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

                                   FORM 13F

                             FORM 13F COVER PAGE


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


Check here if Amendment [X];


  This Amendment (Check only one.):      [X] 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        August 17, 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: 2,295

Form 13F Information Table Value Total: $8,811,185(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         NEW                      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 - 2Q 2010



                             TITLE     CUSIP        ACTUAL     SHARES/   SH/  PUT/ INVESTMENT OTHER            SHARED
ISSUER NAME                OF CLASS    NUMBER       VALUE     PRINCIPAL  PRN  CALL DISCRETION  MGRS  SOLE (A)   (B)     NONE (C)
-------------------------- -------- ------------ ----------- ----------- ---  ---- ---------- ----- ---------- ------ ------------
                                                                                     
3M CO                      EQUITY   338478100
                                    Equity Cusip  20,065,830     254,030 SH        SOLE         2      254,030
3PAR INC                   EQUITY   88580F109        280,287      30,106 SH        SOLE         2       30,106
99 CENTS ONLY STORES       EQUITY   65440K106      2,027,526     136,995 SH        SOLE         2      136,995
A123 SYSTEM INC            COM      US03739T1088     281,254      26,940 SHRS      SOLE         1       26,940
A123 SYSTEMS INC           EQUITY   03739T108        528,900      56,087 SH        SOLE         2       56,087
AAON INC                   EQUITY   360206           261,678      11,226 SH        SOLE         2       11,226
AAR CORP                   EQUITY   361105           592,998      35,424 SH        SOLE         2       35,424
AARON S INC                EQUITY   2535201        3,098,239     181,502 SH        SOLE         2      181,502
ABAXIS INC                 EQUITY   2567105          429,457      20,040 SH        SOLE         2       20,040
ABBOTT LABORATORIES        EQUITY   2824100       42,400,503     906,381 SH        SOLE         2      906,381
ABBOTT LABS                COM      2824100      600600.8042  12838.8372 SHRS      DEFINED      3                       12838.8372
ABERCROMBIE + FITCH CO CL  EQUITY   2896207        6,769,017     220,561 SH        SOLE         2      220,561
ABIOMED INC                EQUITY   3654100          233,675      24,140 SH        SOLE         2       24,140
ABM INDUSTRIES INC         EQUITY   957100           973,148      46,451 SH        SOLE         2       46,451
ABOVENET INC               EQUITY   00374N107        820,460      17,390 SH        SOLE         2       17,390
ACACIA RESEARCH   ACACIA T EQUITY   3881307          371,133      26,081 SH        SOLE         2       26,081
ACADIA REALTY TRUST        EQUITY   4239109          612,601      36,421 SH        SOLE         2       36,421
ACCO BRANDS CORP           EQUITY   41013T105
                                    Equity Cusip     211,192      42,323 SH        SOLE         2       42,323
ACCURAY INC                EQUITY   4397105          261,719      39,475 SH        SOLE         2       39,475
ACI WORLDWIDE INC          EQUITY   4498101        1,973,615     101,367 SH        SOLE         2      101,367
ACME PACKET INC            EQUITY   4764106          908,813      33,810 SH        SOLE         2       33,810
ACORDA THERAPEUTICS INC    EQUITY   00484M106        930,345      29,905 SH        SOLE         2       29,905
ACTEL CORP                 EQUITY   4934105          258,336      20,151 SH        SOLE         2       20,151
ACTIVISION BLIZZARD INC    EQUITY   00507V109      1,810,112     172,556 SH        SOLE         2      172,556
ACTUANT CORP CL A          EQUITY   00508X203      1,161,039      61,659 SH        SOLE         2       61,659
ACUITY BRANDS INC          EQUITY   00508Y102      4,718,195     129,692 SH        SOLE         2      129,692
ACXIOM CORP                EQUITY   5125109        3,361,116     228,803 SH        SOLE         2      228,803
ADAPTEC INC                EQUITY   00651F108        326,954     113,133 SH        SOLE         2      113,133
ADC TELECOMMUNICATIONS INC EQUITY   42328Q109
                                    Equity Cusip   2,142,283     289,107 SH        SOLE         2      289,107
ADMINISTAFF INC            EQUITY   7094105          480,687      19,896 SH        SOLE         2       19,896
ADOBE SYSTEMS INC          EQUITY   00724F101      9,753,436     369,029 SH        SOLE         2      369,029
ADTRAN INC                 EQUITY   00738A106      4,641,436     170,203 SH        SOLE         2      170,203
ADVANCE AUTO PARTS INC     EQUITY   00751Y106      9,769,494     194,689 SH        SOLE         2      194,689
ADVANCED ENERGY INDUSTRIES EQUITY   7973100          400,838      32,615 SH        SOLE         2       32,615
ADVANCED MICRO DEVICES     EQUITY   7903107        2,078,265     283,916 SH        SOLE         2      283,916
ADVENT SOFTWARE INC        EQUITY   7974108        2,201,579      46,882 SH        SOLE         2       46,882
ADVISORY BOARD CO/THE      EQUITY   00762W107        513,114      11,944 SH        SOLE         2       11,944
AECOM TECHNOLOGY CORP      EQUITY   00766T100      5,893,006     255,551 SH        SOLE         2      255,551
AEROPOSTALE INC            EQUITY   7865108        5,965,426     208,290 SH        SOLE         2      208,290
AEROVIRONMENT INC          EQUITY   8073108          321,561      14,798 SH        SOLE         2       14,798
AES CORP                   EQUITY   4042EP602
                                    Equity Cusip   4,053,080     438,645 SH        SOLE         2      438,645
AETNA INC                  EQUITY   453838104
                                    Equity Cusip   5,146,131     195,077 SH        SOLE         2      195,077
AFFILIATED MANAGERS GROUP  EQUITY   8252108       10,919,214     179,681 SH        SOLE         2      179,681
AFFYMETRIX INC             EQUITY   00826T108      1,245,543     211,109 SH        SOLE         2      211,109
AFLAC INC                  EQUITY   44982G104
                                    Equity Cusip   8,412,305     197,148 SH        SOLE         2      197,148
AGA MEDICAL HOLDINGS INC   EQUITY   8368102        3,423,699     269,795 SH        SOLE         2      269,795
AGCO CORP                  EQUITY   1084102        5,602,559     207,733 SH        SOLE         2      207,733
AGILENT TECHNOLOGIES INC   EQUITY   45684E107
                                    Equity Cusip   4,956,088     174,326 SH        SOLE         2      174,326
AGL RESOURCES INC          EQUITY   1204106        6,224,370     173,768 SH        SOLE         2      173,768
AIR METHODS CORP           EQUITY   464286715
                                    Equity Cusip     301,040      10,119 SH        SOLE         2       10,119
AIR PRODUCTS + CHEMICALS I EQUITY   9158106        9,370,230     144,580 SH        SOLE         2      144,580
AIRCASTLE LTD              EQUITY   G0129K104        307,657      39,192 SH        SOLE         2       39,192
AIRGAS INC                 EQUITY   9363102        2,455,843      39,483 SH        SOLE         2       39,483
AIRTRAN HOLDINGS INC       EQUITY   00949P108      1,955,336     403,162 SH        SOLE         2      403,162
AK STEEL HOLDING CORP      EQUITY   1547108          449,658      37,723 SH        SOLE         2       37,723
AKAMAI TECHNOLOGIES INC    EQUITY   00971T101      3,062,710      75,492 SH        SOLE         2       75,492
ALASKA AIR GROUP INC       EQUITY   11659109       4,792,749     106,624 SH        SOLE         2      106,624
ALASKA COMM SYSTEMS GROUP  EQUITY   01167P101        292,217      34,419 SH        SOLE         2       34,419
ALBANY INTL CORP CL A      EQUITY   12348108         402,273      24,847 SH        SOLE         2       24,847





                                                                                     
ALBEMARLE CORP             EQUITY   12653101       8,083,090     203,553 SH        SOLE         2      203,553
ALBERTO CULVER CO          EQUITY   464288372
                                    Equity Cusip   5,180,719     191,241 SH        SOLE         2      191,241
ALCOA INC                  COM      13817101     396428.6667  39406.4281 SHRS      DEFINED      4                       39406.4281
ALCOA INC                  EQUITY   464288711
                                    Equity Cusip   3,292,487     327,285 SH        SOLE         2      327,285
ALEXANDER + BALDWIN INC    EQUITY   14482103       2,733,417      91,787 SH        SOLE         2       91,787
ALEXANDRIA REAL ESTATE EQU EQUITY   15271109       6,264,948      98,863 SH        SOLE         2       98,863
ALIGN TECHNOLOGY INC       EQUITY   16255101         811,515      54,574 SH        SOLE         2       54,574
ALKERMES INC               EQUITY   01642T108        912,274      73,275 SH        SOLE         2       73,275
ALLEGHENY ENERGY INC       EQUITY   556582104
                                    Equity Cusip   1,978,828      95,688 SH        SOLE         2       95,688
ALLEGHENY TECHNOLOGIES INC EQUITY   65337H109
                                    Equity Cusip   1,470,025      33,266 SH        SOLE         2       33,266
ALLEGIANT TRAVEL CO        EQUITY   01748X102        588,482      13,785 SH        SOLE         2       13,785
ALLERGAN INC               EQUITY   65370F101
                                    Equity Cusip   9,446,160     162,138 SH        SOLE         2      162,138
ALLETE INC                 EQUITY   18522300         961,733      28,088 SH        SOLE         2       28,088
ALLIANCE DATA SYSTEMS CORP EQUITY   67073D102
                                    Equity Cusip   7,068,893     118,765 SH        SOLE         2      118,765
ALLIANCE ONE INTERNATIONAL EQUITY   18772103         287,915      80,875 SH        SOLE         2       80,875
ALLIANCEBERNSTEIN
HOLDING LP                 COM      01881G106         260984       10100 SHRS      DEFINED      3                            10100
ALLIANCEBERNSTEIN INCOME
FUN                        COM      1.88E+104      529800.04       65086 SHRS      DEFINED      3                            65086
ALLIANCEBERNSTEIN INCOME
FUN                        COM      1.88E+104       204843.1       25165 SHRS      DEFINED      4                            25165
ALLIANCEBERNSTEIN NATL
MUNI                       COM      01864U106     4765625.37      340650 SHRS      DEFINED      3                           340650
ALLIANT ENERGY CORP        EQUITY   18802108       7,847,969     247,258 SH        SOLE         2      247,258
ALLIANT TECHSYSTEMS INC    EQUITY   18804104       4,568,361      73,612 SH        SOLE         2       73,612
ALLIED HEALTHCARE INTL INC COM      01923A109      1,136,576     481,600 SHRS      SOLE         1      481,600
ALLIED NEVADA GOLD CORP    EQUITY   19344100         963,277      48,947 SH        SOLE         2       48,947
ALLOS THERAPEUTICS INC     EQUITY   19777101         372,152      60,710 SH        SOLE         2       60,710
ALLSTATE CORP              EQUITY   72369H106
                                    Equity Cusip  10,173,207     354,097 SH        SOLE         2      354,097
ALNYLAM PHARMACEUTICALS IN EQUITY   02043Q107        422,513      28,130 SH        SOLE         2       28,130
ALPHA NATURAL RESOURCES IN EQUITY   02076X102      4,373,802     129,135 SH        SOLE         2      129,135
ALTERA CORPORATION         EQUITY   21441100       3,713,908     149,694 SH        SOLE         2      149,694
ALTERRA CAPITAL HOLDINGS L EQUITY   G0229R108      1,397,157      74,396 SH        SOLE         2       74,396
ALTRA HOLDINGS INC         EQUITY   02208R106        269,514      20,700 SH        SOLE         2       20,700
ALTRIA GROUP INC           COM      02209S103    813219.8453  40579.8326 SHRS      DEFINED      3                       40579.8326
ALTRIA GROUP INC           COM      02209S103     790353.552     39438.8 SHRS      DEFINED      4                          39438.8
ALTRIA GROUP INC           EQUITY   780097788
                                    Equity Cusip  24,944,149   1,244,718 SH        SOLE         2    1,244,718
AMAG PHARMACEUTICALS INC   EQUITY   00163U106        557,397      16,227 SH        SOLE         2       16,227
AMAZON.COM INC             EQUITY   23135106      26,429,994     241,900 SH        SOLE         2      241,900
AMB PROPERTY CORP          EQUITY   00163T109      8,899,406     375,344 SH        SOLE         2      375,344
AMCOL INTERNATIONAL CORP   EQUITY   02341W103        512,441      21,806 SH        SOLE         2       21,806
AMDOCS LTD                 EQUITY   G02602103      1,742,887      64,912 SH        SOLE         2       64,912
AMEDISYS INC               EQUITY   23436108       1,140,010      25,927 SH        SOLE         2       25,927
AMEREN CORPORATION         EQUITY   23608102       1,951,992      82,120 SH        SOLE         2       82,120
AMERICAN AXLE + MFG HOLDIN EQUITY   24061103         339,716      46,346 SH        SOLE         2       46,346
AMERICAN CAMPUS COMMUNITIE EQUITY   24835100       1,102,980      40,417 SH        SOLE         2       40,417
AMERICAN CAPITAL AGENCY CO EQUITY   02503X105        668,452      25,301 SH        SOLE         2       25,301
AMERICAN CAPITAL LTD       EQUITY   02503Y103      1,264,315     262,306 SH        SOLE         2      262,306
AMERICAN DAIRY INC         COM      25334103       388781.25       24375 SHRS      DEFINED      4                            24375
AMERICAN EAGLE OUTFITTERS  EQUITY   2.55E+109      5,480,412     466,418 SH        SOLE         2      466,418
AMERICAN ELECTRIC POWER    EQUITY   25537101       4,956,274     153,445 SH        SOLE         2      153,445
AMERICAN EQUITY INVT LIFE  EQUITY   25676206         466,154      45,170 SH        SOLE         2       45,170
AMERICAN EXPRESS CO        EQUITY   883623209
                                    Equity Cusip  21,179,831     533,497 SH        SOLE         2      533,497
AMERICAN FINANCIAL GROUP I EQUITY   25932104       4,618,719     169,060 SH        SOLE         2      169,060
AMERICAN GREETINGS CORP CL EQUITY   26375105       2,210,472     117,829 SH        SOLE         2      117,829
AMERICAN INTERNATIONAL GRO EQUITY   26874784       1,589,475      46,152 SH        SOLE         2       46,152
AMERICAN INTERNATIONAL
GROUP INC                  COM      26874784       4,338,551     107,951 SHRS      SOLE         1      107,951
AMERICAN ITALIAN PASTA CO  EQUITY   27070101         888,322      16,802 SH        SOLE         2       16,802
AMERICAN MEDICAL SYS HLDGS EQUITY   02744M108      1,513,428      68,419 SH        SOLE         2       68,419
AMERICAN OIL + GAS INC     EQUITY   28723104         243,664      38,800 SH        SOLE         2       38,800
AMERICAN PUBLIC EDUCATION  EQUITY   02913V103        729,135      16,685 SH        SOLE         2       16,685
AMERICAN REPROGRAPHICS CO  EQUITY   29263100         248,037      28,412 SH        SOLE         2       28,412
AMERICAN STATES WATER CO   EQUITY   29899101         558,276      16,846 SH        SOLE         2       16,846
AMERICAN SUPERCONDUCTOR CO EQUITY   30111108         924,542      34,640 SH        SOLE         2       34,640
AMERICAN SUPERCONDUCTOR
CORP                       COM      30111108       374033.66       14014 SHRS      DEFINED      3                            14014
AMERICAN TOWER CORP CL A   EQUITY   29912201      10,131,093     227,665 SH        SOLE         2      227,665
AMERICREDIT CORP           EQUITY   03060R101      3,926,975     215,531 SH        SOLE         2      215,531





                                                                                     
AMERIGROUP CORP            EQUITY   03073T102      1,524,416      46,934 SH        SOLE         2       46,934
AMERIPRISE FINANCIAL INC   EQUITY   03076C106      4,486,226     124,169 SH        SOLE         2      124,169
AMERISAFE INC              EQUITY   03071H100        300,193      17,105 SH        SOLE         2       17,105
AMERISOURCEBERGEN CORP     EQUITY   966389108
                                    Equity Cusip   5,891,403     185,556 SH        SOLE         2      185,556
AMERISTAR CASINOS INC      EQUITY   03070Q101        307,616      20,426 SH        SOLE         2       20,426
AMETEK INC                 EQUITY   31100100      20,305,461     505,740 SH        SOLE         2      505,740
AMGEN INC                  EQUITY   92934C101
                                    Equity Cusip  28,332,780     538,646 SH        SOLE         2      538,646
AMKOR TECHNOLOGY INC       EQUITY   31652100         446,448      81,025 SH        SOLE         2       81,025
AMN HEALTHCARE SERVICES IN EQUITY   1744101          222,620      29,762 SH        SOLE         2       29,762
AMPHENOL CORP CL A         EQUITY   32095101       3,209,294      81,703 SH        SOLE         2       81,703
AMSURG CORP                EQUITY   03232P405        499,619      28,037 SH        SOLE         2       28,037
AMTRUST FINANCIAL SERVICES EQUITY   32359309         207,509      17,235 SH        SOLE         2       17,235
ANADARKO PETROLEUM CORP    EQUITY   32511107       5,696,915     157,853 SH        SOLE         2      157,853
ANADIGICS INC              EQUITY   32515108         219,613      50,370 SH        SOLE         2       50,370
ANALOG DEVICES INC         EQUITY   32654105       5,904,398     211,931 SH        SOLE         2      211,931
ANALOGIC CORP              EQUITY   32657207         532,330      11,697 SH        SOLE         2       11,697
ANCESTRY.COM INC           EQUITY   32803108         257,287      14,602 SH        SOLE         2       14,602
ANDERSONS INC/THE          EQUITY   34164103         544,416      16,705 SH        SOLE         2       16,705
ANGIODYNAMICS INC          EQUITY   03475V101        281,681      19,097 SH        SOLE         2       19,097
ANIXTER INTERNATIONAL INC  EQUITY   35290105       1,087,195      25,521 SH        SOLE         2       25,521
ANNALY CAP MGMT INC        COM      35710409     255128.9292  14876.3224 SHRS      DEFINED      4                       14876.3224
ANNALY CAPITAL MANAGEMENT  EQUITY   35710409         230,359      13,432 SH        SOLE         2       13,432
ANNTAYLOR STORES CORP      EQUITY   36115103       2,850,618     175,207 SH        SOLE         2      175,207
ANSYS INC                  EQUITY   03662Q105      8,176,356     201,537 SH        SOLE         2      201,537
ANWORTH MORTGAGE ASSET COR EQUITY   37347101         653,274      91,752 SH        SOLE         2       91,752
AOL INC                    EQUITY   00184X105      4,953,446     238,261 SH        SOLE         2      238,261
AON CORP                   EQUITY   37389103       3,609,957      97,251 SH        SOLE         2       97,251
APACHE CORP                EQUITY   37411105      21,432,753     254,576 SH        SOLE         2      254,576
APARTMENT INVT + MGMT CO   EQUITY   03748R101        771,255      39,817 SH        SOLE         2       39,817
APOGEE ENTERPRISES INC     EQUITY   37598109         275,764      25,463 SH        SOLE         2       25,463
APOLLO GROUP INC CL A      EQUITY   37604105       2,184,402      51,434 SH        SOLE         2       51,434
APOLLO INVESTMENT CORP     EQUITY   03761U106      5,390,986     577,812 SH        SOLE         2      577,812
APOLLO INVT CORP           COM      03761U106      725071.62       77714 SHRS      DEFINED      4                            77714
APPLE INC                  COM      37833100      2748216.78       10926 SHRS      DEFINED      4                            10926
APPLE INC                  EQUITY   37833100     162,687,089     646,790 SH        SOLE         2      646,790
APPLIED INDUSTRIAL TECH IN EQUITY   03820C105        955,678      37,744 SH        SOLE         2       37,744
APPLIED MATERIALS INC      EQUITY   38222105       9,532,581     793,060 SH        SOLE         2      793,060
APPLIED MATLS INC          COM      38222105       212597.74       17687 SHRS      DEFINED      4                            17687
APPLIED MICRO CIRCUITS COR EQUITY   03822W406        529,827      50,556 SH        SOLE         2       50,556
APPLIED SIGNAL TECHNOLOGY  EQUITY   38237103         237,411      12,082 SH        SOLE         2       12,082
APTARGROUP INC             EQUITY   38336103       5,730,827     151,529 SH        SOLE         2      151,529
AQUA AMERICA INC           EQUITY   03836W103      5,406,314     305,787 SH        SOLE         2      305,787
ARBITRON INC               EQUITY   03875Q108        619,298      24,163 SH        SOLE         2       24,163
ARCH CHEMICALS INC         EQUITY   03937R102        641,144      20,857 SH        SOLE         2       20,857
ARCH COAL INC              COM      39380100       264364.45       13345 SHRS      DEFINED      4                            13345
ARCH COAL INC              EQUITY   39380100       7,171,596     362,019 SH        SOLE         2      362,019
ARCHER DANIELS MIDLAND CO  COM      39483102     457980.6621  17737.4385 SHRS      DEFINED      3                       17737.4385
ARCHER DANIELS MIDLAND CO  COM      39483201     893160.9258  24666.1399 SHRS      DEFINED      4                       24666.1399
ARCHER DANIELS MIDLAND CO  EQUITY   39483102       8,614,043     333,619 SH        SOLE         2      333,619
ARCSIGHT INC               EQUITY   39666102         424,716      18,969 SH        SOLE         2       18,969
ARDEA BIOSCIENCES INC      EQUITY   03969P107        211,213      10,273 SH        SOLE         2       10,273
ARENA PHARMACEUTICALS INC  EQUITY   40047102         240,013      78,180 SH        SOLE         2       78,180
ARENA RESOURCES INC        EQUITY   40049108         972,184      30,476 SH        SOLE         2       30,476
ARGO GROUP INTERNATIONAL   EQUITY   G0464B107        733,579      23,981 SH        SOLE         2       23,981
ARGON ST INC               EQUITY   40149106         361,314      10,537 SH        SOLE         2       10,537
ARIAD PHARMACEUTICALS INC  EQUITY   04033A100        241,059      85,482 SH        SOLE         2       85,482
ARIBA INC                  EQUITY   04033V203      1,105,877      69,421 SH        SOLE         2       69,421
ARKANSAS BEST CORP         EQUITY   40790107         476,565      22,967 SH        SOLE         2       22,967
ARRIS GROUP INC            EQUITY   04269Q100      1,173,307     115,143 SH        SOLE         2      115,143
ARROW ELECTRONICS INC      EQUITY   42735100       6,008,485     268,836 SH        SOLE         2      268,836
ART TECHNOLOGY GROUP INC   EQUITY   04289L107        414,726     121,265 SH        SOLE         2      121,265
ARTHROCARE CORP            EQUITY   43136100         638,102      20,819 SH        SOLE         2       20,819
ARTHUR J GALLAGHER + CO    EQUITY   363576109      5,635,096     231,136 SH        SOLE         2      231,136
ARTIO GLOBAL INVESTORS INC EQUITY   04315B107        337,481      21,441 SH        SOLE         2       21,441





                                                                                     
ARUBA NETWORKS INC         EQUITY   43176106         805,528      56,568 SH        SOLE         2       56,568
ARVINMERITOR INC           EQUITY   43353101         951,781      72,655 SH        SOLE         2       72,655
ASBURY AUTOMOTIVE GROUP    EQUITY   43436104         236,307      22,420 SH        SOLE         2       22,420
ASCENT MEDIA CORP A        EQUITY   43632108         278,870      11,040 SH        SOLE         2       11,040
ASHFORD HOSPITALITY TRUST  EQUITY   44103109         229,744      31,343 SH        SOLE         2       31,343
ASHLAND INC                EQUITY   44209104       8,134,734     175,242 SH        SOLE         2      175,242
ASML HOLDING N V           EQUITY   N07059186      8,287,699     301,700 SH        SOLE         2      301,700
ASPEN TECHNOLOGY INC       EQUITY   45327103         523,243      48,048 SH        SOLE         2       48,048
ASSOCIATED BANC CORP       EQUITY   45487105       4,732,973     386,050 SH        SOLE         2      386,050
ASSOCIATED ESTATES REALTY  EQUITY   45604105         315,566      24,368 SH        SOLE         2       24,368
ASSURANT INC               EQUITY   04621X108      5,291,438     152,491 SH        SOLE         2      152,491
ASTEC INDUSTRIES INC       EQUITY   46224101         499,750      18,022 SH        SOLE         2       18,022
ASTORIA FINANCIAL CORP     EQUITY   46265104       3,416,415     248,286 SH        SOLE         2      248,286
AT&T INC                   COM      00206R102    2119050.962  87600.2878 SHRS      DEFINED      3                       87600.2878
AT&T INC                   COM      00206R102    3009459.402 124409.2353 SHRS      DEFINED      4                      124409.2353
AT+T INC                   EQUITY   00206R102     65,676,939   2,715,045 SH        SOLE         2    2,715,045
ATC TECHNOLOGY CORP        EQUITY   00211W104        293,916      18,233 SH        SOLE         2       18,233
ATHENAHEALTH INC           EQUITY   04685W103        667,935      25,562 SH        SOLE         2       25,562
ATLAS AIR WORLDWIDE HOLDIN EQUITY   49164205         947,435      19,946 SH        SOLE         2       19,946
ATLAS ENERGY INC           EQUITY   49298102       4,911,608     181,441 SH        SOLE         2      181,441
ATMEL CORP                 EQUITY   49513104       4,925,362   1,026,117 SH        SOLE         2    1,026,117
ATMI INC                   EQUITY   00207R101        418,323      28,574 SH        SOLE         2       28,574
ATMOS ENERGY CORP          EQUITY   49560105       5,622,562     207,935 SH        SOLE         2      207,935
ATP OIL + GAS CORPORATION  EQUITY   00208J108        363,788      34,352 SH        SOLE         2       34,352
ATS MED INC                COM      2083103         370678.9       93370 SHRS      DEFINED      4                            93370
ATWOOD OCEANICS INC        EQUITY   50095108       3,227,795     126,481 SH        SOLE         2      126,481
AUTODESK INC               EQUITY   52769106       2,754,288     113,066 SH        SOLE         2      113,066
AUTOMATIC DATA PROCESSING  EQUITY   53015103      11,278,275     280,136 SH        SOLE         2      280,136
AUTONATION INC             EQUITY   05329W102        588,647      30,187 SH        SOLE         2       30,187
AUXILIUM PHARMACEUTICALS I EQUITY   05334D107        756,865      32,207 SH        SOLE         2       32,207
AVAGO TECHNOLOGIES LTD     EQUITY   Y0486S104     16,841,598     799,696 SH        SOLE         2      799,696
AVALONBAY COMMUNITIES INC  EQUITY   53484101       3,451,235      36,963 SH        SOLE         2       36,963
AVERY DENNISON CORP        EQUITY   53611109       1,220,908      37,999 SH        SOLE         2       37,999
AVID TECHNOLOGY INC        EQUITY   05367P100        335,486      26,354 SH        SOLE         2       26,354
AVIS BUDGET GROUP INC      EQUITY   53774105         778,638      79,291 SH        SOLE         2       79,291
AVISTA CORP                EQUITY   05379B107        973,258      49,834 SH        SOLE         2       49,834
AVNET INC                  EQUITY   53807103       8,171,940     338,944 SH        SOLE         2      338,944
AVON PRODUCTS INC          EQUITY   54303102       5,096,745     192,330 SH        SOLE         2      192,330
AZZ INC                    EQUITY   2474104          414,141      11,263 SH        SOLE         2       11,263
B+G FOODS INC CLASS A      EQUITY   05508R106      5,315,877     493,124 SH        SOLE         2      493,124
BADGER METER INC           EQUITY   56525108         526,996      13,621 SH        SOLE         2       13,621
BAIDU INC   SPON ADR       EQUITY   56752108       2,040,153      29,967 SH        SOLE         2       29,967
BAKER HUGHES INC           EQUITY   57224107       5,691,099     136,904 SH        SOLE         2      136,904
BALCHEM CORP               EQUITY   57665200         639,775      25,591 SH        SOLE         2       25,591
BALDOR ELECTRIC            EQUITY   57741100       1,510,561      41,867 SH        SOLE         2       41,867
BALL CORP                  EQUITY   58498106       2,122,551      40,177 SH        SOLE         2       40,177
BALLY TECHNOLOGIES INC     EQUITY   05874B107      3,983,938     122,999 SH        SOLE         2      122,999
BANCO LATINOAMERICANO COME EQUITY   P16994132        265,800      21,281 SH        SOLE         2       21,281
BANCORPSOUTH INC           EQUITY   59692103       2,935,950     164,203 SH        SOLE         2      164,203
BANK MUTUAL CORP           EQUITY   63750103         234,550      41,294 SH        SOLE         2       41,294
BANK OF AMERICA CORP       EQUITY   60505104      75,251,063   5,236,678 SH        SOLE         2    5,236,678
BANK OF AMERICA
CORPORATION                COM      60505104     290592.4952  20222.1639 SHRS      DEFINED      3                       20222.1639
BANK OF AMERICA
CORPORATION                COM      60505104     1015475.225  70666.3344 SHRS      DEFINED      4                       70666.3344
BANK OF HAWAII CORP        EQUITY   62540109       5,181,283     107,162 SH        SOLE         2      107,162
BANK OF NEW YORK MELLON CO EQUITY   64058100      13,207,224     534,922 SH        SOLE         2      534,922
BANK OF THE OZARKS         EQUITY   63904106         420,461      11,854 SH        SOLE         2       11,854
BARCLAYS BK PLC            COM      06740C527       415240.8       13309 SHRS      DEFINED      3                            13309
BARNES + NOBLE INC         EQUITY   67774109       6,938,446     537,864 SH        SOLE         2      537,864
BARNES GROUP INC           EQUITY   67806109       2,982,226     181,954 SH        SOLE         2      181,954
BARRICK GOLD CORP          COM      67901108       616894.85       13585 SHRS      DEFINED      3                            13585
BAXTER INTERNATIONAL INC   EQUITY   71813109       7,752,039     190,749 SH        SOLE         2      190,749
BB+T CORP                  EQUITY   54937107       8,330,114     316,614 SH        SOLE         2      316,614
BE AEROSPACE INC           EQUITY   73302101       5,798,243     228,008 SH        SOLE         2      228,008
BEACON ROOFING SUPPLY INC  EQUITY   73685109         633,926      35,179 SH        SOLE         2       35,179





