THIS FILING LISTS SECURITIES HOLDINGS REPORTED ON THE FORM 13F FILED ON
        11/9/2011 PURSUANT TO A REQUEST FOR CONFIDENTIAL TREATMENT AND
             FOR WHICH CONFIDENTIAL TREATMENT EXPIRED ON .

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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 9/30/2011
Check here if Amendment []; Amendment Number:
                                               -------
This Amendment (Check only one.):               [] is a restatement.
                                                [] adds new holdings entries.

Institutional Investment Manager Filing this Report:


Name:      Nomura Holdings Inc.

Address:   1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan


Form 13F File Number: 001-15270


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

Persons Signing this Report on Behalf of Reporting Manager:

Name:   Fernando Del Puerto
Title:  Executive Director
Phone:  212 667 9857

Signature,  Place,  and  Date  of  Signing:

/s/ Fernando Del Puerto            New York, NY                       11/9/2011
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

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

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

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

List of Other Managers Reporting for this Manager:

13F File Number  Name

28-04983         Nomura Securities International, Inc.
---------------  ---------------------------------------------------------------
28-04985         Nomura International plc
---------------  ---------------------------------------------------------------
28-04979         Nomura Securities Company, Ltd
---------------  ---------------------------------------------------------------
028-13982        Nomura Corporate Research & Asset Management Inc.
---------------  ---------------------------------------------------------------
014-88809        Nomura Funds Research and Technologies America, Inc.
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    5

Form 13F Information Table Entry Total:           1,482

Form 13F Information Table Value Total:  $    6,979,067
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.   Form 13F File Number  Name

1     28-04983              Nomura Securities International, Inc.
----  --------------------  ----------------------------------------------------
2     28-04985              Nomura International plc
----  --------------------  ----------------------------------------------------
3     28-04979              Nomura Securities Company, Ltd
----  --------------------  ----------------------------------------------------
4     028-13982             Nomura Corporate Research & Asset Management Inc.
----  --------------------  ----------------------------------------------------
5     014-88809             Nomura Funds Research and Technologies America, Inc
----  --------------------  ----------------------------------------------------






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
3M CO COM USD0.01          CMN            88579Y101         359        5000 SH       DEFINED    1                 0      5000      0
3M CO COM USD0.01          CMN            88579Y101        1443       20103 SH       DEFINED    2                 0     20103      0
99 CENTS ONLY STORES COM   CMN            65440K106        4438      240909 SH       SOLE       1            240909         0      0
NPV
A123 SYSTEM INC COM NPV    CNV            03739TAA6        2165    34722.22 SH       SOLE       1          34722.22         0      0
ABB LTD 'REG'CHF1.03       CMN            000375204         965       56527 SH       SOLE       2             56527         0      0
ABBOTT LABORATORIES COM    CMN            002824100        2480       48495 SH       SOLE       2             48495         0      0
NPV
ABERCROMBIE & FITCH CO     CMN            002896207         502        8147 SH       DEFINED    1                 0      8147      0
CL'A'COM USD0.01
ABERCROMBIE & FITCH CO     CMN            002896207         519        8431 SH       DEFINED    2                 0      8431      0
CL'A'COM USD0.01
ABERCROMBIE & FITCH CO     CMN            002896207         104        1697 SH       DEFINED    2                 0      1697      0
CL'A'COM USD0.01
ABINGTON BANCORP INC COM   CMN            00350L109        1631      226508 SH       SOLE       1            226508         0      0
STK USD0.01
ACADIA PHARMACEUTICALS     CMN            004225108          11       10000 SH       SOLE       2             10000         0      0
INC COM USD0.001
ACCENTURE PLC CLS'A'COM    CMN            G1151C101         458        8697 SH       SOLE       2              8697         0      0
USD0.0000225
ACCLAIM ENTMT INC COM PAR  CMN            004325205           0          80 SH       SOLE       1                80         0      0
$0.02
ACCURAY INC COM STK        CMN            004397105         222       55462 SH       SOLE       2             55462         0      0
USD0.001
ACCURIDE CORP NEW          CMN            00439T206  3884.39552      758671 SH       SOLE       4            647246         0 111425
ACE LTD CHF30.57           CMN            H0023R105         627       10354 SH       SOLE       2             10354         0      0
ACME PACKET INC COM STK    CMN            004764106          30         708 SH       DEFINED    1                 0       708      0
USD0.001
ACME PACKET INC COM STK    CMN            004764106         718       16855 SH       DEFINED    2                 0     16855      0
USD0.001
ACTIVISION BLIZZARD INC    CMN            00507V109        4068      341836 SH       SOLE       2            341836         0      0
COM USD0.000001
ACTUANT CORP CL'A' COM     CNV            00508XAB0        2630    24164.13 SH       SOLE       1          24164.13         0      0
USD0.20
ADOBE SYSTEMS INC COM      CMN            00724F101        2417      100000 SH       DEFINED    1                 0    100000      0
USD0.0001
ADOBE SYSTEMS INC COM      CMN            00724F101         361       14942 SH       DEFINED    2                 0     14942      0
USD0.0001
ADVANCED MARKETING         CMN            00753T105           0         168 SH       SOLE       1               168         0      0
SERVICES
ADVANCED MICRO DEVICES     CMN            007903107        1194      235121 SH       DEFINED    1                 0    235121      0
INC COM USD0.01
ADVANCED MICRO DEVICES     CNV            007903AN7        3711    36810.73 SH       SOLE       1          36810.73         0      0
INC COM USD0.01
ADVANCED MICRO DEVICES     CMN            007903107        1865      367198 SH       DEFINED    2                 0    367198      0
INC COM USD0.01
ADVANCED OPTICS            CMN            00754V109           0       38000 SH       SOLE       1             38000         0      0
ELECTRONICS COM
ADVANTA CORP-CLASS A       CMN            007942105           0          22 SH       SOLE       1                22         0      0
ADVANTAGE OIL & GAS LTD    CMN            00765F101           0        4859 SH       SOLE       2              4859         0      0
UNIT NPV
AEGEAN MARINE PETROLEUM    CMN            Y0017S102         145       32189 SH       SOLE       2             32189         0      0
NETWORK INC USD0.01
AES CORP/THE COM USD0.01   CMN            00130H105         235       24047 SH       SOLE       2             24047         0      0
AETNA INC COM USD0.01      CMN            00817Y108        2005       55171 SH       SOLE       2             55171         0      0
AFLAC INC COM USD0.10      CMN            001055102          14         400 SH       DEFINED    1                 0       400      0
AFLAC INC COM USD0.10      CMN            001055102         558       15967 SH       DEFINED    2                 0     15967      0
AFLAC INC COM USD0.10      CMN            001055102           5         150 SH       DEFINED    3                 0       150      0
AGILENT TECHNOLOGIES INC   CMN            00846U101         661       21145 SH       SOLE       2             21145         0      0
COM STK USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
AGNICO-EAGLE MINES LTD     CMN            008474108         834       14006 SH       SOLE       2             14006         0      0
COM NPV
AGRIUM INC COM NPV         CMN            008916108        1626       24395 SH       DEFINED    2                 0     24395      0
AGRIUM INC COM NPV         CMN            008916108          99        1491 SH       DEFINED    2                 0      1491      0
AIR PRODUCTS & CHEMICALS   CMN            009158106         726        9510 SH       SOLE       2              9510         0      0
INC COM USD1
AK STEEL HOLDING CORP COM  CMN            001547108        1354      207019 SH       SOLE       2            207019         0      0
USD0.01
AKAMAI TECHNOLOGIES INC    CMN            00971T101         298       14988 SH       SOLE       2             14988         0      0
COM USD0.01
AKORN INC COM STK NPV      CNV            009728AA4        7695    68493.15 SH       SOLE       1          68493.15         0      0
ALASKA COMMSS SYSTEMS      CNV            01167PAB7       61908   620010.85 SH       SOLE       1         620010.85         0      0
GROUP INC COM USD0.01
ALCATEL-LUCENT EUR2        CNV            549463AH0       14944   162879.47 SH       SOLE       1         162879.47         0      0
ALCATEL-LUCENT EUR2        CMN            013904305         126       44569 SH       SOLE       2             44569         0      0
ALCOA INC COM USD1         CNV            013817AT8       68267   415630.05 SH       SOLE       1         415630.05         0      0
ALCOA INC COM USD1         CMN            013817101         403       42151 SH       DEFINED    2                 0     42151      0
ALCOA INC COM USD1         CMN            013817101        3933      410999 SH       DEFINED    2                 0    410999      0
ALLERGAN INC/UNITED        CMN            018490102         301        3655 SH       SOLE       2              3655         0      0
STATES USD0.01
ALLIANCE DATA SYSTEMS      CNV            018581AC2       26809   131417.95 SH       SOLE       1         131417.95         0      0
CORP COM USD0.01
ALLIANCE DATA SYSTEMS      CNV            018581AD0        7243    57326.37 SH       SOLE       1          57326.37         0      0
CORP COM USD0.01
ALLIED IRISH BANKS PLC     CMN            019228808         151      322080 SH       SOLE       2            322080         0      0
EUR0.01
ALLOS THERAPEUTICS INC     CMN            019777101          98       53500 SH       SOLE       1             53500         0      0
COM USD0.001
ALPHA NAT RES LLC COM      CNV            576203AJ2         295     3346.58 SH       SOLE       1           3346.58         0      0
USD0.01
ALPHA NAT RES LLC COM      CMN            02076X102         447       25263 SH       SOLE       2             25263         0      0
USD0.01
ALTERA CORP COM USD0.001   CMN            021441100         708       22445 SH       SOLE       2             22445         0      0
ALTRIA GROUP INC COM       CMN            02209S103         578       21551 SH       SOLE       2             21551         0      0
USD0.333333
ALUMINA LTD NPV            CMN            022205108         339       60000 SH       SOLE       2             60000         0      0
AMAG PHARMACEUTICALS INC   CMN            00163U106         258       17500 SH       SOLE       1             17500         0      0
COM USD0.01
AMAZON.COM INC COM USD0.01 CMN            023135106         627        2901 SH       SOLE       2              2901         0      0
AMBAC FINANCIAL GROUP INC  CMN            023139108           1       11850 SH       SOLE       2             11850         0      0
COM USD0.01
AMC NETWORKS INC 'A        CMN            00164V103        1898       59400 SH       DEFINED    1                 0     59400      0
W/I'NPV
AMC NETWORKS INC 'A        CMN            00164V103          27         838 SH       DEFINED    2                 0       838      0
W/I'NPV
AMEREN CORP COM USD0.01    CMN            023608102         540       18133 SH       SOLE       2             18133         0      0
AMERICA MOVIL SAB DE CV    CMN            02364W105        6906      312780 SH       SOLE       2            312780         0      0
COM SER 'L' NPV (L/VTG)
AMERICAN BRANDS INC        CMN            024703100           0         200 SH       SOLE       1               200         0      0
AMERICAN CAPITAL AGENCY    CMN            02503X105          16         589 SH       DEFINED    1                 0       589      0
CORP COMMON STOCK
USD(NPV)
AMERICAN CAPITAL AGENCY    CMN            02503X105         587       21668 SH       DEFINED    2                 0     21668      0
CORP COMMON STOCK
USD(NPV)
AMERICAN CAPITAL LTD COM   CMN            02503Y103          95       13937 SH       SOLE       2             13937         0      0
USD0.01
AMERICAN EAGLE OUTFITTERS  CMN            02553E106         126       10726 SH       SOLE       2             10726         0      0
INC COM USD0.01
AMERICAN ELECTRIC POWER    CMN            025537101        1043       27435 SH       SOLE       2             27435         0      0
CO INC COM USD6.50






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
AMERICAN EQUITY INVLIFE    CNV            025676AJ6       15016      160000 SH       SOLE       1            160000         0      0
HOLDING CO COM USD1
AMERICAN EXPRESS CO COM    CMN            025816109        3424       76250 SH       DEFINED    1                 0     76250      0
USD0.20
AMERICAN EXPRESS CO COM    CMN            025816109        1699       37840 SH       DEFINED    2                 0     37840      0
USD0.20
AMERICAN INTERNATIONAL     CMN            026874784         638       29068 SH       DEFINED    1                 0     29068      0
GROUP INC COM USD2.50
AMERICAN INTERNATIONAL     CMN            026874784         480       21888 SH       DEFINED    2                 0     21888      0
GROUP INC COM USD2.50
AMERICAN INTERNATIONAL     CMN            026874784        1415       64457 SH       DEFINED    2                 0     64457      0
GROUP INC COM USD2.50
AMERICAN SUPERCONDUCTOR    CMN            030111108         171       43591 SH       SOLE       2             43591         0      0
CORP COM USD0.01
AMERICAN TOWER CORP        CMN            029912201         304        5650 SH       SOLE       2              5650         0      0
CL'A'COM USD0.01
AMERIGROUP CORP COM        CMN            03073T102         682       17474 SH       DEFINED    1                 0     17474      0
USD0.01
AMERIGROUP CORP COM        CNV            03073TAB8       25124   235466.44 SH       SOLE       1         235466.44         0      0
USD0.01
AMERIGROUP CORP COM        CMN            03073T102          71        1825 SH       DEFINED    2                 0      1825      0
USD0.01
AMERIPRISE FINANCIAL INC   CMN            03076C106         523       13292 SH       SOLE       2             13292         0      0
COM STK USD0.01
AMERISOURCEBERGEN CORP     CMN            03073E105         331        8890 SH       SOLE       2              8890         0      0
COM STK USD0.01
AMERON INTERNATIONAL CORP  CMN            030710107         380        4473 SH       DEFINED    1                 0      4473      0
COM USD2.50
AMERON INTERNATIONAL CORP  CMN            030710107           3          35 SH       DEFINED    2                 0        35      0
COM USD2.50
AMGEN INC COM USD0.0001    CNV            031162AQ3        2079    21162.55 SH       SOLE       1          21162.55         0      0
AMGEN INC COM USD0.0001    CMN            031162100         406        7384 SH       SOLE       2              7384         0      0
AMR CORP COM USD1          CMN            001765106          48       16300 SH       SOLE       2             16300         0      0
AMR CORP COM USD1          CNV            001765BC9         597    10101.01 SH       SOLE       2          10101.01         0      0
AMWEST ENVIRONMENTAL       CMN            03234M103           0        8800 SH       SOLE       1              8800         0      0
GROUP INC COM
ANADARKO PETROLEUM CORP    CMN            032511107          62         976 SH       DEFINED    1                 0       976      0
COM USD0.10
ANADARKO PETROLEUM CORP    CMN            032511107        1018       16148 SH       DEFINED    2                 0     16148      0
COM USD0.10
ANALOG DEVICES INC COM     CMN            032654105          32        1009 SH       DEFINED    1                 0      1009      0
USD0.16 2/3
ANALOG DEVICES INC COM     CMN            032654105         526       16827 SH       DEFINED    2                 0     16827      0
USD0.16 2/3
ANESIVA INC COM STK        CMN            03460L100           0       10000 SH       SOLE       2             10000         0      0
USD0.001
ANGLOGOLD ASHANTI LTD      CMN            035128206         251        6065 SH       SOLE       2              6065         0      0
ZAR0.25
ANIXTER INTERNATIONAL INC  CNV            035290AJ4        7220    71273.74 SH       SOLE       1          71273.74         0      0
COM USD1
ANN INC COM USD0.0068      CMN            035623107         501       21956 SH       DEFINED    1                 0     21956      0
ANN INC COM USD0.0068      CMN            035623107         191        8379 SH       DEFINED    2                 0      8379      0
ANNALY CAPITAL MANAGEMENT  CNV            035710AA0       21896   191988.65 SH       SOLE       1         191988.65         0      0
INC COM USD0.01
ANNALY CAPITAL MANAGEMENT  CMN            035710409        5914      355604 SH       SOLE       2            355604         0      0
INC COM USD0.01
AON CORP COM USD1          CMN            037389103         427       10175 SH       SOLE       2             10175         0      0
APAC TELESERVICES COM      CMN            00185E106        1190      139678 SH       SOLE       1            139678         0      0
USD0.01
APACHE CORP USD0.625       CMN            037411105         576        7173 SH       SOLE       2              7173         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
APARTMENT INV& MANAGEMENT  CMN            03748R101         230       10407 SH       SOLE       2             10407         0      0
CO COM USD0.01 CL'A'
APOLLO INVESTMENT CORP     CNV            03761UAA4        6422    72727.27 SH       SOLE       1          72727.27         0      0
COM USD0.001
APPLE INC COM NPV          CMN            037833100         141         371 SH       DEFINED    2                 0       371      0
APPLE INC COM NPV          CMN            037833100       24505       64264 SH       DEFINED    2                 0     64264      0
APPLIED MATERIALS INC COM  CMN            038222105         423       40802 SH       DEFINED    1                 0     40802      0
USD0.01
APPLIED MATERIALS INC COM  CMN            038222105        1821      175896 SH       DEFINED    2                 0    175896      0
USD0.01
APPLIED MATERIALS INC COM  CMN            038222105         591       57082 SH       DEFINED    2                 0     57082      0
USD0.01
AQUAPRO CORP COM           CMN            037940103           0        8425 SH       SOLE       1              8425         0      0
ARADIGM CORP COM STK NPV   CMN            038505301          67      443480 SH       SOLE       2            443480         0      0
ARCELORMITTAL NY REGISTRY  CMN            03938L104         762       47882 SH       SOLE       2             47882         0      0
SHARES
ARCH CHEMICALS INC USD0.01 CMN            03937R102       10027      213700 SH       DEFINED    1                 0    213700      0
ARCH CHEMICALS INC USD0.01 CMN            03937R102          21         439 SH       DEFINED    2                 0       439      0
ARCH COAL INC COM USD0.01  CMN            039380100         174       11955 SH       SOLE       2             11955         0      0
ARCH WIRELESS INC   COM    CMN            039392105           0          57 SH       SOLE       1                57         0      0
ARCHER-DANIELS-MIDLAND CO  CMN            039483102         209        8437 SH       DEFINED    1                 0      8437      0
COM NPV
ARCHER-DANIELS-MIDLAND CO  CNV            039483AW2        5144    51721.19 SH       SOLE       1          51721.19         0      0
COM NPV
ARCHER-DANIELS-MIDLAND CO  CMN            039483102        1338       53932 SH       DEFINED    2                 0     53932      0
COM NPV
ARES CAPITAL CORP COM STK  CMN            04010L103         154       11198 SH       SOLE       2             11198         0      0
USD0.001
ARIAD PHARMACEUTICALS INC  CMN            04033A100         840       95512 SH       SOLE       2             95512         0      0
COM USD0.001
ARM HOLDINGS PLC ORD       CMN            042068106        1418       55605 SH       SOLE       2             55605         0      0
GBP0.0005
ARMITEC INC COM            CMN            042242107           0          10 SH       SOLE       1                10         0      0
ARROWHEAD RESEARCH CORP    CMN            042797100          78      200001 SH       SOLE       2            200001         0      0
COM STK USD0.001
ARUBA NETWORKS INC COM     CMN            043176106           8         400 SH       DEFINED    1                 0       400      0
STK USD0.0001
ARUBA NETWORKS INC COM     CMN            043176106         310       14815 SH       DEFINED    2                 0     14815      0
STK USD0.0001
ASPEN GROUP RES CORP COM   CMN            045297207           0          71 SH       SOLE       1                71         0      0
NEW
ASTRAZENECA PLC ORD        CMN            046353108         658       14827 SH       SOLE       2             14827         0      0
USD0.25
AT HOME CORP COM SER A     CMN            045919107           0          10 SH       SOLE       1                10         0      0
(WORTHLESS)
AT&T INC COM USD1          CMN            00206R102         547       19170 SH       DEFINED    1                 0     19170      0
AT&T INC COM USD1          CMN            00206R102         720       25228 SH       DEFINED    2                 0     25228      0
ATC HEALTHCARE INC  CL A   CMN            00209C102           0         700 SH       SOLE       1               700         0      0
ATCHISON CASTING CORP COM  CMN            046613105           0         100 SH       SOLE       1               100         0      0
ATLANTIC GULF COMMUNITIES  CMN            048556104           0           3 SH       SOLE       1                 3         0      0
CORP COM
ATMEL CORP COM USD0.001    CMN            049513104         152       18817 SH       SOLE       2             18817         0      0
ATP OIL & GAS CORP PRF100  CNV            00208J702         795       15000 SH       SOLE       1             15000         0      0
144A
ATRICURE INC COM USD0.001  CMN            04963C209         258       26449 SH       SOLE       2             26449         0      0
ATX COMMUNICATIONS INC     CMN            002113108           0           7 SH       SOLE       1                 7         0      0
COM
AU OPTRONICS CORP TWD10    CMN            002255107         543      137000 SH       SOLE       2            137000         0      0
AUTODESK INC COM USD0.01   CMN            052769106         527       18970 SH       SOLE       2             18970         0      0
AUTOMATIC DATA PROCESSING  CMN            053015103        1184       25113 SH       SOLE       2             25113         0      0
INC COM USD0.10






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
AUTOZONE INC COM USD0.01   CMN            053332102        1983        6212 SH       SOLE       1              6212         0      0
AVAGO TECHNOLOGIES LTD     CMN            Y0486S104        5172      157832 SH       SOLE       2            157832         0      0
COM NPV
AVALON CAP HLDGS CORP COM  CMN            053422200           0           5 SH       SOLE       1                 5         0      0
NEW
AVERY DENNISON CORP COM    CMN            053611109         380       15134 SH       SOLE       2             15134         0      0
USD1
AVI BIOPHARMA INC COM      CMN            002346104          43       38600 SH       SOLE       2             38600         0      0
USD0.0001
AVON PRODUCTS INC COM      CMN            054303102         280       14283 SH       SOLE       2             14283         0      0
USD0.25
BAIDU INC UNLISTED NPV     CMN            056752108        1402     13112.3 SH       DEFINED    2                 0   13112.3      0
BAIDU INC UNLISTED NPV     CMN            056752108          24         225 SH       DEFINED    3                 0       225      0
BAKER HUGHES INC COM USD1  CMN            057224107         414        8975 SH       SOLE       2              8975         0      0
BANCO BRADESCO SA PRF NPV  CMN            059460303        1234       83457 SH       DEFINED    2                 0     83457      0
BANCO BRADESCO SA PRF NPV  CMN            059460303         263       17757 SH       DEFINED    2                 0     17757      0
BANCO MACRO SA CLASS 'B'   CMN            05961W105         247       12350 SH       SOLE       2             12350         0      0
ARS1
BANCO SANTANDER CHILE SA   CMN            05965X109       15269      207800 SH       SOLE       2            207800         0      0
COM NPV
BANCO SANTANDER SA         CMN            05964H105         443       55089 SH       SOLE       2             55089         0      0
EUR0.50(REGD)
BANCOLOMBIA SA CNV PFD     CMN            05968L102        1840       33032 SH       SOLE       2             33032         0      0
COP500
BANK OF AMERICA CORP COM   CMN            060505104       12814     2093857 SH       DEFINED    1                 0   2093857      0
USD0.01
BANK OF AMERICA CORP COM   CMN            060505104       16007     2615554 SH       DEFINED    2                 0   2615554      0
USD0.01
BANK OF AMERICA CORP COM   CMN            060505104       11037     1803373 SH       DEFINED    2                 0   1803373      0
USD0.01
BANK OF AMERICA CORP COM   CMN            060505104          25        4110 SH       DEFINED    3                 0      4110      0
USD0.01
BANK OF NEW YORK MELLON    CMN            064058100         325       17465 SH       SOLE       2             17465         0      0
CORP/THE COM STK USD0.01
BANK OF NOVA SCOTIA COM    CMN            064149107         385        7672 SH       SOLE       2              7672         0      0
NPV
BARCLAYS PLC ORD GBP0.25   CMN            06738E204         993      101504 SH       SOLE       2            101504         0      0
BARNES & NOBLE INC COM     CMN            067774109        1933      163400 SH       DEFINED    1                 0    163400      0
USD0.001
BARNES & NOBLE INC COM     CMN            067774109          94        7906 SH       DEFINED    2                 0      7906      0
USD0.001
BARRICK GOLD CORP COM NPV  CMN            067901108        1380       29574 SH       DEFINED    2                 0     29574      0
BARRICK GOLD CORP COM NPV  CMN            067901108          51        1100 SH       DEFINED    3                 0      1100      0
BEAZER HOMES USA INC COM   CMN            07556Q105          99       65375 SH       SOLE       2             65375         0      0
USD0.01
BECTON DICKINSON & CO COM  CMN            075887109         214        2912 SH       SOLE       2              2912         0      0
USD1
BED BATH & BEYOND INC COM  CMN            075896100         434        7566 SH       SOLE       2              7566         0      0
USD0.01
BERKSHIRE HATHAWAY INC     CMN            084670108           0           1 SH       SOLE       2                 1         0      0
CLASS 'A'USD0.0033
BERKSHIRE HATHAWAY INC     CMN            084670702           7         100 SH       DEFINED    1                 0       100      0
CLASS B NONVTG USD0.0033
BERKSHIRE HATHAWAY INC     CMN            084670702        2689       37854 SH       DEFINED    2                 0     37854      0
CLASS B NONVTG USD0.0033
BEST BUY CO INC COM        CMN            086516101          23        1000 SH       DEFINED    1                 0      1000      0
USD0.10
BEST BUY CO INC COM        CNV            086516AF8        2878    28869.56 SH       SOLE       1          28869.56         0      0
USD0.10
BEST BUY CO INC COM        CMN            086516101         634       27214 SH       DEFINED    2                 0     27214      0
USD0.10






