104    8,015,370   1,006,956 SH       SOLE         2    1,006,956
ATMI INC               EQUITY   00207R101     422,054      28,402 SH       SOLE         2       28,402
ATMI, INC.             COM      00207R101     357,548      18,858 SH       SOLE         1       18,858
ATMOS ENERGY CORP      EQUITY   49560105    5,770,557     197,284 SH       SOLE         2      197,284
ATP OIL + GAS
   CORPORATION         EQUITY   00208J108     468,905      34,352 SH       SOLE         2       34,352
ATWOOD OCEANICS INC    EQUITY   50095108    3,730,795     122,522 SH       SOLE         2      122,522
AUDIOVOX COPR.         COM      50757103       73,070      11,207 SH       SOLE         1       11,207
AURIZON MINES LTD      COM      05155P106   1,786,824     223,933 SH       SOLE         1      223,933
AUTODESK INC           EQUITY   52769106    3,554,201     111,173 SH       SOLE         2      111,173
AUTODESK, INC.         COM      52769106      451,619      12,754 SH       SOLE         1       12,754
AUTOLIV, INC.          COM      52800109    1,275,267      16,853 SH       SOLE         1       16,853
AUTOMATIC DATA
   PROCESSING          EQUITY   53015103   13,389,959     318,581 SH       SOLE         2      318,581
AUTOMATIC DATA





                                                                                 
   PROCESSING INC.     COM      53015103    3,340,954      73,476 SH       SOLE         1       73,476
AUTONATION INC         EQUITY   05329W102     532,169      22,889 SH       SOLE         2       22,889
AUTOZONE INC           EQUITY   53332102    2,658,790      11,615 SH       SOLE         2       11,615
AUXILIUM
   PHARMACEUTICALS I   EQUITY   05334D107     798,089      32,207 SH       SOLE         2       32,207
AUXILIUM
   PHARMACEUTICALS
   INC                 COM      05334D107     233,033      11,081 SH       SOLE         1       11,081
AVAGO TECHNOLOGIES
   LTD                 EQUITY   Y0486S104  13,819,834     613,942 SH       SOLE         2      613,942
AVALONBAY
   COMMUNITIES INC     EQUITY   53484101    3,741,792      36,003 SH       SOLE         2       36,003
AVERY DENNISON CORP    EQUITY   53611109    1,394,413      37,565 SH       SOLE         2       37,565
AVERY DENNISON CORP.   COM      53611109    1,596,015      42,640 SH       SOLE         1       42,640
AVID TECHNOLOGY INC    EQUITY   05367P100     343,377      26,192 SH       SOLE         2       26,192
AVID TECHNOLOGY, INC.  COM      05367P100     231,156      17,328 SH       SOLE         1       17,328
AVIS BUDGET GROUP      COM      53774105      162,389       13939 SH       DEFINED      4                               13939
AVIS BUDGET GROUP INC  EQUITY   53774105      923,740      79,291 SH       SOLE         2       79,291
AVISTA CORP            COM      05379B107     725,459      33,126 SH       SOLE         1       33,126
AVISTA CORP            EQUITY   05379B107   1,036,045      49,619 SH       SOLE         2       49,619
AVNET INC              EQUITY   53807103    8,971,480     332,154 SH       SOLE         2      332,154
AVON PRODUCTS INC      EQUITY   54303102    6,321,592     196,873 SH       SOLE         2      196,873
AZZ INC                COM      2474104       297,995       7,435 SH       SOLE         1        7,435
AZZ INC                EQUITY   2474104       479,894      11,202 SH       SOLE         2       11,202
B+G FOODS INC CLASS A  EQUITY   05508R106   4,910,254     449,657 SH       SOLE         2      449,657
BADGER METER INC       COM      56525108      383,835       8,987 SH       SOLE         1        8,987
BADGER METER INC       EQUITY   56525108      546,804      13,508 SH       SOLE         2       13,508
BAIDU INC   SPON ADR   EQUITY   56752108    3,103,639      30,244 SH       SOLE         2       30,244
BAKER HUGHES INC       EQUITY   57224107    5,812,600     136,446 SH       SOLE         2      136,446
BALCHEM CORP           COM      57665200      520,442      16,947 SH       SOLE         1       16,947
BALCHEM CORP           EQUITY   57665200      785,048      25,439 SH       SOLE         2       25,439
BALDOR ELECTRIC        EQUITY   57741100    5,565,504     137,760 SH       SOLE         2      137,760
BALDOR ELECTRIC CO.    COM      57741100      947,806      21,400 SH       SOLE         1       21,400
BALL CORP              EQUITY   58498106    1,828,999      31,079 SH       SOLE         2       31,079
BALL CORP.             COM      58498106    1,286,812      19,631 SH       SOLE         1       19,631
BALLANTYNE STRONG INC  EQUITY   58516105       94,761      10,955 SH       SOLE         2       10,453
BALLY TECHNOLOGIES
   INC                 EQUITY   05874B107   4,111,937     117,652 SH       SOLE         2      117,652
BALTIC TRADING LTD     EQUITY   Y0553W103   2,475,279     224,821 SH       SOLE         2      224,821
BANCFIRST CORP         EQUITY   05945F103     219,131       5,416 SH       SOLE         2        5,416
BANCO SANTANDER
   CHILE NEW           COM      05965X109     207,486        2149 SH       DEFINED      4                                2149
BANCORP INC/THE        EQUITY   05969A105     116,466      17,409 SH       SOLE         2       25,770
BANCORPSOUTH INC       EQUITY   59692103    2,282,002     160,931 SH       SOLE         2      160,931
BANK MUTUAL CORP       COM      63750103      134,946      27,484 SH       SOLE         1       27,484
BANK MUTUAL CORP       EQUITY   63750103      212,889      41,019 SH       SOLE         2       41,019
BANK OF AMERICA CORP   COM      60505104   10,901,608     865,207 SH       SOLE         1      865,207
BANK OF AMERICA CORP   EQUITY   60505104   70,302,795   5,362,532 SH       SOLE         2    5,362,532
BANK OF AMERICA
   CORPORATION         COM      60505104    1,027,588  78426.8556 SH       DEFINED      4                          78426.8556
BANK OF HAWAII CORP    COM      62540109    1,167,054      25,900 SH       SOLE         1       25,900
BANK OF HAWAII CORP    EQUITY   62540109    4,735,691     105,425 SH       SOLE         2      105,425
BANK OF MONTREAL       COM      63671101    3,145,156      51,980 SH       SOLE         1       51,980
BANK OF NEW YORK





                                                                                 
   MELLON CO           EQUITY   64058100   13,002,915     497,624 SH       SOLE         2      497,624
BANK OF NOVA SCOTIA    COM      64149107   10,806,810     198,944 SH       SOLE         1      198,944
BANK OF THE OZARKS     EQUITY   63904106      436,957      11,781 SH       SOLE         2       11,781
BANK OF THE OZARKS
   INC                 COM      63904106      305,723       7,813 SH       SOLE         1        7,813
BARCLAYS BK PLC        COM      06740C527     925,794       53545 SH       DEFINED      4                               53545
BARCLAYS BK PLC        COM      06739F135     280,635        6206 SH       DEFINED      4                                6206
BARNES & NOBLE INC     COM      67774109      580,461      39,300 SH       SOLE         1       39,300
BARNES + NOBLE INC     EQUITY   67774109   10,066,605     621,012 SH       SOLE         2      621,012
BARNES GROUP INC       EQUITY   67806109      769,826      43,765 SH       SOLE         2       43,765
BARNES GROUP, INC.     COM      67806109      520,115      27,274 SH       SOLE         1       27,274
BARRICK GOLD CORP      COM      67901108      341,652   7380.6785 SH       DEFINED      3                           7380.6785
BARRICK GOLD
   CORPORATION         COM      67901108    6,406,276     125,213 SH       SOLE         1      125,213
BASIC ENERGY
   SERVICES INC        COM      06985P100     170,788      13,829 SH       SOLE         1       13,829
BAXTER INTERNATIONAL
   INC                 EQUITY   71813109    8,842,524     185,339 SH       SOLE         2      185,339
BB+T CORP              EQUITY   54937107    7,988,781     331,760 SH       SOLE         2      331,760
BCE INC                COM      05534B760   5,894,074     177,574 SH       SOLE         1      177,574
BE AEROSPACE INC       EQUITY   73302101   11,576,723     381,944 SH       SOLE         2      381,944
BEACON POWER CORP      COM      73677106        8,990       31000 SH       DEFINED      4                               31000
BEACON ROOFING
   SUPPLY INC          EQUITY   73685109    6,025,846     413,579 SH       SOLE         2      413,579
BEAZER HOMES USA INC   EQUITY   07556Q105     238,235      57,684 SH       SOLE         2       57,684
BECKMAN COULTER INC    EQUITY   75811109    7,388,709     151,439 SH       SOLE         2      151,439
BECTON DICKINSON AND
   CO                  EQUITY   75887109    5,456,724      73,640 SH       SOLE         2       73,640
BED BATH & BEYOND INC  COM      75896100      310,251        7147 SH       DEFINED      4                                7147
BED BATH & BEYOND,
   INC.                COM      75896100      764,455      17,003 SH       SOLE         1       17,003
BED BATH + BEYOND INC  EQUITY   75896100    4,700,825     108,289 SH       SOLE         2      108,289
BELDEN INC             COM      77454106      849,044      28,012 SH       SOLE         1       28,012
BELDEN INC             EQUITY   77454106    1,112,392      42,168 SH       SOLE         2       42,168
BELO CORPORATION A     EQUITY   80555105      436,722      70,439 SH       SOLE         2       70,439
BEMIS COMPANY          EQUITY   81437105    1,185,990      37,354 SH       SOLE         2       37,354
BENCHMARK
   ELECTRONICS INC     EQUITY   08160H101     930,388      56,731 SH       SOLE         2       56,731
BENCHMARK
   ELECTRONICS, INC.   COM      08160H101     655,796      37,240 SH       SOLE         1       37,240
BENEFICIAL MUTUAL
   BANCORP             EQUITY   08173R104     240,432      26,804 SH       SOLE         2       26,804
BERKSHIRE HATHAWAY
   INC                 COM      84670702   15,918,959     193,379 SH       SOLE         1      193,379
BERKSHIRE HATHAWAY
   INC CL              EQUITY   84670702   46,348,672     560,579 SH       SOLE         2      560,579
BERKSHIRE HATHAWAY
   INC DEL             COM      84670702    1,954,638       23641 SH       DEFINED      4                               23641
BERKSHIRE HILLS
   BANCORP IN          EQUITY   84680107      205,470      10,837 SH       SOLE         2       10,837
BERRY PETROLEUM CO
   CLASS A             EQUITY   85789105    1,252,986      39,489 SH       SOLE         2       39,489
BEST BUY CO INC        EQUITY   86516101    6,144,098     150,480 SH       SOLE         2      150,480
BEST BUY CO., INC.     COM      86516101    1,118,015      24,939 SH       SOLE         1       24,939





                                                                                 
BEST BUY INC           COM      86516101      237,263   5811.0021 SH       DEFINED      4                           5811.0021
BGC PARTNERS INC CL A  EQUITY   05541T101     262,925      44,041 SH       SOLE         2       44,041
BIG 5 SPORTING GOODS
   CORP                COM      08915P101     183,525      13,053 SH       SOLE         1       13,053
BIG 5 SPORTING GOODS
   CORP                EQUITY   08915P101     263,569      19,640 SH       SOLE         2       19,640
BIG LOTS INC           EQUITY   89302103      847,509      25,489 SH       SOLE         2       25,489
BIG LOTS INC.          COM      89302103      279,288       9,251 SH       SOLE         1        9,251
BIGBAND NETWORKS INC   EQUITY   89750509      109,473      38,547 SH       SOLE         2       10,491
BIGLARI HOLDINGS INC   COM      08986R101     308,177         857 SH       SOLE         1          857
BIGLARI HOLDINGS INC   EQUITY   08986R101     424,944       1,293 SH       SOLE         2        1,293
BILL BARRETT CORP      EQUITY   06846N104   4,859,064     134,974 SH       SOLE         2      134,974
BIO RAD LABORATORIES
   CL A                EQUITY   90572207    3,833,189      42,351 SH       SOLE         2       42,351
BIO REFERENCE LABS
   INC                 EQUITY   09057G602     452,182      21,677 SH       SOLE         2       21,677
BIOCRYST
   PHARMACEUTICALS I   EQUITY   09058V103     110,157      22,299 SH       SOLE         2      142,834
BIODEL INC             EQUITY   09064M105      68,550      12,934 SH       SOLE         2       15,246
BIOGEN IDEC INC        COM      09062X103   1,350,922      21,433 SH       SOLE         1       21,433
BIOGEN IDEC INC        EQUITY   09062X103   6,535,567     116,457 SH       SOLE         2      116,457
BIOMED REALTY TRUST
   INC                 COM      09063H107   1,460,340      76,941 SH       SOLE         1       76,941
BIOMED REALTY TRUST
   INC                 EQUITY   09063H107   1,869,343     104,316 SH       SOLE         2      104,316
BIO-REFERENCE LABS
   INC                 COM      09057G602     319,728      14,653 SH       SOLE         1       14,653
BJ S RESTAURANTS INC   EQUITY   09180C106     570,634      20,264 SH       SOLE         2       20,264
BJ S WHOLESALE CLUB
   INC                 EQUITY   05548J106   4,951,905     119,323 SH       SOLE         2      119,323
BJ'S RESTAURANTS INC   COM      09180C106   1,518,351      42,153 SH       SOLE         1       42,153
BLACK BOX CORP         EQUITY   91826107      507,478      15,829 SH       SOLE         2       15,829
BLACK BOX CORP.        COM      91826107      376,449      10,533 SH       SOLE         1       10,533
BLACK HILLS CORP       EQUITY   92113109    3,589,747     115,056 SH       SOLE         2      115,056
BLACKBAUD INC          COM      09227Q100     702,273      26,214 SH       SOLE         1       26,214
BLACKBAUD INC          EQUITY   09227Q100     968,307      40,279 SH       SOLE         2       40,279
BLACKBOARD INC         EQUITY   91935502      950,231      26,366 SH       SOLE         2       26,366
BLACKROCK CALIF MUN
   INCOME T            COM      9.25E+105     546,651       36762 SH       DEFINED      4                               36762
BLACKROCK CORPOR HI
   YLD III             COM      09255M104     260,281       36867 SH       DEFINED      4                               36867
BLACKROCK CORPOR
   HIGH YLD FD         COM      09255L106      86,088       12125 SH       DEFINED      4                               12125
BLACKROCK ENHANCED
   DIV ACHV            COM      09251A104     704,879  84619.3136 SH       DEFINED      4                          84619.3136
BLACKROCK GLOBAL OPP
   EQTY TR             COM      92501105      330,685       17933 SH       DEFINED      4                               17933
BLACKROCK HIGH
   INCOME SHS          COM      9.25E+110      27,560       13000 SH       DEFINED      3                               13000
BLACKROCK INCOME OPP
   TRUST I             COM      92475102      156,400       15024 SH       DEFINED      4                               15024
BLACKROCK INCOME TR
   INC                 COM      09247F100     139,460       19980 SH       DEFINED      4                               19980
BLACKROCK INTL GRWTH





                                                                                 
   & INC T             COM      92524107      245,307  23340.3482 SH       DEFINED      4                          23340.3482
BLACKROCK KELSO
   CAPITAL CO          EQUITY   92533108      580,566      50,484 SH       SOLE         2       50,484
BLACKROCK KELSO
   CAPITAL CORP        COM      92533108      143,750       12500 SH       DEFINED      4                               12500
BLACKROCK MUNI INTER
   DR FD I             COM      09253X102     802,559       52182 SH       DEFINED      4                               52182
BLACKROCK SR HIGH
   INCOME FD           COM      09255T109      53,313  13361.7775 SH       DEFINED      3                          13361.7775
BLACKROCK SR HIGH
   INCOME FD           COM      09255T109     358,146       89761 SH       DEFINED      4                               89761
BLDRS INDEX FDS TR     COM      09348R300     356,075        7904 SH       DEFINED      4                                7904
BLOCK FINANCIAL CORP   COM      93671105      408,550      33,081 SH       SOLE         1       33,081
BLOUNT INTERNATIONAL
   INC                 EQUITY   95180105      470,297      36,944 SH       SOLE         2       36,944
BLUE COAT SYSTEMS INC  COM      09534T508     713,036      25,566 SH       SOLE         1       25,566
BLUE COAT SYSTEMS INC  EQUITY   09534T508     906,244      37,666 SH       SOLE         2       37,666
BLUE NILE INC          COM      09578R103     413,663       8,568 SH       SOLE         1        8,568
BLUE NILE INC          EQUITY   09578R103     516,040      11,599 SH       SOLE         2       11,599
BLYTH INC              EQUITY   09643P207     211,850       5,137 SH       SOLE         2        5,137
BMC SOFTWARE INC       EQUITY   55921100    2,893,996      71,492 SH       SOLE         2       71,492
BMP SUNSTONE CORP      EQUITY   05569C105     162,526      21,385 SH       SOLE         2       10,009
BOB EVANS FARMS        EQUITY   96761101    2,507,746      89,339 SH       SOLE         2       89,339
BOEING CO              COM      97023105      609,953   9166.7054 SH       DEFINED      4                           9166.7054
BOEING CO              EQUITY   97023105   33,904,792     509,540 SH       SOLE         2      509,540
BOEING CO.             COM      97023105    2,976,342      42,392 SH       SOLE         1       42,392
BOISE INC              EQUITY   09746Y105     351,349      54,137 SH       SOLE         2       54,137
BORDERS GROUP INC      EQUITY   99709107       45,726      38,425 SH       SOLE         2       19,585
BORGWARNER INC         EQUITY   99724106   13,090,856     248,781 SH       SOLE         2      248,781
BOSTON BEER COMPANY
   INC CL              EQUITY   100557107     527,270       7,885 SH       SOLE         2       10,762
BOSTON BEER, INC.
   CLASS A             COM      100557107     465,917       5,604 SH       SOLE         1        5,604
BOSTON PRIVATE
   FINANCIAL HOLDI     COM      101119105     251,138      45,496 SH       SOLE         1       45,496
BOSTON PRIVATE FINL
   HOLDIN              EQUITY   101119105     442,300      67,630 SH       SOLE         2       67,630
BOSTON PROPERTIES INC  EQUITY   101121101   5,006,234      60,229 SH       SOLE         2       60,229
BOSTON SCIENTIFIC
   CORP                EQUITY   101137107   4,361,415     711,487 SH       SOLE         2      711,487
BOTTOMLINE
   TECHNOLOGIES IN     EQUITY   101388106     373,632      24,325 SH       SOLE         2       24,325
BOULDER GROWTH &
   INCOME FUND INC     COM      101507101      79,891      12,348 SH       SOLE         1       12,348
BOWNE & CO., INC.      COM      103043105     272,366      23,997 SH       SOLE         1       23,997
BOWNE + CO INC         EQUITY   103043105     409,761      36,166 SH       SOLE         2       36,166
BOYD GAMING CORP       EQUITY   103304101   1,181,395     162,951 SH       SOLE         2      162,951
BP PLC                 COM      55622104    1,240,658       30135 SH       DEFINED      4                               30135
BP PRUDHOE BAY RTY TR  COM      55630107      377,228        3650 SH       DEFINED      4                                3650
BPZ RESOURCES INC      EQUITY   55639108      288,005      75,197 SH       SOLE         2       75,197
BRADY CORP.            COM      104674106   1,020,202      31,478 SH       SOLE         1       31,478
BRADY CORPORATION
   CL A                EQUITY   104674106   1,298,823      44,526 SH       SOLE         2       44,526
BRE PROPERTIES INC     EQUITY   5.56E+109   5,809,793     139,995 SH       SOLE         2      139,995





                                                                                 
BRIDGEPOINT
   EDUCATION INC       EQUITY   10807M105     232,688      15,051 SH       SOLE         2       15,051
BRIGGS & STRATTON
   CORP.               COM      109043109     557,521      30,120 SH       SOLE         1       30,120
BRIGGS + STRATTON      EQUITY   109043109     858,834      45,178 SH       SOLE         2       45,178
BRIGHAM EXPLORATION
   CO                  EQUITY   109178103   8,596,744     458,493 SH       SOLE         2      458,493
BRIGHTPOINT INC        COM      109473405     384,054      41,836 SH       SOLE         1       41,836
BRIGHTPOINT INC        EQUITY   109473405     443,432      63,438 SH       SOLE         2       63,438
BRINK S CO/THE         EQUITY   109696104   3,185,339     138,493 SH       SOLE         2      138,493
BRINKER
   INTERNATIONAL INC   EQUITY   109641100   4,180,451     221,657 SH       SOLE         2      221,657
BRISTOL MYERS SQUIBB
   CO                  COM      110122108     846,600  31228.3436 SH       DEFINED      4                          31228.3436
BRISTOL MYERS SQUIBB
   CO                  EQUITY   110122108  39,733,500   1,465,640 SH       SOLE         2    1,465,640
BRISTOL MYERS SQUIBB
   CO.                 COM      110122108   9,780,797     369,505 SH       SOLE         1      369,505
BRISTOW GROUP INC      COM      110394103     910,996      21,644 SH       SOLE         1       21,644
BRISTOW GROUP INC      EQUITY   110394103   1,170,471      32,441 SH       SOLE         2       32,441
BROADCOM CORP CL A     EQUITY   111320107  18,948,726     535,426 SH       SOLE         2      535,426
BROADRIDGE FINANCIAL
   SOLUT               EQUITY   11133T103   6,322,617     276,459 SH       SOLE         2      276,459
BROADWIND ENERGY INC   EQUITY   11161T108     133,681      71,487 SH       SOLE         2       35,344
BROCADE
   COMMUNICATIONS SYS  EQUITY   111621306      60,876      10,424 SH       SOLE         2       31,698
BROOKLINE BANCORP INC  COM      11373M107     360,346      35,328 SH       SOLE         1       35,328
BROOKLINE BANCORP INC  EQUITY   11373M107     530,976      53,204 SH       SOLE         2       53,204
BROOKS AUTOMATION INC  COM      114340102     294,600      39,280 SH       SOLE         1       39,280
BROOKS AUTOMATION INC  EQUITY   114340102     393,642      58,665 SH       SOLE         2       58,665
BROWN + BROWN INC      EQUITY   115236101   5,139,506     254,557 SH       SOLE         2      254,557
BROWN FORMAN CORP
   CLASS B             EQUITY   115637209   2,196,356      35,632 SH       SOLE         2       35,632
BROWN SHOE COMANY,
   INC.                COM      115736100     338,130      26,232 SH       SOLE         1       26,232
BROWN SHOE COMPANY
   INC                 EQUITY   115736100     449,681      39,205 SH       SOLE         2       39,205
BRUKER CORP            EQUITY   116794108     786,957      56,091 SH       SOLE         2       56,091
BRUNSWICK CORP         EQUITY   117043109   1,215,119      79,837 SH       SOLE         2       79,837
BRUNSWICK CORP.        COM      117043109     911,107      53,033 SH       SOLE         1       53,033
BRUSH ENGINEERED
   MATERIALS           COM      117421107   1,376,139      38,078 SH       SOLE         1       38,078
BRUSH ENGINEERED
   MATERIALS           EQUITY   117421107     520,253      18,293 SH       SOLE         2       18,293
BUCKEYE TECHNOLOGIES
   INC                 COM      118255108     441,308      23,549 SH       SOLE         1       23,549
BUCKEYE TECHNOLOGIES
   INC                 EQUITY   118255108     520,631      35,393 SH       SOLE         2       35,393
BUCKLE INC/THE         EQUITY   118440106     625,070      23,552 SH       SOLE         2       23,552
BUCKLE, INC.           COM      118440106     531,522      15,633 SH       SOLE         1       15,633
BUCYRUS
   INTERNATIONAL INC   EQUITY   118759109  12,246,863     176,595 SH       SOLE         2      176,595
BUCYRUS INTL INC NEW   COM      118759109     405,004        5840 SH       DEFINED      4                                5840
BUFFALO WILD WINGS





                                                                                 
   INC                 COM      119848109     532,277      10,885 SH       SOLE         1       10,885
BUFFALO WILD WINGS
   INC                 EQUITY   119848109     784,007      16,371 SH       SOLE         2       16,371
BUILD A BEAR
   WORKSHOP INC        EQUITY   120076104      80,580      13,319 SH       SOLE         2       30,063
BUILDERS FIRSTSOURCE
   INC                 EQUITY   12008R107      79,855      35,024 SH       SOLE         2       10,185
BURGER KING HOLDINGS
   INC                 EQUITY   121208201   4,811,271     201,477 SH       SOLE         2      201,477
C.H. ROBINSON
   WORLDWIDE IN        EQUITY   12541W209   6,950,817      99,411 SH       SOLE         2       99,411
CA INC                 COM      12673P105     437,054      18,533 SH       SOLE         1       18,533
CA INC                 EQUITY   12673P105   3,543,598     167,784 SH       SOLE         2      167,784
CABELA S INC           EQUITY   126804301     687,569      36,226 SH       SOLE         2       36,226
CABELA'S INC-CL A      COM      126804301     549,790      23,956 SH       SOLE         1       23,956
CABLEVISION SYSTEMS
   CORP                COM      12686C109     458,066      15,623 SH       SOLE         1       15,623
CABOT CORP             EQUITY   127055101   4,654,644     142,912 SH       SOLE         2      142,912
CABOT
   MICROELECTRONICS
   COR                 EQUITY   12709P103     684,179      21,261 SH       SOLE         2       21,261
CABOT
   MICROELECTRONICS
   CORP                COM      12709P103     565,690      13,947 SH       SOLE         1       13,947
CABOT OIL + GAS CORP   EQUITY   127097103   1,068,724      35,494 SH       SOLE         2       35,494
CACI INTERNATIONAL     COM      127190304     924,834      18,134 SH       SOLE         1       18,134
CACI INTERNATIONAL
   INC  CL             EQUITY   127190304   1,234,059      27,266 SH       SOLE         2       27,266
CADENCE DESIGN SYS
   INC                 EQUITY   127387108   4,431,100     580,747 SH       SOLE         2      580,747
CADENCE
   PHARMACEUTICALS, I  EQUITY   12738T100     160,295      19,197 SH       SOLE         2      148,627
CAKTRONICS INC         COM      234264109     249,967      20,988 SH       SOLE         1       20,988
CAL DIVE
   INTERNATIONAL INC   COM      12802T101   2,116,550     399,349 SH       SOLE         1      399,349
CAL DIVE
   INTERNATIONAL INC   EQUITY   12802T101     397,953      72,752 SH       SOLE         2       72,752
CAL MAINE FOODS INC    EQUITY   128030202   3,179,222     109,704 SH       SOLE         2      109,704
CALAMOS ASSET
   MANAGEMENT A        EQUITY   12811R104     171,040      14,873 SH       SOLE         2       30,737
CALAMOS CONV & HIGH
   INCOME F            COM      12811P108   2,100,299 162687.7707 SH       DEFINED      3                         162687.7707
CALAMOS CONV & HIGH
   INCOME F            COM      12811P108   1,283,960  99454.6732 SH       DEFINED      4                          99454.6732
CALAMOS CONV OPP AND
   INC FD              COM      128117108     608,532  47310.5194 SH       DEFINED      4                          47310.5194
CALAVO GROWERS INC     EQUITY   128246105     217,602      10,037 SH       SOLE         2       10,037
CALGON CARBON CORP     EQUITY   129603106     734,425      50,650 SH       SOLE         2       50,650
CALGON CARBON CORP.    COM      129603106     519,757      33,663 SH       SOLE         1       33,663
CALIFORNIA PIZZA
   KITCHEN I           EQUITY   13054D109     308,650      18,092 SH       SOLE         2       18,092
CALIFORNIA PIZZA
   KITCHEN INC         COM      13054D109     250,347      14,709 SH       SOLE         1       14,709
CALIFORNIA WATER





                                                                                 
   SERVICE G           EQUITY   130788102     562,231      15,216 SH       SOLE         2       15,216
CALIPER LIFE
   SCIENCES INC        EQUITY   130872104     138,182      34,632 SH       SOLE         2       12,339
CALLAWAY GOLF CO.      COM      131193104     279,393      38,537 SH       SOLE         1       38,537
CALLAWAY GOLF COMPANY  EQUITY   131193104     406,385      58,055 SH       SOLE         2       58,055
CALLON PETROLEUM CO    EQUITY   13123X102     109,959      22,214 SH       SOLE         2       40,600
CAL-MAINE FOODS INC    COM      128030202     236,474       7,989 SH       SOLE         1        7,989
CALPINE CORP ESCROW 4  EQUITY   131ESC9D9           0     175,000 SH       SOLE         2      175,000
CAMAC ENERGY INC       EQUITY   131745101     117,418      36,808 SH       SOLE         2       38,589
CAMBIUM LEARNING
   GROUP INC           EQUITY   13201A107      40,976      12,805 SH       SOLE         2      112,593
CAMBREX CORP           EQUITY   132011107     112,459      26,461 SH       SOLE         2       11,559
CAMBREX CORP.          COM      132011107      75,787      17,584 SH       SOLE         1       17,584
CAMDEN NATIONAL CORP   EQUITY   133034108     204,920       5,914 SH       SOLE         2       40,387
CAMDEN PROPERTY TRUST  EQUITY   133131102   7,024,775     146,441 SH       SOLE         2      146,441
CAMECO CORP            COM      13321L108   4,642,063     129,948 SH       SOLE         1      129,948
CAMERON
   INTERNATIONAL CORP  EQUITY   13342B105   3,867,818      90,033 SH       SOLE         2       90,033
CAMPBELL SOUP CO       EQUITY   134429109   2,409,550      67,400 SH       SOLE         2       67,400
CAMPBELL SOUP CO.      COM      134429109   7,775,160     213,662 SH       SOLE         1      213,662
CANADIAN IMPERIAL
   BANK OF COMMERCE    COM      136069101   2,481,205      31,685 SH       SOLE         1       31,685
CANADIAN NATIONAL
   RAILWAY             COM      136375102   6,550,387     102,360 SH       SOLE         1      102,360
CANADIAN NATURAL
   RESORUCES           COM      136385101   8,896,736     225,530 SH       SOLE         1      225,530
CANADIAN PACIFIC
   RAILWAY LTD         COM      13645T100   3,738,266      57,424 SH       SOLE         1       57,424
CANTEL MEDICAL CORP    EQUITY   138098108     187,499      11,574 SH       SOLE         2       12,182
CAPELLA EDUCATION CO   COM      139594105     548,349      10,021 SH       SOLE         1       10,021
CAPELLA EDUCATION CO   EQUITY   139594105   1,173,304      15,116 SH       SOLE         2       15,116
CAPITAL GOLD CORP      EQUITY   14018Y205     228,391      47,286 SH       SOLE         2       47,286
CAPITAL ONE
   FINANCIAL CORP      EQUITY   14040H105   9,335,857     236,052 SH       SOLE         2      236,052
CAPITAL ONE
   FINANCIAL CORP.     COM      14040H105   7,564,739     188,741 SH       SOLE         1      188,741
CAPITAL SENIOR
   LIVING CORP         EQUITY   140475104     111,258      20,874 SH       SOLE         2       42,759
CAPITALSOURCE INC      COM      14055X102   2,751,127     429,193 SH       SOLE         1      429,193
CAPLEASE INC           EQUITY   140288101     246,882      44,165 SH       SOLE         2       44,165
CAPSTEAD MORTGAGE
   CORP                EQUITY   14067E506     588,632      54,152 SH       SOLE         2       54,152
CAPSTONE TURBINE CORP  EQUITY   14067D102     143,395     185,721 SH       SOLE         2       36,227
CARBO CERAMICS INC     COM      140781105   1,001,007      11,339 SH       SOLE         1       11,339
CARBO CERAMICS INC     EQUITY   140781105   1,391,985      17,185 SH       SOLE         2       17,185
CARDINAL FINANCIAL
   CORP                EQUITY   14149F109     213,198      22,185 SH       SOLE         2       22,185
CARDINAL HEALTH INC    COM      14149Y108   2,149,547      61,032 SH       SOLE         1       61,032
CARDINAL HEALTH INC    EQUITY   14149Y108   5,714,235     172,949 SH       SOLE         2      172,949
CARDIONET INC          EQUITY   14159L103      84,030      18,632 SH       SOLE         2       29,709
CARDTRONICS INC        COM      14161H108   1,326,264      75,700 SH       SOLE         1       75,700
CARDTRONICS INC        EQUITY   14161H108     321,145      20,813 SH       SOLE         2       20,813
CAREER EDUCATION CORP  EQUITY   141665109   3,081,482     143,525 SH       SOLE         2      143,525
CAREFUSION CORP        EQUITY   14170T101   1,895,292      76,300 SH       SOLE         2       76,300





                                                                                 
CARLISLE COS INC       EQUITY   142339100   3,991,916     133,286 SH       SOLE         2      133,286
CARMAX INC             EQUITY   143130102   2,192,526      78,698 SH       SOLE         2       78,698
CARNIVAL CORP          COM      143658300   8,738,227     198,822 SH       SOLE         1      198,822
CARNIVAL CORP          EQUITY   143658300   8,810,424     230,579 SH       SOLE         2      230,579
CARPENTER TECHNOLOGY   EQUITY   144285103   3,231,373      95,858 SH       SOLE         2       95,858
CARRIZO OIL & GAS INC  COM      144577103     838,100      34,000 SH       SOLE         1       34,000
CARRIZO OIL + GAS INC  EQUITY   144577103     575,302      24,031 SH       SOLE         2       24,031
CARTER INC             COM      146229109   1,351,871      47,351 SH       SOLE         1       47,351
CARTER S INC           EQUITY   146229109   5,074,160     192,714 SH       SOLE         2      192,714
CASCADE CORP           COM      147195101     215,276       5,510 SH       SOLE         1        5,510
CASCADE CORP           EQUITY   147195101     260,824       8,202 SH       SOLE         2       33,453
CASELLA WASTE
   SYSTEMS INC         EQUITY   147448104      80,917      19,266 SH       SOLE         2       33,412
CASEY S GENERAL
   STORES INC          EQUITY   147528103   1,845,976      44,215 SH       SOLE         2       44,215
CASEYS GENERAL
   STORES, INC.        COM      147528103     893,690      22,648 SH       SOLE         1       22,648
CASH AMERICA
   INTERNATIONAL       COM      14754D100     656,624      17,585 SH       SOLE         1       17,585
CASH AMERICA INTL INC  EQUITY   14754D100     931,630      26,618 SH       SOLE         2       26,618
CASS INFORMATION
   SYSTEMS I           EQUITY   14808P109     222,775       6,493 SH       SOLE         2       12,275
CASTLE (A.M.) + CO     EQUITY   148411101     199,611      15,065 SH       SOLE         2       49,657
CASTLE A. M.  & CO.    COM      148411101     154,547      10,029 SH       SOLE         1       10,029
CASUAL MALE RETAIL
   GROUP I             EQUITY   148711302     131,339      32,191 SH       SOLE         2       10,803
CATALYST HEALTH
   SOLUTIONS           EQUITY   14888B103   1,209,992      34,365 SH       SOLE         2       34,365
CATALYST HEALTH
   SOLUTIONS INC       COM      14888B103   1,772,576      41,367 SH       SOLE         1       41,367
CATERPILLAR INC        EQUITY   149123101  23,097,852     293,567 SH       SOLE         2      293,567
CATERPILLAR INC DEL    COM      149123101   1,357,618  17254.9332 SH       DEFINED      4                          17254.9332
CATERPILLAR, INC.      COM      149123101   4,406,357      53,012 SH       SOLE         1       53,012
CATHAY GENERAL
   BANCORP             EQUITY   149150104   2,741,097     230,538 SH       SOLE         2      230,538
CATO CORP CLASS A      EQUITY   149205106     677,510      25,318 SH       SOLE         2       25,318
CATO CORP. CLASS A     COM      149205106     511,002      17,639 SH       SOLE         1       17,639
CAVIUM NETWORKS INC    EQUITY   14965A101     985,375      34,262 SH       SOLE         2       34,262
CB RICHARD ELLIS
   GROUP INC           EQUITY   12497T101   2,204,623     120,603 SH       SOLE         2      120,603
CBEYOND INC            COM      149847105     244,883      18,440 SH       SOLE         1       18,440
CBEYOND INC            EQUITY   149847105     316,850      24,696 SH       SOLE         2       24,696
CBIZ INC               EQUITY   124805102     201,881      34,044 SH       SOLE         2       34,044
CBL + ASSOCIATES
   PROPERTIE           EQUITY   124830100   1,392,575     106,629 SH       SOLE         2      106,629
CBS CORP CLASS B NON
   VOTIN               EQUITY   124857202   3,669,528     231,370 SH       SOLE         2      231,370
CBS CORP-CL B          COM      124857202   1,883,588     111,985 SH       SOLE         1      111,985
CDC CORP CL A          EQUITY   G2022L114      96,732      22,868 SH       SOLE         2       22,668
CDC SOFTWARE CORP ADR  EQUITY   12507Y108     162,866      26,920 SH       SOLE         2       16,249
CDI CORP               EQUITY   125071100     146,823      11,364 SH       SOLE         2       17,053
CEC ENTERTAINMENT INC  EQUITY   125137109     678,258      19,757 SH       SOLE         2       19,757
CEC ENTERTAINMENT,
   INC.                COM      125137109     487,091      12,886 SH       SOLE         1       12,886





                                                                                 
CEDAR SHOPPING
   CENTERS INC         COM      150602209     184,026      27,925 SH       SOLE         1       27,925
CEDAR SHOPPING
   CENTERS INC         EQUITY   150602209     293,074      48,203 SH       SOLE         2       48,203
CELADON GROUP INC      EQUITY   150838100     227,879      16,501 SH       SOLE         2       16,501
CELERA CORP            EQUITY   1.51E+110     426,790      63,322 SH       SOLE         2       63,322
CELESTICA INC          COM      15101Q108   1,213,902     131,312 SH       SOLE         1      131,312
CELGENE CORP           COM      151020104     245,073        4254 SH       DEFINED      4                                4254
CELGENE CORP           COM      151020104   2,341,378      38,410 SH       SOLE         1       38,410
CELGENE CORP           EQUITY   151020104  24,541,918     426,001 SH       SOLE         2      426,001
CELLDEX THERAPEUTICS
   INC                 EQUITY   15117B103      98,180      24,545 SH       SOLE         2       38,945
CEMEX SAB DE CV        COM      151290889     319,651       37606 SH       DEFINED      4                               37606
CENOVUS ENERGY INC     COM      15135U109   5,432,067     184,659 SH       SOLE         1      184,659
CENTENE CORP           EQUITY   15135B101   6,222,216     263,765 SH       SOLE         2      263,765
CENTENE CORP DEL       COM      15135B101     667,246      29,459 SH       SOLE         1       29,459
CENTER FINANCIAL CORP  EQUITY   1.51E+106     139,583      27,423 SH       SOLE         2       12,771
CENTERPOINT ENERGY
   INC                 COM      15189T107     316,714  20147.1722 SH       DEFINED      4                          20147.1722
CENTERPOINT ENERGY
   INC                 EQUITY   15189T107   7,665,465     487,625 SH       SOLE         2      487,625
CENTERSTATE BANKS INC  EQUITY   15201P109     170,099      19,825 SH       SOLE         2       53,886
CENTRAL FD CDA LTD     COM      153501101     548,945       33069 SH       DEFINED      3                               33069
CENTRAL GARDEN AND
   PET CO              COM      153527205     370,711      33,824 SH       SOLE         1       33,824
CENTRAL GARDEN AND
   PET CO              EQUITY   153527205     528,899      51,052 SH       SOLE         2       51,052
CENTRAL GOLDTRUST      COM      153546106     204,120        4050 SH       DEFINED      3                                4050
CENTRAL VERMONT
   PUBLIC SER          EQUITY   155771108     218,784      10,847 SH       SOLE         2       10,847
CENTURY ALUMINUM CO.   COM      156431108     495,932      33,852 SH       SOLE         1       33,852
CENTURY ALUMINUM
   COMPANY             EQUITY   156431108  10,449,592     793,439 SH       SOLE         2      793,439
CENTURYLINK INC        EQUITY   156700106  26,629,542     674,849 SH       SOLE         2      674,849
CENVEO INC             EQUITY   15670S105     213,730      42,491 SH       SOLE         2       42,491
CEPHALON INC           COM      156708109     206,760       3,137 SH       SOLE         1        3,137
CEPHALON INC           EQUITY   156708109   1,861,773      29,817 SH       SOLE         2       29,817
CEPHEID INC            EQUITY   15670R107     858,508      45,885 SH       SOLE         2       45,885
CERADYNE INC           COM      156710105     385,800      15,183 SH       SOLE         1       15,183
CERADYNE INC           EQUITY   156710105     535,439      22,931 SH       SOLE         2       22,931
CERNER CORP            EQUITY   156782104   2,394,555      28,510 SH       SOLE         2       28,510
CERUS CORP             EQUITY   157085101     115,369      30,044 SH       SOLE         2       13,238
CEVA INC               EQUITY   157210105     231,703      16,203 SH       SOLE         2       16,203
CF INDUSTRIES
   HOLDINGS INC        EQUITY   125269100   2,606,100      27,289 SH       SOLE         2       27,289
CGI GROUP INC          COM      39945C109   1,013,984      65,755 SH       SOLE         1       65,755
CH ENERGY GROUP INC    EQUITY   12541M102     629,192      14,248 SH       SOLE         2       14,248
CH ENERGY GROUP INC.   COM      12541M102     440,073       9,468 SH       SOLE         1        9,468
CHARLES RIVER
   LABORATORIES        EQUITY   159864107   4,801,247     144,834 SH       SOLE         2      144,834
CHARMING SHOPPES       EQUITY   161133103     314,984      89,484 SH       SOLE         2       89,484
CHART INDUSTRIES INC   EQUITY   16115Q308     450,994      22,151 SH       SOLE         2       22,151
CHECK POINT SOFTWARE
   TECH                EQUITY   M22465104   1,532,669      41,502 SH       SOLE         2       41,502





                                                                                 
CHECKPOINT SYSTEMS
   INC                 EQUITY   162825103     724,521      35,603 SH       SOLE         2       35,603
CHECKPOINT SYSTEMS,
   INC.                COM      162825103     437,303      23,638 SH       SOLE         1       23,638
CHEESECAKE FACTORY
   INC/THE             EQUITY   163072101   4,641,594     175,353 SH       SOLE         2      175,353
CHELSEA THERAPEUTICS
   INTER               EQUITY   163428105     124,626      24,341 SH       SOLE         2       27,973
CHEMED CORP            EQUITY   16359R103   1,172,614      20,583 SH       SOLE         2       20,583
CHEMED CORP.           COM      16359R103     838,205      13,636 SH       SOLE         1       13,636
CHEMICAL FINANCIAL
   CORP                EQUITY   163731102     389,208      18,857 SH       SOLE         2       18,857
CHENIERE ENERGY INC    EQUITY   16411R208     111,450      44,226 SH       SOLE         2       12,373
CHESAPEAKE ENERGY
   CORP                COM      165167107     339,003  14967.0331 SH       DEFINED      4                          14967.0331
CHESAPEAKE ENERGY
   CORP                EQUITY   165167107   6,454,367     284,961 SH       SOLE         2      284,961
CHESAPEAKE UTILITIES
   CORP                EQUITY   165303108     264,587       7,305 SH       SOLE         2       21,373
CHEVRON CORP           EQUITY   166764100  81,072,046   1,000,272 SH       SOLE         2    1,000,272
CHEVRON CORP NEW       COM      166764100   3,619,277  44654.8649 SH       DEFINED      4                          44654.8649
CHEVRON CORPORATION    COM      166764100  25,514,285     300,876 SH       SOLE         1      300,876
CHICO S FAS INC        EQUITY   168615102   9,917,320     942,711 SH       SOLE         2      942,711
CHILDREN S PLACE       EQUITY   168905107   4,763,415      97,671 SH       SOLE         2       97,671
CHILDREN'S PLACE,
   INC.                COM      168905107     750,615      16,300 SH       SOLE         1       16,300
CHIMERA INVESTMENT
   CORP                EQUITY   16934Q109      81,524      20,639 SH       SOLE         2       98,597
CHIMERA INVT CORP      COM      16934Q109      44,773       11335 SH       DEFINED      4                               11335
CHINA PRECISION
   STEEL INC           COM      16941J106      33,415       20500 SH       DEFINED      4                               20500
CHINDEX
   INTERNATIONAL INC   EQUITY   169467107     159,939      10,585 SH       SOLE         2       32,816
CHIPOTLE MEXICAN
   GRILL INC           EQUITY   169656105  11,668,996      67,843 SH       SOLE         2       67,843
CHIQUITA BRANDS INTL   EQUITY   170032809     458,938      34,663 SH       SOLE         2       34,663
CHRISTOPHER & BANKS
   CORPORATIO          COM      171046105     131,850      21,439 SH       SOLE         1       21,439
CHRISTOPHER + BANKS
   CORP                EQUITY   171046105     255,406      32,289 SH       SOLE         2       32,289
CHUBB CORP             COM      171232101     612,415       10746 SH       DEFINED      4                               10746
CHUBB CORP             EQUITY   171232101   7,978,543     139,999 SH       SOLE         2      139,999
CHUBB CORP.            COM      171232101     285,232       4,841 SH       SOLE         1        4,841
CHURCH + DWIGHT CO
   INC                 EQUITY   171340102  10,060,505     154,920 SH       SOLE         2      154,920
CHURCHILL DOWNS INC    EQUITY   171484108     313,764       8,784 SH       SOLE         2       16,464
CIBER INC              EQUITY   17163B102     171,847      57,092 SH       SOLE         2       54,449
CIBER, INC.            COM      17163B102     143,868      41,822 SH       SOLE         1       41,822
CIENA CORP             EQUITY   171779309   3,177,775     204,096 SH       SOLE         2      204,096
CIGNA CORP             EQUITY   125509109   4,891,376     136,707 SH       SOLE         2      136,707
CIMAREX ENERGY CO      EQUITY   171798101  12,140,258     183,443 SH       SOLE         2      183,443
CINCINNATI BELL INC    EQUITY   171871106   1,579,158     591,445 SH       SOLE         2      591,445
CINCINNATI FINANCIAL
   CORP                EQUITY   172062101   1,841,120      63,817 SH       SOLE         2       63,817





                                                                                 
CINCINNATI FINANCIAL
   CORP.               COM      172062101     548,209      18,051 SH       SOLE         1       18,051
CINEMARK HOLDINGS INC  EQUITY   17243V102     707,708      43,957 SH       SOLE         2       43,957
CINTAS CORP            EQUITY   172908105   1,549,467      56,242 SH       SOLE         2       56,242
CIRCOR INTERNATIONAL
   INC                 EQUITY   17273K109     486,356      15,391 SH       SOLE         2       15,391
CIRCOR
   INTERNATIONAL,
   INC.                COM      17273K109     391,362      10,229 SH       SOLE         1       10,229
CIRRUS LOGIC INC       EQUITY   172755100     902,097      50,566 SH       SOLE         2       50,566
CISCO SYS INC          COM      17275R102     998,859       45610 SH       DEFINED      4                               45610
CISCO SYSTEMS INC      EQUITY   17275R102  92,240,851   4,211,911 SH       SOLE         2    4,211,911
CISCO SYSTEMS, INC.    COM      17275R102   6,242,791     255,957 SH       SOLE         1      255,957
CITI TRENDS INC        EQUITY   17306X102     277,374      11,457 SH       SOLE         2       11,457
CITIGROUP INC          COM      172967101   1,457,757      372828 SH       DEFINED      4                              372828
CITIGROUP INC          COM      172967101   2,652,002     597,567 SH       SOLE         1      597,567
CITIGROUP INC          EQUITY   172967101  52,059,318  13,348,543 SH       SOLE         2   13,348,543
CITIZENS INC           EQUITY   174740100     193,816      28,130 SH       SOLE         2       10,486
CITIZENS REPUBLIC
   BANCORP             EQUITY   174420109     274,471     304,596 SH       SOLE         2      304,596
CITRIX SYSTEMS INC     EQUITY   177376100   5,695,515      83,463 SH       SOLE         2       83,463
CITRIX SYSTEMS, INC.   COM      177376100   8,336,408     127,507 SH       SOLE         1      127,507
CITY HOLDING CO        EQUITY   177835105     435,729      14,207 SH       SOLE         2       14,207
CITY HOLDING CO.       COM      177835105     313,048       9,328 SH       SOLE         1        9,328
CITY NATIONAL CORP     EQUITY   178566105   5,379,653     101,369 SH       SOLE         2      101,369
CKX INC                EQUITY   12562M106     210,259      42,910 SH       SOLE         2       42,910
CLARCOR INC            EQUITY   179895107   1,757,510      45,496 SH       SOLE         2       45,496
CLARCOR, INC.          COM      179895107   1,272,642      30,301 SH       SOLE         1       30,301
CLARIENT INC           EQUITY   180489106     143,559      42,473 SH       SOLE         2       13,753
CLAYMORE EXCHANGE
   TRADED FD           COM      18383M100     204,874   4581.2711 SH       DEFINED      4                           4581.2711
CLAYTON WILLIAMS
   ENERGY IN           EQUITY   969490101     229,679       4,540 SH       SOLE         2       19,952
CLEAN ENERGY FUELS
   CORP                EQUITY   184499101     439,530      30,931 SH       SOLE         2       30,931
CLEAN HARBORS INC      COM      184496107   1,058,400      14,400 SH       SOLE         1       14,400
CLEAN HARBORS INC      EQUITY   184496107   4,560,930      67,320 SH       SOLE         2       67,320
CLEARWATER PAPER CORP  COM      18538R103     568,616       6,869 SH       SOLE         1        6,869
CLEARWATER PAPER CORP  EQUITY   18538R103     787,352      10,349 SH       SOLE         2       10,349
CLECO CORPORATION      EQUITY   12561W105   5,280,328     178,269 SH       SOLE         2      178,269
CLIFFS NATURAL
   RESOURCES I         EQUITY   18683K101   4,057,961      63,485 SH       SOLE         2       63,485
CLIFFS NATURAL
   RESOURCES INC       COM      18683K101   2,063,750      29,112 SH       SOLE         1       29,112
CLOROX COMPANY         EQUITY   189054109   4,654,774      69,724 SH       SOLE         2       69,724
CLOUD PEAK ENERGY INC  EQUITY   18911Q102     444,077      24,333 SH       SOLE         2       24,333
CME GROUP INC          EQUITY   12572Q105   7,317,864      28,097 SH       SOLE         2       28,097
CMS ENERGY CORP        EQUITY   125896100   1,417,958      78,688 SH       SOLE         2       78,688
CMS ENERGY CORP.       COM      125896100   5,851,333     320,621 SH       SOLE         1      320,621
CNA FINANCIAL CORP     COM      126117100   2,545,255      90,643 SH       SOLE         1       90,643
CNA SURETY CORP        EQUITY   12612L108     244,644      13,652 SH       SOLE         2       13,652
CNO FINANCIAL GROUP
   INC                 EQUITY   1.26E+107     950,182     171,513 SH       SOLE         2      171,513
COACH INC              COM      189754104     273,063   6356.2246 SH       DEFINED      4                           6356.2246