                                                                                     
BEAZER HOMES USA INC       EQUITY   07556Q105        209,393      57,684 SH        SOLE         2       57,684
BECKMAN COULTER INC        EQUITY   75811109       9,434,300     156,482 SH        SOLE         2      156,482
BECTON DICKINSON AND CO    EQUITY   75887109       5,670,681      83,861 SH        SOLE         2       83,861
BED BATH + BEYOND INC      EQUITY   75896100       4,755,176     128,241 SH        SOLE         2      128,241
BELDEN INC                 EQUITY   77454106         933,746      42,443 SH        SOLE         2       42,443
BELO CORPORATION A         EQUITY   80555105         400,798      70,439 SH        SOLE         2       70,439
BEMIS COMPANY              EQUITY   81437105       1,014,579      37,577 SH        SOLE         2       37,577
BENCHMARK ELECTRONICS INC  EQUITY   08160H101        907,032      57,226 SH        SOLE         2       57,226
BENEFICIAL MUTUAL BANCORP  EQUITY   08173R104        264,824      26,804 SH        SOLE         2       26,804
BERKSHIRE HATHAWAY INC CL  EQUITY   84670702      42,179,439     529,294 SH        SOLE         2      529,294
BERKSHIRE HATHAWAY INC DEL COM      84670702      1851676.84       23236 SHRS      DEFINED      4                            23236
BERKSHIRE HILLS BANCORP IN EQUITY   84680107         211,105      10,837 SH        SOLE         2       10,837
BERRY PETROLEUM CO CLASS A EQUITY   85789105       1,015,657      39,489 SH        SOLE         2       39,489
BEST BUY CO INC            EQUITY   86516101       4,649,080     137,303 SH        SOLE         2      137,303
BGC PARTNERS INC CL A      EQUITY   05541T101        225,050      44,041 SH        SOLE         2       44,041
BIG 5 SPORTING GOODS CORP  EQUITY   08915P101        259,725      19,766 SH        SOLE         2       19,766
BIG LOTS INC               EQUITY   89302103         875,576      27,285 SH        SOLE         2       27,285
BILL BARRETT CORP          EQUITY   06846N104      3,743,909     121,674 SH        SOLE         2      121,674
BIO RAD LABORATORIES CL A  EQUITY   90572207       3,733,600      43,168 SH        SOLE         2       43,168
BIO REFERENCE LABS INC     EQUITY   09057G602        481,976      21,740 SH        SOLE         2       21,740
BIOGEN IDEC INC            EQUITY   09062X103      4,840,517     102,013 SH        SOLE         2      102,013
BIOMED REALTY TRUST INC    EQUITY   09063H107      1,658,187     103,057 SH        SOLE         2      103,057
BJ S RESTAURANTS INC       EQUITY   09180C106        477,806      20,246 SH        SOLE         2       20,246
BJ S WHOLESALE CLUB INC    EQUITY   05548J106      4,447,344     120,166 SH        SOLE         2      120,166
BLACK BOX CORP             EQUITY   91826107         444,427      15,935 SH        SOLE         2       15,935
BLACK HILLS CORP           EQUITY   92113109       3,324,043     116,756 SH        SOLE         2      116,756
BLACKBAUD INC              EQUITY   09227Q100        885,625      40,681 SH        SOLE         2       40,681
BLACKBOARD INC             EQUITY   91935502         984,243      26,366 SH        SOLE         2       26,366
BLACKROCK CORPOR HI
YLD III                    COM      09255M104      238898.16       36867 SHRS      DEFINED      4                            36867
BLACKROCK ENHANCED DIV
ACHV                       COM      09251A104     809279.647 103753.8009 SHRS      DEFINED      4                      103753.8009
BLACKROCK GLOBAL OPP
EQTY TR                    COM      92501105       297825.31       18533 SHRS      DEFINED      4                            18533
BLACKROCK INTL GRWTH &
INC T                      COM      92524107     248828.2572  28340.3482 SHRS      DEFINED      4                       28340.3482
BLACKROCK KELSO CAPITAL CO EQUITY   92533108         432,533      43,823 SH        SOLE         2       43,823
BLACKROCK MUNI INTER DR
FD I                       COM      09253X102       233452.8       16212 SHRS      DEFINED      4                            16212
BLACKROCK SR HIGH
INCOME FD                  COM      09255T109       341091.8       89761 SHRS      DEFINED      4                            89761
BLOUNT INTERNATIONAL INC   EQUITY   95180105         379,415      36,944 SH        SOLE         2       36,944
BLUE COAT SYSTEMS INC      EQUITY   09534T508        774,501      37,910 SH        SOLE         2       37,910
BLUE NILE INC              EQUITY   09578R103        551,260      11,709 SH        SOLE         2       11,709
BMC SOFTWARE INC           EQUITY   55921100       2,545,444      73,504 SH        SOLE         2       73,504
BOB EVANS FARMS            EQUITY   96761101       2,236,456      90,839 SH        SOLE         2       90,839
BOB EVANS FARMS INC        COM      96761101        275497.8       11190 SHRS      DEFINED      3                            11190
BOEING CO                  EQUITY   97023105      27,333,900     435,600 SH        SOLE         2      435,600
BOISE INC                  EQUITY   09746Y105        297,212      54,137 SH        SOLE         2       54,137
BORGWARNER INC             EQUITY   99724106       9,789,913     262,183 SH        SOLE         2      262,183
BOSTON PRIVATE FINL HOLDIN EQUITY   101119105        407,694      63,405 SH        SOLE         2       63,405
BOSTON PROPERTIES INC      EQUITY   101121101      4,535,940      63,582 SH        SOLE         2       63,582
BOSTON SCIENTIFIC CORP     EQUITY   101137107      4,154,372     716,271 SH        SOLE         2      716,271
BOTTOMLINE TECHNOLOGIES IN EQUITY   101388106        274,685      21,081 SH        SOLE         2       21,081
BOWNE + CO INC             EQUITY   103043105        408,408      36,400 SH        SOLE         2       36,400
BOYD GAMING CORP           EQUITY   103304101      1,387,699     163,451 SH        SOLE         2      163,451
BP PLC                     COM      55622104     640221.5321  22168.3356 SHRS      DEFINED      4                       22168.3356
BPZ RESOURCES INC          EQUITY   55639108         312,068      75,197 SH        SOLE         2       75,197
BRADY CORPORATION   CL A   EQUITY   104674106      1,117,014      44,824 SH        SOLE         2       44,824
BRE PROPERTIES INC         EQUITY   5.56E+109      5,127,029     138,831 SH        SOLE         2      138,831
BRIDGEPOINT EDUCATION INC  EQUITY   10807M105        237,956      15,051 SH        SOLE         2       15,051
BRIGGS + STRATTON          EQUITY   109043109        773,406      45,441 SH        SOLE         2       45,441
BRIGHAM EXPLORATION CO     EQUITY   109178103     11,064,387     719,401 SH        SOLE         2      719,401
BRIGHTPOINT INC            EQUITY   109473405        447,685      63,955 SH        SOLE         2       63,955
BRINK S CO/THE             EQUITY   109696104      2,717,351     142,793 SH        SOLE         2      142,793
BRINKER INTERNATIONAL INC  EQUITY   109641100      3,304,602     228,534 SH        SOLE         2      228,534
BRISTOL MYERS SQUIBB CO    COM      110122108    737053.7803  29553.0786 SHRS      DEFINED      4                       29553.0786
BRISTOL MYERS SQUIBB CO    EQUITY   110122108     29,832,280   1,196,162 SH        SOLE         2    1,196,162
BRISTOW GROUP INC          EQUITY   110394103        959,057      32,621 SH        SOLE         2       32,621
BROADCOM CORP CL A         EQUITY   111320107     21,431,819     650,040 SH        SOLE         2      650,040





                                                                                     
BROADRIDGE FINANCIAL SOLUT EQUITY   11133T103      5,778,513     303,334 SH        SOLE         2      303,334
BROADWIND ENERGY INC       EQUITY   11161T108        200,164      71,487 SH        SOLE         2       71,487
BROOKLINE BANCORP INC      EQUITY   11373M107        475,746      53,575 SH        SOLE         2       53,575
BROOKS AUTOMATION INC      EQUITY   114340102        456,062      58,999 SH        SOLE         2       58,999
BROWN + BROWN INC          EQUITY   115236101      5,033,035     262,959 SH        SOLE         2      262,959
BROWN FORMAN CORP CLASS B  EQUITY   115637209      2,108,697      36,846 SH        SOLE         2       36,846
BROWN SHOE COMPANY INC     EQUITY   115736100        598,305      39,414 SH        SOLE         2       39,414
BRUKER CORP                EQUITY   116794108        682,067      56,091 SH        SOLE         2       56,091
BRUNSWICK CORP             EQUITY   117043109        998,887      80,361 SH        SOLE         2       80,361
BRUSH ENGINEERED MATERIALS EQUITY   117421107        367,732      18,405 SH        SOLE         2       18,405
BUCKEYE TECHNOLOGIES INC   EQUITY   118255108        354,439      35,622 SH        SOLE         2       35,622
BUCKLE INC/THE             EQUITY   118440106        766,538      23,644 SH        SOLE         2       23,644
BUCYRUS INTERNATIONAL INC  EQUITY   118759109      8,553,290     180,259 SH        SOLE         2      180,259
BUFFALO WILD WINGS INC     EQUITY   119848109        602,838      16,480 SH        SOLE         2       16,480
BURGER KING HOLDINGS INC   EQUITY   121208201      3,459,930     205,459 SH        SOLE         2      205,459
C.H. ROBINSON WORLDWIDE IN EQUITY   12541W209      5,400,189      97,021 SH        SOLE         2       97,021
CA INC                     EQUITY   12673P105      3,175,178     172,564 SH        SOLE         2      172,564
CABELA S INC               EQUITY   126804301        516,874      36,554 SH        SOLE         2       36,554
CABOT CORP                 EQUITY   127055101      3,519,313     145,969 SH        SOLE         2      145,969
CABOT MICROELECTRONICS COR EQUITY   12709P103        742,094      21,454 SH        SOLE         2       21,454
CABOT OIL + GAS CORP       EQUITY   127097103      5,000,363     159,654 SH        SOLE         2      159,654
CACI INTERNATIONAL INC  CL EQUITY   127190304      1,165,736      27,442 SH        SOLE         2       27,442
CADENCE DESIGN SYS INC     EQUITY   127387108      3,484,926     601,887 SH        SOLE         2      601,887
CAL DIVE INTERNATIONAL INC COM      12802T101      2,188,433     399,349 SHRS      SOLE         1      399,349
CAL DIVE INTERNATIONAL INC EQUITY   12802T101        425,599      72,752 SH        SOLE         2       72,752
CAL MAINE FOODS INC        EQUITY   128030202      3,594,775     112,583 SH        SOLE         2      112,583
CALAMOS CONV & HIGH
INCOME F                   COM      12811P108        1924692      160391 SHRS      DEFINED      3                           160391
CALAMOS CONV & HIGH
INCOME F                   COM      12811P108    1194394.094  99532.8412 SHRS      DEFINED      4                       99532.8412
CALAMOS CONV OPP AND
INC FD                     COM      128117108    566780.0224  47310.5194 SHRS      DEFINED      4                       47310.5194
CALGON CARBON CORP         EQUITY   129603106        674,287      50,928 SH        SOLE         2       50,928
CALIFORNIA PIZZA KITCHEN I EQUITY   13054D109        276,336      18,240 SH        SOLE         2       18,240
CALIFORNIA WATER SERVICE G EQUITY   130788102        543,211      15,216 SH        SOLE         2       15,216
CALLAWAY GOLF COMPANY      EQUITY   131193104        353,050      58,452 SH        SOLE         2       58,452
CAMDEN PROPERTY TRUST      EQUITY   133131102      6,004,133     146,980 SH        SOLE         2      146,980
CAMERON INTERNATIONAL CORP EQUITY   13342B105      3,374,113     103,755 SH        SOLE         2      103,755
CAMPBELL SOUP CO           EQUITY   134429109      2,281,368      63,672 SH        SOLE         2       63,672
CAPELLA EDUCATION CO       EQUITY   139594105      1,214,311      14,927 SH        SOLE         2       14,927
CAPITAL ONE FINANCIAL CORP EQUITY   14040H105      8,061,572     200,039 SH        SOLE         2      200,039
CAPLEASE INC               EQUITY   140288101        203,601      44,165 SH        SOLE         2       44,165
CAPSTEAD MORTGAGE CORP     EQUITY   14067E506        598,921      54,152 SH        SOLE         2       54,152
CARBO CERAMICS INC         EQUITY   140781105      1,251,341      17,334 SH        SOLE         2       17,334
CARDINAL FINANCIAL CORP    EQUITY   14149F109        204,989      22,185 SH        SOLE         2       22,185
CARDINAL HEALTH INC        EQUITY   14149Y108      5,713,599     169,997 SH        SOLE         2      169,997
CARDTRONICS INC            EQUITY   14161H108        269,736      20,813 SH        SOLE         2       20,813
CAREER EDUCATION CORP      EQUITY   141665109      3,397,315     147,581 SH        SOLE         2      147,581
CAREFUSION CORP            EQUITY   14170T101      1,540,467      67,862 SH        SOLE         2       67,862
CARLISLE COS INC           EQUITY   142339100      4,907,719     135,835 SH        SOLE         2      135,835
CARMAX INC                 EQUITY   143130102      1,497,415      75,247 SH        SOLE         2       75,247
CARNIVAL CORP              EQUITY   143658300      6,111,262     202,092 SH        SOLE         2      202,092
CARPENTER TECHNOLOGY       EQUITY   144285103      3,213,893      97,895 SH        SOLE         2       97,895
CARRIZO OIL + GAS INC      EQUITY   144577103        373,201      24,031 SH        SOLE         2       24,031
CARTER S INC               EQUITY   146229109      5,453,858     207,766 SH        SOLE         2      207,766
CASEY S GENERAL STORES INC EQUITY   147528103      1,612,904      46,215 SH        SOLE         2       46,215
CASH AMERICA INTL INC      EQUITY   14754D100        919,019      26,817 SH        SOLE         2       26,817
CASTLE (A.M.) + CO         EQUITY   148411101        210,656      15,166 SH        SOLE         2       15,166
CATALYST HEALTH SOLUTIONS  EQUITY   14888B103      1,193,321      34,589 SH        SOLE         2       34,589
CATALYST HEALTH
SOLUTIONS INC              COM      14888B103        740,763      18,041 SHRS      SOLE         1       18,041
CATERPILLAR INC            EQUITY   149123101     20,671,108     344,117 SH        SOLE         2      344,117
CATERPILLAR INC DEL        COM      149123101      875159.83       14569 SHRS      DEFINED      3                            14569
CATERPILLAR INC DEL        COM      149123101    972267.4482  16185.5743 SHRS      DEFINED      4                       16185.5743
CATHAY GENERAL BANCORP     EQUITY   149150104      2,417,613     234,038 SH        SOLE         2      234,038
CATO CORP CLASS A          EQUITY   149205106        561,730      25,510 SH        SOLE         2       25,510
CAVIUM NETWORKS INC        EQUITY   14965A101        897,322      34,262 SH        SOLE         2       34,262
CB RICHARD ELLIS GROUP INC EQUITY   12497T101      1,782,856     130,996 SH        SOLE         2      130,996





                                                                                     
CBEYOND INC                EQUITY   149847105        304,813      24,385 SH        SOLE         2       24,385
CBIZ INC                   EQUITY   124805102        216,520      34,044 SH        SOLE         2       34,044
CBL + ASSOCIATES PROPERTIE EQUITY   124830100      1,326,465     106,629 SH        SOLE         2      106,629
CBS CORP CLASS B NON VOTIN EQUITY   124857202      3,017,164     233,346 SH        SOLE         2      233,346
CDC SOFTWARE CORP ADR      EQUITY   12507Y108      2,933,389     375,594 SH        SOLE         2      375,594
CEC ENTERTAINMENT INC      EQUITY   125137109        703,296      19,946 SH        SOLE         2       19,946
CEDAR SHOPPING CENTERS INC EQUITY   150602209        298,640      49,608 SH        SOLE         2       49,608
CELADON GROUP INC          EQUITY   150838100        217,572      15,387 SH        SOLE         2       15,387
CELERA CORP                EQUITY   1.51E+110        414,759      63,322 SH        SOLE         2       63,322
CELGENE CORP               EQUITY   151020104     24,053,767     473,313 SH        SOLE         2      473,313
CEMEX SAB DE CV            COM      151290889      268690.62       27786 SHRS      DEFINED      4                            27786
CENTENE CORP               EQUITY   15135B101      4,936,121     229,587 SH        SOLE         2      229,587
CENTERPOINT ENERGY INC     EQUITY   15189T107      3,936,656     299,138 SH        SOLE         2      299,138
CENTRAL FD CDA LTD         COM      153501101      245625.93       16299 SHRS      DEFINED      3                            16299
CENTRAL GARDEN AND PET CO  EQUITY   153527205        470,503      52,453 SH        SOLE         2       52,453
CENTRAL VERMONT PUBLIC SER EQUITY   155771108        214,396      10,861 SH        SOLE         2       10,861
CENTURY ALUMINUM COMPANY   EQUITY   156431108        503,460      57,017 SH        SOLE         2       57,017
CENTURYLINK INC            EQUITY   156700106     18,590,378     558,102 SH        SOLE         2      558,102
CENVEO INC                 EQUITY   15670S105        232,851      42,491 SH        SOLE         2       42,491
CEPHALON INC               EQUITY   156708109      1,709,707      30,127 SH        SOLE         2       30,127
CEPHEID INC                EQUITY   15670R107        735,078      45,885 SH        SOLE         2       45,885
CERADYNE INC               EQUITY   156710105        493,519      23,094 SH        SOLE         2       23,094
CERNER CORP                EQUITY   156782104      2,108,907      27,789 SH        SOLE         2       27,789
CEVA INC                   EQUITY   157210105        204,158      16,203 SH        SOLE         2       16,203
CF INDUSTRIES HOLDINGS INC EQUITY   125269100      1,525,592      24,044 SH        SOLE         2       24,044
CH ENERGY GROUP INC        EQUITY   12541M102        563,212      14,353 SH        SOLE         2       14,353
CHARLES RIVER LABORATORIES EQUITY   159864107      5,052,646     147,695 SH        SOLE         2      147,695
CHARMING SHOPPES           EQUITY   161133103        335,565      89,484 SH        SOLE         2       89,484
CHART INDUSTRIES INC       EQUITY   16115Q308        345,113      22,151 SH        SOLE         2       22,151
CHECK POINT SOFTWARE TECH  EQUITY   M22465104      1,880,883      63,802 SH        SOLE         2       63,802
CHECKPOINT SYSTEMS INC     EQUITY   162825103        622,148      35,838 SH        SOLE         2       35,838
CHEESECAKE FACTORY INC/THE EQUITY   163072101      4,007,980     180,053 SH        SOLE         2      180,053
CHEMED CORP                EQUITY   16359R103      1,132,523      20,727 SH        SOLE         2       20,727
CHEMICAL FINANCIAL CORP    EQUITY   163731102        410,705      18,857 SH        SOLE         2       18,857
CHESAPEAKE ENERGY CORP     COM      165167107    320889.0571  15316.9001 SHRS      DEFINED      4                       15316.9001
CHESAPEAKE ENERGY CORP     EQUITY   165167107      6,247,541     298,212 SH        SOLE         2      298,212
CHEVRON CORP               EQUITY   166764100     67,879,272   1,000,284 SH        SOLE         2    1,000,284
CHEVRON CORP NEW           COM      166764100    737816.0475  10872.6208 SHRS      DEFINED      3                       10872.6208
CHEVRON CORP NEW           COM      166764100    2944962.262  43397.6166 SHRS      DEFINED      4                       43397.6166
CHICO S FAS INC            EQUITY   168615102      6,955,174     703,965 SH        SOLE         2      703,965
CHILDREN S PLACE           EQUITY   168905107      1,108,424      25,180 SH        SOLE         2       25,180
CHIPOTLE MEXICAN GRILL INC EQUITY   169656105      9,586,140      70,069 SH        SOLE         2       70,069
CHIQUITA BRANDS INTL       EQUITY   170032809        421,155      34,663 SH        SOLE         2       34,663
CHRISTOPHER + BANKS CORP   EQUITY   171046105        201,163      32,498 SH        SOLE         2       32,498
CHUBB CORP                 EQUITY   171232101      7,957,741     159,123 SH        SOLE         2      159,123
CHURCH + DWIGHT CO INC     EQUITY   171340102      9,894,509     157,782 SH        SOLE         2      157,782
CIENA CORP                 EQUITY   171779309      2,614,286     206,174 SH        SOLE         2      206,174
CIGNA CORP                 EQUITY   125509109      4,102,995     132,099 SH        SOLE         2      132,099
CIMAREX ENERGY CO          EQUITY   171798101     13,372,361     186,817 SH        SOLE         2      186,817
CINCINNATI BELL INC        EQUITY   171871106      1,804,630     599,545 SH        SOLE         2      599,545
CINCINNATI FINANCIAL CORP  EQUITY   172062101      2,208,962      85,387 SH        SOLE         2       85,387
CINEMARK HOLDINGS INC      EQUITY   17243V102        578,035      43,957 SH        SOLE         2       43,957
CINTAS CORP                EQUITY   172908105      1,342,656      56,014 SH        SOLE         2       56,014
CIRCOR INTERNATIONAL INC   EQUITY   17273K109        396,337      15,494 SH        SOLE         2       15,494
CIRRUS LOGIC INC           EQUITY   172755100        799,448      50,566 SH        SOLE         2       50,566
CISCO SYS INC              COM      17275R102      816194.31       38301 SHRS      DEFINED      3                            38301
CISCO SYS INC              COM      17275R102      844195.65       39615 SHRS      DEFINED      4                            39615
CISCO SYSTEMS INC          EQUITY   17275R102     83,483,928   3,917,594 SH        SOLE         2    3,917,594
CITI TRENDS INC            EQUITY   17306X102        377,394      11,457 SH        SOLE         2       11,457
CITIGROUP INC              COM      172967101    455875.4386 121243.4677 SHRS      DEFINED      3                      121243.4677
CITIGROUP INC              COM      172967101     1431138.72      380622 SHRS      DEFINED      4                           380622
CITIGROUP INC              EQUITY   172967101     40,119,268  10,670,018 SH        SOLE         2   10,670,018
CITIZENS REPUBLIC BANCORP  EQUITY   174420109        258,907     304,596 SH        SOLE         2      304,596
CITRIX SYSTEMS INC         EQUITY   177376100      3,413,493      80,831 SH        SOLE         2       80,831





                                                                                     
CITY HOLDING CO            EQUITY   177835105        398,991      14,311 SH        SOLE         2       14,311
CITY NATIONAL CORP         EQUITY   178566105      4,989,392      97,392 SH        SOLE         2       97,392
CKE RESTAURANTS INC        EQUITY   1.26E+109        628,304      50,144 SH        SOLE         2       50,144
CKX INC                    EQUITY   12562M106        214,121      42,910 SH        SOLE         2       42,910
CLARCOR INC                EQUITY   179895107      1,626,354      45,787 SH        SOLE         2       45,787
CLAYMORE EXCHANGE
TRADED FD                  COM      18383M506         652533       37828 SHRS      DEFINED      3                            37828
CLEAN ENERGY FUELS CORP    EQUITY   184499101        462,109      30,931 SH        SOLE         2       30,931
CLEAN HARBORS INC          EQUITY   184496107      4,537,131      68,320 SH        SOLE         2       68,320
CLEARWATER PAPER CORP      EQUITY   18538R103        570,544      10,419 SH        SOLE         2       10,419
CLECO CORPORATION          EQUITY   12561W105      4,776,750     180,869 SH        SOLE         2      180,869
CLIFFS NATURAL RESOURCES I EQUITY   18683K101      3,082,378      65,360 SH        SOLE         2       65,360
CLOROX COMPANY             EQUITY   189054109      4,535,318      72,962 SH        SOLE         2       72,962
CLOUD PEAK ENERGY INC      EQUITY   18911Q102        322,656      24,333 SH        SOLE         2       24,333
CME GROUP INC              EQUITY   12572Q105      8,451,568      30,018 SH        SOLE         2       30,018
CMS ENERGY CORP            EQUITY   125896100      1,159,679      79,159 SH        SOLE         2       79,159
CNA SURETY CORP            EQUITY   12612L108        219,388      13,652 SH        SOLE         2       13,652
CNO FINANCIAL GROUP INC    EQUITY   1.26E+107        848,989     171,513 SH        SOLE         2      171,513
COACH INC                  EQUITY   189754104     21,436,210     586,490 SH        SOLE         2      586,490
COCA COLA CO               COM      191216100    1009921.263  20150.0651 SHRS      DEFINED      3                       20150.0651
COCA COLA CO               COM      191216100     911897.474  18194.2832 SHRS      DEFINED      4                       18194.2832
COCA COLA CO/THE           EQUITY   191216100     52,087,060   1,039,247 SH        SOLE         2    1,039,247
COCA COLA ENTERPRISES      EQUITY   191219104      2,857,814     110,511 SH        SOLE         2      110,511
COEUR D ALENE MINES CORP   EQUITY   192108504      1,073,024      67,999 SH        SOLE         2       67,999
COGDELL SPENCER INC        EQUITY   19238U107        224,466      33,205 SH        SOLE         2       33,205
COGENT COMMUNICATIONS GROU EQUITY   19239V302        262,594      34,643 SH        SOLE         2       34,643
COGENT INC                 EQUITY   19239Y108      4,084,314     453,309 SH        SOLE         2      453,309
COGNEX CORP                EQUITY   192422103        633,056      36,010 SH        SOLE         2       36,010
COGNIZANT TECH SOLUTIONS A EQUITY   192446102     10,413,581     208,022 SH        SOLE         2      208,022
COHEN & STEERS
INFRASTRUCTUR              COM      19248A109    319150.0922  25229.2563 SHRS      DEFINED      4                       25229.2563
COHEN & STEERS QUALITY
RLTY                       COM      19247L106      405164.31       64007 SHRS      DEFINED      4                            64007
COHEN + STEERS INC         EQUITY   19247A100        279,658      13,484 SH        SOLE         2       13,484
COHERENT INC               EQUITY   192479103        669,399      19,516 SH        SOLE         2       19,516
COHU INC                   EQUITY   192576106        259,412      21,386 SH        SOLE         2       21,386
COINSTAR INC               EQUITY   19259P300      1,237,149      28,791 SH        SOLE         2       28,791
COLDWATER CREEK INC        EQUITY   193068103        587,839     174,952 SH        SOLE         2      174,952
COLGATE PALMOLIVE CO       EQUITY   194162103     17,664,608     224,284 SH        SOLE         2      224,284
COLLECTIVE BRANDS INC      EQUITY   19421W100      3,054,677     193,334 SH        SOLE         2      193,334
COLONIAL PROPERTIES TRUST  EQUITY   195872106        924,326      63,615 SH        SOLE         2       63,615
COLUMBIA BANKING SYSTEM IN EQUITY   197236102        651,170      35,661 SH        SOLE         2       35,661
COLUMBUS MCKINNON CORP/NY  EQUITY   199333105        206,309      14,768 SH        SOLE         2       14,768
COMCAST CORP CLASS A       EQUITY   20030N101     17,167,831     988,361 SH        SOLE         2      988,361
COMERICA INC               EQUITY   200340107      2,844,823      77,242 SH        SOLE         2       77,242
COMFORT SYSTEMS USA INC    EQUITY   199908104        333,309      34,504 SH        SOLE         2       34,504
COMMERCE BANCSHARES INC    EQUITY   200525103      5,900,237     163,941 SH        SOLE         2      163,941
COMMERCIAL METALS CO       EQUITY   201723103      3,370,307     254,940 SH        SOLE         2      254,940
COMMSCOPE INC              EQUITY   203372107      5,012,309     210,867 SH        SOLE         2      210,867
COMMUNITY BANK SYSTEM INC  EQUITY   203607106        662,442      30,070 SH        SOLE         2       30,070
COMMUNITY HEALTH SYSTEMS I EQUITY   203668108      7,150,409     211,488 SH        SOLE         2      211,488
COMMUNITY TRUST BANCORP IN EQUITY   204149108        265,081      10,561 SH        SOLE         2       10,561
COMMVAULT SYSTEMS INC      EQUITY   204166102        881,708      39,187 SH        SOLE         2       39,187
COMPASS DIVERSIFIED HOLDIN EQUITY   20451Q104        342,612      25,549 SH        SOLE         2       25,549
COMPELLENT TECHNOLOGIES IN EQUITY   20452A108        255,574      21,087 SH        SOLE         2       21,087
COMPLETE PRODUCTION SERVIC EQUITY   2.05E+113        858,601      60,042 SH        SOLE         2       60,042
COMPUTER SCIENCES CORP     EQUITY   205363104      2,397,571      52,985 SH        SOLE         2       52,985
COMPUWARE CORP             EQUITY   205638109        611,699      76,654 SH        SOLE         2       76,654
COMSCORE INC               EQUITY   20564W105        343,630      20,864 SH        SOLE         2       20,864
COMSTOCK RESOURCES INC     EQUITY   205768203      2,922,630     105,434 SH        SOLE         2      105,434
COMTECH TELECOMMUNICATIONS EQUITY   205826209        773,840      25,855 SH        SOLE         2       25,855
CON WAY INC                EQUITY   205944101      3,607,383     120,166 SH        SOLE         2      120,166
CONAGRA FOODS INC          EQUITY   205887102      4,244,497     182,011 SH        SOLE         2      182,011
CONCEPTUS INC              EQUITY   206016107        373,406      23,967 SH        SOLE         2       23,967
CONCHO RESOURCES INC       EQUITY   20605P101      4,700,671      84,957 SH        SOLE         2       84,957
CONCUR TECHNOLOGIES INC    EQUITY   206708109      1,577,581      36,963 SH        SOLE         2       36,963
CONMED CORP                EQUITY   207410101        493,490      26,489 SH        SOLE         2       26,489





                                                                                     
CONOCOPHILLIPS             COM      20825C104    937807.9278  19103.8486 SHRS      DEFINED      4                       19103.8486
CONOCOPHILLIPS             EQUITY   20825C104     33,047,928     673,211 SH        SOLE         2      673,211
CONSOL ENERGY INC          EQUITY   20854P109      2,594,524      76,852 SH        SOLE         2       76,852
CONSOLIDATED COMMUNICATION EQUITY   209034107        327,136      19,232 SH        SOLE         2       19,232
CONSOLIDATED EDISON INC    EQUITY   209115104      4,189,018      97,193 SH        SOLE         2       97,193
CONSTANT CONTACT INC       EQUITY   210313102        469,708      22,021 SH        SOLE         2       22,021
CONSTELLATION BRANDS INC A EQUITY   21036P108      1,029,780      65,927 SH        SOLE         2       65,927
CONSTELLATION ENERGY GROUP EQUITY   210371100      2,226,637      69,043 SH        SOLE         2       69,043
CONVERGYS CORP             EQUITY   212485106      2,702,518     275,486 SH        SOLE         2      275,486
COOPER TIRE + RUBBER       EQUITY   216831107      6,297,135     322,930 SH        SOLE         2      322,930
COPART INC                 EQUITY   217204106      5,378,877     150,206 SH        SOLE         2      150,206
CORELOGIC INC              EQUITY   21871D103      4,104,078     232,394 SH        SOLE         2      232,394
CORINTHIAN COLLEGES INC    EQUITY   218868107      2,587,221     262,662 SH        SOLE         2      262,662
CORN PRODUCTS INTL INC     EQUITY   219023108      5,090,582     168,006 SH        SOLE         2      168,006
CORNING INC                COM      219350105    893786.9096  55342.8427 SHRS      DEFINED      4                       55342.8427
CORNING INC                EQUITY   219350105     18,788,377   1,163,367 SH        SOLE         2    1,163,367
CORPORATE EXECUTIVE BOARD  EQUITY   21988R102      2,683,769     102,161 SH        SOLE         2      102,161
CORPORATE OFFICE PROPERTIE EQUITY   22002T108      4,965,969     131,514 SH        SOLE         2      131,514
CORRECTIONS CORP OF AMERIC EQUITY   22025Y407      4,842,733     253,812 SH        SOLE         2      253,812
COSTAR GROUP INC           EQUITY   22160N109        619,985      15,979 SH        SOLE         2       15,979
COSTCO WHOLESALE CORP      EQUITY   22160K105      9,017,287     164,459 SH        SOLE         2      164,459
COUSINS PROPERTIES INC     EQUITY   222795106      1,991,555     295,483 SH        SOLE         2      295,483
COVANCE INC                EQUITY   222816100      7,388,489     143,969 SH        SOLE         2      143,969
COVENTRY HEALTH CARE INC   EQUITY   222862104      1,030,196      58,269 SH        SOLE         2       58,269
COVIDIEN PLC               EQUITY   G2554F105      1,225,490      30,500 SH        SOLE         2       30,500
CR BARD INC                EQUITY   67383109       2,491,814      32,140 SH        SOLE         2       32,140
CRACKER BARREL OLD COUNTRY EQUITY   22410J106      1,005,370      21,593 SH        SOLE         2       21,593
CRANE CO                   EQUITY   224399105      3,189,693     105,584 SH        SOLE         2      105,584
CREE RESEARCH INC          EQUITY   225447101     14,367,820     239,344 SH        SOLE         2      239,344
CROCS INC                  EQUITY   227046109        823,960      77,879 SH        SOLE         2       77,879
CROSS COUNTRY HEALTHCARE I EQUITY   227483104        253,077      28,151 SH        SOLE         2       28,151
CSG SYSTEMS INTL INC       EQUITY   126349109        566,672      30,915 SH        SOLE         2       30,915
CSX CORP                   EQUITY   126408103      8,936,427     180,061 SH        SOLE         2      180,061
CTS CORP                   EQUITY   126501105        285,054      30,850 SH        SOLE         2       30,850
CUBIC CORP                 EQUITY   229669106        518,233      14,245 SH        SOLE         2       14,245
CUBIST PHARMACEUTICALS INC EQUITY   229678107      1,091,903      53,005 SH        SOLE         2       53,005
CULLEN/FROST BANKERS INC   EQUITY   229899109      6,936,841     134,958 SH        SOLE         2      134,958
CUMMINS INC                EQUITY   231021106      6,052,336      92,927 SH        SOLE         2       92,927
CURTISS WRIGHT CORP        EQUITY   231561101      1,208,645      41,620 SH        SOLE         2       41,620
CVB FINANCIAL CORP         EQUITY   126600105        659,025      69,371 SH        SOLE         2       69,371
CVS CAREMARK CORP          EQUITY   126650100     34,254,204   1,168,288 SH        SOLE         2    1,168,288
CYBERONICS INC             EQUITY   23251P102        584,801      24,696 SH        SOLE         2       24,696
CYBERSOURCE CORP           EQUITY   23251J106      1,643,928      64,392 SH        SOLE         2       64,392
CYMER INC                  EQUITY   232572107        820,332      27,308 SH        SOLE         2       27,308
CYPRESS SEMICONDUCTOR CORP EQUITY   232806109        252,536      25,153 SH        SOLE         2       25,153
CYTEC INDUSTRIES INC       EQUITY   232820100      4,369,907     109,275 SH        SOLE         2      109,275
DAKTRONICS INC             EQUITY   234264109        230,715      30,762 SH        SOLE         2       30,762
DANA HOLDING CORP          EQUITY   235825205      1,081,050     108,105 SH        SOLE         2      108,105
DANAHER CORP               EQUITY   235851102     12,699,123     342,110 SH        SOLE         2      342,110
DANVERS BANCORP INC        EQUITY   236442109        210,248      14,550 SH        SOLE         2       14,550
DARDEN RESTAURANTS INC     EQUITY   237194105      1,844,287      47,472 SH        SOLE         2       47,472
DARLING INTERNATIONAL INC  EQUITY   237266101        561,876      74,817 SH        SOLE         2       74,817
DAVITA INC                 EQUITY   23918K108      2,185,150      34,996 SH        SOLE         2       34,996
DCT INDUSTRIAL TRUST INC   EQUITY   233153105        737,140     163,084 SH        SOLE         2      163,084
DEALERTRACK HOLDINGS INC   EQUITY   242309102        602,004      36,596 SH        SOLE         2       36,596
DEAN FOODS CO              EQUITY   242370104        714,164      70,920 SH        SOLE         2       70,920
DECKERS OUTDOOR CORP       EQUITY   243537107      1,672,722      11,708 SH        SOLE         2       11,708
DEERE + CO                 EQUITY   244199105     11,367,239     204,153 SH        SOLE         2      204,153
DEL MONTE FOODS CO         COM      24522P103      309111.59       21481 SHRS      DEFINED      3                            21481
DELL INC                   EQUITY   24702R101      9,835,774     815,570 SH        SOLE         2      815,570
DELPHI FINANCIAL GROUP CL  EQUITY   247131105      1,053,584      43,162 SH        SOLE         2       43,162
DELUXE CORP                EQUITY   248019101      2,869,688     153,050 SH        SOLE         2      153,050
DENBURY RESOURCES INC      EQUITY   247916208      2,571,604     175,656 SH        SOLE         2      175,656
DENDREON CORP              COM      24823Q107      489831.83       15151 SHRS      DEFINED      4                            15151





