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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  June 30, 2008

Check here if Amendment [x ]:  Amendment Number:  _1__
  This Amendment (Check only one.):         [x ] is a restatement.
                                            [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:       Invesco Ltd.
Address:    Two Peachtree Pointe
            1555 Peachtree Street NE, Suite 1800
            Atlanta, GA 30309
            United States


Form 13F File Number 28-11246

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

Person Signing this Report on Behalf of Reporting Manager:

Name:   Lisa Brinkley
Title:  Global Compliance Director
Phone:  404-479-2926

Signature, Place, and Date of Signing:

  /s/ Lisa Brinkley            Atlanta, GA           08/19/2008
  ----------------         -------------------       ----------
      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).)



                           FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           24

Form 13F Information Table Entry Total:      15,942

Form 13F Information Table Value Total:      $109,923,618
                                             (thousands)

List of Other Included Managers:


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

 No.     Form 13F File Number   Name

 A          028-11246   Invesco Ltd.
 1          028-11484   Invesco Aim Advisors, Inc.
 2          028-1983    Invesco Aim Capital Management, Inc.
 3          028-6137    AIM Funds Management, Inc.
 4                      Invesco Aim Private Asset Management, Inc.
 5                      Invesco National Trust Company
 6                      Invesco Hong Kong Limited
 7                      Invesco Asset Management Deutschland GmbH
 8          028-05683   Invesco Asset Management Limited
 9                      Invesco Asset Management, S.A.
10                      Invesco Asset Management Oesterreich GmbH
11          028-05685   Invesco Global Asset Management (N.A.), Inc.
12                      Invesco GT Management Company S.A.
13                      Invesco Management S.A.
14          028-00255   Invesco Institutional (N.A.), Inc.
15                      Invesco Maximum Income Management S.A.
16                      Invesco Private Capital, Inc.
17                      Invesco Senior Secured Management, Inc.
18                      Invesco Taiwan Limited
19                      Invesco Asset Management (Japan) Limited
20                      Invesco Asset Management Ireland Limited
21                      Invesco Kapitalanlagegesellschaft mbH
22          028-06467   Stein Roe Investment Counsel, Inc.
23          028-11936   Invesco PowerShares Capital Management LLC
24                      Invesco PowerShares Capital Management Ireland Limited






                                              Market
                             Title            Value
Security                      of              VALUE (in   Par   SH/ Put/  Investment         Voting   Voting    Voting
Description             Class     Cusip       thousands)  Value RN  Call  Discretion         Sole     Shared      None
----------             ------     -----       ----------  ----- --- ----  --------------         ------------------------------



                                                                                     

AAON INC                 COMMON   000360206   $   171        8,888    SH   DEFINED        23     8,888         0       -
AAON INC                 COMMON   000360206   $   217       11,250    SH   DEFINED         5    11,250         0       -
AAR CORP                 COMMON   000361105   $ 3,701      273,516    SH   DEFINED         1   273,516         0       -
AAR CORP                 COMMON   000361105   $ 2,146      158,621    SH   DEFINED         2    62,003         0    96,618
AAR CORP                 COMMON   000361105   $     8          590    SH   DEFINED        22       455         0       135
AAR CORP                 COMMON   000361105   $   503       37,144    SH   DEFINED        23    37,144         0       -
AAR CORP                 COMMON   000361105   $    14         1,000   SH   DEFINED         5       -           0     1,000
ABB LTD-SPON ADR         COMMON   000375204   $    39         1,187   SH   DEFINED        22       -           0     1,187
ABB LTD-SPON ADR         COMMON   000375204   $   556        17,125   SH   DEFINED        23    17,125         0       -
ABB LTD-SPON ADR         COMMON   000375204   $ 1,301        40,063   SH   DEFINED         4    40,063         0       -
ABB LTD-SPON ADR         COMMON   000375204   $   210         6,470   SH   DEFINED         5     1,570         0     4,900
ACCO BRANDS CORP         COMMON   00081T108   $    65         5,773   SH   DEFINED        22       -           0     5,773
ACCO BRANDS CORP         COMMON   00081T108   $   143        12,757   SH   DEFINED        23    12,757         0       -
AC MOORE ARTS & CRAFTS
INC                      COMMON   00086T103   $    38         5,441   SH   DEFINED        23     5,441         0       -
ADC TELECOMMUNICATIONS
INC                      COMMON   000886309   $ 5,308       359,400   SH   DEFINED        14   212,800         0   146,600
ADC TELECOMMUNICATIONS
INC                      COMMON   000886309   $     7           457   SH   DEFINED        22       -           0       457
ADC TELECOMMUNICATIONS
INC                      COMMON   000886309   $   483        32,692   SH   DEFINED        23    32,692         0       -
ADC TELECOMMUNICATIONS
INC                      COMMON   000886309   $     3           196   SH   DEFINED         5       196         0       -
ADC TELECOMMUNICATIONS
INC                      COMMON   000886309   $   849        57,500   SH   DEFINED      5,15    57,500         0       -
ABM INDUSTRIES
INC                      COMMON   000957100   $ 7,441       334,425   SH   DEFINED         1   334,425         0       -
ABM INDUSTRIES INC       COMMON   000957100   $ 4,318       194,054   SH   DEFINED         2    75,982         0   118,072
ABM INDUSTRIES INC       COMMON   000957100   $    22         1,000   SH   DEFINED        22       -           0     1,000
ABM INDUSTRIES INC       COMMON   000957100   $   361        16,217   SH   DEFINED        23    16,217         0       -
AEP INDUSTRIES INC       COMMON   001031103   $    35         2,031   SH   DEFINED        23     2,031         0       -
AFC ENTERPRISES          COMMON   00104Q107   $ 1,187       148,600   SH   DEFINED        14    90,400         0    58,200
AFC ENTERPRISES          COMMON   00104Q107   $   134        16,800   SH   DEFINED        23    16,800         0       -
AFC ENTERPRISES          COMMON   00104Q107   $   174        21,800   SH   DEFINED      5,15    21,800         0       -
AFLAC INC                COMMON   001055102   $ 5,137        81,800   SH   DEFINED         1    81,800         0       -
AFLAC INC                COMMON   001055102   $ 4,402        70,100   SH   DEFINED      1,15    70,100         0       -
AFLAC INC                COMMON   001055102   $   131         2,083   SH   DEFINED        11     2,083         0       -
AFLAC INC                COMMON   001055102   $     6           100   SH   DEFINED        13       100         0       -
AFLAC INC                COMMON   001055102   $ 7,842       124,880   SH   DEFINED        14    95,280         0    19,300
AFLAC INC                COMMON   001055102   $   138         2,200   SH   DEFINED     14,13       -           0     2,200
AFLAC INC                COMMON   001055102   $ 1,061        16,900   SH   DEFINED      14,7       -           0    16,900
AFLAC INC                COMMON   001055102   $     6           100   SH   DEFINED     20,14       -           0       -
AFLAC INC                COMMON   001055102   $16,295       259,467   SH   DEFINED        22    18,391         0   241,076
AFLAC INC                COMMON   001055102   $18,528       295,035   SH   DEFINED        23   295,035         0       -
AFLAC INC                COMMON   001055102   $   906        14,428   SH   DEFINED        24    14,428         0       -
AFLAC INC                COMMON   001055102   $ 1,449        23,075   SH   DEFINED         5     8,772         0    14,303
AFLAC INC                COMMON   001055102   $   333         5,300   SH   DEFINED      5,15     5,300         0       -
AFLAC INC                COMMON   001055102   $   924        14,713   SH   DEFINED         7    14,713         0       -
AFLAC INC                COMMON   001055102   $    75         1,200   SH   DEFINED      9,14       -           0     1,200
AGCO CORP                COMMON   001084102   $ 2,731        52,100   SH   DEFINED      1,15    52,100         0       -
AGCO CORP                COMMON   001084102   $38,160       728,113   SH   DEFINED        14   412,713         0   307,900
AGCO CORP                COMMON   001084102   $ 1,813        34,600   SH   DEFINED      14,7       -           0    34,600
AGCO CORP                COMMON   001084102   $ 3,469        66,189   SH   DEFINED        23    66,189         0       -
AGCO CORP                COMMON   001084102   $     4            84   SH   DEFINED        24        84         0       -
AGCO CORP                COMMON   001084102   $ 1,297        24,749   SH   DEFINED         5     5,448         0    19,301
AGCO CORP                COMMON   001084102   $   232         4,424   SH   DEFINED         7     4,424         0       -
AGL RESOURCES INC        COMMON   001204106   $12,034       348,000   SH   DEFINED         1   348,000         0       -
AGL RESOURCES INC        COMMON   001204106   $    52         1,500   SH   DEFINED        22       -           0     1,500
AGL RESOURCES INC        COMMON   001204106   $   306         8,841   SH   DEFINED        23     8,841         0       -
AGL RESOURCES INC        COMMON   001204106   $     5           147   SH   DEFINED        24       147         0       -
AGL RESOURCES INC        COMMON   001204106   $   170         4,920   SH   DEFINED         5     1,995         0     2,925
AH BELO CORP-A           COMMON   001282102   $    21         3,769   SH   DEFINED        22       -           0     3,769
AES CORPORATION          COMMON   00130H105   $    35         1,800   SH   DEFINED        14       300         0       -
AES CORPORATION          COMMON   00130H105   $    70         3,650   SH   DEFINED        22       -           0     3,650
AES CORPORATION          COMMON   00130H105   $ 1,505        78,325   SH   DEFINED        23    78,325         0       -
AES CORPORATION          COMMON   00130H105   $    28         1,434   SH   DEFINED        24     1,434         0       -
AES CORPORATION          COMMON   00130H105   $    75         3,930   SH   DEFINED         5     2,752         0     1,178
AES CORPORATION          COMMON   00130H105   $   175         9,131   SH   DEFINED         7     9,131         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $ 5,430        78,700   SH   DEFINED         1    78,700         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $   6,410      92,900   SH   DEFINED      1,15    92,900         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $     967      14,013   SH   DEFINED       1,9    14,013         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $      94       1,367   SH   DEFINED      10,7     1,367         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $     432       6,262   SH   DEFINED        11     6,262         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $     297       4,309   SH   DEFINED        13     4,309         0       -
AK STEEL HOLDING
CORP                     COMMON   001547108   $  43,696     633,272   SH   DEFINED        14   397,872         0   229,400
AK STEEL HOLDING
CORP                     COMMON   001547108   $   2,174      31,500   SH   DEFINED      14,7       -           0    31,500
AK STEEL HOLDING
CORP                     COMMON   001547108   $     363       5,265   SH   DEFINED        19     5,265       0         -
AK STEEL HOLDING CORP    COMMON   001547108   $      28         400   SH   DEFINED     20,14         -       0         -
AK STEEL HOLDING CORP    COMMON   001547108   $     152       2,209   SH   DEFINED        21       2,209     0         -
AK STEEL HOLDING CORP    COMMON   001547108   $  26,872     389,456   SH   DEFINED        23     389,456     0         -
AK STEEL HOLDING CORP    COMMON   001547108   $   1,510      21,877   SH   DEFINED        24      21,877     0         -
AK STEEL HOLDING CORP    COMMON   001547108   $   1,015      14,708   SH   DEFINED         7      14,708     0         -
AK STEEL HOLDING CORP    COMMON   001547108   $   4,402      63,791   SH   DEFINED         8      63,791     0         -
AK STEEL HOLDING CORP    COMMON   001547108   $     179       2,600   SH   DEFINED      8,20        2,600    0         -
AK STEEL HOLDING CORP    COMMON   001547108   $     454       6,580   SH   DEFINED         9       6,580     0         -
AMB PROPERTY CORP        COMMON   00163T109   $  24,570     487,700   SH   DEFINED      1,15      487,700    0         -
AMB PROPERTY CORP        COMMON   00163T109   $     554      11,000   SH   DEFINED     10,14      11,000     0         -
AMB PROPERTY CORP        COMMON   00163T109   $ 101,916   2,022,951   SH   DEFINED        14   1,163,501     0     762,850
AMB PROPERTY CORP        COMMON   00163T109   $     297       5,900   SH   DEFINED     14,13         -       0       5,900
AMB PROPERTY CORP        COMMON   00163T109   $     423       8,400   SH   DEFINED      14,7          -      0       8,400
AMB PROPERTY CORP        COMMON   00163T109   $   1,300      25,800   SH   DEFINED     18,14      25,800     0         -
AMB PROPERTY CORP        COMMON   00163T109   $     398       7,900   SH   DEFINED     19,14       7,900     0         -
AMB PROPERTY CORP        COMMON   00163T109   $   3,275      65,000   SH   DEFINED      2,15      65,000     0         -
AMB PROPERTY CORP        COMMON   00163T109   $     300       5,949   SH   DEFINED        23       5,949     0         -
AMB PROPERTY CORP        COMMON   00163T109   $       5         109   SH   DEFINED        24         109     0         -
AMB PROPERTY CORP        COMMON   00163T109   $     438       8,700   SH   DEFINED      3,15        4,100     0       4,600
AMB PROPERTY CORP        COMMON   00163T109   $   6,620     131,400   SH   DEFINED      5,15      131,400     0         -
AMB PROPERTY CORP        COMMON   00163T109   $      65       1,300   SH   DEFINED      6,14        1,300     0         -
AMB PROPERTY CORP        COMMON   00163T109   $     148       2,934   SH   DEFINED         7       2,934     0         -
AMB PROPERTY CORP        COMMON   00163T109   $   3,527      70,000   SH   DEFINED      8,14       46,600     0      23,400
AMB PROPERTY CORP        COMMON   00163T109   $     161       3,200   SH   DEFINED      9,14          -       0       3,200
AMAG PHARMACEUTICALS
INC                      COMMON   00163U106   $  19,459     570,646   SH   DEFINED         1     570,646     0         -
AMAG PHARMACEUTICALS
INC                      COMMON   00163U106   $      84       2,470   SH   DEFINED        14         -       0         -
AMAG PHARMACEUTICALS
INC                      COMMON   00163U106   $      51       1,500   SH   DEFINED        17       1,500     0         -
AMAG PHARMACEUTICALS
INC                      COMMON   00163U106   $   5,877     172,352   SH   DEFINED         2     140,671     0      31,681
AMAG PHARMACEUTICALS
INC                      COMMON   00163U106   $     916      26,857   SH   DEFINED      20,2         -       0      26,857
AMAG PHARMACEUTICALS
INC                      COMMON   00163U106   $       5         147   SH   DEFINED        23         147     0         -
AMICAS INC               COMMON   001712108   $       1         392   SH   DEFINED        23         392     0         -
AMN HEALTHCARE SERVICE   COMMON   001744101   $   6,105     360,800   SH   DEFINED       1,3     360,800     0         -
AMN HEALTHCARE SERVICE   COMMON   001744101   $   1,186      70,100   SH   DEFINED        14      46,300     0      23,800
AMN HEALTHCARE SERVICE   COMMON   001744101   $   2,329     137,629   SH   DEFINED        23     137,629     0         -
AMN HEALTHCARE SERVICE   COMMON   001744101   $  29,649   1,752,300   SH   DEFINED         3   1,752,300     0         -
AMN HEALTHCARE SERVICE   COMMON   001744101   $     205      12,100   SH   DEFINED      5,15      12,100     0         -
AMR CORP/DEL             COMMON   001765106   $      17       3,400   SH   DEFINED        13       3,400     0         -
AMR CORP/DEL             COMMON   001765106   $   8,941   1,746,200   SH   DEFINED        14     679,400     0   1,056,600
AMR CORP/DEL             COMMON   001765106   $      79      15,400   SH   DEFINED      14,7         -       0      15,400
AMR CORP/DEL             COMMON   001765106   $      17       3,400   SH   DEFINED     20,14         -       0         -
AMR CORP/DEL             COMMON   001765106   $     297      58,052   SH   DEFINED        23      58,052     0         -
AMR CORP/DEL             COMMON   001765106   $       6       1,255   SH   DEFINED        24       1,255     0         -
AMR CORP/DEL             COMMON   001765106   $       1         204   SH   DEFINED         5         -       0         204
APP PHARMACEUTICALS INC  COMMON   00202H108   $      50       2,977   SH   DEFINED        23       2,977     0         -
AT&T INC                 COMMON   00206R102   $  43,382   1,287,688   SH   DEFINED         1   1,287,688     0         -
AT&T INC                 COMMON   00206R102   $  11,306     335,600   SH   DEFINED      1,15     335,600     0         -
AT&T INC                 COMMON   00206R102   $   1,492      44,300   SH   DEFINED     10,14      44,300     0         -
AT&T INC                 COMMON   00206R102   $     588      17,444   SH   DEFINED        11      17,444     0         -
AT&T INC                 COMMON   00206R102   $  54,321   1,612,367   SH   DEFINED        14   1,204,167     0     354,000
AT&T INC                 COMMON   00206R102   $     707      21,000   SH   DEFINED     14,13         -       0      21,000

AT&T INC                 COMMON   00206R102   $   7,988     237,100   SH   DEFINED      14,7         -       0     237,100
AT&T INC                 COMMON   00206R102   $   1,021      30,300   SH   DEFINED     20,14         -       0         -
AT&T INC                 COMMON   00206R102   $   5,753     170,758   SH   DEFINED      20,2     170,758     0         -
AT&T INC                 COMMON   00206R102   $  22,261     660,766   SH   DEFINED        22     164,400     0     496,366
AT&T INC                 COMMON   00206R102   $  23,711     703,805   SH   DEFINED        23     703,805     0         -
AT&T INC                 COMMON   00206R102   $     265       7,862   SH   DEFINED        24       7,862     0         -
AT&T INC                 COMMON   00206R102   $   4,861     144,300   SH   DEFINED         3     144,300     0         -
AT&T INC                 COMMON   00206R102   $       5         134   SH   DEFINED         4         134     0         -
AT&T INC                 COMMON   00206R102   $  13,206     391,985   SH   DEFINED         5     283,207     0     108,778
AT&T INC                 COMMON   00206R102   $   1,587      47,100   SH   DEFINED      5,15      47,100     0         -
AT&T INC                 COMMON   00206R102   $   1,230      36,502   SH   DEFINED         6      36,502     0         -
AT&T INC                 COMMON   00206R102   $   4,812     142,840   SH   DEFINED         7     142,840     0         -
AT&T INC                 COMMON   00206R102   $  32,667     969,628   SH   DEFINED         8     969,628     0         -
AT&T INC                 COMMON   00206R102   $   5,030     149,300   SH   DEFINED      8,14     149,300     0         -
AT&T INC                 COMMON   00206R102   $     381      11,300   SH   DEFINED      9,14         -       0     11,300
ATMI INC                 COMMON   00207R101   $   7,409     265,359   SH   DEFINED         1     265,359     0         -
ATMI INC                 COMMON   00207R101   $   4,256     152,433   SH   DEFINED         2      59,771     0     92,662
ATMI INC                 COMMON   00207R101   $   2,337      83,721   SH   DEFINED        23      83,721     0         -
ATP OIL & GAS
CORPORATION              COMMON   00208J108   $      47       1,188   SH   DEFINED        23       1,188     0         -
DAMPSKIBSSELSKABET
TORM-ADR                 COMMON   00208W109   $       2          63   SH   DEFINED        23          63     0         -
DAMPSKIBSSELSKABET
TORM-ADR                 COMMON   00208W109   $      23         700   SH   DEFINED         5           -     0       700
ATC TECHNOLOGY CORP      COMMON   00211W104   $   6,588     283,000   SH   DEFINED        14     211,700     0    71,300
ATC TECHNOLOGY CORP      COMMON   00211W104   $   1,064      45,684   SH   DEFINED        23      45,684     0         -
ATC TECHNOLOGY CORP      COMMON   00211W104   $     931      40,000   SH   DEFINED      5,15      40,000     0         -
ATC TECHNOLOGY CORP      COMMON   00211W104   $     615      26,400   SH   DEFINED         8      26,400     0         -
ATC TECHNOLOGY CORP      COMMON   00211W104   $     170       7,300   SH   DEFINED      8,20       7,300     0         -
AU OPTRONICS CORP ADR    COMMON   002255107   $     811      51,185   SH   DEFINED      1,12      51,185     0         -
AU OPTRONICS CORP ADR    COMMON   002255107   $  18,279   1,153,950   SH   DEFINED        11   1,018,885     0     135,065
AU OPTRONICS CORP ADR    COMMON   002255107   $   2,480     156,553   SH   DEFINED        14     156,553     0         -
AU OPTRONICS CORP ADR    COMMON   002255107   $   3,100     195,690   SH   DEFINED        23     195,690     0         -
AU OPTRONICS CORP ADR    COMMON   002255107   $   6,162     389,000   SH   DEFINED      5,12     389,000     0         -
AVI BIOPHARMA INC        COMMON   002346104   $       1         564   SH   DEFINED        23         564     0         -
AVX CORP                 COMMON   002444107   $       6         500   SH   DEFINED        14         500     0         -
AVX CORP                 COMMON   002444107   $      54       4,792   SH   DEFINED        23       4,792     0         -
AVX CORP                 COMMON   002444107   $       1          88   SH   DEFINED        24          88     0         -
AVX CORP                 COMMON   002444107   $       4         366   SH   DEFINED         5         -       0         366
AZZ INC                  COMMON   002474104   $     251       6,294   SH   DEFINED        23       6,294     0         -
AARON RENTS INC          COMMON   002535201   $   1,226      54,909   SH   DEFINED        23      54,909     0         -
AARON RENTS INC          COMMON   002535201   $     201       9,022   SH   DEFINED         5       9,022     0         -
AARON RENTS INC-CL A     COMMON   002535300   $     100       5,230   SH   DEFINED         5       5,230     0         -
AASTROM BIOSCIENCES INC  COMMON   00253U107       $ -         1,162   SH   DEFINED        23       1,162     0         -
ABAXIS INC               COMMON   002567105   $       5         190   SH   DEFINED        23         190     0         -
ABBOTT LABORATORIES      COMMON   002824100   $   7,724     145,817   SH   DEFINED         1     145,817     0         -
ABBOTT LABORATORIES      COMMON   002824100   $     174       3,290   SH   DEFINED        14       1,500     0         490
ABBOTT LABORATORIES      COMMON   002824100   $     101       1,900   SH   DEFINED      14,7         -       0       1,900
ABBOTT LABORATORIES      COMMON   002824100   $  68,667   1,296,335   SH   DEFINED        22     216,352     0   1,079,983
ABBOTT LABORATORIES      COMMON   002824100   $  13,343     251,895   SH   DEFINED        23     251,895     0         -
ABBOTT LABORATORIES      COMMON   002824100   $      77       1,462   SH   DEFINED        24       1,462     0         -
ABBOTT LABORATORIES      COMMON   002824100   $  25,945     489,807   SH   DEFINED         5     407,840     0      81,967
ABBOTT LABORATORIES      COMMON   002824100   $   1,580      29,820   SH   DEFINED         7      29,820     0         -
ABBOTT LABORATORIES      COMMON   002824100   $   3,311      62,510   SH   DEFINED         8      62,510     0         -
HARRY WINSTON DIAMOND
CORP                     COMMON   002893105   $   8,626     300,000   SH   DEFINED         1     300,000     0         -
HARRY WINSTON DIAMOND
CORP                     COMMON   002893105   $      17         587   SH   DEFINED        23         587     0         -
HARRY WINSTON DIAMOND
CORP                     COMMON   002893105   $ 163,326   5,680,000   SH   DEFINED         3   5,680,000     0         -
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $  31,999     510,515   SH   DEFINED         1     510,515     0         -
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $   1,841      29,366   SH   DEFINED      13,2         -       0      29,366
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $   2,039      32,536   SH   DEFINED        22      29,048     0       3,488
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $     188       2,995   SH   DEFINED        23       2,995     0         -
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $       4          56   SH   DEFINED        24          56     0         -
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $   1,191      19,006   SH   DEFINED         5      14,010     0       4,996
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $      99       1,577   SH   DEFINED         7       1,577     0         -
ABERCROMBIE & FITCH CO
CL A                     COMMON   002896207   $     487       7,774   SH   DEFINED         8       7,774     0         -
ABERDEEN ASIA-PAC
INCOME FD CE             COMMON   003009107   $      26       4,043   SH   DEFINED        22         -       0       4,043
ABERDEEN ASIA-PAC
INCOME FD CE             COMMON   003009107   $     610      96,190   SH   DEFINED        23      96,190     0         -
ABINGTON BANCORP INC     COMMON   00350L109   $       2         214   SH   DEFINED        23         214     0         -
ABIOMED INC              COMMON   003654100   $       5         286   SH   DEFINED        23         286     0         -
ABIOMED INC              COMMON   003654100   $       2         130   SH   DEFINED         5         130     0         -
ABITIBIBOWATER INC       COMMON   003687100   $     297      31,886   SH   DEFINED        23      31,886     0         -
ABITIBIBOWATER INC       COMMON   003687100   $       4         377   SH   DEFINED        24         377     0         -
ABITIBIBOWATER INC       COMMON   003687100   $     -            21   SH   DEFINED         5         -       0          21
ABRAXAS PETROLEUM
CORP (NEV)               COMMON   003830106   $     329      60,900   SH   DEFINED        14      30,300     0      30,600
ABRAXAS PETROLEUM
CORP (NEV)               COMMON   003830106   $      49       9,000   SH   DEFINED      5,15       9,000     0         -
ACACIA RESEARCH -
ACACIA TEC               COMMON   003881307   $       1         262   SH   DEFINED        23         262     0         -
ACADIA PHARMACEUTICALS
INC                      COMMON   004225108   $   1,658     449,409   SH   DEFINED         1     449,409     0         -
ACADIA PHARMACEUTICALS
INC                      COMMON   004225108   $     158      42,883   SH   DEFINED         2      42,883     0         -
ACADIA PHARMACEUTICALS
INC                      COMMON   004225108   $     221      60,023   SH   DEFINED     20,2            -     0      60,023
ACADIA PHARMACEUTICALS
INC                      COMMON   004225108   $      92      25,029   SH   DEFINED       23       25,029     0         -
ACADIA REALTY TRUST      COMMON   004239109   $     539      23,300   SH   DEFINED       14       23,300     0         -
ACADIA REALTY TRUST      COMMON   004239109   $      69       2,988   SH   DEFINED       23        2,988     0         -
ACCELRYS INC             COMMON   00430U103   $   3,503     725,231   SH   DEFINED       23      725,231     0         -
ACCESS INTEGRATED
TECHNOLO-A               COMMON   004329108   $      -          168   SH   DEFINED       23          168     0         -
ACCURIDE CORP            COMMON   004398103   $      43      10,000   SH   DEFINED       22       10,000     0         -
ACCURIDE CORP            COMMON   004398103   $      55      12,859   SH   DEFINED       23       12,859     0         -
ACCURIDE CORP            COMMON   004398103   $      43      10,000   SH   DEFINED        5         -        0      10,000
ACERGY SA-SPON ADR       COMMON   00443E104   $      85       3,286   SH   DEFINED       23        3,286     0         -
ACERGY SA-SPON ADR       COMMON   00443E104   $      26       1,000   SH   DEFINED        5         -        0       1,000
ACETO CORP               COMMON   004446100   $     285      37,327   SH   DEFINED       23       37,327     0         -
ACI WORLDWIDE INC        COMMON   004498101   $   2,333     132,643   SH   DEFINED       14         -        0     127,584
ACI WORLDWIDE INC        COMMON   004498101   $      68       3,875   SH   DEFINED       23        3,875     0         -
ACME PACKET INC          COMMON   004764106   $     283      36,445   SH   DEFINED       23       36,445     0         -
ACORDA THERAPEUTICS INC  COMMON   00484M106   $      45       1,380   SH   DEFINED       22         -        0       1,380
ACORDA THERAPEUTICS INC  COMMON   00484M106   $       9         279   SH   DEFINED       23          279     0         -
ACORN INTERNATIONAL
INC-ADR                  COMMON   004854105   $     496      71,219   SH   DEFINED       23       71,219     0         -
ACTIVISION INC           COMMON   004930202   $  37,476   1,099,961   SH   DEFINED        1    1,099,961     0         -
ACTIVISION INC           COMMON   004930202   $   1,540      45,200   SH   DEFINED       17       45,200     0         -
ACTIVISION INC           COMMON   004930202   $   3,520     103,320   SH   DEFINED     20,2      103,320     0         -
ACTIVISION INC           COMMON   004930202   $      27         784   SH   DEFINED       22         -        0         784
ACTIVISION INC           COMMON   004930202   $  20,834     611,499   SH   DEFINED       23      611,499     0         -
ACTIVISION INC           COMMON   004930202   $   2,488      73,028   SH   DEFINED       24       73,028     0         -
ACTIVISION INC           COMMON   004930202   $   1,878      55,127   SH   DEFINED        5       11,709     0      43,418
ACTIVISION INC           COMMON   004930202   $     108       3,161   SH   DEFINED        7        3,161     0       -
ACTEL CORP               COMMON   004934105   $       5         272   SH   DEFINED       22          -       0       272
ACTEL CORP               COMMON   004934105   $   3,899     231,404   SH   DEFINED       23      231,404     0       -
ACTIVE POWER INC         COMMON   00504W100   $       1         528   SH   DEFINED       23          528     0       -
ACTIVIDENTITY CORP       COMMON   00506P103   $       1         399   SH   DEFINED       23          399     0       -
ACTIONS SEMICONDUCTOR
CO-ADR                   COMMON   00507E107   $     688     199,483   SH   DEFINED       23      199,483     0       -
ACTUATE CORPORATION      COMMON   00508B102   $     706     180,500   SH   DEFINED       14      112,300     0    68,200
ACTUATE CORPORATION      COMMON   00508B102   $       2         533   SH   DEFINED       23          533     0       -
ACTUATE CORPORATION      COMMON   00508B102   $     113      28,800   SH   DEFINED     5,15       28,800     0       -
ACTUANT CORP CL A        COMMON   00508X203   $   2,461      78,500   SH   DEFINED       14       44,700     0    33,800
ACTUANT CORP CL A        COMMON   00508X203   $     153       4,880   SH   DEFINED       23        4,880     0       -
ACTUANT CORP CL A        COMMON   00508X203   $     326      10,400   SH   DEFINED     5,15       10,400     0       -
ACTUANT CORP CL A        COMMON   00508X203   $     245       7,800   SH   DEFINED        8        7,800     0       -
ACTUANT CORP CL A        COMMON   00508X203   $      66       2,100   SH   DEFINED     8,20        2,100     0       -
ACUITY BRANDS INC        COMMON   00508Y102   $  18,566     386,150   SH   DEFINED       14      201,750     0   182,800
ACUITY BRANDS INC        COMMON   00508Y102   $     838      17,433   SH   DEFINED       23       17,433     0       -
ACUITY BRANDS INC        COMMON   00508Y102   $       3          58   SH   DEFINED       24           58     0       -
ACUITY BRANDS INC        COMMON   00508Y102   $     581      12,082   SH   DEFINED        5       11,757     0       325
ACUITY BRANDS INC        COMMON   00508Y102   $   1,188      24,700   SH   DEFINED     5,15       24,700     0       -
ACUITY BRANDS INC        COMMON   00508Y102   $     702      14,600   SH   DEFINED        8       14,600     0       -
ACUITY BRANDS INC        COMMON   00508Y102   $     192       4,000   SH   DEFINED     8,20        4,000     0       -
ACXIOM CORP              COMMON   005125109   $      31       2,700   SH   DEFINED       14        2,700     0       -
ACXIOM CORP              COMMON   005125109   $     176      15,334   SH   DEFINED       23       15,334     0       -
ADAMS EXPRESS COMPANY
CF                       COMMON   006212104   $       1          64   SH   DEFINED       22            -     0        64
ADAMS RESOURCES & ENERGY
 INC                     COMMON   006351308   $      75       2,202   SH   DEFINED       23         2,202    0       -
ADAPTEC INC              COMMON   00651F108   $     302      94,400   SH   DEFINED       14        94,400    0       -
ADAPTEC INC              COMMON   00651F108   $     330     102,983   SH   DEFINED       23       102,983    0       -
ADAPTEC INC              COMMON   00651F108   $      50      15,500   SH   DEFINED     5,15        15,500    0       -
ADAPTEC INC              COMMON   00651F108   $      55      17,300   SH   DEFINED        8        17,300    0       -
ADAPTEC INC              COMMON   00651F108   $      16       5,000   SH   DEFINED     8,20         5,000    0       -
ADMINISTAFF INC          COMMON   007094105   $  35,300   1,265,698   SH   DEFINED        1     1,265,698    0       -
ADMINISTAFF INC          COMMON   007094105   $       1          40   SH   DEFINED       22           -      0        40
ADMINISTAFF INC          COMMON   007094105   $   1,157      41,479   SH   DEFINED       23        41,479    0       -
ADOBE SYSTEMS INC        COMMON   00724F101   $ 162,503   4,125,498   SH   DEFINED        1     4,125,498    0       -
ADOBE SYSTEMS INC        COMMON   00724F101   $   3,195      81,100   SH   DEFINED       14        46,700    0    30,100
ADOBE SYSTEMS INC        COMMON   00724F101   $     804      20,400   SH   DEFINED     14,7           -      0    20,400
ADOBE SYSTEMS INC        COMMON   00724F101   $   1,773      45,000   SH   DEFINED       17        45,000    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $  13,905     353,021   SH   DEFINED        2       353,021    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $   3,556      90,284   SH   DEFINED     20,2        90,284    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $   2,191      55,634   SH   DEFINED       22           600    0    55,034
ADOBE SYSTEMS INC        COMMON   00724F101   $  11,176     283,733   SH   DEFINED       23       283,733    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $   5,652     143,485   SH   DEFINED       24       143,485    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $   9,095     230,893   SH   DEFINED        3       230,893    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $   2,518      63,928   SH   DEFINED        5        20,140    0    43,788
ADOBE SYSTEMS INC        COMMON   00724F101   $     371       9,426   SH   DEFINED        7         9,426    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $     620      15,737   SH   DEFINED        8        15,737    0        -
ADOBE SYSTEMS INC        COMMON   00724F101   $     337       8,565   SH   DEFINED      8,2         8,565    0        -
ADOLOR CORPORATION       COMMON   00724X102   $       2         402   SH   DEFINED       23           402    0        -
ADTRAN INC               COMMON   00738A106   $  19,290     809,150   SH   DEFINED       14       388,050    0   416,000
ADTRAN INC               COMMON   00738A106   $     217       9,100   SH   DEFINED     14,7          -       0     9,100
ADTRAN INC               COMMON   00738A106   $   1,778      74,580   SH   DEFINED        23       74,580    0         -
ADTRAN INC               COMMON   00738A106   $     653      27,400   SH   DEFINED      5,15       27,400    0         -
ADTRAN INC               COMMON   00738A106   $   1,442      60,497   SH   DEFINED         8       60,497    0         -
ADTRAN INC               COMMON   00738A106   $     181       7,600   SH   DEFINED      8,20        7,600    0         -
ADVANCE AMERICA CASH
ADVANCE                  COMMON   00739W107   $     259      50,900   SH   DEFINED        14       50,900    0         -
ADVANCE AMERICA CASH
ADVANCE                  COMMON   00739W107   $      67      13,140   SH   DEFINED        23       13,140    0         -
ADVANCE AMERICA CASH
ADVANCE                  COMMON   00739W107   $      56      11,000   SH   DEFINED      5,15       11,000    0         -
ADVANCE AUTO PARTS       COMMON   00751Y106   $  10,558     271,908   SH   DEFINED        22      179,696    0     92,212
ADVANCE AUTO PARTS       COMMON   00751Y106   $   3,479      89,602   SH   DEFINED        23       89,602    0         -
ADVANCE AUTO PARTS       COMMON   00751Y106   $     142       3,663   SH   DEFINED        24        3,663    0         -
ADVANCE AUTO PARTS       COMMON   00751Y106   $   7,333     188,860   SH   DEFINED         5      162,768    0     26,092
ADVANCED ANALOGIC
TECHNOLOGI               COMMON   00752J108   $     166      40,213   SH   DEFINED        23       40,213    0         -
ADVANCED SEMICONDUCTOR
ADR                      COMMON   00756M404   $     520     116,837   SH   DEFINED        23      116,837    0         -
ADVISORY BOARD CO/ THE   COMMON   00762W107   $   6,475     164,630   SH   DEFINED         1      164,630    0         -
ADVISORY BOARD CO/ THE   COMMON   00762W107   $   5,005     127,250   SH   DEFINED         2      127,250    0         -
ADVISORY BOARD CO/ THE   COMMON   00762W107   $   1,416      36,006   SH   DEFINED        23       36,006    0         -
ADVANCED MEDICAL OPTICS  COMMON   00763M108   $   2,285     121,945   SH   DEFINED         1      121,945    0         -
ADVANCED MEDICAL OPTICS  COMMON   00763M108   $      15         800   SH   DEFINED        14          800    0         -
ADVANCED MEDICAL OPTICS  COMMON   00763M108   $      37       2,000   SH   DEFINED        22         -       0      2,000
ADVANCED MEDICAL OPTICS  COMMON   00763M108   $     141       7,543   SH   DEFINED        23        7,543    0         -
ADVANCED MEDICAL OPTICS  COMMON   00763M108   $       1          66   SH   DEFINED         5           66    0         -
ADVENT CLAYMORE CVT SEC&
INC C                    COMMON   00764C109   $      36       1,500   SH   DEFINED        22         -       0      1,500
AECOM TECHNOLOGY CORP    COMMON   00766T100   $ 106,658   3,278,746   SH   DEFINED        23    3,278,746    0         -
AECOM TECHNOLOGY CORP    COMMON   00766T100   $       5         156   SH   DEFINED        24          156    0         -
AEROPOSTALE INC          COMMON   007865108   $  59,544   1,900,532   SH   DEFINED         1    1,900,532    0         -
AEROPOSTALE INC          COMMON    007865108  $   1,548      49,400   SH   DEFINED      1,15      49,400     0         -
AEROPOSTALE INC          COMMON    007865108  $   3,073      98,081   SH   DEFINED       1,9      98,081     0         -
AEROPOSTALE INC          COMMON    007865108  $     138       4,401   SH   DEFINED      10,7       4,401     0         -
AEROPOSTALE INC          COMMON    007865108  $     191       6,082   SH   DEFINED        11       6,082     0         -
AEROPOSTALE INC          COMMON    007865108  $      46       1,453   SH   DEFINED        13       1,453     0         -
AEROPOSTALE INC          COMMON    007865108  $  51,741   1,651,497   SH   DEFINED        14     882,297     0     758,500
AEROPOSTALE INC          COMMON    007865108  $   1,209      38,600   SH   DEFINED      14,7         -       0      38,600
AEROPOSTALE INC          COMMON    007865108  $     281       8,962   SH   DEFINED        19       8,962     0         -
AEROPOSTALE INC          COMMON    007865108  $   4,360     139,174   SH   DEFINED         2       9,113     0     130,061
AEROPOSTALE INC          COMMON    007865108  $   1,083      34,557   SH   DEFINED        21      34,557     0         -
AEROPOSTALE INC          COMMON    007865108  $   6,755     215,604   SH   DEFINED        23     215,604     0         -
AEROPOSTALE INC          COMMON    007865108  $   1,444      46,100   SH   DEFINED      5,15      46,100     0         -
AEROPOSTALE INC          COMMON    007865108  $   1,309      41,782   SH   DEFINED         7      41,782     0         -
AEROPOSTALE INC          COMMON    007865108  $  18,289     583,759   SH   DEFINED         8     583,759     0         -
AEROPOSTALE INC          COMMON    007865108  $   1,347      43,001   SH   DEFINED         9      43,001     0         -
ADVANCED MICRO DEVICES   COMMON    007903107  $     545      93,525   SH   DEFINED        23      93,525     0         -
ADVANCED MICRO DEVICES   COMMON    007903107  $      11       1,932   SH   DEFINED        24       1,932     0         -
ADVANCED MICRO DEVICES   COMMON    007903107  $       2         384   SH   DEFINED         5         -       0         384
AEGON NV AMER REG SHR    COMMON    007924103  $  76,113   5,805,732   SH   DEFINED        11   5,775,762     0      29,970
AEGON NV AMER REG SHR    COMMON    007924103  $   2,200     167,831   SH   DEFINED        14     167,831     0         -
AEGON NV AMER REG SHR    COMMON    007924103  $     347      26,490   SH   DEFINED     19,14      26,490     0         -
AEGON NV AMER REG SHR    COMMON    007924103  $     267      20,344   SH   DEFINED        22         648     0      19,696
AEGON NV AMER REG SHR    COMMON    007924103  $       5         395   SH   DEFINED         4         395     0         -
AEGON NV AMER REG SHR    COMMON    007924103  $   1,103      84,140   SH   DEFINED         5      78,268     0       5,872
ADVANTA CORP CL A        COMMON    007942105  $      14       2,550   SH   DEFINED        23       2,550     0         -
ADVANTA CORP CL B        COMMON    007942204  $      56       8,883   SH   DEFINED        23       8,883     0         -
ADVANCED ENERGY
INDUSTRIES               COMMON    007973100   $      64       4,700   SH   DEFINED       14       4,700     0         -
ADVANCED ENERGY
INDUSTRIES               COMMON    007973100   $      59       4,342   SH   DEFINED       23       4,342     0         -
ADVENT SOFTWARE INC      COMMON    007974108   $   4,463     123,700   SH   DEFINED       14      73,500     0      50,200
ADVENT SOFTWARE INC      COMMON    007974108   $     338       9,358   SH   DEFINED       23       9,358     0         -
ADVENT SOFTWARE INC      COMMON    007974108   $     584      16,200   SH   DEFINED     5,15      16,200     0         -
ADVENT SOFTWARE INC      COMMON    007974108   $     483      13,400   SH   DEFINED        8      13,400     0         -
ADVENT SOFTWARE INC      COMMON    007974108   $     133       3,700   SH   DEFINED     8,20       3,700     0         -
AEROVIRONMENT INC        COMMON    008073108   $   3,474     127,825   SH   DEFINED        1     127,825     0         -
AEROVIRONMENT INC        COMMON    008073108   $   2,096      77,103   SH   DEFINED        2      29,679     0      47,424
AEROVIRONMENT INC        COMMON    008073108   $     477      17,557   SH   DEFINED       23      17,557     0         -
AES TRUST III CVT
PFD 6.75                 CONVERT   00808N202   $      74       1,500   SH   DEFINED       22         -       0       1,500
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $  16,705     412,153   SH   DEFINED        1     412,153     0         -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   2,037      50,271   SH   DEFINED      1,9      50,271     0         -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $     312       7,690   SH   DEFINED       14       5,290     0       1,200
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $     150       3,700   SH   DEFINED     14,7        -        0       3,700
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $     154       3,800   SH   DEFINED       17       3,800     0         -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   1,048      25,862   SH   DEFINED        2      25,862     0         -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   1,467      36,200   SH   DEFINED     20,2       -         0      36,200
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   9,876     243,672   SH   DEFINED       22     115,239     0     128,433
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   8,354     206,123   SH   DEFINED       23     206,123     0        -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $      18         433   SH   DEFINED       24         433     0        -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   7,680     189,490   SH   DEFINED        5     154,695     0     34,795
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $     477      11,774   SH   DEFINED        7      11,774     0        -
AETNA US HEALTHCARE INC
-NEW                     COMMON    00817Y108   $   1,051      25,930   SH   DEFINED        8      25,930     0        -
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $      21         400   SH   DEFINED       13         400     0        -
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $   1,044      19,520   SH   DEFINED       14      12,020     0      6,500
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $     150       2,800   SH   DEFINED     14,7        -        0      2,800
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $      21         400   SH   DEFINED    20,14        -        0        -
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $     279       5,225   SH   DEFINED       22        -        0      5,225
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $   1,969      36,810   SH   DEFINED       23      36,810     0        -
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $       8         157   SH   DEFINED       24         157     0        -
AFFILIATED COMPUTER SVCS
CL A                     COMMON    008190100   $      92       1,712   SH   DEFINED        5         110     0      1,602
AFFILIATED MANAGERS
GROUP                    COMMON   008252108   $   71,244     791,068   SH   DEFINED         1    791,068     0        -
AFFILIATED MANAGERS
GROUP                    COMMON   008252108   $       23         250   SH   DEFINED        14        250     0        -
AFFILIATED MANAGERS
GROUP                    COMMON   008252108   $   17,278     191,848   SH   DEFINED         2    142,810     0     49,038
AFFILIATED MANAGERS
GROUP                    COMMON   008252108   $    3,606      40,037   SH   DEFINED        23     40,037     0        -
AFFILIATED MANAGERS
GROUP                    COMMON   008252108   $    3,999      44,400   SH   DEFINED         3     44,400     0        -
AFFYMAX INC              COMMON   00826A109   $        1          40   SH   DEFINED        23         40     0        -
AFFYMETRIX INC           COMMON   00826T108   $    9,787     951,092   SH   DEFINED         1    951,092     0        -
AFFYMETRIX INC           COMMON   00826T108   $    4,445     432,010   SH   DEFINED        14    188,410     0    239,700
AFFYMETRIX INC           COMMON   00826T108   $    4,677     454,487   SH   DEFINED         2    454,487     0        -
AFFYMETRIX INC           COMMON   00826T108   $      626      60,836   SH   DEFINED      20,2       -        0     60,386
AFFYMETRIX INC           COMMON   00826T108   $    4,802     466,709   SH   DEFINED        23    466,709     0        -
AFFIRMATIVE INSURANCE
HOLDINGS                 COMMON   008272106   $       29       4,338   SH   DEFINED        23      4,338     0        -
AGFEED INDUSTRIES
INC                      COMMON   00846L101   $        1          95   SH   DEFINED        23         95     0        -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $  179,674   5,055,547   SH   DEFINED         1   5,055,547    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $       71       2,000   SH   DEFINED     10,14       2,000    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $       36       1,000   SH   DEFINED         13      1,000    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $   15,522     436,759   SH   DEFINED         14    226,859    0     200,900
AGILENT TECHNOLOGIES INC COMMON   00846U101   $    2,360      66,400   SH   DEFINED       14,7         -     0      66,400
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      114       3,202   SH   DEFINED         19      3,202    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $    1,334      37,542   SH   DEFINED          2     37,542    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $       36       1,000   SH   DEFINED      20,14         -     0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $    1,883      52,980   SH   DEFINED       20,2         -     0      52,980
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      149       4,198   SH   DEFINED         21      4,198    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      711      19,994   SH   DEFINED         22      2,148    0      17,846
AGILENT TECHNOLOGIES INC COMMON   00846U101   $  107,811   3,033,511   SH   DEFINED         23  3,033,511    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      155       4,361   SH   DEFINED         24      4,361    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $   13,201     371,435   SH   DEFINED          4    371,435    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      621      17,470   SH   DEFINED          5        -      0      17,470
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      537      15,096   SH   DEFINED          7     15,096    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      952      26,786   SH   DEFINED          8     26,786    0         -
AGILENT TECHNOLOGIES INC COMMON   00846U101   $      839      23,600   SH   DEFINED       8,14     23,600    0         -
AGNICO-EAGLE MINES       COMMON   008474108   $   29,237     392,400   SH   DEFINED          1    392,400     0       -
AGNICO-EAGLE MINES       COMMON   008474108   $      287       3,800   SH   DEFINED          2      3,800     0       -
AGNICO-EAGLE MINES       COMMON   008474108   $       17         232   SH   DEFINED         23        232     0       -
AGNICO-EAGLE MINES       COMMON   008474108   $   11,687     155,000   SH   DEFINED          3    155,000     0       -
AGNICO-EAGLE MINES       COMMON   008474108   $   20,388     270,400   SH   DEFINED        3,1    270,400     0       -
AGNICO-EAGLE MINES LTD   COMMON   008474108   $       52         700   SH   DEFINED          5       -        0       700
AGNICO-EAGLE MINES       COMMON   008474108   $      244       3,232   SH   DEFINED          7      3,232     0       -
AGILYSYS INC             COMMON   00847J105   $    4,006     353,276   SH   DEFINED          1    353,276     0       -
AGILYSYS INC             COMMON   00847J105   $      701      61,800   SH   DEFINED         14     61,800     0       -
AGILYSYS INC             COMMON   00847J105   $    2,399     211,529   SH   DEFINED          2     82,329     0   129,200
AGILYSYS INC             COMMON   00847J105   $       53       4,700   SH   DEFINED         22      4,700     0       -
AGILYSYS INC             COMMON   00847J105   $      325    28,658   SH   DEFINED        23    28,658         0       -
AGILYSYS INC             COMMON   00847J105   $       25     2,200   SH   DEFINED      5,15     2,200         0       -
AGILYSYS INC             COMMON   00847J105   $      416    36,700   SH   DEFINED         8    36,700         0       -
AGILYSYS INC             COMMON   00847J105   $      115    10,100   SH   DEFINED      8,20    10,100         0       -
AGREE REALTY CORP        COMMON   008492100   $    1,288    58,400   SH   DEFINED        14    45,300         0    13,100
AGREE REALTY CORP        COMMON   008492100   $       33     1,494   SH   DEFINED        23     1,494         0       -
AGREE REALTY CORP        COMMON   008492100   $      227    10,300   SH   DEFINED      5,15    10,300         0       -
AGRIA CORP - ADR         COMMON   00850H103   $      717   148,780   SH   DEFINED        23   148,780         0       -
AGRIUM INC               COMMON   008916108   $       32       300   SH   DEFINED        22       -           0       300
AGRIUM INC               COMMON   008916108   $      492     4,547   SH   DEFINED        23     4,547         0       -
AGRIUM INC               COMMON   008916108   $      173     1,594   SH   DEFINED         7     1,594         0       -
AGRIUM INC               COMMON   008916108   $      478     4,411   SH   DEFINED         8     4,411         0       -
AIR METHODS CORP         COMMON   009128307   $      241     9,637   SH   DEFINED        23     9,637         0       -
AIR PRODUCTS &
CHEMICALS INC            COMMON   009158106   $    1,357    13,725   SH   DEFINED        22       733         0    12,992
AIR PRODUCTS &
CHEMICALS INC            COMMON   009158106   $   47,037   475,791   SH   DEFINED        23   475,791         0       -
AIR PRODUCTS &
CHEMICALS INC            COMMON   009158106   $       22       225   SH   DEFINED        24       225         0       -
AIR PRODUCTS &
CHEMICALS INC            COMMON   009158106   $      666     6,733   SH   DEFINED         5     3,911         0     2,822
AIR PRODUCTS &
CHEMICALS INC            COMMON   009158106   $      431     4,359   SH   DEFINED         7     4,359         0       -
AIR TRANSPORT SERVICES
GROUP                    COMMON   00922R105   $       40    44,829   SH   DEFINED        23    44,829         0       -
AIRGAS INC               COMMON   009363102   $    1,584    27,125   SH   DEFINED        22    26,095         0     1,030
AIRGAS INC               COMMON   009363102   $    7,530   128,957   SH   DEFINED        23   128,957         0       -
AIRGAS INC               COMMON   009363102   $        3        49   SH   DEFINED        24        49         0       -
AIRGAS INC               COMMON   009363102   $    1,060    18,160   SH   DEFINED         5    13,410         0     4,750
AIRTRAN HOLDINGS INC     COMMON   00949P108   $       39    19,203   SH   DEFINED        23    19,203         0       -
AIRVANA INC              COMMON   00950V101   $        1       278   SH   DEFINED        23       278         0       -
AKAMAI TECHNOLOGIES      COMMON   00971T101   $    4,148   119,240   SH   DEFINED         1   119,240         0       -
AKAMAI TECHNOLOGIES      COMMON   00971T101   $      874    25,109   SH   DEFINED      20,2    25,109         0       -
AKAMAI TECHNOLOGIES      COMMON   00971T101   $    9,048   260,086   SH   DEFINED        22   112,705         0   147,381
AKAMAI TECHNOLOGIES      COMMON   00971T101   $      327     9,389   SH   DEFINED        23     9,389         0       -
AKAMAI TECHNOLOGIES      COMMON   00971T101   $    1,542    44,323   SH   DEFINED        24    44,323         0       -
AKAMAI TECHNOLOGIES      COMMON   00971T101   $    1,993    57,284   SH   DEFINED         3    57,284         0       -
AKAMAI TECHNOLOGIES      COMMON   00971T101   $    5,097   146,499   SH   DEFINED         5   122,745         0    23,754
AKAMAI TECHNOLOGIES      COMMON   00971T101   $      132     3,807   SH   DEFINED         7     3,807         0       -
AKORN INC                COMMON   009728106   $        2       570   SH   DEFINED        23       570         0       -
AKORN INC                COMMON   009728106   $    3,233   976,854   SH   DEFINED         3   976,854         0       -
ALAMO GROUP INC          COMMON   011311107   $      251    12,195   SH   DEFINED        23    12,195         0       -
ALASKA AIR GROUP INC     COMMON   011659109   $       97     6,302   SH   DEFINED        23     6,302         0       -
ALASKA AIR GROUP INC     COMMON   011659109   $        2       123   SH   DEFINED        24       123         0       -
ALASKA AIR GROUP INC     COMMON   011659109   $       14       900   SH   DEFINED         5       -           0       900
ALASKA COMM SYSTEMS
GROUP                      COMMON   01167P101 $  24,435   2,046,442  SH   DEFINED         1   2,046,442       0         -
ALASKA COMM SYSTEMS
GROUP                      COMMON   01167P101 $   3,101     259,719  SH   DEFINED         2      50,000       0   209,719
ALASKA COMM SYSTEMS
GROUP                      COMMON   01167P101 $   1,209     101,272  SH   DEFINED      20,2     101,272       0       -
ALASKA COMM SYSTEMS
GROUP                      COMMON   01167P101 $      12       1,000  SH   DEFINED        22         -               1,000
ALASKA COMM SYSTEMS
GROUP                      COMMON   01167P101 $     253      21,164  SH   DEFINED        23      21,164       0       -
ALBANY INTL CORP CL A      COMMON   012348108 $     122       4,197  SH   DEFINED        23       4,197       0       -
ALBANY MOLECULAR RESEARCH  COMMON   012423109 $   4,293     323,500  SH   DEFINED        14     209,200       0   114,300
ALBANY MOLECULAR RESEARCH  COMMON   012423109 $     299      22,506  SH   DEFINED        23      22,506       0       -
ALBANY MOLECULAR RESEARCH  COMMON   012423109 $      91       6,890  SH   DEFINED         5       1,740       0     5,150
ALBANY MOLECULAR RESEARCH  COMMON   012423109 $     718      54,100  SH   DEFINED      5,15      54,100       0       -
ALBEMARLE CORP             COMMON   012653101 $     779      19,520  SH   DEFINED        23      19,520       0       -
ALBEMARLE CORP             COMMON   012653101 $       2          50  SH   DEFINED        24         50        0       -
ALBEMARLE CORP             COMMON   012653101   $    79       1,980   SH   DEFINED         5       780        0     1,200
ALBERTO-CULVER CO          COMMON   013078100   $ 8,278     315,124   SH   DEFINED         1   315,124        0       -
ALBERTO-CULVER CO          COMMON   013078100   $ 3,469     132,060   SH   DEFINED        14    91,460        0    37,000
ALBERTO-CULVER CO          COMMON   013078100   $   271      10,300   SH   DEFINED      14,7       -          0    10,300
ALBERTO-CULVER CO          COMMON   013078100   $ 4,854     184,770   SH   DEFINED         2    72,381        0   112,389
ALBERTO-CULVER CO          COMMON   013078100   $     8         300   SH   DEFINED        22       -          0       300
ALBERTO-CULVER CO          COMMON   013078100   $ 6,765     257,527   SH   DEFINED        23   257,527        0       -
ALBERTO-CULVER CO          COMMON   013078100   $   247       9,385   SH   DEFINED        24     9,385        0       -
ALBERTO-CULVER CO          COMMON   013078100   $    83       3,150   SH   DEFINED         5     3,150        0       -
ALBERTO-CULVER CO          COMMON   013078100   $   328      12,500   SH   DEFINED      5,15    12,500        0       -
ALCOA INC                  COMMON   013817101   $ 1,888      53,000   SH   DEFINED         1    53,000        0       -
ALCOA INC                  COMMON   013817101   $18,629     522,994   SH   DEFINED        11   154,094        0   368,900
ALCOA INC                  COMMON   013817101   $     7         200   SH   DEFINED        13       200        0       -
ALCOA INC                  COMMON   013817101   $ 4,232     118,815   SH   DEFINED        14    97,915        0    18,400
ALCOA INC                  COMMON   013817101   $   716      20,100   SH   DEFINED      14,7       -          0    20,100
ALCOA INC                  COMMON   013817101   $    19         525   SH   DEFINED     18,11       525        0       -
ALCOA INC                  COMMON   013817101   $   549      15,400   SH   DEFINED     18,14       -          0    15,400
ALCOA INC                  COMMON   013817101   $ 1,854      52,050   SH   DEFINED     19,14    29,900        0    22,150
ALCOA INC                  COMMON   013817101   $   139       3,900   SH   DEFINED         2     3,900        0       -
ALCOA INC                  COMMON   013817101   $     7         200   SH   DEFINED     20,14       -          0       -
ALCOA INC                  COMMON   013817101   $    48       1,336   SH   DEFINED        22       -          0     1,336
ALCOA INC                  COMMON   013817101   $ 3,406      95,628   SH   DEFINED        23    95,628        0       -
ALCOA INC                  COMMON   013817101   $    46       1,292   SH   DEFINED        24     1,292        0       -
ALCOA INC                  COMMON   013817101   $ 9,660     271,200   SH   DEFINED       3,1   271,200        0       -
ALCOA INC                  COMMON   013817101   $  425       11,920   SH   DEFINED         5     9,920        0    2,000
ALCOA INC                  COMMON   013817101   $  550       15,452   SH   DEFINED         7    15,452        0      -
ALCOA INC                  COMMON   013817101   $1,757       49,331   SH   DEFINED      8,14       -          0   49,331
ALCATEL-LUCENT ADR         COMMON   013904305   $   59        9,723   SH   DEFINED        22        58        0    9,665
ALCATEL-LUCENT ADR         COMMON   013904305   $    4          715   SH   DEFINED         4       715        0      -
ALCATEL-LUCENT ADR         COMMON   013904305   $   34        5,674   SH   DEFINED         5       284        0    5,390
ALDILA INC                 COMMON   014384200   $    1          146   SH   DEFINED        23       146        0      -
ALEXANDER & BALDWIN INC    COMMON   014482103   $  154        3,390   SH   DEFINED        23     3,390        0      -
ALEXANDER & BALDWIN INC    COMMON   014482103   $    3           62   SH   DEFINED        24        62        0      -
ALESCO FINANCIAL INC       COMMON   014485106   $    2        1,100   SH   DEFINED         5     1,100        0      -
ALEXANDER'S INC            COMMON   014752109   $  621        2,000   SH   DEFINED        14     2,000        0      -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $   6,366      65,397 SH   DEFINED         1      65,397      0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $  34,575     355,200 SH   DEFINED      1,15      355,200     0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $ 110,486   1,135,050 SH   DEFINED        14     686,850      0     384,500
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $   1,791      18,400 SH   DEFINED     18,14      18,400      0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $     516       5,300 SH   DEFINED     19,14       5,300      0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $   3,761      38,639 SH   DEFINED         2      15,039      0      23,600
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $   4,945      50,800 SH   DEFINED      2,15       50,800     0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $     234       2,409 SH   DEFINED        23       2,409      0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $       2          25 SH   DEFINED        24          25      0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $     613       6,300 SH   DEFINED      3,15        2,800     0       3,500
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $   9,137      93,868 SH   DEFINED      5,15       93,868     0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $      78         800 SH   DEFINED      6,14          800     0         -
ALEXANDRIA REAL EST
EQUITIES                   COMMON   015271109   $   1,528      15,700 SH   DEFINED      8,14          -       0      15,700
ALEXZA PHARMACEUTICALS INC COMMON   015384100   $       1         203 SH   DEFINED        23          203     0         -
ALICO INC                  COMMON   016230104   $       2        48   SH   DEFINED        23           48     0         -
ALIGN TECHNOLOGY INC       COMMON   016255101   $   6,556   624,988   SH   DEFINED         1      624,988     0         -
ALIGN TECHNOLOGY INC       COMMON   016255101   $     624    59,483   SH   DEFINED         2       59,483     0         -
ALIGN TECHNOLOGY INC       COMMON   016255101   $     873    83,258   SH   DEFINED      20,2         -        0     83,258
ALIGN TECHNOLOGY INC       COMMON   016255101   $     231    22,000   SH   DEFINED         3       22,000     0         -
ALIGN TECHNOLOGY INC       COMMON   016255101   $     105    10,000   SH   DEFINED         5       10,000     0         -
ALKERMES INC               COMMON   01642T108   $      64     5,200   SH   DEFINED        14         -        0      5,200
ALLEGHANY CORP             COMMON   017175100   $     133       400   SH   DEFINED        23          400     0         -
ALLEGHANY CORP             COMMON   017175100   $      37       112   SH   DEFINED        24          112     0         -
ALLEGHENY ENERGY INC       COMMON   017361106   $      12       240   SH   DEFINED        22          140     0        100
ALLEGHENY ENERGY INC       COMMON   017361106   $     322     6,418   SH   DEFINED        23        6,418     0         -
ALLEGHENY ENERGY INC       COMMON   017361106   $       5       103   SH   DEFINED        24          103     0         -
ALLEGHENY ENERGY INC       COMMON   017361106   $     826    16,493   SH   DEFINED         5        1,000     0     15,493
ALLEGHENY ENERGY INC       COMMON   017361106   $     109     2,183   SH   DEFINED         7        2,183     0         -
ALLEGHENY TECHNOLOGIES INC COMMON   01741R102   $      52       870   SH   DEFINED        22          230     0        640
ALLEGHENY TECHNOLOGIES INC COMMON   01741R102   $     268     4,528   SH   DEFINED        23        4,528     0         -
ALLEGHENY TECHNOLOGIES INC COMMON   01741R102   $       3        51   SH   DEFINED        24           51     0         -
ALLEGHENY TECHNOLOGIES INC COMMON   01741R102   $     647    10,910   SH   DEFINED         5        7,565     0      3,345
ALLEGHENY TECHNOLOGIES INC COMMON   01741R102   $      89     1,507   SH   DEFINED         7        1,507     0         -
ALLEGIANT TRAVEL CO        COMMON   01748X102   $   5,196   279,513   SH   DEFINED         1      279,513     0         -
ALLEGIANT TRAVEL CO        COMMON   01748X102   $   2,985   160,574   SH   DEFINED         2       62,963     0     97,611
ALLEGIANT TRAVEL CO        COMMON   01748X102   $       1        37   SH   DEFINED        22         -        0        37
ALLEGIANT TRAVEL CO        COMMON   01748X102   $     108     5,820   SH   DEFINED        23        5,820     0         -
ALLERGAN INC               COMMON   018490102   $  48,714   935,912   SH   DEFINED         1      935,912     0         -
ALLERGAN INC               COMMON   018490102   $   3,785    72,727   SH   DEFINED         2       31,983     0     40,744
ALLERGAN INC               COMMON   018490102   $   1,915    36,796   SH   DEFINED      20,2         -        0      36,796
ALLERGAN INC               COMMON   018490102   $  30,921   594,070   SH   DEFINED        22      184,363     0     409,707
ALLERGAN INC               COMMON   018490102   $   2,928    56,259   SH   DEFINED        23       56,259     0         -
ALLERGAN INC               COMMON   018490102   $       5        92   SH   DEFINED        24           92     0         -
ALLERGAN INC               COMMON   018490102   $   2,170    41,700   SH   DEFINED         3       41,700     0         -
ALLERGAN INC               COMMON   018490102   $  14,859   285,485   SH   DEFINED         5      221,645     0      63,840
ALLERGAN INC               COMMON   018490102   $      99     1,895   SH   DEFINED         7        1,895     0         -
ALLETE INC                 COMMON   018522300   $     185     4,395   SH   DEFINED        23        4,395     0         -
ALLETE INC                 COMMON   018522300   $       3        73   SH   DEFINED        24           73     0         -
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $  81,436 1,440,077   SH   DEFINED         1    1,440,077     0         -
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $   4,512    79,790   SH   DEFINED         2        6,059     0      73,731
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $     836    14,789   SH   DEFINED      20,2       14,789     0         -
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $   6,404   113,250   SH   DEFINED          22    104,098     0       9,152
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $     137     2,428   SH   DEFINED          23      2,428     0         -
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $       2        44   SH   DEFINED          24         44     0         -
ALLIANCE DATA SYSTEMS
CORP                       COMMON   018581108   $   4,510      79,753 SH   DEFINED           5     50,517     0      29,236
ALLIANCE IMAGING INC      COMMON   018606202   $       40     4,570   SH   DEFINED         23      4,570       0       -
ALLIANCE HOLDINGS GP LP   COMMON   01861G100   $      833    27,950   SH   DEFINED         22        695       0    27,255
ALLIANCE HOLDINGS GP LP   COMMON   01861G100   $    2,209    74,093   SH   DEFINED         23     74,093       0       -
ALLIANCE HOLDINGS GP LP   COMMON   01861G100   $   13,025   436,928   SH   DEFINED          5    422,494       0    14,434
ALLIANCE NEW YORK MUNI
INC CF                    COMMON   018714105   $       11       800   SH   DEFINED         22         -        0       800
ALLIANCE ONE INTERNATIONAL
INC                       COMMON   018772103   $      451    88,200   SH   DEFINED         14     88,200       0       -
ALLIANCE ONE INTERNATIONAL
INC                       COMMON   018772103   $      450    88,069   SH   DEFINED         23     88,069       0       -
ALLIANCE ONE INTERNATIONAL
INC                       COMMON   018772103   $       49     9,500   SH   DEFINED      5,15     9,500         0       -
ALLIANCE RESOURCE PARTERNS COMMON  01877R108   $       58     1,050   SH   DEFINED        22       -           0     1,050

ALLIANT ENERGY CORP       COMMON   018802108   $   173     5,063      SH   DEFINED        22       550         0     4,513
ALLIANT ENERGY CORP       COMMON   018802108   $ 1,474    43,024      SH   DEFINED        23    43,024         0       -
ALLIANT ENERGY CORP       COMMON   018802108   $    32       941      SH   DEFINED        24       941         0       -
ALLIANT ENERGY CORP       COMMON   018802108   $    11       317      SH   DEFINED         5       166         0       151
ALLIANT TECHSYSTEMS INC   COMMON   018804104   $   127     1,250      SH   DEFINED        22       -           0     1,250
ALLIANT TECHSYSTEMS INC   COMMON   018804104   $ 7,172    70,537      SH   DEFINED        23    70,537         0       -
ALLIANT TECHSYSTEMS INC   COMMON   018804104   $     4        35      SH   DEFINED        24        35         0       -
ALLIANT TECHSYSTEMS INC   COMMON   018804104   $     2        15      SH   DEFINED         5        15         0       -
ALLIANZ SE ADR            COMMON   018805101   $    37     2,130      SH   DEFINED        22       -           0     2,130
ALLIANZ SE ADR            COMMON   018805101   $ 3,666   210,080      SH   DEFINED        23   210,080         0       -
ALLIANCEBERNSTEIN INC
FUND CEF                  COMMON   01881E101   $    13     1,605      SH   DEFINED        22       -           0     1,605
ALLIANCEBERNSTEIN INC
FUND CEF                  COMMON   01881E101   $    12     1,385      SH   DEFINED         5     1,385         0       -
ALLIANCEBERNSTEIN
HOLDING LP                COMMON   01881G106   $   122     2,225      SH   DEFINED         5       -           0     2,225
ALLIED CAPITAL CORP       COMMON   01903Q108   $   374    26,900      SH   DEFINED        14     3,700         0    23,200
ALLIED CAPITAL CORP       COMMON   01903Q108   $    14     1,000      SH   DEFINED        22       -           0     1,000
ALLIED CAPITAL CORP       COMMON   01903Q108   $ 7,080   509,745      SH   DEFINED        23   509,745         0       -
ALLIED CAPITAL CORP       COMMON   01903Q108   $    83     5,940      SH   DEFINED        24     5,940         0       -
ALLIED CAPITAL CORP       COMMON   01903Q108   $     3       200      SH   DEFINED         5       200         0       -
ALLIED IRISH BANKS ADR    COMMON   019228402   $ 7,716   250,596      SH   DEFINED        23   250,596         0       -
ALLIED IRISH BANKS ADR    COMMON   019228402   $10,361   336,506      SH   DEFINED         4   336,506         0       -
ALLIED HEALTHCARE INTL
INC                       COMMON   01923A109   $   278   154,335      SH   DEFINED        23   154,335         0       -
ALLIED WASTE INDUSTRIES
INC                       COMMON   019589308   $ 4,433   351,300      SH   DEFINED        14    97,200         0   248,600
ALLIED WASTE INDUSTRIES
INC                       COMMON   019589308   $   587    46,500      SH   DEFINED      14,7       -           0    46,500
ALLIED WASTE INDUSTRIES
INC                       COMMON   019589308   $     3       260      SH   DEFINED        22       -           0       260
ALLIED WASTE INDUSTRIES
INC                       COMMON   019589308   $ 1,631   129,235      SH   DEFINED        23   129,235         0       -
ALLIED WASTE INDUSTRIES
INC                       COMMON   019589308   $    44     3,495      SH   DEFINED        24     3,495         0       -
ALLIED WASTE INDUSTRIES
INC                       COMMON   019589308   $    35     2,765      SH   DEFINED         5       -           0     2,765
ALLION HEALTHCARE INC     COMMON   019615103   $   309    54,329      SH   DEFINED        23    54,329         0       -
ALLIS-CHALMERS ENERGY INC COMMON   019645506   $   331    18,574      SH   DEFINED        23    18,574         0       -
ALLOS THERAPEUTICS INC    COMMON   019777101   $     3       439      SH   DEFINED        23       439         0       -
ALLOY INC                 COMMON   019855303   $    26     3,556      SH   DEFINED        23     3,556         0       -
ALLSCRIPTS HEALTHCARE
SOLUTION                  COMMON   01988P108   $ 8,235   663,610      SH   DEFINED         1   663,610         0       -
ALLSCRIPTS HEALTHCARE
SOLUTION                  COMMON   01988P108   $   784    63,159      SH   DEFINED         2    63,159         0       -
ALLSCRIPTS HEALTHCARE
SOLUTION                  COMMON   01988P108   $ 1,097    88,403      SH   DEFINED      20,2       -           0    88,403
ALLSCRIPTS HEALTHCARE
SOLUTION                  COMMON   01988P108   $    36     2,862      SH   DEFINED        23     2,862         0       -
ALLSTATE CORP             COMMON   020002101   $ 3,656    80,200      SH   DEFINED      1,15    80,200         0       -
ALLSTATE CORP             COMMON   020002101   $ 1,308    28,700      SH   DEFINED     10,14    28,700         0       -
ALLSTATE CORP             COMMON   020002101   $    57     1,241      SH   DEFINED      10,7     1,241         0       -
ALLSTATE CORP             COMMON   020002101   $   141     3,087      SH   DEFINED        11     3,087         0       -
ALLSTATE CORP             COMMON   020002101   $   158     3,456      SH   DEFINED        13     3,456         0       -
ALLSTATE CORP             COMMON   020002101   $34,593   758,786      SH   DEFINED        14   573,836         0   155,650
ALLSTATE CORP             COMMON   020002101   $   638    14,000      SH   DEFINED     14,13       -           0    14,000
ALLSTATE CORP             COMMON   020002101   $ 5,744   126,000      SH   DEFINED      14,7       -           0   126,000
ALLSTATE CORP             COMMON   020002101   $    46     1,000      SH   DEFINED     20,14       -           0       -
ALLSTATE CORP             COMMON   020002101   $ 1,671    36,649      SH   DEFINED        21    36,649         0       -
ALLSTATE CORP             COMMON   020002101   $ 1,784    39,127      SH   DEFINED        22     7,284         0    31,843
ALLSTATE CORP             COMMON   020002101   $ 9,972   218,722      SH   DEFINED        23   218,722         0       -
ALLSTATE CORP             COMMON   020002101   $    87     1,901      SH   DEFINED        24     1,901         0       -
ALLSTATE CORP             COMMON   020002101   $     2        40      SH   DEFINED         4        40         0       -
ALLSTATE CORP             COMMON   020002101   $   231     5,066      SH   DEFINED         5     2,266         0     2,800
ALLSTATE CORP             COMMON   020002101   $ 1,427    31,300      SH   DEFINED      5,15    31,300         0       -
ALLSTATE CORP             COMMON   020002101   $   182     4,000      SH   DEFINED         6     4,000         0       -
ALLSTATE CORP             COMMON   020002101   $ 2,003    43,935      SH   DEFINED         7    43,935         0       -
ALLSTATE CORP             COMMON   020002101   $ 3,683    80,777      SH   DEFINED         8    80,777         0       -
ALLSTATE CORP             COMMON   020002101   $ 8,306   182,200      SH   DEFINED      8,14   182,200         0       -
ALLSTATE CORP             COMMON   020002101   $   274     6,000      SH   DEFINED         9     6,000         0       -
ALLSTATE CORP             COMMON   020002101   $   346     7,600      SH   DEFINED      9,14       -           0     7,600
ALNYLAM PHARMACEUTICALS
INC                       COMMON   02043Q107   $    53     2,000      SH   DEFINED        22       -           0     2,000
ALNYLAM PHARMACEUTICALS
INC                       COMMON   02043Q107   $    87     3,249      SH   DEFINED         5       -           0     3,249
ALON USA ENERGY INC.      COMMON   020520102   $    39     3,290      SH   DEFINED        23     3,290         0       -
ALON USA ENERGY INC.      COMMON   020520102   $     1        48      SH   DEFINED        24        48         0       -
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $29,410   282,000      SH   DEFINED         1   282,000         0       -
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $13,151   126,100      SH   DEFINED        14    92,500         0    30,700
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $ 1,304    12,500      SH   DEFINED      14,7       -           0    12,500
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $ 3,713    35,600      SH   DEFINED         2       -           0    35,600
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $10,198    97,784      SH   DEFINED        23    97,784         0       -
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $   323     3,100      SH   DEFINED         8     3,100         0       -
ALPHA NATURAL RESOURCES
INC                       COMMON   02076X102   $    94       900      SH   DEFINED      8,20       900         0       -
ALPHARMA INC CL A         COMMON   020813101   $     153  6,797       SH   DEFINED        23     6,797         0       -
ALPHATEC HOLDINGS INC     COMMON   02081G102   $       2    310       SH   DEFINED        23       310         0       -
ALTAIR NANOTECHNOLOGIES
INC                       COMMON   021373105   $   2,836 1,668,111    SH   DEFINED        23 1,668,111         0       -
ALTERA CORPORATION        COMMON   021441100   $  43,266 2,090,151    SH   DEFINED         1 2,090,151         0       -
ALTERA CORPORATION        COMMON   021441100   $     120     5,800    SH   DEFINED      1,15     5,800         0       -
ALTERA CORPORATION        COMMON   021441100   $   1,230    59,400    SH   DEFINED       1,3    59,400         0       -
ALTERA CORPORATION        COMMON   021441100   $       4       200    SH   DEFINED        13       200         0       -
ALTERA CORPORATION        COMMON   021441100   $     571      27,600  SH   DEFINED        14       4,300       0      21,300
ALTERA CORPORATION        COMMON   021441100   $     137       6,600  SH   DEFINED      14,7         -         0       6,600
ALTERA CORPORATION        COMMON   021441100   $   4,446     214,800  SH   DEFINED      18,3     214,800       0         -
ALTERA CORPORATION        COMMON   021441100   $     397      19,185  SH   DEFINED        19      19,185       0         -
ALTERA CORPORATION        COMMON   021441100   $   2,622     126,653  SH   DEFINED         2      13,909       0     112,744
ALTERA CORPORATION        COMMON   021441100   $       4         200  SH   DEFINED     20,14         -         0         -
ALTERA CORPORATION        COMMON   021441100   $   2,356     113,800  SH   DEFINED      20,3     113,800       0         -
ALTERA CORPORATION        COMMON   021441100   $   4,471     215,981  SH   DEFINED        22     201,285       0      14,696
ALTERA CORPORATION        COMMON   021441100   $  22,637   1,093,552  SH   DEFINED        23   1,093,552       0         -
ALTERA CORPORATION        COMMON   021441100   $   3,383     163,418  SH   DEFINED        24     163,418       0         -
ALTERA CORPORATION        COMMON   021441100   $ 106,748   5,156,906  SH   DEFINED         3   5,156,906       0         -
ALTERA CORPORATION        COMMON   021441100   $   2,754     133,046  SH   DEFINED         5      96,798       0      36,248
ALTERA CORPORATION        COMMON   021441100   $     159       7,687  SH   DEFINED         7       7,687       0         -
ALTERA CORPORATION        COMMON   021441100   $     437      21,089  SH   DEFINED         8      21,089       0         -
ALTRA HOLDINGS INC        COMMON   02208R106   $      63       3,738  SH   DEFINED        23       3,738       0         -
ALTRIA GROUP INC          COMMON   02209S103   $   8,646     420,549  SH   DEFINED         1     420,549       0         -
ALTRIA GROUP INC          COMMON   02209S103   $   1,727      84,000  SH   DEFINED      1,15      84,000       0         -
ALTRIA GROUP INC          COMMON   02209S103   $     565      27,500  SH   DEFINED      10,14      27,500      0         -
ALTRIA GROUP INC          COMMON   02209S103   $      74       3,611  SH   DEFINED       10,7       3,611      0         -
ALTRIA GROUP INC          COMMON   02209S103   $      63       3,081  SH   DEFINED         11       3,081      0         -
ALTRIA GROUP INC          COMMON   02209S103   $     105       5,093  SH   DEFINED         13       5,093      0         -
ALTRIA GROUP INC          COMMON   02209S103   $  30,063   1,462,224  SH   DEFINED         14   1,013,274      0     390,150
ALTRIA GROUP INC          COMMON   02209S103   $     641      31,200  SH   DEFINED      14,13         -        0      31,200
ALTRIA GROUP INC          COMMON   02209S103   $   2,776     135,000  SH   DEFINED       14,7         -        0     135,000
ALTRIA GROUP INC          COMMON   02209S103   $     246      11,949  SH   DEFINED         19      11,949      0         -

ALTRIA GROUP INC          COMMON    02209S103  $      280     13,600  SH   DEFINED      20,14          -       0          -
ALTRIA GROUP INC          COMMON    02209S103  $       69      3,348  SH   DEFINED         21       3,348      0          -
ALTRIA GROUP INC          COMMON    02209S103  $    1,648     80,133  SH   DEFINED         22      14,407      0       65,726
ALTRIA GROUP INC          COMMON    02209S103  $   28,060  1,364,794  SH   DEFINED         23   1,364,794      0          -
ALTRIA GROUP INC          COMMON    02209S103  $    1,589     77,265  SH   DEFINED         24      77,265      0          -
ALTRIA GROUP INC          COMMON    02209S103  $      813     39,555  SH   DEFINED          5      25,200      0       14,355
ALTRIA GROUP INC          COMMON    02209S103  $    1,437     69,900  SH   DEFINED       5,15      69,900      0          -
ALTRIA GROUP INC          COMMON    02209S103  $      586     28,500  SH   DEFINED          6      28,500      0          -
ALTRIA GROUP INC          COMMON    02209S103  $    2,369    115,246  SH   DEFINED          7     115,246      0          -
ALTRIA GROUP INC          COMMON    02209S103  $    5,160    250,989  SH   DEFINED          8     250,989      0          -
ALTRIA GROUP INC          COMMON    02209S103  $    3,240    157,600  SH   DEFINED       8,14     157,600      0          -
ALTRIA GROUP INC          COMMON    02209S103  $      323     15,720  SH   DEFINED          9      15,720      0          -
ALTRIA GROUP INC          COMMON    02209S103  $      345     16,800  SH   DEFINED       9,14          -       0       16,800
ALTUS PHARMACEUTICALS
INC                       COMMON    02216N105  $    1,289    289,695  SH   DEFINED          1     289,695      0          -
ALTUS PHARMACEUTICALS
INC                       COMMON    02216N105  $      122     27,448  SH   DEFINED          2      27,448      0          -
ALTUS PHARMACEUTICALS
INC                       COMMON    02216N105  $      182     41,011  SH   DEFINED       20,2         -        0       41,011
ALTUS PHARMACEUTICALS
INC                       COMMON    02216N105  $        1        201  SH   DEFINED         23         201      0          -
ALUMINUM CORP OF
CHINA-ADR                 COMMON    022276109  $       29      1,000  SH   DEFINED           22          -     0        1,000
ALUMINUM CORP OF
CHINA-ADR                 COMMON    022276109  $   19,637    688,035  SH   DEFINED           23      688,035   0          -
JOHNSON & JOHNSON
(JNJ)CVT 0.0              CONVERT   02261WAB5  $   31,929 35,675,000  SH   DEFINED           14          -     0   30,225,000
AMAZON.COM INC            COMMON    023135106  $    9,358    127,621  SH   DEFINED            1      127,621   0          -
AMAZON.COM INC            COMMON    023135106  $      117      1,600  SH   DEFINED        10,14        1,600   0          -
AMAZON.COM INC            COMMON    023135106  $        7        100  SH   DEFINED           13          100   0          -
AMAZON.COM INC            COMMON    023135106  $    7,010     95,600  SH   DEFINED           14       65,700   0       26,300
AMAZON.COM INC            COMMON    023135106  $    1,327     18,100  SH   DEFINED         14,7          -     0       18,100
AMAZON.COM INC            COMMON   023135106   $      587      8,000  SH   DEFINED           17        8,000   0         -
AMAZON.COM INC            COMMON   023135106   $        7        100  SH   DEFINED        20,14          -     0         -
AMAZON.COM INC            COMMON   023135106   $      859     11,714  SH   DEFINED         20,2       11,714   0         -
AMAZON.COM INC            COMMON   023135106   $       17        229  SH   DEFINED           21          229   0         -
AMAZON.COM INC            COMMON   023135106   $      301      4,111  SH   DEFINED           22         -      0       4,111
AMAZON.COM INC            COMMON   023135106   $      537      7,318  SH   DEFINED           23        7,318   0         -
AMAZON.COM INC            COMMON   023135106   $    5,597     76,326  SH   DEFINED           24       76,326   0         -
AMAZON.COM INC            COMMON   023135106   $      690      9,405  SH   DEFINED            5        5,517   0       3,888
AMAZON.COM INC            COMMON   023135106   $      574      7,833  SH   DEFINED            7        7,833   0         -
AMAZON.COM INC            COMMON   023135106   $      930     12,681  SH   DEFINED            8       12,681   0         -
AMAZON.COM INC            COMMON   023135106   $    1,049     14,300  SH   DEFINED         8,14       14,300   0         -
AMBAC FINANCIAL GROUP
INC                       COMMON   023139108   $     -          95    SH   DEFINED           21           95   0       -
AMBAC FINANCIAL GROUP
INC                       COMMON   023139108   $        1       700   SH   DEFINED           22            -   0       700
AMBAC FINANCIAL GROUP
INC                       COMMON   023139108   $      174   129,952   SH   DEFINED           23      129,952   0       -
AMBAC FINANCIAL GROUP
INC                       COMMON   023139108   $        4     2,623   SH   DEFINED           24        2,623   0       -
AMBAC FINANCIAL GROUP
INC                       COMMON   023139108   $      -          63   SH   DEFINED            5           -    0        63
AMBASSADORS GROUP
INC                       COMMON   023177108   $      967    64,839   SH   DEFINED            1       64,839   0       -
AMBASSADORS GROUP
INC                       COMMON   023177108   $      355    23,813   SH   DEFINED            2           -    0    23,813
AMBASSADORS GROUP
INC                       COMMON   023177108   $       11       712   SH   DEFINED           23          712   0       -
AMBASSADORS GROUP
INC                       COMMON   023177108   $       33     2,200   SH   DEFINED            5           -    0     2,200
AMBASSADORS INTERNATIONAL COMMON   023178106   $      -          71   SH   DEFINED           23           71   0       -
AMCON DISTRIBUTING CO     COMMON   02341Q205   $       19       614   SH   DEFINED           23          614   0       -
AMCOL INTERNATIONAL CORP  COMMON   02341W103   $       57     2,005   SH   DEFINED           23        2,005   0       -
AMCOMP INC                COMMON   02342J101   $      213    21,963   SH   DEFINED           23       21,963   0       -
AMEDISYS INC              COMMON   023436108   $    2,037    40,409   SH   DEFINED           23       40,409   0       -
AMEDISYS INC              COMMON   023436108   $   2,037      40,409  SH   DEFINED          23        40,409   0         -
AMERCO INC                COMMON   023586100   $     252       5,289  SH   DEFINED          23         5,289   0         -
AMERCO INC                COMMON   023586100   $       2          49  SH   DEFINED          24            49   0         -
AMEREN CORPORATION        COMMON   023608102   $  14,232     337,000  SH   DEFINED           1       337,000   0         -
AMEREN CORPORATION        COMMON   023608102   $      27         636  SH   DEFINED          22          -      0         636
AMEREN CORPORATION        COMMON   023608102   $   1,332      31,551  SH   DEFINED          23        31,551   0         -
AMEREN CORPORATION        COMMON   023608102   $      25         584  SH   DEFINED          24           584   0         -
AMEREN CORPORATION        COMMON   023608102   $       9         211  SH   DEFINED           5            45   0         166
AMEREN CORPORATION        COMMON   023608102   $     176       4,179  SH   DEFINED           7         4,179   0         -
AMERICA SERVICE GROUP
INC                       COMMON   02364L109   $      59       6,417  SH   DEFINED          23         6,417   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $ 161,919   3,069,553  SH   DEFINED           1     3,069,553   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   1,408      26,700  SH   DEFINED       11,13        26,700   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   1,372      26,000  SH   DEFINED          17        26,000   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $  29,667     562,412  SH   DEFINED           2       562,412   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   4,208      79,775  SH   DEFINED        20,2        79,775   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $     326       6,187  SH   DEFINED          22         1,435   0       4,752
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   1,093      20,722  SH   DEFINED          23        20,722   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $  35,364     670,404  SH   DEFINED         3,1       670,404   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $  24,359     461,784  SH   DEFINED           4       461,784   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   3,452      65,445  SH   DEFINED           5        28,835   0      36,610
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $  57,677   1,093,400  SH   DEFINED           8     1,093,400   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   1,577      29,900  SH   DEFINED        8,14        29,900   0         -
AMERICA MOVIL SAB DE CV   COMMON   02364W105   $   3,239      61,400  SH   DEFINED        8,20        61,400   0         -
AMERICA MOVIL-ADR
SERIES ADR                  COMMON 02364W204   $     4        73      SH   DEFINED        23        73         0       -
AMCORE FINANCIAL INC        COMMON 023912108   $    35     6,156      SH   DEFINED        23     6,156         0       -
AMERICAN AXLE & MFG
HOLDINGS                    COMMON 024061103   $   119    14,941      SH   DEFINED        23    14,941         0       -
AMERICAN AXLE & MFG
HOLDINGS                    COMMON 024061103   $     1       137      SH   DEFINED        24       137         0       -
AMERICAN BANCORP OF NJ      COMMON 02407E104   $     -          30    SH   DEFINED        23        30         0       -
AMERICAN CAMPUS COMMUNITIES COMMON 024835100   $ 3,088   110,931      SH   DEFINED        14    95,531         0    15,400
AMERICAN CAMPUS COMMUNITIES COMMON 024835100   $    72     2,603      SH   DEFINED        23     2,603         0       -
AMERICAN CAMPUS COMMUNITIES COMMON 024835100   $   205     7,365      SH   DEFINED         5     1,765         0     5,600
AMERICAN CAPITAL STRATEGIES COMMON 024937104   $15,696   660,317      SH   DEFINED        23   660,317         0       -
AMERICAN CAPITAL STRATEGIES COMMON 024937104   $   273    11,466      SH   DEFINED        24    11,466         0       -
AMERICAN CAPITAL STRATEGIES COMMON 024937104   $ 1,305    54,895      SH   DEFINED         5    12,312         0    42,583
AMERICAN CAPITAL AGENCY
CORP                        COMMON 02503X105   $   524    31,500      SH   DEFINED        14    22,600         0     8,900
AMERICAN CAPITAL AGENCY
CORP                        COMMON 02503X105   $    95     5,700      SH   DEFINED      5,15     5,700         0       -
AMERICAN COMMERCIAL LINES   COMMON 025195207   $ 4,726   432,387      SH   DEFINED         1   432,387         0       -
AMERICAN COMMERCIAL LINES   COMMON 025195207   $ 3,915   358,154      SH   DEFINED         2   358,154         0       -
AMERICAN COMMERCIAL LINES   COMMON 025195207   $    37     3,399      SH   DEFINED        23     3,399         0       -
AMERICAN COMMERCIAL LINES   COMMON 025195207   $   119    10,875      SH   DEFINED         5     2,725         0     8,150
AMERICAN DAIRY INC          COMMON 025334103   $   314    39,907      SH   DEFINED        23    39,907         0       -
AMERICAN DENTAL PARTNERS
INC                         COMMON 025353103   $     1        56      SH   DEFINED        23        56         0       -
AMERICAN ECOLOGY CORP       COMMON 025533407   $ 2,476    83,850      SH   DEFINED        23    83,850         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $31,593   785,315      SH   DEFINED         1   785,315         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $   531    13,200      SH   DEFINED     10,14    13,200         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $12,452   309,530      SH   DEFINED        14   256,530         0    37,600
AMERICAN ELECTRIC POWER     COMMON 025537101   $   149     3,700      SH   DEFINED     14,13       -           0     3,700
AMERICAN ELECTRIC POWER     COMMON 025537101   $ 5,025   124,900      SH   DEFINED      14,7       -           0   124,900
AMERICAN ELECTRIC POWER     COMMON 025537101   $   182     4,535      SH   DEFINED        22       -           0     4,535
AMERICAN ELECTRIC POWER     COMMON 025537101   $ 7,781   193,424      SH   DEFINED        23   193,424         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $    41     1,016      SH   DEFINED        24     1,016         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $   176     4,374      SH   DEFINED         5     3,923         0       451
AMERICAN ELECTRIC POWER     COMMON 025537101   $   342     8,500      SH   DEFINED      5,15     8,500         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $   459    11,419      SH   DEFINED         7    11,419         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $ 1,111    27,619      SH   DEFINED         8    27,619         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $ 2,394    59,500      SH   DEFINED      8,14    59,500         0       -
AMERICAN ELECTRIC POWER     COMMON 025537101   $    80     2,000      SH   DEFINED      9,14       -           0     2,000
AMERICAN EAGLE OUTFITTERS   COMMON 02553E106   $     300    22,000   SH   DEFINED          22      22,000           0         -
AMERICAN EAGLE OUTFITTERS   COMMON 02553E106   $     795    58,348   SH   DEFINED          23      58,348           0         -
AMERICAN EAGLE OUTFITTERS   COMMON 02553E106   $       2       122   SH   DEFINED          24         122           0         -
AMERICAN EAGLE OUTFITTERS   COMMON 02553E106   $     300    22,000   SH   DEFINED           5         -             0      22,000
AMERICAN EQUITY INVT LIFE
HL                          COMMON 025676206   $   3,694   453,200   SH   DEFINED          14     335,100           0     118,100
AMERICAN EQUITY INVT LIFE
 HL                         COMMON 025676206   $     290    35,587   SH   DEFINED          23      35,587           0         -
AMERICAN EQUITY INVT LIFE
 HL                         COMMON 025676206   $     573    70,300   SH   DEFINED        5,15      70,300           0         -
AMERICAN EQUITY INVT LIFE
 HL                         COMMON 025676206   $      48     5,900   SH   DEFINED           8       5,900           0         -
AMERICAN EQUITY INVT LIFE
 HL                         COMMON 025676206   $      14     1,700   SH   DEFINED        8,20       1,700           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $ 114,027 3,027,005   SH   DEFINED           1   3,027,005           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $     844    22,400   SH   DEFINED         1,3      22,400           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   1,334    35,400   SH   DEFINED       10,14      35,400           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $      41     1,100   SH   DEFINED          13       1,100           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $  66,379 1,762,110   SH   DEFINED          14   1,231,210           0     448,200
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   1,831    48,600   SH   DEFINED       14,13         -             0      48,600
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   4,411   117,100   SH   DEFINED        14,7         -             0     117,100
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   3,100    82,300   SH   DEFINED        18,3      82,300           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $     117     3,094   SH   DEFINED          19       3,094           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $     407    10,800   SH   DEFINED       20,14         -             0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   1,642    43,600   SH   DEFINED        20,3      43,600           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $     266     7,068   SH   DEFINED          21       7,068           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $  24,424   648,377   SH   DEFINED          22     115,859           0     532,518
AMERICAN EXPRESS COMPANY    COMMON 025816109   $  10,097   268,039   SH   DEFINED          23     268,039           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $      55     1,453   SH   DEFINED          24       1,453           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $ 117,331 3,114,700   SH   DEFINED           3   3,114,700           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $       2        42   SH   DEFINED           4          42           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   4,334   115,048   SH   DEFINED           5      76,923           0      38,125
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   4,102   108,900   SH   DEFINED        5,15     108,900           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $     467    12,400   SH   DEFINED           6      12,400           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   4,315   114,538   SH   DEFINED           7     114,538           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   2,934    77,893   SH   DEFINED           8      77,893           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $   7,914   210,100   SH   DEFINED        8,14     210,100           0         -
AMERICAN EXPRESS COMPANY    COMMON 025816109   $     994    26,400   SH   DEFINED        9,14         -             0      26,400
AMERICAN FINANCIAL
GROUP INC                   COMMON 025932104   $      55     2,050   SH   DEFINED          14       1,750           0         300
AMERICAN FINANCIAL
GROUP INC                   COMMON 025932104   $   1,329    49,682   SH   DEFINED          23      49,682           0         -
AMERICAN FINANCIAL
GROUP INC                   COMMON 025932104   $      27     1,023   SH   DEFINED          24       1,023           0         -
AMERICAN FINANCIAL
GROUP INC                   COMMON 025932104   $       6       225   SH   DEFINED           5         225           0         -
AMERICAN GREETINGS
CORP CL A                   COMMON 026375105   $   2,276   184,440   SH   DEFINED           1     184,440           0         -
AMERICAN GREETINGS
CORP CL A                   COMMON 026375105   $      63     5,100   SH   DEFINED        1,15       5,100           0         -
AMERICAN GREETINGS
CORP CL A                   COMMON 026375105   $  18,063 1,463,780   SH   DEFINED          14     853,980           0     597,100
AMERICAN GREETINGS
 CORP CL A                  COMMON 026375105   $     661    53,600   SH   DEFINED        14,7         -             0      53,600
AMERICAN GREETINGS
CORP CL A                   COMMON 026375105   $      90     7,256   SH   DEFINED          23       7,256           0         -
AMERICAN GREETINGS
CORP CL A                   COMMON 026375105   $       1       115   SH   DEFINED          24         115           0         -
AMERICAN GREETINGS
CORP CL A                   COMMON 026375105   $   1,120    90,800   SH   DEFINED        5,15      90,800           0         -
AMERICAN GREETINGS CORP
CL A                         COMMON 026375105  $     341    27,600   SH   DEFINED           8      27,600           0         -
AMERICAN GREETINGS CORP
CL A                         COMMON 026375105  $      94     7,600   SH   DEFINED        8,20       7,600           0         -
AMERICAN INCOME FUND
INC CEF                      COMMON 02672T109  $      12     1,500   SH   DEFINED          22         -             0       1,500
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $  76,051 2,874,200   SH   DEFINED           1   2,874,200           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $  10,893   411,690   SH   DEFINED          14     274,690           0     122,400
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $   2,159    81,600   SH   DEFINED        14,7         -             0      81,600
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $     188     7,100   SH   DEFINED       20,14         -             0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $     431    16,272   SH   DEFINED          21      16,272           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $  23,041   870,777   SH   DEFINED          22     161,890           0     708,888
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $   8,536   322,610   SH   DEFINED          23     322,610           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $     145     5,495   SH   DEFINED          24       5,495           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $   3,590   135,685   SH   DEFINED           4     135,685           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $   7,821   295,561   SH   DEFINED           5     210,119           0      85,442
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $     140     5,300   SH   DEFINED           6       5,300           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $   1,061    40,097   SH   DEFINED           7      40,097           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $  13,362   504,982   SH   DEFINED           8     504,982           0         -
AMERICAN INTERNATIONAL GROUP COMMON 026874107  $     315    11,900   SH   DEFINED        8,14      11,900           0         -
AMERICAN MEDICAL SYS HLDGS    COMMON 02744M108  $  25,412 1,699,797   SH   DEFINED           1   1,699,797          0         -
AMERICAN MEDICAL SYS HLDGS    COMMON 02744M108  $     151    10,100   SH   DEFINED          17      10,100          0         -
AMERICAN MEDICAL SYS HLDGS    COMMON 02744M108  $   1,546   103,424   SH   DEFINED           2     103,424          0         -
AMERICAN MEDICAL SYS HLDGS    COMMON 02744M108  $   2,164   144,762   SH   DEFINED        20,2         -            0     144,762
AMERICAN MEDICAL SYS HLDGS    COMMON 02744M108  $       3       205   SH   DEFINED          22         -            0         205
AMERICAN MEDICAL SYS HLDGS    COMMON 02744M108  $      53     3,524   SH   DEFINED          23       3,524          0         -
AMERICAN MORTGAGE ACCEPTANCE  COMMON 027568104  $      16    26,878   SH   DEFINED          23      26,878          0         -
AMERICAN NATIONAL INSURANCE   COMMON 028591105  $      45       460   SH   DEFINED          14         360          0         100
AMERICAN NATIONAL INSURANCE   COMMON 028591105  $      84       856   SH   DEFINED          23         856          0         -
AMERICAN NATIONAL INSURANCE   COMMON 028591105  $       1        15   SH   DEFINED          24          15          0         -
AMERICAN NATIONAL INSURANCE   COMMON 028591105  $       4        43   SH   DEFINED           5         -            0          43
AMERICAN ORIENTAL BIOENGINEER COMMON 028731107  $     272    27,551   SH   DEFINED          23      27,551          0         -
AMERICAN PACIFIC CORP         COMMON 028740108  $     238    14,025   SH   DEFINED          23      14,025          0         -
AMERICAN PHYSICIANS SVC GP    COMMON 028882108  $     252    11,440   SH   DEFINED          23      11,440          0         -
AMERICAN PHYSICIANS CAP INC   COMMON 028884104  $   3,134    64,700   SH   DEFINED          14      46,800          0      17,900
AMERICAN PHYSICIANS CAP INC   COMMON 028884104  $   5,368   110,826   SH   DEFINED          23     110,826          0         -
AMERICAN PHYSICIANS CAP INC   COMMON 028884104  $     209     4,314   SH   DEFINED          24       4,314          0         -
AMERICAN PHYSICIANS CAP INC   COMMON 028884104  $     576    11,900   SH   DEFINED        5,15      11,900          0         -
AMERICAN RAILCAR INDUSTRIES   COMMON 02916P103  $      18     1,075   SH   DEFINED          23       1,075          0         -
AMERICAN REPROGRAPHICS CO     COMMON 029263100  $      13       800   SH   DEFINED          22         -            0         800
AMERICAN REPROGRAPHICS CO     COMMON 029263100  $      67     4,029   SH   DEFINED          23       4,029          0         -
AMERICAN SCIENCE & ENGINEERING COMMON 029429107 $     396     7,679   SH   DEFINED          23       7,679          0         -
AMERICAN SELECT PORTFOLIO
CEF                           COMMON 029570108  $       9       800   SH   DEFINED          22         -            0         800
AMERICAN SOFTWARE INC         COMMON 029683109  $      30     5,400   SH   DEFINED          14       5,400          0         -
AMERICAN STATES WATER CO      COMMON 029899101  $  29,648   848,550   SH   DEFINED          23     848,550          0         -
AMERICAN STATES WATER CO      COMMON 029899101  $      86     2,475   SH   DEFINED           5         -            0       2,475
AMERICAN TOWER CORP CL A      COMMON 029912201  $  52,604 1,245,075   SH   DEFINED           1   1,245,075          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $      72     1,700   SH   DEFINED       10,14       1,700          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $      21       500   SH   DEFINED          13         500          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $  11,129   263,400   SH   DEFINED          14     124,600          0     134,200
AMERICAN TOWER CORP CL A      COMMON 029912201  $     841    19,900   SH   DEFINED        14,7         -            0      19,900
AMERICAN TOWER CORP CL A      COMMON 029912201  $   1,563    37,000   SH   DEFINED          17      37,000          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $   1,638    38,762   SH   DEFINED           2       7,733          0      31,029
AMERICAN TOWER CORP CL A      COMMON 029912201  $      21       500   SH   DEFINED       20,14         -            0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $   3,790    89,700   SH   DEFINED        20,2      89,700          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $     156     3,689   SH   DEFINED          22         -            0       3,689
AMERICAN TOWER CORP CL A      COMMON 029912201  $  17,661   418,001   SH   DEFINED          23     418,001          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $       7       170   SH   DEFINED          24         170          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $     308     7,285   SH   DEFINED           5         -            0       7,285
AMERICAN TOWER CORP CL A      COMMON 029912201  $     264     6,253   SH   DEFINED           7       6,253          0         -
AMERICAN TOWER CORP CL A      COMMON 029912201  $   1,644    38,900   SH   DEFINED        8,14      38,900          0         -
AMERICAN STRATEGIC INCOME
II C                          COMMON 030099105  $       4       400   SH   DEFINED          22         -             0         400
AMERICAN SUPERCONDUCTOR
CORP                          COMMON 030111108  $  38,735 1,080,484   SH   DEFINED          23   1,080,484           0         -
AMERICAN SUPERCONDUCTOR
CORP                          COMMON 030111108  $     125     3,479   SH   DEFINED          24       3,479           0         -
AMERICAN WOODMARK CORP        COMMON 030506109  $     852    40,300   SH   DEFINED          14      31,000           0       9,300
AMERICAN WOODMARK CORP        COMMON 030506109  $      77     3,635   SH   DEFINED          23       3,635           0         -
AMERICAN WOODMARK CORP        COMMON 030506109  $     142     6,700   SH   DEFINED        5,15       6,700           0         -
AMERICANWEST BANCORPORATION   COMMON 03058P109  $       -       149   SH   DEFINED          23         149           0         -
AMERICREDIT CORP              COMMON 03060R101  $   5,505   638,618   SH   DEFINED           1     638,618           0         -
AMERICREDIT CORP              COMMON 03060R101  $      23     2,640   SH   DEFINED          14       2,140           0         500
AMERICREDIT CORP              COMMON 03060R101  $     214    24,801   SH   DEFINED          23      24,801           0         -
AMERICREDIT CORP              COMMON 03060R101  $       4       456   SH   DEFINED          24         456           0         -
AMERICA'S CAR MART INC        COMMON 03062T105  $     321    17,896   SH   DEFINED          23      17,896           0         -
AMERIGON INC                  COMMON 03070L300  $   7,253 1,020,154   SH   DEFINED          23   1,020,154           0         -
AMERISTAR CASINOS INC         COMMON 03070Q101  $      46     3,332   SH   DEFINED          23       3,332           0         -
AMERON INTERNATIONAL CORP     COMMON 030710107  $  82,868   690,680   SH   DEFINED          23     690,680           0         -
AMERISAFE INC                 COMMON 03071H100  $     596    37,400   SH   DEFINED          14      37,400           0         -
AMERISAFE INC                 COMMON 03071H100  $     514    32,242   SH   DEFINED          23      32,242           0         -
AMERISAFE INC                 COMMON 03071H100  $      84     5,300   SH   DEFINED        5,15       5,300           0         -
AMERISAFE INC                 COMMON 03071H100  $     112     7,000   SH   DEFINED           8       7,000           0         -
AMERISAFE INC                 COMMON 03071H100  $      30     1,900   SH   DEFINED        8,20       1,900           0         -
AMERUS GROUP CO               COMMON 03072M108  $       -        40   SH   DEFINED           5         -             0          40
AMERISOURCEBERGEN CORP        COMMON 03073E105  $     535    13,372   SH   DEFINED        10,7      13,372           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $     490    12,262   SH   DEFINED          13      12,262           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $       4       100   SH   DEFINED          14         100           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $     673    16,821   SH   DEFINED          21      16,821           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $  17,433   435,938   SH   DEFINED          23     435,938           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $     934    23,368   SH   DEFINED          24      23,368           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $      48     1,200   SH   DEFINED           5         -             0       1,200
AMERISOURCEBERGEN CORP        COMMON 03073E105  $     580    14,500   SH   DEFINED           6      14,500           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $   4,952   123,838   SH   DEFINED           7     123,838           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $  20,503   512,699   SH   DEFINED           8     512,699           0         -
AMERISOURCEBERGEN CORP        COMMON 03073E105  $   3,004    75,124   SH   DEFINED           9      75,124           0         -
AMERIGROUP CORP               COMMON 03073T102  $   5,305   255,044   SH   DEFINED          23     255,044           0         -
AMERIGROUP CORP               COMMON 03073T102  $     111     5,343   SH   DEFINED          24       5,343           0         -
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $      33       800   SH   DEFINED          13         800           0         -
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $   2,935    72,170   SH   DEFINED          14      39,270           0      29,400
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $   1,423    35,000   SH   DEFINED        14,7         -             0      35,000
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $      33       800   SH   DEFINED       20,14         -             0         -
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $     482    11,854   SH   DEFINED          22       3,368           0       8,486
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $   4,120   101,305   SH   DEFINED          23     101,305           0         -
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $      13       319   SH   DEFINED          24         319           0         -
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $     217     5,332   SH   DEFINED           5       3,134           0       2,198
AMERIPRISE FINANCIAL INC      COMMON 03076C106  $     249     6,117   SH   DEFINED           7       6,117           0         -
AMERIS BANCORP                COMMON 03076K108  $     445    51,200   SH   DEFINED          14      38,600           0      12,600
AMERIS BANCORP                COMMON 03076K108  $      24     2,788   SH   DEFINED          23       2,788           0         -
AMERIS BANCORP                COMMON 03076K108  $      84     9,700   SH   DEFINED        5,15       9,700           0         -
AMERIGAS PARTNERS LP          COMMON 030975106  $     159     5,000   SH   DEFINED          22         -             0       5,000
AMETEK INC                    COMMON 031100100  $     198     4,200   SH   DEFINED          13       4,200           0         -
AMETEK INC                    COMMON 031100100  $     198     4,200   SH   DEFINED        13,3       4,200           0         -
AMETEK INC                    COMMON 031100100  $   5,263   111,450   SH   DEFINED          23     111,450           0         -
AMETEK INC                    COMMON 031100100  $       3        54   SH   DEFINED          24          54           0         -
AMETEK INC                    COMMON 031100100  $  67,043 1,419,800   SH   DEFINED           3   1,419,800           0         -
AMETEK INC                    COMMON 031100100  $      36       760   SH   DEFINED           5         -             0         760
AMGEN INC                     COMMON 031162100  $ 186,540 3,955,468   SH   DEFINED           1   3,955,468           0         -
AMGEN INC                     COMMON 031162100  $   1,580    33,500   SH   DEFINED       10,14      33,500           0         -
AMGEN INC                     COMMON 031162100  $      99     2,100   SH   DEFINED          13       2,100           0         -
AMGEN INC                     COMMON 031162100  $  99,493 2,109,680   SH   DEFINED          14   1,469,280           0     567,500
AMGEN INC                     COMMON 031162100  $   1,816    38,500   SH   DEFINED       14,13         -             0      38,500
AMGEN INC                     COMMON 031162100  $   8,673   183,900   SH   DEFINED        14,7         -             0     183,900
AMGEN INC                     COMMON 031162100  $     523    11,080   SH   DEFINED          17      11,080           0         -
AMGEN INC                     COMMON 031162100  $   2,998    63,561   SH   DEFINED           2      63,561           0         -
AMGEN INC                     COMMON 031162100  $     745    15,800   SH   DEFINED       20,14         -             0         -
AMGEN INC                     COMMON 031162100  $   4,221    89,497   SH   DEFINED        20,2         -             0      89,497
AMGEN INC                     COMMON 031162100  $  11,276   239,107   SH   DEFINED          22      30,726           0     208,381
AMGEN INC                     COMMON 031162100  $  22,538   477,906   SH   DEFINED          23     477,906           0         -
AMGEN INC                     COMMON 031162100  $   6,632   140,620   SH   DEFINED          24     140,620           0         -
AMGEN INC                     COMMON 031162100  $       7       151   SH   DEFINED           4         151           0         -
AMGEN INC                     COMMON 031162100  $     597    12,665   SH   DEFINED           5       1,800           0      10,865
AMGEN INC                     COMMON 031162100  $   4,084    86,600   SH   DEFINED        5,15      86,600           0         -
AMGEN INC                     COMMON 031162100  $     210     4,450   SH   DEFINED           6       4,450           0         -
AMGEN INC                     COMMON 031162100  $   2,767    58,677   SH   DEFINED           7      58,677           0         -
AMGEN INC                     COMMON 031162100  $  25,797   547,002   SH   DEFINED           8     547,002           0         -
AMGEN INC                     COMMON 031162100  $   8,385   177,800   SH   DEFINED        8,14     177,800           0         -
AMGEN INC                     COMMON 031162100  $     986    20,900   SH   DEFINED        9,14         -             0      20,900
AMICUS THERAPEUTICS INC       COMMON 03152W109  $       1        58   SH   DEFINED          23          58           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $   2,134   205,000   SH   DEFINED           1     205,000           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $   1,717   164,900   SH   DEFINED        1,15     164,900           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $     136    13,041   SH   DEFINED          11      13,041           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $  33,065 3,176,287   SH   DEFINED          14   1,713,987           0   1,441,700
AMKOR TECHNOLOGY INC          COMMON 031652100  $   1,009    96,900   SH   DEFINED        14,7         -             0      96,900
AMKOR TECHNOLOGY INC          COMMON 031652100  $   6,697   643,364   SH   DEFINED          23     643,364           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $       2       197   SH   DEFINED          24         197           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $   1,135   109,000   SH   DEFINED        5,15     109,000           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $     491    47,200   SH   DEFINED           8      47,200           0         -
AMKOR TECHNOLOGY INC          COMMON 031652100  $     134    12,900   SH   DEFINED        8,20      12,900           0         -
AMPAL-AMERICAN ISRAEL CORP-A  COMMON 032015109  $      20     3,500   SH   DEFINED          22         -             0       3,500
AMPAL-AMERICAN ISRAEL CORP-A  COMMON 032015109  $       1       202   SH   DEFINED          23         202           0         -
AMPCO-PITTSBURGH CORP         COMMON 032037103  $     261     5,858   SH   DEFINED          23       5,858           0         -
AMPCO-PITTSBURGH CORP         COMMON 032037103  $     159     3,575   SH   DEFINED           5         900           0       2,675
AMPHENOL CORP CL A            COMMON 032095101  $  69,552 1,549,723   SH   DEFINED           1   1,549,723           0         -
AMPHENOL CORP CL A            COMMON 032095101  $     539    12,000   SH   DEFINED          17      12,000           0         -
AMPHENOL CORP CL A            COMMON 032095101  $   3,573    79,607   SH   DEFINED           2       7,599           0      72,008
AMPHENOL CORP CL A            COMMON 032095101  $   1,077    24,000   SH   DEFINED        20,2      24,000           0         -
AMPHENOL CORP CL A            COMMON 032095101  $  14,123   314,673   SH   DEFINED          23     314,673           0         -
AMPHENOL CORP CL A            COMMON 032095101  $       3        66   SH   DEFINED          24          66           0         -
AMPHENOL CORP CL A            COMMON 032095101  $     688    15,333   SH   DEFINED           5         333           0      15,000
AMPHENOL CORP CL A            COMMON 032095101  $     136     3,028   SH   DEFINED           7       3,028           0         -
AMREP CORP                    COMMON 032159105  $      22       466   SH   DEFINED          23         466           0         -
AMSURG CORP                   COMMON 03232P405  $   2,508   103,016   SH   DEFINED          23     103,016           0         -
AMTECH SYSTEMS INC            COMMON 032332504  $     183    18,567   SH   DEFINED          23      18,567           0         -
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $   5,940   233,968   SH   DEFINED           1     233,968           0         -
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $     565    22,268   SH   DEFINED           2      22,268           0         -
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $     791    31,168   SH   DEFINED        20,2         -             0      31,168
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $       8       300   SH   DEFINED          22         -             0         300
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $       5       200   SH   DEFINED          23         200           0         -
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $     922    36,321   SH   DEFINED          24      36,321           0         -
AMYLIN PHARMACEUTICALS INC    COMMON 032346108  $      64     2,532   SH   DEFINED           7       2,532           0         -
AMTRUST FINANCIAL SERVICES    COMMON 032359309  $     533    42,324   SH   DEFINED          23      42,324           0         -
ANADARKO PETROLEUM CORP       COMMON 032511107  $  56,130   750,000   SH   DEFINED           1     750,000           0         -
ANADARKO PETROLEUM CORP       COMMON 032511107  $  23,073   308,293   SH   DEFINED          11      66,493           0     241,800
ANADARKO PETROLEUM CORP       COMMON 032511107  $  11,076   148,000   SH   DEFINED        13,2         -             0     148,000
ANADARKO PETROLEUM CORP       COMMON 032511107  $   3,660    48,906   SH   DEFINED          14      48,706           0         200
ANADARKO PETROLEUM CORP       COMMON 032511107  $      13       175   SH   DEFINED       18,11         175           0         -
ANADARKO PETROLEUM CORP       COMMON 032511107  $     486     6,500   SH   DEFINED       18,14         -             0       6,500
ANADARKO PETROLEUM CORP       COMMON 032511107  $   1,373    18,350   SH   DEFINED       19,14       9,950           0       8,400
ANADARKO PETROLEUM CORP       COMMON 032511107  $   1,876    25,070   SH   DEFINED          22       1,650           0      23,420
ANADARKO PETROLEUM CORP       COMMON 032511107  $  15,926   212,806   SH   DEFINED          23     212,806           0         -
ANADARKO PETROLEUM CORP       COMMON 032511107  $      66       885   SH   DEFINED          24         885           0         -
ANADARKO PETROLEUM CORP       COMMON 032511107  $   1,830    24,452   SH   DEFINED           5       8,770           0      15,682
ANADARKO PETROLEUM CORP       COMMON 032511107  $     697     9,318   SH   DEFINED           7       9,318           0         -
ANADARKO PETROLEUM CORP       COMMON 032511107  $   1,534    20,500   SH   DEFINED        8,14         -             0      20,500
ANADIGICS INC                 COMMON 032515108  $       5       529   SH   DEFINED          23         529           0         -
ANADIGICS INC                 COMMON 032515108  $   2,282   231,700   SH   DEFINED           3     231,700           0         -
ANALOG DEVICES                COMMON 032654105  $     778    24,500   SH   DEFINED       10,14      24,500           0         -
ANALOG DEVICES                COMMON 032654105  $     436    13,738   SH   DEFINED        10,7      13,738           0         -
ANALOG DEVICES                COMMON 032654105  $     550    17,299   SH   DEFINED          13      17,299           0         -
ANALOG DEVICES                COMMON 032654105  $   8,340   262,500   SH   DEFINED          14     189,000           0      68,100
ANALOG DEVICES                COMMON 032654105  $   2,106    66,300   SH   DEFINED        14,7         -             0      66,300
ANALOG DEVICES                COMMON 032654105  $     597    18,805   SH   DEFINED          19      18,805           0         -
ANALOG DEVICES                COMMON 032654105  $     138     4,334   SH   DEFINED          21       4,334           0         -
ANALOG DEVICES                COMMON 032654105  $   2,124    66,846   SH   DEFINED          22      13,471           0      53,375
ANALOG DEVICES                COMMON 032654105  $  17,225   542,187   SH   DEFINED          23     542,187           0         -
ANALOG DEVICES                COMMON 032654105  $       8       247   SH   DEFINED          24         247           0         -
ANALOG DEVICES                COMMON 032654105  $   9,826   309,290   SH   DEFINED           3     309,290           0         -
ANALOG DEVICES                COMMON 032654105  $       2        60   SH   DEFINED           4          60           0         -
ANALOG DEVICES                COMMON 032654105  $     173     5,437   SH   DEFINED           5       4,550           0         887
ANALOG DEVICES                COMMON 032654105  $   4,010   126,232   SH   DEFINED           7     126,232           0         -
ANALOG DEVICES                COMMON 032654105  $  10,126   318,713   SH   DEFINED           8     318,713           0         -
ANALOG DEVICES                COMMON 032654105  $   2,284    71,900   SH   DEFINED        8,14      71,900           0         -
ANALOG DEVICES                COMMON 032654105  $   2,109    66,390   SH   DEFINED           9      66,390           0         -
ANALOGIC CORP                 COMMON 032657207  $   2,351    37,274   SH   DEFINED          23      37,274           0         -
ANAREN INC                    COMMON 032744104  $     127    12,000   SH   DEFINED          14      12,000           0         -
ANAREN INC                    COMMON 032744104  $     193    18,215   SH   DEFINED          23      18,215           0         -
ANAREN INC                    COMMON 032744104  $      20     1,900   SH   DEFINED        5,15       1,900           0         -
ANAREN INC                    COMMON 032744104  $      30     2,800   SH   DEFINED           8       2,800           0         -
ANAREN INC                    COMMON 032744104  $       7       700   SH   DEFINED        8,20         700           0         -
ANCHOR BANCORP
WISCONSIN INC                 COMMON 032839102  $     121    17,288   SH   DEFINED          23      17,288           0         -
ANDERSONS INC - THE           COMMON 034164103  $   2,944    72,327   SH   DEFINED          23      72,327           0         -
ANGELICA CORP                 COMMON 034663104  $      55     2,609   SH   DEFINED          23       2,609           0         -
ANGIODYNAMICS INC             COMMON 03475V101  $      35     2,534   SH   DEFINED          23       2,534           0         -
ANGLO AMERICAN PLC
-UNSP ADR                     COMMON 03485P201  $      81     2,275   SH   DEFINED          22         -             0       2,275
ANGIOTECH PHARMACEUTICALS
INC                           COMMON 034918102  $       5     1,585   SH   DEFINED          22         -             0       1,585
ANGIOTECH PHARMACEUTICALS
INC                           COMMON 034918102  $       2       741   SH   DEFINED          23         741           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $  74,407 1,197,796   SH   DEFINED           1   1,197,796           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   2,019    32,500   SH   DEFINED       10,14      32,500           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $     920    14,806   SH   DEFINED        13,2         -             0      14,806
ANHEUSER-BUSCH COS INC        COMMON 035229103  $  35,754   575,560   SH   DEFINED          14     379,460           0     173,500
ANHEUSER-BUSCH COS INC        COMMON 035229103  $     758    12,200   SH   DEFINED       14,13         -             0      12,200
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   3,895    62,700   SH   DEFINED        14,7         -             0      62,700
ANHEUSER-BUSCH COS INC        COMMON 035229103  $     335     5,400   SH   DEFINED       20,14         -             0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   2,787    44,867   SH   DEFINED          22       7,955           0      36,912
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   3,680    59,234   SH   DEFINED          23      59,234           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $      53       853   SH   DEFINED          24         853           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $     752    12,100   SH   DEFINED         3,1      12,100           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $     464     7,470   SH   DEFINED           5       3,932           0       3,538
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   1,696    27,300   SH   DEFINED        5,15      27,300           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   1,648    26,532   SH   DEFINED           7      26,532           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   2,790    44,914   SH   DEFINED           8      44,914           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $   8,958   144,200   SH   DEFINED        8,14     144,200           0         -
ANHEUSER-BUSCH COS INC        COMMON 035229103  $     410     6,600   SH   DEFINED        9,14         -             0       6,600
ANIMAL HEALTH INTERNATIONAL   COMMON 03525N109  $   5,257     843,854 SH   DEFINED           1     843,854        0         -
ANIMAL HEALTH INTERNATIONAL   COMMON 03525N109  $      47       7,600 SH   DEFINED          17       7,600        0         -
ANIMAL HEALTH INTERNATIONAL   COMMON 03525N109  $     501      80,477 SH   DEFINED           2      80,477        0         -
ANIMAL HEALTH INTERNATIONAL   COMMON 03525N109  $     702     112,643 SH   DEFINED        20,2         -          0     112,643
ANIMAL HEALTH INTERNATIONAL   COMMON 03525N109  $      14       2,261 SH   DEFINED          23       2,261        0         -
ANIXTER INTERNATIONAL INC     COMMON 035290105  $     178       2,994 SH   DEFINED          23       2,994        0         -
ANIXTER INTERNATIONAL INC     COMMON 035290105  $       3          54 SH   DEFINED          24          54        0         -
ANIXTER INTERNATIONAL INC     COMMON 035290105  $      20         328 SH   DEFINED           5         328        0         -
ANNALY CAPITAL MANAGEMENT
INC                           COMMON 035710409  $  41,381   2,668,038 SH   DEFINED           1   2,668,038        0         -
ANNALY CAPITAL MANAGEMENT
INC                           COMMON 035710409  $     628      40,470 SH   DEFINED          14      13,470        0      24,800
ANNALY CAPITAL MANAGEMENT
INC                           COMMON 035710409  $   2,245     144,715 SH   DEFINED           2         -          0     144,715
ANNALY CAPITAL MANAGEMENT
 INC                          COMMON 035710409  $     286      18,419 SH   DEFINED          23      18,419        0         -
ANNALY CAPITAL MANAGEMENT
 INC                          COMMON 035710409  $       5         346 SH   DEFINED          24         346        0         -
ANNTAYLOR STORES CORP         COMMON 036115103  $  10,793     450,478 SH   DEFINED           1     450,478        0         -
ANNTAYLOR STORES CORP         COMMON 036115103  $   6,884     287,300 SH   DEFINED          14     114,500        0     171,700
ANNTAYLOR STORES CORP         COMMON 036115103  $   8,756     365,457 SH   DEFINED           2     365,457        0         -
ANNTAYLOR STORES CORP         COMMON 036115103  $   2,384      99,483 SH   DEFINED          23      99,483        0         -
ANNTAYLOR STORES CORP         COMMON 036115103  $       3         128 SH   DEFINED          24         128        0         -
ANSOFT CORP                   COMMON 036384105  $       6         153 SH   DEFINED          23         153        0         -
ANSYS INC                     COMMON 03662Q105  $  86,683   1,839,616 SH   DEFINED           1   1,839,616        0         -
ANSYS INC                     COMMON 03662Q105  $  16,249     344,837 SH   DEFINED           2     271,705        0      73,132
ANSYS INC                     COMMON 03662Q105  $   1,239      26,299 SH   DEFINED        20,2      26,299        0         -
ANSYS INC                     COMMON 03662Q105  $   5,921     125,649 SH   DEFINED          22     116,350        0       9,299
ANSYS INC                     COMMON 03662Q105  $   8,158     173,138 SH   DEFINED          23     173,138        0         -
ANSYS INC                     COMMON 03662Q105  $   3,684      78,188 SH   DEFINED           5      57,383        0      20,805
ANTARES PHARMA INC            COMMON 036642106  $     234     275,000 SH   DEFINED          22         -          0     275,000
ANTHRACITE CAPITAL INC        COMMON 037023108  $     215      30,551 SH   DEFINED          23      30,551        0         -
ANTIGENICS INC/DEL            COMMON 037032109  $       1         312 SH   DEFINED          23         312        0         -
ANWORTH MORTGAGE ASSET
CORP                          COMMON 037347101  $     865     132,900 SH   DEFINED          14     132,900        0         -
ANWORTH MORTGAGE ASSET
 CORP                         COMMON 037347101  $     319      49,055 SH   DEFINED          23      49,055        0         -
ANWORTH MORTGAGE ASSET
CORP                          COMMON 037347101  $     139      21,405 SH   DEFINED           5       5,205        0      16,200
ANWORTH MORTGAGE ASSET
 CORP                         COMMON 037347101  $     139      21,400 SH   DEFINED        5,15      21,400        0         -
AON CORP                      COMMON 037389103  $   1,960      42,665 SH   DEFINED           1      42,665        0         -
AON CORP                      COMMON 037389103  $   1,397      30,400 SH   DEFINED        1,15      30,400        0         -
AON CORP                      COMMON 037389103  $     147       3,200 SH   DEFINED       10,14       3,200        0         -
AON CORP                      COMMON 037389103  $      28         600 SH   DEFINED          13         600        0         -
AON CORP                      COMMON 037389103  $   2,058      44,800 SH   DEFINED          14      17,050        0      25,450
AON CORP                      COMMON 037389103  $     303       6,600 SH   DEFINED        14,7         -          0       6,600
AON CORP                      COMMON 037389103  $      28         600 SH   DEFINED       20,14         -          0         -
AON CORP                      COMMON 037389103  $     577      12,565 SH   DEFINED          22      11,750        0         815
AON CORP                      COMMON 037389103  $   3,627      78,941 SH   DEFINED          23      78,941        0         -
AON CORP                      COMMON 037389103  $      20         430 SH   DEFINED          24         430        0         -
AON CORP                      COMMON 037389103  $     130       2,825 SH   DEFINED           5       2,349        0         476
AON CORP                      COMMON 037389103  $     263       5,720 SH   DEFINED           7       5,720        0         -
AON CORP                      COMMON 037389103  $     386       8,395 SH   DEFINED           8       8,395        0         -
APACHE CORP                   COMMON 037411105  $ 189,642   1,364,334 SH   DEFINED           1   1,364,334        0         -
APACHE CORP                   COMMON 037411105  $     306       2,200 SH   DEFINED       10,14       2,200        0         -
APACHE CORP                   COMMON 037411105  $  28,239     203,157 SH   DEFINED          11      53,657        0     149,500
APACHE CORP                   COMMON 037411105  $      42         300 SH   DEFINED          13         300        0         -
APACHE CORP                   COMMON 037411105  $  20,433     147,000 SH   DEFINED        13,2         -          0     147,000
APACHE CORP                   COMMON 037411105  $  18,870     135,756 SH   DEFINED          14      95,056        0      35,400
APACHE CORP                   COMMON 037411105  $   2,975      21,400 SH   DEFINED        14,7         -          0      21,400
APACHE CORP                   COMMON 037411105  $      19         135 SH   DEFINED       18,11         135        0         -
APACHE CORP                   COMMON 037411105  $     723       5,200 SH   DEFINED       18,14         -          0       5,200
APACHE CORP                   COMMON 037411105  $   1,956      14,075 SH   DEFINED       19,14       7,775        0       6,300
APACHE CORP                   COMMON 037411105  $      42         300 SH   DEFINED       20,14         -          0         -
APACHE CORP                   COMMON 037411105  $     169       1,219 SH   DEFINED          21       1,219        0         -
APACHE CORP                   COMMON 037411105  $  47,307     340,341 SH   DEFINED          22      35,726        0     304,615
APACHE CORP                   COMMON 037411105  $  18,998     136,674 SH   DEFINED          23     136,674        0         -
APACHE CORP                   COMMON 037411105  $      64         460 SH   DEFINED          24         460        0         -
APACHE CORP                   COMMON 037411105  $   5,238      37,681 SH   DEFINED           5      22,839        0      14,842
APACHE CORP                   COMMON 037411105  $   1,641      11,809 SH   DEFINED           7      11,809        0         -
APACHE CORP                   COMMON 037411105  $   1,077       7,748 SH   DEFINED           8       7,748        0         -
APACHE CORP                   COMMON 037411105  $   2,295      16,508 SH   DEFINED        8,14         -          0      16,508
APCO ARGENTINA INC            COMMON 037489101  $       3         103 SH   DEFINED          23         103        0         -
APARTMENT INVT & MGMT
 CO CL A                      COMMON 03748R101  $   2,363      69,382   SH   DEFINED          14      69,382        0         -
APARTMENT INVT & MGMT
 CO CL A                      COMMON 03748R101  $     432      12,670   SH   DEFINED          23      12,670        0         -
APARTMENT INVT & MGMT
 CO CL A                      COMMON 03748R101  $       8         229   SH   DEFINED          24         229        0         -
APARTMENT INVT & MGMT
 CO CL A                      COMMON 03748R101  $       7         194   SH   DEFINED           5         -          0         194
APOGEE ENTERPRISES INC        COMMON 037598109  $     490      30,310   SH   DEFINED          23      30,310        0         -
APOGEE ENTERPRISES INC        COMMON 037598109  $      82       5,075   SH   DEFINED           5         -          0       5,075
APOLLO GROUP INC CL A         COMMON 037604105  $ 133,672   3,020,149   SH   DEFINED           1   3,020,149        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $   8,069     182,300   SH   DEFINED        1,15     182,300        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $     929      21,000   SH   DEFINED       10,14      21,000        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $     303       6,840   SH   DEFINED          11       6,840        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $      49       1,100   SH   DEFINED          13       1,100        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $  94,144   2,127,062   SH   DEFINED          14   1,405,862        0     635,400
APOLLO GROUP INC CL A         COMMON 037604105  $   1,961      44,300   SH   DEFINED       14,13         -          0      44,300
APOLLO GROUP INC CL A         COMMON 037604105  $   3,293      74,400   SH   DEFINED        14,7         -          0      74,400
APOLLO GROUP INC CL A         COMMON 037604105  $   7,209     162,881   SH   DEFINED           2     111,331        0      51,550
APOLLO GROUP INC CL A         COMMON 037604105  $     159       3,600   SH   DEFINED       20,14         -          0         -
APOLLO GROUP INC CL A         COMMON 037604105  $     565      12,767   SH   DEFINED          21      12,767        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $     238       5,369   SH   DEFINED          23       5,369        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $   2,074      46,853   SH   DEFINED          24      46,853        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $       1          24   SH   DEFINED           4          24        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $      11         240   SH   DEFINED           5         100        0         140
APOLLO GROUP INC CL A         COMMON 037604105  $   4,422      99,900   SH   DEFINED        5,15      99,900        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $   2,483      56,101   SH   DEFINED           7      56,101        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $  10,839     244,887   SH   DEFINED           8     244,887        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $   6,126     138,400   SH   DEFINED        8,14     138,400        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $     412       9,300   SH   DEFINED           9       9,300        0         -
APOLLO GROUP INC CL A         COMMON 037604105  $   1,067      24,100   SH   DEFINED        9,14         -          0      24,100
APOLLO GOLD CORP              COMMON 03761E102  $       8      13,500   SH   DEFINED          22      13,500        0         -
APOLLO INVESTMENT CORP CF     COMMON 03761U106  $   5,463     381,223   SH   DEFINED          23     381,223        0         -
APOLLO INVESTMENT CORP CF     COMMON 03761U106  $      69       4,800   SH   DEFINED          24       4,800        0         -
APPLE INC                     COMMON 037833100  $ 146,558     875,289   SH   DEFINED           1     875,289        0         -
APPLE INC                     COMMON 037833100  $   8,548      51,050   SH   DEFINED        1,15      51,050        0         -
APPLE INC                     COMMON 037833100  $   2,512      15,000   SH   DEFINED       10,14      15,000        0         -
APPLE INC                     COMMON 037833100  $      37         219   SH   DEFINED          11         219        0         -
APPLE INC                     COMMON 037833100  $      61         366   SH   DEFINED          13         366        0         -
APPLE INC                     COMMON 037833100  $      61         366   SH   DEFINED        13,2         366        0         -
APPLE INC                     COMMON 037833100  $ 152,201     908,989   SH   DEFINED          14     622,189        0     247,850
APPLE INC                     COMMON 037833100  $   3,340      19,950   SH   DEFINED       14,13         -          0      19,950
APPLE INC                     COMMON 037833100  $   9,561      57,100   SH   DEFINED        14,7         -          0      57,100
APPLE INC                     COMMON 037833100  $   2,512      15,000   SH   DEFINED          17      15,000        0         -
APPLE INC                     COMMON 037833100  $  25,732     153,679   SH   DEFINED           2     153,679        0         -
APPLE INC                     COMMON 037833100  $   1,281       7,650   SH   DEFINED       20,14         -          0         -
APPLE INC                     COMMON 037833100  $   3,427      20,468   SH   DEFINED        20,2      20,468        0         -
APPLE INC                     COMMON 037833100  $ 104,507     624,145   SH   DEFINED          22     234,194        0     389,951
APPLE INC                     COMMON 037833100  $  37,886     226,268   SH   DEFINED          23     226,268        0         -
APPLE INC                     COMMON 037833100  $  56,656     338,367   SH   DEFINED          24     338,367        0         -
APPLE INC                     COMMON 037833100  $   1,251       7,473   SH   DEFINED         3,1       7,473        0         -
APPLE INC                     COMMON 037833100  $     614       3,669   SH   DEFINED           4       3,669        0         -
APPLE INC                     COMMON 037833100  $  28,840     172,239   SH   DEFINED           5     101,530        0      70,709
APPLE INC                     COMMON 037833100  $   7,543      45,050   SH   DEFINED        5,15      45,050        0         -
APPLE INC                     COMMON 037833100  $   1,206       7,200   SH   DEFINED           6       7,200        0         -
APPLE INC                     COMMON 037833100  $   6,119      36,542   SH   DEFINED           7      36,542        0         -
APPLE INC                     COMMON 037833100  $   9,052      54,061   SH   DEFINED           8      54,061        0         -
APPLE INC                     COMMON 037833100  $  12,181      72,750   SH   DEFINED        8,14      72,750        0         -
APPLE INC                     COMMON 037833100  $     130         777   SH   DEFINED         8,2         777        0         -
APPLE INC                     COMMON 037833100  $   1,817      10,850   SH   DEFINED        9,14         -          0      10,850
APRIA HEALTHCARE GROUP INC    COMMON 037933108  $  19,592   1,010,400   SH   DEFINED          14     484,700        0     517,600
APRIA HEALTHCARE GROUP INC    COMMON 037933108  $   1,280      66,000   SH   DEFINED        14,7         -          0      66,000
APRIA HEALTHCARE GROUP INC    COMMON 037933108  $     133       6,853   SH   DEFINED          23       6,853        0         -
APRIA HEALTHCARE GROUP INC    COMMON 037933108  $       2         115   SH   DEFINED          24         115        0         -
APRIA HEALTHCARE GROUP INC    COMMON 037933108  $     510      26,300   SH   DEFINED           8      26,300        0         -
APRIA HEALTHCARE GROUP INC    COMMON 037933108  $     140       7,200   SH   DEFINED        8,20       7,200        0         -
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $  19,045     568,847   SH   DEFINED            1   568,847         0       -
APPLERA CORP-APPLIED
 BIOSYSTEM                    COMMON 038020103  $  14,678     438,400   SH   DEFINED           14   147,400         0   289,700
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $     583      17,400   SH   DEFINED         14,7       -           0    17,400
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $     201       6,000   SH   DEFINED           17     6,000         0       -
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $   1,142      34,107   SH   DEFINED            2    34,107         0       -
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $   1,598      47,739   SH   DEFINED         20,2       -           0    47,739
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $  14,101     421,186   SH   DEFINED           23   421,186         0       -
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $       3         103   SH   DEFINED           24       103         0       -
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $      28         850   SH   DEFINED            5       250         0       600
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $     138       4,136   SH   DEFINED            7     4,136         0       -
APPLERA CORP-APPLIED
BIOSYSTEM                     COMMON 038020103  $   1,701      50,800   SH   DEFINED         8,14    50,800         0       -
CELERA GROUP-APPLERA CORP     COMMON 038020202  $     179      15,732   SH   DEFINED           23    15,732         0       -
APPLIED ENERGETICS INC        COMMON 03819M106  $       1         518   SH   DEFINED           23       518         0       -
APPLIED INDUSTRIAL TECH
INC                           COMMON 03820C105  $     742      30,700   SH   DEFINED           14    21,100         0     9,600
APPLIED INDUSTRIAL TECH
INC                           COMMON 03820C105  $   3,935     162,815   SH   DEFINED           23   162,815         0       -
APPLIED INDUSTRIAL TECH
INC                           COMMON 03820C105  $     189       7,799   SH   DEFINED           24     7,799         0       -
APPLIED INDUSTRIAL TECH
INC                           COMMON 03820C105  $       2          74   SH   DEFINED            5        74         0       -
APPLIED INDUSTRIAL TECH
 INC                          COMMON 03820C105  $      75       3,100   SH   DEFINED         5,15     3,100         0       -
APPLIED INDUSTRIAL TECH
 INC                          COMMON 03820C105  $     189       7,800   SH   DEFINED            8     7,800         0       -
APPLIED INDUSTRIAL TECH
 INC                          COMMON 03820C105  $      51       2,100   SH   DEFINED         8,20     2,100         0       -
APPLIED MATERIALS INC         COMMON 038222105  $  10,803     565,884   SH   DEFINED           1     565,884        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   3,364     176,200   SH   DEFINED        1,15     176,200        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   1,113      58,300   SH   DEFINED       10,14      58,300        0       -
APPLIED MATERIALS INC         COMMON 038222105  $     739      38,726   SH   DEFINED        10,7      38,726        0       -
APPLIED MATERIALS INC         COMMON 038222105  $      34       1,806   SH   DEFINED          11       1,806        0       -
APPLIED MATERIALS INC         COMMON 038222105  $     758      39,702   SH   DEFINED          13      39,702        0       -
APPLIED MATERIALS INC         COMMON 038222105  $  81,649   4,277,073   SH   DEFINED          14   2,883,373        0 1,219,800
APPLIED MATERIALS INC         COMMON 038222105  $   2,025     106,100   SH   DEFINED       14,13         -          0   106,100
APPLIED MATERIALS INC         COMMON 038222105  $   4,715     247,000   SH   DEFINED        14,7         -          0   247,000
APPLIED MATERIALS INC         COMMON 038222105  $     725      38,000   SH   DEFINED          17      38,000        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   1,881      98,515   SH   DEFINED          19      98,515        0       -
APPLIED MATERIALS INC         COMMON 038222105  $      78       4,100   SH   DEFINED       20,14         -          0       -
APPLIED MATERIALS INC         COMMON 038222105  $   1,344      70,393   SH   DEFINED        20,2      70,393        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   3,672     192,343   SH   DEFINED          21     192,343        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   8,395     439,776   SH   DEFINED          22      58,654        0   381,122
APPLIED MATERIALS INC         COMMON 038222105  $  39,838   2,086,860   SH   DEFINED          23   2,086,860        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   3,695     193,565   SH   DEFINED          24     193,565        0       -
APPLIED MATERIALS INC         COMMON 038222105  $  68,892   3,608,800   SH   DEFINED           3   3,608,800        0       -
APPLIED MATERIALS INC         COMMON 038222105  $     212      11,109   SH   DEFINED           5       2,000        0     9,109
APPLIED MATERIALS INC         COMMON 038222105  $   4,545     238,100   SH   DEFINED        5,15     238,100        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   8,766     459,208   SH   DEFINED           7     459,208        0       -
APPLIED MATERIALS INC         COMMON 038222105  $  17,719     928,206   SH   DEFINED           8     928,206        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   7,199     377,100   SH   DEFINED        8,14     377,100        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   3,558     186,392   SH   DEFINED           9     186,392        0       -
APPLIED MATERIALS INC         COMMON 038222105  $   1,101      57,700   SH   DEFINED        9,14         -          0    57,700
APPLIED MICRO CIRCUITS
CORP                         COMMON 03822W406   $       2         200   SH   DEFINED          22         -         0         200
APPLIED MICRO CIRCUITS
CORP                         COMMON 03822W406   $      70       8,212   SH   DEFINED          23       8,212       0         -
APPLIED SIGNAL TECHNOLOGY    COMMON 038237103   $     150      11,014   SH   DEFINED          23      11,014       0         -
APTARGROUP INC               COMMON 038336103   $   5,978     142,507   SH   DEFINED           1     142,507       0         -
APTARGROUP INC               COMMON 038336103   $   3,458      82,431   SH   DEFINED           2      32,322       0      50,109
APTARGROUP INC               COMMON 038336103   $     173       4,120   SH   DEFINED          22       4,120       0         -
APTARGROUP INC               COMMON 038336103   $     823      19,628   SH   DEFINED          23      19,628       0         -
APTARGROUP INC               COMMON 038336103   $       3          62   SH   DEFINED          24          62       0         -
AQUA AMERICA INC             COMMON 03836W103   $      13         816   SH   DEFINED          22         -         0         816
AQUA AMERICA INC             COMMON 03836W103   $  29,412   1,841,680   SH   DEFINED          23   1,841,680       0         -
AQUA AMERICA INC             COMMON 03836W103   $      67       4,182   SH   DEFINED          24       4,182       0         -
AQUA AMERICA INC             COMMON 03836W103   $     459      28,744   SH   DEFINED           5       3,744       0      25,000
AQUA AMERICA INC             COMMON 03836W103   $     131       8,222   SH   DEFINED           7       8,222       0         -
AQUILA INC                   COMMON 03840P102   $       1         300   SH   DEFINED          22         -         0         300
AQUILA INC                   COMMON 03840P102   $     245      65,008   SH   DEFINED          23      65,008       0         -
ARABIAN AMERICAN DEVELOPME   COMMON 038465100   $       1         150   SH   DEFINED          23         150       0         -
ARACRUZ CELULOSE SA ADR      COMMON 038496204   $     271       3,697   SH   DEFINED          23       3,697       0         -
ARACRUZ CELULOSE SA ADR      COMMON 038496204   $  72,208     983,900   SH   DEFINED           3     983,900       0         -
ARACRUZ CELULOSE SA ADR      COMMON 038496204   $     286       3,900   SH   DEFINED           5         -         0       3,900
ARACRUZ CELULOSE SA ADR      COMMON 038496204   $   6,422      87,500   SH   DEFINED           8      87,500       0         -
ARBINET-THEXCHANGE INC       COMMON 03875P100   $      23       5,877   SH   DEFINED          23       5,877       0         -
ARBITRON INC                 COMMON 03875Q108   $      33         700   SH   DEFINED          14         700       0         -
ARBITRON INC                 COMMON 03875Q108   $       1          30   SH   DEFINED          22         -         0          30
ARBITRON INC                 COMMON 03875Q108   $   1,804      37,987   SH   DEFINED          23      37,987       0         -
ARBITRON INC                 COMMON 03875Q108   $     309       6,500   SH   DEFINED           5         -         0       6,500
ARBOR REALTY TRUST INC       COMMON 038923108   $     177      19,754   SH   DEFINED          23      19,754       0         -
ARCH CHEMICALS INC           COMMON 03937R102   $     292       8,800   SH   DEFINED          23       8,800       0         -
ARCH COAL INC                COMMON 039380100   $   4,554      60,690   SH   DEFINED          22       4,000       0      56,690
ARCH COAL INC                COMMON 039380100   $   4,480      59,713   SH   DEFINED          23      59,713       0         -
ARCH COAL INC                COMMON 039380100   $       5          60   SH   DEFINED          24          60       0         -
ARCH COAL INC                COMMON 039380100   $     112       1,490   SH   DEFINED           5       1,060       0         430
ARCH COAL INC                COMMON 039380100   $     203       2,709   SH   DEFINED           7       2,709       0         -
ARCELORMITTAL SA LUXEMBOURG  COMMON 03938L104   $      40         400   SH   DEFINED           5         -         0         400
ARCHER-DANIELS-MIDLAND CO    COMMON 039483102   $      17         500   SH   DEFINED          14         500       0         -
ARCHER-DANIELS-MIDLAND CO    COMMON 039483102   $      25         749   SH   DEFINED          22         -         0         749
ARCHER-DANIELS-MIDLAND CO    COMMON 039483102   $   2,203      65,270   SH   DEFINED          23      65,270       0         -
ARCHER-DANIELS-MIDLAND CO    COMMON 039483102   $      31         911   SH   DEFINED          24         911       0         -
ARCHER-DANIELS-MIDLAND CO    COMMON 039483102   $     343      10,153   SH   DEFINED           7      10,153       0         -
ARCTIC CAT INC               COMMON 039670104   $      80      10,132   SH   DEFINED          23      10,132       0         -
ARDEA BIOSCIENCES INC        COMMON 03969P107   $     221      17,202   SH   DEFINED          23      17,202       0         -
ARDEN GROUP INC  -CL A       COMMON 039762109   $      50         423   SH   DEFINED          23         423       0         -
ARENA PHARMACEUTICALS INC    COMMON 040047102   $       3         631   SH   DEFINED          23         631       0         -
ARENA RESOURCES INC          COMMON 040049108   $  21,066     398,832   SH   DEFINED           1     398,832       0         -
ARENA RESOURCES INC          COMMON 040049108   $  17,289     327,310   SH   DEFINED           2     327,310       0         -
ARES CAPITAL CORP            COMMON 04010L103   $   4,589     455,243   SH   DEFINED          23     455,243       0         -
ARES CAPITAL CORP            COMMON 04010L103   $      36       3,620   SH   DEFINED          24       3,620       0         -
ARGON ST INC                 COMMON 040149106   $     521      20,993   SH   DEFINED          23      20,993       0         -
ARIAD PHARMACEUTICALS INC    COMMON 04033A100   $       1         601   SH   DEFINED          23         601       0         -
ARIBA INC                    COMMON 04033V203   $  11,624     790,200   SH   DEFINED           1     790,200       0         -
ARIBA INC                    COMMON 04033V203   $   6,702     455,592   SH   DEFINED           2     178,643       0     276,949
ARIBA INC                    COMMON 04033V203   $     117       7,950   SH   DEFINED          23       7,950       0         -
ARIBA INC                    COMMON 04033V203   $     300      20,400   SH   DEFINED           3      20,400       0         -
ARKANSAS BEST CORP           COMMON 040790107   $   4,882     133,233   SH   DEFINED          23     133,233       0         -
ARKANSAS BEST CORP           COMMON 040790107   $     212       5,786   SH   DEFINED          24       5,786       0         -
ARM HOLDINGS PLC ADR         COMMON 042068106   $      11       2,087   SH   DEFINED          22         500       0       1,587
ARM HOLDINGS PLC ADR         COMMON 042068106   $       3         556   SH   DEFINED          23         556       0         -
ARMSTRONG WORLD INDUSTRIES   COMMON 04247X102   $     636      21,754   SH   DEFINED          23      21,754       0         -
ARMSTRONG WORLD INDUSTRIES   COMMON 04247X102   $       2          60   SH   DEFINED          24          60       0         -
ARMSTRONG WORLD INDUSTRIES   COMMON 04247X102   $     131       4,480   SH   DEFINED           5         -         0       4,480
ARQULE INC                   COMMON 04269E107   $       1         382   SH   DEFINED          23         382       0         -
ARQULE INC                   COMMON 04269E107   $     325     100,000   SH   DEFINED           5     100,000       0         -
ARRIS GROUP INC              COMMON 04269Q100   $   6,909     817,613   SH   DEFINED           1     817,613       0         -
ARRIS GROUP INC              COMMON 04269Q100   $   4,082     483,063   SH   DEFINED           2     188,013       0     295,050
ARRIS GROUP INC              COMMON 04269Q100   $     470      55,617   SH   DEFINED          23      55,617       0         -
ARRAY BIOPHARMA INC          COMMON 04269X105   $   2,499     531,779   SH   DEFINED           1     531,779       0         -
ARRAY BIOPHARMA INC          COMMON 04269X105   $     238      50,715   SH   DEFINED           2      50,715       0         -
ARRAY BIOPHARMA INC          COMMON 04269X105   $     334      70,986   SH   DEFINED        20,2         -         0      70,986
ARRAY BIOPHARMA INC          COMMON 04269X105   $       2         411   SH   DEFINED          23         411       0         -
ARRAY BIOPHARMA INC          COMMON 04269X105   $      47      10,000   SH   DEFINED           5         -         0      10,000
ARROW ELECTRONICS INC        COMMON 042735100   $     576      18,736   SH   DEFINED          23      18,736       0         -
ARROW ELECTRONICS INC        COMMON 042735100   $      12         381   SH   DEFINED          24         381       0         -
ARROW ELECTRONICS INC        COMMON 042735100   $      59       1,913   SH   DEFINED           5         250       0       1,663
ARROW FINANCIAL CORP         COMMON 042744102   $     133       7,324   SH   DEFINED          14       7,324       0         -
ARROW FINANCIAL CORP         COMMON 042744102   $      36       1,995   SH   DEFINED          23       1,995       0         -
ARROW FINANCIAL CORP         COMMON 042744102   $      29       1,600   SH   DEFINED        5,15       1,600       0         -
ARROWHEAD RESEARCH CORP      COMMON 042797100   $   3,069   1,232,498   SH   DEFINED          23   1,232,498       0         -
ART TECHNOLOGY GROUP INC     COMMON 04289L107   $       1         320   SH   DEFINED          22         -         0         320
ART TECHNOLOGY GROUP INC     COMMON 04289L107   $      11       3,559   SH   DEFINED          23       3,559       0         -
ART TECHNOLOGY GROUP INC     COMMON 04289L107   $     183      57,278   SH   DEFINED           5      20,174       0      37,104
ARTHROCARE CORP              COMMON 043136100   $      53       1,300   SH   DEFINED          14       1,300       0         -
ARTHROCARE CORP              COMMON 043136100   $      55       1,346   SH   DEFINED          23       1,346       0         -
ARTHROCARE CORP              COMMON 043136100   $     141       3,450   SH   DEFINED           5         -         0       3,450
ARVINMERITOR INC.            COMMON 043353101   $     323      25,856   SH   DEFINED          23      25,856       0         -
ARVINMERITOR INC.            COMMON 043353101   $       6         501   SH   DEFINED          24         501       0         -
ARVINMERITOR INC.            COMMON 043353101   $      97       7,750   SH   DEFINED           5       1,925       0       5,825
ARYX THERAPEUTICS INC        COMMON 043387109   $   4,632     582,692   SH   DEFINED           1     582,692       0         -
ARYX THERAPEUTICS INC        COMMON 043387109   $     439      55,209   SH   DEFINED           2      55,209       0         -
ARYX THERAPEUTICS INC        COMMON 043387109   $     656      82,489   SH   DEFINED        20,2         -         0      82,489
ASBURY AUTOMOTIVE GROUP      COMMON 043436104   $     370      28,827   SH   DEFINED          23      28,827       0         -
ASBURY AUTOMOTIVE GROUP      COMMON 043436104   $       3         246   SH   DEFINED          24         246       0         -
ASBURY AUTOMOTIVE GROUP      COMMON 043436104   $     134      10,425   SH   DEFINED           5       2,600       0       7,825
ASCENT SOLAR TECHNOLOGIES    COMMON 043635101   $   9,793     763,323   SH   DEFINED          23     763,323       0         -
ASHFORD HOSPITALITY TRUST    COMMON 044103109   $     427      92,500   SH   DEFINED          14      92,500       0         -
ASHFORD HOSPITALITY TRUST    COMMON 044103109   $      70      15,254   SH   DEFINED          23      15,254       0         -
ASHLAND INC                  COMMON 044209104   $   1,645      34,128   SH   DEFINED          23      34,128       0         -
ASHLAND INC                  COMMON 044209104   $      14         282   SH   DEFINED          24         282       0         -
ASHLAND INC                  COMMON 044209104   $     148       3,075   SH   DEFINED           5       3,000       0          75
ASIAINFO HOLDINGS INC        COMMON 04518A104   $   6,020     509,300   SH   DEFINED          14     340,100       0     169,200
ASIAINFO HOLDINGS INC        COMMON 04518A104   $   1,521     128,717   SH   DEFINED          23     128,717       0         -
ASIAINFO HOLDINGS INC        COMMON 04518A104   $     942      79,700   SH   DEFINED        5,15      79,700       0         -
ASIAINFO HOLDINGS INC        COMMON 04518A104   $     293      24,800   SH   DEFINED           8      24,800       0         -
ASIAINFO HOLDINGS INC        COMMON 04518A104   $      80       6,800   SH   DEFINED        8,20       6,800       0         -
ASPECT MEDICAL SYSTEMS INC   COMMON 045235108   $       4         635   SH   DEFINED          23         635       0         -
ASPENBIO PHARMA INC          COMMON 045346103   $       1         184   SH   DEFINED          23         184       0         -
ASSET ACCEPTANCE CAPITAL
CORP                         COMMON 04543P100   $      54       4,414   SH   DEFINED          23       4,414       0         -
ASSISTED LIVING CONCEPTS
I-A                          COMMON 04544X102   $   6,309   1,147,006   SH   DEFINED           1   1,147,006       0         -
ASSISTED LIVING CONCEPTS
I-A                          COMMON 04544X102   $     600     109,166   SH   DEFINED           2     109,166       0         -
ASSISTED LIVING CONCEPTS
I-A                          COMMON 04544X102   $     840     152,799   SH   DEFINED        20,2         -         0     152,799
ASSISTED LIVING CONCEPTS
I-A                          COMMON 04544X102   $      58      10,588   SH   DEFINED          23      10,588       0         -
ASSOCIATED BANC CORP         COMMON 045487105   $      19       1,000   SH   DEFINED          14       1,000       0         -
ASSOCIATED BANC CORP         COMMON 045487105   $      42       2,178   SH   DEFINED          22         -         0       2,178
ASSOCIATED BANC CORP         COMMON 045487105   $   2,263     117,304   SH   DEFINED          23     117,304       0         -
ASSOCIATED BANC CORP         COMMON 045487105   $      28       1,438   SH   DEFINED          24       1,438       0         -
ASSOCIATED ESTATES REALTY
CORP                         COMMON 045604105   $     129      12,000   SH   DEFINED          14      12,000       0         -
ASSOCIATED ESTATES REALTY
CORP                         COMMON 045604105   $      44       4,133   SH   DEFINED          23       4,133       0         -
ASSURANT INC                 COMMON 04621X108   $  48,040     728,322   SH   DEFINED           1     728,322       0         -
ASSURANT INC                 COMMON 04621X108   $      44         660   SH   DEFINED          14         560       0         100
ASSURANT INC                 COMMON 04621X108   $   3,428      51,968   SH   DEFINED           2      51,968       0         -
ASSURANT INC                 COMMON 04621X108   $   7,816     118,493   SH   DEFINED          23     118,493       0         -
ASSURANT INC                 COMMON 04621X108   $     225       3,413   SH   DEFINED          24       3,413       0         -
ASSURANT INC                 COMMON 04621X108   $      37         554   SH   DEFINED           5          30       0         524
ASSURANT INC                 COMMON 04621X108   $     142       2,157   SH   DEFINED         8,2       2,157       0         -
ASTA FUNDING INC             COMMON 046220109   $      25       2,803   SH   DEFINED          23       2,803       0         -
ASTEC INDUSTRIES INC         COMMON 046224101   $     565      17,576   SH   DEFINED          23      17,576       0         -
ASTORIA FINANCIAL CORP       COMMON 046265104   $     876      43,640   SH   DEFINED          14      39,640       0       2,200
ASTORIA FINANCIAL CORP       COMMON 046265104   $       2          85   SH   DEFINED          22         -         0          85
ASTORIA FINANCIAL CORP       COMMON 046265104   $   2,202     109,669   SH   DEFINED          23     109,669       0         -
ASTORIA FINANCIAL CORP       COMMON 046265104   $       3         154   SH   DEFINED          24         154       0         -
ASTORIA FINANCIAL CORP       COMMON 046265104   $     127       6,315   SH   DEFINED           5       1,515       0       4,800
ASTORIA FINANCIAL CORP       COMMON 046265104   $     313      15,563   SH   DEFINED           8      15,563       0         -
ASTRAZENECA PLC ADR          COMMON 046353108   $     602      14,143   SH   DEFINED          22         -         0      14,143
ASTRAZENECA PLC ADR          COMMON 046353108   $  10,416     244,900   SH   DEFINED          23     244,900       0         -
ASTRAZENECA PLC ADR          COMMON 046353108   $       6         140   SH   DEFINED           4         140       0         -
ASTRAZENECA PLC ADR          COMMON 046353108   $     290       6,821   SH   DEFINED           5         194       0       6,627
ASTRONICS CORP               COMMON 046433108   $       1          59   SH   DEFINED          23          59       0         -
ASYST TECHNOLOGIES INC       COMMON 04648X107   $      40      11,234   SH   DEFINED          23      11,234       0         -
ASYST TECHNOLOGIES INC       COMMON 04648X107   $      21       6,000   SH   DEFINED           5         -         0       6,000
ATHENAHEALTH INC             COMMON 04685W103   $   1,037      33,700   SH   DEFINED          22         -         0      33,700
ATHEROS COMMUNICATIONS       COMMON 04743P108   $     330      11,014   SH   DEFINED          23      11,014       0         -
ATHERSYS INC                 COMMON 04744L106   $     680     277,594   SH   DEFINED           1     277,594       0         -
ATLANTIC AMERICAN CORP       COMMON 048209100   $       7       5,025   SH   DEFINED          22       5,025       0         -
ATLANTIC AMERICAN CORP       COMMON 048209100   $      26      18,246   SH   DEFINED           5         -         0      18,246
ATLANTIC TELE-NETWORK INC    COMMON 049079205   $   1,650      59,972   SH   DEFINED          23      59,972       0         -
ATLAS AIR WORLDWIDE HOLDINGS COMMON 049164205   $   1,593      32,200   SH   DEFINED          14      21,300       0      10,900
ATLAS AIR WORLDWIDE HOLDINGS COMMON 049164205   $     154       3,109   SH   DEFINED          23       3,109       0         -
ATLAS AIR WORLDWIDE HOLDINGS COMMON 049164205   $     188       3,800   SH   DEFINED        5,15       3,800       0         -
ATLAS AIR WORLDWIDE HOLDINGS COMMON 049164205   $     292       5,900   SH   DEFINED           8       5,900       0         -
ATLAS AIR WORLDWIDE HOLDINGS COMMON 049164205   $      79       1,600   SH   DEFINED        8,20       1,600       0         -
ATLAS AMERICA INC            COMMON 049167109   $      70       1,562   SH   DEFINED          23       1,562       0         -
ATLAS AMERICA INC            COMMON 049167109   $   6,122     135,900   SH   DEFINED           5     126,600       0       9,300
ATLAS PIPELINE PARTNERS-UTS. COMMON 049392103   $   1,836      47,000   SH   DEFINED           5      47,000       0         -
ATMEL CORP                   COMMON 049513104   $  12,863   3,696,200   SH   DEFINED          14   1,504,600       0   2,171,200
ATMEL CORP                   COMMON 049513104   $     188      54,051   SH   DEFINED          23      54,051       0         -
ATMEL CORP                   COMMON 049513104   $       3         762   SH   DEFINED          24         762       0         -
ATMEL CORP                   COMMON 049513104   $     126      36,180   SH   DEFINED           5         -         0      36,180
ATMOS ENERGY CORP            COMMON 049560105   $       8         300   SH   DEFINED          14         300       0         -
ATMOS ENERGY CORP            COMMON 049560105   $   3,605     130,768   SH   DEFINED          23     130,768       0         -
ATMOS ENERGY CORP            COMMON 049560105   $       7         263   SH   DEFINED          24         263       0         -
ATMOS ENERGY CORP            COMMON 049560105   $     148       5,370   SH   DEFINED           5       1,370       0       4,000
ARTICURE INC                 COMMON 04963C209   $       1         124   SH   DEFINED          23         124       0         -
ARTICURE INC                 COMMON 04963C209   $   1,025      94,900   SH   DEFINED           3      94,900       0         -
ATRION CORPORATION           COMMON 049904105   $       2          17   SH   DEFINED          23          17       0         -
ATWOOD OCEANICS INC          COMMON 050095108   $     622       5,000   SH   DEFINED          14       5,000       0         -
ATWOOD OCEANICS INC          COMMON 050095108   $     145       1,168   SH   DEFINED          23       1,168       0         -
ATWOOD OCEANICS INC          COMMON 050095108   $      36         286   SH   DEFINED           5         286       0         -
ATWOOD OCEANICS INC          COMMON 050095108   $     485       3,900   SH   DEFINED           8       3,900       0         -
ATWOOD OCEANICS INC          COMMON 050095108   $     137       1,100   SH   DEFINED        8,20       1,100       0         -
AUDIOVOX CORP CL A           COMMON 050757103   $     285      29,040   SH   DEFINED          23      29,040       0         -
AUTHENTEC INC COM            COMMON 052660107   $   2,175     208,700   SH   DEFINED          14     171,100       0      37,600
AUTHENTEC INC COM            COMMON 052660107   $       1          71   SH   DEFINED          23          71       0         -
AUTHENTEC INC COM            COMMON 052660107   $     164      15,700   SH   DEFINED        5,15      15,700       0         -
AUTHENTEC INC COM            COMMON 052660107   $   4,241     406,976   SH   DEFINED           8     406,976       0         -
AUTHENTEC INC COM            COMMON 052660107   $     252      24,200   SH   DEFINED        8,20      24,200       0         -
AUTOBYTEL.COM INC            COMMON 05275N106   $       1         380   SH   DEFINED          23         380       0         -
AUTODESK INC                 COMMON 052769106   $  69,364   2,051,579   SH   DEFINED           1   2,051,579       0         -
AUTODESK INC                 COMMON 052769106   $   4,495     132,949   SH   DEFINED           2     132,949       0         -
AUTODESK INC                 COMMON 052769106   $   1,061      31,381   SH   DEFINED        20,2      31,381       0         -
AUTODESK INC                 COMMON 052769106   $  20,400     603,373   SH   DEFINED          22     104,425       0     498,948
AUTODESK INC                 COMMON 052769106   $  17,007     503,007   SH   DEFINED          23     503,007       0         -
AUTODESK INC                 COMMON 052769106   $   2,172      64,234   SH   DEFINED          24      64,234       0         -
AUTODESK INC                 COMMON 052769106   $   4,688     138,660   SH   DEFINED           5     124,886       0      13,774
AUTODESK INC                 COMMON 052769106   $      71       2,110   SH   DEFINED           7       2,110       0         -
AUTODESK INC                 COMMON 052769106   $     184       5,456   SH   DEFINED         8,2       5,456       0         -
AUTOLIV INC                  COMMON 052800109   $      95       2,030   SH   DEFINED          14       1,630       0         400
AUTOLIV INC                  COMMON 052800109   $      13         280   SH   DEFINED          22         -         0         280
AUTOLIV INC                  COMMON 052800109   $   1,049      22,498   SH   DEFINED          23      22,498       0         -
AUTOLIV INC                  COMMON 052800109   $       7         160   SH   DEFINED          24         160       0         -
AUTOLIV INC                  COMMON 052800109   $     438       9,405   SH   DEFINED           5       1,728       0       7,677
AUTOMATIC DATA PROCESSING    COMMON 053015103   $ 179,385   4,281,259   SH   DEFINED           1   4,281,259       0         -
AUTOMATIC DATA PROCESSING    COMMON 053015103   $     641      15,300   SH   DEFINED          14      13,100       0         900
AUTOMATIC DATA PROCESSING    COMMON 053015103   $     138       3,300   SH   DEFINED        14,7         -         0       3,300
AUTOMATIC DATA PROCESSING    COMMON 053015103   $  40,522     967,119   SH   DEFINED          22     532,617       0     434,502
AUTOMATIC DATA PROCESSING    COMMON 053015103   $  11,715     279,590   SH   DEFINED          23     279,590       0         -
AUTOMATIC DATA PROCESSING    COMMON 053015103   $      25         598   SH   DEFINED          24         598       0         -
AUTOMATIC DATA PROCESSING    COMMON 053015103   $       1          34   SH   DEFINED           4          34       0         -
AUTOMATIC DATA PROCESSING    COMMON 053015103   $  15,285     364,803   SH   DEFINED           5     260,949       0     103,854
AUTOMATIC DATA PROCESSING    COMMON 053015103   $     465      11,089   SH   DEFINED           7      11,089       0         -
AUTOMATIC DATA PROCESSING    COMMON 053015103   $     633      15,109   SH   DEFINED           8      15,109       0         -
AUTONATION INC               COMMON 05329W102   $     492      49,057   SH   DEFINED          23      49,057       0         -
AUTONATION INC               COMMON 05329W102   $      10         975   SH   DEFINED          24         975       0         -

