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

                                    Form 13F

                               Form 13F Cover Page

Report for Calendar Year or Quarter Ended: December 31, 2008

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

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

Institutional Investment Manager filing this report:

Name:    State Street Corporation
Address: One Lincoln Street
         Boston, Massachusetts 02111

Form 13F File Number: 28-00399

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

Person signing this report on behalf of the reporting manager:

Name:      James J. Malerba
Title      Executive Vice President and Corporate Controller
Telephone: 617-664-8697

Signature, Place, and Date of Signing:


/s/ JAMES J. MALERBA                 Boston, Massachusetts   February 10, 2009
----------------------------------   ---------------------   -----------------
[Signature]                              [City, State]             [Date]

Report Type (Check only one):

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

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

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




                              Form 13F SUMMARY PAGE

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

28-00096   Capital Guardian Trust Company
28-10372   Philadelphia International Advisors, L.P.
28-02924   Turner Investment Partners Inc. (Turner Investment Partners)
28-03570   AXA (Alliance Capital Management L.P.)
28-00115   T. Rowe Price Associates, Inc.
28-00694   JP Morgan Chase & Co (JP Morgan Fleming Asset Management Limited)
28-03459   Smith Asset Management Group L.P.
28-04557   Wellington Management Company LLP

Report Summary:

Number of Other Included Managers:               11
Form 13F Information Table Entry Total:       3,826
Form 13F Information Table Value Total: 387,495,943
                                         (thousands)

List of Other Included Managers:

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

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

No.   Form 13F File Number   Name
---   --------------------   ----------------------------------------------
1     28-00733               State Street Bank and Trust Company
2     28-11338               SSgA Funds Management, Inc.
3     28-11339               Tuckerman Group, LLC
4     28-11328               Rexiter Capital Management LTD
5     28-11326               State Street Global Advisors LTD
6     28-11327               State Street Global Advisors Ltd.
7     28-11329               State Street Banque, SA
8     28-11330               State Street Global Advisors, Australia
10    28-11332               State Street Global Advisors (Japan) Co., Ltd.
12    28-11331               State Street Global Advisors Asia LTD
13    28-11334               State Street Global Advisors GmbH




                         STATE STREET CORPORATION (STT)

               FORM 13F INFORMATION TABLE AS OF DECEMBER 31, 2008



                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
1ST SOURCE CORP      COM        33690110       9,048     382,883 SH         DEFINED  1,2                        382,883
3COM CORP            COM        88553510      25,292  11,093,032 SH         DEFINED  1,2,5                   11,093,032
3-D SYS CORP DEL     COM NEW    88554D20       2,026     255,190 SH         DEFINED  1,2,6                      255,190
3M CO                COM        88579Y10   3,237,315  56,261,994 SH         DEFINED  1,2,5,6,7,8,10,12,13    56,261,994
3PAR INC             COM        88580F10       3,124     409,417 SH         DEFINED  1,2,6                      409,417
4 KIDS ENTMT INC     COM        35086510          61      31,118 SH         DEFINED  1                           31,118
8X8 INC NEW          COM        28291410          20      41,863 SH         DEFINED  1                           41,863
99 CENTS ONLY STORES COM        65440K10      13,168   1,204,781 SH         DEFINED  1,2,5,6                  1,204,781
A C MOORE ARTS & CRA COM        00086T10          33      23,313 SH         DEFINED  1,2,5                       23,313
A D C TELECOMMUNICAT COM NEW    00088630      12,088   2,209,859 SH         DEFINED  1,2,5,7,10               2,209,859
A H BELO CORP        COM CL A   00128210         761     349,028 SH         DEFINED  1,2,5                      349,028
AAON INC             COM PAR $0 00036020       4,282     205,076 SH         DEFINED  1,2,6                      205,076
AAR CORP             COM        00036110      17,963     975,704 SH         DEFINED  1,2,5,6                    975,704
AARON RENTS INC      COM        00253520      54,705   2,055,018 SH         DEFINED  1,2,6                    2,055,018
AASTROM BIOSCIENCES  COM        00253U10          69     137,207 SH         DEFINED  1                          137,207
ABAXIS INC           COM        00256710       5,930     369,940 SH         DEFINED  1,2,6                      369,940
ABB LTD              SPONSORED  00037520         810      53,934 SH         DEFINED  1                           53,934
ABBOTT LABS          COM        00282410   2,990,920  56,041,229 SH         DEFINED  1,2,5,6,7,8,10,12,13    56,041,229
ABERCROMBIE & FITCH  CL A       00289620      74,715   3,238,637 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,238,637
ABINGTON BANCORP INC COM        00350L10       3,520     380,573 SH         DEFINED  1,2                        380,573
ABIOMED INC          COM        00365410       8,638     526,046 SH         DEFINED  1,2,6                      526,046
ABITIBIBOWATER INC   COM        00368710         400     850,053 SH         DEFINED  1,2,5                      850,053
ABM INDS INC         COM        00095710      22,158   1,163,138 SH         DEFINED  1,2,5                    1,163,138
ABRAXAS PETE CORP    COM        00383010         383     531,441 SH         DEFINED  1,2,5                      531,441
ABRAXIS BIOSCIENCE I COM        00383Y10       5,328      80,828 SH         DEFINED  1,2,5,6,10                  80,828
ACACIA RESH CORP     ACACIA TCH 00388130         105      34,633 SH         DEFINED  1,5                         34,633
ACADIA PHARMACEUTICA COM        00422510         520     577,418 SH         DEFINED  1,2,5                      577,418
ACADIA RLTY TR       COM SH BEN 00423910      17,669   1,238,205 SH         DEFINED  1,2,3,5                  1,238,205
ACCELRYS INC         COM        00430U10       1,250     286,704 SH         DEFINED  1,2,5                      286,704
ACCENTURE LTD BERMUD CL A       G1150G11     317,032   9,668,558 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,668,558
ACCESS INTEGRATED TE CL A       00432910          11      30,202 SH         DEFINED  1                           30,202
ACCO BRANDS CORP     COM        00081T10       3,107     900,644 SH         DEFINED  1,2,5                      900,644
ACCURAY INC          COM        00439710       2,607     505,149 SH         DEFINED  1,2,6                      505,149
ACE LTD              SHS        H0023R10     137,894   2,605,712 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,605,712
ACETO CORP           COM        00444610       3,613     360,983 SH         DEFINED  1,2                        360,983
ACI WORLDWIDE INC    COM        00449810      17,244   1,084,506 SH         DEFINED  1,2,6                    1,084,506
ACME PACKET INC      COM        00476410       2,238     425,442 SH         DEFINED  1,2,6                      425,442
ACORDA THERAPEUTICS  COM        00484M10      12,189     594,309 SH         DEFINED  1,2,6                      594,309
ACTEL CORP           COM        00493410       8,693     741,687 SH         DEFINED  1,2,6                      741,687
ACTIVE POWER INC     COM        00504W10          18      55,230 SH         DEFINED  1                           55,230
ACTIVIDENTITY CORP   COM        00506P10          81      45,355 SH         DEFINED  1                           45,355
ACTIVISION BLIZZARD  COM        00507V10     108,821  12,594,976 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,594,976
ACTUANT CORP         CL A NEW   00508X20      22,668   1,191,810 SH         DEFINED  1,2,6                    1,191,810
ACTUATE CORP         COM        00508B10       2,247     759,014 SH         DEFINED  1,2,5                      759,014
ACUITY BRANDS INC    COM        00508Y10      31,343     897,830 SH         DEFINED  1,2,5,6                    897,830
ACURA PHARMACEUTICAL COM NEW    00509L70         660      89,899 SH         DEFINED  1                           89,899
ACXIOM CORP          COM        00512510      21,964   2,708,316 SH         DEFINED  1,2,5                    2,708,316
ADAPTEC INC          COM        00651F10       9,000   2,727,231 SH         DEFINED  1,2,5                    2,727,231







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ADMINISTAFF INC      COM        00709410      10,558     487,015 SH         DEFINED  1,2,5,6                    487,015
ADOBE SYS INC        COM        00724F10     410,831  19,296,880 SH         DEFINED  1,2,5,6,7,8,10,12,13    19,296,880
ADOLOR CORP          COM        00724X10       1,072     645,520 SH         DEFINED  1,2,5                      645,520
ADTRAN INC           COM        00738A10      30,441   2,045,736 SH         DEFINED  1,2,5,6,7,8              2,045,736
ADVANCE AMER CASH AD COM        00739W10       2,024   1,070,776 SH         DEFINED  1,2                      1,070,776
ADVANCE AUTO PARTS I COM        00751Y10      96,427   2,865,575 SH         DEFINED  1,2,5,7,8,10,12,13       2,865,575
ADVANCED ANALOGIC TE COM        00752J10       2,051     679,187 SH         DEFINED  1,2,6                      679,187
ADVANCED BATTERY TEC COM        00752H10       1,537     577,786 SH         DEFINED  1,2                        577,786
ADVANCED ENERGY INDS COM        00797310       6,055     608,592 SH         DEFINED  1,2,6                      608,592
ADVANCED MEDICAL OPT COM        00763M10       6,367     963,279 SH         DEFINED  1,2,5,10                   963,279
ADVANCED MICRO DEVIC NOTE  6.00 007903AL         185     650,000 SH         DEFINED  1                          650,000
ADVANCED MICRO DEVIC COM        00790310      46,541  21,546,650 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,546,650
ADVANCED SEMICONDUCT SPONSORED  00756M40       2,444   1,388,835 SH         DEFINED  1,4,5,6                  1,388,835
ADVANTA CORP         CL B       00794220       1,337     639,633 SH         DEFINED  1,2                        639,633
ADVANTEST CORP       SPON ADR N 00762U20         171      10,445 SH         DEFINED  1                           10,445
ADVENT SOFTWARE INC  COM        00797410       8,643     432,824 SH         DEFINED  1,2,5,6                    432,824
ADVENTRX PHARMACEUTI COM        00764X10           5      63,059 SH         DEFINED  1                           63,059
ADVISORY BRD CO      COM        00762W10       6,050     271,285 SH         DEFINED  1,2,6                      271,285
AECOM TECHNOLOGY COR COM        00766T10      31,514   1,025,520 SH         DEFINED  1,2,5,6,7,10             1,025,520
AEGON N V            NY REGISTR 00792410         589      97,275 SH         DEFINED  1,2                         97,275
AEP INDS INC         COM        00103110       1,495      85,020 SH         DEFINED  1,2                         85,020
AERCAP HOLDINGS NV   SHS        N0098510          39      13,101 SH         DEFINED  1                           13,101
AEROPOSTALE          COM        00786510      44,292   2,751,036 SH         DEFINED  1,2,5,6,10               2,751,036
AEROVIRONMENT INC    COM        00807310       5,607     152,319 SH         DEFINED  1,2,6                      152,319
AES CORP             COM        00130H10     274,645  33,330,668 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,330,668
AETNA INC NEW        COM        00817Y10     837,570  29,388,404 SH         DEFINED  1,2,5,6,7,8,10,12,13    29,388,404
AFC ENTERPRISES INC  COM        00104Q10       2,539     541,277 SH         DEFINED  1,2,6                      541,277
AFFILIATED COMPUTER  CL A       00819010     201,026   4,374,880 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,374,880
AFFILIATED MANAGERS  COM        00825210      34,708     827,961 SH         DEFINED  1,2,5,6,7,10               827,961
AFFYMAX INC          COM        00826A10       1,539     154,049 SH         DEFINED  1,2,6                      154,049
AFFYMETRIX INC       COM        00826T10       6,276   2,099,155 SH         DEFINED  1,2,5,6,8                2,099,155
AFLAC INC            COM        00105510     926,592  20,213,610 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,213,610
AGCO CORP            COM        00108410      54,517   2,311,004 SH         DEFINED  1,2,5,7,8,10,12,13       2,311,004
AGFEED INDUSTRIES IN COM        00846L10         388     240,877 SH         DEFINED  1                          240,877
AGILENT TECHNOLOGIES COM        00846U10     194,194  12,424,436 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,424,436
AGILYSYS INC         COM        00847J10       2,371     552,567 SH         DEFINED  1,2                        552,567
AGL RES INC          COM        00120410      44,855   1,430,787 SH         DEFINED  1,2,5,10                 1,430,787
AGREE REALTY CORP    COM        00849210       2,873     158,482 SH         DEFINED  1,2,3                      158,482
AIR METHODS CORP     COM PAR $. 00912830       2,704     169,127 SH         DEFINED  1,2,6                      169,127
AIR PRODS & CHEMS IN COM        00915810     426,541   8,484,993 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,484,993
AIR TRANSPORT SERVIC COM        00922R10           7      38,633 SH         DEFINED  1,2                         38,633
AIRCASTLE LTD        COM        G0129K10       3,173     663,709 SH         DEFINED  1,2                        663,709
AIRGAS INC           COM        00936310      55,946   1,434,868 SH         DEFINED  1,2,5,7,10               1,434,868
AIRSPAN NETWORKS INC COM        00950H10           2      17,069 SH         DEFINED  1                           17,069
AIRTRAN HLDGS INC    COM        00949P10      11,737   2,643,358 SH         DEFINED  1,2,6                    2,643,358
AIRVANA INC          COM        00950V10       1,914     312,677 SH         DEFINED  1,2,6                      312,677
AK STL HLDG CORP     COM        00154710      49,706   5,333,307 SH         DEFINED  1,2,5,6,7,8,10,13        5,333,307
AKAMAI TECHNOLOGIES  COM        00971T10      87,761   5,815,842 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,815,842







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
AKEENA SOLAR INC DE  COM        00972010         415     241,451 SH         DEFINED  1                          241,451
AKORN INC            COM        00972810       1,788     777,306 SH         DEFINED  1,2,5,6                    777,306
ALADDIN KNOWLEDGE SY ORD        M0392N10         114      18,572 SH         DEFINED  1,2                         18,572
ALAMO GROUP INC      COM        01131110       1,285      85,969 SH         DEFINED  1,2                         85,969
ALASKA AIR GROUP INC COM        01165910      43,691   1,493,707 SH         DEFINED  1,2,6                    1,493,707
ALASKA COMMUNICATION COM        01167P10       7,057     752,387 SH         DEFINED  1,2                        752,387
ALBANY INTL CORP     CL A       01234810       7,205     561,168 SH         DEFINED  1,2                        561,168
ALBANY MOLECULAR RES COM        01242310       7,712     791,741 SH         DEFINED  1,2,5,6                    791,741
ALBEMARLE CORP       COM        01265310      39,952   1,791,550 SH         DEFINED  1,2,5,10                 1,791,550
ALBERTO CULVER CO NE COM        01307810      48,549   1,980,795 SH         DEFINED  1,2,5,6,7,8,10,12        1,980,795
ALCATEL-LUCENT       SPONSORED  01390430         708     329,444 SH         DEFINED  1,5,8,12                   329,444
ALCOA INC            COM        01381710     460,865  40,929,410 SH         DEFINED  1,2,5,6,7,8,10,12,13    40,929,410
ALCON INC            COM SHS    H0130110       9,292     104,181 SH         DEFINED  1,2,5,8,12                 104,181
ALESCO FINL INC      COM        01448510          20      45,924 SH         DEFINED  1                           45,924
ALEXANDER & BALDWIN  COM        01448210      17,934     715,646 SH         DEFINED  1,2,5,10                   715,646
ALEXANDERS INC       COM        01475210      21,863      85,770 SH         DEFINED  1,2,3,5,6                   85,770
ALEXANDRIA REAL ESTA COM        01527110      69,701   1,155,136 SH         DEFINED  1,2,3,5,10               1,155,136
ALEXION PHARMACEUTIC COM        01535110      85,860   2,372,491 SH         DEFINED  1,2,5,7,8                2,372,491
ALEXZA PHARMACEUTICA COM        01538410         876     276,435 SH         DEFINED  1                          276,435
ALFACELL CORP        COM        01540410           9      38,756 SH         DEFINED  1,2                         38,756
ALICO INC            COM        01623010       2,368      57,779 SH         DEFINED  1,2                         57,779
ALIGN TECHNOLOGY INC COM        01625510       9,797   1,119,615 SH         DEFINED  1,2,5,6                  1,119,615
ALKERMES INC         COM        01642T10      18,971   1,781,312 SH         DEFINED  1,2,5,6                  1,781,312
ALLEGHANY CORP DEL   COM        01717510      15,874      56,292 SH         DEFINED  1,2,5,8,10                  56,292
ALLEGHENY ENERGY INC COM        01736110     219,797   6,491,351 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,491,351
ALLEGHENY TECHNOLOGI COM        01741R10     112,626   4,411,532 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,411,532
ALLEGIANT TRAVEL CO  COM        01748X10      10,761     221,553 SH         DEFINED  1,2,6                      221,553
ALLERGAN INC         COM        01849010     440,355  10,921,507 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,921,507
ALLETE INC           COM NEW    01852230      20,661     640,244 SH         DEFINED  1,2,5                      640,244
ALLIANCE DATA SYSTEM COM        01858110     151,442   3,254,707 SH         DEFINED  1,2,5,7,8,10,12,13       3,254,707
ALLIANCE FIBER OPTIC COM        01868010           7      10,771 SH         DEFINED  1                           10,771
ALLIANCE IMAGING INC COM NEW    01860620       5,987     751,209 SH         DEFINED  1,2,6                      751,209
ALLIANCE ONE INTL IN COM        01877210       5,706   1,940,789 SH         DEFINED  1,2,5,6                  1,940,789
ALLIANCE RES PARTNER UT LTD PAR 01877R10         832      30,953 SH         DEFINED  1,2                         30,953
ALLIANCEBERNSTEIN HO UNIT LTD P 01881G10       2,891     139,044 SH         DEFINED  1,2                        139,044
ALLIANT ENERGY CORP  COM        01880210      84,365   2,891,186 SH         DEFINED  1,2,5,7,8,10,12,13       2,891,186
ALLIANT TECHSYSTEMS  COM        01880410      63,678     742,518 SH         DEFINED  1,2,5,8,10,12              742,518
ALLIANZ SE           SP ADR 1/1 01880510       1,837     169,582 SH         DEFINED  1,2                        169,582
ALLIED CAP CORP NEW  COM        01903Q10       7,362   2,736,930 SH         DEFINED  1,2,5,7,8,10,12          2,736,930
ALLIED HEALTHCARE IN COM        01923A10          30      27,326 SH         DEFINED  1                           27,326
ALLIED IRISH BKS P L SPON ADR O 01922840         189      40,387 SH         DEFINED  1                           40,387
ALLIED NEVADA GOLD C COM        01934410       3,056     603,900 SH         DEFINED  1,2                        603,900
ALLIED WRLD ASSUR CO SHS        G0219G20      21,317     525,061 SH         DEFINED  1,2,5,7,10                 525,061
ALLION HEALTHCARE IN COM        01961510         158      38,445 SH         DEFINED  1,5                         38,445
ALLIS CHALMERS ENERG COM PAR $. 01964550       2,417     439,544 SH         DEFINED  1,2,5                      439,544
ALLOS THERAPEUTICS I COM        01977710       5,483     895,889 SH         DEFINED  1,2,5,6                    895,889
ALLOY INC            NEW COM    01985530          61      14,486 SH         DEFINED  1                           14,486
ALLSCRIPT MISYS HEAL COM        01988P10      19,530   1,968,797 SH         DEFINED  1,2,6                    1,968,797







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ALLSTATE CORP        COM        02000210     766,450  23,395,911 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,395,911
ALMOST FAMILY INC    COM        02040910       4,042      89,864 SH         DEFINED  1,2,6                       89,864
ALNYLAM PHARMACEUTIC COM        02043Q10      18,834     761,582 SH         DEFINED  1,2,5,6                    761,582
ALON USA ENERGY INC  COM        02052010       1,858     203,046 SH         DEFINED  1,2,6                      203,046
ALPHA NATURAL RESOUR COM        02076X10      23,420   1,446,543 SH         DEFINED  1,2,5,7,8,10,12,13       1,446,543
ALPHATEC HOLDINGS IN COM        02081G10         586     249,285 SH         DEFINED  1                          249,285
ALTAIR NANOTECHNOLOG COM        02137310         133     109,119 SH         DEFINED  1,5                        109,119
ALTERA CORP          COM        02144110     189,676  11,351,024 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,351,024
ALTRA HOLDINGS INC   COM        02208R10       4,172     527,478 SH         DEFINED  1,2                        527,478
ALTRIA GROUP INC     COM        02209S10   1,410,245  93,641,742 SH         DEFINED  1,2,5,6,7,8,10,12,13    93,641,742
ALTUS PHARMACEUTICAL COM        02216N10          12      22,260 SH         DEFINED  1                           22,260
ALUMINA LTD          SPONSORED  02220510         161      37,582 SH         DEFINED  1                           37,582
AMAG PHARMACEUTICALS COM        00163U10      10,216     284,955 SH         DEFINED  1,2,5,6                    284,955
AMAZON COM INC       COM        02313510     569,966  11,114,787 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,114,787
AMB PROPERTY CORP    COM        00163T10      86,652   3,699,896 SH         DEFINED  1,2,3,5,7,8,10,12,13     3,699,896
AMBAC FINL GROUP INC COM        02313910       7,049   5,422,252 SH         DEFINED  1,2,5                    5,422,252
AMBASSADORS GROUP IN COM        02317710       2,717     295,357 SH         DEFINED  1,2,6                      295,357
AMCOL INTL CORP      COM        02341W10       9,256     441,812 SH         DEFINED  1,2,6                      441,812
AMCORE FINL INC      COM        02391210       1,318     364,102 SH         DEFINED  1,2,5                      364,102
AMDOCS LTD           ORD        G0260210      28,123   1,537,593 SH         DEFINED  1,5,8,10,12              1,537,593
AMEDISYS INC         COM        02343610      22,749     550,283 SH         DEFINED  1,2,6                      550,283
AMERCO               COM        02358610       6,750     195,490 SH         DEFINED  1,2,6                      195,490
AMEREN CORP          COM        02360810     273,777   8,231,424 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,231,424
AMERICA MOVIL SAB DE SPON ADR L 02364W10      91,072   2,938,770 SH         DEFINED  1,2,4,5,7,8              2,938,770
AMERICA SVC GROUP IN COM        02364L10         146      13,673 SH         DEFINED  1,5                         13,673
AMERICAN APPAREL INC COM        02385010         838     420,897 SH         DEFINED  1,2,6                      420,897
AMERICAN AXLE & MFG  COM        02406110       2,663     921,315 SH         DEFINED  1,2,5                      921,315
AMERICAN CAMPUS CMNT COM        02483510      28,829   1,407,688 SH         DEFINED  1,2,3                    1,407,688
AMERICAN CAP LTD     COM        02503Y10      29,522   9,111,661 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,111,661
AMERICAN CAPITAL AGE COM        02503X10       3,210     150,295 SH         DEFINED  1,2                        150,295
AMERICAN COMMERCIAL  COM NEW    02519520       3,382     690,175 SH         DEFINED  1,2,6                      690,175
AMERICAN DAIRY INC   COM        02533410       1,370      91,075 SH         DEFINED  1,2                         91,075
AMERICAN EAGLE OUTFI COM        02553E10      43,469   4,644,072 SH         DEFINED  1,2,5,7,8,10,12,13       4,644,072
AMERICAN ECOLOGY COR COM NEW    02553340       5,324     263,185 SH         DEFINED  1,2,6                      263,185
AMERICAN ELEC PWR IN COM        02553710     552,515  16,602,005 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,602,005
AMERICAN EQTY INVT L COM        02567620       9,334   1,333,450 SH         DEFINED  1,2                      1,333,450
AMERICAN EXPRESS CO  COM        02581610   1,057,821  57,025,398 SH         DEFINED  1,2,5,6,7,8,10,12,13    57,025,398
AMERICAN FINL GROUP  COM        02593210      41,268   1,803,678 SH         DEFINED  1,2,5,7,8,10             1,803,678
AMERICAN GREETINGS C CL A       02637510      11,957   1,579,477 SH         DEFINED  1,2,5                    1,579,477
AMERICAN INTL GROUP  COM        02687410     169,806 108,156,537 SH         DEFINED  1,2,5,6,7,8,10,12,13   108,156,537
AMERICAN INTL GROUP  UNIT 99/99 02687411         113      13,350 SH         DEFINED  1                           13,350
AMERICAN ITALIAN PAS CL A       02707010         571      25,553 SH         DEFINED  1,2                         25,553
AMERICAN LD LEASE IN COM        02711810         328      23,745 SH         DEFINED  1,2,3,5                     23,745
AMERICAN MED SYS HLD COM        02744M10      13,285   1,477,723 SH         DEFINED  1,2,6                    1,477,723
AMERICAN NATL INS CO COM        02859110      12,287     166,655 SH         DEFINED  1,2,5,10                   166,655
AMERICAN OIL & GAS I COM        02872310         406     507,368 SH         DEFINED  1                          507,368
AMERICAN ORIENTAL BI COM        02873110       6,965   1,025,743 SH         DEFINED  1,2,6                    1,025,743
AMERICAN PHYSICIANS  COM        02888410      11,510     239,286 SH         DEFINED  1,2                        239,286







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
AMERICAN PUBLIC EDUC COM        02913V10       6,294     169,250 SH         DEFINED  1,2,6                      169,250
AMERICAN RAILCAR IND COM        02916P10       1,597     151,645 SH         DEFINED  1,2,6                      151,645
AMERICAN REPROGRAPHI COM        02926310       4,288     621,443 SH         DEFINED  1,2,6                      621,443
AMERICAN SAFETY INS  ORD        G0299510       1,463     110,782 SH         DEFINED  1                          110,782
AMERICAN SCIENCE & E COM        02942910      11,142     150,651 SH         DEFINED  1,2,6                      150,651
AMERICAN SOFTWARE IN CL A       02968310       1,260     268,080 SH         DEFINED  1                          268,080
AMERICAN STS WTR CO  COM        02989910      10,607     321,621 SH         DEFINED  1,2                        321,621
AMERICAN SUPERCONDUC COM        03011110      10,736     658,229 SH         DEFINED  1,2,5,6                    658,229
AMERICAN TECHNOLOGY  COM NEW    03014520          18      32,197 SH         DEFINED  1,2                         32,197
AMERICAN TOWER CORP  CL A       02991220     409,188  13,955,934 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,955,934
AMERICAN VANGUARD CO COM        03037110       3,133     267,800 SH         DEFINED  1,2,6                      267,800
AMERICAN WOODMARK CO COM        03050610       5,338     292,818 SH         DEFINED  1,2                        292,818
AMERICAN WTR WKS CO  COM        03042010      12,674     607,002 SH         DEFINED  1,2,5,7,8,10               607,002
AMERICANWEST BANCORP COM        03058P10          12      16,068 SH         DEFINED  1                           16,068
AMERICAS CAR MART IN COM        03062T10       1,951     141,264 SH         DEFINED  1,2,5                      141,264
AMERICREDIT CORP     COM        03060R10      17,513   2,292,236 SH         DEFINED  1,2,5,6,10               2,292,236
AMERIGAS PARTNERS L  UNIT L P I 03097510       1,235      43,887 SH         DEFINED  1,2                         43,887
AMERIGON INC         COM        03070L30       1,023     313,818 SH         DEFINED  1,5                        313,818
AMERIGROUP CORP      COM        03073T10      38,057   1,289,194 SH         DEFINED  1,2,5                    1,289,194
AMERIPRISE FINL INC  COM        03076C10     241,868  10,353,935 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,353,935
AMERIS BANCORP       COM        03076K10       3,348     282,542 SH         DEFINED  1,2                        282,542
AMERISAFE INC        COM        03071H10       8,309     404,729 SH         DEFINED  1,2                        404,729
AMERISERV FINL INC   COM        03074A10          20      10,294 SH         DEFINED  1                           10,294
AMERISOURCEBERGEN CO COM        03073E10     215,034   6,030,120 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,030,120
AMERISTAR CASINOS IN COM        03070Q10       3,696     427,737 SH         DEFINED  1,2,5                      427,737
AMERITYRE CORP       COM        03073V10           3      12,400 SH         DEFINED  1                           12,400
AMERON INTL INC      COM        03071010       9,323     148,178 SH         DEFINED  1,2                        148,178
AMES NATL CORP       COM        03100110       1,966      74,090 SH         DEFINED  1,2                         74,090
AMETEK INC NEW       COM        03110010      69,929   2,314,773 SH         DEFINED  1,2,5,7,8,10,12,13       2,314,773
AMGEN INC            NOTE  0.12 031162AN         961   1,000,000 SH         DEFINED  1                        1,000,000
AMGEN INC            COM        03116210   2,353,377  40,751,113 SH         DEFINED  1,2,5,6,7,8,10,12,13    40,751,113
AMICAS INC           COM        00171210          76      45,523 SH         DEFINED  1                           45,523
AMICUS THERAPEUTICS  COM        03152W10       1,539     192,853 SH         DEFINED  1,2                        192,853
AMKOR TECHNOLOGY INC COM        03165210       5,804   2,662,324 SH         DEFINED  1,2,5,6,8                2,662,324
AMN HEALTHCARE SERVI COM        00174410       6,373     753,342 SH         DEFINED  1,2,6                      753,342
AMPAL AMERN ISRAEL C CL A       03201510         153     264,465 SH         DEFINED  1                          264,465
AMPCO-PITTSBURGH COR COM        03203710       4,133     190,479 SH         DEFINED  1,2,6                      190,479
AMPHENOL CORP NEW    CL A       03209510     145,877   6,083,290 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,083,290
AMR CORP             COM        00176510      40,166   3,764,415 SH         DEFINED  1,2,5,7,8,10             3,764,415
AMREP CORP NEW       COM        03215910         913      29,199 SH         DEFINED  1                           29,199
AMSURG CORP          COM        03232P40      14,762     632,464 SH         DEFINED  1,2                        632,464
AMTRUST FINANCIAL SE COM        03235930       6,605     569,375 SH         DEFINED  1,2,6                      569,375
AMYLIN PHARMACEUTICA COM        03234610      41,042   3,782,655 SH         DEFINED  1,2,5,7,8,10,12,13       3,782,655
ANADARKO PETE CORP   COM        03251110     725,716  18,825,309 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,825,309
ANADIGICS INC        COM        03251510       1,380     932,322 SH         DEFINED  1,2,5,6                    932,322
ANADYS PHARMACEUTICA COM        03252Q40          47      29,829 SH         DEFINED  1                           29,829
ANALOG DEVICES INC   COM        03265410     211,847  11,138,125 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,138,125
ANALOGIC CORP        COM PAR $0 03265720       6,431     235,755 SH         DEFINED  1,2                        235,755







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ANALYSTS INTL CORP   COM        03268110          10      17,048 SH         DEFINED  1                           17,048
ANAREN INC           COM        03274410       3,177     265,845 SH         DEFINED  1,2                        265,845
ANCHOR BANCORP WIS I COM        03283910       1,155     418,546 SH         DEFINED  1,2                        418,546
ANDERSONS INC        COM        03416410       5,120     310,656 SH         DEFINED  1,2                        310,656
ANESIVA INC COM      COM        03460L10           4      10,685 SH         DEFINED  1                           10,685
ANGIODYNAMICS INC    COM        03475V10       6,143     448,738 SH         DEFINED  1,2,6                      448,738
ANIKA THERAPEUTICS I COM        03525510          34      11,120 SH         DEFINED  1,5                         11,120
ANIMAL HEALTH INTL I COM        03525N10          29      13,800 SH         DEFINED  1                           13,800
ANIXTER INTL INC     COM        03529010      18,090     600,589 SH         DEFINED  1,2,5,6                    600,589
ANNALY CAP MGMT INC  COM        03571040     184,038  11,596,603 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,596,603
ANNTAYLOR STORES COR COM        03611510       8,599   1,490,261 SH         DEFINED  1,2,5,6,7,10             1,490,261
ANSYS INC            COM        03662Q10      50,517   1,811,308 SH         DEFINED  1,2,5,6,7,8,10           1,811,308
ANTHRACITE CAP INC   COM        03702310       3,012   1,350,660 SH         DEFINED  1,2                      1,350,660
ANTIGENICS INC DEL   COM        03703210          12      24,522 SH         DEFINED  1                           24,522
ANWORTH MORTGAGE ASS COM        03734710      12,252   1,905,481 SH         DEFINED  1,2                      1,905,481
AON CORP             COM        03738910     798,662  17,483,844 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,483,844
APAC CUSTOMER SERVIC COM        00185E10          16      13,595 SH         DEFINED  1                           13,595
APACHE CORP          COM        03741110   1,057,317  14,186,465 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,186,465
APARTMENT INVT & MGM CL A       03748R10      78,177   6,768,571 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   6,768,571
APCO ARGENTINA INC C ORD        03748910       1,944      72,982 SH         DEFINED  1,2,6                       72,982
APEX SILVER MINES LT ORD        G0407410         751     766,807 SH         DEFINED  1,2,5,6                    766,807
APOGEE ENTERPRISES I COM        03759810      12,468   1,203,428 SH         DEFINED  1,2                      1,203,428
APOLLO GROUP INC     CL A       03760410     364,569   4,758,138 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,758,138
APOLLO INVT CORP     COM        03761U10      32,927   3,536,747 SH         DEFINED  1,2,5                    3,536,747
APPLE INC            COM        03783310   2,719,721  31,865,510 SH         DEFINED  1,2,5,6,7,8,10,12,13    31,865,510
APPLIED ENERGETICS I COM        03819M10          15      46,638 SH         DEFINED  1                           46,638
APPLIED INDL TECHNOL COM        03820C10      21,864   1,155,615 SH         DEFINED  1,2,6                    1,155,615
APPLIED MATLS INC    COM        03822210     488,566  48,229,635 SH         DEFINED  1,2,5,6,7,8,10,12,13    48,229,635
APPLIED MICRO CIRCUI COM NEW    03822W40       5,401   1,374,309 SH         DEFINED  1,2,5,6                  1,374,309
APPLIED SIGNAL TECHN COM        03823710       5,241     292,147 SH         DEFINED  1,2                        292,147
APPROACH RESOURCES I COM        03834A10         919     125,779 SH         DEFINED  1,2,6                      125,779
APTARGROUP INC       COM        03833610      44,064   1,250,390 SH         DEFINED  1,2,5,10                 1,250,390
AQUA AMERICA INC     COM        03836W10      59,628   2,895,952 SH         DEFINED  1,2,5,7,8,10,12,13       2,895,952
ARACRUZ CELULOSE S A SPON ADR P 03849620         402      35,628 SH         DEFINED  1,2                         35,628
ARBITRON INC         COM        03875Q10       6,671     502,344 SH         DEFINED  1,2,5,6                    502,344
ARBOR RLTY TR INC    COM        03892310         812     275,373 SH         DEFINED  1,2                        275,373
ARCH CAP GROUP LTD   ORD        G0450A10     108,130   1,542,504 SH         DEFINED  1,2,5,7,8,10,12,13       1,542,504
ARCH CHEMICALS INC   COM        03937R10      13,207     506,585 SH         DEFINED  1,2                        506,585
ARCH COAL INC        COM        03938010      58,752   3,606,613 SH         DEFINED  1,2,5,7,8,10,12,13       3,606,613
ARCHER DANIELS MIDLA NOTE  0.87 039483AW         488     500,000 SH         DEFINED  1                          500,000
ARCHER DANIELS MIDLA COM        03948310     703,882  24,414,903 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,414,903
ARCSIGHT INC         COM        03966610         800      99,896 SH         DEFINED  1,6                         99,896
ARCTIC CAT INC       COM        03967010         289      60,298 SH         DEFINED  1                           60,298
ARDEA BIOSCIENCES IN COM        03969P10       1,832     153,035 SH         DEFINED  1,2                        153,035
ARDEN GROUP INC      CL A       03976210       2,865      22,735 SH         DEFINED  1,2                         22,735
ARENA PHARMACEUTICAL COM        04004710       5,570   1,335,829 SH         DEFINED  1,2,5,6,8                1,335,829
ARENA RESOURCES INC  COM        04004910      20,924     744,901 SH         DEFINED  1,2,5,6                    744,901
ARES CAP CORP        COM        04010L10       9,973   1,575,481 SH         DEFINED  1,2                      1,575,481