                                                                                     
DENTSPLY INTERNATIONAL INC EQUITY   249030107      1,720,752      57,531 SH        SOLE         2       57,531
DEUTSCHE BK AG LDN BRH     COM      25154H749      417787.42       12436 SHRS      DEFINED      3                            12436
DEVON ENERGY CORPORATION   EQUITY   25179M103     15,088,909     247,684 SH        SOLE         2      247,684
DEVRY INC                  EQUITY   251893103      1,098,931      20,936 SH        SOLE         2       20,936
DEX ONE CORP               EQUITY   25212W100        733,951      38,629 SH        SOLE         2       38,629
DEXCOM INC                 EQUITY   252131107        512,813      44,361 SH        SOLE         2       44,361
DG FASTCHANNEL INC         EQUITY   23326R109      5,733,852     175,993 SH        SOLE         2      175,993
DIAMOND FOODS INC          EQUITY   252603105        813,739      19,799 SH        SOLE         2       19,799
DIAMOND OFFSHORE DRILLING  EQUITY   25271C102      2,310,607      37,154 SH        SOLE         2       37,154
DIAMONDROCK HOSPITALITY CO EQUITY   252784301      1,151,318     140,063 SH        SOLE         2      140,063
DICK S SPORTING GOODS INC  EQUITY   253393102      5,003,338     201,018 SH        SOLE         2      201,018
DIEBOLD INC                EQUITY   253651103      4,008,421     147,098 SH        SOLE         2      147,098
DIGITAL RIVER INC          EQUITY   25388B104      2,823,795     118,101 SH        SOLE         2      118,101
DIGITALGLOBE INC           EQUITY   25389M877        560,216      21,301 SH        SOLE         2       21,301
DILLARDS INC CL A          EQUITY   254067101        762,713      35,475 SH        SOLE         2       35,475
DIME COMMUNITY BANCSHARES  EQUITY   253922108        296,894      24,079 SH        SOLE         2       24,079
DINEEQUITY INC             EQUITY   254423106        444,738      15,929 SH        SOLE         2       15,929
DIODES INC                 EQUITY   254543101        490,986      30,938 SH        SOLE         2       30,938
DIONEX CORP                EQUITY   254546104      1,191,062      15,996 SH        SOLE         2       15,996
DIRECTV CLASS A            EQUITY   25490A101     14,614,636     430,856 SH        SOLE         2      430,856
DISCOVER FINANCIAL SERVICE EQUITY   254709108      7,921,529     566,633 SH        SOLE         2      566,633
DISCOVERY COMMUNICATIONS A EQUITY   25470F104      1,141,077      31,954 SH        SOLE         2       31,954
DISCOVERY COMMUNICATIONS C EQUITY   25470F302      2,791,587      90,255 SH        SOLE         2       90,255
DISH NETWORK CORP A        EQUITY   25470M109        314,866      17,348 SH        SOLE         2       17,348
DOLAN CO/THE               EQUITY   25659P402      4,702,815     422,915 SH        SOLE         2      422,915
DOLE FOOD CO INC           EQUITY   256603101        289,255      27,733 SH        SOLE         2       27,733
DOLLAR FINANCIAL CORP      EQUITY   256664103        371,894      18,792 SH        SOLE         2       18,792
DOLLAR THRIFTY AUTOMOTIVE  EQUITY   256743105        942,661      22,123 SH        SOLE         2       22,123
DOLLAR TREE INC            EQUITY   256746108     11,791,760     283,252 SH        SOLE         2      283,252
DOMINION RES INC VA NEW    COM      25746U109      395070.52       10198 SHRS      DEFINED      4                            10198
DOMINION RESOURCES INC/VA  EQUITY   25746U109      7,401,587     191,058 SH        SOLE         2      191,058
DOMINO S PIZZA INC         EQUITY   25754A201        322,773      28,564 SH        SOLE         2       28,564
DONALDSON CO INC           EQUITY   257651109      7,327,014     171,794 SH        SOLE         2      171,794
DOVER CORP                 EQUITY   260003108      2,652,495      63,472 SH        SOLE         2       63,472
DOW CHEMICAL               EQUITY   260543103      8,781,476     370,214 SH        SOLE         2      370,214
DPL INC                    EQUITY   233293109      6,346,765     265,555 SH        SOLE         2      265,555
DR HORTON INC              EQUITY   23331A109        937,880      95,410 SH        SOLE         2       95,410
DR PEPPER SNAPPLE GROUP IN EQUITY   2.61E+113      4,065,340     108,728 SH        SOLE         2      108,728
DREAMWORKS ANIMATION SKG A EQUITY   26153C103      4,828,976     169,141 SH        SOLE         2      169,141
DRESS BARN INC             EQUITY   261570105      4,246,633     178,355 SH        SOLE         2      178,355
DREW INDUSTRIES INC        EQUITY   26168L205        348,753      17,265 SH        SOLE         2       17,265
DREYFUS STRATEGIC
MUN BD FD                  COM      26202F107    661007.8247  80709.1361 SHRS      DEFINED      4                       80709.1361
DRIL QUIP INC              EQUITY   262037104      1,334,862      30,324 SH        SOLE         2       30,324
DRUGSTORE.COM INC          EQUITY   262241102        220,716      71,661 SH        SOLE         2       71,661
DST SYS INC DEL            COM      233326107      587311.14       16251 SHRS      DEFINED      4                            16251
DST SYSTEMS INC            EQUITY   233326107      2,968,576      82,141 SH        SOLE         2       82,141
DSW INC CLASS A            EQUITY   23334L102        245,218      10,918 SH        SOLE         2       10,918
DTE ENERGY COMPANY         EQUITY   233331107      2,646,429      58,023 SH        SOLE         2       58,023
DTS INC                    EQUITY   23335C101        518,754      15,782 SH        SOLE         2       15,782
DU PONT (E.I.) DE NEMOURS  EQUITY   263534109     23,822,617     688,714 SH        SOLE         2      688,714
DUFF + PHELPS CORP CLASS A EQUITY   26433B107        266,000      21,061 SH        SOLE         2       21,061
DUKE ENERGY CORP           EQUITY   26441C105      6,734,448     420,903 SH        SOLE         2      420,903
DUKE REALTY CORP           COM      264411505         257645       22700 SHRS      DEFINED      4                            22700
DUKE REALTY CORP           EQUITY   264411505      6,260,478     551,584 SH        SOLE         2      551,584
DUN + BRADSTREET CORP      EQUITY   2.65E+104      1,140,503      16,992 SH        SOLE         2       16,992
DUPONT FABROS TECHNOLOGY   EQUITY   26613Q106        776,906      31,633 SH        SOLE         2       31,633
DYCOM INDUSTRIES INC       EQUITY   267475101        300,079      35,097 SH        SOLE         2       35,097
DYNCORP INTERNATIONAL INC  EQUITY   26817C101        209,434      11,954 SH        SOLE         2       11,954
DYNEGY INC                 EQUITY   26817G300      1,164,575     302,487 SH        SOLE         2      302,487
E M C CORP MASS            COM      268648102       265148.7       14489 SHRS      DEFINED      4                            14489
E TRADE FINANCIAL CORP     EQUITY   269246401        812,294      68,722 SH        SOLE         2       68,722
EAGLE BULK SHIPPING INC    EQUITY   Y2187A101        202,484      47,982 SH        SOLE         2       47,982
EARTHLINK INC              EQUITY   270321102        663,450      83,348 SH        SOLE         2       83,348
EAST WEST BANCORP INC      EQUITY   27579R104      5,027,666     329,683 SH        SOLE         2      329,683





                                                                                     
EASTGROUP PROPERTIES INC   EQUITY   277276101        869,718      24,444 SH        SOLE         2       24,444
EASTMAN CHEMICAL COMPANY   EQUITY   277432100      1,948,600      36,518 SH        SOLE         2       36,518
EASTMAN KODAK CO           EQUITY   277461109      1,370,047     315,679 SH        SOLE         2      315,679
EATON CORP                 EQUITY   278058102      3,764,632      57,528 SH        SOLE         2       57,528
EATON VANCE CALIF
MUN BD FD                  COM      27828A100    218682.3902  17339.2317 SHRS      DEFINED      4                       17339.2317
EATON VANCE CORP           EQUITY   278265103      7,289,951     264,033 SH        SOLE         2      264,033
EATON VANCE MUN BD FD      COM      27827X101      287549.24       21604 SHRS      DEFINED      3                            21604
EATON VANCE MUNI INCOME
TRUS                       COM      27826U108      403443.28       32800 SHRS      DEFINED      3                            32800
EATON VANCE TX MNG BY
WRT OP                     COM      27828Y108    1844757.808 141252.5121 SHRS      DEFINED      3                      141252.5121
EATON VANCE TX MNG BY
WRT OP                     COM      27828Y108    501247.3266  38380.3466 SHRS      DEFINED      4                       38380.3466
EATON VANCE TXMGD GL
BUYWR O                    COM      27829C105       268927.9       23990 SHRS      DEFINED      3                            23990
EBAY INC                   EQUITY   278642103     10,558,887     538,444 SH        SOLE         2      538,444
EBIX INC                   EQUITY   278715206        391,686      24,980 SH        SOLE         2       24,980
ECLIPSYS CORP              EQUITY   278856109        930,249      52,144 SH        SOLE         2       52,144
ECOLAB INC                 EQUITY   278865100      4,398,351      97,937 SH        SOLE         2       97,937
EDISON INTERNATIONAL       EQUITY   281020107      3,561,268     112,272 SH        SOLE         2      112,272
EDUCATION REALTY TRUST INC EQUITY   28140H104        265,121      43,967 SH        SOLE         2       43,967
EDWARDS LIFESCIENCES CORP  EQUITY   2.82E+112     14,136,591     252,349 SH        SOLE         2      252,349
EHEALTH INC                EQUITY   28238P109        242,875      21,361 SH        SOLE         2       21,361
EL PASO CORP               EQUITY   28336L109      5,020,909     451,927 SH        SOLE         2      451,927
EL PASO ELECTRIC CO        EQUITY   283677854        768,795      39,731 SH        SOLE         2       39,731
ELDORADO GOLD CORP NEW     COM      284902103      287844.92       16027 SHRS      DEFINED      4                            16027
ELECTRO SCIENTIFIC INDS IN EQUITY   285229100        335,416      25,106 SH        SOLE         2       25,106
ELECTRONIC ARTS INC        EQUITY   285512109      1,876,133     130,287 SH        SOLE         2      130,287
ELECTRONICS FOR IMAGING    EQUITY   286082102        340,948      34,969 SH        SOLE         2       34,969
ELI LILLY + CO             EQUITY   532457108     34,665,164   1,034,781 SH        SOLE         2    1,034,781
ELIZABETH ARDEN INC        EQUITY   28660G106        272,323      18,755 SH        SOLE         2       18,755
EMC CORP/MASS              EQUITY   268648102     27,588,879   1,507,589 SH        SOLE         2    1,507,589
EMCOR GROUP INC            EQUITY   29084Q100      1,394,556      60,188 SH        SOLE         2       60,188
EMERGENT BIOSOLUTIONS INC  EQUITY   29089Q105        276,064      16,895 SH        SOLE         2       16,895
EMERITUS CORP              EQUITY   291005106        251,419      15,415 SH        SOLE         2       15,415
EMERSON ELECTRIC CO        EQUITY   291011104     14,287,941     327,030 SH        SOLE         2      327,030
EMPIRE DISTRICT ELECTRIC C EQUITY   291641108        581,926      31,003 SH        SOLE         2       31,003
EMPLOYERS HOLDINGS INC     EQUITY   292218104        571,377      38,790 SH        SOLE         2       38,790
EMS TECHNOLOGIES INC       EQUITY   26873N108        208,748      13,898 SH        SOLE         2       13,898
EMULEX CORP                EQUITY   292475209        575,090      62,646 SH        SOLE         2       62,646
ENCORE CAPITAL GROUP INC   EQUITY   292554102        221,805      10,762 SH        SOLE         2       10,762
ENCORE WIRE CORP           EQUITY   292562105        306,629      16,857 SH        SOLE         2       16,857
ENDO PHARMACEUT HLDGS INC  EQUITY   29264F205      5,664,254     259,590 SH        SOLE         2      259,590
ENERGEN CORP               EQUITY   29265N108      7,116,073     160,525 SH        SOLE         2      160,525
ENERGIZER HOLDINGS INC     EQUITY   29266R108      7,862,837     156,381 SH        SOLE         2      156,381
ENERGY CONVERSION
DEVICES IN                 COM      292659109       247619.5       60395 SHRS      DEFINED      3                            60395
ENERGY INCOME & GROWTH FD  COM      292697109      340551.25       14339 SHRS      DEFINED      4                            14339
ENERGY PARTNERS LTD        EQUITY   29270U105        545,543      44,680 SH        SOLE         2       44,680
ENERGY TRANSFER PRTNRS L P COM      29273R109    492695.8898  10618.4459 SHRS      DEFINED      3                       10618.4459
ENERGY TRANSFER PRTNRS L P COM      29273R109    1073598.031  23137.8886 SHRS      DEFINED      4                       23137.8886
ENERGY XXI BERMUDA         EQUITY   G10082140        617,061      39,104 SH        SOLE         2       39,104
ENERGYSOLUTIONS INC DEP SH EQUITY   292756202        347,907      68,351 SH        SOLE         2       68,351
ENERNOC INC                COM      292764107        399,383      11,954 SHRS      SOLE         1       11,954
ENERNOC INC                EQUITY   292764107        478,265      15,212 SH        SOLE         2       15,212
ENERSYS                    EQUITY   29275Y102        796,695      37,281 SH        SOLE         2       37,281
ENNIS INC                  EQUITY   293389102        300,215      20,001 SH        SOLE         2       20,001
ENPRO INDUSTRIES INC       EQUITY   29355X107        525,335      18,662 SH        SOLE         2       18,662
ENTEGRIS INC               EQUITY   29362U104      7,643,489   1,925,312 SH        SOLE         2    1,925,312
ENTERGY CORP               EQUITY   29364G103     18,084,050     252,500 SH        SOLE         2      252,500
ENTERPRISE PRODS
PARTNERS L                 COM      293792107    763084.1794  21574.3336 SHRS      DEFINED      4                       21574.3336
ENTERTAINMENT PROPERTIES T EQUITY   29380T105      1,606,478      42,198 SH        SOLE         2       42,198
ENTROPIC COMMUNICATIONS IN EQUITY   29384R105        274,535      43,302 SH        SOLE         2       43,302
ENTROPIC COMMUNICATIONS
INC                        COM      29384R105        515,534      62,717 SHRS      SOLE         1       62,717
ENZON PHARMACEUTICALS INC  EQUITY   293904108        407,373      38,251 SH        SOLE         2       38,251
EOG RESOURCES INC          EQUITY   26875P101     10,745,152     109,232 SH        SOLE         2      109,232
EPICOR SOFTWARE CORP       EQUITY   29426L108      1,208,016     151,191 SH        SOLE         2      151,191
EPIQ SYSTEMS INC           EQUITY   26882D109        384,616      29,746 SH        SOLE         2       29,746
EQT CORP                   EQUITY   26884L109      3,184,368      88,112 SH        SOLE         2       88,112





                                                                                     
EQUIFAX INC                EQUITY   294429105      1,221,789      43,542 SH        SOLE         2       43,542
EQUINIX INC                COM      29444U502      6,791,015      72,015 SHRS      SOLE         1       72,015
EQUINIX INC                EQUITY   29444U502     24,330,101     299,558 SH        SOLE         2      299,558
EQUITY LIFESTYLE PROPERTIE EQUITY   29472R108        974,150      20,198 SH        SOLE         2       20,198
EQUITY ONE INC             EQUITY   294752100      1,650,730     105,816 SH        SOLE         2      105,816
EQUITY RESIDENTIAL         EQUITY   29476L107      5,326,839     127,926 SH        SOLE         2      127,926
ERESEARCH TECHNOLOGY INC   EQUITY   29481V108        342,252      43,433 SH        SOLE         2       43,433
ESCO TECHNOLOGIES INC      EQUITY   296315104        618,206      24,008 SH        SOLE         2       24,008
ESSEX PROPERTY TRUST INC   EQUITY   297178105      6,550,104      67,153 SH        SOLE         2       67,153
ESTEE LAUDER COMPANIES CL  EQUITY   518439104      2,879,513      51,669 SH        SOLE         2       51,669
ESTERLINE TECHNOLOGIES COR EQUITY   297425100      1,285,990      27,102 SH        SOLE         2       27,102
ETHAN ALLEN INTERIORS INC  EQUITY   297602104        316,076      22,593 SH        SOLE         2       22,593
EURONET WORLDWIDE INC      EQUITY   298736109        484,306      37,866 SH        SOLE         2       37,866
EV3 INC                    EQUITY   26928A200      1,437,826      64,160 SH        SOLE         2       64,160
EVERCORE PARTNERS INC CL A EQUITY   29977A105        282,255      12,088 SH        SOLE         2       12,088
EVEREST RE GROUP LTD       EQUITY   G3223R108      9,300,670     131,514 SH        SOLE         2      131,514
EW SCRIPPS CO CL A         EQUITY   811054402        211,978      28,530 SH        SOLE         2       28,530
EXAR CORP                  EQUITY   300645108        233,908      33,753 SH        SOLE         2       33,753
EXCO RESOURCES INC         COM      269279402     57,423,140   3,760,520 SHRS      SOLE         1    3,760,520
EXELIXIS INC               EQUITY   30161Q104        290,980      83,856 SH        SOLE         2       83,856
EXELON CORP                EQUITY   30161N101     10,723,715     282,426 SH        SOLE         2      282,426
EXIDE TECHNOLOGIES         EQUITY   302051206        303,560      58,377 SH        SOLE         2       58,377
EXLSERVICE HOLDINGS INC    EQUITY   302081104        201,438      11,732 SH        SOLE         2       11,732
EXPEDIA INC                EQUITY   30212P105      2,225,561     118,507 SH        SOLE         2      118,507
EXPEDITORS INTL WASH INC   EQUITY   302130109      4,613,918     133,698 SH        SOLE         2      133,698
EXPONENT INC               EQUITY   30214U102        411,160      12,566 SH        SOLE         2       12,566
EXPRESS INC                EQUITY   3.02E+107        201,989      12,339 SH        SOLE         2       12,339
EXPRESS SCRIPTS INC        EQUITY   302182100     27,425,732     583,278 SH        SOLE         2      583,278
EXTERRAN HOLDINGS INC      EQUITY   30225X103      3,636,035     140,877 SH        SOLE         2      140,877
EXTRA SPACE STORAGE INC    EQUITY   30225T102      1,100,296      79,158 SH        SOLE         2       79,158
EXXON MOBIL CORP           COM      30231G102    1430418.654  25064.2834 SHRS      DEFINED      3                       25064.2834
EXXON MOBIL CORP           COM      30231G102    6624600.583 116078.5103 SHRS      DEFINED      4                      116078.5103
EXXON MOBIL CORP           EQUITY   30231G102    105,394,707   1,846,762 SH        SOLE         2    1,846,762
EZCORP INC CL A            EQUITY   302301106        784,906      42,313 SH        SOLE         2       42,313
F5 NETWORKS INC            EQUITY   315616102     12,236,248     178,449 SH        SOLE         2      178,449
FACTSET RESEARCH SYSTEMS I EQUITY   303075105      6,199,456      92,543 SH        SOLE         2       92,543
FAIR ISAAC CORP            EQUITY   303250104      2,964,835     136,064 SH        SOLE         2      136,064
FAIRCHILD SEMICON INTERNAT EQUITY   303726103      2,358,282     280,414 SH        SOLE         2      280,414
FAMILY DOLLAR STORES       EQUITY   307000109      1,722,169      45,693 SH        SOLE         2       45,693
FARO TECHNOLOGIES INC      EQUITY   311642102        274,027      14,646 SH        SOLE         2       14,646
FASTENAL CO                EQUITY   311900104      3,713,307      73,985 SH        SOLE         2       73,985
FBL FINANCIAL GROUP INC CL EQUITY   30239F106        217,644      10,364 SH        SOLE         2       10,364
FEDERAL REALTY INVS TRUST  EQUITY   313747206      9,609,774     136,755 SH        SOLE         2      136,755
FEDERAL SIGNAL CORP        EQUITY   313855108      3,712,643     614,676 SH        SOLE         2      614,676
FEDERATED INVESTORS INC CL EQUITY   314211103        623,992      30,130 SH        SOLE         2       30,130
FEDEX CORP                 EQUITY   31428X106      7,040,166     100,416 SH        SOLE         2      100,416
FEI COMPANY                EQUITY   30241L109        679,483      34,474 SH        SOLE         2       34,474
FELCOR LODGING TRUST INC   EQUITY   31430F101        252,150      50,531 SH        SOLE         2       50,531
FERRO CORP                 EQUITY   315405100        490,252      66,520 SH        SOLE         2       66,520
FIDELITY NATIONAL FINL A   EQUITY   31620R105      6,661,428     512,812 SH        SOLE         2      512,812
FIDELITY NATIONAL INFORMAT EQUITY   31620M106      4,027,801     150,179 SH        SOLE         2      150,179
FIDUCIARY CLAYMORE MLP
OPP F                      COM      31647Q106     1528849.56       79133 SHRS      DEFINED      3                            79133
FIFTH STREET FINANCE CORP  EQUITY   31678A103      5,024,970     455,573 SH        SOLE         2      455,573
FIFTH THIRD BANCORP        EQUITY   316773100      3,364,842     273,787 SH        SOLE         2      273,787
FINISAR CORP               EQUITY   31787A101        866,793      58,174 SH        SOLE         2       58,174
FINISH LINE/THE   CL A     EQUITY   317923100      4,077,506     292,714 SH        SOLE         2      292,714
FIRST AMERICAN FINANCIAL   EQUITY   31847R102      3,916,167     308,846 SH        SOLE         2      308,846
FIRST CASH FINL SVCS INC   EQUITY   31942D107        586,333      26,896 SH        SOLE         2       26,896
FIRST COMMONWEALTH FINL CO EQUITY   319829107        404,150      76,981 SH        SOLE         2       76,981
FIRST FINANCIAL BANCORP    EQUITY   320209109        768,669      51,416 SH        SOLE         2       51,416
FIRST FINL BANKSHARES INC  EQUITY   32020R109        911,450      18,953 SH        SOLE         2       18,953
FIRST HORIZON NATIONAL COR EQUITY   320517105        906,448      79,166 SH        SOLE         2       79,166
FIRST INDUSTRIAL REALTY TR EQUITY   32054K103        235,500      48,859 SH        SOLE         2       48,859
FIRST MIDWEST BANCORP INC/ EQUITY   320867104        817,371      67,218 SH        SOLE         2       67,218





                                                                                     
FIRST NIAGARA FINANCIAL GR EQUITY   33582V108      5,846,698     466,616 SH        SOLE         2      466,616
FIRST POTOMAC REALTY TRUST EQUITY   33610F109        411,198      28,615 SH        SOLE         2       28,615
FIRST SOLAR INC            EQUITY   336433107      3,331,804      29,270 SH        SOLE         2       29,270
FIRST TR ABERDEEN GLBL
OPP F                      COM      337319107     1136803.89  70828.9028 SHRS      DEFINED      4                       70828.9028
FIRST TR EXCHANGE
TRADED FD                  COM      3.37E+207       368235.3       11917 SHRS      DEFINED      3                            11917
FIRST TR EXCHANGE
TRADED FD                  COM      3.37E+306      276731.61       11586 SHRS      DEFINED      3                            11586
FIRST TR EXCHANGE
TRADED FD                  COM      33734X101      268007.04       18207 SHRS      DEFINED      3                            18207
FIRST TR EXCHANGE
TRADED FD                  COM      33734X168      279263.56       15277 SHRS      DEFINED      3                            15277
FIRST TR EXCHANGE
TRADED FD                  COM      33734X176      386026.56       22761 SHRS      DEFINED      3                            22761
FIRST TR EXCHANGE
TRADED FD                  COM      33734X143      555929.96       25478 SHRS      DEFINED      3                            25478
FIRST TR EXCHANGE
TRADED FD                  COM      3.37E+306    2284624.135       95651 SHRS      DEFINED      4                            95651
FIRST TR EXCHANGE
TRADED FD                  COM      33734X101      213749.12       14521 SHRS      DEFINED      4                            14521
FIRST TR EXCHANGE
TRADED FD                  COM      33734X135      224656.38       18582 SHRS      DEFINED      4                            18582
FIRST TR EXCHANGE
TRADED FD                  COM      33734X168      200677.84       10978 SHRS      DEFINED      4                            10978
FIRST TR ISE REVERE
NAT GAS                    COM      33734J102    595830.5808  39251.0264 SHRS      DEFINED      3                       39251.0264
FIRST TR ISE REVERE NAT
GAS                        COM      33734J102     2405635.32      158474 SHRS      DEFINED      4                           158474
FIRST TR NASDAQ100 TECH
INDE                       COM      337345102      202793.28       10389 SHRS      DEFINED      4                            10389
FIRSTENERGY CORP           EQUITY   337932107      3,698,234     104,974 SH        SOLE         2      104,974
FIRSTMERIT CORP            EQUITY   337915102      5,502,653     321,229 SH        SOLE         2      321,229
FISERV INC                 EQUITY   337738108      2,871,740      62,894 SH        SOLE         2       62,894
FLAGSTONE REINSURANCE HOLD EQUITY   L3466T104        435,213      40,223 SH        SOLE         2       40,223
FLAHERTY & CRMN/CLYMR PFD
SE                         COM      338478100      608669.88       38920 SHRS      DEFINED      4                            38920
FLAHERTY & CRUMRINE
PFD INC                    COM      338480106      2241004.7      198319 SHRS      DEFINED      3                           198319
FLEXTRONICS INTL LTD       EQUITY   Y2573F102      1,543,282     275,586 SH        SOLE         2      275,586
FLIR SYSTEMS INC           EQUITY   302445101      1,776,468      61,068 SH        SOLE         2       61,068
FLOW INTL CORP             EQUITY   343468104      2,505,829   1,061,792 SH        SOLE         2    1,061,792
FLOWERS FOODS INC          EQUITY   343498101      4,198,442     171,856 SH        SOLE         2      171,856
FLOWSERVE CORP             EQUITY   34354P105      2,374,654      28,003 SH        SOLE         2       28,003
FLUOR CORP                 EQUITY   343412102      2,613,835      61,502 SH        SOLE         2       61,502
FLUSHING FINANCIAL CORP    EQUITY   343873105        294,290      24,063 SH        SOLE         2       24,063
FMC CORP                   EQUITY   302491303      1,414,041      24,622 SH        SOLE         2       24,622
FMC TECHNOLOGIES INC       EQUITY   30249U101      3,046,381      57,850 SH        SOLE         2       57,850
FNB CORP                   EQUITY   302520101        709,515      88,358 SH        SOLE         2       88,358
FOOT LOCKER INC            EQUITY   344849104      4,412,684     349,658 SH        SOLE         2      349,658
FORCE PROTECTION INC       EQUITY   345203202        222,523      54,274 SH        SOLE         2       54,274
FORD MOTOR CO              EQUITY   345370860     10,991,907   1,090,467 SH        SOLE         2    1,090,467
FORD MTR CO DEL            COM      345370860    546992.2866  54265.1078 SHRS      DEFINED      3                       54265.1078
FORD MTR CO DEL            COM      345370860    1631210.714 161826.4597 SHRS      DEFINED      4                      161826.4597
FOREST LABORATORIES INC    EQUITY   345838106      2,849,812     103,894 SH        SOLE         2      103,894
FOREST OIL CORP            EQUITY   346091705      6,858,331     250,670 SH        SOLE         2      250,670
FORESTAR GROUP INC         EQUITY   346233109        593,650      33,054 SH        SOLE         2       33,054
FORMFACTOR INC             EQUITY   346375108        417,085      38,619 SH        SOLE         2       38,619
FORRESTER RESEARCH INC     EQUITY   346563109        401,762      13,277 SH        SOLE         2       13,277
FORTINET INC               EQUITY   3.50E+113        502,686      30,577 SH        SOLE         2       30,577
FORTUNE BRANDS INC         EQUITY   349631101      2,050,015      52,323 SH        SOLE         2       52,323
FORWARD AIR CORPORATION    EQUITY   349853101        716,811      26,305 SH        SOLE         2       26,305
FOSSIL INC                 EQUITY   349882100      3,749,404     108,052 SH        SOLE         2      108,052
FRANKLIN ELECTRIC CO INC   EQUITY   353514102        517,722      17,964 SH        SOLE         2       17,964
FRANKLIN RESOURCES INC     EQUITY   354613101      5,673,457      65,825 SH        SOLE         2       65,825
FRANKLIN STREET PROPERTIES EQUITY   35471R106        739,294      62,599 SH        SOLE         2       62,599
FRED S INC CLASS A         EQUITY   356108100        394,566      35,675 SH        SOLE         2       35,675
FREEPORT MCMORAN COPPER    EQUITY   35671D857     19,421,308     328,451 SH        SOLE         2      328,451
FRESH DEL MONTE PRODUCE IN EQUITY   G36738105        620,154      30,640 SH        SOLE         2       30,640
FRONTEER GOLD INC          EQUITY   359032109     10,297,528   1,730,677 SH        SOLE         2    1,730,677
FRONTIER COMMUNICATIONS CO EQUITY   35906A108      1,401,765     197,154 SH        SOLE         2      197,154
FRONTIER COMMUNICATIONS
CORP                       COM      35906A108    517160.4959  72737.0599 SHRS      DEFINED      4                       72737.0599
FRONTIER OIL CORP          EQUITY   35914P105      3,177,415     236,239 SH        SOLE         2      236,239
FRONTLINE LTD              EQUITY   G3682E127      3,920,996     137,386 SH        SOLE         2      137,386
FTI CONSULTING INC         EQUITY   302941109     10,547,995     241,982 SH        SOLE         2      241,982
FUEL SYSTEMS SOLUTIONS INC EQUITY   35952W103        285,943      11,019 SH        SOLE         2       11,019
FULTON FINANCIAL CORP      EQUITY   360271100      4,274,574     442,961 SH        SOLE         2      442,961
FUSHI COPPERWELD INC       EQUITY   3.61E+111      2,295,046     280,568 SH        SOLE         2      280,568
G + K SERVICES INC  CL A   EQUITY   361268105        347,870      16,846 SH        SOLE         2       16,846
G III APPAREL GROUP LTD    EQUITY   36237H101        272,460      11,903 SH        SOLE         2       11,903