                                                                                 
COACH INC              COM      189754104   4,629,547      87,317 SH       SOLE         1       87,317
COACH INC              EQUITY   189754104  27,394,045     637,664 SH       SOLE         2      637,664
COBIZ FINANCIAL INC    EQUITY   190897108     138,616      24,931 SH       SOLE         2       72,633
COCA COLA CO           COM      191216100   1,100,034  18797.5732 SH       DEFINED      4                          18797.5732
COCA COLA CO/THE       EQUITY   191216100  59,745,058   1,020,934 SH       SOLE         2    1,020,934
COCA-COLA CO.          COM      191216100   6,247,936     100,031 SH       SOLE         1      100,031
COEUR D ALENE MINES
   CORP                EQUITY   192108504   1,354,540      67,999 SH       SOLE         2       67,999
COGDELL SPENCER INC    EQUITY   19238U107     209,856      33,205 SH       SOLE         2       33,205
COGENT
   COMMUNICATIONS
   GROU                EQUITY   19239V302     328,069      34,643 SH       SOLE         2       34,643
COGENT INC             EQUITY   19239Y108     507,464      47,694 SH       SOLE         2       47,694
COGNEX CORP            EQUITY   192422103     959,298      35,768 SH       SOLE         2       35,768
COGNEX CORP.           COM      192422103     695,104      23,748 SH       SOLE         1       23,748
COGNIZANT TECH
   SOLUTIONS A         EQUITY   192446102  17,458,218     270,796 SH       SOLE         2      270,796
COHEN & STEERS
   INFRASTRUCTUR       COM      19248A109     560,150  35185.2796 SH       DEFINED      4                          35185.2796
COHEN + STEERS INC     EQUITY   19247A100     292,603      13,484 SH       SOLE         2       13,484
COHERENT INC           EQUITY   192479103     780,835      19,516 SH       SOLE         2       19,516
COHU INC               EQUITY   192576106     267,865      21,276 SH       SOLE         2       21,276
COHU, INC.             COM      192576106     220,358      14,235 SH       SOLE         1       14,235
COINSTAR INC           EQUITY   19259P300   1,235,060      28,729 SH       SOLE         2       28,729
COINSTAR, INC          COM      19259P300   2,024,956      32,878 SH       SOLE         1       32,878
COLDWATER CREEK INC    EQUITY   193068103     930,429     176,552 SH       SOLE         2      176,552
COLFAX CORP            EQUITY   194014106     276,151      18,571 SH       SOLE         2       18,571
COLGATE PALMOLIVE CO   COM      194162103     559,840   7283.8975 SH       DEFINED      4                           7283.8975
COLGATE PALMOLIVE CO   EQUITY   194162103  15,762,910     205,086 SH       SOLE         2      205,086
COLGATE-PALMOLIVE CO.  COM      194162103  13,673,443     176,386 SH       SOLE         1      176,386
COLLECTIVE BRANDS INC  EQUITY   19421W100   3,055,851     189,334 SH       SOLE         2      189,334
COLONIAL PROPERTIES
   TRUST               COM      195872106     849,021      44,898 SH       SOLE         1       44,898
COLONIAL PROPERTIES
   TRUST               EQUITY   195872106   1,025,539      63,344 SH       SOLE         2       63,344
COLONY FINANCIAL INC   EQUITY   19624R106     208,824      11,300 SH       SOLE         2       11,300
COLUMBIA BANKING
   SYSTEM IN           EQUITY   197236102     696,180      35,429 SH       SOLE         2       35,429
COLUMBIA BANKING
   SYSTEM, INC         COM      197236102     444,265      23,531 SH       SOLE         1       23,531
COLUMBIA SPORTSWEAR
   CO                  EQUITY   198516106     515,265       8,817 SH       SOLE         2       21,698
COLUMBUS MCKINNON
   CORP/NY             EQUITY   199333105     245,001      14,768 SH       SOLE         2       14,768
COMCAST CORP CLASS A   EQUITY   20030N101  20,520,113   1,134,962 SH       SOLE         2    1,134,962
COMCAST CORP-CL A      COM      20030N101  12,499,788     598,076 SH       SOLE         1      598,076
COMERICA INC           EQUITY   200340107   2,480,766      66,777 SH       SOLE         2       66,777
COMFORT SYS USA INC    COM      199908104     254,899      22,698 SH       SOLE         1       22,698
COMFORT SYSTEMS USA
   INC                 EQUITY   199908104     367,696      34,268 SH       SOLE         2       34,268
COMMERCE BANCSHARES
   INC                 EQUITY   200525103   6,100,857     162,300 SH       SOLE         2      162,300
COMMERCIAL METALS CO   EQUITY   201723103   3,621,645     249,941 SH       SOLE         2      249,941
COMMERCIAL VEHICLE





                                                                                 
   GROUP I             EQUITY   202608105     192,524      18,912 SH       SOLE         2       50,690
COMMSCOPE INC          EQUITY   203372107   4,918,572     207,185 SH       SOLE         2      207,185
COMMUNITY BANK
   SYSTEM INC          EQUITY   203607106     687,401      29,874 SH       SOLE         2       29,874
COMMUNITY BANK
   SYSTEM, INC.        COM      203607106     494,264      19,842 SH       SOLE         1       19,842
COMMUNITY HEALTH
   SYSTEMS I           EQUITY   203668108   6,383,072     206,105 SH       SOLE         2      206,105
COMMUNITY TRUST
   BANCORP IN          EQUITY   204149108     286,097      10,561 SH       SOLE         2       10,561
COMMVAULT SYSTEMS INC  COM      204166102   2,475,903      80,859 SH       SOLE         1       80,859
COMMVAULT SYSTEMS INC  EQUITY   204166102   1,013,192      38,924 SH       SOLE         2       38,924
COMPASS DIVERSIFIED
   HOLDIN              EQUITY   20451Q104     412,872      25,549 SH       SOLE         2       25,549
COMPELLENT
   TECHNOLOGIES IN     EQUITY   20452A108     381,725      20,997 SH       SOLE         2       20,997
COMPELLENT
   TECHNOLOGIES INC    COM      20452A108     336,936      13,900 SH       SOLE         1       13,900
COMPLETE PRODUCTION
   SERVIC              EQUITY   2.05E+113   1,227,859      60,042 SH       SOLE         2       60,042
COMPUTER PROGRAMS &
   SY                  COM      205306103     323,408       6,560 SH       SOLE         1        6,560
COMPUTER PROGRAMS +
   SYSTEM              EQUITY   205306103     382,321       8,981 SH       SOLE         2       61,931
COMPUTER SCIENCES
   CORP                EQUITY   205363104   2,415,322      52,507 SH       SOLE         2       52,507
COMPUTER SCIENCES
   CORP.               COM      205363104     443,423       9,055 SH       SOLE         1        9,055
COMPUTER TASK GROUP
   INC                 EQUITY   205477102      87,295      11,426 SH       SOLE         2       13,575
COMPUWARE CORP         EQUITY   205638109     641,772      75,237 SH       SOLE         2       75,237
COMSCORE INC           COM      20564W105   1,294,826      58,090 SH       SOLE         1       58,090
COMSCORE INC           EQUITY   20564W105     488,393      20,765 SH       SOLE         2       20,765
COMSTOCK RESOURCES
   INC                 EQUITY   205768203   2,327,558     103,493 SH       SOLE         2      103,493
COMTECH
   TELECOMMUNICATIONS  COM      205826209     526,696      16,941 SH       SOLE         1       16,941
COMTECH
   TELECOMMUNICATIONS  EQUITY   205826209     702,539      25,687 SH       SOLE         2       25,687
COMVERGE INC           EQUITY   205859101     152,618      19,417 SH       SOLE         2       20,008
CON WAY INC            EQUITY   205944101   3,688,523     119,023 SH       SOLE         2      119,023
CONAGRA FOODS INC      EQUITY   205887102   3,928,028     179,035 SH       SOLE         2      179,035
CONCEPTUS INC          EQUITY   206016107     329,546      23,967 SH       SOLE         2       23,967
CONCHO RESOURCES INC   EQUITY   20605P101   3,958,620      59,825 SH       SOLE         2       59,825
CONCUR TECHNOLOGIES
   INC                 COM      206708109   1,458,701      27,028 SH       SOLE         1       27,028
CONCUR TECHNOLOGIES
   INC                 EQUITY   206708109   1,825,523      36,924 SH       SOLE         2       36,924
CONEXANT SYSTEMS INC   EQUITY   207142308     102,833      62,703 SH       SOLE         2       11,043
CONMED CORP            EQUITY   207410101     588,397      26,256 SH       SOLE         2       26,256
CONMED CORP.           COM      207410101     382,334      17,230 SH       SOLE         1       17,230
CONOCOPHILLIPS         COM      20825C104   1,353,998  23576.4845 SH       DEFINED      4                          23576.4845
CONOCOPHILLIPS         EQUITY   20825C104  38,566,657     671,542 SH       SOLE         2      671,542
CONOCOPHILLIPS





                                                                                 
   PETROLEUM CO        COM      20825C104   9,281,740     148,722 SH       SOLE         1      148,722
CONSOL ENERGY INC      EQUITY   20854P109   5,239,930     141,773 SH       SOLE         2      141,773
CONSOLIDATED
   COMMUNICATION       EQUITY   209034107     359,061      19,232 SH       SOLE         2       19,232
CONSOLIDATED EDISON
   INC                 COM      209115104     467,424   9693.5645 SH       DEFINED      4                           9693.5645
CONSOLIDATED EDISON
   INC                 EQUITY   209115104   4,646,383      96,358 SH       SOLE         2       96,358
CONSOLIDATED
   GRAPHICS INC        EQUITY   209341106     352,822       8,512 SH       SOLE         2       12,128
CONSOLIDATED
   GRAPHICS, INC.      COM      209341106     282,917       6,079 SH       SOLE         1        6,079
CONSOLIDATED WATER
   CO ORD              EQUITY   G23773107     106,508      11,235 SH       SOLE         2       18,559
CONSTANT CONTACT INC   EQUITY   210313102     471,910      22,021 SH       SOLE         2       22,021
CONSTELLATION BRANDS   COM      21036P108   3,138,685     156,621 SH       SOLE         1      156,621
CONSTELLATION BRANDS
   INC A               EQUITY   21036P108   1,084,998      61,334 SH       SOLE         2       61,334
CONSTELLATION ENERGY
   GROUP               EQUITY   210371100   2,207,892      68,483 SH       SOLE         2       68,483
CONSTELLATION ENERGY
   GRUOP INC           COM      210371100   2,993,109      97,878 SH       SOLE         1       97,878
CONTANGO OIL + GAS     EQUITY   21075N204     457,760       9,126 SH       SOLE         2       45,904
CONTINUCARE CORP       EQUITY   212172100      94,126      22,411 SH       SOLE         2       32,787
CONVERGYS CORP         EQUITY   212485106   2,829,860     270,800 SH       SOLE         2      270,800
COOPER COMPANIES,
   INC.                COM      216648402   2,754,406      55,510 SH       SOLE         1       55,510
COOPER COS INC/THE     EQUITY   216648402     324,511       7,021 SH       SOLE         2       11,690
COOPER TIRE + RUBBER   EQUITY   216831107   4,025,917     205,090 SH       SOLE         2      205,090
COPANO ENERGY L L C    COM      217202100     231,192        8450 SH       DEFINED      4                                8450
COPART INC             EQUITY   217204106   5,154,563     156,341 SH       SOLE         2      156,341
CORCEPT THERAPEUTICS
   INC                 EQUITY   218352102      81,585      20,973 SH       SOLE         2       39,410
CORE MARK HOLDING CO
   INC                 EQUITY   218681104     255,884       8,265 SH       SOLE         2       24,195
CORELOGIC INC          EQUITY   21871D103   4,368,576     228,005 SH       SOLE         2      228,005
CORINTHIAN COLLEGES
   INC                 EQUITY   218868107   1,817,211     258,862 SH       SOLE         2      258,862
CORN PRODUCTS INTL
   INC                 EQUITY   219023108   6,171,075     164,562 SH       SOLE         2      164,562
CORNING INC            COM      219350105   1,081,313  59152.7732 SH       DEFINED      4                          59152.7732
CORNING INC            EQUITY   219350105  15,743,559     861,245 SH       SOLE         2      861,245
CORPORATE EXECUTIVE
   BOARD               EQUITY   21988R102   3,176,861     100,661 SH       SOLE         2      100,661
CORPORATE OFFICE
   PROPERTIE           EQUITY   22002T108   4,838,585     129,686 SH       SOLE         2      129,686
CORRECTIONS CORP OF
   AMERIC              EQUITY   22025Y407   5,963,749     241,643 SH       SOLE         2      241,643
CORVEL CORP            EQUITY   221006109     264,846       6,239 SH       SOLE         2       12,288
COSTAR GROUP INC       EQUITY   22160N109     778,337      15,979 SH       SOLE         2       15,979
COSTCO WHOLESALE CORP  EQUITY   22160K105   9,850,461     152,744 SH       SOLE         2      152,744
COTT CORPORATION       EQUITY   22163N106   4,836,770     616,149 SH       SOLE         2      616,149
COUSINS PROPERTIES
   INC                 EQUITY   222795106   2,083,730     291,839 SH       SOLE         2      291,839





                                                                                 
COVANCE INC            EQUITY   222816100   6,607,309     141,212 SH       SOLE         2      141,212
COVENTRY HEALTH CARE
   INC                 EQUITY   222862104   1,201,288      55,796 SH       SOLE         2       55,796
COVIDIEN PLC           EQUITY   G2554F105   5,047,502     125,591 SH       SOLE         2      125,591
COWEN GROUP INC
   CLASS A             EQUITY   223622101      92,002      27,964 SH       SOLE         2       33,494
CR BARD INC            EQUITY   67383109    2,550,388      31,320 SH       SOLE         2       31,320
CRACKER BARREL OLD
   COUNTRY             EQUITY   22410J106   1,088,802      21,450 SH       SOLE         2       21,450
CRACKER BARREL OLD
   COUNTRY STORE INC   COM      22410J106     777,842      14,099 SH       SOLE         1       14,099
CRANE CO               EQUITY   224399105   3,860,054     101,741 SH       SOLE         2      101,741
CRAWFORD + CO   CL B   EQUITY   224633107      44,799      18,436 SH       SOLE         2       16,826
CRAY INC               EQUITY   225223304     180,893      27,408 SH       SOLE         2       26,103
CREDIT ACCEP CORP
   MICH                COM      225310101     216,865        3581 SH       DEFINED      4                                3581
CREDIT ACCEPTANCE
   CORP                EQUITY   225310101     262,709       4,338 SH       SOLE         2       19,892
CREDIT SUISSE ASSET
   MGMT INC            COM      224916106     103,340       28158 SH       DEFINED      4                               28158
CREE RESEARCH INC      EQUITY   225447101  14,481,858     266,750 SH       SOLE         2      266,750
CREXUS INVESTMENT
   CORP                EQUITY   226553105     125,750      10,453 SH       SOLE         2       34,655
CROCS INC              COM      227046109     820,220      51,847 SH       SOLE         1       51,847
CROCS INC              EQUITY   227046109   1,007,859      77,468 SH       SOLE         2       77,468
CROSS COUNTRY
   HEALTHCARE I        EQUITY   227483104     201,119      27,972 SH       SOLE         2       27,972
CROSS COUNTRY
   HEALTHCARE INC      COM      227483104     134,872      18,603 SH       SOLE         1       18,603
CROSSTEX ENERGY INC    EQUITY   22765Y104     245,516      31,078 SH       SOLE         2       31,078
CROWN CASTLE
   INTERNATIONAL       COM      228227104   4,888,993     114,819 SH       SOLE         1      114,819
CROWN CASTLE INTL
   CORP                EQUITY   228227104     220,662       4,998 SH       SOLE         2       34,732
CROWN MEDIA HOLDINGS
   CLASS               EQUITY   228411104      46,280      19,364 SH       SOLE         2       90,809
CRYOLIFE INC           EQUITY   228903100     156,424      25,770 SH       SOLE         2       22,189
CRYOLIFE INC.          COM      228903100     103,741      16,896 SH       SOLE         1       16,896
CSG SYSTEMS
   INTERNATIONAL, INC  COM      126349109     411,105      20,382 SH       SOLE         1       20,382
CSG SYSTEMS INTL INC   EQUITY   126349109     559,825      30,709 SH       SOLE         2       30,709
CSX CORP               COM      126408103     426,624   7711.9367 SH       DEFINED      4                           7711.9367
CSX CORP               COM      126408103     887,026      14,254 SH       SOLE         1       14,254
CSX CORP               EQUITY   126408103   6,660,196     120,394 SH       SOLE         2      120,394
CTS CORP               EQUITY   126501105     295,142      30,680 SH       SOLE         2       30,680
CTS CORP.              COM      126501105     213,133      20,533 SH       SOLE         1       20,533
CUBIC CORP             EQUITY   229669106     579,931      14,214 SH       SOLE         2       14,214
CUBIC CORP.            COM      229669106     423,150       9,439 SH       SOLE         1        9,439
CUBIST PHARMA INC      COM      229678107     829,080      35,295 SH       SOLE         1       35,295
CUBIST
   PHARMACEUTICALS
   INC                 EQUITY   229678107   1,233,659      52,743 SH       SOLE         2       52,743
CULLEN/FROST BANKERS
   INC                 EQUITY   229899109   7,139,337     132,529 SH       SOLE         2      132,529





                                                                                 
CUMMINS INC            EQUITY   231021106  10,435,994     115,213 SH       SOLE         2      115,213
CUMULUS MEDIA INC CL
   A                   EQUITY   231082108      47,320      16,840 SH       SOLE         2       19,532
CURIS INC              EQUITY   231269101      80,011      58,402 SH       SOLE         2       12,351
CURTISS WRIGHT CORP    EQUITY   231561101   1,253,844      41,381 SH       SOLE         2       41,381
CURTISS-WRIGHT CORP.   COM      231561101     851,055      27,569 SH       SOLE         1       27,569
CUSHING MLP TOTAL
   RETURN FD           COM      231631102     760,895       90475 SH       DEFINED      4                               90475
CUTERA INC             EQUITY   232109108      84,248      10,401 SH       SOLE         2       19,348
CVB FINANCIAL CORP     EQUITY   126600105     520,976      69,371 SH       SOLE         2       69,371
CVR ENERGY INC         EQUITY   12662P108     193,067      23,402 SH       SOLE         2       14,017
CVS CAREMARK CORP      EQUITY   126650100  31,814,471   1,010,946 SH       SOLE         2    1,010,946
CYBERONICS             COM      23251P102     384,137      14,371 SH       SOLE         1       14,371
CYBERONICS INC         EQUITY   23251P102     655,448      24,567 SH       SOLE         2       24,567
CYMER INC              EQUITY   232572107   1,003,385      27,060 SH       SOLE         2       27,060
CYMER, INC.            COM      232572107     681,233      17,676 SH       SOLE         1       17,676
CYPRESS BIOSCIENCE
   INC                 EQUITY   232674507     114,106      29,638 SH       SOLE         2       15,376
CYPRESS
   SEMICONDUCTOR CORP  EQUITY   232806109     296,083      23,536 SH       SOLE         2       23,536
CYPRESS
   SEMICONDUCTOR
   CORP.               COM      232806109   1,470,944      95,827 SH       SOLE         1       95,827
CYPRESS SHARPRIDGE
   INVESTM             EQUITY   23281A307     257,214      19,267 SH       SOLE         2       19,267
CYTEC INDUSTRIES INC   EQUITY   232820100   6,052,280     107,348 SH       SOLE         2      107,348
CYTOKINETICS INC       EQUITY   23282W100      94,655      35,854 SH       SOLE         2       16,702
CYTORI THERAPEUTICS
   INC                 EQUITY   23283K105     154,910      31,679 SH       SOLE         2       40,028
CYTRX CORP             EQUITY   232828301      63,206      84,286 SH       SOLE         2       40,660
D.R. HORTON INC        COM      23331A109     894,516      74,419 SH       SOLE         1       74,419
DAKTRONICS INC         EQUITY   234264109     301,533      30,706 SH       SOLE         2       30,706
DANA HOLDING CORP      EQUITY   235825205   1,331,854     108,105 SH       SOLE         2      108,105
DANAHER CORP           EQUITY   235851102  14,413,910     354,935 SH       SOLE         2      354,935
DANVERS BANCORP INC    EQUITY   236442109     223,052      14,550 SH       SOLE         2       14,550
DARDEN RESTAURANTS
   INC                 EQUITY   237194105   3,556,772      83,141 SH       SOLE         2       83,141
DARLING
   INTERNATIONAL INC   COM      237266101     508,223      49,342 SH       SOLE         1       49,342
DARLING
   INTERNATIONAL INC   EQUITY   237266101     633,138      74,312 SH       SOLE         2       74,312
DAVITA INC             EQUITY   23918K108   2,365,382      34,266 SH       SOLE         2       34,266
DCA TOTAL RETURN FD    COM      233066109      32,178       10550 SH       DEFINED      4                               10550
DCT INDUSTRIAL TRUST
   INC                 EQUITY   233153105     781,172     163,084 SH       SOLE         2      163,084
DDI CORP               EQUITY   233162502      94,368      10,213 SH       SOLE         2       15,552
DEALERTRACK HLDGS INC  COM      242309102     447,239      24,149 SH       SOLE         1       24,149
DEALERTRACK HOLDINGS
   INC                 EQUITY   242309102     620,875      36,351 SH       SOLE         2       36,351
DEAN FOODS CO          EQUITY   242370104     923,923      90,492 SH       SOLE         2       90,492
DEARBORN BANCORP INC   COM      24242R108      26,850       15000 SH       DEFINED      3                               15000
DECKERS OUTDOOR CORP   COM      243537107   1,449,899      23,141 SH       SOLE         1       23,141
DECKERS OUTDOOR CORP   EQUITY   243537107   1,742,905      34,886 SH       SOLE         2       34,886
DEERE + CO             EQUITY   244199105  13,353,101     191,360 SH       SOLE         2      191,360





                                                                                 
DELCATH SYSTEMS INC    EQUITY   24661P104     243,365      33,707 SH       SOLE         2       33,707
DELEK US HOLDINGS INC  EQUITY   246647101      75,116      10,491 SH       SOLE         2       10,653
DELL INC               EQUITY   24702R101  10,121,190     780,956 SH       SOLE         2      780,956
DELPHI FINANCIAL
   GROUP CL            EQUITY   247131105   1,092,688      43,725 SH       SOLE         2       43,725
DELPHI FINANCIAL
   GROUP, INC.,
   CLASS A             COM      247131105     914,736      32,472 SH       SOLE         1       32,472
DELTA AIR LINES INC    COM      247361702   2,604,706     184,862 SH       SOLE         1      184,862
DELTA AIR LINES INC    EQUITY   247361702     158,141      13,586 SH       SOLE         2       14,911
DELTA PETROLEUM CORP   EQUITY   247907207     112,353     142,834 SH       SOLE         2       20,506
DELTEK INC             EQUITY   24784L105     122,120      15,246 SH       SOLE         2       38,639
DELTIC TIMBER CORP     EQUITY   247850100     433,798       9,683 SH       SOLE         2       23,997
DELTIC TIMBER CORP.    COM      247850100     328,804       6,432 SH       SOLE         1        6,432
DELUXE CORP            COM      248019101     751,632      33,600 SH       SOLE         1       33,600
DELUXE CORP            EQUITY   248019101   2,885,761     150,850 SH       SOLE         2      150,850
DEMANDTEC INC          EQUITY   24802R506     138,892      14,760 SH       SOLE         2       46,042
DENBURY RESOURCES INC  EQUITY   247916208   2,667,804     167,892 SH       SOLE         2      167,892
DENDREON CORP          COM      24823Q107     483,865       11750 SH       DEFINED      4                               11750
DENNY S CORP           EQUITY   24869P104     238,329      76,633 SH       SOLE         2       76,633
DENTSPLY
   INTERNATIONAL INC   EQUITY   249030107   1,778,939      55,644 SH       SOLE         2       55,644
DEPOMED INC            EQUITY   249908104     181,207      40,448 SH       SOLE         2       11,470
DEUTSCHE BK AG LDN
   BRH                 COM      25154H749     493,957       13474 SH       DEFINED      3                               13474
DEVON ENERGY
   CORPORATION         EQUITY   25179M103  17,079,448     263,816 SH       SOLE         2      263,816
DEVRY INC              EQUITY   251893103   1,040,742      21,149 SH       SOLE         2       21,149
DEVRY, INC.            COM      251893103   1,903,383      40,105 SH       SOLE         1       40,105
DEX ONE CORP           EQUITY   25212W100     474,364      38,629 SH       SOLE         2       38,629
DEXCOM INC             EQUITY   252131107     586,452      44,361 SH       SOLE         2       44,361
DG FASTCHANNEL INC     COM      23326R109     676,871     31120.5 SH       DEFINED      4                             31120.5
DG FASTCHANNEL INC     COM      23326R109     396,224      14,637 SH       SOLE         1       14,637
DG FASTCHANNEL INC     EQUITY   23326R109     489,593      22,510 SH       SOLE         2       22,510
DHT HOLDINGS INC       EQUITY   Y2065G105     155,263      37,594 SH       SOLE         2       11,065
DIAMOND FOODS INC      COM      252603105   1,479,170      32,951 SH       SOLE         1       32,951
DIAMOND FOODS INC      EQUITY   252603105     806,109      19,666 SH       SOLE         2       19,666
DIAMOND MANAGEMENT +
   TECHN               EQUITY   25269L106     224,300      17,944 SH       SOLE         2       17,944
DIAMOND OFFSHORE
   DRILLING            COM      25271C102   1,043,506      14,435 SH       SOLE         1       14,435
DIAMOND OFFSHORE
   DRILLING            EQUITY   25271C102   2,941,421      43,403 SH       SOLE         2       43,403
DIAMOND OFFSHORE
   DRILLING IN         COM      25271C102     449,661   6635.1001 SH       DEFINED      4                           6635.1001
DIAMONDROCK
   HOSPITALITY CO      COM      252784301   1,036,153      95,498 SH       SOLE         1       95,498
DIAMONDROCK
   HOSPITALITY CO      EQUITY   252784301   1,320,742     139,172 SH       SOLE         2      139,172
DICE HOLDINGS INC      EQUITY   253017107     103,948      12,258 SH       SOLE         2       39,884
DICK S SPORTING
   GOODS INC           EQUITY   253393102   5,387,662     192,142 SH       SOLE         2      192,142
DIEBOLD INC            EQUITY   253651103   4,462,472     143,534 SH       SOLE         2      143,534
DIGI INTERNATIONAL





                                                                                 
   INC                 COM      253798102     155,223      14,954 SH       SOLE         1       14,954
DIGI INTERNATIONAL
   INC                 EQUITY   253798102     213,307      22,477 SH       SOLE         2       22,477
DIGITAL REALTY TRUST
   INC                 COM      253868103   1,669,989      30,380 SH       SOLE         1       30,380
DIGITAL RIVER INC      EQUITY   25388B104   3,962,290     116,401 SH       SOLE         2      116,401
DIGITALGLOBE INC       EQUITY   25389M877     647,550      21,301 SH       SOLE         2       21,301
DILLARDS INC CL A      EQUITY   254067101     791,656      33,488 SH       SOLE         2       33,488
DIME COMMUNITY
   BANCSHARES          COM      253922108     250,520      16,536 SH       SOLE         1       16,536
DIME COMMUNITY
   BANCSHARES          EQUITY   253922108     335,170      24,200 SH       SOLE         2       24,200
DINEEQUITY INC         COM      254423106     474,124       9,226 SH       SOLE         1        9,226
DINEEQUITY INC         EQUITY   254423106     712,213      15,834 SH       SOLE         2       15,834
DIODES INC             COM      254543101     499,044      21,492 SH       SOLE         1       21,492
DIODES INC             EQUITY   254543101     526,851      30,828 SH       SOLE         2       30,828
DIONEX CORP            EQUITY   254546104   1,371,803      15,870 SH       SOLE         2       15,870
DIONEX CORP.           COM      254546104     965,315      10,446 SH       SOLE         1       10,446
DIRECTV                COM      25490A101   2,186,728      51,056 SH       SOLE         1       51,056
DIRECTV CLASS A        EQUITY   25490A101  17,167,504     412,383 SH       SOLE         2      412,383
DISCOVER FINANCIAL
   SERVICE             EQUITY   254709108   7,605,963     455,993 SH       SOLE         2      455,993
DISCOVER FINANCIAL
   SERVICES            COM      254709108   1,922,372     101,498 SH       SOLE         1      101,498
DISCOVERY
   COMMUNICATIONS A    EQUITY   25470F104   5,046,051     115,868 SH       SOLE         2      115,868
DISCOVERY
   COMMUNICATIONS INC  COM      25470F104   1,421,700      34,701 SH       SOLE         1       34,701
DISH NETWORK CORP A    EQUITY   25470M109     325,854      17,007 SH       SOLE         2       17,007
DISNEY WALT CO         COM      254687106     295,517        8928 SH       DEFINED      4                                8928
DIVX INC               EQUITY   255413106     242,072      25,401 SH       SOLE         2       25,401
DOLAN CO               COM      25659P402     227,168      18,320 SH       SOLE         1       18,320
DOLAN CO/THE           EQUITY   25659P402     310,879      27,342 SH       SOLE         2       27,342
DOLBY LABORATORIES
   INC-CL A            COM      25659T107   1,281,517      18,511 SH       SOLE         1       18,511
DOLE FOOD CO INC       EQUITY   256603101     253,757      27,733 SH       SOLE         2       27,733
DOLLAR FINANCIAL CORP  EQUITY   256664103     392,189      18,792 SH       SOLE         2       18,792
DOLLAR THRIFTY
   AUTOMOTIVE          EQUITY   256743105   1,109,247      22,123 SH       SOLE         2       22,123
DOLLAR TREE INC        EQUITY   256746108  13,501,059     276,888 SH       SOLE         2      276,888
DOMINION RES INC VA
   NEW                 COM      25746U109     450,571       10320 SH       DEFINED      4                               10320
DOMINION RESOURCES
   INC/VA              EQUITY   25746U109   8,177,343     187,296 SH       SOLE         2      187,296
DOMINION RESOURCES,
   INC.                COM      25746U109     499,758      11,598 SH       SOLE         1       11,598
DOMINO S PIZZA INC     EQUITY   25754A201   2,741,352     207,364 SH       SOLE         2      207,364
DOMINO'S PIZZA INC     COM      25754A201     350,040      22,627 SH       SOLE         1       22,627
DONALDSON CO INC       EQUITY   257651109   7,853,083     166,626 SH       SOLE         2      166,626
DORAL FINANCIAL CORP   EQUITY   25811P886      24,153      14,550 SH       SOLE         2       12,844
DORMAN PRODUCTS INC    EQUITY   258278100     269,552       8,746 SH       SOLE         2       11,812
DOVER CORP             EQUITY   260003108   3,278,997      62,804 SH       SOLE         2       62,804
DOVER CORP.            COM      260003108   4,271,246      78,314 SH       SOLE         1       78,314
DOW CHEM CO            COM      260543103     254,985   9285.6758 SH       DEFINED      4                           9285.6758





                                                                                 
DOW CHEMICAL           EQUITY   260543103  10,123,239     368,654 SH       SOLE         2      368,654
DOW CHEMICAL CO.       COM      260543103   7,863,832     243,086 SH       SOLE         1      243,086
DPL INC                EQUITY   233293109   6,798,634     260,185 SH       SOLE         2      260,185
DR HORTON INC          EQUITY   23331A109   1,071,979      96,401 SH       SOLE         2       96,401
DR PEPPER SNAPPLE
   GROUP IN            EQUITY   2.61E+113   3,454,782      97,263 SH       SOLE         2       97,263
DR PEPPER SNAPPLE
   GROUP INC           COM      2.61E+113   3,514,277      96,071 SH       SOLE         1       96,071
DREAMWORKS ANIMATION
   SKG A               EQUITY   26153C103   4,986,799     156,277 SH       SOLE         2      156,277
DRESS BARN INC         EQUITY   261570105   4,642,056     195,455 SH       SOLE         2      195,455
DREW INDUSTRIES INC    COM      26168L205     230,974      11,440 SH       SOLE         1       11,440
DREW INDUSTRIES INC    EQUITY   26168L205     358,542      17,188 SH       SOLE         2       17,188
DREYFUS STRATEGIC
   MUN BD FD           COM      26202F107     741,114  84990.1044 SH       DEFINED      4                          84990.1044
DRIL QUIP INC          EQUITY   262037104   7,096,999     114,265 SH       SOLE         2      114,265
DRUGSTORE.COM INC      EQUITY   262241102     137,589      71,661 SH       SOLE         2       13,742
DSP GROUP INC          EQUITY   23332B106     146,265      20,895 SH       SOLE         2       11,141
DSP GROUP, INC. COM    COM      23332B106     107,794      13,963 SH       SOLE         1       13,963
DST SYS INC DEL        COM      233326107     717,888       16010 SH       DEFINED      4                               16010
DST SYSTEMS INC        EQUITY   233326107   3,520,344      78,509 SH       SOLE         2       78,509
DSW INC CLASS A        EQUITY   23334L102     313,347      10,918 SH       SOLE         2       10,918
DTE ENERGY COMPANY     EQUITY   233331107   2,645,890      57,607 SH       SOLE         2       57,607
DTS INC                COM      23335C101     433,744      10,254 SH       SOLE         1       10,254
DTS INC                EQUITY   23335C101     597,437      15,652 SH       SOLE         2       15,652
DU PONT (E.I.) DE
   NEMOURS             EQUITY   263534109  30,174,230     676,249 SH       SOLE         2      676,249
DU PONT E I DE
   NEMOURS & CO        COM      263534109     257,814        5778 SH       DEFINED      4                                5778
DUFF & PHELPS UTIL
   CORP BD T           COM      26432K108     160,256       12520 SH       DEFINED      4                               12520
DUFF + PHELPS CORP
   CLASS A             EQUITY   26433B107     283,692      21,061 SH       SOLE         2       21,061
DUKE ENERGY CORP       COM      26441C105   5,609,668     304,377 SH       SOLE         1      304,377
DUKE ENERGY CORP       EQUITY   26441C105   9,646,017     544,665 SH       SOLE         2      544,665
DUKE ENERGY CORP NEW   COM      26441C105     218,087  12314.3266 SH       DEFINED      4                          12314.3266
DUKE REALTY CORP       COM      264411505     272,365       23500 SH       DEFINED      4                               23500
DUKE REALTY CORP       EQUITY   264411505   6,376,656     550,186 SH       SOLE         2      550,186
DUN + BRADSTREET CORP  EQUITY   2.65E+104   1,237,100      16,686 SH       SOLE         2       16,686
DUPONT FABROS
   TECHNOLOGY          EQUITY   26613Q106     795,570      31,633 SH       SOLE         2       31,633
DURECT CORPORATION     EQUITY   266605104     170,244      67,025 SH       SOLE         2       20,533
DYAX CORP              COM      2.67E+107      35,550       15000 SH       DEFINED      4                               15000
DYAX CORP              EQUITY   2.67E+107     178,809      75,447 SH       SOLE         2       16,702
DYCOM INDUSTRIES INC   EQUITY   267475101     347,802      34,815 SH       SOLE         2       34,815
DYCOM INDUSTRIES,
   INC.                COM      267475101     264,050      22,921 SH       SOLE         1       22,921
DYNAMIC MATERIALS
   CORP                EQUITY   267888105     151,236      10,009 SH       SOLE         2       14,245
DYNAVAX TECHNOLOGIES
   CORP                EQUITY   268158102     101,190      55,295 SH       SOLE         2       37,080
DYNEGY INC             EQUITY   26817G300   1,466,294     301,087 SH       SOLE         2      301,087
DYNEX CAPITAL INC      EQUITY   26817Q506     134,017      12,432 SH       SOLE         2       34,571
E M C CORP MASS        COM      268648102     317,892       15652 SH       DEFINED      4                               15652





                                                                                 
E TRADE FINANCIAL
   CORP                EQUITY   269246401   1,226,507      84,354 SH       SOLE         2       84,354
EAGLE BANCORP INC      EQUITY   268948106     145,704      12,692 SH       SOLE         2       13,151
EAGLE BULK SHIPPING
   INC                 EQUITY   Y2187A101     250,466      47,982 SH       SOLE         2       47,982
EAGLE MATERIALS INC    COM      26969P108     709,749      26,424 SH       SOLE         1       26,424
EARTHLINK INC          EQUITY   270321102     757,633      83,348 SH       SOLE         2       83,348
EAST WEST BANCORP      COM      27579R104   1,661,160      88,548 SH       SOLE         1       88,548
EAST WEST BANCORP INC  EQUITY   27579R104  12,157,937     746,802 SH       SOLE         2      746,802
EASTGROUP PROPERTIES
   INC                 EQUITY   277276101     907,773      24,285 SH       SOLE         2       24,285
EASTGROUP
   PROPERTIES, INC.    COM      277276101     629,749      15,182 SH       SOLE         1       15,182
EASTMAN CHEMICAL CO.   COM      277432100   1,235,966      15,498 SH       SOLE         1       15,498
EASTMAN CHEMICAL
   COMPANY             EQUITY   277432100   1,818,328      24,572 SH       SOLE         2       24,572
EASTMAN KODAK CO       EQUITY   277461109   1,231,142     293,129 SH       SOLE         2      293,129
EATON CORP             EQUITY   278058102   4,701,930      57,000 SH       SOLE         2       57,000
EATON CORP.            COM      278058102   1,506,644      16,138 SH       SOLE         1       16,138
EATON VANCE CALIF
   MUN BD FD           COM      27828A100     258,531  19438.4372 SH       DEFINED      4                          19438.4372
EATON VANCE CORP       EQUITY   278265103   7,481,778     257,637 SH       SOLE         2      257,637
EATON VANCE MUN BD FD  COM      27827X101     322,550       23205 SH       DEFINED      3                               23205
EATON VANCE MUNI
   INCOME TRUS         COM      27826U108     424,760       32800 SH       DEFINED      3                               32800
EATON VANCE SR FLTNG
   RTE TR              COM      27828Q105     161,058       10265 SH       DEFINED      4                               10265
EATON VANCE TAX MNG
   GBL DV E            COM      27829F108     226,961       20746 SH       DEFINED      3                               20746
EATON VANCE TX MNG
   BY WRT OP           COM      27828Y108   2,160,906 158773.4126 SH       DEFINED      3                         158773.4126
EATON VANCE TX MNG
   BY WRT OP           COM      27828Y108 172301.8841  12659.9474 SH       DEFINED      4                          12659.9474
EATON VANCE TXMGD GL
   BUYWR O             COM      27829C105     347,734       27040 SH       DEFINED      3                               27040
EBAY INC               EQUITY   278642103  13,385,718     548,595 SH       SOLE         2      548,595
EBIX INC               COM      278715206     544,416      20,716 SH       SOLE         1       20,716
EBIX INC               EQUITY   278715206     591,831      25,238 SH       SOLE         2       25,238
ECHELON CORP           EQUITY   27874N105     217,811      25,475 SH       SOLE         2       25,475
ECOLAB INC             EQUITY   278865100   5,177,814     102,046 SH       SOLE         2      102,046
EDISON INTERNATIONAL   EQUITY   281020107   3,821,829     111,132 SH       SOLE         2      111,132
EDUCATION REALTY
   TRUST INC           EQUITY   28140H104     314,364      43,967 SH       SOLE         2       43,967
EDWARDS LIFESCIENCES
   CORP                EQUITY   2.82E+112  16,577,978     247,248 SH       SOLE         2      247,248
EHEALTH INC            COM      28238P109     201,064      14,090 SH       SOLE         1       14,090
EHEALTH INC            EQUITY   28238P109     274,098      21,215 SH       SOLE         2       21,215
EI DU PONT DE
   NEMOURS & CO        COM      263534109   3,613,239      74,700 SH       SOLE         1       74,700
EL PASO CORP           EQUITY   28336L109   6,008,187     485,314 SH       SOLE         2      485,314
EL PASO ELECTRIC CO    EQUITY   283677854     937,503      39,424 SH       SOLE         2       39,424
EL PASO ELECTRIC CO.   COM      283677854     687,275      26,043 SH       SOLE         1       26,043
ELECTRO RENT CORP      EQUITY   285218103     169,214      12,742 SH       SOLE         2       19,418
ELECTRO SCIENTIFIC





                                                                                 
   INDS IN             EQUITY   285229100     271,706      24,456 SH       SOLE         2       24,456
ELECTRO SCIENTIFIC
   INDUSTRIES,         COM      285229100     186,801      14,227 SH       SOLE         1       14,227
ELECTRONIC ARTS INC    EQUITY   285512109   2,130,593     129,677 SH       SOLE         2      129,677
ELECTRONICS FOR
   IMAGING             EQUITY   286082102     423,824      34,969 SH       SOLE         2       34,969
ELI LILLY + CO         EQUITY   532457108  23,848,793     652,855 SH       SOLE         2      652,855
ELI LILLY AND CO.      COM      532457108   2,561,091      71,679 SH       SOLE         1       71,679
ELIZABETH ARDEN INC    EQUITY   28660G106     374,912      18,755 SH       SOLE         2       18,755
EMC CORP/MASS          EQUITY   268648102  30,517,095   1,502,565 SH       SOLE         2    1,502,565
EMCOR GROUP INC        EQUITY   29084Q100   1,470,310      59,793 SH       SOLE         2       59,793
EMCOR GROUP, INC.      COM      29084Q100   1,071,503      39,700 SH       SOLE         1       39,700
EMERGENT
   BIOSOLUTIONS INC    COM      29089Q105     227,604      12,859 SH       SOLE         1       12,859
EMERGENT
   BIOSOLUTIONS INC    EQUITY   29089Q105     295,767      17,136 SH       SOLE         2       17,136
EMERITUS CORP          EQUITY   291005106     262,980      15,415 SH       SOLE         2       15,415
EMERSON ELECTRIC CO    EQUITY   291011104  17,255,892     327,685 SH       SOLE         2      327,685
EMERSON ELECTRIC CO.   COM      291011104     775,627      13,641 SH       SOLE         1       13,641
EMPIRE DISTRICT
   ELECTRIC C          EQUITY   291641108     624,710      31,003 SH       SOLE         2       31,003
EMPIRE RESORTS INC     EQUITY   292052107      21,739      19,585 SH       SOLE         2       13,872
EMPLOYERS HOLDINGS
   INC                 COM      292218104     395,021      24,566 SH       SOLE         1       24,566
EMPLOYERS HOLDINGS
   INC                 EQUITY   292218104     604,164      38,311 SH       SOLE         2       38,311
EMS TECHNOLOGIES INC   EQUITY   26873N108     257,019      13,796 SH       SOLE         2       13,796
EMULEX CORP            EQUITY   292475209     654,024      62,646 SH       SOLE         2       62,646
ENBRIDGE ENERGY
   PARTNERS L P        COM      29250R106     331,606        5930 SH       DEFINED      4                                5930
ENBRIDGE INC           COM      29250N105     965,404      17,183 SH       SOLE         1       17,183
ENCANA CORP            COM      292505104   1,031,367      34,954 SH       SOLE         1       34,954
ENCORE CAPITAL GROUP
   INC                 EQUITY   292554102     193,931      10,762 SH       SOLE         2       14,298
ENCORE WIRE CORP       COM      292562105     250,797      11,374 SH       SOLE         1       11,374
ENCORE WIRE CORP       EQUITY   292562105     343,809      16,763 SH       SOLE         2       16,763
ENDEAVOUR
   INTERNATIONAL CO    EQUITY   29259G101     140,496     108,912 SH       SOLE         2       16,274
ENDO PHARMACEUT
   HLDGS INC           EQUITY   29264F205   8,390,374     252,418 SH       SOLE         2      252,418
ENDO PHARMACEUTICALS   COM      29264F205   1,029,604      28,784 SH       SOLE         1       28,784
ENDOLOGIX INC          EQUITY   29266S106     171,388      37,585 SH       SOLE         2       13,224
ENER1 INC              EQUITY   29267A203     173,243      47,077 SH       SOLE         2       14,475
ENERGEN CORP           COM      29265N108   2,344,316      50,666 SH       SOLE         1       50,666
ENERGEN CORP           EQUITY   29265N108   7,186,361     157,182 SH       SOLE         2      157,182
ENERGIZER HOLDINGS
   INC                 EQUITY   29266R108  10,321,956     153,532 SH       SOLE         2      153,532
ENERGY CONVERSION
   DEVICES             EQUITY   292659109     177,427      35,344 SH       SOLE         2       32,853
ENERGY PARTNERS LTD    EQUITY   29270U303     268,303      22,340 SH       SOLE         2       22,340
ENERGY RECOVERY INC    EQUITY   29270J100     113,796      31,698 SH       SOLE         2       20,776
ENERGY SELECT SECTOR
   SPDR FUND           COM      81369Y506     956,250      15,300 SH       SOLE         1       15,300
ENERGY TRANSFER





                                                                                 
   EQUITY LP           COM      29273V100   5,827,368     145,466 SH       SOLE         1      145,466
ENERGY TRANSFER
   PRTNRS L P          COM      29273R109   1,371,181  28400.5953 SH       DEFINED      4                          28400.5953
ENERGY XXI BERMUDA     EQUITY   G10082140     903,693      39,104 SH       SOLE         2       39,104
ENERGYSOLUTIONS INC
   DEP SH              EQUITY   292756202     343,806      68,351 SH       SOLE         2       68,351
ENERNOC INC            EQUITY   292764107     477,809      15,212 SH       SOLE         2       15,212
ENERPLUS RESOURCES
   FUND                COM      29274D604   3,089,481     105,849 SH       SOLE         1      105,849
ENERSYS                EQUITY   29275Y102     930,907      37,281 SH       SOLE         2       37,281
ENNIS INC              EQUITY   293389102     357,818      20,001 SH       SOLE         2       20,001
ENPRO INDUSTRIES INC   COM      29355X107     452,012      12,303 SH       SOLE         1       12,303
ENPRO INDUSTRIES INC   EQUITY   29355X107     579,994      18,542 SH       SOLE         2       18,542
ENSIGN GROUP INC/THE   EQUITY   29358P101     228,898      12,752 SH       SOLE         2       12,752
ENSTAR GROUP LTD       EQUITY   G3075P101     390,152       5,374 SH       SOLE         2       64,772
ENTEGRIS INC           EQUITY   29362U104   2,931,238     627,674 SH       SOLE         2      627,674
ENTERCOM
   COMMUNICATIONS CL   EQUITY   293639100     142,785      18,166 SH       SOLE         2       68,401
ENTERGY ARKANSAS INC   COM      29364G103   1,123,111      14,933 SH       SOLE         1       14,933
ENTERGY CORP           EQUITY   29364G103   4,545,652      59,397 SH       SOLE         2       59,397
ENTERPRISE FINANCIAL
   SERVI               EQUITY   293712105     106,690      11,472 SH       SOLE         2       10,261
ENTERPRISE PRODS
   PARTNERS L          COM      293792107     810,601  20433.6085 SH       DEFINED      4                          20433.6085
ENTERTAINMENT
   PROPERTIES T        EQUITY   29380T105   1,809,933      41,916 SH       SOLE         2       41,916
ENTERTAINMENT
   PROPERTIES TRUST    COM      29380T105   1,337,486      26,960 SH       SOLE         1       26,960
ENTRAVISION
   COMMUNICATIONS      EQUITY   29382R107      74,671      37,523 SH       SOLE         2       33,464
ENTROPIC
   COMMUNICATIONS IN   EQUITY   29384R105   4,626,125     481,888 SH       SOLE         2      481,888
ENTROPIC
   COMMUNICATIONS INC  COM      29384R105   1,177,826     128,865 SH       SOLE         1      128,865
ENZO BIOCHEM INC       EQUITY   294100102     114,239      30,063 SH       SOLE         2       35,679
ENZO BIOCHEM, INC.     COM      294100102      93,839      20,224 SH       SOLE         1       20,224
ENZON
   PHARMACEUTICALS
   INC                 EQUITY   293904108     430,324      38,251 SH       SOLE         2       38,251
EOG RESOURCES INC      EQUITY   26875P101   9,808,428     105,501 SH       SOLE         2      105,501
EPICOR SOFTWARE CORP   EQUITY   29426L108     380,764      43,766 SH       SOLE         2       43,766
EPICOR SOFTWARE
   CORPORATION         COM      29426L108     264,925      27,654 SH       SOLE         1       27,654
EPIQ SYSTEMS INC       COM      26882D109     253,656      20,325 SH       SOLE         1       20,325
EPIQ SYSTEMS INC       EQUITY   26882D109     363,975      29,688 SH       SOLE         2       29,688
EPOCH HOLDING CORP     EQUITY   29428R103     131,183      10,185 SH       SOLE         2       23,448
EQT CORP               EQUITY   26884L109   3,531,644      97,938 SH       SOLE         2       97,938
EQUIFAX INC            EQUITY   294429105   1,328,590      42,583 SH       SOLE         2       42,583
EQUINIX INC            COM      29444U502  12,983,589     152,892 SH       SOLE         1      152,892
EQUINIX INC            EQUITY   29444U502  31,267,311     305,494 SH       SOLE         2      305,494
EQUITY LIFESTYLE
   PROPERTIE           EQUITY   29472R108   1,100,387      20,198 SH       SOLE         2       20,198
EQUITY ONE INC         EQUITY   294752100   1,997,174     118,316 SH       SOLE         2      118,316
EQUITY RESIDENTIAL     EQUITY   29476L107   5,992,107     125,964 SH       SOLE         2      125,964