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ARGO GROUP INTL HLDG COM        G0464B10      16,359     482,292 SH         DEFINED  1,2,5,6                    482,292
ARGON ST INC         COM        04014910       4,777     253,304 SH         DEFINED  1,2                        253,304
ARIAD PHARMACEUTICAL COM        04033A10         863   1,015,846 SH         DEFINED  1,2,5                    1,015,846
ARIBA INC            COM NEW    04033V20      10,911   1,513,358 SH         DEFINED  1,2,5,6                  1,513,358
ARKANSAS BEST CORP D COM        04079010      18,305     607,932 SH         DEFINED  1,2                        607,932
ARM HLDGS PLC        SPONSORED  04206810          99      25,724 SH         DEFINED  1                           25,724
ARMSTRONG WORLD INDS COM        04247X10       9,153     423,379 SH         DEFINED  1,2,7,8,10                 423,379
ARQULE INC           COM        04269E10       2,706     641,234 SH         DEFINED  1,2                        641,234
ARRAY BIOPHARMA INC  COM        04269X10       2,743     677,284 SH         DEFINED  1,2,5,6                    677,284
ARRIS GROUP INC      COM        04269Q10      24,817   3,121,692 SH         DEFINED  1,2,5,6,8                3,121,692
ARROW ELECTRS INC    COM        04273510      83,384   4,425,912 SH         DEFINED  1,2,5,7,8,10,12,13       4,425,912
ARROW FINL CORP      COM        04274410       4,327     172,133 SH         DEFINED  1,2,5                      172,133
ARROWHEAD RESH CORP  COM        04279710          24      25,610 SH         DEFINED  1,5                         25,610
ART TECHNOLOGY GROUP COM        04289L10       3,893   2,017,188 SH         DEFINED  1,2,5,6                  2,017,188
ARTESIAN RESOURCES C CL A       04311320         230      14,463 SH         DEFINED  1,2                         14,463
ARTHROCARE CORP      COM        04313610       2,282     478,308 SH         DEFINED  1,2,6                      478,308
ARUBA NETWORKS INC   COM        04317610       1,837     720,351 SH         DEFINED  1,2,6                      720,351
ARVINMERITOR INC     COM        04335310       5,751   2,017,817 SH         DEFINED  1,2,5                    2,017,817
ASBURY AUTOMOTIVE GR COM        04343610       2,887     631,825 SH         DEFINED  1,2,5                      631,825
ASCENT MEDIA CORP    COM SER A  04363210       2,989     136,861 SH         DEFINED  1,2,5,6,7,10               136,861
ASCENT SOLAR TECHNOL COM        04363510         234      62,267 SH         DEFINED  1                           62,267
ASHFORD HOSPITALITY  COM SHS    04410310       4,112   3,575,588 SH         DEFINED  1,2,3                    3,575,588
ASHLAND INC NEW      COM        04420910      14,696   1,398,332 SH         DEFINED  1,2,5,8,10,12            1,398,332
ASIAINFO HLDGS INC   COM        04518A10       6,646     561,349 SH         DEFINED  1,2,6                      561,349
ASML HOLDING N V     NY REG SHS N0705918         825      45,660 SH         DEFINED  1                           45,660
ASPECT MED SYS INC   COM        04523510          85      25,067 SH         DEFINED  1                           25,067
ASPEN INSURANCE HOLD SHS        G0538410      65,455   2,699,158 SH         DEFINED  1,2,5,7,8                2,699,158
ASPENBIO PHARMA INC  COM        04534610          91      14,678 SH         DEFINED  1                           14,678
ASSET ACCEP CAP CORP COM        04543P10       1,135     222,079 SH         DEFINED  1,2                        222,079
ASSISTED LIVING CONC CL A       04544X10       3,640     877,228 SH         DEFINED  1,2,5,6                    877,228
ASSOCIATED BANC CORP COM        04548710      89,468   4,274,640 SH         DEFINED  1,2,5,7,8,10,12,13       4,274,640
ASSOCIATED ESTATES R COM        04560410       6,825     747,533 SH         DEFINED  1,2,3,5                    747,533
ASSURANT INC         COM        04621X10     179,650   5,988,331 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,988,331
ASSURED GUARANTY LTD COM        G0585R10      11,756   1,031,190 SH         DEFINED  1,2                      1,031,190
ASTEC INDS INC       COM        04622410       9,874     315,167 SH         DEFINED  1,2,5,6                    315,167
ASTORIA FINL CORP    COM        04626510      26,839   1,628,567 SH         DEFINED  1,2,5,8,10,12            1,628,567
ASTRAZENECA PLC      SPONSORED  04635310      30,692     748,028 SH         DEFINED  1,5                        748,028
ASYST TECHNOLOGY COR COM        04648X10         189     757,696 SH         DEFINED  1,5                        757,696
AT&T INC             COM        00206R10   6,347,366 222,714,587 SH         DEFINED  1,2,5,6,7,8,10,12,13   222,714,587
ATC TECHNOLOGY CORP  COM        00211W10       8,433     576,399 SH         DEFINED  1,2,5,6                    576,399
ATHENAHEALTH INC     COM        04685W10      11,602     308,413 SH         DEFINED  1,2,6                      308,413
ATHEROS COMMUNICATIO COM        04743P10      14,722   1,028,806 SH         DEFINED  1,2,5,6                  1,028,806
ATLANTIC TELE NETWOR COM NEW    04907920       4,210     158,574 SH         DEFINED  1,2                        158,574
ATLAS AIR WORLDWIDE  COM NEW    04916420       4,266     225,697 SH         DEFINED  1,2,6                      225,697
ATLAS AMER INC       COM        04916710       9,366     630,683 SH         DEFINED  1,2,5,6                    630,683
ATLAS ENERGY RESOURC COM        04930310         601      47,085 SH         DEFINED  1,2                         47,085
ATLAS PIPELINE PARTN UNIT L P I 04939210         315      52,568 SH         DEFINED  1,2                         52,568
ATMEL CORP           COM        04951310      25,334   8,093,827 SH         DEFINED  1,2,5,6,10               8,093,827







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ATMI INC             COM        00207R10      10,467     678,361 SH         DEFINED  1,2,5,6                    678,361
ATMOS ENERGY CORP    COM        04956010      31,379   1,324,019 SH         DEFINED  1,2,5,10                 1,324,019
ATP OIL & GAS CORP   COM        00208J10       4,041     690,778 SH         DEFINED  1,2,5,6                    690,778
ATRION CORP          COM        04990410       1,911      19,679 SH         DEFINED  1,2                         19,679
ATS MED INC          COM        00208310         109      39,307 SH         DEFINED  1                           39,307
ATWOOD OCEANICS INC  COM        05009510      11,108     726,965 SH         DEFINED  1,2,5,6,10                 726,965
AU OPTRONICS CORP    SPONSORED  00225510       1,757     228,768 SH         DEFINED  1,6                        228,768
AUDIOCODES LTD       ORD        M1534210          22      12,365 SH         DEFINED  1,2                         12,365
AUDIOVOX CORP        CL A       05075710       1,607     320,660 SH         DEFINED  1,2,5                      320,660
AURORA OIL & GAS COR COM        05203610           4      63,581 SH         DEFINED  1                           63,581
AUTHENTEC INC        COM        05266010         612     366,184 SH         DEFINED  1                          366,184
AUTHENTIDATE HLDG CO COM        05266610          10      38,000 SH         DEFINED  1,2                         38,000
AUTOBYTEL INC        COM        05275N10          23      50,400 SH         DEFINED  1                           50,400
AUTODESK INC         COM        05276910     155,640   7,920,621 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,920,621
AUTOLIV INC          COM        05280010      19,398     903,933 SH         DEFINED  1,2,5,8,10,12              903,933
AUTOMATIC DATA PROCE COM        05301510     728,831  18,526,467 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,526,467
AUTONATION INC       COM        05329W10      42,490   4,300,568 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,300,568
AUTOZONE INC         COM        05333210     290,038   2,079,573 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,079,573
AUXILIUM PHARMACEUTI COM        05334D10      21,858     768,560 SH         DEFINED  1,2,5,6                    768,560
AVALONBAY CMNTYS INC COM        05348410     259,695   4,286,810 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   4,286,810
AVANEX CORP          COM NEW    05348W30         231     220,102 SH         DEFINED  1                          220,102
AVANIR PHARMACEUTICA CL A NEW   05348P40          12      28,103 SH         DEFINED  1                           28,103
AVATAR HLDGS INC     COM        05349410       3,181     119,964 SH         DEFINED  1,2,5                      119,964
AVENTINE RENEWABLE E COM        05356X40         307     472,237 SH         DEFINED  1,2                        472,237
AVERY DENNISON CORP  COM        05361110     160,470   4,902,850 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,902,850
AVI BIOPHARMA INC    COM        00234610          43      65,710 SH         DEFINED  1,2,5                       65,710
AVID TECHNOLOGY INC  COM        05367P10       6,182     566,622 SH         DEFINED  1,2,5                      566,622
AVIGEN INC           COM        05369010          20      26,202 SH         DEFINED  1,5                         26,202
AVIS BUDGET GROUP    COM        05377410       1,408   2,011,030 SH         DEFINED  1,2,5,7,8,10             2,011,030
AVISTA CORP          COM        05379B10      29,966   1,546,216 SH         DEFINED  1,2,5                    1,546,216
AVNET INC            COM        05380710      70,559   3,874,721 SH         DEFINED  1,2,5,7,8,10,12,13       3,874,721
AVOCENT CORP         COM        05389310      32,680   1,824,682 SH         DEFINED  1,2,5,7                  1,824,682
AVON PRODS INC       COM        05430310     385,162  16,028,371 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,028,371
AVX CORP NEW         COM        00244410       9,137   1,150,732 SH         DEFINED  1,2,5,7,10               1,150,732
AWARE INC MASS       COM        05453N10          40      21,260 SH         DEFINED  1                           21,260
AXA                  SPONSORED  05453610       1,687      75,098 SH         DEFINED  1,2                         75,098
AXCELIS TECHNOLOGIES COM        05454010       1,092   2,141,390 SH         DEFINED  1,2,5                    2,141,390
AXIS CAPITAL HOLDING SHS        G0692U10      71,495   2,455,177 SH         DEFINED  1,2,5,7,8,10,12,13       2,455,177
AXSYS TECHNOLOGIES I COM        05461510       7,966     145,215 SH         DEFINED  1,2,6                      145,215
AXT INC              COM        00246W10          39      28,721 SH         DEFINED  1,2                         28,721
AZZ INC              COM        00247410       4,887     194,710 SH         DEFINED  1,2,5,6                    194,710
B & G FOODS INC NEW  CL A       05508R10       1,652     305,922 SH         DEFINED  1,2                        305,922
BADGER METER INC     COM        05652510       6,570     226,402 SH         DEFINED  1,2,6                      226,402
BAIDU COM INC        SPON ADR R 05675210       2,174      16,647 SH         DEFINED  1,2,7                       16,647
BAKER HUGHES INC     COM        05722410     392,137  12,227,526 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,227,526
BAKER MICHAEL CORP   COM        05714910       4,424     119,847 SH         DEFINED  1,2                        119,847
BALCHEM CORP         COM        05766520       7,269     291,799 SH         DEFINED  1,2,6                      291,799
BALDOR ELEC CO       COM        05774110      15,594     873,631 SH         DEFINED  1,2,5                      873,631







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
BALDWIN & LYONS INC  CL B       05775520       2,900     159,435 SH         DEFINED  1,2                        159,435
BALL CORP            COM        05849810     156,226   3,756,340 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,756,340
BALLY TECHNOLOGIES I COM        05874B10      22,358     930,433 SH         DEFINED  1,2,5,6                    930,433
BANCFIRST CORP       COM        05945F10       7,784     147,084 SH         DEFINED  1,2,6                      147,084
BANCO BILBAO VIZCAYA SPONSORED  05946K10       4,837     387,307 SH         DEFINED  1,2,5,7,8,12               387,307
BANCO BRADESCO S A   SP ADR PFD 05946030      25,289   2,562,255 SH         DEFINED  1,2,4,7                  2,562,255
BANCO DE CHILE       SPONSORED  05952010         203       6,209 SH         DEFINED  1                            6,209
BANCO ITAU HLDG FINA SP ADR 500 05960220       9,515     820,258 SH         DEFINED  1,2,8                      820,258
BANCO LATINOAMERICAN CL E       P1699413       9,213     641,546 SH         DEFINED  1,2                        641,546
BANCO MACRO SA       SPON ADR B 05961W10       5,468     505,321 SH         DEFINED  1,2,5                      505,321
BANCO SANTANDER CHIL SP ADR REP 05965X10      15,326     437,523 SH         DEFINED  1,2,5,7                    437,523
BANCO SANTANDER SA   ADR        05964H10       2,005     211,278 SH         DEFINED  1,2                        211,278
BANCOLOMBIA S A      SPON ADR P 05968L10      15,960     683,521 SH         DEFINED  1,2,5,7                    683,521
BANCORP INC DEL      COM        05969A10          44      11,775 SH         DEFINED  1                           11,775
BANCORPSOUTH INC     COM        05969210      51,797   2,217,353 SH         DEFINED  1,2,5,10                 2,217,353
BANCTRUST FINANCIAL  COM        05978R10       4,570     309,615 SH         DEFINED  1,2                        309,615
BANK HAWAII CORP     COM        06254010      86,989   1,925,821 SH         DEFINED  1,2,5,7,10,13            1,925,821
BANK MUTUAL CORP NEW COM        06375010       9,924     859,968 SH         DEFINED  1,2,5                      859,968
BANK NOVA SCOTIA HAL COM        06414910       2,700      99,262 SH         DEFINED  1,7                         99,262
BANK OF AMERICA CORP COM        06050510   3,187,871 226,411,274 SH         DEFINED  1,2,5,6,7,8,10,12,13   226,411,274
BANK OF GRANITE CORP COM        06240110          48      19,449 SH         DEFINED  1,5                         19,449
BANK OF NEW YORK MEL COM        06405810   1,449,164  51,152,966 SH         DEFINED  1,2,5,6,7,8,10,12,13    51,152,966
BANK OF THE OZARKS I COM        06390410       7,014     236,632 SH         DEFINED  1,2,6                      236,632
BANKATLANTIC BANCORP CL A NEW   06590860         133      22,976 SH         DEFINED  1,2                         22,976
BANKFINANCIAL CORP   COM        06643P10       4,027     395,188 SH         DEFINED  1,2                        395,188
BANKRATE INC         COM        06646V10       8,240     216,834 SH         DEFINED  1,2,6                      216,834
BANKUNITED FINL CORP CL A       06652B10           8      48,578 SH         DEFINED  1                           48,578
BANNER CORP          COM        06652V10       2,403     255,404 SH         DEFINED  1,2                        255,404
BARCLAYS BK PLC      IPMS INDIA 06739F29      33,347   1,053,960 SH         DEFINED  4,5                      1,053,960
BARCLAYS PLC         ADR        06738E20         594      60,590 SH         DEFINED  1,2                         60,590
BARD C R INC         COM        06738310     297,005   3,524,866 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,524,866
BARE ESCENTUALS INC  COM        06751110       2,731     522,206 SH         DEFINED  1,2,5,6,10                 522,206
BARNES & NOBLE INC   COM        06777410      17,639   1,175,963 SH         DEFINED  1,2,5,8,10               1,175,963
BARNES GROUP INC     COM        06780610      12,578     867,437 SH         DEFINED  1,2                        867,437
BARNWELL INDS INC    COM        06822110          47      10,453 SH         DEFINED  1,2                         10,453
BARR PHARMACEUTICALS COM        06830610       2,486      37,787 SH         DEFINED  1,7                         37,787
BARRETT BILL CORP    COM        06846N10      24,154   1,143,115 SH         DEFINED  1,2,6                    1,143,115
BARRICK GOLD CORP    COM        06790110       1,033      28,089 SH         DEFINED  1,5                         28,089
BASIC ENERGY SVCS IN COM        06985P10       8,436     646,905 SH         DEFINED  1,2                        646,905
BASIN WTR INC        COM        07011T30           6      12,156 SH         DEFINED  1                           12,156
BASSETT FURNITURE IN COM        07020310         150      44,799 SH         DEFINED  1,2,5                       44,799
BAUER EDDIE HLDGS IN COM        07162510          13      25,800 SH         DEFINED  1                           25,800
BAXTER INTL INC      COM        07181310   1,397,814  26,083,487 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,083,487
BB&T CORP            COM        05493710     672,090  24,475,221 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,475,221
BBVA BANCO FRANCES S SPONSORED  07329M10         164      54,639 SH         DEFINED  1,2                         54,639
BE AEROSPACE INC     COM        07330210      13,957   1,814,989 SH         DEFINED  1,2,5,6,10               1,814,989
BEACON POWER CORP    COM        07367710         560   1,056,858 SH         DEFINED  1                        1,056,858
BEACON ROOFING SUPPL COM        07368510      11,394     820,902 SH         DEFINED  1,2,5,6                    820,902







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
BEAZER HOMES USA INC COM        07556Q10       1,193     754,806 SH         DEFINED  1,2,5                      754,806
BEBE STORES INC      COM        07557110       4,232     566,492 SH         DEFINED  1,2                        566,492
BECKMAN COULTER INC  COM        07581110      63,438   1,443,737 SH         DEFINED  1,2,5,7,8,10,12,13       1,443,737
BECTON DICKINSON & C COM        07588710     945,104  13,819,337 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,819,337
BED BATH & BEYOND IN COM        07589610     254,573  10,014,657 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,014,657
BEL FUSE INC         CL B       07734730       4,371     206,182 SH         DEFINED  1,2,6                      206,182
BELDEN INC           COM        07745410      19,855     950,888 SH         DEFINED  1,2,5                      950,888
BELO CORP            COM SER A  08055510       3,575   2,291,968 SH         DEFINED  1,2,5                    2,291,968
BEMIS INC            COM        08143710      86,798   3,665,452 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,665,452
BENCHMARK ELECTRS IN COM        08160H10      22,955   1,797,582 SH         DEFINED  1,2,5                    1,797,582
BENEFICIAL MUTUAL BA COM        08173R10       6,191     550,274 SH         DEFINED  1,2,6                      550,274
BENIHANA INC         CL A       08204720          22      10,415 SH         DEFINED  1                           10,415
BERKLEY W R CORP     COM        08442310     110,031   3,549,374 SH         DEFINED  1,2,5,7,8,10,12,13       3,549,374
BERKSHIRE HATHAWAY I CL B       08467020     613,331     190,831 SH         DEFINED  1,2,5,6,7,8,10,12,13       190,831
BERKSHIRE HILLS BANC COM        08468010       8,559     277,365 SH         DEFINED  1,2,5                      277,365
BERRY PETE CO        CL A       08578910       6,000     793,660 SH         DEFINED  1,2,6                      793,660
BEST BUY INC         COM        08651610     384,891  13,692,321 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,692,321
BEVERLY HILLS BANCOR COM        08786610           4      12,700 SH         DEFINED  1                           12,700
BGC PARTNERS INC     CL A       05541T10       1,713     620,791 SH         DEFINED  1,2                        620,791
BHP BILLITON LTD     SPONSORED  08860610       6,065     141,372 SH         DEFINED  1,2                        141,372
BHP BILLITON PLC     SPONSORED  05545E20       1,760      45,614 SH         DEFINED  1                           45,614
BIDZ COM INC         COM        08883T20         274      59,574 SH         DEFINED  1                           59,574
BIG 5 SPORTING GOODS COM        08915P10       2,003     384,473 SH         DEFINED  1,2                        384,473
BIG LOTS INC         COM        08930210      78,229   5,398,822 SH         DEFINED  1,2,5,6,7,8,10,13        5,398,822
BIGBAND NETWORKS INC COM        08975050       2,451     444,036 SH         DEFINED  1,2,6                      444,036
BIO RAD LABS INC     CL A       09057220      38,695     513,813 SH         DEFINED  1,2,5,6                    513,813
BIOANALYTICAL SYS IN COM        09058M10          20      14,300 SH         DEFINED  1                           14,300
BIOCRYST PHARMACEUTI COM        09058V10          48      35,320 SH         DEFINED  1,2,5                       35,320
BIODEL INC           COM        09064M10         713     147,924 SH         DEFINED  1,2                        147,924
BIOFORM MEDICAL INC  COM        09065G10         198     217,615 SH         DEFINED  1,2                        217,615
BIOGEN IDEC INC      COM        09062X10     571,137  11,991,119 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,991,119
BIOLASE TECHNOLOGY I COM        09091110          55      36,589 SH         DEFINED  1                           36,589
BIOMARIN PHARMACEUTI COM        09061G10      43,297   2,432,389 SH         DEFINED  1,2,5,6,10               2,432,389
BIOMED REALTY TRUST  COM        09063H10      34,279   2,924,815 SH         DEFINED  1,2,3,5                  2,924,815
BIOMIMETIC THERAPEUT COM        09064X10       2,362     256,202 SH         DEFINED  1,2                        256,202
BIO-REFERENCE LABS I COM $.01 N 09057G60       4,533     172,801 SH         DEFINED  1,2,6                      172,801
BIOSANTE PHARMACEUTI COM NEW    09065V20          11      10,780 SH         DEFINED  1                           10,780
BIOSCRIP INC         COM        09069N10         104      46,747 SH         DEFINED  1,5                         46,747
BJ SVCS CO           COM        05548210     155,731  13,344,585 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,344,585
BJS RESTAURANTS INC  COM        09180C10       3,028     281,121 SH         DEFINED  1,2,6                      281,121
BJS WHOLESALE CLUB I COM        05548J10      52,116   1,521,203 SH         DEFINED  1,2,5,6,7,8,10           1,521,203
BLACK & DECKER CORP  COM        09179710      87,485   2,092,431 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,092,431
BLACK BOX CORP DEL   COM        09182610      11,256     430,926 SH         DEFINED  1,2,5                      430,926
BLACK HILLS CORP     COM        09211310      37,721   1,399,134 SH         DEFINED  1,2,5                    1,399,134
BLACKBAUD INC        COM        09227Q10      11,099     822,173 SH         DEFINED  1,2,6,8                    822,173
BLACKBOARD INC       COM        09193550      12,442     474,326 SH         DEFINED  1,2,5,6                    474,326
BLACKROCK INC        COM        09247X10      25,477     189,917 SH         DEFINED  1,2,5,8,10                 189,917
BLACKROCK KELSO CAPI COM        09253310       2,075     210,489 SH         DEFINED  1,2                        210,489







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
BLACKSTONE GROUP L P COM UNIT L 09253U10       1,325     202,868 SH         DEFINED  1,2,8                      202,868
BLOCK H & R INC      COM        09367110     292,635  12,880,050 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,880,050
BLOCKBUSTER INC      CL A       09367910       5,568   4,418,987 SH         DEFINED  1,2,5                    4,418,987
BLOCKBUSTER INC      CL B       09367920          21      31,950 SH         DEFINED  1,5                         31,950
BLOUNT INTL INC NEW  COM        09518010       5,893     621,654 SH         DEFINED  1,2,6                      621,654
BLUE COAT SYSTEMS IN COM NEW    09534T50       5,125     610,068 SH         DEFINED  1,2,5,6                    610,068
BLUE DOLPHIN ENERGY  COM NEW    09539520           6      18,240 SH         DEFINED  1,2                         18,240
BLUE NILE INC        COM        09578R10       5,731     234,030 SH         DEFINED  1,2,6                      234,030
BLUEGREEN CORP       COM        09623110         745     238,154 SH         DEFINED  1                          238,154
BLUELINX HLDGS INC   COM        09624H10          85      44,980 SH         DEFINED  1                           44,980
BLYTH INC            COM        09643P10       7,503     957,034 SH         DEFINED  1,2,5                      957,034
BMB MUNAI INC        COM        09656A10         959     689,897 SH         DEFINED  1,7                        689,897
BMC SOFTWARE INC     COM        05592110     254,215   9,446,850 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,446,850
BMP SUNSTONE CORP    COM        05569C10       1,547     277,760 SH         DEFINED  1,2                        277,760
BOARDWALK PIPELINE P UT LTD PAR 09662710       1,047      58,899 SH         DEFINED  1,2                         58,899
BOB EVANS FARMS INC  COM        09676110      20,993   1,027,557 SH         DEFINED  1,2,5                    1,027,557
BOEING CO            COM        09702310   1,496,954  35,082,124 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,082,124
BOISE INC            COM        09746Y10         220     510,675 SH         DEFINED  1,2                        510,675
BOK FINL CORP        COM NEW    05561Q20      25,041     619,827 SH         DEFINED  1,2,5,10                   619,827
BOLT TECHNOLOGY CORP COM        09769810         743     106,787 SH         DEFINED  1                          106,787
BON-TON STORES INC   COM        09776J10       1,402   1,361,257 SH         DEFINED  1                        1,361,257
BOOKHAM INC          COM        09856E10         543   1,206,216 SH         DEFINED  1,5                      1,206,216
BOOTS & COOTS/INTL W COM NEW    09946950          54      46,100 SH         DEFINED  1                           46,100
BORDERS GROUP INC    COM        09970910         376     941,173 SH         DEFINED  1,2,5                      941,173
BORGWARNER INC       COM        09972410      53,505   2,457,721 SH         DEFINED  1,2,5,7,8,10,12,13       2,457,721
BORLAND SOFTWARE COR COM        09984910          59      56,436 SH         DEFINED  1,5                         56,436
BOSTON BEER INC      CL A       10055710       5,613     197,634 SH         DEFINED  1,2,6                      197,634
BOSTON PPTYS LTD PAR NOTE  2.87 10112RAK         198     250,000 SH         DEFINED  1                          250,000
BOSTON PRIVATE FINL  COM        10111910      19,906   2,910,165 SH         DEFINED  1,2                      2,910,165
BOSTON PROPERTIES IN COM        10112110     369,634   6,720,625 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   6,720,625
BOSTON SCIENTIFIC CO COM        10113710     422,557  54,593,908 SH         DEFINED  1,2,5,6,7,8,10,12,13    54,593,908
BOTTOMLINE TECH DEL  COM        10138810       2,372     334,023 SH         DEFINED  1,2                        334,023
BOVIE MEDICAL CORP   COM        10211F10         109      17,506 SH         DEFINED  1,2,5                       17,506
BOWNE & CO INC       COM        10304310       3,646     620,052 SH         DEFINED  1,2                        620,052
BOYD GAMING CORP     COM        10330410       5,033   1,063,960 SH         DEFINED  1,2,5,10                 1,063,960
BP PLC               SPONSORED  05562210   2,056,167  43,991,584 SH         DEFINED  1,2,5,6                 43,991,584
BP PRUDHOE BAY RTY T UNIT BEN I 05563010       1,778      24,248 SH         DEFINED  1,2                         24,248
BPZ RESOURCES INC    COM        05563910       5,957     930,744 SH         DEFINED  1,2,5,6                    930,744
BRADY CORP           CL A       10467410      24,951   1,041,782 SH         DEFINED  1,2,5                    1,041,782
BRANDYWINE RLTY TR   SH BEN INT 10536820      25,801   3,346,398 SH         DEFINED  1,2,3,5,7,10             3,346,398
BRASIL TELECOM PARTI SPON ADR P 10553010         334       8,651 SH         DEFINED  1,2                          8,651
BRE PROPERTIES INC   CL A       05564E10      49,294   1,761,752 SH         DEFINED  1,2,3,5,10               1,761,752
BREITBURN ENERGY PAR COM UT LTD 10677610         464      65,812 SH         DEFINED  1,2                         65,812
BRIGGS & STRATTON CO COM        10904310      17,419     990,277 SH         DEFINED  1,2,5                      990,277
BRIGHAM EXPLORATION  COM        10917810       2,468     771,261 SH         DEFINED  1,2                        771,261
BRIGHTPOINT INC      COM NEW    10947340       5,027   1,155,596 SH         DEFINED  1,2,5,8                  1,155,596
BRINKER INTL INC     COM        10964110      21,363   2,026,803 SH         DEFINED  1,2,5,8,10,12            2,026,803
BRINKS CO            COM        10969610      37,760   1,404,769 SH         DEFINED  1,2,5,6,7,10             1,404,769







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
BRINKS HOME SEC HLDG COM        10969910      25,885   1,180,865 SH         DEFINED  1,2,5,6,7,10             1,180,865
BRISTOL MYERS SQUIBB COM        11012210   1,686,483  72,536,889 SH         DEFINED  1,2,5,6,7,8,10,12,13    72,536,889
BRISTOW GROUP INC    COM        11039410      11,439     426,986 SH         DEFINED  1,2                        426,986
BRITISH AMERN TOB PL SPONSORED  11044810       1,801      33,913 SH         DEFINED  1                           33,913
BRITISH SKY BROADCAS SPONSORED  11101310         484      17,057 SH         DEFINED  1                           17,057
BROADCOM CORP        CL A       11132010     285,703  16,835,796 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,835,796
BROADPOINT SECURITIE COM        11133V10         758     255,354 SH         DEFINED  1,2                        255,354
BROADRIDGE FINL SOLU COM        11133T10      37,951   3,026,360 SH         DEFINED  1,2,5,6,8,10,12          3,026,360
BROCADE COMMUNICATIO COM NEW    11162130      11,806   4,171,673 SH         DEFINED  1,2,5,6,7,8,10           4,171,673
BRONCO DRILLING CO I COM        11221110       2,724     421,714 SH         DEFINED  1,2                        421,714
BROOKDALE SR LIVING  COM        11246310       1,975     353,943 SH         DEFINED  1,2,5,10                   353,943
BROOKFIELD HOMES COR COM        11272310         821     190,154 SH         DEFINED  1,2,5                      190,154
BROOKFIELD INFRAST P LP INT UNI G1625210         294      26,235 SH         DEFINED  1,2,7,8,13                  26,235
BROOKFIELD PPTYS COR COM        11290010       2,125     274,876 SH         DEFINED  1,2,3                      274,876
BROOKLINE BANCORP IN COM        11373M10      32,892   3,088,462 SH         DEFINED  1,2,5,10                 3,088,462
BROOKLYN FEDERAL BAN COM        11403910         494      35,151 SH         DEFINED  1,2                         35,151
BROOKS AUTOMATION IN COM        11434010       8,007   1,378,227 SH         DEFINED  1,2,5,6                  1,378,227
BROWN & BROWN INC    COM        11523610      51,437   2,461,097 SH         DEFINED  1,2,5,7,8,10,12          2,461,097
BROWN FORMAN CORP    CL A       11563710         650      12,990 SH         DEFINED  1,2,5                       12,990
BROWN FORMAN CORP    CL B       11563720     180,658   3,508,606 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,508,606
BROWN SHOE INC NEW   COM        11573610       7,652     903,466 SH         DEFINED  1,2                        903,466
BRUKER CORP          COM        11679410       4,621   1,143,876 SH         DEFINED  1,2,5,6                  1,143,876
BRUNSWICK CORP       COM        11704310       7,392   1,755,848 SH         DEFINED  1,2,5,8                  1,755,848
BRUSH ENGINEERED MAT COM        11742110       5,719     449,644 SH         DEFINED  1,2,5,6                    449,644
BRYN MAWR BK CORP    COM        11766510       1,781      88,617 SH         DEFINED  1,2                         88,617
BUCKEYE PARTNERS L P UNIT LTD P 11823010       1,932      59,920 SH         DEFINED  1,2                         59,920
BUCKEYE TECHNOLOGIES COM        11825510       4,410   1,211,643 SH         DEFINED  1,2                      1,211,643
BUCKLE INC           COM        11844010      11,112     509,235 SH         DEFINED  1,2                        509,235
BUCYRUS INTL INC NEW COM        11875910      26,989   1,457,310 SH         DEFINED  1,2,5,10                 1,457,310
BUFFALO WILD WINGS I COM        11984810       8,220     320,470 SH         DEFINED  1,2,5,6                    320,470
BUILD A BEAR WORKSHO COM        12007610       1,580     325,167 SH         DEFINED  1,2                        325,167
BUILDERS FIRSTSOURCE COM        12008R10         372     243,203 SH         DEFINED  1,2                        243,203
BUNGE LIMITED        COM        G1696210      79,000   1,525,978 SH         DEFINED  1,2,5,7,8,10,12,13       1,525,978
BURGER KING HLDGS IN COM        12120820      18,102     758,037 SH         DEFINED  1,2,5,10                   758,037
BURLINGTON NORTHN SA COM        12189T10     832,971  11,002,127 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,002,127
BWAY HOLDING COMPANY COM        12429T10         922     115,817 SH         DEFINED  1,2                        115,817
C D I CORP           COM        12507110       3,282     253,631 SH         DEFINED  1,2                        253,631
C H ROBINSON WORLDWI COM NEW    12541W20     320,082   5,816,503 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,816,503
C&D TECHNOLOGIES INC COM        12466110         214      68,528 SH         DEFINED  1,5                         68,528
CA INC               COM        12673P10     277,840  14,994,050 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,994,050
CABELAS INC          COM        12680430       3,823     655,756 SH         DEFINED  1,2                        655,756
CABLEVISION SYS CORP CL A NY CA 12686C10      80,329   4,770,108 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,770,108
CABOT CORP           COM        12705510      82,006   5,359,886 SH         DEFINED  1,2,5,8,10,12            5,359,886
CABOT MICROELECTRONI COM        12709P10      10,887     417,607 SH         DEFINED  1,2,5,6                    417,607
CABOT OIL & GAS CORP COM        12709710     124,719   4,796,897 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,796,897
CACHE INC            COM NEW    12715030         324     160,149 SH         DEFINED  1                          160,149
CACI INTL INC        CL A       12719030      28,395     629,749 SH         DEFINED  1,2,5                      629,749
CADBURY PLC          SPONS ADR  12721E10         497      13,932 SH         DEFINED  1                           13,932