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
BHP BILLITON LTD NPV       CMN            088606108        6458       97200 SH       SOLE       2             97200         0      0
BHP BILLITON PLC USD0.50   CMN            05545E209       15327      288758 SH       SOLE       2            288758         0      0
BIG LOTS INC COM USD0.01   CMN            089302103          48        1383 SH       DEFINED    1                 0      1383      0
BIG LOTS INC COM USD0.01   CMN            089302103         294        8438 SH       DEFINED    2                 0      8438      0
BILL BARRETT CORP COM      CNV            06846NAA2         483     4824.34 SH       SOLE       1           4824.34         0      0
USD0.001
BIODELIVERY SCIENCES INTL  CMN            09060J106          11       10000 SH       SOLE       2             10000         0      0
INC COM USD0.001
BIOGEN IDEC INC COM STK    CMN            09062X103         308        3305 SH       SOLE       2              3305         0      0
USD0.0005
BIOLASE TECHNOLOGY INC     CMN            090911108         450      150000 SH       SOLE       2            150000         0      0
COM USD0.001
BIOMARIN PHARMACEUTICALS   CNV            09061GAC5         235     1206.63 SH       SOLE       1           1206.63         0      0
INC COM USD0.001
BIOMARIN PHARMACEUTICALS   CNV            09061GAD3       31467   189047.15 SH       SOLE       1         189047.15         0      0
INC COM USD0.001
BIOMED REALTY TRUST INC    CNV            09064AAB7        9837    90372.84 SH       SOLE       1          90372.84         0      0
COM USD0.01
BJ'S WHOLESALE CLUB INC    CMN            05548J106       10053      196200 SH       DEFINED    1                 0    196200      0
COM USD0.01
BJ'S WHOLESALE CLUB INC    CMN            05548J106       72095     1407000 SH       DEFINED    2                 0   1407000      0
COM USD0.01
BLACKBOARD INC COM USD0.01 CMN            091935502        7682      172000 SH       DEFINED    1                 0    172000      0
BLACKBOARD INC COM USD0.01 CMN            091935502         104        2326 SH       DEFINED    2                 0      2326      0
BLACKROCK INC/NEW YORK     CMN            09247X101         526        3554 SH       DEFINED    1                 0      3554      0
COM STK USD0.01
BLACKROCK INC/NEW YORK     CMN            09247X101          59         397 SH       DEFINED    2                 0       397      0
COM STK USD0.01
BLACKSTONE GROUP LP/THE    CMN            09253U108         168       14041 SH       SOLE       2             14041         0      0
COMMON UNITS
BMC SOFTWARE INC COM       CMN            055921100         418       10829 SH       SOLE       2             10829         0      0
USD0.01
BOEING CO COM USD5         CMN            097023105        2319       38323 SH       SOLE       2             38323         0      0
BORGWARNER INC COM USD0.01 CNV            099724AF3        1263     6825.41 SH       SOLE       1           6825.41         0      0
BOSTON PROPERTIES INC COM  CNV            10112RAG9        1086       10007 SH       SOLE       1             10007         0      0
USD0.01
BOSTON SCIENTIFIC CORP     CMN            101137107          90       15313 SH       SOLE       2             15313         0      0
COM USD0.01
BP PLC ORD USD0.25         CMN            055622104       12509      346806 SH       SOLE       2            346806         0      0
BPZ RESOURCES INC COM NPV  CNV            055639AB4       21010   254356.16 SH       SOLE       1         254356.16         0      0
BREAKAWAY SOLUTIONS INC    CMN            106372105           0        5600 SH       SOLE       1              5600         0      0
COM
BRISTOL-MYERS SQUIBB CO    CMN            110122108         231        7354 SH       SOLE       2              7354         0      0
COM STK USD0.10
BROADCOM CORP CL A COM     CMN            111320107         742       22284 SH       DEFINED    1                 0     22284      0
USD0.0001
BROADCOM CORP CL A COM     CMN            111320107         873       26232 SH       DEFINED    2                 0     26232      0
USD0.0001
BROCADE COMMUNICATIONS     CMN            111621306         175       40428 SH       SOLE       2             40428         0      0
SYSTEMS INC COM USD0.001
BROOKDALE SENIOR LIVING    CNV            112463AA2         416     5524.29 SH       SOLE       1           5524.29         0      0
INC COM STK USD0.01
BROOKFIELD OFFICE          CMN            112900105         202       14636 SH       SOLE       2             14636         0      0
PROPERTIES COM NPV
BSK & TECH INC USD0.001    CNV            530718AF2       12289   113260.62 SH       SOLE       1         113260.62         0      0
CABLEVISION SYS CP NY      CMN            12686C109         515       32745 SH       DEFINED    1                 0     32745      0
GROUP CM CLASS'A'USD0.01
CABLEVISION SYS CP NY      CMN            12686C109         143        9084 SH       DEFINED    2                 0      9084      0
GROUP CM CLASS'A'USD0.01
CABOT OIL & GAS CO COM     CMN            127097103         206        3322 SH       SOLE       2              3322         0      0
USD0.10






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CADDO INTL INC COM         CMN            127233104           0          63 SH       SOLE       1                63         0      0
CADIZ LAND COM USD0.01     CMN            127537207         219       27739 SH       SOLE       2             27739         0      0
CALENERGY CAP TST III      CNV            12946N309       10215      209030 SH       SOLE       1            209030         0      0
6.5% CNV PRF 1/9/2027
USD50
CALLAWAY GOLF CO COM       CMN            131193104         278       53858 SH       SOLE       2             53858         0      0
USD0.01
CALPINE CORP COM STK       CMN            131347304         294       20882 SH       SOLE       2             20882         0      0
USD0.001
CAMECO CORP COM NPV        CMN            13321L108         451       24594 SH       SOLE       2             24594         0      0
CAMERON INTERNATIONAL      CMN            13342B105         225        5428 SH       SOLE       2              5428         0      0
CORP COM USD0.01
CAMPBELL SOUP CO CAP       CMN            134429109         219        6763 SH       SOLE       2              6763         0      0
USD0.0375
CANADIAN NATURAL           CMN            136385101         391       13346 SH       SOLE       2             13346         0      0
RESOURCES LTD COM NPV
CANADIAN SOLAR INC COM     CMN            136635109          69       18794 SH       SOLE       2             18794         0      0
STK NPV
CAPITAL ONE FINANCIAL      CMN            14040H105         666       16801 SH       DEFINED    1                 0     16801      0
CORP COM USD0.01
CAPITAL ONE FINANCIAL      CMN            14040H105        2150       54255 SH       DEFINED    2                 0     54255      0
CORP COM USD0.01
CAPITALSOURCE INC COM      CMN            14055X102          64       10481 SH       SOLE       2             10481         0      0
USD0.01
CARDINAL HEALTH INC COM    CMN            14149Y108         285        6800 SH       SOLE       2              6800         0      0
NPV
CAREFUSION CORP USD0.01    CMN            14170T101         386       16109 SH       SOLE       2             16109         0      0
CARIBBEAN AMERN HLTH       CMN            141798108           0           6 SH       SOLE       1                 6         0      0
RESORTS
CARMAX INC COM USD0.50     CMN            143130102         298       12492 SH       SOLE       2             12492         0      0
CARNIVAL CORP COM          CMN            143658300         685       22619 SH       SOLE       2             22619         0      0
USD0.01(PAIRED STOCK)
CATERPILLAR INC COM USD1   CMN            149123101         295        4000 SH       DEFINED    1                 0      4000      0
CATERPILLAR INC COM USD1   CMN            149123101         757       10249 SH       DEFINED    2                 0     10249      0
CATERPILLAR INC COM USD1   CMN            149123101        3996       54116 SH       DEFINED    2                 0     54116      0
CATTLESALE COMPANY  COM    CMN            149479107           0         135 SH       SOLE       1               135         0      0
CB RICHARD ELLIS GROUP     CMN            12497T101           0       16837 SH       SOLE       2             16837         0      0
INC CLASS 'A' USD0.01
CBL & ASSOCIATES           CMN            124830100         171       15067 SH       SOLE       2             15067         0      0
PROPERTIES INC COM
USD0.01
CBS CORP CLASS'B' COM STK  CMN            124857202        3996      196092 SH       DEFINED    1                 0    196092      0
USD0.001
CBS CORP CLASS'B' COM STK  CNV            530715AR2        1593    20423.31 SH       SOLE       1          20423.31         0      0
USD0.001
CBS CORP CLASS'B' COM STK  CMN            124857202         284       13930 SH       DEFINED    2                 0     13930      0
USD0.001
CELANESE CORP COM SERIES   CMN            150870103         895       27525 SH       SOLE       2             27525         0      0
'A' USD0.0001
CELESTICA INC SUB ORD VTG  CMN            15101Q108          97       13370 SH       SOLE       2             13370         0      0
SHS NPV
CELSION CORP COM STK       CMN            15117N305          52       20750 SH       SOLE       2             20750         0      0
USD0.01
CEMEX SAB DE CV CPO        CMN            151290889 28888.57253 9141953.333 SH       DEFINED    2                 0  27425860      0
NPV(REP 2'A' & 1'B')
CEMEX SAB DE CV CPO        CMN            151290889 66.44426667 21026.66667 SH       DEFINED    2                 0     63080      0
NPV(REP 2'A' & 1'B')
CENOVUS ENERGY INC COM NPV CMN            15135U109         695       22621 SH       SOLE       2             22621         0      0
CENTER FINL CORP COM NPV   CMN            15146E102         840      179200 SH       SOLE       1            179200         0      0
CENTERPOINT ENERGY INC     CMN            15189T107         600       30570 SH       SOLE       2             30570         0      0
COM NPV






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CENTRAIS ELETRICAS         CMN            15234Q207         557       63475 SH       SOLE       2             63475         0      0
BRASILEIRAS SA COM NPV
CENTRAL EUROPEAN           CNV            153435AA0         336     4942.99 SH       SOLE       1           4942.99         0      0
DISTRIBUTION CORP COM
USD0.01
CENTURA SOFTWARE CORP COM  CMN            15640W103           0        3840 SH       SOLE       1              3840         0      0
CENTURYLINK INC COM USD1   CMN            156700106        1202       36306 SH       DEFINED    1                 0     36306      0
CENTURYLINK INC COM USD1   CMN            156700106        1782       53797 SH       DEFINED    2                 0     53797      0
CENTURYLINK INC COM USD1   CMN            156700106         514       15527 SH       DEFINED    2                 0     15527      0
CEPHALON INC COM USD0.01   CMN            156708109       17301      214392 SH       DEFINED    2                 0    214392      0
CEPHALON INC COM USD0.01   CMN            156708109       77496      960296 SH       DEFINED    2                 0    960296      0
CF INDUSTRIES HOLDINGS     CMN            125269100          22         182 SH       DEFINED    1                 0       182      0
INC COM USD0.01
CF INDUSTRIES HOLDINGS     CMN            125269100        4512       36565 SH       DEFINED    2                 0     36565      0
INC COM USD0.01
CH ROBINSON WORLDWIDE INC  CMN            12541W209          32         473 SH       DEFINED    1                 0       473      0
COM USD0.1
CH ROBINSON WORLDWIDE INC  CMN            12541W209         171        2492 SH       DEFINED    2                 0      2492      0
COM USD0.1
CHARLES RIVER              CMN            159864107        2043       71377 SH       DEFINED    2                 0     71377      0
LABORATORIES COM STK
USD0.01
CHARLES RIVER              CMN            159864107          15         526 SH       DEFINED    2                 0       526      0
LABORATORIES COM STK
USD0.01
CHECK POINT SOFTWARE       CMN            M22465104         236        4474 SH       SOLE       2              4474         0      0
TECHNOLOGIES ORD ILS0.01
CHEESECAKE FACTORY/THE     CMN            163072101         214        8677 SH       SOLE       2              8677         0      0
COM USD0.01
CHELSEA THERAPEUTICS       CMN            163428105          46       12600 SH       SOLE       2             12600         0      0
INTERNATIONAL INC COM STK
NPV
CHESAPEAKE ENERGY CORP     CNV            165167BZ9        1772    18762.96 SH       SOLE       1          18762.96         0      0
COM USD0.01
CHESAPEAKE ENERGY CORP     CMN            165167107        2163       84639 SH       SOLE       2             84639         0      0
COM USD0.01
CHESAPEAKE ENERGY CORP     CNV            165167776        2800        2500 SH       SOLE       1              2500         0      0
PRF1000 144A
CHEVRON CORP COM USD0.75   CMN            166764100       11839      127867 SH       SOLE       2            127867         0      0
CHIEF CONS MNG CO   COM    CMN            168628105           0         816 SH       SOLE       1               816         0      0
CHINA AGRITECH INC USD0.1  CMN            16937A200          14       24025 SH       SOLE       2             24025         0      0
CHINA FIRE & SECURITY      CMN            16938R103        1024      116800 SH       DEFINED    1                 0    116800      0
GROUP INC COM STK
USD0.001
CHINA FIRE & SECURITY      CMN            16938R103         131       14950 SH       DEFINED    2                 0     14950      0
GROUP INC COM STK
USD0.001
CHINA GERUI ADVANCED       CMN            G21101103         119       43158 SH       SOLE       2             43158         0      0
MATERIALS COM STK
USD0.0001
CHINA INFORMATION          CMN            16950L109          12       12500 SH       SOLE       2             12500         0      0
TECHNOLOGY INC COM
USD0.01
CHINA INTEGRATED ENERGY    CMN            16948P105          10       15900 SH       SOLE       2             15900         0      0
INC COM NPV
CHINA LIFE INSURANCE CO    CMN            16939P106        3212       90465 SH       SOLE       2             90465         0      0
LTD 'H'CNY1
CHINA MOBILE LTD SPON ADR  CMN            16941M109         314        6444 SH       SOLE       2              6444         0      0
REP 5 ORD HKD0.10
CHINA PETROLEUM &          CMN            16941R108      387511     4045000 SH       SOLE       2           4045000         0      0
CHEMICAL CORP 'H'CNY1






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CHINA SUNERGY CO LTD COM   CMN            16942X104          21       15000 SH       SOLE       2             15000         0      0
NPV
CHINA UNICOM (HK) LTD ADR  CMN            16945R104         821       40243 SH       SOLE       2             40243         0      0
EACH REP 10 ORD HKD0.10
CHIQUITA BRANDS            CNV            170032AT3        1531    17553.62 SH       SOLE       1          17553.62         0      0
INTERNATIONAL INC COM
USD.01
CHIQUITA BRANDS            CMN            170032809         142       17000 SH       DEFINED    2                 0     17000      0
INTERNATIONAL INC COM
USD.01
CHIQUITA BRANDS            CMN            170032809           5         635 SH       DEFINED    2                 0       635      0
INTERNATIONAL INC COM
USD.01
CHUBB CORP COM USD1        CMN            171232101           6         100 SH       DEFINED    1                 0       100      0
CHUBB CORP COM USD1        CMN            171232101         708       11796 SH       DEFINED    2                 0     11796      0
CIA SIDERURGICA NACIONAL   CMN            20440W105        1197      150803 SH       DEFINED    2                 0    150803      0
SA COM NPV
CIA SIDERURGICA NACIONAL   CMN            20440W105         391       49201 SH       DEFINED    2                 0     49201      0
SA COM NPV
CIENA CORP COM STK USD0.01 CMN            171779309         802       71594 SH       DEFINED    1                 0     71594      0
CIENA CORP COM STK USD0.01 CNV            171779AB7         634     6653.93 SH       SOLE       1           6653.93         0      0
CIENA CORP COM STK USD0.01 CNV            171779AF8        9716    102379.2 SH       SOLE       1          102379.2         0      0
CIENA CORP COM STK USD0.01 CNV            171779AG6         880     9915.71 SH       SOLE       1           9915.71         0      0
CIENA CORP COM STK USD0.01 CMN            171779309         302       26958 SH       DEFINED    2                 0     26958      0
CIGNA CORP USD0.25         CMN            125509109         536       12777 SH       SOLE       2             12777         0      0
CIRCUIT CITY STORE         CMN            172737108           0        1000 SH       SOLE       2              1000         0      0
CIRCUIT CITY GP COM
USD0.50
CIRRUS LOGIC INC COM       CMN            172755100           1         100 SH       DEFINED    1                 0       100      0
USD0.001
CIRRUS LOGIC INC COM       CMN            172755100         230       15615 SH       DEFINED    2                 0     15615      0
USD0.001
CISCO SYSTEMS INC COM      CMN            17275R102         345       22265 SH       DEFINED    2                 0     22265      0
USD0.001
CISCO SYSTEMS INC COM      CMN            17275R102        4667      301120 SH       DEFINED    2                 0    301120      0
USD0.001
CISCO SYSTEMS INC COM      CMN            17275R102          99        6400 SH       DEFINED    3                 0      6400      0
USD0.001
CITADEL BROADCASTING CORP  CMN            17285T106           0           1 SH       SOLE       1                 1         0      0
CITIGROUP INC PRF1000      CNV            172967416        1989       25100 SH       SOLE       1             25100         0      0
CITIGROUP INC USD0.01      CMN            172967424          15         586 SH       DEFINED    2                 0       586      0
CITIGROUP INC USD0.01      CMN            172967424       23472      916335 SH       DEFINED    2                 0    916335      0
CITIGROUP INC USD0.01      CMN            172967424         370       14460 SH       DEFINED    3                 0     14460      0
CITRIX SYSTEMS INC COM     CMN            177376100         478        8773 SH       SOLE       2              8773         0      0
USD0.001
CLASSICA GROUP INC COM     CMN            18273M202           0           3 SH       SOLE       1                 3         0      0
NEW
CLEARWIRE CORP COM STK     CNV            18538TAG4       38133   799435.02 SH       SOLE       1         799435.02         0      0
USD0.0001 CLASS 'A'
CLIFFS NATURAL RESOURCES   CMN            18683K101          21         402 SH       DEFINED    1                 0       402      0
INC COM USD1
CLIFFS NATURAL RESOURCES   CMN            18683K101         197        3845 SH       DEFINED    2                 0      3845      0
INC COM USD1
CLOROX CO COM USD1         CMN            189054109          65         978 SH       DEFINED    1                 0       978      0
CLOROX CO COM USD1         CMN            189054109         352        5303 SH       DEFINED    2                 0      5303      0
CMS ENERGY CORP COM        CNV            125896BD1       65461   448978.16 SH       SOLE       1         448978.16         0      0
USD0.01
CNO FINANCIAL GROUP INC    CNV            12621EAF0        8699    71038.25 SH       SOLE       1          71038.25         0      0
COM USD0.01
CNOOC LTD HKD0.02          CMN            126132109        4232       26400 SH       SOLE       2             26400         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
COACH INC COM USD0.01      CMN            189754104         506        9760 SH       DEFINED    1                 0      9760      0
COACH INC COM USD0.01      CMN            189754104        1752       33808 SH       DEFINED    2                 0     33808      0
COCA-COLA CO/THE COM       CMN            191216100        6989      103446 SH       SOLE       2            103446         0      0
USD0.25
COCA-COLA ENTERPRISES INC  CMN            19122T109         357       14353 SH       SOLE       2             14353         0      0
COM USD1
COEUR D'ALENE MINES CORP   CMN            192108504         876       40849 SH       SOLE       2             40849         0      0
USD1
COGNIZANT TECH             CMN            192446102          64        1025 SH       DEFINED    1                 0      1025      0
SOLUTIONS-A COM
CL'A'USD0.01
COGNIZANT TECH             CMN            192446102         492        7853 SH       DEFINED    2                 0      7853      0
SOLUTIONS-A COM
CL'A'USD0.01
COINSTAR INC COM USD0.001  CNV            19259PAF9        6396    51749.81 SH       SOLE       1          51749.81         0      0
COLD METAL PRODUCTS INC    CMN            192861102           0          93 SH       SOLE       1                93         0      0
COM USD0.01
COMCAST CORP 'A'SPL COM    CMN            20030N200         222       10700 SH       SOLE       2             10700         0      0
USD0.01
COMCAST CORP COM CLS'A'    CMN            20030N101         537       25664 SH       DEFINED    1                 0     25664      0
USD0.01
COMCAST CORP COM CLS'A'    CMN            20030N101       12501      597564 SH       DEFINED    2                 0    597564      0
USD0.01
COMERICA INC COM USD5      CMN            200340107         465       20261 SH       SOLE       2             20261         0      0
COMMUNITY HEALTH SYSTEMS   CMN            203668108         188       11296 SH       SOLE       2             11296         0      0
INC COM USD0.01
COMPLETE GENOMICS INC COM  CMN            20454K104         126       21412 SH       SOLE       2             21412         0      0
NPV
COMPLETE PRODUCTION        CMN            20453E109         230       12221 SH       SOLE       2             12221         0      0
SERVICES INC COM STK
USD0.01
COMPUTER SCIENCES CORP     CMN            205363104         315       11721 SH       SOLE       2             11721         0      0
COM USD1
CONNECTICUT BK COMM        CMN            207548108           0      414660 SH       SOLE       1            414660         0      0
STAMFORD COM
CONOCOPHILLIPS COM USD0.01 CMN            20825C104         547        8640 SH       DEFINED    2                 0      8640      0
CONOCOPHILLIPS COM USD0.01 CMN            20825C104        6113       96540 SH       DEFINED    2                 0     96540      0
CONSOL ENERGY INC COM      CMN            20854P109         252        7439 SH       SOLE       2              7439         0      0
USD0.01
CONSOLIDATED PICTURES      CMN            209785104           0           3 SH       SOLE       1                 3         0      0
GROUP IN COM
CONSOLIDATED EDISON INC    CMN            209115104         745       13057 SH       SOLE       2             13057         0      0
COM USD0.10
CONSTAR INTL INC NEW COM   CMN            21036U107           0       82200 SH       SOLE       1             82200         0      0
CONSTELLATION BRANDS INC   CMN            21036P108         192       10690 SH       SOLE       2             10690         0      0
CLASS'A'COM USD0.01
CONTINUCARE CORP COM       CMN            212172100        7743     1213600 SH       SOLE       1           1213600         0      0
USD0.0001
CONVERGYS CORP COM NPV     CNV            212485AE6       10716    94416.97 SH       SOLE       1          94416.97         0      0
CORE LABORATORIES NV       CNV            21868FAB9         566     2884.89 SH       SOLE       1           2884.89         0      0
EUR0.02
CORNING INC COM USD0.50    CMN            219350105        1545      125000 SH       DEFINED    1                 0    125000      0
CORNING INC COM USD0.50    CMN            219350105         865       70019 SH       DEFINED    2                 0     70019      0
CORNING INC COM USD0.50    CMN            219350105         337       27258 SH       DEFINED    2                 0     27258      0
COSTCO WHOLESALE CORP COM  CMN            22160K105         485        5907 SH       SOLE       2              5907         0      0
STK USD0.005
COVANTA HOLDING CORP COM   CNV            22282EAC6       27421   252259.21 SH       SOLE       1         252259.21         0      0
STK USD0.10
COVIDIEN PLC COM STK       CMN            G2554F113         345        7814 SH       SOLE       2              7814         0      0
USD0.20