                                                                                     
GABELLI GLB GLD NAT
RES & IN                   COM      36244N109    301050.4088  19211.8959 SHRS      DEFINED      3                       19211.8959
GALLAGHER, ARTHUR J & CO   COM      363576109     13,397,220     526,000 SHRS      SOLE         1      526,000
GAMESTOP CORP CLASS A      EQUITY   36467W109        986,964      52,526 SH        SOLE         2       52,526
GAMESTOP CORP NEW          COM      36467W109      372662.07       19833 SHRS      DEFINED      4                            19833
GANNETT CO                 EQUITY   364730101      1,102,536      81,912 SH        SOLE         2       81,912
GAP INC/THE                EQUITY   364760108      3,105,680     159,593 SH        SOLE         2      159,593
GARDNER DENVER INC         EQUITY   365558105      5,206,551     116,765 SH        SOLE         2      116,765
GARMIN LTD                 EQUITY   G37260109        390,283      13,375 SH        SOLE         2       13,375
GARTNER INC                EQUITY   366651107      3,141,587     135,122 SH        SOLE         2      135,122
GATX CORP                  EQUITY   361448103      2,754,310     103,235 SH        SOLE         2      103,235
GAYLORD ENTERTAINMENT CO   EQUITY   367905106        591,393      26,772 SH        SOLE         2       26,772
GEN PROBE INC              EQUITY   36866T103      5,018,774     110,497 SH        SOLE         2      110,497
GENCO SHIPPING + TRADING L EQUITY   Y2685T107        298,931      19,942 SH        SOLE         2       19,942
GENCORP INC                EQUITY   368682100        228,071      52,071 SH        SOLE         2       52,071
GENERAC HOLDINGS INC       EQUITY   368736104        208,987      14,917 SH        SOLE         2       14,917
GENERAL COMMUNICATION CL A EQUITY   369385109        324,746      42,786 SH        SOLE         2       42,786
GENERAL DYNAMICS CORP      EQUITY   369550108      9,983,836     170,489 SH        SOLE         2      170,489
GENERAL ELECTRIC CO        COM      369604103    748311.5622  51894.0057 SHRS      DEFINED      3                       51894.0057
GENERAL ELECTRIC CO        COM      369604103    2885805.618 200125.2162 SHRS      DEFINED      4                      200125.2162
GENERAL ELECTRIC CO        EQUITY   369604103     62,222,387   4,315,006 SH        SOLE         2    4,315,006
GENERAL MARITIME CORP      EQUITY   Y2693R101        238,834      39,542 SH        SOLE         2       39,542
GENERAL MILLS INC          EQUITY   370334104     10,022,607     282,168 SH        SOLE         2      282,168
GENERAL MLS INC            COM      370334104    605429.7331   17044.756 SHRS      DEFINED      4                        17044.756
GENESCO INC                EQUITY   371532102        574,374      21,831 SH        SOLE         2       21,831
GENESEE + WYOMING INC CL A EQUITY   371559105      1,117,099      29,941 SH        SOLE         2       29,941
GENOPTIX INC               EQUITY   37243V100        273,532      15,903 SH        SOLE         2       15,903
GENTEX CORP                EQUITY   371901109      5,583,186     310,522 SH        SOLE         2      310,522
GENTIVA HEALTH SERVICES    EQUITY   37247A102        699,667      25,904 SH        SOLE         2       25,904
GENUINE PARTS CO           EQUITY   372460105      4,791,439     121,456 SH        SOLE         2      121,456
GENWORTH FINANCIAL INC CL  EQUITY   37247D106      2,914,205     222,969 SH        SOLE         2      222,969
GENZYME CORP               EQUITY   372917104      5,319,122     104,769 SH        SOLE         2      104,769
GEO GROUP INC/THE          EQUITY   36159R103        926,612      44,656 SH        SOLE         2       44,656
GEOEYE INC                 EQUITY   37250W108      7,510,688     241,191 SH        SOLE         2      241,191
GEORGIA GULF CORP          EQUITY   373200203        347,427      26,044 SH        SOLE         2       26,044
GERON CORP                 EQUITY   374163103        380,657      75,828 SH        SOLE         2       75,828
GETTY REALTY CORP          EQUITY   374297109        362,213      16,163 SH        SOLE         2       16,163
GFI GROUP INC              EQUITY   361652209        286,075      51,268 SH        SOLE         2       51,268
GIBRALTAR INDUSTRIES INC   EQUITY   374689107        277,427      27,468 SH        SOLE         2       27,468
GILEAD SCIENCES INC        EQUITY   375558103     28,202,293     822,704 SH        SOLE         2      822,704
GLACIER BANCORP INC        EQUITY   37637Q105        957,496      65,269 SH        SOLE         2       65,269
GLATFELTER                 EQUITY   377316104        383,645      35,359 SH        SOLE         2       35,359
GLEACHER + CO INC          EQUITY   377341102      1,954,674     766,539 SH        SOLE         2      766,539
GLIMCHER REALTY TRUST      EQUITY   379302102        318,309      53,229 SH        SOLE         2       53,229
GLOBAL CASH ACCESS HOLDING EQUITY   378967103        280,793      38,945 SH        SOLE         2       38,945
GLOBAL CROSSING LTD        EQUITY   G3921A175        246,175      23,290 SH        SOLE         2       23,290
GLOBAL INDUSTRIES LTD      EQUITY   379336100        351,432      78,270 SH        SOLE         2       78,270
GLOBAL PAYMENTS INC        EQUITY   37940X102     11,100,340     303,786 SH        SOLE         2      303,786
GLOBE SPECIALTY METALS INC EQUITY   37954N206        489,187      47,356 SH        SOLE         2       47,356
GOLAR LNG LTD              EQUITY   G9456A100        277,140      28,079 SH        SOLE         2       28,079
GOLDCORP INC NEW           COM      380956409      481779.95       10987 SHRS      DEFINED      3                            10987
GOLDEN STAR RESOURCES LTD  EQUITY   38119T104        872,216     199,136 SH        SOLE         2      199,136
GOLDMAN SACHS GROUP INC    EQUITY   38141G104     30,132,110     229,543 SH        SOLE         2      229,543
GOODRICH CORP              EQUITY   382388106      2,834,506      42,785 SH        SOLE         2       42,785
GOODRICH PETROLEUM CORP    EQUITY   382410405        226,596      18,883 SH        SOLE         2       18,883
GOODYEAR TIRE + RUBBER CO  EQUITY   382550101        817,863      82,280 SH        SOLE         2       82,280
GOOGLE INC CL A            EQUITY   38259P508     80,230,269     180,313 SH        SOLE         2      180,313
GOVERNMENT PROPERTIES INCO EQUITY   38376A103        419,523      16,439 SH        SOLE         2       16,439
GRACO INC                  EQUITY   384109104      3,802,718     134,896 SH        SOLE         2      134,896
GRAFTECH INTERNATIONAL LTD EQUITY   384313102      1,359,602      92,996 SH        SOLE         2       92,996
GRAND CANYON EDUCATION INC EQUITY   38526M106        560,703      23,931 SH        SOLE         2       23,931
GRANITE CONSTRUCTION INC   EQUITY   387328107      2,394,337     101,541 SH        SOLE         2      101,541
GRAPHIC PACKAGING HOLDING  EQUITY   388689101        273,077      86,691 SH        SOLE         2       86,691
GREAT LAKES DREDGE + DOCK  EQUITY   390607109        271,362      45,227 SH        SOLE         2       45,227
GREAT PLAINS ENERGY INC    EQUITY   391164100      5,151,154     302,653 SH        SOLE         2      302,653





                                                                                     
GREATBATCH INC             EQUITY   39153L106        470,139      21,073 SH        SOLE         2       21,073
GREEN MOUNTAIN COFFEE ROAS EQUITY   393122106      6,026,599     234,498 SH        SOLE         2      234,498
GREENHAVEN CONT CMDTY
INDEX                      COM      395258106     1060322.76       42532 SHRS      DEFINED      3                            42532
GREENHILL + CO INC         EQUITY   395259104      2,917,918      47,733 SH        SOLE         2       47,733
GREENLIGHT CAPITAL RE LTD  EQUITY   G4095J109        550,477      21,853 SH        SOLE         2       21,853
GREIF INC CL A             EQUITY   397624107      4,261,695      76,732 SH        SOLE         2       76,732
GRIFFON CORPORATION        EQUITY   398433102        448,571      40,558 SH        SOLE         2       40,558
GROUP 1 AUTOMOTIVE INC     EQUITY   398905109        524,107      22,274 SH        SOLE         2       22,274
GSI COMMERCE INC           EQUITY   36238G102      1,381,594      47,972 SH        SOLE         2       47,972
GT SOLAR INTERNATIONAL INC EQUITY   3.62E+212        269,948      48,205 SH        SOLE         2       48,205
GUESS? INC                 EQUITY   401617105      4,075,820     130,468 SH        SOLE         2      130,468
GULF ISLAND FABRICATION IN EQUITY   402307102        201,651      12,993 SH        SOLE         2       12,993
GULFMARK OFFSHORE INC CL A EQUITY   402629208        470,997      17,977 SH        SOLE         2       17,977
GULFPORT ENERGY CORP       EQUITY   402635304        247,732      20,888 SH        SOLE         2       20,888
GYMBOREE CORP              EQUITY   403777105      6,585,412     154,189 SH        SOLE         2      154,189
H.B. FULLER CO.            EQUITY   359694106        842,966      44,390 SH        SOLE         2       44,390
H+R BLOCK INC              EQUITY   93671105      10,961,489     698,629 SH        SOLE         2      698,629
HAEMONETICS CORP/MASS      EQUITY   405024100      1,224,538      22,880 SH        SOLE         2       22,880
HAIN CELESTIAL GROUP INC   EQUITY   405217100        749,820      37,175 SH        SOLE         2       37,175
HALLIBURTON CO             EQUITY   406216101      9,720,941     395,965 SH        SOLE         2      395,965
HALOZYME THERAPEUTICS INC  EQUITY   40637H109        390,206      55,427 SH        SOLE         2       55,427
HANCOCK HOLDING CO         EQUITY   410120109        879,737      26,371 SH        SOLE         2       26,371
HANCOCK JOHN PATRIOT
PREM II                    COM      41013T105       355806.6       34883 SHRS      DEFINED      4                            34883
HANESBRANDS INC            EQUITY   410345102      5,120,642     212,828 SH        SOLE         2      212,828
HANGER ORTHOPEDIC GROUP IN EQUITY   41043F208        439,338      24,462 SH        SOLE         2       24,462
HANOVER INSURANCE GROUP IN EQUITY   410867105      4,353,306     100,076 SH        SOLE         2      100,076
HANSEN NATURAL CORPORATION EQUITY   411310105      6,181,570     158,056 SH        SOLE         2      158,056
HARLEY DAVIDSON INC        EQUITY   412822108      2,580,925     116,101 SH        SOLE         2      116,101
HARMAN INTERNATIONAL       EQUITY   413086109        856,857      28,667 SH        SOLE         2       28,667
HARMONIC INC               EQUITY   413160102        478,524      87,964 SH        SOLE         2       87,964
HARRIS CORP                EQUITY   413875105      1,827,852      43,886 SH        SOLE         2       43,886
HARSCO CORP                EQUITY   415864107      4,222,856     179,696 SH        SOLE         2      179,696
HARTE HANKS INC            EQUITY   416196103      1,193,599     114,220 SH        SOLE         2      114,220
HARTFORD FINANCIAL SVCS GR EQUITY   416515104      4,508,678     203,736 SH        SOLE         2      203,736
HASBRO INC                 EQUITY   418056107      2,234,771      54,374 SH        SOLE         2       54,374
HATTERAS FINL CORP         COM      41902R103       325633.1       11705 SHRS      DEFINED      4                            11705
HATTERAS FINL CORP         EQUITY   41902R103        783,634      28,168 SH        SOLE         2       28,168
HAVERTY FURNITURE          EQUITY   419596101        204,063      16,604 SH        SOLE         2       16,604
HAWAIIAN ELECTRIC INDS     EQUITY   419870100      4,739,060     208,036 SH        SOLE         2      208,036
HAWAIIAN HOLDINGS INC      EQUITY   419879101        206,691      39,979 SH        SOLE         2       39,979
HCC INSURANCE HOLDINGS INC EQUITY   404132102      6,357,378     256,760 SH        SOLE         2      256,760
HCP INC                    EQUITY   40414L109      4,425,410     137,222 SH        SOLE         2      137,222
HEALTH CARE REIT INC       COM      42217K106      593091.72       14081 SHRS      DEFINED      3                            14081
HEALTH CARE REIT INC       EQUITY   42217K106      1,796,713      42,657 SH        SOLE         2       42,657
HEALTH MGMT ASSOCIATES INC EQUITY   421933102      4,331,208     557,427 SH        SOLE         2      557,427
HEALTH NET INC             EQUITY   42222G108      5,407,337     221,885 SH        SOLE         2      221,885
HEALTHCARE REALTY TRUST IN EQUITY   421946104      1,242,425      56,551 SH        SOLE         2       56,551
HEALTHCARE SERVICES GROUP  EQUITY   421906108        753,300      39,752 SH        SOLE         2       39,752
HEALTHSOUTH CORP           EQUITY   421924309      1,352,321      72,278 SH        SOLE         2       72,278
HEALTHSPRING INC           EQUITY   42224N101        797,540      51,421 SH        SOLE         2       51,421
HEALTHWAYS INC             EQUITY   422245100        369,043      30,960 SH        SOLE         2       30,960
HEARTLAND EXPRESS INC      EQUITY   422347104        668,617      46,048 SH        SOLE         2       46,048
HEARTLAND PAYMENT SYSTEMS  EQUITY   42235N108        509,650      34,343 SH        SOLE         2       34,343
HECKMANN CORP              EQUITY   422680108        318,007      68,536 SH        SOLE         2       68,536
HECLA MINING CO            EQUITY   422704106        975,634     186,903 SH        SOLE         2      186,903
HEICO CORP                 EQUITY   422806109        814,127      22,665 SH        SOLE         2       22,665
HEIDRICK + STRUGGLES INTL  EQUITY   422819102        361,834      15,856 SH        SOLE         2       15,856
HEINZ H J CO               COM      423074103    488414.1276  11300.6508 SHRS      DEFINED      4                       11300.6508
HELEN OF TROY LTD          EQUITY   G4388N106        613,864      27,827 SH        SOLE         2       27,827
HELIOS HIGH YIELD FD       COM      42328Q109      415410.45       49161 SHRS      DEFINED      4                            49161
HELIX ENERGY SOLUTIONS GRO EQUITY   42330P107      3,058,195     283,955 SH        SOLE         2      283,955
HELMERICH + PAYNE          EQUITY   423452101      1,807,630      49,497 SH        SOLE         2       49,497
HENRY SCHEIN INC           EQUITY   806407102     11,459,716     208,738 SH        SOLE         2      208,738
HERCULES OFFSHORE INC      EQUITY   427093109        215,371      88,630 SH        SOLE         2       88,630





                                                                                     
HERCULES TECH GROWTH
CAP INC                    COM      427096508      756905.43       82183 SHRS      DEFINED      4                            82183
HERCULES TECHNOLOGY GROWTH EQUITY   427096508        257,834      27,995 SH        SOLE         2       27,995
HERMAN MILLER INC          EQUITY   600544100      3,203,956     169,791 SH        SOLE         2      169,791
HERSHA HOSPITALITY TRUST   EQUITY   427825104        384,403      85,045 SH        SOLE         2       85,045
HERSHEY CO/THE             EQUITY   427866108      3,872,456      80,794 SH        SOLE         2       80,794
HESS CORP                  EQUITY   42809H107      9,005,524     178,894 SH        SOLE         2      178,894
HEWITT ASSOCIATES INC CL A EQUITY   42822Q100      6,360,730     184,583 SH        SOLE         2      184,583
HEWLETT PACKARD CO         EQUITY   428236103     70,188,085   1,621,721 SH        SOLE         2    1,621,721
HEXCEL CORP                EQUITY   428291108      9,068,170     584,666 SH        SOLE         2      584,666
HHGREGG INC                EQUITY   42833L108        237,024      10,164 SH        SOLE         2       10,164
HIBBETT SPORTS INC         EQUITY   428567101        626,794      26,160 SH        SOLE         2       26,160
HIGHWOODS PROPERTIES INC   EQUITY   431284108      5,923,762     213,392 SH        SOLE         2      213,392
HILL ROM HOLDINGS INC      EQUITY   431475102      4,278,458     140,600 SH        SOLE         2      140,600
HILLENBRAND INC            EQUITY   431571108     11,649,807     544,638 SH        SOLE         2      544,638
HILLTOP HOLDINGS INC       EQUITY   432748101        306,586      30,628 SH        SOLE         2       30,628
HITTITE MICROWAVE CORP     EQUITY   43365Y104      1,075,057      24,029 SH        SOLE         2       24,029
HJ HEINZ CO                EQUITY   423074103     16,208,408     375,021 SH        SOLE         2      375,021
HMS HOLDINGS CORP          EQUITY   40425J101      1,336,415      24,648 SH        SOLE         2       24,648
HNI CORP                   EQUITY   404251100      3,719,739     134,822 SH        SOLE         2      134,822
HOLOGIC INC                EQUITY   436440101     12,932,737     928,409 SH        SOLE         2      928,409
HOME BANCSHARES INC        EQUITY   436893200        453,237      19,870 SH        SOLE         2       19,870
HOME DEPOT INC             COM      437076102    600820.8315  21404.3759 SHRS      DEFINED      4                       21404.3759
HOME DEPOT INC             EQUITY   437076102     26,913,432     958,797 SH        SOLE         2      958,797
HOME PROPERTIES INC        EQUITY   437306103      1,597,281      35,440 SH        SOLE         2       35,440
HONEYWELL INTERNATIONAL IN EQUITY   438516106      9,542,835     244,500 SH        SOLE         2      244,500
HONEYWELL INTL INC         COM      438516106    395407.4151  10130.8587 SHRS      DEFINED      4                       10130.8587
HORACE MANN EDUCATORS      EQUITY   440327104        544,818      35,609 SH        SOLE         2       35,609
HORMEL FOODS CORP          EQUITY   440452100        966,096      23,866 SH        SOLE         2       23,866
HORNBECK OFFSHORE SERVICES EQUITY   440543106        308,045      21,099 SH        SOLE         2       21,099
HORSEHEAD HOLDING CORP     EQUITY   440694305        253,026      33,469 SH        SOLE         2       33,469
HOSPIRA INC                EQUITY   441060100      4,085,844      71,120 SH        SOLE         2       71,120
HOSPITALITY PROPERTIES TRU EQUITY   44106M102      5,812,227     275,461 SH        SOLE         2      275,461
HOST HOTELS + RESORTS INC  EQUITY   44107P104      4,096,545     303,898 SH        SOLE         2      303,898
HOT TOPIC INC              EQUITY   441339108      4,437,715     873,566 SH        SOLE         2      873,566
HSN INC                    EQUITY   404303109        850,248      35,427 SH        SOLE         2       35,427
HUB GROUP INC CL A         EQUITY   443320106      1,020,100      33,992 SH        SOLE         2       33,992
HUBBELL INC  CL B          EQUITY   443510201     13,723,810     345,775 SH        SOLE         2      345,775
HUDSON CITY BANCORP INC    EQUITY   443683107      1,987,654     162,390 SH        SOLE         2      162,390
HUMANA INC                 EQUITY   444859102      3,438,768      75,296 SH        SOLE         2       75,296
HUNT (JB) TRANSPRT SVCS IN EQUITY   445658107      6,632,957     203,029 SH        SOLE         2      203,029
HUNTINGTON BANCSHARES INC  EQUITY   446150104      1,724,336     311,252 SH        SOLE         2      311,252
HUNTSMAN CORP              EQUITY   447011107      9,063,731   1,045,413 SH        SOLE         2    1,045,413
HURON CONSULTING GROUP INC EQUITY   447462102        330,048      17,004 SH        SOLE         2       17,004
IBERIABANK CORP            EQUITY   450828108      1,063,680      20,662 SH        SOLE         2       20,662
ICF INTERNATIONAL INC      EQUITY   44925C103        316,139      13,211 SH        SOLE         2       13,211
ICONIX BRAND GROUP INC     EQUITY   451055107      6,691,850     465,682 SH        SOLE         2      465,682
ICU MEDICAL INC            EQUITY   44930G107        340,616      10,588 SH        SOLE         2       10,588
IDACORP INC                EQUITY   451107106      4,769,155     143,347 SH        SOLE         2      143,347
IDEX CORP                  EQUITY   45167R104      5,169,799     180,952 SH        SOLE         2      180,952
IDEXX LABORATORIES INC     EQUITY   45168D104      7,816,028     128,342 SH        SOLE         2      128,342
IGATE CORP                 EQUITY   45169U105        234,286      18,275 SH        SOLE         2       18,275
II VI INC                  EQUITY   902104108        677,786      22,875 SH        SOLE         2       22,875
ILLINOIS TOOL WORKS        EQUITY   452308109      6,494,046     157,317 SH        SOLE         2      157,317
IMATION CORP               EQUITY   45245A107        211,315      22,994 SH        SOLE         2       22,994
IMMUCOR INC                EQUITY   452526106      3,967,601     208,273 SH        SOLE         2      208,273
IMMUNOGEN INC              EQUITY   45253H101        485,155      52,336 SH        SOLE         2       52,336
IMPAX LABORATORIES INC     EQUITY   45256B101        921,703      48,358 SH        SOLE         2       48,358
INCYTE CORP                EQUITY   45337C102      6,389,836     577,221 SH        SOLE         2      577,221
INDEPENDENT BANK CORP/MA   EQUITY   453836108        474,572      19,229 SH        SOLE         2       19,229
INDUSTRIAL SELECT SECTOR S EQUITY   81369Y704     25,918,290     944,200 SH        SOLE         2      944,200
INFINERA CORP              EQUITY   45667G103        436,687      67,914 SH        SOLE         2       67,914
INFINITY PROPERTY + CASUAL EQUITY   45665Q103        554,299      12,003 SH        SOLE         2       12,003
INFOGROUP INC              EQUITY   45670G108        239,368      29,996 SH        SOLE         2       29,996
INFORMATICA CORP           EQUITY   45666Q102      4,882,529     204,461 SH        SOLE         2      204,461





                                                                                     
INFOSPACE INC              EQUITY   45678T300        244,753      32,547 SH        SOLE         2       32,547
ING CLARION GLB RE
EST INCM                   COM      44982G104    1088298.421 169253.2537 SHRS      DEFINED      4                      169253.2537
INGRAM MICRO INC CL A      EQUITY   457153104      5,608,330     369,212 SH        SOLE         2      369,212
INLAND REAL ESTATE CORP    EQUITY   457461200        531,765      67,142 SH        SOLE         2       67,142
INNOPHOS HOLDINGS INC      EQUITY   45774N108        431,285      16,537 SH        SOLE         2       16,537
INSIGHT ENTERPRISES INC    EQUITY   45765U103        552,220      41,962 SH        SOLE         2       41,962
INSITUFORM TECHNOLOGIES CL EQUITY   457667103        729,457      35,618 SH        SOLE         2       35,618
INSPIRE PHARMACEUTICALS IN EQUITY   457733103        229,201      45,932 SH        SOLE         2       45,932
INSULET CORP               EQUITY   45784P101        441,055      29,306 SH        SOLE         2       29,306
INTEGRA LIFESCIENCES HOLDI EQUITY   457985208        705,442      19,066 SH        SOLE         2       19,066
INTEGRATED DEVICE TECH INC EQUITY   458118106      2,396,513     484,144 SH        SOLE         2      484,144
INTEGRYS ENERGY GROUP INC  EQUITY   45822P105      1,159,241      26,503 SH        SOLE         2       26,503
INTEL CORP                 COM      458140100    358495.1724  18431.6284 SHRS      DEFINED      3                       18431.6284
INTEL CORP                 COM      458140100    2660879.565 136806.1473 SHRS      DEFINED      4                      136806.1473
INTEL CORP                 EQUITY   458140100     54,352,344   2,794,465 SH        SOLE         2    2,794,465
INTERCONTINENTALEXCHANGE I EQUITY   45865V100      2,817,838      24,930 SH        SOLE         2       24,930
INTERDIGITAL INC           EQUITY   45867G101        838,448      33,959 SH        SOLE         2       33,959
INTERFACE INC CLASS A      EQUITY   458665106        500,785      46,628 SH        SOLE         2       46,628
INTERLINE BRANDS INC       EQUITY   458743101        440,411      25,472 SH        SOLE         2       25,472
INTERMEC INC               EQUITY   458786100        455,490      44,438 SH        SOLE         2       44,438
INTERMUNE INC              EQUITY   45884X103        328,232      35,105 SH        SOLE         2       35,105
INTERNATIONAL BANCSHARES C EQUITY   459044103      2,591,523     155,274 SH        SOLE         2      155,274
INTERNATIONAL COAL GROUP I EQUITY   45928H106      4,627,531   1,201,956 SH        SOLE         2    1,201,956
INTERNATIONAL PAPER CO     EQUITY   460146103      5,682,461     251,103 SH        SOLE         2      251,103
INTERNET BRANDS INC CL A   EQUITY   460608102        229,987      22,264 SH        SOLE         2       22,264
INTERNET CAPITAL GROUP INC EQUITY   46059C205        213,910      28,146 SH        SOLE         2       28,146
INTERPUBLIC GROUP OF COS I EQUITY   460690100      1,375,570     192,927 SH        SOLE         2      192,927
INTERSIL CORP  CL A        EQUITY   46069S109      3,341,367     275,918 SH        SOLE         2      275,918
INTERVAL LEISURE GROUP     EQUITY   46113M108        449,943      36,140 SH        SOLE         2       36,140
INTEVAC INC                EQUITY   461148108        215,715      20,217 SH        SOLE         2       20,217
INTL BUSINESS MACHINES COR EQUITY   459200101     77,650,028     628,847 SH        SOLE         2      628,847
INTL FLAVORS + FRAGRANCES  EQUITY   459506101      1,709,568      40,301 SH        SOLE         2       40,301
INTL GAME TECHNOLOGY       EQUITY   459902102      1,580,786     100,687 SH        SOLE         2      100,687
INTL RECTIFIER CORP        EQUITY   460254105      2,936,584     157,796 SH        SOLE         2      157,796
INTL SPEEDWAY CORP CL A    EQUITY   460335201      1,750,547      67,956 SH        SOLE         2       67,956
INTREPID POTASH INC        EQUITY   46121Y102      1,805,724      92,270 SH        SOLE         2       92,270
INTUIT INC                 EQUITY   461202103      4,458,488     128,228 SH        SOLE         2      128,228
INTUITIVE SURGICAL INC     EQUITY   46120E602      6,004,671      19,025 SH        SOLE         2       19,025
INVACARE CORP              EQUITY   461203101        556,786      26,846 SH        SOLE         2       26,846
INVENTIV HEALTH INC        EQUITY   4.61E+109        787,866      30,776 SH        SOLE         2       30,776
INVESCO LTD                EQUITY   G491BT108      8,097,300     481,123 SH        SOLE         2      481,123
INVESCO MORTGAGE CAPITAL   EQUITY   46131B100        400,860      20,033 SH        SOLE         2       20,033
INVESTMENT TECHNOLOGY GROU EQUITY   46145F105        635,382      39,563 SH        SOLE         2       39,563
INVESTORS BANCORP INC      EQUITY   46146P102        486,634      37,091 SH        SOLE         2       37,091
INVESTORS REAL ESTATE TR   COM      461730103       320705.6       36320 SHRS      DEFINED      4                            36320
INVESTORS REAL ESTATE TRUS EQUITY   461730103        511,734      57,954 SH        SOLE         2       57,954
ION GEOPHYSICAL CORP       EQUITY   462044108        400,906     115,203 SH        SOLE         2      115,203
IPC THE HOSPITALIST CO     EQUITY   44984A105        360,938      14,380 SH        SOLE         2       14,380
IPG PHOTONICS CORP         EQUITY   44980X109        305,483      20,058 SH        SOLE         2       20,058
IRIDIUM COMMUNICATIONS INC EQUITY   46269C102        264,183      26,313 SH        SOLE         2       26,313
IROBOT CORP                EQUITY   462726100        305,131      16,239 SH        SOLE         2       16,239
IRON MOUNTAIN INC          EQUITY   462846106      1,905,731      84,850 SH        SOLE         2       84,850
ISHARES COMEX GOLD TR      COM      464285105      3009762.7      247310 SHRS      DEFINED      3                           247310
ISHARES INC                COM      464286103      432193.58       22771 SHRS      DEFINED      3                            22771
ISHARES INC                COM      464286772     549843.276  12297.9932 SHRS      DEFINED      3                       12297.9932
ISHARES INC                COM      464286624      738548.17       16031 SHRS      DEFINED      3                            16031
ISHARES INC                COM      464286715       884989.6       16720 SHRS      DEFINED      3                            16720
ISHARES INC                COM      464286640     2856835.86       50394 SHRS      DEFINED      4                            50394
ISHARES INC                COM      464286624      966502.53       20979 SHRS      DEFINED      4                            20979
ISHARES INC                COM      464286715      963220.14       18198 SHRS      DEFINED      4                            18198
ISHARES RUSSELL 1000 GROWT EQUITY   464287614      8,760,024     191,100 SH        SOLE         2      191,100
ISHARES RUSSELL 2000 GROWT EQUITY   464287648      2,070,638      31,100 SH        SOLE         2       31,100
ISHARES RUSSELL MIDCAP GRO EQUITY   464287481        576,840      13,200 SH        SOLE         2       13,200
ISHARES RUSSELL MIDCAP VAL EQUITY   464287473      1,461,244      40,100 SH        SOLE         2       40,100





                                                                                     
ISHARES S+P 500 GROWTH IND EQUITY   464287309      1,969,368      37,200 SH        SOLE         2       37,200
ISHARES S+P 500 VALUE INDE EQUITY   464287408      2,279,394      45,900 SH        SOLE         2       45,900
ISHARES S+P SMALLCAP 600 I EQUITY   464287804      1,321,016      24,400 SH        SOLE         2       24,400
ISHARES SILVER TRUST       COM      46428Q109     1709536.59       93879 SHRS      DEFINED      3                            93879
ISHARES TR                 COM      464288414      1794517.5       17250 SHRS      DEFINED      3                            17250
ISHARES TR                 COM      464288513    4070723.299  47947.2709 SHRS      DEFINED      3                       47947.2709
ISHARES TR                 COM      464288646      2674905.5       25745 SHRS      DEFINED      3                            25745
ISHARES TR                 COM      464288687    1438321.555  38810.6194 SHRS      DEFINED      3                       38810.6194
ISHARES TR                 COM      464288828       556888.3       12130 SHRS      DEFINED      3                            12130
ISHARES TR                 COM      464288513    1136052.308  13381.0637 SHRS      DEFINED      4                       13381.0637
ISHARES TR                 COM      464288687     1617038.98       43633 SHRS      DEFINED      4                            43633
ISHARES TR                 COM      464288372       381712.5       13050 SHRS      DEFINED      4                            13050
ISHARES TR                 COM      464288711      416969.94       10474 SHRS      DEFINED      4                            10474
ISHARES TR INDEX           COM      464287176    6356073.104  59452.5592 SHRS      DEFINED      3                       59452.5592
ISHARES TR INDEX           COM      464287184    1155241.869  29523.1758 SHRS      DEFINED      3                       29523.1758
ISHARES TR INDEX           COM      464287200    1954233.106  18888.7793 SHRS      DEFINED      3                       18888.7793
ISHARES TR INDEX           COM      464287226     10125155.4  94407.0434 SHRS      DEFINED      3                       94407.0434
ISHARES TR INDEX           COM      464287234    895532.1643  23996.0387 SHRS      DEFINED      3                       23996.0387
ISHARES TR INDEX           COM      464287242    5978041.317  55117.4748 SHRS      DEFINED      3                       55117.4748
ISHARES TR INDEX           COM      464287390      756163.52       18256 SHRS      DEFINED      3                            18256
ISHARES TR INDEX           COM      464287432    1197321.605  11767.2885 SHRS      DEFINED      3                       11767.2885
ISHARES TR INDEX           COM      464287457      4617767.4       54895 SHRS      DEFINED      3                            54895
ISHARES TR INDEX           COM      464287465    1883098.633  40488.0377 SHRS      DEFINED      3                       40488.0377
ISHARES TR INDEX           COM      464287473      602243.88       16527 SHRS      DEFINED      3                            16527
ISHARES TR INDEX           COM      464287507    3073387.297  43214.1071 SHRS      DEFINED      3                       43214.1071
ISHARES TR INDEX           COM      464287606     1819672.72       23669 SHRS      DEFINED      3                            23669
ISHARES TR INDEX           COM      464287655    2358855.655       38597 SHRS      DEFINED      3                            38597
ISHARES TR INDEX           COM      464287721    1293471.617  25067.2794 SHRS      DEFINED      3                       25067.2794
ISHARES TR INDEX           COM      464287739      740111.17       15677 SHRS      DEFINED      3                            15677
ISHARES TR INDEX           COM      464287168    766829.8417  18072.8221 SHRS      DEFINED      4                       18072.8221
ISHARES TR INDEX           COM      464287176    4036059.542  37751.9366 SHRS      DEFINED      4                       37751.9366
ISHARES TR INDEX           COM      464287226    1270365.729  11844.9019 SHRS      DEFINED      4                       11844.9019
ISHARES TR INDEX           COM      464287234     1317859.72  35312.4255 SHRS      DEFINED      4                       35312.4255
ISHARES TR INDEX           COM      464287341      476511.75       16291 SHRS      DEFINED      4                            16291
ISHARES TR INDEX           COM      464287457    1155255.652  13733.4243 SHRS      DEFINED      4                       13733.4243
ISHARES TR INDEX           COM      464287465    1225584.675  26350.9928 SHRS      DEFINED      4                       26350.9928
ISHARES TR INDEX           COM      464287473      632343.32       17353 SHRS      DEFINED      4                            17353
ISHARES TR INDEX           COM      464287481       795165.2       18196 SHRS      DEFINED      4                            18196
ISHARES TR INDEX           COM      464287564    1482650.267  27001.4618 SHRS      DEFINED      4                       27001.4618
ISHARES TR INDEX           COM      464287598       957348.6       17660 SHRS      DEFINED      4                            17660
ISHARES TR INDEX           COM      464287614       950514.2       20740 SHRS      DEFINED      4                            20740
ISHARES TR INDEX           COM      464287804    599250.3225   11068.532 SHRS      DEFINED      4                        11068.532
ISHARES TR INDEX           COM      464287846      529368.84       10283 SHRS      DEFINED      4                            10283
ISILON SYSTEMS INC         EQUITY   46432L104        264,594      20,607 SH        SOLE         2       20,607
ISIS PHARMACEUTICALS INC   EQUITY   464330109        695,749      72,701 SH        SOLE         2       72,701
ISTAR FINANCIAL INC        EQUITY   45031U101        321,660      72,121 SH        SOLE         2       72,121
ITRON INC                  EQUITY   465741106     10,196,962     164,946 SH        SOLE         2      164,946
ITT CORP                   EQUITY   450911102      5,435,949     121,014 SH        SOLE         2      121,014
ITT EDUCATIONAL SERVICES I EQUITY   45068B109      5,373,470      64,725 SH        SOLE         2       64,725
IXIA                       EQUITY   45071R109        216,803      25,239 SH        SOLE         2       25,239
J + J SNACK FOODS CORP     EQUITY   466032109        542,332      12,882 SH        SOLE         2       12,882
J CREW GROUP INC           EQUITY   46612H402      4,601,140     124,997 SH        SOLE         2      124,997
J.C. PENNEY CO INC         EQUITY   708160106     13,209,749     614,979 SH        SOLE         2      614,979
J2 GLOBAL COMMUNICATIONS I EQUITY   4.66E+209        895,353      40,996 SH        SOLE         2       40,996
JABIL CIRCUIT INC          EQUITY   466313103      1,423,951     107,064 SH        SOLE         2      107,064
JACK HENRY + ASSOCIATES IN EQUITY   426281101      6,075,120     254,402 SH        SOLE         2      254,402
JACK IN THE BOX INC        EQUITY   466367109        971,839      49,966 SH        SOLE         2       49,966
JACOBS ENGINEERING GROUP I EQUITY   469814107      1,552,854      42,614 SH        SOLE         2       42,614
JAGUAR MINING INC          EQUITY   47009M103      5,428,057     614,729 SH        SOLE         2      614,729
JAKKS PACIFIC INC          EQUITY   4.70E+110        364,245      25,330 SH        SOLE         2       25,330
JAMES RIVER COAL CO        EQUITY   470355207        341,707      21,464 SH        SOLE         2       21,464
JANUS CAPITAL GROUP INC    EQUITY   47102X105        558,765      62,924 SH        SOLE         2       62,924
JARDEN CORP                EQUITY   471109108      3,243,558     120,713 SH        SOLE         2      120,713
JDA SOFTWARE GROUP INC     EQUITY   46612K108        816,667      37,155 SH        SOLE         2       37,155