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CADENCE DESIGN SYSTE COM        12738710      18,322   5,005,941 SH         DEFINED  1,2,5,7,10               5,005,941
CADENCE FINL CORP    COM        12738A10          63      13,472 SH         DEFINED  1,5                         13,472
CADENCE PHARMACEUTIC COM        12738T10       2,312     319,722 SH         DEFINED  1,2,6                      319,722
CADIZ INC            COM NEW    12753720       2,414     192,981 SH         DEFINED  1,2                        192,981
CAE INC              COM        12476510          99      14,936 SH         DEFINED  5                           14,936
CAI INTERNATIONAL IN COM        12477X10         264      83,378 SH         DEFINED  1                           83,378
CAL DIVE INTL INC DE COM        12802T10       4,807     738,360 SH         DEFINED  1,2,5,6                    738,360
CAL MAINE FOODS INC  COM NEW    12803020      13,070     455,389 SH         DEFINED  1,2,6                      455,389
CALAMOS ASSET MGMT I CL A       12811R10       2,707     365,788 SH         DEFINED  1,2,5                      365,788
CALAMP CORP          COM        12812610           8      18,691 SH         DEFINED  1                           18,691
CALAVO GROWERS INC   COM        12824610       1,174     102,055 SH         DEFINED  1,2                        102,055
CALGON CARBON CORP   COM        12960310      13,265     863,614 SH         DEFINED  1,2,6                      863,614
CALIFORNIA MICRO DEV COM        13043910          55      29,822 SH         DEFINED  1                           29,822
CALIFORNIA PIZZA KIT COM        13054D10       8,917     831,777 SH         DEFINED  1,2,6                      831,777
CALIFORNIA WTR SVC G COM        13078810      17,336     373,385 SH         DEFINED  1,2                        373,385
CALIPER LIFE SCIENCE COM        13087210         498     513,890 SH         DEFINED  1                          513,890
CALLAWAY GOLF CO     COM        13119310      21,549   2,319,547 SH         DEFINED  1,2,5                    2,319,547
CALLIDUS SOFTWARE IN COM        13123E50         919     307,418 SH         DEFINED  1                          307,418
CALLON PETE CO DEL   COM        13123X10       1,179     453,366 SH         DEFINED  1,2                        453,366
CALPINE CORP         COM NEW    13134730      24,089   3,308,938 SH         DEFINED  1,2,5,10                 3,308,938
CALUMET SPECIALTY PR UT LTD PAR 13147610         103      11,811 SH         DEFINED  1,2                         11,811
CAMBREX CORP         COM        13201110       2,267     490,690 SH         DEFINED  1,2,5                      490,690
CAMDEN NATL CORP     COM        13303410       3,547     131,452 SH         DEFINED  1,2,5                      131,452
CAMDEN PPTY TR       SH BEN INT 13313110      58,320   1,860,873 SH         DEFINED  1,2,3,5,7,8,10,12,13     1,860,873
CAMERON INTERNATIONA COM        13342B10     202,966   9,900,770 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,900,770
CAMPBELL SOUP CO     COM        13442910     265,709   8,853,999 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,853,999
CANADIAN NAT RES LTD COM        13638510         363       9,072 SH         DEFINED  1,5,8                        9,072
CANADIAN NATL RY CO  COM        13637510       1,191      32,391 SH         DEFINED  1,2,5                       32,391
CANDELA CORP         COM        13690710           9      18,860 SH         DEFINED  1                           18,860
CANO PETE INC        COM        13780110         255     579,892 SH         DEFINED  1,2,5                      579,892
CANON INC            ADR        13800630       1,230      39,164 SH         DEFINED  1,2                         39,164
CANTEL MEDICAL CORP  COM        13809810       2,889     196,933 SH         DEFINED  1,2                        196,933
CAPELLA EDUCATION CO COM        13959410      13,706     233,247 SH         DEFINED  1,2,6                      233,247
CAPITAL CITY BK GROU COM        13967410       5,178     190,102 SH         DEFINED  1,2                        190,102
CAPITAL CORP OF THE  COM NEW    14006520          10      10,320 SH         DEFINED  1                           10,320
CAPITAL ONE FINL COR COM        14040H10     565,860  17,744,126 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,744,126
CAPITAL PRODUCT PART COM UNIT L Y1108210          99      12,664 SH         DEFINED  1,2                         12,664
CAPITAL SOUTHWEST CO COM        14050110       5,503      50,881 SH         DEFINED  1,2                         50,881
CAPITAL SR LIVING CO COM        14047510         973     326,406 SH         DEFINED  1                          326,406
CAPITAL TRUST INC MD CL A NEW   14052H50         952     264,362 SH         DEFINED  1,2                        264,362
CAPITALSOURCE INC    COM        14055X10      21,483   4,650,021 SH         DEFINED  1,2,5,7,10               4,650,021
CAPITOL BANCORP LTD  COM        14056D10       1,785     228,888 SH         DEFINED  1,2                        228,888
CAPITOL FED FINL     COM        14057C10      11,106     243,550 SH         DEFINED  1,2,5,10                   243,550
CAPLEASE INC         COM        14028810       1,432     827,566 SH         DEFINED  1,2,3                      827,566
CAPSTEAD MTG CORP    COM NO PAR 14067E50      10,300     956,385 SH         DEFINED  1,2                        956,385
CAPSTONE TURBINE COR COM        14067D10       1,916   2,280,609 SH         DEFINED  1,2,5                    2,280,609
CARACO PHARMACEUTICA COM        14075T10       1,189     200,764 SH         DEFINED  1,2,5                      200,764
CARAUSTAR INDS INC   COM        14090910          15      33,042 SH         DEFINED  1                           33,042







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CARBO CERAMICS INC   COM        14078110      13,608     383,010 SH         DEFINED  1,2,6                      383,010
CARDIAC SCIENCE CORP COM        14141A10       2,406     320,817 SH         DEFINED  1,2,5                      320,817
CARDICA INC          COM        14141R10          36      10,300 SH         DEFINED  1                           10,300
CARDINAL FINL CORP   COM        14149F10       1,902     334,334 SH         DEFINED  1,2                        334,334
CARDINAL HEALTH INC  COM        14149Y10     438,065  12,708,586 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,708,586
CARDIONET INC        COM        14159L10       2,071      83,996 SH         DEFINED  1,2                         83,996
CARDTRONICS INC      COM        14161H10         295     228,470 SH         DEFINED  1,2                        228,470
CARE INVESTMENT TRUS COM        14165710       1,171     150,315 SH         DEFINED  1,2                        150,315
CAREER EDUCATION COR COM        14166510      42,154   2,349,746 SH         DEFINED  1,2,5,6,7,10             2,349,746
CARLISLE COS INC     COM        14233910      29,066   1,404,164 SH         DEFINED  1,2,5,10                 1,404,164
CARMAX INC           COM        14313010      40,426   5,130,245 SH         DEFINED  1,2,5,7,8,10,12,13       5,130,245
CARMIKE CINEMAS INC  COM        14343640          53      14,529 SH         DEFINED  1                           14,529
CARNIVAL CORP        PAIRED CTF 14365830     363,244  14,936,001 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,936,001
CARNIVAL PLC         ADR        14365C10         205       9,060 SH         DEFINED  1                            9,060
CARPENTER TECHNOLOGY COM        14428510      16,842     819,979 SH         DEFINED  1,2,5,10                   819,979
CARRIAGE SVCS INC    COM        14390510          39      19,570 SH         DEFINED  1                           19,570
CARRIZO OIL & CO INC COM        14457710       7,717     479,303 SH         DEFINED  1,2,6                      479,303
CARROLS RESTAURANT G COM        14574X10          35      12,940 SH         DEFINED  1                           12,940
CARTER INC           COM        14622910      35,299   1,832,760 SH         DEFINED  1,2,7                    1,832,760
CASCADE BANCORP      COM        14715410       3,189     472,492 SH         DEFINED  1,2                        472,492
CASCADE CORP         COM        14719510       5,283     176,913 SH         DEFINED  1,2                        176,913
CASELLA WASTE SYS IN CL A       14744810       1,344     329,418 SH         DEFINED  1,2                        329,418
CASEYS GEN STORES IN COM        14752810      33,743   1,481,924 SH         DEFINED  1,2,5,6                  1,481,924
CASH AMER INTL INC   COM        14754D10      25,901     947,033 SH         DEFINED  1,2,6,7                    947,033
CASS INFORMATION SYS COM        14808P10       3,042      99,877 SH         DEFINED  1,2,6                       99,877
CASTLE A M & CO      COM        14841110       4,376     404,069 SH         DEFINED  1,2                        404,069
CASTLEPOINT HOLDINGS COM        G1952211       6,597     486,527 SH         DEFINED  1,2                        486,527
CASUAL MALE RETAIL G COM        14871110         277     533,134 SH         DEFINED  1                          533,134
CATALYST HEALTH SOLU COM        14888B10      13,452     552,459 SH         DEFINED  1,2,6                      552,459
CATAPULT COMMUNICATI COM        14901610         155      23,632 SH         DEFINED  1                           23,632
CATERPILLAR INC DEL  COM        14912310   1,340,510  30,009,180 SH         DEFINED  1,2,5,6,7,8,10,12,13    30,009,180
CATHAY GENERAL BANCO COM        14915010      62,127   2,615,864 SH         DEFINED  1,2,5                    2,615,864
CATO CORP NEW        CL A       14920510      11,273     746,547 SH         DEFINED  1,2                        746,547
CAVCO INDS INC DEL   COM        14956810       2,240      83,288 SH         DEFINED  1,2,5                       83,288
CAVIUM NETWORKS INC  COM        14965A10       4,997     475,490 SH         DEFINED  1,2,6                      475,490
CB RICHARD ELLIS GRO CL A       12497T10      34,440   7,972,208 SH         DEFINED  1,2,5,6,10,13            7,972,208
CBEYOND INC          COM        14984710       5,740     359,181 SH         DEFINED  1,2,5,6                    359,181
CBIZ INC             COM        12480510       8,308     960,485 SH         DEFINED  1,2,6                      960,485
CBL & ASSOC PPTYS IN COM        12483010      11,445   1,760,695 SH         DEFINED  1,2,3,5,10               1,760,695
CBS CORP NEW         CL B       12485720     193,619  23,640,937 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,640,937
CDC CORP             SHS A      G2022L10          37      32,133 SH         DEFINED  1,5                         32,133
CDN IMPERIAL BK OF C COM        13606910         238       5,706 SH         DEFINED  1                            5,706
CEC ENTMT INC        COM        12513710      13,835     570,527 SH         DEFINED  1,2,5,6                    570,527
CEDAR FAIR L P       DEPOSITRY  15018510         805      64,243 SH         DEFINED  1,2                         64,243
CEDAR SHOPPING CTRS  COM NEW    15060220      11,049   1,560,585 SH         DEFINED  1,2,3                    1,560,585
CELADON GROUP INC    COM        15083810       4,223     495,046 SH         DEFINED  1,2                        495,046
CELANESE CORP DEL    COM SER A  15087010      58,470   4,703,936 SH         DEFINED  1,2,5,7,8,10,12,13       4,703,936
CELERA CORP          COM        15100E10      14,584   1,310,371 SH         DEFINED  1,2,5,6                  1,310,371







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CELGENE CORP         COM        15102010     981,542  17,755,826 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,755,826
CELL GENESYS INC     COM        15092110         261   1,188,117 SH         DEFINED  1,2,5                    1,188,117
CELLCOM ISRAEL LTD   SHS        M2196U10       2,006      90,767 SH         DEFINED  1,2,5                       90,767
CELLDEX THERAPEUTICS COM        15117B10       3,240     409,152 SH         DEFINED  1,2                        409,152
CEMEX SAB DE CV      SPON ADR N 15129088       2,488     272,253 SH         DEFINED  1,2,7,8                    272,253
CENTENE CORP DEL     COM        15135B10      27,104   1,375,149 SH         DEFINED  1,2                      1,375,149
CENTENNIAL COMMUNCTN CL A NEW   15133V20      11,943   1,481,810 SH         DEFINED  1,2,6,7,8                1,481,810
CENTERPOINT ENERGY I COM        15189T10     201,177  15,941,121 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,941,121
CENTERSTATE BKS FLA  COM        15201P10       1,782     104,889 SH         DEFINED  1,2                        104,889
CENTEX CORP          COM        15231210      67,864   6,378,155 SH         DEFINED  1,2,5,6,8,10,12,13       6,378,155
CENTRAIS ELETRICAS B SPON ADR P 15234Q10         154      14,470 SH         DEFINED  1,2                         14,470
CENTRAIS ELETRICAS B SPONSORED  15234Q20         653      58,421 SH         DEFINED  1,2                         58,421
CENTRAL EUROPEAN DIS COM        15343510       9,221     468,094 SH         DEFINED  1,2,5,6,7,10               468,094
CENTRAL EUROPEAN MED CL A NEW   G2004520       5,198     239,341 SH         DEFINED  1,5,7,10                   239,341
CENTRAL FED CORP     COM        15346Q10          92      30,900 SH         DEFINED  1                           30,900
CENTRAL GARDEN & PET COM        15352710         107      18,311 SH         DEFINED  1,2,5                       18,311
CENTRAL GARDEN & PET CL A NON-V 15352720       7,420   1,257,577 SH         DEFINED  1,2                      1,257,577
CENTRAL PAC FINL COR COM        15476010      16,053   1,598,884 SH         DEFINED  1,2                      1,598,884
CENTRAL VT PUB SVC C COM        15577110       6,324     265,052 SH         DEFINED  1,2                        265,052
CENTURY ALUM CO      COM        15643110       4,193     419,307 SH         DEFINED  1,2,5,10                   419,307
CENTURY CASINOS INC  COM        15649210          34      33,762 SH         DEFINED  1                           33,762
CENTURYTEL INC       COM        15670010     140,335   5,134,832 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,134,832
CENVEO INC           COM        15670S10       4,092     919,483 SH         DEFINED  1,2,5,6                    919,483
CEPHALON INC         NOTE  2.00 156708AP         829     500,000 SH         DEFINED  1                          500,000
CEPHALON INC         COM        15670810     225,254   2,923,857 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,923,857
CEPHEID              COM        15670R10      33,037   3,182,765 SH         DEFINED  1,2,5,6                  3,182,765
CERADYNE INC         COM        15671010      18,476     909,705 SH         DEFINED  1,2,5,6                    909,705
CERNER CORP          COM        15678210      46,968   1,221,539 SH         DEFINED  1,2,5,10                 1,221,539
CERUS CORP           COM        15708510          25      36,297 SH         DEFINED  1,5                         36,297
CEVA INC             COM        15721010       2,078     296,871 SH         DEFINED  1,2                        296,871
CF INDS HLDGS INC    COM        12526910     159,246   3,239,344 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,239,344
CFS BANCORP INC      COM        12525D10          58      14,968 SH         DEFINED  1                           14,968
CGG VERITAS          SPONSORED  20438610         177      11,830 SH         DEFINED  1,2,5                       11,830
CH ENERGY GROUP INC  COM        12541M10      16,851     327,897 SH         DEFINED  1,2,5                      327,897
CHAMPION ENTERPRISES COM        15849610         788   1,407,979 SH         DEFINED  1,2,5,6                  1,407,979
CHARLES & COLVARD LT COM        15976510           2      10,104 SH         DEFINED  1                           10,104
CHARLES RIV LABS INT COM        15986410      37,110   1,416,404 SH         DEFINED  1,2,5,7,8,10,12,13       1,416,404
CHARLOTTE RUSSE HLDG COM        16104810       2,947     454,042 SH         DEFINED  1,2                        454,042
CHARMING SHOPPES INC COM        16113310       5,035   2,063,713 SH         DEFINED  1,2,5,6                  2,063,713
CHART INDS INC       COM PAR $0 16115Q30       9,706     913,095 SH         DEFINED  1,2,6,7                    913,095
CHARTER COMMUNICATIO CL A       16117M10         557   6,789,845 SH         DEFINED  1,2,5,6                  6,789,845
CHATTEM INC          COM        16245610      26,538     371,006 SH         DEFINED  1,2,6,7                    371,006
CHECK POINT SOFTWARE ORD        M2246510      19,156   1,008,728 SH         DEFINED  1,2,5,7,8,12             1,008,728
CHECKPOINT SYS INC   COM        16282510       7,698     782,274 SH         DEFINED  1,2                        782,274
CHEESECAKE FACTORY I COM        16307210      16,605   1,644,106 SH         DEFINED  1,2,5,6,8                1,644,106
CHELSEA THERAPEUTICS COM        16342810          42      31,146 SH         DEFINED  1,2                         31,146
CHEMED CORP NEW      COM        16359R10      22,911     576,093 SH         DEFINED  1,2,6                      576,093
CHEMICAL FINL CORP   COM        16373110      11,800     423,260 SH         DEFINED  1,2,5                      423,260







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CHEMTURA CORP        COM        16389310       7,322   5,230,211 SH         DEFINED  1,2,5,7,8,10             5,230,211
CHENIERE ENERGY INC  COM NEW    16411R20       2,260     792,868 SH         DEFINED  1,2,5                      792,868
CHEROKEE INC DEL NEW COM        16444H10       2,226     128,295 SH         DEFINED  1,2,5                      128,295
CHESAPEAKE ENERGY CO NOTE  2.50 165167BZ         753     700,000 SH         DEFINED  1                          700,000
CHESAPEAKE ENERGY CO COM        16516710     358,733  22,185,088 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,185,088
CHESAPEAKE UTILS COR COM        16530310       4,020     127,712 SH         DEFINED  1,2                        127,712
CHEVRON CORP NEW     COM        16676410   7,675,473 103,764,672 SH         DEFINED  1,2,5,6,7,8,10,12,13   103,764,672
CHICAGO BRIDGE & IRO N Y REGIST 16725010         412      40,995 SH         DEFINED  1,2,5                       40,995
CHICOS FAS INC       COM        16861510      22,001   5,263,478 SH         DEFINED  1,2,5,6                  5,263,478
CHILDRENS PL RETAIL  COM        16890510      24,058   1,109,685 SH         DEFINED  1,2,5,6                  1,109,685
CHILE FD INC         COM        16883410       1,142     116,300 SH         DEFINED  5                          116,300
CHIMERA INVT CORP    COM        16934Q10       6,809   1,973,592 SH         DEFINED  1,2                      1,973,592
CHINA ARCHITECTURAL  COM        16937S10         496     201,690 SH         DEFINED  1                          201,690
CHINA BAK BATTERY IN COM        16936Y10         559     345,012 SH         DEFINED  1                          345,012
CHINA DIRECT INC     COM NEW    16938420          93      64,304 SH         DEFINED  1                           64,304
CHINA FIRE & SEC GRO COM        16938R10       1,078     158,368 SH         DEFINED  1                          158,368
CHINA INFORMATION SE COM        16944F10         904     251,110 SH         DEFINED  1,6                        251,110
CHINA MOBILE LIMITED SPONSORED  16941M10         844      16,591 SH         DEFINED  1,6                         16,591
CHINA PETE & CHEM CO SPON ADR H 16941R10      25,987     420,577 SH         DEFINED  1,4,5,6                    420,577
CHINA PRECISION STEE COM        16941J10         196     156,820 SH         DEFINED  1                          156,820
CHINA SEC & SURVE TE COM        16942J10       1,566     353,441 SH         DEFINED  1,2                        353,441
CHINA SKY ONE MED IN COM        16941P10       1,570      98,162 SH         DEFINED  1,2                         98,162
CHINA UNICOM (HONG K SPONSORED  16945R10         164      13,460 SH         DEFINED  1,6                         13,460
CHINA YUCHAI INTL LT COM        G2108210          85      22,200 SH         DEFINED  1,7                         22,200
CHINDEX INTERNATIONA COM        16946710       1,172     147,403 SH         DEFINED  1,6                        147,403
CHIPOTLE MEXICAN GRI CL A       16965610      36,750     592,936 SH         DEFINED  1,2,5,6,10                 592,936
CHIPOTLE MEXICAN GRI CL B       16965620       1,824      31,837 SH         DEFINED  1,2,6                       31,837
CHIQUITA BRANDS INTL COM        17003280      14,856   1,005,148 SH         DEFINED  1,2                      1,005,148
CHOICE HOTELS INTL I COM        16990510      12,929     430,103 SH         DEFINED  1,2,5,6,10                 430,103
CHORDIANT SOFTWARE I COM NEW    17040430       1,305     490,605 SH         DEFINED  1,5,6                      490,605
CHRISTOPHER & BANKS  COM        17104610       4,626     826,138 SH         DEFINED  1,2,5,8                    826,138
CHUBB CORP           COM        17123210     811,459  15,910,952 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,910,952
CHUNGHWA TELECOM CO  SPON ADR N 17133Q30       3,593     230,315 SH         DEFINED  1,4,12                     230,315
CHURCH & DWIGHT INC  COM        17134010      98,169   1,749,262 SH         DEFINED  1,2,5,7,8,10,12,13       1,749,262
CHURCHILL DOWNS INC  COM        17148410       6,455     159,698 SH         DEFINED  1,2                        159,698
CIBER INC            COM        17163B10       7,005   1,456,326 SH         DEFINED  1,2                      1,456,326
CIENA CORP           COM NEW    17177930      23,892   3,565,906 SH         DEFINED  1,2,5,6,7,10,13          3,565,906
CIGNA CORP           COM        12550910     186,550  11,071,231 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,071,231
CIMAREX ENERGY CO    COM        17179810      70,341   2,626,637 SH         DEFINED  1,2,5,7,8,10,12,13       2,626,637
CINCINNATI BELL INC  COM        17187110      15,824   8,198,990 SH         DEFINED  1,2,5                    8,198,990
CINCINNATI FINL CORP COM        17206210     217,577   7,484,597 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,484,597
CINEMARK HOLDINGS IN COM        17243V10       3,519     473,627 SH         DEFINED  1,2                        473,627
CINTAS CORP          COM        17290810     111,320   4,792,080 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,792,080
CIRCOR INTL INC      COM        17273K10      10,924     397,248 SH         DEFINED  1,2,6                      397,248
CIRRUS LOGIC INC     COM        17275510       4,348   1,622,254 SH         DEFINED  1,2,5,6                  1,622,254
CISCO SYS INC        COM        17275R10   3,485,580 213,839,267 SH         DEFINED  1,2,5,6,7,8,10,12,13   213,839,267
CIT GROUP INC        COM        12558110      60,756  13,382,450 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,382,450
CITADEL BROADCASTING COM        17285T10         474   2,962,944 SH         DEFINED  1,2,5                    2,962,944







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CITI TRENDS INC      COM        17306X10       3,053     207,373 SH         DEFINED  1,2,6                      207,373
CITIGROUP INC        COM        17296710   1,645,920 245,293,611 SH         DEFINED  1,2,5,6,7,8,10,12,13   245,293,611
CITIZENS & NORTHN CO COM        17292210       2,993     151,523 SH         DEFINED  1,2                        151,523
CITIZENS FIRST BANCO COM        17461R10          40      19,125 SH         DEFINED  1                           19,125
CITIZENS INC         CL A       17474010       5,647     582,209 SH         DEFINED  1,2,6                      582,209
CITIZENS REPUBLIC BA COM        17442010      14,185   4,759,979 SH         DEFINED  1,2,5                    4,759,979
CITRIX SYS INC       COM        17737610     151,609   6,432,304 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,432,304
CITY BK LYNNWOOD WAS COM        17770A10       1,234     237,330 SH         DEFINED  1,2                        237,330
CITY HLDG CO         COM        17783510      12,890     370,607 SH         DEFINED  1,2                        370,607
CITY NATL CORP       COM        17856610      58,656   1,204,437 SH         DEFINED  1,2,5,8,10,12            1,204,437
CKE RESTAURANTS INC  COM        12561E10       8,892   1,024,386 SH         DEFINED  1,2,6                    1,024,386
CKX INC              COM        12562M10       2,883     785,631 SH         DEFINED  1,2,5,6                    785,631
CLARCOR INC          COM        17989510      36,310   1,094,343 SH         DEFINED  1,2,5,6                  1,094,343
CLEAN ENERGY FUELS C COM        18449910       2,145     355,172 SH         DEFINED  1,2,6                      355,172
CLEAN HARBORS INC    COM        18449610      32,696     515,385 SH         DEFINED  1,2,5,6                    515,385
CLEAR CHANNEL OUTDOO CL A       18451C10       2,631     427,754 SH         DEFINED  1,2,5,10                   427,754
CLEARWATER PAPER COR COM        18538R10       1,755     209,172 SH         DEFINED  1,2,5                      209,172
CLEARWIRE CORP NEW   CL A       18538Q10       2,810     570,044 SH         DEFINED  1,2,5,10                   570,044
CLECO CORP NEW       COM        12561W10      29,033   1,271,682 SH         DEFINED  1,2,5                    1,271,682
CLIFFS NATURAL RESOU COM        18683K10      81,218   3,171,335 SH         DEFINED  1,2,5,7,8,10,12,13       3,171,335
CLIFTON SVGS BANCORP COM        18712Q10       2,245     189,272 SH         DEFINED  1,2                        189,272
CLINICAL DATA INC NE COM        18725U10       1,268     142,501 SH         DEFINED  1                          142,501
CLOROX CO DEL        COM        18905410     293,069   5,274,815 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,274,815
CME GROUP INC        COM        12572Q10     567,753   2,728,138 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,728,138
CMS ENERGY CORP      COM        12589610     110,651  10,944,692 SH         DEFINED  1,2,5,6,10,13           10,944,692
CNA FINL CORP        COM        12611710      10,372     630,925 SH         DEFINED  1,2,5,7,8,10,12            630,925
CNA SURETY CORP      COM        12612L10       6,253     325,654 SH         DEFINED  1,2                        325,654
CNH GLOBAL N V       SHS NEW    N2093520         171      10,978 SH         DEFINED  1,5                         10,978
CNOOC LTD            SPONSORED  12613210         371       3,900 SH         DEFINED  1,6                          3,900
CNX GAS CORP         COM        12618H30       9,387     343,858 SH         DEFINED  1,2,10                     343,858
COACH INC            COM        18975410     252,865  12,174,509 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,174,509
COACHMEN INDS INC    COM        18987310          26      14,335 SH         DEFINED  1                           14,335
COBIZ FINANCIAL INC  COM        19089710       3,191     327,617 SH         DEFINED  1,2                        327,617
COBRA ELECTRS CORP   COM        19104210          11      10,846 SH         DEFINED  1                           10,846
COCA COLA BOTTLING C COM        19109810       3,563      77,523 SH         DEFINED  1,2,6                       77,523
COCA COLA CO         COM        19121610   3,769,522  83,267,545 SH         DEFINED  1,2,5,6,7,8,10,12,13    83,267,545
COCA COLA ENTERPRISE COM        19121910     172,524  14,341,161 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,341,161
COCA COLA FEMSA S A  SPON ADR R 19124110       4,977     114,387 SH         DEFINED  1,2,7                      114,387
COEUR D ALENE MINES  COM        19210810       9,310  10,579,494 SH         DEFINED  1,2,5,6                 10,579,494
COGDELL SPENCER INC  COM        19238U10       1,841     196,669 SH         DEFINED  1,2,3                      196,669
COGENT COMM GROUP IN COM NEW    19239V30       5,193     795,177 SH         DEFINED  1,2,5,6                    795,177
COGENT INC           COM        19239Y10       9,089     669,813 SH         DEFINED  1,2,5,6                    669,813
COGNEX CORP          COM        19242210      13,868     937,037 SH         DEFINED  1,2,5,6                    937,037
COGNIZANT TECHNOLOGY CL A       19244610     181,870  10,070,297 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,070,297
COGO GROUP INC       COM        19244810       1,570     323,119 SH         DEFINED  1,2,6                      323,119
COHEN & STEERS INC   COM        19247A10       2,777     252,667 SH         DEFINED  1,2                        252,667
COHERENT INC         COM        19247910      13,561     631,928 SH         DEFINED  1,2,6                      631,928
COHU INC             COM        19257610       5,447     448,307 SH         DEFINED  1,2,6                      448,307







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
COINSTAR INC         COM        19259P30      12,032     616,722 SH         DEFINED  1,2,6                      616,722
COLDWATER CREEK INC  COM        19306810       3,600   1,263,137 SH         DEFINED  1,2,5,6                  1,263,137
COLE KENNETH PRODTNS CL A       19329410       1,046     147,687 SH         DEFINED  1,2                        147,687
COLEMAN CABLE INC    COM        19345930         426      94,077 SH         DEFINED  1                           94,077
COLFAX CORP          COM        19401410       3,021     290,750 SH         DEFINED  1,2                        290,750
COLGATE PALMOLIVE CO COM        19416210   1,377,495  20,097,675 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,097,675
COLLECTIVE BRANDS IN COM        19421W10      25,098   2,141,460 SH         DEFINED  1,2,5                    2,141,460
COLONIAL BANCGROUP I COM        19549330      15,849   7,656,707 SH         DEFINED  1,2,5,8                  7,656,707
COLONIAL PPTYS TR    COM SH BEN 19587210      14,219   1,706,994 SH         DEFINED  1,2,3,5                  1,706,994
COLUMBIA BKG SYS INC COM        19723610       3,720     311,778 SH         DEFINED  1,2                        311,778
COLUMBIA LABS INC    COM        19777910         798     628,169 SH         DEFINED  1,5                        628,169
COLUMBIA SPORTSWEAR  COM        19851610       7,609     215,139 SH         DEFINED  1,2,5                      215,139
COLUMBUS MCKINNON CO COM        19933310       5,563     407,551 SH         DEFINED  1,2,5,6                    407,551
COMARCO INC          COM        20008010          11      13,186 SH         DEFINED  1                           13,186
COMBINATORX INC      COM        20010A10          16      25,300 SH         DEFINED  1,5                         25,300
COMCAST CORP NEW     CL A       20030N10   1,659,923  98,336,660 SH         DEFINED  1,2,5,6,7,8,10,12,13    98,336,660
COMCAST CORP NEW     CL A SPL   20030N20      73,577   4,555,842 SH         DEFINED  1,2,5,7,8,10,12,13       4,555,842
COMERICA INC         COM        20034010     152,548   7,685,057 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,685,057
COMFORT SYS USA INC  COM        19990810      11,293   1,059,391 SH         DEFINED  1,2,5,6                  1,059,391
COMMERCE BANCSHARES  COM        20052510      69,479   1,580,874 SH         DEFINED  1,2,5,8,10,12            1,580,874
COMMERCIAL METALS CO COM        20172310      35,404   2,982,639 SH         DEFINED  1,2,5,8,10               2,982,639
COMMERCIAL VEH GROUP COM        20260810         333     358,581 SH         DEFINED  1,2                        358,581
COMMSCOPE INC        COM        20337210      22,317   1,436,093 SH         DEFINED  1,2,5,6,7,10             1,436,093
COMMUNITY BANCORP NE COM        20343T10          47      13,600 SH         DEFINED  1                           13,600
COMMUNITY BK SYS INC COM        20360710      18,671     765,515 SH         DEFINED  1,2                        765,515
COMMUNITY HEALTH SYS COM        20366810      28,436   1,950,336 SH         DEFINED  1,2,5,8,10,12            1,950,336
COMMUNITY TR BANCORP COM        20414910       9,306     253,214 SH         DEFINED  1,2                        253,214
COMMVAULT SYSTEMS IN COM        20416610       8,643     644,518 SH         DEFINED  1,2,6                      644,518
COMPANHIA BRASILEIRA SPON ADR P 20440T20      17,170     623,004 SH         DEFINED  1,2,7                      623,004
COMPANHIA DE BEBIDAS SPON ADR P 20441W20       2,589      58,428 SH         DEFINED  1,2                         58,428
COMPANHIA ENERGETICA SP ADR N-V 20440960      14,310   1,041,476 SH         DEFINED  1,2,5,7                  1,041,476
COMPANHIA PARANAENSE SPON ADR P 20441B40      17,100   1,622,392 SH         DEFINED  1,2,7                    1,622,392
COMPANHIA SIDERURGIC SPONSORED  20440W10       3,409     266,152 SH         DEFINED  1,2                        266,152
COMPANHIA VALE DO RI SPON ADR P 20441210       3,788     355,657 SH         DEFINED  1,2,8                      355,657
COMPANHIA VALE DO RI SPONSORED  20441220     128,978  10,650,508 SH         DEFINED  1,2,4,5,7               10,650,508
COMPANIA CERVECERIAS SPONSORED  20442910       2,169      82,582 SH         DEFINED  1,2,5,7                     82,582
COMPANIA DE MINAS BU SPONSORED  20444810       1,507      75,652 SH         DEFINED  1,2                         75,652
COMPASS DIVERSIFIED  SH BEN INT 20451Q10       6,875     611,124 SH         DEFINED  1,2                        611,124
COMPASS MINERALS INT COM        20451N10      56,060     955,674 SH         DEFINED  1,2,5,6,8,10               955,674
COMPELLENT TECHNOLOG COM        20452A10       2,116     219,998 SH         DEFINED  1,2,6                      219,998
COMPLETE PRODUCTION  COM        20453E10      12,371   1,517,869 SH         DEFINED  1,2                      1,517,869
COMPUCREDIT CORP     COM        20478N10       1,738     314,329 SH         DEFINED  1,2                        314,329
COMPUTER PROGRAMS &  COM        20530610       6,004     224,027 SH         DEFINED  1,2                        224,027
COMPUTER SCIENCES CO COM        20536310     216,220   6,153,094 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,153,094
COMPUTER TASK GROUP  COM        20547710          92      28,714 SH         DEFINED  1                           28,714
COMPUWARE CORP       COM        20563810      68,198  10,103,367 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,103,367
COMSCORE INC         COM        20564W10       3,254     255,182 SH         DEFINED  1,2,6                      255,182
COMSTOCK RES INC     COM NEW    20576820      71,985   1,523,489 SH         DEFINED  1,2,5,6                  1,523,489