AUTOZONE INC                 COMMON 053332102   $   19,749      163,200 SH   DEFINED           1      163,200      0          -
AUTOZONE INC                 COMMON 053332102   $    1,767       14,600 SH   DEFINED        1,15       14,600      0          -
AUTOZONE INC                 COMMON 053332102   $    2,965       24,500 SH   DEFINED         1,3       24,500      0          -
AUTOZONE INC                 COMMON 053332102   $    1,331       11,000 SH   DEFINED       10,14       11,000      0          -
AUTOZONE INC                 COMMON 053332102   $       24          200 SH   DEFINED          13          200      0          -
AUTOZONE INC                 COMMON 053332102   $   84,707      700,000 SH   DEFINED          14      438,650      0      240,050
AUTOZONE INC                 COMMON 053332102   $    1,525       12,600 SH   DEFINED       14,13          -        0       12,600
AUTOZONE INC                 COMMON 053332102   $    4,453       36,800 SH   DEFINED        14,7          -        0       36,800
AUTOZONE INC                 COMMON 053332102   $      539        4,456 SH   DEFINED          19        4,456      0          -
AUTOZONE INC                 COMMON 053332102   $    7,412       61,249 SH   DEFINED           2       61,249      0          -
AUTOZONE INC                 COMMON 053332102   $      399        3,300 SH   DEFINED       20,14          -        0          -
AUTOZONE INC                 COMMON 053332102   $    4,691       38,768 SH   DEFINED          22       36,168      0        2,600
AUTOZONE INC                 COMMON 053332102   $   15,471      127,853 SH   DEFINED          23      127,853      0          -
AUTOZONE INC                 COMMON 053332102   $      818        6,756 SH   DEFINED          24        6,756      0          -
AUTOZONE INC                 COMMON 053332102   $      238        1,968 SH   DEFINED           4        1,968      0          -
AUTOZONE INC                 COMMON 053332102   $    2,925       24,173 SH   DEFINED           5       17,769      0        6,404
AUTOZONE INC                 COMMON 053332102   $    3,437       28,400 SH   DEFINED        5,15       28,400      0          -
AUTOZONE INC                 COMMON 053332102   $    2,572       21,256 SH   DEFINED           7       21,256      0          -
AUTOZONE INC                 COMMON 053332102   $    4,400       36,358 SH   DEFINED           8       36,358      0          -
AUTOZONE INC                 COMMON 053332102   $      823        6,800 SH   DEFINED        9,14          -        0        6,800
AUXILIUM PHARMACEUTICALS
INC                          COMMON 05334D107   $      173        5,156 SH   DEFINED          23        5,156      0          -
AVALONBAY COMMUNITIES INC    COMMON 053484101   $   50,001      560,804 SH   DEFINED          14      355,904      0      188,900
AVALONBAY COMMUNITIES INC    COMMON 053484101   $      381        4,278 SH   DEFINED          23        4,278      0          -
AVALONBAY COMMUNITIES INC    COMMON 053484101   $        7           76 SH   DEFINED          24           76      0          -
AVALONBAY COMMUNITIES INC    COMMON 053484101   $      201        2,252 SH   DEFINED           5        1,455      0          797
AVALONBAY COMMUNITIES INC    COMMON 053484101   $    4,405       49,400 SH   DEFINED        5,15       49,400      0          -
AVANEX CORP                  COMMON 05348W109   $        2        1,997 SH   DEFINED          23        1,997      0          -
AVATAR HOLDINGS INC          COMMON 053494100   $      214        7,063 SH   DEFINED          23        7,063      0          -
AVENTINE RENEWABLE ENERGY    COMMON 05356X403   $    1,244      282,695 SH   DEFINED          23      282,695      0          -
AVENTINE RENEWABLE ENERGY    COMMON 05356X403   $       23        5,188 SH   DEFINED          24        5,188      0          -
AVERY DENNISON CORP          COMMON 053611109   $        4          100 SH   DEFINED          21          100      0          -
AVERY DENNISON CORP          COMMON 053611109   $       80        1,818 SH   DEFINED          22          -        0        1,818
AVERY DENNISON CORP          COMMON 053611109   $      696       15,850 SH   DEFINED          23       15,850      0          -
AVERY DENNISON CORP          COMMON 053611109   $        8          189 SH   DEFINED          24          189      0          -
AVERY DENNISON CORP          COMMON 053611109   $       92        2,083 SH   DEFINED           7        2,083      0          -
AVID TECHNOLOGY INC          COMMON 05367P100   $        2          101 SH   DEFINED          11          101      0          -
AVID TECHNOLOGY INC          COMMON 05367P100   $       99        5,826 SH   DEFINED          23        5,826      0          -
AVID TECHNOLOGY INC          COMMON 05367P100   $        2          140 SH   DEFINED           5          140      0          -
AVIGEN INC                   COMMON 053690103   $    2,601      900,149 SH   DEFINED           1      900,149      0          -
AVIGEN INC                   COMMON 053690103   $      246       85,288 SH   DEFINED           2       85,288      0          -
AVIGEN INC                   COMMON 053690103   $      368      127,430 SH   DEFINED        20,2          -        0      127,430
AVIS BUDGET GROUP INC        COMMON 053774105   $        3          300 SH   DEFINED          14          300      0          -
AVIS BUDGET GROUP INC        COMMON 053774105   $       11        1,320 SH   DEFINED          22        1,130      0          190
AVIS BUDGET GROUP INC        COMMON 053774105   $      387       46,192 SH   DEFINED          23       46,192      0          -
AVIS BUDGET GROUP INC        COMMON 053774105   $        9        1,016 SH   DEFINED          24        1,016      0          -
AVISTA CORP                  COMMON 05379B107   $    3,845      179,185 SH   DEFINED           1      179,185      0          -
AVISTA CORP                  COMMON 05379B107   $    1,152       53,700 SH   DEFINED          14       53,700      0          -
AVISTA CORP                  COMMON 05379B107   $    2,312      107,751 SH   DEFINED           2       41,431      0       66,320
AVISTA CORP                  COMMON 05379B107   $        7          310 SH   DEFINED          22          310      0          -
AVISTA CORP                  COMMON 05379B107   $      177        8,240 SH   DEFINED          23        8,240      0          -
AVISTA CORP                  COMMON 05379B107   $        3          137 SH   DEFINED          24          137      0          -
AVISTA CORP                  COMMON 05379B107   $      187        8,735 SH   DEFINED           5        2,210      0        6,525
AVISTA CORP                  COMMON 05379B107   $      242       11,300 SH   DEFINED        5,15       11,300      0          -
AVNET INC                    COMMON 053807103   $      491       18,000 SH   DEFINED        1,15       18,000      0          -
AVNET INC                    COMMON 053807103   $      368       13,500 SH   DEFINED       10,14       13,500      0          -
AVNET INC                    COMMON 053807103   $       25          900 SH   DEFINED          13          900      0          -
AVNET INC                    COMMON 053807103   $   19,134      701,380 SH   DEFINED          14      357,880      0      332,700
AVNET INC                    COMMON 053807103   $      112        4,100 SH   DEFINED       14,13          -        0        4,100
AVNET INC                    COMMON 053807103   $      928       34,000 SH   DEFINED        14,7          -        0       34,000
AVNET INC                    COMMON 053807103   $       25          900 SH   DEFINED       20,14          -        0          -
AVNET INC                    COMMON 053807103   $    1,125       41,257 SH   DEFINED          23       41,257      0          -
AVNET INC                    COMMON 053807103   $       11          407 SH   DEFINED          24          407      0          -
AVNET INC                    COMMON 053807103   $      366       13,400 SH   DEFINED           5          -        0       13,400
AVNET INC                    COMMON 053807103   $      237        8,700 SH   DEFINED        5,15        8,700      0          -
AVNET INC                    COMMON 053807103   $       87        3,174 SH   DEFINED           7        3,174      0          -
AVNET INC                    COMMON 053807103   $      268        9,806 SH   DEFINED           8        9,806      0          -
AVNET INC                    COMMON 053807103   $    2,062       75,600 SH   DEFINED        8,14       75,600      0          -
AVNET INC                    COMMON 053807103   $       57        2,100 SH   DEFINED        9,14          -        0        2,100
AVNET INC CVT(AVT)
2.0 03-15-3                  CONVERT 053807AL7  $   10,338   10,000,000 SH   DEFINED           14          -       0    8,475,000
AVOCENT CORPORATION          COMMON 053893103   $   12,979      697,800 SH   DEFINED          1,3      697,800     0          -
AVOCENT CORPORATION          COMMON 053893103   $      342       18,400 SH   DEFINED         18,3       18,400     0          -
AVOCENT CORPORATION          COMMON 053893103   $      301       16,191 SH   DEFINED           23       16,191     0          -
AVOCENT CORPORATION          COMMON 053893103   $    3,140      168,800 SH   DEFINED            3      168,800     0          -
AVON PRODUCTS INC            COMMON 054303102   $  113,873    3,161,379 SH   DEFINED            1    3,161,379     0          -
AVON PRODUCTS INC            COMMON 054303102   $    1,234       34,252 SH   DEFINED           14       21,552     0       12,700
AVON PRODUCTS INC            COMMON 054303102   $      104        2,900 SH   DEFINED         14,7          -       0        2,900
AVON PRODUCTS INC            COMMON 054303102   $    6,550      181,834 SH   DEFINED           22       51,680     0      130,154
AVON PRODUCTS INC            COMMON 054303102   $   10,371      287,923 SH   DEFINED           23      287,923     0          -
AVON PRODUCTS INC            COMMON 054303102   $       14          377 SH   DEFINED           24          377     0          -
AVON PRODUCTS INC            COMMON 054303102   $      505       14,026 SH   DEFINED          3,1       14,026     0          -
AVON PRODUCTS INC            COMMON 054303102   $   22,509      624,896 SH   DEFINED            4      624,896     0          -
AVON PRODUCTS INC            COMMON 054303102   $    5,088      141,253 SH   DEFINED            5      127,207     0       14,046
AVON PRODUCTS INC            COMMON 054303102   $      307        8,511 SH   DEFINED            7        8,511     0          -
AXA ADR                      COMMON 054536107   $       46        1,555 SH   DEFINED           22          -       0        1,555
AXA ADR                      COMMON 054536107   $   21,091      716,878 SH   DEFINED            4      716,878     0          -
AXA ADR                      COMMON 054536107   $       88        3,000 SH   DEFINED            5          700     0        2,300
AWARE INC/MASS               COMMON 05453N100   $        1          207 SH   DEFINED           23          207     0          -
AXCELIS TECHNOLOGIES         COMMON 054540109   $      263       53,879 SH   DEFINED           23       53,879     0          -
AXCELIS TECHNOLOGIES         COMMON 054540109   $        1          294 SH   DEFINED            5          294     0          -
AXSYS TECHNOLOGIES INC       COMMON 054615109   $    1,779       34,176 SH   DEFINED           23       34,176     0          -
BB&T CORPORATION             COMMON 054937107   $   56,130    2,465,087 SH   DEFINED            1    2,465,087     0          -
BB&T CORPORATION             COMMON 054937107   $      351       15,410 SH   DEFINED           14       12,010     0        1,400
BB&T CORPORATION             COMMON 054937107   $      831       36,480 SH   DEFINED           22          -       0       36,480
BB&T CORPORATION             COMMON 054937107   $    3,871      170,022 SH   DEFINED           23      170,022     0          -
BB&T CORPORATION             COMMON 054937107   $       30        1,313 SH   DEFINED           24        1,313     0          -
BB&T CORPORATION             COMMON 054937107   $    3,409      149,700 SH   DEFINED            3      149,700     0          -
BB&T CORPORATION             COMMON 054937107   $        1           39 SH   DEFINED            4           39     0          -
BB&T CORPORATION             COMMON 054937107   $    7,132      313,204 SH   DEFINED            5      293,241     0       19,963
BB&T CORPORATION             COMMON 054937107   $      221        9,696 SH   DEFINED            7        9,696     0          -
B&G FOODS INC-CLASS A        COMMON 05508R106   $       51        5,442  SH   DEFINED          23        5,442     0         -
BGC PARTNERS INC-CL A        COMMON 05541T101   $    1,500      198,700  SH   DEFINED          14     137,200      0      61,500
BGC PARTNERS INC-CL A        COMMON 05541T101   $    1,024      135,657  SH   DEFINED          23     135,657      0         -
BGC PARTNERS INC-CL A        COMMON 05541T101   $      243       32,200  SH   DEFINED        5,15      32,200      0         -
BGC PARTNERS INC-CL A        COMMON 05541T101   $       43        5,700  SH   DEFINED           8       5,700      0         -
BGC PARTNERS INC-CL A        COMMON 05541T101   $       12        1,600  SH   DEFINED        8,20       1,600      0         -
BHP BILLITON PLC-ADR         COMMON 05545E209   $    4,110       53,819  SH   DEFINED          23      53,819      0         -
BJ SERVICES CO               COMMON 055482103   $  209,272    6,552,039  SH   DEFINED           1   6,552,039      0         -
BJ SERVICES CO               COMMON 055482103   $      598       18,732  SH   DEFINED          14      18,732      0         -
BJ SERVICES CO               COMMON 055482103   $      952       29,816  SH   DEFINED          22         -        0      29,816
BJ SERVICES CO               COMMON 055482103   $   15,243      477,252  SH   DEFINED          23     477,252      0         -
BJ SERVICES CO               COMMON 055482103   $        9          275  SH   DEFINED          24         275      0         -
BJ SERVICES CO               COMMON 055482103   $   19,784      619,397  SH   DEFINED           4     619,397      0         -
BJ SERVICES CO               COMMON 055482103   $      501       15,685  SH   DEFINED           5       3,270      0      12,415
BJ SERVICES CO               COMMON 055482103   $      198        6,212  SH   DEFINED           7       6,212      0         -
BJ SERVICES CO               COMMON 055482103   $      579       18,143  SH   DEFINED           8      18,143      0         -
BJS WHOLESALE CLUB INC       COMMON 05548J106   $      178        4,600  SH   DEFINED        1,15       4,600      0         -
BJS WHOLESALE CLUB INC       COMMON 05548J106   $    9,812      253,540  SH   DEFINED          14     117,040      0     133,800
BJS WHOLESALE CLUB INC       COMMON 05548J106   $    1,654       42,731  SH   DEFINED          23      42,731      0         -
BJS WHOLESALE CLUB INC       COMMON 05548J106   $        7          193  SH   DEFINED          24         193      0         -
BJS WHOLESALE CLUB INC       COMMON 05548J106   $       15          375  SH   DEFINED           5         375      0         -
BJS WHOLESALE CLUB INC       COMMON 05548J106   $      416       10,753  SH   DEFINED           8      10,753      0         -
BOK FINANCIAL CORPORATION    COMMON 05561Q201   $    1,032       19,300  SH   DEFINED           1      19,300      0         -
BOK FINANCIAL CORPORATION    COMMON 05561Q201   $       50          944  SH   DEFINED          23         944      0         -
BOK FINANCIAL CORPORATION    COMMON 05561Q201   $        1           17  SH   DEFINED          24          17      0         -
BP PLC ADR                   COMMON 055622104   $   91,832    1,320,000  SH   DEFINED           1   1,320,000      0         -
BP PLC ADR                   COMMON 055622104   $   94,523    1,358,677  SH   DEFINED          11   1,352,002      0       6,675
BP PLC ADR                   COMMON 055622104   $   15,584      224,000  SH   DEFINED        13,2         -        0     224,000
BP PLC ADR                   COMMON 055622104   $    1,662       23,883  SH   DEFINED          14      23,883      0         -
BP PLC ADR                   COMMON 055622104   $      399        5,735  SH   DEFINED       19,14       5,735      0         -
BP PLC ADR                   COMMON 055622104   $   38,812      557,878  SH   DEFINED          22     162,036      0     395,842
BP PLC ADR                   COMMON 055622104   $    9,466      136,064  SH   DEFINED          23     136,064      0         -
BP PLC ADR                   COMMON 055622104   $   16,491      237,042  SH   DEFINED           4     237,042      0         -
BP PLC ADR                   COMMON 055622104   $   17,917      257,542  SH   DEFINED           5     190,967      0      66,575
BP PLC ADR                   COMMON 055622104   $   32,542      467,763  SH   DEFINED           8     467,763      0         -
BRT REALTY TRUST             COMMON 055645303   $      125       10,400  SH   DEFINED          14      10,400      0         -
BRT REALTY TRUST             COMMON 055645303   $       27        2,291  SH   DEFINED          23       2,291      0         -
BRT REALTY TRUST             COMMON 055645303   $       28        2,300  SH   DEFINED        5,15       2,300      0         -
BRE PROPERTIES INC           COMMON 05564E106   $   32,811      758,100  SH   DEFINED        1,15     758,100      0         -
BRE PROPERTIES INC           COMMON 05564E106   $  101,839    2,353,034  SH   DEFINED          14   1,414,534      0     807,400
BRE PROPERTIES INC           COMMON 05564E106   $    1,632       37,700  SH   DEFINED       18,14      37,700      0         -
BRE PROPERTIES INC           COMMON 05564E106   $      485       11,200  SH   DEFINED       19,14      11,200      0         -
BRE PROPERTIES INC           COMMON 05564E106   $    4,826      111,500  SH   DEFINED        2,15     111,500      0         -
BRE PROPERTIES INC           COMMON 05564E106   $      700       16,177  SH   DEFINED          22      14,280      0       1,897
BRE PROPERTIES INC           COMMON 05564E106   $      168        3,880  SH   DEFINED          23       3,880      0         -
BRE PROPERTIES INC           COMMON 05564E106   $        3           71  SH   DEFINED          24          71      0         -
BRE PROPERTIES INC           COMMON 05564E106   $      597       13,800  SH   DEFINED        3,15       5,800      0       8,000
BRE PROPERTIES INC           COMMON 05564E106   $    8,349      192,900  SH   DEFINED        5,15     192,900      0         -
BRE PROPERTIES INC           COMMON 05564E106   $       78        1,800  SH   DEFINED        6,14       1,800      0         -
BRE PROPERTIES INC           COMMON 05564E106   $    1,437       33,200  SH   DEFINED        8,14         -        0      33,200
BMP SUNSTONE CORP            COMMON 05569C105   $        2          258  SH   DEFINED          23         258      0         -
BT GROUP PLC-ADS             COMMON 05577E101   $       43        1,075  SH   DEFINED          22         550      0         525
BT GROUP PLC-ADS             COMMON 05577E101   $   13,248      333,441  SH   DEFINED          23     333,441      0         -
BMC SOFTWARE INC             COMMON 055921100   $   28,542      792,833  SH   DEFINED           1     792,833      0         -
BMC SOFTWARE INC             COMMON 055921100   $      929       25,800  SH   DEFINED       10,14      25,800      0         -
BMC SOFTWARE INC             COMMON 055921100   $   30,233      839,800  SH   DEFINED          14     546,500      0     268,000
BMC SOFTWARE INC             COMMON 055921100   $      493       13,700  SH   DEFINED       14,13         -        0      13,700
BMC SOFTWARE INC             COMMON 055921100   $    2,196       61,000  SH   DEFINED        14,7         -        0      61,000
BMC SOFTWARE INC             COMMON 055921100   $   10,611      294,763  SH   DEFINED           2     294,763      0         -
BMC SOFTWARE INC             COMMON 055921100   $       14          388  SH   DEFINED          21         388      0         -
BMC SOFTWARE INC             COMMON 055921100   $    8,556      237,678  SH   DEFINED          23     237,678      0         -
BMC SOFTWARE INC             COMMON 055921100   $        3           94  SH   DEFINED          24          94      0         -
BMC SOFTWARE INC             COMMON 055921100   $    2,304       64,000  SH   DEFINED           5      64,000      0         -
BMC SOFTWARE INC             COMMON 055921100   $    1,094       30,400  SH   DEFINED        5,15      30,400      0         -
BMC SOFTWARE INC             COMMON 055921100   $      529       14,700  SH   DEFINED           6      14,700      0         -
BMC SOFTWARE INC             COMMON 055921100   $    1,609       44,684  SH   DEFINED           7      44,684      0         -
BMC SOFTWARE INC             COMMON 055921100   $    1,453       40,360  SH   DEFINED           8      40,360      0         -
BMC SOFTWARE INC             COMMON 055921100   $    3,856      107,100  SH   DEFINED        8,14     107,100      0         -
BMC SOFTWARE INC             COMMON 055921100   $      266        7,400  SH   DEFINED        9,14         -        0       7,400
BADGER METER INC             COMMON 056525108   $   70,403    1,393,294  SH   DEFINED          23   1,393,294      0         -
BAIDU.COM ADR                COMMON 056752108   $   19,406       62,007  SH   DEFINED          23      62,007      0         -
BAIDU.COM ADR                COMMON 056752108   $    2,265        7,236  SH   DEFINED          24       7,236      0         -
BAKER (MICHAEL) CORP         COMMON 057149106   $      421       19,227  SH   DEFINED          23      19,227      0         -
BAKER HUGHES INC             COMMON 057224107   $  130,062    1,489,143  SH   DEFINED           1   1,489,143      0         -
BAKER HUGHES INC             COMMON 057224107   $        9          100  SH   DEFINED          13         100      0         -
BAKER HUGHES INC             COMMON 057224107   $    2,489       28,500  SH   DEFINED          14      17,200      0       9,500
BAKER HUGHES INC             COMMON 057224107   $      454        5,200  SH   DEFINED        14,7         -        0       5,200
BAKER HUGHES INC             COMMON 057224107   $    9,456      108,268  SH   DEFINED           2     108,268      0         -
BAKER HUGHES INC             COMMON 057224107   $        9          100  SH   DEFINED       20,14         -        0         -
BAKER HUGHES INC             COMMON 057224107   $      801        9,175  SH   DEFINED          22         475      0       8,700
BAKER HUGHES INC             COMMON 057224107   $    3,395       38,875  SH   DEFINED          23      38,875      0         -
BAKER HUGHES INC             COMMON 057224107   $       21          235  SH   DEFINED          24         235      0         -
BAKER HUGHES INC             COMMON 057224107   $      675        7,730  SH   DEFINED           5         600      0       7,130
BAKER HUGHES INC             COMMON 057224107   $      568       6,503   SH   DEFINED           7       6,503      0         -
BAKER HUGHES INC             COMMON 057224107   $   28,813      329,897  SH   DEFINED           8     329,897      0         -
BAKER HUGHES INC             COMMON 057224107   $      393        4,495  SH   DEFINED         8,2       4,495      0         -
BALCHEM CORP                 COMMON 057665200   $        4          156  SH   DEFINED          23         156      0         -
BALDOR ELECTRIC              COMMON 057741100   $    8,048      230,076  SH   DEFINED          23     230,076      0         -
BALDOR ELECTRIC              COMMON 057741100   $      126        3,594  SH   DEFINED          24       3,594      0         -
BALDOR ELECTRIC              COMMON 057741100   $      329        9,400  SH   DEFINED           5         -        0       9,400
BALDWIN & LYONS INC -CL B    COMMON 057755209   $      189       10,785  SH   DEFINED          23      10,785      0         -
BALL CORP                    COMMON 058498106   $       86        1,800  SH   DEFINED          22         -        0       1,800
BALL CORP                    COMMON 058498106   $    8,089      169,441  SH   DEFINED          23     169,441      0         -
BALL CORP                    COMMON 058498106   $        6          130  SH   DEFINED          24         130      0         -
BALL CORP                    COMMON 058498106   $      369        7,737  SH   DEFINED           5       1,580      0       6,157
BALLARD POWER SYSTEMS INC    COMMON 05858H104   $   31,968    7,684,668  SH   DEFINED          23   7,684,668      0         -
BALLARD POWER SYSTEMS INC    COMMON 05858H104   $       30        7,733  SH   DEFINED          24       7,733      0         -
BALLY TECHNOLOGIES INC       COMMON 05874B107   $      250        7,400  SH   DEFINED          14       4,400      0       3,000
BALLY TECHNOLOGIES INC       COMMON 05874B107   $      416       12,301  SH   DEFINED          23      12,301      0         -
BALLY TECHNOLOGIES INC       COMMON 05874B107   $       30          900  SH   DEFINED        5,15         900      0         -
BANCFIRST CORP               COMMON 05945F103   $    3,939      92,023   SH   DEFINED           1      92,023      0         -
BANCFIRST CORP               COMMON 05945F103   $    2,076      48,500   SH   DEFINED          14      32,700      0      15,800
BANCFIRST CORP               COMMON 05945F103   $    1,742      40,693   SH   DEFINED           2       7,991      0      32,702
BANCFIRST CORP               COMMON 05945F103   $    4,259      99,520   SH   DEFINED          23      99,520      0         -
BANCFIRST CORP               COMMON 05945F103   $      364       8,500   SH   DEFINED        5,15       8,500      0         -
BANCO BRADESCO SA ADR
REP1 PRF                     COMMON 059460303   $      215      10,500   SH   DEFINED          11      10,500      0         -
BANCO BRADESCO SA ADR
REP1 PRF                     COMMON 059460303   $    2,029      99,166   SH   DEFINED          23      99,166      0         -
BANCO BRADESCO SA ADR
REP1 PRF                     COMMON 059460303   $   33,739   1,649,012   SH   DEFINED           8   1,649,012      0         -
BANCO BRADESCO SA ADR
REP1 PRF                     COMMON 059460303   $    1,243      60,750   SH   DEFINED        8,14      60,750      0         -
BANCO BRADESCO SA ADR
REP1 PRF                     COMMON 059460303   $    2,046     100,000   SH   DEFINED        8,20     100,000      0         -
BANCO BILBAO VIZCAYA
-SP ADR                      COMMON 05946K101   $    7,540     397,487   SH   DEFINED          23     397,487      0         -
BANCO ITAU HOLDING FIN
-ADR                         COMMON 059602201   $    1,289      63,444   SH   DEFINED          23      63,444      0         -
BANCO SANTANDER SA           COMMON 05964H105   $       73       3,990   SH   DEFINED          22         -        0       3,990
BANCO SANTANDER SA           COMMON 05964H105   $    6,008     330,298   SH   DEFINED          23     330,298      0         -
BANCO SANTANDER SA           COMMON 05964H105   $   12,866     707,306   SH   DEFINED           4     707,306      0         -
BANCO SANTANDER CHILE ADR    COMMON 05965X109   $       74       1,711   SH   DEFINED          23       1,711      0         -
BANCO SANTANDER CHILE ADR    COMMON 05965X109   $        2          50   SH   DEFINED           5         -        0          50
BANCO SANTANDER CHILE ADR    COMMON 05965X109   $   14,421     335,300   SH   DEFINED           8     335,300      0         -
BANCO SANTANDER CHILE ADR    COMMON 05965X109   $      387       9,000   SH   DEFINED        8,14       9,000      0         -
BANCO SANTANDER CHILE ADR    COMMON 05965X109   $      753      17,500   SH   DEFINED        8,20      17,500      0         -
BANCORP RHODE ISLAND INC     COMMON 059690107   $        1          42   SH   DEFINED          23          42      0         -
BANCORPSOUTH INC             COMMON 059692103   $        3         200   SH   DEFINED          22         -        0         200
BANCORPSOUTH INC             COMMON 059692103   $      141       8,070   SH   DEFINED          23       8,070      0         -
BANCORPSOUTH INC             COMMON 059692103   $        2         130   SH   DEFINED          24         130      0         -
BANCORP INC/THE              COMMON 05969A105   $        1         120   SH   DEFINED          23         120      0         -
BANCTRUST FINANCIAL GROUP
INC                          COMMON 05978R107   $        1         154   SH   DEFINED          23         154      0         -
BANCTRUST FINANCIAL GROUP
INC                          COMMON 05978R107   $        3         400   SH   DEFINED           5         400      0         -
BANK OF AMERICA CORP         COMMON 060505104   $   12,992     544,289   SH   DEFINED           1     544,289      0         -
BANK OF AMERICA CORP         COMMON 060505104   $    1,826      76,500   SH   DEFINED        1,15      76,500      0         -
BANK OF AMERICA CORP         COMMON 060505104   $    2,258      94,600   SH   DEFINED       10,14      94,600      0         -
BANK OF AMERICA CORP         COMMON 060505104   $      217       9,103   SH   DEFINED        10,7       9,103      0         -
BANK OF AMERICA CORP         COMMON 060505104   $   21,033     881,135   SH   DEFINED          11     219,654      0     661,481
BANK OF AMERICA CORP         COMMON 060505104   $      269      11,249   SH   DEFINED          13      11,249      0         -
BANK OF AMERICA CORP         COMMON 060505104   $  109,324   4,579,964   SH   DEFINED          14   3,344,113      0   1,050,951
BANK OF AMERICA CORP         COMMON 060505104   $    2,709     113,500   SH   DEFINED       14,13         -        0     113,500
BANK OF AMERICA CORP         COMMON 060505104   $    8,397     351,800   SH   DEFINED        14,7         -        0     351,800
BANK OF AMERICA CORP         COMMON 060505104   $       18         750   SH   DEFINED       18,11         750      0         -
BANK OF AMERICA CORP         COMMON 060505104   $      454      19,037   SH   DEFINED       18,14         -        0      19,037
BANK OF AMERICA CORP         COMMON 060505104   $      266      11,152   SH   DEFINED          19      11,152      0         -
BANK OF AMERICA CORP         COMMON 060505104   $    1,781      74,625   SH   DEFINED       19,14      42,800      0      31,825
BANK OF AMERICA CORP         COMMON 060505104   $    1,129      47,300   SH   DEFINED       20,14         -        0         -
BANK OF AMERICA CORP         COMMON 060505104   $    1,285      53,814   SH   DEFINED          21      53,814      0         -
BANK OF AMERICA CORP         COMMON 060505104   $   31,370   1,314,188   SH   DEFINED          22     283,284      0   1,030,904
BANK OF AMERICA CORP         COMMON 060505104   $   22,338     935,805   SH   DEFINED          23     935,805      0         -
BANK OF AMERICA CORP         COMMON 060505104   $      231       9,687   SH   DEFINED          24       9,687      0         -
BANK OF AMERICA CORP         COMMON 060505104   $        1          50   SH   DEFINED           4          50      0         -
BANK OF AMERICA CORP         COMMON 060505104   $   12,760     534,547   SH   DEFINED           5     427,104      0     107,443
BANK OF AMERICA CORP         COMMON 060505104   $    6,113     256,100   SH   DEFINED        5,15     256,100      0         -
BANK OF AMERICA CORP         COMMON 060505104   $    6,710     281,102   SH   DEFINED           7     281,102      0         -
BANK OF AMERICA CORP         COMMON 060505104   $   23,251     974,074   SH   DEFINED           8     974,074      0         -
BANK OF AMERICA CORP         COMMON 060505104   $   13,289     556,737   SH   DEFINED        8,14     495,400      0      61,337
BANK OF AMERICA CORP         COMMON 060505104   $      946      39,635   SH   DEFINED           9      39,635      0         -
BANK OF AMERICA CORP         COMMON 060505104   $    1,475      61,800   SH   DEFINED        9,14         -        0      61,800
BANK OF FLORIDA CORP         COMMON 062128103   $        1         111   SH   DEFINED          23         111      0         -
BANK OF GRANITE CORP         COMMON 062401104   $      162      22,800   SH   DEFINED          14      22,800      0         -
BANK OF GRANITE CORP         COMMON 062401104   $       22       3,157   SH   DEFINED          23       3,157      0         -
BANK OF GRANITE CORP         COMMON 062401104   $       14       2,027   SH   DEFINED           5       2,027      0         -
BANK OF GRANITE CORP         COMMON 062401104   $       35       4,900   SH   DEFINED        5,15       4,900      0         -
BANK OF HAWAII CORP          COMMON 062540109   $      717      15,000   SH   DEFINED          14      15,000      0         -
BANK OF HAWAII CORP          COMMON 062540109   $      500      10,458   SH   DEFINED          22         -        0      10,458
BANK OF HAWAII CORP          COMMON 062540109   $    6,039     126,335   SH   DEFINED          23     126,335      0         -
BANK OF HAWAII CORP          COMMON 062540109   $      176       3,690   SH   DEFINED          24       3,690      0         -
BANK OF HAWAII CORP          COMMON 062540109   $      274       5,725   SH   DEFINED           5         -        0       5,725
BANK OF HAWAII CORP          COMMON 062540109   $      115       2,400   SH   DEFINED           8       2,400      0         -
BANK OF HAWAII CORP          COMMON 062540109   $       33         700   SH   DEFINED        8,20         700      0         -
BANK OF MARIN BANCORP-CA     COMMON 063425102   $       42       1,473   SH   DEFINED          22         -        0       1,473
BANK OF MARIN BANCORP-CA     COMMON 063425102   $        1          45   SH   DEFINED          23          45      0         -
BANK OF MONTREAL             COMMON 063671101   $      466      11,300   SH   DEFINED       10,14      11,300      0         -
BANK OF MONTREAL             COMMON 063671101   $      476      11,360   SH   DEFINED        10,7      11,360      0         -
BANK OF MONTREAL             COMMON 063671101   $      504      12,036   SH   DEFINED          13      12,036      0         -
BANK OF MONTREAL             COMMON 063671101   $      142       3,393   SH   DEFINED          19       3,393      0         -
BANK OF MONTREAL             COMMON 063671101   $       22         516   SH   DEFINED          21         516      0         -
BANK OF MONTREAL             COMMON 063671101   $      153       3,708   SH   DEFINED          22         -        0       3,708
BANK OF MONTREAL             COMMON 063671101   $   11,013     266,932   SH   DEFINED          23     266,932      0         -
BANK OF MONTREAL             COMMON 063671101   $       28         662   SH   DEFINED          24         662      0         -
BANK OF MONTREAL             COMMON 063671101   $   13,938     332,700   SH   DEFINED           3     332,700      0         -
BANK OF MONTREAL             COMMON 063671101   $    3,967      94,693   SH   DEFINED           7      94,693      0         -
BANK OF MONTREAL             COMMON 063671101   $    8,874     211,823   SH   DEFINED           8     211,823      0         -
BANK OF MONTREAL             COMMON 063671101   $    1,455      35,300   SH   DEFINED        8,14      35,300      0         -
BANK OF MONTREAL             COMMON 063671101   $    2,300      54,900   SH   DEFINED           9      54,900      0         -
BANK MUTUAL CORP             COMMON 063750103   $    2,977     296,521   SH   DEFINED          23     296,521      0         -
BANK OF THE OZARKS           COMMON 063904106   $       34       2,300   SH   DEFINED          22         -        0       2,300
BANK OF THE OZARKS           COMMON 063904106   $       28       1,900   SH   DEFINED          23       1,900      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    6,673     176,397   SH   DEFINED           1     176,397      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    4,305     113,789   SH   DEFINED         1,9     113,789      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $   19,098     504,845   SH   DEFINED          11     119,745      0     385,100
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    9,006     238,072   SH   DEFINED          14     168,472      0      61,600
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    1,237      32,700   SH   DEFINED        14,7         -        0      32,700
BANK OF NEW YORK MELLON CORP COMMON 064058100   $       20         540   SH   DEFINED       18,11         540      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $      431      11,400   SH   DEFINED       18,14         -        0      11,400
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    2,100      55,500   SH   DEFINED       19,14      31,000      0      24,500
BANK OF NEW YORK MELLON CORP COMMON 064058100   $   25,164     665,187   SH   DEFINED          22     358,727      0     306,460
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    1,578      41,712   SH   DEFINED          23      41,712      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $       31         807   SH   DEFINED          24         807      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $      614      16,223   SH   DEFINED           3      16,223      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $        1          33   SH   DEFINED           4          33      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $   10,594     280,047   SH   DEFINED           5     159,575      0     120,472
BANK OF NEW YORK MELLON CORP COMMON 064058100   $      784      20,727   SH   DEFINED           7      20,727      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $      711      18,792   SH   DEFINED           8      18,792      0         -
BANK OF NEW YORK MELLON CORP COMMON 064058100   $    1,354      35,800   SH   DEFINED        8,14         -        0      35,800
BANK OF NOVA SCOTIA          COMMON 064149107   $     820      17,900    SH   DEFINED       10,14      17,900      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $      96       2,087    SH   DEFINED        10,7       2,087      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $     120       2,609    SH   DEFINED          13       2,609      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $     512      11,137    SH   DEFINED          19      11,137      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $     239       5,200    SH   DEFINED           2       5,200      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $     185       4,014    SH   DEFINED          21       4,014      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $   8,328     181,743    SH   DEFINED          23     181,743      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $       6         121    SH   DEFINED          24         121      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $ 445,745   9,689,000    SH   DEFINED           3   9,689,000      0         -
BANK OF NOVA SCOTIA          COMMON 64149107   $  16,111     350,200     SH   DEFINED         3,1     350,200      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $       2          53    SH   DEFINED           4          53      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $   2,633      57,243    SH   DEFINED           7      57,243      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $   4,790     104,121    SH   DEFINED           8     104,121      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $   3,010      65,700    SH   DEFINED        8,14      65,700      0         -
BANK OF NOVA SCOTIA          COMMON 064149107   $     488      10,600    SH   DEFINED           9      10,600      0         -
BANK OF SOUTH CAROLINA       COMMON 065066102   $     157      11,875    SH   DEFINED           5      11,875      0         -
BANK UNITED CORP-CONTINGENT  COMMON 065416117       $ -           800    SH   DEFINED          22         800      0         -
BANKATLANTIC BANCORP INC
CL A                         COMMON 065908501   $      43      24,476    SH   DEFINED          23      24,476      0         -
BANKFINANCIAL CORP           COMMON 06643P104   $     221      17,000    SH   DEFINED          14      17,000      0         -
BANKFINANCIAL CORP           COMMON 06643P104   $     216      16,603    SH   DEFINED          23      16,603      0         -
BANKFINANCIAL CORP           COMMON 06643P104   $      48       3,700    SH   DEFINED        5,15       3,700      0         -
BANKRATE INC                 COMMON 06646V108   $  10,204     261,182    SH   DEFINED           1     261,182      0         -
BANKRATE INC                 COMMON 06646V108   $   8,226     210,545    SH   DEFINED           2     210,545      0         -
BANKRATE INC                 COMMON 06646V108   $     697      17,831    SH   DEFINED          23      17,831      0         -
BANKUNITED FINANCIAL CORP
CL A                         COMMON 06652B103   $      24      24,770    SH   DEFINED          23      24,770      0         -
BANNER CORPORATION           COMMON 06652V109   $     114      12,895    SH   DEFINED          23      12,895      0         -
BARD (C.R.) INC              COMMON 067383109   $  18,800     213,760    SH   DEFINED           1     213,760      0         -
BARD (C.R.) INC              COMMON 067383109   $       9         100    SH   DEFINED          14         -        0         100
BARD (C.R.) INC              COMMON 067383109   $     123       1,400    SH   DEFINED        14,7         -        0       1,400
BARD (C.R.) INC              COMMON 067383109   $   7,059      80,257    SH   DEFINED           2      80,257      0         -
BARD (C.R.) INC              COMMON 067383109   $   9,329     106,073    SH   DEFINED          22      28,739      0      77,334
BARD (C.R.) INC              COMMON 067383109   $  19,179     218,070    SH   DEFINED          23     218,070      0         -
BARD (C.R.) INC              COMMON 067383109   $       4          43    SH   DEFINED          24          43      0         -
BARD (C.R.) INC              COMMON 067383109   $   3,505      39,850    SH   DEFINED           3      39,850      0         -
BARD (C.R.) INC              COMMON 067383109   $     363       4,133    SH   DEFINED           4       4,133      0         -
BARD (C.R.) INC              COMMON 067383109   $   6,870      78,113    SH   DEFINED           5      63,095      0      15,018
BARD (C.R.) INC              COMMON 067383109   $     196       2,232    SH   DEFINED           7       2,232      0         -
BARCLAYS PLC ADR             COMMON 06738E204   $  51,118   2,208,108    SH   DEFINED          11   2,208,108      0         -
BARCLAYS PLC ADR             COMMON 06738E204   $     961      41,492    SH   DEFINED          14      41,492      0         -
BARCLAYS PLC ADR             COMMON 06738E204   $      53       2,300    SH   DEFINED          22         525      0       1,775
BARCLAYS PLC ADR             COMMON 06738E204   $   9,455     408,442    SH   DEFINED          23     408,442      0         -
BARCLAYS PLC ADR             COMMON 06738E204   $      95       4,100    SH   DEFINED           5       1,000      0       3,100
IPATH MSCI INDIA INDEX
ETN ETF                      COMMON 06739F291   $      75       1,100    SH   DEFINED          22         -        0       1,100
BARE ESCENTUALS INC          COMMON 067511105   $      58       3,090    SH   DEFINED          23       3,090      0         -
BARNES & NOBLE INC           COMMON 067774109   $  10,194     410,400    SH   DEFINED          14     243,200      0     166,800
BARNES & NOBLE INC           COMMON 067774109   $      60       2,400    SH   DEFINED          22         -        0       2,400
BARNES & NOBLE INC           COMMON 067774109   $     166       6,701    SH   DEFINED          23       6,701      0         -
BARNES & NOBLE INC           COMMON 067774109   $       2         100    SH   DEFINED          24         100      0         -
BARNES & NOBLE INC           COMMON 067774109   $       5         200    SH   DEFINED           5         200      0         -
BARNES & NOBLE INC           COMMON 067774109   $   1,140      45,900    SH   DEFINED        5,15      45,900      0         -
BARNES & NOBLE INC           COMMON 067774109   $     469      18,900    SH   DEFINED           8      18,900      0         -
BARNES & NOBLE INC           COMMON 067774109   $     129       5,200    SH   DEFINED        8,20       5,200      0         -
BARNES GROUP INC             COMMON 067806109   $   9,845     426,358    SH   DEFINED           1     426,358      0         -
BARNES GROUP INC             COMMON 067806109   $   7,550     326,964    SH   DEFINED           2     326,964      0         -
BARNES GROUP INC             COMMON 067806109   $     119       5,143    SH   DEFINED          23       5,143      0         -
BARNES GROUP INC             COMMON 067806109   $      39       1,700    SH   DEFINED           5         -        0       1,700
BARRICK GOLD CORP            COMMON 067901108   $  27,633     605,600    SH   DEFINED           1     605,600      0         -
BARRICK GOLD CORP            COMMON 067901108   $   1,579      34,700    SH   DEFINED        1,15      34,700      0         -
BARRICK GOLD CORP            COMMON 067901108   $   2,048      45,000    SH   DEFINED       10,14      45,000      0         -
BARRICK GOLD CORP            COMMON 067901108   $     259       5,645    SH   DEFINED        10,7       5,645      0         -
BARRICK GOLD CORP            COMMON 067901108   $       3          69    SH   DEFINED          11          69      0         -
BARRICK GOLD CORP            COMMON 067901108   $     417       9,094    SH   DEFINED          13       9,094      0         -
BARRICK GOLD CORP            COMMON 067901108   $  34,193     751,500    SH   DEFINED          14     437,600      0     299,000
BARRICK GOLD CORP            COMMON 067901108   $   1,511      33,200    SH   DEFINED       14,13         -        0      33,200
BARRICK GOLD CORP            COMMON 067901108   $     114       2,500    SH   DEFINED        14,7         -        0       2,500
BARRICK GOLD CORP            COMMON 067901108   $     666      14,500    SH   DEFINED           2      14,500      0         -
BARRICK GOLD CORP            COMMON 067901108   $      41         900    SH   DEFINED       20,14         -        0         -
BARRICK GOLD CORP            COMMON 067901108   $     756      16,456    SH   DEFINED          21      16,456      0         -
BARRICK GOLD CORP            COMMON 067901108   $  19,023     418,078    SH   DEFINED          22       2,600      0     415,478
BARRICK GOLD CORP            COMMON 067901108   $      74       1,621    SH   DEFINED          23       1,621      0         -
BARRICK GOLD CORP            COMMON 067901108   $       2          41    SH   DEFINED          24          41      0         -
BARRICK GOLD CORP            COMMON 067901108   $  98,067   2,134,400    SH   DEFINED           3   2,134,400      0         -
BARRICK GOLD CORP            COMMON 067901108   $  47,113   1,025,400    SH   DEFINED         3,1   1,025,400      0         -
BARRICK GOLD CORP            COMMON 067901108   $       5         100    SH   DEFINED           5         -        0         100
BARRICK GOLD CORP            COMMON 067901108   $   3,403      74,800    SH   DEFINED        5,15      74,800      0         -
BARRICK GOLD CORP            COMMON 067901108   $   3,862      84,206    SH   DEFINED           7      84,206      0         -
BARRICK GOLD CORP            COMMON 067901108   $  19,056     414,753    SH   DEFINED           8     398,619 16,134         -
BARRICK GOLD CORP            COMMON 067901108   $  10,233     224,900    SH   DEFINED        8,14     224,900      0         -
BARRICK GOLD CORP            COMMON 067901108   $   1,781      38,770    SH   DEFINED           9      38,770      0         -
BARRICK GOLD CORP            COMMON 067901108   $     819      18,000    SH   DEFINED        9,14         -        0      18,000
BARR PHARMACEUTICALS INC     COMMON 068306109   $  63,074   1,399,163    SH   DEFINED           1   1,399,163      0         -
BARR PHARMACEUTICALS INC     COMMON 068306109   $     861      19,089    SH   DEFINED          14      19,089      0         -
BARR PHARMACEUTICALS INC     COMMON 068306109   $      18         403    SH   DEFINED          22         -        0         403
BARR PHARMACEUTICALS INC     COMMON 068306109   $   3,162      70,133    SH   DEFINED          23      70,133      0         -
BARR PHARMACEUTICALS INC     COMMON 068306109   $       3          62    SH   DEFINED          24          62      0         -
BARR PHARMACEUTICALS INC     COMMON 068306109   $  29,066     644,761    SH   DEFINED           4     644,761      0         -
BARR PHARMACEUTICALS INC     COMMON 068306109   $     109       2,412    SH   DEFINED           7       2,412      0         -
BARRETT BUSINESS SVCS IN     COMMON 068463108   $       1          74    SH   DEFINED          23          74      0         -
BILL BARRETT CORP            COMMON 06846N104   $ 106,808   1,797,810    SH   DEFINED           1   1,797,810      0         -
BILL BARRETT CORP            COMMON 06846N104   $  13,545     228,000    SH   DEFINED        13,2         -        0     228,000
BILL BARRETT CORP            COMMON 06846N104   $  18,418     310,018    SH   DEFINED           2     310,018      0         -
BILL BARRETT CORP            COMMON 06846N104   $       2          41    SH   DEFINED          22         -        0          41
BILL BARRETT CORP            COMMON 06846N104   $      79       1,328    SH   DEFINED          23       1,328      0         -
BARRIER THERAPEUTICS INC     COMMON 06850R108   $       1         230    SH   DEFINED          23         230      0         -
BARRY (R.G.)                 COMMON 068798107   $     190      22,221    SH   DEFINED          22      22,221      0         -
BARRY (R.G.)                 COMMON 068798107   $     242      28,262    SH   DEFINED          23      28,262      0         -
BASIC ENERGY SERVICES IN     COMMON 06985P100   $     159       5,049    SH   DEFINED          23       5,049      0         -
BASSETT FURNITURE INDS       COMMON 070203104   $      57       4,720    SH   DEFINED          23       4,720      0         -
EDDIE BAUER HOLDINGS INC     COMMON 071625107   $      31       7,400    SH   DEFINED          14       7,400      0         -
EDDIE BAUER HOLDINGS INC     COMMON 071625107   $     331      79,681    SH   DEFINED          23      79,681      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $ 244,980   3,831,411    SH   DEFINED           1   3,831,411      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   2,040      31,900    SH   DEFINED       10,14      31,900      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $ 118,508   1,853,430    SH   DEFINED          14   1,267,130      0     508,600
BAXTER INTERNATIONAL INC     COMMON 071813109   $   3,114      48,700    SH   DEFINED       14,13         -        0      48,700
BAXTER INTERNATIONAL INC     COMMON 071813109   $   7,807     122,100    SH   DEFINED        14,7         -        0     122,100
BAXTER INTERNATIONAL INC     COMMON 071813109   $   1,208      18,900    SH   DEFINED          17      18,900      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $     930      14,540    SH   DEFINED          19      14,540      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $  32,133     502,549    SH   DEFINED           2     502,549      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $     262       4,100    SH   DEFINED       20,14         -        0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   3,263      51,030    SH   DEFINED          21      51,030      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   1,870      29,247    SH   DEFINED          22       8,367      0      20,880
BAXTER INTERNATIONAL INC     COMMON 071813109   $  27,854     435,622    SH   DEFINED          23     435,622      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   1,006      15,741    SH   DEFINED          24      15,741      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $     434       6,782    SH   DEFINED           4       6,782      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   3,313      51,810    SH   DEFINED           5      11,075      0      40,735
BAXTER INTERNATIONAL INC     COMMON 071813109   $   7,021     109,800    SH   DEFINED        5,15     109,800      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $     774      12,100    SH   DEFINED           6      12,100      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   4,202      65,713    SH   DEFINED           7      65,713      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   3,602      56,334    SH   DEFINED           8      56,334      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $  10,953     171,300    SH   DEFINED        8,14     171,300      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $     506       7,919    SH   DEFINED         8,2       7,919      0         -
BAXTER INTERNATIONAL INC     COMMON 071813109   $   1,688      26,400    SH   DEFINED        9,14         -        0      26,400
BE AEROSPACE INC             COMMON 073302101   $   2,712     116,437    SH   DEFINED          22     107,405      0       9,032
BE AEROSPACE INC             COMMON 073302101   $     138       5,945    SH   DEFINED          23       5,945      0         -
BE AEROSPACE INC             COMMON 073302101   $   1,621      69,608    SH   DEFINED           5      50,928      0      18,680
BEACON POWER CORPORATION     COMMON 073677106   $   4,591   2,428,908    SH   DEFINED          23   2,428,908      0         -
BEACON ROOFING SUPPLY INC    COMMON 073685109   $     160      15,045    SH   DEFINED          23      15,045      0         -
BEARINGPOINT INC             COMMON 074002106   $      68      84,188    SH   DEFINED          23      84,188      0         -
BEAZER HOMES USA INC         COMMON 07556Q105   $     191      34,244    SH   DEFINED          23      34,244      0         -
BEAZER HOMES USA INC         COMMON 07556Q105   $       4         664    SH   DEFINED          24         664      0         -
BEBE STORES INC              COMMON 075571109   $      33       3,426    SH   DEFINED          23       3,426      0         -
BECKMAN COULTER INC          COMMON 075811109   $      54         795    SH   DEFINED          22         370      0         425
BECKMAN COULTER INC          COMMON 075811109   $   4,218      62,457    SH   DEFINED          23      62,457      0         -
BECKMAN COULTER INC          COMMON 075811109   $       4          57    SH   DEFINED          24          57      0         -
BECKMAN COULTER INC
2.5 12-15                    CONVERT075811AD1   $   1,659   1,500,000    SH   DEFINED          14         -        0   1,275,000
BECTON DICKINSON & CO        COMMON 075887109   $ 100,026   1,230,331    SH   DEFINED           1   1,230,331      0         -
BECTON DICKINSON & CO        COMMON 075887109   $     504       6,200    SH   DEFINED       10,14       6,200      0         -
BECTON DICKINSON & CO        COMMON 075887109   $   8,419     103,550    SH   DEFINED          14      78,450      0      21,300
BECTON DICKINSON & CO        COMMON 075887109   $   2,049      25,200    SH   DEFINED        14,7         -        0      25,200
BECTON DICKINSON & CO        COMMON 075887109   $   7,472      91,911    SH   DEFINED           2      91,911      0         -
BECTON DICKINSON & CO        COMMON 075887109   $  13,530     166,415    SH   DEFINED          22      99,970      0      66,445
BECTON DICKINSON & CO        COMMON 075887109   $  14,153     174,087    SH   DEFINED          23     174,087      0         -
BECTON DICKINSON & CO        COMMON 075887109   $      14         172    SH   DEFINED          24         172      0         -
BECTON DICKINSON & CO        COMMON 075887109   $   1,947      23,951    SH   DEFINED           5       8,655      0      15,296
BECTON DICKINSON & CO        COMMON 075887109   $     384       4,722    SH   DEFINED           7       4,722      0         -
BECTON DICKINSON & CO        COMMON 075887109   $   2,764      34,001    SH   DEFINED           8      34,001      0         -
BECTON DICKINSON & CO        COMMON 075887109   $   3,821      47,000    SH   DEFINED        8,14      47,000      0         -
BECTON DICKINSON & CO        COMMON 075887109   $     313       3,855    SH   DEFINED         8,2       3,855      0         -
BED BATH & BEYOND INC        COMMON 075896100   $     360      12,800    SH   DEFINED          14         -        0      12,800
BED BATH & BEYOND INC        COMMON 075896100   $     155       5,500    SH   DEFINED          22         400      0       5,100
BED BATH & BEYOND INC        COMMON 075896100   $     684      24,345    SH   DEFINED          23      24,345      0         -
BED BATH & BEYOND INC        COMMON 075896100   $   2,707      96,339    SH   DEFINED          24      96,339      0         -
BED BATH & BEYOND INC        COMMON 075896100   $     148       5,261    SH   DEFINED           5         525      0       4,736
BED BATH & BEYOND INC        COMMON 075896100   $     153       5,458    SH   DEFINED           7       5,458      0         -
BEL FUSE INC-CL A            COMMON 077347201   $       1          22    SH   DEFINED          23          22      0         -
BEL FUSE INC-CL B            COMMON 077347300   $     234       9,454    SH   DEFINED          23       9,454      0         -
BELDEN INC                   COMMON 077454106   $   6,668     196,814    SH   DEFINED           1     196,814      0         -
BELDEN INC                   COMMON 077454106   $     119       3,500    SH   DEFINED          14       3,500      0         -
BELDEN INC                   COMMON 077454106   $   3,858     113,880    SH   DEFINED           2      44,680      0      69,200
BELDEN INC                   COMMON 077454106   $     275       8,106    SH   DEFINED          23       8,106      0         -
BELDEN INC                   COMMON 077454106   $     640      18,903    SH   DEFINED           5      17,803      0       1,100
BELLUS HEALTH INC            COMMON 07986A100   $       1         427    SH   DEFINED          23         427      0         -
BELO CORPORATION             COMMON 080555105   $   2,083     285,016    SH   DEFINED           1     285,016      0         -
BELO CORPORATION             COMMON 080555105   $     168      23,019    SH   DEFINED        13,2         -        0      23,019
BELO CORPORATION             COMMON 080555105   $   7,321   1,001,540    SH   DEFINED          14     418,540      0     576,900
BELO CORPORATION             COMMON 080555105   $     138      18,846    SH   DEFINED          22         -        0      18,846
BELO CORPORATION             COMMON 080555105   $     124      16,931    SH   DEFINED          23      16,931      0         -
BELO CORPORATION             COMMON 080555105   $       2         331    SH   DEFINED          24         331      0         -
BEMIS COMPANY                COMMON 081437105   $       9         400    SH   DEFINED          22         -        0         400
BEMIS COMPANY                COMMON 081437105   $     814      36,325    SH   DEFINED          23      36,325      0         -
BEMIS COMPANY                COMMON 081437105   $       5         209    SH   DEFINED          24         209      0         -
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $   1,650     101,000    SH   DEFINED          14      60,100      0      40,900
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $     336      20,573    SH   DEFINED          23      20,573      0         -
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $       3         154    SH   DEFINED          24         154      0         -
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $      10         600    SH   DEFINED           5         -        0         600
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $     199      12,200    SH   DEFINED        5,15      12,200      0         -
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $     168      10,300    SH   DEFINED           8      10,300      0         -
BENCHMARK ELECTRONICS INC    COMMON 08160H101   $      46       2,800    SH   DEFINED        8,20       2,800      0         -
BENEFICIAL MUTUAL BANCORP
INC                          COMMON 08173R104   $      20       1,821    SH   DEFINED          23       1,821      0         -
BENIHANA INC                 COMMON 082047101   $       6         927    SH   DEFINED          23         927      0         -
BENIHANA INC - CL A          COMMON 082047200   $      14       2,265    SH   DEFINED          23       2,265      0         -
BERKLEY (WR) CORP            COMMON 084423102   $      14         600    SH   DEFINED          14         600      0         -
BERKLEY (WR) CORP            COMMON 084423102   $     341      14,120    SH   DEFINED          22       3,037      0      11,083
BERKLEY (WR) CORP            COMMON 084423102   $   7,881     326,181    SH   DEFINED          23     326,181      0         -
BERKLEY (WR) CORP            COMMON 084423102   $     180       7,471    SH   DEFINED          24       7,471      0         -
BERKLEY (WR) CORP            COMMON 084423102   $      72       2,979    SH   DEFINED           5         -        0       2,979
BERKSHIRE HATHAWAY INC CL A  COMMON 084670108   $ 181,246       1,501    SH   DEFINED           1       1,501      0         -
BERKSHIRE HATHAWAY INC CL A  COMMON 084670108   $     362           3    SH   DEFINED           2           3      0         -
BERKSHIRE HATHAWAY INC CL A  COMMON 084670108   $  24,995         207    SH   DEFINED          22          55      0         152
BERKSHIRE HATHAWAY INC CL A  COMMON 084670108   $  22,460         186    SH   DEFINED         3,1         186      0         -
BERKSHIRE HATHAWAY INC CL A  COMMON 084670108   $   5,072          42    SH   DEFINED           5           4      0          38
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $  25,922       6,461    SH   DEFINED          22       3,261      0       3,200
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $   7,133       1,778    SH   DEFINED          23       1,778      0         -
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $     140          35    SH   DEFINED          24          35      0         -
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $   1,328         331    SH   DEFINED         3,1         331      0         -
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $   5,898       1,470    SH   DEFINED           5         985      0         485
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $     546         136    SH   DEFINED           7         136      0         -
BERKSHIRE HATHAWAY INC CL B  COMMON 084670207   $  10,511       2,620    SH   DEFINED        8,14       2,620      0         -
BERKSHIRE HILLS BANCORP INC  COMMON 084680107   $     378      16,000    SH   DEFINED          14      11,000      0       5,000
BERKSHIRE HILLS BANCORP INC  COMMON 084680107   $     397      16,800    SH   DEFINED          23      16,800      0         -
BERKSHIRE HILLS BANCORP INC  COMMON 084680107   $      64       2,700    SH   DEFINED        5,15      2,700       0         -
BERRY PETROLEUM CO CL A      COMMON 085789105   $   6,263     106,369    SH   DEFINED          23    106,369       0         -
BERRY PETROLEUM CO CL A      COMMON 085789105   $      10         166    SH   DEFINED           5        166       0         -
BEST BUY COMPANY INC         COMMON 086516101   $   6,708     169,384    SH   DEFINED           1    169,384       0         -
BEST BUY COMPANY INC         COMMON 086516101   $     507      12,800    SH   DEFINED        1,15     12,800       0         -
BEST BUY COMPANY INC         COMMON 086516101   $  19,917     502,963    SH   DEFINED          11    121,863       0     381,100
BEST BUY COMPANY INC         COMMON 086516101   $      36         900    SH   DEFINED          13        900       0         -
BEST BUY COMPANY INC         COMMON 086516101   $     555      14,015    SH   DEFINED        13,2        -         0      14,015
BEST BUY COMPANY INC         COMMON 086516101   $  12,173     307,407    SH   DEFINED          14    199,807       0     103,500
BEST BUY COMPANY INC         COMMON 086516101   $     677      17,100    SH   DEFINED        14,7        -         0      17,100
BEST BUY COMPANY INC         COMMON 086516101   $      26         655    SH   DEFINED        18,11        65       0         -
BEST BUY COMPANY INC         COMMON 086516101   $     471      11,900    SH   DEFINED        18,14        -        0      11,900
BEST BUY COMPANY INC         COMMON 086516101   $   2,526      63,800    SH   DEFINED        19,14     36,700      0      27,100
BEST BUY COMPANY INC         COMMON 086516101   $      36         900    SH   DEFINED        20,14        -        0         -
BEST BUY COMPANY INC         COMMON 086516101   $  11,081     279,824    SH   DEFINED           22     56,493      0     223,331
BEST BUY COMPANY INC         COMMON 086516101   $   3,069      77,511    SH   DEFINED           23     77,511      0         -
BEST BUY COMPANY INC         COMMON 086516101   $      26         647    SH   DEFINED           24        647      0         -
BEST BUY COMPANY INC         COMMON 086516101   $   6,562     165,702    SH   DEFINED            5    116,563      0      49,139
BEST BUY COMPANY INC         COMMON 086516101   $     307       7,753    SH   DEFINED            7      7,753      0         -
BEST BUY COMPANY INC         COMMON 086516101   $     417      10,525    SH   DEFINED            8     10,525      0         -
BEST BUY COMPANY INC         COMMON 086516101   $   3,037      76,700    SH   DEFINED         8,14     39,100      0      37,600
BETHLEHEM STEEL CORP         COMMON 087509105       $ -             3    SH   DEFINED           22        -        0           3
BEVERLY HILLS BANCORP INC    COMMON 087866109       $ -           123    SH   DEFINED           23        123      0         -
BHP LTD-ADR                  COMMON 088606108   $   9,371     110,000    SH   DEFINED            1    110,000      0         -
BHP LTD-ADR                  COMMON 088606108   $     296       3,475    SH   DEFINED           22      1,500      0       1,975
BHP LTD-ADR                  COMMON 088606108   $   3,661      42,978    SH   DEFINED           23     42,978      0         -
BHP LTD-ADR                  COMMON 088606108   $  45,620     535,511    SH   DEFINED            4    535,511      0         -
BHP LTD-ADR                  COMMON 088606108   $     253       2,969    SH   DEFINED            5      2,401      0         568
BIDZ.COM INC                 COMMON 08883T200   $     139      16,005    SH   DEFINED           23     16,005      0         -
BIG 5 SPORTING GOODS CORP    COMMON 08915P101   $       2         314    SH   DEFINED           22        -        0         314
BIG 5 SPORTING GOODS CORP    COMMON 08915P101   $      58       7,714    SH   DEFINED           23      7,714      0         -
BIG LOTS INC                 COMMON 089302103   $  18,952     606,648    SH   DEFINED            1    606,648      0         -
BIG LOTS INC                 COMMON 089302103   $   3,718     119,000    SH   DEFINED         1,15    119,000      0         -
BIG LOTS INC                 COMMON 089302103   $   1,353      43,300    SH   DEFINED        10,14     43,300      0         -
BIG LOTS INC                 COMMON 089302103   $     172       5,510    SH   DEFINED         10,7      5,510      0         -
BIG LOTS INC                 COMMON 089302103   $     130       4,172    SH   DEFINED           13      4,172      0         -
BIG LOTS INC                 COMMON 089302103   $ 137,394   4,398,010    SH   DEFINED           14  2,615,610      0   1,668,300
BIG LOTS INC                 COMMON 089302103   $   2,321      74,300    SH   DEFINED        14,13        -        0      74,300
BIG LOTS INC                 COMMON 089302103   $   4,030     129,000    SH   DEFINED         14,7        -        0     129,000
BIG LOTS INC                 COMMON 089302103   $  11,951     382,557    SH   DEFINED            2    382,557      0         -
BIG LOTS INC                 COMMON 089302103   $      22         700    SH   DEFINED        20,14        -        0         -
BIG LOTS INC                 COMMON 089302103   $   1,293      41,386    SH   DEFINED           23     41,386      0         -
BIG LOTS INC                 COMMON 089302103   $       9         273    SH   DEFINED           24        273      0         -
BIG LOTS INC                 COMMON 089302103   $   7,210     230,800    SH   DEFINED         5,15    230,800      0         -
BIG LOTS INC                 COMMON 089302103   $   3,854     123,379    SH   DEFINED            7    123,379      0         -
BIG LOTS INC                 COMMON 089302103   $   4,789     153,289    SH   DEFINED            8    153,289      0         -
BIG LOTS INC                 COMMON 089302103   $   7,088     226,900    SH   DEFINED         8,14    226,900      0         -
BIG LOTS INC                 COMMON 089302103   $     874      27,988    SH   DEFINED            9     27,988      0         -
BIG LOTS INC                 COMMON 089302103   $   1,265      40,500    SH   DEFINED         9,14        -        0      40,500
BIGBAND NETWORKS INC         COMMON 089750509   $       1         106    SH   DEFINED           23        106      0         -
BIO RAD LABORATORIES CL A    COMMON 090572207   $   5,820      71,950    SH   DEFINED            1     71,950      0         -
BIO RAD LABORATORIES CL A    COMMON 090572207   $     930      11,500    SH   DEFINED           14      7,700      0       3,800
BIO RAD LABORATORIES CL A    COMMON 090572207   $   3,454      42,695    SH   DEFINED            2     16,741      0      25,954
BIO RAD LABORATORIES CL A    COMMON 090572207   $      40         500    SH   DEFINED           22        -        0         500
BIO RAD LABORATORIES CL A    COMMON 090572207   $   1,700      21,013    SH   DEFINED           23     21,013      0         -
BIO RAD LABORATORIES CL A    COMMON 090572207   $     129       1,600    SH   DEFINED         5,15      1,600      0         -
BIO RAD LABORATORIES CL A    COMMON 090572207   $      81       1,000    SH   DEFINED            8      1,000      0         -
BIO RAD LABORATORIES CL A    COMMON 090572207   $      24         300    SH   DEFINED         8,20        300      0         -
BIO-REFERENCE LABS INC       COMMON 09057G602   $       3         121    SH   DEFINED           23        121      0         -
BIOCRYST PHARMACEUTICALS INC COMMON 09058V103   $       1         331    SH   DEFINED           23        331      0         -
BIOCRYST PHARMACEUTICALS INC COMMON 09058V103   $      44      15,796    SH   DEFINED            5     15,796      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $  37,120   1,280,889    SH   DEFINED            1  1,280,889      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $     336      11,600    SH   DEFINED           14     11,600      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $     313      10,800    SH   DEFINED           17     10,800      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $  13,573     468,355    SH   DEFINED            2    468,355      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $   2,320      80,040    SH   DEFINED         20,2        -        0      80,040
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $      44       1,514    SH   DEFINED           23      1,514      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $      22         754    SH   DEFINED            5        -        0         754
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $     264       9,100    SH   DEFINED            8      9,100      0         -
BIOMARIN PHARMACEUTICAL INC  COMMON 09061G101   $      72       2,500    SH   DEFINED         8,20      2,500      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   4,767      85,300    SH   DEFINED            1     85,300      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   4,784      85,600    SH   DEFINED         1,15     85,600      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   1,649      29,500    SH   DEFINED        10,14     29,500      0         -
BIOGEN IDEC INC              COMMON 09062X103   $     301       5,381    SH   DEFINED           11      5,381      0         -
BIOGEN IDEC INC              COMMON 09062X103   $      73       1,300    SH   DEFINED           13      1,300      0         -
BIOGEN IDEC INC              COMMON 09062X103   $ 133,715   2,392,459    SH   DEFINED           14  1,548,909      0     766,350
BIOGEN IDEC INC              COMMON 09062X103   $   2,666      47,700    SH   DEFINED        14,13        -        0      47,700
BIOGEN IDEC INC              COMMON 09062X103   $   6,276     112,300    SH   DEFINED         14,7        -        0     112,300
BIOGEN IDEC INC              COMMON 09062X103   $     129       2,300    SH   DEFINED           17      2,300      0         -
BIOGEN IDEC INC              COMMON 09062X103   $     436       7,800    SH   DEFINED        20,14        -        0         -
BIOGEN IDEC INC              COMMON 09062X103   $     759      13,573    SH   DEFINED           21     13,573      0         -
BIOGEN IDEC INC              COMMON 09062X103   $     129       2,300    SH   DEFINED           22        -        0       2,300
BIOGEN IDEC INC              COMMON 09062X103   $  21,765     389,432    SH   DEFINED           23    389,432      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   4,860      86,960    SH   DEFINED           24     86,960      0         -
BIOGEN IDEC INC              COMMON 09062X103   $     197       3,520    SH   DEFINED            5        -        0       3,520
BIOGEN IDEC INC              COMMON 09062X103   $   6,008     107,500    SH   DEFINED         5,15    107,500      0         -
BIOGEN IDEC INC              COMMON 09062X103   $     537       9,600    SH   DEFINED            6      9,600      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   2,964      53,031    SH   DEFINED            7     53,031      0         -
BIOGEN IDEC INC              COMMON 09062X103   $  17,201     307,757    SH   DEFINED            8    307,757      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   7,690     137,600    SH   DEFINED         8,14    137,600      0         -
BIOGEN IDEC INC              COMMON 09062X103   $     587      10,500    SH   DEFINED            9     10,500      0         -
BIOGEN IDEC INC              COMMON 09062X103   $   1,448      25,900    SH   DEFINED         9,14        -        0      25,900
BIOMED REALTY TRUST INC      COMMON 09063H107   $  13,600     554,425    SH   DEFINED            1    554,425      0         -
BIOMED REALTY TRUST INC      COMMON 09063H107   $   1,352      55,100    SH   DEFINED           14     55,100      0         -
BIOMED REALTY TRUST INC      COMMON 09063H107   $  11,001     448,451    SH   DEFINED            2    448,451      0         -
BIOMED REALTY TRUST INC      COMMON 09063H107   $     171       6,954    SH   DEFINED           23      6,954      0         -
BIONOVO INC                  COMMON 090643107   $     109     110,000    SH   DEFINED            5     10,000      0     100,000
BIODEL INC                   COMMON 09064M105   $   2,422     186,309    SH   DEFINED            1    186,309      0         -
BIODEL INC                   COMMON 09064M105   $     229      17,626    SH   DEFINED            2     17,626      0         -
BIODEL INC                   COMMON 09064M105   $     342      26,336    SH   DEFINED         20,2        -        0      26,336
BIODEL INC                   COMMON 09064M105   $       2         155    SH   DEFINED            23       155      0         -
BIOMIMETIC THERAPEUTICS INC  COMMON 09064X101   $       1         120    SH   DEFINED            23       120      0         -
BIOPURE CORP-CLASS A         COMMON 09065H402       $ -            10    SH   DEFINED            22       -        0          10
BIOSANTE PHARMACEUTICALS
INC                          COMMON 09065V203   $   2,893     724,999    SH   DEFINED            23   724,999      0         -
BIOTECH HOLDERS TRUST        COMMON 09067D201   $     217       1,284    SH   DEFINED            22        84      0       1,200
BIOTECH HOLDERS TRUST        COMMON 09067D201   $      84         500    SH   DEFINED             5       -        0         500
BIOVAIL CORPORATION          COMMON 09067J109   $     321      32,795    SH   DEFINED            23    32,795      0         -
BIOVAIL CORPORATION          COMMON 09067J109   $      23       2,400    SH   DEFINED            24     2,400      0         -
BIOSCRIP INC                 COMMON 09069N108   $     188      72,456    SH   DEFINED            23    72,456      0         -
BLACK & DECKER CORP          COMMON 091797100   $   1,797      31,240    SH   DEFINED            14    11,940      0      18,200
BLACK & DECKER CORP          COMMON 091797100   $     391       6,800    SH   DEFINED          14,7       -        0       6,800
BLACK & DECKER CORP          COMMON 091797100   $      35         600    SH   DEFINED            22       -        0         600
BLACK & DECKER CORP          COMMON 091797100   $     381       6,629    SH   DEFINED            23     6,629      0         -
BLACK & DECKER CORP          COMMON 091797100   $       5          93    SH   DEFINED            24        93      0         -
BLACK & DECKER CORP          COMMON 091797100   $       2          35    SH   DEFINED             4        35      0         -
BLACK & DECKER CORP          COMMON 091797100   $       4          61    SH   DEFINED             5       -        0          61
BLACK & DECKER CORP          COMMON 091797100   $     117       2,037    SH   DEFINED             7     2,037      0         -
BLACK & DECKER CORP          COMMON 091797100   $     302       5,252    SH   DEFINED             8     5,252      0         -
BJ'S RESTAURANTS INC         COMMON 09180C106   $       2         230    SH   DEFINED            23       230      0         -
BLACK BOX CORPORATION        COMMON 091826107   $     293      10,758    SH   DEFINED            23    10,758      0         -
BLACK BOX CORPORATION        COMMON 091826107   $     140       5,155    SH   DEFINED             5     1,290      0       3,865
BLACKBOARD INC               COMMON 091935502   $  15,964     417,569    SH   DEFINED             1   417,569      0         -
BLACKBOARD INC               COMMON 091935502   $  12,798     334,767    SH   DEFINED             2   334,767      0         -
BLACK HILLS CORP             COMMON 092113109   $  17,601     548,990    SH   DEFINED            14   305,990      0     241,200
BLACK HILLS CORP             COMMON 092113109   $   3,205      99,979    SH   DEFINED            23    99,979      0         -
BLACK HILLS CORP             COMMON 092113109   $       2          71    SH   DEFINED            24        71      0         -
BLACK HILLS CORP             COMMON 092113109   $     132       4,120    SH   DEFINED             5     1,045      0       3,075
BLACK HILLS CORP             COMMON 092113109   $   1,568      48,900    SH   DEFINED          5,15    48,900      0         -
BLACKBAUD INC                COMMON 09227Q100   $   6,459     301,828    SH   DEFINED             1   301,828      0         -
BLACKBAUD INC                COMMON 09227Q100   $   3,726     174,094    SH   DEFINED             2    68,264      0     105,830
BLACKBAUD INC                COMMON 09227Q100   $     209       9,763    SH   DEFINED            23      9,763     0         -
BLACKBAUD INC                COMMON 09227Q100   $     207       9,671    SH   DEFINED             5        -       0       9,671
BLACKROCK INSD MUNI 2008
TR CF                        COMMON 09247K109   $      11         700    SH   DEFINED            22        -       0         700
BLACKROCK INC                COMMON 09247X101   $   5,637      31,845    SH   DEFINED            23     31,845     0         -
BLACKROCK INC                COMMON 09247X101   $     149         843    SH   DEFINED             5        100     0         743
BLACKROCK LTD DURATION INC
CF                           COMMON 09249W101   $      41       2,550    SH   DEFINED            22        -       0       2,550
BLACKROCK GLOBAL ENRG & RES
CE                           COMMON 09250U101   $      36       1,008    SH   DEFINED            22          8     0       1,000
BLACKROCK KELSO CAPITAL CORP COMMON 092533108   $   2,970     314,002    SH   DEFINED            23    314,002     0         -
BLACKROCK KELSO CAPITAL CORP COMMON 092533108   $      47       4,950    SH   DEFINED            24      4,950     0         -
BLACKROCK MUNIVEST FUND CEF  COMMON 09253R105   $     159      17,301    SH   DEFINED            22        -       0      17,301
BLACKSTONE GROUP LP/THE      COMMON 09253U108   $  14,471     794,695    SH   DEFINED             1    794,695     0         -
BLACKSTONE GROUP LP/THE      COMMON 09253U108   $     122       6,700    SH   DEFINED            22      5,400     0       1,300
BLACKSTONE GROUP LP/THE      COMMON 09253U108   $   7,869     432,114    SH   DEFINED            23    432,114     0         -
BLACKSTONE GROUP LP/THE      COMMON 09253U108   $     113       6,196    SH   DEFINED            24      6,196     0         -
BLACKSTONE GROUP LP/THE      COMMON 09253U108   $      16         900    SH   DEFINED             5        500     0         400
BLACKROCK MUNIYIELD QUAL II
CE                           COMMON 09254G108       $ -            28    SH   DEFINED            22         -      0          28
BLACKROCK MUNIYIELD FLORIDA
CE                           COMMON 09254T100   $      38       3,100    SH   DEFINED            22         -      0       3,100
BLACKROCK MUNIHOLDINGS NJ
IN C                         COMMON 09254X101   $      13         967    SH   DEFINED            22         -      0         967
BLDRS ASIA 50 ADR INDEX
FUND E                       COMMON 09348R102   $     282       8,305    SH   DEFINED            22         -      0       8,305
BLDRS EMER MKTS 50 ADR
INDEX E                      COMMON 09348R300   $      23         400    SH   DEFINED            22         -      0         400
BLOCK H & R INC              COMMON 093671105   $  24,605   1,149,777    SH   DEFINED             1  1,149,777     0         -
BLOCK H & R INC              COMMON 093671105   $     630      29,437    SH   DEFINED            23     29,437     0         -
BLOCK H & R INC              COMMON 093671105   $      12         548    SH   DEFINED            24        548     0         -
BLOCK H & R INC              COMMON 093671105   $       2          98    SH   DEFINED             4         98     0         -
BLOCK H & R INC              COMMON 093671105   $      27       1,261    SH   DEFINED             5         -      0       1,261
BLOCK H & R INC              COMMON 093671105   $     150       7,004    SH   DEFINED             7      7,004     0         -
BLOCKBUSTER INC CL A         COMMON 093679108   $     237      94,616    SH   DEFINED            23     94,616     0         -
BLOCKBUSTER INC CL A         COMMON 093679108   $       5       1,852    SH   DEFINED            24      1,852     0         -
BLOCKBUSTER INC-CL B         COMMON 093679207   $     110      54,565    SH   DEFINED            23     54,565     0         -
BLOCKBUSTER INC-CL B         COMMON 093679207   $       2       1,068    SH   DEFINED            24      1,068     0         -
BLONDER TONGUE LABORATORIES  COMMON 093698108   $       9       8,000    SH   DEFINED            22         -      0       8,000
BLOUNT INTERNATIONAL INC     COMMON 095180105   $     634      54,600    SH   DEFINED            14     54,600     0         -
BLOUNT INTERNATIONAL INC     COMMON 095180105   $   3,223     277,599    SH   DEFINED            23    277,599     0         -
BLOUNT INTERNATIONAL INC     COMMON 095180105   $     178      15,348    SH   DEFINED            24     15,348     0         -
BLOUNT INTERNATIONAL INC     COMMON 095180105   $     129      11,100    SH   DEFINED          5,15     11,100     0         -
BLUE COAT SYSTEMS INC        COMMON 09534T508   $       3         200    SH   DEFINED            22         -      0         200
BLUE COAT SYSTEMS INC        COMMON 09534T508   $     362      25,632    SH   DEFINED            23     25,632     0         -
BLUE NILE INC                COMMON 09578R103   $      47       1,115    SH   DEFINED            22         -      0       1,115
BLUE NILE INC                COMMON 09578R103   $     196       4,619    SH   DEFINED            23      4,619     0         -
BLUEGREEN CORP               COMMON 096231105   $      47       7,815    SH   DEFINED            23      7,815     0         -
BLUELINX HOLDINGS INC        COMMON 09624H109   $     103      28,999    SH   DEFINED            23     28,999     0         -
BLUELINX HOLDINGS INC        COMMON 09624H109   $       2         532    SH   DEFINED            24        532     0         -
BLYTH INDUSTRIES INC         COMMON 09643P108   $      64       5,300    SH   DEFINED          1,15      5,300     0         -
BLYTH INDUSTRIES INC         COMMON 09643P108   $  14,207   1,181,000    SH   DEFINED            14    687,100     0     490,800
BLYTH INDUSTRIES INC         COMMON 09643P108   $     360      29,900    SH   DEFINED          14,7        -       0      29,900
BLYTH INDUSTRIES INC         COMMON 09643P108   $     681      56,586    SH   DEFINED            23     56,586     0         -
BLYTH INDUSTRIES INC         COMMON 09643P108   $     984      81,800    SH   DEFINED          5,15     81,800     0         -
BLYTH INDUSTRIES INC         COMMON 09643P108   $     314      26,100    SH   DEFINED             8     26,100     0         -
BLYTH INDUSTRIES INC         COMMON 09643P108   $      87       7,200    SH   DEFINED          8,20      7,200     0         -
BOARDWALK PIPELINE PARTNERS  COMMON 096627104   $   5,809     247,288    SH   DEFINED             5    240,688     0       6,600
BOB EVANS FARMS              COMMON 096761101   $   4,459     155,900    SH   DEFINED            14     74,100     0      81,500
BOB EVANS FARMS              COMMON 096761101   $     788      27,543    SH   DEFINED            23     27,543     0         -
BOB EVANS FARMS              COMMON 096761101   $     212       7,400    SH   DEFINED          5,15      7,400     0         -
BOB EVANS FARMS              COMMON 096761101   $     180       6,300    SH   DEFINED             8      6,300     0         -
BOB EVANS FARMS              COMMON 096761101   $      49       1,700    SH   DEFINED          8,20      1,700     0         -
BOEING CO                    COMMON 097023105   $  98,975   1,506,010    SH   DEFINED             1  1,506,010     0         -
BOEING CO                    COMMON 097023105   $   1,814      27,600    SH   DEFINED          1,15     27,600     0         -
BOEING CO                    COMMON 097023105   $   1,590      24,200    SH   DEFINED         10,14     24,200     0         -
BOEING CO                    COMMON 097023105   $      30         460    SH   DEFINED            11        460     0         -
BOEING CO                    COMMON 097023105   $      59         900    SH   DEFINED            13        900     0         -
BOEING CO                    COMMON 097023105   $  48,527     738,394    SH   DEFINED            14    534,894     0     185,100
BOEING CO                    COMMON 097023105   $     493       7,500    SH   DEFINED         14,13        -       0       7,500
BOEING CO                    COMMON 097023105   $   5,849      89,000    SH   DEFINED          14,7        -       0      89,000
BOEING CO                    COMMON 097023105   $   5,242      79,761    SH   DEFINED             2     79,761     0         -
BOEING CO                    COMMON 097023105   $     729      11,100    SH   DEFINED         20,14        -       0         -
BOEING CO                    COMMON 097023105   $  15,499     235,840    SH   DEFINED            22     44,543     0     191,297
BOEING CO                    COMMON 097023105   $  18,247     277,649    SH   DEFINED            23    277,649     0         -
BOEING CO                    COMMON 097023105   $      76       1,155    SH   DEFINED            24      1,155     0         -
BOEING CO                    COMMON 097023105   $     481       7,323    SH   DEFINED             4      7,323     0         -
BOEING CO                    COMMON 097023105   $   6,706     102,036    SH   DEFINED             5     82,866     0      19,170
BOEING CO                    COMMON 097023105   $    1,111      16,900   SH   DEFINED         5,15      16,900     0         -
BOEING CO                    COMMON 097023105   $      756      11,500   SH   DEFINED            6      11,500     0         -
BOEING CO                    COMMON 097023105   $    1,847      28,101   SH   DEFINED            7      28,101     0         -
BOEING CO                    COMMON 097023105   $    5,933      90,284   SH   DEFINED            8      90,284     0         -
BOEING CO                    COMMON 097023105   $    9,286     141,300   SH   DEFINED         8,14     141,300     0         -
BOEING CO                    COMMON 097023105   $      269       4,100   SH   DEFINED         9,14         -       0       4,100
BOIS D' ARC ENERGY INC       COMMON 09738U103   $    6,530     268,605   SH   DEFINED           23     268,605     0         -
BON-TON STORES               COMMON 09776J101   $       89      16,969   SH   DEFINED           23      16,969     0         -
BOOKHAM INC                  COMMON 09856E105   $        1         874   SH   DEFINED           23         874     0         -
BOOKS-A-MILLION INC          COMMON 098570104   $      421      55,000   SH   DEFINED           14      35,700     0      19,300
BOOKS-A-MILLION INC          COMMON 098570104   $       34       4,402   SH   DEFINED           23       4,402     0         -
BOOKS-A-MILLION INC          COMMON 098570104   $       69       9,000   SH   DEFINED         5,15       9,000     0         -
BORDERS GROUP INC            COMMON 099709107   $      119      19,908   SH   DEFINED           23      19,908     0         -
BORDERS GROUP INC            COMMON 099709107   $        2         389   SH   DEFINED           24         389     0         -
BORG WARNER INC              COMMON 099724106   $   68,011   1,532,479   SH   DEFINED            1   1,532,479     0         -
BORG WARNER INC              COMMON 099724106   $    9,858     222,121   SH   DEFINED            2     222,121     0         -
BORG WARNER INC              COMMON 099724106   $    9,409     212,007   SH   DEFINED           22      39,564     0     172,443
BORG WARNER INC              COMMON 099724106   $    5,221     117,648   SH   DEFINED           23     117,648     0         -
BORG WARNER INC              COMMON 099724106   $        5         117   SH   DEFINED           24         117     0         -
BORG WARNER INC              COMMON 099724106   $    5,737     129,267   SH   DEFINED            5     116,739     0      12,528
BORG WARNER INC              COMMON 099724106   $      158       3,567   SH   DEFINED          8,2       3,567     0         -
BORLAND SOFTWARE CORPORATION COMMON 099849101   $       42      30,905   SH   DEFINED           23      30,905     0         -
BOSTON BEER COMPANY INC
CL A                         COMMON 100557107   $       40         976   SH   DEFINED           23         976     0         -
BOSTON PRIVATE FINANCIAL
HOLDI                        COMMON 101119105   $        2         395   SH   DEFINED           22         -       0         395
BOSTON PRIVATE FINANCIAL
HOLDI                        COMMON 101119105   $       39       6,831   SH   DEFINED           23       6,831     0         -
BOSTON PRIVATE FINANCIAL
HOLDI                        COMMON 101119105   $        5         900   SH   DEFINED            5         400     0         500
BOSTON PROPERTIES INC        COMMON 101121101   $   28,690     318,000   SH   DEFINED         1,15     318,000     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $  109,549   1,214,239   SH   DEFINED           14     770,339     0     381,800
BOSTON PROPERTIES INC        COMMON 101121101   $    1,570      17,400   SH   DEFINED        18,14      17,400     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $      469       5,200   SH   DEFINED        19,14       5,200     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $    4,114      45,600   SH   DEFINED         2,15      45,600     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $      180       2,000   SH   DEFINED           22         -       0       2,000
BOSTON PROPERTIES INC        COMMON 101121101   $      813       9,010   SH   DEFINED           23       9,010     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $       16         178   SH   DEFINED           24         178     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $      532       5,900   SH   DEFINED         3,15       2,700     0       3,200
BOSTON PROPERTIES INC        COMMON 101121101   $   70,159     777,640   SH   DEFINED            5         120     0     777,520
BOSTON PROPERTIES INC        COMMON 101121101   $    8,389      92,981   SH   DEFINED         5,15      92,981     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $       81         900   SH   DEFINED         6,14         900     0         -
BOSTON PROPERTIES INC        COMMON 101121101   $    1,371      15,200   SH   DEFINED         8,14         -       0      15,200
BOSTON PROPERTIES LP
3.75 05-1                    CONVERT10112RAG9   $   10,988  10,000,000   SH   DEFINED           14         -       0   8,475,000
BOSTON SCIENTIFIC CORP       COMMON 101137107   $   21,669   1,763,148   SH   DEFINED           11     415,248     0   1,347,900
BOSTON SCIENTIFIC CORP       COMMON 101137107   $        9         700   SH   DEFINED           13         700     0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $    2,652     215,777   SH   DEFINED           14     207,976     0       4,701
BOSTON SCIENTIFIC CORP       COMMON 101137107   $       97       7,900   SH   DEFINED         14,7         -       0       7,900
BOSTON SCIENTIFIC CORP       COMMON 101137107   $       19       1,550   SH   DEFINED         18,11      1,550     0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $      505      41,100   SH   DEFINED         18,14        -       0      41,100
BOSTON SCIENTIFIC CORP       COMMON 101137107   $    1,891     153,850   SH   DEFINED         19,14     88,350     0      65,500
BOSTON SCIENTIFIC CORP       COMMON 101137107   $        9         700   SH   DEFINED         20,14        -       0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $       29       2,379   SH   DEFINED            22         50     0       2,329
BOSTON SCIENTIFIC CORP       COMMON 101137107   $    1,485     120,815   SH   DEFINED            23    120,815     0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $       28       2,251   SH   DEFINED            24      2,251     0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $        4         320   SH   DEFINED             4        320     0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $    1,312     106,747   SH   DEFINED             5     23,289     0      83,458
BOSTON SCIENTIFIC CORP       COMMON 101137107   $      251      20,396   SH   DEFINED             7     20,396     0         -
BOSTON SCIENTIFIC CORP       COMMON 101137107   $    1,590     129,404   SH   DEFINED          8,14        -       0     129,404
BOTTOMLINE TECHNOLOGIES INC  COMMON 101388106   $        3         306   SH   DEFINED            22        -       0         306
BOTTOMLINE TECHNOLOGIES INC  COMMON 101388106   $      174      17,926   SH   DEFINED            23     17,926     0         -
BOTTOMLINE TECHNOLOGIES INC  COMMON 101388106   $       29       3,000   SH   DEFINED             5      3,000     0         -
BOWNE & CO INC               COMMON 103043105   $    1,856     145,600   SH   DEFINED            14     87,000     0      58,600
BOWNE & CO INC               COMMON 103043105   $      397      31,149   SH   DEFINED            23     31,149     0         -
BOWNE & CO INC               COMMON 103043105   $      251      19,700   SH   DEFINED          5,15     19,700     0         -
BOYD GAMING CORP             COMMON 103304101   $    2,773     220,800   SH   DEFINED            14     85,600     0     134,300
BOYD GAMING CORP             COMMON 103304101   $       75       5,977   SH   DEFINED            23      5,977     0         -
BOYD GAMING CORP             COMMON 103304101   $        1         117   SH   DEFINED            24        117     0         -
BRADY CORP- CL A             COMMON 104674106   $      242       7,000   SH   DEFINED            22      7,000     0         -
BRADY CORP- CL A             COMMON 104674106   $      865      25,038   SH   DEFINED            23     25,038     0         -
BRADY CORP- CL A             COMMON 104674106   $      242       7,000   SH   DEFINED             5      -         0       7,000
BRANDYWINE REALTY TRUST      COMMON 105368203   $   13,479     855,258   SH   DEFINED          1,15    855,258     0         -
BRANDYWINE REALTY TRUST      COMMON 105368203   $   22,272   1,413,177   SH   DEFINED            14    824,236     0     551,963
BRANDYWINE REALTY TRUST      COMMON 105368203   $    1,809     114,798   SH   DEFINED          2,15    114,798     0         -
BRANDYWINE REALTY TRUST      COMMON 105368203   $      193      12,267   SH   DEFINED            23     12,267     0         -
BRANDYWINE REALTY TRUST      COMMON 105368203   $        4         225   SH   DEFINED            24        225     0         -
BRANDYWINE REALTY TRUST      COMMON 105368203   $      126       8,000   SH   DEFINED          3,15        -       0       8,000
BRANDYWINE REALTY TRUST      COMMON 105368203   $        3         167   SH   DEFINED             5        -       0         167
BRANDYWINE REALTY TRUST      COMMON 105368203   $    1,910     121,196   SH   DEFINED          5,15    121,196     0         -
BRANDYWINE REALTY TRUST      COMMON 105368203   $      124       7,855   SH   DEFINED          6,14      7,855     0         -
BRASIL TELECOM PART SA ADR   COMMON 105530109   $      628       8,562   SH   DEFINED            23      8,562     0         -
BRASIL TELECOM PART SA ADR   COMMON 105530109   $        2          33   SH   DEFINED             4         33     0         -
COPENE PETROQ DO NORDESTE
SA A                         COMMON 105532105   $      231      14,585   SH   DEFINED            23     14,585       0         -
BRASIL TELECOM SA- ADR       COMMON 10553M101   $      728      19,801   SH   DEFINED            23     19,801       0         -
BRIGGS & STRATTON            COMMON 109043109   $       47       3,700   SH   DEFINED            14      3,700       0         -
BRIGGS & STRATTON            COMMON 109043109   $      113       8,930   SH   DEFINED            23      8,930       0         -
BRIGGS & STRATTON            COMMON 109043109   $        2         172   SH   DEFINED            24        172       0         -
BRIGHAM EXPLORATION CO       COMMON 109178103   $       40       2,500   SH   DEFINED            14      2,500       0         -
BRIGHAM EXPLORATION CO       COMMON 109178103   $    5,388     340,339   SH   DEFINED            23    340,339       0         -
BRIGHAM EXPLORATION CO       COMMON 109178103   $      752      47,500   SH   DEFINED             5     47,500       0         -
BRIGHTPOINT INC              COMMON 109473405   $   29,762   4,076,938   SH   DEFINED           1,3    4,076,938     0         -
BRIGHTPOINT INC              COMMON 109473405   $      659      90,300   SH   DEFINED          18,3     90,300       0         -
BRIGHTPOINT INC              COMMON 109473405   $      277      37,991   SH   DEFINED            23     37,991       0         -
BRIGHTPOINT INC              COMMON 109473405   $    7,424   1,017,000   SH   DEFINED             3   1,017,000      0         -
BRINKER INTERNATIONAL INC    COMMON 109641100   $   14,771     781,520   SH   DEFINED             1    781,520       0         -
BRINKER INTERNATIONAL INC    COMMON 109641100   $        2          95   SH   DEFINED            22      -           0          95
BRINKER INTERNATIONAL INC    COMMON 109641100   $      651      34,426   SH   DEFINED            23     34,426       0         -
BRINKER INTERNATIONAL INC    COMMON 109641100   $        4         215   SH   DEFINED            24        215       0         -
THE BRINK'S CO               COMMON 109696104   $    8,588     131,275   SH   DEFINED            23    131,275       0         -
THE BRINK'S CO               COMMON 109696104   $      197       3,010   SH   DEFINED            24      3,010       0         -
THE BRINK'S CO               COMMON 109696104   $        6          92   SH   DEFINED             5      -           0          92
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   15,353     747,844   SH   DEFINED             1    747,844       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $      599      29,200   SH   DEFINED         10,14     29,200       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   11,941     581,650   SH   DEFINED            14    412,150       0     150,300
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $      86       4,200    SH   DEFINED         14,13        -         0       4,200
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   2,340     114,000    SH   DEFINED          14,7        -         0     114,000
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $      49       2,400    SH   DEFINED            17      2,400       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $     121       5,900    SH   DEFINED         20,14        -         0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   5,099     248,347    SH   DEFINED            22     79,909       0     168,438
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   6,765     329,500    SH   DEFINED            23    329,500       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $      78       3,781    SH   DEFINED            24      3,781       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $       7         328    SH   DEFINED             4        328       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   2,087     101,641    SH   DEFINED             5     57,260       0      44,381
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $     185       9,000    SH   DEFINED          5,15      9,000       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   1,763      85,892    SH   DEFINED             7     85,892       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   2,311     112,562    SH   DEFINED             8    112,562       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $   2,488     121,200    SH   DEFINED          8,14    121,200       0         -
BRISTOL-MYERS SQUIBB CO      COMMON 110122108   $      43       2,100    SH   DEFINED          9,14        -         0       2,100
BRISTOW GROUP INC            COMMON 110394103   $  10,762     217,454    SH   DEFINED            23    217,454       0         -
BRITISH AMERN TOB PLC ADR    COMMON 110448107   $      26         375    SH   DEFINED            22        -         0         375
BRITISH AMERN TOB PLC ADR    COMMON 110448107   $   6,927     100,024    SH   DEFINED            23    100,024       0         -
BRITISH AMERN TOB PLC ADR    COMMON 110448107   $      42         610    SH   DEFINED             5        -         0         610
BRITISH SKY BROADCAST-SP ADR COMMON 111013108   $      39         905    SH   DEFINED            22        -         0         905
BRITISH SKY BROADCAST-SP ADR COMMON 111013108   $     121       2,830    SH   DEFINED             5        -         0       2,830
BROADCOM CORP CL A           COMMON 111320107   $  24,366     892,856    SH   DEFINED             1    892,856       0         -
BROADCOM CORP CL A           COMMON 111320107   $      25         900    SH   DEFINED            13        900       0         -
BROADCOM CORP CL A           COMMON 111320107   $   5,788     212,100    SH   DEFINED            14    102,300       0     107,300
BROADCOM CORP CL A           COMMON 111320107   $     273      10,000    SH   DEFINED          14,7        -         0      10,000
BROADCOM CORP CL A           COMMON 111320107   $   1,138      41,700    SH   DEFINED            17     41,700       0         -
BROADCOM CORP CL A           COMMON 111320107   $      25         900    SH   DEFINED         20,14        -         0         -
BROADCOM CORP CL A           COMMON 111320107   $   2,418      88,604    SH   DEFINED          20,2     88,604       0         -
BROADCOM CORP CL A           COMMON 111320107   $      68       2,480    SH   DEFINED            22      1,580       0         900
BROADCOM CORP CL A           COMMON 111320107   $   1,082      39,664    SH   DEFINED            23     39,664       0         -
BROADCOM CORP CL A           COMMON 111320107   $   3,058     112,051    SH   DEFINED            24    112,051       0         -
BROADCOM CORP CL A           COMMON 111320107   $      36       1,327    SH   DEFINED             5        -         0       1,327
BROADCOM CORP CL A           COMMON 111320107   $     167       6,112    SH   DEFINED             7      6,112       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     194       9,200    SH   DEFINED          1,15      9,200       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     364      17,300    SH   DEFINED         10,14     17,300       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $      11         500    SH   DEFINED            13        500       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $  21,841   1,037,600    SH   DEFINED            14    598,150       0     413,950
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     295      14,000    SH   DEFINED         14,13        -         0      14,000
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     933      44,300    SH   DEFINED          14,7        -         0      44,300
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $      95       4,500    SH   DEFINED         20,14        -         0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     277      13,150    SH   DEFINED            22      3,533       0       9,617
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     195       9,248    SH   DEFINED            23      9,248       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $       4         169    SH   DEFINED            24        169       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $      78       3,725    SH   DEFINED             5      3,275       0         450
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     680      32,300    SH   DEFINED          5,15     32,300       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     250      11,900    SH   DEFINED             7     11,900       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     459      21,800    SH   DEFINED             8     21,800       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $   1,865      88,600    SH   DEFINED          8,14     88,600       0         -
BROADRIDGE FINANCIAL SOL     COMMON 11133T103   $     160       7,600    SH   DEFINED          9,14        -         0       7,600
BROCADE COMMUNICATIONS SYS   COMMON 111621306   $   5,071     615,448    SH   DEFINED             1    615,448       0         -
BROCADE COMMUNICATIONS SYS   COMMON 111621306   $     551      66,884    SH   DEFINED          20,2     66,884       0         -
BROCADE COMMUNICATIONS SYS   COMMON 111621306   $   8,201     995,303    SH   DEFINED            23    995,303       0         -
BROCADE COMMUNICATIONS SYS   COMMON 111621306   $     218      26,462    SH   DEFINED            24     26,462       0         -
BROCADE COMMUNICATIONS SYS   COMMON 111621306   $     133      16,186    SH   DEFINED             5      3,975       0      12,211
BRONCO DRILLING CO INC       COMMON 112211107   $      34       1,840    SH   DEFINED            23      1,840       0         -
BROOKDALE SENIOR LIVING INC  COMMON 112463104   $      62       3,059    SH   DEFINED            23      3,059       0         -
BROOKDALE SENIOR LIVING INC  COMMON 112463104   $       1          51    SH   DEFINED            24         51       0         -
BROOKE CORP                  COMMON 112502109       $ -            62    SH   DEFINED            23         62       0         -
BROOKFIELD ASSET MANAGEMENT
IN                           COMMON 112585104   $     293       8,975    SH   DEFINED             2      8,975       0         -
BROOKFIELD ASSET MANAGE-CL A COMMON 112585104   $      22         675    SH   DEFINED            22        -         0         675
BROOKFIELD ASSET MANAGE-CL A COMMON 112585104   $   4,212     129,409    SH   DEFINED            23    129,409       0         -
BROOKFIELD ASSET MANAGEMENT
IN                           COMMON 112585104   $       1          41    SH   DEFINED            24         41       0         -
BROOKFIELD ASSET MANAGEMENT
IN                           COMMON 112585104   $ 164,803   5,050,900    SH   DEFINED             3  5,050,900       0         -
BROOKFIELD ASSET MANAGEMENT
IN                           COMMON 112585104   $  19,682     603,200    SH   DEFINED           3,1    603,200       0         -
BROOKFIELD ASSET MANAGE
-CL A                        COMMON 112585104   $     368      11,312    SH   DEFINED             5      4,000       0       7,312
BROOKFIELD ASSET MANAGEMENT
IN                           COMMON 112585104   $   1,222      37,449    SH   DEFINED             8     37,449       0         -
BROOKFIELD HOMES CORP        COMMON 112723101   $      56       4,599    SH   DEFINED            23      4,599       0         -
BROOKFIELD HOMES CORP        COMMON 112723101   $       1          89    SH   DEFINED            24         89       0         -
BROOKFIELD PROPERTIES CORP   COMMON 112900105       $ -            15    SH   DEFINED            14         15       0         -
BROOKFIELD PROPERTIES CORP   COMMON 112900105   $   5,454     306,529    SH   DEFINED            23    306,529       0         -
BROOKFIELD PROPERTIES CORP   COMMON 112900105   $  91,139   5,122,900    SH   DEFINED             3  5,122,900       0         -
BROOKFIELD PROPERTIES CORP   COMMON 112900105   $      80       4,414    SH   DEFINED             7      4,414       0         -
BROOKLINE BANCORP INC        COMMON 11373M107   $     315      33,020    SH   DEFINED            23     33,020       0         -
BROOKS AUTOMATION INC        COMMON 114340102   $   1,323     159,921    SH   DEFINED             1    159,921       0         -
BROOKS AUTOMATION INC        COMMON 114340102   $     316      38,167    SH   DEFINED            23     38,167       0         -
BROOKS AUTOMATION INC        COMMON 114340102   $      62       7,500    SH   DEFINED             5        -         0       7,500
BROWN & BROWN INC            COMMON 115236101   $      52       2,965    SH   DEFINED            22        -         0       2,965
BROWN & BROWN INC            COMMON 115236101   $     284      16,357    SH   DEFINED            23     16,357       0         -
BROWN & BROWN INC            COMMON 115236101   $       4         255    SH   DEFINED             5        -         0         255
BROWN FORMAN CORP CL B       COMMON 115637209   $   1,954      25,863    SH   DEFINED            22     24,105       0       1,758
BROWN FORMAN CORP CL B       COMMON 115637209   $   3,442      45,551    SH   DEFINED            23     45,551       0         -
BROWN FORMAN CORP CL B       COMMON 115637209   $       5          68    SH   DEFINED            24         68       0         -
BROWN FORMAN CORP CL B       COMMON 115637209   $   1,552      20,538    SH   DEFINED             5     11,182       0       9,356
BROWN SHOE COMPANY INC       COMMON 115736100   $      21       1,575    SH   DEFINED            22      1,575       0         -
BROWN SHOE COMPANY INC       COMMON 115736100   $     299      22,053    SH   DEFINED            23     22,053       0         -
BROWN SHOE COMPANY INC       COMMON 115736100   $     250      18,460    SH   DEFINED             5      4,650       0      13,810
BRUKER CORP                  COMMON 116794108   $   6,183     481,177    SH   DEFINED            23    481,177       0         -
BRUNSWICK CORP               COMMON 117043109   $  19,076   1,799,612    SH   DEFINED             1  1,799,612       0         -
BRUNSWICK CORP               COMMON 117043109   $     309      29,193    SH   DEFINED            23     29,193       0         -
BRUNSWICK CORP               COMMON 117043109   $       4         382    SH   DEFINED            24        382       0         -
BRUNSWICK CORP               COMMON 117043109   $       2         149    SH   DEFINED             5        -         0         149
BRUSH ENGINEERED MATERIALS   COMMON 117421107   $      66       2,717    SH   DEFINED            23      2,717       0         -
BUCKEYE GP HOLDINGS LP       COMMON 118167105   $     337      13,525    SH   DEFINED            22        -         0      13,525
BUCKEYE GP HOLDINGS LP       COMMON 118167105   $     156       6,254    SH   DEFINED            23      6,254       0         -
BUCKEYE GP HOLDINGS LP       COMMON 118167105   $   5,580     224,081    SH   DEFINED             5    213,013       0      11,068
BUCKEYE PARTNERS LP          COMMON 118230101   $   1,015      23,738    SH   DEFINED            22        620       0      23,118
BUCKEYE PARTNERS LP          COMMON 118230101   $      23         539    SH   DEFINED            23        539       0         -
BUCKEYE PARTNERS LP          COMMON 118230101   $   8,352     195,272    SH   DEFINED             5    181,532       0      13,740
BUCKEYE TECHNOLOGIES INC     COMMON 118255108   $     756      89,400    SH   DEFINED            14     89,400       0         -
BUCKEYE TECHNOLOGIES INC     COMMON 118255108   $     395      46,710    SH   DEFINED            23     46,710       0         -
BUCKEYE TECHNOLOGIES INC     COMMON 118255108   $      76       8,935    SH   DEFINED             5      2,260       0       6,675
BUCKEYE TECHNOLOGIES INC     COMMON 118255108   $      134      15,800   SH   DEFINED           5,15    15,800       0          -
THE BUCKLE INC               COMMON 118440106   $    1,458      31,875   SH   DEFINED             23    31,875       0          -
BUCYRUS INTERNATIONAL INC    COMMON 118759109   $   41,892     573,710   SH   DEFINED              1   573,710       0          -
BUCYRUS INTERNATIONAL INC    COMMON 118759109   $   16,801     230,083   SH   DEFINED              2   182,831       0       47,252
BUCYRUS INTERNATIONAL INC    COMMON 118759109   $        6          76   SH   DEFINED             22       -         0           76
BUCYRUS INTERNATIONAL INC    COMMON 118759109   $    4,653      63,716   SH   DEFINED             23    63,716       0          -
BUCYRUS INTERNATIONAL INC    COMMON 118759109   $      176       2,405   SH   DEFINED              5       605       0        1,800
BUFFALO WILD WINGS INC       COMMON 119848109   $    8,147     328,118   SH   DEFINED              1   328,118       0          -
BUFFALO WILD WINGS INC       COMMON 119848109   $    6,466     260,395   SH   DEFINED              2   260,395       0          -
BUFFALO WILD WINGS INC       COMMON 119848109   $      342      13,776   SH   DEFINED             23    13,776       0          -
BUILD-A-BEAR WORKSHOP INC    COMMON 120076104   $       32       4,418   SH   DEFINED             23     4,418       0          -
BUILDERS FIRSTSOURCE INC     COMMON 12008R107   $       31       5,900   SH   DEFINED             14     5,900       0          -
BUILDERS FIRSTSOURCE INC     COMMON 12008R107   $        1         100   SH   DEFINED             22       100       0          -
BUILDERS FIRSTSOURCE INC     COMMON 12008R107   $       62      11,745   SH   DEFINED             23    11,745       0          -
BUILDING MATERIAL HOLDING CP COMMON 120113105   $       60      34,176   SH   DEFINED             23    34,176       0          -
BURGER KING HOLDINGS INC     COMMON 121208201   $   42,355   1,581,016   SH   DEFINED              1 1,581,016       0          -
BURGER KING HOLDINGS INC     COMMON 121208201   $      621      23,187   SH   DEFINED           13,2       -         0       23,187
BURGER KING HOLDINGS INC     COMMON 121208201   $    2,353      87,823   SH   DEFINED              2    10,287       0       77,536
BURGER KING HOLDINGS INC     COMMON 121208201   $    5,728     213,796   SH   DEFINED             23   213,796       0          -
BURGER KING HOLDINGS INC     COMMON 121208201   $        3         110   SH   DEFINED             24       110       0          -
BURGER KING HOLDINGS INC     COMMON 121208201   $       33       1,233   SH   DEFINED              5       -         0        1,233
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $      330       3,300   SH   DEFINED             14     2,000       0          500
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $      210       2,100   SH   DEFINED           14,7       -         0        2,100
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $      934       9,353   SH   DEFINED             22     3,500       0        5,853
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $   14,323     143,385   SH   DEFINED             23   143,385       0          -
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $       36         359   SH   DEFINED             24       359       0          -
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $    1,817      18,195   SH   DEFINED              5    12,857       0        5,338
BURLINGTON NORTHERN SANTA FE COMMON 12189T104   $      646       6,470   SH   DEFINED              7     6,470       0          -
BWAY HOLDING CO              COMMON 12429T104   $      564      65,537   SH   DEFINED              1    65,537       0          -
BWAY HOLDING CO              COMMON 12429T104   $      208      24,178   SH   DEFINED              2       -         0       24,178
BWAY HOLDING CO              COMMON 12429T104   $       46       5,335   SH   DEFINED             23     5,335       0          -
C&D TECHNOLOGIES INC         COMMON 124661109   $       58       6,810   SH   DEFINED             23     6,810       0          -
CAE INC                      COMMON 124765108   $       17       1,493   SH   DEFINED             23     1,493       0          -
CBIZ INC                     COMMON 124805102   $    1,878     236,200   SH   DEFINED             14   169,300       0       66,900
CBIZ INC                     COMMON 124805102   $      680      85,590   SH   DEFINED             23    85,590       0          -
CBIZ INC                     COMMON 124805102   $      204      25,700   SH   DEFINED           5,15    25,700       0          -
CBIZ INC                     COMMON 124805102   $      419      52,700   SH   DEFINED              8    52,700       0          -
CBIZ INC                     COMMON 124805102   $      114      14,400   SH   DEFINED           8,20    14,400       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $   25,537   1,118,100   SH   DEFINED           1,15 1,118,100       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $   42,020   1,839,769   SH   DEFINED             14 1,129,369       0      601,700
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $      850      37,200   SH   DEFINED          18,14    37,200       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $      251      11,000   SH   DEFINED          19,14    11,000       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $    3,746     164,000   SH   DEFINED           2,15   164,000       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $      236      10,327   SH   DEFINED             23    10,327       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $        4         175   SH   DEFINED             24       175       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $      397      17,400   SH   DEFINED           3,15     5,700       0       11,700
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $    3,058     133,900   SH   DEFINED           5,15   133,900       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $      110       4,800   SH   DEFINED           6,14     4,800       0          -
CBL & ASSOCIATES PROPERTIES  COMMON 124830100   $      740      32,400   SH   DEFINED           8,14       -         0       32,400
CBS CORP CL A                COMMON 124857103   $    1,324      67,946   SH   DEFINED              1    67,946       0          -
CBS CORP CL A                COMMON 124857103   $        1          50   SH   DEFINED             22       -         0           50
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    1,327      68,097   SH   DEFINED              1    68,097       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      452      23,200   SH   DEFINED           1,15    23,200       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    1,510      77,500   SH   DEFINED          10,14    77,500       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $       72       3,700   SH   DEFINED             13     3,700       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      218      11,195   SH   DEFINED           13,2       -         0       11,195
CBS CORP- CLASS B NON VOTING COMMON 124857202   $   68,423   3,510,680   SH   DEFINED             14 2,170,580       0    1,239,300
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      986      50,600   SH   DEFINED          14,13       -         0       50,600
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    4,767     244,600   SH   DEFINED           14,7       -         0      244,600
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      370      19,000   SH   DEFINED          20,14       -         0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      260      13,323   SH   DEFINED             22       753       0       12,570
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    8,245     423,022   SH   DEFINED             23   423,022       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $       58       2,960   SH   DEFINED             24     2,960       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $  236,941  12,157,050   SH   DEFINED              3 12,157,050      0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $        2         120   SH   DEFINED              4       120       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      115       5,900   SH   DEFINED              5       -         0        5,900
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    2,222     114,000   SH   DEFINED           5,15   114,000       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    1,433      73,512   SH   DEFINED              7    73,512       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $    2,496     128,050   SH   DEFINED              8   128,050       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $   11,008     564,800   SH   DEFINED           8,14   564,800       0          -
CBS CORP- CLASS B NON VOTING COMMON 124857202   $      536      27,500   SH   DEFINED           9,14       -         0       27,500
CBRL GROUP INC               COMMON 12489V106   $    5,412     220,800   SH   DEFINED             14   140,300       0       80,500
CBRL GROUP INC               COMMON 12489V106   $      538      21,962   SH   DEFINED             23    21,962       0          -
CBRL GROUP INC               COMMON 12489V106   $      865      35,300   SH   DEFINED           5,15    35,300       0          -
CB RICHARD ELLIS GROUP, INC. COMMON 12497T101   $    5,403     281,402   SH   DEFINED             22   129,796       0      151,606
CB RICHARD ELLIS GROUP, INC. COMMON 12497T101   $      142       7,397   SH   DEFINED             23     7,397       0          -
CB RICHARD ELLIS GROUP, INC. COMMON 12497T101   $        2         130   SH   DEFINED             24       130       0          -
CB RICHARD ELLIS GROUP, INC. COMMON 12497T101   $    2,957     154,024   SH   DEFINED              5   139,196       0       14,828
CB RICHARD ELLIS GROUP, INC. COMMON 12497T101   $       80       4,142   SH   DEFINED              7     4,142       0          -
CB RICHARD ELLIS GROUP, INC. COMMON 12497T101   $      433      22,538   SH   DEFINED              8    22,538       0          -
CBRE REALTY FINANCE INC      COMMON 12498B307   $       31       8,897   SH   DEFINED             23     8,897       0          -
CDI CORP                     COMMON 125071100   $      130       5,100   SH   DEFINED             14     5,100       0          -
CDI CORP                     COMMON 125071100   $      994      39,080   SH   DEFINED             23    39,080       0          -
CDI CORP                     COMMON 125071100   $       28       1,100   SH   DEFINED           5,15     1,100       0          -
CEC ENTERTAINMENT INC        COMMON 125137109   $    1,018      36,354   SH   DEFINED             23    36,354       0          -
CEC ENTERTAINMENT INC        COMMON 125137109   $       90       3,205   SH   DEFINED              5       805       0        2,400
CFS BANCORP INC              COMMON 12525D102   $      185      15,661   SH   DEFINED             23    15,661       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $   31,614     206,900   SH   DEFINED              1   206,900       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $    3,102      20,300   SH   DEFINED           1,15    20,300       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $      517       3,382   SH   DEFINED           10,7     3,382       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $      314       2,052   SH   DEFINED             11     2,052       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $      588       3,845   SH   DEFINED             13     3,845       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $   47,370     310,012   SH   DEFINED             14   194,412       0      112,600
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $    3,591      23,500   SH   DEFINED           14,7       -         0       23,500
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $    9,640      63,086   SH   DEFINED              2    63,086       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $       31         200   SH   DEFINED          20,14       -         0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $    4,117      26,943   SH   DEFINED             21    26,943       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $    1,661      10,869   SH   DEFINED             23    10,869       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $       31         200   SH   DEFINED             24       200       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $      800       5,233   SH   DEFINED              4     5,233       0          -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $   3,968      25,969    SH   DEFINED               7    25,969      0         -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $  48,022     314,282    SH   DEFINED               8   314,282      0         -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $     199       1,300    SH   DEFINED            8,20     1,300      0         -
CF INDUSTRIES HOLDINGS INC   COMMON 125269100   $   3,939      25,779    SH   DEFINED               9    25,779      0         -
CHC HELICOPTER CORP CL A     COMMON 12541C203   $   2,106      68,046    SH   DEFINED               2    68,046      0         -
CHC HELICOPTER CORP CL A     COMMON 12541C203   $      15         481    SH   DEFINED              23       481      0         -
CHC HELICOPTER CORP CL A     COMMON 12541C203   $  24,901     804,754    SH   DEFINED             3,1   804,754      0         -
CH ENERGY GROUP INC          COMMON 12541M102   $      21         600    SH   DEFINED              22       -        0         600
CH ENERGY GROUP INC          COMMON 12541M102   $     382      10,746    SH   DEFINED              23    10,746      0         -
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $  21,645     394,700    SH   DEFINED               1   394,700      0         -
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $     340       6,191    SH   DEFINED               2     6,191      0         -
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $   6,262     114,192    SH   DEFINED              22   106,137      0       8,055
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $  24,451     445,863    SH   DEFINED              23   445,863      0         -
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $   2,547      46,439    SH   DEFINED              24    46,439      0         -
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $   4,386      79,972    SH   DEFINED               5    52,866      0      27,106
C.H. ROBINSON WORLDWIDE INC  COMMON 12541W209   $     105       1,923    SH   DEFINED               7     1,923      0         -
CIGNA CORP                   COMMON 125509109   $  11,420     322,701    SH   DEFINED               1   322,701      0         -
CIGNA CORP                   COMMON 125509109   $   1,274      36,000    SH   DEFINED            1,15    36,000      0         -
CIGNA CORP                   COMMON 125509109   $     428      12,100    SH   DEFINED           10,14    12,100      0         -
CIGNA CORP                   COMMON 125509109   $  36,271   1,024,890    SH   DEFINED              14   691,990      0     284,700
CIGNA CORP                   COMMON 125509109   $   1,178      33,300    SH   DEFINED           14,13       -        0      33,300
CIGNA CORP                   COMMON 125509109   $   1,766      49,900    SH   DEFINED            14,7       -        0      49,900
CIGNA CORP                   COMMON 125509109   $     928      26,233    SH   DEFINED               2    26,233      0         -
CIGNA CORP                   COMMON 125509109   $   1,265      35,737    SH   DEFINED            20,2       -        0      35,737
CIGNA CORP                   COMMON 125509109   $     895      25,303    SH   DEFINED              22     2,190      0      23,113
CIGNA CORP                   COMMON 125509109   $   3,476      98,230    SH   DEFINED              23    98,230      0         -
CIGNA CORP                   COMMON 125509109   $      17         483    SH   DEFINED              24       483      0         -
CIGNA CORP                   COMMON 125509109   $   1,322      37,363    SH   DEFINED               5     8,163      0      29,200
CIGNA CORP                   COMMON 125509109   $   2,658      75,100    SH   DEFINED            5,15    75,100      0         -
CIGNA CORP                   COMMON 125509109   $     510      14,400    SH   DEFINED               6    14,400      0         -
CIGNA CORP                   COMMON 125509109   $   1,709      48,283    SH   DEFINED               7    48,283      0         -
CIGNA CORP                   COMMON 125509109   $     877      24,786    SH   DEFINED               8    24,786      0         -
CIGNA CORP                   COMMON 125509109   $   3,776     106,700    SH   DEFINED            8,14   106,700      0         -
CIGNA CORP                   COMMON 125509109   $     641      18,100    SH   DEFINED            9,14       -        0      18,100
CIT GROUP INC                COMMON 125581108   $  10,001   1,468,560    SH   DEFINED               1 1,468,560      0         -
CIT GROUP INC                COMMON 125581108   $       2         360    SH   DEFINED              22       -        0         360
CIT GROUP INC                COMMON 125581108   $     423      62,142    SH   DEFINED              23    62,142      0         -
CIT GROUP INC                COMMON 125581108   $       9       1,281    SH   DEFINED              24     1,281      0         -
CIT GROUP INC                COMMON 125581108   $       1          90    SH   DEFINED               4        90      0         -
CIT GROUP INC                COMMON 125581108   $       8       1,228    SH   DEFINED               5       930      0         298
CKE RESTAURANTS INC          COMMON 12561E105   $     174      13,958    SH   DEFINED              23    13,958      0         -
CLECO CORPORATION            COMMON 12561W105   $     155       6,647    SH   DEFINED              23     6,647      0         -
CLECO CORPORATION            COMMON 12561W105   $       3         110    SH   DEFINED              24       110      0         -
CLECO CORPORATION            COMMON 12561W105   $     149       6,390    SH   DEFINED               5     1,640      0       4,750
CKX INC                      COMMON 12562M106   $      30       3,474    SH   DEFINED              23     3,474      0         -
CME GROUP INC                COMMON 12572Q105   $   1,180       3,080    SH   DEFINED              22       500      0       2,580
CME GROUP INC                COMMON 12572Q105   $     181         473    SH   DEFINED              23       473      0         -
CME GROUP INC                COMMON 12572Q105   $       5          12    SH   DEFINED              24        12      0         -
CME GROUP INC                COMMON 12572Q105   $   3,574       9,328    SH   DEFINED               5     1,079      0       8,249
CME GROUP INC                COMMON 12572Q105   $     337         879    SH   DEFINED               7       879      0         -
CMGI INC                     COMMON 125750307   $   2,630     248,100    SH   DEFINED              14   174,600      0      73,500
CMGI INC                     COMMON 125750307       $ -            16    SH   DEFINED              22       -        0          16
CMGI INC                     COMMON 125750307   $   3,468     327,204    SH   DEFINED              23   327,204      0         -
CMGI INC                     COMMON 125750307   $     432      40,800    SH   DEFINED            5,15    40,800      0         -
CMS ENERGY CORP              COMMON 125896100   $  14,081     945,000    SH   DEFINED               1   945,000      0         -
CMS ENERGY CORP              COMMON 125896100   $     580      38,940    SH   DEFINED              14    31,640      0       2,300
CMS ENERGY CORP              COMMON 125896100   $     207      13,900    SH   DEFINED            14,7       -        0      13,900
CMS ENERGY CORP              COMMON 125896100   $      15       1,000    SH   DEFINED              22       -        0       1,000
CMS ENERGY CORP              COMMON 125896100   $   1,570     105,401    SH   DEFINED              23   105,401      0         -
CMS ENERGY CORP              COMMON 125896100   $       9         591    SH   DEFINED              24       591      0         -
CMS ENERGY CORP              COMMON 125896100   $     740      49,693    SH   DEFINED               5       -        0      49,693
CSS INDUSTRIES INC           COMMON 125906107   $     190       7,851    SH   DEFINED              23     7,851      0         -
CSK AUTO CORP                COMMON 125965103   $     203      19,358    SH   DEFINED              23    19,358      0         -
CNA FINANCIAL CORP           COMMON 126117100   $     709      28,200    SH   DEFINED               1    28,200      0         -
CNA FINANCIAL CORP           COMMON 126117100   $      73       2,900    SH   DEFINED            1,15     2,900      0         -
CNA FINANCIAL CORP           COMMON 126117100   $      78       3,094    SH   DEFINED              23     3,094      0         -
CNA FINANCIAL CORP           COMMON 126117100   $       3         105    SH   DEFINED              24       105      0         -
CNA SURETY CORPORATION       COMMON 12612L108   $   1,402     110,879    SH   DEFINED              23   110,879      0         -
CNOOC LTD- ADR               COMMON 126132109   $  14,109      81,300    SH   DEFINED               1    81,300      0         -
CNOOC LTD- ADR               COMMON 126132109   $     451       2,600    SH   DEFINED              11     2,600      0         -
CNOOC LTD- ADR               COMMON 126132109   $      35         200    SH   DEFINED              22       -        0         200
CNOOC LTD- ADR               COMMON 126132109   $  20,473     117,970    SH   DEFINED              23   117,970      0         -
CNOOC LTD- ADR               COMMON 126132109   $  39,745     229,024    SH   DEFINED               4   229,024      0         -
CNET NETWORKS INC            COMMON 12613R104   $      49       4,300    SH   DEFINED              22       -        0       4,300
CNET NETWORKS INC            COMMON 12613R104   $     115      10,040    SH   DEFINED              23    10,040      0         -
CPFL ENERGIA SA-ADR          COMMON 126153105   $      65         950    SH   DEFINED              22       -        0         950
CPFL ENERGIA SA-ADR          COMMON 126153105   $  37,958     555,268    SH   DEFINED              23   555,268      0         -
CP HOLDRS                    COMMON 12616K106   $     281       1,400    SH   DEFINED               5       -        0       1,400
CNX GAS CORP                 COMMON 12618H309   $      42       1,007    SH   DEFINED              23     1,007      0         -
CPI INTERNATIONAL INC        COMMON 12618M100   $      30       2,438    SH   DEFINED              23     2,438      0         -
CRA INTERNATIONAL INC        COMMON 12618T105   $      64       1,772    SH   DEFINED              23     1,772      0         -
CRH PLC ADR                  COMMON 12626K203   $       9         305    SH   DEFINED              22       -        0         305
CRH PLC ADR                  COMMON 12626K203   $   4,135     144,872    SH   DEFINED              23   144,872      0         -
CRH PLC ADR                  COMMON 12626K203   $  12,289     430,592    SH   DEFINED               4   430,592      0         -
CSG SYSTEMS INTL INC         COMMON 126349109   $  17,286   1,568,570    SH   DEFINED              14   951,170      0     613,200
CSG SYSTEMS INTL INC         COMMON 126349109   $     685      62,200    SH   DEFINED            14,7       -        0      62,200
CSG SYSTEMS INTL INC         COMMON 126349109   $     469      42,596    SH   DEFINED              23    42,596      0         -
CSG SYSTEMS INTL INC         COMMON 126349109   $      30       2,690    SH   DEFINED               5     1,140      0       1,550
CSG SYSTEMS INTL INC         COMMON 126349109   $   1,256     114,000    SH   DEFINED            5,15   114,000      0         -
CSG SYSTEMS INTL INC         COMMON 126349109   $     176      16,000    SH   DEFINED               8    16,000      0         -
CSG SYSTEMS INTL INC         COMMON 126349109   $      48       4,400    SH   DEFINED            8,20     4,400      0         -
CSX CORP                     COMMON 126408103   $       6         100    SH   DEFINED              13       100      0         -
CSX CORP                     COMMON 126408103   $   4,397      70,000    SH   DEFINED              14    27,900      0      38,900
CSX CORP                     COMMON 126408103   $   1,602      25,500    SH   DEFINED            14,7       -        0      25,500
CSX CORP                     COMMON 126408103   $       6         100    SH   DEFINED           20,14       -        0         -
CSX CORP                     COMMON 126408103   $     881      14,027    SH   DEFINED              22     7,496      0       6,531
CSX CORP                     COMMON 126408103   $  15,488     246,590    SH   DEFINED              23   246,590      0         -
CSX CORP                     COMMON 126408103   $      26         420    SH   DEFINED              24       420      0         -
CSX CORP                     COMMON 126408103   $     571       9,096    SH   DEFINED               5     1,361      0       7,735
CSX CORP                     COMMON 126408103   $     563       8,964    SH   DEFINED               7     8,964      0         -
CTC MEDIA INC                COMMON 12642X106   $      91       3,706    SH   DEFINED              23    3,706       0         -
CTS CORP                     COMMON 126501105   $   3,573     355,500    SH   DEFINED              14  282,100       0      73,400
CTS CORP                     COMMON 126501105   $     285      28,325    SH   DEFINED              23   28,325       0         -
CTS CORP                     COMMON 126501105   $      70       6,950    SH   DEFINED               5    1,750       0       5,200
CTS CORP                     COMMON 126501105   $     474      47,200    SH   DEFINED            5,15   47,200       0         -
CTS CORP                     COMMON 126501105   $     322      32,000    SH   DEFINED               8   32,000       0         -
CTS CORP                     COMMON 126501105   $      88       8,800    SH   DEFINED            8,20    8,800       0         -
CVB FINANCIAL CORP           COMMON 126600105   $   3,455     365,986    SH   DEFINED              23  365,986       0         -
CVR ENERGY INC               COMMON 12662P108   $     120       4,493    SH   DEFINED              23    4,493       0         -
CVR ENERGY INC               COMMON 12662P108   $       2          65    SH   DEFINED              24       65       0         -
CVS/CAREMARK CORP            COMMON 126650100   $  17,082     431,679    SH   DEFINED               1  431,679       0         -
CVS/CAREMARK CORP            COMMON 126650100   $     396      10,000    SH   DEFINED              17   10,000       0         -
CVS/CAREMARK CORP            COMMON 126650100   $   1,626      41,085    SH   DEFINED               2   41,085       0         -
CVS/CAREMARK CORP            COMMON 126650100   $   2,276      57,506    SH   DEFINED            20,2      -         0      57,506
CVS/CAREMARK CORP            COMMON 126650100   $  64,588   1,632,237    SH   DEFINED              22  339,195       0   1,293,042
CVS/CAREMARK CORP            COMMON 126650100   $   4,298     108,619    SH   DEFINED              23  108,619       0         -
CVS/CAREMARK CORP            COMMON 126650100   $      34         860    SH   DEFINED              24      860       0         -
CVS/CAREMARK CORP            COMMON 126650100   $   6,996     176,800    SH   DEFINED               3  176,800       0         -
CVS/CAREMARK CORP            COMMON 126650100   $       2          59    SH   DEFINED               4       59       0         -
CVS/CAREMARK CORP            COMMON 126650100   $  30,523     771,369    SH   DEFINED               5  613,581       0     157,788
CVS/CAREMARK CORP            COMMON 126650100   $     909      22,983    SH   DEFINED               7   22,983       0         -
CV THERAPEUTICS INC          COMMON 126667104   $   5,195     631,209    SH   DEFINED              23  631,209       0         -
CA INC                       COMMON 12673P105   $  83,269   3,606,287    SH   DEFINED               13,606,287       0         -
CA INC                       COMMON 12673P105   $   3,981     172,421    SH   DEFINED              14  126,321       0      41,200
CA INC                       COMMON 12673P105   $     517      22,400    SH   DEFINED            14,7      -         0      22,400
CA INC                       COMMON 12673P105   $      31       1,363    SH   DEFINED              22       13       0       1,350
CA INC                       COMMON 12673P105   $     366      15,858    SH   DEFINED              23   15,858       0         -
CA INC                       COMMON 12673P105   $   3,139     135,932    SH   DEFINED              24  135,932       0         -
CA INC                       COMMON 12673P105   $   4,521     195,797    SH   DEFINED               4  195,797       0         -
CA INC                       COMMON 12673P105   $      11         494    SH   DEFINED               5      124       0         370
CA INC                       COMMON 12673P105   $     192       8,305    SH   DEFINED               7    8,305       0         -
CA INC                       COMMON 12673P105   $     447      19,347    SH   DEFINED               8   19,347       0         -
CABELAS INC- CL A            COMMON 126804301   $       2         200    SH   DEFINED              22      -         0         200
CABELAS INC- CL A            COMMON 126804301   $     136      12,393    SH   DEFINED              23   12,393       0         -
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $  22,206     982,566    SH   DEFINED               1  982,566       0         -
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $   1,276      56,457    SH   DEFINED            13,2      -         0      56,457
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $      66       2,940    SH   DEFINED              14    2,440       0         500
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $     623      27,579    SH   DEFINED              23   27,579       0         -
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $      14         607    SH   DEFINED              24      607       0         -
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $       7         315    SH   DEFINED               5      -         0         315
CABLEVISION SYSTEMS CL A     COMMON 12686C109   $      67       2,972    SH   DEFINED               7    2,972       0         -
CABOT CORP                   COMMON 127055101   $       8         322    SH   DEFINED              22      322       0         -
CABOT CORP                   COMMON 127055101   $     259      10,672    SH   DEFINED              23   10,672       0         -
CABOT CORP                   COMMON 127055101   $       3         126    SH   DEFINED              24      126       0         -
CABOT CORP                   COMMON 127055101   $     354      14,581    SH   DEFINED               5    6,210       0       8,371
CABOT OIL & GAS CORP CL A    COMMON 127097103   $   3,610      53,300    SH   DEFINED              14   53,300       0         -
CABOT OIL & GAS CORP CL A    COMMON 127097103   $   9,549     140,990    SH   DEFINED              23  140,990       0         -
CABOT OIL & GAS CORP CL A    COMMON 127097103   $     462       6,816    SH   DEFINED               5    1,565       0       5,251
CABOT OIL & GAS CORP CL A    COMMON 127097103   $     119       1,757    SH   DEFINED               7    1,757       0         -
CABOT OIL & GAS CORP CL A    COMMON 127097103   $   1,957      28,900    SH   DEFINED               8   28,900       0         -
CABOT OIL & GAS CORP CL A    COMMON 127097103   $     535       7,900    SH   DEFINED            8,20    7,900       0         -
CABOT MICROELECTRONICS CORP  COMMON 12709P103   $      43       1,300    SH   DEFINED              14    1,300       0         -
CABOT MICROELECTRONICS CORP  COMMON 12709P103   $     410      12,361    SH   DEFINED              23   12,361       0         -
CABOT MICROELECTRONICS CORP  COMMON 12709P103   $     132       3,969    SH   DEFINED               5    1,690       0       2,279
CACHE INC                    COMMON 127150308   $      39       3,611    SH   DEFINED              23    3,611       0         -
CACI INTERNATIONAL INC CL A  COMMON 127190304   $   6,870     150,096    SH   DEFINED               1  150,096       0         -
CACI INTERNATIONAL INC CL A  COMMON 127190304   $       2          45    SH   DEFINED              14      -         0          45
CACI INTERNATIONAL INC CL A  COMMON 127190304   $   3,923      85,721    SH   DEFINED               2   34,339       0      51,382
CACI INTERNATIONAL INC CL A  COMMON 127190304   $   2,658      58,068    SH   DEFINED              23   58,068       0         -
CACI INTERNATIONAL INC CL A  COMMON 127190304   $       2          52    SH   DEFINED              24       52       0         -
CACI INTERNATIONAL INC CL A  COMMON 127190304   $      37         800    SH   DEFINED               5      200       0         600
CADBURY SCHWEPPES-SPONS ADR  COMMON 127209302   $     307       5,664    SH   DEFINED               4    5,664       0         -
CADBURY PLC-SPONS ADR        COMMON 12721E102   $   3,722      73,964    SH   DEFINED               1   73,964       0         -
CADBURY PLC-SPONS ADR        COMMON 12721E102   $       2          41    SH   DEFINED              11      -         0          41
CADBURY PLC-SPONS ADR        COMMON 12721E102   $     632      12,550    SH   DEFINED              14   12,550       0         -
CADBURY PLC-SPONS ADR        COMMON 12721E102   $      21         411    SH   DEFINED              22      -         0         411
CADBURY PLC-SPONS ADR        COMMON 12721E102   $   5,442     108,153    SH   DEFINED              23  108,153       0         -
CADBURY PLC-SPONS ADR        COMMON 12721E102   $  20,867     414,677    SH   DEFINED               4  414,677       0         -
CADBURY PLC-SPONS ADR        COMMON 12721E102   $     103       2,048    SH   DEFINED               5      -         0       2,048
CADENCE DESIGN SYS INC       COMMON 127387108   $   6,202     614,097    SH   DEFINED               1  614,097       0         -
CADENCE DESIGN SYS INC       COMMON 127387108   $   3,159     312,812    SH   DEFINED              14  120,812       0     189,400
CADENCE DESIGN SYS INC       COMMON 127387108   $      98       9,700    SH   DEFINED            14,7      -         0       9,700
CADENCE DESIGN SYS INC       COMMON 127387108   $     191      18,925    SH   DEFINED              23   18,925       0         -
CADENCE DESIGN SYS INC       COMMON 127387108   $     777      76,921    SH   DEFINED              24   76,921       0         -
CADENCE DESIGN SYS INC       COMMON 127387108   $     170      16,800    SH   DEFINED               3   16,800       0         -
CADENCE DESIGN SYS INC       COMMON 127387108   $   7,224     715,245    SH   DEFINED               4  715,245       0         -
CADENCE DESIGN SYS INC       COMMON 127387108   $      10       1,000    SH   DEFINED               5      -         0       1,000
CADENCE DESIGN SYS INC       COMMON 127387108   $      64       6,358    SH   DEFINED               7    6,358       0         -
CADENCE DESIGN SYS INC       COMMON 127387108   $     277      27,418    SH   DEFINED               8   27,418       0         -
CADENCE FINANCIAL CORP       COMMON 12738A101   $      71       6,546    SH   DEFINED              22      -         0       6,546
CADENCE FINANCIAL CORP       COMMON 12738A101   $      30       2,758    SH   DEFINED              23    2,758       0         -
CADENCE PHARMACEUTICALS INC  COMMON 12738T100   $   6,199   1,017,856    SH   DEFINED               11,017,856       0         -
CADENCE PHARMACEUTICALS INC  COMMON 12738T100   $     589      96,765    SH   DEFINED               2   96,765       0         -
CADENCE PHARMACEUTICALS INC  COMMON 12738T100   $     846     138,957    SH   DEFINED            20,2      -         0     138,957
CADENCE PHARMACEUTICALS INC  COMMON 12738T100       $ -            76    SH   DEFINED              23       76       0         -
CADIZ INC                    COMMON 127537207   $       2         104    SH   DEFINED              23      104       0         -
CAL DIVE INTERNATIONAL INC   COMMON 12802T101   $      39       2,739    SH   DEFINED              23    2,739       0         -
CAL-MAINE FOODS INC          COMMON 128030202   $   2,811      85,210    SH   DEFINED              23   85,210       0         -
CALAMOS ASSET MANAGEMENT-A   COMMON 12811R104   $     113       6,643    SH   DEFINED              23    6,643       0         -
CALAVO GROWERS INC           COMMON 128246105   $       2         125    SH   DEFINED              23      125       0         -
CALGON CARBON CORP           COMMON 129603106   $   7,345     475,072    SH   DEFINED               1  475,072       0         -
CALGON CARBON CORP           COMMON 129603106   $   5,786     374,238    SH   DEFINED               2  374,238       0         -
CALGON CARBON CORP           COMMON 129603106   $      31       2,000    SH   DEFINED              22      -         0       2,000
CALGON CARBON CORP           COMMON 129603106   $  58,274   3,769,348    SH   DEFINED              233,769,348       0         -
CALGON CARBON CORP           COMMON 129603106   $     592      38,265    SH   DEFINED               5   14,440       0      23,825
CALIFORNIA COASTAL COMM INC  COMMON 129915203   $      54      14,061    SH   DEFINED              23   14,061       0         -
CALIFORNIA FIRST NATL BANCOR COMMON 130222102   $      10       1,029    SH   DEFINED              23    1,029       0         -
CALIFORNIA MICRO DEVICES CP  COMMON 130439102   $       1         202    SH   DEFINED              23      202       0         -
CALIFORNIA PIZZA KITCHEN INC COMMON 13054D109   $       4         376    SH   DEFINED              22      -         0         376
CALIFORNIA PIZZA KITCHEN INC COMMON 13054D109   $      56       5,005    SH   DEFINED              23    5,005       0         -
CALIFORNIA WATER SERVICE GRP COMMON 130788102   $      98       2,993    SH   DEFINED              23       2,993    0        -
CALIPER LIFE SCIENCES INC    COMMON 130872104   $       1         418    SH   DEFINED              23         418    0        -
CALLAWAY GOLF COMPANY        COMMON 131193104   $     370      31,300    SH   DEFINED            1,15      31,300    0        -
CALLAWAY GOLF COMPANY        COMMON 131193104   $      14       1,221    SH   DEFINED              11       1,221    0        -
CALLAWAY GOLF COMPANY        COMMON 131193104   $  21,815   1,844,044    SH   DEFINED              14   1,025,944    0    808,000
CALLAWAY GOLF COMPANY        COMMON 131193104   $     295      24,900    SH   DEFINED            14,7         -      0     24,900
CALLAWAY GOLF COMPANY        COMMON 131193104   $       1         100    SH   DEFINED              22         -      0        100
CALLAWAY GOLF COMPANY        COMMON 131193104   $     129      10,933    SH   DEFINED              23      10,933    0        -
CALLAWAY GOLF COMPANY        COMMON 131193104   $   1,331     112,500    SH   DEFINED            5,15     112,500    0        -
CALLAWAY GOLF COMPANY        COMMON 131193104   $     425      35,900    SH   DEFINED               8      35,900    0        -
CALLAWAY GOLF COMPANY        COMMON 131193104   $     117       9,900    SH   DEFINED            8,20       9,900    0        -
CALLIDUS SOFTWARE INC        COMMON 13123E500   $   8,707   1,741,406    SH   DEFINED              16            - 1,741,406  -
CALLIDUS SOFTWARE INC        COMMON 13123E500   $       1         194    SH   DEFINED              23         194    0        -
CALLON PETROLEUM CORP        COMMON 13123X102   $     657      23,998    SH   DEFINED              23      23,998    0        -
CALPINE CORP-W/I             COMMON 131347304   $      12         526    SH   DEFINED              22         -      0        526
CALPINE CORP-W/I             COMMON 131347304   $  34,415   1,502,824    SH   DEFINED              23   1,502,824    0        -
CAMBREX CORP                 COMMON 132011107   $      45       7,693    SH   DEFINED              23       7,693    0        -
CAMDEN NATIONAL CORP         COMMON 133034108   $     438      18,800    SH   DEFINED              14      13,800    0      5,000
CAMDEN NATIONAL CORP         COMMON 133034108   $      26       1,108    SH   DEFINED              23       1,108    0        -
CAMDEN NATIONAL CORP         COMMON 133034108   $     100       4,300    SH   DEFINED            5,15       4,300    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $  37,780     853,600    SH   DEFINED            1,15     853,600    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $  88,307   1,995,176    SH   DEFINED              14   1,183,676    0    688,100
CAMDEN PROPERTY TRUST        COMMON 133131102   $   1,673      37,800    SH   DEFINED           18,14      37,800    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $     500      11,300    SH   DEFINED           19,14      11,300    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $   5,723     129,300    SH   DEFINED            2,15     129,300    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $     217       4,905    SH   DEFINED              23       4,905    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $       4          89    SH   DEFINED              24          89    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $     664      15,000    SH   DEFINED            3,15       5,800    0      9,200
CAMDEN PROPERTY TRUST        COMMON 133131102   $   7,070     159,736    SH   DEFINED            5,15     159,736    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $      75       1,700    SH   DEFINED            6,14       1,700    0        -
CAMDEN PROPERTY TRUST        COMMON 133131102   $   1,474      33,300    SH   DEFINED            8,14         -      0     33,300
CAMECO CORP                  COMMON 13321L108   $  56,160   1,310,000    SH   DEFINED               1   1,310,000    0        -
CAMECO CORP                  COMMON 13321L108   $   7,717     180,000    SH   DEFINED            13,2         -      0    180,000
CAMECO CORP                  COMMON 13321L108   $     373       8,700    SH   DEFINED              14         -      0      8,700
CAMECO CORP                  COMMON 13321L108   $      48       1,120    SH   DEFINED              22         100    0      1,020
CAMECO CORP                  COMMON 13321L108   $   5,880     136,881    SH   DEFINED              23     136,881    0        -
CAMECO CORP                  COMMON 13321L108   $  52,096   1,206,600    SH   DEFINED               3   1,206,600    0        -
CAMECO CORP                  COMMON 13321L108   $     220       5,100    SH   DEFINED               7       5,100    0        -
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $ 242,638   4,383,707    SH   DEFINED               1   4,383,707    0        -
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $  11,956     216,000    SH   DEFINED            13,2         -      0    216,000
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $   3,061      55,300    SH   DEFINED              14      34,500    0     18,000
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $     603      10,900    SH   DEFINED            14,7         -      0     10,900
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $  12,433     224,630    SH   DEFINED               2     164,143    0     60,487
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $       8         141    SH   DEFINED              22         -      0        141
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $  37,826     683,402    SH   DEFINED              23     683,402    0        -
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $       6         102    SH   DEFINED              24         102    0        -
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $     135       2,436    SH   DEFINED               5          96    0      2,340
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $     445       8,048    SH   DEFINED               7       8,048    0        -
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $     320       5,780    SH   DEFINED               8       5,780    0        -
CAMERON INTERNATIONAL CORP   COMMON 13342B105   $     361       6,515    SH   DEFINED             8,2       6,515    0        -
CAMERON INTL CORP (CAM)
CVT 2.                       CONVERT13342BAB1   $   3,204   1,900,000    SH   DEFINED              14         -      0  1,625,000
CAMPBELL SOUP CO             COMMON 134429109   $     267       7,980    SH   DEFINED              21       7,980    0        -
CAMPBELL SOUP CO             COMMON 134429109   $   1,365      40,783    SH   DEFINED              22         409    0     40,374
CAMPBELL SOUP CO             COMMON 134429109   $     911      27,213    SH   DEFINED              23      27,213    0        -
CAMPBELL SOUP CO             COMMON 134429109   $      13         379    SH   DEFINED              24         379    0        -
CAMPBELL SOUP CO             COMMON 134429109   $     560      16,750    SH   DEFINED               5         -      0     16,750
CAMPBELL SOUP CO             COMMON 134429109   $     141       4,208    SH   DEFINED               7       4,208    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $     203       3,700    SH   DEFINED           10,14       3,700    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $     235       4,249    SH   DEFINED              21       4,249    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $   8,555     155,692    SH   DEFINED              23     155,692    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $       3          47    SH   DEFINED              24          47    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $ 196,302   3,549,700    SH   DEFINED               3   3,549,700    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $     537       9,703    SH   DEFINED               7       9,703    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $   1,617      29,239    SH   DEFINED               8      29,239    0        -
CAN IMPERIAL BK OF COMMERCE  COMMON 136069101   $     956      17,400    SH   DEFINED            8,14      17,400    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $  38,646     800,420    SH   DEFINED               1     800,420    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $     231       4,800    SH   DEFINED           10,14       4,800    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $  12,776     264,612    SH   DEFINED               2     264,612    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $     131       2,717    SH   DEFINED              22         -      0      2,717
CANADIAN NATL RAILWAY CO     COMMON 136375102   $   3,564      74,123    SH   DEFINED              23      74,123    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $       3          53    SH   DEFINED              24          53    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $ 185,496   3,841,900    SH   DEFINED               3   3,841,900    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $  90,332   1,870,904    SH   DEFINED             3,1   1,870,904    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $   9,591     199,484    SH   DEFINED               4     199,484    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $     604      12,570    SH   DEFINED               5      12,450    0        120
CANADIAN NATL RAILWAY CO     COMMON 136375102   $     531      10,994    SH   DEFINED               7      10,994    0        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $   1,046      21,663    SH   DEFINED               8      18,565 3098        -
CANADIAN NATL RAILWAY CO     COMMON 136375102   $   1,630      33,900    SH   DEFINED            8,14      33,900    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $  62,689     630,653    SH   DEFINED               1     630,653    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $  24,538     246,857    SH   DEFINED               2     246,857    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $      71         713    SH   DEFINED              21         713    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $   1,616      16,120    SH   DEFINED              22      16,000    0        120
CANADIAN NATURAL RESOURCES   COMMON 136385101   $   1,560      15,575    SH   DEFINED              23      15,575    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $       4          44    SH   DEFINED              24          44    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $ 147,764   1,486,502    SH   DEFINED             3,1   1,486,502    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $     559       5,580    SH   DEFINED               5         -      0      5,580
CANADIAN NATURAL RESOURCES   COMMON 136385101   $     935       9,411    SH   DEFINED               7       9,411    0        -
CANADIAN NATURAL RESOURCES   COMMON 136385101   $   1,199      12,059    SH   DEFINED               8      12,059    0        -
CP RAILWAY LIMITED           COMMON 13645T100   $   2,125      31,843    SH   DEFINED               2      31,843    0        -
CP RAILWAY LIMITED           COMMON 13645T100   $      39         588    SH   DEFINED              23         588    0        -
CP RAILWAY LIMITED           COMMON 13645T100   $       1          21    SH   DEFINED              24          21    0        -
CP RAILWAY LIMITED           COMMON 13645T100   $  25,112     376,288    SH   DEFINED             3,1     376,288    0        -
CP RAILWAY LIMITED           COMMON 13645T100   $     268       4,012    SH   DEFINED               7       4,012    0        -
CANADIAN SOLAR INC           COMMON 136635109   $   3,013      74,968    SH   DEFINED              23      74,968    0        -
CANDELA CORP                 COMMON 136907102       $ -           202    SH   DEFINED              23         202    0        -
CANON INC- SP ADR            COMMON 138006309   $ 102,289   1,997,443    SH   DEFINED              11   1,988,943    0      8,500
CANON INC- SP ADR            COMMON 138006309   $   1,564      30,532    SH   DEFINED              14      30,532    0        -
CANON INC- SP ADR            COMMON 138006309   $     380       7,430    SH   DEFINED           19,14       7,430    0        -
CANON INC- SP ADR            COMMON 138006309   $      51       1,002    SH   DEFINED              22         -      0      1,002
CANON INC- SP ADR            COMMON 138006309   $   4,668      91,162    SH   DEFINED              23      91,162    0        -




CANON INC- SP ADR            COMMON 138006309   $        7         137   SH   DEFINED                4        137    0         -
CANON INC- SP ADR            COMMON 138006309   $        5         100   SH   DEFINED                5        100    0         -
CANTEL MEDICAL CORP          COMMON 138098108   $       22       2,216   SH   DEFINED               23      2,216    0         -
CAPELLA EDUCATION CO         COMMON 139594105   $    6,912     115,880   SH   DEFINED                1    115,880    0         -
CAPELLA EDUCATION CO         COMMON 139594105   $    4,003      67,115   SH   DEFINED                2     26,343    0      40,772
CAPELLA EDUCATION CO         COMMON 139594105   $       39         657   SH   DEFINED               22        -      0         657
CAPELLA EDUCATION CO         COMMON 139594105   $      212       3,561   SH   DEFINED               23      3,561    0         -
CAPITAL CITY BANK GROUP INC  COMMON 139674105   $       46       2,109   SH   DEFINED               23      2,109    0         -
CAPITAL CORP OF THE WEST     COMMON 140065202        $ -            94   SH   DEFINED               23         94    0         -
CAPITAL LEASE FUNDING INC    COMMON 140288101   $      257      34,366   SH   DEFINED               23     34,366    0         -
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $   57,776   1,520,015   SH   DEFINED                1  1,520,015    0         -
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $    3,929     103,356   SH   DEFINED              1,9    103,356    0         -
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $      919      24,190   SH   DEFINED               14     14,090    0       8,800
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $      365       9,600   SH   DEFINED             14,7        -      0       9,600
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $       47       1,226   SH   DEFINED               22        -      0       1,226
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $    1,545      40,644   SH   DEFINED               23     40,644    0         -
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $       32         848   SH   DEFINED               24        848    0         -
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $       18         468   SH   DEFINED                5        -      0         468
CAPITAL ONE FINANCIAL CORP   COMMON 14040H105   $      264       6,938   SH   DEFINED                7      6,938    0         -
CAPITAL SENIOR LIVING CORP   COMMON 140475104   $       91      12,100   SH   DEFINED               14     12,100    0         -
CAPITAL SENIOR LIVING CORP   COMMON 140475104   $       20       2,600   SH   DEFINED             5,15      2,600    0         -
CAPITAL SOUTHWEST CORP       COMMON 140501107   $      876       8,400   SH   DEFINED               14      6,200    0       2,200
CAPITAL SOUTHWEST CORP       COMMON 140501107   $    2,426      23,280   SH   DEFINED               23     23,280    0         -
CAPITAL SOUTHWEST CORP       COMMON 140501107   $       14         138   SH   DEFINED               24        138    0         -
CAPITAL SOUTHWEST CORP       COMMON 140501107   $       48         460   SH   DEFINED                5        -      0         460
CAPITAL SOUTHWEST CORP       COMMON 140501107   $      146       1,400   SH   DEFINED             5,15      1,400    0         -
CAPITAL TRUST CL A           COMMON 14052H506   $        1          33   SH   DEFINED               22        -      0          33
CAPITAL TRUST CL A           COMMON 14052H506   $       81       4,241   SH   DEFINED               23      4,241    0         -
CAPITALSOURCE INC            COMMON 14055X102   $       29       2,620   SH   DEFINED               14      2,020    0         600
CAPITALSOURCE INC            COMMON 14055X102   $   12,192   1,100,388   SH   DEFINED               22    613,348    0     487,040
CAPITALSOURCE INC            COMMON 14055X102   $    5,600     505,421   SH   DEFINED               23    505,421    0         -
CAPITALSOURCE INC            COMMON 14055X102   $        3         282   SH   DEFINED               24        282    0         -
CAPITALSOURCE INC            COMMON 14055X102   $    6,180     557,726   SH   DEFINED                5    476,894    0      80,832
CAPITOL BANCORP LTD          COMMON 14056D105   $       26       2,909   SH   DEFINED               23      2,909    0         -
CAPITOL FEDERAL FINANCIAL    COMMON 14057C106   $       65       1,724   SH   DEFINED               23      1,724    0         -
CAPITOL FEDERAL FINANCIAL    COMMON 14057C106   $        5         146   SH   DEFINED                5       -       0         146
CAPSTONE TURBINE CORP        COMMON 14067D102   $    3,089     737,308   SH   DEFINED               23    737,308    0         -
CAPSTONE TURBINE CORP        COMMON 14067D102   $       39       9,370   SH   DEFINED               24      9,370    0         -
CAPSTEAD MORTGAGE CORP CVT
PFD                          CONVERT14067E209   $       21       1,000   SH   DEFINED               22        -      0       1,000
CAPSTEAD MTG CORP            COMMON 14067E506   $    4,853     447,300   SH   DEFINED               14    335,300    0     112,000
CAPSTEAD MTG CORP            COMMON 14067E506   $      298      27,469   SH   DEFINED               23     27,469    0         -
CAPSTEAD MTG CORP            COMMON 14067E506   $      688      63,400   SH   DEFINED             5,15     63,400    0         -
CAPSTEAD MTG CORP            COMMON 14067E506   $      303      27,900   SH   DEFINED                8     27,900    0         -
CAPSTEAD MTG CORP            COMMON 14067E506   $       84       7,700   SH   DEFINED             8,20      7,700    0         -
CAPTARIS INC                 COMMON 14071N104   $       59      14,600   SH   DEFINED               14     14,600    0         -
CAPTARIS INC                 COMMON 14071N104   $        1         233   SH   DEFINED               23        233    0         -
CARBO CERAMICS INC           COMMON 140781105   $       70       1,200   SH   DEFINED               14      1,200    0         -
CARBO CERAMICS INC           COMMON 140781105   $       85       1,452   SH   DEFINED               23      1,452    0         -
CARBO CERAMICS INC           COMMON 140781105   $      193       3,300   SH   DEFINED                5       -       0       3,300
CARAUSTAR INDUSTRIES INC     COMMON 140909102   $       95      32,645   SH   DEFINED               23     32,645    0         -
CARDIAC SCIENCE CORP         COMMON 14141A108   $      398      48,500   SH   DEFINED               14     27,800    0      20,700
CARDIAC SCIENCE CORP         COMMON 14141A108   $      221      27,003   SH   DEFINED               23     27,003    0         -
CARDIAC SCIENCE CORP         COMMON 14141A108   $       52       6,400   SH   DEFINED             5,15      6,400    0         -
CARDIAC SCIENCE CORP         COMMON 14141A108   $       43       5,200   SH   DEFINED                8      5,200    0         -
CARDIAC SCIENCE CORP         COMMON 14141A108   $       12       1,500   SH   DEFINED             8,20      1,500    0         -
CARDINAL FINANCIAL CORP      COMMON 14149F109   $        1         213   SH   DEFINED               23        213    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $  115,234   2,234,088   SH   DEFINED                1  2,234,088    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $        5         100   SH   DEFINED               13        100    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $    2,900      56,226   SH   DEFINED               14     38,826    0      15,000
CARDINAL HEALTH INC          COMMON 14149Y108   $      315       6,100   SH   DEFINED             14,7       -       0       6,100
CARDINAL HEALTH INC          COMMON 14149Y108   $       46         900   SH   DEFINED               17        900    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $        5         100   SH   DEFINED            20,14       -       0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $      140       2,723   SH   DEFINED               22       816     0       1,907
CARDINAL HEALTH INC          COMMON 14149Y108   $    4,377      84,861   SH   DEFINED               23     84,861    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $       45         881   SH   DEFINED               24        881    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $    6,520     126,405   SH   DEFINED                4    126,405    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $      125       2,414   SH   DEFINED                5        600    0       1,814
CARDINAL HEALTH INC          COMMON 14149Y108   $      412       7,984   SH   DEFINED                7      7,984    0         -
CARDINAL HEALTH INC          COMMON 14149Y108   $    1,110      21,511   SH   DEFINED                8     21,511    0         -
CARDIOME PHARMA CORP         COMMON 14159U202   $        5         555   SH   DEFINED               23        555    0         -
CARE INVESTMENT TRUST INC    COMMON 141657106   $       83       8,800   SH   DEFINED               14      8,800    0         -
CARE INVESTMENT TRUST INC    COMMON 141657106   $       18       1,900   SH   DEFINED             5,15      1,900    0         -
CAREER EDUCATION CORP        COMMON 141665109   $       82       5,600   SH   DEFINED            10,14      5,600    0         -
CAREER EDUCATION CORP        COMMON 141665109   $    5,883     402,700   SH   DEFINED               14    170,600    0     229,500
CAREER EDUCATION CORP        COMMON 141665109   $      155      10,600   SH   DEFINED             14,7        -      0      10,600
CAREER EDUCATION CORP        COMMON 141665109   $      152      10,396   SH   DEFINED               23     10,396    0         -
CAREER EDUCATION CORP        COMMON 141665109   $        3         203   SH   DEFINED               24        203    0         -
CAREER EDUCATION CORP        COMMON 141665109   $      130       8,900   SH   DEFINED             5,15      8,900    0         -
CAREER EDUCATION CORP        COMMON 141665109   $       72       4,900   SH   DEFINED                8      4,900    0         -
CAREER EDUCATION CORP        COMMON 141665109   $      367      25,100   SH   DEFINED             8,14     25,100    0         -
CAREER EDUCATION CORP        COMMON 141665109   $       19       1,300   SH   DEFINED             8,20      1,300    0         -
CARLISLE COS INC             COMMON 142339100   $       80       2,750   SH   DEFINED               22        -      0       2,750
CARLISLE COS INC             COMMON 142339100   $      147       5,086   SH   DEFINED               23      5,086    0         -
CARLISLE COS INC             COMMON 142339100   $        2          80   SH   DEFINED               24         80    0         -
CARLISLE COS INC             COMMON 142339100   $      463      15,950   SH   DEFINED                5        100    0      15,850
CARMAX INC                   COMMON 143130102   $      215      15,121   SH   DEFINED               23     15,121    0         -
CARMAX INC                   COMMON 143130102   $        4         296   SH   DEFINED               24        296    0         -
CARMAX INC                   COMMON 143130102   $      118       8,348   SH   DEFINED                5      8,140    0         208
CARMIKE CINEMAS INC          COMMON 143436400   $    1,143     194,800   SH   DEFINED               14    153,400    0      41,400
CARMIKE CINEMAS INC          COMMON 143436400   $       46       7,825   SH   DEFINED               23      7,825    0         -
CARMIKE CINEMAS INC          COMMON 143436400   $      166      28,200   SH   DEFINED             5,15     28,200    0         -
CARNIVAL CORP                COMMON 143658300   $   14,976     454,371   SH   DEFINED                1    454,371    0         -
CARNIVAL CORP                COMMON 143658300   $      165       5,000   SH   DEFINED               13      5,000    0         -
CARNIVAL CORP                COMMON 143658300   $      889      26,965   SH   DEFINED             13,2        -      0      26,965
CARNIVAL CORP                COMMON 143658300   $      171       5,200   SH   DEFINED             13,3      5,200    0         -
CARNIVAL CORP                COMMON 143658300   $       72       2,175   SH   DEFINED               22      1,252    0         923
CARNIVAL CORP                COMMON 143658300   $    8,293     251,610   SH   DEFINED               23    251,610    0         -
CARNIVAL CORP                COMMON 143658300   $       25         772   SH   DEFINED               24        772    0         -
CARNIVAL CORP                COMMON 143658300   $  408,981  12,408,400   SH   DEFINED                3 12,408,400    0         -
CARNIVAL CORP                COMMON 143658300   $        2          60   SH   DEFINED                4         60    0         -
CARNIVAL CORP                COMMON 143658300   $      148       4,478   SH   DEFINED                5        478    0        4,000
CARNIVAL CORP                COMMON 143658300   $      250       7,599   SH   DEFINED                7      7,599    0          -
CARNIVAL CORP                COMMON 143658300   $   21,025     637,900   SH   DEFINED                8    637,900    0          -
CARNIVAL CORP (CCL) CVT
2.0 04                       CONVERT143658AN2   $   15,154  14,875,000   SH   DEFINED               14          -    0   12,575,000
CARRIAGE SVCS INC            COMMON 143905107   $       61       9,300   SH   DEFINED               14      9,300    0          -
CARRIAGE SVCS INC            COMMON 143905107   $      189      28,667   SH   DEFINED               23     28,667    0          -
CARRIAGE SVCS INC            COMMON 143905107   $       48       7,200   SH   DEFINED                8      7,200    0          -
CARRIAGE SVCS INC            COMMON 143905107   $       14       2,100   SH   DEFINED             8,20      2,100    0          -
CARPENTER TECHNOLOGY         COMMON 144285103   $   14,711     337,016   SH   DEFINED                1    337,016    0          -
CARPENTER TECHNOLOGY         COMMON 144285103   $   11,007     252,167   SH   DEFINED                2    214,011    0       38,156
CARPENTER TECHNOLOGY         COMMON 144285103   $       44       1,000   SH   DEFINED               22         -     0        1,000
CARPENTER TECHNOLOGY         COMMON 144285103   $      636      14,564   SH   DEFINED               23     14,564    0          -
CARPENTER TECHNOLOGY         COMMON 144285103   $        2          37   SH   DEFINED               24         37    0          -
CARPENTER TECHNOLOGY         COMMON 144285103   $        4          98   SH   DEFINED                5        -      0           98
CARRIZO OIL & GAS INC        COMMON 144577103   $   42,647     626,337   SH   DEFINED                1    626,337    0          -
CARRIZO OIL & GAS INC        COMMON 144577103   $   21,500     315,752   SH   DEFINED                2    279,424    0       36,328
CARRIZO OIL & GAS INC        COMMON 144577103   $       50         736   SH   DEFINED               23        736    0          -
CARROLS RESTAURANT GROUP
INC                          COMMON 14574X104   $       24       4,537   SH   DEFINED               23      4,537    0          -
CARTERS INC                  COMMON 146229109   $    5,734     414,914   SH   DEFINED                1    414,914    0          -
CARTERS INC                  COMMON 146229109   $      462      33,430   SH   DEFINED             13,2        -      0       33,430
CARTERS INC                  COMMON 146229109   $      421      30,436   SH   DEFINED               16        -   30436          -
CARTERS INC                  COMMON 146229109   $       12         880   SH   DEFINED               22        -      0          880
CARTERS INC                  COMMON 146229109   $       66       4,779   SH   DEFINED               23      4,779    0          -
CARTERS INC                  COMMON 146229109   $       32       2,290   SH   DEFINED                5      2,290    0          -
CASCADE BANCORP              COMMON 147154108   $       35       4,560   SH   DEFINED               23      4,560    0          -
CASCADE CORP                 COMMON 147195101   $    1,799      42,500   SH   DEFINED               14     23,200    0       19,300
CASCADE CORP                 COMMON 147195101   $       71       1,674   SH   DEFINED               23      1,674    0          -
CASCADE CORP                 COMMON 147195101   $      279       6,600   SH   DEFINED             5,15      6,600    0          -
CASCADE FINANCIAL CORP       COMMON 147272108   $        1         106   SH   DEFINED               23        106    0          -
CASCADE MICROTECH            COMMON 147322101   $        1          84   SH   DEFINED               23         84    0          -
CASELLA WASTE SYSTEMS INC
CL A                         COMMON 147448104   $        5         389   SH   DEFINED               22        -      0          389
CASELLA WASTE SYSTEMS INC
CL A                         COMMON 147448104   $       76       6,273   SH   DEFINED               23      6,273    0          -
CASEY'S GENERAL STORES INC   COMMON 147528103   $      113       4,897   SH   DEFINED               23      4,897    0          -
CASEY'S GENERAL STORES INC   COMMON 147528103   $        2          95   SH   DEFINED               24         95    0          -
CASH AMERICA INTL INC        COMMON 14754D100   $       84       2,694   SH   DEFINED               23      2,694    0          -
CASS INFORMATION SYSTEMS
INC                          COMMON 14808P109   $        2          60   SH   DEFINED               23         60    0          -
CASTLE (A.M.) & CO           COMMON 148411101   $      302      10,562   SH   DEFINED               23     10,562    0          -
CASTLE BRANDS INC            COMMON 148435100   $       28      60,000   SH   DEFINED               22     60,000    0          -
CASTLE BRANDS INC            COMMON 148435100   $       28      60,000   SH   DEFINED                5        -      0       60,000
CASUAL MALE RETAIL GROUP INC COMMON 148711104   $       45      14,732   SH   DEFINED               23     14,732    0          -
CATAPULT COMMUNICATIONS CORP COMMON 149016107   $        3         463   SH   DEFINED               23        463    0          -
CATERPILLAR INC              COMMON 149123101   $      177       2,400   SH   DEFINED            10,14      2,400    0          -
CATERPILLAR INC              COMMON 149123101   $    4,223      57,200   SH   DEFINED               14     36,500    0       17,800
CATERPILLAR INC              COMMON 149123101   $    1,558      21,100   SH   DEFINED             14,7        -      0       21,100
CATERPILLAR INC              COMMON 149123101   $    6,285      85,133   SH   DEFINED               22      6,919    0       78,214
CATERPILLAR INC              COMMON 149123101   $    6,028      81,656   SH   DEFINED               23     81,656    0          -
CATERPILLAR INC              COMMON 149123101   $       74         997   SH   DEFINED               24        997    0          -
CATERPILLAR INC              COMMON 149123101   $    2,189      29,659   SH   DEFINED                5     17,359    0       12,300
CATERPILLAR INC              COMMON 149123101   $      738      10,000   SH   DEFINED                6     10,000    0          -
CATERPILLAR INC              COMMON 149123101   $      898      12,158   SH   DEFINED                7     12,158    0          -
CATERPILLAR INC              COMMON 149123101   $    2,658      36,000   SH   DEFINED             8,14     36,000    0          -
CATHAY GENERAL BANCORP       COMMON 149150104   $       76       6,982   SH   DEFINED               23      6,982    0          -
CATO CORP CL A               COMMON 149205106   $    3,207     225,243   SH   DEFINED               23    225,243    0          -
CATO CORP CL A               COMMON 149205106   $      132       9,265   SH   DEFINED               24      9,265    0          -
CAVCO INDUSTRIES INC         COMMON 149568107   $      211       6,441   SH   DEFINED               23      6,441    0          -
CEDAR FAIR LP                COMMON 150185106   $      138       7,365   SH   DEFINED               23      7,365    0          -
CEDAR FAIR LP                COMMON 150185106   $       77       4,100   SH   DEFINED                5      3,000    0        1,100
CEDAR SHOPPING CENTERS INC   COMMON 150602209   $      401      34,200   SH   DEFINED               14     34,200    0          -
CEDAR SHOPPING CENTERS INC   COMMON 150602209   $      295      25,205   SH   DEFINED               23     25,205    0          -
CELADON GROUP INC            COMMON 150838100   $       60       6,016   SH   DEFINED               23      6,016    0          -
CELANESE CORP-SERIES A       COMMON 150870103   $      219       4,800   SH   DEFINED               14      4,100    0          -
CELANESE CORP-SERIES A       COMMON 150870103   $    3,554      77,840   SH   DEFINED               23     77,840    0          -
CELANESE CORP-SERIES A       COMMON 150870103   $        6         131   SH   DEFINED               24        131    0          -
CELANESE CORP-SERIES A       COMMON 150870103   $      462      10,123   SH   DEFINED                5        -      0       10,123
CELANESE CORP-SERIES A       COMMON 150870103   $      109       2,384   SH   DEFINED                7      2,384    0          -
CELANESE CORP-SERIES A       COMMON 150870103   $   26,505     580,495   SH   DEFINED                8    580,495    0          -
CELL GENESYS INC             COMMON 150921104   $        2         683   SH   DEFINED               23        683    0          -
CELL THERAPEUTICS INC        COMMON 150934404        $ -           437   SH   DEFINED               23        437    0          -
CELESTICA INC                COMMON 15101Q108   $       52       6,114   SH   DEFINED               23      6,114    0          -
CELGENE CORP                 COMMON 151020104   $   51,790     810,873   SH   DEFINED                1    810,873    0          -
CELGENE CORP                 COMMON 151020104   $      549       8,600   SH   DEFINED               17      8,600    0          -
CELGENE CORP                 COMMON 151020104   $    4,266      66,797   SH   DEFINED                2     66,797    0          -
CELGENE CORP                 COMMON 151020104   $    5,738      89,839   SH   DEFINED             20,2        -      0       89,839
CELGENE CORP                 COMMON 151020104   $   12,924     202,348   SH   DEFINED               22     37,323    0      165,025
CELGENE CORP                 COMMON 151020104   $    6,724     105,276   SH   DEFINED               23    105,276    0          -
CELGENE CORP                 COMMON 151020104   $    7,592     118,873   SH   DEFINED               24    118,873    0          -
CELGENE CORP                 COMMON 151020104   $    5,469      85,628   SH   DEFINED                5     74,698    0       10,930
CELGENE CORP                 COMMON 151020104   $      458       7,166   SH   DEFINED                7      7,166    0          -
CELGENE CORP                 COMMON 151020104   $   12,863     201,400   SH   DEFINED                8    201,400    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $  127,921   5,178,982   SH   DEFINED                1  5,178,982    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $   21,035     851,618   SH   DEFINED               11    851,618    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $      196       7,930   SH   DEFINED               13      7,930    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $      196       7,930   SH   DEFINED             13,3      7,930    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $    1,358      54,980   SH   DEFINED               14     54,980    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $  163,205   6,607,488   SH   DEFINED                3  6,607,488    0          -
CEMEX SAB DE CV-SPONS ADR
PART                         COMMON 151290889   $    5,504     222,835   SH   DEFINED                4    222,835    0          -
CENTENNIAL COMMUNCTNS CORP
NEW                          COMMON 15133V208   $       42       5,976   SH   DEFINED               23      5,976    0          -
CENTENE CORP                 COMMON 15135B101   $    3,282     195,500   SH   DEFINED               14    142,500    0       53,000
CENTENE CORP                 COMMON 15135B101   $       13         750   SH   DEFINED               22        -      0          750
CENTENE CORP                 COMMON 15135B101   $    4,014     239,065   SH   DEFINED               23    239,065    0          -
CENTENE CORP                 COMMON 15135B101   $      116       6,898   SH   DEFINED               24      6,898    0          -
CENTENE CORP                 COMMON 15135B101   $      492      29,300   SH   DEFINED             5,15     29,300    0          -
CENTENE CORP                 COMMON 15135B101   $      265      15,800   SH   DEFINED                8      15,800   0          -
CENTENE CORP                 COMMON 15135B101   $       72       4,300   SH   DEFINED             8,20       4,300   0          -
CENTER BANCORP INC           COMMON 151408101   $        1         115   SH   DEFINED               23         115   0          -
CENTER FINANCIAL CORP        COMMON 15146E102   $        1         107   SH   DEFINED               23         107   0          -
CENTERPOINT ENERGY INC       COMMON 15189T107   $       43       2,650   SH   DEFINED               22          -    0        2,650
CENTERPOINT ENERGY INC       COMMON 15189T107   $    2,030     126,458   SH   DEFINED               23     126,458   0          -
CENTERPOINT ENERGY INC       COMMON 15189T107   $       17       1,047   SH   DEFINED               24       1,047   0          -
CENTERPOINT ENERGY INC       COMMON 15189T107   $      306      19,056   SH   DEFINED                5       4,542   0       14,514
CENTERPOINT ENERGY INC       COMMON 15189T107   $     587      36,559    SH   DEFINED                8     36,559   0         -
CENTERSTATE BANKS OF
FLORIDA                      COMMON 15201P109   $       1         109    SH   DEFINED               23        109   0         -
CENTEX CORP                  COMMON 152312104   $     301      22,500    SH   DEFINED            10,14     22,500   0         -
CENTEX CORP                  COMMON 152312104   $      24       1,800    SH   DEFINED               13      1,800   0         -
CENTEX CORP                  COMMON 152312104   $  22,982   1,718,910    SH   DEFINED               14    923,910   0     763,000
CENTEX CORP                  COMMON 152312104   $     214      16,000    SH   DEFINED            14,13        -     0      16,000
CENTEX CORP                  COMMON 152312104   $   1,289      96,400    SH   DEFINED             14,7        -     0      96,400
CENTEX CORP                  COMMON 152312104   $     132       9,900    SH   DEFINED            20,14        -     0         -
CENTEX CORP                  COMMON 152312104   $       1          60    SH   DEFINED               22        -     0          60
CENTEX CORP                  COMMON 152312104   $     398      29,793    SH   DEFINED               23     29,793   0         -
CENTEX CORP                  COMMON 152312104   $       9         678    SH   DEFINED               24        678   0         -
CENTEX CORP                  COMMON 152312104   $      67       5,004    SH   DEFINED                5        -     0       5,004
CENTEX CORP                  COMMON 152312104   $     481      36,000    SH   DEFINED             5,15     36,000   0         -
CENTEX CORP                  COMMON 152312104   $     190      14,231    SH   DEFINED                7     14,231   0         -
CENTEX CORP                  COMMON 152312104   $     439      32,800    SH   DEFINED                8     32,800   0         -
CENTEX CORP                  COMMON 152312104   $   1,935     144,700    SH   DEFINED             8,14    144,700   0         -
CENTEX CORP                  COMMON 152312104   $     114       8,500    SH   DEFINED             9,14        -     0       8,500
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $   3,596      48,500    SH   DEFINED               19     48,500   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $     135       1,818    SH   DEFINED               23      1,818   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $      22         300    SH   DEFINED                5        300   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $  16,449     221,834    SH   DEFINED                8    221,834   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $   1,379      18,600    SH   DEFINED             8,13     18,600   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $   1,350      18,200    SH   DEFINED             8,14     18,200   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $   2,835      38,229    SH   DEFINED             8,20     38,229   0         -
CENTRAL EURO DISTRIBUTION    COMMON 153435102   $   1,750      23,600    SH   DEFINED              9,8     23,600   0         -
CENTRAL FUND CANADA-A CF     COMMON 153501101   $      78       6,000    SH   DEFINED               22        -     0       6,000
CENTRAL FUND CANADA CL A CF  COMMON 153501101   $  14,065   1,085,000    SH   DEFINED                3  1,085,000   0         -
CENTRAL GARDEN & PET CO      COMMON 153527106   $      67      14,823    SH   DEFINED               23     14,823   0         -
CENTRAL GARDEN AND PET CO-A  COMMON 153527205   $     124      30,200    SH   DEFINED               23     30,200   0         -
CENTRAL PACIFIC FINANCIAL CO COMMON 154760102   $   2,292     215,000    SH   DEFINED               14    161,000   0      54,000
CENTRAL PACIFIC FINANCIAL CO COMMON 154760102   $     160      15,037    SH   DEFINED               23     15,037   0         -
CENTRAL PACIFIC FINANCIAL CO COMMON 154760102   $     419      39,300    SH   DEFINED             5,15     39,300   0         -
CENTRAL VERMONT PUB SERV     COMMON 155771108   $     343      17,700    SH   DEFINED               14     11,400   0       6,300
CENTRAL VERMONT PUB SERV     COMMON 155771108   $     230      11,890    SH   DEFINED               23     11,890   0         -
CENTRAL VERMONT PUB SERV     COMMON 155771108   $      10         500    SH   DEFINED                5        500   0         -
CENTRAL VERMONT PUB SERV     COMMON 155771108   $      60       3,100    SH   DEFINED             5,15      3,100   0         -
CENTURY ALUMINUM COMPANY     COMMON 156431108   $      66       1,000    SH   DEFINED               22        -     0       1,000
CENTURY ALUMINUM COMPANY     COMMON 156431108   $     127       1,908    SH   DEFINED               23      1,908   0         -
CENTURY CASINOS INC          COMMON 156492100   $       1         154    SH   DEFINED               23        154   0         -
CENTURYTEL INC               COMMON 156700106   $     349       9,800    SH   DEFINED            10,14      9,800   0         -
CENTURYTEL INC               COMMON 156700106   $     197       5,535    SH   DEFINED             10,7      5,535   0         -
CENTURYTEL INC               COMMON 156700106   $     219       6,159    SH   DEFINED               13      6,159   0         -
CENTURYTEL INC               COMMON 156700106   $  22,199     623,730    SH   DEFINED               14    283,230   0     327,600
CENTURYTEL INC               COMMON 156700106   $     100       2,800    SH   DEFINED            14,13        -     0       2,800
CENTURYTEL INC               COMMON 156700106   $     964      27,100    SH   DEFINED             14,7        -     0      27,100
CENTURYTEL INC               COMMON 156700106   $     153       4,302    SH   DEFINED               21      4,302   0         -
CENTURYTEL INC               COMMON 156700106   $   3,805     106,911    SH   DEFINED               23    106,911   0         -
CENTURYTEL INC               COMMON 156700106   $     175       4,919    SH   DEFINED               24      4,919   0         -
CENTURYTEL INC               COMMON 156700106   $       8         224    SH   DEFINED                5        -     0         224
CENTURYTEL INC               COMMON 156700106   $     196       5,500    SH   DEFINED             5,15      5,500   0         -
CENTURYTEL INC               COMMON 156700106   $   1,499      42,112    SH   DEFINED                7     42,112   0         -
CENTURYTEL INC               COMMON 156700106   $   3,611     101,451    SH   DEFINED                8    101,451   0         -
CENTURYTEL INC               COMMON 156700106   $   1,933      54,300    SH   DEFINED             8,14     54,300   0         -
CENTURYTEL INC               COMMON 156700106   $     858      24,100    SH   DEFINED                9     24,100   0         -
CENTURYTEL INC               COMMON 156700106   $      50       1,400    SH   DEFINED             9,14        -     0       1,400
CEPHALON INC                 COMMON 156708109   $      33         500    SH   DEFINED               13        500   0         -
CEPHALON INC                 COMMON 156708109   $  23,024     345,240    SH   DEFINED               14    160,340   0     180,900
CEPHALON INC                 COMMON 156708109   $   1,080      16,200    SH   DEFINED             14,7        -     0      16,200
CEPHALON INC                 COMMON 156708109   $      33         500    SH   DEFINED            20,14        -     0         -
CEPHALON INC                 COMMON 156708109   $   4,949      74,212    SH   DEFINED               22     69,580   0       4,632
CEPHALON INC                 COMMON 156708109   $   3,063      45,935    SH   DEFINED               23     45,935   0         -
CEPHALON INC                 COMMON 156708109   $   1,213      18,190    SH   DEFINED               24     18,190   0         -
CEPHALON INC                 COMMON 156708109   $   8,976     134,600    SH   DEFINED                3    134,600   0         -
CEPHALON INC                 COMMON 156708109   $   3,089      46,323    SH   DEFINED                5     34,155   0      12,168
CEPHALON INC                 COMMON 156708109   $  12,784     191,700    SH   DEFINED                8    191,700   0         -
CEPHEID INC                  COMMON 15670R107   $   9,986     355,123    SH   DEFINED                1    355,123   0         -
CEPHEID INC                  COMMON 15670R107   $     790      28,100    SH   DEFINED               14     18,100   0      10,000
CEPHEID INC                  COMMON 15670R107   $   8,107     288,283    SH   DEFINED                2    288,283   0         -
CEPHEID INC                  COMMON 15670R107   $   5,950     211,588    SH   DEFINED               23    211,588   0         -
CEPHEID INC                  COMMON 15670R107   $      87       3,100    SH   DEFINED             5,15      3,100   0         -
CEPHEID INC                  COMMON 15670R107   $     172       6,100    SH   DEFINED                8      6,100   0         -
CEPHEID INC                  COMMON 15670R107   $      48       1,700    SH   DEFINED             8,20      1,700   0         -
CENVEO INC                   COMMON 15670S105   $      77       7,889    SH   DEFINED               23      7,889   0         -
CERADYNE INC                 COMMON 156710105   $   8,022     233,872    SH   DEFINED                1    233,872   0         -
CERADYNE INC                 COMMON 156710105   $   6,615     192,866    SH   DEFINED                2    192,866   0         -
CERADYNE INC                 COMMON 156710105   $       7         198    SH   DEFINED               22        -     0         198
CERADYNE INC                 COMMON 156710105   $   1,798      52,415    SH   DEFINED               23     52,415   0         -
CERADYNE INC                 COMMON 156710105   $     202       5,900    SH   DEFINED                5      1,485   0       4,415
CERNER CORP                  COMMON 156782104   $     114       2,516    SH   DEFINED               22        -     0       2,516
CERNER CORP                  COMMON 156782104   $   5,282     116,909    SH   DEFINED               23    116,909   0         -
CERNER CORP                  COMMON 156782104   $       2          54    SH   DEFINED               24         54   0         -
CERUS CORP                   COMMON 157085101   $       1         277    SH   DEFINED               23        277   0         -
CEVA INC                     COMMON 157210105   $     234      29,420    SH   DEFINED               23     29,420   0         -
CHAD THERAPEUTICS INC        COMMON 157228107       $ -           208    SH   DEFINED               22        -     0         208
CHAMPION ENTERPRISES INC     COMMON 158496109   $      79      13,501    SH   DEFINED               23     13,501   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $  15,980     249,994    SH   DEFINED                1    249,994   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $     384       6,000    SH   DEFINED               14      5,500   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $     243       3,800    SH   DEFINED               17      3,800   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $   1,521      23,793    SH   DEFINED                2     23,793   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $   2,129      33,303    SH   DEFINED             20,2        -     0      33,303
CHARLES RIVER LABORATORIES   COMMON 159864107   $   4,210      65,869    SH   DEFINED               23     65,869   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $       3          49    SH   DEFINED               24         49   0         -
CHARLES RIVER LABORATORIES   COMMON 159864107   $     395       6,180    SH   DEFINED                5        180   0       6,000
CHARLOTTE RUSSE HOLDING INC  COMMON 161048103   $     452      25,449    SH   DEFINED               23     25,449   0         -
CHARLOTTE RUSSE HOLDING INC  COMMON 161048103   $     143       8,025    SH   DEFINED                5      2,000   0       6,025
CHARMING SHOPPES             COMMON 161133103   $     132      28,860    SH   DEFINED               23     28,860   0         -
CHARMING SHOPPES             COMMON 161133103   $       3         565    SH   DEFINED               24        565   0         -
CHARMING SHOPPES             COMMON 161133103   $      79      17,300    SH   DEFINED                5        -     0      17,300
CHART INDUSTRIES INC         COMMON 16115Q308   $  12,820     263,570    SH   DEFINED                1    263,570   0         -
CHART INDUSTRIES INC         COMMON 16115Q308   $   1,085      22,300    SH   DEFINED               14     16,400   0       5,900
CHART INDUSTRIES INC         COMMON 16115Q308   $   7,436     152,876    SH   DEFINED               2      60,046   0      92,830
CHART INDUSTRIES INC         COMMON 16115Q308   $     537      11,043    SH   DEFINED              23      11,043   0         -
CHART INDUSTRIES INC         COMMON 16115Q308   $     199       4,100    SH   DEFINED            5,15       4,100   0         -
CHARTER COMMUNICATIONS INC
CL                           COMMON 16117M107   $     260     247,663    SH   DEFINED              23     247,663   0         -
CHARTER COMMUNICATIONS INC
CL                           COMMON 16117M107   $       5       4,560    SH   DEFINED              24       4,560   0         -
CHARTERED SEMICONDUCTOR MFG
AD                           COMMON 16133R106   $      11       2,000    SH   DEFINED              22         -     0       2,000
CHASE CORP                   COMMON 16150R104   $      76       4,000    SH   DEFINED              22         -     0       4,000
CHATTEM INC                  COMMON 162456107   $  21,583     331,786    SH   DEFINED               1     331,786   0         -
CHATTEM INC                  COMMON 162456107   $     949      14,589    SH   DEFINED               2      14,589   0         -
CHATTEM INC                  COMMON 162456107   $   4,235      65,107    SH   DEFINED              22      50,385   0      14,722
CHATTEM INC                  COMMON 162456107   $   5,401      83,027    SH   DEFINED              23      83,027   0         -
CHATTEM INC                  COMMON 162456107   $   3,120      47,959    SH   DEFINED               5      35,286   0      12,673
CHATTEM INC                  COMMON 162456107   $      39         606    SH   DEFINED             8,2         606   0         -
CHECKPOINT SYSTEMS INC       COMMON 162825103   $     879      42,100    SH   DEFINED              14      42,100   0         -
CHECKPOINT SYSTEMS INC       COMMON 162825103   $     231      11,062    SH   DEFINED              23      11,062   0         -
CHECKPOINT SYSTEMS INC       COMMON 162825103   $     624      29,900    SH   DEFINED               8      29,900   0         -
CHECKPOINT SYSTEMS INC       COMMON 162825103   $     171       8,200    SH   DEFINED            8,20       8,200   0         -
CHEESECAKE FACTORY (THE)     COMMON 163072101   $       7         465    SH   DEFINED              14         -     0         465
CHEESECAKE FACTORY (THE)     COMMON 163072101   $      27       1,725    SH   DEFINED              22         -     0       1,725
CHEESECAKE FACTORY (THE)     COMMON 163072101   $     164      10,328    SH   DEFINED              23      10,328   0         -
CHEMED CORP                  COMMON 16359R103   $   9,484     259,067    SH   DEFINED               1     259,067   0         -
CHEMED CORP                  COMMON 16359R103   $     425      11,600    SH   DEFINED              14       8,100   0       3,500
CHEMED CORP                  COMMON 16359R103   $   7,873     215,062    SH   DEFINED               2     215,062   0         -
CHEMED CORP                  COMMON 16359R103   $      96       2,627    SH   DEFINED              23       2,627   0         -
CHEMED CORP                  COMMON 16359R103   $     204       5,580    SH   DEFINED               5         -     0       5,580
CHEMED CORP                  COMMON 16359R103   $      40       1,100    SH   DEFINED            5,15       1,100   0         -
CHEMICAL FINANCIAL CORP      COMMON 163731102   $     141       6,900    SH   DEFINED              14       6,900   0         -
CHEMICAL FINANCIAL CORP      COMMON 163731102   $   5,612     275,122    SH   DEFINED              23     275,122   0         -
CHEMICAL FINANCIAL CORP      COMMON 163731102   $      22       1,100    SH   DEFINED            5,15       1,100   0         -
CHEMTURA CORP                COMMON 163893100   $     660     113,052    SH   DEFINED              23     113,052   0         -
CHEMTURA CORP                COMMON 163893100   $       3         484    SH   DEFINED              24         484   0         -
CHEMTURA CORP                COMMON 163893100   $      99      16,943    SH   DEFINED               5       4,343   0      12,600
CHENIERE ENERGY INC          COMMON 16411R208   $       6       1,376    SH   DEFINED              23       1,376   0         -
CHEROKEE INC                 COMMON 16444H102   $     103       5,100    SH   DEFINED              14       5,100   0         -
CHEROKEE INC                 COMMON 16444H102   $      26       1,274    SH   DEFINED              23       1,274   0         -
CHEROKEE INC                 COMMON 16444H102   $      16         800    SH   DEFINED            5,15         800   0         -
CHESAPEAKE CORP              COMMON 165159104   $      83      35,277    SH   DEFINED              23      35,277   0         -
CHESAPEAKE ENERGY CORP       COMMON 165167107   $ 224,851   3,408,904    SH   DEFINED               1   3,408,904   0         -
CHESAPEAKE ENERGY CORP       COMMON 165167107   $   1,142      17,315    SH   DEFINED              14      14,794   0       2,521
CHESAPEAKE ENERGY CORP       COMMON 165167107   $  19,911     301,858    SH   DEFINED              22      99,752   0     202,106
CHESAPEAKE ENERGY CORP       COMMON 165167107   $   8,764     132,866    SH   DEFINED              23     132,866   0         -
CHESAPEAKE ENERGY CORP       COMMON 165167107   $      28         429    SH   DEFINED              24         429   0         -
CHESAPEAKE ENERGY CORP       COMMON 165167107   $  32,021     485,465    SH   DEFINED               4     485,465   0         -
CHESAPEAKE ENERGY CORP       COMMON 165167107   $   9,401     142,520    SH   DEFINED               5     119,372   0      23,148
CHESAPEAKE ENERGY CORP       COMMON 165167107   $     386       5,850    SH   DEFINED               7       5,850   0         -
CHESAPEAKE ENERGY CORP
CVP 4.5                      CONVERT165167842   $   2,439      15,150    SH   DEFINED              22         500   0      14,650
CHESAPEAKE UTILITIES CORP    COMMON 165303108   $      90       3,500    SH   DEFINED              14       3,500   0         -
CHESAPEAKE UTILITIES CORP    COMMON 165303108   $      35       1,364    SH   DEFINED              23       1,364   0         -
CHESAPEAKE UTILITIES CORP    COMMON 165303108   $      18         700    SH   DEFINED            5,15         700   0         -
CHEVRON CORP                 COMMON 166764100   $  10,617     107,100    SH   DEFINED               1     107,100   0         -
CHEVRON CORP                 COMMON 166764100   $   8,367      84,400    SH   DEFINED            1,15      84,400   0         -
CHEVRON CORP                 COMMON 166764100   $  13,578     136,975    SH   DEFINED             1,9     136,975   0         -
CHEVRON CORP                 COMMON 166764100   $   5,442      54,900    SH   DEFINED           10,14      54,900   0         -
CHEVRON CORP                 COMMON 166764100   $   1,344      13,553    SH   DEFINED            10,7      13,553   0         -
CHEVRON CORP                 COMMON 166764100   $  42,276     426,469    SH   DEFINED              11     103,069   0     323,400
CHEVRON CORP                 COMMON 166764100   $   1,273      12,838    SH   DEFINED              13      12,838   0         -
CHEVRON CORP                 COMMON 166764100   $ 247,503   2,496,755    SH   DEFINED              14   1,806,705   0     591,350
CHEVRON CORP                 COMMON 166764100   $   6,245      63,000    SH   DEFINED           14,13         -     0      63,000
CHEVRON CORP                 COMMON 166764100   $  18,418     185,800    SH   DEFINED            14,7         -     0     185,800
CHEVRON CORP                 COMMON 166764100   $      53         535    SH   DEFINED           18,11         535   0         -
CHEVRON CORP                 COMMON 166764100   $     932       9,400    SH   DEFINED           18,14         -     0       9,400
CHEVRON CORP                 COMMON 166764100   $   2,790      28,146    SH   DEFINED              19      28,146   0         -
CHEVRON CORP                 COMMON 166764100   $   5,229      52,750    SH   DEFINED           19,14      30,275   0      22,475
CHEVRON CORP                 COMMON 166764100   $   2,002      20,200    SH   DEFINED           20,14         -     0         -
CHEVRON CORP                 COMMON 166764100   $     702       7,080    SH   DEFINED              21       7,080   0         -
CHEVRON CORP                 COMMON 166764100   $  27,839     280,836    SH   DEFINED              22      63,469   0     217,366
CHEVRON CORP                 COMMON 166764100   $  39,436     397,823    SH   DEFINED              23     397,823   0         -
CHEVRON CORP                 COMMON 166764100   $     348       3,506    SH   DEFINED              24       3,506   0         -
CHEVRON CORP                 COMMON 166764100   $  31,586     318,629    SH   DEFINED               5     297,117   0      21,512
CHEVRON CORP                 COMMON 166764100   $  14,086     142,100    SH   DEFINED            5,15     142,100   0         -
CHEVRON CORP                 COMMON 166764100   $   1,239      12,500    SH   DEFINED               6      12,500   0         -
CHEVRON CORP                 COMMON 166764100   $  20,981     211,656    SH   DEFINED               7     211,656   0         -
CHEVRON CORP                 COMMON 166764100   $  99,964   1,008,414    SH   DEFINED               8   1,008,414   0         -
CHEVRON CORP                 COMMON 166764100   $  31,296     315,704    SH   DEFINED            8,14     285,500   0      30,204
CHEVRON CORP                 COMMON 166764100   $   6,493      65,500    SH   DEFINED               9      65,500   0         -
CHEVRON CORP                 COMMON 166764100   $   3,390      34,200    SH   DEFINED            9,14         -     0      34,200
CHICAGO BRIDGE & IRON-NY SHR COMMON 167250109   $  88,464   2,221,592    SH   DEFINED               1   2,221,592   0         -
CHICAGO BRIDGE & IRON-NY SHR COMMON 167250109   $  14,629     367,368    SH   DEFINED               2     367,368   0         -
CHICAGO BRIDGE & IRON-NY SHR COMMON 167250109   $     344       8,631    SH   DEFINED              23       8,631   0         -
CHICAGO BRIDGE & IRON-NY SHR COMMON 167250109   $      23         580    SH   DEFINED               5         580   0         -
CHICAGO BRIDGE & IRON-NY SHR COMMON 167250109   $     111       2,778    SH   DEFINED             8,2       2,778   0         -
CHICO'S FAS INC              COMMON 168615102   $      10       1,820    SH   DEFINED              22         -     0       1,820
CHICO'S FAS INC              COMMON 168615102   $      72      13,408    SH   DEFINED              23      13,408   0         -
CHICO'S FAS INC              COMMON 168615102   $       1         263    SH   DEFINED              24         263   0         -
CHICO'S FAS INC              COMMON 168615102   $       1         181    SH   DEFINED               5         -     0         181
CHILDREN'S PLACE             COMMON 168905107   $     135       3,730    SH   DEFINED              23       3,730   0         -
CHINA AUTOMOTIVE SYSTEMS INC COMMON 16936R105   $     347      59,157    SH   DEFINED              23      59,157   0         -
CHINA BAK BATTERY INC        COMMON 16936Y100   $  23,490   4,987,283    SH   DEFINED              23   4,987,283   0        -
CHINA FINANCE ONLINE CO-ADR  COMMON 169379104   $     757      49,577    SH   DEFINED              23      49,577   0         -
CHINA EASTN AIRLS LTD ADR    COMMON 16937R104   $   3,591     114,574    SH   DEFINED              23     114,574   0         -
CHINA DIGITAL TV HOLDING-ADR COMMON 16938G107   $   2,458     134,884    SH   DEFINED              23     134,884   0         -
CHINA FIRE & SECURITY GROUP  COMMON 16938R103   $     226      18,719    SH   DEFINED              23      18,719   0         -
CHINA LIFE INSURANCE CO- ADR COMMON 16939P106   $       8         144    SH   DEFINED              22         -     0         144
CHINA LIFE INSURANCE CO- ADR COMMON 16939P106   $  19,184     367,654    SH   DEFINED              23     367,654   0         -
CHINA SOUTHN AIRLS LTD ADR   COMMON 169409109   $   4,076     205,947    SH   DEFINED              23     205,947   0         -
CHINA NETCOM GROUP-SPON ADR  COMMON 16940Q101   $  19,714     361,137    SH   DEFINED              23     361,137   0         -
CHINA PRECISION STEEL INC    COMMON 16941J106   $       1         161    SH   DEFINED              23         161   0         -
CHINA MOBILE LTD SP ADR      COMMON 16941M109   $      47         706    SH   DEFINED              22         -     0         706
CHINA MOBILE LTD SP ADR      COMMON 16941M109   $  26,049     389,088    SH   DEFINED              23     389,088   0         -
CHINA MOBILE LTD SP ADR      COMMON 16941M109   $  33,225     496,273    SH   DEFINED               4     496,273   0         -


CHINA MOBILE LTD SP ADR      COMMON 16941M109   $       21         317   SH   DEFINED                5        317   0          -
CHINA PETROLEUM & CHEMICAL
ADR                          COMMON 16941R108   $       28         300   SH   DEFINED               22        -     0          300
CHINA PETROLEUM & CHEMICAL
ADR                          COMMON 16941R108   $   18,744     201,792   SH   DEFINED               23    201,792   0          -
CHINA SHENGHUO PHARMACEUTICA COMMON 16941X105   $      192      46,327   SH   DEFINED               23     46,327   0          -
CHINA TECHFAITH WIRELESS-ADR COMMON 169424108   $      431     102,175   SH   DEFINED               23    102,175   0          -
CHINA TELECOM CORP LTD - ADR COMMON 169426103   $   19,062     350,471   SH   DEFINED               23    350,471   0          -
CHINA SECURITY & SURVEILLANC COMMON 16942J105        $ -       100,895   SH   DEFINED               23    100,895   0          -
CHINA SUNERGY CO LTD-ADR     COMMON 16942X104   $      770      93,117   SH   DEFINED               23     93,117   0          -
CHINA NEPSTAR CHAIN DRUG-ADR COMMON 16943C109   $    2,172     250,805   SH   DEFINED               23    250,805   0          -
CHINAEDU CORP-ADR            COMMON 16945L107   $      253      45,853   SH   DEFINED               23     45,853   0          -
CHINA UNICOM LTD ADR         COMMON 16945R104   $   19,778   1,067,928   SH   DEFINED               23  1,067,928   0          -
CHINDEX INTERNATIONAL INC    COMMON 169467107   $      456      31,077   SH   DEFINED               23     31,077   0          -
CHINA MEDICAL TECH
- SPON ADR                   COMMON 169483104   $       36         730   SH   DEFINED               22        -     0          730
CHINA MEDICAL TECH
- SPON ADR                   COMMON 169483104   $    3,621      73,304   SH   DEFINED               23     73,304   0          -
CHIPOTLE MEXICAN GRILL-CL A  COMMON 169656105   $      442       5,355   SH   DEFINED               23      5,355   0          -
CHIPOTLE MEXICAN GRI-CL B    COMMON 169656204   $        6          78   SH   DEFINED               22        -     0           78
CHIPOTLE MEXICAN GRI-CL B    COMMON 169656204   $       45         593   SH   DEFINED               23        593   0          -
CHOICE HOTELS INTL INC       COMMON 169905106   $   28,912   1,091,027   SH   DEFINED                1  1,091,027   0          -
CHOICE HOTELS INTL INC       COMMON 169905106   $    8,611     324,930   SH   DEFINED               14    140,830   0      182,100
CHOICE HOTELS INTL INC       COMMON 169905106   $    6,324     238,627   SH   DEFINED                2    238,627   0          -
CHOICE HOTELS INTL INC       COMMON 169905106   $      128       4,814   SH   DEFINED               23      4,814   0          -
CHOICE HOTELS INTL INC       COMMON 169905106   $       24         905   SH   DEFINED                5        -     0          905
CHIQUITA BRANDS INTL         COMMON 170032809   $      262      17,300   SH   DEFINED               14     17,300   0          -
CHIQUITA BRANDS INTL         COMMON 170032809   $    2,285     150,641   SH   DEFINED               23    150,641   0          -
CHIQUITA BRANDS INTL         COMMON 170032809   $        2         132   SH   DEFINED               24        132   0          -
CHIQUITA BRANDS INTL         COMMON 170032809   $       85       5,600   SH   DEFINED                8      5,600   0          -
CHIQUITA BRANDS INTL         COMMON 170032809   $       23       1,500   SH   DEFINED             8,20      1,500   0          -
CHOICEPOINT INC              COMMON 170388102   $    2,094      43,449   SH   DEFINED                1     43,449   0          -
CHOICEPOINT INC              COMMON 170388102   $      208       4,325   SH   DEFINED               23      4,325   0          -
CHOICEPOINT INC              COMMON 170388102   $        2          43   SH   DEFINED               24         43   0          -
CHOICEPOINT INC              COMMON 170388102   $       16         322   SH   DEFINED                5        200   0          122
CHOICEPOINT INC              COMMON 170388102   $      114       2,363   SH   DEFINED                7      2,363   0          -
CHORDIANT SOFTWARE INC       COMMON 170404305   $        1         291   SH   DEFINED               23        291   0          -
CHRISTOPHER & BANKS CORP     COMMON 171046105   $       48       7,116   SH   DEFINED               23      7,116   0          -
CHUBB CORP                   COMMON 171232101   $  133,693   2,727,869   SH   DEFINED                1  2,727,869   0          -
CHUBB CORP                   COMMON 171232101   $    3,455      70,500   SH   DEFINED             1,15     70,500   0          -
CHUBB CORP                   COMMON 171232101   $       69       1,400   SH   DEFINED            10,14      1,400   0          -
CHUBB CORP                   COMMON 171232101   $      154       3,150   SH   DEFINED               11      3,150   0          -
CHUBB CORP                   COMMON 171232101   $       83       1,698   SH   DEFINED               13      1,698   0          -
CHUBB CORP                   COMMON 171232101   $       69       1,398   SH   DEFINED             13,2      1,398   0          -
CHUBB CORP                   COMMON 171232101   $    2,931      59,804   SH   DEFINED               14     33,054   0       22,850
CHUBB CORP                   COMMON 171232101   $      343       7,000   SH   DEFINED             14,7        -     0        7,000
CHUBB CORP                   COMMON 171232101   $   14,287     291,504   SH   DEFINED                2    291,504   0          -
CHUBB CORP                   COMMON 171232101   $       15         300   SH   DEFINED            20,14        -     0          -
CHUBB CORP                   COMMON 171232101   $    9,286     189,475   SH   DEFINED               22     12,592   0      176,883
CHUBB CORP                   COMMON 171232101   $   18,632     380,163   SH   DEFINED               23    380,163   0          -
CHUBB CORP                   COMMON 171232101   $      888      18,121   SH   DEFINED               24     18,121   0          -
CHUBB CORP                   COMMON 171232101   $    1,410      28,771   SH   DEFINED              3,1     28,771   0          -
CHUBB CORP                   COMMON 171232101   $      339       6,916   SH   DEFINED                4      6,916   0          -
CHUBB CORP                   COMMON 171232101   $    1,382      28,205   SH   DEFINED                5     24,612   0        3,593
CHUBB CORP                   COMMON 171232101   $      355       7,248   SH   DEFINED                7      7,248   0          -
CHUBB CORP                   COMMON 171232101   $      181       3,696   SH   DEFINED                8      3,696   0          -
CHUBB CORP                   COMMON 171232101   $      564      11,500   SH   DEFINED             8,14     11,500   0          -
CHUBB CORP                   COMMON 171232101   $      340       6,934   SH   DEFINED              8,2      6,934   0          -
CHUNGHWA TELECOMLTD-ADR-WI   COMMON 17133Q304   $    2,821     111,177   SH   DEFINED               23    111,177   0          -
CHURCH & DWIGHT CO INC       COMMON 171340102   $   23,210     411,898   SH   DEFINED                1    411,898   0          -
CHURCH & DWIGHT CO INC       COMMON 171340102   $   12,506     221,927   SH   DEFINED                2    221,927   0          -
CHURCH & DWIGHT CO INC       COMMON 171340102   $      116       2,050   SH   DEFINED               22        -     0        2,050
CHURCH & DWIGHT CO INC       COMMON 171340102   $    9,066     160,891   SH   DEFINED               23    160,891   0          -
CHURCH & DWIGHT CO INC       COMMON 171340102   $      232       4,110   SH   DEFINED               24      4,110   0          -
CHURCH & DWIGHT CO INC       COMMON 171340102   $      166       2,941   SH   DEFINED                5        635   0        2,306
CHURCHILL DOWNS INC          COMMON 171484108   $       10         289   SH   DEFINED               22        -     0          289
CHURCHILL DOWNS INC          COMMON 171484108   $      182       5,230   SH   DEFINED               23      5,230   0          -
CIBER INC                    COMMON 17163B102   $    2,611     420,500   SH   DEFINED               14    294,300   0      126,200
CIBER INC                    COMMON 17163B102   $      435      70,115   SH   DEFINED               23     70,115   0          -
CIBER INC                    COMMON 17163B102   $      410      66,100   SH   DEFINED             5,15     66,100   0          -
CIENA CORP                   COMMON 171779309   $      491      21,191   SH   DEFINED               23     21,191   0          -
CIENA CORP                   COMMON 171779309   $        4         170   SH   DEFINED                5        -     0          170
CIMAREX ENERGY CO            COMMON 171798101   $    5,831      83,690   SH   DEFINED               14     26,090   0       56,300
CIMAREX ENERGY CO            COMMON 171798101   $        9         124   SH   DEFINED               22        -     0          124
CIMAREX ENERGY CO            COMMON 171798101   $   12,650     181,576   SH   DEFINED               23    181,576   0          -
CIMAREX ENERGY CO            COMMON 171798101   $      524       7,522   SH   DEFINED               24      7,522   0          -
CIMAREX ENERGY CO            COMMON 171798101   $      278       3,997   SH   DEFINED                5        -     0        3,997
CINCINNATI BELL INC          COMMON 171871106   $    7,044   1,769,879   SH   DEFINED                1  1,769,879   0          -
CINCINNATI BELL INC          COMMON 171871106   $      101      25,500   SH   DEFINED             1,15     25,500   0          -
CINCINNATI BELL INC          COMMON 171871106   $   14,048   3,529,680   SH   DEFINED               14  1,829,180   0    1,681,800
CINCINNATI BELL INC          COMMON 171871106   $    4,079   1,024,832   SH   DEFINED                2    403,229   0      621,603
CINCINNATI BELL INC          COMMON 171871106   $      733     184,200   SH   DEFINED               23    184,200   0          -
CINCINNATI BELL INC          COMMON 171871106   $      998     250,700   SH   DEFINED             5,15    250,700   0          -
CINCINNATI BELL INC          COMMON 171871106   $      380      95,549   SH   DEFINED                8     95,549   0          -
CINCINNATI FINANCIAL CORP    COMMON 172062101   $        5         200   SH   DEFINED               14        200   0          -
CINCINNATI FINANCIAL CORP    COMMON 172062101   $       11         450   SH   DEFINED               22        -     0          450
CINCINNATI FINANCIAL CORP    COMMON 172062101   $      528      20,796   SH   DEFINED               23     20,796   0          -
CINCINNATI FINANCIAL CORP    COMMON 172062101   $       33       1,294   SH   DEFINED               24      1,294   0          -
CINCINNATI FINANCIAL CORP    COMMON 172062101   $       41       1,600   SH   DEFINED                5      1,150   0          450
CINCINNATI FINANCIAL CORP    COMMON 172062101   $       73       2,886   SH   DEFINED                7      2,886   0          -
CINEMARK HOLDINGS INC        COMMON 17243V102   $       62       4,723   SH   DEFINED               23      4,723   0          -
CIRCUIT CITY STORES          COMMON 172737108   $      249      86,145   SH   DEFINED               23     86,145   0          -
CIRCUIT CITY STORES          COMMON 172737108   $        5       1,686   SH   DEFINED               24      1,686   0          -
CIRCUIT CITY STORES          COMMON 172737108   $        2         531   SH   DEFINED                5        -     0          531
CIRCOR INTERNATIONAL INC     COMMON 17273K109   $      575      11,746   SH   DEFINED               23     11,746   0          -
CIRRUS LOGIC INC             COMMON 172755100   $    9,210   1,656,420   SH   DEFINED                1  1,656,420   0          -
CIRRUS LOGIC INC             COMMON 172755100   $    7,227   1,299,887   SH   DEFINED                2  1,299,887   0          -
CIRRUS LOGIC INC             COMMON 172755100   $       49       8,861   SH   DEFINED               23      8,861   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $  299,985  12,897,053   SH   DEFINED                1 12,897,053   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    1,512      65,000   SH   DEFINED              1,3     65,000   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      454      19,503   SH   DEFINED             10,7     19,503   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      986      42,407   SH   DEFINED               13     42,407   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      126       5,397   SH   DEFINED             13,2      5,397   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      342      14,700   SH   DEFINED             13,3     14,700   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $   15,942     685,400   SH   DEFINED               14    482,400   0      172,900
CISCO SYSTEMS INC            COMMON 17275R102   $    3,012     129,500   SH   DEFINED             14,7        -     0      129,500
CISCO SYSTEMS INC            COMMON 17275R102   $    2,168      93,200   SH   DEFINED               17     93,200   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    5,634     242,200   SH   DEFINED             18,3    242,200   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    1,134      48,734   SH   DEFINED               19     48,734   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $   23,462   1,008,688   SH   DEFINED                2  1,008,688   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      337      14,500   SH   DEFINED            20,14        -     0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    4,955     213,033   SH   DEFINED             20,2    213,033   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    3,117     134,000   SH   DEFINED             20,3    134,000   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    1,865      80,183   SH   DEFINED               21     80,183   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $   71,602   3,078,317   SH   DEFINED               22    469,867   0    2,608,450
CISCO SYSTEMS INC            COMMON 17275R102   $   28,666   1,232,410   SH   DEFINED               23  1,232,410   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $   13,580     583,835   SH   DEFINED               24    583,835   0          -
CISCO SYSTEMS INC            COMMON 17275R102   $  510,804  21,960,625   SH   DEFINED                3  21,960,625  0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    2,581     110,958   SH   DEFINED              3,1     110,958  0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      916      39,368   SH   DEFINED                4      39,368  0          -
CISCO SYSTEMS INC            COMMON 17275R102   $   21,514     924,951   SH   DEFINED                5     719,423  0      205,528
CISCO SYSTEMS INC            COMMON 17275R102   $    7,011     301,419   SH   DEFINED                7     301,419  0          -
CISCO SYSTEMS INC            COMMON 17275R102   $   39,744   1,708,703   SH   DEFINED                8   1,708,703  0          -
CISCO SYSTEMS INC            COMMON 17275R102   $      443      19,042   SH   DEFINED              8,2      19,042  0          -
CISCO SYSTEMS INC            COMMON 17275R102   $    1,975      84,916   SH   DEFINED                9      84,916  0          -
CITADEL BROADCASTING CORP    COMMON 17285T106   $        -           -   SH   DEFINED                1          -   0          -
CITADEL BROADCASTING CORP    COMMON 17285T106   $        -           -   SH   DEFINED               11          -   0          -
CITADEL BROADCASTING CORP    COMMON 17285T106   $        -           -   SH   DEFINED             13,2          -   0          -
CITADEL BROADCASTING CORP    COMMON 17285T106   $        -           2   SH   DEFINED               14           1  0            1
CITADEL BROADCASTING CORP    COMMON 17285T106   $        6       4,780   SH   DEFINED               22          80  0        4,700
CITADEL BROADCASTING CORP    COMMON 17285T106   $      161     131,868   SH   DEFINED               23     131,868  0          -
CITADEL BROADCASTING CORP    COMMON 17285T106   $        1         744   SH   DEFINED                5         493  0          251
CINTAS CORP                  COMMON 172908105   $      664      25,030   SH   DEFINED               14       4,830  0       18,900
CINTAS CORP                  COMMON 172908105   $      127       4,800   SH   DEFINED             14,7          -   0        4,800
CINTAS CORP                  COMMON 172908105   $      987      37,228   SH   DEFINED               23      37,228  0          -
CINTAS CORP                  COMMON 172908105   $    1,348      50,847   SH   DEFINED               24      50,847  0          -
CINTAS CORP                  COMMON 172908105   $       18         664   SH   DEFINED                5         472  0          192
CINTAS CORP                  COMMON 172908105   $       74       2,782   SH   DEFINED                7       2,782  0          -
CITIGROUP INC                COMMON 172967101   $  163,080   9,730,334   SH   DEFINED                1   9,730,334  0          -
CITIGROUP INC                COMMON 172967101   $      122       7,300   SH   DEFINED             1,15       7,300  0          -
CITIGROUP INC                COMMON 172967101   $    3,874     231,143   SH   DEFINED               14     191,043  0       28,500
CITIGROUP INC                COMMON 172967101   $    1,415      84,400   SH   DEFINED             14,7         -    0       84,400
CITIGROUP INC                COMMON 172967101   $       79       4,700   SH   DEFINED            20,14         -    0          -
CITIGROUP INC                COMMON 172967101   $        3         200   SH   DEFINED               21         200  0          -
CITIGROUP INC                COMMON 172967101   $   10,254     611,814   SH   DEFINED               22      72,845  0      538,970
CITIGROUP INC                COMMON 172967101   $   20,260   1,208,819   SH   DEFINED               23   1,208,819  0          -
CITIGROUP INC                COMMON 172967101   $      336      20,034   SH   DEFINED               24      20,034  0          -
CITIGROUP INC                COMMON 172967101   $    5,824     347,493   SH   DEFINED                4     347,493  0          -
CITIGROUP INC                COMMON 172967101   $    1,017      60,652   SH   DEFINED                5      38,876  0       21,776
CITIGROUP INC                COMMON 172967101   $    1,469      87,625   SH   DEFINED                7      87,625  0          -
CITIGROUP INC                COMMON 172967101   $   11,151     665,343   SH   DEFINED                8     645,343  20000          -
CITIGROUP INC                CONVERT172967598   $    4,370      90,000   SH   DEFINED                8      90,000  0          -
CITI TRENDS INC              COMMON 17306X102   $    8,389     370,201   SH   DEFINED                1     370,201  0          -
CITI TRENDS INC              COMMON 17306X102   $    4,893     215,925   SH   DEFINED                2      84,546  0      131,379
CITI TRENDS INC              COMMON 17306X102   $       45       2,006   SH   DEFINED               23       2,006  0          -
CITIGROUP FUNDING INC-NOTES  COMMON 17311G813   $       11       1,200   SH   DEFINED               22         -    0        1,200
CITIZENS REPUBLIC BANCORP
INC                          COMMON 174420109   $       48      17,153   SH   DEFINED               23       17,153 0          -
CITIZENS REPUBLIC BANCORP
INC                          COMMON 174420109   $        1         322   SH   DEFINED               24          322 0          -
CITIZENS REPUBLIC BANCORP
INC                          COMMON 174420109   $       22       7,816   SH   DEFINED                5          -   0        7,816
CITIZENS COMMUNICATIONS CO   COMMON 17453B101        $ -            16   SH   DEFINED               22          -   0           16
CITIZENS COMMUNICATIONS CO   COMMON 17453B101   $    1,189     104,824   SH   DEFINED               23      104,824 0          -
CITIZENS COMMUNICATIONS CO   COMMON 17453B101   $       13       1,142   SH   DEFINED               24        1,142 0          -
CITIZENS COMMUNICATIONS CO   COMMON 17453B101   $        7         589   SH   DEFINED                5          -   0          589
CITIZENS FIRST BANCORP INC   COMMON 17461R106        $ -            72   SH   DEFINED               23           72 0          -
CITIZENS INC                 COMMON 174740100   $      205      33,441   SH   DEFINED               23       33,441 0          -
CITRIX SYSTEMS INC           COMMON 177376100   $   17,399     591,614   SH   DEFINED                1      591,614 0          -
CITRIX SYSTEMS INC           COMMON 177376100   $      167       5,677   SH   DEFINED               16          -   5677          -
CITRIX SYSTEMS INC           COMMON 177376100   $    1,204      40,930   SH   DEFINED                2        4,778 0       36,152
CITRIX SYSTEMS INC           COMMON 177376100   $        2          80   SH   DEFINED               22          -   0           80
CITRIX SYSTEMS INC           COMMON 177376100   $      669      22,764   SH   DEFINED               23       22,764 0          -
CITRIX SYSTEMS INC           COMMON 177376100   $    1,766      60,037   SH   DEFINED               24       60,037 0          -
CITRIX SYSTEMS INC           COMMON 177376100   $        4         144   SH   DEFINED                5          -   0          144
CITRIX SYSTEMS INC           COMMON 177376100   $       79       2,673   SH   DEFINED                7        2,673 0          -
CITY BANK LYNNWOOD WA        COMMON 17770A109   $      742      86,300   SH   DEFINED               14       59,600 0       26,700
CITY BANK LYNNWOOD WA        COMMON 17770A109   $       34       3,908   SH   DEFINED               23        3,908 0          -
CITY BANK LYNNWOOD WA        COMMON 17770A109   $      130      15,100   SH   DEFINED             5,15       15,100 0          -
CITY HOLDING CO              COMMON 177835105   $    2,263      55,500   SH   DEFINED               14       40,600 0       14,900
CITY HOLDING CO              COMMON 177835105   $    4,379     107,417   SH   DEFINED               23      107,417 0          -
CITY HOLDING CO              COMMON 177835105   $      218       5,335   SH   DEFINED                5        1,360 0        3,975
CITY HOLDING CO              COMMON 177835105   $      416      10,200   SH   DEFINED             5,15       10,200 0          -
CITY NATIONAL CORP           COMMON 178566105   $      236       5,621   SH   DEFINED               23        5,621 0          -
CITY NATIONAL CORP           COMMON 178566105   $        3          75   SH   DEFINED               24           75 0          -
CITY NATIONAL CORP           COMMON 178566105   $       84       2,000   SH   DEFINED                5        2,000 0          -
CLARCOR INC                  COMMON 179895107   $        1          37   SH   DEFINED               22          -   0           37
CLARCOR INC                  COMMON 179895107   $    2,682      76,411   SH   DEFINED               23       76,411 0          -
CLARCOR INC                  COMMON 179895107   $      275       7,825   SH   DEFINED                5          -   0        7,825
CLAYMORE/BNY BRIC ETF        COMMON 18383M100   $    3,119      55,850   SH   DEFINED               22        3,900 0       51,950
CLAYMORE S&P GLBL WAT
IDX ET M                     COMMON 18383Q507   $        5         180   SH   DEFINED               22          -   0          180
CLAYTON HOLDINGS INC         COMMON 18418N107   $       29       4,849   SH   DEFINED               23        4,849 0          -
CLEAN HARBORS INC            COMMON 184496107   $    2,639      37,131   SH   DEFINED               23       37,131 0          -
CLEAN ENERGY FUELS CORP      COMMON 184499101   $    1,840     160,104   SH   DEFINED               23      160,104 0          -
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $    3,440      97,736   SH   DEFINED                1       97,736 0          -
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $      287       8,140   SH   DEFINED             13,2          -   0        8,140
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $        2          50   SH   DEFINED               22          -   0           50
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $    1,168      33,180   SH   DEFINED               23       33,180 0          -
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $       25         708   SH   DEFINED               24          708 0          -
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $        2          55   SH   DEFINED                4           55 0          -
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $       52       1,470   SH   DEFINED                5          100 0        1,370
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $      328       9,318   SH   DEFINED                7        9,318 0          -
CLEAR CHANNEL COMMUNICATIONS COMMON 184502102   $      850      24,139   SH   DEFINED                8       24,139 0          -
CLEAR CHANNEL OUTDOOR CL A   COMMON 18451C109   $      987      55,371   SH   DEFINED               23       55,371 0          -
CLEAR CHANNEL OUTDOOR CL A   COMMON 18451C109   $        4         250   SH   DEFINED               24          250 0          -
CLEARWIRE CORP-CLASS A       COMMON 185385309   $       13       1,000   SH   DEFINED               22          -   0        1,000
CLEARWIRE CORP-CLASS A       COMMON 185385309   $       47       3,659   SH   DEFINED               23        3,659 0          -
CLEVELAND-CLIFFS INC         COMMON 185896107   $  33,503     281,087    SH   DEFINED               1       281,087    0       -
CLEVELAND-CLIFFS INC         COMMON 185896107   $   2,451      20,561    SH   DEFINED               2         3,075    0    17,486
CLEVELAND-CLIFFS INC         COMMON 185896107   $  13,834     116,065    SH   DEFINED              23       116,065    0       -
CLEVELAND-CLIFFS INC         COMMON 185896107   $     145       1,215    SH   DEFINED               7         1,215    0       -
CLIFTON SAVINGS BANCORP      COMMON 18712Q103   $       9         893    SH   DEFINED              23           893    0       -
CLINICAL DATA INC            COMMON 18725U109   $       3         185    SH   DEFINED              23           185    0       -
CLOROX COMPANY               COMMON 189054109   $ 130,789   2,505,533    SH   DEFINED               1     2,505,533    0       -
CLOROX COMPANY               COMMON 189054109   $     120       2,300    SH   DEFINED              14         1,400    0       400
CLOROX COMPANY               COMMON 189054109   $     167       3,200    SH   DEFINED            14,7           -      0     3,200
CLOROX COMPANY               COMMON 189054109   $   9,653     184,922    SH   DEFINED               2       184,922    0       -
CLOROX COMPANY               COMMON 189054109   $     525      10,050    SH   DEFINED              22           -      0    10,050
CLOROX COMPANY               COMMON 189054109   $     734      14,060    SH   DEFINED              23       14,060     0       -
CLOROX COMPANY               COMMON 189054109   $      10         182    SH   DEFINED              24           182    0       -
CLOROX COMPANY               COMMON 189054109   $     187       3,583    SH   DEFINED               5         3,500    0        83
CLOROX COMPANY               COMMON 189054109   $     200       3,837    SH   DEFINED               7         3,837    0       -
CLOROX COMPANY               COMMON 189054109   $     196       3,749    SH   DEFINED               8         3,749    0       -
CLOROX COMPANY               COMMON 189054109   $     401       7,677    SH   DEFINED             8,2         7,677    0       -
COACH INC                    COMMON 189754104   $  40,199   1,391,944    SH   DEFINED               1     1,391,944    0       -
COACH INC                    COMMON 189754104   $     723      25,024    SH   DEFINED            13,2           -      0    25,024
COACH INC                    COMMON 189754104   $     222       7,700    SH   DEFINED              14           -      0     7,700
COACH INC                    COMMON 189754104   $   2,104      72,857    SH   DEFINED               2         8,534    0    64,323
COACH INC                    COMMON 189754104   $   6,642     229,980    SH   DEFINED              22         5,300    0   224,680
COACH INC                    COMMON 189754104   $  12,005     415,672    SH   DEFINED              23       415,672    0       -
COACH INC                    COMMON 189754104   $       5         166    SH   DEFINED              24           166    0       -
COACH INC                    COMMON 189754104   $   1,920      66,475    SH   DEFINED               5        11,103    0    55,372
COACH INC                    COMMON 189754104   $     214       7,416    SH   DEFINED               7         7,416    0       -
COACH INC                    COMMON 189754104   $     334      11,559    SH   DEFINED               8        11,559    0       -
CNINSURE INC-ADR             COMMON 18976M103   $   1,616     103,355    SH   DEFINED              23       103,355    0       -
COACHMEN INDUSTRIES INC      COMMON 189873102   $      25      11,702    SH   DEFINED              23        11,702    0       -
COBIZ FINANCIAL INC          COMMON 190897108   $       1         151    SH   DEFINED              23           151    0       -
COCA-COLA BOTTLING CO CONSOL COMMON 191098102   $     189       5,100    SH   DEFINED              14         5,100    0       -
COCA-COLA BOTTLING CO CONSOL COMMON 191098102   $   2,240      60,570    SH   DEFINED              23        60,570    0       -
COCA-COLA BOTTLING CO CONSOL COMMON 191098102   $      41       1,100    SH   DEFINED            5,15         1,100    0       -
COCA-COLA COMPANY            COMMON 191216100   $ 253,687   4,880,475    SH   DEFINED               1     4,880,475    0       -
COCA-COLA COMPANY            COMMON 191216100   $  11,280     217,000    SH   DEFINED            1,15       217,000    0       -
COCA-COLA COMPANY            COMMON 191216100   $   2,443      47,000    SH   DEFINED           10,14        47,000    0       -
COCA-COLA COMPANY            COMMON 191216100   $     368       7,086    SH   DEFINED              11         7,086    0       -
COCA-COLA COMPANY            COMMON 191216100   $     135       2,600    SH   DEFINED              13         2,600    0       -
COCA-COLA COMPANY            COMMON 191216100   $     135       2,600    SH   DEFINED            13,2         2,600    0       -
COCA-COLA COMPANY            COMMON 191216100   $ 189,577   3,647,111    SH   DEFINED              14     2,574,261    0   939,150
COCA-COLA COMPANY            COMMON 191216100   $   4,512      86,800    SH   DEFINED           14,13           -      0    86,800
COCA-COLA COMPANY            COMMON 191216100   $  12,740     245,100    SH   DEFINED            14,7           -      0   245,100
COCA-COLA COMPANY            COMMON 191216100   $     115       2,204    SH   DEFINED              19         2,204    0       -
COCA-COLA COMPANY            COMMON 191216100   $  13,193     253,814    SH   DEFINED               2       253,814    0       -
COCA-COLA COMPANY            COMMON 191216100   $   1,367      26,300    SH   DEFINED           20,14           -      0       -
COCA-COLA COMPANY            COMMON 191216100   $  29,199     561,743    SH   DEFINED              22        78,986    0   482,756
COCA-COLA COMPANY            COMMON 191216100   $  31,364     603,385    SH   DEFINED              23       603,385    0       -
COCA-COLA COMPANY            COMMON 191216100   $      92       1,772    SH   DEFINED              24         1,772    0       -
COCA-COLA COMPANY            COMMON 191216100   $   2,765      53,200    SH   DEFINED             3,1        53,200    0       -
COCA-COLA COMPANY            COMMON 191216100   $       2          33    SH   DEFINED               4            33    0       -
COCA-COLA COMPANY            COMMON 191216100   $  21,884     421,011    SH   DEFINED               5       378,287    0    42,724
COCA-COLA COMPANY            COMMON 191216100   $  10,167     195,600    SH   DEFINED            5,15       195,600    0       -
COCA-COLA COMPANY            COMMON 191216100   $   2,656      51,100    SH   DEFINED               6        51,100    0       -
COCA-COLA COMPANY            COMMON 191216100   $   7,605     146,298    SH   DEFINED               7       146,298    0       -
COCA-COLA COMPANY            COMMON 191216100   $  26,882     517,161    SH   DEFINED               8       517,161    0       -
COCA-COLA COMPANY            COMMON 191216100   $  19,425     373,700    SH   DEFINED            8,14       373,700    0       -
COCA-COLA COMPANY            COMMON 191216100   $     547      10,528    SH   DEFINED             8,2        10,528    0       -
COCA-COLA COMPANY            COMMON 191216100   $   2,453      47,200    SH   DEFINED            9,14           -      0    47,200
COCA-COLA ENTERPRISES        COMMON 191219104   $     130       7,500    SH   DEFINED           10,14         7,500    0       -
COCA-COLA ENTERPRISES        COMMON 191219104   $      16         900    SH   DEFINED              13           900    0       -
COCA-COLA ENTERPRISES        COMMON 191219104   $  14,632     845,790    SH   DEFINED              14       353,290    0   484,300
COCA-COLA ENTERPRISES        COMMON 191219104   $     787      45,500    SH   DEFINED            14,7           -      0    45,500
COCA-COLA ENTERPRISES        COMMON 191219104   $      16         900    SH   DEFINED           20,14           -      0       -
COCA-COLA ENTERPRISES        COMMON 191219104   $      22       1,262    SH   DEFINED              22           596    0       666
COCA-COLA ENTERPRISES        COMMON 191219104   $     582      33,637    SH   DEFINED              23        33,637    0       -
COCA-COLA ENTERPRISES        COMMON 191219104   $      12         714    SH   DEFINED              24           714    0       -
COCA-COLA ENTERPRISES        COMMON 191219104   $     418      24,155    SH   DEFINED               5        23,513    0       642
COCA-COLA ENTERPRISES        COMMON 191219104   $     996      57,600    SH   DEFINED            8,14        57,600    0       -
COCA-COLA FEMSA SA DE CV ADR COMMON 191241108   $  14,980     265,650    SH   DEFINED               1       265,650    0       -
COCA-COLA FEMSA SA DE CV ADR COMMON 191241108   $     938      16,633    SH   DEFINED            13,2           -      0    16,633
COCA-COLA FEMSA SA DE CV ADR COMMON 191241108   $       6         100    SH   DEFINED               5           -      0       100
COCA COLA HELLENIC BTLNG-ADS COMMON 1912EP104   $      12         281    SH   DEFINED              22           -      0       281
COCA COLA HELLENIC BTLNG-ADS COMMON 1912EP104   $  32,191     724,853    SH   DEFINED               4       724,853    0       -
COCA COLA HELLENIC BTLNG-ADS COMMON 1912EP104   $      80       1,800    SH   DEFINED               5        -         0     1,800
COEUR D ALENE MINES CORP     COMMON 192108108   $  25,110   8,658,791    SH   DEFINED               1     8,658,791    0       -
COEUR D ALENE MINES CORP     COMMON 192108108   $     273      94,046    SH   DEFINED              14        94,046    0       -
COEUR D ALENE MINES CORP     COMMON 192108108   $      46      15,792    SH   DEFINED              23        15,792    0       -
COEUR D ALENE MINES CORP     COMMON 192108108   $   9,183   3,166,661    SH   DEFINED               4     3,166,661    0       -
COGDELL SPENCER INC          COMMON 19238U107   $      86       5,300    SH   DEFINED              14           -      0     5,300
COGENT COMMUNICATIONS GROUP  COMMON 19239V302   $       2         115    SH   DEFINED              22           -      0       115
COGENT COMMUNICATIONS GROUP  COMMON 19239V302   $      16       1,215    SH   DEFINED              23         1,215    0       -
COGENT INC                   COMMON 19239Y108   $  10,676     938,986    SH   DEFINED               1       938,986    0       -
COGENT INC                   COMMON 19239Y108   $   1,725     151,700    SH   DEFINED              14       151,700    0       -
COGENT INC                   COMMON 19239Y108   $   8,666     762,145    SH   DEFINED               2       762,145    0       -
COGENT INC                   COMMON 19239Y108   $     905      79,580    SH   DEFINED              23        79,580    0       -
COGENT INC                   COMMON 19239Y108   $   1,354     119,100    SH   DEFINED               8       119,100    0       -
COGENT INC                   COMMON 19239Y108   $     371      32,600    SH   DEFINED            8,20        32,600    0       -
COGNEX CORP                  COMMON 192422103   $   1,439      62,448    SH   DEFINED              23        62,448    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $  97,994   3,014,277    SH   DEFINED               1     3,014,277    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $   6,122     188,316    SH   DEFINED               2       105,596    0    82,720
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $   1,851      56,947    SH   DEFINED            20,2        56,947    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $  28,161     866,228    SH   DEFINED              22       319,749    0   546,479
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $   2,593      79,749    SH   DEFINED              23        79,749    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $   2,517      77,407    SH   DEFINED              24        77,407    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $   5,921     182,118    SH   DEFINED               3       182,118    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $   9,468     291,225    SH   DEFINED               5       226,970    0    64,255
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $     136       4,172    SH   DEFINED               7         4,172    0       -
COGNIZANT TECH SOLUTIONS CRP COMMON 192446102   $     129       3,979    SH   DEFINED             8,2         3,979    0       -
COGO GROUP INC               COMMON 192448108   $     828      90,883    SH   DEFINED              23        90,883    0       -
COHERENT INC                 COMMON 192479103   $  12,837     429,484    SH   DEFINED               1       429,484    0       -
COHERENT INC                 COMMON 192479103   $   1,007      33,700    SH   DEFINED              14      26,900      0     6,800
COHERENT INC                 COMMON 192479103   $  10,281     343,957    SH   DEFINED               2     343,957      0       -
COHERENT INC                 COMMON 192479103   $       7         224    SH   DEFINED              22         -        0       224
COHERENT INC                 COMMON 192479103   $   1,493      49,950    SH   DEFINED              23      49,950      0       -
COHERENT INC                 COMMON 192479103   $     158       5,275    SH   DEFINED               5         -        0     5,275
COHERENT INC                 COMMON 192479103   $     161       5,400    SH   DEFINED            5,15       5,400      0       -
COHEN & STEERS INC           COMMON 19247A100   $      15         573    SH   DEFINED              23         573      0       -
COHEN & STEERS QUAL INC
RLTY C                       COMMON 19247L106   $      14         913    SH   DEFINED              22         913      0       -
COHEN & STEERS QUAL INC
RLTY C                       COMMON 19247L106   $      46       3,000    SH   DEFINED               5       1,000      0     2,000
COHEN & STEERS TOT RET
RLTY CF                      COMMON 19247R103   $       8         500    SH   DEFINED              22         -        0       500
COHEN & STEERS REIT UTI
& INC                        COMMON 19247Y108   $      29       1,500    SH   DEFINED              22         -        0     1,500
COHU INC                     COMMON 192576106   $      59       4,000    SH   DEFINED              22         -        0     4,000
COHU INC                     COMMON 192576106   $     244      16,639    SH   DEFINED              23      16,639      0       -
COINSTAR INC                 COMMON 19259P300   $      91       2,793    SH   DEFINED              23       2,793      0       -
COLDWATER CREEK INC          COMMON 193068103   $      72      13,614    SH   DEFINED              23      13,614      0       -
KENNETH COLE PRODUCTIONS
CL A                         COMMON 193294105   $      64       5,024    SH   DEFINED              23       5,024      0       -
COLEMAN CABLE INC            COMMON 193459302   $      33       3,219    SH   DEFINED              23       3,219      0       -
COLEMAN CABLE INC            COMMON 193459302   $       6         540    SH   DEFINED               5         540      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $ 247,399   3,580,303    SH   DEFINED               1   3,580,303      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     712      10,300    SH   DEFINED           10,14      10,300      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     196       2,832    SH   DEFINED              13       2,832      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     196       2,832    SH   DEFINED            13,2       2,832      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $  28,596     413,840    SH   DEFINED              14     290,740      0   100,600
COLGATE-PALMOLIVE CO         COMMON 194162103   $     891      12,900    SH   DEFINED           14,13         -        0    12,900
COLGATE-PALMOLIVE CO         COMMON 194162103   $   2,108      30,500    SH   DEFINED            14,7         -        0    30,500
COLGATE-PALMOLIVE CO         COMMON 194162103   $  16,792     243,014    SH   DEFINED               2     243,014      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     844      12,215    SH   DEFINED              21      12,215      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $  61,139     884,785    SH   DEFINED              22      38,150      0   846,635
COLGATE-PALMOLIVE CO         COMMON 194162103   $   2,355      34,077    SH   DEFINED              23      34,077      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $      25         367    SH   DEFINED              24       367        0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $   4,066      58,838    SH   DEFINED             3,1      58,838      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $   4,573      66,178    SH   DEFINED               5      35,877      0    30,301
COLGATE-PALMOLIVE CO         COMMON 194162103   $   2,004      29,000    SH   DEFINED            5,15      29,000      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     373       5,400    SH   DEFINED               6       5,400      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $   1,302      18,841    SH   DEFINED               7      18,841      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $  14,379     208,086    SH   DEFINED               8     208,086      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $   2,805      40,600    SH   DEFINED            8,14      40,600      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     697      10,088    SH   DEFINED             8,2      10,088      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     567       8,200    SH   DEFINED               9       8,200      0       -
COLGATE-PALMOLIVE CO         COMMON 194162103   $     484       7,000    SH   DEFINED            9,14         -        0     7,000
COLLECTIVE BRANDS INC        COMMON 19421W100   $      12         990    SH   DEFINED              22         -        0       990
COLLECTIVE BRANDS INC        COMMON 19421W100   $     118      10,116    SH   DEFINED              23      10,116      0       -
COLLECTIVE BRANDS INC        COMMON 19421W100   $       2         197    SH   DEFINED              24         197      0       -
COLLECTIVE BRANDS INC        COMMON 19421W100   $       6         480    SH   DEFINED               5         480      0       -
COLONIAL BANCGROUP INC       COMMON 195493309   $       1         200    SH   DEFINED              14         200      0       -
COLONIAL BANCGROUP INC       COMMON 195493309   $   2,765     625,594    SH   DEFINED              23     625,594      0       -
COLONIAL BANCGROUP INC       COMMON 195493309   $       2         492    SH   DEFINED              24         492      0       -
COLONIAL PROPERTIES TRUST    COMMON 195872106   $     643      32,100    SH   DEFINED              14      32,100      0       -
COLONIAL PROPERTIES TRUST    COMMON 195872106   $      12         588    SH   DEFINED              22         -        0       588
COLONIAL PROPERTIES TRUST    COMMON 195872106   $     147       7,341    SH   DEFINED              23       7,341      0       -
COLONIAL PROPERTIES TRUST    COMMON 195872106   $       3         134    SH   DEFINED              24         134      0       -
COLONIAL PROPERTIES TRUST    COMMON 195872106   $       6         309    SH   DEFINED               5         -        0       309
COLUMBIA BANCORP ORE         COMMON 197231103   $       1          87    SH   DEFINED              23          87      0       -
COLUMBIA BANKING SYSTEM INC  COMMON 197236102   $     234      12,118    SH   DEFINED              23      12,118      0       -
COLUMBIA BANKING SYSTEM INC  COMMON 197236102   $     133       6,860    SH   DEFINED               5       1,660      0     5,200
COLUMBIA LABORATORIES INC    COMMON 197779101   $     189      57,300    SH   DEFINED              14      28,800      0    28,500
COLUMBIA LABORATORIES INC    COMMON 197779101   $       1         449    SH   DEFINED              23         449      0       -
COLUMBIA LABORATORIES INC    COMMON 197779101   $      29       8,800    SH   DEFINED            5,15       8,800      0       -
COLUMBIA SPORTSWEAR CO       COMMON 198516106   $  31,542     858,282    SH   DEFINED             1,3     858,282      0       -
COLUMBIA SPORTSWEAR CO       COMMON 198516106   $     768      20,900    SH   DEFINED            18,3      20,900      0       -
COLUMBIA SPORTSWEAR CO       COMMON 198516106   $      61       1,666    SH   DEFINED              23       1,666      0       -
COLUMBIA SPORTSWEAR CO       COMMON 198516106   $  14,448     393,134    SH   DEFINED               3     393,134      0       -
COLUMBUS MCKINNON CORP/NY    COMMON 199333105   $   1,296      53,800    SH   DEFINED              14      38,700      0    15,100
COLUMBUS MCKINNON CORP/NY    COMMON 199333105   $     596      24,756    SH   DEFINED              23      24,756      0       -
COLUMBUS MCKINNON CORP/NY    COMMON 199333105   $     113       4,700    SH   DEFINED            5,15       4,700      0       -
COLUMBUS MCKINNON CORP/NY    COMMON 199333105   $     397      16,500    SH   DEFINED               8      16,500      0       -
COLUMBUS MCKINNON CORP/NY    COMMON 199333105   $     108       4,500    SH   DEFINED            8,20       4,500      0       -
COMFORT SYSTEMS USA INC      COMMON 199908104   $  10,177     757,200    SH   DEFINED              14     549,300      0   207,900
COMFORT SYSTEMS USA INC      COMMON 199908104   $     910      67,673    SH   DEFINED              23      67,673      0       -
COMFORT SYSTEMS USA INC      COMMON 199908104   $   1,568     116,700    SH   DEFINED            5,15     116,700      0       -
COMFORT SYSTEMS USA INC      COMMON 199908104   $     555      41,300    SH   DEFINED               8      41,300      0       -
COMFORT SYSTEMS USA INC      COMMON 199908104   $     152      11,300    SH   DEFINED            8,20      11,300      0       -
COMBINATORX INC              COMMON 20010A103   $       1         305    SH   DEFINED              23         305      0       -
COMCAST CORP CL A            COMMON 20030N101   $ 174,882   9,218,873    SH   DEFINED               1   9,218,873      0       -
COMCAST CORP CL A            COMMON 20030N101   $   1,663      87,664    SH   DEFINED            13,2         -        0    87,664
COMCAST CORP CL A            COMMON 20030N101   $     232      12,210    SH   DEFINED              14       7,010      0     1,400
COMCAST CORP CL A            COMMON 20030N101   $  14,492     763,935    SH   DEFINED              22     292,273      0   471,662
COMCAST CORP CL A            COMMON 20030N101   $   6,877     362,536    SH   DEFINED              23     362,536      0       -
COMCAST CORP CL A            COMMON 20030N101   $   7,492     394,938    SH   DEFINED              24     394,938      0       -
COMCAST CORP CL A            COMMON 20030N101   $ 159,442   8,404,950    SH   DEFINED               3   8,404,950      0       -
COMCAST CORP CL A            COMMON 20030N101   $     574      30,246    SH   DEFINED             3,1      30,246      0       -
COMCAST CORP CL A            COMMON 20030N101   $       3         138    SH   DEFINED               4         138      0       -
COMCAST CORP CL A            COMMON 20030N101   $   6,639     349,999    SH   DEFINED               5     319,199      0    30,800
COMCAST CORP CL A            COMMON 20030N101   $     628      33,114    SH   DEFINED               7      33,114      0       -
COMCAST CORP  SPECIAL CL A   COMMON 20030N200   $   3,088     164,599    SH   DEFINED              22      17,711      0   146,888
COMCAST CORP  SPECIAL CL A   COMMON 20030N200   $   1,298      69,183    SH   DEFINED              23      69,183      0       -
COMCAST CORP  SPECIAL CL A   COMMON 20030N200   $      29       1,554    SH   DEFINED              24       1,554      0       -
COMCAST CORP  SPECIAL CL A   COMMON 20030N200   $   1,625      86,625    SH   DEFINED               5      21,103      0    65,522
COMCAST CORP  SPECIAL CL A   COMMON 20030N200   $     235      12,527    SH   DEFINED               7      12,527      0       -
COMCAST CORP  SPECIAL CL A   COMMON 20030N200   $   1,733      92,365    SH   DEFINED               8      92,365      0       -
COMERICA INC                 COMMON 200340107   $   4,097     159,867    SH   DEFINED              23     159,867      0       -
COMERICA INC                 COMMON 200340107   $      13         502    SH   DEFINED              24         502      0       -
COMERICA INC                 COMMON 200340107   $      32       1,231    SH   DEFINED               5         150      0     1,081
COMERICA INC                 COMMON 200340107   $     261      10,172    SH   DEFINED               7      10,172      0       -
COMERICA INC                 COMMON 200340107   $     579      22,600    SH   DEFINED               8      22,600      0       -
COMMERCE BANCSHARES INC      COMMON 200525103   $   4,957     124,989    SH   DEFINED               1     124,989      0       -
COMMERCE BANCSHARES INC      COMMON 200525103   $   2,934      73,976    SH   DEFINED               2      28,976      0    45,000
COMMERCE BANCSHARES INC      COMMON 200525103   $      88       2,216    SH   DEFINED              22         -        0     2,216
COMMERCE BANCSHARES INC      COMMON 200525103   $   3,955      99,731    SH   DEFINED              23      99,731      0       -
COMMERCE BANCSHARES INC      COMMON 200525103   $       4          91    SH   DEFINED              24          91      0       -
COMMERCIAL METALS CO             COMMON   201723103   $     576      15,287   SH   DEFINED          23      15,287     0         -
COMMERCIAL METALS CO             COMMON   201723103   $       7         180   SH   DEFINED          24         180     0         -
COMMERCIAL METALS CO             COMMON   201723103   $     479      12,700   SH   DEFINED           5         -       0      12,700
COMMERCIAL VEHICLE GROUP INC     COMMON   202608105   $     208      22,260   SH   DEFINED          23      22,260     0         -
COMMSCOPE INC                    COMMON   203372107   $  10,866     205,917   SH   DEFINED           1     205,917     0         -
COMMSCOPE INC                    COMMON   203372107   $   1,108      21,000   SH   DEFINED          17      21,000     0         -
COMMSCOPE INC                    COMMON   203372107   $   2,516      47,684   SH   DEFINED        20,2      47,684     0         -
COMMSCOPE INC                    COMMON   203372107   $     377       7,141   SH   DEFINED          23       7,141     0         -
COMMSCOPE INC                    COMMON   203372107   $     146       2,775   SH   DEFINED           5         700     0       2,075
COMMUNITY BANCORP                COMMON   20343T100       $ -            90   SH   DEFINED          23          90     0         -
COMMUNITY BANK SYSTEM INC        COMMON   203607106   $   4,561     221,200   SH   DEFINED          14     163,000     0      58,200
COMMUNITY BANK SYSTEM INC        COMMON   203607106   $   3,666     177,790   SH   DEFINED          23     177,790     0         -
COMMUNITY BANK SYSTEM INC        COMMON   203607106   $     790      38,300   SH   DEFINED        5,15      38,300     0         -
COMMUNITY HEALTH SYSTEMS         COMMON   203668108   $     466      14,141   SH   DEFINED          23      14,141     0         -
COMMUNITY HEALTH SYSTEMS         COMMON   203668108   $       6         181   SH   DEFINED          24         181     0         -
COMMUNITY TRUST BANCORP INC      COMMON   204149108   $   5,192     197,717   SH   DEFINED           1     197,717     0         -
COMMUNITY TRUST BANCORP INC      COMMON   204149108   $   1,541      58,700   SH   DEFINED          14      44,400     0      14,300
COMMUNITY TRUST BANCORP INC      COMMON   204149108   $   2,139      81,438   SH   DEFINED           2      10,000     0      71,438
COMMUNITY TRUST BANCORP INC      COMMON   204149108   $   3,106     118,273   SH   DEFINED          23     118,273     0         -
COMMUNITY TRUST BANCORP INC      COMMON   204149108   $     286      10,900   SH   DEFINED        5,15      10,900     0         -
COMMVAULT SYSTEMS INC            COMMON   204166102   $   2,265     136,100   SH   DEFINED           3     136,100     0         -
COMPAGNIE GENERAL DE
GEOPHYSIQ                        COMMON   204386106   $  70,815   1,500,000   SH   DEFINED           1   1,500,000     0         -
COMPAGNIE GENERAL DE
GEOPHYSIQ                        COMMON   204386106   $  11,330     240,000   SH   DEFINED        13,2         -       0     240,000
COMPAGNIE GENERAL DE
GEOPHYSIQ                        COMMON   204386106   $       5         100   SH   DEFINED           5         -       0         100
COMPANHIA ENERGETICA
DE MINAS                         COMMON   204409601   $   1,180      48,053   SH   DEFINED        1,12      48,053     0         -
COMPANHIA ENERGETICA
DE MINAS                         COMMON   204409601   $   3,963     161,431   SH   DEFINED          11      34,719     0     126,712
COMPANHIA ENERGETICA
DE MINAS                         COMMON   204409601   $   3,276     133,454   SH   DEFINED          14     133,454     0         -
COMPANHIA ENERGETICA
DE MINAS                         COMMON   204409601   $   2,679     109,115   SH   DEFINED          23     109,115     0         -
COMPANHIA ENERGETICA
DE MINAS                         COMMON   204409601   $   8,686     353,829   SH   DEFINED        5,12     353,829     0         -
COMPANHIA BRASILEIRA
DE DISTRB                        COMMON   20440T201   $     488      11,499   SH   DEFINED          23      11,499     0         -
COMPANHIA SIDERURGICA
NACIONAL                         COMMON   20440W105   $   1,874      42,193   SH   DEFINED          23      42,193     0         -
COMPANHIA SIDERURGICA
NACIONAL                         COMMON   20440W105   $      10         222   SH   DEFINED           5         222     0         -
COMPANHIA VALE DO RIO DOCE
ADR                              COMMON   204412100   $     149       5,000   SH   DEFINED          22       5,000     0         -
COMPANHIA VALE DO RIO DOCE
ADR                              COMMON   204412100   $   1,388      46,501   SH   DEFINED          23      46,501     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $  67,549   1,885,797   SH   DEFINED           1   1,885,797     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   1,035      28,895   SH   DEFINED        1,12      28,895     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   3,493      97,520   SH   DEFINED          11      21,820     0      75,700
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   1,651      46,100   SH   DEFINED       11,13      46,100     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   2,962      82,700   SH   DEFINED          14      82,700     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   2,859      79,814   SH   DEFINED           2      79,814     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $     232       6,484   SH   DEFINED          22       1,376     0       5,108
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   2,213      61,775   SH   DEFINED          23      61,775     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   1,028      28,700   SH   DEFINED           5      22,600     0       6,100
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   7,852     219,200   SH   DEFINED        5,12     219,200     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $  76,323   2,130,725   SH   DEFINED           8   2,130,725     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   3,129      87,350   SH   DEFINED        8,14      87,350     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $     119       3,313   SH   DEFINED         8,2       3,313     0         -
CIA VALE DO RIO DOCE-ADR         COMMON   204412209   $   5,873     163,950   SH   DEFINED        8,20     163,950     0         -
CIA SANEAMENTO BASICO DE-ADR     COMMON   20441A102   $  29,518     576,977   SH   DEFINED          23     576,977     0         -
COMPANHIA PARANAENSE ENERG
COP                              COMMON   20441B407   $     663      32,689   SH   DEFINED          23      32,689     0         -
COMPANHIA DE BEBIDAS-CM ADR      COMMON   20441W104   $  13,841     232,703   SH   DEFINED           1     232,703     0         -
COMPANHIA DE BEBIDAS-CM ADR      COMMON   20441W104   $     802      13,486   SH   DEFINED        13,2         -       0      13,486
COMPANHIA DE BEBIDAS ADR         COMMON   20441W203   $     406       6,414   SH   DEFINED          23       6,414     0         -
COMPANIA DE MINAS BUENAVENTURA   COMMON   204448104   $   1,658      25,357   SH   DEFINED          23      25,357     0         -
COMPANIA DE TELECOMUNICS CHILE   COMMON   204449300   $     138      23,907   SH   DEFINED          23      23,907     0         -
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $   7,025      87,208   SH   DEFINED           1      87,208     0         -
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $     878      10,900   SH   DEFINED          14       5,500     0       5,400
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $   4,072      50,548   SH   DEFINED           2      19,884     0      30,664
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $   1,401      17,394   SH   DEFINED          22         910     0      16,484
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $   8,881     110,245   SH   DEFINED          23     110,245     0         -
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $     239       2,972   SH   DEFINED          24       2,972     0         -
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $   2,090      25,940   SH   DEFINED           5      13,610     0      12,330
COMPASS MINERALS INTERNATIONAL   COMMON   20451N101   $     137       1,700   SH   DEFINED        5,15       1,700     0         -
COMPASS DIVERSIFIED HOLDINGS     COMMON   20451Q104   $   2,224     194,603   SH   DEFINED          23     194,603     0         -
COMPASS DIVERSIFIED HOLDINGS     COMMON   20451Q104   $      15       1,300   SH   DEFINED          24       1,300     0         -
COMPASS DIVERSIFIED HOLDINGS     COMMON   20451Q104   $   1,580     138,200   SH   DEFINED           5     138,200     0         -
COMPLETE PRODUCTION SERVICES     COMMON   20453E109   $   9,381     257,567   SH   DEFINED           1     257,567     0         -
COMPLETE PRODUCTION SERVICES     COMMON   20453E109   $   5,441     149,395   SH   DEFINED           2      58,679     0      90,716
COMPLETE PRODUCTION SERVICES     COMMON   20453E109   $  15,256     418,893   SH   DEFINED          23     418,893     0         -
COMPLETE PRODUCTION SERVICES     COMMON   20453E109   $      36       1,000   SH   DEFINED           5         -       0       1,000
COMPOSITE TECHNOLOGY CORPORA     COMMON   20461S108   $      36      33,299   SH   DEFINED          23      33,299     0         -
COMPUCREDIT CORP                 COMMON   20478N100   $      39       6,482   SH   DEFINED          23       6,482     0         -
COMPUCREDIT CORP                 COMMON   20478N100   $       1         118   SH   DEFINED          24         118     0         -
COMPTON PETROLEUM                COMMON   204940100   $      17       1,343   SH   DEFINED          23       1,343     0         -
COMPUTER PROGRAMS & SYSTEMS      COMMON   205306103   $       2         101   SH   DEFINED          22         -       0         101
COMPUTER PROGRAMS & SYSTEMS      COMMON   205306103   $       1          47   SH   DEFINED          23          47     0         -
COMPUTER SCIENCES CORP           COMMON   205363104   $   1,230      26,250   SH   DEFINED          14      12,450     0      12,900
COMPUTER SCIENCES CORP           COMMON   205363104   $     426       9,100   SH   DEFINED        14,7         -       0       9,100
COMPUTER SCIENCES CORP           COMMON   205363104   $       7         150   SH   DEFINED          22         -       0         150
COMPUTER SCIENCES CORP           COMMON   205363104   $  10,186     217,469   SH   DEFINED          23     217,469     0         -
COMPUTER SCIENCES CORP           COMMON   205363104   $      24         503   SH   DEFINED          24         503     0         -
COMPUTER SCIENCES CORP           COMMON   205363104   $     714      15,250   SH   DEFINED           5         150     0      15,100
COMPUTER SCIENCES CORP           COMMON   205363104   $     186       3,973   SH   DEFINED           7       3,973     0         -
COMPUWARE CORP                   COMMON   205638109   $     714      74,800   SH   DEFINED       10,14      74,800     0         -
COMPUWARE CORP                   COMMON   205638109   $      16       1,700   SH   DEFINED          13       1,700     0         -
COMPUWARE CORP                   COMMON   205638109   $  43,119   4,519,800   SH   DEFINED          14   2,476,000     0   1,955,900
COMPUWARE CORP                   COMMON   205638109   $     426      44,700   SH   DEFINED       14,13         -       0      44,700
COMPUWARE CORP                   COMMON   205638109   $   1,824     191,200   SH   DEFINED        14,7         -       0     191,200
COMPUWARE CORP                   COMMON   205638109   $      16       1,700   SH   DEFINED       20,14         -       0         -
COMPUWARE CORP                   COMMON   205638109   $       1         140   SH   DEFINED          22         -       0         140
COMPUWARE CORP                   COMMON   205638109   $   3,000     314,418   SH   DEFINED          23     314,418     0         -
COMPUWARE CORP                   COMMON   205638109   $       3         305   SH   DEFINED          24         305     0         -
COMPUWARE CORP                   COMMON   205638109   $       5         499   SH   DEFINED           5         -       0         499
COMPUWARE CORP                   COMMON   205638109   $     942      98,700   SH   DEFINED        5,15      98,700     0         -
COMPUWARE CORP                   COMMON   205638109   $     401      42,011   SH   DEFINED           7      42,011     0         -
COMPUWARE CORP                   COMMON   205638109   $     543      56,968   SH   DEFINED           8      56,968     0         -
COMPUWARE CORP                   COMMON   205638109   $   3,063     321,100   SH   DEFINED        8,14     321,100     0         -
COMPUWARE CORP                   COMMON   205638109   $     229      24,000   SH   DEFINED        9,14         -       0      24,000
COMPX INTERNATIONAL INC          COMMON   20563P101   $      10       1,715   SH   DEFINED          23       1,715     0         -
COMSCORE INC                     COMMON   20564W105   $     196       8,990   SH   DEFINED          23       8,990     0         -
COMSTOCK RESOURCES INC       COMMON 205768203   $  10,877     128,823    SH   DEFINED               1     128,823      0         -
COMSTOCK RESOURCES INC       COMMON 205768203   $   2,524      29,900    SH   DEFINED              14      15,100      0      14,800
COMSTOCK RESOURCES INC       COMMON 205768203   $   6,324      74,907    SH   DEFINED               2      29,319      0      45,588
COMSTOCK RESOURCES INC       COMMON 205768203   $   6,736      79,782    SH   DEFINED              23      79,782      0         -
COMSTOCK RESOURCES INC       COMMON 205768203   $     388       4,600    SH   DEFINED            5,15       4,600      0         -
COMSYS IT PARTNERS INC       COMMON 20581E104   $   1,650     180,900    SH   DEFINED              14     120,200      0      60,700
COMSYS IT PARTNERS INC       COMMON 20581E104   $      21       2,258    SH   DEFINED              23       2,258      0         -
COMSYS IT PARTNERS INC       COMMON 20581E104   $     269      29,500    SH   DEFINED            5,15      29,500      0         -
COMTECH TELECOMMUNICATIONS   COMMON 205826209   $   7,008     143,018    SH   DEFINED               1     143,018      0         -
COMTECH TELECOMMUNICATIONS   COMMON 205826209   $      39         800    SH   DEFINED              14         800      0         -
COMTECH TELECOMMUNICATIONS   COMMON 205826209   $   4,057      82,797    SH   DEFINED               2      32,590      0      50,207
COMTECH TELECOMMUNICATIONS   COMMON 205826209   $   2,767      56,476    SH   DEFINED              23      56,476      0         -
COMVERGE INC                 COMMON 205859101   $  29,542   2,113,192    SH   DEFINED              23   2,113,192      0         -
COMVERGE INC                 COMMON 205859101   $      41       2,967    SH   DEFINED              24       2,967      0         -
CONAGRA FOODS INC            COMMON 205887102   $     986      51,140    SH   DEFINED              14      14,740      0      34,700
CONAGRA FOODS INC            COMMON 205887102   $     141       7,300    SH   DEFINED            14,7         -        0       7,300
CONAGRA FOODS INC            COMMON 205887102   $     112       5,800    SH   DEFINED              22         -        0       5,800
CONAGRA FOODS INC            COMMON 205887102   $   8,527     442,267    SH   DEFINED              23     442,267      0         -
CONAGRA FOODS INC            COMMON 205887102   $     216      11,192    SH   DEFINED              24      11,192      0         -
CONAGRA FOODS INC            COMMON 205887102   $      34       1,768    SH   DEFINED               5       1,000      0         768
CONAGRA FOODS INC            COMMON 205887102   $     186       9,635    SH   DEFINED               7       9,635      0         -
CONAGRA FOODS INC            COMMON 205887102   $      93       4,839    SH   DEFINED               8       4,839      0         -
CON-WAY INC                  COMMON 205944101   $  38,814     821,290    SH   DEFINED               1     821,290      0         -
CON-WAY INC                  COMMON 205944101   $  30,733     650,300    SH   DEFINED             1,3     650,300      0         -
CON-WAY INC                  COMMON 205944101   $     156       3,300    SH   DEFINED              13       3,300      0         -
CON-WAY INC                  COMMON 205944101   $     137       2,900    SH   DEFINED            13,3       2,900      0         -
CON-WAY INC                  COMMON 205944101   $     610      12,900    SH   DEFINED            18,3      12,900      0         -
CON-WAY INC                  COMMON 205944101   $   2,623      55,511    SH   DEFINED               2       6,170      0      49,341
CON-WAY INC                  COMMON 205944101   $     915      19,365    SH   DEFINED              23      19,365      0         -
CON-WAY INC                  COMMON 205944101   $       4          93    SH   DEFINED              24          93      0         -
CON-WAY INC                  COMMON 205944101   $  54,401   1,151,100    SH   DEFINED               3   1,151,100      0         -
CON-WAY INC                  COMMON 205944101   $      41         860    SH   DEFINED               5         560      0         300
CONCEPTUS INC                COMMON 206016107   $       9         500    SH   DEFINED              22         -        0         500
CONCEPTUS INC                COMMON 206016107   $       5         256    SH   DEFINED              23         256      0         -
CONCEPTUS INC                COMMON 206016107   $       2         100    SH   DEFINED               5         100      0         -
CONCHO RESOURCES INC         COMMON 20605P101   $     377      10,100    SH   DEFINED              14      10,100      0         -
CONCHO RESOURCES INC         COMMON 20605P101   $       7         190    SH   DEFINED              22         -        0         190
CONCUR TECHNOLOGIES INC      COMMON 206708109   $     588      17,690    SH   DEFINED              23      17,690      0         -
CONMED CORP                  COMMON 207410101   $   1,200      45,200    SH   DEFINED              14      32,700      0      12,500
CONMED CORP                  COMMON 207410101   $   2,196      82,706    SH   DEFINED              23      82,706      0         -
CONMED CORP                  COMMON 207410101   $     104       3,900    SH   DEFINED            5,15       3,900      0         -
CONMED CORP                  COMMON 207410101   $      56       2,100    SH   DEFINED               8       2,100      0         -
CONMED CORP                  COMMON 207410101   $      16         600    SH   DEFINED            8,20         600      0         -
CONNECTICUT WATER SVC INC    COMMON 207797101   $       2          73    SH   DEFINED              23          73      0         -
CONN INC                     COMMON 208242107   $      88       5,483    SH   DEFINED              23       5,483      0         -
CONOCOPHILLIPS               COMMON 20825C104   $  60,844     644,600    SH   DEFINED               1     644,600      0         -
CONOCOPHILLIPS               COMMON 20825C104   $  12,063     127,800    SH   DEFINED            1,15     127,800      0         -
CONOCOPHILLIPS               COMMON 20825C104   $   7,129      75,526    SH   DEFINED             1,9      75,526      0         -
CONOCOPHILLIPS               COMMON 20825C104   $   4,087      43,300    SH   DEFINED           10,14      43,300      0         -
CONOCOPHILLIPS               COMMON 20825C104   $  48,641     515,323    SH   DEFINED              11     149,423      0     365,900
CONOCOPHILLIPS               COMMON 20825C104   $   9,156      97,000    SH   DEFINED            13,2         -        0      97,000
CONOCOPHILLIPS               COMMON 20825C104   $ 211,850   2,244,412    SH   DEFINED              14   1,616,612      0     535,700
CONOCOPHILLIPS               COMMON 20825C104   $   5,106      54,100    SH   DEFINED           14,13         -        0      54,100
CONOCOPHILLIPS               COMMON 20825C104   $  18,283     193,700    SH   DEFINED            14,7         -        0     193,700
CONOCOPHILLIPS               COMMON 20825C104   $      57         600    SH   DEFINED           18,11         600      0         -
CONOCOPHILLIPS               COMMON 20825C104   $   1,274      13,500    SH   DEFINED           18,14         -        0      13,500
CONOCOPHILLIPS               COMMON 20825C104   $   5,531      58,600    SH   DEFINED           19,14      33,900      0      24,700
CONOCOPHILLIPS               COMMON 20825C104   $   1,633      17,300    SH   DEFINED           20,14         -        0         -
CONOCOPHILLIPS               COMMON 20825C104   $  10,068     106,663    SH   DEFINED              22       9,709      0      96,954
CONOCOPHILLIPS               COMMON 20825C104   $  33,543     355,366    SH   DEFINED              23     355,366      0         -
CONOCOPHILLIPS               COMMON 20825C104   $     278       2,944    SH   DEFINED              24       2,944      0         -
CONOCOPHILLIPS               COMMON 20825C104   $   4,321      45,780    SH   DEFINED               5      33,776      0      12,004
CONOCOPHILLIPS               COMMON 20825C104   $  11,506     121,900    SH   DEFINED            5,15     121,900      0         -
CONOCOPHILLIPS               COMMON 20825C104   $   7,857      83,238    SH   DEFINED               7      83,238      0         -
CONOCOPHILLIPS               COMMON 20825C104   $   9,989     105,826    SH   DEFINED               8     105,826      0         -
CONOCOPHILLIPS               COMMON 20825C104   $  28,402     300,900    SH   DEFINED            8,14     257,400      0      43,500
CONOCOPHILLIPS               COMMON 20825C104   $   2,775      29,400    SH   DEFINED            9,14         -        0      29,400
CONSECO INC                  COMMON 208464107   $       1      50,000    SH   DEFINED              22         -        0      50,000
CONSECO INC                  COMMON 208464883   $     417      42,053    SH   DEFINED              23      42,053      0         -
CONSECO INC                  COMMON 208464883   $       8         833    SH   DEFINED              24         833      0         -
CONSECO INC                  COMMON 208464883   $       1         120    SH   DEFINED               4         120      0         -
CONSECO INC                  COMMON 208464883   $       2         225    SH   DEFINED               5         -        0         225
CONSOL ENERGY INC            COMMON 20854P109   $  68,325     608,036    SH   DEFINED               1     608,036      0         -
CONSOL ENERGY INC            COMMON 20854P109   $   5,005      44,537    SH   DEFINED               2      44,537      0         -
CONSOL ENERGY INC            COMMON 20854P109   $     554       4,930    SH   DEFINED              23       4,930      0         -
CONSOL ENERGY INC            COMMON 20854P109   $       6          55    SH   DEFINED              24          55      0         -
CONSOL ENERGY INC            COMMON 20854P109   $      22         196    SH   DEFINED               5         -        0         196
CONSOL ENERGY INC            COMMON 20854P109   $     309       2,749    SH   DEFINED               7       2,749      0         -
CONSOL ENERGY INC            COMMON 20854P109   $     215       1,911    SH   DEFINED             8,2       1,911      0         -
CONSOLIDATED COMMUNICATIONS  COMMON 209034107   $      54       3,632    SH   DEFINED              23       3,632      0         -
CONSOLIDATED EDISON INC      COMMON 209115104   $     759      19,429    SH   DEFINED              22         -        0      19,429
CONSOLIDATED EDISON INC      COMMON 209115104   $   5,204     133,126    SH   DEFINED              23     133,126      0         -
CONSOLIDATED EDISON INC      COMMON 209115104   $      29         748    SH   DEFINED              24         748      0         -
CONSOLIDATED EDISON INC      COMMON 209115104   $      59       1,500    SH   DEFINED               5       1,300      0         200
CONSOLIDATED EDISON INC      COMMON 209115104   $     314       8,039    SH   DEFINED               7       8,039      0         -
CONSOLIDATED GRAPHICS INC    COMMON 209341106   $     110       2,225    SH   DEFINED              23       2,225      0         -
CONSOLIDATED GRAPHICS INC    COMMON 209341106   $      88       1,790    SH   DEFINED               5         465      0       1,325
CONSTANT CONTACT INC         COMMON 210313102   $      13         710    SH   DEFINED              23         710      0         -
CONSTELLATION BRANDS INC
CL A                         COMMON 21036P108   $      60       3,000    SH   DEFINED              22         -        0       3,000
CONSTELLATION BRANDS INC
CL A                         COMMON 21036P108   $     587      29,554    SH   DEFINED              23      29,554      0         -
CONSTELLATION BRANDS INC
CL A                         COMMON 21036P108   $      10         506    SH   DEFINED              24         506      0         -
CONSTELLATION BRANDS INC
CL A                         COMMON 21036P108   $      85       4,275    SH   DEFINED               7       4,275      0         -
CONSTAR INTL INC (COMPLIANCE)COMMON 21036U107   $      53      25,129    SH   DEFINED              23      25,129      0         -
CONSTELLATION ENERGY GROUP   COMMON 210371100   $  15,517     189,000    SH   DEFINED               1     189,000      0         -
CONSTELLATION ENERGY GROUP   COMMON 210371100   $  31,312     381,388    SH   DEFINED              22     116,582      0     264,806
CONSTELLATION ENERGY GROUP   COMMON 210371100   $   1,937      23,594    SH   DEFINED              23      23,594      0         -
CONSTELLATION ENERGY GROUP   COMMON 210371100   $      19         235    SH   DEFINED              24         235      0         -
CONSTELLATION ENERGY GROUP   COMMON 210371100   $  18,927     230,538    SH   DEFINED               5     206,046      0      24,492
CONSTELLATION ENERGY GROUP   COMMON 210371100   $     266       3,241    SH   DEFINED               7       3,241      0         -
CONSTELLATION ENERGY GROUP   COMMON 210371100   $  11,363     138,399    SH   DEFINED               8     138,399      0         -
CONSTELLATION ENERGY
PARTNER                      COMMON 21038E101   $      247      12,198   SH   DEFINED             23       12,198    0          -
CONSUMER PORTFOLIO SERVICES  COMMON 210502100   $       25       8,767   SH   DEFINED             23        8,767    0          -
CONTINENTAL AIRLINES CL B    COMMON 210795308   $   15,762   1,559,080   SH   DEFINED             14      815,480    0      731,500
CONTINENTAL AIRLINES CL B    COMMON 210795308   $      938      92,800   SH   DEFINED           14,7          -      0       92,800
CONTINENTAL AIRLINES CL B    COMMON 210795308   $      191      18,908   SH   DEFINED             23       18,908    0          -
CONTINENTAL AIRLINES CL B    COMMON 210795308   $        4         402   SH   DEFINED             24          402    0          -
CONTINENTAL AIRLINES CL B    COMMON 210795308   $      103      10,171   SH   DEFINED              5        2,510    0        7,661
CONTINENTAL AIRLINES CL B    COMMON 210795308   $       34       3,400   SH   DEFINED           5,15        3,400    0          -
CONVERA CORPORATION          COMMON 211919105   $      293     206,563   SH   DEFINED             22          -      0      206,563
CONVERA CORPORATION          COMMON 211919105        $ -           349   SH   DEFINED             23          349    0          -
CONTINENTAL RESOURCES INC    COMMON 212015101   $   70,706   1,020,000   SH   DEFINED              1    1,020,000    0          -
CONTINENTAL RESOURCES INC    COMMON 212015101   $   11,576     167,000   SH   DEFINED           13,2          -      0      167,000
CONTINENTAL RESOURCES INC    COMMON 212015101   $      261       3,759   SH   DEFINED             23        3,759    0          -
CONVERGYS CORP               COMMON 212485106   $    1,456      97,957   SH   DEFINED             23       97,957    0          -
CONVERGYS CORP               COMMON 212485106   $        5         303   SH   DEFINED             24          303    0          -
THE COOPER COMPANIES INC     COMMON 216648402   $   15,875     427,324   SH   DEFINED            1,3      427,324    0          -
THE COOPER COMPANIES INC     COMMON 216648402   $    1,364      36,725   SH   DEFINED             14       36,300    0          425
THE COOPER COMPANIES INC     COMMON 216648402   $      401      10,800   SH   DEFINED           18,3       10,800    0          -
THE COOPER COMPANIES INC     COMMON 216648402   $      190       5,106   SH   DEFINED             23        5,106    0          -
THE COOPER COMPANIES INC     COMMON 216648402   $   73,720   1,984,388   SH   DEFINED              3    1,984,388    0          -
THE COOPER COMPANIES INC     COMMON 216648402   $      944      25,400   SH   DEFINED              8       25,400    0          -
THE COOPER COMPANIES INC     COMMON 216648402   $      260       7,000   SH   DEFINED           8,20        7,000    0          -
COOPER TIRE & RUBBER         COMMON 216831107   $      919     117,200   SH   DEFINED             14      117,200    0          -
COOPER TIRE & RUBBER         COMMON 216831107   $      155      19,716   SH   DEFINED             23       19,716    0          -
COOPER TIRE & RUBBER         COMMON 216831107   $        1         148   SH   DEFINED             24          148    0          -
COOPER TIRE & RUBBER         COMMON 216831107   $      194      24,700   SH   DEFINED           5,15       24,700    0          -
COPANO ENERGY LLC-UNITS      COMMON 217202100   $      169       5,000   SH   DEFINED             22          -      0        5,000
COPANO ENERGY LLC-UNITS      COMMON 217202100   $       91       2,689   SH   DEFINED             23        2,689    0          -
COPANO ENERGY LLC-UNITS      COMMON 217202100   $    9,713     287,803   SH   DEFINED              5      285,193    0        2,610
COPART INC                   COMMON 217204106   $       16         378   SH   DEFINED             22          -      0          378
COPART INC                   COMMON 217204106   $      198       4,625   SH   DEFINED             23        4,625    0          -
CORE-MARK HOLDING CO INC     COMMON 218681104   $      338      12,919   SH   DEFINED             23       12,919    0          -
CORE-MARK HOLDING CO INC     COMMON 218681104   $        3          99   SH   DEFINED             24           99    0          -
COREL CORP                   COMMON 21869X103   $        1          64   SH   DEFINED             23           64    0          -
CORINTHIAN COLLEGES INC      COMMON 218868107   $      408      35,175   SH   DEFINED             23       35,175    0          -
CORN PRODUCTS INTL INC       COMMON 219023108   $       19         380   SH   DEFINED             14          380    0          -
CORN PRODUCTS INTL INC       COMMON 219023108   $      190       3,866   SH   DEFINED             22        1,200    0        2,666
CORN PRODUCTS INTL INC       COMMON 219023108   $      571      11,618   SH   DEFINED             23       11,618    0          -
CORN PRODUCTS INTL INC       COMMON 219023108   $        4          88   SH   DEFINED             24           88    0          -
CORN PRODUCTS INTL INC       COMMON 219023108   $       37         759   SH   DEFINED              5          582    0          177
CORNELL COMPANIES INC        COMMON 219141108   $      473      19,602   SH   DEFINED             23       19,602    0          -
CORNING INC                  COMMON 219350105   $   17,121     742,779   SH   DEFINED              1      742,779    0          -
CORNING INC                  COMMON 219350105   $       18         800   SH   DEFINED             13          800    0          -
CORNING INC                  COMMON 219350105   $    3,022     131,100   SH   DEFINED             14       79,400    0       42,800
CORNING INC                  COMMON 219350105   $    1,023      44,400   SH   DEFINED           14,7          -      0       44,400
CORNING INC                  COMMON 219350105   $    1,337      58,000   SH   DEFINED             17       58,000    0          -
CORNING INC                  COMMON 219350105   $       18         800   SH   DEFINED          20,14          -      0          -
CORNING INC                  COMMON 219350105   $    3,488     151,338   SH   DEFINED           20,2      151,338    0          -
CORNING INC                  COMMON 219350105   $   25,701   1,115,001   SH   DEFINED             22      197,802    0      917,199
CORNING INC                  COMMON 219350105   $   41,530   1,801,716   SH   DEFINED             23    1,801,716    0          -
CORNING INC                  COMMON 219350105   $      937      40,659   SH   DEFINED             24       40,659    0          -
CORNING INC                  COMMON 219350105   $   45,017   1,953,000   SH   DEFINED              3    1,953,000    0          -
CORNING INC                  COMMON 219350105   $   10,686     463,581   SH   DEFINED              5      361,515    0      102,066
CORNING INC                  COMMON 219350105   $      547      23,712   SH   DEFINED              7       23,712    0          -
CORNING INC                  COMMON 219350105   $   20,953     909,023   SH   DEFINED              8      909,023    0          -
CORPORATE EXECUTIVE BOARD
CO                           COMMON 21988R102   $        8         200   SH   DEFINED             22          -      0          200
CORPORATE EXECUTIVE BOARD
CO                           COMMON 21988R102   $      343       8,166   SH   DEFINED             23        8,166    0          -
CORPORATE OFFICE PROPERTIES  COMMON 22002T108   $    1,256      36,600   SH   DEFINED             14       36,600    0          -
CORPORATE OFFICE PROPERTIES  COMMON 22002T108   $      191       5,556   SH   DEFINED             23        5,556    0          -
CORPORATE OFFICE PROPERTIES  COMMON 22002T108   $      182       5,300   SH   DEFINED              5          -      0        5,300
CORRECTIONS CORP OF AMERICA  COMMON 22025Y407   $   61,677   2,245,235   SH   DEFINED              1    2,245,235    0          -
CORRECTIONS CORP OF AMERICA  COMMON 22025Y407   $    3,926     142,923   SH   DEFINED              2       11,733    0      131,190
CORRECTIONS CORP OF AMERICA  COMMON 22025Y407   $       27       1,000   SH   DEFINED             22        1,000    0          -
CORRECTIONS CORP OF AMERICA  COMMON 22025Y407   $    5,412     197,021   SH   DEFINED             23      197,021    0          -
CORRECTIONS CORP OF AMERICA  COMMON 22025Y407   $        3         108   SH   DEFINED             24          108    0          -
CORRECTIONS CORP OF AMERICA  COMMON 22025Y407   $      844      30,724   SH   DEFINED              5       10,724    0       20,000
CORUS BANCSHARES INC         COMMON 220873103   $    1,189     285,800   SH   DEFINED             14      211,500    0       74,300
CORUS BANCSHARES INC         COMMON 220873103   $       25       6,000   SH   DEFINED             22          -      0        6,000
CORUS BANCSHARES INC         COMMON 220873103   $      162      39,017   SH   DEFINED             23       39,017    0          -
CORUS BANCSHARES INC         COMMON 220873103   $       25       6,000   SH   DEFINED              5          -      0        6,000
CORUS BANCSHARES INC         COMMON 220873103   $      203      48,900   SH   DEFINED           5,15       48,900    0          -
CORUS ENTERTAINMENT INC
CL B                         COMMON 220874101   $    2,089     116,498   SH   DEFINED              2      116,498    0          -
CORUS ENTERTAINMENT INC
CL B                         COMMON 220874101   $        6         328   SH   DEFINED             23          328    0          -
CORUS ENTERTAINMENT INC
CL B                         COMMON 220874101   $   24,682   1,376,516   SH   DEFINED            3,1    1,376,516    0          -
CORVEL CORP                  COMMON 221006109   $      407      12,011   SH   DEFINED             23       12,011    0          -
COSI INC                     COMMON 22122P101   $        1         359   SH   DEFINED             23          359    0          -
COST PLUS INC/CALIFORNIA     COMMON 221485105   $        1         502   SH   DEFINED             22          -      0          502
COST PLUS INC/CALIFORNIA     COMMON 221485105   $       76      30,372   SH   DEFINED             23       30,372    0          -
COSTCO WHOLESALE CORP        COMMON 22160K105   $      758      10,800   SH   DEFINED             14        5,400    0        4,500
COSTCO WHOLESALE CORP        COMMON 22160K105   $      526       7,500   SH   DEFINED           14,7          -      0        7,500
COSTCO WHOLESALE CORP        COMMON 22160K105   $    9,642     137,463   SH   DEFINED             22        7,141    0      130,322
COSTCO WHOLESALE CORP        COMMON 22160K105   $    2,386      34,022   SH   DEFINED             23       34,022    0          -
COSTCO WHOLESALE CORP        COMMON 22160K105   $    4,451      63,462   SH   DEFINED             24       63,462    0          -
COSTCO WHOLESALE CORP        COMMON 22160K105   $    4,577      65,258   SH   DEFINED              5        2,601    0       62,657
COSTCO WHOLESALE CORP        COMMON 22160K105   $      584       8,328   SH   DEFINED              7        8,328    0          -
COSTAR GROUP INC             COMMON 22160N109   $   15,000     337,462   SH   DEFINED              1      337,462    0          -
COSTAR GROUP INC             COMMON 22160N109   $   12,440     279,870   SH   DEFINED              2      279,870    0          -
COSTAR GROUP INC             COMMON 22160N109   $    1,018      22,913   SH   DEFINED             23       22,913    0          -
COTT CORPORATION             COMMON 22163N106   $       33      10,307   SH   DEFINED             23       10,307    0          -
COTT CORPORATION             COMMON 22163N106   $   16,436   5,148,200   SH   DEFINED              3    5,148,200    0          -
COUNTRYWIDE FINANCIAL CORP   COMMON 222372104        $ -           105   SH   DEFINED             14          -      0          105
COUNTRYWIDE FINANCIAL CORP   COMMON 222372104   $        3         800   SH   DEFINED             22          -      0          800
COUNTRYWIDE FINANCIAL CORP   COMMON 222372104   $    1,249     293,806   SH   DEFINED             23      293,806    0          -
COUNTRYWIDE FINANCIAL CORP   COMMON 222372104   $       24       5,733   SH   DEFINED             24        5,733    0          -
COUNTRYWIDE FINANCIAL CORP   COMMON 222372104   $        2         420   SH   DEFINED              4          420    0          -
COUNTRYWIDE FINANCIAL CORP   COMMON 222372104   $        2         549   SH   DEFINED              5          -      0          549
COUNTRYWIDE FINL CORP
0.758 04                     CONVERT222372AN4   $   16,866  17,500,000   SH   DEFINED             14          -      0   14,825,000
COURIER CORP                 COMMON 222660102   $      181       9,028   SH   DEFINED             23        9,028    0          -
COUSINS PROPERTIES INC       COMMON 222795106   $      783      33,900   SH   DEFINED             14       33,900    0          -
COUSINS PROPERTIES INC       COMMON 222795106   $      181       7,825   SH   DEFINED             23        7,825    0          -
COUSINS PROPERTIES INC       COMMON 222795106   $       3         144    SH   DEFINED             24        144      0         -
COUSINS PROPERTIES INC       COMMON 222795106   $     124       5,374    SH   DEFINED              5      3,841      0       1,533
COVANCE INC                  COMMON 222816100   $  20,129     234,000    SH   DEFINED              1    234,000      0         -
COVANCE INC                  COMMON 222816100   $     264       3,065    SH   DEFINED             22      2,000      0       1,065
COVANCE INC                  COMMON 222816100   $   5,821      67,676    SH   DEFINED             23     67,676      0         -
COVANCE INC                  COMMON 222816100   $       2          27    SH   DEFINED             24         27      0         -
COVANCE INC                  COMMON 222816100   $     807       9,381    SH   DEFINED              5      5,681      0       3,700
COVANCE INC                  COMMON 222816100   $     133       1,551    SH   DEFINED              7      1,551      0         -
COVANTA HOLDING CORP         COMMON 22282E102   $  18,240     683,388    SH   DEFINED             23    683,388      0         -
COVANTA HOLDING CORP         COMMON 22282E102   $      79       2,962    SH   DEFINED             24      2,962      0         -
COVANTA HOLDING CORP         COMMON 22282E102   $     797      29,849    SH   DEFINED              5        -        0      29,849
COVENANT TRANSPORTATION
GROUP                        COMMON 22284P105   $      26       7,688    SH   DEFINED             23      7,688      0         -
COVENTRY HEALTH CARE INC     COMMON 222862104   $   4,858     159,708    SH   DEFINED              1    159,708      0         -
COVENTRY HEALTH CARE INC     COMMON 222862104   $   3,826     125,779    SH   DEFINED             22      1,125      0     124,654
COVENTRY HEALTH CARE INC     COMMON 222862104   $   2,036      66,944    SH   DEFINED             23     66,944      0         -
COVENTRY HEALTH CARE INC     COMMON 222862104   $       5         164    SH   DEFINED             24        164      0         -
COVENTRY HEALTH CARE INC     COMMON 222862104   $      66       2,176    SH   DEFINED              5      1,380      0         796
COWEN GROUP INC              COMMON 223621103   $      49       6,314    SH   DEFINED             23      6,314      0         -
COX RADIO INC CL A           COMMON 224051102   $   1,018      86,275    SH   DEFINED             23     86,275      0         -
CRANE CO                     COMMON 224399105   $     628      16,300    SH   DEFINED             14     16,300      0         -
CRANE CO                     COMMON 224399105   $     141       3,654    SH   DEFINED             23      3,654      0         -
CRANE CO                     COMMON 224399105   $       3          67    SH   DEFINED             24         67      0         -
CRANE CO                     COMMON 224399105   $      99       2,564    SH   DEFINED              5        -        0       2,564
CRANE CO                     COMMON 224399105   $     489      12,700    SH   DEFINED              8     12,700      0         -
CRANE CO                     COMMON 224399105   $     135       3,500    SH   DEFINED           8,20      3,500      0         -
CRAWFORD & CO  -CL B         COMMON 224633107   $      97      12,096    SH   DEFINED             23     12,096      0         -
CRAWFORD & COMPANY -CL A     COMMON 224633206   $      48       7,605    SH   DEFINED             23      7,605      0         -
CRAY INC                     COMMON 225223304   $       1         284    SH   DEFINED             23        284      0         -
CREDENCE SYSTEMS CORP        COMMON 225302108   $       1         885    SH   DEFINED             23        885      0         -
CREDIT ACCEPTANCE CORP       COMMON 225310101   $      37       1,454    SH   DEFINED             23      1,454      0         -
CREDIT SUISSE GROUP ADR      COMMON 225401108   $  55,245   1,219,271    SH   DEFINED             11  1,212,531      0       6,740
CREDIT SUISSE GROUP ADR      COMMON 225401108   $     993      21,909    SH   DEFINED             14     21,909      0         -
CREDIT SUISSE GROUP ADR      COMMON 225401108   $     270       5,950    SH   DEFINED          19,14      5,950      0         -
CREDIT SUISSE GROUP ADR      COMMON 225401108   $      67       1,485    SH   DEFINED             22        -        0       1,485
CREDIT SUISSE GROUP ADR      COMMON 225401108   $     529      11,667    SH   DEFINED              4     11,667      0         -
CREDO PETROLEUM CORP         COMMON 225439207   $      66       4,775    SH   DEFINED              5        -        0       4,775
CREE INC                     COMMON 225447101   $  42,117   1,846,426    SH   DEFINED             23  1,846,426      0         -
CREE INC                     COMMON 225447101   $     126       5,538    SH   DEFINED             24      5,538      0         -
CRESUD SA ADR                COMMON 226406106   $       5         372    SH   DEFINED             23        372      0         -
CROCS INC                    COMMON 227046109   $   4,600     574,308    SH   DEFINED              1    574,308      0         -
CROCS INC                    COMMON 227046109   $     366      45,634    SH   DEFINED           13,2        -        0      45,634
CROCS INC                    COMMON 227046109   $       4         492    SH   DEFINED             23        492      0         -
CROSS COUNTRY HEALTHCARE INC COMMON 227483104   $   6,293     436,684    SH   DEFINED              1    436,684      0         -
CROSS COUNTRY HEALTHCARE INC COMMON 227483104   $   2,800     194,322    SH   DEFINED              2     39,723      0     154,599
CROSS COUNTRY HEALTHCARE INC COMMON 227483104   $     392      27,192    SH   DEFINED             23     27,192      0         -
CROSSTEX ENERGY LP           COMMON 22765U102   $     994      32,400    SH   DEFINED              5     32,000      0         400
CROSSTEX ENERGY INC          COMMON 22765Y104   $     271       7,806    SH   DEFINED             23      7,806      0         -
CROWN CASTLE INTL CORP       COMMON 228227104   $  40,161   1,036,944    SH   DEFINED              1  1,036,944      0         -
CROWN CASTLE INTL CORP       COMMON 228227104   $   2,795      72,167    SH   DEFINED              2      8,068      0      64,099
CROWN CASTLE INTL CORP       COMMON 228227104   $  11,049     285,281    SH   DEFINED             23    285,281      0         -
CROWN CASTLE INTL CORP       COMMON 228227104   $       2          49    SH   DEFINED             24         49      0         -
CROWN CASTLE INTL CORP       COMMON 228227104   $   1,421      36,700    SH   DEFINED              5        -        0      36,700
CROWN CASTLE INTL CORP       COMMON 228227104   $     128       3,305    SH   DEFINED              7      3,305      0         -
CROWN CASTLE INTL CORP       COMMON 228227104   $  21,392     552,344    SH   DEFINED              8    552,344      0         -
CROWN HOLDINGS INC           COMMON 228368106   $  67,477   2,596,282    SH   DEFINED              1  2,596,282      0         -
CROWN HOLDINGS INC           COMMON 228368106   $   4,762     183,228    SH   DEFINED              2     12,719      0     170,509
CROWN HOLDINGS INC           COMMON 228368106   $       5         200    SH   DEFINED             22        -        0         200
CROWN HOLDINGS INC           COMMON 228368106   $   3,171     121,995    SH   DEFINED             23    121,995      0         -
CROWN HOLDINGS INC           COMMON 228368106   $       7         276    SH   DEFINED             24        276      0         -
CROWN HOLDINGS INC           COMMON 228368106   $     552      21,227    SH   DEFINED              5        421      0      20,806
CROWN HOLDINGS INC           COMMON 228368106   $  16,252     625,300    SH   DEFINED              8    625,300      0         -
CROWN MEDIA HOLDINGS -CL A   COMMON 228411104   $       1         129    SH   DEFINED             23        129      0         -
CRUCELL-ADR                  COMMON 228769105   $       2          97    SH   DEFINED             23         97      0         -
CRYOLIFE INC                 COMMON 228903100   $     810      70,786    SH   DEFINED             23     70,786      0         -
CRYSTAL RIVER CAPITAL INC    COMMON 229393301   $      32       8,783    SH   DEFINED             23      8,783      0         -
CTRIP.COM INTERNATIONAL- ADR COMMON 22943F100   $   7,207     157,429    SH   DEFINED             23    157,429      0         -
CUBIC CORP                   COMMON 229669106   $   5,561     249,600    SH   DEFINED             14    175,000      0      74,600
CUBIC CORP                   COMMON 229669106   $     942      42,284    SH   DEFINED             23     42,284      0         -
CUBIC CORP                   COMMON 229669106   $     749      33,600    SH   DEFINED           5,15     33,600      0         -
CUBIC CORP                   COMMON 229669106   $     599      26,900    SH   DEFINED              8     26,900      0         -
CUBIC CORP                   COMMON 229669106   $     165       7,400    SH   DEFINED           8,20      7,400      0         -
CUBIST PHARMACEUTICALS INC   COMMON 229678107   $   5,435     304,304    SH   DEFINED             23    304,304      0         -
CULLEN/FROST BANKERS INC     COMMON 229899109   $   3,507      70,359    SH   DEFINED             23     70,359      0         -
CULLEN/FROST BANKERS INC     COMMON 229899109   $       3          63    SH   DEFINED             24         63      0         -
CULP INC                     COMMON 230215105   $  14,589   2,078,269    SH   DEFINED              5        -        0   2,078,269
CUMMINS ENGINE               COMMON 231021106   $     229       3,500    SH   DEFINED           1,15      3,500      0         -
CUMMINS ENGINE               COMMON 231021106   $       7         100    SH   DEFINED             13        100      0         -
CUMMINS ENGINE               COMMON 231021106   $     799      12,200    SH   DEFINED             14      3,700      0       8,000
CUMMINS ENGINE               COMMON 231021106   $     314       4,800    SH   DEFINED           14,7        -        0       4,800
CUMMINS ENGINE               COMMON 231021106   $       7         100    SH   DEFINED          20,14        -        0         -
CUMMINS ENGINE               COMMON 231021106   $      55         838    SH   DEFINED             22        -        0         838
CUMMINS ENGINE               COMMON 231021106   $  13,918     212,420    SH   DEFINED             23    212,420      0         -
CUMMINS ENGINE               COMMON 231021106   $      14         216    SH   DEFINED             24        216      0         -
CUMMINS ENGINE               COMMON 231021106   $     193       2,944    SH   DEFINED              5      2,200      0         744
CUMMINS ENGINE               COMMON 231021106   $     211       3,226    SH   DEFINED              7      3,226      0         -
CUMULUS MEDIA INC CL A       COMMON 231082108   $      46      11,700    SH   DEFINED             23     11,700      0         -
CUMULUS MEDIA INC CL A       COMMON 231082108   $   4,706   1,194,352    SH   DEFINED              5        -        0   1,194,352
CURTISS-WRIGHT CORP          COMMON 231561101   $   8,120     181,484    SH   DEFINED              1    181,484      0         -
CURTISS-WRIGHT CORP          COMMON 231561101   $      76       1,700    SH   DEFINED             14      1,700      0         -
CURTISS-WRIGHT CORP          COMMON 231561101   $   4,684     104,692    SH   DEFINED              2     41,011      0      63,681
CURTISS-WRIGHT CORP          COMMON 231561101   $      67       1,500    SH   DEFINED             22        -        0       1,500
CURTISS-WRIGHT CORP          COMMON 231561101   $     167       3,738    SH   DEFINED             23      3,738      0         -
CURTISS-WRIGHT CORP          COMMON 231561101   $     370       8,276    SH   DEFINED              5      3,500      0       4,776
CUTERA INC                   COMMON 232109108   $       1          56    SH   DEFINED             23         56      0         -
CYBERSOURCE CORP             COMMON 23251J106   $   6,900     412,451    SH   DEFINED              1    412,451      0         -
CYBERSOURCE CORP             COMMON 23251J106   $   3,993     238,691    SH   DEFINED              2     93,615      0     145,076
CYBERSOURCE CORP             COMMON 23251J106   $     100       6,000    SH   DEFINED             22        -        0       6,000
CYBERSOURCE CORP             COMMON 23251J106   $     266      15,898    SH   DEFINED             23     15,898      0         -
CYBERONICS                   COMMON 23251P102   $     450      20,747    SH   DEFINED             23     20,747      0         -
CYCLACEL PHARMACEUTICALS INC COMMON 23254L108   $   1,779     931,313    SH   DEFINED             16        -    931313         -
CYMER INC                    COMMON 232572107   $    1,382      51,400   SH   DEFINED             14       43,300    0        8,100
CYMER INC                    COMMON 232572107   $      129       4,785   SH   DEFINED             23        4,785    0          -
CYMER INC                    COMMON 232572107   $      223       8,300   SH   DEFINED           5,15        8,300    0          -
CYNOSURE INC                 COMMON 232577205   $       28       1,400   SH   DEFINED             14        1,400    0          -
CYNOSURE INC                 COMMON 232577205   $      210      10,571   SH   DEFINED             23       10,571    0          -
CYPRESS BIOSCIENCE INC       COMMON 232674507   $      227      31,580   SH   DEFINED             23       31,580    0          -
CYPRESS SEMICONDUCTOR CORP   COMMON 232806109   $       15         600   SH   DEFINED             22          -      0          600
CYPRESS SEMICONDUCTOR CORP   COMMON 232806109   $      253      10,203   SH   DEFINED             23       10,203    0          -
CYPRESS SEMICONDUCTOR CORP   COMMON 232806109   $        2         100   SH   DEFINED              5          100    0          -
CYPRESS SEMI CO (CY) CVT
1.0 0                        CONVERT232806AK5   $        3       3,000   SH   DEFINED             14        3,000    0          -
CYTEC INDUSTRIES INC         COMMON 232820100   $       10         183   SH   DEFINED             22          183    0          -
CYTEC INDUSTRIES INC         COMMON 232820100   $    1,638      30,017   SH   DEFINED             23       30,017    0          -
CYTEC INDUSTRIES INC         COMMON 232820100   $        3          56   SH   DEFINED             24           56    0          -
CYTEC INDUSTRIES INC         COMMON 232820100   $       48         871   SH   DEFINED              5          171    0          700
CYTRX CORP                   COMMON 232828301   $        1         790   SH   DEFINED             23          790    0          -
CYTOKINETICS INC             COMMON 23282W100   $        1         323   SH   DEFINED             23          323    0          -
D & E COMMUNICATIONS INC     COMMON 232860106   $      267      30,049   SH   DEFINED             23       30,049    0          -
DCP MIDSTREAM PARTNERS LP    COMMON 23311P100   $      322      11,000   SH   DEFINED             22          -      0       11,000
DCP MIDSTREAM PARTNERS LP    COMMON 23311P100   $    1,597      54,588   SH   DEFINED              5       50,368    0        4,220
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $   12,499   1,509,500   SH   DEFINED           1,15    1,509,500    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $   31,324   3,783,076   SH   DEFINED             14    2,235,176    0    1,310,300
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $      661      79,800   SH   DEFINED          18,14       79,800    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $      190      23,000   SH   DEFINED          19,14       23,000    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $    1,693     204,500   SH   DEFINED           2,15      204,500    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $      163      19,746   SH   DEFINED             23       19,746    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $      220      26,600   SH   DEFINED           3,15       11,800    0       14,800
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $    2,453     296,300   SH   DEFINED           5,15      296,300    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $       31       3,800   SH   DEFINED           6,14        3,800    0          -
DCT INDUSTRIAL TRUST INC     COMMON 233153105   $      559      67,500   SH   DEFINED           8,14          -      0       67,500
DEI HOLDINGS INC             COMMON 23319E107   $       12       7,352   SH   DEFINED             23        7,352    0          -
DNP SELECT INCOME FUND INC   COMMON 23325P104   $      565      54,174   SH   DEFINED             23       54,174    0          -
DG FASTCHANNEL INC           COMMON 23326R109   $      351      20,323   SH   DEFINED             23       20,323    0          -
DG FASTCHANNEL INC           COMMON 23326R109   $       71       4,100   SH   DEFINED              5        4,100    0          -
DPL INC                      COMMON 233293109   $      222       8,400   SH   DEFINED             14        6,000    0          -
DPL INC                      COMMON 233293109   $      272      10,300   SH   DEFINED             22          -      0       10,300
DPL INC                      COMMON 233293109   $    1,232      46,707   SH   DEFINED             23       46,707    0          -
DPL INC                      COMMON 233293109   $        4         142   SH   DEFINED             24          142    0          -
DPL INC                      COMMON 233293109   $      138       5,244   SH   DEFINED              7        5,244    0          -
DRS TECHNOLOGIES             COMMON 23330X100   $    3,014      38,289   SH   DEFINED             23       38,289    0          -
DRS TECHNOLOGIES             COMMON 23330X100   $        3          43   SH   DEFINED             24           43    0          -
D.R. HORTON INC              COMMON 23331A109   $      290      26,700   SH   DEFINED           1,15       26,700    0          -
D.R. HORTON INC              COMMON 23331A109   $      539      49,700   SH   DEFINED          10,14       49,700    0          -
D.R. HORTON INC              COMMON 23331A109   $       37       3,400   SH   DEFINED             13        3,400    0          -
D.R. HORTON INC              COMMON 23331A109   $   40,894   3,769,070   SH   DEFINED             14    2,205,470    0    1,454,600
D.R. HORTON INC              COMMON 23331A109   $      725      66,800   SH   DEFINED          14,13          -      0       66,800
D.R. HORTON INC              COMMON 23331A109   $    2,048     188,800   SH   DEFINED           14,7          -      0      188,800
D.R. HORTON INC              COMMON 23331A109   $      119      11,000   SH   DEFINED          20,14          -      0          -
D.R. HORTON INC              COMMON 23331A109   $        3         235   SH   DEFINED             22          -      0          235
D.R. HORTON INC              COMMON 23331A109   $    2,295     211,497   SH   DEFINED             23      211,497    0          -
D.R. HORTON INC              COMMON 23331A109   $       15       1,344   SH   DEFINED             24        1,344    0          -
D.R. HORTON INC              COMMON 23331A109   $        3         256   SH   DEFINED              5          -      0          256
D.R. HORTON INC              COMMON 23331A109   $    1,634     150,600   SH   DEFINED           5,15      150,600    0          -
D.R. HORTON INC              COMMON 23331A109   $      665      61,301   SH   DEFINED              7       61,301    0          -
D.R. HORTON INC              COMMON 23331A109   $      637      58,700   SH   DEFINED              8       58,700    0          -
D.R. HORTON INC              COMMON 23331A109   $    3,023     278,600   SH   DEFINED           8,14      278,600    0          -
D.R. HORTON INC              COMMON 23331A109   $      395      36,400   SH   DEFINED           9,14          -      0       36,400
DST SYSTEMS INC              COMMON 233326107   $    4,499      81,723   SH   DEFINED              1       81,723    0          -
DST SYSTEMS INC              COMMON 233326107   $       11         200   SH   DEFINED             14          200    0          -
DST SYSTEMS INC              COMMON 233326107   $      241       4,375   SH   DEFINED             23        4,375    0          -
DST SYSTEMS INC              COMMON 233326107   $        3          50   SH   DEFINED             24           50    0          -
DST SYSTEMS INC              COMMON 233326107   $      584      10,600   SH   DEFINED              5          -      0       10,600
DSP GROUP INC                COMMON 23332B106   $    3,033     433,238   SH   DEFINED              1      433,238    0          -
DSP GROUP INC                COMMON 23332B106   $    1,525     217,828   SH   DEFINED              2       59,900    0      157,928
DSP GROUP INC                COMMON 23332B106   $      158      22,542   SH   DEFINED             23       22,542    0          -
DTE ENERGY COMPANY           COMMON 233331107   $      675      15,900   SH   DEFINED          10,14       15,900    0          -
DTE ENERGY COMPANY           COMMON 233331107   $       34         800   SH   DEFINED             13          800    0          -
DTE ENERGY COMPANY           COMMON 233331107   $   10,723     252,670   SH   DEFINED             14      169,170    0       72,500
DTE ENERGY COMPANY           COMMON 233331107   $       93       2,200   SH   DEFINED          14,13          -      0        2,200
DTE ENERGY COMPANY           COMMON 233331107   $    2,827      66,600   SH   DEFINED           14,7          -      0       66,600
DTE ENERGY COMPANY           COMMON 233331107   $       34         800   SH   DEFINED          20,14          -      0          -
DTE ENERGY COMPANY           COMMON 233331107   $      300       7,062   SH   DEFINED             22        5,700    0        1,362
DTE ENERGY COMPANY           COMMON 233331107   $    3,011      70,940   SH   DEFINED             23       70,940    0          -
DTE ENERGY COMPANY           COMMON 233331107   $       48       1,139   SH   DEFINED             24        1,139    0          -
DTE ENERGY COMPANY           COMMON 233331107   $      248       5,845   SH   DEFINED              5          -      0        5,845
DTE ENERGY COMPANY           COMMON 233331107   $      199       4,700   SH   DEFINED           5,15        4,700    0          -
DTE ENERGY COMPANY           COMMON 233331107   $      568      13,395   SH   DEFINED              7       13,395    0          -
DTE ENERGY COMPANY           COMMON 233331107   $    2,279      53,700   SH   DEFINED            8,14       53,700   0          -
DTE ENERGY COMPANY           COMMON 233331107   $       51       1,200   SH   DEFINED            9,14          -     0        1,200
DSW INC.                     COMMON 23334L102   $    7,192     610,541   SH   DEFINED              1      610,541    0          -
DSW INC.                     COMMON 23334L102   $    5,780     490,626   SH   DEFINED              2      490,626    0          -
DSW INC.                     COMMON 23334L102   $       80       6,827   SH   DEFINED             23        6,827    0          -
DSW INC.                     COMMON 23334L102   $        6         500   SH   DEFINED              5          500    0          -
DTS INC                      COMMON 23335C101   $        5         154   SH   DEFINED             23          154    0          -
DXP ENTERPRISES INC          COMMON 233377407   $      239       5,729   SH   DEFINED             23        5,729    0          -
DAKTRONICS INC               COMMON 234264109   $       41       2,057   SH   DEFINED             23        2,057    0          -
DAKTRONICS INC               COMMON 234264109   $        5         250   SH   DEFINED              5          -      0          250
DANAHER CORP                 COMMON 235851102   $   20,735     268,245   SH   DEFINED             22      182,554    0       85,691
DANAHER CORP                 COMMON 235851102   $  107,205   1,386,863   SH   DEFINED             23    1,386,863    0          -
DANAHER CORP                 COMMON 235851102   $      159       2,058   SH   DEFINED             24        2,058    0          -
DANAHER CORP                 COMMON 235851102   $    8,427     109,012   SH   DEFINED              5       78,503    0       30,509
DANAHER CORP                 COMMON 235851102   $      331       4,278   SH   DEFINED              7        4,278    0          -
DANAHER CORP                 COMMON 235851102   $      519       6,720   SH   DEFINED              8        6,720    0          -
DANAHER CORP CNV (DHR )
01-22-                       CONVERT235851AF9   $   18,180  16,000,000   SH   DEFINED             14        -        0   13,550,000
DANVERS BANCORP INC          COMMON 236442109   $        2         156   SH   DEFINED             23        156      0          -
DARDEN RESTAURANTS INC       COMMON 237194105   $    7,612     238,329   SH   DEFINED             22    166,414      0       71,915
DARDEN RESTAURANTS INC       COMMON 237194105   $      739      23,122   SH   DEFINED             23     23,122      0          -
DARDEN RESTAURANTS INC       COMMON 237194105   $        6         191   SH   DEFINED             24        191      0          -
DARDEN RESTAURANTS INC       COMMON 237194105   $    5,256     164,574   SH   DEFINED              5    142,976      0       21,598
DARDEN RESTAURANTS INC       COMMON 237194105   $       73       2,270   SH   DEFINED              7      2,270      0          -
DARLING INTERNATIONAL INC    COMMON 237266101   $    4,207     254,684   SH   DEFINED             23    254,684      0          -