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CREDIT SUISSE GROUP        CMN            225401108        1484       56540 SH       SOLE       2             56540         0      0
CHF0.04(REGD)
CREE INC COM USD0.00125    CMN            225447101         514       19776 SH       SOLE       2             19776         0      0
CROCS INC COM STK USD0.001 CMN            227046109         396       16736 SH       SOLE       2             16736         0      0
CROWN CASTLE               CNV            228227401       74787     1277100 SH       SOLE       1           1277100         0      0
INTERNATIONAL CORP COM
USD0.01
CROWN HOLDINGS INC COM     CMN            228368106           3         100 SH       DEFINED    1                 0       100      0
USD5
CROWN HOLDINGS INC COM     CMN            228368106         211        6883 SH       DEFINED    2                 0      6883      0
USD5
CSX CORP COM USD1          CMN            126408103        1353       72470 SH       SOLE       2             72470         0      0
CTC MEDIA INC COM STK      CMN            12642X106         595       66818 SH       SOLE       2             66818         0      0
USD0.01
CTRIP.COM INTL LTD ADS EA  CMN            22943F100         543       16892 SH       SOLE       2             16892         0      0
REP 0.5 ORD USD0.01
CUBESMART COM USD0.01      CMN            229663109          89       10455 SH       SOLE       2             10455         0      0
CUBIST PHARMACEUTICALS     CNV            229678AC1       14253   113747.15 SH       SOLE       1         113747.15         0      0
INC COM USD0.001
CUMMINS INC COM USD2.50    CMN            231021106          73         900 SH       DEFINED    1                 0       900      0
CUMMINS INC COM USD2.50    CMN            231021106         491        6008 SH       DEFINED    2                 0      6008      0
CURIS INC COM USD0.01      CMN            231269101         139       44000 SH       SOLE       2             44000         0      0
CVR ENERGY INC COM STK     CMN            12662P108        1664       78690 SH       DEFINED    2                 0     78690      0
USD0.01
CVR ENERGY INC COM STK     CMN            12662P108         165        7809 SH       DEFINED    2                 0      7809      0
USD0.01
CVS CAREMARK CORP COM STK  CMN            126650100       13347      397364 SH       DEFINED    2                 0    397364      0
USD0.01
CVS CAREMARK CORP COM STK  CMN            126650100         558       16599 SH       DEFINED    2                 0     16599      0
USD0.01
CYPRESS SEMICONDUCTOR      CMN            232806109         156       10410 SH       SOLE       2             10410         0      0
CORP COM USD0.01
DANA HOLDING CORP COM STK  CMN            235825205         126       11953 SH       SOLE       2             11953         0      0
USD0.01
DANAHER CORP COM USD0.01   CMN            235851102         517       12329 SH       DEFINED    1                 0     12329      0
DANAHER CORP COM USD0.01   CNV            235851AF9        1480    12166.47 SH       SOLE       1          12166.47         0      0
DANAHER CORP COM USD0.01   CMN            235851102        1013       24152 SH       DEFINED    2                 0     24152      0
DARDEN RESTAURANTS INC     CMN            237194105         517       12101 SH       SOLE       2             12101         0      0
COM NPV
DATATEC SYS INC COM        CMN            238128102           0        1500 SH       SOLE       1              1500         0      0
DDR CORP COM NPV           CNV            251591AX1        9914    108235.9 SH       SOLE       1          108235.9         0      0
DDR CORP COM NPV           CMN            23317H102         110       10110 SH       SOLE       2             10110         0      0
DEAN FOODS CO COM USD0.01  CMN            242370104         136       15294 SH       SOLE       2             15294         0      0
DEERE & CO COM USD1        CMN            244199105         908       14062 SH       SOLE       2             14062         0      0
DELL INC COM USD0.01       CMN            24702R101         849       60019 SH       SOLE       2             60019         0      0
DELTA AIR LINES INC COM    CMN            247361702         571       76075 SH       SOLE       2             76075         0      0
USD0.0001
DELTA AIR LINES INC DEL    CMN            247361702     12.5325        1671 SH       SOLE       4              1438         0    233
DENDREON CORP COM USD0.001 CMN            24823Q107         721       80078 SH       SOLE       2             80078         0      0
DEUTSCHE BANK AG NPV(REGD) CMN            D18190898        2521       72846 SH       SOLE       2             72846         0      0
DEVON ENERGY CORP COM      CMN            25179M103        1532       27629 SH       SOLE       2             27629         0      0
USD0.10
DEX ONE CORP               CMN            25212W100   171.12984      305589 SH       SOLE       4            305589         0      0
DIAGEO PLC ORD             CMN            25243Q205         554        7292 SH       SOLE       2              7292         0      0
GBX28.935185
DIAMOND EQUITIES INC COM   CMN            252592100           0         240 SH       SOLE       1               240         0      0
DIAMONDS TST SERIES I      CMN            78467X109         109        1000 SH       DEFINED    1                 0      1000      0
SER'1' UNITS OF BEN INT
NPV
DIAMONDS TST SERIES I      CMN            78467X109         731        6710 SH       DEFINED    2                 0      6710      0
SER'1' UNITS OF BEN INT
NPV






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
DIANA SHIPPING INC COM     CMN            Y2066G104         322       43400 SH       SOLE       2             43400         0      0
STK USD0.01
DIGITAL RIVER INC COM STK  CMN            25388B104         311       14980 SH       DEFINED    1                 0     14980      0
USD0.01
DIGITAL RIVER INC COM STK  CMN            25388B104         225       10831 SH       DEFINED    2                 0     10831      0
USD0.01
DILLARD'S INC CLASS'A'     CMN            254067101           9         200 SH       DEFINED    1                 0       200      0
COM USD0.01
DILLARD'S INC CLASS'A'     CMN            254067101         206        4748 SH       DEFINED    2                 0      4748      0
COM USD0.01
DISCOVER FINANCIAL         CMN            254709108         648       28265 SH       DEFINED    1                 0     28265      0
SERVICES COM STK USD0.01
DISCOVER FINANCIAL         CMN            254709108        1235       53817 SH       DEFINED    2                 0     53817      0
SERVICES COM STK USD0.01
DISCOVERY COMMUNICATIONS   CMN            25470F104         265        7033 SH       SOLE       2              7033         0      0
INC COM USD0.01 CL 'A'
DISH NETWORK CORP          CMN            25470M109         601       23973 SH       SOLE       2             23973         0      0
CLASS'A'COM USD0.01
DIVINE INC CL A NEW        CMN            255402406           0          12 SH       SOLE       1                12         0      0
DOLLAR GENERAL CORP        CMN            256677105         229        6060 SH       SOLE       2              6060         0      0
USD0.875
DOLLAR THRIFTY AUTOMOTIVE  CMN            256743105        2483       44108 SH       DEFINED    1                 0     44108      0
GROUP COM USD0.01
DOLLAR THRIFTY AUTOMOTIVE  CMN            256743105          89        1581 SH       DEFINED    2                 0      1581      0
GROUP COM USD0.01
DOLLAR TREE INC COM        CMN            256746108         345        4590 SH       SOLE       2              4590         0      0
USD0.01
DOMINION RESOURCES INC/VA  CNV            25746UAT6         418     2881.77 SH       SOLE       1           2881.77         0      0
COM STK NPV
DOMINION RESOURCES INC/VA  CMN            25746U109         472        9288 SH       SOLE       2              9288         0      0
COM STK NPV
DONLAR CORP NEW COM        CMN            257791103           0           2 SH       SOLE       1                 2         0      0
DOVER CORP COM USD1        CMN            260003108         515       11042 SH       DEFINED    1                 0     11042      0
DOVER CORP COM USD1        CMN            260003108          52        1124 SH       DEFINED    2                 0      1124      0
DOW CHEMICAL CO/THE COM    CMN            260543103         754       33562 SH       DEFINED    1                 0     33562      0
USD2.50
DOW CHEMICAL CO/THE COM    CMN            260543103        2114       94111 SH       DEFINED    2                 0     94111      0
USD2.50
DOW CHEMICAL CO/THE COM    CMN            260543103        1011       45008 SH       DEFINED    2                 0     45008      0
USD2.50
DOW CHEMICAL CO/THE COM    CMN            260543103           4         170 SH       DEFINED    3                 0       170      0
USD2.50
DPL INC COM USD0.01        CMN            233293109       13474      447037 SH       SOLE       2            447037         0      0
DRDGOLD LTD NPV            CMN            26152H301         333       65600 SH       SOLE       2             65600         0      0
DRESSER-RAND GROUP INC     CMN            261608103          77        1900 SH       DEFINED    1                 0      1900      0
COM STK USD0.01
DRESSER-RAND GROUP INC     CMN            261608103         133        3284 SH       DEFINED    2                 0      3284      0
COM STK USD0.01
DRKOOP COM INC COM         CMN            262098106           0         435 SH       SOLE       1               435         0      0
DRYSHIPS INC COM USD0.01   CMN            Y2109Q101         376      160655 SH       SOLE       2            160655         0      0
DTE ENERGY CO COM NPV      CMN            233331107         255        5197 SH       SOLE       2              5197         0      0
DU PONT EI DE NEMOURS &    CMN            263534109         555       13890 SH       DEFINED    2                 0     13890      0
CO COM USD0.30
DU PONT EI DE NEMOURS &    CMN            263534109        1850       46296 SH       DEFINED    2                 0     46296      0
CO COM USD0.30
E*TRADE FINANCIAL CORP     CMN            269246401         691       75841 SH       SOLE       2             75841         0      0
USD0.01
EASTMAN CHEMICAL CO COM    CMN            277432100          28         403 SH       DEFINED    1                 0       403      0
USD0.01
EASTMAN CHEMICAL CO COM    CMN            277432100         687       10025 SH       DEFINED    2                 0     10025      0
USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
EASTMAN KODAK CO COM       CNV            277461BJ7        9282   408906.88 SH       DEFINED    1                 0 408906.88      0
USD2.50
EASTMAN KODAK CO COM       CMN            277461109         110      140714 SH       SOLE       2            140714         0      0
USD2.50
EASTMAN KODAK CO COM       CNV            277461BJ7         613    26990.55 SH       DEFINED    2                 0  26990.55      0
USD2.50
EATON CORP COM USD0.50     CMN            278058102         412       11608 SH       SOLE       2             11608         0      0
EBAY INC COM USD0.001      CMN            278642103        1959       66433 SH       SOLE       2             66433         0      0
ECOLAB INC COM USD1        CMN            278865100         378        7733 SH       SOLE       2              7733         0      0
ECOPETROL SA NPV           CMN            279158109        2425       60200 SH       SOLE       2             60200         0      0
EDISON INTERNATIONAL COM   CMN            281020107         275        7188 SH       SOLE       2              7188         0      0
NPV
EL PASO CORP COM USD3      CMN            28336L109         361       20651 SH       SOLE       2             20651         0      0
ELECTRONIC ARTS INC COM    CMN            285512109          75        3662 SH       DEFINED    1                 0      3662      0
USD0.01
ELECTRONIC ARTS INC COM    CMN            285512109         383       18738 SH       DEFINED    2                 0     18738      0
USD0.01
ELECTRONIC SENSOR          CMN            285835104         194     7750000 SH       SOLE       1           7750000         0      0
TECHNOLOGY INC USD0.001
ELI LILLY & CO COM NPV     CMN            532457108         268        7246 SH       SOLE       2              7246         0      0
EMC CORP/MASSACHUSETTS     CNV            268648AM4         298     2114.42 SH       SOLE       1           2114.42         0      0
COM USD0.01
EMC CORP/MASSACHUSETTS     CMN            268648102        1318       62796 SH       SOLE       2             62796         0      0
COM USD0.01
EMDEON INC 'CLASS          CMN            29084T104        1003       53400 SH       DEFINED    1                 0     53400      0
A'NON-VTG USD0.01
EMDEON INC 'CLASS          CMN            29084T104           9         500 SH       DEFINED    2                 0       500      0
A'NON-VTG USD0.01
EMERSON ELECTRIC CO COM    CMN            291011104        1028       24887 SH       SOLE       2             24887         0      0
USD0.50
ENDEAVOR INTERNATIONAL     CNV            29257MAD2        2127    27012.42 SH       SOLE       1          27012.42         0      0
CORP COM USD0.001
ENDO PHARMACEUTICALS       CNV            29264FAB2       17322   154109.58 SH       SOLE       1         154109.58         0      0
HOLDINGS INC COM USD0.01
ENERGY CONVERSION DEVICES  CMN            292659109          15       29025 SH       SOLE       2             29025         0      0
INC COM USD0.01
ENI SPA EUR1               CMN            26874R108         237        6748 SH       SOLE       2              6748         0      0
ENRON CORP COM             CMN            293561106           0        1300 SH       SOLE       1              1300         0      0
ENTERGY CORP COM USD0.01   CMN            29364G103         419        6317 SH       SOLE       2              6317         0      0
ENTRADA NETWORKS INC COM   CMN            29382Y102           0           1 SH       SOLE       1                 1         0      0
ENTROPIC COMMUNICATIONS    CMN            29384R105          55       13350 SH       SOLE       2             13350         0      0
INC COM STK USD0.001
ENVIRO ENERGY CORP         CMN            29403E101           0          43 SH       SOLE       1                43         0      0
ENVIRONMENTAL SOLUTIONS    CMN            29408K102           2       15000 SH       SOLE       2             15000         0      0
WORLDWIDE INC COM
USD0.001
EOG RESOURCES INC COM      CMN            26875P101        1493       21027 SH       SOLE       2             21027         0      0
USD0.01
EPIQ SYSTEMS INC COM       CMN            26882D109         194       15483 SH       SOLE       2             15483         0      0
USD0.01
EQUINIX INC COM NPV        CNV            29444UAF3         771     7613.79 SH       SOLE       1           7613.79         0      0
EQUINIX INC COM NPV        CNV            29444UAG1        1347     12849.4 SH       SOLE       1           12849.4         0      0
EQUINIX INC COM NPV        CNV            29444UAH9        7192    55883.87 SH       SOLE       1          55883.87         0      0
EQUINIX INC COM NPV        CMN            29444U502       12654      142450 SH       DEFINED    2                 0    142450      0
EQUINIX INC COM NPV        CMN            29444U502           3          35 SH       DEFINED    2                 0        35      0
ESTEE LAUDER COS INC/THE   CMN            518439104        1936       22037 SH       SOLE       2             22037         0      0
CLASS'A'COM USD0.01
E-SYNC NETWORKS INC COM    CMN            269156105           0         450 SH       SOLE       1               450         0      0
EXCEL MARITIME CARRIERS    CMN            V3267N107          24       11514 SH       SOLE       2             11514         0      0
LTD COM USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
EXCELSIOR HENDERSON        CMN            300906104           0         250 SH       SOLE       1               250         0      0
MOTORCYCLE COM
EXCO RESOURCES INC COM     CMN            269279402         157       14621 SH       SOLE       2             14621         0      0
STK USD0.001
EXELON CORP COM NPV        CMN            30161N101        1402       32911 SH       SOLE       2             32911         0      0
EXPEDIA INC COM STK        CMN            30212P105         405       15740 SH       SOLE       2             15740         0      0
USD0.001
EXPEDITORS INTL            CMN            302130109          30         733 SH       DEFINED    1                 0       733      0
WASHINGTON INC COM
USD0.01
EXPEDITORS INTL            CMN            302130109         892       21997 SH       DEFINED    2                 0     21997      0
WASHINGTON INC COM
USD0.01
EXPRESS SCRIPTS INC COM    CMN            302182100          26         710 SH       DEFINED    1                 0       710      0
USD0.01
EXPRESS SCRIPTS INC COM    CMN            302182100         485       13082 SH       DEFINED    2                 0     13082      0
USD0.01
EXTERRAN COM STK USD0.01   CNV            30225XAA1        2708    29805.61 SH       SOLE       1          29805.61         0      0
EXTINCT AMARIN CORP PLC    CMN            023111206         114       12360 SH       SOLE       2             12360         0      0
ORD GBP0.50#DISABLED#
EXTINCT BEARINGPOINT INC   CNV            074002AA4           0    15238.09 SH       SOLE       1          15238.09         0      0
USD0.01
EXXON MOBIL CORP COM NPV   CMN            30231G102        5626       77464 SH       DEFINED    2                 0     77464      0
EXXON MOBIL CORP COM NPV   CMN            30231G102       19994      275287 SH       DEFINED    2                 0    275287      0
F5 NETWORKS INC COM STK    CMN            315616102          29         409 SH       DEFINED    1                 0       409      0
NPV
F5 NETWORKS INC COM STK    CMN            315616102        1672       23536 SH       DEFINED    2                 0     23536      0
NPV
FAIRPOINT COMMUNICATIONS   CMN            305560302    139.1308       32356 SH       SOLE       4             32356         0      0
INC
FAIRPOINT COMMUNICATIONS   CMN            305560104           0          17 SH       SOLE       2                17         0      0
INC COM STK USD0.01
FANNIE MAE COM NPV         CMN            313586109          63      262250 SH       SOLE       2            262250         0      0
FASTENAL CO COM USD0.01    CMN            311900104          33         996 SH       DEFINED    1                 0       996      0
FASTENAL CO COM USD0.01    CMN            311900104         412       12373 SH       DEFINED    2                 0     12373      0
FEDERAL MOGUL CORP         CMN            313549404   907.40357       61602 SH       SOLE       4             61602         0      0
FEDERATED INVESTORS INC    CMN            314211103          33        1882 SH       DEFINED    1                 0      1882      0
CL'B' NPV
FEDERATED INVESTORS INC    CMN            314211103         211       12025 SH       DEFINED    2                 0     12025      0
CL'B' NPV
FEDEX CORP COM USD0.10     CMN            31428X106         775       11455 SH       SOLE       2             11455         0      0
FERRO CORP COM USD1        CMN            315405100         325       52900 SH       SOLE       2             52900         0      0
FIDELITY NTL FIN INC       CMN            31620R105         345       22700 SH       DEFINED    1                 0     22700      0
CLASS 'A' COM STK
USD0.0001
FIDELITY NTL FIN INC       CMN            31620R105          50        3294 SH       DEFINED    2                 0      3294      0
CLASS 'A' COM STK
USD0.0001
FIFTH STREET FINANCE CORP  CNV            31679BAA8        5697    67741.49 SH       SOLE       1          67741.49         0      0
COMMON STOCK USD(NPV)
FIFTH THIRD BANCORP COM    CMN            316773100         508       50262 SH       DEFINED    1                 0     50262      0
NPV
FIFTH THIRD BANCORP COM    CMN            316773100        1302      128867 SH       DEFINED    2                 0    128867      0
NPV
FIN SELECT SECTOR SPDR     CMN            81369Y605        2265      191804 SH       DEFINED    1                 0    191804      0
AMEX FINANCIAL SELECT
INDEX
FIN SELECT SECTOR SPDR     CMN            81369Y605         118       10000 SH       DEFINED    2                 0     10000      0
AMEX FINANCIAL SELECT
INDEX






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
FIN SELECT SECTOR SPDR     CMN            81369Y605        3491      295624 SH       DEFINED    2                 0    295624      0
AMEX FINANCIAL SELECT
INDEX
FINANCIAL BEAR 3X SHARES   CMN            25459W144         765       11598 SH       SOLE       2             11598         0      0
FINANCIAL BEAR 3X SHARES
FINANCIAL BULL 3X SHARES   CMN            25459W516        1244      117147 SH       SOLE       2            117147         0      0
FINANCIAL BULL 3X SHARES
FINET.COM INC COM USD0.01  CMN            317922409           0          41 SH       SOLE       1                41         0      0
FINISAR CORP USD0.001      CMN            31787A507         273       15541 SH       SOLE       2             15541         0      0
FIRST CAPITAL HOLDINGS     CMN            319417101           0         350 SH       SOLE       1               350         0      0
CORP. SYM FCHC
FIRST FITNESS INC COM NEW  CMN            320259203           0           2 SH       SOLE       1                 2         0      0
FIRST HORIZON NATIONAL     CMN            320517105        2038      342009 SH       SOLE       2            342009         0      0
CORP COM USD0.625
FIRST SOLAR INC COM STK    CMN            336433107        1644       26002 SH       SOLE       2             26002         0      0
USD0.001
FIRSTENERGY CORP COM       CMN            337932107         495       11032 SH       SOLE       2             11032         0      0
USD0.10
FISERV INC COM USD0.01     CMN            337738108         249        4908 SH       SOLE       2              4908         0      0
FLEXTRONICS INTERNATIONAL  CMN            Y2573F102          61       10802 SH       SOLE       2             10802         0      0
LTD ORD USD0.01
FLIR SYSTEMS INC COM       CMN            302445101         208        8323 SH       SOLE       2              8323         0      0
USD0.01
FLUOR CORP COM USD0.01     CMN            343412102        1211       26020 SH       SOLE       2             26020         0      0
FOCUS MEDIA HOLDING LTD    CMN            34415V109        5912      351165 SH       DEFINED    2                 0    351165      0
SP ADR RP 5 ORD
USD0.00005
FOCUS MEDIA HOLDING LTD    CMN            34415V109         324       19272 SH       DEFINED    2                 0     19272      0
SP ADR RP 5 ORD
USD0.00005
FOODVISION.COM INC USD0.01 CMN            34484N103           0         800 SH       SOLE       1               800         0      0
FOOT LOCKER INC COM        CMN            344849104         405       20164 SH       SOLE       2             20164         0      0
USD0.01
FORD MOTOR CO COM STK      CMN            345370134          35    15839.78 SH       DEFINED    1                 0  15839.78      0
USD0.01
FORD MOTOR CO COM STK      CMN            345370860        4322      446927 SH       DEFINED    1                 0    446927      0
USD0.01
FORD MOTOR CO COM STK      CNV            345370CN8       12996    99354.83 SH       SOLE       1          99354.83         0      0
USD0.01
FORD MOTOR CO COM STK      CMN            345370134        2162   978260.86 SH       DEFINED    2                 0 978260.86      0
USD0.01
FORD MOTOR CO COM STK      CMN            345370860         629       65047 SH       DEFINED    2                 0     65047      0
USD0.01
FORD MOTOR CO COM STK      CMN            345370860        1355      140091 SH       DEFINED    2                 0    140091      0
USD0.01
FOREST CITY ENTS           CNV            345550AM9        7512    71889.17 SH       SOLE       1          71889.17         0      0
CLASS'A'COM USD0.33 1/3
FOREST CITY ENTS           CNV            345550AN7        1608     19843.1 SH       SOLE       1           19843.1         0      0
CLASS'A'COM USD0.33 1/3
FOREST CITY ENTS           CMN            345550107        1666      156270 SH       SOLE       2            156270         0      0
CLASS'A'COM USD0.33 1/3
FOREST OIL CORP COM STK    CMN            346091705        1616      112200 SH       DEFINED    1                 0    112200      0
USD0.1
FOREST OIL CORP COM STK    CMN            346091705          62        4301 SH       DEFINED    2                 0      4301      0
USD0.1
FORTRESS INVESTM           CMN            34958B106 344779.6962    60487666 SH       SOLE       1          60487666         0      0
FORTUNE BRANDS HOME &      CMN            34964C106        7443      600223 SH       SOLE       1            600223         0      0
SECURITY COM NPV
FOSSIL INC COM USD0.01     CMN            349882100          28         345 SH       DEFINED    1                 0       345      0
FOSSIL INC COM USD0.01     CMN            349882100         557        6870 SH       DEFINED    2                 0      6870      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
FPIC INSURANCE GP USD0.1   CMN            302563101        1776       42452 SH       SOLE       1             42452         0      0
FRANCE TELECOM SA EUR4     CMN            35177Q105         975       59534 SH       SOLE       2             59534         0      0
FRANKLIN RESOURCES INC     CMN            354613101         506        5287 SH       DEFINED    1                 0      5287      0
COM USD0.10
FRANKLIN RESOURCES INC     CMN            354613101         189        1981 SH       DEFINED    2                 0      1981      0
COM USD0.10
FREDDIE MAC COM USD0.21    CMN            313400301          22       91693 SH       SOLE       2             91693         0      0
FREEPORT-MCMORAN COPPER &  CMN            35671D857          22         708 SH       DEFINED    1                 0       708      0
GOLD INC COM STK USD0.10
FREEPORT-MCMORAN COPPER &  CMN            35671D857         796       26145 SH       DEFINED    2                 0     26145      0
GOLD INC COM STK USD0.10
FREEPORT-MCMORAN COPPER &  CMN            35671D857        6903      226696 SH       DEFINED    2                 0    226696      0
GOLD INC COM STK USD0.10
FRONTLINE CAP GROUP COM    CMN            35921N101           0          14 SH       SOLE       1                14         0      0
GAFISA SA COM NPV          CMN            362607301         596      103298 SH       SOLE       2            103298         0      0
GANNETT CO INC COM USD1    CMN            364730101         236       24802 SH       SOLE       2             24802         0      0
GAP INC/THE COM USD0.05    CMN            364760108         112        6918 SH       DEFINED    1                 0      6918      0
GAP INC/THE COM USD0.05    CMN            364760108         259       15938 SH       DEFINED    2                 0     15938      0
GARMIN LTD USD10           CMN            H2906T109         259        8150 SH       SOLE       2              8150         0      0
GAYLORD ENTERTAINMENT CO   CNV            367905AE6        9525    94678.89 SH       SOLE       1          94678.89         0      0
COM USD0.01
GAYLORD ENTERTAINMENT CO   CMN            367905106        1793       92709 SH       DEFINED    2                 0     92709      0
COM USD0.01
GAYLORD ENTERTAINMENT CO   CMN            367905106        1098       56768 SH       DEFINED    2                 0     56768      0
COM USD0.01
GENCORP INC COM USD0.10    CNV            368682AN0       43622   500249.95 SH       SOLE       1         500249.95         0      0
GENERAL CABLE CORP COM     CNV            369300AD0        4259    46701.32 SH       SOLE       1          46701.32         0      0
USD0.01
GENERAL DYNAMICS CORP COM  CMN            369550108         380        6679 SH       SOLE       2              6679         0      0
USD1
GENERAL ELECTRIC CO COM    CMN            369604103         795       52217 SH       DEFINED    1                 0     52217      0
USD0.06
GENERAL ELECTRIC CO COM    CMN            369604103         998       65598 SH       DEFINED    2                 0     65598      0
USD0.06
GENERAL ELECTRIC CO COM    CMN            369604103        6972      458058 SH       DEFINED    2                 0    458058      0
USD0.06
GENERAL GROWTH PROPERTIES  CMN            370023103         209       17256 SH       SOLE       2             17256         0      0
INC COM USD0.01
GENERAL MARITIME CORP NEW  CMN            Y2693R101        32.5      125000 SH       SOLE       4            125000         0      0
GENERAL MILLS INC COM STK  CMN            370334104         289        7514 SH       SOLE       2              7514         0      0
USD0.10
GENERAL MOTORS CO 0.01     CMN            37045V100        8230      407813 SH       DEFINED    1                 0    407813      0
GENERAL MOTORS CO 0.01     CMN            37045V100         629       31163 SH       DEFINED    2                 0     31163      0
GENERAL MOTORS CO 0.01     CMN            37045V100         825       40863 SH       DEFINED    2                 0     40863      0
GENERAL MOTORS CO 0.01     CMN            37045V100          50        2500 SH       DEFINED    3                 0      2500      0
GENERAL MTRS CO            CMN            37045V100    118.5575        5875 SH       SOLE       4              1792         0   4083
GENERAL MTRS CO            CVT            37045V118    62.12268        5337 SH       SOLE       4              5337         0      0
GENERAL MTRS CO            CVT            37045V126    42.32241        5337 SH       SOLE       4              5337         0      0
GENESIS SOLAR CORP COM NPV CMN            37186R108           0          51 SH       SOLE       1                51         0      0
GENETIC TECHNOLOGIES LTD   CMN            37185R109        1023      231000 SH       SOLE       2            231000         0      0
NPV
GENWORTH FINANCIAL INC     CMN            37247D106         144       25100 SH       SOLE       2             25100         0      0
COM CL'A'USD0.001
GERDAU SA PRF NPV          CMN            373737105        3324      466136 SH       DEFINED    2                 0    466136      0
GERDAU SA PRF NPV          CMN            373737105         387       54308 SH       DEFINED    2                 0     54308      0
GERON CORP COM USD0.001    CMN            374163103         254      119701 SH       SOLE       2            119701         0      0
GILEAD SCIENCES INC COM    CNV            375558AN3        3651    33806.56 SH       SOLE       1          33806.56         0      0
USD0.001
GILEAD SCIENCES INC COM    CMN            375558103       19670      506949 SH       DEFINED    2                 0    506949      0
USD0.001