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
COMSYS IT PARTNERS I COM        20581E10         750     334,988 SH         DEFINED  1,2                        334,988
COMTECH TELECOMMUNIC COM NEW    20582620      21,409     467,235 SH         DEFINED  1,2,5,6                    467,235
COMVERGE INC         COM        20585910       1,357     276,943 SH         DEFINED  1,2,6                      276,943
CONAGRA FOODS INC    COM        20588710     393,007  23,818,601 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,818,601
CONCEPTUS INC        COM        20601610       7,203     473,227 SH         DEFINED  1,2,6                      473,227
CONCHO RES INC       COM        20605P10      19,761     865,955 SH         DEFINED  1,2,6                      865,955
CONCUR TECHNOLOGIES  COM        20670810      25,196     767,710 SH         DEFINED  1,2,5,6                    767,710
CONEXANT SYSTEMS INC COM NEW    20714230          44      64,189 SH         DEFINED  1,2,5                       64,189
CONMED CORP          COM        20741010      20,454     854,396 SH         DEFINED  1,2                        854,396
CONNECTICUT WTR SVC  COM        20779710       2,990     126,660 SH         DEFINED  1,2,5                      126,660
CONNS INC            COM        20824210       2,004     236,273 SH         DEFINED  1,2                        236,273
CONOCOPHILLIPS       COM        20825C10   3,110,795  60,053,955 SH         DEFINED  1,2,5,6,7,8,10,12,13    60,053,955
CONSECO INC          COM NEW    20846488      11,662   2,251,262 SH         DEFINED  1,2,5,7,8,10             2,251,262
CONSOL ENERGY INC    COM        20854P10     221,711   7,757,571 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,757,571
CONSOLIDATED COMM HL COM        20903410       4,472     376,420 SH         DEFINED  1,2                        376,420
CONSOLIDATED EDISON  COM        20911510     428,977  11,019,185 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,019,185
CONSOLIDATED GRAPHIC COM        20934110       8,514     376,057 SH         DEFINED  1,2                        376,057
CONSOLIDATED TOMOKA  COM        21022610       3,356      87,882 SH         DEFINED  1,2,6                       87,882
CONSOLIDATED WATER C ORD        G2377310       2,268     181,443 SH         DEFINED  1                          181,443
CONSTANT CONTACT INC COM        21031310       3,743     282,528 SH         DEFINED  1,2,6                      282,528
CONSTAR INTL INC NEW COM        21036U10           1      13,300 SH         DEFINED  1                           13,300
CONSTELLATION BRANDS CL A       21036P10     115,811   7,343,741 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,343,741
CONSTELLATION ENERGY COM        21037110     174,167   6,941,673 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,941,673
CONTANGO OIL & GAS C COM NEW    21075N20      11,514     204,503 SH         DEFINED  1,2,5,6                    204,503
CONTINENTAL AIRLS IN CL B       21079530      25,961   1,437,478 SH         DEFINED  1,2,5,6,7,8,10           1,437,478
CONTINENTAL RESOURCE COM        21201510       8,629     416,636 SH         DEFINED  1,2,5,7,10,12              416,636
CONTINUCARE CORP     COM        21217210          37      17,700 SH         DEFINED  1                           17,700
CONVERA CORP         CL A       21191910           5      20,138 SH         DEFINED  1                           20,138
CONVERGYS CORP       COM        21248510      25,748   4,016,883 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,016,883
CON-WAY INC          COM        20594410      27,987   1,052,141 SH         DEFINED  1,2,5,7,10               1,052,141
COOPER COS INC       COM NEW    21664840      13,058     796,194 SH         DEFINED  1,2,5,10                   796,194
COOPER INDS LTD      CL A       G2418210     175,325   5,998,132 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,998,132
COOPER TIRE & RUBR C COM        21683110       8,039   1,305,023 SH         DEFINED  1,2,5,8                  1,305,023
COPA HOLDINGS SA     CL A       P3107610      33,689   1,111,115 SH         DEFINED  1,4,5,10                 1,111,115
COPANO ENERGY L L C  COM UNITS  21720210         760      65,141 SH         DEFINED  1,2                         65,141
COPART INC           COM        21720410      37,428   1,376,523 SH         DEFINED  1,2,5,10                 1,376,523
CORE LABORATORIES N  COM        N2271710       2,670      44,606 SH         DEFINED  1,2,5,6                     44,606
CORE MARK HOLDING CO COM        21868110       3,328     154,656 SH         DEFINED  1,2,6,8                    154,656
CORINTHIAN COLLEGES  COM        21886810      38,231   2,335,447 SH         DEFINED  1,2,5,6                  2,335,447
CORN PRODS INTL INC  COM        21902310      39,550   1,370,887 SH         DEFINED  1,2,5,10                 1,370,887
CORNELL COMPANIES IN COM        21914110       3,319     178,511 SH         DEFINED  1,2,5,6                    178,511
CORNING INC          COM        21935010     530,167  55,631,414 SH         DEFINED  1,2,5,6,7,8,10,12,13    55,631,414
CORPBANCA            SP ADR REG 21987A20         358      17,898 SH         DEFINED  1,2,5                       17,898
CORPORATE EXECUTIVE  COM        21988R10      17,212     780,222 SH         DEFINED  1,2,5,6,10                 780,222
CORPORATE OFFICE PPT SH BEN INT 22002T10      53,389   1,739,067 SH         DEFINED  1,2,3,5                  1,739,067
CORRECTIONS CORP AME COM NEW    22025Y40      44,442   2,716,504 SH         DEFINED  1,2,3,5,6,10             2,716,504
CORUS BANKSHARES INC COM        22087310         732     659,777 SH         DEFINED  1,2                        659,777
CORUS ENTERTAINMENT  COM CL B N 22087410         147      12,846 SH         DEFINED  1,5                         12,846







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CORVEL CORP          COM        22100610       3,628     165,063 SH         DEFINED  1,2,6                      165,063
COSI INC             COM        22122P10          11      36,900 SH         DEFINED  1,5                         36,900
COST PLUS INC CALIF  COM        22148510          29      30,389 SH         DEFINED  1                           30,389
COSTAR GROUP INC     COM        22160N10      10,189     309,325 SH         DEFINED  1,2,6                      309,325
COSTCO WHSL CORP NEW COM        22160K10     821,247  15,642,802 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,642,802
COUGAR BIOTECHNOLOGY COM        22208310       6,194     238,240 SH         DEFINED  1,2,6                      238,240
COURIER CORP         COM        22266010       3,342     186,705 SH         DEFINED  1,2                        186,705
COUSINS PPTYS INC    COM        22279510      24,705   1,783,750 SH         DEFINED  1,2,3,5                  1,783,750
COVANCE INC          COM        22281610      68,664   1,491,723 SH         DEFINED  1,2,5,7,8,10,12,13       1,491,723
COVANTA HLDG CORP    COM        22282E10      27,105   1,234,267 SH         DEFINED  1,2,5,10                 1,234,267
COVENANT TRANSN GROU CL A       22284P10          25      12,631 SH         DEFINED  1                           12,631
COVENTRY HEALTH CARE COM        22286210      79,635   5,351,804 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,351,804
COVIDIEN LTD         COM        G2552X10     622,400  17,174,406 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,174,406
COWEN GROUP INC      COM        22362110         114      17,980 SH         DEFINED  1                           17,980
COX RADIO INC        CL A       22405110       2,819     469,034 SH         DEFINED  1,2,5                      469,034
CPFL ENERGIA S A     SPONSORED  12615310         207       5,290 SH         DEFINED  1                            5,290
CPI INTERNATIONAL IN COM        12618M10       1,051     121,314 SH         DEFINED  1                          121,314
CRA INTL INC         COM        12618T10       5,475     203,307 SH         DEFINED  1,2,6                      203,307
CRACKER BARREL OLD C COM        22410J10       8,899     432,206 SH         DEFINED  1,2,5                      432,206
CRANE CO             COM        22439910      15,560     902,581 SH         DEFINED  1,2,5,10                   902,581
CRAWFORD & CO        CL B       22463310       5,855     402,691 SH         DEFINED  1,2,6                      402,691
CRAY INC             COM NEW    22522330         895     430,155 SH         DEFINED  1,5                        430,155
CREDICORP LTD        COM        G2519Y10      77,471   1,550,663 SH         DEFINED  1,2,4,5,7                1,550,663
CREDIT ACCEP CORP MI COM        22531010       1,360      99,280 SH         DEFINED  1,2,6                       99,280
CREDIT SUISSE GROUP  SPONSORED  22540110         989      34,997 SH         DEFINED  1,2                         34,997
CREDO PETE CORP      COM PAR $0 22543920          91      10,843 SH         DEFINED  1,2                         10,843
CREE INC             COM        22544710      26,437   1,665,828 SH         DEFINED  1,2,5,6,10               1,665,828
CRESUD S A C I F Y A SPONSORED  22640610         328      36,622 SH         DEFINED  1,2                         36,622
CRH PLC              ADR        12626K20         265      10,181 SH         DEFINED  1                           10,181
CROCS INC            COM        22704610       1,841   1,484,349 SH         DEFINED  1,2,5,6                  1,484,349
CROSS CTRY HEALTHCAR COM        22748310       5,023     571,452 SH         DEFINED  1,2                        571,452
CROSS TIMBERS RTY TR TR UNIT    22757R10         216       7,739 SH         DEFINED  1,2                          7,739
CROSSTEX ENERGY INC  COM        22765Y10       2,745     703,897 SH         DEFINED  1,2                        703,897
CROSSTEX ENERGY L P  COM        22765U10         180      41,137 SH         DEFINED  1,2                         41,137
CROWN CASTLE INTL CO COM        22822710      66,558   3,786,002 SH         DEFINED  1,2,5,7,8,10,12,13       3,786,002
CROWN HOLDINGS INC   COM        22836810      68,490   3,567,206 SH         DEFINED  1,2,5,6,7,8,10           3,567,206
CROWN MEDIA HLDGS IN CL A       22841110         803     281,773 SH         DEFINED  1,2                        281,773
CRUSADER ENERGY GROU COM        22883410          24      20,800 SH         DEFINED  1                           20,800
CRYOLIFE INC         COM        22890310       4,587     472,404 SH         DEFINED  1,2,6                      472,404
CSG SYS INTL INC     COM        12634910      18,130   1,037,751 SH         DEFINED  1,2,5,6                  1,037,751
CSS INDS INC         COM        12590610       2,319     130,731 SH         DEFINED  1,2                        130,731
CSX CORP             COM        12640810     508,987  15,675,615 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,675,615
CTC MEDIA INC        COM        12642X10       2,412     502,597 SH         DEFINED  1,2,5,10                   502,597
CTRIP COM INTL LTD   ADR        22943F10       9,999     420,143 SH         DEFINED  1,4,5                      420,143
CTS CORP             COM        12650110       4,393     797,262 SH         DEFINED  1,2,6                      797,262
CUBIC CORP           COM        22966910      10,030     368,760 SH         DEFINED  1,2,6                      368,760
CUBIST PHARMACEUTICA COM        22967810      51,877   2,147,221 SH         DEFINED  1,2,5,6                  2,147,221
CULLEN FROST BANKERS COM        22989910      73,153   1,443,427 SH         DEFINED  1,2,5,10                 1,443,427







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
CULP INC             COM        23021510          22      11,213 SH         DEFINED  1                           11,213
CUMMINS INC          COM        23102110     476,429  17,823,769 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,823,769
CUMULUS MEDIA INC    CL A       23108210       1,311     526,306 SH         DEFINED  1,2                        526,306
CURAGEN CORP         COM        23126R10         285     620,451 SH         DEFINED  1                          620,451
CURIS INC            COM        23126910          25      32,722 SH         DEFINED  1                           32,722
CURTISS WRIGHT CORP  COM        23156110      30,231     905,389 SH         DEFINED  1,2,5                      905,389
CUTERA INC           COM        23210910         237      26,696 SH         DEFINED  1                           26,696
CV THERAPEUTICS INC  COM        12666710      12,202   1,324,826 SH         DEFINED  1,2,5,6                  1,324,826
CVB FINL CORP        COM        12660010      29,413   2,471,685 SH         DEFINED  1,2,5                    2,471,685
CVR ENERGY INC       COM        12662P10       1,557     389,200 SH         DEFINED  1,2,6                      389,200
CVS CAREMARK CORPORA COM        12665010   1,519,059  52,855,203 SH         DEFINED  1,2,5,6,7,8,10,12,13    52,855,203
CYBERONICS INC       COM        23251P10       6,816     411,362 SH         DEFINED  1,2,6                      411,362
CYBERSOURCE CORP     COM        23251J10      15,367   1,281,686 SH         DEFINED  1,2,6,8                  1,281,686
CYMER INC            COM        23257210      16,409     748,913 SH         DEFINED  1,2,5,6                    748,913
CYNOSURE INC         CL A       23257720       2,107     230,727 SH         DEFINED  1,2,6                      230,727
CYPRESS BIOSCIENCES  COM PAR $. 23267450       4,672     683,104 SH         DEFINED  1,2,5,6                    683,104
CYPRESS SEMICONDUCTO COM        23280610       9,706   2,171,471 SH         DEFINED  1,2,5,10                 2,171,471
CYTEC INDS INC       COM        23282010      19,542     920,901 SH         DEFINED  1,2,5,10                   920,901
CYTOKINETICS INC     COM        23282W10       1,445     507,178 SH         DEFINED  1                          507,178
CYTORI THERAPEUTICS  COM        23283K10         896     248,130 SH         DEFINED  1                          248,130
CYTRX CORP           COM NEW    23282830          22      72,369 SH         DEFINED  1                           72,369
D & E COMMUNICATIONS COM        23286010         159      23,703 SH         DEFINED  1                           23,703
D R HORTON INC       COM        23331A10      96,533  13,653,921 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,653,921
DAIMLER AG           REG SHS    D1668R12       1,678      43,844 SH         DEFINED  1,2                         43,844
DAKTRONICS INC       COM        23426410       6,611     706,313 SH         DEFINED  1,2,6                      706,313
DANA HOLDING CORP    COM        23582520       1,262   1,704,798 SH         DEFINED  1,2                      1,704,798
DANAHER CORP DEL     NOTE       235851AF         219     250,000 SH         DEFINED  1                          250,000
DANAHER CORP DEL     COM        23585110     498,224   8,800,984 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,800,984
DANVERS BANCORP INC  COM        23644210       2,872     214,831 SH         DEFINED  1,2,6                      214,831
DARDEN RESTAURANTS I COM        23719410     157,170   5,577,355 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,577,355
DARLING INTL INC     COM        23726610      15,128   2,755,482 SH         DEFINED  1,2,5,6,7,8              2,755,482
DATA DOMAIN INC      COM        23767P10       9,459     503,162 SH         DEFINED  1,2,6                      503,162
DATARAM CORP         COM PAR $1 23810820          19      14,300 SH         DEFINED  1                           14,300
DATASCOPE CORP       COM        23811310      12,491     239,112 SH         DEFINED  1,2,6                      239,112
DATATRAK INTL INC    COM        23813410           3      15,197 SH         DEFINED  1                           15,197
DAVITA INC           COM        23918K10     185,112   3,734,364 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,734,364
DAWSON GEOPHYSICAL C COM        23935910       2,397     134,612 SH         DEFINED  1,2,5,6                    134,612
DCP MIDSTREAM PARTNE COM UT LTD 23311P10         210      22,333 SH         DEFINED  1,2                         22,333
DCT INDUSTRIAL TRUST COM        23315310      29,600   5,849,814 SH         DEFINED  1,2,3,5                  5,849,814
DEALERTRACK HLDGS IN COM        24230910      11,308     951,093 SH         DEFINED  1,2,6,8                    951,093
DEAN FOODS CO NEW    COM        24237010     107,400   5,976,640 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,976,640
DEARBORN BANCORP INC COM        24242R10          18      11,040 SH         DEFINED  1                           11,040
DECKERS OUTDOOR CORP COM        24353710      18,735     234,568 SH         DEFINED  1,2,5,6                    234,568
DECORATOR INDS INC   COM PAR $0 24363120           7      11,400 SH         DEFINED  1                           11,400
DEERE & CO           COM        24419910     568,003  14,822,624 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,822,624
DEL MONTE FOODS CO   COM        24522P10      22,920   3,210,154 SH         DEFINED  1,2,5,10                 3,210,154
DELEK US HLDGS INC   COM        24664710       1,298     245,428 SH         DEFINED  1,2                        245,428
DELIA'S INC NEW      COM        24691110          72      32,909 SH         DEFINED  1                           32,909







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
DELL INC             COM        24702R10     725,147  70,815,110 SH         DEFINED  1,2,5,6,7,8,10,12,13    70,815,110
DELPHI FINL GROUP IN CL A       24713110      15,316     830,563 SH         DEFINED  1,2,5                      830,563
DELTA AIR LINES INC  COM NEW    24736170      78,466   6,846,922 SH         DEFINED  1,2,5,7,8,10             6,846,922
DELTA PETE CORP      COM NEW    24790720       5,111   1,073,735 SH         DEFINED  1,2,5,6                  1,073,735
DELTEK INC           COM        24784L10         717     154,612 SH         DEFINED  1,2                        154,612
DELTIC TIMBER CORP   COM        24785010       8,543     186,733 SH         DEFINED  1,2,6                      186,733
DELUXE CORP          COM        24801910      24,800   1,657,734 SH         DEFINED  1,2,5,7,8                1,657,734
DEMANDTEC INC        COM NEW    24802R50       2,056     254,741 SH         DEFINED  1,2                        254,741
DENBURY RES INC      COM NEW    24791620      65,373   5,986,574 SH         DEFINED  1,2,5,7,8,10,12,13       5,986,574
DENDREON CORP        COM        24823Q10       7,089   1,547,817 SH         DEFINED  1,2,5,6                  1,547,817
DENNYS CORP          COM        24869P10       3,182   1,599,091 SH         DEFINED  1,2,5,6                  1,599,091
DENTSPLY INTL INC NE COM        24903010     147,909   5,237,567 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,237,567
DEPOMED INC          COM        24990810       1,737   1,052,930 SH         DEFINED  1,2                      1,052,930
DESARROLLADORA HOMEX SPONSORED  25030W10       1,233      54,027 SH         DEFINED  1                           54,027
DESIGN WITHIN REACH  COM        25055710           9      13,900 SH         DEFINED  1                           13,900
DEUTSCHE BANK AG     NAMEN AKT  D1819089         274       6,737 SH         DEFINED  1,2                          6,737
DEUTSCHE TELEKOM AG  SPONSORED  25156610       1,658     108,357 SH         DEFINED  1,2                        108,357
DEVELOPERS DIVERSIFI COM        25159110      33,353   6,834,573 SH         DEFINED  1,2,3,5,6,7,8,10,13      6,834,573
DEVON ENERGY CORP NE COM        25179M10   1,146,664  17,450,375 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,450,375
DEVRY INC DEL        COM        25189310      63,305   1,102,688 SH         DEFINED  1,2,5,10                 1,102,688
DEXCOM INC           COM        25213110         889     322,115 SH         DEFINED  1                          322,115
DG FASTCHANNEL INC   COM        23326R10       3,122     250,150 SH         DEFINED  1,2,5,6                    250,150
DHT MARITIME INC     COM        Y2065G10       2,912     525,562 SH         DEFINED  1,2                        525,562
DIAGEO P L C         SPON ADR N 25243Q20       1,074      18,920 SH         DEFINED  1                           18,920
DIAMOND FOODS INC    COM        25260310       5,657     280,733 SH         DEFINED  1,2,6                      280,733
DIAMOND HILL INVESTM COM NEW    25264R20       1,965      30,235 SH         DEFINED  1,2                         30,235
DIAMOND MGMT & TECHN COM        25269L10         276      65,594 SH         DEFINED  1,2                         65,594
DIAMOND OFFSHORE DRI COM        25271C10      63,698   1,080,725 SH         DEFINED  1,2,5,7,8,10,12,13       1,080,725
DIAMONDROCK HOSPITAL COM        25278430      17,957   3,541,881 SH         DEFINED  1,2,3                    3,541,881
DIANA SHIPPING INC   COM        Y2066G10         251      19,705 SH         DEFINED  1,2,5                       19,705
DICE HLDGS INC       COM        25301710         861     210,945 SH         DEFINED  1,2,6                      210,945
DICKS SPORTING GOODS COM        25339310      29,737   2,107,531 SH         DEFINED  1,2,5,6,10               2,107,531
DIEBOLD INC          COM        25365110      41,995   1,495,028 SH         DEFINED  1,2,5,8,10,12            1,495,028
DIGI INTL INC        COM        25379810       5,422     668,513 SH         DEFINED  1,2,5                      668,513
DIGIMARC CORP NEW    COM        25381B10         737      73,593 SH         DEFINED  1                           73,593
DIGITAL ANGEL CORP N COM NEW    25383A20           5      10,008 SH         DEFINED  1,2                         10,008
DIGITAL RIV INC      COM        25388B10      29,974   1,208,617 SH         DEFINED  1,2,5,6                  1,208,617
DIGITAL RLTY TR INC  COM        25386810      73,327   2,232,167 SH         DEFINED  1,2,3,5,6,7,10           2,232,167
DILLARDS INC         CL A       25406710       4,238   1,067,406 SH         DEFINED  1,2,5,8                  1,067,406
DIME CMNTY BANCSHARE COM        25392210       8,229     618,723 SH         DEFINED  1,2,5                      618,723
DINEEQUITY INC       COM        25442310       3,323     287,435 SH         DEFINED  1,2                        287,435
DIODES INC           COM        25454310       2,882     475,571 SH         DEFINED  1,2,6                      475,571
DIONEX CORP          COM        25454610      15,185     338,566 SH         DEFINED  1,2,5,6                    338,566
DIRECTV GROUP INC    COM        25459L10     697,251  30,434,361 SH         DEFINED  1,2,5,6,7,8,10,12,13    30,434,361
DISCOVER FINL SVCS   COM        25470910     209,959  22,031,406 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,031,406
DISCOVERY COMMUNICAT COM SER A  25470F10      29,183   2,060,967 SH         DEFINED  1,2,5,7,8,10,12,13       2,060,967
DISCOVERY COMMUNICAT COM SER C  25470F30      47,344   3,535,747 SH         DEFINED  1,2,5,7,8,10,12,13       3,535,747
DISCOVERY LABORATORI COM        25466810       1,437   1,282,816 SH         DEFINED  1,2,5                    1,282,816







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
DISH NETWORK CORP    CL A       25470M10      46,731   4,213,762 SH         DEFINED  1,2,5,7,8,10,12,13       4,213,762
DISNEY WALT CO       COM DISNEY 25468710   1,674,076  73,780,326 SH         DEFINED  1,2,5,6,7,8,10,12,13    73,780,326
DISTRIBUCION Y SERVI SPONSORED  25475310       1,511      62,473 SH         DEFINED  1,2,5                       62,473
DITECH NETWORKS INC  COM        25500T10          21      26,085 SH         DEFINED  1                           26,085
DIVX INC             COM        25541310       1,943     371,452 SH         DEFINED  1,2,6                      371,452
DIXIE GROUP INC      CL A       25551910          22      14,064 SH         DEFINED  1                           14,064
DNP SELECT INCOME FD COM        23325P10          81      13,100 SH         DEFINED  5                           13,100
DOLAN MEDIA CO       COM        25659P40       2,330     353,582 SH         DEFINED  1,2,6                      353,582
DOLBY LABORATORIES I COM        25659T10      24,314     742,198 SH         DEFINED  1,2,5,7,8,10,12,13         742,198
DOLLAR FINL CORP     COM        25666410       5,699     553,339 SH         DEFINED  1,2,6                      553,339
DOLLAR THRIFTY AUTOM COM        25674310         399     365,809 SH         DEFINED  1,2                        365,809
DOLLAR TREE INC      COM        25674610     108,023   2,591,089 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,591,089
DOMINION RES INC VA  COM        25746U10     880,649  24,571,668 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,571,668
DOMINOS PIZZA INC    COM        25754A20       4,338     921,034 SH         DEFINED  1,2,8                      921,034
DOMTAR CORP          COM        25755910       8,657   5,183,616 SH         DEFINED  1,2,5,10                 5,183,616
DONALDSON INC        COM        25765110      48,540   1,442,483 SH         DEFINED  1,2,5,10                 1,442,483
DONEGAL GROUP INC    CL A       25770120       3,540     211,074 SH         DEFINED  1,2                        211,074
DONNELLEY R R & SONS COM        25786710     128,736   9,479,826 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,479,826
DORAL FINL CORP      COM NEW    25811P88         576      76,817 SH         DEFINED  1,2                         76,817
DORCHESTER MINERALS  COM UNIT   25820R10         523      32,962 SH         DEFINED  1,2                         32,962
DORMAN PRODUCTS INC  COM        25827810       1,730     131,069 SH         DEFINED  1,2                        131,069
DOT HILL SYS CORP    COM        25848T10          59      73,205 SH         DEFINED  1,5                         73,205
DOUBLE EAGLE PETE CO COM PAR $0 25857020         801     114,074 SH         DEFINED  1,2,5                      114,074
DOUBLE-TAKE SOFTWARE COM        25859810       2,005     223,563 SH         DEFINED  1,2                        223,563
DOUGLAS EMMETT INC   COM        25960P10      39,393   3,016,284 SH         DEFINED  1,2,3,5,7,10             3,016,284
DOVER CORP           COM        26000310     259,267   7,875,654 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,875,654
DOVER DOWNS GAMING & COM        26009510       1,748     549,756 SH         DEFINED  1,2,5                      549,756
DOVER MOTORSPORTS IN COM        26017410         201     154,720 SH         DEFINED  1                          154,720
DOW CHEM CO          COM        26054310     563,651  37,352,635 SH         DEFINED  1,2,5,6,7,8,10,12,13    37,352,635
DPL INC              COM        23329310      53,283   2,332,890 SH         DEFINED  1,2,5,7,8,10             2,332,890
DR PEPPER SNAPPLE GR COM        26138E10     144,732   8,906,612 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,906,612
DR REDDYS LABS LTD   ADR        25613520       8,863     904,363 SH         DEFINED  1,2,4,5,6                  904,363
DRDGOLD LIMITED      SPON ADR N 26152H30          91      16,328 SH         DEFINED  1                           16,328
DREAMWORKS ANIMATION CL A       26153C10      42,573   1,685,378 SH         DEFINED  1,2,5,6,7,8,10           1,685,378
DRESS BARN INC       COM        26157010      18,194   1,693,998 SH         DEFINED  1,2,6                    1,693,998
DRESSER-RAND GROUP I COM        26160810      19,477   1,129,117 SH         DEFINED  1,2,5,6,10               1,129,117
DREW INDS INC        COM NEW    26168L20       4,826     402,177 SH         DEFINED  1,2,6                      402,177
DRI CORPORATION      COM        23330F10          18      16,137 SH         DEFINED  1                           16,137
DRIL-QUIP INC        COM        26203710      11,474     559,450 SH         DEFINED  1,2,6                      559,450
DRUGSTORE COM INC    COM        26224110       1,223     986,681 SH         DEFINED  1,2                        986,681
DSP GROUP INC        COM        23332B10       4,439     553,433 SH         DEFINED  1,2,5                      553,433
DST SYS INC DEL      COM        23332610      38,537   1,014,672 SH         DEFINED  1,2,5,7,8,10,12,13       1,014,672
DSW INC              CL A       23334L10       2,744     220,199 SH         DEFINED  1,2,6                      220,199
DTE ENERGY CO        COM        23333110     252,728   7,085,163 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,085,163
DTS INC              COM        23335C10       5,268     287,102 SH         DEFINED  1,2,6                      287,102
DU PONT E I DE NEMOU COM        26353410   1,320,389  52,189,280 SH         DEFINED  1,2,5,6,7,8,10,12,13    52,189,280
DUCOMMUN INC DEL     COM        26414710       3,523     210,971 SH         DEFINED  1,2,5                      210,971
DUFF & PHELPS CORP N CL A       26433B10       2,861     149,642 SH         DEFINED  1,2,6                      149,642







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
DUKE ENERGY CORP NEW COM        26441C10     817,426  54,458,787 SH         DEFINED  1,2,5,6,7,8,10,12,13    54,458,787
DUKE REALTY CORP     COM NEW    26441150      66,409   6,059,186 SH         DEFINED  1,2,3,5,7,8,10,12,13     6,059,186
DUN & BRADSTREET COR COM        26483E10     153,720   1,991,195 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,991,195
DUNCAN ENERGY PARTNE COM UNITS  26502610         187      13,780 SH         DEFINED  1,2                         13,780
DUPONT FABROS TECHNO COM        26613Q10       2,105   1,016,897 SH         DEFINED  1,2,3,6,8                1,016,897
DURECT CORP          COM        26660510       4,517   1,332,557 SH         DEFINED  1,2,5,6                  1,332,557
DXP ENTERPRISES INC  COM NEW    23337740       1,531     104,788 SH         DEFINED  1,2,5                      104,788
DYAX CORP            COM        26746E10       2,541     698,006 SH         DEFINED  1,2,5                      698,006
DYCOM INDS INC       COM        26747510       8,892   1,081,707 SH         DEFINED  1,2,5,6                  1,081,707
DYNAMEX INC          COM        26784F10       2,239     151,771 SH         DEFINED  1,2                        151,771
DYNAMIC MATLS CORP   COM        26788810       4,012     207,760 SH         DEFINED  1,2,5,6                    207,760
DYNAVAX TECHNOLOGIES COM        26815810          31      36,351 SH         DEFINED  1,2                         36,351
DYNCORP INTL INC     CL A       26817C10       6,394     421,468 SH         DEFINED  1,2,6                      421,468
DYNEGY INC DEL       CL A       26817G10      38,989  19,494,479 SH         DEFINED  1,2,5,6,7,8,10,13       19,494,479
E M C CORP MASS      NOTE  1.75 268648AM         701     750,000 SH         DEFINED  1                          750,000
E M C CORP MASS      COM        26864810     752,848  71,905,283 SH         DEFINED  1,2,5,6,7,8,10,12,13    71,905,283
E TRADE FINANCIAL CO COM        26924610      23,986  20,857,487 SH         DEFINED  1,2,5,6,10,13           20,857,487
EAGLE BANCORP INC MD COM        26894810          61      10,678 SH         DEFINED  1                           10,678
EAGLE BULK SHIPPING  COM        Y2187A10       4,343     636,858 SH         DEFINED  1,2,5                      636,858
EAGLE MATERIALS INC  COM        26969P10       9,586     520,669 SH         DEFINED  1,2,5,6,7,10               520,669
EAGLE ROCK ENERGY PA UNIT       26985R10         149      31,626 SH         DEFINED  1,2                         31,626
EARTHLINK INC        COM        27032110      20,138   2,978,967 SH         DEFINED  1,2,5,6                  2,978,967
EAST WEST BANCORP IN COM        27579R10      36,551   2,288,726 SH         DEFINED  1,2,5                    2,288,726
EASTERN INS HLDGS IN COM        27653410          87      10,884 SH         DEFINED  1,2                         10,884
EASTGROUP PPTY INC   COM        27727610      28,837     810,472 SH         DEFINED  1,2,3,5                    810,472
EASTMAN CHEM CO      COM        27743210      94,827   2,990,449 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,990,449
EASTMAN KODAK CO     NOTE  3.37 277461BE         121     150,000 SH         DEFINED  1                          150,000
EASTMAN KODAK CO     COM        27746110      69,547  10,569,460 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,569,460
EATON CORP           COM        27805810     290,554   5,844,979 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,844,979
EATON VANCE CORP     COM NON VT 27826510      55,952   2,663,106 SH         DEFINED  1,2,5,10                 2,663,106
EBAY INC             COM        27864210     579,611  41,519,434 SH         DEFINED  1,2,5,6,7,8,10,12,13    41,519,434
EBIX INC             COM NEW    27871520       2,274      95,126 SH         DEFINED  1,2                         95,126
ECHELON CORP         COM        27874N10       3,814     467,939 SH         DEFINED  1,2,6                      467,939
ECHOSTAR CORP        CL A       27876810       8,222     552,897 SH         DEFINED  1,2,5,6,8,10               552,897
ECLIPSYS CORP        COM        27885610      15,014   1,058,078 SH         DEFINED  1,2,5,6                  1,058,078
ECOLAB INC           COM        27886510     246,330   7,007,952 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,007,952
ECOPETROL S A        SPONSORED  27915810       1,460      79,454 SH         DEFINED  1,5,7                       79,454
EDGE PETE CORP DEL   COM        27986210           5      32,926 SH         DEFINED  1                           32,926
EDGEWATER TECHNOLOGY COM        28035810          44      17,022 SH         DEFINED  1                           17,022
EDISON INTL          COM        28102010   1,199,596  37,347,322 SH         DEFINED  1,2,5,6,7,8,10,12,13    37,347,322
EDUCATION RLTY TR IN COM        28140H10       6,135   1,175,203 SH         DEFINED  1,2,3,5                  1,175,203
EDWARDS LIFESCIENCES COM        28176E10     108,148   1,968,110 SH         DEFINED  1,2,5,10                 1,968,110
EF JOHNSON TECHNOLOG COM        26843B10          43      31,750 SH         DEFINED  1                           31,750
EHEALTH INC          COM        28238P10       4,809     362,141 SH         DEFINED  1,2,6                      362,141
EINSTEIN NOAH REST G COM        28257U10         490      85,132 SH         DEFINED  1,2                         85,132
EL PASO CORP         COM        28336L10     238,592  30,471,478 SH         DEFINED  1,2,5,6,7,8,10,12,13    30,471,478
EL PASO ELEC CO      COM NEW    28367785      20,562   1,136,672 SH         DEFINED  1,2,5                    1,136,672
EL PASO PIPELINE PAR COM UNIT L 28370210         328      21,037 SH         DEFINED  1,2                         21,037







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ELAN PLC             ADR        28413120         409      68,152 SH         DEFINED  1,5                         68,152
ELECTRO OPTICAL SCIE COM        28519210          37      10,900 SH         DEFINED  1                           10,900
ELECTRO RENT CORP    COM        28521810       3,809     341,337 SH         DEFINED  1,2,5                      341,337
ELECTRO SCIENTIFIC I COM        28522910       3,176     467,740 SH         DEFINED  1,2,5                      467,740
ELECTROGLAS INC      COM        28532410           2      11,721 SH         DEFINED  1                           11,721
ELECTRONIC ARTS INC  COM        28551210     178,655  11,138,084 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,138,084
ELECTRONICS FOR IMAG COM        28608210       9,187     961,033 SH         DEFINED  1,2,5                      961,033
ELIXIR GAMING TECHNO COM        28661G10         102     785,545 SH         DEFINED  1                          785,545
ELIZABETH ARDEN INC  COM        28660G10       5,033     399,140 SH         DEFINED  1,2                        399,140
ELLIS PERRY INTL INC COM        28885310       1,974     311,336 SH         DEFINED  1                          311,336
EMAGEON INC          COM        29076V10          45      24,126 SH         DEFINED  1                           24,126
EMBARQ CORP          COM        29078E10     183,010   5,089,278 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,089,278
EMBOTELLADORA ANDINA SPON ADR A 29081P20         113      10,809 SH         DEFINED  1,2                         10,809
EMBOTELLADORA ANDINA SPON ADR B 29081P30       1,134      83,998 SH         DEFINED  1,2,5                       83,998
EMBRAER-EMPRESA BRAS SP ADR COM 29081M10         244      15,080 SH         DEFINED  1,2                         15,080
EMC INS GROUP INC    COM        26866410       2,414      94,101 SH         DEFINED  1,2                         94,101
EMCOR GROUP INC      COM        29084Q10      68,338   3,046,722 SH         DEFINED  1,2,5,6,8                3,046,722
EMCORE CORP          COM        29084610       1,371   1,054,422 SH         DEFINED  1,2,5,6                  1,054,422
EMERGENCY MEDICAL SV CL A       29100P10       5,883     160,689 SH         DEFINED  1,2,5,6                    160,689
EMERGENT BIOSOLUTION COM        29089Q10      11,908     456,086 SH         DEFINED  1,2,6                      456,086
EMERITUS CORP        COM        29100510       2,999     299,040 SH         DEFINED  1,2,6                      299,040
EMERSON ELEC CO      COM        29101110   1,010,478  27,601,141 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,601,141
EMERSON RADIO CORP   COM NEW    29108720           7      10,566 SH         DEFINED  1                           10,566
EMISPHERE TECHNOLOGI COM        29134510          17      20,983 SH         DEFINED  1,2                         20,983
EMMIS COMMUNICATIONS CL A       29152510          16      45,082 SH         DEFINED  1                           45,082
EMPIRE DIST ELEC CO  COM        29164110      11,190     635,790 SH         DEFINED  1,2                        635,790
EMPIRE RESORTS INC   COM        29205210          62      57,146 SH         DEFINED  1,5                         57,146
EMPLOYERS HOLDINGS I COM        29221810      15,085     914,236 SH         DEFINED  1,2                        914,236
EMPRESA NACIONAL DE  SPONSORED  29244T10       8,691     259,524 SH         DEFINED  1,2,5,7                    259,524
EMS TECHNOLOGIES INC COM        26873N10       6,882     266,007 SH         DEFINED  1,2,6                      266,007
EMULEX CORP          COM NEW    29247520      14,301   2,048,814 SH         DEFINED  1,2,5                    2,048,814
ENBRIDGE ENERGY MANA SHS UNITS  29250X10         404      16,515 SH         DEFINED  1,2                         16,515
ENBRIDGE ENERGY PART COM        29250R10       1,796      70,446 SH         DEFINED  1,2                         70,446
ENCANA CORP          COM        29250510       2,401      51,663 SH         DEFINED  1,2,5                       51,663
ENCORE ACQUISITION C COM        29255W10      32,980   1,292,332 SH         DEFINED  1,2,5,10                 1,292,332
ENCORE BANCSHARES IN COM        29255V20         735      66,820 SH         DEFINED  1                           66,820
ENCORE CAP GROUP INC COM        29255410       2,828     392,836 SH         DEFINED  1,2,5                      392,836
ENCORE ENERGY PARTNE COM UNIT   29257A10         273      21,053 SH         DEFINED  1,2                         21,053
ENCORE WIRE CORP     COM        29256210       6,210     327,551 SH         DEFINED  1,2,5,6                    327,551
ENDEAVOUR INTL CORP  COM        29259G10         854   1,707,572 SH         DEFINED  1                        1,707,572
ENDO PHARMACEUTICALS COM        29264F20      59,869   2,313,326 SH         DEFINED  1,2,5,7,10               2,313,326
ENDOLOGIX INC        COM        29266S10          38      31,475 SH         DEFINED  1                           31,475
ENDURANCE SPECIALTY  SHS        G3039710      15,735     515,399 SH         DEFINED  1,2,5,7,8,10               515,399
ENDWAVE CORP         COM NEW    29264A20          40      16,728 SH         DEFINED  1                           16,728
ENER1 INC            COM NEW    29267A20       4,405     616,112 SH         DEFINED  1,2,6                      616,112
ENERGEN CORP         COM        29265N10      56,586   1,929,290 SH         DEFINED  1,2,5,7,8,10,12,13       1,929,290
ENERGIZER HLDGS INC  COM        29266R10      81,771   1,510,369 SH         DEFINED  1,2,5,7,8,10,12,13       1,510,369
ENERGY CONVERSION DE COM        29265910      21,704     860,915 SH         DEFINED  1,2,5,6                    860,915