DARWIN PROFESSIONAL
UNDERWRI                     COMMON 237502109   $     306       9,941    SH   DEFINED              23     9,941      0         -
DASSAULT SYSTEMES SA ADR     COMMON 237545108   $      32         530    SH   DEFINED              22       -        0         530
DASSAULT SYSTEMES SA ADR     COMMON 237545108   $   2,126      34,963    SH   DEFINED              23    34,963      0         -
DATA DOMAIN INC              COMMON 23767P109   $   1,524      65,343    SH   DEFINED              22       -        0      65,343
DATA DOMAIN INC              COMMON 23767P109   $     170       7,288    SH   DEFINED              23     7,288      0         -
DATASCOPE CORP               COMMON 238113104   $     141       3,000    SH   DEFINED              14     3,000      0         -
DATASCOPE CORP               COMMON 238113104   $     326       6,932    SH   DEFINED              23     6,932      0         -
DAVITA INC                   COMMON 23918K108   $  24,556     462,192    SH   DEFINED               1   462,192      0         -
DAVITA INC                   COMMON 23918K108   $      88       1,650    SH   DEFINED              17     1,650      0         -
DAVITA INC                   COMMON 23918K108   $   1,516      28,537    SH   DEFINED               2    28,537      0         -
DAVITA INC                   COMMON 23918K108   $   2,122      39,944    SH   DEFINED            20,2       -        0      39,944
DAVITA INC                   COMMON 23918K108   $      19         350    SH   DEFINED              22       -        0         350
DAVITA INC                   COMMON 23918K108   $   4,953      93,227    SH   DEFINED              23    93,227      0         -
DAVITA INC                   COMMON 23918K108   $     155       2,913    SH   DEFINED              24     2,913      0         -
DAVITA INC                   COMMON 23918K108   $   4,872      91,700    SH   DEFINED               3    91,700      0         -
DAWSON GEOPHYSICAL CO        COMMON 239359102   $     332       5,578    SH   DEFINED              23     5,578      0         -
DAWSON GEOPHYSICAL CO        COMMON 239359102   $      73       1,225    SH   DEFINED               5       -        0       1,225
DAYSTAR TECHNOLOGIES I WT    COMMON 23962Q126   $       1       1,500    SH   DEFINED              22       -        0       1,500
DAYTON SUPERIOR CORP         COMMON 240028308   $      11       5,391    SH   DEFINED              23     5,391      0         -
DEALERTRACK HOLDINGS INC     COMMON 242309102   $   7,252     513,936    SH   DEFINED               1   513,936      0         -
DEALERTRACK HOLDINGS INC     COMMON 242309102   $   5,295     375,290    SH   DEFINED               2   326,738      0      48,552
DEALERTRACK HOLDINGS INC     COMMON 242309102   $      35       2,447    SH   DEFINED              23     2,447      0         -
DEAN FOODS CO                COMMON 242370104   $     619      31,564    SH   DEFINED              23    31,564      0         -
DEAN FOODS CO                COMMON 242370104   $      14         712    SH   DEFINED              24       712      0         -
DEAN FOODS CO                COMMON 242370104   $     190       9,665    SH   DEFINED               5       -        0       9,665
DECKERS OUTDOORS CORP        COMMON 243537107   $   2,589      18,600    SH   DEFINED              14    12,600      0       6,000
DECKERS OUTDOORS CORP        COMMON 243537107   $     222       1,593    SH   DEFINED              23     1,593      0         -
DECKERS OUTDOORS CORP        COMMON 243537107   $     306       2,200    SH   DEFINED            5,15     2,200      0         -
DECKERS OUTDOORS CORP        COMMON 243537107   $     487       3,500    SH   DEFINED               8     3,500      0         -
DECKERS OUTDOORS CORP        COMMON 243537107   $     139       1,000    SH   DEFINED            8,20     1,000      0         -
DECODE GENETICS INC          COMMON 243586104   $       1         538    SH   DEFINED              23       538      0         -
DEERE & CO                   COMMON 244199105   $  13,268     183,942    SH   DEFINED               1   183,942      0         -
DEERE & CO                   COMMON 244199105   $     144       2,000    SH   DEFINED            1,15     2,000      0         -
DEERE & CO                   COMMON 244199105   $   1,154      16,000    SH   DEFINED           10,14    16,000      0         -
DEERE & CO                   COMMON 244199105   $       7         100    SH   DEFINED              13       100      0         -
DEERE & CO                   COMMON 244199105   $  76,425   1,059,550    SH   DEFINED              14   692,200      0     312,750
DEERE & CO                   COMMON 244199105   $   2,683      37,200    SH   DEFINED           14,13       -        0      37,200
DEERE & CO                   COMMON 244199105   $   2,308      32,000    SH   DEFINED            14,7       -        0      32,000
DEERE & CO                   COMMON 244199105   $   5,040      69,877    SH   DEFINED               2    69,877      0         -
DEERE & CO                   COMMON 244199105   $      79       1,100    SH   DEFINED           20,14       -        0         -
DEERE & CO                   COMMON 244199105   $  16,368     226,922    SH   DEFINED              22    27,937      0     198,985
DEERE & CO                   COMMON 244199105   $  13,413     185,957    SH   DEFINED              23   185,957      0         -
DEERE & CO                   COMMON 244199105   $      27         374    SH   DEFINED              24       374      0         -
DEERE & CO                   COMMON 244199105   $   6,128      84,958    SH   DEFINED               5    73,338      0      11,620
DEERE & CO                   COMMON 244199105   $   6,044      83,800    SH   DEFINED            5,15    83,800      0         -
DEERE & CO                   COMMON 244199105   $     512       7,100    SH   DEFINED               6     7,100      0         -
DEERE & CO                   COMMON 244199105   $   3,192      44,258    SH   DEFINED               7    44,258      0         -
DEERE & CO                   COMMON 244199105   $     281       3,896    SH   DEFINED               8     3,896      0         -
DEERE & CO                   COMMON 244199105   $   6,347      88,000    SH   DEFINED            8,14    88,000      0         -
DEERE & CO                   COMMON 244199105   $   1,457      20,200    SH   DEFINED            9,14       -        0      20,200
DEERFIELD CAPITAL CORP       COMMON 244331104   $      19      24,586    SH   DEFINED              23    24,586      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $   8,845   1,245,809    SH   DEFINED               1 1,245,809      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $     335      47,132    SH   DEFINED              14    47,132      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $      17       2,326    SH   DEFINED              22     2,326      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $     423      59,633    SH   DEFINED              23    59,633      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $       3         416    SH   DEFINED              24       416      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $  11,200   1,577,428    SH   DEFINED               4 1,577,428      0         -
DEL MONTE FOODS CO           COMMON 24522P103   $      20       2,762    SH   DEFINED               5       -        0       2,762
DELEK US HOLDINGS INC        COMMON 246647101   $      35       3,766    SH   DEFINED              23     3,766      0         -
DELIAS INC                   COMMON 246911101   $       1         269    SH   DEFINED              23       269      0         -
DELL INC                     COMMON 24702R101   $ 172,871   7,900,874    SH   DEFINED               1 7,900,874      0         -
DELL INC                     COMMON 24702R101   $     882      40,300    SH   DEFINED           10,14    40,300      0         -
DELL INC                     COMMON 24702R101   $      28       1,300    SH   DEFINED              13     1,300      0         -
DELL INC                     COMMON 24702R101   $  24,639   1,126,079    SH   DEFINED              14   848,979      0     252,500
DELL INC                     COMMON 24702R101   $      85       3,900    SH   DEFINED           14,13       -        0       3,900
DELL INC                     COMMON 24702R101   $   3,326     152,000    SH   DEFINED            14,7       -        0     152,000
DELL INC                     COMMON 24702R101   $     294      13,430    SH   DEFINED               2    13,430      0         -
DELL INC                     COMMON 24702R101   $     280      12,800    SH   DEFINED           20,14       -        0         -
DELL INC                     COMMON 24702R101   $     592      27,049    SH   DEFINED            20,2    27,049      0         -
DELL INC                     COMMON 24702R101   $     377      17,234    SH   DEFINED              22     1,605      0      15,629
DELL INC                     COMMON 24702R101   $   6,999     319,883    SH   DEFINED              23   319,883      0         -
DELL INC                     COMMON 24702R101   $   4,526     206,866    SH   DEFINED              24   206,866      0         -
DELL INC                     COMMON 24702R101   $  21,022     960,770    SH   DEFINED             3,1   960,770      0         -
DELL INC                     COMMON 24702R101   $   9,273     423,819    SH   DEFINED               4   423,819      0         -
DELL INC                     COMMON 24702R101   $     288      13,142    SH   DEFINED               5     6,710      0       6,432
DELL INC                     COMMON 24702R101   $     184       8,400    SH   DEFINED            5,15     8,400      0         -
DELL INC                     COMMON 24702R101   $     938      42,874    SH   DEFINED               7    42,874      0         -
DELL INC                     COMMON 24702R101   $  17,008     777,348    SH   DEFINED               8   777,348      0         -
DELL INC                     COMMON 24702R101   $   6,129     280,100    SH   DEFINED            8,14   280,100      0         -
DELL INC                     COMMON 24702R101   $      44       2,000    SH   DEFINED            9,14       -        0       2,000
DELPHI FINANCIAL GROUP CL A  COMMON 247131105   $       1          55    SH   DEFINED              22       -        0          55
DELPHI FINANCIAL GROUP CL A  COMMON 247131105   $   1,988      85,928    SH   DEFINED              23    85,928      0         -
DELPHI FINANCIAL GROUP CL A  COMMON 247131105   $     104       4,515    SH   DEFINED               5     1,140      0       3,375
DELTA AIR LINES INC          COMMON 247361702   $       1         252    SH   DEFINED              22       -        0         252
DELTA AIR LINES INC          COMMON 247361702   $       6       1,040    SH   DEFINED               5       -        0       1,040
DELTEK INC                   COMMON 24784L105   $       2         151    SH   DEFINED              23       151      0         -
DELTIC TIMBER CORP           COMMON 247850100   $      42         794    SH   DEFINED              23       794      0         -
DELTA PETROLEUM CORP         COMMON 247907207   $      45       1,772    SH   DEFINED              23     1,772      0         -
DENBURY RESOURCES INC        COMMON 247916208   $  13,392     366,900    SH   DEFINED               1   366,900      0         -
DENBURY RESOURCES INC        COMMON 247916208   $   1,920      52,600    SH   DEFINED               2     6,100      0      46,500
DENBURY RESOURCES INC        COMMON 247916208   $      13         364    SH   DEFINED              22       -        0         364
DENBURY RESOURCES INC        COMMON 247916208   $  20,864     571,617    SH   DEFINED              23   571,617      0         -
DENBURY RESOURCES INC        COMMON 247916208   $       3          81    SH   DEFINED              24        81      0         -
DENBURY RESOURCES INC        COMMON 247916208   $     775      21,226    SH   DEFINED               5     1,416      0      19,810
DELUXE CORP                  COMMON 248019101   $     337      18,900    SH   DEFINED            1,15    18,900      0         -
DELUXE CORP                  COMMON 248019101   $  16,246     911,680    SH   DEFINED              14   494,880      0     413,200
DELUXE CORP                  COMMON 248019101   $     153       8,600    SH   DEFINED            14,7       -        0       8,600
DELUXE CORP                  COMMON 248019101   $      61       3,400    SH   DEFINED              22       -        0       3,400
DELUXE CORP                  COMMON 248019101   $     624      35,034    SH   DEFINED              23    35,034      0         -
DELUXE CORP                  COMMON 248019101   $       3         165    SH   DEFINED              24       165      0         -
DELUXE CORP                  COMMON 248019101   $        1          47   SH   DEFINED                5        47     0          -
DELUXE CORP                  COMMON 248019101   $    1,263      70,900   SH   DEFINED             5,15    70,900     0          -
DELUXE CORP                  COMMON 248019101   $      155       8,700   SH   DEFINED                8     8,700     0          -
DELUXE CORP                  COMMON 248019101   $       43       2,400   SH   DEFINED             8,20     2,400     0          -
DEMANDTEC INC                COMMON 24802R506   $        1         115   SH   DEFINED               23       115     0          -
DENDREON CORP                COMMON 24823Q107   $      111      25,000   SH   DEFINED               22       -       0       25,000
DENDREON CORP                COMMON 24823Q107   $        3         740   SH   DEFINED               23       740     0          -
DENISON MINES CORP           COMMON 248356107   $       69       8,270   SH   DEFINED               22       -       0        8,270
DENNY'S CORPORATION          COMMON 24869P104   $    1,132     398,500   SH   DEFINED               14   273,500     0      125,000
DENNY'S CORPORATION          COMMON 24869P104   $       78      27,347   SH   DEFINED               23    27,347     0          -
DENNY'S CORPORATION          COMMON 24869P104   $      133      46,700   SH   DEFINED             5,15    46,700     0          -
DENNY'S CORPORATION          COMMON 24869P104   $       72      25,200   SH   DEFINED                8    25,200     0          -
DENNY'S CORPORATION          COMMON 24869P104   $       20       7,200   SH   DEFINED             8,20     7,200     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $   11,070     300,814   SH   DEFINED                1   300,814     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $      118       3,200   SH   DEFINED            10,14     3,200     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $        7         200   SH   DEFINED               13       200     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $   12,130     329,620   SH   DEFINED               14   152,520     0      173,500
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $      563      15,300   SH   DEFINED             14,7       -       0       15,300
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $    1,054      28,630   SH   DEFINED                2    28,630     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $        7         200   SH   DEFINED            20,14       -       0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $    1,475      40,073   SH   DEFINED             20,2       -       0       40,073
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $      714      19,396   SH   DEFINED               21    19,396     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $       52       1,400   SH   DEFINED               22       200     0        1,200
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $    6,074     165,049   SH   DEFINED               23   165,049     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $    1,448      39,361   SH   DEFINED               24    39,361     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $    3,299      89,650   SH   DEFINED                3    89,650     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $       11         300   SH   DEFINED                5       300     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $       69       1,885   SH   DEFINED                7     1,885     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $   12,043     327,254   SH   DEFINED                8   327,254     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $    1,748      47,500   SH   DEFINED             8,14    47,500     0          -
DENTSPLY INTERNATIONAL INC   COMMON 249030107   $      475      12,900   SH   DEFINED                9    12,900     0          -
DEPOMED INC                  COMMON 249908104   $        1         415   SH   DEFINED               23       415     0          -
DESARROLLADORA HOMEX ADR     COMMON 25030W100   $   33,077     564,639   SH   DEFINED                1   564,639     0          -
DESARROLLADORA HOMEX ADR     COMMON 25030W100   $    6,321     107,910   SH   DEFINED                2   107,910     0          -
DESARROLLADORA HOMEX ADR     COMMON 25030W100   $   12,637     215,726   SH   DEFINED                4   215,726     0          -
DESARROLLADORA HOMEX ADR     COMMON 25030W100   $    6,883     117,500   SH   DEFINED                8   117,500     0          -
DESWELL INDUSTRIES INC       COMMON 250639101   $      233      41,159   SH   DEFINED               23    41,159     0          -
DEUTSCHE TELEKOM AG ADR      COMMON 251566105   $      136       8,293   SH   DEFINED               22     2,098     0        6,195
DEUTSCHE TELEKOM AG ADR      COMMON 251566105   $       11         697   SH   DEFINED                4       697     0          -
DEVELOPERS DIVERS REALTY
CRP                          COMMON 251591103   $   41,006   1,181,400   SH   DEFINED             1,15 1,181,400     0          -
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $  125,088   3,603,796   SH   DEFINED               14 2,168,496     0    1,235,300
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $    2,041      58,800   SH   DEFINED            18,14    58,800     0          -
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $      590      17,000   SH   DEFINED            19,14    17,000     0          -
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $    5,727     165,000   SH   DEFINED             2,15   165,000     0          -
DEVELOPERS DIVERS REALTY
CRP                          COMMON 251591103   $    8,843     254,757   SH   DEFINED               22   115,454     0      139,303
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $      343       9,892   SH   DEFINED               23     9,892     0          -
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $        5         153   SH   DEFINED               24       153     0          -
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $      705      20,300   SH   DEFINED             3,15     8,700     0       11,600
DEVELOPERS DIVERS REALTY
CRP                          COMMON 251591103   $    5,624     162,022   SH   DEFINED                5   142,084     0       19,938
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $   10,203     293,960   SH   DEFINED             5,15   293,960     0          -
DEVELOPERS DIVERS REALTY
 CRP                         COMMON 251591103   $      104       3,000   SH   DEFINED             6,14     3,000     0          -
DEVELOPERS DIVERS REALTY
CRP                          COMMON 251591103   $    1,739      50,100   SH   DEFINED             8,14       -       0       50,100
DEVON ENERGY CORPORATION     COMMON 25179M103   $  119,618     995,490   SH   DEFINED                1   995,490     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $      481       4,000   SH   DEFINED            10,14     4,000     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $   19,346     161,000   SH   DEFINED             13,2       -       0      161,000
DEVON ENERGY CORPORATION     COMMON 25179M103   $   23,970     199,480   SH   DEFINED               14   142,180     0       38,400
DEVON ENERGY CORPORATION     COMMON 25179M103   $    5,684      47,300   SH   DEFINED             14,7       -       0       47,300
DEVON ENERGY CORPORATION     COMMON 25179M103   $    1,243      10,342   SH   DEFINED               21    10,342     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $   11,778      98,022   SH   DEFINED               22    41,678     0       56,344
DEVON ENERGY CORPORATION     COMMON 25179M103   $   11,622      96,720   SH   DEFINED               23    96,720     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $       73         607   SH   DEFINED               24       607     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $    9,664      80,426   SH   DEFINED                5    59,291     0       21,135
DEVON ENERGY CORPORATION     COMMON 25179M103   $    2,236      18,609   SH   DEFINED                7    18,609     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $    1,096       9,122   SH   DEFINED                8     9,122     0          -
DEVON ENERGY CORPORATION     COMMON 25179M103   $    3,533      29,400   SH   DEFINED             8,14    29,400     0          -
CHEVRONTEXACO CVT(DVN)
4.95 08                      CONVERT25179MAB9   $   33,156  17,850,000   SH   DEFINED               14       -       0   15,125,000
DEVRY INC                    COMMON 251893103   $   21,091     393,338   SH   DEFINED                1   393,338     0          -
DEVRY INC                    COMMON 251893103   $    1,496      27,900   SH   DEFINED             1,15    27,900     0          -
DEVRY INC                    COMMON 251893103   $      145       2,710   SH   DEFINED               11     2,710     0          -
DEVRY INC                    COMMON 251893103   $   16,452     306,828   SH   DEFINED               14   167,028     0      136,300
DEVRY INC                    COMMON 251893103   $      863      16,100   SH   DEFINED             14,7       -       0       16,100
DEVRY INC                    COMMON 251893103   $   17,257     321,848   SH   DEFINED                2   321,848     0          -
DEVRY INC                    COMMON 251893103   $      516       9,629   SH   DEFINED               21     9,629     0          -
DEVRY INC                    COMMON 251893103   $      151       2,825   SH   DEFINED               23     2,825     0          -
DEVRY INC                    COMMON 251893103   $       49         920   SH   DEFINED                5       765     0          155
DEVRY INC                    COMMON 251893103   $    9,361     174,584   SH   DEFINED                8   174,584     0          -
DEVRY INC                    COMMON 251893103   $      386       7,200   SH   DEFINED                9     7,200     0          -
DEXCOM INC                   COMMON 252131107   $    5,512     912,529   SH   DEFINED                1   912,529     0          -
DEXCOM INC                   COMMON 252131107   $      522      86,461   SH   DEFINED                2    86,461     0          -
DEXCOM INC                   COMMON 252131107   $      693     114,809   SH   DEFINED             20,2       -       0      114,809
DEXCOM INC                   COMMON 252131107   $        1         184   SH   DEFINED               23       184     0          -
DIAGEO PLC ADR               COMMON 25243Q205   $   56,960     771,090   SH   DEFINED               11   767,265     0        3,825
DIAGEO PLC ADR               COMMON 25243Q205   $      981      13,281   SH   DEFINED               14    13,281     0          -
DIAGEO PLC ADR               COMMON 25243Q205   $      251       3,400   SH   DEFINED            19,14     3,400     0          -
DIAGEO PLC ADR               COMMON 25243Q205   $      131       1,770   SH   DEFINED               22       -       0        1,770
DIAGEO PLC ADR               COMMON 25243Q205   $    6,240      84,476   SH   DEFINED               23    84,476     0          -
DIAGEO PLC ADR               COMMON 25243Q205   $      316       4,277   SH   DEFINED                4     4,277     0          -
DIAGEO PLC ADR               COMMON 25243Q205   $    1,743      23,599   SH   DEFINED                5    17,405     0        6,194
DIAMOND FOODS INC            COMMON 252603105   $      376      16,330   SH   DEFINED               23    16,330     0          -
DIAMOND FOODS INC            COMMON 252603105   $      114       4,950   SH   DEFINED                5       -       0        4,950
DIAMOND MANAGEMENT &
TECHNOL                      COMMON 25269L106   $    1,068     204,900   SH   DEFINED               14   122,600     0       82,300
DIAMOND MANAGEMENT &
TECHNOL                      COMMON 25269L106   $        6       1,112   SH   DEFINED               23     1,112     0          -
DIAMOND MANAGEMENT &
TECHNOL                      COMMON 25269L106   $      163      31,300   SH   DEFINED             5,15    31,300     0          -
DIAMOND OFFSHORE DRILLING    COMMON 25271C102   $   47,864     344,000   SH   DEFINED                1   344,000     0          -
DIAMOND OFFSHORE DRILLING    COMMON 25271C102   $    8,627      62,000   SH   DEFINED             13,2       -       0       62,000
DIAMOND OFFSHORE DRILLING    COMMON 25271C102   $       28         200   SH   DEFINED               22       -       0          200
DIAMOND OFFSHORE DRILLING    COMMON 25271C102   $   23,956     172,173   SH   DEFINED               23   172,173     0          -
DIAMOND OFFSHORE DRILLING    COMMON 25271C102   $        3          22   SH   DEFINED               24        22     0          -
DIAMOND OFFSHORE DRILLING    COMMON 25271C102   $      126         902   SH   DEFINED                7       902     0          -
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $    2,890     265,400   SH   DEFINED             1,15   265,400     0          -
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $  28,115   2,581,757    SH   DEFINED               14 1,537,657     0     965,600
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $     301      27,600    SH   DEFINED             2,15    27,600     0         -
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $      93       8,562    SH   DEFINED               23     8,562     0         -
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $      21       1,900    SH   DEFINED             3,15       -       0       1,900
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $   2,626     241,100    SH   DEFINED             5,15   241,100     0         -
DIAMONDROCK HOSPITALITY CO   COMMON 252784301   $      60       5,500    SH   DEFINED             6,14     5,500     0         -
DIAMONDS TRUST SERIES I ETF  COMMON 252787106   $     308       2,712    SH   DEFINED               22     1,500     0       1,212
DICE HOLDINGS INC            COMMON 253017107   $     202      24,416    SH   DEFINED               23    24,416     0         -
DICKS SPORTING GOODS INC     COMMON 253393102   $  16,652     938,648    SH   DEFINED                1   938,648     0         -
DICKS SPORTING GOODS INC     COMMON 253393102   $   5,775     325,520    SH   DEFINED                2   246,591     0      78,929
DICKS SPORTING GOODS INC     COMMON 253393102   $   3,041     171,445    SH   DEFINED               22   158,875     0      12,570
DICKS SPORTING GOODS INC     COMMON 253393102   $      64       3,616    SH   DEFINED               23     3,616     0         -
DICKS SPORTING GOODS INC     COMMON 253393102   $       1          70    SH   DEFINED               24        70     0         -
DICKS SPORTING GOODS INC     COMMON 253393102   $   1,988     112,051    SH   DEFINED                5    78,058     0      33,993
DIEBOLD INC                  COMMON 253651103   $     339       9,529    SH   DEFINED               23     9,529     0         -
DIEBOLD INC                  COMMON 253651103   $       6         161    SH   DEFINED               24       161     0         -
DIEBOLD INC                  COMMON 253651103   $      12         325    SH   DEFINED                5       325     0         -
DIGI INTERNATIONAL INC       COMMON 253798102   $      11       1,354    SH   DEFINED               22       -       0       1,354
DIGI INTERNATIONAL INC       COMMON 253798102   $     183      23,316    SH   DEFINED               23    23,316     0         -
DIGIMARC CORP                COMMON 253807101   $       3         191    SH   DEFINED               23       191     0         -
DIGITAL ANGEL CORP*OLD       COMMON 253830103       $ -            50    SH   DEFINED               22       -       0          50
DIGITAL REALTY TRUST INC     COMMON 253868103   $  34,062     832,600    SH   DEFINED             1,15   832,600     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $  87,001   2,126,644    SH   DEFINED               14 1,279,944     0     718,800
DIGITAL REALTY TRUST INC     COMMON 253868103   $   1,718      42,000    SH   DEFINED            18,14    42,000     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $     515      12,600    SH   DEFINED            19,14    12,600     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $   4,758     116,300    SH   DEFINED             2,15   116,300     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $      96       2,358    SH   DEFINED               23     2,358     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $     597      14,600    SH   DEFINED             3,15     6,500     0       8,100
DIGITAL REALTY TRUST INC     COMMON 253868103   $     220       5,375    SH   DEFINED                5       -       0       5,375
DIGITAL REALTY TRUST INC     COMMON 253868103   $   6,703     163,840    SH   DEFINED             5,15   163,840     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $      49       1,200    SH   DEFINED             6,14     1,200     0         -
DIGITAL REALTY TRUST INC     COMMON 253868103   $   1,518      37,100    SH   DEFINED             8,14       -       0      37,100
DIGITAL RIVER INC            COMMON 25388B104   $      13         336    SH   DEFINED               22       -       0         336
DIGITAL RIVER INC            COMMON 25388B104   $   1,562      40,484    SH   DEFINED               23    40,484     0         -
DIGITAL RIVER INC            COMMON 25388B104   $     117       3,045    SH   DEFINED                5       770     0       2,275
DIME COMMUNITY BANCSHARES    COMMON 253922108   $   3,855     233,500    SH   DEFINED               14   176,200     0      57,300
DIME COMMUNITY BANCSHARES    COMMON 253922108   $     323      19,561    SH   DEFINED               23    19,561     0         -
DIME COMMUNITY BANCSHARES    COMMON 253922108   $     283      17,150    SH   DEFINED                5       -       0      17,150
DIME COMMUNITY BANCSHARES    COMMON 253922108   $     641      38,800    SH   DEFINED             5,15    38,800     0         -
DIME COMMUNITY BANCSHARES    COMMON 253922108   $     221      13,400    SH   DEFINED                8    13,400     0         -
DIME COMMUNITY BANCSHARES    COMMON 253922108   $      61       3,700    SH   DEFINED             8,20     3,700     0         -
DILLARDS INC CL A            COMMON 254067101   $     290      25,028    SH   DEFINED               23    25,028     0         -
DILLARDS INC CL A            COMMON 254067101   $       5         447    SH   DEFINED               24       447     0         -
DILLARDS INC CL A            COMMON 254067101   $       3         273    SH   DEFINED                5       -       0         273
DINEEQUITY INC               COMMON 254423106   $   6,076     162,646    SH   DEFINED                1   162,646     0         -
DINEEQUITY INC               COMMON 254423106   $   3,513      94,027    SH   DEFINED                2    36,597     0      57,430
DINEEQUITY INC               COMMON 254423106   $      77       2,065    SH   DEFINED               23     2,065     0         -
DIODES INC                   COMMON 254543101   $  12,631     456,992    SH   DEFINED                1   456,992     0         -
DIODES INC                   COMMON 254543101   $  10,191     368,695    SH   DEFINED                2   368,695     0         -
DIODES INC                   COMMON 254543101   $      53       1,934    SH   DEFINED               23     1,934     0         -
DIONEX CORP                  COMMON 254546104   $   5,234      78,863    SH   DEFINED                1    78,863     0         -
DIONEX CORP                  COMMON 254546104   $     458       6,900    SH   DEFINED               14     6,900     0         -
DIONEX CORP                  COMMON 254546104   $   3,062      46,137    SH   DEFINED                2    18,091     0      28,046
DIONEX CORP                  COMMON 254546104   $  10,314     155,408    SH   DEFINED               23   155,408     0         -
DIONEX CORP                  COMMON 254546104   $     279       4,200    SH   DEFINED                5       -       0       4,200
DIRECTV GROUP INC/THE        COMMON 25459L106   $     407      15,700    SH   DEFINED             1,15    15,700     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $     953      36,800    SH   DEFINED            10,14    36,800     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $      31       1,200    SH   DEFINED               13     1,200     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $  60,572   2,337,770    SH   DEFINED               14 1,557,570     0     679,800
DIRECTV GROUP INC/THE        COMMON 25459L106   $   1,394      53,800    SH   DEFINED            14,13       -       0      53,800
DIRECTV GROUP INC/THE        COMMON 25459L106   $   3,905     150,700    SH   DEFINED            14,7       -        0     150,700
DIRECTV GROUP INC/THE        COMMON 25459L106   $     143       5,500    SH   DEFINED            20,14       -       0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $       2          59    SH   DEFINED               21        59     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $      33       1,284    SH   DEFINED               22       -       0       1,284
DIRECTV GROUP INC/THE        COMMON 25459L106   $  26,359   1,017,324    SH   DEFINED               23 1,017,324     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $   6,743     260,242    SH   DEFINED               24   260,242     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $     318      12,260    SH   DEFINED                5       -       0      12,260
DIRECTV GROUP INC/THE        COMMON 25459L106   $   3,125     120,600    SH   DEFINED             5,15   120,600     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $   1,793      69,205    SH   DEFINED                7    69,205     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $   1,058      40,831    SH   DEFINED                8    40,831     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $   4,824     186,200    SH   DEFINED             8,14   186,200     0         -
DIRECTV GROUP INC/THE        COMMON 25459L106   $     757      29,200    SH   DEFINED             9,14       -       0      29,200
DISCOVERY LABORATORIES INC   COMMON 254668106   $       1         845    SH   DEFINED               23       845     0         -
THE WALT DISNEY CO           COMMON 254687106   $  92,858   2,976,214    SH   DEFINED                1 2,976,214     0         -
THE WALT DISNEY CO           COMMON 254687106   $     568      18,200    SH   DEFINED            10,14    18,200     0         -
THE WALT DISNEY CO           COMMON 254687106   $   1,713      54,905    SH   DEFINED             13,2       -       0      54,905
THE WALT DISNEY CO           COMMON 254687106   $  13,770     441,344    SH   DEFINED               14   348,644     0      73,000
THE WALT DISNEY CO           COMMON 254687106   $   3,161     101,300    SH   DEFINED             14,7       -       0     101,300
THE WALT DISNEY CO           COMMON 254687106   $     156       5,000    SH   DEFINED            20,14       -       0         -
THE WALT DISNEY CO           COMMON 254687106   $       5         150    SH   DEFINED               21       150     0         -
THE WALT DISNEY CO           COMMON 254687106   $  13,154     421,603    SH   DEFINED               22   131,983     0     289,620
THE WALT DISNEY CO           COMMON 254687106   $   8,579     274,971    SH   DEFINED               23   274,971     0         -
THE WALT DISNEY CO           COMMON 254687106   $      70       2,259    SH   DEFINED               24     2,259     0         -
THE WALT DISNEY CO           COMMON 254687106   $   3,022      96,844    SH   DEFINED                4    96,844     0         -
THE WALT DISNEY CO           COMMON 254687106   $   3,799     121,751    SH   DEFINED                5    59,183     0      62,568
THE WALT DISNEY CO           COMMON 254687106   $   1,663      53,316    SH   DEFINED                7    53,316     0         -
THE WALT DISNEY CO           COMMON 254687106   $   3,852     123,470    SH   DEFINED                8   123,470     0         -
THE WALT DISNEY CO           COMMON 254687106   $   3,338     107,000    SH   DEFINED             8,14   107,000     0         -
DISCOVERY HOLDING CO-A       COMMON 25468Y107   $     200       9,104    SH   DEFINED               22     9,104     0         -
DISCOVERY HOLDING CO-A       COMMON 25468Y107   $     264      12,033    SH   DEFINED               23    12,033     0         -
DISCOVERY HOLDING CO-A       COMMON 25468Y107   $   1,442      65,670    SH   DEFINED               24    65,670     0         -
DISCOVERY HOLDING CO-A       COMMON 25468Y107   $     136       6,188    SH   DEFINED                5     2,123     0       4,065
DISCOVERY HOLDING CO-A       COMMON 25468Y107   $      95       4,346    SH   DEFINED                7     4,346     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $     519      39,400    SH   DEFINED                1    39,400     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $   1,047      79,500    SH   DEFINED             1,15    79,500     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $   2,399     182,138    SH   DEFINED              1,9   182,138     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $     345      26,200    SH   DEFINED            10,14    26,200     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      36       2,755    SH   DEFINED               11     2,755     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      22       1,700    SH   DEFINED               13     1,700     0         -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $  19,979   1,517,040    SH   DEFINED               14   921,440     0     553,400
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      323      24,500   SH   DEFINED            14,13        -     0       24,500
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $    1,304      99,000   SH   DEFINED             14,7        -     0       99,000
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $       68       5,200   SH   DEFINED            20,14        -     0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $       35       2,629   SH   DEFINED               22        375   0        2,254
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      872      66,237   SH   DEFINED               23     66,237   0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $       42       3,199   SH   DEFINED               24      3,199   0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      110       8,353   SH   DEFINED                5      6,541   0        1,812
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      715      54,300   SH   DEFINED             5,15     54,300   0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      392      29,753   SH   DEFINED                7     29,753   0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      317      24,100   SH   DEFINED                8     24,100   0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $    2,083     158,200   SH   DEFINED             8,14    158,200   0          -
DISCOVER FINANCIAL SERVICES  COMMON 254709108   $      174      13,200   SH   DEFINED             9,14        -     0       13,200
DISH NETWORK CORP-A          COMMON 25470M109   $    3,467     118,396   SH   DEFINED                1    118,396   0          -
DISH NETWORK CORP-A          COMMON 25470M109   $       18         600   SH   DEFINED               13        600   0          -
DISH NETWORK CORP-A          COMMON 25470M109   $      278       9,505   SH   DEFINED             13,2        -     0        9,505
DISH NETWORK CORP-A          COMMON 25470M109   $      899      30,710   SH   DEFINED               14     26,710   0        1,600
DISH NETWORK CORP-A          COMMON 25470M109   $      111       3,800   SH   DEFINED             14,7        -     0        3,800
DISH NETWORK CORP-A          COMMON 25470M109   $       18         600   SH   DEFINED            20,14        -     0          -
DISH NETWORK CORP-A          COMMON 25470M109   $        3         100   SH   DEFINED               22        -     0          100
DISH NETWORK CORP-A          COMMON 25470M109   $    2,100      71,710   SH   DEFINED               23      71,710  0          -
DISH NETWORK CORP-A          COMMON 25470M109   $    1,763      60,205   SH   DEFINED               24      60,205  0          -
DISH NETWORK CORP-A          COMMON 25470M109   $      136       4,661   SH   DEFINED                7       4,661  0          -
DITECH NETWORKS INC          COMMON 25500T108   $        2         966   SH   DEFINED               23         966  0          -
DIVX INC                     COMMON 255413106   $    2,691     366,651   SH   DEFINED                1      45,914  0          -
DIVX INC                     COMMON 255413106   $        5         616   SH   DEFINED               23         616  0          -
DIXIE GROUP INC              COMMON 255519100   $       36       4,971   SH   DEFINED               23       4,971  0          -
DOLAN MEDIA COMPANY          COMMON 25659P402   $      166       9,144   SH   DEFINED               23       9,144  0          -
DOLBY LABORATORIES INC-CL A  COMMON 25659T107   $    4,701     116,652   SH   DEFINED                1     116,652  0          -
DOLBY LABORATORIES INC-CL A  COMMON 25659T107   $      505      12,527   SH   DEFINED             20,2      12,527  0          -
DOLBY LABORATORIES INC-CL A  COMMON 25659T107   $       20         500   SH   DEFINED               22        -     0          500
DOLBY LABORATORIES INC-CL A  COMMON 25659T107   $    2,822      70,020   SH   DEFINED               23      70,020  0          -
DOLBY LABORATORIES INC-CL A  COMMON 25659T107   $       42       1,036   SH   DEFINED                5        -     0        1,036
DOLLAR FINANCIAL CORP        COMMON 256664103   $       53       3,512   SH   DEFINED               23       3,512  0          -
DOLLAR THRIFTY AUTOMOTIVE GP COMMON 256743105   $      129      13,645   SH   DEFINED               23      13,645  0          -
DOLLAR THRIFTY AUTOMOTIVE GP COMMON 256743105   $        2         255   SH   DEFINED               24         255  0          -
DOLLAR THRIFTY AUTOMOTIVE GP COMMON 256743105   $       90       9,480   SH   DEFINED                5       2,405  0        7,075
DOLLAR TREE INC              COMMON 256746108   $   18,105     553,850   SH   DEFINED               14     244,950  0      304,100
DOLLAR TREE INC              COMMON 256746108   $      232       7,100   SH   DEFINED             14,7        -     0        7,100
DOLLAR TREE INC              COMMON 256746108   $    2,241      68,554   SH   DEFINED               23      68,554  0          -
DOLLAR TREE INC              COMMON 256746108   $        6         172   SH   DEFINED               24         172  0          -
DOLLAR TREE INC              COMMON 256746108   $      812      24,840   SH   DEFINED                5         615  0       24,225
DOLLAR TREE INC              COMMON 256746108   $       66       2,029   SH   DEFINED                7       2,029  0          -
DOLLAR TREE INC              COMMON 256746108   $      492      15,044   SH   DEFINED                8      15,044  0          -
DOMINION RESOURCES INC-VA    COMMON 25746U109   $   50,027   1,053,426   SH   DEFINED                1   1,053,426  0          -
DOMINION RESOURCES INC-VA    COMMON 25746U109   $    2,555      53,800   SH   DEFINED               14      43,900  0        4,500
DOMINION RESOURCES INC-VA    COMMON 25746U109   $    2,479      52,200   SH   DEFINED             14,7         -    0       52,200
DOMINION RESOURCES INC-VA    COMMON 25746U109   $      510      10,734   SH   DEFINED               22       1,936  0        8,798
DOMINION RESOURCES INC-VA    COMMON 25746U109   $   27,651     582,244   SH   DEFINED               23     582,244  0          -
DOMINION RESOURCES INC-VA    COMMON 25746U109   $    1,379      29,048   SH   DEFINED               24      29,048  0          -
DOMINION RESOURCES INC-VA    COMMON 25746U109   $      438       9,226   SH   DEFINED                5       6,158  0        3,068
DOMINION RESOURCES INC-VA    COMMON 25746U109   $    1,295      27,259   SH   DEFINED                7      27,259  0          -
DOMINION RESOURCES INC-VA    COMMON 25746U109   $    1,073      22,600   SH   DEFINED             8,14      22,600  0          -
DOMINO'S PIZZA INC           COMMON 25754A201   $       69       6,000   SH   DEFINED               14       6,000  0          -
DOMINO'S PIZZA INC           COMMON 25754A201   $       70       6,123   SH   DEFINED               23       6,123  0          -
DOMINO'S PIZZA INC           COMMON 25754A201   $       63       5,440   SH   DEFINED                5       -      0        5,440
DOMTAR CORP                  COMMON 257559104   $      393      72,177   SH   DEFINED               23      72,177  0          -
DOMTAR CORP                  COMMON 257559104   $        5         853   SH   DEFINED               24         853  0          -
DOMTAR CORP                  COMMON 257559104   $   76,428  14,023,400   SH   DEFINED                3  14,023,400  0          -
DONALDSON CO INC             COMMON 257651109   $       15         346   SH   DEFINED               22         -    0          346
DONALDSON CO INC             COMMON 257651109   $    5,518     123,609   SH   DEFINED               23     123,609  0          -
DONALDSON CO INC             COMMON 257651109   $        7         157   SH   DEFINED                5         -    0          157
DONEGAL GROUP INC-CL A       COMMON 257701201   $       46       2,897   SH   DEFINED               23       2,897  0          -
DONNELLEY (R.R.) & SONS CO   COMMON 257867101   $       14         455   SH   DEFINED               14         455  0          -
DONNELLEY (R.R.) & SONS CO   COMMON 257867101   $        4         130   SH   DEFINED               21         130  0          -
DONNELLEY (R.R.) & SONS CO   COMMON 257867101   $    1,929      64,957   SH   DEFINED               22         -    0       64,957
DONNELLEY (R.R.) & SONS CO   COMMON 257867101   $    2,387      80,403   SH   DEFINED               23      80,403  0          -
DONNELLEY (R.R.) & SONS CO   COMMON 257867101   $       13         445   SH   DEFINED               24         445  0          -
DONNELLEY (R.R.) & SONS CO   COMMON 257867101   $      510      17,172   SH   DEFINED                5      16,837  0          335
DORAL FINANCIAL CORP         COMMON 25811P886   $      527      38,900   SH   DEFINED               14      30,200  0        8,700
DORAL FINANCIAL CORP         COMMON 25811P886   $        7         513   SH   DEFINED               22         -    0          513
DORAL FINANCIAL CORP         COMMON 25811P886   $       92       6,800   SH   DEFINED             5,15       6,800  0          -
DORMAN PRODUCTS INC          COMMON 258278100   $       29       3,085   SH   DEFINED               23       3,085  0          -
DOT HILL SYSTEMS CORP        COMMON 25848T109   $        1         399   SH   DEFINED               23         399  0          -
DOUBLE EAGLE PETROLEUM CO    COMMON 258570209   $        1          80   SH   DEFINED               23          80  0          -
DOUBLE-TAKE SOFTWARE INC     COMMON 258598101   $    5,500     400,279   SH   DEFINED                1     400,279  0          -
DOUBLE-TAKE SOFTWARE INC     COMMON 258598101   $      594      43,200   SH   DEFINED               14      22,900  0       20,300
DOUBLE-TAKE SOFTWARE INC     COMMON 258598101   $    2,031     147,836   SH   DEFINED                2       7,530  0      140,306
DOUBLE-TAKE SOFTWARE INC     COMMON 258598101   $      149      10,857   SH   DEFINED               23      10,857  0          -
DOUBLE-TAKE SOFTWARE INC     COMMON 258598101   $       88       6,400   SH   DEFINED             5,15       6,400  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $   15,575     708,900   SH   DEFINED             1,15     708,900  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $   38,071   1,732,861   SH   DEFINED               14   1,074,261  0      530,300
DOUGLAS EMMETT INC           COMMON 25960P109   $    1,235      56,200   SH   DEFINED            18,14      56,200  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $      354      16,100   SH   DEFINED            19,14      16,100  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $    1,887      85,900   SH   DEFINED             2,15      85,900  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $      118       5,386   SH   DEFINED               23       5,386  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $      314      14,300   SH   DEFINED             3,15       8,100  0        6,200
DOUGLAS EMMETT INC           COMMON 25960P109   $    2,011      91,516   SH   DEFINED             5,15      91,516  0          -
DOUGLAS EMMETT INC           COMMON 25960P109   $    1,044      47,500   SH   DEFINED             8,14         -    0       47,500
DOVER CORP                   COMMON 260003108   $   31,269     646,445   SH   DEFINED                1     646,445  0          -
DOVER CORP                   COMMON 260003108   $      539      11,150   SH   DEFINED               14      11,050  0          100
DOVER CORP                   COMMON 260003108   $      111       2,300   SH   DEFINED             14,7         -    0        2,300
DOVER CORP                   COMMON 260003108   $      123       2,541   SH   DEFINED               22         400  0        2,141
DOVER CORP                   COMMON 260003108   $    1,105      22,855   SH   DEFINED               23      22,855  0          -
DOVER CORP                   COMMON 260003108   $       13         259   SH   DEFINED               24         259  0          -
DOVER CORP                   COMMON 260003108   $   17,468     361,142   SH   DEFINED                4     361,142  0          -
DOVER CORP                   COMMON 260003108   $    1,201      24,838   SH   DEFINED                5      22,738  0        2,100
DOVER CORP                   COMMON 260003108   $      199       4,112   SH   DEFINED                7       4,112  0          -
DOVER DOWNS GAMING &
ENTERTA                      COMMON 260095104   $       27       4,230   SH   DEFINED               23       4,230  0          -
ENERPLUS RES FD              COMMON   2603515   $      321       6,900   SH   DEFINED               23       6,900  0          -


ENERPLUS RES FD              COMMON   2603515   $      23         500    SH   DEFINED               24         500    0         -
ENERPLUS RES FD              COMMON   2603515   $     127       2,728    SH   DEFINED                7       2,728    0         -
DOW CHEMICAL                 COMMON 260543103   $     908      26,000    SH   DEFINED                1      26,000    0         -
DOW CHEMICAL                 COMMON 260543103   $   1,065      30,500    SH   DEFINED             1,15      30,500    0         -
DOW CHEMICAL                 COMMON 260543103   $      63       1,800    SH   DEFINED            10,14       1,800    0         -
DOW CHEMICAL                 COMMON 260543103   $  30,439     871,918    SH   DEFINED               11     147,118    0     724,800
DOW CHEMICAL                 COMMON 260543103   $      49       1,400    SH   DEFINED               13       1,400    0         -
DOW CHEMICAL                 COMMON 260543103   $  11,152     319,463    SH   DEFINED               14     238,263    0      63,200
DOW CHEMICAL                 COMMON 260543103   $   1,135      32,500    SH   DEFINED             14,7         -      0      32,500
DOW CHEMICAL                 COMMON 260543103   $      16         455    SH   DEFINED            18,11         455    0         -
DOW CHEMICAL                 COMMON 260543103   $     471      13,500    SH   DEFINED            18,14         -      0      13,500
DOW CHEMICAL                 COMMON 260543103   $   1,571      45,000    SH   DEFINED            19,14      25,900    0      19,100
DOW CHEMICAL                 COMMON 260543103   $      49       1,400    SH   DEFINED            20,14         -      0         -
DOW CHEMICAL                 COMMON 260543103   $     505      14,472    SH   DEFINED               22       1,000    0      13,472
DOW CHEMICAL                 COMMON 260543103   $   6,806     194,945    SH   DEFINED               23     194,945    0         -
DOW CHEMICAL                 COMMON 260543103   $      77       2,199    SH   DEFINED               24       2,199    0         -
DOW CHEMICAL                 COMMON 260543103   $       5         150    SH   DEFINED                4         150    0         -
DOW CHEMICAL                 COMMON 260543103   $     338       9,683    SH   DEFINED                5       3,299    0       6,384
DOW CHEMICAL                 COMMON 260543103   $   1,586      45,431    SH   DEFINED                7      45,431    0         -
DOW CHEMICAL                 COMMON 260543103   $   1,234      35,338    SH   DEFINED                8      35,338    0         -
DOW CHEMICAL                 COMMON 260543103   $   5,351     153,293    SH   DEFINED             8,14     109,800    0      43,493
DOWNEY FINANCIAL CORP        COMMON 261018105   $      12       4,265    SH   DEFINED               23       4,265    0         -
DOWNEY FINANCIAL CORP        COMMON 261018105       $ -            77    SH   DEFINED               24          77    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $     348      16,603    SH   DEFINED                1      16,603    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $     747      35,600    SH   DEFINED             1,15      35,600    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $      33       1,566    SH   DEFINED               11       1,535    0          31
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $       6         300    SH   DEFINED               13         300    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $   6,451     307,480    SH   DEFINED               14     194,480    0     107,200
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $     596      28,400    SH   DEFINED             14,7         -      0      28,400
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $       6         300    SH   DEFINED            20,14         -      0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $       5         219    SH   DEFINED               21         219    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $       6         308    SH   DEFINED               22         -      0         308
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $      30       1,450    SH   DEFINED               23       1,450    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109       $ -             2    SH   DEFINED                3           2    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $       2          80    SH   DEFINED                4          80    0         -
DR PEPPER SNAPPLE GROUP INC  COMMON 26138E109   $      37       1,744    SH   DEFINED                5         -      0       1,744
DRDGOLD LTD-SPONSORED ADR    COMMON 26152H301   $       2         233    SH   DEFINED               23         233    0         -
DREAMWORKS ANIMATION SKG-A   COMMON 26153C103       $ -            10    SH   DEFINED               22         -      0          10
DREAMWORKS ANIMATION SKG-A   COMMON 26153C103   $   4,417     148,183    SH   DEFINED               23     148,183    0         -
DREAMWORKS ANIMATION SKG-A   COMMON 26153C103   $       4         120    SH   DEFINED                5         120    0         -
DRESS BARN INC               COMMON 261570105   $   1,231      92,029    SH   DEFINED               23      92,029    0         -
DRESSER-RAND GROUP INC       COMMON 261608103   $  10,870     278,000    SH   DEFINED               14     127,100    0     147,400
DRESSER-RAND GROUP INC       COMMON 261608103   $  11,099     283,860    SH   DEFINED               23     283,860    0         -
DRESSER-RAND GROUP INC       COMMON 261608103   $     377       9,630    SH   DEFINED                5         -      0       9,630
DREW INDUSTRIES INC          COMMON 26168L205   $     137       8,575    SH   DEFINED               23       8,575    0         -
DRIL-QUIP                    COMMON 262037104   $  19,409     308,076    SH   DEFINED                1     308,076    0         -
DRIL-QUIP                    COMMON 262037104   $  15,956     253,273    SH   DEFINED                2     253,273    0         -
DRIL-QUIP                    COMMON 262037104   $      87       1,374    SH   DEFINED               23       1,374    0         -
DRUGSTORE.COM INC            COMMON 262241102   $       1         632    SH   DEFINED               23         632    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $  19,922     464,500    SH   DEFINED                1     464,500    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   6,056     141,200    SH   DEFINED             1,15     141,200    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   1,124      26,200    SH   DEFINED            10,14      26,200    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $  64,212   1,497,142    SH   DEFINED               14   1,017,742    0     433,800
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   1,553      36,200    SH   DEFINED            14,13         -      0      36,200
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   5,764     134,400    SH   DEFINED             14,7         -      0     134,400
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $     223       5,195    SH   DEFINED               19       5,195    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $     227       5,300    SH   DEFINED            20,14         -      0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $       4         100    SH   DEFINED               21         100    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   3,394      79,144    SH   DEFINED               22       5,944    0      73,200
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $  12,588     293,485    SH   DEFINED               23     293,485    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $      61       1,422    SH   DEFINED               24       1,422    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   2,047      47,723    SH   DEFINED                5      31,776    0      15,947
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   3,500      81,600    SH   DEFINED             5,15      81,600    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $     622      14,500    SH   DEFINED                6      14,500    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   1,492      34,784    SH   DEFINED                7      34,784    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $   3,168      73,865    SH   DEFINED                8      73,865    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $  10,482     244,400    SH   DEFINED             8,14     244,400    0         -
DU PONT (E.I.) DE NEMOURS    COMMON 263534109   $     845      19,700    SH   DEFINED             9,14         -      0      19,700
DUCKWALL-ALCO STORES INC     COMMON 264142100   $      24       2,607    SH   DEFINED               23       2,607    0         -
DUCOMMUN INC                 COMMON 264147109   $     432      18,824    SH   DEFINED               23      18,824    0         -
DUKE REALTY CORP             COMMON 264411505   $   2,528     112,600    SH   DEFINED               14     112,600    0         -
DUKE REALTY CORP             COMMON 264411505   $      61       2,714    SH   DEFINED               22         -      0       2,714
DUKE REALTY CORP             COMMON 264411505   $     489      21,778    SH   DEFINED               23      21,778    0         -
DUKE REALTY CORP             COMMON 264411505   $       8         368    SH   DEFINED               24         368    0         -
DUKE REALTY CORP             COMMON 264411505   $      15         679    SH   DEFINED                5         530    0         149
DUKE ENERGY CORP             COMMON 26441C105   $  11,210     645,000    SH   DEFINED                1     645,000    0         -
DUKE ENERGY CORP             COMMON 26441C105   $     261      15,010    SH   DEFINED               14      12,310    0       2,700
DUKE ENERGY CORP             COMMON 26441C105   $   1,499      86,261    SH   DEFINED               22         500    0      85,761
DUKE ENERGY CORP             COMMON 26441C105   $   6,535     376,007    SH   DEFINED               23     376,007    0         -
DUKE ENERGY CORP             COMMON 26441C105   $      72       4,154    SH   DEFINED               24       4,154    0         -
DUKE ENERGY CORP             COMMON 26441C105   $     374      21,494    SH   DEFINED                5      11,751    0       9,743
DUKE ENERGY CORP             COMMON 26441C105   $     375      21,564    SH   DEFINED                7      21,564    0         -
DUKE ENERGY CORP             COMMON 26441C105   $  11,346     652,803    SH   DEFINED                8     652,803    0         -
DUN & BRADSTREET CORP-NEW    COMMON 26483E100   $      35         400    SH   DEFINED               14         -      0         -
DUN & BRADSTREET CORP-NEW    COMMON 26483E100   $     202       2,300    SH   DEFINED               22         -      0       2,300
DUN & BRADSTREET CORP-NEW    COMMON 26483E100   $   2,679      30,565    SH   DEFINED               23      30,565    0         -
DUN & BRADSTREET CORP-NEW    COMMON 26483E100   $   4,154      47,400    SH   DEFINED                3      47,400    0         -
DUN & BRADSTREET CORP-NEW    COMMON 26483E100   $   1,317      15,023    SH   DEFINED                5       5,899    0       9,124
DUN & BRADSTREET CORP-NEW    COMMON 26483E100   $     412       4,700    SH   DEFINED             8,14       4,700    0         -
DUNCAN ENERGY PARTNERS LP    COMMON 265026104   $     994      49,450    SH   DEFINED                5      49,450    0         -
DUPONT FABROS TECHNOLOGY     COMMON 26613Q106   $     511      27,400    SH   DEFINED               14      27,400    0         -
DURECT CORP                  COMMON 266605104   $       2         648    SH   DEFINED               23         648    0         -
DYAX CORP                    COMMON 26746E103   $       2         528    SH   DEFINED               23         528    0         -
DYCOM INDUSTRIES INC         COMMON 267475101   $   4,427     304,900    SH   DEFINED               14     114,500    0     189,200
DYCOM INDUSTRIES INC         COMMON 267475101   $     689      47,430    SH   DEFINED               23      47,430    0         -
DYNAMEX INC                  COMMON 26784F103   $  14,320     534,120    SH   DEFINED              1,3     534,120    0         -
DYNAMEX INC                  COMMON 26784F103   $     346      12,900    SH   DEFINED             18,3      12,900    0         -
DYNAMEX INC                  COMMON 26784F103   $      44       1,639    SH   DEFINED               23       1,639    0         -
DYNAMEX INC                  COMMON 26784F103   $   3,887     145,000    SH   DEFINED                3     145,000    0         -
DYNAMIC MATERIALS CORP       COMMON 267888105   $   9,796     297,302    SH   DEFINED                1     297,302    0         -
DYNAMIC MATERIALS CORP       COMMON 267888105   $   7,855     238,389    SH   DEFINED               2      238,389    0        -
DYNAMIC MATERIALS CORP       COMMON 267888105   $       3         106    SH   DEFINED              23          106    0        -
DYNAMICS RESEARCH CORP       COMMON 268057106   $     232      22,141    SH   DEFINED              23       22,141    0        -
DYNAVAX TECHNOLOGIES CORP    COMMON 268158102   $       1         348    SH   DEFINED              23          348    0        -
DYNCORP INTERNATIONAL INC-A  COMMON 26817C101   $      61       4,000    SH   DEFINED              22          -      0      4,000
DYNCORP INTERNATIONAL INC-A  COMMON 26817C101   $     838      55,331    SH   DEFINED              23       55,331    0        -
DYNCORP INTERNATIONAL INC-A  COMMON 26817C101   $     218      14,380    SH   DEFINED               5          -      0     14,380
DYNEGY INC-CL A              COMMON 26817G102       $ -             6    SH   DEFINED              14            6    0        -
DYNEGY INC-CL A              COMMON 26817G102   $   1,546     180,870    SH   DEFINED               2       15,870    0    165,000
DYNEGY INC-CL A              COMMON 26817G102   $       9         998    SH   DEFINED              22          998    0        -
DYNEGY INC-CL A              COMMON 26817G102   $     310      36,200    SH   DEFINED              23       36,200    0        -
DYNEGY INC-CL A              COMMON 26817G102   $       5         591    SH   DEFINED              24          591    0        -
DYNEGY INC-CL A              COMMON 26817G102   $     134      15,722    SH   DEFINED               7       15,722    0        -
EF JONHNSON TECHNOLOGIESINC  COMMON 26843B101   $       2       1,000    SH   DEFINED              22        1,000    0        -
E-HOUSE CHINA HOLDINGS-ADR   COMMON 26852W103   $   2,206     194,154    SH   DEFINED              23      194,154    0        -
EMC CORP/MASS                COMMON 268648102   $  90,475   6,158,953    SH   DEFINED               1    6,158,953    0        -
EMC CORP/MASS                COMMON 268648102   $      13         900    SH   DEFINED              13          900    0        -
EMC CORP/MASS                COMMON 268648102   $   6,550     445,900    SH   DEFINED              14      260,000    0    169,000
EMC CORP/MASS                COMMON 268648102   $   1,639     111,600    SH   DEFINED            14,7          -      0    111,600
EMC CORP/MASS                COMMON 268648102   $   1,670     113,700    SH   DEFINED              17      113,700    0        -
EMC CORP/MASS                COMMON 268648102   $      13         900    SH   DEFINED           20,14          -      0        -
EMC CORP/MASS                COMMON 268648102   $   1,779     121,070    SH   DEFINED            20,2      121,070    0        -
EMC CORP/MASS                COMMON 268648102   $  17,670   1,202,840    SH   DEFINED              22      175,470    0  1,027,370
EMC CORP/MASS                COMMON 268648102   $   1,383      94,141    SH   DEFINED              23       94,141    0        -
EMC CORP/MASS                COMMON 268648102   $      23       1,537    SH   DEFINED              24        1,537    0        -
EMC CORP/MASS                COMMON 268648102   $       1          92    SH   DEFINED               4           92    0        -
EMC CORP/MASS                COMMON 268648102   $   1,953     132,914    SH   DEFINED               5      103,061    0     29,853
EMC CORP/MASS                COMMON 268648102   $     579      39,422    SH   DEFINED               7       39,422    0        -
EMC CORP/MASS                COMMON 268648102   $     115       7,800    SH   DEFINED               8        7,800    0        -
EMC CORP (EMC) CVT
1.75 12-01-                  CONVERT268648AM4   $   6,848   6,000,000    SH   DEFINED              14          -      0  5,100,000
EMC INS GROUP INC            COMMON 268664109   $     161       6,700    SH   DEFINED              14        6,700    0        -
EMC INS GROUP INC            COMMON 268664109   $      15         616    SH   DEFINED              23          616    0        -
EMC INS GROUP INC            COMMON 268664109   $      36       1,500    SH   DEFINED            5,15        1,500    0        -
EMS TECHNOLOGIES INC         COMMON 26873N108   $     376      17,200    SH   DEFINED              14       11,200    0      6,000
EMS TECHNOLOGIES INC         COMMON 26873N108   $     567      25,977    SH   DEFINED              23       25,977    0        -
EMS TECHNOLOGIES INC         COMMON 26873N108   $      63       2,900    SH   DEFINED            5,15        2,900    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $  81,611   1,010,788    SH   DEFINED               1    1,010,788    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $   1,316      16,300    SH   DEFINED           10,14       16,300    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $      57         700    SH   DEFINED              13          700    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $  58,573     725,450    SH   DEFINED              14      451,650    0    255,900
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $     533       6,600    SH   DEFINED           14,13          -      0      6,600
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $   4,764      59,000    SH   DEFINED            14,7          -      0     59,000
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $     158       1,959    SH   DEFINED              19        1,959    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $  20,097     248,907    SH   DEFINED               2      217,245    0     31,662
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $     226       2,800    SH   DEFINED           20,14          -      0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $      81       1,000    SH   DEFINED              22          -      0      1,000
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $  15,094     186,942    SH   DEFINED              23      186,942    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $      31         382    SH   DEFINED              24          382    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $     720       8,916    SH   DEFINED               4        8,916    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $     569       7,050    SH   DEFINED               5          700    0      6,350
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $   1,203      14,900    SH   DEFINED            5,15       14,900    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $   1,153      14,275    SH   DEFINED               7       14,275    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $   2,361      29,236    SH   DEFINED               8       29,236    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $   9,035     111,900    SH   DEFINED            8,14      111,900    0        -
ENSCO INTERNATIONAL INC      COMMON 26874Q100   $     291       3,600    SH   DEFINED            9,14          -      0      3,600
ENI SPA ADR                  COMMON 26874R108   $   9,145     123,200    SH   DEFINED            1,12      123,200    0        -
ENI SPA ADR                  COMMON 26874R108   $ 112,705   1,518,318    SH   DEFINED              11    1,430,763    0     87,555
ENI SPA ADR                  COMMON 26874R108   $   4,903      66,048    SH   DEFINED              14        9,448    0     56,600
ENI SPA ADR                  COMMON 26874R108   $     293       3,950    SH   DEFINED           19,14        3,950    0        -
ENI SPA ADR                  COMMON 26874R108   $      51         681    SH   DEFINED              22          -      0        681
ENI SPA ADR                  COMMON 26874R108   $  28,743     387,214    SH   DEFINED               4      387,214    0        -
EOG RESOURCES INC            COMMON 26875P101   $      79         600    SH   DEFINED              14          200    0        -
EOG RESOURCES INC            COMMON 26875P101   $   4,326      32,972    SH   DEFINED              22           50    0     32,922
EOG RESOURCES INC            COMMON 26875P101   $   4,208      32,071    SH   DEFINED              23       32,071    0        -
EOG RESOURCES INC            COMMON 26875P101   $      14         110    SH   DEFINED              24          110    0        -
EOG RESOURCES INC            COMMON 26875P101   $   1,836      13,997    SH   DEFINED               5          612    0     13,385
EOG RESOURCES INC            COMMON 26875P101   $     572       4,356    SH   DEFINED               7        4,356    0        -
EPIQ SYSTEMS INC             COMMON 26882D109   $     258      18,200    SH   DEFINED              23       18,200    0        -
ESS TECHNOLOGY               COMMON 269151106   $       2       1,007    SH   DEFINED              23        1,007    0        -
E*TRADE FINANCIAL CORP       COMMON 269246104   $       6       2,000    SH   DEFINED              22          -      0      2,000
E*TRADE FINANCIAL CORP       COMMON 269246104   $     418     133,126    SH   DEFINED              23      133,126    0        -
E*TRADE FINANCIAL CORP       COMMON 269246104   $       9       2,769    SH   DEFINED              24        2,769    0        -
E*TRADE FINANCIAL CORP       COMMON 269246104   $       1         254    SH   DEFINED               5          -      0        254
EV ENERGY PARTNER LP         COMMON 26926V107   $     272       8,712    SH   DEFINED              23        8,712    0        -
EXCO RESOURCES INC           COMMON 269279402   $     267       7,242    SH   DEFINED              23        7,242    0        -
EXCO RESOURCES INC           COMMON 269279402   $      18         500    SH   DEFINED               5          -      0        500
EV3 INC                      COMMON 26928A200   $   4,974     524,700    SH   DEFINED               3      524,700    0        -
EAGLE MATERIALS INC          COMMON 26969P108   $  18,646     736,108    SH   DEFINED               1      736,108    0        -
EAGLE MATERIALS INC          COMMON 26969P108   $   6,907     272,679    SH   DEFINED               2      272,679    0        -
EAGLE MATERIALS INC          COMMON 26969P108       $ -            15    SH   DEFINED              22          -      0         15
EAGLE MATERIALS INC          COMMON 26969P108   $     165       6,512    SH   DEFINED              23        6,512    0        -
EAGLE MATERIALS INC          COMMON 26969P108   $     204       8,040    SH   DEFINED               5          -      0      8,040
EAGLE TEST SYSTEMS INC       COMMON 270006109   $       2         151    SH   DEFINED              23          151    0        -
EARTHLINK INC                COMMON 270321102   $   9,486   1,096,600    SH   DEFINED              14      536,400    0    550,300
EARTHLINK INC                COMMON 270321102   $     176      20,400    SH   DEFINED            14,7          -      0     20,400
EARTHLINK INC                COMMON 270321102   $   2,661     307,639    SH   DEFINED              23      307,639    0        -
EARTHLINK INC                COMMON 270321102   $     141      16,255    SH   DEFINED               5        4,130    0     12,125
TRANSITION THERAPEUTICS INC  COMMON   2737016   $   1,283      95,821    SH   DEFINED               3       95,821    0        -
ROYAL CARIBBEAN CRUISES LTD  COMMON   2754907   $       2          74    SH   DEFINED              24           74    0        -
EAST WEST BANCORP INC        COMMON 27579R104   $       1         100    SH   DEFINED              22          100    0        -
EAST WEST BANCORP INC        COMMON 27579R104   $      61       8,672    SH   DEFINED              23        8,672    0        -
EASTERN INSURANCE HOLDINGS   COMMON 276534104   $     253      15,445    SH   DEFINED              23       15,445    0        -
EASTGROUP PROPERTIES         COMMON 277276101   $     824      19,200    SH   DEFINED              14       19,200    0        -
EASTGROUP PROPERTIES         COMMON 277276101   $      30         700    SH   DEFINED              22          -      0        700
EASTGROUP PROPERTIES         COMMON 277276101   $     141       3,294    SH   DEFINED              23        3,294    0        -
EASTMAN CHEMICAL COMPANY     COMMON 277432100   $       9         133    SH   DEFINED              22          -      0        133
EASTMAN CHEMICAL COMPANY     COMMON 277432100   $   2,252      32,703    SH   DEFINED              23       32,703    0        -
EASTMAN CHEMICAL COMPANY     COMMON 277432100   $      11         163    SH   DEFINED              24          163    0        -
EASTMAN CHEMICAL COMPANY     COMMON 277432100   $     430       6,240    SH   DEFINED               5          -      0      6,240
EASTMAN KODAK CO             COMMON 277461109   $     763      52,900    SH   DEFINED              14        6,300    0     46,600
EASTMAN KODAK CO             COMMON 277461109   $     114       7,900    SH   DEFINED            14,7          -      0    7,900
EASTMAN KODAK CO             COMMON 277461109   $       5         374    SH   DEFINED              22          -      0      374
EASTMAN KODAK CO             COMMON 277461109   $     777      53,846    SH   DEFINED              23       53,846    0      -
EASTMAN KODAK CO             COMMON 277461109   $      17       1,159    SH   DEFINED              24        1,159    0      -
EASTMAN KODAK CO             COMMON 277461109   $       2         153    SH   DEFINED               4          153    0      -
EASTMAN KODAK CO             COMMON 277461109   $      84       5,803    SH   DEFINED               7        5,803    0      -
EATON CORP                   COMMON 278058102   $   2,395      28,187    SH   DEFINED              22        8,900    0   19,287
EATON CORP                   COMMON 278058102   $   2,529      29,766    SH   DEFINED              23       29,766    0      -
EATON CORP                   COMMON 278058102   $      19         224    SH   DEFINED              24          224    0      -
EATON CORP                   COMMON 278058102   $     446       5,251    SH   DEFINED               5        4,913    0      338
EATON CORP                   COMMON 278058102   $     228       2,688    SH   DEFINED               7        2,688    0      -
EATON CORP                   COMMON 278058102   $     214       2,516    SH   DEFINED               8        2,516    0      -
EATON VANCE CORP             COMMON 278265103   $      76       1,900    SH   DEFINED           10,14        1,900    0      -
EATON VANCE CORP             COMMON 278265103   $   8,131     204,490    SH   DEFINED              14       87,490    0  114,500
EATON VANCE CORP             COMMON 278265103   $     239       6,000    SH   DEFINED            14,7          -      0    6,000
EATON VANCE CORP             COMMON 278265103   $      76       1,917    SH   DEFINED              22          -      0    1,917
EATON VANCE CORP             COMMON 278265103   $   5,521     138,863    SH   DEFINED              23      138,863    0      -
EATON VANCE CORP             COMMON 278265103   $     406      10,200    SH   DEFINED            8,14       10,200    0      -
EATON VANCE MUNICIPAL
INCOME C                     COMMON 27826U108   $     162      11,555    SH   DEFINED              22          -      0   11,555
EATON VANCE TAX-ADV DVD
INC CE                       COMMON 27828G107   $      98       3,769    SH   DEFINED              22          -      0    3,769
EATON VANCE T-A GL DVD
INCM CF                      COMMON 27828S101   $      37       1,500    SH   DEFINED              22          -      0    1,500
EATON VANCE TAX MAN
GLBL BR CE                   COMMON 27829C105   $      65       3,728    SH   DEFINED              22          -      0    3,728
EBAY INC                     COMMON 278642103   $  19,442     711,379    SH   DEFINED               1      711,379    0      -
EBAY INC                     COMMON 278642103   $   8,341     305,200    SH   DEFINED            1,15      305,200    0      -
EBAY INC                     COMMON 278642103   $   1,407      51,500    SH   DEFINED           10,14       51,500    0      -
EBAY INC                     COMMON 278642103   $     308      11,261    SH   DEFINED              11       11,261    0      -
EBAY INC                     COMMON 278642103   $      38       1,400    SH   DEFINED              13        1,400    0      -
EBAY INC                     COMMON 278642103   $ 124,685   4,562,198    SH   DEFINED              14    3,059,448    0  1,338,250
EBAY INC                     COMMON 278642103   $   2,842     104,000    SH   DEFINED           14,13          -      0    104,000
EBAY INC                     COMMON 278642103   $   4,974     182,000    SH   DEFINED            14,7          -      0    182,000
EBAY INC                     COMMON 278642103   $     377      13,800    SH   DEFINED           20,14          -      0      -
EBAY INC                     COMMON 278642103   $   1,496      54,722    SH   DEFINED            20,2       54,722    0      -
EBAY INC                     COMMON 278642103   $     739      27,043    SH   DEFINED              21       27,043    0      -
EBAY INC                     COMMON 278642103   $   1,539      56,315    SH   DEFINED              22        6,790    0   49,525
EBAY INC                     COMMON 278642103   $  23,184     848,309    SH   DEFINED              23      848,309    0      -
EBAY INC                     COMMON 278642103   $   7,392     270,468    SH   DEFINED              24      270,468    0      -
EBAY INC                     COMMON 278642103   $   1,288      47,129    SH   DEFINED               5          192    0   46,937
EBAY INC                     COMMON 278642103   $   6,406     234,400    SH   DEFINED            5,15      234,400    0      -
EBAY INC                     COMMON 278642103   $     514      18,800    SH   DEFINED               6       18,800    0      -
EBAY INC                     COMMON 278642103   $   3,095     113,240    SH   DEFINED               7      113,240    0      -
EBAY INC                     COMMON 278642103   $   3,876     141,821    SH   DEFINED               8      141,821    0      -
EBAY INC                     COMMON 278642103   $   8,565     313,400    SH   DEFINED            8,14      313,400    0      -
EBAY INC                     COMMON 278642103   $   1,547      56,600    SH   DEFINED            9,14          -      0   56,600
EBIX INC                     COMMON 278715206   $       2          22    SH   DEFINED              23           22    0      -
ECHELON CORP                 COMMON 27874N105   $  37,145   3,407,829    SH   DEFINED              23    3,407,829    0      -
ECHELON CORP                 COMMON 27874N105   $      35       3,170    SH   DEFINED              24        3,170    0      -
ECHOSTAR CORP-A              COMMON 278768106   $   1,840      58,945    SH   DEFINED               1       58,945    0      -
ECHOSTAR CORP-A              COMMON 278768106   $     272       8,700    SH   DEFINED            1,15        8,700    0      -
ECHOSTAR CORP-A              COMMON 278768106   $      34       1,083    SH   DEFINED              11        1,083    0      -
ECHOSTAR CORP-A              COMMON 278768106   $     143       4,571    SH   DEFINED            13,2          -      0    4,571
ECHOSTAR CORP-A              COMMON 278768106   $  13,003     416,509    SH   DEFINED              14      251,309    0  152,200
ECHOSTAR CORP-A              COMMON 278768106   $     250       8,000    SH   DEFINED           14,13          -      0    8,000
ECHOSTAR CORP-A              COMMON 278768106   $     734      23,500    SH   DEFINED            14,7          -      0   23,500
ECHOSTAR CORP-A              COMMON 278768106   $      47       1,500    SH   DEFINED           20,14          -      0      -
ECHOSTAR CORP-A              COMMON 278768106   $       1          20    SH   DEFINED              22          -      0       20
ECHOSTAR CORP-A              COMMON 278768106   $     571      18,300    SH   DEFINED            5,15       18,300    0      -
ECHOSTAR CORP-A              COMMON 278768106   $     209       6,702    SH   DEFINED               7        6,702    0      -
ECHOSTAR CORP-A              COMMON 278768106   $     384      12,300    SH   DEFINED               8       12,300    0      -
ECHOSTAR CORP-A              COMMON 278768106   $     137       4,400    SH   DEFINED            9,14          -      0    4,400
ECLIPSYS CORP                COMMON 278856109   $  12,858     700,352    SH   DEFINED               1      700,352    0      -
ECLIPSYS CORP                COMMON 278856109   $  10,112     550,784    SH   DEFINED               2      550,784    0      -
ECLIPSYS CORP                COMMON 278856109   $      34       1,860    SH   DEFINED              23        1,860    0      -
ECLIPSYS CORP                COMMON 278856109   $   3,837     209,000    SH   DEFINED               5      209,000    0      -
ECOLAB INC                   COMMON 278865100   $  15,149     352,377    SH   DEFINED               1      352,377    0      -
ECOLAB INC                   COMMON 278865100   $  22,518     523,805    SH   DEFINED              22       50,711    0  473,094
ECOLAB INC                   COMMON 278865100   $     698      16,228    SH   DEFINED              23       16,228    0      -
ECOLAB INC                   COMMON 278865100   $       7         154    SH   DEFINED              24          154    0      -
ECOLAB INC                   COMMON 278865100   $     664      15,450    SH   DEFINED               5       12,450    0    3,000
ECOLAB INC                   COMMON 278865100   $     176       4,105    SH   DEFINED               7        4,105    0      -
EDGE PETROLEUM CORP/DEL      COMMON 279862106   $      46       8,564    SH   DEFINED              23        8,564    0      -
EDGEWATER TECHNOLOGY INC     COMMON 280358102   $     207      42,462    SH   DEFINED              23       42,462    0      -
EDISON INTERNATIONAL         COMMON 281020107   $  19,679     383,000    SH   DEFINED               1      383,000    0      -
EDISON INTERNATIONAL         COMMON 281020107   $      72       1,400    SH   DEFINED           10,14        1,400    0      -
EDISON INTERNATIONAL         COMMON 281020107   $   7,915     154,050    SH   DEFINED              14      111,150    0   35,700
EDISON INTERNATIONAL         COMMON 281020107   $     241       4,700    SH   DEFINED           14,13          -      0    4,700
EDISON INTERNATIONAL         COMMON 281020107   $     257       5,000    SH   DEFINED            14,7          -      0    5,000
EDISON INTERNATIONAL         COMMON 281020107   $     219       4,264    SH   DEFINED              22          -      0    4,264
EDISON INTERNATIONAL         COMMON 281020107   $   6,053     117,814    SH   DEFINED              23      117,814    0      -
EDISON INTERNATIONAL         COMMON 281020107   $      54       1,045    SH   DEFINED              24        1,045    0      -
EDISON INTERNATIONAL         COMMON 281020107   $     795      15,477    SH   DEFINED               5        8,556    0    6,921
EDISON INTERNATIONAL         COMMON 281020107   $     545      10,600    SH   DEFINED            5,15       10,600    0      -
EDISON INTERNATIONAL         COMMON 281020107   $     512       9,962    SH   DEFINED               7        9,962    0      -
EDISON INTERNATIONAL         COMMON 281020107   $     962      18,731    SH   DEFINED               8       18,731    0      -
EDISON INTERNATIONAL         COMMON 281020107   $     606      11,800    SH   DEFINED            8,14       11,800    0      -
EDISON INTERNATIONAL         COMMON 281020107   $     134       2,600    SH   DEFINED            9,14          -      0    2,600
EDUCATION REALTY TRUST INC   COMMON 28140H104   $   1,362     116,900    SH   DEFINED              14       78,200    0   38,700
EDUCATION REALTY TRUST INC   COMMON 28140H104   $     251      21,503    SH   DEFINED              23       21,503    0      -
EDUCATION REALTY TRUST INC   COMMON 28140H104   $     153      13,100    SH   DEFINED            5,15       13,100    0      -
EDUCATION REALTY TRUST INC   COMMON 28140H104   $      40       3,400    SH   DEFINED            6,14        3,400    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $  17,433     281,000    SH   DEFINED             1,3      281,000    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $     515       8,300    SH   DEFINED              14        8,300    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $   5,000      80,600    SH   DEFINED            18,3       80,600    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $   2,432      39,200    SH   DEFINED            20,3       39,200    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $      90       1,450    SH   DEFINED              22          170    0    1,280
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $   7,069     113,944    SH   DEFINED              23      113,944    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $     157       2,523    SH   DEFINED              24        2,523    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $ 114,104   1,839,200    SH   DEFINED               3    1,839,200    0      -
EDWARDS LIFESCIENCES CORP    COMMON 28176E108   $     525       8,455    SH   DEFINED               5          -      0    8,455
EHEALTH INC                  COMMON 28238P109   $     105       5,922    SH   DEFINED              23        5,922    0      -
EHEALTH INC                  COMMON 28238P109   $     160       9,050    SH   DEFINED               5          -      0    9,050
EINSTEIN NOAH RESTAURANT
GRO                          COMMON 28257U104   $       2         138    SH   DEFINED              23          138    0      -
EL PASO CORPORATION          COMMON 28336L109   $  80,982   3,725,000    SH   DEFINED               1    3,725,000    0      -
EL PASO CORPORATION          COMMON 28336L109   $     328      15,100    SH   DEFINED           10,14       15,100    0      -
EL PASO CORPORATION          COMMON 28336L109   $      46       2,100    SH   DEFINED              13        2,100    0      -
EL PASO CORPORATION          COMMON 28336L109   $  11,000     506,000    SH   DEFINED            13,2          -      0  506,000
EL PASO CORPORATION          COMMON 28336L109   $  16,892     776,990    SH   DEFINED              14      347,490    0  419,300
EL PASO CORPORATION          COMMON 28336L109   $     954      43,900    SH   DEFINED            14,7          -      0   43,900
EL PASO CORPORATION          COMMON 28336L109   $      46       2,100    SH   DEFINED           20,14          -      0      -
EL PASO CORPORATION          COMMON 28336L109   $   1,566      72,029    SH   DEFINED              22        5,000    0   67,029
EL PASO CORPORATION          COMMON 28336L109   $   1,380      63,495    SH   DEFINED              23       63,495    0      -
EL PASO CORPORATION          COMMON 28336L109   $      23       1,068    SH   DEFINED              24        1,068    0      -
EL PASO CORPORATION          COMMON 28336L109   $     262      12,060    SH   DEFINED               5        9,251    0    2,809
EL PASO CORPORATION          COMMON 28336L109   $     265      12,175    SH   DEFINED               7       12,175    0      -
EL PASO CORPORATION          COMMON 28336L109   $   1,587      73,000    SH   DEFINED            8,14       73,000    0      -
EL PASO ELECTRIC COMPANY     COMMON 283677854   $   1,224      61,800    SH   DEFINED              14       53,400    0    8,400
EL PASO ELECTRIC COMPANY     COMMON 283677854   $      30       1,500    SH   DEFINED              22          -      0    1,500
EL PASO ELECTRIC COMPANY     COMMON 283677854   $     314      15,847    SH   DEFINED              23       15,847    0      -
EL PASO ELECTRIC COMPANY     COMMON 283677854   $     208      10,500    SH   DEFINED            5,15       10,500    0      -
EL PASO ENER CAP TRUST I
CVT P                        CONVERT283678209   $      46       1,100    SH   DEFINED              22          -      0    1,100
EL PASO PIPELINE PARTNERS
LP                           COMMON 283702108   $     525      22,917    SH   DEFINED               5       12,767    0   10,150
ELAN CORP PLC ADR            COMMON 284131208   $      84       2,352    SH   DEFINED              22          -      0    2,352
ELAN CORP PLC ADR            COMMON 284131208   $   5,158     145,090    SH   DEFINED              23      145,090    0      -
ELAN CORP PLC ADR            COMMON 284131208   $   1,852      52,100    SH   DEFINED               3       52,100    0      -
ELDORADO GOLD CORP           COMMON 284902103   $  20,559   2,400,000    SH   DEFINED               1    2,400,000    0      -
ELDORADO GOLD CORP           COMMON 284902103   $   6,168     720,000    SH   DEFINED               3      720,000    0      -
ELDORADO GOLD CORP           COMMON 284902103   $     241      28,132    SH   DEFINED               7       28,132    0      -
ELECTRO RENT CORP            COMMON 285218103   $     227      18,111    SH   DEFINED              23       18,111    0      -
ELECTRO SCIENTIFIC INDS INC  COMMON 285229100   $       3         240    SH   DEFINED              22          -      0      240
ELECTRO SCIENTIFIC INDS INC  COMMON 285229100   $     244      17,225    SH   DEFINED              23       17,225    0      -
ELECTRONIC ARTS INC          COMMON 285512109   $   2,738      61,622    SH   DEFINED               1       61,622    0      -
ELECTRONIC ARTS INC          COMMON 285512109   $     223       5,013    SH   DEFINED            13,2          -      0    5,013
ELECTRONIC ARTS INC          COMMON 285512109   $      49       1,111    SH   DEFINED              14          -      0    1,111
ELECTRONIC ARTS INC          COMMON 285512109   $   3,114      70,077    SH   DEFINED              22        9,700    0   60,377
ELECTRONIC ARTS INC          COMMON 285512109   $     437       9,832    SH   DEFINED              23        9,832    0      -
ELECTRONIC ARTS INC          COMMON 285512109   $   3,929      88,431    SH   DEFINED              24       88,431    0      -
ELECTRONIC ARTS INC          COMMON 285512109   $     394       8,864    SH   DEFINED               5          675    0    8,189
ELECTRONIC ARTS INC          COMMON 285512109   $     241       5,421    SH   DEFINED               7        5,421    0      -
ELECTRONIC ARTS INC          COMMON 285512109   $  22,369     503,457    SH   DEFINED               8      503,457    0      -
ELECTRONIC DATA SYSTEMS
CORP                         COMMON 285661104   $      74       3,000    SH   DEFINED              14        3,000    0      -
ELECTRONIC DATA SYSTEMS
CORP                         COMMON 285661104   $      15         600    SH   DEFINED              22          -      0      600
ELECTRONIC DATA SYSTEMS
CORP                         COMMON 285661104   $   2,048      83,111    SH   DEFINED              23       83,111    0      -
ELECTRONIC DATA SYSTEMS
CORP                         COMMON 285661104   $      42       1,722    SH   DEFINED              24        1,722    0      -
ELECTRONIC DATA SYSTEMS
CORP                         COMMON 285661104   $     272      11,030    SH   DEFINED               5       10,517    0      513
ELECTRONIC DATA SYSTEMS
CORP                         COMMON 285661104   $     217       8,795    SH   DEFINED               7        8,795    0      -
ELECTRONICS FOR IMAGING      COMMON 286082102   $     116       7,939    SH   DEFINED              23        7,939    0      -
ELIZABETH ARDEN INC          COMMON 28660G106   $     406      26,762    SH   DEFINED              23       26,762    0      -
ELIZABETH ARDEN INC          COMMON 28660G106   $      70       4,595    SH   DEFINED               5        1,170    0    3,425
ELIXIR GAMING TECHNOLOGIES
INC                          COMMON 28661G105   $      29      20,000    SH   DEFINED               5       20,000    0      -
LUNDIN MINING CORP           COMMON   2866857   $      19       3,119    SH   DEFINED              23        3,119    0      -
PERRY ELLIS INTERNATIONAL    COMMON 288853104   $      98       4,600    SH   DEFINED              14        4,600    0      -
PERRY ELLIS INTERNATIONAL    COMMON 288853104   $     436      20,531    SH   DEFINED              23       20,531    0      -
PERRY ELLIS INTERNATIONAL    COMMON 288853104   $      76       3,600    SH   DEFINED               8        3,600    0      -
PERRY ELLIS INTERNATIONAL    COMMON 288853104   $      21       1,000    SH   DEFINED            8,20        1,000    0      -
ELONG INC-SPONSORED ADR      COMMON 290138205   $      71      10,000    SH   DEFINED              22          -      0   10,000
ELONG INC-SPONSORED ADR      COMMON 290138205   $     420      59,140    SH   DEFINED              23       59,140    0      -
ELRON ELECTRONIC INDS        COMMON 290160100   $       1         117    SH   DEFINED              22          -      0      117
EMAGEON INC                  COMMON 29076V109       $ -           187    SH   DEFINED              23          187    0      -
EMBARQ CORP                  COMMON 29078E105   $      76       1,600    SH   DEFINED           10,14        1,600    0      -
EMBARQ CORP                  COMMON 29078E105   $      98       2,073    SH   DEFINED            10,7        2,073    0      -
EMBARQ CORP                  COMMON 29078E105   $      70       1,475    SH   DEFINED              13        1,475    0      -
EMBARQ CORP                  COMMON 29078E105   $     506      10,700    SH   DEFINED              14       10,100    0      600
EMBARQ CORP                  COMMON 29078E105   $     113       2,400    SH   DEFINED            14,7          -      0    2,400
EMBARQ CORP                  COMMON 29078E105   $     620      13,126    SH   DEFINED              19       13,126    0      -
EMBARQ CORP                  COMMON 29078E105   $     476      10,080    SH   DEFINED              21       10,080    0      -
EMBARQ CORP                  COMMON 29078E105   $      63       1,328    SH   DEFINED              22          176    0    1,152
EMBARQ CORP                  COMMON 29078E105   $   3,993      84,463    SH   DEFINED              23       84,463    0      -
EMBARQ CORP                  COMMON 29078E105   $     183       3,875    SH   DEFINED              24        3,875    0      -
EMBARQ CORP                  COMMON 29078E105   $       3          55    SH   DEFINED               4           55    0      -
EMBARQ CORP                  COMMON 29078E105   $      71       1,504    SH   DEFINED               5        1,250    0      254
EMBARQ CORP                  COMMON 29078E105   $   1,581      33,443    SH   DEFINED               7       33,443    0      -
EMBARQ CORP                  COMMON 29078E105   $   2,768      58,567    SH   DEFINED               8       58,567    0      -
EMBARQ CORP                  COMMON 29078E105   $     427       9,028    SH   DEFINED               9        9,028    0      -
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $     657      24,800    SH   DEFINED            1,12       24,800    0      -
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $  14,112     532,510    SH   DEFINED              11      463,210    0   69,300
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $   2,062      77,817    SH   DEFINED              14       77,817    0      -
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $      22         820    SH   DEFINED              22          -      0      820
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $     183       6,919    SH   DEFINED              23        6,919    0      -
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $     253       9,530    SH   DEFINED               5        7,130    0    2,400
EMBRAER AIRCRAFT CORP ADR    COMMON 29081M102   $   5,134     193,750    SH   DEFINED            5,12      193,750    0      -
EMCORE CORP                  COMMON 290846104   $  42,580   6,801,843    SH   DEFINED              23    6,801,843    0      -
EMCOR GROUP INC              COMMON 29084Q100   $     631      22,100    SH   DEFINED              14       22,100    0      -
EMCOR GROUP INC              COMMON 29084Q100   $   1,749      61,317    SH   DEFINED              23       61,317    0      -
EMCOR GROUP INC              COMMON 29084Q100   $       5         174    SH   DEFINED              24          174    0      -
EMCOR GROUP INC              COMMON 29084Q100   $      33       1,154    SH   DEFINED               5        1,154    0      -
EMERGENCY MEDICAL SERVICES
-A                           COMMON 29100P102   $     349      15,400    SH   DEFINED              14       15,400    0      -
EMERGENCY MEDICAL SERVICES
-A                           COMMON 29100P102   $   2,412     106,582    SH   DEFINED              23      106,582    0      -
EMERGENCY MEDICAL SERVICES
-A                           COMMON 29100P102   $      75       3,300    SH   DEFINED            5,15        3,300    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $  85,437   1,727,747    SH   DEFINED               1    1,727,747    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $     860      17,400    SH   DEFINED            1,15       17,400    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $     465       9,400    SH   DEFINED           10,14        9,400    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $       5         100    SH   DEFINED              13          100    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $  11,317     228,850    SH   DEFINED              14      134,450    0   86,600
EMERSON ELECTRIC CO          COMMON 291011104   $   2,458      49,700    SH   DEFINED            14,7          -      0   49,700
EMERSON ELECTRIC CO          COMMON 291011104   $   4,568      92,385    SH   DEFINED               2       92,385    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $       5         100    SH   DEFINED           20,14          -      0      -
EMERSON ELECTRIC CO          COMMON 291011104   $      57       1,152    SH   DEFINED              21        1,152    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $  52,987   1,071,524    SH   DEFINED              22      192,158    0  879,366
EMERSON ELECTRIC CO          COMMON 291011104   $  24,558     496,630    SH   DEFINED              23      496,630    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $      43         871    SH   DEFINED              24          871    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $  39,983     808,550    SH   DEFINED               3      808,550    0      -


EMERSON ELECTRIC CO          COMMON 291011104   $  23,527     475,767    SH   DEFINED               5      405,949    0   69,818
EMERSON ELECTRIC CO          COMMON 291011104   $     566      11,442    SH   DEFINED               7       11,442    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $   2,350      47,516    SH   DEFINED               8       47,516    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $   1,434      29,000    SH   DEFINED            8,14       29,000    0      -
EMERSON ELECTRIC CO          COMMON 291011104   $     189       3,832    SH   DEFINED             8,2        3,832    0      -
EMMIS COMMUNICATIONS CL A    COMMON 291525103   $     531     210,800    SH   DEFINED              14      210,800    0      -
EMMIS COMMUNICATIONS CL A    COMMON 291525103   $      25      10,000    SH   DEFINED              22          -      0   10,000
EMMIS COMMUNICATIONS CL A    COMMON 291525103   $     105      41,580    SH   DEFINED              23       41,580    0      -
EMMIS COMMUNICATIONS CL A    COMMON 291525103   $     118      46,700    SH   DEFINED            5,15       46,700    0      -
EMPIRE DISTRICT ELECTRIC CO  COMMON 291641108   $     337      18,156    SH   DEFINED              23       18,156    0      -
EMPIRE RESORTS INC           COMMON 292052107   $       1         193    SH   DEFINED              23          193    0      -
EMPLOYERS HOLDINGS INC       COMMON 292218104   $   1,449      70,009    SH   DEFINED              23       70,009    0      -
EMPRESA NAC ELEC-CHIL ADR    COMMON 29244T101   $     204       4,760    SH   DEFINED              23        4,760    0      -
EMULEX CORP                  COMMON 292475209   $     247      21,200    SH   DEFINED            1,15       21,200    0      -
EMULEX CORP                  COMMON 292475209   $      13       1,080    SH   DEFINED              11        1,080    0      -
EMULEX CORP                  COMMON 292475209   $  30,887   2,651,230    SH   DEFINED              14    1,415,430    0 1,217,400
EMULEX CORP                  COMMON 292475209   $   1,321     113,400    SH   DEFINED            14,7          -      0   113,400
EMULEX CORP                  COMMON 292475209   $   1,408     120,888    SH   DEFINED              23      120,888    0      -
EMULEX CORP                  COMMON 292475209   $   1,335     114,600    SH   DEFINED            5,15      114,600    0      -
EMULEX CORP                  COMMON 292475209   $     782      67,128    SH   DEFINED               8       67,128    0      -
EMULEX CORP                  COMMON 292475209   $     101       8,700    SH   DEFINED            8,20        8,700    0      -
ENCANA CORPORATION           COMMON 292505104   $   4,261      46,300    SH   DEFINED               1       46,300    0      -
ENCANA CORPORATION           COMMON 292505104   $   6,166      67,000    SH   DEFINED            1,12       67,000    0      -
ENCANA CORP                  COMMON 292505104   $   3,655      40,200    SH   DEFINED           10,14       40,200    0      -
ENCANA CORP                  COMMON 292505104   $ 102,838   1,121,453    SH   DEFINED              11      933,728    0  187,725
ENCANA CORP                  COMMON 292505104   $  29,539     324,490    SH   DEFINED              14      185,790    0  131,800
ENCANA CORP                  COMMON 292505104   $   1,100      12,100    SH   DEFINED           14,13          -      0   12,100
ENCANA CORP                  COMMON 292505104   $     200       2,200    SH   DEFINED           19,14        2,200    0      -
ENCANA CORPORATION           COMMON 292505104   $   8,465      91,985    SH   DEFINED               2       91,985    0      -
ENCANA CORPORATION           COMMON 292505104   $     715       7,771    SH   DEFINED              21        7,771    0      -
ENCANA CORP                  COMMON 292505104   $  17,906     196,925    SH   DEFINED              22       13,000    0  183,925
ENCANA CORP                  COMMON 292505104   $   5,689      62,540    SH   DEFINED              23       62,540    0      -
ENCANA CORPORATION           COMMON 292505104   $       9          94    SH   DEFINED              24           94    0      -
ENCANA CORPORATION           COMMON 292505104   $ 223,578   2,429,400    SH   DEFINED               3    2,429,400    0      -
ENCANA CORPORATION           COMMON 292505104   $ 128,977   1,401,466    SH   DEFINED             3,1    1,401,466    0      -
ENCANA CORP                  COMMON 292505104   $  17,923     197,108    SH   DEFINED               4      197,108    0      -
ENCANA CORP                  COMMON 292505104   $     946      10,400    SH   DEFINED               5        5,500    0    4,900
ENCANA CORPORATION           COMMON 292505104   $   9,893     107,500    SH   DEFINED            5,12      107,500    0      -
ENCANA CORP                  COMMON 292505104   $   2,473      27,200    SH   DEFINED            5,15       27,200    0      -
ENCANA CORPORATION           COMMON 292505104   $   2,692      29,331    SH   DEFINED               7       29,331    0      -
ENCANA CORPORATION           COMMON 292505104   $   3,896      42,332    SH   DEFINED               8       33,654   8678      -
ENCANA CORP                  COMMON 292505104   $  18,823     207,000    SH   DEFINED            8,14      207,000    0      -
ENCANA CORP                  COMMON 292505104   $     600       6,600    SH   DEFINED            9,14          -      0    6,600
ENBRIDGE INC                 COMMON 29250N105   $     497      11,436    SH   DEFINED              21       11,436    0      -
ENBRIDGE INC                 COMMON 29250N105   $   6,771     156,809    SH   DEFINED              23      156,809    0      -
ENBRIDGE INC                 COMMON 29250N105   $       3          59    SH   DEFINED              24           59    0      -
ENBRIDGE INC                 COMMON 29250N105   $     282       6,530    SH   DEFINED               5           30    0    6,500
ENBRIDGE INC                 COMMON 29250N105   $     230       5,286    SH   DEFINED               7        5,286    0      -
ENBRIDGE INC                 COMMON 29250N105   $   9,002     207,259    SH   DEFINED               8      207,259    0      -
ENBRIDGE INC                 COMMON 29250N105   $     421       9,700    SH   DEFINED               9        9,700    0      -
ENBRIDGE ENERGY PARTNERS LP  COMMON 29250R106   $   1,565      31,100    SH   DEFINED              22          -      0   31,100
ENBRIDGE ENERGY PARTNERS LP  COMMON 29250R106   $   6,938     137,902    SH   DEFINED               5      135,302    0    2,600
ENBRIDGE ENERGY MANAGEMENT
L                            COMMON 29250X103       $ -           -      SH   DEFINED              14          -      0      -
ENBRIDGE ENERGY MANAGEMENT
L                            COMMON 29250X103   $     892      17,447    SH   DEFINED              22          534    0   16,913
ENBRIDGE ENERGY MANAGEMENT
L                            COMMON 29250X103   $   5,788     113,151    SH   DEFINED               5       97,543    0   15,608
ENCORE CAPITAL GROUP INC     COMMON 292554102   $   1,045     118,300    SH   DEFINED              14       76,600    0   41,700
ENCORE CAPITAL GROUP INC     COMMON 292554102   $      48       5,394    SH   DEFINED              23        5,394    0      -
ENCORE CAPITAL GROUP INC     COMMON 292554102   $     169      19,100    SH   DEFINED            5,15       19,100    0      -
ENCORE CAPITAL GROUP INC     COMMON 292554102   $      37       4,200    SH   DEFINED               8        4,200    0      -
ENCORE CAPITAL GROUP INC     COMMON 292554102   $      11       1,200    SH   DEFINED            8,20        1,200    0      -
ENCORE BANCSHARES INC        COMMON 29255V201   $       1          66    SH   DEFINED              23           66    0      -
ENCORE ACQUISITION CO        COMMON 29255W100   $   6,407      85,214    SH   DEFINED              23       85,214    0      -
ENCORE ACQUISITION CO        COMMON 29255W100   $     474       6,300    SH   DEFINED               5          -      0    6,300
ENCORE WIRE CORP             COMMON 292562105   $     513      24,202    SH   DEFINED              23       24,202    0      -
ENDEAVOUR INTERNATIONAL CORP COMMON 29259G101   $       2       1,000    SH   DEFINED               5        1,000    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $  28,692   1,186,100    SH   DEFINED             1,3    1,186,100    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $      80       3,300    SH   DEFINED              17        3,300    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $     653      27,000    SH   DEFINED            18,3       27,000    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $   2,377      98,251    SH   DEFINED              22       91,240    0    7,011
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $   3,103     128,274    SH   DEFINED              23      128,274    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $      24       1,000    SH   DEFINED              24        1,000    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $   7,267     300,400    SH   DEFINED               3      300,400    0      -
ENDO PHARMACEUTICAL HOLDINGS
I                            COMMON 29264F205   $   1,473      60,886    SH   DEFINED               5       45,064    0   15,822
ENERGY CONVERSION DEVICES    COMMON 292659109   $   1,259      17,100    SH   DEFINED              14        8,600    0    8,500
ENERGY CONVERSION DEVICES    COMMON 292659109   $      37         500    SH   DEFINED              22          -      0      500
ENERGY CONVERSION DEVICES    COMMON 292659109   $  45,589     619,082    SH   DEFINED              23      619,082    0      -
ENERGY CONVERSION DEVICES    COMMON 292659109   $      88       1,192    SH   DEFINED              24        1,192    0      -
ENERGY CONVERSION DEVICES    COMMON 292659109   $     184       2,500    SH   DEFINED               5          -      0    2,500
ENERGY CONVERSION DEVICES    COMMON 292659109   $     191       2,600    SH   DEFINED            5,15        2,600    0      -
ENERGEN CORP                 COMMON 29265N108   $  11,118     142,479    SH   DEFINED               1      142,479    0      -
ENERGEN CORP                 COMMON 29265N108   $   7,191      92,151    SH   DEFINED             1,9       92,151    0      -
ENERGEN CORP                 COMMON 29265N108   $   4,214      54,006    SH   DEFINED               2       21,199    0   32,807
ENERGEN CORP                 COMMON 29265N108   $   1,982      25,400    SH   DEFINED              22       25,400    0      -
ENERGEN CORP                 COMMON 29265N108   $  14,644     187,669    SH   DEFINED              23      187,669    0      -
ENERGEN CORP                 COMMON 29265N108   $     291       3,727    SH   DEFINED              24        3,727    0      -
ENERGEN CORP                 COMMON 29265N108   $   1,982      25,400    SH   DEFINED               5       25,400    0      -
ENERGY EAST CORPORATION      COMMON 29266M109   $      17         700    SH   DEFINED              22          700    0      -
ENERGY EAST CORPORATION      COMMON 29266M109   $   4,177     168,992    SH   DEFINED              23      168,992    0      -
ENERGY EAST CORPORATION      COMMON 29266M109   $      11         441    SH   DEFINED              24          441    0      -
ENERGY EAST CORPORATION      COMMON 29266M109   $     148       6,002    SH   DEFINED               7        6,002    0      -
ENERGIZER HOLDINGS INC       COMMON 29266R108   $   8,604     117,724    SH   DEFINED               1      117,724    0      -
ENERGIZER HOLDINGS INC       COMMON 29266R108   $     907      12,406    SH   DEFINED              22          -      0   12,406
ENERGIZER HOLDINGS INC       COMMON 29266R108   $   1,837      25,128    SH   DEFINED              23       25,128    0      -
ENERGIZER HOLDINGS INC       COMMON 29266R108   $       4          49    SH   DEFINED              24           49    0      -
ENERGIZER HOLDINGS INC       COMMON 29266R108   $     106       1,450    SH   DEFINED               5          100    0    1,350
ENDOLOGIX INC                COMMON 29266S106   $       1         373    SH   DEFINED              23          373    0      -
ENER1 INC                    COMMON 29267A203   $  23,280   3,137,496    SH   DEFINED              23    3,137,496    0      -
ENERGY PARTNERS LTD          COMMON 29270U105   $   4,912     329,200    SH   DEFINED              14      233,200    0   96,000
ENERGY PARTNERS LTD          COMMON 29270U105   $     174      11,668    SH   DEFINED              23       11,668    0      -
ENERGY PARTNERS LTD          COMMON 29270U105   $     730      48,900    SH   DEFINED            5,15       48,900    0      -
ENERGY TRANSFER PARTNERS LP  COMMON 29273R109   $      75       1,735    SH   DEFINED              22          635    0    1,100
ENERGY TRANSFER PARTNERS LP  COMMON 29273R109   $   2,374      54,620    SH   DEFINED               5       52,785    0    1,835
ENERGY TRANSFER EQUITY LP    COMMON 29273V100   $     180       6,210    SH   DEFINED               5        1,910    0    4,300
ENERPLUS RESOURCES FUND      COMMON 29274D604   $     277       6,000    SH   DEFINED              22          -      0    6,000
ENERSIS SA ADR               COMMON 29274F104   $   2,103     135,008    SH   DEFINED              23      135,008    0      -
ENERGYSOLUTIONS INC          COMMON 292756202   $   7,581     339,178    SH   DEFINED               1      339,178    0      -
ENERGYSOLUTIONS INC          COMMON 292756202   $   6,150     275,148    SH   DEFINED               2      275,148    0      -
ENERGYSOLUTIONS INC          COMMON 292756202   $   1,658      74,174    SH   DEFINED              23       74,174    0      -
ENERGYSOLUTIONS INC          COMMON 292756202   $      22       1,000    SH   DEFINED               5          -      0    1,000
ENERSYS INC                  COMMON 29275Y102   $   4,539     132,589    SH   DEFINED              23      132,589    0      -
ENERNOC INC                  COMMON 292764107   $   1,913     106,564    SH   DEFINED               1      106,564    0      -
ENERNOC INC                  COMMON 292764107   $   1,127      62,778    SH   DEFINED               2       24,140    0   38,638
ENERNOC INC                  COMMON 292764107   $   1,596      88,909    SH   DEFINED              23       88,909    0      -
ENERNOC INC                  COMMON 292764107   $      39       2,181    SH   DEFINED              24        2,181    0      -
ENERGYSOUTH INC              COMMON 292970100   $      43         868    SH   DEFINED              23          868    0      -
ENGLOBAL CORP                COMMON 293306106   $       3         176    SH   DEFINED              23          176    0      -
ENLIVEN MARKETING
TECHNOLOGI                   COMMON 293361101   $     138     145,000    SH   DEFINED               5      145,000    0      -
ENNIS BUSINESS FORMS         COMMON 293389102   $     102       6,500    SH   DEFINED              14        6,500    0      -
ENNIS BUSINESS FORMS         COMMON 293389102   $      84       5,360    SH   DEFINED              23        5,360    0      -
ENPRO INDUSTRIES INC         COMMON 29355X107   $   2,950      79,000    SH   DEFINED              14       57,000    0   22,000
ENPRO INDUSTRIES INC         COMMON 29355X107   $   1,511      40,470    SH   DEFINED              23       40,470    0      -
ENPRO INDUSTRIES INC         COMMON 29355X107   $     120       3,210    SH   DEFINED               5          810    0    2,400
ENPRO INDUSTRIES INC         COMMON 29355X107   $     508      13,600    SH   DEFINED            5,15       13,600    0      -
ENSIGN GROUP INC/THE         COMMON 29358P101   $      20       1,779    SH   DEFINED              23        1,779    0      -
ENTEGRIS INC                 COMMON 29362U104   $   2,221     339,009    SH   DEFINED              23      339,009    0      -
ENTERASYS NETWORKS INC       COMMON 293637401       $ -             2    SH   DEFINED              14            2    0      -
ENTERCOM COMMUNICATIONS CORP COMMON 293639100   $   4,078     580,940    SH   DEFINED              14      264,040    0  314,900
ENTERCOM COMMUNICATIONS CORP COMMON 293639100   $      93      13,189    SH   DEFINED              23       13,189    0      -
ENTERGY CORP                 COMMON 29364G103   $  22,409     186,000    SH   DEFINED               1      186,000    0      -
ENTERGY CORP                 COMMON 29364G103   $     410       3,400    SH   DEFINED           10,14        3,400    0      -
ENTERGY CORP                 COMMON 29364G103   $   6,663      55,300    SH   DEFINED              14       44,900    0    8,600
ENTERGY CORP                 COMMON 29364G103   $     133       1,100    SH   DEFINED           14,13          -      0    1,100
ENTERGY CORP                 COMMON 29364G103   $     169       1,400    SH   DEFINED            14,7          -      0    1,400
ENTERGY CORP                 COMMON 29364G103   $     127       1,050    SH   DEFINED              22          850    0      200
ENTERGY CORP                 COMMON 29364G103   $   8,184      67,928    SH   DEFINED              23       67,928    0      -
ENTERGY CORP                 COMMON 29364G103   $      35         288    SH   DEFINED              24          288    0      -
ENTERGY CORP                 COMMON 29364G103   $      87         723    SH   DEFINED               5          161    0      562
ENTERGY CORP                 COMMON 29364G103   $     313       2,600    SH   DEFINED            5,15        2,600    0      -
ENTERGY CORP                 COMMON 29364G103   $     620       5,143    SH   DEFINED               7        5,143    0      -
ENTERGY CORP                 COMMON 29364G103   $  13,906     115,421    SH   DEFINED               8      115,421    0      -
ENTERGY CORP                 COMMON 29364G103   $   1,904      15,800    SH   DEFINED            8,14       15,800    0      -
ENTERGY CORP                 COMMON 29364G103   $      72         600    SH   DEFINED            9,14          -      0      600
ENTERGY CORPORATION CVT
PFD 7.                       CONVERT29364G202   $     778      11,000    SH   DEFINED              22          -      0   11,000
ENTERPRISE FINANCIAL SERVICE COMMON 293712105   $       2         110    SH   DEFINED              23          110    0      -
ENTERPRISE GP HOLDINGS LP    COMMON 293716106   $   1,119      35,158    SH   DEFINED              22          830    0   34,328
ENTERPRISE GP HOLDINGS LP    COMMON 293716106   $  29,512     926,880    SH   DEFINED               5      911,690    0   15,190
ENTERPRISE PRODUCTS PARTNERS COMMON 293792107   $   6,497     214,639    SH   DEFINED              22        2,603    0  212,036
ENTERPRISE PRODUCTS PARTNERS COMMON 293792107   $  35,301   1,166,209    SH   DEFINED               5    1,105,166    0   61,043
ENTERTAINMENT PROPERTIES TR  COMMON 29380T105   $     396       8,000    SH   DEFINED              14        4,500    0    3,500
ENTERTAINMENT PROPERTIES TR  COMMON 29380T105   $     186       3,754    SH   DEFINED              23        3,754    0      -
ENTERTAINMENT PROPERTIES TR  COMMON 29380T105   $     124       2,500    SH   DEFINED               5        2,500    0      -
ENTERTAINMENT PROPERTIES TR  COMMON 29380T105   $      20         400    SH   DEFINED            6,14          400    0      -
ENTRAVISION COMMUNICATIONS   COMMON 29382R107   $     882     219,471    SH   DEFINED              23      219,471    0      -
ENTORIAN TECHNOLOGIES INC    COMMON 29383P100       $ -           123    SH   DEFINED              23          123    0      -
ENTRUST INC                  COMMON 293848107   $       1         400    SH   DEFINED              23          400    0      -
ENZON PHARMACEUTICALS INC    COMMON 293904108   $   5,675     797,000    SH   DEFINED              14      561,800    0  235,200
ENZON PHARMACEUTICALS INC    COMMON 293904108   $     132      18,563    SH   DEFINED              23       18,563    0      -
ENZON PHARMACEUTICALS INC    COMMON 293904108   $     116      16,320    SH   DEFINED               5          -      0   16,320
ENZON PHARMACEUTICALS INC    COMMON 293904108   $     913     128,300    SH   DEFINED            5,15      128,300    0      -
ENZON PHARMACEUTICALS INC    COMMON 293904108   $     286      40,100    SH   DEFINED               8       40,100    0      -
ENZON PHARMACEUTICALS INC    COMMON 293904108   $      78      10,900    SH   DEFINED            8,20       10,900    0      -
ENZO BIOCHEM INC             COMMON 294100102   $     217      19,380    SH   DEFINED              23       19,380    0      -
EPICOR SOFTWARE CORP         COMMON 29426L108   $      30       4,390    SH   DEFINED              23        4,390    0      -
EPOCH HOLDING CORP           COMMON 29428R103   $       1          89    SH   DEFINED              23           89    0      -
EQUIFAX INC                  COMMON 294429105   $  17,699     526,443    SH   DEFINED               1      526,443    0      -
EQUIFAX INC                  COMMON 294429105   $      13         400    SH   DEFINED              14          400    0      -
EQUIFAX INC                  COMMON 294429105   $   1,420      42,241    SH   DEFINED               2        8,161    0   34,080
EQUIFAX INC                  COMMON 294429105   $     151       4,479    SH   DEFINED              23        4,479    0      -
EQUIFAX INC                  COMMON 294429105   $       3          79    SH   DEFINED              24           79    0      -
EQUIFAX INC                  COMMON 294429105   $     136       4,050    SH   DEFINED               5          -      0    4,050
EQUIFAX INC                  COMMON 294429105   $     117       3,481    SH   DEFINED               7        3,481    0      -
EQUINIX INC                  COMMON 29444U502   $   3,526      39,525    SH   DEFINED              22       37,350    0    2,175
EQUINIX INC                  COMMON 29444U502   $     189       2,120    SH   DEFINED              23        2,120    0      -
EQUINIX INC                  COMMON 29444U502   $   2,370      26,565    SH   DEFINED               5       17,290    0    9,275
EQUITABLE RESOURCES INC      COMMON 294549100   $  20,925     303,000    SH   DEFINED               1      303,000    0      -
EQUITABLE RESOURCES INC      COMMON 294549100   $   8,600     124,536    SH   DEFINED              22       68,936    0   55,600
EQUITABLE RESOURCES INC      COMMON 294549100   $   5,415      78,406    SH   DEFINED              23       78,406    0      -
EQUITABLE RESOURCES INC      COMMON 294549100   $       5          70    SH   DEFINED              24           70    0      -
EQUITABLE RESOURCES INC      COMMON 294549100   $   6,825      98,830    SH   DEFINED               5       78,270    0   20,560
EQUITABLE RESOURCES INC      COMMON 294549100   $     135       1,949    SH   DEFINED               7        1,949    0      -
EQUITY INCOME FUND (AT&T)
UIT                          COMMON 294700703   $      36         302    SH   DEFINED              22          -      0      302
EQUITY LIFESTYLE PROPERTIES  COMMON 29472R108   $   2,112      48,000    SH   DEFINED              14       48,000    0      -
EQUITY LIFESTYLE PROPERTIES  COMMON 29472R108   $     138       3,129    SH   DEFINED              23        3,129    0      -
EQUITY ONE INC               COMMON 294752100   $   2,811     136,800    SH   DEFINED              14      101,900    0   34,900
EQUITY ONE INC               COMMON 294752100   $      73       3,562    SH   DEFINED              23        3,562    0      -
EQUITY ONE INC               COMMON 294752100   $       1          65    SH   DEFINED              24           65    0      -
EQUITY ONE INC               COMMON 294752100   $     360      17,500    SH   DEFINED            5,15       17,500    0      -
EQUUS TOTAL RETURN INC       COMMON 294766100   $      22       3,076    SH   DEFINED              22          -      0    3,076
EQUITY RESIDENTIAL           COMMON 29476L107   $  67,592   1,766,200    SH   DEFINED            1,15    1,766,200    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $ 207,817   5,430,291    SH   DEFINED              14    3,211,091    0 1,901,500
EQUITY RESIDENTIAL           COMMON 29476L107   $   3,789      99,000    SH   DEFINED           18,14       99,000    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $   1,140      29,800    SH   DEFINED           19,14       29,800    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $   9,610     251,100    SH   DEFINED            2,15      251,100    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $   2,907      75,966    SH   DEFINED              22          -      0   75,966
EQUITY RESIDENTIAL           COMMON 29476L107   $     928      24,251    SH   DEFINED              23       24,251    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $      19         487    SH   DEFINED              24          487    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $   1,274      33,300    SH   DEFINED            3,15       15,400    0   17,900
EQUITY RESIDENTIAL           COMMON 29476L107   $      36         940    SH   DEFINED               5          -      0      940
EQUITY RESIDENTIAL           COMMON 29476L107   $  15,072     393,836    SH   DEFINED            5,15      393,836    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $     180       4,700    SH   DEFINED            6,14        4,700    0      -
EQUITY RESIDENTIAL           COMMON 29476L107   $   3,352      87,600    SH   DEFINED            8,14          -      0      87,600
ERESEARCH TECHNOLOGY INC     COMMON 29481V108   $   7,009     401,909    SH   DEFINED               1      401,909    0         -
ERESEARCH TECHNOLOGY INC     COMMON 29481V108   $   1,067      61,200    SH   DEFINED              14       32,000    0      29,200
ERESEARCH TECHNOLOGY INC     COMMON 29481V108   $   4,060     232,826    SH   DEFINED               2       91,581    0     141,245
ERESEARCH TECHNOLOGY INC     COMMON 29481V108   $   6,709     384,716    SH   DEFINED              23      384,716    0         -
ERESEARCH TECHNOLOGY INC     COMMON 29481V108   $     159       9,107    SH   DEFINED              24        9,107    0         -
ERESEARCH TECHNOLOGY INC     COMMON 29481V108   $     150       8,600    SH   DEFINED            5,15        8,600    0         -
ERICSSON (LM) TEL ADR        COMMON 294821608   $  91,296   8,778,481    SH   DEFINED              11    8,778,481    0         -
ERICSSON (LM) TEL ADR        COMMON 294821608   $   1,686     162,123    SH   DEFINED              14      162,123    0         -
ERICSSON (LM) TEL ADR        COMMON 294821608   $     330      31,696    SH   DEFINED              22          200    0      31,496
ERICSSON (LM) TEL ADR        COMMON 294821608   $      43       4,106    SH   DEFINED              23        4,106    0         -
ERICSSON (LM) TEL ADR        COMMON 294821608   $       9         853    SH   DEFINED               4          853    0         -
ERICSSON (LM) TEL ADR        COMMON 294821608   $     346      33,264    SH   DEFINED               5       33,264    0         -
ERIE INDEMNITY COMPANY CL A  COMMON 29530P102   $      36         770    SH   DEFINED              22          -      0         770
ERIE INDEMNITY COMPANY CL A  COMMON 29530P102   $     140       3,033    SH   DEFINED              23        3,033    0         -
ERIE INDEMNITY COMPANY CL A  COMMON 29530P102   $       1          25    SH   DEFINED              24           25    0         -
ESCALADE INC                 COMMON 296056104   $       1         111    SH   DEFINED              23          111    0         -
ESCO ELECTRONICS CORP        COMMON 296315104   $      70       1,500    SH   DEFINED              22        1,500    0         -
ESCO ELECTRONICS CORP        COMMON 296315104   $   2,459      52,419    SH   DEFINED              23       52,419    0         -
ESCO ELECTRONICS CORP        COMMON 296315104   $     500      10,650    SH   DEFINED               5        9,550    0       1,100
ESMARK INC                   COMMON 296475106   $     258      13,497    SH   DEFINED              23       13,497    0         -
ESSA BANCORP INC             COMMON 29667D104   $     352      28,100    SH   DEFINED              14       20,100    0       8,000
ESSA BANCORP INC             COMMON 29667D104   $      64       5,100    SH   DEFINED            5,15        5,100    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $  58,287     547,300    SH   DEFINED            1,15      547,300    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $ 147,862   1,388,377    SH   DEFINED              14      833,276    0     477,800
ESSEX PROPERTY TRUST INC     COMMON 297178105   $   2,471      23,200    SH   DEFINED           18,14       23,200    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $     735       6,900    SH   DEFINED           19,14        6,900    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $   8,403      78,900    SH   DEFINED            2,15       78,900    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $     255       2,398    SH   DEFINED              23        2,398    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $     980       9,200    SH   DEFINED            3,15        3,600    0       5,600
ESSEX PROPERTY TRUST INC     COMMON 297178105   $  12,250     115,024    SH   DEFINED            5,15      115,024    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $      64         600    SH   DEFINED            6,14          600    0         -
ESSEX PROPERTY TRUST INC     COMMON 297178105   $   2,162      20,300    SH   DEFINED            8,14          -      0      20,300
ESTERLINE TECHNOLOGIES CORP  COMMON 297425100   $     990      20,100    SH   DEFINED              14       20,100    0         -
ESTERLINE TECHNOLOGIES CORP  COMMON 297425100   $   3,380      68,610    SH   DEFINED              23       68,610    0         -
ESTERLINE TECHNOLOGIES CORP  COMMON 297425100   $      34         700    SH   DEFINED               5          -      0         700
ESTERLINE TECHNOLOGIES CORP  COMMON 297425100   $     778      15,800    SH   DEFINED               8       15,800    0         -
ESTERLINE TECHNOLOGIES CORP  COMMON 297425100   $     212       4,300    SH   DEFINED            8,20        4,300    0         -
ETHAN ALLEN INTERIORS INC    COMMON 297602104   $     199       8,091    SH   DEFINED              23        8,091    0         -
ETHAN ALLEN INTERIORS INC    COMMON 297602104   $      90       3,667    SH   DEFINED               5          967    0       2,700
EURONET WORLDWIDE INC        COMMON 298736109   $  14,696     869,591    SH   DEFINED               1      869,591    0         -
EURONET WORLDWIDE INC        COMMON 298736109   $   9,968     589,822    SH   DEFINED               2      497,912    0      91,910
EURONET WORLDWIDE INC        COMMON 298736109   $   2,109     124,788    SH   DEFINED              22      114,570    0      10,218
EURONET WORLDWIDE INC        COMMON 298736109   $      53       3,145    SH   DEFINED              23        3,145    0         -
EURONET WORLDWIDE INC        COMMON 298736109   $   2,783     164,700    SH   DEFINED               3      164,700    0         -
EURONET WORLDWIDE INC        COMMON 298736109   $   1,260      74,541    SH   DEFINED               5       54,771    0      19,770
EVERCORE PARTNERS INC-CL A   COMMON 29977A105   $   1,098     115,532    SH   DEFINED              23      115,532    0         -
EVERGREEN ENERGY INC         COMMON 30024B104   $       6       3,500    SH   DEFINED              22          -      0       3,500
EVERGREEN ENERGY INC         COMMON 30024B104   $     396     225,019    SH   DEFINED              23      225,019    0         -
EVERGREEN SOLAR INC          COMMON 30033R108   $       3         350    SH   DEFINED              22          -      0         350
EVERGREEN SOLAR INC          COMMON 30033R108   $  38,296   3,952,150    SH   DEFINED              23    3,952,150    0         -
EVERGREEN SOLAR INC          COMMON 30033R108   $      84       8,692    SH   DEFINED              24        8,692    0         -
EVERGREEN SOLAR INC          COMMON 30033R108   $     145      15,000    SH   DEFINED               5       15,000    0         -
EVOTEC AG - SPON ADR         COMMON 30050E105   $       1         136    SH   DEFINED              23          136    0         -
EXAR CORP                    COMMON 300645108   $     249      33,044    SH   DEFINED              23       33,044    0         -
EXACTECH INC                 COMMON 30064E109   $     206       8,000    SH   DEFINED              14        8,000    0         -
EXACTECH INC                 COMMON 30064E109   $      46       1,800    SH   DEFINED              22          -      0       1,800
EXACTECH INC                 COMMON 30064E109   $     231       8,966    SH   DEFINED              23        8,966    0         -
EXACTECH INC                 COMMON 30064E109   $     162       6,300    SH   DEFINED               8        6,300    0         -
EXACTECH INC                 COMMON 30064E109   $      44       1,700    SH   DEFINED            8,20        1,700    0         -
EXCEL TECHNOLOGY INC         COMMON 30067T103   $     337      15,100    SH   DEFINED              14       11,000    0       4,100
EXCEL TECHNOLOGY INC         COMMON 30067T103   $       2          97    SH   DEFINED              23           97    0         -
EXCEL TECHNOLOGY INC         COMMON 30067T103   $      62       2,800    SH   DEFINED            5,15        2,800    0         -
EXELON CORPORATION           COMMON 30161N101   $  53,180     591,151    SH   DEFINED               1      591,151    0         -
EXELON CORPORATION           COMMON 30161N101   $   3,000      33,350    SH   DEFINED              14       19,550    0      10,900
EXELON CORPORATION           COMMON 30161N101   $   1,430      15,900    SH   DEFINED            14,7          -      0      15,900
EXELON CORPORATION           COMMON 30161N101   $  20,783     231,023    SH   DEFINED              22       78,312    0     152,711
EXELON CORPORATION           COMMON 30161N101   $   4,966      55,202    SH   DEFINED              23       55,202    0         -
EXELON CORPORATION           COMMON 30161N101   $      65         718    SH   DEFINED              24          718    0         -
EXELON CORPORATION           COMMON 30161N101   $  12,385     137,675    SH   DEFINED               5      106,957    0      30,718
EXELON CORPORATION           COMMON 30161N101   $   1,008      11,206    SH   DEFINED               7       11,206    0         -
EXELON CORPORATION           COMMON 30161N101   $     778       8,652    SH   DEFINED               8        8,652    0         -
EXELIXIS INC                 COMMON 30161Q104   $   5,009   1,001,850    SH   DEFINED               3    1,001,850    0         -
EXFO ELECTRO-OPTICAL ENGINEE COMMON 302043104   $     207      46,616    SH   DEFINED              23       46,616    0         -
EXIDE TECHNOLOGIES           COMMON 302051206   $   2,058     122,820    SH   DEFINED              23      122,820    0         -
EXIDE TECHNOLOGIES           COMMON 302051206   $       4         242    SH   DEFINED              24          242    0         -
EXLSERVICE HOLDINGS INC      COMMON 302081104   $      89       6,309    SH   DEFINED              23        6,309    0         -
EXPEDIA INC                  COMMON 30212P105   $  14,612     795,000    SH   DEFINED               1      795,000    0         -
EXPEDIA INC                  COMMON 30212P105   $   1,994     108,500    SH   DEFINED            1,15      108,500    0         -
EXPEDIA INC                  COMMON 30212P105   $   1,163      63,300    SH   DEFINED           10,14       63,300    0         -
EXPEDIA INC                  COMMON 30212P105   $      36       1,952    SH   DEFINED              11        1,952    0         -
EXPEDIA INC                  COMMON 30212P105   $      24       1,300    SH   DEFINED              13        1,300    0         -
EXPEDIA INC                  COMMON 30212P105   $  83,916   4,565,615    SH   DEFINED              14    2,963,015    0   1,444,600
EXPEDIA INC                  COMMON 30212P105   $   2,077     113,000    SH   DEFINED           14,13          -      0     113,000
EXPEDIA INC                  COMMON 30212P105   $   3,068     166,900    SH   DEFINED            14,7          -      0     166,900
EXPEDIA INC                  COMMON 30212P105   $     308      16,769    SH   DEFINED              19       16,769    0         -
EXPEDIA INC                  COMMON 30212P105   $   5,492     298,792    SH   DEFINED               2      298,792    0         -
EXPEDIA INC                  COMMON 30212P105   $     327      17,800    SH   DEFINED           20,14          -      0         -
EXPEDIA INC                  COMMON 30212P105   $       4         216    SH   DEFINED              22          100    0         116
EXPEDIA INC                  COMMON 30212P105   $     990      53,837    SH   DEFINED              23       53,837    0         -
EXPEDIA INC                  COMMON 30212P105   $   1,431      77,859    SH   DEFINED              24       77,859    0         -
EXPEDIA INC                  COMMON 30212P105   $     248      13,478    SH   DEFINED               4       13,478    0         -
EXPEDIA INC                  COMMON 30212P105   $      12         673    SH   DEFINED               5          -      0         673
EXPEDIA INC                  COMMON 30212P105   $   4,663     253,700    SH   DEFINED            5,15      253,700    0         -
EXPEDIA INC                  COMMON 30212P105   $   2,409     131,063    SH   DEFINED               7      131,063    0         -
EXPEDIA INC                  COMMON 30212P105   $   1,603      87,235    SH   DEFINED               8       87,235    0         -
EXPEDIA INC                  COMMON 30212P105   $   7,021     382,000    SH   DEFINED            8,14      382,000    0         -
EXPEDIA INC                  COMMON 30212P105   $   1,130      61,500    SH   DEFINED            9,14          -      0      61,500
EXPEDITORS INTL WASH INC     COMMON 302130109   $       6         148    SH   DEFINED              22          -      0         148
EXPEDITORS INTL WASH INC     COMMON 302130109   $   4,964     115,446    SH   DEFINED              23      115,446    0         -
EXPEDITORS INTL WASH INC     COMMON 302130109   $   2,480      57,670    SH   DEFINED              24       57,670    0         -
EXPEDITORS INTL WASH INC     COMMON 302130109   $   1,543      35,881    SH   DEFINED               5          400    0      35,481
EXPEDITORS INTL WASH INC     COMMON 302130109   $     217       5,052    SH   DEFINED               7        5,052    0         -
EXPONENT INC                 COMMON 30214U102   $     945      30,100    SH   DEFINED              14       21,500    0       8,600
EXPONENT INC                 COMMON 30214U102   $   1,969      62,684    SH   DEFINED              23       62,684    0         -
EXPONENT INC                 COMMON 30214U102   $      85       2,700    SH   DEFINED            5,15        2,700    0         -
EXPONENT INC                 COMMON 30214U102   $     314      10,000    SH   DEFINED               8       10,000    0         -
EXPONENT INC                 COMMON 30214U102   $      88       2,800    SH   DEFINED            8,20        2,800    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $ 166,225   2,650,277    SH   DEFINED               1    2,650,277    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $   5,914      94,300    SH   DEFINED            1,15       94,300    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $   2,970      47,356    SH   DEFINED             1,9       47,356    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     345       5,500    SH   DEFINED           10,14        5,500    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     280       4,471    SH   DEFINED              11        4,471    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $      13         200    SH   DEFINED              13          200    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $  21,911     349,344    SH   DEFINED              14      229,344    0     108,900
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     383       6,100    SH   DEFINED           14,13          -      0       6,100
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $   1,430      22,800    SH   DEFINED            14,7          -      0      22,800
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     220       3,500    SH   DEFINED              17        3,500    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $  24,121     384,575    SH   DEFINED               2      357,412    0      27,163
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $      13         200    SH   DEFINED           20,14          -      0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $   1,718      27,392    SH   DEFINED            20,2          -      0      27,392
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $   1,466      23,367    SH   DEFINED              21       23,367    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $  73,099   1,165,482    SH   DEFINED              22      282,648    0     882,834
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $  26,710     425,853    SH   DEFINED              23      425,853    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $   4,694      74,840    SH   DEFINED              24       74,840    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     572       9,121    SH   DEFINED               4        9,121    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $  14,024     223,596    SH   DEFINED               5      161,496    0      62,100
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     866      13,800    SH   DEFINED            5,15       13,800    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     768      12,252    SH   DEFINED               7       12,252    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $  24,476     390,246    SH   DEFINED               8      390,246    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     978      15,600    SH   DEFINED            8,14       15,600    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     218       3,480    SH   DEFINED             8,2        3,480    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     897      14,300    SH   DEFINED               9       14,300    0         -
EXPRESS SCRIPTS INC -COMMON  COMMON 302182100   $     207       3,300    SH   DEFINED            9,14          -      0       3,300
EXPRESSJET HOLDINGS          COMMON 30218U108   $      44      79,168    SH   DEFINED              23       79,168    0         -
EXTERRAN PARTNERS LP         COMMON 30225N105   $      22         700    SH   DEFINED               5          -      0         700
EXTRA SPACE STORAGE INC      COMMON 30225T102   $     943      61,400    SH   DEFINED              14       61,400    0         -
EXTRA SPACE STORAGE INC      COMMON 30225T102   $      96       6,281    SH   DEFINED              23        6,281    0         -
EXTERRAN HOLDINGS INC        COMMON 30225X103   $     184       2,571    SH   DEFINED              14        2,500    0          71
EXTERRAN HOLDINGS INC        COMMON 30225X103   $      16         224    SH   DEFINED              22          -      0         224
EXTERRAN HOLDINGS INC        COMMON 30225X103   $     160       2,235    SH   DEFINED               5          560    0       1,675
EXTREME NETWORKS INC         COMMON 30226D106   $     194      68,400    SH   DEFINED              14       68,400    0         -
EXTREME NETWORKS INC         COMMON 30226D106   $      47      16,697    SH   DEFINED              23       16,697    0         -
EXTREME NETWORKS INC         COMMON 30226D106   $      42      14,700    SH   DEFINED            5,15       14,700    0         -
EZCORP INC                   COMMON 302301106   $   1,552     121,700    SH   DEFINED              14       64,400    0      57,300
EZCORP INC                   COMMON 302301106   $     228      17,878    SH   DEFINED              23       17,878    0         -
EZCORP INC                   COMMON 302301106   $     241      18,900    SH   DEFINED            5,15       18,900    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $ 319,180   3,621,695    SH   DEFINED               1    3,621,695    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  28,774     326,500    SH   DEFINED            1,15      326,500    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  16,706     189,565    SH   DEFINED             1,9      189,565    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   8,998     102,100    SH   DEFINED           10,14      102,100    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   1,797      20,393    SH   DEFINED            10,7       20,393    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   1,106      12,551    SH   DEFINED              11       12,551    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   1,880      21,327    SH   DEFINED              13       21,327    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   7,212      81,835    SH   DEFINED            13,2        1,835    0      80,000
EXXON MOBIL CORPORATION      COMMON 30231G102   $ 487,996   5,537,228    SH   DEFINED              14    3,771,318    0   1,571,210
EXXON MOBIL CORPORATION      COMMON 30231G102   $  10,452     118,600    SH   DEFINED           14,13          -      0     118,600
EXXON MOBIL CORPORATION      COMMON 30231G102   $  40,364     458,000    SH   DEFINED            14,7          -      0     458,000
EXXON MOBIL CORPORATION      COMMON 30231G102   $   3,879      44,009    SH   DEFINED              19       44,009    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  24,447     277,396    SH   DEFINED               2      277,396    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   4,548      51,600    SH   DEFINED           20,14          -      0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   3,698      41,963    SH   DEFINED              21       41,963    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $ 145,718   1,653,447    SH   DEFINED              22      361,768    0   1,291,680
EXXON MOBIL CORPORATION      COMMON 30231G102   $  53,143     603,006    SH   DEFINED              23      603,006    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $     564       6,405    SH   DEFINED              24        6,405    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   3,772      42,800    SH   DEFINED               3       42,800    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   3,358      38,108    SH   DEFINED             3,1       38,108    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  55,319     627,693    SH   DEFINED               5      517,601    0     110,092
EXXON MOBIL CORPORATION      COMMON 30231G102   $  23,592     267,700    SH   DEFINED            5,15      267,700    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   1,719      19,500    SH   DEFINED               6       19,500    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  33,435     379,383    SH   DEFINED               7      379,383    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  95,261   1,080,913    SH   DEFINED               8    1,080,913    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $  48,110     545,900    SH   DEFINED            8,14      545,900    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $     685       7,776    SH   DEFINED             8,2        7,776    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   8,569      97,227    SH   DEFINED               9       97,227    0         -
EXXON MOBIL CORPORATION      COMMON 30231G102   $   5,693      64,600    SH   DEFINED            9,14          -      0      64,600
FBL FINANCIAL GROUP INC CL A COMMON 30239F106   $     342      17,200    SH   DEFINED              14       17,200    0         -
FBL FINANCIAL GROUP INC CL A COMMON 30239F106   $      57       2,858    SH   DEFINED              23        2,858    0         -
FBL FINANCIAL GROUP INC CL A COMMON 30239F106   $      76       3,800    SH   DEFINED            5,15        3,800    0         -
FEI COMPANY                  COMMON 30241L109   $   4,936     216,672    SH   DEFINED              23      216,672    0         -
FLIR SYSTEMS INC             COMMON 302445101   $   3,968      97,800    SH   DEFINED              14       39,500    0      56,800
FLIR SYSTEMS INC             COMMON 302445101   $      16         388    SH   DEFINED              22          -      0         388
FLIR SYSTEMS INC             COMMON 302445101   $   5,838     143,910    SH   DEFINED              23      143,910    0         -
FLIR SYSTEMS INC             COMMON 302445101   $      65       1,600    SH   DEFINED            5,15        1,600    0         -
FBR CAPITAL MARKETS CORP     COMMON 30247C301   $   9,464   1,881,481    SH   DEFINED               1    1,881,481    0         -
FBR CAPITAL MARKETS CORP     COMMON 30247C301   $      35       6,928    SH   DEFINED              23        6,928    0         -
FMC CORP                     COMMON 302491303   $   7,232      93,391    SH   DEFINED               1       93,391    0         -
FMC CORP                     COMMON 302491303   $   4,186      54,053    SH   DEFINED               2       21,176    0      32,877
FMC CORP                     COMMON 302491303   $     111       1,436    SH   DEFINED              22          -      0       1,436
FMC CORP                     COMMON 302491303   $   3,988      51,498    SH   DEFINED              23       51,498    0         -
FMC CORP                     COMMON 302491303   $       4          51    SH   DEFINED              24           51    0         -
FMC CORP                     COMMON 302491303   $      29         375    SH   DEFINED               5          375    0         -
FMC TECHNOLOGIES COM         COMMON 30249U101   $  18,544     241,054    SH   DEFINED               1      241,054    0         -
FMC TECHNOLOGIES COM         COMMON 30249U101   $   1,154      15,000    SH   DEFINED              14       12,800    0         600
FMC TECHNOLOGIES COM         COMMON 30249U101   $     192       2,500    SH   DEFINED            14,7          -      0       2,500
FMC TECHNOLOGIES COM         COMMON 30249U101   $  14,037     182,468    SH   DEFINED               2      182,468    0         -
FMC TECHNOLOGIES COM         COMMON 30249U101   $     272       3,530    SH   DEFINED              22        3,000    0         530
FMC TECHNOLOGIES COM         COMMON 30249U101   $  31,601     410,770    SH   DEFINED              23      410,770    0         -
FMC TECHNOLOGIES COM         COMMON 30249U101   $       5          60    SH   DEFINED              24           60    0         -
FMC TECHNOLOGIES COM         COMMON 30249U101   $      48         624    SH   DEFINED               4          624    0         -
FMC TECHNOLOGIES COM         COMMON 30249U101   $     510       6,632    SH   DEFINED               5        3,000    0       3,632
FMC TECHNOLOGIES COM         COMMON 30249U101   $     453       5,893    SH   DEFINED               8        5,893    0         -
FNB UNITED CORP              COMMON 302519103   $       1         100    SH   DEFINED              23          100    0         -
FNB CORP/PA                  COMMON 302520101   $     225      19,108    SH   DEFINED              14       19,108    0         -
FNB CORP/PA                  COMMON 302520101   $   3,106     263,678    SH   DEFINED              23      263,678    0         -
FNB CORP/PA                  COMMON 302520101   $      62       5,225    SH   DEFINED               5        1,300    0       3,925
FNB CORP/PA                  COMMON 302520101   $      36       3,033    SH   DEFINED            5,15        3,033    0         -
FNB CORP/PA                  COMMON 302520101   $      47       4,000    SH   DEFINED               8        4,000    0         -
FNB CORP/PA                  COMMON 302520101   $      13       1,100    SH   DEFINED            8,20        1,100    0         -
FPIC INSURANCE GROUP INC     COMMON 302563101   $   6,496     143,338    SH   DEFINED               1      143,338    0         -
FPIC INSURANCE GROUP INC     COMMON 302563101   $     743      16,400    SH   DEFINED              14       16,400    0         -
FPIC INSURANCE GROUP INC     COMMON 302563101   $   3,777      83,340    SH   DEFINED               2       32,679    0      50,661
FPIC INSURANCE GROUP INC     COMMON 302563101   $     524      11,568    SH   DEFINED              23       11,568    0         -
FPIC INSURANCE GROUP INC     COMMON 302563101   $     154       3,400    SH   DEFINED            5,15        3,400    0         -
FPL GROUP INC                COMMON 302571104   $  23,346     356,000    SH   DEFINED               1      356,000    0         -
FPL GROUP INC                COMMON 302571104   $     784      11,950    SH   DEFINED              14       10,250    0       1,000
FPL GROUP INC                COMMON 302571104   $     243       3,700    SH   DEFINED            14,7          -      0       3,700
FPL GROUP INC                COMMON 302571104   $  12,259     186,934    SH   DEFINED              22       70,966    0     115,968
FPL GROUP INC                COMMON 302571104   $   4,296      65,511    SH   DEFINED              23       65,511    0         -
FPL GROUP INC                COMMON 302571104   $      38         581    SH   DEFINED              24          581    0         -
FPL GROUP INC                COMMON 302571104   $   2,941      44,850    SH   DEFINED               3       44,850    0         -
FPL GROUP INC                COMMON 302571104   $   7,174     109,390    SH   DEFINED               5       86,376    0      23,014
FPL GROUP INC                COMMON 302571104   $     412       6,276    SH   DEFINED               7        6,276    0         -
FPL GROUP INC                COMMON 302571104   $     662      10,087    SH   DEFINED               8       10,087    0         -
FTD GROUP INC                COMMON 30267U108   $     191      14,337    SH   DEFINED              23       14,337    0         -
FX ENERGY INC                COMMON 302695101   $     170      32,166    SH   DEFINED              23       32,166    0         -
FX REAL ESTATE AND ENTERTAIN COMMON 302709100   $       1         138    SH   DEFINED              23          138    0         -
FTI CONSULTING INC           COMMON 302941109   $   8,428     123,114    SH   DEFINED              23      123,114    0         -
FTI CONSULTING INC           COMMON 302941109   $      33         488    SH   DEFINED               5          -      0         488
FACTSET RESEARCH SYSTEMS INC COMMON 303075105   $     194       3,440    SH   DEFINED              23        3,440    0         -
FAIR ISAAC CORP              COMMON 303250104   $  19,616     944,430    SH   DEFINED              14      488,830    0     450,700
FAIR ISAAC CORP              COMMON 303250104   $     113       5,436    SH   DEFINED              22          -      0       5,436
FAIR ISAAC CORP              COMMON 303250104   $     148       7,140    SH   DEFINED              23        7,140    0         -
FAIR ISAAC CORP              COMMON 303250104   $       6         300    SH   DEFINED               5          300    0         -
FAIR ISAAC CORP              COMMON 303250104   $   1,030      49,600    SH   DEFINED            5,15       49,600    0         -
FAIR ISAAC CORP              COMMON 303250104   $     478      23,000    SH   DEFINED               8       23,000    0         -
FAIR ISAAC CORP              COMMON 303250104   $     131       6,300    SH   DEFINED            8,20        6,300    0         -
FAIRCHILD SEMICON INTL CL A  COMMON 303726103   $   1,907     162,609    SH   DEFINED              23      162,609    0         -
FAIRCHILD SEMICON INTL CL A  COMMON 303726103   $       2         204    SH   DEFINED              24          204    0         -
FAIRCHILD SEMICON INTL CL A  COMMON 303726103   $     106       9,016    SH   DEFINED               5        2,220    0       6,796
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $   2,644      10,275    SH   DEFINED             1,9       10,275    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $     112         435    SH   DEFINED            10,7          435    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $     120         466    SH   DEFINED              13          466    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $   1,715       6,666    SH   DEFINED              19        6,666    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $   2,165       8,416    SH   DEFINED              21        8,416    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $      28         108    SH   DEFINED              23          108    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $   1,336       5,192    SH   DEFINED               7        5,192    0         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $  13,190      51,268    SH   DEFINED               8       49,144   2124         -
FAIRFAX FINANCIAL HLDGS LTD  COMMON 303901102   $     850       3,302    SH   DEFINED               9        3,302    0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104       $ -           -      SH   DEFINED           10,14          -      0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104       $ -             9    SH   DEFINED              14            4    0           4
FAIRPOINT COMMUNICATIONS INC COMMON 305560104       $ -             1    SH   DEFINED            14,7          -      0           1
FAIRPOINT COMMUNICATIONS INC COMMON 305560104   $      21       2,977    SH   DEFINED            20,2        2,977    0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104       $ -             4    SH   DEFINED              21            4    0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104   $      36       5,005    SH   DEFINED              22          368    0       4,637
FAIRPOINT COMMUNICATIONS INC COMMON 305560104   $      75      10,369    SH   DEFINED              23       10,369    0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104       $ -             3    SH   DEFINED               4            3    0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104   $       3         484    SH   DEFINED               5          280    0         204
FAIRPOINT COMMUNICATIONS INC COMMON 305560104   $       1         171    SH   DEFINED               6          171    0         -
FAIRPOINT COMMUNICATIONS INC COMMON 305560104       $ -             1    SH   DEFINED            9,14          -      0           1
FALCONSTOR SOFTWARE INC      COMMON 306137100   $     140      19,788    SH   DEFINED              23       19,788    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $      70       3,500    SH   DEFINED           10,14        3,500    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $       8         400    SH   DEFINED              13          400    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $  26,175   1,312,700    SH   DEFINED              14      501,600    0     803,000
FAMILY DOLLAR STORES         COMMON 307000109   $     457      22,900    SH   DEFINED            14,7          -      0      22,900
FAMILY DOLLAR STORES         COMMON 307000109   $       8         400    SH   DEFINED           20,14          -      0         -
FAMILY DOLLAR STORES         COMMON 307000109   $       4         205    SH   DEFINED              21          205    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $   1,335      66,962    SH   DEFINED              23       66,962    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $       7         328    SH   DEFINED              24          328    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $       6         309    SH   DEFINED               5          -      0         309
FAMILY DOLLAR STORES         COMMON 307000109   $      61       3,082    SH   DEFINED               7        3,082    0         -
FAMILY DOLLAR STORES         COMMON 307000109   $     905      45,400    SH   DEFINED            8,14       45,400    0         -
FAMOUS DAVE'S OF AMERICA     COMMON 307068106   $       2         273    SH   DEFINED              23          273    0         -
FARMER BROS CO               COMMON 307675108   $     336      15,900    SH   DEFINED              14       11,500    0       4,400
FARMER BROS CO               COMMON 307675108   $     228      10,788    SH   DEFINED              23       10,788    0         -
FARMER BROS CO               COMMON 307675108   $      61       2,900    SH   DEFINED            5,15        2,900    0         -
FARMERS CAPITAL BANK CORP    COMMON 309562106   $      30       1,718    SH   DEFINED              23        1,718    0         -
FARO TECHNOLOGIES INC        COMMON 311642102   $       3         136    SH   DEFINED              22          -      0         136
FARO TECHNOLOGIES INC        COMMON 311642102   $     117       4,645    SH   DEFINED              23        4,645    0         -
FASTENAL CO                  COMMON 311900104   $      17         400    SH   DEFINED              22          -      0         400
FASTENAL CO                  COMMON 311900104   $  12,333     285,743    SH   DEFINED              23      285,743    0         -
FASTENAL CO                  COMMON 311900104   $   1,694      39,259    SH   DEFINED              24       39,259    0         -
FASTENAL CO                  COMMON 311900104   $     420       9,731    SH   DEFINED               5        9,600    0         131
FASTENAL CO                  COMMON 311900104   $     117       2,701    SH   DEFINED               7        2,701    0         -
FCSTONE GROUP INC            COMMON 31308T100   $     393      14,073    SH   DEFINED              23       14,073    0         -
FEDERAL AGRIC MTG CORP CL C  COMMON 313148306   $     257      10,352    SH   DEFINED              23       10,352    0         -
FEDERAL AGRIC MTG CORP CL C  COMMON 313148306   $     244       9,850    SH   DEFINED               5          -      0       9,850
FREDDIE MAC                  COMMON 313400301   $   9,255     564,323    SH   DEFINED               1      564,323    0         -
FREDDIE MAC                  COMMON 313400301   $     400      24,400    SH   DEFINED            1,15       24,400    0         -
FREDDIE MAC                  COMMON 313400301   $     156       9,500    SH   DEFINED           10,14        9,500    0         -
FREDDIE MAC                  COMMON 313400301   $      14         853    SH   DEFINED              11          853    0         -
FREDDIE MAC                  COMMON 313400301   $   6,404     390,491    SH   DEFINED              14      267,716    0     106,775
FREDDIE MAC                  COMMON 313400301   $     146       8,900    SH   DEFINED           14,13          -      0       8,900
FREDDIE MAC                  COMMON 313400301   $     574      35,000    SH   DEFINED            14,7          -      0      35,000
FREDDIE MAC                  COMMON 313400301   $     210      12,783    SH   DEFINED              22        1,063    0      11,720
FREDDIE MAC                  COMMON 313400301   $   2,550     155,518    SH   DEFINED              23      155,518    0         -
FREDDIE MAC                  COMMON 313400301   $      53       3,211    SH   DEFINED              24        3,211    0         -
FREDDIE MAC                  COMMON 313400301   $       4         270    SH   DEFINED               4          270    0         -
FREDDIE MAC                  COMMON 313400301   $      99       6,064    SH   DEFINED               5        3,100    0       2,964
FREDDIE MAC                  COMMON 313400301   $     328      20,000    SH   DEFINED            5,15       20,000    0         -
FREDDIE MAC                  COMMON 313400301   $     314      19,152    SH   DEFINED               7       19,152    0         -
FREDDIE MAC                  COMMON 313400301   $     753      45,900    SH   DEFINED            8,14       45,900    0         -
FREDDIE MAC                  COMMON 313400301   $      80       4,900    SH   DEFINED            9,14          -      0       4,900
FANNIE MAE                   COMMON 313586109   $ 151,387   7,759,450    SH   DEFINED               1    7,759,450    0         -
FANNIE MAE                   COMMON 313586109   $     685      35,100    SH   DEFINED            1,15       35,100    0         -
FANNIE MAE                   COMMON 313586109   $     271      13,900    SH   DEFINED           10,14       13,900    0         -
FANNIE MAE                   COMMON 313586109   $      26       1,316    SH   DEFINED              11        1,316    0         -
FANNIE MAE                   COMMON 313586109   $  12,104     620,408    SH   DEFINED              14      447,166    0     150,042
FANNIE MAE                   COMMON 313586109   $     275      14,100    SH   DEFINED           14,13          -      0      14,100
FANNIE MAE                   COMMON 313586109   $   1,112      57,000    SH   DEFINED            14,7          -      0      57,000
FANNIE MAE                   COMMON 313586109   $   2,219     113,714    SH   DEFINED              22          900    0     112,814
FANNIE MAE                   COMMON 313586109   $   4,140     212,219    SH   DEFINED              23      212,219    0         -
FANNIE MAE                   COMMON 313586109   $      86       4,389    SH   DEFINED              24        4,389    0         -
FANNIE MAE                   COMMON 313586109   $   7,227     370,419    SH   DEFINED               4      370,419    0         -
FANNIE MAE                   COMMON 313586109   $     257      13,178    SH   DEFINED               5        2,280    0      10,898
FANNIE MAE                   COMMON 313586109   $     607      31,100    SH   DEFINED            5,15       31,100    0         -
FANNIE MAE                   COMMON 313586109   $     540      27,669    SH   DEFINED               7       27,669    0         -
FANNIE MAE                   COMMON 313586109   $   1,297      66,500    SH   DEFINED            8,14       66,500    0         -
FANNIE MAE                   COMMON 313586109   $     148       7,600    SH   DEFINED            9,14          -      0       7,600
FEDERAL REALTY INVS TRUST    COMMON 313747206   $  52,813     765,400    SH   DEFINED            1,15      765,400    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $ 128,583   1,863,516    SH   DEFINED              14    1,132,516    0     618,900
FEDERAL REALTY INVS TRUST    COMMON 313747206   $   2,422      35,100    SH   DEFINED           18,14       35,100    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $     718      10,400    SH   DEFINED           19,14       10,400    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $   7,942     115,100    SH   DEFINED            2,15      115,100    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $      84       1,222    SH   DEFINED              22        1,000    0         222
FEDERAL REALTY INVS TRUST    COMMON 313747206   $     237       3,429    SH   DEFINED              23        3,429    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $       3          49    SH   DEFINED              24           49    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $     932      13,500    SH   DEFINED            3,15        5,400    0       8,100
FEDERAL REALTY INVS TRUST    COMMON 313747206   $  10,220     148,112    SH   DEFINED            5,15      148,112    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $     110       1,600    SH   DEFINED            6,14        1,600    0         -
FEDERAL REALTY INVS TRUST    COMMON 313747206   $   2,116      30,668    SH   DEFINED            8,14          -      0      30,668
FEDERAL SIGNAL CORP          COMMON 313855108   $     393      32,766    SH   DEFINED              23       32,766    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $  26,268     763,160    SH   DEFINED               1      763,160    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $     940      27,300    SH   DEFINED           10,14       27,300    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $     489      14,215    SH   DEFINED            10,7       14,215    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $     549      15,953    SH   DEFINED              13       15,953    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $  55,826   1,621,900    SH   DEFINED              14      911,000    0     678,800
FEDERATED INVESTORS INC CL B COMMON 314211103   $     513      14,900    SH   DEFINED           14,13          -      0      14,900
FEDERATED INVESTORS INC CL B COMMON 314211103   $   3,277      95,200    SH   DEFINED            14,7          -      0      95,200
FEDERATED INVESTORS INC CL B COMMON 314211103   $     922      26,784    SH   DEFINED              19       26,784    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $     213       6,200    SH   DEFINED           20,14          -      0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $   1,345      39,067    SH   DEFINED              21       39,067    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $       2          67    SH   DEFINED              22          -      0          67
FEDERATED INVESTORS INC CL B COMMON 314211103   $     173       5,037    SH   DEFINED              23        5,037    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $       2          52    SH   DEFINED              24           52    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $   1,146      33,300    SH   DEFINED            5,15       33,300    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $   3,940     114,472    SH   DEFINED               7      114,472    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $  21,737     631,529    SH   DEFINED               8      631,529    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $   5,796     168,400    SH   DEFINED            8,14      168,400    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $   2,355      68,417    SH   DEFINED               9       68,417    0         -
FEDERATED INVESTORS INC CL B COMMON 314211103   $     275       8,000    SH   DEFINED            9,14          -      0       8,000
FEDERATED PREMIER MUNI INC CFCOMMON 31423P108   $     110       7,734    SH   DEFINED              22          -      0       7,734
FEDEX CORPORATION            COMMON 31428X106   $      24         300    SH   DEFINED              14          300    0         -
FEDEX CORPORATION            COMMON 31428X106   $     430       5,462    SH   DEFINED              22          154    0       5,308
FEDEX CORPORATION            COMMON 31428X106   $   1,977      25,097    SH   DEFINED              23       25,097    0         -
FEDEX CORPORATION            COMMON 31428X106   $      35         447    SH   DEFINED              24          447    0         -
FEDEX CORPORATION            COMMON 31428X106   $  28,443     361,000    SH   DEFINED               3      361,000    0         -
FEDEX CORPORATION            COMMON 31428X106   $     707       8,968    SH   DEFINED               5        4,680    0       4,288
FEDEX CORPORATION            COMMON 31428X106   $     397       5,040    SH   DEFINED               7        5,040    0         -
FELCOR LODGING TRUST INC     COMMON 31430F101   $   4,215     401,474    SH   DEFINED               1      401,474    0         -
FELCOR LODGING TRUST INC     COMMON 31430F101   $     335      31,927    SH   DEFINED            13,2          -      0      31,927
FELCOR LODGING TRUST INC     COMMON 31430F101   $     503      47,900    SH   DEFINED              14       47,900    0         -
FELCOR LODGING TRUST INC     COMMON 31430F101   $     121      11,543    SH   DEFINED              23       11,543    0         -
FELCOR LODGING TRUST INC     COMMON 31430F101   $     109      10,385    SH   DEFINED               5        2,585    0       7,800
FEMALE HEALTH COMPANY        COMMON 314462102   $      17       6,500    SH   DEFINED              22          -      0       6,500
FERRO CORP                   COMMON 315405100   $   3,951     210,600    SH   DEFINED              14      117,300    0      92,900
FERRO CORP                   COMMON 315405100   $     251      13,375    SH   DEFINED              23       13,375    0         -
FERRO CORP                   COMMON 315405100   $     107       5,705    SH   DEFINED               5        1,455    0       4,250
FERRO CORP                   COMMON 315405100   $     332      17,700    SH   DEFINED            5,15       17,700    0         -
F5 NETWORKS INC              COMMON 315616102   $     467      16,444    SH   DEFINED              23       16,444    0         -
F5 NETWORKS INC              COMMON 315616102   $      33       1,172    SH   DEFINED               5          -      0       1,172
FIBERTOWER CORP              COMMON 31567R100   $      54      38,445    SH   DEFINED              23       38,445    0         -
FIDELITY NATIONAL INFORMATIO COMMON 31620M106   $       7         200    SH   DEFINED              14          200    0         -
FIDELITY NATIONAL INFORMATIO COMMON 31620M106   $      49       1,330    SH   DEFINED              22          -      0       1,330
FIDELITY NATIONAL INFORMATIO COMMON 31620M106   $     394      10,676    SH   DEFINED              23       10,676    0         -
FIDELITY NATIONAL INFORMATIO COMMON 31620M106   $       7         191    SH   DEFINED              24          191    0         -
FIDELITY NATIONAL INFORMATIO COMMON 31620M106   $     504      13,650    SH   DEFINED               5          -      0      13,650
FIDELITY NATIONAL INFORMATIO COMMON 31620M106   $      54       1,471    SH   DEFINED               7        1,471    0         -
FIDELITY NATIONAL FINANCIAL
 IN                          COMMON 31620R105       $ -           -      SH   DEFINED              14          -      0         -
FIDELITY NATIONAL FINANCIAL
 IN                          COMMON 31620R105   $      38       3,026    SH   DEFINED              22          -      0       3,026
FIDELITY NATIONAL FINANCIAL
 IN                          COMMON 31620R105   $     800      63,480    SH   DEFINED              23       63,480    0         -
FIDELITY NATIONAL FINANCIAL
 IN                          COMMON 31620R105   $      17       1,320    SH   DEFINED              24        1,320    0         -
FIDELITY NATIONAL FINANCIAL
 IN                          COMMON 31620R105   $       4         337    SH   DEFINED               5          -      0         337
FIDELITY NATIONAL FINANCIAL
 IN                          COMMON 31620R105   $      80       6,370    SH   DEFINED               7        6,370    0         -
FIDELITY SOUTHERN CORP       COMMON 316394105       $ -            61    SH   DEFINED              23           61    0         -
FIDUCIARY/CLAYMORE MLP OPPOR
C                            COMMON 31647Q106   $      35       1,550    SH   DEFINED              22          -      0       1,550
FIFTH THIRD BANCORP          COMMON 316773100   $  27,946   2,745,202    SH   DEFINED               1    2,745,202    0         -
FIFTH THIRD BANCORP          COMMON 316773100   $   9,538     936,900    SH   DEFINED              14      369,700    0     555,600
FIFTH THIRD BANCORP          COMMON 316773100   $     408      40,100    SH   DEFINED            14,7          -      0      40,100
FIFTH THIRD BANCORP          COMMON 316773100   $       1          88    SH   DEFINED              21           88    0         -
FIFTH THIRD BANCORP          COMMON 316773100   $     906      88,984    SH   DEFINED              22          471    0      88,513
FIFTH THIRD BANCORP          COMMON 316773100   $   3,609     354,557    SH   DEFINED              23      354,557    0         -
FIFTH THIRD BANCORP          COMMON 316773100   $      18       1,802    SH   DEFINED              24        1,802    0         -
FIFTH THIRD BANCORP          COMMON 316773100   $       1         140    SH   DEFINED               4          140    0         -
FIFTH THIRD BANCORP          COMMON 316773100   $       3         261    SH   DEFINED               5          -      0         261
FIFTH THIRD BANCORP          COMMON 316773100   $     166      16,305    SH   DEFINED               7       16,305    0         -
51JOB INC-ADR                COMMON 316827104   $   1,219      66,541    SH   DEFINED              23       66,541    0         -
FINANCIAL FEDERAL CORP       COMMON 317492106   $     312      14,230    SH   DEFINED              23       14,230    0         -
FINANCIAL INSTITUTIONS INC   COMMON 317585404   $     170      10,600    SH   DEFINED              14       10,600    0         -
FINANCIAL INSTITUTIONS INC   COMMON 317585404   $     218      13,563    SH   DEFINED              23       13,563    0         -
FINANCIAL INSTITUTIONS INC   COMMON 317585404   $    37       2,300      SH   DEFINED          5,15           2,300   0         -
FINISAR CORPORATION          COMMON 31787A101   $     3       2,687      SH   DEFINED            23           2,687   0         -
FINLAY ENTERPRISES INC       COMMON 317884203   $    43      99,396      SH   DEFINED            23          99,396   0         -
THE FINISH LINE CL A         COMMON 317923100   $   442      50,826      SH   DEFINED            23          50,826   0         -
FIRST ACCEPTANCE CORP        COMMON 318457108   $    16       4,853      SH   DEFINED            23           4,853   0         -
FIRST ADVANTAGE CORP- CL A   COMMON 31845F100   $ 1,660     104,763      SH   DEFINED            23         104,763   0         -
FIRST AMERICAN CORPORATION   COMMON 318522307   $   143       5,425      SH   DEFINED            22           2,000   0       3,425
FIRST AMERICAN CORPORATION   COMMON 318522307   $   449      17,001      SH   DEFINED            23          17,001   0         -
FIRST AMERICAN CORPORATION   COMMON 318522307   $     8         288      SH   DEFINED            24             288   0         -
FIRST AMERICAN CORPORATION   COMMON 318522307   $     3         125      SH   DEFINED             5             -     0         125
FIRST BANCORP/PUERTO RICO    COMMON 318672102   $   612      96,600      SH   DEFINED            14          96,600   0         -
FIRST BANCORP/PUERTO RICO    COMMON 318672102   $   141      22,246      SH   DEFINED            23          22,246   0         -
FIRST BANCORP/PUERTO RICO    COMMON 318672102   $   110      17,300      SH   DEFINED          5,15          17,300   0         -
FIRST BANCORP/NC             COMMON 318910106   $    37       2,909      SH   DEFINED            23           2,909   0         -
FIRST BUSEY CORP             COMMON 319383105   $    47       3,521      SH   DEFINED            23           3,521   0         -
FIRST CASH FINL SVCS IN      COMMON 31942D107   $    74       4,910      SH   DEFINED            23           4,910   0         -
FIRST CITIZENS BCSHS  -CL A  COMMON 31946M103   $ 2,211      15,850      SH   DEFINED            14          11,350   0       4,500
FIRST CITIZENS BCSHS  -CL A  COMMON 31946M103   $ 4,835      34,661      SH   DEFINED            23          34,661   0         -
FIRST CITIZENS BCSHS  -CL A  COMMON 31946M103   $   405       2,900      SH   DEFINED          5,15           2,900   0         -
FIRST COMMONWEALTH FINL CORP COMMON 319829107   $ 1,227     131,500      SH   DEFINED            14         109,100   0      22,400
FIRST COMMONWEALTH FINL CORP COMMON 319829107   $   146      15,697      SH   DEFINED            23          15,697   0         -
FIRST COMMONWEALTH FINL CORP COMMON 319829107   $   166      17,800      SH   DEFINED          5,15          17,800   0         -
FIRST COMMONWEALTH FINL CORP COMMON 319829107   $   144      15,400      SH   DEFINED             8          15,400   0         -
FIRST COMMONWEALTH FINL CORP COMMON 319829107   $    39       4,200      SH   DEFINED          8,20           4,200   0         -
FIRST COMMUNITY BANCSHARES   COMMON 31983A103   $   107       3,800      SH   DEFINED            14           3,800   0         -
FIRST COMMUNITY BANCSHARES   COMMON 31983A103   $    56       1,980      SH   DEFINED            23           1,980   0         -
FIRST COMMUNITY BANCSHARES   COMMON 31983A103   $    23         800      SH   DEFINED          5,15             800   0         -
FIRST DEFIANCE FINL CORP     COMMON 32006W106   $     1          71      SH   DEFINED            23              71   0         -
FIRST FINANCIAL BANCORP      COMMON 320209109   $ 2,899     315,100      SH   DEFINED            14         226,000   0      89,100
FIRST FINANCIAL BANCORP      COMMON 320209109   $ 2,372     257,812      SH   DEFINED            23         257,812   0         -
FIRST FINANCIAL BANCORP      COMMON 320209109   $   458      49,800      SH   DEFINED          5,15          49,800   0         -
FIRST FINANCIAL BANCORP      COMMON 320209109   $   174      18,900      SH   DEFINED             8          18,900   0         -
FIRST FINANCIAL BANCORP      COMMON 320209109   $    48       5,200      SH   DEFINED          8,20           5,200   0         -
FIRST FINL BANKSHARES INC    COMMON 32020R109   $ 5,228     114,129      SH   DEFINED             1         114,129   0         -
FIRST FINL BANKSHARES INC    COMMON 32020R109   $ 5,667     123,700      SH   DEFINED            14          92,900   0      30,800
FIRST FINL BANKSHARES INC    COMMON 32020R109   $ 3,026      66,048      SH   DEFINED             2          25,898   0      40,150
FIRST FINL BANKSHARES INC    COMMON 32020R109   $ 2,971      64,865      SH   DEFINED            23          64,865   0         -
FIRST FINL BANKSHARES INC    COMMON 32020R109   $   902      19,700      SH   DEFINED          5,15          19,700   0         -
FIRST FINL BANKSHARES INC    COMMON 32020R109   $   440       9,600      SH   DEFINED             8           9,600   0         -
FIRST FINL BANKSHARES INC    COMMON 32020R109   $   119       2,600      SH   DEFINED          8,20           2,600   0         -
FIRST FINANCIAL CORP/INDIANA COMMON 320218100   $   478      15,600      SH   DEFINED            14          15,600   0         -
FIRST FINANCIAL CORP/INDIANA COMMON 320218100   $   283       9,233      SH   DEFINED            23           9,233   0         -
FIRST FINANCIAL CORP/INDIANA COMMON 320218100   $   104       3,400      SH   DEFINED          5,15           3,400   0         -
FIRST FINANCIAL FUND INC CEF COMMON 320228109   $   112      11,525      SH   DEFINED            22             -     0      11,525
FIRST FINANCIAL HOLDINGS INC COMMON 320239106   $   569      33,100      SH   DEFINED            14          25,200   0       7,900
FIRST FINANCIAL HOLDINGS INC COMMON 320239106   $    49       2,825      SH   DEFINED            23           2,825   0         -
FIRST FINANCIAL HOLDINGS INC COMMON 320239106   $   108       6,300      SH   DEFINED          5,15           6,300   0         -
FIRST HORIZON NATIONAL CORP  COMMON 320517105   $   327      44,049      SH   DEFINED            23          44,049   0         -
FIRST HORIZON NATIONAL CORP  COMMON 320517105   $     7         930      SH   DEFINED            24             930   0         -
FIRST HORIZON NATIONAL CORP  COMMON 320517105   $    74      10,000      SH   DEFINED             5          10,000   0         -
FIRST INDUSTRIAL REALTY TR   COMMON 32054K103   $   939      34,200      SH   DEFINED            14          34,200   0         -
FIRST INDUSTRIAL REALTY TR   COMMON 32054K103   $   164       5,987      SH   DEFINED            23           5,987   0         -
FIRST INDUSTRIAL REALTY TR   COMMON 32054K103   $     3         109      SH   DEFINED            24             109   0         -
FIRST INDUSTRIAL REALTY TR   COMMON 32054K103   $    27       1,000      SH   DEFINED             5           1,000   0         -
FIRST MARBLEHEAD CORP        COMMON 320771108   $    22       8,570      SH   DEFINED            23           8,570   0         -
FIRST MERCHANTS CORP         COMMON 320817109   $   100       5,500      SH   DEFINED            14           5,500   0         -
FIRST MERCHANTS CORP         COMMON 320817109   $   200      11,007      SH   DEFINED            23          11,007   0         -
FIRST MERCHANTS CORP         COMMON 320817109   $    54       2,960      SH   DEFINED             5             760   0       2,200
FIRST MERCHANTS CORP         COMMON 320817109   $    20       1,100      SH   DEFINED          5,15           1,100   0         -
FIRST MERCURY FINANCIAL CORP COMMON 320841109   $    60       3,400      SH   DEFINED            14           3,400   0         -
FIRST MERCURY FINANCIAL CORP COMMON 320841109   $   260      14,748      SH   DEFINED            23          14,748   0         -
FIRST MIDWEST BANCORP INC/IL COMMON 320867104   $     6         300      SH   DEFINED            14             300   0         -
FIRST MIDWEST BANCORP INC/IL COMMON 320867104   $   158       8,462      SH   DEFINED            23           8,462   0         -
FIRST MIDWEST BANCORP INC/IL COMMON 320867104   $   134       7,170      SH   DEFINED             5           1,645   0       5,525
FIRST NATIONAL BANCSHARES    COMMON 32111B104   $     8         886      SH   DEFINED             5             886   0         -
FIRST NIAGARA FINANCIAL      COMMON 33582V108   $ 1,968     153,000      SH   DEFINED            14         122,500   0      30,500
FIRST NIAGARA FINANCIAL      COMMON 33582V108   $   247      19,180      SH   DEFINED            23          19,180   0         -
FIRST NIAGARA FINANCIAL      COMMON 33582V108   $   137      10,640      SH   DEFINED             5           2,690   0       7,950
FIRST NIAGARA FINANCIAL      COMMON 33582V108   $   363      28,200      SH   DEFINED          5,15          28,200   0         -
FIRST POTOMAC REALTY TRUST   COMMON 33610F109   $   288      18,900      SH   DEFINED            14          18,900   0         -
FIRST POTOMAC REALTY TRUST   COMMON 33610F109   $    55       3,596      SH   DEFINED            23           3,596   0         -
FIRST PLACE FINANCIAL /OHIO  COMMON 33610T109   $   167      17,800      SH   DEFINED            14          17,800   0         -
FIRST PLACE FINANCIAL /OHIO  COMMON 33610T109   $   207      22,061      SH   DEFINED            23          22,061   0         -
FIRST PLACE FINANCIAL /OHIO  COMMON 33610T109   $    36       3,800      SH   DEFINED          5,15           3,800   0         -
FIRST REGIONAL BANCORP/CAL   COMMON 33615C101     $ -            79      SH   DEFINED            23              79   0         -
FIRST SECURITY GROUP INC/TN  COMMON 336312103   $     1         147      SH   DEFINED            23             147   0         -
FIRST SOLAR INC              COMMON 336433107   $ 4,780      17,520      SH   DEFINED             1          17,520   0         -
FIRST SOLAR INC              COMMON 336433107   $ 8,899      32,620      SH   DEFINED          1,15          32,620   0         -
FIRST SOLAR INC              COMMON 336433107   $   437       1,600      SH   DEFINED         10,14           1,600   0         -
FIRST SOLAR INC              COMMON 336433107   $   423       1,552      SH   DEFINED            11           1,552   0         -
FIRST SOLAR INC              COMMON 336433107   $     5          20      SH   DEFINED            13              20   0         -
FIRST SOLAR INC              COMMON 336433107   $47,273     173,276      SH   DEFINED            14         120,466   0      43,570
FIRST SOLAR INC              COMMON 336433107   $ 1,370       5,020      SH   DEFINED         14,13             -     0       5,020
FIRST SOLAR INC              COMMON 336433107   $   308       1,130      SH   DEFINED          14,7             -     0       1,130
FIRST SOLAR INC              COMMON 336433107   $     5          20      SH   DEFINED         20,14             -     0         -
FIRST SOLAR INC              COMMON 336433107   $ 4,389      16,087      SH   DEFINED            22           3,329   0      12,758
FIRST SOLAR INC              COMMON 336433107   $51,464     188,637      SH   DEFINED            23         188,637   0         -
FIRST SOLAR INC              COMMON 336433107   $    88         322      SH   DEFINED            24             322   0         -
FIRST SOLAR INC              COMMON 336433107   $ 3,053      11,192      SH   DEFINED             5           9,985   0       1,207
FIRST SOLAR INC              COMMON 336433107   $ 3,069      11,250      SH   DEFINED          5,15          11,250   0         -
FIRST SOLAR INC              COMMON 336433107   $ 1,731       6,345      SH   DEFINED             7           6,345   0         -
FIRST SOLAR INC              COMMON 336433107   $ 2,243       8,220      SH   DEFINED          8,14           8,220   0         -
FIRST SOLAR INC              COMMON 336433107   $   742       2,720      SH   DEFINED          9,14             -     0       2,720
FIRST STATE BANCORPORATION   COMMON 336453105   $     3         600      SH   DEFINED            14             600   0         -
FIRST STATE BANCORPORATION   COMMON 336453105   $   118      21,371      SH   DEFINED            23          21,371   0         -
FIRST SOUTH BANCORP INC /VA  COMMON 33646W100   $     1          86      SH   DEFINED            23              86   0         -
1ST SOURCE CORP              COMMON 336901103   $   903      56,100      SH   DEFINED            14          42,000   0      14,100
1ST SOURCE CORP              COMMON 336901103   $   232      14,388      SH   DEFINED            23          14,388   0         -
1ST SOURCE CORP              COMMON 336901103   $   164      10,200      SH   DEFINED          5,15          10,200   0         -
FIRST TRUST VALUE LINE 100
ETF                          COMMON 33735G107   $    33       2,000      SH   DEFINED            22             -     0       2,000