                                                                                 
ERESEARCH TECHNOLOGY
   INC                 EQUITY   29481V108     323,503      43,249 SH       SOLE         2       43,249
ERESEARCHTECHNOLOGY
   IN                  COM      29481V108     183,426      25,726 SH       SOLE         1       25,726
ESCO ELECTRONICS CORP  COM      296315104     583,962      15,847 SH       SOLE         1       15,847
ESCO TECHNOLOGIES INC  EQUITY   296315104     793,284      23,851 SH       SOLE         2       23,851
ESSA BANCORP INC       EQUITY   29667D104     129,790      10,962 SH       SOLE         2       11,349
ESSEX PROPERTY TRUST
   INC                 EQUITY   297178105   7,248,758      66,235 SH       SOLE         2       66,235
ESTEE LAUDER
   COMPANIES CL        EQUITY   518439104   3,396,336      53,714 SH       SOLE         2       53,714
ESTERLINE
   TECHNOLOGIES COR    EQUITY   297425100   1,541,032      26,927 SH       SOLE         2       26,927
ESTERLINE
   TECHNOLOGIES CORP.  COM      297425100   1,131,354      17,998 SH       SOLE         1       17,998
ETHAN ALLEN INTERIOR   COM      297602104     274,652      17,198 SH       SOLE         1       17,198
ETHAN ALLEN
   INTERIORS INC       EQUITY   297602104     397,442      22,763 SH       SOLE         2       22,763
EURAND NV              EQUITY   N31010106     139,000      14,126 SH       SOLE         2       26,995
EURONET WORLDWIDE INC  EQUITY   298736109     681,209      37,866 SH       SOLE         2       37,866
EVERCORE PARTNERS
   INC CL A            EQUITY   29977A105     345,838      12,088 SH       SOLE         2       12,088
EVEREST RE GROUP LTD   EQUITY   G3223R108  10,642,382     123,076 SH       SOLE         2      123,076
EVERGREEN SOLAR INC    EQUITY   30033R108     109,092     148,627 SH       SOLE         2       14,206
EVOLUTION PETROLEUM
   CORP                EQUITY   30049A107      68,550      11,406 SH       SOLE         2       27,417
EW SCRIPPS CO          COM      811054402     167,242      18,238 SH       SOLE         1       18,238
EW SCRIPPS CO CL A     EQUITY   811054402     223,697      28,388 SH       SOLE         2       28,388
EXACT SCIENCES CORP    EQUITY   30063P105     198,651      27,438 SH       SOLE         2       16,699
EXAR CORP              EQUITY   300645108     201,186      33,587 SH       SOLE         2       33,587
EXAR CORP.             COM      300645108     181,639      26,478 SH       SOLE         1       26,478
EXCEL MARITIME
   CARRIERS LT         EQUITY   V3267N107     172,742      30,737 SH       SOLE         2       17,446
EXCEL TRUST INC        EQUITY   30068C109     130,529      11,582 SH       SOLE         2       15,786
EXCO RESOURCES INC     COM      269279402  70,472,145   3,760,520 SH       SOLE         1    3,760,520
EXELIXIS INC           EQUITY   30161Q104     328,716      83,856 SH       SOLE         2       83,856
EXELON CORP            COM      30161N101     572,050  13434.7124 SH       DEFINED      4                          13434.7124
EXELON CORP            COM      30161N101   7,881,016     190,639 SH       SOLE         1      190,639
EXELON CORP            EQUITY   30161N101  11,315,294     265,742 SH       SOLE         2      265,742
EXIDE TECHNOLOGIES     EQUITY   302051206     279,626      58,377 SH       SOLE         2       58,377
EXLSERVICE HOLDINGS
   INC                 EQUITY   302081104     228,187      11,732 SH       SOLE         2       11,732
EXPEDIA INC            COM      30212P105   1,440,536      51,411 SH       SOLE         1       51,411
EXPEDIA INC            EQUITY   30212P105   2,968,313     105,222 SH       SOLE         2      105,222
EXPEDITORS INTL WASH
   INC                 EQUITY   302130109   5,866,217     126,892 SH       SOLE         2      126,892
EXPONENT INC           COM      30214U102     286,253       8,302 SH       SOLE         1        8,302
EXPONENT INC           EQUITY   30214U102     419,606      12,492 SH       SOLE         2       12,492
EXPRESS INC            EQUITY   3.02E+107     187,676      12,339 SH       SOLE         2       21,826
EXPRESS SCRIPTS INC    EQUITY   302182100  26,113,330     536,208 SH       SOLE         2      536,208
EXPRESS SCRIPTS, INC.  COM      302182100   9,002,744     169,735 SH       SOLE         1      169,735
EXTERRAN HOLDINGS INC  COM      30225X103     219,718       9,951 SH       SOLE         1        9,951
EXTERRAN HOLDINGS INC  EQUITY   30225X103   3,139,158     138,228 SH       SOLE         2      138,228
EXTRA SPACE STORAGE





                                                                                 
   INC                 COM      30225T102     938,484      54,754 SH       SOLE         1       54,754
EXTRA SPACE STORAGE
   INC                 EQUITY   30225T102   1,261,658      78,657 SH       SOLE         2       78,657
EXTREME NETWORKS INC   EQUITY   30226D106     216,167      69,507 SH       SOLE         2       69,507
EXXON MOBIL CORP       COM      30231G102   8,128,236 131546.1357 SH       DEFINED      4                         131546.1357
EXXON MOBIL CORP       EQUITY   30231G102 112,348,246   1,818,227 SH       SOLE         2    1,818,227
EXXON MOBIL CORP.      COM      30231G102  31,906,716     453,736 SH       SOLE         1      453,736
EZCORP INC             COM      302301106     736,889      29,452 SH       SOLE         1       29,452
EZCORP INC CL A        EQUITY   302301106     842,041      42,018 SH       SOLE         2       42,018
F5 NETWORKS INC        COM      315616102   1,016,458       8,276 SH       SOLE         1        8,276
F5 NETWORKS INC        EQUITY   315616102  18,830,926     181,398 SH       SOLE         2      181,398
FACTSET RESEARCH
   SYSTEMS I           EQUITY   303075105   8,194,211     101,001 SH       SOLE         2      101,001
FAIR ISAAC CORP        EQUITY   303250104   3,021,195     122,514 SH       SOLE         2      122,514
FAIRCHILD SEMICON
   INTERNAT            EQUITY   303726103   2,564,367     272,805 SH       SOLE         2      272,805
FALCONSTOR SOFTWARE
   INC                 EQUITY   306137100      69,652      22,762 SH       SOLE         2       22,796
FAMILY DOLLAR STORES   EQUITY   307000109   1,963,619      44,466 SH       SOLE         2       44,466
FARO TECHNOLOGIES INC  COM      311642102     269,862       9,669 SH       SOLE         1        9,669
FARO TECHNOLOGIES INC  EQUITY   311642102     317,314      14,549 SH       SOLE         2       14,549
FASTENAL CO            EQUITY   311900104   4,304,879      80,934 SH       SOLE         2       80,934
FBL FINANCIAL GROUP
   INC CL              EQUITY   30239F106     269,257      10,364 SH       SOLE         2       10,364
FBR CAPITAL MARKETS
   CORP                EQUITY   30247C301     127,484      40,600 SH       SOLE         2       10,229
FEDERAL REALTY INVS
   TRUST               EQUITY   313747206  10,951,749     134,114 SH       SOLE         2      134,114
FEDERAL SIGNAL CORP    COM      313855108     226,047      37,240 SH       SOLE         1       37,240
FEDERAL SIGNAL CORP    EQUITY   313855108     367,458      68,174 SH       SOLE         2       68,174
FEDERATED INVESTORS
   INC                 COM      314211103     465,119      18,319 SH       SOLE         1       18,319
FEDERATED INVESTORS
   INC CL              EQUITY   314211103     702,692      30,874 SH       SOLE         2       30,874
FEDEX CORP             EQUITY   31428X106  14,837,072     173,533 SH       SOLE         2      173,533
FEDEX CORPORATION      COM      31428X106   1,161,748      12,864 SH       SOLE         1       12,864
FEI COMPANY            COM      30241L109     511,302      22,826 SH       SOLE         1       22,826
FEI COMPANY            EQUITY   30241L109     670,801      34,277 SH       SOLE         2       34,277
FELCOR LODGING TRUST
   INC                 EQUITY   31430F101     344,798      74,956 SH       SOLE         2       74,956
FEMALE HEALTH COMPANY  EQUITY   314462102      70,931      13,773 SH       SOLE         2       14,344
FERRO CORP             COM      315405100   1,117,984      73,600 SH       SOLE         1       73,600
FERRO CORP             EQUITY   315405100     857,443      66,520 SH       SOLE         2       66,520
FIBERTOWER CORP        EQUITY   31567R209     163,617      38,589 SH       SOLE         2       16,597
FIDELITY NATIONAL
   FINL A              EQUITY   31620R105   7,827,837     498,271 SH       SOLE         2      498,271
FIDELITY NATIONAL
   INFORMAT            EQUITY   31620M106   2,458,304      90,612 SH       SOLE         2       90,612
FIDUCIARY CLAYMORE
   MLP OPP F           COM      31647Q106   1,310,111       67671 SH       DEFINED      3                               67671
FIFTH STREET FINANCE
   CORP                EQUITY   31678A103   5,756,907     516,778 SH       SOLE         2      516,778
FIFTH THIRD BANCORP    COM      316773100   3,994,331     306,079 SH       SOLE         1      306,079
FIFTH THIRD BANCORP    EQUITY   316773100   3,268,539     271,699 SH       SOLE         2      271,699





                                                                                 
FINISAR CORPORATION    EQUITY   31787A507   3,412,546     181,615 SH       SOLE         2      181,615
FINISH LINE, INC.      COM      317923100     520,538      32,554 SH       SOLE         1       32,554
FINISH LINE/THE   CL
   A                   EQUITY   317923100  10,906,553     784,080 SH       SOLE         2      784,080
FIRST AMERICAN
   FINANCIAL           EQUITY   31847R102   4,564,857     305,546 SH       SOLE         2      305,546
FIRST BANCORP PUERTO
   RICO                EQUITY   318672102      31,526     112,593 SH       SOLE         2       23,963
FIRST BANCORP/NC       EQUITY   318910106     157,434      11,559 SH       SOLE         2       14,095
FIRST BANCORP/PUERTO
   RICO                COM      318672102      62,764     190,195 SH       SOLE         1      190,195
FIRST BUSEY CORP       EQUITY   319383105     183,761      40,387 SH       SOLE         2      102,510
FIRST CASH FINL SVCS
   INC                 COM      31942D107   1,540,666      51,117 SH       SOLE         1       51,117
FIRST CASH FINL SVCS
   INC                 EQUITY   31942D107     754,217      27,179 SH       SOLE         2       27,179
FIRST COMMONWEALTH
   FINANCIAL           COM      319829107     350,073      55,043 SH       SOLE         1       55,043
FIRST COMMONWEALTH
   FINL CO             EQUITY   319829107     506,065      92,856 SH       SOLE         2       92,856
FIRST COMMUNITY
   BANCSHARES          EQUITY   31983A103     157,148      12,182 SH       SOLE         2       18,732
FIRST FINANCIAL
   BANCORP             COM      320209109     613,891      34,742 SH       SOLE         1       34,742
FIRST FINANCIAL
   BANCORP             EQUITY   320209109     870,479      52,187 SH       SOLE         2       52,187
FIRST FINANCIAL
   BANKSHARES          COM      32020R109     617,063      12,476 SH       SOLE         1       12,476
FIRST FINANCIAL CORP
   INDIA               EQUITY   320218100     252,727       8,567 SH       SOLE         2       21,190
FIRST FINANCIAL
   HOLDINGS I          EQUITY   320239106     142,191      12,764 SH       SOLE         2       12,906
FIRST FINL
   BANKSHARES INC      EQUITY   32020R109     883,083      18,793 SH       SOLE         2       18,793
FIRST HORIZON
   NATIONAL COR        EQUITY   320517105     907,323      79,520 SH       SOLE         2       79,520
FIRST INDUSTRIAL
   REALTY TR           EQUITY   32054K103     247,715      48,859 SH       SOLE         2       48,859
FIRST MARBLEHEAD
   CORP/THE            EQUITY   320771108     100,056      42,759 SH       SOLE         2       12,530
FIRST MERCHANTS CORP   EQUITY   320817109     150,395      19,711 SH       SOLE         2       14,398
FIRST MERCURY
   FINANCIAL CO        EQUITY   320841109     111,475      11,059 SH       SOLE         2       21,820
FIRST MIDWEST
   BANCORP INC/        EQUITY   320867104     769,789      66,764 SH       SOLE         2       66,764
FIRST MIDWEST
   BANCORP, INC.       COM      320867104     500,305      44,314 SH       SOLE         1       44,314
FIRST NIAGARA
   FINANCIAL GR        EQUITY   33582V108   5,326,497     457,210 SH       SOLE         2      457,210
FIRST POTOMAC REALTY
   TRUST               EQUITY   33610F109     429,225      28,615 SH       SOLE         2       28,615
FIRST SOLAR INC        EQUITY   336433107   5,376,507      36,488 SH       SOLE         2       36,488
FIRST TR ABERDEEN
   GLBL OPP F          COM      337319107   1,280,301  70501.1534 SH       DEFINED      4                          70501.1534





                                                                                 
FIRST TR EXCHANGE
   TRADED FD           COM      3.37E+306     272,736        9061 SH       DEFINED      4                                9061
FIRST TR EXCHANGE
   TRADED FD           COM      33734X101     241,733       14153 SH       DEFINED      4                               14153
FIRST TR EXCHANGE
   TRADED FD           COM      33734X135     263,015       19555 SH       DEFINED      4                               19555
FIRST TR EXCHANGE
   TRADED FD           COM      33734X168     222,673       10690 SH       DEFINED      4                               10690
FIRST TR NASDAQ100
   TECH INDE           COM      337345102     242,888       10733 SH       DEFINED      4                               10733
FIRST TRUST FIDAC
   MTG INCM F          COM      3.37E+107     309,872       14247 SH       DEFINED      4                               14247
FIRSTENERGY CORP       COM      337932107     423,010  10975.8646 SH       DEFINED      4                          10975.8646
FIRSTENERGY CORP       EQUITY   337932107   4,007,813     103,991 SH       SOLE         2      103,991
FIRSTMERIT CORP        EQUITY   337915102   5,837,283     318,629 SH       SOLE         2      318,629
FIRSTSERVICE CORP      COM      33761N109     259,345       9,994 SH       SOLE         1        9,994
FISERV INC             EQUITY   337738108   3,298,520      61,288 SH       SOLE         2       61,288
FIVE STAR QUALITY
   CARE                EQUITY   33832D106     123,119      24,380 SH       SOLE         2       24,200
FLAGSTAR BANCORP INC   EQUITY   337930507      65,933      36,227 SH       SOLE         2       17,842
FLAGSTONE
   REINSURANCE HOLD    EQUITY   L3466T104     426,766      40,223 SH       SOLE         2       40,223
FLAHERTY &
   CRMN/CLYMR PFD SE   COM      338478100     641,397       38020 SH       DEFINED      4                               38020
FLAHERTY & CRUMRINE
   PFD INC             COM      338480106   2,047,104      155319 SH       DEFINED      3                              155319
FLEXTRONICS INTL LTD   EQUITY   Y2573F102   1,342,825     222,322 SH       SOLE         2      222,322
FLIR SYSTEMS INC       EQUITY   302445101   1,597,615      62,164 SH       SOLE         2       62,164
FLOW INTL CORP         EQUITY   343468104   2,669,513   1,015,024 SH       SOLE         2    1,015,024
FLOWERS FOODS INC      EQUITY   343498101   4,140,828     166,700 SH       SOLE         2      166,700
FLOWSERVE CORP         EQUITY   34354P105   3,326,477      30,401 SH       SOLE         2       30,401
FLUOR CORP             EQUITY   343412102   3,019,299      60,959 SH       SOLE         2       60,959
FLUSHING FINANCIAL
   CORP                EQUITY   343873105     278,168      24,063 SH       SOLE         2       24,063
FMC CORP               EQUITY   302491303   1,667,357      24,373 SH       SOLE         2       24,373
FMC TECHNOLOGIES INC   EQUITY   30249U101   4,006,779      58,673 SH       SOLE         2       58,673
FNB CORP               EQUITY   302520101     756,344      88,358 SH       SOLE         2       88,358
FOOT LOCKER INC        EQUITY   344849104   4,948,656     340,582 SH       SOLE         2      340,582
FORCE PROTECTION INC   EQUITY   345203202     273,541      54,274 SH       SOLE         2       54,274
FORD MOTOR CO          EQUITY   345370860  13,363,216   1,091,766 SH       SOLE         2    1,091,766
FORD MOTOR CO.         COM      345370860   3,946,753     240,509 SH       SOLE         1      240,509
FORD MTR CO CAP TR II  COM      345395206     206,013        4300 SH       DEFINED      4                                4300
FORD MTR CO DEL        COM      345370860   1,673,899 136756.4597 SH       DEFINED      4                         136756.4597
FOREST LABORATORIES
   INC                 EQUITY   345838106   3,830,402     123,841 SH       SOLE         2      123,841
FOREST OIL CORP        EQUITY   346091705   7,346,948     247,372 SH       SOLE         2      247,372
FORESTAR GROUP INC     EQUITY   346233109     559,990      32,844 SH       SOLE         2       32,844
FORESTAR REAL ESTATE
   GROUP INC           COM      346233109     412,162      21,796 SH       SOLE         1       21,796
FORMFACTOR INC         EQUITY   346375108     332,123      38,619 SH       SOLE         2       38,619
FORRESTER RESEARCH
   INC                 EQUITY   346563109     435,366      13,161 SH       SOLE         2       13,161
FORRESTER RESEARCH,
   INC.                COM      346563109     300,685       8,774 SH       SOLE         1        8,774





                                                                                 
FORTINET INC           EQUITY   3.50E+113     808,675      32,347 SH       SOLE         2       32,347
FORTUNE BRANDS INC     EQUITY   349631101   2,551,246      51,823 SH       SOLE         2       51,823
FORWARD AIR CORP       COM      349853101     487,670      17,361 SH       SOLE         1       17,361
FORWARD AIR
   CORPORATION         EQUITY   349853101     679,250      26,125 SH       SOLE         2       26,125
FOSSIL INC             EQUITY   349882100   6,218,393     115,605 SH       SOLE         2      115,605
FOSSIL, INC.           COM      349882100   1,260,209      19,700 SH       SOLE         1       19,700
FOSTER (LB) CO  CL A   EQUITY   350060109     227,613       7,865 SH       SOLE         2       42,842
FPIC INSURANCE GROUP
   INC                 EQUITY   302563101     264,789       7,546 SH       SOLE         2       17,836
FRANKLIN COVEY CO      EQUITY   353469109      80,518      10,128 SH       SOLE         2       11,172
FRANKLIN ELECTRIC CO
   INC                 EQUITY   353514102     595,686      17,964 SH       SOLE         2       17,964
FRANKLIN RESOURCES
   INC                 EQUITY   354613101   7,881,309      73,726 SH       SOLE         2       73,726
FRANKLIN RESOURCES,
   INC.                COM      354613101     959,388       7,869 SH       SOLE         1        7,869
FRANKLIN STREET
   PROPERTIES          EQUITY   35471R106     774,859      62,388 SH       SOLE         2       62,388
FRANKLIN STREET
   PROPERTIES CORP     COM      35471R106     522,257      40,485 SH       SOLE         1       40,485
FRANKLIN TEMPLETON
   LTD DUR I           COM      35472T101     271,379       20328 SH       DEFINED      3                               20328
FRANKLIN UNVL TR       COM      355145103     192,333       29499 SH       DEFINED      3                               29499
FRED S INC CLASS A     EQUITY   356108100     417,991      35,423 SH       SOLE         2       35,423
FRED'S INC.            COM      356108100     289,558      23,465 SH       SOLE         1       23,465
FREEPORT MCMORAN
   COPPER              EQUITY   35671D857  33,216,027     388,992 SH       SOLE         2      388,992
FREEPORT-MCMORAN
   COPPER & GO         COM      35671D857     474,768        5560 SH       DEFINED      4                                5560
FREEPORT-MCMORAN
   COPPER & GOLD
   COMMON              COM      35671D857  15,817,899     150,246 SH       SOLE         1      150,246
FREIGHTCAR AMERICA
   INC                 EQUITY   357023100     226,714       9,216 SH       SOLE         2       12,312
FRESH DEL MONTE
   PRODUCE IN          EQUITY   G36738105     664,888      30,640 SH       SOLE         2       30,640
FRONTEER GOLD INC      EQUITY   359032109  15,092,195   2,101,977 SH       SOLE         2    2,101,977
FRONTIER
   COMMUNICATIONS CO   EQUITY   35906A108   8,521,261   1,042,994 SH       SOLE         2    1,042,994
FRONTIER
   COMMUNICATIONS
   CORP                COM      35906A108     354,935  43443.7283 SH       DEFINED      4                          43443.7283
FRONTIER OIL CORP      EQUITY   35914P105   3,097,370     231,147 SH       SOLE         2      231,147
FSI INTL INC           EQUITY   302633102      79,026      29,709 SH       SOLE         2       27,141
FTI CONSULTING INC     EQUITY   302941109   3,544,277     102,170 SH       SOLE         2      102,170
FUEL SYSTEMS
   SOLUTIONS INC       EQUITY   35952W103     430,953      11,019 SH       SOLE         2       11,019
FUEL TECH INC          EQUITY   359523107      86,532      13,801 SH       SOLE         2       21,627
FUELCELL ENERGY INC    EQUITY   35952H106      90,545      73,614 SH       SOLE         2       15,828
FULTON FINANCIAL CORP  EQUITY   360271100   3,938,282     434,689 SH       SOLE         2      434,689
FURMANITE CORP         EQUITY   361086101     138,450      28,371 SH       SOLE         2       16,053
FURNITURE BRANDS
   INTL INC            EQUITY   360921100     179,977      33,453 SH       SOLE         2       34,834





                                                                                 
FX ENERGY INC          EQUITY   302695101     138,326      33,412 SH       SOLE         2       40,456
G & K SERVICES, INC.
   CLASS A             COM      361268105     323,563      11,119 SH       SOLE         1       11,119
G + K SERVICES INC
   CL A                EQUITY   361268105     382,676      16,740 SH       SOLE         2       16,740
G III APPAREL GROUP
   LTD                 EQUITY   36237H101     373,516      11,903 SH       SOLE         2       11,903
GABELLI GLB GLD NAT
   RES & IN            COM      36244N109   1,162,903   66642.004 SH       DEFINED      3                           66642.004
GAIAM INC CLASS A      EQUITY   36268Q103      82,120      12,275 SH       SOLE         2       28,776
GALLAGHER, ARTHUR J
   & CO                COM      363576109  14,980,480     526,000 SH       SOLE         1      526,000
GAMCO INVESTORS INC A  EQUITY   361438104     206,213       5,352 SH       SOLE         2       10,008
GAMESTOP CORP CLASS A  EQUITY   36467W109   1,009,526      51,219 SH       SOLE         2       51,219
GAMESTOP CORP NEW      COM      36467W109     387,006       19635 SH       DEFINED      4                               19635
GANNETT CO             EQUITY   364730101     994,177      81,290 SH       SOLE         2       81,290
GAP INC/THE            EQUITY   364760108  13,136,726     704,760 SH       SOLE         2      704,760
GAP, INC.              COM      364760108   4,804,327     231,981 SH       SOLE         1      231,981
GARDNER DENVER INC     EQUITY   365558105   6,126,015     114,121 SH       SOLE         2      114,121
GARMIN LTD             EQUITY   H2906T109     391,242      12,891 SH       SOLE         2       12,891
GARTNER INC            EQUITY   366651107   4,650,225     157,956 SH       SOLE         2      157,956
GASTAR EXPLORATION
   LTD                 EQUITY   367299203   3,210,653     798,670 SH       SOLE         2      798,670
GATX CORP              EQUITY   361448103   2,966,774     101,186 SH       SOLE         2      101,186
GAYLORD
   ENTERTAINMENT CO    EQUITY   367905106     816,546      26,772 SH       SOLE         2       26,772
GCI, INC.              COM      369385109     292,064      27,068 SH       SOLE         1       27,068
GEN PROBE INC          EQUITY   36866T103   5,144,174     106,153 SH       SOLE         2      106,153
GENCO SHIPPING +
   TRADING L           EQUITY   Y2685T107     349,150      21,904 SH       SOLE         2       21,904
GENCORP INC            EQUITY   368682100     259,540      52,752 SH       SOLE         2       52,752
GENCORP, INC.          COM      368682100     171,473      35,066 SH       SOLE         1       35,066
GENERAC HOLDINGS INC   EQUITY   368736104     203,468      14,917 SH       SOLE         2       14,917
GENERAL
   COMMUNICATION CL A  EQUITY   369385109     424,403      42,568 SH       SOLE         2       42,568
GENERAL DYNAMICS CORP  EQUITY   369550108  10,907,585     173,660 SH       SOLE         2      173,660
GENERAL DYNAMICS
   CORP.               COM      369550108   1,585,859      22,851 SH       SOLE         1       22,851
GENERAL ELECTRIC CO    COM      369604103   3,256,051 200372.3442 SH       DEFINED      4                         200372.3442
GENERAL ELECTRIC CO    COM      369604103  10,555,958     631,715 SH       SOLE         1      631,715
GENERAL ELECTRIC CO    EQUITY   369604103  69,657,884   4,286,639 SH       SOLE         2    4,286,639
GENERAL MARITIME CORP  EQUITY   Y2693R101     298,366      60,767 SH       SOLE         2       60,767
GENERAL MARITIME
   CORP NEW            COM      Y2693R101     212,863       43353 SH       DEFINED      4                               43353
GENERAL MILLS INC      EQUITY   370334104  11,408,555     312,221 SH       SOLE         2      312,221
GENERAL MILLS, INC.    COM      370334104   6,669,326     181,676 SH       SOLE         1      181,676
GENERAL MLS INC        COM      370334104     487,820  13350.2938 SH       DEFINED      4                          13350.2938
GENERAL MOLY INC       EQUITY   370373102     181,745      49,657 SH       SOLE         2       37,086
GENESCO INC            EQUITY   371532102     647,948      21,685 SH       SOLE         2       21,685
GENESCO, INC.          COM      371532102     483,250      14,391 SH       SOLE         1       14,391
GENESEE + WYOMING
   INC CL A            EQUITY   371559105   1,299,140      29,941 SH       SOLE         2       29,941
GENOMIC HEALTH INC     EQUITY   37244C101     144,328      10,803 SH       SOLE         2       29,813
GENOPTIX INC           COM      37243V100     192,027      10,522 SH       SOLE         1       10,522





                                                                                 
GENOPTIX INC           EQUITY   37243V100     224,417      15,804 SH       SOLE         2       15,804
GENTEX CORP            EQUITY   371901109   5,954,530     305,204 SH       SOLE         2      305,204
GENTIVA HEALTH
   SERVICES            COM      37247A102     449,492      17,837 SH       SOLE         1       17,837
GENTIVA HEALTH
   SERVICES            EQUITY   37247A102     587,284      26,878 SH       SOLE         2       26,878
GENUINE PARTS CO       EQUITY   372460105   4,012,342      89,983 SH       SOLE         2       89,983
GENUINE PARTS CO.      COM      372460105     721,944      15,003 SH       SOLE         1       15,003
GENWORTH FINANCIAL
   INC CL              EQUITY   37247D106   2,964,878     242,625 SH       SOLE         2      242,625
GENZYME CORP           EQUITY   372917104   7,013,024      99,068 SH       SOLE         2       99,068
GEO GROUP INC          COM      36159R103     991,531      38,596 SH       SOLE         1       38,596
GEO GROUP INC/THE      EQUITY   36159R103   1,349,186      57,781 SH       SOLE         2       57,781
GEOEYE INC             EQUITY   37250W108   7,573,848     187,101 SH       SOLE         2      187,101
GEORESOURCES INC       COM      372476101     999,268      51,964 SH       SOLE         1       51,964
GEORESOURCES INC       EQUITY   372476101     159,525      10,033 SH       SOLE         2       23,690
GEORGIA GULF CORP      EQUITY   373200302     425,559      26,044 SH       SOLE         2       26,044
GERBER SCIENTIFIC INC  EQUITY   373730100     139,862      22,668 SH       SOLE         2       66,849
GERBER SCIENTIFIC,
   INC.                COM      373730100     106,756      15,036 SH       SOLE         1       15,036
GERON CORP             EQUITY   374163103     419,329      75,828 SH       SOLE         2       75,828
GETTY REALTY CORP      EQUITY   374297109     433,653      16,163 SH       SOLE         2       16,163
GFI GROUP INC          EQUITY   361652209     237,884      51,268 SH       SOLE         2       51,268
GIBRALTAR INDUSTRIES
   INC                 COM      374689107     177,654      18,128 SH       SOLE         1       18,128
GIBRALTAR INDUSTRIES
   INC                 EQUITY   374689107     245,046      27,288 SH       SOLE         2       27,288
GILDAN ACTIVEWEAR INC  COM      375916103     373,099      13,405 SH       SOLE         1       13,405
GILEAD SCIENCES INC    EQUITY   375558103  16,975,216     476,698 SH       SOLE         2      476,698
GILEAD SCIENCES, INC.  COM      375558103   2,657,292      68,434 SH       SOLE         1       68,434
GLACIER BANCORP INC    EQUITY   37637Q105     946,722      64,844 SH       SOLE         2       64,844
GLACIER BANCORP, INC.  COM      37637Q105     585,249      43,033 SH       SOLE         1       43,033
GLADSTONE CAPITAL
   CORP                EQUITY   376535100     183,126      16,249 SH       SOLE         2       48,372
GLADSTONE INVESTMENT
   CORP                EQUITY   376546107     114,255      17,053 SH       SOLE         2       45,851
GLATFELTER             EQUITY   377316104     429,965      35,359 SH       SOLE         2       35,359
GLEACHER + CO INC      EQUITY   377341102      96,769      60,105 SH       SOLE         2       21,875
GLIMCHER REALTY TRUST  EQUITY   379302102     403,938      65,681 SH       SOLE         2       65,681
GLOBAL CASH ACCESS
   HOLDING             EQUITY   378967103     158,896      38,945 SH       SOLE         2       14,972
GLOBAL CROSSING LTD    EQUITY   G3921A175     299,509      23,290 SH       SOLE         2       23,290
GLOBAL INDEMNITY PLC   EQUITY   G39319101     170,708      10,636 SH       SOLE         2       23,865
GLOBAL INDUSTRIES LTD  EQUITY   379336100     428,137      78,270 SH       SOLE         2       78,270
GLOBAL PAYMENTS INC    EQUITY   37940X102   7,458,743     173,904 SH       SOLE         2      173,904
GLOBAL SOURCES LTD     EQUITY   G39300101      96,421      12,771 SH       SOLE         2       25,552
GLOBALSTAR INC         EQUITY   378973408      93,762      53,886 SH       SOLE         2       38,229
GLOBE SPECIALTY
   METALS INC          COM      37954N206   1,398,780      81,800 SH       SOLE         1       81,800
GLOBE SPECIALTY
   METALS INC          EQUITY   37954N206     664,878      47,356 SH       SOLE         2       47,356
GLOBECOMM SYSTEMS INC  EQUITY   37956X103     138,624      16,562 SH       SOLE         2       26,929
GMX RESOURCES INC      EQUITY   38011M108     115,571      23,780 SH       SOLE         2       17,680
GOLAR LNG LTD          EQUITY   G9456A100     351,549      28,079 SH       SOLE         2       28,079





                                                                                 
GOLDCORP INC.          COM      380956409   5,585,492     117,424 SH       SOLE         1      117,424
GOLDEN STAR
   RESOURCES LTD       EQUITY   38119T104     983,732     199,136 SH       SOLE         2      199,136
GOLDMAN SACHS GROUP
   INC                 COM      38141G104     241,015        1667 SH       DEFINED      4                                1667
GOLDMAN SACHS GROUP
   INC                 COM      38141G104   5,011,704      29,620 SH       SOLE         1       29,620
GOLDMAN SACHS GROUP
   INC                 EQUITY   38141G104  32,840,913     227,147 SH       SOLE         2      227,147
GOODRICH CORP          EQUITY   382388106   3,122,834      42,355 SH       SOLE         2       42,355
GOODRICH PETROLEUM
   CORP                EQUITY   382410405     275,125      18,883 SH       SOLE         2       18,883
GOODYEAR TIRE &
   RUBBER CO.          COM      382550101     469,552      44,048 SH       SOLE         1       44,048
GOODYEAR TIRE +
   RUBBER CO           EQUITY   382550101     876,512      81,536 SH       SOLE         2       81,536
GOOGLE INC             COM      38259P508     949,577        1806 SH       DEFINED      4                                1806
GOOGLE INC             COM      38259P508  21,582,198      34,434 SH       SOLE         1       34,434
GOOGLE INC CL A        EQUITY   38259P508  96,757,453     184,023 SH       SOLE         2      184,023
GORMAN RUPP CO         EQUITY   383082104     259,284       9,408 SH       SOLE         2       74,482
GOVERNMENT
   PROPERTIES INCO     EQUITY   38376A103   3,571,953     133,781 SH       SOLE         2      133,781
GP STRATEGIES CORP     EQUITY   36225V104     103,099      11,342 SH       SOLE         2       11,137
GRACO INC              EQUITY   384109104   4,170,655     131,442 SH       SOLE         2      131,442
GRAFTECH
   INTERNATIONAL LTD   COM      384313102     842,324      44,900 SH       SOLE         1       44,900
GRAFTECH
   INTERNATIONAL LTD   EQUITY   384313102   1,453,527      92,996 SH       SOLE         2       92,996
GRAHAM PACKAGING CO
   INC                 EQUITY   384701108     156,473      13,238 SH       SOLE         2       92,427
GRAND CANYON
   EDUCATION INC       EQUITY   38526M106     524,807      23,931 SH       SOLE         2       23,931
GRANITE CONSTRUCTION
   INC                 EQUITY   387328107   2,290,850     100,741 SH       SOLE         2      100,741
GRAPHIC PACKAGING
   HOLDING             EQUITY   388689101     289,548      86,691 SH       SOLE         2       86,691
GRAY TELEVISION INC    EQUITY   389375106      75,210      37,418 SH       SOLE         2       22,047
GREAT ATLANTIC &
   PACIFIC TEA CO      COM      390064103      59,837      15,422 SH       SOLE         1       15,422
GREAT ATLANTIC + PAC
   TEA C               EQUITY   390064103     110,773      27,973 SH       SOLE         2       12,433
GREAT LAKES DREDGE +
   DOCK                EQUITY   390607109     262,769      45,227 SH       SOLE         2       45,227
GREAT PLAINS ENERGY
   INC                 EQUITY   391164100   5,603,472     296,480 SH       SOLE         2      296,480
GREATBATCH INC         COM      39153L106     311,490      13,912 SH       SOLE         1       13,912
GREATBATCH INC         EQUITY   39153L106     485,645      20,942 SH       SOLE         2       20,942
GREEN MOUNTAIN
   COFFEE ROAS         EQUITY   393122106   7,806,888     250,301 SH       SOLE         2      250,301
GREEN PLAINS
   RENEWABLE ENE       EQUITY   393222104     149,837      12,373 SH       SOLE         2       43,136
GREENBRIER COMPANIES
   INC                 EQUITY   393657101     227,754      14,609 SH       SOLE         2       14,609
GREENHILL + CO INC     EQUITY   395259104   6,814,064      85,906 SH       SOLE         2       85,906





                                                                                 
GREENLIGHT CAPITAL
   RE LTD              EQUITY   G4095J109     546,762      21,853 SH       SOLE         2       21,853
GREIF INC CL A         EQUITY   397624107   4,007,122      68,102 SH       SOLE         2       68,102
GRIFFON CORP.          COM      398433102     369,751      27,676 SH       SOLE         1       27,676
GRIFFON CORPORATION    EQUITY   398433102     494,475      40,564 SH       SOLE         2       40,564
GROUP 1 AUTOMOTIVE
   INC                 EQUITY   398905109     658,406      22,035 SH       SOLE         2       22,035
GROUP 1 AUTOMOTIVE,
   INC.                COM      398905109     552,911      14,265 SH       SOLE         1       14,265
GSI COMMERCE INC       COM      36238G102     496,982      19,100 SH       SOLE         1       19,100
GSI COMMERCE INC       EQUITY   36238G102   5,123,422     207,426 SH       SOLE         2      207,426
GSI TECHNOLOGY INC     EQUITY   36241U106      85,331      14,892 SH       SOLE         2       36,043
GT SOLAR
   INTERNATIONAL INC   EQUITY   3.62E+212     403,476      48,205 SH       SOLE         2       48,205
GUESS? INC             EQUITY   401617105   6,712,564     165,212 SH       SOLE         2      165,212
GUIDANCE SOFTWARE INC  EQUITY   401692108      59,988      10,272 SH       SOLE         2       15,696
GULF ISLAND
   FABRICATION IN      EQUITY   402307102     234,871      12,905 SH       SOLE         2       12,905
GULF ISLAND
   FABRICATION, INC.   COM      402307102     226,624       8,568 SH       SOLE         1        8,568
GULFMARK OFFSHORE
   INC CL A            EQUITY   402629208     552,253      17,977 SH       SOLE         2       17,977
GULFPORT ENERGY CORP   COM      402635304     298,753      16,397 SH       SOLE         1       16,397
GULFPORT ENERGY CORP   EQUITY   402635304     289,090      20,888 SH       SOLE         2       20,888
GYMBOREE CORP          EQUITY   403777105   5,784,154     139,243 SH       SOLE         2      139,243
GYMBOREE CORP.         COM      403777105   1,816,537      27,861 SH       SOLE         1       27,861
H J HEINZ CO.          COM      423074103     882,749      18,078 SH       SOLE         1       18,078
H.B. FULLER CO.        COM      359694106     622,332      29,300 SH       SOLE         1       29,300
H.B. FULLER CO.        EQUITY   359694106     876,108      44,092 SH       SOLE         2       44,092
H+E EQUIPMENT
   SERVICES INC        EQUITY   404030108     170,343      21,373 SH       SOLE         2       25,863
H+R BLOCK INC          EQUITY   93671105   10,265,607     792,711 SH       SOLE         2      792,711
HACKETT GROUP INC/THE  EQUITY   404609109      90,988      22,031 SH       SOLE         2       17,229
HAEMONETICS CORP.      COM      405024100     850,882      14,762 SH       SOLE         1       14,762
HAEMONETICS CORP/MASS  EQUITY   405024100   1,321,666      22,581 SH       SOLE         2       22,581
HAIN CELESTIAL GROUP
   INC                 COM      405217100     679,981      25,621 SH       SOLE         1       25,621
HAIN CELESTIAL GROUP
   INC                 EQUITY   405217100     891,193      37,164 SH       SOLE         2       37,164
HALLIBURTON CO         EQUITY   406216101  16,576,157     501,245 SH       SOLE         2      501,245
HALLIBURTON CO.        COM      406216101  11,197,278     334,947 SH       SOLE         1      334,947
HALOZYME
   THERAPEUTICS INC    EQUITY   40637H109     427,342      55,427 SH       SOLE         2       55,427
HANCOCK HOLDING CO     EQUITY   410120109     792,134      26,343 SH       SOLE         2       26,343
HANCOCK HOLDING CO.    COM      410120109     582,229      17,654 SH       SOLE         1       17,654
HANCOCK JOHN PATRIOT
   PREM II             COM      41013T105     404,992       34883 SH       DEFINED      4                               34883
HANCOCK JOHN PFD
   INCOME FD I         COM      41021P103     758,792       43434 SH       DEFINED      4                               43434
HANESBRANDS INC        EQUITY   410345102   5,395,586     208,646 SH       SOLE         2      208,646
HANGER ORTHOPEDIC
   GROUP               COM      41043F208     371,136      19,330 SH       SOLE         1       19,330
HANGER ORTHOPEDIC
   GROUP IN            EQUITY   41043F208     353,555      24,316 SH       SOLE         2       24,316





                                                                                 
HANMI FINANCIAL
   CORPORATIO          EQUITY   410495105     126,204      98,597 SH       SOLE         2       48,329
HANMI FINL CORP        COM      410495105     108,571      90,476 SH       SOLE         1       90,476
HANOVER INSURANCE
   GROUP IN            EQUITY   410867105   4,617,139      98,237 SH       SOLE         2       98,237
HANSEN MEDICAL INC     EQUITY   411307101      46,927      32,816 SH       SOLE         2       11,837
HANSEN NATURAL
   CORPORATION         EQUITY   411310105   6,993,000     150,000 SH       SOLE         2      150,000
HARLEY DAVIDSON INC    EQUITY   412822108   3,300,718     116,059 SH       SOLE         2      116,059
HARLEYSVILLE GROUP
   INC                 EQUITY   412824104     293,700       8,957 SH       SOLE         2       11,676
HARMAN INTERNATIONAL   EQUITY   413086109     783,297      23,445 SH       SOLE         2       23,445
HARMONIC INC           EQUITY   413160102     601,814      87,473 SH       SOLE         2       87,473
HARMONIC INC.          COM      413160102     393,427      58,372 SH       SOLE         1       58,372
HARRIS + HARRIS
   GROUP INC           EQUITY   413833104     101,788      23,838 SH       SOLE         2       14,273
HARRIS CORP            EQUITY   413875105   1,909,253      43,108 SH       SOLE         2       43,108
HARRIS CORP.           COM      413875105   6,894,221     149,452 SH       SOLE         1      149,452
HARRY WINSTON
   DIAMOND CORP        COM      41587B100   2,366,289     177,401 SH       SOLE         1      177,401
HARSCO CORP            EQUITY   415864107   4,324,409     175,932 SH       SOLE         2      175,932
HARTE HANKS INC        EQUITY   416196103   1,329,446     113,920 SH       SOLE         2      113,920
HARTFORD FINANCIAL
   SVCS GR             EQUITY   416515104   4,822,713     210,140 SH       SOLE         2      210,140
HARTFORD FINANCIAL
   SVCS GROUP          COM      416515104     943,197      35,945 SH       SOLE         1       35,945
HARTFORD FINL SVCS
   GROUP INC           COM      416515104     211,736   9225.9503 SH       DEFINED      4                           9225.9503
HARVEST NATURAL
   RESOURCES           EQUITY   41754V103     267,669      25,688 SH       SOLE         2       25,688
HASBRO INC             EQUITY   418056107   2,467,768      55,443 SH       SOLE         2       55,443
HATTERAS FINL CORP     EQUITY   41902R103     801,943      28,168 SH       SOLE         2       28,168
HAVERTY FURNITURE      EQUITY   419596101     179,622      16,464 SH       SOLE         2       35,028
HAVERTY FURNITURE
   COMPANIES           COM      419596101     116,988      11,110 SH       SOLE         1       11,110
HAWAIIAN ELECTRIC
   INDS                EQUITY   419870100   4,617,432     204,855 SH       SOLE         2      204,855
HAWAIIAN HOLDINGS INC  EQUITY   419879101     239,474      39,979 SH       SOLE         2       39,979
HAWKINS INC            EQUITY   420261109     237,101       6,694 SH       SOLE         2       10,667
HAYNES INTERNATIONAL
   INC                 EQUITY   420877201     327,515       9,379 SH       SOLE         2       10,054
HCC INSURANCE
   HOLDINGS INC        EQUITY   404132102   6,574,523     251,994 SH       SOLE         2      251,994
HCP INC                COM      40414L109     224,947        6252 SH       DEFINED      4                                6252
HCP INC                EQUITY   40414L109   4,720,144     131,188 SH       SOLE         2      131,188
HEADWATERS INC         COM      42210P102     136,700      36,164 SH       SOLE         1       36,164
HEADWATERS INC         EQUITY   42210P102     196,016      54,449 SH       SOLE         2       37,314
HEALTH CARE REIT INC   EQUITY   42217K106   2,128,312      44,958 SH       SOLE         2       44,958
HEALTH GRADES INC      EQUITY   42218Q102     161,482      19,717 SH       SOLE         2       10,779
HEALTH MGMT
   ASSOCIATES INC      EQUITY   421933102   4,186,987     546,604 SH       SOLE         2      546,604
HEALTH NET INC         EQUITY   42222G108   5,795,059     213,132 SH       SOLE         2      213,132
HEALTHCARE REALTY
   TRUST IN            EQUITY   421946104   1,317,605      56,332 SH       SOLE         2       56,332





                                                                                 
HEALTHCARE REALTY
   TRUST, INC.         COM      421946104     891,060      36,474 SH       SOLE         1       36,474
HEALTHCARE SERVICES
   GROUP               EQUITY   421906108     899,453      39,467 SH       SOLE         2       39,467
HEALTHCARE SVCS GRP
   IN                  COM      421906108     645,872      26,223 SH       SOLE         1       26,223
HEALTHSOUTH CORP       EQUITY   421924309   1,387,738      72,278 SH       SOLE         2       72,278
HEALTHSPRING INC       COM      42224N101     956,812      34,233 SH       SOLE         1       34,233
HEALTHSPRING INC       EQUITY   42224N101   1,347,634      52,153 SH       SOLE         2       52,153
HEALTHWAYS INC         COM      422245100     229,603      20,482 SH       SOLE         1       20,482
HEALTHWAYS INC         EQUITY   422245100     358,244      30,777 SH       SOLE         2       30,777
HEARTLAND EXPRESS INC  EQUITY   422347104     676,838      45,517 SH       SOLE         2       45,517
HEARTLAND EXPRESS,
   INC.                COM      422347104   1,584,873     103,790 SH       SOLE         1      103,790
HEARTLAND FINANCIAL
   USA IN              EQUITY   42234Q102     155,347      10,094 SH       SOLE         2       54,821
HEARTLAND PAYMENT
   SYSTEMS             EQUITY   42235N108     519,611      34,140 SH       SOLE         2       34,140
HEARTLAND PAYMENT
   SYSTEMS IN          COM      42235N108     335,682      22,789 SH       SOLE         1       22,789
HEARTWARE
   INTERNATIONAL IN    EQUITY   422368100     496,722       7,224 SH       SOLE         2       11,583
HECKMANN CORP          EQUITY   422680108     267,290      68,536 SH       SOLE         2       68,536
HECLA MINING CO        EQUITY   422704106   1,249,976     197,781 SH       SOLE         2      197,781
HEICO CORP             EQUITY   422806109   1,034,431      22,665 SH       SOLE         2       22,665
HEIDRICK & STRUGGLES
   INT'L               COM      422819102     247,994      10,486 SH       SOLE         1       10,486
HEIDRICK + STRUGGLES
   INTL                EQUITY   422819102     306,888      15,754 SH       SOLE         2       15,754
HEINZ H J CO           COM      423074103     435,126   9185.6874 SH       DEFINED      4                           9185.6874
HELEN OF TROY LTD      COM      2419530       463,122      18,356 SH       SOLE         1       18,356
HELEN OF TROY LTD      EQUITY   G4388N106     699,091      27,643 SH       SOLE         2       27,643
HELIOS HIGH YIELD FD   COM      42328Q109     455,236       50081 SH       DEFINED      4                               50081
HELIX ENERGY
   SOLUTIONS GRO       EQUITY   42330P107   3,441,759     308,955 SH       SOLE         2      308,955
HELMERICH & PAYNE,
   INC.                COM      423452101   1,993,319      45,572 SH       SOLE         1       45,572
HELMERICH + PAYNE      EQUITY   423452101   1,445,595      35,729 SH       SOLE         2       35,729
HENRY SCHEIN INC       EQUITY   806407102  11,995,837     204,777 SH       SOLE         2      204,777
HERCULES OFFSHORE INC  EQUITY   427093109     234,870      88,630 SH       SOLE         2       88,630
HERCULES TECH GROWTH
   CAP INC             COM      427096508   1,015,378      100433 SH       DEFINED      4                              100433
HERCULES TECHNOLOGY
   GROWTH              EQUITY   427096508     283,029      27,995 SH       SOLE         2       27,995
HERLEY INDUSTRIES INC  EQUITY   427398102     173,019      10,486 SH       SOLE         2       16,712
HERMAN MILLER INC      EQUITY   600544100   3,296,223     167,491 SH       SOLE         2      167,491
HERSHA HOSPITALITY
   TRUST               EQUITY   427825104   4,175,676     806,115 SH       SOLE         2      806,115
HERSHEY CO/THE         EQUITY   427866108   4,085,173      85,841 SH       SOLE         2       85,841
HESS CORP              COM      42809H107   3,139,861      44,556 SH       SOLE         1       44,556
HESS CORP              EQUITY   42809H107  12,267,755     207,506 SH       SOLE         2      207,506
HEWITT ASSOCIATES
   INC CL A            EQUITY   42822Q100  10,116,258     200,600 SH       SOLE         2      200,600
HEWLETT PACKARD CO     COM      428236103     447,959  10647.9532 SH       DEFINED      4                          10647.9532





                                                                                 
HEWLETT PACKARD CO     EQUITY   428236103  51,597,972   1,226,479 SH       SOLE         2    1,226,479
HEWLETT PACKARD CO.    COM      428236103   8,526,488     192,689 SH       SOLE         1      192,689
HEXCEL CORP            EQUITY   428291108   9,477,605     532,749 SH       SOLE         2      532,749
HFF INC CLASS A        EQUITY   40418F108     127,628      13,753 SH       SOLE         2       31,694
HHGREGG INC            COM      42833L108     350,172      14,200 SH       SOLE         1       14,200
HHGREGG INC            EQUITY   42833L108     251,661      10,164 SH       SOLE         2       10,164
HIBBETT SPORTS INC     EQUITY   428567101     647,003      25,932 SH       SOLE         2       25,932
HIBBETT SPORTS INC.    COM      428567101     474,397      17,034 SH       SOLE         1       17,034
HIGHWOODS PROPERTIES
   INC                 EQUITY   431284108   6,828,181     210,292 SH       SOLE         2      210,292
HILL INTERNATIONAL
   INC                 EQUITY   431466101      89,385      19,952 SH       SOLE         2       13,776
HILL ROM HOLDINGS INC  EQUITY   431475102   4,972,380     138,545 SH       SOLE         2      138,545
HILLENBRAND INC        COM      431571108     796,396      37,267 SH       SOLE         1       37,267
HILLENBRAND INC        EQUITY   431571108  14,072,918     654,250 SH       SOLE         2      654,250
HILLTOP HOLDINGS INC   EQUITY   432748101     293,416      30,628 SH       SOLE         2       30,628
HITTITE MICROWAVE
   CORP                COM      43365Y104     818,644      14,603 SH       SOLE         1       14,603
HITTITE MICROWAVE
   CORP                EQUITY   43365Y104   1,155,608      24,252 SH       SOLE         2       24,252
HJ HEINZ CO            EQUITY   423074103  20,149,351     425,361 SH       SOLE         2      425,361
HMS HOLDINGS CORP      COM      40425J101   1,893,765      31,081 SH       SOLE         1       31,081
HMS HOLDINGS CORP      EQUITY   40425J101   1,443,500      24,491 SH       SOLE         2       24,491
HNI CORP               EQUITY   404251100   3,808,457     132,422 SH       SOLE         2      132,422
HOKU CORP              EQUITY   434711107      36,085      13,218 SH       SOLE         2       84,964
HOLLY CORP.            COM      435758305     870,010      26,428 SH       SOLE         1       26,428
HOLLYWOOD PARK, INC.   COM      723456109     503,465      36,589 SH       SOLE         1       36,589
HOLOGIC INC            EQUITY   436440101  14,088,448     879,978 SH       SOLE         2      879,978
HOME BANCSHARES INC    EQUITY   436893200     402,052      19,786 SH       SOLE         2       19,786
HOME BANCSHARES
   INC/CONWAY AR       COM      436893200     283,724      13,099 SH       SOLE         1       13,099
HOME DEPOT INC         COM      437076102     679,750  21456.7427 SH       DEFINED      4                          21456.7427
HOME DEPOT INC         EQUITY   437076102  32,579,459   1,028,392 SH       SOLE         2    1,028,392
HOME DEPOT, INC.       COM      437076102  12,202,753     387,512 SH       SOLE         1      387,512
HOME FEDERAL BANCORP
   INC/M               EQUITY   43710G105     156,859      12,889 SH       SOLE         2       27,840
HOME PROPERTIES INC    EQUITY   437306103   1,788,496      33,809 SH       SOLE         2       33,809
HOME PROPERTIES INC.   COM      437306103   1,231,236      21,955 SH       SOLE         1       21,955
HONEYWELL
   INTERNATIONAL IN    EQUITY   438516106  10,739,859     244,421 SH       SOLE         2      244,421
HONEYWELL INTL INC     COM      438516106     411,433    9363.523 SH       DEFINED      4                            9363.523
HORACE MANN EDUCATORS  EQUITY   440327104     629,252      35,391 SH       SOLE         2       35,391
HORACE MANN
   EDUCATORS CORP      COM      440327104     420,614      23,577 SH       SOLE         1       23,577
HORIZON LINES INC CL
   A                   EQUITY   44044K101      98,759      23,514 SH       SOLE         2       10,121
HORMEL FOODS CORP      EQUITY   440452100   1,104,787      24,771 SH       SOLE         2       24,771
HORMEL FOODS CORP.     COM      440452100   1,535,553      33,564 SH       SOLE         1       33,564
HORNBECK OFFSHORE
   SERVICES            COM      440543106     300,084      13,925 SH       SOLE         1       13,925
HORNBECK OFFSHORE
   SERVICES            EQUITY   440543106     408,588      20,964 SH       SOLE         2       20,964
HORSEHEAD HOLDING
   CORP                EQUITY   440694305     330,339      33,469 SH       SOLE         2       33,469