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ENERGY PARTNERS LTD  COM        29270U10         846     626,324 SH         DEFINED  1,2,5                      626,324
ENERGY RECOVERY INC  COM        29270J10       1,279     168,738 SH         DEFINED  1,2,6                      168,738
ENERGY TRANSFER EQUI COM UT LTD 29273V10       3,363     207,469 SH         DEFINED  1,2                        207,469
ENERGY TRANSFER PRTN UNIT LTD P 29273R10       3,090      90,845 SH         DEFINED  1,2                         90,845
ENERGY XXI (BERMUDA) COM SHS    G1008210       1,131   1,431,814 SH         DEFINED  1                        1,431,814
ENERGYSOLUTIONS INC  DEPOSITARY 29275620       3,191     564,862 SH         DEFINED  1,2                        564,862
ENERNOC INC          COM        29276410         961     129,171 SH         DEFINED  1,2,6                      129,171
ENERSIS S A          SPONSORED  29274F10      14,320   1,124,014 SH         DEFINED  1,2,5,7                  1,124,014
ENERSYS              COM        29275Y10       7,551     686,461 SH         DEFINED  1,2                        686,461
ENGLOBAL CORP        COM        29330610       1,244     382,814 SH         DEFINED  1,2,5                      382,814
ENI S P A            SPONSORED  26874R10       3,190      66,717 SH         DEFINED  1,2                         66,717
ENNIS INC            COM        29338910       5,351     441,833 SH         DEFINED  1,2                        441,833
ENPRO INDS INC       COM        29355X10      17,168     797,041 SH         DEFINED  1,2,5                      797,041
ENSCO INTL INC       COM        26874Q10     225,330   7,936,965 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,936,965
ENSIGN GROUP INC     COM        29358P10       1,966     117,452 SH         DEFINED  1,2,6                      117,452
ENSTAR GROUP LIMITED SHS        G3075P10       4,932      83,387 SH         DEFINED  1,2,6                       83,387
ENTEGRIS INC         COM        29362U10       4,879   2,227,731 SH         DEFINED  1,2,5                    2,227,731
ENTERCOM COMMUNICATI CL A       29363910         620     503,668 SH         DEFINED  1,2                        503,668
ENTERGY CORP NEW     COM        29364G10     621,164   7,472,203 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,472,203
ENTERPRISE FINL SVCS COM        29371210       2,343     153,719 SH         DEFINED  1,2                        153,719
ENTERPRISE GP HLDGS  UNIT LP IN 29371610         678      38,881 SH         DEFINED  1,2,8                       38,881
ENTERPRISE PRODS PAR COM        29379210       6,358     306,714 SH         DEFINED  1,2,8                      306,714
ENTERTAINMENT PPTYS  COM SH BEN 29380T10      24,661     827,547 SH         DEFINED  1,2,3,5                    827,547
ENTORIAN TECHNOLOGIE COM        29383P10           4      13,199 SH         DEFINED  1                           13,199
ENTRAVISION COMMUNIC CL A       29382R10       1,641   1,051,634 SH         DEFINED  1,2,6                    1,051,634
ENTREMED INC         COM        29382F10           4      22,990 SH         DEFINED  1                           22,990
ENTROPIC COMMUNICATI COM        29384R10          87     174,739 SH         DEFINED  1                          174,739
ENTRUST INC          COM        29384810       1,225     775,468 SH         DEFINED  1,5                        775,468
ENVIRONMENTAL TECTON COM        29409210          11      13,800 SH         DEFINED  1                           13,800
ENZO BIOCHEM INC     COM        29410010       2,809     574,528 SH         DEFINED  1,2,5,6                    574,528
ENZON PHARMACEUTICAL COM        29390410       8,379   1,437,215 SH         DEFINED  1,2,5                    1,437,215
EOG RES INC          COM        26875P10     644,982   9,687,321 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,687,321
EPICOR SOFTWARE CORP COM        29426L10       5,013   1,044,438 SH         DEFINED  1,2,5,6                  1,044,438
EPIQ SYS INC         COM        26882D10      10,270     614,628 SH         DEFINED  1,2,6                      614,628
EPIX PHARMACEUTICALS COM NEW    26881Q30          32      31,284 SH         DEFINED  1,5                         31,284
EPOCH HOLDING CORP   COM        29428R10       1,182     155,761 SH         DEFINED  1,2                        155,761
EQUIFAX INC          COM        29442910     129,580   4,886,116 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,886,116
EQUINIX INC          COM NEW    29444U50      23,268     437,454 SH         DEFINED  1,2,5,6,8,10               437,454
EQUITABLE RES INC    COM        29454910     186,440   5,557,070 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,557,070
EQUITY LIFESTYLE PPT COM        29472R10      26,270     684,820 SH         DEFINED  1,2,3,5,6                  684,820
EQUITY ONE           COM        29475210      24,386   1,377,755 SH         DEFINED  1,2,3                    1,377,755
EQUITY RESIDENTIAL   SH BEN INT 29476L10     451,667  15,146,439 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  15,146,439
ERESEARCHTECHNOLOGY  COM        29481V10       6,813   1,027,675 SH         DEFINED  1,2,5,6                  1,027,675
ERICSSON L M TEL CO  ADR B SEK  29482160       4,098     524,693 SH         DEFINED  1,2                        524,693
ERIE INDTY CO        CL A       29530P10      12,900     342,824 SH         DEFINED  1,2,5,10,12                342,824
ESCO TECHNOLOGIES IN COM        29631510      18,508     451,977 SH         DEFINED  1,2,5,6                    451,977
ESSA BANCORP INC     COM        29667D10       3,723     263,495 SH         DEFINED  1,2                        263,495
ESSEX PPTY TR INC    COM        29717810      72,991     951,024 SH         DEFINED  1,2,3,5,10                 951,024







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ESTERLINE TECHNOLOGI COM        29742510      20,437     539,368 SH         DEFINED  1,2,6                      539,368
ETHAN ALLEN INTERIOR COM        29760210       7,826     544,625 SH         DEFINED  1,2,5                      544,625
EUROBANCSHARES INC   COM        29871610          17      10,800 SH         DEFINED  1                           10,800
EURONET WORLDWIDE IN COM        29873610      10,993     946,818 SH         DEFINED  1,2,5,6,8                  946,818
EV3 INC              COM        26928A20       8,601   1,410,034 SH         DEFINED  1,2,6,8                  1,410,034
EVANS & SUTHERLAND C COM        29909610          10      16,128 SH         DEFINED  1                           16,128
EVERCORE PARTNERS IN CLASS A    29977A10       2,163     173,202 SH         DEFINED  1,2                        173,202
EVEREST RE GROUP LTD COM        G3223R10      93,842   1,232,495 SH         DEFINED  1,2,5,7,8,10,12,13       1,232,495
EVERGREEN ENERGY INC COM        30024B10         443   1,581,371 SH         DEFINED  1,2,5                    1,581,371
EVERGREEN SOLAR INC  COM        30033R10       7,931   2,486,283 SH         DEFINED  1,2,5,6,8                2,486,283
EVOLVING SYS INC     COM        30049R10          22      26,876 SH         DEFINED  1                           26,876
EVOTEC AG            SPONSORED  30050E10          23      11,062 SH         DEFINED  1                           11,062
EXACT SCIENCES CORP  COM        30063P10          12      20,617 SH         DEFINED  1                           20,617
EXACTECH INC         COM        30064E10       1,515      89,965 SH         DEFINED  1,2                         89,965
EXAR CORP            COM        30064510       5,437     815,143 SH         DEFINED  1,2,5,8                    815,143
EXCEL MARITIME CARRI COM        V3267N10         254      36,111 SH         DEFINED  1,2,5                       36,111
EXCO RESOURCES INC   COM        26927940      25,158   2,776,871 SH         DEFINED  1,2,5,6                  2,776,871
EXELIXIS INC         COM        30161Q10       8,264   1,646,261 SH         DEFINED  1,2,5,6                  1,646,261
EXELON CORP          COM        30161N10   1,454,352  26,152,710 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,152,710
EXIDE TECHNOLOGIES   COM NEW    30205120       6,678   1,262,369 SH         DEFINED  1,2,8                    1,262,369
EXLSERVICE HOLDINGS  COM        30208110       2,126     248,126 SH         DEFINED  1,2,6                      248,126
EXPEDIA INC DEL      COM        30212P10      67,305   8,168,049 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,168,049
EXPEDITORS INTL WASH COM        30213010     250,834   7,539,340 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,539,340
EXPONENT INC         COM        30214U10       7,519     249,956 SH         DEFINED  1,2,6                      249,956
EXPRESS SCRIPTS INC  COM        30218210     543,961   9,893,800 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,893,800
EXTERRAN HLDGS INC   COM        30225X10      34,197   1,605,486 SH         DEFINED  1,2,5,8,10               1,605,486
EXTERRAN PARTNERS LP COM UNITS  30225N10         124      11,037 SH         DEFINED  1,2                         11,037
EXTRA SPACE STORAGE  COM        30225T10      28,689   2,779,959 SH         DEFINED  1,2,3                    2,779,959
EXTREME NETWORKS INC COM        30226D10       3,820   1,632,608 SH         DEFINED  1,2,5,6                  1,632,608
EXXON MOBIL CORP     COM        30231G10  16,100,216 201,681,273 SH         DEFINED  1,2,5,6,7,8,10,12,13   201,681,273
EZCORP INC           CL A NON V 30230110      13,650     897,452 SH         DEFINED  1,2,5,6                    897,452
F M C CORP           COM NEW    30249130      90,236   2,017,358 SH         DEFINED  1,2,5,7,10               2,017,358
F5 NETWORKS INC      COM        31561610      39,192   1,714,416 SH         DEFINED  1,2,5,6,10               1,714,416
FACET BIOTECH CORP   SHS        30303Q10       4,500     469,251 SH         DEFINED  1,2,5,6                    469,251
FACTSET RESH SYS INC COM        30307510      35,066     792,633 SH         DEFINED  1,2,5,6,10                 792,633
FAIR ISAAC CORP      COM        30325010      23,761   1,409,283 SH         DEFINED  1,2,5,6                  1,409,283
FAIRCHILD SEMICONDUC COM        30372610      11,765   2,405,992 SH         DEFINED  1,2,5,10                 2,405,992
FAIRPOINT COMMUNICAT COM        30556010       5,289   1,612,522 SH         DEFINED  1,2,5,13                 1,612,522
FALCONSTOR SOFTWARE  COM        30613710       1,593     573,101 SH         DEFINED  1,2,5,6                    573,101
FAMILY DLR STORES IN COM        30700010     169,964   6,519,534 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,519,534
FAMOUS DAVES AMER IN COM        30706810          41      14,000 SH         DEFINED  1,5                         14,000
FARMER BROS CO       COM        30767510       2,632     105,553 SH         DEFINED  1,2                        105,553
FARMERS CAP BK CORP  COM        30956210       2,277      93,225 SH         DEFINED  1,2                         93,225
FARO TECHNOLOGIES IN COM        31164210       4,664     276,634 SH         DEFINED  1,2,6                      276,634
FASTENAL CO          COM        31190010     158,506   4,548,247 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,548,247
FBL FINL GROUP INC   CL A       30239F10       3,248     210,204 SH         DEFINED  1,2                        210,204
FBR CAPITAL MARKETS  COM        30247C30       2,107     433,465 SH         DEFINED  1,2,6                      433,465
FCSTONE GROUP INC    COM        31308T10       1,440     325,145 SH         DEFINED  1,2,6                      325,145







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
FEDERAL AGRIC MTG CO CL C       31314830         599     171,011 SH         DEFINED  1,2                        171,011
FEDERAL HOME LN MTG  COM        31340030       4,481   6,138,774 SH         DEFINED  1,2,5,6,10               6,138,774
FEDERAL MOGUL CORP   COM        31354940         951     224,707 SH         DEFINED  1,2,7,8,10                 224,707
FEDERAL NATL MTG ASS COM        31358610       7,649  10,064,079 SH         DEFINED  1,2,5,10                10,064,079
FEDERAL REALTY INVT  SH BEN INT 31374720     134,253   2,162,579 SH         DEFINED  1,2,3,5,7,8,10,12,13     2,162,579
FEDERAL SIGNAL CORP  COM        31385510      10,231   1,246,196 SH         DEFINED  1,2,5                    1,246,196
FEDERATED INVS INC P CL B       31421110      70,490   4,156,258 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,156,258
FEDEX CORP           COM        31428X10     701,263  10,931,611 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,931,611
FEI CO               COM        30241L10      12,531     664,424 SH         DEFINED  1,2,5,6                    664,424
FELCOR LODGING TR IN COM        31430F10       5,443   2,958,126 SH         DEFINED  1,2,3,5                  2,958,126
FERRELLGAS PARTNERS  UNIT LTD P 31529310         745      50,842 SH         DEFINED  1,2                         50,842
FERRO CORP           COM        31540510       7,988   1,133,035 SH         DEFINED  1,2,5                    1,133,035
FGX INTERNATIONAL HL ORD SHS    G3396L10       2,727     198,502 SH         DEFINED  1,2                        198,502
FIBERTOWER CORP      COM        31567R10         276   1,727,708 SH         DEFINED  1,2,5,6                  1,727,708
FIDELITY NATIONAL FI CL A       31620R10      87,565   4,933,244 SH         DEFINED  1,2,5,7,8,10,12,13       4,933,244
FIDELITY NATL INFORM COM        31620M10     106,191   6,526,823 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,526,823
FIFTH STREET FINANCE COM        31678A10         854     113,129 SH         DEFINED  1,2                        113,129
FIFTH THIRD BANCORP  COM        31677310     214,134  25,924,169 SH         DEFINED  1,2,5,6,7,8,10,12,13    25,924,169
FINANCIAL FED CORP   COM        31749210      11,289     485,126 SH         DEFINED  1,2                        485,126
FINANCIAL INSTNS INC COM        31758540       2,152     149,998 SH         DEFINED  1,2                        149,998
FINISAR              COM        31787A10       2,162   5,690,382 SH         DEFINED  1,2,5,6                  5,690,382
FINISH LINE INC      CL A       31792310       5,140     917,793 SH         DEFINED  1,2,5                      917,793
FIRST ACCEPTANCE COR COM        31845710         821     283,110 SH         DEFINED  1                          283,110
FIRST ADVANTAGE CORP CL A       31845F10       2,320     163,969 SH         DEFINED  1,2                        163,969
FIRST AMERN CORP CAL COM        31852230      61,505   2,128,953 SH         DEFINED  1,2,5,7,8,10,12,13       2,128,953
FIRST BANCORP INC ME COM        31866P10       3,267     164,272 SH         DEFINED  1,2                        164,272
FIRST BANCORP N C    COM        31891010       4,640     252,850 SH         DEFINED  1,2,5                      252,850
FIRST BANCORP P R    COM        31867210      21,482   1,928,348 SH         DEFINED  1,2,5                    1,928,348
FIRST BUSEY CORP     COM        31938310       7,951     435,915 SH         DEFINED  1,2,5                      435,915
FIRST CASH FINL SVCS COM        31942D10       6,622     347,434 SH         DEFINED  1,2,6                      347,434
FIRST CMNTY BANCSHAR COM        31983A10       5,766     165,353 SH         DEFINED  1,2                        165,353
FIRST COMWLTH FINL C COM        31982910      37,399   3,020,918 SH         DEFINED  1,2,5                    3,020,918
FIRST CTZNS BANCSHAR CL A       31946M10      10,417      68,172 SH         DEFINED  1,2,5,6,7,10                68,172
FIRST FINANCIAL NORT COM        32022K10       5,961     638,216 SH         DEFINED  1,2                        638,216
FIRST FINL BANCORP O COM        32020910       9,846     794,706 SH         DEFINED  1,2,5                      794,706
FIRST FINL BANKSHARE COM        32020R10      20,014     362,513 SH         DEFINED  1,2,5,6                    362,513
FIRST FINL CORP IND  COM        32021810       8,281     202,023 SH         DEFINED  1,2,6                      202,023
FIRST FINL HLDGS INC COM        32023910       4,217     208,327 SH         DEFINED  1,2                        208,327
FIRST HORIZON NATL C COM        32051710     102,520   9,699,133 SH         DEFINED  1,2,5,6,8,10,12,13       9,699,133
FIRST INDUSTRIAL REA COM        32054K10      12,031   1,593,473 SH         DEFINED  1,2,3,5                  1,593,473
FIRST MARBLEHEAD COR COM        32077110       1,363   1,056,956 SH         DEFINED  1,2,5                    1,056,956
FIRST MERCHANTS CORP COM        32081710       8,562     385,494 SH         DEFINED  1,2                        385,494
FIRST MERCURY FINANC COM        32084110       2,910     204,075 SH         DEFINED  1,2                        204,075
FIRST MIDWEST BANCOR COM        32086710      39,321   1,968,990 SH         DEFINED  1,2,5                    1,968,990
FIRST NIAGARA FINL G COM        33582V10      79,304   4,904,375 SH         DEFINED  1,2,5                    4,904,375
FIRST PL FINL CORP   COM        33610T10       1,605     419,126 SH         DEFINED  1,2                        419,126
FIRST POTOMAC RLTY T COM        33610F10       9,423   1,013,265 SH         DEFINED  1,2,3                    1,013,265
FIRST SEC GROUP INC  COM        33631210          78      16,800 SH         DEFINED  1                           16,800







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
FIRST SOLAR INC      COM        33643310      88,066     638,348 SH         DEFINED  1,2,5,7,8,10,12,13         638,348
FIRST SOUTH BANCORP  COM        33646W10       1,665     132,590 SH         DEFINED  1                          132,590
FIRST ST BANCORPORAT COM        33645310          19      11,662 SH         DEFINED  1                           11,662
FIRSTENERGY CORP     COM        33793210   1,062,970  21,880,822 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,880,822
FIRSTFED FINL CORP   COM        33790710         602     344,262 SH         DEFINED  1,2,5                      344,262
FIRSTMERIT CORP      COM        33791510      58,815   2,856,475 SH         DEFINED  1,2,5                    2,856,475
FISERV INC           COM        33773810     207,768   5,712,608 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,712,608
FISHER COMMUNICATION COM        33775620       2,342     113,487 SH         DEFINED  1,2,6                      113,487
FIVE STAR QUALITY CA COM        33832D10         610     398,738 SH         DEFINED  1,2,5                      398,738
FLAGSTAR BANCORP INC COM        33793010         659     928,355 SH         DEFINED  1,2,5                      928,355
FLAGSTONE REINSURANC SHS        G3529T10       5,524     565,435 SH         DEFINED  1,2                        565,435
FLANDERS CORP        COM        33849410         833     177,508 SH         DEFINED  1                          177,508
FLEETWOOD ENTERPRISE COM        33909910         104   1,042,276 SH         DEFINED  1,2                      1,042,276
FLEXSTEEL INDS INC   COM        33938210         126      18,861 SH         DEFINED  1                           18,861
FLEXTRONICS INTL LTD ORD        Y2573F10      19,564   7,642,341 SH         DEFINED  1,2,5,7,8,10,12,13       7,642,341
FLIR SYS INC         COM        30244510     160,896   5,244,342 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,244,342
FLORIDA PUB UTILS CO COM        34113510         258      24,412 SH         DEFINED  1,2                         24,412
FLOTEK INDS INC DEL  COM        34338910         796     315,763 SH         DEFINED  1,2,5,6                    315,763
FLOW INTL CORP       COM        34346810       1,367     564,931 SH         DEFINED  1,2                        564,931
FLOWERS FOODS INC    COM        34349810      47,854   1,964,459 SH         DEFINED  1,2,5,6                  1,964,459
FLOWSERVE CORP       COM        34354P10     115,713   2,246,848 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,246,848
FLUOR CORP NEW       COM        34341210     327,316   7,294,772 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,294,772
FLUSHING FINL CORP   COM        34387310       4,671     390,536 SH         DEFINED  1,2                        390,536
FMC TECHNOLOGIES INC COM        30249U10      75,002   3,147,394 SH         DEFINED  1,2,5,7,8,10,12,13       3,147,394
FNB CORP PA          COM        30252010      36,844   2,791,241 SH         DEFINED  1,2,5                    2,791,241
FOCUS MEDIA HLDG LTD SPONSORED  34415V10         382      42,028 SH         DEFINED  1,2                         42,028
FOMENTO ECONOMICO ME SPON ADR U 34441910      16,401     544,335 SH         DEFINED  1,2,7                      544,335
FOOT LOCKER INC      COM        34484910      29,158   3,972,508 SH         DEFINED  1,2,5,8,10,12            3,972,508
FORCE PROTECTION INC COM NEW    34520320       7,481   1,250,921 SH         DEFINED  1,2,5,6                  1,250,921
FORD MTR CO CAP TR I PFD TR CV6 34539520          90      10,000 SH         DEFINED  1                           10,000
FORD MTR CO DEL      NOTE  4.25 345370CF         258   1,000,000 SH         DEFINED  1                        1,000,000
FORD MTR CO DEL      COM PAR $0 34537086     179,944  78,578,144 SH         DEFINED  1,2,5,6,7,8,10,12,13    78,578,144
FOREST CITY ENTERPRI CL A       34555010       7,435   1,109,691 SH         DEFINED  1,2,3,5,7,8,10,12,13     1,109,691
FOREST LABS INC      COM        34583810     331,806  13,027,343 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,027,343
FOREST OIL CORP      COM PAR $0 34609170      40,716   2,469,159 SH         DEFINED  1,2,5,7,8,10,12,13       2,469,159
FORESTAR GROUP INC   COM        34623310       6,537     686,686 SH         DEFINED  1,2,5,6                    686,686
FORGENT NETWORKS INC COM        34629U10           2      12,271 SH         DEFINED  1                           12,271
FORMFACTOR INC       COM        34637510      11,839     810,898 SH         DEFINED  1,2,6                      810,898
FORRESTER RESH INC   COM        34656310      12,380     438,843 SH         DEFINED  1,2,6                      438,843
FORTRESS INVESTMENT  CL A       34958B10          54      54,384 SH         DEFINED  1,2                         54,384
FORTUNE BRANDS INC   COM        34963110     212,272   5,142,236 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,142,236
FORWARD AIR CORP     COM        34985310      13,122     540,676 SH         DEFINED  1,2,6                      540,676
FORWARD INDS INC N Y COM NEW    34986230          28      12,523 SH         DEFINED  1                           12,523
FOSSIL INC           COM        34988210      17,569   1,052,054 SH         DEFINED  1,2,5,6,8                1,052,054
FOSTER L B CO        COM        35006010       5,625     179,819 SH         DEFINED  1,2,5,6                    179,819
FOSTER WHEELER LTD   SHS NEW    G3653513      69,686   2,980,599 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,980,599
FOUNDATION COAL HLDG COM        35039W10      15,936   1,136,666 SH         DEFINED  1,2,5,6,10               1,136,666
FOUNDRY NETWORKS INC COM        35063R10       2,751     165,100 SH         DEFINED  1,7                        165,100







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
FOUNTAIN POWERBOAT I COM NEW    35075530           4      13,400 SH         DEFINED  1                           13,400
FOX CHASE BANCORP    COM        35137P10       1,983     180,253 SH         DEFINED  1,2                        180,253
FPIC INS GROUP INC   COM        30256310       8,426     192,455 SH         DEFINED  1,2,5                      192,455
FPL GROUP INC        COM        30257110     817,059  16,234,033 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,234,033
FRANCE TELECOM       SPONSORED  35177Q10       1,631      58,096 SH         DEFINED  1,2                         58,096
FRANKLIN ELEC INC    COM        35351410       9,888     351,778 SH         DEFINED  1,2                        351,778
FRANKLIN RES INC     COM        35461310     403,705   6,329,646 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,329,646
FRANKLIN STREET PPTY COM        35471R10      16,291   1,104,450 SH         DEFINED  1,2,3                    1,104,450
FREDS INC            CL A       35610810       8,598     799,089 SH         DEFINED  1,2,5                      799,089
FREEPORT-MCMORAN COP PFD CONV   35671D78         308       6,500 SH         DEFINED  1                            6,500
FREEPORT-MCMORAN COP COM        35671D85     369,841  15,132,612 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,132,612
FREIGHTCAR AMER INC  COM        35702310       3,521     192,733 SH         DEFINED  1,2,6                      192,733
FRESENIUS KABI PHARM RIGHT 06/3 35802M11          69     196,512 SH         DEFINED  1,2                        196,512
FRESENIUS MED CARE A SPONSORED  35802910         829      17,577 SH         DEFINED  1                           17,577
FRESH DEL MONTE PROD ORD        G3673810      20,014     892,668 SH         DEFINED  1,2,5                      892,668
FRIEDMAN BILLINGS RA CL A       35843410         563   3,311,706 SH         DEFINED  1,2                      3,311,706
FRIEDMAN INDS INC    COM        35843510          76      11,440 SH         DEFINED  1                           11,440
FRONTIER COMMUNICATI COM        35906A10      87,090   9,964,516 SH         DEFINED  1,2,5,6,8,10,12,13       9,964,516
FRONTIER FINL CORP W COM        35907K10      11,089   2,543,288 SH         DEFINED  1,2,5                    2,543,288
FRONTIER OIL CORP    COM        35914P10      36,067   2,855,643 SH         DEFINED  1,2,5,10                 2,855,643
FRONTLINE LTD        SHS        G3682E12      18,541     626,160 SH         DEFINED  1,2,5,7,8,10               626,160
FROZEN FOOD EXPRESS  COM        35936010          58      10,241 SH         DEFINED  1,5                         10,241
FSI INTL INC         COM        30263310          15      49,179 SH         DEFINED  1                           49,179
FTI CONSULTING INC   COM        30294110      48,095   1,076,428 SH         DEFINED  1,2,5,7,8,10,12,13       1,076,428
FUEL SYS SOLUTIONS I COM        35952W10       7,434     226,925 SH         DEFINED  1,2,5,6                    226,925
FUEL TECH INC        COM        35952310       2,859     269,960 SH         DEFINED  1,2,5,6                    269,960
FUELCELL ENERGY INC  COM        35952H10       5,820   1,499,950 SH         DEFINED  1,2,5,6                  1,499,950
FUJIFILM HLDGS CORP  ADR 2 ORD  35958N10         484      21,777 SH         DEFINED  1                           21,777
FULLER H B CO        COM        35969410      20,236   1,256,108 SH         DEFINED  1,2,5                    1,256,108
FULTON FINL CORP PA  COM        36027110      59,298   6,164,055 SH         DEFINED  1,2,5,8,10,12            6,164,055
FUQI INTERNATIONAL I COM NEW    36102A20         622      99,291 SH         DEFINED  1                           99,291
FURMANITE CORPORATIO COM        36108610       2,939     545,270 SH         DEFINED  1,2,5,6                    545,270
FURNITURE BRANDS INT COM        36092110       2,432   1,100,495 SH         DEFINED  1,2,5                    1,100,495
FUSHI COPPERWELD INC COM        36113E10         972     184,531 SH         DEFINED  1,6                        184,531
FX ENERGY INC        COM        30269510       1,563     560,365 SH         DEFINED  1,2,5                      560,365
FX REAL ESTATE & ENT COM        30270910          18     123,051 SH         DEFINED  1,2                        123,051
G & K SVCS INC       CL A       36126810       7,800     385,751 SH         DEFINED  1,2,5                      385,751
GAIAM INC            CL A       36268Q10       1,405     304,027 SH         DEFINED  1,2,6                      304,027
GALLAGHER ARTHUR J & COM        36357610      45,492   1,755,788 SH         DEFINED  1,2,5,8,10,12            1,755,788
GAMCO INVESTORS INC  COM        36143810       3,447     126,187 SH         DEFINED  1,2,6                      126,187
GAMESTOP CORP NEW    CL A       36467W10     128,199   5,918,675 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,918,675
GANNETT INC          COM        36473010      78,587   9,823,345 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,823,345
GAP INC DEL          COM        36476010     307,520  22,966,406 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,966,406
GARDNER DENVER INC   COM        36555810      25,130   1,076,711 SH         DEFINED  1,2,5,6,7,10             1,076,711
GARMIN LTD           ORD        G3726010      28,238   1,473,048 SH         DEFINED  1,2,5,7,8,10,12,13       1,473,048
GARTNER INC          COM        36665110      38,920   2,182,864 SH         DEFINED  1,2,5,6,7,8              2,182,864
GASCO ENERGY INC     COM        36722010         522   1,338,684 SH         DEFINED  1,2,5                    1,338,684
GASTAR EXPL LTD      COM        36729910          41     121,688 SH         DEFINED  1,2                        121,688







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
GATEWAY FINL HLDGS I COM        36814010          43      10,800 SH         DEFINED  1                           10,800
GATX CORP            COM        36144810      31,106   1,004,384 SH         DEFINED  1,2,5,10                 1,004,384
GAYLORD ENTMT CO NEW COM        36790510      10,797     996,001 SH         DEFINED  1,2,6,8                    996,001
GENAERA CORP         COM NEW    36867G20           4      10,523 SH         DEFINED  1                           10,523
GENCO SHIPPING & TRA SHS        Y2685T10       5,144     347,598 SH         DEFINED  1,2,6                      347,598
GENCORP INC          COM        36868210       3,449     937,263 SH         DEFINED  1,2,6                      937,263
GENELABS TECHNOLOGIE COM NEW    36870620          21      16,560 SH         DEFINED  1                           16,560
GENENTECH INC        COM NEW    36871040     599,431   7,229,900 SH         DEFINED  1,2,5,7,8,10,12,13       7,229,900
GENERAL CABLE CORP D COM        36930010      13,599     768,733 SH         DEFINED  1,2,5,6,10                 768,733
GENERAL COMMUNICATIO CL A       36938510       9,991   1,234,940 SH         DEFINED  1,2,6                    1,234,940
GENERAL DYNAMICS COR COM        36955010     860,194  14,936,523 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,936,523
GENERAL ELECTRIC CO  COM        36960410   6,199,089 382,659,825 SH         DEFINED  1,2,5,6,7,8,10,12,13   382,659,825
GENERAL GROWTH PPTYS COM        37002110       3,017   2,338,402 SH         DEFINED  1,2,3,5,10               2,338,402
GENERAL MARITIME COR SHS        Y2692M10         411      27,300 SH         DEFINED  1                           27,300
GENERAL MLS INC      COM        37033410   1,281,806  21,099,689 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,099,689
GENERAL MOLY INC     COM        37037310       1,072     908,596 SH         DEFINED  1,2,6                      908,596
GENERAL MTRS CORP    COM        37044210     331,250 103,515,638 SH         DEFINED  1,2,5,6,7,8,10,12,13   103,515,638
GENERAL STEEL HOLDIN COM        37085310         483     122,682 SH         DEFINED  1                          122,682
GENESCO INC          COM        37153210       9,252     546,810 SH         DEFINED  1,2                        546,810
GENESEE & WYO INC    CL A       37155910      16,776     550,040 SH         DEFINED  1,2,6                      550,040
GENESIS ENERGY L P   UNIT LTD P 37192710         224      25,832 SH         DEFINED  1,2                         25,832
GENOMIC HEALTH INC   COM        37244C10       4,757     244,187 SH         DEFINED  1,2,5,6                    244,187
GENOPTIX INC         COM        37243V10       6,145     180,297 SH         DEFINED  1,2,6                      180,297
GENPACT LIMITED      SHS        G3922B10       3,638     442,520 SH         DEFINED  1,2,6,10                   442,520
GEN-PROBE INC NEW    COM        36866T10      43,367   1,012,306 SH         DEFINED  1,2,5,6,10               1,012,306
GENTEK INC           COM NEW    37245X20       2,091     138,961 SH         DEFINED  1,2                        138,961
GENTEX CORP          COM        37190110      22,906   2,594,080 SH         DEFINED  1,2,5,6,10,12            2,594,080
GENTIVA HEALTH SERVI COM        37247A10      14,311     489,092 SH         DEFINED  1,2,5,6                    489,092
GENUINE PARTS CO     COM        37246010     224,705   5,935,147 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,935,147
GENVEC INC           COM        37246C10          37      85,955 SH         DEFINED  1,5                         85,955
GENWORTH FINL INC    COM CL A   37247D10      57,389  20,278,623 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,278,623
GENZYME CORP         COM        37291710     661,041   9,959,939 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,959,939
GEO GROUP INC        COM        36159R10      18,089   1,003,250 SH         DEFINED  1,2,5,6                  1,003,250
GEOEYE INC           COM        37250W10       6,157     320,176 SH         DEFINED  1,2,6                      320,176
GEOGLOBAL RESOURCES  COM        37249T10         726     453,739 SH         DEFINED  1,5,6                      453,739
GEOKINETICS INC      COM PAR $0 37291030         189      76,695 SH         DEFINED  1                           76,695
GEOMET INC DEL       COM        37250U20         485     281,947 SH         DEFINED  1,2,5                      281,947
GEORESOURCES INC     COM        37247610         862      99,168 SH         DEFINED  1,2                         99,168
GEORGIA GULF CORP    COM PAR $0 37320020         108     101,305 SH         DEFINED  1,2,5                      101,305
GERBER SCIENTIFIC IN COM        37373010       1,937     379,066 SH         DEFINED  1,2                        379,066
GERDAU AMERISTEEL CO COM        37373P10         102      16,761 SH         DEFINED  5                           16,761
GERDAU S A           SPONSORED  37373710       4,896     741,883 SH         DEFINED  1,2,7                      741,883
GERMAN AMERN BANCORP COM        37386510         129      11,366 SH         DEFINED  1                           11,366
GERON CORP           COM        37416310       5,740   1,229,218 SH         DEFINED  1,2,6                    1,229,218
GETTY RLTY CORP NEW  COM        37429710       8,555     406,242 SH         DEFINED  1,2,3                      406,242
GEVITY HR INC        COM        37439310         638     422,626 SH         DEFINED  1                          422,626
GFI GROUP INC        COM        36165220       4,861   1,373,226 SH         DEFINED  1,2                      1,373,226
GIBRALTAR INDS INC   COM        37468910       7,755     649,482 SH         DEFINED  1,2                        649,482