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
GILEAD SCIENCES INC COM    CMN            375558103        1344       34633 SH       DEFINED    2                 0     34633      0
USD0.001
GLAXOSMITHKLINE PLC ORD    CMN            37733W105         753       18228 SH       SOLE       2             18228         0      0
GBP0.25
GLOBAL EAGLE ACQUISITION   CMN            37951D110           0    26086.95 SH       SOLE       NPAL       26086.95         0      0
CORP COM NPV
GLOBAL INDUSTRIES LTD COM  CMN            379336100          87       10996 SH       SOLE       2             10996         0      0
USD0.01
GLOBAL TELESYSTEMS INC     CMN            37936U104           0        1039 SH       SOLE       1              1039         0      0
COM
GMX RESOURCES INC COM      CMN            38011M108          89       39200 SH       SOLE       2             39200         0      0
USD0.001
GO ONLINE NETWORKS CORP    CMN            380185108           0         400 SH       SOLE       1               400         0      0
COM
GOLD FIELDS LTD ZAR0.50    CMN            38059T106         198       12947 SH       SOLE       2             12947         0      0
GOLDCORP INC COM NPV       CMN            380956409        1080       23654 SH       SOLE       2             23654         0      0
GOODRICH CORP COM USD5     CMN            382388106        9563       79246 SH       SOLE       2             79246         0      0
GOODRICH PETROLEUM CORP    CNV            382410AC2       25014   279646.83 SH       SOLE       1         279646.83         0      0
COM USD0.20
GOODYEAR TIRE & RUBBER     CMN            382550101         317       31415 SH       SOLE       2             31415         0      0
CO/THE COM NPV
GOOGLE INC COM USD0.001    CMN            38259P508        5520       10717 SH       DEFINED    2                 0     10717      0
CL'A'
GOOGLE INC COM USD0.001    CMN            38259P508        6522       12664 SH       DEFINED    2                 0     12664      0
CL'A'
GRAPHICS TECHNOLOGIES INC  CMN            388704108           0        5000 SH       SOLE       1              5000         0      0
NPV
GREAT PLAINS ENERGY INC    CNV            391164803        3767       62500 SH       SOLE       1             62500         0      0
PRF50
GREAT WESTN LD & REC INC   CMN            39142A104           0          93 SH       SOLE       1                93         0      0
COM
GREEN MOUNTAIN COFFEE      CMN            393122106        1707       18368 SH       SOLE       2             18368         0      0
ROASTERS INC COM USD0.10
GREENBRIER COS INC COM     CNV            393657AG6        6430    90942.54 SH       SOLE       1          90942.54         0      0
USD0.001
GREENLAND CORP COM PAR     CMN            39530P309           0          19 SH       SOLE       1                19         0      0
$0.001
GREENLIGHT COMMUNICATIONS  CMN            39536R200           0         400 SH       SOLE       1               400         0      0
INC COM NEW
GROUP 1 AUTOMOTIVE INC     CNV            398905AF6         943     8510.28 SH       SOLE       1           8510.28         0      0
COM USD0.01
GROUP LONG DISTANCE INC    CMN            398901108           0         400 SH       SOLE       1               400         0      0
COM
GRUPO TELEVISA SA CPO'S    CMN            40049J206         817       44405 SH       SOLE       2             44405         0      0
25'A'22'B'35'D'35'L'
GUESS-INC COM STK USD0.01  CMN            401617105          28         977 SH       DEFINED    1                 0       977      0
GUESS-INC COM STK USD0.01  CMN            401617105         463       16243 SH       DEFINED    2                 0     16243      0
GULF RESOURCES INC         CMN            40251W309          23       10400 SH       SOLE       2             10400         0      0
USD0.001
H QUOTIENT INC COM         CMN            40426E101           0         209 SH       SOLE       1               209         0      0
HALLIBURTON CO COM USD2.50 CMN            406216101         134        4405 SH       DEFINED    2                 0      4405      0
HALLIBURTON CO COM USD2.50 CMN            406216101        3220      105506 SH       DEFINED    2                 0    105506      0
HANSEN MEDICAL INC COM     CMN            411307101         342      103067 SH       SOLE       2            103067         0      0
STK USD0.0001
HANSEN NATURAL CORP COM    CMN            411310105          34         391 SH       DEFINED    1                 0       391      0
USD0.005
HANSEN NATURAL CORP COM    CMN            411310105         254        2912 SH       DEFINED    2                 0      2912      0
USD0.005
HANWHA SOLARONE CO LTD     CMN            41135V103          36       14782 SH       SOLE       2             14782         0      0
ADR EACH REPR 5 ORD SHS






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
HARBIN ELECTRIC INC COM    CMN            41145W109         295       14300 SH       DEFINED    1                 0     14300      0
USD0.00001
HARBIN ELECTRIC INC COM    CMN            41145W109           1          30 SH       DEFINED    2                 0        30      0
USD0.00001
HARLEY-DAVIDSON INC COM    CMN            412822108         454       13221 SH       SOLE       2             13221         0      0
USD0.01
HARMONY GOLD MINING CO     CMN            413216300         746       63570 SH       SOLE       2             63570         0      0
LTD ZAR0.50
HARRIS CORP COM STK USD1   CMN            413875105          24         700 SH       DEFINED    1                 0       700      0
HARRIS CORP COM STK USD1   CMN            413875105         180        5265 SH       DEFINED    2                 0      5265      0
HARTFORD FINANCIAL         CMN            416515104         711       44081 SH       SOLE       2             44081         0      0
SERVICES GROUP INC COM
USD0.01
HASBRO INC COM USD0.50     CMN            418056107         471       14456 SH       SOLE       2             14456         0      0
HCA HOLDINGS INC COM NPV   CMN            40412C101         408       20236 SH       SOLE       2             20236         0      0
HCP INC COM USD1           CMN            40414L109         305        8701 SH       SOLE       2              8701         0      0
HDFC BANK LTD INR2         CMN            40415F101        4241      145500 SH       SOLE       2            145500         0      0
HEADWATERS INC COM         CMN            42210P102          30       20800 SH       SOLE       2             20800         0      0
USD0.001
HEALTH CARE REIT INC 6.5%  CNV            42217K601        6566      144902 SH       SOLE       1            144902         0      0
CNV PREF 31/12/2049
HEALTH CARE REIT INC USD1  CNV            42217KAP1       16535   159222.81 SH       SOLE       1         159222.81         0      0
HEALTH CARE REIT INC USD1  CNV            42217KAR7        2082    19761.53 SH       SOLE       1          19761.53         0      0
HEALTH CARE REIT INC USD1  CMN            42217K106         211        4508 SH       SOLE       2              4508         0      0
HECLA MINING CO COM        CMN            422704106         513       95636 SH       SOLE       2             95636         0      0
USD0.25
HEINZ (HJ) COM USD0.25     CMN            423074103        1226       24289 SH       SOLE       2             24289         0      0
HELIX ENERGY SOLUTIONS     CNV            127914AB5        1214    12323.51 SH       SOLE       1          12323.51         0      0
GROUP INC COM NPV
HELM CAP GROUP INC  COM    CMN            423418102           0        2091 SH       SOLE       1              2091         0      0
HERBALIFE LTD COM USD0.002 CMN            G4412G101        5228       97529 SH       SOLE       2             97529         0      0
HERCULES TECHNOLOGY        CNV            427096AA0       14037   168208.57 SH       SOLE       1         168208.57         0      0
GROWTH CAP INC COM
USD0.001
HERTZ GLOBAL HOLDINGS INC  CNV            42805TAA3       16260   126093.51 SH       SOLE       1         126093.51         0      0
COM STK USD0.01
HESS CORP COM USD1         CMN            42809H107        2081       39676 SH       DEFINED    2                 0     39676      0
HESS CORP COM USD1         CMN            42809H107         306        5841 SH       DEFINED    2                 0      5841      0
HEWLETT-PACKARD CO COM     CMN            428236103        7020      312700 SH       DEFINED    2                 0    312700      0
USD0.01
HEWLETT-PACKARD CO COM     CMN            428236103        3653      162725 SH       DEFINED    2                 0    162725      0
USD0.01
HICKS ACQUISITION CO II    CMN            429090103           0      400000 SH       SOLE       NPAL         400000         0      0
INC COM NPV
HOLIDAY RV SUPERSTORES     CMN            434902201           0      200000 SH       SOLE       1            200000         0      0
INC USD0.01
HOLLYFRONTIER CORP COM     CMN            436106108         256        9778 SH       SOLE       2              9778         0      0
USD0.01
HOLOGIC INC COM USD0.01    CNV            436440AA9        5035    53506.28 SH       SOLE       1          53506.28         0      0
HOLOGIC INC COM USD0.01    CNV            436440AB7         255     2475.03 SH       SOLE       1           2475.03         0      0
HOME DEPOT INC COM USD0.05 CMN            437076102        1179       35854 SH       SOLE       2             35854         0      0
HOME PROPERTIES INC COM    CNV            43730EAA4        1748    17481.08 SH       SOLE       1          17481.08         0      0
USD0.01
HOME SOLUTIONS AMER INC    CMN            437355100           0         300 SH       SOLE       1               300         0      0
COM
HONEYWELL INTERNATIONAL    CMN            438516106        4329       98599 SH       SOLE       2             98599         0      0
INC COM USD1
HORMEL FOODS CORP          CMN            440452100          33        1207 SH       DEFINED    1                 0      1207      0
USD0.0293
HORMEL FOODS CORP          CMN            440452100         207        7670 SH       DEFINED    2                 0      7670      0
USD0.0293






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
HOST HOTELS & RESORTS INC  CNV            44107TAG1        7335    71010.11 SH       SOLE       1          71010.11         0      0
COM STK USD0.01
HOST HOTELS & RESORTS INC  CMN            44107P104         167       15253 SH       SOLE       2             15253         0      0
COM STK USD0.01
HSBC HOLDINGS PLC ORD      CMN            404280406        2180       57305 SH       SOLE       2             57305         0      0
USD0.50(UK REG)
HUGHES ELECTRONICS         CMN            25490A101        2252       53276 SH       DEFINED    2                 0     53276      0
CORP/OLD COM USD0.01
HUGHES ELECTRONICS         CMN            25490A101        1152       27246 SH       DEFINED    2                 0     27246      0
CORP/OLD COM USD0.01
HUMAN GENOME SCIENCES INC  CMN            444903108         309       24355 SH       SOLE       2             24355         0      0
COM USD0.01
HUMANA INC COM USD0.166    CMN            444859102         914       12569 SH       SOLE       2             12569         0      0
HYUNDAI MOTOR CO KRW5000   CMN            449187509           0         0.5 SH       SOLE       2               0.5         0      0
IAMGOLD CORP COM NPV       CMN            450913108         588       29709 SH       SOLE       2             29709         0      0
IBIZ TECHNOLOGY CORP COM   CMN            45103B205           0          25 SH       SOLE       1                25         0      0
NEW
ICICI BANK LTD INR10       CMN            45104G104         366       10550 SH       DEFINED    2                 0     10550      0
ICICI BANK LTD INR10       CMN            45104G104        3822      110080 SH       DEFINED    2                 0    110080      0
ICONIX BRAND GROUP INC     CMN            451055107         649       41073 SH       DEFINED    1                 0     41073      0
COM USD0.001
ICONIX BRAND GROUP INC     CMN            451055107          13         794 SH       DEFINED    2                 0       794      0
COM USD0.001
IDEARC INC COM             CMN            451663108           0         820 SH       SOLE       1               820         0      0
IEMI USD0.001              CMN            44950Q100           0       17500 SH       SOLE       1             17500         0      0
IEXALT INC USD0.001        CMN            451691208           0           3 SH       SOLE       1                 3         0      0
ILLINOIS TOOL WORKS INC    CMN            452308109        1410       33903 SH       DEFINED    2                 0     33903      0
COM NPV
ILLINOIS TOOL WORKS INC    CMN            452308109         888       21353 SH       DEFINED    2                 0     21353      0
COM NPV
IMAX CORP COM NPV          CMN            45245E109         330       22795 SH       SOLE       2             22795         0      0
INCYTE CORP COM USD0.001   CNV            45337CAJ1       50470   284738.04 SH       SOLE       1         284738.04         0      0
INDEXIQ ETF TR IQ JAPAN    CMN            45409B651         460       23010 SH       SOLE       1             23010         0      0
MIDCP
INDUSTRIAL SELECT SECT     CMN            81369Y704        4228      144700 SH       SOLE       2            144700         0      0
SPDR AMEX INDUSTRIAL
SELECT
INFORMATION HWY COM INC    CMN            456723105           0         200 SH       SOLE       1               200         0      0
COM
INFORMATION SYSTEMS        CMN            45676R108           2       30000 SH       SOLE       2             30000         0      0
ASSOCIATES INC COM NPV
INFOSYS LTD INR5           CMN            456788108        5512      107923 SH       SOLE       2            107923         0      0
ING GROEP NV CVA EUR0.24   CMN            456837103         120       17035 SH       SOLE       2             17035         0      0
INGRAM MICRO INC           CMN            457153104         222       13760 SH       SOLE       2             13760         0      0
CLASS'A'COM STK USD0.01
INLAND REAL ESTATE CORP    CNV            457461AA9       12047    120708.8 SH       SOLE       1          120708.8         0      0
NEW COM STK USD0.01
INNOVACOM INC COM NPV      CMN            45765K105           0        5000 SH       SOLE       1              5000         0      0
INTEGRA LIFESCI HL COM     CNV            457985AH2        3877    39361.16 SH       SOLE       1          39361.16         0      0
STK USD0.01
INTEGRATED HEALTH SVCS     CMN            45812C106           0          19 SH       SOLE       1                19         0      0
INC COM
INTEL CORP COM USD0.001    CMN            458140100         606       28399 SH       DEFINED    2                 0     28399      0
INTEL CORP COM USD0.001    CMN            458140100        2747      128759 SH       DEFINED    2                 0    128759      0
INTERCLICK INC USD0.001    CMN            458483203         389       70100 SH       SOLE       2             70100         0      0
INTERCONTINENTAL HOTELS    CMN            45857P301         161       10000 SH       SOLE       2             10000         0      0
GROUP PLC ORD GBP0.13617
INTERDIGITAL INC COM STK   CNV            458660AA5         592     5550.73 SH       SOLE       1           5550.73         0      0
USD0.01
INTERDIGITAL INC COM STK   CMN            45867G101         330        7079 SH       SOLE       2              7079         0      0
USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
INTERGRATED COMM NETWORKS  CMN            458111101           0           8 SH       SOLE       1                 8         0      0
INC COM
INTERIORS INC CL A         CMN            458688108           0         600 SH       SOLE       1               600         0      0
INTERNATIONAL BUSINESS     CMN            459200101        6452       36896 SH       SOLE       2             36896         0      0
MACHINES CORP COM USD0.20
INTERNATIONAL GAME         CMN            459902102          10         700 SH       DEFINED    1                 0       700      0
TECHNOLOGY USD0.00062
INTERNATIONAL GAME         CMN            459902102        6826      469814 SH       DEFINED    2                 0    469814      0
TECHNOLOGY USD0.00062
INTERNATIONAL GAME         CMN            459902102         166       11437 SH       DEFINED    2                 0     11437      0
TECHNOLOGY USD0.00062
INTERNATIONAL PAPER CO     CMN            460146103         226        9741 SH       SOLE       2              9741         0      0
COM USD1
INTERPUBLIC GROUP OF COS   CMN            460690100         530       73595 SH       DEFINED    1                 0     73595      0
INC COM USD0.10
INTERPUBLIC GROUP OF COS   CNV            460690BA7       30438   302113.82 SH       SOLE       1         302113.82         0      0
INC COM USD0.10
INTERPUBLIC GROUP OF COS   CMN            460690100          58        8069 SH       DEFINED    2                 0      8069      0
INC COM USD0.10
INTREPID POTASH INC        CMN            46121Y102         388       15603 SH       SOLE       2             15603         0      0
COMMON STOCK USD(NPV)
INTUIT INC COM USD0.01     CMN            461202103          37         776 SH       DEFINED    1                 0       776      0
INTUIT INC COM USD0.01     CMN            461202103         759       16003 SH       DEFINED    2                 0     16003      0
INVESCO LTD COM STK        CMN            G491BT108         258       16611 SH       SOLE       2             16611         0      0
USD0.20
INVESCO MORTGAGE CAPITAL   CMN            46131B100        1476      104468 SH       SOLE       2            104468         0      0
INC USD0.01
IPATH INVERSE S&P 500 VIX  CMN            06740L592         595       20000 SH       SOLE       2             20000         0      0
SHOR ETP NPV
IPATH S&P 500 VIX          CMN            06740C261        7196      134836 SH       DEFINED    1                 0    134836      0
SHORT-TERM FUTURES ETN
ETP NPV
IPATH S&P 500 VIX          CMN            06740C261       32030      600150 SH       DEFINED    2                 0    600150      0
SHORT-TERM FUTURES ETN
IPATH S&P 500 VIX S/T FU
ETN
IPATH S&P 500 VIX          CMN            06740C261        1805       33820 SH       DEFINED    2                 0     33820      0
SHORT-TERM FUTURES ETN
IPATH S&P 500 VIX S/T FU
ETN
IPG PHOTONICS CORP COM     CMN            44980X109          25         575 SH       DEFINED    1                 0       575      0
USD0.0001
IPG PHOTONICS CORP COM     CMN            44980X109         301        6927 SH       DEFINED    2                 0      6927      0
USD0.0001
ISHARES INC MSCI JAPAN     CMN            464286848          21        2245 SH       DEFINED    1                 0      2245      0
MSCI JAPAN INDEX FUND
ISHARES INC MSCI JAPAN     CMN            464286848          84        8911 SH       DEFINED    2                 0      8911      0
MSCI JAPAN INDEX FUND
ISHARES INC MSCI SOUTH     CMN            464286772        4066       87302 SH       DEFINED    1                 0     87302      0
KOREA INDEX FUND
ISHARES INC MSCI SOUTH     CMN            464286772        5123      110000 SH       DEFINED    2                 0    110000      0
KOREA INDEX FUND
ISHARES MSCI BRAZIL MSCI   CMN            464286400       23615      454042 SH       DEFINED    1                 0    454042      0
BRAZIL INDEX FUND
ISHARES MSCI BRAZIL MSCI   CMN            464286400       53019     1019407 SH       DEFINED    2                 0   1019407      0
BRAZIL INDEX FUND
ISHARES MSCI BRAZIL MSCI   CMN            464286400        1337       25709 SH       DEFINED    2                 0     25709      0
BRAZIL INDEX FUND
ISHARES MSCI EAFE INDEX    CMN            464287465         588       12300 SH       DEFINED    1                 0     12300      0
FUND MSCI EAFE INDEX FUND