                                                                                     
JDS UNIPHASE CORP          EQUITY   46612J507        971,562      98,736 SH        SOLE         2       98,736
JEFFERIES GROUP INC        EQUITY   472319102      5,733,718     271,998 SH        SOLE         2      271,998
JETBLUE AIRWAYS CORP       EQUITY   477143101      3,556,581     647,829 SH        SOLE         2      647,829
JM SMUCKER CO/THE          EQUITY   832696405      2,727,002      45,284 SH        SOLE         2       45,284
JO ANN STORES INC          EQUITY   47758P307        931,636      24,837 SH        SOLE         2       24,837
JOHN BEAN TECHNOLOGIES COR EQUITY   477839104        389,760      25,558 SH        SOLE         2       25,558
JOHNSON & JOHNSON          COM      478160104    879606.8085  14893.4441 SHRS      DEFINED      3                       14893.4441
JOHNSON & JOHNSON          COM      478160104    2305793.789  39041.5474 SHRS      DEFINED      4                       39041.5474
JOHNSON + JOHNSON          EQUITY   478160104     74,171,800   1,255,872 SH        SOLE         2    1,255,872
JOHNSON CONTROLS INC       EQUITY   478366107      5,793,306     215,605 SH        SOLE         2      215,605
JONES APPAREL GROUP INC    EQUITY   480074103      4,338,066     273,695 SH        SOLE         2      273,695
JONES LANG LASALLE INC     EQUITY   48020Q107      6,141,278      93,560 SH        SOLE         2       93,560
JOS A BANK CLOTHIERS INC   EQUITY   480838101        899,365      16,658 SH        SOLE         2       16,658
JOY GLOBAL INC             EQUITY   481165108     11,802,406     235,624 SH        SOLE         2      235,624
JPMORGAN CHASE & CO        COM      46625H100    866090.8938  23657.2219 SHRS      DEFINED      4                       23657.2219
JPMORGAN CHASE & CO        COM      46625H365    626316.6136  20262.5886 SHRS      DEFINED      4                       20262.5886
JPMORGAN CHASE + CO        EQUITY   46625H100     86,991,950   2,376,180 SH        SOLE         2    2,376,180
JUNIPER NETWORKS INC       EQUITY   48203R104      5,651,168     247,641 SH        SOLE         2      247,641
K SWISS INC CL A           EQUITY   482686102        268,341      23,895 SH        SOLE         2       23,895
K12 INC                    EQUITY   48273U102        430,270      19,399 SH        SOLE         2       19,399
KAISER ALUMINUM CORP       EQUITY   483007704        406,748      11,732 SH        SOLE         2       11,732
KAMAN CORP                 EQUITY   483548103        520,616      23,536 SH        SOLE         2       23,536
KANSAS CITY SOUTHERN       EQUITY   485170302      8,240,618     226,702 SH        SOLE         2      226,702
KAPSTONE PAPER AND PACKAGI EQUITY   48562P103        328,719      29,508 SH        SOLE         2       29,508
KAYDON CORP                EQUITY   486587108        997,728      30,363 SH        SOLE         2       30,363
KB HOME                    EQUITY   48666K109      1,816,584     165,144 SH        SOLE         2      165,144
KBR INC                    EQUITY   48242W106      7,291,870     358,499 SH        SOLE         2      358,499
KBW INC                    EQUITY   482423100        587,370      27,396 SH        SOLE         2       27,396
KELLOGG CO                 EQUITY   487836108      7,045,974     140,079 SH        SOLE         2      140,079
KELLY SERVICES INC CL A    EQUITY   488152208        357,207      24,022 SH        SOLE         2       24,022
KENEXA CORP                EQUITY   488879107        209,400      17,450 SH        SOLE         2       17,450
KENNAMETAL INC             EQUITY   489170100      4,630,778     182,099 SH        SOLE         2      182,099
KEY ENERGY SERVICES INC    EQUITY   492914106        889,294      96,873 SH        SOLE         2       96,873
KEYCORP                    EQUITY   493267108      3,257,100     423,550 SH        SOLE         2      423,550
KFORCE INC                 EQUITY   493732101        302,634      23,736 SH        SOLE         2       23,736
KILROY REALTY CORP         EQUITY   49427F108      1,457,751      49,033 SH        SOLE         2       49,033
KIMBERLY CLARK CORP        EQUITY   494368103     15,113,725     249,278 SH        SOLE         2      249,278
KIMCO REALTY CORP          EQUITY   49446R109      2,472,516     183,967 SH        SOLE         2      183,967
KINDER MORGAN ENERGY
PARTNER                    COM      494550106    1822725.826  28016.0748 SHRS      DEFINED      3                       28016.0748
KINDER MORGAN ENERGY
PARTNER                    COM      494550106    1646787.536  25311.8281 SHRS      DEFINED      4                       25311.8281
KINDRED HEALTHCARE INC     EQUITY   494580103      1,511,178     117,693 SH        SOLE         2      117,693
KINETIC CONCEPTS INC       EQUITY   49460W208      5,084,638     139,267 SH        SOLE         2      139,267
KING PHARMACEUTICALS INC   EQUITY   495582108        652,778      86,005 SH        SOLE         2       86,005
KINROSS GOLD CORP          COM      496902404      502087.11       29379 SHRS      DEFINED      3                            29379
KIRBY CORP                 EQUITY   497266106      4,612,070     120,577 SH        SOLE         2      120,577
KIRKLAND S INC             EQUITY   497498105        218,025      12,920 SH        SOLE         2       12,920
KITE REALTY GROUP TRUST    EQUITY   49803T102        210,894      50,453 SH        SOLE         2       50,453
KLA TENCOR CORPORATION     EQUITY   482480100      2,584,392      92,697 SH        SOLE         2       92,697
KNIGHT CAPITAL GROUP INC A EQUITY   499005106      1,006,532      72,990 SH        SOLE         2       72,990
KNIGHT TRANSPORTATION INC  EQUITY   499064103      7,000,125     345,856 SH        SOLE         2      345,856
KNIGHTSBRIDGE TANKERS LTD  EQUITY   G5299G106        232,311      13,207 SH        SOLE         2       13,207
KNOLL INC                  EQUITY   498904200        482,414      36,299 SH        SOLE         2       36,299
KNOLOGY INC                EQUITY   499183804        257,522      23,561 SH        SOLE         2       23,561
KNOT INC/THE               EQUITY   499184109        212,441      27,306 SH        SOLE         2       27,306
KODIAK OIL + GAS CORP      EQUITY   50015Q100        293,844      92,114 SH        SOLE         2       92,114
KOHLS CORP                 EQUITY   500255104      4,668,585      98,286 SH        SOLE         2       98,286
KOPIN CORP                 EQUITY   500600101        204,864      60,432 SH        SOLE         2       60,432
KOPPERS HOLDINGS INC       EQUITY   50060P106        356,690      15,867 SH        SOLE         2       15,867
KORN/FERRY INTERNATIONAL   EQUITY   500643200      1,906,121     137,131 SH        SOLE         2      137,131
KRAFT FOODS INC            COM      50075N104    345463.5968  12337.9856 SHRS      DEFINED      3                       12337.9856
KRAFT FOODS INC            COM      50075N104    474018.1236  16929.2187 SHRS      DEFINED      4                       16929.2187
KRAFT FOODS INC CLASS A    EQUITY   50075N104     45,674,720   1,631,240 SH        SOLE         2    1,631,240
KROGER CO                  EQUITY   501044101      4,077,917     207,106 SH        SOLE         2      207,106
KULICKE + SOFFA INDUSTRIES EQUITY   501242101        446,858      63,655 SH        SOLE         2       63,655





                                                                                     
L 1 IDENTITY SOLUTIONS INC EQUITY   50212A106        485,798      59,316 SH        SOLE         2       59,316
L 3 COMMUNICATIONS HLDGS I EQUITY   502424104      2,823,966      39,864 SH        SOLE         2       39,864
LA Z BOY INC               EQUITY   505336107        347,650      46,790 SH        SOLE         2       46,790
LABORATORY CRP OF AMER HLD EQUITY   50540R409      2,645,237      35,106 SH        SOLE         2       35,106
LACLEDE GROUP INC/THE      EQUITY   505597104        671,015      20,254 SH        SOLE         2       20,254
LADISH CO INC              EQUITY   505754200        275,548      12,128 SH        SOLE         2       12,128
LAKELAND FINANCIAL CORP    EQUITY   511656100        248,571      12,441 SH        SOLE         2       12,441
LAM RESEARCH CORP          EQUITY   512807108     11,013,460     289,371 SH        SOLE         2      289,371
LAMAR ADVERTISING CO CL A  EQUITY   512815101      2,930,361     119,509 SH        SOLE         2      119,509
LANCASTER COLONY CORP      EQUITY   513847103      3,091,945      57,945 SH        SOLE         2       57,945
LANCE INC                  EQUITY   514606102        401,086      24,323 SH        SOLE         2       24,323
LANDSTAR SYSTEM INC        EQUITY   515098101      6,959,988     178,507 SH        SOLE         2      178,507
LAS VEGAS SANDS CORP       COM      517834107      868242.24       39216 SHRS      DEFINED      4                            39216
LAS VEGAS SANDS CORP       EQUITY   517834107      8,608,032     388,800 SH        SOLE         2      388,800
LASALLE HOTEL PROPERTIES   EQUITY   517942108      1,303,418      63,365 SH        SOLE         2       63,365
LATTICE SEMICONDUCTOR CORP EQUITY   518415104        388,634      89,547 SH        SOLE         2       89,547
LAWSON SOFTWARE INC        EQUITY   52078P102      6,943,461     951,159 SH        SOLE         2      951,159
LAYNE CHRISTENSEN COMPANY  EQUITY   521050104        366,647      15,107 SH        SOLE         2       15,107
LAZARD LTD CL A            EQUITY   G54050102      3,119,621     116,796 SH        SOLE         2      116,796
LEAR CORP                  EQUITY   521865204      8,393,895     126,796 SH        SOLE         2      126,796
LEGG MASON INC             EQUITY   524901105      2,086,553      74,440 SH        SOLE         2       74,440
LEGGETT + PLATT INC        EQUITY   524660107      1,155,616      57,608 SH        SOLE         2       57,608
LENDER PROCESSING SERVICES EQUITY   5.26E+106      6,609,979     211,114 SH        SOLE         2      211,114
LENNAR CORP CL A           EQUITY   526057104        862,684      62,019 SH        SOLE         2       62,019
LENNOX INTERNATIONAL INC   EQUITY   526107107      4,491,597     108,049 SH        SOLE         2      108,049
LEUCADIA NATIONAL CORP     EQUITY   527288104      2,296,307     117,699 SH        SOLE         2      117,699
LEXINGTON REALTY TRUST     EQUITY   529043101        540,263      89,894 SH        SOLE         2       89,894
LEXMARK INTERNATIONAL INC  EQUITY   529771107      1,353,635      40,982 SH        SOLE         2       40,982
LHC GROUP INC              EQUITY   50187A107        392,885      14,158 SH        SOLE         2       14,158
LIBERTY MEDIA CORP INTER A EQUITY   53071M104        484,281      46,122 SH        SOLE         2       46,122
LIBERTY MEDIA STARZ SERIES EQUITY   53071M708      6,252,682     120,615 SH        SOLE         2      120,615
LIBERTY PROPERTY TRUST     EQUITY   531172104      7,293,770     252,817 SH        SOLE         2      252,817
LIFE TECHNOLOGIES CORP     EQUITY   53217V109      3,432,098      72,637 SH        SOLE         2       72,637
LIFE TIME FITNESS INC      EQUITY   53217R207      3,956,170     124,447 SH        SOLE         2      124,447
LIFEPOINT HOSPITALS INC    EQUITY   53219L109      3,875,608     123,427 SH        SOLE         2      123,427
LILLY ELI & CO             COM      532457108         440056       13136 SHRS      DEFINED      4                            13136
LINCARE HOLDINGS INC       EQUITY   532791100      7,194,365     221,297 SH        SOLE         2      221,297
LINCOLN EDUCATIONAL SERVIC EQUITY   533535100        261,328      12,692 SH        SOLE         2       12,692
LINCOLN ELECTRIC HOLDINGS  EQUITY   533900106      4,837,421      94,870 SH        SOLE         2       94,870
LINCOLN NATIONAL CORP      EQUITY   534187109      6,212,799     255,776 SH        SOLE         2      255,776
LINDSAY CORP               EQUITY   535555106        359,174      11,334 SH        SOLE         2       11,334
LINEAR TECHNOLOGY CORP     EQUITY   535678106      4,914,694     176,724 SH        SOLE         2      176,724
LINN ENERGY LLC            COM      536020100    1408486.904  53050.3542 SHRS      DEFINED      3                       53050.3542
LIONBRIDGE TECHNOLOGIES IN EQUITY   536252109        210,321      46,022 SH        SOLE         2       46,022
LIONS GATE ENTERTAINMENT W EQUITY   535919203        366,248      52,471 SH        SOLE         2       52,471
LITTELFUSE INC             EQUITY   537008104        628,881      19,895 SH        SOLE         2       19,895
LIVE NATION ENTERTAINMENT  EQUITY   538034109      1,338,561     128,092 SH        SOLE         2      128,092
LIVEPERSON INC             EQUITY   538146101        235,881      34,385 SH        SOLE         2       34,385
LIZ CLAIBORNE INC          EQUITY   539320101        361,979      85,777 SH        SOLE         2       85,777
LKQ CORP                   EQUITY   501889208      6,132,640     318,083 SH        SOLE         2      318,083
LOCKHEED MARTIN CORP       EQUITY   539830109     17,236,767     231,366 SH        SOLE         2      231,366
LOEWS CORP                 EQUITY   540424108      6,503,611     195,245 SH        SOLE         2      195,245
LOGMEIN INC                EQUITY   54142L109        305,002      11,628 SH        SOLE         2       11,628
LORILLARD INC              EQUITY   544147101     12,348,601     171,556 SH        SOLE         2      171,556
LOUISIANA PACIFIC CORP     EQUITY   546347105      2,529,068     378,037 SH        SOLE         2      378,037
LOWE S COS INC             EQUITY   548661107     19,783,304     968,820 SH        SOLE         2      968,820
LOWES COS INC              COM      548661107       261784.4       12820 SHRS      DEFINED      3                            12820
LSB INDUSTRIES INC         EQUITY   502160104        207,317      15,576 SH        SOLE         2       15,576
LSI CORP                   EQUITY   502161102      1,236,015     268,699 SH        SOLE         2      268,699
LTC PROPERTIES INC         EQUITY   502175102        524,232      21,600 SH        SOLE         2       21,600
LTD BRANDS INC             EQUITY   532716107      3,463,931     156,952 SH        SOLE         2      156,952
LTX CREDENCE CORP          EQUITY   502403108        320,967     113,416 SH        SOLE         2      113,416
LUBRIZOL CORP              EQUITY   549271104     12,201,739     151,933 SH        SOLE         2      151,933
LUFKIN INDUSTRIES INC      EQUITY   549764108      1,059,319      27,169 SH        SOLE         2       27,169





                                                                                     
LUMBER LIQUIDATORS HOLDING EQUITY   55003T107        449,802      19,280 SH        SOLE         2       19,280
LUMINEX CORP               EQUITY   5.50E+106        469,520      28,947 SH        SOLE         2       28,947
M + T BANK CORP            EQUITY   55261F104      3,417,284      40,227 SH        SOLE         2       40,227
MACERICH CO/THE            EQUITY   554382101     10,808,394     289,614 SH        SOLE         2      289,614
MACK CALI REALTY CORP      EQUITY   554489104      5,262,299     177,003 SH        SOLE         2      177,003
MACY S INC                 EQUITY   55616P104      3,212,692     179,480 SH        SOLE         2      179,480
MADISON STRTG SECTOR
PREM FD                    COM      558268108    271302.8548  24332.0946 SHRS      DEFINED      4                       24332.0946
MAGELLAN HEALTH SERVICES I EQUITY   559079207      1,099,007      30,259 SH        SOLE         2       30,259
MAIDEN HOLDINGS LTD        EQUITY   G5753U112        251,808      38,327 SH        SOLE         2       38,327
MAIDENFORM BRANDS INC      EQUITY   560305104        421,656      20,710 SH        SOLE         2       20,710
MAKO SURGICAL CORP         EQUITY   560879108        245,464      19,716 SH        SOLE         2       19,716
MANHATTAN ASSOCIATES INC   EQUITY   562750109        567,778      20,609 SH        SOLE         2       20,609
MANNKIND CORP              EQUITY   56400P201        304,036      47,580 SH        SOLE         2       47,580
MANPOWER INC               EQUITY   56418H100      7,891,793     182,765 SH        SOLE         2      182,765
MANTECH INTERNATIONAL CORP EQUITY   564563104      2,837,631      66,658 SH        SOLE         2       66,658
MARATHON OIL CORP          EQUITY   565849106     30,305,071     974,753 SH        SOLE         2      974,753
MARINER ENERGY INC         EQUITY   56845T305      4,949,701     230,433 SH        SOLE         2      230,433
MARKET VECTORS ETF TR      COM      57060U100      1152472.8       22180 SHRS      DEFINED      3                            22180
MARKET VECTORS ETF TR      COM      57060U753      789532.11       11007 SHRS      DEFINED      3                            11007
MARKET VECTORS ETF TR      COM      57060U100       577795.2       11120 SHRS      DEFINED      4                            11120
MARKETAXESS HOLDINGS INC   EQUITY   57060D108        294,348      21,345 SH        SOLE         2       21,345
MARRIOTT INTERNATIONAL CL  EQUITY   571903202      2,601,936      86,905 SH        SOLE         2       86,905
MARSH + MCLENNAN COS       EQUITY   571748102      5,970,992     264,789 SH        SOLE         2      264,789
MARSHALL + ILSLEY CORP     EQUITY   571837103      1,921,117     267,565 SH        SOLE         2      267,565
MARTEK BIOSCIENCES CORP    EQUITY   572901106      8,131,985     342,977 SH        SOLE         2      342,977
MARTEN TRANSPORT LTD       EQUITY   573075108        246,970      11,885 SH        SOLE         2       11,885
MARTIN MARIETTA MATERIALS  EQUITY   573284106      8,576,157     101,122 SH        SOLE         2      101,122
MARVELL TECHNOLOGY GROUP L EQUITY   G5876H105      1,495,293      94,879 SH        SOLE         2       94,879
MASCO CORP                 EQUITY   574599106      1,322,910     122,947 SH        SOLE         2      122,947
MASIMO CORPORATION         EQUITY   574795100      3,735,432     156,885 SH        SOLE         2      156,885
MASSEY ENERGY CO           EQUITY   576206106        967,424      35,372 SH        SOLE         2       35,372
MASTEC INC                 EQUITY   576323109        384,798      40,936 SH        SOLE         2       40,936
MASTERCARD INC CLASS A     EQUITY   57636Q104      7,834,146      39,263 SH        SOLE         2       39,263
MATRIX SERVICE CO          EQUITY   576853105        222,313      23,879 SH        SOLE         2       23,879
MATTEL INC                 EQUITY   577081102      4,061,662     191,950 SH        SOLE         2      191,950
MATTHEWS INTL CORP CLASS A EQUITY   577128101      2,636,108      90,031 SH        SOLE         2       90,031
MAXIM INTEGRATED PRODUCTS  EQUITY   57772K101        380,340      22,734 SH        SOLE         2       22,734
MAXIMUS INC                EQUITY   577933104        917,413      15,853 SH        SOLE         2       15,853
MAXWELL TECHNOLOGIES INC   EQUITY   577767106        232,594      20,403 SH        SOLE         2       20,403
MB FINANCIAL INC           EQUITY   55264U108        752,059      40,895 SH        SOLE         2       40,895
MCAFEE INC                 EQUITY   579064106      2,409,953      78,449 SH        SOLE         2       78,449
MCCORMICK + CO NON VTG SHR EQUITY   579780206      3,311,099      87,226 SH        SOLE         2       87,226
MCDONALD S CORP            EQUITY   580135101     44,317,534     672,803 SH        SOLE         2      672,803
MCDONALDS CORP             COM      580135101    705751.4811  10714.3082 SHRS      DEFINED      3                       10714.3082
MCDONALDS CORP             COM      580135101    2180058.215  33096.3749 SHRS      DEFINED      4                       33096.3749
MCG CAPITAL CORP           EQUITY   58047P107        285,574      59,125 SH        SOLE         2       59,125
MCGRATH RENTCORP           EQUITY   580589109        420,792      18,472 SH        SOLE         2       18,472
MCGRAW HILL COMPANIES INC  EQUITY   580645109     12,111,146     430,389 SH        SOLE         2      430,389
MCKESSON CORP              EQUITY   58155Q103      5,844,666      87,026 SH        SOLE         2       87,026
MCMORAN EXPLORATION CO     EQUITY   582411104        713,340      64,207 SH        SOLE         2       64,207
MDC HOLDINGS INC           EQUITY   552676108      2,269,352      84,206 SH        SOLE         2       84,206
MDU RESOURCES GROUP INC    EQUITY   552690109      7,572,870     420,015 SH        SOLE         2      420,015
MEAD JOHNSON NUTRITION CO  EQUITY   582839106      4,804,854      95,867 SH        SOLE         2       95,867
MEADOWBROOK INSURANCE GROU EQUITY   58319P108        361,329      41,869 SH        SOLE         2       41,869
MEADWESTVACO CORP          EQUITY   583334107      1,300,654      58,588 SH        SOLE         2       58,588
MEDASSETS INC              EQUITY   584045108        767,179      33,240 SH        SOLE         2       33,240
MEDCO HEALTH SOLUTIONS INC EQUITY   58405U102     10,115,277     183,647 SH        SOLE         2      183,647
MEDIACOM COMMUNICATIONS CL EQUITY   58446K105        207,534      30,883 SH        SOLE         2       30,883
MEDICAL PROPERTIES TRUST I EQUITY   58463J304        953,044     100,958 SH        SOLE         2      100,958
MEDICINES COMPANY          EQUITY   584688105        312,916      41,119 SH        SOLE         2       41,119
MEDICIS PHARMACEUTICAL CL  EQUITY   584690309      3,832,479     175,159 SH        SOLE         2      175,159
MEDIDATA SOLUTIONS INC     EQUITY   58471A105        224,930      14,521 SH        SOLE         2       14,521
MEDIFAST INC               EQUITY   58470H101        317,164      12,241 SH        SOLE         2       12,241
MEDIVATION INC             EQUITY   58501N101        232,183      26,265 SH        SOLE         2       26,265





                                                                                     
MEDNAX INC                 EQUITY   58502B106      5,831,654     104,867 SH        SOLE         2      104,867
MEDTRONIC INC              EQUITY   585055106     22,451,747     619,017 SH        SOLE         2      619,017
MEMC ELECTRONIC MATERIALS  EQUITY   552715104        768,585      77,792 SH        SOLE         2       77,792
MEN S WEARHOUSE INC/THE    EQUITY   587118100        876,580      47,744 SH        SOLE         2       47,744
MENTOR GRAPHICS CORP       EQUITY   587200106      2,816,955     318,300 SH        SOLE         2      318,300
MERCADOLIBRE INC           EQUITY   58733R102     12,990,360     247,200 SH        SOLE         2      247,200
MERCK  CO INC              EQUITY   58933Y105     49,297,349   1,409,704 SH        SOLE         2    1,409,704
MERCURY COMPUTER SYSTEMS I EQUITY   589378108        252,195      21,500 SH        SOLE         2       21,500
MERCURY GENERAL CORP       EQUITY   589400100      3,283,788      79,242 SH        SOLE         2       79,242
MEREDITH CORP              EQUITY   589433101     11,891,598     381,998 SH        SOLE         2      381,998
MERIDIAN BIOSCIENCE INC    EQUITY   589584101        627,130      36,890 SH        SOLE         2       36,890
MERIT MEDICAL SYSTEMS INC  EQUITY   589889104        411,022      25,577 SH        SOLE         2       25,577
MERITAGE HOMES CORP        EQUITY   59001A102        474,220      29,129 SH        SOLE         2       29,129
METABOLIX INC              EQUITY   591018809        295,473      20,648 SH        SOLE         2       20,648
METHODE ELECTRONICS INC    EQUITY   591520200        329,202      33,799 SH        SOLE         2       33,799
METLIFE INC                EQUITY   59156R108     13,259,424     351,150 SH        SOLE         2      351,150
METROPCS COMMUNICATIONS IN EQUITY   591708102      1,085,978     132,598 SH        SOLE         2      132,598
METROPCS COMMUNICATIONS
INC                        COM      591708102        428,829      50,689 SHRS      SOLE         1       50,689
METTLER TOLEDO INTERNATION EQUITY   592688105      8,361,980      74,908 SH        SOLE         2       74,908
MF GLOBAL HOLDINGS LTD     EQUITY   55277J108        381,382      66,792 SH        SOLE         2       66,792
MFA FINANCIAL INC          EQUITY   55272X102      4,661,830     629,977 SH        SOLE         2      629,977
MGE ENERGY INC             EQUITY   55277P104        643,386      17,852 SH        SOLE         2       17,852
MGIC INVESTMENT CORP       EQUITY   552848103      1,066,634     154,809 SH        SOLE         2      154,809
MICREL INC                 EQUITY   594793101        459,159      45,104 SH        SOLE         2       45,104
MICROCHIP TECHNOLOGY INC   EQUITY   595017104      2,980,691     107,451 SH        SOLE         2      107,451
MICROMET INC               EQUITY   59509C105        389,557      62,429 SH        SOLE         2       62,429
MICRON TECHNOLOGY INC      EQUITY   595112103      2,494,447     293,810 SH        SOLE         2      293,810
MICROS SYSTEMS INC         EQUITY   594901100      5,700,013     178,852 SH        SOLE         2      178,852
MICROSEMI CORP             EQUITY   595137100      1,102,151      75,335 SH        SOLE         2       75,335
MICROSOFT CORP             COM      594918104    443296.5388  19265.3863 SHRS      DEFINED      3                       19265.3863
MICROSOFT CORP             COM      594918104    1443865.641  62749.4846 SHRS      DEFINED      4                       62749.4846
MICROSOFT CORP             EQUITY   594918104    109,016,502   4,737,788 SH        SOLE         2    4,737,788
MICROVISION INC            EQUITY   594960106        202,867      68,536 SH        SOLE         2       68,536
MICRUS ENDOVASCULAR CORP   EQUITY   59518V102        259,355      12,475 SH        SOLE         2       12,475
MID AMERICA APARTMENT COMM EQUITY   59522J103      1,406,572      27,328 SH        SOLE         2       27,328
MIDAS, INC.                COM      595626102        269,200      33,947 SHRS      SOLE         1       33,947
MIDDLEBY CORP              EQUITY   596278101        682,481      12,831 SH        SOLE         2       12,831
MILLIPORE CORP             EQUITY   601073109      2,015,365      18,897 SH        SOLE         2       18,897
MINE SAFETY APPLIANCES CO  EQUITY   602720104      2,168,126      87,495 SH        SOLE         2       87,495
MINERALS TECHNOLOGIES INC  EQUITY   603158106      2,663,048      56,017 SH        SOLE         2       56,017
MKS INSTRUMENTS INC        EQUITY   55306N104        851,311      45,476 SH        SOLE         2       45,476
MOBILE MINI INC            EQUITY   60740F105        537,435      33,012 SH        SOLE         2       33,012
MODINE MANUFACTURING CO    EQUITY   607828100        274,399      35,729 SH        SOLE         2       35,729
MODUSLINK GLOBAL SOLUTIONS EQUITY   60786L107        206,280      34,209 SH        SOLE         2       34,209
MOHAWK INDUSTRIES INC      EQUITY   608190104      5,743,109     125,505 SH        SOLE         2      125,505
MOLEX INC                  EQUITY   608554101        851,060      46,659 SH        SOLE         2       46,659
MOLINA HEALTHCARE INC      EQUITY   60855R100        343,958      11,943 SH        SOLE         2       11,943
MOLSON COORS BREWING CO B  EQUITY   60871R209      2,276,553      53,743 SH        SOLE         2       53,743
MOMENTA PHARMACEUTICALS IN EQUITY   60877T100        380,648      31,048 SH        SOLE         2       31,048
MONOLITHIC POWER SYSTEMS I EQUITY   609839105        446,054      24,975 SH        SOLE         2       24,975
MONRO MUFFLER BRAKE INC    EQUITY   610236101        712,133      18,015 SH        SOLE         2       18,015
MONSANTO CO                EQUITY   61166W101     11,132,411     240,857 SH        SOLE         2      240,857
MONSTER WORLDWIDE INC      EQUITY   611742107      2,939,912     252,353 SH        SOLE         2      252,353
MONTPELIER RE HOLDINGS LTD EQUITY   G62185106        819,642      54,899 SH        SOLE         2       54,899
MOODY S CORP               EQUITY   615369105      1,326,513      66,592 SH        SOLE         2       66,592
MOOG INC CLASS A           EQUITY   615394202      1,327,264      41,181 SH        SOLE         2       41,181
MORGAN STANLEY             EQUITY   617446448     22,711,008     978,501 SH        SOLE         2      978,501
MOTOROLA INC               EQUITY   620076109      4,856,728     744,897 SH        SOLE         2      744,897
MOVE INC                   EQUITY   62458M108        246,896     120,437 SH        SOLE         2      120,437
MSC INDUSTRIAL DIRECT CO A EQUITY   553530106      4,994,569      98,590 SH        SOLE         2       98,590
MSCI INC A                 EQUITY   55354G100      7,093,641     258,892 SH        SOLE         2      258,892
MTS SYSTEMS CORP           EQUITY   553777103        430,360      14,840 SH        SOLE         2       14,840
MUELLER INDUSTRIES INC     EQUITY   624756102        841,664      34,214 SH        SOLE         2       34,214
MUELLER WATER PRODUCTS INC EQUITY   624758108        442,592     119,297 SH        SOLE         2      119,297