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
G-III APPAREL GROUP  COM        36237H10       1,283     200,782 SH         DEFINED  1,2                        200,782
GILEAD SCIENCES INC  NOTE  0.62 375558AH         476     350,000 SH         DEFINED  1                          350,000
GILEAD SCIENCES INC  COM        37555810   1,714,523  33,526,075 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,526,075
GLACIER BANCORP INC  COM        37637Q10      43,732   2,299,275 SH         DEFINED  1,2,6                    2,299,275
GLADSTONE CAPITAL CO COM        37653510       2,468     305,068 SH         DEFINED  1,2                        305,068
GLADSTONE COML CORP  COM        37653610         137      16,164 SH         DEFINED  1,3,5                       16,164
GLADSTONE INVT CORP  COM        37654610       1,320     268,778 SH         DEFINED  1,2                        268,778
GLATFELTER           COM        37731610       9,331   1,003,347 SH         DEFINED  1,2                      1,003,347
GLAXOSMITHKLINE PLC  SPONSORED  37733W10     570,798  15,315,218 SH         DEFINED  1,2,6                   15,315,218
GLG PARTNERS INC     COM        37929X10       6,907   3,042,671 SH         DEFINED  1,2,7,10                 3,042,671
GLIMCHER RLTY TR     SH BEN INT 37930210       4,363   1,552,842 SH         DEFINED  1,2,3,5                  1,552,842
GLOBAL CASH ACCESS H COM        37896710       1,667     750,759 SH         DEFINED  1,2,6                      750,759
GLOBAL CROSSING LTD  SHS NEW    G3921A17       3,508     441,843 SH         DEFINED  1,2,6                      441,843
GLOBAL INDS LTD      COM        37933610       4,119   1,180,111 SH         DEFINED  1,2,5,6,10               1,180,111
GLOBAL PMTS INC      COM        37940X10      52,009   1,586,119 SH         DEFINED  1,2,5,7,10               1,586,119
GLOBAL SOURCES LTD   ORD        G3930010         929     170,399 SH         DEFINED  1                          170,399
GLOBAL TRAFFIC NETWO COM        37947B10         774     132,550 SH         DEFINED  1                          132,550
GLOBALSTAR INC       COM        37897340         120     601,374 SH         DEFINED  1,2                        601,374
GLOBECOMM SYSTEMS IN COM        37956X10       1,402     255,377 SH         DEFINED  1,2                        255,377
GMX RES INC          COM        38011M10       7,511     296,631 SH         DEFINED  1,2,5,6                    296,631
GOL LINHAS AEREAS IN SP ADR REP 38045R10          98      23,200 SH         DEFINED  1                           23,200
GOLAR LNG LTD BERMUD SHS        G9456A10       3,121     461,653 SH         DEFINED  1                          461,653
GOLD FIELDS LTD NEW  SPONSORED  38059T10         165      16,641 SH         DEFINED  1                           16,641
GOLDCORP INC NEW     COM        38095640         410      12,991 SH         DEFINED  1,5                         12,991
GOLDMAN SACHS GROUP  COM        38141G10   1,577,168  18,689,042 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,689,042
GOODRICH CORP        COM        38238810     168,925   4,563,063 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,563,063
GOODRICH PETE CORP   COM NEW    38241040      12,276     409,887 SH         DEFINED  1,2,6                      409,887
GOODYEAR TIRE & RUBR COM        38255010      53,622   8,981,888 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,981,888
GOOGLE INC           CL A       38259P50   2,600,319   8,452,199 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,452,199
GORMAN RUPP CO       COM        38308210       6,810     218,824 SH         DEFINED  1,2,6                      218,824
GP STRATEGIES CORP   COM        36225V10          67      14,857 SH         DEFINED  1                           14,857
GRACE W R & CO DEL N COM        38388F10       8,915   1,493,274 SH         DEFINED  1,2,5,6                  1,493,274
GRACO INC            COM        38410910      33,132   1,396,199 SH         DEFINED  1,2,5,6,10               1,396,199
GRAFTECH INTL LTD    COM        38431310      19,390   2,330,556 SH         DEFINED  1,2,5,6                  2,330,556
GRAHAM CORP          COM        38455610       1,879     173,680 SH         DEFINED  1,2                        173,680
GRAINGER W W INC     COM        38480210     190,024   2,410,247 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,410,247
GRAMERCY CAP CORP    COM        38487110         824     643,889 SH         DEFINED  1,2,3,5                    643,889
GRAN TIERRA ENERGY I COM        38500T10       8,772   3,132,820 SH         DEFINED  1,2                      3,132,820
GRAND CANYON ED INC  COM        38526M10       2,155     114,769 SH         DEFINED  1,2                        114,769
GRANITE CONSTR INC   COM        38732810      48,259   1,098,535 SH         DEFINED  1,2,5,6,8                1,098,535
GRAPHIC PACKAGING HL COM        38868910       2,305   2,022,074 SH         DEFINED  1,2,6                    2,022,074
GRAY TELEVISION INC  COM        38937510         269     671,538 SH         DEFINED  1                          671,538
GREAT ATLANTIC & PAC COM        39006410       4,071     649,307 SH         DEFINED  1,2,5,6                    649,307
GREAT LAKES DREDGE & COM        39060710       2,401     578,451 SH         DEFINED  1,2                        578,451
GREAT PLAINS ENERGY  COM        39116410      43,265   2,238,218 SH         DEFINED  1,2,5,8,10               2,238,218
GREAT WOLF RESORTS I COM        39152310         714     463,766 SH         DEFINED  1,2                        463,766
GREATBATCH INC       COM        39153L10      13,858     523,731 SH         DEFINED  1,2,5                      523,731
GREEN BANKSHARES INC COM NEW    39436120       3,127     230,959 SH         DEFINED  1,2                        230,959







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
GREEN MTN COFFEE ROA COM        39312210      10,910     281,902 SH         DEFINED  1,2,6                      281,902
GREENBRIER COS INC   COM        39365710       1,770     257,573 SH         DEFINED  1,2                        257,573
GREENHILL & CO INC   COM        39525910      21,747     311,702 SH         DEFINED  1,2,6                      311,702
GREENHUNTER ENERGY I COM        39530A10         200      40,641 SH         DEFINED  1,2                         40,641
GREENLIGHT CAPITAL R CLASS A    G4095J10       8,197     631,021 SH         DEFINED  1,2,6                      631,021
GREIF INC            CL A       39762410      19,399     580,279 SH         DEFINED  1,2,5,6,10                 580,279
GRIFFIN LD & NURSERI CL A       39823110       1,468      39,826 SH         DEFINED  1,2                         39,826
GRIFFON CORP         COM        39843310       8,186     877,433 SH         DEFINED  1,2,6                      877,433
GROUP 1 AUTOMOTIVE I COM        39890510       4,809     446,478 SH         DEFINED  1,2                        446,478
GROUPE CGI INC       CL A SUB V 39945C10         111      14,270 SH         DEFINED  1                           14,270
GRUBB & ELLIS CO     COM PAR $0 40009520         684     551,779 SH         DEFINED  1,5                        551,779
GRUPO AEROPORTUARIO  SPON ADR S 40051E20         215       5,754 SH         DEFINED  1                            5,754
GRUPO FINANCIERO GAL SP ADR 10  39990910          33      14,809 SH         DEFINED  1,2                         14,809
GRUPO TELEVISA SA DE SP ADR REP 40049J20      11,602     776,580 SH         DEFINED  1,2,7                      776,580
GSI COMMERCE INC     COM        36238G10       3,910     371,686 SH         DEFINED  1,2,5,6                    371,686
GT SOLAR INTL INC    COM        3623E020         896     309,874 SH         DEFINED  1,2                        309,874
GTX INC DEL          COM        40052B10       4,823     286,428 SH         DEFINED  1,2,6                      286,428
GUARANTY BANCORP DEL COM        40075T10       2,258   1,128,931 SH         DEFINED  1,2                      1,128,931
GUARANTY FINL GROUP  COM        40108N10       3,599   1,378,763 SH         DEFINED  1,2,5,13                 1,378,763
GUESS INC            COM        40161710      22,169   1,444,244 SH         DEFINED  1,2,5,10                 1,444,244
GUIDANCE SOFTWARE IN COM        40169210         380      93,075 SH         DEFINED  1                           93,075
GULF ISLAND FABRICAT COM        40230710       3,111     215,910 SH         DEFINED  1,2,6                      215,910
GULFMARK OFFSHORE IN COM        40262910      10,393     436,883 SH         DEFINED  1,2,5,6                    436,883
GULFPORT ENERGY CORP COM NEW    40263530       1,662     420,833 SH         DEFINED  1,2,6                      420,833
GYMBOREE CORP        COM        40377710      21,385     819,662 SH         DEFINED  1,2,6                      819,662
H & E EQUIPMENT SERV COM        40403010       2,419     313,781 SH         DEFINED  1,2                        313,781
HACKETT GROUP INC    COM        40460910       1,794     614,527 SH         DEFINED  1,2,5                      614,527
HAEMONETICS CORP     COM        40502410      27,444     485,732 SH         DEFINED  1,2,5,6                    485,732
HAIN CELESTIAL GROUP COM        40521710      13,672     716,192 SH         DEFINED  1,2,5                      716,192
HALLIBURTON CO       COM        40621610     769,623  42,333,505 SH         DEFINED  1,2,5,6,7,8,10,12,13    42,333,505
HALLMARK FINL SVCS I COM NEW    40624Q20         610      69,523 SH         DEFINED  1                           69,523
HALOZYME THERAPEUTIC COM        40637H10       5,500     982,148 SH         DEFINED  1,2,5,6                    982,148
HANA BIOSCIENCES INC COM        40963P10           5      22,892 SH         DEFINED  1                           22,892
HANCOCK HLDG CO      COM        41012010      41,740     918,174 SH         DEFINED  1,2,6                      918,174
HANESBRANDS INC      COM        41034510      23,761   1,863,621 SH         DEFINED  1,2,5,6,8,10             1,863,621
HANGER ORTHOPEDIC GR COM NEW    41043F20       7,365     507,568 SH         DEFINED  1,2,5,6                    507,568
HANMI FINL CORP      COM        41049510       1,697     823,745 SH         DEFINED  1,2                        823,745
HANOVER INS GROUP IN COM        41086710      41,661     969,533 SH         DEFINED  1,2,5,7,10                 969,533
HANSEN MEDICAL INC   COM        41130710       1,478     204,728 SH         DEFINED  1,2,6                      204,728
HANSEN NAT CORP      COM        41131010      54,633   1,629,362 SH         DEFINED  1,2,5,7,8,10,12,13       1,629,362
HARBIN ELECTRIC INC  COM        41145W10         486      60,797 SH         DEFINED  1                           60,797
HARLEY DAVIDSON INC  COM        41282210     139,600   8,226,272 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,226,272
HARLEYSVILLE GROUP I COM        41282410      10,646     306,549 SH         DEFINED  1,2                        306,549
HARLEYSVILLE NATL CO COM        41285010      10,187     705,491 SH         DEFINED  1,2                        705,491
HARMAN INTL INDS INC COM        41308610      33,103   1,978,687 SH         DEFINED  1,2,5,6,8,10,12,13       1,978,687
HARMONIC INC         COM        41316010      11,532   2,055,615 SH         DEFINED  1,2,5,6                  2,055,615
HARRIS & HARRIS GROU COM        41383310       1,383     350,107 SH         DEFINED  1,2                        350,107
HARRIS CORP DEL      COM        41387510     206,456   5,425,918 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,425,918







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
HARRIS INTERACTIVE I COM        41454910          17      25,764 SH         DEFINED  1                           25,764
HARRIS STRATEX NTWRK CL A       41457P10       2,622     508,067 SH         DEFINED  1,2,5                      508,067
HARSCO CORP          COM        41586410      69,248   2,501,751 SH         DEFINED  1,2,5,7,8,10,12,13       2,501,751
HARTE-HANKS INC      COM        41619610       6,261   1,003,320 SH         DEFINED  1,2,5                    1,003,320
HARTFORD FINL SVCS G COM        41651510     353,318  21,517,566 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,517,566
HARVARD BIOSCIENCE I COM        41690610          44      16,645 SH         DEFINED  1                           16,645
HARVEST NATURAL RESO COM        41754V10       2,479     576,563 SH         DEFINED  1,2,5                      576,563
HASBRO INC           COM        41805610     169,272   5,802,948 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,802,948
HATTERAS FINL CORP   COM        41902R10       6,441     242,127 SH         DEFINED  1,2                        242,127
HAVERTY FURNITURE IN COM        41959610       2,918     312,720 SH         DEFINED  1,2                        312,720
HAWAIIAN ELEC INDUST COM        41987010      37,753   1,705,184 SH         DEFINED  1,2,5,10                 1,705,184
HAWAIIAN HOLDINGS IN COM        41987910       7,840   1,228,870 SH         DEFINED  1,2,6                    1,228,870
HAYES LEMMERZ INTL I COM NEW    42078130       1,008   2,238,970 SH         DEFINED  1,2,5                    2,238,970
HAYNES INTERNATIONAL COM NEW    42087720       4,730     192,112 SH         DEFINED  1,2,6                      192,112
HCC INS HLDGS INC    COM        40413210      65,714   2,456,588 SH         DEFINED  1,2,5,7,8,10             2,456,588
HCP INC              COM        40414L10     438,313  15,783,670 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  15,783,670
HDFC BANK LTD        ADR REPS 3 40415F10      14,807     207,446 SH         DEFINED  1,2,4,5,6,8                207,446
HEADWATERS INC       COM        42210P10       5,506     815,674 SH         DEFINED  1,2                        815,674
HEALTH CARE REIT INC COM        42217K10     168,833   4,000,773 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   4,000,773
HEALTH GRADES INC    COM        42218Q10          91      44,295 SH         DEFINED  1,5                         44,295
HEALTH MGMT ASSOC IN CL A       42193310       8,044   4,493,662 SH         DEFINED  1,2,5,10                 4,493,662
HEALTH NET INC       COM        42222G10      27,185   2,496,301 SH         DEFINED  1,2,5,7,8,10,12,13       2,496,301
HEALTHCARE RLTY TR   COM        42194610      44,442   1,892,740 SH         DEFINED  1,2,3,5                  1,892,740
HEALTHCARE SVCS GRP  COM        42190610      11,932     749,015 SH         DEFINED  1,2,6                      749,015
HEALTHSOUTH CORP     COM NEW    42192430      25,055   2,286,007 SH         DEFINED  1,2,5,6,7,8              2,286,007
HEALTHSPRING INC     COM        42224N10      28,233   1,413,795 SH         DEFINED  1,2                      1,413,795
HEALTHTRONICS INC    COM        42222L10          93      41,393 SH         DEFINED  1,5                         41,393
HEALTHWAYS INC       COM        42224510       8,280     721,235 SH         DEFINED  1,2,5,6                    721,235
HEARST-ARGYLE TELEVI COM        42231710       1,564     258,008 SH         DEFINED  1,2,5,10                   258,008
HEARTLAND EXPRESS IN COM        42234710      18,639   1,182,656 SH         DEFINED  1,2,5,6                  1,182,656
HEARTLAND FINL USA I COM        42234Q10       4,027     195,588 SH         DEFINED  1,2,6                      195,588
HEARTLAND PMT SYS IN COM        42235N10       6,941     396,639 SH         DEFINED  1,2,6                      396,639
HECLA MNG CO         COM        42270410       7,468   2,667,047 SH         DEFINED  1,2,5,6                  2,667,047
HEELYS INC           COM        42279M10          57      25,080 SH         DEFINED  1                           25,080
HEICO CORP NEW       COM        42280610      14,888     383,410 SH         DEFINED  1,2,5,6                    383,410
HEICO CORP NEW       CL A       42280620         850      29,344 SH         DEFINED  1,2,6                       29,344
HEIDRICK & STRUGGLES COM        42281910       8,200     380,666 SH         DEFINED  1,2,5,6                    380,666
HEINZ H J CO         COM        42307410     474,958  12,631,867 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,631,867
HELEN OF TROY CORP L COM        G4388N10       7,792     448,834 SH         DEFINED  1,2,5                      448,834
HELIX ENERGY SOLUTIO COM        42330P10      14,382   1,986,512 SH         DEFINED  1,2,5,7,10               1,986,512
HELLENIC TELECOM ORG SPONSORED  42332530         787      94,687 SH         DEFINED  1                           94,687
HELMERICH & PAYNE IN COM        42345210      61,775   2,715,378 SH         DEFINED  1,2,5,7,8,10,12,13       2,715,378
HEMISPHERX BIOPHARMA COM        42366C10          11      31,823 SH         DEFINED  1                           31,823
HENRY JACK & ASSOC I COM        42628110      45,342   2,336,038 SH         DEFINED  1,2,5,6                  2,336,038
HERBALIFE LTD        COM USD SH G4412G10      14,515     669,511 SH         DEFINED  1,2,5,6,7,10               669,511
HERCULES OFFSHORE IN COM        42709310       5,796   1,220,209 SH         DEFINED  1,2,5,10                 1,220,209
HERCULES TECH GROWTH COM        42709650       4,834     610,398 SH         DEFINED  1,2                        610,398
HERITAGE COMMERCE CO COM        42692710       2,014     179,177 SH         DEFINED  1,2                        179,177







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
HERLEY INDS INC DEL  COM        42739810       2,494     203,107 SH         DEFINED  1,2                        203,107
HERSHA HOSPITALITY T SH BEN INT 42782510       5,299   1,766,263 SH         DEFINED  1,2,3,5                  1,766,263
HERSHEY CO           COM        42786610     213,835   6,155,283 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,155,283
HERTZ GLOBAL HOLDING COM        42805T10      19,050   3,757,462 SH         DEFINED  1,2,5,7,8,10             3,757,462
HESS CORP            COM        42809H10     634,769  11,833,873 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,833,873
HEWITT ASSOCS INC    COM        42822Q10      40,875   1,440,269 SH         DEFINED  1,2,5,7,8,10             1,440,269
HEWLETT PACKARD CO   COM        42823610   4,614,074 127,144,496 SH         DEFINED  1,2,5,6,7,8,10,12,13   127,144,496
HEXCEL CORP NEW      COM        42829110      15,998   2,164,823 SH         DEFINED  1,2,5,6                  2,164,823
HFF INC              CL A       40418F10          30      12,310 SH         DEFINED  1                           12,310
HHGREGG INC          COM        42833L10       2,216     255,306 SH         DEFINED  1,2,6                      255,306
HI / FN INC          COM        42835810          53      22,412 SH         DEFINED  1                           22,412
HIBBETT SPORTS INC   COM        42856710       7,543     480,112 SH         DEFINED  1,2,6                      480,112
HICKORY TECH CORP    COM        42906010          76      14,057 SH         DEFINED  1                           14,057
HIGHWOODS PPTYS INC  COM        43128410      74,354   2,717,635 SH         DEFINED  1,2,3,5                  2,717,635
HILL INTERNATIONAL I COM        43146610       2,460     349,434 SH         DEFINED  1,2,6                      349,434
HILL ROM HLDGS INC   COM        43147510      42,130   2,559,566 SH         DEFINED  1,2,5,8,10,12            2,559,566
HILLENBRAND INC      COM        43157110      13,471     807,637 SH         DEFINED  1,2,5,6,7,10               807,637
HILLTOP HOLDINGS INC COM        43274810       7,543     774,413 SH         DEFINED  1,2,3,5,6                  774,413
HIMAX TECHNOLOGIES I SPONSORED  43289P10          23      14,337 SH         DEFINED  2                           14,337
HITACHI LIMITED      ADR 10 COM 43357850         417      10,661 SH         DEFINED  1                           10,661
HITTITE MICROWAVE CO COM        43365Y10       9,177     311,491 SH         DEFINED  1,2,6                      311,491
HKN INC              COM        40420K10          31      10,470 SH         DEFINED  1,5                         10,470
HLTH CORPORATION     COM        40422Y10      12,006   1,147,826 SH         DEFINED  1,2,5,6,8,10,12          1,147,826
HMS HLDGS CORP       COM        40425J10      13,134     416,678 SH         DEFINED  1,2,6                      416,678
HNI CORP             COM        40425110      19,000   1,199,468 SH         DEFINED  1,2,5                    1,199,468
HOKU SCIENTIFIC INC  COM        43471210          44      16,600 SH         DEFINED  1                           16,600
HOLLIS-EDEN PHARMACE COM        43590210          16      23,507 SH         DEFINED  1                           23,507
HOLLY CORP           COM PAR $0 43575830      16,839     923,694 SH         DEFINED  1,2,5,6,10                 923,694
HOLLYWOOD MEDIA CORP COM        43623310          12      11,519 SH         DEFINED  1                           11,519
HOLOGIC INC          FRNT  2.00 436440AA         436     750,000 SH         DEFINED  1                          750,000
HOLOGIC INC          COM        43644010      72,374   5,537,383 SH         DEFINED  1,2,5,7,8,10,12,13       5,537,383
HOME BANCSHARES INC  COM        43689320       6,028     223,668 SH         DEFINED  1,2,6                      223,668
HOME DEPOT INC       COM        43707610   1,582,440  68,741,945 SH         DEFINED  1,2,5,6,7,8,10,12,13    68,741,945
HOME DIAGNOSTICS INC COM        43708010          50      10,040 SH         DEFINED  1                           10,040
HOME FED BANCORP INC COM        43710G10         761      70,954 SH         DEFINED  1                           70,954
HOME PROPERTIES INC  COM        43730610      46,511   1,145,584 SH         DEFINED  1,2,3,5                  1,145,584
HONDA MOTOR LTD      AMERN SHS  43812830       1,354      63,426 SH         DEFINED  1,2                         63,426
HONEYWELL INTL INC   COM        43851610   2,670,580  81,345,714 SH         DEFINED  1,2,5,6,7,8,10,12,13    81,345,714
HOOKER FURNITURE COR COM        43903810       1,459     190,429 SH         DEFINED  1,2                        190,429
HOOPER HOLMES INC    COM        43910410          17      68,456 SH         DEFINED  1                           68,456
HORACE MANN EDUCATOR COM        44032710       9,362   1,018,710 SH         DEFINED  1,2,5                    1,018,710
HORIZON FINL CORP WA COM        44041F10          61      12,972 SH         DEFINED  1,2,5                       12,972
HORIZON LINES INC    COM        44044K10       1,714     491,148 SH         DEFINED  1,2,5                      491,148
HORMEL FOODS CORP    COM        44045210      53,655   1,726,367 SH         DEFINED  1,2,5,7,8,10,12,13       1,726,367
HORNBECK OFFSHORE SV COM        44054310       9,143     559,546 SH         DEFINED  1,2,5,6                    559,546
HORSEHEAD HLDG CORP  COM        44069430       2,557     544,047 SH         DEFINED  1,2                        544,047
HOSPIRA INC          COM        44106010     156,449   5,833,278 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,833,278
HOSPITALITY PPTYS TR COM SH BEN 44106M10      51,408   3,457,141 SH         DEFINED  1,2,3,5,7,8,10           3,457,141







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
HOST HOTELS & RESORT COM        44107P10     225,883  29,839,217 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  29,839,217
HOT TOPIC INC        COM        44133910       9,095     981,118 SH         DEFINED  1,2,5                      981,118
HOUSTON AMERN ENERGY COM        44183U10         643     190,296 SH         DEFINED  1,2                        190,296
HOUSTON WIRE & CABLE COM        44244K10       4,241     455,551 SH         DEFINED  1,2,6                      455,551
HOVNANIAN ENTERPRISE CL A       44248720       2,960   1,720,800 SH         DEFINED  1,2,5                    1,720,800
HQ SUSTAINABLE MARIT COM NEW    40426A20         480      61,315 SH         DEFINED  1                           61,315
HRPT PPTYS TR        COM SH BEN 40426W10      25,454   7,553,103 SH         DEFINED  1,2,3,5,7,10             7,553,103
HSBC HLDGS PLC       SPON ADR N 40428040       6,006     123,407 SH         DEFINED  1,2                        123,407
HSN INC              COM        40430310       7,459   1,026,034 SH         DEFINED  1,2,5,7,8,10             1,026,034
HSW INTERNATIONAL IN COM        40431N10         116     304,345 SH         DEFINED  1                          304,345
HUANENG PWR INTL INC SPON ADR H 44330410         267       9,151 SH         DEFINED  1,6                          9,151
HUB GROUP INC        CL A       44332010      22,987     866,450 SH         DEFINED  1,2,5,6                    866,450
HUBBELL INC          CL B       44351020      32,118     982,788 SH         DEFINED  1,2,5,7,10                 982,788
HUDSON CITY BANCORP  COM        44368310     420,425  26,342,411 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,342,411
HUDSON HIGHLAND GROU COM        44379210       3,344     998,333 SH         DEFINED  1,2,5,6                    998,333
HUGHES COMMUNICATION COM        44439810       1,758     110,260 SH         DEFINED  1,2,6                      110,260
HUGOTON RTY TR TEX   UNIT BEN I 44471710         788      49,083 SH         DEFINED  1,2,5                       49,083
HUMAN GENOME SCIENCE COM        44490310       5,851   2,760,030 SH         DEFINED  1,2,5,6                  2,760,030
HUMANA INC           COM        44485910     261,797   7,022,464 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,022,464
HUNGARIAN TEL & CABL COM        44554210         778      90,506 SH         DEFINED  1,2                         90,506
HUNT J B TRANS SVCS  COM        44565810      51,214   1,949,534 SH         DEFINED  1,2,5,7,8,10,12,13       1,949,534
HUNTINGTON BANCSHARE COM        44615010     149,857  19,563,606 SH         DEFINED  1,2,5,6,7,8,10,12,13    19,563,606
HUNTSMAN CORP        COM        44701110       6,622   1,925,091 SH         DEFINED  1,2,5,7,8,10,13          1,925,091
HURCO COMPANIES INC  COM        44732410       1,196      99,689 SH         DEFINED  1,2,5                       99,689
HURON CONSULTING GRO COM        44746210      19,492     340,355 SH         DEFINED  1,2,5,6,8                  340,355
HUTCHINSON TECHNOLOG COM        44840710       2,156     619,430 SH         DEFINED  1,2,5                      619,430
HYPERCOM CORP        COM        44913M10         870     805,216 SH         DEFINED  1,2                        805,216
HYTHIAM INC          COM        44919F10          10      26,772 SH         DEFINED  1                           26,772
I2 TECHNOLOGIES INC  COM NEW    46575420       1,547     242,152 SH         DEFINED  1,2,5                      242,152
IAC INTERACTIVECORP  COM PAR $. 44919P50      42,409   2,696,070 SH         DEFINED  1,2,5,7,8,10,12,13       2,696,070
IBASIS INC           COM NEW    45073220         596     422,626 SH         DEFINED  1                          422,626
IBERIABANK CORP      COM        45082810      27,772     578,578 SH         DEFINED  1,2,5                      578,578
ICAD INC             COM        44934S10          46      41,048 SH         DEFINED  1,2                         41,048
ICAHN ENTERPRISES LP DEPOSITRY  45110010         334      12,624 SH         DEFINED  1,2                         12,624
ICF INTL INC         COM        44925C10       1,944      79,111 SH         DEFINED  1,2,6                       79,111
ICICI BK LTD         ADR        45104G10      12,771     663,446 SH         DEFINED  1,2,5,6,7,8                663,446
ICO GLOBAL COMM HLDG CL A       44930K10       1,683   1,489,198 SH         DEFINED  1,2,6                    1,489,198
ICO INC NEW          COM        44929310       1,244     393,787 SH         DEFINED  1,2                        393,787
ICON PUB LTD CO      SPONSORED  45103T10       1,298      65,921 SH         DEFINED  1,5                         65,921
ICONIX BRAND GROUP I COM        45105510      10,337   1,056,948 SH         DEFINED  1,2,5,6                  1,056,948
ICT GROUP INC        COM        44929Y10         579     126,339 SH         DEFINED  1,2                        126,339
ICU MED INC          COM        44930G10       9,127     275,413 SH         DEFINED  1,2,6                      275,413
ICX TECHNOLOGIES INC COM        44934T10       1,422     179,786 SH         DEFINED  1,2,6                      179,786
IDACORP INC          COM        45110710      45,425   1,542,432 SH         DEFINED  1,2,5                    1,542,432
IDENIX PHARMACEUTICA COM        45166R20       2,817     486,558 SH         DEFINED  1,2,6                      486,558
IDERA PHARMACEUTICAL COM NEW    45168K30       2,051     267,052 SH         DEFINED  1,2                        267,052
IDEX CORP            COM        45167R10      36,519   1,512,173 SH         DEFINED  1,2,5,6,10               1,512,173
IDEXX LABS INC       COM        45168D10      46,829   1,297,912 SH         DEFINED  1,2,5,6,10               1,297,912







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
IDT CORP             CL B       44894730         343     857,591 SH         DEFINED  1,2                        857,591
I-FLOW CORP          COM NEW    44952030       1,559     324,843 SH         DEFINED  1,2                        324,843
IGATE CORP           COM        45169U10       2,631     404,166 SH         DEFINED  1,2,6                      404,166
IGO INC              COM        44959310          19      26,437 SH         DEFINED  1                           26,437
IHS INC              CL A       45173410      21,021     561,755 SH         DEFINED  1,2,5,10                   561,755
II VI INC            COM        90210410       8,978     470,295 SH         DEFINED  1,2,6                      470,295
IKANOS COMMUNICATION COM        45173E10          15      12,200 SH         DEFINED  1                           12,200
ILLINOIS TOOL WKS IN COM        45230810     514,485  14,678,592 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,678,592
ILLUMINA INC         COM        45232710      43,653   1,675,735 SH         DEFINED  1,2,5,7,8,10,12,13       1,675,735
I-MANY INC           COM        44973Q10           6      25,061 SH         DEFINED  1                           25,061
IMATION CORP         COM        45245A10      13,963   1,028,971 SH         DEFINED  1,2,5                    1,028,971
IMERGENT INC         COM        45247Q10          61      14,746 SH         DEFINED  1,5                         14,746
IMMERSION CORP       COM        45252110       2,596     440,795 SH         DEFINED  1,2,5                      440,795
IMMTECH PHARMACEUTIC COM        45251910           2      12,014 SH         DEFINED  1                           12,014
IMMUCOR INC          COM        45252610      33,970   1,278,020 SH         DEFINED  1,2,5,6                  1,278,020
IMMUNOGEN INC        COM        45253H10       2,968     691,726 SH         DEFINED  1,2,5                      691,726
IMMUNOMEDICS INC     COM        45290710       1,492     877,549 SH         DEFINED  1,2,5                      877,549
IMPERIAL OIL LTD     COM NEW    45303840       1,150      34,116 SH         DEFINED  1,5                         34,116
IMPERIAL SUGAR CO NE COM NEW    45309620       2,588     180,474 SH         DEFINED  1,2                        180,474
IMS HEALTH INC       COM        44993410     107,623   7,099,168 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,099,168
INCYTE CORP          COM        45337C10       6,173   1,628,763 SH         DEFINED  1,2,5,6                  1,628,763
INDEPENDENCE HLDG CO COM NEW    45344030         303      83,857 SH         DEFINED  1                           83,857
INDEPENDENT BANK COR COM        45383610       7,954     304,063 SH         DEFINED  1,2,5                      304,063
INDEPENDENT BANK COR COM        45383810         165      76,332 SH         DEFINED  1,2                         76,332
INDEVUS PHARMACEUTIC COM        45407210       3,668   1,168,229 SH         DEFINED  1,2,5,6                  1,168,229
INERGY HLDGS L P     COM        45661Q10         278      12,820 SH         DEFINED  1,2                         12,820
INERGY L P           UNIT LTD P 45661510         987      57,929 SH         DEFINED  1,2                         57,929
INFINEON TECHNOLOGIE SPONSORED  45662N10          27      19,585 SH         DEFINED  1                           19,585
INFINERA CORPORATION COM        45667G10      13,401   1,495,639 SH         DEFINED  1,2,6                    1,495,639
INFINITY PPTY & CAS  COM        45665Q10      13,536     289,658 SH         DEFINED  1,2,5                      289,658
INFOCUS CORP         COM        45665B10          30      37,478 SH         DEFINED  1                           37,478
INFOGROUP INC        COM        45670G10       5,261   1,109,963 SH         DEFINED  1,2                      1,109,963
INFORMATICA CORP     COM        45666Q10      24,620   1,793,139 SH         DEFINED  1,2,5,6                  1,793,139
INFOSPACE INC        COM NEW    45678T20       5,723     758,042 SH         DEFINED  1,2,6                      758,042
INFOSYS TECHNOLOGIES SPONSORED  45678810      27,213   1,107,585 SH         DEFINED  1,2,4,5,6,8              1,107,585
ING GROEP N V        SPONSORED  45683710         770      69,327 SH         DEFINED  1                           69,327
INGERSOLL-RAND COMPA CL A       G4776G10     186,972  10,776,508 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,776,508
INGLES MKTS INC      CL A       45703010       3,965     225,420 SH         DEFINED  1,2,5                      225,420
INGRAM MICRO INC     CL A       45715310      58,404   4,361,766 SH         DEFINED  1,2,5,7,8,10             4,361,766
INLAND REAL ESTATE C COM NEW    45746120      26,206   2,018,989 SH         DEFINED  1,2,3                    2,018,989
INNERWORKINGS INC    COM        45773Y10       2,972     453,749 SH         DEFINED  1,2,6                      453,749
INNODATA ISOGEN INC  COM NEW    45764220          34      13,422 SH         DEFINED  1                           13,422
INNOPHOS HOLDINGS IN COM        45774N10       6,044     305,093 SH         DEFINED  1,2                        305,093
INNOSPEC INC         COM        45768S10       2,802     475,660 SH         DEFINED  1,2,5                      475,660
INNOTRAC CORP        COM        45767M10          17      10,328 SH         DEFINED  1                           10,328
INNOVATIVE SOLUTIONS COM        45769N10          89      22,545 SH         DEFINED  1                           22,545
INSIGHT ENTERPRISES  COM        45765U10       6,691     969,656 SH         DEFINED  1,2,5                      969,656
INSITE VISION INC    COM        45766010           7      34,008 SH         DEFINED  1,2                         34,008