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
ISHARES MSCI EAFE INDEX    CMN            464287465        1581       33098 SH       DEFINED    2                 0     33098      0
FUND MSCI EAFE INDEX FUND
ISHARES RUSSELL 2000       CMN            464287655       31281      486484 SH       DEFINED    1                 0    486484      0
RUSSELL 2000 INDEX FUND
ISHARES RUSSELL 2000       CMN            464287655        1522       23678 SH       DEFINED    2                 0     23678      0
RUSSELL 2000 INDEX FUND
ISHARES RUSSELL 2000       CMN            464287655         772       12000 SH       DEFINED    2                 0     12000      0
RUSSELL 2000 INDEX FUND
ISHARES SILVER TST ISHARES CMN            46428Q109         328       11332 SH       SOLE       1             11332         0      0
ISHARES TR RUSL 2000 GROW  CMN            464287648         687        9350 SH       SOLE       1              9350         0      0
ISHARES TRUST GOLDMAN      CMN            464287242         932        8300 SH       SOLE       2              8300         0      0
SACHS CRP BD FD
ISHARES TRUST LEHMAN 20    CMN            464287432        1661       13750 SH       SOLE       2             13750         0      0
PLUS YR TREASURY
ISHARES TRUST MSCI         CMN            464287234       77416     2205905 SH       DEFINED    1                 0   2205905      0
EMERGING MARKETS INDEX
ISHARES TRUST MSCI         CMN            464287234       45674     1301450 SH       DEFINED    2                 0   1301450      0
EMERGING MARKETS INDEX
ISHARES TRUST MSCI         CMN            464287234       37200     1059969 SH       DEFINED    2                 0   1059969      0
EMERGING MARKETS INDEX
ISTAR FINANCIAL INC        CMN            45031U101          81       13900 SH       DEFINED    1                 0     13900      0
CLASS'A'SBI USD0.001
ISTAR FINANCIAL INC        CMN            45031U101           1         229 SH       DEFINED    2                 0       229      0
CLASS'A'SBI USD0.001
ITAU UNIBANCO HOLDING SA   CMN            465562106        2460      158535 SH       DEFINED    2                 0    158535      0
PRF NPV
ITAU UNIBANCO HOLDING SA   CMN            465562106         269       17312 SH       DEFINED    2                 0     17312      0
PRF NPV
ITT CORP COM USD1          CMN            450911102        1210       28800 SH       DEFINED    1                 0     28800      0
ITT CORP COM USD1          CMN            450911102         351        8368 SH       DEFINED    2                 0      8368      0
IVANHOE MINES LTD/CA COM   CMN            46579N103        1621      118319 SH       SOLE       2            118319         0      0
NPV
IXIA COM NPV               CNV            45071RAA7         895    10293.36 SH       SOLE       1          10293.36         0      0
JAB INTL INC COM           CMN            466078102           0         381 SH       SOLE       1               381         0      0
JABIL CIRCUIT INC COM      CMN            466313103         297       16719 SH       SOLE       2             16719         0      0
USD0.001
JACOBS ENGINEERING GROUP   CMN            469814107         378       11692 SH       SOLE       2             11692         0      0
INC COM USD1
JANUS CAPITAL GROUP INC    CMN            47102X105         682      113735 SH       SOLE       2            113735         0      0
COM USD0.01
JAZZ PHARMACEUTICALS INC   CMN            472147107         238        5730 SH       SOLE       2              5730         0      0
COM STK USD0.0001
JC PENNEY CO INC COM       CMN            708160106         469       17507 SH       SOLE       2             17507         0      0
USD0.50
JDS UNIPHASE CORP COM STK  CMN            46612J507         683       68491 SH       SOLE       2             68491         0      0
USD0.001
JOHNSON & JOHNSON COM USD1 CMN            478160104        6148       96523 SH       SOLE       2             96523         0      0
JOHNSON CONTROLS INC COM   CMN            478366107         893       33873 SH       SOLE       2             33873         0      0
STK USD0.01388
JP MORGAN CHASE BANK NA    CMN            46625H100         928       30799 SH       DEFINED    1                 0     30799      0
COM USD1
JPMORGAN CHASE & CO COM    CMN            46625H100        3977      132035 SH       DEFINED    2                 0    132035      0
USD1
JPMORGAN CHASE & CO COM    CMN            46625H100        4787      158935 SH       DEFINED    2                 0    158935      0
USD1
JPMORGAN CHASE & CO COM    CMN            46625H100           0          10 SH       DEFINED    3                 0        10      0
USD1
JUNIPER NETWORKS INC COM   CMN            48203R104         440       25508 SH       SOLE       2             25508         0      0
USD0.00001
KAISER ALUMINUM CORP COM   CMN            483007704        3699       83544 SH       DEFINED    2                 0     83544      0
USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
KAISER ALUMINUM CORP COM   CMN            483007704          22         500 SH       DEFINED    2                 0       500      0
USD0.01
KANDI TECHNOLGIES CORP     CMN            483709101          25       11600 SH       SOLE       2             11600         0      0
COM STK USD0.001
KB HOME COM STK USD1       CMN            48666K109         110       18711 SH       SOLE       2             18711         0      0
KELLOGG CO COM USD0.25     CMN            487836108         202        3805 SH       SOLE       2              3805         0      0
KERYX BIOPHARMACEUTICALS   CMN            492515101          53       17700 SH       SOLE       2             17700         0      0
INC COM USD0.001
KEYCORP COM USD1           CMN            493267108          89       15004 SH       SOLE       2             15004         0      0
KILROY REALTY CORP COM     CNV            49427RAA0        1131    11363.59 SH       SOLE       1          11363.59         0      0
STK USD0.01
KILROY REALTY CORP COM     CNV            49427RAC6        5079    47423.56 SH       SOLE       1          47423.56         0      0
STK USD0.01
KIMBERLY-CLARK CORP COM    CMN            494368103        1164       16394 SH       SOLE       2             16394         0      0
USD1.25
KIMCO REALTY CORP COM      CMN            49446R109         197       13104 SH       SOLE       2             13104         0      0
USD0.01
KINETIC CONCEPTS INC COM   CNV            49460WAF6        1517     10809.4 SH       SOLE       1           10809.4         0      0
USD0.001
KINETIC CONCEPTS INC COM   CMN            49460W208        4323       65602 SH       SOLE       2             65602         0      0
USD0.001
KINROSS GOLD CORP COM NPV  CMN            496902404         751       50799 SH       SOLE       2             50799         0      0
KKR & CO LP LTD PART NPV   CMN            48248M102        1641      157742 SH       DEFINED    1                 0    157742      0
KKR & CO LP LTD PART NPV   CMN            48248M102          79        7598 SH       DEFINED    2                 0      7598      0
KLA-TENCOR CORP COM        CMN            482480100        1266       33083 SH       SOLE       2             33083         0      0
USD0.001
KNIGHT CAPITAL GROUP INC   CMN            499005106        7405      609001 SH       DEFINED    2                 0    609001      0
CLASS 'A'COM USD0.01
KNIGHT CAPITAL GROUP INC   CMN            499005106           9         700 SH       DEFINED    2                 0       700      0
CLASS 'A'COM USD0.01
KOHLBERG CAP CORP COM STK  CNV            500233AA9       11509   126822.33 SH       SOLE       1         126822.33         0      0
USD0.01
KOHL'S CORP COM USD0.01    CMN            500255104          69        1400 SH       DEFINED    1                 0      1400      0
KOHL'S CORP COM USD0.01    CMN            500255104         922       18774 SH       DEFINED    2                 0     18774      0
KRAFT FOODS INC COM STK    CMN            50075N104        1844       54903 SH       SOLE       2             54903         0      0
NPV CLS'A'
KROGER CO/THE COM USD1     CMN            501044101         716       32626 SH       SOLE       2             32626         0      0
KU6 MEDIA CO LTD COM NPV   CMN            48274B103          79       42000 SH       SOLE       2             42000         0      0
L 3 COMMUNICATIONS         CNV            502413AW7        3598    38031.63 SH       SOLE       1          38031.63         0      0
HOLDING COM USD0.01
LABOPHARM INC COM NPV      CMN            504905100          53      200000 SH       SOLE       2            200000         0      0
LAFAYETTE INDUSTRIES INC   CMN            506377100           0         750 SH       SOLE       1               750         0      0
COM
LAM RESEARCH CORP COM      CMN            512807108         106        2797 SH       DEFINED    1                 0      2797      0
USD0.001
LAM RESEARCH CORP COM      CMN            512807108         969       25501 SH       DEFINED    2                 0     25501      0
USD0.001
LAS VEGAS SANDS CORP COM   CMN            517834107         388       10126 SH       DEFINED    2                 0     10126      0
USD0.001
LAS VEGAS SANDS CORP COM   CMN            517834107        6829      178105 SH       DEFINED    2                 0    178105      0
USD0.001
LASERSIGHT INC COM  NEW    CMN            517924304           0        1491 SH       SOLE       1              1491         0      0
LAZARD LTD COM CLASS 'A'   CMN            G54050102         342       16231 SH       SOLE       2             16231         0      0
USD0.01
LDK SOLAR CO LTD ADR EACH  CMN            50183L107         115       36762 SH       SOLE       2             36762         0      0
REPR 1 ORD USD0.10
LEAR CORP                  CMN            521865204       386.1        9000 SH       SOLE       4              9000         0      0
LEGG MASON INC COM USD0.10 CMN            524901105         204        7929 SH       SOLE       2              7929         0      0
LEHMAN BROTHERS HOLDINGS   CMN            524908100           1       34804 SH       SOLE       2             34804         0      0
INC USD0.1






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
LENDER PROCESSING          CMN            52602E102          26        1890 SH       DEFINED    1                 0      1890      0
SERVICES INC NON-VTG NPV
LENDER PROCESSING          CMN            52602E102         129        9437 SH       DEFINED    2                 0      9437      0
SERVICES INC NON-VTG NPV
LENNAR CORP COM            CMN            526057104         271       19999 SH       SOLE       2             19999         0      0
CL'A'USD0.10
LEVEL 3 COMMUNICATIONS     CMN            52729N100          12        8300 SH       DEFINED    1                 0      8300      0
INC COM USD0.01
LEVEL 3 COMMUNICATIONS     CNV            52729NBK5       74732   766483.51 SH       SOLE       1         766483.51         0      0
INC COM USD0.01
LEVEL 3 COMMUNICATIONS     CNV            52729NBQ2       33929   283333.33 SH       SOLE       1         283333.33         0      0
INC COM USD0.01
LEVEL 3 COMMUNICATIONS     CMN            52729N100          24       16000 SH       DEFINED    2                 0     16000      0
INC COM USD0.01
LEXINGTON REALTY TRUST     CNV            529289AA8        7696    76962.54 SH       SOLE       1          76962.54         0      0
COM USD0.0001
LEXMARK INTERNATIONAL INC  CMN            529771107         269        9944 SH       SOLE       2              9944         0      0
'A'COM USD0.01
LIBERTY INTERACTIVE CORP   CMN            53071M104        4635      314000 SH       DEFINED    1                 0    314000      0
COM STK INTERCT SER A
LIBERTY INTERACTIVE CORP   CMN            53071M104         243       16435 SH       DEFINED    2                 0     16435      0
COM STK INTERCT SER A
LIBERTY MEDIA CORP -       CMN            530322106        2435       36824 SH       DEFINED    1                 0     36824      0
LIBERTY C COM STK CAP SER
A
LIBERTY MEDIA CORP -       CMN            530322106          17         252 SH       DEFINED    2                 0       252      0
LIBERTY C COM STK CAP SER
A
LIBERTY MEDIA CORP -       CMN            530322304        2332       36682 SH       SOLE       1             36682         0      0
LIBERTY S NON-VTG NPV
LIFEPOINT HOSPITALS INC    CMN            53219L109         256        6991 SH       DEFINED    1                 0      6991      0
COM USD0.01
LIFEPOINT HOSPITALS INC    CMN            53219L109         108        2938 SH       DEFINED    2                 0      2938      0
COM USD0.01
LIGHTNING ROD SOFTWARE     CMN            532244100           0          20 SH       SOLE       1                20         0      0
INC COM
LIMELIGHT NETWORKS INC     CMN            53261M104          76       32000 SH       SOLE       2             32000         0      0
COM STK USD0.001
LINEAR TECHNOLOGY CORP     CNV            535678AC0        5550    54844.27 SH       SOLE       1          54844.27         0      0
COM USD0.001
LINEAR TECHNOLOGY CORP     CMN            535678106         267        9670 SH       SOLE       2              9670         0      0
COM USD0.001
LIVE NATION ENTERTAINMENT  CNV            538034AB5        7446    85099.17 SH       SOLE       1          85099.17         0      0
INC COM STK USD0.01
LIVE NATION ENTERTAINMENT  CMN            538034109          92       11526 SH       SOLE       2             11526         0      0
INC COM STK USD0.01
LIZ CLAIBORNE INC COM USD1 CNV            539320AA9       22022   139821.02 SH       SOLE       1         139821.02         0      0
LLOYDS BANKING GROUP PLC   CMN            539439109        1224      585452 SH       SOLE       2            585452         0      0
GBP0.1
LOCKHEED MARTIN CORP COM   CMN            539830109         340        4679 SH       SOLE       2              4679         0      0
USD1
LOEWS CORP COM USD1        CMN            540424108         538       15582 SH       SOLE       2             15582         0      0
LONE PINE RESOURCES INC    CMN            54222A106         286       43400 SH       SOLE       1             43400         0      0
COM NPV
LOOPNET INC COM STK        CMN            543524300        4748      277170 SH       DEFINED    1                 0    277170      0
USD0.001
LOOPNET INC COM STK        CMN            543524300          30        1748 SH       DEFINED    2                 0      1748      0
USD0.001
LORILLARD INC USD0.01      CMN            544147101          33         299 SH       DEFINED    1                 0       299      0
LORILLARD INC USD0.01      CMN            544147101         737        6661 SH       DEFINED    2                 0      6661      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
LOWE'S COS INC COM USD0.50 CMN            548661107         868       44878 SH       SOLE       2             44878         0      0
LSI CORP COM STK USD0.01   CMN            502161102         181       34862 SH       SOLE       2             34862         0      0
LTD BRANDS INC COM USD0.50 CMN            532716107        2921       75858 SH       SOLE       2             75858         0      0
LUBRIZOL CORP COM NPV      CMN            549271104           0           7 SH       SOLE       2                 7         0      0
LYONDELLBASELL INDUSTRIES  CMN            N53745100        2949      120720 SH       DEFINED    2                 0    120720      0
AF SCA NPV
LYONDELLBASELL INDUSTRIES  CMN            N53745100         143        5870 SH       DEFINED    2                 0      5870      0
AF SCA NPV
LYONDELLBASELL INDUSTRIES  CMN            N53745100  4037.35066      165262 SH       SOLE       4            107583         0  57679
N
LYRIC INTL INC COM  NEW    CMN            552350209           0           5 SH       SOLE       1                 5         0      0
M&F WORLDWIDE CORP COM     CMN            552541104         985       40000 SH       DEFINED    1                 0     40000      0
USD0.01
M&F WORLDWIDE CORP COM     CMN            552541104           3         115 SH       DEFINED    2                 0       115      0
USD0.01
MACY'S INC COM STK USD0.01 CMN            55616P104         968       36784 SH       SOLE       2             36784         0      0
MAGELLAN ENERGY LTD USD0.1 CMN            559071204           0           1 SH       SOLE       1                 1         0      0
MAGMA DESIGN AUTOMATION    CMN            559181102          60       13104 SH       SOLE       2             13104         0      0
INC COM USD0.0001
MAGNACHIP SEMICONDUCTOR    CMN            55933J203    32.67264        4862 SH       SOLE       4              3432         0   1430
CORP
MANITOWOC CO INC/THE COM   CMN            563571108         109       16233 SH       SOLE       2             16233         0      0
STK USD0.01
MANNKIND CORP COM USD0.01  CMN            56400P201         237       62600 SH       SOLE       2             62600         0      0
MANULIFE FINANCIAL CORP    CMN            56501R106         137       12101 SH       SOLE       2             12101         0      0
COM NPV
MARATHON OIL CORP COM USD1 CMN            565849106        1619       75000 SH       DEFINED    1                 0     75000      0
MARATHON OIL CORP COM USD1 CMN            565849106         710       32916 SH       DEFINED    2                 0     32916      0
MARC PHARMACEUTICALS INC   CMN            566137105           0     3735000 SH       SOLE       1           3735000         0      0
COM
MARCHFIRST INC COM         CMN            566244109           0         600 SH       SOLE       1               600         0      0
MAREX INC COM NEW          CMN            566536306           0         520 SH       SOLE       1               520         0      0
MARINA BIOTECH INC         CMN            56804Q102           9       64000 SH       SOLE       2             64000         0      0
USD0.006
MARKET VECTORS - GOLD      CMN            57060U100       12808      232079 SH       DEFINED    1                 0    232079      0
MINERS ETF GOLD MINES
MARKET VECTORS - GOLD      CMN            57060U100        5519      100000 SH       DEFINED    2                 0    100000      0
MINERS ETF GOLD MINES
MARKET VECTORS - GOLD      CMN            57060U100         221        4000 SH       DEFINED    2                 0      4000      0
MINERS ETF GOLD MINES
MARKET VECTORS ETF SBI     CMN            57060U506         302       11921 SH       DEFINED    2                 0     11921      0
USD0.001 RUSSIA ETF TRU
MARKET VECTORS ETF SBI     CMN            57060U506         450       17800 SH       DEFINED    2                 0     17800      0
USD0.001 RUSSIA ETF TRU
MARRIOTT INTL INC/DE COM   CMN            571903202         726       26651 SH       SOLE       2             26651         0      0
USD0.01 CLASS 'A'
MARVELL TECHNOLOGY GROUP   CMN            G5876H105         734       50541 SH       SOLE       2             50541         0      0
LTD COM USD0.002
MASTEC INC COM USD0.10     CNV            576323AM1       37037   279206.51 SH       SOLE       1         279206.51         0      0
MASTERCARD INC COM         CMN            57636Q104          32         101 SH       DEFINED    1                 0       101      0
USD0.0001 CLASS 'A'
MASTERCARD INC COM         CMN            57636Q104         959        3023 SH       DEFINED    2                 0      3023      0
USD0.0001 CLASS 'A'
MASTERCARD INC COM         CMN            57636Q104         786        2479 SH       DEFINED    2                 0      2479      0
USD0.0001 CLASS 'A'
MATERIALS SELECT SECTOR    CMN            81369Y100        1144       38961 SH       SOLE       1             38961         0      0
SPDR SBI MATERIALS NPV
MATTEL INC COM USD1        CMN            577081102          35        1341 SH       DEFINED    1                 0      1341      0
MATTEL INC COM USD1        CMN            577081102         302       11647 SH       DEFINED    2                 0     11647      0
MAXIM INTEGRATED PRODUCTS  CMN            57772K101         392       16786 SH       SOLE       2             16786         0      0
INC COM USD0.001






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
MBIA INC COM USD1          CMN            55262C100         386       53037 SH       DEFINED    1                 0     53037      0
MBIA INC COM USD1          CMN            55262C100          24        3281 SH       DEFINED    2                 0      3281      0
MCDERMOTT INTERNATIONAL    CMN            580037109         818       76022 SH       SOLE       2             76022         0      0
INC COM STK USD1
MCDONALD'S CORP COM        CMN            580135101        8544       97292 SH       SOLE       2             97292         0      0
USD0.01
MCGRAW-HILL COS INC/THE    CMN            580645109          32         792 SH       DEFINED    1                 0       792      0
COM USD1
MCGRAW-HILL COS INC/THE    CMN            580645109         468       11408 SH       DEFINED    2                 0     11408      0
COM USD1
MCKESSON CORP COM USD0.01  CMN            58155Q103         764       10503 SH       SOLE       2             10503         0      0
MEAD JOHNSON NUTRITION CO  CMN            582839106         108        1568 SH       DEFINED    1                 0      1568      0
COM USD0.01
MEAD JOHNSON NUTRITION CO  CMN            582839106         507        7360 SH       DEFINED    2                 0      7360      0
COM USD0.01
MECHEL OAO                 CMN            583840103        4747      465835 SH       SOLE       2            465835         0      0
MED/WASTE INC COM          CMN            583921101           0        2000 SH       SOLE       1              2000         0      0
MEDCO HEALTH SOLUTIONS     CMN            58405U102        3567       76072 SH       DEFINED    1                 0     76072      0
INC COM USD0.01
MEDCO HEALTH SOLUTIONS     CMN            58405U102       11332      241662 SH       DEFINED    2                 0    241662      0
INC COM USD0.01
MEDIVATION INC COM USD0.01 CMN            58501N101        3091      182030 SH       SOLE       2            182030         0      0
MEDTRAK ELECTRONICS INC    CMN            58505A105           0         100 SH       SOLE       1               100         0      0
COM
MEDTRONIC INC COM USD0.10  CMN            585055106        1952       58733 SH       DEFINED    2                 0     58733      0
MEDTRONIC INC COM USD0.10  CMN            585055106         452       13588 SH       DEFINED    2                 0     13588      0
MEGALITH CORP COM          CMN            58515K101           0          50 SH       SOLE       1                50         0      0
MELCO PBL ENTERTAI ADR     CMN            585464100         141       16934 SH       SOLE       2             16934         0      0
REPR 3 ORD SHS USD0.01
MEMC ELECTRONIC MATERIALS  CMN            552715104          76       14536 SH       SOLE       2             14536         0      0
COM USD0.01
MENTOR GRAPHICS CORP COM   CNV            587200AJ5        8325    91528.72 SH       SOLE       1          91528.72         0      0
NPV
MERCK & CO INC             CMN            58933Y105         162        4953 SH       DEFINED    1                 0      4953      0
MERCK & CO INC COM USD0.01 CMN            58933Y105        2187       66884 SH       DEFINED    2                 0     66884      0
MERCK & CO INC COM USD0.01 CMN            58933Y105        1145       35026 SH       DEFINED    2                 0     35026      0
METASOURCE GROUP INC COM   CMN            59139R209           0        3740 SH       SOLE       1              3740         0      0
NEW
METAWAVE COMMUNICATIONS    CMN            591409107           0       37500 SH       SOLE       1             37500         0      0
CP
METLIFE INC COM USD0.01    CMN            59156R108        2924      104385 SH       DEFINED    1                 0    104385      0
METLIFE INC COM USD0.01    CMN            59156R108         793       28309 SH       DEFINED    2                 0     28309      0
METROPCS COMMUNICATIONS    CMN            591708102         610       70100 SH       DEFINED    1                 0     70100      0
INC COM STK USD0.0001
METROPCS COMMUNICATIONS    CMN            591708102          66        7586 SH       DEFINED    2                 0      7586      0
INC COM STK USD0.0001
MF GLOBAL HOLDINGS LTD     CNV            55277JAA6       17582   224397.29 SH       SOLE       1         224397.29         0      0
COM STK USD1
MGIC INVESTMENT CORP COM   CNV            552848AB9         856    18518.51 SH       SOLE       1          18518.51         0      0
USD1
MGIC INVESTMENT CORP COM   CMN            552848103          22       12000 SH       SOLE       2             12000         0      0
USD1
MGM RESORTS INTERNATIONAL  CNV            55303QAE0        8105    92103.13 SH       SOLE       1          92103.13         0      0
COM STK USD0.01
MGM RESORTS INTERNATIONAL  CMN            552953101          40        4266 SH       DEFINED    2                 0      4266      0
COM STK USD0.01
MGM RESORTS INTERNATIONAL  CMN            552953101        1421      152975 SH       DEFINED    2                 0    152975      0
COM STK USD0.01
MICROCHIP TECHNOLOGY INC   CNV            595017AB0       26549   230764.02 SH       SOLE       1         230764.02         0      0
COM USD0.001