                                                                                     
MULTI FINELINE ELECTRONIX  EQUITY   62541B101      6,970,879     279,282 SH        SOLE         2      279,282
MURPHY OIL CORP            EQUITY   626717102      8,314,639     167,803 SH        SOLE         2      167,803
MVC CAPITAL INC            EQUITY   553829102        242,444      18,765 SH        SOLE         2       18,765
MWI VETERINARY SUPPLY INC  EQUITY   55402X105        560,047      11,143 SH        SOLE         2       11,143
MYERS INDUSTRIES INC       EQUITY   628464109        251,348      31,069 SH        SOLE         2       31,069
MYLAN INC                  EQUITY   628530107     13,349,102     783,398 SH        SOLE         2      783,398
MYR GROUP INC/DELAWARE     EQUITY   55405W104        256,342      15,359 SH        SOLE         2       15,359
N B T BANCORP INC          EQUITY   628778102        638,676      31,277 SH        SOLE         2       31,277
NABORS INDUSTRIES LTD      EQUITY   G6359F103      2,452,669     139,198 SH        SOLE         2      139,198
NARA BANCORP INC           EQUITY   63080P105        285,229      33,835 SH        SOLE         2       33,835
NASDAQ OMX GROUP/THE       EQUITY   631103108        887,631      49,923 SH        SOLE         2       49,923
NASH FINCH CO              EQUITY   631158102        389,902      11,414 SH        SOLE         2       11,414
NATIONAL CINEMEDIA INC     EQUITY   635309107        554,978      33,312 SH        SOLE         2       33,312
NATIONAL FINANCIAL PARTNER EQUITY   63607P208        378,421      38,733 SH        SOLE         2       38,733
NATIONAL FUEL GAS CO       EQUITY   636180101      8,380,716     182,666 SH        SOLE         2      182,666
NATIONAL INSTRUMENTS CORP  EQUITY   636518102      4,005,742     126,046 SH        SOLE         2      126,046
NATIONAL OILWELL VARCO INC EQUITY   637071101      6,697,403     202,522 SH        SOLE         2      202,522
NATIONAL RETAIL PROPERTIES EQUITY   637417106      1,621,271      75,619 SH        SOLE         2       75,619
NATIONAL RETAIL
PROPERTIES I               COM      637417106    656233.7533  30607.9176 SHRS      DEFINED      3                       30607.9176
NATIONAL SEMICONDUCTOR COR EQUITY   637640103      1,084,593      80,579 SH        SOLE         2       80,579
NATIONWIDE HEALTH PPTYS IN EQUITY   638620104      9,567,581     267,475 SH        SOLE         2      267,475
NATL HEALTH INVESTORS INC  EQUITY   63633D104        727,512      18,867 SH        SOLE         2       18,867
NATL PENN BCSHS INC        EQUITY   637138108        687,490     114,391 SH        SOLE         2      114,391
NATUS MEDICAL INC          EQUITY   639050103        421,211      25,857 SH        SOLE         2       25,857
NAVIGANT CONSULTING INC    EQUITY   63935N107      1,566,134     150,880 SH        SOLE         2      150,880
NAVIGATORS GROUP INC       EQUITY   638904102        458,517      11,148 SH        SOLE         2       11,148
NBTY INC                   EQUITY   628782104      4,807,450     141,354 SH        SOLE         2      141,354
NCR CORPORATION            EQUITY   6.29E+112      4,325,616     356,899 SH        SOLE         2      356,899
NEENAH PAPER INC           EQUITY   640079109        244,342      13,352 SH        SOLE         2       13,352
NEKTAR THERAPEUTICS        EQUITY   640268108        878,980      72,643 SH        SOLE         2       72,643
NELNET INC CL A            EQUITY   64031N108        393,023      20,385 SH        SOLE         2       20,385
NEOGEN CORP                EQUITY   640491106        533,322      20,473 SH        SOLE         2       20,473
NETAPP INC                 EQUITY   64110D104      6,603,758     176,997 SH        SOLE         2      176,997
NETEZZA CORP               EQUITY   64111N101        538,445      39,360 SH        SOLE         2       39,360
NETFLIX INC                EQUITY   64110L106      9,987,325      91,922 SH        SOLE         2       91,922
NETGEAR INC                EQUITY   64111Q104        570,149      31,959 SH        SOLE         2       31,959
NETLOGIC MICROSYSTEMS INC  EQUITY   64118B100      1,315,474      48,363 SH        SOLE         2       48,363
NETSCOUT SYSTEMS INC       EQUITY   64115T104        403,478      28,374 SH        SOLE         2       28,374
NEUROCRINE BIOSCIENCES INC EQUITY   64125C109        212,010      37,859 SH        SOLE         2       37,859
NEUSTAR INC CLASS A        EQUITY   64126X201      3,442,633     166,956 SH        SOLE         2      166,956
NEUSTAR INC-CLASS A        COM      64126X201        303,885      13,500 SHRS      SOLE         1       13,500
NEUTRAL TANDEM INC         EQUITY   64128B108        337,410      29,992 SH        SOLE         2       29,992
NEW AMER HIGH INCOME
FD INC                     COM      641876800      249481.75       26971 SHRS      DEFINED      4                            26971
NEW JERSEY RESOURCES CORP  EQUITY   646025106      1,318,768      37,465 SH        SOLE         2       37,465
NEW YORK CMNTY BANCORP INC COM      649445103    315835.8585  20683.4223 SHRS      DEFINED      4                       20683.4223
NEW YORK COMMUNITY BANCORP EQUITY   649445103     14,844,746     972,151 SH        SOLE         2      972,151
NEW YORK TIMES CO CL A     EQUITY   650111107        542,346      62,699 SH        SOLE         2       62,699
NEWALLIANCE BANCSHARES INC EQUITY   650203102      3,540,566     315,840 SH        SOLE         2      315,840
NEWELL RUBBERMAID INC      EQUITY   651229106      1,656,604     113,156 SH        SOLE         2      113,156
NEWFIELD EXPLORATION CO    EQUITY   651290108     14,550,557     297,801 SH        SOLE         2      297,801
NEWMARKET CORP             EQUITY   651587107      2,932,206      33,580 SH        SOLE         2       33,580
NEWMONT MINING CORP        EQUITY   651639106     12,211,740     197,793 SH        SOLE         2      197,793
NEWPARK RESOURCES INC      EQUITY   651718504        415,817      68,730 SH        SOLE         2       68,730
NEWPORT CORP               EQUITY   651824104        301,626      33,292 SH        SOLE         2       33,292
NEWS CORP CL A             EQUITY   6.52E+108     12,595,423   1,053,129 SH        SOLE         2    1,053,129
NEWTEK BUSINESS SERVICES
INC                        COM      652526104      1,562,433   1,280,683 SHRS      SOLE         1    1,280,683
NEXTERA ENERGY INC         EQUITY   65339F101     15,614,512     320,232 SH        SOLE         2      320,232
NFJ DIVID INT & PREM
STRTGY                     COM      65337H109    221356.4105  16028.7046 SHRS      DEFINED      4                       16028.7046
NIC INC                    EQUITY   62914B100        276,406      43,121 SH        SOLE         2       43,121
NICHOLAS-APPLEGATE
CV & INC                   COM      65370F101       218337.7       23810 SHRS      DEFINED      3                            23810
NICHOLAS-APPLEGATE
CV & INC                   COM      65370F101      395474.59       43127 SHRS      DEFINED      4                            43127
NICOR INC                  EQUITY   654086107      2,005,520      49,519 SH        SOLE         2       49,519
NII HOLDINGS INC           EQUITY   62913F201        411,931      12,667 SH        SOLE         2       12,667
NIKE INC  CL B             EQUITY   654106103     10,709,242     158,538 SH        SOLE         2      158,538





                                                                                     
NISOURCE INC               EQUITY   65473P105      3,256,570     224,591 SH        SOLE         2      224,591
NOBLE CORP                 EQUITY   H5833N103      3,477,375     112,500 SH        SOLE         2      112,500
NOBLE CORPORATION BAAR     COM      H5833N103    477444.2892  15446.2727 SHRS      DEFINED      4                       15446.2727
NOBLE ENERGY INC           EQUITY   655044105      5,261,560      87,213 SH        SOLE         2       87,213
NORDIC AMER TANKER SHIPPIN EQUITY   G65773106      5,834,883     207,721 SH        SOLE         2      207,721
NORDIC AMERICAN TANKER
SHIPP                      COM      G65773106    1457522.785  51887.6036 SHRS      DEFINED      3                       51887.6036
NORDIC AMERICAN TANKER
SHIPP                      COM      G65773106    769983.6895  27411.3097 SHRS      DEFINED      4                       27411.3097
NORDSON CORP               EQUITY   655663102      5,706,308     101,753 SH        SOLE         2      101,753
NORDSTROM INC              EQUITY   655664100      2,367,253      73,540 SH        SOLE         2       73,540
NORFOLK SOUTHERN CORP      EQUITY   655844108      9,751,492     183,817 SH        SOLE         2      183,817
NORTHEAST UTILITIES        EQUITY   664397106      3,275,556     128,554 SH        SOLE         2      128,554
NORTHERN OIL AND GAS INC   EQUITY   665531109        437,703      34,089 SH        SOLE         2       34,089
NORTHERN TRUST CORP        EQUITY   665859104      5,152,598     110,334 SH        SOLE         2      110,334
NORTHROP GRUMMAN CORP      EQUITY   666807102     15,248,372     280,095 SH        SOLE         2      280,095
NORTHWEST BANCSHARES INC   EQUITY   667340103      6,155,376     536,650 SH        SOLE         2      536,650
NORTHWEST NATURAL GAS CO   EQUITY   667655104      1,051,344      24,130 SH        SOLE         2       24,130
NORTHWESTERN CORP          EQUITY   668074305        860,172      32,831 SH        SOLE         2       32,831
NOVELL INC                 EQUITY   670006105        684,258     120,468 SH        SOLE         2      120,468
NOVELLUS SYSTEMS INC       EQUITY   670008101        825,569      32,554 SH        SOLE         2       32,554
NPS PHARMACEUTICALS INC    EQUITY   62936P103        292,988      45,495 SH        SOLE         2       45,495
NRG ENERGY INC             EQUITY   629377508      1,860,711      87,728 SH        SOLE         2       87,728
NSTAR                      EQUITY   6.70E+111      8,346,205     238,463 SH        SOLE         2      238,463
NTELOS HOLDINGS CORP       EQUITY   67020Q107        460,238      26,758 SH        SOLE         2       26,758
NU SKIN ENTERPRISES INC    EQUITY   67018T105        947,988      38,026 SH        SOLE         2       38,026
NUANCE COMMUNICATIONS INC  EQUITY   67020Y100      9,389,587     628,066 SH        SOLE         2      628,066
NUCOR CORP                 EQUITY   670346105      3,858,012     100,784 SH        SOLE         2      100,784
NUTRISYSTEM INC            EQUITY   67069D108        653,377      28,482 SH        SOLE         2       28,482
NUVASIVE INC               EQUITY   670704105      6,073,518     171,278 SH        SOLE         2      171,278
NUVEEN MULTI STRAT INC
GR FD                      COM      67073D102      315541.24       40558 SHRS      DEFINED      3                            40558
NUVEEN PREMIER INSD MUN
INCO                       COM      670987106       468103.5       31650 SHRS      DEFINED      3                            31650
NV ENERGY INC              EQUITY   67073Y106      6,194,794     524,538 SH        SOLE         2      524,538
NVIDIA CORP                EQUITY   67066G104      2,934,099     287,375 SH        SOLE         2      287,375
NVR INC                    EQUITY   62944T105      8,981,771      13,712 SH        SOLE         2       13,712
NXSTAGE MEDICAL INC        EQUITY   67072V103        284,602      19,178 SH        SOLE         2       19,178
NYSE EURONEXT              EQUITY   629491101      3,779,149     136,777 SH        SOLE         2      136,777
O REILLY AUTOMOTIVE INC    EQUITY   686091109      2,596,966      54,604 SH        SOLE         2       54,604
OCCIDENTAL PETROLEUM CORP  EQUITY   674599105     43,266,106     560,805 SH        SOLE         2      560,805
OCEANEERING INTL INC       EQUITY   675232102     13,017,992     289,933 SH        SOLE         2      289,933
OCLARO INC                 EQUITY   67555N206        423,017      38,144 SH        SOLE         2       38,144
OCWEN FINANCIAL CORP       EQUITY   675746309        584,132      57,324 SH        SOLE         2       57,324
ODYSSEY HEALTHCARE INC     EQUITY   67611V101        816,189      30,546 SH        SOLE         2       30,546
OFFICE DEPOT INC           EQUITY   676220106        382,790      94,750 SH        SOLE         2       94,750
OFFICEMAX INC              EQUITY   67622P101      1,005,542      76,994 SH        SOLE         2       76,994
OGE ENERGY CORP            EQUITY   670837103      7,934,726     217,033 SH        SOLE         2      217,033
OLD DOMINION FREIGHT LINE  EQUITY   679580100        888,901      25,296 SH        SOLE         2       25,296
OLD NATL BANCORP/IN        EQUITY   680033107        819,745      79,126 SH        SOLE         2       79,126
OLD REPUBLIC INTL CORP     EQUITY   680223104      6,526,971     538,085 SH        SOLE         2      538,085
OLIN CORP                  EQUITY   680665205      4,253,158     235,111 SH        SOLE         2      235,111
OM GROUP INC               EQUITY   670872100        668,557      28,020 SH        SOLE         2       28,020
OMEGA HEALTHCARE INVESTORS EQUITY   681936100      5,524,875     277,214 SH        SOLE         2      277,214
OMNICARE INC               EQUITY   681904108     15,599,150     658,192 SH        SOLE         2      658,192
OMNICELL INC               EQUITY   68213N109        345,241      29,533 SH        SOLE         2       29,533
OMNICOM GROUP              EQUITY   681919106      4,787,423     139,575 SH        SOLE         2      139,575
OMNIVISION TECHNOLOGIES IN EQUITY   682128103        862,295      40,219 SH        SOLE         2       40,219
OMNOVA SOLUTIONS INC       EQUITY   682129101        269,258      34,476 SH        SOLE         2       34,476
ONEOK INC                  EQUITY   682680103      2,966,172      68,582 SH        SOLE         2       68,582
ONYX PHARMACEUTICALS INC   EQUITY   683399109      1,044,416      48,375 SH        SOLE         2       48,375
OPENTABLE INC              EQUITY   68372A104        506,307      12,209 SH        SOLE         2       12,209
OPLINK COMMUNICATIONS INC  EQUITY   68375Q403        232,261      16,208 SH        SOLE         2       16,208
OPTIMER PHARMACEUTICALS IN EQUITY   68401H104        238,740      25,754 SH        SOLE         2       25,754
OPTIONSXPRESS HOLDINGS INC EQUITY   684010101        603,975      38,372 SH        SOLE         2       38,372
ORACLE CORP                COM      68389X105    230598.4386  10745.5004 SHRS      DEFINED      3                       10745.5004
ORACLE CORP                COM      68389X105    678234.8984  31604.6085 SHRS      DEFINED      4                       31604.6085
ORACLE CORP                EQUITY   68389X105     50,646,029   2,360,020 SH        SOLE         2    2,360,020





                                                                                     
ORBITAL SCIENCES CORP      EQUITY   685564106        824,850      52,305 SH        SOLE         2       52,305
ORBITAL SCIENCES CORP.     COM      685564106        238,287      16,972 SHRS      SOLE         1       16,972
ORIENT EXPRESS HOTELS LTD  EQUITY   G67743107        518,925      70,125 SH        SOLE         2       70,125
ORIENTAL FINANCIAL GROUP   EQUITY   68618W100        323,096      25,521 SH        SOLE         2       25,521
ORION MARINE GROUP INC     EQUITY   68628V308        294,721      20,755 SH        SOLE         2       20,755
ORITANI FINANCIAL CORP     EQUITY   68633D103        930,480      93,048 SH        SOLE         2       93,048
ORTHOFIX INTERNATIONAL NV  EQUITY   N6748L102        436,008      13,604 SH        SOLE         2       13,604
OSHKOSH CORP               EQUITY   688239201      6,229,601     199,923 SH        SOLE         2      199,923
OSI SYSTEMS INC            EQUITY   671044105        416,161      14,986 SH        SOLE         2       14,986
OTTER TAIL CORP            EQUITY   689648103        536,427      27,751 SH        SOLE         2       27,751
OVERSEAS SHIPHOLDING GROUP EQUITY   690368105      2,894,861      78,155 SH        SOLE         2       78,155
OVERSTOCK.COM INC          EQUITY   690370101        205,076      11,349 SH        SOLE         2       11,349
OWENS + MINOR INC          EQUITY   690732102      5,339,158     188,131 SH        SOLE         2      188,131
OWENS ILLINOIS INC         EQUITY   690768403      2,333,393      88,219 SH        SOLE         2       88,219
OXFORD INDUSTRIES INC      EQUITY   691497309        262,630      12,548 SH        SOLE         2       12,548
P G + E CORP               EQUITY   69331C108      7,662,396     186,433 SH        SOLE         2      186,433
PACCAR INC                 EQUITY   693718108      7,297,885     183,042 SH        SOLE         2      183,042
PACKAGING CORP OF AMERICA  EQUITY   695156109      5,070,678     230,276 SH        SOLE         2      230,276
PACTIV CORPORATION         EQUITY   695257105      1,253,194      44,998 SH        SOLE         2       44,998
PACWEST BANCORP            EQUITY   695263103      1,690,434      92,323 SH        SOLE         2       92,323
PAETEC HOLDING CORP        EQUITY   695459107        331,554      97,230 SH        SOLE         2       97,230
PALL CORP                  EQUITY   696429307      1,776,207      51,679 SH        SOLE         2       51,679
PALM INC                   EQUITY   696643105      2,857,711     502,234 SH        SOLE         2      502,234
PANERA BREAD COMPANY CLASS EQUITY   69840W108      5,364,638      71,253 SH        SOLE         2       71,253
PANTRY INC                 EQUITY   698657103        247,447      17,537 SH        SOLE         2       17,537
PAPA JOHN S INTL INC       EQUITY   698813102        438,794      18,979 SH        SOLE         2       18,979
PAR PHARMACEUTICAL COS INC EQUITY   69888P106        826,229      31,827 SH        SOLE         2       31,827
PARAMETRIC TECHNOLOGY CORP EQUITY   699173209      5,422,682     346,055 SH        SOLE         2      346,055
PAREXEL INTERNATIONAL CORP EQUITY   699462107      1,148,628      52,981 SH        SOLE         2       52,981
PARK ELECTROCHEMICAL CORP  EQUITY   700416209        455,808      18,673 SH        SOLE         2       18,673
PARKER DRILLING CO         EQUITY   701081101        353,892      89,593 SH        SOLE         2       89,593
PARKER HANNIFIN CORP       EQUITY   701094104      4,876,875      87,935 SH        SOLE         2       87,935
PARKWAY PROPERTIES INC     EQUITY   70159Q104        285,266      19,579 SH        SOLE         2       19,579
PATRIOT COAL CORP          EQUITY   70336T104      2,666,686     226,952 SH        SOLE         2      226,952
PATTERSON COS INC          EQUITY   703395103      1,097,406      38,465 SH        SOLE         2       38,465
PATTERSON UTI ENERGY INC   EQUITY   703481101      4,420,742     343,492 SH        SOLE         2      343,492
PAYCHEX INC                EQUITY   704326107      5,847,327     225,157 SH        SOLE         2      225,157
PCM FUND INC               COM      69323T101       488729.4       49020 SHRS      DEFINED      3                            49020
PDL BIOPHARMA INC          EQUITY   69329Y104        519,440      92,427 SH        SOLE         2       92,427
PEABODY ENERGY CORP        EQUITY   704549104      3,609,821      92,252 SH        SOLE         2       92,252
PEBBLEBROOK HOTEL TRUST    EQUITY   70509V100        274,852      14,581 SH        SOLE         2       14,581
PEETS COFFEE + TEA INC     EQUITY   705560100        426,354      10,857 SH        SOLE         2       10,857
PEGASYSTEMS INC            EQUITY   705573103        401,214      12,495 SH        SOLE         2       12,495
PENN REAL ESTATE INVEST TS EQUITY   709102107        603,411      49,379 SH        SOLE         2       49,379
PENN VIRGINIA CORP         EQUITY   707882106        829,718      41,259 SH        SOLE         2       41,259
PENN WEST ENERGY TR        COM      707885109      374009.28       19664 SHRS      DEFINED      4                            19664
PENNANTPARK INVESTMENT COR EQUITY   708062104        232,772      24,374 SH        SOLE         2       24,374
PENNYMAC MORTGAGE INVESTME EQUITY   70931T103        205,508      12,925 SH        SOLE         2       12,925
PENSKE AUTOMOTIVE GROUP IN EQUITY   70959W103        388,035      34,158 SH        SOLE         2       34,158
PENTAIR INC                EQUITY   709631105      7,082,841     219,964 SH        SOLE         2      219,964
PEOPLE S UNITED FINANCIAL  EQUITY   712704105      1,741,433     128,995 SH        SOLE         2      128,995
PEP BOYS MANNY MOE + JACK  EQUITY   713278109        414,932      46,832 SH        SOLE         2       46,832
PEPCO HOLDINGS INC         EQUITY   713291102      3,345,689     213,373 SH        SOLE         2      213,373
PEPSICO INC                COM      713448108    1761033.677  28893.0874 SHRS      DEFINED      4                       28893.0874
PEPSICO INC                EQUITY   713448108     60,480,380     992,295 SH        SOLE         2      992,295
PERICOM SEMICONDUCTOR CORP EQUITY   713831105        220,656      22,985 SH        SOLE         2       22,985
PERKINELMER INC            EQUITY   714046109        831,657      40,235 SH        SOLE         2       40,235
PERMIAN BASIN RTY TR       COM      714236106    201286.2712  11005.2636 SHRS      DEFINED      4                       11005.2636
PERRIGO CO                 EQUITY   714290103     10,583,040     179,161 SH        SOLE         2      179,161
PETMED EXPRESS INC         EQUITY   716382106        371,468      20,869 SH        SOLE         2       20,869
PETROLEO BRASILEIRO SA
PETRO                      COM      71654V408      466683.36       13598 SHRS      DEFINED      4                            13598
PETROLEUM DEVELOPMENT CORP EQUITY   716578109        447,812      17,479 SH        SOLE         2       17,479
PETROQUEST ENERGY INC      EQUITY   716748108        336,770      49,818 SH        SOLE         2       49,818
PETSMART INC               EQUITY   716768106      7,947,985     263,440 SH        SOLE         2      263,440





                                                                                     
PF CHANG S CHINA BISTRO IN EQUITY   69333Y108        833,443      21,020 SH        SOLE         2       21,020
PFIZER INC                 COM      717081103    679492.8873  47650.2726 SHRS      DEFINED      3                       47650.2726
PFIZER INC                 COM      717081103    924270.8239  64815.6258 SHRS      DEFINED      4                       64815.6258
PFIZER INC                 EQUITY   717081103     55,682,605   3,904,811 SH        SOLE         2    3,904,811
PHARMACEUTICAL PRODUCT DEV EQUITY   717124101      6,700,795     263,707 SH        SOLE         2      263,707
PHARMASSET INC             EQUITY   71715N106        619,032      22,642 SH        SOLE         2       22,642
PHARMERICA CORP            EQUITY   71714F104        407,651      27,807 SH        SOLE         2       27,807
PHASE FORWARD INC          EQUITY   71721R406        620,629      37,208 SH        SOLE         2       37,208
PHH CORP                   EQUITY   693320202        815,045      42,807 SH        SOLE         2       42,807
PHILIP MORRIS INTERNATIONA EQUITY   718172109     43,310,961     944,829 SH        SOLE         2      944,829
PHILIP MORRIS INTL INC     COM      718172109    463704.3756   10115.715 SHRS      DEFINED      3                        10115.715
PHILIP MORRIS INTL INC     COM      718172109    1072775.849  23402.6145 SHRS      DEFINED      4                       23402.6145
PHILLIPS VAN HEUSEN        EQUITY   718592108      5,840,292     126,222 SH        SOLE         2      126,222
PICO HOLDINGS INC          EQUITY   693366205        523,006      17,451 SH        SOLE         2       17,451
PIEDMONT NATURAL GAS CO    EQUITY   720186105      1,647,890      65,134 SH        SOLE         2       65,134
PIEDMONT OFFICE REALTY
TR IN                      COM      720190206      859070.18       45866 SHRS      DEFINED      3                            45866
PIEDMONT OFFICE REALTY
TR IN                      COM      720190206    544598.1588  29076.2498 SHRS      DEFINED      4                       29076.2498
PIER 1 IMPORTS INC         EQUITY   720279108        517,575      80,745 SH        SOLE         2       80,745
PILGRIM S PRIDE CORP       EQUITY   72147K108        246,822      37,568 SH        SOLE         2       37,568
PIMCO CORPORATE OPP FD     COM      72201B101      250843.07       14545 SHRS      DEFINED      3                            14545
PIMCO ETF TR               COM      72201R833    4164054.136       41492 SHRS      DEFINED      3                            41492
PIMCO HIGH INCOME FD       COM      722014107    254169.7334  21145.5685 SHRS      DEFINED      4                       21145.5685
PINNACLE ENTERTAINMENT INC EQUITY   723456109        519,836      54,951 SH        SOLE         2       54,951
PINNACLE FINANCIAL PARTNER EQUITY   72346Q104        389,201      30,288 SH        SOLE         2       30,288
PINNACLE WEST CAPITAL      EQUITY   723484101      1,358,082      37,351 SH        SOLE         2       37,351
PIONEER DRILLING COMPANY   EQUITY   723655106        278,510      49,120 SH        SOLE         2       49,120
PIONEER HIGH INCOME TR     COM      72369H106    276434.2332  18416.6711 SHRS      DEFINED      4                       18416.6711
PIONEER NATURAL RESOURCES  EQUITY   723787107      3,223,320      54,219 SH        SOLE         2       54,219
PIPER JAFFRAY COS          EQUITY   724078100        504,275      15,651 SH        SOLE         2       15,651
PITNEY BOWES INC           EQUITY   724479100      1,550,859      70,622 SH        SOLE         2       70,622
PLAINS EXPLORATION + PRODU EQUITY   726505100      6,446,025     312,762 SH        SOLE         2      312,762
PLANTRONICS INC            EQUITY   727493108      4,151,891     145,171 SH        SOLE         2      145,171
PLATINUM UNDERWRITERS HLDG EQUITY   G7127P100      1,262,711      34,795 SH        SOLE         2       34,795
PLEXUS CORP                EQUITY   729132100        979,647      36,636 SH        SOLE         2       36,636
PLUM CREEK TIMBER CO       EQUITY   729251108      2,675,488      77,483 SH        SOLE         2       77,483
PMC   SIERRA INC           EQUITY   69344F106      1,068,833     142,132 SH        SOLE         2      142,132
PMI GROUP INC/THE          EQUITY   69344M101        319,013     110,385 SH        SOLE         2      110,385
PNC FINANCIAL SERVICES GRO EQUITY   693475105     12,461,019     220,549 SH        SOLE         2      220,549
PNM RESOURCES INC          EQUITY   69349H107      2,888,241     258,340 SH        SOLE         2      258,340
POLARIS INDUSTRIES INC     EQUITY   731068102      1,558,199      28,528 SH        SOLE         2       28,528
POLO RALPH LAUREN CORP     EQUITY   731572103      1,609,279      22,057 SH        SOLE         2       22,057
POLYCOM INC                EQUITY   73172K104      5,652,384     189,741 SH        SOLE         2      189,741
POLYONE CORPORATION        EQUITY   73179P106        708,913      84,194 SH        SOLE         2       84,194
POLYPORE INTERNATIONAL INC EQUITY   73179V103        382,191      16,807 SH        SOLE         2       16,807
POOL CORP                  EQUITY   73278L105        985,501      44,959 SH        SOLE         2       44,959
PORTFOLIO RECOVERY ASSOCIA EQUITY   73640Q105      1,028,679      15,404 SH        SOLE         2       15,404
PORTLAND GENERAL ELECTRIC  EQUITY   736508847      1,065,670      58,138 SH        SOLE         2       58,138
POST PROPERTIES INC        EQUITY   737464107      1,002,893      44,122 SH        SOLE         2       44,122
POTASH CORP OF SASKATCHEWA EQUITY   73755L107      1,124,397      13,038 SH        SOLE         2       13,038
POTLATCH CORP              EQUITY   737630103      4,253,907     119,057 SH        SOLE         2      119,057
POWER INTEGRATIONS INC     EQUITY   739276103        613,057      19,042 SH        SOLE         2       19,042
POWER ONE INC              EQUITY   73930R102        302,778      44,856 SH        SOLE         2       44,856
POWERSHARES ACTIVE MNG
ETF T                      COM      73935B508      421646.45       10915 SHRS      DEFINED      3                            10915
POWERSHARES DB CMDTY IDX
TRA                        COM      73935S105    370795.6899  17190.3426 SHRS      DEFINED      4                       17190.3426
POWERSHARES ETF TRUST      COM      73935X229      1278336.8       79105 SHRS      DEFINED      3                            79105
POWERSHARES ETF TRUST      COM      73935X468      221231.85       11445 SHRS      DEFINED      3                            11445
POWERSHARES ETF TRUST      COM      73935X757      385877.88       27801 SHRS      DEFINED      3                            27801
POWERSHARES ETF TRUST      COM      73935X849      794536.38       52580 SHRS      DEFINED      4                            52580
POWERSHARES ETF TRUST II   COM      73936Q702         561255       26350 SHRS      DEFINED      3                            26350
POWERSHARES GLOBAL ETF
TRUST                      COM      73936T474     1786513.04       74687 SHRS      DEFINED      3                            74687
POWERSHARES GLOBAL ETF
TRUST                      COM      73936T565    404500.3666  29808.4279 SHRS      DEFINED      4                       29808.4279
POWERSHARES QQQ TRUST      COM      73935A104     3152681.36       73816 SHRS      DEFINED      3                            73816
POWERSHARES QQQ TRUST      COM      73935A954    1100539.543  25767.7252 SHRS      DEFINED      4                       25767.7252
POWERSHS DB MULTI SECT
COMM                       COM      73936B200      473326.75       11203 SHRS      DEFINED      3                            11203





                                                                                     
POWERSHS DB MULTI SECT
COMM                       COM      73936B507      309125.23       12983 SHRS      DEFINED      3                            12983
POWERSHS DB US DOLLAR
INDEX                      COM      73936D107      1536804.5       61325 SHRS      DEFINED      3                            61325
PPG INDUSTRIES INC         EQUITY   693506107      3,444,518      57,019 SH        SOLE         2       57,019
PPL CORP                   COM      69351T106    864515.7635  34649.9304 SHRS      DEFINED      3                       34649.9304
PPL CORPORATION            EQUITY   69351T106      3,971,391     159,174 SH        SOLE         2      159,174
PRAXAIR INC                EQUITY   74005P104     13,436,628     176,821 SH        SOLE         2      176,821
PRECISION CASTPARTS CORP   EQUITY   740189105      7,082,234      68,813 SH        SOLE         2       68,813
PREMIERE GLOBAL SERVICES I EQUITY   740585104      1,574,292     248,311 SH        SOLE         2      248,311
PRESTIGE BRANDS HOLDINGS I EQUITY   74112D101        228,705      32,303 SH        SOLE         2       32,303
PRICELINE.COM INC          EQUITY   741503403      3,985,037      22,573 SH        SOLE         2       22,573
PRICESMART INC             EQUITY   741511109        283,406      12,200 SH        SOLE         2       12,200
PRIDE INTERNATIONAL INC    EQUITY   74153Q102      8,750,645     391,703 SH        SOLE         2      391,703
PRIMERICA INC              EQUITY   74164M108        398,570      18,590 SH        SOLE         2       18,590
PRINCIPAL FINANCIAL GROUP  EQUITY   74251V102      3,707,763     158,181 SH        SOLE         2      158,181
PRIVATEBANCORP INC         EQUITY   742962103        532,915      48,097 SH        SOLE         2       48,097
PROASSURANCE CORP          EQUITY   74267C106      1,674,647      29,504 SH        SOLE         2       29,504
PROCTER & GAMBLE CO        COM      742718109    1970878.687  32858.9311 SHRS      DEFINED      3                       32858.9311
PROCTER & GAMBLE CO        COM      742718109    1546073.156  25776.4781 SHRS      DEFINED      4                       25776.4781
PROCTER + GAMBLE CO/THE    EQUITY   742718109     92,854,198   1,548,086 SH        SOLE         2    1,548,086
PROGRESS ENERGY INC        EQUITY   743263105      3,879,486      98,916 SH        SOLE         2       98,916
PROGRESS SOFTWARE CORP     EQUITY   743312100      1,149,669      38,284 SH        SOLE         2       38,284
PROGRESSIVE CORP           EQUITY   743315103      6,370,154     340,286 SH        SOLE         2      340,286
PROLOGIS                   EQUITY   743410102      2,312,811     228,313 SH        SOLE         2      228,313
PROSHARES TR               COM      74347R297     1891154.96       53302 SHRS      DEFINED      3                            53302
PROSHARES TR               COM      74347R503     2063920.19       37519 SHRS      DEFINED      3                            37519
PROSHARES TR               COM      74347R602     1568847.38       34663 SHRS      DEFINED      3                            34663
PROSHARES TR               COM      74347R701      915145.44       16944 SHRS      DEFINED      3                            16944
PROSHARES TR               COM      74347R800      747801.87       17179 SHRS      DEFINED      3                            17179
PROSHARES TR               COM      74347R826        2327832       53885 SHRS      DEFINED      3                            53885
PROSHARES TR               COM      74347R107    1642339.833  50991.6739 SHRS      DEFINED      4                       50991.6739
PROSHARES TR               COM      74347R776      619101.75       25075 SHRS      DEFINED      4                            25075
PROSHARES TR               COM      74347X625      1519611.2       42590 SHRS      DEFINED      4                            42590
PROSHARES TR II            COM      74347W882      362119.79       14479 SHRS      DEFINED      3                            14479
PROSPECT CAPITAL CORP      EQUITY   74348T102        501,453      51,964 SH        SOLE         2       51,964
PROSPERITY BANCSHARES INC  EQUITY   743606105      4,830,389     139,004 SH        SOLE         2      139,004
PROTECTIVE LIFE CORP       EQUITY   743674103      4,088,784     191,154 SH        SOLE         2      191,154
PROVIDENT ENERGY TR        COM      74386K104    878222.3816 127834.4078 SHRS      DEFINED      3                      127834.4078
PROVIDENT FINANCIAL SERVIC EQUITY   74386T105        541,025      46,281 SH        SOLE         2       46,281
PROVIDENT NEW YORK BANCORP EQUITY   744028101        265,615      30,013 SH        SOLE         2       30,013
PRUDENTIAL FINANCIAL INC   EQUITY   744320102     10,974,114     204,512 SH        SOLE         2      204,512
PS BUSINESS PARKS INC/CA   EQUITY   69360J107        934,371      16,751 SH        SOLE         2       16,751
PSS WORLD MEDICAL INC      EQUITY   69366A100      6,694,715     316,535 SH        SOLE         2      316,535
PSYCHIATRIC SOLUTIONS INC  EQUITY   74439H108      5,577,255     170,454 SH        SOLE         2      170,454
PUBLIC SERVICE ENTERPRISE  EQUITY   744573106      5,080,379     162,157 SH        SOLE         2      162,157
PUBLIC STORAGE             EQUITY   74460D109      4,853,863      55,214 SH        SOLE         2       55,214
PULTE GROUP INC            EQUITY   745867101        909,864     109,887 SH        SOLE         2      109,887
QIAGEN N.V.                EQUITY   N72482107        262,295      13,647 SH        SOLE         2       13,647
QLOGIC CORP                EQUITY   747277101      6,021,642     362,313 SH        SOLE         2      362,313
QUAKER CHEMICAL CORP       EQUITY   747316107        274,232      10,123 SH        SOLE         2       10,123
QUALCOMM INC               COM      747525103    340712.4713   10374.923 SHRS      DEFINED      4                        10374.923
QUALCOMM INC               EQUITY   747525103     44,009,344   1,340,114 SH        SOLE         2    1,340,114
QUALITY SYSTEMS INC        EQUITY   747582104        994,413      17,148 SH        SOLE         2       17,148
QUANEX BUILDING PRODUCTS   EQUITY   747619104        594,171      34,365 SH        SOLE         2       34,365
QUANTA SERVICES INC        EQUITY   7.48E+106      7,099,140     343,784 SH        SOLE         2      343,784
QUANTUM CORP               EQUITY   747906204        311,159     165,510 SH        SOLE         2      165,510
QUEST DIAGNOSTICS          EQUITY   74834L100      2,545,636      51,148 SH        SOLE         2       51,148
QUEST SOFTWARE INC         EQUITY   74834T103      3,293,996     182,594 SH        SOLE         2      182,594
QUESTAR CORP               EQUITY   748356102      4,141,501      91,042 SH        SOLE         2       91,042
QUESTCOR PHARMACEUTICALS   EQUITY   74835Y101        433,956      42,503 SH        SOLE         2       42,503
QUICKSILVER RESOURCES INC  COM      74837R104         252912       22992 SHRS      DEFINED      4                            22992
QUICKSILVER RESOURCES INC  EQUITY   74837R104      2,926,968     266,088 SH        SOLE         2      266,088
QUIDEL CORP                EQUITY   74838J101        211,733      16,685 SH        SOLE         2       16,685
QUIKSILVER INC             EQUITY   74838C106        434,883     117,536 SH        SOLE         2      117,536
QWEST COMMUNICATIONS INTL  EQUITY   749121109      4,537,927     864,367 SH        SOLE         2      864,367