                                                                                 
HOSPIRA INC            COM      441060100   4,321,532      73,110 SH       SOLE         1       73,110
HOSPIRA INC            EQUITY   441060100   3,879,930      68,057 SH       SOLE         2       68,057
HOSPITALITY
   PROPERTIES TRU      EQUITY   44106M102   6,026,711     269,893 SH       SOLE         2      269,893
HOST HOTELS &
   RESORTS INC         COM      44107P104   7,676,621     453,433 SH       SOLE         1      453,433
HOST HOTELS +
   RESORTS INC         EQUITY   44107P104   4,324,698     298,667 SH       SOLE         2      298,667
HOT TOPIC INC          COM      441339108     157,122      26,676 SH       SOLE         1       26,676
HOT TOPIC INC          EQUITY   441339108     240,439      40,140 SH       SOLE         2       40,140
HOUSTON AMERICAN
   ENERGY CO           EQUITY   44183U100     139,220      13,922 SH       SOLE         2       90,296
HOUSTON WIRE + CABLE
   CO                  EQUITY   44244K109     137,371      13,696 SH       SOLE         2       21,532
HOVNANIAN
   ENTERPRISES A       EQUITY   442487203     158,104      40,230 SH       SOLE         2      117,438
HSN INC                COM      404303109     617,557      23,069 SH       SOLE         1       23,069
HSN INC                EQUITY   404303109   1,045,812      34,977 SH       SOLE         2       34,977
HUB GROUP INC CL A     EQUITY   443320106     986,823      33,726 SH       SOLE         2       33,726
HUB GROUP INC-CL A     COM      443320106     746,146      22,549 SH       SOLE         1       22,549
HUBBELL INC  CL B      EQUITY   443510201  19,615,687     386,516 SH       SOLE         2      386,516
HUDSON CITY BANCORP    COM      443683107     171,916  14022.5075 SH       DEFINED      4                          14022.5075
HUDSON CITY BANCORP
   INC                 EQUITY   443683107   2,175,623     177,457 SH       SOLE         2      177,457
HUDSON HIGHLAND
   GROUP INC           EQUITY   443792106      85,415      24,830 SH       SOLE         2       20,806
HUMANA INC             EQUITY   444859102   3,462,089      68,911 SH       SOLE         2       68,911
HUMANA, INC.           COM      444859102   2,247,078      37,690 SH       SOLE         1       37,690
HUNT (JB) TRANSPRT
   SVCS IN             EQUITY   445658107   9,290,717     267,744 SH       SOLE         2      267,744
HUNTINGTON
   BANCSHARES INC      COM      446150104      70,328       12360 SH       DEFINED      4                               12360
HUNTINGTON
   BANCSHARES INC      EQUITY   446150104   1,872,982     330,332 SH       SOLE         2      330,332
HUNTSMAN CORP          EQUITY   447011107  14,557,866   1,259,331 SH       SOLE         2    1,259,331
HURON CONSULTING
   GROUP INC           EQUITY   447462102     373,918      17,004 SH       SOLE         2       17,004
HUTCHINSON TECH        EQUITY   448407106      73,085      21,062 SH       SOLE         2       10,997
HUTCHINSON
   TECHNOLOGY, INC.    COM      448407106      44,058      14,121 SH       SOLE         1       14,121
HYPERCOM CORP          EQUITY   44913M105     231,355      35,593 SH       SOLE         2       35,593
HYPERDYNAMICS CORP     COM      448954107      70,800       30000 SH       DEFINED      4                               30000
IAC/INTERACTIVECORP    COM      44919P508     510,928      17,821 SH       SOLE         1       17,821
IBERIABANK CORP        EQUITY   450828108   1,032,687      20,662 SH       SOLE         2       20,662
ICF INTERNATIONAL INC  EQUITY   44925C103     331,200      13,211 SH       SOLE         2       13,211
ICO GLOBAL COM HLDG
   LTD NE              EQUITY   44930K108     119,118      72,633 SH       SOLE         2       11,092
ICONIX BRAND GROUP
   INC                 COM      451055107     764,060      43,265 SH       SOLE         1       43,265
ICONIX BRAND GROUP
   INC                 EQUITY   451055107   1,139,303      65,103 SH       SOLE         2       65,103
ICU MEDICAL INC        EQUITY   44930G107     393,745      10,559 SH       SOLE         2       10,559
ICU MEDICAL, INC.      COM      44930G107     259,093       7,012 SH       SOLE         1        7,012
IDACORP INC            EQUITY   451107106   5,080,776     141,447 SH       SOLE         2      141,447





                                                                                 
IDENIX
   PHARMACEUTICALS
   INC                 EQUITY   45166R204      85,470      27,571 SH       SOLE         2       13,105
IDEX CORP              EQUITY   45167R104   6,313,039     177,782 SH       SOLE         2      177,782
IDEXX LABORATORIES
   INC                 EQUITY   45168D104   7,769,993     125,891 SH       SOLE         2      125,891
IDT CORP CLASS B       EQUITY   448947507     194,356      10,925 SH       SOLE         2       34,535
IGATE CORP             COM      45169U105     192,284       10600 SH       DEFINED      4                               10600
IGATE CORP             COM      45169U105     374,826      17,289 SH       SOLE         1       17,289
IGATE CORP             EQUITY   45169U105     331,509      18,275 SH       SOLE         2       18,275
II VI INC              EQUITY   902104108     845,786      22,657 SH       SOLE         2       22,657
II-VI INC              COM      902104108     626,066      15,170 SH       SOLE         1       15,170
IKANOS
   COMMUNICATIONS INC  EQUITY   4.52E+109      27,619      23,209 SH       SOLE         2       61,846
ILLINOIS TOOL WKS INC  COM      452308109     218,784        4653 SH       DEFINED      4                                4653
ILLINOIS TOOL WORKS    EQUITY   452308109   9,134,905     194,277 SH       SOLE         2      194,277
ILLINOIS TOOL WORKS,
   INC.                COM      452308109   4,167,110      85,743 SH       SOLE         1       85,743
ILLUMINA INC           EQUITY   452327109     445,555       9,056 SH       SOLE         2       12,043
IMATION CORP           EQUITY   45245A107     214,534      22,994 SH       SOLE         2       22,994
IMMERSION CORPORATION  EQUITY   452521107     128,235      21,698 SH       SOLE         2       72,385
IMMUCOR INC            EQUITY   452526106   4,072,547     205,373 SH       SOLE         2      205,373
IMMUNOGEN INC          EQUITY   45253H101     328,147      52,336 SH       SOLE         2       52,336
IMMUNOMEDICS INC       EQUITY   452907108     163,222      50,690 SH       SOLE         2       11,216
IMPAX LABORATORIES
   INC                 EQUITY   45256B101     957,488      48,358 SH       SOLE         2       48,358
IMPERIAL OIL LTD       COM      453038408   3,618,185      93,732 SH       SOLE         1       93,732
INCYTE CORP            COM      45337C102     673,600      42,100 SH       SOLE         1       42,100
INCYTE CORP            EQUITY   45337C102   8,302,344     519,221 SH       SOLE         2      519,221
INDEPENDENT BANK
   CORP.-MASSACHUSETTS COM      453836108     319,991      12,688 SH       SOLE         1       12,688
INDEPENDENT BANK
   CORP/MA             EQUITY   453836108     429,907      19,090 SH       SOLE         2       19,090
INDUSTRIAL SELECT
   SECTOR S            EQUITY   81369Y704  29,515,808     943,600 SH       SOLE         2      943,600
INFINERA CORP          EQUITY   45667G103     792,556      67,914 SH       SOLE         2       67,914
INFINITY
   PHARMACEUTICALS I   EQUITY   45665G303      61,811      11,218 SH       SOLE         2       17,574
INFINITY PROPERTY &
   CASUALTY            COM      45665Q103     460,256       7,570 SH       SOLE         1        7,570
INFINITY PROPERTY +
   CASUAL              EQUITY   45665Q103     577,827      11,848 SH       SOLE         2       11,848
INFORMATICA CORP       EQUITY   45666Q102   7,750,370     201,780 SH       SOLE         2      201,780
INFOSPACE INC          COM      45678T300     168,306      21,661 SH       SOLE         1       21,661
INFOSPACE INC          EQUITY   45678T300     280,090      32,343 SH       SOLE         2       32,343
INFOSYS TECHNOLOGIES
   SP AD               EQUITY   456788108     420,486       6,247 SH       SOLE         2       13,822
ING CLARION GLB RE
   EST INCM            COM      44982G104   1,540,769 204075.3246 SH       DEFINED      4                         204075.3246
ING GLOBAL EQTY DIV
   & PREM O            COM      4.57E+111     140,117  12089.4321 SH       DEFINED      4                          12089.4321
INGERSOLL RAND PLC     EQUITY   G47791101     268,682       7,524 SH       SOLE         2       25,793
INGRAM MICRO INC CL A  EQUITY   457153104   5,776,776     342,632 SH       SOLE         2      342,632
INLAND REAL ESTATE





                                                                                 
   CORP                COM      457461200     422,382      45,961 SH       SOLE         1       45,961
INLAND REAL ESTATE
   CORP                EQUITY   457461200     557,343      67,069 SH       SOLE         2       67,069
INNOPHOS HOLDINGS INC  COM      45774N108     501,329      14,758 SH       SOLE         1       14,758
INNOPHOS HOLDINGS INC  EQUITY   45774N108     547,375      16,537 SH       SOLE         2       16,537
INSIGHT ENTERPRISES
   INC                 EQUITY   45765U103     652,079      41,693 SH       SOLE         2       41,693
INSIGHT ENTERPRISES,
   INC.                COM      45765U103     372,640      27,685 SH       SOLE         1       27,685
INSITUFORM
   TECHNOLOGIES CL     EQUITY   457667103     855,488      35,380 SH       SOLE         2       35,380
INSITUFORM
   TECHNOLOGIES,
   INC. CLASS A        COM      457667103     538,328      23,477 SH       SOLE         1       23,477
INSPIRE
   PHARMACEUTICALS IN  EQUITY   457733103     273,295      45,932 SH       SOLE         2       45,932
INSULET CORP           EQUITY   45784P101     438,397      31,004 SH       SOLE         2       31,004
INTEGRA LIFESCIENCES
   HOLDI               EQUITY   457985208     747,649      18,947 SH       SOLE         2       18,947
INTEGRA LIFESCIENCES
   HOLDINGS            COM      457985208     542,838      12,528 SH       SOLE         1       12,528
INTEGRAL SYSTEMS
   INC/MD              COM      45810H107      93,729      10,567 SH       SOLE         1       10,567
INTEGRATED DEVICE
   TECH INC            EQUITY   458118106   2,740,982     468,544 SH       SOLE         2      468,544
INTEGRYS ENERGY
   GROUP INC           COM      45822P105     742,089      14,162 SH       SOLE         1       14,162
INTEGRYS ENERGY
   GROUP INC           EQUITY   45822P105   1,375,217      26,416 SH       SOLE         2       26,416
INTEL CORP             COM      458140100   3,252,833 169418.3896 SH       DEFINED      4                         169418.3896
INTEL CORP             EQUITY   458140100  50,899,829   2,646,897 SH       SOLE         2    2,646,897
INTEL CORP.            COM      458140100  16,699,008     786,576 SH       SOLE         1      786,576
INTERACTIVE BROKERS
   GROUP               COM      45841N107     475,740      25,265 SH       SOLE         1       25,265
INTERACTIVE
   INTELLIGENCE I      EQUITY   45839M103     207,222      11,774 SH       SOLE         2       11,774
INTERACTIVE
   INTELLIGENCE INC    COM      45839M103     217,537       7,859 SH       SOLE         1        7,859
INTERCONTINENTAL
   EXCHANG I           EQUITY   45865V100   2,584,699      24,682 SH       SOLE         2       24,682
INTERCONTINENTAL
   EXCHANG INC         COM      45865V100   1,030,392       8,782 SH       SOLE         1        8,782
INTERDIGITAL INC       EQUITY   45867G101   1,005,526      33,959 SH       SOLE         2       33,959
INTERFACE INC CLASS A  EQUITY   458665106     671,741      47,206 SH       SOLE         2       47,206
INTERFACE, INC.
   CLASS A             COM      458665106     595,352      38,066 SH       SOLE         1       38,066
INTERLINE BRANDS INC   EQUITY   458743101     459,515      25,472 SH       SOLE         2       25,472
INTERMEC INC           COM      458786100     377,244      29,611 SH       SOLE         1       29,611
INTERMEC INC           EQUITY   458786100     541,254      44,148 SH       SOLE         2       44,148
INTERMUNE INC          EQUITY   45884X103     478,130      35,105 SH       SOLE         2       35,105
INTERNATIONAL
   BANCSHARES C        EQUITY   459044103   2,627,645     155,574 SH       SOLE         2      155,574
INTERNATIONAL
   BUSINESS MACHINES





                                                                                 
   CORP                COM      459200101  25,354,423     173,115 SH       SOLE         1      173,115
INTERNATIONAL
   BUSINESS MACHS      COM      459200101     637,261    4750.717 SH       DEFINED      4                            4750.717
INTERNATIONAL
   BUSINESS MACHS      COM      459200101   1,223,453   9120.7203 SH       DEFINED      3                           9120.7203
INTERNATIONAL COAL
   GROUP I             EQUITY   45928H106   4,165,326     782,956 SH       SOLE         2      782,956
INTERNATIONAL PAPER
   CO                  EQUITY   460146103   5,740,130     263,914 SH       SOLE         2      263,914
INTERNATIONAL PAPER
   CO.                 COM      460146103   6,856,239     258,726 SH       SOLE         1      258,726
INTERNET BRANDS INC
   CL A                EQUITY   460608102     295,666      22,264 SH       SOLE         2       22,264
INTERNET CAPITAL
   GROUP INC           EQUITY   46059C205     310,450      28,146 SH       SOLE         2       28,146
INTEROIL CORP          COM      460951106   2,113,838       30886 SH       DEFINED      4                               30886
INTERPUBLIC GROUP
   CORP                COM      460690100     237,831      22,586 SH       SOLE         1       22,586
INTERPUBLIC GROUP OF
   COS I               EQUITY   460690100   1,642,413     163,750 SH       SOLE         2      163,750
INTERSIL CORP  CL A    EQUITY   46069S109   3,162,110     270,497 SH       SOLE         2      270,497
INTERVAL LEISURE
   GROUP               EQUITY   46113M108     484,597      35,976 SH       SOLE         2       35,976
INTERVAL LEISURE
   GROUP INC           COM      46113M108     395,297      24,192 SH       SOLE         1       24,192
INTEVAC INC            COM      461148108     168,322      13,455 SH       SOLE         1       13,455
INTEVAC INC            EQUITY   461148108     201,261      20,106 SH       SOLE         2       20,106
INTL BUSINESS
   MACHINES COR        EQUITY   459200101  92,778,870     691,657 SH       SOLE         2      691,657
INTL FLAVORS +
   FRAGRANCES          EQUITY   459506101   1,870,640      38,554 SH       SOLE         2       38,554
INTL GAME TECHNOLOGY   EQUITY   459902102   1,440,362      99,679 SH       SOLE         2       99,679
INTL RECTIFIER CORP    EQUITY   460254105   3,244,380     153,835 SH       SOLE         2      153,835
INTL SPEEDWAY CORP
   CL A                EQUITY   460335201   1,562,552      64,039 SH       SOLE         2       64,039
INTREPID POTASH INC    EQUITY   46121Y102   2,527,017      96,932 SH       SOLE         2       96,932
INTUIT INC             EQUITY   461202103   5,891,919     134,488 SH       SOLE         2      134,488
INTUIT, INC.           COM      461202103   6,596,877     135,878 SH       SOLE         1      135,878
INTUITIVE SURGICAL
   INC                 COM      46120E602     354,411       1,279 SH       SOLE         1        1,279
INTUITIVE SURGICAL
   INC                 EQUITY   46120E602   5,189,321      18,289 SH       SOLE         2       18,289
INVACARE CORP          EQUITY   461203101     706,598      26,654 SH       SOLE         2       26,654
INVACARE CORP.         COM      461203101     528,493      19,380 SH       SOLE         1       19,380
INVESCO LTD            EQUITY   G491BT108  12,828,992     604,286 SH       SOLE         2      604,286
INVESCO MORTGAGE
   CAPITAL             EQUITY   46131B100     431,110      20,033 SH       SOLE         2       20,033
INVESTMENT
   TECHNOLOGY GROU     EQUITY   46145F105     557,154      39,181 SH       SOLE         2       39,181
INVESTMENT
   TECHNOLOGY GROUP    COM      46145F105     391,911      25,565 SH       SOLE         1       25,565
INVESTORS BANCORP INC  EQUITY   46146P102     439,157      37,091 SH       SOLE         2       37,091
INVESTORS REAL
   ESTATE TRUS         EQUITY   461730103     485,655      57,954 SH       SOLE         2       57,954





                                                                                 
ION GEOPHYSICAL CORP   COM      462044108     593,452      91,160 SH       SOLE         1       91,160
ION GEOPHYSICAL CORP   EQUITY   462044108     605,477     117,797 SH       SOLE         2      117,797
IPC THE HOSPITALIST
   CO                  EQUITY   44984A105   4,001,916     146,483 SH       SOLE         2      146,483
IPC THE HOSPITALIST
   CO INC              COM      44984A105     315,479       9,728 SH       SOLE         1        9,728
IPG PHOTONICS CORP     EQUITY   44980X109     484,200      20,058 SH       SOLE         2       20,058
IRIDIUM
   COMMUNICATIONS INC  EQUITY   46269C102     224,713      26,313 SH       SOLE         2       26,313
IROBOT CORP            EQUITY   462726100     301,558      16,239 SH       SOLE         2       16,239
IRON MOUNTAIN INC      EQUITY   462846106   8,694,460     389,188 SH       SOLE         2      389,188
ISHARES COMEX GOLD TR  COM      464285105     225,344       17605 SH       DEFINED      4                               17605
ISHARES DOW JONES US
   BROKER DEALERS
   INDEX FUND          COM      464288794     565,578      20,192 SH       SOLE         1       20,192
ISHARES INC            COM      464286624   1,341,799       21621 SH       DEFINED      3                               21621
ISHARES INC            COM      464286715   1,751,590       25012 SH       DEFINED      3                               25012
ISHARES INC            COM      464286400     851,577   11066.918 SH       DEFINED      4                           11066.918
ISHARES INC            COM      464286780     774,038       11515 SH       DEFINED      4                               11515
ISHARES INC            COM      464286624     247,992        3996 SH       DEFINED      4                                3996
ISHARES INC            COM      464286715     219,614        3136 SH       DEFINED      4                                3136
ISHARES MSCI CANADA
   INDEX FUND          COM      464286509   4,667,220     154,800 SH       SOLE         1      154,800
ISHARES MSCI EAFE
   INDEX FUND          COM      464287465     808,393      13,740 SH       SOLE         1       13,740
ISHARES MSCI
   EMERGING MARKETS
   INDEX FUND          COM      464287234 153,002,375   3,168,079 SH       SOLE         1    3,168,079
ISHARES RUSSELL 1000
   GROWT               EQUITY   464287614  12,374,057     240,881 SH       SOLE         2      240,881
ISHARES RUSSELL 1000
   GROWTH INDEX FUND   COM      464287614   3,027,768      54,300 SH       SOLE         1       54,300
ISHARES RUSSELL 1000
   VALUE INDEX FUND    COM      464287598   3,164,179      50,377 SH       SOLE         1       50,377
ISHARES RUSSELL 2000
   INDEX               EQUITY   464287655   7,313,748     108,400 SH       SOLE         2      108,400
ISHARES RUSSELL
   MIDCAP GRO          EQUITY   464287481     562,966      11,300 SH       SOLE         2       11,300
ISHARES RUSSELL
   MIDCAP VAL          EQUITY   464287473   1,384,691      34,300 SH       SOLE         2       34,300
ISHARES S&P SMALLCAP
   600 INDEX FUND      COM      464287804   8,542,704     132,240 SH       SOLE         1      132,240
ISHARES S+P 500
   GROWTH IND          EQUITY   464287309   1,591,116      26,800 SH       SOLE         2       26,800
ISHARES S+P 500
   VALUE INDE          EQUITY   464287408   2,343,600      43,200 SH       SOLE         2       43,200
ISHARES S+P SMALLCAP
   600 I               EQUITY   464287804   1,246,799      21,100 SH       SOLE         2       21,100
ISHARES SILVER TRUST   COM      46428Q109     300,407       14097 SH       DEFINED      4                               14097
ISHARES TR             COM      464288505   1,189,421       15431 SH       DEFINED      3                               15431
ISHARES TR             COM      464288620     408,472        3786 SH       DEFINED      3                                3786
ISHARES TR             COM      464288638     396,997        3662 SH       DEFINED      3                                3662
ISHARES TR             COM      464288653     276,127        2260 SH       DEFINED      3                                2260
ISHARES TR             COM      464288737     496,103        8256 SH       DEFINED      3                                8256





                                                                                 
ISHARES TR             COM      46429B309     444,633       15290 SH       DEFINED      3                               15290
ISHARES TR             COM      464287168     917,449  19586.8625 SH       DEFINED      4                          19586.8625
ISHARES TR             COM      464287176   4,327,351  39678.6281 SH       DEFINED      4                          39678.6281
ISHARES TR             COM      464287184     408,683   9544.2039 SH       DEFINED      4                           9544.2039
ISHARES TR             COM      464287200     565,824   4942.1302 SH       DEFINED      4                           4942.1302
ISHARES TR             COM      464287226   1,463,009  13465.3423 SH       DEFINED      4                          13465.3423
ISHARES TR             COM      464287234   1,620,825  36203.3726 SH       DEFINED      4                          36203.3726
ISHARES TR             COM      464287242     987,129   8728.7029 SH       DEFINED      4                           8728.7029
ISHARES TR             COM      464287275     201,560        3525 SH       DEFINED      4                                3525
ISHARES TR             COM      464287291     277,522        4995 SH       DEFINED      4                                4995
ISHARES TR             COM      464287341     782,031       23096 SH       DEFINED      4                               23096
ISHARES TR             COM      464287390   2,161,090       42760 SH       DEFINED      4                               42760
ISHARES TR             COM      464287457   1,095,114  12979.9013 SH       DEFINED      4                          12979.9013
ISHARES TR             COM      464287465   1,282,290   23348.327 SH       DEFINED      4                           23348.327
ISHARES TR             COM      464287473   2,455,586       60827 SH       DEFINED      4                               60827
ISHARES TR             COM      464287481     628,429       12614 SH       DEFINED      4                               12614
ISHARES TR             COM      464287507     497,271   6209.6808 SH       DEFINED      4                           6209.6808
ISHARES TR             COM      464287549     514,368        9400 SH       DEFINED      4                                9400
ISHARES TR             COM      464287564   1,137,870  18379.4149 SH       DEFINED      4                          18379.4149
ISHARES TR             COM      464287598   1,050,671       17811 SH       DEFINED      4                               17811
ISHARES TR             COM      464287614   1,113,445       21675 SH       DEFINED      4                               21675
ISHARES TR             COM      464287630   2,160,788  34857.0438 SH       DEFINED      4                          34857.0438
ISHARES TR             COM      464287648     244,101        3266 SH       DEFINED      4                                3266
ISHARES TR             COM      464287655     540,884   8013.0938 SH       DEFINED      4                           8013.0938
ISHARES TR             COM      464287689     370,498   5492.9286 SH       DEFINED      4                           5492.9286
ISHARES TR             COM      464287713     804,835       36936 SH       DEFINED      4                               36936
ISHARES TR             COM      464287739     245,675    4645.905 SH       DEFINED      4                            4645.905
ISHARES TR             COM      464287804     653,348  11056.8212 SH       DEFINED      4                          11056.8212
ISHARES TR             COM      464287846     589,904       10313 SH       DEFINED      4                               10313
ISHARES TR             COM      464288513   1,266,261  14118.1973 SH       DEFINED      4                          14118.1973
ISHARES TR             COM      464288646     298,118        2838 SH       DEFINED      4                                2838
ISHARES TR             COM      464288687   1,806,887       45422 SH       DEFINED      4                               45422
ISHARES TR             COM      464288372     502,152       14700 SH       DEFINED      4                               14700
ISHARES TR             COM      464288596     537,086        4826 SH       DEFINED      4                                4826
ISHARES TR             COM      464288638     259,425        2393 SH       DEFINED      4                                2393
ISHARES TR             COM      464288711     630,372       13971 SH       DEFINED      4                               13971
ISILON SYSTEMS INC     EQUITY   46432L104     459,124      20,607 SH       SOLE         2       20,607
ISIS PHARMACEUTICALS
   INC                 EQUITY   464330109     610,688      72,701 SH       SOLE         2       72,701
ISTAR FINANCIAL INC    EQUITY   45031U101     220,690      72,121 SH       SOLE         2       72,121
ITRON INC              EQUITY   465741106   5,395,220      88,114 SH       SOLE         2       88,114
ITT CORP               EQUITY   450911102   2,921,068      62,376 SH       SOLE         2       62,376
ITT CORPORATION        COM      450911102   8,779,588     180,836 SH       SOLE         1      180,836
ITT EDUCATIONAL
   SERVICES I          EQUITY   45068B109   4,229,973      60,196 SH       SOLE         2       60,196
IXIA                   COM      45071R109   1,626,572      96,418 SH       SOLE         1       96,418
IXIA                   EQUITY   45071R109     312,964      25,239 SH       SOLE         2       25,239
J & J SNACK FOODS
   CORP                COM      466032109     367,000       8,523 SH       SOLE         1        8,523
J + J SNACK FOODS
   CORP                EQUITY   466032109     537,375      12,816 SH       SOLE         2       12,816
J CREW GROUP INC       EQUITY   46612H402   4,668,137     138,850 SH       SOLE         2      138,850
J.C. PENNEY CO INC     EQUITY   708160106   3,748,638     137,919 SH       SOLE         2      137,919
J0-ANN STORES INC      COM      47758P307   1,860,280      39,371 SH       SOLE         1       39,371





                                                                                 
J2 GLOBAL
   COMMUNICATIO        COM      4.66E+209     771,941      27,306 SH       SOLE         1       27,306
J2 GLOBAL
   COMMUNICATIONS I    EQUITY   4.66E+209     970,037      40,775 SH       SOLE         2       40,775
JABIL CIRCUIT INC      EQUITY   466313103   1,663,663     115,452 SH       SOLE         2      115,452
JABIL CIRCUT, INC.     COM      466313103     381,415      24,356 SH       SOLE         1       24,356
JACK HENRY +
   ASSOCIATES IN       EQUITY   426281101   6,420,951     251,802 SH       SOLE         2      251,802
JACK IN THE BOX INC    EQUITY   466367109   1,064,003      49,627 SH       SOLE         2       49,627
JACK IN THE BOX INC.   COM      466367109     754,001      32,969 SH       SOLE         1       32,969
JACOBS ENGINEERING
   GROUP I             EQUITY   469814107   1,639,487      42,364 SH       SOLE         2       42,364
JAGUAR MINING INC      EQUITY   47009M103     422,039      64,929 SH       SOLE         2       64,929
JAKKS PACIFIC INC      EQUITY   4.70E+110     443,805      25,159 SH       SOLE         2       25,159
JAKKS PACIFIC, INC.    COM      4.70E+110     321,012      16,702 SH       SOLE         1       16,702
JAMES RIVER COAL CO    EQUITY   470355207     376,264      21,464 SH       SOLE         2       21,464
JANUS CAPITAL GROUP
   INC                 EQUITY   47102X105     681,857      62,270 SH       SOLE         2       62,270
JARDEN CORP            EQUITY   471109108   6,660,357     213,953 SH       SOLE         2      213,953
JDA SOFTWARE GROUP
   INC                 EQUITY   46612K108     953,333      37,592 SH       SOLE         2       37,592
JDA SOFTWARE GROUP,
   INC.                COM      46612K108     669,848      25,013 SH       SOLE         1       25,013
JDS UNIPHASE CORP      EQUITY   46612J507   1,272,391     102,695 SH       SOLE         2      102,695
JEFFERIES GROUP INC    EQUITY   472319102   6,131,541     270,231 SH       SOLE         2      270,231
JETBLUE AIRWAYS CORP   EQUITY   477143101   4,176,761     624,329 SH       SOLE         2      624,329
JM SMUCKER CO/THE      EQUITY   832696405   2,468,534      40,782 SH       SOLE         2       40,782
JO ANN STORES INC      EQUITY   47758P307   1,097,356      24,632 SH       SOLE         2       24,632
JOHN BEAN
   TECHNOLOGIES COR    EQUITY   477839104     408,872      25,380 SH       SOLE         2       25,380
JOHN BEAN
   TECHNOLOGIES CORP   COM      477839104     293,138      16,847 SH       SOLE         1       16,847
JOHNSON & JOHNSON      COM      478160104   2,605,267  42047.5664 SH       DEFINED      4                          42047.5664
JOHNSON & JOHNSON      COM      478160104  17,571,354     273,144 SH       SOLE         1      273,144
JOHNSON + JOHNSON      EQUITY   478160104  79,229,243   1,278,716 SH       SOLE         2    1,278,716
JOHNSON CONTROLS INC   EQUITY   478366107   6,526,238     213,975 SH       SOLE         2      213,975
JOHNSON CTLS INC       COM      478366107     305,014  10000.4719 SH       DEFINED      4                          10000.4719
JONES APPAREL GROUP
   INC                 EQUITY   480074103   7,261,281     369,719 SH       SOLE         2      369,719
JONES LANG LASALLE
   INC                 EQUITY   48020Q107   8,025,094      93,023 SH       SOLE         2       93,023
JOS A BANK CLOTHIERS
   INC                 COM      480838101     734,771      16,471 SH       SOLE         1       16,471
JOS A BANK CLOTHIERS
   INC                 EQUITY   480838101   1,057,410      24,816 SH       SOLE         2       24,816
JOY GLOBAL INC         EQUITY   481165108  16,247,647     231,053 SH       SOLE         2      231,053
JOY GLOBAL INC.        COM      481165108   4,045,875      53,866 SH       SOLE         1       53,866
JPMORGAN CHASE & CO    COM      46625H100     896,418  23552.7575 SH       DEFINED      4                          23552.7575
JPMORGAN CHASE & CO    COM      46625H365     784,098  23239.4162 SH       DEFINED      4                          23239.4162
JPMORGAN CHASE + CO    EQUITY   46625H100  88,835,203   2,333,470 SH       SOLE         2    2,333,470
JPMORGAN CHASE AND
   CO.                 COM      46625H100  22,214,104     548,361 SH       SOLE         1      548,361
JUNIPER NETWORKS INC   EQUITY   48203R104   7,473,991     246,260 SH       SOLE         2      246,260
JUNIPER NETWORKS,





                                                                                 
   INC.                COM      48203R104   1,708,543      49,972 SH       SOLE         1       49,972
K SWISS INC CL A       EQUITY   482686102     302,698      23,741 SH       SOLE         2       23,741
K12 INC                EQUITY   48273U102     563,153      19,399 SH       SOLE         2       19,399
KAISER ALUMINUM CORP   COM      483007704     414,883       8,848 SH       SOLE         1        8,848
KAISER ALUMINUM CORP   EQUITY   483007704     584,169      13,652 SH       SOLE         2       13,652
KAMAN CORP             EQUITY   483548103     612,528      23,370 SH       SOLE         2       23,370
KAMAN CORP., CLASS A   COM      483548103     442,237      15,528 SH       SOLE         1       15,528
KANSAS CITY SOUTHERN   EQUITY   485170302   8,376,585     223,913 SH       SOLE         2      223,913
KAPSTONE PAPER AND
   PACKAGI             EQUITY   48562P103     358,227      29,508 SH       SOLE         2       29,508
KAYDON CORP            EQUITY   486587108   1,043,398      30,156 SH       SOLE         2       30,156
KAYDON CORP.           COM      486587108     721,176      20,016 SH       SOLE         1       20,016
KB HOME                EQUITY   48666K109   1,789,879     157,977 SH       SOLE         2      157,977
KBR INC                EQUITY   48242W106   8,422,075     341,805 SH       SOLE         2      341,805
KBW INC                EQUITY   482423100     701,338      27,396 SH       SOLE         2       27,396
KEITHLEY INSTRUMENTS
   INC                 EQUITY   487584104     223,080      10,371 SH       SOLE         2       10,371
KELLOGG CO             EQUITY   487836108   7,019,375     138,970 SH       SOLE         2      138,970
KELLOGG CO.            COM      487836108   5,177,022     104,968 SH       SOLE         1      104,968
KELLY SERVICES INC
   CL A                EQUITY   488152208     282,482      24,082 SH       SOLE         2       24,082
KELLY SERVICES,
   INC., CLASS A       COM      488152208     276,042      16,904 SH       SOLE         1       16,904
KENEXA CORP            EQUITY   488879107     305,724      17,450 SH       SOLE         2       17,450
KENNAMETAL INC         EQUITY   489170100   5,531,181     178,829 SH       SOLE         2      178,829
KENSEY NASH CORP       EQUITY   490057106     211,879       7,334 SH       SOLE         2        7,334
KERYX
   BIOPHARMACEUTICALS  EQUITY   492515101     189,562      39,410 SH       SOLE         2       39,410
KEY ENERGY SERVICES
   INC                 EQUITY   492914106   5,154,563     542,015 SH       SOLE         2      542,015
KEYCORP                COM      493267108   1,670,165     200,500 SH       SOLE         1      200,500
KEYCORP                EQUITY   493267108   3,283,795     412,537 SH       SOLE         2      412,537
KFORCE INC             EQUITY   493732101     325,658      23,736 SH       SOLE         2       23,736
KID BRANDS INC         COM      49375T100     119,518      12,893 SH       SOLE         1       12,893
KID BRANDS INC         EQUITY   49375T100     107,397      12,488 SH       SOLE         2       12,488
KILROY REALTY CORP     EQUITY   49427F108   1,614,879      48,729 SH       SOLE         2       48,729
KILROY REALTY CORP.    COM      49427F108   1,097,331      31,263 SH       SOLE         1       31,263
KIMBALL
   INTERNATIONAL B     EQUITY   494274103     141,057      24,195 SH       SOLE         2       24,195
KIMBERLY CLARK CORP    COM      494368103     344,424   5294.7527 SH       DEFINED      4                           5294.7527
KIMBERLY CLARK CORP    EQUITY   494368103  11,969,525     184,005 SH       SOLE         2      184,005
KIMCO REALTY CORP      EQUITY   49446R109   2,287,010     145,207 SH       SOLE         2      145,207
KINDER MORGAN ENERGY
   PARTNER             COM      494550106   1,850,510  27014.7405 SH       DEFINED      4                          27014.7405
KINDRED HEALTHCARE
   INC                 EQUITY   494580103   1,508,927     115,893 SH       SOLE         2      115,893
KINETIC CONCEPTS INC   EQUITY   49460W208   4,997,486     136,618 SH       SOLE         2      136,618
KING PHARMACEUTICALS
   INC                 EQUITY   495582108     916,390      92,007 SH       SOLE         2       92,007
KING
   PHARMACEUTICALS,
   INC.                COM      495582108   3,690,161     260,237 SH       SOLE         1      260,237
KINROSS GOLD           COM      496902404     848,694      44,373 SH       SOLE         1       44,373
KIRBY CORP             EQUITY   497266106   4,724,396     117,933 SH       SOLE         2      117,933





                                                                                 
KIRKLAND S INC         EQUITY   497498105     207,179      14,948 SH       SOLE         2       14,948
KIT DIGITAL INC        EQUITY   482470200     183,363      15,293 SH       SOLE         2       15,293
KITE REALTY GROUP
   TRUST               COM      49803T102     197,473      37,830 SH       SOLE         1       37,830
KITE REALTY GROUP
   TRUST               EQUITY   49803T102     222,249      50,056 SH       SOLE         2       50,056
KLA TENCOR
   CORPORATION         EQUITY   482480100   3,226,680      91,589 SH       SOLE         2       91,589
KNIGHT CAPITAL GROUP
   INC A               EQUITY   499005106     904,346      72,990 SH       SOLE         2       72,990
KNIGHT
   TRANSPORTATION INC  COM      499064103     675,803      37,010 SH       SOLE         1       37,010
KNIGHT
   TRANSPORTATION INC  EQUITY   499064103   1,042,177      53,915 SH       SOLE         2       53,915
KNOLL INC              EQUITY   498904200     562,997      36,299 SH       SOLE         2       36,299
KNOLOGY INC            EQUITY   499183804     316,424      23,561 SH       SOLE         2       23,561
KNOT INC/THE           COM      499184109     163,485      18,165 SH       SOLE         1       18,165
KNOT INC/THE           EQUITY   499184109     247,852      27,147 SH       SOLE         2       27,147
KODIAK OIL + GAS CORP  EQUITY   50015Q100   7,807,987   2,303,241 SH       SOLE         2    2,303,241
KOHLS CORP             EQUITY   500255104   5,138,196      97,536 SH       SOLE         2       97,536
KOHLS CORP.            COM      500255104   1,466,771      27,545 SH       SOLE         1       27,545
KOPIN CORP             EQUITY   500600101     213,167      60,047 SH       SOLE         2       60,047
KOPIN CORP.            COM      500600101     151,172      39,887 SH       SOLE         1       39,887
KOPPERS HOLDINGS INC   EQUITY   50060P106     426,346      15,867 SH       SOLE         2       15,867
KORN/FERRY
   INTERNATIONAL       EQUITY   500643200   2,244,991     135,731 SH       SOLE         2      135,731
KRAFT FOODS INC        COM      50075N104     561,154  18183.8684 SH       DEFINED      4                          18183.8684
KRAFT FOODS INC        COM      50075N104   1,549,465      49,790 SH       SOLE         1       49,790
KRAFT FOODS INC
   CLASS A             EQUITY   50075N104  52,582,107   1,703,892 SH       SOLE         2    1,703,892
KRATON PERFORMANCE
   POLYMER             EQUITY   50077C106     235,499       8,674 SH       SOLE         2        8,674
KRATOS DEFENSE +
   SECURITY            EQUITY   50077B207     130,867      12,288 SH       SOLE         2       12,288
KRISPY KREME
   DOUGHNUTS INC       EQUITY   501014104     206,553      45,099 SH       SOLE         2       45,099
KROGER CO              EQUITY   501044101   4,421,391     204,127 SH       SOLE         2      204,127
K-SWISS, INC.          COM      482686102     195,169      16,237 SH       SOLE         1       16,237
KULICKE & SOFFA
   INDUSTRIES          COM      501242101     278,993      42,144 SH       SOLE         1       42,144
KULICKE + SOFFA
   INDUSTRIES          EQUITY   501242101     391,623      63,267 SH       SOLE         2       63,267
KVH INDUSTRIES INC     EQUITY   482738101     166,521      11,094 SH       SOLE         2       11,094
L 1 IDENTITY
   SOLUTIONS INC       EQUITY   50212A106     695,777      59,316 SH       SOLE         2       59,316
L 3 COMMUNICATIONS
   HLDGS I             EQUITY   502424104   2,827,419      39,123 SH       SOLE         2       39,123
L+L ENERGY INC         EQUITY   50162D100     108,872      13,575 SH       SOLE         2       13,575
L-3 COMMUNICATIONS
   HOLDINGS,           COM      502424104   1,117,036      15,173 SH       SOLE         1       15,173
LA Z BOY INC           EQUITY   505336107     392,587      46,515 SH       SOLE         2       46,515
LABORATORY CRP OF
   AMER HLD            EQUITY   50540R409   2,696,188      34,377 SH       SOLE         2       34,377
LABORATORY CRP OF





                                                                                 
   AMER HLDGS          COM      50540R409   8,070,588      97,236 SH       SOLE         1       97,236
LABRANCHE & CO. INC.   COM      505447102      69,273      22,132 SH       SOLE         1       22,132
LABRANCHE + CO INC     EQUITY   505447102     130,627      33,494 SH       SOLE         2       33,494
LACLEDE GAS CO.        COM      505597104     474,602      13,339 SH       SOLE         1       13,339
LACLEDE GROUP INC/THE  EQUITY   505597104     691,257      20,083 SH       SOLE         2       20,083
LADENBURG THALMANN
   FINANCI             EQUITY   50575Q102      71,843      70,434 SH       SOLE         2       70,434
LADISH CO INC          EQUITY   505754200     377,545      12,128 SH       SOLE         2       12,128
LAKELAND BANCORP INC   EQUITY   511637100     133,793      15,871 SH       SOLE         2       15,871
LAKELAND FINANCIAL
   CORP                EQUITY   511656100     232,149      12,441 SH       SOLE         2       12,441
LAM RESEARCH CORP      EQUITY   512807108  11,642,377     278,193 SH       SOLE         2      278,193
LAM RESEARCH CORP.     COM      512807108   2,614,979      54,062 SH       SOLE         1       54,062
LAMAR ADVERTISING CO
   CL A                EQUITY   512815101   3,979,091     125,050 SH       SOLE         2      125,050
LANCASTER COLONY CORP  EQUITY   513847103   2,700,138      56,845 SH       SOLE         2       56,845
LANCE INC              EQUITY   514606102     514,821      24,170 SH       SOLE         2       24,170
LANCE, INC.            COM      514606102     456,492      19,450 SH       SOLE         1       19,450
LANDAUER INC           EQUITY   51476K103     530,163       8,465 SH       SOLE         2        8,465
LANDAUER, INC.         COM      51476K103     358,144       5,625 SH       SOLE         1        5,625
LANDEC CORP            EQUITY   514766104     126,678      20,399 SH       SOLE         2       20,399
LANDSTAR SYSTEM INC    EQUITY   515098101   7,857,702     203,462 SH       SOLE         2      203,462
LAS VEGAS SANDS CORP   COM      517834107   1,338,257     38400.5 SH       DEFINED      4                             38400.5
LAS VEGAS SANDS CORP   EQUITY   517834107  13,065,265     374,900 SH       SOLE         2      374,900
LASALLE HOTEL
   PROPERTIES          COM      517942108   1,567,667      62,209 SH       SOLE         1       62,209
LASALLE HOTEL
   PROPERTIES          EQUITY   517942108   1,472,143      62,939 SH       SOLE         2       62,939
LATTICE
   SEMICONDUCTOR CORP  EQUITY   518415104     425,348      89,547 SH       SOLE         2       89,547
LAWSON SOFTWARE INC    EQUITY   52078P102   7,308,416     862,859 SH       SOLE         2      862,859
LAYNE CHRISTENSEN
   COMPANY             EQUITY   521050104     391,120      15,107 SH       SOLE         2       15,107
LA-Z-BOY CHAIR CO.     COM      505336107     271,071      31,015 SH       SOLE         1       31,015
LCA VISION INC         EQUITY   501803308      93,721      16,826 SH       SOLE         2       16,826
LCA-VISION INC         COM      501803308      67,533      11,350 SH       SOLE         1       11,350
LEAPFROG ENTERPRISES
   INC                 EQUITY   52186N106     143,044      26,103 SH       SOLE         2       26,103
LEAR CORP              EQUITY   521865204   3,246,233      41,128 SH       SOLE         2       41,128
LECG CORP              EQUITY   523234102      21,881      19,892 SH       SOLE         2       19,892
LEE ENTERPRISES        EQUITY   523768109      92,875      34,655 SH       SOLE         2       34,655
LEGG MASON INC         EQUITY   524901105   1,596,549      52,674 SH       SOLE         2       52,674
LEGG MASON, INC.       COM      524901105   1,249,620      35,981 SH       SOLE         1       35,981
LEGGETT & PLATT, INC.  COM      524660107     302,486      14,835 SH       SOLE         1       14,835
LEGGETT + PLATT INC    EQUITY   524660107   1,128,805      49,596 SH       SOLE         2       49,596
LENDER PROCESSING
   SERVICES            EQUITY   5.26E+106   6,746,687     203,030 SH       SOLE         2      203,030
LENNAR CORP CL A       EQUITY   526057104     842,870      54,803 SH       SOLE         2       54,803
LENNAR CORP. COM
   CLASS A             COM      526057104     268,968      16,675 SH       SOLE         1       16,675
LENNOX INTERNATIONAL
   INC                 EQUITY   526107107   4,156,827      99,708 SH       SOLE         2       99,708
LEUCADIA NATIONAL
   CORP                EQUITY   527288104   1,603,633      67,893 SH       SOLE         2       67,893





                                                                                 
LEVEL 3
   COMMUNICATIONS INC  EQUITY   52729N100      32,554      34,732 SH       SOLE         2       34,732
LEXICON
   PHARMACEUTICALS IN  EQUITY   528872104     244,325     152,703 SH       SOLE         2      152,703
LEXINGTON REALTY
   TRUST               COM      529043101     630,327      71,143 SH       SOLE         1       71,143
LEXINGTON REALTY
   TRUST               EQUITY   529043101     641,658      89,617 SH       SOLE         2       89,617
LEXMARK
   INTERNATIONAL
   GROUP               COM      529771107   1,258,314      31,848 SH       SOLE         1       31,848
LEXMARK
   INTERNATIONAL INC   EQUITY   529771107   1,785,692      40,020 SH       SOLE         2       40,020
LHC GROUP INC          COM      50187A107     260,549       9,379 SH       SOLE         1        9,379
LHC GROUP INC          EQUITY   50187A107     326,933      14,098 SH       SOLE         2       14,098
LIBBEY INC             EQUITY   529898108     164,401      12,483 SH       SOLE         2       12,483
LIBERTY MEDIA CORP
   INTER A             EQUITY   53071M104     620,103      45,230 SH       SOLE         2       45,230
LIBERTY MEDIA STARZ
   SERIES              EQUITY   53071M708   7,972,779     122,885 SH       SOLE         2      122,885
LIBERTY PROPERTY
   TRUST               EQUITY   531172104   7,934,934     248,744 SH       SOLE         2      248,744
LIFE PARTNERS
   HOLDINGS INC        COM      53215T106     299,288      15,200 SH       SOLE         1       15,200
LIFE TECHNOLOGIES
   CORP                COM      53217V109   2,971,600      57,645 SH       SOLE         1       57,645
LIFE TECHNOLOGIES
   CORP                EQUITY   53217V109   3,364,388      72,058 SH       SOLE         2       72,058
LIFE TIME FITNESS INC  EQUITY   53217R207   4,848,771     122,847 SH       SOLE         2      122,847
LIFEPOINT HOSPITALS
   INC                 EQUITY   53219L109   4,157,380     118,579 SH       SOLE         2      118,579
LIFEWAY FOODS INC      COM      531914109     126,240       12000 SH       DEFINED      3                               12000
LIGAND
   PHARMACEUTICALS CL  EQUITY   53220K207     143,478      90,809 SH       SOLE         2       90,809
LILLY ELI & CO         COM      532457108     496,808       13600 SH       DEFINED      4                               13600
LIMELIGHT NETWORKS
   INC                 EQUITY   53261M104     208,152      35,400 SH       SOLE         2       35,400
LIN TV CORP CL A       EQUITY   532774106      98,519      22,189 SH       SOLE         2       22,189
LINCARE HOLDINGS INC   EQUITY   532791100   5,367,027     213,911 SH       SOLE         2      213,911
LINCOLN EDUCATIONAL
   SERVIC              EQUITY   533535100     182,892      12,692 SH       SOLE         2       12,692
LINCOLN ELECTRIC
   HOLDINGS            EQUITY   533900106   5,350,258      92,533 SH       SOLE         2       92,533
LINCOLN NATIONAL CORP  EQUITY   534187109   5,189,994     216,973 SH       SOLE         2      216,973
LINDSAY CORP           COM      535555106     465,506       7,472 SH       SOLE         1        7,472
LINDSAY CORP           EQUITY   535555106     487,567      11,255 SH       SOLE         2       11,255
LINEAR TECHNOLOGY
   CORP                EQUITY   535678106   3,639,569     118,437 SH       SOLE         2      118,437
LINEAR TECHNOLOGY
   CORP.               COM      535678106   1,562,963      47,456 SH       SOLE         1       47,456
LINN ENERGY LLC        COM      536020100     258,576   8090.5981 SH       DEFINED      4                           8090.5981
LIONBRIDGE
   TECHNOLOGIES IN     EQUITY   536252109     197,895      46,022 SH       SOLE         2       46,022
LIONS GATE





                                                                                 
   ENTERTAINMENT W     EQUITY   535919203     385,662      52,471 SH       SOLE         2       52,471
LIQUIDITY SERVICES
   INC                 COM      53635B107     166,590      10,277 SH       SOLE         1       10,277
LIQUIDITY SERVICES
   INC                 EQUITY   53635B107     174,973      10,929 SH       SOLE         2       10,929
LITHIA MOTORS INC CL
   A                   EQUITY   536797103     187,312      19,532 SH       SOLE         2       19,532
LITHIA MOTORS, INC.    COM      536797103     168,938      12,896 SH       SOLE         1       12,896
LITTELFUSE INC         EQUITY   537008104     864,561      19,784 SH       SOLE         2       19,784
LITTELFUSE, INC.       COM      537008104     574,677      13,214 SH       SOLE         1       13,214
LIVE NATION
   ENTERTAINMENT       EQUITY   538034109   1,264,205     127,956 SH       SOLE         2      127,956
LIVE NATION
   ENTERTAINMENT INC.  COM      538034109     865,919      89,270 SH       SOLE         1       89,270
LIVEPERSON INC         COM      538146101   1,368,380     138,500 SH       SOLE         1      138,500
LIVEPERSON INC         EQUITY   538146101     288,834      34,385 SH       SOLE         2       34,385
LIZ CLAIBORNE INC      EQUITY   539320101     518,010      85,199 SH       SOLE         2       85,199
LIZ CLAIBORNE, INC.    COM      539320101     384,486      56,542 SH       SOLE         1       56,542
LKQ CORP               EQUITY   501889208   6,495,029     312,261 SH       SOLE         2      312,261
LLOYDS BANKING GROUP
   PLC                 COM      539439109      91,029       19746 SH       DEFINED      4                               19746
LOCAL.COM CORP         EQUITY   53954R105      54,591      12,351 SH       SOLE         2       12,351
LOCKHEED MARTIN CORP   EQUITY   539830109  18,110,537     254,076 SH       SOLE         2      254,076
LOCKHEED MARTIN CORP.  COM      539830109   1,121,777      15,306 SH       SOLE         1       15,306
LODGENET INTERACTIVE
   CORP                EQUITY   540211109      54,174      19,348 SH       SOLE         2       19,348
LOEWS CORP             EQUITY   540424108   7,980,679     210,572 SH       SOLE         2      210,572
LOGMEIN INC            COM      54142L109     403,508      10,050 SH       SOLE         1       10,050
LOGMEIN INC            EQUITY   54142L109     418,375      11,628 SH       SOLE         2       11,628
LO-JACK CORPORATION    COM      539451104      55,315      11,063 SH       SOLE         1       11,063
LOOPNET INC            EQUITY   543524300     165,961      14,017 SH       SOLE         2       14,017
LORAL SPACE +
   COMMUNICATIO        EQUITY   543881106     435,035       8,334 SH       SOLE         2        8,334
LORILLARD INC          COM      544147101   5,376,308      60,259 SH       SOLE         1       60,259
LORILLARD INC          EQUITY   544147101  15,669,123     195,108 SH       SOLE         2      195,108
LOUISIANA PACIFIC
   CORP                EQUITY   546347105   2,857,955     377,537 SH       SOLE         2      377,537
LOWE S COS INC         EQUITY   548661107  15,407,316     691,221 SH       SOLE         2      691,221
LOWE'S COMPANIES,
   INC.                COM      548661107   2,619,609     118,588 SH       SOLE         1      118,588
LSB INDUSTRIES INC     COM      502160104     229,077       9,719 SH       SOLE         1        9,719
LSB INDUSTRIES INC     EQUITY   502160104     284,474      15,319 SH       SOLE         2       15,319
LSI CORP               EQUITY   502161102   1,314,315     288,227 SH       SOLE         2      288,227
LSI CORP.              COM      502161102     691,981     123,789 SH       SOLE         1      123,789
LSI INDUSTRIES INC     EQUITY   50216C108      93,835      14,616 SH       SOLE         2       14,616
LTC PROP INC           COM      502175102     440,601      15,438 SH       SOLE         1       15,438
LTC PROPERTIES INC     EQUITY   502175102     593,493      23,256 SH       SOLE         2       23,256
LTD BRANDS INC         EQUITY   532716107   4,811,348     179,662 SH       SOLE         2      179,662
LTX CREDENCE CORP      EQUITY   502403108     237,039     113,416 SH       SOLE         2      113,416
LUBRIZOL CORP          EQUITY   549271104  15,606,520     147,273 SH       SOLE         2      147,273
LUBRIZOL CORP.         COM      549271104   1,190,821      10,937 SH       SOLE         1       10,937
LUFKIN INDS INC COM    COM      549764108     913,790      17,928 SH       SOLE         1       17,928
LUFKIN INDUSTRIES INC  EQUITY   549764108   1,184,905      26,991 SH       SOLE         2       26,991
LUMBER LIQUIDATORS