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
MICROCHIP TECHNOLOGY INC   CMN            595017104         439       14124 SH       SOLE       2             14124         0      0
COM USD0.001
MICRON TECHNOLOGY INC COM  CNV            595112AH6        6203    66198.17 SH       SOLE       1          66198.17         0      0
USD0.10
MICRON TECHNOLOGY INC COM  CNV            595112AJ2       21041   169685.03 SH       SOLE       1         169685.03         0      0
USD0.10
MICRON TECHNOLOGY INC COM  CNV            595112AK9         225     2752.29 SH       SOLE       1           2752.29         0      0
USD0.10
MICRON TECHNOLOGY INC COM  CNV            595112AL7       16200   210526.31 SH       SOLE       1         210526.31         0      0
USD0.10
MICRON TECHNOLOGY INC COM  CMN            595112103        1404      278495 SH       SOLE       2            278495         0      0
USD0.10
MICROSOFT CORP COM         CMN            594918104        1962       78820 SH       DEFINED    1                 0     78820      0
USD0.0000125
MICROSOFT CORP COM         CMN            594918104        7117      285924 SH       DEFINED    2                 0    285924      0
USD0.0000125
MICROVISION INC WA COM     CMN            594960106          11       15900 SH       SOLE       2             15900         0      0
STK USD0.01
MINERALS MINING CORP DEL   CMN            603156100           0           6 SH       SOLE       1                 6         0      0
COM
MIRACOR DIAGNOSTICS INC    CMN            60461S104           0          25 SH       SOLE       1                25         0      0
COM
MOBILE TELESYSTEMS OJSC    CMN            607409109       14752     1199366 SH       SOLE       2           1199366         0      0
MOLYCORP INC COM NPV       CMN            608753109         819       24911 SH       SOLE       2             24911         0      0
MONARCH CAP CORP DEL COM   CMN            609023106           0         100 SH       SOLE       1               100         0      0
SYM MONP
MONSANTO CO COM STK        CMN            61166W101         705       11748 SH       DEFINED    2                 0     11748      0
USD0.01
MONSANTO CO COM STK        CMN            61166W101         920       15331 SH       DEFINED    2                 0     15331      0
USD0.01
MONSTER WORLDWIDE INC COM  CMN            611742107         161       22452 SH       SOLE       2             22452         0      0
USD0.001
MOODY'S CORP COM USD0.01   CMN            615369105          33        1081 SH       DEFINED    1                 0      1081      0
MOODY'S CORP COM USD0.01   CMN            615369105         433       14232 SH       DEFINED    2                 0     14232      0
MORGAN STANLEY COM STK     CMN            617446448        3754      277900 SH       DEFINED    1                 0    277900      0
USD0.01
MORGAN STANLEY COM STK     CMN            617446448         319       23622 SH       DEFINED    2                 0     23622      0
USD0.01
MORGAN STANLEY COM STK     CMN            617446448        2987      221071 SH       DEFINED    2                 0    221071      0
USD0.01
MORGANS HOTEL GROUP CO     CNV            61748WAB4       10747   143294.39 SH       SOLE       1         143294.39         0      0
COM STK NPV
MOSAIC CO/THE COM STK      CMN            61945C103       10773      220000 SH       DEFINED    1                 0    220000      0
USD0.01
MOSAIC CO/THE COM STK      CMN            61945C103        6606      134907 SH       DEFINED    2                 0    134907      0
USD0.01
MOTOROLA MOBILITY          CMN            620097105        9592      253900 SH       DEFINED    1                 0    253900      0
HOLDINGS INC COM NPV
MOTOROLA MOBILITY          CMN            620097105       20036      530325 SH       DEFINED    2                 0    530325      0
HOLDINGS INC COM NPV
MOTOROLA SOLUTIONS INC     CNV            530715AN1       15920   297567.37 SH       SOLE       1         297567.37         0      0
USD0.01
MOTOROLA SOLUTIONS INC     CMN            620076307         563       13433 SH       SOLE       2             13433         0      0
USD0.01
MOVADO GROUP INC COM       CMN            624580106         122       10000 SH       SOLE       2             10000         0      0
USD0.01
MPTV INC COM NEW           CMN            553424409           0        3670 SH       SOLE       1              3670         0      0
MULTI SOLUTIONS INC COM    CMN            625430103           0        1500 SH       SOLE       1              1500         0      0
MURPHY OIL CORP COM USD1   CMN            626717102         231        5232 SH       SOLE       2              5232         0      0
MYLAN INC COM USD0.50      CNV            628530AG2       31601   316170.22 SH       SOLE       1         316170.22         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
MYLAN INC COM USD0.50      CNV            628530AJ6      113011   777777.77 SH       SOLE       1         777777.77         0      0
MYREXIS INC NON-VTG        CMN            62856H107          61       22156 SH       SOLE       2             22156         0      0
USD0.01
MYTURN COM COM             CMN            628690109           0         500 SH       SOLE       1               500         0      0
NABORS INDUSTRIES LTD COM  CMN            G6359F103         129       10505 SH       SOLE       2             10505         0      0
USD0.001
NALCO HLDG CO COM USD0.01  CMN            62985Q101        9748      278664 SH       DEFINED    1                 0    278664      0
NALCO HLDG CO COM USD0.01  CMN            62985Q101       99307     2838970 SH       DEFINED    2                 0   2838970      0
NANOSPHERE INC COM STK     CMN            63009F105         100      100000 SH       DEFINED    1                 0    100000      0
USD0.01
NANOSPHERE INC COM STK     CMN            63009F105           3        2500 SH       DEFINED    2                 0      2500      0
USD0.01
NASDAQ 100 INDEX TRACK     CMN            73935A104        1317       25094 SH       SOLE       2             25094         0      0
STCK UNITS SERIES'1'
NASDAQ OMX GROUP INC/THE   CMN            631103108         303       13075 SH       SOLE       2             13075         0      0
COM USD0.01
NASH FINCH CO COM USD1.66  CNV            631158AD4        4075    92919.07 SH       SOLE       1          92919.07         0      0
2/3
NATIONAL MICRONETICS INC   CMN            636904104           0         114 SH       SOLE       1               114         0      0
COM
NATIONAL BANK OF GREECE    CMN            633643408          52     66276.2 SH       SOLE       2           66276.2         0      0
SA EUR5.00(REGD)
NATIONAL OILWELL VARCO     CMN            637071101         472        9213 SH       SOLE       2              9213         0      0
INC COM USD0.01
NATIONAL RETAIL            CNV            637417AA4       16949    149861.1 SH       SOLE       1          149861.1         0      0
PROPERTIES INC COM
USD0.01
NATIONAL RETAIL            CNV            637417AC0         681     5908.97 SH       SOLE       1           5908.97         0      0
PROPERTIES INC COM
USD0.01
NAVIOS MARITIME HOLDINGS   CMN            Y62196103          85       26895 SH       SOLE       2             26895         0      0
INC USD0.0001
NAVISTAR INTERNATIONAL     CNV            63934EAL2        3885    39065.91 SH       SOLE       1          39065.91         0      0
CORP COM USD0.10
NBI INC COM NEW            CMN            628735201           0          15 SH       SOLE       1                15         0      0
NEENAH PAPER INC           CMN            64007R109    1282.545      256509 SH       SOLE       4            232799         0  23710
NEKTAR THERAPEUTICS COM    CMN            640268108         104       21400 SH       SOLE       2             21400         0      0
USD0.0001
NESS TECHNOLOGIES INC COM  CMN            64104X108        2496      325900 SH       SOLE       1            325900         0      0
USD0.01
NET SERVICOS DE            CMN            64109T201         169       21890 SH       SOLE       2             21890         0      0
COMUNICACAO SA PRF NPV
NETAPP INC COM USD0.001    CMN            64110D104         820       24155 SH       SOLE       2             24155         0      0
NETFLIX INC COM            CMN            64110L106        1783       15742 SH       SOLE       1             15742         0      0
NETLOGIC MICROSYSTEMS INC  CMN            64118B100        1001       20800 SH       DEFINED    1                 0     20800      0
COM USD0.01
NETLOGIC MICROSYSTEMS INC  CMN            64118B100       10330      214676 SH       DEFINED    2                 0    214676      0
COM USD0.01
NETWORK CN INC USD0.001    CMN            64125G100           0       41000 SH       SOLE       2             41000         0      0
NETWORK PLUS CORP   COM    CMN            64122D506           0        1211 SH       SOLE       1              1211         0      0
NEWCARE HEALTH CORP COM    CMN            651053100           0           5 SH       SOLE       1                 5         0      0
NEWELL RUBBERMAID INC COM  CMN            651229106         119       10012 SH       SOLE       2             10012         0      0
USD1
NEWFIELD EXPLORATION CO    CMN            651290108         343        8642 SH       SOLE       2              8642         0      0
COM USD0.01
NEWMONT MINING CORP COM    CMN            651639106        8897      141329 SH       DEFINED    1                 0    141329      0
USD1.60
NEWMONT MINING CORP COM    CNV            651639AJ5       34337   229217.55 SH       SOLE       1         229217.55         0      0
USD1.60
NEWMONT MINING CORP COM    CMN            651639106          41         657 SH       DEFINED    2                 0       657      0
USD1.60






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
NEWMONT MINING CORP COM    CMN            651639106        1244       19754 SH       DEFINED    2                 0     19754      0
USD1.60
NEWPARK RESOURCES COM      CNV            651718AC2        1153    12363.63 SH       SOLE       1          12363.63         0      0
USD0.01
NEWS CORP COM USD0.01      CMN            65248E104        4223      272822 SH       DEFINED    1                 0    272822      0
CLASS'A'
NEWS CORP COM USD0.01      CMN            65248E104         482       31140 SH       DEFINED    2                 0     31140      0
CLASS'A'
NEWS CORP COM USD0.01      CMN            65248E203        1251       80200 SH       DEFINED    1                 0     80200      0
CL'B'
NEWS CORP COM USD0.01      CMN            65248E203          61        3900 SH       DEFINED    2                 0      3900      0
CL'B'
NEXEN INC COM NPV          CMN            65334H102         517       33365 SH       SOLE       2             33365         0      0
NEXTERA ENERGY INC COM     CMN            65339F101         255        4725 SH       SOLE       2              4725         0      0
USD0.01
NII HOLDINGS INC COM STK   CMN            62913F201         341       12645 SH       SOLE       2             12645         0      0
USD0.001
NIKE INC CLASS'B'COM NPV   CMN            654106103         455        5317 SH       SOLE       2              5317         0      0
NISOURCE INC COM NPV       CMN            65473P105         230       10753 SH       SOLE       2             10753         0      0
NOBLE CORP CHF3.54         CMN            H5833N103         884       30129 SH       SOLE       2             30129         0      0
NOBLE ENERGY INC COM       CMN            655044105         372        5260 SH       SOLE       2              5260         0      0
USD3.33 1/3
NOKIA OYJ NPV              CMN            654902204        1585      279992 SH       SOLE       2            279992         0      0
NORFOLK SOUTHERN CORP COM  CMN            655844108         710       11637 SH       SOLE       2             11637         0      0
USD1
NORTHEAST UTILITIES COM    CMN            664397106         378       11225 SH       SOLE       2             11225         0      0
USD5
NORTHROP GRUMMAN CORP COM  CMN            666807102         565       10838 SH       SOLE       2             10838         0      0
USD1
NORTHWESTERN CORP-OLD      CMN            668074107           0        2800 SH       SOLE       1              2800         0      0
NOVARTIS AG CHF0.50(REGD)  CMN            66987V109         522        9354 SH       SOLE       2              9354         0      0
NOVELLUS SYSTEMS INC COM   CNV            670008AC5         506     5948.76 SH       SOLE       1           5948.76         0      0
NPV
NRG ENERGY INC COM USD0.01 CMN            629377508         250       11801 SH       SOLE       2             11801         0      0
NUANCE COMMUNICATIONS INC  CMN            67020Y100         315       15500 SH       DEFINED    1                 0     15500      0
COM USD0.001
NUANCE COMMUNICATIONS INC  CMN            67020Y100         495       24318 SH       DEFINED    2                 0     24318      0
COM USD0.001
NUCOR CORP COM STK USD0.40 CMN            670346105        4305      136059 SH       DEFINED    2                 0    136059      0
NUCOR CORP COM STK USD0.40 CMN            670346105         804       25415 SH       DEFINED    2                 0     25415      0
NUVASIVE INC COM USD0.001  CMN            670704105         346       20304 SH       DEFINED    1                 0     20304      0
NUVASIVE INC COM USD0.001  CMN            670704105        1507       88334 SH       DEFINED    2                 0     88334      0
NUVASIVE INC COM USD0.001  CMN            670704105         133        7789 SH       DEFINED    2                 0      7789      0
NVIDIA CORP COM USD0.001   CMN            67066G104        4104      328093 SH       SOLE       2            328093         0      0
NXP SEMICONDUCTORS NV COM  CMN            N6596X109         190       13423 SH       SOLE       2             13423         0      0
NPV
OCCIDENTAL PETROLEUM CORP  CMN            674599105        2063       28856 SH       DEFINED    2                 0     28856      0
COM USD0.20
OCCIDENTAL PETROLEUM CORP  CMN            674599105        4709       65865 SH       DEFINED    2                 0     65865      0
COM USD0.20
OCLARO INC USD0.01         CMN            67555N206          46       12747 SH       SOLE       2             12747         0      0
OFFICE DEPOT INC COM       CMN            676220106          30       14334 SH       SOLE       2             14334         0      0
USD0.01
OIL SVC HOLDERS TR DEP     CMN            678002106        1556       15090 SH       SOLE       1             15090         0      0
RECEIPT(REP OIL SVC HLD
OMNICARE INC COM USD1      CNV            681904AN8       39144   352650.84 SH       SOLE       1         352650.84         0      0
OMNICOM GROUP INC COM      CMN            681919106         617       16759 SH       SOLE       2             16759         0      0
USD0.15
OMNIVISION TECHNOLOGIES    CMN            682128103         221       15732 SH       SOLE       2             15732         0      0
INC COM USD0.001






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
ON SEMICONDUCTOR CORP COM  CMN            682189105         262       36500 SH       DEFINED    1                 0     36500      0
USD0.01
ON SEMICONDUCTOR CORP COM  CMN            682189105         112       15626 SH       DEFINED    2                 0     15626      0
USD0.01
ONCOR INC COM              CMN            682311105           0       15000 SH       SOLE       1             15000         0      0
ONYX PHARMACEUTICALS INC   CMN            683399109         333       11098 SH       DEFINED    1                 0     11098      0
COM USD0.001
ONYX PHARMACEUTICALS INC   CMN            683399109         266        8872 SH       DEFINED    2                 0      8872      0
COM USD0.001
ORACLE CORP COM USD0.01    CMN            68389X105        1100       38290 SH       DEFINED    2                 0     38290      0
ORACLE CORP COM USD0.01    CMN            68389X105        4465      155360 SH       DEFINED    2                 0    155360      0
O'REILLY AUTOMOTVE COM     CMN            67103H107         290        4347 SH       SOLE       2              4347         0      0
USD0.01
OSCIENT PHARMACEUTICALS    CMN            68812R303           0          29 SH       SOLE       1                29         0      0
CORP COM NEW
OWENS-ILLINOIS INC COM     CNV            69073TAQ6        2115    23888.77 SH       SOLE       1          23888.77         0      0
USD0.01
OWENS-ILLINOIS INC COM     CMN            690768403         184       12182 SH       SOLE       2             12182         0      0
USD0.01
OXYGEN BIOTHERAPEUTICS     CMN            69207P209          21       10120 SH       SOLE       2             10120         0      0
INC USD0.01
PACCAR INC COM STK USD1    CMN            693718108         898       26566 SH       SOLE       2             26566         0      0
PACIFIC BIOSCIENCES OF     CMN            69404D108          40       12591 SH       SOLE       2             12591         0      0
CALIFORNIA INC USD0.0001
PACIFIC GATEWAY EX COM     CMN            694327107           0         170 SH       SOLE       1               170         0      0
STK USD0.0001
PACIFIC SUNWEAR OF CALIF   CMN            694873100         120      100000 SH       SOLE       2            100000         0      0
COM USD0.01
PALLET MGMT SYS INC COM    CMN            696435304           0        2200 SH       SOLE       1              2200         0      0
NEW
PAMPA ENERGIA SA ARS1      CMN            697660207         886       76750 SH       SOLE       2             76750         0      0
PAN AMERICAN SILVER CORP   CMN            697900108         377       14068 SH       SOLE       2             14068         0      0
COM NPV
PANERA BREAD CO            CMN            69840W108         551        5301 SH       SOLE       2              5301         0      0
CLASS'A'COM USD0.0001
PARAGON SHIPPING INC COM   CMN            69913R309          30       37780 SH       SOLE       2             37780         0      0
STK USD0.001 CL'A'
PARKER HANNIFIN CORP COM   CMN            701094104         219        3475 SH       SOLE       2              3475         0      0
STK USD0.50
PARTNERRE LTD COM USD1     CMN            G6852T105         211        4036 SH       SOLE       2              4036         0      0
PATRIOT COAL CORP COM STK  CNV            70336TAA2        2042    22565.39 SH       SOLE       1          22565.39         0      0
USD0.01
PATRIOT COAL CORP COM STK  CMN            70336T104         381       45082 SH       SOLE       2             45082         0      0
USD0.01
PATTERSON-UTI ENERGY INC   CMN            703481101         444       25597 SH       SOLE       2             25597         0      0
COM STK USD0.01
PDL BIOPHARMA INC COM STK  CMN            69329Y104         623      112219 SH       DEFINED    1                 0    112219      0
USD0.01
PDL BIOPHARMA INC COM STK  CMN            69329Y104         433       78000 SH       DEFINED    2                 0     78000      0
USD0.01
PDL BIOPHARMA INC COM STK  CMN            69329Y104          45        8100 SH       DEFINED    2                 0      8100      0
USD0.01
PEABODY ENERGY CORP COM    CMN            704549104          42        1241 SH       DEFINED    1                 0      1241      0
STK USD0.01
PEABODY ENERGY CORP COM    CMN            704549104        1552       45797 SH       DEFINED    2                 0     45797      0
STK USD0.01
PEABODY ENERGY CORP COM    CMN            704549104         397       11719 SH       DEFINED    2                 0     11719      0
STK USD0.01
PENNICHUCK CORP COM USD1   CMN            708254206         578       20668 SH       SOLE       1             20668         0      0
PEOPLE'S UNITED FINANCIAL  CMN            712704105         131       11472 SH       SOLE       2             11472         0      0
INC COM STK USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
PEPSICO INC CAP            CMN            713448108        1535       24803 SH       SOLE       2             24803         0      0
USD0.016666
PEREGRINE SYSTEMS INC COM  CMN            71366Q101           0          15 SH       SOLE       1                15         0      0
PERFECT WORLD CO LTD ADR   CMN            71372U104        1519      136151 SH       SOLE       2            136151         0      0
EACH REPR 5 COM CLS'B'S
PERRIGO CO COM NPV         CMN            714290103         290        2982 SH       SOLE       2              2982         0      0
PETROBRAS ARGENTINA SA     CMN            71646J109        1392      101200 SH       SOLE       2            101200         0      0
CLASS'B'ARS1
PETROCHINA CO LTD ADS REP  CMN            71646E100         236        1959 SH       SOLE       2              1959         0      0
100 ORD HKD0.10'H'
PETROLEO BRASILEIRO SA -   CMN            71654V408       68624     3056758 SH       DEFINED    2                 0   3056758      0
PETROBRAS COM NPV
PETROLEO BRASILEIRO SA -   CMN            71654V408        8214      365868 SH       DEFINED    2                 0    365868      0
PETROBRAS COM NPV
PETROLEUM DEVELOPMENT      CNV            716578AC3        2028    24646.22 SH       SOLE       1          24646.22         0      0
CORP COM USD0.01
PETSMART INC COM USD0.0001 CMN            716768106        1234       28923 SH       DEFINED    1                 0     28923      0
PETSMART INC COM USD0.0001 CMN            716768106          40         936 SH       DEFINED    2                 0       936      0
PFIZER INC COM USD0.05     CMN            717081103         216       12240 SH       DEFINED    2                 0     12240      0
PFIZER INC COM USD0.05     CMN            717081103        2154      121841 SH       DEFINED    2                 0    121841      0
PG&E CORP COM NPV          CMN            69331C108         504       11917 SH       SOLE       2             11917         0      0
PHH CORP COM NPV           CNV            693320AH6        9659    97560.97 SH       SOLE       1          97560.97         0      0
PHH CORP COM NPV           CMN            693320202        2836      176388 SH       DEFINED    2                 0    176388      0
PHH CORP COM NPV           CMN            693320202           1          62 SH       DEFINED    2                 0        62      0
PHILIP MORRIS              CMN            718172109        6552      105039 SH       SOLE       2            105039         0      0
INTERNATIONAL INC COM STK
NPV 'WI'
PHOENIX RES TECHNOLOGIES   CMN            719131203           0           2 SH       SOLE       1                 2         0      0
INC COM NEW
PHOTRONICS INC COM USD0.01 CNV            719405AG7        4318       48216 SH       SOLE       1             48216         0      0
PINNACLE WEST CAPITAL      CMN            723484101         215        4996 SH       SOLE       2              4996         0      0
CORP COM NPV
PIONEER NATURAL RESOURCES  CNV            723787AH0         533     4504.13 SH       SOLE       1           4504.13         0      0
CO COM STK USD0.01
PIONEER NATURAL RESOURCES  CMN            723787107         248        3771 SH       SOLE       2              3771         0      0
CO COM STK USD0.01
PITNEY BOWES INC COM USD1  CMN            724479100         484       25749 SH       SOLE       2             25749         0      0
Plum Creek Timber          CMN            729251108      312.39        9000 SH       SOLE       4              9000         0      0
PLUM CREEK TIMBER CO INC   CMN            729251108         209        6025 SH       SOLE       2              6025         0      0
COM USD0.01
PLURISTEM THERAPEUTICS     CMN            72940R102          22       10000 SH       SOLE       2             10000         0      0
INC COM STK USD0.00001
PNC FINANCIAL SERVICES     CMN            693475105         587       12174 SH       DEFINED    1                 0     12174      0
GROUP INC COM USD5
PNC FINANCIAL SERVICES     CMN            693475105        2314       48008 SH       DEFINED    2                 0     48008      0
GROUP INC COM USD5
PNC FINANCIAL SERVICES     CMN            693475105        1323       27445 SH       DEFINED    2                 0     27445      0
GROUP INC COM USD5
POTASH CORP OF             CMN            73755L107        1785       41297 SH       SOLE       2             41297         0      0
SASKATCHEWAN COM NPV
POWERSHARES EXCHAN DB US   CMN            73936D107         553       24800 SH       SOLE       2             24800         0      0
DOLLAR INDEX BULLISH
POWERWAVE TECHNOLOGIES     CMN            739363109          51       29826 SH       SOLE       2             29826         0      0
INC COM USD0.0001
PPG INDUSTRIES INC COM     CMN            693506107        1045       14787 SH       SOLE       2             14787         0      0
USD1.666
PPL CORP 8.75% CNV PREF    CNV            69351T114        2986       54900 SH       SOLE       1             54900         0      0
01/05/2014
PPL CORP COM USD0.01       CMN            69351T106         218        7654 SH       SOLE       2              7654         0      0
PRAXAIR INC COM USD0.01    CMN            74005P104         280        2996 SH       SOLE       2              2996         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
PRECISION CASTPARTS CORP   CMN            740189105         828        5326 SH       SOLE       2              5326         0      0
COM NPV
PRICE (T. ROWE) COM        CMN            74144T108          30         623 SH       DEFINED    1                 0       623      0
USD0.20
PRICE (T. ROWE) COM        CMN            74144T108        1421       29747 SH       DEFINED    2                 0     29747      0
USD0.20
PRICELINE.COM INC COM      CMN            741503403          28          62 SH       DEFINED    1                 0        62      0
USD0.008
PRICELINE.COM INC COM      CNV            741503AM8         458     2864.13 SH       SOLE       1           2864.13         0      0
USD0.008
PRICELINE.COM INC COM      CMN            741503403         326         726 SH       DEFINED    2                 0       726      0
USD0.008
PRIMUS TELECOMMUNICATIONS  CMN            741929301   1305.1514      122780 SH       SOLE       4            117540         0   5240
GR
PROCTER & GAMBLE CO COM    CMN            742718109        6660      105418 SH       SOLE       2            105418         0      0
NPV
PROLOGIS INC COM USD0.01   CNV            74340XAR2         239     2469.33 SH       SOLE       1           2469.33         0      0
PROLOGIS INC COM USD0.01   CNV            74340XAT8        2466       25153 SH       SOLE       1             25153         0      0
PROLOGIS INC COM USD0.01   CMN            74340W103         375       15467 SH       SOLE       2             15467         0      0
PROSHARES TRUST ULTRSHORT  CMN            74347R883        1891       74200 SH       SOLE       2             74200         0      0
S&P500
PROSHARES ULTRASHORT EURO  CMN            74347W882         393       20370 SH       SOLE       2             20370         0      0
PROSHARES ULTRASHORT EURO
PROSPECT CAPITAL CORP COM  CNV            74348TAA0        6376    68710.35 SH       SOLE       1          68710.35         0      0
STK USD0.001
PROSPECT CAPITAL CORP COM  CNV            74348TAB8       10572   120689.65 SH       SOLE       1         120689.65         0      0
STK USD0.001
PROSPECT CAPITAL CORP COM  CMN            74348T102         127       15100 SH       SOLE       2             15100         0      0
STK USD0.001
PRUDENTIAL FINANCIAL INC   CMN            744320102        1640       35000 SH       DEFINED    1                 0     35000      0
COM USD0.01
PRUDENTIAL FINANCIAL INC   CMN            744320102         794       16943 SH       DEFINED    2                 0     16943      0
COM USD0.01
PSS WORLD MED INC COM      CNV            69366AAC4       19973   176753.39 SH       SOLE       1         176753.39         0      0
USD0.01
PUBLIC SERVICE ENTERPRISE  CMN            744573106         803       24065 SH       SOLE       2             24065         0      0
GROUP INC COM NPV
PUBLIC STORAGE COM USD0.10 CMN            74460D109         314        2818 SH       SOLE       2              2818         0      0
PULTE GROUP INC COM        CMN            745867101         303       76751 SH       SOLE       2             76751         0      0
USD0.01
QEP RESOURCES INC COM NPV  CMN            74733V100         249        9181 SH       SOLE       2              9181         0      0
QIAGEN NV COM EUR0.01      CMN            N72482107         160       11586 SH       SOLE       2             11586         0      0
QUAD SYSTEMS CORP USD0.03  CMN            74730Q104           0          40 SH       SOLE       1                40         0      0
QUALCOMM INC COM USD0.0001 CMN            747525103        1800       37012 SH       DEFINED    2                 0     37012      0
QUALCOMM INC COM USD0.0001 CMN            747525103        6494      133538 SH       DEFINED    2                 0    133538      0
QUALITY DISTR INC FLA      CMN            74756M102    288.3869       32222 SH       SOLE       4             30234         0   1988
QUANTA SERVICES INC COM    CMN            74762E102         196       10441 SH       SOLE       2             10441         0      0
STK USD0.00001
QUANTECH LTD COM    NEW    CMN            74762K306           0          18 SH       SOLE       1                18         0      0
QUEST DIAGNOSTICS INC COM  CMN            74834L100         428        8665 SH       SOLE       2              8665         0      0
USD0.01
QUOKKA SPORTS INC COM NEW  CMN            749077400           0         280 SH       SOLE       1               280         0      0
QWEST COMMUNICATIONS       CMN            749121109           0         799 SH       SOLE       2               799         0      0
INTERNATIONAL INC COM
USD0.01
RADIAN GROUP INC COM       CMN            750236101         186       84800 SH       SOLE       2             84800         0      0
USD0.001
RADIANT SYSTEMS INC COM    CMN            75025N102           0         156 SH       SOLE       2               156         0      0
USD0.00001
RADIOSHACK CORP COM USD1   CNV            750438AC7        3755    39179.29 SH       SOLE       1          39179.29         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
RADIOSHACK CORP COM USD1   CMN            750438103        1025       88247 SH       SOLE       2             88247         0      0
RAMBUS INC COM USD0.001    CMN            750917106         248       17734 SH       SOLE       2             17734         0      0
RAPTOR PHARMACEUTICAL      CMN            75382F106        1689      374583 SH       SOLE       2            374583         0      0
CORP USD0.001
RASER TECHNOLOGIES INC     CMN            754055101           0      160800 SH       SOLE       1            160800         0      0
COM
Rayonier                   CMN            754907103      294.32        8000 SH       SOLE       4              8000         0      0
RAYONIER INC COM NPV       CNV            75508AAD8        1581    12630.03 SH       SOLE       1          12630.03         0      0
RAYTHEON CO COM USD0.01    CMN            755111507         732       17906 SH       SOLE       2             17906         0      0
RED HAT INC COM STK        CMN            756577102         420        9949 SH       SOLE       2              9949         0      0
USD0.0001
REGIONS FINANCIAL CORP     CMN            7591EP100        2664      800000 SH       DEFINED    1                 0    800000      0
(NEW) COM USD0.625
REGIONS FINANCIAL CORP     CMN            7591EP100           7        2203 SH       DEFINED    2                 0      2203      0
(NEW) COM USD0.625
REGIS CORP COM USD0.05     CNV            758932AA5       21924   194017.78 SH       SOLE       1         194017.78         0      0
RELIANCE GROUP HOLDINGS    CMN            759464100           0         294 SH       SOLE       1               294         0      0
INC COM
RENESOLA LTD ORD SHS NPV   CMN            75971T103         130       75772 SH       DEFINED    2                 0     75772      0
RENESOLA LTD ORD SHS NPV   CNV            75971TAA1        1481    37914.68 SH       SOLE       2          37914.68         0      0
RENESOLA LTD ORD SHS NPV   CMN            75971T103           0           4 SH       DEFINED    3                 0         4      0
RESEARCH IN MOTION LTD     CMN            760975102         723       35594 SH       DEFINED    2                 0     35594      0
COM NPV
RESEARCH IN MOTION LTD     CMN            760975102        2721      134021 SH       DEFINED    2                 0    134021      0
COM NPV
REYNOLDS AMERICAN INC COM  CMN            761713106         590       15746 SH       SOLE       2             15746         0      0
USD0.0001
RF MICRO DEVICES INC COM   CMN            749941100         177       27880 SH       SOLE       2             27880         0      0
STK NPV
RIGEL PHARMACEUTICALS INC  CMN            766559603         192       26100 SH       SOLE       2             26100         0      0
COM USD0.001
RIGHTNOW TECHNOLOGIES INC  CMN            76657R106         810       24500 SH       DEFINED    1                 0     24500      0
COM USD0.001
RIGHTNOW TECHNOLOGIES INC  CMN            76657R106           6         185 SH       DEFINED    2                 0       185      0
COM USD0.001
RIO TINTO PLC ORD GBP0.10  CMN            767204100        2527       57326 SH       SOLE       2             57326         0      0
RITE AID CORP COM USD1     CMN            767754104          36       36335 SH       SOLE       2             36335         0      0
RIVERBED TECHNOLOGY INC    CMN            768573107         650       32561 SH       SOLE       2             32561         0      0
COM USD0.0001
ROBOTIC VISION SYS INC     CMN            771074309           0      378865 SH       SOLE       1            378865         0      0
COM NEW
ROCKWELL COLLINS INC COM   CMN            774341101          35         661 SH       DEFINED    1                 0       661      0
USD0.01
ROCKWELL COLLINS INC COM   CMN            774341101         184        3493 SH       DEFINED    2                 0      3493      0
USD0.01
ROCKWOOD HLDGS INC COM     CMN            774415103         407       12089 SH       SOLE       2             12089         0      0
STK USD0.01
ROSS STORES INC COM        CMN            778296103         566        7188 SH       DEFINED    1                 0      7188      0
USD0.01
ROSS STORES INC COM        CMN            778296103         187        2378 SH       DEFINED    2                 0      2378      0
USD0.01
ROVI CORP COM USD0.001     CMN            779376102        1296       30155 SH       DEFINED    1                 0     30155      0
ROVI CORP COM USD0.001     CNV            779376AB8         956     8340.38 SH       SOLE       1           8340.38         0      0
ROVI CORP COM USD0.001     CMN            779376102         999       23249 SH       DEFINED    2                 0     23249      0
ROVI CORP COM USD0.001     CMN            779376102          47        1085 SH       DEFINED    2                 0      1085      0
ROWAN COS INC COM USD0.125 CMN            779382100         661       21885 SH       SOLE       2             21885         0      0
ROYAL CARIBBEAN CRUISES    CMN            V7780T103         465       21502 SH       SOLE       2             21502         0      0
LTD COM USD0.01
RTI INTERNATIONAL METALS   CMN            74973W107         681       29200 SH       SOLE       1             29200         0      0
INC COM USD0.01