                                                                                     
RACKSPACE HOSTING INC      EQUITY   750086100      1,373,336      74,882 SH        SOLE         2       74,882
RADIAN GROUP INC           EQUITY   750236101        743,613     102,709 SH        SOLE         2      102,709
RADIANT SYSTEMS INC        EQUITY   75025N102        378,346      26,165 SH        SOLE         2       26,165
RADIOSHACK CORP            EQUITY   750438103        842,383      43,177 SH        SOLE         2       43,177
RADISYS CORP               EQUITY   750459109        208,117      21,861 SH        SOLE         2       21,861
RALCORP HOLDINGS INC       EQUITY   751028101      6,713,932     122,517 SH        SOLE         2      122,517
RAMCO GERSHENSON PROPERTIE EQUITY   751452202        295,950      29,302 SH        SOLE         2       29,302
RANGE RESOURCES CORP       EQUITY   75281A109      2,833,546      70,574 SH        SOLE         2       70,574
RAVEN INDUSTRIES INC       EQUITY   754212108        422,487      12,533 SH        SOLE         2       12,533
RAYMOND JAMES FINANCIAL IN EQUITY   754730109      5,480,736     221,982 SH        SOLE         2      221,982
RAYONIER INC               EQUITY   754907103      7,874,474     178,884 SH        SOLE         2      178,884
RAYTHEON COMPANY           EQUITY   755111507     20,097,867     415,331 SH        SOLE         2      415,331
RBC BEARINGS INC           EQUITY   75524B104        486,249      16,773 SH        SOLE         2       16,773
RC2 CORP                   EQUITY   749388104        314,580      19,527 SH        SOLE         2       19,527
RCN CORP                   EQUITY   749361200        403,809      27,266 SH        SOLE         2       27,266
REALNETWORKS INC           EQUITY   75605L104        213,371      64,658 SH        SOLE         2       64,658
REALTY INCOME CORP         COM      756109104    970099.2448  31984.8086 SHRS      DEFINED      3                       31984.8086
REALTY INCOME CORP         COM      756109104    367851.8819  12128.3179 SHRS      DEFINED      4                       12128.3179
REALTY INCOME CORP         EQUITY   756109104      7,073,168     233,207 SH        SOLE         2      233,207
RED HAT INC                EQUITY   756577102      1,841,828      63,643 SH        SOLE         2       63,643
RED ROBIN GOURMET BURGERS  EQUITY   75689M101        243,020      14,162 SH        SOLE         2       14,162
REDWOOD TRUST INC          EQUITY   758075402        880,772      60,162 SH        SOLE         2       60,162
REGAL BELOIT CORP          EQUITY   758750103      4,782,187      85,733 SH        SOLE         2       85,733
REGENCY CENTERS CORP       EQUITY   758849103      6,283,607     182,663 SH        SOLE         2      182,663
REGIONS FINANCIAL CORP     EQUITY   7591EP100      3,730,584     566,958 SH        SOLE         2      566,958
REGIS CORP                 EQUITY   758932107      2,664,930     171,158 SH        SOLE         2      171,158
REHABCARE GROUP INC        EQUITY   759148109        490,791      22,534 SH        SOLE         2       22,534
REINSURANCE GROUP OF AMERI EQUITY   759351604      7,462,386     163,255 SH        SOLE         2      163,255
RELIANCE STEEL + ALUMINUM  EQUITY   759509102      5,217,602     144,332 SH        SOLE         2      144,332
RENASANT CORP              EQUITY   7.60E+111        233,661      16,283 SH        SOLE         2       16,283
RENT A CENTER INC          EQUITY   76009N100      3,973,452     196,123 SH        SOLE         2      196,123
REPUBLIC SERVICES INC      EQUITY   760759100      3,301,814     111,060 SH        SOLE         2      111,060
RES CARE INC               EQUITY   760943100        221,707      22,951 SH        SOLE         2       22,951
RESEARCH IN MOTION         EQUITY   760975102      2,244,384      45,562 SH        SOLE         2       45,562
RESMED INC                 EQUITY   761152107     10,269,046     168,871 SH        SOLE         2      168,871
RESOLUTE ENERGY CORP       EQUITY   76116A108        358,987      29,329 SH        SOLE         2       29,329
RESOURCES CONNECTION INC   EQUITY   76122Q105      3,467,701     254,978 SH        SOLE         2      254,978
RETAIL OPPORTUNITY INVTS C EQUITY   76131N101        311,570      32,287 SH        SOLE         2       32,287
REX ENERGY CORP            EQUITY   761565100        251,581      24,909 SH        SOLE         2       24,909
REYNOLDS AMERICAN INC      EQUITY   761713106     12,863,685     246,809 SH        SOLE         2      246,809
RF MICRO DEVICES INC       EQUITY   749941100      8,382,293   2,143,809 SH        SOLE         2    2,143,809
RIGEL PHARMACEUTICALS INC  EQUITY   766559603        288,994      40,138 SH        SOLE         2       40,138
RIGHTNOW TECHNOLOGIES INC  EQUITY   76657R106        262,415      16,725 SH        SOLE         2       16,725
RITE AID CORP              EQUITY   767754104        421,919     430,530 SH        SOLE         2      430,530
RIVERBED TECHNOLOGY INC    EQUITY   768573107      1,345,149      48,702 SH        SOLE         2       48,702
RLI CORP                   EQUITY   749607107        866,468      16,501 SH        SOLE         2       16,501
ROBBINS + MYERS INC        EQUITY   770196103        548,283      25,220 SH        SOLE         2       25,220
ROBERT HALF INTL INC       EQUITY   770323103      1,414,248      60,053 SH        SOLE         2       60,053
ROCK TENN COMPANY  CL A    EQUITY   772739207      5,765,545     116,077 SH        SOLE         2      116,077
ROCKWELL AUTOMATION INC    EQUITY   773903109      2,365,647      48,190 SH        SOLE         2       48,190
ROCKWELL COLLINS INC.      EQUITY   774341101      2,844,580      53,540 SH        SOLE         2       53,540
ROCKWOOD HOLDINGS INC      EQUITY   774415103        913,159      40,245 SH        SOLE         2       40,245
ROFIN SINAR TECHNOLOGIES I EQUITY   775043102        513,775      24,677 SH        SOLE         2       24,677
ROGERS CORP                EQUITY   775133101        397,805      14,325 SH        SOLE         2       14,325
ROLLINS INC                EQUITY   775711104      2,682,314     129,643 SH        SOLE         2      129,643
ROPER INDUSTRIES INC       EQUITY   776696106      2,805,219      50,129 SH        SOLE         2       50,129
ROSETTA RESOURCES INC      EQUITY   777779307        806,445      40,709 SH        SOLE         2       40,709
ROSS STORES INC            EQUITY   778296103      2,586,590      48,538 SH        SOLE         2       48,538
ROVI CORP                  EQUITY   779376102      8,614,858     227,245 SH        SOLE         2      227,245
ROWAN COMPANIES INC        EQUITY   779382100        859,236      39,163 SH        SOLE         2       39,163
ROYAL BK SCOTLAND GROUP
PLC                        COM      780097713      273891.87       22617 SHRS      DEFINED      4                            22617
ROYAL BK SCOTLAND GROUP
PLC                        COM      780097788      661326.75       47475 SHRS      DEFINED      4                            47475
RPC INC                    EQUITY   749660106        304,231      22,288 SH        SOLE         2       22,288
RPM INTERNATIONAL INC      EQUITY   749685103      5,156,260     289,028 SH        SOLE         2      289,028





                                                                                     
RR DONNELLEY + SONS CO     EQUITY   257867101      1,984,011     121,198 SH        SOLE         2      121,198
RSC HOLDINGS INC           EQUITY   74972L102        234,571      38,018 SH        SOLE         2       38,018
RTI INTERNATIONAL METALS I EQUITY   74973W107        658,275      27,303 SH        SOLE         2       27,303
RUBICON TECHNOLOGY INC     EQUITY   78112T107      1,245,401      41,806 SH        SOLE         2       41,806
RUBY TUESDAY INC           EQUITY   781182100        497,607      58,542 SH        SOLE         2       58,542
RUDDICK CORP               EQUITY   781258108      3,854,257     124,371 SH        SOLE         2      124,371
RUDOLPH TECHNOLOGIES INC   EQUITY   781270103        213,718      28,307 SH        SOLE         2       28,307
RUE21 INC                  EQUITY   781295100        343,995      11,338 SH        SOLE         2       11,338
RUSH ENTERPRISES INC CL A  EQUITY   781846209        328,910      24,619 SH        SOLE         2       24,619
RUTHS HOSPITALITY GROUP
INC                        COM      783332109         203566       48700 SHRS      DEFINED      4                            48700
RYDER SYSTEM INC           EQUITY   783549108        728,445      18,107 SH        SOLE         2       18,107
RYDEX ETF TRUST            COM      78355W106      3364729.2       89014 SHRS      DEFINED      3                            89014
RYLAND GROUP INC           EQUITY   783764103      2,077,530     131,323 SH        SOLE         2      131,323
S + T BANCORP INC          EQUITY   783859101        442,170      22,377 SH        SOLE         2       22,377
S1 CORPORATION             EQUITY   78463B101        240,346      39,991 SH        SOLE         2       39,991
SAFETY INSURANCE GROUP INC EQUITY   78648T100        436,873      11,801 SH        SOLE         2       11,801
SAFEWAY INC                EQUITY   786514208      3,277,479     166,708 SH        SOLE         2      166,708
SAIC INC                   EQUITY   78390X101      1,664,274      99,419 SH        SOLE         2       99,419
SAKS INC                   EQUITY   79377W108      7,839,961   1,032,933 SH        SOLE         2    1,032,933
SALARY.COM INC             COM      794006106        498,297     174,841 SHRS      SOLE         1      174,841
SALESFORCE.COM INC         EQUITY   79466L302      7,372,882      85,911 SH        SOLE         2       85,911
SALIX PHARMACEUTICALS LTD  EQUITY   795435106      2,018,866      51,726 SH        SOLE         2       51,726
SALLY BEAUTY HOLDINGS INC  EQUITY   7.95E+108        596,976      72,802 SH        SOLE         2       72,802
SAN JUAN BASIN RTY TR      COM      798241105      510388.69       20909 SHRS      DEFINED      3                            20909
SANDERSON FARMS INC        EQUITY   800013104      1,024,542      20,192 SH        SOLE         2       20,192
SANDISK CORP               EQUITY   80004C101      4,844,571     115,155 SH        SOLE         2      115,155
SANDY SPRING BANCORP INC   EQUITY   800363103        259,521      18,524 SH        SOLE         2       18,524
SANMINA SCI CORP           EQUITY   800907206      5,111,930     375,601 SH        SOLE         2      375,601
SAPIENT CORPORATION        EQUITY   803062108        807,083      79,594 SH        SOLE         2       79,594
SARA LEE CORP              EQUITY   803111103      4,298,427     304,853 SH        SOLE         2      304,853
SAVIENT PHARMACEUTICALS IN EQUITY   80517Q100        772,128      61,280 SH        SOLE         2       61,280
SAVVIS INC                 EQUITY   805423308        427,101      28,956 SH        SOLE         2       28,956
SCANA CORP                 EQUITY   80589M102      1,396,500      39,052 SH        SOLE         2       39,052
SCANSOURCE INC             EQUITY   806037107        607,793      24,380 SH        SOLE         2       24,380
SCHLUMBERGER LTD           EQUITY   806857108     51,983,684     939,351 SH        SOLE         2      939,351
SCHOLASTIC CORP            EQUITY   807066105      1,933,507      80,162 SH        SOLE         2       80,162
SCHOOL SPECIALTY INC       EQUITY   807863105        302,420      16,736 SH        SOLE         2       16,736
SCHULMAN (A.) INC          EQUITY   808194104        541,915      28,582 SH        SOLE         2       28,582
SCHWAB (CHARLES) CORP      EQUITY   808513105      9,477,175     668,348 SH        SOLE         2      668,348
SCHWEITZER MAUDUIT INTL IN EQUITY   808541106        840,901      16,668 SH        SOLE         2       16,668
SCIENTIFIC GAMES CORP A    EQUITY   80874P109      1,800,661     195,724 SH        SOLE         2      195,724
SCOTTS MIRACLE GRO CO CL A EQUITY   810186106      4,495,669     101,231 SH        SOLE         2      101,231
SCRIPPS NETWORKS INTER CL  EQUITY   811065101      1,804,731      44,738 SH        SOLE         2       44,738
SEABRIDGE GOLD INC         EQUITY   811916105     21,510,250     695,000 SH        SOLE         2      695,000
SEAGATE TECHNOLOGY         EQUITY   G7945J104        493,186      37,821 SH        SOLE         2       37,821
SEALED AIR CORP            EQUITY   81211K100      1,947,291      98,747 SH        SOLE         2       98,747
SEARS HOLDINGS CORP        EQUITY   812350106      1,523,671      23,568 SH        SOLE         2       23,568
SEATTLE GENETICS INC       EQUITY   812578102        774,074      64,560 SH        SOLE         2       64,560
SEI INVESTMENTS COMPANY    EQUITY   784117103      5,859,710     287,805 SH        SOLE         2      287,805
SELECT COMFORT CORPORATION EQUITY   81616X103        369,136      42,187 SH        SOLE         2       42,187
SELECT MEDICAL HOLDINGS CO EQUITY   81619Q105        263,078      38,802 SH        SOLE         2       38,802
SELECT SECTOR SPDR TR      COM      81369Y308    994817.7224  39012.4597 SHRS      DEFINED      3                       39012.4597
SELECT SECTOR SPDR TR      COM      81369Y803    493416.5156  24187.0841 SHRS      DEFINED      3                       24187.0841
SELECT SECTOR SPDR TR      COM      81369Y886    718181.9973  25413.3757 SHRS      DEFINED      3                       25413.3757
SELECT SECTOR SPDR TR      COM      81369Y506    574212.3497  11558.2196 SHRS      DEFINED      4                       11558.2196
SELECT SECTOR SPDR TR      COM      81369Y605    248688.7109  18007.8719 SHRS      DEFINED      4                       18007.8719
SELECT SECTOR SPDR TR      EQUITY   81369Y605     11,926,316     863,600 SH        SOLE         2      863,600
SELECTIVE INSURANCE GROUP  EQUITY   816300107        718,392      48,344 SH        SOLE         2       48,344
SEMPRA ENERGY              EQUITY   816851109      3,991,936      85,316 SH        SOLE         2       85,316
SEMTECH CORP               EQUITY   816850101      3,017,891     184,355 SH        SOLE         2      184,355
SENIOR HOUSING PROP TRUST  EQUITY   81721M109      5,720,450     284,458 SH        SOLE         2      284,458
SENSIENT TECHNOLOGIES CORP EQUITY   81725T100      3,828,305     147,640 SH        SOLE         2      147,640
SEQUENOM INC               EQUITY   817337405        283,798      48,020 SH        SOLE         2       48,020
SERVICE CORP INTERNATIONAL EQUITY   817565104      4,209,978     568,916 SH        SOLE         2      568,916





                                                                                     
SFN GROUP INC              EQUITY   784153108        257,330      47,130 SH        SOLE         2       47,130
SHARPS COMPLIANCE CORP     EQUITY   820017101      2,556,749     555,815 SH        SOLE         2      555,815
SHAW GROUP INC             EQUITY   820280105      6,431,170     187,936 SH        SOLE         2      187,936
SHENANDOAH TELECOMMUNICATI EQUITY   82312B106        325,227      18,333 SH        SOLE         2       18,333
SHERWIN WILLIAMS CO/THE    EQUITY   824348106      3,511,946      50,758 SH        SOLE         2       50,758
SHIP FINANCE
INTERNATIONAL L            COM      G81075106      547235.28       30606 SHRS      DEFINED      4                            30606
SHIP FINANCE INTL LTD      EQUITY   G81075106        617,343      34,527 SH        SOLE         2       34,527
SHUFFLE MASTER INC         EQUITY   825549108        389,630      48,643 SH        SOLE         2       48,643
SHUTTERFLY INC             EQUITY   82568P304        496,954      20,741 SH        SOLE         2       20,741
SIGMA ALDRICH              EQUITY   826552101      2,378,785      47,738 SH        SOLE         2       47,738
SIGMA DESIGNS INC          EQUITY   826565103        277,147      27,687 SH        SOLE         2       27,687
SIGNATURE BANK             EQUITY   82669G104      9,155,507     240,871 SH        SOLE         2      240,871
SILGAN HOLDINGS INC        EQUITY   827048109      4,545,994     160,183 SH        SOLE         2      160,183
SILICON IMAGE INC          EQUITY   82705T102        207,739      59,185 SH        SOLE         2       59,185
SILICON LABORATORIES INC   EQUITY   826919102      4,154,642     102,432 SH        SOLE         2      102,432
SILVER WHEATON CORP        COM      828336107       277842.3       13823 SHRS      DEFINED      3                            13823
SIMMONS FIRST NATL CORP CL EQUITY   828730200        403,117      15,351 SH        SOLE         2       15,351
SIMON PROPERTY GROUP INC   EQUITY   828806109     10,143,896     125,621 SH        SOLE         2      125,621
SIMPSON MANUFACTURING CO I EQUITY   829073105        874,471      35,620 SH        SOLE         2       35,620
SINCLAIR BROADCAST GROUP A EQUITY   829226109        203,566      34,917 SH        SOLE         2       34,917
SIRIUS XM RADIO INC        COM      82967N108     426714.795      449410 SHRS      DEFINED      4                           449410
SIRONA DENTAL SYSTEMS INC  EQUITY   82966C103        900,753      25,854 SH        SOLE         2       25,854
SJW CORP                   EQUITY   784305104        234,447      10,002 SH        SOLE         2       10,002
SKECHERS USA INC CL A      EQUITY   830566105      1,144,756      31,346 SH        SOLE         2       31,346
SKYWEST INC                EQUITY   830879102        620,434      50,772 SH        SOLE         2       50,772
SKYWORKS SOLUTIONS INC     EQUITY   83088M102      1,295,063      77,133 SH        SOLE         2       77,133
SL GREEN REALTY CORP       EQUITY   78440X101      9,580,868     174,071 SH        SOLE         2      174,071
SLM CORP                   EQUITY   78442P106      2,484,301     239,105 SH        SOLE         2      239,105
SMART MODULAR TECHNOLOGIES EQUITY   G82245104        237,416      40,584 SH        SOLE         2       40,584
SMITH (A.O.) CORP          EQUITY   831865209      1,051,313      21,816 SH        SOLE         2       21,816
SMITH INTERNATIONAL INC    EQUITY   832110100      4,364,124     115,913 SH        SOLE         2      115,913
SMITH MICRO SOFTWARE INC   EQUITY   832154108        262,837      27,638 SH        SOLE         2       27,638
SMITHFIELD FOODS INC       EQUITY   832248108      4,906,555     329,299 SH        SOLE         2      329,299
SNAP ON INC                EQUITY   833034101      1,042,264      25,477 SH        SOLE         2       25,477
SOLARWINDS INC             EQUITY   83416B109        432,855      26,986 SH        SOLE         2       26,986
SOLERA HOLDINGS INC        EQUITY   83421A104      5,642,349     155,866 SH        SOLE         2      155,866
SOLUTIA INC                EQUITY   834376501      1,227,784      93,724 SH        SOLE         2       93,724
SONIC AUTOMOTIVE INC CLASS EQUITY   83545G102        309,966      36,211 SH        SOLE         2       36,211
SONIC CORP                 EQUITY   835451105        430,319      55,525 SH        SOLE         2       55,525
SONICWALL INC              EQUITY   835470105        500,010      42,554 SH        SOLE         2       42,554
SONOCO PRODUCTS CO         EQUITY   835495102      6,830,842     224,109 SH        SOLE         2      224,109
SONOSITE INC               EQUITY   83568G104        305,313      11,262 SH        SOLE         2       11,262
SONUS NETWORKS INC         EQUITY   835916107        435,725     160,784 SH        SOLE         2      160,784
SOTHEBY S                  EQUITY   835898107      4,568,740     199,770 SH        SOLE         2      199,770
SOURCEFIRE INC             EQUITY   83616T108        403,161      21,219 SH        SOLE         2       21,219
SOUTH JERSEY INDUSTRIES    EQUITY   838518108      9,932,137     231,195 SH        SOLE         2      231,195
SOUTHERN CO                COM      842587107    540385.9602  16237.5589 SHRS      DEFINED      3                       16237.5589
SOUTHERN CO                EQUITY   842587107      8,795,039     264,274 SH        SOLE         2      264,274
SOUTHERN UNION CO          EQUITY   844030106      6,074,610     277,887 SH        SOLE         2      277,887
SOUTHSIDE BANCSHARES INC   EQUITY   84470P109        239,569      12,198 SH        SOLE         2       12,198
SOUTHWEST AIRLINES CO      EQUITY   844741108      3,871,402     348,461 SH        SOLE         2      348,461
SOUTHWEST GAS CORP         EQUITY   844895102      1,214,840      41,181 SH        SOLE         2       41,181
SOUTHWEST WATER CO         EQUITY   845331107        222,742      21,254 SH        SOLE         2       21,254
SOUTHWESTERN ENERGY CO     EQUITY   845467109      5,802,801     150,176 SH        SOLE         2      150,176
SOVRAN SELF STORAGE INC    EQUITY   84610H108        861,989      25,036 SH        SOLE         2       25,036
SPARTAN STORES INC         EQUITY   846822104        280,327      20,432 SH        SOLE         2       20,432
SPARTECH CORP              EQUITY   847220209        244,616      23,865 SH        SOLE         2       23,865
SPDR DOW JONES INDL AVRG
ETF                        COM      78467X109      1450313.2       14840 SHRS      DEFINED      3                            14840
SPDR GOLD TRUST            COM      78463V107     7564602.24       62168 SHRS      DEFINED      3                            62168
SPDR GOLD TRUST            COM      78463V107     2781361.44       22858 SHRS      DEFINED      4                            22858
SPDR S&P 500 ETF TR        COM      78462F103    1541678.169  14935.8474 SHRS      DEFINED      3                       14935.8474
SPDR S&P 500 ETF TR        COM      78462F103    1639895.962  15887.3858 SHRS      DEFINED      4                       15887.3858
SPDR S&P MIDCAP 400 ETF TR COM      78467Y107    2049822.272  15870.4109 SHRS      DEFINED      3                       15870.4109
SPDR SERIES TRUST          COM      78464A417      523718.52       13844 SHRS      DEFINED      3                            13844





                                                                                     
SPDR SERIES TRUST          COM      78464A714     1055061.75       29595 SHRS      DEFINED      3                            29595
SPDR SERIES TRUST          COM      78464A730      524922.37       13463 SHRS      DEFINED      4                            13463
SPECTRA ENERGY CORP        EQUITY   847560109      7,359,268     366,680 SH        SOLE         2      366,680
SPECTRUM BRANDS HLDGS INC  EQUITY   84763R101        356,333      14,051 SH        SOLE         2       14,051
SPRINT NEXTEL CORP         EQUITY   852061100      5,938,031   1,400,479 SH        SOLE         2    1,400,479
SPX CORP                   EQUITY   784635104      5,879,865     111,340 SH        SOLE         2      111,340
SRA INTERNATIONAL INC CL A EQUITY   78464R105      2,528,539     128,548 SH        SOLE         2      128,548
ST JUDE MEDICAL INC        EQUITY   790849103     10,506,340     291,115 SH        SOLE         2      291,115
STAGE STORES INC           EQUITY   85254C305        374,751      35,089 SH        SOLE         2       35,089
STANCORP FINANCIAL GROUP   EQUITY   852891100      4,286,578     105,737 SH        SOLE         2      105,737
STANDARD MICROSYSTEMS CORP EQUITY   853626109        473,701      20,348 SH        SOLE         2       20,348
STANDARD PACIFIC CORP      EQUITY   85375C101        319,630      95,985 SH        SOLE         2       95,985
STANDEX INTERNATIONAL CORP EQUITY   854231107        287,089      11,325 SH        SOLE         2       11,325
STANLEY BLACK + DECKER INC EQUITY   854502101      4,130,465      81,759 SH        SOLE         2       81,759
STANLEY INC                EQUITY   854532108        485,716      12,994 SH        SOLE         2       12,994
STAPLES INC                EQUITY   855030102      6,033,897     316,740 SH        SOLE         2      316,740
STARBUCKS CORP             COM      855244109       769508.1       31667 SHRS      DEFINED      4                            31667
STARBUCKS CORP             EQUITY   855244109      9,104,700     374,679 SH        SOLE         2      374,679
STARWOOD HOTELS + RESORTS  EQUITY   85590A401      5,186,000     125,175 SH        SOLE         2      125,175
STARWOOD PROPERTY TRUST IN EQUITY   85571B105        622,913      36,750 SH        SOLE         2       36,750
STATE STREET CORP          EQUITY   857477103      7,948,918     235,036 SH        SOLE         2      235,036
STEC INC                   COM      784774101      1126506.4       89690 SHRS      DEFINED      4                            89690
STEC INC                   EQUITY   784774101      2,939,768     234,058 SH        SOLE         2      234,058
STEEL DYNAMICS INC         COM      858119100    271963.7619  20618.9357 SHRS      DEFINED      4                       20618.9357
STEEL DYNAMICS INC         EQUITY   858119100      6,376,006     483,397 SH        SOLE         2      483,397
STEELCASE INC CL A         EQUITY   858155203        458,451      59,155 SH        SOLE         2       59,155
STEINER LEISURE LTD        EQUITY   P8744Y102        440,292      11,454 SH        SOLE         2       11,454
STEINWAY MUSICAL
INSTRUMENTS                COM      858495104      2,753,405     166,671 SHRS      SOLE         1      166,671
STELLARONE CORP            EQUITY   85856G100        225,237      17,638 SH        SOLE         2       17,638
STERICYCLE INC             EQUITY   858912108      2,396,949      36,550 SH        SOLE         2       36,550
STERIS CORP                EQUITY   859152100      5,490,873     176,669 SH        SOLE         2      176,669
STERLING BANCORP N Y       EQUITY   859158107      5,088,312     565,368 SH        SOLE         2      565,368
STERLING BANCSHARES INC/TX EQUITY   858907108        398,438      84,594 SH        SOLE         2       84,594
STEVEN MADDEN LTD          EQUITY   556269108        596,894      18,937 SH        SOLE         2       18,937
STEWART ENTERPRISES INC CL EQUITY   860370105        340,062      62,858 SH        SOLE         2       62,858
STIFEL FINANCIAL CORP      EQUITY   860630102      1,222,036      28,164 SH        SOLE         2       28,164
STILLWATER MINING CO       EQUITY   86074Q102        399,054      34,342 SH        SOLE         2       34,342
STONE ENERGY CORP          EQUITY   861642106        435,474      39,021 SH        SOLE         2       39,021
STR HOLDINGS INC           EQUITY   78478V100        411,870      21,908 SH        SOLE         2       21,908
STRATASYS INC              EQUITY   862685104        457,258      18,618 SH        SOLE         2       18,618
STRATEGIC HOTELS + RESORTS EQUITY   86272T106        476,491     108,540 SH        SOLE         2      108,540
STRAYER EDUCATION INC      EQUITY   863236105      6,434,611      30,952 SH        SOLE         2       30,952
STRYKER CORP               EQUITY   863667101      6,133,752     122,528 SH        SOLE         2      122,528
STURM RUGER + CO INC       EQUITY   864159108        248,654      17,352 SH        SOLE         2       17,352
SUCCESSFACTORS INC         EQUITY   864596101      1,010,228      48,592 SH        SOLE         2       48,592
SUN COMMUNITIES INC        EQUITY   866674104        380,677      14,664 SH        SOLE         2       14,664
SUN HEALTHCARE GROUP INC   EQUITY   866933401      4,512,228     558,444 SH        SOLE         2      558,444
SUNCOR ENERGY INC NEW      COM      867224107    490634.3867  16665.5702 SHRS      DEFINED      4                       16665.5702
SUNOCO INC                 EQUITY   86764P109      1,445,389      41,570 SH        SOLE         2       41,570
SUNSTONE HOTEL INVESTORS I EQUITY   867892101        755,574      76,090 SH        SOLE         2       76,090
SUNTRUST BANKS INC         EQUITY   867914103      5,198,789     223,124 SH        SOLE         2      223,124
SUPER MICRO COMPUTER INC   EQUITY   86800U104        254,678      18,865 SH        SOLE         2       18,865
SUPERIOR ENERGY SERVICES I EQUITY   868157108      3,273,822     175,352 SH        SOLE         2      175,352
SUPERIOR INDUSTRIES INTL   EQUITY   868168105        282,132      20,992 SH        SOLE         2       20,992
SUPERIOR WELL SERVICES INC EQUITY   86837X105        335,303      20,054 SH        SOLE         2       20,054
SUPERMEDIA INC             COM      868447103        632,665      35,603 SHRS      SOLE         1       35,603
SUPERTEX INC               EQUITY   868532102        961,839      39,004 SH        SOLE         2       39,004
SUPERVALU INC              EQUITY   868536103        792,426      73,102 SH        SOLE         2       73,102
SURMODICS INC              EQUITY   868873100        259,262      15,799 SH        SOLE         2       15,799
SUSQUEHANNA BANCSHARES INC EQUITY   869099101        980,316     117,685 SH        SOLE         2      117,685
SVB FINANCIAL GROUP        EQUITY   78486Q101      5,130,538     124,437 SH        SOLE         2      124,437
SWIFT ENERGY CO            EQUITY   870738101        923,847      34,331 SH        SOLE         2       34,331
SWS GROUP INC              EQUITY   78503N107        246,297      25,926 SH        SOLE         2       25,926
SYBASE INC                 EQUITY   871130100     12,503,369     193,371 SH        SOLE         2      193,371