                                                                                 
   HOLDING             EQUITY   55003T107     495,945      20,185 SH       SOLE         2       20,185
LUMBER LIQUIDATORS
   HOLDINGS INC        COM      55003T107     303,766      13,947 SH       SOLE         1       13,947
LUMINEX CORP           EQUITY   5.50E+106     463,152      28,947 SH       SOLE         2       28,947
LYDALL INC             EQUITY   550819106     113,167      15,376 SH       SOLE         2       15,376
LYDALL, INC.           COM      550819106      81,108      10,306 SH       SOLE         1       10,306
M + T BANK CORP        EQUITY   55261F104   3,436,920      42,011 SH       SOLE         2       42,011
M&T BANK CORP.         COM      55261F104   1,092,704      13,290 SH       SOLE         1       13,290
M/I HOMES INC          COM      55305B101     133,230      11,084 SH       SOLE         1       11,084
M/I HOMES INC          EQUITY   55305B101     173,200      16,702 SH       SOLE         2       16,702
MACERICH CO/THE        EQUITY   554382101  12,220,392     284,526 SH       SOLE         2      284,526
MACK CALI REALTY CORP  EQUITY   554489104   5,680,419     173,660 SH       SOLE         2      173,660
MACY S INC             EQUITY   55616P104   3,327,800     144,123 SH       SOLE         2      144,123
MACY'S INC             COM      55616P104   3,815,172     149,205 SH       SOLE         1      149,205
MADISON CLAYMORE
   CALL &EQTY          COM      556582104     108,689       12226 SH       DEFINED      4                               12226
MAGELLAN HEALTH
   SERVICES I          EQUITY   559079207   1,420,129      30,062 SH       SOLE         2       30,062
MAGELLAN HEALTH
   SERVICES INC        COM      559079207     977,976      19,975 SH       SOLE         1       19,975
MAGMA DESIGN
   AUTOMATION IN       EQUITY   559181102     148,104      40,028 SH       SOLE         2       40,028
MAGNA INTL INC A       COM      559222401     812,673       8,167 SH       SOLE         1        8,167
MAGNUM HUNTER
   RESOURCES CO        EQUITY   55973B102     168,332      40,660 SH       SOLE         2       40,660
MAIDEN HOLDINGS LTD    EQUITY   G5753U112     291,668      38,327 SH       SOLE         2       38,327
MAIDENFORM BRANDS INC  COM      560305104     399,690      13,811 SH       SOLE         1       13,811
MAIDENFORM BRANDS INC  EQUITY   560305104     596,647      20,681 SH       SOLE         2       20,681
MAIN STREET CAPITAL
   CORP                EQUITY   56035L104     182,799      11,504 SH       SOLE         2       11,504
MAINSOURCE FINANCIAL
   GROUP               EQUITY   56062Y102     118,817      15,552 SH       SOLE         2       15,552
MAKO SURGICAL CORP     EQUITY   560879108     188,879      19,716 SH       SOLE         2       19,716
MANHATTAN ASSOCIATES
   INC                 EQUITY   562750109     598,535      20,393 SH       SOLE         2       20,393
MANHATTAN
   ASSOCIATES, INC.    COM      562750109     412,152      13,210 SH       SOLE         1       13,210
MANITOWOC INC          COM      563571108     442,051       36503 SH       DEFINED      4                               36503
MANNKIND CORP          EQUITY   56400P201     347,768      51,445 SH       SOLE         2       51,445
MANPOWER INC           EQUITY   56418H100   9,386,343     179,815 SH       SOLE         2      179,815
MANTECH
   INTERNATIONAL CORP  EQUITY   564563104   2,607,977      65,858 SH       SOLE         2       65,858
MANULIFE FINANCIAL
   CORP                COM      56501R106   6,217,145     406,056 SH       SOLE         1      406,056
MAP PHARMACEUTICALS
   INC                 EQUITY   56509R108     162,991      10,653 SH       SOLE         2       10,653
MARATHON OIL CORP      COM      565849106     831,387      24,503 SH       SOLE         1       24,503
MARATHON OIL CORP      EQUITY   565849106  24,410,125     737,466 SH       SOLE         2      737,466
MARCHEX INC CLASS B    EQUITY   56624R108      81,265      14,911 SH       SOLE         2       14,911
MARCUS CORP            COM      566330106     173,021      12,941 SH       SOLE         1       12,941
MARCUS CORPORATION     EQUITY   566330106     219,652      18,536 SH       SOLE         2       18,536
MARINEMAX INC          COM      567908108     101,906      13,321 SH       SOLE         1       13,321
MARINEMAX INC          EQUITY   567908108     140,026      19,890 SH       SOLE         2       19,890
MARINER ENERGY INC     EQUITY   56845T305   5,465,949     225,586 SH       SOLE         2      225,586





                                                                                 
MARKET VECTORS ETF TR  COM      57060U753      845747        9765 SH       DEFINED      3                                9765
MARKET VECTORS ETF TR  COM      57060U100     573,786       10259 SH       DEFINED      4                               10259
MARKET VECTORS ETF TR  COM      57060U753     845,747        9765 SH       DEFINED      3                                9765
MARKETAXESS HOLDINGS
   INC                 EQUITY   57060D108     362,438      21,345 SH       SOLE         2       21,345
MARRIOTT
   INTERNATIONAL CL    EQUITY   571903202   3,463,901      96,676 SH       SOLE         2       96,676
MARSH + MCLENNAN COS   EQUITY   571748102   6,973,188     289,104 SH       SOLE         2      289,104
MARSHALL + ILSLEY
   CORP                EQUITY   571837103   1,857,089     263,791 SH       SOLE         2      263,791
MARTEK BIOSCIENCES
   CORP                EQUITY   572901106     680,190      30,057 SH       SOLE         2       30,057
MARTEK BIOSCIENCES
   CORP.               COM      572901106     448,183      20,035 SH       SOLE         1       20,035
MARTEN TRANSPORT LTD   EQUITY   573075108     275,494      11,885 SH       SOLE         2       11,885
MARTHA STEWART
   LIVING  CL          EQUITY   573083102      97,198      20,506 SH       SOLE         2       20,506
MARTIN MARIETTA
   MATERIALS           EQUITY   573284106   7,641,813      99,283 SH       SOLE         2       99,283
MARVELL TECHNOLOGY
   GROUP L             EQUITY   G5876H105   1,473,379      84,145 SH       SOLE         2       84,145
MARVELL TECHNOLOGY
   GROUP LTD           COM      G5876H105     178,252       10180 SH       DEFINED      4                               10180
MASCO CORP             EQUITY   574599106   1,342,108     121,899 SH       SOLE         2      121,899
MASCO CORP.            COM      574599106     308,108      26,561 SH       SOLE         1       26,561
MASIMO CORPORATION     EQUITY   574795100   4,571,284     167,385 SH       SOLE         2      167,385
MASSEY ENERGY CO       EQUITY   576206106   1,078,969      34,783 SH       SOLE         2       34,783
MASTEC INC             COM      576323109   1,353,746      91,100 SH       SOLE         1       91,100
MASTEC INC             EQUITY   576323109   3,412,164     330,636 SH       SOLE         2      330,636
MASTERCARD INC CLASS
   A                   EQUITY   57636Q104   9,771,104      43,621 SH       SOLE         2       43,621
MATRIX SERVICE CO      COM      576853105     170,068      15,747 SH       SOLE         1       15,747
MATRIX SERVICE CO      EQUITY   576853105     207,646      23,731 SH       SOLE         2       23,731
MATTEL INC             EQUITY   577081102   3,748,580     159,786 SH       SOLE         2      159,786
MATTHEWS INTL CORP
   CLASS A             EQUITY   577128101   3,102,168      87,731 SH       SOLE         2       87,731
MATTSON TECHNOLOGY
   INC                 EQUITY   577223100     106,257      38,639 SH       SOLE         2       38,639
MAXIM INTEGRATED
   PRODUCTS            EQUITY   57772K101     406,424      21,957 SH       SOLE         2       21,957
MAXIMUS INC            EQUITY   577933104     968,530      15,728 SH       SOLE         2       15,728
MAXIMUS, INC.          COM      577933104     651,877      10,367 SH       SOLE         1       10,367
MAXWELL TECHNOLOGIES
   INC                 EQUITY   577767106     298,088      20,403 SH       SOLE         2       20,403
MAXYGEN INC            EQUITY   577776107     138,943      23,997 SH       SOLE         2       23,997
MB FINANCIAL INC       EQUITY   55264U108     663,317      40,895 SH       SOLE         2       40,895
MCAFEE INC             COM      579064106   1,515,270      32,015 SH       SOLE         1       32,015
MCAFEE INC             EQUITY   579064106   2,404,400      50,876 SH       SOLE         2       50,876
MCCLATCHY CO CLASS A   EQUITY   579489105     180,945      46,042 SH       SOLE         2       46,042
MCCORMICK + CO NON
   VTG SHR             EQUITY   579780206   1,890,160      44,961 SH       SOLE         2       44,961
MCCORMICK + SCHMICK
   S SEAF              EQUITY   579793100      89,198      11,465 SH       SOLE         2       11,465
MCDONALD S CORP        EQUITY   580135101  51,818,352     695,455 SH       SOLE         2      695,455





                                                                                 
MCDONALDS CORP         COM      580135101   1,948,040  26144.6817 SH       DEFINED      4                          26144.6817
MCDONALD'S CORP        COM      580135101  12,489,263     157,474 SH       SOLE         1      157,474
MCG CAPITAL CORP       EQUITY   58047P107     345,290      59,125 SH       SOLE         2       59,125
MCGRATH RENTCORP       EQUITY   580589109     442,404      18,472 SH       SOLE         2       18,472
MCGRAW HILL
   COMPANIES INC       EQUITY   580645109  16,322,383     493,720 SH       SOLE         2      493,720
MCGRAW-HILL, INC.      COM      580645109   1,748,537      45,252 SH       SOLE         1       45,252
MCKESSON CORP          EQUITY   58155Q103   7,420,890     120,118 SH       SOLE         2      120,118
MCKESSON CORP.         COM      58155Q103   7,899,532     120,383 SH       SOLE         1      120,383
MCMORAN EXPLORATION
   CO                  EQUITY   582411104   1,105,002      64,207 SH       SOLE         2       64,207
MDC HOLDINGS INC       EQUITY   552676108   2,394,191      82,473 SH       SOLE         2       82,473
MDU RESOURCES GROUP
   INC                 EQUITY   552690109   8,211,300     411,594 SH       SOLE         2      411,594
MEAD JOHNSON
   NUTRITION CO        EQUITY   582839106   5,418,401      95,210 SH       SOLE         2       95,210
MEADOWBROOK
   INSURANCE GROU      EQUITY   58319P108     375,565      41,869 SH       SOLE         2       41,869
MEADWESTVACO CORP      COM      583334107   3,186,216     119,200 SH       SOLE         1      119,200
MEADWESTVACO CORP      EQUITY   583334107   1,416,064      58,083 SH       SOLE         2       58,083
MEASUREMENT
   SPECIALTIES IN      EQUITY   583421102     207,161      11,210 SH       SOLE         2       11,210
MEDALLION FINANCIAL
   CORP                EQUITY   583928106      89,351      11,470 SH       SOLE         2       11,470
MEDASSETS INC          EQUITY   584045108     699,370      33,240 SH       SOLE         2       33,240
MEDCATH CORP           COM      58404W109     127,402      12,262 SH       SOLE         1       12,262
MEDCATH CORPORATION    EQUITY   58404W109     186,305      18,501 SH       SOLE         2       18,501
MEDCO HEALTH
   SOLUTIONS INC       COM      58405U102   8,986,500     149,775 SH       SOLE         1      149,775
MEDCO HEALTH
   SOLUTIONS INC       EQUITY   58405U102   9,120,548     175,193 SH       SOLE         2      175,193
MEDIA GENERAL INC
   CL A                EQUITY   584404107     152,517      17,022 SH       SOLE         2       17,022
MEDIACOM
   COMMUNICATIONS CL   EQUITY   58446K105     204,137      30,883 SH       SOLE         2       30,883
MEDICAL ACTION IND
   INC                 EQUITY   58449L100     100,138      11,065 SH       SOLE         2       11,065
MEDICAL PROPERTIES
   TRUST I             EQUITY   58463J304   1,016,941     100,290 SH       SOLE         2      100,290
MEDICAL PROPERTIES
   TRUST INC           COM      58463J304     723,346      62,845 SH       SOLE         1       62,845
MEDICINES COMPANY      EQUITY   584688105     583,890      41,119 SH       SOLE         2       41,119
MEDICIS
   PHARMACEUTICAL CL   EQUITY   584690309   5,240,904     176,759 SH       SOLE         2      176,759
MEDIDATA SOLUTIONS
   INC                 EQUITY   58471A105     278,803      14,521 SH       SOLE         2       14,521
MEDIFAST INC           EQUITY   58470H101     329,874      12,159 SH       SOLE         2       12,159
MEDIVATION INC         EQUITY   58501N101     341,445      26,265 SH       SOLE         2       26,265
MEDNAX INC             EQUITY   58502B106   5,539,362     103,928 SH       SOLE         2      103,928
MEDTRONIC INC          EQUITY   585055106  16,492,582     491,143 SH       SOLE         2      491,143
MEDTRONIC, INC.        COM      585055106   1,122,292      31,757 SH       SOLE         1       31,757
MELA SCIENCES INC      EQUITY   55277R100     127,055      19,487 SH       SOLE         2       19,487
MEMC ELECTRONIC
   MATERIALS           EQUITY   552715104     919,640      77,151 SH       SOLE         2       77,151





                                                                                 
MEN S WEARHOUSE
   INC/THE             EQUITY   587118100   1,129,264      47,468 SH       SOLE         2       47,468
MENS WEARHOUSE, INC.   COM      587118100     816,813      31,525 SH       SOLE         1       31,525
MENTOR GRAPHICS CORP   EQUITY   587200106   3,370,773     318,900 SH       SOLE         2      318,900
MERCADOLIBRE INC       EQUITY   58733R102  19,444,498     269,389 SH       SOLE         2      269,389
MERCK & CO INC NEW     COM      58933Y105     249,813     6786.56 SH       DEFINED      4                             6786.56
MERCK & CO INC/NJ      COM      58933Y105   4,653,290     130,637 SH       SOLE         1      130,637
MERCK + CO. INC.       EQUITY   58933Y105  49,757,770   1,351,746 SH       SOLE         2    1,351,746
MERCURY COMPUTER
   SYSTEMS I           EQUITY   589378108     256,949      21,359 SH       SOLE         2       21,359
MERCURY COMPUTER
   SYSTEMS INC         COM      589378108     219,884      14,232 SH       SOLE         1       14,232
MERCURY GENERAL CORP   EQUITY   589400100   3,176,335      77,718 SH       SOLE         2       77,718
MEREDITH CORP          EQUITY   589433101  15,251,283     457,859 SH       SOLE         2      457,859
MERGE HEALTHCARE INC   EQUITY   589499102     115,664      39,884 SH       SOLE         2       39,884
MERIDIAN BIOSCIENCE
   INC                 COM      589584101     568,022      24,316 SH       SOLE         1       24,316
MERIDIAN BIOSCIENCE
   INC                 EQUITY   589584101     801,661      36,639 SH       SOLE         2       36,639
MERIT MED SYS INC      COM      589889104     259,522      16,885 SH       SOLE         1       16,885
MERIT MEDICAL
   SYSTEMS INC         EQUITY   589889104     403,924      25,420 SH       SOLE         2       25,420
MERITAGE HOMES CORP    EQUITY   59001A102     567,528      28,926 SH       SOLE         2       28,926
MERITAGE HOMES
   CORPORATION         COM      59001A102     395,671      19,198 SH       SOLE         1       19,198
MERU NETWORKS INC      COM      59047Q103     808,500      46,200 SH       SOLE         1       46,200
MET PRO CORP           EQUITY   590876306     113,906      11,289 SH       SOLE         2       11,289
METABOLIX INC          EQUITY   591018809     259,752      20,648 SH       SOLE         2       20,648
METALICO INC           EQUITY   591176102     110,997      28,981 SH       SOLE         2       28,981
METHODE ELECTRONICS
   INC                 EQUITY   591520200     304,334      33,517 SH       SOLE         2       33,517
METHODE ELECTRONICS,
   INC.                COM      591520200     213,623      22,023 SH       SOLE         1       22,023
METLIFE INC            EQUITY   59156R108  15,092,356     392,519 SH       SOLE         2      392,519
METRO BANCORP INC      EQUITY   59161R101     108,388      10,432 SH       SOLE         2       10,432
METRO HEALTH
   NETWORKS INC        EQUITY   592142103     117,143      30,827 SH       SOLE         2       30,827
METROPCS
   COMMUNICATIONS IN   EQUITY   591708102   1,263,767     120,819 SH       SOLE         2      120,819
METROPCS
   COMMUNICATIONS INC  COM      591708102     629,670      51,570 SH       SOLE         1       51,570
METTLER TOLEDO
   INTERNATION         EQUITY   592688105   9,068,938      72,878 SH       SOLE         2       72,878
MF GLOBAL HOLDINGS
   LTD                 EQUITY   55277J108     583,502      81,042 SH       SOLE         2       81,042
MFA FINANCIAL INC      EQUITY   55272X102   1,650,957     216,377 SH       SOLE         2      216,377
MGE ENERGY INC         EQUITY   55277P104     706,761      17,852 SH       SOLE         2       17,852
MGIC INVESTMENT CORP   EQUITY   552848103   1,428,887     154,809 SH       SOLE         2      154,809
MGM RESORTS
   INTERNATIONAL       COM      552953101     159,578       14147 SH       DEFINED      4                               14147
MICHAEL BAKER CORP     EQUITY   57149106      201,320       6,108 SH       SOLE         2        6,108
MICREL INC             EQUITY   594793101     451,558      45,797 SH       SOLE         2       45,797
MICREL, INC.           COM      594793101     371,620      30,213 SH       SOLE         1       30,213
MICROCHIP TECHNOLOGY





                                                                                 
   INC                 EQUITY   595017104   3,756,168     119,433 SH       SOLE         2      119,433
MICROCHIP
   TECHNOLOGY, INC.    COM      595017104   1,548,137      45,830 SH       SOLE         1       45,830
MICROMET INC           EQUITY   59509C105     419,523      62,429 SH       SOLE         2       62,429
MICRON TECHNOLOGY INC  EQUITY   595112103   2,282,801     316,616 SH       SOLE         2      316,616
MICROS SYSTEMS INC     COM      594901100   1,228,757      26,976 SH       SOLE         1       26,976
MICROS SYSTEMS INC     EQUITY   594901100   7,394,204     174,680 SH       SOLE         2      174,680
MICROSEMI CORP         EQUITY   595137100   1,283,815      74,858 SH       SOLE         2       74,858
MICROSEMI CORP.        COM      595137100   1,053,397      49,712 SH       SOLE         1       49,712
MICROSOFT CORP         COM      594918104   1,781,033  72724.9115 SH       DEFINED      4                          72724.9115
MICROSOFT CORP         EQUITY   594918104 122,054,168   4,983,837 SH       SOLE         2    4,983,837
MICROSOFT CORP.        COM      594918104  30,147,416   1,124,484 SH       SOLE         1    1,124,484
MICROSTRATEGY INC      COM      594972408     474,542       5,261 SH       SOLE         1        5,261
MICROSTRATEGY INC CL
   A                   EQUITY   594972408     701,368       8,098 SH       SOLE         2        8,098
MICROTUNE INC          EQUITY   59514P109     121,046      41,740 SH       SOLE         2       41,740
MICROVISION INC        EQUITY   594960106     150,094      68,536 SH       SOLE         2       68,536
MID AMERICA
   APARTMENT COMM      EQUITY   59522J103   1,723,456      29,572 SH       SOLE         2       29,572
MID-AMERICA APT.
   COMMUNITIES         COM      59522J103   1,240,363      19,626 SH       SOLE         1       19,626
MIDAS INC              EQUITY   595626102      97,743      12,844 SH       SOLE         2       12,844
MIDAS, INC.            COM      595626102     334,088      42,559 SH       SOLE         1       42,559
MIDDLEBY CORP          EQUITY   596278101     813,357      12,831 SH       SOLE         2       12,831
MIDDLESEX WATER CO     EQUITY   596680108     198,914      11,812 SH       SOLE         2       11,812
MILLER PETROLEUM INC   EQUITY   600577100      75,120      13,937 SH       SOLE         2       13,937
MILLICOM INTL
   CELLULAR S.A        EQUITY   L6388F110     576,660       6,010 SH       SOLE         2        6,010
MINDSPEED
   TECHNOLOGIES INC    EQUITY   602682205     191,624      24,662 SH       SOLE         2       24,662
MINE SAFETY
   APPLIANCES CO       EQUITY   602720104   2,362,985      87,195 SH       SOLE         2       87,195
MINERALS
   TECHNOLOGIES INC    EQUITY   603158106   3,223,926      54,717 SH       SOLE         2       54,717
MIPS TECHNOLOGIES INC  EQUITY   604567107     345,337      35,492 SH       SOLE         2       35,492
MIRANT CORP            EQUITY   60467R118      33,505     153,364 SH       SOLE         2      153,364
MISSION WEST
   PROPERTIES          EQUITY   605203108      93,171      13,742 SH       SOLE         2       13,742
MISTRAS GROUP INC      EQUITY   60649T107     129,013      11,141 SH       SOLE         2       11,141
MKS INSTRUMENTS INC    EQUITY   55306N104     812,426      45,185 SH       SOLE         2       45,185
MKS INSTRUMENTS, INC.  COM      55306N104     651,221      30,024 SH       SOLE         1       30,024
MOBILE MINI INC        EQUITY   60740F105     503,137      32,799 SH       SOLE         2       32,799
MOBILE MINI INC.       COM      60740F105     380,792      21,772 SH       SOLE         1       21,772
MODINE MANUFACTURING
   CO                  EQUITY   607828100     463,405      35,729 SH       SOLE         2       35,729
MODUSLINK GLOBAL
   SOLUTIONS           EQUITY   60786L107     217,227      34,209 SH       SOLE         2       34,209
MOHAWK INDUSTRIES INC  EQUITY   608190104   6,554,248     122,969 SH       SOLE         2      122,969
MOLEX INC              EQUITY   608554101     995,640      47,570 SH       SOLE         2       47,570
MOLEX, INC.            COM      608554101   1,706,049      78,656 SH       SOLE         1       78,656
MOLINA HEALTHCARE INC  COM      60855R100     259,948       9,998 SH       SOLE         1        9,998
MOLINA HEALTHCARE INC  EQUITY   60855R100     381,828      14,147 SH       SOLE         2       14,147
MOLSON COORS BREWING
   CO B                EQUITY   60871R209   2,537,272      53,733 SH       SOLE         2       53,733





                                                                                 
MOMENTA
   PHARMACEUTICALS IN  EQUITY   60877T100     467,272      31,048 SH       SOLE         2       31,048
MONEYGRAM
   INTERNATIONAL IN    EQUITY   60935Y109     156,804      64,264 SH       SOLE         2       64,264
MONMOUTH REIT CLASS A  EQUITY   609720107     160,568      20,533 SH       SOLE         2       20,533
MONOLITHIC POWER
   SYSTEMS I           EQUITY   609839105   1,241,129      76,003 SH       SOLE         2       76,003
MONOLITHIC POWER
   SYSTEMS INC         COM      609839105     331,339      21,885 SH       SOLE         1       21,885
MONOTYPE IMAGING
   HOLDINGS            EQUITY   61022P100     157,353      17,197 SH       SOLE         2       17,197
MONRO MUFFLER BRAKE
   IN                  COM      610236101     595,543      11,990 SH       SOLE         1       11,990
MONRO MUFFLER BRAKE
   INC                 EQUITY   610236101     826,614      17,927 SH       SOLE         2       17,927
MONSANTO CO            COM      61166W101     361,029       5,795 SH       SOLE         1        5,795
MONSANTO CO            EQUITY   61166W101   9,622,475     200,761 SH       SOLE         2      200,761
MONSTER WORLDWIDE INC  EQUITY   611742107     566,754      43,731 SH       SOLE         2       43,731
MONTPELIER RE
   HOLDINGS LTD        EQUITY   G62185106     950,851      54,899 SH       SOLE         2       54,899
MOODY S CORP           EQUITY   615369105   2,343,599      93,819 SH       SOLE         2       93,819
MOODY'S CORP.          COM      615369105   2,016,942      71,854 SH       SOLE         1       71,854
MOOG INC CLASS A       EQUITY   615394202   1,452,572      40,906 SH       SOLE         2       40,906
MOOG INC.              COM      615394202   1,052,295      27,156 SH       SOLE         1       27,156
MORGAN STANLEY         COM      617446448     738,180      27,129 SH       SOLE         1       27,129
MORGAN STANLEY         EQUITY   617446448  19,564,823     792,740 SH       SOLE         2      792,740
MORGANS HOTEL GROUP
   CO                  EQUITY   61748W108     122,259      16,702 SH       SOLE         2       16,702
MOSYS INC              EQUITY   619718109     102,256      20,954 SH       SOLE         2       20,954
MOTOROLA INC           EQUITY   620076109   6,327,196     741,758 SH       SOLE         2      741,758
MOTOROLA, INC.         COM      620076109     381,656      46,829 SH       SOLE         1       46,829
MOVADO GROUP INC       EQUITY   624580106     154,986      14,245 SH       SOLE         2       14,245
MOVADO GROUP, INC.     COM      624580106     120,198      10,353 SH       SOLE         1       10,353
MOVE INC               EQUITY   62458M108     268,575     120,437 SH       SOLE         2      120,437
MPG OFFICE TRUST INC   EQUITY   553274101      92,700      37,080 SH       SOLE         2       37,080
MSC INDUSTRIAL
   DIRECT CO A         EQUITY   553530106   5,249,986      97,150 SH       SOLE         2       97,150
MSCI INC A             EQUITY   55354G100   8,528,162     256,795 SH       SOLE         2      256,795
MTS SYSTEMS CORP       EQUITY   553777103     456,134      14,714 SH       SOLE         2       14,714
MTS SYSTEMS CORP.      COM      553777103     327,548       9,708 SH       SOLE         1        9,708
MUELLER INDUSTRIES
   INC                 EQUITY   624756102     900,236      33,984 SH       SOLE         2       33,984
MUELLER INDUSTRIES,
   INC.                COM      624756102     693,234      22,603 SH       SOLE         1       22,603
MUELLER WATER
   PRODUCTS INC        EQUITY   624758108     360,277     119,297 SH       SOLE         2      119,297
MULTI FINELINE
   ELECTRONIX          EQUITY   62541B101   2,862,856     130,189 SH       SOLE         2      130,189
MULTIMEDIA GAMES INC   COM      625453105      71,009      16,591 SH       SOLE         1       16,591
MULTIMEDIA GAMES INC   EQUITY   625453105      91,538      24,740 SH       SOLE         2       24,740
MURPHY OIL CORP        EQUITY   626717102   8,861,371     143,110 SH       SOLE         2      143,110
MVC CAPITAL INC        EQUITY   553829102     243,382      18,765 SH       SOLE         2       18,765
MWI VETERINARY
   SUPPLY INC          COM      55402X105     431,299       7,384 SH       SOLE         1        7,384





                                                                                 
MWI VETERINARY
   SUPPLY INC          EQUITY   55402X105     639,422      11,078 SH       SOLE         2       11,078
MYERS INDUSTRIES INC   EQUITY   628464109     273,377      31,825 SH       SOLE         2       31,825
MYERS INDUSTRIES,
   INC.                COM      628464109     206,651      21,130 SH       SOLE         1       21,130
MYLAN INC              EQUITY   628530107  15,719,893     835,720 SH       SOLE         2      835,720
MYLAN INC.             COM      628530107   9,673,981     483,941 SH       SOLE         1      483,941
MYR GROUP
   INC/DELAWARE        EQUITY   55405W104     251,734      15,359 SH       SOLE         2       15,359
N B T BANCORP INC      EQUITY   628778102     685,560      31,063 SH       SOLE         2       31,063
NABI
   BIOPHARMACEUTICALS  EQUITY   629519109     165,941      34,571 SH       SOLE         2       34,571
NABORS INDUSTRIES LTD  COM      2963372     4,325,761     196,894 SH       SOLE         1      196,894
NABORS INDUSTRIES LTD  EQUITY   G6359F103   2,004,028     110,965 SH       SOLE         2      110,965
NACCO INDUSTRIES CL A  EQUITY   629579103     390,196       4,465 SH       SOLE         2        4,465
NANOMETRICS INC        EQUITY   630077105     207,118      13,762 SH       SOLE         2       13,762
NANOSPHERE INC         EQUITY   63009F105      66,150      13,151 SH       SOLE         2       13,151
NARA BANCORP INC       COM      63080P105     194,423      22,713 SH       SOLE         1       22,713
NARA BANCORP INC       EQUITY   63080P105     241,558      34,215 SH       SOLE         2       34,215
NASDAQ OMX GROUP/THE   COM      631103108   1,213,938      55,179 SH       SOLE         1       55,179
NASDAQ OMX GROUP/THE   EQUITY   631103108     970,470      49,947 SH       SOLE         2       49,947
NASH FINCH CO          EQUITY   631158102     480,830      11,303 SH       SOLE         2       11,303
NASHFINCH CO.          COM      631158102     312,582       7,367 SH       SOLE         1        7,367
NATIONAL CINEMEDIA
   INC                 EQUITY   635309107     596,285      33,312 SH       SOLE         2       33,312
NATIONAL FINANCIAL
   PARTNER             EQUITY   63607P208     487,402      38,469 SH       SOLE         2       38,469
NATIONAL FINANCIAL
   PARTNERS            COM      63607P208     351,369      25,517 SH       SOLE         1       25,517
NATIONAL FUEL GAS CO   EQUITY   636180101   9,280,207     179,120 SH       SOLE         2      179,120
NATIONAL HEALTHCARE
   CORP                EQUITY   635906100     257,006       6,933 SH       SOLE         2        6,933
NATIONAL INSTRUMENTS
   CORP                EQUITY   636518102   4,186,849     128,195 SH       SOLE         2      128,195
NATIONAL OILWELL
   VARCO INC           EQUITY   637071101  11,715,710     263,452 SH       SOLE         2      263,452
NATIONAL PENN
   BANCSHARES, INC.    COM      637138108     556,851      75,454 SH       SOLE         1       75,454
NATIONAL PRESTO INDS
   INC                 EQUITY   637215104     466,126       4,378 SH       SOLE         2        4,378
NATIONAL PRESTO
   INDUSTRIES          COM      637215104     360,163       3,121 SH       SOLE         1        3,121
NATIONAL RETAIL
   PROPERTIES          EQUITY   637417106   1,886,113      75,114 SH       SOLE         2       75,114
NATIONAL RETAIL
   PROPERTIES INC      COM      637417106   1,330,499      48,417 SH       SOLE         1       48,417
NATIONAL
   SEMICONDUCTOR COR   EQUITY   637640103   1,124,322      88,044 SH       SOLE         2       88,044
NATIONAL
   SEMICONDUCTOR
   CORP.               COM      637640103   1,392,881     101,448 SH       SOLE         1      101,448
NATIONWIDE HEALTH
   PPTYS IN            EQUITY   638620104  10,463,793     270,592 SH       SOLE         2      270,592
NATL HEALTH





                                                                                 
   INVESTORS INC       EQUITY   63633D104     831,280      18,867 SH       SOLE         2       18,867
NATL PENN BCSHS INC    EQUITY   637138108     710,188     113,630 SH       SOLE         2      113,630
NATL WESTERN LIFE
   INS CL A            EQUITY   638522102     239,015       1,699 SH       SOLE         2        1,699
NATUS MEDICAL INC      COM      639050103     234,078      17,237 SH       SOLE         1       17,237
NATUS MEDICAL INC      EQUITY   639050103     374,988      25,737 SH       SOLE         2       25,737
NAUTILUS INC           COM      63910B102      19,457      12,553 SH       SOLE         1       12,553
NAVIGANT CONSULTING
   INC                 EQUITY   63935N107   1,715,192     147,480 SH       SOLE         2      147,480
NAVIGATORS GROUP INC   COM      638904102     360,435       7,481 SH       SOLE         1        7,481
NAVIGATORS GROUP INC   EQUITY   638904102     491,466      11,012 SH       SOLE         2       11,012
NAVISTAR
   INTERNATIONAL
   CORP.               COM      6.39E+112   1,328,292      24,548 SH       SOLE         1       24,548
NBT BANCORP, INC.      COM      628778102     481,874      20,637 SH       SOLE         1       20,637
NBTY INC               EQUITY   628782104   7,615,830     138,520 SH       SOLE         2      138,520
NCI BUILDING SYSTEMS
   INC                 COM      628852204     109,662      10,070 SH       SOLE         1       10,070
NCI BUILDING SYSTEMS
   INC                 EQUITY   628852204     153,862      16,145 SH       SOLE         2       16,145
NCR CORPORATION        EQUITY   6.29E+112   4,771,263     350,056 SH       SOLE         2      350,056
NECTAR THERAPEUTICS    COM      640268108   1,098,472      78,800 SH       SOLE         1       78,800
NEENAH PAPER INC       EQUITY   640079109     201,719      13,271 SH       SOLE         2       13,271
NEKTAR THERAPEUTICS    EQUITY   640268108   1,072,937      72,643 SH       SOLE         2       72,643
NELNET INC CL A        EQUITY   64031N108     466,409      20,385 SH       SOLE         2       20,385
NEOGEN CORP            COM      640491106     494,157      13,572 SH       SOLE         1       13,572
NEOGEN CORP            EQUITY   640491106     688,949      20,353 SH       SOLE         2       20,353
NEOSTEM INC            EQUITY   640650305      42,522      20,947 SH       SOLE         2       20,947
NETAPP INC             COM      64110D104   8,439,269     150,782 SH       SOLE         1      150,782
NETAPP INC             EQUITY   64110D104   9,328,405     187,355 SH       SOLE         2      187,355
NETEZZA CORP           COM      64111N101   1,079,600      40,000 SH       SOLE         1       40,000
NETEZZA CORP           EQUITY   64111N101   1,060,752      39,360 SH       SOLE         2       39,360
NETFLIX INC            EQUITY   64110L106  15,354,444      94,687 SH       SOLE         2       94,687
NETFLIX.COM INC        COM      64110L106   3,485,262      20,607 SH       SOLE         1       20,607
NETGEAR INC            COM      64111Q104     680,751      21,194 SH       SOLE         1       21,194
NETGEAR INC            EQUITY   64111Q104     858,135      31,771 SH       SOLE         2       31,771
NETLOGIC
   MICROSYSTEMS INC    EQUITY   64118B100   1,333,852      48,363 SH       SOLE         2       48,363
NETSCOUT SYSTEMS INC   COM      64115T104   1,272,824      52,315 SH       SOLE         1       52,315
NETSCOUT SYSTEMS INC   EQUITY   64115T104     576,762      28,121 SH       SOLE         2       28,121
NETSUITE INC           EQUITY   64118Q107     333,138      14,134 SH       SOLE         2       14,134
NETWORK ENGINES INC    EQUITY   64121A107      40,620      27,822 SH       SOLE         2       27,822
NETWORK EQUIPMENT
   TECH INC            EQUITY   641208103      93,471      27,093 SH       SOLE         2       27,093
NETWORK EQUIPMENT
   TECH.               COM      641208103      59,431      17,955 SH       SOLE         1       17,955
NEURALSTEM INC         EQUITY   64127R302      89,546      35,534 SH       SOLE         2       35,534
NEUROCRINE
   BIOSCIENCES INC     EQUITY   64125C109     229,426      37,859 SH       SOLE         2       37,859
NEUSTAR INC CLASS A    EQUITY   64126X201   4,066,773     163,587 SH       SOLE         2      163,587
NEUSTAR INC-CLASS A    COM      64126X201   1,967,301      73,352 SH       SOLE         1       73,352
NEUTRAL TANDEM INC     COM      64128B108     287,118      19,774 SH       SOLE         1       19,774
NEUTRAL TANDEM INC     EQUITY   64128B108     356,014      29,792 SH       SOLE         2       29,792
NEW AMER HIGH INCOME





                                                                                 
   FD INC              COM      641876800     306,645       30271 SH       DEFINED      4                               30271
NEW GOLD INC           COM      644535106   1,380,271     157,632 SH       SOLE         1      157,632
NEW JERSEY RESOURCES
   CORP                EQUITY   646025106   1,459,533      37,214 SH       SOLE         2       37,214
NEW JERSEY RESOURCES
   CORP.               COM      646025106   1,018,334      24,657 SH       SOLE         1       24,657
NEW YORK + CO          EQUITY   649295102      49,904      19,418 SH       SOLE         2       19,418
NEW YORK CMNTY
   BANCORP INC         COM      649445103     345,354  21252.5675 SH       DEFINED      4                          21252.5675
NEW YORK COMMUNITY
   BANCORP             EQUITY   649445103  15,479,116     952,561 SH       SOLE         2      952,561
NEW YORK TIMES CO CL
   A                   EQUITY   650111107     319,438      41,271 SH       SOLE         2       41,271
NEWALLIANCE
   BANCSHARES INC      EQUITY   650203102   3,902,609     309,240 SH       SOLE         2      309,240
NEWCASTLE INVESTMENT
   CORP                EQUITY   65105M108     148,450      47,887 SH       SOLE         2       47,887
NEWELL RUBBERMAID INC  EQUITY   651229106   1,690,116      94,897 SH       SOLE         2       94,897
NEWELL RUBBERMAID,
   INC.                COM      651229106   1,210,845      68,994 SH       SOLE         1       68,994
NEWFIELD EXPLORATION
   CO                  EQUITY   651290108  16,784,600     292,211 SH       SOLE         2      292,211
NEWMARKET CORP         EQUITY   651587107   3,351,286      29,480 SH       SOLE         2       29,480
NEWMONT MINING CORP    EQUITY   651639106   9,788,876     155,849 SH       SOLE         2      155,849
NEWMONT MINING CORP
   HLDG CO             COM      651639106     345,279       5,513 SH       SOLE         1        5,513
NEWPARK RESOURCES INC  EQUITY   651718504     577,332      68,730 SH       SOLE         2       68,730
NEWPORT CORP           COM      651824104     330,664      21,971 SH       SOLE         1       21,971
NEWPORT CORP           EQUITY   651824104     375,036      33,072 SH       SOLE         2       33,072
NEWS CORP              COM      6.52E+108   8,653,433     603,763 SH       SOLE         1      603,763
NEWS CORP CL A         EQUITY   6.52E+108  15,159,330   1,160,745 SH       SOLE         2    1,160,745
NEWSTAR FINANCIAL INC  EQUITY   65251F105     159,760      21,560 SH       SOLE         2       21,560
NEWTEK BUSINESS
   SERVICES INC        COM      652526104   1,767,343   1,280,683 SH       SOLE         1    1,280,683
NEXEN INC              COM      65334H102   1,757,317      80,810 SH       SOLE         1       80,810
NEXTERA ENERGY INC     EQUITY   65339F101  16,098,733     295,987 SH       SOLE         2      295,987
NFJ DIVID INT & PREM
   STRTGY              COM      65337H109     251,567  15962.3976 SH       DEFINED      4                          15962.3976
NGP CAPITAL
   RESOURCES CO        EQUITY   62912R107     151,338      16,704 SH       SOLE         2       16,704
NIC INC                COM      62914B100      82,900       10000 SH       DEFINED      4                               10000
NIC INC                EQUITY   62914B100     357,473      43,121 SH       SOLE         2       43,121
NICOR INC              EQUITY   654086107   2,436,891      53,184 SH       SOLE         2       53,184
NIGHTHAWK RADIOLOGY
   HLDGS IN            COM      65411N105     365,893       57350 SH       DEFINED      4                               57350
NII HOLDINGS INC       EQUITY   62913F201     510,709      12,426 SH       SOLE         2       12,426
NIKE INC  CL B         EQUITY   654106103  12,920,411     161,223 SH       SOLE         2      161,223
NIKE, INC. CLASS  B    COM      654106103     779,663       9,325 SH       SOLE         1        9,325
NISOURCE INC           EQUITY   65473P105   4,649,193     267,195 SH       SOLE         2      267,195
NOBLE CORPORATION
   BAAR                COM      H5833N103     504,460  14929.2727 SH       DEFINED      4                          14929.2727
NOBLE ENERGY INC       EQUITY   655044105   5,953,811      79,289 SH       SOLE         2       79,289
NOKIA CORP             COM      654902204     101,749  10144.4645 SH       DEFINED      4                          10144.4645
NORDIC AMER TANKER





                                                                                 
   SHIPPIN             EQUITY   G65773106     969,274      36,221 SH       SOLE         2       36,221
NORDIC AMERICAN
   TANKER SHIPP        COM      G65773106     743,940  27800.4348 SH       DEFINED      4                          27800.4348
NORDSON CORP           EQUITY   655663102   7,358,168      99,853 SH       SOLE         2       99,853
NORDSTROM INC          EQUITY   655664100   2,389,021      64,221 SH       SOLE         2       64,221
NORDSTROM, INC.        COM      655664100     555,839      12,996 SH       SOLE         1       12,996
NORFOLK SOUTHERN CORP  COM      655844108   7,052,479     113,093 SH       SOLE         1      113,093
NORFOLK SOUTHERN CORP  EQUITY   655844108  12,432,710     208,918 SH       SOLE         2      208,918
NORTHEAST UTILITIES    COM      664397106   2,086,907      66,230 SH       SOLE         1       66,230
NORTHEAST UTILITIES    EQUITY   664397106   4,233,389     143,165 SH       SOLE         2      143,165
NORTHERN OIL AND GAS
   INC                 EQUITY   665531109     577,468      34,089 SH       SOLE         2       34,089
NORTHERN TRUST CORP    EQUITY   665859104   5,883,543     121,964 SH       SOLE         2      121,964
NORTHFIELD BANCORP
   INC/NJ              EQUITY   66611L105     150,095      13,872 SH       SOLE         2       13,872
NORTHROP GRUMMAN CORP  EQUITY   666807102  19,082,565     314,738 SH       SOLE         2      314,738
NORTHROP GRUMMAN
   CORP.               COM      666807102   9,146,751     139,987 SH       SOLE         1      139,987
NORTHSTAR REALTY
   FINANCE C           EQUITY   66704R100     217,870      58,254 SH       SOLE         2       58,254
NORTHWEST BANCSHARES
   INC                 EQUITY   667340103   6,958,502     621,850 SH       SOLE         2      621,850
NORTHWEST NATURAL
   GAS CO              EQUITY   667655104   1,136,428      23,950 SH       SOLE         2       23,950
NORTHWEST NATURAL
   GAS CO.             COM      667655104     785,608      15,903 SH       SOLE         1       15,903
NORTHWESTERN CORP      COM      668074305     633,075      21,651 SH       SOLE         1       21,651
NORTHWESTERN CORP      EQUITY   668074305     929,642      32,619 SH       SOLE         2       32,619
NOVATEL WIRELESS INC   COM      66987M604     193,995      18,798 SH       SOLE         1       18,798
NOVATEL WIRELESS INC   EQUITY   66987M604     222,476      28,233 SH       SOLE         2       28,233
NOVAVAX INC            EQUITY   670002104     152,893      69,814 SH       SOLE         2       69,814
NOVELL INC             EQUITY   670006105     716,400     120,000 SH       SOLE         2      120,000
NOVELLUS SYSTEMS INC   EQUITY   670008101     821,269      30,898 SH       SOLE         2       30,898
NOVELLUS SYSTEMS,
   INC.                COM      670008101     614,117      19,913 SH       SOLE         1       19,913
NPS PHARMACEUTICALS
   INC                 EQUITY   62936P103     311,186      45,495 SH       SOLE         2       45,495
NRG ENERGY INC         EQUITY   629377508   1,795,350      86,232 SH       SOLE         2       86,232
NSTAR                  EQUITY   6.70E+111   8,916,435     226,593 SH       SOLE         2      226,593
NTELOS HOLDINGS CORP   COM      67020Q107     316,071      17,717 SH       SOLE         1       17,717
NTELOS HOLDINGS CORP   EQUITY   67020Q107     449,344      26,557 SH       SOLE         2       26,557
NTN BUZZTIME INC       COM      629410309      17,799      45,639 SH       SOLE         1       45,639
NU SKIN ENTERPRISES
   INC                 EQUITY   67018T105   1,095,149      38,026 SH       SOLE         2       38,026
NUANCE
   COMMUNICATIONS INC  EQUITY   67020Y100   5,288,666     338,150 SH       SOLE         2      338,150
NUCOR CORP             EQUITY   670346105   3,820,688     100,018 SH       SOLE         2      100,018
NUTRI/SYSTEM INC       COM      67069D108     340,367      16,093 SH       SOLE         1       16,093
NUTRISYSTEM INC        EQUITY   67069D108     466,512      24,247 SH       SOLE         2       24,247
NUVASIVE INC           EQUITY   670704105   1,062,388      30,233 SH       SOLE         2       30,233
NUVEEN MULTI STRAT
   INC GR FD           COM      67073D102      362189  41017.9974 SH       DEFINED      3                          41017.9974
NUVEEN MULTI STRAT
   INC GR FD           COM      67073D102     168,072  19034.2519 SH       DEFINED      4                          19034.2519





                                                                                 
NUVEEN PREMIER INSD
   MUN INCO            COM      670987106      497538       31650 SH       DEFINED      3                               31650
NUVEEN QUALITY PFD
   INCOME FD           COM      67071S101     842,185      104102 SH       DEFINED      4                              104102
NV ENERGY INC          EQUITY   67073Y106   6,761,730     514,200 SH       SOLE         2      514,200
NVIDIA CORP            EQUITY   67066G104   3,260,881     279,185 SH       SOLE         2      279,185
NVR INC                EQUITY   62944T105   8,288,384      12,800 SH       SOLE         2       12,800
NXSTAGE MEDICAL INC    COM      67072V103   1,014,700      46,610 SH       SOLE         1       46,610
NXSTAGE MEDICAL INC    EQUITY   67072V103     366,300      19,178 SH       SOLE         2       19,178
NYMOX PHARMACEUTICAL
   CORP                EQUITY   67076P102      51,044      14,298 SH       SOLE         2       14,298
NYSE EURONEXT          EQUITY   629491101   3,968,773     138,914 SH       SOLE         2      138,914
O CHARLEYS INC         EQUITY   670823103     117,010      16,274 SH       SOLE         2       16,274
O REILLY AUTOMOTIVE
   INC                 EQUITY   686091109   2,885,462      54,238 SH       SOLE         2       54,238
OBAGI MEDICAL
   PRODUCTS INC        EQUITY   67423R108     138,852      13,224 SH       SOLE         2       13,224
OCCIDENTAL PETE CORP
   DEL                 COM      674599105     261,374   3338.1062 SH       DEFINED      4                           3338.1062
OCCIDENTAL PETROLEUM
   CORP                EQUITY   674599105  48,488,450     619,265 SH       SOLE         2      619,265
OCCIDENTAL PETROLEUM
   CORP.               COM      674599105   2,320,627      27,538 SH       SOLE         1       27,538
OCEANEERING INTL INC   EQUITY   675232102   6,381,925     118,491 SH       SOLE         2      118,491
OCEANFIRST FINANCIAL
   CORP                EQUITY   675234108     137,510      11,207 SH       SOLE         2       11,207
O'CHARLEY'S INC.       COM      670823103      80,935      11,288 SH       SOLE         1       11,288
OCLARO INC             EQUITY   67555N206     610,685      38,144 SH       SOLE         2       38,144
OCWEN FINANCIAL CORP   EQUITY   675746309     581,265      57,324 SH       SOLE         2       57,324
OFFICE DEPOT INC       EQUITY   676220106     432,828      94,093 SH       SOLE         2       94,093
OFFICEMAX INC          COM      67622P101     923,327      50,872 SH       SOLE         1       50,872
OFFICEMAX INC          EQUITY   67622P101   8,316,012     635,295 SH       SOLE         2      635,295
OGE ENERGY CORP        EQUITY   670837103   8,491,114     212,970 SH       SOLE         2      212,970
OIL STATES
   INTERNATIONAL I     EQUITY   678026105     355,828       7,644 SH       SOLE         2        7,644
OIL STATES
   INTERNATIONAL INC   COM      678026105   2,555,718      46,731 SH       SOLE         1       46,731
OIL SVC HOLDRS TR      COM      678002106     260,245        2300 SH       DEFINED      3                                2300
OLD DOMINION FREIGHT
   LINE                COM      679580100     713,091      25,100 SH       SOLE         1       25,100
OLD DOMINION FREIGHT
   LINE                EQUITY   679580100     958,131      37,692 SH       SOLE         2       37,692
OLD NATL BANCORP       COM      680033107     529,454      52,163 SH       SOLE         1       52,163
OLD NATL BANCORP/IN    EQUITY   680033107     825,311      78,601 SH       SOLE         2       78,601
OLD REPUBLIC INTL
   CORP                EQUITY   680223104   7,302,246     527,238 SH       SOLE         2      527,238
OLIN CORP              EQUITY   680665205   4,683,390     232,311 SH       SOLE         2      232,311
OM GROUP INC           COM      670872100     702,191      18,469 SH       SOLE         1       18,469
OM GROUP INC           EQUITY   670872100     838,270      27,831 SH       SOLE         2       27,831
OMEGA HEALTHCARE
   INVESTORS           EQUITY   681936100   6,216,719     276,914 SH       SOLE         2      276,914
OMEGA PROTEIN CORP     COM      68210P107       69847       12211 SH       DEFINED      3                               12211
OMEROS CORP            EQUITY   682143102     105,523      14,475 SH       SOLE         2       14,475
OMNICARE INC           EQUITY   681904108   6,172,049     258,461 SH       SOLE         2      258,461