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
INSITUFORM TECHNOLOG CL A       45766710      10,594     538,056 SH         DEFINED  1,2                        538,056
INSMED INC           COM NEW    45766920          55     117,674 SH         DEFINED  1,5                        117,674
INSPIRE PHARMACEUTIC COM        45773310       2,114     587,129 SH         DEFINED  1,2,5                      587,129
INSTEEL INDUSTRIES I COM        45774W10       6,058     536,564 SH         DEFINED  1,2,5                      536,564
INSULET CORP         COM        45784P10       1,838     238,131 SH         DEFINED  1,2,6                      238,131
INTEGRA BK CORP      COM        45814P10         702     512,391 SH         DEFINED  1,2                        512,391
INTEGRA LIFESCIENCES COM NEW    45798520      14,362     403,774 SH         DEFINED  1,2,6                      403,774
INTEGRAL SYS INC MD  COM        45810H10       3,707     307,643 SH         DEFINED  1,2,6                      307,643
INTEGRATED DEVICE TE COM        45811810      20,766   3,701,604 SH         DEFINED  1,2,5,10                 3,701,604
INTEGRATED ELECTRICA COM        45811E30       1,317     150,371 SH         DEFINED  1,2,5                      150,371
INTEGRATED SILICON S COM        45812P10          43      26,149 SH         DEFINED  1,5                         26,149
INTEGRYS ENERGY GROU COM        45822P10     142,565   3,317,010 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,317,010
INTEL CORP           SDCV  2.95 458140AD         433     500,000 SH         DEFINED  1                          500,000
INTEL CORP           COM        45814010   3,183,477 217,153,983 SH         DEFINED  1,2,5,6,7,8,10,12,13   217,153,983
INTER PARFUMS INC    COM        45833410       2,996     390,088 SH         DEFINED  1,2,6                      390,088
INTERACTIVE BROKERS  COM        45841N10      17,803     995,157 SH         DEFINED  1,2,6                      995,157
INTERACTIVE DATA COR COM        45840J10      14,442     585,663 SH         DEFINED  1,2,5                      585,663
INTERACTIVE INTELLIG COM        45839M10       1,167     182,077 SH         DEFINED  1,5                        182,077
INTERCONTINENTAL HTL SPONS ADR  45857P30         196      23,436 SH         DEFINED  1                           23,436
INTERCONTINENTALEXCH COM        45865V10     238,658   2,894,926 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,894,926
INTERDIGITAL INC     COM        45867G10      36,096   1,312,584 SH         DEFINED  1,2,5,6                  1,312,584
INTERFACE INC        CL A       45866510       4,718   1,016,786 SH         DEFINED  1,2,5,6                  1,016,786
INTERLEUKIN GENETICS COM        45873810           2      12,342 SH         DEFINED  1                           12,342
INTERLINE BRANDS INC COM        45874310       5,417     509,557 SH         DEFINED  1,2                        509,557
INTERMEC INC         COM        45878610      13,270     999,261 SH         DEFINED  1,2,5,6                    999,261
INTERMUNE INC        COM        45884X10       5,779     546,212 SH         DEFINED  1,2,5,6                    546,212
INTERNAP NETWORK SVC COM PAR $. 45885A30       2,579   1,031,647 SH         DEFINED  1,2,5                    1,031,647
INTERNATIONAL ASSETS COM        45902810       1,165     135,795 SH         DEFINED  1,2                        135,795
INTERNATIONAL BANCSH COM        45904410      31,322   1,434,810 SH         DEFINED  1,2,5,6,13               1,434,810
INTERNATIONAL BUSINE COM        45920010   6,262,270  74,409,105 SH         DEFINED  1,2,5,6,7,8,10,12,13    74,409,105
INTERNATIONAL COAL G COM        45928H10       5,269   2,290,863 SH         DEFINED  1,2,6                    2,290,863
INTERNATIONAL FLAVOR COM        45950610      88,553   2,979,573 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,979,573
INTERNATIONAL GAME T DBCV  2.60 459902AP         236     250,000 SH         DEFINED  1                          250,000
INTERNATIONAL GAME T COM        45990210     122,930  10,338,900 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,338,900
INTERNATIONAL RECTIF COM        46025410      21,093   1,562,470 SH         DEFINED  1,2,5,6,10               1,562,470
INTERNATIONAL SHIPHO COM NEW    46032120       1,759      69,454 SH         DEFINED  1,2                         69,454
INTERNATIONAL SPEEDW CL A       46033520      20,918     728,084 SH         DEFINED  1,2,5,7,10                 728,084
INTERNET BRANDS INC  COM CLASS  46060810       1,702     292,516 SH         DEFINED  1,2,6                      292,516
INTERNET CAP GROUP I COM NEW    46059C20       3,299     605,407 SH         DEFINED  1,2,6                      605,407
INTERPUBLIC GROUP CO COM        46069010      71,858  18,145,852 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,145,852
INTERSIL CORP        CL A       46069S10      20,915   2,275,819 SH         DEFINED  1,2,5,7,10               2,275,819
INTERSTATE HOTELS &  COM        46088S10          28      40,079 SH         DEFINED  1,5                         40,079
INTERVAL LEISURE GRO COM        46113M10       3,334     618,515 SH         DEFINED  1,2,5,7,10                 618,515
INTERWOVEN INC       COM NEW    46114T50      13,776   1,093,296 SH         DEFINED  1,2,5,6                  1,093,296
INTEVAC INC          COM        46114810       1,807     356,484 SH         DEFINED  1,2,5                      356,484
INTL PAPER CO        COM        46014610     380,347  32,232,782 SH         DEFINED  1,2,5,6,7,8,10,12,13    32,232,782
INTREPID POTASH INC  COM        46121Y10       7,698     370,611 SH         DEFINED  1,2,5,6,10                 370,611
INTRICON CORP        COM        46121H10          85      23,724 SH         DEFINED  1                           23,724







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
INTUIT               COM        46120210     277,208  11,652,301 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,652,301
INTUITIVE SURGICAL I COM NEW    46120E60     173,315   1,364,793 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,364,793
INVACARE CORP        COM        46120310      14,764     951,287 SH         DEFINED  1,2,5                      951,287
INVENTIV HEALTH INC  COM        46122E10       6,315     547,201 SH         DEFINED  1,2,6                      547,201
INVERNESS MED INNOVA COM        46126P10      16,184     855,844 SH         DEFINED  1,2,5,6,8,10               855,844
INVERNESS MED INNOVA PFD CONV S 46126P30         245       1,998 SH         DEFINED  1                            1,998
INVESCO LTD          SHS        G491BT10     244,119  16,905,773 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,905,773
INVESTMENT TECHNOLOG COM        46145F10      14,953     658,154 SH         DEFINED  1,2,5,6,7,10               658,154
INVESTORS BANCORP IN COM        46146P10       9,958     741,510 SH         DEFINED  1,2,6                      741,510
INVESTORS REAL ESTAT SH BEN INT 46173010      10,604     990,099 SH         DEFINED  1,2,3,5                    990,099
ION GEOPHYSICAL CORP COM        46204410       5,693   1,659,681 SH         DEFINED  1,2,5,6                  1,659,681
IOWA TELECOMM SERVIC COM        46259420       7,386     517,216 SH         DEFINED  1,2                        517,216
IPASS INC            COM        46261V10          63      51,808 SH         DEFINED  1                           51,808
IPC HLDGS LTD        ORD        G4933P10      33,248   1,111,971 SH         DEFINED  1,2,5,8                  1,111,971
IPC THE HOSPITALIST  COM        44984A10       1,512      89,861 SH         DEFINED  1,2,6                       89,861
IPCS INC             COM NEW    44980Y30       2,217     323,215 SH         DEFINED  1,2,6                      323,215
IPG PHOTONICS CORP   COM        44980X10       3,838     291,231 SH         DEFINED  1,2,6                      291,231
IRELAND BK           SPONSORED  46267Q10         274      57,395 SH         DEFINED  1                           57,395
IRIS INTL INC        COM        46270W10       3,810     273,337 SH         DEFINED  1,2,6                      273,337
IROBOT CORP          COM        46272610       2,359     261,226 SH         DEFINED  1,2,6                      261,226
IRON MTN INC         COM        46284610      70,261   2,841,125 SH         DEFINED  1,2,5,7,8,10,12,13       2,841,125
IRSA INVERSIONES Y R GLOBL DEP  45004720         150      34,600 SH         DEFINED  1,2                         34,600
IRWIN FINL CORP      COM        46411910          45      34,984 SH         DEFINED  1                           34,984
ISHARES INC          MSCI BRAZI 46428640       2,477      70,799 SH         DEFINED  7                           70,799
ISHARES INC          MSCI CDA I 46428650       4,438     254,600 SH         DEFINED  2                          254,600
ISHARES INC          MSCI TAIWA 46428673       3,077     405,368 SH         DEFINED  1,6                        405,368
ISHARES INC          MSCI S KOR 46428677      15,539     555,545 SH         DEFINED  1,5,6                      555,545
ISHARES INC          MSCI MALAY 46428683         276      37,875 SH         DEFINED  6                           37,875
ISHARES TR           BARCLYS TI 46428717      15,792     159,125 SH         DEFINED  1,2                        159,125
ISHARES TR           S&P 500 IN 46428720      64,997     719,706 SH         DEFINED  1,2,6                      719,706
ISHARES TR           MSCI EMERG 46428723      10,767     431,207 SH         DEFINED  1                          431,207
ISHARES TR           IBOXX INV  46428724       3,578      35,200 SH         DEFINED  1,2                         35,200
ISHARES TR           S&P/TOPIX  46428738         411       9,900 SH         DEFINED  1                            9,900
ISHARES TR           BARCLYS 1- 46428745       1,730      20,430 SH         DEFINED  1                           20,430
ISHARES TR           MSCI EAFE  46428746      49,498   1,103,386 SH         DEFINED  1,2,6                    1,103,386
ISHARES TR           S&P MIDCAP 46428750       4,233      79,380 SH         DEFINED  1,2                         79,380
ISHARES TR           RUSSELL100 46428759      10,888     219,868 SH         DEFINED  1,2                        219,868
ISHARES TR           RUSSELL 10 46428762         225       4,594 SH         DEFINED  1                            4,594
ISHARES TR           RUSSELL 20 46428765         786      15,963 SH         DEFINED  1                           15,963
ISHARES TR           RUSSELL 30 46428768       3,211      61,755 SH         DEFINED  1                           61,755
ISHARES TR           S&P SMLCAP 46428780      23,172     527,000 SH         DEFINED  1,2                        527,000
ISHARES TR           BARCLYS 1- 46428864       3,197      31,700 SH         DEFINED  2                           31,700
ISILON SYS INC       COM        46432L10       1,097     333,493 SH         DEFINED  1,2,6                      333,493
ISIS PHARMACEUTICALS COM        46433010      50,606   3,568,845 SH         DEFINED  1,2,5,6                  3,568,845
ISLE OF CAPRI CASINO COM        46459210         777     242,745 SH         DEFINED  1,2,5,6                    242,745
ISOLAGEN INC         COM        46488N10           6      34,200 SH         DEFINED  1,2                         34,200
ISTA PHARMACEUTICALS COM NEW    45031X20          17      23,832 SH         DEFINED  1                           23,832
ISTAR FINL INC       COM        45031U10       3,585   1,607,626 SH         DEFINED  1,2,5,10                 1,607,626







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
ITC HLDGS CORP       COM        46568510      36,809     842,686 SH         DEFINED  1,2,5,6,8                  842,686
ITRON INC            COM        46574110      28,245     443,136 SH         DEFINED  1,2,5,6,8,10               443,136
ITT CORP NEW         COM        45091110     287,030   6,241,139 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,241,139
ITT EDUCATIONAL SERV COM        45068B10      73,915     778,213 SH         DEFINED  1,2,5,6,7,8,10             778,213
ITURAN LOCATION AND  SHS        M6158M10         122      16,667 SH         DEFINED  1                           16,667
IXIA                 COM        45071R10       3,796     656,736 SH         DEFINED  1,2,6                      656,736
IXYS CORP            COM        46600W10       3,691     446,834 SH         DEFINED  1,2,5                      446,834
J & J SNACK FOODS CO COM        46603210      10,812     301,347 SH         DEFINED  1,2                        301,347
J CREW GROUP INC     COM        46612H40      22,503   1,844,527 SH         DEFINED  1,2,5,6                  1,844,527
J2 GLOBAL COMMUNICAT COM NEW    46626E20      17,804     888,418 SH         DEFINED  1,2,6                      888,418
JABIL CIRCUIT INC    COM        46631310      70,144  10,391,764 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,391,764
JACK IN THE BOX INC  COM        46636710      29,513   1,336,022 SH         DEFINED  1,2,5,6                  1,336,022
JACKSON HEWITT TAX S COM        46820210      10,490     668,608 SH         DEFINED  1,2                        668,608
JACO ELECTRS INC     COM        46978310          15      19,600 SH         DEFINED  1                           19,600
JACOBS ENGR GROUP IN COM        46981410     207,938   4,323,038 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,323,038
JAKKS PAC INC        COM        47012E10      15,108     732,322 SH         DEFINED  1,2                        732,322
JAMBA INC            COM        47023A10           5      11,201 SH         DEFINED  1                           11,201
JAMES RIVER COAL CO  COM NEW    47035520       6,413     418,361 SH         DEFINED  1,2,6                      418,361
JANUS CAP GROUP INC  COM        47102X10      55,335   6,891,023 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,891,023
JARDEN CORP          COM        47110910       8,358     726,769 SH         DEFINED  1,2,5,10                   726,769
JAVELIN PHARMACEUTIC COM        47189410         740     592,020 SH         DEFINED  1                          592,020
JAZZ PHARMACEUTICALS COM        47214710         171      88,700 SH         DEFINED  1,2                         88,700
JDA SOFTWARE GROUP I COM        46612K10       9,986     760,516 SH         DEFINED  1,2                        760,516
JDS UNIPHASE CORP    COM PAR $0 46612J50      26,664   7,305,196 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,305,196
JEFFERIES GROUP INC  COM        47231910      33,629   2,391,812 SH         DEFINED  1,2,5,10                 2,391,812
JER INVT TR INC      COM        46614H30         352     378,100 SH         DEFINED  1,2                        378,100
JETBLUE AIRWAYS CORP COM        47714310      33,976   4,785,287 SH         DEFINED  1,2,5,6                  4,785,287
JMP GROUP INC        COM        46629U10          80      14,500 SH         DEFINED  1                           14,500
JO-ANN STORES INC    COM        47758P30      13,117     846,813 SH         DEFINED  1,2                        846,813
JOES JEANS INC       COM        47777N10          18      51,239 SH         DEFINED  1                           51,239
JOHN BEAN TECHNOLOGI COM        47783910       7,415     907,603 SH         DEFINED  1,2,5,7,10                 907,603
JOHNSON & JOHNSON    COM        47816010   8,703,032 145,462,672 SH         DEFINED  1,2,5,6,7,8,10,12,13   145,462,672
JOHNSON CTLS INC     COM        47836610     375,978  20,703,652 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,703,652
JONES APPAREL GROUP  COM        48007410      17,680   3,017,011 SH         DEFINED  1,2,5,6,8,10,13          3,017,011
JONES LANG LASALLE I COM        48020Q10      18,420     664,972 SH         DEFINED  1,2,5,10                   664,972
JONES SODA CO        COM        48023P10           9      27,800 SH         DEFINED  1                           27,800
JOS A BANK CLOTHIERS COM        48083810       8,646     330,639 SH         DEFINED  1,2,5,6                    330,639
JOURNAL COMMUNICATIO CL A       48113010       2,389     975,139 SH         DEFINED  1,2                        975,139
JOY GLOBAL INC       COM        48116510      83,571   3,650,967 SH         DEFINED  1,2,5,7,8,10,12,13       3,650,967
JPMORGAN & CHASE & C COM        46625H10   5,343,598 169,476,617 SH         DEFINED  1,2,5,6,7,8,10,12,13   169,476,617
JUNIPER NETWORKS INC COM        48203R10     329,392  18,811,636 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,811,636
JUPITERMEDIA CORP    COM        48207D10          11      28,172 SH         DEFINED  1                           28,172
K FED BANCORP        COM        48246S10          81      12,500 SH         DEFINED  1                           12,500
K SEA TRANSN PARTNER COM        48268Y10         142      11,037 SH         DEFINED  1,2                         11,037
K TRON INTL INC      COM        48273010       2,958      37,025 SH         DEFINED  1,2,5                       37,025
K V PHARMACEUTICAL C CL A       48274020       1,585     550,224 SH         DEFINED  1,2,5,6                    550,224
K12 INC              COM        48273U10       1,479      78,858 SH         DEFINED  1,2,6                       78,858
KADANT INC           COM        48282T10       4,007     297,280 SH         DEFINED  1,2                        297,280







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
KAISER ALUMINUM CORP COM PAR $0 48300770       5,786     256,911 SH         DEFINED  1,2                        256,911
KAMAN CORP           COM        48354810       9,277     511,707 SH         DEFINED  1,2                        511,707
KANSAS CITY LIFE INS COM        48483610       4,444     102,523 SH         DEFINED  1,2                        102,523
KANSAS CITY SOUTHERN COM NEW    48517030      32,904   1,727,224 SH         DEFINED  1,2,5,7,10               1,727,224
KAPSTONE PAPER & PAC COM        48562P10         561     235,526 SH         DEFINED  1                          235,526
KAYDON CORP          COM        48658710      21,982     639,940 SH         DEFINED  1,2,5                      639,940
KAYNE ANDERSON ENERG COM        48660Q10       1,260     167,711 SH         DEFINED  1,2                        167,711
KB FINANCIAL GROUP I SPONSORED  48241A10       3,159     120,561 SH         DEFINED  1,2,4,6                    120,561
KB HOME              COM        48666K10      60,499   4,441,890 SH         DEFINED  1,2,5,6,7,10,13          4,441,890
KBR INC              COM        48242W10      57,054   3,753,553 SH         DEFINED  1,2,5,7,8,10,12,13       3,753,553
KBW INC              COM        48242310      10,101     439,164 SH         DEFINED  1,2,6                      439,164
KEARNY FINL CORP     COM        48716910       4,969     388,240 SH         DEFINED  1,2                        388,240
KEITHLEY INSTRS INC  COM        48758410         114      31,186 SH         DEFINED  1                           31,186
KELLOGG CO           COM        48783610     404,102   9,215,545 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,215,545
KELLY SVCS INC       CL A       48815220      11,803     907,225 SH         DEFINED  1,2,5                      907,225
KEMET CORP           COM        48836010         361   1,335,754 SH         DEFINED  1,2,5                    1,335,754
KENDLE INTERNATIONAL COM        48880L10       6,344     246,646 SH         DEFINED  1,2,6                      246,646
KENEXA CORP          COM        48887910       3,559     446,020 SH         DEFINED  1,2,5,6                    446,020
KENNAMETAL INC       COM        48917010      30,620   1,379,891 SH         DEFINED  1,2,5,10                 1,379,891
KENSEY NASH CORP     COM        49005710       3,174     163,501 SH         DEFINED  1,2,6                      163,501
KERYX BIOPHARMACEUTI COM        49251510          10      46,674 SH         DEFINED  1                           46,674
KEY ENERGY SVCS INC  COM        49291410       5,438   1,232,999 SH         DEFINED  1,2,5,6,10               1,232,999
KEY TECHNOLOGY INC   COM        49314310       1,220      64,566 SH         DEFINED  1                           64,566
KEYCORP NEW          COM        49326710     208,329  24,451,707 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,451,707
KEYNOTE SYS INC      COM        49330810       1,534     199,017 SH         DEFINED  1,2                        199,017
KFORCE INC           COM        49373210       5,324     693,236 SH         DEFINED  1,2,5,6                    693,236
KILROY RLTY CORP     COM        49427F10      30,197     902,475 SH         DEFINED  1,2,3,5,10                 902,475
KIMBALL INTL INC     CL B       49427410       5,564     646,210 SH         DEFINED  1,2,5                      646,210
KIMBERLY CLARK CORP  COM        49436810     839,159  15,911,243 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,911,243
KIMCO REALTY CORP    COM        49446R10     238,871  13,067,339 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  13,067,339
KINDER MORGAN ENERGY UT LTD PAR 49455010       8,499     185,774 SH         DEFINED  1,2,8                      185,774
KINDER MORGAN MANAGE SHS        49455U10      12,061     301,686 SH         DEFINED  1,2,5,7,8,10,12,13         301,686
KINDRED HEALTHCARE I COM        49458010      15,742   1,209,074 SH         DEFINED  1,2,5                    1,209,074
KINETIC CONCEPTS INC COM NEW    49460W20      26,437   1,378,360 SH         DEFINED  1,2,5,7,10,12            1,378,360
KING PHARMACEUTICALS COM        49558210     125,784  11,844,062 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,844,062
KINROSS GOLD CORP    COM NO PAR 49690240       1,129      61,270 SH         DEFINED  1,5,13                      61,270
KIRBY CORP           COM        49726610      18,450     674,330 SH         DEFINED  1,2,5,6,10                 674,330
KIRKLANDS INC        COM        49749810          60      22,809 SH         DEFINED  1                           22,809
KITE RLTY GROUP TR   COM        49803T10       6,068   1,091,448 SH         DEFINED  1,2,3,5                  1,091,448
KKR FINANCIAL HLDGS  COM        48248A30         298     188,738 SH         DEFINED  1,2                        188,738
KLA-TENCOR CORP      COM        48248010     134,750   6,184,047 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,184,047
KNIGHT CAPITAL GROUP CL A       49900510      81,705   5,059,161 SH         DEFINED  1,2,5,7,8,13             5,059,161
KNIGHT TRANSN INC    COM        49906410      19,586   1,215,002 SH         DEFINED  1,2,5,6                  1,215,002
KNIGHTSBRIDGE TANKER ORD        G5299G10       3,894     265,836 SH         DEFINED  1,2,5                      265,836
KNOLL INC            COM NEW    49890420       8,446     936,326 SH         DEFINED  1,2                        936,326
KNOLOGY INC          COM        49918380       3,447     668,065 SH         DEFINED  1,2,5,6                    668,065
KNOT INC             COM        49918410       3,714     446,401 SH         DEFINED  1,2,5,6                    446,401
KODIAK OIL & GAS COR COM        50015Q10          18      56,500 SH         DEFINED  1                           56,500







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
KOHLBERG CAPITAL COR COM        50023310         945     259,609 SH         DEFINED  1,2                        259,609
KOHLS CORP           COM        50025510     403,153  11,136,821 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,136,821
KONINKLIJKE PHILIPS  NY REG SH  50047230       1,456      73,254 SH         DEFINED  1,2                         73,254
KOPIN CORP           COM        50060010       2,122   1,040,147 SH         DEFINED  1,2,5                    1,040,147
KOPPERS HOLDINGS INC COM        50060P10       7,518     347,730 SH         DEFINED  1,2,6                      347,730
KOREA ELECTRIC PWR   SPONSORED  50063110       2,712     233,549 SH         DEFINED  1                          233,549
KORN FERRY INTL      COM NEW    50064320      14,967   1,310,617 SH         DEFINED  1,2,5,6                  1,310,617
KOWABUNGA INC        COM        50074710           4      65,900 SH         DEFINED  1                           65,900
KRAFT FOODS INC      CL A       50075N10   2,068,207  77,028,187 SH         DEFINED  1,2,5,6,7,8,10,12,13    77,028,187
KRATOS DEFENSE & SEC COM        50077B10          75      53,592 SH         DEFINED  1                           53,592
KRISPY KREME DOUGHNU COM        50101410       1,502     893,798 SH         DEFINED  1,2,5,6                    893,798
KROGER CO            COM        50104410     699,670  26,492,621 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,492,621
KRONOS WORLDWIDE INC COM        50105F10         171      14,700 SH         DEFINED  1,2                         14,700
K-SWISS INC          CL A       48268610       5,469     479,771 SH         DEFINED  1,2                        479,771
KT CORP              SPONSORED  48268K10         685      46,714 SH         DEFINED  1,2,5                       46,714
KUBOTA CORP          ADR        50117320         876      24,278 SH         DEFINED  1                           24,278
KULICKE & SOFFA INDS COM        50124210       1,808   1,063,298 SH         DEFINED  1,2,5,6                  1,063,298
KVH INDS INC         COM        48273810          80      15,405 SH         DEFINED  1                           15,405
KYOCERA CORP         ADR        50155620         681       9,404 SH         DEFINED  1,2                          9,404
L-1 IDENTITY SOLUTIO COM        50212A10       8,315   1,233,667 SH         DEFINED  1,2,6                    1,233,667
L-3 COMMUNICATIONS C DEBT  3.00 502413AW         199     200,000 SH         DEFINED  1                          200,000
L-3 COMMUNICATIONS H COM        50242410     305,708   4,143,507 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,143,507
LA BARGE INC         COM        50247010       2,048     142,751 SH         DEFINED  1,2                        142,751
LA JOLLA PHARMACEUTI COM NEW    50345930          28      47,641 SH         DEFINED  1                           47,641
LA Z BOY INC         COM        50533610       2,143     987,470 SH         DEFINED  1,2,5                      987,470
LABORATORY CORP AMER COM NEW    50540R40     255,357   3,964,560 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,964,560
LABRANCHE & CO INC   COM        50544710       6,548   1,366,978 SH         DEFINED  1,2,5,6                  1,366,978
LACLEDE GROUP INC    COM        50559710      23,119     493,565 SH         DEFINED  1,2,5                      493,565
LADENBURG THALMAN FI COM        50575Q10         943   1,309,289 SH         DEFINED  1,2                      1,309,289
LADISH INC           COM NEW    50575420       3,528     254,746 SH         DEFINED  1,2                        254,746
LAKELAND BANCORP INC COM        51163710       4,172     370,526 SH         DEFINED  1,2                        370,526
LAKELAND FINL CORP   COM        51165610       5,585     234,487 SH         DEFINED  1,2                        234,487
LAKES ENTMNT INC     COM        51206P10         239      59,397 SH         DEFINED  1,5                         59,397
LAM RESEARCH CORP    COM        51280710      69,436   3,262,985 SH         DEFINED  1,2,5,7,8,10,12,13       3,262,985
LAMAR ADVERTISING CO CL A       51281510      21,519   1,713,295 SH         DEFINED  1,2,5,7,8,10,12,13       1,713,295
LAN AIRLINES S A     SPONSORED  50172310      11,149   1,384,940 SH         DEFINED  1,2,5,7                  1,384,940
LANCASTER COLONY COR COM        51384710      16,411     478,454 SH         DEFINED  1,2,5                      478,454
LANCE INC            COM        51460610      11,859     516,945 SH         DEFINED  1,2,6                      516,945
LANDAUER INC         COM        51476K10      14,217     193,955 SH         DEFINED  1,2,6                      193,955
LANDEC CORP          COM        51476610       2,168     329,520 SH         DEFINED  1,2                        329,520
LANDRYS RESTAURANTS  COM        51508L10       2,421     208,668 SH         DEFINED  1,2                        208,668
LANDSTAR SYS INC     COM        51509810      30,980     806,154 SH         DEFINED  1,2,5,6,10                 806,154
LAS VEGAS SANDS CORP COM        51783410      17,413   2,936,347 SH         DEFINED  1,2,5,7,8,10,12,13       2,936,347
LASALLE HOTEL PPTYS  COM SH BEN 51794210      15,050   1,361,966 SH         DEFINED  1,2,3,5                  1,361,966
LASERCARD CORP       COM        51807U10          39      10,671 SH         DEFINED  1                           10,671
LATTICE SEMICONDUCTO COM        51841510       2,918   1,932,421 SH         DEFINED  1,2,5,6                  1,932,421
LAUDER ESTEE COS INC CL A       51843910     128,741   4,158,292 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,158,292
LAWSON PRODS INC     COM        52077610       1,948      85,232 SH         DEFINED  1,2                         85,232







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
LAWSON SOFTWARE INC  COM        52078P10       9,185   1,937,855 SH         DEFINED  1,2                      1,937,855
LAYNE CHRISTENSEN CO COM        52105010      10,132     422,005 SH         DEFINED  1,2,6                      422,005
LAZARD LTD           SHS A      G5405010      21,444     721,053 SH         DEFINED  1,2,5,10                   721,053
LCA-VISION INC       COM PAR $. 50180330         156      37,923 SH         DEFINED  1,2                         37,923
LEAP WIRELESS INTL I COM NEW    52186330      14,024     521,538 SH         DEFINED  1,2,5,10                   521,538
LEAPFROG ENTERPRISES CL A       52186N10       1,728     493,794 SH         DEFINED  1,2,5,6                    493,794
LEAR CORP            COM        52186510       1,798   1,275,133 SH         DEFINED  1,2,5,8                  1,275,133
LEARNING TREE INTL I COM        52201510         808      94,884 SH         DEFINED  1                           94,884
LECG CORP            COM        52323410       2,604     388,005 SH         DEFINED  1,2                        388,005
LECROY CORP          COM        52324W10          61      19,918 SH         DEFINED  1                           19,918
LEE ENTERPRISES INC  COM        52376810         302     737,522 SH         DEFINED  1,2                        737,522
LEGACY RESERVES LP   UNIT LP IN 52470730         137      14,674 SH         DEFINED  1,2                         14,674
LEGG MASON INC       COM        52490110     147,683   6,740,457 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,740,457
LEGGETT & PLATT INC  COM        52466010     143,950   9,476,630 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,476,630
LENDER PROCESSING SV COM        52602E10      58,781   1,995,963 SH         DEFINED  1,2,5,7,8,10,12          1,995,963
LENNAR CORP          CL A       52605710      62,111   7,163,948 SH         DEFINED  1,2,5,6,8,10,12,13       7,163,948
LENNOX INTL INC      COM        52610710      50,364   1,559,734 SH         DEFINED  1,2,5,10                 1,559,734
LEUCADIA NATL CORP   COM        52728810     141,432   7,143,050 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,143,050
LEVEL 3 COMMUNICATIO COM        52729N10      14,431  20,615,498 SH         DEFINED  1,2,5,7,8,10,12,13      20,615,498
LEXICON PHARMACEUTIC COM        52887210       1,493   1,066,416 SH         DEFINED  1,2,5,6                  1,066,416
LEXINGTON REALTY TRU COM        52904310      10,483   2,096,629 SH         DEFINED  1,2,3,5                  2,096,629
LEXMARK INTL NEW     CL A       52977110     132,051   4,908,956 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,908,956
LG DISPLAY CO LTD    SPONS ADR  50186V10         299      36,157 SH         DEFINED  1,2,6                       36,157
LHC GROUP INC        COM        50187A10       8,563     237,867 SH         DEFINED  1,2,6                      237,867
LIBBEY INC           COM        52989810         242     193,333 SH         DEFINED  1                          193,333
LIBERTY GLOBAL INC   COM SER A  53055510      54,029   3,393,774 SH         DEFINED  1,2,5,7,8,10,12,13       3,393,774
LIBERTY GLOBAL INC   COM SER C  53055530      14,306     942,403 SH         DEFINED  1,2,5,7,8,10,12,13         942,403
LIBERTY MEDIA CORP N INT COM SE 53071M10      28,284   9,065,279 SH         DEFINED  1,2,5,7,8,10,12,13       9,065,279
LIBERTY MEDIA CORP N CAP COM SE 53071M30       6,028   1,279,836 SH         DEFINED  1,2,5,6,7,8,10           1,279,836
LIBERTY MEDIA CORP N ENT COM SE 53071M50     131,306   7,511,792 SH         DEFINED  1,2,5,7,8,10,12,13       7,511,792
LIBERTY MEDIA CORP N DEB   3.12 530718AF         538     750,000 SH         DEFINED  1                          750,000
LIBERTY PPTY TR      SH BEN INT 53117210      82,333   3,606,351 SH         DEFINED  1,2,3,5,7,8,10,12,13     3,606,351
LIFE PARTNERS HOLDIN COM        53215T10       3,804      87,179 SH         DEFINED  1,2,6                       87,179
LIFE SCIENCES RESH I COM        53216910       1,203     128,610 SH         DEFINED  1,2                        128,610
LIFE TECHNOLOGIES CO COM        53217V10     175,107   7,512,087 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,512,087
LIFE TIME FITNESS IN COM        53217R20      10,742     829,477 SH         DEFINED  1,2,6                      829,477
LIFEPOINT HOSPITALS  COM        53219L10      32,603   1,427,454 SH         DEFINED  1,2,5,7,10               1,427,454
LIFEWAY FOODS INC    COM        53191410         450      50,143 SH         DEFINED  1                           50,143
LIGAND PHARMACEUTICA CL B       53220K20       3,898   1,422,538 SH         DEFINED  1,2,6                    1,422,538
LILLY ELI & CO       COM        53245710   1,591,778  39,527,647 SH         DEFINED  1,2,5,6,7,8,10,12,13    39,527,647
LIME ENERGY CO       COM NEW    53261U20          87      18,800 SH         DEFINED  1                           18,800
LIMELIGHT NETWORKS I COM        53261M10       1,025     418,205 SH         DEFINED  1,2,6                      418,205
LIMITED BRANDS INC   COM        53271610     114,660  11,420,284 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,420,284
LIN TV CORP          CL A       53277410         756     693,678 SH         DEFINED  1,2                        693,678
LINCARE HLDGS INC    COM        53279110      55,529   2,061,965 SH         DEFINED  1,2,5,7,8,10,12          2,061,965
LINCOLN EDL SVCS COR COM        53353510         727      54,871 SH         DEFINED  1,2                         54,871
LINCOLN ELEC HLDGS I COM        53390010      46,685     916,655 SH         DEFINED  1,2,5,10                   916,655
LINCOLN NATL CORP IN COM        53418710     217,598  11,549,774 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,549,774