                                                                                     
SYCAMORE NETWORKS INC      EQUITY   871206405        247,788      14,909 SH        SOLE         2       14,909
SYKES ENTERPRISES INC      EQUITY   871237103        531,348      37,340 SH        SOLE         2       37,340
SYMANTEC CORP              EQUITY   871503108      5,157,572     371,583 SH        SOLE         2      371,583
SYMMETRICOM INC            EQUITY   871543104        202,699      39,823 SH        SOLE         2       39,823
SYMMETRY MEDICAL INC       EQUITY   871546206        343,983      32,636 SH        SOLE         2       32,636
SYNAPTICS INC              EQUITY   87157D109        845,570      30,748 SH        SOLE         2       30,748
SYNCHRONOSS TECHNOLOGIES I EQUITY   87157B103        297,962      15,707 SH        SOLE         2       15,707
SYNERON MEDICAL LTD        EQUITY   M87245102        282,546      27,485 SH        SOLE         2       27,485
SYNIVERSE HOLDINGS INC     EQUITY   87163F106     10,191,135     498,344 SH        SOLE         2      498,344
SYNNEX CORP                EQUITY   87162W100        517,370      20,194 SH        SOLE         2       20,194
SYNOPSYS INC               EQUITY   871607107      6,894,196     330,340 SH        SOLE         2      330,340
SYNOVUS FINANCIAL CORP     EQUITY   87161C105      4,440,667   1,748,294 SH        SOLE         2    1,748,294
SYNTA PHARMACEUTICALS      COM      87162T206      3,452,263   1,207,085 SHRS      SOLE         1    1,207,085
SYNTEL INC                 EQUITY   87162H103        345,204      10,168 SH        SOLE         2       10,168
SYNUTRA INTERNATIONAL INC  EQUITY   87164C102        224,569      13,888 SH        SOLE         2       13,888
SYSCO CORP                 COM      871829107    359597.7592  12586.5509 SHRS      DEFINED      3                       12586.5509
SYSCO CORP                 EQUITY   871829107     18,567,329     649,889 SH        SOLE         2      649,889
T 3 ENERGY SERVICES INC    EQUITY   8.73E+111        281,623      10,094 SH        SOLE         2       10,094
T ROWE PRICE GROUP INC     EQUITY   74144T108      5,047,942     113,718 SH        SOLE         2      113,718
TAKE TWO INTERACTIVE SOFTW EQUITY   874054109        592,605      65,845 SH        SOLE         2       65,845
TAL INTERNATIONAL GROUP IN EQUITY   874083108        290,447      12,926 SH        SOLE         2       12,926
TALBOTS INC                EQUITY   874161102        559,049      54,224 SH        SOLE         2       54,224
TALEO CORP CLASS A         EQUITY   87424N104        873,420      35,958 SH        SOLE         2       35,958
TANGER FACTORY OUTLET CENT EQUITY   875465106      1,520,260      36,739 SH        SOLE         2       36,739
TARGACEPT INC              EQUITY   87611R306        355,943      18,414 SH        SOLE         2       18,414
TARGET CORP                EQUITY   8.76E+110     32,339,896     657,716 SH        SOLE         2      657,716
TASER INTL INC             COM      87651B104         319020       81800 SHRS      DEFINED      4                            81800
TCF FINANCIAL CORP         EQUITY   872275102      4,594,525     276,612 SH        SOLE         2      276,612
TECH DATA CORP             EQUITY   878237106      4,033,502     113,237 SH        SOLE         2      113,237
TECHNE CORP                EQUITY   878377100      4,766,856      82,974 SH        SOLE         2       82,974
TECO ENERGY INC            EQUITY   872375100      2,653,345     176,068 SH        SOLE         2      176,068
TEEKAY TANKERS LTD CLASS A EQUITY   Y8565N102        232,372      20,878 SH        SOLE         2       20,878
TEJON RANCH CO             EQUITY   879080109        233,477      10,116 SH        SOLE         2       10,116
TEKELEC                    EQUITY   879101103        820,933      62,004 SH        SOLE         2       62,004
TELEDYNE TECHNOLOGIES INC  EQUITY   879360105      1,268,819      32,888 SH        SOLE         2       32,888
TELEFLEX INC               EQUITY   879369106      4,837,488      89,121 SH        SOLE         2       89,121
TELENAV INC                EQUITY   879455103      2,095,109     249,715 SH        SOLE         2      249,715
TELEPHONE AND DATA SYSTEMS EQUITY   879433100      6,227,732     204,927 SH        SOLE         2      204,927
TELETECH HOLDINGS INC      EQUITY   879939106        356,344      27,645 SH        SOLE         2       27,645
TELLABS INC                EQUITY   879664100      1,297,828     203,103 SH        SOLE         2      203,103
TEMPLE INLAND INC          EQUITY   879868107      4,962,123     240,064 SH        SOLE         2      240,064
TEMPLETON EMERG MKTS
INCOME                     COM      880191101       403762.5       27750 SHRS      DEFINED      4                            27750
TEMPLETON GLOBAL INCOME FD COM      880198106     2065003.68      214212 SHRS      DEFINED      3                           214212
TENET HEALTHCARE CORP      EQUITY   88033G100        821,931     189,385 SH        SOLE         2      189,385
TENNANT CO                 EQUITY   880345103        493,096      14,580 SH        SOLE         2       14,580
TENNECO INC                EQUITY   880349105        971,561      46,133 SH        SOLE         2       46,133
TERADATA CORP              EQUITY   88076W103      1,714,104      56,237 SH        SOLE         2       56,237
TERADYNE INC               EQUITY   880770102        632,668      64,889 SH        SOLE         2       64,889
TEREX CORP                 EQUITY   880779103      9,774,953     521,609 SH        SOLE         2      521,609
TEREX CORP NEW             COM      880779103      323977.12       17288 SHRS      DEFINED      3                            17288
TEREX CORP NEW             COM      880779103      423261.64       22586 SHRS      DEFINED      4                            22586
TERREMARK WORLDWIDE INC    EQUITY   881448203        351,333      44,985 SH        SOLE         2       44,985
TESCO CORP                 EQUITY   88157K101        286,308      23,315 SH        SOLE         2       23,315
TESORO CORP                COM      881609101      251243.43       21529 SHRS      DEFINED      3                            21529
TESORO CORP                EQUITY   881609101        567,827      48,657 SH        SOLE         2       48,657
TESSERA TECHNOLOGIES INC   EQUITY   88164L100        731,543      45,579 SH        SOLE         2       45,579
TETRA TECH INC             EQUITY   88162G103      5,970,716     304,473 SH        SOLE         2      304,473
TETRA TECHNOLOGIES INC     EQUITY   88162F105        623,769      68,697 SH        SOLE         2       68,697
TEVA PHARMACEUTICAL
INDS LTD                   COM      881624209      545479.08       10492 SHRS      DEFINED      3                            10492
TEVA PHARMACEUTICAL
INDS LTD                   COM      881624209    632861.7664  12172.7595 SHRS      DEFINED      4                       12172.7595
TEVA PHARMACEUTICAL SP ADR EQUITY   881624209      8,002,665     153,927 SH        SOLE         2      153,927
TEXAS CAPITAL BANCSHARES I EQUITY   88224Q107        462,742      28,216 SH        SOLE         2       28,216
TEXAS INDUSTRIES INC       EQUITY   882491103        585,690      19,827 SH        SOLE         2       19,827
TEXAS INSTRS INC           COM      882508104      348338.64       14963 SHRS      DEFINED      4                            14963





                                                                                     
TEXAS INSTRUMENTS INC      EQUITY   882508104      9,095,310     390,692 SH        SOLE         2      390,692
TEXAS ROADHOUSE INC        COM      882681109         281426       22300 SHRS      DEFINED      4                            22300
TEXAS ROADHOUSE INC        EQUITY   882681109        648,668      51,400 SH        SOLE         2       51,400
TEXTRON INC                EQUITY   883203101      1,583,097      93,288 SH        SOLE         2       93,288
THERAVANCE INC             EQUITY   88338T104        606,578      48,256 SH        SOLE         2       48,256
THERMO FISHER SCIENTIFIC I EQUITY   883556102     26,262,498     535,423 SH        SOLE         2      535,423
THOMAS + BETTS CORP        EQUITY   884315102      4,088,111     117,813 SH        SOLE         2      117,813
THOMAS WEISEL PARTNERS
GROUP INC                  COM      884481102        221,823      37,661 SHRS      SOLE         1       37,661
THOMPSON CREEK METALS CO I EQUITY   884768102        937,136     107,965 SH        SOLE         2      107,965
THOR INDUSTRIES INC        EQUITY   885160101      2,066,393      87,006 SH        SOLE         2       87,006
THORATEC CORP              EQUITY   885175307      5,453,929     127,637 SH        SOLE         2      127,637
THQ INC                    EQUITY   872443403        265,045      61,353 SH        SOLE         2       61,353
TIBCO SOFTWARE INC         EQUITY   88632Q103      5,972,281     495,214 SH        SOLE         2      495,214
TIDEWATER INC              EQUITY   886423102      4,481,646     115,745 SH        SOLE         2      115,745
TIFFANY + CO               EQUITY   886547108      1,626,680      42,909 SH        SOLE         2       42,909
TIMBERLAND CO CLASS A      EQUITY   887100105      2,045,494     126,656 SH        SOLE         2      126,656
TIME WARNER CABLE          EQUITY   88732J207      8,565,077     164,460 SH        SOLE         2      164,460
TIME WARNER INC            EQUITY   887317303     15,128,516     523,297 SH        SOLE         2      523,297
TIMKEN CO                  EQUITY   887389104      4,602,777     177,098 SH        SOLE         2      177,098
TITAN INTERNATIONAL INC    EQUITY   88830M102      5,356,223     537,234 SH        SOLE         2      537,234
TITANIUM METALS CORP       EQUITY   888339207        845,991      48,095 SH        SOLE         2       48,095
TIVO INC                   EQUITY   888706108        658,156      89,181 SH        SOLE         2       89,181
TJX COMPANIES INC          EQUITY   872540109      6,121,847     145,932 SH        SOLE         2      145,932
TNS INC                    EQUITY   872960109        351,067      20,130 SH        SOLE         2       20,130
TOLL BROTHERS INC          EQUITY   889478103      5,138,152     314,068 SH        SOLE         2      314,068
TOOTSIE ROLL INDS          EQUITY   890516107      1,846,166      78,062 SH        SOLE         2       78,062
TORCHMARK CORP             EQUITY   891027104      1,465,001      29,590 SH        SOLE         2       29,590
TOTAL SYSTEM SERVICES INC  EQUITY   891906109        911,826      67,046 SH        SOLE         2       67,046
TOWER GROUP INC            EQUITY   891777104        803,543      37,322 SH        SOLE         2       37,322
TOWERS WATSON + CO CL A    EQUITY   891894107      3,647,510      93,887 SH        SOLE         2       93,887
TOWNE BANK                 EQUITY   89214P109        263,494      18,147 SH        SOLE         2       18,147
TRACTOR SUPPLY COMPANY     EQUITY   892356106      4,935,948      80,957 SH        SOLE         2       80,957
TRADESTATION GROUP INC     EQUITY   89267P105        242,798      35,970 SH        SOLE         2       35,970
TRANSATLANTIC HLDGS INC    COM      893521104     34,265,760     725,970 SHRS      SOLE         1      725,970
TRANSATLANTIC HOLDINGS INC EQUITY   893521104      6,884,322     143,543 SH        SOLE         2      143,543
TRANSATLANTIC PETROLEUM LT EQUITY   G89982105        360,483     113,717 SH        SOLE         2      113,717
TRAVELERS COS INC/THE      EQUITY   8.94E+113     11,417,923     231,836 SH        SOLE         2      231,836
TREDEGAR CORP              EQUITY   894650100        355,058      21,756 SH        SOLE         2       21,756
TREEHOUSE FOODS INC        EQUITY   89469A104      1,441,121      31,562 SH        SOLE         2       31,562
TREX COMPANY INC           EQUITY   89531P105        239,814      11,937 SH        SOLE         2       11,937
TRIMBLE NAVIGATION LTD     EQUITY   896239100      7,562,604     270,093 SH        SOLE         2      270,093
TRINITY INDUSTRIES INC     EQUITY   896522109      3,136,475     177,002 SH        SOLE         2      177,002
TRIPLE S MANAGEMENT CORP B EQUITY   896749108        290,660      15,669 SH        SOLE         2       15,669
TRIQUINT SEMICONDUCTOR INC EQUITY   89674K103        860,813     140,886 SH        SOLE         2      140,886
TRIUMPH GROUP INC          EQUITY   896818101      1,009,178      15,146 SH        SOLE         2       15,146
TRUE RELIGION APPAREL INC  EQUITY   89784N104        509,022      23,064 SH        SOLE         2       23,064
TRUEBLUE INC               EQUITY   89785X101        447,701      40,009 SH        SOLE         2       40,009
TRUSTCO BANK CORP NY       EQUITY   898349105        390,382      69,711 SH        SOLE         2       69,711
TRUSTMARK CORP             EQUITY   898402102      3,639,919     174,828 SH        SOLE         2      174,828
TTM TECHNOLOGIES           EQUITY   87305R109        642,770      67,660 SH        SOLE         2       67,660
TUPPERWARE BRANDS CORP     EQUITY   899896104      5,604,584     140,642 SH        SOLE         2      140,642
TUTOR PERINI CORP          EQUITY   901109108        339,603      20,607 SH        SOLE         2       20,607
TW TELECOM INC             EQUITY   87311L104      5,635,221     337,843 SH        SOLE         2      337,843
TYLER TECHNOLOGIES INC     EQUITY   902252105        428,926      27,637 SH        SOLE         2       27,637
TYSON FOODS INC CL A       EQUITY   902494103      1,721,474     105,032 SH        SOLE         2      105,032
U S GOLD CORP              EQUITY   912023207     11,516,537   2,298,710 SH        SOLE         2    2,298,710
U STORE IT TRUST           EQUITY   91274F104        538,418      72,174 SH        SOLE         2       72,174
UDR INC                    EQUITY   902653104      6,925,615     362,029 SH        SOLE         2      362,029
UGI CORP                   EQUITY   902681105      6,200,237     243,720 SH        SOLE         2      243,720
UIL HOLDINGS CORP          EQUITY   902748102        681,166      27,214 SH        SOLE         2       27,214
ULTA SALON COSMETCS &
FRAG I                     COM      90384S303     272765.805       11531 SHRS      DEFINED      4                            11531
ULTA SALON COSMETICS + FRA EQUITY   90384S303        573,708      24,248 SH        SOLE         2       24,248
ULTIMATE SOFTWARE GROUP IN EQUITY   90385D107        632,555      19,250 SH        SOLE         2       19,250
ULTRA PETROLEUM CORP       EQUITY   903914109      1,285,551      29,052 SH        SOLE         2       29,052





                                                                                     
ULTRATECH INC              EQUITY   904034105        353,466      21,725 SH        SOLE         2       21,725
UMB FINANCIAL CORP         EQUITY   902788108      1,016,305      28,580 SH        SOLE         2       28,580
UMPQUA HOLDINGS CORP       EQUITY   904214103      1,193,335     103,949 SH        SOLE         2      103,949
UNDER ARMOUR INC CLASS A   EQUITY   904311107      3,683,095     111,171 SH        SOLE         2      111,171
UNIFIRST CORP/MA           EQUITY   904708104        564,909      12,833 SH        SOLE         2       12,833
UNILIFE CORP               EQUITY   9.05E+107        217,447      37,362 SH        SOLE         2       37,362
UNION PACIFIC CORP         EQUITY   907818108     38,539,750     554,449 SH        SOLE         2      554,449
UNISOURCE ENERGY CORP CO   EQUITY   909205106        988,154      32,742 SH        SOLE         2       32,742
UNISYS CORP                EQUITY   909214306        608,007      32,883 SH        SOLE         2       32,883
UNIT CORP                  EQUITY   909218109      3,684,192      90,766 SH        SOLE         2       90,766
UNITED BANKSHARES INC      EQUITY   909907107        841,778      35,162 SH        SOLE         2       35,162
UNITED COMMUNITY BANKS/GA  EQUITY   90984P105        331,776      83,994 SH        SOLE         2       83,994
UNITED FIRE + CASUALTY CO  EQUITY   910331107        408,451      20,608 SH        SOLE         2       20,608
UNITED NATURAL FOODS INC   EQUITY   911163103      1,171,296      39,200 SH        SOLE         2       39,200
UNITED ONLINE INC          EQUITY   911268100      1,850,394     321,249 SH        SOLE         2      321,249
UNITED PARCEL SERVICE CL B EQUITY   911312106     18,026,791     316,871 SH        SOLE         2      316,871
UNITED PARCEL SERVICE INC  COM      911312106      2432047.5       42750 SHRS      DEFINED      4                            42750
UNITED RENTALS INC         EQUITY   911363109      6,735,974     722,744 SH        SOLE         2      722,744
UNITED STATES NATL GAS
FUND                       COM      912318102      343859.75       44369 SHRS      DEFINED      3                            44369
UNITED STATES NATL GAS
FUND                       COM      912318102       443687.5       57250 SHRS      DEFINED      4                            57250
UNITED STATES STEEL CORP   EQUITY   912909108      1,900,130      49,290 SH        SOLE         2       49,290
UNITED STATIONERS INC      EQUITY   913004107      1,196,651      21,969 SH        SOLE         2       21,969
UNITED TECHNOLOGIES CORP   EQUITY   913017109     49,429,614     761,510 SH        SOLE         2      761,510
UNITED THERAPEUTICS CORP   EQUITY   91307C102      5,344,500     109,496 SH        SOLE         2      109,496
UNITEDHEALTH GROUP INC     EQUITY   91324P102     17,724,128     624,089 SH        SOLE         2      624,089
UNITRIN INC                EQUITY   913275103      2,857,523     111,622 SH        SOLE         2      111,622
UNIVERSAL AMERICAN CORP    EQUITY   913377107        355,781      24,707 SH        SOLE         2       24,707
UNIVERSAL CORP/VA          EQUITY   913456109      2,859,460      72,063 SH        SOLE         2       72,063
UNIVERSAL DISPLAY CORP     EQUITY   91347P105        418,197      23,259 SH        SOLE         2       23,259
UNIVERSAL ELECTRONICS INC  EQUITY   913483103        206,145      12,396 SH        SOLE         2       12,396
UNIVERSAL FOREST PRODUCTS  EQUITY   913543104        532,759      17,577 SH        SOLE         2       17,577
UNIVERSAL HEALTH RLTY INCO EQUITY   9.14E+109      2,723,275      84,758 SH        SOLE         2       84,758
UNIVERSAL HEALTH SERVICES  EQUITY   913903100      8,264,053     216,620 SH        SOLE         2      216,620
UNIVERSAL TECHNICAL INSTIT EQUITY   913915104        450,035      19,037 SH        SOLE         2       19,037
UNIVEST CORP OF PENNSYLVAN EQUITY   915271100        221,921      12,813 SH        SOLE         2       12,813
UNUM GROUP                 EQUITY   91529Y106      3,010,745     138,744 SH        SOLE         2      138,744
URANERZ ENERGY CORP        EQUITY   91688T104      2,359,927   2,269,161 SH        SOLE         2    2,269,161
URBAN OUTFITTERS INC       EQUITY   917047102      1,840,175      53,509 SH        SOLE         2       53,509
URS CORP                   EQUITY   903236107      7,275,343     184,888 SH        SOLE         2      184,888
URSTADT BIDDLE   CLASS A   EQUITY   917286205        302,260      18,739 SH        SOLE         2       18,739
US AIRWAYS GROUP INC       EQUITY   90341W108      1,072,453     124,559 SH        SOLE         2      124,559
US BANCORP                 EQUITY   902973304     25,367,138   1,134,995 SH        SOLE         2    1,134,995
US ECOLOGY INC             EQUITY   91732J102        205,991      14,138 SH        SOLE         2       14,138
USA MOBILITY INC           EQUITY   90341G103        259,731      20,103 SH        SOLE         2       20,103
USEC INC                   EQUITY   9.03E+112        419,227      88,073 SH        SOLE         2       88,073
VAALCO ENERGY INC          EQUITY   91851C201        218,663      39,047 SH        SOLE         2       39,047
VAIL RESORTS INC           EQUITY   91879Q109        977,305      27,995 SH        SOLE         2       27,995
VALASSIS COMMUNICATIONS IN EQUITY   918866104      1,220,681      38,483 SH        SOLE         2       38,483
VALEANT PHARMACEUTICALS IN EQUITY   91911X104      7,311,658     139,829 SH        SOLE         2      139,829
VALERO ENERGY CORP         EQUITY   91913Y100      3,503,439     194,852 SH        SOLE         2      194,852
VALERO ENERGY CORP NEW     COM      91913Y100      312780.08       17396 SHRS      DEFINED      3                            17396
VALIDUS HOLDINGS LTD       EQUITY   G9319H102      4,522,804     185,209 SH        SOLE         2      185,209
VALLEY NATIONAL BANCORP    EQUITY   919794107      4,894,524     359,363 SH        SOLE         2      359,363
VALMONT INDUSTRIES         EQUITY   920253101      3,240,709      44,601 SH        SOLE         2       44,601
VALSPAR CORP               EQUITY   920355104      6,672,273     221,523 SH        SOLE         2      221,523
VALUECLICK INC             EQUITY   92046N102      2,591,352     242,409 SH        SOLE         2      242,409
VANGUARD BD INDEX FD INC   COM      921937827     1257673.46       15523 SHRS      DEFINED      3                            15523
VANGUARD BD INDEX FD INC   COM      921937835      2581780.5       31725 SHRS      DEFINED      3                            31725
VANGUARD BD INDEX FD INC   COM      921937827    1001158.671  12356.9325 SHRS      DEFINED      4                       12356.9325
VANGUARD INDEX FDS         COM      922908751      1996055.6       35266 SHRS      DEFINED      3                            35266
VANGUARD SPECIALIZED
PORTFOL                    COM      921908844      673130.64       15288 SHRS      DEFINED      4                            15288
VANGUARD WORLD FDS         COM      921910709      569495.32       10729 SHRS      DEFINED      4                            10729
VARIAN MEDICAL SYSTEMS INC EQUITY   92220P105      2,443,567      46,740 SH        SOLE         2       46,740
VARIAN SEMICONDUCTOR EQUIP EQUITY   922207105        328,186      11,451 SH        SOLE         2       11,451





                                                                                     
VCA ANTECH INC             EQUITY   918194101      4,740,401     191,454 SH        SOLE         2      191,454
VECTOR GROUP LTD           EQUITY   92240M108        561,149      33,362 SH        SOLE         2       33,362
VECTREN CORPORATION        EQUITY   92240G101      4,288,351     181,249 SH        SOLE         2      181,249
VEECO INSTRUMENTS INC      EQUITY   922417100      7,551,575     220,291 SH        SOLE         2      220,291
VENOCO INC                 EQUITY   92275P307        250,723      15,223 SH        SOLE         2       15,223
VENTAS INC                 EQUITY   92276F100      3,281,899      69,902 SH        SOLE         2       69,902
VERIFONE SYSTEMS INC       EQUITY   92342Y109      1,249,153      65,988 SH        SOLE         2       65,988
VERISIGN INC               EQUITY   9.23E+106      1,901,777      71,630 SH        SOLE         2       71,630
VERIZON COMMUNICATIONS INC COM      92343V104    332266.0719  11858.1753 SHRS      DEFINED      3                       11858.1753
VERIZON COMMUNICATIONS INC COM      92343V104    2084816.374  74404.5815 SHRS      DEFINED      4                       74404.5815
VERIZON COMMUNICATIONS INC EQUITY   92343V104     41,807,773   1,492,069 SH        SOLE         2    1,492,069
VERTEX PHARMACEUTICALS INC EQUITY   92532F100     15,217,171     462,528 SH        SOLE         2      462,528
VF CORP                    EQUITY   918204108      3,538,429      49,711 SH        SOLE         2       49,711
VIACOM INC CLASS B         EQUITY   92553P201     28,618,318     912,283 SH        SOLE         2      912,283
VIAD CORP                  EQUITY   92552R406        329,102      18,646 SH        SOLE         2       18,646
VIASAT INC                 EQUITY   92552V100      1,010,337      31,030 SH        SOLE         2       31,030
VICOR CORP                 EQUITY   925815102        221,298      17,718 SH        SOLE         2       17,718
VIRAGE LOGIC CORPORATION   EQUITY   92763R104        210,120      17,672 SH        SOLE         2       17,672
VIRGIN MEDIA INC           EQUITY   92769L101        460,661      27,601 SH        SOLE         2       27,601
VIROPHARMA INC             EQUITY   928241108        791,886      70,641 SH        SOLE         2       70,641
VISA INC CLASS A SHARES    EQUITY   92826C839     36,089,292     510,096 SH        SOLE         2      510,096
VISHAY INTERTECHNOLOGY INC EQUITY   928298108      7,506,515     969,834 SH        SOLE         2      969,834
VITAMIN SHOPPE INC         EQUITY   9.28E+105        315,957      12,318 SH        SOLE         2       12,318
VIVUS INC                  EQUITY   928551100        599,482      62,446 SH        SOLE         2       62,446
VODAFONE GROUP PLC NEW     COM      92857W209    1240977.655  60037.6224 SHRS      DEFINED      3                       60037.6224
VODAFONE GROUP PLC NEW     COM      92857W209    223398.3422   10807.854 SHRS      DEFINED      4                        10807.854
VODAFONE GROUP PLC SP ADR  EQUITY   92857W209        781,946      37,830 SH        SOLE         2       37,830
VOLCANO CORP               EQUITY   928645100      4,209,602     192,924 SH        SOLE         2      192,924
VOLCOM INC                 EQUITY   92864N101        318,568      17,155 SH        SOLE         2       17,155
VOLTERRA SEMICONDUCTOR COR EQUITY   928708106        441,345      19,139 SH        SOLE         2       19,139
VONAGE HOLDINGS CORP       EQUITY   92886T201     18,988,605   8,255,915 SH        SOLE         2    8,255,915
VORNADO REALTY TRUST       EQUITY   929042109      5,287,562      72,482 SH        SOLE         2       72,482
VULCAN MATERIALS CO        EQUITY   929160109      2,939,590      67,068 SH        SOLE         2       67,068
W+T OFFSHORE INC           EQUITY   92922P106        255,420      27,000 SH        SOLE         2       27,000
WABASH NATIONAL CORP       EQUITY   929566107        323,974      45,566 SH        SOLE         2       45,566
WABTEC CORP                EQUITY   929740108      4,272,498     107,107 SH        SOLE         2      107,107
WADDELL + REED FINANCIAL A EQUITY   930059100      4,211,090     192,463 SH        SOLE         2      192,463
WAL MART STORES INC        COM      931142103    580770.4916   12081.766 SHRS      DEFINED      4                        12081.766
WAL MART STORES INC        EQUITY   931142103     74,914,884   1,558,454 SH        SOLE         2    1,558,454
WALGREEN CO                EQUITY   931422109     11,242,596     421,071 SH        SOLE         2      421,071
WALT DISNEY CO/THE         EQUITY   254687106     29,020,730     921,293 SH        SOLE         2      921,293
WALTER INVESTMENT MANAGEME EQUITY   93317W102        324,580      19,852 SH        SOLE         2       19,852
WARNACO GROUP INC/THE      EQUITY   934390402      4,784,828     132,397 SH        SOLE         2      132,397
WARNER CHILCOTT PLC CLASS  EQUITY   G94368100        370,376      16,209 SH        SOLE         2       16,209
WASHINGTON FEDERAL INC     EQUITY   938824109      4,062,782     251,099 SH        SOLE         2      251,099
WASHINGTON REAL ESTATE INV EQUITY   939653101      1,294,440      46,917 SH        SOLE         2       46,917
WASTE CONNECTIONS INC      EQUITY   941053100      6,035,935     172,999 SH        SOLE         2      172,999
WASTE MANAGEMENT INC       EQUITY   94106L109      4,844,443     154,824 SH        SOLE         2      154,824
WASTE SERVICES INC         EQUITY   941075202        243,507      20,884 SH        SOLE         2       20,884
WATERS CORP                EQUITY   941848103      2,159,751      33,381 SH        SOLE         2       33,381
WATSCO INC                 EQUITY   942622200      1,499,317      25,886 SH        SOLE         2       25,886
WATSON PHARMACEUTICALS INC EQUITY   942683103      1,495,207      36,855 SH        SOLE         2       36,855
WATTS WATER TECHNOLOGIES A EQUITY   942749102        762,929      26,620 SH        SOLE         2       26,620
WAUSAU PAPER CORP          EQUITY   943315101        301,218      44,493 SH        SOLE         2       44,493
WAVE SYSTEMS CORP CLASS A  EQUITY   943526301        200,381      61,846 SH        SOLE         2       61,846
WD 40 CO                   EQUITY   929236107        502,637      15,049 SH        SOLE         2       15,049
WEATHERFORD INTERNATIONAL  EQUITY   G95089101        210,240      16,000 SH        SOLE         2       16,000
WEBSENSE INC               EQUITY   947684106        741,201      39,217 SH        SOLE         2       39,217
WEBSTER FINANCIAL CORP     EQUITY   947890109      3,547,204     197,726 SH        SOLE         2      197,726
WEINGARTEN REALTY INVESTOR EQUITY   948741103      4,455,509     233,885 SH        SOLE         2      233,885
WELLCARE HEALTH PLANS INC  EQUITY   94946T106      2,999,312     126,340 SH        SOLE         2      126,340
WELLPOINT INC              EQUITY   94973V107      9,470,842     193,559 SH        SOLE         2      193,559
WELLS FARGO & CO NEW       COM      949746101    6959337.431 271849.1184 SHRS      DEFINED      3                      271849.1184
WELLS FARGO & CO NEW       COM      949746101    342375.5392  13374.0445 SHRS      DEFINED      4                       13374.0445





                                                                                     
WELLS FARGO + CO           EQUITY   949746101     55,757,030   2,178,009 SH        SOLE         2    2,178,009
WENDY S/ARBY S GROUP INC A EQUITY   950587105      2,992,600     748,150 SH        SOLE         2      748,150
WERNER ENTERPRISES INC     EQUITY   950755108      2,861,942     130,742 SH        SOLE         2      130,742
WESBANCO INC               EQUITY   950810101        300,115      17,811 SH        SOLE         2       17,811
WEST PHARMACEUTICAL SERVIC EQUITY   955306105      1,101,414      30,184 SH        SOLE         2       30,184
WESTAMERICA BANCORPORATION EQUITY   957090103      4,592,769      87,448 SH        SOLE         2       87,448
WESTAR ENERGY INC          EQUITY   95709T100      5,336,698     246,955 SH        SOLE         2      246,955
WESTERN ALLIANCE BANCORP   EQUITY   957638109      2,721,130     379,516 SH        SOLE         2      379,516
WESTERN DIGITAL CORP       EQUITY   958102105      3,030,959     100,496 SH        SOLE         2      100,496
WESTERN UNION CO           EQUITY   959802109      4,551,919     305,293 SH        SOLE         2      305,293
WESTLAKE CHEMICAL CORP     EQUITY   960413102        281,800      15,175 SH        SOLE         2       15,175
WET SEAL INC/THE CLASS A   EQUITY   961840105        286,620      78,526 SH        SOLE         2       78,526
WEYERHAEUSER CO            EQUITY   962166104      2,562,384      72,795 SH        SOLE         2       72,795
WGL HOLDINGS INC           EQUITY   92924F106      5,139,040     151,015 SH        SOLE         2      151,015
WHIRLPOOL CORP             EQUITY   963320106      2,997,209      34,129 SH        SOLE         2       34,129
WHITNEY HOLDING CORP       EQUITY   966612103        810,004      87,568 SH        SOLE         2       87,568
WHOLE FOODS MARKET INC     EQUITY   966837106      2,768,569      76,862 SH        SOLE         2       76,862
WILEY (JOHN) + SONS   CL A EQUITY   968223206      3,732,892      96,532 SH        SOLE         2       96,532
WILLBROS GROUP INC         EQUITY   969203108      1,989,460     268,846 SH        SOLE         2      268,846
WILLIAMS COS INC           EQUITY   969457100      5,328,090     291,471 SH        SOLE         2      291,471
WILLIAMS SONOMA INC        EQUITY   969904101      5,932,998     239,041 SH        SOLE         2      239,041
WILMINGTON TRUST CORP      EQUITY   971807102      2,257,802     203,589 SH        SOLE         2      203,589
WINDSTREAM CORP            COM      97381W104    1065282.111 100878.9878 SHRS      DEFINED      4                      100878.9878
WINDSTREAM CORP            EQUITY   97381W104     13,589,970   1,286,929 SH        SOLE         2    1,286,929
WINN DIXIE STORES INC      EQUITY   974280307        410,124      42,544 SH        SOLE         2       42,544
WINNEBAGO INDUSTRIES       EQUITY   974637100        262,486      26,407 SH        SOLE         2       26,407
WINTRUST FINANCIAL CORP    EQUITY   97650W108        940,488      28,209 SH        SOLE         2       28,209
WISCONSIN ENERGY CORP      EQUITY   976657106      2,045,532      40,314 SH        SOLE         2       40,314
WISDOMTREE TRUST           COM      97717W422         917917       40348 SHRS      DEFINED      3                            40348
WMS INDUSTRIES INC         EQUITY   929297109      9,568,169     243,775 SH        SOLE         2      243,775
WOLVERINE WORLD WIDE INC   EQUITY   978097103      1,135,253      45,014 SH        SOLE         2       45,014
WOODWARD GOVERNOR CO       EQUITY   980745103      4,405,636     172,567 SH        SOLE         2      172,567
WORLD ACCEPTANCE CORP      EQUITY   981419104        567,409      14,811 SH        SOLE         2       14,811
WORLD FUEL SERVICES CORP   EQUITY   981475106      1,398,815      53,925 SH        SOLE         2       53,925
WORLD WRESTLING ENTERTAIN  EQUITY   98156Q108        289,743      18,621 SH        SOLE         2       18,621
WORTHINGTON INDUSTRIES     EQUITY   981811102      2,334,129     181,503 SH        SOLE         2      181,503
WR BERKLEY CORP            EQUITY   84423102       7,587,220     286,743 SH        SOLE         2      286,743
WR GRACE + CO              EQUITY   38388F108      1,181,144      56,138 SH        SOLE         2       56,138
WRIGHT EXPRESS CORP        EQUITY   98233Q105      1,045,856      35,214 SH        SOLE         2       35,214
WRIGHT MEDICAL GROUP INC   EQUITY   98235T107        497,935      29,978 SH        SOLE         2       29,978
WW GRAINGER INC            EQUITY   384802104      2,078,803      20,903 SH        SOLE         2       20,903
WYNDHAM WORLDWIDE CORP     EQUITY   98310W108      1,882,768      93,484 SH        SOLE         2       93,484
WYNN RESORTS LTD           EQUITY   983134107      2,377,641      31,174 SH        SOLE         2       31,174
XCEL ENERGY INC            COM      98389B100      1168999.2       56720 SHRS      DEFINED      4                            56720
XCEL ENERGY INC            EQUITY   98389B100      3,262,748     158,309 SH        SOLE         2      158,309
XENOPORT INC               EQUITY   98411C100        207,776      21,180 SH        SOLE         2       21,180
XEROX CORP                 EQUITY   984121103      5,265,219     654,878 SH        SOLE         2      654,878
XILINX INC                 EQUITY   983919101      2,871,784     113,689 SH        SOLE         2      113,689
XL CAPITAL LTD  CLASS A    EQUITY   G98255105      2,655,643     165,874 SH        SOLE         2      165,874
XYRATEX LTD                EQUITY   G98268108      2,700,145     190,823 SH        SOLE         2      190,823
YAHOO  INC                 EQUITY   984332106      8,783,060     635,073 SH        SOLE         2      635,073
YAMANA GOLD INC            COM      98462Y100       245881.6       23872 SHRS      DEFINED      3                            23872
YUM  BRANDS INC            EQUITY   988498101      5,823,831     149,176 SH        SOLE         2      149,176
ZEBRA TECHNOLOGIES CORP CL EQUITY   989207105      3,264,865     128,690 SH        SOLE         2      128,690
ZEP INC                    EQUITY   98944B108        343,446      19,693 SH        SOLE         2       19,693
ZHONGPIN INC               COM      98952K107         213150       18125 SHRS      DEFINED      4                            18125
ZIMMER HOLDINGS INC        EQUITY   98956P102      4,678,244      86,554 SH        SOLE         2       86,554
ZIONS BANCORPORATION       EQUITY   989701107      1,580,067      73,253 SH        SOLE         2       73,253
ZOLL MEDICAL CORP          EQUITY   989922109        527,231      19,455 SH        SOLE         2       19,455
ZORAN CORP                 EQUITY   98975F101        377,584      39,579 SH        SOLE         2       39,579
ZUMIEZ INC                 EQUITY   989817101        301,660      18,725 SH        SOLE         2       18,725