                                                                                 
OMNICELL INC           COM      68213N109     271,275      19,615 SH       SOLE         1       19,615
OMNICELL INC           EQUITY   68213N109     383,990      29,357 SH       SOLE         2       29,357
OMNICOM GROUP          EQUITY   681919106   4,763,301     120,651 SH       SOLE         2      120,651
OMNICOM GROUP, INC.    COM      681919106   1,847,920      39,689 SH       SOLE         1       39,689
OMNIVISION
   TECHNOLOGIES IN     EQUITY   682128103     926,646      40,219 SH       SOLE         2       40,219
OMNIVISION
   TECHNOLOGIES INC    COM      682128103   1,316,470      47,000 SH       SOLE         1       47,000
OMNOVA SOLUTIONS INC   EQUITY   682129101     247,882      34,476 SH       SOLE         2       34,476
ON ASSIGNMENT INC      COM      682159108     153,384      21,912 SH       SOLE         1       21,912
ON ASSIGNMENT INC      EQUITY   682159108     172,478      32,853 SH       SOLE         2       32,853
ONEOK INC              EQUITY   682680103   3,813,492      84,669 SH       SOLE         2       84,669
ONEOK INC NEW          COM      682680103     371,300   8243.7814 SH       DEFINED      4                           8243.7814
ONEOK PARTNERS LP      COM      68268N103     228,117   3044.8107 SH       DEFINED      4                           3044.8107
ONEOK, INC.            COM      682680103   2,670,509      52,240 SH       SOLE         1       52,240
ONLINE RESOURCES CORP  EQUITY   68273G101      92,245      20,776 SH       SOLE         2       20,776
ONYX PHARMACEUTICALS
   INC                 EQUITY   683399109   1,276,133      48,375 SH       SOLE         2       48,375
OPENTABLE INC          EQUITY   68372A104     831,189      12,209 SH       SOLE         2       12,209
OPENWAVE SYSTEMS INC   EQUITY   683718308     110,112      64,772 SH       SOLE         2       64,772
OPKO HEALTH INC        EQUITY   68375N103     153,218      68,401 SH       SOLE         2       68,401
OPLINK
   COMMUNICATIONS INC  COM      68375Q403     225,936      12,559 SH       SOLE         1       12,559
OPLINK
   COMMUNICATIONS INC  EQUITY   68375Q403     321,567      16,208 SH       SOLE         2       16,208
OPNET TECHNOLOGIES
   INC                 EQUITY   683757108     186,237      10,261 SH       SOLE         2       10,261
OPNEXT INC             EQUITY   68375V105      52,538      33,464 SH       SOLE         2       33,464
OPPENHEIMER HOLDINGS
   CL A                EQUITY   683797104     216,864       7,759 SH       SOLE         2        7,759
OPTIMER
   PHARMACEUTICALS IN  EQUITY   68401H104     236,164      25,754 SH       SOLE         2       25,754
OPTIONSXPRESS
   HOLDINGS INC        COM      684010101     435,870      25,430 SH       SOLE         1       25,430
OPTIONSXPRESS
   HOLDINGS INC        EQUITY   684010101     585,830      38,140 SH       SOLE         2       38,140
ORACLE CORP            COM      68389X105     753,416    28060.17 SH       DEFINED      4                            28060.17
ORACLE CORP            EQUITY   68389X105  53,649,871   1,998,133 SH       SOLE         2    1,998,133
ORACLE CORP.           COM      68389X105   3,879,163     133,580 SH       SOLE         1      133,580
ORASURE TECHNOLOGIES
   INC                 EQUITY   68554V108     144,500      35,679 SH       SOLE         2       35,679
ORBITAL SCIENCES CORP  EQUITY   685564106     795,263      51,978 SH       SOLE         2       51,978
ORBITAL SCIENCES
   CORP.               COM      685564106     881,437      51,546 SH       SOLE         1       51,546
ORBITZ WORLDWIDE INC   EQUITY   68557K109      95,968      15,233 SH       SOLE         2       15,233
OREXIGEN
   THERAPEUTICS INC    EQUITY   686164104     139,047      23,448 SH       SOLE         2       23,448
ORIENT EXPRESS
   HOTELS LTD          EQUITY   G67743107     781,894      70,125 SH       SOLE         2       70,125
ORIENTAL FINANCIAL
   GROUP               EQUITY   68618W100     506,344      38,071 SH       SOLE         2       38,071
ORION MARINE GROUP
   INC                 COM      68628V308     230,495      16,096 SH       SOLE         1       16,096
ORION MARINE GROUP





                                                                                 
   INC                 EQUITY   68628V308     300,781      24,237 SH       SOLE         2       24,237
ORITANI FINANCIAL
   CORP                EQUITY   68633D103     428,252      42,911 SH       SOLE         2       42,911
ORTHOFIX
   INTERNATIONAL NV    EQUITY   N6748L102     427,438      13,604 SH       SOLE         2       13,604
ORTHOVITA INC          EQUITY   68750U102     116,866      51,483 SH       SOLE         2       51,483
OSHKOSH CORP           EQUITY   688239201   5,429,820     197,448 SH       SOLE         2      197,448
OSHKOSH CORP CL B      COM      688239201   2,830,264      92,674 SH       SOLE         1       92,674
OSI SYSTEMS INC        COM      671044105     412,262      11,026 SH       SOLE         1       11,026
OSI SYSTEMS INC        EQUITY   671044105     540,914      14,893 SH       SOLE         2       14,893
OSIRIS THERAPEUTICS
   INC                 EQUITY   68827R108      94,531      12,985 SH       SOLE         2       12,985
OSTEOTECH INC          COM      688582105      70,397      10,847 SH       SOLE         1       10,847
OTTER TAIL CORP        EQUITY   689648103     565,843      27,751 SH       SOLE         2       27,751
OVERSEAS SHIPHOLDING
   GROUP               EQUITY   690368105   2,665,120      77,655 SH       SOLE         2       77,655
OVERSTOCK.COM INC      EQUITY   690370101     178,406      11,349 SH       SOLE         2       11,349
OWENS + MINOR INC      EQUITY   690732102   5,285,904     185,731 SH       SOLE         2      185,731
OWENS ILLINOIS INC     EQUITY   690768403   2,640,109      94,088 SH       SOLE         2       94,088
OWENS-ILLINOIS INC     COM      690768403   1,108,849      38,131 SH       SOLE         1       38,131
OXFORD INDUSTRIES INC  EQUITY   691497309     296,513      12,469 SH       SOLE         2       12,469
P G & E CORP.          COM      69331C108     443,133       9,257 SH       SOLE         1        9,257
P G + E CORP           EQUITY   69331C108   8,016,903     176,506 SH       SOLE         2      176,506
P. F. CHANGS CHINA
   BISTRO INC.         COM      69333Y108     656,004      13,831 SH       SOLE         1       13,831
PACCAR INC             EQUITY   693718108   7,987,844     165,895 SH       SOLE         2      165,895
PACCAR, INC            COM      693718108   4,818,703      88,045 SH       SOLE         1       88,045
PACER INTERNATIONAL
   INC                 EQUITY   69373H106     163,050      26,995 SH       SOLE         2       26,995
PACIFIC CONTINENTAL
   CORP                EQUITY   69412V108     128,564      14,206 SH       SOLE         2       14,206
PACIFIC ETHANOL INC    COM      69423U107      22,300       25000 SH       DEFINED      4                               25000
PACIFIC SUNWEAR OF
   CALIF               EQUITY   694873100     268,320      51,304 SH       SOLE         2       51,304
PACKAGING CORP OF
   AMERICA             EQUITY   695156109   5,250,878     226,624 SH       SOLE         2      226,624
PACTIV CORPORATION     COM      695257105     794,307      23,961 SH       SOLE         1       23,961
PACTIV CORPORATION     EQUITY   695257105   1,503,195      45,579 SH       SOLE         2       45,579
PACWEST BANCORP        EQUITY   695263103   1,748,240      91,723 SH       SOLE         2       91,723
PAETEC HOLDING CORP    EQUITY   695459107     399,615      97,230 SH       SOLE         2       97,230
PAIN THERAPEUTICS INC  EQUITY   69562K100     169,437      27,417 SH       SOLE         2       27,417
PALL CORP              EQUITY   696429307   1,972,570      47,372 SH       SOLE         2       47,372
PALOMAR MEDICAL
   TECHNOLOGI          EQUITY   697529303     172,501      16,699 SH       SOLE         2       16,699
PALOMAR MEDICAL
   TECHNOLOGIES        COM      697529303     129,904      11,189 SH       SOLE         1       11,189
PANERA BREAD COMPANY
   CLASS               EQUITY   69840W108   6,010,062      67,826 SH       SOLE         2       67,826
PANTRY INC             EQUITY   698657103     422,817      17,537 SH       SOLE         2       17,537
PAPA JOHN S INTL INC   EQUITY   698813102     495,522      18,784 SH       SOLE         2       18,784
PAPA JOHNS
   INTERNATIONAL, INC  COM      698813102     313,672      12,272 SH       SOLE         1       12,272
PAR PHARMACEUTICAL
   COMPANIES, INC      COM      69888P106     774,530      21,047 SH       SOLE         1       21,047





                                                                                 
PAR PHARMACEUTICAL
   COS INC             EQUITY   69888P106     919,917      31,634 SH       SOLE         2       31,634
PARAMETRIC
   TECHNOLOGY CORP     EQUITY   699173209   6,629,043     339,255 SH       SOLE         2      339,255
PAREXEL
   INTERNATIONAL CORP  EQUITY   699462107   1,217,656      52,644 SH       SOLE         2       52,644
PAREXEL
   INTERNATIONAL
   CORP.               COM      699462107     768,184      34,997 SH       SOLE         1       34,997
PARK ELECTROCHEMICAL
   CORP                EQUITY   700416209     488,686      18,553 SH       SOLE         2       18,553
PARK ELECTROCHEMICAL
   CORP.               COM      700416209     358,034      12,346 SH       SOLE         1       12,346
PARK NATIONAL CORP     EQUITY   700658107     617,538       9,643 SH       SOLE         2        9,643
PARKER DRILLING CO     EQUITY   701081101     389,730      89,593 SH       SOLE         2       89,593
PARKER HANNIFIN CORP   EQUITY   701094104   6,211,870      88,665 SH       SOLE         2       88,665
PARKER HANNIFIN CORP.  COM      701094104   1,195,166      14,788 SH       SOLE         1       14,788
PARKWAY PROPERTIES
   INC                 EQUITY   70159Q104     288,600      19,500 SH       SOLE         2       19,500
PARKWAY PROPERTIES,
   INC.                COM      70159Q104     223,793      13,118 SH       SOLE         1       13,118
PATRIOT COAL CORP      COM      70336T104     253,690       22234 SH       DEFINED      4                               22234
PATRIOT COAL CORP      EQUITY   70336T104   2,664,828     233,552 SH       SOLE         2      233,552
PATTERSON COS INC      EQUITY   703395103   1,134,912      39,613 SH       SOLE         2       39,613
PATTERSON UTI ENERGY
   INC                 EQUITY   703481101   9,621,369     563,312 SH       SOLE         2      563,312
PAYCHEX INC            EQUITY   704326107   7,313,220     266,032 SH       SOLE         2      266,032
PC TEL INC             EQUITY   69325Q105     105,479      17,179 SH       SOLE         2       17,179
PCM FUND INC           COM      69323T101     753,921       69358 SH       DEFINED      3                               69358
PC-TEL  INC.           COM      69325Q105      73,168      11,274 SH       SOLE         1       11,274
PDF SOLUTIONS INC      EQUITY   693282105      64,550      17,446 SH       SOLE         2       17,446
PDL BIOPHARMA INC      EQUITY   69329Y104     486,166      92,427 SH       SOLE         2       92,427
PEABODY ENERGY CORP    COM      704549104   1,480,452      25,135 SH       SOLE         1       25,135
PEABODY ENERGY CORP    EQUITY   704549104   5,865,174     119,673 SH       SOLE         2      119,673
PEBBLEBROOK HOTEL
   TRUST               EQUITY   70509V100     514,942      28,592 SH       SOLE         2       28,592
PEETS COFFEE & TEA
   INC                 COM      705560100     311,684       7,694 SH       SOLE         1        7,694
PEETS COFFEE + TEA
   INC                 EQUITY   705560100     367,014      10,722 SH       SOLE         2       10,722
PEGASYSTEMS INC        COM      705573103     566,282      20,436 SH       SOLE         1       20,436
PEGASYSTEMS INC        EQUITY   705573103     387,970      12,495 SH       SOLE         2       12,495
PENGROWTH ENERGY TR    COM      706902509     189,181       17105 SH       DEFINED      4                               17105
PENGROWTH ENERGY
   TRUST               COM      706902509     916,818      70,796 SH       SOLE         1       70,796
PENN REAL ESTATE
   INVEST TS           EQUITY   709102107     591,423      49,867 SH       SOLE         2       49,867
PENN VIRGINIA CORP     EQUITY   707882106     657,560      40,995 SH       SOLE         2       40,995
PENN VIRGINIA
   CORPORATION         COM      707882106     429,622      27,243 SH       SOLE         1       27,243
PENN WEST ENERGY TR    COM      707885109     443,326       22089 SH       DEFINED      4                               22089
PENN WEST ENERGY
   TRUST               COM      707885109   3,772,226     162,941 SH       SOLE         1      162,941
PENNANTPARK





                                                                                 
   INVESTMENT COR      EQUITY   708062104     291,382      27,463 SH       SOLE         2       27,463
PENNANTPARK INVT CORP  COM      708062104     361,801       34100 SH       DEFINED      4                               34100
PENNSYLVANIA REAL
   ESTATE INV.         COM      709102107     516,950      33,223 SH       SOLE         1       33,223
PENNYMAC MORTGAGE
   INVESTME            EQUITY   70931T103     231,228      12,925 SH       SOLE         2       12,925
PENSKE AUTOMOTIVE
   GROUP IN            EQUITY   70959W103     450,886      34,158 SH       SOLE         2       34,158
PENSON WORLDWIDE INC   EQUITY   709600100      78,456      15,786 SH       SOLE         2       15,786
PENTAIR INC            EQUITY   709631105   7,249,922     215,579 SH       SOLE         2      215,579
PEOPLE S UNITED
   FINANCIAL           EQUITY   712704105   1,656,304     126,532 SH       SOLE         2      126,532
PEP BOYS MANNY MOE +
   JACK                EQUITY   713278109     500,445      47,301 SH       SOLE         2       47,301
PEP BOYS-MANNY, MOE
   & JACK              COM      713278109     390,716      31,408 SH       SOLE         1       31,408
PEPCO HOLDINGS INC     COM      713291102     542,616      28,439 SH       SOLE         1       28,439
PEPCO HOLDINGS INC     EQUITY   713291102   4,070,740     218,857 SH       SOLE         2      218,857
PEPSICO INC            COM      713448108   1,836,798   27645.969 SH       DEFINED      4                           27645.969
PEPSICO INC            EQUITY   713448108  68,611,259   1,032,680 SH       SOLE         2    1,032,680
PEPSICO, INC.          COM      713448108   8,738,413     134,210 SH       SOLE         1      134,210
PEREGRINE
   PHARMACEUTICALS     EQUITY   713661304      61,670      42,531 SH       SOLE         2       42,531
PERFICIENT INC         COM      71375U101   1,237,745     108,100 SH       SOLE         1      108,100
PERFICIENT INC         EQUITY   71375U101     199,490      21,826 SH       SOLE         2       21,826
PERICOM
   SEMICONDUCTOR CORP  COM      713831105     151,519      14,928 SH       SOLE         1       14,928
PERICOM
   SEMICONDUCTOR CORP  EQUITY   713831105     198,097      22,796 SH       SOLE         2       22,796
PERKINELMER INC        EQUITY   714046109     924,929      39,971 SH       SOLE         2       39,971
PERMA-FIX
   ENVIRONMENTAL SVCS  COM      714157104      45,925       27500 SH       DEFINED      3                               27500
PERRIGO CO             EQUITY   714290103  11,558,894     179,989 SH       SOLE         2      179,989
PETMED EXPRESS INC     COM      716382106     236,138      13,713 SH       SOLE         1       13,713
PETMED EXPRESS INC     EQUITY   716382106     362,705      20,726 SH       SOLE         2       20,726
PETROLEO BRASILEIRO
   SA                  COM      71654V101     437,878      13,265 SH       SOLE         1       13,265
PETROLEO BRASILEIRO
   SA PETRO            COM      71654V408     498,718  13750.1544 SH       DEFINED      4                          13750.1544
PETROLEUM
   DEVELOPMENT CORP    COM      716578109     434,727      11,519 SH       SOLE         1       11,519
PETROLEUM
   DEVELOPMENT CORP    EQUITY   716578109     479,246      17,364 SH       SOLE         2       17,364
PETROQUEST ENERGY INC  COM      716748108     231,955      33,279 SH       SOLE         1       33,279
PETROQUEST ENERGY INC  EQUITY   716748108     303,392      49,818 SH       SOLE         2       49,818
PETSMART INC           EQUITY   716768106   9,048,725     258,535 SH       SOLE         2      258,535
PF CHANG S CHINA
   BISTRO IN           EQUITY   69333Y108     964,333      20,873 SH       SOLE         2       20,873
PFIZER INC             COM      717081103   1,254,876  73085.3703 SH       DEFINED      4                          73085.3703
PFIZER INC             EQUITY   717081103  67,099,210   3,907,933 SH       SOLE         2    3,907,933
PFIZER, INC.           COM      717081103   5,473,712     321,020 SH       SOLE         1      321,020
PGT INC                EQUITY   69336V101      33,819      14,833 SH       SOLE         2       14,833
PHARMACEUTICAL
   PRODUCT DEV         EQUITY   717124101   6,418,478     258,914 SH       SOLE         2      258,914





                                                                                 
PHARMACYCLICS INC      EQUITY   716933106     236,440      29,335 SH       SOLE         2       29,335
PHARMASSET INC         EQUITY   71715N106     667,939      22,642 SH       SOLE         2       22,642
PHARMERICA CORP        COM      71714F104     208,148      18,339 SH       SOLE         1       18,339
PHARMERICA CORP        EQUITY   71714F104     263,333      27,632 SH       SOLE         2       27,632
PHH CORP               EQUITY   693320202     901,515      42,807 SH       SOLE         2       42,807
PHI INC NON VOTING     EQUITY   69336T205     165,505      10,229 SH       SOLE         2       10,229
PHILIP MORRIS
   INTERNATIONA        EQUITY   718172109  48,145,493     859,434 SH       SOLE         2      859,434
PHILIP MORRIS
   INTERNATIONAL INC   COM      718172109   6,528,390     108,409 SH       SOLE         1      108,409
PHILIP MORRIS INTL
   INC                 COM      718172109   1,340,391   23927.008 SH       DEFINED      4                           23927.008
PHILLIPS VAN HEUSEN    EQUITY   718592108   8,691,496     144,473 SH       SOLE         2      144,473
PHOENIX COMPANIES INC  EQUITY   7.19E+113     188,139      89,590 SH       SOLE         2       89,590
PHOENIX
   TECHNOLOGIES, LTD.  COM      719153108      87,834      21,013 SH       SOLE         1       21,013
PHOTRONICS INC         EQUITY   719405102     218,191      41,246 SH       SOLE         2       41,246
PICO HOLDINGS INC      EQUITY   693366205     521,087      17,451 SH       SOLE         2       17,451
PIEDMONT NATURAL GAS
   CO                  EQUITY   720186105   1,877,112      64,728 SH       SOLE         2       64,728
PIEDMONT NATURAL GAS
   CO., INC.           COM      720186105   1,274,740      43,153 SH       SOLE         1       43,153
PIEDMONT OFFICE
   REALTY TR IN        COM      720190206   1,073,813  56785.4425 SH       DEFINED      4                          56785.4425
PIER 1 IMPORTS INC     EQUITY   720279108     661,302      80,745 SH       SOLE         2       80,745
PIKE ELECTRIC CORP     EQUITY   721283109      92,187      12,663 SH       SOLE         2       12,663
PILGRIM S PRIDE CORP   EQUITY   72147K108     211,132      37,568 SH       SOLE         2       37,568
PIMCO CORPORATE OPP
   FD                  COM      72201B101     255,410       14545 SH       DEFINED      3                               14545
PIMCO CORPORATE OPP
   FD                  COM      72201B101     245,055  13955.2807 SH       DEFINED      4                          13955.2807
PIMCO CORPORATE OPP
   FD                  COM      72201B101     255,410       14545 SH       DEFINED      3                               14545
PIMCO ETF TR           COM      72201R833     812,204        8048 SH       DEFINED      3                                8048
PIMCO ETF TR           COM      72201R205     237,174        4534 SH       DEFINED      4                                4534
PIMCO ETF TR           COM      72201R833     812,204        8048 SH       DEFINED      3                                8048
PIMCO HIGH INCOME FD   COM      722014107     153,753       11809 SH       DEFINED      3                               11809
PIMCO HIGH INCOME FD   COM      722014107     295,264   22677.739 SH       DEFINED      4                           22677.739
PIMCO HIGH INCOME FD   COM      722014107     153,753       11809 SH       DEFINED      3                               11809
PIMCO INCOME
   OPPORTUNITY FD      COM      72202B100     732,795       27684 SH       DEFINED      4                               27684
PINEBRIDGE GLOBAL
   FUNDS -
   PINEBRIDGE US
   FOCUS EQUITY FUND
   - CLASS Y           COM      B2B3J60    18,719,460     200,000 SH       SOLE         1      200,000
PINNACLE AIRLINES
   CORP                EQUITY   723443107      77,888      14,344 SH       SOLE         2       14,344
PINNACLE
   ENTERTAINMENT INC   EQUITY   723456109     609,359      54,651 SH       SOLE         2       54,651
PINNACLE FINANCIAL
   PARTNER             EQUITY   72346Q104     276,463      30,083 SH       SOLE         2       30,083
PINNACLE FINANCIAL
   PARTNERS            COM      72346Q104     227,657      20,005 SH       SOLE         1       20,005





                                                                                 
PINNACLE WEST CAPITAL  EQUITY   723484101   1,528,888      37,046 SH       SOLE         2       37,046
PIONEER DRILLING
   COMPANY             COM      723655106     212,662      32,418 SH       SOLE         1       32,418
PIONEER DRILLING
   COMPANY             EQUITY   723655106     311,344      48,800 SH       SOLE         2       48,800
PIONEER HIGH INCOME
   TR                  COM      72369H106     450,551  27949.7849 SH       DEFINED      4                          27949.7849
PIONEER NATURAL
   RESOURCES           EQUITY   723787107   3,432,869      52,789 SH       SOLE         2       52,789
PIPER JAFFRAY COS      COM      724078100     317,513       9,284 SH       SOLE         1        9,284
PIPER JAFFRAY COS      EQUITY   724078100     407,470      13,988 SH       SOLE         2       13,988
PITNEY BOWES INC       COM      724479100     206,477   9657.4927 SH       DEFINED      4                           9657.4927
PITNEY BOWES INC       EQUITY   724479100   1,487,428      69,571 SH       SOLE         2       69,571
PITNEY BOWES, INC.     COM      724479100   2,102,075      89,298 SH       SOLE         1       89,298
PLAINS EXPLORATION +
   PRODU               EQUITY   726505100   8,170,968     306,373 SH       SOLE         2      306,373
PLANTRONICS INC        EQUITY   727493108   4,745,110     140,471 SH       SOLE         2      140,471
PLATINUM
   UNDERWRITERS HLDG   EQUITY   G7127P100   1,381,281      31,739 SH       SOLE         2       31,739
PLAYBOY ENTERPRISES
   CLASS               EQUITY   728117300      85,309      16,597 SH       SOLE         2       16,597
PLEXUS CORP            EQUITY   729132100   1,068,135      36,393 SH       SOLE         2       36,393
PLEXUS CORP.           COM      729132100     754,650      24,172 SH       SOLE         1       24,172
PLUM CREEK TIMBER CO   EQUITY   729251108   2,850,440      80,749 SH       SOLE         2       80,749
PLX TECHNOLOGY INC     EQUITY   693417107     103,565      28,609 SH       SOLE         2       28,609
PMA CAPITAL
   CORPORATION CL      EQUITY   693419202     187,821      24,910 SH       SOLE         2       24,910
PMFG INC               EQUITY   69345P103     194,012      11,379 SH       SOLE         2       11,379
PMI GROUP INC/THE      EQUITY   69344M101     405,113     110,385 SH       SOLE         2      110,385
PNC FINANCIAL
   SERVICES            COM      693475105  10,772,248     186,856 SH       SOLE         1      186,856
PNC FINANCIAL
   SERVICES GRO        EQUITY   693475105  11,288,764     217,468 SH       SOLE         2      217,468
PNM RESOURCES INC      EQUITY   69349H107   2,898,072     254,440 SH       SOLE         2      254,440
POLARIS INDUSTRIES
   INC                 EQUITY   731068102   1,845,325      28,346 SH       SOLE         2       28,346
POLARIS INDUSTRIES,
   INC.                COM      731068102   1,469,666      19,898 SH       SOLE         1       19,898
POLO RALPH LAUREN CO   COM      731572103   1,796,418      17,774 SH       SOLE         1       17,774
POLO RALPH LAUREN
   CORP                EQUITY   731572103   1,986,715      22,109 SH       SOLE         2       22,109
POLYCOM INC            EQUITY   73172K104   5,073,207     185,968 SH       SOLE         2      185,968
POLYONE CORPORATION    COM      73179P106     745,266      55,700 SH       SOLE         1       55,700
POLYONE CORPORATION    EQUITY   73179P106   1,011,582      83,671 SH       SOLE         2       83,671
POLYPORE
   INTERNATIONAL INC   EQUITY   73179V103     506,899      16,807 SH       SOLE         2       16,807
POOL CORP              COM      73278L105     649,114      29,667 SH       SOLE         1       29,667
POOL CORP              EQUITY   73278L105     896,828      44,685 SH       SOLE         2       44,685
POPULAR INC            EQUITY   733174106      69,493      23,963 SH       SOLE         2       23,963
PORTFOLIO RECOVERY
   ASSOCIA             EQUITY   73640Q105     990,050      15,314 SH       SOLE         2       15,314
PORTFOLIO RECOVERY
   ASSOCIATE           COM      73640Q105     693,055      10,207 SH       SOLE         1       10,207
PORTLAND GENERAL





                                                                                 
   ELECTRIC            EQUITY   736508847   1,179,039      58,138 SH       SOLE         2       58,138
POST PROPERTIES INC    EQUITY   737464107   1,223,873      43,835 SH       SOLE         2       43,835
POST PROPERTIES, INC.  COM      737464107     908,634      27,821 SH       SOLE         1       27,821
POTASH CORP OF
   SASKATCHEWAN        COM      73755L107   5,924,675      42,121 SH       SOLE         1       42,121
POTLATCH CORP          EQUITY   737630103   3,990,138     117,357 SH       SOLE         2      117,357
POWELL INDUSTRIES INC  EQUITY   739128106     248,151       7,974 SH       SOLE         2        7,974
POWER INTEGRATIONS
   INC                 EQUITY   739276103     605,345      19,042 SH       SOLE         2       19,042
POWER ONE INC          EQUITY   73930R102     490,269      53,935 SH       SOLE         2       53,935
POWERSECURE
   INTERNATIONAL       EQUITY   73936N105     130,520      14,095 SH       SOLE         2       14,095
POWERSHARES ACTIVE
   MNG ETF T           COM      73935B508     651,141       14986 SH       DEFINED      3                               14986
POWERSHARES DB CMDTY
   IDX TRA             COM      73935S105     417,593  17320.3426 SH       DEFINED      4                          17320.3426
POWERSHARES DB
   COMMODITY INDEX
   TRACKING FUND       COM      73935S105 125,912,400   4,755,000 SH       SOLE         1    4,755,000
POWERSHARES ETF TR II  COM      73937B407     249,508        9310 SH       DEFINED      4                                9310
POWERSHARES ETF TRUST  COM      73935X567     410,626        7404 SH       DEFINED      3                                7404
POWERSHARES ETF TRUST  COM      73935X229      502182       27600 SH       DEFINED      4                               27600
POWERSHARES ETF TRUST  COM      73935X815     1437454       62498 SH       DEFINED      4                               62498
POWERSHARES ETF TRUST  COM      73935X567     410,626        7404 SH       DEFINED      3                                7404
POWERSHARES ETF
   TRUST II            COM      73936Q207     907,281       51815 SH       DEFINED      3                               51815
POWERSHARES ETF
   TRUST II            COM      73936Q702     697,771       25550 SH       DEFINED      3                               25550
POWERSHARES GLOBAL
   ETF TRUST           COM      73936T433     209,958        8400 SH       DEFINED      3                                8400
POWERSHARES GLOBAL
   ETF TRUST           COM      73936T474     1861561       75704 SH       DEFINED      3                               75704
POWERSHARES GLOBAL
   ETF TRUST           COM      73936T565     641,131  44338.2221 SH       DEFINED      4                          44338.2221
POWERSHARES GLOBAL
   ETF TRUST           COM      73936T573     240,415   8623.2224 SH       DEFINED      4                           8623.2224
POWERSHARES QQQ TRUST  COM      73935A104     945,436  19267.0816 SH       DEFINED      4                          19267.0816
POWERWAVE
   TECHNOLOGIES INC    EQUITY   739363109     186,568     102,510 SH       SOLE         2      102,510
POZEN INC              EQUITY   73941U102     145,253      20,516 SH       SOLE         2       20,516
PPG INDS INC           COM      693506107     478,963   6579.1632 SH       DEFINED      4                           6579.1632
PPG INDUSTRIES INC     EQUITY   693506107   4,082,842      56,083 SH       SOLE         2       56,083
PPG INDUSTRIES, INC.   COM      693506107   9,434,646     119,290 SH       SOLE         1      119,290
PPL CORP               COM      69351T106     235,322       8,642 SH       DEFINED      4                               8,642
PPL CORPORATION        EQUITY   69351T106   4,483,583     164,656 SH       SOLE         2      164,656
PRAXAIR INC            EQUITY   74005P104  19,871,822     220,162 SH       SOLE         2      220,162
PRAXAIR, INC.          COM      74005P104     611,994       6,537 SH       SOLE         1        6,537
PRECISION CASTPARTS
   CORP                EQUITY   740189105   5,734,061      45,026 SH       SOLE         2       45,026
PRECISION DRILLING
   CORP                COM      74022D308     525,816      65,246 SH       SOLE         1       65,246
PREMIERE GLOBAL
   SERVICES I          EQUITY   740585104     328,215      46,358 SH       SOLE         2       46,358
PREPAID LEGAL





                                                                                 
   SERVICES INC        EQUITY   740065107     442,492       7,081 SH       SOLE         2        7,081
PREPAID LEGAL
   SERVICES, INC.      COM      740065107     368,755       5,940 SH       SOLE         1        5,940
PRESIDENTIAL LIFE      EQUITY   740884101     183,574      18,732 SH       SOLE         2       18,732
PRESIDENTIAL LIFE
   CORP.               COM      740884101     126,910      12,742 SH       SOLE         1       12,742
PRESSTEK INC           EQUITY   741113104      46,406      21,190 SH       SOLE         2       21,190
PRESTIGE BRANDS
   HOLDINGS I          EQUITY   74112D101     319,477      32,303 SH       SOLE         2       32,303
PRICELINE.COM INC      EQUITY   741503403   7,555,146      21,689 SH       SOLE         2       21,689
PRICESMART INC         EQUITY   741511109     355,386      12,200 SH       SOLE         2       12,200
PRIDE INTERNATIONAL
   INC                 EQUITY   74153Q102  11,294,734     383,783 SH       SOLE         2      383,783
PRIMEDIA INC           EQUITY   74157K846      49,043      12,906 SH       SOLE         2       12,906
PRIMERICA INC          EQUITY   74164M108     378,121      18,590 SH       SOLE         2       18,590
PRIMORIS SERVICES
   CORP                EQUITY   74164F103     102,312      15,644 SH       SOLE         2       15,644
PRIMUS GUARANTY LTD    EQUITY   G72457107      57,137      12,530 SH       SOLE         2       12,530
PRINCETON REVIEW INC   EQUITY   742352107      29,372      14,398 SH       SOLE         2       14,398
PRINCIPAL FINANCIAL
   GROUP               COM      74251V102   1,247,012      42,329 SH       SOLE         1       42,329
PRINCIPAL FINANCIAL
   GROUP               EQUITY   74251V102   3,075,849     118,667 SH       SOLE         2      118,667
PRIVATEBANCORP INC     COM      742962103     415,480      35,032 SH       SOLE         1       35,032
PRIVATEBANCORP INC     EQUITY   742962103     543,702      47,735 SH       SOLE         2       47,735
PROASSURANCE CORP      EQUITY   74267C106   1,682,492      29,215 SH       SOLE         2       29,215
PROASSURANCE
   CORPORATION         COM      74267C106   1,154,481      19,032 SH       SOLE         1       19,032
PROCTER & GAMBLE CO    COM      742718109   1,514,940  25261.6311 SH       DEFINED      4                          25261.6311
PROCTER & GAMBLE CO.   COM      742718109  13,671,898     211,149 SH       SOLE         1      211,149
PROCTER + GAMBLE
   CO/THE              EQUITY   742718109  92,311,701   1,539,298 SH       SOLE         2    1,539,298
PROGENICS
   PHARMACEUTICALS     EQUITY   743187106     110,191      21,820 SH       SOLE         2       21,820
PROGRESS ENERGY INC    COM      743263105     360,868       8,124 SH       DEFINED      4                               8,124
PROGRESS ENERGY INC    EQUITY   743263105   4,426,409      99,649 SH       SOLE         2       99,649
PROGRESS SOFTWARE
   CORP                EQUITY   743312100   1,263,526      38,173 SH       SOLE         2       38,173
PROGRESS SOFTWARE
   CORP.               COM      743312100   1,008,119      25,909 SH       SOLE         1       25,909
PROGRESSIVE CORP       EQUITY   743315103   6,958,663     333,429 SH       SOLE         2      333,429
PROGRESSIVE CORP.      COM      743315103   2,886,095     132,694 SH       SOLE         1      132,694
PROLOGIS               EQUITY   743410102   2,626,657     222,976 SH       SOLE         2      222,976
PROS HOLDINGS INC      EQUITY   74346Y103     138,745      14,951 SH       SOLE         2       14,951
PROSHARES TR           COM      74347R107     231,668   5884.3792 SH       DEFINED      4                           5884.3792
PROSHARES TR           COM      74347R503   1,124,798      23,002 SH       DEFINED      4                              23,002
PROSHARES TR           COM      74347R776     826,405      23,325 SH       DEFINED      4                              23,325
PROSHARES TR           COM      74347X633     229,127        4215 SH       DEFINED      4                                4215
PROSHARES TR           COM      74347R768     723,991       12502 SH       DEFINED      4                               12502
PROSHARES TR II        COM      74347W502     223,998       22200 SH       DEFINED      4                               22200
PROSPECT CAPITAL CORP  EQUITY   74348T102     538,711      55,480 SH       SOLE         2       55,480
PROSPERITY
   BANCSHARES INC      EQUITY   743606105   4,445,273     136,904 SH       SOLE         2      136,904
PROTECTIVE LIFE CORP   EQUITY   743674103   4,077,389     187,380 SH       SOLE         2      187,380





                                                                                 
PROVIDENT ENERGY TR    COM      74386K104     138,977  19685.1347 SH       DEFINED      4                          19685.1347
PROVIDENT ENERGY
   TRUST               COM      74386K104     301,585      37,376 SH       SOLE         1       37,376
PROVIDENT FINANCIAL
   SERVIC              EQUITY   74386T105     572,033      46,281 SH       SOLE         2       46,281
PROVIDENT NEW YORK
   BANCORP             EQUITY   744028101     251,809      30,013 SH       SOLE         2       30,013
PRUDENTIAL FINANCIAL
   INC                 COM      744320102  10,388,821     188,922 SH       SOLE         1      188,922
PRUDENTIAL FINANCIAL
   INC                 EQUITY   744320102  15,057,001     277,907 SH       SOLE         2      277,907
PS BUSINESS PARKS INC  COM      69360J107     692,215      11,853 SH       SOLE         1       11,853
PS BUSINESS PARKS
   INC/CA              EQUITY   69360J107     946,077      16,724 SH       SOLE         2       16,724
PSS WORLD MEDICAL INC  EQUITY   69366A100   1,100,044      51,452 SH       SOLE         2       51,452
PSS WORLD MEDICAL,
   INC                 COM      69366A100     781,715      33,782 SH       SOLE         1       33,782
PSYCHIATRIC
   SOLUTIONS INC       COM      74439H108     943,880      28,000 SH       SOLE         1       28,000
PSYCHIATRIC
   SOLUTIONS INC       EQUITY   74439H108   5,638,212     168,054 SH       SOLE         2      168,054
PUBLIC SERVICE
   ENTERPRISE          EQUITY   744573106   5,320,091     160,825 SH       SOLE         2      160,825
PUBLIC STORAGE         EQUITY   74460D109   5,848,698      60,271 SH       SOLE         2       60,271
PUBLIC STORAGE         COM      74460D109   2,054,786      19,731 SH       SOLE         1       19,731
PUBLIC SVC
   ENTERPRISE GROUP    COM      744573106     288,254   8713.8545 SH       DEFINED      4                           8713.8545
PULTE GROUP INC        EQUITY   745867101   1,017,080     116,105 SH       SOLE         2      116,105
PURE BIOSCIENCE        EQUITY   746218106      62,174      26,915 SH       SOLE         2       26,915
PUTNAM MANAGED MUN
   INCOM TR            COM      746823103     385,780       49459 SH       DEFINED      4                               49459
QEP RESOURCES INC      COM      74733V100   2,870,689      86,181 SH       SOLE         1       86,181
QEP RESOURCES INC      EQUITY   74733V100   1,812,198      60,126 SH       SOLE         2       60,126
QIAGEN N.V.            EQUITY   N72482107     238,390      13,438 SH       SOLE         2       13,438
QIAO XING UNVL
   RESOURCES INC       COM      G7303A109     166,869      112000 SH       DEFINED      4                              112000
QLOGIC CORP            EQUITY   747277101   5,522,502     313,067 SH       SOLE         2      313,067
QLOGIC CORP.           COM      747277101   1,132,383      61,576 SH       SOLE         1       61,576
QUAKER CHEM CORP COM   COM      747316107     253,792       6,748 SH       SOLE         1        6,748
QUAKER CHEMICAL CORP   EQUITY   747316107     327,912      10,071 SH       SOLE         2       10,071
QUALCOMM INC           COM      747525103     450,452   9980.6508 SH       DEFINED      4                           9980.6508
QUALCOMM INC           EQUITY   747525103  55,402,352   1,227,889 SH       SOLE         2    1,227,889
QUALCOMM, INC.         COM      747525103   3,825,099      80,023 SH       SOLE         1       80,023
QUALITY DISTRIBUTION
   INC                 COM      74756M102     773,164     104,200 SH       SOLE         1      104,200
QUALITY SYSTEMS INC    COM      747582104     729,953      11,418 SH       SOLE         1       11,418
QUALITY SYSTEMS INC    EQUITY   747582104   1,130,254      17,045 SH       SOLE         2       17,045
QUANEX BUILDING
   PRODUCTS            EQUITY   747619104     588,803      34,094 SH       SOLE         2       34,094
QUANEX BUILDING
   PRODUCTS CORP       COM      747619104     450,590      22,507 SH       SOLE         1       22,507
QUANTA SERVICES INC    EQUITY   7.48E+106   1,375,344      72,083 SH       SOLE         2       72,083
QUANTUM CORP           EQUITY   747906204     350,881     165,510 SH       SOLE         2      165,510
QUEST DIAGNOSTICS      EQUITY   74834L100   3,249,561      64,386 SH       SOLE         2       64,386





                                                                                 
QUEST SOFTWARE INC     EQUITY   74834T103   4,406,380     179,194 SH       SOLE         2      179,194
QUESTAR CORP           COM      748356102   1,080,923      61,451 SH       SOLE         1       61,451
QUESTAR CORP           EQUITY   748356102   6,731,502     383,999 SH       SOLE         2      383,999
QUESTCOR
   PHARMACEUTICALS     EQUITY   74835Y101     421,630      42,503 SH       SOLE         2       42,503
QUESTCOR
   PHARMACEUTICALS
   INC                 COM      74835Y101   1,495,044     114,300 SH       SOLE         1      114,300
QUICKSILVER
   RESOURCES INC       COM      74837R104     563,485      44,721 SH       DEFINED      4                              44,721
QUICKSILVER
   RESOURCES INC       EQUITY   74837R104   3,238,099     256,992 SH       SOLE         2      256,992
QUICKSILVER, INC.      COM      74838C106     349,530      77,501 SH       SOLE         1       77,501
QUIDEL CORP            EQUITY   74838J101     183,368      16,685 SH       SOLE         2       16,685
QUIKSILVER INC         EQUITY   74838C106     456,821     116,834 SH       SOLE         2      116,834
QWEST COMMUNICATIONS
   INTERNATIONAL INC   COM      749121109   1,467,506     215,889 SH       SOLE         1      215,889
QWEST COMMUNICATIONS
   INTL                EQUITY   749121109   5,549,032     885,013 SH       SOLE         2      885,013
QWEST COMMUNICATIONS
   INTL IN             COM      749121109      67,001      10,686 SH       DEFINED      4                              10,686
R. R. DONNELLEY AND
   SONS CO.            COM      257867101   1,968,677     110,662 SH       SOLE         1      110,662
RACKSPACE HOSTING INC  EQUITY   750086100   1,945,434      74,882 SH       SOLE         2       74,882
RADIAN GROUP INC       EQUITY   750236101     803,184     102,709 SH       SOLE         2      102,709
RADIANT SYSTEMS INC    EQUITY   75025N102     453,492      26,520 SH       SOLE         2       26,520
RADIANT SYSTEMS, INC.  COM      75025N102     370,985      19,292 SH       SOLE         1       19,292
RADIO ONE INC  CL D    EQUITY   75040P405      21,298      24,200 SH       SOLE         2       24,200
RADIOSHACK CORP        EQUITY   750438103     913,799      42,841 SH       SOLE         2       42,841
RADISYS CORP           EQUITY   750459109     204,433      21,702 SH       SOLE         2       21,702
RADISYS CORP.          COM      750459109     146,359      14,491 SH       SOLE         1       14,491
RAILAMERICA INC        EQUITY   750753402     171,818      17,842 SH       SOLE         2       17,842
RAIT FINANCIAL TRUST   EQUITY   749227104     108,723      65,893 SH       SOLE         2       65,893
RALCORP HOLDINGS INC   EQUITY   751028101   7,022,512     120,084 SH       SOLE         2      120,084
RAM ENERGY RESOURCES
   INC                 EQUITY   75130P109      66,834      42,842 SH       SOLE         2       42,842
RAMCO GERSHENSON
   PROPERTIE           EQUITY   751452202     313,824      29,302 SH       SOLE         2       29,302
RANGE RESOURCES CORP   EQUITY   75281A109   2,344,194      61,479 SH       SOLE         2       61,479
RAVEN INDUSTRIES INC   EQUITY   754212108     474,875      12,533 SH       SOLE         2       12,533
RAYMOND JAMES
   FINANCIAL IN        EQUITY   754730109   5,517,583     217,828 SH       SOLE         2      217,828
RAYONIER INC           EQUITY   754907103   8,792,351     175,426 SH       SOLE         2      175,426
RAYONIER, INC.         COM      754907103   1,924,258      35,431 SH       SOLE         1       35,431
RAYTHEON CO.           COM      755111507   8,581,136     177,553 SH       SOLE         1      177,553
RAYTHEON COMPANY       EQUITY   755111507  16,718,067     365,742 SH       SOLE         2      365,742
RBC BEARINGS INC       EQUITY   75524B104     569,947      16,773 SH       SOLE         2       16,773
RC2 CORP               COM      749388104     288,720      12,982 SH       SOLE         1       12,982
RC2 CORP               EQUITY   749388104     406,598      19,408 SH       SOLE         2       19,408
REALNETWORKS INC       EQUITY   75605L104     210,785      64,658 SH       SOLE         2       64,658
REALTY INCOME CORP     COM      756109104     517,081  15334.5622 SH       DEFINED      4                          15334.5622
REALTY INCOME CORP     EQUITY   756109104   8,100,960     240,242 SH       SOLE         2      240,242
RED HAT INC            EQUITY   756577102   2,584,435      63,035 SH       SOLE         2       63,035
RED ROBIN GOURMET





                                                                                 
   BURGERS             EQUITY   75689M101     275,854      14,067 SH       SOLE         2       14,067
REDWOOD TRUST INC      EQUITY   758075402     869,943      60,162 SH       SOLE         2       60,162
REGAL BELOIT CORP      EQUITY   758750103   4,935,829      84,100 SH       SOLE         2       84,100
REGAL-BELOIT CORP      COM      758750103     715,865      12,452 SH       SOLE         1       12,452
REGENCY CENTERS CORP   EQUITY   758849103   7,065,643     179,013 SH       SOLE         2      179,013
REGENERON
   PHARMACEUTICALS     EQUITY   75886F107     269,232       9,826 SH       SOLE         2        9,826
REGENERON
   PHARMACEUTICALS
   INC.                COM      75886F107   1,122,039      42,990 SH       SOLE         1       42,990
REGIONS FINANCIAL
   CORP                COM      7591EP100   2,233,842     352,341 SH       SOLE         1      352,341
REGIONS FINANCIAL
   CORP                EQUITY   7591EP100   4,403,294     605,680 SH       SOLE         2      605,680
REGIS CORP             EQUITY   758932107   3,230,254     168,858 SH       SOLE         2      168,858
REHAB CARE GROUP       COM      759148109     293,158      14,919 SH       SOLE         1       14,919
REHABCARE GROUP INC    EQUITY   759148109     452,908      22,399 SH       SOLE         2       22,399
REINSURANCE GROUP OF
   AMERI               EQUITY   759351604   7,726,883     160,010 SH       SOLE         2      160,010
RELIANCE STEEL +
   ALUMINUM            EQUITY   759509102   6,743,724     162,382 SH       SOLE         2      162,382
RENAISSANCE LEARNING
   INC                 EQUITY   75968L105     103,581      10,165 SH       SOLE         2       10,165
RENASANT CORP          EQUITY   7.60E+111     294,161      19,340 SH       SOLE         2       19,340
RENESOLA LTD           COM      75971T103   1,365,912     109,800 SH       SOLE         1      109,800
RENT A CENTER INC      EQUITY   76009N100   4,333,283     193,623 SH       SOLE         2      193,623
RENTECH INC            EQUITY   760112102     164,213     166,545 SH       SOLE         2      166,545
REPUBLIC AIRWAYS
   HOLDINGS            EQUITY   760276105     219,172      26,470 SH       SOLE         2       26,470
REPUBLIC SERVICES INC  EQUITY   760759100   3,216,512     105,494 SH       SOLE         2      105,494
RES CARE INC           EQUITY   760943100     302,476      22,794 SH       SOLE         2       22,794
RESEARCH IN MOTION     EQUITY   760975102   1,467,371      30,137 SH       SOLE         2       30,137
RESEARCH IN MOTION
   LTD                 COM      760975102     245,495       5,042 SH       DEFINED      4                               5,042
RESEARCH IN MOTION
   LTD                 COM      760975102   1,591,908      28,199 SH       SOLE         1       28,199
RESEARCH IN MOTION
   LTD                 COM      760975102     801,243       16456 SH       DEFINED      3                               16456
RESMED INC             EQUITY   761152107  10,830,843     330,108 SH       SOLE         2      330,108
RESOLUTE ENERGY CORP   EQUITY   76116A108     324,379      29,329 SH       SOLE         2       29,329
RESOURCE CAPITAL CORP  EQUITY   76120W302     215,417      33,924 SH       SOLE         2       33,924
RESOURCES CONNECTION
   INC                 EQUITY   76122Q105     492,305      35,778 SH       SOLE         2       35,778
RETAIL OPPORTUNITY
   INVTS C             EQUITY   76131N101     308,987      32,287 SH       SOLE         2       32,287
RETAIL VENTURES INC    EQUITY   76128Y102     191,915      17,836 SH       SOLE         2       17,836
REX ENERGY CORP        EQUITY   761565100     318,835      24,909 SH       SOLE         2       24,909
REYNOLDS AMERICAN INC  COM      761713106   1,069,491      16,175 SH       SOLE         1       16,175
REYNOLDS AMERICAN INC  EQUITY   761713106  17,109,309     288,084 SH       SOLE         2      288,084
RF MICRO DEVICES INC   COM      749941100   1,343,433     181,300 SH       SOLE         1      181,300
RF MICRO DEVICES INC   EQUITY   749941100   9,372,452   1,526,458 SH       SOLE         2    1,526,458
RICHARDSON ELEC LTD    EQUITY   763165107     117,306      11,172 SH       SOLE         2       11,172
RIGEL
   PHARMACEUTICALS





                                                                                 
   INC                 EQUITY   766559603     337,561      40,138 SH       SOLE         2       40,138
RIGHTNOW
   TECHNOLOGIES INC    COM      76657R106     381,211      13,974 SH       SOLE         1       13,974
RIGHTNOW
   TECHNOLOGIES INC    EQUITY   76657R106     329,483      16,725 SH       SOLE         2       16,725
RITE AID CORP          COM      767754104      19,426       20600 SH       DEFINED      4                               20600
RITE AID CORP          EQUITY   767754104     405,990     430,530 SH       SOLE         2      430,530
RIVERBED TECHNOLOGY
   INC                 COM      768573107     592,737      10,004 SH       SOLE         1       10,004
RIVERBED TECHNOLOGY
   INC                 EQUITY   768573107   2,219,837      48,702 SH       SOLE         2       48,702
RLI CORP               EQUITY   749607107     923,982      16,319 SH       SOLE         2       16,319
RLI CORP.              COM      749607107     588,654       9,895 SH       SOLE         1        9,895
ROBBINS & MYERS, INC.  COM      770196103     596,970      19,715 SH       SOLE         1       19,715
ROBBINS + MYERS INC    EQUITY   770196103     669,741      25,009 SH       SOLE         2       25,009
ROBERT HALF
   INTERNATIONAL INC.  COM      770323103   8,440,562     300,269 SH       SOLE         1      300,269
ROBERT HALF INTL INC   EQUITY   770323103   1,317,394      50,669 SH       SOLE         2       50,669
ROCK TENN COMPANY
   CL A                EQUITY   772739207   5,697,118     114,377 SH       SOLE         2      114,377
ROCKWELL AUTOMATION
   INC                 EQUITY   773903109   2,931,126      47,483 SH       SOLE         2       47,483
ROCKWELL COLLINS INC.  EQUITY   774341101   3,083,580      52,937 SH       SOLE         2       52,937
ROCKWOOD HOLDINGS INC  COM      774415103   1,038,897      28,604 SH       SOLE         1       28,604
ROCKWOOD HOLDINGS INC  EQUITY   774415103   1,266,510      40,245 SH       SOLE         2       40,245
RODMAN + RENSHAW
   CAPITAL G           EQUITY   77487R100      26,471      12,312 SH       SOLE         2       12,312
ROFIN SINAR
   TECHNOLOGIES I      EQUITY   775043102     554,096      21,832 SH       SOLE         2       21,832
ROFIN-SINAR
   TECHNOLOGIES INC    COM      775043102     501,729      16,916 SH       SOLE         1       16,916
ROGERS
   COMMUNICATIONS INC  COM      775109200   1,203,605      33,294 SH       SOLE         1       33,294
ROGERS CORP            EQUITY   775133101     448,181      14,237 SH       SOLE         2       14,237
ROGERS CORP.           COM      775133101     307,299       9,467 SH       SOLE         1        9,467
ROLLINS INC            EQUITY   775711104   2,918,829     124,843 SH       SOLE         2      124,843
ROPER INDUSTRIES INC   EQUITY   776696106   2,984,788      45,793 SH       SOLE         2       45,793
ROSETTA RESOURCES INC  EQUITY   777779307     956,254      40,709 SH       SOLE         2       40,709
ROSS STORES INC        EQUITY   778296103   2,584,564      47,319 SH       SOLE         2       47,319
ROSS STORES, INC.      COM      778296103   1,863,553      29,191 SH       SOLE         1       29,191
ROVI CORP              EQUITY   779376102  11,340,082     224,957 SH       SOLE         2      224,957
ROWAN COMPANIES INC    EQUITY   779382100   1,179,820      38,861 SH       SOLE         2       38,861
ROYAL BANK OF CANADA   COM      780087102   9,685,600     176,491 SH       SOLE         1      176,491
ROYAL BK SCOTLAND
   GROUP PLC           COM      780097788   1,008,998       52470 SH       DEFINED      4                               52470
RPC INC                EQUITY   749660106     471,614      22,288 SH       SOLE         2       22,288
RPM INTERNATIONAL INC  EQUITY   749685103   5,655,567     283,914 SH       SOLE         2      283,914
RR DONNELLEY + SONS
   CO                  EQUITY   257867101   2,403,605     141,722 SH       SOLE         2      141,722
RSC HOLDINGS INC       EQUITY   74972L102     283,614      38,018 SH       SOLE         2       38,018
RTI BIOLOGICS INC      EQUITY   74975N105     111,125      42,253 SH       SOLE         2       42,253
RTI INTERNATIONAL
   METALS I            EQUITY   74973W107     830,414      27,120 SH       SOLE         2       27,120
RTI INTERNATIONAL