FIRSTSERVICE CORP            COMMON 33761N109   $    1,376      95,600   SH   DEFINED             1         95,600    0         -
FIRSTSERVICE CORP            COMMON 33761N109   $       13         934   SH   DEFINED            23            934    0         -
FIRSTSERVICE CORP            COMMON 33761N109   $   20,065   1,394,200   SH   DEFINED             3      1,394,200    0         -
FISERV INC                   COMMON 337738108   $       18         400   SH   DEFINED            14            400    0         -
FISERV INC                   COMMON 337738108   $   14,916     328,764   SH   DEFINED            22        235,743    0      93,021
FISERV INC                   COMMON 337738108   $      386       8,497   SH   DEFINED            23          8,497    0         -
FISERV INC                   COMMON 337738108   $    2,565      56,528   SH   DEFINED            24         56,528    0         -
FISERV INC                   COMMON 337738108   $    9,348     206,045   SH   DEFINED             5        166,616    0      39,429
FISERV INC                   COMMON 337738108   $      180       3,972   SH   DEFINED             7          3,972    0         -
FISHER COMMUNICATIONS INC    COMMON 337756209   $        2          57   SH   DEFINED            23             57    0         -
FIRSTFED FINANCIAL CORP      COMMON 337907109   $      106      13,184   SH   DEFINED            23         13,184    0         -
FIRSTFED FINANCIAL CORP      COMMON 337907109   $       47       5,795   SH   DEFINED             5          1,445    0       4,350
FIRSTMERIT CORPORATION       COMMON 337915102   $        7         400   SH   DEFINED            14            400    0         -
FIRSTMERIT CORPORATION       COMMON 337915102   $       73       4,500   SH   DEFINED            22            -      0       4,500
FIRSTMERIT CORPORATION       COMMON 337915102   $    4,769     292,381   SH   DEFINED            23        292,381    0         -
FIRSTMERIT CORPORATION       COMMON 337915102   $        3         191   SH   DEFINED            24            191    0         -
FIRSTMERIT CORPORATION       COMMON 337915102   $      142       8,700   SH   DEFINED             5          2,175    0       6,525
FLAGSTAR BANCORP INC         COMMON 337930101   $      131      43,455   SH   DEFINED            23         43,455    0         -
FLAGSTAR BANCORP INC         COMMON 337930101   $        1         195   SH   DEFINED            24            195    0         -
FIRSTENERGY CORP             COMMON 337932107   $   18,771     228,000   SH   DEFINED             1        228,000    0         -
FIRSTENERGY CORP             COMMON 337932107   $       81         989   SH   DEFINED            22            -      0         989
FIRSTENERGY CORP             COMMON 337932107   $    4,632      56,257   SH   DEFINED            23         56,257    0         -
FIRSTENERGY CORP             COMMON 337932107   $       47         571   SH   DEFINED            24            571    0         -
FIRSTENERGY CORP             COMMON 337932107   $       28         345   SH   DEFINED             5            -      0         345
FIRSTENERGY CORP             COMMON 337932107   $      443       5,384   SH   DEFINED             7          5,384    0         -
FIRSTENERGY CORP             COMMON 337932107   $      631       7,667   SH   DEFINED             8          7,667    0         -
FISHER SCI INTL (FSH) CVT
                        3.25 CONVERT338032AX3   $   22,688  15,000,000   SH   DEFINED            14            -      0   12,700,000
FIVE STAR QUALITY CARE INC   COMMON 33832D106        $ -            17   SH   DEFINED            22            -      0          17
FIVE STAR QUALITY CARE INC   COMMON 33832D106   $      158      33,498   SH   DEFINED            23         33,49     0         -
FLAH & CRUM PREFERRED INCOME COMMON 338480106   $    4,766     406,300   SH   DEFINED            22            -      0     406,300
FLAMEL TECHNOLOGIES ADR      COMMON 338488109   $    5,022     501,748   SH   DEFINED            23        501,748    0         -
FLAH & CRUM PFD INCM OP INC
 CF                          COMMON 33848E106   $    5,078     512,900   SH   DEFINED            22            -      0     512,900
FLANDERS CORPORATION         COMMON 338494107   $        1         170   SH   DEFINED            23            170    0         -
FLEETWOOD ENTERPRISES        COMMON 339099103   $       98      37,530   SH   DEFINED            23         37,530    0         -
FLEXSTEEL INDS               COMMON 339382103   $       33       2,909   SH   DEFINED            23          2,909    0         -
FLUOR CORP                   COMMON 343412102   $  148,988     800,666   SH   DEFINED             1        800,666    0         -
FLUOR CORP                   COMMON 343412102   $        9          50   SH   DEFINED            13             50    0         -
FLUOR CORP                   COMMON 343412102   $    1,172       6,300   SH   DEFINED            14          1,700    0       4,300
FLUOR CORP                   COMMON 343412102   $      316       1,700   SH   DEFINED          14,7            -      0       1,700
FLUOR CORP                   COMMON 343412102   $      421       2,265   SH   DEFINED            19          2,265    0         -
FLUOR CORP                   COMMON 343412102   $   25,177     135,304   SH   DEFINED             2        135,304    0         -
FLUOR CORP                   COMMON 343412102   $        9          50   SH   DEFINED         20,14            -      0         -
FLUOR CORP                   COMMON 343412102   $   31,006     166,628   SH   DEFINED            22         24,719    0     141,909
FLUOR CORP                   COMMON 343412102   $   15,837      85,109   SH   DEFINED            23         85,109    0         -
FLUOR CORP                   COMMON 343412102   $       14          75   SH   DEFINED            24             75    0         -
FLUOR CORP                   COMMON 343412102   $      763       4,101   SH   DEFINED             4          4,101    0         -
FLUOR CORP                   COMMON 343412102   $   10,495      56,402   SH   DEFINED             5         49,366    0       7,036
FLUOR CORP                   COMMON 343412102   $      380       2,043   SH   DEFINED             7          2,043    0         -
FLUOR CORP                   COMMON 343412102   $    1,065       5,721   SH   DEFINED             8          5,721    0         -
FLUOR CORP                   COMMON 343412102   $      275       1,480   SH   DEFINED           8,2          1,480    0         -
FLOW INTL CORP               COMMON 343468104   $      126      16,138   SH   DEFINED            23         16,138    0         -
FLOWERS FOODS INC            COMMON 343498101   $    7,682     271,074   SH   DEFINED             1        271,074    0         -
FLOWERS FOODS INC            COMMON 343498101   $      145       5,100   SH   DEFINED            14          5,100    0         -
FLOWERS FOODS INC            COMMON 343498101   $    4,481     158,107   SH   DEFINED             2         61,907    0      96,200
FLOWERS FOODS INC            COMMON 343498101   $    3,552     125,349   SH   DEFINED            23        125,349    0         -
FLOWSERVE CORPORATION        COMMON 34354P105   $   71,096     520,091   SH   DEFINED             1        520,091    0         -
FLOWSERVE CORPORATION        COMMON 34354P105   $    4,541      33,218   SH   DEFINED             2          3,560    0      29,658
FLOWSERVE CORPORATION        COMMON 34354P105   $       39         288   SH   DEFINED            22            -      0         288
FLOWSERVE CORPORATION        COMMON 34354P105   $   84,244     616,266   SH   DEFINED            23        616,266    0         -
FLOWSERVE CORPORATION        COMMON 34354P105   $        5          33   SH   DEFINED            24             33    0         -
FLOWSERVE CORPORATION        COMMON 34354P105   $      129         945   SH   DEFINED             5            280    0         665
FLUSHING FINANCIAL CORP      COMMON 343873105   $      309      16,328   SH   DEFINED            23         16,328    0         -
FLUSHING FINANCIAL CORP      COMMON 343873105   $      193      10,195   SH   DEFINED             5          2,570    0       7,625
FOCUS MEDIA HOLDING-ADR      COMMON 34415V109   $    6,300     227,268   SH   DEFINED             1        227,268    0         -
FOCUS MEDIA HOLDING-ADR      COMMON 34415V109   $      768      27,696   SH   DEFINED          20,2         27,696    0         -
FOCUS MEDIA HOLDING-ADR      COMMON 34415V109   $    8,316     300,000   SH   DEFINED            22        278,600    0      21,400
FOCUS MEDIA HOLDING-ADR      COMMON 34415V109   $    8,405     303,205   SH   DEFINED            23        303,205    0         -
FOCUS MEDIA HOLDING-ADR      COMMON 34415V109   $      836      30,149   SH   DEFINED            24         30,149    0         -
FOCUS MEDIA HOLDING-ADR      COMMON 34415V109   $    1,570      56,650   SH   DEFINED             5         27,450    0      29,200
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $    1,252      27,500   SH   DEFINED          1,12         27,500    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $      933      20,500   SH   DEFINED            11         20,500    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $    3,613      79,400   SH   DEFINED            14         79,400    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $        3          55   SH   DEFINED             4             55    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $    9,580     210,500   SH   DEFINED          5,12        210,500    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $   25,599     562,500   SH   DEFINED             8        562,500    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $      978      21,500   SH   DEFINED          8,14         21,500    0         -
FOMENTO ECONOMICO MEX SAB
ADR                          COMMON 344419106   $    2,062      45,300   SH   DEFINED          8,20         45,300    0         -
FOOT LOCKER INC              COMMON 344849104   $    2,324     186,700   SH   DEFINED            14         83,500    0     102,600
FOOT LOCKER INC              COMMON 344849104   $      331      26,600   SH   DEFINED            23         26,600    0         -
FOOT LOCKER INC              COMMON 344849104   $        6         520   SH   DEFINED            24            520    0         -
FOOT LOCKER INC              COMMON 344849104   $        3         212   SH   DEFINED             5            -      0         212
FORBES MEDI-TECH INC         COMMON 345155105        $ -           461   SH   DEFINED             5            461    0         -
FORCE PROTECTION INC         COMMON 345203202   $        5       1,530   SH   DEFINED            22            -      0       1,530
FORD MOTOR COMPANY           COMMON 345370100        $ -           800   SH   DEFINED            22            -      0         800
FORD MOTOR COMPANY           COMMON 345370860   $       16       3,300   SH   DEFINED            13          3,300    0         -
FORD MOTOR COMPANY           COMMON 345370860   $   16,631   3,457,521   SH   DEFINED            14      1,463,321    0   1,949,600
FORD MOTOR COMPANY           COMMON 345370860   $    1,007     209,400   SH   DEFINED          14,7            -      0     209,400
FORD MOTOR COMPANY           COMMON 345370860   $       36       7,400   SH   DEFINED         20,14            -      0         -
FORD MOTOR COMPANY           COMMON 345370860   $       64      13,208   SH   DEFINED            22            -      0      13,208
FORD MOTOR COMPANY           COMMON 345370860   $    5,176   1,076,069   SH   DEFINED            23      1,076,069    0         -
FORD MOTOR COMPANY           COMMON 345370860   $      113      23,490   SH   DEFINED            24         23,490    0         -
FORD MOTOR COMPANY           COMMON 345370860   $        6       1,187   SH   DEFINED             4          1,187    0         -
FORD MOTOR COMPANY           COMMON 345370860   $       15       3,156   SH   DEFINED             5            150    0       3,006
FORD MOTOR COMPANY           COMMON 345370860   $      697     144,911   SH   DEFINED             7        144,911    0         -
FORD MOTOR COMPANY           COMMON 345370860   $      678     140,984   SH   DEFINED             8        140,984    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $      758       7,885   SH   DEFINED          10,7          7,885    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $      754       7,843   SH   DEFINED            13          7,843    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $    2,313      24,071   SH   DEFINED            19         24,071    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $    2,326      24,202   SH   DEFINED            21         24,202    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $      332       3,452   SH   DEFINED            23          3,452    0         -
FORDING INC                  COMMON 345425102   $      60         750    SH   DEFINED               5          750    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $   5,614      58,408    SH   DEFINED               7       58,408    0         -
FORDING CANADA COAL TRUST    COMMON 345425102   $  43,975     457,547    SH   DEFINED               8      447,805  9742         -
FORDING CANADA COAL TRUST    COMMON 345425102   $   4,621      48,081    SH   DEFINED               9       48,081    0         -
FOREST CITY ENTERPRISES
CL A                         COMMON 345550107   $     310       9,632    SH   DEFINED              23        9,632    0         -
FOREST CITY ENTERPRISES
CL A                         COMMON 345550107   $       4         110    SH   DEFINED               5          -      0         110
FOREST CITY ENTERPRISES
CL A                         COMMON 345550107   $     134       4,158    SH   DEFINED               7        4,158    0         -
FOREST CITY ENTERPRISES
CL B                         COMMON 345550305   $     224       6,960    SH   DEFINED               5          -      0       6,960
FOREST LABORATORIES INC      COMMON 345838106   $  14,226     409,509    SH   DEFINED               1      409,509    0         -
FOREST LABORATORIES INC      COMMON 345838106   $   1,115      32,100    SH   DEFINED            1,15       32,100    0         -
FOREST LABORATORIES INC      COMMON 345838106   $      14         400    SH   DEFINED              13          400    0         -
FOREST LABORATORIES INC      COMMON 345838106   $   3,173      91,350    SH   DEFINED              14       40,850    0      47,300
FOREST LABORATORIES INC      COMMON 345838106   $     288       8,300    SH   DEFINED            14,7          -      0       8,300
FOREST LABORATORIES INC      COMMON 345838106   $   1,354      38,975    SH   DEFINED               2       38,975    0         -
FOREST LABORATORIES INC      COMMON 345838106   $      14         400    SH   DEFINED           20,14          -      0         -
FOREST LABORATORIES INC      COMMON 345838106   $   1,895      54,553    SH   DEFINED            20,2          -      0      54,553
FOREST LABORATORIES INC      COMMON 345838106   $     186       5,340    SH   DEFINED              22        1,500    0       3,840
FOREST LABORATORIES INC      COMMON 345838106   $  18,305     526,914    SH   DEFINED              23      526,914    0         -
FOREST LABORATORIES INC      COMMON 345838106   $     911      26,227    SH   DEFINED              24       26,227    0         -
FOREST LABORATORIES INC      COMMON 345838106   $       7         210    SH   DEFINED               5          -      0         210
FOREST LABORATORIES INC      COMMON 345838106   $     656      18,896    SH   DEFINED               8       18,896    0         -
FOREST OIL CORP              COMMON 346091705   $     409       5,493    SH   DEFINED              23        5,493    0         -
FOREST OIL CORP              COMMON 346091705   $       6          80    SH   DEFINED              24           80    0         -
FOREST OIL CORP              COMMON 346091705   $     248       3,329    SH   DEFINED               5          830    0       2,499
FORESTAR REAL ESTATE GROUP   COMMON 346233109   $       1          66    SH   DEFINED               5          -      0          66
FORMFACTOR INC               COMMON 346375108   $  13,230     717,846    SH   DEFINED               1      717,846    0         -
FORMFACTOR INC               COMMON 346375108   $     245      13,300    SH   DEFINED              17       13,300    0         -
FORMFACTOR INC               COMMON 346375108   $   4,245     230,347    SH   DEFINED               2      230,347    0         -
FORMFACTOR INC               COMMON 346375108   $   1,127      61,177    SH   DEFINED            20,2       61,177    0         -
FORMFACTOR INC               COMMON 346375108   $   3,295     178,788    SH   DEFINED              22          -      0     178,788
FORMFACTOR INC               COMMON 346375108   $      98       5,328    SH   DEFINED              23        5,328    0         -
FORRESTER RESEARCH INC       COMMON 346563109   $   1,087      35,200    SH   DEFINED              14       18,400    0      16,800
FORRESTER RESEARCH INC       COMMON 346563109   $     906      29,334    SH   DEFINED              23       29,334    0         -
FORRESTER RESEARCH INC       COMMON 346563109   $     151       4,900    SH   DEFINED            5,15        4,900    0         -
FORTRESS INVESTMENT GRP-CL A COMMON 34958B106   $   8,658     702,728    SH   DEFINED              23      702,728    0         -
FORTRESS INVESTMENT GRP-CL A COMMON 34958B106   $     118       9,616    SH   DEFINED              24        9,616    0         -
FORTUNE BRANDS INC           COMMON 349631101   $      12         200    SH   DEFINED              14          200    0         -
FORTUNE BRANDS INC           COMMON 349631101   $  10,740     172,095    SH   DEFINED              22      108,505    0      63,590
FORTUNE BRANDS INC           COMMON 349631101   $   3,490      55,922    SH   DEFINED              23       55,922    0         -
FORTUNE BRANDS INC           COMMON 349631101   $      15         242    SH   DEFINED              24          242    0         -
FORTUNE BRANDS INC           COMMON 349631101   $   6,823     109,332    SH   DEFINED               5       93,606    0      15,726
FORTUNE BRANDS INC           COMMON 349631101   $     190       3,041    SH   DEFINED               7        3,041    0         -
FORWARD AIR CORP             COMMON 349853101   $  12,658     365,851    SH   DEFINED               1      365,851    0         -
FORWARD AIR CORP             COMMON 349853101   $  10,738     310,346    SH   DEFINED               2      310,346    0         -
FORWARD AIR CORP             COMMON 349853101   $     314       9,061    SH   DEFINED              23        9,061    0         -
FOSSIL INC                   COMMON 349882100   $   4,831     166,168    SH   DEFINED               1      166,168    0         -
FOSSIL INC                   COMMON 349882100   $   2,706      93,080    SH   DEFINED               2       36,498    0      56,582
FOSSIL INC                   COMMON 349882100   $      77       2,651    SH   DEFINED              23        2,651    0         -
FOSTER (LB) CO -CL A         COMMON 350060109   $     339      10,218    SH   DEFINED              23       10,218    0         -
FOUNDATION COAL HOLDINGS INC COMMON 35039W100   $   1,365      15,409    SH   DEFINED              23       15,409    0         -
FOUNDATION COAL HOLDINGS INC COMMON 35039W100   $       5          55    SH   DEFINED              24           55    0         -
FOUNDATION COAL HOLDINGS INC COMMON 35039W100   $     258       2,918    SH   DEFINED               5          695    0       2,223
FOUNDRY NETWORKS INC         COMMON 35063R100   $  26,455   2,238,130    SH   DEFINED               1    2,238,130    0         -
FOUNDRY NETWORKS INC         COMMON 35063R100   $     473      40,000    SH   DEFINED              17       40,000    0         -
FOUNDRY NETWORKS INC         COMMON 35063R100   $   2,028     171,588    SH   DEFINED            20,2      171,588    0         -
FOUNDRY NETWORKS INC         COMMON 35063R100   $     145      12,278    SH   DEFINED              23       12,278    0         -
4KIDS ENTERTAINMENT INC      COMMON 350865101   $      22       2,907    SH   DEFINED              23        2,907    0         -
FOX CHASE BANCORP INC        COMMON 35137P106   $       1          63    SH   DEFINED              23           63    0         -
FRANCE TELECOM SA ADR        COMMON 35177Q105   $      46       1,490    SH   DEFINED              22          -      0       1,490
FRANCE TELECOM SA ADR        COMMON 35177Q105   $       6         204    SH   DEFINED               4          204    0         -
FRANCE TELECOM SA ADR        COMMON 35177Q105   $     113       3,700    SH   DEFINED               5          -      0       3,700
FRANKLIN BANK CORP-HOUSTON T COMMON 352451108   $       9      14,474    SH   DEFINED              23       14,474    0         -
FRANKLIN ELECTRIC CO INC     COMMON 353514102   $  65,416   1,686,841    SH   DEFINED              23    1,686,841    0         -
FRANKLIN RESOURCES INC       COMMON 354613101   $      82         900    SH   DEFINED           10,14          900    0         -
FRANKLIN RESOURCES INC       COMMON 354613101   $   4,349      47,450    SH   DEFINED              14       35,150    0      10,600
FRANKLIN RESOURCES INC       COMMON 354613101   $     669       7,300    SH   DEFINED            14,7          -      0       7,300
FRANKLIN RESOURCES INC       COMMON 354613101   $     128       1,392    SH   DEFINED              22          -      0       1,392
FRANKLIN RESOURCES INC       COMMON 354613101   $   5,436      59,316    SH   DEFINED              23       59,316    0         -
FRANKLIN RESOURCES INC       COMMON 354613101   $      13         144    SH   DEFINED              24          144    0         -
FRANKLIN RESOURCES INC       COMMON 354613101   $      89         975    SH   DEFINED               5           72    0         903
FRANKLIN RESOURCES INC       COMMON 354613101   $     272       2,963    SH   DEFINED               7        2,963    0         -
FRANKLIN RESOURCES INC       COMMON 354613101   $  18,156     198,102    SH   DEFINED               8      198,102    0         -
FRANKLIN RESOURCES INC       COMMON 354613101   $   1,476      16,100    SH   DEFINED            8,14       16,100    0         -
FRANKLIN STREET PROPERTIES
C                            COMMON 35471R106   $     930      73,568    SH   DEFINED              22       73,568    0         -
FRANKLIN STREET PROPERTIES
C                            COMMON 35471R106   $     201      15,906    SH   DEFINED              23       15,906    0         -
FRANKLIN STREET PROPERTIES
C                            COMMON 35471R106   $     213      16,855    SH   DEFINED               5          -      0      16,855
FRED'S INC                   COMMON 356108100   $     406      36,114    SH   DEFINED              23       36,114    0         -
FREEPORT-MCMORAN C & G
CVP(FCX                      CONVERT35671D782   $   8,163      49,660    SH   DEFINED              22        2,850    0      46,810
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $  45,214     385,821    SH   DEFINED               1      385,821    0         -
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $   4,389      37,455    SH   DEFINED              14       16,055    0      19,700
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $   1,137       9,700    SH   DEFINED            14,7          -      0       9,700
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $   9,076      77,450    SH   DEFINED               2       77,450    0         -
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $   1,619      13,817    SH   DEFINED              22        2,334    0      11,483
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $   6,891      58,805    SH   DEFINED              23       58,805    0         -
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $      45         388    SH   DEFINED              24          388    0         -
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $     464       3,960    SH   DEFINED               4        3,960    0         -
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $     814       6,945    SH   DEFINED               5        3,814    0       3,131
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $     765       6,526    SH   DEFINED               7        6,526    0         -
FREEPORT-MCMORAN COPPER      COMMON 35671D857   $  14,483     123,587    SH   DEFINED               8      123,587    0         -
FREESCALE SEMICONDUCTOR-B    COMMON 35687M206       $ -            66    SH   DEFINED              22          -      0          66
FREIGHTCAR AMERICA INC       COMMON 357023100   $     218       6,131    SH   DEFINED              23        6,131    0         -
FRESENIUS MEDICAL AG CARE
& CO                         COMMON 358029106   $     551      10,035    SH   DEFINED              22          107    0       9,928
FRESENIUS MEDICAL AG CARE
& CO                         COMMON 358029106   $   2,089      38,057    SH   DEFINED              23       38,057    0         -
FRESENIUS MEDICAL AG CARE
& CO                         COMMON 358029106   $       6         110    SH   DEFINED               4          110    0         -
FRESENIUS MEDICAL AG CARE
& CO                         COMMON 358029106   $     143       2,600    SH   DEFINED               5          -      0       2,600
FRIEDMAN BILLINGS RAMSEY
CL A                         COMMON 358434108   $     144      96,053    SH   DEFINED              23       96,053    0         -
FRIEDMAN BILLINGS RAMSEY
CL A                         COMMON 358434108   $       3       1,698    SH   DEFINED              24        1,698    0         -
FRONTEER DEVELOPMENT GROUP   COMMON 35903Q106   $      35       7,180    SH   DEFINED              22          -      0       7,180
FRONTIER AIRLINES HOLDINGS   COMMON 359059102   $       8      25,417    SH   DEFINED              23       25,417    0         -
FRONTIER FINANCIAL CORP      COMMON 35907K105   $     833      97,800    SH   DEFINED              14       74,600    0      23,200
FRONTIER FINANCIAL CORP      COMMON 35907K105   $      54       6,324    SH   DEFINED              23        6,324    0         -
FRONTIER FINANCIAL CORP      COMMON 35907K105   $     150      17,600    SH   DEFINED            5,15       17,600    0         -
FRONTIER OIL CORP            COMMON 35914P105   $      14         600    SH   DEFINED              22          600    0         -
FRONTIER OIL CORP            COMMON 35914P105   $     108       4,520    SH   DEFINED              23        4,520    0         -
FRONTIER OIL CORP            COMMON 35914P105   $       2          66    SH   DEFINED              24           66    0         -
FRONTIER OIL CORP            COMMON 35914P105   $       3         141    SH   DEFINED               5          -      0         141
FROZEN FOOD EXPRESS INDS     COMMON 359360104   $     220      32,551    SH   DEFINED              23       32,551    0         -
FUEL TECH INC                COMMON 359523107   $   9,692     550,072    SH   DEFINED               1      550,072    0         -
FUEL TECH INC                COMMON 359523107   $   7,579     430,112    SH   DEFINED               2      430,112    0         -
FUEL TECH INC                COMMON 359523107   $      18       1,000    SH   DEFINED              22          -      0       1,000
FUEL TECH INC                COMMON 359523107   $   2,880     163,432    SH   DEFINED              23      163,432    0         -
FUEL TECH INC                COMMON 359523107   $      27       1,525    SH   DEFINED               5          -      0       1,525
FUELCELL ENERGY INC          COMMON 35952H106   $      22       3,150    SH   DEFINED              22          -      0       3,150
FUELCELL ENERGY INC          COMMON 35952H106   $  39,041   5,498,759    SH   DEFINED              23    5,498,759    0         -
FUELCELL ENERGY INC          COMMON 35952H106   $      30       4,157    SH   DEFINED              24        4,157    0         -
FUEL SYSTEMS SOLUTIONS INC   COMMON 35952W103   $  51,491   1,337,424    SH   DEFINED              23    1,337,424    0         -
FUJI FILM HOLDINGS CORP-ADR  COMMON 35958N107   $  78,310   2,285,085    SH   DEFINED              11    2,273,729    0      11,356
FUJI FILM HOLDINGS CORP-ADR  COMMON 35958N107   $   1,336      38,989    SH   DEFINED              14       38,989    0         -
FUJI FILM HOLDINGS CORP-ADR  COMMON 35958N107   $     334       9,750    SH   DEFINED           19,14        9,750    0         -
FUJI FILM HOLDINGS CORP-ADR  COMMON 35958N107   $      17         500    SH   DEFINED              22          -      0         500
FUJI FILM HOLDINGS CORP-ADR  COMMON 35958N107   $       3          91    SH   DEFINED               4           91    0         -
H.B. FULLER CO               COMMON 359694106   $   6,838     304,722    SH   DEFINED               1      304,722    0         -
H.B. FULLER CO               COMMON 359694106   $     128       5,700    SH   DEFINED              14        5,700    0         -
H.B. FULLER CO               COMMON 359694106   $   3,956     176,292    SH   DEFINED               2       69,126    0     107,166
H.B. FULLER CO               COMMON 359694106   $     755      33,647    SH   DEFINED              23       33,647    0         -
FULTON FIN CORP              COMMON 360271100   $     110      10,924    SH   DEFINED              22          -      0      10,924
FULTON FIN CORP              COMMON 360271100   $   2,589     257,599    SH   DEFINED              23      257,599    0         -
FULTON FIN CORP              COMMON 360271100   $       3         326    SH   DEFINED              24          326    0         -
FURNITURE BRANDS INTL INC    COMMON 360921100   $     647      48,429    SH   DEFINED              23       48,429    0         -
FURNITURE BRANDS INTL INC    COMMON 360921100   $       3         215    SH   DEFINED              24          215    0         -
FUQI INTERNATIONAL INC       COMMON 36102A207   $     237      27,100    SH   DEFINED              14       27,100    0         -
FUQI INTERNATIONAL INC       COMMON 36102A207   $     432      49,259    SH   DEFINED              23       49,259    0         -
FUQI INTERNATIONAL INC       COMMON 36102A207   $      52       5,900    SH   DEFINED            5,15        5,900    0         -
FURMANITE CORP               COMMON 361086101   $      80       9,990    SH   DEFINED               5           32    0       9,958
FUSHI COPPERWELD INC.        COMMON 36113E107   $   1,866      78,630    SH   DEFINED              23       78,630    0         -
G & K SERVICES INC CL A      COMMON 361268105   $      88       2,873    SH   DEFINED              23        2,873    0         -
GAMCO INVESTORS INC-A        COMMON 361438104   $   5,873     118,360    SH   DEFINED               1      118,360    0         -
GAMCO INVESTORS INC-A        COMMON 361438104   $   3,414      68,810    SH   DEFINED               2       26,818    0      41,992
GAMCO INVESTORS INC-A        COMMON 361438104   $     259       5,223    SH   DEFINED              23        5,223    0         -
GATX CORP                    COMMON 361448103   $     269       6,066    SH   DEFINED              23        6,066    0         -
GATX CORP                    COMMON 361448103   $       4          86    SH   DEFINED              24           86    0         -
THE GEO GROUP INC            COMMON 36159R103   $      71       3,137    SH   DEFINED              23        3,137    0         -
GFI GROUP INC                COMMON 361652209   $   8,412     933,610    SH   DEFINED              14      502,910    0     426,300
GFI GROUP INC                COMMON 361652209   $   1,150     127,629    SH   DEFINED              23      127,629    0         -
GFI GROUP INC                COMMON 361652209   $     560      62,100    SH   DEFINED            5,15       62,100    0         -
GFI GROUP INC                COMMON 361652209   $     310      34,400    SH   DEFINED               8       34,400    0         -
GFI GROUP INC                COMMON 361652209   $      86       9,500    SH   DEFINED            8,20        9,500    0         -
GP STRATEGIES CORP           COMMON 36225V104   $     237      23,561    SH   DEFINED              23       23,561    0         -
GSI GROUP INC                COMMON 36229U102   $     226      29,153    SH   DEFINED              23       29,153    0         -
G-III APPAREL GROUP LTD      COMMON 36237H101   $     157      12,761    SH   DEFINED              23       12,761    0         -
GSI COMMERCE INC             COMMON 36238G102   $      45       3,305    SH   DEFINED              23        3,305    0         -
GSI COMMERCE INC             COMMON 36238G102   $       1         110    SH   DEFINED               5          -      0         110
GTSI CORP                    COMMON 36238K103   $      47       6,128    SH   DEFINED              23        6,128    0         -
GABELLI EQUITY TRUST CEF     COMMON 362397101   $       1         102    SH   DEFINED              22          -      0         102
GABELLI DIVIDEND & INCOME
TR C                         COMMON 36242H104   $      25       1,275    SH   DEFINED              22          275    0       1,000
GAIAM INC                    COMMON 36268Q103   $     307      22,754    SH   DEFINED              23       22,754    0         -
GAIAM INC                    COMMON 36268Q103   $      65       4,825    SH   DEFINED               5          -      0       4,825
GALLAGHER (ARTHUR J.) & CO   COMMON 363576109   $   4,432     183,900    SH   DEFINED             1,3      183,900    0         -
GALLAGHER (ARTHUR J.) & CO   COMMON 363576109   $       5         200    SH   DEFINED              14          200    0         -
GALLAGHER (ARTHUR J.) & CO   COMMON 363576109   $   3,581     148,587    SH   DEFINED              23      148,587    0         -
GALLAGHER (ARTHUR J.) & CO   COMMON 363576109   $       3         145    SH   DEFINED              24          145    0         -
GALLAGHER (ARTHUR J.) & CO   COMMON 363576109   $      99       4,100    SH   DEFINED               5          -      0       4,100
GAMESTOP CORP-CLASS A        COMMON 36467W109   $  14,881     368,351    SH   DEFINED               1      368,351    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $   4,585     113,500    SH   DEFINED            1,15      113,500    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     493      12,200    SH   DEFINED           10,14       12,200    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $      60       1,485    SH   DEFINED              11        1,485    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $       4         100    SH   DEFINED              13          100    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $  25,319     626,696    SH   DEFINED              14      366,696    0     241,400
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     444      11,000    SH   DEFINED           14,13          -      0      11,000
GAMESTOP CORP-CLASS A        COMMON 36467W109   $   1,184      29,300    SH   DEFINED            14,7          -      0      29,300
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     862      21,338    SH   DEFINED              19       21,338    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     952      23,568    SH   DEFINED               2        2,717    0      20,851
GAMESTOP CORP-CLASS A        COMMON 36467W109   $       4         100    SH   DEFINED           20,14          -      0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $      70       1,738    SH   DEFINED              22          -      0       1,738
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     200       4,957    SH   DEFINED              23        4,957    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $       4          93    SH   DEFINED              24           93    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $      21         518    SH   DEFINED               5          518    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     998      24,700    SH   DEFINED            5,15       24,700    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     526      13,026    SH   DEFINED               7       13,026    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     781      19,341    SH   DEFINED               8       19,341    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $   2,998      74,200    SH   DEFINED            8,14       74,200    0         -
GAMESTOP CORP-CLASS A        COMMON 36467W109   $     242       6,000    SH   DEFINED            9,14          -      0       6,000
GANDER MOUNTAIN CO           COMMON 36471P108   $      12       3,336    SH   DEFINED              23        3,336    0         -
GANNETT CO                   COMMON 364730101   $   6,967     321,516    SH   DEFINED               1      321,516    0         -
GANNETT CO                   COMMON 364730101   $  12,006     554,048    SH   DEFINED              11      151,648    0     402,400
GANNETT CO                   COMMON 364730101   $      26       1,200    SH   DEFINED              13        1,200    0         -
GANNETT CO                   COMMON 364730101   $     149       6,868    SH   DEFINED            13,2          -      0       6,868
GANNETT CO                   COMMON 364730101   $   3,319     153,147    SH   DEFINED              14      107,747    0      44,000
GANNETT CO                   COMMON 364730101   $     191       8,800    SH   DEFINED            14,7          -      0       8,800
GANNETT CO                   COMMON 364730101   $      11         495    SH   DEFINED           18,11          495    0         -
GANNETT CO                   COMMON 364730101   $     332      15,300    SH   DEFINED           18,14          -      0      15,300
GANNETT CO                   COMMON 364730101   $   1,069      49,350    SH   DEFINED           19,14       28,200    0      21,150
GANNETT CO                   COMMON 364730101   $      26       1,200    SH   DEFINED           20,14          -      0         -
GANNETT CO                   COMMON 364730101   $     274      12,624    SH   DEFINED              22        3,424    0       9,200
GANNETT CO                   COMMON 364730101   $   1,511      69,716    SH   DEFINED              23       69,716    0         -
GANNETT CO                   COMMON 364730101   $      18         828    SH   DEFINED              24          828    0         -
GANNETT CO                   COMMON 364730101   $  14,974     691,000    SH   DEFINED               3      691,000    0         -
GANNETT CO                   COMMON 364730101   $       6         270    SH   DEFINED               4          270    0         -
GANNETT CO                   COMMON 364730101   $     290      13,386    SH   DEFINED               5        8,562    0       4,824
GANNETT CO                   COMMON 364730101   $     289      13,358    SH   DEFINED               7       13,358    0         -
GANNETT CO                   COMMON 364730101   $   1,046      48,272    SH   DEFINED            8,14       -         0      48,272
GAP INC                      COMMON 364760108   $  65,874   3,951,676    SH   DEFINED               1    3,951,676    0         -
GAP INC                      COMMON 364760108   $   8,572     514,200    SH   DEFINED            1,15      514,200    0         -
GAP INC                      COMMON 364760108   $  10,030     601,671    SH   DEFINED             1,9      601,671    0         -
GAP INC                      COMMON 364760108   $   1,932     115,900    SH   DEFINED           10,14      115,900    0         -
GAP INC                      COMMON 364760108   $     894      53,646    SH   DEFINED            10,7       53,646    0         -
GAP INC                      COMMON 364760108   $     294      17,639    SH   DEFINED              11       17,639    0         -
GAP INC                      COMMON 364760108   $     883      52,943    SH   DEFINED              13       52,943    0         -
GAP INC                      COMMON 364760108   $ 145,283   8,715,244    SH   DEFINED              14    5,440,744    0   3,025,800
GAP INC                      COMMON 364760108   $   2,577     154,600    SH   DEFINED           14,13          -      0     154,600
GAP INC                      COMMON 364760108   $   5,763     345,700    SH   DEFINED            14,7          -      0     345,700
GAP INC                      COMMON 364760108   $   1,905     114,257    SH   DEFINED              19      114,257    0         -
GAP INC                      COMMON 364760108   $     385      23,100    SH   DEFINED           20,14       -         0         -
GAP INC                      COMMON 364760108   $   5,855     351,256    SH   DEFINED              21      351,256    0         -
GAP INC                      COMMON 364760108   $     162       9,712    SH   DEFINED              22          -      0       9,712
GAP INC                      COMMON 364760108   $  16,198     971,697    SH   DEFINED              23      971,697    0         -
GAP INC                      COMMON 364760108   $     813      48,751    SH   DEFINED              24       48,751    0         -
GAP INC                      COMMON 364760108   $   3,797     227,774    SH   DEFINED               4      227,774    0         -
GAP INC                      COMMON 364760108   $      42       2,549    SH   DEFINED               5        2,060    0         489
GAP INC                      COMMON 364760108   $   5,813     348,700    SH   DEFINED            5,15      348,700    0         -
GAP INC                      COMMON 364760108   $  10,121     607,143    SH   DEFINED               7      607,143    0         -
GAP INC                      COMMON 364760108   $  60,942   3,655,808    SH   DEFINED               8    3,655,808    0         -
GAP INC                      COMMON 364760108   $  11,599     695,800    SH   DEFINED            8,14      695,800    0         -
GAP INC                      COMMON 364760108   $   5,829     349,642    SH   DEFINED               9      349,642    0         -
GAP INC                      COMMON 364760108   $   1,402      84,100    SH   DEFINED            9,14          -      0      84,100
GAMMON GOLD INC              COMMON 364915108   $   2,738     255,100    SH   DEFINED               1      255,100    0         -
GARDNER DENVER INC           COMMON 365558105   $   6,316     111,200    SH   DEFINED              14       73,100    0      38,100
GARDNER DENVER INC           COMMON 365558105   $   4,895      86,188    SH   DEFINED              23       86,188    0         -
GARDNER DENVER INC           COMMON 365558105   $     230       4,052    SH   DEFINED              24        4,052    0         -
GARDNER DENVER INC           COMMON 365558105   $       2          32    SH   DEFINED               5           32    0         -
GARDNER DENVER INC           COMMON 365558105   $     880      15,500    SH   DEFINED            5,15       15,500    0         -
GARDNER DENVER INC           COMMON 365558105   $     545       9,600    SH   DEFINED               8        9,600    0         -
GARDNER DENVER INC           COMMON 365558105   $     148       2,600    SH   DEFINED            8,20        2,600    0         -
GARTNER GROUP INC            COMMON 366651107   $     698      33,697    SH   DEFINED              23       33,697    0         -
GASCO ENERGY INC             COMMON 367220100   $       1         300    SH   DEFINED              22          300    0         -
GATEHOUSE MEDIA INC          COMMON 367348109   $      19       7,781    SH   DEFINED              23        7,781    0         -
GAYLORD ENTERTAINMENT CO     COMMON 367905106   $     120       5,007    SH   DEFINED              23        5,007    0         -
GEHL COMPANY                 COMMON 368483103   $     248      16,783    SH   DEFINED              23       16,783    0         -
GEN PROBE INC                COMMON 36866T103   $  10,283     216,437    SH   DEFINED               1      216,437    0         -
GEN PROBE INC                COMMON 36866T103   $   8,379     176,353    SH   DEFINED               2      176,353    0         -
GEN PROBE INC                COMMON 36866T103   $      29         600    SH   DEFINED              22          -      0         600
GEN PROBE INC                COMMON 36866T103   $   3,628      76,369    SH   DEFINED              23       76,369    0         -
GEMSTAR TV GUIDE
INTERNATIONAL                COMMON 36866W106       $ -            13    SH   DEFINED              22          -      0          13
GENCORP INC                  COMMON 368682100   $     486      67,900    SH   DEFINED              23       67,900    0         -
GENENTECH INC                COMMON 368710406   $  70,250     925,565    SH   DEFINED               1      925,565    0         -
GENENTECH INC                COMMON 368710406   $     220       2,900    SH   DEFINED              17        2,900    0         -
GENENTECH INC                COMMON 368710406   $   5,104      67,251    SH   DEFINED               2       67,251    0         -
GENENTECH INC                COMMON 368710406   $   2,330      30,697    SH   DEFINED            20,2          -      0      30,697
GENENTECH INC                COMMON 368710406   $   3,936      51,855    SH   DEFINED              22        4,960    0      46,895
GENENTECH INC                COMMON 368710406   $  45,445     598,752    SH   DEFINED              23      598,752    0         -
GENENTECH INC                COMMON 368710406   $      11         141    SH   DEFINED              24          141    0         -
GENENTECH INC                COMMON 368710406   $   1,966      25,900    SH   DEFINED               3       25,900    0         -
GENENTECH INC                COMMON 368710406   $   4,197      55,297    SH   DEFINED               5        6,941    0      48,356
GENENTECH INC                COMMON 368710406   $     626       8,248    SH   DEFINED               7        8,248    0         -
GENENTECH INC                COMMON 368710406   $     140       1,850    SH   DEFINED             8,2        1,850    0         -
GENERAL AMERICAN INVESTORS
CF                           COMMON 368802104   $      21         609    SH   DEFINED              22          609    0         -
GENERAL AMERICAN INVESTORS
CF                           COMMON 368802104   $      54       1,534    SH   DEFINED               5        1,534    0         -
GENERAL CABLE CORP           COMMON 369300108   $  85,215   1,400,406    SH   DEFINED               1    1,400,406    0         -
GENERAL CABLE CORP           COMMON 369300108   $  23,660     388,827    SH   DEFINED               2      281,674    0     107,153
GENERAL CABLE CORP           COMMON 369300108   $       8         130    SH   DEFINED              22          -      0         130
GENERAL CABLE CORP           COMMON 369300108   $   7,394     121,515    SH   DEFINED              23      121,515    0         -
GENERAL CABLE CORP           COMMON 369300108   $      63       1,030    SH   DEFINED               5          330    0         700
GENERAL COMMUNICATION CL A   COMMON 369385109   $      93      13,542    SH   DEFINED              23       13,542    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $ 164,626   1,955,181    SH   DEFINED               1    1,955,181    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $     203       2,416    SH   DEFINED              13        2,416    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $     203       2,416    SH   DEFINED            13,2        2,416    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $   4,876      57,910    SH   DEFINED              14       47,810    0       5,800
GENERAL DYNAMICS CORP        COMMON 369550108   $   2,273      27,000    SH   DEFINED            14,7          -      0      27,000
GENERAL DYNAMICS CORP        COMMON 369550108   $  23,244     276,059    SH   DEFINED               2      276,059    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $  25,074     297,794    SH   DEFINED              22       87,851    0     209,943
GENERAL DYNAMICS CORP        COMMON 369550108   $  20,530     243,822    SH   DEFINED              23      243,822    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $      34         403    SH   DEFINED              24          403    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $   4,256      50,552    SH   DEFINED             3,1       50,552    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $     432       5,128    SH   DEFINED               4        5,128    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $   7,711      91,574    SH   DEFINED               5       69,853    0      21,721
GENERAL DYNAMICS CORP        COMMON 369550108   $     494       5,868    SH   DEFINED               7        5,868    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $   1,162      13,795    SH   DEFINED               8       13,795    0         -
GENERAL DYNAMICS CORP        COMMON 369550108   $     445       5,288    SH   DEFINED             8,2        5,288    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $ 140,979   5,282,100    SH   DEFINED               1    5,282,100    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $  12,331     462,000    SH   DEFINED            1,15      462,000    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   2,912     109,100    SH   DEFINED           10,14      109,100    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $     542      20,297    SH   DEFINED            10,7       20,297    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $     599      22,456    SH   DEFINED              11       22,456    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $     525      19,663    SH   DEFINED              13       19,663    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $ 132,030   4,946,804    SH   DEFINED              14    3,673,254    0   1,125,650
GENERAL ELECTRIC CO          COMMON 369604103   $   2,346      87,900    SH   DEFINED           14,13          -      0      87,900
GENERAL ELECTRIC CO          COMMON 369604103   $  17,052     638,900    SH   DEFINED            14,7          -      0     638,900
GENERAL ELECTRIC CO          COMMON 369604103   $     679      25,452    SH   DEFINED              19       25,452    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   2,074      77,700    SH   DEFINED           20,14          -      0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   2,158      80,872    SH   DEFINED              21       80,872    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $ 134,396   5,035,458    SH   DEFINED              22    1,529,233    0   3,506,225
GENERAL ELECTRIC CO          COMMON 369604103   $  95,776   3,588,450    SH   DEFINED              23    3,588,450    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $     375      14,048    SH   DEFINED              24       14,048    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   2,709     101,500    SH   DEFINED               3      101,500    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   5,423     203,184    SH   DEFINED               4      203,184    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $  48,228   1,806,972    SH   DEFINED               5    1,371,745    0     435,227
GENERAL ELECTRIC CO          COMMON 369604103   $   5,287     198,100    SH   DEFINED            5,15      198,100    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $     566      21,200    SH   DEFINED               6       21,200    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $  11,577     433,769    SH   DEFINED               7      433,769    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $  63,060   2,362,667    SH   DEFINED               8    2,362,667    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $  18,013     674,900    SH   DEFINED            8,14      674,900    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   2,618      98,086    SH   DEFINED               9       98,086    0         -
GENERAL ELECTRIC CO          COMMON 369604103   $   1,276      47,800    SH   DEFINED            9,14          -      0      47,800
GENERAL GROWTH PROPERTIES    COMMON 370021107   $  64,399   1,838,400    SH   DEFINED            1,15    1,838,400    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $ 188,855   5,391,244    SH   DEFINED              14    3,267,444    0   1,810,400
GENERAL GROWTH PROPERTIES    COMMON 370021107   $   3,296      94,100    SH   DEFINED           18,14       94,100    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $   1,005      28,700    SH   DEFINED           19,14       28,700    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $   8,673     247,600    SH   DEFINED            2,15      247,600    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $     207       5,909    SH   DEFINED              22          -      0       5,909
GENERAL GROWTH PROPERTIES    COMMON 370021107   $   2,633      75,170    SH   DEFINED              23       75,170    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $       9         255    SH   DEFINED              24          255    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $   1,128      32,200    SH   DEFINED            3,15       14,800    0      17,400
GENERAL GROWTH PROPERTIES    COMMON 370021107   $      14         400    SH   DEFINED               5          200    0         200
GENERAL GROWTH PROPERTIES    COMMON 370021107   $  14,774     421,751    SH   DEFINED            5,15      421,751    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $     158       4,500    SH   DEFINED            6,14        4,500    0         -
GENERAL GROWTH PROPERTIES    COMMON 370021107   $   2,953      84,300    SH   DEFINED            8,14          -      0      84,300
GENERAL MILLS INC            COMMON 370334104   $  33,860     557,181    SH   DEFINED               1      557,181    0         -
GENERAL MILLS INC            COMMON 370334104   $     881      14,500    SH   DEFINED           10,14       14,500    0         -
GENERAL MILLS INC            COMMON 370334104   $   6,228     102,480    SH   DEFINED              14       72,480    0      25,300
GENERAL MILLS INC            COMMON 370334104   $   3,081      50,700    SH   DEFINED            14,7          -      0      50,700
GENERAL MILLS INC            COMMON 370334104   $   1,992      32,783    SH   DEFINED              21       32,783    0         -
GENERAL MILLS INC            COMMON 370334104   $   6,192     101,885    SH   DEFINED              22        1,566    0     100,319
GENERAL MILLS INC            COMMON 370334104   $  26,667     438,811    SH   DEFINED              23      438,811    0         -
GENERAL MILLS INC            COMMON 370334104   $   1,607      26,439    SH   DEFINED              24       26,439    0         -
GENERAL MILLS INC            COMMON 370334104   $   1,864      30,671    SH   DEFINED               5       29,891    0         780
GENERAL MILLS INC            COMMON 370334104   $     975      16,050    SH   DEFINED               7       16,050    0         -
GENERAL MILLS INC            COMMON 370334104   $  47,655     784,187    SH   DEFINED               8      784,187    0         -
GENERAL MILLS INC            COMMON 370334104   $   2,504      41,200    SH   DEFINED            8,14       41,200    0         -
GENERAL MILLS INC            COMMON 370334104   $   1,350      22,215    SH   DEFINED               9       22,215    0         -
GENERAL MOTORS CORP          COMMON 370442105   $   1,117      97,110    SH   DEFINED             1,9       97,110    0         -
GENERAL MOTORS CORP          COMMON 370442105   $     344      29,946    SH   DEFINED            10,7       29,946    0         -
GENERAL MOTORS CORP          COMMON 370442105   $     400      34,750    SH   DEFINED              13       34,750    0         -
GENERAL MOTORS CORP          COMMON 370442105   $   2,551     221,840    SH   DEFINED              14       73,140    0     148,200
GENERAL MOTORS CORP          COMMON 370442105   $     208      18,100    SH   DEFINED            14,7          -      0      18,100
GENERAL MOTORS CORP          COMMON 370442105   $     179      15,604    SH   DEFINED              19       15,604    0         -
GENERAL MOTORS CORP          COMMON 370442105   $     129      11,233    SH   DEFINED              21       11,233    0         -
GENERAL MOTORS CORP          COMMON 370442105   $       5         402    SH   DEFINED              22          -      0         402
GENERAL MOTORS CORP          COMMON 370442105   $   3,510     305,207    SH   DEFINED              23      305,207    0         -
GENERAL MOTORS CORP          COMMON 370442105   $      78       6,747    SH   DEFINED              24        6,747    0         -
GENERAL MOTORS CORP          COMMON 370442105   $       4         322    SH   DEFINED               4          322    0         -
GENERAL MOTORS CORP          COMMON 370442105   $      36       3,099    SH   DEFINED               5          799    0       2,300
GENERAL MOTORS CORP          COMMON 370442105   $   2,674     232,512    SH   DEFINED               7      232,512    0         -
GENERAL MOTORS CORP          COMMON 370442105   $   7,395     643,033    SH   DEFINED               8      643,033    0         -
GENERAL MOTORS CORP          COMMON 370442105   $   1,635     142,195    SH   DEFINED               9      142,195    0         -
GENERAL MOTORS CORP
(GM) CVT P                   CONVERT370442717   $      27       2,000    SH   DEFINED              22          -      0       2,000
GENERAL MOTORS CORP
CVT SERIES                   CONVERT370442733   $      12         850    SH   DEFINED              22          -      0         850
GENEREX BIOTECHNOLOGY CORP   COMMON 371485103   $       1         963    SH   DEFINED              23          963    0         -
GENESCO INC                  COMMON 371532102   $     525      17,000    SH   DEFINED              14       17,000    0         -
GENESCO INC                  COMMON 371532102   $     159       5,148    SH   DEFINED              23        5,148    0         -
GENESCO INC                  COMMON 371532102   $     114       3,700    SH   DEFINED            5,15        3,700    0         -
GENESEE & WYOMING CL A       COMMON 371559105   $     460      13,531    SH   DEFINED              23       13,531    0         -
GENESEE & WYOMING CL A       COMMON 371559105   $     385      11,325    SH   DEFINED               5          -      0      11,325
GENTEX CORP                  COMMON 371901109   $   2,746     190,200    SH   DEFINED              14       81,500    0     108,000
GENTEX CORP                  COMMON 371901109   $     174      12,055    SH   DEFINED              23       12,055    0         -
GENTEX CORP                  COMMON 371901109   $     159      11,000    SH   DEFINED               3       11,000    0         -
GENTEX CORP                  COMMON 371901109   $     271      18,755    SH   DEFINED               5          -      0      18,755
GENESIS ENERGY LP            COMMON 371927104   $     139       7,545    SH   DEFINED               5        1,750    0       5,795
GENITOPE CORP                COMMON 37229P507       $ -           368    SH   DEFINED              23          368    0         -
GENOPTIX INC                 COMMON 37243V100   $     186       5,885    SH   DEFINED              23        5,885    0         -
GENOMIC HEALTH INC           COMMON 37244C101   $   4,827     252,044    SH   DEFINED              16          -    252044         -
GENOMIC HEALTH INC           COMMON 37244C101   $       4         185    SH   DEFINED              23          185    0         -
GENTEK INC                   COMMON 37245X104       $ -        28,000    SH   DEFINED              22       28,000    0         -
GENTEK INC                   COMMON 37245X203   $     224       8,317    SH   DEFINED              23        8,317    0         -
GENUINE PARTS CO             COMMON 372460105   $  36,577     921,802    SH   DEFINED               1      921,802    0         -
GENUINE PARTS CO             COMMON 372460105   $      24         600    SH   DEFINED              14          -      0         -
GENUINE PARTS CO             COMMON 372460105   $      35         887    SH   DEFINED              22          212    0         675
GENUINE PARTS CO             COMMON 372460105   $   3,576      90,127    SH   DEFINED              23       90,127    0         -
GENUINE PARTS CO             COMMON 372460105   $      12         304    SH   DEFINED              24          304    0         -
GENUINE PARTS CO             COMMON 372460105   $   1,183      29,821    SH   DEFINED               5       12,215    0      17,606
GENUINE PARTS CO             COMMON 372460105   $     151       3,806    SH   DEFINED               7        3,806    0         -
GENUINE PARTS CO             COMMON 372460105   $     697      17,567    SH   DEFINED               8       17,567    0         -
GENTIVA HEALTH SERVICES      COMMON 37247A102   $   8,840     464,020    SH   DEFINED               1      464,020    0         -
GENTIVA HEALTH SERVICES      COMMON 37247A102   $   3,908     205,130    SH   DEFINED               2       40,000    0     165,130
GENTIVA HEALTH SERVICES      COMMON 37247A102   $     339      17,790    SH   DEFINED              23       17,790    0         -
GENWORTH FINANCIAL INC CL-A  COMMON 37247D106   $      83       4,670    SH   DEFINED              14        3,770    0         900
GENWORTH FINANCIAL INC CL-A  COMMON 37247D106   $      43       2,420    SH   DEFINED              22          -      0       2,420
GENWORTH FINANCIAL INC CL-A  COMMON 37247D106   $     979      54,952    SH   DEFINED              23       54,952    0         -
GENWORTH FINANCIAL INC CL-A  COMMON 37247D106   $      21       1,160    SH   DEFINED              24        1,160    0         -
GENWORTH FINANCIAL INC CL-A  COMMON 37247D106   $      67       3,790    SH   DEFINED               5        2,790    0       1,000
GENWORTH FINANCIAL INC CL-A  COMMON 37247D106   $     103       5,792    SH   DEFINED               7        5,792    0         -
GENTIUM SPA-SPONSORED ADR    COMMON 37250B104   $     999     293,000    SH   DEFINED               1      293,000    0         -
GENTIUM SPA-SPONSORED ADR    COMMON 37250B104   $      95      27,800    SH   DEFINED               2       27,800    0         -
GENTIUM SPA-SPONSORED ADR    COMMON 37250B104   $     142      41,500    SH   DEFINED            20,2          -      0      41,500
GEOMET INC                   COMMON 37250U201   $       2         169    SH   DEFINED              23          169    0         -
GEOEYE INC                   COMMON 37250W108   $     553      31,226    SH   DEFINED              23       31,226    0         -
GEOKINETICS INC              COMMON 372910307   $     224      12,364    SH   DEFINED              23       12,364    0         -
GENZYME CORP - GENL DIVISION COMMON 372917104   $  90,747   1,262,479    SH   DEFINED               1    1,262,479    0         -
GENZYME CORP - GENL DIVISION COMMON 372917104   $     769      10,700    SH   DEFINED              14        4,900    0       4,500
GENZYME CORP - GENL DIVISION COMMON 372917104   $     374       5,200    SH   DEFINED            14,7          -      0       5,200
GENZYME CORP - GENL DIVISION COMMON 372917104   $     755      10,500    SH   DEFINED              17       10,500    0         -
GENZYME CORP - GENL DIVISION COMMON 372917104   $   7,220     100,443    SH   DEFINED               2       65,971    0      34,472
GENZYME CORP - GENL DIVISION COMMON 372917104   $   6,194      86,172    SH   DEFINED            20,2          -      0      86,172
GENZYME CORP - GENL DIVISION COMMON 372917104   $  36,562     508,657    SH   DEFINED              22      104,685    0     403,972
GENZYME CORP - GENL DIVISION COMMON 372917104   $   3,833      53,325    SH   DEFINED              23       53,325    0         -
GENZYME CORP - GENL DIVISION COMMON 372917104   $   6,634      92,295    SH   DEFINED              24       92,295    0         -
GENZYME CORP - GENL DIVISION COMMON 372917104   $   6,613      92,000    SH   DEFINED               3       92,000    0         -
GENZYME CORP - GENL DIVISION COMMON 372917104   $  15,683     218,180    SH   DEFINED               5      191,050    0      27,130
GENZYME CORP - GENL DIVISION COMMON 372917104   $     288       4,002    SH   DEFINED               7        4,002    0         -
GENZYME CORP CVT(GENZ)
REGS 1.                      CONVERT372917AN4   $   5,338   4,825,000    SH   DEFINED              14          -      0   4,325,000
GEORGIA GULF CORP            COMMON 373200203   $      95      32,900    SH   DEFINED              23       32,900    0         -
GEORGIA GULF CORP            COMMON 373200203   $   1,048     361,250    SH   DEFINED               5      361,250    0         -
GERBER SCIENTIFIC INC        COMMON 373730100   $     362      31,816    SH   DEFINED              23       31,816    0         -
GERDAU SA ADR                COMMON 373737105   $   1,513      63,032    SH   DEFINED              23       63,032    0         -
GERDAU AMERISTEEL CORP       COMMON 37373P105   $     326      16,787    SH   DEFINED              23       16,787    0         -
GERDAU AMERISTEEL CORP       COMMON 37373P105   $      25       1,264    SH   DEFINED              24        1,264    0         -
GERMAN AMERICAN BANCORP INC  COMMON 373865104   $       1          96    SH   DEFINED              23           96    0         -
GERON CORP                   COMMON 374163103   $       2         695    SH   DEFINED              23          695    0         -
GETTY IMAGES INC             COMMON 374276103   $     100       2,957    SH   DEFINED              23        2,957    0         -
GETTY IMAGES INC             COMMON 374276103   $       2          57    SH   DEFINED              24           57    0         -
GETTY REALTY CORP            COMMON 374297109   $      48       3,338    SH   DEFINED              23        3,338    0         -
GETTY REALTY CORP            COMMON 374297109   $     365      25,309    SH   DEFINED               5        6,994    0      18,315
GEVITY HR INC                COMMON 374393106   $      52       9,684    SH   DEFINED              23        9,684    0         -
GIANT INTERACTIVE GROUP-ADR  COMMON 374511103   $   6,959     574,188    SH   DEFINED              23      574,188    0         -
GIBRALTAR INDUSTRIES INC     COMMON 374689107   $   1,064      66,600    SH   DEFINED              14       51,300    0      15,300
GIBRALTAR INDUSTRIES INC     COMMON 374689107   $     445      27,896    SH   DEFINED              23       27,896    0         -
GIBRALTAR INDUSTRIES INC     COMMON 374689107   $     142       8,900    SH   DEFINED            5,15        8,900    0         -
GILEAD SCIENCES INC          COMMON 375558103   $ 172,423   3,256,327    SH   DEFINED               1    3,256,327    0         -
GILEAD SCIENCES INC          COMMON 375558103   $     146       2,757    SH   DEFINED              13        2,757    0         -
GILEAD SCIENCES INC          COMMON 375558103   $     146       2,757    SH   DEFINED            13,2        2,757    0         -
GILEAD SCIENCES INC          COMMON 375558103   $   3,500      66,100    SH   DEFINED              14       32,800    0      28,900
GILEAD SCIENCES INC          COMMON 375558103   $     625      11,800    SH   DEFINED            14,7          -      0      11,800
GILEAD SCIENCES INC          COMMON 375558103   $     588      11,100    SH   DEFINED              17       11,100    0         -
GILEAD SCIENCES INC          COMMON 375558103   $  12,950     244,563    SH   DEFINED               2      244,563    0         -
GILEAD SCIENCES INC          COMMON 375558103   $   7,084     133,790    SH   DEFINED            20,2          -      0     133,790
GILEAD SCIENCES INC          COMMON 375558103   $   1,953      36,890    SH   DEFINED              22        1,820    0      35,070
GILEAD SCIENCES INC          COMMON 375558103   $  50,919     961,647    SH   DEFINED              23      961,647    0         -
GILEAD SCIENCES INC          COMMON 375558103   $  13,232     249,896    SH   DEFINED              24      249,896    0         -
GILEAD SCIENCES INC          COMMON 375558103   $   3,033      57,285    SH   DEFINED             3,1       57,285    0         -
GILEAD SCIENCES INC          COMMON 375558103   $   2,195      41,449    SH   DEFINED               5        9,946    0      31,503
GILEAD SCIENCES INC          COMMON 375558103   $     780      14,740    SH   DEFINED               7       14,740    0         -
GILEAD SCIENCES INC          COMMON 375558103   $     327       6,185    SH   DEFINED             8,2        6,185    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $   5,788     224,011    SH   DEFINED               1      224,011    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $   3,159     122,268    SH   DEFINED               2      122,268    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $      12         466    SH   DEFINED              23          466    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $     576      22,300    SH   DEFINED               3       22,300    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $  37,329   1,444,807    SH   DEFINED             3,1    1,444,807    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $      86       3,310    SH   DEFINED               7        3,310    0         -
GILDAN ACTIVEWEAR INC        COMMON 375916103   $     374      14,484    SH   DEFINED               8       14,484    0         -
GLACIER BANCORP INC          COMMON 37637Q105   $   6,071     379,674    SH   DEFINED               1      379,674    0         -
GLACIER BANCORP INC          COMMON 37637Q105   $   3,550     221,985    SH   DEFINED               2       87,043    0     134,942
GLACIER BANCORP INC          COMMON 37637Q105   $     121       7,563    SH   DEFINED              23        7,563    0         -
GLADSTONE CAPITAL            COMMON 376535100   $   1,730     113,542    SH   DEFINED              23      113,542    0         -
GLADSTONE CAPITAL            COMMON 376535100   $      15         999    SH   DEFINED              24          999    0         -
GLADSTONE COMMERCIAL CORP    COMMON 376536108   $     249      14,396    SH   DEFINED              23       14,396    0         -
GLADSTONE INVESTMENT CORP    COMMON 376546107   $   1,238     192,579    SH   DEFINED              23      192,579    0         -
GLATFELTER                   COMMON 377316104   $   3,734     276,405    SH   DEFINED              23      276,405    0         -
GLATFELTER                   COMMON 377316104   $     188      13,924    SH   DEFINED              24       13,924    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $  63,185   1,428,875    SH   DEFINED               1    1,428,875    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $ 116,343   2,631,007    SH   DEFINED              11    2,265,107    0     365,900
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $   5,312     120,127    SH   DEFINED              14       44,627    0      75,500
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $     234       5,300    SH   DEFINED           19,14        5,300    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $     208       4,697    SH   DEFINED               2        4,697    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $   1,162      26,288    SH   DEFINED              22       10,528    0      15,760
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $  14,693     332,276    SH   DEFINED             3,1      332,276    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $      10         233    SH   DEFINED               4          233    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $     552      12,493    SH   DEFINED               5          215    0      12,278
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $  11,606     262,450    SH   DEFINED            5,12      262,450    0         -
GLAXOSMITHKLINE PLC-SPON ADR COMMON 37733W105   $   1,495      33,800    SH   DEFINED            8,14          -      0      33,800
GLOBAL CASH ACCESS LLC       COMMON 378967103   $     658      95,900    SH   DEFINED              14       70,500    0      25,400
GLOBAL CASH ACCESS LLC       COMMON 378967103   $      73      10,663    SH   DEFINED              23       10,663    0         -
GLOBAL CASH ACCESS LLC       COMMON 378967103   $      89      13,000    SH   DEFINED            5,15       13,000    0         -
GLOBALSTAR INC               COMMON 378973408   $       5       1,726    SH   DEFINED              23        1,726    0         -
GLIMCHER REALTY TRUST        COMMON 379302102   $     721      64,500    SH   DEFINED              14       29,100    0      35,400
GLIMCHER REALTY TRUST        COMMON 379302102   $     175      15,643    SH   DEFINED              23       15,643    0         -
GLIMCHER REALTY TRUST        COMMON 379302102   $      22       2,000    SH   DEFINED            6,14        2,000    0         -
GLOBAL INDUSTRIES LTD        COMMON 379336100   $     115       6,433    SH   DEFINED              23        6,433    0         -
GLOBAL INDUSTRIES LTD        COMMON 379336100   $      34       1,915    SH   DEFINED               5          -      0       1,915
GLOBAL HIGH INCOME FUND INC
CE                           COMMON 37933G108   $      30       2,000    SH   DEFINED              22          -      0       2,000
GLOBAL TELESYSTEMS INC       COMMON 37936U104       $ -           200    SH   DEFINED              22          -      0         200
GLOBAL PAYMENTS INC          COMMON 37940X102   $  10,204     218,965    SH   DEFINED               1      218,965    0         -
GLOBAL PAYMENTS INC          COMMON 37940X102   $   8,060     172,967    SH   DEFINED               2      172,967    0         -
GLOBAL PAYMENTS INC          COMMON 37940X102   $   2,958      63,474    SH   DEFINED              22       58,140    0       5,334
GLOBAL PAYMENTS INC          COMMON 37940X102   $   6,459     138,608    SH   DEFINED              23      138,608    0         -
GLOBAL PAYMENTS INC          COMMON 37940X102   $   1,763      37,830    SH   DEFINED               5       27,715    0      10,115
GLOBAL PARTNERS LP           COMMON 37946R109   $     197      12,432    SH   DEFINED              23       12,432    0         -
GLOBAL PARTNERS LP           COMMON 37946R109   $   3,253     205,510    SH   DEFINED               5      205,400    0         110
GLOBECOMM SYSTEMS INC        COMMON 37956X103   $       1         175    SH   DEFINED              23          175    0         -
GLU MOBILE INC               COMMON 379890106       $ -            76    SH   DEFINED              23           76    0         -
GMX RESOURCES INC            COMMON 38011M108   $     484       6,531    SH   DEFINED              23        6,531    0         -
GMARKET INC-ADR              COMMON 38012G100   $      14         660    SH   DEFINED              23          660    0         -
GOLD FIELDS LTD ADR          COMMON 38059T106   $  12,650   1,000,000    SH   DEFINED               1    1,000,000    0         -
GOLD FIELDS LTD ADR          COMMON 38059T106   $      37       2,900    SH   DEFINED               5          -      0       2,900
GOLDCORP INC-US$             COMMON 380956409   $  35,551     770,000    SH   DEFINED               1      770,000    0         -
GOLDCORP INC-US$             COMMON 380956409   $      78       1,690    SH   DEFINED              22          -      0       1,690
GOLDCORP INC                 COMMON 380956409   $      62       1,336    SH   DEFINED              23        1,336    0         -
GOLDCORP INC                 COMMON 380956409   $       1          32    SH   DEFINED              24           32    0         -
GOLDCORP INC                 COMMON 380956409   $   9,963     215,000    SH   DEFINED               3      215,000    0         -
GOLDCORP INC-US$             COMMON 380956409   $     739      16,000    SH   DEFINED               5          -      0      16,000
GOLDCORP INC                 COMMON 380956409   $     559      12,062    SH   DEFINED               7       12,062    0         -
GOLDEN WEST FINANCIAL CORP   COMMON 381317106       $ -           300    SH   DEFINED              22          -      0         300
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $  16,549      94,618    SH   DEFINED               1       94,618    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $   4,514      25,808    SH   DEFINED             1,9       25,808    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     348       1,990    SH   DEFINED            10,7        1,990    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     365       2,085    SH   DEFINED              13        2,085    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $   9,698      55,450    SH   DEFINED              14       40,350    0      12,600
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $   2,816      16,100    SH   DEFINED            14,7          -      0      16,100
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     125         713    SH   DEFINED              19          713    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $   6,280      35,904    SH   DEFINED               2       35,904    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     437       2,500    SH   DEFINED           20,14          -      0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     948       5,420    SH   DEFINED              21        5,420    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $  27,869     159,340    SH   DEFINED              22       24,221    0     135,120
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $  15,500      88,623    SH   DEFINED              23       88,623    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $      85         488    SH   DEFINED              24          488    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     367       2,100    SH   DEFINED               3        2,100    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     319       1,826    SH   DEFINED               4        1,826    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $  11,908      68,085    SH   DEFINED               5       47,730    0      20,355
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     437       2,500    SH   DEFINED               6        2,500    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $   3,283      18,772    SH   DEFINED               7       18,772    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $  11,554      66,063    SH   DEFINED               8       66,063    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $     385       2,200    SH   DEFINED            8,14        2,200    0         -
GOLDMAN SACHS GROUP INC      COMMON 38141G104   $   1,516       8,665    SH   DEFINED               9        8,665    0         -
GOLFSMITH INTERNATIONAL HOLD COMMON 38168Y103   $      13       6,027    SH   DEFINED              23        6,027    0         -
GOODRICH CORPORATION         COMMON 382388106   $  15,584     328,363    SH   DEFINED               1      328,363    0         -
GOODRICH CORPORATION         COMMON 382388106   $     304       6,402    SH   DEFINED              14        6,402    0         -
GOODRICH CORPORATION         COMMON 382388106   $     729      15,350    SH   DEFINED              22        1,000    0      14,350
GOODRICH CORPORATION         COMMON 382388106   $  29,569     623,021    SH   DEFINED              23      623,021    0         -
GOODRICH CORPORATION         COMMON 382388106   $   1,010      21,274    SH   DEFINED              24       21,274    0         -
GOODRICH CORPORATION         COMMON 382388106   $  10,112     213,060    SH   DEFINED               4      213,060    0         -
GOODRICH CORPORATION         COMMON 382388106   $     827      17,432    SH   DEFINED               5          200    0      17,232
GOODRICH PETROLEUM CORP      COMMON 382410405   $     259       3,125    SH   DEFINED               5        3,125    0         -
GOODYEAR TIRE & RUBBER CO    COMMON 382550101   $   2,460     137,990    SH   DEFINED              23      137,990    0         -
GOODYEAR TIRE & RUBBER CO    COMMON 382550101   $      10         568    SH   DEFINED              24          568    0         -
GOOGLE INC CL A              COMMON 38259P508   $ 139,413     264,832    SH   DEFINED               1      264,832    0         -
GOOGLE INC CL A              COMMON 38259P508   $     411         780    SH   DEFINED           10,14          780    0         -
GOOGLE INC CL A              COMMON 38259P508   $      66         125    SH   DEFINED              13          125    0         -
GOOGLE INC CL A              COMMON 38259P508   $     991       1,883    SH   DEFINED            13,2          125    0       1,758
GOOGLE INC CL A              COMMON 38259P508   $  20,215      38,400    SH   DEFINED              14       27,740    0       9,320
GOOGLE INC CL A              COMMON 38259P508   $   4,359       8,280    SH   DEFINED            14,7          -      0       8,280
GOOGLE INC CL A              COMMON 38259P508   $     895       1,700    SH   DEFINED              17        1,700    0         -
GOOGLE INC CL A              COMMON 38259P508   $  13,379      25,416    SH   DEFINED               2       25,416    0         -
GOOGLE INC CL A              COMMON 38259P508   $     379         720    SH   DEFINED           20,14          -      0         -
GOOGLE INC CL A              COMMON 38259P508   $   3,104       5,897    SH   DEFINED            20,2        5,897    0         -
GOOGLE INC CL A              COMMON 38259P508   $       3           6    SH   DEFINED              21            6    0         -
GOOGLE INC CL A              COMMON 38259P508   $  22,501      42,744    SH   DEFINED              22       10,484    0      32,260
GOOGLE INC CL A              COMMON 38259P508   $   1,723       3,274    SH   DEFINED              23        3,274    0         -
GOOGLE INC CL A              COMMON 38259P508   $  21,030      39,950    SH   DEFINED              24       39,950    0         -
GOOGLE INC CL A              COMMON 38259P508   $   1,364       2,592    SH   DEFINED             3,1        2,592    0         -
GOOGLE INC CL A              COMMON 38259P508   $  16,760      31,838    SH   DEFINED               5       18,322    0      13,516
GOOGLE INC CL A              COMMON 38259P508   $   2,063       3,918    SH   DEFINED               7        3,918    0         -
GOOGLE INC CL A              COMMON 38259P508   $  18,958      36,013    SH   DEFINED               8       36,013    0         -
GOOGLE INC CL A              COMMON 38259P508   $   2,706       5,140    SH   DEFINED            8,14        5,140    0         -
GOOGLE INC CL A              COMMON 38259P508   $     196         372    SH   DEFINED             8,2          372    0         -
GORMAN-RUPP CO               COMMON 383082104   $  64,146   1,610,081    SH   DEFINED              23    1,610,081    0         -
GOTTSCHALKS INC              COMMON 383485109   $      47      21,327    SH   DEFINED              23       21,327    0         -
W.R. GRACE & CO              COMMON 38388F108   $     758      32,266    SH   DEFINED              23       32,266    0         -
GRACO INC                    COMMON 384109104   $   4,009     105,300    SH   DEFINED             1,3      105,300    0         -
GRACO INC                    COMMON 384109104   $     685      18,000    SH   DEFINED              14       18,000    0         -
GRACO INC                    COMMON 384109104   $   2,216      58,196    SH   DEFINED              22          -      0      58,196
GRACO INC                    COMMON 384109104   $     298       7,827    SH   DEFINED              23        7,827    0         -
GRACO INC                    COMMON 384109104   $     537      14,100    SH   DEFINED               8       14,100    0         -
GRACO INC                    COMMON 384109104   $     148       3,900    SH   DEFINED            8,20        3,900    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   2,949     109,900    SH   DEFINED               1      109,900    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   1,843      68,700    SH   DEFINED            1,15       68,700    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $     539      20,086    SH   DEFINED             1,9       20,086    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $     283      10,563    SH   DEFINED            10,7       10,563    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $     147       5,487    SH   DEFINED              11        5,487    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $     305      11,386    SH   DEFINED              13       11,386    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $  53,503   1,994,139    SH   DEFINED              14    1,146,239    0     835,000
GRAFTECH INTERNATIONAL       COMMON 384313102   $   2,181      81,300    SH   DEFINED            14,7          -      0      81,300
GRAFTECH INTERNATIONAL       COMMON 384313102   $   1,047      39,012    SH   DEFINED              19       39,012    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   2,576      96,013    SH   DEFINED              23       96,013    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   2,313      86,200    SH   DEFINED            5,15       86,200    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   2,442      91,015    SH   DEFINED               7       91,015    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   7,251     270,253    SH   DEFINED               8      270,253    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $     180       6,700    SH   DEFINED            8,20        6,700    0         -
GRAFTECH INTERNATIONAL       COMMON 384313102   $   1,332      49,656    SH   DEFINED               9       49,656    0         -
GRAHAM CORP                  COMMON 384556106   $   1,586      21,400    SH   DEFINED              14       13,100    0       8,300
GRAHAM CORP                  COMMON 384556106   $     467       6,299    SH   DEFINED              23        6,299    0         -
GRAHAM CORP                  COMMON 384556106   $     185       2,500    SH   DEFINED            5,15        2,500    0         -
GRAHAM CORP                  COMMON 384556106   $     267       3,600    SH   DEFINED               8        3,600    0         -
GRAHAM CORP                  COMMON 384556106   $      74       1,000    SH   DEFINED            8,20        1,000    0         -
GRAINGER (W.W.) INC          COMMON 384802104   $   3,154      38,560    SH   DEFINED              14       24,360    0      12,800
GRAINGER (W.W.) INC          COMMON 384802104   $     434       5,300    SH   DEFINED            14,7          -      0       5,300
GRAINGER (W.W.) INC          COMMON 384802104   $   6,979      85,322    SH   DEFINED              22       54,360    0      30,962
GRAINGER (W.W.) INC          COMMON 384802104   $     670       8,187    SH   DEFINED              23        8,187    0         -
GRAINGER (W.W.) INC          COMMON 384802104   $       7          90    SH   DEFINED              24           90    0         -
GRAINGER (W.W.) INC          COMMON 384802104   $   4,479      54,752    SH   DEFINED               5       24,258    0      30,494
GRAINGER (W.W.) INC          COMMON 384802104   $     628       7,681    SH   DEFINED               7        7,681    0         -
GRAINGER (W.W.) INC          COMMON 384802104   $     970      11,857    SH   DEFINED               8       11,857    0         -
GRAMERCY CAPITAL CORP        COMMON 384871109   $       1         120    SH   DEFINED              22          -      0         120
GRAMERCY CAPITAL CORP        COMMON 384871109   $     169      14,573    SH   DEFINED              23       14,573    0         -
GRAMERCY CAPITAL CORP        COMMON 384871109   $       1          74    SH   DEFINED              24           74    0         -
GRAN TIERRA ENERGY INC       COMMON 38500T101   $   7,058     885,547    SH   DEFINED              23      885,547    0         -
GRANITE CITY FOOD & BREWERY  COMMON 38724Q107   $     239     113,809    SH   DEFINED               5          -      0     113,809
GRANITE CONSTRUCTION INC     COMMON 387328107   $       6         200    SH   DEFINED              22          -      0         200
GRANITE CONSTRUCTION INC     COMMON 387328107   $     124       3,926    SH   DEFINED              23        3,926    0         -
GRANITE CONSTRUCTION INC     COMMON 387328107   $       2          72    SH   DEFINED              24           72    0         -
GRAPHIC PACKAGING HOLDING CO COMMON 388689101   $      47      23,483    SH   DEFINED              23       23,483    0         -
GRAPHIC PACKAGING HOLDING CO COMMON 388689101   $       1         432    SH   DEFINED              24          432    0         -
GRAY TELE VISION INC         COMMON 389375106   $     155      53,930    SH   DEFINED              23       53,930    0         -
GREAT ATLANTIC & PAC TEA CO  COMMON 390064103       $ -            12    SH   DEFINED              22          -      0          12
GREAT ATLANTIC & PAC TEA CO  COMMON 390064103   $     140       6,131    SH   DEFINED              23        6,131    0         -
GREAT ATLANTIC & PAC TEA CO  COMMON 390064103   $       3         120    SH   DEFINED              24          120    0         -
GREAT ATLANTIC & PAC TEA CO  COMMON 390064103       $ -            12    SH   DEFINED               5          -      0          12
GREAT LAKES DREDGE & DOCK CO COMMON 390607109   $      29       4,743    SH   DEFINED              23        4,743    0         -
GREAT SOUTHERN BANCORP INC   COMMON 390905107   $     333      41,000    SH   DEFINED              14       28,500    0      12,500
GREAT SOUTHERN BANCORP INC   COMMON 390905107   $     101      12,406    SH   DEFINED              23       12,406    0         -
GREAT SOUTHERN BANCORP INC   COMMON 390905107   $      58       7,200    SH   DEFINED            5,15        7,200    0         -
GREAT NORTHERN IRON ORE PPTY COMMON 391064102   $       6          50    SH   DEFINED              22          -      0          50
GREAT PLAINS ENERGY INC      COMMON 391164100   $      33       1,300    SH   DEFINED              22        1,300    0         -
GREAT PLAINS ENERGY INC      COMMON 391164100   $     353      13,974    SH   DEFINED              23       13,974    0         -
GREAT PLAINS ENERGY INC      COMMON 391164100   $        6         232   SH   DEFINED               24          232    0         -
GREAT PLAINS ENERGY INC      COMMON 391164100   $       95       3,740   SH   DEFINED                5        3,740    0         -
GREAT WOLF RESORTS INC       COMMON 391523107   $      300      68,700   SH   DEFINED               23       68,700    0         -
GREATBATCH INC               COMMON 39153L106   $        4         214   SH   DEFINED               22          -      0         214
GREATBATCH INC               COMMON 39153L106   $      258      14,889   SH   DEFINED               23       14,889    0         -
GREEN MOUNTAIN COFFEE
ROASTERS                     COMMON 393122106   $      745      19,837   SH   DEFINED               23       19,837    0         -
GREEN MOUNTAIN COFFEE
ROASTERS                     COMMON 393122106   $      178       4,725   SH   DEFINED                5          -      0       4,725
GREENBRIER COMPANIES INC     COMMON 393657101   $      241      11,888   SH   DEFINED               23       11,888    0         -
GREEN BANCSHARES INC         COMMON 394361208   $      207      14,766   SH   DEFINED               23       14,766    0         -
GREENFIELD ONLINE            COMMON 395150105   $      217      14,566   SH   DEFINED               23       14,566    0         -
GREENHILL & CO INC           COMMON 395259104   $   11,367     211,040   SH   DEFINED                1      211,040    0         -
GREENHILL & CO INC           COMMON 395259104   $    9,455     175,551   SH   DEFINED                2      175,551    0         -
GREENHILL & CO INC           COMMON 395259104   $      211       3,915   SH   DEFINED               23        3,915    0         -
GREIF INC                    COMMON 397624107   $   15,956     249,194   SH   DEFINED                1      249,194    0         -
GREIF INC                    COMMON 397624107   $   12,796     199,839   SH   DEFINED                2      199,839    0         -
GREIF INC                    COMMON 397624107   $      713      11,140   SH   DEFINED               23       11,140    0         -
GREIF INC                    COMMON 397624107   $        2          31   SH   DEFINED               24           31    0         -
GREIF BROS CORP  -CL B       COMMON 397624206   $        9         158   SH   DEFINED               23          158    0         -
GREY WOLF INC                COMMON 397888108   $      438      48,543   SH   DEFINED                1       48,543    0         -
GREY WOLF INC                COMMON 397888108   $       32       3,522   SH   DEFINED                2        3,522    0         -
GREY WOLF INC                COMMON 397888108   $   14,460   1,601,309   SH   DEFINED               23    1,601,309    0         -
GREY WOLF INC                COMMON 397888108   $    2,203     243,958   SH   DEFINED              3,1      243,958    0         -
GREY WOLF INC                COMMON 397888108   $      176      19,500   SH   DEFINED                5          -      0      19,500
GRIFFIN CORPORATION          COMMON 398433102   $      134      15,271   SH   DEFINED               23       15,271    0         -
GRILL CONCEPTS INC           COMMON 398502203   $       15       5,000   SH   DEFINED               22        5,000    0         -
GROUP 1 AUTOMOTIVE INC       COMMON 398905109   $      345      17,355   SH   DEFINED               23       17,355    0         -
GROUP 1 AUTOMOTIVE INC       COMMON 398905109   $        3         140   SH   DEFINED               24          140    0         -
GROUP 1 AUTOMOTIVE INC       COMMON 398905109   $       34       1,700   SH   DEFINED                5          -      0       1,700
CGI GROUP INC                COMMON 39945C109   $    3,186     318,102   SH   DEFINED                2      318,102    0         -
CGI GROUP INC                COMMON 39945C109   $       22       2,229   SH   DEFINED               23        2,229    0         -
CGI GROUP INC                COMMON 39945C109   $   37,652   3,759,487   SH   DEFINED              3,1    3,759,487    0         -
GRUPO FINANCIERO GALACIA ADR COMMON 399909100   $        2         366   SH   DEFINED               23          366    0         -
GRUBB & ELLIS CO             COMMON 400095204   $      117      30,337   SH   DEFINED               23       30,337    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $   39,436   1,669,593   SH   DEFINED                1    1,669,593    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $    5,733     242,700   SH   DEFINED              1,3      242,700    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $      391      16,534   SH   DEFINED               13       16,534    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $       86       3,634   SH   DEFINED             13,2        3,634    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $      305      12,900   SH   DEFINED             13,3       12,900    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $    8,428     356,800   SH   DEFINED             18,3      356,800    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $    4,347     184,055   SH   DEFINED                2      184,055    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $    4,693     198,700   SH   DEFINED             20,3      198,700    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $  604,142  25,577,580   SH   DEFINED                3   25,577,580    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $    1,793      75,920   SH   DEFINED              3,1       75,920    0         -
GRUPO TELEVISA SA ADR        COMMON 40049J206   $      104       4,400   SH   DEFINED                5          -      0       4,400
GRUPO TELEVISA SA ADR        COMMON 40049J206   $    8,267     350,000   SH   DEFINED                8      350,000    0         -
GRUPO AEROPORTUARIO DEL-ADR  COMMON 400501102   $        3         157   SH   DEFINED               23          157    0         -
GTX INC                      COMMON 40052B108   $      135       9,426   SH   DEFINED               23        9,426    0         -
GUANGSHEN RAILWAY ADR        COMMON 40065W107   $    7,474     333,510   SH   DEFINED               23      333,510    0         -
GUARANTY BANCORP             COMMON 40075T102   $      180      50,098   SH   DEFINED               23       50,098    0         -
GUARANTY FINANCIAL GROUP     COMMON 40108N106        $ -            66   SH   DEFINED                5          -      0          66
GUESS? INC                   COMMON 401617105   $   41,274   1,102,108   SH   DEFINED                1    1,102,108    0         -
GUESS? INC                   COMMON 401617105   $    2,413      64,439   SH   DEFINED                2        7,548    0      56,891
GUESS? INC                   COMMON 401617105   $    2,657      70,941   SH   DEFINED               23       70,941    0         -
GUIDANCE SOFTWARE INC        COMMON 401692108   $        1          60   SH   DEFINED               23           60    0         -
GULF ISLAND FABRICATION INC  COMMON 402307102   $      191       3,900   SH   DEFINED               14        3,900    0         -
GULF ISLAND FABRICATION INC  COMMON 402307102   $   13,527     276,409   SH   DEFINED               23      276,409    0         -
GULF ISLAND FABRICATION INC  COMMON 402307102   $      122       2,500   SH   DEFINED                8        2,500    0         -
GULF ISLAND FABRICATION INC  COMMON 402307102   $       34         700   SH   DEFINED             8,20          700    0         -
GULFMARK OFFSHORE INC        COMMON 402629109   $    9,053     155,600   SH   DEFINED               14       96,100    0      59,500
GULFMARK OFFSHORE INC        COMMON 402629109   $   10,103     173,657   SH   DEFINED               23      173,657    0         -
GULFMARK OFFSHORE INC        COMMON 402629109   $      547       9,400   SH   DEFINED                5        9,400    0         -
GULFMARK OFFSHORE INC        COMMON 402629109   $    1,455      25,000   SH   DEFINED             5,15       25,000    0         -
GULFPORT ENERGY CORP         COMMON 402635304   $      352      21,387   SH   DEFINED               23       21,387    0         -
GUSHAN ENVIRONMENTAL ENE-ADR COMMON 40330W106   $      139      10,000   SH   DEFINED               22          -      0      10,000
GUSHAN ENVIRONMENTAL ENE-ADR COMMON 40330W106   $   41,927   3,020,710   SH   DEFINED               23    3,020,710    0         -
GUSHAN ENVIRONMENTAL ENE-ADR COMMON 40330W106   $       92       6,600   SH   DEFINED               24        6,600    0         -
GYMBOREE CORP                COMMON 403777105   $    1,346      33,600   SH   DEFINED               14       31,000    0       2,600
GYMBOREE CORP                COMMON 403777105   $    4,590     114,540   SH   DEFINED               23      114,540    0         -
GYMBOREE CORP                COMMON 403777105   $       32         800   SH   DEFINED             5,15          800    0         -
GYMBOREE CORP                COMMON 403777105   $      781      19,500   SH   DEFINED                8       19,500    0         -
GYMBOREE CORP                COMMON 403777105   $      216       5,400   SH   DEFINED             8,20        5,400    0         -
H&E EQUIPMENT SERVICES INC   COMMON 404030108   $       29       2,396   SH   DEFINED               23        2,396    0         -
H & Q HEALTHCARE INVESTORS
CF                           COMMON 404052102   $       58       3,972   SH   DEFINED                5        3,972    0         -
H & Q LIFE SCIENCES INVSTRS
 CF                          COMMON 404053100   $       28       2,418   SH   DEFINED                5        2,418    0         -
HCC INSURANCE HOLDINGS INC   COMMON 404132102   $      811      38,348   SH   DEFINED               23       38,348    0         -
HCC INSURANCE HOLDINGS INC   COMMON 404132102   $        3         144   SH   DEFINED               24          144    0         -
HCC INSURANCE HOLDINGS INC   COMMON 404132102   $       65       3,075   SH   DEFINED                5        1,275    0       1,800
HCP INC                      COMMON 40414L109   $   42,422   1,333,600   SH   DEFINED             1,15    1,333,600    0         -
HCP INC                      COMMON 40414L109   $  109,525   3,443,092   SH   DEFINED               14    2,111,392    0   1,144,700
HCP INC                      COMMON 40414L109   $    1,886      59,300   SH   DEFINED            18,14       59,300    0         -
HCP INC                      COMMON 40414L109   $      550      17,300   SH   DEFINED            19,14       17,300    0         -
HCP INC                      COMMON 40414L109   $    6,451     202,800   SH   DEFINED             2,15      202,800    0         -
HCP INC                      COMMON 40414L109   $      146       4,577   SH   DEFINED               22        1,600    0       2,977
HCP INC                      COMMON 40414L109   $      596      18,738   SH   DEFINED               23       18,738    0         -
HCP INC                      COMMON 40414L109   $        9         291   SH   DEFINED               24          291    0         -
HCP INC                      COMMON 40414L109   $      738      23,200   SH   DEFINED             3,15        8,900    0      14,300
HCP INC                      COMMON 40414L109   $      197       6,195   SH   DEFINED                5          -      0       6,195
HCP INC                      COMMON 40414L109   $    8,362     262,864   SH   DEFINED             5,15      262,864    0         -
HCP INC                      COMMON 40414L109   $      124       3,900   SH   DEFINED             6,14        3,900    0         -
HCP INC                      COMMON 40414L109   $    1,625      51,100   SH   DEFINED             8,14          -      0      51,100
HDFC BANK LTD ADR            COMMON 40415F101   $        9         125   SH   DEFINED               22          125    0         -
HDFC BANK LTD ADR            COMMON 40415F101   $      678       9,462   SH   DEFINED               23        9,462    0         -
HDFC BANK LTD ADR            COMMON 40415F101   $        3          40   SH   DEFINED                4           40    0         -
HDFC BANK LTD ADR            COMMON 40415F101   $    1,885      26,310   SH   DEFINED                8       26,310    0         -
HDFC BANK LTD ADR            COMMON 40415F101   $      692       9,650   SH   DEFINED             8,14        9,650    0         -
HDFC BANK LTD ADR            COMMON 40415F101   $    1,335      18,627   SH   DEFINED             8,20       18,627    0         -
HKN INC                      COMMON 40420K103   $      204      17,800   SH   DEFINED               14       17,800    0         -
HKN INC                      COMMON 40420K103   $       44       3,800   SH   DEFINED             5,15        3,800    0         -
HLTH CORP                    COMMON 40422Y101   $      194      17,172   SH   DEFINED               23       17,172    0         -
HLTH CORP                    COMMON 40422Y101   $       5         442    SH   DEFINED               5          -       0         442
HNI CORP                     COMMON 404251100   $     114       6,427    SH   DEFINED              23        6,427     0         -
HNI CORP                     COMMON 404251100   $       2          90    SH   DEFINED              24           90     0         -
HMS HOLDINGS CORP            COMMON 40425J101   $   5,400     251,517    SH   DEFINED               1      251,517     0         -
HMS HOLDINGS CORP            COMMON 40425J101   $     116       5,400    SH   DEFINED              17        5,400     0         -
HMS HOLDINGS CORP            COMMON 40425J101   $     514      23,938    SH   DEFINED               2       23,938     0         -
HMS HOLDINGS CORP            COMMON 40425J101   $     719      33,506    SH   DEFINED            20,2          -       0      33,506
HMS HOLDINGS CORP            COMMON 40425J101   $       5         213    SH   DEFINED              23          213     0         -
HRPT PROPERTIES TRUST        COMMON 40426W101   $   1,180     174,300    SH   DEFINED              14      174,300     0         -
HRPT PROPERTIES TRUST        COMMON 40426W101   $     288      42,508    SH   DEFINED              23       42,508     0         -
HRPT PROPERTIES TRUST        COMMON 40426W101   $       5         782    SH   DEFINED              24          782     0         -
HSBC HOLDINGS PLC ADR        COMMON 404280406   $  14,082     183,600    SH   DEFINED            1,12      183,600     0         -
HSBC HOLDINGS PLC ADR        COMMON 404280406   $  98,411   1,283,063    SH   DEFINED              11    1,276,563     0       6,500
HSBC HOLDINGS PLC ADR        COMMON 404280406   $   1,608      20,962    SH   DEFINED              14       20,962     0         -
HSBC HOLDINGS PLC ADR        COMMON 404280406   $     442       5,765    SH   DEFINED           19,14        5,765     0         -
HSBC HOLDINGS PLC ADR        COMMON 404280406   $      88       1,150    SH   DEFINED              22          147     0       1,003
HSBC HOLDINGS PLC ADR        COMMON 404280406   $  10,186     132,805    SH   DEFINED              23      132,805     0         -
HSBC HOLDINGS PLC ADR        COMMON 404280406   $       2          30    SH   DEFINED               4           30     0         -
HSBC HOLDINGS PLC ADR        COMMON 404280406   $     308       4,010    SH   DEFINED               5        1,010     0       3,000
HSW INTERNATIONAL INC        COMMON 40431N104   $     466     126,416    SH   DEFINED              23      126,416     0         -
HACKETT GROUP INC THE        COMMON 404609109   $   1,099     191,400    SH   DEFINED              14      121,700     0      69,700
HACKETT GROUP INC THE        COMMON 404609109   $       2         375    SH   DEFINED              23          375     0         -
HACKETT GROUP INC THE        COMMON 404609109   $     170      29,600    SH   DEFINED            5,15       29,600     0         -
HACKETT GROUP INC THE        COMMON 404609109   $      71      12,400    SH   DEFINED               8       12,400     0         -
HACKETT GROUP INC THE        COMMON 404609109   $      21       3,600    SH   DEFINED            8,20        3,600     0         -
HAEMONETICS CORP/MASS        COMMON 405024100   $   6,694     120,704    SH   DEFINED               1      120,704     0         -
HAEMONETICS CORP/MASS        COMMON 405024100   $   5,108      92,100    SH   DEFINED              14       48,500     0      43,600
HAEMONETICS CORP/MASS        COMMON 405024100   $   3,879      69,936    SH   DEFINED               2       27,513     0      42,423
HAEMONETICS CORP/MASS        COMMON 405024100   $   1,374      24,772    SH   DEFINED              23       24,772     0         -
HAEMONETICS CORP/MASS        COMMON 405024100   $     126       2,265    SH   DEFINED               5          565     0       1,700
HAEMONETICS CORP/MASS        COMMON 405024100   $     743      13,400    SH   DEFINED            5,15       13,400     0         -
HAIN CELESTIAL GROUP INC     COMMON 405217100   $       7         300    SH   DEFINED              22          300     0         -
HAIN CELESTIAL GROUP INC     COMMON 405217100   $     118       5,028    SH   DEFINED              23        5,028     0         -
HAIN CELESTIAL GROUP INC     COMMON 405217100   $     120       5,100    SH   DEFINED               5          -       0       5,100
HALLIBURTON CO               COMMON 406216101   $ 232,973   4,389,918    SH   DEFINED               1    4,389,918     0         -
HALLIBURTON CO               COMMON 406216101   $      27         500    SH   DEFINED              13          500     0         -
HALLIBURTON CO               COMMON 406216101   $  12,684     239,000    SH   DEFINED            13,2          -       0     239,000
HALLIBURTON CO               COMMON 406216101   $  18,660     351,620    SH   DEFINED              14      231,820     0     110,500
HALLIBURTON CO               COMMON 406216101   $   3,237      61,000    SH   DEFINED            14,7          -       0      61,000
HALLIBURTON CO               COMMON 406216101   $     265       5,000    SH   DEFINED           20,14          -       0         -
HALLIBURTON CO               COMMON 406216101   $   1,058      19,927    SH   DEFINED              22       10,055     0       9,872
HALLIBURTON CO               COMMON 406216101   $  41,799     787,624    SH   DEFINED              23      787,624     0         -
HALLIBURTON CO               COMMON 406216101   $      39         727    SH   DEFINED              24          727     0         -
HALLIBURTON CO               COMMON 406216101   $   7,708     145,240    SH   DEFINED               4      145,240     0         -
HALLIBURTON CO               COMMON 406216101   $     572      10,773    SH   DEFINED               5        7,430     0       3,343
HALLIBURTON CO               COMMON 406216101   $   1,498      28,225    SH   DEFINED               7       28,225     0         -
HALLIBURTON CO               COMMON 406216101   $   3,998      75,343    SH   DEFINED               8       75,343     0         -
HALLMARK FINL SERVICES INC   COMMON 40624Q203   $     337      34,880    SH   DEFINED              23       34,880     0         -
HALLWOOD GROUP INC           COMMON 406364406   $      13         199    SH   DEFINED              23          199     0         -
HANCOCK HOLDING CO           COMMON 410120109   $   2,173      55,300    SH   DEFINED              14       44,100     0      11,200
HANCOCK HOLDING CO           COMMON 410120109   $     136       3,458    SH   DEFINED              23        3,458     0         -
HANCOCK HOLDING CO           COMMON 410120109   $     409      10,400    SH   DEFINED            5,15       10,400     0         -
JOHN HANCOCK INCOME SECS
TR CF                        COMMON 410123103   $      24       1,800    SH   DEFINED              22          -       0       1,800
JOHN HAN PATR PREM DIV
FD II                        COMMON 41013T105   $      72       7,452    SH   DEFINED               5          -       0       7,452
JOHN HANCOCK T/A DVD
INCOME CE                    COMMON 41013V100   $      17       1,000    SH   DEFINED              22          -       0       1,000
JOHN HANCOCK PFD INCOME
FD CEF                       COMMON 41013W108   $      21       1,000    SH   DEFINED              22          -       0       1,000
JOHN HANCOCK PFD INCOME
III CF                       COMMON 41021P103   $      38       2,043    SH   DEFINED              22          -       0       2,043
HANESBRANDS INC              COMMON 410345102   $  60,880   2,243,172    SH   DEFINED               1    2,243,172     0         -
HANESBRANDS INC              COMMON 410345102   $   4,323     159,293    SH   DEFINED               2       13,336     0     145,957
HANESBRANDS INC              COMMON 410345102   $     839      30,928    SH   DEFINED              22          -       0      30,928
HANESBRANDS INC              COMMON 410345102   $     395      14,538    SH   DEFINED              23       14,538     0         -
HANESBRANDS INC              COMMON 410345102   $       8         282    SH   DEFINED              24          282     0         -
HANESBRANDS INC              COMMON 410345102   $      26         962    SH   DEFINED               5          962     0         -
HANGER ORTHOPEDIC GROUP INC  COMMON 41043F208   $     432      26,181    SH   DEFINED              23       26,181     0         -
HANMI FINANCIAL CORPORATION  COMMON 410495105   $      41       7,940    SH   DEFINED              23        7,940     0         -
HANMI FINANCIAL CORPORATION  COMMON 410495105   $      98      18,800    SH   DEFINED               5          -       0      18,800
HANOVER INSURANCE GROUP INC  COMMON 410867105   $       5         129    SH   DEFINED              22          -       0         129
HANOVER INSURANCE GROUP INC  COMMON 410867105   $   1,968      46,313    SH   DEFINED              23       46,313     0         -
HANOVER INSURANCE GROUP INC  COMMON 410867105   $       3          72    SH   DEFINED              24           72     0         -
HANOVER INSURANCE GROUP INC  COMMON 410867105   $     211       4,955    SH   DEFINED               5        1,265     0       3,690
HANSEN MEDICAL INC           COMMON 411307101   $       2          95    SH   DEFINED              23           95     0         -
HANSEN MEDICAL INC           COMMON 411307101   $      20       1,200    SH   DEFINED               5        1,200     0         -
HANSEN NATURAL CORP          COMMON 411310105   $  58,620   2,034,008    SH   DEFINED               1    2,034,008     0         -
HANSEN NATURAL CORP          COMMON 411310105   $   4,312     149,620    SH   DEFINED               2      149,620     0         -
HANSEN NATURAL CORP          COMMON 411310105   $   3,124     108,413    SH   DEFINED              22       98,343     0      10,070
HANSEN NATURAL CORP          COMMON 411310105   $      37       1,282    SH   DEFINED              23        1,282     0         -
HANSEN NATURAL CORP          COMMON 411310105   $     735      25,505    SH   DEFINED              24       25,505     0         -
HANSEN NATURAL CORP          COMMON 411310105   $   1,855      64,373    SH   DEFINED               5       47,059     0      17,314
HANSEN NATURAL CORP          COMMON 411310105   $     179       6,211    SH   DEFINED             8,2        6,211     0         -
HARBIN ELECTRIC INC          COMMON 41145W109   $       1          62    SH   DEFINED              23           62     0         -
HARDINGE INC                 COMMON 412324303   $     216      16,375    SH   DEFINED              23       16,375     0         -
HARLEY-DAVIDSON INC          COMMON 412822108   $       8         215    SH   DEFINED              14          215     0         -
HARLEY-DAVIDSON INC          COMMON 412822108   $     536      14,791    SH   DEFINED              22        2,391     0      12,400
HARLEY-DAVIDSON INC          COMMON 412822108   $   1,093      30,146    SH   DEFINED              23       30,146     0         -
HARLEY-DAVIDSON INC          COMMON 412822108   $      12         325    SH   DEFINED              24          325     0         -
HARLEY-DAVIDSON INC          COMMON 412822108   $      70       1,942    SH   DEFINED               5        1,342     0         600
HARLEY-DAVIDSON INC          COMMON 412822108   $     211       5,809    SH   DEFINED               7        5,809     0         -
HARLEYSVILLE GROUP INC       COMMON 412824104   $   1,990      58,811    SH   DEFINED              23       58,811     0         -
HARLEYSVILLE NATIONAL CORP   COMMON 412850109   $   2,911     260,846    SH   DEFINED              23      260,846     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $  27,824     672,243    SH   DEFINED               1      672,243     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $     388       9,368    SH   DEFINED              14        9,368     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $      12         290    SH   DEFINED              22          -       0         290
HARMAN INTERNATIONAL         COMMON 413086109   $     250       6,047    SH   DEFINED              23        6,047     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $       3          82    SH   DEFINED              24           82     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $     414      10,000    SH   DEFINED               3       10,000     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $  12,973     313,435    SH   DEFINED               4      313,435     0         -
HARMAN INTERNATIONAL         COMMON 413086109   $      60       1,438    SH   DEFINED               5          715     0         723
HARMONIC INC                 COMMON 413160102   $  12,133   1,275,805    SH   DEFINED               1    1,275,805     0         -
HARMONIC INC                 COMMON 413160102   $   9,402     988,695    SH   DEFINED               2      988,695     0         -
HARMONIC INC                 COMMON 413160102   $     373      39,241    SH   DEFINED              23       39,241     0         -
HARMONY GOLD MNG SPON ADR    COMMON 413216300   $   3,675     300,000    SH   DEFINED               1      300,000     0         -
HARRIS & HARRIS GROUP INC    COMMON 413833104   $     179      29,800    SH   DEFINED              14       17,000     0      12,800
HARRIS & HARRIS GROUP INC    COMMON 413833104   $       6       1,000    SH   DEFINED              22          -       0       1,000
HARRIS & HARRIS GROUP INC    COMMON 413833104   $   4,565     760,896    SH   DEFINED              23      760,896     0         -
HARRIS & HARRIS GROUP INC    COMMON 413833104   $      15       2,569    SH   DEFINED              24        2,569     0         -
HARRIS & HARRIS GROUP INC    COMMON 413833104   $      23       3,800    SH   DEFINED            5,15        3,800     0         -
HARRIS CORP                  COMMON 413875105   $   4,189      82,959    SH   DEFINED               1       82,959     0         -
HARRIS CORP                  COMMON 413875105   $     478       9,468    SH   DEFINED            20,2        9,468     0         -
HARRIS CORP                  COMMON 413875105   $       4          80    SH   DEFINED              22          -       0          80
HARRIS CORP                  COMMON 413875105   $   6,583     130,386    SH   DEFINED              23      130,386     0         -
HARRIS CORP                  COMMON 413875105   $       5          95    SH   DEFINED              24           95     0         -
HARRIS CORP                  COMMON 413875105   $     226       4,474    SH   DEFINED               5        4,474     0         -
HARRIS CORP                  COMMON 413875105   $     106       2,096    SH   DEFINED               7        2,096     0         -
HARRIS INTERACTIVE INC       COMMON 414549105   $      29      14,674    SH   DEFINED              23       14,674     0         -
HARRIS STRATEX NETWORKS
-CL A                        COMMON 41457P106   $       2         221    SH   DEFINED              23          221     0         -
HARSCO CORP                  COMMON 415864107   $       5          85    SH   DEFINED              22          -       0          85
HARSCO CORP                  COMMON 415864107   $   5,789     106,399    SH   DEFINED              23      106,399     0         -
HARSCO CORP                  COMMON 415864107   $       4          75    SH   DEFINED              24           75     0         -
HARSCO CORP                  COMMON 415864107   $      44         800    SH   DEFINED               5          660     0         140
HARTE-HANKS INC              COMMON 416196103   $   1,951     170,427    SH   DEFINED               1      170,427     0         -
HARTE-HANKS INC              COMMON 416196103   $   5,147     449,500    SH   DEFINED             1,3      449,500     0         -
HARTE-HANKS INC              COMMON 416196103   $     163      14,240    SH   DEFINED            13,2          -       0      14,240
HARTE-HANKS INC              COMMON 416196103   $     169      14,800    SH   DEFINED            18,3       14,800     0         -
HARTE-HANKS INC              COMMON 416196103   $     110       9,600    SH   DEFINED              22        9,000     0         600
HARTE-HANKS INC              COMMON 416196103   $     859      75,018    SH   DEFINED              23       75,018     0         -
HARTE-HANKS INC              COMMON 416196103   $   1,388     121,200    SH   DEFINED               3      121,200     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $  20,564     318,483    SH   DEFINED               1      318,483     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $     271       4,200    SH   DEFINED           10,14        4,200     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $   5,816      90,080    SH   DEFINED              14       73,880     0      12,400
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $   2,441      37,800    SH   DEFINED            14,7          -       0      37,800
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $      51         789    SH   DEFINED              22          310     0         479
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $   2,522      39,060    SH   DEFINED              23       39,060     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $      68       1,054    SH   DEFINED              24        1,054     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $     156       2,421    SH   DEFINED               5          625     0       1,796
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $     332       5,146    SH   DEFINED               7        5,146     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $     539       8,354    SH   DEFINED               8        8,354     0         -
HARTFORD FINANCIAL SVCS GRP  COMMON 416515104   $   1,937      30,000    SH   DEFINED            8,14       30,000     0         -
HARTMARX CORPORATION         COMMON 417119104   $      65      29,838    SH   DEFINED              23       29,838     0         -
HARVEST ENERGY TRUST-UNITS   COMMON 41752X101   $   2,872     117,700    SH   DEFINED               1      117,700     0         -
HARVEST ENERGY TRUST-UNITS   COMMON 41752X101   $     207       8,500    SH   DEFINED               2        8,500     0         -
HARVEST ENERGY TRUST-UNITS
CEF                          COMMON 41752X101   $      54       2,200    SH   DEFINED              22        2,200     0         -
HARVEST ENERGY TRUST-UNITS   COMMON 41752X101   $  14,436     591,700    SH   DEFINED             3,1      591,700     0         -
HARVEST ENERGY TRUST-UNITS
CEF                          COMMON 41752X101   $      18         750    SH   DEFINED               5          -       0         750
HARVEST NATURAL RESOURCES
INC                          COMMON 41754V103   $     272      24,619    SH   DEFINED              23       24,619     0         -
HASBRO INC                   COMMON 418056107   $   6,040     169,100    SH   DEFINED            1,15      169,100     0         -
HASBRO INC                   COMMON 418056107   $   1,214      34,000    SH   DEFINED           10,14       34,000     0         -
HASBRO INC                   COMMON 418056107   $     263       7,368    SH   DEFINED              11        7,368     0         -
HASBRO INC                   COMMON 418056107   $      54       1,500    SH   DEFINED              13        1,500     0         -
HASBRO INC                   COMMON 418056107   $  79,933   2,237,755    SH   DEFINED              14    1,246,955     0     940,300
HASBRO INC                   COMMON 418056107   $     982      27,500    SH   DEFINED           14,13          -       0      27,500
HASBRO INC                   COMMON 418056107   $   3,104      86,900    SH   DEFINED            14,7          -       0      86,900
HASBRO INC                   COMMON 418056107   $     143       4,000    SH   DEFINED           20,14          -       0         -
HASBRO INC                   COMMON 418056107   $      78       2,181    SH   DEFINED              21        2,181     0         -
HASBRO INC                   COMMON 418056107   $     449      12,572    SH   DEFINED              23       12,572     0         -
HASBRO INC                   COMMON 418056107   $      31         862    SH   DEFINED              24          862     0         -
HASBRO INC                   COMMON 418056107   $      37       1,045    SH   DEFINED               5          -       0       1,045
HASBRO INC                   COMMON 418056107   $   2,193      61,400    SH   DEFINED            5,15       61,400     0         -
HASBRO INC                   COMMON 418056107   $   1,119      31,316    SH   DEFINED               7       31,316     0         -
HASBRO INC                   COMMON 418056107   $   1,773      49,633    SH   DEFINED               8       49,633     0         -
HASBRO INC                   COMMON 418056107   $   5,890     164,900    SH   DEFINED            8,14      164,900     0         -
HASBRO INC                   COMMON 418056107   $     529      14,800    SH   DEFINED            9,14          -       0      14,800
HASBRO INC 2.75 12-01-21     CONVERT418056AN7   $  11,594   7,000,000    SH   DEFINED              14          -       0   5,925,000
HASTINGS ENTERTAINMENT INC   COMMON 418365102   $      43       5,184    SH   DEFINED              23        5,184     0         -
HATTERAS FINANCIAL CORP      COMMON 41902R103   $     448      19,500    SH   DEFINED              14       19,500     0         -
HATTERAS FINANCIAL CORP      COMMON 41902R103   $      51       2,200    SH   DEFINED            5,15        2,200     0         -
HAVERTY FURNITURE            COMMON 419596101   $     296      29,469    SH   DEFINED              23       29,469     0         -
HAWAIIAN ELECTRIC INDS       COMMON 419870100   $   1,346      54,416    SH   DEFINED              23       54,416     0         -
HAWAIIAN ELECTRIC INDS       COMMON 419870100   $       5         221    SH   DEFINED              24          221     0         -
HAWAIIAN HOLDINGS INC        COMMON 419879101   $   4,296     618,100    SH   DEFINED              14      414,000     0     204,100
HAWAIIAN HOLDINGS INC        COMMON 419879101   $     186      26,758    SH   DEFINED              23       26,758     0         -
HAWAIIAN HOLDINGS INC        COMMON 419879101   $     582      83,800    SH   DEFINED            5,15       83,800     0         -
HAWAIIAN HOLDINGS INC        COMMON 419879101   $     299      43,000    SH   DEFINED               8       43,000     0         -
HAWAIIAN HOLDINGS INC        COMMON 419879101   $      81      11,700    SH   DEFINED            8,20       11,700     0         -
HAWK CORP CL A               COMMON 420089104   $     684      36,800    SH   DEFINED              14       23,600     0      13,200
HAWK CORP CL A               COMMON 420089104   $      97       5,200    SH   DEFINED            5,15        5,200     0         -
HAWK CORP CL A               COMMON 420089104   $      67       3,600    SH   DEFINED               8        3,600     0         -
HAWK CORP CL A               COMMON 420089104   $      19       1,000    SH   DEFINED            8,20        1,000     0         -
HAWKINS INC                  COMMON 420261109   $       1          90    SH   DEFINED              23           90     0         -
HAYES LEMMERZ INTERNATIONAL  COMMON 420781304   $     175      61,573    SH   DEFINED              23       61,573     0         -
HAYNES INTERNATIONAL INC     COMMON 420877201   $     104       1,800    SH   DEFINED              22        1,800     0         -
HAYNES INTERNATIONAL INC     COMMON 420877201   $      87       1,512    SH   DEFINED              23        1,512     0         -
HEALTHCARE SERVICES GROUP    COMMON 421906108   $      44       2,923    SH   DEFINED              23        2,923     0         -
HEALTHSOUTH CORP             COMMON 421924309   $       9         560    SH   DEFINED              11          560     0         -
HEALTHSOUTH CORP             COMMON 421924309   $   2,327     139,916    SH   DEFINED              14       66,116     0      73,400
HEALTHSOUTH CORP             COMMON 421924309   $   2,024     121,700    SH   DEFINED              23      121,700     0         -
HEALTHSOUTH CORP             COMMON 421924309   $     257      15,468    SH   DEFINED               5          -       0      15,468
HEALTHSOUTH CORP             COMMON 421924309   $     241      14,500    SH   DEFINED               8       14,500     0         -
HEALTHSOUTH CORP             COMMON 421924309   $      67       4,000    SH   DEFINED            8,20        4,000     0         -
HEALTH MGMT ASSOCIATES INC
CL                           COMMON 421933102   $     473      72,600    SH   DEFINED              14       72,600     0         -
HEALTH MGMT ASSOCIATES INC
CL                           COMMON 421933102   $       1         126    SH   DEFINED              22          -       0         126
HEALTH MGMT ASSOCIATES INC
CL                           COMMON 421933102   $   2,492     382,784    SH   DEFINED              23      382,784     0         -
HEALTH MGMT ASSOCIATES INC
CL                           COMMON 421933102   $       7       1,076    SH   DEFINED              24        1,076     0         -
HEALTH MGMT ASSOCIATES INC
CL                           COMMON 421933102   $      96      14,700    SH   DEFINED            5,15       14,700     0         -
HEALTHCARE REALTY TRUST INC  COMMON 421946104   $   2,503     105,300    SH   DEFINED              14      105,300     0         -
HEALTHCARE REALTY TRUST INC  COMMON 421946104   $      85       3,560    SH   DEFINED              22          -       0       3,560
HEALTHCARE REALTY TRUST INC  COMMON 421946104   $     184       7,721    SH   DEFINED              23        7,721     0         -
HEALTHCARE REALTY TRUST INC  COMMON 421946104   $       3         141    SH   DEFINED              24          141     0         -
HEADWATERS INC               COMMON 42210P102   $      78       6,600    SH   DEFINED              14        6,600     0         -
HEADWATERS INC               COMMON 42210P102   $   7,744     657,954    SH   DEFINED              23      657,954     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $  39,568     889,173    SH   DEFINED            1,15      889,173     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $ 134,397   3,020,154    SH   DEFINED              14    1,804,454     0   1,045,800
HEALTH CARE REIT INC         COMMON 42217K106   $   2,225      50,000    SH   DEFINED           18,14       50,000     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $     654      14,700    SH   DEFINED           19,14       14,700     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $   4,770     107,200    SH   DEFINED            2,15      107,200     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $      36         806    SH   DEFINED              22          -       0         806
HEALTH CARE REIT INC         COMMON 42217K106   $     286       6,425    SH   DEFINED              23        6,425     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $       5         118    SH   DEFINED              24          118     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $     676      15,200    SH   DEFINED            3,15        7,600     0       7,600
HEALTH CARE REIT INC         COMMON 42217K106   $  10,881     244,520    SH   DEFINED            5,15      244,520     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $     102       2,300    SH   DEFINED            6,14        2,300     0         -
HEALTH CARE REIT INC         COMMON 42217K106   $   1,927      43,300    SH   DEFINED            8,14          -       0      43,300
HEALTH GRADES INC            COMMON 42218Q102   $       1         132    SH   DEFINED              23          132     0         -
HEALTHEXTRAS INC             COMMON 422211102   $       3         100    SH   DEFINED              22          -       0         100
HEALTHEXTRAS INC             COMMON 422211102   $     313      10,400    SH   DEFINED              23       10,400     0         -
HEALTH NET INC               COMMON 42222G108   $   9,348     388,531    SH   DEFINED               1      388,531     0         -
HEALTH NET INC               COMMON 42222G108   $      53       2,200    SH   DEFINED              17        2,200     0         -
HEALTH NET INC               COMMON 42222G108   $     890      36,981    SH   DEFINED               2       36,981     0         -
HEALTH NET INC               COMMON 42222G108   $   1,245      51,763    SH   DEFINED            20,2          -       0      51,763
HEALTH NET INC               COMMON 42222G108   $     329      13,679    SH   DEFINED              23       13,679     0         -
HEALTH NET INC               COMMON 42222G108   $       6         253    SH   DEFINED              24          253     0         -
HEALTH NET INC               COMMON 42222G108   $      61       2,536    SH   DEFINED               7        2,536     0         -
HEALTHTRONICS INC            COMMON 42222L107   $      51      15,724    SH   DEFINED              23       15,724     0         -
HEALTHWAYS INC               COMMON 422245100   $   2,935      99,143    SH   DEFINED              22       92,618     0       6,525
HEALTHWAYS INC               COMMON 422245100   $      77       2,614    SH   DEFINED              23        2,614     0         -
HEALTHWAYS INC               COMMON 422245100   $   1,815      61,304    SH   DEFINED               5       43,797     0      17,507
HEALTHSPRING, INC            COMMON 42224N101   $   2,575     152,552    SH   DEFINED              23      152,552     0         -
HEARST CL ARGYLE TELEVISION
IN                           COMMON 422317107   $       1          72    SH   DEFINED              22          -       0          72
HEARST CL ARGYLE TELEVISION
IN                           COMMON 422317107   $      41       2,116    SH   DEFINED              23        2,116     0         -
HEARST CL ARGYLE TELEVISION
IN                           COMMON 422317107   $       1          41    SH   DEFINED              24           41     0         -
HEARST CL ARGYLE TELEVISION
IN                           COMMON 422317107   $      18         952    SH   DEFINED               5          -       0         952
HEARTLAND EXPRESS INC        COMMON 422347104   $  15,725   1,054,660    SH   DEFINED               1    1,054,660     0         -
HEARTLAND EXPRESS INC        COMMON 422347104   $   4,073     273,200    SH   DEFINED              14      110,500     0     159,600
HEARTLAND EXPRESS INC        COMMON 422347104   $     288      19,283    SH   DEFINED               2       19,283     0         -
HEARTLAND EXPRESS INC        COMMON 422347104   $     298      20,005    SH   DEFINED              23       20,005     0         -
HEARTLAND FINANCIAL USA INC  COMMON 42234Q102   $      55       3,006    SH   DEFINED              23        3,006     0         -
HEARTLAND PAYMENT SYSTEMS
INC.                         COMMON 42235N108   $      27       1,162    SH   DEFINED              23        1,162     0         -
HEARTLAND PAYMENT SYSTEMS
INC.                         COMMON 42235N108   $      40       1,677    SH   DEFINED               5        1,677     0         -
HEARUSA INC                  COMMON 422360305   $     344     201,000    SH   DEFINED              22      201,000     0         -
HECLA MINING CO              COMMON 422704106   $   4,630     500,000    SH   DEFINED               1      500,000     0         -
HECLA MINING CO              COMMON 422704106   $   7,055     761,900    SH   DEFINED              14      519,800     0     242,100
HECLA MINING CO              COMMON 422704106   $      78       8,400    SH   DEFINED              22          -       0       8,400
HECLA MINING CO              COMMON 422704106   $      34       3,651    SH   DEFINED              23        3,651     0         -
HECLA MINING CO              COMMON 422704106   $     115      12,435    SH   DEFINED               5        3,185     0       9,250
HECLA MINING CO              COMMON 422704106   $   1,013     109,400    SH   DEFINED            5,15      109,400     0         -
HECLA MINING CO              COMMON 422704106   $     419      45,200    SH   DEFINED               8       45,200     0         -
HECLA MINING CO              COMMON 422704106   $     114      12,300    SH   DEFINED            8,20       12,300     0         -
HEELYS INC                   COMMON 42279M107   $     192      47,200    SH   DEFINED              14       47,200     0         -
HEELYS INC                   COMMON 42279M107       $ -            71    SH   DEFINED              23           71     0         -
HEELYS INC                   COMMON 42279M107   $      42      10,300    SH   DEFINED            5,15       10,300     0         -
HEICO CORP                   COMMON 422806109   $      11         334    SH   DEFINED              23          334     0         -
HEICO CORP CL A              COMMON 422806208   $      22         840    SH   DEFINED              23          840     0         -
HEIDRICK & STRUGGLES INTL    COMMON 422819102   $   2,548      92,200    SH   DEFINED              14       58,100     0      34,100
HEIDRICK & STRUGGLES INTL    COMMON 422819102   $      53       1,902    SH   DEFINED              23        1,902     0         -
HEIDRICK & STRUGGLES INTL    COMMON 422819102   $     415      15,000    SH   DEFINED            5,15       15,000     0         -
HEINZ (H.J.) CO              COMMON 423074103   $     321       6,700    SH   DEFINED           10,14        6,700     0         -
HEINZ (H.J.) CO              COMMON 423074103   $   4,649      97,150    SH   DEFINED              14       70,050     0      24,100
HEINZ (H.J.) CO              COMMON 423074103   $   1,531      32,000    SH   DEFINED            14,7          -       0      32,000
HEINZ (H.J.) CO              COMMON 423074103   $       7         140    SH   DEFINED              21          140     0         -
HEINZ (H.J.) CO              COMMON 423074103   $   1,984      41,470    SH   DEFINED              22       32,159     0       9,311
HEINZ (H.J.) CO              COMMON 423074103   $   5,395     112,741    SH   DEFINED              23      112,741     0         -
HEINZ (H.J.) CO              COMMON 423074103   $      23         480    SH   DEFINED              24          480     0         -
HEINZ (H.J.) CO              COMMON 423074103   $   1,407      29,412    SH   DEFINED               5       10,528     0      18,884
HEINZ (H.J.) CO              COMMON 423074103   $     306       6,404    SH   DEFINED               7        6,404     0         -
HEINZ (H.J.) CO              COMMON 423074103   $     481      10,042    SH   DEFINED               8       10,042     0         -
HEINZ (H.J.) CO              COMMON 423074103   $   2,436      50,900    SH   DEFINED            8,14       50,900     0         -
HELICOS BIOSCIENCES CORP     COMMON 42326R109       $ -            55    SH   DEFINED              23           55     0         -
HELIX ENERGY SOLUTIONS GROUP COMMON 42330P107   $  82,239   1,975,000    SH   DEFINED               1    1,975,000     0         -
HELIX ENERGY SOLUTIONS GROUP COMMON 42330P107   $  13,158     316,000    SH   DEFINED            13,2          -       0     316,000
HELIX ENERGY SOLUTIONS GROUP COMMON 42330P107   $      14         326    SH   DEFINED              22          -       0         326
HELIX ENERGY SOLUTIONS GROUP COMMON 42330P107   $     240       5,766    SH   DEFINED              23        5,766     0         -
HELIX ENERGY SOLUTIONS GROUP COMMON 42330P107   $       3          84    SH   DEFINED              24           84     0         -
HELMERICH & PAYNE            COMMON 423452101   $  16,658     231,300    SH   DEFINED               1      231,300     0         -
HELMERICH & PAYNE            COMMON 423452101   $   2,445      33,954    SH   DEFINED               2        4,954     0      29,000
HELMERICH & PAYNE            COMMON 423452101   $     158       2,200    SH   DEFINED              22          -       0       2,200
HELMERICH & PAYNE            COMMON 423452101   $  14,194     197,085    SH   DEFINED              23      197,085     0         -
HELMERICH & PAYNE            COMMON 423452101   $       5          75    SH   DEFINED              24           75     0         -
HELMERICH & PAYNE            COMMON 423452101   $     670       9,300    SH   DEFINED               5          -       0       9,300
HELMERICH & PAYNE            COMMON 423452101   $     119       1,648    SH   DEFINED               7        1,648     0         -
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $   6,439     297,550    SH   DEFINED              14      204,050     0      93,500
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $  10,618     490,688    SH   DEFINED              22       22,696     0     467,992
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $   1,041      48,097    SH   DEFINED              23       48,097     0         -
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $     342      15,822    SH   DEFINED               5       15,822     0         -
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $     835      38,600    SH   DEFINED            5,15       38,600     0         -
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $     450      20,800    SH   DEFINED               8       20,800     0         -
HENRY (JACK) & ASSOCIATES    COMMON 426281101   $     123       5,700    SH   DEFINED            8,20        5,700     0         -
HERITAGE COMMERCE CORP       COMMON 426927109   $       1         112    SH   DEFINED              23          112     0         -
HERCULES INC                 COMMON 427056106   $     247      14,600    SH   DEFINED              14          -       0      14,600
HERCULES INC                 COMMON 427056106   $     731      43,179    SH   DEFINED              23       43,179     0         -
HERCULES INC                 COMMON 427056106   $       3         148    SH   DEFINED              24          148     0         -
HERCULES INC                 COMMON 427056106   $      23       1,380    SH   DEFINED               5        1,380     0         -
HERCULES OFFSHORE INC        COMMON 427093109   $ 105,672   2,779,378    SH   DEFINED               1    2,779,378     0         -
HERCULES OFFSHORE INC        COMMON 427093109   $  10,303     271,000    SH   DEFINED            13,2          -       0     271,000
HERCULES OFFSHORE INC        COMMON 427093109   $   3,475      91,407    SH   DEFINED               2       10,944     0      80,463
HERCULES OFFSHORE INC        COMMON 427093109   $      10         251    SH   DEFINED              22          -       0         251
HERCULES OFFSHORE INC        COMMON 427093109   $     158       4,151    SH   DEFINED              23        4,151     0         -
HERCULES OFFSHORE INC        COMMON 427093109   $      34         907    SH   DEFINED               5          -       0         907
HERCULES TECHNOLOGY GROWTH   COMMON 427096508   $   1,942     217,453    SH   DEFINED              23      217,453     0         -
HERCULES TECHNOLOGY GROWTH   COMMON 427096508   $      14       1,580    SH   DEFINED              24        1,580     0         -
HERLEY INDUSTRIES INC        COMMON 427398102   $     330      24,858    SH   DEFINED              23       24,858     0         -
HERSHA HOSPITALITY TRUST     COMMON 427825104   $     528      69,900    SH   DEFINED              14       36,500     0      33,400
HERSHA HOSPITALITY TRUST     COMMON 427825104   $     228      30,224    SH   DEFINED              23       30,224     0         -
HERSHA HOSPITALITY TRUST     COMMON 427825104   $      19       2,500    SH   DEFINED            6,14        2,500     0         -
HERSHEY CO/THE               COMMON 427866108   $     102       3,100    SH   DEFINED              22        1,850     0       1,250
HERSHEY CO/THE               COMMON 427866108   $     552      16,846    SH   DEFINED              23       16,846     0         -
HERSHEY CO/THE               COMMON 427866108   $      10         300    SH   DEFINED              24          300     0         -
HERSHEY CO/THE               COMMON 427866108   $       2          65    SH   DEFINED               4           65     0         -
HERSHEY CO/THE               COMMON 427866108   $     345      10,536    SH   DEFINED               5       10,350     0         186
HERSHEY CO/THE               COMMON 427866108   $     127       3,870    SH   DEFINED               7        3,870     0         -
HERTZ GLOBAL HOLDINGS INC    COMMON 42805T105   $      44       4,610    SH   DEFINED              14        3,810     0         800
HERTZ GLOBAL HOLDINGS INC    COMMON 42805T105   $       7         684    SH   DEFINED              22          -       0         684
HERTZ GLOBAL HOLDINGS INC    COMMON 42805T105   $     749      77,976    SH   DEFINED              23       77,976     0         -
HERTZ GLOBAL HOLDINGS INC    COMMON 42805T105   $      40       4,153    SH   DEFINED              24        4,153     0         -
HESS CORP                    COMMON 42809H107   $ 101,583     805,000    SH   DEFINED               1      805,000     0         -
HESS CORP                    COMMON 42809H107   $  17,162     136,000    SH   DEFINED            13,2          -       0     136,000
HESS CORP                    COMMON 42809H107   $   1,577      12,500    SH   DEFINED              14        6,200     0       5,400
HESS CORP                    COMMON 42809H107   $     745       5,900    SH   DEFINED            14,7          -       0       5,900
HESS CORP                    COMMON 42809H107   $   1,688      13,373    SH   DEFINED              22       12,425     0         948
HESS CORP                    COMMON 42809H107   $  58,177     461,027    SH   DEFINED              23      461,027     0         -
HESS CORP                    COMMON 42809H107   $   2,350      18,624    SH   DEFINED              24       18,624     0         -
HESS CORP                    COMMON 42809H107   $   1,976      15,662    SH   DEFINED               5        2,743     0      12,919
HESS CORP                    COMMON 42809H107   $     544       4,307    SH   DEFINED               7        4,307     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $   1,721      44,900    SH   DEFINED               1       44,900     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $   2,043      53,300    SH   DEFINED            1,15       53,300     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $  13,431     350,400    SH   DEFINED             1,3      350,400     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $     131       3,407    SH   DEFINED              11        3,407     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $  27,050     705,717    SH   DEFINED              14      422,317     0     271,300
HEWITT ASSOCIATES INC        COMMON 42822Q100   $   2,499      65,200    SH   DEFINED            14,7          -       0      65,200
HEWITT ASSOCIATES INC        COMMON 42822Q100   $     395      10,300    SH   DEFINED            18,3       10,300     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $     510      13,313    SH   DEFINED              21       13,313     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $   6,252     163,101    SH   DEFINED              23      163,101     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $     212       5,538    SH   DEFINED              24        5,538     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $   3,737      97,500    SH   DEFINED               3       97,500     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $     391      10,193    SH   DEFINED               7       10,193     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $   9,661     252,049    SH   DEFINED               8      252,049     0         -
HEWITT ASSOCIATES INC        COMMON 42822Q100   $     358       9,334    SH   DEFINED               9        9,334     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $ 132,033   2,986,492    SH   DEFINED               1    2,986,492     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   9,289     210,100    SH   DEFINED            1,15      210,100     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $     332       7,500    SH   DEFINED           10,14        7,500     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $     567      12,819    SH   DEFINED            10,7       12,819     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $  22,529     509,595    SH   DEFINED              11      128,595     0     381,000
HEWLETT-PACKARD CO           COMMON 428236103   $     573      12,953    SH   DEFINED              13       12,953     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $  32,468     734,415    SH   DEFINED              14      577,415     0     137,000
HEWLETT-PACKARD CO           COMMON 428236103   $   5,566     125,900    SH   DEFINED            14,7          -       0     125,900
HEWLETT-PACKARD CO           COMMON 428236103   $   2,268      51,300    SH   DEFINED              17       51,300     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $       9         195    SH   DEFINED           18,11          195     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $     522      11,800    SH   DEFINED           18,14          -       0      11,800
HEWLETT-PACKARD CO           COMMON 428236103   $     259       5,849    SH   DEFINED              19        5,849     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $     861      19,475    SH   DEFINED           19,14       11,200     0       8,275
HEWLETT-PACKARD CO           COMMON 428236103   $  32,027     724,435    SH   DEFINED               2      724,435     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $     579      13,100    SH   DEFINED           20,14          -       0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   3,321      75,120    SH   DEFINED            20,2       75,120     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   4,399      99,495    SH   DEFINED              21       99,495     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $  83,196   1,881,843    SH   DEFINED              22      795,168     0   1,086,674
HEWLETT-PACKARD CO           COMMON 428236103   $  25,826     584,166    SH   DEFINED              23      584,166     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   1,131      25,574    SH   DEFINED              24       25,574     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   8,836     199,871    SH   DEFINED               3      199,871     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   1,126      25,475    SH   DEFINED               4       25,475     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $  25,222     570,514    SH   DEFINED               5      423,460     0     147,054
HEWLETT-PACKARD CO           COMMON 428236103   $   1,105      25,000    SH   DEFINED               6       25,000     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   7,783     176,043    SH   DEFINED               7      176,043     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $  22,672     512,826    SH   DEFINED               8      512,826     0         -
HEWLETT-PACKARD CO           COMMON 428236103   $   5,993     135,550    SH   DEFINED            8,14       98,800     0      36,750
HEWLETT-PACKARD CO           COMMON 428236103   $   2,739      61,950    SH   DEFINED               9       61,950     0         -
HEXCEL CORP                  COMMON 428291108   $  10,350     536,262    SH   DEFINED               1      536,262     0         -
HEXCEL CORP                  COMMON 428291108   $   8,269     428,434    SH   DEFINED               2      428,434     0         -
HEXCEL CORP                  COMMON 428291108   $   4,440     230,056    SH   DEFINED              23      230,056     0         -
HHGREGG INC                  COMMON 42833L108   $   3,406     340,639    SH   DEFINED               1      340,639     0         -
HHGREGG INC                  COMMON 42833L108   $     291      29,081    SH   DEFINED            13,2          -       0      29,081
HHGREGG INC                  COMMON 42833L108   $      21       2,076    SH   DEFINED              23        2,076     0         -
HI-TECH PHARMACAL CO INC     COMMON 42840B101   $       1          74    SH   DEFINED              23           74     0         -
HIBBETT SPORTS INC           COMMON 428567101   $      74       3,512    SH   DEFINED              23        3,512     0         -
HIBBETT SPORTS INC           COMMON 428567101   $      62       2,950    SH   DEFINED               5          -       0       2,950
HIGHWOODS PROPERTIES INC
REIT                         COMMON 431284108   $  12,456     396,420    SH   DEFINED              14      202,920     0     191,100
HIGHWOODS PROPERTIES INC
REIT                         COMMON 431284108   $     170       5,400    SH   DEFINED            14,7          -       0       5,400
HIGHWOODS PROPERTIES INC
REIT                         COMMON 431284108   $     191       6,090    SH   DEFINED              23        6,090     0         -
HIGHWOODS PROPERTIES INC
REIT                         COMMON 431284108   $       4         112    SH   DEFINED              24          112     0         -
HIGHWOODS PROPERTIES INC
REIT                         COMMON 431284108   $     142       4,530    SH   DEFINED               5        1,130     0       3,400
HIGHWOODS PROPERTIES INC
REIT                         COMMON 431284108   $     399      12,700    SH   DEFINED            5,15       12,700     0         -
HILB ROGAL & HOBBS CO        COMMON 431294107   $     225       5,187    SH   DEFINED              23        5,187     0         -
HILL INTERNATIONAL INC       COMMON 431466101   $      32       2,000    SH   DEFINED              22          -       0       2,000
HILL INTERNATIONAL INC       COMMON 431466101   $     177      10,970    SH   DEFINED              23       10,970     0         -
HILL-ROM HOLDINGS INC        COMMON 431475102   $   3,739     138,578    SH   DEFINED              23      138,578     0         -
HILL-ROM HOLDINGS INC        COMMON 431475102   $       3         100    SH   DEFINED              24          100     0         -
HILL-ROM HOLDINGS INC        COMMON 431475102   $       3         105    SH   DEFINED               5          -       0         105
HILLENBRAND INC              COMMON 431571108   $   1,664      77,764    SH   DEFINED               1       77,764     0         -
HILLENBRAND INC              COMMON 431571108   $     111       5,192    SH   DEFINED              23        5,192     0         -
HILLENBRAND INC              COMMON 431571108   $       2          84    SH   DEFINED              24           84     0         -
HILLENBRAND INC              COMMON 431571108   $       2         105    SH   DEFINED               5          -       0         105
HILLTOP HOLDINGS INC         COMMON 432748101   $     321      31,100    SH   DEFINED              14       31,100     0         -
HILLTOP HOLDINGS INC         COMMON 432748101   $     267      25,901    SH   DEFINED              23       25,901     0         -
HILLTOP HOLDINGS INC         COMMON 432748101   $      62       6,000    SH   DEFINED            5,15        6,000     0         -
HIMAX TECHNOLOGIES INC - ADR COMMON 43289P106   $       4         794    SH   DEFINED              23          794     0         -
HITACHI LTD ADR              COMMON 433578507   $      71         985    SH   DEFINED              22          -       0         985
HITACHI LTD ADR              COMMON 433578507   $       3          35    SH   DEFINED               4           35     0         -
HITTITE MICROWAVE CORP       COMMON 43365Y104   $   9,939     279,031    SH   DEFINED               1      279,031     0         -
HITTITE MICROWAVE CORP       COMMON 43365Y104   $   8,564     240,414    SH   DEFINED               2      240,414     0         -
HITTITE MICROWAVE CORP       COMMON 43365Y104   $   4,192     117,693    SH   DEFINED              23      117,693     0         -
HOLLY CORP                   COMMON 435758305   $       4         110    SH   DEFINED              21          110     0         -
HOLLY CORP                   COMMON 435758305   $      58       1,568    SH   DEFINED              22        1,568     0         -
HOLLY CORP                   COMMON 435758305   $     175       4,737    SH   DEFINED              23        4,737     0         -
HOLLIS-EDEN PHARMACEUTICALS  COMMON 435902101   $       19      12,500   SH   DEFINED                5          -      0      12,500
HOLOGIC INC                  COMMON 436440101   $   63,785   2,925,911   SH   DEFINED                1    2,925,911    0         -
HOLOGIC INC                  COMMON 436440101   $       63       2,900   SH   DEFINED               17        2,900    0         -
HOLOGIC INC                  COMMON 436440101   $    4,550     208,696   SH   DEFINED                2       93,510    0     115,186
HOLOGIC INC                  COMMON 436440101   $    2,417     110,882   SH   DEFINED             20,2          -      0     110,882
HOLOGIC INC                  COMMON 436440101   $   23,231   1,065,620   SH   DEFINED               22      285,745    0     779,875
HOLOGIC INC                  COMMON 436440101   $      111       5,070   SH   DEFINED               23        5,070    0         -
HOLOGIC INC                  COMMON 436440101   $    1,612      73,965   SH   DEFINED               24       73,965    0         -
HOLOGIC INC                  COMMON 436440101   $    2,727     125,100   SH   DEFINED                3      125,100    0         -
HOLOGIC INC                  COMMON 436440101   $   10,415     477,754   SH   DEFINED                5      386,354    0      91,400
HOLOGIC INC                  COMMON 436440101   $      107       4,920   SH   DEFINED                7        4,920    0         -
HOME BANCSHARES INC          COMMON 436893200   $    1,412      62,800   SH   DEFINED               14       44,500    0      18,300
HOME BANCSHARES INC          COMMON 436893200   $      244      10,835   SH   DEFINED               23       10,835    0         -
HOME BANCSHARES INC          COMMON 436893200   $      220       9,800   SH   DEFINED             5,15        9,800    0         -
HOME BANCSHARES INC          COMMON 436893200   $       90       4,000   SH   DEFINED                8        4,000    0         -
HOME BANCSHARES INC          COMMON 436893200   $       25       1,100   SH   DEFINED             8,20        1,100    0         -
HOME DEPOT INC               COMMON 437076102   $  133,783   5,712,323   SH   DEFINED                1    5,712,323    0         -
HOME DEPOT INC               COMMON 437076102   $   15,397     657,444   SH   DEFINED               11      151,944    0     505,500
HOME DEPOT INC               COMMON 437076102   $      538      22,990   SH   DEFINED             13,2          -      0      22,990
HOME DEPOT INC               COMMON 437076102   $    8,977     383,310   SH   DEFINED               14      283,810    0      90,300
HOME DEPOT INC               COMMON 437076102   $      728      31,100   SH   DEFINED             14,7          -      0      31,100
HOME DEPOT INC               COMMON 437076102   $       20         860   SH   DEFINED            18,11          860    0         -
HOME DEPOT INC               COMMON 437076102   $      340      14,500   SH   DEFINED            18,14          -      0      14,500
HOME DEPOT INC               COMMON 437076102   $    1,954      83,450   SH   DEFINED            19,14       47,950    0      35,500
HOME DEPOT INC               COMMON 437076102   $        7         317   SH   DEFINED               21          317    0         -
HOME DEPOT INC               COMMON 437076102   $   37,771   1,612,767   SH   DEFINED               22       84,650    0   1,528,117
HOME DEPOT INC               COMMON 437076102   $    6,824     291,360   SH   DEFINED               23      291,360    0         -
HOME DEPOT INC               COMMON 437076102   $       97       4,124   SH   DEFINED               24        4,124    0         -
HOME DEPOT INC               COMMON 437076102   $    5,932     253,269   SH   DEFINED                4      253,269    0         -
HOME DEPOT INC               COMMON 437076102   $  258,353  11,031,316   SH   DEFINED                5      256,910    0  10,774,407
HOME DEPOT INC               COMMON 437076102   $      853      36,407   SH   DEFINED                7       36,407    0         -
HOME DEPOT INC               COMMON 437076102   $   15,483     661,087   SH   DEFINED                8      661,087    0         -
HOME DEPOT INC               COMMON 437076102   $    1,070      45,689   SH   DEFINED             8,14          -      0      45,689
HOME DIAGNOSTICS INC         COMMON 437080104   $        1          63   SH   DEFINED               23           63    0         -
HOME FEDERAL BANCORP INC/MD  COMMON 43710G105   $        1          75   SH   DEFINED               23           75    0         -
HOME INNS & HOTELS
MANAG-ADR                    COMMON 43713W107   $    1,591      83,682   SH   DEFINED               23       83,682    0         -
HOME PROPERTIES INC          COMMON 437306103   $    1,437      29,900   SH   DEFINED               14       24,600    0       5,300
HOME PROPERTIES INC          COMMON 437306103   $      164       3,402   SH   DEFINED               23        3,402    0         -
HOME PROPERTIES INC          COMMON 437306103   $        3          54   SH   DEFINED               24           54    0         -
HOME PROPERTIES INC          COMMON 437306103   $      173       3,595   SH   DEFINED                5          895    0       2,700
HONDA MOTOR CO LTD ADR       COMMON 438128308   $    4,338     127,489   SH   DEFINED               23      127,489    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $  129,578   2,577,122   SH   DEFINED                1    2,577,122    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $    2,635      52,400   SH   DEFINED             1,15       52,400    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      357       7,100   SH   DEFINED            10,14        7,100    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      140       2,792   SH   DEFINED             10,7        2,792    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      116       2,302   SH   DEFINED               13        2,302    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $   24,840     494,039   SH   DEFINED               14      339,789    0     136,550
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $    4,907      97,600   SH   DEFINED             14,7          -      0      97,600
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      283       5,625   SH   DEFINED               19        5,625    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $   19,368     385,196   SH   DEFINED                2      385,196    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $       50       1,000   SH   DEFINED            20,14          -      0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $    2,668      53,063   SH   DEFINED               22        3,413    0      49,650
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $   20,062     399,010   SH   DEFINED               23      399,010    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $       43         850   SH   DEFINED               24          850    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      274       5,443   SH   DEFINED                4        5,443    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $    3,311      65,854   SH   DEFINED                5       36,222    0      29,632
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $    2,312      45,990   SH   DEFINED                7       45,990    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $   15,177     301,842   SH   DEFINED                8      301,842    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $    3,052      60,700   SH   DEFINED             8,14       60,700    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      297       5,898   SH   DEFINED              8,2        5,898    0         -
HONEYWELL INTERNATIONAL INC  COMMON 438516106   $      547      10,876   SH   DEFINED                9       10,876    0         -
HOOKER FURNITURE CORP        COMMON 439038100   $    1,048      60,500   SH   DEFINED               14       44,400    0      16,100
HOOKER FURNITURE CORP        COMMON 439038100   $      217      12,520   SH   DEFINED               23       12,520    0         -
HOOKER FURNITURE CORP        COMMON 439038100   $      140       8,100   SH   DEFINED             5,15        8,100    0         -
HOOKER FURNITURE CORP        COMMON 439038100   $      159       9,200   SH   DEFINED                8        9,200    0         -
HOOKER FURNITURE CORP        COMMON 439038100   $       43       2,500   SH   DEFINED             8,20        2,500    0         -
HORACE MANN EDUCATORS        COMMON 440327104   $    1,149      81,933   SH   DEFINED               23       81,933    0         -
HORACE MANN EDUCATORS        COMMON 440327104   $      111       7,890   SH   DEFINED                5        1,815    0       6,075
HORIZON FINANCIAL CORP       COMMON 44041F105   $      396      63,500   SH   DEFINED               14       45,600    0      17,900
HORIZON FINANCIAL CORP       COMMON 44041F105   $        2         245   SH   DEFINED               23          245    0         -
HORIZON FINANCIAL CORP       COMMON 44041F105   $       73      11,700   SH   DEFINED             5,15       11,700    0         -
HORIZON LINES INC-CL A       COMMON 44044K101   $       33       3,331   SH   DEFINED               23        3,331    0         -
HORMEL FOODS CORP            COMMON 440452100   $       13         370   SH   DEFINED               22          -      0         370
HORMEL FOODS CORP            COMMON 440452100   $    2,661      76,871   SH   DEFINED               23       76,871    0         -
HORMEL FOODS CORP            COMMON 440452100   $        4         116   SH   DEFINED               24          116    0         -
HORMEL FOODS CORP            COMMON 440452100   $       42       1,209   SH   DEFINED                5          930    0         279
HORNBECK OFFSHORE SERVICES   COMMON 440543106   $      150       2,662   SH   DEFINED               23        2,662    0         -
HORSEHEAD HOLDING CORP       COMMON 440694305   $      590      48,524   SH   DEFINED               23       48,524    0         -
HORSEHEAD HOLDING CORP       COMMON 440694305   $        5         410   SH   DEFINED                5          410    0         -
HOSPIRA INC                  COMMON 441060100   $   44,623   1,112,509   SH   DEFINED                1    1,112,509    0         -
HOSPIRA INC                  COMMON 441060100   $      347       8,645   SH   DEFINED               14        8,645    0         -
HOSPIRA INC                  COMMON 441060100   $      156       3,900   SH   DEFINED               17        3,900    0         -
HOSPIRA INC                  COMMON 441060100   $    1,318      32,872   SH   DEFINED                2       32,872    0         -
HOSPIRA INC                  COMMON 441060100   $    1,846      46,011   SH   DEFINED             20,2          -      0      46,011
HOSPIRA INC                  COMMON 441060100   $    1,242      30,974   SH   DEFINED               22          507    0      30,467
HOSPIRA INC                  COMMON 441060100   $      290       7,242   SH   DEFINED               23        7,242    0         -
HOSPIRA INC                  COMMON 441060100   $        5         119   SH   DEFINED               24          119    0         -
HOSPIRA INC                  COMMON 441060100        $ -             1   SH   DEFINED                3            1    0         -
HOSPIRA INC                  COMMON 441060100   $   11,388     283,930   SH   DEFINED                4      283,930    0         -
HOSPIRA INC                  COMMON 441060100   $      204       5,076   SH   DEFINED                5        4,450    0         626
HOSPIRA INC                  COMMON 441060100   $      104       2,590   SH   DEFINED                7        2,590    0         -
HOSPITALITY PROPERTIES TRUST COMMON 44106M102   $      157       6,400   SH   DEFINED             1,15        6,400    0         -
HOSPITALITY PROPERTIES TRUST COMMON 44106M102   $    7,059     288,595   SH   DEFINED               14      213,695    0      72,800
HOSPITALITY PROPERTIES TRUST COMMON 44106M102   $      475      19,400   SH   DEFINED             14,7          -      0      19,400
HOSPITALITY PROPERTIES TRUST COMMON 44106M102   $      223       9,112   SH   DEFINED               23        9,112    0         -
HOSPITALITY PROPERTIES TRUST COMMON 44106M102   $        4         166   SH   DEFINED               24          166    0         -
HOSPITALITY PROPERTIES TRUST COMMON 44106M102   $       20         800   SH   DEFINED             6,14          800    0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $   54,491   3,992,032   SH   DEFINED             1,15    3,992,032    0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $  152,823  11,195,801   SH   DEFINED               14    6,845,292    0   3,695,021
HOST HOTELS & RESORTS INC    COMMON 44107P104   $    2,746     201,191   SH   DEFINED            18,14      201,191    0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $     831      60,900    SH   DEFINED           19,14       60,900     0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $   7,391     541,465    SH   DEFINED            2,15      541,465     0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $      13         925    SH   DEFINED              22          -       0         925
HOST HOTELS & RESORTS INC    COMMON 44107P104   $     421      30,840    SH   DEFINED              23       30,840     0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $       8         620    SH   DEFINED              24          620     0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $     953      69,800    SH   DEFINED            3,15       31,400     0      38,400
HOST HOTELS & RESORTS INC    COMMON 44107P104   $  11,799     864,419    SH   DEFINED            5,15      864,419     0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $     112       8,200    SH   DEFINED            6,14        8,200     0         -
HOST HOTELS & RESORTS INC    COMMON 44107P104   $   2,443     178,959    SH   DEFINED            8,14          -       0     178,959
HOT TOPIC INC                COMMON 441339108   $   6,784   1,253,973    SH   DEFINED               1    1,253,973     0         -
HOT TOPIC INC                COMMON 441339108   $   4,839     894,495    SH   DEFINED               2      894,495     0         -
HOT TOPIC INC                COMMON 441339108   $     107      19,764    SH   DEFINED              23       19,764     0         -
HOT TOPIC INC                COMMON 441339108   $     130      24,065    SH   DEFINED               5        6,040     0      18,025
HOUSTON WIRE & CABLE CO      COMMON 44244K109   $       1          60    SH   DEFINED              22          -       0          60
HOUSTON WIRE & CABLE CO      COMMON 44244K109   $      14         698    SH   DEFINED              23          698     0         -
HOVNANIAN ENTERPRISES-A      COMMON 442487203       $ -            80    SH   DEFINED              22          -       0          80
HOVNANIAN ENTERPRISES-A      COMMON 442487203   $     213      38,917    SH   DEFINED              23       38,917     0         -
HOVNANIAN ENTERPRISES-A      COMMON 442487203   $       4         755    SH   DEFINED              24          755     0         -
HOVNANIAN ENTERPRISES-A      COMMON 442487203   $      94      17,070    SH   DEFINED               5        1,000     0      16,070
HUANENG POWER INTL ADR       COMMON 443304100   $  27,746   1,003,456    SH   DEFINED              23    1,003,456     0         -
HUB GROUP INC CL A           COMMON 443320106   $  13,784     403,882    SH   DEFINED               1      403,882     0         -
HUB GROUP INC CL A           COMMON 443320106   $  11,418     334,552    SH   DEFINED               2      334,552     0         -
HUB GROUP INC CL A           COMMON 443320106   $   4,096     120,018    SH   DEFINED              23      120,018     0         -
HUB GROUP INC CL A           COMMON 443320106   $     203       5,959    SH   DEFINED              24        5,959     0         -
HUB GROUP INC CL A           COMMON 443320106   $     143       4,200    SH   DEFINED               5        1,150     0       3,050
HUBBELL INC  CL B            COMMON 443510201   $     271       6,790    SH   DEFINED              14        6,590     0         200
HUBBELL INC  CL B            COMMON 443510201   $     518      12,994    SH   DEFINED              22          -       0      12,994
HUBBELL INC  CL B            COMMON 443510201   $     185       4,643    SH   DEFINED              23        4,643     0         -
HUBBELL INC  CL B            COMMON 443510201   $       3          85    SH   DEFINED              24           85     0         -
HUBBELL INC  CL B            COMMON 443510201   $     690      17,296    SH   DEFINED               5        1,050     0      16,246
HUDSON CITY BANCORP INC      COMMON 443683107   $  24,065   1,442,763    SH   DEFINED               1    1,442,763     0         -
HUDSON CITY BANCORP INC      COMMON 443683107   $   8,942     536,077    SH   DEFINED              23      536,077     0         -
HUDSON CITY BANCORP INC      COMMON 443683107   $       7         447    SH   DEFINED              24          447     0         -
HUDSON CITY BANCORP INC      COMMON 443683107   $     406      24,366    SH   DEFINED               5          -       0      24,366
HUDSON CITY BANCORP INC      COMMON 443683107   $     141       8,474    SH   DEFINED               7        8,474     0         -
HUDSON HIGHLAND GROUP INC    COMMON 443792106   $     128      12,252    SH   DEFINED              23       12,252     0         -
HUGHES COMMUNICATIONS INC    COMMON 444398101   $     172       3,499    SH   DEFINED              23        3,499     0         -
HUGOTON ROYALTY TRUST        COMMON 444717102   $   6,473     174,954    SH   DEFINED              22        4,353     0     170,601
HUGOTON ROYALTY TRUST        COMMON 444717102   $       5         142    SH   DEFINED               5          142     0         -
HUMANA INC                   COMMON 444859102   $  40,958   1,029,861    SH   DEFINED               1    1,029,861     0         -
HUMANA INC                   COMMON 444859102   $   2,580      64,882    SH   DEFINED               2        6,787     0      58,095
HUMANA INC                   COMMON 444859102   $   3,512      88,300    SH   DEFINED              22       81,265     0       7,035
HUMANA INC                   COMMON 444859102   $   4,284     107,723    SH   DEFINED              23      107,723     0         -
HUMANA INC                   COMMON 444859102   $      33         837    SH   DEFINED              24          837     0         -
HUMANA INC                   COMMON 444859102   $   4,509     113,380    SH   DEFINED               5       52,926     0      60,454
HUMAN GENOME SCIENCES INC    COMMON 444903108   $   3,219     617,914    SH   DEFINED               1      617,914     0         -
HUMAN GENOME SCIENCES INC    COMMON 444903108   $   1,150     220,700    SH   DEFINED              14      116,400     0     104,300
HUMAN GENOME SCIENCES INC    COMMON 444903108   $   2,763     530,421    SH   DEFINED               2      530,421     0         -
HUMAN GENOME SCIENCES INC    COMMON 444903108       $ -            40    SH   DEFINED              22           40     0         -
HUMAN GENOME SCIENCES INC    COMMON 444903108   $       1         100    SH   DEFINED               5          100     0         -
HUMAN GENOME SCIENCES INC    COMMON 444903108   $     162      31,100    SH   DEFINED            5,15       31,100     0         -
HUNT (JB) TRANSPRT SVCS INC  COMMON 445658107   $   8,946     268,797    SH   DEFINED               1      268,797     0         -
HUNT (JB) TRANSPRT SVCS INC  COMMON 445658107   $   1,115      33,511    SH   DEFINED               2          -       0      33,511
HUNT (JB) TRANSPRT SVCS INC  COMMON 445658107   $   5,773     173,469    SH   DEFINED              23      173,469     0         -
HUNT (JB) TRANSPRT SVCS INC  COMMON 445658107   $       3          88    SH   DEFINED              24           88     0         -
HUNT (JB) TRANSPRT SVCS INC  COMMON 445658107   $     187       5,627    SH   DEFINED               5          -       0       5,627
HUNTINGTON BANCSHARES        COMMON 446150104   $      29       5,000    SH   DEFINED              22          -       0       5,000
HUNTINGTON BANCSHARES        COMMON 446150104   $     257      44,515    SH   DEFINED              23       44,515     0         -
HUNTINGTON BANCSHARES        COMMON 446150104   $       5         876    SH   DEFINED              24          876     0         -
HUNTINGTON BANCSHARES        COMMON 446150104   $       9       1,600    SH   DEFINED               5        1,600     0         -
HUNTSMAN CORP                COMMON 447011107   $     376      33,025    SH   DEFINED              23       33,025     0         -
HUNTSMAN CORP                COMMON 447011107   $       5         408    SH   DEFINED              24          408     0         -
HURCO COMPANIES INC          COMMON 447324104   $     256       8,299    SH   DEFINED              23        8,299     0         -
HURRAY! HOLDING CO LTD-ADR   COMMON 447773102   $     163      51,473    SH   DEFINED              23       51,473     0         -
HUTCHINSON TECH              COMMON 448407106   $     274      20,417    SH   DEFINED              23       20,417     0         -
HUTTIG BUILDING PRODUCTS
INC                          COMMON 448451104   $      36      19,678    SH   DEFINED              23       19,678     0         -
HYDROGENICS CORP             COMMON 448882100   $       1         601    SH   DEFINED              23          601     0         -
IDT CORP                     COMMON 448947101   $       6       3,930    SH   DEFINED              23        3,930     0         -
IDT CORP CL B                COMMON 448947309   $     837     492,200    SH   DEFINED              14      304,200     0     188,000
IDT CORP CL B                COMMON 448947309   $      39      22,730    SH   DEFINED              23       22,730     0         -
IDT CORP CL B                COMMON 448947309   $     127      74,600    SH   DEFINED            5,15       74,600     0         -
HYPERCOM CORP                COMMON 44913M105   $     269      61,248    SH   DEFINED              23       61,248     0         -
HYTHIAM INC                  COMMON 44919F104   $       1         357    SH   DEFINED              23          357     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $     846      43,900    SH   DEFINED           10,14       43,900     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $     159       8,258    SH   DEFINED            10,7        8,258     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $     251      13,034    SH   DEFINED              13       13,034     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $  62,421   3,237,580    SH   DEFINED              14    1,920,680     0   1,221,700
IAC/INTERACTIVECORP          COMMON 44919P300   $   1,155      59,900    SH   DEFINED           14,13          -       0      59,900
IAC/INTERACTIVECORP          COMMON 44919P300   $   2,285     118,500    SH   DEFINED            14,7          -       0     118,500
IAC/INTERACTIVECORP          COMMON 44919P300   $      35       1,800    SH   DEFINED           20,14          -       0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $     122       6,329    SH   DEFINED              21        6,329     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $      12         602    SH   DEFINED              22          100     0         502
IAC/INTERACTIVECORP          COMMON 44919P300   $   3,253     168,735    SH   DEFINED              23      168,735     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $   1,549      80,350    SH   DEFINED              24       80,350     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $      10         507    SH   DEFINED               5          -       0         507
IAC/INTERACTIVECORP          COMMON 44919P300   $   2,589     134,300    SH   DEFINED            5,15      134,300     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $   2,516     130,518    SH   DEFINED               7      130,518     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $   3,316     172,017    SH   DEFINED               8      172,017     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $   4,367     226,500    SH   DEFINED            8,14      226,500     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $     693      35,954    SH   DEFINED               9       35,954     0         -
IAC/INTERACTIVECORP          COMMON 44919P300   $     629      32,600    SH   DEFINED            9,14          -       0      32,600
ICF INTERNATIONAL INC        COMMON 44925C103   $     580      34,900    SH   DEFINED              14       21,800     0      13,100
ICF INTERNATIONAL INC        COMMON 44925C103   $     334      20,104    SH   DEFINED              23       20,104     0         -
ICF INTERNATIONAL INC        COMMON 44925C103   $      98       5,900    SH   DEFINED            5,15        5,900     0         -
ICO INC                      COMMON 449293109   $     224      37,146    SH   DEFINED              23       37,146     0         -
ICT GROUP INC                COMMON 44929Y101   $      36       4,451    SH   DEFINED              23        4,451     0         -
ICU MEDICAL INC              COMMON 44930G107   $     469      20,500    SH   DEFINED              14       10,400     0      10,100
ICU MEDICAL INC              COMMON 44930G107   $      38       1,662    SH   DEFINED              23        1,662     0         -
ICU MEDICAL INC              COMMON 44930G107   $      71       3,100    SH   DEFINED            5,15        3,100     0         -
ICO GLOBAL COM HLDG LTD-NEW  COMMON 44930K108   $     599     183,796    SH   DEFINED              23      183,796     0         -
ICX TECHNOLOGIES INC         COMMON 44934T105   $      575      78,800   SH   DEFINED                3       78,800    0         -
ID SYSTEMS INC               COMMON 449489103   $        1          96   SH   DEFINED               23           96    0         -
I-FLOW CORP                  COMMON 449520303   $        2         150   SH   DEFINED               22          -      0         150
I-FLOW CORP                  COMMON 449520303   $      123      12,093   SH   DEFINED               23       12,093    0         -
IPCS INC                     COMMON 44980Y305   $    4,970     167,737   SH   DEFINED                1      167,737    0         -
IPCS INC                     COMMON 44980Y305   $      239       8,050   SH   DEFINED               23        8,050    0         -
IPC THE HOSPITALIST CO       COMMON 44984A105   $    2,010     106,808   SH   DEFINED                1      106,808    0         -
IPC THE HOSPITALIST CO       COMMON 44984A105   $      835      44,383   SH   DEFINED                2        5,521    0      38,862
IPC THE HOSPITALIST CO       COMMON 44984A105   $        2          97   SH   DEFINED               23           97    0         -
IMS HEALTH INC               COMMON 449934108   $   26,523   1,138,315   SH   DEFINED                1    1,138,315    0         -
IMS HEALTH INC               COMMON 449934108   $      771      33,103   SH   DEFINED               14       29,103    0       1,900
IMS HEALTH INC               COMMON 449934108   $      196       8,400   SH   DEFINED             14,7          -      0       8,400
IMS HEALTH INC               COMMON 449934108   $      427      18,330   SH   DEFINED               22          -      0      18,330
IMS HEALTH INC               COMMON 449934108   $      148       6,343   SH   DEFINED               23        6,343    0         -
IMS HEALTH INC               COMMON 449934108   $        3         112   SH   DEFINED               24          112    0         -
IMS HEALTH INC               COMMON 449934108   $   51,544   2,212,200   SH   DEFINED                3    2,212,200    0         -
IMS HEALTH INC               COMMON 449934108   $   13,126     563,357   SH   DEFINED                4      563,357    0         -
IMS HEALTH INC               COMMON 449934108   $      240      10,313   SH   DEFINED                5        9,119    0       1,194
IMS HEALTH INC               COMMON 449934108   $      120       5,166   SH   DEFINED                7        5,166    0         -
IMS HEALTH INC               COMMON 449934108   $      411      17,619   SH   DEFINED                8       17,619    0         -
ISTAR FINANCIAL INC          COMMON 45031U101   $      336      25,400   SH   DEFINED             1,15       25,400    0         -
ISTAR FINANCIAL INC          COMMON 45031U101   $      355      26,887   SH   DEFINED               23       26,887    0         -
ISTAR FINANCIAL INC          COMMON 45031U101   $        7         524   SH   DEFINED               24          524    0         -
ISTAR FINANCIAL INC          COMMON 45031U101   $      214      16,185   SH   DEFINED                5          500    0      15,685
ISTAR FIN INC (SFI)
CVT 5.7425                   CONVERT45031UBF7   $   14,040  18,000,000   SH   DEFINED               14          -      0  15,250,000
ISTA PHARMACEUTICALS INC     COMMON 45031X204   $        1         288   SH   DEFINED               23          288    0         -
ITT EDUCATIONAL SERVICES INC COMMON 45068B109   $   50,138     606,777   SH   DEFINED                1      606,777    0         -
ITT EDUCATIONAL SERVICES INC COMMON 45068B109   $       41         500   SH   DEFINED               14          500    0         -
ITT EDUCATIONAL SERVICES INC COMMON 45068B109   $    3,029      36,660   SH   DEFINED                2        4,293    0      32,367
ITT EDUCATIONAL SERVICES INC COMMON 45068B109   $      311       3,765   SH   DEFINED               23        3,765    0         -
ITT EDUCATIONAL SERVICES INC COMMON 45068B109   $        6          74   SH   DEFINED                5          -      0          74
IXIA COMMUNICATIONS          COMMON 45071R109   $        3         364   SH   DEFINED               22          -      0         364
IXIA COMMUNICATIONS          COMMON 45071R109   $      169      24,289   SH   DEFINED               23       24,289    0         -
IBASIS INC                   COMMON 450732201   $        1         324   SH   DEFINED               23          324    0         -
IBERIABANK CORP              COMMON 450828108   $      306       6,872   SH   DEFINED               23        6,872    0         -
IBERIABANK CORP              COMMON 450828108   $      187       4,210   SH   DEFINED                5        1,070    0       3,140
ITT CORP                     COMMON 450911102   $   23,406     369,589   SH   DEFINED                1      369,589    0         -
ITT CORP                     COMMON 450911102   $      273       4,317   SH   DEFINED               14        4,317    0         -
ITT CORP                     COMMON 450911102   $    1,154      18,225   SH   DEFINED               22       16,125    0       2,100
ITT CORP                     COMMON 450911102   $  119,826   1,892,083   SH   DEFINED               23    1,892,083    0         -
ITT CORP                     COMMON 450911102   $      159       2,505   SH   DEFINED               24        2,505    0         -
ITT CORP                     COMMON 450911102   $    8,767     138,436   SH   DEFINED                4      138,436    0         -
ITT CORP                     COMMON 450911102   $      830      13,100   SH   DEFINED                5        2,250    0      10,850
ITT CORP                     COMMON 450911102   $      204       3,218   SH   DEFINED                7        3,218    0         -
ITT CORP                     COMMON 450911102   $   22,222     350,889   SH   DEFINED                8      350,889    0         -
IAMGOLD CORPORATION          COMMON 450913108   $    6,915   1,150,000   SH   DEFINED                1    1,150,000    0         -
IAMGOLD CORPORATION          COMMON 450913108   $       14       2,300   SH   DEFINED               23        2,300    0         -
IAMGOLD CORPORATION          COMMON 450913108   $   12,031   2,000,780   SH   DEFINED                3    2,000,780    0         -
ICON PLC ADR                 COMMON 45103T107   $       76       1,000   SH   DEFINED               22          -      0       1,000
ICICI BANK LTD ADR           COMMON 45104G104   $      620      21,569   SH   DEFINED               23       21,569    0         -
ICICI BANK LTD ADR           COMMON 45104G104   $    1,021      35,500   SH   DEFINED                8       35,500    0         -
ICICI BANK LTD ADR           COMMON 45104G104   $      460      16,000   SH   DEFINED             8,14       16,000    0         -
ICICI BANK LTD ADR           COMMON 45104G104   $      863      30,000   SH   DEFINED             8,20       30,000    0         -
ICONIX BRAND GROUP INC       COMMON 451055107   $       33       2,731   SH   DEFINED               23        2,731    0         -
IDACORP INC                  COMMON 451107106   $      117       4,050   SH   DEFINED               22          250    0       3,800
IDACORP INC                  COMMON 451107106   $   32,355   1,119,943   SH   DEFINED               23    1,119,943    0         -
IDACORP INC                  COMMON 451107106   $        3         104   SH   DEFINED               24          104    0         -
IDEARC INC                   COMMON 451663108   $        4       1,800   SH   DEFINED               13        1,800    0         -
IDEARC INC                   COMMON 451663108   $        4       1,800   SH   DEFINED            20,14          -      0         -
IDEARC INC                   COMMON 451663108        $ -             1   SH   DEFINED             20,2            1    0         -
IDEARC INC                   COMMON 451663108   $        1         416   SH   DEFINED               22          -      0         416
IDEARC INC                   COMMON 451663108   $        2         827   SH   DEFINED                5          351    0         476
IDENIX PHARMACEUTICALS INC   COMMON 45166R204   $        1         196   SH   DEFINED               23          196    0         -
IDEX CORP                    COMMON 45167R104   $      293       7,950   SH   DEFINED               13        7,950    0         -
IDEX CORP                    COMMON 45167R104   $      293       7,950   SH   DEFINED             13,3        7,950    0         -
IDEX CORP                    COMMON 45167R104   $   70,079   1,902,248   SH   DEFINED               23    1,902,248    0         -
IDEX CORP                    COMMON 45167R104   $   91,087   2,472,500   SH   DEFINED                3    2,472,500    0         -
IDEXX LABORATORIES INC       COMMON 45168D104   $    3,213      65,928   SH   DEFINED               23       65,928    0         -
IDEXX LABORATORIES INC       COMMON 45168D104   $      495      10,150   SH   DEFINED                5        3,200    0       6,950
IDERA PHARMACEUTICALS INC    COMMON 45168K306   $      248      17,000   SH   DEFINED               14        8,600    0       8,400
IDERA PHARMACEUTICALS INC    COMMON 45168K306   $       37       2,500   SH   DEFINED             5,15        2,500    0         -
IGATE CORP                   COMMON 45169U105   $        2         235   SH   DEFINED               23          235    0         -
IKON OFFICE SOLUTIONS INC    COMMON 451713101   $    1,384     122,700   SH   DEFINED               14       61,700    0      61,000
IKON OFFICE SOLUTIONS INC    COMMON 451713101   $      337      29,880   SH   DEFINED               23       29,880    0         -
IKON OFFICE SOLUTIONS INC    COMMON 451713101   $        6         500   SH   DEFINED               24          500    0         -
IKON OFFICE SOLUTIONS INC    COMMON 451713101   $      213      18,900   SH   DEFINED             5,15       18,900    0         -
IHS INC - CLASS A            COMMON 451734107   $   62,322     895,428   SH   DEFINED                1      895,428    0         -
IHS INC - CLASS A            COMMON 451734107   $    3,631      52,166   SH   DEFINED                2        5,305    0      46,861
IHS INC - CLASS A            COMMON 451734107   $    1,797      25,824   SH   DEFINED               23       25,824    0         -
IHS INC - CLASS A            COMMON 451734107   $    9,375     134,700   SH   DEFINED                8      134,700    0         -
IKANOS COMMUNICATIONS INC    COMMON 45173E105   $        1         258   SH   DEFINED               23          258    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $  148,465   3,124,930   SH   DEFINED                1    3,124,930    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $    1,112      23,400   SH   DEFINED             1,15       23,400    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $      247       5,200   SH   DEFINED            10,14        5,200    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $    5,024     105,741   SH   DEFINED               14       97,641    0       4,300
ILLINOIS TOOL WORKS          COMMON 452308109   $    1,216      25,600   SH   DEFINED             14,7          -      0      25,600
ILLINOIS TOOL WORKS          COMMON 452308109   $   33,824     711,941   SH   DEFINED               22      199,518    0     512,423
ILLINOIS TOOL WORKS          COMMON 452308109   $    2,129      44,809   SH   DEFINED               23       44,809    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $       27         562   SH   DEFINED               24          562    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $    5,649     118,900   SH   DEFINED                4      118,900    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $    2,200      46,301   SH   DEFINED                5       23,050    0      23,251
ILLINOIS TOOL WORKS          COMMON 452308109   $      190       4,000   SH   DEFINED                6        4,000    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $      645      13,586   SH   DEFINED                7       13,586    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $    1,148      24,156   SH   DEFINED                8       24,156    0         -
ILLINOIS TOOL WORKS          COMMON 452308109   $    1,801      37,900   SH   DEFINED             8,14       37,900    0         -
ILLUMINA INC                 COMMON 452327109   $      906      10,400   SH   DEFINED               14        5,600    0       4,600
ILLUMINA INC                 COMMON 452327109   $       76         867   SH   DEFINED               23          867    0         -
IMATION CORP                 COMMON 45245A107   $       26       1,139   SH   DEFINED               22          -      0       1,139
IMATION CORP                 COMMON 45245A107   $      183       7,986   SH   DEFINED               23        7,986    0         -
IMATION CORP                 COMMON 45245A107   $        6         276   SH   DEFINED                5          276    0         -
IMAX CORP                    COMMON 45245E109   $       2         352    SH   DEFINED              23          352     0         -
IMCLONE SYSTEMS              COMMON 45245W109   $   9,929     245,414    SH   DEFINED               1      245,414     0         -
IMCLONE SYSTEMS              COMMON 45245W109   $      73       1,800    SH   DEFINED              14        1,800     0         -
IMCLONE SYSTEMS              COMMON 45245W109   $      85       2,100    SH   DEFINED              17        2,100     0         -
IMCLONE SYSTEMS              COMMON 45245W109   $     945      23,357    SH   DEFINED               2       23,357     0         -
IMCLONE SYSTEMS              COMMON 45245W109   $   1,271      31,415    SH   DEFINED            20,2          -       0      31,415
IMCLONE SYSTEMS              COMMON 45245W109   $       8         200    SH   DEFINED              22          -       0         200
IMCLONE SYSTEMS              COMMON 45245W109   $   5,307     131,162    SH   DEFINED              23      131,162     0         -
IMCLONE SYSTEMS              COMMON 45245W109   $     839      20,733    SH   DEFINED               5          -       0      20,733
IMERGENT INC                 COMMON 45247Q100   $     302      25,500    SH   DEFINED              14       17,100     0       8,400
IMERGENT INC                 COMMON 45247Q100   $      52       4,400    SH   DEFINED            5,15        4,400     0         -
IMMERSION CORPORATION        COMMON 452521107   $     312      45,796    SH   DEFINED              23       45,796     0         -
IMMUCOR INC                  COMMON 452526106   $      13         510    SH   DEFINED              22          -       0         510
IMMUCOR INC                  COMMON 452526106   $      44       1,688    SH   DEFINED              23        1,688     0         -
IMMUNOGEN INC                COMMON 45253H101   $       1         370    SH   DEFINED              23          370     0         -
IMPERIAL CAPITAL BANCORP
INC                          COMMON 452680101   $      89      15,600    SH   DEFINED              14       15,600     0         -
IMPERIAL CAPITAL BANCORP
INC                          COMMON 452680101   $      10       1,803    SH   DEFINED              23        1,803     0         -
IMPERIAL CAPITAL BANCORP
INC                          COMMON 452680101   $      19       3,400    SH   DEFINED            5,15        3,400     0         -
IMPERIAL OIL LTD             COMMON 453038408   $     479       8,700    SH   DEFINED            1,15        8,700     0         -
IMPERIAL OIL LTD             COMMON 453038408   $     639      11,600    SH   DEFINED           10,14       11,600     0         -
IMPERIAL OIL LTD             COMMON 453038408   $   1,454      26,400    SH   DEFINED              14       10,700     0      15,000
IMPERIAL OIL LTD             COMMON 453038408   $     127       2,300    SH   DEFINED            14,7          -       0       2,300
IMPERIAL OIL LTD             COMMON 453038408   $   1,711      31,033    SH   DEFINED              23       31,033     0         -
IMPERIAL OIL LTD             COMMON 453038408   $       1          15    SH   DEFINED              24           15     0         -
IMPERIAL OIL LTD             COMMON 453038408   $  16,746     302,500    SH   DEFINED               3      302,500     0         -
IMPERIAL OIL LTD             COMMON 453038408   $     406       7,330    SH   DEFINED               7        7,330     0         -
IMPERIAL OIL LTD             COMMON 453038408   $   4,395      79,800    SH   DEFINED            8,14       79,800     0         -
IMPERIAL SUGAR CO-W/I        COMMON 453096208   $   1,753     112,900    SH   DEFINED              14       87,000     0      25,900
IMPERIAL SUGAR CO-W/I        COMMON 453096208   $      12         800    SH   DEFINED              22          -       0         800
IMPERIAL SUGAR CO-W/I        COMMON 453096208   $     237      15,251    SH   DEFINED              23       15,251     0         -
IMPERIAL SUGAR CO-W/I        COMMON 453096208   $     312      20,100    SH   DEFINED            5,15       20,100     0         -
IMPERIAL TOBACCO GROUP ADR   COMMON 453142101   $      17         230    SH   DEFINED              22          -       0         230
IMPERIAL TOBACCO GROUP ADR   COMMON 453142101   $   4,543      61,179    SH   DEFINED              23       61,179     0         -
IMPERIAL TOBACCO GROUP ADR   COMMON 453142101   $  28,551     384,528    SH   DEFINED               4      384,528     0         -
INCYTE CORP                  COMMON 45337C102   $   2,892     380,028    SH   DEFINED               1      380,028     0         -
INCYTE CORP                  COMMON 45337C102   $   1,158     152,200    SH   DEFINED              14       79,500     0      72,700
INCYTE CORP                  COMMON 45337C102   $     274      36,009    SH   DEFINED               2       36,009     0         -
INCYTE CORP                  COMMON 45337C102   $     409      53,802    SH   DEFINED            20,2          -       0      53,802
INCYTE CORP                  COMMON 45337C102   $   4,370     574,262    SH   DEFINED              23      574,262     0         -
INCYTE CORP                  COMMON 45337C102   $     164      21,600    SH   DEFINED            5,15       21,600     0         -
INDEPENDENCE HOLDING CO      COMMON 453440307   $      17       1,702    SH   DEFINED              23        1,702     0         -
INDEPENDENT BANK CORP MASS   COMMON 453836108   $   1,700      71,300    SH   DEFINED              14       52,600     0      18,700
INDEPENDENT BANK CORP MASS   COMMON 453836108   $     250      10,492    SH   DEFINED              23       10,492     0         -
INDEPENDENT BANK CORP MASS   COMMON 453836108   $     123       5,150    SH   DEFINED               5        1,300     0       3,850
INDEPENDENT BANK CORP MASS   COMMON 453836108   $     317      13,300    SH   DEFINED            5,15       13,300     0         -
INDEPENDENT BANK CORP - MICH COMMON 453838104   $   2,562     640,495    SH   DEFINED              23      640,495     0         -
INDEVUS PHARMACEUTICALS INC  COMMON 454072109   $       1         667    SH   DEFINED              23          667     0         -
INDIA FUND INC               COMMON 454089103   $     687      19,424    SH   DEFINED               1       19,424     0         -
INDIA FUND INC               COMMON 454089103   $   2,985      84,377    SH   DEFINED               2       84,377     0         -
INDIA FUND INC               COMMON 454089103   $     107       3,013    SH   DEFINED              22        1,000     0       2,013
INDUSTRIAL DISTRIBUTION GRP  COMMON 456061100   $      54       4,473    SH   DEFINED              23        4,473     0         -
INDYMAC BANCORP INC          COMMON 456607100   $       1       1,000    SH   DEFINED              22        1,000     0         -
INDYMAC BANCORP INC          COMMON 456607100   $      28      45,438    SH   DEFINED              23       45,438     0         -
INDYMAC BANCORP INC          COMMON 456607100   $       1         835    SH   DEFINED              24          835     0         -
INDYMAC BANCORP INC          COMMON 456607100   $       1       1,035    SH   DEFINED               5          -       0       1,035
INERGY LP                    COMMON 456615103   $   2,902     111,516    SH   DEFINED               5      106,906     0       4,610
INFINEON TECHNOLOGIES AG ADR COMMON 45662N103   $      35       4,130    SH   DEFINED              22          -       0       4,130
INFINEON TECHNOLOGIES AG ADR COMMON 45662N103   $      58       6,800    SH   DEFINED               5          -       0       6,800
INFINITY PHARMACEUTICALS INC COMMON 45665G303   $     223      28,438    SH   DEFINED              16          -    28438         -
INFINITY PHARMACEUTICALS INC COMMON 45665G303   $       1         170    SH   DEFINED              23          170     0         -
INFINITY PROPERTY & CASUALTY COMMON 45665Q103   $     533      12,832    SH   DEFINED              23       12,832     0         -
INFORMATICA CORP             COMMON 45666Q102   $  10,388     690,671    SH   DEFINED               1      690,671     0         -
INFORMATICA CORP             COMMON 45666Q102   $     606      40,300    SH   DEFINED              14       40,300     0         -
INFORMATICA CORP             COMMON 45666Q102   $   8,089     537,858    SH   DEFINED               2      537,858     0         -
INFORMATICA CORP             COMMON 45666Q102   $   2,540     168,872    SH   DEFINED              23      168,872     0         -
INFORMATICA CORP             COMMON 45666Q102   $     453      30,100    SH   DEFINED               8       30,100     0         -
INFORMATICA CORP             COMMON 45666Q102   $     125       8,300    SH   DEFINED            8,20        8,300     0         -
INFINERA CORP                COMMON 45667G103   $  13,682   1,551,290    SH   DEFINED               1    1,551,290     0         -
INFINERA CORP                COMMON 45667G103   $      56       6,354    SH   DEFINED              14          -       0       6,354
INFINERA CORP                COMMON 45667G103   $     492      55,796    SH   DEFINED              16          -    55796         -
INFINERA CORP                COMMON 45667G103   $   1,019     115,543    SH   DEFINED               2       24,216     0      91,327
INFINERA CORP                COMMON 45667G103   $     203      22,996    SH   DEFINED              23       22,996     0         -
INFOGROUP INC                COMMON 45670G108   $      31       7,143    SH   DEFINED              23        7,143     0         -
INFORMATION SERVICES GROUP   COMMON 45675Y104   $       1         273    SH   DEFINED              23          273     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $   8,042     185,035    SH   DEFINED               1      185,035     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $     274       6,303    SH   DEFINED              13        6,303     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $     274       6,303    SH   DEFINED            13,2        6,303     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $  18,595     427,871    SH   DEFINED               2      427,871     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $      35         800    SH   DEFINED              22          -       0         800
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $   1,744      40,122    SH   DEFINED              23       40,122     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $   1,343      30,898    SH   DEFINED              24       30,898     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $   8,749     201,314    SH   DEFINED             3,1      201,314     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $  32,311     743,467    SH   DEFINED               4      743,467     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $     995      22,900    SH   DEFINED               6       22,900     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $   3,351      77,100    SH   DEFINED               8       77,100     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $     712      16,394    SH   DEFINED            8,14       16,394     0         -
INFOSYS TECHNOLOGIES LTD ADR COMMON 456788108   $   1,195      27,500    SH   DEFINED            8,20       27,500     0         -
INFOSPACE INC                COMMON 45678T201   $     142      17,000    SH   DEFINED              14        8,600     0       8,400
INFOSPACE INC                COMMON 45678T201   $       2         200    SH   DEFINED              22          -       0         200
INFOSPACE INC                COMMON 45678T201   $      83      10,019    SH   DEFINED              23       10,019     0         -
INFOSPACE INC                COMMON 45678T201   $      21       2,500    SH   DEFINED            5,15        2,500     0         -
ING GROEP NV ADR             COMMON 456837103   $       2          54    SH   DEFINED              11           54     0         -
ING GROEP NV ADR             COMMON 456837103   $      70       2,229    SH   DEFINED              22          -       0       2,229
ING GROEP NV ADR             COMMON 456837103   $   8,607     272,800    SH   DEFINED              23      272,800     0         -
ING GROEP NV ADR             COMMON 456837103   $       4         128    SH   DEFINED               4          128     0         -
INGLES MARKETS INC  -CL A    COMMON 457030104   $     104       4,459    SH   DEFINED              23        4,459     0         -
INGRAM MICRO INC CL A        COMMON 457153104   $     960      54,093    SH   DEFINED              23       54,093     0         -
INGRAM MICRO INC CL A        COMMON 457153104   $      20       1,132    SH   DEFINED              24        1,132     0         -
INGRAM MICRO INC CL A        COMMON 457153104   $      27       1,500    SH   DEFINED               5          -       0       1,500
INLAND REAL ESTATE CORP      COMMON 457461200   $   2,208     153,100    SH   DEFINED            1,15      153,100     0         -
INLAND REAL ESTATE CORP      COMMON 457461200   $    7,885     546,800   SH   DEFINED               14      401,900    0     144,900
INLAND REAL ESTATE CORP      COMMON 457461200   $      140       9,683   SH   DEFINED               23        9,683    0         -
INLAND REAL ESTATE CORP      COMMON 457461200   $      712      49,400   SH   DEFINED             5,15       49,400    0         -
INLAND REAL ESTATE CORP      COMMON 457461200   $       61       4,200   SH   DEFINED             6,14        4,200    0         -
INLAND REAL ESTATE CORP      COMMON 457461200   $    1,019      70,700   SH   DEFINED                8       70,700    0         -
INLAND REAL ESTATE CORP      COMMON 457461200   $      278      19,300   SH   DEFINED             8,20       19,300    0         -
INNODATA ISOGEN INC          COMMON 457642205   $        3       1,092   SH   DEFINED               22          -      0       1,092
INNOVEX INC/MN               COMMON 457647105        $ -            30   SH   DEFINED               22           30    0         -
INSIGHT ENTERPRISES INC      COMMON 45765U103   $      161      13,700   SH   DEFINED               14       13,700    0         -
INSIGHT ENTERPRISES INC      COMMON 45765U103   $      108       9,218   SH   DEFINED               23        9,218    0         -
INSIGHT ENTERPRISES INC      COMMON 45765U103   $        2         169   SH   DEFINED               24          169    0         -
INSIGHT ENTERPRISES INC      COMMON 45765U103   $       35       3,000   SH   DEFINED             5,15        3,000    0         -
INSITE VISION INC            COMMON 457660108   $        1       1,000   SH   DEFINED               22          -      0       1,000
INSITUFORM TECHNOLOGIES CL A COMMON 457667103   $   40,071   2,631,029   SH   DEFINED               23    2,631,029    0         -
INSITUFORM TECHNOLOGIES CL A COMMON 457667103   $       72       4,750   SH   DEFINED                5          -      0       4,750
INNOSPEC INC                 COMMON 45768S105   $    4,152     220,600   SH   DEFINED               14      151,400    0      69,200
INNOSPEC INC                 COMMON 45768S105   $      740      39,346   SH   DEFINED               23       39,346    0         -
INNOSPEC INC                 COMMON 45768S105   $       90       4,775   SH   DEFINED                5        1,225    0       3,550
INNOSPEC INC                 COMMON 45768S105   $      687      36,500   SH   DEFINED             5,15       36,500    0         -
INNOVATIVE SOLUTIONS & SUPP  COMMON 45769N105   $        1         110   SH   DEFINED               23          110    0         -
INSPIRE PHARMACEUTICALS INC  COMMON 457733103   $    2,243     524,146   SH   DEFINED                1      524,146    0         -
INSPIRE PHARMACEUTICALS INC  COMMON 457733103   $      213      49,857   SH   DEFINED                2       49,857    0         -
INSPIRE PHARMACEUTICALS INC  COMMON 457733103   $      301      70,427   SH   DEFINED             20,2          -      0      70,427
INSPIRE PHARMACEUTICALS INC  COMMON 457733103   $        2         494   SH   DEFINED               23          494    0         -
INNOPHOS HOLDINGS INC        COMMON 45774N108   $       93       2,916   SH   DEFINED               23        2,916    0         -
INSTEEL INDUSTRIES INC       COMMON 45774W108   $      531      29,000   SH   DEFINED               14       14,600    0      14,400
INSTEEL INDUSTRIES INC       COMMON 45774W108   $      294      16,073   SH   DEFINED               23       16,073    0         -
INSTEEL INDUSTRIES INC       COMMON 45774W108   $       81       4,400   SH   DEFINED             5,15        4,400    0         -
INSULET CORP                 COMMON 45784P101   $    4,803     305,331   SH   DEFINED                1      305,331    0         -
INSULET CORP                 COMMON 45784P101   $    3,891     247,385   SH   DEFINED                2      247,385    0         -
INSULET CORP                 COMMON 45784P101   $        3         173   SH   DEFINED               23          173    0         -
INNSUITES HOSPITALITY TRUST  COMMON 457919108   $       34      24,000   SH   DEFINED                5       24,000    0         -
INTEGRA LIFESCIENCES HOLDING COMMON 457985208   $       85       1,900   SH   DEFINED               23        1,900    0         -
INTEGRAL SYSTEMS INC/MD      COMMON 45810H107   $      310       8,010   SH   DEFINED               23        8,010    0         -
INTEGRATED DEVICE TECH INC   COMMON 458118106   $   13,704   1,378,700   SH   DEFINED               14      586,700    0     784,400
INTEGRATED DEVICE TECH INC   COMMON 458118106   $    2,090     210,212   SH   DEFINED               23      210,212    0         -
INTEGRATED DEVICE TECH INC   COMMON 458118106   $        3         286   SH   DEFINED               24          286    0         -
INTEGRATED ELECTRICAL SERVIC COMMON 45811E301   $       81       4,687   SH   DEFINED               23        4,687    0         -
INTEGRATED SILICON SOLUTION  COMMON 45812P107   $    2,012     361,800   SH   DEFINED               14      278,300    0      83,500
INTEGRATED SILICON SOLUTION  COMMON 45812P107   $      207      37,226   SH   DEFINED               23       37,226    0         -
INTEGRATED SILICON SOLUTION  COMMON 45812P107   $      231      41,500   SH   DEFINED             5,15       41,500    0         -
INTEGRATED SILICON SOLUTION  COMMON 45812P107   $      100      17,900   SH   DEFINED                8       17,900    0         -
INTEGRATED SILICON SOLUTION  COMMON 45812P107   $       28       5,100   SH   DEFINED             8,20        5,100    0         -
INTEL CORP                   COMMON 458140100   $   80,676   3,755,880   SH   DEFINED                1    3,755,880    0         -
INTEL CORP                   COMMON 458140100   $    4,992     232,400   SH   DEFINED             1,15      232,400    0         -
INTEL CORP                   COMMON 458140100   $    1,916      89,200   SH   DEFINED            10,14       89,200    0         -
INTEL CORP                   COMMON 458140100   $      263      12,239   SH   DEFINED               11       12,239    0         -
INTEL CORP                   COMMON 458140100   $  128,203   5,968,493   SH   DEFINED               14    4,164,943    0   1,540,150
INTEL CORP                   COMMON 458140100   $    2,859     133,100   SH   DEFINED            14,13          -      0     133,100
INTEL CORP                   COMMON 458140100   $    8,858     412,400   SH   DEFINED             14,7          -      0     412,400
INTEL CORP                   COMMON 458140100   $    1,334      62,100   SH   DEFINED               17       62,100    0         -
INTEL CORP                   COMMON 458140100   $      976      45,459   SH   DEFINED               19       45,459    0         -
INTEL CORP                   COMMON 458140100   $    5,683     264,574   SH   DEFINED                2      264,574    0         -
INTEL CORP                   COMMON 458140100   $    1,119      52,100   SH   DEFINED            20,14          -      0         -
INTEL CORP                   COMMON 458140100   $    2,076      96,642   SH   DEFINED             20,2       96,642    0         -
INTEL CORP                   COMMON 458140100   $    2,661     123,885   SH   DEFINED               21      123,885    0         -
INTEL CORP                   COMMON 458140100   $   41,714   1,942,009   SH   DEFINED               22      278,077    0   1,663,932
INTEL CORP                   COMMON 458140100   $   30,248   1,408,180   SH   DEFINED               23    1,408,180    0         -
INTEL CORP                   COMMON 458140100   $   12,990     604,736   SH   DEFINED               24      604,736    0         -
INTEL CORP                   COMMON 458140100   $      358      16,667   SH   DEFINED                4       16,667    0         -
INTEL CORP                   COMMON 458140100   $   14,985     697,603   SH   DEFINED                5      547,528    0     150,075
INTEL CORP                   COMMON 458140100   $    6,450     300,300   SH   DEFINED             5,15      300,300    0         -
INTEL CORP                   COMMON 458140100   $    5,785     269,325   SH   DEFINED                7      269,325    0         -
INTEL CORP                   COMMON 458140100   $   27,860   1,297,026   SH   DEFINED                8    1,297,026    0         -
INTEL CORP                   COMMON 458140100   $   10,703     498,300   SH   DEFINED             8,14      498,300    0         -
INTEL CORP                   COMMON 458140100   $    1,557      72,500   SH   DEFINED             9,14          -      0      72,500
INTEL CORP CVT(INTC)
2.95 12-1                    CONVERT458140AD2   $   16,383  16,825,000   SH   DEFINED               14          -      0  14,250,000
INTEGRA BANK CORPORATION     COMMON 45814P105   $      135      17,200   SH   DEFINED               14       17,200    0         -
INTEGRA BANK CORPORATION     COMMON 45814P105   $      146      18,586   SH   DEFINED               23       18,586    0         -
INTEGRA BANK CORPORATION     COMMON 45814P105   $       29       3,700   SH   DEFINED             5,15        3,700    0         -
INTELLON CORP                COMMON 45816W504   $        1         197   SH   DEFINED               23          197    0         -
INTEGRYS ENERGY GROUP INC    COMMON 45822P105   $    1,100      21,637   SH   DEFINED               22          -      0      21,637
INTEGRYS ENERGY GROUP INC    COMMON 45822P105   $    5,318     104,614   SH   DEFINED               23      104,614    0         -
INTEGRYS ENERGY GROUP INC    COMMON 45822P105   $        7         132   SH   DEFINED               24          132    0         -
INTER PARFUMS INC            COMMON 458334109   $      909      60,612   SH   DEFINED               23       60,612    0         -
INTERACTIVE INTELLIGENCE INC COMMON 45839M103   $        1         115   SH   DEFINED               23          115    0         -
INTERACTIVE DATA CORP        COMMON 45840J107   $      209       8,300   SH   DEFINED               14        8,300    0         -
INTERACTIVE DATA CORP        COMMON 45840J107   $    4,563     181,565   SH   DEFINED               23      181,565    0         -
INTERACTIVE DATA CORP        COMMON 45840J107   $      133       5,281   SH   DEFINED               24        5,281    0         -
INTERACTIVE BROKERS GRO
-CL A                        COMMON 45841N107   $      417      12,985   SH   DEFINED               23       12,985    0         -
INTERACTIVE BROKERS GRO
-CL A                        COMMON 45841N107   $        5         152   SH   DEFINED               24          152    0         -
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $   41,129     360,779   SH   DEFINED                1      360,779    0         -
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $      143       1,250   SH   DEFINED             1,15        1,250    0         -
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $    9,029      79,200   SH   DEFINED               14       35,000    0      42,850
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $      809       7,100   SH   DEFINED             14,7          -      0       7,100
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $    2,450      21,492   SH   DEFINED                2        2,508    0      18,984
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $    9,852      86,420   SH   DEFINED               22       17,630    0      68,790
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $   12,401     108,780   SH   DEFINED               23      108,780    0         -
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $    5,855      51,364   SH   DEFINED                5       33,321    0      18,043
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $      313       2,744   SH   DEFINED                7        2,744    0         -
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $      281       2,469   SH   DEFINED                8        2,469    0         -
INTERCONTINENTALEXCHANGE
INC                          COMMON 45865V100   $      433       3,800   SH   DEFINED             8,14        3,800    0         -
INTERFACE INC                COMMON 458665106   $    9,878     788,324   SH   DEFINED                1      788,324    0         -
INTERFACE INC                COMMON 458665106   $    7,882     629,064   SH   DEFINED                2      629,064    0         -
INTERFACE INC                COMMON 458665106   $    2,555     203,910   SH   DEFINED               23      203,910    0         -
INTERFACE INC                COMMON 458665106   $       36       2,850   SH   DEFINED                5          -      0       2,850
INTERDIGITAL INC             COMMON 45867G101   $   13,417     551,700   SH   DEFINED               14      225,900    0     322,600
INTERDIGITAL INC             COMMON 45867G101   $        7         300   SH   DEFINED               22          -      0         300
INTERDIGITAL INC             COMMON 45867G101   $      134       5,492   SH   DEFINED               23        5,492    0         -
INTERDIGITAL INC             COMMON 45867G101   $       27       1,100   SH   DEFINED             5,15        1,100    0         -
INTERDIGITAL INC             COMMON 45867G101   $      250      10,300   SH   DEFINED                8       10,300    0         -
INTERDIGITAL INC             COMMON 45867G101   $       68       2,800   SH   DEFINED             8,20        2,800    0         -
INTERLINE BRANDS INC         COMMON 458743101   $      269      16,871   SH   DEFINED               23       16,871    0         -
INTERMEC INC                 COMMON 458786100   $        2          73   SH   DEFINED               22          -      0          73
INTERMEC INC                 COMMON 458786100   $    1,765      83,728   SH   DEFINED               23       83,728    0         -
INTERMUNE PHARMACEUTICALS    COMMON 45884X103   $    2,095     159,709   SH   DEFINED                1      159,709    0         -
INTERMUNE PHARMACEUTICALS    COMMON 45884X103   $       30       2,300   SH   DEFINED               14        2,300    0         -
INTERMUNE PHARMACEUTICALS    COMMON 45884X103   $    1,237      94,247   SH   DEFINED                2       36,240    0      58,007
INTERMUNE PHARMACEUTICALS    COMMON 45884X103   $        4         341   SH   DEFINED               23          341    0         -
INTERNAP NETWORK SERVICES    COMMON 45885A300   $        6       1,379   SH   DEFINED               23        1,379    0         -
INTL ASSETS HOLDING CORP     COMMON 459028106   $        1          37   SH   DEFINED               23           37    0         -
INTERNATIONAL BANCSHARES
CORP                         COMMON 459044103   $    3,015     141,089   SH   DEFINED               23      141,089    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $  163,868   1,382,502   SH   DEFINED                1    1,382,502    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    3,248      27,400   SH   DEFINED             1,15       27,400    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   11,313      95,441   SH   DEFINED              1,9       95,441    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    2,655      22,400   SH   DEFINED            10,14       22,400    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    1,041       8,785   SH   DEFINED             10,7        8,785    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   23,226     195,950   SH   DEFINED               11       44,450    0     151,500
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    1,014       8,551   SH   DEFINED               13        8,551    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $  180,831   1,525,612   SH   DEFINED               14    1,087,612    0     376,900
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    3,769      31,800   SH   DEFINED            14,13          -      0      31,800
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   12,991     109,600   SH   DEFINED             14,7          -      0     109,600
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    1,102       9,300   SH   DEFINED               17        9,300    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $       14         120   SH   DEFINED            18,11          120    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $      415       3,500   SH   DEFINED            18,14          -      0       3,500
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    2,552      21,527   SH   DEFINED               19       21,527    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    1,431      12,075   SH   DEFINED            19,14        6,900    0       5,175
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   12,715     107,274   SH   DEFINED                2      107,274    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    1,659      14,000   SH   DEFINED            20,14          -      0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    4,753      40,103   SH   DEFINED               21       40,103    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   62,330     525,860   SH   DEFINED               22      132,914    0     392,945
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   21,014     177,292   SH   DEFINED               23      177,292    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $      158       1,332   SH   DEFINED               24        1,332    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $      376       3,174   SH   DEFINED                4        3,174    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   26,968     227,519   SH   DEFINED                5      192,889    0      34,630
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    8,475      71,500   SH   DEFINED             5,15       71,500    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    2,382      20,100   SH   DEFINED                6       20,100    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   16,634     140,338   SH   DEFINED                7      140,338    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   75,503     636,999   SH   DEFINED                8      636,999    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $   17,985     151,734   SH   DEFINED             8,14      140,400    0      11,334
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    5,032      42,454   SH   DEFINED                9       42,454    0         -
INTL BUSINESS MACHINES CORP  COMMON 459200101   $    2,051      17,300   SH   DEFINED             9,14          -      0      17,300
INTERNATIONAL COAL GROUP INC COMMON 45928H106   $      303      23,210   SH   DEFINED               23       23,210    0         -
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $   49,930   1,278,279   SH   DEFINED                1    1,278,279    0         -
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $      570      14,596   SH   DEFINED               14       14,596    0         -
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $       74       1,888   SH   DEFINED               22          -      0       1,888
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $      378       9,679   SH   DEFINED               23        9,679    0         -
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $        3          86   SH   DEFINED               24           86    0         -
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $   18,717     479,175   SH   DEFINED                4      479,175    0         -
INTL FLAVORS & FRAGRANCES    COMMON 459506101   $       41       1,050   SH   DEFINED                5        1,050    0         -
INTL GAME TECHNOLOGY         COMMON 459902102   $   50,249   2,011,564   SH   DEFINED                1    2,011,564    0         -
INTL GAME TECHNOLOGY         COMMON 459902102   $      630      25,226   SH   DEFINED             13,2          -      0      25,226
INTL GAME TECHNOLOGY         COMMON 459902102   $    1,800      72,058   SH   DEFINED                2        9,847    0      62,211
INTL GAME TECHNOLOGY         COMMON 459902102   $       74       2,975   SH   DEFINED               22        2,100    0         875
INTL GAME TECHNOLOGY         COMMON 459902102   $    1,018      40,745   SH   DEFINED               23       40,745    0         -
INTL GAME TECHNOLOGY         COMMON 459902102   $        4         163   SH   DEFINED               24          163    0         -
INTL GAME TECHNOLOGY         COMMON 459902102   $      859      34,405   SH   DEFINED                5          480    0      33,925
INTL GAME TECHNOLOGY         COMMON 459902102   $      165       6,616   SH   DEFINED                7        6,616    0         -
INTL GAME TECHNOLOGY         COMMON 459902102   $      320      12,820   SH   DEFINED                8       12,820    0         -
INTERNATIONAL PAPER CO       COMMON 460146103   $      566      24,290   SH   DEFINED               14       22,790    0       1,500
INTERNATIONAL PAPER CO       COMMON 460146103   $       49       2,100   SH   DEFINED            20,14          -      0         -
INTERNATIONAL PAPER CO       COMMON 460146103   $      331      14,199   SH   DEFINED               22          -      0      14,199
INTERNATIONAL PAPER CO       COMMON 460146103   $    3,482     149,422   SH   DEFINED               23      149,422    0         -
INTERNATIONAL PAPER CO       COMMON 460146103   $       29       1,254   SH   DEFINED               24        1,254    0         -
INTERNATIONAL PAPER CO       COMMON 460146103   $      131       5,601   SH   DEFINED                5        4,382    0       1,219
INTERNATIONAL PAPER CO       COMMON 460146103   $      193       8,301   SH   DEFINED                7        8,301    0         -
INTERNATIONAL PAPER CO       COMMON 460146103   $      508      21,806   SH   DEFINED                8       21,806    0         -
INTL RECTIFIER CORP          COMMON 460254105   $   31,062   1,617,800   SH   DEFINED              1,3    1,617,800    0         -
INTL RECTIFIER CORP          COMMON 460254105   $    3,426     178,446   SH   DEFINED             18,3      178,446    0         -
INTL RECTIFIER CORP          COMMON 460254105   $    1,386      72,200   SH   DEFINED             20,3       72,200    0         -
INTL RECTIFIER CORP          COMMON 460254105   $        1          60   SH   DEFINED               22          -      0          60
INTL RECTIFIER CORP          COMMON 460254105   $   42,912   2,234,977   SH   DEFINED               23    2,234,977    0         -
INTL RECTIFIER CORP          COMMON 460254105   $      129       6,707   SH   DEFINED               24        6,707    0         -
INTL RECTIFIER CORP          COMMON 460254105   $  131,799   6,864,512   SH   DEFINED                3    6,864,512    0         -
INTL RECTIFIER CORP          COMMON 460254105   $       15         800   SH   DEFINED                5          -      0         800
INTL SHIPHOLDING CORP        COMMON 460321201   $      328      13,980   SH   DEFINED               23       13,980    0         -
INTL SPEEDWAY CORP CL A      COMMON 460335201   $      588      15,064   SH   DEFINED               23       15,064    0         -
INTL SPEEDWAY CORP CL A      COMMON 460335201   $      143       3,672   SH   DEFINED                5          -      0       3,672
DENISON MINES CORP           COMMON 46052H102   $    3,194     363,700   SH   DEFINED                1      363,700    0         -
DENISON MINES CORP           COMMON 46052H102   $      273      31,100   SH   DEFINED                2       31,100    0         -
DENISON MINES CORP           COMMON 46052H102   $    1,027     116,905   SH   DEFINED               23      116,905    0         -
DENISON MINES CORP           COMMON 46052H102   $   18,949   2,157,400   SH   DEFINED              3,1    2,157,400    0         -
INTERNET CAPITAL GROUP INC   COMMON 46059C205   $    1,823     235,862   SH   DEFINED               23      235,862    0         -
INTERNET INITIATIVE JAPAN
INC                          COMMON 46059T109   $        1          96   SH   DEFINED               23           96    0         -
INTERNET BRANDS INC-CL A     COMMON 460608102   $        2         263   SH   DEFINED               23          263    0         -
INTERPUBLIC GROUP COS INC    COMMON 460690100   $  118,791  13,812,889   SH   DEFINED                1   13,812,889    0         -
INTERPUBLIC GROUP COS INC    COMMON 460690100   $    1,116     129,789   SH   DEFINED               14      129,789    0         -
INTERPUBLIC GROUP COS INC    COMMON 460690100   $      261      30,355   SH   DEFINED               22          855    0      29,500
INTERPUBLIC GROUP COS INC    COMMON 460690100   $    1,069     124,264   SH   DEFINED               23      124,264    0         -
INTERPUBLIC GROUP COS INC    COMMON 460690100   $        6         700   SH   DEFINED               24          700    0         -
INTERPUBLIC GROUP COS INC    COMMON 460690100   $    5,495     638,980   SH   DEFINED                4      638,980    0         -
INTERPUBLIC GROUP COS INC    COMMON 460690100   $       65       7,584   SH   DEFINED                5           20    0       7,564
INTERPUBLIC GROUP COS INC    COMMON 460690100   $       73       8,503   SH   DEFINED                7        8,503    0         -
INTERSIL CORP                COMMON 46069S109   $   39,205   1,612,051   SH   DEFINED                1    1,612,051    0         -
INTERSIL CORP                COMMON 46069S109   $    1,063      43,700   SH   DEFINED             1,15       43,700    0         -
INTERSIL CORP                COMMON 46069S109   $      214       8,800   SH   DEFINED            10,14        8,800    0         -
INTERSIL CORP                COMMON 46069S109   $    8,773     360,750   SH   DEFINED               14      192,800    0     163,150
INTERSIL CORP                COMMON 46069S109   $      379      15,600   SH   DEFINED             14,7          -      0      15,600
INTERSIL CORP                COMMON 46069S109   $    2,353      96,754   SH   DEFINED                2       10,792    0      85,962
INTERSIL CORP                COMMON 46069S109   $    2,195      90,239   SH   DEFINED               23       90,239    0         -
INTERSIL CORP                COMMON 46069S109   $       3         111    SH   DEFINED              24          111    0         -
INTERSIL CORP                COMMON 46069S109   $   3,224     132,583    SH   DEFINED               3      132,583    0         -
INTERSIL CORP                COMMON 46069S109   $       5         210    SH   DEFINED               5          -      0         210
INTERSIL CORP                COMMON 46069S109   $     227       9,333    SH   DEFINED               7        9,333    0         -
INTERSIL CORP                COMMON 46069S109   $     382      15,703    SH   DEFINED               8       15,703    0         -
INTERSIL CORP                COMMON 46069S109   $   2,276      93,600    SH   DEFINED            8,14       93,600    0         -
INTERSTATE HOTELS & RESORTS  COMMON 46088S106   $      44      17,121    SH   DEFINED              23       17,121    0         -
INTERVEST BANCSHARES CORP    COMMON 460927106       $ -            51    SH   DEFINED              23           51    0         -
INTERSECTIONS INC            COMMON 460981301   $       1          79    SH   DEFINED              23           79    0         -
INTERVOICE INC               COMMON 461142101   $     289      50,700    SH   DEFINED              14       36,800    0      13,900
INTERVOICE INC               COMMON 461142101   $       2         432    SH   DEFINED              22          -      0         432
INTERVOICE INC               COMMON 461142101   $     162      28,439    SH   DEFINED              23       28,439    0         -
INTERVOICE INC               COMMON 461142101   $      52       9,200    SH   DEFINED            5,15        9,200    0         -
INTEVAC INC                  COMMON 461148108   $     258      22,900    SH   DEFINED              14       12,800    0      10,100
INTEVAC INC                  COMMON 461148108   $     137      12,124    SH   DEFINED              23       12,124    0         -
INTEVAC INC                  COMMON 461148108   $      36       3,200    SH   DEFINED            5,15        3,200    0         -
INTERWOVEN INC               COMMON 46114T508   $     509      42,381    SH   DEFINED              23       42,381    0         -
INTROGEN THERAPEUTICS INC    COMMON 46119F107   $       1         286    SH   DEFINED              23          286    0         -
INTUIT INC                   COMMON 461202103   $      48       1,728    SH   DEFINED              22        1,228    0         500
INTUIT INC                   COMMON 461202103   $  19,750     716,359    SH   DEFINED              23      716,359    0         -
INTUIT INC                   COMMON 461202103   $   3,071     111,394    SH   DEFINED              24      111,394    0         -
INTUIT INC                   COMMON 461202103   $   1,309      47,472    SH   DEFINED               5          800    0      46,672
INTUIT INC                   COMMON 461202103   $     211       7,652    SH   DEFINED               7        7,652    0         -
INVACARE CORP                COMMON 461203101   $   8,015     392,146    SH   DEFINED               1      392,146    0         -
INVACARE CORP                COMMON 461203101   $   9,511     465,300    SH   DEFINED              14      317,700    0     147,600
INVACARE CORP                COMMON 461203101   $   4,656     227,783    SH   DEFINED               2       89,014    0     138,769
INVACARE CORP                COMMON 461203101   $   1,947      95,234    SH   DEFINED              23       95,234    0         -
INVACARE CORP                COMMON 461203101   $     147       7,205    SH   DEFINED               5        1,630    0       5,575
INVACARE CORP                COMMON 461203101   $   1,351      66,100    SH   DEFINED            5,15       66,100    0         -
INVACARE CORP                COMMON 461203101   $     701      34,300    SH   DEFINED               8       34,300    0         -
INVACARE CORP                COMMON 461203101   $     192       9,400    SH   DEFINED            8,20        9,400    0         -
INTUITIVE SURGICAL INC       COMMON 46120E602   $     259         960    SH   DEFINED           10,14          960    0         -
INTUITIVE SURGICAL INC       COMMON 46120E602   $   5,129      19,040    SH   DEFINED              14       12,100    0       6,300
INTUITIVE SURGICAL INC       COMMON 46120E602   $     366       1,360    SH   DEFINED            14,7          -      0       1,360
INTUITIVE SURGICAL INC       COMMON 46120E602   $   6,866      25,488    SH   DEFINED              22       23,430    0       2,058
INTUITIVE SURGICAL INC       COMMON 46120E602   $     112         415    SH   DEFINED              23          415    0         -
INTUITIVE SURGICAL INC       COMMON 46120E602   $   2,864      10,631    SH   DEFINED              24       10,631    0         -
INTUITIVE SURGICAL INC       COMMON 46120E602   $   4,150      15,404    SH   DEFINED               5       11,154    0       4,250
INTUITIVE SURGICAL INC       COMMON 46120E602   $     256         952    SH   DEFINED               7          952    0         -
INTUITIVE SURGICAL INC       COMMON 46120E602   $   1,568       5,820    SH   DEFINED            8,14        5,820    0         -
INTREPID POTASH INC          COMMON 46121Y102   $  11,916     181,144    SH   DEFINED               1      181,144    0         -
INTREPID POTASH INC          COMMON 46121Y102   $   1,736      26,384    SH   DEFINED               2        6,333    0      20,051
INVENTIV HEALTH INC          COMMON 46122E105   $  11,133     400,627    SH   DEFINED               1      400,627    0         -
INVENTIV HEALTH INC          COMMON 46122E105   $   8,765     315,391    SH   DEFINED               2      315,391    0         -
INVENTIV HEALTH INC          COMMON 46122E105   $      71       2,540    SH   DEFINED              23        2,540    0         -
INVERNESS MEDICAL
INNOVATION                   COMMON 46126P106   $     128       3,871    SH   DEFINED              23        3,871    0         -
INVERNESS MEDICAL
INNOVATION                   COMMON 46126P106   $     561      16,900    SH   DEFINED               5       16,800    0         100
INVERNESS MEDICAL INNOV
PFD 3.                       CONVERT46126P304   $      48         190    SH   DEFINED              23          190    0         -
INVESTMENT TECHNOLOGY GROUP  COMMON 46145F105   $   2,708      80,930    SH   DEFINED              14       32,030    0      47,400
INVESTMENT TECHNOLOGY GROUP  COMMON 46145F105   $     154       4,600    SH   DEFINED            14,7          -      0       4,600
INVESTMENT TECHNOLOGY GROUP  COMMON 46145F105   $   2,465      73,656    SH   DEFINED              23       73,656    0         -
INVESTMENT TECHNOLOGY GROUP  COMMON 46145F105   $     158       4,715    SH   DEFINED               5        1,175    0       3,540
INVESTORS BANCORP INC        COMMON 46146P102   $      89       6,834    SH   DEFINED              23        6,834    0         -
INVESTORS REAL ESTATE TRUST  COMMON 461730103   $   5,267     552,100    SH   DEFINED              14      422,800    0     129,300
INVESTORS REAL ESTATE TRUST  COMMON 461730103   $     316      33,112    SH   DEFINED              23       33,112    0         -
INVESTORS REAL ESTATE TRUST  COMMON 461730103   $     664      69,600    SH   DEFINED            5,15       69,600    0         -
INVESTORS REAL ESTATE TRUST  COMMON 461730103   $     218      22,900    SH   DEFINED               8       22,900    0         -
INVESTORS REAL ESTATE TRUST  COMMON 461730103   $      60       6,300    SH   DEFINED            8,20        6,300    0         -
INVITROGEN CORP              COMMON 46185R100   $  36,811     937,616    SH   DEFINED               1      937,616    0         -
INVITROGEN CORP              COMMON 46185R100   $   1,280      32,600    SH   DEFINED           10,14       32,600    0         -
INVITROGEN CORP              COMMON 46185R100   $     282       7,180    SH   DEFINED            10,7        7,180    0         -
INVITROGEN CORP              COMMON 46185R100   $     319       8,128    SH   DEFINED              13        8,128    0         -
INVITROGEN CORP              COMMON 46185R100   $  65,030   1,656,400    SH   DEFINED              14      876,400    0     737,600
INVITROGEN CORP              COMMON 46185R100   $   1,178      30,000    SH   DEFINED           14,13          -      0      30,000
INVITROGEN CORP              COMMON 46185R100   $   1,178      30,000    SH   DEFINED            14,7          -      0      30,000
INVITROGEN CORP              COMMON 46185R100   $     141       3,600    SH   DEFINED              17        3,600    0         -
INVITROGEN CORP              COMMON 46185R100   $     104       2,648    SH   DEFINED              19        2,648    0         -
INVITROGEN CORP              COMMON 46185R100   $   8,847     225,333    SH   DEFINED               2      225,333    0         -
INVITROGEN CORP              COMMON 46185R100   $     173       4,400    SH   DEFINED           20,14          -      0         -
INVITROGEN CORP              COMMON 46185R100   $   1,418      36,120    SH   DEFINED            20,2          -      0      36,120
INVITROGEN CORP              COMMON 46185R100   $   1,184      30,153    SH   DEFINED              21       30,153    0         -
INVITROGEN CORP              COMMON 46185R100   $  14,243     362,799    SH   DEFINED              23      362,799    0         -
INVITROGEN CORP              COMMON 46185R100   $      26         674    SH   DEFINED              24          674    0         -
INVITROGEN CORP              COMMON 46185R100   $   2,277      58,000    SH   DEFINED               3       58,000    0         -
INVITROGEN CORP              COMMON 46185R100   $     232       5,897    SH   DEFINED               4        5,897    0         -
INVITROGEN CORP              COMMON 46185R100   $   2,638      67,200    SH   DEFINED            5,15       67,200    0         -
INVITROGEN CORP              COMMON 46185R100   $   3,524      89,771    SH   DEFINED               7       89,771    0         -
INVITROGEN CORP              COMMON 46185R100   $   8,335     212,315    SH   DEFINED               8      212,315    0         -
INVITROGEN CORP              COMMON 46185R100   $   7,428     189,200    SH   DEFINED            8,14      189,200    0         -
INVITROGEN CORP              COMMON 46185R100   $   1,325      33,752    SH   DEFINED               9       33,752    0         -
INVITROGEN CORP              COMMON 46185R100   $     636      16,200    SH   DEFINED            9,14          -      0      16,200
IOMEGA CORP                  COMMON 462030305       $ -            28    SH   DEFINED               5          -      0          28
ION GEOPHYSICAL CORP         COMMON 462044108   $  13,984     801,359    SH   DEFINED               1      801,359    0         -
ION GEOPHYSICAL CORP         COMMON 462044108   $      47       2,700    SH   DEFINED              14        2,700    0         -
ION GEOPHYSICAL CORP         COMMON 462044108   $  11,517     659,975    SH   DEFINED               2      659,975    0         -
ION GEOPHYSICAL CORP         COMMON 462044108   $   1,703      97,575    SH   DEFINED              22       95,075    0       2,500
ION GEOPHYSICAL CORP         COMMON 462044108   $      82       4,681    SH   DEFINED              23        4,681    0         -
ION GEOPHYSICAL CORP         COMMON 462044108   $   1,301      74,550    SH   DEFINED               5       21,300    0      53,250
IOWA TELECOMMUNICATIONS
SERV                         COMMON 462594201   $   3,140     178,300    SH   DEFINED              14      120,600    0      57,700
IOWA TELECOMMUNICATIONS
SERV                         COMMON 462594201   $      88       5,000    SH   DEFINED              22          -      0       5,000
IOWA TELECOMMUNICATIONS
SERV                         COMMON 462594201   $     597      33,880    SH   DEFINED              23       33,880    0         -
IOWA TELECOMMUNICATIONS
SERV                         COMMON 462594201   $     534      30,300    SH   DEFINED            5,15       30,300    0         -
IPAS INC                     COMMON 46261V108   $      30      14,677    SH   DEFINED              23       14,677    0         -
BANK OF IRELAND ADR          COMMON 46267Q103   $   7,555     216,300    SH   DEFINED              23      216,300    0         -
BANK OF IRELAND ADR          COMMON 46267Q103   $   5,839     167,151    SH   DEFINED               4      167,151    0         -
IRIS INTERNATIONAL INC       COMMON 46270W105   $       3         162    SH   DEFINED              23          162    0         -
IROBOT CORP                  COMMON 462726100   $       1          43    SH   DEFINED              23           43    0         -
IRON MOUNTAIN INC            COMMON 462846106   $      81       3,058    SH   DEFINED              14          -      0       3,058
IRON MOUNTAIN INC            COMMON 462846106   $      16         600    SH   DEFINED              22          600    0         -
IRON MOUNTAIN INC            COMMON 462846106   $     225       8,483    SH   DEFINED              23        8,483    0         -
IRON MOUNTAIN INC              COMMON 462846106 $       4         156    SH   DEFINED              24          156    0         -
IRON MOUNTAIN INC              COMMON 462846106 $      10         391    SH   DEFINED               5          -      0         391
IRWIN FINANCIAL CORP           COMMON 464119106 $      14       5,220    SH   DEFINED              23        5,220    0         -
ISHARES COMEX GOLD TRUST ETF   COMMON 464285105 $   4,105      45,000    SH   DEFINED               1       45,000    0         -
ISHARES COMEX GOLD TRUST ETF   COMMON 464285105 $     610       6,690    SH   DEFINED              22          -      0       6,690
ISHARES MSCI AUSTRALIA INDEX E COMMON 464286103 $      13         500    SH   DEFINED              22          -      0         500
ISHARES MSCI AUSTRIA INDEX ETF COMMON 464286202 $      14         400    SH   DEFINED              22          -      0         400
ISHARES MSCI BRAZIL INDEX ETF  COMMON 464286400 $     321       3,590    SH   DEFINED              22          215    0       3,375
ISHARES MSCI BRAZIL INDEX ETF  COMMON 464286400 $      58         647    SH   DEFINED               5          647    0         -
ISHARES MSCI CANADA ETF        COMMON 464286509 $       7         200    SH   DEFINED              22          -      0         200
ISHARES MSCI EMU ETF           COMMON 464286608 $     229       2,000    SH   DEFINED              22          -      0       2,000
ISHARES MSCI BRIC INDEX FUND M COMMON 464286657 $   1,632      27,800    SH   DEFINED              22          -      0      27,800
ISHARES MSCI PACIFIC EX JPN ET COMMON 464286665 $  10,118      67,325    SH   DEFINED              22          515    0      66,810
ISHARES MSCI PACIFIC EX JPN ET COMMON 464286665 $      63         422    SH   DEFINED               5          422    0         -
ISHARES MSCI SINGAPORE ETF     COMMON 464286673     $ -            35    SH   DEFINED              22           35    0         -
ISHARES MSCI TAIWAN INDEX FD E COMMON 464286731 $     162      11,492    SH   DEFINED               2       11,492    0         -
ISHARES MSCI TAIWAN INDEX FD E COMMON 464286731 $  14,439   1,021,895    SH   DEFINED              22      821,695    0     200,200
ISHARES MSCI TAIWAN INDEX FD E COMMON 464286731 $   2,093     148,115    SH   DEFINED               5       58,115    0      90,000
ISHARES MSCI SOUH KOREA ETF    COMMON 464286772 $      42         825    SH   DEFINED               2          825    0         -
ISHARES MSCI SOUH KOREA ETF    COMMON 464286772 $     999      19,577    SH   DEFINED              22        3,977    0      15,600
ISHARES MSCI SOUH KOREA ETF    COMMON 464286772 $     189       3,700    SH   DEFINED               5        1,000    0       2,700
ISHARES MSCI GERMANY INDEX ETF COMMON 464286806 $      26         900    SH   DEFINED              22          -      0         900
ISHARES MSCI JAPAN INDEX ETF   COMMON 464286848 $  21,978   1,762,475    SH   DEFINED              22    1,166,150    0     596,325
ISHARES MSCI JAPAN INDEX ETF   COMMON 464286848 $   3,023     242,425    SH   DEFINED               5      119,730    0     122,695
ISHARES MSCI JAPAN INDEX ETF   COMMON 464286848 $  13,991   1,122,000    SH   DEFINED               6    1,122,000    0         -
ISHARES MSCI HONG KONG INDEX E COMMON 464286871 $   1,297      76,538    SH   DEFINED              22        4,788    0      71,750
ISHARES MSCI HONG KONG INDEX E COMMON 464286871 $      80       4,700    SH   DEFINED               5        4,700    0         -
ISHARES S&P 100 INDEX FUND ETF COMMON 464287101 $     483       8,300    SH   DEFINED           20,14          -      0         -
ISHARES S&P 100 INDEX FUND ETF COMMON 464287101 $     414       7,120    SH   DEFINED              22        5,960    0       1,160
ISHARES DJ SELECT DIVIDEND ETF COMMON 464287168 $   6,193     106,316    SH   DEFINED              22        2,450    0     103,866
ISHARES DJ SELECT DIVIDEND ETF COMMON 464287168 $      35         600    SH   DEFINED               5          600    0         -
ISHARES LEHMAN TRES INF PR S E COMMON 464287176 $     453       4,240    SH   DEFINED              22          710    0       3,530
ISHARES LEHMAN TRES INF PR S E COMMON 464287176 $     426       3,994    SH   DEFINED              23        3,994    0         -
ISHARES FTSE-XINHUA CHINA 25 E COMMON 464287184 $   1,951      12,817    SH   DEFINED              22          700    0      12,117
ISHARES FTSE-XINHUA CHINA 25 E COMMON 464287184 $      56         365    SH   DEFINED               5          365    0         -
ISHARES S&P 500 INDEX ETF      COMMON 464287200 $   3,652      28,532    SH   DEFINED               1       28,532    0         -
ISHARES S&P 500 INDEX ETF      COMMON 464287200 $   2,061      16,100    SH   DEFINED              11       16,100    0         -
ISHARES S&P 500 INDEX ETF      COMMON 464287200 $  26,414     206,360    SH   DEFINED              22        6,859    0     199,501
ISHARES S&P 500 INDEX ETF      COMMON 464287200 $   9,823      76,743    SH   DEFINED               5        4,143    0      72,600
ISHARES S&P 500 INDEX ETF      COMMON 464287200 $     448       3,500    SH   DEFINED               6        3,500    0         -
ISHARES LEHMAN AGG BOND ETF    COMMON 464287226 $  18,529     183,494    SH   DEFINED              22       46,415    0     137,079
ISHARES LEHMAN AGG BOND ETF    COMMON 464287226 $  15,506     153,552    SH   DEFINED               5      148,739    0       4,813
ISHARES MSCI EMERGING MKT INC  COMMON 464287234 $     896       6,600    SH   DEFINED              14          -      0         -
ISHARES MSCI EMERGING MKT INC  COMMON 464287234 $  50,185     369,769    SH   DEFINED              22       17,876    0     351,893
ISHARES MSCI EMERGING MKT INC  COMMON 464287234 $     445       3,280    SH   DEFINED              23        3,280    0         -
ISHARES MSCI EMERGING MKT INC  COMMON 464287234 $   1,726      12,715    SH   DEFINED               5        7,255    0       5,460
ISHARES GS$ INVESTOP CORP BD E COMMON 464287242 $   3,258      31,571    SH   DEFINED              22          -      0      31,571
ISHARES GS$ INVESTOP CORP BD E COMMON 464287242 $     861       8,341    SH   DEFINED              23        8,341    0         -
ISHARES S&P GLBL TELECOMM SE E COMMON 464287275 $      76       1,200    SH   DEFINED              22          -      0       1,200
ISHARES S&P GLBL TECH SECTOR E COMMON 464287291 $      75       1,175    SH   DEFINED              22          375    0         800
ISHARES S&P 500 GROWTH INDEX E COMMON 464287309 $     868      12,763    SH   DEFINED              22          -      0      12,763
ISHARES S&P 500 GROWTH INDEX E COMMON 464287309 $   1,000      14,705    SH   DEFINED               5       14,705    0         -
ISHARES S&P GLBL HEALTHCARE ET COMMON 464287325 $      27         500    SH   DEFINED              22          -      0         500
ISHARES S&P GLBL HEALTHCARE ET COMMON 464287325 $     110       2,040    SH   DEFINED               5        2,040    0         -
ISHARES S&P GLBL FINL SECTOR M COMMON 464287333 $      22         300    SH   DEFINED              22          -      0         300
ISHARES S&P GLBL ENERGY SECT E COMMON 464287341 $      11          70    SH   DEFINED              22          -      0          70
ISHARES S&P GSSI NATURAL RES   COMMON 464287374 $     315       2,100    SH   DEFINED              22          -      0       2,100
ISHARES S&P GSSI NATURAL RES   COMMON 464287374 $      23         152    SH   DEFINED               5          152    0         -
ISHARES S&P LATIN AMERICA 40 E COMMON 464287390 $     346       1,150    SH   DEFINED              22          -      0       1,150
ISHARES S&P 500 VALUE INDEX FU COMMON 464287408 $     259       3,600    SH   DEFINED              22        3,600    0         -
ISHARES S&P 500 VALUE INDEX FU COMMON 464287408 $     495       6,900    SH   DEFINED               5        6,900    0         -
ISHARES LEHMAN 20+YR TREAS ETF COMMON 464287432 $     144       1,560    SH   DEFINED              23        1,560    0         -
ISHARES LEHMAN 7-10YR TREAS ET COMMON 464287440 $   1,085      12,425    SH   DEFINED              22          -      0      12,425
ISHARES LEHMAN 7-10YR TREAS ET COMMON 464287440 $     162       1,850    SH   DEFINED              23        1,850    0         -
ISHARES LEHMAN 1-3YR TRS BD ET COMMON 464287457 $   7,769      93,710    SH   DEFINED              22        3,825    0      89,885
ISHARES LEHMAN 1-3YR TRS BD ET COMMON 464287457 $      72         866    SH   DEFINED              23          866    0         -
ISHARES MSCI EAFE INDEX ETF    COMMON 464287465 $  13,798     200,936    SH   DEFINED              11      200,936    0         -
ISHARES MSCI EAFE INDEX ETF    COMMON 464287465 $   1,820      26,500    SH   DEFINED              14          -      0         -
ISHARES MSCI EAFE INDEX ETF    COMMON 464287465 $ 136,544   1,988,413    SH   DEFINED              22      230,613    0   1,757,801
ISHARES MSCI EAFE INDEX ETF    COMMON 464287465 $     243       3,536    SH   DEFINED               4        3,536    0         -
ISHARES MSCI EAFE INDEX ETF    COMMON 464287465 $   6,751      98,314    SH   DEFINED               5       73,728    0      24,586
ISHARES RUSSELL MIDCAP VALUE E COMMON 464287473 $   1,669      11,818    SH   DEFINED              22        1,418    0      10,400
ISHARES RUSSELL MIDCAP VALUE E COMMON 464287473 $   1,163       8,237    SH   DEFINED               5        7,487    0         750
ISHARES RUSSELL MIDCAP GRWTH E COMMON 464287481 $  12,630     119,329    SH   DEFINED              22       10,790    0     108,539
ISHARES RUSSELL MIDCAP GRWTH E COMMON 464287481 $   3,121      29,487    SH   DEFINED               5       26,257    0       3,230
ISHARES RUSSELL MIDCAP INDEX E COMMON 464287499 $  14,981     143,913    SH   DEFINED              22        7,520    0     136,394
ISHARES RUSSELL MIDCAP INDEX E COMMON 464287499 $     379       3,643    SH   DEFINED               4        3,643    0         -
ISHARES RUSSELL MIDCAP INDEX E COMMON 464287499 $     401       3,850    SH   DEFINED               5        3,850    0         -
ISHARES S&P MIDCAP 400 ETF     COMMON 464287507 $   8,866     108,684    SH   DEFINED              22       42,450    0      66,234
ISHARES S&P MIDCAP 400 ETF     COMMON 464287507 $      84       1,030    SH   DEFINED               5        1,030    0         -
ISHARES GOLDMAN SACHS SEMI ETF COMMON 464287523 $     197       3,394    SH   DEFINED              22          -      0       3,394
ISHARES GOLDMAN SACHS NETWOR E COMMON 464287531 $      11         350    SH   DEFINED              22          -      0         350
ISHARES NASDAQ BIOTECH INDEX E COMMON 464287556 $     209       2,715    SH   DEFINED              22        1,175    0       1,540
ISHARES NASDAQ BIOTECH INDEX E COMMON 464287556 $      49         635    SH   DEFINED               5          635    0         -
ISHARES COHEN & STEERS RLTY ET COMMON 464287564 $     426       4,996    SH   DEFINED              22          600    0       4,396
ISHARES COHEN & STEERS RLTY ET COMMON 464287564 $     358       4,200    SH   DEFINED               5        4,200    0         -
ISHARES DJ US CNSMER SERVICE E COMMON 464287580 $      18         300    SH   DEFINED              22          -      0         300
ISHARES RUSSELL 1000 VALUE ETF COMMON 464287598 $   1,444      20,914    SH   DEFINED              22        6,779    0      14,135
ISHARES RUSSELL 1000 VALUE ETF COMMON 464287598 $     808      11,700    SH   DEFINED               4       11,700    0         -
ISHARES RUSSELL 1000 VALUE ETF COMMON 464287598 $     405       5,865    SH   DEFINED               5        3,566    0       2,299
ISHARES S&P MID CAP 400 GROWTH COMMON 464287606 $     571       6,455    SH   DEFINED              22          -      0       6,455
ISHARES RUSSELL 1000 GROWTH ET COMMON 464287614 $   9,443     170,947    SH   DEFINED              22       42,188    0     128,759
ISHARES RUSSELL 1000 GROWTH ET COMMON 464287614 $  13,243     239,743    SH   DEFINED               5      202,746    0      36,997
ISHARES RUSSELL 1000 INDEX ETF COMMON 464287622 $     614       8,715    SH   DEFINED              22        1,775    0       6,940
ISHARES RUSSELL 1000 INDEX ETF COMMON 464287622 $     102       1,450    SH   DEFINED               5          250    0       1,200
RUSSELL 2000 ISHARES ETF       COMMON 464287630 $  12,508     196,300    SH   DEFINED              22        9,365    0     186,935
RUSSELL 2000 ISHARES ETF       COMMON 464287630 $     831      13,045    SH   DEFINED               5          370    0      12,675
ISHARES RUSSELL 2000 I SHARE E COMMON 464287648 $   2,772      36,395    SH   DEFINED              22          -      0      36,395
ISHARES RUSSELL 2000 I SHARE E COMMON 464287648 $     684       8,980    SH   DEFINED               5        8,300    0         680
RUSSELL 2000 I SHARE ETF       COMMON 464287655 $  12,337     178,670    SH   DEFINED              22       13,819    0     164,851
RUSSELL 2000 I SHARE ETF       COMMON 464287655 $     582       8,430    SH   DEFINED               5        1,480    0       6,950
ISHARES RUSSELL 3000 INDEX ETF COMMON 464287689 $   3,699      49,386    SH   DEFINED               1       49,386    0         -
ISHARES RUSSELL 3000 INDEX ETF COMMON 464287689 $     745       9,950    SH   DEFINED              22          -      0       9,950
ISHARES RUSSELL 3000 INDEX ETF COMMON 464287689 $      21         275    SH   DEFINED               5          275    0         -
ISHARES DJ US UTILITIES SECT E COMMON 464287697 $     562       5,585    SH   DEFINED              22          700    0       4,885
ISHARES S&P MIDCAP 400-VALUE E COMMON 464287705 $       6          84    SH   DEFINED              22          -      0          84
ISHARES DJ US TECHNOLOGY SEC E COMMON 464287721 $   5,895     108,782    SH   DEFINED              22        1,100    0     107,682
ISHARES DOW JONES US REAL EST  COMMON 464287739 $     982      16,148    SH   DEFINED              14       16,148    0         -
ISHARES DOW JONES US REAL EST  COMMON 464287739 $      39         635    SH   DEFINED              22          -      0         635
ISHARES DJ US INDUSTRIAL SEC E COMMON 464287754 $      22         300    SH   DEFINED              22          -      0         300
ISHARES DJ US HEALTHCARE SEC E COMMON 464287762 $     190       2,929    SH   DEFINED              22          -      0       2,929
ISHARES DJ US FINANCIAL SECT E COMMON 464287788 $     168       2,035    SH   DEFINED              22          -      0       2,035
ISHARES DJ US ENERGY SECTOR ET COMMON 464287796 $     118         800    SH   DEFINED              22          -      0         800
ISHARES S&P SMALLCAP 600 ETF   COMMON 464287804 $   8,116     134,886    SH   DEFINED              22       19,883    0     115,003
ISHARES S&P SMALLCAP 600 ETF   COMMON 464287804 $     451       7,495    SH   DEFINED               5        7,495    0         -
ISHARES DJ US CONSMR GOODS ETF COMMON 464287812 $       8         135    SH   DEFINED              22          -      0         135
ISHARES DJ US BASIC MATERIAL E COMMON 464287838 $      32         370    SH   DEFINED              22          -      0         370
ISHARES DJ US INDEX FUND       COMMON 464287846 $     207       3,000    SH   DEFINED              22          -      0       3,000
ISHARES S&P EU 350 ETF         COMMON 464287861 $     365       3,750    SH   DEFINED              22          -      0       3,750
ISHARES S&P SMALLCAP 600 VALUE COMMON 464287879 $     656       9,400    SH   DEFINED              22          -      0       9,400
ISHARES S&P SMALLCAP 600 VALUE COMMON 464287879 $      32         460    SH   DEFINED               5          460    0         -
ISHARE S&P 600 GRO ETF         COMMON 464287887 $     298       2,340    SH   DEFINED              22          -      0       2,340
ISHARES JP MORGAN EM BOND FD E COMMON 464288281 $      50         500    SH   DEFINED              22          -      0         500
ISHARES S&P NAT MUNI BOND FD M COMMON 464288414 $   2,436      24,000    SH   DEFINED              22          -      0      24,000
ISHARES LEHMAN MBS FIXED-RAT E COMMON 464288588 $     619       6,073    SH   DEFINED              23        6,073    0         -
ISHARES LEHMAN INTERMEDIATE    COMMON 464288612 $     570       5,552    SH   DEFINED               5        5,552    0         -
ISHARES LEHMAN INTERMEDIATE ET COMMON 464288638 $     100       1,000    SH   DEFINED              22        1,000    0         -
ISHARES LEHMAN 3-7 YEAR TREA E COMMON 464288661 $   1,489      14,015    SH   DEFINED              22          -      0      14,015
ISHARES LEHMAN SHORT TREASUR E COMMON 464288679 $   1,652      15,000    SH   DEFINED              22          -      0      15,000
ISHARES S&P PREF STK INDX FN E COMMON 464288687 $     842      18,900    SH   DEFINED              22          -      0      18,900
ISHARES DJ US HOME CONSTRUCT E COMMON 464288752 $       9         500    SH   DEFINED              22          -      0         500
ISHARES DJ US AEROSPACE & DF E COMMON 464288760 $      19         300    SH   DEFINED               5          300    0         -
ISHARES DJ US REGIONAL BANKS   COMMON 464288778 $      40       1,200    SH   DEFINED              22          -      0       1,200
ISHARES RUSSELL MICROCAP INX E COMMON 464288869 $     174       3,549    SH   DEFINED              22          -      0       3,549
ISHARES MSCI EAFE VALUE INX    COMMON 464288877 $     112       1,625    SH   DEFINED              22          -      0       1,625
ISHARES MSCI EAFE GROWTH INX   COMMON 464288885 $     186       2,400    SH   DEFINED              22          -      0       2,400
ISILON SYSTEMS INC             COMMON 46432L104 $       3         626    SH   DEFINED              22          626    0         -
ISILON SYSTEMS INC             COMMON 46432L104 $       1         162    SH   DEFINED              23          162    0         -
ISILON SYSTEMS INC             COMMON 46432L104 $   1,380     310,900    SH   DEFINED               3      310,900    0         -
ISIS PHARMACEUTICALS INC       COMMON 464330109 $     183      13,457    SH   DEFINED              23       13,457    0         -
ISLE OF CAPRI CASINOS          COMMON 464592104 $      46       9,530    SH   DEFINED              23        9,530    0         -
ISOLAGEN INC                   COMMON 46488N103 $       5       8,863    SH   DEFINED              22        8,063    0         800
ISORAY INC                     COMMON 46489V104 $      80     100,000    SH   DEFINED               5      100,000    0         -
ITC HOLDINGS CORP              COMMON 465685105 $  11,753     229,958    SH   DEFINED               1      229,958    0         -
ITC HOLDINGS CORP              COMMON 465685105 $   9,192     179,838    SH   DEFINED               2      179,838    0         -
ITC HOLDINGS CORP              COMMON 465685105 $     649      12,696    SH   DEFINED              23       12,696    0         -
ITC HOLDINGS CORP              COMMON 465685105 $     179       3,500    SH   DEFINED               5          -      0       3,500
ITO YOKADO CO LTD ADR          COMMON 465714301 $       2         100    SH   DEFINED              22          -      0         100
ITRON INC                      COMMON 465741106 $     521       5,300    SH   DEFINED              17        5,300    0         -
ITRON INC                      COMMON 465741106 $ 155,282   1,578,869    SH   DEFINED              23    1,578,869    0         -
ITRON INC                      COMMON 465741106 $     286       2,911    SH   DEFINED              24        2,911    0         -
ITRON INC                      COMMON 465741106 $     521       5,300    SH   DEFINED               5          -      0       5,300
I2 TECHNOLOGIES INC            COMMON 465754208 $      37       2,997    SH   DEFINED              23        2,997    0         -
IVANHOE ENERGY INC             COMMON 465790103 $       4       1,607    SH   DEFINED              23        1,607    0         -
IXYS CORP                      COMMON 46600W106 $      45       3,732    SH   DEFINED              23        3,732    0         -
J & J SNACK FOODS CORP         COMMON 466032109 $      60       2,175    SH   DEFINED              23        2,175    0         -
JA SOLAR HOLDINGS CO LTD-ADR   COMMON 466090107 $  46,417   2,754,716    SH   DEFINED              23    2,754,716    0         -
JA SOLAR HOLDINGS CO LTD-ADR   COMMON 466090107 $      90       5,333    SH   DEFINED              24        5,333    0         -
J CREW GROUP INC               COMMON 46612H402 $     669      20,271    SH   DEFINED              23       20,271    0         -
JDS UNIPHASE CORP              COMMON 46612J507 $      39       3,393    SH   DEFINED              16          -    3393         -
JDS UNIPHASE CORP              COMMON 46612J507 $      55       4,875    SH   DEFINED              22        1,938    0       2,937
JDS UNIPHASE CORP              COMMON 46612J507 $     215      18,970    SH   DEFINED              23       18,970    0         -
JDS UNIPHASE CORP              COMMON 46612J507     $ -            20    SH   DEFINED               5           20    0         -
JDA SOFTWARE GROUP INC         COMMON 46612K108 $  11,783     650,978    SH   DEFINED               1      650,978    0         -
JDA SOFTWARE GROUP INC         COMMON 46612K108 $     369      20,400    SH   DEFINED              14       10,400    0      10,000
JDA SOFTWARE GROUP INC         COMMON 46612K108 $   9,332     515,602    SH   DEFINED               2      515,602    0         -
JDA SOFTWARE GROUP INC         COMMON 46612K108 $   1,518      83,868    SH   DEFINED              23       83,868    0         -
JDA SOFTWARE GROUP INC         COMMON 46612K108 $      60       3,300    SH   DEFINED            5,15        3,300    0         -
JER INVESTORS TRUST INC        COMMON 46614H301 $     249      39,500    SH   DEFINED               2       39,500    0         -
JER INVESTORS TRUST INC        COMMON 46614H301 $      40       6,421    SH   DEFINED              23        6,421    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $ 119,540   3,484,109    SH   DEFINED               1    3,484,109    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $     920      26,800    SH   DEFINED            1,15       26,800    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   1,160      33,800    SH   DEFINED           10,14       33,800    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $  18,840     549,114    SH   DEFINED              11      117,014    0     432,100
JP MORGAN CHASE & CO           COMMON 46625H100 $  47,937   1,397,164    SH   DEFINED              14    1,054,364    0     292,200
JP MORGAN CHASE & CO           COMMON 46625H100 $     463      13,500    SH   DEFINED           14,13          -      0      13,500
JP MORGAN CHASE & CO           COMMON 46625H100 $   7,408     215,900    SH   DEFINED            14,7          -      0     215,900
JP MORGAN CHASE & CO           COMMON 46625H100 $      13         375    SH   DEFINED           18,11          375    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $     396      11,550    SH   DEFINED           18,14          -      0      11,550
JP MORGAN CHASE & CO           COMMON 46625H100 $     588      17,124    SH   DEFINED              19       17,124    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   1,274      37,138    SH   DEFINED           19,14       21,302    0      15,836
JP MORGAN CHASE & CO           COMMON 46625H100 $   1,057      30,800    SH   DEFINED           20,14          -      0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $       1          15    SH   DEFINED              21           15    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $  21,893     638,105    SH   DEFINED              22      194,824    0     443,281
JP MORGAN CHASE & CO           COMMON 46625H100 $  23,219     676,730    SH   DEFINED              23      676,730    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $     243       7,078    SH   DEFINED              24        7,078    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   2,975      86,700    SH   DEFINED               3       86,700    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   5,405     157,527    SH   DEFINED               4      157,527    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   9,603     279,892    SH   DEFINED               5      219,727    0      60,165
JP MORGAN CHASE & CO           COMMON 46625H100 $   1,043      30,400    SH   DEFINED            5,15       30,400    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $     823      24,000    SH   DEFINED               6       24,000    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   3,579     104,306    SH   DEFINED               7      104,306    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $  10,589     308,641    SH   DEFINED               8      308,641    0         -
JP MORGAN CHASE & CO           COMMON 46625H100 $   8,276     241,200    SH   DEFINED            8,14      204,800    0      36,400
JP MORGAN CHASE & CO           COMMON 46625H100 $     250       7,300    SH   DEFINED            9,14          -      0       7,300
J2 GLOBAL COMMUNICATIONS INC   COMMON 46626E205 $      39       1,700    SH   DEFINED              14        1,700    0         -
J2 GLOBAL COMMUNICATIONS INC   COMMON 46626E205 $     178       7,740    SH   DEFINED              22        7,740    0         -
J2 GLOBAL COMMUNICATIONS INC   COMMON 46626E205 $   1,291      56,152    SH   DEFINED              23       56,152    0         -
J2 GLOBAL COMMUNICATIONS INC   COMMON 46626E205 $     342      14,860    SH   DEFINED               5        1,335    0      13,525
JABIL CIRCUIT INC              COMMON 466313103 $      39       2,400    SH   DEFINED              13        2,400    0         -
JABIL CIRCUIT INC              COMMON 466313103 $  21,036   1,281,890    SH   DEFINED              14      536,790    0     736,900
JABIL CIRCUIT INC              COMMON 466313103 $     494      30,100    SH   DEFINED            14,7          -      0      30,100
JABIL CIRCUIT INC              COMMON 466313103 $      39       2,400    SH   DEFINED           20,14          -      0         -
JABIL CIRCUIT INC              COMMON 466313103 $     513      31,258    SH   DEFINED              23       31,258    0         -
JABIL CIRCUIT INC              COMMON 466313103 $       9         569    SH   DEFINED              24          569    0         -
JABIL CIRCUIT INC              COMMON 466313103 $       5         334    SH   DEFINED               5          -      0         334
JACK IN THE BOX INC            COMMON 466367109 $  14,608     651,847    SH   DEFINED               1      651,847    0         -
JACK IN THE BOX INC            COMMON 466367109 $     325      14,481    SH   DEFINED            13,2          -      0      14,481
JACK IN THE BOX INC            COMMON 466367109 $   9,152     408,370    SH   DEFINED               2      408,370    0         -
JACK IN THE BOX INC            COMMON 466367109 $       4         200    SH   DEFINED              22          -      0         200
JACK IN THE BOX INC            COMMON 466367109 $   2,637     117,677    SH   DEFINED              23      117,677    0         -
JACK IN THE BOX INC            COMMON 466367109 $       2         102    SH   DEFINED              24          102    0         -
JACKSON HEWITT TAX SERVICE     COMMON 468202106 $   8,760     716,851    SH   DEFINED             1,3      716,851    0         -
JACKSON HEWITT TAX SERVICE     COMMON 468202106 $     548      44,815    SH   DEFINED            18,3       44,815    0         -
JACKSON HEWITT TAX SERVICE     COMMON 468202106 $      62       5,040    SH   DEFINED              23        5,040    0         -
JACKSON HEWITT TAX SERVICE     COMMON 468202106 $  42,439   3,472,887    SH   DEFINED               3    3,472,887    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $  51,444     637,476    SH   DEFINED               1      637,476    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $     605       7,500    SH   DEFINED              14        1,200    0       5,900
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $     169       2,100    SH   DEFINED            14,7          -      0       2,100
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $   3,495      43,312    SH   DEFINED               2       43,312    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $     125       1,550    SH   DEFINED              22          -      0       1,550
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $  20,794     257,667    SH   DEFINED              23      257,667    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $       7          87    SH   DEFINED              24           87    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $     129       1,600    SH   DEFINED               5        1,600    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $     182       2,253    SH   DEFINED               7        2,253    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $   1,667      20,656    SH   DEFINED               8       20,656    0         -
JACOBS ENGINEERING GROUP INC   COMMON 469814107 $     145       1,798    SH   DEFINED             8,2        1,798    0         -
JAKKS PACIFIC INC              COMMON 47012E106 $      46       2,100    SH   DEFINED              14        2,100    0         -
JAKKS PACIFIC INC              COMMON 47012E106 $     271      12,417    SH   DEFINED              23       12,417    0         -
JAKKS PACIFIC INC              COMMON 47012E106 $     173       7,920    SH   DEFINED               5        1,795    0       6,125
JAMBA INC                      COMMON 47023A101 $       1         460    SH   DEFINED              23          460    0         -
JAMES RIVER COAL CO            COMMON 470355207 $   1,649      28,100    SH   DEFINED              14       14,200    0      13,900
JAMES RIVER COAL CO            COMMON 470355207 $     191       3,249    SH   DEFINED              23        3,249    0         -
JAMES RIVER COAL CO            COMMON 470355207 $     252       4,300    SH   DEFINED            5,15        4,300    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $  13,888     524,678    SH   DEFINED               1      524,678    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     185       7,000    SH   DEFINED           10,14        7,000    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $   8,613     325,380    SH   DEFINED              14      156,980    0     163,800
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     532      20,100    SH   DEFINED            14,7          -      0      20,100
JANUS CAPITAL GROUP INC        COMMON 47102X105 $   5,210     196,843    SH   DEFINED               2      196,843    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $      16         608    SH   DEFINED              22          -      0         608
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     320      12,103    SH   DEFINED              23       12,103    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $       4         134    SH   DEFINED              24          134    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     271      10,247    SH   DEFINED               4       10,247    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     228       8,600    SH   DEFINED               5        8,600    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     270      10,187    SH   DEFINED               7       10,187    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     514      19,400    SH   DEFINED               8       19,400    0         -
JANUS CAPITAL GROUP INC        COMMON 47102X105 $     964      36,400    SH   DEFINED            8,14       36,400    0         -
JAPAN SMALLER CAPITALIZATION C COMMON 47109U104 $     173      17,000    SH   DEFINED              22          -      0      17,000
JARDEN CORP                    COMMON 471109108 $  39,902   2,187,625    SH   DEFINED               1    2,187,625    0         -
JARDEN CORP                    COMMON 471109108 $   2,853     156,391    SH   DEFINED               2       15,687    0     140,704
JARDEN CORP                    COMMON 471109108 $     124       6,780    SH   DEFINED              23        6,780    0         -
JARDEN CORP                    COMMON 471109108 $       2         131    SH   DEFINED              24          131    0         -
JARDEN CORP                    COMMON 471109108 $      42       2,300    SH   DEFINED               5          -      0       2,300
JAZZ PHARMACEUTICALS INC       COMMON 472147107     $ -            64    SH   DEFINED              23           64    0         -
JEFFERIES GROUP INC            COMMON 472319102 $       2         120    SH   DEFINED              22          -      0         120
JEFFERIES GROUP INC            COMMON 472319102 $     145       8,594    SH   DEFINED              23        8,594    0         -
JEFFERIES GROUP INC            COMMON 472319102 $       3         161    SH   DEFINED              24          161    0         -
JETBLUE AIRWAYS CORP           COMMON 477143101 $      84      22,628    SH   DEFINED              23       22,628    0         -
JETBLUE AIRWAYS CORP           COMMON 477143101 $       2         443    SH   DEFINED              24          443    0         -
JO-ANN STORES INC              COMMON 47758P307 $     196       8,500    SH   DEFINED              14        8,500    0         -
JO-ANN STORES INC              COMMON 47758P307 $     550      23,897    SH   DEFINED              23       23,897    0         -
JO-ANN STORES INC              COMMON 47758P307 $      44       1,900    SH   DEFINED            5,15        1,900    0         -
JOHNSON & JOHNSON              COMMON 478160104 $ 275,162   4,276,684    SH   DEFINED               1    4,276,684    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     997      15,500    SH   DEFINED            1,15       15,500    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     860      13,364    SH   DEFINED             1,9       13,364    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     914      14,200    SH   DEFINED           10,14       14,200    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     921      14,315    SH   DEFINED            10,7       14,315    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  58,333     906,634    SH   DEFINED              11      213,134    0     693,500
JOHNSON & JOHNSON              COMMON 478160104 $   1,294      20,119    SH   DEFINED              13       20,119    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     185       2,879    SH   DEFINED            13,2        2,879    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     277       4,300    SH   DEFINED            13,3        4,300    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  95,196   1,479,580    SH   DEFINED              14    1,111,130    0     310,850
JOHNSON & JOHNSON              COMMON 478160104 $   1,306      20,300    SH   DEFINED           14,13          -      0      20,300
JOHNSON & JOHNSON              COMMON 478160104 $  11,247     174,800    SH   DEFINED            14,7          -      0     174,800
JOHNSON & JOHNSON              COMMON 478160104 $     708      11,000    SH   DEFINED              17       11,000    0         -
JOHNSON & JOHNSON              COMMON 478160104 $      84       1,300    SH   DEFINED           18,11        1,300    0         -
JOHNSON & JOHNSON              COMMON 478160104 $   1,306      20,300    SH   DEFINED           18,14          -      0      20,300
JOHNSON & JOHNSON              COMMON 478160104 $     890      13,834    SH   DEFINED              19       13,834    0         -
JOHNSON & JOHNSON              COMMON 478160104 $   8,618     133,950    SH   DEFINED           19,14       73,450    0      60,500
JOHNSON & JOHNSON              COMMON 478160104 $  29,534     459,030    SH   DEFINED               2      459,030    0         -
JOHNSON & JOHNSON              COMMON 478160104 $   1,415      22,000    SH   DEFINED           20,14          -      0         -
JOHNSON & JOHNSON              COMMON 478160104 $   4,312      67,024    SH   DEFINED            20,2          -      0      67,024
JOHNSON & JOHNSON              COMMON 478160104 $   3,375      52,461    SH   DEFINED              21       52,461    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  54,781     851,433    SH   DEFINED              22      190,425    0     661,008
JOHNSON & JOHNSON              COMMON 478160104 $  30,415     472,728    SH   DEFINED              23      472,728    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     183       2,851    SH   DEFINED              24        2,851    0         -
JOHNSON & JOHNSON              COMMON 478160104 $ 424,145   6,592,250    SH   DEFINED               3    6,592,250    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  44,078     685,076    SH   DEFINED             3,1      685,076    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     378       5,874    SH   DEFINED               4        5,874    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  22,923     356,286    SH   DEFINED               5      219,114    0     137,172
JOHNSON & JOHNSON              COMMON 478160104 $   2,927      45,500    SH   DEFINED            5,15       45,500    0         -
JOHNSON & JOHNSON              COMMON 478160104 $   1,575      24,485    SH   DEFINED               6       24,485    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  12,822     199,285    SH   DEFINED               7      199,285    0         -
JOHNSON & JOHNSON              COMMON 478160104 $  70,946   1,102,678    SH   DEFINED               8    1,102,678    0         -
JOHNSON & JOHNSON              COMMON 478160104 $   8,316     129,250    SH   DEFINED            8,14       63,900    0      65,350
JOHNSON & JOHNSON              COMMON 478160104 $     490       7,609    SH   DEFINED             8,2        7,609    0         -
JOHNSON & JOHNSON              COMMON 478160104 $   5,238      81,408    SH   DEFINED               9       81,408    0         -
JOHNSON & JOHNSON              COMMON 478160104 $     714      11,100    SH   DEFINED            9,14          -      0      11,100
JOHNSON CONTROLS INC           COMMON 478366107 $  50,056   1,745,344    SH   DEFINED               1    1,745,344    0         -
JOHNSON CONTROLS INC           COMMON 478366107 $     373      13,000    SH   DEFINED              14        9,300    0         100
JOHNSON CONTROLS INC         COMMON 478366107   $      92       3,200    SH   DEFINED            14,7          -      0       3,200
JOHNSON CONTROLS INC         COMMON 478366107   $   2,024      70,562    SH   DEFINED               2       70,562    0         -
JOHNSON CONTROLS INC         COMMON 478366107   $     164       5,724    SH   DEFINED              22          849    0       4,875
JOHNSON CONTROLS INC         COMMON 478366107   $   4,821     168,100    SH   DEFINED              23      168,100    0         -
JOHNSON CONTROLS INC         COMMON 478366107   $      29       1,006    SH   DEFINED              24        1,006    0         -
JOHNSON CONTROLS INC         COMMON 478366107   $     290      10,125    SH   DEFINED               5        7,480    0       2,645
JOHNSON CONTROLS INC         COMMON 478366107   $     293      10,224    SH   DEFINED               7       10,224    0         -
JOHNSON CONTROLS INC         COMMON 478366107   $     334      11,655    SH   DEFINED               8       11,655    0         -
JOHNSON CONTROLS INC         COMMON 478366107   $      84       2,929    SH   DEFINED             8,2        2,929    0         -
JOHNSON OUTDOORS INC CL A    COMMON 479167108   $      24       1,541    SH   DEFINED              23        1,541    0         -
JONES APPAREL GROUP INC      COMMON 480074103   $      17       1,200    SH   DEFINED              13        1,200    0         -
JONES APPAREL GROUP INC      COMMON 480074103   $   7,839     570,140    SH   DEFINED              14      201,240    0     367,000
JONES APPAREL GROUP INC      COMMON 480074103   $      17       1,200    SH   DEFINED           20,14          -      0         -
JONES APPAREL GROUP INC      COMMON 480074103   $      21       1,500    SH   DEFINED              22          -      0       1,500
JONES APPAREL GROUP INC      COMMON 480074103   $     430      31,280    SH   DEFINED              23       31,280    0         -
JONES APPAREL GROUP INC      COMMON 480074103   $       5         362    SH   DEFINED              24          362    0         -
JONES LANG LASALLE INC       COMMON 48020Q107   $   3,261      54,182    SH   DEFINED              22       50,475    0       3,707
JONES LANG LASALLE INC       COMMON 48020Q107   $     139       2,308    SH   DEFINED              23        2,308    0         -
JONES LANG LASALLE INC       COMMON 48020Q107   $   2,016      33,488    SH   DEFINED               5       24,627    0       8,861
JONES SODA CO                COMMON 48023P106   $       1         229    SH   DEFINED              23          229    0         -
JOS A BANK CLOTHIERS INC     COMMON 480838101   $      80       2,985    SH   DEFINED              23        2,985    0         -
JOURNAL COMMUNICATIONS       COMMON 481130102   $     102      21,236    SH   DEFINED              23       21,236    0         -
JOY GLOBAL INC               COMMON 481165108   $  85,556   1,128,257    SH   DEFINED               1    1,128,257    0         -
JOY GLOBAL INC               COMMON 481165108   $     333       4,392    SH   DEFINED              14        4,392    0         -
JOY GLOBAL INC               COMMON 481165108   $  10,900     143,740    SH   DEFINED               2      124,319    0      19,421
JOY GLOBAL INC               COMMON 481165108   $   9,577     126,298    SH   DEFINED              23      126,298    0         -
JOY GLOBAL INC               COMMON 481165108   $   2,219      29,268    SH   DEFINED              24       29,268    0         -
JOY GLOBAL INC               COMMON 481165108   $  11,533     152,095    SH   DEFINED               4      152,095    0         -
JOY GLOBAL INC               COMMON 481165108   $     123       1,616    SH   DEFINED               5          934    0         682
JOY GLOBAL INC               COMMON 481165108   $  28,819     380,053    SH   DEFINED               8      380,053    0         -
JOY GLOBAL INC               COMMON 481165108   $      60         786    SH   DEFINED             8,2          786    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $  52,986   2,388,919    SH   DEFINED               1    2,388,919    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   7,215     325,300    SH   DEFINED            1,15      325,300    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $     681      30,700    SH   DEFINED           10,14       30,700    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $     196       8,829    SH   DEFINED            10,7        8,829    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $      73       3,269    SH   DEFINED              11        3,269    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $     239      10,756    SH   DEFINED              13       10,756    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $  55,656   2,509,310    SH   DEFINED              14    1,601,960    0     808,450
JUNIPER NETWORKS INC         COMMON 48203R104   $   1,448      65,300    SH   DEFINED           14,13          -      0      65,300
JUNIPER NETWORKS INC         COMMON 48203R104   $   1,859      83,800    SH   DEFINED            14,7          -      0      83,800
JUNIPER NETWORKS INC         COMMON 48203R104   $     159       7,178    SH   DEFINED              19        7,178    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   7,686     346,519    SH   DEFINED               2      255,702    0      90,817
JUNIPER NETWORKS INC         COMMON 48203R104   $      16         700    SH   DEFINED           20,14          -      0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $      14         631    SH   DEFINED              21          631    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   4,172     188,099    SH   DEFINED              22      173,163    0      14,936
JUNIPER NETWORKS INC         COMMON 48203R104   $   1,213      54,707    SH   DEFINED              23       54,707    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   2,111      95,165    SH   DEFINED              24       95,165    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $     174       7,835    SH   DEFINED               4        7,835    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   2,525     113,847    SH   DEFINED               5       83,399    0      30,448
JUNIPER NETWORKS INC         COMMON 48203R104   $   3,245     146,300    SH   DEFINED            5,15      146,300    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   3,487     157,232    SH   DEFINED               7      157,232    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   7,083     319,352    SH   DEFINED               8      319,352    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $   3,968     178,900    SH   DEFINED            8,14      178,900    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $     853      38,443    SH   DEFINED               9       38,443    0         -
JUNIPER NETWORKS INC         COMMON 48203R104   $     790      35,600    SH   DEFINED            9,14          -      0      35,600
JUPITERMEDIA CORP            COMMON 48207D101   $       7       5,153    SH   DEFINED              23        5,153    0         -
KBW INC                      COMMON 482423100   $   6,119     297,321    SH   DEFINED               1      297,321    0         -
KBW INC                      COMMON 482423100   $   3,573     173,627    SH   DEFINED               2       67,757    0     105,870
KBW INC                      COMMON 482423100   $      41       1,970    SH   DEFINED              23        1,970    0         -
KBR INC                      COMMON 48242W106   $     129       3,697    SH   DEFINED              22        3,491    0         206
KBR INC                      COMMON 48242W106   $   3,765     107,861    SH   DEFINED              23      107,861    0         -
KBR INC                      COMMON 48242W106   $      11         319    SH   DEFINED              24          319    0         -
KBR INC                      COMMON 48242W106   $     107       3,054    SH   DEFINED               7        3,054    0         -
KBR INC                      COMMON 48242W106   $     927      26,554    SH   DEFINED               8       26,554    0         -
KHD HUMBOLDT WEDAG INTERNATI COMMON 482462108   $     384      10,937    SH   DEFINED              23       10,937    0         -
K-FED BANCORP                COMMON 48246S101   $       1          49    SH   DEFINED              23           49    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $ 170,000   4,175,883    SH   DEFINED               1    4,175,883    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $     256       6,300    SH   DEFINED              13        6,300    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $     256       6,300    SH   DEFINED            13,3        6,300    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $   1,859      45,658    SH   DEFINED              14       45,658    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $     560      13,759    SH   DEFINED            20,2       13,759    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $   3,402      83,575    SH   DEFINED              22       77,326    0       6,249
KLA-TENCOR CORPORATION       COMMON 482480100   $   4,039      99,225    SH   DEFINED              23       99,225    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $   2,312      56,783    SH   DEFINED              24       56,783    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $ 133,833   3,287,480    SH   DEFINED               3    3,287,480    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $   8,997     220,999    SH   DEFINED               4      220,999    0         -
KLA-TENCOR CORPORATION       COMMON 482480100   $   2,088      51,300    SH   DEFINED               5       37,493    0      13,807
KLA-TENCOR CORPORATION       COMMON 482480100   $     149       3,651    SH   DEFINED               7        3,651    0         -
KKR FINANCIAL HOLDINGS LLC   COMMON 48248A306   $   5,118     487,476    SH   DEFINED              23      487,476    0         -
KKR FINANCIAL HOLDINGS LLC   COMMON 48248A306   $      54       5,171    SH   DEFINED              24        5,171    0         -
K-SWISS INC CL A             COMMON 482686102   $      84       5,727    SH   DEFINED              23        5,727    0         -
KT CORP- ADR                 COMMON 48268K101   $      22       1,040    SH   DEFINED              22          -      0       1,040
KT CORP- ADR                 COMMON 48268K101   $   1,980      92,890    SH   DEFINED              23       92,890    0         -
KT CORP- ADR                 COMMON 48268K101   $       3         159    SH   DEFINED               4          159    0         -
K-SEA TRANSPORTATION PARTNER COMMON 48268Y101   $     201       6,316    SH   DEFINED              23        6,316    0         -
K-SEA TRANSPORTATION PARTNER COMMON 48268Y101   $   1,479      46,550    SH   DEFINED               5       35,500    0      11,050
K-TRON INTERNATIONAL INC     COMMON 482730108   $   3,714      28,656    SH   DEFINED              23       28,656    0         -
KVH INDUSTRIES INC           COMMON 482738101   $       1         131    SH   DEFINED              23          131    0         -
KV PHARMACEUTICAL CO CL A    COMMON 482740206   $   3,969     205,321    SH   DEFINED              23      205,321    0         -
KV PHARMACEUTICAL CO CL A    COMMON 482740206   $   1,981     102,500    SH   DEFINED               3      102,500    0         -
KADANT INC                   COMMON 48282T104   $   8,120     359,273    SH   DEFINED               1      359,273    0         -
KADANT INC                   COMMON 48282T104   $   4,421     195,619    SH   DEFINED               2       68,900    0     126,719
KADANT INC                   COMMON 48282T104   $   1,384      61,240    SH   DEFINED              23       61,240    0         -
KADANT INC                   COMMON 48282T104   $     105       4,655    SH   DEFINED               5          -      0       4,655
KAISER ALUMINUM CORP         COMMON 483007704   $     178       3,316    SH   DEFINED              23        3,316    0         -
KAISER ALUMINUM CORP         COMMON 483007704   $      91       1,695    SH   DEFINED               5          420    0       1,275
KAMAN CORP                   COMMON 483548103   $     277      12,151    SH   DEFINED              23       12,151    0         -
KANSAS CITY LIFE INS CO      COMMON 484836101   $     232       5,558    SH   DEFINED              23        5,558    0         -
KANSAS CITY SOUTHERN INDS    COMMON 485170302   $       7         155    SH   DEFINED              22          155    0         -
KANSAS CITY SOUTHERN INDS    COMMON 485170302   $   4,102      93,251    SH   DEFINED              23       93,251    0         -
KANSAS CITY SOUTHERN INDS    COMMON 485170302   $       4          83    SH   DEFINED              24           83    0         -
KANSAS CITY SOUTHERN INDS    COMMON 485170302   $     207       4,705    SH   DEFINED               5          705    0       4,000
KAYDON CORP                  COMMON 486587108   $   1,176      22,876    SH   DEFINED              23       22,876    0         -
KAYNE ANDERSON MLP INVESTMEN
C                            COMMON 486606106   $      26         850    SH   DEFINED              22          -      0         850
KAYNE ANDERSON MLP INVESTMEN
C                            COMMON 486606106   $      72       2,343    SH   DEFINED               5        2,343    0         -
KAYNE ANDERSON ENERGY TOT RT
C                            COMMON 48660P104   $   1,143      39,010    SH   DEFINED               5       39,010    0         -
KAYNE ANDERSON ENERGY DEVELO COMMON 48660Q102   $   1,777      77,446    SH   DEFINED              23       77,446    0         -
KAYNE ANDERSON ENERGY DEVELO COMMON 48660Q102   $      25       1,076    SH   DEFINED              24        1,076    0         -
KAYNE ANDERSON ENERGY DEVELO COMMON 48660Q102   $      37       1,600    SH   DEFINED               5        1,600    0         -
KB HOME                      COMMON 48666K109   $      10         600    SH   DEFINED              13          600    0         -
KB HOME                      COMMON 48666K109   $   5,801     342,640    SH   DEFINED              14      114,940    0     225,100
KB HOME                      COMMON 48666K109   $      88       5,200    SH   DEFINED            14,7          -      0       5,200
KB HOME                      COMMON 48666K109   $      10         600    SH   DEFINED           20,14          -      0         -
KB HOME                      COMMON 48666K109   $     331      19,557    SH   DEFINED              23       19,557    0         -
KB HOME                      COMMON 48666K109   $       7         398    SH   DEFINED              24          398    0         -
KB HOME                      COMMON 48666K109   $      19       1,112    SH   DEFINED               5          -      0       1,112
KEARNY FINANCIAL CORP        COMMON 487169104   $      16       1,439    SH   DEFINED              23        1,439    0         -
KELLOGG CO                   COMMON 487836108   $ 146,287   3,046,368    SH   DEFINED               1    3,046,368    0         -
KELLOGG CO                   COMMON 487836108   $  10,158     211,545    SH   DEFINED               2      211,545    0         -
KELLOGG CO                   COMMON 487836108   $     173       3,600    SH   DEFINED              22          -      0       3,600
KELLOGG CO                   COMMON 487836108   $   9,322     194,132    SH   DEFINED              23      194,132    0         -
KELLOGG CO                   COMMON 487836108   $      17         356    SH   DEFINED              24          356    0         -
KELLOGG CO                   COMMON 487836108   $     225       4,688    SH   DEFINED               5        3,280    0       1,408
KELLOGG CO                   COMMON 487836108   $     293       6,092    SH   DEFINED               7        6,092    0         -
KELLOGG CO                   COMMON 487836108   $     274       5,705    SH   DEFINED               8        5,705    0         -
KELLOGG CO                   COMMON 487836108   $     420       8,748    SH   DEFINED             8,2        8,748    0         -
KELLY SVCS INC               COMMON 488152208   $     388      20,059    SH   DEFINED              23       20,059    0         -
KELLY SVCS INC               COMMON 488152208   $       3         168    SH   DEFINED              24          168    0         -
KEMET CORP                   COMMON 488360108   $     250      77,058    SH   DEFINED              23       77,058    0         -
KENDLE INTERNATIONAL INC     COMMON 48880L107   $      35         969    SH   DEFINED              23          969    0         -
KENEXA CORP                  COMMON 488879107   $       3         166    SH   DEFINED              23          166    0         -
KENNAMETAL INC               COMMON 489170100   $     201       6,167    SH   DEFINED              23        6,167    0         -
KENNAMETAL INC               COMMON 489170100   $       4         113    SH   DEFINED              24          113    0         -
KENNAMETAL INC               COMMON 489170100   $      62       1,900    SH   DEFINED               5          500    0       1,400
KENSEY NASH CORP             COMMON 490057106   $       3         104    SH   DEFINED              23          104    0         -
KERYX BIOPHARMACEUTICALS     COMMON 492515101       $ -           377    SH   DEFINED              23          377    0         -
KEY ENERGY SERVICES INC      COMMON 492914106   $   2,087     107,450    SH   DEFINED              14       91,950    0      15,500
KEY ENERGY SERVICES INC      COMMON 492914106   $  16,129     830,512    SH   DEFINED              23      830,512    0         -
KEY ENERGY SERVICES INC      COMMON 492914106   $      10         520    SH   DEFINED               5          520    0         -
KEY ENERGY SERVICES INC      COMMON 492914106   $      74       3,800    SH   DEFINED            5,15        3,800    0         -
KEY ENERGY SERVICES INC      COMMON 492914106   $     581      29,900    SH   DEFINED               8       29,900    0         -
KEY ENERGY SERVICES INC      COMMON 492914106   $     159       8,200    SH   DEFINED            8,20        8,200    0         -
KEY TECHNOLOGY INC           COMMON 493143101   $     210       6,600    SH   DEFINED              14        3,400    0       3,200
KEY TECHNOLOGY INC           COMMON 493143101   $     239       7,529    SH   DEFINED              23        7,529    0         -
KEY TECHNOLOGY INC           COMMON 493143101   $      32       1,000    SH   DEFINED            5,15        1,000    0         -
KEYCORP                      COMMON 493267108   $      89       8,070    SH   DEFINED              14        6,420    0       1,650
KEYCORP                      COMMON 493267108   $      77       7,000    SH   DEFINED            14,7          -      0       7,000
KEYCORP                      COMMON 493267108   $      45       4,133    SH   DEFINED              22        1,000    0       3,133
KEYCORP                      COMMON 493267108   $   2,706     246,484    SH   DEFINED              23      246,484    0         -
KEYCORP                      COMMON 493267108   $      15       1,337    SH   DEFINED              24        1,337    0         -
KEYCORP                      COMMON 493267108   $       1         120    SH   DEFINED               4          120    0         -
KEYCORP                      COMMON 493267108   $       7         649    SH   DEFINED               5          456    0         193
KEYCORP                      COMMON 493267108   $     174      15,853    SH   DEFINED               7       15,853    0         -
KEYCORP                      COMMON 493267108   $     368      33,477    SH   DEFINED               8       33,477    0         -
KEYNOTE SYSTEMS INC          COMMON 493308100   $     423      32,855    SH   DEFINED              23       32,855    0         -
KEYNOTE SYSTEMS INC          COMMON 493308100   $      84       6,500    SH   DEFINED               5          -      0       6,500
KFORCE INC                   COMMON 493732101   $   5,167     608,561    SH   DEFINED               1      608,561    0         -
KFORCE INC                   COMMON 493732101   $   2,371     279,215    SH   DEFINED               2       66,000    0     213,215
KFORCE INC                   COMMON 493732101   $      82       9,664    SH   DEFINED              23        9,664    0         -
KIMBALL INTERNATIONAL CL B   COMMON 494274103   $     124      14,981    SH   DEFINED              23       14,981    0         -
KILROY REALTY CORP           COMMON 49427F108   $   1,190      25,300    SH   DEFINED              14       25,300    0         -
KILROY REALTY CORP           COMMON 49427F108   $     195       4,143    SH   DEFINED              23        4,143    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $  32,607     545,454    SH   DEFINED               1      545,454    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $     275       4,600    SH   DEFINED           10,14        4,600    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $  30,470     509,700    SH   DEFINED              11      115,200    0     394,500
KIMBERLY-CLARK CORP          COMMON 494368103   $   8,225     137,581    SH   DEFINED              14      129,981    0       3,800
KIMBERLY-CLARK CORP          COMMON 494368103   $   2,140      35,800    SH   DEFINED            14,7          -      0      35,800
KIMBERLY-CLARK CORP          COMMON 494368103   $      31         525    SH   DEFINED           18,11          525    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $     640      10,700    SH   DEFINED           18,14          -      0      10,700
KIMBERLY-CLARK CORP          COMMON 494368103   $   3,100      51,850    SH   DEFINED           19,14       29,450    0      22,400
KIMBERLY-CLARK CORP          COMMON 494368103   $   3,001      50,208    SH   DEFINED              22        5,400    0      44,808
KIMBERLY-CLARK CORP          COMMON 494368103   $   7,009     117,251    SH   DEFINED              23      117,251    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $      37         620    SH   DEFINED              24          620    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $  33,913     567,300    SH   DEFINED               3      567,300    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $   1,339      22,403    SH   DEFINED               5       17,384    0       5,019
KIMBERLY-CLARK CORP          COMMON 494368103   $     715      11,954    SH   DEFINED               7       11,954    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $  25,496     426,491    SH   DEFINED               8      426,491    0         -
KIMBERLY-CLARK CORP          COMMON 494368103   $   5,977      99,975    SH   DEFINED            8,14       65,400    0      34,575
KIMCO REALTY CORP            COMMON 49446R109   $  52,129   1,510,100    SH   DEFINED            1,15    1,510,100    0         -
KIMCO REALTY CORP            COMMON 49446R109   $ 143,637   4,160,992    SH   DEFINED              14    2,576,692    0   1,350,300
KIMCO REALTY CORP            COMMON 49446R109   $   2,423      70,200    SH   DEFINED           18,14       70,200    0         -
KIMCO REALTY CORP            COMMON 49446R109   $     725      21,000    SH   DEFINED           19,14       21,000    0         -
KIMCO REALTY CORP            COMMON 49446R109   $   7,788     225,600    SH   DEFINED            2,15      225,600    0         -
KIMCO REALTY CORP            COMMON 49446R109   $     612      17,728    SH   DEFINED              23       17,728    0         -
KIMCO REALTY CORP            COMMON 49446R109   $      10         287    SH   DEFINED              24          287    0         -
KIMCO REALTY CORP            COMMON 49446R109   $     925      26,800    SH   DEFINED            3,15       10,800    0      16,000
KIMCO REALTY CORP            COMMON 49446R109   $   3,044      88,176    SH   DEFINED               5       25,102    0      63,074
KIMCO REALTY CORP            COMMON 49446R109   $  11,100     321,564    SH   DEFINED            5,15      321,564    0         -
KIMCO REALTY CORP            COMMON 49446R109   $     110       3,200    SH   DEFINED            6,14        3,200    0         -
KIMCO REALTY CORP            COMMON 49446R109   $   2,130      61,700    SH   DEFINED            8,14          -      0      61,700
KINDER MORGAN ENERGY PRTNRS  COMMON 494550106   $  19,086     342,466    SH   DEFINED              22        9,200    0     333,266
KINDER MORGAN ENERGY PRTNRS  COMMON 494550106   $     455       8,162    SH   DEFINED              23        8,162    0         -
KINDER MORGAN ENERGY PRTNRS  COMMON 494550106   $   1,019      18,290    SH   DEFINED               5       13,740    0       4,550
KINDER MORGAN MANAGEMENT LLC COMMON 49455U100   $   1,683      31,245    SH   DEFINED              22        2,415    0      28,830
KINDER MORGAN MANAGEMENT LLC COMMON 49455U100   $     229       4,249    SH   DEFINED              23        4,249    0         -
KINDER MORGAN MANAGEMENT LLC COMMON 49455U100   $  19,274     357,911    SH   DEFINED               5      325,936    0      31,975
KINDRED HEALTHCARE INC       COMMON 494580103   $   5,442     189,208    SH   DEFINED              23      189,208    0         -
KINDRED HEALTHCARE INC       COMMON 494580103   $     156       5,419    SH   DEFINED              24        5,419    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $  49,931   1,251,100    SH   DEFINED             1,3    1,251,100    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $   8,006     200,600    SH   DEFINED            18,3      200,600    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $   3,672      92,000    SH   DEFINED            20,3       92,000    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $     218       5,473    SH   DEFINED              21        5,473    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $      68       1,700    SH   DEFINED              22          -      0       1,700
KINETIC CONCEPTS INC         COMMON 49460W208   $   4,079     102,199    SH   DEFINED              23      102,199    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $     134       3,353    SH   DEFINED              24        3,353    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $ 282,443   7,076,997    SH   DEFINED               3    7,076,997    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $ 153,654   3,850,000    SH   DEFINED               5          -      0   3,850,000
KINETIC CONCEPTS INC         COMMON 49460W208   $   3,823      95,779    SH   DEFINED               8       95,779    0         -
KINETIC CONCEPTS INC         COMMON 49460W208   $     116       2,900    SH   DEFINED               9        2,900    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $     326      31,100    SH   DEFINED            1,15       31,100    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $     693      66,200    SH   DEFINED           10,14       66,200    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $      22       2,100    SH   DEFINED              13        2,100    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $  52,115   4,977,520    SH   DEFINED              14    2,770,670    0   2,079,350
KING PHARMACEUTICALS INC     COMMON  495582108  $     827      79,000    SH   DEFINED           14,13          -      0      79,000
KING PHARMACEUTICALS INC     COMMON  495582108  $   1,675     160,000    SH   DEFINED            14,7          -      0     160,000
KING PHARMACEUTICALS INC     COMMON  495582108  $      22       2,100    SH   DEFINED           20,14          -      0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $   3,300     315,216    SH   DEFINED              23      315,216    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $       6         537    SH   DEFINED              24          537    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $   1,853     177,000    SH   DEFINED            5,15      177,000    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $     198      18,900    SH   DEFINED               6       18,900    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $     759      72,494    SH   DEFINED               7       72,494    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $   3,750     358,200    SH   DEFINED            8,14      358,200    0         -
KING PHARMACEUTICALS INC     COMMON  495582108  $     445      42,500    SH   DEFINED            9,14          -      0      42,500
KINROSS GOLD CORP            COMMON 4969024047  $  16,630     700,000    SH   DEFINED               1      700,000    0         -
KINROSS GOLD CORP            COMMON 4969024047  $     672      28,300    SH   DEFINED               2       28,300    0         -
KINROSS GOLD CORP            COMMON 4969024047  $      27       1,122    SH   DEFINED              23        1,122    0         -
KINROSS GOLD CORP            COMMON 4969024047  $  18,362     772,933    SH   DEFINED               3      772,933    0         -
KINROSS GOLD CORP            COMMON 4969024047  $  46,340   1,950,600    SH   DEFINED             3,1    1,950,600    0         -
KINROSS GOLD CORP            COMMON 4969024047  $     267      11,232    SH   DEFINED               7       11,232    0         -
KINGSWAY FINANCIAL SERVICES  COMMON  496904103  $      14       1,612    SH   DEFINED              23        1,612    0         -
KIRBY CORP                   COMMON  497266106  $     307       6,400    SH   DEFINED              14        6,400    0         -
KIRBY CORP                   COMMON  497266106  $   9,346     194,717    SH   DEFINED              23      194,717    0         -
KIRBY CORP                   COMMON  497266106  $     240       5,000    SH   DEFINED               8        5,000    0         -
KIRBY CORP                   COMMON  497266106  $      67       1,400    SH   DEFINED            8,20        1,400    0         -
KIRKLAND'S INC               COMMON  497498105  $      82      36,258    SH   DEFINED              23       36,258    0         -
KITE REALTY GROUP TRUST      COMMON 49803T102   $     279      22,300    SH   DEFINED              14       22,300    0         -
KITE REALTY GROUP TRUST      COMMON 49803T102   $      48       3,807    SH   DEFINED              23        3,807    0         -
KNOLL INC                    COMMON  498904200  $   2,457     202,200    SH   DEFINED              14      135,100    0      67,100
KNOLL INC                    COMMON  498904200  $     101       8,308    SH   DEFINED              23        8,308    0         -
KNOLL INC                    COMMON  498904200  $     399      32,800    SH   DEFINED            5,15       32,800    0         -
KNIGHT CAPITAL GROUP INC-A   COMMON  499005106  $  12,077     671,700    SH   DEFINED              14      502,700    0     169,000
KNIGHT CAPITAL GROUP INC-A   COMMON  499005106  $   2,478     137,839    SH   DEFINED              23      137,839    0         -
KNIGHT CAPITAL GROUP INC-A   COMMON  499005106  $   1,877     104,400    SH   DEFINED            5,15      104,400    0         -
KNIGHT CAPITAL GROUP INC-A   COMMON  499005106  $     568      31,600    SH   DEFINED               8       31,600    0         -
KNIGHT CAPITAL GROUP INC-A   COMMON  499005106  $     156       8,700    SH   DEFINED            8,20        8,700    0         -
KNIGHT TRANSPORT             COMMON  499064103  $  13,460     735,505    SH   DEFINED               1      735,505    0         -
KNIGHT TRANSPORT             COMMON  499064103  $  10,828     591,710    SH   DEFINED               2      591,710    0         -
KNIGHT TRANSPORT             COMMON  499064103  $      87       4,728    SH   DEFINED              23        4,728    0         -
KNOLOGY INC                  COMMON  499183804  $       3         309    SH   DEFINED              23          309    0         -
KNOT INC (THE)               COMMON  499184109  $       1         100    SH   DEFINED              22          -      0         100
KNOT INC (THE)               COMMON  499184109  $       9         877    SH   DEFINED              23          877    0         -
KOHLBERG CAPITAL CORP        COMMON  500233101  $       1          98    SH   DEFINED              22          -      0          98
KOHLBERG CAPITAL CORP        COMMON  500233101  $   1,303     130,287    SH   DEFINED              23      130,287    0         -
KOHLBERG CAPITAL CORP        COMMON  500233101  $      15       1,500    SH   DEFINED              24        1,500    0         -
KOHLS CORP                   COMMON  500255104  $ 141,313   3,529,284    SH   DEFINED               1    3,529,284    0         -
KOHLS CORP                   COMMON  500255104  $     816      20,370    SH   DEFINED            13,2          -      0      20,370
KOHLS CORP                   COMMON  500255104  $   1,127      28,142    SH   DEFINED              14       28,142    0         -
KOHLS CORP                   COMMON  500255104  $      24         600    SH   DEFINED              22          -      0         600
KOHLS CORP                   COMMON  500255104  $     879      21,964    SH   DEFINED              23       21,964    0         -
KOHLS CORP                   COMMON  500255104  $      18         460    SH   DEFINED              24          460    0         -
KOHLS CORP                   COMMON  500255104  $  15,190     379,367    SH   DEFINED               4      379,367    0         -
KOHLS CORP                   COMMON  500255104  $      30         747    SH   DEFINED               5          -      0         747
KOHLS CORP                   COMMON  500255104  $     224       5,600    SH   DEFINED               7        5,600    0         -
KOMAG INC                    COMMON  500453105      $ -        24,547    SH   DEFINED               5       24,547    0         -
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $   4,117     121,800    SH   DEFINED            1,12      121,800    0         -
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $  73,426   2,172,361    SH   DEFINED              11    1,887,711    0     284,650
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $   2,472      73,130    SH   DEFINED              14       17,380    0      55,750
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $     137       4,050    SH   DEFINED           19,14        4,050    0         -
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $   5,331     157,728    SH   DEFINED              23      157,728    0         -
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $       1          42    SH   DEFINED               4           42    0         -
KONINKLIJKE PHILIPS
ELECTRONIC                   COMMON  500472303  $     277       8,200    SH   DEFINED               5        5,000    0       3,200
KONGZHONG CORP-ADR           COMMON 50047P104   $     313      83,945    SH   DEFINED              23       83,945    0         -
KOOKMIN BANK-SPONS ADR       COMMON 50049M109   $       1          13    SH   DEFINED              11           13    0         -
KOOKMIN BANK-SPONS ADR       COMMON 50049M109   $   3,792      64,810    SH   DEFINED              23       64,810    0         -
KOOKMIN BANK-SPONS ADR       COMMON 50049M109   $      23         400    SH   DEFINED               5          -      0         400
KOPIN CORP                   COMMON  500600101  $       2         594    SH   DEFINED              23          594    0         -
KOPPERS HOLDINGS INC         COMMON 50060P106   $     820      19,580    SH   DEFINED              23       19,580    0         -
KOREA ELEC POWER CORP ADR    COMMON  500631106  $      39       2,680    SH   DEFINED              22          -      0       2,680
KOREA ELEC POWER CORP ADR    COMMON  500631106  $   2,388     164,333    SH   DEFINED              23      164,333    0         -
KOREA FUND CF                COMMON  500634100  $      66       3,083    SH   DEFINED               5        3,083    0         -
KORN/FERRY INTERNATIONAL     COMMON  500643200  $  10,824     688,106    SH   DEFINED               1      688,106    0         -
KORN/FERRY INTERNATIONAL     COMMON  500643200  $   8,848     562,474    SH   DEFINED               2      562,474    0         -
KORN/FERRY INTERNATIONAL     COMMON  500643200  $      86       5,470    SH   DEFINED              23        5,470    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $  23,059     810,517    SH   DEFINED               1      810,517    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $      64       2,251    SH   DEFINED            10,7        2,251    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $  19,556     687,378    SH   DEFINED              11      161,229    0     526,149
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $      83       2,901    SH   DEFINED              13        2,901    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   5,442     191,285    SH   DEFINED              14      176,783    0       8,101
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $     532      18,700    SH   DEFINED            14,7          -      0      18,700
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $      17         600    SH   DEFINED           18,11          600    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $     441      15,500    SH   DEFINED           18,14          -      0      15,500
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   1,711      60,150    SH   DEFINED           19,14       34,500    0      25,650
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   1,235      43,404    SH   DEFINED              22        7,785    0      35,619
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   5,591     196,529    SH   DEFINED              23      196,529    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $      83       2,914    SH   DEFINED              24        2,914    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $       3         100    SH   DEFINED               4          100    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $     712      25,040    SH   DEFINED               5       15,960    0       9,080
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   1,420      49,909    SH   DEFINED               7       49,909    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   2,338      82,184    SH   DEFINED               8       82,184    0         -
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $   1,390      48,861    SH   DEFINED            8,14          -      0      48,861
KRAFT FOODS INC-CLASS A      COMMON 50075N104   $      309      10,878   SH   DEFINED                9       10,878   0         -
KRATOS DEFENSE & SECURITY    COMMON 50077B108   $       44      22,569   SH   DEFINED               23       22,569   0         -
KRISPY KREME DOUGHNUTS INC   COMMON 501014104   $      122      24,367   SH   DEFINED               23       24,367   0         -
KROGER CO                    COMMON 501044101   $  137,190   4,752,008   SH   DEFINED                1    4,752,008   0         -
KROGER CO                    COMMON 501044101   $      445      15,400   SH   DEFINED            10,14       15,400   0         -
KROGER CO                    COMMON 501044101   $      174       6,034   SH   DEFINED               13        6,034   0         -
KROGER CO                    COMMON 501044101   $      145       5,034   SH   DEFINED             13,2        5,034   0         -
KROGER CO                    COMMON 501044101   $   40,921   1,417,440   SH   DEFINED               14      886,340   0     478,100
KROGER CO                    COMMON 501044101   $      924      32,000   SH   DEFINED            14,13          -     0      32,000
KROGER CO                    COMMON 501044101   $    1,542      53,400   SH   DEFINED             14,7          -     0      53,400
KROGER CO                    COMMON 501044101   $    9,803     339,560   SH   DEFINED                2      339,560   0         -
KROGER CO                    COMMON 501044101   $       29       1,000   SH   DEFINED            20,14          -     0         -
KROGER CO                    COMMON 501044101   $       47       1,635   SH   DEFINED               22          400   0       1,235
KROGER CO                    COMMON 501044101   $    3,127     108,300   SH   DEFINED               23      108,300   0         -
KROGER CO                    COMMON 501044101   $       54       1,860   SH   DEFINED               24        1,860   0         -
KROGER CO                    COMMON 501044101   $    3,020     104,594   SH   DEFINED              3,1      104,594   0         -
KROGER CO                    COMMON 501044101   $      361      12,488   SH   DEFINED                5        8,299   0       4,189
KROGER CO                    COMMON 501044101   $    2,079      72,000   SH   DEFINED             5,15       72,000   0         -
KROGER CO                    COMMON 501044101   $    2,014      69,749   SH   DEFINED                7       69,749   0         -
KROGER CO                    COMMON 501044101   $   18,072     625,967   SH   DEFINED                8      625,967   0         -
KROGER CO                    COMMON 501044101   $    1,103      38,200   SH   DEFINED             8,14       38,200   0         -
KROGER CO                    COMMON 501044101   $    2,509      86,897   SH   DEFINED              8,2       86,897   0         -
KROGER CO                    COMMON 501044101   $      502      17,400   SH   DEFINED             9,14          -     0      17,400
KUBOTA CORP ADR              COMMON 501173207   $       20         500   SH   DEFINED               22          -     0         500
KUBOTA CORP ADR              COMMON 501173207   $    2,041      50,390   SH   DEFINED               23       50,390   0         -
KULICKE & SOFFA INDUSTRIES   COMMON 501242101   $      114      15,604   SH   DEFINED               23       15,604   0         -
KYOCERA CORP ADR             COMMON 501556203   $    1,988      21,137   SH   DEFINED               23       21,137   0         -
LCA-VISION INC               COMMON 501803308   $       15       3,050   SH   DEFINED               23        3,050   0         -
LDK SOLAR CO LTD - ADR       COMMON 50183L107   $   14,186     374,489   SH   DEFINED               23      374,489   0         -
LDK SOLAR CO LTD - ADR       COMMON 50183L107   $       85       2,252   SH   DEFINED               24        2,252   0         -
LDK SOLAR CO LTD - ADR       COMMON 50183L107   $       23         600   SH   DEFINED                5          -     0         600
LG DISPLAY CO LTD - ADR      COMMON 50186V102   $      410      21,959   SH   DEFINED               23       21,959   0         -
LHC GROUP INC                COMMON 50187A107   $        3         118   SH   DEFINED               23          118   0         -
LKQ CORP                     COMMON 501889208   $   16,725     925,562   SH   DEFINED                1      925,562   0         -
LKQ CORP                     COMMON 501889208   $      277      15,315   SH   DEFINED                2       15,315   0         -
LKQ CORP                     COMMON 501889208   $      115       6,360   SH   DEFINED               23        6,360   0         -
LKQ CORP                     COMMON 501889208   $      198      10,950   SH   DEFINED                5          -     0      10,950
LMI AEROSPACE INC            COMMON 502079106   $      204      11,621   SH   DEFINED               23       11,621   0         -
L-1 IDENTITY SOLUTIONS INC   COMMON 50212A106   $        4         300   SH   DEFINED               22          -     0         300
L-1 IDENTITY SOLUTIONS INC   COMMON 50212A106   $    1,023      76,821   SH   DEFINED               23       76,821   0         -
L-1 IDENTITY SOLUTIONS INC   COMMON 50212A106   $       90       6,720   SH   DEFINED                5          -     0       6,720
LSI CORP                     COMMON 502161102   $       76      12,372   SH   DEFINED               16          -    12372         -
LSI CORP                     COMMON 502161102   $        8       1,286   SH   DEFINED               22           14   0       1,272
LSI CORP                     COMMON 502161102   $      239      38,910   SH   DEFINED               23       38,910   0         -
LSI CORP                     COMMON 502161102   $        4         699   SH   DEFINED               24          699   0         -
LSI CORP                     COMMON 502161102   $      969     157,887   SH   DEFINED                5           58   0     157,829
LSI INDUSTRIES INC           COMMON 50216C108   $       37       4,555   SH   DEFINED               23        4,555   0         -
LTC PROPERTIES INC           COMMON 502175102   $    4,897     191,600   SH   DEFINED               14      132,000   0      59,600
LTC PROPERTIES INC           COMMON 502175102   $      311      12,166   SH   DEFINED               23       12,166   0         -
LTC PROPERTIES INC           COMMON 502175102   $      181       7,090   SH   DEFINED                5        1,790   0       5,300
LTC PROPERTIES INC           COMMON 502175102   $      795      31,100   SH   DEFINED             5,15       31,100   0         -
LTC PROPERTIES INC           COMMON 502175102   $      187       7,300   SH   DEFINED                8        7,300   0         -
LTC PROPERTIES INC           COMMON 502175102   $       51       2,000   SH   DEFINED             8,20        2,000   0         -
LTX CORP                     COMMON 502392103   $       32      14,400   SH   DEFINED               14       14,400   0         -
LTX CORP                     COMMON 502392103   $        1         542   SH   DEFINED               23          542   0         -
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $   19,968     219,742   SH   DEFINED                1      219,742   0         -
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $      124       1,360   SH   DEFINED               14          460   0         100
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $      265       2,912   SH   DEFINED                2        2,912   0         -
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $      405       4,455   SH   DEFINED               22        1,560   0       2,895
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $   19,444     213,974   SH   DEFINED               23      213,974   0         -
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $       11         117   SH   DEFINED               24          117   0         -
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $      244       2,685   SH   DEFINED                5        1,600   0       1,085
L-3 COMMUNICATIONS HLDGS INC COMMON 502424104   $       91       1,006   SH   DEFINED                7        1,006   0         -
LA-Z-BOY INC                 COMMON 505336107   $      877     114,600   SH   DEFINED               14       88,100   0      26,500
LA-Z-BOY INC                 COMMON 505336107   $    1,721     225,027   SH   DEFINED               23      225,027   0         -
LA-Z-BOY INC                 COMMON 505336107   $      163      21,300   SH   DEFINED             5,15       21,300   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $   10,487     150,608   SH   DEFINED                1      150,608   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $      111       1,600   SH   DEFINED               17        1,600   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $      999      14,345   SH   DEFINED                2       14,345   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $    1,398      20,078   SH   DEFINED             20,2          -     0      20,078
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $   11,476     164,817   SH   DEFINED               22      119,288   0      45,529
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $    2,124      30,510   SH   DEFINED               23       30,510   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $        6          83   SH   DEFINED               24           83   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $    8,581     123,238   SH   DEFINED                5       96,852   0      26,386
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $      206       2,958   SH   DEFINED                7        2,958   0         -
LABORATORY CRP OF AMER HLDGS COMMON 50540R409   $   18,395     264,185   SH   DEFINED                8      264,185   0         -
LABORATORY CORP OF AMER
(LH)CV                       CONVERT50540RAG7   $   15,519  16,250,000   SH   DEFINED               14          -     0  13,750,000
LABRANCHE & CO INC           COMMON 505447102   $    2,325     328,400   SH   DEFINED               14      246,100   0      82,300
LABRANCHE & CO INC           COMMON 505447102   $      725     102,344   SH   DEFINED               23      102,344   0         -
LABRANCHE & CO INC           COMMON 505447102   $      297      42,000   SH   DEFINED             5,15       42,000   0         -
LACLEDE GROUP INC/THE        COMMON 505597104   $        8         200   SH   DEFINED               22          -     0         200
LACLEDE GROUP INC/THE        COMMON 505597104   $    2,457      60,865   SH   DEFINED               23       60,865   0         -
LADISH CO INC                COMMON 505754200   $      286      13,876   SH   DEFINED               23       13,876   0         -
LADENBURG THALMANN FINANCIAL COMMON 50575Q102        $ -           242   SH   DEFINED               22          -     0         242
LAKELAND BANCORP INC         COMMON 511637100   $      579      47,525   SH   DEFINED               14       38,390   0       9,135
LAKELAND BANCORP INC         COMMON 511637100   $       49       3,982   SH   DEFINED               23        3,982   0         -
LAKELAND BANCORP INC         COMMON 511637100   $      112       9,235   SH   DEFINED             5,15        9,235   0         -
LAKELAND FINANCIAL CORP      COMMON 511656100   $      200      10,500   SH   DEFINED               14       10,500   0         -
LAKELAND FINANCIAL CORP      COMMON 511656100   $        2         109   SH   DEFINED               23          109   0         -
LAKELAND FINANCIAL CORP      COMMON 511656100   $       36       1,900   SH   DEFINED             5,15        1,900   0         -
LAKES ENTERTAINMENT INC      COMMON 51206P109   $        1         160   SH   DEFINED               23          160   0         -
LAM RESEARCH CORP            COMMON 512807108   $    8,590     237,634   SH   DEFINED                1      237,634   0         -
LAM RESEARCH CORP            COMMON 512807108   $      408      11,300   SH   DEFINED               14          -     0      11,300
LAM RESEARCH CORP            COMMON 512807108   $      594      16,440   SH   DEFINED                2        1,919   0      14,521
LAM RESEARCH CORP            COMMON 512807108   $      149       4,128   SH   DEFINED               23        4,128   0         -
LAM RESEARCH CORP            COMMON 512807108   $    1,285      35,557   SH   DEFINED               24       35,557   0         -
LAM RESEARCH CORP            COMMON 512807108   $        5         142   SH   DEFINED                5           30   0         112
LAM RESEARCH CORP            COMMON 512807108   $      602      16,659   SH   DEFINED                8       16,659   0         -
LAMAR ADVERTISING CO         COMMON 512815101   $       97       2,705   SH   DEFINED               22          -     0       2,705
LAMAR ADVERTISING CO         COMMON 512815101   $      267       7,399   SH   DEFINED               23        7,399   0         -
LAMAR ADVERTISING CO         COMMON 512815101   $     735      20,392    SH   DEFINED              24       20,392    0         -
LAMAR ADVERTISING CO         COMMON 512815101   $      23         630    SH   DEFINED               5          240    0         390
LANCASTER COLONY CORP        COMMON 513847103   $   2,586      85,411    SH   DEFINED              23       85,411    0         -
LANCE INC                    COMMON 514606102   $     114       6,075    SH   DEFINED              23        6,075    0         -
LANCE INC                    COMMON 514606102   $       4         203    SH   DEFINED               5          203    0         -
LANDEC CORP                  COMMON 514766104   $     699     107,985    SH   DEFINED              23      107,985    0         -
LANDAUER INC                 COMMON 51476K103   $   1,636      29,086    SH   DEFINED              23       29,086    0         -
LANDAUER INC                 COMMON 51476K103   $     337       6,000    SH   DEFINED               5          -      0       6,000
LANDAMERICA FINANCIAL GROUP  COMMON 514936103   $     252      11,362    SH   DEFINED              23       11,362    0         -
LANDAMERICA FINANCIAL GROUP  COMMON 514936103   $       2          96    SH   DEFINED              24           96    0         -
LANDRY'S RESTAURANTS INC     COMMON 51508L103   $     356      19,821    SH   DEFINED              23       19,821    0         -
LANDSTAR SYSTEM INC          COMMON 515098101   $  36,646     663,644    SH   DEFINED               1      663,644    0         -
LANDSTAR SYSTEM INC          COMMON 515098101   $     293       5,300    SH   DEFINED              14        5,300    0         -
LANDSTAR SYSTEM INC          COMMON 515098101   $   7,793     141,121    SH   DEFINED               2       38,726    0     102,395
LANDSTAR SYSTEM INC          COMMON 515098101   $   5,374      97,315    SH   DEFINED              22       88,015    0       9,300
LANDSTAR SYSTEM INC          COMMON 515098101   $   5,972     108,156    SH   DEFINED              23      108,156    0         -
LANDSTAR SYSTEM INC          COMMON 515098101   $   3,124      56,566    SH   DEFINED               5       40,334    0      16,232
LANDSTAR SYSTEM INC          COMMON 515098101   $     127       2,300    SH   DEFINED               8        2,300    0         -
LANDSTAR SYSTEM INC          COMMON 515098101   $      33         600    SH   DEFINED            8,20          600    0         -
LAS VEGAS SANDS              COMMON 517834107   $     142       3,000    SH   DEFINED              22          -      0       3,000
LAS VEGAS SANDS              COMMON 517834107   $      34         721    SH   DEFINED              23          721    0         -
LAS VEGAS SANDS              COMMON 517834107   $       1          13    SH   DEFINED              24           13    0         -
LAS VEGAS SANDS              COMMON 517834107   $      96       2,020    SH   DEFINED               7        2,020    0         -
LASALLE HOTEL PROPERTIES     COMMON 517942108   $   5,274     209,882    SH   DEFINED               1      209,882    0         -
LASALLE HOTEL PROPERTIES     COMMON 517942108   $     538      21,400    SH   DEFINED            1,15       21,400    0         -
LASALLE HOTEL PROPERTIES     COMMON 517942108   $   3,433     136,600    SH   DEFINED              14      128,700    0       7,900
LASALLE HOTEL PROPERTIES     COMMON 517942108   $   3,073     122,277    SH   DEFINED               2       47,950    0      74,327
LASALLE HOTEL PROPERTIES     COMMON 517942108   $     131       5,225    SH   DEFINED              23        5,225    0         -
LASALLE HOTEL PROPERTIES     COMMON 517942108   $      35       1,400    SH   DEFINED            6,14        1,400    0         -
LATTICE SEMICONDUCTOR CORP   COMMON 518415104   $      83      26,501    SH   DEFINED              23       26,501    0         -
LATTICE SEMICONDUCTOR CORP   COMMON 518415104   $      63      20,000    SH   DEFINED               5       20,000    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $ 166,623   3,587,157    SH   DEFINED               1    3,587,157    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $     694      14,943    SH   DEFINED              14       14,943    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $   2,722      58,599    SH   DEFINED               2        6,472    0      52,127
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $      93       2,000    SH   DEFINED              22        2,000    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $   1,039      22,369    SH   DEFINED              23       22,369    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $       9         188    SH   DEFINED              24          188    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $  23,194     499,325    SH   DEFINED               4      499,325    0         -
ESTEE LAUDER COMPANIES CL A  COMMON 518439104   $      99       2,133    SH   DEFINED               5          -      0       2,133
LAWSON PRODUCTS INC          COMMON 520776105   $      42       1,705    SH   DEFINED              23        1,705    0         -
LAWSON SOFTWARE INC          COMMON 52078P102   $   8,937   1,229,251    SH   DEFINED               1    1,229,251    0         -
LAWSON SOFTWARE INC          COMMON 52078P102   $   7,413   1,019,623    SH   DEFINED               2    1,019,623    0         -
LAWSON SOFTWARE INC          COMMON 52078P102   $     258      35,454    SH   DEFINED              23       35,454    0         -
LAYNE CHRISTENSEN COMPANY    COMMON 521050104   $  65,288   1,490,940    SH   DEFINED              23    1,490,940    0         -
LAYNE CHRISTENSEN COMPANY    COMMON 521050104   $      79       1,796    SH   DEFINED               5          246    0       1,550
LEAP WIRELESS INTL INC/OLD   COMMON 521863100       $ -           187    SH   DEFINED              22          187    0         -
LEAP WIRELESS INTL INC       COMMON 521863308   $   2,833      65,631    SH   DEFINED              22       62,018    0       3,613
LEAP WIRELESS INTL INC       COMMON 521863308   $     147       3,410    SH   DEFINED              23        3,410    0         -
LEAP WIRELESS INTL INC       COMMON 521863308   $     816      18,900    SH   DEFINED              24       18,900    0         -
LEAP WIRELESS INTL INC       COMMON 521863308   $   2,086      48,310    SH   DEFINED               5       30,391    0      17,919
LEAR CORPORATION             COMMON 521865105   $       6         400    SH   DEFINED              13          400    0         -
LEAR CORPORATION             COMMON 521865105   $   9,234     651,200    SH   DEFINED              14      255,400    0     392,600
LEAR CORPORATION             COMMON 521865105   $      60       4,200    SH   DEFINED            14,7          -      0       4,200
LEAR CORPORATION             COMMON 521865105   $       6         400    SH   DEFINED           20,14          -      0         -
LEAR CORPORATION             COMMON 521865105   $     951      67,065    SH   DEFINED              23       67,065    0         -
LEAR CORPORATION             COMMON 521865105   $       7         462    SH   DEFINED              24          462    0         -
LEAR CORPORATION             COMMON 521865105   $     102       7,200    SH   DEFINED            5,15        7,200    0         -
LEAR CORPORATION             COMMON 521865105   $     166      11,731    SH   DEFINED               8       11,731    0         -
LEAPFROG ENTERPRISES         COMMON 52186N106   $     119      14,319    SH   DEFINED              23       14,319    0         -
LEARNING TREE INTERNATIONAL  COMMON 522015106   $     275      16,058    SH   DEFINED              23       16,058    0         -
LECG CORP                    COMMON 523234102   $       3         323    SH   DEFINED              22          -      0         323
LECG CORP                    COMMON 523234102   $     254      29,042    SH   DEFINED              23       29,042    0         -
LECROY CORP                  COMMON 52324W109   $       1         108    SH   DEFINED              23          108    0         -
LEE ENTERPRISES INC          COMMON 523768109   $      49      12,300    SH   DEFINED              23       12,300    0         -
LEE ENTERPRISES INC          COMMON 523768109   $       1         240    SH   DEFINED              24          240    0         -
LEGACY BANCORP INC           COMMON 52463G105   $       1          81    SH   DEFINED              23           81    0         -
LEGGETT & PLATT INC          COMMON 524660107   $   7,071     421,623    SH   DEFINED               1      421,623    0         -
LEGGETT & PLATT INC          COMMON 524660107   $      13         800    SH   DEFINED              13          800    0         -
LEGGETT & PLATT INC          COMMON 524660107   $   6,780     404,285    SH   DEFINED              14      136,285    0     267,000
LEGGETT & PLATT INC          COMMON 524660107   $      13         800    SH   DEFINED           20,14          -      0         -
LEGGETT & PLATT INC          COMMON 524660107   $     506      30,200    SH   DEFINED              22          -      0      30,200
LEGGETT & PLATT INC          COMMON 524660107   $   4,588     273,557    SH   DEFINED              23      273,557    0         -
LEGGETT & PLATT INC          COMMON 524660107   $       8         469    SH   DEFINED              24          469    0         -
LEGGETT & PLATT INC          COMMON 524660107   $       4         259    SH   DEFINED               5          -      0         259
LEGG MASON INC               COMMON 524901105   $ 153,383   3,520,388    SH   DEFINED               1    3,520,388    0         -
LEGG MASON INC               COMMON 524901105   $     612      14,055    SH   DEFINED              14       12,855    0         700
LEGG MASON INC               COMMON 524901105   $     122       2,800    SH   DEFINED               2        2,800    0         -
LEGG MASON INC               COMMON 524901105   $      18         410    SH   DEFINED              22          -      0         410
LEGG MASON INC               COMMON 524901105   $     530      12,168    SH   DEFINED              23       12,168    0         -
LEGG MASON INC               COMMON 524901105   $       6         142    SH   DEFINED              24          142    0         -
LEGG MASON INC               COMMON 524901105   $  63,699   1,462,000    SH   DEFINED               3    1,462,000    0         -
LEGG MASON INC               COMMON 524901105   $   8,740     200,600    SH   DEFINED             3,1      200,600    0         -
LEGG MASON INC               COMMON 524901105   $  14,379     330,025    SH   DEFINED               4      330,025    0         -
LEGG MASON INC               COMMON 524901105   $      53       1,215    SH   DEFINED               5        1,010    0         205
LEGG MASON INC               COMMON 524901105   $      85       1,960    SH   DEFINED               7        1,960    0         -
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $      87       4,400    SH   DEFINED              14        3,500    0         900
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $      83       4,200    SH   DEFINED            14,7          -      0       4,200
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $   2,462     124,283    SH   DEFINED              22       56,210    0      68,073
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $   1,387      70,039    SH   DEFINED              23       70,039    0         -
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $      20       1,017    SH   DEFINED              24        1,017    0         -
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $     448      22,595    SH   DEFINED               5        9,344    0      13,251
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $     141       7,100    SH   DEFINED               7        7,100    0         -
LEHMAN BROTHERS HOLDINGS INC COMMON 524908100   $     328      16,581    SH   DEFINED               8       16,581    0         -
LENNAR CORP CL A             COMMON 526057104   $      10         800    SH   DEFINED              13          800    0         -
LENNAR CORP CL A             COMMON 526057104   $   3,939     319,240    SH   DEFINED              14      117,840    0     197,500
LENNAR CORP CL A             COMMON 526057104   $      81       6,600    SH   DEFINED            14,7          -      0       6,600
LENNAR CORP CL A             COMMON 526057104   $      10         800    SH   DEFINED           20,14          -      0         -
LENNAR CORP CL A             COMMON 526057104   $     411      33,322    SH   DEFINED              23       33,322    0         -
LENNAR CORP CL A             COMMON 526057104   $       9         752    SH   DEFINED              24          752    0         -
LENNAR CORP CL A             COMMON 526057104   $       1         114    SH   DEFINED               5          -      0         114
LENNAR CORP CL B             COMMON 526057302   $       1         100    SH   DEFINED               5          -      0         100
LENNOX INTERNATIONAL INC     COMMON 526107107   $      52       1,800    SH   DEFINED              14        1,800    0         -
LENNOX INTERNATIONAL INC     COMMON 526107107   $     701      24,200    SH   DEFINED              23       24,200    0         -
LENNOX INTERNATIONAL INC     COMMON 526107107   $       2          71    SH   DEFINED              24           71    0         -
LENOX GROUP INC              COMMON 526262100   $       6      23,911    SH   DEFINED              23       23,911    0         -
LEUCADIA NATIONAL CORP       COMMON 527288104   $     103       2,200    SH   DEFINED           10,14        2,200    0         -
LEUCADIA NATIONAL CORP       COMMON 527288104   $     765      16,300    SH   DEFINED              14       15,300    0       1,000
LEUCADIA NATIONAL CORP       COMMON 527288104   $     178       3,800    SH   DEFINED            14,7          -      0       3,800
LEUCADIA NATIONAL CORP       COMMON 527288104   $      19         400    SH   DEFINED              22          -      0         400
LEUCADIA NATIONAL CORP       COMMON 527288104   $  14,710     313,369    SH   DEFINED              23      313,369    0         -
LEUCADIA NATIONAL CORP       COMMON 527288104   $     209       4,450    SH   DEFINED              24        4,450    0         -
LEUCADIA NATIONAL CORP       COMMON 527288104   $     146       3,103    SH   DEFINED               7        3,103    0         -
LEUCADIA NATIONAL CORP       COMMON 527288104   $     591      12,600    SH   DEFINED            8,14       12,600    0         -
LEVEL 3 COMMUNICATIONS INC   COMMON 52729N100   $       5       1,737    SH   DEFINED              22        1,000    0         737
LEVEL 3 COMMUNICATIONS INC   COMMON 52729N100   $     319     108,228    SH   DEFINED              23      108,228    0         -
LEVEL 3 COMMUNICATIONS INC   COMMON 52729N100   $   1,233     417,893    SH   DEFINED              24      417,893    0         -
LEVEL 3 COMMUNICATIONS INC   COMMON 52729N100   $   4,124   1,397,881    SH   DEFINED               5    1,396,138    0       1,743
LEVEL 3 COMMUNICATIONS INC   COMMON 52729N100   $      65      22,140    SH   DEFINED               7       22,140    0         -
LEVEL 3 COMM INC(LVLT) CVT
6.0                          CONVERT52729NAS9   $      28      30,000    SH   DEFINED              22          -      0      30,000
LEXICON PHARMACEUTICALS INC  COMMON 528872104   $       1         898    SH   DEFINED              23          898    0         -
LEXINGTON REALTY TRUST       COMMON 529043101   $     222      16,300    SH   DEFINED              23       16,300    0         -
LEXINGTON REALTY TRUST       COMMON 529043101   $     168      12,355    SH   DEFINED               5        3,105    0       9,250
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     428      12,800    SH   DEFINED            1,15       12,800    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     458      13,700    SH   DEFINED           10,14       13,700    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $      40       1,200    SH   DEFINED              13        1,200    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $  52,161   1,560,320    SH   DEFINED              14      787,270    0     754,550
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     187       5,600    SH   DEFINED           14,13          -      0       5,600
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $   2,761      82,600    SH   DEFINED            14,7          -      0      82,600
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     127       3,800    SH   DEFINED           20,14          -      0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $      49       1,461    SH   DEFINED              21        1,461    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $   1,685      50,403    SH   DEFINED              23       50,403    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $      30         912    SH   DEFINED              24          912    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     421      12,600    SH   DEFINED            5,15       12,600    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     357      10,669    SH   DEFINED               7       10,669    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $   1,392      41,636    SH   DEFINED               8       41,636    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $   3,313      99,100    SH   DEFINED            8,14       99,100    0         -
LEXMARK INTL GROUP INC CL A  COMMON 529771107   $     100       3,000    SH   DEFINED            9,14          -      0       3,000
LIBBEY INC                   COMMON 529898108   $     120      16,165    SH   DEFINED              23       16,165    0         -
LIBERTY ALL STAR EQUITY FUND
C                            COMMON 530158104   $      67      10,201    SH   DEFINED               5       10,201    0         -
LIBERTY GLOBAL INC -A        COMMON 530555101   $   2,660      84,636    SH   DEFINED               1       84,636    0         -
LIBERTY GLOBAL INC -A        COMMON 530555101   $     220       6,985    SH   DEFINED            13,2          -      0       6,985
LIBERTY GLOBAL INC -A        COMMON 530555101   $      41       1,300    SH   DEFINED              14          700    0         -
LIBERTY GLOBAL INC -A        COMMON 530555101   $      19         600    SH   DEFINED           20,14          -      0         -
LIBERTY GLOBAL INC -A        COMMON 530555101   $  12,771     406,332    SH   DEFINED              22      255,686    0     150,646
LIBERTY GLOBAL INC -A        COMMON 530555101   $     664      21,124    SH   DEFINED              23       21,124    0         -
LIBERTY GLOBAL INC -A        COMMON 530555101   $   1,366      43,469    SH   DEFINED              24       43,469    0         -
LIBERTY GLOBAL INC -A        COMMON 530555101   $   7,450     237,042    SH   DEFINED               5      204,906    0      32,136
LIBERTY GLOBAL INC -A        COMMON 530555101   $      74       2,367    SH   DEFINED               7        2,367    0         -
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $   5,293     174,328    SH   DEFINED               1      174,328    0         -
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $     445      14,658    SH   DEFINED            13,2          -      0      14,658
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $     152       4,996    SH   DEFINED              22        4,996    0         -
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $     315      10,381    SH   DEFINED              23       10,381    0         -
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $       7         232    SH   DEFINED              24          232    0         -
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $      47       1,546    SH   DEFINED               5          -      0       1,546
LIBERTY GLOBAL INC- SERIES C COMMON 530555309   $      73       2,401    SH   DEFINED               7        2,401    0         -
VIACOM INC CVT (L) 3.25
03-15-                       CONVERT530715AR2   $      20      30,000    SH   DEFINED              22       25,000    0       5,000
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $   7,240     490,535    SH   DEFINED               1      490,535    0         -
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $     601      40,746    SH   DEFINED            13,2          -      0      40,746
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $     624      42,278    SH   DEFINED              22       22,640    0      19,638
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $     968      65,615    SH   DEFINED              23       65,615    0         -
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $   2,230     151,053    SH   DEFINED              24      151,053    0         -
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $     321      21,765    SH   DEFINED               5       13,646    0       8,119
LIBERTY MEDIA-INTERACTIVE A  COMMON 53071M104   $     160      10,867    SH   DEFINED               7       10,867    0         -
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $   1,412      98,067    SH   DEFINED               1       98,067    0         -
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $     115       8,009    SH   DEFINED            13,2          -      0       8,009
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $      69       4,810    SH   DEFINED              14        4,010    0         800
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $     119       8,282    SH   DEFINED              22        4,197    0       4,085
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $   1,430      99,324    SH   DEFINED              23       99,324    0         -
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $       2         120    SH   DEFINED              24          120    0         -
LIBERTY MEDIA HOLD-CAP SER A COMMON 53071M302   $      63       4,351    SH   DEFINED               5        2,729    0       1,622
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $   9,505     392,268    SH   DEFINED               1      392,268    0         -
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $     786      32,419    SH   DEFINED            13,2          -      0      32,419
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $     355      14,660    SH   DEFINED              14       12,260    0       1,100
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $     830      34,240    SH   DEFINED              22       16,788    0      17,452
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $     936      38,615    SH   DEFINED              23       38,615    0         -
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $      14         560    SH   DEFINED              24          560    0         -
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $     756      31,194    SH   DEFINED               5       11,136    0      20,058
LIBERTY ENTERTAINMENT-A      COMMON 53071M500   $     211       8,692    SH   DEFINED               7        8,692    0         -
LIBERTY PROPERTY TRUST       COMMON 531172104   $   8,851     267,000    SH   DEFINED            1,15      267,000    0         -
LIBERTY PROPERTY TRUST       COMMON 531172104   $  43,591   1,314,974    SH   DEFINED              14      784,474    0     490,200
LIBERTY PROPERTY TRUST       COMMON 531172104   $   1,190      35,900    SH   DEFINED            2,15       35,900    0         -
LIBERTY PROPERTY TRUST       COMMON 531172104   $      40       1,200    SH   DEFINED              22          -      0       1,200
LIBERTY PROPERTY TRUST       COMMON 531172104   $     444      13,408    SH   DEFINED              23       13,408    0         -
LIBERTY PROPERTY TRUST       COMMON 531172104   $       7         226    SH   DEFINED              24          226    0         -
LIBERTY PROPERTY TRUST       COMMON 531172104   $      86       2,600    SH   DEFINED            3,15          -      0       2,600
LIBERTY PROPERTY TRUST       COMMON 531172104   $       4         115    SH   DEFINED               5          -      0         115
LIBERTY PROPERTY TRUST       COMMON 531172104   $   3,958     119,400    SH   DEFINED            5,15      119,400    0         -
LIBERTY PROPERTY TRUST       COMMON 531172104   $     143       4,300    SH   DEFINED            6,14        4,300    0         -
LIFEWAY FOODS INC            COMMON 531914109   $     110       9,275    SH   DEFINED               5          -      0       9,275
LIFE PARTNERS HOLDINGS INC   COMMON 53215T106   $     224      11,200    SH   DEFINED              14        5,700    0       5,500
LIFE PARTNERS HOLDINGS INC   COMMON 53215T106   $       1          53    SH   DEFINED              23           53    0         -
LIFE PARTNERS HOLDINGS INC   COMMON 53215T106   $      32       1,600    SH   DEFINED            5,15        1,600    0         -
LIFE TIME FITNESS INC        COMMON 53217R207   $      48       1,633    SH   DEFINED              23        1,633    0         -
LIFE TIME FITNESS INC        COMMON 53217R207   $      14         480    SH   DEFINED               5          480    0         -
LIFEPOINT HOSPITALS INC      COMMON 53219L109   $  10,989     388,304    SH   DEFINED               1      388,304    0         -
LIFEPOINT HOSPITALS INC      COMMON 53219L109   $   8,861     313,116    SH   DEFINED               2      313,116    0         -
LIFEPOINT HOSPITALS INC      COMMON 53219L109   $      15         528    SH   DEFINED              22          -      0         528
LIFEPOINT HOSPITALS INC      COMMON 53219L109   $   4,412     155,912    SH   DEFINED              23      155,912    0         -
LIFEPOINT HOSPITALS INC      COMMON 53219L109   $       4         125    SH   DEFINED              24          125    0         -
LIFEPOINT HOSPITALS INC      COMMON 53219L109   $      32       1,120    SH   DEFINED               5        1,120    0         -
LIZ CLAIBORNE INC            COMMON 539320101   $   73,585   5,200,350   SH   DEFINED                3    5,200,350   0         -
LIZ CLAIBORNE INC            COMMON 539320101   $       14         960   SH   DEFINED                5          960   0         -
LLOYDS TSB GROUP PLC ADR     COMMON 539439109   $        3         103   SH   DEFINED               11          103   0         -
LLOYDS TSB GROUP PLC ADR     COMMON 539439109   $        8         316   SH   DEFINED               22          -     0         316
LLOYDS TSB GROUP PLC ADR     COMMON 539439109   $        1          33   SH   DEFINED                4           33   0         -
LLOYDS TSB GROUP PLC ADR     COMMON 539439109   $        9         350   SH   DEFINED                5          350   0         -
LOJACK CORPORATION           COMMON 539451104   $        1         162   SH   DEFINED               23          162   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $  122,007   1,236,638   SH   DEFINED                1    1,236,638   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    4,512      45,736   SH   DEFINED              1,9       45,736   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    1,223      12,400   SH   DEFINED            10,14       12,400   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $   82,804     839,290   SH   DEFINED               14      620,190   0     190,800
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    2,437      24,700   SH   DEFINED            14,13          -     0      24,700
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    4,075      41,300   SH   DEFINED             14,7          -     0      41,300
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $      757       7,668   SH   DEFINED               19        7,668   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $   32,380     328,196   SH   DEFINED                2      328,196   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    1,519      15,393   SH   DEFINED               21       15,393   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $      290       2,944   SH   DEFINED               22          -     0       2,944
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $   24,048     243,749   SH   DEFINED               23      243,749   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $       40         406   SH   DEFINED               24          406   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $      802       8,130   SH   DEFINED                4        8,130   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $      464       4,708   SH   DEFINED                5        3,644   0       1,064
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    5,495      55,700   SH   DEFINED             5,15       55,700   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $      562       5,700   SH   DEFINED                6        5,700   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    2,936      29,756   SH   DEFINED                7       29,756   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $   28,935     293,277   SH   DEFINED                8      293,277   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $      133       1,349   SH   DEFINED              8,2        1,349   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    1,006      10,200   SH   DEFINED                9       10,200   0         -
LOCKHEED MARTIN CORPORATION  COMMON 539830109   $    1,322      13,400   SH   DEFINED             9,14          -     0      13,400
LOCKHEED MARTIN CVT(LMT) FLT
                           0 CONVERT539830AP4   $   17,271  12,700,000   SH   DEFINED               14          -     0  10,750,000
LODGENET INTERACTIVE CORP    COMMON 540211109   $       24       4,880   SH   DEFINED               23        4,880   0         -
LODGIAN INC                  COMMON 54021P403   $      213      27,156   SH   DEFINED               23       27,156   0         -
LOEWS CORP                   COMMON 540424108   $    1,745      37,200   SH   DEFINED             1,15       37,200   0         -
LOEWS CORP                   COMMON 540424108   $       70       1,500   SH   DEFINED            10,14        1,500   0         -
LOEWS CORP                   COMMON 540424108   $       28         600   SH   DEFINED               14          400   0         200
LOEWS CORP                   COMMON 540424108   $      164       3,500   SH   DEFINED               22        3,500   0         -
LOEWS CORP                   COMMON 540424108   $    5,980     127,507   SH   DEFINED               23      127,507   0         -
LOEWS CORP                   COMMON 540424108   $       53       1,138   SH   DEFINED               24        1,138   0         -
LOEWS CORP                   COMMON 540424108   $      314       6,700   SH   DEFINED                5        1,500   0       5,200
LOEWS CORP                   COMMON 540424108   $      125       2,659   SH   DEFINED                7        2,659   0         -
LOGITECH INTERNATIONAL ADR   COMMON 541419107   $       12         497   SH   DEFINED               22          -     0         497
LONGS DRUG STORES CORP       COMMON 543162101   $   12,890     306,092   SH   DEFINED                1      306,092   0         -
LONGS DRUG STORES CORP       COMMON 543162101   $   10,212     242,511   SH   DEFINED                2      242,511   0         -
LONGS DRUG STORES CORP       COMMON 543162101   $    3,462      82,213   SH   DEFINED               23       82,213   0         -
LONGS DRUG STORES CORP       COMMON 543162101   $        3          74   SH   DEFINED               24           74   0         -
LONGTOP FINANCIAL TECHNO-ADR COMMON 54318P108   $    1,960     118,352   SH   DEFINED               23      118,352   0         -
LOOPNET INC                  COMMON 543524300   $      387      34,225   SH   DEFINED               23       34,225   0         -
LORAL SPACE & COMMUNICATIONS COMMON 543881106   $       73       4,161   SH   DEFINED               23        4,161   0         -
LORILLARD INC                COMMON 544147101   $       41         600   SH   DEFINED               14          600   0         -
LORILLARD INC                COMMON 544147101   $    3,418      49,419   SH   DEFINED               23       49,419   0         -
LORILLARD INC                COMMON 544147101   $       11         164   SH   DEFINED               24          164   0         -
LOUISIANA-PACIFIC CORP       COMMON 546347105   $       28       3,263   SH   DEFINED               22        2,003   0       1,260
LOUISIANA-PACIFIC CORP       COMMON 546347105   $      202      23,801   SH   DEFINED               23       23,801   0         -
LOUISIANA-PACIFIC CORP       COMMON 546347105   $        4         437   SH   DEFINED               24          437   0         -
LOUISIANA-PACIFIC CORP       COMMON 546347105   $       45       5,273   SH   DEFINED                5        5,273   0         -
LOWES COMPANIES INC          COMMON 548661107   $    5,670     273,264   SH   DEFINED                1      273,264   0         -
LOWES COMPANIES INC          COMMON 548661107   $      470      22,667   SH   DEFINED             13,2          -     0      22,667
LOWES COMPANIES INC          COMMON 548661107   $      311      14,980   SH   DEFINED               14       11,280   0       2,300
LOWES COMPANIES INC          COMMON 548661107   $   27,812   1,340,329   SH   DEFINED               22      271,772   0   1,068,557
LOWES COMPANIES INC          COMMON 548661107   $    3,967     191,199   SH   DEFINED               23      191,199   0         -
LOWES COMPANIES INC          COMMON 548661107   $       44       2,127   SH   DEFINED               24        2,127   0         -
LOWES COMPANIES INC          COMMON 548661107   $    9,200     443,387   SH   DEFINED                5      398,223   0      45,164
LOWES COMPANIES INC          COMMON 548661107   $      545      26,270   SH   DEFINED                7       26,270   0         -
LOWES COMPANIES INC          COMMON 548661107   $      405      19,540   SH   DEFINED                8       19,540   0         -
LUBRIZOL CORP                COMMON 549271104   $      271       5,850   SH   DEFINED               14        4,950   0         300
LUBRIZOL CORP                COMMON 549271104   $      232       5,000   SH   DEFINED               22          -     0       5,000
LUBRIZOL CORP                COMMON 549271104   $    1,308      28,237   SH   DEFINED               23       28,237   0         -
LUBRIZOL CORP                COMMON 549271104   $        4          87   SH   DEFINED               24           87   0         -
LUBRIZOL CORP                COMMON 549271104   $      105       2,275   SH   DEFINED                5        1,175   0       1,100
LUBY'S INC                   COMMON 549282101   $       23       3,785   SH   DEFINED               23        3,785   0         -
LUFKIN INDUSTRIES INC        COMMON 549764108   $    5,599      67,235   SH   DEFINED                1       67,235   0         -
LUFKIN INDUSTRIES INC        COMMON 549764108   $    2,153      25,847   SH   DEFINED                2        2,094   0      23,753
LUFKIN INDUSTRIES INC        COMMON 549764108   $   12,993     156,010   SH   DEFINED               23      156,010   0         -
LULULEMON ATHLETICA INC      COMMON 550021109   $      110       3,800   SH   DEFINED               14        3,800   0         -
LULULEMON ATHLETICA INC      COMMON 550021109   $      145       5,000   SH   DEFINED               22        5,000   0         -
LULULEMON ATHLETICA INC      COMMON 550021109   $       32       1,109   SH   DEFINED                5        1,109   0         -
LULULEMON ATHLETICA INC      COMMON 550021109   $       23         800   SH   DEFINED             5,15          800   0         -
LUMINENT MORTGAGE CAPITAL IN COMMON 550278303   $       27     181,101   SH   DEFINED               23      181,101   0         -
LUMINEX CORP                 COMMON 55027E102   $      436      21,200   SH   DEFINED               14       10,500   0      10,700
LUMINEX CORP                 COMMON 55027E102   $    5,152     250,724   SH   DEFINED               23      250,724   0         -
LUMINEX CORP                 COMMON 55027E102   $    2,939     143,000   SH   DEFINED                3      143,000   0         -
LUMINEX CORP                 COMMON 55027E102   $       70       3,400   SH   DEFINED             5,15        3,400   0         -
LUXOTTICA GROUP SPA ADR      COMMON 55068R202   $    2,932     125,671   SH   DEFINED               23      125,671   0         -
LUXOTTICA GROUP SPA ADR      COMMON 55068R202   $        3         128   SH   DEFINED                4          128   0         -
LUXOTTICA GROUP SPA ADR      COMMON 55068R202   $       80       3,450   SH   DEFINED                5          -     0       3,450
LYDALL INC                   COMMON 550819106   $      299      23,832   SH   DEFINED               23       23,832   0         -
M & F WORLDWIDE CORP         COMMON 552541104   $       63       1,602   SH   DEFINED               23        1,602   0         -
M & T BANK CORPORATION       COMMON 55261F104   $        7         100   SH   DEFINED               14          100   0         -
M & T BANK CORPORATION       COMMON 55261F104   $    5,113      72,490   SH   DEFINED               23       72,490   0         -
M & T BANK CORPORATION       COMMON 55261F104   $       33         474   SH   DEFINED               24          474   0         -
M & T BANK CORPORATION       COMMON 55261F104   $      181       2,559   SH   DEFINED                5        1,719   0         840
M & T BANK CORPORATION       COMMON 55261F104   $      488       6,924   SH   DEFINED                7        6,924   0         -
MBIA INC                     COMMON 55262C100   $        1         300   SH   DEFINED               14          300   0         -
MBIA INC                     COMMON 55262C100   $       88      19,950   SH   DEFINED               22       18,000   0       1,950
MBIA INC                     COMMON 55262C100   $      317      72,158   SH   DEFINED               23       72,158   0         -
MBIA INC                     COMMON 55262C100   $        6       1,363   SH   DEFINED               24        1,363   0         -
MBIA INC                     COMMON 55262C100   $        2         378   SH   DEFINED                5          290   0          88
MB FINANCIAL INC             COMMON 55264U108   $      223       9,926   SH   DEFINED               22          -     0       9,926
MB FINANCIAL INC             COMMON 55264U108   $      111       4,954   SH   DEFINED               23        4,954   0         -
MB FINANCIAL INC             COMMON 55264U108   $       21         942   SH   DEFINED                5          942   0         -
MDC HOLDINGS INC             COMMON 552676108   $    8,685     222,350   SH   DEFINED               14      134,050   0      84,000
MDC HOLDINGS INC             COMMON 552676108   $   1,016      26,000    SH   DEFINED            14,7          -      0      26,000
MDC HOLDINGS INC             COMMON 552676108   $     198       5,078    SH   DEFINED              23        5,078    0         -
MDC HOLDINGS INC             COMMON 552676108   $       4          98    SH   DEFINED              24           98    0         -
MDC HOLDINGS INC             COMMON 552676108   $      64       1,650    SH   DEFINED               5        1,650    0         -
MDU RESOURCES GROUP INC      COMMON 552690109   $      10         300    SH   DEFINED              14          300    0         -
MDU RESOURCES GROUP INC      COMMON 552690109   $     560      16,072    SH   DEFINED              23       16,072    0         -
MDU RESOURCES GROUP INC      COMMON 552690109   $       9         255    SH   DEFINED              24          255    0         -
MDC PARTNERS INC             COMMON 552697104   $       2         230    SH   DEFINED              23          230    0         -
MDS INC CL B                 COMMON 55269P302   $   9,296     569,107    SH   DEFINED               1      569,107    0         -
MDS INC CL B                 COMMON 55269P302   $     886      54,258    SH   DEFINED               2       54,258    0         -
MDS INC CL B                 COMMON 55269P302   $   1,239      75,871    SH   DEFINED            20,2          -      0      75,871
MDS INC CL B                 COMMON 55269P302   $      24       1,499    SH   DEFINED              23        1,499    0         -
MDS INC CL B                 COMMON 55269P302   $  35,224   2,156,500    SH   DEFINED               3    2,156,500    0         -
MDS INC                      COMMON 55269P302   $     170      10,490    SH   DEFINED               5          -      0      10,490
MEMC ELECTRONIC MATE         COMMON 552715104   $  31,543     512,556    SH   DEFINED               1      512,556    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $     154       2,500    SH   DEFINED              14        1,500    0         400
MEMC ELECTRONIC MATE         COMMON 552715104   $     117       1,900    SH   DEFINED            14,7          -      0       1,900
MEMC ELECTRONIC MATE         COMMON 552715104   $   7,116     115,639    SH   DEFINED               2      115,639    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $   1,036      16,828    SH   DEFINED            20,2       16,828    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $  26,283     427,084    SH   DEFINED              22      203,176    0     223,908
MEMC ELECTRONIC MATE         COMMON 552715104   $  41,318     671,404    SH   DEFINED              23      671,404    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $      95       1,547    SH   DEFINED              24        1,547    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $     276       4,490    SH   DEFINED               4        4,490    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $  17,719     287,920    SH   DEFINED               5      206,874    0      81,046
MEMC ELECTRONIC MATE         COMMON 552715104   $     170       2,769    SH   DEFINED               7        2,769    0         -
MEMC ELECTRONIC MATE         COMMON 552715104   $  17,173     279,058    SH   DEFINED               8      279,058    0         -
MFA MORTGAGE INVESTMENTS INC COMMON 55272X102   $       7       1,000    SH   DEFINED              22          -      0       1,000
MFA MORTGAGE INVESTMENTS INC COMMON 55272X102   $     120      18,362    SH   DEFINED              23       18,362    0         -
MFA MORTGAGE INVESTMENTS INC COMMON 55272X102   $     105      16,050    SH   DEFINED               5        4,025    0      12,025
MFS INTERMEDIATE INC
TRUST CF                     COMMON 55273C107   $      13       2,000    SH   DEFINED              22          -      0       2,000
MDRNA INC                    COMMON 55276N100       $ -           225    SH   DEFINED              23          225    0         -
MGE ENERGY INC               COMMON 55277P104   $     140       4,282    SH   DEFINED              23        4,282    0         -
MGE ENERGY INC               COMMON 55277P104   $     102       3,130    SH   DEFINED               5          805    0       2,325
MGIC INVESTMENT CORP         COMMON 552848103   $      12       2,000    SH   DEFINED              22          -      0       2,000
MGIC INVESTMENT CORP         COMMON 552848103   $     229      37,539    SH   DEFINED              23       37,539    0         -
MGIC INVESTMENT CORP         COMMON 552848103   $       4         690    SH   DEFINED              24          690    0         -
MGM MIRAGE                   COMMON 552953101   $   6,344     187,190    SH   DEFINED               1      187,190    0         -
MGM MIRAGE                   COMMON 552953101   $     507      14,948    SH   DEFINED            13,2          -      0      14,948
MGM MIRAGE                   COMMON 552953101   $     167       4,916    SH   DEFINED              23        4,916    0         -
MGM MIRAGE                   COMMON 552953101   $       4         117    SH   DEFINED              24          117    0         -
MGM MIRAGE                   COMMON 552953101   $     729      21,500    SH   DEFINED               5          -      0      21,500
MIDWEST GRAIN PRODUCTS INC   COMMON 55302G103   $       1         108    SH   DEFINED              23          108    0         -
MI DEVELOPMENTS INC W-I CL A COMMON 55304X104   $     132       5,864    SH   DEFINED              23        5,864    0         -
M/I HOMES INC                COMMON 55305B101   $   4,348     276,400    SH   DEFINED              14      205,400    0      71,000
M/I HOMES INC                COMMON 55305B101   $     106       6,744    SH   DEFINED              23        6,744    0         -
M/I HOMES INC                COMMON 55305B101   $     716      45,500    SH   DEFINED            5,15       45,500    0         -
M/I HOMES INC                COMMON 55305B101   $      58       3,700    SH   DEFINED               8        3,700    0         -
M/I HOMES INC                COMMON 55305B101   $      16       1,000    SH   DEFINED            8,20        1,000    0         -
MKS INSTRUMENTS INC          COMMON 55306N104   $   6,571     300,061    SH   DEFINED               1      300,061    0         -
MKS INSTRUMENTS INC          COMMON 55306N104   $   3,828     174,802    SH   DEFINED               2       68,247    0     106,555
MKS INSTRUMENTS INC          COMMON 55306N104   $   6,486     296,164    SH   DEFINED              23      296,164    0         -
MKS INSTRUMENTS INC          COMMON 55306N104   $     198       9,052    SH   DEFINED              24        9,052    0         -
MIVA INC                     COMMON 55311R108       $ -           296    SH   DEFINED              23          296    0         -
MPS GROUP INC                COMMON 553409103   $     163      15,300    SH   DEFINED              14       15,300    0         -
MPS GROUP INC                COMMON 553409103   $   1,178     110,807    SH   DEFINED              23      110,807    0         -
MRV COMMUNICATIONS INC       COMMON 553477100   $       2       1,385    SH   DEFINED              23        1,385    0         -
MSC INDUSTRIAL DIRECT CO
CL A                         COMMON 553530106   $      42         955    SH   DEFINED              22          -      0         955
MSC INDUSTRIAL DIRECT CO
CL A                         COMMON 553530106   $     146       3,318    SH   DEFINED              23        3,318    0         -
MSC INDUSTRIAL DIRECT CO
CL A                         COMMON 553530106   $       3          60    SH   DEFINED              24           60    0         -
MSC SOFTWARE CORP            COMMON 553531104   $     384      34,963    SH   DEFINED              23       34,963    0         -
MSCI INC-A                   COMMON 55354G100   $  25,530     703,500    SH   DEFINED               1      703,500    0         -
MSCI INC-A                   COMMON 55354G100   $     166       4,564    SH   DEFINED               2        4,564    0         -
MSCI INC-A                   COMMON 55354G100   $     204       5,630    SH   DEFINED              23        5,630    0         -
MTR GAMING GROUP INC         COMMON 553769100   $      45       9,386    SH   DEFINED              23        9,386    0         -
MTS SYSTEMS CORP             COMMON 553777103   $   4,295     119,700    SH   DEFINED              14       77,400    0      42,300
MTS SYSTEMS CORP             COMMON 553777103   $   1,084      30,207    SH   DEFINED              23       30,207    0         -
MTS SYSTEMS CORP             COMMON 553777103   $     739      20,600    SH   DEFINED            5,15       20,600    0         -
MVC CAPITAL INC              COMMON 553829102   $   1,777     129,816    SH   DEFINED              23      129,816    0         -
MVC CAPITAL INC              COMMON 553829102   $      15       1,121    SH   DEFINED              24        1,121    0         -
MWI VETERINARY SUPPLY INC    COMMON 55402X105   $     266       8,036    SH   DEFINED              23        8,036    0         -
MAC-GRAY CORP                COMMON 554153106   $      37       3,184    SH   DEFINED              23        3,184    0         -
MACATAWA BANK CORP           COMMON 554225102   $      31       3,927    SH   DEFINED              23        3,927    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $  23,914     384,900    SH   DEFINED            1,15      384,900    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $  87,268   1,404,596    SH   DEFINED              14      851,996    0     482,300
MACERICH COMPANY (THE)       COMMON 554382101   $   1,087      17,500    SH   DEFINED           18,14       17,500    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $     323       5,200    SH   DEFINED           19,14        5,200    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $   3,672      59,100    SH   DEFINED            2,15       59,100    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $     318       5,124    SH   DEFINED              23        5,124    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $       5          78    SH   DEFINED              24           78    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $     422       6,800    SH   DEFINED            3,15        2,700    0       4,100
MACERICH COMPANY (THE)       COMMON 554382101   $       5          74    SH   DEFINED               5          -      0          74
MACERICH COMPANY (THE)       COMMON 554382101   $   7,346     118,232    SH   DEFINED            5,15      118,232    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $      43         700    SH   DEFINED            6,14          700    0         -
MACERICH COMPANY (THE)       COMMON 554382101   $     944      15,200    SH   DEFINED            8,14          -      0      15,200
MACK-CALI REALTY CORP        COMMON 554489104   $   6,458     189,000    SH   DEFINED            1,15      189,000    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $  64,043   1,874,243    SH   DEFINED              14    1,117,343    0     665,000
MACK-CALI REALTY CORP        COMMON 554489104   $     789      23,100    SH   DEFINED           18,14       23,100    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $     236       6,900    SH   DEFINED           19,14        6,900    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $      17         500    SH   DEFINED              22          -      0         500
MACK-CALI REALTY CORP        COMMON 554489104   $     270       7,913    SH   DEFINED              23        7,913    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $       5         145    SH   DEFINED              24          145    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $     120       3,500    SH   DEFINED            3,15        3,500    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $       4         111    SH   DEFINED               5          -      0         111
MACK-CALI REALTY CORP        COMMON 554489104   $   5,259     153,900    SH   DEFINED            5,15      153,900    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $      92       2,700    SH   DEFINED            6,14        2,700    0         -
MACK-CALI REALTY CORP        COMMON 554489104   $     690      20,200    SH   DEFINED            8,14          -      0      20,200
MACQUARIE INFRASTRUCTURE
CO                           COMMON 55608B105   $      20         800    SH   DEFINED              22          -      0         800
MACQUARIE INFRASTRUCTURE CO  COMMON 55608B105   $   4,853     191,906    SH   DEFINED              23      191,906    0         -
MACROVISION SOLUTIONS CORP   COMMON 55611C108   $     267      17,880    SH   DEFINED              23       17,880    0         -
MACROVISION SOLUTIONS CORP   COMMON 55611C108   $     387      25,882    SH   DEFINED               3       25,882    0         -
MACROVISION SOLUTIONS CORP   COMMON 55611C108   $     111       7,418    SH   DEFINED               5        7,418    0         -
MACY'S INC                   COMMON 55616P104   $      45       2,300    SH   DEFINED              13        2,300    0         -
MACY'S INC                   COMMON 55616P104   $  11,501     592,240    SH   DEFINED              14      206,240    0     380,600
MACY'S INC                   COMMON 55616P104   $     144       7,400    SH   DEFINED            14,7          -      0       7,400
MACY'S INC                   COMMON 55616P104   $      45       2,300    SH   DEFINED           20,14          -      0         -
MACY'S INC                   COMMON 55616P104   $     122       6,298    SH   DEFINED              22        3,114    0       3,184
MACY'S INC                   COMMON 55616P104   $   1,332      68,567    SH   DEFINED              23       68,567    0         -
MACY'S INC                   COMMON 55616P104   $      24       1,240    SH   DEFINED              24        1,240    0         -
MACY'S INC                   COMMON 55616P104   $     124       6,367    SH   DEFINED               5          934    0       5,433
MACY'S INC                   COMMON 55616P104   $     215      11,090    SH   DEFINED               7       11,090    0         -
STEVEN MADDEN LTD            COMMON 556269108   $      63       3,432    SH   DEFINED              23        3,432    0         -
MAGELLAN HEALTH SERVICES INC COMMON 559079207   $      67       1,800    SH   DEFINED            1,15        1,800    0         -
MAGELLAN HEALTH SERVICES INC COMMON 559079207   $     626      16,900    SH   DEFINED              14        8,400    0       8,500
MAGELLAN HEALTH SERVICES INC COMMON 559079207   $   4,638     125,254    SH   DEFINED              23      125,254    0         -
MAGELLAN HEALTH SERVICES INC COMMON 559079207   $     136       3,680    SH   DEFINED              24        3,680    0         -
MAGELLAN HEALTH SERVICES INC COMMON 559079207   $      93       2,500    SH   DEFINED            5,15        2,500    0         -
MAGELLAN MIDSTREAM HOLDINGS  COMMON 55907R108   $     940      38,386    SH   DEFINED              22        1,130    0      37,256
MAGELLAN MIDSTREAM HOLDINGS  COMMON 55907R108   $  15,732     642,104    SH   DEFINED               5      613,257    0      28,847
MAGELLAN MIDSTREAM PARTNERS  COMMON 559080106   $   3,286      92,323    SH   DEFINED               5       78,488    0      13,835
MAGMA DESIGN AUTOMATION      COMMON 559181102   $     426      70,100    SH   DEFINED              14       40,900    0      29,200
MAGMA DESIGN AUTOMATION      COMMON 559181102   $       2         275    SH   DEFINED              23          275    0         -
MAGMA DESIGN AUTOMATION      COMMON 559181102   $      55       9,000    SH   DEFINED            5,15        9,000    0         -
MAGNA ENTERTAINMENT
CL A                         COMMON 559211107   $      52      92,054    SH   DEFINED              23       92,054    0         -
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $     622      10,500    SH   DEFINED              14          -      0      10,500
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $   2,487      41,572    SH   DEFINED               2       41,572    0         -
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $     159       2,680    SH   DEFINED              22          -      0       2,680
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $     386       6,461    SH   DEFINED              23        6,461    0         -
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $       2          41    SH   DEFINED              24           41    0         -
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $  44,307     740,728    SH   DEFINED             3,1      740,728    0         -
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $     112       1,884    SH   DEFINED               7        1,884    0         -
MAGNA INTERNATIONAL INC
CL A                         COMMON 559222401   $     710      11,939    SH   DEFINED               8       10,046  1893         -
MAGUIRE PROPERTIES INC       COMMON 559775101   $     348      28,600    SH   DEFINED              14       28,600    0         -
MAGUIRE PROPERTIES INC       COMMON 559775101   $      82       6,760    SH   DEFINED              23        6,760    0         -
MAGYAR TELEKOM TELECOMMUNI
CATI                         COMMON 559776109   $     781      32,409    SH   DEFINED              23       32,409    0         -
MAHANAGAR TELEPHONE NIGA-ADR COMMON 559778402   $     194      45,512    SH   DEFINED              23       45,512    0         -
MAIDENFORM BRANDS, INC.      COMMON 560305104   $     400      29,600    SH   DEFINED              14       29,600    0         -
MAIDENFORM BRANDS, INC.      COMMON 560305104   $     167      12,340    SH   DEFINED              23       12,340    0         -
MAIDENFORM BRANDS, INC.      COMMON 560305104   $      35       2,600    SH   DEFINED            5,15        2,600    0         -
MAIDENFORM BRANDS, INC.      COMMON 560305104   $     158      11,700    SH   DEFINED               8       11,700    0         -
MAIDENFORM BRANDS, INC.      COMMON 560305104   $      43       3,200    SH   DEFINED            8,20        3,200    0         -
MAINSOURCE FINANCIAL GROUP I COMMON 56062Y102   $     282      18,177    SH   DEFINED              23       18,177    0         -
MAIR HOLDINGS INC            COMMON 560635104   $       2         428    SH   DEFINED              23          428    0         -
MANHATTAN ASSOCIATES INC     COMMON 562750109   $  11,619     489,646    SH   DEFINED               1      489,646    0         -
MANHATTAN ASSOCIATES INC     COMMON 562750109   $   3,296     138,900    SH   DEFINED              14       85,700    0      53,200
MANHATTAN ASSOCIATES INC     COMMON 562750109   $   9,501     400,373    SH   DEFINED               2      400,373    0         -
MANHATTAN ASSOCIATES INC     COMMON 562750109   $   2,171      91,487    SH   DEFINED              23       91,487    0         -
MANHATTAN ASSOCIATES INC     COMMON 562750109   $     472      19,900    SH   DEFINED            5,15       19,900    0         -
MANITOWOC COMPANY INC        COMMON 563571108   $   4,980     153,076    SH   DEFINED              22      107,765    0      45,311
MANITOWOC COMPANY INC        COMMON 563571108   $   1,104      33,949    SH   DEFINED              23       33,949    0         -
MANITOWOC COMPANY INC        COMMON 563571108   $   2,816      86,574    SH   DEFINED               5       67,116    0      19,458
MANNATECH INC                COMMON 563771104   $      19       3,520    SH   DEFINED              23        3,520    0         -
MANNKIND CORP                COMMON 56400P201   $       1         442    SH   DEFINED              23          442    0         -
MANNKIND CORP                COMMON 56400P201   $       5       1,750    SH   DEFINED               5        1,750    0         -
MANPOWER INC                 COMMON 56418H100   $   5,766      99,000    SH   DEFINED             1,3       99,000    0         -
MANPOWER INC                 COMMON 56418H100   $       6         100    SH   DEFINED              14          100    0         -
MANPOWER INC                 COMMON 56418H100   $       3          48    SH   DEFINED              22          -      0          48
MANPOWER INC                 COMMON 56418H100   $     548       9,405    SH   DEFINED              23        9,405    0         -
MANPOWER INC                 COMMON 56418H100   $      11         190    SH   DEFINED              24          190    0         -
MANPOWER INC                 COMMON 56418H100   $  70,622   1,212,600    SH   DEFINED               3    1,212,600    0         -
MANPOWER INC                 COMMON 56418H100   $     945      16,227    SH   DEFINED               5          -      0      16,227
MANPOWER INC                 COMMON 56418H100   $     116       1,994    SH   DEFINED               7        1,994    0         -
MANTECH INTERNATIONAL CORP   COMMON 564563104   $   5,123     106,467    SH   DEFINED              23      106,467    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $  28,854     820,828    SH   DEFINED               1      820,828    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   1,239      35,700    SH   DEFINED            1,15       35,700    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   1,673      48,200    SH   DEFINED           10,14       48,200    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $      67       1,916    SH   DEFINED              13        1,916    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $      67       1,916    SH   DEFINED            13,2        1,916    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   5,953     171,500    SH   DEFINED              14      110,900    0      57,600
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     278       8,000    SH   DEFINED           14,13          -      0       8,000
MANULIFE FINANCIAL CORP      COMMON 56501R106   $      97       2,800    SH   DEFINED            14,7          -      0       2,800
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     153       4,358    SH   DEFINED              19        4,358    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   8,392     238,743    SH   DEFINED               2      238,743    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     106       3,014    SH   DEFINED              21        3,014    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     178       5,114    SH   DEFINED              22          200    0       4,914
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   4,792     137,972    SH   DEFINED              23      137,972    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $       5         150    SH   DEFINED              24          150    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $ 216,677   6,164,000    SH   DEFINED               3    6,164,000    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $  60,791   1,729,380    SH   DEFINED             3,1    1,729,380    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $  10,793     310,936    SH   DEFINED               4      310,936    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     189       5,432    SH   DEFINED               5        5,432    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     621      17,900    SH   DEFINED            5,15       17,900    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   2,137      60,834    SH   DEFINED               7       60,834    0         -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   2,549      72,520    SH   DEFINED               8       62,988   9532       -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $   7,640     220,100    SH   DEFINED            8,14      220,100    0        -
MANULIFE FINANCIAL CORP      COMMON 56501R106   $     153       4,400    SH   DEFINED            9,14          -      0      4,400
MAP PHARMACEUTICALS INC      COMMON 56509R108   $   3,041     294,393    SH   DEFINED               1      294,393    0         -
MAP PHARMACEUTICALS INC      COMMON 56509R108   $     289      27,946    SH   DEFINED               2       27,946    0         -
MAP PHARMACEUTICALS INC      COMMON 56509R108   $     385      37,257    SH   DEFINED            20,2          -      0     37,257
MAP PHARMACEUTICALS INC      COMMON 56509R108   $       1          89    SH   DEFINED              23           89    0         -
MARATHON ACQUISITION CORP    COMMON 565756103   $     227      28,973    SH   DEFINED              23       28,973    0         -
MARATHON OIL CORP            COMMON 565849106   $ 163,636   3,154,729    SH   DEFINED               1    3,154,729    0         -
MARATHON OIL CORP            COMMON 565849106   $   8,299     160,000    SH   DEFINED            13,2          -      0     160,000
MARATHON OIL CORP            COMMON 565849106   $     728      14,040    SH   DEFINED              14       11,040    0       2,300
MARATHON OIL CORP            COMMON 565849106   $     156       3,000    SH   DEFINED            14,7          -      0       3,000
MARATHON OIL CORP            COMMON 565849106   $  17,418     335,792    SH   DEFINED               2      335,792    0         -
MARATHON OIL CORP            COMMON 565849106   $   1,273      24,538    SH   DEFINED              21       24,538    0         -
MARATHON OIL CORP            COMMON 565849106   $  21,359     411,788    SH   DEFINED              22      180,025    0     231,763
MARATHON OIL CORP            COMMON 565849106   $   3,691      71,153    SH   DEFINED              23       71,153    0         -
MARATHON OIL CORP            COMMON 565849106   $      85       1,647    SH   DEFINED              24        1,647    0         -
MARATHON OIL CORP            COMMON 565849106   $  22,135     426,734    SH   DEFINED               3      426,734    0         -