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
RUSSELL EXCHANGE TRADED    CMN            782474647       13317      300600 SH       SOLE       1            300600         0      0
FDS TR 1000 LOW VOLAT
RUSSELL EXCHANGE TRADED    CMN            782474696        7922      200700 SH       SOLE       1            200700         0      0
FDS TR LOW P/E ETF
RYDEX MSCI ALL COUNTRY     CMN            78355W528        3226      100600 SH       SOLE       1            100600         0      0
WORLD EQUAL WEIGHT ETF
ETP NPV
RYDEX MSCI EAFE EQUAL      CMN            78355W544        2263       65400 SH       SOLE       1             65400         0      0
WEIGHT ETF MUTUAL FUND
NPV
RYDEX MSCI EMERGING        CMN            78355W536        1877       65850 SH       SOLE       1             65850         0      0
MARKETS EQUAL WEIGHT ETF
MUTUAL FUND NPV
S1 CORPORATION COM USD0.01 CMN            78463B101         227       24731 SH       SOLE       2             24731         0      0
SAF T LOK INC COM   NEW    CMN            78636P201           0         130 SH       SOLE       1               130         0      0
SAFEWAY INC COM USD0.01    CMN            786514208         170       10202 SH       SOLE       2             10202         0      0
SAKS INC COM USD0.10       CNV            79377WAL2       19082   192063.49 SH       SOLE       1         192063.49         0      0
SAKS INC COM USD0.10       CNV            79377WAN8       31738    180586.9 SH       SOLE       1          180586.9         0      0
SAKS INC COM USD0.10       CMN            79377W108         419       47840 SH       SOLE       2             47840         0      0
SALESFORCE.COM INC COM     CNV            79466LAB0        4412    29942.71 SH       SOLE       1          29942.71         0      0
USD0.001
SALESFORCE.COM INC COM     CMN            79466L302       10884       95244 SH       DEFINED    2                 0     95244      0
USD0.001
SALESFORCE.COM INC COM     CMN            79466L302         256        2240 SH       DEFINED    2                 0      2240      0
USD0.001
SALIX PHARMACEUTICALS INC  CMN            795435106         511       17247 SH       SOLE       1             17247         0      0
COM
SANDERSON FARMS INC COM    CMN            800013104         858       18065 SH       SOLE       2             18065         0      0
USD1
SANDISK CORP COM USD0.001  CMN            80004C101         455       11276 SH       DEFINED    1                 0     11276      0
SANDISK CORP COM USD0.001  CNV            80004CAC5        2354     24392.9 SH       SOLE       1           24392.9         0      0
SANDISK CORP COM USD0.001  CMN            80004C101        9084      225106 SH       DEFINED    2                 0    225106      0
SANDISK CORP COM USD0.001  CMN            80004C101        1865       46224 SH       DEFINED    2                 0     46224      0
SANDRIDGE ENERGY INC COM   CMN            80007P307          69       12482 SH       SOLE       2             12482         0      0
STK USD0.001
SANITAS INC COM PAR $0.10  CMN            801036203           0         380 SH       SOLE       1               380         0      0
SAP AG ORD NPV             CMN            803054204         630       12455 SH       SOLE       2             12455         0      0
SAPIENT CORP COM USD0.01   CMN            803062108         294       28947 SH       SOLE       2             28947         0      0
SARA LEE CORP USD0.01      CMN            803111103         553       33808 SH       SOLE       2             33808         0      0
SATCON TECHNOLOGY CORP     CMN            803893106          95      100000 SH       DEFINED    1                 0    100000      0
COM USD0.01
SATCON TECHNOLOGY CORP     CMN            803893106           5        5100 SH       DEFINED    2                 0      5100      0
COM USD0.01
SAVIENT PHARMACEUTICALS    CMN            80517Q100         820      200000 SH       SOLE       1            200000         0      0
INC COM USD0.01
SAVIENT PHARMACEUTICALS    CNV            80517QAA8         906    13001.08 SH       SOLE       1          13001.08         0      0
INC COM USD0.01
SBA COMMUNICATIONS CORP    CMN            78388J106         216        6253 SH       SOLE       2              6253         0      0
COM USD0.01
SCHLUMBERGER LTD COM       CMN            806857108          60        1000 SH       DEFINED    1                 0      1000      0
USD0.01
SCHLUMBERGER LTD COM       CMN            806857108        2400       40173 SH       DEFINED    2                 0     40173      0
USD0.01
SEA CONTAINERS LTD  CL A   CMN            811371707           0      391636 SH       SOLE       1            391636         0      0
SEADRILL LTD USD2          CMN            G7945E105         459       16685 SH       SOLE       2             16685         0      0
SEAGATE TECHNOLOGY COM     CMN            G7945M107         120       11710 SH       SOLE       2             11710         0      0
USD0.00001
SEALED AIR CORP COM        CMN            81211K100        3209      192156 SH       DEFINED    1                 0    192156      0
USD0.10
SEALED AIR CORP COM        CMN            81211K100         121        7235 SH       DEFINED    2                 0      7235      0
USD0.10






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
SECTOR SPDR TRUST AMEX     CMN            81369Y803        3269      138500 SH       SOLE       1            138500         0      0
TECHNOLOGY SELECT IDX
SELECT SECTOR SPDR AMEX    CMN            81369Y886         993       29546 SH       SOLE       1             29546         0      0
UTILITIES SELECT INDEX
SELECT SECTOR SPDR ENERGY  CMN            81369Y506        3513       60035 SH       DEFINED    1                 0     60035      0
FUND SBI USD0.001 ENERGY
SELECT SECTOR SPDR ENERGY  CMN            81369Y506          34         578 SH       DEFINED    2                 0       578      0
FUND SBI USD0.001 ENERGY
SELECT SECTOR SPDR SBI     CMN            81369Y407        1102       31600 SH       SOLE       1             31600         0      0
CONSUMER DISCRETIONARY
SEMILEDS CORP/TW COM NPV   CMN            816645105         136       35495 SH       SOLE       2             35495         0      0
SEMPRA ENERGY COM NPV      CMN            816851109         348        6758 SH       SOLE       2              6758         0      0
SHAMAN PHARMACEUTICALS     CMN            819319500           0         121 SH       SOLE       1               121         0      0
INC COM PAR $.0001
SHANDA GAMES LTD           CMN            81941U105          42       10686 SH       SOLE       2             10686         0      0
'A'USD0.01
SHERWIN-WILLIAMS CO/THE    CMN            824348106         230        3100 SH       SOLE       2              3100         0      0
COM USD1
SHIMODA RES HLDGS INC COM  CMN            82454P202           0          57 SH       SOLE       1                57         0      0
NEW
SIGA PHARMACEUTICA COM     CMN            826917106         474      145000 SH       SOLE       2            145000         0      0
USD0.0001
SILICON GRAPHICS    INC    CMN            827056102           0         287 SH       SOLE       1               287         0      0
SILICONWARE PRECISION      CMN            827084864          49       10300 SH       SOLE       2             10300         0      0
INDUSTRIES CO TWD10
SILVER WHEATON CORP COM    CMN            828336107        1762       59835 SH       SOLE       2             59835         0      0
NPV
SILVERCORP METALS INC COM  CMN            82835P103         779       98538 SH       SOLE       2             98538         0      0
NPV
SIMCERE PHARMACEUT SPONS   CMN            82859P104         139       14000 SH       SOLE       2             14000         0      0
ADR EA REP 2 ORD SHS
SIMON PROPERTY GROUP INC   CMN            828806109         743        6752 SH       SOLE       2              6752         0      0
COM USD0.0001
SINA CORP/CHINA ORD        CMN            G81477104        5151       71929 SH       SOLE       2             71929         0      0
USD0.133
SIRIUS XM RADIO INC COM    CNV            98375YAU0      124640  1066666.66 SH       SOLE       1        1066666.66         0      0
USD0.001
SIRIUS XM RADIO INC COM    CMN            82967N108        2390     1582539 SH       DEFINED    2                 0   1582539      0
USD0.001
SIRIUS XM RADIO INC COM    CMN            82967N108         229      151378 SH       DEFINED    2                 0    151378      0
USD0.001
SITI-SITES COM INC         CMN            82981P105           0         816 SH       SOLE       1               816         0      0
SIX FLAGS ENTMT CORP NEW   CMN            83001A102  3801.85344      137152 SH       SOLE       4             99900         0  37252
SKYWORKS SOLUTIONS INC     CMN            83088M102         106        5916 SH       DEFINED    1                 0      5916      0
COM USD0.25
SKYWORKS SOLUTIONS INC     CMN            83088M102         143        7965 SH       DEFINED    2                 0      7965      0
COM USD0.25
SL GREEN REALTY CORP COM   CNV            78444FAC0        1143    12026.57 SH       SOLE       1          12026.57         0      0
USD0.01
SLM CORPORATION COM        CMN            78442P106         330       26481 SH       SOLE       2             26481         0      0
USD0.20
SM ENERGY CO COM USD0.01   CMN            78454L100          18         300 SH       DEFINED    1                 0       300      0
SM ENERGY CO COM USD0.01   CMN            78454L100         540        8907 SH       DEFINED    2                 0      8907      0
SMALL CAP BEAR 3X SHARES   CMN            25459W110        3234       61049 SH       SOLE       1             61049         0      0
SMALL CAP BEAR 3X SHARES
SMARTHEAT INC COM STK      CMN            83172F104          21       31800 SH       SOLE       2             31800         0      0
USD0.001
SMITHFIELD FOODS INC COM   CNV            832248AR9       23678   215252.36 SH       SOLE       1         215252.36         0      0
USD0.5
SMITHFIELD FOODS INC COM   CMN            832248108         306       15697 SH       SOLE       2             15697         0      0
USD0.5






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
SOHU.COM INC COM USD0.001  CMN            83408W103         720       14941 SH       SOLE       2             14941         0      0
SOLUTIA INC/NEW COM STK    CMN            834376501         357       27801 SH       SOLE       2             27801         0      0
USD0.01
SONIC AUTOMOTIVE INC COM   CNV            83545GAQ5       18092   164393.79 SH       SOLE       1         164393.79         0      0
USD0.01 CL'A'
SOTHEBY'S COM STK USD0.10  CMN            835898107         505       18306 SH       SOLE       2             18306         0      0
SOUTHERN CO COM USD5       CMN            842587107         245        5780 SH       SOLE       2              5780         0      0
SOUTHERN UNION CO COM USD1 CMN            844030106       19186      472917 SH       SOLE       2            472917         0      0
SOUTHWEST AIRLINES CO COM  CNV            00949PAD0        8443    66348.42 SH       SOLE       1          66348.42         0      0
USD1
SOUTHWEST AIRLINES CO COM  CMN            844741108         212       26381 SH       SOLE       2             26381         0      0
USD1
SOUTHWESTERN ENERGY CO     CMN            845467109         305        9150 SH       SOLE       2              9150         0      0
USD0.1
SPDR GOLD SHARES GOLD      CMN            78463V107       54508      344859 SH       DEFINED    1                 0    344859      0
SHARES NPV
SPDR GOLD SHARES GOLD      CMN            78463V107         281        1778 SH       DEFINED    2                 0      1778      0
SHARES NPV
SPDR GOLD SHARES GOLD      CMN            78463V107       44383      280798 SH       DEFINED    2                 0    280798      0
SHARES NPV
SPDR KBW BANK ETF KBW      CMN            78464A797        5195      296200 SH       SOLE       1            296200         0      0
BANK ETF
SPDR S&P 500 ETF TRUST     CMN            78462F103     1044541     9231475 SH       DEFINED    1                 0   9231475      0
UNITS SER 1 NPV
SPDR S&P 500 ETF TRUST     CMN            78462F103       29122      257378 SH       DEFINED    2                 0    257378      0
UNITS SER 1 NPV
SPDR S&P 500 ETF TRUST     CMN            78462F103       15242      134702 SH       DEFINED    2                 0    134702      0
UNITS SER 1 NPV
SPDR S&P 500 ETF TRUST     CMN            78462F103          56         491 SH       DEFINED    3                 0       491      0
UNITS SER 1 NPV
SPECTRA ENERGY CORP COM    CMN            847560109         299       12183 SH       SOLE       2             12183         0      0
STK USD0.001
SPIRIT AEROSYSTEMS         CMN            848574109         192       12052 SH       SOLE       2             12052         0      0
HOLDINGS, INC COM STK
USD0.01 CLASS 'A'
SPRINT NEXTEL CORP COM     CMN            852061100          95       31170 SH       DEFINED    1                 0     31170      0
USD2 SERIE 1
SPRINT NEXTEL CORP COM     CMN            852061100          83       27331 SH       DEFINED    2                 0     27331      0
USD2 SERIE 1
SPROTT PHYSICAL GOLD       CMN            85207H104        2656      189310 SH       SOLE       2            189310         0      0
TRUST ETP NPV
STANLEY BLACK & DECKER     CNV            854502309         500        4880 SH       SOLE       1              4880         0      0
INC 5% CNV PERF
STANLEY BLACK & DECKER     CNV            854616AM1        6783    66463.86 SH       SOLE       1          66463.86         0      0
INC COM USD2.50
STANLEY BLACK & DECKER     CMN            854502101         279        5683 SH       SOLE       2              5683         0      0
INC COM USD2.50
STAPLES INC COM STK        CMN            855030102         177       13299 SH       SOLE       2             13299         0      0
USD0.0006
STARBUCKS CORP COM         CMN            855244109        1109       29749 SH       DEFINED    2                 0     29749      0
USD0.001
STARBUCKS CORP COM         CMN            855244109          22         600 SH       DEFINED    3                 0       600      0
USD0.001
STARTER CORP COM           CMN            855684106           0         850 SH       SOLE       1               850         0      0
STARWOOD HOTELS & RESORTS  CMN            85590A401        1117       28762 SH       SOLE       2             28762         0      0
COM STK USD0.01
STATE BANCORP INC/NY COM   CMN            855716106         717       67833 SH       SOLE       1             67833         0      0
USD5
STATE STREET CORP COM STK  CMN            857477103         546       16989 SH       SOLE       2             16989         0      0
USD1






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
STATOIL ASA NOK2.50        CMN            85771P102        1922       89191 SH       SOLE       2             89191         0      0
STEC INC COM USD0.001      CMN            784774101         166       16319 SH       SOLE       2             16319         0      0
STEEL DYNAMICS INC         CMN            858119100         100       10107 SH       DEFINED    1                 0     10107      0
STEEL DYNAMICS INC COM     CMN            858119100         324       32680 SH       DEFINED    2                 0     32680      0
STK USD0.01
STREETTRACKS INDEX SPDR    CMN            78463X400        3349       60000 SH       SOLE       2             60000         0      0
S&P CHINA ETF
STREETTRACKS SERIE SPDR    CMN            78464A888         146       10952 SH       SOLE       1             10952         0      0
HOMEBUILDERS ETF
STREETTRACKS SPDR O&G      CMN            78464A730         360        8400 SH       SOLE       1              8400         0      0
EX&PRD
STRYKER CORP COM USD0.10   CMN            863667101         252        5349 SH       SOLE       2              5349         0      0
SULPHCO INC COM USD0.001   CMN            865378103           0       67200 SH       SOLE       2             67200         0      0
SUN HBR FINL RES INC COM   CMN            866916109           0           5 SH       SOLE       1                 5         0      0
SUNBEAM CORP COM           CMN            867071102           0        8000 SH       SOLE       1              8000         0      0
SUNCOR ENERGY INC COM NPV  CMN            867224107         535       21045 SH       SOLE       2             21045         0      0
SUNOCO INC COM USD1        CMN            86764P109          16         500 SH       DEFINED    1                 0       500      0
SUNOCO INC COM USD1        CMN            86764P109         316       10177 SH       DEFINED    2                 0     10177      0
SUNPOWER CORP COM          CNV            867652AE9       35952   443852.64 SH       SOLE       1         443852.64         0      0
USD0.001 CLASS'A'
SUNTECH POWER HLDG SPONS   CMN            86800C104         135       58360 SH       SOLE       2             58360         0      0
ADR EA REPR 1 ORD SHS
SUNTRUST BANKS, INC COM    CMN            867914103         210       11713 SH       SOLE       2             11713         0      0
USD1
SUPERIOR WELL SERVICES     CNV            86837X204        2955        3302 SH       SOLE       1              3302         0      0
INC PRF1000
SUPERVALU INC COM USD1     CMN            868536103         162       24338 SH       SOLE       2             24338         0      0
SUREBEAM CORP CL A         CMN            86866R102           0          69 SH       SOLE       1                69         0      0
SUSQUEHANNA BANCSHARES     CMN            869099101         711      130300 SH       DEFINED    1                 0    130300      0
INC COM USD2
SUSQUEHANNA BANCSHARES     CMN            869099101           8        1467 SH       DEFINED    2                 0      1467      0
INC COM USD2
SWIFT ENERGY CO COM        CMN            870738101         231        9496 SH       SOLE       2              9496         0      0
USD0.01
SYMANTEC CORP COM USD0.01  CMN            871503108         174       10697 SH       SOLE       2             10697         0      0
SYSCO CORP COM USD1        CMN            871829107         341       13157 SH       SOLE       2             13157         0      0
T U INTL INC COM PAR       CMN            873054209           0         500 SH       SOLE       1               500         0      0
$0.10
TAIWAN SEMICONDUCTOR       CMN            874039100       65449     5726090 SH       SOLE       2           5726090         0      0
MANUFACTURING CO LTD
TWD10
TAKE-TWO INTERACTIVE       CMN            874054109          37        2938 SH       DEFINED    1                 0      2938      0
SOFTWARE INC COM USD0.01
TAKE-TWO INTERACTIVE       CMN            874054109        5953      468036 SH       DEFINED    2                 0    468036      0
SOFTWARE INC COM USD0.01
TAKE-TWO INTERACTIVE       CMN            874054109         124        9753 SH       DEFINED    2                 0      9753      0
SOFTWARE INC COM USD0.01
TAL INTERNATIONAL GROUP    CMN            874083108        1251       50150 SH       DEFINED    1                 0     50150      0
INC COM STK USD0.001
TAL INTERNATIONAL GROUP    CMN            874083108          13         502 SH       DEFINED    2                 0       502      0
INC COM STK USD0.001
TAM S.A. PRF NPV           CMN            87484D103        3352      215119 SH       DEFINED    1                 0    215119      0
TAM S.A. PRF NPV           CMN            87484D103          47        3020 SH       DEFINED    2                 0      3020      0
TARGET CORP COM STK        CMN            87612E106          95        1936 SH       DEFINED    1                 0      1936      0
USD0.0833
TARGET CORP COM STK        CMN            87612E106        1448       29524 SH       DEFINED    2                 0     29524      0
USD0.0833
TARGET CORP COM STK        CMN            87612E106         843       17199 SH       DEFINED    2                 0     17199      0
USD0.0833
TARRAGON CORP COM          CMN            876287103           0        6845 SH       SOLE       1              6845         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
TATA MOTORS LTD INR2       CMN            876568502         352       22855 SH       DEFINED    2                 0     22855      0
TATA MOTORS LTD INR2       CMN            876568502          55        3595 SH       DEFINED    2                 0      3595      0
TBM HOLDING INC COM        CMN            872197108           0           2 SH       SOLE       1                 2         0      0
TBS INTERNATIONAL PLC COM  CMN            G8657Q104          15       20470 SH       SOLE       2             20470         0      0
USD0.01 CLASS 'A'
TD AMERITRADE HOLDING      CMN            87236Y108         329       22353 SH       SOLE       2             22353         0      0
CORP COM USD0.01
TE CONNECTIVITY LTD        CMN            H84989104         482       17124 SH       SOLE       2             17124         0      0
CHF1.19
TECH DATA CORP COM         CNV            878237AE6        4170    41801.52 SH       SOLE       1          41801.52         0      0
USD0.0015
TELECOMMNS SYSTEMS COM     CMN            87929J103         173       50000 SH       SOLE       2             50000         0      0
USD0.01
TELEFLEX INC COM USD1      CMN            879369106        2187       40677 SH       SOLE       1             40677         0      0
TELEFONICA SA EUR1         CMN            879382208         192       10022 SH       SOLE       2             10022         0      0
TELLABS INC COM USD0.01    CMN            879664100         455      106000 SH       SOLE       2            106000         0      0
TEMPLE-INLAND INC COM USD1 CMN            879868107        1645       52439 SH       DEFINED    1                 0     52439      0
TEMPLE-INLAND INC COM USD1 CMN            879868107        5848      186433 SH       DEFINED    2                 0    186433      0
TENARIS S.A. USD1          CMN            88031M109         412       16202 SH       SOLE       2             16202         0      0
TERADATA CORP COM STK      CMN            88076W103          34         637 SH       DEFINED    1                 0       637      0
USD0.01
TERADATA CORP COM STK      CMN            88076W103         195        3645 SH       DEFINED    2                 0      3645      0
USD0.01
TERADYNE INC COM USD0.125  CMN            880770102          30        2755 SH       DEFINED    1                 0      2755      0
TERADYNE INC COM USD0.125  CMN            880770102       10855      985935 SH       DEFINED    2                 0    985935      0
TERADYNE INC COM USD0.125  CMN            880770102         621       56427 SH       DEFINED    2                 0     56427      0
TEREX CORP COM USD0.01     CMN            880779103          67        6500 SH       DEFINED    1                 0      6500      0
TEREX CORP COM USD0.01     CNV            880779AV5       22370   227569.23 SH       SOLE       1         227569.23         0      0
TEREX CORP COM USD0.01     CMN            880779103         186       18145 SH       DEFINED    2                 0     18145      0
TERNIUM SA COM NPV         CMN            880890108        1023       49100 SH       SOLE       2             49100         0      0
TESORO CORP COM USD0.1666  CMN            881609101        1159       59533 SH       SOLE       2             59533         0      0
TEVA PHARMACEUTICAL IND    CNV            88163VAE9         768      7502.3 SH       SOLE       1            7502.3         0      0
LTD ILS0.1 (POST CONS)
TEVA PHARMACEUTICAL IND    CMN            881624209         872       23422 SH       SOLE       2             23422         0      0
LTD ILS0.1 (POST CONS)
TEXAS INSTRUMENTS INC COM  CMN            882508104          34        1272 SH       DEFINED    1                 0      1272      0
USD1
TEXAS INSTRUMENTS INC COM  CMN            882508104         708       26556 SH       DEFINED    2                 0     26556      0
USD1
TEXTRON INC COM STK        CNV            883203BN0      114211   753371.42 SH       SOLE       1         753371.42         0      0
USD0.125
TEXTRON INC COM STK        CMN            883203101       10121      573781 SH       DEFINED    2                 0    573781      0
USD0.125
TEXTRON INC COM STK        CMN            883203101         131        7445 SH       DEFINED    2                 0      7445      0
USD0.125
TGC INDUSTRIES INC COM     CMN            872417308         380       86399 SH       SOLE       1             86399         0      0
STK USD0.01
THE ALLSTATE CORPORATION   CMN            020002101         436       18406 SH       SOLE       2             18406         0      0
COM USD0.01
THE CHARLES SCHWAB         CMN            808513105         204       18128 SH       SOLE       2             18128         0      0
CORPORATION COM USD0.01
THE GOLDMAN SACHS GROUP,   CMN            38141G104        1001       10587 SH       DEFINED    1                 0     10587      0
INC COM USD0.01
THE GOLDMAN SACHS GROUP,   CMN            38141G104        9049       95709 SH       DEFINED    2                 0     95709      0
INC COM USD0.01
THE GOLDMAN SACHS GROUP,   CMN            38141G104        5028       53174 SH       DEFINED    2                 0     53174      0
INC COM USD0.01
THERMO ELECTRON CORP COM   CMN            883556102         290        5725 SH       SOLE       2              5725         0      0
USD1
THOMPSON CREEK METALS CO   CMN            884768102          68       11206 SH       SOLE       2             11206         0      0
LTD COM NPV