                                                                                 
   METALS, INC.        COM      74973W107     559,080      18,000 SH       SOLE         1       18,000
RUBICON TECHNOLOGY
   INC                 EQUITY   78112T107     713,464      31,444 SH       SOLE         2       31,444
RUBY TUESDAY INC       EQUITY   781182100     690,715      58,190 SH       SOLE         2       58,190
RUBY TUESDAY, INC.     COM      781182100     498,996      38,772 SH       SOLE         1       38,772
RUDDICK CORP           EQUITY   781258108   4,365,206     125,871 SH       SOLE         2      125,871
RUDOLPH TECHNOLOGIES
   INC                 EQUITY   781270103     233,802      28,135 SH       SOLE         2       28,135
RUDOLPH TECHNOLOGIES
   INC.                COM      781270103     157,329      18,752 SH       SOLE         1       18,752
RUE21 INC              EQUITY   781295100     292,634      11,338 SH       SOLE         2       11,338
RURAL/METRO CORP       EQUITY   781748108     125,480      14,745 SH       SOLE         2       14,745
RUSH ENTERPRISES INC
   CL A                EQUITY   781846209     377,655      24,619 SH       SOLE         2       24,619
RUTH S HOSPITALITY
   GROUP I             EQUITY   783332109     108,835      27,141 SH       SOLE         2       27,141
RUTHS HOSPITALITY
   GROUP INC           COM      783332109     199,297       49700 SH       DEFINED      4                               49700
RUTH'S HOSPITALITY
   GROUP INC           COM      783332109      92,215      18,517 SH       SOLE         1       18,517
RYDER SYSTEM INC       EQUITY   783549108     757,756      17,717 SH       SOLE         2       17,717
RYDER SYSTEM, INC.     COM      783549108   1,100,114      24,409 SH       SOLE         1       24,409
RYDEX ETF TRUST        COM      78355W825     655,611       11979 SH       DEFINED      3                               11979
RYDEX ETF TRUST        COM      78355W106     4571997      107881 SH       DEFINED      3                              107881
RYDEX ETF TRUST        COM      78355W601     1248346       18560 SH       DEFINED      3                               18560
RYLAND GROUP INC       EQUITY   783764103   2,319,260     129,423 SH       SOLE         2      129,423
S + T BANCORP INC      EQUITY   783859101     388,797      22,319 SH       SOLE         2       22,319
S&T BANCORP, INC.      COM      783859101     312,956      14,818 SH       SOLE         1       14,818
S.Y. BANCORP INC       EQUITY   785060104     226,979       9,145 SH       SOLE         2        9,145
S1 CORPORATION         EQUITY   78463B101     208,353      39,991 SH       SOLE         2       39,991
SABA SOFTWARE INC      EQUITY   784932600     117,651      21,627 SH       SOLE         2       21,627
SAFEGUARD
   SCIENTIFICS INC     EQUITY   786449207     198,325      15,828 SH       SOLE         2       15,828
SAFETY INSURANCE
   GROUP INC           COM      78648T100     428,452       8,986 SH       SOLE         1        8,986
SAFETY INSURANCE
   GROUP INC           EQUITY   78648T100     491,046      11,686 SH       SOLE         2       11,686
SAFEWAY INC            COM      786514208   2,350,828     100,721 SH       SOLE         1      100,721
SAFEWAY INC            EQUITY   786514208   3,429,295     162,065 SH       SOLE         2      162,065
SAIA INC               EQUITY   78709Y105     182,967      12,255 SH       SOLE         2       12,255
SAIC INC               EQUITY   78390X101   1,785,206     111,715 SH       SOLE         2      111,715
SAKS INC               EQUITY   79377W108   8,153,084     948,033 SH       SOLE         2      948,033
SALESFORCE.COM INC     EQUITY   79466L302   6,836,570      61,150 SH       SOLE         2       61,150
SALIX PHARMACEUTICALS  COM      795435106   2,288,640      61,755 SH       SOLE         1       61,755
SALIX
   PHARMACEUTICALS
   LTD                 EQUITY   795435106   2,045,342      51,494 SH       SOLE         2       51,494
SALLY BEAUTY
   HOLDINGS INC        EQUITY   7.95E+108     815,382      72,802 SH       SOLE         2       72,802
SAN JUAN BASIN RTY TR  COM      798241105   495089.56       20036 SH       DEFINED      3                               20036
SANDERS MORRIS
   HARRIS GRP          EQUITY   80000Q104      90,860      16,053 SH       SOLE         2       16,053
SANDERSON FARMS INC    EQUITY   800013104     867,965      20,050 SH       SOLE         2       20,050
SANDERSON FARMS, INC.  COM      800013104     497,179      11,565 SH       SOLE         1       11,565





                                                                                 
SANDISK CORP           EQUITY   80004C101   4,910,697     133,989 SH       SOLE         2      133,989
SANDISK CORP.          COM      80004C101   3,020,962      73,023 SH       SOLE         1       73,023
SANDY SPRING BANCORP
   INC                 EQUITY   800363103     287,122      18,524 SH       SOLE         2       18,524
SANGAMO BIOSCIENCES
   INC                 EQUITY   800677106     119,481      34,834 SH       SOLE         2       34,834
SANMINA SCI CORP       EQUITY   800907206     741,724      61,401 SH       SOLE         2       61,401
SANTARUS INC           EQUITY   802817304     121,773      40,456 SH       SOLE         2       40,456
SAPIENT CORPORATION    EQUITY   803062108     952,740      79,594 SH       SOLE         2       79,594
SARA LEE CORP          EQUITY   803111103   4,148,957     308,932 SH       SOLE         2      308,932
SARA LEE CORP.         COM      803111103   3,625,896     244,993 SH       SOLE         1      244,993
SATCON TECHNOLOGY
   CORP                EQUITY   803893106     207,097      55,079 SH       SOLE         2       55,079
SAUL CENTERS INC       EQUITY   804395101     205,010       4,887 SH       SOLE         2        4,887
SAVIENT
   PHARMACEUTICALS IN  EQUITY   80517Q100   1,392,051      60,868 SH       SOLE         2       60,868
SAVIENT
   PHARMACEUTICALS
   INC                 COM      80517Q100     491,921      40,454 SH       SOLE         1       40,454
SAVVIS INC             EQUITY   805423308     610,392      28,956 SH       SOLE         2       28,956
SBA COMMUNICATIONS
   CORP CL             EQUITY   78388J106   5,887,709     146,097 SH       SOLE         2      146,097
SCANA CORP             EQUITY   80589M102   1,558,771      38,660 SH       SOLE         2       38,660
SCANSOURCE INC         COM      806037107     480,349      15,985 SH       SOLE         1       15,985
SCANSOURCE INC         EQUITY   806037107     670,836      24,183 SH       SOLE         2       24,183
SCBT FINANCIAL CORP    EQUITY   78401V102     307,471       9,858 SH       SOLE         2        9,858
SCHLUMBERGER LTD       COM      806857108     466,346     7569.33 SH       DEFINED      4                             7569.33
SCHLUMBERGER LTD       EQUITY   806857108  52,958,169     859,571 SH       SOLE         2      859,571
SCHLUMBERGER, LTD.     COM      806857108   5,496,923      73,449 SH       SOLE         1       73,449
SCHOLASTIC CORP        EQUITY   807066105   2,330,259      83,762 SH       SOLE         2       83,762
SCHOOL SPECIALTY INC   EQUITY   807863105     216,460      16,638 SH       SOLE         2       16,638
SCHULMAN (A.) INC      EQUITY   808194104     572,139      28,394 SH       SOLE         2       28,394
SCHULMAN, A. INC.      COM      808194104     415,588      18,839 SH       SOLE         1       18,839
SCHWAB (CHARLES) CORP  EQUITY   808513105   7,794,717     560,771 SH       SOLE         2      560,771
SCHWEITZER MAUDUIT
   INTL IN             EQUITY   808541106     965,439      16,557 SH       SOLE         2       16,557
SCHWEITZER-MAUDUIT
   INC.                COM      808541106     732,284      10,987 SH       SOLE         1       10,987
SCICLONE
   PHARMACEUTICALS I   EQUITY   80862K104      75,969      28,776 SH       SOLE         2       28,776
SCIENTIFIC GAMES
   CORP A              EQUITY   80874P109   1,811,223     186,724 SH       SOLE         2      186,724
SCORPIO TANKERS INC    EQUITY   Y7542C106     112,990      10,008 SH       SOLE         2       10,008
SCOTTS MIRACLE GRO
   CO CL A             EQUITY   810186106   5,213,815     100,789 SH       SOLE         2      100,789
SCRIPPS NETWORKS
   INTER CL            EQUITY   811065101   2,460,600      51,715 SH       SOLE         2       51,715
SEABOARD CORP          EQUITY   811543107     444,521         251 SH       SOLE         2          251
SEABRIDGE GOLD INC     EQUITY   811916105  15,364,478     535,721 SH       SOLE         2      535,721
SEABRIGHT HOLDINGS
   INC                 EQUITY   811656107     136,996      16,997 SH       SOLE         2       16,997
SEACHANGE
   INTERNATIONAL IN    EQUITY   811699107     159,330      21,502 SH       SOLE         2       21,502
SEACOR HOLDINGS INC    COM      811904101   1,265,510      12,697 SH       SOLE         1       12,697





                                                                                 
SEACOR HOLDINGS INC    EQUITY   811904101     275,322       3,233 SH       SOLE         2        3,233
SEAGATE TECHNOLOGY     COM      B58JVZ5       516,272      34,281 SH       SOLE         1       34,281
SEAGATE TECHNOLOGY     EQUITY   G7945M107     424,469      36,033 SH       SOLE         2       36,033
SEALED AIR CORP        EQUITY   81211K100   1,563,259      69,540 SH       SOLE         2       69,540
SEALY CORP             EQUITY   812139301      90,490      37,086 SH       SOLE         2       37,086
SEARS HOLDINGS CORP    COM      812350106     217,443       2,975 SH       SOLE         1        2,975
SEARS HOLDINGS CORP    EQUITY   812350106   1,652,727      22,910 SH       SOLE         2       22,910
SEATTLE GENETICS INC   EQUITY   812578102   1,002,617      64,560 SH       SOLE         2       64,560
SEI INVESTMENTS CO.    COM      784117103     527,860      22,861 SH       SOLE         1       22,861
SEI INVESTMENTS
   COMPANY             EQUITY   784117103   6,522,611     320,679 SH       SOLE         2      320,679
SELECT COMFORT
   CORPORATION         EQUITY   81616X103     286,028      42,187 SH       SOLE         2       42,187
SELECT MEDICAL
   HOLDINGS CO         EQUITY   81619Q105     298,775      38,802 SH       SOLE         2       38,802
SELECT SECTOR SPDR TR  COM      81369Y308     200,432   7189.1119 SH       DEFINED      4                           7189.1119
SELECT SECTOR SPDR TR  COM      81369Y506     596,596   10642.097 SH       DEFINED      4                           10642.097
SELECT SECTOR SPDR TR  COM      81369Y605     219,102  15274.2955 SH       DEFINED      4                          15274.2955
SELECT SECTOR SPDR TR  EQUITY   81369Y605   6,540,730     455,800 SH       SOLE         2      455,800
SELECT SECTOR SPDR TR  COM      81369Y886      720921  22973.8949 SH       DEFINED      3                          22973.8949
SELECT SECTOR SPDR TR  COM      81369Y308     1047325  37565.4575 SH       DEFINED      3                          37565.4575
SELECTIVE INSURANCE
   GROUP               EQUITY   816300107     781,904      47,999 SH       SOLE         2       47,999
SELECTIVE INSURANCE
   GROUP, INC          COM      816300107     555,552      31,965 SH       SOLE         1       31,965
SEMICONDUCTOR HOLDRS
   TRUST               COM      816636203   1,458,288      46,800 SH       SOLE         1       46,800
SEMPRA ENERGY          EQUITY   816851109   4,548,575      84,546 SH       SOLE         2       84,546
SEMTECH CORP           EQUITY   816850101   3,681,747     182,355 SH       SOLE         2      182,355
SENIOR HOUSING PROP
   TRUST               EQUITY   81721M109   6,549,027     278,682 SH       SOLE         2      278,682
SENOMYX INC            EQUITY   81724Q107     118,656      29,813 SH       SOLE         2       29,813
SENSIENT
   TECHNOLOGIES CORP   EQUITY   81725T100   4,443,613     145,740 SH       SOLE         2      145,740
SEQUENOM INC           EQUITY   817337405     406,237      57,951 SH       SOLE         2       57,951
SERVICE CORP
   INTERNATIONAL       EQUITY   817565104   4,654,748     539,994 SH       SOLE         2      539,994
SFN GROUP INC          COM      784153108     266,625      31,516 SH       SOLE         1       31,516
SFN GROUP INC          EQUITY   784153108     281,923      46,909 SH       SOLE         2       46,909
SHARES TR              COM      464288752     230,565       19134 SH       DEFINED      4                               19134
SHARPS COMPLIANCE
   CORP                EQUITY   820017101     842,340     166,800 SH       SOLE         2      166,800
SHAW GROUP INC         EQUITY   820280105   6,187,222     184,363 SH       SOLE         2      184,363
SHENANDOAH
   TELECOMMUNICATI     EQUITY   82312B106     333,111      18,333 SH       SOLE         2       18,333
SHERWIN WILLIAMS
   CO/THE              EQUITY   824348106   3,972,351      52,866 SH       SOLE         2       52,866
SHERWIN-WILLIAMS CO.   COM      824348106   4,468,880      61,092 SH       SOLE         1       61,092
SHIP FINANCE
   INTERNATIONAL L     COM      G81075106     355,996       18322 SH       DEFINED      4                               18322
SHIP FINANCE INTL LTD  EQUITY   G81075106     670,860      34,527 SH       SOLE         2       34,527
SHORETEL INC           EQUITY   825211105     172,439      34,766 SH       SOLE         2       34,766
SHUFFLE MASTER INC     EQUITY   825549108     406,144      48,293 SH       SOLE         2       48,293
SHUFFLE MASTER, INC.   COM      825549108     310,971      32,092 SH       SOLE         1       32,092





                                                                                 
SHUTTERFLY INC         EQUITY   82568P304     539,059      20,741 SH       SOLE         2       20,741
SIGA TECHNOLOGIES INC  EQUITY   826917106     204,487      24,171 SH       SOLE         2       24,171
SIGMA ALDRICH          EQUITY   826552101   3,214,812      53,243 SH       SOLE         2       53,243
SIGMA ALDRICH CORP.    COM      826552101     463,408       7,062 SH       SOLE         1        7,062
SIGMA DESIGNS INC      COM      826565103     192,250      16,488 SH       SOLE         1       16,488
SIGMA DESIGNS INC      EQUITY   826565103     316,975      27,587 SH       SOLE         2       27,587
SIGNATURE BANK         COM      82669G104   1,079,249      24,291 SH       SOLE         1       24,291
SIGNATURE BANK         EQUITY   82669G104   7,963,054     205,022 SH       SOLE         2      205,022
SIGNET JEWELERS LTD    EQUITY   G81276100   2,713,992      85,507 SH       SOLE         2       85,507
SILGAN HOLDINGS INC    EQUITY   827048109   5,001,721     157,783 SH       SOLE         2      157,783
SILICON GRAPHICS
   INTERNATI           EQUITY   82706L108     183,834      23,690 SH       SOLE         2       23,690
SILICON IMAGE INC      EQUITY   82705T102     282,904      59,185 SH       SOLE         2       59,185
SILICON LABORATORIES
   INC                 EQUITY   826919102   3,569,380      97,391 SH       SOLE         2       97,391
SILVERCORP METALS INC  COM      82835P103      83,380       10070 SH       DEFINED      4                               10070
SIMMONS FIRST
   NATIONAL CORP.      COM      828730200     297,724      10,309 SH       SOLE         1       10,309
SIMMONS FIRST NATL
   CORP CL             EQUITY   828730200     437,902      15,490 SH       SOLE         2       15,490
SIMON PROPERTY GROUP
   INC                 EQUITY   828806109  11,727,437     126,455 SH       SOLE         2      126,455
SIMPSON
   MANUFACTURING CO I  EQUITY   829073105     915,448      35,510 SH       SOLE         2       35,510
SIMPSON
   MANUFACTURING CO.   COM      829073105     641,686      23,661 SH       SOLE         1       23,661
SINCLAIR BROADCAST
   GROUP A             EQUITY   829226109     245,117      34,917 SH       SOLE         2       34,917
SINOPEC SHANGHAI
   PETROCHEMIC         COM      82935M109      332890   8077.8962 SH       DEFINED      3                           8077.8962
SIRIUS XM RADIO INC    COM      82967N108      60,300       50250 SH       DEFINED      4                               50250
SIRIUS XM RADIO INC    COM      82967N108     608,178     391,741 SH       SOLE         1      391,741
SIRIUS XM RADIO INC    COM      82967N108       18018       15015 SH       DEFINED      3                               15015
SIRIUS XM RADIO INC    EQUITY   82967N108      80,219      66,849 SH       SOLE         2       66,849
SIRONA DENTAL
   SYSTEMS INC         EQUITY   82966C103     931,778      25,854 SH       SOLE         2       25,854
SJW CORP               EQUITY   784305104     246,349      10,002 SH       SOLE         2       10,002
SKECHERS USA INC CL A  EQUITY   830566105     730,328      31,091 SH       SOLE         2       31,091
SKECHERS USA INC.
   CL-A                COM      830566105     432,589      20,205 SH       SOLE         1       20,205
SKILLED HEALTHCARE
   GROU CL             EQUITY   83066R107      60,168      15,310 SH       SOLE         2       15,310
SKYWEST INC            COM      830879102     539,184      33,594 SH       SOLE         1       33,594
SKYWEST INC            EQUITY   830879102     704,338      50,454 SH       SOLE         2       50,454
SKYWORKS SOLUTIONS
   INC                 EQUITY   83088M102   8,055,729     389,542 SH       SOLE         2      389,542
SL GREEN REALTY CORP   EQUITY   78440X101  10,830,633     171,019 SH       SOLE         2      171,019
SLM CORP               EQUITY   78442P106   2,859,676     247,591 SH       SOLE         2      247,591
SM ENERGY CO           COM      78454L100   2,837,996      58,013 SH       SOLE         1       58,013
SM ENERGY CO           EQUITY   78454L100     350,775       9,364 SH       SOLE         2        9,364
SMART BALANCE INC      EQUITY   83169Y108     187,683      48,372 SH       SOLE         2       48,372
SMART MODULAR
   TECHNOLOGIES        EQUITY   G82245104     244,722      40,584 SH       SOLE         2       40,584
SMITH (A.O.) CORP      EQUITY   831865209   1,250,250      21,597 SH       SOLE         2       21,597





                                                                                 
SMITH + WESSON
   HOLDING COR         EQUITY   831756101     164,280      46,146 SH       SOLE         2       46,146
SMITH MICRO SOFTWARE
   INC                 COM      832154108     273,382      18,045 SH       SOLE         1       18,045
SMITH MICRO SOFTWARE
   INC                 EQUITY   832154108     272,376      27,402 SH       SOLE         2       27,402
SMITH, A.O. CORP.      COM      831865209     798,307      13,334 SH       SOLE         1       13,334
SMITHFIELD FOODS INC   EQUITY   832248108   6,099,731     362,432 SH       SOLE         2      362,432
SNAP ON INC            EQUITY   833034101     921,828      19,820 SH       SOLE         2       19,820
SOLARWINDS INC         EQUITY   83416B109     465,778      26,986 SH       SOLE         2       26,986
SOLERA HOLDINGS INC    EQUITY   83421A104   6,747,869     152,805 SH       SOLE         2      152,805
SOLTA MEDICAL INC      EQUITY   83438K103      91,702      45,851 SH       SOLE         2       45,851
SOLUTIA INC            EQUITY   834376501   1,501,458      93,724 SH       SOLE         2       93,724
SOMAXON
   PHARMACEUTICALS IN  EQUITY   834453102      85,094      21,875 SH       SOLE         2       21,875
SONIC AUTOMOTIVE INC   COM      83545G102     262,956      21,121 SH       SOLE         1       21,121
SONIC AUTOMOTIVE INC
   CLASS               EQUITY   83545G102     348,149      35,417 SH       SOLE         2       35,417
SONIC CORP             EQUITY   835451105     446,032      55,202 SH       SOLE         2       55,202
SONIC CORP.            COM      835451105     343,784      36,966 SH       SOLE         1       36,966
SONIC SOLUTIONS        COM      835460106     353,219      28,717 SH       SOLE         1       28,717
SONIC SOLUTIONS        EQUITY   835460106     269,433      23,676 SH       SOLE         2       23,676
SONOCO PRODUCTS CO     COM      835495102     528,776      15,700 SH       SOLE         1       15,700
SONOCO PRODUCTS CO     EQUITY   835495102   7,361,749     220,148 SH       SOLE         2      220,148
SONOSITE INC           EQUITY   83568G104     377,390      11,262 SH       SOLE         2       11,262
SONUS NETWORKS INC     EQUITY   835916107     567,568     160,784 SH       SOLE         2      160,784
SOTHEBY S              EQUITY   835898107   7,245,071     196,770 SH       SOLE         2      196,770
SOURCEFIRE INC         COM      83616T108     910,646      36,455 SH       SOLE         1       36,455
SOURCEFIRE INC         EQUITY   83616T108     715,463      24,808 SH       SOLE         2       24,808
SOUTH FINANCIAL
   GROUP INC           EQUITY   837841105       7,903      27,828 SH       SOLE         2       27,828
SOUTH JERSEY
   INDUSTRIES          EQUITY   838518108  11,952,941     241,620 SH       SOLE         2      241,620
SOUTH JERSEY
   INDUSTRIES, INC.    COM      838518108     921,508      17,876 SH       SOLE         1       17,876
SOUTHERN CO            COM      842587107     482,200  12948.4377 SH       DEFINED      4                          12948.4377
SOUTHERN CO            EQUITY   842587107   9,833,148     264,048 SH       SOLE         2      264,048
SOUTHERN UNION CO      EQUITY   844030106   6,551,875     272,314 SH       SOLE         2      272,314
SOUTHSIDE BANCSHARES
   INC                 EQUITY   84470P109     230,420      12,198 SH       SOLE         2       12,198
SOUTHWEST AIRLINES CO  EQUITY   844741108   4,947,256     378,520 SH       SOLE         2      378,520
SOUTHWEST AIRLINES
   CO.                 COM      844741108     715,510      50,176 SH       SOLE         1       50,176
SOUTHWEST BANCORP
   INC/OKLA            EQUITY   844767103     194,187      14,972 SH       SOLE         2       14,972
SOUTHWEST GAS CORP     COM      844895102     975,449      27,194 SH       SOLE         1       27,194
SOUTHWEST GAS CORP     EQUITY   844895102   1,374,704      40,926 SH       SOLE         2       40,926
SOUTHWESTERN ENERGY
   CO                  EQUITY   845467109   4,692,501     140,326 SH       SOLE         2      140,326
SOVRAN SELF STORAGE
   INC                 EQUITY   84610H108     942,649      24,872 SH       SOLE         2       24,872
SOVRAN SELF STORAGE,
   INC.                COM      84610H108     620,954      15,462 SH       SOLE         1       15,462
SPANSION INC CLASS A   EQUITY   84649R200     149,940      10,016 SH       SOLE         2       10,016





                                                                                 
SPARTAN MOTORS INC     COM      846819100     108,005      19,673 SH       SOLE         1       19,673
SPARTAN MOTORS INC     EQUITY   846819100     137,636      29,663 SH       SOLE         2       29,663
SPARTAN STORES INC     COM      846822104     213,120      13,540 SH       SOLE         1       13,540
SPARTAN STORES INC     EQUITY   846822104     294,510      20,311 SH       SOLE         2       20,311
SPARTECH CORP          EQUITY   847220209     195,932      23,865 SH       SOLE         2       23,865
SPDR DOW JONES INDL
   AVRG ETF            COM      78467X109     214,511   1987.8737 SH       DEFINED      4                           1987.8737
SPDR GOLD TRUST        COM      78463V107   2,314,531       18095 SH       DEFINED      4                               18095
SPDR S&P 500 ETF TR    COM      78462F103     626,541   5489.7099 SH       DEFINED      4                           5489.7099
SPDR S&P 500 ETF
   TRUST               COM      78462F103  97,600,051     796,768 SH       SOLE         1      796,768
SPDR SERIES TRUST      COM      78464A714     665,188       15906 SH       DEFINED      3                               15906
SPDR SERIES TRUST      COM      78464A763     451,517        8998 SH       DEFINED      3                                8998
SPDR SERIES TRUST      COM      78464A201   1,309,000       14000 SH       DEFINED      3                               14000
SPDR SERIES TRUST      COM      78464A417     455,474       11384 SH       DEFINED      4                               11384
SPDR SERIES TRUST      COM      78464A755     334,197        6249 SH       DEFINED      4                                6249
SPDR SERIES TRUST      COM      78464A292     312,930        6864 SH       DEFINED      4                                6864
SPDR SERIES TRUST      COM      78464A359     201,735        5190 SH       DEFINED      4                                5190
SPDR SERIES TRUST      COM      78464A490     263,656        4487 SH       DEFINED      4                                4487
SPDR SERIES TRUST      COM      78464A649     410,109        7099 SH       DEFINED      4                                7099
SPECTRA ENERGY CORP    EQUITY   847560109  10,453,504     463,570 SH       SOLE         2      463,570
SPECTRANETICS CORP     EQUITY   84760C107     138,492      25,552 SH       SOLE         2       25,552
SPECTRUM BRANDS
   HOLDINGS I          EQUITY   84763R101     381,906      14,051 SH       SOLE         2       14,051
SPECTRUM
   PHARMACEUTICALS I   EQUITY   84763A108     159,415      38,229 SH       SOLE         2       38,229
SPRINT NEXTEL CORP     COM      852061100     244,952      61,238 SH       SOLE         1       61,238
SPRINT NEXTEL CORP     EQUITY   852061100   6,256,700   1,351,339 SH       SOLE         2    1,351,339
SPX CORP               EQUITY   784635104   6,917,580     109,317 SH       SOLE         2      109,317
SPX CORP.              COM      784635104     377,654       5,604 SH       SOLE         1        5,604
SRA INTERNATIONAL
   INC CL A            EQUITY   78464R105   2,475,807     125,548 SH       SOLE         2      125,548
ST JUDE MEDICAL INC    EQUITY   790849103  12,393,634     315,039 SH       SOLE         2      315,039
STAAR SURGICAL CO      EQUITY   852312305     145,686      26,929 SH       SOLE         2       26,929
STAGE STORES INC       COM      85254C305     317,983      22,552 SH       SOLE         1       22,552
STAGE STORES INC       EQUITY   85254C305     451,893      34,761 SH       SOLE         2       34,761
STANCORP FINANCIAL
   GROUP               EQUITY   852891100   3,883,410     102,195 SH       SOLE         2      102,195
STANCORP FINANCIAL
   GROUP, INC.         COM      852891100     250,230       5,700 SH       SOLE         1        5,700
STANDARD
   MICROSYSTEMS CORP   EQUITY   853626109     461,652      20,239 SH       SOLE         2       20,239
STANDARD
   MICROSYSTEMS CORP.  COM      853626109     355,115      13,554 SH       SOLE         1       13,554
STANDARD MOTOR PRODS   EQUITY   853666105     186,170      17,680 SH       SOLE         2       17,680
STANDARD MOTOR
   PRODUCTS, INC.      COM      853666105     155,123      11,734 SH       SOLE         1       11,734
STANDARD PACIFIC CORP  EQUITY   85375C101     378,674      95,384 SH       SOLE         2       95,384
STANDARD PARKING CORP  EQUITY   853790103     204,824      11,978 SH       SOLE         2       11,978
STANDARD REGISTER CO   EQUITY   853887107      45,126      15,454 SH       SOLE         2       15,454
STANDARD-PACIFIC CORP  COM      85375C101     253,271      59,314 SH       SOLE         1       59,314
STANDEX
   INTERNATIONAL CORP  EQUITY   854231107     272,138      11,250 SH       SOLE         2       11,250
STANDEX





                                                                                 
   INTERNATIONAL
   CORP.               COM      854231107     221,009       7,464 SH       SOLE         1        7,464
STANLEY BLACK +
   DECKER INC          EQUITY   854502101   5,251,635      85,699 SH       SOLE         2       85,699
STAPLES INC            EQUITY   855030102   7,249,931     346,555 SH       SOLE         2      346,555
STAPLES, INC.          COM      855030102   2,101,078     102,692 SH       SOLE         1      102,692
STAR SCIENTIFIC INC    EQUITY   85517P101     156,412      74,482 SH       SOLE         2       74,482
STARBUCKS CORP         COM      855244109     723,499       28317 SH       DEFINED      4                               28317
STARBUCKS CORP         EQUITY   855244109   9,661,592     377,701 SH       SOLE         2      377,701
STARBUCKS CORP.        COM      855244109   6,093,900     198,952 SH       SOLE         1      198,952
STARWOOD HOTELS &
   RESORTS WORLDWIDE
   INC                 COM      85590A401     518,955       8,868 SH       SOLE         1        8,868
STARWOOD HOTELS +
   RESORTS             EQUITY   85590A401   7,114,797     135,391 SH       SOLE         2      135,391
STARWOOD PROPERTY
   TRUST IN            EQUITY   85571B105     730,223      36,750 SH       SOLE         2       36,750
STATE AUTO FINANCIAL
   CORP                EQUITY   855707105     169,394      11,137 SH       SOLE         2       11,137
STATE BANCORP INC      EQUITY   855716106     115,285      12,838 SH       SOLE         2       12,838
STATE STREET CORP      EQUITY   857477103   8,542,079     226,821 SH       SOLE         2      226,821
STATE STREET CORP.     COM      857477103   7,461,660     166,741 SH       SOLE         1      166,741
STEC INC               COM      784774101   1,381,203      110940 SH       DEFINED      4                              110940
STEC INC               EQUITY   784774101   4,100,507     329,358 SH       SOLE         2      329,358
STEEL DYNAMICS INC     COM      858119100     291,222  20639.3962 SH       DEFINED      4                          20639.3962
STEEL DYNAMICS INC     EQUITY   858119100   6,691,978     474,272 SH       SOLE         2      474,272
STEELCASE INC CL A     EQUITY   858155203     492,761      59,155 SH       SOLE         2       59,155
STEIN MART INC         EQUITY   858375108     214,852      24,332 SH       SOLE         2       24,332
STEIN MART, INC.       COM      858375108     159,930      16,122 SH       SOLE         1       16,122
STEINER LEISURE LTD    EQUITY   P8744Y102     436,397      11,454 SH       SOLE         2       11,454
STEINWAY MUSICAL
   INSTRUMENTS         COM      858495104   2,933,410     166,671 SH       SOLE         1      166,671
STELLARONE CORP        EQUITY   85856G100     224,355      17,638 SH       SOLE         2       17,638
STEMCELLS INC          EQUITY   85857R105      76,714      92,427 SH       SOLE         2       92,427
STEPAN CO              EQUITY   858586100     415,070       7,022 SH       SOLE         2        7,022
STEPAN CO.             COM      858586100     336,303       4,631 SH       SOLE         1        4,631
STEREOTAXIS INC        EQUITY   85916J102      91,275      22,047 SH       SOLE         2       22,047
STERICYCLE INC         EQUITY   858912108   3,214,145      46,260 SH       SOLE         2       46,260
STERICYCLE, INC.       COM      858912108   9,223,497     129,018 SH       SOLE         1      129,018
STERIS CORP            EQUITY   859152100   5,802,504     174,669 SH       SOLE         2      174,669
STERLING BANCORP       COM      859158107     164,465      16,061 SH       SOLE         1       16,061
STERLING BANCORP N Y   EQUITY   859158107   5,519,010     635,099 SH       SOLE         2      635,099
STERLING BANCSHARES
   INC/TX              EQUITY   858907108     451,085      84,001 SH       SOLE         2       84,001
STERLING BANCSHARES,
   INC.                COM      858907108     364,732      60,992 SH       SOLE         1       60,992
STERLING
   CONSTRUCTION CO     EQUITY   859241101     153,921      12,433 SH       SOLE         2       12,433
STEVEN MADDEN LTD      EQUITY   556269108     899,460      21,906 SH       SOLE         2       21,906
STEVEN MADDEN, LTD.    COM      556269108   1,756,191      42,626 SH       SOLE         1       42,626
STEWART ENTERPRISES
   INC CL              EQUITY   860370105     338,805      62,858 SH       SOLE         2       62,858
STEWART INFORMATION
   SERVIC              EQUITY   860372101     177,849      15,711 SH       SOLE         2       15,711





                                                                                 
STEWART INFORMATION
   SERVICES COM        COM      860372101     119,362      10,991 SH       SOLE         1       10,991
STIFEL FINANCIAL CORP  COM      860630102   1,317,822      26,569 SH       SOLE         1       26,569
STIFEL FINANCIAL CORP  EQUITY   860630102   4,942,846     106,780 SH       SOLE         2      106,780
STILLWATER MINING CO   EQUITY   86074Q102     578,319      34,342 SH       SOLE         2       34,342
STONE ENERGY CORP      COM      861642106     532,633      29,058 SH       SOLE         1       29,058
STONE ENERGY CORP      EQUITY   861642106     583,161      39,590 SH       SOLE         2       39,590
STONERIDGE INC         EQUITY   86183P102     124,155      11,813 SH       SOLE         2       11,813
STR HOLDINGS INC       EQUITY   78478V100     471,898      21,908 SH       SOLE         2       21,908
STRATASYS INC          COM      862685104     392,926      12,302 SH       SOLE         1       12,302
STRATASYS INC          EQUITY   862685104     512,875      18,502 SH       SOLE         2       18,502
STRATEGIC HOTELS +
   RESORTS             EQUITY   86272T106     460,210     108,540 SH       SOLE         2      108,540
STRAYER EDUCATION INC  EQUITY   863236105   5,293,981      30,338 SH       SOLE         2       30,338
STRYKER CORP           EQUITY   863667101   7,655,698     152,961 SH       SOLE         2      152,961
STRYKER CORP.          COM      863667101   1,615,467      31,013 SH       SOLE         1       31,013
STURM RUGER + CO INC   EQUITY   864159108     235,263      17,248 SH       SOLE         2       17,248
STURM, RUGER & CO.,
   INC.                COM      864159108     184,752      11,547 SH       SOLE         1       11,547
SUBURBAN PROPANE
   PARTNERS L          COM      864482104     341,716        6278 SH       DEFINED      4                                6278
SUCCESSFACTORS INC     COM      864596101   1,140,365      39,500 SH       SOLE         1       39,500
SUCCESSFACTORS INC     EQUITY   864596101   1,220,145      48,592 SH       SOLE         2       48,592
SUN COMMUNITIES INC    EQUITY   866674104     450,185      14,664 SH       SOLE         2       14,664
SUN HEALTHCARE GROUP
   INC                 EQUITY   866933401     488,965      57,729 SH       SOLE         2       57,729
SUN HYDRAULICS CORP    EQUITY   866942105     272,005       9,649 SH       SOLE         2        9,649
SUN LIFE FINANCIAL
   INC                 COM      866796105     256,876       8,759 SH       SOLE         1        8,759
SUNCOR ENERGY INC NEW  COM      867224107   555484.31  17065.5702 SH       DEFINED      4                          17065.5702
SUNOCO INC             COM      86764P109   4,537,177     117,910 SH       SOLE         1      117,910
SUNOCO INC             EQUITY   86764P109   1,504,786      41,227 SH       SOLE         2       41,227
SUNRISE SENIOR
   LIVING INC          EQUITY   86768K106     147,956      43,136 SH       SOLE         2       43,136
SUNSTONE HOTEL
   INVESTORS I         EQUITY   867892101     690,136      76,090 SH       SOLE         2       76,090
SUNTECH PWR HLDGS CO
   LTD                 COM      86800C104      476900       49471 SH       DEFINED      3                               49471
SUNTRUST BANKS INC     EQUITY   867914103   5,282,907     204,526 SH       SOLE         2      204,526
SUNTRUST BANKS, INC.   COM      867914103     337,814      12,830 SH       SOLE         1       12,830
SUPER MICRO COMPUTER
   INC                 COM      86800U104     165,918      14,683 SH       SOLE         1       14,683
SUPER MICRO COMPUTER
   INC                 EQUITY   86800U104     196,007      18,865 SH       SOLE         2       18,865
SUPERGEN INC           EQUITY   868059106      90,875      43,481 SH       SOLE         2       43,481
SUPERIOR ENERGY
   SERVICES I          EQUITY   868157108   4,598,393     172,289 SH       SOLE         2      172,289
SUPERIOR INDUSTRIES
   INTL                EQUITY   868168105     360,564      20,866 SH       SOLE         2       20,866
SUPERIOR INDUSTRIES
   INTL, INC.          COM      868168105     258,058      13,904 SH       SOLE         1       13,904
SUPERMEDIA INC         COM      868447103     222,519      35,603 SH       SOLE         1       35,603
SUPERTEX INC           EQUITY   868532102     204,942       9,265 SH       SOLE         2        9,265
SUPERVALU INC          EQUITY   868536103     836,790      72,575 SH       SOLE         2       72,575





                                                                                 
SUPERVALU, INC.        COM      868536103   1,244,378     117,505 SH       SOLE         1      117,505
SUPPORT.COM INC        EQUITY   86858W101     165,077      36,043 SH       SOLE         2       36,043
SURMODICS INC          COM      868873100     128,754      10,417 SH       SOLE         1       10,417
SURMODICS INC          EQUITY   868873100     187,096      15,696 SH       SOLE         2       15,696
SUSQUEHANNA
   BANCSHARES INC      EQUITY   869099101     986,712     116,909 SH       SOLE         2      116,909
SUSQUEHANNA
   BANCSHARES, INC.    COM      869099101     650,422      77,616 SH       SOLE         1       77,616
SVB FINANCIAL GROUP    EQUITY   78486Q101   5,206,926     123,037 SH       SOLE         2      123,037
SWEDISH EXPT CR CORP   COM      870297603   210380.54       24071 SH       DEFINED      4                               24071
SWIFT ENERGY CO        EQUITY   870738101     957,865      34,112 SH       SOLE         2       34,112
SWIFT ENERGY CO.       COM      870738101     817,825      22,667 SH       SOLE         1       22,667
SWS GROUP INC          COM      78503N107     116,359      17,524 SH       SOLE         1       17,524
SWS GROUP INC          EQUITY   78503N107     185,438      25,863 SH       SOLE         2       25,863
SYCAMORE NETWORKS INC  EQUITY   871206405   3,623,730     111,809 SH       SOLE         2      111,809
SYKES ENTERPRISES INC  EQUITY   871237103     505,353      37,213 SH       SOLE         2       37,213
SYKES ENTERPRISES,
   INC.                COM      871237103     457,740      24,676 SH       SOLE         1       24,676
SYMANTEC CORP          EQUITY   871503108   5,497,547     362,396 SH       SOLE         2      362,396
SYMANTEC CORP.         COM      871503108   2,090,448     119,046 SH       SOLE         1      119,046
SYMMETRICOM INC        EQUITY   871543104     226,335      39,569 SH       SOLE         2       39,569
SYMMETRICOM, INC.      COM      871543104     167,481      26,251 SH       SOLE         1       26,251
SYMMETRY MEDICAL INC   COM      871546206     184,332      21,509 SH       SOLE         1       21,509
SYMMETRY MEDICAL INC   EQUITY   871546206     312,635      32,431 SH       SOLE         2       32,431
SYNAPTICS INC          COM      87157D109     600,571      20,624 SH       SOLE         1       20,624
SYNAPTICS INC          EQUITY   87157D109     861,591      30,618 SH       SOLE         2       30,618
SYNCHRONOSS
   TECHNOLOGIES I      EQUITY   87157B103     279,742      15,707 SH       SOLE         2       15,707
SYNERON MEDICAL LTD    EQUITY   M87245102     272,651      27,485 SH       SOLE         2       27,485
SYNIVERSE HOLDINGS
   INC                 COM      87163F106     820,800      27,000 SH       SOLE         1       27,000
SYNIVERSE HOLDINGS
   INC                 EQUITY   87163F106  12,730,270     561,547 SH       SOLE         2      561,547
SYNNEX CORP            COM      87162W100     423,206      14,060 SH       SOLE         1       14,060
SYNNEX CORP            EQUITY   87162W100     573,409      20,377 SH       SOLE         2       20,377
SYNOPSYS INC           EQUITY   871607107   8,049,086     324,953 SH       SOLE         2      324,953
SYNOVUS FINANCIAL
   CORP                EQUITY   87161C105   4,223,360   1,716,813 SH       SOLE         2    1,716,813
SYNTA PHARMACEUTICALS  COM      87162T206   4,261,010   1,207,085 SH       SOLE         1    1,207,085
SYNTA
   PHARMACEUTICALS
   CORP                EQUITY   87162T206      68,744      17,229 SH       SOLE         2       17,229
SYNTEL INC             EQUITY   87162H103     452,476      10,168 SH       SOLE         2       10,168
SYNTROLEUM CORP        EQUITY   871630109     100,084      53,521 SH       SOLE         2       53,521
SYNUTRA
   INTERNATIONAL INC   EQUITY   87164C102     170,212      14,737 SH       SOLE         2       14,737
SYSCO CORP             COM      871829107      496959  17424.9336 SH       DEFINED      3                          17424.9336
SYSCO CORP             EQUITY   871829107  21,022,035     737,098 SH       SOLE         2      737,098
SYSCO CORP.            COM      871829107   7,675,213     262,580 SH       SOLE         1      262,580
T 3 ENERGY SERVICES
   INC                 EQUITY   8.73E+111     263,958      10,094 SH       SOLE         2       10,094
T ROWE PRICE GROUP
   INC                 EQUITY   74144T108   4,640,875      92,697 SH       SOLE         2       92,697
TAKE TWO INTERACTIVE





                                                                                 
   SOFTW               EQUITY   874054109     663,014      65,386 SH       SOLE         2       65,386
TAKE-TWO INTERACTIVE
   SOFTWARE            COM      874054109     576,131      50,850 SH       SOLE         1       50,850
TAL INTERNATIONAL
   GROUP IN            EQUITY   874083108     313,068      12,926 SH       SOLE         2       12,926
TALBOTS INC            EQUITY   874161102     710,334      54,224 SH       SOLE         2       54,224
TALEO CORP CLASS A     EQUITY   87424N104   6,850,917     236,320 SH       SOLE         2      236,320
TALEO CORP-CLASS A     COM      87424N104     767,645      23,944 SH       SOLE         1       23,944
TALISMAN ENERGY INC.   COM      8.74E+107     734,243      37,132 SH       SOLE         1       37,132
TANGER FACTORY
   OUTLET CENT         EQUITY   875465106   1,720,139      36,490 SH       SOLE         2       36,490
TANGER FACTORY
   OUTLET CTRS         COM      875465106   1,252,496      24,797 SH       SOLE         1       24,797
TARGACEPT INC          EQUITY   87611R306     411,369      18,414 SH       SOLE         2       18,414
TARGET CORP            COM      8.76E+110     280,774        5254 SH       DEFINED      4                                5254
TARGET CORP            EQUITY   8.76E+110  28,817,039     539,241 SH       SOLE         2      539,241
TARGET CORPORATION     COM      8.76E+110   3,206,105      58,399 SH       SOLE         1       58,399
TASEKO MINES LTD       COM      876511106     456,595     100,077 SH       SOLE         1      100,077
TASER INTERNATIONAL
   INC                 EQUITY   87651B104     187,517      48,329 SH       SOLE         2       48,329
TASER INTL INC         COM      87651B104     317,384       81800 SH       DEFINED      4                               81800
TC PIPELINES LP        COM      87233Q108     307,332        6610 SH       DEFINED      4                                6610
TCF FINANCIAL CORP     EQUITY   872275102   4,492,531     277,488 SH       SOLE         2      277,488
TCW STRATEGIC INCOME
   FUND IN             COM      872340104     160,929       30364 SH       DEFINED      4                               30364
TEAM HEALTH HOLDINGS
   INC                 EQUITY   87817A107     152,816      11,837 SH       SOLE         2       11,837
TEAM INC               EQUITY   878155100     252,023      14,644 SH       SOLE         2       14,644
TECH DATA CORP         EQUITY   878237106   4,110,278     101,992 SH       SOLE         2      101,992
TECHNE CORP            EQUITY   878377100   4,990,315      80,841 SH       SOLE         2       80,841
TECHNITROL INC         EQUITY   878555101     164,101      37,211 SH       SOLE         2       37,211
TECHNITROL, INC.       COM      878555101     127,828      24,821 SH       SOLE         1       24,821
TECHTARGET             EQUITY   87874R100      61,299      11,676 SH       SOLE         2       11,676
TECK RESOURCES LTD
   CLS B               COM      878742204   4,243,944      84,647 SH       SOLE         1       84,647
TECO ENERGY INC        EQUITY   872375100   3,554,636     205,233 SH       SOLE         2      205,233
TECUMSEH PRODUCTS CO
   CLASS               EQUITY   878895200     163,711      14,273 SH       SOLE         2       14,273
TEEKAY TANKERS LTD
   CLASS A             EQUITY   Y8565N102     271,623      20,878 SH       SOLE         2       20,878
TEJON RANCH CO         EQUITY   879080109     219,214      10,116 SH       SOLE         2       10,116
TEKELEC                COM      879101103     546,050      40,964 SH       SOLE         1       40,964
TEKELEC                EQUITY   879101103     798,517      61,614 SH       SOLE         2       61,614
TELECOMMUNICATION
   SYSTEMS             EQUITY   87929J103     136,959      35,028 SH       SOLE         2       35,028
TELEDYNE
   TECHNOLOGIES INC    EQUITY   879360105   1,300,641      32,663 SH       SOLE         2       32,663
TELEDYNE TECHOLOGIES
   INC                 COM      879360105     920,170      21,697 SH       SOLE         1       21,697
TELEFLEX INC           EQUITY   879369106   4,955,872      87,282 SH       SOLE         2       87,282
TELEPHONE AND DATA
   SYSTEMS             EQUITY   879433100   6,628,290     202,082 SH       SOLE         2      202,082
TELETECH HOLDINGS      COM      879939106     306,653      17,644 SH       SOLE         1       17,644
TELETECH HOLDINGS INC  EQUITY   879939106     402,550      27,126 SH       SOLE         2       27,126





                                                                                 
TELLABS INC            EQUITY   879664100   1,174,709     157,679 SH       SOLE         2      157,679
TELLABS, INC.          COM      879664100   2,115,092     311,043 SH       SOLE         1      311,043
TEMPLE INLAND INC      EQUITY   879868107   4,395,512     235,558 SH       SOLE         2      235,558
TEMPLETON EMERG MKTS
   INCOME              COM      880192109     505,155       29750 SH       DEFINED      4                               29750
TEMPLETON GLOBAL
   INCOME FD           COM      880198106     2063680      191436 SH       DEFINED      3                              191436
TEMPLETON GLOBAL
   INCOME FD           COM      880198106   2,063,680      191436 SH       DEFINED      3                              191436
TEMPUR-PEDIC
   INTERNATIONAL INC   COM      88023U101   1,281,282      35,800 SH       SOLE         1       35,800
TENET HEALTHCARE CORP  EQUITY   88033G100     772,433     163,651 SH       SOLE         2      163,651
TENET HEALTHCARE
   CORP.               COM      88033G100   2,091,271     450,705 SH       SOLE         1      450,705
TENNANT CO             EQUITY   880345103     450,522      14,580 SH       SOLE         2       14,580
TENNECO INC            EQUITY   880349105   1,336,473      46,133 SH       SOLE         2       46,133
TERADATA CORP          EQUITY   88076W103   2,151,918      55,807 SH       SOLE         2       55,807
TERADYNE INC           EQUITY   880770102     673,614      60,468 SH       SOLE         2       60,468
TERADYNE, INC.         COM      880770102     265,015      21,884 SH       SOLE         1       21,884
TEREX CORP             EQUITY   880779103  14,192,041     619,199 SH       SOLE         2      619,199
TEREX CORP NEW         COM      880779103      413683       18049 SH       DEFINED      3                               18049
TEREX CORP NEW         COM      880779103     487,761       21281 SH       DEFINED      4                               21281
TERREMARK WORLDWIDE
   INC                 EQUITY   881448203     465,145      44,985 SH       SOLE         2       44,985
TESCO CORP             EQUITY   88157K101     280,479      23,315 SH       SOLE         2       23,315
TESORO CORP            COM      881609101      310486       23240 SH       DEFINED      3                               23240
TESORO CORP            EQUITY   881609101     884,432      66,200 SH       SOLE         2       66,200
TESSERA TECHNOLOGIES
   INC                 COM      88164L100     639,419      30,062 SH       SOLE         1       30,062
TESSERA TECHNOLOGIES
   INC                 EQUITY   88164L100     837,588      45,275 SH       SOLE         2       45,275
TETRA TECH INC         EQUITY   88162G103   1,166,960      55,649 SH       SOLE         2       55,649
TETRA TECH, INC.       COM      88162G103     798,077      36,948 SH       SOLE         1       36,948
TETRA TECHNOLOGIES
   INC                 EQUITY   88162F105     696,548      68,289 SH       SOLE         2       68,289
TETRA TECHNOLOGIES,
   INC.                COM      88162F105     478,731      45,550 SH       SOLE         1       45,550
TEVA PHARMACEUTICAL
   INDS LTD            COM      881624209      532828       10101 SH       DEFINED      3                               10101
TEVA PHARMACEUTICAL
   INDS LTD            COM      881624209     644,420  12216.4935 SH       DEFINED      4                          12216.4935
TEVA PHARMACEUTICAL
   SP ADR              EQUITY   881624209   8,163,590     154,760 SH       SOLE         2      154,760
TEXAS CAPITAL
   BANCSHARES I        EQUITY   88224Q107     487,290      28,216 SH       SOLE         2       28,216
TEXAS INDUSTRIES INC   EQUITY   882491103     619,715      19,661 SH       SOLE         2       19,661
TEXAS INDUSTRIES,
   INC.                COM      882491103     656,671      16,633 SH       SOLE         1       16,633
TEXAS INSTRS INC       COM      882508104      360908       13298 SH       DEFINED      3                               13298
TEXAS INSTRS INC       COM      882508104     462,601       17045 SH       DEFINED      4                               17045
TEXAS INSTRUMENTS INC  EQUITY   882508104  10,283,699     378,913 SH       SOLE         2      378,913
TEXAS INSTRUMENTS,
   INC.                COM      882508104   2,657,447      84,686 SH       SOLE         1       84,686
TEXAS ROADHOUSE INC    COM      882681109     331,580       23600 SH       DEFINED      4                               23600