MARATHON OIL CORP            COMMON 565849106   $      243       4,691   SH   DEFINED                4        4,691   0         -
MARATHON OIL CORP            COMMON 565849106   $   14,719     283,764   SH   DEFINED                5      260,540   0      23,224
MARATHON OIL CORP            COMMON 565849106   $      571      11,000   SH   DEFINED                6       11,000   0         -
MARATHON OIL CORP            COMMON 565849106   $      618      11,910   SH   DEFINED                7       11,910   0         -
MARATHON OIL CORP            COMMON 565849106   $   14,035     270,586   SH   DEFINED                8      270,586   0         -
MARATHON OIL CORP            COMMON 565849106   $      271       5,234   SH   DEFINED              8,2        5,234   0         -
MARCHEX INC - CLASS B        COMMON 56624R108   $      531      43,064   SH   DEFINED               23       43,064   0         -
MARCUS CORPORATION           COMMON 566330106   $       69       4,639   SH   DEFINED               23        4,639   0         -
MARINEMAX INC                COMMON 567908108   $      199      27,793   SH   DEFINED               23       27,793   0         -
MARINE PRODUCTS CORP         COMMON 568427108   $       13       2,026   SH   DEFINED               23        2,026   0         -
MARINER ENERGY INC           COMMON 56845T305   $        4          95   SH   DEFINED               22          -     0          95
MARINER ENERGY INC           COMMON 56845T305   $      289       7,814   SH   DEFINED               23        7,814   0         -
MARKEL CORP                  COMMON 570535104   $       28          75   SH   DEFINED               22          -     0          75
MARKEL CORP                  COMMON 570535104   $    1,987       5,414   SH   DEFINED               23        5,414   0         -
MARKEL CORP                  COMMON 570535104   $        4          10   SH   DEFINED               24           10   0         -
MARKEL CORP                  COMMON 570535104   $        6          15   SH   DEFINED                5          -     0          15
MARKETAXESS HOLDINGS INC     COMMON 57060D108   $      138      18,314   SH   DEFINED               23       18,314   0         -
MARKET VECTORS GOLD MINERS
ETF                          COMMON 57060U100   $      144       3,130   SH   DEFINED               22          -     0       3,130
MARKWEST ENERGY PARTNERS LP  COMMON 570759100   $      175       4,907   SH   DEFINED               22          -     0       4,907
MARKWEST ENERGY PARTNERS LP  COMMON 570759100   $   11,269     316,172   SH   DEFINED                5      305,837   0      10,335
MARLIN BUSINESS SERVICES INC COMMON 571157106   $        1         107   SH   DEFINED               23          107   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $  274,108  10,324,212   SH   DEFINED                1   10,324,212   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $      770      29,000   SH   DEFINED            10,14       29,000   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $       77       2,900   SH   DEFINED               13        2,900   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $   35,882   1,351,501   SH   DEFINED               14      866,601   0     452,800
MARSH & MCLENNAN COS         COMMON 571748102   $      374      14,100   SH   DEFINED            14,13          -     0      14,100
MARSH & MCLENNAN COS         COMMON 571748102   $    3,489     131,400   SH   DEFINED             14,7          -     0     131,400
MARSH & MCLENNAN COS         COMMON 571748102   $      231       8,700   SH   DEFINED            20,14          -     0         -
MARSH & MCLENNAN COS         COMMON 571748102   $    1,125      42,378   SH   DEFINED               22       32,460   0       9,918
MARSH & MCLENNAN COS         COMMON 571748102   $    1,803      67,922   SH   DEFINED               23       67,922   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $       29       1,094   SH   DEFINED               24        1,094   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $   19,951     751,438   SH   DEFINED                4      751,438   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $    1,366      51,433   SH   DEFINED                5       25,000   0      26,433
MARSH & MCLENNAN COS         COMMON 571748102   $      844      31,800   SH   DEFINED             5,15       31,800   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $      598      22,508   SH   DEFINED                7       22,508   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $    1,469      55,329   SH   DEFINED                8       55,329   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $    6,991     263,300   SH   DEFINED             8,14      263,300   0         -
MARSH & MCLENNAN COS         COMMON 571748102   $      204       7,700   SH   DEFINED             9,14          -     0       7,700
MARSHALL & ILSLEY CORP       COMMON 571837103   $       24       1,535   SH   DEFINED               22          498   0       1,037
MARSHALL & ILSLEY CORP       COMMON 571837103   $    2,613     170,480   SH   DEFINED               23      170,480   0         -
MARSHALL & ILSLEY CORP       COMMON 571837103   $       10         666   SH   DEFINED               24          666   0         -
MARSHALL & ILSLEY CORP       COMMON 571837103   $      819      53,400   SH   DEFINED                3       53,400   0         -
MARSHALL & ILSLEY CORP       COMMON 571837103   $       25       1,641   SH   DEFINED                5        1,530   0         111
MARSHALL & ILSLEY CORP       COMMON 571837103   $    3,975     259,312   SH   DEFINED                8      259,312   0         -
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $    4,259     162,295   SH   DEFINED                1      162,295   0         -
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $      339      12,917   SH   DEFINED             13,2          -     0      12,917
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $    8,491     323,600   SH   DEFINED               14      151,000   0     167,600
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $      391      14,900   SH   DEFINED             14,7          -     0      14,900
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $   18,893     720,021   SH   DEFINED               22      251,913   0     468,108
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $    1,329      50,654   SH   DEFINED               23       50,654   0         -
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $        8         319   SH   DEFINED               24          319   0         -
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $    6,701     255,389   SH   DEFINED                5      216,551   0      38,838
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $      216       8,226   SH   DEFINED                7        8,226   0         -
MARRIOTT INTERNATIONAL CL A  COMMON 571903202   $      960      36,582   SH   DEFINED                8       36,582   0         -
MARSHALL EDWARDS INC         COMMON 572322303   $        1         181   SH   DEFINED               23          181   0         -
MARTEK BIOSCIENCES CORP      COMMON 572901106   $    2,562      76,000   SH   DEFINED               14       40,100   0      35,900
MARTEK BIOSCIENCES CORP      COMMON 572901106   $    2,791      82,807   SH   DEFINED               23       82,807   0         -
MARTEK BIOSCIENCES CORP      COMMON 572901106   $      374      11,100   SH   DEFINED             5,15       11,100   0         -
MARTEK BIOSCIENCES CORP      COMMON 572901106   $       34       1,000   SH   DEFINED                8        1,000   0         -
MARTEK BIOSCIENCES CORP      COMMON 572901106   $       10         300   SH   DEFINED             8,20          300   0         -
MARTEN TRANSPORT LTD         COMMON 573075108   $    8,146     510,075   SH   DEFINED                1      510,075   0         -
MARTEN TRANSPORT LTD         COMMON 573075108   $    2,814     176,223   SH   DEFINED                2        4,522   0     171,701
MARTEN TRANSPORT LTD         COMMON 573075108   $      291      18,197   SH   DEFINED               23       18,197   0         -
MARTIN MARIETTA MATERIALS    COMMON 573284106   $      107       1,030   SH   DEFINED               22          -     0       1,030
MARTIN MARIETTA MATERIALS    COMMON 573284106   $      364       3,518   SH   DEFINED               23        3,518   0         -
MARTIN MARIETTA MATERIALS    COMMON 573284106   $        3          33   SH   DEFINED               24           33   0         -
MARTIN MARIETTA MATERIALS    COMMON 573284106   $    1,340      12,934   SH   DEFINED                5       12,875   0          59
MARTIN MARIETTA MATERIALS    COMMON 573284106   $      102         987   SH   DEFINED                7          987   0         -
MARTIN MARIETTA MATERIALS    COMMON 573284106   $      137       1,327   SH   DEFINED                8        1,327   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $   16,141     502,194   SH   DEFINED                1      502,194   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $    1,417      44,100   SH   DEFINED               14       30,800   0      13,300
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $   12,611     392,387   SH   DEFINED                2      392,387   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $       10         300   SH   DEFINED               22          300   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $    2,694      83,807   SH   DEFINED               23       83,807   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $       18         550   SH   DEFINED                5          550   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $      132       4,100   SH   DEFINED             5,15        4,100   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $      392      12,200   SH   DEFINED                8       12,200   0         -
MARVEL ENTERTAINMENT INC     COMMON 57383T103   $      109       3,400   SH   DEFINED             8,20        3,400   0         -
MASCO CORP                   COMMON 574599106   $      598      38,000   SH   DEFINED            10,14       38,000   0         -
MASCO CORP                   COMMON 574599106   $       64       4,100   SH   DEFINED               13        4,100   0         -
MASCO CORP                   COMMON 574599106   $   40,682   2,586,270   SH   DEFINED               14    1,188,670   0   1,363,900
MASCO CORP                   COMMON 574599106   $      181      11,500   SH   DEFINED            14,13          -     0      11,500
MASCO CORP                   COMMON 574599106   $    1,653     105,100   SH   DEFINED             14,7          -     0     105,100
MASCO CORP                   COMMON 574599106   $       83       5,300   SH   DEFINED            20,14          -     0         -
MASCO CORP                   COMMON 574599106   $      154       9,795   SH   DEFINED               22        7,200   0       2,595
MASCO CORP                   COMMON 574599106   $    5,355     340,447   SH   DEFINED               23      340,447   0         -
MASCO CORP                   COMMON 574599106   $       19       1,236   SH   DEFINED               24        1,236   0         -
MASCO CORP                   COMMON 574599106   $        2         130   SH   DEFINED                4          130   0         -
MASCO CORP                   COMMON 574599106   $       65       4,130   SH   DEFINED                5        3,700   0         430
MASCO CORP                   COMMON 574599106   $      403      25,600   SH   DEFINED             5,15       25,600   0         -
MASCO CORP                   COMMON 574599106   $      884      56,167   SH   DEFINED                7       56,167   0         -
MASCO CORP                   COMMON 574599106   $    1,816     115,419   SH   DEFINED                8      115,419   0         -
MASCO CORP                   COMMON 574599106   $    3,231     205,400   SH   DEFINED             8,14      205,400   0         -
MASCO CORP                   COMMON 574599106   $       96       6,100   SH   DEFINED             9,14          -     0       6,100
MASIMO CORPORATION           COMMON 574795100   $   67,211   1,956,650   SH   DEFINED               16          -    1956650    -
MASIMO CORPORATION           COMMON 574795100   $      187       5,440   SH   DEFINED               23        5,440   0         -
MASSBANK CORP                COMMON 576152102   $        1          37   SH   DEFINED               23           37   0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $   32,963     351,600   SH   DEFINED                1      351,600   0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $    3,778      40,300   SH   DEFINED             1,15       40,300   0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $      778       8,300   SH   DEFINED            10,14        8,300   0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $     103       1,094    SH   DEFINED              11        1,094    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $      47         500    SH   DEFINED              13          500    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $  49,883     532,086    SH   DEFINED              14      259,986    0     264,900
MASSEY ENERGY COMPANY        COMMON 576206106   $   1,978      21,100    SH   DEFINED            14,7          -      0      21,100
MASSEY ENERGY COMPANY        COMMON 576206106   $     526       5,608    SH   DEFINED               2        5,608    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $      47         500    SH   DEFINED           20,14          -      0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $      70         750    SH   DEFINED              22          -      0         750
MASSEY ENERGY COMPANY        COMMON 576206106   $   9,219      98,338    SH   DEFINED              23       98,338    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $       6          61    SH   DEFINED              24           61    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $      14         151    SH   DEFINED               5          -      0         151
MASSEY ENERGY COMPANY        COMMON 576206106   $     260       2,776    SH   DEFINED               7        2,776    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $     197       2,100    SH   DEFINED               8        2,100    0         -
MASSEY ENERGY COMPANY        COMMON 576206106   $   3,469      37,000    SH   DEFINED            8,14       37,000    0         -
MASTEC INC                   COMMON 576323109   $     625      58,655    SH   DEFINED              23       58,655    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $  23,724      89,348    SH   DEFINED               1       89,348    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   6,431      24,220    SH   DEFINED            1,15       24,220    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   2,521       9,493    SH   DEFINED             1,9        9,493    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $     908       3,420    SH   DEFINED           10,14        3,420    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $     359       1,352    SH   DEFINED              11        1,352    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $      11          40    SH   DEFINED              13           40    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $  59,376     223,623    SH   DEFINED              14      151,983    0      64,070
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   1,158       4,360    SH   DEFINED           14,13          -      0       4,360
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   2,023       7,620    SH   DEFINED            14,7          -      0       7,620
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   7,326      27,591    SH   DEFINED               2       27,591    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $      74         280    SH   DEFINED           20,14          -      0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $      13          48    SH   DEFINED              22          -      0          48
MASTERCARD INC-CLASS A       COMMON 57636Q104   $  12,688      47,785    SH   DEFINED              23       47,785    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $       7          25    SH   DEFINED              24           25    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   4,469      16,830    SH   DEFINED               5        4,243    0      12,587
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   2,618       9,860    SH   DEFINED            5,15        9,860    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   1,411       5,315    SH   DEFINED               7        5,315    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $     398       1,500    SH   DEFINED               8        1,500    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $   5,098      19,200    SH   DEFINED            8,14       19,200    0         -
MASTERCARD INC-CLASS A       COMMON 57636Q104   $     632       2,380    SH   DEFINED            9,14          -      0       2,380
MATERIAL SCIENCES CORP       COMMON 576674105   $      41       5,067    SH   DEFINED              23        5,067    0         -
MATRIX SERVICE CO            COMMON 576853105   $     245      10,621    SH   DEFINED              23       10,621    0         -
MATRIXX INITIATIVES INC      COMMON 57685L105   $       1          86    SH   DEFINED              23           86    0         -
MATSUSHITA ELEC IND ADR      COMMON 576879209   $     121       5,650    SH   DEFINED              22          -      0       5,650
MATSUSHITA ELEC IND ADR      COMMON 576879209   $   6,948     324,353    SH   DEFINED              23      324,353    0         -
MATSUSHITA ELEC IND ADR      COMMON 576879209   $      27       1,266    SH   DEFINED               5        1,266    0         -
MATTEL INC                   COMMON 577081102   $     611      35,700    SH   DEFINED            1,15       35,700    0         -
MATTEL INC                   COMMON 577081102   $       8         450    SH   DEFINED              14          -      0         450
MATTEL INC                   COMMON 577081102   $     369      21,564    SH   DEFINED              22          100    0      21,464
MATTEL INC                   COMMON 577081102   $     442      25,813    SH   DEFINED              23       25,813    0         -
MATTEL INC                   COMMON 577081102   $       9         547    SH   DEFINED              24          547    0         -
MATTEL INC                   COMMON 577081102   $     641      37,437    SH   DEFINED               5          600    0      36,837
MATTEL INC                   COMMON 577081102   $     143       8,328    SH   DEFINED               7        8,328    0         -
MATTEL INC                   COMMON 577081102   $     504      29,430    SH   DEFINED               8       29,430    0         -
MATTHEWS INTL CORP CL A      COMMON 577128101   $   1,825      40,319    SH   DEFINED              23       40,319    0         -
MATTSON TECHNOLOGY INC       COMMON 577223100   $      31       6,453    SH   DEFINED              23        6,453    0         -
MAXWELL TECHNOLOGIES INC     COMMON 577767106   $  19,921   1,875,835    SH   DEFINED              23    1,875,835    0         -
MAXWELL TECHNOLOGIES INC     COMMON 577767106   $      12       1,120    SH   DEFINED              24        1,120    0         -
MAXWELL TECHNOLOGIES INC     COMMON 577767106   $     274      25,800    SH   DEFINED               3       25,800    0         -
MAXYGEN INC                  COMMON 577776107   $       1         241    SH   DEFINED              23          241    0         -
MAXIMUS INC                  COMMON 577933104   $   8,956     257,200    SH   DEFINED              14      187,100    0      70,100
MAXIMUS INC                  COMMON 577933104   $      91       2,613    SH   DEFINED              23        2,613    0         -
MAXIMUS INC                  COMMON 577933104   $   1,243      35,700    SH   DEFINED            5,15       35,700    0         -
MAXIMUS INC                  COMMON 577933104   $   1,045      30,000    SH   DEFINED               8       30,000    0         -
MAXIMUS INC                  COMMON 577933104   $     289       8,300    SH   DEFINED            8,20        8,300    0         -
MBT FINANCIAL CORP           COMMON 578877102   $      33       5,609    SH   DEFINED              23        5,609    0         -
MCAFEE INC                   COMMON 579064106   $  86,151   2,531,621    SH   DEFINED               1    2,531,621    0         -
MCAFEE INC                   COMMON 579064106   $     133       3,900    SH   DEFINED            1,15        3,900    0         -
MCAFEE INC                   COMMON 579064106   $     558      16,388    SH   DEFINED              14       16,338    0          50
MCAFEE INC                   COMMON 579064106   $   3,078      90,440    SH   DEFINED               2       10,605    0      79,835
MCAFEE INC                   COMMON 579064106   $   2,040      59,960    SH   DEFINED            20,2       59,960    0         -
MCAFEE INC                   COMMON 579064106   $     721      21,180    SH   DEFINED              23       21,180    0         -
MCAFEE INC                   COMMON 579064106   $       3          84    SH   DEFINED              24           84    0         -
MCAFEE INC                   COMMON 579064106   $  13,017     382,523    SH   DEFINED               4      382,523    0         -
MCAFEE INC                   COMMON 579064106   $       8         225    SH   DEFINED               5          -      0         225
MCAFEE INC                   COMMON 579064106   $   4,090     120,200    SH   DEFINED               8      120,200    0         -
MCCLATCHY COMPANY CL A       COMMON 579489105   $     154      22,704    SH   DEFINED              23       22,704    0         -
MCCLATCHY COMPANY CL A       COMMON 579489105   $       3         444    SH   DEFINED              24          444    0         -
MCCLATCHY COMPANY CL A       COMMON 579489105   $       1         140    SH   DEFINED               4          140    0         -
MCCLATCHY COMPANY CL A       COMMON 579489105   $      12       1,739    SH   DEFINED               5        1,739    0         -
MCCORMICK & CO NON VTG SHRS  COMMON 579780206   $   2,813      78,870    SH   DEFINED              23       78,870    0         -
MCCORMICK & CO NON VTG SHRS  COMMON 579780206   $       5         146    SH   DEFINED              24          146    0         -
MCCORMICK & CO NON VTG SHRS  COMMON 579780206   $     529      14,822    SH   DEFINED               5          -      0      14,822
MCCORMICK & SCHMICK'S SEAFOO COMMON 579793100   $      36       3,757    SH   DEFINED              23        3,757    0         -
MCDERMOTT INTL INC           COMMON 580037109   $ 261,317   4,222,282    SH   DEFINED               1    4,222,282    0         -
MCDERMOTT INTL INC           COMMON 580037109   $   7,705     124,500    SH   DEFINED            1,15      124,500    0         -
MCDERMOTT INTL INC           COMMON 580037109   $     811      13,100    SH   DEFINED           10,14       13,100    0         -
MCDERMOTT INTL INC           COMMON 580037109   $     415       6,711    SH   DEFINED              11        6,711    0         -
MCDERMOTT INTL INC           COMMON 580037109   $      19         300    SH   DEFINED              13          300    0         -
MCDERMOTT INTL INC           COMMON 580037109   $  62,066   1,002,836    SH   DEFINED              14      595,236    0     390,900
MCDERMOTT INTL INC           COMMON 580037109   $   1,380      22,300    SH   DEFINED           14,13          -      0      22,300
MCDERMOTT INTL INC           COMMON 580037109   $   2,550      41,200    SH   DEFINED            14,7          -      0      41,200
MCDERMOTT INTL INC           COMMON 580037109   $  32,762     529,358    SH   DEFINED               2      529,358    0         -
MCDERMOTT INTL INC           COMMON 580037109   $      80       1,300    SH   DEFINED           20,14          -      0         -
MCDERMOTT INTL INC           COMMON 580037109   $   1,696      27,396    SH   DEFINED              22       26,260    0       1,136
MCDERMOTT INTL INC           COMMON 580037109   $  50,969     823,535    SH   DEFINED              23      823,535    0         -
MCDERMOTT INTL INC           COMMON 580037109   $       3          44    SH   DEFINED              24           44    0         -
MCDERMOTT INTL INC           COMMON 580037109   $     953      15,405    SH   DEFINED               4       15,405    0         -
MCDERMOTT INTL INC           COMMON 580037109   $   3,771      60,931    SH   DEFINED               5       11,838    0      49,093
MCDERMOTT INTL INC           COMMON 580037109   $   3,113      50,300    SH   DEFINED            5,15       50,300    0         -
MCDERMOTT INTL INC           COMMON 580037109   $   1,136      18,355    SH   DEFINED               7       18,355    0         -
MCDERMOTT INTL INC           COMMON 580037109   $   1,014      16,382    SH   DEFINED               8       16,382    0         -
MCDERMOTT INTL INC           COMMON 580037109   $   5,966      96,400    SH   DEFINED            8,14       96,400    0         -
MCDERMOTT INTL INC           COMMON 580037109   $     722      11,668    SH   DEFINED             8,2       11,668    0         -
MCDERMOTT INTL INC           COMMON 580037109   $     749      12,100    SH   DEFINED            9,14          -      0      12,100
MCDONALD'S CORPORATION       COMMON 580135101   $  17,747     315,665    SH   DEFINED               1      315,665    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $     427       7,600    SH   DEFINED            1,15        7,600    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   8,788     156,311    SH   DEFINED             1,9      156,311    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   2,142      38,100    SH   DEFINED           10,14       38,100    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   1,058      18,814    SH   DEFINED            10,7       18,814    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $     926      16,475    SH   DEFINED              13       16,475    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $     804      14,306    SH   DEFINED            13,2          -      0      14,306
MCDONALD'S CORPORATION       COMMON 580135101   $ 117,498   2,089,960    SH   DEFINED              14    1,483,610    0     528,150
MCDONALD'S CORPORATION       COMMON 580135101   $   2,620      46,600    SH   DEFINED           14,13          -      0      46,600
MCDONALD'S CORPORATION       COMMON 580135101   $   8,574     152,500    SH   DEFINED            14,7          -      0     152,500
MCDONALD'S CORPORATION       COMMON 580135101   $   2,134      37,952    SH   DEFINED              19       37,952    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $     911      16,200    SH   DEFINED           20,14          -      0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   7,851     139,652    SH   DEFINED              21      139,652    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   7,195     127,986    SH   DEFINED              22        1,706    0     126,280
MCDONALD'S CORPORATION       COMMON 580135101   $   9,914     176,341    SH   DEFINED              23      176,341    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $      55         982    SH   DEFINED              24          982    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   1,706      30,337    SH   DEFINED               5       16,934    0      13,403
MCDONALD'S CORPORATION       COMMON 580135101   $   5,903     105,000    SH   DEFINED            5,15      105,000    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   5,893     104,820    SH   DEFINED               6      104,820    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $  12,427     221,047    SH   DEFINED               7      221,047    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $  35,752     635,928    SH   DEFINED               8      635,928    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $  11,789     209,700    SH   DEFINED            8,14      209,700    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   4,820      85,738    SH   DEFINED               9       85,738    0         -
MCDONALD'S CORPORATION       COMMON 580135101   $   1,422      25,300    SH   DEFINED            9,14          -      0      25,300
MCG CAPITAL CORP             COMMON 58047P107   $     954     239,600    SH   DEFINED              14      171,700    0      67,900
MCG CAPITAL CORP             COMMON 58047P107   $   1,735     435,834    SH   DEFINED              23      435,834    0         -
MCG CAPITAL CORP             COMMON 58047P107   $      15       3,720    SH   DEFINED              24        3,720    0         -
MCG CAPITAL CORP             COMMON 58047P107   $     166      41,600    SH   DEFINED            5,15       41,600    0         -
MCGRATH RENTCORP             COMMON 580589109   $     641      26,072    SH   DEFINED              23       26,072    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $ 159,213   3,968,416    SH   DEFINED               1    3,968,416    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $     644      16,053    SH   DEFINED            13,2          -      0      16,053
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $   1,091      27,198    SH   DEFINED              14       27,198    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $   3,426      85,403    SH   DEFINED               2        6,955    0      78,448
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $  12,348     307,786    SH   DEFINED              22      118,325    0     189,461
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $   1,261      31,435    SH   DEFINED              23       31,435    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $      15         383    SH   DEFINED              24          383    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $     249       6,200    SH   DEFINED               3        6,200    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $   5,375     133,962    SH   DEFINED               4      133,962    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $   5,502     137,135    SH   DEFINED               5      120,659    0      16,476
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $     466      11,608    SH   DEFINED               7       11,608    0         -
MCGRAW-HILL COMPANIES INC    COMMON 580645109   $   1,492      37,195    SH   DEFINED               8       37,195    0         -
MCKESSON CORP                COMMON 58155Q103   $  20,165     360,661    SH   DEFINED               1      360,661    0         -
MCKESSON CORP                COMMON 58155Q103   $     130       2,317    SH   DEFINED            10,7        2,317    0         -
MCKESSON CORP                COMMON 58155Q103   $     109       1,950    SH   DEFINED              13        1,950    0         -
MCKESSON CORP                COMMON 58155Q103   $   1,101      19,690    SH   DEFINED              14       12,390    0       6,000
MCKESSON CORP                COMMON 58155Q103   $     447       8,000    SH   DEFINED            14,7          -      0       8,000
MCKESSON CORP                COMMON 58155Q103   $   1,018      18,200    SH   DEFINED              17       18,200    0         -
MCKESSON CORP                COMMON 58155Q103   $   1,491      26,661    SH   DEFINED               2       26,661    0         -
MCKESSON CORP                COMMON 58155Q103   $   2,086      37,318    SH   DEFINED            20,2          -      0      37,318
MCKESSON CORP                COMMON 58155Q103   $     758      13,549    SH   DEFINED              21       13,549    0         -
MCKESSON CORP                COMMON 58155Q103   $     167       2,980    SH   DEFINED              22          710    0       2,270
MCKESSON CORP                COMMON 58155Q103   $   6,707     119,965    SH   DEFINED              23      119,965    0         -
MCKESSON CORP                COMMON 58155Q103   $      47         843    SH   DEFINED              24          843    0         -
MCKESSON CORP                COMMON 58155Q103   $   2,193      39,220    SH   DEFINED               5        9,957    0      29,263
MCKESSON CORP                COMMON 58155Q103   $   1,228      21,960    SH   DEFINED               7       21,960    0         -
MCKESSON CORP                COMMON 58155Q103   $   7,316     130,858    SH   DEFINED               8      130,858    0         -
MCKESSON CORP                COMMON 58155Q103   $     678      12,127    SH   DEFINED               9       12,127    0         -
MCMORAN EXPLORATION CO       COMMON 582411104   $     250       9,100    SH   DEFINED              14        9,100    0         -
MCMORAN EXPLORATION CO       COMMON 582411104   $     165       6,000    SH   DEFINED              22          -      0       6,000
MCMORAN EXPLORATION CO       COMMON 582411104   $   5,615     204,046    SH   DEFINED              23      204,046    0         -
MCMORAN EXPLORATION CO       COMMON 582411104   $     153       5,570    SH   DEFINED               5          -      0       5,570
MCMORAN EXPLORATION CO       CONVERT582411500   $     104         500    SH   DEFINED              22          -      0         500
MEADOWBROOK INSURANCE GROUP  COMMON 58319P108   $     298      56,260    SH   DEFINED              23       56,260    0         -
MEADWESTVACO CORP            COMMON 583334107   $  32,604   1,367,625    SH   DEFINED               1    1,367,625    0         -
MEADWESTVACO CORP            COMMON 583334107   $     278      11,662    SH   DEFINED              14       11,662    0         -
MEADWESTVACO CORP            COMMON 583334107   $      10         410    SH   DEFINED              22          -      0         410
MEADWESTVACO CORP            COMMON 583334107   $     572      23,976    SH   DEFINED              23       23,976    0         -
MEADWESTVACO CORP            COMMON 583334107   $      12         492    SH   DEFINED              24          492    0         -
MEADWESTVACO CORP            COMMON 583334107   $   9,091     381,354    SH   DEFINED               4      381,354    0         -
MEADWESTVACO CORP            COMMON 583334107   $      36       1,517    SH   DEFINED               5        1,320    0         197
MEADWESTVACO CORP            COMMON 583334107   $      98       4,119    SH   DEFINED               7        4,119    0         -
MEASUREMENT SPECIALTIES INC  COMMON 583421102   $       2         125    SH   DEFINED              23          125    0         -
MECHEL STEEL GROUP OAO ADR   COMMON 583840103   $   1,038      18,007    SH   DEFINED              23       18,007    0         -
MEDAREX INC                  COMMON 583916101   $   6,257     946,637    SH   DEFINED               1      946,637    0         -
MEDAREX INC                  COMMON 583916101   $     596      90,185    SH   DEFINED               2       90,185    0         -
MEDAREX INC                  COMMON 583916101   $     845     127,781    SH   DEFINED            20,2          -      0     127,781
MEDAREX INC                  COMMON 583916101   $   2,528     382,500    SH   DEFINED               3      382,500    0         -
MEDALLION FINL CORP          COMMON 583928106   $     342      36,300    SH   DEFINED              14       25,900    0      10,400
MEDALLION FINL CORP          COMMON 583928106   $     235      24,918    SH   DEFINED              23       24,918    0         -
MEDALLION FINL CORP          COMMON 583928106   $      61       6,500    SH   DEFINED            5,15        6,500    0         -
MEDCATH CORP                 COMMON 58404W109   $      49       2,700    SH   DEFINED              14        2,700    0         -
MEDCATH CORP                 COMMON 58404W109   $     296      16,446    SH   DEFINED              23       16,446    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $  63,605   1,347,571    SH   DEFINED               1    1,347,571    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   9,402     199,200    SH   DEFINED            1,15      199,200    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   1,388      29,400    SH   DEFINED           10,14       29,400    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $     352       7,459    SH   DEFINED              11        7,459    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $  85,220   1,805,513    SH   DEFINED              14    1,233,863    0     510,850
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   1,732      36,700    SH   DEFINED           14,13          -      0      36,700
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   4,597      97,400    SH   DEFINED            14,7          -      0      97,400
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $      57       1,200    SH   DEFINED              17        1,200    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $     577      12,231    SH   DEFINED              19       12,231    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $  17,313     366,811    SH   DEFINED               2      366,811    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $     241       5,100    SH   DEFINED           20,14          -      0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   2,131      45,140    SH   DEFINED            20,2          -      0      45,140
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   3,622      76,730    SH   DEFINED              21       76,730    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   3,039      64,380    SH   DEFINED              22       21,432    0      42,948
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   2,993      63,404    SH   DEFINED              23       63,404    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $      41         874    SH   DEFINED              24          874    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $     485      10,267    SH   DEFINED               4       10,267    0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   1,102      23,355    SH   DEFINED               5        8,004    0      15,351
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   3,885      82,300    SH   DEFINED            5,15       82,300    0         -




MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $    2,132      45,165   SH   DEFINED                7       45,165   0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $   32,664     692,037   SH   DEFINED                8      692,037   0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $    8,609     182,400   SH   DEFINED             8,14      182,400   0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $    1,194      25,300   SH   DEFINED                9       25,300   0         -
MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   $      939      19,900   SH   DEFINED             9,14          -     0      19,900
MEDIA GENERAL INC CL A       COMMON 584404107   $    3,775     315,867   SH   DEFINED               23      315,867   0         -
MEDIACOM COMMUNICATIONS CO   COMMON 58446K105   $      189      35,304   SH   DEFINED               23       35,304   0         -
MEDICAL ACTION IND INC       COMMON 58449L100   $        1         140   SH   DEFINED               23          140   0         -
MEDICAL STAFFING NETWORK     COMMON 58463F104   $       15       3,945   SH   DEFINED               23        3,945   0         -
MEDICAL PROPERTIES TRUST INC COMMON 58463J304   $      230      22,700   SH   DEFINED             1,15       22,700   0         -
MEDICAL PROPERTIES TRUST INC COMMON 58463J304   $      297      29,300   SH   DEFINED               14          -     0      29,300
MEDICAL PROPERTIES TRUST INC COMMON 58463J304   $      265      26,141   SH   DEFINED               23       26,141   0         -
MEDICAL PROPERTIES TRUST INC COMMON 58463J304   $       56       5,500   SH   DEFINED             6,14        5,500   0         -
MEDICINES COMPANY            COMMON 584688105   $   13,316     671,856   SH   DEFINED                1      671,856   0         -
MEDICINES COMPANY            COMMON 584688105   $       48       2,400   SH   DEFINED               17        2,400   0         -
MEDICINES COMPANY            COMMON 584688105   $    8,486     428,150   SH   DEFINED                2      428,150   0         -
MEDICINES COMPANY            COMMON 584688105   $      514      25,916   SH   DEFINED             20,2          -     0      25,916
MEDICINES COMPANY            COMMON 584688105   $    3,146     158,707   SH   DEFINED               23      158,707   0         -
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $    6,598     317,529   SH   DEFINED                1      317,529   0         -
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $   23,078   1,110,610   SH   DEFINED               14      558,510   0     547,800
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $      628      30,219   SH   DEFINED                2       30,219   0         -
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $      879      42,300   SH   DEFINED             20,2          -     0      42,300
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $    4,244     204,242   SH   DEFINED               23      204,242   0         -
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $    1,257      60,500   SH   DEFINED             5,15       60,500   0         -
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $      544      26,200   SH   DEFINED                8       26,200   0         -
MEDICIS PHARMACEUTICAL CORP  COMMON 584690309   $      150       7,200   SH   DEFINED             8,20        7,200   0         -
MEDIWARE INFORMATION SYSTEMS COMMON 584946107   $       43       7,200   SH   DEFINED               22        7,200   0         -
MEDIWARE INFORMATION SYSTEMS COMMON 584946107   $       43       7,200   SH   DEFINED                5          -     0       7,200
MEDIS TECHNOLOGIES LTD       COMMON 58500P107   $   10,138   2,999,325   SH   DEFINED               23    2,999,325   0         -
MEDIS TECHNOLOGIES LTD       COMMON 58500P107   $       33       9,828   SH   DEFINED               24        9,828   0         -
MEDIVATION INC               COMMON 58501N101   $        2         189   SH   DEFINED               23          189   0         -
MEDTRONIC INC                COMMON 585055106   $  291,050   5,624,155   SH   DEFINED                1    5,624,155   0         -
MEDTRONIC INC                COMMON 585055106   $      461       8,900   SH   DEFINED            10,14        8,900   0         -
MEDTRONIC INC                COMMON 585055106   $       83       1,600   SH   DEFINED               13        1,600   0         -
MEDTRONIC INC                COMMON 585055106   $       83       1,600   SH   DEFINED             13,3        1,600   0         -
MEDTRONIC INC                COMMON 585055106   $    8,785     169,750   SH   DEFINED               14      141,050   0      22,400
MEDTRONIC INC                COMMON 585055106   $    2,174      42,000   SH   DEFINED             14,7          -     0      42,000
MEDTRONIC INC                COMMON 585055106   $      419       8,100   SH   DEFINED               17        8,100   0         -
MEDTRONIC INC                COMMON 585055106   $    4,808      92,916   SH   DEFINED                2       92,916   0         -
MEDTRONIC INC                COMMON 585055106   $    6,730     130,054   SH   DEFINED             20,2          -     0     130,054
MEDTRONIC INC                COMMON 585055106   $   59,324   1,146,348   SH   DEFINED               22      403,028   0     743,320
MEDTRONIC INC                COMMON 585055106   $   27,269     526,937   SH   DEFINED               23      526,937   0         -
MEDTRONIC INC                COMMON 585055106   $       37         716   SH   DEFINED               24          716   0         -
MEDTRONIC INC                COMMON 585055106   $   97,341   1,880,980   SH   DEFINED                3    1,880,980   0         -
MEDTRONIC INC                COMMON 585055106   $        4          71   SH   DEFINED                4           71   0         -
MEDTRONIC INC                COMMON 585055106   $    7,643     147,700   SH   DEFINED                5       62,746   0      84,954
MEDTRONIC INC                COMMON 585055106   $    1,083      20,928   SH   DEFINED                7       20,928   0         -
MEDTRONIC INC                COMMON 585055106   $    1,896      36,631   SH   DEFINED                8       36,631   0         -
MEDTRONIC INC                COMMON 585055106   $    1,578      30,500   SH   DEFINED             8,14       30,500   0         -
MEDTRONIC INC (MDT) CVT
                       1.625 CONVERT585055AM8   $   36,979  34,600,000   SH   DEFINED               14          -     0  29,300,000
MELCO CROWN ENTERTAINMENT
ADR                          COMMON 585464100   $        1         100   SH   DEFINED               22          -     0         100
MEMSIC INC                   COMMON 586264103   $        1         148   SH   DEFINED               23          148   0         -
MENS WEARHOUSE INC           COMMON 587118100   $    5,119     314,255   SH   DEFINED                1      314,255   0         -
MENS WEARHOUSE INC           COMMON 587118100   $      131       8,057   SH   DEFINED               23        8,057   0         -
MENS WEARHOUSE INC           COMMON 587118100   $       26       1,600   SH   DEFINED                5          -     0       1,600
MENTOR CORP                  COMMON 587188103   $    7,217     259,431   SH   DEFINED                1      259,431   0         -
MENTOR CORP                  COMMON 587188103   $    6,184     222,274   SH   DEFINED                2      222,274   0         -
MENTOR CORP                  COMMON 587188103   $      137       4,938   SH   DEFINED               23        4,938   0         -
MENTOR GRAPHICS CORP         COMMON 587200106   $      221      13,957   SH   DEFINED               23       13,957   0         -
MERCADOLIBRE INC             COMMON 58733R102   $       24         700   SH   DEFINED               14          700   0         -
MERCADOLIBRE INC             COMMON 58733R102   $       29         834   SH   DEFINED               23          834   0         -
MERCANTILE BANK CORP         COMMON 587376104   $        4         500   SH   DEFINED               14          500   0         -
MERCANTILE BANK CORP         COMMON 587376104   $       29       4,020   SH   DEFINED               22          -     0       4,020
MERCANTILE BANK CORP         COMMON 587376104   $        1          75   SH   DEFINED               23           75   0         -
MERCER INSURANCE GROUP INC   COMMON 587902107   $      223      12,862   SH   DEFINED               23       12,862   0         -
MERCER INTL INC              COMMON 588056101   $      317      42,444   SH   DEFINED               23       42,444   0         -
MERCHANTS BANCSHARES INC     COMMON 588448100   $       28       1,221   SH   DEFINED               23        1,221   0         -
MERCK & CO INC               COMMON 589331107   $  115,589   3,066,841   SH   DEFINED                1    3,066,841   0         -
MERCK & CO INC               COMMON 589331107   $   13,621     361,400   SH   DEFINED             1,15      361,400   0         -
MERCK & CO INC               COMMON 589331107   $    2,861      75,900   SH   DEFINED            10,14       75,900   0         -
MERCK & CO INC               COMMON 589331107   $      801      21,258   SH   DEFINED             10,7       21,258   0         -
MERCK & CO INC               COMMON 589331107   $      411      10,910   SH   DEFINED               11       10,910   0         -
MERCK & CO INC               COMMON 589331107   $      753      19,967   SH   DEFINED               13       19,967   0         -
MERCK & CO INC               COMMON 589331107   $  182,027   4,829,593   SH   DEFINED               14    3,347,993   0   1,313,600
MERCK & CO INC               COMMON 589331107   $    3,810     101,100   SH   DEFINED            14,13          -     0     101,100
MERCK & CO INC               COMMON 589331107   $   11,299     299,800   SH   DEFINED             14,7          -     0     299,800
MERCK & CO INC               COMMON 589331107   $      381      10,100   SH   DEFINED               17       10,100   0         -
MERCK & CO INC               COMMON 589331107   $    1,648      43,716   SH   DEFINED               19       43,716   0         -
MERCK & CO INC               COMMON 589331107   $   10,909     289,433   SH   DEFINED                2      289,433   0         -
MERCK & CO INC               COMMON 589331107   $    1,206      32,000   SH   DEFINED            20,14          -     0         -
MERCK & CO INC               COMMON 589331107   $    6,627     175,838   SH   DEFINED             20,2          -     0     175,838
MERCK & CO INC               COMMON 589331107   $    3,235      85,826   SH   DEFINED               21       85,826   0         -
MERCK & CO INC               COMMON 589331107   $   12,050     319,702   SH   DEFINED               22      104,313   0     215,389
MERCK & CO INC               COMMON 589331107   $   23,515     623,916   SH   DEFINED               23      623,916   0         -
MERCK & CO INC               COMMON 589331107   $      111       2,943   SH   DEFINED               24        2,943   0         -
MERCK & CO INC               COMMON 589331107   $      208       5,527   SH   DEFINED                4        5,527   0         -
MERCK & CO INC               COMMON 589331107   $    4,640     123,108   SH   DEFINED                5       49,848   0      73,260
MERCK & CO INC               COMMON 589331107   $    8,593     228,000   SH   DEFINED             5,15      228,000   0         -
MERCK & CO INC               COMMON 589331107   $      358       9,500   SH   DEFINED                6        9,500   0         -
MERCK & CO INC               COMMON 589331107   $   12,174     322,997   SH   DEFINED                7      322,997   0         -
MERCK & CO INC               COMMON 589331107   $   68,597   1,820,020   SH   DEFINED                8    1,820,020   0         -
MERCK & CO INC               COMMON 589331107   $   17,545     465,500   SH   DEFINED             8,14      465,500   0         -
MERCK & CO INC               COMMON 589331107   $    4,908     130,232   SH   DEFINED                9      130,232   0         -
MERCK & CO INC               COMMON 589331107   $    2,073      55,000   SH   DEFINED             9,14          -     0      55,000
MERCURY COMPUTER SYSTEMS INC COMMON 589378108   $      283      37,600   SH   DEFINED               14       21,500   0      16,100
MERCURY COMPUTER SYSTEMS INC COMMON 589378108   $      194      25,777   SH   DEFINED               23       25,777   0         -
MERCURY COMPUTER SYSTEMS INC COMMON 589378108   $       36       4,800   SH   DEFINED             5,15        4,800   0         -
MERCURY GENL CORP NEW        COMMON 589400100   $      222       4,749   SH   DEFINED               23        4,749   0         -
MERCURY GENL CORP NEW        COMMON 589400100   $        3          55   SH   DEFINED               24           55   0         -
MEREDITH CORP                COMMON 589433101   $        6         200   SH   DEFINED               13          200   0         -
MEREDITH CORP                COMMON 589433101   $      215       7,600   SH   DEFINED               14          200   0       7,400
MEREDITH CORP                COMMON 589433101   $        6         200   SH   DEFINED            20,14          -     0         -
MEREDITH CORP                COMMON 589433101   $    2,981     105,364   SH   DEFINED               23      105,364   0         -
MEREDITH CORP                COMMON 589433101   $        1          38   SH   DEFINED               24           38   0         -
MEREDITH CORP                COMMON 589433101   $        9         309   SH   DEFINED                5          -     0         309
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $   10,456     388,422   SH   DEFINED                1      388,422   0         -
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $      954      35,425   SH   DEFINED               14       17,700   0      17,725
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $    8,658     321,605   SH   DEFINED                2      321,605   0         -
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $       27       1,000   SH   DEFINED               22          -     0       1,000
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $    2,251      83,602   SH   DEFINED               23       83,602   0         -
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $      288      10,713   SH   DEFINED                5          -     0      10,713
MERIDIAN BIOSCIENCE INC      COMMON 589584101   $      149       5,550   SH   DEFINED             5,15        5,550   0         -
MERIDIAN INTERSTATE BANCORP  COMMON 58964Q104   $        1         101   SH   DEFINED               23          101   0         -
MERIDIAN RESOURCE CORP       COMMON 58977Q109   $      173      58,588   SH   DEFINED               23       58,588   0         -
MERIT MEDICAL SYSTEMS INC    COMMON 589889104   $    1,423      96,800   SH   DEFINED               14       72,500   0      24,300
MERIT MEDICAL SYSTEMS INC    COMMON 589889104   $      401      27,255   SH   DEFINED               23       27,255   0         -
MERIT MEDICAL SYSTEMS INC    COMMON 589889104   $      128       8,700   SH   DEFINED             5,15        8,700   0         -
MERIT MEDICAL SYSTEMS INC    COMMON 589889104   $      442      30,100   SH   DEFINED                8       30,100   0         -
MERIT MEDICAL SYSTEMS INC    COMMON 589889104   $      122       8,300   SH   DEFINED             8,20        8,300   0         -
MERITAGE CORPORATION         COMMON 59001A102   $       38       2,500   SH   DEFINED               14        2,500   0         -
MERITAGE CORPORATION         COMMON 59001A102   $      204      13,450   SH   DEFINED               23       13,450   0         -
MERITAGE CORPORATION         COMMON 59001A102   $        4         261   SH   DEFINED               24          261   0         -
MERITAGE CORPORATION         COMMON 59001A102   $   35,940   2,369,157   SH   DEFINED                3    2,369,157   0         -
MERIX CORP                   COMMON 590049102   $       28      12,267   SH   DEFINED               23       12,267   0         -
MERRILL LYNCH & CO INC       COMMON 590188108   $   87,161   2,748,696   SH   DEFINED                1    2,748,696   0         -
MERRILL LYNCH & CO INC       COMMON 590188108   $      245       7,720   SH   DEFINED               14        6,520   0       1,200
MERRILL LYNCH & CO INC       COMMON 590188108   $   12,233     385,792   SH   DEFINED               22      131,047   0     254,745
MERRILL LYNCH & CO INC       COMMON 590188108   $    3,155      99,486   SH   DEFINED               23       99,486   0         -
MERRILL LYNCH & CO INC       COMMON 590188108   $       67       2,110   SH   DEFINED               24        2,110   0         -
MERRILL LYNCH & CO INC       COMMON 590188108   $    6,485     204,517   SH   DEFINED                5      187,166   0      17,351
MERRILL LYNCH & CO INC       COMMON 590188108   $      459      14,467   SH   DEFINED                7       14,467   0         -
MERRILL LYNCH & CO INC       COMMON 590188108   $   12,169     383,744   SH   DEFINED                8      383,744   0         -
MERRILL LYNCH & CO CVT(MER)
FL                           CONVERT590188W46   $   31,399  30,850,000   SH   DEFINED               14          -     0  26,150,000
MERUELO MADDUX PROPERTIES IN COMMON 590473104   $    6,861   3,147,345   SH   DEFINED                1    3,147,345   0         -
MERUELO MADDUX PROPERTIES IN COMMON 590473104   $      360     165,261   SH   DEFINED                2          -     0     165,261
MERUELO MADDUX PROPERTIES IN COMMON 590473104   $        1         374   SH   DEFINED               23          374   0         -
MERUELO MADDUX PROPERTIES IN COMMON 590473104   $        3       1,360   SH   DEFINED                5        1,360   0         -
MESA AIR GROUP INC           COMMON 590479101   $       24      46,614   SH   DEFINED               23       46,614   0         -
MESABI TRUST                 COMMON 590672101   $      123       4,000   SH   DEFINED                5        4,000   0         -
MET-PRO CORP                 COMMON 590876306   $       63       4,700   SH   DEFINED               14        4,700   0         -
MET-PRO CORP                 COMMON 590876306   $       81       6,066   SH   DEFINED                5          -     0       6,066
MET-PRO CORP                 COMMON 590876306   $       49       3,700   SH   DEFINED                8        3,700   0         -
MET-PRO CORP                 COMMON 590876306   $       13       1,000   SH   DEFINED             8,20        1,000   0         -
METABOLIX INC                COMMON 591018809   $        1          98   SH   DEFINED               23           98   0         -
METALICO INC                 COMMON 591176102   $      399      22,798   SH   DEFINED               23       22,798   0         -
METAVANTE TECHNOLOGIES INC   COMMON 591407101   $    2,390     105,640   SH   DEFINED               14       44,840   0      59,300
METAVANTE TECHNOLOGIES INC   COMMON 591407101   $        4         166   SH   DEFINED               22          166   0         -
METAVANTE TECHNOLOGIES INC   COMMON 591407101   $      214       9,464   SH   DEFINED               23        9,464   0         -
METAVANTE TECHNOLOGIES INC   COMMON 591407101   $        4         173   SH   DEFINED               24          173   0         -
METAVANTE TECHNOLOGIES INC   COMMON 591407101        $ -             1   SH   DEFINED                3            1   0         -
METAVANTE TECHNOLOGIES INC   COMMON 591407101   $        1          37   SH   DEFINED                5          -     0          37
METHANEX CORP                COMMON 59151K108   $    8,634     303,915   SH   DEFINED              1,9      303,915   0         -
METHANEX CORP                COMMON 59151K108   $    7,378     263,150   SH   DEFINED               23      263,150   0         -
METHANEX CORP                COMMON 59151K108   $       25         881   SH   DEFINED               24          881   0         -
METHANEX CORP                COMMON 59151K108   $      136       4,792   SH   DEFINED                7        4,792   0         -
METHANEX CORP                COMMON 59151K108   $      833      29,327   SH   DEFINED                8       29,327   0         -
METHODE ELECTRONICS          COMMON 591520200   $    5,713     546,717   SH   DEFINED                1      546,717   0         -
METHODE ELECTRONICS          COMMON 591520200   $    5,998     574,000   SH   DEFINED               14      409,600   0     164,400
METHODE ELECTRONICS          COMMON 591520200   $    2,229     213,342   SH   DEFINED                2       25,000   0     188,342
METHODE ELECTRONICS          COMMON 591520200   $        1         125   SH   DEFINED               22          -     0         125
METHODE ELECTRONICS          COMMON 591520200   $      424      40,614   SH   DEFINED               23       40,614   0         -
METHODE ELECTRONICS          COMMON 591520200   $      840      80,400   SH   DEFINED             5,15       80,400   0         -
METHODE ELECTRONICS          COMMON 591520200   $      340      32,500   SH   DEFINED                8       32,500   0         -
METHODE ELECTRONICS          COMMON 591520200   $       93       8,900   SH   DEFINED             8,20        8,900   0         -
METLIFE INC                  COMMON 59156R108   $      132       2,500   SH   DEFINED            10,14        2,500   0         -
METLIFE INC                  COMMON 59156R108   $    4,596      87,090   SH   DEFINED               14       73,490   0       9,900
METLIFE INC                  COMMON 59156R108   $    2,211      41,900   SH   DEFINED             14,7          -     0      41,900
METLIFE INC                  COMMON 59156R108   $      500       9,470   SH   DEFINED               21        9,470   0         -
METLIFE INC                  COMMON 59156R108   $       52         985   SH   DEFINED               22          -     0         985
METLIFE INC                  COMMON 59156R108   $   18,814     356,534   SH   DEFINED               23      356,534   0         -
METLIFE INC                  COMMON 59156R108   $      888      16,826   SH   DEFINED               24       16,826   0         -
METLIFE INC                  COMMON 59156R108   $    2,797      53,003   SH   DEFINED                5       19,455   0      33,548
METLIFE INC                  COMMON 59156R108   $      694      13,151   SH   DEFINED                7       13,151   0         -
METLIFE INC                  COMMON 59156R108   $      751      14,225   SH   DEFINED                8       14,225   0         -
METLIFE INC                  COMMON 59156R108   $      802      15,200   SH   DEFINED             8,14       15,200   0         -
METROCORP BANCSHARES INC     COMMON 591650106   $        1          72   SH   DEFINED               23           72   0         -
METROPCS COMMUNICATIONS INC  COMMON 591708102   $   71,216   4,021,206   SH   DEFINED               16          -   4021206     -
METROPCS COMMUNICATIONS INC  COMMON 591708102   $      157       8,852   SH   DEFINED               23        8,852   0         -
METROPCS COMMUNICATIONS INC  COMMON 591708102   $      472      26,627   SH   DEFINED                5          -     0      26,627
METTLER TOLEDO INTERNATIONAL COMMON 592688105   $      607       6,400   SH   DEFINED               14        5,200   0         -
METTLER TOLEDO INTERNATIONAL COMMON 592688105   $      141       1,488   SH   DEFINED               22        1,000   0         488
METTLER TOLEDO INTERNATIONAL COMMON 592688105   $      213       2,241   SH   DEFINED               23        2,241   0         -
METTLER TOLEDO INTERNATIONAL COMMON 592688105   $        2          22   SH   DEFINED               24           22   0         -
METTLER TOLEDO INTERNATIONAL COMMON 592688105   $       36         380   SH   DEFINED                5          -     0         380
MFS INTERMARKET INC TRUST
I CE                         COMMON 59318R103   $       35       4,383   SH   DEFINED               22          -     0       4,383
MICREL INC                   COMMON 594793101   $   13,043   1,425,500   SH   DEFINED               14      703,400   0     719,100
MICREL INC                   COMMON 594793101   $    3,406     372,216   SH   DEFINED               23      372,216   0         -
MICREL INC                   COMMON 594793101   $      915     100,000   SH   DEFINED             5,15      100,000   0         -
MICREL INC                   COMMON 594793101   $       61       6,700   SH   DEFINED                8        6,700   0         -
MICREL INC                   COMMON 594793101   $       17       1,900   SH   DEFINED             8,20        1,900   0         -
MICROS SYSTEMS INC           COMMON 594901100   $    9,753     319,881   SH   DEFINED                1      319,881   0         -
MICROS SYSTEMS INC           COMMON 594901100   $    7,754     254,325   SH   DEFINED                2      254,325   0         -
MICROS SYSTEMS INC           COMMON 594901100   $    1,142      37,471   SH   DEFINED               23       37,471   0         -
MICROSOFT CORP               COMMON 594918104   $  622,556  22,630,188   SH   DEFINED                1   22,630,188   0         -
MICROSOFT CORP               COMMON 594918104   $   16,170     587,800   SH   DEFINED             1,15      587,800   0         -
MICROSOFT CORP               COMMON 594918104   $   13,007     472,797   SH   DEFINED              1,9      472,797   0         -
MICROSOFT CORP               COMMON 594918104   $    4,316     156,900   SH   DEFINED            10,14      156,900   0         -
MICROSOFT CORP               COMMON 594918104   $    1,145      41,627   SH   DEFINED             10,7       41,627   0         -
MICROSOFT CORP               COMMON 594918104   $   35,945   1,306,620   SH   DEFINED               11      221,620   0   1,085,000
MICROSOFT CORP               COMMON 594918104   $    1,285      46,702   SH   DEFINED               13       46,702   0         -
MICROSOFT CORP               COMMON 594918104   $      212       7,724   SH   DEFINED             13,2        7,724   0         -
MICROSOFT CORP               COMMON 594918104   $  277,287  10,079,500   SH   DEFINED               14    7,231,600   0   2,475,200
MICROSOFT CORP               COMMON 594918104   $    5,873     213,500   SH   DEFINED            14,13          -     0     213,500
MICROSOFT CORP               COMMON 594918104   $   18,833     684,600   SH   DEFINED             14,7          -     0     684,600
MICROSOFT CORP               COMMON 594918104   $    1,816      66,000   SH   DEFINED               17       66,000   0         -
MICROSOFT CORP               COMMON 594918104   $       14         500   SH   DEFINED            18,11          500   0         -
MICROSOFT CORP               COMMON 594918104   $      520      18,900   SH   DEFINED            18,14          -     0      18,900
MICROSOFT CORP               COMMON 594918104   $    2,802     101,865   SH   DEFINED               19      101,865   0         -
MICROSOFT CORP               COMMON 594918104   $    1,403      51,000   SH   DEFINED            19,14       28,450   0      22,550
MICROSOFT CORP               COMMON 594918104   $   38,485   1,398,930   SH   DEFINED                2    1,398,930   0         -
MICROSOFT CORP               COMMON 594918104   $    2,432      88,400   SH   DEFINED            20,14          -     0         -
MICROSOFT CORP               COMMON 594918104   $    3,408     123,880   SH   DEFINED             20,2      123,880   0         -
MICROSOFT CORP               COMMON 594918104   $    4,878     177,308   SH   DEFINED               21      177,308   0         -
MICROSOFT CORP               COMMON 594918104   $   75,622   2,748,905   SH   DEFINED               22      579,153   0   2,169,752
MICROSOFT CORP               COMMON 594918104   $   35,716   1,298,281   SH   DEFINED               23    1,298,281   0         -
MICROSOFT CORP               COMMON 594918104   $   25,622     931,378   SH   DEFINED               24      931,378   0         -
MICROSOFT CORP               COMMON 594918104   $      583      21,200   SH   DEFINED                3       21,200   0         -
MICROSOFT CORP               COMMON 594918104   $   19,835     721,010   SH   DEFINED              3,1      721,010   0         -
MICROSOFT CORP               COMMON 594918104   $    4,816     175,061   SH   DEFINED                4      175,061   0         -
MICROSOFT CORP               COMMON 594918104   $   28,856   1,048,920   SH   DEFINED                5      820,661   0     228,259
MICROSOFT CORP               COMMON 594918104   $   13,246     481,500   SH   DEFINED             5,15      481,500   0         -
MICROSOFT CORP               COMMON 594918104   $      466      16,950   SH   DEFINED                6       16,950   0         -
MICROSOFT CORP               COMMON 594918104   $   20,444     743,157   SH   DEFINED                7      743,157   0         -
MICROSOFT CORP               COMMON 594918104   $   90,690   3,296,607   SH   DEFINED                8    3,296,607   0         -
MICROSOFT CORP               COMMON 594918104   $   29,924   1,087,745   SH   DEFINED             8,14    1,026,900   0      60,845
MICROSOFT CORP               COMMON 594918104   $      727      26,435   SH   DEFINED              8,2       26,435   0         -
MICROSOFT CORP               COMMON 594918104   $    5,534     201,165   SH   DEFINED                9      201,165   0         -
MICROSOFT CORP               COMMON 594918104   $    3,197     116,200   SH   DEFINED             9,14          -     0     116,200
MICROVISION INC              COMMON 594960106   $        1         496   SH   DEFINED               23          496   0         -
MICROSTRATEGY INC            COMMON 594972408   $    1,055      16,300   SH   DEFINED               14        8,500   0       7,800
MICROSTRATEGY INC            COMMON 594972408   $    1,033      15,949   SH   DEFINED               23       15,949   0         -
MICROSTRATEGY INC            COMMON 594972408   $      149       2,300   SH   DEFINED             5,15        2,300   0         -
MICROCHIP TECHNOLOGY INC     COMMON 595017104   $   15,371     503,317   SH   DEFINED                1      503,317   0         -
MICROCHIP TECHNOLOGY INC     COMMON 595017104   $   25,310     828,749   SH   DEFINED               22      328,905   0     499,844
MICROCHIP TECHNOLOGY INC     COMMON 595017104   $      230       7,539   SH   DEFINED               23        7,539   0         -
MICROCHIP TECHNOLOGY INC     COMMON 595017104   $    1,295      42,406   SH   DEFINED               24       42,406   0         -
MICROCHIP TECHNOLOGY INC     COMMON 595017104   $    5,867     192,096   SH   DEFINED                5      136,199   0      55,897
MICROCHIP TECHNOLOGY INC     COMMON 595017104   $      130       4,254   SH   DEFINED                7        4,254   0         -
MICRON TECHNOLOGY INC        COMMON 595112103   $      620     103,290   SH   DEFINED               23      103,290   0         -
MICRON TECHNOLOGY INC        COMMON 595112103   $       13       2,088   SH   DEFINED               24        2,088   0         -
MICRON TECHNOLOGY INC        COMMON 595112103   $        3         532   SH   DEFINED                4          532   0         -
MICRON TECHNOLOGY INC        COMMON 595112103   $        4         655   SH   DEFINED                5          -     0         655
MICRON TECHNOLOGY INC        COMMON 595112103   $       61      10,199   SH   DEFINED                7       10,199   0         -
MICROSEMI CORP               COMMON 595137100   $   14,349     569,844   SH   DEFINED                1      569,844   0         -
MICROSEMI CORP               COMMON 595137100   $   11,698     464,559   SH   DEFINED                2      464,559   0         -
MICROSEMI CORP               COMMON 595137100   $    4,141     164,470   SH   DEFINED               22      155,145   0       9,325
MICROSEMI CORP               COMMON 595137100   $      112       4,466   SH   DEFINED               23        4,466   0         -
MICROSEMI CORP               COMMON 595137100   $    3,213     127,600   SH   DEFINED                3      127,600   0         -
MICROSEMI CORP               COMMON 595137100   $    2,652     105,303   SH   DEFINED                5       77,595   0      27,708
MICROTUNE INC                COMMON 59514P109   $        2         469   SH   DEFINED               23          469   0         -
MICRUS ENDOVASCULAR CORP     COMMON 59518V102   $        2         136   SH   DEFINED               23          136   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $   22,810     446,900   SH   DEFINED             1,15      446,900   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $   61,543   1,205,786   SH   DEFINED               14      726,386   0     412,400
MID-AMER APT CMNTYS INC      COMMON 59522J103   $      990      19,400   SH   DEFINED            18,14       19,400   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $      296       5,800   SH   DEFINED            19,14        5,800   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $    2,960      58,000   SH   DEFINED             2,15       58,000   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $      171       3,344   SH   DEFINED               23        3,344   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $      362       7,100   SH   DEFINED             3,15        3,000   0       4,100
MID-AMER APT CMNTYS INC      COMMON 59522J103   $    5,334     104,500   SH   DEFINED             5,15      104,500   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $       46         900   SH   DEFINED             6,14          900   0         -
MID-AMER APT CMNTYS INC      COMMON 59522J103   $      873      17,100   SH   DEFINED             8,14          -     0      17,100
MIDAS GROUP INC              COMMON 595626102   $      304      22,500   SH   DEFINED               14       14,800   0       7,700
MIDAS GROUP INC              COMMON 595626102   $        5         392   SH   DEFINED               23          392   0         -
MIDAS GROUP INC              COMMON 595626102   $       53       3,900   SH   DEFINED             5,15        3,900   0         -
STANDARD AND POOR'S MIDCAP
400                          COMMON 595635103   $    2,279      15,314   SH   DEFINED               22       13,550   0       1,764
STANDARD AND POOR'S MIDCAP
400                          COMMON 595635103   $    2,849      19,148   SH   DEFINED                5        5,917   0      13,231
MIDDLEBURG FINANCIAL CORP    COMMON 596094102   $    1,725      74,986   SH   DEFINED                5       74,986   0         -
MIDDLEBY CORP                COMMON 596278101   $      162       3,700   SH   DEFINED               14        2,000   0       1,700
MIDDLEBY CORP                COMMON 596278101   $       25         573   SH   DEFINED               23          573   0         -
MIDDLEBY CORP                COMMON 596278101   $       57       1,300   SH   DEFINED                5          -     0       1,300
MIDDLEBY CORP                COMMON 596278101   $       26         600   SH   DEFINED             5,15          600   0         -
MIDDLESEX WATER CO           COMMON 596680108   $      119       7,200   SH   DEFINED               14        7,200   0         -
MIDDLESEX WATER CO           COMMON 596680108   $       32       1,949   SH   DEFINED               23        1,949   0         -
MIDDLESEX WATER CO           COMMON 596680108   $       25       1,500   SH   DEFINED             5,15        1,500   0         -
MIDWEST BANC HOLDINGS INC    COMMON 598251106   $       20       4,084   SH   DEFINED               23        4,084   0         -
MILLER (HERMAN) INC          COMMON 600544100   $      171       6,858   SH   DEFINED               23        6,858   0         -
MILLER (HERMAN) INC          COMMON 600544100   $       55       2,225   SH   DEFINED                5          -     0       2,225
MILLER INDUSTRIES INC/TENN   COMMON 600551204   $       30       3,044   SH   DEFINED               23        3,044   0         -
MILLIPORE CORP               COMMON 601073109   $    5,027      74,083   SH   DEFINED                1       74,083   0         -
MILLIPORE CORP               COMMON 601073109   $    5,423      79,917   SH   DEFINED               23       79,917   0         -
MILLIPORE CORP               COMMON 601073109   $      261       3,840   SH   DEFINED                5          -     0       3,840
MINDRAY MEDICAL INTL LTD-ADR COMMON 602675100   $    1,411      37,800   SH   DEFINED              1,7          -     0      37,800
MINDRAY MEDICAL INTL LTD-ADR COMMON 602675100   $    9,113     244,189   SH   DEFINED               23      244,189   0         -
MINDRAY MEDICAL INTL LTD-ADR COMMON 602675100   $      172       4,600   SH   DEFINED                6          -     4600         -
MINDRAY MEDICAL INTL LTD-ADR COMMON 602675100   $   22,392     600,000   SH   DEFINED             6,20      600,000   0         -
MINDRAY MEDICAL INTL LTD-ADR COMMON 602675100   $    3,112      83,400   SH   DEFINED              8,6       83,400   0         -
MINDSPEED TECHNOLOGIES INC   COMMON 602682106        $ -            66   SH   DEFINED               22          -     0          66
MINDSPEED TECHNOLOGIES INC   COMMON 602682106   $        1       1,028   SH   DEFINED               23        1,028   0         -
MINDSPEED TECHNOLOGIES INC   COMMON 602682106        $ -           100   SH   DEFINED                5          -     0         100
MINE SAFETY APPLIANCES CO    COMMON 602720104   $        8         201   SH   DEFINED               22          -     0         201
MINE SAFETY APPLIANCES CO    COMMON 602720104   $      282       7,053   SH   DEFINED               23        7,053   0         -
MINERALS TECHNOLOGIES INC    COMMON 603158106   $    7,160     112,590   SH   DEFINED               14       52,290   0      59,200
MINERALS TECHNOLOGIES INC    COMMON 603158106   $      256       4,023   SH   DEFINED               22          -     0       4,023
MINERALS TECHNOLOGIES INC    COMMON 603158106   $      937      14,737   SH   DEFINED               23       14,737   0         -
MINERALS TECHNOLOGIES INC    COMMON 603158106   $      475       7,475   SH   DEFINED                5          -     0       7,475
MINERALS TECHNOLOGIES INC    COMMON 603158106   $       70       1,100   SH   DEFINED             5,15        1,100   0         -
MIPS TECHNOLOGIES INC        COMMON 604567107   $        1         381   SH   DEFINED               23          381   0         -
MIRANT CORP                  COMMON 60467R100   $    3,801      97,100   SH   DEFINED                1       97,100   0         -
MIRANT CORP                  COMMON 60467R100   $    3,637      92,900   SH   DEFINED             1,15       92,900   0         -
MIRANT CORP                  COMMON 60467R100   $    2,686      68,617   SH   DEFINED              1,9       68,617   0         -
MIRANT CORP                  COMMON 60467R100   $     846      21,600    SH   DEFINED           10,14       21,600    0         -
MIRANT CORP                  COMMON 60467R100   $     188       4,813    SH   DEFINED              11        4,813    0         -
MIRANT CORP                  COMMON 60467R100   $      35         900    SH   DEFINED              13          900    0         -
MIRANT CORP                  COMMON 60467R100   $  43,795   1,118,655    SH   DEFINED              14      693,005    0     389,850
MIRANT CORP                  COMMON 60467R100   $     744      19,000    SH   DEFINED           14,13          -      0      19,000
MIRANT CORP                  COMMON 60467R100   $   2,525      64,500    SH   DEFINED            14,7          -      0      64,500
MIRANT CORP                  COMMON 60467R100   $      35         900    SH   DEFINED           20,14          -      0         -
MIRANT CORP                  COMMON 60467R100   $      25         630    SH   DEFINED              22          -      0         630
MIRANT CORP                  COMMON 60467R100   $     470      12,008    SH   DEFINED              23       12,008    0         -
MIRANT CORP                  COMMON 60467R100   $      32         806    SH   DEFINED              24          806    0         -
MIRANT CORP                  COMMON 60467R100   $      81       2,058    SH   DEFINED               5        1,722    0         336
MIRANT CORP                  COMMON 60467R100   $   1,668      42,600    SH   DEFINED            5,15       42,600    0         -
MIRANT CORP                  COMMON 60467R100   $     866      22,110    SH   DEFINED               7       22,110    0         -
MIRANT CORP                  COMMON 60467R100   $     456      11,648    SH   DEFINED               8       11,648    0         -
MIRANT CORP                  COMMON 60467R100   $   7,039     179,800    SH   DEFINED            8,14      179,800    0         -
MIRANT CORP                  COMMON 60467R100   $     399      10,200    SH   DEFINED            9,14          -      0      10,200
MIRANT CORP-W/I-CW11 WTS     COMMON 60467R118   $       1          46    SH   DEFINED              22          -      0          46
MISSION WEST PPTYS INC       COMMON 605203108   $   1,303     118,900    SH   DEFINED              14       80,700    0      38,200
MISSION WEST PPTYS INC       COMMON 605203108   $      89       8,130    SH   DEFINED              23        8,130    0         -
MISSION WEST PPTYS INC       COMMON 605203108   $     232      21,200    SH   DEFINED            5,15       21,200    0         -
MITCHAM INDUSTRIES INC       COMMON 606501104   $     321      18,800    SH   DEFINED              14        9,500    0       9,300
MITCHAM INDUSTRIES INC       COMMON 606501104   $     216      12,644    SH   DEFINED              23       12,644    0         -
MITCHAM INDUSTRIES INC       COMMON 606501104   $      50       2,900    SH   DEFINED            5,15        2,900    0         -
MITSUBISHI UFJ FINANCIAL
ADR0                         COMMON 606822104   $  74,216   8,433,627    SH   DEFINED              11    8,433,627    0         -
MITSUBISHI UFJ FINANCIAL ADR COMMON 606822104   $   1,364     154,973    SH   DEFINED              14      154,973    0         -
MITSUBISHI UFJ FINANCIAL ADR COMMON 606822104   $     106      12,065    SH   DEFINED              22          -      0      12,065
MITSUBISHI UFJ FINANCIAL ADR COMMON 606822104   $       5         583    SH   DEFINED               4          583    0         -
MITSUI & CO LTD ADR          COMMON 606827202   $   2,047       4,192    SH   DEFINED              23        4,192    0         -
MIZUHO FINANCIAL GROUP-ADR   COMMON 60687Y109   $      70       6,670    SH   DEFINED              22          -      0       6,670
MIZUHO FINANCIAL GROUP-ADR   COMMON 60687Y109   $       6         571    SH   DEFINED               4          571    0         -
MIZUHO FINANCIAL GROUP-ADR   COMMON 60687Y109   $      48       4,600    SH   DEFINED               5          -      0       4,600
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $  13,284     173,400    SH   DEFINED               1      173,400    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $     230       3,000    SH   DEFINED              14          -      0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   5,669      74,000    SH   DEFINED              19       74,000    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   1,236      16,130    SH   DEFINED            20,2       16,130    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   4,805      62,715    SH   DEFINED              23       62,715    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $  22,459     293,159    SH   DEFINED               8      293,159    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   1,302      17,000    SH   DEFINED            8,13       17,000    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   1,034      13,500    SH   DEFINED            8,14       13,500    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   1,984      25,900    SH   DEFINED            8,20       25,900    0         -
MOBILE TELESYSTEMS SP ADR    COMMON 607409109   $   3,187      41,600    SH   DEFINED             9,8       41,600    0         -
MOBILE MINI INC              COMMON 60740F105   $     581      29,040    SH   DEFINED              23       29,040    0         -
MODINE MFG CO                COMMON 607828100   $     484      39,154    SH   DEFINED              23       39,154    0         -
MOHAWK INDS INC              COMMON 608190104   $   2,742      42,778    SH   DEFINED              22       39,855    0       2,923
MOHAWK INDS INC              COMMON 608190104   $   1,429      22,292    SH   DEFINED              23       22,292    0         -
MOHAWK INDS INC              COMMON 608190104   $      11         164    SH   DEFINED              24          164    0         -
MOHAWK INDS INC              COMMON 608190104   $   1,703      26,561    SH   DEFINED               5       19,449    0       7,112
MOLECULAR INSIGHT PHARMACEUT COMMON 60852M104   $       1         109    SH   DEFINED              23          109    0         -
MOLEX INC                    COMMON 608554101   $  25,412   1,041,061    SH   DEFINED               1    1,041,061    0         -
MOLEX INC                    COMMON 608554101   $     468      19,187    SH   DEFINED              14       19,187    0         -
MOLEX INC                    COMMON 608554101   $     234       9,592    SH   DEFINED              22        1,828    0       7,764
MOLEX INC                    COMMON 608554101   $     166       6,784    SH   DEFINED              23        6,784    0         -
MOLEX INC                    COMMON 608554101   $       2          93    SH   DEFINED              24           93    0         -
MOLEX INC                    COMMON 608554101   $  15,219     623,455    SH   DEFINED               4      623,455    0         -
MOLEX INC                    COMMON 608554101   $      17         694    SH   DEFINED               5          500    0         194
MOLEX INC                    COMMON 608554101   $     391      16,000    SH   DEFINED               6       16,000    0         -
MOLEX INC - CL A             COMMON 608554200   $     625      27,300    SH   DEFINED             1,3       27,300    0         -
MOLEX INC - CL A             COMMON 608554200   $   2,302     100,500    SH   DEFINED            18,3      100,500    0         -
MOLEX INC - CL A             COMMON 608554200   $   1,221      53,300    SH   DEFINED            20,3       53,300    0         -
MOLEX INC - CL A             COMMON 608554200   $     517      22,573    SH   DEFINED              22          365    0      22,208
MOLEX INC - CL A             COMMON 608554200   $      96       4,174    SH   DEFINED              23        4,174    0         -
MOLEX INC - CL A             COMMON 608554200   $       2          76    SH   DEFINED              24           76    0         -
MOLEX INC - CL A             COMMON 608554200   $ 177,005   7,726,087    SH   DEFINED               3    7,726,087    0         -
MOLINA HEALTHCARE INC        COMMON 60855R100   $      46       1,872    SH   DEFINED              23        1,872    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $ 120,974   2,226,659    SH   DEFINED               1    2,226,659    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $   5,966     109,808    SH   DEFINED             1,3      109,808    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $       5         100    SH   DEFINED              13          100    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $   1,957      36,021    SH   DEFINED              14       33,621    0         400
MOLSON COORS BREWING CO -B   COMMON 60871R209   $       5         100    SH   DEFINED           20,14          -      0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $      16         300    SH   DEFINED              22          -      0         300
MOLSON COORS BREWING CO -B   COMMON 60871R209   $   5,849     107,654    SH   DEFINED              23      107,654    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $      12         222    SH   DEFINED              24          222    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $  75,527   1,390,152    SH   DEFINED               3    1,390,152    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $   6,842     125,926    SH   DEFINED               4      125,926    0         -
MOLSON COORS BREWING CO -B   COMMON 60871R209   $      65       1,200    SH   DEFINED               5          -      0       1,200
MOMENTA PHARMACEUTICALS INC  COMMON 60877T100   $   5,486     445,976    SH   DEFINED              23      445,976    0         -
MOMENTA PHARMACEUTICALS INC  COMMON 60877T100   $      56       4,533    SH   DEFINED               5          -      0       4,533
MONACO COACH CORP            COMMON 60886R103   $     111      36,400    SH   DEFINED              14       36,400    0         -
MONACO COACH CORP            COMMON 60886R103   $     104      34,288    SH   DEFINED              23       34,288    0         -
MONACO COACH CORP            COMMON 60886R103   $      22       7,300    SH   DEFINED            5,15        7,300    0         -
MONARCH CASINO & RESORT INC  COMMON 609027107   $       1         125    SH   DEFINED              23          125    0         -
MONEYGRAM INTERNATIONAL      COMMON 60935Y109   $      37      41,070    SH   DEFINED              23       41,070    0         -
MONMOUTH REAL ESTATE INVT
CORP                         COMMON 609720107   $     296      46,200    SH   DEFINED              14       30,900    0      15,300
MONMOUTH REAL ESTATE INVT
CORP                         COMMON 609720107   $      51       8,000    SH   DEFINED            5,15        8,000    0         -
MONOGRAM BIOSCIENCES INC     COMMON 60975U108   $       1       1,153    SH   DEFINED              23        1,153    0         -
MONOGRAM BIOSCIENCES INC     COMMON 60975U108   $      45      41,227    SH   DEFINED               5       29,960    0      11,267
MONOLITHIC POWER SYSTEMS INC COMMON 609839105   $     154       7,137    SH   DEFINED              23        7,137    0         -
MONOTYPE IMAGING HOLDINGS IN COMMON 61022P100   $       2         120    SH   DEFINED              23          120    0         -
MONRO MUFFLER BRAKE INC      COMMON 610236101   $      49       3,141    SH   DEFINED              23        3,141    0         -
MONSANTO COMPANY             COMMON 61166W101   $ 204,190   1,614,916    SH   DEFINED               1    1,614,916    0         -
MONSANTO COMPANY             COMMON 61166W101   $     122         964    SH   DEFINED              13          964    0         -
MONSANTO COMPANY             COMMON 61166W101   $     122         964    SH   DEFINED            13,2          964    0         -
MONSANTO COMPANY             COMMON 61166W101   $   1,378      10,900    SH   DEFINED              14        7,400    0       1,900
MONSANTO COMPANY             COMMON 61166W101   $   1,151       9,100    SH   DEFINED            14,7          -      0       9,100
MONSANTO COMPANY             COMMON 61166W101   $  14,785     116,931    SH   DEFINED               2      116,931    0         -
MONSANTO COMPANY             COMMON 61166W101   $  19,091     150,991    SH   DEFINED              22       29,062    0     121,929
MONSANTO COMPANY             COMMON 61166W101   $  36,292     287,032    SH   DEFINED              23      287,032    0         -
MONSANTO COMPANY             COMMON 61166W101   $      22         176    SH   DEFINED              24          176    0         -
MONSANTO COMPANY             COMMON 61166W101   $   2,535      20,051    SH   DEFINED             3,1       20,051    0         -
MONSANTO COMPANY             COMMON 61166W101   $  14,966     118,365    SH   DEFINED               5       81,403    0      36,962
MONSANTO COMPANY             COMMON 61166W101   $    1,154       9,129   SH   DEFINED                7        9,129   0         -
MONSANTO COMPANY             COMMON 61166W101   $    1,560      12,334   SH   DEFINED                8       12,334   0         -
MONSANTO COMPANY             COMMON 61166W101   $      613       4,851   SH   DEFINED              8,2        4,851   0         -
MONSTER WORLDWIDE INC        COMMON 611742107   $      110       5,328   SH   DEFINED               22        5,328   0         -
MONSTER WORLDWIDE INC        COMMON 611742107   $      171       8,294   SH   DEFINED               23        8,294   0         -
MONSTER WORLDWIDE INC        COMMON 611742107   $      719      34,880   SH   DEFINED               24       34,880   0         -
MONSTER WORLDWIDE INC        COMMON 611742107   $        2         119   SH   DEFINED                5          -     0         119
MOODYS CORPORATION           COMMON 615369105   $  277,300   8,051,681   SH   DEFINED                1    8,051,681   0         -
MOODYS CORPORATION           COMMON 615369105   $    2,717      78,882   SH   DEFINED               14       68,482   0      10,400
MOODYS CORPORATION           COMMON 615369105   $    3,587     104,140   SH   DEFINED                2       11,413   0      92,727
MOODYS CORPORATION           COMMON 615369105   $        3         100   SH   DEFINED               21          100   0         -
MOODYS CORPORATION           COMMON 615369105   $      375      10,886   SH   DEFINED               22          -     0      10,886
MOODYS CORPORATION           COMMON 615369105   $      454      13,182   SH   DEFINED               23       13,182   0         -
MOODYS CORPORATION           COMMON 615369105   $        4         109   SH   DEFINED               24          109   0         -
MOODYS CORPORATION           COMMON 615369105   $      224       6,500   SH   DEFINED                3        6,500   0         -
MOODYS CORPORATION           COMMON 615369105   $   25,107     729,001   SH   DEFINED                4      729,001   0         -
MOODYS CORPORATION           COMMON 615369105   $      193       5,595   SH   DEFINED                5        5,400   0         195
MOODYS CORPORATION           COMMON 615369105   $      681      19,763   SH   DEFINED                7       19,763   0         -
MOODYS CORPORATION           COMMON 615369105   $      540      15,667   SH   DEFINED                8       15,667   0         -
MOOG INC CL A                COMMON 615394202   $    1,575      42,280   SH   DEFINED               23       42,280   0         -
MORGAN STANLEY               COMMON 617446448   $   98,432   2,728,903   SH   DEFINED                1    2,728,903   0         -
MORGAN STANLEY               COMMON 617446448   $      913      25,300   SH   DEFINED            10,14       25,300   0         -
MORGAN STANLEY               COMMON 617446448   $       58       1,600   SH   DEFINED               13        1,600   0         -
MORGAN STANLEY               COMMON 617446448   $   62,663   1,737,255   SH   DEFINED               14    1,151,555   0     518,700
MORGAN STANLEY               COMMON 617446448   $    1,475      40,900   SH   DEFINED            14,13          -     0      40,900
MORGAN STANLEY               COMMON 617446448   $    4,671     129,500   SH   DEFINED             14,7          -     0     129,500
MORGAN STANLEY               COMMON 617446448   $      296       8,200   SH   DEFINED            20,14          -     0         -
MORGAN STANLEY               COMMON 617446448   $    9,239     256,142   SH   DEFINED               22      139,308   0     116,834
MORGAN STANLEY               COMMON 617446448   $    4,717     130,773   SH   DEFINED               23      130,773   0         -
MORGAN STANLEY               COMMON 617446448   $       97       2,694   SH   DEFINED               24        2,694   0         -
MORGAN STANLEY               COMMON 617446448   $    6,521     180,779   SH   DEFINED                4      180,779   0         -
MORGAN STANLEY               COMMON 617446448   $    6,118     169,605   SH   DEFINED                5      140,443   0      29,162
MORGAN STANLEY               COMMON 617446448   $    3,333      92,400   SH   DEFINED             5,15       92,400   0         -
MORGAN STANLEY               COMMON 617446448   $      101       2,800   SH   DEFINED                6        2,800   0         -
MORGAN STANLEY               COMMON 617446448   $    1,982      54,935   SH   DEFINED                7       54,935   0         -
MORGAN STANLEY               COMMON 617446448   $    2,308      63,982   SH   DEFINED                8       63,982   0         -
MORGAN STANLEY               COMMON 617446448   $    4,231     117,300   SH   DEFINED             8,14      117,300   0         -
MORGAN STANLEY               COMMON 617446448   $      801      22,200   SH   DEFINED             9,14          -     0      22,200
MORGAN STANLEY INDIA INVEST
CF                           COMMON 61745C105   $      216       5,600   SH   DEFINED               22          -     0       5,600
MORGANS HOTEL GROUP CO       COMMON 61748W108   $       38       3,694   SH   DEFINED               23        3,694   0         -
MORNINGSTAR INC              COMMON 617700109   $   57,770     802,020   SH   DEFINED                1      802,020   0         -
MORNINGSTAR INC              COMMON 617700109   $    3,029      42,045   SH   DEFINED                2       42,045   0         -
MORNINGSTAR INC              COMMON 617700109   $      156       2,161   SH   DEFINED               23        2,161   0         -
MORNINGSTAR INC              COMMON 617700109   $      177       2,456   SH   DEFINED              8,2        2,456   0         -
MORTONS RESTAURANT GROUP     COMMON 619430101   $       22       3,200   SH   DEFINED               23        3,200   0         -
MOSAIC CO-THE                COMMON 61945A107   $  224,859   1,553,970   SH   DEFINED                1    1,553,970   0         -
MOSAIC CO-THE                COMMON 61945A107   $    8,675      59,950   SH   DEFINED             1,15       59,950   0         -
MOSAIC CO-THE                COMMON 61945A107   $    1,331       9,200   SH   DEFINED            10,14        9,200   0         -
MOSAIC CO-THE                COMMON 61945A107   $      197       1,363   SH   DEFINED               11        1,363   0         -
MOSAIC CO-THE                COMMON 61945A107   $      232       1,600   SH   DEFINED               13        1,600   0         -
MOSAIC CO-THE                COMMON 61945A107   $      188       1,300   SH   DEFINED             13,2        1,300   0         -
MOSAIC CO-THE                COMMON 61945A107   $   83,460     576,782   SH   DEFINED               14      392,332   0     162,200
MOSAIC CO-THE                COMMON 61945A107   $    1,570      10,850   SH   DEFINED            14,13          -     0      10,850
MOSAIC CO-THE                COMMON 61945A107   $    3,089      21,350   SH   DEFINED             14,7          -     0      21,350
MOSAIC CO-THE                COMMON 61945A107   $      126         872   SH   DEFINED               19          872   0         -
MOSAIC CO-THE                COMMON 61945A107   $   27,199     187,970   SH   DEFINED                2      187,970   0         -
MOSAIC CO-THE                COMMON 61945A107   $      246       1,700   SH   DEFINED            20,14          -     0         -
MOSAIC CO-THE                COMMON 61945A107   $      213       1,470   SH   DEFINED               21        1,470   0         -
MOSAIC CO-THE                COMMON 61945A107   $       46         321   SH   DEFINED               22          -     0         321
MOSAIC CO-THE                COMMON 61945A107   $   36,629     253,137   SH   DEFINED               23      253,137   0         -
MOSAIC CO-THE                COMMON 61945A107   $        5          37   SH   DEFINED               24           37   0         -
MOSAIC CO-THE                COMMON 61945A107   $    3,834      26,496   SH   DEFINED              3,1       26,496   0         -
MOSAIC CO-THE                COMMON 61945A107   $       12          83   SH   DEFINED                5           83   0         -
MOSAIC CO-THE                COMMON 61945A107   $    3,531      24,400   SH   DEFINED             5,15       24,400   0         -
MOSAIC CO-THE                COMMON 61945A107   $    2,477      17,116   SH   DEFINED                7       17,116   0         -
MOSAIC CO-THE                COMMON 61945A107   $    2,174      15,024   SH   DEFINED                8       15,024   0         -
MOSAIC CO-THE                COMMON 61945A107   $    7,163      49,500   SH   DEFINED             8,14       49,500   0         -
MOSAIC CO-THE                COMMON 61945A107   $      538       3,718   SH   DEFINED              8,2        3,718   0         -
MOSAIC CO-THE                COMMON 61945A107   $      854       5,900   SH   DEFINED             9,14          -     0       5,900
MOSY INC                     COMMON 619718109   $        1         286   SH   DEFINED               23          286   0         -
MOTHERS WORK INC             COMMON 619903107   $       29       2,905   SH   DEFINED               23        2,905   0         -
MOTOROLA INC                 COMMON 620076109   $  145,790  19,862,377   SH   DEFINED                1   19,862,377   0         -
MOTOROLA INC                 COMMON 620076109   $      421      57,314   SH   DEFINED               14       56,614   0         700
MOTOROLA INC                 COMMON 620076109   $      239      32,600   SH   DEFINED                2       32,600   0         -
MOTOROLA INC                 COMMON 620076109   $      861     117,253   SH   DEFINED               22       19,550   0      97,703
MOTOROLA INC                 COMMON 620076109   $    2,585     352,173   SH   DEFINED               23      352,173   0         -
MOTOROLA INC                 COMMON 620076109   $       38       5,212   SH   DEFINED               24        5,212   0         -
MOTOROLA INC                 COMMON 620076109   $   17,411   2,372,082   SH   DEFINED              3,1    2,372,082   0         -
MOTOROLA INC                 COMMON 620076109   $   12,411   1,690,938   SH   DEFINED                4    1,690,938   0         -
MOTOROLA INC                 COMMON 620076109   $      387      52,737   SH   DEFINED                5       22,660   0      30,077
MOTOROLA INC                 COMMON 620076109   $      300      40,937   SH   DEFINED                7       40,937   0         -
MOVADO GROUP                 COMMON 624580106   $    1,044      52,703   SH   DEFINED               23       52,703   0         -
MOVE INC                     COMMON 62458M108   $        3       1,356   SH   DEFINED               23        1,356   0         -
MUELLER INDS INC             COMMON 624756102   $    6,076     188,700   SH   DEFINED               14      157,400   0      31,300
MUELLER INDS INC             COMMON 624756102   $      168       5,209   SH   DEFINED               23        5,209   0         -
MUELLER INDS INC             COMMON 624756102   $        3          95   SH   DEFINED               24           95   0         -
MUELLER INDS INC             COMMON 624756102   $      914      28,400   SH   DEFINED             5,15       28,400   0         -
MUELLER INDS INC             COMMON 624756102   $      818      25,400   SH   DEFINED                8       25,400   0         -
MUELLER INDS INC             COMMON 624756102   $      225       7,000   SH   DEFINED             8,20        7,000   0         -
MUELLER WATER PRODUCTS INC-A COMMON 624758108   $       31       3,887   SH   DEFINED               23        3,887   0         -
MUELLER WATER PRODUCTS INC-A COMMON 624758108   $        1          71   SH   DEFINED               24           71   0         -
MUELLER WATER PRODUCTS INC-A COMMON 624758108   $       89      11,000   SH   DEFINED                5        5,000   0       6,000
MUELLER WATER PRODUCTS INC-B COMMON 624758207   $   69,507   8,138,994   SH   DEFINED               23    8,138,994   0         -
MUELLER WATER PRODUCTS INC-B COMMON 624758207   $        2         211   SH   DEFINED               24          211   0         -
MULTI-COLOR CORP             COMMON 625383104   $        1          67   SH   DEFINED               23           67   0         -
MULTI-FINELINE ELECTRONIX    COMMON 62541B101   $    1,674      60,500   SH   DEFINED               14       39,800   0      20,700
MULTI-FINELINE ELECTRONIX    COMMON 62541B101   $      898      32,460   SH   DEFINED               23       32,460   0         -
MULTI-FINELINE ELECTRONIX    COMMON 62541B101   $      291      10,500   SH   DEFINED             5,15       10,500   0         -
MULTIMEDIA GAMES INC         COMMON 625453105   $       33       7,440   SH   DEFINED               23        7,440   0         -
MURPHY OIL CORP              COMMON 626717102   $  123,543   1,260,000   SH   DEFINED                1    1,260,000   0         -
MURPHY OIL CORP              COMMON 626717102   $  21,179     216,000    SH   DEFINED            13,2          -      0     216,000
MURPHY OIL CORP              COMMON 626717102   $   2,909      29,668    SH   DEFINED              23       29,668    0         -
MURPHY OIL CORP              COMMON 626717102   $      17         176    SH   DEFINED              24          176    0         -
MURPHY OIL CORP              COMMON 626717102   $   5,314      54,200    SH   DEFINED               3       54,200    0         -
MURPHY OIL CORP              COMMON 626717102   $     696       7,102    SH   DEFINED               5        7,000    0         102
MURPHY OIL CORP              COMMON 626717102   $     136       1,386    SH   DEFINED               7        1,386    0         -
MYERS INDUSTRIES INC         COMMON 628464109   $     126      15,400    SH   DEFINED              14       15,400    0         -
MYERS INDUSTRIES INC         COMMON 628464109   $      49       6,027    SH   DEFINED              23        6,027    0         -
MYERS INDUSTRIES INC         COMMON 628464109   $      81       9,990    SH   DEFINED               5        2,515    0       7,475
MYERS INDUSTRIES INC         COMMON 628464109   $      27       3,300    SH   DEFINED            5,15        3,300    0         -
MYLAN INC                    COMMON 628530107   $     199      16,488    SH   DEFINED              23       16,488    0         -
MYLAN INC                    COMMON 628530107   $       3         271    SH   DEFINED              24          271    0         -
MYLAN INC                    COMMON 628530107   $      33       2,700    SH   DEFINED               5        2,700    0         -
MYRIAD GENETICS INC          COMMON 62855J104   $  11,282     247,846    SH   DEFINED               1      247,846    0         -
MYRIAD GENETICS INC          COMMON 62855J104   $   9,221     202,563    SH   DEFINED               2      202,563    0         -
MYRIAD GENETICS INC          COMMON 62855J104   $      11         250    SH   DEFINED              22          -      0         250
MYRIAD GENETICS INC          COMMON 62855J104   $   5,235     115,014    SH   DEFINED              23      115,014    0         -
MYRIAD GENETICS INC          COMMON 62855J104   $      46       1,000    SH   DEFINED               5        1,000    0         -
N B T BANCORP INC            COMMON 628778102   $     188       9,100    SH   DEFINED              14        9,100    0         -
N B T BANCORP INC            COMMON 628778102   $   3,536     171,580    SH   DEFINED              23      171,580    0         -
N B T BANCORP INC            COMMON 628778102   $      39       1,900    SH   DEFINED            5,15        1,900    0         -
NBTY INC                     COMMON 628782104   $      87       2,700    SH   DEFINED              14        2,700    0         -
NBTY INC                     COMMON 628782104   $   6,242     194,699    SH   DEFINED              23      194,699    0         -
NBTY INC                     COMMON 628782104   $     232       7,239    SH   DEFINED              24        7,239    0         -
NCI BUILDING SYS INC         COMMON 628852105   $   6,615     180,100    SH   DEFINED              14      122,800    0      57,300
NCI BUILDING SYS INC         COMMON 628852105   $     897      24,432    SH   DEFINED              23       24,432    0         -
NCI BUILDING SYS INC         COMMON 628852105   $   1,164      31,700    SH   DEFINED            5,15       31,700    0         -
NCR CORPORATION              COMMON 62886E108   $      34       1,338    SH   DEFINED              22          -      0       1,338
NCR CORPORATION              COMMON 62886E108   $   3,533     140,213    SH   DEFINED              23      140,213    0         -
NCR CORPORATION              COMMON 62886E108   $       8         323    SH   DEFINED              24          323    0         -
NCR CORPORATION              COMMON 62886E108   $   1,387      55,030    SH   DEFINED               5       12,084    0      42,946
NCI INC-CLASS A              COMMON 62886K104   $     272      11,891    SH   DEFINED              23       11,891    0         -
NDS GROUP PLC ADR            COMMON 628891103   $       7         118    SH   DEFINED              23          118    0         -
NAIC GROWTH FUND CEF         COMMON 628921108   $       7         975    SH   DEFINED              22          -      0         975
NASB FINANCIAL INC           COMMON 628968109   $      15         854    SH   DEFINED              23          854    0         -
NGP CAPITAL RESOURCES CO     COMMON 62912R107   $   2,214     143,685    SH   DEFINED              23      143,685    0         -
NGP CAPITAL RESOURCES CO     COMMON 62912R107   $      23       1,502    SH   DEFINED              24        1,502    0         -
NGAS RESOURCES INC           COMMON 62912T103   $       2         229    SH   DEFINED              23          229    0         -
NII HOLDINGS INC             COMMON 62913F201   $   1,883      39,655    SH   DEFINED            20,2       39,655    0         -
NII HOLDINGS INC             COMMON 62913F201   $   3,684      77,573    SH   DEFINED              22       73,820    0       3,753
NII HOLDINGS INC             COMMON 62913F201   $     502      10,561    SH   DEFINED              23       10,561    0         -
NII HOLDINGS INC             COMMON 62913F201   $   2,131      44,869    SH   DEFINED              24       44,869    0         -
NII HOLDINGS INC             COMMON 62913F201   $   2,422      50,992    SH   DEFINED               5       36,466    0      14,526
NII HOLDINGS INC             COMMON 62913F201   $     100       2,114    SH   DEFINED               7        2,114    0         -
NIC INC                      COMMON 62914B100   $     340      49,800    SH   DEFINED              14       34,000    0      15,800
NIC INC                      COMMON 62914B100   $     379      55,455    SH   DEFINED              23       55,455    0         -
NIC INC                      COMMON 62914B100   $      59       8,700    SH   DEFINED            5,15        8,700    0         -
NL INDUSTRIES                COMMON 629156407   $     555      58,220    SH   DEFINED              23       58,220    0         -
NN INC                       COMMON 629337106   $     711      50,982    SH   DEFINED              23       50,982    0         -
NPS PHARMACEUTICALS INC      COMMON 62936P103   $     219      49,200    SH   DEFINED              14       24,800    0      24,400
NPS PHARMACEUTICALS INC      COMMON 62936P103   $       2         407    SH   DEFINED              23          407    0         -
NPS PHARMACEUTICALS INC      COMMON 62936P103   $       9       2,000    SH   DEFINED               5        2,000    0         -
NPS PHARMACEUTICALS INC      COMMON 62936P103   $      33       7,500    SH   DEFINED            5,15        7,500    0         -
NRG ENERGY INC               COMMON 629377508   $  19,991     466,000    SH   DEFINED               1      466,000    0         -
NRG ENERGY INC               COMMON 629377508   $      18         410    SH   DEFINED              22          -      0         410
NRG ENERGY INC               COMMON 629377508   $     936      21,809    SH   DEFINED              23       21,809    0         -
NRG ENERGY INC               COMMON 629377508   $      39         907    SH   DEFINED              24          907    0         -
NRG ENERGY INC               COMMON 629377508   $     415       9,668    SH   DEFINED               5        7,907    0       1,761
NTT DOCOMO INC-SPON ADR      COMMON 62942M201   $  40,563   2,778,309    SH   DEFINED              11    2,778,309    0         -
NTT DOCOMO INC-SPON ADR      COMMON 62942M201   $     754      51,646    SH   DEFINED              14       51,646    0         -
NTT DOCOMO INC-SPON ADR      COMMON 62942M201   $   3,064     209,843    SH   DEFINED              23      209,843    0         -
NTT DOCOMO INC-SPON ADR      COMMON 62942M201   $       2         155    SH   DEFINED               4          155    0         -
NVE CORP                     COMMON 629445206   $      25         800    SH   DEFINED              14          800    0         -
NVE CORP                     COMMON 629445206   $   4,925     155,569    SH   DEFINED              23      155,569    0         -
NVR INC                      COMMON 62944T105   $     430         860    SH   DEFINED            1,15          860    0         -
NVR INC                      COMMON 62944T105   $     500       1,000    SH   DEFINED           10,14        1,000    0         -
NVR INC                      COMMON 62944T105   $      20          40    SH   DEFINED              13           40    0         -
NVR INC                      COMMON 62944T105   $  22,084      44,160    SH   DEFINED              14       29,620    0      13,060
NVR INC                      COMMON 62944T105   $     470         940    SH   DEFINED           14,13          -      0         940
NVR INC                      COMMON 62944T105   $   1,710       3,420    SH   DEFINED            14,7          -      0       3,420
NVR INC                      COMMON 62944T105   $      80         160    SH   DEFINED           20,14          -      0         -
NVR INC                      COMMON 62944T105   $       5          10    SH   DEFINED              22          -      0          10
NVR INC                      COMMON 62944T105   $   3,326       6,651    SH   DEFINED              23        6,651    0         -
NVR INC                      COMMON 62944T105   $     135         269    SH   DEFINED              24          269    0         -
NVR INC                      COMMON 62944T105   $      10          20    SH   DEFINED               5           20    0         -
NVR INC                      COMMON 62944T105   $   1,070       2,140    SH   DEFINED            5,15        2,140    0         -
NVR INC                      COMMON 62944T105   $     426         852    SH   DEFINED               7          852    0         -
NVR INC                      COMMON 62944T105   $   1,000       2,000    SH   DEFINED               8        2,000    0         -
NVR INC                      COMMON 62944T105   $   2,960       5,920    SH   DEFINED            8,14        5,920    0         -
NVR INC                      COMMON 62944T105   $     140         280    SH   DEFINED            8,20          280    0         -
NVR INC                      COMMON 62944T105   $     260         520    SH   DEFINED            9,14          -      0         520
NYMAGIC INC                  COMMON 629484106   $      23       1,184    SH   DEFINED              23        1,184    0         -
NYMEX HOLDINGS INC           COMMON 62948N104   $      68         803    SH   DEFINED              23          803    0         -
NYMEX HOLDINGS INC           COMMON 62948N104   $       1          14    SH   DEFINED              24           14    0         -
NYMEX HOLDINGS INC           COMMON 62948N104   $     123       1,461    SH   DEFINED               7        1,461    0         -
NYSE EURONEXT                COMMON 629491101   $     127       2,500    SH   DEFINED              14        1,200    0         400
NYSE EURONEXT                COMMON 629491101   $      86       1,700    SH   DEFINED            14,7          -      0       1,700
NYSE EURONEXT                COMMON 629491101   $      49         977    SH   DEFINED              22          350    0         627
NYSE EURONEXT                COMMON 629491101   $     155       3,066    SH   DEFINED              23        3,066    0         -
NYSE EURONEXT                COMMON 629491101   $       3          50    SH   DEFINED              24           50    0         -
NYSE EURONEXT                COMMON 629491101   $   3,354      66,200    SH   DEFINED               3       66,200    0         -
NYSE EURONEXT                COMMON 629491101   $     108       2,133    SH   DEFINED               5          -      0       2,133
NYSE EURONEXT                COMMON 629491101   $     129       2,555    SH   DEFINED               7        2,555    0         -
NABI BIOPHARMACEUTICALS      COMMON 629519109   $       2         531    SH   DEFINED              23          531    0         -
NACCO INDUSTRIES             COMMON 629579103   $     346       4,656    SH   DEFINED              23        4,656    0         -
NACCO INDUSTRIES             COMMON 629579103   $       2          32    SH   DEFINED              24           32    0         -
NALCO HOLDING CO             COMMON 62985Q101   $  14,879     703,494    SH   DEFINED              22      436,333    0     267,161
NALCO HOLDING CO             COMMON 62985Q101   $  95,275   4,504,742    SH   DEFINED              23    4,504,742    0         -
NALCO HOLDING CO             COMMON 62985Q101   $     219      10,362    SH   DEFINED              24       10,362    0         -
NALCO HOLDING CO             COMMON 62985Q101   $   8,905     421,049    SH   DEFINED               5      360,018    0      61,031
NAM TAI ELECTRONICS INC      COMMON 629865205   $   1,531     117,069    SH   DEFINED              23      117,069    0         -
NANOMETRICS INC              COMMON 630077105   $       1         123    SH   DEFINED              23          123    0         -
NANOSPHERE INC               COMMON 63009F105   $   4,177     435,145    SH   DEFINED              23      435,145    0         -
NAPCO SECURITY SYSTEMS INC   COMMON 630402105   $       1         125    SH   DEFINED              23          125    0         -
NAPSTER INC                  COMMON 630797108   $       1         406    SH   DEFINED              23          406    0         -
NARA BANCORP INC             COMMON 63080P105   $      37       3,437    SH   DEFINED              23        3,437    0         -
NARA BANCORP INC             COMMON 63080P105   $     116      10,790    SH   DEFINED               5        2,740    0       8,050
NASDAQ OMX GROUP             COMMON 631103108   $     308      11,600    SH   DEFINED            1,15       11,600    0         -
NASDAQ OMX GROUP             COMMON 631103108   $   6,793     255,840    SH   DEFINED              14       97,240    0     155,100
NASDAQ OMX GROUP             COMMON 631103108   $   2,812     105,922    SH   DEFINED              22       97,440    0       8,482
NASDAQ OMX GROUP             COMMON 631103108   $     212       7,976    SH   DEFINED              23        7,976    0         -
NASDAQ OMX GROUP             COMMON 631103108   $       3         113    SH   DEFINED              24          113    0         -
NASDAQ OMX GROUP             COMMON 631103108   $   2,122      79,907    SH   DEFINED               5       58,773    0      21,134
NASDAQ OMX GROUP             COMMON 631103108   $     244       9,182    SH   DEFINED               7        9,182    0         -
NASDAQ OMX GROUP             COMMON 631103108   $     229       8,621    SH   DEFINED               8        8,621    0         -
NASH FINCH CO                COMMON 631158102   $   5,774     168,500    SH   DEFINED              14      120,300    0      48,200
NASH FINCH CO                COMMON 631158102   $     656      19,129    SH   DEFINED              23       19,129    0         -
NASH FINCH CO                COMMON 631158102   $       2          72    SH   DEFINED              24           72    0         -
NASH FINCH CO                COMMON 631158102   $   1,018      29,700    SH   DEFINED            5,15       29,700    0         -
NATCO GROUP INC-A            COMMON 63227W203   $   9,229     169,241    SH   DEFINED               1      169,241    0         -
NATCO GROUP INC-A            COMMON 63227W203   $     142       2,600    SH   DEFINED              14        2,600    0         -
NATCO GROUP INC-A            COMMON 63227W203   $   5,353      98,158    SH   DEFINED               2       38,452    0      59,706
NATCO GROUP INC-A            COMMON 63227W203   $      59       1,089    SH   DEFINED              23        1,089    0         -
NATCO GROUP INC-A            COMMON 63227W203   $     113       2,075    SH   DEFINED               5          -      0       2,075
NATIONAL BK GREECE SA ADR    COMMON 633643408   $      14       1,616    SH   DEFINED              22          -      0       1,616
NATIONAL BEVERAGE CORP       COMMON 635017106   $      23       3,190    SH   DEFINED              23        3,190    0         -
NATIONAL CINEMEDIA INC       COMMON 635309107   $   5,599     525,236    SH   DEFINED               1      525,236    0         -
NATIONAL CINEMEDIA INC       COMMON 635309107   $      17       1,600    SH   DEFINED              14        1,600    0         -
NATIONAL CINEMEDIA INC       COMMON 635309107   $   4,476     419,905    SH   DEFINED               2      419,905    0         -
NATIONAL CITY CORP           COMMON 635405103   $   7,745   1,623,680    SH   DEFINED              14      600,480    0   1,017,500
NATIONAL CITY CORP           COMMON 635405103   $     195      40,800    SH   DEFINED            14,7          -      0      40,800
NATIONAL CITY CORP           COMMON 635405103   $      77      16,237    SH   DEFINED              22          -      0      16,237
NATIONAL CITY CORP           COMMON 635405103   $   4,803   1,006,814    SH   DEFINED              23    1,006,814    0         -
NATIONAL CITY CORP           COMMON 635405103   $      18       3,867    SH   DEFINED              24        3,867    0         -
NATIONAL CITY CORP           COMMON 635405103   $       4         830    SH   DEFINED               4          830    0         -
NATIONAL CITY CORP           COMMON 635405103   $     209      43,732    SH   DEFINED               5       13,400    0      30,332
NATIONAL HEALTHCARE CORP     COMMON 635906100   $      49       1,073    SH   DEFINED              23        1,073    0         -
NATIONAL FINANCIAL PARTNERS  COMMON 63607P208   $  21,755   1,097,607    SH   DEFINED               1    1,097,607    0         -
NATIONAL FINANCIAL PARTNERS  COMMON 63607P208   $   4,652     234,707    SH   DEFINED               2      234,707    0         -
NATIONAL FINANCIAL PARTNERS  COMMON 63607P208   $       2          98    SH   DEFINED              22          -      0          98
NATIONAL FINANCIAL PARTNERS  COMMON 63607P208   $     123       6,205    SH   DEFINED              23        6,205    0         -
NATIONAL FUEL GAS CO NJ      COMMON 636180101   $      33         560    SH   DEFINED              14          460    0         100
NATIONAL FUEL GAS CO NJ      COMMON 636180101   $     167       2,811    SH   DEFINED              22          400    0       2,411
NATIONAL FUEL GAS CO NJ      COMMON 636180101   $   6,535     109,865    SH   DEFINED              23      109,865    0         -
NATIONAL FUEL GAS CO NJ      COMMON 636180101   $     279       4,685    SH   DEFINED              24        4,685    0         -
NATIONAL FUEL GAS CO NJ      COMMON 636180101   $      71       1,200    SH   DEFINED               5          -      0       1,200
NATIONAL GRID PLC-SP ADR     COMMON 636274300   $  44,595     675,983    SH   DEFINED              11      675,983    0         -
NATIONAL GRID PLC-SP ADR     COMMON 636274300   $     905      13,711    SH   DEFINED              14       13,711    0         -
NATIONAL GRID PLC-SP ADR     COMMON 636274300   $   8,302     125,851    SH   DEFINED              23      125,851    0         -
NATIONAL GRID PLC-SP ADR     COMMON 636274300   $       2          31    SH   DEFINED               4           31    0         -
NATIONAL HEALTH INVESTORS
REIT                         COMMON 63633D104   $   1,961      68,800    SH   DEFINED              14       49,900    0      18,900
NATIONAL HEALTH INVESTORS
REIT                         COMMON 63633D104   $     147       5,169    SH   DEFINED              23        5,169    0         -
NATIONAL HEALTH INVESTORS
REIT                         COMMON 63633D104   $     334      11,700    SH   DEFINED            5,15       11,700    0         -
NATIONAL HEALTH INVESTORS
REIT                         COMMON 63633D104   $      40       1,400    SH   DEFINED               8        1,400    0         -
NATIONAL HEALTH INVESTORS
REIT                         COMMON 63633D104   $      11         400    SH   DEFINED            8,20          400    0         -
NATIONAL INSTRS CORP         COMMON 636518102   $     241       8,500    SH   DEFINED              13        8,500    0         -
NATIONAL INSTRS CORP         COMMON 636518102   $     241       8,500    SH   DEFINED            13,3        8,500    0         -
NATIONAL INSTRS CORP         COMMON 636518102   $       1          38    SH   DEFINED              22          -      0          38
NATIONAL INSTRS CORP         COMMON 636518102   $     252       8,889    SH   DEFINED              23        8,889    0         -
NATIONAL INSTRS CORP         COMMON 636518102   $  80,134   2,824,601    SH   DEFINED               3    2,824,601    0         -
NATIONAL INSTRS CORP         COMMON 636518102   $     289      10,180    SH   DEFINED               5        7,455    0       2,725
NATIONAL INTERSTATE CORP     COMMON 63654U100   $     185      10,059    SH   DEFINED              23       10,059    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $ 349,421   3,938,471    SH   DEFINED               1    3,938,471    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   1,420      16,000    SH   DEFINED           10,14       16,000    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     263       2,959    SH   DEFINED              13        2,959    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $  15,842     178,559    SH   DEFINED            13,2        2,559    0     176,000
NATIONAL OILWELL VARCO INC   COMMON 637071101   $  48,263     543,990    SH   DEFINED              14      345,590    0     171,600
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     311       3,500    SH   DEFINED           14,13          -      0       3,500
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   4,383      49,400    SH   DEFINED            14,7          -      0      49,400
NATIONAL OILWELL VARCO INC   COMMON 637071101   $  32,206     363,010    SH   DEFINED               2      363,010    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $      35         400    SH   DEFINED           20,14          -      0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   3,819      43,043    SH   DEFINED              22       40,093    0       2,950
NATIONAL OILWELL VARCO INC   COMMON 637071101   $  23,132     260,735    SH   DEFINED              23      260,735    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $      15         173    SH   DEFINED              24          173    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   4,556      51,348    SH   DEFINED             3,1       51,348    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     489       5,510    SH   DEFINED               4        5,510    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   5,029      56,689    SH   DEFINED               5       28,981    0      27,708
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     674       7,600    SH   DEFINED            5,15        7,600    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   2,584      29,125    SH   DEFINED               7       29,125    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     839       9,458    SH   DEFINED               8        9,458    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $   7,470      84,200    SH   DEFINED            8,14       84,200    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     768       8,662    SH   DEFINED             8,2        8,662    0         -
NATIONAL OILWELL VARCO INC   COMMON 637071101   $     160       1,800    SH   DEFINED            9,14          -      0       1,800
NATIONAL PENN BANCSHARES INC COMMON 637138108   $   1,938     145,901    SH   DEFINED              23      145,901    0         -
NATIONAL PENN BANCSHARES INC COMMON 637138108   $      97       7,290    SH   DEFINED               5        1,835    0       5,455
NATIONAL PRESTO INDS INC     COMMON 637215104   $     324       5,053    SH   DEFINED              23        5,053    0         -
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $   2,057      98,400    SH   DEFINED            1,15       98,400    0         -
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $  17,467     835,750    SH   DEFINED              14      586,250    0     246,600
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $     243      11,610    SH   DEFINED              23       11,610    0         -
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $     187       8,940    SH   DEFINED               5        2,540    0       6,400
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $   1,779      85,100    SH   DEFINED            5,15       85,100    0         -
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $      52       2,500    SH   DEFINED            6,14        2,500    0         -
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $   1,168      55,900    SH   DEFINED               8       55,900    0         -
NATIONAL RETAIL PROPERTIES
INC                          COMMON 637417106   $     320      15,300    SH   DEFINED            8,20       15,300    0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $   9,607     467,735    SH   DEFINED               1      467,735    0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $   2,116     103,000    SH   DEFINED            1,15      103,000    0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $     336      16,366    SH   DEFINED              11       16,366    0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $      31       1,500    SH   DEFINED              13        1,500    0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $  17,233     838,990    SH   DEFINED              14      450,790    0     384,100
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $     283      13,800    SH   DEFINED            14,7          -      0      13,800
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $      345      16,815   SH   DEFINED               19       16,815   0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $       31       1,500   SH   DEFINED            20,14          -     0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $    1,121      54,599   SH   DEFINED             20,2       54,599   0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $       89       4,350   SH   DEFINED               22          -     0       4,350
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $    3,232     157,363   SH   DEFINED               23      157,363   0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $        5         242   SH   DEFINED               24          242   0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $        6         278   SH   DEFINED                5          -     0         278
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $      146       7,122   SH   DEFINED                7        7,122   0         -
NATIONAL SEMICONDUCTOR CORP  COMMON 637640103   $      492      23,962   SH   DEFINED                8       23,962   0         -
NATIONAL WESTERN LIFE INS
- CL                         COMMON 638522102   $      382       1,750   SH   DEFINED               14        1,750   0         -
NATIONAL WESTERN LIFE INS
- CL                         COMMON 638522102   $      145         662   SH   DEFINED               23          662   0         -
NATIONAL WESTERN LIFE INS
- CL                         COMMON 638522102   $       76         350   SH   DEFINED             5,15          350   0         -
NATIONWIDE FINANCIAL SERVICESCOMMON 638612101   $      110       2,300   SH   DEFINED               22          -     0       2,300
NATIONWIDE FINANCIAL SERVICESCOMMON 638612101   $    1,036      21,585   SH   DEFINED               23       21,585   0         -
NATIONWIDE FINANCIAL SERVICESCOMMON 638612101   $       37         768   SH   DEFINED               24          768   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $   27,346     868,400   SH   DEFINED             1,15      868,400   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $   84,556   2,685,185   SH   DEFINED               14    1,616,685   0     915,000
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $    1,395      44,300   SH   DEFINED            18,14       44,300   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $      428      13,600   SH   DEFINED            19,14       13,600   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $    3,288     104,400   SH   DEFINED             2,15      104,400   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $       60       1,900   SH   DEFINED               22        1,400   0         500
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $      190       6,030   SH   DEFINED               23        6,030   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $        3         111   SH   DEFINED               24          111   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $      450      14,300   SH   DEFINED             3,15        7,000   0       7,300
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $    6,660     211,500   SH   DEFINED             5,15      211,500   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $       66       2,100   SH   DEFINED             6,14        2,100   0         -
NATIONWIDE HEALTH PPTYS INC  COMMON 638620104   $    1,260      40,000   SH   DEFINED             8,14          -     0      40,000
NATIONWIDE HEALTH PROP PFD
7.7                          CONVERT638620302   $       32         200   SH   DEFINED               22          -     0         200
NAVIGATORS GROUP INC         COMMON 638904102   $      135       2,500   SH   DEFINED               22          -     0       2,500
NAVIGATORS GROUP INC         COMMON 638904102   $    5,178      95,808   SH   DEFINED               23       95,808   0         -
NAVIGATORS GROUP INC         COMMON 638904102   $      210       3,889   SH   DEFINED               24        3,889   0         -
NAVIGATORS GROUP INC         COMMON 638904102   $      143       2,650   SH   DEFINED                5          660   0       1,990
NATURAL RESOURCE PARTNERS LP COMMON 63900P103   $    6,513     158,090   SH   DEFINED               22          -     0     158,090
NATURAL RESOURCE PARTNERS LP COMMON 63900P103   $      173       4,196   SH   DEFINED                5          400   0       3,796
NATUS MEDICAL INC            COMMON 639050103   $        4         189   SH   DEFINED               23          189   0         -
NAUTILUS INC                 COMMON 63910B102   $      109      21,448   SH   DEFINED               23       21,448   0         -
NAUTILUS INC                 COMMON 63910B102   $       19       3,775   SH   DEFINED                5          -     0       3,775
NAVARRE CORP                 COMMON 639208107   $       51      30,908   SH   DEFINED               23       30,908   0         -
NAVISITE INC                 COMMON 63935M208   $        1         231   SH   DEFINED               23          231   0         -
NAVIGANT CONSULTING INC      COMMON 63935N107   $    1,069      54,632   SH   DEFINED               23       54,632   0         -
NAVTEQ CORP                  COMMON 63936L100   $      133       1,725   SH   DEFINED               23        1,725   0         -
NAVTEQ CORP                  COMMON 63936L100   $      133       1,724   SH   DEFINED                7        1,724   0         -
NEENAH PAPER INC             COMMON 640079109   $       41       2,479   SH   DEFINED               23        2,479   0         -
NEKTAR THERAPEUTICS          COMMON 640268108   $    1,691     504,800   SH   DEFINED               14      344,300   0     160,500
NEKTAR THERAPEUTICS          COMMON 640268108   $    4,183   1,248,654   SH   DEFINED               23    1,248,654   0         -
NEKTAR THERAPEUTICS          COMMON 640268108   $        1         400   SH   DEFINED                5          -     0         400
NEKTAR THERAPEUTICS          COMMON 640268108   $      223      66,500   SH   DEFINED             5,15       66,500   0         -
NEKTAR THERAPEUTICS          COMMON 640268108   $      184      54,900   SH   DEFINED                8       54,900   0         -
NEKTAR THERAPEUTICS          COMMON 640268108   $       50      15,000   SH   DEFINED             8,20       15,000   0         -
NELNET INC- CL A             COMMON 64031N108   $        5         410   SH   DEFINED               22          -     0         410
NELNET INC- CL A             COMMON 64031N108   $       75       6,686   SH   DEFINED               23        6,686   0         -
NELNET INC- CL A             COMMON 64031N108   $        1         108   SH   DEFINED               24          108   0         -
NELNET INC- CL A             COMMON 64031N108   $       10         890   SH   DEFINED                5          890   0         -
NEOGEN CORP                  COMMON 640491106   $       34       1,500   SH   DEFINED               22          -     0       1,500
NEOGEN CORP                  COMMON 640491106   $      207       9,037   SH   DEFINED               23        9,037   0         -
NEOGEN CORP                  COMMON 640491106   $       74       3,250   SH   DEFINED                5          -     0       3,250
NESS TECHNOLOGIES INC        COMMON 64104X108   $      292      28,816   SH   DEFINED               23       28,816   0         -
NET 1 UEPS TECHNOLOGIES INC  COMMON 64107N206   $    8,801     362,200   SH   DEFINED               22      351,100   0      11,100
NET 1 UEPS TECHNOLOGIES INC  COMMON 64107N206   $    2,369      97,500   SH   DEFINED               23       97,500   0         -
NET 1 UEPS TECHNOLOGIES INC  COMMON 64107N206   $    2,180      89,725   SH   DEFINED                5       28,100   0      61,625
NET SERVICOS DE COM-PR ADR   COMMON 64109T201   $      337      26,745   SH   DEFINED               23       26,745   0         -
NETAPP INC                   COMMON 64110D104   $   40,877   1,887,195   SH   DEFINED                1    1,887,195   0         -
NETAPP INC                   COMMON 64110D104   $    2,339     107,992   SH   DEFINED                2       11,684   0      96,308
NETAPP INC                   COMMON 64110D104   $    1,121      51,766   SH   DEFINED             20,2       51,766   0         -
NETAPP INC                   COMMON 64110D104   $    3,453     159,430   SH   DEFINED               22       19,775   0     139,655
NETAPP INC                   COMMON 64110D104   $      527      24,334   SH   DEFINED               23       24,334   0         -
NETAPP INC                   COMMON 64110D104   $    2,143      98,949   SH   DEFINED               24       98,949   0         -
NETAPP INC                   COMMON 64110D104   $       22       1,005   SH   DEFINED                5        1,005   0         -
NETAPP INC                   COMMON 64110D104   $      131       6,063   SH   DEFINED                7        6,063   0         -
NETFLIX.COM INC              COMMON 64110L106   $    3,280     125,800   SH   DEFINED               14       53,700   0      71,700
NETFLIX.COM INC              COMMON 64110L106   $    5,305     203,485   SH   DEFINED               23      203,485   0         -
NETFLIX.COM INC              COMMON 64110L106   $      125       4,791   SH   DEFINED               24        4,791   0         -
NETFLIX.COM INC              COMMON 64110L106   $       55       2,100   SH   DEFINED             5,15        2,100   0         -
NETEASE.COM INC ADR          COMMON 64110W102   $    6,654     305,365   SH   DEFINED               23      305,365   0         -
NETGEAR INC                  COMMON 64111Q104   $      272      19,595   SH   DEFINED               23       19,595   0         -
NETSCOUT SYSTEMS INC         COMMON 64115T104   $      261      24,394   SH   DEFINED               23       24,394   0         -
NETSCOUT SYSTEMS INC         COMMON 64115T104   $  110,843  10,378,600   SH   DEFINED                5      849,195   0   9,529,405
NETLOGIC MICROSYSTEMS INC    COMMON 64118B100   $      564      17,000   SH   DEFINED               17       17,000   0         -
NETLOGIC MICROSYSTEMS INC    COMMON 64118B100   $      293       8,836   SH   DEFINED               23        8,836   0         -
NETSUITE INC                 COMMON 64118Q107   $      183       8,032   SH   DEFINED               23        8,032   0         -
NETWORK EQUIPMENT TECH INC   COMMON 641208103   $      121      34,046   SH   DEFINED               23       34,046   0         -
NEUROGEN CORP                COMMON 64124E106        $ -           183   SH   DEFINED               23          183   0         -
NEUBERGER BERMAN INTMD MUNI
CF                           COMMON 64124P101   $       26       2,000   SH   DEFINED               22          -     0       2,000
NEUROMETRIX INC              COMMON 641255104        $ -            90   SH   DEFINED               23           90   0         -
NEUROCRINE BIOSCIENCES INC   COMMON 64125C109   $        8       2,000   SH   DEFINED               22          -     0       2,000
NEUROCRINE BIOSCIENCES INC   COMMON 64125C109   $        1         330   SH   DEFINED               23          330   0         -
NEUSTAR INC- CLASS A         COMMON 64126X201   $    9,434     437,561   SH   DEFINED                1      437,561   0         -
NEUSTAR INC- CLASS A         COMMON 64126X201   $    7,680     356,222   SH   DEFINED                2      356,222   0         -
NEUSTAR INC- CLASS A         COMMON 64126X201   $    2,444     113,362   SH   DEFINED               22      106,333   0       7,029
NEUSTAR INC- CLASS A         COMMON 64126X201   $       50       2,319   SH   DEFINED               23        2,319   0         -
NEUSTAR INC- CLASS A         COMMON 64126X201   $    1,500      69,581   SH   DEFINED                5       51,199   0      18,382
NEUTRAL TANDEM INC           COMMON 64128B108   $        2         108   SH   DEFINED               23          108   0         -
NEW FRONTIER MEDIA INC       COMMON 644398109   $        1         209   SH   DEFINED               23          209   0         -
NEW JERSEY RES               COMMON 646025106   $      387      11,864   SH   DEFINED               23       11,864   0         -
NEW JERSEY RES               COMMON 646025106   $        3         106   SH   DEFINED               24          106   0         -
NEW JERSEY RES               COMMON 646025106   $      292       8,937   SH   DEFINED                5          -     0       8,937
NEW ORIENTAL EDUCATIO-SP ADR COMMON 647581107   $    5,164      88,391   SH   DEFINED               23       88,391   0         -
NEW YORK AND COMPANY         COMMON 649295102   $       77       8,429   SH   DEFINED               23        8,429   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $      278      15,600   SH   DEFINED            10,14       15,600   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $       14         800   SH   DEFINED               13          800   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $    8,670     486,010   SH   DEFINED               14      221,910   0     251,100
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $      780      43,700   SH   DEFINED             14,7          -     0      43,700
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $       14         800   SH   DEFINED            20,14          -     0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $    5,256     294,625   SH   DEFINED               22       31,875   0     262,750
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $    7,067     396,106   SH   DEFINED               23      396,106   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $       11         632   SH   DEFINED               24          632   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $        2         105   SH   DEFINED                4          105   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $      236      13,232   SH   DEFINED                7       13,232   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $      399      22,393   SH   DEFINED                8       22,393   0         -
NEW YORK COMMUNITY BANCORP   COMMON 649445103   $      706      39,600   SH   DEFINED             8,14       39,600   0         -
NEW YORK TIMES CO            COMMON 650111107        $ -            10   SH   DEFINED               22           10   0         -
NEW YORK TIMES CO            COMMON 650111107   $    2,587     168,066   SH   DEFINED               23      168,066   0         -
NEW YORK TIMES CO            COMMON 650111107   $        5         308   SH   DEFINED               24          308   0         -
NEW YORK TIMES CO            COMMON 650111107   $        2         120   SH   DEFINED                4          120   0         -
NEW YORK TIMES CO            COMMON 650111107   $        4         235   SH   DEFINED                5          -     0         235
NEWALLIANCE BANCSHARES INC   COMMON 650203102   $       12       1,000   SH   DEFINED               22          -     0       1,000
NEWALLIANCE BANCSHARES INC   COMMON 650203102   $      168      13,491   SH   DEFINED               23       13,491   0         -
NEWALLIANCE BANCSHARES INC   COMMON 650203102   $      214      17,132   SH   DEFINED                5        7,707   0       9,425
NEWCASTLE INVESTMENT CORP    COMMON 65105M108   $       97      13,768   SH   DEFINED               23       13,768   0         -
NEWCASTLE INVESTMENT CORP    COMMON 65105M108   $        2         251   SH   DEFINED               24          251   0         -
NEWELL RUBBERMAID INC        COMMON 651229106   $       43       2,570   SH   DEFINED               14        2,170   0         400
NEWELL RUBBERMAID INC        COMMON 651229106   $    1,451      86,438   SH   DEFINED               22          -     0      86,438
NEWELL RUBBERMAID INC        COMMON 651229106   $      462      27,531   SH   DEFINED               23       27,531   0         -
NEWELL RUBBERMAID INC        COMMON 651229106   $       10         586   SH   DEFINED               24          586   0         -
NEWELL RUBBERMAID INC        COMMON 651229106   $      348      20,712   SH   DEFINED                5           74   0      20,638
NEWELL RUBBERMAID INC        COMMON 651229106   $       98       5,865   SH   DEFINED                7        5,865   0         -
NEWELL RUBBERMAID INC        COMMON 651229106   $      227      13,508   SH   DEFINED                8       13,508   0         -
NEWFIELD EXPL CO             COMMON 651290108   $   18,811     288,285   SH   DEFINED                1      288,285   0         -
NEWFIELD EXPL CO             COMMON 651290108   $      332       5,092   SH   DEFINED               14        5,092   0         -
NEWFIELD EXPL CO             COMMON 651290108   $   14,433     221,188   SH   DEFINED               22      218,478   0       2,710
NEWFIELD EXPL CO             COMMON 651290108   $      617       9,454   SH   DEFINED               23        9,454   0         -
NEWFIELD EXPL CO             COMMON 651290108   $       34         519   SH   DEFINED               24          519   0         -
NEWFIELD EXPL CO             COMMON 651290108   $   11,214     171,862   SH   DEFINED                4      171,862   0         -
NEWFIELD EXPL CO             COMMON 651290108   $    2,127      32,600   SH   DEFINED                5       14,100   0      18,500
NEWMARKET CORP               COMMON 651587107   $    3,702      55,900   SH   DEFINED               14       28,100   0      27,800
NEWMARKET CORP               COMMON 651587107   $    4,474      67,546   SH   DEFINED               23       67,546   0         -
NEWMARKET CORP               COMMON 651587107   $      563       8,500   SH   DEFINED             5,15        8,500   0         -
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $   19,821     380,000   SH   DEFINED                1      380,000   0         -
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $    3,416      65,490   SH   DEFINED               14       14,190   0      48,900
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $      569      10,900   SH   DEFINED             14,7          -     0      10,900
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $      219       4,200   SH   DEFINED               22          -     0       4,200
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $    2,571      49,295   SH   DEFINED               23       49,295   0         -
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $       17         333   SH   DEFINED               24          333   0         -
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $   11,580     222,000   SH   DEFINED                3      222,000   0         -
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $      224       4,287   SH   DEFINED                5        1,952   0       2,335
NEWMONT MINING CORP HLDG CO  COMMON 651639106   $      652      12,499   SH   DEFINED                7       12,499   0         -
NEWPARK RES INC              COMMON 651718504   $    2,419     307,800   SH   DEFINED               14      224,700   0      83,100
NEWPARK RES INC              COMMON 651718504   $        1         108   SH   DEFINED               22          -     0         108
NEWPARK RES INC              COMMON 651718504   $   13,644   1,735,851   SH   DEFINED               23    1,735,851   0         -
NEWPARK RES INC              COMMON 651718504   $      348      44,300   SH   DEFINED             5,15       44,300   0         -
NEWPARK RES INC              COMMON 651718504   $      295      37,500   SH   DEFINED                8       37,500   0         -
NEWPARK RES INC              COMMON 651718504   $       81      10,300   SH   DEFINED             8,20       10,300   0         -
NEWPORT CORP                 COMMON 651824104   $       85       7,429   SH   DEFINED               23        7,429   0         -
NEWS CORP CL A               COMMON 65248E104   $  102,722   6,829,902   SH   DEFINED                1    6,829,902   0         -
NEWS CORP CL A               COMMON 65248E104   $    2,456     163,310   SH   DEFINED             13,2          -     0     163,310
NEWS CORP CL A               COMMON 65248E104   $    1,308      86,940   SH   DEFINED               14       64,640   0      14,200
NEWS CORP CL A               COMMON 65248E104   $      696      46,300   SH   DEFINED             14,7          -     0      46,300
NEWS CORP CL A               COMMON 65248E104   $      381      25,365   SH   DEFINED               22          -     0      25,365
NEWS CORP CL A               COMMON 65248E104   $   23,255   1,546,193   SH   DEFINED               23    1,546,193   0         -
NEWS CORP CL A               COMMON 65248E104   $       48       3,223   SH   DEFINED               24        3,223   0         -
NEWS CORP CL A               COMMON 65248E104   $        1          85   SH   DEFINED                4           85   0         -
NEWS CORP CL A               COMMON 65248E104   $      206      13,700   SH   DEFINED                5          -     0      13,700
NEWS CORP CL A               COMMON 65248E104   $      458      30,429   SH   DEFINED                7       30,429   0         -
NEWS CORP CL B               COMMON 65248E203   $       26       1,700   SH   DEFINED               22          -     0       1,700
NEWS CORP CL B               COMMON 65248E203   $      466      30,390   SH   DEFINED               23       30,390   0         -
NEWS CORP CL B               COMMON 65248E203   $       10         669   SH   DEFINED               24          669   0         -
NEWS CORP CL B               COMMON 65248E203   $      175      11,425   SH   DEFINED                7       11,425   0         -
NEWS CORP CL B               COMMON 65248E203   $      631      41,086   SH   DEFINED                8       41,086   0         -
NEWS CORP CL B               COMMON 65248E203   $    1,078      70,200   SH   DEFINED              8,2       70,200   0         -
NEWSTAR FINANCIAL INC        COMMON 65251F105   $       92      15,600   SH   DEFINED               14       15,600   0         -
NEWSTAR FINANCIAL INC        COMMON 65251F105   $       17       2,937   SH   DEFINED               23        2,937   0         -
NEWSTAR FINANCIAL INC        COMMON 65251F105   $       20       3,300   SH   DEFINED             5,15        3,300   0         -
NEXTEL COMM (NXTL) CVT
5.25 01                      CONVERT65332VAY9   $   32,907  34,100,000   SH   DEFINED               14          -     0  28,875,000
NEXEN INC                    COMMON 65334H102   $    5,470     136,463   SH   DEFINED                2      136,463   0         -
NEXEN INC                    COMMON 65334H102   $       91       2,300   SH   DEFINED               22          -     0       2,300
NEXEN INC                    COMMON 65334H102   $      389       9,698   SH   DEFINED               23        9,698   0         -
NEXEN INC                    COMMON 65334H102   $       26         644   SH   DEFINED               24          644   0         -
NEXEN INC                    COMMON 65334H102   $   46,321   1,155,700   SH   DEFINED                3    1,155,700   0         -
NEXEN INC                    COMMON 65334H102   $   64,658   1,613,181   SH   DEFINED              3,1    1,613,181   0         -
NEXEN INC                    COMMON 65334H102   $        3          73   SH   DEFINED                4           73   0         -
NEXEN INC                    COMMON 65334H102   $       21         518   SH   DEFINED                5          518   0         -
NEXEN INC                    COMMON 65334H102   $    1,074      26,800   SH   DEFINED                7       26,800   0         -
NEXEN INC                    COMMON 65334H102   $    1,349      33,663   SH   DEFINED                8       33,663   0         -
NEXCEN BRANDS INC            COMMON 653351106        $ -           481   SH   DEFINED               23          481   0         -
NEXSTAR BROADCASTING GROUP
CL                           COMMON 65336K103   $       15       3,604   SH   DEFINED               23        3,604   0         -
NFJ DVD INTEREST & PR STRAT
CE                           COMMON 65337H109   $       23       1,000   SH   DEFINED               22          -     0       1,000
NEXTWAVE WIRELESS INC        COMMON 65337Y102   $      140      34,618   SH   DEFINED               22       30,750   0       3,868
NEXTWAVE WIRELESS INC        COMMON 65337Y102   $        2         605   SH   DEFINED               23          605   0         -
NEXTWAVE WIRELESS INC        COMMON 65337Y102   $      293      72,457   SH   DEFINED                5          -     0      72,457
NICE SYS LTD ADR             COMMON 653656108   $   21,618     731,076   SH   DEFINED                1      731,076   0         -
NICE SYS LTD ADR             COMMON 653656108   $      798      27,000   SH   DEFINED               17       27,000   0         -
NICE SYS LTD ADR             COMMON 653656108   $    9,144     309,233   SH   DEFINED                2      309,233   0         -
NICE SYS LTD ADR             COMMON 653656108   $    1,283      43,400   SH   DEFINED             20,2       43,400   0         -
NICE SYS LTD ADR             COMMON 653656108   $    5,039     170,400   SH   DEFINED                3      170,400   0         -
NICE SYS LTD ADR             COMMON 653656108   $      136       4,600   SH   DEFINED                5        1,175   0       3,425
NICHOLAS-APPLEGATE EQUITY &  COMMON 65370K100   $       18         800   SH   DEFINED                5          800   0         -
NICOR INC                    COMMON 654086107   $   11,665     273,900   SH   DEFINED               14      205,400   0      68,500
NICOR INC                    COMMON 654086107   $    4,698     110,297   SH   DEFINED               23      110,297   0         -
NICOR INC                    COMMON 654086107   $        6         138   SH   DEFINED               24          138   0         -
NICOR INC                    COMMON 654086107   $      126       2,965   SH   DEFINED                5          765   0       2,200
NICOR INC                    COMMON 654086107   $   2,100      49,300    SH   DEFINED            5,15       49,300    0         -
NIDEC CORPORATION ADR        COMMON 654090109   $   1,610      85,776    SH   DEFINED              23       85,776    0         -
NIDEC CORPORATION ADR        COMMON 654090109   $  15,202     809,926    SH   DEFINED               4      809,926    0         -
NIDEC CORPORATION ADR        COMMON 654090109   $      99       5,300    SH   DEFINED               5          -      0       5,300
NIKE INC                     COMMON 654106103   $ 105,541   1,770,524    SH   DEFINED               1    1,770,524    0         -
NIKE INC                     COMMON 654106103   $   4,125      69,200    SH   DEFINED            1,15       69,200    0         -
NIKE INC                     COMMON 654106103   $     984      16,500    SH   DEFINED           10,14       16,500    0         -
NIKE INC                     COMMON 654106103   $      90       1,504    SH   DEFINED            10,7        1,504    0         -
NIKE INC                     COMMON 654106103   $     348       5,841    SH   DEFINED              11        5,841    0         -
NIKE INC                     COMMON 654106103   $      76       1,271    SH   DEFINED              13        1,271    0         -
NIKE INC                     COMMON 654106103   $     595       9,980    SH   DEFINED            13,2          -      0       9,980
NIKE INC                     COMMON 654106103   $  18,193     305,198    SH   DEFINED              14      201,348    0      97,850
NIKE INC                     COMMON 654106103   $   2,867      48,100    SH   DEFINED            14,7          -      0      48,100
NIKE INC                     COMMON 654106103   $     903      15,143    SH   DEFINED              19       15,143    0         -
NIKE INC                     COMMON 654106103   $  18,479     309,991    SH   DEFINED               2      309,991    0         -
NIKE INC                     COMMON 654106103   $     389       6,532    SH   DEFINED              21        6,532    0         -
NIKE INC                     COMMON 654106103   $   9,472     158,903    SH   DEFINED              22       68,055    0      90,848
NIKE INC                     COMMON 654106103   $  15,104     253,380    SH   DEFINED              23      253,380    0         -
NIKE INC                     COMMON 654106103   $      20         337    SH   DEFINED              24          337    0         -
NIKE INC                     COMMON 654106103   $     507       8,512    SH   DEFINED               4        8,512    0         -
NIKE INC                     COMMON 654106103   $   5,687      95,403    SH   DEFINED               5       86,003    0       9,400
NIKE INC                     COMMON 654106103   $     340       5,700    SH   DEFINED               6        5,700    0         -
NIKE INC                     COMMON 654106103   $   1,026      17,210    SH   DEFINED               7       17,210    0         -
NIKE INC                     COMMON 654106103   $  15,324     257,072    SH   DEFINED               8      257,072    0         -
NIKE INC                     COMMON 654106103   $   3,422      57,400    SH   DEFINED            8,14       57,400    0         -
NIKE INC                     COMMON 654106103   $     183       3,071    SH   DEFINED             8,2        3,071    0         -
NIKE INC                     COMMON 654106103   $     433       7,269    SH   DEFINED               9        7,269    0         -
NINETOWNS INTERNET TECH-ADS  COMMON 654407105   $     169      82,375    SH   DEFINED              23       82,375    0         -
99 CENTS ONLY STORES         COMMON 65440K106   $      73      11,109    SH   DEFINED              23       11,109    0         -
99 CENTS ONLY STORES         COMMON 65440K106   $      80      12,155    SH   DEFINED               5        3,055    0       9,100
NTT ADR                      COMMON 654624105   $  43,831   1,803,763    SH   DEFINED              11    1,794,848    0       8,915
NTT ADR                      COMMON 654624105   $     739      30,402    SH   DEFINED              14       30,402    0         -
NTT ADR                      COMMON 654624105   $     192       7,900    SH   DEFINED           19,14        7,900    0         -
NTT ADR                      COMMON 654624105   $      77       3,150    SH   DEFINED              22          -      0       3,150
NTT ADR                      COMMON 654624105   $   2,171      89,336    SH   DEFINED              23       89,336    0         -
NTT ADR                      COMMON 654624105   $       7         293    SH   DEFINED               4          293    0         -
NISOURCE INC                 COMMON 65473P105   $  21,404   1,194,404    SH   DEFINED              11      227,304    0     967,100
NISOURCE INC                 COMMON 65473P105   $   2,774     154,818    SH   DEFINED              14      137,318    0      16,100
NISOURCE INC                 COMMON 65473P105   $      16         875    SH   DEFINED           18,11          875    0         -
NISOURCE INC                 COMMON 65473P105   $     478      26,700    SH   DEFINED           18,14          -      0      26,700
NISOURCE INC                 COMMON 65473P105   $   1,556      86,825    SH   DEFINED           19,14       49,900    0      36,925
NISOURCE INC                 COMMON 65473P105   $      44       2,429    SH   DEFINED              22          800    0       1,629
NISOURCE INC                 COMMON 65473P105   $   1,052      58,692    SH   DEFINED              23       58,692    0         -
NISOURCE INC                 COMMON 65473P105   $      20       1,094    SH   DEFINED              24        1,094    0         -
NISOURCE INC                 COMMON 65473P105   $       8         424    SH   DEFINED               5          -      0         424
NISOURCE INC                 COMMON 65473P105   $     181      10,076    SH   DEFINED               7       10,076    0         -
NISOURCE INC                 COMMON 65473P105   $      99       5,521    SH   DEFINED               8        5,521    0         -
NISOURCE INC                 COMMON 65473P105   $   1,505      83,979    SH   DEFINED            8,14          -      0      83,979
NISSAN MOTORS ADR            COMMON 654744408   $  34,101   2,073,003    SH   DEFINED              11    2,073,003    0         -
NISSAN MOTORS ADR            COMMON 654744408   $     692      42,061    SH   DEFINED              14       42,061    0         -
NISSAN MOTORS ADR            COMMON 654744408   $      64       3,905    SH   DEFINED              22          -      0       3,905
NISSAN MOTORS ADR            COMMON 654744408   $       7         450    SH   DEFINED               5          450    0         -
NOAH EDUCATION HOLDINGS ADR  COMMON 65487R303   $     467      86,446    SH   DEFINED              23       86,446    0         -
NOVA BIOSOURCE FUELS INC     COMMON 65488W103   $   2,448   3,653,995    SH   DEFINED              23    3,653,995    0         -
NOKIA OYJ ADR                COMMON 654902204   $ 204,976   8,366,361    SH   DEFINED               1    8,366,361    0         -
NOKIA OYJ ADR                COMMON 654902204   $  82,320   3,359,988    SH   DEFINED              11    3,341,188    0      18,800
NOKIA OYJ ADR                COMMON 654902204   $   3,727     152,119    SH   DEFINED              14      152,119    0         -
NOKIA OYJ ADR                COMMON 654902204   $     539      22,000    SH   DEFINED              17       22,000    0         -
NOKIA OYJ ADR                COMMON 654902204   $     399      16,300    SH   DEFINED           19,14       16,300    0         -
NOKIA OYJ ADR                COMMON 654902204   $  18,081     737,999    SH   DEFINED               2      737,999    0         -
NOKIA OYJ ADR                COMMON 654902204   $   4,999     204,052    SH   DEFINED            20,2      204,052    0         -
NOKIA OYJ ADR                COMMON 654902204   $   7,447     303,953    SH   DEFINED              22       68,362    0     235,591
NOKIA OYJ ADR                COMMON 654902204   $   3,140     128,170    SH   DEFINED              23      128,170    0         -
NOKIA OYJ ADR                COMMON 654902204   $     216       8,800    SH   DEFINED             3,1        8,800    0         -
NOKIA OYJ ADR                COMMON 654902204   $   8,253     336,841    SH   DEFINED               4      336,841    0         -
NOKIA OYJ ADR                COMMON 654902204   $   5,588     228,076    SH   DEFINED               5      185,541    0      42,535
NOKIA OYJ ADR                COMMON 654902204   $     286      11,675    SH   DEFINED             8,2       11,675    0         -
NOBLE ENERGY INC             COMMON 655044105   $  56,314     560,000    SH   DEFINED               1      560,000    0         -
NOBLE ENERGY INC             COMMON 655044105   $  10,659     106,000    SH   DEFINED            13,2          -      0     106,000
NOBLE ENERGY INC             COMMON 655044105   $  27,548     273,950    SH   DEFINED              14      106,450    0     163,600
NOBLE ENERGY INC             COMMON 655044105   $   1,277      12,700    SH   DEFINED            14,7          -      0      12,700
NOBLE ENERGY INC             COMMON 655044105   $     359       3,568    SH   DEFINED              22          -      0       3,568
NOBLE ENERGY INC             COMMON 655044105   $  19,046     189,401    SH   DEFINED              23      189,401    0         -
NOBLE ENERGY INC             COMMON 655044105   $      35         344    SH   DEFINED              24          344    0         -
NOBLE ENERGY INC             COMMON 655044105   $      21         213    SH   DEFINED               5          108    0         105
NOBLE ENERGY INC             COMMON 655044105   $     257       2,557    SH   DEFINED               7        2,557    0         -
NOBLE INTERNATIONAL LTD      COMMON 655053106   $       1         155    SH   DEFINED              23          155    0         -
NOMURA HOLDINGS INC ADR      COMMON 65535H208   $       2         153    SH   DEFINED              11          153    0         -
NOMURA HOLDINGS INC ADR      COMMON 65535H208   $      11         740    SH   DEFINED              22          -      0         740
NORDSON CORP                 COMMON 655663102   $     189       2,593    SH   DEFINED              23        2,593    0         -
NORDSTROM INC                COMMON 655664100   $   3,960     130,709    SH   DEFINED              22      117,084    0      13,625
NORDSTROM INC                COMMON 655664100   $     735      24,264    SH   DEFINED              23       24,264    0         -
NORDSTROM INC                COMMON 655664100   $       7         233    SH   DEFINED              24          233    0         -
NORDSTROM INC                COMMON 655664100   $   2,303      76,022    SH   DEFINED               5       55,110    0      20,912
NORFOLK SOUTHERN CORP        COMMON 655844108   $      25         400    SH   DEFINED              13          400    0         -
NORFOLK SOUTHERN CORP        COMMON 655844108   $   1,665      26,570    SH   DEFINED              14       20,470    0       3,000
NORFOLK SOUTHERN CORP        COMMON 655844108   $     671      10,700    SH   DEFINED            14,7          -      0      10,700
NORFOLK SOUTHERN CORP        COMMON 655844108   $      25         400    SH   DEFINED           20,14          -      0         -
NORFOLK SOUTHERN CORP        COMMON 655844108   $  11,237     179,307    SH   DEFINED              22       92,855    0      86,452
NORFOLK SOUTHERN CORP        COMMON 655844108   $   7,378     117,720    SH   DEFINED              23      117,720    0         -
NORFOLK SOUTHERN CORP        COMMON 655844108   $      27         436    SH   DEFINED              24          436    0         -
NORFOLK SOUTHERN CORP        COMMON 655844108   $   8,140     129,887    SH   DEFINED               5      110,637    0      19,250
NORFOLK SOUTHERN CORP        COMMON 655844108   $     579       9,241    SH   DEFINED               7        9,241    0         -
NORFOLK SOUTHERN CORP        COMMON 655844108   $   1,170      18,670    SH   DEFINED               8       18,670    0         -
NORTEL NETWORKS CP           COMMON 656568508   $     130      15,849    SH   DEFINED               1       15,849    0         -
NORTEL NETWORKS CP           COMMON 656568508   $      66       7,989    SH   DEFINED               2        7,989    0         -
NORTEL NETWORKS CP           COMMON 656568508   $     218      26,571    SH   DEFINED            20,2       26,571    0         -
NORTEL NETWORKS CP           COMMON 656568508   $     137      16,653    SH   DEFINED               3       16,653    0         -
NORTEL NETWORKS CP           COMMON 656568508   $       1          93    SH   DEFINED               4           93    0         -
NORTEL NETWORKS CP           COMMON 656568508   $      52       6,363    SH   DEFINED               5        6,186    0         177