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
THORATEC CORP COM NPV      CMN            885175307         415       12723 SH       SOLE       2             12723         0      0
TIANRONG BUILDING          CMN            886305101           0        1500 SH       SOLE       1              1500         0      0
MATERIAL USD0.02
TIBCO SOFTWARE INC COM     CMN            88632Q103         246       11006 SH       SOLE       2             11006         0      0
USD0.001
TIERONE CORP COM USD0.01   CMN            88650R108           0       10000 SH       SOLE       2             10000         0      0
TIFFANY & CO COM USD0.01   CMN            886547108        1113       18302 SH       SOLE       2             18302         0      0
TIME WARNER CABLE INC      CMN            88732J207         515        8219 SH       DEFINED    1                 0      8219      0
'A'USD0.01
TIME WARNER CABLE INC      CMN            88732J207        1016       16211 SH       DEFINED    2                 0     16211      0
'A'USD0.01
TIME WARNER INC USD0.01    CMN            887317303         726       24211 SH       SOLE       2             24211         0      0
TITANIUM METALS CORP COM   CMN            888339207           1         100 SH       DEFINED    1                 0       100      0
USD0.01
TITANIUM METALS CORP COM   CMN            888339207         167       11151 SH       DEFINED    2                 0     11151      0
USD0.01
TIVO INC COM USD0.001      CNV            888706AD0        5020    44802.86 SH       SOLE       1          44802.86         0      0
TJX COS INC COM USD1       CMN            872540109         633       11418 SH       DEFINED    1                 0     11418      0
TJX COS INC COM USD1       CMN            872540109         642       11579 SH       DEFINED    2                 0     11579      0
TOLL BROTHERS INC COM      CMN            889478103         364       25202 SH       SOLE       2             25202         0      0
USD0.01
TOREADOR RESOURCES CORP    CMN            891050106          80       26001 SH       SOLE       2             26001         0      0
COM USD0.15625
TOTAL SA EUR2.5            CMN            89151E109        4758      108465 SH       SOLE       2            108465         0      0
TOTALAXCESS COM INC COM    CMN            89151J207           0         333 SH       SOLE       1               333         0      0
NEW
TOYOTA MOTOR CORP NPV      CMN            892331307         261        3824 SH       SOLE       2              3824         0      0
TRACKER CORP OF AMERICA    CMN            89234G105           0       50000 SH       SOLE       1             50000         0      0
COM USD0.001
TRACTOR SUPPLY CO COM      CMN            892356106         534        8535 SH       DEFINED    1                 0      8535      0
USD0.008
TRACTOR SUPPLY CO COM      CMN            892356106          81        1299 SH       DEFINED    2                 0      1299      0
USD0.008
TRANS GLOBAL SVCS INC COM  CMN            892916503           0         749 SH       SOLE       1               749         0      0
NEW
TRANSATLANTIC HOLDINGS     CMN            893521104         426        8773 SH       SOLE       2              8773         0      0
INC COM USD1
TRANSOCEAN LTD CHF15       CMN            H8817H100        7117      149077 SH       SOLE       2            149077         0      0
TRAVELERS COS INC/THE COM  CMN            89417E109         645       13239 SH       SOLE       2             13239         0      0
NPV
TRIANGLE HOME PRODS INC    CMN            895858108           0         225 SH       SOLE       1               225         0      0
DEL COM
TRINA SOLAR LIMITE ADR     CMN            89628E104         284       46643 SH       SOLE       2             46643         0      0
REP 50 ORD USD0.00001
TRIQUINT SEMICONDUCTOR     CMN            89674K103          55       11041 SH       SOLE       2             11041         0      0
INC COM USD0.001
TRIUMPH GROUP INC COM      CNV            896818AB7        1462     8191.01 SH       SOLE       1           8191.01         0      0
USD0.001
TTM TECHNOLOGIES INC COM   CMN            87305R109         229       24100 SH       DEFINED    1                 0     24100      0
NPV
TTM TECHNOLOGIES INC COM   CMN            87305R109          11        1208 SH       DEFINED    2                 0      1208      0
NPV
TULLY'S COFFEE CORP COM    CMN            899432405           0          75 SH       SOLE       1                75         0      0
STK NPV
TUPPERWARE BRANDS CORP     CMN            899896104          27         501 SH       DEFINED    1                 0       501      0
COM USD0.01
TUPPERWARE BRANDS CORP     CMN            899896104         178        3318 SH       DEFINED    2                 0      3318      0
COM USD0.01
TYCO INTERNATIONAL LTD     CMN            H89128104         963       23638 SH       SOLE       2             23638         0      0
CHF6.7






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
TYSON FOODS INC            CNV            902494AP8       59628   495865.32 SH       SOLE       1         495865.32         0      0
CLASS'A'COM USD0.10
TYSON FOODS INC            CMN            902494103        1168       67292 SH       SOLE       2             67292         0      0
CLASS'A'COM USD0.10
UCBH HLDGS INC COM USD0.01 CMN            90262T308           0        3000 SH       SOLE       2              3000         0      0
ULTRA PETROLEUM CORP COM   CMN            903914109         208        7489 SH       SOLE       2              7489         0      0
NPV
ULTRASHORT LEHMAN 20+      CMN            74347R297        1458       75000 SH       SOLE       2             75000         0      0
YEAR ULTRASHORT LEHMAN
20+ YEAR
UNION PACIFIC CORP COM     CMN            907818108         479        5868 SH       SOLE       2              5868         0      0
USD2.50
UNISOURCE ENERGY NPV COM   CNV            909205AB2        2798    26202.75 SH       DEFINED    1                 0  26202.75      0
NPV
UNISOURCE ENERGY NPV COM   CNV            909205AB2         306     2863.68 SH       DEFINED    2                 0   2863.68      0
NPV
UNITED CONTINENTAL         CNV            902549AJ3        7206    30501.84 SH       SOLE       1          30501.84         0      0
HOLDINGS INC COM STK
USD0.01
UNITED CONTINENTAL         CMN            910047109         236       12197 SH       SOLE       2             12197         0      0
HOLDINGS INC COM STK
USD0.01
UNITED MICROELECTRONICS    CMN            910873405          26       13500 SH       SOLE       2             13500         0      0
CORP TWD10
UNITED PARCEL SERVICE INC  CMN            911312106        1256       19886 SH       SOLE       2             19886         0      0
CLASS'B'COM USD0.01
UNITED STATES NATURAL GAS  CMN            912318110        1801      200000 SH       DEFINED    1                 0    200000      0
FUND LP UNIT
UNITED STATES NATURAL GAS  CMN            912318110        1681      186649 SH       DEFINED    2                 0    186649      0
FUND LP UNIT
UNITED STATES STEEL CORP   CMN            912909108         498       22605 SH       DEFINED    1                 0     22605      0
COM USD1
UNITED STATES STEEL CORP   CNV            912909AE8       23917   230525.49 SH       SOLE       1         230525.49         0      0
COM USD1
UNITED STATES STEEL CORP   CMN            912909108        1827       83020 SH       DEFINED    2                 0     83020      0
COM USD1
UNITED TECHNOLOGIES CORP   CMN            913017109         613        8716 SH       DEFINED    1                 0      8716      0
COM USD1
UNITED TECHNOLOGIES CORP   CMN            913017109        2738       38914 SH       DEFINED    2                 0     38914      0
COM USD1
UNITED THERAPEUTICS CORP   CNV            91307CAD4       19124   186664.68 SH       SOLE       1         186664.68         0      0
COM USD0.01
UNITEDHEALTH GROUP INC     CMN            91324P102        1621       35149 SH       SOLE       2             35149         0      0
COM USD0.01
UNIVERSAL CORP 6.75% PERP  CNV            913456307        6348        6900 SH       SOLE       1              6900         0      0
PFD CONV 15/03/
URANIUM RESOURCES INC COM  CMN            916901507          10       15158 SH       SOLE       2             15158         0      0
STK USD0.001
URBAN OUTFITTERS INC COM   CMN            917047102          28        1273 SH       DEFINED    1                 0      1273      0
USD0.0001
URBAN OUTFITTERS INC COM   CMN            917047102         372       16688 SH       DEFINED    2                 0     16688      0
USD0.0001
US AIRWAYS GROUP INC COM   CMN            911905107           0        2449 SH       SOLE       1              2449         0      0
US AIRWAYS GROUP INC/NEW   CMN            90341W108         166       30108 SH       SOLE       2             30108         0      0
COM STK USD0.01
US BANCORP INC COM USD0.01 CMN            902973304         520       22097 SH       DEFINED    1                 0     22097      0
US BANCORP INC COM USD0.01 CMN            902973304        1386       58882 SH       DEFINED    2                 0     58882      0
USA BROADBAND INC   COM    CMN            90335P101           0        4290 SH       SOLE       1              4290         0      0
USEC INC COM USD0.10       CMN            90333E108          52       32000 SH       SOLE       2             32000         0      0
USEC INC COM USD0.10       CNV            90333EAC2         492        8364 SH       SOLE       2              8364         0      0






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
UTD RENTALS INC COM        CNV            911363AL3       70867   423847.01 SH       SOLE       1         423847.01         0      0
USD0.01
UTD STS OIL FD LP UNITS    CMN            91232N108         225        7373 SH       SOLE       2              7373         0      0
VALE SA COM NPV            CMN            91912E105       35395     1552417 SH       DEFINED    2                 0   1552417      0
VALE SA COM NPV            CMN            91912E105        1075       47137 SH       DEFINED    2                 0     47137      0
VALENCE TECHNOLOGY INC     CMN            918914102          36       35000 SH       SOLE       2             35000         0      0
COM USD0.001
VALERO ENERGY CORP COM     CMN            91913Y100        1401       78790 SH       DEFINED    1                 0     78790      0
USD0.01
VALERO ENERGY CORP COM     CMN            91913Y100        1350       75931 SH       DEFINED    2                 0     75931      0
USD0.01
VALUECLICK INC COM STK     CMN            92046N102         321       20637 SH       SOLE       2             20637         0      0
USD0.001
VARIAN SEMICONDUCT COM     CMN            922207105       10612      173544 SH       DEFINED    1                 0    173544      0
USD0.01
VARIAN SEMICONDUCT COM     CMN            922207105       94867     1551387 SH       DEFINED    2                 0   1551387      0
USD0.01
VCA ANTECH INC COM         CMN            918194101           6         400 SH       DEFINED    1                 0       400      0
USD0.001
VCA ANTECH INC COM         CMN            918194101         533       33370 SH       DEFINED    2                 0     33370      0
USD0.001
VECTOR DEV INC COM         CMN            92239E109           0        2500 SH       SOLE       1              2500         0      0
VEECO INSTRUMENTS INC COM  CMN            922417100         203        8324 SH       SOLE       2              8324         0      0
USD0.01
VELTI LTD ORD GBP0.05      CMN            G93285107        1916      289830 SH       SOLE       2            289830         0      0
VENTAS INC COM USD0.25     CNV            92276FAA8       11919   102753.13 SH       SOLE       1         102753.13         0      0
VERENIUM CORP USD0.001     CMN            92340P209         120       50000 SH       SOLE       2             50000         0      0
VERIFONE SYSTEMS INC COM   CMN            92342Y109         310        8850 SH       DEFINED    1                 0      8850      0
USD0.01
VERIFONE SYSTEMS INC COM   CMN            92342Y109         610       17427 SH       DEFINED    2                 0     17427      0
USD0.01
VERIZON COMMUNICATIONS     CMN            92343V104          18         500 SH       DEFINED    1                 0       500      0
INC COM USD0.10
VERIZON COMMUNICATIONS     CMN            92343V104          35         943 SH       DEFINED    2                 0       943      0
INC COM USD0.10
VERIZON COMMUNICATIONS     CMN            92343V104        1592       43269 SH       DEFINED    2                 0     43269      0
INC COM USD0.10
VERTEX PHARMACEUTICALS     CNV            92532FAN0         490     4300.63 SH       SOLE       1           4300.63         0      0
INC COM USD0.01
VERTEX PHARMACEUTICALS     CMN            92532F100         835       18772 SH       SOLE       2             18772         0      0
INC COM USD0.01
VF CORP COM NPV            CMN            918204108         348        2861 SH       SOLE       2              2861         0      0
VIACOM INC NEW CL'B'       CMN            92553P201         514       13266 SH       DEFINED    1                 0     13266      0
NON-VTG USD0.001
VIACOM INC NEW CL'B'       CMN            92553P201          96        2490 SH       DEFINED    2                 0      2490      0
NON-VTG USD0.001
VIDEOLAN TECHNOLOGIES INC  CMN            926919309           0         125 SH       SOLE       1               125         0      0
COM NEW
VIRGIN MEDIA INC COM STK   CNV            92769LAB7       98001   651821.01 SH       SOLE       1         651821.01         0      0
USD0.01
VIRGIN MEDIA INC COM STK   CMN            92769L101        1112       45647 SH       SOLE       2             45647         0      0
USD0.01
VISA INC USD0.0001         CMN            92826C839         357        4161 SH       SOLE       2              4161         0      0
VISHAY INTERTECHNOLOGY     CMN            928298108          24        2924 SH       DEFINED    1                 0      2924      0
INC COM USD0.10
VISHAY INTERTECHNOLOGY     CNV            928298AG3       12643   169709.94 SH       SOLE       1         169709.94         0      0
INC COM USD0.10
VISHAY INTERTECHNOLOGY     CMN            928298108          83        9915 SH       DEFINED    2                 0      9915      0
INC COM USD0.10
VISHAY PRECISION GROUP     CMN            9289990A0         115      467164 SH       SOLE       1            467164         0      0
INC COM NPV






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
VISHAY PRECISION GROUP     CMN            9289990B8           3      121698 SH       SOLE       1            121698         0      0
INC COM NPV
VMWARE INC-CLASS A COM     CMN            928563402         641        7976 SH       SOLE       2              7976         0      0
STK USD0.01 CLASS 'A'
VODAFONE GROUP PLC ORD     CMN            92857W209        2680      104440 SH       SOLE       2            104440         0      0
USD0.11428571
WALGREEN CO COM            CMN            931422109         844       25649 SH       DEFINED    2                 0     25649      0
USD0.078125
WALGREEN CO COM            CMN            931422109        1199       36446 SH       DEFINED    2                 0     36446      0
USD0.078125
WAL-MART STORES INC COM    CMN            931142103        1959       37752 SH       SOLE       2             37752         0      0
USD0.10
WALT DISNEY CO/THE DISNEY  CMN            254687106        1203       39882 SH       DEFINED    1                 0     39882      0
COM USD0.01
WALT DISNEY CO/THE DISNEY  CMN            254687106         840       27845 SH       DEFINED    2                 0     27845      0
COM USD0.01
WALTER ENERGY INC COM      CMN            93317Q105         151        2508 SH       DEFINED    1                 0      2508      0
CAD0.01
WALTER ENERGY INC COM      CMN            93317Q105         704       11737 SH       DEFINED    2                 0     11737      0
USD0.01
WARNER CHILCOTT PLC COM    CMN            G94368100         788       55092 SH       SOLE       2             55092         0      0
STK USD0.01 CLASS 'A'
WASTE MANAGEMENT INC COM   CMN            94106L109         530       16282 SH       SOLE       2             16282         0      0
USD0.01
WATSON PHARMACEUTICALS     CMN            942683103         414        6068 SH       SOLE       2              6068         0      0
INC COM USD0.0033
WEATHERFORD INTERNATIONAL  CMN            H27013103         292       23951 SH       SOLE       2             23951         0      0
LTD COM USD1
WEBLINK WIRELESS INC CL A  CMN            94769A101           0        1000 SH       SOLE       1              1000         0      0
WELLPOINT INC COM USD0.01  CMN            94973V107         386        5914 SH       SOLE       2              5914         0      0
WELLS FARGO & CO COM USD1  CMN            949746101         188        7778 SH       DEFINED    1                 0      7778      0
2/3
WELLS FARGO & CO COM USD1  CMN            949746101         567       23528 SH       DEFINED    2                 0     23528      0
2/3
WELLS FARGO & CO COM USD1  CMN            949746101        2152       89233 SH       DEFINED    2                 0     89233      0
2/3
WENDT-BRISTOL HEALTH SVCS  CMN            95058J109           0         137 SH       SOLE       1               137         0      0
CORP COM
WESTERN DIGITAL CORP COM   CMN            958102105         266       10331 SH       SOLE       2             10331         0      0
USD0.01
WESTERN REFINING INC COM   CNV            959319AC8       74518   550555.55 SH       SOLE       1            550556         0      0
STK USD0.01
WESTERN UNION COMP COM     CMN            959802109          31        2018 SH       DEFINED    1                 0      2018      0
STK USD0.01
WESTERN UNION COMP COM     CMN            959802109         380       24844 SH       DEFINED    2                 0     24844      0
STK USD0.01
WHITEHALL ENTERPRISES INC  CMN            965042104           0       28000 SH       SOLE       1             28000         0      0
USD0.0001
WHOLE FOODS MARKET INC     CMN            966837106         131        2000 SH       DEFINED    2                 0      2000      0
COM NPV
WHOLE FOODS MARKET INC     CMN            966837106         459        7029 SH       DEFINED    2                 0      7029      0
COM NPV
WILLIAMS COS INC COM USD1  CMN            969457100         757       31114 SH       SOLE       2             31114         0      0
WILLIAMS-SONOMA INC COM    CMN            969904101          31        1007 SH       DEFINED    1                 0      1007      0
USD0.01
WILLIAMS-SONOMA INC COM    CMN            969904101         359       11664 SH       DEFINED    2                 0     11664      0
USD0.01
WINSTAR COMMUNICATIONS     CMN            975515107           0         382 SH       SOLE       1               382         0      0
INC COM
WINTRUST FINL CORP 7.5%    CNV            97650W207        4880      113155 SH       SOLE       1            113155         0      0
MAND CONV PREF






                                                  FORM 13F INFORMATION TABLE

         COLUMN 1             COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
-------------------------- -------------- --------- ----------- -------------------- ---------- -------- ---------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
      NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)     PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE     SHARED    NONE
-------------------------- -------------- --------- ----------- ----------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
WISCONSIN ENERGY CORP COM  CMN            976657106         231        7394 SH       SOLE       2              7394         0      0
USD0.01
WISDOMTREE INDIA EARNINGS  CMN            97717W422         194       10697 SH       SOLE       2             10697         0      0
FUND INDIA EARNINGS FUND
WORLDCOM INC GA NEW        CMN            98157D106           0          12 SH       SOLE       1                12         0      0
WRLDCOM GP COM
WORLDCOM INC-MCI    GROUP  CMN            98157D304           0          13 SH       SOLE       1                13         0      0
WRIGHT MEDICAL GROUP INC   CNV            98235TAA5         234      2756.5 SH       SOLE       1            2756.5         0      0
COM USD0.01
WW GRAINGER INC COM STK    CMN            384802104          32         216 SH       DEFINED    1                 0       216      0
USD0.50
WW GRAINGER INC COM STK    CMN            384802104         236        1575 SH       DEFINED    2                 0      1575      0
USD0.50
WYNDHAM WORLDWIDE CORP     CMN            98310W108        9990      350394 SH       DEFINED    2                 0    350394      0
COM STK USD0.01
WYNDHAM WORLDWIDE CORP     CMN            98310W108         195        6846 SH       DEFINED    2                 0      6846      0
COM STK USD0.01
WYNN RESORTS LTD COM       CMN            983134107         406        3528 SH       DEFINED    1                 0      3528      0
USD0.01
WYNN RESORTS LTD COM       CMN            983134107        3287       28566 SH       DEFINED    2                 0     28566      0
USD0.01
XEROX CORP COM USD1        CMN            984121103         213       30560 SH       SOLE       2             30560         0      0
XILINX INC COM USD0.01     CNV            983919AD3       67276   675797.14 SH       SOLE       1         675797.14         0      0
XILINX INC COM USD0.01     CMN            983919101         324       11798 SH       SOLE       2             11798         0      0
XINYUAN REAL ESTATE CO     CMN            98417P105        2828     1579709 SH       SOLE       2           1579709         0      0
L-ADR ADR EACH REPR
XL GROUP PLC CLASS'A'COM   CMN            G98290102         195       10365 SH       SOLE       2             10365         0      0
USD0.01
XO COMMUNICATIONS INC CL   CMN            983764101           0         336 SH       SOLE       1               336         0      0
A
YAHOO INC COM USD0.001     CMN            984332106        6839      519317 SH       DEFINED    1                 0    519317      0
YAHOO INC COM USD0.001     CMN            984332106      133676    10150058 SH       DEFINED    2                 0  10150058      0
YAHOO INC COM USD0.001     CMN            984332106        2155      163612 SH       DEFINED    2                 0    163612      0
YAMANA GOLD INC COM NPV    CMN            98462Y100         479       35076 SH       SOLE       2             35076         0      0
YANDEX NV COM NPV          CMN            N97284108         457       22359 SH       SOLE       2             22359         0      0
YINGLI GREEN ENERG ADR     CMN            98584B103         473      152688 SH       SOLE       2            152688         0      0
EACH REP 1 ORD SHS
YUM! BRANDS INC COM NPV    CMN            988498101         821       16613 SH       DEFINED    1                 0     16613      0
YUM! BRANDS INC COM NPV    CMN            988498101        1527       30920 SH       DEFINED    2                 0     30920      0
ZAGG INC COM USD0.001      CMN            98884U108         102       10310 SH       SOLE       2             10310         0      0
ZALICUS INC COM STK        CMN            98887C105          52       53100 SH       SOLE       2             53100         0      0
USD0.001
ZIMMER HOLDINGS INC COM    CMN            98956P102         533        9968 SH       SOLE       2              9968         0      0
USD0.01
ZIONS BANCORPORATION COM   CMN            989701107         176       12504 SH       SOLE       2             12504         0      0
NPV