                                                                                 
TEXAS ROADHOUSE INC    EQUITY   882681109   5,318,406     378,265 SH       SOLE         2      378,265
TEXAS ROADHOUSE
   INC-CLASS A         COM      882681109     559,243      34,714 SH       SOLE         1       34,714
TEXTRON INC            EQUITY   883203101   1,905,398      92,675 SH       SOLE         2       92,675
THE HERSHEY COMPANY    COM      427866108   7,061,397     145,716 SH       SOLE         1      145,716
THERAVANCE INC         EQUITY   88338T104     969,946      48,256 SH       SOLE         2       48,256
THERMO FISHER CORP     COM      883556102   8,571,270     164,959 SH       SOLE         1      164,959
THERMO FISHER
   SCIENTIFIC I        EQUITY   883556102  25,893,121     540,792 SH       SOLE         2      540,792
THOMAS + BETTS CORP    EQUITY   884315102   4,687,027     114,262 SH       SOLE         2      114,262
THOMAS PROPERTIES
   GROUP               EQUITY   884453101      97,093      27,197 SH       SOLE         2       27,197
THOMPSON CREEK
   METALS CO I         EQUITY   884768102   1,163,863     107,965 SH       SOLE         2      107,965
THOR INDUSTRIES INC    EQUITY   885160101   2,844,578      85,167 SH       SOLE         2       85,167
THORATEC CORP          EQUITY   885175307   4,714,432     127,486 SH       SOLE         2      127,486
THQ INC                COM      872443403     167,860      40,546 SH       SOLE         1       40,546
THQ INC                EQUITY   872443403     245,007      60,947 SH       SOLE         2       60,947
TIBCO SOFTWARE INC     EQUITY   88632Q103   8,568,668     483,014 SH       SOLE         2      483,014
TICC CAPITAL CORP      EQUITY   87244T109     214,825      20,756 SH       SOLE         2       20,756
TIDEWATER INC          EQUITY   886423102   5,037,495     112,419 SH       SOLE         2      112,419
TIER TECHNOLOGIES INC  EQUITY   88650Q100      59,095      10,667 SH       SOLE         2       10,667
TIFFANY + CO           EQUITY   886547108   1,980,159      42,140 SH       SOLE         2       42,140
TIM HORTONS INC - CAD  COM      88706M103   2,973,421      76,594 SH       SOLE         1       76,594
TIMBERLAND CO CLASS A  EQUITY   887100105   2,358,499     119,056 SH       SOLE         2      119,056
TIME WARNER CABLE      EQUITY   88732J207   9,275,374     171,798 SH       SOLE         2      171,798
TIME WARNER CABLE INC  COM      88732J207     229,997        4260 SH       DEFINED      4                                4260
TIME WARNER CABLE INC  COM      88732J207   7,187,748     115,838 SH       SOLE         1      115,838
TIME WARNER INC        EQUITY   887317303  21,371,479     697,275 SH       SOLE         2      697,275
TIMKEN CO              EQUITY   887389104   6,725,390     175,323 SH       SOLE         2      175,323
TITAN INTERNATIONAL
   INC                 EQUITY   88830M102   6,146,504     452,948 SH       SOLE         2      452,948
TITAN MACHINERY INC    EQUITY   88830R101     163,880      10,054 SH       SOLE         2       10,054
TITANIUM METALS CORP   EQUITY   888339207   1,183,249      59,281 SH       SOLE         2       59,281
TIVO INC               COM      888706108     537,404      47,600 SH       SOLE         1       47,600
TIVO INC               EQUITY   888706108     807,980      89,181 SH       SOLE         2       89,181
TJX COMPANIES INC      EQUITY   872540109   5,661,539     126,855 SH       SOLE         2      126,855
TJX COMPANIES, INC.    COM      872540109   6,836,307     148,454 SH       SOLE         1      148,454
TNS INC                EQUITY   872960109     341,204      20,130 SH       SOLE         2       20,130
TOLL BROTHERS INC      EQUITY   889478103   6,004,405     315,689 SH       SOLE         2      315,689
TOMOTHERAPY INC        EQUITY   890088107     131,345      37,314 SH       SOLE         2       37,314
TOMPKINS FINANCIAL
   CORP                COM      890110109     200,685       4,926 SH       SOLE         1        4,926
TOMPKINS FINANCIAL
   CORP                EQUITY   890110109     284,997       7,186 SH       SOLE         2        7,186
TOOTSIE ROLL INDS      EQUITY   890516107   1,780,463      71,562 SH       SOLE         2       71,562
TORCHMARK CORP         EQUITY   891027104   1,469,534      27,654 SH       SOLE         2       27,654
TORCHMARK CORP.        COM      891027104     703,024      11,944 SH       SOLE         1       11,944
TORO CO                EQUITY   891092108     260,345       4,630 SH       SOLE         2        4,630
TORO CO.               COM      891092108   1,100,553      18,736 SH       SOLE         1       18,736
TORONTO DOMINION BK    COM      891160509   7,745,075     104,375 SH       SOLE         1      104,375
TOTAL SYSTEM
   SERVICES INC        EQUITY   891906109     869,107      57,028 SH       SOLE         2       57,028
TOWER GROUP INC        COM      891777104     661,201      25,808 SH       SOLE         1       25,808





                                                                                 
TOWER GROUP INC        EQUITY   891777104     859,397      36,805 SH       SOLE         2       36,805
TOWERS WATSON + CO
   CL A                EQUITY   891894107   4,866,607      98,955 SH       SOLE         2       98,955
TOWNE BANK             EQUITY   89214P109     271,479      18,147 SH       SOLE         2       18,147
TPC GROUP INC          COM      89236Y104   1,367,376      48,800 SH       SOLE         1       48,800
TRACTOR SUPPLY
   COMPANY             EQUITY   892356106   6,280,240     158,352 SH       SOLE         2      158,352
TRADESTATION GROUP
   INC                 COM      89267P105     149,729      24,228 SH       SOLE         1       24,228
TRADESTATION GROUP
   INC                 EQUITY   89267P105     242,144      36,800 SH       SOLE         2       36,800
TRANSATLANTIC
   HOLDINGS INC        EQUITY   893521104   7,084,562     139,405 SH       SOLE         2      139,405
TRANSATLANTIC
   PETROLEUM LT        EQUITY   G89982105     336,602     113,717 SH       SOLE         2      113,717
TRANSATLANTIC
   PETROLEUM LTD       COM      G89982105      89,096       30100 SH       DEFINED      3                               30100
TRANSCANADA CORP       COM      89353D107   1,854,930      49,868 SH       SOLE         1       49,868
TRAVELERS COS INC/THE  COM      8.94E+113   8,366,598     147,872 SH       SOLE         1      147,872
TRAVELERS COS INC/THE  EQUITY   8.94E+113  13,793,006     264,741 SH       SOLE         2      264,741
TREDEGAR CORP          EQUITY   894650100     415,947      21,915 SH       SOLE         2       21,915
TREDEGAR CORP.         COM      894650100     266,776      13,716 SH       SOLE         1       13,716
TREEHOUSE FOODS INC    COM      89469A104   1,055,038      21,177 SH       SOLE         1       21,177
TREEHOUSE FOODS INC    EQUITY   89469A104   1,448,831      31,428 SH       SOLE         2       31,428
TREX COMPANY INC       EQUITY   89531P105     227,639      11,937 SH       SOLE         2       11,937
TRICO BANCSHARES       EQUITY   896095106     165,673      10,779 SH       SOLE         2       10,779
TRIDENT MICROSYSTEMS
   INC                 EQUITY   895919108      93,744      54,821 SH       SOLE         2       54,821
TRIMAS CORP            COM      896215209     980,900      57,700 SH       SOLE         1       57,700
TRIMAS CORP            EQUITY   896215209     172,008      11,583 SH       SOLE         2       11,583
TRIMBLE NAVIGATION
   LTD                 EQUITY   896239100   9,106,405     259,886 SH       SOLE         2      259,886
TRINITY INDUSTRIES
   INC                 EQUITY   896522109   3,884,623     174,433 SH       SOLE         2      174,433
TRIPLE S MANAGEMENT
   CORP B              EQUITY   896749108     264,023      15,669 SH       SOLE         2       15,669
TRIQUINT
   SEMICONDUCTOR INC   EQUITY   89674K103   1,344,000     140,000 SH       SOLE         2      140,000
TRIQUINT
   SEMICONDUCTOR,
   INC.                COM      89674K103     990,797      93,120 SH       SOLE         1       93,120
TRIUMPH GROUP INC      EQUITY   896818101   1,119,969      15,015 SH       SOLE         2       15,015
TRIUMPH GROUP, INC.    COM      896818101     871,391       9,844 SH       SOLE         1        9,844
TRUE RELIGION
   APPAREL INC         COM      89784N104     294,971      15,244 SH       SOLE         1       15,244
TRUE RELIGION
   APPAREL INC         EQUITY   89784N104     489,177      22,923 SH       SOLE         2       22,923
TRUEBLUE INC           COM      89785X101     438,317      26,357 SH       SOLE         1       26,357
TRUEBLUE INC           EQUITY   89785X101     542,533      39,746 SH       SOLE         2       39,746
TRUSTCO BANK CORP NY   EQUITY   898349105     385,453      69,326 SH       SOLE         2       69,326
TRUSTCO BANK CORP. NY  COM      898349105     263,555      46,076 SH       SOLE         1       46,076
TRUSTMARK CORP         EQUITY   898402102   3,746,411     172,328 SH       SOLE         2      172,328
TRW AUTOMOTIVE HLDGS
   CORP                COM      87264S106     353,260        8500 SH       DEFINED      4                                8500





                                                                                 
TTM TECHNOLOGIES       EQUITY   87305R109     659,846      67,400 SH       SOLE         2       67,400
TTM TECHONOLOGIES      COM      87305R109     353,902      25,870 SH       SOLE         1       25,870
TUESDAY MORNING CORP   EQUITY   899035505     131,242      27,514 SH       SOLE         2       27,514
TUESDAY MORNING
   CORPORATION         COM      899035505     117,955      21,884 SH       SOLE         1       21,884
TUPPERWARE BRANDS
   CORP                COM      899896104   1,050,413      22,100 SH       SOLE         1       22,100
TUPPERWARE BRANDS
   CORP                EQUITY   899896104   6,295,981     137,587 SH       SOLE         2      137,587
TUTOR PERINI CORP      EQUITY   901109108     413,995      20,607 SH       SOLE         2       20,607
TW TELECOM INC         EQUITY   87311L104   6,139,465     330,612 SH       SOLE         2      330,612
TWO HARBORS
   INVESTMENT COR      EQUITY   90187B101     181,600      20,133 SH       SOLE         2       20,133
TYCO ELECTRONICS LTD   COM      B62B7C3     2,017,054      59,800 SH       SOLE         1       59,800
TYCO INTERNATIONAL
   LTD                 COM      B64GC98     4,381,650     112,034 SH       SOLE         1      112,034
TYCO INTERNATIONAL
   LTD                 EQUITY   H89128104   5,799,373     157,892 SH       SOLE         2      157,892
TYLER TECHNOLOGIES
   INC                 COM      902252105     335,735      16,180 SH       SOLE         1       16,180
TYLER TECHNOLOGIES
   INC                 EQUITY   902252105     552,384      27,400 SH       SOLE         2       27,400
TYSON FOODS INC CL A   EQUITY   902494103   1,651,374     103,082 SH       SOLE         2      103,082
TYSON FOODS, INC.
   CLASS A             COM      902494103   1,905,188     122,599 SH       SOLE         1      122,599
U S ENERGY CORP
   WYOMING             EQUITY   911805109      93,751      20,650 SH       SOLE         2       20,650
U S GOLD CORP          EQUITY   912023207   7,299,489   1,468,710 SH       SOLE         2    1,468,710
U STORE IT TRUST       EQUITY   91274F104     602,653      72,174 SH       SOLE         2       72,174
U.S. BANCORP, INC.     COM      902973304     967,605      37,650 SH       SOLE         1       37,650
UDR INC                EQUITY   902653104   8,277,709     391,937 SH       SOLE         2      391,937
UGI CORP               EQUITY   902681105   6,879,418     240,455 SH       SOLE         2      240,455
UIL HOLDINGS CORP      EQUITY   902748102     825,595      29,318 SH       SOLE         2       29,318
UIL HOLDINGS CORP.     COM      902748102     866,818      28,589 SH       SOLE         1       28,589
ULTA SALON COSMETCS
   & FRAG I            COM      90384S303     288,116        9867 SH       DEFINED      4                                9867
ULTA SALON COSMETICS
   & FRAGRANCE INC     COM      90384S303     429,390      13,000 SH       SOLE         1       13,000
ULTA SALON COSMETICS
   + FRA               EQUITY   90384S303     708,042      24,248 SH       SOLE         2       24,248
ULTIMATE SOFTWARE
   GROUP IN            EQUITY   90385D107     743,820      19,250 SH       SOLE         2       19,250
ULTRA CLEAN HOLDINGS   EQUITY   90385V107     144,057      16,712 SH       SOLE         2       16,712
ULTRAPETROL
   (BAHAMAS) LTD       EQUITY   P94398107     109,718      17,090 SH       SOLE         2       17,090
ULTRATECH , INC.       COM      904034105     271,667      14,435 SH       SOLE         1       14,435
ULTRATECH INC          EQUITY   904034105     369,668      21,618 SH       SOLE         2       21,618
UMB FINANCIAL CORP     EQUITY   902788108   1,007,845      28,382 SH       SOLE         2       28,382
UMB FINANCIAL CORP.    COM      902788108     694,478      17,922 SH       SOLE         1       17,922
UMPQUA HOLDINGS CORP   COM      904214103     798,386      68,531 SH       SOLE         1       68,531
UMPQUA HOLDINGS CORP   EQUITY   904214103   1,170,878     103,252 SH       SOLE         2      103,252
UNDER ARMOUR INC
   CLASS A             EQUITY   904311107   4,646,822     103,171 SH       SOLE         2      103,171
UNICA CORP             EQUITY   904583101     271,271      12,930 SH       SOLE         2       12,930





                                                                                 
UNIFI INC              EQUITY   904677101     142,940      31,694 SH       SOLE         2       31,694
UNIFIRST CORP.         COM      904708104     436,316       8,779 SH       SOLE         1        8,779
UNIFIRST CORP/MA       EQUITY   904708104     564,634      12,789 SH       SOLE         2       12,789
UNILIFE CORP           EQUITY   9.05E+107     225,293      37,362 SH       SOLE         2       37,362
UNION DRILLING INC     EQUITY   90653P105      51,251      11,440 SH       SOLE         2       11,440
UNION FIRST MARKET
   BANKSHA             EQUITY   90662P104     179,915      13,776 SH       SOLE         2       13,776
UNION PACIFIC CORP     COM      907818108     528,149       5,742 SH       SOLE         1        5,742
UNION PACIFIC CORP     EQUITY   907818108  44,140,671     539,617 SH       SOLE         2      539,617
UNISOURCE ENERGY
   CORP CO             EQUITY   909205106   1,089,417      32,588 SH       SOLE         2       32,588
UNISOURCE ENERGY
   CORP.               COM      909205106     785,357      21,743 SH       SOLE         1       21,743
UNISYS CORP            EQUITY   909214306     917,436      32,883 SH       SOLE         2       32,883
UNIT CORP              EQUITY   909218109   3,237,928      86,831 SH       SOLE         2       86,831
UNITED BANKSHARES INC  EQUITY   909907107     869,681      34,941 SH       SOLE         2       34,941
UNITED BANKSHARES
   INC. WV             COM      909907107   1,027,811      35,950 SH       SOLE         1       35,950
UNITED CMNTY BKS
   BLAIR               COM      90984P105     101,033      56,443 SH       SOLE         1       56,443
UNITED COMMUNITY
   BANKS/GA            EQUITY   90984P105     190,319      84,964 SH       SOLE         2       84,964
UNITED FINANCIAL
   BANCORP I           EQUITY   91030T109     174,482      12,915 SH       SOLE         2       12,915
UNITED FIRE &
   CASUALTY CO.        COM      910331107     267,280      12,758 SH       SOLE         1       12,758
UNITED FIRE +
   CASUALTY CO         EQUITY   910331107     432,323      20,383 SH       SOLE         2       20,383
UNITED NATURAL FOODS
   INC                 EQUITY   911163103   1,291,101      38,959 SH       SOLE         2       38,959
UNITED NATURAL
   FOODS, INC.         COM      911163103   1,032,188      28,225 SH       SOLE         1       28,225
UNITED ONLINE INC      COM      911268100     373,172      52,265 SH       SOLE         1       52,265
UNITED ONLINE INC      EQUITY   911268100     449,529      78,589 SH       SOLE         2       78,589
UNITED PARCEL
   SERVICE CL B        EQUITY   911312106  20,959,733     314,286 SH       SOLE         2      314,286
UNITED PARCEL
   SERVICE CLASS -B    COM      911312106  14,389,933     207,109 SH       SOLE         1      207,109
UNITED PARCEL
   SERVICE INC         COM      911312106   2,851,998       42765 SH       DEFINED      4                               42765
UNITED RENTALS INC     EQUITY   911363109   5,405,381     364,244 SH       SOLE         2      364,244
UNITED STATES NATL
   GAS FUND            COM      912318102     288,884       46836 SH       DEFINED      3                               46836
UNITED STATES NATL
   GAS FUND            COM      912318102     594,743       96424 SH       DEFINED      4                               96424
UNITED STATES STEEL
   CORP                COM      912909108   3,417,133      71,638 SH       SOLE         1       71,638
UNITED STATES STEEL
   CORP                EQUITY   912909108   2,140,225      48,819 SH       SOLE         2       48,819
UNITED STATES STL
   CORP NEW            COM      912909108     297,731    6791.315 SH       DEFINED      4                            6791.315
UNITED STATIONERS INC  EQUITY   913004107   1,161,756      21,711 SH       SOLE         2       21,711
UNITED STATIONERS,
   INC.                COM      913004107     839,939      13,985 SH       SOLE         1       13,985





                                                                                 
UNITED TECHNOLOGIES
   CORP                COM      913017109     260,950   3663.4858 SH       DEFINED      3                           3663.4858
UNITED TECHNOLOGIES
   CORP                COM      913017109     601,605   8445.9461 SH       DEFINED      4                           8445.9461
UNITED TECHNOLOGIES
   CORP                EQUITY   913017109  54,385,245     763,516 SH       SOLE         2      763,516
UNITED TECHNOLOGIES
   CORP.               COM      913017109  11,670,826     152,301 SH       SOLE         1      152,301
UNITED THERAPEUTICS
   CORP                EQUITY   91307C102   6,068,796     108,352 SH       SOLE         2      108,352
UNITEDHEALTH GROUP
   INC                 COM      91324P102   9,113,034     245,502 SH       SOLE         1      245,502
UNITEDHEALTH GROUP
   INC                 EQUITY   91324P102  20,947,925     596,637 SH       SOLE         2      596,637
UNITRIN INC            EQUITY   913275103   2,675,022     109,677 SH       SOLE         2      109,677
UNIVERSAL AMERICAN
   CORP                EQUITY   913377107     364,428      24,707 SH       SOLE         2       24,707
UNIVERSAL CORP/VA      EQUITY   913456109   2,844,907      70,963 SH       SOLE         2       70,963
UNIVERSAL DISPLAY
   CORP                EQUITY   91347P105     546,587      23,259 SH       SOLE         2       23,259
UNIVERSAL
   ELECTRONICS INC     EQUITY   913483103     256,101      12,283 SH       SOLE         2       12,283
UNIVERSAL
   ELECTRONICS INC.    COM      913483103     217,286       8,056 SH       SOLE         1        8,056
UNIVERSAL FOREST
   PRODUCTS            EQUITY   913543104     510,413      17,450 SH       SOLE         2       17,450
UNIVERSAL FOREST
   PRODUCTS, INC       COM      913543104     381,711      11,567 SH       SOLE         1       11,567
UNIVERSAL HEALTH
   REALTY INCOME
   TRUST               COM      9.14E+109     269,447       7,037 SH       SOLE         1        7,037
UNIVERSAL HEALTH
   RLTY INCO           EQUITY   9.14E+109     355,042      10,318 SH       SOLE         2       10,318
UNIVERSAL HEALTH
   SERVICES            EQUITY   913903100   8,252,737     212,371 SH       SOLE         2      212,371
UNIVERSAL INSURANCE
   HOLDIN              EQUITY   91359V107      59,762      13,310 SH       SOLE         2       13,310
UNIVERSAL TECHNICAL
   INSTIT              EQUITY   913915104     370,609      18,957 SH       SOLE         2       18,957
UNIVERSAL TECHNICAL
   INSTITUT            COM      913915104     240,699      12,465 SH       SOLE         1       12,465
UNIVEST CORP OF
   PENNSYLVAN          EQUITY   915271100     223,715      12,813 SH       SOLE         2       12,813
UNUM GROUP             COM      91529Y106   3,521,377     157,556 SH       SOLE         1      157,556
UNUM GROUP             EQUITY   91529Y106   2,472,870     111,642 SH       SOLE         2      111,642
UQM TECHNOLOGIES INC   EQUITY   903213106      71,270      27,840 SH       SOLE         2       27,840
URANERZ ENERGY CORP    EQUITY   91688T104   3,396,098   2,122,561 SH       SOLE         2    2,122,561
URANIUM ENERGY CORP    EQUITY   916896103     153,452      46,784 SH       SOLE         2       46,784
URBAN OUTFITTERS INC   EQUITY   917047102   1,665,188      52,964 SH       SOLE         2       52,964
URS CORP               EQUITY   903236107   6,959,493     183,241 SH       SOLE         2      183,241
URSTADT BIDDLE
   CLASS A             EQUITY   917286205     340,049      18,808 SH       SOLE         2       18,808
URSTADT BIDDLE [A]     COM      917286205     274,763      13,835 SH       SOLE         1       13,835
US AIRWAYS GROUP INC   EQUITY   90341W108   1,152,171     124,559 SH       SOLE         2      124,559





                                                                                 
US AUTO PARTS
   NETWORK INC         EQUITY   90343C100      82,992      10,121 SH       SOLE         2       10,121
US BANCORP             EQUITY   902973304  20,275,452     937,810 SH       SOLE         2      937,810
US ECOLOGY INC         EQUITY   91732J102     226,208      14,138 SH       SOLE         2       14,138
USA MOBILITY INC       COM      90341G103     229,996      13,203 SH       SOLE         1       13,203
USA MOBILITY INC       EQUITY   90341G103     319,863      19,954 SH       SOLE         2       19,954
USEC INC               COM      9.03E+112     165,767       31940 SH       DEFINED      4                               31940
USEC INC               EQUITY   9.03E+112     457,099      88,073 SH       SOLE         2       88,073
UTSTARCOM INC          EQUITY   918076100     195,942      90,296 SH       SOLE         2       90,296
V. F. CORP.            COM      918204108   1,070,401      12,693 SH       SOLE         1       12,693
VAALCO ENERGY INC      EQUITY   91851C201     224,130      39,047 SH       SOLE         2       39,047
VAIL RESORTS INC       EQUITY   91879Q109   1,050,372      27,995 SH       SOLE         2       27,995
VALASSIS
   COMMUNICATIONS IN   EQUITY   918866104   1,304,189      38,483 SH       SOLE         2       38,483
VALE SA                COM      9.19E+109     257,032       7,600 SH       SOLE         1        7,600
VALEANT
   PHARMACEUTICALS
   INTERNATIONAL INC   COM      91911K102   1,736,609      67,622 SH       SOLE         1       67,622
VALERO ENERGY CORP     EQUITY   91913Y100   3,382,757     193,190 SH       SOLE         2      193,190
VALLEY NATIONAL
   BANCORP             EQUITY   919794107   4,544,967     352,323 SH       SOLE         2      352,323
VALMONT INDUSTRIES     EQUITY   920253101   3,372,537      46,582 SH       SOLE         2       46,582
VALSPAR CORP           EQUITY   920355104   6,859,598     215,372 SH       SOLE         2      215,372
VALUECLICK INC         EQUITY   92046N102   3,136,702     239,809 SH       SOLE         2      239,809
VANDA
   PHARMACEUTICALS
   INC                 EQUITY   921659108     143,834      21,532 SH       SOLE         2       21,532
VANGUARD BD INDEX FD
   INC                 COM      921937827     746,623        9133 SH       DEFINED      3                                9133
VANGUARD BD INDEX FD
   INC                 COM      921937835   4,576,563  55366.1192 SH       DEFINED      3                          55366.1192
VANGUARD BD INDEX FD
   INC                 COM      921937827   1,177,379  14402.1922 SH       DEFINED      4                          14402.1922
VANGUARD BD INDEX FD
   INC                 COM      921937835     489,430        5921 SH       DEFINED      4                                5921
VANGUARD EMERGING
   MARKETS ETF         COM      922042858 145,309,059   2,965,491 SH       SOLE         1    2,965,491
VANGUARD INDEX FDS     COM      922908553     376,174        7223 SH       DEFINED      3                                7223
VANGUARD INDEX FDS     COM      922908637     361,175        6935 SH       DEFINED      3                                6935
VANGUARD INDEX FDS     COM      922908751   2,483,105       39141 SH       DEFINED      3                               39141
VANGUARD INDEX FDS     COM      922908553     479,315   9203.4454 SH       DEFINED      4                           9203.4454
VANGUARD INDEX FDS     COM      922908736     398,403        7247 SH       DEFINED      4                                7247
VANGUARD INDEX FDS     COM      922908751     301,251   4748.6017 SH       DEFINED      4                           4748.6017
VANGUARD INDEX FDS     COM      922908769     321,019   5499.7343 SH       DEFINED      4                           5499.7343
VANGUARD INTL EQUITY
   INDEX F             COM      922042775     421,494        9284 SH       DEFINED      3                                9284
VANGUARD INTL EQUITY
   INDEX F             COM      922042858     634,029  13946.9661 SH       DEFINED      3                          13946.9661
VANGUARD INTL EQUITY
   INDEX F             COM      922042775     467,208  10290.9412 SH       DEFINED      4                          10290.9412
VANGUARD INTL EQUITY
   INDEX F             COM      922042858     450,145        9902 SH       DEFINED      4                                9902
VANGUARD SPECIALIZED
   PORTFOL             COM      921908844   1,135,273       23302 SH       DEFINED      4                               23302





                                                                                 
VANGUARD TAX-MANAGED
   FD                  COM      921943858     216,683   6277.0193 SH       DEFINED      3                           6277.0193
VANTAGE DRILLING CO    EQUITY   G93205113     187,901     117,438 SH       SOLE         2      117,438
VARIAN MEDICAL
   SYSTEMS INC         COM      92220P105   1,189,534      18,357 SH       SOLE         1       18,357
VARIAN MEDICAL
   SYSTEMS INC         EQUITY   92220P105   2,457,208      40,615 SH       SOLE         2       40,615
VARIAN SEMICONDUCTOR
   EQUIP               EQUITY   922207105     315,486      10,962 SH       SOLE         2       10,962
VARIAN SEMICONDUCTOR
   EQUIPMENT           COM      922207105   1,518,910      44,766 SH       SOLE         1       44,766
VASCO DATA SECURITY
   INTL                EQUITY   92230Y104     135,239      20,806 SH       SOLE         2       20,806
VASCULAR SOLUTIONS
   INC                 EQUITY   92231M109     148,413      12,928 SH       SOLE         2       12,928
VCA ANTECH INC         EQUITY   918194101   3,953,890     187,477 SH       SOLE         2      187,477
VECTOR GROUP LTD       EQUITY   92240M108     655,061      35,030 SH       SOLE         2       35,030
VECTREN CORPORATION    EQUITY   92240G101   4,601,704     177,878 SH       SOLE         2      177,878
VEECO INSTRUMENTS INC  EQUITY   922417100   5,748,494     164,855 SH       SOLE         2      164,855
VEECO INSTRUMENTS,
   INC.                COM      922417100   1,118,602      24,461 SH       SOLE         1       24,461
VENOCO INC             EQUITY   92275P307     298,827      15,223 SH       SOLE         2       15,223
VENTAS INC             COM      92276F100   1,244,455      22,569 SH       SOLE         1       22,569
VENTAS INC             EQUITY   92276F100   3,290,475      63,806 SH       SOLE         2       63,806
VERIFONE SYSTEMS INC   EQUITY   92342Y109   6,375,378     205,194 SH       SOLE         2      205,194
VERISIGN INC           EQUITY   9.23E+106   2,151,909      67,798 SH       SOLE         2       67,798
VERIZON
   COMMUNICATIONS      COM      92343V104  18,174,341     547,915 SH       SOLE         1      547,915
VERIZON
   COMMUNICATIONS INC  COM      92343V104     336,059   10311.713 SH       DEFINED      3                           10311.713
VERIZON
   COMMUNICATIONS INC  COM      92343V104   2,617,845  80326.6192 SH       DEFINED      4                          80326.6192
VERIZON
   COMMUNICATIONS INC  EQUITY   92343V104  47,101,382   1,445,271 SH       SOLE         2    1,445,271
VERSO PAPER CORP       EQUITY   92531L108      32,674      11,345 SH       SOLE         2       11,345
VERTEX
   PHARMACEUTICALS
   INC                 EQUITY   92532F100  15,711,443     454,482 SH       SOLE         2      454,482
VF CORP                EQUITY   918204108   4,047,111      49,952 SH       SOLE         2       49,952
VIACOM INC CLASS B     EQUITY   92553P201  31,828,345     879,479 SH       SOLE         2      879,479
VIACOM INC-CLASS B     COM      92553P201     418,193      10,820 SH       SOLE         1       10,820
VIAD CORP              COM      92552R406     268,501      12,294 SH       SOLE         1       12,294
VIAD CORP              EQUITY   92552R406     358,119      18,517 SH       SOLE         2       18,517
VIASAT INC             EQUITY   92552V100   1,268,901      30,866 SH       SOLE         2       30,866
VIASAT, INC.           COM      92552V100     984,754      24,261 SH       SOLE         1       24,261
VICAL INC              EQUITY   925602104      96,766      43,393 SH       SOLE         2       43,393
VICOR CORP             EQUITY   925815102     257,151      17,601 SH       SOLE         2       17,601
VICOR CORP.            COM      925815102     215,271      11,725 SH       SOLE         1       11,725
VIEWPOINT FINANCIAL
   GROUP               EQUITY   92672A101     101,722      10,997 SH       SOLE         2       10,997
VIRGIN MEDIA INC       EQUITY   92769L101     624,279      27,119 SH       SOLE         2       27,119
VIRGINIA COMMERCE
   BANCORP             EQUITY   92778Q109      75,325      15,499 SH       SOLE         2       15,499
VIRNETX HLDG CORP      COM      92823T108     149,589       10190 SH       DEFINED      4                               10190





                                                                                 
VIRNETX HOLDING CORP   EQUITY   92823T108     399,678      27,226 SH       SOLE         2       27,226
VIROPHARMA INC         COM      928241108     787,405      46,592 SH       SOLE         1       46,592
VIROPHARMA INC         EQUITY   928241108   1,046,294      70,174 SH       SOLE         2       70,174
VIRTUSA CORP           EQUITY   92827P102     101,261      10,450 SH       SOLE         2       10,450
VISA INC               COM      92826C839     278,731   3753.4529 SH       DEFINED      3                           3753.4529
VISA INC               COM      92826C839     274,955   3702.6002 SH       DEFINED      4                           3702.6002
VISA INC CLASS A
   SHARES              EQUITY   92826C839  37,888,863     510,219 SH       SOLE         2      510,219
VISHAY
   INTERTECHNOLOGY
   INC                 EQUITY   928298108   8,764,127     905,385 SH       SOLE         2      905,385
VISHAY
   INTERTECHNOLOGY,
   INC.                COM      928298108   1,489,509     105,789 SH       SOLE         1      105,789
VISTAPRINT NV          EQUITY   N93540107     775,048      20,053 SH       SOLE         2       20,053
VITACOST.COM INC       EQUITY   92847A200      66,663      11,092 SH       SOLE         2       11,092
VITAL IMAGES INC       EQUITY   92846N104     147,620      11,158 SH       SOLE         2       11,158
VITAMIN SHOPPE INC     EQUITY   9.28E+105     338,129      12,318 SH       SOLE         2       12,318
VIVUS INC              EQUITY   928551100     417,764      62,446 SH       SOLE         2       62,446
VMWARE INC             COM      928563402   1,169,991      14,563 SH       SOLE         1       14,563
VOCUS INC              EQUITY   92858J108     238,965      12,931 SH       SOLE         2       12,931
VODAFONE GROUP PLC
   NEW                 COM      92857W209     274,643   11069.854 SH       DEFINED      4                           11069.854
VODAFONE GROUP PLC
   SP ADR              EQUITY   92857W209   1,001,456      40,365 SH       SOLE         2       40,365
VOLCANO CORP           EQUITY   928645100   9,167,147     352,854 SH       SOLE         2      352,854
VOLCOM INC             COM      92864N101     169,395      10,223 SH       SOLE         1       10,223
VOLCOM INC             EQUITY   92864N101     327,296      17,118 SH       SOLE         2       17,118
VOLT INFO SCIENCES
   INC                 EQUITY   928703107      94,356      13,105 SH       SOLE         2       13,105
VOLTERRA
   SEMICONDUCTOR COR   EQUITY   928708106     486,696      22,616 SH       SOLE         2       22,616
VOLTERRA
   SEMICONDUCTOR CORP  COM      928708106     333,520      16,081 SH       SOLE         1       16,081
VONAGE HOLDINGS CORP   EQUITY   92886T201  19,994,588   7,841,015 SH       SOLE         2    7,841,015
VORNADO REALTY TRUST   EQUITY   929042109   6,389,519      74,705 SH       SOLE         2       74,705
VULCAN MATERIALS CO    EQUITY   929160109   2,315,290      62,711 SH       SOLE         2       62,711
W. W. GRAINGER, INC.   COM      384802104   2,878,627      22,661 SH       SOLE         1       22,661
W+T OFFSHORE INC       EQUITY   92922P106     286,200      27,000 SH       SOLE         2       27,000
WABASH NATIONAL CORP   EQUITY   929566107     368,629      45,566 SH       SOLE         2       45,566
WABTEC CORP            EQUITY   929740108   5,006,480     104,760 SH       SOLE         2      104,760
WADDELL + REED
   FINANCIAL A         EQUITY   930059100   5,099,494     186,385 SH       SOLE         2      186,385
WAL MART STORES INC    COM      931142103     455,980     8519.81 SH       DEFINED      3                             8519.81
WAL MART STORES INC    COM      931142103     669,143  12502.6752 SH       DEFINED      4                          12502.6752
WAL MART STORES INC    EQUITY   931142103  75,431,837   1,409,414 SH       SOLE         2    1,409,414
WALGREEN CO            COM      931422109     297,895    8892.384 SH       DEFINED      4                            8892.384
WALGREEN CO            EQUITY   931422109  14,105,276     421,053 SH       SOLE         2      421,053
WALGREEN CO.           COM      931422109     950,728      27,094 SH       SOLE         1       27,094
WAL-MART STORES INC    COM      931142103   9,898,681     180,271 SH       SOLE         1      180,271
WALT DISNEY            COM      254687106   2,169,085      58,529 SH       SOLE         1       58,529
WALT DISNEY CO/THE     EQUITY   254687106  29,173,718     881,115 SH       SOLE         2      881,115
WALTER INVESTMENT
   MANAGEME            EQUITY   93317W102     347,211      19,852 SH       SOLE         2       19,852





                                                                                 
WARNACO GROUP INC/THE  EQUITY   934390402   6,682,538     130,697 SH       SOLE         2      130,697
WARNER CHILCOTT PLC
   CLASS               EQUITY   G94368100     356,684      15,895 SH       SOLE         2       15,895
WARNER CHILCOTT PLC
   IRELAND             COM      G94368100     222,100      9897.5 SH       DEFINED      4                              9897.5
WARNER MUSIC GROUP
   CORP                EQUITY   934550104     155,408      34,535 SH       SOLE         2       34,535
WARREN RESOURCES INC   EQUITY   93564A100     217,127      54,692 SH       SOLE         2       54,692
WASHINGTON BANKING CO  EQUITY   937303105     163,811      11,819 SH       SOLE         2       11,819
WASHINGTON FEDERAL
   INC                 EQUITY   938824109   3,753,975     246,001 SH       SOLE         2      246,001
WASHINGTON POST
   CLASS B             EQUITY   939640108     840,758       2,105 SH       SOLE         2        2,105
WASHINGTON POST CO.
   CLASS B             COM      939640108     897,936       2,249 SH       SOLE         1        2,249
WASHINGTON REAL
   ESTATE INV          EQUITY   939653101   1,488,676      46,917 SH       SOLE         2       46,917
WASHINGTON TRUST
   BANCORP             EQUITY   940610108     208,427      10,901 SH       SOLE         2       10,901
WASTE CONNECTIONS INC  EQUITY   941053100   6,687,905     168,631 SH       SOLE         2      168,631
WASTE MANAGEMENT INC   EQUITY   94106L109   5,422,652     151,725 SH       SOLE         2      151,725
WATERS CORP            EQUITY   941848103   2,173,158      30,703 SH       SOLE         2       30,703
WATSCO INC             EQUITY   942622200   1,397,846      25,105 SH       SOLE         2       25,105
WATSON
   PHARMACEUTICALS
   INC                 EQUITY   942683103   1,558,573      36,837 SH       SOLE         2       36,837
WATTS WATER
   TECHNOLOGIES A      EQUITY   942749102     899,295      26,411 SH       SOLE         2       26,411
WATTS WATER
   TECHNOLOGIES
   INC., CLASS A       COM      942749102     600,705      17,437 SH       SOLE         1       17,437
WAUSAU PAPER CORP      EQUITY   943315101     366,418      44,200 SH       SOLE         2       44,200
WAUSAU PAPER CORP.     COM      943315101     254,050      29,336 SH       SOLE         1       29,336
WAVE SYSTEMS CORP
   CLASS A             EQUITY   943526301     138,535      61,846 SH       SOLE         2       61,846
WD 40 CO               EQUITY   929236107     568,627      14,956 SH       SOLE         2       14,956
WD-40 CO.              COM      929236107     382,878       9,963 SH       SOLE         1        9,963
WEATHERFORD INTL LTD   EQUITY   H27013103     264,178      15,449 SH       SOLE         2       15,449
WEBSENSE INC           COM      947684106     568,952      25,411 SH       SOLE         1       25,411
WEBSENSE INC           EQUITY   947684106     689,341      38,858 SH       SOLE         2       38,858
WEBSTER FINANCIAL
   CORP                EQUITY   947890109   3,389,537     193,026 SH       SOLE         2      193,026
WEINGARTEN REALTY
   INVESTOR            EQUITY   948741103   5,745,621     263,319 SH       SOLE         2      263,319
WEIS MARKETS INC       EQUITY   948849104     332,448       8,496 SH       SOLE         2        8,496
WELLCARE HEALTH
   PLANS INC           EQUITY   94946T106   3,612,470     124,740 SH       SOLE         2      124,740
WELLPOINT INC          EQUITY   94973V107  10,185,345     179,826 SH       SOLE         2      179,826
WELLS FARGO & CO NEW   COM      949746101   6,805,950  270991.428 SH       DEFINED      3                          270991.428
WELLS FARGO & CO NEW   COM      949746101     314,954  12540.4641 SH       DEFINED      4                          12540.4641
WELLS FARGO + CO       EQUITY   949746101  54,084,007   2,152,169 SH       SOLE         2    2,152,169
WELLS FARGO CO.        COM      949746101  23,871,867     822,034 SH       SOLE         1      822,034
WENDY S/ARBY S GROUP
   INC A               EQUITY   950587105   3,278,578     723,748 SH       SOLE         2      723,748





                                                                                 
WERNER ENTERPRISES
   INC                 EQUITY   950755108   2,646,120     129,142 SH       SOLE         2      129,142
WESBANCO INC           EQUITY   950810101     291,032      17,811 SH       SOLE         2       17,811
WEST BANCORPORATION    EQUITY   95123P106      75,871      12,043 SH       SOLE         2       12,043
WEST COAST
   BANCORP/OREGON      EQUITY   952145100     165,038      72,385 SH       SOLE         2       72,385
WEST MARINE INC        EQUITY   954235107     113,955      11,216 SH       SOLE         2       11,216
WEST PHARMACEUTICAL
   SERVIC              EQUITY   955306105   1,028,682      29,982 SH       SOLE         2       29,982
WEST PHARMACEUTICAL
   SERVICES            COM      955306105     776,170      19,912 SH       SOLE         1       19,912
WESTAMERICA
   BANCORPORATION      EQUITY   957090103   4,672,409      85,748 SH       SOLE         2       85,748
WESTAR ENERGY INC      EQUITY   95709T100   5,870,808     242,295 SH       SOLE         2      242,295
WESTERN ALLIANCE
   BANCORP             EQUITY   957638109   2,604,906     388,792 SH       SOLE         2      388,792
WESTERN DIGITAL CORP   EQUITY   958102105   3,491,516     122,984 SH       SOLE         2      122,984
WESTERN REFINING INC   EQUITY   959319104     207,556      39,610 SH       SOLE         2       39,610
WESTERN UNION CO       EQUITY   959802109   5,442,978     308,035 SH       SOLE         2      308,035
WESTFIELD FINANCIAL
   INC                 EQUITY   96008P104     178,199      22,846 SH       SOLE         2       22,846
WESTLAKE CHEMICAL
   CORP                EQUITY   960413102     454,188      15,175 SH       SOLE         2       15,175
WESTMORELAND COAL CO   COM      960878106     188,326       19100 SH       DEFINED      4                               19100
WET SEAL INC/THE
   CLASS A             EQUITY   961840105     266,203      78,526 SH       SOLE         2       78,526
WEYERHAEUSER CO        EQUITY   962166104   2,876,988     182,550 SH       SOLE         2      182,550
WEYERHAEUSER CO.       COM      962166104   1,874,927     105,333 SH       SOLE         1      105,333
WGL HOLDINGS INC       EQUITY   92924F106   5,633,565     149,115 SH       SOLE         2      149,115
WHIRLPOOL CORP         EQUITY   963320106   2,080,672      25,700 SH       SOLE         2       25,700
WHIRLPOOL CORP.        COM      963320106   2,189,548      27,903 SH       SOLE         1       27,903
WHITING USA TR I       COM      966389108     242,440       11600 SH       DEFINED      4                               11600
WHITNEY HOLDING CORP   EQUITY   966612103     710,749      86,995 SH       SOLE         2       86,995
WHITNEY HOLDING CORP.  COM      966612103     522,756      57,827 SH       SOLE         1       57,827
WHOLE FOODS MARKET
   INC                 EQUITY   966837106   2,310,506      62,261 SH       SOLE         2       62,261
WILEY (JOHN) +
   SONS   CL A         EQUITY   968223206   4,134,828     101,195 SH       SOLE         2      101,195
WILLBROS GROUP INC     EQUITY   969203108     338,960      36,964 SH       SOLE         2       36,964
WILLIAMS COMPANIES,
   INC.                COM      969457100   4,812,195     212,929 SH       SOLE         1      212,929
WILLIAMS COS INC       EQUITY   969457100   6,398,315     334,815 SH       SOLE         2      334,815
WILLIAMS SONOMA INC    EQUITY   969904101   7,470,359     235,658 SH       SOLE         2      235,658
WILMINGTON TRUST CORP  EQUITY   971807102   1,797,877     200,209 SH       SOLE         2      200,209
WILSHIRE BANCORP INC   COM      97186T108      83,254      11,759 SH       SOLE         1       11,759
WILSHIRE BANCORP INC   EQUITY   97186T108     114,934      17,574 SH       SOLE         2       17,574
WINDSTREAM CORP        COM      97381W104   1,353,823 110178.8732 SH       DEFINED      4                         110178.8732
WINDSTREAM CORP        EQUITY   97381W104  18,407,937   1,497,798 SH       SOLE         2    1,497,798
WINN DIXIE STORES INC  EQUITY   974280307     303,339      42,544 SH       SOLE         2       42,544
WINNEBAGO INDUSTRIES   EQUITY   974637100     273,337      26,232 SH       SOLE         2       26,232
WINNEBAGO
   INDUSTRIES, INC.    COM      974637100     195,812      17,421 SH       SOLE         1       17,421
WINTHROP REALTY TRUST  EQUITY   976391300     170,840      13,822 SH       SOLE         2       13,822
WINTRUST FINANCIAL





                                                                                 
   CORP                COM      97650W108     593,760      18,619 SH       SOLE         1       18,619
WINTRUST FINANCIAL
   CORP                EQUITY   97650W108     908,290      28,025 SH       SOLE         2       28,025
WISCONSIN ENERGY CORP  EQUITY   976657106   2,305,700      39,891 SH       SOLE         2       39,891
WISDOMTREE TRUST       COM      97717W422   1,831,502       69454 SH       DEFINED      3                               69454
WMS INDUSTRIES INC     EQUITY   929297109   9,140,873     240,107 SH       SOLE         2      240,107
WOLVERINE WORLD WIDE
   INC                 EQUITY   978097103   1,293,962      44,604 SH       SOLE         2       44,604
WOLVERINE WORLD
   WIDE, INC.          COM      978097103     884,317      29,195 SH       SOLE         1       29,195
WOODWARD GOVERNOR CO   EQUITY   980745103   5,636,768     173,867 SH       SOLE         2      173,867
WORLD ACCEPTANCE CORP  EQUITY   981419104     649,196      14,701 SH       SOLE         2       14,701
WORLD ACCEPTANCE
   CORP.               COM      981419104     403,414       9,373 SH       SOLE         1        9,373
WORLD FUEL SERVICES
   CORP                EQUITY   981475106   1,420,354      54,608 SH       SOLE         2       54,608
WORLD FUEL SVCS CORP   COM      981475106   1,198,234      40,399 SH       SOLE         1       40,399
WORLD WRESTLING
   ENTERTAIN           EQUITY   98156Q108     259,018      18,621 SH       SOLE         2       18,621
WORLD WRESTLING
   ENTERTAINMENT INC   COM      98156Q108     689,292      49,200 SH       SOLE         1       49,200
WORTHINGTON
   INDUSTRIES          EQUITY   981811102   2,565,666     170,703 SH       SOLE         2      170,703
WR BERKLEY CORP        EQUITY   84423102    7,210,446     266,363 SH       SOLE         2      266,363
WR GRACE + CO          EQUITY   38388F108   1,568,496      56,138 SH       SOLE         2       56,138
WRIGHT EXPRESS CORP    COM      98233Q105   1,027,344      22,896 SH       SOLE         1       22,896
WRIGHT EXPRESS CORP    EQUITY   98233Q105   1,246,136      34,896 SH       SOLE         2       34,896
WRIGHT MEDICAL GROUP
   INC                 EQUITY   98235T107     431,983      29,978 SH       SOLE         2       29,978
WSB HOLDINGS INC       COM      92934C101      27,891   10032.815 SH       DEFINED      4                           10032.815
WW GRAINGER INC        EQUITY   384802104   2,396,255      20,118 SH       SOLE         2       20,118
WYNDHAM WORLDWIDE
   CORP                COM      98310W108   1,007,465      33,853 SH       SOLE         1       33,853
WYNDHAM WORLDWIDE
   CORP                EQUITY   98310W108   2,429,667      88,448 SH       SOLE         2       88,448
WYNN RESORTS LTD       COM      983134107     206,166        2376 SH       DEFINED      4                                2376
WYNN RESORTS LTD       COM      983134107     741,226       6,360 SH       SOLE         1        6,360
WYNN RESORTS LTD       EQUITY   983134107   2,912,435      33,565 SH       SOLE         2       33,565
X RITE INC             EQUITY   983857103      97,755      25,793 SH       SOLE         2       25,793
XCEL ENERGY INC        COM      98389B100   1,302,858       56720 SH       DEFINED      4                               56720
XCEL ENERGY INC        EQUITY   98389B100   3,602,293     156,826 SH       SOLE         2      156,826
XENOPORT INC           EQUITY   98411C100     150,590      21,180 SH       SOLE         2       21,180
XEROX CORP             EQUITY   984121103   6,435,827     621,819 SH       SOLE         2      621,819
XEROX CORP.            COM      984121103     828,877      70,663 SH       SOLE         1       70,663
XILINX INC             EQUITY   983919101   2,820,154     105,981 SH       SOLE         2      105,981
XL GROUP PLC           EQUITY   G98290102   2,518,690     116,283 SH       SOLE         2      116,283
XYRATEX LTD            EQUITY   G98268108   3,100,417     208,923 SH       SOLE         2      208,923
YAHOO  INC             EQUITY   984332106   9,800,000     691,602 SH       SOLE         2      691,602
YAHOO INC              COM      984332106     201,058       14189 SH       DEFINED      4                               14189
YAMANA GOLD INC        COM      98462Y100     210,535       18468 SH       DEFINED      3                               18468
YUM  BRANDS INC        EQUITY   988498101   6,809,280     147,835 SH       SOLE         2      147,835
YUM BRANDS INC         COM      988498101     240,664        5225 SH       DEFINED      4                                5225
ZALE CORP.             COM      988858106      43,574      13,833 SH       SOLE         1       13,833
ZALICUS INC            EQUITY   98887C105      66,015      50,781 SH       SOLE         2       50,781





                                                                                 
ZEBRA TECHNOLOGIES
   CORP CL             EQUITY   989207105   4,162,344     123,732 SH       SOLE         2      123,732
ZEP INC                COM      98944B108     250,900      13,000 SH       SOLE         1       13,000
ZEP INC                EQUITY   98944B108     341,214      19,565 SH       SOLE         2       19,565
ZHONGPIN INC           COM      98952K107     219,101       13450 SH       DEFINED      4                               13450
ZIMMER HLDGS INC       COM      98956P102     285,042        5447 SH       DEFINED      4                                5447
ZIMMER HOLDINGS INC    COM      98956P102   6,898,980     133,753 SH       SOLE         1      133,753
ZIMMER HOLDINGS INC    EQUITY   98956P102   4,077,658      77,922 SH       SOLE         2       77,922
ZIONS BANCORPORATION   EQUITY   989701107   1,745,347      81,711 SH       SOLE         2       81,711
ZIOPHARM ONCOLOGY INC  EQUITY   98973P101     141,443      37,718 SH       SOLE         2       37,718
ZIX CORP               EQUITY   98974P100     122,370      43,088 SH       SOLE         2       43,088
ZOLL MEDICAL CORP      EQUITY   989922109     624,070      19,339 SH       SOLE         2       19,339
ZOLL MEDICAL CORP.     COM      989922109   1,658,318      50,070 SH       SOLE         1       50,070
ZOLTEK COMPANIES INC   EQUITY   98975W104     208,455      21,446 SH       SOLE         2       21,446
ZORAN CORP             EQUITY   98975F101     302,384      39,579 SH       SOLE         2       39,579
ZUMIEZ INC             COM      989817101     923,276      32,464 SH       SOLE         1       32,464
ZUMIEZ INC             EQUITY   989817101     392,645      18,556 SH       SOLE         2       18,556
ZWEIG TOTAL RETURN
   FD INC              COM      989837109      42,729       11215 SH       DEFINED      4                               11215
ZYGO CORP              EQUITY   989855101     132,163      13,486 SH       SOLE         2       13,486
ZYMOGENETICS INC       EQUITY   98985T109     399,633      40,988 SH       SOLE         2       40,988