NORTH AMERICAN GALVANIZING   COMMON 65686Y109   $     358      40,715    SH   DEFINED              23       40,715    0         -
NORTH AMER PALLADIUM LTD     COMMON 656912102   $      12       2,200    SH   DEFINED               5        2,200    0         -
NORTH EUROPEAN OIL RTY
TRUST                        COMMON 659310106   $      22         600    SH   DEFINED              22          600    0         -
NORTH EUROPEAN OIL RTY
TRUST                        COMMON 659310106   $      30         800    SH   DEFINED               5          200    0         600
NORTH VALLEY BANCORP         COMMON 66304M105   $       1          65    SH   DEFINED              23           65    0         -
NORTHEAST UTILS              COMMON 664397106       $ -             6    SH   DEFINED              22          -      0           6
NORTHEAST UTILS              COMMON 664397106   $     543      21,288    SH   DEFINED              23       21,288    0         -
NORTHEAST UTILS              COMMON 664397106   $      10         397    SH   DEFINED              24          397    0         -
NORTHEAST UTILS              COMMON 664397106   $      27       1,038    SH   DEFINED               5        1,038    0         -
NORTHERN DYNASTY MINERALS    COMMON 66510M204   $       5         500    SH   DEFINED              22          500    0         -
NORTHERN TRUST CORP          COMMON 665859104   $     521       7,600    SH   DEFINED           10,14        7,600    0         -
NORTHERN TRUST CORP          COMMON 665859104   $   9,704     141,520    SH   DEFINED              14      106,420    0      29,600
NORTHERN TRUST CORP          COMMON 665859104   $   2,955      43,100    SH   DEFINED            14,7          -      0      43,100
NORTHERN TRUST CORP          COMMON 665859104   $     824      12,020    SH   DEFINED              22          600    0      11,420
NORTHERN TRUST CORP          COMMON 665859104   $  15,144     220,851    SH   DEFINED              23      220,851    0         -
NORTHERN TRUST CORP          COMMON 665859104   $      13         186    SH   DEFINED              24          186    0         -
NORTHERN TRUST CORP          COMMON 665859104   $     405       5,900    SH   DEFINED               5        2,170    0       3,730
NORTHERN TRUST CORP          COMMON 665859104   $     625       9,108    SH   DEFINED               7        9,108    0         -
NORTHERN TRUST CORP          COMMON 665859104   $     547       7,970    SH   DEFINED               8        7,970    0         -
NORTHERN TRUST CORP          COMMON 665859104   $   2,517      36,700    SH   DEFINED            8,14       36,700    0         -
NORTHRIM BANCORP INC         COMMON 666762109   $       1          55    SH   DEFINED              23           55    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $  64,405     962,701    SH   DEFINED               1      962,701    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $   1,581      23,628    SH   DEFINED             1,9       23,628    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $     235       3,509    SH   DEFINED            10,7        3,509    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $  19,555     292,295    SH   DEFINED              11       80,795    0     211,500
NORTHROP GRUMMAN CORP        COMMON 666807102   $     433       6,471    SH   DEFINED              13        6,471    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $   3,372      50,406    SH   DEFINED              14       49,806    0         100
NORTHROP GRUMMAN CORP        COMMON 666807102   $      27         410    SH   DEFINED           18,11          410    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $     428       6,400    SH   DEFINED           18,14          -      0       6,400
NORTHROP GRUMMAN CORP        COMMON 666807102   $   2,676      40,000    SH   DEFINED           19,14       23,000    0      17,000
NORTHROP GRUMMAN CORP        COMMON 666807102   $      25         375    SH   DEFINED              22          205    0         170
NORTHROP GRUMMAN CORP        COMMON 666807102   $  31,852     476,120    SH   DEFINED              23      476,120    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $   1,227      18,342    SH   DEFINED              24       18,342    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $       1          18    SH   DEFINED               4           18    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $     160       2,388    SH   DEFINED               5        1,396    0         992
NORTHROP GRUMMAN CORP        COMMON 666807102   $   1,853      27,697    SH   DEFINED               7       27,697    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $   4,154      62,100    SH   DEFINED               8       62,100    0         -
NORTHROP GRUMMAN CORP        COMMON 666807102   $   1,358      20,300    SH   DEFINED            8,14          -      0      20,300
NORTHROP GRUMMAN CORP        COMMON 666807102   $   1,192      17,819    SH   DEFINED               9       17,819    0         -
NORTHSTAR REALTY FINANCE
COR                          COMMON 66704R100   $      68       8,123    SH   DEFINED              23        8,123    0         -
NORTHSTAR NEUROSCIENCE INC   COMMON 66704V101   $     -           169    SH   DEFINED              23          169    0         -
NORTHWEST BANCORP INC        COMMON 667328108   $   9,865     452,128    SH   DEFINED             1,3      452,128    0         -
NORTHWEST BANCORP INC        COMMON 667328108   $     284      13,000    SH   DEFINED            18,3       13,000    0         -
NORTHWEST BANCORP INC        COMMON 667328108   $     160       7,342    SH   DEFINED              23        7,342    0         -
NORTHWEST BANCORP INC        COMMON 667328108   $   2,540     116,400    SH   DEFINED               3      116,400    0         -
NORTHWEST NATURAL GAS CO     COMMON 667655104   $   3,807      82,300    SH   DEFINED              14       73,400    0       8,900
NORTHWEST NATURAL GAS CO     COMMON 667655104   $   1,968      42,542    SH   DEFINED              23       42,542    0         -
NORTHWEST NATURAL GAS CO     COMMON 667655104   $     426       9,200    SH   DEFINED            5,15        9,200    0         -
NORTHWEST NATURAL GAS CO     COMMON 667655104   $   1,291      27,900    SH   DEFINED               8       27,900    0         -
NORTHWEST NATURAL GAS CO     COMMON 667655104   $     356       7,700    SH   DEFINED            8,20        7,700    0         -
NORTHWEST PIPE CO            COMMON 667746101   $   7,310     131,000    SH   DEFINED               1      131,000    0         -
NORTHWEST PIPE CO            COMMON 667746101   $   3,193      57,230    SH   DEFINED               2       11,030    0      46,200
NORTHWEST PIPE CO            COMMON 667746101   $     368       6,602    SH   DEFINED              23        6,602    0         -
NORTHWESTERN CORP            COMMON 668074305   $     204       8,042    SH   DEFINED              23        8,042    0         -
NOVA CHEMICALS CORP          COMMON 66977W109   $      18         708    SH   DEFINED              23          708    0         -
NOVAMED INC                  COMMON 66986W108   $       1         160    SH   DEFINED              23          160    0         -
NOVAGOLD RESOURCES INC       COMMON 66987E206   $      20       2,400    SH   DEFINED              22          -      0       2,400
NOVATEL WIRELESS INC         COMMON 66987M604   $       1          85    SH   DEFINED              23           85    0         -
NOVABAY PHARMACEUTICALS INC  COMMON 66987P102   $      76      33,750    SH   DEFINED               5       33,750    0         -
NOVARTIS ADR                 COMMON 66987V109   $  26,291     477,668    SH   DEFINED               1      477,668    0         -
NOVARTIS ADR                 COMMON 66987V109   $ 118,459   2,152,231    SH   DEFINED              11    2,140,881    0      11,350
NOVARTIS ADR                 COMMON 66987V109   $   4,715      85,657    SH   DEFINED              14       85,657    0         -
NOVARTIS ADR                 COMMON 66987V109   $     553      10,050    SH   DEFINED           19,14       10,050    0         -
NOVARTIS ADR                 COMMON 66987V109   $   2,061      37,453    SH   DEFINED               2       37,453    0         -
NOVARTIS ADR                 COMMON 66987V109   $  28,828     523,765    SH   DEFINED              22       73,576    0     450,189
NOVARTIS ADR                 COMMON 66987V109   $   7,304     132,700    SH   DEFINED               3      132,700    0         -
NOVARTIS ADR                 COMMON 66987V109   $   6,350     115,379    SH   DEFINED               5       99,044    0      16,335
NU HORIZONS ELEC CORP        COMMON 669908105   $      40       8,198    SH   DEFINED              23        8,198    0         -
NOVAVAX INC                  COMMON 670002104   $       1         538    SH   DEFINED              23          538    0         -
NOVELL INC                   COMMON 670006105   $   1,137     193,000    SH   DEFINED            1,15      193,000    0         -
NOVELL INC                   COMMON 670006105   $     405      68,800    SH   DEFINED           10,14       68,800    0         -
NOVELL INC                   COMMON 670006105   $  29,260   4,967,820    SH   DEFINED              14    2,606,270    0   2,278,050
NOVELL INC                   COMMON 670006105   $     250      42,400    SH   DEFINED           14,13          -      0      42,400
NOVELL INC                   COMMON 670006105   $   1,066     181,000    SH   DEFINED            14,7          -      0     181,000
NOVELL INC                   COMMON 670006105   $   3,974     674,676    SH   DEFINED              23      674,676    0         -
NOVELL INC                   COMMON 670006105   $     564      95,700    SH   DEFINED            5,15       95,700    0         -
NOVELL INC                   COMMON 670006105   $     220      37,393    SH   DEFINED               7       37,393    0         -
NOVELL INC                   COMMON 670006105   $     373      63,337    SH   DEFINED               8       63,337    0         -
NOVELL INC                   COMMON 670006105   $   2,011     341,400    SH   DEFINED            8,14      341,400    0         -
NOVELL INC                   COMMON 670006105   $     136      23,100    SH   DEFINED            9,14          -      0      23,100
NOVELLUS SYSTEMS INC         COMMON 670008101   $   6,128     289,200    SH   DEFINED              14      112,600    0     175,600
NOVELLUS SYSTEMS INC         COMMON 670008101   $     207       9,790    SH   DEFINED              23        9,790    0         -
NOVELLUS SYSTEMS INC         COMMON 670008101   $       3         126    SH   DEFINED              24          126    0         -
NOVEN PHARMACEUTICALS INC    COMMON 670009109   $   2,264     211,800    SH   DEFINED              14      146,900    0      64,900
NOVEN PHARMACEUTICALS INC    COMMON 670009109   $       2         215    SH   DEFINED              23          215    0         -
NOVEN PHARMACEUTICALS INC    COMMON 670009109   $     379      35,500    SH   DEFINED            5,15       35,500    0         -
NOVO-NORDISK A-S ADR         COMMON 670100205   $      96       1,452    SH   DEFINED              22          -      0       1,452
NOVO-NORDISK A-S ADR         COMMON 670100205   $   5,517      83,593    SH   DEFINED              23       83,593    0         -
NOVO-NORDISK A-S ADR         COMMON 670100205   $  20,078     304,208    SH   DEFINED               4      304,208    0         -
NOVO-NORDISK A-S ADR         COMMON 670100205   $     208       3,150    SH   DEFINED               5          -      0       3,150
NU SKIN ENTERPRISES INC      COMMON 67018T105   $   1,247      83,600    SH   DEFINED              14       56,300    0      27,300
NU SKIN ENTERPRISES INC      COMMON 67018T105   $   3,314     222,135    SH   DEFINED              23      222,135    0         -
NU SKIN ENTERPRISES INC      COMMON 67018T105   $     204      13,653    SH   DEFINED              24       13,653    0         -
NU SKIN ENTERPRISES INC      COMMON 67018T105   $     121       8,100    SH   DEFINED            5,15        8,100    0         -
NU SKIN ENTERPRISES INC      COMMON 67018T105   $     339      22,700    SH   DEFINED               8       22,700    0         -
NU SKIN ENTERPRISES INC      COMMON 67018T105   $      93       6,200    SH   DEFINED            8,20        6,200    0         -
NSTAR                        COMMON 67019E107   $     128       3,780    SH   DEFINED              14        3,080    0         700
NSTAR                        COMMON 67019E107   $   1,575      46,563    SH   DEFINED              23       46,563    0         -
NSTAR                        COMMON 67019E107   $       8         236    SH   DEFINED              24          236    0         -
NSTAR                        COMMON 67019E107   $     329       9,740    SH   DEFINED               5        8,540    0       1,200



NTELOS HOLDINGS CORP         COMMON 67020Q107   $   4,063     160,168    SH   DEFINED               1      160,168    0         -
NTELOS HOLDINGS CORP         COMMON 67020Q107   $     972      38,300    SH   DEFINED              14       26,700    0      11,600
NTELOS HOLDINGS CORP         COMMON 67020Q107   $   2,203      86,832    SH   DEFINED               2       30,438    0      56,394
NTELOS HOLDINGS CORP         COMMON 67020Q107   $     790      31,128    SH   DEFINED              23       31,128    0         -
NTELOS HOLDINGS CORP         COMMON 67020Q107   $      91       3,600    SH   DEFINED            5,15        3,600    0         -
NTELOS HOLDINGS CORP         COMMON 67020Q107   $     226       8,900    SH   DEFINED               8        8,900    0         -
NTELOS HOLDINGS CORP         COMMON 67020Q107   $      61       2,400    SH   DEFINED            8,20        2,400    0         -
NUANCE COMMUNICATIONS INC    COMMON 67020Y100   $   6,520     416,074    SH   DEFINED               1      416,074    0         -
NUANCE COMMUNICATIONS INC    COMMON 67020Y100   $   1,597     101,928    SH   DEFINED            20,2      101,928    0         -
NUANCE COMMUNICATIONS INC    COMMON 67020Y100   $  25,206   1,608,576    SH   DEFINED              22    1,520,425    0      88,151
NUANCE COMMUNICATIONS INC    COMMON 67020Y100   $     144       9,182    SH   DEFINED              23        9,182    0         -
NUANCE COMMUNICATIONS INC    COMMON 67020Y100   $   4,352     277,700    SH   DEFINED               5      114,800    0     162,900
NUCOR CORP                   COMMON 670346105   $     799      10,700    SH   DEFINED            1,15       10,700    0         -
NUCOR CORP                   COMMON 670346105   $     231       3,100    SH   DEFINED           10,14        3,100    0         -
NUCOR CORP                   COMMON 670346105   $      30         400    SH   DEFINED              13          400    0         -
NUCOR CORP                   COMMON 670346105   $   4,317      57,820    SH   DEFINED              14       16,820    0      38,900
NUCOR CORP                   COMMON 670346105   $     657       8,800    SH   DEFINED            14,7          -      0       8,800
NUCOR CORP                   COMMON 670346105   $      30         400    SH   DEFINED           20,14          -      0         -
NUCOR CORP                   COMMON 670346105   $   6,163      82,531    SH   DEFINED              22          185    0      82,346
NUCOR CORP                   COMMON 670346105   $   4,416      59,141    SH   DEFINED              23       59,141    0         -
NUCOR CORP                   COMMON 670346105   $      24         326    SH   DEFINED              24          326    0         -
NUCOR CORP                   COMMON 670346105   $     951      12,732    SH   DEFINED               5        7,009    0       5,723
NUCOR CORP                   COMMON 670346105   $     422       5,652    SH   DEFINED               7        5,652    0         -
NUCOR CORP                   COMMON 670346105   $     858      11,493    SH   DEFINED               8       11,493    0         -
NUSTAR ENERGY LP             COMMON 67058H102   $   2,731      55,731    SH   DEFINED              22        1,300    0      54,431
NUSTAR ENERGY LP             COMMON 67058H102   $  36,165     738,070    SH   DEFINED               5      714,362    0      23,708
NUSTAR GP HOLDINGS LLC       COMMON 67059L102   $     437      20,161    SH   DEFINED              22          -      0      20,161
NUSTAR GP HOLDINGS LLC       COMMON 67059L102   $   8,968     413,841    SH   DEFINED               5      398,769    0      15,072
NUTRACEUTICAL INTL CORP      COMMON 67060Y101   $       1          97    SH   DEFINED              23           97    0         -
NUVEEN INSD CALIF PREM INC 2
C                            COMMON 67061U108   $      26       1,972    SH   DEFINED              22          -      0       1,972
NUVEEN CAL MUNI MKT OPPOR FD
C                            COMMON 67062U107   $       3         200    SH   DEFINED              22          -      0         200
NVIDIA CORP                  COMMON 67066G104   $  50,010   2,671,452    SH   DEFINED               1    2,671,452    0         -
NVIDIA CORP                  COMMON 67066G104   $  15,333     819,050    SH   DEFINED              11      197,150    0     621,900
NVIDIA CORP                  COMMON 67066G104   $   1,644      87,812    SH   DEFINED              14       87,812    0         -
NVIDIA CORP                  COMMON 67066G104   $     431      23,000    SH   DEFINED              17       23,000    0         -
NVIDIA CORP                  COMMON 67066G104   $      10         550    SH   DEFINED           18,11          550    0         -
NVIDIA CORP                  COMMON 67066G104   $     344      18,400    SH   DEFINED           18,14          -      0      18,400
NVIDIA CORP                  COMMON 67066G104   $   1,039      55,500    SH   DEFINED           19,14       30,900    0      24,600
NVIDIA CORP                  COMMON 67066G104   $   2,093     111,783    SH   DEFINED               2      111,783    0         -
NVIDIA CORP                  COMMON 67066G104   $   2,011     107,420    SH   DEFINED            20,2      107,420    0         -
NVIDIA CORP                  COMMON 67066G104   $   6,645     354,982    SH   DEFINED              22      263,215    0      91,767
NVIDIA CORP                  COMMON 67066G104   $     302      16,147    SH   DEFINED              23       16,147    0         -
NVIDIA CORP                  COMMON 67066G104   $   2,808     149,991    SH   DEFINED              24      149,991    0         -
NVIDIA CORP                  COMMON 67066G104   $   1,424      76,050    SH   DEFINED               3       76,050    0         -
NVIDIA CORP                  COMMON 67066G104   $   3,563     190,341    SH   DEFINED               5      133,908    0      56,433
NVIDIA CORP                  COMMON 67066G104   $     142       7,576    SH   DEFINED               7        7,576    0         -
NVIDIA CORP                  COMMON 67066G104   $   1,086      58,000    SH   DEFINED            8,14          -      0      58,000
NVIDIA CORP                  COMMON 67066G104   $      87       4,641    SH   DEFINED             8,2        4,641    0         -
NUVEEN DVD ADVATAGE MUNI FD
CF                           COMMON 67066V101   $      23       1,694    SH   DEFINED              22          -      0       1,694
NUTRISYSTEM INC              COMMON 67069D108   $  33,990   2,403,800    SH   DEFINED             1,3    2,403,800    0         -
NUTRISYSTEM INC              COMMON 67069D108   $     851      60,200    SH   DEFINED            18,3       60,200    0         -
NUTRISYSTEM INC              COMMON 67069D108   $      46       3,236    SH   DEFINED              23        3,236    0         -
NUTRISYSTEM INC              COMMON 67069D108   $   8,669     613,100    SH   DEFINED               3      613,100    0         -
NUTRISYSTEM INC              COMMON 67069D108   $       1          95    SH   DEFINED               5          -      0          95
NUVEEN CA DVD ADV MUNI FD 2
CE                           COMMON 67069X104   $      13       1,000    SH   DEFINED              22          -      0       1,000
NUVEEN EQUITY PREMIUM INCOME
 C                           COMMON 6706ER101   $      20       1,259    SH   DEFINED              22          -      0       1,259
NUVEEN PREMIUM INC MUNI FD 4
C                            COMMON 6706K4105   $       8         726    SH   DEFINED              22          -      0         726
NUVASIVE INC                 COMMON 670704105   $  20,398     456,731    SH   DEFINED               1      456,731    0         -
NUVASIVE INC                 COMMON 670704105   $  16,639     372,563    SH   DEFINED               2      372,563    0         -
NUVASIVE INC                 COMMON 670704105   $     161       3,600    SH   DEFINED              22          -      0       3,600
NUVEEN QUALITY PREFERRED II
CF                           COMMON 67072C105   $      30       2,700    SH   DEFINED              22          -      0       2,700
NUVEEN NORTH CAROLINA DVD 3
CE                           COMMON 67072D103   $      18       1,292    SH   DEFINED              22          -      0       1,292
NUVELO INC                   COMMON 67072M301       $ -           463    SH   DEFINED              23          463    0         -
NXSTAGE MEDICAL INC          COMMON 67072V103   $      15       4,000    SH   DEFINED              22          -      0       4,000
NXSTAGE MEDICAL INC          COMMON 67072V103   $       1         240    SH   DEFINED              23          240    0         -
O CHARLEYS INC               COMMON 670823103   $      28       2,800    SH   DEFINED              14        2,800    0         -
O CHARLEYS INC               COMMON 670823103   $     296      29,442    SH   DEFINED              23       29,442    0         -
OGE ENERGY CORP              COMMON 670837103   $   3,203     101,000    SH   DEFINED               1      101,000    0         -
OGE ENERGY CORP              COMMON 670837103   $     280       8,840    SH   DEFINED              14        8,340    0         500
OGE ENERGY CORP              COMMON 670837103   $     590      18,605    SH   DEFINED              22          605    0      18,000
OGE ENERGY CORP              COMMON 670837103   $     473      14,922    SH   DEFINED              23       14,922    0         -
OGE ENERGY CORP              COMMON 670837103   $       7         218    SH   DEFINED              24          218    0         -
OM GROUP INC                 COMMON 670872100   $   3,469     105,800    SH   DEFINED              14       72,800    0      33,000
OM GROUP INC                 COMMON 670872100   $  32,007     976,136    SH   DEFINED              23      976,136    0         -
OM GROUP INC                 COMMON 670872100   $     109       3,310    SH   DEFINED               5          855    0       2,455
OM GROUP INC                 COMMON 670872100   $     584      17,800    SH   DEFINED            5,15       17,800    0         -
NUVEEN MUNICIPAL VALUE FUND
CF                           COMMON 670928100   $      10       1,000    SH   DEFINED               5        1,000    0         -
OSI PHARMACEUTICALS INC      COMMON 671040103   $  34,298     830,066    SH   DEFINED               1      830,066    0         -
OSI PHARMACEUTICALS INC      COMMON 671040103   $  21,342     516,500    SH   DEFINED              14      234,000    0     277,500
OSI PHARMACEUTICALS INC      COMMON 671040103   $     264       6,400    SH   DEFINED            14,7          -      0       6,400
OSI PHARMACEUTICALS INC      COMMON 671040103   $      45       1,100    SH   DEFINED              17        1,100    0         -
OSI PHARMACEUTICALS INC      COMMON 671040103   $   1,356      32,827    SH   DEFINED               2       32,827    0         -
OSI PHARMACEUTICALS INC      COMMON 671040103   $   1,381      33,415    SH   DEFINED            20,2          -      0      33,415
OSI PHARMACEUTICALS INC      COMMON 671040103   $  10,802     261,429    SH   DEFINED              23      261,429    0         -
OSI PHARMACEUTICALS INC      COMMON 671040103   $     194       4,700    SH   DEFINED            5,15        4,700    0         -
OSI SYSTEMS INC              COMMON 671044105   $   4,597     214,628    SH   DEFINED               1      214,628    0         -
OSI SYSTEMS INC              COMMON 671044105   $   2,251     105,074    SH   DEFINED               2       28,838    0      76,236
OSI SYSTEMS INC              COMMON 671044105   $     742      34,620    SH   DEFINED              23       34,620    0         -
OYO GEOSPACE CORP            COMMON 671074102   $       2          39    SH   DEFINED              23           39    0         -
O2MICRO INTERNATIONAL-ADR    COMMON 67107W100   $     195      29,293    SH   DEFINED              23       29,293    0         -
OBAGI MEDICAL PRODUCTS INC   COMMON 67423R108   $       1          76    SH   DEFINED              23           76    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $ 458,899   5,106,822    SH   DEFINED               1    5,106,822    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $  11,493     127,900    SH   DEFINED            1,15      127,900    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   3,073      34,200    SH   DEFINED           10,14       34,200    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $     244       2,710    SH   DEFINED              11        2,710    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $     282       3,134    SH   DEFINED              13        3,134    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $  26,053     289,934    SH   DEFINED            13,2        1,934    0     288,000
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $ 180,136   2,004,628    SH   DEFINED              14    1,367,028    0     561,800
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   3,927      43,700    SH   DEFINED           14,13          -      0      43,700
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $  10,729     119,400    SH   DEFINED            14,7          -      0     119,400



OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   1,377      15,329    SH   DEFINED              19       15,329    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $  36,182     402,647    SH   DEFINED               2      402,647    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $     207       2,300    SH   DEFINED           20,14          -      0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   2,084      23,197    SH   DEFINED              21       23,197    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $     341       3,793    SH   DEFINED              22          -      0       3,793
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $  46,232     514,487    SH   DEFINED              23      514,487    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   2,287      25,454    SH   DEFINED              24       25,454    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $     755       8,400    SH   DEFINED               3        8,400    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   3,631      40,404    SH   DEFINED             3,1       40,404    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   1,028      11,438    SH   DEFINED               4       11,438    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   1,474      16,400    SH   DEFINED               5       11,297    0       5,103
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   8,851      98,500    SH   DEFINED            5,15       98,500    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   1,833      20,400    SH   DEFINED               6       20,400    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   6,978      77,649    SH   DEFINED               7       77,649    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   7,170      79,792    SH   DEFINED               8       79,792    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $  18,781     209,000    SH   DEFINED            8,14      209,000    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $     721       8,024    SH   DEFINED             8,2        8,024    0         -
OCCIDENTAL PETROLEUM CORP    COMMON 674599105   $   2,130      23,700    SH   DEFINED            9,14          -      0      23,700
OCEAN POWER TECHNOLOGIES INC COMMON 674870308   $   3,770     413,369    SH   DEFINED              23      413,369    0         -
OCEANEERING INTL INC         COMMON 675232102   $  67,051     870,224    SH   DEFINED               1      870,224    0         -
OCEANEERING INTL INC         COMMON 675232102   $  11,558     150,000    SH   DEFINED            13,2          -      0     150,000
OCEANEERING INTL INC         COMMON 675232102   $     100       1,300    SH   DEFINED              14        1,300    0         -
OCEANEERING INTL INC         COMMON 675232102   $   4,013      52,078    SH   DEFINED               2       20,479    0      31,599
OCEANEERING INTL INC         COMMON 675232102   $   5,179      67,221    SH   DEFINED              22       62,670    0       4,551
OCEANEERING INTL INC         COMMON 675232102   $     235       3,054    SH   DEFINED              23        3,054    0         -
OCEANEERING INTL INC         COMMON 675232102   $   3,202      41,562    SH   DEFINED               5       29,990    0      11,572
OCEANFIRST FINANCIAL CORP    COMMON 675234108   $     668      37,000    SH   DEFINED              14       27,100    0       9,900
OCEANFIRST FINANCIAL CORP    COMMON 675234108   $      38       2,097    SH   DEFINED              23        2,097    0         -
OCEANFIRST FINANCIAL CORP    COMMON 675234108   $     121       6,700    SH   DEFINED            5,15        6,700    0         -
OCH-ZIFF CAPITAL MANAGEMEN-A COMMON 67551U105   $     299      14,499    SH   DEFINED              23       14,499    0         -
OCH-ZIFF CAPITAL MANAGEMEN-A COMMON 67551U105   $       5         266    SH   DEFINED              24          266    0         -
OCWEN FINANCIAL CORP         COMMON 675746309   $      76      16,343    SH   DEFINED              23       16,343    0         -
ODYSSEY MARINE EXPLORATION   COMMON 676118102   $       2         414    SH   DEFINED              23          414    0         -
ODYSSEY HEALTHCARE INC       COMMON 67611V101   $      48       4,917    SH   DEFINED              23        4,917    0         -
ODYSSEY RE HOLDINGS CORP     COMMON 67612W108   $     224       6,300    SH   DEFINED               1        6,300    0         -
ODYSSEY RE HOLDINGS CORP     COMMON 67612W108   $     131       3,700    SH   DEFINED            1,15        3,700    0         -
ODYSSEY RE HOLDINGS CORP     COMMON 67612W108   $       7         200    SH   DEFINED              14          200    0         -
ODYSSEY RE HOLDINGS CORP     COMMON 67612W108   $   4,194     118,147    SH   DEFINED              23      118,147    0         -
ODYSSEY RE HOLDINGS CORP     COMMON 67612W108   $     187       5,268    SH   DEFINED              24        5,268    0         -
OFFICE DEPOT INC             COMMON 676220106   $       7         680    SH   DEFINED              22          -      0         680
OFFICE DEPOT INC             COMMON 676220106   $     695      63,497    SH   DEFINED              23       63,497    0         -
OFFICE DEPOT INC             COMMON 676220106   $      15       1,363    SH   DEFINED              24        1,363    0         -
OFFICE DEPOT INC             COMMON 676220106   $      26       2,342    SH   DEFINED               5        2,110    0         232
OFFICE DEPOT INC             COMMON 676220106   $      68       6,237    SH   DEFINED               7        6,237    0         -
OFFICEMAX INC                COMMON 67622P101   $       4         263    SH   DEFINED              22          -      0         263
OFFICEMAX INC                COMMON 67622P101   $     272      19,563    SH   DEFINED              23       19,563    0         -
OFFICEMAX INC                COMMON 67622P101   $       5         382    SH   DEFINED              24          382    0         -
OFFICEMAX INC                COMMON 67622P101   $      74       5,305    SH   DEFINED               5        1,330    0       3,975
OIL SERVICE HOLDERS          COMMON 678002106   $      21         100    SH   DEFINED              22          -      0         100
OIL STATES INTERNATIONAL INC COMMON 678026105   $   7,981     125,800    SH   DEFINED              14       72,700    0      53,100
OIL STATES INTERNATIONAL INC COMMON 678026105   $  13,377     210,858    SH   DEFINED              23      210,858    0         -
OIL STATES INTERNATIONAL INC COMMON 678026105   $   1,034      16,300    SH   DEFINED            5,15       16,300    0         -
OIL STATES INTERNATIONAL INC COMMON 678026105   $     679      10,700    SH   DEFINED               8       10,700    0         -
OIL STATES INTERNATIONAL INC COMMON 678026105   $     184       2,900    SH   DEFINED            8,20        2,900    0         -
OLD DOMINION FREIGHT LINE    COMMON 679580100   $     893      29,749    SH   DEFINED              23       29,749    0         -
OLD NATL BANCORP             COMMON 680033107   $     871      61,100    SH   DEFINED              14       61,100    0         -
OLD NATL BANCORP             COMMON 680033107   $   5,252     368,294    SH   DEFINED              23      368,294    0         -
OLD NATL BANCORP             COMMON 680033107   $      60       4,200    SH   DEFINED            5,15        4,200    0         -
OLD NATL BANCORP             COMMON 680033107   $     399      28,000    SH   DEFINED               8       28,000    0         -
OLD NATL BANCORP             COMMON 680033107   $     110       7,700    SH   DEFINED            8,20        7,700    0         -
OLD REPUBLIC INTERNATIONAL
COR                          COMMON 680223104   $     742      62,641    SH   DEFINED              22          -      0      62,641
OLD REPUBLIC INTERNATIONAL
COR                          COMMON 680223104   $     564      47,598    SH   DEFINED              23       47,598    0         -
OLD REPUBLIC INTERNATIONAL
COR                          COMMON 680223104   $      10         803    SH   DEFINED              24          803    0         -
OLD REPUBLIC INTERNATIONAL
COR                          COMMON 680223104   $     306      25,869    SH   DEFINED               5        4,030    0      21,839
OLD REPUBLIC INTERNATIONAL
COR                          COMMON 680223104   $      54       4,588    SH   DEFINED               7        4,588    0         -
OLD SECOND BANCORP INC       COMMON 680277100   $      30       2,567    SH   DEFINED              23        2,567    0         -
OLIN CORP                    COMMON 680665205   $   4,450     169,968    SH   DEFINED              23      169,968    0         -
OLIN CORP                    COMMON 680665205   $       4         155    SH   DEFINED              24          155    0         -
OLYMPIC STEEL INC            COMMON 68162K106   $   4,904      64,600    SH   DEFINED              14       34,400    0      30,200
OLYMPIC STEEL INC            COMMON 68162K106   $   2,158      28,422    SH   DEFINED              23       28,422    0         -
OLYMPIC STEEL INC            COMMON 68162K106   $     706       9,300    SH   DEFINED            5,15        9,300    0         -
OMNICARE INC                 COMMON 681904108   $     128       4,900    SH   DEFINED           10,14        4,900    0         -
OMNICARE INC                 COMMON 681904108   $      37       1,400    SH   DEFINED              13        1,400    0         -
OMNICARE INC                 COMMON 681904108   $  29,686   1,132,200    SH   DEFINED              14      470,000    0     655,100
OMNICARE INC                 COMMON 681904108   $     370      14,100    SH   DEFINED            14,7          -      0      14,100
OMNICARE INC                 COMMON 681904108   $      58       2,200    SH   DEFINED           20,14          -      0         -
OMNICARE INC                 COMMON 681904108   $     393      14,994    SH   DEFINED              23       14,994    0         -
OMNICARE INC                 COMMON 681904108   $       8         293    SH   DEFINED              24          293    0         -
OMNICARE INC                 COMMON 681904108   $       3         111    SH   DEFINED               5          -      0         111
OMNICARE INC                 COMMON 681904108   $     236       9,000    SH   DEFINED               8        9,000    0         -
OMNICARE INC                 COMMON 681904108   $     771      29,400    SH   DEFINED            8,14       29,400    0         -
OMNICARE INC                 COMMON 681904108   $      66       2,500    SH   DEFINED            8,20        2,500    0         -
OMNICOM GROUP                COMMON 681919106   $ 197,272   4,395,549    SH   DEFINED               1    4,395,549    0         -
OMNICOM GROUP                COMMON 681919106   $     655      14,600    SH   DEFINED           10,14       14,600    0         -
OMNICOM GROUP                COMMON 681919106   $      18         400    SH   DEFINED              13          400    0         -
OMNICOM GROUP                COMMON 681919106   $   3,397      75,683    SH   DEFINED            13,2          -      0      75,683
OMNICOM GROUP                COMMON 681919106   $  36,740     818,618    SH   DEFINED              14      572,518    0     217,800
OMNICOM GROUP                COMMON 681919106   $     422       9,400    SH   DEFINED           14,13          -      0       9,400
OMNICOM GROUP                COMMON 681919106   $   3,756      83,700    SH   DEFINED            14,7          -      0      83,700
OMNICOM GROUP                COMMON 681919106   $      67       1,500    SH   DEFINED           20,14          -      0         -
OMNICOM GROUP                COMMON 681919106   $       4          92    SH   DEFINED              21           92    0         -
OMNICOM GROUP                COMMON 681919106   $   9,014     200,854    SH   DEFINED              22       76,763    0     124,091
OMNICOM GROUP                COMMON 681919106   $   3,687      82,157    SH   DEFINED              23       82,157    0         -
OMNICOM GROUP                COMMON 681919106   $      17         380    SH   DEFINED              24          380    0         -
OMNICOM GROUP                COMMON 681919106   $   6,676     148,750    SH   DEFINED               3      148,750    0         -
OMNICOM GROUP                COMMON 681919106   $  18,770     418,217    SH   DEFINED               4      418,217    0         -
OMNICOM GROUP                COMMON 681919106   $   8,978     200,036    SH   DEFINED               5      167,057    0      32,979
OMNICOM GROUP                COMMON 681919106   $     929      20,700    SH   DEFINED            5,15       20,700    0         -
OMNICOM GROUP                COMMON 681919106   $     941      20,958    SH   DEFINED               7       20,958    0         -
OMNICOM GROUP                COMMON 681919106   $   1,929      42,990    SH   DEFINED               8       42,990    0         -




OMNICOM GROUP                COMMON 681919106   $   4,165      92,800    SH   DEFINED            8,14       92,800    0         -
OMNICOM GROUP                COMMON 681919106   $     224       5,000    SH   DEFINED            9,14          -      0       5,000
OMEGA HEALTHCARE INVS INC    COMMON 681936100   $   8,861     532,200    SH   DEFINED              14      368,400    0     163,800
OMEGA HEALTHCARE INVS INC    COMMON 681936100   $     175      10,500    SH   DEFINED              22          -      0      10,500
OMEGA HEALTHCARE INVS INC    COMMON 681936100   $     102       6,141    SH   DEFINED              23        6,141    0         -
OMEGA HEALTHCARE INVS INC    COMMON 681936100   $   1,092      65,600    SH   DEFINED               5       41,100    0      24,500
OMEGA HEALTHCARE INVS INC    COMMON 681936100   $   1,499      90,000    SH   DEFINED            5,15       90,000    0         -
OMEGA HEALTHCARE INVS INC    COMMON 681936100   $      18       1,100    SH   DEFINED            6,14        1,100    0         -
OMRIX BIOPHARMACEUTICALS INC COMMON 681989109   $       2         110    SH   DEFINED              23          110    0         -
OMEGA FLEX INC               COMMON 682095104       $ -            27    SH   DEFINED              23           27    0         -
OMEGA PROTEIN CORP           COMMON 68210P107   $     451      30,200    SH   DEFINED              14       21,300    0       8,900
OMEGA PROTEIN CORP           COMMON 68210P107   $     253      16,903    SH   DEFINED              23       16,903    0         -
OMEGA PROTEIN CORP           COMMON 68210P107   $      73       4,900    SH   DEFINED            5,15        4,900    0         -
OMNIVISION TECHNOLOGIES      COMMON 682128103   $   1,715     141,822    SH   DEFINED              23      141,822    0         -
OMNOVA SOLUTIONS INC         COMMON 682129101   $      45      16,200    SH   DEFINED              23       16,200    0         -
OMNITURE INC                 COMMON 68212S109   $   9,541     513,803    SH   DEFINED               1      513,803    0         -
OMNITURE INC                 COMMON 68212S109   $   3,503     188,638    SH   DEFINED               2      188,638    0         -
OMNITURE INC                 COMMON 68212S109   $     582      31,331    SH   DEFINED            20,2       31,331    0         -
OMNITURE INC                 COMMON 68212S109       $ -            12    SH   DEFINED              22          -      0          12
OMNITURE INC                 COMMON 68212S109   $      25       1,356    SH   DEFINED              23        1,356    0         -
OMNICELL INC                 COMMON 68213N109   $   5,656     429,127    SH   DEFINED               1      429,127    0         -
OMNICELL INC                 COMMON 68213N109   $   3,299     250,266    SH   DEFINED               2       98,038    0     152,228
OMNICELL INC                 COMMON 68213N109   $       4         302    SH   DEFINED              23          302    0         -
ON ASSIGNMENT INC            COMMON 682159108   $       2         310    SH   DEFINED              23          310    0         -
ON SEMICONDUCTOR CORPORATION COMMON 682189105   $  40,852   4,454,936    SH   DEFINED               1    4,454,936    0         -
ON SEMICONDUCTOR CORPORATION COMMON 682189105   $   1,799     196,236    SH   DEFINED               2       22,873    0     173,363
ON SEMICONDUCTOR CORPORATION COMMON 682189105   $   1,555     169,580    SH   DEFINED            20,2      169,580    0         -
ON SEMICONDUCTOR CORPORATION COMMON 682189105   $       1         100    SH   DEFINED              22          -      0         100
ON SEMICONDUCTOR CORPORATION COMMON 682189105   $     489      53,304    SH   DEFINED              23       53,304    0         -
ONCOLYTICS BIOTECH INC       COMMON 682310107   $      12       5,100    SH   DEFINED              22          -      0       5,100
ONE LIBERTY PPTYS INC        COMMON 682406103   $     404      24,800    SH   DEFINED              14       18,500    0       6,300
ONE LIBERTY PPTYS INC        COMMON 682406103   $      37       2,280    SH   DEFINED              23        2,280    0         -
ONE LIBERTY PPTYS INC        COMMON 682406103   $      75       4,600    SH   DEFINED            5,15        4,600    0         -
1-800-FLOWERS.COM INC-CL A   COMMON 68243Q106   $   1,275     197,648    SH   DEFINED              23      197,648    0         -
ONEOK INC                    COMMON 682680103   $  14,795     303,000    SH   DEFINED               1      303,000    0         -
ONEOK INC                    COMMON 682680103   $   5,230     107,109    SH   DEFINED              22       59,636    0      47,473
ONEOK INC                    COMMON 682680103   $   1,279      26,202    SH   DEFINED              23       26,202    0         -
ONEOK INC                    COMMON 682680103   $      10         214    SH   DEFINED              24          214    0         -
ONEOK INC                    COMMON 682680103   $   6,225     127,491    SH   DEFINED               5      107,427    0      20,064
ONEOK PARTNERS LP            COMMON 68268N103   $     559      10,000    SH   DEFINED              22          -      0      10,000
ONEOK PARTNERS LP            COMMON 68268N103   $     529       9,462    SH   DEFINED              23        9,462    0         -
ONEOK PARTNERS LP            COMMON 68268N103   $     549       9,815    SH   DEFINED               5        5,140    0       4,675
ONLINE RESOURCES CORP        COMMON 68273G101   $       7         796    SH   DEFINED              23          796    0         -
ONYX PHARMACEUTICALS INC     COMMON 683399109   $  11,458     321,842    SH   DEFINED               1      321,842    0         -
ONYX PHARMACEUTICALS INC     COMMON 683399109   $      75       2,100    SH   DEFINED              17        2,100    0         -
ONYX PHARMACEUTICALS INC     COMMON 683399109   $   1,090      30,607    SH   DEFINED               2       30,607    0         -
ONYX PHARMACEUTICALS INC     COMMON 683399109   $   1,586      44,547    SH   DEFINED            20,2          -      0      44,547
ONYX PHARMACEUTICALS INC     COMMON 683399109   $   5,610     157,584    SH   DEFINED              23      157,584    0         -
ONYX PHARMACEUTICALS INC     COMMON 683399109   $   1,445      40,600    SH   DEFINED               3       40,600    0         -
ONYX PHARMACEUTICALS INC     COMMON 683399109   $      73       2,050    SH   DEFINED               5          -      0       2,050
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $  61,108   2,058,904    SH   DEFINED               1    2,058,904    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   3,119     105,100    SH   DEFINED            13,2      105,100    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   5,289     178,200    SH   DEFINED              19      178,200    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   1,212      40,845    SH   DEFINED            20,2       40,845    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   1,180      39,749    SH   DEFINED             3,1       39,749    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $  21,474     723,530    SH   DEFINED               4      723,530    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $      45       1,500    SH   DEFINED               5        1,500    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   5,208     175,481    SH   DEFINED               8      175,481    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   1,043      35,150    SH   DEFINED            8,14       35,150    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   1,983      66,800    SH   DEFINED            8,20       66,800    0         -
OPEN JT STK CO-VIMPEL COMMUN COMMON 68370R109   $   2,820      95,000    SH   DEFINED             9,8       95,000    0         -
OPEN TEXT CORP               COMMON 683715106   $   7,228     225,158    SH   DEFINED               1      225,158    0         -
OPEN TEXT CORP               COMMON 683715106   $   4,442     138,358    SH   DEFINED               2       59,488    0      78,870
OPEN TEXT CORP               COMMON 683715106   $     161       5,012    SH   DEFINED              23        5,012    0         -
OPEN TEXT CORP               COMMON 683715106   $   4,404     137,200    SH   DEFINED               3      137,200    0         -
OPEN TEXT CORP               COMMON 683715106   $  17,594     547,000    SH   DEFINED             3,1      547,000    0         -
OPENWAVE SYSTEMS INC         COMMON 683718308   $      31      20,601    SH   DEFINED              23       20,601    0         -
OPNET TECHNOLOGIES INC       COMMON 683757108   $       1         135    SH   DEFINED              23          135    0         -
OPLINK COMMUNICATIONS INC    COMMON 68375Q403   $     262      27,277    SH   DEFINED              16          -     27277         -
OPLINK COMMUNICATIONS INC    COMMON 68375Q403   $     402      41,908    SH   DEFINED              23       41,908    0         -
OPNEXT INC                   COMMON 68375V105   $      12       2,291    SH   DEFINED              23        2,291    0         -
OPPENHEIMER HOLDINGS INC     COMMON 683797104   $     146       5,154    SH   DEFINED              23        5,154    0         -
OPTIMAL ROBOTICS CORP        COMMON 68388R208   $       2       1,000    SH   DEFINED               5          -      0       1,000
ORACLE CORPORATION           COMMON 68389X105   $  56,458   2,688,499    SH   DEFINED               1    2,688,499    0         -
ORACLE CORPORATION           COMMON 68389X105   $  24,747   1,178,436    SH   DEFINED              11      378,736    0     799,700
ORACLE CORPORATION           COMMON 68389X105   $   7,057     336,053    SH   DEFINED              14      297,553    0      24,700
ORACLE CORPORATION           COMMON 68389X105   $   1,304      62,100    SH   DEFINED            14,7          -      0      62,100
ORACLE CORPORATION           COMMON 68389X105   $   1,348      64,200    SH   DEFINED              17       64,200    0         -
ORACLE CORPORATION           COMMON 68389X105   $      13         635    SH   DEFINED           18,11          635    0         -
ORACLE CORPORATION           COMMON 68389X105   $     790      37,600    SH   DEFINED           18,14          -      0      37,600
ORACLE CORPORATION           COMMON 68389X105   $   1,309      62,350    SH   DEFINED           19,14       35,800    0      26,550
ORACLE CORPORATION           COMMON 68389X105   $  14,441     687,673    SH   DEFINED               2      687,673    0         -
ORACLE CORPORATION           COMMON 68389X105   $      42       2,000    SH   DEFINED           20,14          -      0         -
ORACLE CORPORATION           COMMON 68389X105   $   1,584      75,446    SH   DEFINED            20,2       75,446    0         -
ORACLE CORPORATION           COMMON 68389X105   $       8         400    SH   DEFINED              21          400    0         -
ORACLE CORPORATION           COMMON 68389X105   $  36,023   1,715,397    SH   DEFINED              22      632,888    0   1,082,509
ORACLE CORPORATION           COMMON 68389X105   $  26,053   1,240,610    SH   DEFINED              23    1,240,610    0         -
ORACLE CORPORATION           COMMON 68389X105   $  12,458     593,244    SH   DEFINED              24      593,244    0         -
ORACLE CORPORATION           COMMON 68389X105   $  53,789   2,561,400    SH   DEFINED               3    2,561,400    0         -
ORACLE CORPORATION           COMMON 68389X105   $     668      31,787    SH   DEFINED               4       31,787    0         -
ORACLE CORPORATION           COMMON 68389X105   $  13,206     628,860    SH   DEFINED               5      427,878    0     200,982
ORACLE CORPORATION           COMMON 68389X105   $   1,636      77,913    SH   DEFINED               7       77,913    0         -
ORACLE CORPORATION           COMMON 68389X105   $   3,716     176,941    SH   DEFINED               8      176,941    0         -
ORACLE CORPORATION           COMMON 68389X105   $   2,537     120,817    SH   DEFINED            8,14          -      0     120,817
OPTIONSXPRESS INC            COMMON 684010101   $   9,114     407,965    SH   DEFINED               1      407,965    0         -
OPTIONSXPRESS INC            COMMON 684010101   $  11,459     512,920    SH   DEFINED              14      221,620    0     288,300
OPTIONSXPRESS INC            COMMON 684010101   $   7,233     323,780    SH   DEFINED               2      323,780    0         -
OPTIONSXPRESS INC            COMMON 684010101   $   3,675     164,495    SH   DEFINED              22      133,803    0      30,692
OPTIONSXPRESS INC            COMMON 684010101   $     567      25,359    SH   DEFINED              23       25,359    0         -
OPTIONSXPRESS INC            COMMON 684010101   $   2,162      96,776    SH   DEFINED               5       73,344    0      23,432


OPTIONSXPRESS INC            COMMON 684010101   $      27       1,200    SH   DEFINED            5,15        1,200    0         -
OPTIMER PHARMACEUTICALS INC  COMMON 68401H104   $       2         244    SH   DEFINED              23          244    0         -
OPTIUM CORP                  COMMON 68402T107       $ -            67    SH   DEFINED              23           67    0         -
OPTIUM CORP                  COMMON 68402T107   $      40       5,535    SH   DEFINED               5        1,385    0       4,150
ORASURE TECHNOLOGIES INC     COMMON 68554V108   $      93      24,948    SH   DEFINED              23       24,948    0         -
ORBCOMM INC                  COMMON 68555P100   $   8,965   1,572,820    SH   DEFINED              22    1,521,007    0      51,813
ORBCOMM INC                  COMMON 68555P100   $     155      27,185    SH   DEFINED              23       27,185    0         -
ORBCOMM INC                  COMMON 68555P100   $   8,908   1,562,725    SH   DEFINED               5          -      0   1,562,725
ORBITAL SCIENCES CORP        COMMON 685564106   $   2,774     117,724    SH   DEFINED              23      117,724    0         -
ORBITAL SCIENCES CORP        COMMON 685564106   $     246      10,460    SH   DEFINED               5        2,105    0       8,355
ORBITZ WORLDWIDE INC         COMMON 68557K109   $      84      16,822    SH   DEFINED              23       16,822    0         -
O'REILLY AUTOMOTIVE INC      COMMON 686091109   $     205       9,155    SH   DEFINED              23        9,155    0         -
O'REILLY AUTOMOTIVE INC      COMMON 686091109   $       3         144    SH   DEFINED              24          144    0         -
O'REILLY AUTOMOTIVE INC      COMMON 686091109   $     427      19,100    SH   DEFINED               3       19,100    0         -
O'REILLY AUTOMOTIVE INC      COMMON 686091109   $       9         400    SH   DEFINED               5          400    0         -
OREXIGEN THERAPEUTICS INC    COMMON 686164104   $       2         223    SH   DEFINED              23          223    0         -
ORIENTAL FINANCIAL GROUP     COMMON 68618W100   $      48       3,400    SH   DEFINED              14        3,400    0         -
ORIENTAL FINANCIAL GROUP     COMMON 68618W100   $     329      23,078    SH   DEFINED              23       23,078    0         -
ORIGEN FINANCIAL INC         COMMON 68619E208       $ -           169    SH   DEFINED              23          169    0         -
ORION ENERGY SYSTEMS INC     COMMON 686275108   $       3         232    SH   DEFINED              23          232    0         -
ORION MARINE GROUP INC       COMMON 68628V308   $     177      11,786    SH   DEFINED              23       11,786    0         -
ORION MARINE GROUP INC       COMMON 68628V308   $       8         560    SH   DEFINED               5          560    0         -
ORITANI FINANCIAL CORP       COMMON 686323106   $     608      38,000    SH   DEFINED              14       31,700    0       6,300
ORITANI FINANCIAL CORP       COMMON 686323106   $      22       1,395    SH   DEFINED              23        1,395    0         -
ORITANI FINANCIAL CORP       COMMON 686323106   $     115       7,200    SH   DEFINED            5,15        7,200    0         -
ORIX CORP ADR                COMMON 686330101   $   2,918      40,459    SH   DEFINED              23       40,459    0         -
ORIX CORP ADR                COMMON 686330101   $     343       4,758    SH   DEFINED               4        4,758    0         -
ORLEANS HOMEBUILDERS INC     COMMON 686588104   $      13       3,602    SH   DEFINED              23        3,602    0         -
ORMAT TECHNOLOGIES INC       COMMON 686688102   $  44,802     910,984    SH   DEFINED              23      910,984    0         -
ORMAT TECHNOLOGIES INC       COMMON 686688102   $      73       1,491    SH   DEFINED              24        1,491    0         -
ORTHOVITA INC                COMMON 68750U102   $       2         657    SH   DEFINED              23          657    0         -
OSCIENT PHARMACEUTICALS CORP COMMON 68812R303       $ -            50    SH   DEFINED               5           50    0         -
OSHKOSH CORP                 COMMON 688239201   $   1,450      70,106    SH   DEFINED              23       70,106    0         -
OSHKOSH CORP                 COMMON 688239201   $       2         101    SH   DEFINED              24          101    0         -
OSHKOSH CORP                 COMMON 688239201   $     281      13,600    SH   DEFINED               5          -      0      13,600
OSIRIS THERAPEUTICS INC      COMMON 68827R108   $       1          51    SH   DEFINED              23           51    0         -
OTTER TAIL CORP              COMMON 689648103   $     223       5,741    SH   DEFINED              23        5,741    0         -
OUTDOOR CHANNEL HOLDINGS INC COMMON 690027206   $       1         118    SH   DEFINED              23          118    0         -
OVERSEAS SHIPHOLDING GROUP
INC                          COMMON 690368105   $       8         100    SH   DEFINED              22          -      0         100
OVERSEAS SHIPHOLDING GROUP
INC                          COMMON 690368105   $  11,607     145,960    SH   DEFINED              23      145,960    0         -
OVERSEAS SHIPHOLDING GROUP
INC                          COMMON 690368105   $       5          59    SH   DEFINED              24           59    0         -
OVERSTOCK.COM INC            COMMON 690370101   $      83       3,200    SH   DEFINED              14        3,200    0         -
OVERSTOCK.COM INC            COMMON 690370101   $      29       1,125    SH   DEFINED              22          -      0       1,125
OVERSTOCK.COM INC            COMMON 690370101   $     467      17,983    SH   DEFINED              23       17,983    0         -
OWENS & MINOR INC            COMMON 690732102   $   9,353     204,709    SH   DEFINED               1      204,709    0         -
OWENS & MINOR INC            COMMON 690732102   $  11,290     247,100    SH   DEFINED              14      179,700    0      67,400
OWENS & MINOR INC            COMMON 690732102   $   5,381     117,768    SH   DEFINED               2       46,134    0      71,634
OWENS & MINOR INC            COMMON 690732102   $      24         517    SH   DEFINED              22          -      0         517
OWENS & MINOR INC            COMMON 690732102   $   4,801     105,073    SH   DEFINED              23      105,073    0         -
OWENS & MINOR INC            COMMON 690732102   $       4          78    SH   DEFINED              24           78    0         -
OWENS & MINOR INC            COMMON 690732102   $   1,412      30,900    SH   DEFINED            5,15       30,900    0         -
OWENS & MINOR INC            COMMON 690732102   $   1,334      29,200    SH   DEFINED               8       29,200    0         -
OWENS & MINOR INC            COMMON 690732102   $     366       8,000    SH   DEFINED            8,20        8,000    0         -
OWENS CORNING INC            COMMON 690742101   $   2,091      91,898    SH   DEFINED              23       91,898    0         -
OWENS CORNING INC            COMMON 690742101   $      10         454    SH   DEFINED              24          454    0         -
OWENS CORNING INC -CW13 WTS  COMMON 690742127       $ -            57    SH   DEFINED               5           57    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $  57,901   1,388,848    SH   DEFINED               1    1,388,848    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   6,908     165,700    SH   DEFINED            1,15      165,700    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   1,818      43,600    SH   DEFINED           10,14       43,600    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $     700      16,800    SH   DEFINED            10,7       16,800    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $     244       5,841    SH   DEFINED              11        5,841    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $     690      16,555    SH   DEFINED              13       16,555    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $  98,650   2,366,281    SH   DEFINED              14    1,486,881    0     821,700
OWENS-ILLINOIS INC           COMMON 690768403   $   1,501      36,000    SH   DEFINED           14,13          -      0      36,000
OWENS-ILLINOIS INC           COMMON 690768403   $   4,932     118,300    SH   DEFINED            14,7          -      0     118,300
OWENS-ILLINOIS INC           COMMON 690768403   $   1,506      36,116    SH   DEFINED              19       36,116    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   3,822      91,684    SH   DEFINED               2        5,409    0      86,275
OWENS-ILLINOIS INC           COMMON 690768403   $     450      10,800    SH   DEFINED           20,14          -      0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   2,634      63,190    SH   DEFINED              21       63,190    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   2,126      50,994    SH   DEFINED              23       50,994    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $      30         722    SH   DEFINED              24          722    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $      42       1,010    SH   DEFINED               5          -      0       1,010
OWENS-ILLINOIS INC           COMMON 690768403   $   3,369      80,800    SH   DEFINED            5,15       80,800    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $     534      12,800    SH   DEFINED               6       12,800    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   7,077     169,761    SH   DEFINED               7      169,761    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $  19,137     459,033    SH   DEFINED               8      459,033    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   6,058     145,300    SH   DEFINED            8,14      145,300    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $   3,558      85,340    SH   DEFINED               9       85,340    0         -
OWENS-ILLINOIS INC           COMMON 690768403   $     813      19,500    SH   DEFINED            9,14          -      0      19,500
OXFORD INDS INC              COMMON 691497309   $     104       5,451    SH   DEFINED              23        5,451    0         -
PAB BANKSHARES INC           COMMON 69313P101   $       1          62    SH   DEFINED              23           62    0         -
P.A.M. TRANSPORTATION SVCS   COMMON 693149106   $      13       1,195    SH   DEFINED              23        1,195    0         -
P C CONNECTION               COMMON 69318J100   $     229      24,579    SH   DEFINED              23       24,579    0         -
PC MALL INC                  COMMON 69323K100   $   6,746     497,527    SH   DEFINED               1      497,527    0         -
PC MALL INC                  COMMON 69323K100   $   3,861     284,754    SH   DEFINED               2      111,656    0     173,098
PC MALL INC                  COMMON 69323K100   $     376      27,764    SH   DEFINED              23       27,764    0         -
PC-TEL INC                   COMMON 69325Q105   $       2         192    SH   DEFINED              23          192    0         -
PDF SOLUTIONS INC            COMMON 693282105   $       1         184    SH   DEFINED              23          184    0         -
PDI INC                      COMMON 69329V100   $      29       3,288    SH   DEFINED              23        3,288    0         -
PDL BIOPHARMA INC            COMMON 69329Y104   $      34       3,216    SH   DEFINED              23        3,216    0         -
PDL BIOPHARMA INC            COMMON 69329Y104   $     223      20,991    SH   DEFINED               5          -      0      20,991
PG&E CORP                    COMMON 69331C108   $  13,812     348,000    SH   DEFINED               1      348,000    0         -
PG&E CORP                    COMMON 69331C108   $     595      15,000    SH   DEFINED           10,14       15,000    0         -
PG&E CORP                    COMMON 69331C108   $  31,468     792,856    SH   DEFINED              11      185,756    0     607,100
PG&E CORP                    COMMON 69331C108   $  15,602     393,093    SH   DEFINED              14      325,893    0      54,800
PG&E CORP                    COMMON 69331C108   $     258       6,500    SH   DEFINED           14,13          -      0       6,500
PG&E CORP                    COMMON 69331C108   $   1,143      28,800    SH   DEFINED            14,7          -      0      28,800
PG&E CORP                    COMMON 69331C108   $      32         800    SH   DEFINED           18,11          800    0         -
PG&E CORP                    COMMON 69331C108   $     710      17,900    SH   DEFINED           18,14          -      0      17,900
PG&E CORP                    COMMON 69331C108   $   3,163      79,700    SH   DEFINED           19,14       45,800    0      33,900


PG&E CORP                    COMMON 69331C108   $     203       5,115    SH   DEFINED              22        2,300    0       2,815
PG&E CORP                    COMMON 69331C108   $   1,810      45,593    SH   DEFINED              23       45,593    0         -
PG&E CORP                    COMMON 69331C108   $      33         841    SH   DEFINED              24          841    0         -
PG&E CORP                    COMMON 69331C108   $     115       2,901    SH   DEFINED               5        1,620    0       1,281
PG&E CORP                    COMMON 69331C108   $     591      14,900    SH   DEFINED            5,15       14,900    0         -
PG&E CORP                    COMMON 69331C108   $     521      13,116    SH   DEFINED               7       13,116    0         -
PG&E CORP                    COMMON 69331C108   $     451      11,356    SH   DEFINED               8       11,356    0         -
PG&E CORP                    COMMON 69331C108   $   4,850     122,200    SH   DEFINED            8,14       64,600    0      57,600
PG&E CORP                    COMMON 69331C108   $     135       3,400    SH   DEFINED            9,14          -      0       3,400
PFF BANCORP INC              COMMON 69331W104   $       9       8,749    SH   DEFINED              23        8,749    0         -
PHH CORP                     COMMON 693320202   $     755      49,200    SH   DEFINED              14       49,200    0         -
PHH CORP                     COMMON 693320202       $ -            15    SH   DEFINED              22           15    0         -
PHH CORP                     COMMON 693320202   $     351      22,881    SH   DEFINED              23       22,881    0         -
PHH CORP                     COMMON 693320202   $       6         420    SH   DEFINED              24          420    0         -
PHH CORP                     COMMON 693320202   $     163      10,600    SH   DEFINED            5,15       10,600    0         -
PF CHANG'S CHINA BISTRO INC  COMMON 69333Y108   $   7,311     327,249    SH   DEFINED               1      327,249    0         -
PF CHANG'S CHINA BISTRO INC  COMMON 69333Y108   $   6,061     271,311    SH   DEFINED               2      271,311    0         -
PF CHANG'S CHINA BISTRO INC  COMMON 69333Y108   $       4         200    SH   DEFINED              22          200    0         -
PF CHANG'S CHINA BISTRO INC  COMMON 69333Y108   $     758      33,951    SH   DEFINED              23       33,951    0         -
PICO HOLDINGS INC            COMMON 693366205   $   3,485      80,217    SH   DEFINED               1       80,217    0         -
PICO HOLDINGS INC            COMMON 693366205   $     304       7,000    SH   DEFINED              22        7,000    0         -
PICO HOLDINGS INC            COMMON 693366205   $     374       8,614    SH   DEFINED              23        8,614    0         -
PICO HOLDINGS INC            COMMON 693366205   $     304       7,000    SH   DEFINED               5          -      0       7,000
PHI INC-NON VOTING           COMMON 69336T205   $     632      15,744    SH   DEFINED              23       15,744    0         -
PGT INC                      COMMON 69336V101   $      22       6,346    SH   DEFINED              23        6,346    0         -
PLX TECHNOLOGY INC           COMMON 693417107   $       2         251    SH   DEFINED              23          251    0         -
PMA CAPITAL  A               COMMON 693419202   $     465      50,448    SH   DEFINED              23       50,448    0         -
PMC COML TR                  COMMON 693434102   $      29       3,743    SH   DEFINED              23        3,743    0         -
PMC COML TR                  COMMON 693434102   $      14       1,783    SH   DEFINED               5        1,783    0         -
PMC-SIERRA INC               COMMON 69344F106   $   1,646     215,500    SH   DEFINED              14      134,300    0      81,200
PMC-SIERRA INC               COMMON 69344F106   $   2,407     315,107    SH   DEFINED              23      315,107    0         -
PMC-SIERRA INC               COMMON 69344F106   $     267      35,000    SH   DEFINED            5,15       35,000    0         -
PMI GROUP INC (THE)          COMMON 69344M101   $      68      34,938    SH   DEFINED              23       34,938    0         -
PMI GROUP INC (THE)          COMMON 69344M101   $       1         643    SH   DEFINED              24          643    0         -
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $  70,133   1,228,255    SH   DEFINED               1    1,228,255    0         -
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $      23         400    SH   DEFINED              14          400    0         -
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $     498       8,729    SH   DEFINED              22          225    0       8,504
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $   1,560      27,312    SH   DEFINED              23       27,312    0         -
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $      32         553    SH   DEFINED              24          553    0         -
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $   1,249      21,874    SH   DEFINED               5       12,803    0       9,071
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $     348       6,091    SH   DEFINED               7        6,091    0         -
PNC FINANCIAL SERVICES GROUP COMMON 693475105   $  14,881     260,607    SH   DEFINED               8      260,607    0         -
POSCO ADR                    COMMON 693483109   $  30,989     238,781    SH   DEFINED              11      238,781    0         -
POSCO ADR                    COMMON 693483109   $     303       2,335    SH   DEFINED              14        2,335    0         -
POSCO ADR                    COMMON 693483109   $      19         150    SH   DEFINED              22          -      0         150
POSCO ADR                    COMMON 693483109   $   4,533      34,932    SH   DEFINED              23       34,932    0         -
POSCO ADR                    COMMON 693483109   $      39         300    SH   DEFINED               5          -      0         300
PNM RESOURCES INC            COMMON 69349H107   $     240      20,030    SH   DEFINED              23       20,030    0         -
PNM RESOURCES INC            COMMON 69349H107   $       4         332    SH   DEFINED              24          332    0         -
PPG INDUSTRIES INC           COMMON 693506107   $  14,429     251,500    SH   DEFINED               1      251,500    0         -
PPG INDUSTRIES INC           COMMON 693506107   $     204       3,560    SH   DEFINED              14        2,960    0         600
PPG INDUSTRIES INC           COMMON 693506107   $     103       1,800    SH   DEFINED            14,7          -      0       1,800
PPG INDUSTRIES INC           COMMON 693506107   $     183       3,183    SH   DEFINED              22        1,750    0       1,433
PPG INDUSTRIES INC           COMMON 693506107   $   1,503      26,195    SH   DEFINED              23       26,195    0         -
PPG INDUSTRIES INC           COMMON 693506107   $      19         323    SH   DEFINED              24          323    0         -
PPG INDUSTRIES INC           COMMON 693506107   $     271       4,725    SH   DEFINED               5        3,626    0       1,099
PPG INDUSTRIES INC           COMMON 693506107   $     172       3,003    SH   DEFINED               7        3,003    0         -
PPG INDUSTRIES INC           COMMON 693506107   $     490       8,547    SH   DEFINED               8        8,547    0         -
PPL CORPORATION              COMMON 69351T106   $  18,138     347,000    SH   DEFINED               1      347,000    0         -
PPL CORPORATION              COMMON 69351T106   $     131       2,500    SH   DEFINED              22        2,000    0         500
PPL CORPORATION              COMMON 69351T106   $   5,923     113,306    SH   DEFINED              23      113,306    0         -
PPL CORPORATION              COMMON 69351T106   $      25         477    SH   DEFINED              24          477    0         -
PPL CORPORATION              COMMON 69351T106   $   1,252      23,946    SH   DEFINED               5          -      0      23,946
PPL CORPORATION              COMMON 69351T106   $     343       6,564    SH   DEFINED               7        6,564    0         -
PRG-SCHULTZ INTERNATIONAL    COMMON 69357C503   $     443      47,100    SH   DEFINED              14       36,600    0      10,500
PRG-SCHULTZ INTERNATIONAL    COMMON 69357C503   $      51       5,400    SH   DEFINED            5,15        5,400    0         -
PS BUSINESS PKS INC CALIF    COMMON 69360J107   $   1,842      35,700    SH   DEFINED              14       32,600    0       3,100
PS BUSINESS PKS INC CALIF    COMMON 69360J107   $     107       2,066    SH   DEFINED              23        2,066    0         -
PS BUSINESS PKS INC CALIF    COMMON 69360J107   $     206       4,000    SH   DEFINED            5,15        4,000    0         -
PSS WORLD MED INC            COMMON 69366A100   $   1,491      91,500    SH   DEFINED              14       47,800    0      43,700
PSS WORLD MED INC            COMMON 69366A100   $     348      21,340    SH   DEFINED              23       21,340    0         -
PSS WORLD MED INC            COMMON 69366A100   $     154       9,435    SH   DEFINED               5        2,385    0       7,050
PSS WORLD MED INC            COMMON 69366A100   $     210      12,900    SH   DEFINED            5,15       12,900    0         -
PACCAR INC                   COMMON 693718108   $     197       4,717    SH   DEFINED              22          702    0       4,015
PACCAR INC                   COMMON 693718108   $   4,349     103,968    SH   DEFINED              23      103,968    0         -
PACCAR INC                   COMMON 693718108   $   4,732     113,127    SH   DEFINED              24      113,127    0         -
PACCAR INC                   COMMON 693718108   $     802      19,169    SH   DEFINED               5          -      0      19,169
PACCAR INC                   COMMON 693718108   $     284       6,795    SH   DEFINED               7        6,795    0         -
PACCAR INC                   COMMON 693718108   $     201       4,809    SH   DEFINED               8        4,809    0         -
PACER INTERNATIONAL          COMMON 69373H106   $  26,847   1,248,100    SH   DEFINED             1,3    1,248,100    0         -
PACER INTERNATIONAL          COMMON 69373H106   $   1,889      87,800    SH   DEFINED              14       75,300    0      12,500
PACER INTERNATIONAL          COMMON 69373H106   $     678      31,500    SH   DEFINED            18,3       31,500    0         -
PACER INTERNATIONAL          COMMON 69373H106   $       8         392    SH   DEFINED              22          -      0         392
PACER INTERNATIONAL          COMMON 69373H106   $   1,602      74,499    SH   DEFINED              23       74,499    0         -
PACER INTERNATIONAL          COMMON 69373H106   $   6,034     280,500    SH   DEFINED               3      280,500    0         -
PACER INTERNATIONAL          COMMON 69373H106   $      59       2,750    SH   DEFINED               5        1,175    0       1,575
PACER INTERNATIONAL          COMMON 69373H106   $     241      11,200    SH   DEFINED            5,15       11,200    0         -
PACER INTERNATIONAL          COMMON 69373H106   $     241      11,200    SH   DEFINED               8       11,200    0         -
PACER INTERNATIONAL          COMMON 69373H106   $      67       3,100    SH   DEFINED            8,20        3,100    0         -
PACHOLDER HIGH YIELD FUND CEFCOMMON 693742108   $       3         400    SH   DEFINED              22          -      0         400
PACIFIC CAP BANCORP          COMMON 69404P101   $      28       2,000    SH   DEFINED              22          -      0       2,000
PACIFIC CAP BANCORP          COMMON 69404P101   $     120       8,682    SH   DEFINED              23        8,682    0         -
PACIFIC CONTINENTAL CORP     COMMON 69412V108   $       2         104    SH   DEFINED              23          104    0         -
PACIFIC ETHANOL INC          COMMON 69423U107   $   6,564   3,626,384    SH   DEFINED              23    3,626,384    0         -
PACIFIC MERCANTILE BANCORP   COMMON 694552100   $       1          92    SH   DEFINED              23           92    0         -
PACIFIC SUNWEAR OF CALIF     COMMON 694873100   $     148      17,343    SH   DEFINED              23       17,343    0         -
PACKAGING CORP OF AMERICA    COMMON 695156109   $      10         480    SH   DEFINED              22          -      0         480
PACKAGING CORP OF AMERICA    COMMON 695156109   $     653      30,373    SH   DEFINED              23       30,373    0         -
PACKAGING CORP OF AMERICA    COMMON 695156109   $       2         114    SH   DEFINED              24          114    0         -
PACKAGING CORP OF AMERICA    COMMON 695156109   $     108       5,040    SH   DEFINED               5        1,180    0       3,860


PACTIV CORPORATION           COMMON 695257105   $  75,374   3,550,372    SH   DEFINED               1    3,550,372    0         -
PACTIV CORPORATION           COMMON 695257105   $     383      18,041    SH   DEFINED              14       18,041    0         -
PACTIV CORPORATION           COMMON 695257105   $   3,668     172,765    SH   DEFINED               2       12,586    0     160,179
PACTIV CORPORATION           COMMON 695257105   $   4,675     220,212    SH   DEFINED              22      117,296    0     102,916
PACTIV CORPORATION           COMMON 695257105   $     223      10,527    SH   DEFINED              23       10,527    0         -
PACTIV CORPORATION           COMMON 695257105   $       4         190    SH   DEFINED              24          190    0         -
PACTIV CORPORATION           COMMON 695257105   $  12,812     603,503    SH   DEFINED               4      603,503    0         -
PACTIV CORPORATION           COMMON 695257105   $   3,654     172,124    SH   DEFINED               5      134,495    0      37,629
PACWEST BANCORP              COMMON 695263103   $      78       5,224    SH   DEFINED              23        5,224    0         -
PAIN THERAPEUTICS INC        COMMON 69562K100   $   1,514     191,700    SH   DEFINED              14      110,500    0      81,200
PAIN THERAPEUTICS INC        COMMON 69562K100   $       3         386    SH   DEFINED              23          386    0         -
PAIN THERAPEUTICS INC        COMMON 69562K100   $     190      24,100    SH   DEFINED            5,15       24,100    0         -
PAIN THERAPEUTICS INC        COMMON 69562K100   $     117      14,800    SH   DEFINED               8       14,800    0         -
PAIN THERAPEUTICS INC        COMMON 69562K100   $      33       4,200    SH   DEFINED            8,20        4,200    0         -
PALL CORPORATION             COMMON 696429307   $       9         215    SH   DEFINED              22          -      0         215
PALL CORPORATION             COMMON 696429307   $  85,543   2,155,816    SH   DEFINED              23    2,155,816    0         -
PALL CORPORATION             COMMON 696429307   $       4          92    SH   DEFINED              24           92    0         -
PALL CORPORATION             COMMON 696429307   $      63       1,584    SH   DEFINED               5          -      0       1,584
PALL CORPORATION             COMMON 696429307   $  10,789     271,893    SH   DEFINED               8      271,893    0         -
PALM HARBOR HOMES INC        COMMON 696639103   $      78      14,050    SH   DEFINED              23       14,050    0         -
PALM INC                     COMMON 696643105   $     179      33,161    SH   DEFINED              23       33,161    0         -
PALOMAR MEDICAL TECHNO       COMMON 697529303   $       1         120    SH   DEFINED              23          120    0         -
PAN AMERICAN SILVER CORP
COM                          COMMON 697900108   $  14,697     425,000    SH   DEFINED               1      425,000    0         -
PAN AMERICAN SILVER CORP
COM                          COMMON 697900108   $      97       2,800    SH   DEFINED              22          -      0       2,800
PAN AMERICAN SILVER CORP
COM                          COMMON 697900108   $     635      18,355    SH   DEFINED              23       18,355    0         -
PAN AMERICAN SILVER CORP     COMMON 697900108   $     126       3,893    SH   DEFINED               7        3,893    0         -
PANACOS PHARMACEUTICALS INC  COMMON 69811Q106       $ -           349    SH   DEFINED              23          349    0         -
PANACOS PHARMACEUTICALS INC  COMMON 69811Q106   $     122     270,928    SH   DEFINED               5      256,020    0      14,908
PANERA BREAD CO CL A         COMMON 69840W108   $   1,809      39,100    SH   DEFINED              14       39,100    0         -
PANERA BREAD CO CL A         COMMON 69840W108   $   3,680      79,552    SH   DEFINED              23       79,552    0         -
PANERA BREAD CO CL A         COMMON 69840W108   $      21         447    SH   DEFINED               5          -      0         447
PANERA BREAD CO CL A         COMMON 69840W108   $   1,420      30,700    SH   DEFINED               8       30,700    0         -
PANERA BREAD CO CL A         COMMON 69840W108   $     389       8,400    SH   DEFINED            8,20        8,400    0         -
PANTRY INC                   COMMON 698657103   $   3,026     283,903    SH   DEFINED               1      283,903    0         -
PANTRY INC                   COMMON 698657103   $   1,783     167,248    SH   DEFINED               2       64,310    0     102,938
PANTRY INC                   COMMON 698657103   $      68       6,372    SH   DEFINED              23        6,372    0         -
PANTRY INC                   COMMON 698657103   $       1         125    SH   DEFINED              24          125    0         -
PANTRY INC                   COMMON 698657103   $      87       8,185    SH   DEFINED               5        2,060    0       6,125
PAPA JOHNS INTL INC          COMMON 698813102   $   6,127     230,418    SH   DEFINED               1      230,418    0         -
PAPA JOHNS INTL INC          COMMON 698813102   $   3,618     136,081    SH   DEFINED               2       53,359    0      82,722
PAPA JOHNS INTL INC          COMMON 698813102   $   3,189     119,916    SH   DEFINED              23      119,916    0         -
PAR PHARMACEUTICAL COS INC   COMMON 69888P106   $   6,197     381,800    SH   DEFINED              14      184,500    0     194,900
PAR PHARMACEUTICAL COS INC   COMMON 69888P106   $       1          78    SH   DEFINED              22          -      0          78
PAR PHARMACEUTICAL COS INC   COMMON 69888P106   $     270      16,647    SH   DEFINED              23       16,647    0         -
PAR PHARMACEUTICAL COS INC   COMMON 69888P106   $     289      17,800    SH   DEFINED            5,15       17,800    0         -
PARAGON SHIPPING INC-CLASS A COMMON 69913R309   $       3         157    SH   DEFINED              23          157    0         -
PARALLEL PETROLEUM CORP      COMMON 699157103   $   6,622     328,946    SH   DEFINED               1      328,946    0         -
PARALLEL PETROLEUM CORP      COMMON 699157103   $   3,830     190,283    SH   DEFINED               2       74,609    0     115,674
PARALLEL PETROLEUM CORP      COMMON 699157103   $     158       7,841    SH   DEFINED              23        7,841    0         -
PARAMETRIC TECHNOLOGY CORP   COMMON 699173209   $   2,275     136,480    SH   DEFINED              23      136,480    0         -
PARAMETRIC TECHNOLOGY CORP   COMMON 699173209   $     641      38,450    SH   DEFINED               5          -      0      38,450
THE PARENT CO COM            COMMON 69945P107       $ -            10    SH   DEFINED              22          -      0          10
THE PARENT CO COM            COMMON 69945P107       $ -           211    SH   DEFINED              23          211    0         -
PAREXEL INTL CORP            COMMON 699462107   $  11,653     442,926    SH   DEFINED               1      442,926    0         -
PAREXEL INTL CORP            COMMON 699462107   $   9,413     357,784    SH   DEFINED               2      357,784    0         -
PAREXEL INTL CORP            COMMON 699462107   $     179       6,800    SH   DEFINED              22          -      0       6,800
PAREXEL INTL CORP            COMMON 699462107   $   3,948     150,048    SH   DEFINED              23      150,048    0         -
PARK ELECTROCHEMICAL CORP    COMMON 700416209   $   3,301     135,800    SH   DEFINED              14       77,700    0      58,100
PARK ELECTROCHEMICAL CORP    COMMON 700416209   $      76       3,128    SH   DEFINED              23        3,128    0         -
PARK ELECTROCHEMICAL CORP    COMMON 700416209   $     493      20,300    SH   DEFINED            5,15       20,300    0         -
PARK NATIONAL CORP           COMMON 700658107   $      92       1,700    SH   DEFINED              14        1,700    0         -
PARK NATIONAL CORP           COMMON 700658107   $       6         105    SH   DEFINED              22          -      0         105
PARK NATIONAL CORP           COMMON 700658107   $   2,580      47,863    SH   DEFINED              23       47,863    0         -
PARK NATIONAL CORP           COMMON 700658107   $      22         400    SH   DEFINED            5,15          400    0         -
PARK-OHIO HOLDINGS CORP      COMMON 700666100   $     259      17,534    SH   DEFINED              23       17,534    0         -
PARKER DRILLING CO           COMMON 701081101   $     676      67,494    SH   DEFINED              23       67,494    0         -
PARKER DRILLING CO           COMMON 701081101   $      10       1,000    SH   DEFINED               5          -      0       1,000
PARKER HANNIFIN CORP         COMMON 701094104   $  26,001     364,573    SH   DEFINED               1      364,573    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $      91       1,271    SH   DEFINED              13        1,271    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $   3,119      43,737    SH   DEFINED              14       28,987    0      12,950
PARKER HANNIFIN CORP         COMMON 701094104   $   1,227      17,200    SH   DEFINED            14,7          -      0      17,200
PARKER HANNIFIN CORP         COMMON 701094104   $      14         200    SH   DEFINED           20,14          -      0         -
PARKER HANNIFIN CORP         COMMON 701094104   $      30         420    SH   DEFINED              22          -      0         420
PARKER HANNIFIN CORP         COMMON 701094104   $  11,507     161,346    SH   DEFINED              23      161,346    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $      16         218    SH   DEFINED              24          218    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $   3,031      42,500    SH   DEFINED               3       42,500    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $  14,559     204,134    SH   DEFINED               4      204,134    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $     120       1,687    SH   DEFINED               5        1,012    0         675
PARKER HANNIFIN CORP         COMMON 701094104   $     247       3,457    SH   DEFINED               7        3,457    0         -
PARKER HANNIFIN CORP         COMMON 701094104   $     984      13,797    SH   DEFINED               8       13,797    0         -
PARKERVISION INC             COMMON 701354102   $       2         163    SH   DEFINED              23          163    0         -
PARKVALE FINANCIAL CORP      COMMON 701492100   $      85       3,600    SH   DEFINED              22          -      0       3,600
PARKWAY PROPERTIES INC-MD    COMMON 70159Q104   $     398      11,800    SH   DEFINED              14       11,800    0         -
PARKWAY PROPERTIES INC-MD    COMMON 70159Q104   $     111       3,282    SH   DEFINED              23        3,282    0         -
PARKWAY PROPERTIES INC-MD    COMMON 70159Q104   $     238       7,050    SH   DEFINED               5          -      0       7,050
PARTNER COMMUNICATIONS CO
LTD                          COMMON 70211M109   $     395      16,632    SH   DEFINED              23       16,632    0         -
PATRIOT CAPITAL FUNDING INC  COMMON 70335Y104   $   1,122     179,555    SH   DEFINED              23      179,555    0         -
PATRIOT CAPITAL FUNDING INC  COMMON 70335Y104   $      14       2,247    SH   DEFINED              24        2,247    0         -
PATRIOT COAL CORP            COMMON 70336T104       $ -             1    SH   DEFINED            1,15            1    0         -
PATRIOT COAL CORP            COMMON 70336T104   $   1,004       6,550    SH   DEFINED              14        6,550    0         -
PATRIOT COAL CORP            COMMON 70336T104   $      12          80    SH   DEFINED              22          -      0          80
PATRIOT COAL CORP            COMMON 70336T104   $       4          24    SH   DEFINED               5          -      0          24
PATRIOT COAL CORP            COMMON 70336T104   $     583       3,800    SH   DEFINED               8        3,800    0         -
PATRIOT COAL CORP            COMMON 70336T104   $     161       1,050    SH   DEFINED            8,20        1,050    0         -
PATRIOT TRANSPORTATION HLDG  COMMON 70337B102   $       1          13    SH   DEFINED              23           13    0         -
PATTERSON COS INC            COMMON 703395103   $      94       3,200    SH   DEFINED           10,14        3,200    0         -
PATTERSON COS INC            COMMON 703395103   $      12         400    SH   DEFINED              13          400    0         -
PATTERSON COS INC            COMMON 703395103   $   1,885      64,150    SH   DEFINED              14       25,450    0      37,800
PATTERSON COS INC            COMMON 703395103   $     397      13,500    SH   DEFINED            14,7          -      0      13,500
PATTERSON COS INC            COMMON 703395103   $      12         400    SH   DEFINED           20,14          -      0         -


PATTERSON COS INC            COMMON 703395103   $     195       6,621    SH   DEFINED              23        6,621    0         -
PATTERSON COS INC            COMMON 703395103   $   1,005      34,210    SH   DEFINED              24       34,210    0         -
PATTERSON COS INC            COMMON 703395103   $       4         148    SH   DEFINED               5          -      0         148
PATTERSON COS INC            COMMON 703395103   $      93       3,159    SH   DEFINED               7        3,159    0         -
PATTERSON - UTI ENERGY INC   COMMON 703481101   $      11         300    SH   DEFINED              13          300    0         -
PATTERSON - UTI ENERGY INC   COMMON 703481101   $  27,231     753,700    SH   DEFINED              14      300,500    0     446,100
PATTERSON - UTI ENERGY INC   COMMON 703481101   $     907      25,100    SH   DEFINED            14,7          -      0      25,100
PATTERSON - UTI ENERGY INC   COMMON 703481101   $      11         300    SH   DEFINED           20,14          -      0         -
PATTERSON - UTI ENERGY INC   COMMON 703481101   $  23,466     649,487    SH   DEFINED              23      649,487    0         -
PATTERSON - UTI ENERGY INC   COMMON 703481101   $     585      16,200    SH   DEFINED              24       16,200    0         -
PATTERSON - UTI ENERGY INC   COMMON 703481101   $     431      11,919    SH   DEFINED               8       11,919    0         -
PAYCHEX INC                  COMMON 704326107   $     544      17,400    SH   DEFINED              14       13,200    0       2,500
PAYCHEX INC                  COMMON 704326107   $     457      14,600    SH   DEFINED            14,7          -      0      14,600
PAYCHEX INC                  COMMON 704326107   $   5,213     166,644    SH   DEFINED              22      136,685    0      29,959
PAYCHEX INC                  COMMON 704326107   $     827      26,451    SH   DEFINED              23       26,451    0         -
PAYCHEX INC                  COMMON 704326107   $   2,948      94,250    SH   DEFINED              24       94,250    0         -
PAYCHEX INC                  COMMON 704326107   $   3,401     108,723    SH   DEFINED               5       56,713    0      52,010
PAYCHEX INC                  COMMON 704326107   $     207       6,631    SH   DEFINED               7        6,631    0         -
PAYLESS SHOESOURCE INC       COMMON 704379106   $       2         150    SH   DEFINED              22          -      0         150
PEABODY ENERGY CORP          COMMON 704549104   $  93,756   1,064,800    SH   DEFINED               1    1,064,800    0         -
PEABODY ENERGY CORP          COMMON 704549104   $     106       1,199    SH   DEFINED              13        1,199    0         -
PEABODY ENERGY CORP          COMMON 704549104   $   7,590      86,199    SH   DEFINED            13,2        1,199    0      85,000
PEABODY ENERGY CORP          COMMON 704549104   $   3,762      42,729    SH   DEFINED               2       42,729    0         -
PEABODY ENERGY CORP          COMMON 704549104   $     115       1,306    SH   DEFINED              22          -      0       1,306
PEABODY ENERGY CORP          COMMON 704549104   $     799       9,075    SH   DEFINED              23        9,075    0         -
PEABODY ENERGY CORP          COMMON 704549104   $       9         103    SH   DEFINED              24          103    0         -
PEABODY ENERGY CORP          COMMON 704549104   $   2,180      24,760    SH   DEFINED             3,1       24,760    0         -
PEABODY ENERGY CORP          COMMON 704549104   $      68         777    SH   DEFINED               5          530    0         247
PEABODY ENERGY CORP          COMMON 704549104   $     341       3,872    SH   DEFINED               7        3,872    0         -
PEABODY ENERGY CORP          COMMON 704549104   $     156       1,774    SH   DEFINED             8,2        1,774    0         -
PEARSON PLC ADR              COMMON 705015105   $      25       2,000    SH   DEFINED              22        2,000    0         -
PEARSON PLC ADR              COMMON 705015105   $   8,527     696,051    SH   DEFINED              23      696,051    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $  41,728     847,608    SH   DEFINED               1      847,608    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $   3,242      65,849    SH   DEFINED             1,9       65,849    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $      44         900    SH   DEFINED              14          900    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $   9,404     191,023    SH   DEFINED               2      191,023    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $     868      17,638    SH   DEFINED            20,2          -      0      17,638
PEDIATRIX MED GROUP          COMMON 705324101   $      12         236    SH   DEFINED              22          -      0         236
PEDIATRIX MED GROUP          COMMON 705324101   $     740      15,033    SH   DEFINED              23       15,033    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $      34         700    SH   DEFINED               8          700    0         -
PEDIATRIX MED GROUP          COMMON 705324101   $      10         200    SH   DEFINED            8,20          200    0         -
PEERLESS MFG CO              COMMON 705514107   $     381       8,193    SH   DEFINED              23        8,193    0         -
PEETS COFFEE & TEA INC       COMMON 705560100   $       2         121    SH   DEFINED              23          121    0         -
PEGASYSTEMS INC              COMMON 705573103   $       2         127    SH   DEFINED              23          127    0         -
PENGROWTH ENERGY TRUST       COMMON 706902509   $      82       4,000    SH   DEFINED              22          -      0       4,000
PENGROWTH ENERGY TRUST       COMMON 706902509   $      14         700    SH   DEFINED               5          700    0         -
PENFORD CORP                 COMMON 707051108   $     179      12,044    SH   DEFINED              23       12,044    0         -
PENN NATIONAL GAMING INC     COMMON 707569109   $     106       3,300    SH   DEFINED              23        3,300    0         -
PENN NATIONAL GAMING INC     COMMON 707569109   $       2          64    SH   DEFINED              24           64    0         -
PENN NATIONAL GAMING INC     COMMON 707569109   $       6         200    SH   DEFINED               5          200    0         -
PENN TREATY AMER CORP        COMMON 707874400   $      45       9,308    SH   DEFINED              23        9,308    0         -
PENN VA CORP                 COMMON 707882106   $  12,176     161,439    SH   DEFINED               1      161,439    0         -
PENN VA CORP                 COMMON 707882106   $   7,042      93,369    SH   DEFINED               2       36,616    0      56,753
PENN VA CORP                 COMMON 707882106   $     216       2,865    SH   DEFINED              23        2,865    0         -
PENN VA CORP                 COMMON 707882106   $       3          45    SH   DEFINED               5           45    0         -
PENN VIRGINIA RESOURCE PARTN COMMON 707884102   $     680      25,000    SH   DEFINED               5       20,000    0       5,000
PENN WEST ENERGY TRUST       COMMON 707885109   $  30,374     897,591    SH   DEFINED               1      897,591    0         -
PENN WEST ENERGY TRUST       COMMON 707885109   $     633      18,710    SH   DEFINED              14       18,710    0         -
PENN WEST ENERGY TRUST       COMMON 707885109   $      79       2,320    SH   DEFINED              22          -      0       2,320
PENN WEST ENERGY TRUST       COMMON 707885109   $  20,928     618,447    SH   DEFINED               4      618,447    0         -
PENN WEST ENERGY TRUST       COMMON 707885109   $      17         505    SH   DEFINED               5          155    0         350
PENNANTPARK INVESTMENT CORP  COMMON 708062104   $   1,162     161,120    SH   DEFINED              23      161,120    0         -
J. C. PENNEY CO              COMMON 708160106   $     296       8,155    SH   DEFINED              22          -      0       8,155
J. C. PENNEY CO              COMMON 708160106   $     796      21,933    SH   DEFINED              23       21,933    0         -
J. C. PENNEY CO              COMMON 708160106   $      17         462    SH   DEFINED              24          462    0         -
J. C. PENNEY CO              COMMON 708160106   $       1          40    SH   DEFINED               4           40    0         -
J. C. PENNEY CO              COMMON 708160106   $     651      17,940    SH   DEFINED               5        2,581    0      15,359
J. C. PENNEY CO              COMMON 708160106   $     193       5,306    SH   DEFINED               7        5,306    0         -
J. C. PENNEY CO              COMMON 708160106   $  15,377     423,730    SH   DEFINED               8      423,730    0         -
J. C. PENNEY CO              COMMON 708160106   $   1,825      50,300    SH   DEFINED             8,2       50,300    0         -
PENNSYLVANIA COMMERCE BANCRP COMMON 708677109   $       1          41    SH   DEFINED              23           41    0         -
PENNSYLVANIA RL ESTATE INVT
TR                           COMMON 709102107   $     703      30,400    SH   DEFINED              14       30,400    0         -
PENNSYLVANIA RL ESTATE INVT
TR                           COMMON 709102107   $     121       5,232    SH   DEFINED              23        5,232    0         -
PENNSYLVANIA RL ESTATE INVT
TR                           COMMON 709102107   $       2          96    SH   DEFINED              24           96    0         -
PENNSYLVANIA RL ESTATE INVT
TR                           COMMON 709102107   $       9         400    SH   DEFINED               5          -      0         400
PENSKE AUTO GROUP INC        COMMON 70959W103   $     670      45,444    SH   DEFINED              14          -      0      43,766
PENSKE AUTO GROUP INC        COMMON 70959W103   $     134       9,121    SH   DEFINED              23        9,121    0         -
PENSKE AUTO GROUP INC        COMMON 70959W103   $       3         178    SH   DEFINED              24          178    0         -
PENSON WORLDWIDE INC         COMMON 709600100   $      35       2,911    SH   DEFINED              23        2,911    0         -
PENTAIR INC                  COMMON 709631105   $  35,573   1,015,800    SH   DEFINED               1    1,015,800    0         -
PENTAIR INC                  COMMON 709631105   $      11         300    SH   DEFINED              14          300    0         -
PENTAIR INC                  COMMON 709631105   $  85,622   2,444,951    SH   DEFINED              23    2,444,951    0         -
PENTAIR INC                  COMMON 709631105   $     153       4,356    SH   DEFINED              24        4,356    0         -
PENTAIR INC                  COMMON 709631105   $       5         152    SH   DEFINED               5          -      0         152
PENWEST PHARMACEUTICALS CO   COMMON 709754105   $       1         268    SH   DEFINED              22          -      0         268
PENWEST PHARMACEUTICALS CO   COMMON 709754105   $       1         203    SH   DEFINED              23          203    0         -
PEOPLES BANCORP INC          COMMON 709789101   $     535      28,200    SH   DEFINED              14       24,000    0       4,200
PEOPLES BANCORP INC          COMMON 709789101   $      80       4,191    SH   DEFINED              22          -      0       4,191
PEOPLES BANCORP INC          COMMON 709789101   $      43       2,265    SH   DEFINED              23        2,265    0         -
PEOPLES BANCORP INC          COMMON 709789101   $      91       4,800    SH   DEFINED            5,15        4,800    0         -
PEOPLES BANCORP INC          COMMON 709789101   $      53       2,800    SH   DEFINED               8        2,800    0         -
PEOPLES BANCORP INC          COMMON 709789101   $      15         800    SH   DEFINED            8,20          800    0         -
PEOPLES FINANCIAL CORP-MISS  COMMON 71103B102   $     214      10,474    SH   DEFINED              23       10,474    0         -
PEOPLE'S UNITED FINANCIAL    COMMON 712704105   $  58,134   3,726,553    SH   DEFINED               1    3,726,553    0         -
PEOPLE'S UNITED FINANCIAL    COMMON 712704105   $     406      26,031    SH   DEFINED              14       26,031    0         -
PEOPLE'S UNITED FINANCIAL    COMMON 712704105   $   2,151     137,882    SH   DEFINED              23      137,882    0         -
PEOPLE'S UNITED FINANCIAL    COMMON 712704105   $       3         170    SH   DEFINED              24          170    0         -
PEOPLE'S UNITED FINANCIAL    COMMON 712704105   $  13,512     866,132    SH   DEFINED               4      866,132    0         -
PEOPLE'S UNITED FINANCIAL    COMMON 712704105   $     843      54,050    SH   DEFINED               5          -      0      54,050
PEOPLESUPPORT INC            COMMON 712714302   $       2         199    SH   DEFINED              23          199    0         -

PEP BOYS-MANNY MOE & JACK    COMMON 713278109   $     356      40,808    SH   DEFINED              23       40,808    0         -
PEP BOYS-MANNY MOE & JACK    COMMON 713278109   $       1         100    SH   DEFINED               5          -      0         100
PEPCO HOLDINGS INC           COMMON 713291102   $  12,774     498,000    SH   DEFINED               1      498,000    0         -
PEPCO HOLDINGS INC           COMMON 713291102   $      33       1,300    SH   DEFINED              14          -      0         -
PEPCO HOLDINGS INC           COMMON 713291102   $      12         475    SH   DEFINED              22          475    0         -
PEPCO HOLDINGS INC           COMMON 713291102   $     808      31,504    SH   DEFINED              23       31,504    0         -
PEPCO HOLDINGS INC           COMMON 713291102   $      15         587    SH   DEFINED              24          587    0         -
PEPCO HOLDINGS INC           COMMON 713291102   $      79       3,070    SH   DEFINED               5        1,920    0       1,150
PEPCO HOLDINGS INC           COMMON 713291102   $     118       4,617    SH   DEFINED               7        4,617    0         -
PEPSI BOTTLING GROUP INC     COMMON 713409100   $   6,720     240,684    SH   DEFINED              23      240,684    0         -
PEPSI BOTTLING GROUP INC     COMMON 713409100   $      31       1,113    SH   DEFINED              24        1,113    0         -
PEPSI BOTTLING GROUP INC     COMMON 713409100   $      79       2,814    SH   DEFINED               5        2,464    0         350
PEPSIAMERICAS INC            COMMON 71343P200   $   2,275     115,024    SH   DEFINED              23      115,024    0         -
PEPSIAMERICAS INC            COMMON 71343P200   $       3         147    SH   DEFINED              24          147    0         -
PEPSIAMERICAS INC            COMMON 71343P200   $       7         353    SH   DEFINED               5          123    0         230
PEPSICO INC                  COMMON 713448108   $ 268,760   4,226,457    SH   DEFINED               1    4,226,457    0         -
PEPSICO INC                  COMMON 713448108   $   1,005      15,800    SH   DEFINED            1,15       15,800    0         -
PEPSICO INC                  COMMON 713448108   $     865      13,600    SH   DEFINED           10,14       13,600    0         -
PEPSICO INC                  COMMON 713448108   $     206       3,232    SH   DEFINED              13        3,232    0         -
PEPSICO INC                  COMMON 713448108   $   1,263      19,854    SH   DEFINED            13,2        2,832    0      17,022
PEPSICO INC                  COMMON 713448108   $  47,276     743,450    SH   DEFINED              14      523,800    0     171,550
PEPSICO INC                  COMMON 713448108   $     502       7,900    SH   DEFINED           14,13          -      0       7,900
PEPSICO INC                  COMMON 713448108   $   6,823     107,300    SH   DEFINED            14,7          -      0     107,300
PEPSICO INC                  COMMON 713448108   $  27,797     437,131    SH   DEFINED               2      437,131    0         -
PEPSICO INC                  COMMON 713448108   $     521       8,200    SH   DEFINED           20,14          -      0         -
PEPSICO INC                  COMMON 713448108   $   2,081      32,730    SH   DEFINED              21       32,730    0         -
PEPSICO INC                  COMMON 713448108   $ 100,712   1,583,777    SH   DEFINED              22      512,343    0   1,071,435
PEPSICO INC                  COMMON 713448108   $   5,822      91,550    SH   DEFINED              23       91,550    0         -
PEPSICO INC                  COMMON 713448108   $      76       1,201    SH   DEFINED              24        1,201    0         -
PEPSICO INC                  COMMON 713448108   $   5,103      80,250    SH   DEFINED               3       80,250    0         -
PEPSICO INC                  COMMON 713448108   $   3,607      56,720    SH   DEFINED             3,1       56,720    0         -
PEPSICO INC                  COMMON 713448108   $     497       7,808    SH   DEFINED               4        7,808    0         -
PEPSICO INC                  COMMON 713448108   $  48,445     761,834    SH   DEFINED               5      596,294    0     165,540
PEPSICO INC                  COMMON 713448108   $   1,113      17,500    SH   DEFINED            5,15       17,500    0         -
PEPSICO INC                  COMMON 713448108   $     541       8,500    SH   DEFINED               6        8,500    0         -
PEPSICO INC                  COMMON 713448108   $   3,991      62,766    SH   DEFINED               7       62,766    0         -
PEPSICO INC                  COMMON 713448108   $   6,333      99,590    SH   DEFINED               8       99,590    0         -
PEPSICO INC                  COMMON 713448108   $   3,612      56,800    SH   DEFINED            8,14       56,800    0         -
PEPSICO INC                  COMMON 713448108   $     661      10,388    SH   DEFINED             8,2       10,388    0         -
PEPSICO INC                  COMMON 713448108   $     273       4,300    SH   DEFINED            9,14          -      0       4,300
PERCEPTRON INC               COMMON 71361F100   $     155      17,663    SH   DEFINED              23       17,663    0         -
PERDIGAO SA-ADR              COMMON 71361V303   $     502       7,638    SH   DEFINED              23        7,638    0         -
PEREGRINE PHARMACEUTICALS    COMMON 713661106       $ -            10    SH   DEFINED              22          -      0          10
PEREGRINE PHARMACEUTICALS    COMMON 713661106   $       1       1,979    SH   DEFINED              23        1,979    0         -
PERFECT WORLD CO LTD-ADR     COMMON 71372U104   $   1,604      64,200    SH   DEFINED             1,7          -      0      64,200
PERFECT WORLD CO LTD-ADR     COMMON 71372U104   $     671      26,845    SH   DEFINED              23       26,845    0         -
PERFECT WORLD CO LTD-ADR     COMMON 71372U104   $     190       7,600    SH   DEFINED               6          -     7600       -
PERFECT WORLD CO LTD-ADR     COMMON 71372U104   $      95       3,800    SH   DEFINED             8,6        3,800    0         -
PERFICIENT INC               COMMON 71375U101   $       8         872    SH   DEFINED              23          872    0         -
PERFORMANCE TECHNOLOGIES INC COMMON 71376K102   $       2         332    SH   DEFINED              23          332    0         -
PERICOM SEMICONDUCTOR CORP   COMMON 713831105   $   1,389      93,600    SH   DEFINED              14       62,900    0      30,700
PERICOM SEMICONDUCTOR CORP   COMMON 713831105   $     368      24,788    SH   DEFINED              23       24,788    0         -
PERICOM SEMICONDUCTOR CORP   COMMON 713831105   $     229      15,400    SH   DEFINED            5,15       15,400    0         -
PERINI CORP                  COMMON 713839108   $     803      24,300    SH   DEFINED              14       24,300    0         -
PERINI CORP                  COMMON 713839108   $     727      21,982    SH   DEFINED              23       21,982    0         -
PERINI CORP                  COMMON 713839108   $     469      14,200    SH   DEFINED               8       14,200    0         -
PERINI CORP                  COMMON 713839108   $     129       3,900    SH   DEFINED            8,20        3,900    0         -
PERKINELMER INC              COMMON 714046109   $  21,479     771,246    SH   DEFINED               1      771,246    0         -
PERKINELMER INC              COMMON 714046109   $     109       3,900    SH   DEFINED           10,14        3,900    0         -
PERKINELMER INC              COMMON 714046109   $  17,557     630,420    SH   DEFINED              14      273,720    0     352,100
PERKINELMER INC              COMMON 714046109   $     657      23,600    SH   DEFINED            14,7          -      0      23,600
PERKINELMER INC              COMMON 714046109   $     202       7,269    SH   DEFINED              23        7,269    0         -
PERKINELMER INC              COMMON 714046109   $       4         131    SH   DEFINED              24          131    0         -
PERKINELMER INC              COMMON 714046109   $     869      31,200    SH   DEFINED            8,14       31,200    0         -
PERMIAN BASIN ROYALTY TRUST  COMMON 714236106   $      57       2,500    SH   DEFINED               5          500    0       2,000
PEROT SYS CORP               COMMON 714265105   $      15         980    SH   DEFINED              22          -      0         980
PEROT SYS CORP               COMMON 714265105   $     124       8,245    SH   DEFINED              23        8,245    0         -
PEROT SYS CORP               COMMON 714265105   $       2         152    SH   DEFINED              24          152    0         -
PEROT SYS CORP               COMMON 714265105   $     165      11,010    SH   DEFINED               5        4,560    0       6,450
PERRIGO CO                   COMMON 714290103   $   3,831     120,600    SH   DEFINED               1      120,600    0         -
PERRIGO CO                   COMMON 714290103   $     626      19,700    SH   DEFINED            1,15       19,700    0         -
PERRIGO CO                   COMMON 714290103   $     480      15,108    SH   DEFINED             1,9       15,108    0         -
PERRIGO CO                   COMMON 714290103   $      82       2,578    SH   DEFINED              11        2,578    0         -
PERRIGO CO                   COMMON 714290103   $   6,543     205,944    SH   DEFINED              14      111,044    0      94,300
PERRIGO CO                   COMMON 714290103   $   6,192     194,898    SH   DEFINED              23      194,898    0         -
PERRIGO CO                   COMMON 714290103   $     423      13,300    SH   DEFINED            5,15       13,300    0         -
PERRIGO CO                   COMMON 714290103   $      98       3,100    SH   DEFINED               8        3,100    0         -
PERRIGO CO                   COMMON 714290103   $      29         900    SH   DEFINED            8,20          900    0         -
PT INDOSAT-ADR               COMMON 715680104   $      32       1,000    SH   DEFINED              22          -      0       1,000
TELEKOMUNIKASI ADR           COMMON 715684106   $  11,493     356,361    SH   DEFINED              11      356,361    0         -
TELEKOMUNIKASI ADR           COMMON 715684106   $     115       3,579    SH   DEFINED              14        3,579    0         -
TELEKOMUNIKASI ADR           COMMON 715684106   $     796      24,682    SH   DEFINED            20,2       24,682    0         -
TELEKOMUNIKASI ADR           COMMON 715684106   $      44       1,350    SH   DEFINED              22          -      0       1,350
TELEKOMUNIKASI ADR           COMMON 715684106   $     527      16,336    SH   DEFINED              23       16,336    0         -
TELEKOMUNIKASI ADR           COMMON 715684106   $  17,357     538,216    SH   DEFINED               4      538,216    0         -
TELEKOMUNIKASI ADR           COMMON 715684106   $       2          54    SH   DEFINED               5          -      0          54
PERVASIVE SOFTWARE INC       COMMON 715710109   $       2         557    SH   DEFINED              23          557    0         -
PET DRX CORP                 COMMON 715813101   $     200      45,000    SH   DEFINED              22       45,000    0         -
PET DRX CORP                 COMMON 715813101   $     200      45,000    SH   DEFINED               5          -      0      45,000
PET DRX CORP                 COMMON 715813119   $      33      50,000    SH   DEFINED              22       50,000    0         -
PET DRX CORP                 COMMON 715813119   $      33      50,000    SH   DEFINED               5          -      0      50,000
PETMED EXPRESS INC           COMMON 716382106   $       7         609    SH   DEFINED              23          609    0         -
PETRO-CANADA                 COMMON 71644E102   $     374       6,700    SH   DEFINED           10,14        6,700    0         -
PETRO-CANADA                 COMMON 71644E102   $   2,729      48,467    SH   DEFINED               2       48,467    0         -
PETRO-CANADA                 COMMON 71644E102   $   1,128      20,033    SH   DEFINED              21       20,033    0         -
PETRO-CANADA                 COMMON 71644E102   $   1,056      18,867    SH   DEFINED              23       18,867    0         -
PETRO-CANADA                 COMMON 71644E102   $      32         574    SH   DEFINED              24          574    0         -
PETRO-CANADA                 COMMON 71644E102   $  47,098     836,600    SH   DEFINED               3      836,600    0         -
PETRO-CANADA                 COMMON 71644E102   $  58,665   1,042,080    SH   DEFINED             3,1    1,042,080    0         -
PETRO-CANADA                 COMMON 71644E102   $   1,259      22,355    SH   DEFINED               7       22,355    0         -


PETRO-CANADA                 COMMON 71644E102   $    2,636      46,830   SH   DEFINED                8       43,788  3042        -
PETRO-CANADA                 COMMON 71644E102   $    2,102      37,700   SH   DEFINED             8,14       37,700    0         -
PETROCHINA CO LTD- ADR       COMMON 71646E100   $       30         230   SH   DEFINED               22          -      0         230
PETROCHINA CO LTD- ADR       COMMON 71646E100   $   25,591     198,593   SH   DEFINED               23      198,593    0         -
PETROHAWK ENERGY CORP        COMMON 716495106   $        8         177   SH   DEFINED               22          -      0         177
PETROHAWK ENERGY CORP        COMMON 716495106   $      501      10,811   SH   DEFINED               23       10,811    0         -
PETROHAWK ENERGY CORP        COMMON 716495106   $        7         159   SH   DEFINED               24          159    0         -
PETROHAWK ENERGY CORP        COMMON 716495106   $      282       6,085   SH   DEFINED                5        1,567    0       4,518
PETROLEUM & RES CORP         COMMON 716549100   $        4          87   SH   DEFINED               22          -      0          87
PETROLEUM & RES CORP         COMMON 716549100   $      251       5,891   SH   DEFINED                5        5,891    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $   95,254   1,643,725   SH   DEFINED                1    1,643,725    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $    3,026      52,225   SH   DEFINED            11,13       52,225    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $   11,450     197,587   SH   DEFINED                2      197,587    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $      116       2,000   SH   DEFINED               22        2,000    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $    3,198      55,185   SH   DEFINED               23       55,185    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $    4,668      80,557   SH   DEFINED              3,1       80,557    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $  116,847   2,016,350   SH   DEFINED                8    2,016,350    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $    5,291      91,300   SH   DEFINED             8,14       91,300    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V101   $    9,857     170,100   SH   DEFINED             8,20      170,100    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $   75,930   1,072,000   SH   DEFINED                1    1,072,000    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $    1,183      16,700   SH   DEFINED             1,12       16,700    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $   21,756     307,159   SH   DEFINED               11      263,959    0      43,200
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $   12,254     173,000   SH   DEFINED             13,2          -      0     173,000
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $    3,529      49,826   SH   DEFINED               14       49,826    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $    7,052      99,564   SH   DEFINED                2       99,564    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $      108       1,520   SH   DEFINED               22          -      0       1,520
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $    2,169      30,619   SH   DEFINED               23       30,619    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $   83,362   1,176,932   SH   DEFINED              3,1    1,176,932    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $   33,670     475,368   SH   DEFINED                4      475,368    0         -
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $    1,538      21,710   SH   DEFINED                5        5,080    0      16,630
PETROLEO BRASILEIRO SA ADR   COMMON 71654V408   $    8,882     125,400   SH   DEFINED             5,12      125,400    0         -
PETROLEUM DEVELOPMENT CORP   COMMON 716578109   $       70       1,052   SH   DEFINED               23        1,052    0         -
PETROQUEST ENERGY INC        COMMON 716748108   $    8,662     322,000   SH   DEFINED               14      208,900    0     113,100
PETROQUEST ENERGY INC        COMMON 716748108   $      135       5,000   SH   DEFINED               22          -      0       5,000
PETROQUEST ENERGY INC        COMMON 716748108   $      269      10,000   SH   DEFINED               23       10,000    0         -
PETROQUEST ENERGY INC        COMMON 716748108   $    1,375      51,100   SH   DEFINED             5,15       51,100    0         -
PETSMART INC                 COMMON 716768106   $   17,624     883,403   SH   DEFINED                1      883,403    0         -
PETSMART INC                 COMMON 716768106   $    1,043      52,287   SH   DEFINED             13,2          -      0      52,287
PETSMART INC                 COMMON 716768106   $    3,424     171,608   SH   DEFINED               22      131,070    0      40,538
PETSMART INC                 COMMON 716768106   $      170       8,519   SH   DEFINED               23        8,519    0         -
PETSMART INC                 COMMON 716768106   $      695      34,840   SH   DEFINED               24       34,840    0         -
PETSMART INC                 COMMON 716768106   $    4,498     225,456   SH   DEFINED                5      202,132    0      23,324
PFIZER INC                   COMMON 717081103   $  135,984   7,783,834   SH   DEFINED                1    7,783,834    0         -
PFIZER INC                   COMMON 717081103   $   10,211     584,500   SH   DEFINED             1,15      584,500    0         -
PFIZER INC                   COMMON 717081103   $   11,375     651,128   SH   DEFINED              1,9      651,128    0         -
PFIZER INC                   COMMON 717081103   $    3,470     198,600   SH   DEFINED            10,14      198,600    0         -
PFIZER INC                   COMMON 717081103   $      987      56,511   SH   DEFINED             10,7       56,511    0         -
PFIZER INC                   COMMON 717081103   $   21,098   1,207,688   SH   DEFINED               11      295,588    0     912,100
PFIZER INC                   COMMON 717081103   $      908      51,975   SH   DEFINED               13       51,975    0         -
PFIZER INC                   COMMON 717081103   $  184,654  10,569,784   SH   DEFINED               14    7,340,017    0   2,829,867
PFIZER INC                   COMMON 717081103   $    4,149     237,500   SH   DEFINED            14,13          -      0     237,500
PFIZER INC                   COMMON 717081103   $   14,598     835,600   SH   DEFINED             14,7          -      0     835,600
PFIZER INC                   COMMON 717081103   $      334      19,100   SH   DEFINED               17       19,100    0         -
PFIZER INC                   COMMON 717081103   $       15         835   SH   DEFINED            18,11          835    0         -
PFIZER INC                   COMMON 717081103   $      418      23,900   SH   DEFINED            18,14          -      0      23,900
PFIZER INC                   COMMON 717081103   $    2,371     135,746   SH   DEFINED               19      135,746    0         -
PFIZER INC                   COMMON 717081103   $    1,472      84,275   SH   DEFINED            19,14       48,400    0      35,875
PFIZER INC                   COMMON 717081103   $    2,664     152,485   SH   DEFINED                2      152,485    0         -
PFIZER INC                   COMMON 717081103   $    1,630      93,300   SH   DEFINED            20,14          -      0         -
PFIZER INC                   COMMON 717081103   $    1,747     100,008   SH   DEFINED             20,2          -      0     100,008
PFIZER INC                   COMMON 717081103   $    3,565     204,043   SH   DEFINED               21      204,043    0         -
PFIZER INC                   COMMON 717081103   $   17,274     988,770   SH   DEFINED               22      204,797    0     783,973
PFIZER INC                   COMMON 717081103   $   33,466   1,915,641   SH   DEFINED               23    1,915,641    0         -
PFIZER INC                   COMMON 717081103   $      226      12,919   SH   DEFINED               24       12,919    0         -
PFIZER INC                   COMMON 717081103   $    1,595      91,300   SH   DEFINED                3       91,300    0         -
PFIZER INC                   COMMON 717081103   $   16,746     958,556   SH   DEFINED              3,1      958,556    0         -
PFIZER INC                   COMMON 717081103   $       11         630   SH   DEFINED                4          630    0         -
PFIZER INC                   COMMON 717081103   $   11,028     631,268   SH   DEFINED                5      568,830    0      62,438
PFIZER INC                   COMMON 717081103   $    9,357     535,600   SH   DEFINED             5,15      535,600    0         -
PFIZER INC                   COMMON 717081103   $      811      46,400   SH   DEFINED                6       46,400    0         -
PFIZER INC                   COMMON 717081103   $   14,598     835,621   SH   DEFINED                7      835,621    0         -
PFIZER INC                   COMMON 717081103   $   63,048   3,608,957   SH   DEFINED                8    3,608,957    0         -
PFIZER INC                   COMMON 717081103   $   21,384   1,224,043   SH   DEFINED             8,14    1,148,900    0      75,143
PFIZER INC                   COMMON 717081103   $    5,599     320,464   SH   DEFINED                9      320,464    0         -
PFIZER INC                   COMMON 717081103   $    2,259     129,300   SH   DEFINED             9,14          -      0     129,300
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $   88,451   2,061,806   SH   DEFINED                1    2,061,806    0         -
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $      339       7,900   SH   DEFINED               17        7,900    0         -
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $    4,956     115,526   SH   DEFINED                2       64,667    0      50,859
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $    3,483      81,181   SH   DEFINED             20,2          -      0      81,181
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $       36         828   SH   DEFINED               22          335    0         493
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $    4,395     102,458   SH   DEFINED               23      102,458    0         -
PHARMACEUTICAL PROD DEV INC  COMMON 717124101   $        4         100   SH   DEFINED                5          100    0         -
PHARMANET DEVELOPMENT GROUP  COMMON 717148100   $    7,140     452,744   SH   DEFINED                1      452,744    0         -
PHARMANET DEVELOPMENT GROUP  COMMON 717148100   $    1,705     108,100   SH   DEFINED               14       56,600    0      51,500
PHARMANET DEVELOPMENT GROUP  COMMON 717148100   $      680      43,090   SH   DEFINED                2       43,090    0         -
PHARMANET DEVELOPMENT GROUP  COMMON 717148100   $      951      60,313   SH   DEFINED             20,2          -      0      60,313
PHARMANET DEVELOPMENT GROUP  COMMON 717148100   $      170      10,765   SH   DEFINED               23       10,765    0         -
PHARMANET DEVELOPMENT GROUP  COMMON 717148100   $      241      15,300   SH   DEFINED             5,15       15,300    0         -
PHARMERICA CORP              COMMON 71714F104   $      346      15,300   SH   DEFINED                1       15,300    0         -
PHARMERICA CORP              COMMON 71714F104   $    1,059      46,900   SH   DEFINED             1,15       46,900    0         -
PHARMERICA CORP              COMMON 71714F104   $      233      10,300   SH   DEFINED            10,14       10,300    0         -
PHARMERICA CORP              COMMON 71714F104   $       32       1,426   SH   DEFINED               11        1,426    0         -
PHARMERICA CORP              COMMON 71714F104   $   18,711     828,291   SH   DEFINED               14      509,489    0     297,302
PHARMERICA CORP              COMMON 71714F104   $      294      13,000   SH   DEFINED            14,13          -      0      13,000
PHARMERICA CORP              COMMON 71714F104   $      755      33,400   SH   DEFINED             14,7          -      0      33,400
PHARMERICA CORP              COMMON 71714F104   $       61       2,700   SH   DEFINED            20,14          -      0         -
PHARMERICA CORP              COMMON 71714F104   $      856      37,900   SH   DEFINED             5,15       37,900    0         -
PHARMERICA CORP              COMMON 71714F104   $       17         749   SH   DEFINED                6          749    0         -
PHARMERICA CORP              COMMON 71714F104   $      281      12,440   SH   DEFINED                7       12,440    0         -
PHARMERICA CORP              COMMON 71714F104   $      409      18,100   SH   DEFINED                8       18,100    0         -
PHARMERICA CORP              COMMON 71714F104   $   1,353      59,900    SH   DEFINED            8,14       59,900     0         -
PHARMERICA CORP              COMMON 71714F104   $     160       7,100    SH   DEFINED            9,14          -       0       7,100
PHARMASSET INC               COMMON 71715N106   $       2          93    SH   DEFINED              23           93     0         -
PHARMASSET INC               COMMON 71715N106   $   1,129      59,800    SH   DEFINED               3       59,800     0         -
PHILADELPHIA CONSOLIDATED
HOLD                         COMMON 717528103   $      18         541    SH   DEFINED              22          -       0         541
PHILADELPHIA CONSOLIDATED
HOLD                         COMMON 717528103   $   5,331     156,925    SH   DEFINED              23      156,925     0         -
PHILADELPHIA CONSOLIDATED
HOLD                         COMMON 717528103   $     205       6,043    SH   DEFINED              24        6,043     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $  20,771     420,549    SH   DEFINED               1      420,549     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   4,248      86,000    SH   DEFINED            1,15       86,000     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   1,358      27,500    SH   DEFINED           10,14       27,500     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     178       3,611    SH   DEFINED            10,7        3,611     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $  37,440     758,044    SH   DEFINED              11       98,344     0     659,700
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     212       4,293    SH   DEFINED              13        4,293     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $  78,990   1,599,320    SH   DEFINED              14    1,126,770     0     412,750
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   1,531      31,000    SH   DEFINED           14,13          -       0      31,000
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   6,668     135,000    SH   DEFINED            14,7          -       0     135,000
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $      18         365    SH   DEFINED           18,11          365     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     459       9,300    SH   DEFINED           18,14          -       0       9,300
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     439       8,890    SH   DEFINED              19        8,890     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   1,860      37,650    SH   DEFINED           19,14       20,850     0      16,800
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     775      15,700    SH   DEFINED           20,14          -       0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     165       3,348    SH   DEFINED              21        3,348     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   3,926      79,496    SH   DEFINED              22       13,888     0      65,608
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   8,393     169,941    SH   DEFINED              23      169,941     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     201       4,064    SH   DEFINED              24        4,064     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   2,083      42,170    SH   DEFINED               5       27,576     0      14,594
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   3,428      69,400    SH   DEFINED            5,15       69,400     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   1,408      28,500    SH   DEFINED               6       28,500     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   5,296     107,228    SH   DEFINED               7      107,228     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $  10,384     210,251    SH   DEFINED               8      210,251     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $   9,236     187,000    SH   DEFINED            8,14      157,600     0      29,400
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     776      15,720    SH   DEFINED               9       15,720     0         -
PHILIP MORRIS INTERNATIONAL  COMMON 718172109   $     830      16,800    SH   DEFINED            9,14          -       0      16,800
PHILIPPINE LONG DIST ADR     COMMON 718252604   $      77       1,440    SH   DEFINED              22          -       0       1,440
PHILIPPINE LONG DIST ADR     COMMON 718252604   $      83       1,549    SH   DEFINED              23        1,549     0         -
PHILIPPINE LONG DIST ADR     COMMON 718252604   $   2,842      53,200    SH   DEFINED               8       53,200     0         -
PHILIPPINE LONG DIST ADR     COMMON 718252604   $     609      11,400    SH   DEFINED            8,14       11,400     0         -
PHILIPPINE LONG DIST ADR     COMMON 718252604   $   1,261      23,600    SH   DEFINED            8,20       23,600     0         -
PHILLIPS-VAN HEUSEN          COMMON 718592108   $       3          90    SH   DEFINED              22          -       0          90
PHILLIPS-VAN HEUSEN          COMMON 718592108   $     210       5,741    SH   DEFINED              23        5,741     0         -
PHILLIPS-VAN HEUSEN          COMMON 718592108   $   5,101     139,300    SH   DEFINED               3      139,300     0         -
PHOENIX COMPANIES INC        COMMON 71902E109   $   1,934     254,149    SH   DEFINED              23      254,149     0         -
PHOENIX COMPANIES INC        COMMON 71902E109   $       2         324    SH   DEFINED              24          324     0         -
PHOENIX COMPANIES INC        COMMON 71902E109   $     147      19,310    SH   DEFINED               5        4,840     0      14,470
PHOENIX TECHNOLOGIES LTD     COMMON 719153108   $       3         240    SH   DEFINED              23          240     0         -
PHOTON DYNAMICS INC          COMMON 719364101   $     321      21,264    SH   DEFINED              23       21,264     0         -
PHOTRONICS INC               COMMON 719405102   $   1,982     281,598    SH   DEFINED              23      281,598     0         -
PHYSICIANS FORMULA HOLDINGS  COMMON 719427106   $       1         123    SH   DEFINED              23          123     0         -
PIEDMONT NATURAL GAS         COMMON 720186105   $   3,267     124,900    SH   DEFINED              14       92,900     0      32,000
PIEDMONT NATURAL GAS         COMMON 720186105   $     167       6,400    SH   DEFINED              22          -       0       6,400
PIEDMONT NATURAL GAS         COMMON 720186105   $   2,370      90,614    SH   DEFINED              23       90,614     0         -
PIEDMONT NATURAL GAS         COMMON 720186105   $       4         135    SH   DEFINED              24          135     0         -
PIEDMONT NATURAL GAS         COMMON 720186105   $     171       6,550    SH   DEFINED               5        6,550     0         -
PIEDMONT NATURAL GAS         COMMON 720186105   $     377      14,400    SH   DEFINED            5,15       14,400     0         -
PIEDMONT NATURAL GAS         COMMON 720186105   $     727      27,800    SH   DEFINED               8       27,800     0         -
PIEDMONT NATURAL GAS         COMMON 720186105   $     199       7,600    SH   DEFINED            8,20        7,600     0         -
PIER 1 IMPORTS INC           COMMON 720279108   $     129      37,416    SH   DEFINED              23       37,416     0         -
PIKE ELECTRIC CORP           COMMON 721283109   $  13,145     791,362    SH   DEFINED               1      791,362     0         -
PIKE ELECTRIC CORP           COMMON 721283109   $   1,390      83,700    SH   DEFINED              14       43,100     0      40,600
PIKE ELECTRIC CORP           COMMON 721283109   $  10,538     634,467    SH   DEFINED               2      634,467     0         -
PIKE ELECTRIC CORP           COMMON 721283109   $     183      11,000    SH   DEFINED              22       11,000     0         -
PIKE ELECTRIC CORP           COMMON 721283109   $     855      51,454    SH   DEFINED              23       51,454     0         -
PIKE ELECTRIC CORP           COMMON 721283109   $     183      11,000    SH   DEFINED               5          -       0      11,000
PIKE ELECTRIC CORP           COMMON 721283109   $     199      12,000    SH   DEFINED            5,15       12,000     0         -
PILGRIMS PRIDE CORP          COMMON 721467108   $     111       8,571    SH   DEFINED              23        8,571     0         -
PILGRIMS PRIDE CORP          COMMON 721467108   $       2         165    SH   DEFINED              24          165     0         -
PILGRIMS PRIDE CORP          COMMON 721467108   $      99       7,615    SH   DEFINED               5        1,765     0       5,850
PIMCO CALIFORNIA MUNICIPA II
C                            COMMON 72200M108   $      60       4,220    SH   DEFINED              22          -       0       4,220
PIMCO NEW YORK MUNI INC FD
CF                           COMMON 72200T103   $      26       2,000    SH   DEFINED              22          -       0       2,000
PIMCO MUNICIPAL INCOME FD II
C                            COMMON 72200W106   $      14       1,000    SH   DEFINED              22          -       0       1,000
RCM STRATEGIC GLOBAL GOVT FD COMMON 72200X104   $      77       6,967    SH   DEFINED              22          -       0       6,967
PIMCO CORPORATE OPPORTUNITY  COMMON 72201B101   $      83       5,689    SH   DEFINED              22          -       0       5,689
PINNACLE AIRLINES CORP       COMMON 723443107   $      22       7,092    SH   DEFINED              23        7,092     0         -
PINNACLE ENTMT INC           COMMON 723456109   $     100       9,562    SH   DEFINED              23        9,562     0         -
PINNACLE FINANCIAL PARTNERS  COMMON 72346Q104   $     180       8,951    SH   DEFINED              23        8,951     0         -
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $     313      10,160    SH   DEFINED              14        8,160     0       2,000
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $     135       4,400    SH   DEFINED            14,7          -       0       4,400
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $      62       2,000    SH   DEFINED              22          -       0       2,000
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $   3,849     125,074    SH   DEFINED              23      125,074     0         -
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $      10         325    SH   DEFINED              24          325     0         -
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $      31       1,000    SH   DEFINED               5        1,000     0         -
PINNACLE WEST CAPITAL CORP   COMMON 723484101   $      57       1,853    SH   DEFINED               7        1,853     0         -
PIONEER DRILLING COMPANY     COMMON 723655106   $     380      20,220    SH   DEFINED              23       20,220     0         -
PIONEER MUNI HI INCOME TRUST
C                            COMMON 723763108   $      14       1,036    SH   DEFINED              22          -       0       1,036
PIONEER NAT RES CO           COMMON 723787107   $      83       1,065    SH   DEFINED              22        1,000     0          65
PIONEER NAT RES CO           COMMON 723787107   $     827      10,567    SH   DEFINED              23       10,567     0         -
PIONEER NAT RES CO           COMMON 723787107   $       9         121    SH   DEFINED              24          121     0         -
PIONEER NAT RES CO           COMMON 723787107   $     135       1,720    SH   DEFINED               4        1,720     0         -
PIONEER SOUTHWEST ENERGY PAR COMMON 72388B106   $      97       5,000    SH   DEFINED              22          -       0       5,000
PIONEER SOUTHWEST ENERGY PAR COMMON 72388B106   $   7,316     377,300    SH   DEFINED               5      377,300     0         -
PIPER JAFFRAY COS            COMMON 724078100   $      10         349    SH   DEFINED              22          309     0          40
PIPER JAFFRAY COS            COMMON 724078100   $     129       4,399    SH   DEFINED              23        4,399     0         -
PIPER JAFFRAY COS            COMMON 724078100   $       6         216    SH   DEFINED               5          -       0         216
PITNEY BOWES INC             COMMON 724479100   $  17,679     518,448    SH   DEFINED               1      518,448     0         -
PITNEY BOWES INC             COMMON 724479100   $      37       1,099    SH   DEFINED              14          -       0       1,099
PITNEY BOWES INC             COMMON 724479100   $   1,565      45,908    SH   DEFINED              22       37,670     0       8,238
PITNEY BOWES INC             COMMON 724479100   $     884      25,926    SH   DEFINED              23       25,926     0         -
PITNEY BOWES INC             COMMON 724479100   $      13         377    SH   DEFINED              24          377     0         -
PITNEY BOWES INC             COMMON 724479100   $   1,424      41,767    SH   DEFINED               5        5,695     0      36,072
PITNEY BOWES INC             COMMON 724479100   $     157       4,602    SH   DEFINED               7        4,602     0         -
PLAINS ALL AMER PIPELINE LP  COMMON 726503105   $   2,302      47,118    SH   DEFINED              22          275     0      46,843
PLAINS ALL AMER PIPELINE LP  COMMON 726503105   $   2,556      52,308    SH   DEFINED               5       38,107     0      14,201
PLAINS EXPLORATION &
PRODUCT                      COMMON 726505100   $ 107,631   1,475,000    SH   DEFINED               1    1,475,000     0         -
PLAINS EXPLORATION &
PRODUCT                      COMMON 726505100   $  18,753     257,000    SH   DEFINED            13,2          -       0     257,000
PLAINS EXPLORATION &
PRODUCT                      COMMON 726505100   $   4,672      64,021    SH   DEFINED              23       64,021     0         -
PLAINS EXPLORATION &
PRODUCT                      COMMON 726505100   $       4          53    SH   DEFINED              24           53     0         -
PLANER SYSTEMS INC           COMMON 726900103   $       3       1,000    SH   DEFINED              22          -       0       1,000
PLANER SYSTEMS INC           COMMON 726900103   $      21       8,137    SH   DEFINED              23        8,137     0         -
PLANTRONICS INC              COMMON 727493108   $   5,343     239,396    SH   DEFINED               1      239,396     0         -
PLANTRONICS INC              COMMON 727493108   $  24,324   1,089,800    SH   DEFINED             1,3    1,089,800     0         -
PLANTRONICS INC              COMMON 727493108   $  13,670     612,440    SH   DEFINED              14      265,740     0     341,900
PLANTRONICS INC              COMMON 727493108   $     462      20,700    SH   DEFINED            18,3       20,700     0         -
PLANTRONICS INC              COMMON 727493108   $      18         800    SH   DEFINED              22          -       0         800
PLANTRONICS INC              COMMON 727493108   $   1,782      79,824    SH   DEFINED              23       79,824     0         -
PLANTRONICS INC              COMMON 727493108   $   4,165     186,600    SH   DEFINED               3      186,600     0         -
PLANTRONICS INC              COMMON 727493108   $     186       8,350    SH   DEFINED               5          -       0       8,350
PLANTRONICS INC              COMMON 727493108   $     321      14,400    SH   DEFINED            5,15       14,400     0         -
PLATO LEARNING INC           COMMON 72764Y100   $       1         208    SH   DEFINED              23          208     0         -
PLAYBOY ENTERPRISES INC      COMMON 728117300   $     230      46,530    SH   DEFINED              23       46,530     0         -
PLEXUS CORP                  COMMON 729132100   $     241       8,700    SH   DEFINED              14        8,700     0         -
PLEXUS CORP                  COMMON 729132100   $   4,404     159,109    SH   DEFINED              23      159,109     0         -
PLEXUS CORP                  COMMON 729132100   $     209       7,555    SH   DEFINED              24        7,555     0         -
PLEXUS CORP                  COMMON 729132100   $      30       1,100    SH   DEFINED            5,15        1,100     0         -
PLUG POWER INC               COMMON 72919P103   $  19,757   8,407,407    SH   DEFINED              23    8,407,407     0         -
PLUG POWER INC               COMMON 72919P103   $      27      11,331    SH   DEFINED              24       11,331     0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $     397       9,300    SH   DEFINED            1,15        9,300     0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $      51       1,200    SH   DEFINED              13        1,200     0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $   7,587     177,640    SH   DEFINED              14      146,040     0      29,600
PLUM CREEK TIMBER CO INC     COMMON 729251108   $     222       5,200    SH   DEFINED            14,7          -       0       5,200
PLUM CREEK TIMBER CO INC     COMMON 729251108   $      51       1,200    SH   DEFINED           20,14          -       0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $  26,063     610,221    SH   DEFINED              22       27,162     0     583,059
PLUM CREEK TIMBER CO INC     COMMON 729251108   $     542      12,695    SH   DEFINED              23       12,695     0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $      11         267    SH   DEFINED              24          267     0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $ 284,047   6,650,600    SH   DEFINED               3    6,650,600     0         -
PLUM CREEK TIMBER CO INC     COMMON 729251108   $     279       6,523    SH   DEFINED               5        5,679     0         844
POLARIS INDUSTRIES INC       COMMON 731068102   $     787      19,500    SH   DEFINED               1       19,500     0         -
POLARIS INDUSTRIES INC       COMMON 731068102   $      65       1,600    SH   DEFINED            1,15        1,600     0         -
POLARIS INDUSTRIES INC       COMMON 731068102   $   2,928      72,500    SH   DEFINED             1,3       72,500     0         -
POLARIS INDUSTRIES INC       COMMON 731068102   $  16,618     411,550    SH   DEFINED              14      195,350     0     214,000
POLARIS INDUSTRIES INC       COMMON 731068102   $     201       4,975    SH   DEFINED              23        4,975     0         -
POLARIS INDUSTRIES INC       COMMON 731068102   $       2          57    SH   DEFINED              24           57     0         -
POLARIS INDUSTRIES INC       COMMON 731068102   $     675      16,726    SH   DEFINED               5        4,510     0      12,216
POLARIS INDUSTRIES INC       COMMON 731068102   $     808      20,000    SH   DEFINED            5,15       20,000     0         -
POLO RALPH LAUREN CORP       COMMON 731572103   $ 110,642   1,762,379    SH   DEFINED               1    1,762,379     0         -
POLO RALPH LAUREN CORP       COMMON 731572103   $   1,221      19,441    SH   DEFINED            13,2          -       0      19,441
POLO RALPH LAUREN CORP       COMMON 731572103   $      82       1,307    SH   DEFINED              22        1,000     0         307
POLO RALPH LAUREN CORP       COMMON 731572103   $   2,619      41,724    SH   DEFINED              23       41,724     0         -
POLO RALPH LAUREN CORP       COMMON 731572103   $       5          80    SH   DEFINED              24           80     0         -
POLO RALPH LAUREN CORP       COMMON 731572103   $     317       5,050    SH   DEFINED               5        4,950     0         100
POLYCOM INC                  COMMON 73172K104   $  42,041   1,725,811    SH   DEFINED               1    1,725,811     0         -
POLYCOM INC                  COMMON 73172K104   $     250      10,257    SH   DEFINED              14       10,257     0         -
POLYCOM INC                  COMMON 73172K104   $  10,352     424,959    SH   DEFINED               2      424,959     0         -
POLYCOM INC                  COMMON 73172K104   $   2,665     109,406    SH   DEFINED            20,2      109,406     0         -
POLYCOM INC                  COMMON 73172K104   $     353      14,480    SH   DEFINED              23       14,480     0         -
POLYCOM INC                  COMMON 73172K104   $   8,328     341,886    SH   DEFINED               4      341,886     0         -
POLYCOM INC                  COMMON 73172K104   $     396      16,240    SH   DEFINED               5        7,640     0       8,600
POLYONE CORPORATION          COMMON 73179P106   $   1,010     144,856    SH   DEFINED              23      144,856     0         -
POLYPORE INTERNATIONAL INC   COMMON 73179V103   $   2,232      88,107    SH   DEFINED              23       88,107     0         -
POMEROY COMPUTER RESOURCES   COMMON 731822102   $      39       8,555    SH   DEFINED              23        8,555     0         -
POOL CORP                    COMMON 73278L105   $   8,152     459,000    SH   DEFINED             1,3      459,000     0         -
POOL CORP                    COMMON 73278L105   $     156       8,781    SH   DEFINED              23        8,781     0         -
POOL CORP                    COMMON 73278L105   $  43,778   2,465,000    SH   DEFINED               3    2,465,000     0         -
POOL CORP                    COMMON 73278L105   $       2         124    SH   DEFINED               5          -       0         124
POPULAR INC                  COMMON 733174106   $  11,418   1,732,637    SH   DEFINED               1    1,732,637     0         -
POPULAR INC                  COMMON 733174106   $      57       8,590    SH   DEFINED              14        7,090     0       1,500
POPULAR INC                  COMMON 733174106       $ -            10    SH   DEFINED              22          -       0          10
POPULAR INC                  COMMON 733174106   $     314      47,689    SH   DEFINED              23       47,689     0         -
POPULAR INC                  COMMON 733174106   $       7       1,018    SH   DEFINED              24        1,018     0         -
PORTFOLIO RECOVERY ASSOCIATE COMMON 73640Q105   $     353       9,400    SH   DEFINED              14        9,400     0         -
PORTFOLIO RECOVERY ASSOCIATE COMMON 73640Q105   $     113       3,000    SH   DEFINED              22          -       0       3,000
PORTFOLIO RECOVERY ASSOCIATE COMMON 73640Q105   $      64       1,715    SH   DEFINED              23        1,715     0         -
PORTFOLIO RECOVERY ASSOCIATE COMMON 73640Q105   $     278       7,400    SH   DEFINED               8        7,400     0         -
PORTFOLIO RECOVERY ASSOCIATE COMMON 73640Q105   $      75       2,000    SH   DEFINED            8,20        2,000     0         -
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $   7,882     350,000    SH   DEFINED               1      350,000     0         -
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $   3,813     169,300    SH   DEFINED              14      116,200     0      53,100
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $  32,952   1,463,229    SH   DEFINED              23    1,463,229     0         -
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $       4         160    SH   DEFINED              24          160     0         -
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $     536      23,800    SH   DEFINED            5,15       23,800     0         -
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $     473      21,000    SH   DEFINED               8       21,000     0         -
PORTLAND GENERAL ELECTRIC CO COMMON 736508847   $     131       5,800    SH   DEFINED            8,20        5,800     0         -
PORTUGAL TELECOM SGPS ADR    COMMON 737273102   $      40       3,582    SH   DEFINED              22          -       0       3,582
PORTUGAL TELECOM SGPS ADR    COMMON 737273102   $   8,724     776,177    SH   DEFINED              23      776,177     0         -
PORTUGAL TELECOM SGPS ADR    COMMON 737273102   $       3         259    SH   DEFINED               4          259     0         -
PORTUGAL TELECOM SGPS ADR    COMMON 737273102   $       1          51    SH   DEFINED               5          -       0          51
POST PROPERTIES INC REIT     COMMON 737464107   $   1,014      34,100    SH   DEFINED              14       34,100     0         -
POST PROPERTIES INC REIT     COMMON 737464107   $     104       3,481    SH   DEFINED              23        3,481     0         -
POST PROPERTIES INC REIT     COMMON 737464107   $       2          63    SH   DEFINED              24           63     0         -
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $ 111,184     486,434    SH   DEFINED               1      486,434     0         -
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $   7,935      34,717    SH   DEFINED               2       27,079     0       7,638
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $      46         202    SH   DEFINED              22          -       0         202
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $   5,107      22,311    SH   DEFINED              23       22,311     0         -
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $  38,921     166,900    SH   DEFINED               3      166,900     0         -
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $   3,777      16,525    SH   DEFINED               5       16,425     0         100
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $   1,201       5,150    SH   DEFINED               7        5,150     0         -
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $   1,394       5,976    SH   DEFINED               8        5,976     0         -
POTASH CORP OF SASKATCHEWAN  COMMON 73755L107   $     258       1,129    SH   DEFINED             8,2        1,129     0         -
POTLATCH CORP                COMMON 737630103   $  15,155     335,880    SH   DEFINED              14      215,680     0     118,000
POTLATCH CORP                COMMON 737630103   $     415       9,200    SH   DEFINED            14,7          -       0       9,200
POTLATCH CORP                COMMON 737630103   $     250       5,536    SH   DEFINED              23        5,536     0         -
POTLATCH CORP                COMMON 737630103   $       5         102    SH   DEFINED              24          102     0         -
POTLATCH CORP                  COMMON  737630103$   164       3,631      SH   DEFINED             5          910      0       2,721
POTLATCH CORP                  COMMON  737630103$ 1,493      33,100      SH   DEFINED          5,15       33,100      0         -
POWELL INDUSTRIES INC          COMMON  739128106$   526      10,430      SH   DEFINED            23       10,430      0         -
POWER INTEGRATIONS INC         COMMON  739276103$19,085     603,761      SH   DEFINED             1      603,761      0         -
POWER INTEGRATIONS INC         COMMON  739276103$13,455     425,667      SH   DEFINED             2      351,332      0      74,335
POWER INTEGRATIONS INC         COMMON  739276103$     3          80      SH   DEFINED            22          -        0          80
POWER INTEGRATIONS INC         COMMON  739276103$ 6,577     208,072      SH   DEFINED            23      208,072      0         -
POWER INTEGRATIONS INC         COMMON  739276103$   132       4,181      SH   DEFINED            24        4,181      0         -
POWER INTEGRATIONS INC         COMMON  739276103$   300       9,500      SH   DEFINED             5          -        0       9,500
POWER MEDICAL INTERVENTIONS    COMMON  739299105$     1         112      SH   DEFINED            23          112      0         -
POWER-ONE INC                  COMMON  739308104$ 1,333     705,447      SH   DEFINED            23      705,447      0         -
POWER-ONE INC                  COMMON  739308104$    38      19,928      SH   DEFINED            24       19,928      0         -
POWERSHARES QQQ NASDAQ 100 ETF COMMON  73935A104$ 4,635      92,678      SH   DEFINED            22       14,777      0      77,901
POWERSHARES QQQ NASDAQ 100 ETF COMMON  73935A104$   150       2,998      SH   DEFINED             5        2,998      0         -
POWERSHARES INDIA PORTFOLIO MF COMMON  73935L100$   123       5,000      SH   DEFINED            22          -        0       5,000
POWERSHARES DYNAMIC MKT PORT E COMMON  73935X104$   591      11,960      SH   DEFINED            22          -        0      11,960
POWERSHARES WILDERHILL PROGR E COMMON  73935X161$   320      10,435      SH   DEFINED            22          -        0      10,435
POWERSHARES WILDERHILL PROGR E COMMON  73935X161$    12         378      SH   DEFINED             5          378      0         -
POWERSHARES CLEANTECH PORTFO E COMMON  73935X278$   191       5,250      SH   DEFINED            22        1,000      0       4,250
POWERSHARES BUYB ACHIEVERS ETF COMMON  73935X286$    33       1,560      SH   DEFINED             3        1,560      0         -
POWERSHARES H/Y EQ DVD ACHIE E COMMON  73935X302$     7         618      SH   DEFINED            22          -        0         618
POWERSHARES H/Y EQ DVD ACHIE E COMMON  73935X302$     3         300      SH   DEFINED             5          300      0         -
POWERSHARES GLD DRG H USX CH E COMMON  73935X401$ 4,854     164,250      SH   DEFINED            22        9,500      0     154,750
POWERSHARES GLD DRG H USX CH E COMMON  73935X401$     9         305      SH   DEFINED             5          305      0         -
POWERSHARES DYN BASIC MATERI E COMMON  73935X427$   716      18,600      SH   DEFINED            22          -        0      18,600
POWERSHARES DYN MID CAP ETF    COMMON  73935X443$   113       4,207      SH   DEFINED            23        4,207      0         -
POWERSHARES DYN MID CAP ETF    COMMON  73935X443$     4         130      SH   DEFINED             5          130      0         -
POWERSHARES DYN LARGE CAP ETF  COMMON  73935X450$ 1,928      72,010      SH   DEFINED            23       72,010      0         -
POWERSHARES DYN MAGNIQUANT ETF COMMON  73935X468$   597      22,790      SH   DEFINED            22          -        0      22,790
POWERSHARES WILDERH CLEAN EN E COMMON  73935X500$ 2,253     100,350      SH   DEFINED            22          -        0     100,350
POWERSHARES WILDERH CLEAN EN E COMMON  73935X500$   111       4,950      SH   DEFINED             5          -        0       4,950
POWERSHARES FTSE RAFI US 150 E COMMON  73935X567$ 1,029      21,800      SH   DEFINED             1       21,800      0         -
POWERSHARES FTSE RAFI US 150 E COMMON  73935X567$     3          65      SH   DEFINED             5           65      0         -
POWERSHARES GLOBAL WATER PT ET COMMON  73935X575$ 1,193      52,550      SH   DEFINED            22        5,000      0      47,550
POWERSHARES GLOBAL WATER PT ET COMMON  73935X575$   142       6,250      SH   DEFINED             5          900      0       5,350
POWERSHARES FTSE RAFI US 1K ET COMMON  73935X583$ 1,950      40,041      SH   DEFINED             1       40,041      0         -
POWERSHARES FTSE RAFI US 1K ET COMMON  73935X583$    49       1,000      SH   DEFINED            22        1,000      0         -
POWERSHARES FTSE RAFI US 1K ET COMMON  73935X583$    38         780      SH   DEFINED             3          780      0         -
POWERSHARES DYN UTILITIES PT E COMMON  73935X591$   857      43,155      SH   DEFINED            22          -        0      43,155
POWERSHARES DYN L/C GROWTH ETF COMMON  73935X609$   881      52,051      SH   DEFINED             1       52,051      0         -
POWERSHARES DYN L/C GROWTH ETF COMMON  73935X609$   268      15,840      SH   DEFINED            22          -        0      15,840
POWERSHARES DYN L/C GROWTH ETF COMMON  73935X609$   823      48,597      SH   DEFINED            23       48,597      0         -
POWERSHARES DYN L/C GROWTH ETF COMMON  73935X609$    59       3,500      SH   DEFINED             5        3,500      0         -
POWERSHARES DYN OIL & GAS SV E COMMON  73935X625$   525      16,300      SH   DEFINED            22        1,500      0      14,800
POWERSHARES DYN OIL & GAS SV E COMMON  73935X625$    67       2,065      SH   DEFINED             5        2,065      0         -
POWERSHARES LUX NANOTECH PT ET COMMON  73935X633$     7         500      SH   DEFINED            22          -        0         500
POWERSHARES DYN ENRG EXP PRO E COMMON  73935X658$   468      16,015      SH   DEFINED            22          -        0      16,015
POWERSHARES ZACKS S-C PTFL ETF COMMON  73935X674$    48       2,000      SH   DEFINED            22          -        0       2,000
POWERSHARES DYN L/C VALUE ETF  COMMON  73935X708$   844      47,370      SH   DEFINED             1       47,370      0         -
POWERSHARES DYN L/C VALUE ETF  COMMON  73935X708$   825      46,328      SH   DEFINED            23       46,328      0         -
POWERSHARES INTER DVD ACHIEV E COMMON  73935X716$   741      42,382      SH   DEFINED             1       42,382      0         -
POWERSHARES INTER DVD ACHIEV E COMMON  73935X716$ 3,406     194,720      SH   DEFINED            22        9,500      0     185,220
POWERSHARES INTER DVD ACHIEV E COMMON  73935X716$    41       2,343      SH   DEFINED             3        2,343      0         -
POWERSHARES ZACKS MICRO CAP ET COMMON  73935X740$   211      14,943      SH   DEFINED            23       14,943      0         -
POWERSHARES DYN SOFTWARE PT ET COMMON  73935X773$    22       1,140      SH   DEFINED            22          -        0       1,140
POWERSHARES DYN PHARMACEUTIC E COMMON  73935X799$   489      27,849      SH   DEFINED            22          -        0      27,849
POWERSHARES DYN M/C GROWTH ETF COMMON  73935X807$   817      34,475      SH   DEFINED            23       34,475      0         -
POWERSHARES DYN BIOTECH&GENO E COMMON  73935X856$   100       5,500      SH   DEFINED            22          -        0       5,500
POWERSHARES DYN S/C VALUE ETF  COMMON  73935X864$   837      57,669      SH   DEFINED             1       57,669      0         -
POWERSHARES DYN S/C VALUE ETF  COMMON  73935X864$   623      42,939      SH   DEFINED            23       42,939      0         -
POWERSHARES DYN S/C GROWTH ETF COMMON  73935X872$   875      57,618      SH   DEFINED             1       57,618      0         -
POWERSHARES DYN S/C GROWTH ETF COMMON  73935X872$   429      28,216      SH   DEFINED            23       28,216      0         -
POWERSHARES DYN M/C VALUE ETF  COMMON  73935X880$   485      27,728      SH   DEFINED            23       27,728      0         -
POWERSHARES DB G10 CURR HARV E COMMON  73935Y102$   194       7,136      SH   DEFINED            23        7,136      0         -
POWERWAVE TECHNOLOGIES INC     COMMON  739363109$ 2,663     626,700      SH   DEFINED            14      288,300      0     336,200
POWERWAVE TECHNOLOGIES INC     COMMON  739363109$   163      38,255      SH   DEFINED            23       38,255      0         -
POWERWAVE TECHNOLOGIES INC     COMMON  739363109$     1         329      SH   DEFINED             5          -        0         329
POWERSHARES DB PREC METALS ETF COMMON  73936B200$   141       4,300      SH   DEFINED            22        1,900      0       2,400
POWERSHARES DB AGRICULTURE ETF COMMON  73936B408$   124       3,500      SH   DEFINED            22          -        0       3,500
POWERSHARES DB OIL FUND ETF    COMMON  73936B507$   282       5,950      SH   DEFINED            22        3,750      0       2,200
POWERSHARES DB OIL FUND ETF    COMMON  73936B507$   139       2,930      SH   DEFINED            23        2,930      0         -
POWERSHARES DB GOLD FUND ETF   COMMON  73936B606$   132       4,010      SH   DEFINED            23        4,010      0         -
POWERSECURE INTERNATIONAL IN   COMMON  73936N105$   416      57,321      SH   DEFINED            23       57,321      0         -
POWERSECURE INTERNATIONAL IN   COMMON  73936N105$    35       4,839      SH   DEFINED             5          -        0       4,839
POWERSHARES DYNAMIC ASIA PAC E COMMON  73936T102$   591      22,400      SH   DEFINED            22          -        0      22,400
POWERSHARES DYNAMIC ASIA PAC E COMMON  73936T102$   820      31,067      SH   DEFINED            23       31,067      0         -
POWERSHARES DYNAMIC EUROPE ETF COMMON  73936T409$ 2,101      91,644      SH   DEFINED            23       91,644      0         -
POWERSHARES 1-30 LADDERED TP M COMMON  73936T524$   603      23,150      SH   DEFINED            23       23,150      0         -
POWERSHARES H/Y CORP BD PORT M COMMON  73936T557$   235       9,769      SH   DEFINED            23        9,769      0         -
POWERSHARES EM MAR SOV DE PT M COMMON  73936T573$   239       9,200      SH   DEFINED            22          -        0       9,200
POWERSHARES EM MAR SOV DE PT M COMMON  73936T573$   452      17,421      SH   DEFINED            23       17,421      0         -
POWERSHARES GBL CLEAN ENERGY E COMMON  73936T615$    15         500      SH   DEFINED            22          -        0         500
POWERSHARES GLOBAL WATER POR E COMMON  73936T623$ 1,284      53,800      SH   DEFINED            22          -        0      53,800
POWERSHARES FTSE RAFE EMRGIN M COMMON  73936T763$   258      10,980      SH   DEFINED            22          -        0      10,980
POWERSHARES FTSE RAFE EMRGIN M COMMON  73936T763$    23         980      SH   DEFINED             3          980      0         -
POWERSHARES FTSE RAFE DEV EX M COMMON  73936T771$   621      28,651      SH   DEFINED             1       28,651      0         -
POWERSHARES FTSE RAFI DEVELO   COMMON  73936T789$   962      22,224      SH   DEFINED             1       22,224      0         -
POWERSHARES DYN DEV INTL OPP E COMMON  73936T805$   493      20,640      SH   DEFINED            22          -        0      20,640
POWERSHARES DYN DEV INTL OPP E COMMON  73936T805$ 3,802     159,280      SH   DEFINED            23      159,280      0         -
POWERSHARES FTSE RAFI ASIA     COMMON  73936T854$     4          70      SH   DEFINED             5           70      0         -
POZEN INC                      COMMON  73941U102$     3         258      SH   DEFINED            23          258      0         -
PRAXAIR INC                    COMMON  74005P104$42,513     451,118      SH   DEFINED            22      136,420      0     314,698
PRAXAIR INC                    COMMON  74005P104$18,166     192,765      SH   DEFINED            23      192,765      0         -
PRAXAIR INC                    COMMON  74005P104$    21         224      SH   DEFINED            24          224      0         -
PRAXAIR INC                    COMMON  74005P104$ 7,012      74,410      SH   DEFINED             3       74,410      0         -
PRAXAIR INC                    COMMON  74005P104$25,093     266,270      SH   DEFINED             5      211,588      0      54,682
PRAXAIR INC                    COMMON  74005P104$   587       6,224      SH   DEFINED             7        6,224      0         -
PRAXAIR INC                    COMMON  74005P104$22,836     242,319      SH   DEFINED             8      242,319      0         -
PREPAID LEGAL SERVICES INC     COMMON  740065107$   703      17,300      SH   DEFINED            14       11,200      0       6,100
PREPAID LEGAL SERVICES INC     COMMON  740065107$ 2,402      59,124      SH   DEFINED            23       59,124      0         -
PREPAID LEGAL SERVICES INC   COMMON 740065107   $     141       3,464    SH   DEFINED              24        3,464    0         -
PREPAID LEGAL SERVICES INC   COMMON 740065107   $      77       1,900    SH   DEFINED            5,15        1,900    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $ 220,213   2,285,080    SH   DEFINED               1    2,285,080    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $     135       1,401    SH   DEFINED              13        1,401    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $     135       1,401    SH   DEFINED            13,2        1,401    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $  15,578     161,643    SH   DEFINED               2      131,275    0      30,368
PRECISION CASTPARTS CORP     COMMON 740189105   $   3,729      38,698    SH   DEFINED              22       31,698    0       7,000
PRECISION CASTPARTS CORP     COMMON 740189105   $   8,525      88,456    SH   DEFINED              23       88,456    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $       5          50    SH   DEFINED              24           50    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $   2,678      27,790    SH   DEFINED             3,1       27,790    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $   2,339      24,275    SH   DEFINED               5        3,051    0      21,224
PRECISION CASTPARTS CORP     COMMON 740189105   $      83         860    SH   DEFINED               7          860    0         -
PRECISION CASTPARTS CORP     COMMON 740189105   $     513       5,320    SH   DEFINED             8,2        5,320    0         -
PREFERRED BANK-LOS ANGELES   COMMON 740367107   $      88      16,900    SH   DEFINED              14       16,900    0         -
PREFERRED BANK-LOS ANGELES   COMMON 740367107       $ -            67    SH   DEFINED              23           67    0         -
PREFERRED BANK-LOS ANGELES   COMMON 740367107   $      20       3,800    SH   DEFINED            5,15        3,800    0         -
PREFORMED LINE PRODUCTS CO   COMMON 740444104   $       1          23    SH   DEFINED              23           23    0         -
PREMIER EXHIBITIONS INC      COMMON 74051E102   $       1         263    SH   DEFINED              23          263    0         -
PREMIERE GLOBAL SERVICES INC COMMON 740585104   $   9,096     623,900    SH   DEFINED              14      431,500    0     192,400
PREMIERE GLOBAL SERVICES INC COMMON 740585104   $     476      32,630    SH   DEFINED              23       32,630    0         -
PREMIERE GLOBAL SERVICES INC COMMON 740585104   $   1,295      88,800    SH   DEFINED            5,15       88,800    0         -
PREMIERE GLOBAL SERVICES INC COMMON 740585104   $     434      29,800    SH   DEFINED               8       29,800    0         -
PREMIERE GLOBAL SERVICES INC COMMON 740585104   $     120       8,200    SH   DEFINED            8,20        8,200    0         -
PRESIDENTIAL LIFE CORP       COMMON 740884101   $   1,210      78,500    SH   DEFINED              14       61,400    0      17,100
PRESIDENTIAL LIFE CORP       COMMON 740884101   $      20       1,277    SH   DEFINED              22          -      0       1,277
PRESIDENTIAL LIFE CORP       COMMON 740884101   $     274      17,738    SH   DEFINED              23       17,738    0         -
PRESIDENTIAL LIFE CORP       COMMON 740884101   $     231      15,000    SH   DEFINED            5,15       15,000    0         -
PREMIERWEST BANCORP          COMMON 740921101   $       1         196    SH   DEFINED              23          196    0         -
PRESSTEK INC                 COMMON 741113104   $       2         320    SH   DEFINED              23          320    0         -
PRESTIGE BRANDS HOLDINGS INC COMMON 74112D101   $   1,755     164,600    SH   DEFINED              14      136,600    0      28,000
PRESTIGE BRANDS HOLDINGS INC COMMON 74112D101   $   3,972     372,622    SH   DEFINED              23      372,622    0         -
PRESTIGE BRANDS HOLDINGS INC COMMON 74112D101   $     252      23,600    SH   DEFINED            5,15       23,600    0         -
T ROWE PRICE GROUP INC       COMMON 74144T108   $      28         500    SH   DEFINED              14          500    0         -
T ROWE PRICE GROUP INC       COMMON 74144T108   $   5,165      91,467    SH   DEFINED              22       79,595    0      11,872
T ROWE PRICE GROUP INC       COMMON 74144T108   $     953      16,869    SH   DEFINED              23       16,869    0         -
T ROWE PRICE GROUP INC       COMMON 74144T108   $       7         125    SH   DEFINED              24          125    0         -
T ROWE PRICE GROUP INC       COMMON 74144T108   $     960      17,000    SH   DEFINED               3       17,000    0         -
T ROWE PRICE GROUP INC       COMMON 74144T108   $   3,369      59,658    SH   DEFINED               5       40,277    0      19,381
T ROWE PRICE GROUP INC       COMMON 74144T108   $     272       4,816    SH   DEFINED               7        4,816    0         -
T ROWE PRICE GROUP INC       COMMON 74144T108   $     829      14,678    SH   DEFINED               8       14,678    0         -
PRICELINE COM INC            COMMON 741503403   $   3,187      27,600    SH   DEFINED               1       27,600    0         -
PRICELINE COM INC            COMMON 741503403   $   1,362      11,800    SH   DEFINED            1,15       11,800    0         -
PRICELINE COM INC            COMMON 741503403   $     259       2,245    SH   DEFINED              11        2,245    0         -
PRICELINE COM INC            COMMON 741503403   $  18,657     161,585    SH   DEFINED              14      102,985    0      57,300
PRICELINE COM INC            COMMON 741503403   $     797       6,900    SH   DEFINED            14,7          -      0       6,900
PRICELINE COM INC            COMMON 741503403   $   1,842      15,950    SH   DEFINED              22       14,690    0       1,260
PRICELINE COM INC            COMMON 741503403   $   4,500      38,973    SH   DEFINED              23       38,973    0         -
PRICELINE COM INC            COMMON 741503403   $   1,145       9,915    SH   DEFINED               5        7,315    0       2,600
PRICELINE COM INC            COMMON 741503403   $     797       6,900    SH   DEFINED            5,15        6,900    0         -
PRICELINE COM INC            COMMON 741503403   $     389       3,367    SH   DEFINED               8        3,367    0         -
PRICELINE COM INC            COMMON 741503403   $      23         200    SH   DEFINED            8,20          200    0         -
PRICESMART INC               COMMON 741511109   $      51       2,576    SH   DEFINED              22          -      0       2,576
PRICESMART INC               COMMON 741511109   $      53       2,671    SH   DEFINED              23        2,671    0         -
PRICESMART INC               COMMON 741511109   $      49       2,500    SH   DEFINED               5          -      0       2,500
PRIDE INTERNATIONAL INC      COMMON 74153Q102   $     530      11,208    SH   DEFINED              23       11,208    0         -
PRIDE INTERNATIONAL INC      COMMON 74153Q102   $       8         163    SH   DEFINED              24          163    0         -
PRIDE INTERNATIONAL INC      COMMON 74153Q102   $     180       3,800    SH   DEFINED               5          -      0       3,800
PRIMEDIA INC                 COMMON 74157K846   $      23       5,000    SH   DEFINED              14        5,000    0         -
PRIMEDIA INC                 COMMON 74157K846   $      26       5,476    SH   DEFINED              23        5,476    0         -
PRIMEENERGY CORP             COMMON 74158E104       $ -             6    SH   DEFINED              23            6    0         -
PRINCETON REVIEW INC         COMMON 742352107   $       1         212    SH   DEFINED              23          212    0         -
PRINCIPAL FINANCIAL GROUP    COMMON 74251V102   $       8         200    SH   DEFINED              14          200    0         -
PRINCIPAL FINANCIAL GROUP    COMMON 74251V102   $      80       1,901    SH   DEFINED              22          -      0       1,901
PRINCIPAL FINANCIAL GROUP    COMMON 74251V102   $     722      17,207    SH   DEFINED              23       17,207    0         -
PRINCIPAL FINANCIAL GROUP    COMMON 74251V102   $      14         343    SH   DEFINED              24          343    0         -
PRINCIPAL FINANCIAL GROUP    COMMON 74251V102   $      77       1,827    SH   DEFINED               5        1,604    0         223
PRINCIPAL FINANCIAL GROUP    COMMON 74251V102   $     182       4,330    SH   DEFINED               7        4,330    0         -
PRIVATE MEDIA GROUP INC      COMMON 74266R104       $ -           233    SH   DEFINED              23          233    0         -
PROASSURANCE CORP            COMMON 74267C106   $   9,731     202,260    SH   DEFINED               1      202,260    0         -
PROASSURANCE CORP            COMMON 74267C106   $   7,949     165,225    SH   DEFINED               2      165,225    0         -
PROASSURANCE CORP            COMMON 74267C106   $   6,338     131,733    SH   DEFINED              23      131,733    0         -
PROASSURANCE CORP            COMMON 74267C106   $     184       3,833    SH   DEFINED              24        3,833    0         -
PROASSURANCE CORP            COMMON 74267C106   $       1          26    SH   DEFINED               5           26    0         -
PROCENTURY CORP              COMMON 74268T108   $       2         117    SH   DEFINED              23          117    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $ 268,147   4,409,590    SH   DEFINED               1    4,409,590    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   7,431     122,200    SH   DEFINED            1,15      122,200    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   1,176      19,337    SH   DEFINED             1,9       19,337    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   1,393      22,900    SH   DEFINED           10,14       22,900    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $     613      10,084    SH   DEFINED            10,7       10,084    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $     268       4,405    SH   DEFINED              11        4,405    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $     824      13,551    SH   DEFINED              13       13,551    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $     200       3,297    SH   DEFINED            13,2        3,297    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $  86,074   1,415,463    SH   DEFINED              14    1,019,313    0     328,250
PROCTER & GAMBLE CO          COMMON 742718109   $   1,101      18,100    SH   DEFINED           14,13          -      0      18,100
PROCTER & GAMBLE CO          COMMON 742718109   $  11,165     183,600    SH   DEFINED            14,7          -      0     183,600
PROCTER & GAMBLE CO          COMMON 742718109   $  23,327     383,598    SH   DEFINED               2      383,598    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   1,174      19,300    SH   DEFINED           20,14          -      0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   1,174      19,313    SH   DEFINED              21       19,313    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $ 100,700   1,655,973    SH   DEFINED              22      354,688    0   1,301,285
PROCTER & GAMBLE CO          COMMON 742718109   $  11,659     191,723    SH   DEFINED              23      191,723    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $     180       2,955    SH   DEFINED              24        2,955    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   4,164      68,478    SH   DEFINED             3,1       68,478    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $  38,058     625,850    SH   DEFINED               5      465,354    0     160,496
PROCTER & GAMBLE CO          COMMON 742718109   $   2,463      40,500    SH   DEFINED            5,15       40,500    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   1,332      21,900    SH   DEFINED               6       21,900    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $  10,675     175,551    SH   DEFINED               7      175,551    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $  41,370     680,319    SH   DEFINED               8      680,319    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $  13,688     225,100    SH   DEFINED            8,14      225,100    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $     738      12,129    SH   DEFINED             8,2       12,129    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $   3,115      51,220    SH   DEFINED               9       51,220    0         -
PROCTER & GAMBLE CO          COMMON 742718109   $      596       9,800   SH   DEFINED             9,14          -     0       9,800
PRIVATEBANCORP INC           COMMON 742962103   $      371      12,200   SH   DEFINED               22          -     0      12,200
PRIVATEBANCORP INC           COMMON 742962103   $       49       1,615   SH   DEFINED               23        1,615   0         -
PROGENICS PHARMACEUTICALS    COMMON 743187106   $        4         260   SH   DEFINED               23          260   0         -
PROGRESS ENERGY INC          COMMON 743263105   $      602      14,400   SH   DEFINED            10,14       14,400   0         -
PROGRESS ENERGY INC          COMMON 743263105   $   22,901     547,480   SH   DEFINED               11      121,500   0     425,980
PROGRESS ENERGY INC          COMMON 743263105   $       13         300   SH   DEFINED               13          300   0         -
PROGRESS ENERGY INC          COMMON 743263105   $   18,865     450,987   SH   DEFINED               14      323,287   0     114,400
PROGRESS ENERGY INC          COMMON 743263105   $      213       5,100   SH   DEFINED            14,13          -     0       5,100
PROGRESS ENERGY INC          COMMON 743263105   $    2,573      61,500   SH   DEFINED             14,7          -     0      61,500
PROGRESS ENERGY INC          COMMON 743263105   $       23         545   SH   DEFINED            18,11          545   0         -
PROGRESS ENERGY INC          COMMON 743263105   $      489      11,700   SH   DEFINED            18,14          -     0      11,700
PROGRESS ENERGY INC          COMMON 743263105   $    2,278      54,450   SH   DEFINED            19,14       30,750   0      23,700
PROGRESS ENERGY INC          COMMON 743263105   $       13         300   SH   DEFINED            20,14          -     0         -
PROGRESS ENERGY INC          COMMON 743263105   $      573      13,704   SH   DEFINED               22          -     0      13,704
PROGRESS ENERGY INC          COMMON 743263105   $    6,132     146,587   SH   DEFINED               23      146,587   0         -
PROGRESS ENERGY INC          COMMON 743263105   $       33         783   SH   DEFINED               24          783   0         -
PROGRESS ENERGY INC          COMMON 743263105   $      497      11,878   SH   DEFINED                5       11,473   0         405
PROGRESS ENERGY INC          COMMON 743263105   $      481      11,500   SH   DEFINED             5,15       11,500   0         -
PROGRESS ENERGY INC          COMMON 743263105   $      421      10,053   SH   DEFINED                7       10,053   0         -
PROGRESS ENERGY INC          COMMON 743263105   $      119       2,844   SH   DEFINED                8        2,844   0         -
PROGRESS ENERGY INC          COMMON 743263105   $    5,777     138,100   SH   DEFINED             8,14      101,200   0      36,900
PROGRESS ENERGY INC          COMMON 743263105   $      113       2,700   SH   DEFINED             9,14          -     0       2,700
PROGRESS SOFTWARE CORP       COMMON 743312100   $    1,294      50,600   SH   DEFINED               14       50,600   0         -
PROGRESS SOFTWARE CORP       COMMON 743312100   $      846      33,078   SH   DEFINED               23       33,078   0         -
PROGRESS SOFTWARE CORP       COMMON 743312100   $    1,018      39,800   SH   DEFINED                8       39,800   0         -
PROGRESS SOFTWARE CORP       COMMON 743312100   $      276      10,800   SH   DEFINED             8,20       10,800   0         -
PROGRESSIVE CORP             COMMON 743315103   $  281,909  15,059,241   SH   DEFINED                1   15,059,241   0         -
PROGRESSIVE CORP             COMMON 743315103   $      638      34,100   SH   DEFINED             1,15       34,100   0         -
PROGRESSIVE CORP             COMMON 743315103   $    2,720     145,293   SH   DEFINED               14       68,293   0      74,500
PROGRESSIVE CORP             COMMON 743315103   $      137       7,300   SH   DEFINED             14,7          -     0       7,300
PROGRESSIVE CORP             COMMON 743315103   $  164,325   8,778,031   SH   DEFINED               22        1,200   0   8,776,831
PROGRESSIVE CORP             COMMON 743315103   $    4,725     252,413   SH   DEFINED               23      252,413   0         -
PROGRESSIVE CORP             COMMON 743315103   $       21       1,106   SH   DEFINED               24        1,106   0         -
PROGRESSIVE CORP             COMMON 743315103   $      416      22,200   SH   DEFINED                3       22,200   0         -
PROGRESSIVE CORP             COMMON 743315103   $      636      33,996   SH   DEFINED              3,1       33,996   0         -
PROGRESSIVE CORP             COMMON 743315103   $   16,257     868,430   SH   DEFINED                4      868,430   0         -
PROGRESSIVE CORP             COMMON 743315103   $      199      10,651   SH   DEFINED                5        7,610   0       3,041
PROGRESSIVE CORP             COMMON 743315103   $      309      16,488   SH   DEFINED                7       16,488   0         -
PROGRESSIVE CORP             COMMON 743315103   $      575      30,691   SH   DEFINED                8       30,691   0         -
PROGRESSIVE GAMING INTERNATI COMMON 74332S102   $        1         543   SH   DEFINED               23          543   0         -
PROGRESSIVE GAMING INTERNATI COMMON 74332S102   $       88      70,000   SH   DEFINED                5       70,000   0         -
PROLOGIS                     COMMON 743410102   $   71,719   1,319,584   SH   DEFINED             1,15    1,319,584   0         -
PROLOGIS                     COMMON 743410102   $      859      15,800   SH   DEFINED            10,14       15,800   0         -
PROLOGIS                     COMMON 743410102   $       38         700   SH   DEFINED               13          700   0         -
PROLOGIS                     COMMON 743410102   $  278,248   5,119,565   SH   DEFINED               14    3,165,065   0   1,698,300
PROLOGIS                     COMMON 743410102   $    1,103      20,300   SH   DEFINED            14,13          -     0      20,300
PROLOGIS                     COMMON 743410102   $    2,326      42,800   SH   DEFINED             14,7          -     0      42,800
PROLOGIS                     COMMON 743410102   $    3,658      67,300   SH   DEFINED            18,14       67,300   0         -
PROLOGIS                     COMMON 743410102   $    1,098      20,200   SH   DEFINED            19,14       20,200   0         -
PROLOGIS                     COMMON 743410102   $    9,180     168,900   SH   DEFINED             2,15      168,900   0         -
PROLOGIS                     COMMON 743410102   $       38         700   SH   DEFINED            20,14          -     0         -
PROLOGIS                     COMMON 743410102   $    8,238     151,566   SH   DEFINED               22       12,338   0     139,228
PROLOGIS                     COMMON 743410102   $      886      16,301   SH   DEFINED               23       16,301   0         -
PROLOGIS                     COMMON 743410102   $       14         260   SH   DEFINED               24          260   0         -
PROLOGIS                     COMMON 743410102   $    1,217      22,400   SH   DEFINED             3,15       10,400   0      12,000
PROLOGIS                     COMMON 743410102   $      168       3,099   SH   DEFINED                5        2,900   0         199
PROLOGIS                     COMMON 743410102   $   20,666     380,235   SH   DEFINED             5,15      380,235   0         -
PROLOGIS                     COMMON 743410102   $      163       3,000   SH   DEFINED             6,14        3,000   0         -
PROLOGIS                     COMMON 743410102   $      554      10,189   SH   DEFINED                7       10,189   0         -
PROLOGIS                     COMMON 743410102   $    8,712     160,300   SH   DEFINED             8,14      101,000   0      59,300
PROLOGIS                     COMMON 743410102   $      603      11,100   SH   DEFINED             9,14          -     0      11,100
ULTRA S&P500 PROSHARES ETF   COMMON 74347R107   $    1,285      17,400   SH   DEFINED               22       17,400   0         -
ULTRA S&P500 PROSHARES ETF   COMMON 74347R107   $      513       6,950   SH   DEFINED                5        3,500   0       3,450
PROSPECT CAPITAL CORP        COMMON 74348T102   $    2,550     193,511   SH   DEFINED               23      193,511   0         -
PROSPECT CAPITAL CORP        COMMON 74348T102   $       30       2,250   SH   DEFINED               24        2,250   0         -
PROSPECT STREET HI INC PORTF
C                            COMMON 743586406   $      252      96,021   SH   DEFINED               22          -     0      96,021
PROSPECT STREET INCOME
SHARES                       COMMON 743590101   $       19       4,000   SH   DEFINED               22          -     0       4,000
PROSPERITY BANCSHARES INC    COMMON 743606105   $       67       2,519   SH   DEFINED               23        2,519   0         -
PROSPERITY BANCSHARES INC    COMMON 743606105   $      182       6,820   SH   DEFINED                5        1,420   0       5,400
PROTECTION ONE INC           COMMON 743663403   $       16       1,908   SH   DEFINED               23        1,908   0         -
PROTECTIVE LIFE CORP         COMMON 743674103   $        2          65   SH   DEFINED               22          -     0          65
PROTECTIVE LIFE CORP         COMMON 743674103   $      317       8,320   SH   DEFINED               23        8,320   0         -
PROTECTIVE LIFE CORP         COMMON 743674103   $       28         738   SH   DEFINED               24          738   0         -
PROTECTIVE LIFE CORP         COMMON 743674103   $    3,917     102,948   SH   DEFINED                5      102,548   0         400
PROVIDENCE SERVICE CORP      COMMON 743815102   $      279      13,194   SH   DEFINED               23       13,194   0         -
PROVIDENT BANKSHARES CORP    COMMON 743859100   $    3,959     620,610   SH   DEFINED               23      620,610   0         -
PROVIDENT FINANCIAL HOLDINGS COMMON 743868101   $        2         229   SH   DEFINED               23          229   0         -
PROVIDENT ENERGY TRUST-UTS   COMMON 74386K104   $       23       2,000   SH   DEFINED               22        2,000   0         -
PROVIDENT FINANCIAL SERVICES COMMON 74386T105   $       39       2,800   SH   DEFINED               14        2,800   0         -
PROVIDENT FINANCIAL SERVICES COMMON 74386T105   $      150      10,690   SH   DEFINED               23       10,690   0         -
PROVIDENT NEW YORK BANCORP   COMMON 744028101   $      365      33,025   SH   DEFINED               23       33,025   0         -
PRUDENTIAL BANCORP INC OF PA COMMON 744319104   $        1          50   SH   DEFINED               23           50   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    2,029      33,970   SH   DEFINED                1       33,970   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $      263       4,400   SH   DEFINED             10,7        4,400   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $      249       4,168   SH   DEFINED               13        4,168   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    3,550      59,420   SH   DEFINED               14       43,820   0      12,000
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    2,043      34,200   SH   DEFINED             14,7          -     0      34,200
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $      506       8,465   SH   DEFINED               21        8,465   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    1,101      18,432   SH   DEFINED               22          440   0      17,992
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    6,993     117,064   SH   DEFINED               23      117,064   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $       65       1,085   SH   DEFINED               24        1,085   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $      147       2,461   SH   DEFINED                5        1,649   0         812
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    2,314      38,732   SH   DEFINED                7       38,732   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    3,974      66,524   SH   DEFINED                8       66,524   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $      621      10,400   SH   DEFINED             8,14       10,400   0         -
PRUDENTIAL FINANCIAL INC     COMMON 744320102   $    1,144      19,157   SH   DEFINED                9       19,157   0         -
PRUDENTIAL PLC ADR           COMMON 74435K204   $       33       1,255   SH   DEFINED               22          -     0       1,255
PT INDOSAT-ADR               COMMON 744383100   $      126       4,065   SH   DEFINED               23        4,065   0         -
PSYCHIATRIC SOLUTIONS INC    COMMON 74439H108   $    6,199     163,821   SH   DEFINED               22      149,313   0      14,508
PSYCHIATRIC SOLUTIONS INC    COMMON 74439H108   $     122       3,211    SH   DEFINED              23        3,211    0         -
PSYCHIATRIC SOLUTIONS INC    COMMON 74439H108   $   3,788     100,112    SH   DEFINED               5       73,803    0      26,309
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $  13,595     296,000    SH   DEFINED               1      296,000    0         -
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     225       4,900    SH   DEFINED              14        3,900    0       1,000
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     248       5,400    SH   DEFINED            14,7          -      0       5,400
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     274       5,972    SH   DEFINED              21        5,972    0         -
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     241       5,240    SH   DEFINED              22          -      0       5,240
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $  14,082     306,604    SH   DEFINED              23      306,604    0         -
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $      34         738    SH   DEFINED              24          738    0         -
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     416       9,053    SH   DEFINED               5        6,845    0       2,208
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     380       8,276    SH   DEFINED               7        8,276    0         -
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $   5,455     118,771    SH   DEFINED               8      118,771    0         -
PUBLIC SERVICE ENTERPRISE
GROU                         COMMON 744573106   $     207       4,500    SH   DEFINED               9        4,500    0         -
PUBLIC STORAGE               COMMON 74460D109   $   2,642      32,700    SH   DEFINED               1       32,700    0         -
PUBLIC STORAGE               COMMON 74460D109   $  59,348     734,600    SH   DEFINED            1,15      734,600    0         -
PUBLIC STORAGE               COMMON 74460D109   $     792       9,800    SH   DEFINED           10,14        9,800    0         -
PUBLIC STORAGE               COMMON 74460D109   $     289       3,582    SH   DEFINED              11        3,582    0         -
PUBLIC STORAGE               COMMON 74460D109   $      16         200    SH   DEFINED              13          200    0         -
PUBLIC STORAGE               COMMON 74460D109   $ 228,523   2,828,600    SH   DEFINED              14    1,713,424    0     968,275
PUBLIC STORAGE               COMMON 74460D109   $   1,365      16,900    SH   DEFINED           14,13          -      0      16,900
PUBLIC STORAGE               COMMON 74460D109   $   1,147      14,200    SH   DEFINED            14,7          -      0      14,200
PUBLIC STORAGE               COMMON 74460D109   $   3,102      38,400    SH   DEFINED           18,14       38,400    0         -
PUBLIC STORAGE               COMMON 74460D109   $     937      11,600    SH   DEFINED           19,14       11,600    0         -
PUBLIC STORAGE               COMMON 74460D109   $   7,861      97,300    SH   DEFINED            2,15       97,300    0         -
PUBLIC STORAGE               COMMON 74460D109   $      16         200    SH   DEFINED           20,14          -      0         -
PUBLIC STORAGE               COMMON 74460D109   $     185       2,288    SH   DEFINED              22          -      0       2,288
PUBLIC STORAGE               COMMON 74460D109   $   2,311      28,605    SH   DEFINED              23       28,605    0         -
PUBLIC STORAGE               COMMON 74460D109   $       9         115    SH   DEFINED              24          115    0         -
PUBLIC STORAGE               COMMON 74460D109   $   1,042      12,900    SH   DEFINED            3,15        6,000    0       6,900
PUBLIC STORAGE               COMMON 74460D109   $      36         446    SH   DEFINED               5          377    0          69
PUBLIC STORAGE               COMMON 74460D109   $  16,604     205,516    SH   DEFINED            5,15      205,516    0         -
PUBLIC STORAGE               COMMON 74460D109   $     129       1,600    SH   DEFINED            6,14        1,600    0         -
PUBLIC STORAGE               COMMON 74460D109   $     692       8,567    SH   DEFINED               7        8,567    0         -
PUBLIC STORAGE               COMMON 74460D109   $      89       1,100    SH   DEFINED               8        1,100    0         -
PUBLIC STORAGE               COMMON 74460D109   $   9,945     123,100    SH   DEFINED            8,14       89,100    0      34,000
PUBLIC STORAGE               COMMON 74460D109   $     743       9,200    SH   DEFINED            9,14          -      0       9,200
PUBLIC STORAGE DEP SH CL A   COMMON 74460D729   $   3,094     119,000    SH   DEFINED            1,15      119,000    0         -
PUGET ENERGY INC             COMMON 745310102   $     402      16,775    SH   DEFINED              23       16,775    0         -
PUGET ENERGY INC             COMMON 745310102   $       7         278    SH   DEFINED              24          278    0         -
PULASKI FINANCIAL CORP       COMMON 745548107   $       1          66    SH   DEFINED              23           66    0         -
PULTE HOMES INC              COMMON 745867101   $       1         125    SH   DEFINED              22          -      0         125
PULTE HOMES INC              COMMON 745867101   $     546      56,743    SH   DEFINED              23       56,743    0         -
PULTE HOMES INC              COMMON 745867101   $      12       1,229    SH   DEFINED              24        1,229    0         -
PULTE HOMES INC              COMMON 745867101   $      98      10,145    SH   DEFINED               7       10,145    0         -
PUTNAM PREMIER INCOME TRUST
CF                           COMMON 746853100   $      16       2,500    SH   DEFINED              22          -      0       2,500
QLT PHOTOTHERAPEUTICS INC    COMMON 746927102   $       2         658    SH   DEFINED              23          658    0         -
QLOGIC CORP                  COMMON 747277101   $  37,590   2,576,419    SH   DEFINED               1    2,576,419    0         -
QLOGIC CORP                  COMMON 747277101   $     102       7,000    SH   DEFINED            1,15        7,000    0         -
QLOGIC CORP                  COMMON 747277101   $      26       1,800    SH   DEFINED              13        1,800    0         -
QLOGIC CORP                  COMMON 747277101   $  24,066   1,649,469    SH   DEFINED              14      815,669    0     821,100
QLOGIC CORP                  COMMON 747277101   $     954      65,400    SH   DEFINED            14,7          -      0      65,400
QLOGIC CORP                  COMMON 747277101   $      98       6,700    SH   DEFINED               2        6,700    0         -
QLOGIC CORP                  COMMON 747277101   $      26       1,800    SH   DEFINED           20,14          -      0         -
QLOGIC CORP                  COMMON 747277101   $   4,989     341,947    SH   DEFINED              23      341,947    0         -
QLOGIC CORP                  COMMON 747277101   $     197      13,508    SH   DEFINED              24       13,508    0         -
QLOGIC CORP                  COMMON 747277101   $   6,977     478,232    SH   DEFINED             3,1      478,232    0         -
QLOGIC CORP                  COMMON 747277101   $  13,967     957,293    SH   DEFINED               4      957,293    0         -
QLOGIC CORP                  COMMON 747277101   $     674      46,200    SH   DEFINED            5,15       46,200    0         -
QAD INC                      COMMON 74727D108   $       1         109    SH   DEFINED              23          109    0         -
QC HOLDING INC               COMMON 74729T101       $ -            50    SH   DEFINED              23           50    0         -
QUAKER CHEMICAL CORP         COMMON 747316107   $   3,483     130,660    SH   DEFINED              23      130,660    0         -
QUALCOMM INC                 COMMON 747525103   $   9,208     207,519    SH   DEFINED               1      207,519    0         -
QUALCOMM INC                 COMMON 747525103   $     280       6,300    SH   DEFINED              14        2,600    0         900
QUALCOMM INC                 COMMON 747525103   $     191       4,300    SH   DEFINED            14,7          -      0       4,300
QUALCOMM INC                 COMMON 747525103   $      84       1,900    SH   DEFINED              17        1,900    0         -
QUALCOMM INC                 COMMON 747525103   $   2,054      46,286    SH   DEFINED            20,2       46,286    0         -
QUALCOMM INC                 COMMON 747525103   $  61,132   1,377,789    SH   DEFINED              22      137,497    0   1,240,292
QUALCOMM INC                 COMMON 747525103   $  27,980     630,602    SH   DEFINED              23      630,602    0         -
QUALCOMM INC                 COMMON 747525103   $  23,852     537,580    SH   DEFINED              24      537,580    0         -
QUALCOMM INC                 COMMON 747525103   $  10,438     235,252    SH   DEFINED               3      235,252    0         -
QUALCOMM INC                 COMMON 747525103   $  40,115     904,113    SH   DEFINED               5      226,497    0     677,616
QUALCOMM INC                 COMMON 747525103   $   1,734      39,091    SH   DEFINED               7       39,091    0         -
QUALCOMM INC                 COMMON 747525103   $   1,997      45,013    SH   DEFINED               8       45,013    0         -
QUALITY DISTRIBUTION INC     COMMON 74756M102   $      25      10,503    SH   DEFINED              23       10,503    0         -
QUALITY SYSTEMS INC          COMMON 747582104   $  10,620     362,700    SH   DEFINED               1      362,700    0         -
QUALITY SYSTEMS INC          COMMON 747582104   $      53       1,800    SH   DEFINED              14        1,800    0         -
QUALITY SYSTEMS INC          COMMON 747582104   $   8,560     292,342    SH   DEFINED               2      292,342    0         -
QUALITY SYSTEMS INC          COMMON 747582104   $   1,061      36,249    SH   DEFINED              23       36,249    0         -
QUALITY SYSTEMS INC          COMMON 747582104   $     140       4,775    SH   DEFINED               5          -      0       4,775
QUANEX BUILDING PRODUCTS     COMMON 747619104   $      34       2,300    SH   DEFINED              14        2,300    0         -
QUANEX BUILDING PRODUCTS     COMMON 747619104   $      12         825    SH   DEFINED              22          -      0         825
QUANEX BUILDING PRODUCTS     COMMON 747619104   $      61       4,132    SH   DEFINED              23        4,132    0         -
QUANEX BUILDING PRODUCTS     COMMON 747619104   $       1          97    SH   DEFINED               5           97    0         -
QUANTA SVCS INC              COMMON 74762E102   $  30,352     912,305    SH   DEFINED               1      912,305    0         -
QUANTA SVCS INC              COMMON 74762E102   $  10,232     307,532    SH   DEFINED               2      222,545    0      84,987
QUANTA SVCS INC              COMMON 74762E102   $       7         200    SH   DEFINED              22          200    0         -
QUANTA SVCS INC              COMMON 74762E102   $   1,453      43,684    SH   DEFINED              23       43,684    0         -
QUANTA SVCS INC              COMMON 74762E102   $     709      21,302    SH   DEFINED               5        2,805    0      18,497
QUANTUM FUEL SYSTEMS TECHNO  COMMON 74765E109   $   8,593   2,790,022    SH   DEFINED              23    2,790,022    0         -
QUANTUM CORP-DLT & STORAGE   COMMON 747906204   $      54      39,993    SH   DEFINED              23       39,993    0         -
QUEST RESOURCE CORP          COMMON 748349305   $       2         197    SH   DEFINED              23          197    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $  93,439   1,927,770    SH   DEFINED               1    1,927,770    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $     440       9,081    SH   DEFINED              14        9,081    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $     150       3,100    SH   DEFINED              17        3,100    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $   4,911     101,316    SH   DEFINED               2      101,316    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $   2,071      42,730    SH   DEFINED            20,2          -      0      42,730
QUEST DIAGNOSTICS INC        COMMON 74834L100   $   2,965      61,167    SH   DEFINED              22       55,703    0       5,464
QUEST DIAGNOSTICS INC        COMMON 74834L100   $   1,979      40,820    SH   DEFINED              23       40,820    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $       8         157    SH   DEFINED              24          157    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $  14,574     300,683    SH   DEFINED               4      300,683    0         -



QUEST DIAGNOSTICS INC        COMMON 74834L100   $   1,889      38,967    SH   DEFINED               5       28,003    0      10,964
QUEST DIAGNOSTICS INC        COMMON 74834L100   $     152       3,138    SH   DEFINED               7        3,138    0         -
QUEST DIAGNOSTICS INC        COMMON 74834L100   $     142       2,939    SH   DEFINED             8,2        2,939    0         -
QUEST SOFTWARE INC           COMMON 74834T103   $   3,894     262,900    SH   DEFINED              14      131,000    0     131,200
QUEST SOFTWARE INC           COMMON 74834T103   $       4         276    SH   DEFINED              22          -      0         276
QUEST SOFTWARE INC           COMMON 74834T103   $   1,988     134,246    SH   DEFINED              23      134,246    0         -
QUEST SOFTWARE INC           COMMON 74834T103   $     153      10,300    SH   DEFINED            5,15       10,300    0         -
QUESTAR CORP                 COMMON 748356102   $  93,204   1,312,000    SH   DEFINED               1    1,312,000    0         -
QUESTAR CORP                 COMMON 748356102   $  11,366     160,000    SH   DEFINED            13,2          -      0     160,000
QUESTAR CORP                 COMMON 748356102   $   7,287     102,579    SH   DEFINED              22       94,775    0       7,804
QUESTAR CORP                 COMMON 748356102   $  14,317     201,529    SH   DEFINED              23      201,529    0         -
QUESTAR CORP                 COMMON 748356102   $       8         112    SH   DEFINED              24          112    0         -
QUESTAR CORP                 COMMON 748356102   $   6,620      93,188    SH   DEFINED               5       58,945    0      34,243
QUESTAR CORP                 COMMON 748356102   $     252       3,554    SH   DEFINED               7        3,554    0         -
QUICKSILVER RESOURCE         COMMON 74837R104   $  24,343     630,000    SH   DEFINED               1      630,000    0         -
QUICKSILVER RESOURCE         COMMON 74837R104   $     348       9,000    SH   DEFINED               2        9,000    0         -
QUICKSILVER RESOURCE         COMMON 74837R104   $   6,290     162,780    SH   DEFINED              22      154,405    0       8,375
QUICKSILVER RESOURCE         COMMON 74837R104   $   3,592      92,958    SH   DEFINED              23       92,958    0         -
QUICKSILVER RESOURCE         COMMON 74837R104   $   4,041     104,592    SH   DEFINED               5       76,986    0      27,606
QUIKSILVER INC               COMMON 74838C106   $     138      14,034    SH   DEFINED              23       14,034    0         -
QUIKSILVER INC               COMMON 74838C106   $       3         272    SH   DEFINED              24          272    0         -
QUIDEL CORP                  COMMON 74838J101   $   6,663     402,867    SH   DEFINED               1      402,867    0         -
QUIDEL CORP                  COMMON 74838J101   $   1,642      99,300    SH   DEFINED              14       71,100    0      28,200
QUIDEL CORP                  COMMON 74838J101   $   2,712     163,978    SH   DEFINED               2       22,379    0     141,599
QUIDEL CORP                  COMMON 74838J101   $     522      31,548    SH   DEFINED              23       31,548    0         -
QUIDEL CORP                  COMMON 74838J101   $     250      15,100    SH   DEFINED            5,15       15,100    0         -
QUICKSILVER GAS SERVICES LP  COMMON 74839G106   $   1,040      40,220    SH   DEFINED               5       40,220    0         -
QUIXOTE CORP                 COMMON 749056107   $       1          79    SH   DEFINED              23           79    0         -
QWEST COMMUNICATIONS INTL
 INC                         COMMON 749121109   $      15       3,900    SH   DEFINED              13        3,900    0         -
QWEST COMMUNICATIONS INTL
 INC                         COMMON 749121109   $   5,818   1,480,300    SH   DEFINED              14      520,100    0     955,300
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $      81      20,500    SH   DEFINED            14,7          -      0      20,500
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $      15       3,900    SH   DEFINED           20,14          -      0         -
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $       4         901    SH   DEFINED              22          -      0         901
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $   8,775   2,232,738    SH   DEFINED              23    2,232,738    0         -
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $     448     114,008    SH   DEFINED              24      114,008    0         -
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $       1         300    SH   DEFINED               5          300    0         -
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $     113      28,639    SH   DEFINED               7       28,639    0         -
QWEST COMMUNICATIONS INTL
INC                          COMMON 749121109   $     427     108,674    SH   DEFINED               8      108,674    0         -
RAIT FINANCIAL TRUST         COMMON 749227104   $       1         189    SH   DEFINED              22          -      0         189
RAIT FINANCIAL TRUST         COMMON 749227104   $     215      29,011    SH   DEFINED              23       29,011    0         -
RAIT FINANCIAL TRUST         COMMON 749227104   $       2         224    SH   DEFINED               5          -      0         224
RCM TECHNOLOGIES INC         COMMON 749360400   $     250      57,970    SH   DEFINED              23       57,970    0         -
RCN CORP                     COMMON 749361200   $     743      68,900    SH   DEFINED              14       36,200    0      32,700
RCN CORP                     COMMON 749361200   $     125      11,606    SH   DEFINED              23       11,606    0         -
RCN CORP                     COMMON 749361200   $     105       9,700    SH   DEFINED            5,15        9,700    0         -
RC2 CORP                     COMMON 749388104   $     126       6,800    SH   DEFINED              14        6,800    0         -
RC2 CORP                     COMMON 749388104   $     111       5,995    SH   DEFINED              23        5,995    0         -
RC2 CORP                     COMMON 749388104   $      28       1,500    SH   DEFINED            5,15        1,500    0         -
RH DONNELLEY CORP            COMMON 74955W307   $      56      18,684    SH   DEFINED              23       18,684    0         -
RH DONNELLEY CORP            COMMON 74955W307   $       1         365    SH   DEFINED              24          365    0         -
RH DONNELLEY CORP            COMMON 74955W307       $ -            99    SH   DEFINED               5          -      0          99
RLI CORP                     COMMON 749607107   $     861      17,400    SH   DEFINED              14       17,400    0         -
RLI CORP                     COMMON 749607107   $   2,133      43,127    SH   DEFINED              23       43,127    0         -
RLI CORP                     COMMON 749607107   $     599      12,100    SH   DEFINED               8       12,100    0         -
RLI CORP                     COMMON 749607107   $     163       3,300    SH   DEFINED            8,20        3,300    0         -
RPC INC                      COMMON 749660106   $      43       2,567    SH   DEFINED              23        2,567    0         -
RPM INTERNATIONAL INC        COMMON 749685103   $      10         500    SH   DEFINED              14          500    0         -
RPM INTERNATIONAL INC        COMMON 749685103   $     933      45,307    SH   DEFINED              23       45,307    0         -
RPM INTERNATIONAL INC        COMMON 749685103   $       4         215    SH   DEFINED              24          215    0         -
RPM INTERNATIONAL INC        COMMON 749685103   $      36       1,745    SH   DEFINED               5        1,375    0         370
RSC HOLDINGS INC             COMMON 74972L102   $      37       4,000    SH   DEFINED              22          -      0       4,000
RSC HOLDINGS INC             COMMON 74972L102   $     140      15,121    SH   DEFINED              23       15,121    0         -
RTI INTERNATIONAL METALS INC COMMON 74973W107   $      53       1,497    SH   DEFINED              23        1,497    0         -
RTI BIOLOGICS INC            COMMON 74975N105   $      84       9,600    SH   DEFINED              22        9,600    0         -
RTI BIOLOGICS INC            COMMON 74975N105   $     211      24,150    SH   DEFINED              23       24,150    0         -
RTI BIOLOGICS INC            COMMON 74975N105   $      84       9,600    SH   DEFINED               5          -      0       9,600
RXI PHARMACEUTICALS CORP     COMMON 74978T109       $ -            29    SH   DEFINED              23           29    0         -
RF MICRO DEVICES INC         COMMON 749941100   $       9       3,000    SH   DEFINED              14        3,000    0         -
RF MICRO DEVICES INC         COMMON 749941100   $     141      48,665    SH   DEFINED              23       48,665    0         -
RACKABLE SYSTEMS INC         COMMON 750077109   $   4,618     344,600    SH   DEFINED              14      220,900    0     123,700
RACKABLE SYSTEMS INC         COMMON 750077109   $     273      20,360    SH   DEFINED              23       20,360    0         -
RACKABLE SYSTEMS INC         COMMON 750077109   $      56       4,175    SH   DEFINED               5          -      0       4,175
RACKABLE SYSTEMS INC         COMMON 750077109   $     698      52,100    SH   DEFINED            5,15       52,100    0         -
RACKABLE SYSTEMS INC         COMMON 750077109   $      55       4,100    SH   DEFINED               8        4,100    0         -
RACKABLE SYSTEMS INC         COMMON 750077109   $      15       1,100    SH   DEFINED            8,20        1,100    0         -
RADIAN GROUP INC             COMMON 750236101   $      60      41,420    SH   DEFINED              23       41,420    0         -
RADIAN GROUP INC             COMMON 750236101   $       1         762    SH   DEFINED              24          762    0         -
RADIANT SYSTEMS INC          COMMON 75025N102   $     142      13,213    SH   DEFINED              23       13,213    0         -
RADIO ONE INC CL D WI        COMMON 75040P405   $     137     105,956    SH   DEFINED              23      105,956    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   4,810     392,000    SH   DEFINED            1,15      392,000    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $     522      42,583    SH   DEFINED             1,9       42,583    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   1,148      93,600    SH   DEFINED           10,14       93,600    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $     525      42,756    SH   DEFINED            10,7       42,756    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $     123      10,012    SH   DEFINED              11       10,012    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $     431      35,101    SH   DEFINED              13       35,101    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $  81,837   6,669,716    SH   DEFINED              14    4,071,166    0   2,405,950
RADIOSHACK CORPORATION       COMMON 750438103   $   1,551     126,400    SH   DEFINED           14,13          -      0     126,400
RADIOSHACK CORPORATION       COMMON 750438103   $   2,616     213,200    SH   DEFINED            14,7          -      0     213,200
RADIOSHACK CORPORATION       COMMON 750438103   $     933      76,057    SH   DEFINED              19       76,057    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $     144      11,700    SH   DEFINED           20,14          -      0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   1,851     150,880    SH   DEFINED              21      150,880    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   1,641     133,757    SH   DEFINED              23      133,757    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $       4         288    SH   DEFINED              24          288    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   3,482     283,800    SH   DEFINED            5,15      283,800    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   5,639     459,546    SH   DEFINED               7      459,546    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $  19,176   1,562,805    SH   DEFINED               8    1,562,805    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   6,324     515,400    SH   DEFINED            8,14      515,400    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $   2,790     227,368    SH   DEFINED               9      227,368    0         -
RADIOSHACK CORPORATION       COMMON 750438103   $     844      68,800    SH   DEFINED            9,14          -      0      68,800
RADISYS CORP                 COMMON 750459109   $     245      27,053    SH   DEFINED              23       27,053    0         -


RADISYS CORP                 COMMON 750459109   $     114      12,600    SH   DEFINED               5       12,600    0         -
RADNET INC                   COMMON 750491102   $       2         303    SH   DEFINED              23          303    0         -
RADYNE CORPORATION           COMMON 750611402   $       2         164    SH   DEFINED              23          164    0         -
RAMBUS INC DEL               COMMON 750917106   $      61       3,201    SH   DEFINED              23        3,201    0         -
RALCORP HLDGS INC            COMMON 751028101   $  11,725     237,164    SH   DEFINED               1      237,164    0         -
RALCORP HLDGS INC            COMMON 751028101   $      69       1,400    SH   DEFINED              14        1,400    0         -
RALCORP HLDGS INC            COMMON 751028101   $   9,542     192,996    SH   DEFINED               2      192,996    0         -
RALCORP HLDGS INC            COMMON 751028101   $     488       9,867    SH   DEFINED              22          -      0       9,867
RALCORP HLDGS INC            COMMON 751028101   $   2,772      56,076    SH   DEFINED              23       56,076    0         -
RALCORP HLDGS INC            COMMON 751028101   $      84       1,700    SH   DEFINED               5          -      0       1,700
RAM ENERGY RESOURCES INC     COMMON 75130P109   $       2         266    SH   DEFINED              23          266    0         -
RAMCO-GERSHENSON PPTYS TR    COMMON 751452202   $     294      14,300    SH   DEFINED              14       14,300    0         -
RAMCO-GERSHENSON PPTYS TR    COMMON 751452202   $      79       3,858    SH   DEFINED              23        3,858    0         -
RANGOLD RESOURCES LTD        COMMON 752344309   $  18,703     405,000    SH   DEFINED               1      405,000    0         -
RANGOLD RESOURCES LTD        COMMON 752344309   $      43         940    SH   DEFINED              23          940    0         -
RANGE RESOURCES CORP         COMMON 75281A109   $  48,474     739,617    SH   DEFINED               1      739,617    0         -
RANGE RESOURCES CORP         COMMON 75281A109   $   6,485      98,950    SH   DEFINED            13,2          -      0      98,950
RANGE RESOURCES CORP         COMMON 75281A109   $   7,487     114,241    SH   DEFINED              22      106,488    0       7,753
RANGE RESOURCES CORP         COMMON 75281A109   $   6,401      97,665    SH   DEFINED              23       97,665    0         -
RANGE RESOURCES CORP         COMMON 75281A109   $  16,686     254,600    SH   DEFINED               3      254,600    0         -
RANGE RESOURCES CORP         COMMON 75281A109   $   4,809      73,368    SH   DEFINED               5       54,069    0      19,299
RANGE RESOURCES CORP         COMMON 75281A109   $     120       1,824    SH   DEFINED               7        1,824    0         -
RASER TECHNOLOGIES INC       COMMON 754055101   $  15,711   1,613,083    SH   DEFINED              23    1,613,083    0         -
RAVEN INDUSTRIES INC         COMMON 754212108   $      33       1,000    SH   DEFINED              22          -      0       1,000
RAVEN INDUSTRIES INC         COMMON 754212108   $   1,078      32,880    SH   DEFINED              23       32,880    0         -
RAYMOND JAMES FINANCIAL INC  COMMON 754730109   $      29       1,090    SH   DEFINED              14          890    0         200
RAYMOND JAMES FINANCIAL INC  COMMON 754730109   $       3         110    SH   DEFINED              22          -      0         110
RAYMOND JAMES FINANCIAL INC  COMMON 754730109   $     246       9,319    SH   DEFINED              23        9,319    0         -
RAYMOND JAMES FINANCIAL INC  COMMON 754730109   $       4         170    SH   DEFINED              24          170    0         -
RAYMOND JAMES FINANCIAL INC  COMMON 754730109   $      13         500    SH   DEFINED               5          -      0         500
RAYONIER INC                 COMMON 754907103   $      89       2,100    SH   DEFINED            1,15        2,100    0         -
RAYONIER INC                 COMMON 754907103   $   2,652      62,470    SH   DEFINED              14       60,670    0         600
RAYONIER INC                 COMMON 754907103   $      56       1,325    SH   DEFINED              22          -      0       1,325
RAYONIER INC                 COMMON 754907103   $     235       5,530    SH   DEFINED              23        5,530    0         -
RAYONIER INC                 COMMON 754907103   $       4         101    SH   DEFINED              24          101    0         -
RAYONIER INC                 COMMON 754907103   $      58       1,362    SH   DEFINED               5          -      0       1,362
RAYTHEON COMPANY-CW11 WT     COMMON 755111119   $       4         191    SH   DEFINED              14          191    0         -
RAYTHEON COMPANY             COMMON 755111507   $ 199,406   3,543,111    SH   DEFINED               1    3,543,111    0         -
RAYTHEON COMPANY             COMMON 755111507   $     135       2,400    SH   DEFINED              13        2,400    0         -
RAYTHEON COMPANY             COMMON 755111507   $     135       2,400    SH   DEFINED            13,2        2,400    0         -
RAYTHEON COMPANY             COMMON 755111507   $   1,324      23,530    SH   DEFINED              14       18,030    0       3,200
RAYTHEON COMPANY             COMMON 755111507   $     822      14,600    SH   DEFINED            14,7          -      0      14,600
RAYTHEON COMPANY             COMMON 755111507   $  23,966     425,842    SH   DEFINED               2      425,842    0         -
RAYTHEON COMPANY             COMMON 755111507   $     339       6,019    SH   DEFINED              22        2,114    0       3,905
RAYTHEON COMPANY             COMMON 755111507   $  36,756     653,093    SH   DEFINED              23      653,093    0         -
RAYTHEON COMPANY             COMMON 755111507   $   1,210      21,491    SH   DEFINED              24       21,491    0         -
RAYTHEON COMPANY             COMMON 755111507   $   2,735      48,600    SH   DEFINED             3,1       48,600    0         -
RAYTHEON COMPANY             COMMON 755111507   $     344       6,107    SH   DEFINED               4        6,107    0         -
RAYTHEON COMPANY             COMMON 755111507   $     767      13,625    SH   DEFINED               5        2,295    0      11,330
RAYTHEON COMPANY             COMMON 755111507   $     807      14,338    SH   DEFINED               7       14,338    0         -
RAYTHEON COMPANY             COMMON 755111507   $  31,655     562,456    SH   DEFINED               8      562,456    0         -
RAYTHEON COMPANY             COMMON 755111507   $     411       7,308    SH   DEFINED             8,2        7,308    0         -
RBC BEARINGS INC             COMMON 75524B104   $   6,234     187,082    SH   DEFINED               1      187,082    0         -
RBC BEARINGS INC             COMMON 75524B104   $   3,619     108,615    SH   DEFINED               2       42,451    0      66,164
RBC BEARINGS INC             COMMON 75524B104   $      55       1,639    SH   DEFINED              23        1,639    0         -
READING INTERNATIONAL INC  A COMMON 755408101   $      81       8,640    SH   DEFINED               5          -      0       8,640
REALNETWORKS INC             COMMON 75605L104   $     134      20,269    SH   DEFINED              23       20,269    0         -
REALNETWORKS INC             COMMON 75605L104   $     515      78,057    SH   DEFINED               5       26,342    0      51,715
REALTY INCOME CORP           COMMON 756109104   $     469      20,600    SH   DEFINED            1,15       20,600    0         -
REALTY INCOME CORP           COMMON 756109104   $   2,786     122,400    SH   DEFINED              14      105,100    0      17,300
REALTY INCOME CORP           COMMON 756109104   $      65       2,854    SH   DEFINED              22          -      0       2,854
REALTY INCOME CORP           COMMON 756109104   $     210       9,231    SH   DEFINED              23        9,231    0         -
REALTY INCOME CORP           COMMON 756109104   $       3         147    SH   DEFINED              24          147    0         -
REALTY INCOME CORP           COMMON 756109104   $      48       2,100    SH   DEFINED            6,14        2,100    0         -
REAVES UTILITY INCOME TRUST
CE                           COMMON 756158101   $      41       1,750    SH   DEFINED              22          -      0       1,750
RED HAT INC                  COMMON 756577102   $   8,865     428,451    SH   DEFINED               1      428,451    0         -
RED HAT INC                  COMMON 756577102   $   1,113      53,796    SH   DEFINED            20,2       53,796    0         -
RED HAT INC                  COMMON 756577102   $      95       4,612    SH   DEFINED              23        4,612    0         -
RED HAT INC                  COMMON 756577102   $       6         293    SH   DEFINED               5          100    0         193
RED LION HOTELS CORP         COMMON 756764106   $   4,292     538,539    SH   DEFINED               1      538,539    0         -
RED LION HOTELS CORP         COMMON 756764106   $   1,392     174,700    SH   DEFINED               2          -      0     174,700
RED LION HOTELS CORP         COMMON 756764106   $     246      30,914    SH   DEFINED              23       30,914    0         -
RED ROBIN GOURMET            COMMON 75689M101   $      45       1,622    SH   DEFINED              23        1,622    0         -
REDDY ICE HOLDINGS INC       COMMON 75734R105   $     394      28,800    SH   DEFINED              14       28,800    0         -
REDDY ICE HOLDINGS INC       COMMON 75734R105   $   1,884     137,750    SH   DEFINED              22        8,900    0     128,850
REDDY ICE HOLDINGS INC       COMMON 75734R105   $      40       2,897    SH   DEFINED              23        2,897    0         -
REDDY ICE HOLDINGS INC       COMMON 75734R105   $      58       4,230    SH   DEFINED               5        3,830    0         400
REDDY ICE HOLDINGS INC       COMMON 75734R105   $      86       6,300    SH   DEFINED            5,15        6,300    0         -
REDWOOD TR INC               COMMON 758075402   $     162       7,128    SH   DEFINED              23        7,128    0         -
REDWOOD TR INC               COMMON 758075402   $       3         131    SH   DEFINED              24          131    0         -
REED ELSEVIER NV-SPONS ADR   COMMON 758204200   $   6,167     165,433    SH   DEFINED              23      165,433    0         -
REED ELSEVIER PLC-SPONS ADR  COMMON 758205207   $       3          67    SH   DEFINED              11           67    0         -
REED ELSEVIER PLC-SPONS ADR  COMMON 758205207       $ -             1    SH   DEFINED              14            1    0         -
REED ELSEVIER PLC-SPONS ADR  COMMON 758205207   $   5,505     120,862    SH   DEFINED              23      120,862    0         -
REED ELSEVIER PLC-SPONS ADR  COMMON 758205207   $  10,580     232,276    SH   DEFINED               4      232,276    0         -
REGAL BELOIT CORP            COMMON 758750103   $  10,701     253,274    SH   DEFINED               1      253,274    0         -
REGAL BELOIT CORP            COMMON 758750103   $      52       1,225    SH   DEFINED              14        1,225    0         -
REGAL BELOIT CORP            COMMON 758750103   $   8,746     206,997    SH   DEFINED               2      206,997    0         -
REGAL BELOIT CORP            COMMON 758750103   $     189       4,477    SH   DEFINED              23        4,477    0         -
REGAL ENTERTAINMENT GROUP    COMMON 758766109   $   1,464      95,825    SH   DEFINED              22        1,400    0      94,425
REGAL ENTERTAINMENT GROUP    COMMON 758766109   $     433      28,355    SH   DEFINED              23       28,355    0         -
REGAL ENTERTAINMENT GROUP    COMMON 758766109   $       9         599    SH   DEFINED              24          599    0         -
REGAL ENTERTAINMENT GROUP    COMMON 758766109   $       4         250    SH   DEFINED               5          250    0         -
REGENCY CENTERS CORP         COMMON 758849103   $   5,930     100,300    SH   DEFINED              14      100,300    0         -
REGENCY CENTERS CORP         COMMON 758849103   $     304       5,143    SH   DEFINED              23        5,143    0         -
REGENCY CENTERS CORP         COMMON 758849103   $       5          79    SH   DEFINED              24           79    0         -
REGENCY CENTERS CORP         COMMON 758849103   $       5          85    SH   DEFINED               5          -      0          85
REGENCY ENERGY PARTNERS LP   COMMON 75885Y107   $   1,032      38,270    SH   DEFINED               5       31,945    0       6,325
REGENERON PHARMACEUTICALS    COMMON 75886F107   $   2,375     164,500    SH   DEFINED              14       84,600    0      79,900
REGENERON PHARMACEUTICALS    COMMON 75886F107   $      72       5,000    SH   DEFINED              22          -      0       5,000





REGENERON PHARMACEUTICALS    COMMON 75886F107   $   4,041     279,849    SH   DEFINED              23      279,849    0         -
REGENERON PHARMACEUTICALS    COMMON 75886F107   $     101       7,000    SH   DEFINED               5          -      0       7,000
REGENERON PHARMACEUTICALS    COMMON 75886F107   $     357      24,700    SH   DEFINED            5,15       24,700    0         -
REGIS CORP MINN              COMMON 758932107   $     806      30,583    SH   DEFINED              23       30,583    0         -
REGIS CORP MINN              COMMON 758932107   $       3         101    SH   DEFINED              24          101    0         -
REHABCARE GROUP INC          COMMON 759148109   $     292      18,224    SH   DEFINED              23       18,224    0         -
REGIONS FINANCIAL CORP       COMMON 7591EP100   $     119      10,870    SH   DEFINED              14        8,970    0       1,900
REGIONS FINANCIAL CORP       COMMON 7591EP100   $      22       1,991    SH   DEFINED              22          -      0       1,991
REGIONS FINANCIAL CORP       COMMON 7591EP100   $     914      83,794    SH   DEFINED              23       83,794    0         -
REGIONS FINANCIAL CORP       COMMON 7591EP100   $      43       3,946    SH   DEFINED              24        3,946    0         -
REGIONS FINANCIAL CORP       COMMON 7591EP100   $   1,687     154,626    SH   DEFINED               5      152,345    0       2,281
REGIONS FINANCIAL CORP       COMMON 7591EP100   $     115      10,531    SH   DEFINED               7       10,531    0         -
REGIONS FINANCIAL CORP       COMMON 7591EP100   $     139      12,760    SH   DEFINED               8       12,760    0         -
REINSURANCE GROUP OF AMERICA COMMON 759351109   $     148       3,395    SH   DEFINED              14        3,395    0         -
REINSURANCE GROUP OF AMERICA COMMON 759351109   $      35         803    SH   DEFINED              22          -      0         803
REINSURANCE GROUP OF AMERICA COMMON 759351109   $   1,758      40,404    SH   DEFINED              23       40,404    0         -
REINSURANCE GROUP OF AMERICA COMMON 759351109   $       2          44    SH   DEFINED              24           44    0         -
REINSURANCE GROUP OF AMERICA COMMON 759351109   $      62       1,430    SH   DEFINED               5        1,430    0         -
RELIANCE STEEL & ALUMINUM CO COMMON 759509102   $   9,304     120,685    SH   DEFINED              23      120,685    0         -
RELIANCE STEEL & ALUMINUM CO COMMON 759509102   $     276       3,577    SH   DEFINED              24        3,577    0         -
RELIANCE STEEL & ALUMINUM CO COMMON 759509102   $      11         140    SH   DEFINED               5          -      0         140
RELIANT ENERGY INC           COMMON 75952B105   $   4,433     208,420    SH   DEFINED              14       84,520    0     117,800
RELIANT ENERGY INC           COMMON 75952B105   $     253      11,900    SH   DEFINED            14,7          -      0      11,900
RELIANT ENERGY INC           COMMON 75952B105   $      44       2,089    SH   DEFINED              22          -      0       2,089
RELIANT ENERGY INC           COMMON 75952B105   $  13,438     631,771    SH   DEFINED              23      631,771    0         -
RELIANT ENERGY INC           COMMON 75952B105   $      13         608    SH   DEFINED              24          608    0         -
RELIANT ENERGY INC           COMMON 75952B105   $      65       3,061    SH   DEFINED               5        2,602    0         459
RELIANT ENERGY INC           COMMON 75952B105   $     119       5,579    SH   DEFINED               7        5,579    0         -
RELIV INTERNATIONAL INC      COMMON 75952R100   $       1         105    SH   DEFINED              23          105    0         -
RENAISSANCE LEARNING INC     COMMON 75968L105   $      21       1,854    SH   DEFINED              23        1,854    0         -
RENAISSANCE LEARNING INC     COMMON 75968L105   $     127      11,300    SH   DEFINED               5          -      0      11,300
RENASANT CORP                COMMON 75970E107   $     188      12,767    SH   DEFINED              23       12,767    0         -
RENASANT CORP                COMMON 75970E107   $       3         180    SH   DEFINED               5          180    0         -
RENESOLA LTD-ADR             COMMON 75971T103   $  69,613   2,775,634    SH   DEFINED              23    2,775,634    0         -
RENT A CTR INC               COMMON 76009N100   $   6,188     300,836    SH   DEFINED              23      300,836    0         -
RENT A CTR INC               COMMON 76009N100   $     149       7,256    SH   DEFINED              24        7,256    0         -
RENT A CTR INC               COMMON 76009N100   $     136       6,620    SH   DEFINED               5        1,645    0       4,975
RENTECH INC                  COMMON 760112102   $     367     193,050    SH   DEFINED              23      193,050    0         -
REPSOL YPF SA ADR            COMMON 76026T205   $   7,386     188,070    SH   DEFINED            1,12      188,070    0         -
REPSOL YPF SA ADR            COMMON 76026T205   $ 118,572   3,019,402    SH   DEFINED              11    2,496,187    0     523,215
REPSOL YPF SA ADR            COMMON 76026T205   $     583      14,851    SH   DEFINED              14       14,851    0         -
REPSOL YPF SA ADR            COMMON 76026T205   $      20         500    SH   DEFINED              22          -      0         500
REPSOL YPF SA ADR            COMMON 76026T205   $   6,424     163,574    SH   DEFINED              23      163,574    0         -
REPSOL YPF SA ADR            COMMON 76026T205   $      24         600    SH   DEFINED               5          600    0         -
REPUBLIC AIRWAYS HOLDINGS
INC                          COMMON 760276105   $     538      62,100    SH   DEFINED              14       62,100    0         -
REPUBLIC AIRWAYS HOLDINGS
INC                          COMMON 760276105   $     151      17,484    SH   DEFINED              23       17,484    0         -
REPUBLIC AIRWAYS HOLDINGS
INC                          COMMON 760276105   $     102      11,800    SH   DEFINED            5,15       11,800    0         -
REPUBLIC BANCORP INC-CL A    COMMON 760281204   $      83       3,379    SH   DEFINED              23        3,379    0         -
REPLIDYNE INC                COMMON 76028W107       $ -            71    SH   DEFINED              23           71    0         -
REPUBLIC SVCS INC            COMMON 760759100   $  33,078   1,113,745    SH   DEFINED               1    1,113,745    0         -
REPUBLIC SVCS INC            COMMON 760759100   $     297      10,000    SH   DEFINED           10,14       10,000    0         -
REPUBLIC SVCS INC            COMMON 760759100   $   2,233      75,183    SH   DEFINED              14       68,083    0       2,400
REPUBLIC SVCS INC            COMMON 760759100   $   1,271      42,800    SH   DEFINED            14,7          -      0      42,800
REPUBLIC SVCS INC            COMMON 760759100   $       3          90    SH   DEFINED              22          -      0          90
REPUBLIC SVCS INC            COMMON 760759100   $   1,493      50,256    SH   DEFINED              23       50,256    0         -
REPUBLIC SVCS INC            COMMON 760759100   $       5         167    SH   DEFINED              24          167    0         -
REPUBLIC SVCS INC            COMMON 760759100   $  16,795     565,481    SH   DEFINED               4      565,481    0         -
REPUBLIC SVCS INC            COMMON 760759100   $       8         261    SH   DEFINED               5          -      0         261
REPUBLIC SVCS INC            COMMON 760759100   $     154       5,187    SH   DEFINED               7        5,187    0         -
REPUBLIC SVCS INC            COMMON 760759100   $     532      17,916    SH   DEFINED               8       17,916    0         -
REPUBLIC SVCS INC            COMMON 760759100   $   2,198      74,000    SH   DEFINED            8,14       74,000    0         -
RES-CARE INC                 COMMON 760943100   $   2,839     159,676    SH   DEFINED              23      159,676    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $  58,853     503,451    SH   DEFINED               1      503,451    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $   2,093      17,900    SH   DEFINED            1,15       17,900    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $   2,572      22,000    SH   DEFINED           10,14       22,000    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $      35         300    SH   DEFINED              13          300    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $  37,291     319,000    SH   DEFINED              14      202,700    0     111,700
RESEARCH IN MOTION LTD       COMMON 760975102   $   1,414      12,100    SH   DEFINED           14,13          -      0      12,100
RESEARCH IN MOTION LTD       COMMON 760975102   $     713       6,100    SH   DEFINED            14,7          -      0       6,100
RESEARCH IN MOTION LTD       COMMON 760975102   $   1,286      11,000    SH   DEFINED              17       11,000    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $   8,916      76,271    SH   DEFINED               2       76,271    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $     421       3,600    SH   DEFINED           20,14          -      0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $   1,876      16,045    SH   DEFINED            20,2       16,045    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $   6,411      54,842    SH   DEFINED              22       14,375    0      40,467
RESEARCH IN MOTION           COMMON 760975102   $     618       5,262    SH   DEFINED              23        5,262    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $  18,130     155,092    SH   DEFINED              24      155,092    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $  61,428     525,472    SH   DEFINED               3      525,472    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $   8,165      69,843    SH   DEFINED               5       41,489    0      28,354
RESEARCH IN MOTION LTD       COMMON 760975102   $   3,191      27,300    SH   DEFINED            5,15       27,300    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $     585       5,000    SH   DEFINED               6        5,000    0         -
RESEARCH IN MOTION           COMMON 760975102   $   1,381      11,746    SH   DEFINED               7       11,746    0         -
RESEARCH IN MOTION           COMMON 760975102   $   2,601      22,187    SH   DEFINED               8       22,187    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $  15,840     135,500    SH   DEFINED            8,14      135,500    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $      85         730    SH   DEFINED             8,2          730    0         -
RESEARCH IN MOTION LTD       COMMON 760975102   $     772       6,600    SH   DEFINED            9,14          -      0       6,600
RESMED INC                   COMMON 761152107   $   9,845     275,459    SH   DEFINED               1      275,459    0         -
RESMED INC                   COMMON 761152107   $     107       3,000    SH   DEFINED              17        3,000    0         -
RESMED INC                   COMMON 761152107   $     937      26,217    SH   DEFINED               2       26,217    0         -
RESMED INC                   COMMON 761152107   $   1,311      36,695    SH   DEFINED            20,2          -      0      36,695
RESMED INC                   COMMON 761152107   $   2,991      83,690    SH   DEFINED              22       67,218    0      16,472
RESMED INC                   COMMON 761152107   $   2,373      66,400    SH   DEFINED               3       66,400    0         -
RESMED INC                   COMMON 761152107   $   1,628      45,552    SH   DEFINED               5       33,721    0      11,831
RESOURCE AMERICA INC-CL A    COMMON 761195205   $       1         154    SH   DEFINED              23          154    0         -
RESOURCE CAPITAL CORP        COMMON 76120W302   $      31       4,325    SH   DEFINED              23        4,325    0         -
RESOURCES GLOBAL
PROFESSIONALS                COMMON 76122Q105   $     335      16,456    SH   DEFINED              23       16,456    0         -
RETAIL VENTURES INC          COMMON 76128Y102   $     109      23,793    SH   DEFINED              23       23,793    0         -
REWARDS NETWORK INC          COMMON 761557107   $      23       5,571    SH   DEFINED              23        5,571    0         -
REX ENERGY CORP              COMMON 761565100   $     196       7,440    SH   DEFINED              23        7,440    0         -
REX STORES CORP              COMMON 761624105   $     164      14,168    SH   DEFINED              23       14,168    0         -
REYNOLDS AMERICAN INC        COMMON 761713106   $      61       1,300    SH   DEFINED              13        1,300    0         -



REYNOLDS AMERICAN INC        COMMON 761713106   $      133       2,840   SH   DEFINED               14        2,340   0         500
REYNOLDS AMERICAN INC        COMMON 761713106   $    4,543      97,340   SH   DEFINED               23       97,340   0         -
REYNOLDS AMERICAN INC        COMMON 761713106   $       15         332   SH   DEFINED               24          332   0         -
REYNOLDS AMERICAN INC        COMMON 761713106   $       97       2,080   SH   DEFINED                7        2,080   0         -
REYNOLDS AMERICAN INC        COMMON 761713106   $1,349,701  28,920,088   SH   DEFINED                8   28,920,088   0         -
REYNOLDS AMERICAN INC        COMMON 761713106   $    5,107     109,436   SH   DEFINED             8,19            -  109436     -
RICHARDSON ELECTRS LTD       COMMON 763165107   $       53       9,009   SH   DEFINED               23        9,009   0         -
RIGEL PHARMACEUTICALS INC    COMMON 766559603   $    7,743     341,682   SH   DEFINED                1      341,682   0         -
RIGEL PHARMACEUTICALS INC    COMMON 766559603   $      663      29,255   SH   DEFINED                2       29,255   0         -
RIGEL PHARMACEUTICALS INC    COMMON 766559603   $      990      43,710   SH   DEFINED             20,2          -     0      43,710
RIGEL PHARMACEUTICALS INC    COMMON 766559603   $    5,414     238,911   SH   DEFINED               23      238,911   0         -
RIGHTNOW TECHNOLOGIES INC    COMMON 76657R106   $        2         139   SH   DEFINED               22          -     0         139
RIGHTNOW TECHNOLOGIES INC    COMMON 76657R106   $        2         117   SH   DEFINED               23          117   0         -
RIMAGE CORP                  COMMON 766721104   $        1          85   SH   DEFINED               23           85   0         -
RIO TINTO PLC ADR            COMMON 767204100   $   43,259      87,391   SH   DEFINED                1       87,391   0         -
RIO TINTO PLC ADR            COMMON 767204100   $   16,082      32,488   SH   DEFINED                2       32,488   0         -
RIO TINTO PLC ADR            COMMON 767204100   $       22          44   SH   DEFINED               22          -     0          44
RIO TINTO PLC ADR            COMMON 767204100   $    6,930      14,000   SH   DEFINED                3       14,000   0         -
RIO TINTO PLC ADR            COMMON 767204100   $      489         988   SH   DEFINED                4          988   0         -
RIO TINTO PLC ADR            COMMON 767204100   $       29          58   SH   DEFINED                5           20   0          38
RISKMETRICS GROUP INC        COMMON 767735103   $   17,541     893,126   SH   DEFINED                1      893,126   0         -
RISKMETRICS GROUP INC        COMMON 767735103   $    7,493     381,532   SH   DEFINED                2      313,465   0      68,067
RISKMETRICS GROUP INC        COMMON 767735103   $       20       1,000   SH   DEFINED               22          -     0       1,000
RITCHIE BROS AUCTIONEERS     COMMON 767744105   $      161       5,937   SH   DEFINED                7        5,937   0         -
RITE AID CORP                COMMON 767754104   $    5,619   3,534,227   SH   DEFINED                1    3,534,227   0         -
RITE AID CORP                COMMON 767754104   $      535     336,624   SH   DEFINED                2      336,624   0         -
RITE AID CORP                COMMON 767754104   $      728     457,637   SH   DEFINED             20,2          -     0     457,637
RITE AID CORP                COMMON 767754104   $       26      16,600   SH   DEFINED               22       15,000   0       1,600
RITE AID CORP                COMMON 767754104   $      342     215,262   SH   DEFINED               23      215,262   0         -
RITE AID CORP                COMMON 767754104   $        8       4,719   SH   DEFINED               24        4,719   0         -
RIVERVIEW BANCORP INC        COMMON 769397100   $        1          96   SH   DEFINED               23           96   0         -
ROBERTS REALTY INVS          COMMON 769900101   $       20       3,001   SH   DEFINED                5        3,001   0         -
ROBBINS & MYERS INC          COMMON 770196103   $    3,675      73,700   SH   DEFINED               14       53,300   0      20,400
ROBBINS & MYERS INC          COMMON 770196103   $      181       3,620   SH   DEFINED               23        3,620   0         -
ROBBINS & MYERS INC          COMMON 770196103   $      648      13,000   SH   DEFINED             5,15       13,000   0         -
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $  138,249   5,767,582   SH   DEFINED                1    5,767,582   0         -
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $    1,560      65,099   SH   DEFINED               14       65,099   0         -
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $        5         220   SH   DEFINED               22          -     0         220
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $      923      38,525   SH   DEFINED               23       38,525   0         -
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $        3         126   SH   DEFINED               24          126   0         -
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $    7,544     314,740   SH   DEFINED                4      314,740   0         -
ROBERT HALF INTERNATIONAL
INC                          COMMON 770323103   $      687      28,665   SH   DEFINED                5          540   0      28,125
ROCK OF AGES CORP            COMMON 772632105   $        5       1,500   SH   DEFINED               22          -     0       1,500
ROCK-TENN COMPANY            COMMON 772739207   $      836      27,881   SH   DEFINED               23       27,881   0         -
ROCK-TENN COMPANY            COMMON 772739207   $       52       1,750   SH   DEFINED                5          -     0       1,750
ROCKWELL AUTOMATION INC      COMMON 773903109   $      264       6,044   SH   DEFINED               22        3,150   0       2,894
ROCKWELL AUTOMATION INC      COMMON 773903109   $      560      12,810   SH   DEFINED               23       12,810   0         -
ROCKWELL AUTOMATION INC      COMMON 773903109   $        8         173   SH   DEFINED               24          173   0         -
ROCKWELL AUTOMATION INC      COMMON 773903109   $      156       3,558   SH   DEFINED                5          -     0       3,558
ROCKWELL AUTOMATION INC      COMMON 773903109   $      168       3,840   SH   DEFINED                7        3,840   0         -
ROCKVILLE FINANCIAL INC      COMMON 774186100   $        1          85   SH   DEFINED               23           85   0         -
ROCKWELL COLLINS             COMMON 774341101   $   35,887     748,271   SH   DEFINED                1      748,271   0         -
ROCKWELL COLLINS             COMMON 774341101   $    2,517      52,485   SH   DEFINED                2       52,485   0         -
ROCKWELL COLLINS             COMMON 774341101   $   10,114     210,875   SH   DEFINED               22       89,791   0     121,084
ROCKWELL COLLINS             COMMON 774341101   $    6,973     145,389   SH   DEFINED               23      145,389   0         -
ROCKWELL COLLINS             COMMON 774341101   $        5         108   SH   DEFINED               24          108   0         -
ROCKWELL COLLINS             COMMON 774341101   $      187       3,900   SH   DEFINED                3        3,900   0         -
ROCKWELL COLLINS             COMMON 774341101   $    6,399     133,423   SH   DEFINED                5      116,022   0      17,401
ROCKWELL COLLINS             COMMON 774341101   $      184       3,841   SH   DEFINED                7        3,841   0         -
ROCKWELL COLLINS             COMMON 774341101   $      104       2,172   SH   DEFINED              8,2        2,172   0         -
ROCKWOOD HOLDINGS INC        COMMON 774415103   $      872      25,065   SH   DEFINED               23       25,065   0         -
ROCKWOOD HOLDINGS INC        COMMON 774415103   $        3          93   SH   DEFINED               24           93   0         -
ROFIN-SINAR TECHNOLOGIES INC COMMON 775043102   $    2,722      90,146   SH   DEFINED                1       90,146   0         -
ROFIN-SINAR TECHNOLOGIES INC COMMON 775043102   $    1,574      52,111   SH   DEFINED                2       20,534   0      31,577
ROFIN-SINAR TECHNOLOGIES INC COMMON 775043102   $      414      13,700   SH   DEFINED               23       13,700   0         -
ROGERS COMMUNICATIONS CL B   COMMON 775109200   $      514      13,300   SH   DEFINED            10,14       13,300   0         -
ROGERS COMMUNICATIONS CL B   COMMON 775109200   $      634      16,400   SH   DEFINED               14          -     0      16,400
ROGERS COMMUNICATIONS  CL B  COMMON 775109200   $    2,388      61,233   SH   DEFINED                2       61,233   0         -
ROGERS COMMUNICATIONS CL B   COMMON 775109200   $    2,030      52,503   SH   DEFINED             20,2       52,503   0         -
ROGERS COMMUNICATIONS CL B   COMMON 775109200   $       13         349   SH   DEFINED               22          -     0         349
ROGERS COMMUNICATIONS  CL B  COMMON 775109200   $       46       1,189   SH   DEFINED               23        1,189   0         -
ROGERS COMMUNICATIONS  CL B  COMMON 775109200   $        1          35   SH   DEFINED               24           35   0         -
ROGERS COMMUNICATIONS  CL B  COMMON 775109200   $      250       6,400   SH   DEFINED                3        6,400   0         -
ROGERS COMMUNICATIONS  CL B  COMMON 775109200   $   28,246     724,310   SH   DEFINED              3,1      724,310   0         -
ROGERS COMMUNICATIONS  CL B  COMMON 775109200   $      397      10,168   SH   DEFINED                7       10,168   0         -
ROGERS COMMUNICATIONS CL B   COMMON 775109200   $    2,285      59,100   SH   DEFINED             8,14       59,100   0         -
ROGERS CORP                  COMMON 775133101   $      466      12,387   SH   DEFINED               23       12,387   0         -
ROHM & HAAS CO               COMMON 775371107   $   22,585     486,331   SH   DEFINED                1      486,331   0         -
ROHM & HAAS CO               COMMON 775371107   $      303       6,520   SH   DEFINED               14        6,520   0         -
ROHM & HAAS CO               COMMON 775371107   $    1,397      30,083   SH   DEFINED               22       29,850   0         233
ROHM & HAAS CO               COMMON 775371107   $    2,114      45,526   SH   DEFINED               23       45,526   0         -
ROHM & HAAS CO               COMMON 775371107   $       11         228   SH   DEFINED               24          228   0         -
ROHM & HAAS CO               COMMON 775371107   $    9,948     214,221   SH   DEFINED                4      214,221   0         -
ROHM & HAAS CO               COMMON 775371107   $    1,808      38,925   SH   DEFINED                5        1,682   0      37,243
ROHM & HAAS CO               COMMON 775371107   $      142       3,056   SH   DEFINED                7        3,056   0         -
ROLLINS INC                  COMMON 775711104   $    1,424      96,071   SH   DEFINED               23       96,071   0         -
ROMA FINANCIAL CORP          COMMON 77581P109   $      137      10,494   SH   DEFINED               23       10,494   0         -
ROME BANCORP INC             COMMON 77587P103   $        2         215   SH   DEFINED               23          215   0         -
ROPER INDUSTRIES INC         COMMON 776696106   $       65         980   SH   DEFINED               22          -     0         980
ROPER INDUSTRIES INC         COMMON 776696106   $   77,504   1,176,435   SH   DEFINED               23    1,176,435   0         -
ROPER INDUSTRIES INC         COMMON 776696106   $        3          47   SH   DEFINED               24           47   0         -
ROPER INDUSTRIES INC         COMMON 776696106   $      183       2,782   SH   DEFINED                5          -     0       2,782
ROSETTA RESOURCES, INC.      COMMON 777779307   $    6,110     214,402   SH   DEFINED               23      214,402   0         -
ROSS STORES INC              COMMON 778296103   $   21,286     599,270   SH   DEFINED                1      599,270   0         -
ROSS STORES INC              COMMON 778296103   $       67       1,900   SH   DEFINED             1,15        1,900   0         -
ROSS STORES INC              COMMON 778296103   $    5,651     159,082   SH   DEFINED              1,3      159,082   0         -
ROSS STORES INC              COMMON 778296103   $       25         700   SH   DEFINED               13          700   0         -
ROSS STORES INC              COMMON 778296103   $    1,143      32,190   SH   DEFINED               14       17,890   0      14,300
ROSS STORES INC              COMMON 778296103   $    4,180     117,669   SH   DEFINED             18,3      117,669   0         -
ROSS STORES INC              COMMON 778296103   $      314       8,849   SH   DEFINED                2        8,849   0         -


ROSS STORES INC              COMMON 778296103   $      25         700    SH   DEFINED           20,14          -      0         -
ROSS STORES INC              COMMON 778296103   $   2,218      62,449    SH   DEFINED            20,3       62,449    0         -
ROSS STORES INC              COMMON 778296103   $   8,780     247,174    SH   DEFINED              23      247,174    0         -
ROSS STORES INC              COMMON 778296103   $     147       4,131    SH   DEFINED              24        4,131    0         -
ROSS STORES INC              COMMON 778296103   $ 190,299   5,357,523    SH   DEFINED               3    5,357,523    0         -
ROSS STORES INC              COMMON 778296103   $     395      11,107    SH   DEFINED               8       11,107    0         -
ROSTELECOM OPEN JT STK LNG
DST                          COMMON 778529107   $     585       8,065    SH   DEFINED              23        8,065    0         -
ROTECH HEALTHCARE INC        COMMON 778669101   $      32     185,363    SH   DEFINED              23      185,363    0         -
ROWAN COS INC                COMMON 779382100   $  26,955     576,567    SH   DEFINED               1      576,567    0         -
ROWAN COS INC                COMMON 779382100   $     312       6,681    SH   DEFINED               2        6,681    0         -
ROWAN COS INC                COMMON 779382100   $     248       5,295    SH   DEFINED              23        5,295    0         -
ROWAN COS INC                COMMON 779382100   $      29         610    SH   DEFINED              24          610    0         -
ROWAN COS INC                COMMON 779382100   $     174       3,712    SH   DEFINED               5          -      0       3,712
ROYAL BANCSHARES OF PENN-A   COMMON 780081105   $     125      13,300    SH   DEFINED              14       13,300    0         -
ROYAL BANCSHARES OF PENN-A   COMMON 780081105   $   1,769     188,034    SH   DEFINED              23      188,034    0         -
ROYAL BANCSHARES OF PENN-A   COMMON 780081105   $      28       3,000    SH   DEFINED            5,15        3,000    0         -
ROYAL BK CDA MONTREAL QUE    COMMON 780087102   $     701      15,700    SH   DEFINED           10,14       15,700    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $   1,507      33,356    SH   DEFINED              19       33,356    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $   1,561      34,552    SH   DEFINED               2       34,552    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $   1,363      30,171    SH   DEFINED              21       30,171    0         -
ROYAL BK CDA MONTREAL QUE    COMMON 780087102   $   8,520     190,666    SH   DEFINED              23      190,666    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $       7         144    SH   DEFINED              24          144    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $ 120,293   2,662,700    SH   DEFINED               3    2,662,700    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $  18,412     407,541    SH   DEFINED             3,1      407,541    0         -
ROYAL BK CDA MONTREAL QUE    COMMON 780087102   $      81       1,804    SH   DEFINED               5        1,804    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $   1,640      36,297    SH   DEFINED               7       36,297    0         -
ROYAL BANK OF CANADA         COMMON 780087102   $   3,207      70,984    SH   DEFINED               8       70,984    0         -
ROYAL BK CDA MONTREAL QUE    COMMON 780087102   $   4,226      94,600    SH   DEFINED            8,14       94,600    0         -
ROYAL BANK OF SCOTLAND-ADR   COMMON 780097200       $ -           276    SH   DEFINED              22          -      0         276
ROYAL BANK OF SCOT-SPON ADR  COMMON 780097721   $       4         897    SH   DEFINED               4          897    0         -
ROYAL DUTCH SHELL PLC-ADR B  COMMON 780259107   $ 114,730   1,432,152    SH   DEFINED              11    1,251,267    0     180,885
ROYAL DUTCH SHELL PLC-ADR B  COMMON 780259107   $   3,572      44,591    SH   DEFINED              14        7,540    0      37,051
ROYAL DUTCH SHELL PLC-ADR B  COMMON 780259107   $     208       2,600    SH   DEFINED           19,14        2,600    0         -
ROYAL DUTCH SHELL PLC-ADR B  COMMON 780259107   $     832      10,390    SH   DEFINED              22          774    0       9,616
ROYAL DUTCH SHELL PLC-ADR B  COMMON 780259107   $     646       8,067    SH   DEFINED               5        3,414    0       4,653
ROYAL DUTCH SHELL PLC-ADR B  COMMON 780259107   $  10,599     132,300    SH   DEFINED            5,12      132,300    0         -
ROYAL DUTCH SHELL PLC-ADR A  COMMON 780259206   $  26,556     325,000    SH   DEFINED               1      325,000    0         -
ROYAL DUTCH SHELL PLC-ADR A  COMMON 780259206   $   6,480      79,300    SH   DEFINED            1,12       79,300    0         -
ROYAL DUTCH SHELL PLC-ADR A  COMMON 780259206   $   5,148      63,000    SH   DEFINED            13,2          -      0      63,000
ROYAL DUTCH SHELL PLC-ADR A  COMMON 780259206   $  14,460     176,970    SH   DEFINED              22        9,570    0     167,400
ROYAL DUTCH SHELL PLC-ADR A  COMMON 780259206   $       3          31    SH   DEFINED               4           31    0         -
ROYAL DUTCH SHELL PLC-ADR A  COMMON 780259206   $   2,712      33,187    SH   DEFINED               5       27,077    0       6,110
ROYAL GOLD INC               COMMON 780287108   $      50       1,589    SH   DEFINED              23        1,589    0         -
ROYAL GOLD INC               COMMON 780287108   $     153       4,890    SH   DEFINED               5        1,240    0       3,650
ROYCE VALUE TRUST CF         COMMON 780910105   $      49       3,111    SH   DEFINED              22          -      0       3,111
ROYCE MICRO-CAP TRUST
CEF                          COMMON 780915104   $     174      14,087    SH   DEFINED              22          -      0      14,087
RUBICON TECHNOLOGY INC       COMMON 78112T107   $      26       1,300    SH   DEFINED              14        1,300    0         -
RUBICON TECHNOLOGY INC       COMMON 78112T107   $  16,883     830,839    SH   DEFINED              23      830,839    0         -
RUBY TUESDAY INC             COMMON 781182100   $     134      24,890    SH   DEFINED              23       24,890    0         -
RUDDICK CORP                 COMMON 781258108   $   6,280     183,049    SH   DEFINED               1      183,049    0         -
RUDDICK CORP                 COMMON 781258108   $   3,643     106,172    SH   DEFINED               2       41,702    0      64,470
RUDDICK CORP                 COMMON 781258108   $   3,195      93,111    SH   DEFINED              23       93,111    0         -
RUDDICK CORP                 COMMON 781258108   $       2          69    SH   DEFINED              24           69    0         -
RUDDICK CORP                 COMMON 781258108   $      10         300    SH   DEFINED               5          300    0         -
RUDOLPH TECHNOLOGIES INC     COMMON 781270103   $     212      27,535    SH   DEFINED              23       27,535    0         -
RURAL/METRO CORP             COMMON 781748108   $      37      14,095    SH   DEFINED              23       14,095    0         -
RUSH ENTERPRISES INC
CL A                         COMMON 781846209   $   1,697     141,274    SH   DEFINED              23      141,274    0         -
RUSH ENTERPRISES INC
- CL B                       COMMON 781846308   $   1,200     110,538    SH   DEFINED               2      110,538    0         -
RUSH ENTERPRISES INC
- CL B                       COMMON 781846308   $     192      17,704    SH   DEFINED              23       17,704    0         -
RURAL CELLULAR CORP          COMMON 781904107   $      51       1,151    SH   DEFINED              23        1,151    0         -
RUSS BERRIE & CO             COMMON 782233100   $     183      22,975    SH   DEFINED              23       22,975    0         -
RUTH'S HOSPITALITY GROUP
INC.                         COMMON 783332109   $       1         151    SH   DEFINED              23          151    0         -
RYANAIR HLDGS PLC ADR        COMMON 783513104   $   3,171     110,600    SH   DEFINED             1,3      110,600    0         -
RYANAIR HLDGS PLC ADR        COMMON 783513104   $   4,412     153,900    SH   DEFINED            18,3      153,900    0         -
RYANAIR HLDGS PLC ADR        COMMON 783513104   $   2,337      81,500    SH   DEFINED            20,3       81,500    0         -
RYANAIR HLDGS PLC ADR        COMMON 783513104   $      65       2,271    SH   DEFINED              23        2,271    0         -
RYANAIR HLDGS PLC ADR        COMMON 783513104   $     916      31,967    SH   DEFINED              24       31,967    0         -
RYANAIR HLDGS PLC ADR        COMMON 783513104   $ 186,432   6,502,700    SH   DEFINED               3    6,502,700    0         -
RYDER SYSTEM INC             COMMON 783549108   $       7         100    SH   DEFINED              14          100    0         -
RYDER SYSTEM INC             COMMON 783549108   $   8,432     122,419    SH   DEFINED              23      122,419    0         -
RYDER SYSTEM INC             COMMON 783549108   $     238       3,461    SH   DEFINED              24        3,461    0         -
RYDER SYSTEM INC             COMMON 783549108   $      87       1,266    SH   DEFINED               5          800    0         466
RYLAND GROUP INC             COMMON 783764103   $  10,091     462,655    SH   DEFINED               1      462,655    0         -
RYLAND GROUP INC             COMMON 783764103   $       4         200    SH   DEFINED              14          200    0         -
RYLAND GROUP INC             COMMON 783764103   $     191       8,773    SH   DEFINED              23        8,773    0         -
RYLAND GROUP INC             COMMON 783764103   $       4         169    SH   DEFINED              24          169    0         -
S & T BANCORP INC            COMMON 783859101   $   2,299      79,100    SH   DEFINED              14       60,100    0      19,000
S & T BANCORP INC            COMMON 783859101   $   5,125     176,350    SH   DEFINED              23      176,350    0         -
S & T BANCORP INC            COMMON 783859101   $     421      14,500    SH   DEFINED            5,15       14,500    0         -
SBA COMMUNICATIONS CORP      COMMON 78388J106   $  57,373   1,593,251    SH   DEFINED               1    1,593,251    0         -
SBA COMMUNICATIONS CORP      COMMON 78388J106   $  15,160     420,988    SH   DEFINED               2      341,078    0      79,910
SBA COMMUNICATIONS CORP      COMMON 78388J106   $   1,347      37,420    SH   DEFINED            20,2       37,420    0         -
SBA COMMUNICATIONS CORP      COMMON 78388J106   $     842      23,373    SH   DEFINED              23       23,373    0         -
SBA COMM CORP (SBAC) CVT
                      0.375  CONVERT78388JAJ5   $       6       5,000    SH   DEFINED              14        5,000    0         -
SAIC INC                     COMMON 78390X101   $     251      12,080    SH   DEFINED            10,7       12,080    0         -
SAIC INC                     COMMON 78390X101   $     138       6,621    SH   DEFINED              13        6,621    0         -
SAIC INC                     COMMON 78390X101   $   7,087     340,550    SH   DEFINED              14      219,450    0     112,500
SAIC INC                     COMMON 78390X101   $     982      47,200    SH   DEFINED            14,7          -      0      47,200
SAIC INC                     COMMON 78390X101   $     208      10,000    SH   DEFINED              22          -      0      10,000
SAIC INC                     COMMON 78390X101   $   8,231     395,554    SH   DEFINED              23      395,554    0         -
SAIC INC                     COMMON 78390X101   $      11         551    SH   DEFINED              24          551    0         -
SAIC INC                     COMMON 78390X101   $     208      10,000    SH   DEFINED               5          -      0      10,000
SAIC INC                     COMMON 78390X101   $   1,950      93,718    SH   DEFINED               7       93,718    0         -
SAIC INC                     COMMON 78390X101   $   4,984     239,494    SH   DEFINED               8      239,494    0         -
SAIC INC                     COMMON 78390X101   $   1,210      58,145    SH   DEFINED               9       58,145    0         -
SCBT FINANCIAL CORP          COMMON 78401V102   $     835      29,221    SH   DEFINED              14       24,310    0       4,911
SCBT FINANCIAL CORP          COMMON 78401V102   $      37       1,302    SH   DEFINED              23        1,302    0         -
SCBT FINANCIAL CORP          COMMON 78401V102   $     143       5,000    SH   DEFINED            5,15        5,000    0         -
SCBT FINANCIAL CORP          COMMON 78401V102   $      80       2,800    SH   DEFINED               8        2,800    0         -
SCBT FINANCIAL CORP          COMMON 78401V102   $      23         800    SH   DEFINED            8,20          800    0         -




SCBT FINANCIAL CORP          COMMON 78401V102   $     143       5,000    SH   DEFINED            5,15        5,000    0         -
SCBT FINANCIAL CORP          COMMON 78401V102   $      80       2,800    SH   DEFINED               8        2,800    0         -
SCBT FINANCIAL CORP          COMMON 78401V102   $      23         800    SH   DEFINED            8,20          800    0         -
SCPIE HOLDINGS INC           COMMON 78402P104   $      14         500    SH   DEFINED              22          -      0         500
SEI INVESTMENTS CO           COMMON 784117103   $     360      15,300    SH   DEFINED              14          -      0      15,300
SEI INVESTMENTS CO           COMMON 784117103   $     102       4,340    SH   DEFINED              22        2,000    0       2,340
SEI INVESTMENTS CO           COMMON 784117103   $     671      28,532    SH   DEFINED              23       28,532    0         -
SEI INVESTMENTS CO           COMMON 784117103   $   2,020      85,865    SH   DEFINED               5       85,365    0         500
SI FINANCIAL GROUP INC       COMMON 78425W102   $       1          53    SH   DEFINED              23           53    0         -
SI INTERNATIONAL INC         COMMON 78427V102   $     519      24,798    SH   DEFINED              23       24,798    0         -
SJW CORP                     COMMON 784305104   $  11,143     422,090    SH   DEFINED              23      422,090    0         -
SK TELECOM ADR               COMMON 78440P108   $   5,454     262,600    SH   DEFINED               1      262,600    0         -
SK TELECOM ADR               COMMON 78440P108   $     519      24,974    SH   DEFINED              14       24,974    0         -
SK TELECOM ADR               COMMON 78440P108   $      51       2,450    SH   DEFINED              22          200    0       2,250
SK TELECOM ADR               COMMON 78440P108   $   1,632      78,593    SH   DEFINED              23       78,593    0         -
SK TELECOM ADR               COMMON 78440P108   $     741      35,697    SH   DEFINED             3,1       35,697    0         -
SK TELECOM ADR               COMMON 78440P108   $  16,849     811,214    SH   DEFINED               4      811,214    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $  78,402     947,800    SH   DEFINED            1,15      947,800    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $ 201,513   2,436,081    SH   DEFINED              14    1,465,781    0     831,700
SL GREEN REALTY CORP REIT    COMMON 78440X101   $   3,623      43,800    SH   DEFINED           18,14       43,800    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $   1,059      12,800    SH   DEFINED           19,14       12,800    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $  10,886     131,600    SH   DEFINED            2,15      131,600    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $     152       1,840    SH   DEFINED              22          -      0       1,840
SL GREEN REALTY CORP REIT    COMMON 78440X101   $     183       2,218    SH   DEFINED              23        2,218    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $       3          40    SH   DEFINED              24           40    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $   1,324      16,000    SH   DEFINED            3,15        6,600    0       9,400
SL GREEN REALTY CORP REIT    COMMON 78440X101   $  16,291     196,936    SH   DEFINED            5,15      196,936    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $     157       1,900    SH   DEFINED            6,14        1,900    0         -
SL GREEN REALTY CORP REIT    COMMON 78440X101   $   3,119      37,700    SH   DEFINED            8,14          -      0      37,700
SLM CORP                     COMMON 78442P106   $ 149,545   7,728,447    SH   DEFINED               1    7,728,447    0         -
SLM CORP                     COMMON 78442P106   $     974      50,336    SH   DEFINED              14       50,336    0         -
SLM CORP                     COMMON 78442P106   $   3,929     203,051    SH   DEFINED               2       15,820    0     187,231
SLM CORP                     COMMON 78442P106   $      21       1,100    SH   DEFINED              22          -      0       1,100
SLM CORP                     COMMON 78442P106   $     906      46,819    SH   DEFINED              23       46,819    0         -
SLM CORP                     COMMON 78442P106   $      19         963    SH   DEFINED              24          963    0         -
SLM CORP                     COMMON 78442P106   $   4,928     254,690    SH   DEFINED               4      254,690    0         -
SLM CORP                     COMMON 78442P106   $     221      11,442    SH   DEFINED               5       11,210    0         232
SLM CORP                     COMMON 78442P106   $     158       8,146    SH   DEFINED               7        8,146    0         -
SLM CORP                     COMMON 78442P106   $  14,735     761,500    SH   DEFINED               8      761,500    0         -
SORL AUTO PARTS INC          COMMON 78461U101   $     231      43,031    SH   DEFINED              23       43,031    0         -
S & P 500 DEPOSITORY
RECEIPTS                     COMMON 78462F103   $   3,668      28,663    SH   DEFINED               1       28,663    0         -
S & P 500 DEPOSITORY
RECEIPTS                     COMMON 78462F103   $   3,020      23,600    SH   DEFINED              14       23,600    0         -
S & P 500 DEPOSITORY
RECEIPTS                     COMMON 78462F103   $  15,354     119,970    SH   DEFINED              22       78,600    0      41,370
S & P 500 DEPOSITORY
RECEIPTS                     COMMON 78462F103   $  16,177     126,399    SH   DEFINED               5       75,094    0      51,305
S & P 500 DEPOSITORY
RECEIPTS                     COMMON 78462F103   $ 263,536   2,059,197    SH   DEFINED            8,14    2,059,197    0         -
SPSS INC                     COMMON 78462K102   $      11         300    SH   DEFINED              22           48    0         252
SPSS INC                     COMMON 78462K102   $   4,934     135,660    SH   DEFINED              23      135,660    0         -
SPSS INC                     COMMON 78462K102   $     197       5,417    SH   DEFINED              24        5,417    0         -
SPSS INC                     COMMON 78462K102   $     119       3,275    SH   DEFINED               5          850    0       2,425
SPX CORP                     COMMON 784635104   $     830       6,300    SH   DEFINED            1,15        6,300    0         -
SPX CORP                     COMMON 784635104   $     435       3,300    SH   DEFINED           10,14        3,300    0         -
SPX CORP                     COMMON 784635104   $   4,234      32,140    SH   DEFINED              14       21,190    0       9,750
SPX CORP                     COMMON 784635104   $   1,818      13,800    SH   DEFINED            14,7          -      0      13,800
SPX CORP                     COMMON 784635104   $   1,291       9,800    SH   DEFINED              22        9,500    0         300
SPX CORP                     COMMON 784635104   $   7,175      54,470    SH   DEFINED              23       54,470    0         -
SPX CORP                     COMMON 784635104   $       8          58    SH   DEFINED              24           58    0         -
SPX CORP                     COMMON 784635104   $   1,758      13,342    SH   DEFINED               5        8,500    0       4,842
SPX CORP                     COMMON 784635104   $     950       7,214    SH   DEFINED               7        7,214    0         -
SPX CORP                     COMMON 784635104   $   1,269       9,630    SH   DEFINED               8        9,630    0         -
SPX CORP                     COMMON 784635104   $   2,569      19,500    SH   DEFINED            8,14       19,500    0         -
S1 CORPORATION               COMMON 78463B101   $   5,179     684,200    SH   DEFINED              14      476,600    0     207,600
S1 CORPORATION               COMMON 78463B101   $     949     125,353    SH   DEFINED              23      125,353    0         -
S1 CORPORATION               COMMON 78463B101   $     775     102,400    SH   DEFINED            5,15      102,400    0         -
S1 CORPORATION               COMMON 78463B101   $     244      32,200    SH   DEFINED               8       32,200    0         -
S1 CORPORATION               COMMON 78463B101   $      67       8,900    SH   DEFINED            8,20        8,900    0         -
SPDR GOLD TRUST ETF          COMMON 78463V107   $   6,855      75,000    SH   DEFINED               1       75,000    0         -
SPDR GOLD TRUST ETF          COMMON 78463V107   $     225       2,460    SH   DEFINED              22        1,000    0       1,460
SPDR GOLD TRUST ETF          COMMON 78463V107   $      38         414    SH   DEFINED               5          114    0         300
SPDR S&P EMERGING ASIA PACIF COMMON 78463X301   $       6          75    SH   DEFINED              22          -      0          75
SPDR S&P EMERGING LATIN AMER COMMON 78463X707   $   1,067      11,200    SH   DEFINED               5       11,200    0         -
SPDR DJ WILSHIRE
INTERNATIONAL                COMMON 78463X863   $     370       6,800    SH   DEFINED              22          200    0       6,600
SPDR LEHMAN INTL TREASURY BD
 E                           COMMON 78464A516   $     631      11,677    SH   DEFINED              23       11,677    0         -
DJ WILSHIRE REIT ETF         COMMON 78464A607   $  20,077     270,110    SH   DEFINED              22       11,735    0     258,375
DJ WILSHIRE REIT ETF         COMMON 78464A607   $     593       7,972    SH   DEFINED              23        7,972    0         -
SPDR S&P PHARMACEUTICALS
ETF                          COMMON 78464A722   $      45       1,390    SH   DEFINED               5        1,390    0         -
SPDR S&P OIL & GAS
EXPLORATI E                  COMMON 78464A730   $      69       1,070    SH   DEFINED               5        1,070    0         -
SRA INTERNATIONAL INC CL A   COMMON 78464R105   $   9,708     432,225    SH   DEFINED               1      432,225    0         -
SRA INTERNATIONAL INC CL A   COMMON 78464R105   $   7,849     349,470    SH   DEFINED               2      349,470    0         -
SRA INTERNATIONAL INC CL A   COMMON 78464R105   $   2,636     117,362    SH   DEFINED              23      117,362    0         -
SM&A CORP                    COMMON 78465D105   $       1         124    SH   DEFINED              23          124    0         -
STEC INC                     COMMON 784774101   $     213      20,731    SH   DEFINED              23       20,731    0         -
SVB FINANCIAL GROUP          COMMON 78486Q101   $  13,952     290,012    SH   DEFINED               1      290,012    0         -
SVB FINANCIAL GROUP          COMMON 78486Q101   $  11,172     232,228    SH   DEFINED               2      232,228    0         -
SVB FINANCIAL GROUP          COMMON 78486Q101   $   8,758     182,031    SH   DEFINED              23      182,031    0         -
SABA SOFTWARE INC            COMMON 784932600       $ -            62    SH   DEFINED               5           62    0         -
SWS GROUP INC                COMMON 78503N107   $     339      20,400    SH   DEFINED              14       20,400    0         -
SWS GROUP INC                COMMON 78503N107   $     121       7,288    SH   DEFINED              23        7,288    0         -
SWS GROUP INC                COMMON 78503N107   $      75       4,500    SH   DEFINED            5,15        4,500    0         -
SXC HEALTH SOLUTIONS CORP    COMMON 78505P100   $       2         100    SH   DEFINED              22          -      0         100
SXC HEALTH SOLUTIONS CORP    COMMON 78505P100   $      21       1,265    SH   DEFINED              23        1,265    0         -
S.Y. BANCORP INC             COMMON 785060104   $     678      31,730    SH   DEFINED              14       23,750    0       7,980
S.Y. BANCORP INC             COMMON 785060104   $      45       2,120    SH   DEFINED              23        2,120    0         -
S.Y. BANCORP INC             COMMON 785060104   $     128       6,000    SH   DEFINED            5,15        6,000    0         -
SABINE ROYALTY TRUST         COMMON 785688102   $     137       2,100    SH   DEFINED               5        2,100    0         -
SADIA SA-ADR                 COMMON 786326108   $     373      17,492    SH   DEFINED              23       17,492    0         -
SAFECO CORP                  COMMON 786429100   $     404       6,020    SH   DEFINED              22          -      0       6,020
SAFECO CORP                  COMMON 786429100   $   1,017      15,149    SH   DEFINED              23       15,149    0         -
SAFECO CORP                  COMMON 786429100   $      17         249    SH   DEFINED              24          249    0         -
SAFECO CORP                  COMMON 786429100   $     206       3,064    SH   DEFINED               5        2,800    0         264
SAFECO CORP                  COMMON 786429100   $     196       2,918    SH   DEFINED               7        2,918    0         -
SAFEGUARD SCIENTIFICS INC    COMMON 786449108   $   1,126     907,703    SH   DEFINED              23      907,703    0         -
SAFEGUARD SCIENTIFICS INC    COMMON 786449108   $       3       2,100    SH   DEFINED               5          -      0       2,100
SAFETY INSURANCE GROUP       COMMON 78648T100   $       4         100    SH   DEFINED              22          -      0         100


SAFETY INSURANCE GROUP       COMMON 78648T100   $   2,274      63,777    SH   DEFINED              23       63,777    0         -
SAFEWAY INC                  COMMON 786514208   $     420      14,700    SH   DEFINED           10,14       14,700    0         -
SAFEWAY INC                  COMMON 786514208   $      20         700    SH   DEFINED              13          700    0         -
SAFEWAY INC                  COMMON 786514208   $  17,435     610,670    SH   DEFINED              14      327,770    0     272,600
SAFEWAY INC                  COMMON 786514208   $      97       3,400    SH   DEFINED           14,13          -      0       3,400
SAFEWAY INC                  COMMON 786514208   $     857      30,000    SH   DEFINED            14,7          -      0      30,000
SAFEWAY INC                  COMMON 786514208   $      20         700    SH   DEFINED           20,14          -      0         -
SAFEWAY INC                  COMMON 786514208   $   1,762      61,708    SH   DEFINED              22          -      0      61,708
SAFEWAY INC                  COMMON 786514208   $   6,243     218,682    SH   DEFINED              23      218,682    0         -
SAFEWAY INC                  COMMON 786514208   $      32       1,133    SH   DEFINED              24        1,133    0         -
SAFEWAY INC                  COMMON 786514208   $       4         132    SH   DEFINED               4          132    0         -
SAFEWAY INC                  COMMON 786514208   $     175       6,114    SH   DEFINED               5        3,318    0       2,796
SAFEWAY INC                  COMMON 786514208   $     197       6,900    SH   DEFINED            5,15        6,900    0         -
SAFEWAY INC                  COMMON 786514208   $     533      18,659    SH   DEFINED               7       18,659    0         -
SAFEWAY INC                  COMMON 786514208   $     775      27,138    SH   DEFINED               8       27,138    0         -
SAFEWAY INC                  COMMON 786514208   $     834      29,200    SH   DEFINED            8,14       29,200    0         -
SAFEWAY INC                  COMMON 786514208   $      51       1,800    SH   DEFINED            9,14          -      0       1,800
SAGA COMMUNICATIONS INC
-CL A                        COMMON 786598102   $      31       6,164    SH   DEFINED              23        6,164    0         -
SAIA INC                     COMMON 78709Y105   $      79       7,225    SH   DEFINED              23        7,225    0         -
ST JOE COMPANY (THE)         COMMON 790148100   $      27         800    SH   DEFINED              14          800    0         -
ST JOE COMPANY (THE)         COMMON 790148100   $     103       3,000    SH   DEFINED              22          -      0       3,000
ST JOE COMPANY (THE)         COMMON 790148100   $     741      21,581    SH   DEFINED              23       21,581    0         -
ST JOE COMPANY (THE)         COMMON 790148100   $     146       4,262    SH   DEFINED               5          -      0       4,262
ST JUDE MEDICAL INC          COMMON 790849103   $ 115,800   2,832,686    SH   DEFINED               1    2,832,686    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $      74       1,800    SH   DEFINED           10,14        1,800    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $     128       3,139    SH   DEFINED              13        3,139    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $     108       2,639    SH   DEFINED            13,2        2,639    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $   2,220      54,300    SH   DEFINED              14       38,700    0      12,800
ST JUDE MEDICAL INC          COMMON 790849103   $   1,014      24,800    SH   DEFINED            14,7          -      0      24,800
ST JUDE MEDICAL INC          COMMON 790849103   $   7,131     174,428    SH   DEFINED               2      174,428    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $      20         500    SH   DEFINED           20,14          -      0         -
ST JUDE MEDICAL INC          COMMON 790849103   $  29,267     715,927    SH   DEFINED              22      188,810    0     527,117
ST JUDE MEDICAL INC          COMMON 790849103   $  16,948     414,569    SH   DEFINED              23      414,569    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $       7         163    SH   DEFINED              24          163    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $   2,199      53,801    SH   DEFINED             3,1       53,801    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $   5,024     122,904    SH   DEFINED               5       93,178    0      29,726
ST JUDE MEDICAL INC          COMMON 790849103   $     270       6,600    SH   DEFINED               7        6,600    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $  19,788     484,044    SH   DEFINED               8      484,044    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $   1,325      32,400    SH   DEFINED            8,14       32,400    0         -
ST JUDE MEDICAL INC          COMMON 790849103   $     284       6,948    SH   DEFINED             8,2        6,948    0         -
ST MARY LAND & EXPLORATION   COMMON 792228108   $   6,522     100,904    SH   DEFINED              23      100,904    0         -
ST MARY LAND & EXPLORATION   COMMON 792228108   $      26         400    SH   DEFINED              24          400    0         -
ST MARY LAND & EXPLORATION   COMMON 792228108   $   3,430      53,061    SH   DEFINED               5       53,061    0         -
SAKS INC                     COMMON 79377W108   $     369      33,569    SH   DEFINED              23       33,569    0         -
SAKS INC                     COMMON 79377W108   $       8         750    SH   DEFINED              24          750    0         -
SAKS INC                     COMMON 79377W108   $       9         864    SH   DEFINED               5          -      0         864
SALARY.COM INC               COMMON 794006106       $ -           101    SH   DEFINED              23          101    0         -
SALEM COMMUNICATIONS CORP
DEL                          COMMON 794093104   $      25      12,618    SH   DEFINED              23       12,618    0         -
SALESFORCE.COM INC           COMMON 79466L302   $     136       2,000    SH   DEFINED           10,14        2,000    0         -
SALESFORCE.COM INC           COMMON 79466L302   $      20         300    SH   DEFINED              13          300    0         -
SALESFORCE.COM INC           COMMON 79466L302   $  14,458     211,900    SH   DEFINED              14       85,700    0     124,200
SALESFORCE.COM INC           COMMON 79466L302   $     212       3,100    SH   DEFINED            14,7          -      0       3,100
SALESFORCE.COM INC           COMMON 79466L302   $      20         300    SH   DEFINED           20,14          -      0         -
SALESFORCE.COM INC           COMMON 79466L302   $       9         137    SH   DEFINED              22          -      0         137
SALESFORCE.COM INC           COMMON 79466L302   $   3,156      46,262    SH   DEFINED              23       46,262    0         -
SALESFORCE.COM INC           COMMON 79466L302   $      61         894    SH   DEFINED               5          -      0         894
SALESFORCE.COM INC           COMMON 79466L302   $     156       2,286    SH   DEFINED               7        2,286    0         -
SALESFORCE.COM INC           COMMON 79466L302   $     423       6,200    SH   DEFINED            8,14        6,200    0         -
SALIX PHARMACEUTICALS LTD    COMMON 795435106   $      38       5,449    SH   DEFINED              23        5,449    0         -
SALLY BEAUTY HOLDINGS INC    COMMON 79546E104   $      29       4,500    SH   DEFINED              14        4,500    0         -
SALLY BEAUTY HOLDINGS INC    COMMON 79546E104   $      71      11,002    SH   DEFINED              23       11,002    0         -
SANDERS MORRIS HARRIS GRP    COMMON 80000Q104   $       1         164    SH   DEFINED              23          164    0         -
SANDERSON FARMS INC          COMMON 800013104   $     220       6,376    SH   DEFINED              23        6,376    0         -
SANDERSON FARMS INC          COMMON 800013104   $     107       3,105    SH   DEFINED               5          705    0       2,400
SANDISK CORP                 COMMON 80004C101   $     323      17,297    SH   DEFINED              23       17,297    0         -
SANDISK CORP                 COMMON 80004C101   $   1,066      56,997    SH   DEFINED              24       56,997    0         -
SANDISK CORP                 COMMON 80004C101   $      17         884    SH   DEFINED               5          -      0         884
SANDISK CORP                 COMMON 80004C101   $      46       2,442    SH   DEFINED               7        2,442    0         -
SANDRIDGE ENERGY INC         COMMON 80007P307   $      58         891    SH   DEFINED              23          891    0         -
SANDRIDGE ENERGY INC         COMMON 80007P307   $      52         808    SH   DEFINED               5          300    0         508
SANDY SPRING BANCORP INC     COMMON 800363103   $     178      10,753    SH   DEFINED              23       10,753    0         -
JOHN B. SANFILIPPO & SON INC COMMON 800422107   $      58       6,232    SH   DEFINED              23        6,232    0         -
SANGAMO BIOSCIENCES INC      COMMON 800677106   $       3         351    SH   DEFINED              23          351    0         -
SANMINA- SCI CORP            COMMON 800907107   $     601     469,900    SH   DEFINED              14      341,000    0     128,900
SANMINA- SCI CORP            COMMON 800907107   $       1         470    SH   DEFINED              22          -      0         470
SANMINA- SCI CORP            COMMON 800907107   $     405     316,255    SH   DEFINED              23      316,255    0         -
SANMINA- SCI CORP            COMMON 800907107   $       8       6,529    SH   DEFINED              24        6,529    0         -
SANMINA- SCI CORP            COMMON 800907107   $       3       2,014    SH   DEFINED               5          -      0       2,014
SANMINA- SCI CORP            COMMON 800907107   $     109      85,400    SH   DEFINED            5,15       85,400    0         -
SANOFI-AVENTIS ADR           COMMON 80105N105   $  72,147   2,171,132    SH   DEFINED              11    2,171,132    0         -
SANOFI-AVENTIS ADR           COMMON 80105N105   $   2,405      72,375    SH   DEFINED              14       72,375    0         -
SANOFI-AVENTIS ADR           COMMON 80105N105   $     104       3,140    SH   DEFINED              22          300    0       2,840
SANOFI-AVENTIS ADR           COMMON 80105N105   $   4,846     145,830    SH   DEFINED               4      145,830    0         -
SANOFI-AVENTIS ADR           COMMON 80105N105   $     100       3,000    SH   DEFINED               5          100    0       2,900
BANCO SANTANDER P R SAN JUAN COMMON 802809103   $      28       2,662    SH   DEFINED              23        2,662    0         -
SANTARUS INC                 COMMON 802817304   $       1         449    SH   DEFINED              23          449    0         -
SANTOS LIMITED ADR           COMMON 803021609   $   7,628      93,716    SH   DEFINED              23       93,716    0         -
SAP AG ADR                   COMMON 803054204   $     107       2,054    SH   DEFINED              22          -      0       2,054
SAP AG ADR                   COMMON 803054204   $   2,094      40,175    SH   DEFINED              23       40,175    0         -
SAP AG ADR                   COMMON 803054204   $       2          35    SH   DEFINED               4           35    0         -
SAP AG ADR                   COMMON 803054204   $     135       2,600    SH   DEFINED               5          -      0       2,600
SAPIENT CORP                 COMMON 803062108   $     251      39,153    SH   DEFINED              23       39,153    0         -
SARA LEE CORP                COMMON 803111103   $   6,844     558,697    SH   DEFINED               1      558,697    0         -
SARA LEE CORP                COMMON 803111103   $     179      14,600    SH   DEFINED           10,14       14,600    0         -
SARA LEE CORP                COMMON 803111103   $   3,396     277,190    SH   DEFINED              14      123,490    0     146,800
SARA LEE CORP                COMMON 803111103   $     506      41,300    SH   DEFINED            14,7          -      0      41,300
SARA LEE CORP                COMMON 803111103   $   6,572     536,511    SH   DEFINED              22      196,818    0     339,693
SARA LEE CORP                COMMON 803111103   $   9,233     753,709    SH   DEFINED              23      753,709    0         -
SARA LEE CORP                COMMON 803111103   $     235      19,190    SH   DEFINED              24       19,190    0         -
SARA LEE CORP                COMMON 803111103   $       6         515    SH   DEFINED               4          515    0         -




SARA LEE CORP                COMMON 803111103   $     706      57,652    SH   DEFINED               5       56,082    0       1,570
SARA LEE CORP                COMMON 803111103   $     164      13,367    SH   DEFINED               7       13,367    0         -
SARA LEE CORP                COMMON 803111103   $     386      31,500    SH   DEFINED            8,14       31,500    0         -
SASOL LTD SPONSORED ADR      COMMON 803866300   $     312       5,300    SH   DEFINED              11        5,300    0         -
SASOL LTD SPONSORED ADR      COMMON 803866300   $      46         780    SH   DEFINED              22          -      0         780
SASOL LTD SPONSORED ADR      COMMON 803866300   $   7,477     126,856    SH   DEFINED              23      126,856    0         -
SATYAM COMPUTER SERVICE ADR  COMMON 804098101   $   6,916     282,038    SH   DEFINED              22      255,135    0      26,903
SATYAM COMPUTER SERVICE ADR  COMMON 804098101   $   1,341      54,688    SH   DEFINED              23       54,688    0         -
SATYAM COMPUTER SERVICE ADR  COMMON 804098101   $  15,049     613,731    SH   DEFINED               4      613,731    0         -
SATYAM COMPUTER SERVICE ADR  COMMON 804098101   $   5,306     216,404    SH   DEFINED               5      157,527    0      58,877
SAUER INC                    COMMON 804137107   $      81       2,589    SH   DEFINED              23        2,589    0         -
SAUL CTRS INC                COMMON 804395101   $   6,475     137,800    SH   DEFINED              14       96,300    0      41,500
SAUL CTRS INC                COMMON 804395101   $      50       1,064    SH   DEFINED              23        1,064    0         -
SAUL CTRS INC                COMMON 804395101   $      23         500    SH   DEFINED               5          500    0         -
SAUL CTRS INC                COMMON 804395101   $   1,029      21,900    SH   DEFINED            5,15       21,900    0         -
SAVIENT PHARMACEUTICALS INC  COMMON 80517Q100   $   2,439      96,400    SH   DEFINED              14       48,600    0      47,800
SAVIENT PHARMACEUTICALS INC  COMMON 80517Q100   $      12         463    SH   DEFINED              23          463    0         -
SAVIENT PHARMACEUTICALS INC  COMMON 80517Q100   $     374      14,800    SH   DEFINED            5,15       14,800    0         -
SAVVIS INC                   COMMON 805423308   $      13       1,007    SH   DEFINED              23        1,007    0         -
SAVVIS INC                   COMMON 805423308   $     154      11,910    SH   DEFINED               5          -      0      11,910
SCANA CORP                   COMMON 80589M102   $   3,515      95,000    SH   DEFINED               1       95,000    0         -
SCANA CORP                   COMMON 80589M102   $   1,585      42,830    SH   DEFINED              23       42,830    0         -
SCANA CORP                   COMMON 80589M102   $      11         295    SH   DEFINED              24          295    0         -
SCANA CORP                   COMMON 80589M102   $     174       4,715    SH   DEFINED               5        3,500    0       1,215
SCANSOURCE INC               COMMON 806037107   $       2          64    SH   DEFINED              22          -      0          64
SCANSOURCE INC               COMMON 806037107   $   1,094      40,872    SH   DEFINED              23       40,872    0         -
SCHAWK INC                   COMMON 806373106   $     221      18,400    SH   DEFINED              23       18,400    0         -
SCHEIN HENRY INC             COMMON 806407102   $   6,059     117,491    SH   DEFINED              23      117,491    0         -
SCHEIN HENRY INC             COMMON 806407102   $   1,280      24,827    SH   DEFINED              24       24,827    0         -
SCHEIN HENRY INC             COMMON 806407102   $     209       4,050    SH   DEFINED               5        4,050    0         -
HENRY SCHEIN INC (HSIC)
CVT 3.                       CONVERT806407AB8   $       4       3,000    SH   DEFINED              14        3,000    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $  96,878   4,920,167    SH   DEFINED               1    4,920,167    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $       9         450    SH   DEFINED              14          200    0         250
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $     201      10,200    SH   DEFINED              17       10,200    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $   2,664     135,322    SH   DEFINED               2      135,322    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $   3,729     189,410    SH   DEFINED            20,2          -      0     189,410
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $   6,814     346,057    SH   DEFINED              22      121,937    0     224,120
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $   4,121     209,292    SH   DEFINED              23      209,292    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $      25       1,264    SH   DEFINED              24        1,264    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $   7,301     370,800    SH   DEFINED               3      370,800    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $       6         326    SH   DEFINED               4          326    0         -
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $   6,393     324,698    SH   DEFINED               5      293,912    0      30,786
SCHERING-PLOUGH CORPORATION  COMMON 806605101   $     421      21,357    SH   DEFINED               7       21,357    0         -
SCHERING-PLOUGH              CONVERT806605705   $   2,986      15,235    SH   DEFINED              22        1,050    0      14,185
SCHERING-PLOUGH              CONVERT806605705   $      15          75    SH   DEFINED               5           75    0         -
SCHLUMBERGER LTD             COMMON 806857108   $ 221,345   2,060,365    SH   DEFINED               1    2,060,365    0         -
SCHLUMBERGER LTD             COMMON 806857108   $     505       4,700    SH   DEFINED           10,14        4,700    0         -
SCHLUMBERGER LTD             COMMON 806857108   $  10,206      95,000    SH   DEFINED            13,2          -      0      95,000
SCHLUMBERGER LTD             COMMON 806857108   $  17,006     158,300    SH   DEFINED              14      120,700    0      30,600
SCHLUMBERGER LTD             COMMON 806857108   $   4,201      39,100    SH   DEFINED            14,7          -      0      39,100
SCHLUMBERGER LTD             COMMON 806857108   $  10,523      97,952    SH   DEFINED               2       97,952    0         -
SCHLUMBERGER LTD             COMMON 806857108   $     161       1,500    SH   DEFINED           20,14          -      0         -
SCHLUMBERGER LTD             COMMON 806857108   $   1,352      12,589    SH   DEFINED              21       12,589    0         -
SCHLUMBERGER LTD             COMMON 806857108   $  89,217     830,468    SH   DEFINED              22      216,846    0     613,622
SCHLUMBERGER LTD             COMMON 806857108   $  49,119     457,220    SH   DEFINED              23      457,220    0         -
SCHLUMBERGER LTD             COMMON 806857108   $      48         445    SH   DEFINED              24          445    0         -
SCHLUMBERGER LTD             COMMON 806857108   $  25,228     234,829    SH   DEFINED               5      142,340    0      92,489
SCHLUMBERGER LTD             COMMON 806857108   $   2,982      27,756    SH   DEFINED               7       27,756    0         -
SCHLUMBERGER LTD             COMMON 806857108   $  23,440     218,186    SH   DEFINED               8      218,186    0         -
SCHLUMBERGER LTD             COMMON 806857108   $     437       4,066    SH   DEFINED             8,2        4,066    0         -
SCHLUMBERGER LTD CVT
(SLB) 1.5                    CONVERT806857AC2   $       4       4,000    SH   DEFINED              14        4,000    0         -
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $     779       6,800    SH   DEFINED               1        6,800    0         -
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $     144       1,260    SH   DEFINED              11        1,260    0         -
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $   6,048      52,776    SH   DEFINED              14       38,476    0      13,700
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $     287       2,500    SH   DEFINED              22          -      0       2,500
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $   1,114       9,723    SH   DEFINED              23        9,723    0         -
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $     779       6,800    SH   DEFINED            5,15        6,800    0         -
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $     653       5,700    SH   DEFINED               8        5,700    0         -
SCHNITZER STEEL INDS INC-A   COMMON 806882106   $     183       1,600    SH   DEFINED            8,20        1,600    0         -
SCHOLASTIC CORP              COMMON 807066105   $     166       5,800    SH   DEFINED            1,15        5,800    0         -
SCHOLASTIC CORP              COMMON 807066105   $      38       1,314    SH   DEFINED              11        1,314    0         -
SCHOLASTIC CORP              COMMON 807066105   $   6,342     221,280    SH   DEFINED              14      115,980    0     103,100
SCHOLASTIC CORP              COMMON 807066105   $       6         200    SH   DEFINED              22          -      0         200
SCHOLASTIC CORP              COMMON 807066105   $   1,486      51,864    SH   DEFINED              23       51,864    0         -
SCHOLASTIC CORP              COMMON 807066105   $       2          69    SH   DEFINED              24           69    0         -
SCHOLASTIC CORP              COMMON 807066105   $      67       2,325    SH   DEFINED               5          -      0       2,325
SCHOLASTIC CORP              COMMON 807066105   $     238       8,300    SH   DEFINED            5,15        8,300    0         -
SCHOLASTIC CORP              COMMON 807066105   $     143       5,000    SH   DEFINED               8        5,000    0         -
SCHOLASTIC CORP              COMMON 807066105   $      40       1,400    SH   DEFINED            8,20        1,400    0         -
SCHOOL SPECIALTY INC         COMMON 807863105   $   1,041      35,000    SH   DEFINED              14       35,000    0         -
SCHOOL SPECIALTY INC         COMMON 807863105   $     350      11,786    SH   DEFINED              23       11,786    0         -
SCHOOL SPECIALTY INC         COMMON 807863105   $     157       5,270    SH   DEFINED               5        1,070    0       4,200
SCHOOL SPECIALTY INC         COMMON 807863105   $     794      26,700    SH   DEFINED               8       26,700    0         -
SCHOOL SPECIALTY INC         COMMON 807863105   $     217       7,300    SH   DEFINED            8,20        7,300    0         -
SCHULMAN (A) INC             COMMON 808194104   $   7,003     304,099    SH   DEFINED               1      304,099    0         -
SCHULMAN (A) INC             COMMON 808194104   $   3,279     142,394    SH   DEFINED               2       37,598    0     104,796
SCHULMAN (A) INC             COMMON 808194104   $     592      25,704    SH   DEFINED              23       25,704    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $     737      35,900    SH   DEFINED           10,14       35,900    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $      29       1,400    SH   DEFINED              13        1,400    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $  38,325   1,865,860    SH   DEFINED              14    1,129,960    0     682,300
SCHWAB (CHARLES) CORP        COMMON 808513105   $     565      27,500    SH   DEFINED           14,13          -      0      27,500
SCHWAB (CHARLES) CORP        COMMON 808513105   $   2,654     129,200    SH   DEFINED            14,7          -      0     129,200
SCHWAB (CHARLES) CORP        COMMON 808513105   $      78       3,800    SH   DEFINED           20,14          -      0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $     680      33,099    SH   DEFINED              21       33,099    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $  22,000   1,071,057    SH   DEFINED              22      165,945    0     905,112
SCHWAB (CHARLES) CORP        COMMON 808513105   $   1,551      75,522    SH   DEFINED              23       75,522    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $      13         651    SH   DEFINED              24          651    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $   9,469     461,001    SH   DEFINED               5      417,397    0      43,604
SCHWAB (CHARLES) CORP        COMMON 808513105   $   1,263      61,500    SH   DEFINED            5,15       61,500    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $   1,381      67,215    SH   DEFINED               7       67,215    0         -





SCHWAB (CHARLES) CORP        COMMON 808513105   $   1,926      93,779    SH   DEFINED               8       93,779    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $   3,991     194,300    SH   DEFINED            8,14      194,300    0         -
SCHWAB (CHARLES) CORP        COMMON 808513105   $     304      14,800    SH   DEFINED            9,14          -      0      14,800
SCHWEITZER-MAUDUIT INTL INC  COMMON 808541106   $     230      13,672    SH   DEFINED              23       13,672    0         -
SCIELE PHARMA INC            COMMON 808627103   $  10,917     564,205    SH   DEFINED               1      564,205    0         -
SCIELE PHARMA INC            COMMON 808627103   $   8,918     460,875    SH   DEFINED               2      460,875    0         -
SCIELE PHARMA INC            COMMON 808627103   $   2,614     135,072    SH   DEFINED              23      135,072    0         -
SCIELE PHARMA INC            COMMON 808627103   $     138       7,115    SH   DEFINED               5          840    0       6,275
SCICLONE PHARMACEUTICALS INC COMMON 80862K104   $       1         401    SH   DEFINED              23          401    0         -
SCIENTIFIC-ATLANTA INC       COMMON 808655104       $ -           200    SH   DEFINED              22          -      0         200
SCIENTIFIC GAMES CORP-A      COMMON 80874P109   $      35       1,178    SH   DEFINED              14          -      0       1,178
SCIENTIFIC GAMES CORP-A      COMMON 80874P109   $       3         100    SH   DEFINED              22          -      0         100
SCIENTIFIC GAMES CORP-A      COMMON 80874P109   $     177       5,990    SH   DEFINED              23        5,990    0         -
SCOTTS MIRACLE-GRO CO/THE    COMMON 810186106   $       1          50    SH   DEFINED              22          -      0          50
SCOTTS MIRACLE-GRO CO/THE    COMMON 810186106   $      95       5,400    SH   DEFINED              23        5,400    0         -
SCOTTS MIRACLE-GRO CO/THE    COMMON 810186106   $       2         104    SH   DEFINED              24          104    0         -
SCOTTS MIRACLE-GRO CO/THE    COMMON 810186106   $      26       1,500    SH   DEFINED               5          -      0       1,500
SCRIPPS E W CO OHIO          COMMON 811054204   $   6,005     144,550    SH   DEFINED               1      144,550    0         -
SCRIPPS E W CO OHIO          COMMON 811054204   $     511      12,300    SH   DEFINED            13,2          -      0      12,300
SCRIPPS E W CO OHIO          COMMON 811054204   $  14,250     343,032    SH   DEFINED              23      343,032    0         -
SCRIPPS E W CO OHIO          COMMON 811054204   $     753      18,119    SH   DEFINED              24       18,119    0         -
SCRIPPS E W CO OHIO          COMMON 811054204   $      34         814    SH   DEFINED               5          -      0         814
SEABOARD CORP                COMMON 811543107   $     327         211    SH   DEFINED              23          211    0         -
SEABRIGHT INSURANCE HOLDINGS COMMON 811656107   $     415      28,684    SH   DEFINED              23       28,684    0         -
SEACHANGE INTERNATIONAL INC  COMMON 811699107   $       2         260    SH   DEFINED              23          260    0         -
SEACHANGE INTERNATIONAL INC  COMMON 811699107   $     198      27,610    SH   DEFINED               5        6,910    0      20,700
SEACOAST BANKING CORP FL     COMMON 811707306   $   3,044     392,228    SH   DEFINED              23      392,228    0         -
SEACOR SMIT INC              COMMON 811904101   $      70         785    SH   DEFINED              22          515    0         270
SEACOR SMIT INC              COMMON 811904101   $  12,556     140,280    SH   DEFINED              23      140,280    0         -
SEACOR SMIT INC              COMMON 811904101   $       2          26    SH   DEFINED              24           26    0         -
SEACOR SMIT INC              COMMON 811904101   $      46         515    SH   DEFINED               5          -      0         515
SEABRIDGE GOLD INC           COMMON 811916105   $   8,800     400,000    SH   DEFINED               1      400,000    0         -
SEALED AIR CORP              COMMON 81211K100   $       9         470    SH   DEFINED              21          470    0         -
SEALED AIR CORP              COMMON 81211K100   $     184       9,664    SH   DEFINED              22          -      0       9,664
SEALED AIR CORP              COMMON 81211K100   $     717      37,697    SH   DEFINED              23       37,697    0         -
SEALED AIR CORP              COMMON 81211K100   $       4         213    SH   DEFINED              24          213    0         -
SEALY CORP                   COMMON 812139301   $      34       5,994    SH   DEFINED              23        5,994    0         -
SEARS HOLDING CORP           COMMON 812350106   $       7         100    SH   DEFINED              22          -      0         100
SEARS HOLDING CORP           COMMON 812350106   $   1,365      18,537    SH   DEFINED              23       18,537    0         -
SEARS HOLDING CORP           COMMON 812350106   $   2,819      38,266    SH   DEFINED              24       38,266    0         -
SEARS HOLDING CORP           COMMON 812350106   $       8         105    SH   DEFINED               5          -      0         105
SEARS HOLDING CORP           COMMON 812350106   $     129       1,753    SH   DEFINED               7        1,753    0         -
SEATTLE GENETICS INC /WA     COMMON 812578102   $       8       1,000    SH   DEFINED              22          -      0       1,000
SEATTLE GENETICS INC /WA     COMMON 812578102   $       6         678    SH   DEFINED              23          678    0         -
MATERIALS SELECT SECTOR SPDR
E                            COMMON 81369Y100   $      61       1,360    SH   DEFINED              22          -      0       1,360
HEALTH CARE SELECT SECTOR
ETF                          COMMON 81369Y209   $      16         500    SH   DEFINED              22          -      0         500
HEALTH CARE SELECT SECTOR
ETF                          COMMON 81369Y209   $     242       7,555    SH   DEFINED               5        7,555    0         -
AMEX CONSUMER STAPLES SPDR
ETF                          COMMON 81369Y308   $      45       1,700    SH   DEFINED              22          -      0       1,700
CONSUMER DISCRETIONARY SELT
ET                           COMMON 81369Y407   $      32       1,000    SH   DEFINED              22          -      0       1,000
ENERGY SELECT SPDR ETF       COMMON 81369Y506   $     174       1,970    SH   DEFINED              22          -      0       1,970
ENERGY SELECT SPDR ETF       COMMON 81369Y506   $     168       1,900    SH   DEFINED               5        1,900    0         -
FINANCIAL SELECT SECTOR SPDR
E                            COMMON 81369Y605   $     421      20,789    SH   DEFINED              22        4,000    0      16,789
FINANCIAL SELECT SECTOR SPDR
E                            COMMON 81369Y605   $     134       6,625    SH   DEFINED               5        4,425    0       2,200
TECHNOLOGY SELECT SECT SPDR
ET                           COMMON 81369Y803   $   4,081     160,975    SH   DEFINED              22        5,000    0     155,975
TECHNOLOGY SELECT SECT SPDR
ET                           COMMON 81369Y803   $      51       2,000    SH   DEFINED               5        2,000    0         -
UTILITIES SELECT SECTOR SPDR
E                            COMMON 81369Y886   $     738      18,125    SH   DEFINED              22          -      0      18,125
SECURE COMPUTING CORP        COMMON 813705100   $     271      65,339    SH   DEFINED              23       65,339    0         -
SECURITY BANK CORP           COMMON 814047106   $      39       6,729    SH   DEFINED              23        6,729    0         -
SELECT COMFORT CORP          COMMON 81616X103   $      30      18,306    SH   DEFINED              23       18,306    0         -
SELECTICA INC                COMMON 816288104   $       1         807    SH   DEFINED              23          807    0         -
SELECTIVE INSURANCE GROUP    COMMON 816300107   $   1,935     103,125    SH   DEFINED              23      103,125    0         -
SELECTIVE INSURANCE GROUP    COMMON 816300107   $       2         102    SH   DEFINED              24          102    0         -
SELECTIVE INSURANCE GROUP    COMMON 816300107   $     248      13,240    SH   DEFINED               5          -      0      13,240
SEMGROUP ENERGY PARTNERS LP  COMMON 81662W108   $      38       1,405    SH   DEFINED              22          -      0       1,405
SEMGROUP ENERGY PARTNERS LP  COMMON 81662W108   $   9,052     335,868    SH   DEFINED               5      319,918    0      15,950
SEMICONDUCTOR MANUFACT-ADR   COMMON 81663N206   $   2,547     875,187    SH   DEFINED              23      875,187    0         -
SEMTECH CORP                 COMMON 816850101   $   6,736     478,763    SH   DEFINED               1      478,763    0         -
SEMTECH CORP                 COMMON 816850101   $  23,561   1,674,530    SH   DEFINED              14      828,630    0     837,500
SEMTECH CORP                 COMMON 816850101   $     494      35,100    SH   DEFINED            14,7          -      0      35,100
SEMTECH CORP                 COMMON 816850101   $   3,951     280,805    SH   DEFINED               2      110,107    0     170,698
SEMTECH CORP                 COMMON 816850101   $       1          95    SH   DEFINED              22          -      0          95
SEMTECH CORP                 COMMON 816850101   $   2,066     146,811    SH   DEFINED              23      146,811    0         -
SEMTECH CORP                 COMMON 816850101   $     915      65,000    SH   DEFINED            5,15       65,000    0         -
SEMPRA ENERGY                COMMON 816851109   $  75,812   1,343,000    SH   DEFINED               1    1,343,000    0         -
SEMPRA ENERGY                COMMON 816851109   $  10,726     190,000    SH   DEFINED            13,2          -      0     190,000
SEMPRA ENERGY                COMMON 816851109   $      52         922    SH   DEFINED              22          -      0         922
SEMPRA ENERGY                COMMON 816851109   $   1,286      22,784    SH   DEFINED              23       22,784    0         -
SEMPRA ENERGY                COMMON 816851109   $      24         425    SH   DEFINED              24          425    0         -
SEMPRA ENERGY                COMMON 816851109   $   1,222      21,652    SH   DEFINED               5        1,780    0      19,872
SEMPRA ENERGY                COMMON 816851109   $     205       3,635    SH   DEFINED               7        3,635    0         -
SEMITOOL INC                 COMMON 816909105   $       2         213    SH   DEFINED              23          213    0         -
SENECA FOODS CORP - CL B     COMMON 817070105   $      39       1,820    SH   DEFINED              23        1,820    0         -
SENECA FOODS CORP - CL A     COMMON 817070501   $      37       1,793    SH   DEFINED              23        1,793    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $   3,613     185,000    SH   DEFINED               1      185,000    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $  17,050     873,000    SH   DEFINED            1,15      873,000    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $      82       4,221    SH   DEFINED              11        4,221    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $  77,220   3,953,894    SH   DEFINED              14    2,354,094    0   1,454,100
SENIOR HSG PPTYS TR          COMMON 81721M109   $     441      22,600    SH   DEFINED            14,7          -      0      22,600
SENIOR HSG PPTYS TR          COMMON 81721M109   $     686      35,100    SH   DEFINED           18,14       35,100    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $     215      11,000    SH   DEFINED           19,14       11,000    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $   1,957     100,212    SH   DEFINED               2       39,412    0      60,800
SENIOR HSG PPTYS TR          COMMON 81721M109   $   1,992     102,000    SH   DEFINED            2,15      102,000    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $     184       9,417    SH   DEFINED              23        9,417    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $       3         175    SH   DEFINED              24          175    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $     252      12,900    SH   DEFINED            3,15        5,700    0       7,200
SENIOR HSG PPTYS TR          COMMON 81721M109   $      93       4,750    SH   DEFINED               5          825    0       3,925
SENIOR HSG PPTYS TR          COMMON 81721M109   $   5,884     301,300    SH   DEFINED            5,15      301,300    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $      49       2,500    SH   DEFINED            6,14        2,500    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $   1,174      60,100    SH   DEFINED               8       60,100    0         -
SENIOR HSG PPTYS TR          COMMON 81721M109   $     631      32,300    SH   DEFINED            8,14          -      0      32,300






SENIOR HSG PPTYS TR          COMMON 81721M109   $     320      16,400    SH   DEFINED            8,20       16,400    0         -
SENOMYX INC                  COMMON 81724Q107   $       1         199    SH   DEFINED              23          199    0         -
SENSIENT TECHNOLOGIES CORP   COMMON 81725T100   $   7,034     249,800    SH   DEFINED              14      107,200    0     141,700
SENSIENT TECHNOLOGIES CORP   COMMON 81725T100   $     782      27,754    SH   DEFINED              23       27,754    0         -
SENSIENT TECHNOLOGIES CORP   COMMON 81725T100   $     369      13,100    SH   DEFINED               8       13,100    0         -
SENSIENT TECHNOLOGIES CORP   COMMON 81725T100   $     101       3,600    SH   DEFINED            8,20        3,600    0         -
SEPRACOR INC                 COMMON 817315104   $  10,904     547,400    SH   DEFINED              14      242,600    0     300,800
SEPRACOR INC                 COMMON 817315104   $   2,677     134,397    SH   DEFINED              23      134,397    0         -
SEPRACOR INC                 COMMON 817315104   $       2          89    SH   DEFINED               5          -      0          89
SEQUENOM INC                 COMMON 817337405   $   4,754     297,892    SH   DEFINED               1      297,892    0         -
SEQUENOM INC                 COMMON 817337405   $     455      28,496    SH   DEFINED               2       28,496    0         -
SEQUENOM INC                 COMMON 817337405   $     619      38,812    SH   DEFINED            20,2          -      0      38,812
SEQUENOM INC                 COMMON 817337405   $       6         388    SH   DEFINED              23          388    0         -
SERACARE LIFE SCIENCES INC   COMMON 81747T104   $     420      85,624    SH   DEFINED              16          -    85624         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $      46       4,700    SH   DEFINED              13        4,700    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $      46       4,700    SH   DEFINED            13,3        4,700    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $     300      30,447    SH   DEFINED              14       30,447    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $     146      14,843    SH   DEFINED              23       14,843    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $       3         290    SH   DEFINED              24          290    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $   7,713     782,300    SH   DEFINED               3      782,300    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $  10,007   1,014,871    SH   DEFINED               4    1,014,871    0         -
SERVICE CORP INTERNATIONAL   COMMON 817565104   $     110      11,182    SH   DEFINED               5        2,730    0       8,452
SERVICE CORP INTERNATIONAL   COMMON 817565104   $  11,123   1,128,082    SH   DEFINED               8    1,128,082    0         -
SEVERN BANCORP INC/MD        COMMON 81811M100   $     130      17,225    SH   DEFINED              22          -      0      17,225
SEVERN BANCORP INC/MD        COMMON 81811M100       $ -            66    SH   DEFINED              23           66    0         -
SHANDA INTERACTIVE ENTER-ADR COMMON 81941Q203   $   4,674     172,158    SH   DEFINED              23      172,158    0         -
SHAW GROUP INC               COMMON 820280105   $  46,148     746,853    SH   DEFINED               1      746,853    0         -
SHAW GROUP INC               COMMON 820280105   $      37         600    SH   DEFINED              14          600    0         -
SHAW GROUP INC               COMMON 820280105   $   4,547      73,592    SH   DEFINED               2        5,637    0      67,955
SHAW GROUP INC               COMMON 820280105   $      31         500    SH   DEFINED              22          -      0         500
SHAW GROUP INC               COMMON 820280105   $   1,177      19,054    SH   DEFINED              23       19,054    0         -
SHAW GROUP INC               COMMON 820280105   $       4          67    SH   DEFINED              24           67    0         -
SHAW COMMUNICATIONS INC CL B COMMON 82028K200   $     106       5,200    SH   DEFINED           10,14        5,200    0         -
SHAW COMMUNICATIONS INC CL B COMMON 82028K200   $   7,848     385,473    SH   DEFINED              23      385,473    0         -
SHAW COMMUNICATIONS INC CL B
C                            COMMON 82028K200   $ 108,050   5,264,700    SH   DEFINED               3    5,264,700    0         -
SHAW COMMUNICATIONS INC CL B
C                            COMMON 82028K200   $     136       6,623    SH   DEFINED               7        6,623    0         -
SHAW COMMUNICATIONS INC CL B
C                            COMMON 82028K200   $     583      28,390    SH   DEFINED               8       28,390    0         -
SHAW COMMUNICATIONS INC CL B COMMON 82028K200   $     401      19,700    SH   DEFINED            8,14       19,700    0         -
SHENANDOAH TELECOMMUN CO     COMMON 82312B106   $   1,185      91,000    SH   DEFINED              14       62,000    0      29,000
SHENANDOAH TELECOMMUN CO     COMMON 82312B106   $      12         950    SH   DEFINED              23          950    0         -
SHENANDOAH TELECOMMUN CO     COMMON 82312B106   $     208      16,000    SH   DEFINED            5,15       16,000    0         -
SHENGDATECH INC              COMMON 823213103   $   5,926     596,787    SH   DEFINED              23      596,787    0         -
SHERWIN-WILLIAMS CO          COMMON 824348106   $     308       6,700    SH   DEFINED           10,14        6,700    0         -
SHERWIN-WILLIAMS CO          COMMON 824348106   $   2,777      60,460    SH   DEFINED              14       40,360    0      18,200
SHERWIN-WILLIAMS CO          COMMON 824348106   $     643      14,000    SH   DEFINED            14,7          -      0      14,000
SHERWIN-WILLIAMS CO          COMMON 824348106   $     229       4,996    SH   DEFINED              22          -      0       4,996
SHERWIN-WILLIAMS CO          COMMON 824348106   $     623      13,566    SH   DEFINED              23       13,566    0         -
SHERWIN-WILLIAMS CO          COMMON 824348106   $       8         177    SH   DEFINED              24          177    0         -
SHERWIN-WILLIAMS CO          COMMON 824348106   $     188       4,100    SH   DEFINED               5        3,800    0         300
SHERWIN-WILLIAMS CO          COMMON 824348106   $      83       1,812    SH   DEFINED               7        1,812    0         -
SHERWIN-WILLIAMS CO          COMMON 824348106   $     372       8,105    SH   DEFINED               8        8,105    0         -
SHILOH INDUSTRIES INC        COMMON 824543102   $      32       3,356    SH   DEFINED              23        3,356    0         -
SHINHAN FINANCIAL GRP ADR    COMMON 824596100   $       9         104    SH   DEFINED              22          -      0         104
SHINHAN FINANCIAL GRP ADR    COMMON 824596100   $   1,913      21,353    SH   DEFINED              23       21,353    0         -
SHIRE LTD-ADR                COMMON 82481R106   $  25,342     515,819    SH   DEFINED               1      515,819    0         -
SHIRE LTD-ADR                COMMON 82481R106   $     874      17,780    SH   DEFINED               2       17,780    0         -
SHIRE LTD-ADR                COMMON 82481R106   $   1,223      24,887    SH   DEFINED            20,2          -      0      24,887
SHIRE LTD-ADR                COMMON 82481R106   $   4,360      88,740    SH   DEFINED              22       82,698    0       6,042
SHIRE LTD-ADR                COMMON 82481R106   $      46         929    SH   DEFINED              23          929    0         -
SHIRE LTD-ADR                COMMON 82481R106   $  22,209     452,051    SH   DEFINED               4      452,051    0         -
SHIRE LTD-ADR                COMMON 82481R106   $   4,072      82,885    SH   DEFINED               5       53,826    0      29,059
SHOE CARNIVAL INC            COMMON 824889109   $     183      15,515    SH   DEFINED              23       15,515    0         -
SHORE BANCSHARES INC         COMMON 825107105   $       1          73    SH   DEFINED              23           73    0         -
SHORETEL INC                 COMMON 825211105       $ -            75    SH   DEFINED              23           75    0         -
SHUFFLE MASTER INC           COMMON 825549108   $       5       1,027    SH   DEFINED              22          300    0         727
SHUFFLE MASTER INC           COMMON 825549108   $       2         308    SH   DEFINED              23          308    0         -
SHUTTERFLY INC               COMMON 82568P304   $   4,781     391,600    SH   DEFINED               1      391,600    0         -
SHUTTERFLY INC               COMMON 82568P304   $   3,915     320,669    SH   DEFINED               2      320,669    0         -
SHUTTERFLY INC               COMMON 82568P304   $       4         300    SH   DEFINED              22          -      0         300
SHUTTERFLY INC               COMMON 82568P304   $     125      10,274    SH   DEFINED              23       10,274    0         -
SIEMENS AG ADR               COMMON 826197501   $      67         606    SH   DEFINED              22          -      0         606
SIEMENS AG ADR               COMMON 826197501   $  77,795     706,393    SH   DEFINED              23      706,393    0         -
SIEMENS AG ADR               COMMON 826197501   $  19,490     176,971    SH   DEFINED               4      176,971    0         -
SIEMENS AG ADR               COMMON 826197501   $     407       3,696    SH   DEFINED               5        2,730    0         966
SIERRA BANCORP               COMMON 82620P102   $       1          63    SH   DEFINED              23           63    0         -
SIERRA PAC RES               COMMON 826428104   $     296      23,306    SH   DEFINED              23       23,306    0         -
SIERRA PAC RES               COMMON 826428104   $       5         387    SH   DEFINED              24          387    0         -
SIERRA PAC RES               COMMON 826428104   $     132      10,388    SH   DEFINED               5          -      0      10,388
SIERRA WIRELESS INC          COMMON 826516106   $     209      14,304    SH   DEFINED              23       14,304    0         -
SIFCO INDUSTRIES             COMMON 826546103   $     276      21,714    SH   DEFINED              23       21,714    0         -
SIGMA-ALDRICH                COMMON 826552101   $  57,010   1,058,491    SH   DEFINED               1    1,058,491    0         -
SIGMA-ALDRICH                COMMON 826552101   $   1,018      18,902    SH   DEFINED              14       18,502    0         400
SIGMA-ALDRICH                COMMON 826552101   $     151       2,800    SH   DEFINED            14,7          -      0       2,800
SIGMA-ALDRICH                COMMON 826552101   $  75,339   1,398,800    SH   DEFINED              22          -      0   1,398,800
SIGMA-ALDRICH                COMMON 826552101   $  17,689     328,434    SH   DEFINED              23      328,434    0         -
SIGMA-ALDRICH                COMMON 826552101   $   1,837      34,108    SH   DEFINED              24       34,108    0         -
SIGMA-ALDRICH                COMMON 826552101   $  30,266     561,941    SH   DEFINED               4      561,941    0         -
SIGMA-ALDRICH                COMMON 826552101   $     194       3,600    SH   DEFINED               5          -      0       3,600
SIGMA-ALDRICH                COMMON 826552101   $     162       3,000    SH   DEFINED               7        3,000    0         -
SIFY TECHNOLOGIES LTD        COMMON 82655M107   $       1         218    SH   DEFINED              23          218    0         -
SIGMA DESIGNS INC            COMMON 826565103   $     278      20,000    SH   DEFINED              17       20,000    0         -
SIGNET GROUP PLC ADR         COMMON 82668L872   $   9,209     924,582    SH   DEFINED              23      924,582    0         -
SIGNET GROUP PLC ADR         COMMON 82668L872   $      45       4,500    SH   DEFINED               5          -      0       4,500
SIGNATURE BANK COMMON        COMMON 82669G104   $      65       2,516    SH   DEFINED              22        1,900    0         616
SIGNATURE BANK COMMON        COMMON 82669G104   $      55       2,135    SH   DEFINED              23        2,135    0         -
SILICON LABORATORIES         COMMON 826919102   $  13,813     382,743    SH   DEFINED               1      382,743    0         -
SILICON LABORATORIES         COMMON 826919102   $  11,168     309,437    SH   DEFINED               2      309,437    0         -
SILICON LABORATORIES         COMMON 826919102   $   5,179     143,495    SH   DEFINED              23      143,495    0         -
SILGAN HOLDINGS INC          COMMON 827048109   $     667      13,152    SH   DEFINED              23       13,152    0         -
SILGAN HOLDINGS INC          COMMON 827048109   $       2          39    SH   DEFINED              24           39    0         -




SILGAN HOLDINGS INC          COMMON 827048109   $      41         800    SH   DEFINED               5          -      0         800
SILICON GRAPHICS INC         COMMON 827056300   $       -          76    SH   DEFINED              23           76    0         -
SILICON STORAGE TECHNOLOGY
INC                          COMMON 827057100   $     199      71,700    SH   DEFINED              14       71,700    0         -
SILICON STORAGE TECHNOLOGY
INC                          COMMON 827057100   $      58      21,118    SH   DEFINED              23       21,118    0         -
SILICON STORAGE TECHNOLOGY
INC                          COMMON 827057100   $      32      11,700    SH   DEFINED            5,15       11,700    0         -
SILICON IMAGE INC            COMMON 82705T102   $   1,428     196,900    SH   DEFINED              14      160,700    0      36,200
SILICON IMAGE INC            COMMON 82705T102   $   2,818     388,723    SH   DEFINED              23      388,723    0         -
SILICON IMAGE INC            COMMON 82705T102   $     276      38,000    SH   DEFINED            5,15       38,000    0         -
SILICON MOTION TECHNOLOGY ADRCOMMON 82706C108   $       4         273    SH   DEFINED              23          273    0         -
SILICON MOTION TECHNOLOGY ADRCOMMON 82706C108   $      30       2,100    SH   DEFINED               5          -      0       2,100
SILICONWARE PRECISION ADR    COMMON 827084864   $   1,325     181,202    SH   DEFINED               2      181,202    0         -
SILICONWARE PRECISION ADR    COMMON 827084864       $ -             1    SH   DEFINED            20,2            1    0         -
SILICONWARE PRECISION ADR    COMMON 827084864   $     614      84,024    SH   DEFINED              23       84,024    0         -
SILICONWARE PRECISION ADR    COMMON 827084864   $      51       6,932    SH   DEFINED               5          -      0       6,932
SILVER STANDARD RESOURCES    COMMON 82823L106   $      66       2,300    SH   DEFINED              22          -      0       2,300
SILVER STATE BANCORP         COMMON 828251108   $       5       2,493    SH   DEFINED              23        2,493    0         -
SILVER WHEATON CORP          COMMON 828336107   $  19,778   1,350,000    SH   DEFINED               1    1,350,000    0         -
SILVERLEAF RESORTS INC       COMMON 828395103   $       1         248    SH   DEFINED              23          248    0         -
SIMCERE PHARMACEUTICAL-ADR   COMMON 82859P104   $   1,854     147,133    SH   DEFINED              23      147,133    0         -
SIMMONS FIRST NATIONAL CORP
CL                           COMMON 828730200   $     878      31,400    SH   DEFINED              14       22,600    0       8,800
SIMMONS FIRST NATIONAL CORP
CL                           COMMON 828730200   $     281      10,044    SH   DEFINED              23       10,044    0         -
SIMMONS FIRST NATIONAL CORP
CL                           COMMON 828730200   $     162       5,800    SH   DEFINED            5,15        5,800    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $ 104,983   1,167,900    SH   DEFINED            1,15    1,167,900    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $     378       4,200    SH   DEFINED           10,14        4,200    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $      36         396    SH   DEFINED              11          396    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $ 319,047   3,549,303    SH   DEFINED              14    2,158,253    0   1,195,050
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $   1,169      13,000    SH   DEFINED            14,7          -      0      13,000
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $   5,178      57,600    SH   DEFINED           18,14       57,600    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $   1,537      17,100    SH   DEFINED           19,14       17,100    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $  14,185     157,800    SH   DEFINED            2,15      157,800    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $      75         830    SH   DEFINED              22          -      0         830
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $   2,858      31,797    SH   DEFINED              23       31,797    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $      17         193    SH   DEFINED              24          193    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $   1,789      19,900    SH   DEFINED            3,15        8,800    0      11,100
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $     532       5,919    SH   DEFINED               5        3,639    0       2,280
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $  24,777     275,638    SH   DEFINED            5,15      275,638    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $     243       2,700    SH   DEFINED            6,14        2,700    0         -
SIMON PROPERTY GROUP INC REITCOMMON 828806109   $   4,521      50,300    SH   DEFINED            8,14          -      0      50,300
SIMON PROPERTY GROUP LP CVP
(SP                          CONVERT828806802   $     375       5,166    SH   DEFINED              22          -      0       5,166
SIMPSON MANUFACTURING CO INC COMMON 829073105   $     297      12,500    SH   DEFINED              22          -      0      12,500
SIMPSON MANUFACTURING CO INC COMMON 829073105   $     101       4,268    SH   DEFINED              23        4,268    0         -
SIMPSON MANUFACTURING CO INC COMMON 829073105   $     265      11,175    SH   DEFINED               5          -      0      11,175
SINCLAIR BROADCAST GROUP INC COMMON 829226109   $   3,381     444,838    SH   DEFINED               1      444,838    0         -
SINCLAIR BROADCAST GROUP INC COMMON 829226109   $     271      35,694    SH   DEFINED            13,2          -      0      35,694
SINCLAIR BROADCAST GROUP INC COMMON 829226109   $   2,709     356,400    SH   DEFINED              14      228,000    0     128,400
SINCLAIR BROADCAST GROUP INC COMMON 829226109   $       3         335    SH   DEFINED              22          -      0         335
SINCLAIR BROADCAST GROUP INC COMMON 829226109   $     209      27,517    SH   DEFINED              23       27,517    0         -
SINCLAIR BROADCAST GROUP INC COMMON 829226109   $     454      59,800    SH   DEFINED            5,15       59,800    0         -
SINOPEC SHANGHAI-SPONS ADR   COMMON 82935M109   $   5,778     169,496    SH   DEFINED              23      169,496    0         -
SIRONA DENTAL SYSTEMS        COMMON 82966C103   $      30       1,171    SH   DEFINED              23        1,171    0         -
SIRONA DENTAL SYSTEMS        COMMON 82966C103   $   1,636      63,100    SH   DEFINED               3       63,100    0         -
SIRIUS SATELLITE RADIO INC   COMMON 82966U103   $       9       4,800    SH   DEFINED              22          500    0       4,300
SIRIUS SATELLITE RADIO INC   COMMON 82966U103   $     672     350,167    SH   DEFINED              23      350,167    0         -
SIRIUS SATELLITE RADIO INC   COMMON 82966U103   $     857     446,374    SH   DEFINED              24      446,374    0         -
SIRIUS SATELLITE RADIO INC   COMMON 82966U103   $       6       3,020    SH   DEFINED               5        2,520    0         500
SIRIUS SATELLITE RADIO (SIRI)CONVERT82966UAD5   $       3       4,000    SH   DEFINED              14        4,000    0         -
SIRF TECHNOLOGY HOLDINGS INC COMMON 82967H101       $ -             5    SH   DEFINED              22          -      0           5
SIRF TECHNOLOGY HOLDINGS INC COMMON 82967H101   $      31       7,229    SH   DEFINED              23        7,229    0         -
SIRF TECHNOLOGY HOLDINGS INC COMMON 82967H101   $      42       9,625    SH   DEFINED               5          -      0       9,625
SIX FLAGS INC                COMMON 83001P109   $       2       1,775    SH   DEFINED              22          -      0       1,775
SIX FLAGS INC                COMMON 83001P109   $     132     115,112    SH   DEFINED              23      115,112    0         -
SKECHERS USA INC CL A        COMMON 830566105   $     259      13,107    SH   DEFINED              23       13,107    0         -
SKECHERS USA INC CL A        COMMON 830566105   $     156       7,880    SH   DEFINED               5        1,980    0       5,900
SKILLED HEALTHCARE GROU-CL A COMMON 83066R107   $   7,377     549,674    SH   DEFINED               1      549,674    0         -
SKILLED HEALTHCARE GROU-CL A COMMON 83066R107   $   3,035     226,175    SH   DEFINED               2       32,900    0     193,275
SKILLED HEALTHCARE GROU-CL A COMMON 83066R107   $      94       7,012    SH   DEFINED              23        7,012    0         -
SKYLINE CORP                 COMMON 830830105   $     238      10,110    SH   DEFINED              23       10,110    0         -
SKYWEST INC                  COMMON 830879102   $   6,396     505,585    SH   DEFINED              14      382,385    0     118,100
SKYWEST INC                  COMMON 830879102   $     161      12,700    SH   DEFINED            14,7          -      0      12,700
SKYWEST INC                  COMMON 830879102   $     446      35,274    SH   DEFINED              23       35,274    0         -
SKYWEST INC                  COMMON 830879102   $       1         110    SH   DEFINED              24          110    0         -
SKYWEST INC                  COMMON 830879102   $      68       5,345    SH   DEFINED               5        1,370    0       3,975
SKYWEST INC                  COMMON 830879102   $     797      63,000    SH   DEFINED            5,15       63,000    0         -
SKYWEST INC                  COMMON 830879102   $     116       9,200    SH   DEFINED               8        9,200    0         -
SKYWEST INC                  COMMON 830879102   $      33       2,600    SH   DEFINED            8,20        2,600    0         -
SKYWORKS SOLUTIONS INC       COMMON 83088M102   $   5,503     557,500    SH   DEFINED              14      391,500    0     166,000
SKYWORKS SOLUTIONS INC       COMMON 83088M102   $   2,278     230,842    SH   DEFINED              23      230,842    0         -
SKYWORKS SOLUTIONS INC       COMMON 83088M102   $     569      57,600    SH   DEFINED            5,15       57,600    0         -
SKYWORKS SOLUTIONS INC       COMMON 83088M102   $   1,266     128,300    SH   DEFINED               8      128,300    0         -
SKYWORKS SOLUTIONS INC       COMMON 83088M102   $     346      35,100    SH   DEFINED            8,20       35,100    0         -
SKILLSOFT PLC ADR            COMMON 830928107   $      19       2,071    SH   DEFINED              23        2,071    0         -
SMART BALANCE INC            COMMON 83169Y108   $       5         548    SH   DEFINED              23          548    0         -
SMITH & WESSON HOLDING CORP  COMMON 831756101   $       1         262    SH   DEFINED              23          262    0         -
SMITH & NEPHEW PLC ADR       COMMON 83175M205   $   1,515      27,680    SH   DEFINED              23       27,680    0         -
SMITH & NEPHEW PLC ADR       COMMON 83175M205   $       4          74    SH   DEFINED               4           74    0         -
SMITH AO                     COMMON 831865209   $   1,585      48,264    SH   DEFINED              23       48,264    0         -
SMITH AO                     COMMON 831865209   $     108       3,275    SH   DEFINED               5          575    0       2,700
SMITH INTERNATIONAL INC      COMMON 832110100   $     241       2,900    SH   DEFINED              14        1,900    0         -
SMITH INTERNATIONAL INC      COMMON 832110100   $   7,691      92,510    SH   DEFINED              22       68,940    0      23,570
SMITH INTERNATIONAL INC      COMMON 832110100   $     578       6,950    SH   DEFINED              23        6,950    0         -
SMITH INTERNATIONAL INC      COMMON 832110100   $       8          98    SH   DEFINED              24           98    0         -
SMITH INTERNATIONAL INC      COMMON 832110100   $   4,562      54,866    SH   DEFINED               5       41,262    0      13,604
SMITH INTERNATIONAL INC      COMMON 832110100   $     344       4,134    SH   DEFINED               7        4,134    0         -
SMITH MICRO SOFTWARE INC     COMMON 832154108   $       2         264    SH   DEFINED              23          264    0         -
SMITHFIELD FOODS INC         COMMON 832248108   $      39       1,940    SH   DEFINED              22          -      0       1,940
SMITHFIELD FOODS INC         COMMON 832248108   $     403      20,249    SH   DEFINED              23       20,249    0         -
SMITHFIELD FOODS INC         COMMON 832248108   $       9         446    SH   DEFINED              24          446    0         -
SMITHFIELD FOODS INC         COMMON 832248108   $      38       1,895    SH   DEFINED               5        1,710    0         185
SMITHTOWN BANCORP INC        COMMON 832449102   $       1          86    SH   DEFINED              23           86    0         -
JM SMUCKER CO                COMMON 832696405   $      23         557    SH   DEFINED              22          182    0         375





JM SMUCKER CO                COMMON 832696405   $   2,673      65,774    SH   DEFINED              23       65,774    0         -
JM SMUCKER CO                COMMON 832696405   $       3          78    SH   DEFINED              24           78    0         -
JM SMUCKER CO                COMMON 832696405   $      26         648    SH   DEFINED               5          530    0         118
SMURFIT-STONE CONTAINER CORP COMMON 832727101   $   1,758     432,019    SH   DEFINED               1      432,019    0         -
SMURFIT-STONE CONTAINER CORP COMMON 832727101   $       2         600    SH   DEFINED              14          600    0         -
SMURFIT-STONE CONTAINER CORP COMMON 832727101   $     191      47,006    SH   DEFINED              23       47,006    0         -
SMURFIT-STONE CONTAINER CORP COMMON 832727101   $       4         972    SH   DEFINED              24          972    0         -
SNAP-ON INC                  COMMON 833034101   $  22,638     435,264    SH   DEFINED               1      435,264    0         -
SNAP-ON INC                  COMMON 833034101   $     213       4,100    SH   DEFINED              14        4,100    0         -
SNAP-ON INC                  COMMON 833034101   $   3,978      76,481    SH   DEFINED               2       30,095    0      46,386
SNAP-ON INC                  COMMON 833034101   $      43         820    SH   DEFINED              22          -      0         820
SNAP-ON INC                  COMMON 833034101   $   1,112      21,372    SH   DEFINED              23       21,372    0         -
SNAP-ON INC                  COMMON 833034101   $       4          74    SH   DEFINED              24           74    0         -
SOAPSTONE NETWORKS INC       COMMON 833570104   $     167      31,263    SH   DEFINED              23       31,263    0         -
SOCIEDAD QUIMICA MINERA DE
CHI                          COMMON 833635105   $  40,836     876,313    SH   DEFINED              23      876,313    0         -
SOHU.COM INC                 COMMON 83408W103   $   4,071      57,800    SH   DEFINED               1       57,800    0         -
SOHU.COM INC                 COMMON 83408W103   $     217       3,077    SH   DEFINED              11        3,077    0         -
SOHU.COM INC                 COMMON 83408W103   $  11,757     166,903    SH   DEFINED              14      125,603    0      39,800
SOHU.COM INC                 COMMON 83408W103   $   1,219      17,300    SH   DEFINED            14,7          -      0      17,300
SOHU.COM INC                 COMMON 83408W103   $  12,255     173,977    SH   DEFINED              23      173,977    0         -
SOHU.COM INC                 COMMON 83408W103   $   1,197      17,000    SH   DEFINED            5,15       17,000    0         -
SOHU.COM INC                 COMMON 83408W103   $     634       9,000    SH   DEFINED               8        9,000    0         -
SOHU.COM INC                 COMMON 83408W103   $     176       2,500    SH   DEFINED            8,20        2,500    0         -
SOLARFUN POWER HOLD-SPON
ADR                          COMMON 83415U108   $   2,696     154,047    SH   DEFINED              23      154,047    0         -
SOLERA HOLDINGS INC          COMMON 83421A104   $  61,834   2,235,499    SH   DEFINED               1    2,235,499    0         -
SOLERA HOLDINGS INC          COMMON 83421A104   $   2,257      81,600    SH   DEFINED              14       46,200    0      35,400
SOLERA HOLDINGS INC          COMMON 83421A104   $   4,101     148,263    SH   DEFINED               2       14,311    0     133,952
SOLERA HOLDINGS INC          COMMON 83421A104   $   2,639      95,418    SH   DEFINED              23       95,418    0         -
SOLERA HOLDINGS INC          COMMON 83421A104   $     301      10,900    SH   DEFINED            5,15       10,900    0         -
SOLERA HOLDINGS INC          COMMON 83421A104   $     130       4,700    SH   DEFINED               8        4,700    0         -
SOLERA HOLDINGS INC          COMMON 83421A104   $      36       1,300    SH   DEFINED            8,20        1,300    0         -
SOLITARIO EXPLORATION &
ROYALT                       COMMON 83422R106   $   3,780     767,000    SH   DEFINED               1      767,000    0         -
SOLUTIA INC                  COMMON 834376501       $ -             3    SH   DEFINED              22          -      0           3
SOMANETICS CORP              COMMON 834445405   $       3         118    SH   DEFINED              23          118    0         -
SOMAXON PHARMACEUTICALS INC  COMMON 834453102       $ -            48    SH   DEFINED              23           48    0         -
SONESTA INTL HOTELS  -CL A   COMMON 835438409   $     140       5,138    SH   DEFINED               5          -      0       5,138
SONIC CORP                   COMMON 835451105   $     774      52,313    SH   DEFINED              22          -      0      52,313
SONIC CORP                   COMMON 835451105   $      89       6,009    SH   DEFINED              23        6,009    0         -
SONIC CORP                   COMMON 835451105   $     773      52,203    SH   DEFINED               5          -      0      52,203
SONIC AUTOMOTIVE INC         COMMON 83545G102   $     175      13,606    SH   DEFINED              23       13,606    0         -
SONIC AUTOMOTIVE INC         COMMON 83545G102   $       3         266    SH   DEFINED              24          266    0         -
SONIC INNOVATIONS INC        COMMON 83545M109   $       1         234    SH   DEFINED              23          234    0         -
SONIC SOLUTIONS              COMMON 835460106   $       3         500    SH   DEFINED              22          500    0         -
SONIC SOLUTIONS              COMMON 835460106   $       1         228    SH   DEFINED              23          228    0         -
SONICWALL INC                COMMON 835470105   $   3,472     538,300    SH   DEFINED              14      328,300    0     210,000
SONICWALL INC                COMMON 835470105   $     492      76,340    SH   DEFINED              23       76,340    0         -
SONICWALL INC                COMMON 835470105   $      97      15,105    SH   DEFINED               5        3,805    0      11,300
SONICWALL INC                COMMON 835470105   $     579      89,800    SH   DEFINED            5,15       89,800    0         -
SONOCO PRODUCTS CO           COMMON 835495102   $       6         200    SH   DEFINED              22          -      0         200
SONOCO PRODUCTS CO           COMMON 835495102   $     925      29,884    SH   DEFINED              23       29,884    0         -
SONOCO PRODUCTS CO           COMMON 835495102   $       6         193    SH   DEFINED              24          193    0         -
SONOCO PRODUCTS CO           COMMON 835495102   $       6         201    SH   DEFINED               5          201    0         -
SONOSITE INC                 COMMON 83568G104   $       4         145    SH   DEFINED              23          145    0         -
SONOSITE INC                 COMMON 83568G104       $ -             6    SH   DEFINED               5          -      0           6
SONY CORPORATION ADR         COMMON 835699307   $   2,980      68,141    SH   DEFINED               1       68,141    0         -
SONY CORPORATION ADR         COMMON 835699307   $   8,197     187,400    SH   DEFINED            1,12      187,400    0         -
SONY CORPORATION ADR         COMMON 835699307   $  57,581   1,316,432    SH   DEFINED              11    1,309,632    0       6,800
SONY CORPORATION ADR         COMMON 835699307   $     232       5,314    SH   DEFINED            13,2          -      0       5,314
SONY CORPORATION ADR         COMMON 835699307   $     951      21,745    SH   DEFINED              14       21,745    0         -
SONY CORPORATION ADR         COMMON 835699307   $     267       6,100    SH   DEFINED           19,14        6,100    0         -
SONY CORPORATION ADR         COMMON 835699307   $     456      10,415    SH   DEFINED              22          -      0      10,415
SONY CORPORATION ADR         COMMON 835699307   $       3          70    SH   DEFINED               4           70    0         -
SONY CORPORATION ADR         COMMON 835699307   $      26         600    SH   DEFINED               5          -      0         600
SOTHEBYS                     COMMON 835898107   $      63       2,405    SH   DEFINED              23        2,405    0         -
SOTHEBYS                     COMMON 835898107   $     127       4,835    SH   DEFINED               5        1,160    0       3,675
SONUS NETWORKS INC           COMMON 835916107   $      58      17,033    SH   DEFINED              23       17,033    0         -
SOURCE INTERLINK COS INC     COMMON 836151209   $     145      65,654    SH   DEFINED              23       65,654    0         -
SOURCEFIRE INC               COMMON 83616T108       $ -            64    SH   DEFINED              23           64    0         -
SOURCEFORGE INC              COMMON 83616W101   $       1         599    SH   DEFINED              23          599    0         -
SOUTH FINANCIAL GROUP        COMMON 837841105   $   1,828     466,322    SH   DEFINED              23      466,322    0         -
SOUTH FINANCIAL GROUP        COMMON 837841105   $       1         203    SH   DEFINED              24          203    0         -
SOUTH JERSEY INDUSTRIES      COMMON 838518108   $   2,236      59,844    SH   DEFINED              23       59,844    0         -
SOUTH JERSEY INDUSTRIES      COMMON 838518108   $     306       8,200    SH   DEFINED               5          -      0       8,200
SOUTHCOAST FINANCIAL CORP    COMMON 84129R100   $       2         134    SH   DEFINED              23          134    0         -
SOUTHERN CO                  COMMON 842587107   $   6,600     189,000    SH   DEFINED               1      189,000    0         -
SOUTHERN CO                  COMMON 842587107   $      73       2,100    SH   DEFINED           10,14        2,100    0         -
SOUTHERN CO                  COMMON 842587107   $       3         100    SH   DEFINED              13          100    0         -
SOUTHERN CO                  COMMON 842587107   $  10,067     288,300    SH   DEFINED              14      203,500    0      68,500
SOUTHERN CO                  COMMON 842587107   $     300       8,600    SH   DEFINED           14,13          -      0       8,600
SOUTHERN CO                  COMMON 842587107   $     971      27,800    SH   DEFINED            14,7          -      0      27,800
SOUTHERN CO                  COMMON 842587107   $       3         100    SH   DEFINED           20,14          -      0         -
SOUTHERN CO                  COMMON 842587107   $   1,032      29,567    SH   DEFINED              21       29,567    0         -
SOUTHERN CO                  COMMON 842587107   $   3,033      86,860    SH   DEFINED              22          -      0      86,860
SOUTHERN CO                  COMMON 842587107   $   2,999      85,886    SH   DEFINED              23       85,886    0         -
SOUTHERN CO                  COMMON 842587107   $      55       1,588    SH   DEFINED              24        1,588    0         -
SOUTHERN CO                  COMMON 842587107   $   1,371      39,272    SH   DEFINED               5       36,877    0       2,395
SOUTHERN CO                  COMMON 842587107   $     677      19,400    SH   DEFINED            5,15       19,400    0         -
SOUTHERN CO                  COMMON 842587107   $   1,203      34,453    SH   DEFINED               7       34,453    0         -
SOUTHERN CO                  COMMON 842587107   $  19,122     547,585    SH   DEFINED               8      547,585    0         -
SOUTHERN CO                  COMMON 842587107   $     887      25,400    SH   DEFINED            8,14       25,400    0         -
SOUTHERN CO                  COMMON 842587107   $     771      22,072    SH   DEFINED               9       22,072    0         -
SOUTHERN CO                  COMMON 842587107   $     164       4,700    SH   DEFINED            9,14          -      0       4,700
SOUTHERN COMMUNITY FINANCIAL COMMON 842632101   $       1         154    SH   DEFINED              23          154    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $   2,314      21,700    SH   DEFINED            1,15       21,700    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $     746       7,000    SH   DEFINED           10,14        7,000    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $     170       1,594    SH   DEFINED              11        1,594    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $  45,499     426,701    SH   DEFINED              14      273,551    0     132,150
SOUTHERN COPPER CORP         COMMON 84265V105   $   1,802      16,900    SH   DEFINED           14,13          -      0      16,900
SOUTHERN COPPER CORP         COMMON 84265V105   $   1,002       9,400    SH   DEFINED            14,7          -      0       9,400
SOUTHERN COPPER CORP         COMMON 84265V105   $     380       3,561    SH   DEFINED              19        3,561    0         -




SOUTHERN COPPER CORP         COMMON 84265V105   $     377       3,532    SH   DEFINED              21        3,532    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $     107       1,000    SH   DEFINED              22          -      0       1,000
SOUTHERN COPPER CORP         COMMON 84265V105   $   2,031      19,043    SH   DEFINED              23       19,043    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $      32         296    SH   DEFINED              24          296    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $      87         815    SH   DEFINED               5          400    0         415
SOUTHERN COPPER CORP         COMMON 84265V105   $   4,041      37,900    SH   DEFINED            5,15       37,900    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $     693       6,500    SH   DEFINED               6        6,500    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $   1,428      13,393    SH   DEFINED               7       13,393    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $     726       6,804    SH   DEFINED               8        6,804    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $   4,137      38,800    SH   DEFINED            8,14       38,800    0         -
SOUTHERN COPPER CORP         COMMON 84265V105   $     981       9,200    SH   DEFINED            9,14          -      0       9,200
SOUTHERN UNION COMPANY       COMMON 844030106   $      68       2,500    SH   DEFINED              14        2,500    0         -
SOUTHERN UNION COMPANY       COMMON 844030106   $      27       1,000    SH   DEFINED              22        1,000    0         -
SOUTHERN UNION COMPANY       COMMON 844030106   $     216       7,980    SH   DEFINED              23        7,980    0         -
SOUTHERN UNION COMPANY       COMMON 844030106   $       4         132    SH   DEFINED              24          132    0         -
SOUTHSIDE BANCSHARES INC     COMMON 84470P109   $     102       5,505    SH   DEFINED              14        5,505    0         -
SOUTHSIDE BANCSHARES INC     COMMON 84470P109   $       2         120    SH   DEFINED              23          120    0         -
SOUTHSIDE BANCSHARES INC     COMMON 84470P109   $      79       4,305    SH   DEFINED               8        4,305    0         -
SOUTHSIDE BANCSHARES INC     COMMON 84470P109   $      22       1,200    SH   DEFINED            8,20        1,200    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $   1,215      93,200    SH   DEFINED           10,14       93,200    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $      51       3,900    SH   DEFINED              13        3,900    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $  73,274   5,619,140    SH   DEFINED              14    3,671,240    0   1,741,000
SOUTHWEST AIRLINES           COMMON 844741108   $   1,596     122,400    SH   DEFINED           14,13          -      0     122,400
SOUTHWEST AIRLINES           COMMON 844741108   $   3,998     306,600    SH   DEFINED            14,7          -      0     306,600
SOUTHWEST AIRLINES           COMMON 844741108   $     196      15,000    SH   DEFINED           20,14          -      0         -
SOUTHWEST AIRLINES           COMMON 844741108   $      90       6,902    SH   DEFINED              22        1,595    0       5,307
SOUTHWEST AIRLINES           COMMON 844741108   $     902      69,181    SH   DEFINED              23       69,181    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $      13       1,024    SH   DEFINED              24        1,024    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $  61,309   4,701,600    SH   DEFINED               3    4,701,600    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $   1,027      78,737    SH   DEFINED               5       24,035    0      54,702
SOUTHWEST AIRLINES           COMMON 844741108   $   3,581     274,600    SH   DEFINED            5,15      274,600    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $   1,672     128,240    SH   DEFINED               7      128,240    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $     831      63,700    SH   DEFINED               8       63,700    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $   9,185     704,400    SH   DEFINED            8,14      704,400    0         -
SOUTHWEST AIRLINES           COMMON 844741108   $     868      66,600    SH   DEFINED            9,14          -      0      66,600
SOUTHWEST BANCORP INC/OKLA   COMMON 844767103   $     182      15,853    SH   DEFINED              23       15,853    0         -
SOUTHWEST GAS CORP           COMMON 844895102   $     253       8,500    SH   DEFINED              14        8,500    0         -
SOUTHWEST GAS CORP           COMMON 844895102   $   1,798      60,471    SH   DEFINED              23       60,471    0         -
SOUTHWEST GAS CORP           COMMON 844895102   $       4         118    SH   DEFINED              24          118    0         -
SOUTHWEST GAS CORP           COMMON 844895102   $     108       3,630    SH   DEFINED               5          905    0       2,725
SOUTHWEST GAS CORP           COMMON 844895102   $      45       1,500    SH   DEFINED            5,15        1,500    0         -
SOUTHWEST WATER CO           COMMON 845331107   $       5         500    SH   DEFINED              22          -      0         500
SOUTHWEST WATER CO           COMMON 845331107   $  22,074   2,203,018    SH   DEFINED              23    2,203,018    0         -
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $ 134,915   2,833,746    SH   DEFINED               1    2,833,746    0         -
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $  10,950     230,000    SH   DEFINED            13,2          -      0     230,000
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $   3,892      81,742    SH   DEFINED               2        9,401    0      72,341
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $  31,957     671,226    SH   DEFINED              22      268,236    0     402,990
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $  11,663     244,978    SH   DEFINED              23      244,978    0         -
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $       5         112    SH   DEFINED              24          112    0         -
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $  17,561     368,848    SH   DEFINED               5      307,715    0      61,133
SOUTHWESTERN ENERGY COMPANY  COMMON 845467109   $     333       6,984    SH   DEFINED               7        6,984    0         -
SOVEREIGN BANCORP INC        COMMON 845905108   $   7,718   1,048,638    SH   DEFINED              11      256,338    0     792,300
SOVEREIGN BANCORP INC        COMMON 845905108   $     815     110,781    SH   DEFINED              14      109,581    0       1,200
SOVEREIGN BANCORP INC        COMMON 845905108   $     184      25,000    SH   DEFINED            14,7          -      0      25,000
SOVEREIGN BANCORP INC        COMMON 845905108   $       8       1,050    SH   DEFINED           18,11        1,050    0         -
SOVEREIGN BANCORP INC        COMMON 845905108   $     171      23,300    SH   DEFINED           18,14          -      0      23,300
SOVEREIGN BANCORP INC        COMMON 845905108   $     760     103,200    SH   DEFINED           19,14       59,300    0      43,900
SOVEREIGN BANCORP INC        COMMON 845905108   $     116      15,750    SH   DEFINED              22          -      0      15,750
SOVEREIGN BANCORP INC        COMMON 845905108   $     581      78,947    SH   DEFINED              23       78,947    0         -
SOVEREIGN BANCORP INC        COMMON 845905108   $      12       1,696    SH   DEFINED              24        1,696    0         -
SOVEREIGN BANCORP INC        COMMON 845905108   $      35       4,748    SH   DEFINED               5          -      0       4,748
SOVEREIGN BANCORP INC        COMMON 845905108   $     559      76,000    SH   DEFINED            8,14          -      0      76,000
SOVRAN SELF STORAGE INC REIT COMMON 84610H108   $     702      16,900    SH   DEFINED              14       16,900    0         -
SOVRAN SELF STORAGE INC REIT COMMON 84610H108   $     160       3,850    SH   DEFINED              23        3,850    0         -
SOVRAN SELF STORAGE INC REIT COMMON 84610H108   $     166       3,995    SH   DEFINED               5        1,470    0       2,525
SPANISH BROADCASTING SYS INC COMMON 846425882   $      46      40,008    SH   DEFINED              23       40,008    0         -
SPANSION INC                 COMMON 84649R101   $     194      86,099    SH   DEFINED              23       86,099    0         -
SPANSION INC                 COMMON 84649R101   $       4       1,583    SH   DEFINED              24        1,583    0         -
SPARTAN MOTORS INC           COMMON 846819100   $       2         286    SH   DEFINED              23          286    0         -
SPARTAN STORES INC           COMMON 846822104   $     147       6,371    SH   DEFINED              23        6,371    0         -
SPARTAN STORES INC           COMMON 846822104   $     150       6,530    SH   DEFINED               5        1,630    0       4,900
SPARTECH CORP                COMMON 847220209   $     437      46,300    SH   DEFINED              14       46,300    0         -
SPARTECH CORP                COMMON 847220209   $     101      10,752    SH   DEFINED              23       10,752    0         -
SPARTECH CORP                COMMON 847220209   $      73       7,700    SH   DEFINED            5,15        7,700    0         -
SPECTRA ENERGY CORP          COMMON 847560109   $      26         900    SH   DEFINED              14          900    0         -
SPECTRA ENERGY CORP          COMMON 847560109   $   1,131      39,357    SH   DEFINED              22          -      0      39,357
SPECTRA ENERGY CORP          COMMON 847560109   $     891      30,996    SH   DEFINED              23       30,996    0         -
SPECTRA ENERGY CORP          COMMON 847560109   $      16         560    SH   DEFINED              24          560    0         -
SPECTRA ENERGY CORP          COMMON 847560109   $     349      12,143    SH   DEFINED               5        5,894    0       6,249
SPECTRA ENERGY CORP          COMMON 847560109   $     310      10,782    SH   DEFINED               7       10,782    0         -
SPECTRA ENERGY PARTNERS LP   COMMON 84756N109   $     183       7,413    SH   DEFINED               5        5,000    0       2,413
SPECTRANETICS CORP           COMMON 84760C107   $       3         274    SH   DEFINED              23          274    0         -
SPECTRUM CONTROL INC         COMMON 847615101   $     218      26,563    SH   DEFINED              23       26,563    0         -
SPECTRUM BRANDS INC          COMMON 84762L105   $     132      51,907    SH   DEFINED              23       51,907    0         -
SPEEDWAY MOTORSPORTS INC     COMMON 847788106   $     405      19,848    SH   DEFINED              23       19,848    0         -
SPHERION CORP                COMMON 848420105   $   2,693     582,800    SH   DEFINED              14      363,800    0     219,000
SPHERION CORP                COMMON 848420105   $     300      64,913    SH   DEFINED              23       64,913    0         -
SPHERION CORP                COMMON 848420105   $     441      95,400    SH   DEFINED            5,15       95,400    0         -
SPIRE CORP                   COMMON 848565107   $   3,034     243,143    SH   DEFINED              23      243,143    0         -
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $  88,847   4,632,271    SH   DEFINED               1    4,632,271    0         -
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $   8,080     421,250    SH   DEFINED               2      421,250    0         -
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $      14         730    SH   DEFINED              22          -      0         730
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $     112       5,839    SH   DEFINED              23        5,839    0         -
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $       2         107    SH   DEFINED              24          107    0         -
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $      61       3,158    SH   DEFINED               5        1,800    0       1,358
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $  13,132     684,666    SH   DEFINED               8      684,666    0         -
SPIRIT AEROSYSTEMS HOLD-CL A COMMON 848574109   $   1,636      85,285    SH   DEFINED             8,2       85,285    0         -
SPORT SUPPLY GROUP INC       COMMON 84916A104   $     192      18,720    SH   DEFINED              23       18,720    0         -
SPREADTRUM COMMUNICATI-ADR   COMMON 849415203   $     496      99,345    SH   DEFINED              23       99,345    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $     885      93,200    SH   DEFINED           10,14       93,200    0         -



SPRINT NEXTEL CORP           COMMON 852061100   $      87       9,200    SH   DEFINED              13        9,200    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $  70,167   7,386,020    SH   DEFINED              14    3,688,820    0   3,519,500
SPRINT NEXTEL CORP           COMMON 852061100   $     412      43,400    SH   DEFINED           14,13          -      0      43,400
SPRINT NEXTEL CORP           COMMON 852061100   $   3,773     397,200    SH   DEFINED            14,7          -      0     397,200
SPRINT NEXTEL CORP           COMMON 852061100   $     211      22,200    SH   DEFINED           20,14          -      0         -
SPRINT NEXTEL CORP           COMMON 852061100   $     414      43,570    SH   DEFINED              22        3,530    0      40,040
SPRINT NEXTEL CORP           COMMON 852061100   $   6,134     645,648    SH   DEFINED              23      645,648    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $     129      13,549    SH   DEFINED              24       13,549    0         -
SPRINT NEXTEL CORP           COMMON 852061100       $ -            51    SH   DEFINED               4           51    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $     271      28,524    SH   DEFINED               5          -      0      28,524
SPRINT NEXTEL CORP           COMMON 852061100   $     943      99,300    SH   DEFINED            5,15       99,300    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $   1,384     145,639    SH   DEFINED               7      145,639    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $     878      92,400    SH   DEFINED               8       92,400    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $   5,501     579,000    SH   DEFINED            8,14      579,000    0         -
SPRINT NEXTEL CORP           COMMON 852061100   $     219      23,100    SH   DEFINED            9,14          -      0      23,100
STAGE STORES INC             COMMON 85254C305   $     137      11,697    SH   DEFINED              23       11,697    0         -
STAMPS.COM INC               COMMON 852857200   $     153      12,253    SH   DEFINED              23       12,253    0         -
STANCORP FINL GROUP INC      COMMON 852891100   $  35,455     755,012    SH   DEFINED               1      755,012    0         -
STANCORP FINL GROUP INC      COMMON 852891100   $   1,912      40,719    SH   DEFINED              23       40,719    0         -
STANCORP FINL GROUP INC      COMMON 852891100   $       3          69    SH   DEFINED              24           69    0         -
STANDARD MICROSYSTEMS CORP   COMMON 853626109   $   2,283      84,081    SH   DEFINED              23       84,081    0         -
STANDARD MOTOR PRODS         COMMON 853666105   $     261      32,000    SH   DEFINED              14       32,000    0         -
STANDARD MOTOR PRODS         COMMON 853666105   $      81       9,927    SH   DEFINED              23        9,927    0         -
STANDARD MOTOR PRODS         COMMON 853666105   $      48       5,900    SH   DEFINED            5,15        5,900    0         -
STANDARD-PACIFIC CORP        COMMON 85375C101   $   1,508     446,100    SH   DEFINED              14      355,800    0      90,300
STANDARD-PACIFIC CORP        COMMON 85375C101   $     173      51,276    SH   DEFINED              23       51,276    0         -
STANDARD-PACIFIC CORP        COMMON 85375C101   $       3         994    SH   DEFINED              24          994    0         -
STANDARD-PACIFIC CORP        COMMON 85375C101   $     263      77,700    SH   DEFINED            5,15       77,700    0         -
STANDARD PARKING CORP        COMMON 853790103   $   1,141      62,700    SH   DEFINED              14       39,000    0      23,700
STANDARD PARKING CORP        COMMON 853790103   $     475      26,118    SH   DEFINED              23       26,118    0         -
STANDARD PARKING CORP        COMMON 853790103   $     197      10,800    SH   DEFINED            5,15       10,800    0         -
STANDARD REGISTER CO         COMMON 853887107   $      39       4,100    SH   DEFINED              14        4,100    0         -
STANDARD REGISTER CO         COMMON 853887107   $     100      10,572    SH   DEFINED              23       10,572    0         -
STANDEX INTERNATIONAL CORP   COMMON 854231107   $     187       9,000    SH   DEFINED              14        9,000    0         -
STANDEX INTERNATIONAL CORP   COMMON 854231107   $       9         444    SH   DEFINED              22          444    0         -
STANDEX INTERNATIONAL CORP   COMMON 854231107   $     291      14,049    SH   DEFINED              23       14,049    0         -
STANDEX INTERNATIONAL CORP   COMMON 854231107   $      12         600    SH   DEFINED               5          600    0         -
STANDEX INTERNATIONAL CORP   COMMON 854231107   $      39       1,900    SH   DEFINED            5,15        1,900    0         -
STANLEY FURNITURE CO INC     COMMON 854305208   $      35       3,202    SH   DEFINED              23        3,202    0         -
STANLEY INC                  COMMON 854532108   $       2          46    SH   DEFINED              22          -      0          46
STANLEY INC                  COMMON 854532108   $   1,232      36,743    SH   DEFINED              23       36,743    0         -
STANLEY WORKS                COMMON 854616109   $      95       2,117    SH   DEFINED              22          700    0       1,417
STANLEY WORKS                COMMON 854616109   $   3,110      69,367    SH   DEFINED              23       69,367    0         -
STANLEY WORKS                COMMON 854616109   $     139       3,108    SH   DEFINED              24        3,108    0         -
STANLEY WORKS                COMMON 854616109   $     405       9,040    SH   DEFINED               5          -      0       9,040
STANLEY WORKS                COMMON 854616109   $      69       1,535    SH   DEFINED               7        1,535    0         -
STANTEC INC                  COMMON 85472N109   $  14,491     561,286    SH   DEFINED              23      561,286    0         -
STANTEC INC                  COMMON 85472N109   $     240       9,300    SH   DEFINED              24        9,300    0         -
STAPLES INC                  COMMON 855030102   $   6,468     272,347    SH   DEFINED              22      237,172    0      35,175
STAPLES INC                  COMMON 855030102   $     978      41,166    SH   DEFINED              23       41,166    0         -
STAPLES INC                  COMMON 855030102   $   3,098     130,454    SH   DEFINED              24      130,454    0         -
STAPLES INC                  COMMON 855030102   $  50,076   2,108,445    SH   DEFINED               5       60,715    0   2,047,730
STAPLES INC                  COMMON 855030102   $     334      14,056    SH   DEFINED               7       14,056    0         -
STAR GAS PARTNERS L.P.       COMMON 85512C105   $     208      74,577    SH   DEFINED              23       74,577    0         -
STARBUCKS CORP               COMMON 855244109   $   4,991     317,117    SH   DEFINED              22       17,300    0     299,817
STARBUCKS CORP               COMMON 855244109   $     501      31,848    SH   DEFINED              23       31,848    0         -
STARBUCKS CORP               COMMON 855244109   $   4,391     278,979    SH   DEFINED              24      278,979    0         -
STARBUCKS CORP               COMMON 855244109   $      44       2,780    SH   DEFINED               5           80    0       2,700
STARBUCKS CORP               COMMON 855244109   $     234      14,860    SH   DEFINED               7       14,860    0         -
STARENT NETWORKS CORP        COMMON 85528P108   $   7,886     626,832    SH   DEFINED               1      626,832    0         -
STARENT NETWORKS CORP        COMMON 85528P108   $   6,399     508,678    SH   DEFINED               2      508,678    0         -
STARENT NETWORKS CORP        COMMON 85528P108   $     784      62,333    SH   DEFINED               5          -      0      62,333
STARRETT (L.S.) CO - CL A    COMMON 855668109   $     277      11,639    SH   DEFINED              23       11,639    0         -
STARTEK INC                  COMMON 85569C107   $      49       5,166    SH   DEFINED              23        5,166    0         -
STATE AUTO FINANCIAL CORP    COMMON 855707105   $     529      22,093    SH   DEFINED              23       22,093    0         -
STATE BANCORP INC            COMMON 855716106   $       2         122    SH   DEFINED              23          122    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $  29,394     733,571    SH   DEFINED               1      733,571    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $  10,859     271,000    SH   DEFINED            1,15      271,000    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $   1,695      42,298    SH   DEFINED            13,2          -      0      42,298
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $  19,452     485,462    SH   DEFINED              14      249,762    0     208,700
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $     357       8,900    SH   DEFINED           18,14        8,900    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $     100       2,500    SH   DEFINED           19,14        2,500    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $   1,803      45,000    SH   DEFINED            2,15       45,000    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $      12         300    SH   DEFINED              22          -      0         300
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $   1,352      33,750    SH   DEFINED              23       33,750    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $      10         246    SH   DEFINED              24          246    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $     180       4,500    SH   DEFINED            3,15        1,300    0       3,200
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $     193       4,810    SH   DEFINED               5          -      0       4,810
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $   1,430      35,684    SH   DEFINED            5,15       35,684    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $      32         800    SH   DEFINED            6,14          800    0         -
STARWOOD HOTELS & RESORTS    COMMON 85590A401   $     289       7,200    SH   DEFINED            8,14          -      0       7,200
STATE STREET CORP            COMMON 857477103   $  23,644     369,495    SH   DEFINED               1      369,495    0         -
STATE STREET CORP            COMMON 857477103   $   3,059      47,800    SH   DEFINED            1,15       47,800    0         -
STATE STREET CORP            COMMON 857477103   $   6,051      94,565    SH   DEFINED             1,9       94,565    0         -
STATE STREET CORP            COMMON 857477103   $   1,721      26,900    SH   DEFINED           10,14       26,900    0         -
STATE STREET CORP            COMMON 857477103   $      77       1,200    SH   DEFINED              13        1,200    0         -
STATE STREET CORP            COMMON 857477103   $  99,089   1,548,500    SH   DEFINED              14    1,040,100    0     446,800
STATE STREET CORP            COMMON 857477103   $   2,540      39,700    SH   DEFINED           14,13          -      0      39,700
STATE STREET CORP            COMMON 857477103   $   5,222      81,600    SH   DEFINED            14,7          -      0      81,600
STATE STREET CORP            COMMON 857477103   $     256       4,000    SH   DEFINED           20,14          -      0         -
STATE STREET CORP            COMMON 857477103   $   1,295      20,245    SH   DEFINED              21       20,245    0         -
STATE STREET CORP            COMMON 857477103   $     424       6,632    SH   DEFINED              22          250    0       6,382
STATE STREET CORP            COMMON 857477103   $  13,159     205,641    SH   DEFINED              23      205,641    0         -
STATE STREET CORP            COMMON 857477103   $     833      13,020    SH   DEFINED              24       13,020    0         -
STATE STREET CORP            COMMON 857477103       $ -             1    SH   DEFINED               3            1    0         -
STATE STREET CORP            COMMON 857477103   $   1,259      19,679    SH   DEFINED               5        8,278    0      11,401
STATE STREET CORP            COMMON 857477103   $   5,727      89,500    SH   DEFINED            5,15       89,500    0         -
STATE STREET CORP            COMMON 857477103   $   3,220      50,327    SH   DEFINED               7       50,327    0         -
STATE STREET CORP            COMMON 857477103   $   2,417      37,768    SH   DEFINED               8       37,768    0         -
STATE STREET CORP            COMMON 857477103   $   9,451     147,700    SH   DEFINED            8,14      147,700    0         -




STATE STREET CORP            COMMON 857477103   $   1,382      21,600    SH   DEFINED            9,14          -      0      21,600
STATION CASINOS INC          COMMON 857689103       $ -            80    SH   DEFINED              22          -      0          80
STATOILHYDRO ASA ADR         COMMON 85771P102   $  50,438   1,349,344    SH   DEFINED              11    1,343,034    0       6,310
STATOILHYDRO ASA ADR         COMMON 85771P102   $     629      16,817    SH   DEFINED              14       16,817    0         -
STATOILHYDRO ASA ADR         COMMON 85771P102   $     204       5,450    SH   DEFINED           19,14        5,450    0         -
THE STEAK N SHAKE COMPANY    COMMON 857873103   $      54       8,582    SH   DEFINED              23        8,582    0         -
STEEL DYNAMICS INC           COMMON 858119100   $  22,845     584,716    SH   DEFINED               1      584,716    0         -
STEEL DYNAMICS INC           COMMON 858119100   $   1,262      32,311    SH   DEFINED               2        3,768    0      28,543
STEEL DYNAMICS INC           COMMON 858119100   $   1,190      30,458    SH   DEFINED              23       30,458    0         -
STEEL DYNAMICS INC           COMMON 858119100   $   2,096      53,641    SH   DEFINED              24       53,641    0         -
STEEL DYNAMICS INC           COMMON 858119100   $       7         184    SH   DEFINED               5          184    0         -
STEEL DYNAMICS INC           COMMON 858119100   $     113       2,898    SH   DEFINED               7        2,898    0         -
STEELCASE INC                COMMON 858155203   $   1,848     184,200    SH   DEFINED              14       68,500    0     115,000
STEELCASE INC                COMMON 858155203   $      95       9,481    SH   DEFINED              23        9,481    0         -
STEELCASE INC                COMMON 858155203   $       2         183    SH   DEFINED              24          183    0         -
STEIN MART INC               COMMON 858375108   $      80      17,823    SH   DEFINED              23       17,823    0         -
STEINWAY MUSICAL INSTRS INC  COMMON 858495104   $      11         400    SH   DEFINED              22          -      0         400
STEINWAY MUSICAL INSTRS INC  COMMON 858495104   $     264      10,016    SH   DEFINED              23       10,016    0         -
STELLARONE CORP              COMMON 85856G100   $       6         400    SH   DEFINED              14          400    0         -
STELLARONE CORP              COMMON 85856G100   $      64       4,398    SH   DEFINED              23        4,398    0         -
STELLARONE CORP              COMMON 85856G100   $      25       1,726    SH   DEFINED               5        1,726    0         -
STEMCELLS INC                COMMON 85857R105   $       1         701    SH   DEFINED              23          701    0         -
STEPAN CO                    COMMON 858586100   $     329       7,203    SH   DEFINED              23        7,203    0         -
STERLING BANCSHARES INC-TX   COMMON 858907108   $   6,826     750,907    SH   DEFINED               1      750,907    0         -
STERLING BANCSHARES INC-TX   COMMON 858907108   $     219      24,050    SH   DEFINED              14       24,050    0         -
STERLING BANCSHARES INC-TX   COMMON 858907108   $   4,047     445,176    SH   DEFINED               2      173,266    0     271,910
STERLING BANCSHARES INC-TX   COMMON 858907108   $      85       9,346    SH   DEFINED              23        9,346    0         -
STERLING BANCSHARES INC-TX   COMMON 858907108   $     142      15,587    SH   DEFINED               5        3,950    0      11,637
STERLING BANCSHARES INC-TX   COMMON 858907108   $      46       5,100    SH   DEFINED            5,15        5,100    0         -
STERICYCLE INC               COMMON 858912108   $   7,474     144,558    SH   DEFINED              22      130,525    0      14,033
STERICYCLE INC               COMMON 858912108   $   3,666      70,906    SH   DEFINED              23       70,906    0         -
STERICYCLE INC               COMMON 858912108   $   1,287      24,903    SH   DEFINED              24       24,903    0         -
STERICYCLE INC               COMMON 858912108   $   5,431     105,047    SH   DEFINED               5       76,563    0      28,484
STERIS CORP                  COMMON 859152100   $   9,494     330,100    SH   DEFINED              14      209,200    0     120,900
STERIS CORP                  COMMON 859152100   $     193       6,709    SH   DEFINED              23        6,709    0         -
STERIS CORP                  COMMON 859152100   $   1,349      46,900    SH   DEFINED            5,15       46,900    0         -
STERIS CORP                  COMMON 859152100   $     552      19,200    SH   DEFINED               8       19,200    0         -
STERIS CORP                  COMMON 859152100   $     152       5,300    SH   DEFINED            8,20        5,300    0         -
STERLING BANCORP NY          COMMON 859158107   $     486      40,700    SH   DEFINED              14       28,100    0      12,600
STERLING BANCORP NY          COMMON 859158107   $       6         478    SH   DEFINED              22          478    0         -
STERLING BANCORP NY          COMMON 859158107   $      43       3,622    SH   DEFINED              23        3,622    0         -
STERLING BANCORP NY          COMMON 859158107   $      81       6,800    SH   DEFINED            5,15        6,800    0         -
STEREOTAXIS INC              COMMON 85916J102   $      16       3,000    SH   DEFINED              22          -      0       3,000
STEREOTAXIS INC              COMMON 85916J102   $       2         322    SH   DEFINED              23          322    0         -
STEREOTAXIS INC              COMMON 85916J102   $   6,347   1,184,200    SH   DEFINED               3    1,184,200    0         -
STEREOTAXIS INC              COMMON 85916J102   $       2         450    SH   DEFINED               5          450    0         -
STERLING CONSTRUCTION CO     COMMON 859241101   $     246      12,398    SH   DEFINED              23       12,398    0         -
STERLING FINL CORP/SPOKANE   COMMON 859319105   $      31       7,465    SH   DEFINED              23        7,465    0         -
STERLITE INDUSTRIES INDI-ADS COMMON 859737207   $     128       5,800    SH   DEFINED              22          -      0       5,800
STEWART ENTERPRISES INC      COMMON 860370105   $     376      52,182    SH   DEFINED              23       52,182    0         -
STEWART INFORMATION SVCS
CORP                         COMMON 860372101   $     211      10,889    SH   DEFINED              23       10,889    0         -
STEWART INFORMATION SVCS
CORP                         COMMON 860372101   $       1          59    SH   DEFINED              24           59    0         -
STIFEL FINANCIAL CORP        COMMON 860630102   $      47       1,367    SH   DEFINED              23        1,367    0         -
STILLWATER MINING COMPANY    COMMON 86074Q102   $       6         500    SH   DEFINED              22          -      0         500
STILLWATER MINING COMPANY    COMMON 86074Q102   $     163      13,804    SH   DEFINED              23       13,804    0         -
STILLWATER MINING COMPANY    COMMON 86074Q102   $     187      15,820    SH   DEFINED               5        3,970    0      11,850
STMICROELECTRONICS NV        COMMON 861012102   $      52       5,010    SH   DEFINED              22          450    0       4,560
STMICROELECTRONICS NV        COMMON 861012102   $       4         416    SH   DEFINED               4          416    0         -
STONE ENERGY CORP            COMMON 861642106   $   2,663      40,400    SH   DEFINED              14       32,000    0       8,400
STONE ENERGY CORP            COMMON 861642106   $  13,771     208,942    SH   DEFINED              23      208,942    0         -
STONE ENERGY CORP            COMMON 861642106   $     475       7,202    SH   DEFINED              24        7,202    0         -
STONE ENERGY CORP            COMMON 861642106   $     409       6,200    SH   DEFINED            5,15        6,200    0         -
STONE ENERGY CORP            COMMON 861642106   $     270       4,100    SH   DEFINED               8        4,100    0         -
STONE ENERGY CORP            COMMON 861642106   $      73       1,100    SH   DEFINED            8,20        1,100    0         -
STONERIDGE INC               COMMON 86183P102   $   1,476      86,500    SH   DEFINED              14       70,600    0      15,900
STONERIDGE INC               COMMON 86183P102   $     354      20,754    SH   DEFINED              23       20,754    0         -
STONERIDGE INC               COMMON 86183P102   $     252      14,800    SH   DEFINED            5,15       14,800    0         -
STONERIDGE INC               COMMON 86183P102   $      56       3,300    SH   DEFINED               8        3,300    0         -
STONERIDGE INC               COMMON 86183P102   $      15         900    SH   DEFINED            8,20          900    0         -
STONEMOR PARTNERS LP         COMMON 86183Q100   $     214      12,265    SH   DEFINED              23       12,265    0         -
STONEMOR PARTNERS LP         COMMON 86183Q100   $      12         700    SH   DEFINED               5          -      0         700
STRATASYS INC                COMMON 862685104   $       3         183    SH   DEFINED              23          183    0         -
STRATEGIC HOTEL & RESORTS
INC                          COMMON 86272T106   $     539      57,500    SH   DEFINED              14       57,500    0         -
STRATEGIC HOTEL & RESORTS
INC                          COMMON 86272T106   $     106      11,357    SH   DEFINED              23       11,357    0         -
STRATTEC SECURITY CORP       COMMON 863111100   $       1          31    SH   DEFINED              23           31    0         -
STRATUS PROPERTIES INC       COMMON 863167201   $       2          66    SH   DEFINED              23           66    0         -
STRAYER ED INC               COMMON 863236105   $  16,954      81,094    SH   DEFINED               1       81,094    0         -
STRAYER ED INC               COMMON 863236105   $     345       1,650    SH   DEFINED              14        1,650    0         -
STRAYER ED INC               COMMON 863236105   $  13,587      64,987    SH   DEFINED               2       64,987    0         -
STRAYER ED INC               COMMON 863236105   $   4,503      21,539    SH   DEFINED              23       21,539    0         -
STRAYER ED INC               COMMON 863236105   $     486       2,325    SH   DEFINED               5          -      0       2,325
STRAYER ED INC               COMMON 863236105   $     272       1,300    SH   DEFINED               8        1,300    0         -
STRAYER ED INC               COMMON 863236105   $      73         350    SH   DEFINED            8,20          350    0         -
STRYKER CORP                 COMMON 863667101   $  13,022     207,100    SH   DEFINED               1      207,100    0         -
STRYKER CORP                 COMMON 863667101   $     377       6,000    SH   DEFINED              14        4,600    0         400
STRYKER CORP                 COMMON 863667101   $     107       1,700    SH   DEFINED            14,7          -      0       1,700
STRYKER CORP                 COMMON 863667101   $  50,646     805,434    SH   DEFINED              22      108,571    0     696,863
STRYKER CORP                 COMMON 863667101   $   1,373      21,839    SH   DEFINED              23       21,839    0         -
STRYKER CORP                 COMMON 863667101   $       8         124    SH   DEFINED              24          124    0         -
STRYKER CORP                 COMMON 863667101   $  13,558     215,618    SH   DEFINED               5      185,448    0      30,170
STRYKER CORP                 COMMON 863667101   $     302       4,800    SH   DEFINED               7        4,800    0         -
STRYKER CORP                 COMMON 863667101   $     630      10,027    SH   DEFINED               8       10,027    0         -
STUDENT LOAN CORP            COMMON 863902102   $       1          15    SH   DEFINED              22          -      0          15
STUDENT LOAN CORP            COMMON 863902102   $      44         453    SH   DEFINED              23          453    0         -
STUDENT LOAN CORP            COMMON 863902102   $       1          12    SH   DEFINED              24           12    0         -
STUDENT LOAN CORP            COMMON 863902102   $       1          10    SH   DEFINED               5          -      0          10
STURM RUGER & CO INC         COMMON 864159108   $   3,498     495,500    SH   DEFINED              14      328,600    0     166,900
STURM RUGER & CO INC         COMMON 864159108   $      40       5,649    SH   DEFINED              23        5,649    0         -
STURM RUGER & CO INC         COMMON 864159108   $     569      80,600    SH   DEFINED            5,15       80,600    0         -
SUBURBAN PROPANE PARTNERS LP COMMON 864482104   $   2,080      54,405    SH   DEFINED              22          -      0      54,405
SUBURBAN PROPANE PARTNERS LP COMMON 864482104   $     599      15,675    SH   DEFINED               5       13,225    0       2,450
SUCCESSFACTORS INC           COMMON 864596101   $     281      25,700    SH   DEFINED              14       13,000    0      12,700
SUCCESSFACTORS INC           COMMON 864596101   $       2         224    SH   DEFINED              23          224    0         -
SUCCESSFACTORS INC           COMMON 864596101   $      42       3,800    SH   DEFINED            5,15        3,800    0         -
SUFFOLK BANCORP              COMMON 864739107   $   1,951      66,400    SH   DEFINED              14       46,800    0      19,600
SUFFOLK BANCORP              COMMON 864739107   $      45       1,530    SH   DEFINED              23        1,530    0         -
SUFFOLK BANCORP              COMMON 864739107   $     297      10,100    SH   DEFINED            5,15       10,100    0         -
SUFFOLK BANCORP              COMMON 864739107   $     144       4,900    SH   DEFINED               8        4,900    0         -
SUFFOLK BANCORP              COMMON 864739107   $      38       1,300    SH   DEFINED            8,20        1,300    0         -
SUCAMPO PHARMACEUTICALS-CL A COMMON 864909106       $ -            41    SH   DEFINED              23           41    0         -
SUMTOTAL SYSTEMS INC         COMMON 866615107   $   1,281     274,381    SH   DEFINED              16          -    274381         -
SUN BANCORP INC-NJ           COMMON 86663B102   $     652      64,195    SH   DEFINED              14       49,495    0      14,700
SUN BANCORP INC-NJ           COMMON 86663B102   $     218      21,436    SH   DEFINED              23       21,436    0         -
SUN BANCORP INC-NJ           COMMON 86663B102   $     109      10,730    SH   DEFINED            5,15       10,730    0         -
SUN BANCORP INC-NJ           COMMON 86663B102   $      67       6,615    SH   DEFINED               8        6,615    0         -
SUN BANCORP INC-NJ           COMMON 86663B102   $      19       1,890    SH   DEFINED            8,20        1,890    0         -
SUN COMMUNITIES INC REIT     COMMON 866674104   $     237      13,000    SH   DEFINED              14       13,000    0         -
SUN COMMUNITIES INC REIT     COMMON 866674104   $     492      27,000    SH   DEFINED              22          -      0      27,000
SUN COMMUNITIES INC REIT     COMMON 866674104   $      93       5,126    SH   DEFINED              23        5,126    0         -
SUN COMMUNITIES INC REIT     COMMON 866674104   $     150       8,250    SH   DEFINED               5        2,075    0       6,175
SUN LIFE FINANCIAL INC       COMMON 866796105   $     471      11,500    SH   DEFINED           10,14       11,500    0         -
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $     204       4,938    SH   DEFINED            10,7        4,938    0         -
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $     232       5,621    SH   DEFINED              13        5,621    0         -
SUN LIFE FINANCIAL INC       COMMON 866796105   $      59       1,449    SH   DEFINED              22          949    0         500
SUN LIFE FINANCIAL INC       COMMON 866796105   $   5,479     133,767    SH   DEFINED              23      133,767    0         -
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $       3          80    SH   DEFINED              24           80    0         -
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $  52,518   1,270,013    SH   DEFINED               3    1,270,013    0         -
SUN LIFE FINANCIAL INC       COMMON 866796105   $     732      17,880    SH   DEFINED               5       16,931    0         949
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $   2,160      52,244    SH   DEFINED               7       52,244    0         -
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $   4,999     120,888    SH   DEFINED               8      116,215  4673         -
SUN LIFE FINANCIAL INC       COMMON 866796105   $   1,818      44,400    SH   DEFINED            8,14       44,400    0         -
SUN LIFE FINANCIAL SVSC CAN  COMMON 866796105   $     889      21,500    SH   DEFINED               9       21,500    0         -
SUN MICROSYSTEMS INC+        COMMON 866810104   $       7         555    SH   DEFINED              22           25    0         530
SUN MICROSYSTEMS INC         COMMON 866810203   $      65       6,000    SH   DEFINED           10,14        6,000    0         -
SUN MICROSYSTEMS INC         COMMON 866810203   $      15       1,400    SH   DEFINED              13        1,400    0         -
SUN MICROSYSTEMS INC         COMMON 866810203   $   2,673     245,680    SH   DEFINED              14      136,080    0     104,800
SUN MICROSYSTEMS INC         COMMON 866810203   $     312      28,700    SH   DEFINED            14,7          -      0      28,700
SUN MICROSYSTEMS INC         COMMON 866810203   $      15       1,400    SH   DEFINED           20,14          -      0         -
SUN MICROSYSTEMS INC         COMMON 866810203   $     154      14,179    SH   DEFINED              22       13,654    0         525
SUN MICROSYSTEMS INC         COMMON 866810203   $   1,085      99,688    SH   DEFINED              23       99,688    0         -
SUN MICROSYSTEMS INC         COMMON 866810203   $   1,028      94,489    SH   DEFINED              24       94,489    0         -
SUN MICROSYSTEMS INC         COMMON 866810203   $     641      58,923    SH   DEFINED               5          -      0      58,923
SUN MICROSYSTEMS INC         COMMON 866810203   $     144      13,269    SH   DEFINED               7       13,269    0         -
SUN MICROSYSTEMS INC         COMMON 866810203   $     524      48,200    SH   DEFINED            8,14       48,200    0         -
SUN HEALTHCARE GROUP INC     COMMON 866933401   $     293      21,867    SH   DEFINED              23       21,867    0         -
SUN HYDRAULICS CORP          COMMON 866942105   $      38       1,175    SH   DEFINED              22        1,175    0         -
SUN HYDRAULICS CORP          COMMON 866942105   $     297       9,194    SH   DEFINED              23        9,194    0         -
SUNCOR ENERGY INC            COMMON 867229106   $ 164,465   2,823,550    SH   DEFINED               1    2,823,550    0         -
SUNCOR ENERGY INC            COMMON 867229106   $     245       4,208    SH   DEFINED              13        4,208    0         -
SUNCOR ENERGY INC            COMMON 867229106   $  10,707     184,208    SH   DEFINED            13,2        4,208    0     180,000
SUNCOR ENERGY INC            COMMON 867229106   $     179       3,062    SH   DEFINED              19        3,062    0         -
SUNCOR ENERGY INC            COMMON 867229106   $  22,118     379,006    SH   DEFINED               2      379,006    0         -
SUNCOR ENERGY INC            COMMON 867229106   $   1,129      19,350    SH   DEFINED              21       19,350    0         -
SUNCOR ENERGY INC            COMMON 867229106   $  15,151     260,685    SH   DEFINED              22       19,700    0     240,985
SUNCOR ENERGY INC            COMMON 867229106   $   1,253      21,528    SH   DEFINED              23       21,528    0         -
SUNCOR ENERGY INC            COMMON 867229106   $       3          48    SH   DEFINED              24           48    0         -
SUNCOR ENERGY INC            COMMON 867229106   $ 161,508   2,767,600    SH   DEFINED               3    2,767,600    0         -
SUNCOR ENERGY INC            COMMON 867229106   $ 111,698   1,914,050    SH   DEFINED             3,1    1,914,050    0         -
SUNCOR ENERGY INC            COMMON 867229106   $   1,366      23,498    SH   DEFINED               5        7,448    0      16,050
SUNCOR ENERGY INC            COMMON 867229106   $   1,246      21,346    SH   DEFINED               7       21,346    0         -
SUNCOR ENERGY INC            COMMON 867229106   $   1,757      30,106    SH   DEFINED               8       30,106    0         -
SUNOCO LOGISTICS PARTNERS LP COMMON 86764L108   $     329       6,300    SH   DEFINED               5        3,950    0       2,350
SUNOCO INC                   COMMON 86764P109   $      37         900    SH   DEFINED              13          900    0         -
SUNOCO INC                   COMMON 86764P109   $  14,882     365,750    SH   DEFINED              14      152,850    0     209,400
SUNOCO INC                   COMMON 86764P109   $     264       6,500    SH   DEFINED            14,7          -      0       6,500
SUNOCO INC                   COMMON 86764P109   $      37         900    SH   DEFINED           20,14          -      0         -
SUNOCO INC                   COMMON 86764P109   $      30         739    SH   DEFINED              22          -      0         739
SUNOCO INC                   COMMON 86764P109   $     856      21,033    SH   DEFINED              23       21,033    0         -
SUNOCO INC                   COMMON 86764P109   $      14         341    SH   DEFINED              24          341    0         -
SUNOCO INC                   COMMON 86764P109   $       1          25    SH   DEFINED               4           25    0         -
SUNOCO INC                   COMMON 86764P109   $     163       4,001    SH   DEFINED               5        4,001    0         -
SUNOCO INC                   COMMON 86764P109   $      84       2,055    SH   DEFINED               7        2,055    0         -
SUNOCO INC                   COMMON 86764P109   $     433      10,652    SH   DEFINED               8       10,652    0         -
SUNPOWER CORP-CLASS A        COMMON 867652109   $      86       1,200    SH   DEFINED              22          -      0       1,200
SUNPOWER CORP-CLASS A        COMMON 867652109   $  43,830     608,926    SH   DEFINED              23      608,926    0         -
SUNPOWER CORP-CLASS A        COMMON 867652109   $      86       1,200    SH   DEFINED              24        1,200    0         -
SUNPOWER CORP-CLASS A        COMMON 867652109   $      72       1,000    SH   DEFINED               5        1,000    0         -
SUNRISE ASSISTED LIVING INC  COMMON 86768K106   $     129       5,720    SH   DEFINED              23        5,720    0         -
SUNOPTA INC                  COMMON 8676EP108   $       5         902    SH   DEFINED              22          -      0         902
SUNOPTA INC                  COMMON 8676EP108   $       3         559    SH   DEFINED              23          559    0         -
SUNOPTA INC                  COMMON 8676EP108   $      67      12,850    SH   DEFINED               5          -      0      12,850
SUNOPTA BIOPROCESS INC PP
SER                          PREFER 8676EP918   $     700      35,000    SH   DEFINED               3       35,000    0         -
SUNSTONE HOTEL INVESTORS INC COMMON 867892101   $     754      45,400    SH   DEFINED              14       45,400    0         -
SUNSTONE HOTEL INVESTORS INC COMMON 867892101   $     175      10,537    SH   DEFINED              23       10,537    0         -
SUNTRUST BANKS INC           COMMON 867914103   $  35,775     987,723    SH   DEFINED               1      987,723    0         -
SUNTRUST BANKS INC           COMMON 867914103   $     596      16,450    SH   DEFINED              14       13,750    0       1,800
SUNTRUST BANKS INC           COMMON 867914103   $     235       6,500    SH   DEFINED            14,7          -      0       6,500
SUNTRUST BANKS INC           COMMON 867914103   $   3,007      83,032    SH   DEFINED              22          -      0      83,032
SUNTRUST BANKS INC           COMMON 867914103   $   7,374     203,578    SH   DEFINED              23      203,578    0         -
SUNTRUST BANKS INC           COMMON 867914103   $      53       1,459    SH   DEFINED              24        1,459    0         -
SUNTRUST BANKS INC           COMMON 867914103   $     594      16,413    SH   DEFINED               5       12,359    0       4,054
SUNTRUST BANKS INC           COMMON 867914103   $     240       6,620    SH   DEFINED               7        6,620    0         -
SUNTECH POWER HOLDINGS-ADR   COMMON 86800C104   $   4,729     126,253    SH   DEFINED              22       70,066    0      56,187
SUNTECH POWER HOLDINGS-ADR   COMMON 86800C104   $  58,083   1,550,522    SH   DEFINED              23    1,550,522    0         -
SUNTECH POWER HOLDINGS-ADR   COMMON 86800C104   $      94       2,504    SH   DEFINED              24        2,504    0         -
SUNTECH POWER HOLDINGS-ADR   COMMON 86800C104   $   3,108      82,976    SH   DEFINED               5       67,662    0      15,314
SUPER MICRO COMPUTER INC     COMMON 86800U104   $      10       1,352    SH   DEFINED              23        1,352    0         -
SUPERGEN INC                 COMMON 868059106   $       1         502    SH   DEFINED              23          502    0         -
SUPERIOR BANCORP             COMMON 86806M205   $       1          88    SH   DEFINED              23           88    0         -
SUPERIOR ENERGY SVCS INC     COMMON 868157108   $       2          29    SH   DEFINED              22          -      0          29






SUPERIOR ENERGY SVCS INC     COMMON 868157108   $   21,560     391,005   SH   DEFINED               23      391,005    0         -
SUPERIOR ENERGY SVCS INC     COMMON 868157108   $      496       8,998   SH   DEFINED               24        8,998    0         -
SUPERIOR ENERGY SVCS INC     COMMON 868157108   $       52         952   SH   DEFINED                5          152    0         800
SUPERIOR ESSEX INC           COMMON 86815V105   $      876      19,634   SH   DEFINED               23       19,634    0         -
SUPERIOR ESSEX INC           COMMON 86815V105   $       23         516   SH   DEFINED                5          516    0         -
SUPERIOR INDS INTL INC       COMMON 868168105   $    3,444     204,000   SH   DEFINED               14      142,700    0      61,300
SUPERIOR INDS INTL INC       COMMON 868168105   $      506      30,003   SH   DEFINED               23       30,003    0         -
SUPERIOR INDS INTL INC       COMMON 868168105   $      567      33,600   SH   DEFINED             5,15       33,600    0         -
SUPERIOR OFFSHORE INTERNATIO COMMON 86825Q104        $ -            90   SH   DEFINED               23           90    0         -
SUPERIOR WELL SERVICES INC   COMMON 86837X105   $       41       1,281   SH   DEFINED               23        1,281    0         -
SUPERTEX INC                 COMMON 868532102   $    3,833     164,237   SH   DEFINED                1      164,237    0         -
SUPERTEX INC                 COMMON 868532102   $      441      18,896   SH   DEFINED             20,2       18,896    0         -
SUPERTEX INC                 COMMON 868532102   $        3         113   SH   DEFINED               23          113    0         -
SUPERVALU INC                COMMON 868536103   $   24,761     801,581   SH   DEFINED                1      801,581    0         -
SUPERVALU INC                COMMON 868536103   $      363      11,746   SH   DEFINED               14       11,746    0         -
SUPERVALU INC                COMMON 868536103   $       85       2,759   SH   DEFINED               22          -      0       2,759
SUPERVALU INC                COMMON 868536103   $    1,585      51,297   SH   DEFINED               23       51,297    0         -
SUPERVALU INC                COMMON 868536103   $       28         894   SH   DEFINED               24          894    0         -
SUPERVALU INC                COMMON 868536103   $   11,511     372,656   SH   DEFINED                4      372,656    0         -
SUPERVALU INC                COMMON 868536103   $      121       3,917   SH   DEFINED                5        2,683    0       1,234
SUPPORTSOFT INC              COMMON 868587106   $        1         404   SH   DEFINED               23          404    0         -
SUREWEST COMMUNICATIONS      COMMON 868733106   $      147      17,436   SH   DEFINED               23       17,436    0         -
SURMODICS INC                COMMON 868873100   $      928      20,700   SH   DEFINED               14       11,000    0       9,700
SURMODICS INC                COMMON 868873100   $    5,569     124,196   SH   DEFINED               23      124,196    0         -
SURMODICS INC                COMMON 868873100   $      139       3,100   SH   DEFINED             5,15        3,100    0         -
SUSQUEHANNA BANCSHARES INC
PA                           COMMON 869099101   $       93       6,795   SH   DEFINED               22          -      0       6,795
SUSQUEHANNA BANCSHARES INC
PA                           COMMON 869099101   $    2,290     167,296   SH   DEFINED               23      167,296    0         -
SUSSER HOLDINGS CORP         COMMON 869233106   $      146      15,077   SH   DEFINED               23       15,077    0         -
SUTOR TECHNOLOGY GROUP LTD   COMMON 869362103   $    1,196     169,200   SH   DEFINED               14      127,000    0      42,200
SUTOR TECHNOLOGY GROUP LTD   COMMON 869362103   $      632      89,353   SH   DEFINED               23       89,353    0         -
SUTOR TECHNOLOGY GROUP LTD   COMMON 869362103   $      151      21,400   SH   DEFINED             5,15       21,400    0         -
SWIFT ENERGY CO              COMMON 870738101   $       13         200   SH   DEFINED               22          -      0         200
SWIFT ENERGY CO              COMMON 870738101   $    5,211      78,879   SH   DEFINED               23       78,879    0         -
SWISS HELVETIA FUND CF       COMMON 870875101   $       16       1,000   SH   DEFINED               22          -      0       1,000
SWITCH & DATA FACILITIES CO  COMMON 871043105   $       13         767   SH   DEFINED               23          767    0         -
SYBASE INC                   COMMON 871130100   $    9,703     329,800   SH   DEFINED               14      229,700    0      98,800
SYBASE INC                   COMMON 871130100   $    7,487     254,479   SH   DEFINED               23      254,479    0         -
SYBASE INC                   COMMON 871130100   $      196       6,661   SH   DEFINED               24        6,661    0         -
SYBASE INC                   COMMON 871130100   $       80       2,719   SH   DEFINED                5          212    0       2,507
SYBASE INC                   COMMON 871130100   $    1,577      53,600   SH   DEFINED             5,15       53,600    0         -
SYBASE INC                   COMMON 871130100   $      115       3,900   SH   DEFINED                8        3,900    0         -
SYBASE INC                   COMMON 871130100   $       32       1,100   SH   DEFINED             8,20        1,100    0         -
SYCAMORE NETWORKS INC        COMMON 871206108   $      632     196,400   SH   DEFINED               14      143,300    0      53,100
SYCAMORE NETWORKS INC        COMMON 871206108   $      372     115,577   SH   DEFINED               23      115,577    0         -
SYCAMORE NETWORKS INC        COMMON 871206108   $      103      31,900   SH   DEFINED             5,15       31,900    0         -
SYKES ENTERPRISES INC        COMMON 871237103   $    4,443     235,600   SH   DEFINED               14      134,200    0     101,400
SYKES ENTERPRISES INC        COMMON 871237103   $    4,018     213,051   SH   DEFINED               23      213,051    0         -
SYKES ENTERPRISES INC        COMMON 871237103   $      194      10,298   SH   DEFINED               24       10,298    0         -
SYKES ENTERPRISES INC        COMMON 871237103   $       94       4,960   SH   DEFINED                5        1,260    0       3,700
SYKES ENTERPRISES INC        COMMON 871237103   $      671      35,600   SH   DEFINED             5,15       35,600    0         -
SYMANTEC CORP                COMMON 871503108   $  283,088  14,629,873   SH   DEFINED                1   14,629,873    0         -
SYMANTEC CORP                COMMON 871503108   $    9,036     467,000   SH   DEFINED             1,15      467,000    0         -
SYMANTEC CORP                COMMON 871503108   $      950      49,100   SH   DEFINED            10,14       49,100    0         -
SYMANTEC CORP                COMMON 871503108   $      368      19,015   SH   DEFINED               11       19,015    0         -
SYMANTEC CORP                COMMON 871503108   $       62       3,200   SH   DEFINED               13        3,200    0         -
SYMANTEC CORP                COMMON 871503108   $   77,376   3,998,746   SH   DEFINED               14    2,696,996    0   1,180,850
SYMANTEC CORP                COMMON 871503108   $    1,351      69,800   SH   DEFINED            14,13          -      0      69,800
SYMANTEC CORP                COMMON 871503108   $    4,712     243,500   SH   DEFINED             14,7          -      0     243,500
SYMANTEC CORP                COMMON 871503108   $    7,881     407,300   SH   DEFINED                2      407,300    0         -
SYMANTEC CORP                COMMON 871503108   $      219      11,300   SH   DEFINED            20,14          -      0         -
SYMANTEC CORP                COMMON 871503108   $       76       3,924   SH   DEFINED               22          224    0       3,700
SYMANTEC CORP                COMMON 871503108   $   10,924     564,530   SH   DEFINED               23      564,530    0         -
SYMANTEC CORP                COMMON 871503108   $    4,695     242,650   SH   DEFINED               24      242,650    0         -
SYMANTEC CORP                COMMON 871503108   $   16,288     841,750   SH   DEFINED              3,1      841,750    0         -
SYMANTEC CORP                COMMON 871503108   $   19,680   1,017,047   SH   DEFINED                4    1,017,047    0         -
SYMANTEC CORP                COMMON 871503108   $       20       1,034   SH   DEFINED                5          200    0         834
SYMANTEC CORP                COMMON 871503108   $    3,046     157,400   SH   DEFINED             5,15      157,400    0         -
SYMANTEC CORP                COMMON 871503108   $    1,428      73,802   SH   DEFINED                7       73,802    0         -
SYMANTEC CORP                COMMON 871503108   $    1,621      83,769   SH   DEFINED                8       83,769    0         -
SYMANTEC CORP                COMMON 871503108   $    6,625     342,400   SH   DEFINED             8,14      342,400    0         -
SYMANTEC CORP                COMMON 871503108   $      735      38,000   SH   DEFINED             9,14          -      0      38,000
SYMMETRICOM INC              COMMON 871543104   $       12       3,000   SH   DEFINED               22          -      0       3,000
SYMMETRICOM INC              COMMON 871543104   $       46      11,994   SH   DEFINED               23       11,994    0         -
SYMMETRICOM INC              COMMON 871543104   $       27       7,035   SH   DEFINED                5        3,035    0       4,000
SYMMETRY MEDICAL INC         COMMON 871546206   $    4,117     253,818   SH   DEFINED                1      253,818    0         -
SYMMETRY MEDICAL INC         COMMON 871546206   $      257      15,846   SH   DEFINED               23       15,846    0         -
SYMMETRY MEDICAL INC         COMMON 871546206   $       94       5,825   SH   DEFINED                5        1,450    0       4,375
SYMYX TECHNOLOGIES           COMMON 87155S108   $    5,002     716,673   SH   DEFINED               23      716,673    0         -
SYNAPTICS INC                COMMON 87157D109   $       72       1,900   SH   DEFINED               14        1,900    0         -
SYNAPTICS INC                COMMON 87157D109   $       59       1,571   SH   DEFINED               23        1,571    0         -
SYNAPTICS INC                COMMON 87157D109   $      740      19,600   SH   DEFINED                3       19,600    0         -
SYNOPSYS INC                 COMMON 871607107   $      210       8,800   SH   DEFINED            10,14        8,800    0         -
SYNOPSYS INC                 COMMON 871607107   $       75       3,144   SH   DEFINED               13        3,144    0         -
SYNOPSYS INC                 COMMON 871607107   $   15,653     654,940   SH   DEFINED               14      295,640    0     351,700
SYNOPSYS INC                 COMMON 871607107   $      908      38,000   SH   DEFINED             14,7          -      0      38,000
SYNOPSYS INC                 COMMON 871607107   $    2,101      87,894   SH   DEFINED               23       87,894    0         -
SYNOPSYS INC                 COMMON 871607107   $        3         118   SH   DEFINED               24          118    0         -
SYNOPSYS INC                 COMMON 871607107   $      625      26,155   SH   DEFINED                7       26,155    0         -
SYNOPSYS INC                 COMMON 871607107   $    1,326      55,462   SH   DEFINED                8       55,462    0         -
SYNOPSYS INC                 COMMON 871607107   $    1,824      76,300   SH   DEFINED             8,14       76,300    0         -
SYNGENTA AG- ADR             COMMON 87160A100   $   37,756     583,547   SH   DEFINED                4      583,547    0         -
SYNOVUS FINANCIAL CORP       COMMON 87161C105   $      555      63,601   SH   DEFINED               23       63,601    0         -
SYNOVUS FINANCIAL CORP       COMMON 87161C105   $       10       1,090   SH   DEFINED               24        1,090    0         -
SYNOVUS FINANCIAL CORP       COMMON 87161C105   $      882     101,064   SH   DEFINED                5      101,064    0         -
SYNTHESIS ENERGY SYSTEMS INC COMMON 871628103   $        3         239   SH   DEFINED               23          239    0         -
SYNOVIS LIFE TECHNOLO INC    COMMON 87162G105   $    1,642      87,200   SH   DEFINED               14       45,500    0      41,700
SYNOVIS LIFE TECHNOLO INC    COMMON 87162G105   $      271      14,394   SH   DEFINED               23       14,394    0         -
SYNOVIS LIFE TECHNOLO INC    COMMON 87162G105   $    2,141     113,700   SH   DEFINED                3      113,700    0         -
SYNOVIS LIFE TECHNOLO INC    COMMON 87162G105   $      233      12,400   SH   DEFINED             5,15       12,400    0         -
SYNTEL INC                   COMMON 87162H103   $   11,022     326,860   SH   DEFINED                1      326,860    0         -


SYNTEL INC                   COMMON 87162H103   $   1,366      40,500    SH   DEFINED              14       20,300     0      20,200
SYNTEL INC                   COMMON 87162H103   $   8,917     264,442    SH   DEFINED               2      264,442     0         -
SYNTEL INC                   COMMON 87162H103   $   1,702      50,473    SH   DEFINED              23       50,473     0         -
SYNTEL INC                   COMMON 87162H103   $       5         150    SH   DEFINED               5          150     0         -
SYNTEL INC                   COMMON 87162H103   $     202       6,000    SH   DEFINED            5,15        6,000     0         -
SYNTA PHARMACEUTICALS CORP   COMMON 87162T206   $       1         222    SH   DEFINED              23          222     0         -
SYNNEX CORP                  COMMON 87162W100   $     344      13,721    SH   DEFINED              23       13,721     0         -
SYNNEX CORP                  COMMON 87162W100   $       1          58    SH   DEFINED              24           58     0         -
SYNIVERSE TECH               COMMON 87163F106   $   2,210     136,400    SH   DEFINED              14       71,100     0      65,300
SYNIVERSE TECH               COMMON 87163F106   $     841      51,885    SH   DEFINED              23       51,885     0         -
SYNIVERSE TECH               COMMON 87163F106   $     327      20,200    SH   DEFINED            5,15       20,200     0         -
SYNTAX-BRILLIAN CORP         COMMON 87163L103   $      32      62,465    SH   DEFINED              23       62,465     0         -
SYPRIS SOLUTIONS INC         COMMON 871655106   $     243      57,954    SH   DEFINED              23       57,954     0         -
SYSCO CORP                   COMMON 871829107   $  30,592   1,112,034    SH   DEFINED               1    1,112,034     0         -
SYSCO CORP                   COMMON 871829107   $      11         400    SH   DEFINED              14          400     0         -
SYSCO CORP                   COMMON 871829107   $   7,141     259,580    SH   DEFINED              22       32,481     0     227,099
SYSCO CORP                   COMMON 871829107   $  15,793     574,076    SH   DEFINED              23      574,076     0         -
SYSCO CORP                   COMMON 871829107   $      32       1,152    SH   DEFINED              24        1,152     0         -
SYSCO CORP                   COMMON 871829107   $       1          22    SH   DEFINED               4           22     0         -
SYSCO CORP                   COMMON 871829107   $   1,656      60,193    SH   DEFINED               5       28,902     0      31,291
SYSCO CORP                   COMMON 871829107   $     312      11,341    SH   DEFINED               7       11,341     0         -
SYSTEMAX INC                 COMMON 871851101   $   5,629     318,900    SH   DEFINED              14      229,100     0      89,800
SYSTEMAX INC                 COMMON 871851101   $      81       4,570    SH   DEFINED              23        4,570     0         -
SYSTEMAX INC                 COMMON 871851101   $     784      44,400    SH   DEFINED            5,15       44,400     0         -
SYSTEMAX INC                 COMMON 871851101   $     704      39,900    SH   DEFINED               8       39,900     0         -
SYSTEMAX INC                 COMMON 871851101   $     192      10,900    SH   DEFINED            8,20       10,900     0         -
TCF FINANCIAL CORP           COMMON 872275102   $       7         600    SH   DEFINED              14          600     0         -
TCF FINANCIAL CORP           COMMON 872275102   $   2,416     200,800    SH   DEFINED              22          -       0     200,800
TCF FINANCIAL CORP           COMMON 872275102   $   2,515     209,031    SH   DEFINED              23      209,031     0         -
TCF FINANCIAL CORP           COMMON 872275102   $       3         254    SH   DEFINED              24          254     0         -
TCF FINANCIAL CORP           COMMON 872275102   $      37       3,050    SH   DEFINED               5        2,700     0         350
TC PIPELINES LP              COMMON 87233Q108   $   1,011      28,675    SH   DEFINED               5       27,500     0       1,175
TDK CORP ADR                 COMMON 872351408   $      29         490    SH   DEFINED              22          -       0         490
TDK CORP ADR                 COMMON 872351408   $   3,889      64,809    SH   DEFINED              23       64,809     0         -
TDK CORP ADR                 COMMON 872351408   $   7,554     125,903    SH   DEFINED               4      125,903     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $  47,953   2,650,828    SH   DEFINED               1    2,650,828     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $     147       8,100    SH   DEFINED           10,14        8,100     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $      36       2,000    SH   DEFINED              13        2,000     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $  12,450     688,210    SH   DEFINED              14      330,910     0     347,100
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $   1,279      70,700    SH   DEFINED            14,7          -       0      70,700
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $   2,902     160,396    SH   DEFINED               2       16,839     0     143,557
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $      78       4,300    SH   DEFINED           20,14          -       0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $      36       2,000    SH   DEFINED              22          -       0       2,000
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $  28,684   1,585,650    SH   DEFINED              23    1,585,650     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $     924      51,058    SH   DEFINED              24       51,058     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $     224      12,372    SH   DEFINED               7       12,372     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $   1,377      76,106    SH   DEFINED               8       76,106     0         -
TD AMERITRADE HOLDING CORP   COMMON 87236Y108   $     830      45,900    SH   DEFINED            8,14       45,900     0         -
TECO ENERGY INC              COMMON 872375100   $   3,067     142,700    SH   DEFINED              14       55,000     0      82,000
TECO ENERGY INC              COMMON 872375100   $     208       9,700    SH   DEFINED            14,7          -       0       9,700
TECO ENERGY INC              COMMON 872375100   $      27       1,275    SH   DEFINED              22          -       0       1,275
TECO ENERGY INC              COMMON 872375100   $     701      32,640    SH   DEFINED              23       32,640     0         -
TECO ENERGY INC              COMMON 872375100   $      12         537    SH   DEFINED              24          537     0         -
TECO ENERGY INC              COMMON 872375100   $       7         343    SH   DEFINED               5          -       0         343
TEPPCO PARTNERS LP           COMMON 872384102   $   2,454      73,950    SH   DEFINED              22          -       0      73,950
TEPPCO PARTNERS LP           COMMON 872384102   $      37       1,117    SH   DEFINED              23        1,117     0         -
TEPPCO PARTNERS LP           COMMON 872384102   $   2,959      89,145    SH   DEFINED               5       85,500     0       3,645
TESSCO TECHNOLOGIES INC      COMMON 872386107   $      24       1,753    SH   DEFINED              23        1,753     0         -
TFS FINANCIAL CORP           COMMON 87240R107   $      54       4,619    SH   DEFINED              23        4,619     0         -
TFS FINANCIAL CORP           COMMON 87240R107   $       1          85    SH   DEFINED              24           85     0         -
THQ INC                      COMMON 872443403   $  16,236     801,388    SH   DEFINED               1      801,388     0         -
THQ INC                      COMMON 872443403   $  11,984     591,521    SH   DEFINED               2      501,574     0      89,947
THQ INC                      COMMON 872443403   $     209      10,317    SH   DEFINED              23       10,317     0         -
TIB FINANCIAL CORP           COMMON 872449103   $      37       5,904    SH   DEFINED              22          -       0       5,904
TIB FINANCIAL CORP           COMMON 872449103   $       1         112    SH   DEFINED              23          112     0         -
TECHNOLOGY INVSTMT CAP CORP  COMMON 87244T109   $     919     168,340    SH   DEFINED              23      168,340     0         -
TECHNOLOGY INVSTMT CAP CORP  COMMON 87244T109   $      16       2,859    SH   DEFINED              24        2,859     0         -
TJX COMPANIES INC            COMMON 872540109   $  19,191     609,807    SH   DEFINED               1      609,807     0         -
TJX COMPANIES INC            COMMON 872540109   $     560      17,800    SH   DEFINED            1,15       17,800     0         -
TJX COMPANIES INC            COMMON 872540109   $     107       3,400    SH   DEFINED           10,14        3,400     0         -
TJX COMPANIES INC            COMMON 872540109   $      31       1,000    SH   DEFINED              13        1,000     0         -
TJX COMPANIES INC            COMMON 872540109   $  23,068     733,030    SH   DEFINED              14      365,630     0     357,200
TJX COMPANIES INC            COMMON 872540109   $   2,039      64,800    SH   DEFINED            14,7          -       0      64,800
TJX COMPANIES INC            COMMON 872540109   $      31       1,000    SH   DEFINED           20,14          -       0         -
TJX COMPANIES INC            COMMON 872540109   $   7,731     245,672    SH   DEFINED              22      223,553     0      22,119
TJX COMPANIES INC            COMMON 872540109   $   2,164      68,779    SH   DEFINED              23       68,779     0         -
TJX COMPANIES INC            COMMON 872540109   $      16         497    SH   DEFINED              24          497     0         -
TJX COMPANIES INC            COMMON 872540109   $   6,612     210,108    SH   DEFINED               5      121,703     0      88,405
TJX COMPANIES INC            COMMON 872540109   $     299       9,491    SH   DEFINED               7        9,491     0         -
TJX COMPANIES INC            COMMON 872540109   $   1,462      46,472    SH   DEFINED               8       46,472     0         -
TJX COMPANIES INC            COMMON 872540109   $   1,366      43,400    SH   DEFINED            8,14       43,400     0         -
TLC VISION CORP              COMMON 872549100   $       1         435    SH   DEFINED              23          435     0         -
TRC COS INC                  COMMON 872625108   $      23       5,599    SH   DEFINED              23        5,599     0         -
TRW AUTOMOTIVE HOLDINGS CORP COMMON 87264S106   $     663      35,904    SH   DEFINED              23       35,904     0         -
TRW AUTOMOTIVE HOLDINGS CORP COMMON 87264S106   $      10         531    SH   DEFINED              24          531     0         -
TNS INC                      COMMON 872960109   $   6,273     261,800    SH   DEFINED              14      169,500     0      92,300
TNS INC                      COMMON 872960109   $   3,029     126,404    SH   DEFINED              23      126,404     0         -
TNS INC                      COMMON 872960109   $     204       8,521    SH   DEFINED              24        8,521     0         -
TNS INC                      COMMON 872960109   $     853      35,600    SH   DEFINED            5,15       35,600     0         -
TNS INC                      COMMON 872960109   $     541      22,600    SH   DEFINED               8       22,600     0         -
TNS INC                      COMMON 872960109   $     149       6,200    SH   DEFINED            8,20        6,200     0         -
TTM TECHNOLOGIES             COMMON 87305R109   $   1,098      83,100    SH   DEFINED              14       53,200     0      29,900
TTM TECHNOLOGIES             COMMON 87305R109   $   1,486     112,478    SH   DEFINED              23      112,478     0         -
TTM TECHNOLOGIES             COMMON 87305R109   $     160      12,100    SH   DEFINED            5,15       12,100     0         -
TTM TECHNOLOGIES             COMMON 87305R109   $      82       6,200    SH   DEFINED               8        6,200     0         -
TTM TECHNOLOGIES             COMMON 87305R109   $      22       1,700    SH   DEFINED            8,20        1,700     0         -
T-3 ENERGY SERVICES INC      COMMON 87306E107   $     425       5,345    SH   DEFINED              23        5,345     0         -
TW TELECOM INC               COMMON 87311L104   $  21,243   1,325,200    SH   DEFINED              14          -       0   1,180,800
TW TELECOM INC               COMMON 87311L104   $   1,799     112,216    SH   DEFINED            20,2      112,216     0         -
TW TELECOM INC               COMMON 87311L104   $     227      14,141    SH   DEFINED              23       14,141     0         -








TXCO RESOURCES INC           COMMON 87311M102   $        4         299   SH   DEFINED               23          299    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $   11,732   1,075,311   SH   DEFINED                1    1,075,311    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $      681      62,450   SH   DEFINED             1,12       62,450    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    2,545     233,272   SH   DEFINED               11       46,872    0     186,400
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    1,520     139,300   SH   DEFINED            11,13      139,300    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $      135      12,409   SH   DEFINED               13       12,409    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $      105       9,609   SH   DEFINED             13,2        9,609    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $       31       2,800   SH   DEFINED             13,3        2,800    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    2,239     205,248   SH   DEFINED               14      205,248    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    3,263     299,105   SH   DEFINED                2      299,105    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $       84       7,693   SH   DEFINED               22          468    0       7,225
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    8,078     740,452   SH   DEFINED               23      740,452    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $  120,214  11,018,702   SH   DEFINED                3   11,018,702    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $   19,112   1,751,785   SH   DEFINED                4    1,751,785    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $       65       6,000   SH   DEFINED                5          -      0       6,000
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    5,938     544,284   SH   DEFINED             5,12      544,284    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $   12,614   1,156,164   SH   DEFINED                8    1,156,164    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    2,405     220,444   SH   DEFINED             8,14      220,444    0         -
TAIWAN SEMICONDUCTOR ADR     COMMON 874039100   $    4,359     399,500   SH   DEFINED             8,20      399,500    0         -
TAKE TWO INTERACTIVE
SOFTWARE                     COMMON 874054109   $      156       6,087   SH   DEFINED               23        6,087    0         -
TAL INTERNATIONAL GROUP INC  COMMON 874083108   $       66       2,895   SH   DEFINED               23        2,895    0         -
TALBOTS INC                  COMMON 874161102   $    2,187     188,700   SH   DEFINED               14      158,100    0      30,600
TALBOTS INC                  COMMON 874161102   $    4,672     403,070   SH   DEFINED               23      403,070    0         -
TALBOTS INC                  COMMON 874161102   $        1         126   SH   DEFINED               24          126    0         -
TALBOTS INC                  COMMON 874161102   $      377      32,500   SH   DEFINED             5,15       32,500    0         -
TALEO CORP-CLASS A           COMMON 87424N104   $        3         165   SH   DEFINED               23          165    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $  108,876   4,918,700   SH   DEFINED                1    4,918,700    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $   17,660     798,000   SH   DEFINED             13,2          -      0     798,000
TALISMAN ENERGY INC          COMMON 87425E103   $    4,555     204,636   SH   DEFINED                2      204,636    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $    5,123     231,292   SH   DEFINED               23      231,292    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $       27       1,200   SH   DEFINED               24        1,200    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $  100,405   4,510,900   SH   DEFINED                3    4,510,900    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $   97,833   4,395,348   SH   DEFINED              3,1    4,395,348    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $      135       6,100   SH   DEFINED                5          -      0       6,100
TALISMAN ENERGY INC          COMMON 87425E103   $      438      19,665   SH   DEFINED                7       19,665    0         -
TALISMAN ENERGY INC          COMMON 87425E103   $   26,219   1,184,560   SH   DEFINED                8    1,184,560    0         -
TANGER FACTORY OUTLET CTRS
INC                          COMMON 875465106   $      870      24,200   SH   DEFINED               14       24,200    0         -
TANGER FACTORY OUTLET CTRS
INC                          COMMON 875465106   $      120       3,326   SH   DEFINED               23        3,326    0         -
TARGACEPT INC                COMMON 87611R306   $        1         160   SH   DEFINED               23          160    0         -
TARGA RESOURCES PARTNERS LP  COMMON 87611X105   $      196       7,380   SH   DEFINED               22          -      0       7,380
TARGA RESOURCES PARTNERS LP  COMMON 87611X105   $    9,474     357,104   SH   DEFINED                5      348,894    0       8,210
TARGANTA THERAPEUTICS CORP   COMMON 87612C100   $        1         138   SH   DEFINED               23          138    0         -
TARGET CORPORATION           COMMON 87612E106   $  124,354   2,674,859   SH   DEFINED                1    2,674,859    0         -
TARGET CORPORATION           COMMON 87612E106   $      567      12,198   SH   DEFINED             13,2          -      0      12,198
TARGET CORPORATION           COMMON 87612E106   $    1,421      30,567   SH   DEFINED               14       29,967    0         -
TARGET CORPORATION           COMMON 87612E106   $   43,672     939,393   SH   DEFINED               22      240,885    0     698,508
TARGET CORPORATION           COMMON 87612E106   $    2,927      62,951   SH   DEFINED               23       62,951    0         -
TARGET CORPORATION           COMMON 87612E106   $       53       1,132   SH   DEFINED               24        1,132    0         -
TARGET CORPORATION           COMMON 87612E106   $    5,607     120,600   SH   DEFINED                3      120,600    0         -
TARGET CORPORATION           COMMON 87612E106   $    6,688     143,856   SH   DEFINED                4      143,856    0         -
TARGET CORPORATION           COMMON 87612E106   $   23,005     494,845   SH   DEFINED                5      368,787    0     126,058
TARGET CORPORATION           COMMON 87612E106   $      708      15,239   SH   DEFINED                7       15,239    0         -
TARGET CORPORATION           COMMON 87612E106   $    1,023      22,008   SH   DEFINED                8       22,008    0         -
TARRAGON CORP                COMMON 876287103   $       23      13,289   SH   DEFINED               23       13,289    0         -
TASER INTERNATIONAL INC      COMMON 87651B104   $      273      54,788   SH   DEFINED               23       54,788    0         -
TASER INTERNATIONAL INC      COMMON 87651B104   $       20       4,000   SH   DEFINED                5        4,000    0         -
TATA MOTORS LTD-SPON ADR     COMMON 876568502   $      259      25,804   SH   DEFINED               23       25,804    0         -
TATA MOTORS LTD-SPON ADR     COMMON 876568502   $        1          61   SH   DEFINED                4           61    0         -
TAUBMAN CENTERS INC REIT     COMMON 876664103   $    1,980      40,700   SH   DEFINED               14       40,700    0         -
TAUBMAN CENTERS INC REIT     COMMON 876664103   $    2,484      51,068   SH   DEFINED               23       51,068    0         -
TAYLOR CAPITAL GROUP INC     COMMON 876851106   $       11       1,442   SH   DEFINED               23        1,442    0         -
TEAM INC                     COMMON 878155100   $    7,972     232,276   SH   DEFINED                1      232,276    0         -
TEAM INC                     COMMON 878155100   $    3,852     112,241   SH   DEFINED                2       27,466    0      84,775
TEAM INC                     COMMON 878155100   $       57       1,669   SH   DEFINED               23        1,669    0         -
TEAM INC                     COMMON 878155100   $      172       5,000   SH   DEFINED                5          -      0       5,000
TECH DATA CORP               COMMON 878237106   $   12,355     364,561   SH   DEFINED                1      364,561    0         -
TECH DATA CORP               COMMON 878237106   $    3,488     102,930   SH   DEFINED               14       55,530    0      45,700
TECH DATA CORP               COMMON 878237106   $   10,189     300,636   SH   DEFINED                2      300,636    0         -
TECH DATA CORP               COMMON 878237106   $    2,122      62,615   SH   DEFINED               23       62,615    0         -
TECH DATA CORP               COMMON 878237106   $       16         473   SH   DEFINED               24          473    0         -
TECHNE CORP                  COMMON 878377100   $   33,305     430,353   SH   DEFINED                1      430,353    0         -
TECHNE CORP                  COMMON 878377100   $   10,409     134,501   SH   DEFINED               14       70,001    0      63,400
TECHNE CORP                  COMMON 878377100   $   18,033     233,009   SH   DEFINED               23      233,009    0         -
TECHNE CORP                  COMMON 878377100   $      144       1,855   SH   DEFINED               24        1,855    0         -
TECHNE CORP                  COMMON 878377100   $   19,872     256,778   SH   DEFINED                4      256,778    0         -
TECHNE CORP                  COMMON 878377100   $    1,006      13,000   SH   DEFINED             5,15       13,000    0         -
TECHNITROL INC               COMMON 878555101   $    1,789     105,300   SH   DEFINED               14       69,500    0      35,800
TECHNITROL INC               COMMON 878555101   $       71       4,179   SH   DEFINED               23        4,179    0         -
TECHNITROL INC               COMMON 878555101   $      185      10,900   SH   DEFINED             5,15       10,900    0         -
TECHNITROL INC               COMMON 878555101   $      391      23,000   SH   DEFINED                8       23,000    0         -
TECHNITROL INC               COMMON 878555101   $      107       6,300   SH   DEFINED             8,20        6,300    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $   11,264     232,400   SH   DEFINED                1      232,400    0         -
TECK COMINCO LTD- CL B       COMMON 878742204   $       91       1,900   SH   DEFINED            10,14        1,900    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $    2,517      51,920   SH   DEFINED                2       51,920    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $      194       4,030   SH   DEFINED               23        4,030    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $        3          53   SH   DEFINED               24           53    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $    5,622     116,000   SH   DEFINED                3      116,000    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $   43,733     902,281   SH   DEFINED              3,1      902,281    0         -
TECK COMINCO LTD- CL B       COMMON 878742204   $      175       3,642   SH   DEFINED                5        3,642    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $      281       5,794   SH   DEFINED                7        5,794    0         -
TECK COMINCO LTD CL B        COMMON 878742204   $      583      12,035   SH   DEFINED                8        8,515   3520         -
TECHWELL INC                 COMMON 87874D101   $       37       3,000   SH   DEFINED               14        3,000    0         -
TECHWELL INC                 COMMON 87874D101   $        1          54   SH   DEFINED               23           54    0         -
TECHTARGET                   COMMON 87874R100   $      126      11,919   SH   DEFINED               23       11,919    0         -
TECUMSEH PRODUCTS CO-CL B    COMMON 878895101   $       48       1,661   SH   DEFINED               23        1,661    0         -
TECUMSEH PRODUCTS CO         COMMON 878895200   $    8,634     263,400   SH   DEFINED               14      183,400    0      80,000
TECUMSEH PRODUCTS CO         COMMON 878895200   $    2,200      67,123   SH   DEFINED               23       67,123    0         -
TECUMSEH PRODUCTS CO         COMMON 878895200   $    1,206      36,800   SH   DEFINED             5,15       36,800    0         -
TECUMSEH PRODUCTS CO         COMMON 878895200   $      521      15,900   SH   DEFINED                8       15,900    0         -
TECUMSEH PRODUCTS CO         COMMON 878895200   $      144       4,400   SH   DEFINED             8,20        4,400    0         -






TEJON RANCH CO               COMMON 879080109   $      115       3,200   SH   DEFINED               22          -      0       3,200
TEJON RANCH CO               COMMON 879080109   $      135       3,752   SH   DEFINED               23        3,752    0         -
TEJON RANCH CO               COMMON 879080109   $       28         787   SH   DEFINED                5          -      0         787
TEKELEC                      COMMON 879101103   $   22,717   1,544,300   SH   DEFINED              1,3    1,544,300    0         -
TEKELEC                      COMMON 879101103   $      597      40,600   SH   DEFINED             18,3       40,600    0         -
TEKELEC                      COMMON 879101103   $    4,000     271,900   SH   DEFINED               23      271,900    0         -
TEKELEC                      COMMON 879101103   $      187      12,703   SH   DEFINED               24       12,703    0         -
TEKELEC                      COMMON 879101103   $    6,344     431,300   SH   DEFINED                3      431,300    0         -
TELE NORTE LESTE PART SA ADR COMMON 879246106   $        1          60   SH   DEFINED               22          -      0          60
TELE NORTE LESTE PART SA ADR COMMON 879246106   $      593      23,822   SH   DEFINED               23       23,822    0         -
TELE NORTE LESTE PART SA ADR COMMON 879246106   $        2          72   SH   DEFINED                4           72    0         -
TELE NORTE CELULAR PART SA
ADR                          COMMON 87924Y105   $      299      16,139   SH   DEFINED               23       16,139    0         -
TELECOMM ARGENTINA SA SP ADR COMMON 879273209   $       14       1,005   SH   DEFINED               22          -      0       1,005
TELECOM CORP NEW ZEALAND LTD
A                            COMMON 879278208   $       47       3,490   SH   DEFINED               22          -      0       3,490
TELECOM ITALIA SPA ADR       COMMON 87927Y102   $       73       3,640   SH   DEFINED               22          -      0       3,640
TELECOM ITALIA SPA ADR       COMMON 87927Y102   $        6         284   SH   DEFINED                4          284    0         -
TELECOMUNICACOES BRASILEIRAS
A                            COMMON 879287308   $        1          60   SH   DEFINED               22          -      0          60
TELECOMUNICACOES BRASILEIRAS
A                            COMMON 879287308   $        1          72   SH   DEFINED                4           72    0         -
TELECOMUNICACOES DE SAO PAULOCOMMON 87929A102   $      132       4,688   SH   DEFINED               23        4,688    0         -
TELEDYNE TECHNOLOGIES INC    COMMON 879360105   $    5,420     111,091   SH   DEFINED                1      111,091    0         -
TELEDYNE TECHNOLOGIES INC    COMMON 879360105   $      537      10,997   SH   DEFINED                2       10,997    0         -
TELEDYNE TECHNOLOGIES INC    COMMON 879360105   $    3,929      80,528   SH   DEFINED               23       80,528    0         -
TELEDYNE TECHNOLOGIES INC    COMMON 879360105   $       22         457   SH   DEFINED              8,2          457    0         -
TELEFLEX INC                 COMMON 879369106   $    7,512     135,124   SH   DEFINED                1      135,124    0         -
TELEFLEX INC                 COMMON 879369106   $      715      12,860   SH   DEFINED                2       12,860    0         -
TELEFLEX INC                 COMMON 879369106   $    1,001      18,001   SH   DEFINED             20,2          -      0      18,001
TELEFLEX INC                 COMMON 879369106   $       94       1,693   SH   DEFINED               22          -      0       1,693
TELEFLEX INC                 COMMON 879369106   $      225       4,053   SH   DEFINED               23        4,053    0         -
TELEFLEX INC                 COMMON 879369106   $        4          65   SH   DEFINED               24           65    0         -
TELEFLEX INC                 COMMON 879369106   $      568      10,221   SH   DEFINED                5        9,759    0         462
TELEFONICA SA ADR            COMMON 879382208   $      126       1,579   SH   DEFINED               22          -      0       1,579
TELEFONICA SA ADR            COMMON 879382208   $   27,986     351,676   SH   DEFINED                4      351,676    0         -
TELEFONOS DE MEXICO-SP ADR A COMMON 879403707   $        2          51   SH   DEFINED               23           51    0         -
TELEFONOS DE MEXICO SAB ADR  COMMON 879403780   $      107       4,539   SH   DEFINED               22          -      0       4,539
TELEFONOS DE MEXICO SAB ADR  COMMON 879403780   $        2          96   SH   DEFINED                4           96    0         -
TELEFONOS DE MEXICO SAB ADR  COMMON 879403780   $       65       2,725   SH   DEFINED                5          325    0       2,400
TELEPHONE & DATA SYS INC     COMMON 879433100   $      610      12,900   SH   DEFINED            10,14       12,900    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $   26,853     568,080   SH   DEFINED               14      315,080    0     240,600
TELEPHONE & DATA SYS INC     COMMON 879433100   $      284       6,000   SH   DEFINED            14,13          -      0       6,000
TELEPHONE & DATA SYS INC     COMMON 879433100   $    1,669      35,300   SH   DEFINED             14,7          -      0      35,300
TELEPHONE & DATA SYS INC     COMMON 879433100   $      131       2,775   SH   DEFINED               21        2,775    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $      768      16,256   SH   DEFINED               23       16,256    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $        4          84   SH   DEFINED               24           84    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $       97       2,060   SH   DEFINED                5          -      0       2,060
TELEPHONE & DATA SYS INC     COMMON 879433100   $      638      13,500   SH   DEFINED             5,15       13,500    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $      560      11,853   SH   DEFINED                7       11,853    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $      946      20,004   SH   DEFINED                8       20,004    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $    3,139      66,400   SH   DEFINED             8,14       66,400    0         -
TELEPHONE & DATA SYS INC     COMMON 879433100   $      156       3,300   SH   DEFINED             9,14          -      0       3,300
TELEPHONE & DATA - SPECIAL
SHS                          COMMON 879433860   $      222       5,044   SH   DEFINED               23        5,044    0         -
TELEPHONE & DATA - SPECIAL
SHS                          COMMON 879433860   $        4          92   SH   DEFINED               24           92    0         -
TELENOR ASA- ADR             COMMON 87944W105   $        1          25   SH   DEFINED                4           25    0         -
TELIK INC                    COMMON 87959M109   $        1         455   SH   DEFINED               23          455    0         -
TELKOM SOUTH AFRICA ADR      COMMON 879603108   $    5,150      71,522   SH   DEFINED                4       71,522    0         -
TELLABS INC                  COMMON 879664100   $       10       2,070   SH   DEFINED               22          -      0       2,070
TELLABS INC                  COMMON 879664100   $      446      95,863   SH   DEFINED               23       95,863    0         -
TELLABS INC                  COMMON 879664100   $        3         643   SH   DEFINED               24          643    0         -
TELLABS INC                  COMMON 879664100   $       27       5,774   SH   DEFINED                5        5,160    0         614
TELMEX INTERNACIONAL-ADR     COMMON 879690105   $       67       4,139   SH   DEFINED               22          -      0       4,139
TELMEX INTERNACIONAL-ADR     COMMON 879690105   $        2          96   SH   DEFINED                4           96    0         -
TELMEX INTERNACIONAL-ADR     COMMON 879690105   $       44       2,725   SH   DEFINED                5          325    0       2,400
TELMEX INTERNACIONAL-ADR     COMMON 879690204   $        1          51   SH   DEFINED               23           51    0         -
TELUS CORPORATION -NON VOTE  COMMON 87971M202   $      141       3,500   SH   DEFINED            10,14        3,500    0         -
TELUS CORPORATION -NON VOTE  COMMON 87971M202   $       25         625   SH   DEFINED               22          -      0         625
TELUS CORP- NON VTG          COMMON 87971M202   $       12         292   SH   DEFINED               23          292    0         -
TELUS CORP- NON VTG          COMMON 87971M202   $        1          24   SH   DEFINED               24           24    0         -
TELUS CORP- NON VTG          COMMON 87971M202   $  120,820   2,954,100   SH   DEFINED                3    2,954,100    0         -
TELUS CORP- NON VTG          COMMON 87971M202   $      225       5,507   SH   DEFINED                7        5,507    0         -
TELUS CORP- NON VTG          COMMON 87971M202   $      496      12,121   SH   DEFINED                8        8,428  3693         -
TEMECULA VALLEY BANCORP INC  COMMON 87972L104   $        1          89   SH   DEFINED               23           89    0         -
TEMPLE-INLAND INC            COMMON 879868107   $      347      30,779   SH   DEFINED               23       30,779    0         -
TEMPLE-INLAND INC            COMMON 879868107   $        6         565   SH   DEFINED               24          565    0         -
TELETECH HOLDINGS INC        COMMON 879939106   $       94       4,704   SH   DEFINED               23        4,704    0         -
TEMPLETON DRAGON FUND INC CF COMMON 88018T101   $      172       5,985   SH   DEFINED               22          -      0       5,985
TEMPLETON EMERGING MKTS CF   COMMON 880191101   $      273      11,774   SH   DEFINED               22        1,884    0       9,890
TEMPLETON EMERG MKTS INC FD
CF                           COMMON 880192109   $       32       2,101   SH   DEFINED               22          -      0       2,101
TEMPLETON GLOBAL INCOME FUND
C                            COMMON 880198106   $       14       1,514   SH   DEFINED               22          -      0       1,514
TEMPUR-PEDIC INTERNATIONAL   COMMON 88023U101   $    3,807     487,505   SH   DEFINED                1      487,505    0         -
TEMPUR-PEDIC INTERNATIONAL   COMMON 88023U101   $   35,952   4,603,275   SH   DEFINED              1,3    4,603,275    0         -
TEMPUR-PEDIC INTERNATIONAL   COMMON 88023U101   $      883     113,000   SH   DEFINED             18,3      113,000    0         -
TEMPUR-PEDIC INTERNATIONAL   COMMON 88023U101   $       55       7,104   SH   DEFINED               23        7,104    0         -
TEMPUR-PEDIC INTERNATIONAL   COMMON 88023U101   $  103,294  13,225,850   SH   DEFINED                3   13,225,850    0         -
TENARIS SA-ADR               COMMON 88031M109   $   85,444   1,146,893   SH   DEFINED                1    1,146,893    0         -
TENARIS SA-ADR               COMMON 88031M109   $      179       2,397   SH   DEFINED               23        2,397    0         -
TENARIS SA-ADR               COMMON 88031M109   $        3          39   SH   DEFINED                4           39    0         -
TENARIS SA-ADR               COMMON 88031M109   $   12,106     162,500   SH   DEFINED                8      162,500    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $    8,651   1,555,993   SH   DEFINED                1    1,555,993    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $      128      23,000   SH   DEFINED               17       23,000    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $      823     148,091   SH   DEFINED                2      148,091    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $    1,152     207,283   SH   DEFINED             20,2          -      0     207,283
TENET HEALTHCARE CORPORATION COMMON 88033G100   $      769     138,370   SH   DEFINED               23      138,370    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $       15       2,609   SH   DEFINED               24        2,609    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $        2         407   SH   DEFINED                4          407    0         -
TENET HEALTHCARE CORPORATION COMMON 88033G100   $        4         694   SH   DEFINED                5          -      0         694
TENNANT COMPANY              COMMON 880345103   $       64       2,123   SH   DEFINED               23        2,123    0         -
TENNECO INC                  COMMON 880349105   $    6,286     464,601   SH   DEFINED                1      464,601    0         -
TENNECO INC                  COMMON 880349105   $    5,183     383,058   SH   DEFINED                2      383,058    0         -
TENNECO INC                  COMMON 880349105   $        1          41   SH   DEFINED               22           21    0          20
TENNECO INC                  COMMON 880349105   $    1,735     128,207   SH   DEFINED               23      128,207    0         -
TENNECO INC                  COMMON 880349105   $        2         166   SH   DEFINED               24          166    0         -


TENNECO INC                  COMMON 880349105   $      128       9,480   SH   DEFINED                5        1,120    0       8,360
TERADATA CORP                COMMON 88076W103   $    4,620     199,673   SH   DEFINED                1      199,673    0         -
TERADATA CORP                COMMON 88076W103   $      532      22,975   SH   DEFINED             20,2       22,975    0         -
TERADATA CORP                COMMON 88076W103   $       31       1,338   SH   DEFINED               22          -      0       1,338
TERADATA CORP                COMMON 88076W103   $      192       8,312   SH   DEFINED               23        8,312    0         -
TERADATA CORP                COMMON 88076W103   $    1,495      64,590   SH   DEFINED                5          200    0      64,390
TERADYNE INC                 COMMON 880770102   $        9         800   SH   DEFINED               13          800    0         -
TERADYNE INC                 COMMON 880770102   $    2,444     220,800   SH   DEFINED               14       82,200    0     137,700
TERADYNE INC                 COMMON 880770102   $        9         800   SH   DEFINED            20,14          -      0         -
TERADYNE INC                 COMMON 880770102   $    1,891     170,834   SH   DEFINED               23      170,834    0         -
TERADYNE INC                 COMMON 880770102   $        2         198   SH   DEFINED               24          198    0         -
TEREX CORP                   COMMON 880779103   $    4,125      80,291   SH   DEFINED               23       80,291    0         -
TEREX CORP                   COMMON 880779103   $        5          91   SH   DEFINED               24           91    0         -
TEREX CORP                   COMMON 880779103   $      103       2,000   SH   DEFINED                5          -      0       2,000
TEREX CORP                   COMMON 880779103   $      100       1,954   SH   DEFINED                7        1,954    0         -
TERCICA INC                  COMMON 88078L105   $   13,138   1,487,874   SH   DEFINED              1,3    1,487,874    0         -
TERCICA INC                  COMMON 88078L105   $        2         225   SH   DEFINED               23          225    0         -
TERCICA INC                  COMMON 88078L105   $    2,966     335,859   SH   DEFINED                3      335,859    0         -
TERRA INDS INC               COMMON 880915103   $    6,060     122,800   SH   DEFINED                1      122,800    0         -
TERRA INDS INC               COMMON 880915103   $    2,359      47,800   SH   DEFINED             1,15       47,800    0         -
TERRA INDS INC               COMMON 880915103   $    1,375      27,861   SH   DEFINED              1,9       27,861    0         -
TERRA INDS INC               COMMON 880915103   $      768      15,556   SH   DEFINED             10,7       15,556    0         -
TERRA INDS INC               COMMON 880915103   $      239       4,842   SH   DEFINED               11        4,842    0         -
TERRA INDS INC               COMMON 880915103   $      788      15,966   SH   DEFINED               13       15,966    0         -
TERRA INDS INC               COMMON 880915103   $   67,778   1,373,419   SH   DEFINED               14      768,419    0     594,200
TERRA INDS INC               COMMON 880915103   $    3,627      73,500   SH   DEFINED             14,7          -      0      73,500
TERRA INDS INC               COMMON 880915103   $    1,007      20,398   SH   DEFINED               19       20,398    0         -
TERRA INDS INC               COMMON 880915103   $    2,438      49,412   SH   DEFINED               21       49,412    0         -
TERRA INDS INC               COMMON 880915103   $      881      17,852   SH   DEFINED               23       17,852    0         -
TERRA INDS INC               COMMON 880915103   $    1,555      31,500   SH   DEFINED             5,15       31,500    0         -
TERRA INDS INC               COMMON 880915103   $    5,768     116,881   SH   DEFINED                7      116,881    0         -
TERRA INDS INC               COMMON 880915103   $   49,507   1,003,191   SH   DEFINED                8    1,003,191    0         -
TERRA INDS INC               COMMON 880915103   $      188       3,800   SH   DEFINED             8,20        3,800    0         -
TERRA INDS INC               COMMON 880915103   $    5,106     103,472   SH   DEFINED                9      103,472    0         -
TERREMARK WORDWIDE           COMMON 881448203   $        9       1,630   SH   DEFINED               23        1,630    0         -
TESCO CORP                   COMMON 88157K101   $        1          23   SH   DEFINED               22          -      0          23
TESCO CORP                   COMMON 88157K101   $       11         320   SH   DEFINED               23          320    0         -
TESORO CORP                  COMMON 881609101   $        6         310   SH   DEFINED               14          310    0         -
TESORO CORP                  COMMON 881609101   $      591      29,905   SH   DEFINED               22          400    0      29,505
TESORO CORP                  COMMON 881609101   $      385      19,472   SH   DEFINED               23       19,472    0         -
TESORO CORP                  COMMON 881609101   $        6         307   SH   DEFINED               24          307    0         -
TESORO CORP                  COMMON 881609101   $      137       6,949   SH   DEFINED                5        6,949    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $  234,142   5,112,276   SH   DEFINED                1    5,112,276    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    1,003      21,900   SH   DEFINED             1,12       21,900    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $   20,566     449,036   SH   DEFINED               11      449,036    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $      291       6,344   SH   DEFINED               13        6,344    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $      291       6,344   SH   DEFINED             13,2        6,344    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    3,253      71,018   SH   DEFINED               14       71,018    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $   26,759     584,263   SH   DEFINED                2      584,263    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    1,452      31,700   SH   DEFINED             20,2          -      0      31,700
TEVA PHARMA INDS LTD A       COMMON 881624209   $   15,156     330,921   SH   DEFINED               22       50,729    0     280,192
TEVA PHARMA INDS LTD A       COMMON 881624209   $    1,619      35,355   SH   DEFINED               23       35,355    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    7,935     173,255   SH   DEFINED               24      173,255    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    9,423     205,744   SH   DEFINED              3,1      205,744    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $   33,691     735,609   SH   DEFINED                4      735,609    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    2,938      64,150   SH   DEFINED                5       25,987    0      38,163
TEVA PHARMA INDS LTD A       COMMON 881624209   $    8,084     176,500   SH   DEFINED             5,12      176,500    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    2,409      52,600   SH   DEFINED                8        5,100    0      47,500
TEVA PHARMA INDS LTD A       COMMON 881624209   $      985      21,500   SH   DEFINED             8,14       21,500    0         -
TEVA PHARMA INDS LTD A       COMMON 881624209   $    1,892      41,300   SH   DEFINED             8,20       41,300    0         -
TETRA TECHNOLOGIES INC DEL   COMMON 88162F105   $      149       6,276   SH   DEFINED               23        6,276    0         -
TETRA TECH INC               COMMON 88162G103   $   16,460     727,694   SH   DEFINED                1      727,694    0         -
TETRA TECH INC               COMMON 88162G103   $    7,263     321,100   SH   DEFINED               14      211,700    0     109,400
TETRA TECH INC               COMMON 88162G103   $   13,562     599,577   SH   DEFINED                2      599,577    0         -
TETRA TECH INC               COMMON 88162G103   $       48       2,118   SH   DEFINED               22          -      0       2,118
TETRA TECH INC               COMMON 88162G103   $  110,439   4,882,363   SH   DEFINED               23    4,882,363    0         -
TETRA TECH INC               COMMON 88162G103   $      225       9,940   SH   DEFINED               24        9,940    0         -
TETRA TECH INC               COMMON 88162G103   $    1,181      52,200   SH   DEFINED             5,15       52,200    0         -
TESSERA TECHNOLOGIES INC     COMMON 88164L100   $       33       2,000   SH   DEFINED               22          -      0       2,000
TESSERA TECHNOLOGIES INC     COMMON 88164L100   $       36       2,187   SH   DEFINED               23        2,187    0         -
TEVA PHARMACEUT CVT(TEVA)
                         0.5 CONVERT88164RAA5   $   20,263  16,575,000   SH   DEFINED               14          -      0  14,050,000
TEVA PHARMACEUT CVT(TEVA)
                        0.25 CONVERT88164RAB3   $   12,015   9,000,000   SH   DEFINED               14          -      0   7,625,000
TEXAS CAPITAL BANCSHARES INC COMMON 88224Q107   $      265      16,545   SH   DEFINED               23       16,545    0         -
TEXAS INDUSTRIES INC         COMMON 882491103   $   15,868     282,709   SH   DEFINED                1      282,709    0         -
TEXAS INDUSTRIES INC         COMMON 882491103   $   11,505     204,967   SH   DEFINED                2      166,239    0      38,728
TEXAS INDUSTRIES INC         COMMON 882491103   $      158       2,813   SH   DEFINED               23        2,813    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $   76,584   2,719,596   SH   DEFINED                1    2,719,596    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    9,236     328,000   SH   DEFINED             1,15      328,000    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    8,444     299,864   SH   DEFINED              1,9      299,864    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    1,304      46,300   SH   DEFINED            10,14       46,300    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $      346      12,298   SH   DEFINED               11       12,298    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $       76       2,700   SH   DEFINED               13        2,700    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $   78,351   2,782,350   SH   DEFINED               14    2,003,200    0     696,850
TEXAS INSTRUMENTS INC        COMMON 882508104   $    1,202      42,700   SH   DEFINED            14,13          -      0      42,700
TEXAS INSTRUMENTS INC        COMMON 882508104   $    5,517     195,900   SH   DEFINED             14,7          -      0     195,900
TEXAS INSTRUMENTS INC        COMMON 882508104   $    1,115      39,600   SH   DEFINED               17       39,600    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $      209       7,409   SH   DEFINED               19        7,409    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    5,811     206,343   SH   DEFINED                2      206,343    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $      603      21,400   SH   DEFINED            20,14          -      0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    2,190      77,763   SH   DEFINED             20,2       77,763    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $      244       8,653   SH   DEFINED               21        8,653    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $   11,343     402,819   SH   DEFINED               22       91,600    0     311,219
TEXAS INSTRUMENTS INC        COMMON 882508104   $   15,953     566,523   SH   DEFINED               23      566,523    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $       27         964   SH   DEFINED               24          964    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    7,581     269,199   SH   DEFINED                3      269,199    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $      232       8,222   SH   DEFINED                4        8,222    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    1,511      53,654   SH   DEFINED                5       37,060    0      16,594
TEXAS INSTRUMENTS INC        COMMON 882508104   $    2,698      95,800   SH   DEFINED             5,15       95,800    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    3,469     123,205   SH   DEFINED                7      123,205    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $   17,936     636,942   SH   DEFINED                8      636,942    0         -




TEXAS INSTRUMENTS INC        COMMON 882508104   $    6,950     246,800   SH   DEFINED             8,14      246,800    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $    1,262      44,800   SH   DEFINED              8,2       44,800    0         -
TEXAS INSTRUMENTS INC        COMMON 882508104   $      653      23,200   SH   DEFINED             9,14          -      0      23,200
TEXAS PACIFIC LAND TRUST     COMMON 882610108   $       46       1,000   SH   DEFINED               22          -      0       1,000
TEXAS ROADHOUSE INC-CLASS A  COMMON 882681109   $       54       5,971   SH   DEFINED               23        5,971    0         -
TEXTRON INC                  COMMON 883203101   $   14,365     299,706   SH   DEFINED               22      177,278    0     122,428
TEXTRON INC                  COMMON 883203101   $   16,947     353,569   SH   DEFINED               23      353,569    0         -
TEXTRON INC                  COMMON 883203101   $       15         308   SH   DEFINED               24          308    0         -
TEXTRON INC                  COMMON 883203101   $    9,101     189,891   SH   DEFINED                5      150,743    0      39,148
TEXTRON INC                  COMMON 883203101   $      249       5,190   SH   DEFINED                7        5,190    0         -
THERAGENICS CORP             COMMON 883375107   $      206      56,810   SH   DEFINED               23       56,810    0         -
THE9 LTD-ADR                 COMMON 88337K104   $    1,532      67,827   SH   DEFINED               23       67,827    0         -
THERMADYNE HOLDINGS CORP     COMMON 883435307   $       78       5,283   SH   DEFINED               23        5,283    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $   23,173     415,807   SH   DEFINED                1      415,807    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $       17         300   SH   DEFINED               14          300    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $      228       4,100   SH   DEFINED               17        4,100    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $    1,808      32,445   SH   DEFINED                2       32,445    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $    2,531      45,414   SH   DEFINED             20,2          -      0      45,414
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $   27,396     491,589   SH   DEFINED               22       90,948    0     400,641
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $   11,614     208,399   SH   DEFINED               23      208,399    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $       21         369   SH   DEFINED               24          369    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $    6,774     121,550   SH   DEFINED                3      121,550    0         -
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $   10,826     194,252   SH   DEFINED                5      154,899    0      39,353
THERMO FISHER SCIENTIFIC INC COMMON 883556102   $      436       7,820   SH   DEFINED                7        7,820    0         -
THERMOGENESIS CORP           COMMON 883623209   $        1         487   SH   DEFINED               23          487    0         -
THESTREET COM                COMMON 88368Q103   $        5         832   SH   DEFINED               23          832    0         -
THINKORSWIM GROUP INC        COMMON 88409C105   $      304      43,074   SH   DEFINED               23       43,074    0         -
THIRD WAVE TECNOLOGIES       COMMON 88428W108   $        4         382   SH   DEFINED               23          382    0         -
THOMAS & BETTS CORP          COMMON 884315102   $      143       3,772   SH   DEFINED               23        3,772    0         -
THOMAS & BETTS CORP          COMMON 884315102   $        3          69   SH   DEFINED               24           69    0         -
THOMAS & BETTS CORP          COMMON 884315102   $       17         453   SH   DEFINED                5          350    0         103
THOMAS PROPERTIES GROUP      COMMON 884453101   $        2         208   SH   DEFINED               23          208    0         -
THOMAS WEISEL PARTNERS GROUP COMMON 884481102   $       35       6,338   SH   DEFINED               23        6,338    0         -
THOMSON REUTERS CORP         COMMON 884903105   $      129       4,000   SH   DEFINED            10,14        4,000    0         -
THOMSON REUTERS CORP         COMMON 884903105   $    5,797     180,080   SH   DEFINED               23      180,080    0         -
THOMSON REUTERS CORP         COMMON 884903105   $        1          18   SH   DEFINED               24           18    0         -
THOMSON REUTERS CORP         COMMON 884903105   $  359,482  11,084,400   SH   DEFINED                3   11,084,400    0         -
THOMSON REUTERS CORP         COMMON 884903105   $      170       5,243   SH   DEFINED                7        5,243    0         -
THOMSON REUTERS CORP         COMMON 884903105   $      431      13,400   SH   DEFINED             8,14       13,400    0         -
THOMSON MULTIMEDIA ADR       COMMON 885118109   $   20,745   4,036,061   SH   DEFINED               11    4,036,061    0         -
THOMSON MULTIMEDIA ADR       COMMON 885118109   $      375      72,880   SH   DEFINED               14       72,880    0         -
THOMSON MULTIMEDIA ADR       COMMON 885118109   $       12       2,260   SH   DEFINED               22          -      0       2,260
THOMSON REUTERS PLC-ADR      COMMON 885141101   $      124         637   SH   DEFINED               22          -      0         637
THOMSON REUTERS PLC-ADR      COMMON 885141101   $    4,445      22,902   SH   DEFINED               23       22,902    0         -
THOR INDUSTRIES INC          COMMON 885160101   $    3,051     143,500   SH   DEFINED               14       55,900    0      87,100
THOR INDUSTRIES INC          COMMON 885160101   $       72       3,395   SH   DEFINED               23        3,395    0         -
THOR INDUSTRIES INC          COMMON 885160101   $        1          65   SH   DEFINED               24           65    0         -
THOR INDUSTRIES INC          COMMON 885160101   $        6         280   SH   DEFINED                5          -      0         280
THOR INDUSTRIES INC          COMMON 885160101   $       38       1,800   SH   DEFINED             5,15        1,800    0         -
THORATEC CORPORATION         COMMON 885175307   $       35       2,000   SH   DEFINED               17        2,000    0         -
THORATEC CORPORATION         COMMON 885175307   $       68       3,886   SH   DEFINED               23        3,886    0         -
THORNBURG MTG ASSET CORP     COMMON 885218107        $ -         1,895   SH   DEFINED               22          -      0       1,895
THORNBURG MTG ASSET CORP     COMMON 885218107   $        1       4,836   SH   DEFINED               23        4,836    0         -
THORNBURG MTG ASSET CORP     COMMON 885218107        $ -           500   SH   DEFINED                5          500    0         -
THORNBURG MTG INC CVT PFD
                        10.0 CONVERT885218701   $        8       2,000   SH   DEFINED               22          -      0       2,000
3COM CORP                    COMMON 885535104   $        1         500   SH   DEFINED               22          -      0         500
3COM CORP                    COMMON 885535104   $      842     397,011   SH   DEFINED               23      397,011    0         -
3D SYSTEMS CORPORATION       COMMON 88554D205   $        2         194   SH   DEFINED               23          194    0         -
3SBIO INC-ADR                COMMON 88575Y105   $      463      51,150   SH   DEFINED               23       51,150    0         -
3M CO                        COMMON 88579Y101   $  185,903   2,671,401   SH   DEFINED                1    2,671,401    0         -
3M CO                        COMMON 88579Y101   $    1,072      15,400   SH   DEFINED             1,15       15,400    0         -
3M CO                        COMMON 88579Y101   $       70       1,000   SH   DEFINED            10,14        1,000    0         -
3M CO                        COMMON 88579Y101   $   23,575     338,774   SH   DEFINED               11       66,074    0     272,700
3M CO                        COMMON 88579Y101   $       28         400   SH   DEFINED               13          400    0         -
3M CO                        COMMON 88579Y101   $   13,234     190,165   SH   DEFINED               14      153,465    0      30,500
3M CO                        COMMON 88579Y101   $    1,802      25,900   SH   DEFINED             14,7          -      0      25,900
3M CO                        COMMON 88579Y101   $        9         125   SH   DEFINED            18,11          125    0         -
3M CO                        COMMON 88579Y101   $      438       6,300   SH   DEFINED            18,14          -      0       6,300
3M CO                        COMMON 88579Y101   $      849      12,200   SH   DEFINED            19,14        7,000    0       5,200
3M CO                        COMMON 88579Y101   $       28         400   SH   DEFINED            20,14          -      0         -
3M CO                        COMMON 88579Y101   $      101       1,450   SH   DEFINED               21        1,450    0         -
3M CO                        COMMON 88579Y101   $   11,095     159,430   SH   DEFINED               22        6,440    0     152,990
3M CO                        COMMON 88579Y101   $    6,123      87,985   SH   DEFINED               23       87,985    0         -
3M CO                        COMMON 88579Y101   $       55         796   SH   DEFINED               24          796    0         -
3M CO                        COMMON 88579Y101   $      459       6,600   SH   DEFINED                3        6,600    0         -
3M CO                        COMMON 88579Y101   $        5          71   SH   DEFINED                4           71    0         -
3M CO                        COMMON 88579Y101   $    2,844      40,875   SH   DEFINED                5       28,141    0      12,734
3M CO                        COMMON 88579Y101   $      139       2,000   SH   DEFINED                6        2,000    0         -
3M CO                        COMMON 88579Y101   $    1,139      16,374   SH   DEFINED                7       16,374    0         -
3M CO                        COMMON 88579Y101   $    2,794      40,143   SH   DEFINED                8       40,143    0         -
3M CO                        COMMON 88579Y101   $    6,869      98,700   SH   DEFINED             8,14       78,800    0      19,900
TIBCO SOFTWARE INC           COMMON 88632Q103   $   10,276   1,343,300   SH   DEFINED               14      650,100    0     686,300
TIBCO SOFTWARE INC           COMMON 88632Q103   $       21       2,738   SH   DEFINED               22        2,738    0         -
TIBCO SOFTWARE INC           COMMON 88632Q103   $      193      25,264   SH   DEFINED               23       25,264    0         -
TIBCO SOFTWARE INC           COMMON 88632Q103   $      447      58,400   SH   DEFINED             5,15       58,400    0         -
TIBCO SOFTWARE INC           COMMON 88632Q103   $      529      69,100   SH   DEFINED                8       69,100    0         -
TIBCO SOFTWARE INC           COMMON 88632Q103   $      145      18,900   SH   DEFINED             8,20       18,900    0         -
TIDEWATER INC                COMMON 886423102   $    3,444      52,965   SH   DEFINED               14       24,665    0      27,600
TIDEWATER INC                COMMON 886423102   $      207       3,180   SH   DEFINED               22          -      0       3,180
TIDEWATER INC                COMMON 886423102   $   11,470     176,379   SH   DEFINED               23      176,379    0         -
TIDEWATER INC                COMMON 886423102   $       28         431   SH   DEFINED               24          431    0         -
TIDEWATER INC                COMMON 886423102   $       58         897   SH   DEFINED                5          897    0         -
TIER TECHNOLOGIES INC CL B   COMMON 88650Q100   $      225      28,074   SH   DEFINED               23       28,074    0         -
TIERONE CORPORATION          COMMON 88650R108   $       17       3,725   SH   DEFINED               23        3,725    0         -
TIENS BIOTECH GROUP USA INC  COMMON 88650T104   $      255     167,928   SH   DEFINED               23      167,928    0         -
TIFFANY & CO                 COMMON 886547108   $    7,779     190,900   SH   DEFINED               14       70,700    0     118,800
TIFFANY & CO                 COMMON 886547108   $      444      10,900   SH   DEFINED             14,7          -      0      10,900
TIFFANY & CO                 COMMON 886547108   $      152       3,730   SH   DEFINED               22          -      0       3,730
TIFFANY & CO                 COMMON 886547108   $      478      11,729   SH   DEFINED               23       11,729    0         -
TIFFANY & CO                 COMMON 886547108   $        4         110   SH   DEFINED               24          110    0         -





TIFFANY & CO                 COMMON 886547108   $      49       1,200    SH   DEFINED               5          -      0       1,200
TIFFANY & CO                 COMMON 886547108   $     127       3,112    SH   DEFINED               7        3,112    0         -
TIFFANY & CO                 COMMON 886547108   $     773      18,963    SH   DEFINED               8       18,963    0         -
TIM HORTONS INC              COMMON 88706M103   $   2,644      92,172    SH   DEFINED             1,3       92,172    0         -
TIM HORTONS INC              COMMON 88706M103   $     188       6,560    SH   DEFINED              21        6,560    0         -
TIM HORTONS INC              COMMON 88706M103   $     172       6,006    SH   DEFINED              23        6,006    0         -
TIM HORTONS INC              COMMON 88706M103   $  12,931     450,700    SH   DEFINED               3      450,700    0         -
TIM HORTONS INC              COMMON 88706M103   $      22         784    SH   DEFINED               5          400    0         384
TIM HORTONS INC              COMMON 88706M103   $     140       4,892    SH   DEFINED               7        4,892    0         -
TIM HORTONS INC              COMMON 88706M103   $   3,048     106,247    SH   DEFINED               8      106,247    0         -
TIM HORTONS INC              COMMON 88706M103   $     132       4,599    SH   DEFINED               9        4,599    0         -
TIM PARTICIPACOES SA ADR     COMMON 88706P106       $ -            16    SH   DEFINED              22          -      0          16
TIM PARTICIPACOES SA ADR     COMMON 88706P106   $     118       4,157    SH   DEFINED              23        4,157    0         -
TIM PARTICIPACOES SA ADR     COMMON 88706P106       $ -             6    SH   DEFINED               4            6    0         -
TIMBERLAND BANCORP INC       COMMON 887098101   $       2         195    SH   DEFINED              23          195    0         -
TIMBERLAND CO                COMMON 887100105   $     319      19,522    SH   DEFINED              23       19,522    0         -
TIMBERLAND CO                COMMON 887100105   $       2         109    SH   DEFINED              24          109    0         -
TIMBERLAND CO                COMMON 887100105   $     105       6,450    SH   DEFINED               5          -      0       6,450
TIME WARNER INC              COMMON 887317105   $  37,306   2,520,685    SH   DEFINED               1    2,520,685    0         -
TIME WARNER INC              COMMON 887317105   $   1,180      79,705    SH   DEFINED            13,2          -      0      79,705
TIME WARNER INC              COMMON 887317105   $   4,152     280,560    SH   DEFINED              14      155,760    0     108,600
TIME WARNER INC              COMMON 887317105   $   1,042      70,400    SH   DEFINED            14,7          -      0      70,400
TIME WARNER INC              COMMON 887317105   $   1,010      68,246    SH   DEFINED              22       52,030    0      16,216
TIME WARNER INC              COMMON 887317105   $   6,258     422,838    SH   DEFINED              23      422,838    0         -
TIME WARNER INC              COMMON 887317105   $     104       7,011    SH   DEFINED              24        7,011    0         -
TIME WARNER INC              COMMON 887317105   $ 133,410   9,014,200    SH   DEFINED               3    9,014,200    0         -
TIME WARNER INC              COMMON 887317105   $     143       9,658    SH   DEFINED               5          400    0       9,258
TIME WARNER INC              COMMON 887317105   $     992      67,059    SH   DEFINED               7       67,059    0         -
TIME WARNER INC              COMMON 887317105   $  26,479   1,789,150    SH   DEFINED               8    1,789,150    0         -
TIME WARNER CABLE INC CL A   COMMON 88732J108   $   3,250     122,751    SH   DEFINED               1      122,751    0         -
TIME WARNER CABLE INC CL A   COMMON 88732J108   $      51       1,930    SH   DEFINED              14        1,530    0         400
TIME WARNER CABLE INC CL A   COMMON 88732J108   $   1,336      50,463    SH   DEFINED              23       50,463    0         -
TIME WARNER CABLE INC CL A   COMMON 88732J108   $      10         390    SH   DEFINED              24          390    0         -
TIMKEN CO                    COMMON 887389104   $       2          50    SH   DEFINED              22          -      0          50
TIMKEN CO                    COMMON 887389104   $     312       9,472    SH   DEFINED              23        9,472    0         -
TIMKEN CO                    COMMON 887389104   $       6         174    SH   DEFINED              24          174    0         -
TITAN INTERNATIONAL INC      COMMON 88830M102   $      52       1,473    SH   DEFINED              23        1,473    0         -
TITAN MACHINERY INC          COMMON 88830R101   $   3,426     109,400    SH   DEFINED              14       62,700    0      46,700
TITAN MACHINERY INC          COMMON 88830R101   $     551      17,600    SH   DEFINED            5,15       17,600    0         -
TITANIUM METALS CORP         COMMON 888339207   $  21,873   1,563,503    SH   DEFINED               1    1,563,503    0         -
TITANIUM METALS CORP         COMMON 888339207   $   1,556     111,235    SH   DEFINED               2      111,235    0         -
TITANIUM METALS CORP         COMMON 888339207   $     112       8,000    SH   DEFINED              22          -      0       8,000
TITANIUM METALS CORP         COMMON 888339207   $     113       8,043    SH   DEFINED              23        8,043    0         -
TITANIUM METALS CORP         COMMON 888339207   $       3         244    SH   DEFINED               5          -      0         244
TITANIUM METALS CORP         COMMON 888339207   $      65       4,618    SH   DEFINED             8,2        4,618    0         -
TIVO INC                     COMMON 888706108   $     304      49,206    SH   DEFINED              23       49,206    0         -
TIVO INC                     COMMON 888706108   $       1         200    SH   DEFINED               5          200    0         -
TOLL BROTHERS INC            COMMON 889478103   $     320      17,107    SH   DEFINED              23       17,107    0         -
TOLL BROTHERS INC            COMMON 889478103   $       7         369    SH   DEFINED              24          369    0         -
TOLL BROTHERS INC            COMMON 889478103   $       4         191    SH   DEFINED               5          -      0         191
TOLL BROTHERS INC            COMMON 889478103   $     112       5,972    SH   DEFINED               7        5,972    0         -
TOLLGRADE COMMUNICATIONS INC COMMON 889542106   $       1         116    SH   DEFINED              23          116    0         -
TOMKINS PLC ADR              COMMON 890030208   $  12,778   1,056,045    SH   DEFINED              23    1,056,045    0         -
TOMOTHERAPY INC              COMMON 890088107   $      45       5,000    SH   DEFINED              22          -      0       5,000
TOMPKINS FINANCIAL CORP      COMMON 890110109   $   2,570      69,074    SH   DEFINED              23       69,074    0         -
TONGJITANG CHINESE MEDIC-ADR COMMON 89025E103   $     328      78,681    SH   DEFINED              23       78,681    0         -
TOOTSIE ROLL INDS INC        COMMON 890516107   $     145       5,768    SH   DEFINED              22        5,765    0           3
TOOTSIE ROLL INDS INC        COMMON 890516107   $     118       4,710    SH   DEFINED              23        4,710    0         -
TORCHMARK CORP               COMMON 891027104   $     314       5,350    SH   DEFINED              14        4,650    0         700
TORCHMARK CORP               COMMON 891027104   $     352       6,000    SH   DEFINED            14,7          -      0       6,000
TORCHMARK CORP               COMMON 891027104   $      52         879    SH   DEFINED              22          129    0         750
TORCHMARK CORP               COMMON 891027104   $   4,680      79,793    SH   DEFINED              23       79,793    0         -
TORCHMARK CORP               COMMON 891027104   $     213       3,634    SH   DEFINED              24        3,634    0         -
TORCHMARK CORP               COMMON 891027104   $   4,234      72,194    SH   DEFINED               5       72,180    0          14
TORCHMARK CORP               COMMON 891027104   $     123       2,093    SH   DEFINED               7        2,093    0         -
TOREADOR RESOURCES CORP      COMMON 891050106   $       1         127    SH   DEFINED              23          127    0         -
TORO CO                      COMMON 891092108   $       2          75    SH   DEFINED              22          -      0          75
TORO CO                      COMMON 891092108   $     155       4,654    SH   DEFINED              23        4,654    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $     149       2,400    SH   DEFINED           10,14        2,400    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $   2,510      39,629    SH   DEFINED               2       39,629    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $      39         621    SH   DEFINED              22          -      0         621
TORONTO-DOMINION BANK        COMMON 891160509   $   7,365     118,218    SH   DEFINED              23      118,218    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $       4          71    SH   DEFINED              24           71    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $ 451,761   7,132,900    SH   DEFINED               3    7,132,900    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $  48,274     762,207    SH   DEFINED             3,1      762,207    0         -
TORONTO-DOMINION BANK        COMMON 891160509   $      22         359    SH   DEFINED               5          -      0         359
TORONTO-DOMINION BANK        COMMON 891160509   $     747      11,791    SH   DEFINED               7       11,791    0         -
TORTOISE CAPITAL RESOURCES C COMMON 89147N304   $     630      50,631    SH   DEFINED              23       50,631    0         -
TORTOISE ENERGY CAPITAL CORP
C                            COMMON 89147U100   $      68       2,620    SH   DEFINED              22          -      0       2,620
TORTOISE ENERGY CAPITAL CORP
C                            COMMON 89147U100   $      54       2,078    SH   DEFINED               5        2,078    0         -
TOTAL SA-SPON ADR            COMMON 89151E109   $  93,797   1,100,000    SH   DEFINED               1    1,100,000    0         -
TOTAL SA-SPON ADR            COMMON 89151E109   $  11,614     136,200    SH   DEFINED            1,12      136,200    0         -
TOTAL SA-SPON ADR            COMMON 89151E109   $ 174,026   2,040,880    SH   DEFINED              11    1,897,705    0     143,175
TOTAL SA-SPON ADR            COMMON 89151E109   $  15,519     182,000    SH   DEFINED            13,2          -      0     182,000
TOTAL SA-SPON ADR            COMMON 89151E109   $   7,723      90,575    SH   DEFINED              14       28,975    0      61,600
TOTAL SA-SPON ADR            COMMON 89151E109   $     423       4,960    SH   DEFINED              22        1,000    0       3,960
TOTAL SA-SPON ADR            COMMON 89151E109   $  44,523     522,136    SH   DEFINED               4      522,136    0         -
TOTAL SA-SPON ADR            COMMON 89151E109   $      51         600    SH   DEFINED               5          -      0         600
TOWER GROUP INC              COMMON 891777104   $      13         600    SH   DEFINED              22          -      0         600
TOWER GROUP INC              COMMON 891777104   $       4         202    SH   DEFINED              23          202    0         -
TOTAL SYS SVCS INC           COMMON 891906109   $     310      13,950    SH   DEFINED              14        1,150    0      11,400
TOTAL SYS SVCS INC           COMMON 891906109   $   3,703     166,657    SH   DEFINED              23      166,657    0         -
TOTAL SYS SVCS INC           COMMON 891906109   $     196       8,843    SH   DEFINED              24        8,843    0         -
TOTAL SYS SVCS INC           COMMON 891906109   $   1,087      48,906    SH   DEFINED               5       48,906    0         -
TOWN SPORTS INTERNATIONAL    COMMON 89214A102   $      25       2,675    SH   DEFINED              23        2,675    0         -
TOYOTA MOTOR CORPORATION ADR COMMON 892331307   $  48,805     519,199    SH   DEFINED              11      519,199    0         -
TOYOTA MOTOR CORPORATION ADR COMMON 892331307   $     760       8,089    SH   DEFINED              14        8,089    0         -
TOYOTA MOTOR CORPORATION ADR COMMON 892331307   $     135       1,431    SH   DEFINED              22          -      0       1,431
TOYOTA MOTOR CORPORATION ADR COMMON 892331307   $   5,125      54,521    SH   DEFINED              23       54,521    0         -
TOYOTA MOTOR CORPORATION ADR COMMON 892331307   $  22,832     242,897    SH   DEFINED               4      242,897    0         -


TOYOTA MOTOR CORPORATION ADR COMMON 892331307   $        9         100   SH   DEFINED                5          -     0         100
TOYS PLUS INC                COMMON 892334103        $ -           200   SH   DEFINED               22          -     0         200
TRACTOR SUPPLY COMPANY       COMMON 892356106   $        6         200   SH   DEFINED               22          -     0         200
TRACTOR SUPPLY COMPANY       COMMON 892356106   $      172       5,929   SH   DEFINED               23        5,929   0         -
TRADESTATION GOURP INC       COMMON 89267P105   $        2         195   SH   DEFINED               23          195   0         -
TRANS WORLD ENTERTAINMENT    COMMON 89336Q100   $       75      26,356   SH   DEFINED               23       26,356   0         -
TRANSALTA CORP               COMMON 89346D107   $      120       3,300   SH   DEFINED            10,14        3,300   0         -
TRANSALTA CORP               COMMON 89346D107   $       35         974   SH   DEFINED               23          974   0         -
TRANSALTA CORP               COMMON 89346D107   $      118       3,244   SH   DEFINED                7        3,244   0         -
TRANSALTA CORP               COMMON 89346D107   $      547      15,100   SH   DEFINED             8,14       15,100   0         -
TRANSATLANTIC HLDGS INC      COMMON 893521104   $       11         200   SH   DEFINED               14          200   0         -
TRANSATLANTIC HLDGS INC      COMMON 893521104   $    4,032      71,405   SH   DEFINED               23       71,405   0         -
TRANSATLANTIC HLDGS INC      COMMON 893521104   $      196       3,468   SH   DEFINED               24        3,468   0         -
TRANSCANADA CORP             COMMON 89353D107   $      209       5,400   SH   DEFINED            10,14        5,400   0         -
TRANSCANADA CORP             COMMON 89353D107   $    1,886      48,440   SH   DEFINED               21       48,440   0         -
TRANSCANADA CORP             COMMON 89353D107   $    8,243     212,605   SH   DEFINED               23      212,605   0         -
TRANSCANADA CORP             COMMON 89353D107   $        4          97   SH   DEFINED               24           97   0         -
TRANSCANADA CORP             COMMON 89353D107   $  186,374   4,786,500   SH   DEFINED                3    4,786,500   0         -
TRANSCANADA CORP             COMMON 89353D107   $   22,053     568,825   SH   DEFINED                4      568,825   0         -
TRANSCANADA CORP             COMMON 89353D107   $      312       8,001   SH   DEFINED                7        8,001   0         -
TRANSCANADA CORP             COMMON 89353D107   $   16,752     430,221   SH   DEFINED                8      430,221   0         -
TRANSCANADA CORP             COMMON 89353D107   $      461      11,900   SH   DEFINED             8,14       11,900   0         -
TRANSCANADA CORP             COMMON 89353D107   $      680      17,466   SH   DEFINED                9       17,466   0         -
TRANSCONTINENTAL RLTY INVS   COMMON 893617209   $       65       3,896   SH   DEFINED               23        3,896   0         -
TRANSDIGM GROUP INC          COMMON 893641100   $   12,858     382,778   SH   DEFINED                1      382,778   0         -
TRANSDIGM GROUP INC          COMMON 893641100   $    9,669     287,868   SH   DEFINED                2      287,868   0         -
TRANSDIGM GROUP INC          COMMON 893641100   $       61       1,808   SH   DEFINED               23        1,808   0         -
TRANSGLOBE ENERGY CORP       COMMON 893662106   $        3         522   SH   DEFINED               23          522   0         -
TRANSITION THERAPEUTICS INC  COMMON 893716209   $        2         201   SH   DEFINED               23          201   0         -
TRANSITIONAL HOSPITALS CORP  COMMON 893719104        $ -            35   SH   DEFINED                5           35   0         -
TRANSMETA CORP-DELAWARE      COMMON 89376R208   $        1         105   SH   DEFINED               23          105   0         -
TRANSMONTAIGNE PARTNERS LP   COMMON 89376V100   $      214       7,902   SH   DEFINED               23        7,902   0         -
TRANSMONTAIGNE PARTNERS LP   COMMON 89376V100   $       20         750   SH   DEFINED                5          -     0         750
TRANSOCEAN INC 1.5 12-15-37  CONVERT893830AW9   $   28,449  25,010,000   SH   DEFINED               14       10,000   0  21,175,000
TRANS1 INC                   COMMON 89385X105   $        2         130   SH   DEFINED               23          130   0         -
TRANSCEND SERVICES INC       COMMON 893929208        $ -            20   SH   DEFINED                5           20   0         -
TRANSWITCH CORP              COMMON 894065101   $        1       1,156   SH   DEFINED               23        1,156   0         -
TRAVELCENTERS OF AMERICA LLC COMMON 894174101   $       24      10,360   SH   DEFINED               23       10,360   0         -
TRAVELCENTERS OF AMERICA LLC COMMON 894174101        $ -           202   SH   DEFINED               24          202   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      278       6,400   SH   DEFINED                1        6,400   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $    6,497     149,700   SH   DEFINED             1,15      149,700   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      781      18,000   SH   DEFINED            10,14       18,000   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      302       6,963   SH   DEFINED               11        6,963   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $       69       1,600   SH   DEFINED               13        1,600   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $   49,701   1,145,193   SH   DEFINED               14      787,843   0     308,350
TRAVELERS COS INC-THE        COMMON 89417E109   $    1,224      28,200   SH   DEFINED            14,13          -     0      28,200
TRAVELERS COS INC-THE        COMMON 89417E109   $    3,659      84,300   SH   DEFINED             14,7          -     0      84,300
TRAVELERS COS INC-THE        COMMON 89417E109   $      285       6,561   SH   DEFINED               19        6,561   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      109       2,500   SH   DEFINED            20,14          -     0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      775      17,857   SH   DEFINED               21       17,857   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      266       6,131   SH   DEFINED               22           93   0       6,038
TRAVELERS COS INC-THE        COMMON 89417E109   $   19,064     439,252   SH   DEFINED               23      439,252   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      877      20,200   SH   DEFINED               24       20,200   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      452      10,411   SH   DEFINED                5        6,751   0       3,660
TRAVELERS COS INC-THE        COMMON 89417E109   $    2,747      63,300   SH   DEFINED             5,15       63,300   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $    1,757      40,495   SH   DEFINED                7       40,495   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $    1,548      35,674   SH   DEFINED                8       35,674   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $    6,041     139,200   SH   DEFINED             8,14      139,200   0         -
TRAVELERS COS INC-THE        COMMON 89417E109   $      664      15,300   SH   DEFINED             9,14          -     0      15,300
TRAVELZOO INC                COMMON 89421Q106        $ -            25   SH   DEFINED               23           25   0         -
TREDEGAR CORPORATION         COMMON 894650100   $    4,078     277,400   SH   DEFINED               14      203,200   0      74,200
TREDEGAR CORPORATION         COMMON 894650100   $      285      19,399   SH   DEFINED               23       19,399   0         -
TREDEGAR CORPORATION         COMMON 894650100   $      623      42,400   SH   DEFINED             5,15       42,400   0         -
TREEHOUSE FOODS              COMMON 89469A104   $    7,472     308,006   SH   DEFINED                1      308,006   0         -
TREEHOUSE FOODS              COMMON 89469A104   $    4,324     178,241   SH   DEFINED                2       69,890   0     108,351
TREEHOUSE FOODS              COMMON 89469A104   $      151       6,228   SH   DEFINED               23        6,228   0         -
TREEHOUSE FOODS              COMMON 89469A104   $      387      15,935   SH   DEFINED                5        2,265   0      13,670
TREX INC                     COMMON 89531P105   $       34       2,893   SH   DEFINED               23        2,893   0         -
TRI-VALLEY CORP              COMMON 895735108   $       11       1,450   SH   DEFINED               22          -     0       1,450
TRIDENT MICROSYSTEMS INC     COMMON 895919108   $        2         529   SH   DEFINED               23          529   0         -
TRIAD GUARANTY INC           COMMON 895925105   $        9       8,438   SH   DEFINED               23        8,438   0         -
TRIARC COS INC               COMMON 895927101   $       21       3,228   SH   DEFINED               23        3,228   0         -
TRIARC COS-B                 COMMON 895927309   $       45       7,055   SH   DEFINED               23        7,055   0         -
TRICO BANCSHARES             COMMON 896095106   $       29       2,669   SH   DEFINED               23        2,669   0         -
TRICO MARINE SERVICES INC    COMMON 896106200   $   12,746     349,960   SH   DEFINED               23      349,960   0         -
TRIMAS CORP                  COMMON 896215209   $      184      30,800   SH   DEFINED               14       15,500   0      15,300
TRIMAS CORP                  COMMON 896215209   $       53       8,929   SH   DEFINED               23        8,929   0         -
TRIMAS CORP                  COMMON 896215209   $       28       4,700   SH   DEFINED             5,15        4,700   0         -
TRIMBLE NAVIGATION LTD       COMMON 896239100   $   21,549     603,626   SH   DEFINED                1      603,626   0         -
TRIMBLE NAVIGATION LTD       COMMON 896239100   $    2,132      59,731   SH   DEFINED                2       59,731   0         -
TRIMBLE NAVIGATION LTD       COMMON 896239100   $       88       2,472   SH   DEFINED               22          -     0       2,472
TRIMBLE NAVIGATION LTD       COMMON 896239100   $    7,676     215,007   SH   DEFINED               23      215,007   0         -
TRIMBLE NAVIGATION LTD       COMMON 896239100   $       12         330   SH   DEFINED                5          -     0         330
TRIMBLE NAVIGATION LTD       COMMON 896239100   $       89       2,480   SH   DEFINED              8,2        2,480   0         -
TRIMERIS INC                 COMMON 896263100   $        1         194   SH   DEFINED               23          194   0         -
TRINA SOLAR LTD-SPON ADR     COMMON 89628E104   $   36,179   1,180,776   SH   DEFINED               23    1,180,776   0         -
TRINA SOLAR LTD-SPON ADR     COMMON 89628E104   $       18         600   SH   DEFINED                5          -     0         600
TRINITY INDUSTRIES INC       COMMON 896522109   $       90       2,586   SH   DEFINED               14          -     0       2,586
TRINITY INDUSTRIES INC       COMMON 896522109   $      198       5,702   SH   DEFINED               23        5,702   0         -
TRINITY INDUSTRIES INC       COMMON 896522109   $        4         104   SH   DEFINED               24          104   0         -
TRIPLE-S MANAGEMENT CORP-B   COMMON 896749108   $      223      13,647   SH   DEFINED               23       13,647   0         -
TRIQUINT SEMICONDUCTOR INC   COMMON 89674K103   $   13,252   2,186,720   SH   DEFINED               14    1,175,420   0     983,400
TRIQUINT SEMICONDUCTOR INC   COMMON 89674K103   $      784     129,400   SH   DEFINED             14,7          -     0     129,400
TRIQUINT SEMICONDUCTOR INC   COMMON 89674K103   $    2,372     391,348   SH   DEFINED               23      391,348   0         -
TRIQUINT SEMICONDUCTOR INC   COMMON 89674K103   $       82      13,505   SH   DEFINED                5        3,405   0      10,100
TRIQUINT SEMICONDUCTOR INC   COMMON 89674K103   $      215      35,500   SH   DEFINED             5,15       35,500   0         -
TRIUMPH GROUP INC            COMMON 896818101   $      765      16,244   SH   DEFINED               23       16,244   0         -
TRIUMPH GROUP INC (TGI) CVT
2.                           CONVERT896818AB7   $        2       2,000   SH   DEFINED               14        2,000   0         -
TRIZETTO GROUP INC           COMMON 896882107   $      202       9,450   SH   DEFINED               23        9,450   0         -
TRONOX INC-CLASS A           COMMON 897051108   $       45      14,372   SH   DEFINED               23       14,372   0         -





TRONOX INC-CLASS B           COMMON 897051207       $ -            40    SH   DEFINED              22          -      0          40
TRONOX INC-CLASS B           COMMON 897051207   $      51      16,805    SH   DEFINED              23       16,805    0         -
TRONOX INC-CLASS B           COMMON 897051207       $ -            60    SH   DEFINED               5           60    0         -
TRUBION PHARMACEUTICALS INC  COMMON 89778N102       $ -            47    SH   DEFINED              23           47    0         -
TRUE RELIGION APPAREL INC    COMMON 89784N104   $     248       9,293    SH   DEFINED              23        9,293    0         -
TRUEBLUE INC                 COMMON 89785X101   $   7,417     561,500    SH   DEFINED              14      359,200    0     202,300
TRUEBLUE INC                 COMMON 89785X101   $     146      11,082    SH   DEFINED              23       11,082    0         -
TRUEBLUE INC                 COMMON 89785X101   $   1,189      90,000    SH   DEFINED            5,15       90,000    0         -
TRUEBLUE INC                 COMMON 89785X101   $     143      10,800    SH   DEFINED               8       10,800    0         -
TRUEBLUE INC                 COMMON 89785X101   $      41       3,100    SH   DEFINED            8,20        3,100    0         -
TRUMP ENTERTAINMENT RESORTS  COMMON 89816T103   $      60      31,185    SH   DEFINED              23       31,185    0         -
TRUSTCO BANK CORP NY         COMMON 898349105   $   1,396     188,100    SH   DEFINED              14      159,500    0      28,600
TRUSTCO BANK CORP NY         COMMON 898349105   $     120      16,126    SH   DEFINED              23       16,126    0         -
TRUSTCO BANK CORP NY         COMMON 898349105   $     144      19,400    SH   DEFINED            5,15       19,400    0         -
TRUSTCO BANK CORP NY         COMMON 898349105   $     450      60,700    SH   DEFINED               8       60,700    0         -
TRUSTCO BANK CORP NY         COMMON 898349105   $     123      16,600    SH   DEFINED            8,20       16,600    0         -
TRUSTMARK CORP               COMMON 898402102   $   4,375     247,900    SH   DEFINED              14      185,400    0      62,500
TRUSTMARK CORP               COMMON 898402102   $     131       7,416    SH   DEFINED              23        7,416    0         -
TRUSTMARK CORP               COMMON 898402102   $       2         123    SH   DEFINED              24          123    0         -
TRUSTMARK CORP               COMMON 898402102   $     680      38,500    SH   DEFINED            5,15       38,500    0         -
TRUSTMARK CORP               COMMON 898402102   $     411      23,300    SH   DEFINED               8       23,300    0         -
TRUSTMARK CORP               COMMON 898402102   $     113       6,400    SH   DEFINED            8,20        6,400    0         -
TUESDAY MORNING CORP         COMMON 899035505   $      60      14,650    SH   DEFINED              23       14,650    0         -
TUMBLEWEED COMMUN CORP       COMMON 899690101   $      72      27,500    SH   DEFINED              22          -      0      27,500
TUPPERWARE BRANDS CORP       COMMON 899896104   $   7,183     209,908    SH   DEFINED               1      209,908    0         -
TUPPERWARE BRANDS CORP       COMMON 899896104   $     120       3,500    SH   DEFINED            1,15        3,500    0         -
TUPPERWARE BRANDS CORP       COMMON 899896104   $   4,886     142,790    SH   DEFINED              14       63,090    0      78,500
TUPPERWARE BRANDS CORP       COMMON 899896104   $   4,166     121,752    SH   DEFINED               2       47,822    0      73,930
TUPPERWARE BRANDS CORP       COMMON 899896104   $     538      15,726    SH   DEFINED              22          -      0      15,726
TUPPERWARE BRANDS CORP       COMMON 899896104   $     671      19,604    SH   DEFINED              23       19,604    0         -
TUPPERWARE BRANDS CORP       COMMON 899896104   $       2          68    SH   DEFINED              24           68    0         -
TUPPERWARE BRANDS CORP       COMMON 899896104   $      37       1,082    SH   DEFINED               5          -      0       1,082
TUPPERWARE BRANDS CORP       COMMON 899896104   $      58       1,700    SH   DEFINED            5,15        1,700    0         -
TURBOCHEF TECHNOLOGIES INC   COMMON 900006206       $ -           100    SH   DEFINED              22          -      0         100
TURBOCHEF TECHNOLOGIES INC   COMMON 900006206   $      88      18,499    SH   DEFINED              23       18,499    0         -
TURKCELL ILETISIM HI ADR     COMMON 900111204   $       8         552    SH   DEFINED              22          -      0         552
TURKCELL ILETISIM HI ADR     COMMON 900111204   $     657      45,159    SH   DEFINED              23       45,159    0         -
TURKCELL ILETISIM HI ADR     COMMON 900111204   $     596      40,971    SH   DEFINED               8       40,971    0         -
TWEEN BRANDS INC             COMMON 901166108   $   3,752     227,965    SH   DEFINED               1      227,965    0         -
TWEEN BRANDS INC             COMMON 901166108   $   2,212     134,416    SH   DEFINED               2       51,684    0      82,732
TWEEN BRANDS INC             COMMON 901166108   $      63       3,855    SH   DEFINED              23        3,855    0         -
21ST CENTURY HOLDING CO      COMMON 90136Q100   $       1          72    SH   DEFINED              23           72    0         -
TWIN DISC INC                COMMON 901476101   $       2          99    SH   DEFINED              23           99    0         -
II VI INC                    COMMON 902104108   $   3,590     102,813    SH   DEFINED              23      102,813    0         -
II VI INC                    COMMON 902104108   $       9         260    SH   DEFINED               5          -      0         260
TYLER TECHNOLOGIES INC       COMMON 902252105   $   1,153      84,994    SH   DEFINED              23       84,994    0         -
TYSON FOODS INC              COMMON 902494103   $      23       1,558    SH   DEFINED              22          -      0       1,558
TYSON FOODS INC              COMMON 902494103   $   1,084      72,566    SH   DEFINED              23       72,566    0         -
TYSON FOODS INC              COMMON 902494103   $      23       1,552    SH   DEFINED              24        1,552    0         -
TYSON FOODS INC              COMMON 902494103   $      41       2,769    SH   DEFINED               5        2,430    0         339
UAL CORP                     COMMON 902549500       $ -           500    SH   DEFINED              22          -      0         500
UAL CORP                     COMMON 902549807   $   8,395   1,608,180    SH   DEFINED              14      731,680    0     866,700
UAL CORP                     COMMON 902549807   $     237      45,400    SH   DEFINED            14,7          -      0      45,400
UAL CORP                     COMMON 902549807   $     169      32,335    SH   DEFINED              23       32,335    0         -
UAL CORP                     COMMON 902549807   $     173      33,138    SH   DEFINED              24       33,138    0         -
UAL CORP                     COMMON 902549807   $     715     136,883    SH   DEFINED               5      136,727    0         156
UCBH HOLDINGS INC            COMMON 90262T308   $       2       1,006    SH   DEFINED              22          -      0       1,006
UCBH HOLDINGS INC            COMMON 90262T308   $      27      12,162    SH   DEFINED              23       12,162    0         -
UCBH HOLDINGS INC            COMMON 90262T308   $      37      16,475    SH   DEFINED               5          -      0      16,475
UDR INC                      COMMON 902653104   $  21,554     963,092    SH   DEFINED              14      642,592    0     297,200
UDR INC                      COMMON 902653104   $      11         500    SH   DEFINED              22          -      0         500
UDR INC                      COMMON 902653104   $     275      12,304    SH   DEFINED              23       12,304    0         -
UDR INC                      COMMON 902653104   $       4         195    SH   DEFINED              24          195    0         -
UDR INC                      COMMON 902653104   $      98       4,380    SH   DEFINED               5        4,190    0         190
UDR INC                      COMMON 902653104   $   1,593      71,200    SH   DEFINED            5,15       71,200    0         -
UGI CORP                     COMMON 902681105   $  27,676     963,970    SH   DEFINED               1      963,970    0         -
UGI CORP                     COMMON 902681105   $     569      19,810    SH   DEFINED              14       19,810    0         -
UGI CORP                     COMMON 902681105   $   1,058      36,864    SH   DEFINED              23       36,864    0         -
UGI CORP                     COMMON 902681105   $       7         234    SH   DEFINED              24          234    0         -
UGI CORP                     COMMON 902681105   $  18,389     640,513    SH   DEFINED               4      640,513    0         -
UGI CORP                     COMMON 902681105   $       6         211    SH   DEFINED               5          -      0         211
UIL HOLDINGS CORPORATION     COMMON 902748102   $      17         583    SH   DEFINED              22          583    0         -
UIL HOLDINGS CORPORATION     COMMON 902748102   $     355      12,072    SH   DEFINED              23       12,072    0         -
UMB FINANCIAL CORP           COMMON 902788108   $   2,722      53,100    SH   DEFINED              14       36,800    0      16,300
UMB FINANCIAL CORP           COMMON 902788108   $   3,842      74,942    SH   DEFINED              23       74,942    0         -
UMB FINANCIAL CORP           COMMON 902788108   $     467       9,100    SH   DEFINED            5,15        9,100    0         -
UST INC                      COMMON 902911106   $  44,721     818,922    SH   DEFINED               1      818,922    0         -
UST INC                      COMMON 902911106   $     459       8,400    SH   DEFINED            1,15        8,400    0         -
UST INC                      COMMON 902911106   $     442       8,090    SH   DEFINED              14        6,490    0       1,600
UST INC                      COMMON 902911106   $     371       6,800    SH   DEFINED            14,7          -      0       6,800
UST INC                      COMMON 902911106   $   4,428      81,077    SH   DEFINED               2       81,077    0         -
UST INC                      COMMON 902911106   $     278       5,094    SH   DEFINED              22           94    0       5,000
UST INC                      COMMON 902911106   $   2,813      51,515    SH   DEFINED              23       51,515    0         -
UST INC                      COMMON 902911106   $      12         215    SH   DEFINED              24          215    0         -
UST INC                      COMMON 902911106   $  57,581   1,054,400    SH   DEFINED               3    1,054,400    0         -
UST INC                      COMMON 902911106   $     195       3,569    SH   DEFINED               7        3,569    0         -
UST INC                      COMMON 902911106   $     442       8,100    SH   DEFINED            8,14        8,100    0         -
UST INC                      COMMON 902911106   $     184       3,366    SH   DEFINED             8,2        3,366    0         -
USA TRUCK INC                COMMON 902925106   $      43       3,580    SH   DEFINED              23        3,580    0         -
U.S. GLOBAL INVESTORS INC-A  COMMON 902952100   $       2         115    SH   DEFINED              23          115    0         -
US BANCORP                   COMMON 902973304   $  71,110   2,549,648    SH   DEFINED               1    2,549,648    0         -
US BANCORP                   COMMON 902973304   $   2,114      75,800    SH   DEFINED            1,15       75,800    0         -
US BANCORP                   COMMON 902973304   $     396      14,200    SH   DEFINED           10,14       14,200    0         -
US BANCORP                   COMMON 902973304   $      59       2,100    SH   DEFINED              13        2,100    0         -
US BANCORP                   COMMON 902973304   $  16,855     604,340    SH   DEFINED              14      484,540    0      95,100
US BANCORP                   COMMON 902973304   $   4,959     177,800    SH   DEFINED            14,7          -      0     177,800
US BANCORP                   COMMON 902973304   $     519      18,600    SH   DEFINED           20,14          -      0         -
US BANCORP                   COMMON 902973304   $     389      13,963    SH   DEFINED              21       13,963    0         -
US BANCORP                   COMMON 902973304   $   2,646      94,856    SH   DEFINED              22       28,627    0      66,229
US BANCORP                   COMMON 902973304   $  12,604     451,904    SH   DEFINED              23      451,904    0         -




US BANCORP                   COMMON 902973304   $      85       3,030    SH   DEFINED              24        3,030    0         -
US BANCORP                   COMMON 902973304   $       1          40    SH   DEFINED               4           40    0         -
US BANCORP                   COMMON 902973304   $   1,515      54,320    SH   DEFINED               5       28,958    0      25,362
US BANCORP                   COMMON 902973304   $   1,925      69,034    SH   DEFINED               7       69,034    0         -
US BANCORP                   COMMON 902973304   $   5,675     203,480    SH   DEFINED               8      203,480    0         -
US BANCORP                   COMMON 902973304   $   3,584     128,500    SH   DEFINED            8,14      128,500    0         -
URS CORP                     COMMON 903236107   $  99,829   2,378,571    SH   DEFINED              23    2,378,571    0         -
URS CORP                     COMMON 903236107   $       5         118    SH   DEFINED              24          118    0         -
URS CORP                     COMMON 903236107   $     211       5,030    SH   DEFINED               5        1,295    0       3,735
USANA HEALTH SCIENCES INC    COMMON 90328M107   $      38       1,407    SH   DEFINED              23        1,407    0         -
USG CORP                     COMMON 903293405   $     247       8,349    SH   DEFINED              23        8,349    0         -
USG CORP                     COMMON 903293405   $       5         153    SH   DEFINED              24          153    0         -
USG CORP                     COMMON 903293405   $       2          70    SH   DEFINED               5          -      0          70
USEC INC                     COMMON 90333E108   $   2,818     463,450    SH   DEFINED              23      463,450    0         -
USEC INC                     COMMON 90333E108   $       2         396    SH   DEFINED              24          396    0         -
USEC INC                     COMMON 90333E108   $     113      18,665    SH   DEFINED               5        4,690    0      13,975
U S CONCRETE INC             COMMON 90333L102   $      99      20,812    SH   DEFINED              23       20,812    0         -
US PHYSICAL THERAPY INC      COMMON 90337L108   $     448      27,300    SH   DEFINED              14       20,800    0       6,500
US PHYSICAL THERAPY INC      COMMON 90337L108   $       2         104    SH   DEFINED              23          104    0         -
US PHYSICAL THERAPY INC      COMMON 90337L108   $      57       3,500    SH   DEFINED            5,15        3,500    0         -
US PHYSICAL THERAPY INC      COMMON 90337L108   $      97       5,900    SH   DEFINED               8        5,900    0         -
US PHYSICAL THERAPY INC      COMMON 90337L108   $      26       1,600    SH   DEFINED            8,20        1,600    0         -
US GEOTHERMAL INC            COMMON 90338S102   $   5,177   1,862,256    SH   DEFINED              23    1,862,256    0         -
USA MOBILITY INC             COMMON 90341G103   $   1,290     170,800    SH   DEFINED               1      170,800    0         -
USA MOBILITY INC             COMMON 90341G103   $   5,749     761,500    SH   DEFINED              14      539,200    0     222,300
USA MOBILITY INC             COMMON 90341G103   $     111      14,671    SH   DEFINED              23       14,671    0         -
USA MOBILITY INC             COMMON 90341G103   $     847     112,200    SH   DEFINED            5,15      112,200    0         -
USA MOBILITY INC             COMMON 90341G103   $     373      49,400    SH   DEFINED               8       49,400    0         -
USA MOBILITY INC             COMMON 90341G103   $     102      13,500    SH   DEFINED            8,20       13,500    0         -
US AIRWAYS GROUP INC         COMMON 90341W108   $      20       7,861    SH   DEFINED              23        7,861    0         -
US AIRWAYS GROUP INC         COMMON 90341W108       $ -           154    SH   DEFINED              24          154    0         -
US AIRWAYS GROUP INC         COMMON 90341W108       $ -           102    SH   DEFINED               5          -      0         102
US AUTO PARTS NETWORK INC    COMMON 90343C100       $ -           104    SH   DEFINED              23          104    0         -
ULTA SALON COSMETICS & FRAGR COMMON 90384S303   $  11,465   1,020,045    SH   DEFINED               1    1,020,045    0         -
ULTA SALON COSMETICS & FRAGR COMMON 90384S303   $   9,195     818,024    SH   DEFINED              16          -    544626  273,398
ULTA SALON COSMETICS & FRAGR COMMON 90384S303   $     978      87,028    SH   DEFINED               2       21,090    0      65,938
ULTA SALON COSMETICS & FRAGR COMMON 90384S303   $      16       1,387    SH   DEFINED              23        1,387    0         -
ULTIMATE SOFTWARE GROUP INC  COMMON 90385D107   $       8         216    SH   DEFINED              23          216    0         -
ULTRA CLEAN HOLDINGS         COMMON 90385V107   $       1         187    SH   DEFINED              23          187    0         -
ULTRALIFE CORP               COMMON 903899102   $  16,707   1,562,845    SH   DEFINED              23    1,562,845    0         -
ULTRALIFE CORP               COMMON 903899102   $      11       1,025    SH   DEFINED              24        1,025    0         -
ULTRA PETROLEUM CORP         COMMON 903914109   $      59         600    SH   DEFINED              22          600    0         -
ULTRA PETROLEUM CORP         COMMON 903914109   $   5,090      51,835    SH   DEFINED              23       51,835    0         -
ULTRA PETROLEUM CORP         COMMON 903914109   $      39         400    SH   DEFINED               5          400    0         -
ULTRA PETROLEUM CORP         COMMON 903914109   $     217       2,208    SH   DEFINED               7        2,208    0         -
ULTRAPAR PARTICPAC ADR       COMMON 90400P101   $     308       7,727    SH   DEFINED              23        7,727    0         -
ULTRATECH INC                COMMON 904034105   $     365      23,492    SH   DEFINED              23       23,492    0         -
UMPQUA HOLDINGS CORP         COMMON 904214103   $     128      10,590    SH   DEFINED              23       10,590    0         -
UMPQUA HOLDINGS CORP         COMMON 904214103   $      70       5,750    SH   DEFINED               5          -      0       5,750
UNDER ARMOUR INC.            COMMON 904311107   $  14,175     552,858    SH   DEFINED               1      552,858    0         -
UNDER ARMOUR INC.            COMMON 904311107   $     958      37,359    SH   DEFINED               2        4,379    0      32,980
UNDER ARMOUR INC.            COMMON 904311107   $      27       1,055    SH   DEFINED              23        1,055    0         -
UNDER ARMOUR INC.            COMMON 904311107   $     103       4,000    SH   DEFINED               5          -      0       4,000
UNICA CORP                   COMMON 904583101   $       1          71    SH   DEFINED              23           71    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $  46,480     366,186    SH   DEFINED               1      366,186    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $   1,180       9,300    SH   DEFINED           11,13        9,300    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $   5,832      45,947    SH   DEFINED               2       45,947    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $     438       3,450    SH   DEFINED              23        3,450    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $  37,381     294,500    SH   DEFINED               8      294,500    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $   1,551      12,219    SH   DEFINED            8,14       12,219    0         -
UNIBANCO-UNIAO DE BANCOS
BRASL                        COMMON 90458E107   $   2,875      22,650    SH   DEFINED            8,20       22,650    0         -
UNIFI INC                    COMMON 904677101   $     279     110,899    SH   DEFINED              23      110,899    0         -
UNIFIRST CORP/MA             COMMON 904708104   $   3,467      77,629    SH   DEFINED              23       77,629    0         -
UNILEVER PLC ADR             COMMON 904767704   $      55       1,934    SH   DEFINED              22          -      0       1,934
UNILEVER PLC ADR             COMMON 904767704   $   5,181     182,355    SH   DEFINED              23      182,355    0         -
UNILEVER PLC ADR             COMMON 904767704   $      77       2,700    SH   DEFINED               5        2,700    0         -
UNILEVER NV - NY REG SHARES  COMMON 904784709   $  73,173   2,576,514    SH   DEFINED              11    2,576,514    0         -
UNILEVER NV - NY REG SHARES  COMMON 904784709   $   2,223      78,259    SH   DEFINED              14       78,259    0         -
UNILEVER NV - NY REG SHARES  COMMON 904784709   $     111       3,903    SH   DEFINED              22        1,071    0       2,832
UNILEVER NV - NY REG SHARES  COMMON 904784709   $   5,251     184,900    SH   DEFINED              23      184,900    0         -
UNILEVER NV - NY REG SHARES  COMMON 904784709   $   4,682     164,845    SH   DEFINED               4      164,845    0         -
UNILEVER NV - NY REG SHARES  COMMON 904784709   $     105       3,713    SH   DEFINED               5          813    0       2,900
UNION BANKSHARES CORP        COMMON 905399101   $     183      12,300    SH   DEFINED              14       12,300    0         -
UNION BANKSHARES CORP        COMMON 905399101   $      38       2,527    SH   DEFINED              23        2,527    0         -
UNION BANKSHARES CORP        COMMON 905399101   $      39       2,600    SH   DEFINED            5,15        2,600    0         -
UNION BANKSHARES INC /VT     COMMON 905400107   $      20       1,000    SH   DEFINED              22        1,000    0         -
UNION DRILLING INC           COMMON 90653P105   $     298      13,748    SH   DEFINED              23       13,748    0         -
UNION PACIFIC CORP           COMMON 907818108   $  73,529     973,894    SH   DEFINED               1      973,894    0         -
UNION PACIFIC CORP           COMMON 907818108   $     121       1,600    SH   DEFINED           10,14        1,600    0         -
UNION PACIFIC CORP           COMMON 907818108   $   4,975      65,890    SH   DEFINED              14       47,690    0      14,600
UNION PACIFIC CORP           COMMON 907818108   $   1,223      16,200    SH   DEFINED            14,7          -      0      16,200
UNION PACIFIC CORP           COMMON 907818108   $     953      12,618    SH   DEFINED              22          300    0      12,318
UNION PACIFIC CORP           COMMON 907818108   $  11,350     150,327    SH   DEFINED              23      150,327    0         -
UNION PACIFIC CORP           COMMON 907818108   $      46         606    SH   DEFINED              24          606    0         -
UNION PACIFIC CORP           COMMON 907818108   $       1          12    SH   DEFINED               4           12    0         -
UNION PACIFIC CORP           COMMON 907818108   $   1,018      13,480    SH   DEFINED               5       12,366    0       1,114
UNION PACIFIC CORP           COMMON 907818108   $     565       7,482    SH   DEFINED               7        7,482    0         -
UNION PACIFIC CORP           COMMON 907818108   $     435       5,762    SH   DEFINED               8        5,762    0         -
UNION PACIFIC CORP           COMMON 907818108   $     498       6,600    SH   DEFINED            8,14        6,600    0         -
UNIONBANCAL CORP             COMMON 908906100   $       4         100    SH   DEFINED              14          100    0         -
UNIONBANCAL CORP             COMMON 908906100   $   4,437     109,769    SH   DEFINED              23      109,769    0         -
UNIONBANCAL CORP             COMMON 908906100   $       5         134    SH   DEFINED              24          134    0         -
UNIONBANCAL CORP             COMMON 908906100   $     578      14,300    SH   DEFINED               5          -      0      14,300
UNISOURCE ENERGY CORP        COMMON 909205106   $   4,779     154,100    SH   DEFINED              14      124,300    0      29,800
UNISOURCE ENERGY CORP        COMMON 909205106   $     202       6,523    SH   DEFINED              23        6,523    0         -
UNISOURCE ENERGY CORP        COMMON 909205106   $       3         108    SH   DEFINED              24          108    0         -
UNISOURCE ENERGY CORP        COMMON 909205106   $     106       3,430    SH   DEFINED               5          855    0       2,575
UNISOURCE ENERGY CORP        COMMON 909205106   $     912      29,400    SH   DEFINED            5,15       29,400    0         -
UNISYS CORPORATION           COMMON 909214108   $   1,246     315,500    SH   DEFINED              14      198,700    0     116,800
UNISYS CORPORATION           COMMON 909214108   $     281      71,065    SH   DEFINED              23       71,065    0         -



UNISYS CORPORATION           COMMON 909214108   $       5       1,299    SH   DEFINED              24        1,299    0         -
UNISYS CORPORATION           COMMON 909214108       $ -           122    SH   DEFINED               4          122    0         -
UNISYS CORPORATION           COMMON 909214108   $     204      51,700    SH   DEFINED            5,15       51,700    0         -
UNIT CORP                    COMMON 909218109   $  26,477     319,115    SH   DEFINED               1      319,115    0         -
UNIT CORP                    COMMON 909218109   $   2,829      34,100    SH   DEFINED              14       34,100    0         -
UNIT CORP                    COMMON 909218109   $  21,534     259,537    SH   DEFINED               2      259,537    0         -
UNIT CORP                    COMMON 909218109   $  13,046     157,243    SH   DEFINED              23      157,243    0         -
UNIT CORP                    COMMON 909218109   $      29         350    SH   DEFINED              24          350    0         -
UNIT CORP                    COMMON 909218109   $   1,892      22,800    SH   DEFINED               8       22,800    0         -
UNIT CORP                    COMMON 909218109   $     523       6,300    SH   DEFINED            8,20        6,300    0         -
UNITED AMERICA INDEMNITY-A   COMMON 90933T109   $   2,083     155,801    SH   DEFINED              23      155,801    0         -
UNITED BANCSHARES INC/OHIO   COMMON 909458101   $     706      54,250    SH   DEFINED              22          -      0      54,250
UNITED COMMUNITY FINANCIAL   COMMON 909839102   $      41      11,052    SH   DEFINED              23       11,052    0         -
UNITED COMMUNITY BANKS/GA    COMMON 90984P105   $      66       7,717    SH   DEFINED              23        7,717    0         -
UNITED BANKSHARES INC        COMMON 909907107   $   2,573     112,100    SH   DEFINED              14       83,300    0      28,800
UNITED BANKSHARES INC        COMMON 909907107   $     183       7,987    SH   DEFINED              23        7,987    0         -
UNITED BANKSHARES INC        COMMON 909907107   $     129       5,600    SH   DEFINED               5        1,400    0       4,200
UNITED BANKSHARES INC        COMMON 909907107   $     482      21,000    SH   DEFINED            5,15       21,000    0         -
UNITED FINANCIAL BANCORP INC COMMON 91030T109   $       2         155    SH   DEFINED              23          155    0         -
UNITED FIRE & CASUALTY CO    COMMON 910331107   $   3,504     130,099    SH   DEFINED              23      130,099    0         -
UNITED FIRE & CASUALTY CO    COMMON 910331107   $     147       5,441    SH   DEFINED              24        5,441    0         -
UNITED MICROELECTRON-SP ADR  COMMON 910873405   $   1,432     490,367    SH   DEFINED              23      490,367    0         -
UNITED NAT FOODS INC         COMMON 911163103   $     233      11,957    SH   DEFINED              23       11,957    0         -
UNITED NAT FOODS INC         COMMON 911163103   $     153       7,850    SH   DEFINED               5          -      0       7,850
UNITED ONLINE INC            COMMON 911268100   $     923      92,008    SH   DEFINED              23       92,008    0         -
UNITED ONLINE INC            COMMON 911268100   $     179      17,870    SH   DEFINED               5        4,470    0      13,400
UNITED PANAM FINANCIAL CP    COMMON 911301109   $      21       9,122    SH   DEFINED              23        9,122    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $ 114,913   1,869,420    SH   DEFINED               1    1,869,420    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $   1,033      16,800    SH   DEFINED           10,14       16,800    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $  19,929     324,200    SH   DEFINED              14      238,100    0      71,100
UNITED PARCEL SERVICE INC    COMMON 911312106   $   4,229      68,800    SH   DEFINED            14,7          -      0      68,800
UNITED PARCEL SERVICE INC    COMMON 911312106   $     240       3,900    SH   DEFINED           20,14          -      0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $  13,075     212,711    SH   DEFINED              22       26,545    0     186,166
UNITED PARCEL SERVICE INC    COMMON 911312106   $   3,678      59,842    SH   DEFINED              23       59,842    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $      75       1,219    SH   DEFINED              24        1,219    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $ 140,496   2,285,600    SH   DEFINED               3    2,285,600    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $       2          34    SH   DEFINED               4           34    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $   1,537      25,008    SH   DEFINED               5        2,820    0      22,188
UNITED PARCEL SERVICE INC    COMMON 911312106   $   1,112      18,097    SH   DEFINED               7       18,097    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $   2,311      37,602    SH   DEFINED               8       37,602    0         -
UNITED PARCEL SERVICE INC    COMMON 911312106   $   3,909      63,600    SH   DEFINED            8,14       63,600    0         -
UNITED RENTALS INC           COMMON 911363109   $   2,662     135,736    SH   DEFINED              23      135,736    0         -
UNITED RENTALS INC           COMMON 911363109   $       5         266    SH   DEFINED              24          266    0         -
UNITED SECURITY BANCSHARES   COMMON 911460103   $       1          78    SH   DEFINED              23           78    0         -
US CELLULAR CORP             COMMON 911684108   $     181       3,200    SH   DEFINED           10,14        3,200    0         -
US CELLULAR CORP             COMMON 911684108   $       6         100    SH   DEFINED              13          100    0         -
US CELLULAR CORP             COMMON 911684108   $  11,649     205,990    SH   DEFINED              14       87,290    0     115,500
US CELLULAR CORP             COMMON 911684108   $     430       7,600    SH   DEFINED            14,7          -      0       7,600
US CELLULAR CORP             COMMON 911684108   $       6         100    SH   DEFINED           20,14          -      0         -
US CELLULAR CORP             COMMON 911684108   $     774      13,694    SH   DEFINED              23       13,694    0         -
US CELLULAR CORP             COMMON 911684108   $       5          89    SH   DEFINED              24           89    0         -
US CELLULAR CORP             COMMON 911684108   $      51         900    SH   DEFINED               7          900    0         -
US CELLULAR CORP             COMMON 911684108   $   1,357      24,000    SH   DEFINED            8,14       24,000    0         -
U S ENERGY CORP - WYOMING    COMMON 911805109   $       2         600    SH   DEFINED              22          600    0         -
U S ENERGY CORP - WYOMING    COMMON 911805109   $     179      66,806    SH   DEFINED              23       66,806    0         -
UNITED STATES LIME & MINERAL COMMON 911922102   $       1          16    SH   DEFINED              23           16    0         -
US GOLD CORP                 COMMON 912023207   $     204      88,120    SH   DEFINED              23       88,120    0         -
U-STORE-IT TRUST             COMMON 91274F104   $     435      36,400    SH   DEFINED              14       36,400    0         -
U-STORE-IT TRUST             COMMON 91274F104   $     132      11,019    SH   DEFINED              23       11,019    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $   2,495      13,500    SH   DEFINED            1,15       13,500    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $      18         100    SH   DEFINED              13          100    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $   3,539      19,150    SH   DEFINED              14        8,050    0      10,450
UNITED STATES STEEL CORP     COMMON 912909108   $     924       5,000    SH   DEFINED            14,7          -      0       5,000
UNITED STATES STEEL CORP     COMMON 912909108   $      18         100    SH   DEFINED           20,14          -      0         -
UNITED STATES STEEL CORP     COMMON 912909108   $       2          10    SH   DEFINED              22          -      0          10
UNITED STATES STEEL CORP     COMMON 912909108   $   8,079      43,721    SH   DEFINED              23       43,721    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $      25         137    SH   DEFINED              24          137    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $      81         436    SH   DEFINED               5          -      0         436
UNITED STATES STEEL CORP     COMMON 912909108   $     887       4,800    SH   DEFINED               6        4,800    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $     236       1,275    SH   DEFINED               7        1,275    0         -
UNITED STATES STEEL CORP     COMMON 912909108   $     904       4,890    SH   DEFINED               8        4,890    0         -
UNITED STATIONERS INC        COMMON 913004107   $     301       8,136    SH   DEFINED              23        8,136    0         -
UNITED STATIONERS INC        COMMON 913004107   $       3          71    SH   DEFINED              24           71    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $ 252,509   4,092,525    SH   DEFINED               1    4,092,525    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $      25         400    SH   DEFINED              13          400    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $   7,615     123,422    SH   DEFINED              14      111,322    0       6,000
UNITED TECHNOLOGIES CORP     COMMON 913017109   $   2,264      36,700    SH   DEFINED            14,7          -      0      36,700
UNITED TECHNOLOGIES CORP     COMMON 913017109   $  15,881     257,383    SH   DEFINED               2      257,383    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $     105       1,700    SH   DEFINED           20,14          -      0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $  53,118     860,904    SH   DEFINED              22      252,689    0     608,215
UNITED TECHNOLOGIES CORP     COMMON 913017109   $  21,742     352,386    SH   DEFINED              23      352,386    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $      60         968    SH   DEFINED              24          968    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $       2          25    SH   DEFINED               4           25    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $  26,053     422,259    SH   DEFINED               5      360,143    0      62,116
UNITED TECHNOLOGIES CORP     COMMON 913017109   $   1,013      16,418    SH   DEFINED               7       16,418    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $     623      10,100    SH   DEFINED               8       10,100    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $   2,530      41,000    SH   DEFINED            8,14       41,000    0         -
UNITED TECHNOLOGIES CORP     COMMON 913017109   $     424       6,879    SH   DEFINED             8,2        6,879    0         -
UNITED THERAPEUTICS CORP     COMMON 91307C102   $  58,820     601,741    SH   DEFINED               1      601,741    0         -
UNITED THERAPEUTICS CORP     COMMON 91307C102   $     244       2,500    SH   DEFINED              14        1,300    0       1,200
UNITED THERAPEUTICS CORP     COMMON 91307C102   $     225       2,300    SH   DEFINED              17        2,300    0         -
UNITED THERAPEUTICS CORP     COMMON 91307C102   $  13,870     141,890    SH   DEFINED               2      124,520    0      17,370
UNITED THERAPEUTICS CORP     COMMON 91307C102   $   3,485      35,650    SH   DEFINED            20,2          -      0      35,650
UNITED THERAPEUTICS CORP     COMMON 91307C102   $   5,761      58,940    SH   DEFINED              23       58,940    0         -
UNITED THERAPEUTICS CORP     COMMON 91307C102   $      39         400    SH   DEFINED            5,15          400    0         -
UNITED WESTERN BANCORP INC   COMMON 913201109   $     157      12,500    SH   DEFINED              23       12,500    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $ 235,743   8,980,693    SH   DEFINED               1    8,980,693    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   4,650     177,138    SH   DEFINED              14      118,238    0      52,800
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $     780      29,700    SH   DEFINED            14,7          -      0      29,700
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $     711      27,100    SH   DEFINED              17       27,100    0         -






UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   2,336      88,987    SH   DEFINED               2       88,987    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   3,270     124,555    SH   DEFINED            20,2          -      0     124,555
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   6,401     243,837    SH   DEFINED              22       91,921    0     151,916
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   1,574      59,943    SH   DEFINED              23       59,943    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $      28       1,076    SH   DEFINED              24        1,076    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   8,604     327,757    SH   DEFINED               4      327,757    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $   4,861     185,191    SH   DEFINED               5      115,304    0      69,887
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $     563      21,464    SH   DEFINED               7       21,464    0         -
UNITEDHEALTH GROUP INCORP    COMMON 91324P102   $     667      25,415    SH   DEFINED               8       25,415    0         -
UNITIL CORPORATION           COMMON 913259107   $      44       1,597    SH   DEFINED              23        1,597    0         -
UNITRIN INC                  COMMON 913275103   $     205       7,439    SH   DEFINED              23        7,439    0         -
UNITRIN INC                  COMMON 913275103   $       4         136    SH   DEFINED              24          136    0         -
UNITRIN INC                  COMMON 913275103   $     207       7,519    SH   DEFINED               5          -      0       7,519
UNIVERSAL AMER FINANCIAL CRP COMMON 913377107   $      61       6,005    SH   DEFINED              23        6,005    0         -
UNIVERSAL CORP-VA            COMMON 913456109   $      99       2,200    SH   DEFINED            1,15        2,200    0         -
UNIVERSAL CORP-VA            COMMON 913456109   $  16,056     355,070    SH   DEFINED              14      177,370    0     173,400
UNIVERSAL CORP-VA            COMMON 913456109   $     185       4,100    SH   DEFINED            14,7          -      0       4,100
UNIVERSAL CORP-VA            COMMON 913456109   $     375       8,300    SH   DEFINED              22          -      0       8,300
UNIVERSAL CORP-VA            COMMON 913456109   $     148       3,282    SH   DEFINED              23        3,282    0         -
UNIVERSAL CORP-VA            COMMON 913456109   $       3          57    SH   DEFINED              24           57    0         -
UNIVERSAL CORP-VA            COMMON 913456109   $     116       2,575    SH   DEFINED               5          650    0       1,925
UNIVERSAL CORP-VA            COMMON 913456109   $     642      14,200    SH   DEFINED            5,15       14,200    0         -
UNIVERSAL CORP-VA            COMMON 913456109   $     199       4,400    SH   DEFINED               8        4,400    0         -
UNIVERSAL CORP-VA            COMMON 913456109   $      54       1,200    SH   DEFINED            8,20        1,200    0         -
UNIVERSAL DISPLAY CORP       COMMON 91347P105   $  36,852   2,991,257    SH   DEFINED              23    2,991,257    0         -
UNIVERSAL ELECTRONICS INC    COMMON 913483103   $       3         127    SH   DEFINED              23          127    0         -
UNIVERSAL FST PRODS INC      COMMON 913543104   $     160       5,346    SH   DEFINED              23        5,346    0         -
UNIVERSAL FST PRODS INC      COMMON 913543104   $      12         400    SH   DEFINED               5          -      0         400
UNIVERSAL HEALTH RLTY INCM
TR                           COMMON 91359E105   $   3,823     127,430    SH   DEFINED               1      127,430    0         -
UNIVERSAL HEALTH RLTY INCM
TR                           COMMON 91359E105   $     288       9,600    SH   DEFINED              14        9,600    0         -
UNIVERSAL HEALTH RLTY INCM
TR                           COMMON 91359E105   $   1,552      51,746    SH   DEFINED               2        6,066    0      45,680
UNIVERSAL HEALTH RLTY INCM
TR                           COMMON 91359E105   $      65       2,178    SH   DEFINED              23        2,178    0         -
UNIVERSAL INSURANCE HOLDINGS COMMON 91359V107   $   3,207     906,000    SH   DEFINED               5      906,000    0         -
UNIVERSAL STAINLESS & ALLOY  COMMON 913837100   $       2          58    SH   DEFINED              23           58    0         -
UNIVERSAL TRUCKLOAD SERVICES COMMON 91388P105   $      60       2,735    SH   DEFINED              23        2,735    0         -
UNIVERSAL HLTH SVCS INC      COMMON 913903100   $   5,916      93,581    SH   DEFINED              23       93,581    0         -
UNIVERSAL HLTH SVCS INC      COMMON 913903100   $       5          77    SH   DEFINED              24           77    0         -
UNIVERSAL TECHNICAL INSTITUT COMMON 913915104   $       3         208    SH   DEFINED              22          -      0         208
UNIVERSAL TECHNICAL INSTITUT COMMON 913915104   $      37       2,950    SH   DEFINED              23        2,950    0         -
UNIVEST CORP OF PENNSYLVANIA COMMON 915271100   $     306      15,400    SH   DEFINED              14        9,200    0       6,200
UNIVEST CORP OF PENNSYLVANIA COMMON 915271100   $      54       2,744    SH   DEFINED              23        2,744    0         -
UNIVEST CORP OF PENNSYLVANIA COMMON 915271100   $      38       1,900    SH   DEFINED            5,15        1,900    0         -
UNIVEST CORP OF PENNSYLVANIA COMMON 915271100   $      44       2,200    SH   DEFINED               8        2,200    0         -
UNIVEST CORP OF PENNSYLVANIA COMMON 915271100   $      12         600    SH   DEFINED            8,20          600    0         -
UNUM GROUP                   COMMON 91529Y106   $   1,697      83,000    SH   DEFINED            1,15       83,000    0         -
UNUM GROUP                   COMMON 91529Y106   $   6,135     300,000    SH   DEFINED             1,3      300,000    0         -
UNUM GROUP                   COMMON 91529Y106   $      14         701    SH   DEFINED              11          701    0         -
UNUM GROUP                   COMMON 91529Y106   $   2,056     100,545    SH   DEFINED              14       66,195    0      33,150
UNUM GROUP                   COMMON 91529Y106   $     380      18,600    SH   DEFINED            14,7          -      0      18,600
UNUM GROUP                   COMMON 91529Y106   $      14         680    SH   DEFINED              22          -      0         680
UNUM GROUP                   COMMON 91529Y106   $   3,299     161,328    SH   DEFINED              23      161,328    0         -
UNUM GROUP                   COMMON 91529Y106   $      38       1,877    SH   DEFINED              24        1,877    0         -
UNUM GROUP                   COMMON 91529Y106   $     250      12,229    SH   DEFINED               5          -      0      12,229
UNUM GROUP                   COMMON 91529Y106   $     126       6,148    SH   DEFINED               7        6,148    0         -
URANIUM RESOURCES INC        COMMON 916901507   $     319      86,409    SH   DEFINED              23       86,409    0         -
URBAN OUTFITTERS INC         COMMON 917047102   $  31,574   1,012,311    SH   DEFINED               1    1,012,311    0         -
URBAN OUTFITTERS INC         COMMON 917047102   $  14,048     450,400    SH   DEFINED              14      184,700    0     263,000
URBAN OUTFITTERS INC         COMMON 917047102   $   1,341      42,990    SH   DEFINED               2        4,860    0      38,130
URBAN OUTFITTERS INC         COMMON 917047102   $   7,891     253,003    SH   DEFINED              23      253,003    0         -
URBAN OUTFITTERS INC         COMMON 917047102   $     103       3,301    SH   DEFINED               5        2,000    0       1,301
URSTADT BIDDLE CLASS A       COMMON 917286205   $     927      63,200    SH   DEFINED              14       33,600    0      29,600
URSTADT BIDDLE CLASS A       COMMON 917286205   $     284      19,363    SH   DEFINED              23       19,363    0         -
URSTADT BIDDLE CLASS A       COMMON 917286205   $     114       7,800    SH   DEFINED            5,15        7,800    0         -
UTEK CORP                    COMMON 91759P106   $     580      57,995    SH   DEFINED              23       57,995    0         -
UTSTARCOM INC                COMMON 918076100   $   2,723     497,800    SH   DEFINED              14      340,600    0     157,200
UTSTARCOM INC                COMMON 918076100   $   1,875     342,775    SH   DEFINED              23      342,775    0         -
UTSTARCOM INC                COMMON 918076100   $       5         868    SH   DEFINED              24          868    0         -
UTSTARCOM INC                COMMON 918076100   $     436      79,700    SH   DEFINED            5,15       79,700    0         -
VCA ANTECH INC               COMMON 918194101   $  11,065     398,293    SH   DEFINED               1      398,293    0         -
VCA ANTECH INC               COMMON 918194101   $   8,859     318,908    SH   DEFINED               2      318,908    0         -
VCA ANTECH INC               COMMON 918194101   $      50       1,800    SH   DEFINED              22        1,800    0         -
VCA ANTECH INC               COMMON 918194101   $     126       4,536    SH   DEFINED              23        4,536    0         -
VCA ANTECH INC               COMMON 918194101   $      67       2,400    SH   DEFINED               5          -      0       2,400
VF CORPORATION               COMMON 918204108   $   6,587      92,547    SH   DEFINED               1       92,547    0         -
VF CORPORATION               COMMON 918204108   $  10,975     154,182    SH   DEFINED              22       77,714    0      76,468
VF CORPORATION               COMMON 918204108   $   3,936      55,297    SH   DEFINED              23       55,297    0         -
VF CORPORATION               COMMON 918204108   $      11         157    SH   DEFINED              24          157    0         -
VF CORPORATION               COMMON 918204108   $   6,717      94,364    SH   DEFINED               5       87,712    0       6,652
VF CORPORATION               COMMON 918204108   $     118       1,653    SH   DEFINED               7        1,653    0         -
VCG HOLDING CORP             COMMON 91821K101       $ -           116    SH   DEFINED              23          116    0         -
VSE CORP                     COMMON 918284100   $     219       7,972    SH   DEFINED              23        7,972    0         -
VAALCO ENERGY INC            COMMON 91851C201   $   6,052     714,500    SH   DEFINED              14      451,100    0     263,400
VAALCO ENERGY INC            COMMON 91851C201   $     944     111,400    SH   DEFINED            5,15      111,400    0         -
VAALCO ENERGY INC            COMMON 91851C201   $     111      13,100    SH   DEFINED               8       13,100    0         -
VAALCO ENERGY INC            COMMON 91851C201   $      31       3,700    SH   DEFINED            8,20        3,700    0         -
VAIL RESORTS INC             COMMON 91879Q109   $      71       1,669    SH   DEFINED              23        1,669    0         -
VAIL RESORTS INC             COMMON 91879Q109   $       9         200    SH   DEFINED               5          200    0         -
VALASSIS COMMUNICATIONS INC  COMMON 918866104   $   5,257     419,855    SH   DEFINED               1      419,855    0         -
VALASSIS COMMUNICATIONS INC  COMMON 918866104   $   1,601     127,911    SH   DEFINED              23      127,911    0         -
VALHI INC                    COMMON 918905100   $     610      22,394    SH   DEFINED              23       22,394    0         -
VALHI INC                    COMMON 918905100   $       1          26    SH   DEFINED              24           26    0         -
VALENCE TECHNOLOGY INC
(COMPLI                      COMMON 918914102   $  16,965   3,829,622    SH   DEFINED              23    3,829,622    0         -
VALEANT PHARMACEUTICALS      COMMON 91911X104   $   1,292      75,500    SH   DEFINED              14       40,900    0      34,600
VALEANT PHARMACEUTICALS      COMMON 91911X104   $     222      12,964    SH   DEFINED              23       12,964    0         -
VALEANT PHARMACEUTICALS      COMMON 91911X104   $   1,634      95,500    SH   DEFINED               3       95,500    0         -
VALEANT PHARMACEUTICALS      COMMON 91911X104   $     309      18,040    SH   DEFINED               5          -      0      18,040
VALEANT PHARMACEUTICALS      COMMON 91911X104   $     181      10,600    SH   DEFINED            5,15       10,600    0         -
VALE CAPITAL LTD CVT PFD
                        5.50 CONVERT91912C208   $      75       1,000    SH   DEFINED              22          -      0       1,000
VALERO ENERGY CORP           COMMON 91913Y100   $  99,852   2,424,764    SH   DEFINED               1    2,424,764    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $     108       2,632    SH   DEFINED              13        2,632    0         -




VALERO ENERGY CORP           COMMON 91913Y100   $     108       2,632    SH   DEFINED            13,2        2,632    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $     300       7,280    SH   DEFINED              14        5,180    0       1,100
VALERO ENERGY CORP           COMMON 91913Y100   $      91       2,200    SH   DEFINED            14,7          -      0       2,200
VALERO ENERGY CORP           COMMON 91913Y100   $   7,177     174,287    SH   DEFINED               2      174,287    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $     192       4,656    SH   DEFINED              22        2,212    0       2,444
VALERO ENERGY CORP           COMMON 91913Y100   $   6,448     156,579    SH   DEFINED              23      156,579    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $      42       1,018    SH   DEFINED              24        1,018    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $   2,150      52,203    SH   DEFINED             3,1       52,203    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $     266       6,451    SH   DEFINED               5        2,661    0       3,790
VALERO ENERGY CORP           COMMON 91913Y100   $     387       9,400    SH   DEFINED               7        9,400    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $     317       7,688    SH   DEFINED               8        7,688    0         -
VALERO ENERGY CORP           COMMON 91913Y100   $     298       7,235    SH   DEFINED             8,2        7,235    0         -
VALLEY NATL BANCORP          COMMON 919794107   $   2,539     161,012    SH   DEFINED              23      161,012    0         -
VALLEY NATL BANCORP          COMMON 919794107   $       3         203    SH   DEFINED              24          203    0         -
VALLEY NATL BANCORP          COMMON 919794107   $   1,220      77,353    SH   DEFINED               5       72,110    0       5,243
VALMONT INDUSTRIES           COMMON 920253101   $   7,942      76,155    SH   DEFINED               1       76,155    0         -
VALMONT INDUSTRIES           COMMON 920253101   $   4,636      44,451    SH   DEFINED               2       17,350    0      27,101
VALMONT INDUSTRIES           COMMON 920253101   $ 117,136   1,123,179    SH   DEFINED              23    1,123,179    0         -
VALMONT INDUSTRIES           COMMON 920253101   $     239       2,289    SH   DEFINED              24        2,289    0         -
VALSPAR CORP                 COMMON 920355104   $   6,618     349,949    SH   DEFINED              22      222,499    0     127,450
VALSPAR CORP                 COMMON 920355104   $     302      15,996    SH   DEFINED              23       15,996    0         -
VALSPAR CORP                 COMMON 920355104   $       3         174    SH   DEFINED              24          174    0         -
VALSPAR CORP                 COMMON 920355104   $   4,854     256,677    SH   DEFINED               5      215,093    0      41,584
VALUECLICK INC               COMMON 92046N102   $  18,889   1,246,822    SH   DEFINED               1    1,246,822    0         -
VALUECLICK INC               COMMON 92046N102   $   6,978     460,617    SH   DEFINED               2      460,617    0         -
VALUECLICK INC               COMMON 92046N102   $   1,331      87,855    SH   DEFINED            20,2       87,855    0         -
VALUECLICK INC               COMMON 92046N102   $     763      50,391    SH   DEFINED              23       50,391    0         -
VALUECLICK INC               COMMON 92046N102   $      12         780    SH   DEFINED               5          780    0         -
VALUEVISION MEDIA INC        COMMON 92047K107   $      30       8,307    SH   DEFINED              23        8,307    0         -
VAN KAMP TR/INV GRD MUNIS
CF                           COMMON 920929106   $       5         330    SH   DEFINED              22          -      0         330
VAN KAMPEN MUNI OPPOR
TR-II CF                     COMMON 920944105   $      45       3,334    SH   DEFINED              22          -      0       3,334
VAN KAMPEN BOND FUND CEF     COMMON 920955101   $       5         300    SH   DEFINED              22          -      0         300
VAN KAMPEN SENIOR INCOME
TRS C                        COMMON 920961109   $      15       2,500    SH   DEFINED               5          -      0       2,500
VANDA PHARMACEUTICALS INC    COMMON 921659108   $       1         232    SH   DEFINED              23          232    0         -
VANGUARD EUROPE PACIFIC ETF  COMMON 921943858   $     210       4,757    SH   DEFINED              23        4,757    0         -
VANGUARD HIGH DVD YIELD ETF  COMMON 921946406   $      91       1,900    SH   DEFINED              22          -      0       1,900
VANGUARD FTSE ALL-WORLD
EX-U E                       COMMON 922042775   $     226       3,900    SH   DEFINED              22          -      0       3,900
VANGUARD FTSE ALL-WORLD
EX-U E                       COMMON 922042775   $     516       8,909    SH   DEFINED               5          -      0       8,909
VANGUARD EMERG MARKET ETF    COMMON 922042858   $     366       3,527    SH   DEFINED              22        2,615    0         912
VANGUARD EMERG MARKET ETF    COMMON 922042858   $   1,820      17,540    SH   DEFINED              23       17,540    0         -
VANGUARD EMERG MARKET ETF    COMMON 922042858   $   1,518      14,630    SH   DEFINED               5       12,218    0       2,412
VANGUARD PACIFIC ETF         COMMON 922042866   $      14         210    SH   DEFINED              22          -      0         210
VANGUARD EUROPEAN ETF        COMMON 922042874   $      28         388    SH   DEFINED              22          -      0         388
VANGUARD EUROPEAN ETF        COMMON 922042874   $     147       2,040    SH   DEFINED              23        2,040    0         -
VANGUARD EUROPEAN ETF        COMMON 922042874   $      35         480    SH   DEFINED               5          480    0         -
VANGUARD CONSUMER STA ETF    COMMON 92204A207   $      85       1,219    SH   DEFINED              22          -      0       1,219
VANGUARD HEALTH CARE ETF     COMMON 92204A504   $       6         100    SH   DEFINED              22          -      0         100
VANGUARD INFO TECH ETF       COMMON 92204A702   $      90       1,550    SH   DEFINED              22          -      0       1,550
VANGUARD UTILITIES ETF       COMMON 92204A876   $      51         601    SH   DEFINED              22          -      0         601
VARIAN INC                   COMMON 922206107   $  28,596     560,054    SH   DEFINED               1      560,054    0         -
VARIAN INC                   COMMON 922206107   $  12,416     243,160    SH   DEFINED              14      105,860    0     136,000
VARIAN INC                   COMMON 922206107   $      51       1,000    SH   DEFINED              17        1,000    0         -
VARIAN INC                   COMMON 922206107   $  14,110     276,338    SH   DEFINED               2      276,338    0         -
VARIAN INC                   COMMON 922206107   $   1,565      30,653    SH   DEFINED            20,2          -      0      30,653
VARIAN INC                   COMMON 922206107   $       1          29    SH   DEFINED              22          -      0          29
VARIAN INC                   COMMON 922206107   $   8,094     158,525    SH   DEFINED              23      158,525    0         -
VARIAN INC                   COMMON 922206107   $     117       2,285    SH   DEFINED               5          585    0       1,700
VARIAN INC                   COMMON 922206107   $     613      12,000    SH   DEFINED            5,15       12,000    0         -
VARIAN SEMICONDUCTOR EQUIP   COMMON 922207105   $  20,892     599,993    SH   DEFINED               1      599,993    0         -
VARIAN SEMICONDUCTOR EQUIP   COMMON 922207105   $   1,532      44,000    SH   DEFINED              14       41,400    0       1,700
VARIAN SEMICONDUCTOR EQUIP   COMMON 922207105   $  12,341     354,437    SH   DEFINED               2      354,437    0         -
VARIAN SEMICONDUCTOR EQUIP   COMMON 922207105   $     615      17,650    SH   DEFINED            20,2       17,650    0         -
VARIAN SEMICONDUCTOR EQUIP   COMMON 922207105   $     221       6,342    SH   DEFINED              23        6,342    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $  30,423     586,755    SH   DEFINED               1      586,755    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $      83       1,600    SH   DEFINED           10,14        1,600    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $      31         600    SH   DEFINED              13          600    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $   6,907     133,205    SH   DEFINED              14       59,705    0      71,400
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $     793      15,300    SH   DEFINED            14,7          -      0      15,300
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $      31         600    SH   DEFINED           20,14          -      0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $      50         970    SH   DEFINED              22          600    0         370
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $   5,173      99,765    SH   DEFINED              23       99,765    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $       3          55    SH   DEFINED              24           55    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $  15,038     290,028    SH   DEFINED               4      290,028    0         -
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $     188       3,619    SH   DEFINED               5        3,000    0         619
VARIAN MEDICAL SYSTEMS INC   COMMON 92220P105   $     151       2,918    SH   DEFINED               7        2,918    0         -
VASCO DATA SECURITY INTL     COMMON 92230Y104   $       3         243    SH   DEFINED              23          243    0         -
VECTREN CORPORATION          COMMON 92240G101   $     487      15,600    SH   DEFINED              14       15,600    0         -
VECTREN CORPORATION          COMMON 92240G101   $     165       5,302    SH   DEFINED              22          -      0       5,302
VECTREN CORPORATION          COMMON 92240G101   $   4,894     156,803    SH   DEFINED              23      156,803    0         -
VECTREN CORPORATION          COMMON 92240G101   $       5         174    SH   DEFINED              24          174    0         -
VECTREN CORPORATION          COMMON 92240G101   $       3         100    SH   DEFINED               5          100    0         -
VECTREN CORPORATION          COMMON 92240G101   $     106       3,400    SH   DEFINED            5,15        3,400    0         -
VECTOR GROUP LTD             COMMON 92240M108   $       1          77    SH   DEFINED              22          -      0          77
VECTOR GROUP LTD             COMMON 92240M108   $      78       4,847    SH   DEFINED              23        4,847    0         -
VEECO INSTRS INC DEL         COMMON 922417100   $   4,526     281,467    SH   DEFINED              23      281,467    0         -
VELCRO INDUSTRIES N V        COMMON 922571104   $      54       2,912    SH   DEFINED              23        2,912    0         -
VENOCO INC                   COMMON 92275P307   $   4,054     174,684    SH   DEFINED               1      174,684    0         -
VENOCO INC                   COMMON 92275P307   $   1,431      61,662    SH   DEFINED               2          -      0      61,662
VENOCO INC                   COMMON 92275P307   $      52       2,222    SH   DEFINED              23        2,222    0         -
VENTAS INC                   COMMON 92276F100   $     145       3,400    SH   DEFINED               1        3,400    0         -
VENTAS INC                   COMMON 92276F100   $  45,397   1,066,400    SH   DEFINED            1,15    1,066,400    0         -
VENTAS INC                   COMMON 92276F100   $ 159,310   3,742,307    SH   DEFINED              14    2,251,407    0   1,281,500
VENTAS INC                   COMMON 92276F100   $   2,618      61,500    SH   DEFINED           18,14       61,500    0         -
VENTAS INC                   COMMON 92276F100   $     783      18,400    SH   DEFINED           19,14       18,400    0         -
VENTAS INC                   COMMON 92276F100   $   6,305     148,100    SH   DEFINED            2,15      148,100    0         -
VENTAS INC                   COMMON 92276F100   $  11,459     269,186    SH   DEFINED              22       92,066    0     177,120
VENTAS INC                   COMMON 92276F100   $   7,143     167,788    SH   DEFINED              23      167,788    0         -
VENTAS INC                   COMMON 92276F100   $       4          85    SH   DEFINED              24           85    0         -
VENTAS INC                   COMMON 92276F100   $     851      20,000    SH   DEFINED            3,15        9,500    0      10,500
VENTAS INC                   COMMON 92276F100   $   5,997     140,872    SH   DEFINED               5      118,844    0      22,028




VENTAS INC                   COMMON 92276F100   $  12,564     295,132    SH   DEFINED            5,15      295,132    0         -
VENTAS INC                   COMMON 92276F100   $     115       2,700    SH   DEFINED            6,14        2,700    0         -
VENTAS INC                   COMMON 92276F100   $   2,307      54,200    SH   DEFINED            8,14          -      0      54,200
VANGUARD REIT ETF            COMMON 922908553   $   1,841      27,800    SH   DEFINED              22          -      0      27,800
VANGUARD REIT ETF            COMMON 922908553   $     593       8,950    SH   DEFINED              23        8,950    0         -
VANGUARD REIT ETF            COMMON 922908553   $      66       1,000    SH   DEFINED               5          -      0       1,000
VANGUARD SMALL-CAP GR ETF    COMMON 922908595   $      50         700    SH   DEFINED              22          -      0         700
VANGUARD SMALL-CAP VA ETF    COMMON 922908611   $      66       1,000    SH   DEFINED              22          -      0       1,000
VANGUARD MID-CAP ETF         COMMON 922908629   $      61         800    SH   DEFINED              22          -      0         800
VANGUARD LARGE-CAP ETF       COMMON 922908637   $     321       5,070    SH   DEFINED              22          -      0       5,070
VANGUARD GROWTH ETF          COMMON 922908736   $     501       7,879    SH   DEFINED              22        1,974    0       5,904
VANGUARD SMALL-CAP ETF       COMMON 922908751   $      68       1,000    SH   DEFINED              22          -      0       1,000
VANGUARD TOTL STCK MK ETF    COMMON 922908769   $     813       5,798    SH   DEFINED               5          -      0       5,798
VEOLIA ENVIRONNEMENT-ADR     COMMON 92334N103   $ 106,105   1,899,817    SH   DEFINED              23    1,899,817    0         -
VEOLIA ENVIRONNEMENT-ADR     COMMON 92334N103   $       2          43    SH   DEFINED               4           43    0         -
VERASUN ENERGY CORP          COMMON 92336G106   $      17       4,000    SH   DEFINED              22          -      0       4,000
VERASUN ENERGY CORP          COMMON 92336G106   $  34,928   8,457,048    SH   DEFINED              23    8,457,048    0         -
VERASUN ENERGY CORP          COMMON 92336G106   $      80      19,341    SH   DEFINED              24       19,341    0         -
VERASUN ENERGY CORP          COMMON 92336G106   $       7       1,575    SH   DEFINED               5          -      0       1,575
VERENIUM CORP                COMMON 92340P100   $  11,799   6,113,713    SH   DEFINED              23    6,113,713    0         -
VERENIUM CORP                COMMON 92340P100   $      21      11,107    SH   DEFINED              24       11,107    0         -
VERIFONE HOLDINGS INC        COMMON 92342Y109   $   1,511     126,482    SH   DEFINED              22      114,338    0      12,144
VERIFONE HOLDINGS INC        COMMON 92342Y109   $     889      74,384    SH   DEFINED               5       54,929    0      19,455
VERISIGN INC                 COMMON 92343E102   $      45       1,200    SH   DEFINED              22          -      0       1,200
VERISIGN INC                 COMMON 92343E102   $     573      15,157    SH   DEFINED              23       15,157    0         -
VERISIGN INC                 COMMON 92343E102   $   1,915      50,668    SH   DEFINED              24       50,668    0         -
VERISIGN INC                 COMMON 92343E102   $     760      20,111    SH   DEFINED               5          -      0      20,111
VERISIGN INC                 COMMON 92343E102   $     160       4,226    SH   DEFINED               7        4,226    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $  24,982     705,700    SH   DEFINED               1      705,700    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $   9,884     279,200    SH   DEFINED            1,15      279,200    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $   3,448      97,400    SH   DEFINED           10,14       97,400    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $     444      12,546    SH   DEFINED              11       12,546    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $     110       3,100    SH   DEFINED              13        3,100    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $ 159,209   4,497,431    SH   DEFINED              14    3,244,081    0   1,119,950
VERIZON COMMUNICATIONS       COMMON 92343V104   $   4,039     114,100    SH   DEFINED           14,13          -      0     114,100
VERIZON COMMUNICATIONS       COMMON 92343V104   $  13,094     369,900    SH   DEFINED            14,7          -      0     369,900
VERIZON COMMUNICATIONS       COMMON 92343V104   $   1,742      49,217    SH   DEFINED              19       49,217    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $   1,565      44,200    SH   DEFINED           20,14          -      0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $   5,590     157,917    SH   DEFINED            20,2      157,917    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $       5         150    SH   DEFINED              21          150    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $  21,358     603,345    SH   DEFINED              22      167,065    0     436,280
VERIZON COMMUNICATIONS       COMMON 92343V104   $  28,463     804,052    SH   DEFINED              23      804,052    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $     714      20,165    SH   DEFINED              24       20,165    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $       5         145    SH   DEFINED               4          145    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $  10,197     288,047    SH   DEFINED               5      233,080    0      54,967
VERIZON COMMUNICATIONS       COMMON 92343V104   $   9,116     257,500    SH   DEFINED            5,15      257,500    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $     326       9,200    SH   DEFINED               6        9,200    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $   4,959     140,080    SH   DEFINED               7      140,080    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $  12,097     341,712    SH   DEFINED               8      341,712    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $  19,548     552,200    SH   DEFINED            8,14      552,200    0         -
VERIZON COMMUNICATIONS       COMMON 92343V104   $   2,202      62,200    SH   DEFINED            9,14          -      0      62,200
VERMONT PURE HOLDINGS LTD    COMMON 924237100   $       1       1,000    SH   DEFINED              22          -      0       1,000
VERTEX PHARMACEUTICALS INC   COMMON 92532F100   $   7,543     225,379    SH   DEFINED               1      225,379    0         -
VERTEX PHARMACEUTICALS INC   COMMON 92532F100   $     718      21,439    SH   DEFINED               2       21,439    0         -
VERTEX PHARMACEUTICALS INC   COMMON 92532F100   $   1,002      29,944    SH   DEFINED            20,2          -      0      29,944
VERTEX PHARMACEUTICALS INC   COMMON 92532F100   $       7         223    SH   DEFINED              23          223    0         -
VERTEX PHARMACEUTICALS INC   COMMON 92532F100   $   1,353      40,421    SH   DEFINED              24       40,421    0         -
VESTIN REALTY MORTGAGE II    COMMON 92549X201   $      52       6,588    SH   DEFINED              23        6,588    0         -
VIAD CORP                    COMMON 92552R406   $      49       1,900    SH   DEFINED              14        1,900    0         -
VIAD CORP                    COMMON 92552R406   $   1,703      66,020    SH   DEFINED              23       66,020    0         -
VIASAT INC                   COMMON 92552V100   $       2          75    SH   DEFINED              22          -      0          75
VIASAT INC                   COMMON 92552V100   $   1,122      55,539    SH   DEFINED              23       55,539    0         -
VIACOM INC CL A VTG          COMMON 92553P102   $   4,234     138,312    SH   DEFINED               1      138,312    0         -
VIACOM INC CL A VTG          COMMON 92553P102   $     372      12,141    SH   DEFINED            13,2          -      0      12,141
VIACOM INC CL A VTG          COMMON 92553P102   $       2          50    SH   DEFINED              22          -      0          50
VIACOM INC CL B NON-VTG      COMMON 92553P201   $   3,063     100,281    SH   DEFINED               1      100,281    0         -
VIACOM INC CL B NON-VTG      COMMON 92553P201   $     229       7,495    SH   DEFINED            13,2          -      0       7,495
VIACOM INC CL B NON-VTG      COMMON 92553P201   $   2,452      80,300    SH   DEFINED              14       42,500    0      33,200
VIACOM INC CL B NON-VTG      COMMON 92553P201   $     654      21,400    SH   DEFINED            14,7          -      0      21,400
VIACOM INC CL B NON-VTG      COMMON 92553P201   $   2,821      92,381    SH   DEFINED              22       12,465    0      79,916
VIACOM INC CL B NON-VTG      COMMON 92553P201   $  11,482     375,952    SH   DEFINED              23      375,952    0         -
VIACOM INC CL B NON-VTG      COMMON 92553P201   $      15         486    SH   DEFINED              24          486    0         -
VIACOM INC CL B NON-VTG      COMMON 92553P201   $      37       1,199    SH   DEFINED               5          -      0       1,199
VIACOM INC CL B NON-VTG      COMMON 92553P201   $     375      12,286    SH   DEFINED               7       12,286    0         -
VIACOM INC CL B NON-VTG      COMMON 92553P201   $  16,333     534,814    SH   DEFINED               8      534,814    0         -
VICAL INC                    COMMON 925602104   $       1         342    SH   DEFINED              23          342    0         -
VICOR CORP                   COMMON 925815102   $     189      18,936    SH   DEFINED              23       18,936    0         -
VICOR CORP                   COMMON 925815102   $     988      99,000    SH   DEFINED               5       99,000    0         -
VIEWPOINT FINANCIAL GROUP    COMMON 926727108   $       2         113    SH   DEFINED              23          113    0         -
VIGNETTE CORPORATION         COMMON 926734401   $   4,799     399,900    SH   DEFINED              14      276,900    0     123,000
VIGNETTE CORPORATION         COMMON 926734401   $     259      21,599    SH   DEFINED              23       21,599    0         -
VIGNETTE CORPORATION         COMMON 926734401   $      92       7,645    SH   DEFINED               5        1,945    0       5,700
VIGNETTE CORPORATION         COMMON 926734401   $     750      62,500    SH   DEFINED            5,15       62,500    0         -
VIGNETTE CORPORATION         COMMON 926734401   $     263      21,900    SH   DEFINED               8       21,900    0         -
VIGNETTE CORPORATION         COMMON 926734401   $      72       6,000    SH   DEFINED            8,20        6,000    0         -
VILLAGE SUPER MARKET-CLASS A COMMON 927107409   $     214       5,535    SH   DEFINED              23        5,535    0         -
VINEYARD NATL BANCORP CO     COMMON 927426106       $ -            88    SH   DEFINED              23           88    0         -
VION PHARMACEUTICALS INC     COMMON 927624502   $      15      10,000    SH   DEFINED               5       10,000    0         -
VIRAGE LOGIC CORP            COMMON 92763R104   $       1         205    SH   DEFINED              23          205    0         -
VIRGIN MEDIA INC             COMMON 92769L101   $   1,469     107,929    SH   DEFINED               1      107,929    0         -
VIRGIN MEDIA INC             COMMON 92769L101   $     501      36,811    SH   DEFINED              23       36,811    0         -
VIRGIN MEDIA INC             COMMON 92769L101   $   1,350      99,169    SH   DEFINED              24       99,169    0         -
VIRGIN MOBILE USA INC-A      COMMON 92769R108   $      20       7,224    SH   DEFINED              23        7,224    0         -
VIRGINIA COMMERCE BANCORP    COMMON 92778Q109   $       1         229    SH   DEFINED              23          229    0         -
VIROPHARMA INC               COMMON 928241108   $   5,750     519,934    SH   DEFINED               1      519,934    0         -
VIROPHARMA INC               COMMON 928241108   $      41       3,700    SH   DEFINED              14        3,700    0         -
VIROPHARMA INC               COMMON 928241108   $   3,286     297,118    SH   DEFINED               2      116,504    0     180,614
VIROPHARMA INC               COMMON 928241108   $      11       1,000    SH   DEFINED              22          -      0       1,000
VIROPHARMA INC               COMMON 928241108   $   9,302     841,065    SH   DEFINED              23      841,065    0         -
VIRTUAL RADIOLOGIC CORP      COMMON 92826B104   $       1          57    SH   DEFINED              23           57    0         -




VISA INC-CLASS A SHARES      COMMON 92826C839   $      569       7,000   SH   DEFINED            10,14        7,000   0         -
VISA INC-CLASS A SHARES      COMMON 92826C839   $        8         100   SH   DEFINED               13          100   0         -
VISA INC-CLASS A SHARES      COMMON 92826C839   $   11,018     135,500   SH   DEFINED               14       74,600   0      53,100
VISA INC-CLASS A SHARES      COMMON 92826C839   $      285       3,500   SH   DEFINED            14,13          -     0       3,500
VISA INC-CLASS A SHARES      COMMON 92826C839   $      423       5,200   SH   DEFINED             14,7          -     0       5,200
VISA INC-CLASS A SHARES      COMMON 92826C839   $        8         100   SH   DEFINED            20,14          -     0         -
VISA INC-CLASS A SHARES      COMMON 92826C839   $    4,943      60,790   SH   DEFINED               22       18,951   0      41,839
VISA INC-CLASS A SHARES      COMMON 92826C839   $    8,261     101,603   SH   DEFINED                5       64,461   0      37,142
VISA INC-CLASS A SHARES      COMMON 92826C839   $      618       7,600   SH   DEFINED             5,15        7,600   0         -
VISA INC-CLASS A SHARES      COMMON 92826C839   $      704       8,663   SH   DEFINED                7        8,663   0         -
VISA INC-CLASS A SHARES      COMMON 92826C839   $    2,057      25,300   SH   DEFINED             8,14       25,300   0         -
VISA INC-CLASS A SHARES      COMMON 92826C839   $      146       1,800   SH   DEFINED             9,14          -     0       1,800
VIRTUSA CORP                 COMMON 92827P102        $ -            40   SH   DEFINED               23           40   0         -
VISHAY INTERTECHNOLOGY INC   COMMON 928298108        $ -             1   SH   DEFINED               14            1   0         -
VISHAY INTERTECHNOLOGY INC   COMMON 928298108   $      303      34,195   SH   DEFINED               23       34,195   0         -
VISHAY INTERTECHNOLOGY INC   COMMON 928298108   $        6         628   SH   DEFINED               24          628   0         -
VISHAY INTERTECHNOLOGY INC   COMMON 928298108   $       34       3,830   SH   DEFINED                5          -     0       3,830
VISIONCHINA MEDIA INC-ADR    COMMON 92833U103   $    3,038     160,904   SH   DEFINED               23      160,904   0         -
VISTEON CORP                 COMMON 92839U107        $ -           158   SH   DEFINED               22          -     0         158
VISTEON CORP                 COMMON 92839U107   $      623     236,902   SH   DEFINED               23      236,902   0         -
VISTEON CORP                 COMMON 92839U107   $        6       2,258   SH   DEFINED               24        2,258   0         -
VITAL SIGNS INC              COMMON 928469105   $       27         469   SH   DEFINED               23          469   0         -
VITAL IMAGES INC             COMMON 92846N104   $        2         149   SH   DEFINED               23          149   0         -
VITRAN CORP INC-A            COMMON 92850E107   $        2         118   SH   DEFINED               23          118   0         -
VIVUS INC                    COMMON 928551100   $    7,037   1,053,445   SH   DEFINED                1    1,053,445   0         -
VIVUS INC                    COMMON 928551100   $    4,072     609,514   SH   DEFINED                2      238,998   0     370,516
VIVUS INC                    COMMON 928551100   $        3         510   SH   DEFINED               23          510   0         -
VIVO PARTICIPACOES SA ADR    COMMON 92855S101   $        1         117   SH   DEFINED               22          -     0         117
VIVO PARTICIPACOES SA ADR    COMMON 92855S101   $      447      70,314   SH   DEFINED               23       70,314   0         -
VIVO PARTICIPACOES SA ADR    COMMON 92855S101        $ -            40   SH   DEFINED                4           40   0         -
VMWARE INC-CLASS A           COMMON 928563402   $       13         250   SH   DEFINED               22          -     0         250
VMWARE INC-CLASS A           COMMON 928563402   $        8         148   SH   DEFINED               23          148   0         -
VMWARE INC-CLASS A           COMMON 928563402   $       13         235   SH   DEFINED                5          -     0         235
VNUS MEDICAL TECHNOLOGIES    COMMON 928566108   $      443      22,130   SH   DEFINED               23       22,130   0         -
VODAFONE GROUP PLC ADR       COMMON 92857W209   $   94,563   3,209,877   SH   DEFINED               11    3,209,877   0         -
VODAFONE GROUP PLC ADR       COMMON 92857W209   $    1,676      56,890   SH   DEFINED               14       56,890   0         -
VODAFONE GROUP PLC ADR       COMMON 92857W209   $    9,536     323,700   SH   DEFINED               22        5,562   0     318,138
VODAFONE GROUP PLC ADR       COMMON 92857W209   $    9,210     312,619   SH   DEFINED               23      312,619   0         -
VODAFONE GROUP PLC ADR       COMMON 92857W209   $   14,374     487,904   SH   DEFINED                4      487,904   0         -
VODAFONE GROUP PLC ADR       COMMON 92857W209   $    1,109      37,651   SH   DEFINED                5       17,200   0      20,451
VOCUS INC                    COMMON 92858J108   $       15         463   SH   DEFINED               23          463   0         -
VOLCANO CORP                 COMMON 928645100   $      167      13,709   SH   DEFINED               23       13,709   0         -
VOLCOM                       COMMON 92864N101   $    6,357     265,632   SH   DEFINED                1      265,632   0         -
VOLCOM                       COMMON 92864N101   $    3,677     153,641   SH   DEFINED                2       60,247   0      93,394
VOLT INFO SCIENCES INC       COMMON 928703107   $      100       8,419   SH   DEFINED               23        8,419   0         -
VOLT INFO SCIENCES INC       COMMON 928703107   $       11         900   SH   DEFINED                5          -     0         900
VOLTERRA SEMICONDUCTOR CORP  COMMON 928708106   $    6,029     349,314   SH   DEFINED               16          -    349314     -
VOLTERRA SEMICONDUCTOR CORP  COMMON 928708106   $      481      27,861   SH   DEFINED               23       27,861   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $   52,351     594,900   SH   DEFINED             1,15      594,900   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $       44         500   SH   DEFINED               13          500   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $  149,891   1,703,312   SH   DEFINED               14    1,064,212   0     545,200
VORNADO REALTY TRUST REIT    COMMON 929042109   $    2,508      28,500   SH   DEFINED            18,14       28,500   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $      748       8,500   SH   DEFINED            19,14        8,500   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $    7,577      86,100   SH   DEFINED             2,15       86,100   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $       44         500   SH   DEFINED            20,14          -     0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $      106       1,200   SH   DEFINED               22          -     0       1,200
VORNADO REALTY TRUST REIT    COMMON 929042109   $    1,085      12,331   SH   DEFINED               23       12,331   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $       18         204   SH   DEFINED               24          204   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $      924      10,500   SH   DEFINED             3,15        4,400   0       6,100
VORNADO REALTY TRUST REIT    COMMON 929042109   $       13         148   SH   DEFINED                5          -     0         148
VORNADO REALTY TRUST REIT    COMMON 929042109   $   11,119     126,352   SH   DEFINED             5,15      126,352   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $      141       1,600   SH   DEFINED             6,14        1,600   0         -
VORNADO REALTY TRUST REIT    COMMON 929042109   $    2,200      25,000   SH   DEFINED             8,14          -     0      25,000
VORNADO REALTY TRUST CVT 3.
                        625  CONVERT929043AE7   $   27,675  30,000,000   SH   DEFINED               14          -     0  25,425,000
VOTORANTIM CELULOSE E PAPEL
SA                           COMMON 92906P106   $      184       6,871   SH   DEFINED               23        6,871   0         -
VOTORANTIM CELULOSE E PAPEL
SA                           COMMON 92906P106   $    6,651     249,000   SH   DEFINED                3      249,000   0         -
VULCAN MATERIALS CO          COMMON 929160109   $      522       8,732   SH   DEFINED               22          565   0       8,167
VULCAN MATERIALS CO          COMMON 929160109   $      418       6,997   SH   DEFINED               23        6,997   0         -
VULCAN MATERIALS CO          COMMON 929160109   $        6         102   SH   DEFINED               24          102   0         -
VULCAN MATERIALS CO          COMMON 929160109   $      125       2,093   SH   DEFINED                5          -     0       2,093
VULCAN MATERIALS CO          COMMON 929160109   $      150       2,504   SH   DEFINED                7        2,504   0         -
W&T OFFSHORE                 COMMON 92922P106   $        3          45   SH   DEFINED               22          -     0          45
W&T OFFSHORE                 COMMON 92922P106   $    5,477      93,615   SH   DEFINED               23       93,615   0         -
W&T OFFSHORE                 COMMON 92922P106   $       23         400   SH   DEFINED               24          400   0         -
WD-40 CO                     COMMON 929236107   $      155       5,300   SH   DEFINED               14        5,300   0         -
WD-40 CO                     COMMON 929236107   $       64       2,200   SH   DEFINED               22          -     0       2,200
WD-40 CO                     COMMON 929236107   $    1,291      44,151   SH   DEFINED               23       44,151   0         -
WD-40 CO                     COMMON 929236107   $       32       1,100   SH   DEFINED             5,15        1,100   0         -
WCI COMMUNITIES INC          COMMON 92923C104   $       58      40,210   SH   DEFINED               23       40,210   0         -
WCI COMMUNITIES INC          COMMON 92923C104   $        1         780   SH   DEFINED               24          780   0         -
WGL HOLDINGS INC             COMMON 92924F106   $      226       6,500   SH   DEFINED               14        3,400   0       3,100
WGL HOLDINGS INC             COMMON 92924F106   $    5,028     144,722   SH   DEFINED               23      144,722   0         -
WGL HOLDINGS INC             COMMON 92924F106   $        5         131   SH   DEFINED               24          131   0         -
WGL HOLDINGS INC             COMMON 92924F106   $       28         800   SH   DEFINED                5          800   0         -
WGL HOLDINGS INC             COMMON 92924F106   $       35       1,000   SH   DEFINED             5,15        1,000   0         -
W HOLDING COMPANY INC        COMMON 929251106   $       88     103,721   SH   DEFINED               23      103,721   0         -
W-H ENERGY SERVICES          COMMON 92925E108   $      200       2,090   SH   DEFINED               23        2,090   0         -
WCA WASTE CORP               COMMON 92926K103   $      234      36,792   SH   DEFINED               23       36,792   0         -
WABCO HOLDINGS INC           COMMON 92927K102   $      739      15,901   SH   DEFINED               14          -     0      15,901
WABCO HOLDINGS INC           COMMON 92927K102   $        5         102   SH   DEFINED               22          102   0         -
WABCO HOLDINGS INC           COMMON 92927K102   $      148       3,193   SH   DEFINED               23        3,193   0         -
WABCO HOLDINGS INC           COMMON 92927K102   $        3          61   SH   DEFINED               24           61   0         -
WABCO HOLDINGS INC           COMMON 92927K102   $      711      15,308   SH   DEFINED                5          -     0      15,308
WMS INDUSTRIES INC           COMMON 929297109   $       39       1,300   SH   DEFINED               14        1,300   0         -
WMS INDUSTRIES INC           COMMON 929297109   $    2,732      91,764   SH   DEFINED               23       91,764   0         -
WPP GROUP PLC-SPONSORED ADR  COMMON 929309409   $       35         736   SH   DEFINED               22          -     0         736
WPP GROUP PLC-SPONSORED ADR  COMMON 929309409   $    3,374      70,562   SH   DEFINED               23       70,562   0         -
WPP GROUP PLC-SPONSORED ADR  COMMON 929309409   $   16,814     351,615   SH   DEFINED                4      351,615   0         -
W.P. CAREY & CO. LLC         COMMON 92930Y107   $        9         330   SH   DEFINED               22          -     0         330
W.P. CAREY & CO. LLC         COMMON 92930Y107   $      296      10,314   SH   DEFINED               23       10,314   0         -





WSFS FINL CORP               COMMON 929328102   $   2,114      47,400    SH   DEFINED              14       32,900    0      14,500
WSFS FINL CORP               COMMON 929328102   $      47       1,044    SH   DEFINED              23        1,044    0         -
WSFS FINL CORP               COMMON 929328102   $     379       8,500    SH   DEFINED            5,15        8,500    0         -
WSP HOLDINGS LTD-ADR         COMMON 92934F104   $   1,970     235,413    SH   DEFINED              23      235,413    0         -
WUXI PHARMATECH INC-ADR      COMMON 929352102   $   2,984     147,014    SH   DEFINED              23      147,014    0         -
WABASH NATL CORP             COMMON 929566107   $   1,521     201,200    SH   DEFINED              14      130,500    0      70,700
WABASH NATL CORP             COMMON 929566107   $     228      30,172    SH   DEFINED              23       30,172    0         -
WABASH NATL CORP             COMMON 929566107   $     212      28,000    SH   DEFINED            5,15       28,000    0         -
WABTEC                       COMMON 929740108   $  17,471     359,330    SH   DEFINED               1      359,330    0         -
WABTEC                       COMMON 929740108   $  11,683     240,300    SH   DEFINED              14      139,900    0     100,100
WABTEC                       COMMON 929740108   $  14,038     288,732    SH   DEFINED               2      288,732    0         -
WABTEC                       COMMON 929740108   $     307       6,309    SH   DEFINED              23        6,309    0         -
WABTEC                       COMMON 929740108   $     438       9,000    SH   DEFINED               5          -      0       9,000
WABTEC                       COMMON 929740108   $   1,250      25,700    SH   DEFINED            5,15       25,700    0         -
WABTEC                       COMMON 929740108   $     394       8,100    SH   DEFINED               8        8,100    0         -
WABTEC                       COMMON 929740108   $     107       2,200    SH   DEFINED            8,20        2,200    0         -
WACHOVIA CORP                COMMON 929903102   $  54,890   3,534,431    SH   DEFINED               1    3,534,431    0         -
WACHOVIA CORP                COMMON 929903102   $   2,932     188,783    SH   DEFINED              14      135,683    0      42,800
WACHOVIA CORP                COMMON 929903102   $     930      59,900    SH   DEFINED            14,7          -      0      59,900
WACHOVIA CORP                COMMON 929903102   $   2,382     153,353    SH   DEFINED              22       35,000    0     118,353
WACHOVIA CORP                COMMON 929903102   $   4,437     285,686    SH   DEFINED              23      285,686    0         -
WACHOVIA CORP                COMMON 929903102   $      91       5,872    SH   DEFINED              24        5,872    0         -
WACHOVIA CORP                COMMON 929903102   $   2,397     154,370    SH   DEFINED               4      154,370    0         -
WACHOVIA CORP                COMMON 929903102   $  11,644     749,793    SH   DEFINED               5      612,934    0     136,859
WACHOVIA CORP                COMMON 929903102   $     678      43,682    SH   DEFINED               7       43,682    0         -
WACHOVIA CORP                COMMON 929903102   $     930      59,862    SH   DEFINED               8       59,862    0         -
WADDELL & REED FINANCIAL INC COMMON 930059100   $  24,737     706,580    SH   DEFINED              14      291,980    0     409,200
WADDELL & REED FINANCIAL INC COMMON 930059100   $     329       9,400    SH   DEFINED            14,7          -      0       9,400
WADDELL & REED FINANCIAL INC COMMON 930059100   $     206       5,876    SH   DEFINED              23        5,876    0         -
WADDELL & REED FINANCIAL INC COMMON 930059100   $     809      23,109    SH   DEFINED               5       20,259    0       2,850
WADDELL & REED FINANCIAL INC COMMON 930059100   $     238       6,802    SH   DEFINED               8        6,802    0         -
WAINWRIGHT BANK TRUST CO     COMMON 930705108   $     117      10,757    SH   DEFINED               5          -      0      10,757
WAL-MART STORES INC          COMMON 931142103   $ 161,789   2,878,816    SH   DEFINED               1    2,878,816    0         -
WAL-MART STORES INC          COMMON 931142103   $     759      13,500    SH   DEFINED            1,15       13,500    0         -
WAL-MART STORES INC          COMMON 931142103   $   1,506      26,800    SH   DEFINED           10,14       26,800    0         -
WAL-MART STORES INC          COMMON 931142103   $     108       1,924    SH   DEFINED            10,7        1,924    0         -
WAL-MART STORES INC          COMMON 931142103   $  42,543     756,995    SH   DEFINED              11      174,695    0     582,300
WAL-MART STORES INC          COMMON 931142103   $     127       2,264    SH   DEFINED              13        2,264    0         -
WAL-MART STORES INC          COMMON 931142103   $     430       7,653    SH   DEFINED            13,2          -      0       7,653
WAL-MART STORES INC          COMMON 931142103   $ 104,828   1,865,274    SH   DEFINED              14    1,388,204    0     393,870
WAL-MART STORES INC          COMMON 931142103   $   2,091      37,200    SH   DEFINED           14,13          -      0      37,200
WAL-MART STORES INC          COMMON 931142103   $   9,739     173,300    SH   DEFINED            14,7          -      0     173,300
WAL-MART STORES INC          COMMON 931142103   $      33         595    SH   DEFINED           18,11          595    0         -
WAL-MART STORES INC          COMMON 931142103   $     916      16,300    SH   DEFINED           18,14          -      0      16,300
WAL-MART STORES INC          COMMON 931142103   $     251       4,458    SH   DEFINED              19        4,458    0         -
WAL-MART STORES INC          COMMON 931142103   $   3,369      59,950    SH   DEFINED           19,14       33,550    0      26,400
WAL-MART STORES INC          COMMON 931142103   $   1,158      20,600    SH   DEFINED           20,14          -      0         -
WAL-MART STORES INC          COMMON 931142103   $   2,161      38,453    SH   DEFINED              21       38,453    0         -
WAL-MART STORES INC          COMMON 931142103   $  42,746     760,603    SH   DEFINED              22       75,583    0     685,020
WAL-MART STORES INC          COMMON 931142103   $  21,843     388,672    SH   DEFINED              23      388,672    0         -
WAL-MART STORES INC          COMMON 931142103   $     267       4,753    SH   DEFINED              24        4,753    0         -
WAL-MART STORES INC          COMMON 931142103   $     644      11,462    SH   DEFINED             3,1       11,462    0         -
WAL-MART STORES INC          COMMON 931142103   $       5          83    SH   DEFINED               4           83    0         -
WAL-MART STORES INC          COMMON 931142103   $  29,521     525,287    SH   DEFINED               5      478,871    0      46,416
WAL-MART STORES INC          COMMON 931142103   $   4,710      83,800    SH   DEFINED            5,15       83,800    0         -
WAL-MART STORES INC          COMMON 931142103   $   1,248      22,200    SH   DEFINED               6       22,200    0         -
WAL-MART STORES INC          COMMON 931142103   $   5,925     105,422    SH   DEFINED               7      105,422    0         -
WAL-MART STORES INC          COMMON 931142103   $  76,202   1,355,908    SH   DEFINED               8    1,355,908    0         -
WAL-MART STORES INC          COMMON 931142103   $  12,729     226,500    SH   DEFINED            8,14      174,200    0      52,300
WAL-MART STORES INC          COMMON 931142103   $   2,703      48,100    SH   DEFINED             8,2       48,100    0         -
WAL-MART STORES INC          COMMON 931142103   $   2,162      38,462    SH   DEFINED               9       38,462    0         -
WAL-MART STORES INC          COMMON 931142103   $   1,135      20,200    SH   DEFINED            9,14          -      0      20,200
WALGREEN CO                  COMMON 931422109   $  94,334   2,901,683    SH   DEFINED               1    2,901,683    0         -
WALGREEN CO                  COMMON 931422109   $      10         300    SH   DEFINED              14          300    0         -
WALGREEN CO                  COMMON 931422109   $       3         100    SH   DEFINED              21          100    0         -
WALGREEN CO                  COMMON 931422109   $  26,077     802,127    SH   DEFINED              22       65,590    0     736,537
WALGREEN CO                  COMMON 931422109   $  12,859     395,536    SH   DEFINED              23      395,536    0         -
WALGREEN CO                  COMMON 931422109   $      43       1,316    SH   DEFINED              24        1,316    0         -
WALGREEN CO                  COMMON 931422109   $       2          62    SH   DEFINED               4           62    0         -
WALGREEN CO                  COMMON 931422109   $   3,285     101,043    SH   DEFINED               5       39,350    0      61,693
WALGREEN CO                  COMMON 931422109   $     588      18,081    SH   DEFINED               7       18,081    0         -
WALTER INDS INC              COMMON 93317Q105   $   6,994      64,300    SH   DEFINED               1       64,300    0         -
WALTER INDS INC              COMMON 93317Q105   $   5,047      46,400    SH   DEFINED            1,15       46,400    0         -
WALTER INDS INC              COMMON 93317Q105   $   2,640      24,274    SH   DEFINED             1,9       24,274    0         -
WALTER INDS INC              COMMON 93317Q105   $     140       1,289    SH   DEFINED            10,7        1,289    0         -
WALTER INDS INC              COMMON 93317Q105   $     296       2,720    SH   DEFINED              11        2,720    0         -
WALTER INDS INC              COMMON 93317Q105   $      53         491    SH   DEFINED              13          491    0         -
WALTER INDS INC              COMMON 93317Q105   $  44,299     407,269    SH   DEFINED              14      245,069    0     159,400
WALTER INDS INC              COMMON 93317Q105   $   2,121      19,500    SH   DEFINED            14,7          -      0      19,500
WALTER INDS INC              COMMON 93317Q105   $     289       2,657    SH   DEFINED              19        2,657    0         -
WALTER INDS INC              COMMON 93317Q105   $     446       4,100    SH   DEFINED              21        4,100    0         -
WALTER INDS INC              COMMON 93317Q105   $     236       2,166    SH   DEFINED              23        2,166    0         -
WALTER INDS INC              COMMON 93317Q105   $      20         183    SH   DEFINED               5          183    0         -
WALTER INDS INC              COMMON 93317Q105   $     359       3,300    SH   DEFINED            5,15        3,300    0         -
WALTER INDS INC              COMMON 93317Q105   $   1,005       9,241    SH   DEFINED               7        9,241    0         -
WALTER INDS INC              COMMON 93317Q105   $   7,103      65,303    SH   DEFINED               8       65,303    0         -
WALTER INDS INC              COMMON 93317Q105   $     805       7,404    SH   DEFINED               9        7,404    0         -
WARNACO GROUP INC-THE        COMMON 934390402   $  16,304     369,950    SH   DEFINED               1      369,950    0         -
WARNACO GROUP INC-THE        COMMON 934390402   $     172       3,900    SH   DEFINED            1,15        3,900    0         -
WARNACO GROUP INC-THE        COMMON 934390402   $  12,891     292,515    SH   DEFINED               2      292,515    0         -
WARNACO GROUP INC-THE        COMMON 934390402   $     224       5,075    SH   DEFINED              23        5,075    0         -
WARNACO GROUP INC-THE        COMMON 934390402   $      35         802    SH   DEFINED               5          -      0         802
WARNER MUSIC GROUP CORP      COMMON 934550104   $      66       9,200    SH   DEFINED              14          -      0       9,200
WARNER MUSIC GROUP CORP      COMMON 934550104   $     117      16,406    SH   DEFINED              23       16,406    0         -
WARNER MUSIC GROUP CORP      COMMON 934550104   $       2         321    SH   DEFINED              24          321    0         -
WARNER MUSIC GROUP CORP      COMMON 934550104   $       1         186    SH   DEFINED               5          -      0         186
WARREN RESOURCES INC         COMMON 93564A100   $       7         509    SH   DEFINED              23          509    0         -
WASHINGTON BANKING CO        COMMON 937303105   $       1          83    SH   DEFINED              23           83    0         -
WASHINGTON FEDERAL INC       COMMON 938824109   $     326      18,000    SH   DEFINED              14       18,000    0         -
WASHINGTON FEDERAL INC       COMMON 938824109   $     155       8,577    SH   DEFINED              23        8,577    0         -





WASHINGTON FEDERAL INC       COMMON 938824109   $        2         138   SH   DEFINED               24          138   0         -
WASHINGTON FEDERAL INC       COMMON 938824109   $       62       3,400   SH   DEFINED             5,15        3,400   0         -
WASHINGTON MUTUAL INC        COMMON 939322103   $   49,928  10,127,472   SH   DEFINED                1   10,127,472   0         -
WASHINGTON MUTUAL INC        COMMON 939322103   $      632     128,274   SH   DEFINED               14      126,773   0       1,501
WASHINGTON MUTUAL INC        COMMON 939322103   $      154      31,200   SH   DEFINED             14,7          -     0      31,200
WASHINGTON MUTUAL INC        COMMON 939322103   $       35       7,125   SH   DEFINED               22        2,000   0       5,125
WASHINGTON MUTUAL INC        COMMON 939322103   $    3,521     714,286   SH   DEFINED               23      714,286   0         -
WASHINGTON MUTUAL INC        COMMON 939322103   $       39       7,850   SH   DEFINED               24        7,850   0         -
WASHINGTON MUTUAL INC        COMMON 939322103   $    3,087     626,225   SH   DEFINED                4      626,225   0         -
WASHINGTON MUTUAL INC        COMMON 939322103   $       38       7,666   SH   DEFINED                5        5,909   0       1,757
WASHINGTON MUTUAL INC        COMMON 939322103   $       94      19,062   SH   DEFINED                7       19,062   0         -
WASHINGTON POST CO           COMMON 939640108   $   90,950     154,967   SH   DEFINED                1      154,967   0         -
WASHINGTON POST CO           COMMON 939640108   $      117         200   SH   DEFINED               13          200   0         -
WASHINGTON POST CO           COMMON 939640108   $      117         200   SH   DEFINED             13,3          200   0         -
WASHINGTON POST CO           COMMON 939640108   $      306         522   SH   DEFINED               14          522   0         -
WASHINGTON POST CO           COMMON 939640108   $    2,224       3,790   SH   DEFINED               22          -     0       3,790
WASHINGTON POST CO           COMMON 939640108   $       97         165   SH   DEFINED               23          165   0         -
WASHINGTON POST CO           COMMON 939640108   $   62,505     106,500   SH   DEFINED                3      106,500   0         -
WASHINGTON POST CO           COMMON 939640108   $    9,483      16,157   SH   DEFINED                4       16,157   0         -
WASHINGTON POST CO           COMMON 939640108   $       73         125   SH   DEFINED                5          125   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $   27,367     910,700   SH   DEFINED             1,15      910,700   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $   80,774   2,687,991   SH   DEFINED               14    1,598,491   0     937,900
WASHINGTON REAL ESTATE INV   COMMON 939653101   $    1,331      44,300   SH   DEFINED            18,14       44,300   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $      400      13,300   SH   DEFINED            19,14       13,300   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $    3,582     119,200   SH   DEFINED             2,15      119,200   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $       30       1,000   SH   DEFINED               22        1,000   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $      200       6,664   SH   DEFINED               23        6,664   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $      457      15,200   SH   DEFINED             3,15        6,800   0       8,400
WASHINGTON REAL ESTATE INV   COMMON 939653101   $        8         250   SH   DEFINED                5          -     0         250
WASHINGTON REAL ESTATE INV   COMMON 939653101   $    6,590     219,300   SH   DEFINED             5,15      219,300   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $       63       2,100   SH   DEFINED             6,14        2,100   0         -
WASHINGTON REAL ESTATE INV   COMMON 939653101   $    1,160      38,600   SH   DEFINED             8,14          -     0      38,600
WASHINGTON TRUST BANCORP     COMMON 940610108   $      762      38,700   SH   DEFINED               14       27,800   0      10,900
WASHINGTON TRUST BANCORP     COMMON 940610108   $       16         810   SH   DEFINED               22          -     0         810
WASHINGTON TRUST BANCORP     COMMON 940610108   $       45       2,290   SH   DEFINED               23        2,290   0         -
WASHINGTON TRUST BANCORP     COMMON 940610108   $       16         810   SH   DEFINED                5          -     0         810
WASHINGTON TRUST BANCORP     COMMON 940610108   $      140       7,100   SH   DEFINED             5,15        7,100   0         -
WASTE CONNECTIONS INC        COMMON 941053100   $    6,450     201,998   SH   DEFINED                1      201,998   0         -
WASTE CONNECTIONS INC        COMMON 941053100   $    3,738     117,071   SH   DEFINED                2       45,905   0      71,166
WASTE CONNECTIONS INC        COMMON 941053100   $      199       6,227   SH   DEFINED               23        6,227   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $  137,615   3,649,295   SH   DEFINED                1    3,649,295   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $      686      18,200   SH   DEFINED            10,14       18,200   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $   10,649     282,380   SH   DEFINED               14      201,680   0      72,400
WASTE MANAGEMENT INC         COMMON 94106L109   $    1,821      48,300   SH   DEFINED             14,7          -     0      48,300
WASTE MANAGEMENT INC         COMMON 94106L109   $    3,160      83,796   SH   DEFINED               22       14,020   0      69,776
WASTE MANAGEMENT INC         COMMON 94106L109   $    7,549     200,194   SH   DEFINED               23      200,194   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $       31         830   SH   DEFINED               24          830   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $  118,903   3,153,100   SH   DEFINED                3    3,153,100   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $        3          77   SH   DEFINED                4           77   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $      804      21,317   SH   DEFINED                5          630   0      20,687
WASTE MANAGEMENT INC         COMMON 94106L109   $      416      11,044   SH   DEFINED                7       11,044   0         -
WASTE MANAGEMENT INC         COMMON 94106L109   $    3,703      98,200   SH   DEFINED             8,14       98,200   0         -
WASTE SERVICES INC           COMMON 941075202   $      237      33,664   SH   DEFINED               23       33,664   0         -
WATERS CORP                  COMMON 941848103   $  130,324   2,020,524   SH   DEFINED                1    2,020,524   0         -
WATERS CORP                  COMMON 941848103   $      213       3,300   SH   DEFINED            10,14        3,300   0         -
WATERS CORP                  COMMON 941848103   $    8,362     129,642   SH   DEFINED               14       67,842   0      59,500
WATERS CORP                  COMMON 941848103   $    1,245      19,300   SH   DEFINED             14,7          -     0      19,300
WATERS CORP                  COMMON 941848103   $    3,733      57,870   SH   DEFINED                2       17,715   0      40,155
WATERS CORP                  COMMON 941848103   $    1,142      17,705   SH   DEFINED             20,2          -     0      17,705
WATERS CORP                  COMMON 941848103   $      119       1,850   SH   DEFINED               22          -     0       1,850
WATERS CORP                  COMMON 941848103   $   13,665     211,858   SH   DEFINED               23      211,858   0         -
WATERS CORP                  COMMON 941848103   $   79,967   1,239,800   SH   DEFINED                3    1,239,800   0         -
WATERS CORP                  COMMON 941848103   $    6,098      94,542   SH   DEFINED                4       94,542   0         -
WATERS CORP                  COMMON 941848103   $        3          41   SH   DEFINED                5          -     0          41
WATERS CORP                  COMMON 941848103   $      328       5,088   SH   DEFINED                7        5,088   0         -
WATERS CORP                  COMMON 941848103   $      497       7,700   SH   DEFINED             8,14        7,700   0         -
WATSCO INC                   COMMON 942622200   $        2          40   SH   DEFINED               22          -     0          40
WATSCO INC                   COMMON 942622200   $      174       4,152   SH   DEFINED               23        4,152   0         -
WATSCO INC                   COMMON 942622200   $   43,037   1,029,600   SH   DEFINED                3    1,029,600   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $      715      26,300   SH   DEFINED            10,14       26,300   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $   44,453   1,636,100   SH   DEFINED               14      898,600   0     700,400
WATSON PHARMACEUTICALS INC   COMMON 942683103   $      571      21,000   SH   DEFINED            14,13          -     0      21,000
WATSON PHARMACEUTICALS INC   COMMON 942683103   $    1,886      69,400   SH   DEFINED             14,7          -     0      69,400
WATSON PHARMACEUTICALS INC   COMMON 942683103   $    3,012     110,868   SH   DEFINED               23      110,868   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $       29       1,052   SH   DEFINED               24        1,052   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $    1,266      46,600   SH   DEFINED             5,15       46,600   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $      575      21,170   SH   DEFINED                7       21,170   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $      129       4,738   SH   DEFINED                8        4,738   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $    2,915     107,300   SH   DEFINED             8,14      107,300   0         -
WATSON PHARMACEUTICALS INC   COMMON 942683103   $      307      11,300   SH   DEFINED             9,14          -     0      11,300
WATSON WYATT WORLDWIDE INC   COMMON 942712100   $      291       5,500   SH   DEFINED               14        5,500   0         -
WATSON WYATT WORLDWIDE INC   COMMON 942712100   $      502       9,500   SH   DEFINED               22          -     0       9,500
WATSON WYATT WORLDWIDE INC   COMMON 942712100   $    5,843     110,477   SH   DEFINED               23      110,477   0         -
WATSON WYATT WORLDWIDE INC   COMMON 942712100   $      194       3,671   SH   DEFINED               24        3,671   0         -
WATSON WYATT WORLDWIDE INC   COMMON 942712100   $      127       2,400   SH   DEFINED                8        2,400   0         -
WATSON WYATT WORLDWIDE INC   COMMON 942712100   $       37         700   SH   DEFINED             8,20          700   0         -
WATTS WATER TECHNOLOGIES INC COMMON 942749102   $   58,920   2,366,274   SH   DEFINED               23    2,366,274   0         -
WATTS WATER TECHNOLOGIES INC COMMON 942749102   $       69       2,775   SH   DEFINED                5          -     0       2,775
WAUSAU PAPER CORP            COMMON 943315101   $      286      37,101   SH   DEFINED               23       37,101   0         -
WAUWATOSA HOLDINGS INC       COMMON 94348P108   $       24       2,246   SH   DEFINED               23        2,246   0         -
WEBSENSE INC                 COMMON 947684106   $    1,296      76,953   SH   DEFINED               23       76,953   0         -
WEBSITE PROS INC             COMMON 94769V105   $      196      23,521   SH   DEFINED               23       23,521   0         -
WEBMD HEALTH CORP-CLASS A    COMMON 94770V102   $       74       2,639   SH   DEFINED               23        2,639   0         -
WEBSTER FINANCIAL CORP       COMMON 947890109   $       11         600   SH   DEFINED               14          600   0         -
WEBSTER FINANCIAL CORP       COMMON 947890109   $        4         200   SH   DEFINED               22          -     0         200
WEBSTER FINANCIAL CORP       COMMON 947890109   $      146       7,842   SH   DEFINED               23        7,842   0         -
WEBSTER FINANCIAL CORP       COMMON 947890109   $        2         132   SH   DEFINED               24          132   0         -
WEBSTER FINANCIAL CORP       COMMON 947890109   $      184       9,895   SH   DEFINED                5        2,520   0       7,375
WEBZEN INC ADR               COMMON 94846M102   $      306     101,809   SH   DEFINED               23      101,809   0         -
WEIGHT WATCHERS INTERNATIONALCOMMON 948626106   $       62       1,750   SH   DEFINED               14        1,450   0         300

WEIGHT WATCHERS INTERNATIONALCOMMON 948626106   $    3,274      91,937   SH   DEFINED               22       86,850   0       5,087
WEIGHT WATCHERS INTERNATIONALCOMMON 948626106   $      144       4,032   SH   DEFINED               23        4,032   0         -
WEIGHT WATCHERS INTERNATIONALCOMMON 948626106   $    2,805      78,758   SH   DEFINED                5       42,825   0      35,933
WEINGARTEN REALTY INVESTORS
RE                           COMMON 948741103   $    5,710     188,325   SH   DEFINED               14      172,925   0      15,400
WEINGARTEN REALTY INVESTORS
RE                           COMMON 948741103   $      257       8,471   SH   DEFINED               23        8,471   0         -
WEINGARTEN REALTY INVESTORS
RE                           COMMON 948741103   $        4         137   SH   DEFINED               24          137   0         -
WEINGARTEN REALTY INVESTORS
RE                           COMMON 948741103   $       47       1,542   SH   DEFINED                5        1,542   0         -
WEIS MKTS INC                COMMON 948849104   $      366      11,260   SH   DEFINED               23       11,260   0         -
WEIS MKTS INC                COMMON 948849104   $        1          31   SH   DEFINED               24           31   0         -
WELLCARE HEALTH PLANS INC    COMMON 94946T106   $       16         450   SH   DEFINED               22          -     0         450
WELLCARE HEALTH PLANS INC    COMMON 94946T106   $    3,038      84,033   SH   DEFINED               23       84,033   0         -
WELLCARE HEALTH PLANS INC    COMMON 94946T106   $       95       2,639   SH   DEFINED               24        2,639   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $    9,328     195,729   SH   DEFINED                1      195,729   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $    1,201      25,200   SH   DEFINED              1,3       25,200   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $      124       2,600   SH   DEFINED            10,14        2,600   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $        5         100   SH   DEFINED               13          100   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $   10,271     215,510   SH   DEFINED               14      101,310   0     109,100
WELLPOINT INC COMMON         COMMON 94973V107   $    1,597      33,500   SH   DEFINED             14,7          -     0      33,500
WELLPOINT INC COMMON         COMMON 94973V107   $      143       3,000   SH   DEFINED               17        3,000   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $    4,418      92,700   SH   DEFINED             18,3       92,700   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $      888      18,628   SH   DEFINED                2       18,628   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $        5         100   SH   DEFINED            20,14          -     0         -
WELLPOINT INC COMMON         COMMON 94973V107   $    1,243      26,074   SH   DEFINED             20,2          -     0      26,074
WELLPOINT INC COMMON         COMMON 94973V107   $    2,340      49,100   SH   DEFINED             20,3       49,100   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $    1,331      27,925   SH   DEFINED               22        5,980   0      21,945
WELLPOINT INC COMMON         COMMON 94973V107   $    2,886      60,564   SH   DEFINED               23       60,564   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $       40         829   SH   DEFINED               24          829   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $  194,634   4,083,800   SH   DEFINED                3    4,083,800   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $      205       4,298   SH   DEFINED                5        1,524   0       2,774
WELLPOINT INC COMMON         COMMON 94973V107   $      559      11,724   SH   DEFINED                7       11,724   0         -
WELLPOINT INC COMMON         COMMON 94973V107   $    1,668      35,000   SH   DEFINED             8,14       35,000   0         -
WELLS FARGO & CO             COMMON 949746101   $   89,563   3,771,054   SH   DEFINED                1    3,771,054   0         -
WELLS FARGO & CO             COMMON 949746101   $    6,619     278,700   SH   DEFINED             1,15      278,700   0         -
WELLS FARGO & CO             COMMON 949746101   $    1,727      72,700   SH   DEFINED              1,3       72,700   0         -
WELLS FARGO & CO             COMMON 949746101   $    2,275      95,800   SH   DEFINED            10,14       95,800   0         -
WELLS FARGO & CO             COMMON 949746101   $      288      12,136   SH   DEFINED             10,7       12,136   0         -
WELLS FARGO & CO             COMMON 949746101   $      389      16,387   SH   DEFINED               11       16,387   0         -
WELLS FARGO & CO             COMMON 949746101   $      671      28,269   SH   DEFINED               13       28,269   0         -
WELLS FARGO & CO             COMMON 949746101   $      273      11,500   SH   DEFINED             13,3       11,500   0         -
WELLS FARGO & CO             COMMON 949746101   $  132,321   5,571,408   SH   DEFINED               14    3,946,008   0   1,391,100
WELLS FARGO & CO             COMMON 949746101   $    3,482     146,600   SH   DEFINED            14,13          -     0     146,600
WELLS FARGO & CO             COMMON 949746101   $   10,191     429,100   SH   DEFINED             14,7          -     0     429,100
WELLS FARGO & CO             COMMON 949746101   $    6,332     266,600   SH   DEFINED             18,3      266,600   0         -
WELLS FARGO & CO             COMMON 949746101   $      139       5,834   SH   DEFINED               19        5,834   0         -
WELLS FARGO & CO             COMMON 949746101   $    1,036      43,600   SH   DEFINED            20,14          -     0         -
WELLS FARGO & CO             COMMON 949746101   $    3,358     141,400   SH   DEFINED             20,3      141,400   0         -
WELLS FARGO & CO             COMMON 949746101   $    1,795      75,575   SH   DEFINED               21       75,575   0         -
WELLS FARGO & CO             COMMON 949746101   $   13,338     561,595   SH   DEFINED               22       47,050   0     514,546
WELLS FARGO & CO             COMMON 949746101   $   16,655     701,280   SH   DEFINED               23      701,280   0         -
WELLS FARGO & CO             COMMON 949746101   $      143       6,042   SH   DEFINED               24        6,042   0         -
WELLS FARGO & CO             COMMON 949746101   $  325,432  13,702,387   SH   DEFINED                3   13,702,387   0         -
WELLS FARGO & CO             COMMON 949746101   $        4         168   SH   DEFINED                4          168   0         -
WELLS FARGO & CO             COMMON 949746101   $    2,603     109,616   SH   DEFINED                5       83,576   0      26,040
WELLS FARGO & CO             COMMON 949746101   $    7,854     330,700   SH   DEFINED             5,15      330,700   0         -
WELLS FARGO & CO             COMMON 949746101   $    7,404     311,751   SH   DEFINED                7      311,751   0         -
WELLS FARGO & CO             COMMON 949746101   $   43,154   1,817,005   SH   DEFINED                8    1,817,005   0         -
WELLS FARGO & CO             COMMON 949746101   $   16,024     674,700   SH   DEFINED             8,14      674,700   0         -
WELLS FARGO & CO             COMMON 949746101   $    2,006      84,444   SH   DEFINED                9       84,444   0         -
WELLS FARGO & CO             COMMON 949746101   $    1,895      79,800   SH   DEFINED             9,14          -     0      79,800
WENDY'S INTERNATIONAL INC    COMMON 950590109   $      326      11,962   SH   DEFINED               23       11,962   0         -
WENDY'S INTERNATIONAL INC    COMMON 950590109   $        5         183   SH   DEFINED               24          183   0         -
WENDY'S INTERNATIONAL INC    COMMON 950590109   $       13         473   SH   DEFINED                5          325   0         148
WERNER ENTERPRISES INC       COMMON 950755108   $    2,825     152,020   SH   DEFINED               14       73,520   0      75,800
WERNER ENTERPRISES INC       COMMON 950755108   $    3,690     198,579   SH   DEFINED               23      198,579   0         -
WERNER ENTERPRISES INC       COMMON 950755108   $        2         103   SH   DEFINED               24          103   0         -
WESBANCO INC                 COMMON 950810101   $    1,789     104,300   SH   DEFINED               14       80,500   0      23,800
WESBANCO INC                 COMMON 950810101   $    2,231     130,104   SH   DEFINED               23      130,104   0         -
WESBANCO INC                 COMMON 950810101   $      256      14,900   SH   DEFINED             5,15       14,900   0         -
WESBANCO INC                 COMMON 950810101   $      225      13,100   SH   DEFINED                8       13,100   0         -
WESBANCO INC                 COMMON 950810101   $       62       3,600   SH   DEFINED             8,20        3,600   0         -
WESCO FINL CORP              COMMON 950817106   $       38         100   SH   DEFINED               22          -     0         100
WESCO FINL CORP              COMMON 950817106   $       63         164   SH   DEFINED               23          164   0         -
WESCO FINL CORP              COMMON 950817106   $        5          12   SH   DEFINED                5          -     0          12
WESCO INTL INC               COMMON 95082P105   $    8,481     211,804   SH   DEFINED                1      211,804   0         -
WESCO INTL INC               COMMON 95082P105   $      945      23,600   SH   DEFINED               14       23,600   0         -
WESCO INTL INC               COMMON 95082P105   $    7,042     175,883   SH   DEFINED                2      175,883   0         -
WESCO INTL INC               COMMON 95082P105   $    6,693     167,154   SH   DEFINED               23      167,154   0         -
WESCO INTL INC               COMMON 95082P105   $        4          96   SH   DEFINED               24           96   0         -
WESCO INTL INC               COMMON 95082P105   $      244       6,100   SH   DEFINED                5          -     0       6,100
WESCO INTL INC               COMMON 95082P105   $      741      18,500   SH   DEFINED                8       18,500   0         -
WESCO INTL INC               COMMON 95082P105   $      204       5,100   SH   DEFINED             8,20        5,100   0         -
WESCO INTL INC (WCC) CVT
2.625                        CONVERT 95082PAE5  $        3       3,000   SH   DEFINED               14        3,000   0         -
WEST BANCORPORATION          COMMON 95123P106   $       79       9,100   SH   DEFINED               14        9,100   0         -
WEST BANCORPORATION          COMMON 95123P106   $       30       3,413   SH   DEFINED               23        3,413   0         -
WEST BANCORPORATION          COMMON 95123P106   $       17       1,900   SH   DEFINED             5,15        1,900   0         -
WEST COAST BANCORP/OREGON    COMMON 952145100   $       30       3,473   SH   DEFINED               23        3,473   0         -
WEST MARINE INC              COMMON 954235107   $       33       7,955   SH   DEFINED               23        7,955   0         -
West Pharmaceutical Services
I                            COMMON 955306105   $      139       3,207   SH   DEFINED               23        3,207   0         -
West Pharmaceutical Services
I                            COMMON 955306105   $      151       3,500   SH   DEFINED                5          -     0       3,500
WESTAFF INC                  COMMON 957070105   $       16       7,934   SH   DEFINED               23        7,934   0         -
WESTAMERICA BANCORPORATION   COMMON 957090103   $    5,887     111,942   SH   DEFINED               23      111,942   0         -
WESTAR ENERGY INC            COMMON 95709T100   $       54       2,500   SH   DEFINED               22          500   0       2,000
WESTAR ENERGY INC            COMMON 95709T100   $      289      13,419   SH   DEFINED               23       13,419   0         -
WESTAR ENERGY INC            COMMON 95709T100   $        5         222   SH   DEFINED               24          222   0         -
WESTAR ENERGY INC            COMMON 95709T100   $      136       6,310   SH   DEFINED                5        1,585   0       4,725
WESTELL TECHNOLOGIES INC     COMMON 957541105   $       33      24,471   SH   DEFINED               23       24,471   0         -
WESTERN ALLIANCE BANCORP     COMMON 957638109   $       32       4,166   SH   DEFINED               23        4,166   0         -
WESTERN ALLIANCE BANCORP     COMMON 957638109   $       71       9,200   SH   DEFINED                5        9,200   0         -
WESTERN ASSET EMG MKTS INC 2
C                            COMMON 95766E103   $        3         200   SH   DEFINED               22          -     0         200
WESTERN ASSET HIGH INCOME OP
C                            COMMON 95766K109   $       18       3,000   SH   DEFINED               22          -     0       3,000
CLAYTON WILLIAMS ENERGY INC  COMMON 969490101   $   6,591      59,943    SH   DEFINED              23       59,943    0         -
CLAYTON WILLIAMS ENERGY INC  COMMON 969490101   $     231       2,100    SH   DEFINED            5,15        2,100    0         -
WILLIAMS PARTNERS LP         COMMON 96950F104   $     164       5,000    SH   DEFINED              22          -      0       5,000
WILLIAMS PARTNERS LP         COMMON 96950F104   $     287       8,745    SH   DEFINED               5        6,350    0       2,395
WILLIAMS SONOMA INC          COMMON 969904101   $      20       1,000    SH   DEFINED              22          -      0       1,000
WILLIAMS SONOMA INC          COMMON 969904101   $     215      10,844    SH   DEFINED              23       10,844    0         -
WILLIAMS SONOMA INC          COMMON 969904101   $       3         154    SH   DEFINED              24          154    0         -
WILLIS LEASE FINANCE CORP    COMMON 970646105   $      25       2,274    SH   DEFINED              23        2,274    0         -
WILLOW FINANCIAL BANCORP INC COMMON 97111W101   $       1         136    SH   DEFINED              23          136    0         -
WILMINGTON TRUST CORP        COMMON 971807102   $     183       6,933    SH   DEFINED              22          900    0       6,033
WILMINGTON TRUST CORP        COMMON 971807102   $     183       6,936    SH   DEFINED              23        6,936    0         -
WILMINGTON TRUST CORP        COMMON 971807102   $       3         112    SH   DEFINED              24          112    0         -
WILMINGTON TRUST CORP        COMMON 971807102   $      24         900    SH   DEFINED               5          900    0         -
WILSHIRE BANCORP INC         COMMON 97186T108   $       2         191    SH   DEFINED              23          191    0         -
WILSONS THE LEATHER EXPERTS  COMMON 972463103   $       3      33,368    SH   DEFINED              23       33,368    0         -
WIND RIVER SYSTEMS INC       COMMON 973149107   $     273      25,100    SH   DEFINED              14       25,100    0         -
WIND RIVER SYSTEMS INC       COMMON 973149107   $     283      25,989    SH   DEFINED              23       25,989    0         -
WINDSTREAM CORP              COMMON 97381W104   $      30       2,404    SH   DEFINED              14        2,003    0         401
WINDSTREAM CORP              COMMON 97381W104   $     101       8,200    SH   DEFINED            14,7          -      0       8,200
WINDSTREAM CORP              COMMON 97381W104   $     631      51,127    SH   DEFINED              21       51,127    0         -
WINDSTREAM CORP              COMMON 97381W104   $      64       5,226    SH   DEFINED              22          -      0       5,226
WINDSTREAM CORP              COMMON 97381W104   $   3,306     267,937    SH   DEFINED              23      267,937    0         -
WINDSTREAM CORP              COMMON 97381W104   $     160      12,941    SH   DEFINED              24       12,941    0         -
WINDSTREAM CORP              COMMON 97381W104   $      41       3,357    SH   DEFINED               5          310    0       3,047
WINDSTREAM CORP              COMMON 97381W104   $     107       8,661    SH   DEFINED               7        8,661    0         -
WINN-DIXIE STORES INC        COMMON 974280307   $     292      18,222    SH   DEFINED              23       18,222    0         -
WINN-DIXIE STORES INC        COMMON 974280307   $       3         181    SH   DEFINED              24          181    0         -
WINNEBAGO INDUSTRIES         COMMON 974637100   $      20       2,000    SH   DEFINED              22          -      0       2,000
WINNEBAGO INDUSTRIES         COMMON 974637100   $      60       5,905    SH   DEFINED              23        5,905    0         -
WINTHROP REALTY TRUST        COMMON 976391102   $      21       5,810    SH   DEFINED              23        5,810    0         -
WINTRUST FINANCIAL CORP      COMMON 97650W108   $     310      13,000    SH   DEFINED              22          -      0      13,000
WINTRUST FINANCIAL CORP      COMMON 97650W108   $      94       3,957    SH   DEFINED              23        3,957    0         -
WIPRO LTD-ADR                COMMON 97651M109   $     188      15,466    SH   DEFINED              23       15,466    0         -
WISCONSIN ENERGY CORP        COMMON 976657106   $  20,697     457,701    SH   DEFINED               1      457,701    0         -
WISCONSIN ENERGY CORP        COMMON 976657106   $     491      10,850    SH   DEFINED              14       10,850    0         -
WISCONSIN ENERGY CORP        COMMON 976657106   $     161       3,555    SH   DEFINED              22        2,250    0       1,305
WISCONSIN ENERGY CORP        COMMON 976657106   $   1,553      34,335    SH   DEFINED              23       34,335    0         -
WISCONSIN ENERGY CORP        COMMON 976657106   $      10         216    SH   DEFINED              24          216    0         -
WISCONSIN ENERGY CORP        COMMON 976657106   $  16,010     354,056    SH   DEFINED               4      354,056    0         -
WISCONSIN ENERGY CORP        COMMON 976657106   $     771      17,050    SH   DEFINED               5        3,900    0      13,150
WISCONSIN ENERGY CORP        COMMON 976657106   $     121       2,685    SH   DEFINED               7        2,685    0         -
WISDOMTREE INDIA EARNINGS ETFCOMMON 97717W422   $     147       7,000    SH   DEFINED              22          -      0       7,000
WISDOMTREE INDIA EARNINGS ETFCOMMON 97717W422   $      11         500    SH   DEFINED               5          500    0         -
WISDOMTREE INTL UTL SECTOR MFCOMMON 97717W653   $     180       5,140    SH   DEFINED              22          -      0       5,140
WOLVERINE WORLD WIDE INC     COMMON 978097103   $   4,929     184,800    SH   DEFINED              14       94,800    0      89,700
WOLVERINE WORLD WIDE INC     COMMON 978097103   $     201       7,520    SH   DEFINED              22          -      0       7,520
WOLVERINE WORLD WIDE INC     COMMON 978097103   $   2,616      98,087    SH   DEFINED              23       98,087    0         -
WOLVERINE WORLD WIDE INC     COMMON 978097103   $     135       5,065    SH   DEFINED              24        5,065    0         -
WOLVERINE WORLD WIDE INC     COMMON 978097103   $     355      13,300    SH   DEFINED            5,15       13,300    0         -
WONDER AUTO TECHNOLOGY INC   COMMON 978166106   $     447      63,622    SH   DEFINED              23       63,622    0         -
WOODBRIDGE HOLDINGS CORP     COMMON 978842102   $      36      31,671    SH   DEFINED              23       31,671    0         -
WOODWARD GOVERNOR CO         COMMON 980745103   $   3,245      90,996    SH   DEFINED               1       90,996    0         -
WOODWARD GOVERNOR CO         COMMON 980745103   $   6,230     174,700    SH   DEFINED              14      127,300    0      47,400
WOODWARD GOVERNOR CO         COMMON 980745103   $     321       9,007    SH   DEFINED               2        9,007    0         -
WOODWARD GOVERNOR CO         COMMON 980745103   $   4,398     123,335    SH   DEFINED              23      123,335    0         -
WOODWARD GOVERNOR CO         COMMON 980745103   $     959      26,900    SH   DEFINED            5,15       26,900    0         -
WOODWARD GOVERNOR CO         COMMON 980745103   $      13         374    SH   DEFINED             8,2          374    0         -
WORLD ACCEPTANCE CORP        COMMON 981419104   $     359      10,650    SH   DEFINED              23       10,650    0         -
WORLD FUEL SERVICES CORP     COMMON 981475106   $       9         408    SH   DEFINED              22          -      0         408
WORLD FUEL SERVICES CORP     COMMON 981475106   $     129       5,894    SH   DEFINED              23        5,894    0         -
WORLD FUEL SERVICES CORP     COMMON 981475106   $       2         108    SH   DEFINED              24          108    0         -
WORLD WRESTLING ENTERTAINMENTCOMMON 98156Q108   $   7,113     459,769    SH   DEFINED               1      459,769    0         -
WORLD WRESTLING ENTERTAINMENTCOMMON 98156Q108   $   4,121     266,408    SH   DEFINED               2      104,772    0     161,636
WORLD WRESTLING ENTERTAINMENTCOMMON 98156Q108   $   3,875     250,491    SH   DEFINED              23      250,491    0         -
WORLDSPACE INC-CLASS A       COMMON 981579105   $       1         372    SH   DEFINED              23          372    0         -
WORTHINGTON INDUSTRIES       COMMON 981811102   $     148       7,200    SH   DEFINED            1,15        7,200    0         -
WORTHINGTON INDUSTRIES       COMMON 981811102   $  40,993   1,999,670    SH   DEFINED              14    1,049,970    0     934,400
WORTHINGTON INDUSTRIES       COMMON 981811102   $     808      39,400    SH   DEFINED            14,7          -      0      39,400
WORTHINGTON INDUSTRIES       COMMON 981811102   $     417      20,339    SH   DEFINED              23       20,339    0         -
WORTHINGTON INDUSTRIES       COMMON 981811102   $       4         213    SH   DEFINED              24          213    0         -
WORTHINGTON INDUSTRIES       COMMON 981811102   $   2,077     101,300    SH   DEFINED            5,15      101,300    0         -
WORTHINGTON INDUSTRIES       COMMON 981811102   $     607      29,600    SH   DEFINED               8       29,600    0         -
WORTHINGTON INDUSTRIES       COMMON 981811102   $     166       8,100    SH   DEFINED            8,20        8,100    0         -
WRIGHT EXPRESS CORP          COMMON 98233Q105   $   5,394     217,517    SH   DEFINED               1      217,517    0         -
WRIGHT EXPRESS CORP          COMMON 98233Q105   $   3,099     124,949    SH   DEFINED               2       48,994    0      75,955
WRIGHT EXPRESS CORP          COMMON 98233Q105   $     151       6,103    SH   DEFINED              23        6,103    0         -
WRIGHT MEDICAL GROUP INC     COMMON 98235T107   $  25,818     908,765    SH   DEFINED               1      908,765    0         -
WRIGHT MEDICAL GROUP INC     COMMON 98235T107   $  13,585     478,173    SH   DEFINED               2      478,173    0         -
WRIGHT MEDICAL GROUP INC     COMMON 98235T107   $   1,396      49,130    SH   DEFINED            20,2          -      0      49,130
WRIGHT MEDICAL GROUP INC     COMMON 98235T107   $      38       1,321    SH   DEFINED              23        1,321    0         -
WRIGLEY (WM) JR CO           COMMON 982526105   $   4,056      52,153    SH   DEFINED              22          -      0      52,153
WRIGLEY (WM) JR CO           COMMON 982526105   $     815      10,477    SH   DEFINED              23       10,477    0         -
WRIGLEY (WM) JR CO           COMMON 982526105   $      13         163    SH   DEFINED              24          163    0         -
WRIGLEY (WM) JR CO           COMMON 982526105   $     504       6,474    SH   DEFINED               5          610    0       5,864
WRIGLEY (WM) JR CO           COMMON 982526105   $     486       6,250    SH   DEFINED               6        6,250    0         -
WRIGLEY (WM) JR CO           COMMON 982526105   $     196       2,523    SH   DEFINED               7        2,523    0         -
WRIGLEY (WM) JR CO           COMMON 982526105   $     474       6,095    SH   DEFINED               8        6,095    0         -
WYETH                        COMMON 983024100   $ 228,715   4,768,873    SH   DEFINED               1    4,768,873    0         -
WYETH                        COMMON 983024100   $   1,479      30,841    SH   DEFINED              14       29,241    0       1,600
WYETH                        COMMON 983024100   $     681      14,200    SH   DEFINED              17       14,200    0         -
WYETH                        COMMON 983024100   $   5,888     122,764    SH   DEFINED               2      122,764    0         -
WYETH                        COMMON 983024100   $   8,241     171,832    SH   DEFINED            20,2          -      0     171,832
WYETH                        COMMON 983024100   $   6,011     125,338    SH   DEFINED              22       34,437    0      90,901
WYETH                        COMMON 983024100   $  20,098     419,062    SH   DEFINED              23      419,062    0         -
WYETH                        COMMON 983024100   $      73       1,526    SH   DEFINED              24        1,526    0         -
WYETH                        COMMON 983024100   $   7,618     158,850    SH   DEFINED               3      158,850    0         -
WYETH                        COMMON 983024100   $   4,721      98,431    SH   DEFINED               4       98,431    0         -
WYETH                        COMMON 983024100   $   5,462     113,889    SH   DEFINED               5       90,683    0      23,206
WYETH                        COMMON 983024100   $     110       2,300    SH   DEFINED               6        2,300    0         -
WYETH                        COMMON 983024100   $   1,121      23,367    SH   DEFINED               7       23,367    0         -
WYETH                        COMMON 983024100   $   2,150      44,835    SH   DEFINED               8       44,835    0         -
WYETH CVT(WYE) FLT 01-15-24  CONVERT983024AD2   $   20,884  20,450,000   SH   DEFINED               14          -     0  17,325,000
WYNDHAM WORLDWIDE CORP       COMMON 98310W108   $       26       1,450   SH   DEFINED               14        1,250   0         200
WYNDHAM WORLDWIDE CORP       COMMON 98310W108   $       48       2,680   SH   DEFINED               22        2,260   0         420
WYNDHAM WORLDWIDE CORP       COMMON 98310W108   $      451      25,181   SH   DEFINED               23       25,181   0         -
WYNDHAM WORLDWIDE CORP       COMMON 98310W108   $        8         455   SH   DEFINED               24          455   0         -
WYNDHAM WORLDWIDE CORP       COMMON 98310W108   $       29       1,601   SH   DEFINED                5        1,000   0         601
WYNDHAM WORLDWIDE CORP       COMMON 98310W108   $       64       3,585   SH   DEFINED                7        3,585   0         -
WYNN RESORTS LTD             COMMON 983134107   $       61         745   SH   DEFINED               22          445   0         300
WYNN RESORTS LTD             COMMON 983134107   $       65         802   SH   DEFINED               23          802   0         -
WYNN RESORTS LTD             COMMON 983134107   $    2,727      33,520   SH   DEFINED               24       33,520   0         -
WYNN RESORTS LTD             COMMON 983134107   $    1,876      23,055   SH   DEFINED                5        5,366   0      17,689
WYNN RESORTS LTD             COMMON 983134107   $       88       1,076   SH   DEFINED                7        1,076   0         -
XM SATELLITE RADIO           COMMON 983759101   $        2         300   SH   DEFINED               22          -     0         300
XM SATELLITE RADIO           COMMON 983759101   $        7         900   SH   DEFINED                5          900   0         -
X-RITE INC                   COMMON 983857103   $        1         254   SH   DEFINED               23          254   0         -
XTO ENERGY INC               COMMON 98385X106   $  131,892   1,925,150   SH   DEFINED                1    1,925,150   0         -
XTO ENERGY INC               COMMON 98385X106   $   13,702     200,000   SH   DEFINED             13,2          -     0     200,000
XTO ENERGY INC               COMMON 98385X106   $   17,636     257,419   SH   DEFINED               22      121,138   0     136,281
XTO ENERGY INC               COMMON 98385X106   $    6,611      96,498   SH   DEFINED               23       96,498   0         -
XTO ENERGY INC               COMMON 98385X106   $       15         220   SH   DEFINED               24          220   0         -
XTO ENERGY INC               COMMON 98385X106   $        2          24   SH   DEFINED                4           24   0         -
XTO ENERGY INC               COMMON 98385X106   $   13,122     191,538   SH   DEFINED                5      155,033   0      36,505
XTO ENERGY INC               COMMON 98385X106   $      397       5,788   SH   DEFINED                7        5,788   0         -
XTL BIOPHARMACEUTICALS-ADR   COMMON 98386D109   $      392     129,229   SH   DEFINED               23      129,229   0         -
XTL BIOPHARMACEUTICALS-ADR   COMMON 98386D109   $    3,933   1,298,119   SH   DEFINED                8    1,298,119   0         -
XCEL ENERGY INC              COMMON 98389B100   $   12,162     606,000   SH   DEFINED                1      606,000   0         -
XCEL ENERGY INC              COMMON 98389B100   $      530      26,400   SH   DEFINED             1,15       26,400   0         -
XCEL ENERGY INC              COMMON 98389B100   $      779      38,800   SH   DEFINED            10,14       38,800   0         -
XCEL ENERGY INC              COMMON 98389B100   $   22,494   1,120,770   SH   DEFINED               14      852,770   0     219,500
XCEL ENERGY INC              COMMON 98389B100   $      458      22,800   SH   DEFINED            14,13          -     0      22,800
XCEL ENERGY INC              COMMON 98389B100   $    4,052     201,900   SH   DEFINED             14,7          -     0     201,900
XCEL ENERGY INC              COMMON 98389B100   $      167       8,307   SH   DEFINED               22          620   0       7,687
XCEL ENERGY INC              COMMON 98389B100   $    4,839     241,087   SH   DEFINED               23      241,087   0         -
XCEL ENERGY INC              COMMON 98389B100   $       25       1,241   SH   DEFINED               24        1,241   0         -
XCEL ENERGY INC              COMMON 98389B100   $       67       3,347   SH   DEFINED                5        3,070   0         277
XCEL ENERGY INC              COMMON 98389B100   $    1,018      50,700   SH   DEFINED             5,15       50,700   0         -
XCEL ENERGY INC              COMMON 98389B100   $      535      26,678   SH   DEFINED                7       26,678   0         -
XCEL ENERGY INC              COMMON 98389B100   $      554      27,581   SH   DEFINED                8       27,581   0         -
XCEL ENERGY INC              COMMON 98389B100   $    4,191     208,800   SH   DEFINED             8,14      208,800   0         -
XCEL ENERGY INC              COMMON 98389B100   $      249      12,400   SH   DEFINED             9,14          -     0      12,400
XILINX INC                   COMMON 983919101   $   28,686   1,136,098   SH   DEFINED                1    1,136,098   0         -
XILINX INC                   COMMON 983919101   $        5         200   SH   DEFINED               13          200   0         -
XILINX INC                   COMMON 983919101   $    9,364     370,850   SH   DEFINED               14      152,150   0     214,400
XILINX INC                   COMMON 983919101   $      500      19,800   SH   DEFINED             14,7          -     0      19,800
XILINX INC                   COMMON 983919101   $      238       9,432   SH   DEFINED               19        9,432   0         -
XILINX INC                   COMMON 983919101   $    5,626     222,800   SH   DEFINED                2      222,800   0         -
XILINX INC                   COMMON 983919101   $        5         200   SH   DEFINED            20,14          -     0         -
XILINX INC                   COMMON 983919101   $      399      15,795   SH   DEFINED               22        3,350   0      12,445
XILINX INC                   COMMON 983919101   $   22,264     881,761   SH   DEFINED               23      881,761   0         -
XILINX INC                   COMMON 983919101   $    2,577     102,049   SH   DEFINED               24      102,049   0         -
XILINX INC                   COMMON 983919101   $        2          60   SH   DEFINED                4           60   0         -
XILINX INC                   COMMON 983919101   $        7         281   SH   DEFINED                5          -     0         281
XILINX INC                   COMMON 983919101   $      164       6,485   SH   DEFINED                7        6,485   0         -
XILINX INC                   COMMON 983919101   $      529      20,968   SH   DEFINED                8       20,968   0         -
XINHUA FINANCE MEDIA LTD-ADR COMMON 983982109   $      488     164,925   SH   DEFINED               23      164,925   0         -
XENOPORT INC                 COMMON 98411C100   $      145       3,704   SH   DEFINED               23        3,704   0         -
XEROX CORP                   COMMON 984121103   $   95,016   7,007,065   SH   DEFINED                1    7,007,065   0         -
XEROX CORP                   COMMON 984121103   $      847      62,454   SH   DEFINED               14       54,254   0       5,800
XEROX CORP                   COMMON 984121103   $      458      33,800   SH   DEFINED             14,7          -     0      33,800
XEROX CORP                   COMMON 984121103   $       41       3,031   SH   DEFINED               22        1,000   0       2,031
XEROX CORP                   COMMON 984121103   $    1,558     114,860   SH   DEFINED               23      114,860   0         -
XEROX CORP                   COMMON 984121103   $       25       1,879   SH   DEFINED               24        1,879   0         -
XEROX CORP                   COMMON 984121103   $   14,265   1,051,956   SH   DEFINED                4    1,051,956   0         -
XEROX CORP                   COMMON 984121103   $      124       9,129   SH   DEFINED                5          -     0       9,129
XEROX CORP                   COMMON 984121103   $      253      18,639   SH   DEFINED                7       18,639   0         -
XEROX CORP                   COMMON 984121103   $    1,561     115,124   SH   DEFINED                8      115,124   0         -
XTENT INC                    COMMON 984141101        $ -            60   SH   DEFINED               23           60   0         -
XERIUM TECHNOLOGIES INC      COMMON 98416J100   $       32       8,087   SH   DEFINED               23        8,087   0         -
XINYUAN REAL ESTATE CO L-ADR COMMON 98417P105   $    1,500     169,438   SH   DEFINED               23      169,438   0         -
YM BIOSCIENCES INC           COMMON 984238105   $        3       3,000   SH   DEFINED                5        3,000   0         -
YRC WORLDWIDE INC            COMMON 984249102   $       45       3,000   SH   DEFINED               22          -     0       3,000
YRC WORLDWIDE INC            COMMON 984249102   $      471      31,698   SH   DEFINED               23       31,698   0         -
YRC WORLDWIDE INC            COMMON 984249102   $        9         582   SH   DEFINED               24          582   0         -
YAHOO INC                    COMMON 984332106   $    6,547     316,876   SH   DEFINED                1      316,876   0         -
YAHOO INC                    COMMON 984332106   $      331      16,000   SH   DEFINED            10,14       16,000   0         -
YAHOO INC                    COMMON 984332106   $    3,975     192,400   SH   DEFINED               14      175,300   0       8,000
YAHOO INC                    COMMON 984332106   $    1,733      83,900   SH   DEFINED             14,7          -     0      83,900
YAHOO INC                    COMMON 984332106   $      372      18,000   SH   DEFINED               17       18,000   0         -
YAHOO INC                    COMMON 984332106   $      887      42,950   SH   DEFINED             20,2       42,950   0         -
YAHOO INC                    COMMON 984332106   $      227      10,974   SH   DEFINED               22        6,120   0       4,854
YAHOO INC                    COMMON 984332106   $    2,022      97,860   SH   DEFINED               23       97,860   0         -
YAHOO INC                    COMMON 984332106   $    3,767     182,312   SH   DEFINED               24      182,312   0         -
YAHOO INC                    COMMON 984332106   $    6,104     295,446   SH   DEFINED                3      295,446   0         -
YAHOO INC                    COMMON 984332106   $      235      11,373   SH   DEFINED                5        6,540   0       4,833
YAHOO INC                    COMMON 984332106   $      399      19,334   SH   DEFINED                7       19,334   0         -
YAHOO INC                    COMMON 984332106   $      736      35,601   SH   DEFINED                8       35,601   0         -
YAMANA GOLD INC              COMMON 98462Y100   $   28,118   1,700,000   SH   DEFINED                1    1,700,000   0         -
YAMANA GOLD INC              COMMON 98462Y100   $       56       3,386   SH   DEFINED               22          -     0       3,386
YAMANA GOLD INC              COMMON 98462Y100   $      130       7,865   SH   DEFINED               23        7,865   0         -
YAMANA GOLD INC              COMMON 98462Y100   $   95,253   5,697,501   SH   DEFINED                3    5,697,501   0         -
YAMANA GOLD INC              COMMON 98462Y100   $      195      11,639   SH   DEFINED                7       11,639   0         -
YANZHOU COAL MNG CO LTD ADR  COMMON 984846105   $   20,470     220,087   SH   DEFINED               23      220,087   0         -
YINGLI GREEN ENERGY HOLD-ADR COMMON 98584B103   $   43,891   2,756,950   SH   DEFINED               23    2,756,950   0         -
YINGLI GREEN ENERGY HOLD-ADR COMMON 98584B103   $       84       5,301   SH   DEFINED               24        5,301   0         -
YORK WATER CO                COMMON 987184108   $        1          98   SH   DEFINED               23           98   0         -
YOUNG INNOVATIONS INC        COMMON 987520103   $        6         285   SH   DEFINED               23          285   0         -
YUM! BRANDS INC              COMMON 988498101   $    6,314     179,946   SH   DEFINED                1      179,946   0         -
YUM! BRANDS INC              COMMON 988498101   $       74       2,113   SH   DEFINED               13        2,113   0         -
YUM! BRANDS INC              COMMON 988498101   $      516      14,701   SH   DEFINED             13,2          -     0      14,701
YUM! BRANDS INC              COMMON 988498101   $    1,109      31,600   SH   DEFINED               14       24,800   0       3,000
YUM! BRANDS INC              COMMON 988498101   $     533      15,200    SH   DEFINED            14,7          -      0      15,200
YUM! BRANDS INC              COMMON 988498101   $     956      27,254    SH   DEFINED              21       27,254    0         -
YUM! BRANDS INC              COMMON 988498101   $     511      14,563    SH   DEFINED              22        4,324    0      10,239
YUM! BRANDS INC              COMMON 988498101   $  17,043     485,699    SH   DEFINED              23      485,699    0         -
YUM! BRANDS INC              COMMON 988498101   $      12         352    SH   DEFINED              24          352    0         -
YUM! BRANDS INC              COMMON 988498101   $   2,163      61,641    SH   DEFINED               5       60,419    0       1,222
YUM! BRANDS INC              COMMON 988498101   $   1,697      48,372    SH   DEFINED               7       48,372    0         -
YUM! BRANDS INC              COMMON 988498101   $   3,281      93,500    SH   DEFINED               8       93,500    0         -
ZALE CORP                    COMMON 988858106   $     160       8,472    SH   DEFINED              23        8,472    0         -
ZALE CORP                    COMMON 988858106   $       3         142    SH   DEFINED              24          142    0         -
ZALE CORP                    COMMON 988858106   $     100       5,320    SH   DEFINED               5        1,345    0       3,975
ZEBRA TECHNOLOGIES CORP CL A COMMON 989207105   $      24         725    SH   DEFINED              14          -      0         725
ZEBRA TECHNOLOGIES CORP CL A COMMON 989207105   $   2,210      67,716    SH   DEFINED              22          -      0      67,716
ZEBRA TECHNOLOGIES CORP CL A COMMON 989207105   $     332      10,186    SH   DEFINED              23       10,186    0         -
ZEBRA TECHNOLOGIES CORP CL A COMMON 989207105   $       7         225    SH   DEFINED               5          -      0         225
ZENITH NATIONAL INSURANCE CP COMMON 989390109   $   2,591      73,700    SH   DEFINED              14       58,500    0      15,200
ZENITH NATIONAL INSURANCE CP COMMON 989390109   $   2,304      65,543    SH   DEFINED              23       65,543    0         -
ZENITH NATIONAL INSURANCE CP COMMON 989390109   $     482      13,707    SH   DEFINED               5       13,707    0         -
ZENITH NATIONAL INSURANCE CP COMMON 989390109   $     447      12,700    SH   DEFINED            5,15       12,700    0         -
ZEP INC                      COMMON 98944B108   $   2,163     145,387    SH   DEFINED               1      145,387    0         -
ZEP INC                      COMMON 98944B108   $       7         500    SH   DEFINED              14          500    0         -
ZEP INC                      COMMON 98944B108   $   1,267      85,170    SH   DEFINED               2       33,192    0      51,978
ZEP INC                      COMMON 98944B108   $      90       6,040    SH   DEFINED               5        5,878    0         162
ZHONE TECHNOLOGIES INC       COMMON 98950P108   $       1         976    SH   DEFINED              23          976    0         -
ZHONGPIN INC                 COMMON 98952K107   $     290      23,178    SH   DEFINED              23       23,178    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $  48,279     709,469    SH   DEFINED               1      709,469    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $   6,601      97,000    SH   DEFINED             1,3       97,000    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $   2,775      40,779    SH   DEFINED              14       25,379    0      13,600
ZIMMER HOLDINGS INC          COMMON 98956P102   $     585       8,600    SH   DEFINED            14,7          -      0       8,600
ZIMMER HOLDINGS INC          COMMON 98956P102   $     122       1,800    SH   DEFINED              17        1,800    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $   1,565      22,992    SH   DEFINED               2       22,992    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $   2,190      32,183    SH   DEFINED            20,2          -      0      32,183
ZIMMER HOLDINGS INC          COMMON 98956P102   $  17,979     264,205    SH   DEFINED              22       96,800    0     167,405
ZIMMER HOLDINGS INC          COMMON 98956P102   $     556       8,172    SH   DEFINED              23        8,172    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $      10         147    SH   DEFINED              24          147    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $ 101,700   1,494,489    SH   DEFINED               3    1,494,489    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $  13,022     191,362    SH   DEFINED               4      191,362    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $   4,325      63,554    SH   DEFINED               5       22,839    0      40,715
ZIMMER HOLDINGS INC          COMMON 98956P102   $     287       4,223    SH   DEFINED               7        4,223    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $  20,635     303,226    SH   DEFINED               8      303,226    0         -
ZIMMER HOLDINGS INC          COMMON 98956P102   $   1,844      27,100    SH   DEFINED             8,2       27,100    0         -
ZIONS BANCORPORATION         COMMON 989701107   $  16,674     529,509    SH   DEFINED               1      529,509    0         -
ZIONS BANCORPORATION         COMMON 989701107   $     416      13,199    SH   DEFINED              22          800    0      12,399
ZIONS BANCORPORATION         COMMON 989701107   $     343      10,887    SH   DEFINED              23       10,887    0         -
ZIONS BANCORPORATION         COMMON 989701107   $      32       1,009    SH   DEFINED              24        1,009    0         -
ZIONS BANCORPORATION         COMMON 989701107   $     166       5,271    SH   DEFINED               8        5,271    0         -
ZIX CORPORATION              COMMON 98974P100   $       5       1,713    SH   DEFINED              23        1,713    0         -
ZIPREALTY INC                COMMON 98974V107       $ -            82    SH   DEFINED              23           82    0         -
ZORAN CORP                   COMMON 98975F101   $     149      12,700    SH   DEFINED              14       12,700    0         -
ZORAN CORP                   COMMON 98975F101   $     269      23,028    SH   DEFINED              23       23,028    0         -
ZORAN CORP                   COMMON 98975F101   $     116       9,915    SH   DEFINED               5        2,540    0       7,375
ZORAN CORP                   COMMON 98975F101   $      26       2,200    SH   DEFINED            5,15        2,200    0         -
ZOLTEK COMPANIES INC         COMMON 98975W104   $     243      10,000    SH   DEFINED              22       10,000    0         -
ZOLTEK COMPANIES INC         COMMON 98975W104   $  42,774   1,763,868    SH   DEFINED              23    1,763,868    0         -
ZOLTEK COMPANIES INC         COMMON 98975W104   $     130       5,359    SH   DEFINED              24        5,359    0         -
ZOLTEK COMPANIES INC         COMMON 98975W104   $     243      10,000    SH   DEFINED               5          -      0      10,000
ZONES INC                    COMMON 98976N103   $      17       2,045    SH   DEFINED              23        2,045    0         -
ZUMIEZ                       COMMON 989817101   $   9,479     571,724    SH   DEFINED               1      571,724    0         -
ZUMIEZ                       COMMON 989817101   $   7,617     459,429    SH   DEFINED               2      459,429    0         -
ZYGO CORPU                   COMMON 989855101   $     135      13,745    SH   DEFINED              23       13,745    0         -
ZYMOGENETICS INC             COMMON 98985T109   $   2,475     293,940    SH   DEFINED               1      293,940    0         -
ZYMOGENETICS INC             COMMON 98985T109   $     236      27,976    SH   DEFINED               2       27,976    0         -
ZYMOGENETICS INC             COMMON 98985T109   $     330      39,157    SH   DEFINED            20,2          -      0      39,157
ZYMOGENETICS INC             COMMON 98985T109   $   5,931     704,400    SH   DEFINED               3      704,400    0         -
ZOLL MEDICAL CORP            COMMON 989922109   $  10,828     321,578    SH   DEFINED               1      321,578    0         -
ZOLL MEDICAL CORP            COMMON 989922109   $     185       5,500    SH   DEFINED              14        5,500    0         -
ZOLL MEDICAL CORP            COMMON 989922109   $   8,860     263,138    SH   DEFINED               2      263,138    0         -
ZOLL MEDICAL CORP            COMMON 989922109   $     444      13,184    SH   DEFINED              23       13,184    0         -
ZOLL MEDICAL CORP            COMMON 989922109   $      38       1,134    SH   DEFINED               5          -      0       1,134
PENN WEST ENERGY TRUST       COMMON B09WRL6     $     109       3,377    SH   DEFINED               7        3,377    0         -
ENOVA SYSTEMS INC            COMMON B0DYY28     $   1,780     372,500    SH   DEFINED               8      372,500    0         -
PRECISION DRILLING TRUST     COMMON B0P0ZR6     $     313      11,564    SH   DEFINED              23       11,564    0         -
PRECISION DRILLING TRUST     COMMON B0P0ZR6     $      24         900    SH   DEFINED              24          900    0         -
PRECISION DRILLING TRUST     COMMON B0P0ZR6     $  93,312   3,442,200    SH   DEFINED               3    3,442,200    0         -
TIM HORTONS INC              COMMON B11Z635     $      86       3,000    SH   DEFINED             1,3        3,000    0         -
TIM HORTONS INC              COMMON B11Z635     $ 192,551   6,694,100    SH   DEFINED               3    6,694,100    0         -
BCE INC                      COMMON B188TH2     $     340       9,700    SH   DEFINED               2        9,700    0         -
BCE INC                      COMMON B188TH2     $      65       1,844    SH   DEFINED              23        1,844    0         -
BCE INC                      COMMON B188TH2     $       1          24    SH   DEFINED              24           24    0         -
BCE INC                      COMMON B188TH2     $ 132,257   3,774,055    SH   DEFINED               3    3,774,055    0         -
BCE INC                      COMMON B188TH2     $  23,115     659,600    SH   DEFINED             3,1      659,600    0         -
BCE INC                      COMMON B188TH2     $     116       3,324    SH   DEFINED               7        3,324    0         -
NORTEL NETWORKS CORP         COMMON B1H4Y76     $      40       4,826    SH   DEFINED              23        4,826    0         -
NORTEL NETWORKS CORP         COMMON B1H4Y76     $       1         144    SH   DEFINED              24          144    0         -
NORTEL NETWORKS CORP         COMMON B1H4Y76     $      58       7,097    SH   DEFINED               7        7,097    0         -
CENTRAL EURO DISTRIBUTION CP COMMON B1L6MZ2     $     859      11,900    SH   DEFINED               8       11,900    0         -
CENTRAL EURO DISTRIBUTION CP COMMON B1L6MZ2     $     475       6,580    SH   DEFINED            8,20        6,580    0         -
CITIGROUP INC                COMMON B28Y9V1     $      14         625    SH   DEFINED              23          625    0         -
DAIMLER AG                   COMMON D1668R123   $       8         135    SH   DEFINED              22          -      0         135
DAIMLER AG                   COMMON D1668R123   $  18,176     294,723    SH   DEFINED               4      294,723    0         -
DEUTSCHE BANK AG             COMMON D18190898   $      43         500    SH   DEFINED               5          -      0         500
TELVENT GIT SA               COMMON E90215109   $   1,272      52,952    SH   DEFINED              23       52,952    0         -
ACE LTD                      COMMON G0070K103   $ 114,641   2,080,983    SH   DEFINED               1    2,080,983    0         -
ACE LTD                      COMMON G0070K103   $   2,281      41,400    SH   DEFINED            1,15       41,400    0         -
ACE LTD                      COMMON G0070K103   $      83       1,500    SH   DEFINED           10,14        1,500    0         -
ACE LTD                      COMMON G0070K103   $      17         300    SH   DEFINED              13          300    0         -
ACE LTD                      COMMON G0070K103   $   2,618      47,530    SH   DEFINED              14       12,930    0      34,000
ACE LTD                      COMMON G0070K103   $     672      12,200    SH   DEFINED            14,7          -      0      12,200
ACE LTD                      COMMON G0070K103   $   8,088     146,808    SH   DEFINED               2      146,808    0         -
ACE LTD                      COMMON G0070K103   $      17         300    SH   DEFINED           20,14          -      0         -
ACE LTD                      COMMON G0070K103   $   9,522     172,853    SH   DEFINED              23      172,853    0         -
ACE LTD                      COMMON G0070K103   $      52         941    SH   DEFINED              24          941    0         -
ACE LTD                      COMMON G0070K103   $   5,884     106,800    SH   DEFINED               3      106,800    0         -
ACE LTD                      COMMON G0070K103   $       1          14    SH   DEFINED               4           14    0         -
ACE LTD                      COMMON G0070K103   $       6         109    SH   DEFINED               5          -      0         109
ACE LTD                      COMMON G0070K103   $     264       4,792    SH   DEFINED               7        4,792    0         -
ACE LTD                      COMMON G0070K103   $  22,287     404,562    SH   DEFINED               8      404,562    0         -
ACE LTD                      COMMON G0070K103   $   2,088      37,900    SH   DEFINED            8,14       37,900    0         -
ACE LTD                      COMMON G0070K103   $     336       6,095    SH   DEFINED             8,2        6,095    0         -
AIRCASTLE LTD                COMMON G0129K104   $      28       3,332    SH   DEFINED              23        3,332    0         -
ALLIED WORLD ASSURANCE HOLD  COMMON G0219G203   $   2,999      75,700    SH   DEFINED              14       52,800    0      22,900
ALLIED WORLD ASSURANCE HOLD  COMMON G0219G203   $     248       6,271    SH   DEFINED              23        6,271    0         -
ALLIED WORLD ASSURANCE HOLD  COMMON G0219G203   $       5         115    SH   DEFINED              24          115    0         -
ALLIED WORLD ASSURANCE HOLD  COMMON G0219G203   $     456      11,500    SH   DEFINED            5,15       11,500    0         -
ALLIED WORLD ASSURANCE HOLD  COMMON G0219G203   $     374       9,443    SH   DEFINED               8        9,443    0         -
AMDOCS LTD                   COMMON G02602103   $ 141,458   4,808,211    SH   DEFINED               1    4,808,211    0         -
AMDOCS LTD                   COMMON G02602103   $     322      10,934    SH   DEFINED              14       10,934    0         -
AMDOCS LTD                   COMMON G02602103   $   1,059      36,000    SH   DEFINED              17       36,000    0         -
AMDOCS LTD                   COMMON G02602103   $   7,633     259,448    SH   DEFINED               2      184,869    0      74,579
AMDOCS LTD                   COMMON G02602103   $   1,939      65,922    SH   DEFINED            20,2       65,922    0         -
AMDOCS LTD                   COMMON G02602103   $     289       9,831    SH   DEFINED              23        9,831    0         -
AMDOCS LTD                   COMMON G02602103   $       5         180    SH   DEFINED              24          180    0         -
AMDOCS LTD                   COMMON G02602103   $  10,860     369,143    SH   DEFINED               4      369,143    0         -
AMDOCS LTD                   COMMON G02602103   $      10         350    SH   DEFINED               5          -      0         350
AMDOCS LTD                   COMMON G02602103   $     214       7,267    SH   DEFINED             8,2        7,267    0         -
AMERICAN SAFETY INS HOLDINGS COMMON G02995101   $     188      13,086    SH   DEFINED              23       13,086    0         -
A-POWER ENERGY GENERATION    COMMON G04136100   $   1,400      61,040    SH   DEFINED              23       61,040    0         -
ARCH CAPITAL GROUP LTD       COMMON G0450A105   $     192       2,900    SH   DEFINED            1,15        2,900    0         -
ARCH CAPITAL GROUP LTD       COMMON G0450A105   $     422       6,360    SH   DEFINED              14        5,760    0         100
ARCH CAPITAL GROUP LTD       COMMON G0450A105   $     172       2,600    SH   DEFINED            14,7          -      0       2,600
ARCH CAPITAL GROUP LTD       COMMON G0450A105   $   8,297     125,109    SH   DEFINED              23      125,109    0         -
ARCH CAPITAL GROUP LTD       COMMON G0450A105   $     216       3,255    SH   DEFINED              24        3,255    0         -
ARGO GROUP INTERNATIONAL
HOLDI                        COMMON G0464B107   $      31         912    SH   DEFINED              23          912    0         -
ARGO GROUP INTERNATIONAL
HOLDI                        COMMON G0464B107   $     127       3,771    SH   DEFINED               5          955    0       2,816
ARIES MARITIME TRANSPORT LTD COMMON G0474B105   $      18       3,021    SH   DEFINED              23        3,021    0         -
ARLINGTON TANKERS LTD        COMMON G04899103   $      56       2,409    SH   DEFINED              23        2,409    0         -
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $   5,108     215,820    SH   DEFINED               1      215,820    0         -
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $  12,824     541,800    SH   DEFINED              14      411,200    0     130,600
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $     126       5,319    SH   DEFINED              23        5,319    0         -
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $       2          97    SH   DEFINED              24           97    0         -
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $     146       6,160    SH   DEFINED               5        1,560    0       4,600
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $   1,953      82,500    SH   DEFINED            5,15       82,500    0         -
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $     476      20,100    SH   DEFINED               8       20,100    0         -
ASPEN INSURANCE HOLDINGS LTD COMMON G05384105   $     130       5,500    SH   DEFINED            8,20        5,500    0         -
ASSURED GUARANTY LTD         COMMON G0585R106   $   6,376     354,411    SH   DEFINED               1      354,411    0         -
ASSURED GUARANTY LTD         COMMON G0585R106   $   3,739     207,844    SH   DEFINED               2       81,420    0     126,424
ASSURED GUARANTY LTD         COMMON G0585R106   $       1          45    SH   DEFINED              22          -      0          45
ASSURED GUARANTY LTD         COMMON G0585R106   $     118       6,581    SH   DEFINED              23        6,581    0         -
ASSURED GUARANTY LTD         COMMON G0585R106   $      95       5,275    SH   DEFINED               5          -      0       5,275
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $  43,211   1,449,563    SH   DEFINED               1    1,449,563    0         -
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $     614      20,600    SH   DEFINED            1,15       20,600    0         -
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $     117       3,918    SH   DEFINED              11        3,918    0         -
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $   4,187     140,472    SH   DEFINED              14       80,972    0      56,000
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $     620      20,800    SH   DEFINED            14,7          -      0      20,800
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $     281       9,431    SH   DEFINED              23        9,431    0         -
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $       5         172    SH   DEFINED              24          172    0         -
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $  11,685     391,992    SH   DEFINED               4      391,992    0         -
AXIS CAPITAL HOLDINGS LTD    COMMON G0692U109   $     357      11,961    SH   DEFINED               8       11,961    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $ 257,420   6,321,701    SH   DEFINED               1    6,321,701    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $   1,959      48,100    SH   DEFINED           10,14       48,100    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     297       7,300    SH   DEFINED              13        7,300    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     269       6,600    SH   DEFINED            13,3        6,600    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $  55,033   1,351,500    SH   DEFINED              14      791,500    0     533,800
ACCENTURE LTD CL A           COMMON G1150G111   $   1,519      37,300    SH   DEFINED           14,13          -      0      37,300
ACCENTURE LTD CL A           COMMON G1150G111   $   2,960      72,700    SH   DEFINED            14,7          -      0      72,700
ACCENTURE LTD CL A           COMMON G1150G111   $  40,397     992,073    SH   DEFINED               2      992,073    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     326       8,000    SH   DEFINED           20,14          -      0         -
ACCENTURE LTD CL A           COMMON G1150G111   $  30,326     744,756    SH   DEFINED              22      140,701    0     604,055
ACCENTURE LTD CL A           COMMON G1150G111   $   1,099      26,994    SH   DEFINED              23       26,994    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $      23         563    SH   DEFINED              24          563    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $ 242,915   5,965,500    SH   DEFINED               3    5,965,500    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     756      18,556    SH   DEFINED               4       18,556    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $   5,105     125,374    SH   DEFINED               5      111,537    0      13,837
ACCENTURE LTD CL A           COMMON G1150G111   $   3,416      83,900    SH   DEFINED            5,15       83,900    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     987      24,250    SH   DEFINED               7       24,250    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $   2,184      53,637    SH   DEFINED               8       53,637    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $   9,003     221,100    SH   DEFINED            8,14      221,100    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     570      14,010    SH   DEFINED             8,2       14,010    0         -
ACCENTURE LTD CL A           COMMON G1150G111   $     827      20,300    SH   DEFINED            9,14          -      0      20,300
BROOKFIELD INFRASTRUCTURE PA COMMON G16252101   $       1          27    SH   DEFINED              22          -      0          27
BROOKFIELD INFRASTRUCTURE PA COMMON G16252101   $   1,681      85,788    SH   DEFINED               3       85,788    0         -
BROOKFIELD INFRASTRUCTURE PA COMMON G16252101   $       4         192    SH   DEFINED               5          160    0          32
BUNGE LIMITED                COMMON G16962105   $     246       2,280    SH   DEFINED              22          -      0       2,280
BUNGE LIMITED                COMMON G16962105   $   7,258      67,394    SH   DEFINED              23       67,394    0         -
BUNGE LIMITED                COMMON G16962105   $      21         192    SH   DEFINED              24          192    0         -
BUNGE LIMITED                COMMON G16962105   $     252       2,342    SH   DEFINED               7        2,342    0         -
CASTLEPOINT HOLDINGS LTD     COMMON G19522112   $       1         100    SH   DEFINED              23          100    0         -
CENTRAL EUROPEAN MEDIA       COMMON G20045202   $      50         553    SH   DEFINED              23          553    0         -
CDC CORP-CL A                COMMON G2022L106   $     652     261,759    SH   DEFINED              23      261,759    0         -
CHINA YUCHAI INTL LTD        COMMON G21082105   $     975      97,997    SH   DEFINED              23       97,997    0         -
CHIPMOS TECHNOLOGIES BERMUDA COMMON G2110R106   $      99      30,689    SH   DEFINED              23       30,689    0         -
CONSOLIDATED WATER CO-ORD SH COMMON G23773107   $  27,119   1,369,640    SH   DEFINED              23    1,369,640    0         -
COOPER INDUSTRIES INC        COMMON G24182100   $     391       9,900    SH   DEFINED              14          -      0       9,900
COOPER INDUSTRIES INC        COMMON G24182100   $   4,323     109,449    SH   DEFINED              22       62,289    0      47,160
COOPER INDUSTRIES INC        COMMON G24182100   $   2,651      67,109    SH   DEFINED              23       67,109    0         -
COOPER INDUSTRIES INC        COMMON G24182100   $       9         220    SH   DEFINED              24          220    0         -
COOPER INDUSTRIES INC        COMMON G24182100   $   1,959      49,592    SH   DEFINED               5       30,516    0      19,076
COOPER INDUSTRIES INC        COMMON G24182100   $     169       4,270    SH   DEFINED               7        4,270    0         -
CREDICORP LTD                COMMON G2519Y108   $     197       2,400    SH   DEFINED              20        2,400    0         -
CREDICORP LTD                COMMON G2519Y108   $   4,441      54,085    SH   DEFINED              23       54,085    0         -
CREDICORP LTD                COMMON G2519Y108   $  16,917     206,000    SH   DEFINED               8      206,000    0         -
COSAN LTD-CLASS A SHARES     COMMON G25343107   $       8         650    SH   DEFINED              22          650    0         -
COSAN LTD-CLASS A SHARES     COMMON G25343107   $  31,834   2,516,553    SH   DEFINED              23    2,516,553    0         -
COSAN LTD-CLASS A SHARES     COMMON G25343107   $       3         203    SH   DEFINED              24          203    0         -
COSAN LTD-CLASS A SHARES     COMMON G25343107   $      70       5,500    SH   DEFINED               5          -      0       5,500
COVIDIEN LTD                 COMMON G2552X108   $ 122,272   2,553,188    SH   DEFINED               1    2,553,188    0         -
COVIDIEN LTD                 COMMON G2552X108   $      43         890    SH   DEFINED              14          690    0         200
COVIDIEN LTD                 COMMON G2552X108   $      79       1,650    SH   DEFINED              17        1,650    0         -
COVIDIEN LTD                 COMMON G2552X108   $   1,400      29,233    SH   DEFINED               2       29,233    0         -
COVIDIEN LTD                 COMMON G2552X108   $   1,960      40,917    SH   DEFINED            20,2          -      0      40,917
COVIDIEN LTD                 COMMON G2552X108   $     376       7,844    SH   DEFINED              22          500    0       7,344
COVIDIEN LTD                 COMMON G2552X108   $   1,168      24,389    SH   DEFINED              23       24,389    0         -
COVIDIEN LTD                 COMMON G2552X108   $      23         471    SH   DEFINED              24          471    0         -
COVIDIEN LTD                 COMMON G2552X108   $ 115,702   2,416,000    SH   DEFINED               3    2,416,000    0         -
COVIDIEN LTD                 COMMON G2552X108   $       -           -    SH   DEFINED             3,1          -      0         -
COVIDIEN LTD                 COMMON G2552X108   $       1          31    SH   DEFINED               4           31    0         -
COVIDIEN LTD                 COMMON G2552X108   $     318       6,650    SH   DEFINED               5           91    0       6,559
COVIDIEN LTD                 COMMON G2552X108   $     414       8,639    SH   DEFINED               7        8,639    0         -
COVIDIEN LTD                 COMMON G2552X108   $  22,179     463,131    SH   DEFINED               8      463,131    0         -
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $     628      20,390    SH   DEFINED               1       20,390    0         -
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $   3,164     102,764    SH   DEFINED             1,9      102,764    0         -
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $   8,178     265,600    SH   DEFINED              14      148,500    0     115,300
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $     274       8,900    SH   DEFINED            14,7          -      0       8,900
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $     155       5,043    SH   DEFINED              23        5,043    0         -
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $       3          91    SH   DEFINED              24           91    0         -
ENDURANCE SPECIALTY HOLDINGS COMMON G30397106   $     573      18,600    SH   DEFINED            5,15       18,600    0         -
ENSTAR GROUP LTD             COMMON G3075P101   $      40         457    SH   DEFINED              23          457    0         -
ENSTAR GROUP LTD             COMMON G3075P101   $      44         500    SH   DEFINED               5          -      0         500
CRYPTOLOGIC LTD              COMMON G3159C109   $       2         112    SH   DEFINED              23          112    0         -
EVEREST RE GROUP LTD         COMMON G3223R108   $     255       3,200    SH   DEFINED            1,15        3,200    0         -
EVEREST RE GROUP LTD         COMMON G3223R108   $      95       1,190    SH   DEFINED              14          690    0         200
EVEREST RE GROUP LTD         COMMON G3223R108   $      18         230    SH   DEFINED              22          -      0         230
EVEREST RE GROUP LTD         COMMON G3223R108   $   4,248      53,298    SH   DEFINED              23       53,298    0         -
EVEREST RE GROUP LTD         COMMON G3223R108   $      30         376    SH   DEFINED              24          376    0         -
EVEREST RE GROUP LTD         COMMON G3223R108   $      63         790    SH   DEFINED               5          745    0          45
FGX INTERNATIONAL HOLDINGS   COMMON G3396L102   $       1         140    SH   DEFINED              23          140    0         -
FLAGSTONE REINSURANCE HOLDIN COMMON G3529T105   $     226      19,179    SH   DEFINED              23       19,179    0         -
FOSTER WHEELER LTD           COMMON G36535139   $ 222,876   3,046,829    SH   DEFINED               1    3,046,829    0         -
FOSTER WHEELER LTD           COMMON G36535139   $   2,516      34,400    SH   DEFINED            1,15       34,400    0         -
FOSTER WHEELER LTD           COMMON G36535139   $     424       5,800    SH   DEFINED           10,14        5,800    0         -
FOSTER WHEELER LTD           COMMON G36535139   $     227       3,108    SH   DEFINED              11        3,108    0         -
FOSTER WHEELER LTD           COMMON G36535139   $     143       1,953    SH   DEFINED              13        1,953    0         -
FOSTER WHEELER LTD           COMMON G36535139   $     106       1,453    SH   DEFINED            13,2        1,453    0         -
FOSTER WHEELER LTD           COMMON G36535139   $  20,549     280,922    SH   DEFINED              14      110,722    0     166,700
FOSTER WHEELER LTD           COMMON G36535139   $     966      13,200    SH   DEFINED            14,7          -      0      13,200
FOSTER WHEELER LTD           COMMON G36535139   $     120       1,644    SH   DEFINED              19        1,644    0         -
FOSTER WHEELER LTD           COMMON G36535139   $  16,852     230,376    SH   DEFINED               2      183,297    0      47,079
FOSTER WHEELER LTD           COMMON G36535139   $      37         500    SH   DEFINED           20,14          -      0         -
FOSTER WHEELER LTD           COMMON G36535139   $   5,939      81,191    SH   DEFINED              22       76,365    0       4,826
FOSTER WHEELER LTD           COMMON G36535139   $  26,470     361,853    SH   DEFINED              23      361,853    0         -
FOSTER WHEELER LTD           COMMON G36535139   $   3,031      41,439    SH   DEFINED              24       41,439    0         -
FOSTER WHEELER LTD           COMMON G36535139   $   2,207      30,172    SH   DEFINED             3,1       30,172    0         -
FOSTER WHEELER LTD           COMMON G36535139   $   5,033      68,806    SH   DEFINED               5       47,245    0      21,561
FOSTER WHEELER LTD           COMMON G36535139   $     600       8,209    SH   DEFINED               7        8,209    0         -
FOSTER WHEELER LTD           COMMON G36535139   $     880      12,025    SH   DEFINED               8       12,025    0         -
FOSTER WHEELER LTD           COMMON G36535139   $   2,443      33,400    SH   DEFINED            8,14       33,400    0         -
FOSTER WHEELER LTD           COMMON G36535139   $     526       7,193    SH   DEFINED             8,2        7,193    0         -
FRESH DEL MONTE PRODUCE INC  COMMON G36738105   $   2,619     111,100    SH   DEFINED              14       81,800    0      29,300
FRESH DEL MONTE PRODUCE INC  COMMON G36738105   $   2,261      95,907    SH   DEFINED              23       95,907    0         -
FRESH DEL MONTE PRODUCE INC  COMMON G36738105   $       2          76    SH   DEFINED              24           76    0         -
FRESH DEL MONTE PRODUCE INC  COMMON G36738105   $     389      16,500    SH   DEFINED            5,15       16,500    0         -
FRESH DEL MONTE PRODUCE INC  COMMON G36738105   $     318      13,500    SH   DEFINED               8       13,500    0         -
FRESH DEL MONTE PRODUCE INC  COMMON G36738105   $      87       3,700    SH   DEFINED            8,20        3,700    0         -
FRONTLINE LTD                COMMON G3682E127   $     342       4,900    SH   DEFINED            1,15        4,900    0         -
FRONTLINE LTD                COMMON G3682E127   $     179       2,572    SH   DEFINED              11        2,572    0         -
FRONTLINE LTD                COMMON G3682E127   $   1,508      21,616    SH   DEFINED              14       16,016    0       4,400
FRONTLINE LTD                COMMON G3682E127   $     223       3,200    SH   DEFINED            14,7          -      0       3,200
FRONTLINE LTD                COMMON G3682E127   $       7         100    SH   DEFINED              22          -      0         100
FRONTLINE LTD                COMMON G3682E127   $      28         400    SH   DEFINED               5          400    0         -
GARMIN LTD                   COMMON G37260109   $  76,861   1,794,135    SH   DEFINED               1    1,794,135    0         -
GARMIN LTD                   COMMON G37260109   $      90       2,100    SH   DEFINED              13        2,100    0         -
GARMIN LTD                   COMMON G37260109   $      90       2,100    SH   DEFINED            13,2        2,100    0         -
GARMIN LTD                   COMMON G37260109   $   5,524     128,941    SH   DEFINED               2      128,941    0         -
GARMIN LTD                   COMMON G37260109   $   4,396     102,609    SH   DEFINED              22       87,720    0      14,889
GARMIN LTD                   COMMON G37260109   $   8,125     189,655    SH   DEFINED              23      189,655    0         -
GARMIN LTD                   COMMON G37260109   $   2,358      55,046    SH   DEFINED              24       55,046    0         -
GARMIN LTD                   COMMON G37260109   $   2,057      48,011    SH   DEFINED             3,1       48,011    0         -
GARMIN LTD                   COMMON G37260109   $   2,510      58,593    SH   DEFINED               5       42,290    0      16,303
GARMIN LTD                   COMMON G37260109   $      83       1,940    SH   DEFINED               7        1,940    0         -
GARMIN LTD                   COMMON G37260109   $     229       5,353    SH   DEFINED             8,2        5,353    0         -
GLOBAL CROSSING LTD          COMMON G3921A175   $     575      32,028    SH   DEFINED              23       32,028    0         -
GLOBAL CROSSING LTD          COMMON G3921A175   $     177       9,870    SH   DEFINED               5          -      0       9,870
GENPACT LTD                  COMMON G3922B107   $      37       2,455    SH   DEFINED              23        2,455    0         -
GLOBAL SOURCES LIMITED       COMMON G39300101   $   1,678     110,516    SH   DEFINED              23      110,516    0         -
GREENLIGHT CAPITAL RE LTD-A  COMMON G4095J109   $       1          52    SH   DEFINED              23           52    0         -
HELEN OF TROY CORP LTD       COMMON G4388N106   $     780      48,400    SH   DEFINED              14       39,600    0       8,800
HELEN OF TROY CORP LTD       COMMON G4388N106   $     307      19,061    SH   DEFINED              23       19,061    0         -
HELEN OF TROY CORP LTD       COMMON G4388N106   $     142       8,800    SH   DEFINED            5,15        8,800    0         -
HERBALIFE LTD                COMMON G4412G101   $   6,168     159,163    SH   DEFINED               1      159,163    0         -
HERBALIFE LTD                COMMON G4412G101   $      66       1,700    SH   DEFINED              14          -      0         -
HERBALIFE LTD                COMMON G4412G101   $     116       3,000    SH   DEFINED              17        3,000    0         -
HERBALIFE LTD                COMMON G4412G101   $     588      15,164    SH   DEFINED               2       15,164    0         -
HERBALIFE LTD                COMMON G4412G101   $     822      21,224    SH   DEFINED            20,2          -      0      21,224
HERBALIFE LTD                COMMON G4412G101   $      69       1,792    SH   DEFINED              23        1,792    0         -
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $     167       4,470    SH   DEFINED              14        3,570    0         900
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $     324       8,652    SH   DEFINED              22           71    0       8,581
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $   3,753     100,258    SH   DEFINED              23      100,258    0         -
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $      18         473    SH   DEFINED              24          473    0         -
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101       $ -             6    SH   DEFINED               4            6    0         -
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $   1,066      28,470    SH   DEFINED               5        8,007    0      20,463
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $      273       7,290   SH   DEFINED                7        7,290   0         -
INGERSOLL-RAND CO LTD-CL A   COMMON G4776G101   $      675      18,033   SH   DEFINED                8       18,033   0         -
IPC HOLDINGS LTD             COMMON G4933P101   $    1,179      44,400   SH   DEFINED               14       44,400   0         -
IPC HOLDINGS LTD             COMMON G4933P101   $        3          98   SH   DEFINED               22          -     0          98
IPC HOLDINGS LTD             COMMON G4933P101   $    3,910     147,286   SH   DEFINED               23      147,286   0         -
IPC HOLDINGS LTD             COMMON G4933P101   $        2          76   SH   DEFINED               24           76   0         -
IPC HOLDINGS LTD             COMMON G4933P101   $      147       5,530   SH   DEFINED                5        1,280   0       4,250
IPC HOLDINGS LTD             COMMON G4933P101   $      234       8,800   SH   DEFINED             5,15        8,800   0         -
KNIGHTSBRIDGE TANKERS LTD    COMMON G5299G106   $    1,340      41,600   SH   DEFINED               14       27,500   0      14,100
KNIGHTSBRIDGE TANKERS LTD    COMMON G5299G106   $      387      12,000   SH   DEFINED               22          -     0      12,000
KNIGHTSBRIDGE TANKERS LTD    COMMON G5299G106   $      645      20,031   SH   DEFINED               23       20,031   0         -
KNIGHTSBRIDGE TANKERS LTD    COMMON G5299G106   $      187       5,800   SH   DEFINED             5,15        5,800   0         -
KNIGHTSBRIDGE TANKERS LTD    COMMON G5299G106   $      103       3,200   SH   DEFINED                8        3,200   0         -
KNIGHTSBRIDGE TANKERS LTD    COMMON G5299G106   $       29         900   SH   DEFINED             8,20          900   0         -
LAZARD LTD CL A              COMMON G54050102   $   20,717     606,656   SH   DEFINED                1      606,656   0         -
LAZARD LTD CL A              COMMON G54050102   $      282       8,247   SH   DEFINED                2        8,247   0         -
LAZARD LTD CL A              COMMON G54050102   $      144       4,204   SH   DEFINED               23        4,204   0         -
MARVELL TECHNOLOGY           COMMON G5876H105   $   13,160     745,178   SH   DEFINED                1      745,178   0         -
MARVELL TECHNOLOGY           COMMON G5876H105   $      954      54,000   SH   DEFINED               17       54,000   0         -
MARVELL TECHNOLOGY           COMMON G5876H105   $    1,717      97,247   SH   DEFINED             20,2       97,247   0         -
MARVELL TECHNOLOGY           COMMON G5876H105   $       18       1,000   SH   DEFINED               22          -     0       1,000
MARVELL TECHNOLOGY           COMMON G5876H105   $      412      23,340   SH   DEFINED               23       23,340   0         -
MARVELL TECHNOLOGY           COMMON G5876H105   $    2,803     158,713   SH   DEFINED               24      158,713   0         -
MARVELL TECHNOLOGY           COMMON G5876H105   $       85       4,805   SH   DEFINED                5        1,900   0       2,905
MAX CAPITAL GROUP LTD        COMMON G6052F103   $    2,727     127,825   SH   DEFINED               23      127,825   0         -
MF GLOBAL LTD                COMMON G60642108   $       77      12,124   SH   DEFINED               23       12,124   0         -
MF GLOBAL LTD                COMMON G60642108   $        1         222   SH   DEFINED               24          222   0         -
MONTPELIER RE HOLDING        COMMON G62185106   $    3,459     234,500   SH   DEFINED               14      192,100   0      42,400
MONTPELIER RE HOLDING        COMMON G62185106   $      199      13,520   SH   DEFINED               23       13,520   0         -
MONTPELIER RE HOLDING        COMMON G62185106   $        4         246   SH   DEFINED               24          246   0         -
MONTPELIER RE HOLDING        COMMON G62185106   $      102       6,940   SH   DEFINED                5        1,740   0       5,200
MONTPELIER RE HOLDING        COMMON G62185106   $      620      42,000   SH   DEFINED             5,15       42,000   0         -
NABORS INDS LTD              COMMON G6359F103   $   74,780   1,519,000   SH   DEFINED                1    1,519,000   0         -
NABORS INDS LTD              COMMON G6359F103   $   11,077     225,000   SH   DEFINED             13,2          -     0     225,000
NABORS INDS LTD              COMMON G6359F103   $   11,275     229,032   SH   DEFINED               22       25,970   0     203,062
NABORS INDS LTD              COMMON G6359F103   $      947      19,242   SH   DEFINED               23       19,242   0         -
NABORS INDS LTD              COMMON G6359F103   $       40         812   SH   DEFINED               24          812   0         -
NABORS INDS LTD              COMMON G6359F103   $      101       2,046   SH   DEFINED                5          600   0       1,446
NABORS INDS LTD              COMMON G6359F103   $      282       5,728   SH   DEFINED                7        5,728   0         -
NOBLE CORP                   COMMON G65422100   $   73,890   1,137,472   SH   DEFINED                1    1,137,472   0         -
NOBLE CORP                   COMMON G65422100   $      182       2,800   SH   DEFINED               14        2,200   0         600
NOBLE CORP                   COMMON G65422100   $      136       2,100   SH   DEFINED             14,7          -     0       2,100
NOBLE CORP                   COMMON G65422100   $    4,515      69,498   SH   DEFINED                2        8,398   0      61,100
NOBLE CORP                   COMMON G65422100   $    3,531      54,350   SH   DEFINED               22        5,800   0      48,550
NOBLE CORP                   COMMON G65422100   $   33,021     508,325   SH   DEFINED               23      508,325   0         -
NOBLE CORP                   COMMON G65422100   $        6          99   SH   DEFINED               24           99   0         -
NOBLE CORP                   COMMON G65422100   $       12         180   SH   DEFINED                4          180   0         -
NOBLE CORP                   COMMON G65422100   $       83       1,274   SH   DEFINED                5           20   0       1,254
NOBLE CORP                   COMMON G65422100   $      376       5,782   SH   DEFINED                7        5,782   0         -
NORDIC AMERICAN TANKER
SHIPPIN                      COMMON G65773106   $        8         200   SH   DEFINED               22          -     0         200
NORDIC AMERICAN TANKER
SHIPPIN                      COMMON G65773106   $      258       6,647   SH   DEFINED               23        6,647   0         -
OPENTV CORP                  COMMON G67543101   $        1         959   SH   DEFINED               23          959   0         -
ONEBEACON INSURANCE GROUP LT COMMON G67742109   $      193      11,009   SH   DEFINED               23       11,009   0         -
ONEBEACON INSURANCE GROUP LT COMMON G67742109   $        4         200   SH   DEFINED               24          200   0         -
ORIENT EXPRESS HOTEL LTD A   COMMON G67743107   $       82       1,892   SH   DEFINED               23        1,892   0         -
ORIENT EXPRESS HOTEL LTD A   COMMON G67743107   $      101       2,330   SH   DEFINED                5          -     0       2,330
ORIGIN AGRITECH LTD          COMMON G67828106   $      324      54,169   SH   DEFINED               23       54,169   0         -
PARTNERRE LTD                COMMON G6852T105   $      463       6,700   SH   DEFINED             1,15        6,700   0         -
PARTNERRE LTD                COMMON G6852T105   $      212       3,063   SH   DEFINED             10,7        3,063   0         -
PARTNERRE LTD                COMMON G6852T105   $   19,491     281,948   SH   DEFINED               11       72,948   0     209,000
PARTNERRE LTD                COMMON G6852T105   $      151       2,178   SH   DEFINED               13        2,178   0         -
PARTNERRE LTD                COMMON G6852T105   $    4,376      63,295   SH   DEFINED               14       62,195   0         400
PARTNERRE LTD                COMMON G6852T105   $      643       9,300   SH   DEFINED             14,7          -     0       9,300
PARTNERRE LTD                COMMON G6852T105   $       13         185   SH   DEFINED            18,11          185   0         -
PARTNERRE LTD                COMMON G6852T105   $      505       7,300   SH   DEFINED            18,14          -     0       7,300
PARTNERRE LTD                COMMON G6852T105   $    1,255      18,150   SH   DEFINED            19,14       10,400   0       7,750
PARTNERRE LTD                COMMON G6852T105   $      459       6,640   SH   DEFINED               22          -     0       6,640
PARTNERRE LTD                COMMON G6852T105   $    6,588      95,293   SH   DEFINED               23       95,293   0         -
PARTNERRE LTD                COMMON G6852T105   $       27         387   SH   DEFINED               24          387   0         -
PARTNERRE LTD                COMMON G6852T105   $       34         485   SH   DEFINED                5          485   0         -
PARTNERRE LTD                COMMON G6852T105   $    1,495      21,632   SH   DEFINED                7       21,632   0         -
PARTNERRE LTD                COMMON G6852T105   $    3,639      52,635   SH   DEFINED                8       52,635   0         -
PARTNERRE LTD                COMMON G6852T105   $    1,589      22,989   SH   DEFINED             8,14          -     0      22,989
PARTNERRE LTD                COMMON G6852T105   $    1,076      15,559   SH   DEFINED                9       15,559   0         -
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $    4,458     136,700   SH   DEFINED                1      136,700   0         -
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $   12,219     374,700   SH   DEFINED               14      284,200   0      90,500
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $      109       3,346   SH   DEFINED               23        3,346   0         -
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $        2          60   SH   DEFINED               24           60   0         -
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $      168       5,145   SH   DEFINED                5        1,260   0       3,885
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $    1,846      56,600   SH   DEFINED             5,15       56,600   0         -
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $      525      16,100   SH   DEFINED                8       16,100   0         -
PLATINUM UNDERWRITERS HLDGS  COMMON G7127P100   $      143       4,400   SH   DEFINED             8,20        4,400   0         -
PRIMUS GUARANTY LTD          COMMON G72457107   $       36      12,204   SH   DEFINED               23       12,204   0         -
QIAO XING MOBILE COMMUNICA   COMMON G73031109   $      609     123,591   SH   DEFINED               23      123,591   0         -
QIAO XING UNIVERSAL TELE INC COMMON G7303A109   $      307      69,990   SH   DEFINED               23       69,990   0         -
QUANTA CAPITAL HOLDINGS LTD  COMMON G7313F106   $      343     129,977   SH   DEFINED               23      129,977   0         -
RAM HOLDINGS LTD             COMMON G7368R104   $       24      23,908   SH   DEFINED               23       23,908   0         -
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $    2,055      46,000   SH   DEFINED                1       46,000   0         -
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $      746      16,700   SH   DEFINED             1,15       16,700   0         -
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $      114       2,562   SH   DEFINED               11        2,562   0         -
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $      408       9,139   SH   DEFINED               14        6,639   0         800
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $    2,866      64,166   SH   DEFINED               22       13,050   0      51,116
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $    3,122      69,890   SH   DEFINED               23       69,890   0         -
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $       26         577   SH   DEFINED               24          577   0         -
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $       42         933   SH   DEFINED                5          -     0         933
RENAISSANCERE HOLDINGS LTD   COMMON G7496G103   $      209       4,672   SH   DEFINED                7        4,672   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $  127,668   6,673,718   SH   DEFINED                1    6,673,718   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $      419      21,900   SH   DEFINED             1,15       21,900   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $       10         500   SH   DEFINED               13          500   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $      917      47,910   SH   DEFINED               14       11,610   0      33,200
SEAGATE TECHNOLOGY           COMMON G7945J104   $      440      23,000   SH   DEFINED               17       23,000   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $    3,932     205,567   SH   DEFINED                2      205,567   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $       10         500   SH   DEFINED            20,14          -     0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $      497      25,961   SH   DEFINED             20,2       25,961   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $       20       1,050   SH   DEFINED               22          -     0       1,050
SEAGATE TECHNOLOGY           COMMON G7945J104   $      592      30,942   SH   DEFINED               23       30,942   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $       35       1,822   SH   DEFINED               24        1,822   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $        1          67   SH   DEFINED                4           67   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $    1,585      82,830   SH   DEFINED                5        2,730   0      80,100
SEAGATE TECHNOLOGY           COMMON G7945J104   $      152       7,938   SH   DEFINED                7        7,938   0         -
SEAGATE TECHNOLOGY           COMMON G7945J104   $      163       8,517   SH   DEFINED              8,2        8,517   0         -
SECURITY CAPITAL ASSURANCE   COMMON G8018D107   $      228     787,126   SH   DEFINED                1      787,126   0         -
SHIP FINANCE INTL LTD        COMMON G81075106   $      150       5,072   SH   DEFINED               23        5,072   0         -
SHIP FINANCE INTL LTD        COMMON G81075106   $        3          93   SH   DEFINED               24           93   0         -
SHIP FINANCE INTL LTD        COMMON G81075106   $       78       2,642   SH   DEFINED                5           42   0       2,600
SINA CORPORTATION            COMMON G81477104   $      643      15,100   SH   DEFINED               20       15,100   0         -
SINA CORPORTATION            COMMON G81477104   $    5,812     136,595   SH   DEFINED               23      136,595   0         -
SINA CORPORTATION            COMMON G81477104   $      668      15,700   SH   DEFINED              3,7       15,700   0         -
SINA CORPORTATION            COMMON G81477104   $   10,523     247,300   SH   DEFINED                6      247,300   0         -
SINA CORPORTATION            COMMON G81477104   $   15,156     356,200   SH   DEFINED                8      356,200   0         -
SINA CORPORTATION            COMMON G81477104   $   13,663     321,100   SH   DEFINED             8,20      321,100   0         -
SINA CORPORTATION            COMMON G81477104   $   22,437     527,300   SH   DEFINED              8,6      527,300   0         -
SMART MODULAR TECHNOLOGIES   COMMON G82245104   $   23,132   6,039,747   SH   DEFINED              1,3    6,039,747   0         -
SMART MODULAR TECHNOLOGIES   COMMON G82245104   $      730     190,700   SH   DEFINED             18,3      190,700   0         -
SMART MODULAR TECHNOLOGIES   COMMON G82245104   $       40      10,416   SH   DEFINED               23       10,416   0         -
SMART MODULAR TECHNOLOGIES   COMMON G82245104   $   10,935   2,855,000   SH   DEFINED                3    2,855,000   0         -
W.P. STEWART & CO LTD        COMMON G84922106   $      111      73,268   SH   DEFINED               23       73,268   0         -
TBS INTERNATIONAL LTD-A      COMMON G86975151   $      212       5,297   SH   DEFINED               23        5,297   0         -
UTI WORLDWIDE INC            COMMON G87210103   $      229      11,503   SH   DEFINED               23       11,503   0         -
TEXTAINER GROUP HOLDINGS LTD COMMON G8766E109   $       41       2,105   SH   DEFINED               23        2,105   0         -
TRANSOCEAN INC COM           COMMON G90073100   $  232,350   1,524,709   SH   DEFINED                1    1,524,709   0         -
TRANSOCEAN INC COM           COMMON G90073100   $      137         900   SH   DEFINED            10,14          900   0         -
TRANSOCEAN INC COM           COMMON G90073100   $   10,300      67,587   SH   DEFINED               14       47,035   0      17,851
TRANSOCEAN INC COM           COMMON G90073100   $    2,423      15,900   SH   DEFINED             14,7          -     0      15,900
TRANSOCEAN INC COM           COMMON G90073100   $      639       4,190   SH   DEFINED               19        4,190   0         -
TRANSOCEAN INC COM           COMMON G90073100   $   12,109      79,463   SH   DEFINED                2       79,463   0         -
TRANSOCEAN INC COM           COMMON G90073100   $       67         442   SH   DEFINED               21          442   0         -
TRANSOCEAN INC COM           COMMON G90073100   $    1,369       8,986   SH   DEFINED               22        4,676   0       4,310
TRANSOCEAN INC COM           COMMON G90073100   $   28,121     184,530   SH   DEFINED               23      184,530   0         -
TRANSOCEAN INC COM           COMMON G90073100   $       13          86   SH   DEFINED               24           86   0         -
TRANSOCEAN INC COM           COMMON G90073100   $    5,198      34,109   SH   DEFINED                4       34,109   0         -
TRANSOCEAN INC COM           COMMON G90073100   $    2,053      13,469   SH   DEFINED                5        4,298   0       9,171
TRANSOCEAN INC COM           COMMON G90073100   $      897       5,885   SH   DEFINED                7        5,885   0         -
TRANSOCEAN INC COM           COMMON G90073100   $    1,638      10,752   SH   DEFINED                8       10,752   0         -
TRANSOCEAN INC COM           COMMON G90073100   $      792       5,200   SH   DEFINED             8,14        5,200   0         -
TRANSOCEAN INC COM           COMMON G90073100   $      501       3,286   SH   DEFINED              8,2        3,286   0         -
TSAKOS ENERGY NAVIGATION LTD COMMON G9108L108   $   12,290     331,445   SH   DEFINED               23      331,445   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $  112,335   2,805,572   SH   DEFINED                1    2,805,572   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $      988      24,669   SH   DEFINED               14       22,769   0       1,300
TYCO INTERNATIONAL LTD       COMMON G9143X208   $      140       3,500   SH   DEFINED             14,7          -     0       3,500
TYCO INTERNATIONAL LTD       COMMON G9143X208   $      151       3,772   SH   DEFINED                2        3,772   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $      360       8,990   SH   DEFINED               22          500   0       8,490
TYCO INTERNATIONAL LTD       COMMON G9143X208   $    2,687      67,112   SH   DEFINED               23       67,112   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $       55       1,371   SH   DEFINED               24        1,371   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $   10,428     260,445   SH   DEFINED              3,1      260,445   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $    3,674      91,759   SH   DEFINED                4       91,759   0         -
TYCO INTERNATIONAL LTD       COMMON G9143X208   $      135       3,360   SH   DEFINED                5           91   0       3,269
TYCO INTERNATIONAL LTD       COMMON G9143X208   $      466      11,645   SH   DEFINED                7       11,645   0         -
TYCO ELECTRONICS LTD         COMMON G9144P105   $  177,128   4,944,955   SH   DEFINED                1    4,944,955   0         -
TYCO ELECTRONICS LTD         COMMON G9144P105   $    1,233      34,434   SH   DEFINED               14       31,034   0       3,400
TYCO ELECTRONICS LTD         COMMON G9144P105   $      190       5,300   SH   DEFINED             14,7          -     0       5,300
TYCO ELECTRONICS LTD         COMMON G9144P105   $      337       9,397   SH   DEFINED               22          500   0       8,897
TYCO ELECTRONICS LTD         COMMON G9144P105   $    1,240      34,606   SH   DEFINED               23       34,606   0         -
TYCO ELECTRONICS LTD         COMMON G9144P105   $       25         695   SH   DEFINED               24          695   0         -
TYCO ELECTRONICS LTD         COMMON G9144P105        $ -           -     SH   DEFINED              3,1          -     0         -
TYCO ELECTRONICS LTD         COMMON G9144P105   $    3,268      91,230   SH   DEFINED                4       91,230   0         -
TYCO ELECTRONICS LTD         COMMON G9144P105   $      624      17,420   SH   DEFINED                5           91   0      17,329
TYCO ELECTRONICS LTD         COMMON G9144P105   $      365      10,177   SH   DEFINED                7       10,177   0         -
TYCO ELECTRONICS LTD         COMMON G9144P105   $      585      16,326   SH   DEFINED                8       16,326   0         -
VALIDUS HOLDINGS LTD         COMMON G9319H102   $      429      20,192   SH   DEFINED               23       20,192   0         -
VISTAPRINT LTD               COMMON G93762204   $      147       5,492   SH   DEFINED               23        5,492   0         -
VISTAPRINT LTD               COMMON G93762204   $       60       2,242   SH   DEFINED                5        2,242   0         -
WARNER CHILCOTT LTD-CLASS A  COMMON G9435N108   $   10,750     634,202   SH   DEFINED               23      634,202   0         -
WARNER CHILCOTT LTD-CLASS A  COMMON G9435N108   $      143       8,445   SH   DEFINED               24        8,445   0         -
WARNER CHILCOTT LTD-CLASS A  COMMON G9435N108   $      215      12,676   SH   DEFINED                7       12,676   0         -
WARNER CHILCOTT LTD-CLASS A  COMMON G9435N108   $      222      13,107   SH   DEFINED                8       13,107   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $  288,619   5,820,112   SH   DEFINED                1    5,820,112   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $   12,794     258,000   SH   DEFINED             13,2          -     0     258,000
WEATHERFORD INTL LTD         COMMON G95089101   $    1,865      37,605   SH   DEFINED               14       37,605   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $   54,445   1,097,909   SH   DEFINED               22      403,349   0     694,560
WEATHERFORD INTL LTD         COMMON G95089101   $    2,077      41,890   SH   DEFINED               23       41,890   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $       21         421   SH   DEFINED               24          421   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $      159       3,200   SH   DEFINED                3        3,200   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $    9,107     183,642   SH   DEFINED                4      183,642   0         -
WEATHERFORD INTL LTD         COMMON G95089101   $   22,016     443,957   SH   DEFINED                5      334,482   0     109,475
WEATHERFORD INTL LTD         COMMON G95089101   $      517      10,416   SH   DEFINED                7       10,416   0         -
WHITE MOUNTAINS INSURANCE GP COMMON G9618E107   $      112         260   SH   DEFINED               22          -     0         260
WHITE MOUNTAINS INSURANCE GP COMMON G9618E107   $      353         823   SH   DEFINED               23          823   0         -
WHITE MOUNTAINS INSURANCE GP COMMON G9618E107   $        6          14   SH   DEFINED               24           14   0         -
WHITE MOUNTAINS INSURANCE GP COMMON G9618E107   $       62         145   SH   DEFINED                5          145   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $    1,989      63,400   SH   DEFINED              1,3       63,400   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $    7,312     233,100   SH   DEFINED             18,3      233,100   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $    3,874     123,500   SH   DEFINED             20,3      123,500   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $    1,928      61,449   SH   DEFINED               23       61,449   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $        4         127   SH   DEFINED               24          127   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $  327,847  10,450,976   SH   DEFINED                3   10,450,976   0         -
WILLIS GROUP HLDGS LTD       COMMON G96655108   $       9         300    SH   DEFINED               5          -      0         300
XL CAPITAL LIMITED CL A      COMMON G98255105   $  81,201   3,949,456    SH   DEFINED               1    3,949,456    0         -
XL CAPITAL LIMITED CL A      COMMON G98255105   $   8,811     428,547    SH   DEFINED              14      193,847    0     233,500
XL CAPITAL LIMITED CL A      COMMON G98255105   $     475      23,100    SH   DEFINED            14,7          -      0      23,100
XL CAPITAL LIMITED CL A      COMMON G98255105   $     595      28,925    SH   DEFINED              23       28,925    0         -
XL CAPITAL LIMITED CL A      COMMON G98255105   $      13         627    SH   DEFINED              24          627    0         -
XL CAPITAL LIMITED CL A      COMMON G98255105   $   3,778     183,740    SH   DEFINED               4      183,740    0         -
XL CAPITAL LIMITED CL A      COMMON G98255105   $       1          60    SH   DEFINED               5          -      0          60
XL CAPITAL LIMITED CL A      COMMON G98255105   $      50       2,452    SH   DEFINED               7        2,452    0         -
XOMA LTD                     COMMON G9825R107   $       4       2,500    SH   DEFINED              22          -      0       2,500
XOMA LTD                     COMMON G9825R107   $       2       1,152    SH   DEFINED              23        1,152    0         -
XYRATEX LTD                  COMMON G98268108   $      21       1,239    SH   DEFINED              23        1,239    0         -
YUCHENG TECHNOLOGIES LTD     COMMON G98777108   $     517      39,101    SH   DEFINED              23       39,101    0         -
ALCON INC                    COMMON H01301102   $      79         485    SH   DEFINED              22          275    0         210
ALCON INC                    COMMON H01301102   $     261       1,605    SH   DEFINED              23        1,605    0         -
ALCON INC                    COMMON H01301102   $       7          44    SH   DEFINED              24           44    0         -
ALCON INC                    COMMON H01301102   $   2,457      15,095    SH   DEFINED               5        3,680    0      11,415
LOGITECH INTERNATIONAL-REG   COMMON H50430232   $  17,840     665,665    SH   DEFINED               1      665,665    0         -
LOGITECH INTERNATIONAL-REG   COMMON H50430232   $      62       2,314    SH   DEFINED              23        2,314    0         -
LOGITECH INTERNATIONAL-REG   COMMON H50430232   $   1,291      48,186    SH   DEFINED              24       48,186    0         -
UBS AG-REG                   COMMON H89231338   $   9,218     446,171    SH   DEFINED               1      446,171    0         -
UBS AG-REG                   COMMON H89231338   $     147       7,100    SH   DEFINED              22        6,160    0         940
UBS AG-REG                   COMMON H89231338   $       3         133    SH   DEFINED               4          133    0         -
UBS AG-REG                   COMMON H89231338   $     103       4,991    SH   DEFINED               5        4,004    0         987
UBS AG-RTS                   COMMON H8929J150       $ -           147    SH   DEFINED              11          147    0         -
UBS AG-RTS                   COMMON H8929J150       $ -           122    SH   DEFINED               4          122    0         -
MILLICOM INTL CELLULAR S.A.  COMMON L6388F110   $   7,255      70,100    SH   DEFINED               1       70,100    0         -
MILLICOM INTL CELLULAR S.A.  COMMON L6388F110   $     174       1,685    SH   DEFINED              23        1,685    0         -
MILLICOM INTL CELLULAR S.A.  COMMON L6388F110   $   2,977      28,759    SH   DEFINED              24       28,759    0         -
MILLICOM INTL CELLULAR S.A.  COMMON L6388F110   $   1,426      13,775    SH   DEFINED               5        3,024    0      10,751
ALADDIN KNOWLEDGE SYSTEMS    COMMON M0392N101   $     160      11,846    SH   DEFINED              23       11,846    0         -
ALVARION LIMITED             COMMON M0861T100   $       4         520    SH   DEFINED              23          520    0         -
AUDIOCODES LTD               COMMON M15342104   $       1         349    SH   DEFINED              23          349    0         -
BLUEPHOENIX SOLUTIONS LTD    COMMON M20157109   $     124      26,966    SH   DEFINED              23       26,966    0         -
CELLCOM ISRAEL LTD           COMMON M2196U109   $   1,350      39,450    SH   DEFINED           11,13       39,450    0         -
CELLCOM ISRAEL LTD           COMMON M2196U109   $     251       7,344    SH   DEFINED              23        7,344    0         -
CELLCOM ISRAEL LTD           COMMON M2196U109   $   2,504      73,200    SH   DEFINED               8        8,200    0      65,000
CELLCOM ISRAEL LTD           COMMON M2196U109   $     982      28,700    SH   DEFINED            8,14       28,700    0         -
CELLCOM ISRAEL LTD           COMMON M2196U109   $   1,782      52,100    SH   DEFINED            8,20       52,100    0         -
CERAGON NETWORKS LTD         COMMON M22013102   $     186      24,001    SH   DEFINED              23       24,001    0         -
CHECK POINT SOFTWARE TECH
LTD                          COMMON M22465104   $  14,165     598,439    SH   DEFINED               1      598,439    0         -
CHECK POINT SOFTWARE TECH
LTD                          COMMON M22465104   $   1,868      78,904    SH   DEFINED            20,2       78,904    0         -
CHECK POINT SOFTWARE TECH
LTD                          COMMON M22465104   $      12         510    SH   DEFINED              22          -      0         510
CHECK POINT SOFTWARE TECH
LTD                          COMMON M22465104   $     269      11,347    SH   DEFINED              23       11,347    0         -
CHECK POINT SOFTWARE TECH
LTD                          COMMON M22465104   $   1,409      59,512    SH   DEFINED              24       59,512    0         -
CHECK POINT SOFTWARE TECH
LTD                          COMMON M22465104   $      32       1,360    SH   DEFINED               5        1,360    0         -
ELBIT IMAGING LTD            COMMON M37605108   $      13         227    SH   DEFINED              22          -      0         227
ELBIT SYSTEMS LTD            COMMON M3760D101   $      16         260    SH   DEFINED              22          -      0         260
ELBIT SYSTEMS LTD            COMMON M3760D101   $   2,286      36,482    SH   DEFINED              23       36,482    0         -
FUNDTECH LTD                 COMMON M47095100   $       1          92    SH   DEFINED              23           92    0         -
MELLANOX TECHNOLOGIES LTD    COMMON M51363113   $     144      10,669    SH   DEFINED              23       10,669    0         -
GILAT SATELLITE NETWORKS LTD COMMON M51474118   $     228      21,008    SH   DEFINED              23       21,008    0         -
INTERNET GOLD-GOLDEN LINES
LTD                          COMMON M56595107   $       1          82    SH   DEFINED              23           82    0         -
ITURAN LOCATION AND CONTROL  COMMON M6158M104   $       2         154    SH   DEFINED              22          -      0         154
ITURAN LOCATION AND CONTROL  COMMON M6158M104   $       2         153    SH   DEFINED              23          153    0         -
LANOPTICS LTD                COMMON M6706C103   $       7         400    SH   DEFINED              22          -      0         400
LANOPTICS LTD                COMMON M6706C103   $       3         159    SH   DEFINED              23          159    0         -
ORBOTECH LTD                 COMMON M75253100   $     222      16,671    SH   DEFINED              23       16,671    0         -
ORCKIT COMMUNICATIONS LTD    COMMON M7531S206   $       1         138    SH   DEFINED              23          138    0         -
RRSAT GLOBAL COMMUNICATIONS  COMMON M8183P102   $       1          45    SH   DEFINED              23           45    0         -
RADVISION LTD                COMMON M81869105   $       1         191    SH   DEFINED              23          191    0         -
RADVISION LTD                COMMON M81869105   $      70      11,500    SH   DEFINED               5          -      0      11,500
RADWARE LTD                  COMMON M81873107   $       1         167    SH   DEFINED              23          167    0         -
RETALIX LIMITED              COMMON M8215W109   $       2         169    SH   DEFINED              23          169    0         -
SHAMIR OPTICAL INDUSTRY LTD  COMMON M83683108       $ -            57    SH   DEFINED              23           57    0         -
SYNERON MEDICAL LTD          COMMON M87245102   $       4         243    SH   DEFINED              23          243    0         -
012 SMILE.COMMUNICATIONS LTD COMMON M98939107   $       1          67    SH   DEFINED              23           67    0         -
AERCAP HOLDINGS NV           COMMON N00985106   $      61       4,834    SH   DEFINED              23        4,834    0         -
ASM INTERNATIONAL N.V.       COMMON N07045102   $  31,341   1,044,700    SH   DEFINED             1,3    1,044,700    0         -
ASM INTERNATIONAL N.V.       COMMON N07045102   $     768      25,600    SH   DEFINED            18,3       25,600    0         -
ASM INTERNATIONAL N.V.       COMMON N07045102   $       2          81    SH   DEFINED              23           81    0         -
ASM INTERNATIONAL N.V.       COMMON N07045102   $   7,887     262,900    SH   DEFINED               3      262,900    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $   5,946     243,700    SH   DEFINED               1      243,700    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $   1,465      60,058    SH   DEFINED              14       60,058    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $     651      26,666    SH   DEFINED              17       26,666    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $     554      22,700    SH   DEFINED            20,2       22,700    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $     356      14,577    SH   DEFINED              22          -      0      14,577
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $      38       1,546    SH   DEFINED              23        1,546    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $   4,423     181,267    SH   DEFINED               3      181,267    0         -
ASML HOLDING NV-NY REG SHS
ADR                          COMMON N07059186   $   7,222     295,979    SH   DEFINED               4      295,979    0         -
CASCAL N.V.                  COMMON N1842P109   $   3,527     286,788    SH   DEFINED               1      286,788    0         -
CASCAL N.V.                  COMMON N1842P109   $   2,001     162,669    SH   DEFINED               2       64,922    0      97,747
CORE LABORATORIES N V        COMMON N22717107   $      73         513    SH   DEFINED              23          513    0         -
CORE LABORATORIES N V        COMMON N22717107   $      14         100    SH   DEFINED               5          100    0         -
EURAND NV-ORDINARY SHRS      COMMON N31010106   $   2,905     193,312    SH   DEFINED              23      193,312    0         -
ORTHOFIX INTL N V            COMMON N6748L102   $      55       1,916    SH   DEFINED              23        1,916    0         -
ORTHOFIX INTL N V            COMMON N6748L102   $      85       2,950    SH   DEFINED               5          -      0       2,950
QIAGEN N V                   COMMON N72482107   $  10,214     507,404    SH   DEFINED               1      507,404    0         -
QIAGEN N V                   COMMON N72482107   $     972      48,300    SH   DEFINED               2       48,300    0         -
QIAGEN N V                   COMMON N72482107   $   1,361      67,600    SH   DEFINED            20,2          -      0      67,600
QIAGEN N V                   COMMON N72482107   $      21       1,060    SH   DEFINED              22          -      0       1,060
QIAGEN N V                   COMMON N72482107   $      61       3,016    SH   DEFINED              23        3,016    0         -
QIAGEN N V                   COMMON N72482107   $   2,763     137,250    SH   DEFINED               3      137,250    0         -
BANCO LATINOAMERICANO DE CL
E                            COMMON P16994132   $      49       3,000    SH   DEFINED              22          -      0       3,000
BANCO LATINOAMERICANO DE CL
E                            COMMON P16994132   $     552      34,088    SH   DEFINED              23       34,088    0         -
COPA HOLDINGS SA-CLASS A     COMMON P31076105   $     186       6,607    SH   DEFINED              23        6,607    0         -
SINOVAC BIOTECH LTD          COMMON P8696W104   $     328     100,787    SH   DEFINED              23      100,787    0         -
STEINER LEISURE LTD          COMMON P8744Y102   $      46       1,614    SH   DEFINED              23        1,614    0         -
ULTRAPETROL BAHAMAS LTD      COMMON P94398107   $      31       2,422    SH   DEFINED              23        2,422    0         -
EXCEL MARITIME CARRIERS LTD  COMMON V3267N107   $      20         397    SH   DEFINED              22          -      0         397



EXCEL MARITIME CARRIERS LTD  COMMON V3267N107   $        712      13,870 SH   DEFINED              23       13,870    0         -
ROYAL CARIBBEAN CRUISES LTD  COMMON V7780T103   $      2,114      94,070 SH   DEFINED               1       94,070    0         -
ROYAL CARIBBEAN CRUISES LTD  COMMON V7780T103   $        174       7,764 SH   DEFINED            13,2          -      0       7,764
ROYAL CARIBBEAN CRUISES LTD  COMMON V7780T103   $        283      12,576 SH   DEFINED              23       12,576    0         -
ROYAL CARIBBEAN CRUISES LTD  COMMON V7780T103   $          6         247 SH   DEFINED              24          247    0         -
AEGEAN MARINE PETROLEUM NETW COMMON Y0017S102   $         28         678 SH   DEFINED              23          678    0         -
CAPITAL PRODUCT PARTNERS LP  COMMON Y11082107   $          -      21,635 SH   DEFINED              22          800    0      20,835
CAPITAL PRODUCT PARTNERS LP  COMMON Y11082107   $          -     257,545 SH   DEFINED               5      253,020    0       4,525
DANAOS CORP                  COMMON Y1968P105   $         40       1,544 SH   DEFINED              23        1,544    0         -
DIANA SHIPPING INC           COMMON Y2066G104   $         46       1,500 SH   DEFINED              22          -      0       1,500
DIANA SHIPPING INC           COMMON Y2066G104   $         79       2,580 SH   DEFINED              23        2,580    0         -
DRYSHIPS INC                 COMMON Y2109Q101   $         12         150 SH   DEFINED              22          -      0         150
DRYSHIPS INC                 COMMON Y2109Q101   $        199       2,484 SH   DEFINED              23        2,484    0         -
DOUBLE HULL TANKERS INC      COMMON Y21110104   $         38       3,822 SH   DEFINED              23        3,822    0         -
EAGLE BULK SHIPPING INC      COMMON Y2187A101   $         77       2,595 SH   DEFINED              23        2,595    0         -
EUROSEAS LTD                 COMMON Y23592200   $        295      18,868 SH   DEFINED              23       18,868    0         -
FLEXTRONICS INTL LTD         COMMON Y2573F102   $         22       2,300 SH   DEFINED              13        2,300    0         -
FLEXTRONICS INTL LTD         COMMON Y2573F102   $      1,549     164,800 SH   DEFINED              14          -      0     164,800
FLEXTRONICS INTL LTD         COMMON Y2573F102   $         22       2,300 SH   DEFINED           20,14          -      0         -
FLEXTRONICS INTL LTD         COMMON Y2573F102   $        128      13,584 SH   DEFINED              22          -      0      13,584
FLEXTRONICS INTL LTD         COMMON Y2573F102   $        964     102,591 SH   DEFINED              23      102,591    0         -
FLEXTRONICS INTL LTD         COMMON Y2573F102   $      2,365     251,588 SH   DEFINED              24      251,588    0         -
FLEXTRONICS INTL LTD         COMMON Y2573F102   $         49       5,208 SH   DEFINED               5        1,708    0       3,500
FLEXTRONICS INTL LTD         COMMON Y2573F102   $        101      10,728 SH   DEFINED               7       10,728    0         -
GENCO SHIPPING & TRADING LTD COMMON Y2685T107   $         78       1,195 SH   DEFINED              23        1,195    0         -
GENERAL MARITIME CORP        COMMON Y2692M103   $      6,581     253,300 SH   DEFINED              14      172,500    0      80,800
GENERAL MARITIME CORP        COMMON Y2692M103   $          3         100 SH   DEFINED              22          -      0         100
GENERAL MARITIME CORP        COMMON Y2692M103   $        112       4,322 SH   DEFINED              23        4,322    0         -
GENERAL MARITIME CORP        COMMON Y2692M103   $          2          79 SH   DEFINED              24           79    0         -
GENERAL MARITIME CORP        COMMON Y2692M103   $      1,115      42,900 SH   DEFINED            5,15       42,900    0         -
GENERAL MARITIME CORP        COMMON Y2692M103   $         55       2,100 SH   DEFINED               8        2,100    0         -
GENERAL MARITIME CORP        COMMON Y2692M103   $         16         600 SH   DEFINED            8,20          600    0         -
GIGAMEDIA LTD                COMMON Y2711Y104   $         16       1,325 SH   DEFINED              23        1,325    0         -
NAVIOS MARITIME HOLDINGS INC COMMON Y62196103   $         66       6,778 SH   DEFINED              23        6,778    0         -
OCEANFREIGHT INC             COMMON Y64202107   $        165       7,110 SH   DEFINED              23        7,110    0         -
OMEGA NAVIGATION ENT-CLASS A COMMON Y6476R105   $          2         105 SH   DEFINED              23          105    0         -
SEASPAN CORP                 COMMON Y75638109   $         48       2,000 SH   DEFINED              22          -      0       2,000
SEASPAN CORP                 COMMON Y75638109   $        224       9,314 SH   DEFINED              23        9,314    0         -
SEASPAN CORP                 COMMON Y75638109   $        336      14,000 SH   DEFINED               5          -      0      14,000
STEALTHGAS INC               COMMON Y81669106   $        205      14,561 SH   DEFINED              23       14,561    0         -
TEEKAY LNG PARTNERS LP       COMMON Y8564M105   $      2,080      78,984 SH   DEFINED               5       75,184    0       3,800
TEEKAY CORP                  COMMON Y8564W103   $      5,010     110,894 SH   DEFINED              23      110,894    0         -
TEEKAY CORP                  COMMON Y8564W103   $          4          95 SH   DEFINED              24           95    0         -
TEEKAY CORP                  COMMON Y8564W103   $        807      17,860 SH   DEFINED               5          -      0      17,860
TEEKAY OFFSHORE PARTNERS LP  COMMON Y8565J101   $        823      35,800 SH   DEFINED               5       30,000    0       5,800
TEEKAY TANKERS LTD-CLASS A   COMMON Y8565N102   $        132       5,690 SH   DEFINED               5          -      0       5,690
TOP SHIPS INC                COMMON Y8897Y305   $        139      15,622 SH   DEFINED              23       15,622    0         -
VERIGY LTD                   COMMON Y93691106   $      1,885      83,000 SH   DEFINED              14       16,500    0      66,200
VERIGY LTD                   COMMON Y93691106   $         50       2,186 SH   DEFINED              22          -      0       2,186
VERIGY LTD                   COMMON Y93691106   $      2,071      91,173 SH   DEFINED              23       91,173    0         -
VERIGY LTD                   COMMON Y93691106   $        217       9,550 SH   DEFINED               5        2,280    0       7,270
====================================================================================================================================
GRAND TOTAL (in thousands)                      $109,923,618
TOTAL COUNT                                     $     15,942