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
LINDSAY CORP         COM        53555510       6,272     197,291 SH         DEFINED  1,2,5,6                    197,291
LINEAR TECHNOLOGY CO NOTE  3.00 535678AC         217     300,000 SH         DEFINED  1                          300,000
LINEAR TECHNOLOGY CO COM        53567810     173,104   7,825,678 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,825,678
LINN ENERGY LLC      UNIT LTD L 53602010       2,248     150,196 SH         DEFINED  1,2                        150,196
LIONBRIDGE TECHNOLOG COM        53625210          61      48,648 SH         DEFINED  1,2                         48,648
LIONS GATE ENTMNT CO COM NEW    53591920         183      33,266 SH         DEFINED  1,2,6                       33,266
LIQUIDITY SERVICES I COM        53635B10       1,817     218,170 SH         DEFINED  1,2,6                      218,170
LITHIA MTRS INC      CL A       53679710         314      96,394 SH         DEFINED  1,5                         96,394
LITTELFUSE INC       COM        53700810       8,948     539,017 SH         DEFINED  1,2,6                      539,017
LIVE NATION INC      COM        53803410       8,605   1,499,153 SH         DEFINED  1,2,5,6                  1,499,153
LIVEPERSON INC       COM        53814610          39      21,628 SH         DEFINED  1                           21,628
LIVEWIRE MOBILE INC  COM        53837P10           5      51,117 SH         DEFINED  1                           51,117
LIZ CLAIBORNE INC    COM        53932010       3,767   1,448,946 SH         DEFINED  1,2,5,10                 1,448,946
LKQ CORP             COM        50188920      29,160   2,500,837 SH         DEFINED  1,2,5,6,10               2,500,837
LLOYDS TSB GROUP PLC SPONSORED  53943910         845     109,726 SH         DEFINED  1,2                        109,726
LMI AEROSPACE INC    COM        50207910       1,324     116,472 SH         DEFINED  1,2,5                      116,472
LOCKHEED MARTIN CORP COM        53983010   6,385,580  75,946,484 SH         DEFINED  1,2,5,6,7,8,10,12,13    75,946,484
LODGENET INTERACTIVE COM        54021110          16      23,335 SH         DEFINED  1,2                         23,335
LODGIAN INC          COM PAR $. 54021P40         604     283,749 SH         DEFINED  1                          283,749
LOEWS CORP           COM        54042410     430,345  15,233,446 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,233,446
LOGITECH INTL S A    SHS        H5043023         238      15,284 SH         DEFINED  1                           15,284
LO-JACK CORP         COM        53945110         114      27,671 SH         DEFINED  1                           27,671
LOOPNET INC          COM        54352430       3,249     476,424 SH         DEFINED  1,2,6                      476,424
LORAL SPACE & COMMUN COM        54388110       2,738     188,467 SH         DEFINED  1,2                        188,467
LORILLARD INC        COM        54414710     344,830   6,119,437 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,119,437
LOUISIANA PAC CORP   COM        54634710       3,990   2,557,648 SH         DEFINED  1,2,5                    2,557,648
LOWES COS INC        COM        54866110   2,475,803 115,046,595 SH         DEFINED  1,2,5,6,7,8,10,12,13   115,046,595
LSB INDS INC         COM        50216010       2,225     267,456 SH         DEFINED  1,2                        267,456
LSI CORPORATION      COM        50216110      80,599  24,498,302 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,498,302
LSI INDS INC         COM        50216C10       2,235     325,258 SH         DEFINED  1,2                        325,258
LTC PPTYS INC        COM        50217510      10,336     509,644 SH         DEFINED  1,2,3,5                    509,644
LTX-CREDENCE CORP    COM        50240310         455   1,686,130 SH         DEFINED  1,2,5                    1,686,130
LUBRIZOL CORP        COM        54927110     123,136   3,383,787 SH         DEFINED  1,2,5,7,10               3,383,787
LUBYS INC            COM        54928210       1,136     271,135 SH         DEFINED  1,2                        271,135
LUCENT TECHNOLOGIES  DBCV  2.87 549463AH         233     500,000 SH         DEFINED  1                          500,000
LUFKIN INDS INC      COM        54976410      11,025     319,553 SH         DEFINED  1,2,6                      319,553
LULULEMON ATHLETICA  COM        55002110       2,816     355,069 SH         DEFINED  1,2,6                      355,069
LUMBER LIQUIDATORS I COM        55003Q10       1,116     105,716 SH         DEFINED  1,6                        105,716
LUMINEX CORP DEL     COM        55027E10      14,053     657,908 SH         DEFINED  1,2,5,6                    657,908
LUXOTTICA GROUP S P  SPONSORED  55068R20         584      32,243 SH         DEFINED  1                           32,243
LYDALL INC DEL       COM        55081910       4,168     724,788 SH         DEFINED  1,2                        724,788
M & F WORLDWIDE CORP COM        55254110       4,663     301,822 SH         DEFINED  1,2,5,6                    301,822
M & T BK CORP        COM        55261F10     225,847   3,933,923 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,933,923
M D C HLDGS INC      COM        55267610      48,985   1,616,657 SH         DEFINED  1,2,5,6,7,10             1,616,657
M/I HOMES INC        COM        55305B10       3,427     325,177 SH         DEFINED  1,2                        325,177
MACATAWA BK CORP     COM        55422510          88      25,503 SH         DEFINED  1                           25,503
MACERICH CO          COM        55438210      52,051   2,866,247 SH         DEFINED  1,2,3,5,7,8,10,12,13     2,866,247
MAC-GRAY CORP        COM        55415310          73      11,600 SH         DEFINED  1                           11,600







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
MACK CALI RLTY CORP  COM        55448910      64,724   2,641,810 SH         DEFINED  1,2,3,5,7,10             2,641,810
MACQUARIE INFRASTR C MEMBERSHIP 55608B10         242      64,262 SH         DEFINED  1,2                         64,262
MACROVISION SOLUTION COM        55611C10      30,792   2,434,115 SH         DEFINED  1,2,5,6,7                2,434,115
MACYS INC            COM        55616P10     163,662  15,812,746 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,812,746
MADDEN STEVEN LTD    COM        55626910       8,592     403,004 SH         DEFINED  1,2,5                      403,004
MADECO SA            SPONS ADR  55630420          78      11,992 SH         DEFINED  1                           11,992
MAGELLAN HEALTH SVCS COM NEW    55907920      36,340     927,984 SH         DEFINED  1,2,5,6,8                  927,984
MAGELLAN MIDSTREAM H COM LP INT 55907R10         277      19,946 SH         DEFINED  1,2                         19,946
MAGELLAN MIDSTREAM P COM UNIT R 55908010       2,656      87,916 SH         DEFINED  1,2                         87,916
MAGMA DESIGN AUTOMAT COM        55918110         720     705,471 SH         DEFINED  1,2                        705,471
MAGNETEK INC         COM        55942410         191      79,650 SH         DEFINED  1,5                         79,650
MAGUIRE PPTYS INC    COM        55977510       1,764   1,208,330 SH         DEFINED  1,2,3,5                  1,208,330
MAGYAR TELEKOM TELEC SPONSORED  55977610         236      16,695 SH         DEFINED  1                           16,695
MAHANAGAR TEL NIGAM  SPONS ADR  55977840          75      21,800 SH         DEFINED  5,8                         21,800
MAIDEN HOLDINGS LTD  SHS        G5753U11       2,047     653,996 SH         DEFINED  1,2                        653,996
MAIDENFORM BRANDS IN COM        56030510       5,569     548,711 SH         DEFINED  1,2                        548,711
MAINSOURCE FINANCIAL COM        56062Y10       6,314     407,366 SH         DEFINED  1,2                        407,366
MAJESCO ENTERTAINMEN COM NEW    56069020          11      18,100 SH         DEFINED  1                           18,100
MANHATTAN ASSOCS INC COM        56275010       9,161     579,440 SH         DEFINED  1,2,5,6                    579,440
MANITOWOC INC        COM        56357110      36,351   4,197,573 SH         DEFINED  1,2,5,6,7,10,13          4,197,573
MANNATECH INC        COM        56377110         607     247,556 SH         DEFINED  1                          247,556
MANNKIND CORP        COM        56400P20       2,511     732,029 SH         DEFINED  1,2,6                      732,029
MANPOWER INC         COM        56418H10      65,234   1,919,206 SH         DEFINED  1,2,5,7,8,10,12,13       1,919,206
MANTECH INTL CORP    CL A       56456310      27,882     514,521 SH         DEFINED  1,2,6                      514,521
MANULIFE FINL CORP   COM        56501R10       3,031     177,965 SH         DEFINED  1,5,13                     177,965
MAP PHARMACEUTICALS  COM        56509R10         843     120,818 SH         DEFINED  1,2                        120,818
MARATHON OIL CORP    COM        56584910     779,675  28,496,895 SH         DEFINED  1,2,5,6,7,8,10,12,13    28,496,895
MARCHEX INC          CL B       56624R10       2,292     393,070 SH         DEFINED  1,2,6                      393,070
MARCUS CORP          COM        56633010       6,801     419,059 SH         DEFINED  1,2                        419,059
MARINE PRODS CORP    COM        56842710       1,041     185,290 SH         DEFINED  1,2                        185,290
MARINEMAX INC        COM        56790810         972     286,599 SH         DEFINED  1                          286,599
MARINER ENERGY INC   COM        56845T30      16,540   1,621,612 SH         DEFINED  1,2,5,10                 1,621,612
MARKEL CORP          COM        57053510      34,414     115,096 SH         DEFINED  1,2,5,8,10,12              115,096
MARKET LEADER INC    COM        57056R10          24      14,200 SH         DEFINED  1                           14,200
MARKETAXESS HLDGS IN COM        57060D10       4,075     499,368 SH         DEFINED  1,2,6                      499,368
MARKWEST ENERGY PART UNIT LTD P 57075910         470      58,922 SH         DEFINED  1,2                         58,922
MARRIOTT INTL INC NE CL A       57190320     226,957  11,668,739 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,668,739
MARSH & MCLENNAN COS COM        57174810     506,042  20,850,533 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,850,533
MARSHALL & ILSLEY CO COM        57183710     169,623  12,435,703 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,435,703
MARSHALL EDWARDS INC COM        57232230          98     140,358 SH         DEFINED  1                          140,358
MARTEK BIOSCIENCES C COM        57290110      73,656   2,430,082 SH         DEFINED  1,2,5,6,7,8              2,430,082
MARTEN TRANS LTD     COM        57307510       5,416     285,665 SH         DEFINED  1,2,6                      285,665
MARTHA STEWART LIVIN CL A       57308310       1,000     384,593 SH         DEFINED  1,2,6                      384,593
MARTIN MARIETTA MATL COM        57328410      86,365     889,625 SH         DEFINED  1,2,5,7,8,10,12,13         889,625
MARVEL ENTERTAINMENT COM        57383T10      48,520   1,577,890 SH         DEFINED  1,2,5,6,7,8              1,577,890
MARVELL TECHNOLOGY G ORD        G5876H10      41,411   6,208,578 SH         DEFINED  1,2,5,7,8,10,12,13       6,208,578
MASCO CORP           COM        57459910     168,854  15,171,077 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,171,077
MASIMO CORP          COM        57479510      33,578   1,125,643 SH         DEFINED  1,2,6                    1,125,643







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
MASSEY ENERGY CORP   COM        57620610      74,566   5,407,227 SH         DEFINED  1,2,5,6,7,8,10,13        5,407,227
MASTEC INC           COM        57632310       7,931     684,869 SH         DEFINED  1,2,5                      684,869
MASTECH HOLDINGS INC COM        57633B10          38      15,797 SH         DEFINED  1,6                         15,797
MASTERCARD INC       CL A       57636Q10     378,588   2,648,763 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,648,763
MATERIAL SCIENCES CO COM        57667410          25      16,618 SH         DEFINED  1                           16,618
MATRIX SVC CO        COM        57685310       3,726     485,828 SH         DEFINED  1,2,5,6                    485,828
MATRIXX INITIATIVES  COM        57685L10         227      13,792 SH         DEFINED  1                           13,792
MATTEL INC           COM        57708110     196,905  12,306,570 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,306,570
MATTHEWS INTL CORP   CL A       57712810      31,050     846,500 SH         DEFINED  1,2,5,6                    846,500
MATTSON TECHNOLOGY I COM        57722310       1,244     882,129 SH         DEFINED  1,2,6                      882,129
MAUI LD & PINEAPPLE  COM        57734510         905      67,364 SH         DEFINED  1                           67,364
MAX CAPITAL GROUP LT SHS        G6052F10      15,557     878,952 SH         DEFINED  1,2,5                      878,952
MAXIM INTEGRATED PRO COM        57772K10       5,606     490,888 SH         DEFINED  1,2,5                      490,888
MAXIMUS INC          COM        57793310      14,233     405,379 SH         DEFINED  1,2,5                      405,379
MAXWELL TECHNOLOGIES COM        57776710       1,146     226,030 SH         DEFINED  1,2                        226,030
MAXYGEN INC          COM        57777610       4,178     468,387 SH         DEFINED  1,2                        468,387
MB FINANCIAL INC NEW COM        55264U10      20,974     750,408 SH         DEFINED  1,2                        750,408
MBIA INC             COM        55262C10      38,434   9,443,204 SH         DEFINED  1,2,5,6,8,10,12,13       9,443,204
MBT FINL CORP        COM        57887710          51      16,687 SH         DEFINED  1                           16,687
MCAFEE INC           COM        57906410     180,642   5,225,411 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,225,411
MCCLATCHY CO         CL A       57948910         806   1,007,121 SH         DEFINED  1,2,5,13                 1,007,121
MCCORMICK & CO INC   COM NON VT 57978020     144,792   4,544,643 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,544,643
MCCORMICK & SCHMICKS COM        57979310          57      14,300 SH         DEFINED  1                           14,300
MCDERMOTT INTL INC   COM        58003710      35,823   3,625,853 SH         DEFINED  1,2,5,7,8,10,12,13       3,625,853
MCDONALDS CORP       COM        58013510   3,078,315  49,498,545 SH         DEFINED  1,2,5,6,7,8,10,12,13    49,498,545
MCG CAPITAL CORP     COM        58047P10         970   1,366,137 SH         DEFINED  1,2                      1,366,137
MCGRATH RENTCORP     COM        58058910       9,473     443,488 SH         DEFINED  1,2,6                      443,488
MCGRAW HILL COS INC  COM        58064510     274,269  11,827,020 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,827,020
MCKESSON CORP        COM        58155Q10     401,194  10,358,749 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,358,749
MCMORAN EXPLORATION  COM        58241110      17,256   1,760,781 SH         DEFINED  1,2,6                    1,760,781
MDRNA INC            COM        55276N10           8      24,173 SH         DEFINED  1                           24,173
MDU RES GROUP INC    COM        55269010      92,048   4,265,431 SH         DEFINED  1,2,5,7,8,10,12,13       4,265,431
MEADOWBROOK INS GROU COM        58319P10       5,423     842,038 SH         DEFINED  1,2                        842,038
MEADWESTVACO CORP    COM        58333410      98,782   8,827,730 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,827,730
MEASUREMENT SPECIALT COM        58342110       1,721     247,685 SH         DEFINED  1,2                        247,685
MECHEL OAO           SPONSORED  58384010       7,764   1,941,065 SH         DEFINED  1,2,4,5,7                1,941,065
MEDALLION FINL CORP  COM        58392810       1,507     197,536 SH         DEFINED  1,2                        197,536
MEDAREX INC          COM        58391610      14,099   2,526,634 SH         DEFINED  1,2,5,6,8                2,526,634
MEDASSETS INC        COM        58404510       4,248     290,951 SH         DEFINED  1,2,6                      290,951
MEDCATH CORP         COM        58404W10       3,672     351,699 SH         DEFINED  1,2,6                      351,699
MEDCO HEALTH SOLUTIO COM        58405U10     748,079  17,849,645 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,849,645
MEDIA GEN INC        CL A       58440410         644     367,756 SH         DEFINED  1,2                        367,756
MEDIACOM COMMUNICATI CL A       58446K10       5,749   1,337,000 SH         DEFINED  1,2,5,6                  1,337,000
MEDICAL ACTION INDS  COM        58449L10       2,027     202,656 SH         DEFINED  1,2                        202,656
MEDICAL PPTYS TRUST  COM        58463J30      10,863   1,721,584 SH         DEFINED  1,2,3                    1,721,584
MEDICINES CO         COM        58468810      15,136   1,027,545 SH         DEFINED  1,2,5,6                  1,027,545
MEDICIS PHARMACEUTIC CL A NEW   58469030      23,300   1,676,258 SH         DEFINED  1,2,5,6                  1,676,258
MEDIS TECHNOLOGIES L COM        58500P10         170     378,722 SH         DEFINED  1,5                        378,722







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
MEDIVATION INC       COM        58501N10       5,669     389,055 SH         DEFINED  1,2,6                      389,055
MEDTRONIC INC        NOTE  1.62 585055AM         662     750,000 SH         DEFINED  1                          750,000
MEDTRONIC INC        COM        58505510   1,276,440  40,625,070 SH         DEFINED  1,2,5,6,7,8,10,12,13    40,625,070
MELCO CROWN ENTMT LT ADR        58546410         208      65,562 SH         DEFINED  1,5                         65,562
MEMC ELECTR MATLS IN COM        55271510     117,895   8,255,971 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,255,971
MEMORY PHARMACEUTICA COM        58606R40          54      89,900 SH         DEFINED  1                           89,900
MENS WEARHOUSE INC   COM        58711810      19,213   1,418,952 SH         DEFINED  1,2,5,6                  1,418,952
MENTOR CORP MINN     COM        58718810      19,197     620,644 SH         DEFINED  1,2,5,6                    620,644
MENTOR GRAPHICS CORP COM        58720010      12,194   2,358,589 SH         DEFINED  1,2,5                    2,358,589
MERCADOLIBRE INC     COM        58733R10       7,079     431,364 SH         DEFINED  1,2,6,8                    431,364
MERCANTILE BANK CORP COM        58737610          46      10,623 SH         DEFINED  1,5                         10,623
MERCER INTL INC      COM        58805610         852     443,503 SH         DEFINED  1                          443,503
MERCK & CO INC       COM        58933110   2,687,846  88,415,989 SH         DEFINED  1,2,5,6,7,8,10,12,13    88,415,989
MERCURY COMPUTER SYS COM        58937810       2,403     380,810 SH         DEFINED  1,2,5                      380,810
MERCURY GENL CORP NE COM        58940010      45,701     993,722 SH         DEFINED  1,2,5,8,10,12              993,722
MEREDITH CORP        COM        58943310      19,917   1,163,381 SH         DEFINED  1,2,5,6,10,13            1,163,381
MERGE HEALTHCARE INC COM        58949910          50      39,357 SH         DEFINED  1                           39,357
MERIDIAN BIOSCIENCE  COM        58958410      19,502     765,696 SH         DEFINED  1,2,6                      765,696
MERIDIAN INTERSTAT B COM        58964Q10       1,042     112,621 SH         DEFINED  1,6                        112,621
MERIDIAN RESOURCE CO COM        58977Q10         841   1,476,229 SH         DEFINED  1,2,5                    1,476,229
MERIT MED SYS INC    COM        58988910       9,180     512,015 SH         DEFINED  1,2,6                      512,015
MERITAGE HOMES CORP  COM        59001A10      30,274   2,487,558 SH         DEFINED  1,2,5,6                  2,487,558
MERIX CORP           COM        59004910           9      32,009 SH         DEFINED  1                           32,009
MERRILL LYNCH & CO I NOTE       590188W4      43,200     400,000 SH         DEFINED  1,5                        400,000
MERRILL LYNCH & CO I COM        59018810   1,412,809 121,374,550 SH         DEFINED  1,2,5,6,7,8,10,12,13   121,374,550
MERUELO MADDUX PROPE COM        59047310         842     679,259 SH         DEFINED  1,2                        679,259
MESA AIR GROUP INC   COM        59047910           7      25,218 SH         DEFINED  1                           25,218
MET PRO CORP         COM        59087630       2,303     172,904 SH         DEFINED  1,2                        172,904
METABOLIX INC        COM        59101880       3,419     268,805 SH         DEFINED  1,2                        268,805
METALICO INC         COM        59117610         513     330,756 SH         DEFINED  1,2,6                      330,756
METALLINE MINING INC COM        59125710           4      17,699 SH         DEFINED  1,2                         17,699
METAVANTE TECHNOLOGI COM        59140710      29,884   1,855,011 SH         DEFINED  1,2,5,6,10,12            1,855,011
METHANEX CORP        COM        59151K10         311      27,631 SH         DEFINED  1,5                         27,631
METHODE ELECTRS INC  COM        59152020      10,423   1,546,448 SH         DEFINED  1,2                      1,546,448
METLIFE INC          COM        59156R10   1,094,350  31,392,724 SH         DEFINED  1,2,5,6,7,8,10,12,13    31,392,724
METROCORP BANCSHARES COM        59165010          76      10,154 SH         DEFINED  1                           10,154
METROPCS COMMUNICATI COM        59170810      46,577   3,136,513 SH         DEFINED  1,2,5,7,8,10,12,13       3,136,513
METROPOLITAN HEALTH  COM        59214210          63      39,654 SH         DEFINED  1,5                         39,654
METTLER TOLEDO INTER COM        59268810      47,288     701,606 SH         DEFINED  1,2,5,10                   701,606
MF GLOBAL LTD        SHS        G6064210       2,041   1,000,415 SH         DEFINED  1,2,5,7,10               1,000,415
MFA MTG INVTS INC    COM        55272X10      25,409   4,313,985 SH         DEFINED  1,2                      4,313,985
MGE ENERGY INC       COM        55277P10      12,938     392,068 SH         DEFINED  1,2                        392,068
MGIC INVT CORP WIS   COM        55284810       7,952   2,285,118 SH         DEFINED  1,2,5,10                 2,285,118
MGM MIRAGE           COM        55295310      23,513   1,708,787 SH         DEFINED  1,2,5,7,8,10,12,13       1,708,787
MICREL INC           COM        59479310      11,417   1,561,878 SH         DEFINED  1,2,5,6                  1,561,878
MICROCHIP TECHNOLOGY COM        59501710     125,420   6,421,931 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,421,931
MICROMET INC         COM        59509C10          93      21,246 SH         DEFINED  1                           21,246
MICRON TECHNOLOGY IN COM        59511210      88,027  33,343,388 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,343,388







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
MICRONETICS INC DEL  COM        59512510          34      10,033 SH         DEFINED  1                           10,033
MICROS SYS INC       COM        59490110      25,740   1,577,189 SH         DEFINED  1,2,5,6                  1,577,189
MICROSEMI CORP       COM        59513710      21,185   1,676,052 SH         DEFINED  1,2,5,6                  1,676,052
MICROSOFT CORP       COM        59491810   5,727,397 294,619,195 SH         DEFINED  1,2,5,6,7,8,10,12,13   294,619,195
MICROSTRATEGY INC    CL A NEW   59497240       8,883     239,245 SH         DEFINED  1,2,5,6                    239,245
MICROTUNE INC DEL    COM        59514P10       1,689     827,893 SH         DEFINED  1,2,5                      827,893
MICROVISION INC DEL  COM        59496010       1,408     838,301 SH         DEFINED  1,2                        838,301
MICRUS ENDOVASCULAR  COM        59518V10       2,363     203,491 SH         DEFINED  1,2,5                      203,491
MID-AMER APT CMNTYS  COM        59522J10      38,843   1,045,296 SH         DEFINED  1,2,3,5                  1,045,296
MIDAS GROUP INC      COM        59562610       3,288     313,471 SH         DEFINED  1,2                        313,471
MIDCAP SPDR TR       UNIT SER 1 59563510         719       7,400 SH         DEFINED  2                            7,400
MIDDLEBROOK PHARMACE COM        59608710         649     432,982 SH         DEFINED  1,2                        432,982
MIDDLEBY CORP        COM        59627810       7,432     272,525 SH         DEFINED  1,2,6                      272,525
MIDDLESEX WATER CO   COM        59668010       3,700     214,736 SH         DEFINED  1,2,5                      214,736
MIDWAY GAMES INC     COM        59814810          59     310,680 SH         DEFINED  1,2                        310,680
MIDWEST BANC HOLDING COM        59825110         509     363,430 SH         DEFINED  1,2                        363,430
MILLER HERMAN INC    COM        60054410      22,560   1,731,366 SH         DEFINED  1,2,5,6,8                1,731,366
MILLICOM INTL CELLUL SHS NEW    L6388F11       5,792     128,974 SH         DEFINED  1,2,5,8,12                 128,974
MILLIPORE CORP       COM        60107310     101,824   1,976,407 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,976,407
MINDSPEED TECHNOLOGI COM NEW    60268220          19      22,328 SH         DEFINED  1,5                         22,328
MINE SAFETY APPLIANC COM        60272010      21,286     890,257 SH         DEFINED  1,2,5,6                    890,257
MINERALS TECHNOLOGIE COM        60315810      26,240     641,564 SH         DEFINED  1,2,5                      641,564
MIPS TECHNOLOGIES IN COM        60456710         764     688,011 SH         DEFINED  1                          688,011
MIRANT CORP NEW      COM        60467R10      50,183   2,659,386 SH         DEFINED  1,2,5,7,8,10,12,13       2,659,386
MISSION WEST PPTYS I COM        60520310       2,630     343,787 SH         DEFINED  1,2,3,5                    343,787
MITCHAM INDS INC     COM        60650110         419     105,487 SH         DEFINED  1                          105,487
MITSUBISHI UFJ FINL  SPONSORED  60682210       2,591     417,226 SH         DEFINED  1,2                        417,226
MITSUI & CO LTD      ADR        60682720         987       4,816 SH         DEFINED  1,2                          4,816
MIVA INC             COM        55311R10           5      29,129 SH         DEFINED  1                           29,129
MIZUHO FINL GROUP IN SPONSORED  60687Y10         260      45,020 SH         DEFINED  1                           45,020
MKS INSTRUMENT INC   COM        55306N10      21,290   1,439,490 SH         DEFINED  1,2,5                    1,439,490
MOBILE MINI INC      COM        60740F10       8,733     605,632 SH         DEFINED  1,2,5,6                    605,632
MOBILE TELESYSTEMS O SPONSORED  60740910      39,758   1,490,179 SH         DEFINED  1,2,4,5,7,8              1,490,179
MODINE MFG CO        COM        60782810       4,010     823,414 SH         DEFINED  1,2,5                      823,414
MODUSLINK GLOBAL SOL COM        60786L10       2,499     864,738 SH         DEFINED  1,2,5                      864,738
MOHAWK INDS INC      COM        60819010      80,584   1,875,346 SH         DEFINED  1,2,5,7,8,10,12,13       1,875,346
MOLECULAR INSIGHT PH COM        60852M10         874     203,252 SH         DEFINED  1                          203,252
MOLEX INC            COM        60855410      64,425   4,446,196 SH         DEFINED  1,2,5,6,8,10,12,13       4,446,196
MOLEX INC            CL A       60855420       1,512     116,722 SH         DEFINED  1,2,5,12                   116,722
MOLINA HEALTHCARE IN COM        60855R10       5,555     315,443 SH         DEFINED  1,2                        315,443
MOLSON COORS BREWING CL B       60871R20     262,182   5,359,395 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,359,395
MOMENTA PHARMACEUTIC COM        60877T10       7,212     621,760 SH         DEFINED  1,2,5,6                    621,760
MONACO COACH CORP    COM        60886R10           8      16,479 SH         DEFINED  1                           16,479
MONARCH CASINO & RES COM        60902710       2,218     190,354 SH         DEFINED  1,2,6                      190,354
MONEYGRAM INTL INC   COM        60935Y10         172     168,475 SH         DEFINED  1,2,5                      168,475
MONMOUTH REAL ESTATE CL A       60972010       2,155     307,800 SH         DEFINED  1,2,3                      307,800
MONOGRAM BIOSCIENCES COM NEW    60975U20          81      31,261 SH         DEFINED  1                           31,261
MONOLITHIC PWR SYS I COM        60983910       5,020     398,109 SH         DEFINED  1,2,6                      398,109







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
MONOTYPE IMAGING HOL COM        61022P10       2,770     477,657 SH         DEFINED  1,2,6                      477,657
MONRO MUFFLER BRAKE  COM        61023610       7,212     282,813 SH         DEFINED  1,2,5                      282,813
MONSANTO CO NEW      COM        61166W10   1,471,673  20,919,310 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,919,310
MONSTER WORLDWIDE IN COM        61174210      52,593   4,350,101 SH         DEFINED  1,2,5,6,8,10,13          4,350,101
MONTPELIER RE HOLDIN SHS        G6218510      30,623   1,823,891 SH         DEFINED  1,2,5                    1,823,891
MOODYS CORP          COM        61536910     164,059   8,166,224 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,166,224
MOOG INC             CL A       61539420      28,861     789,198 SH         DEFINED  1,2,5                      789,198
MORGAN STANLEY       COM NEW    61744644   2,316,649 144,429,478 SH         DEFINED  1,2,5,6,7,8,10,12,13   144,429,478
MORGANS HOTEL GROUP  COM        61748W10       1,898     407,391 SH         DEFINED  1,2,6                      407,391
MORNINGSTAR INC      COM        61770010       5,075     142,970 SH         DEFINED  1,2,6,10                   142,970
MORTONS RESTAURANT G COM        61943010          34      12,014 SH         DEFINED  1                           12,014
MOSAIC CO            COM        61945A10      80,444   2,324,982 SH         DEFINED  1,2,5,7,8,10,12,13       2,324,982
MOSYS INC            COM        61971810          66      31,222 SH         DEFINED  1                           31,222
MOTOROLA INC         COM        62007610     348,306  78,624,452 SH         DEFINED  1,2,5,6,7,8,10,12,13    78,624,452
MOVADO GROUP INC     COM        62458010       3,834     408,338 SH         DEFINED  1,2                        408,338
MOVE INC COM         COM        62458M10       3,677   2,298,266 SH         DEFINED  1,2,5,6                  2,298,266
MPS GROUP INC        COM        55340910      20,330   2,699,901 SH         DEFINED  1,2,5                    2,699,901
MRV COMMUNICATIONS I COM        55347710       1,737   2,255,732 SH         DEFINED  1,2,5                    2,255,732
MSC INDL DIRECT INC  CL A       55353010      31,389     852,275 SH         DEFINED  1,2,5,6,10                 852,275
MSC SOFTWARE CORP    COM        55353110       4,709     704,953 SH         DEFINED  1,2,6                      704,953
MSCI INC             CL A       55354G10       8,809     496,019 SH         DEFINED  1,2,5,6,8,10               496,019
MTR GAMING GROUP INC COM        55376910          35      20,668 SH         DEFINED  1,5,6                       20,668
MTS SYS CORP         COM        55377710       9,670     362,971 SH         DEFINED  1,2,6                      362,971
MUELLER INDS INC     COM        62475610      18,769     748,383 SH         DEFINED  1,2,5                      748,383
MUELLER WTR PRODS IN COM SER A  62475810      16,986   2,022,124 SH         DEFINED  1,2                      2,022,124
MUELLER WTR PRODS IN COM SER B  62475820       2,342     277,431 SH         DEFINED  1,2                        277,431
MULTI COLOR CORP     COM        62538310       2,368     149,674 SH         DEFINED  1,2                        149,674
MULTI FINELINE ELECT COM        62541B10       2,340     200,184 SH         DEFINED  1,2,6                      200,184
MULTIMEDIA GAMES INC COM        62545310         475     199,571 SH         DEFINED  1,5                        199,571
MURPHY OIL CORP      COM        62671710     334,093   7,533,106 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,533,106
MVC CAPITAL INC      COM        55382910       3,778     344,359 SH         DEFINED  1,2                        344,359
MWI VETERINARY SUPPL COM        55402X10       4,881     181,030 SH         DEFINED  1,2,6                      181,030
MYERS INDS INC       COM        62846410       4,051     506,422 SH         DEFINED  1,2,6                      506,422
MYLAN INC            NOTE  1.25 628530AG         163     250,000 SH         DEFINED  1                          250,000
MYLAN INC            COM        62853010      98,085   9,917,639 SH         DEFINED  1,2,5,6,8,10,12,13       9,917,639
MYLAN INC            PFD CONV   62853020         264         400 SH         DEFINED  1                              400
MYR GROUP INC DEL    COM        55405W10         144      14,400 SH         DEFINED  1                           14,400
MYRIAD GENETICS INC  COM        62855J10     104,139   1,571,671 SH         DEFINED  1,2,5,7                  1,571,671
NABI BIOPHARMACEUTIC COM        62951910       3,440   1,026,892 SH         DEFINED  1,2,5                    1,026,892
NABORS INDS INC      NOTE  0.94 629568AP         824   1,000,000 SH         DEFINED  1                        1,000,000
NABORS INDUSTRIES LT SHS        G6359F10     153,519  12,825,335 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,825,335
NACCO INDS INC       CL A       62957910       3,647      97,475 SH         DEFINED  1,2                         97,475
NALCO HOLDING COMPAN COM        62985Q10      19,097   1,654,896 SH         DEFINED  1,2,5,8,10               1,654,896
NAM TAI ELECTRS INC  COM PAR $0 62986520         215      39,036 SH         DEFINED  1,5                         39,036
NANOGEN INC          COM        63007510           6      45,403 SH         DEFINED  1                           45,403
NANOPHASE TCHNOLOGIE COM        63007910          16      15,558 SH         DEFINED  1                           15,558
NANOSPHERE INC       COM        63009F10         771     162,040 SH         DEFINED  1                          162,040
NAPCO SEC SYS INC    COM        63040210          18      14,409 SH         DEFINED  1                           14,409







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
NARA BANCORP INC     COM        63080P10       4,185     425,788 SH         DEFINED  1,2,5                      425,788
NASB FINL INC        COM        62896810       1,683      62,315 SH         DEFINED  1                           62,315
NASDAQ OMX GROUP INC COM        63110310     145,957   5,906,807 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,906,807
NASH FINCH CO        COM        63115810      25,679     572,049 SH         DEFINED  1,2,7,8                    572,049
NATCO GROUP INC      CL A       63227W20       4,983     328,236 SH         DEFINED  1,2,5,6                    328,236
NATIONAL BEVERAGE CO COM        63501710       1,616     179,552 SH         DEFINED  1,2                        179,552
NATIONAL BK GREECE S SPONSORED  63364340       1,280     335,983 SH         DEFINED  1,2                        335,983
NATIONAL CINEMEDIA I COM        63530910       7,335     723,408 SH         DEFINED  1,2,6                      723,408
NATIONAL CITY CORP   NOTE  4.00 635405AW         223     250,000 SH         DEFINED  1                          250,000
NATIONAL CITY CORP   COM        63540510     135,292  74,747,061 SH         DEFINED  1,2,5,6,7,8,10,13       74,747,061
NATIONAL COAL CORP   COM NEW    63238120         424     333,788 SH         DEFINED  1                          333,788
NATIONAL FINL PARTNE COM        63607P20       3,199   1,052,241 SH         DEFINED  1,2                      1,052,241
NATIONAL FUEL GAS CO COM        63618010      51,361   1,639,365 SH         DEFINED  1,2,5,10                 1,639,365
NATIONAL GRID PLC    SPON ADR N 63627430         948      18,796 SH         DEFINED  1                           18,796
NATIONAL HEALTH INVS COM        63633D10      10,953     399,302 SH         DEFINED  1,2,3                      399,302
NATIONAL HEALTHCARE  COM        63590610       6,961     137,465 SH         DEFINED  1,2,3,5,6                  137,465
NATIONAL INSTRS CORP COM        63651810      33,995   1,395,516 SH         DEFINED  1,2,5,6,10               1,395,516
NATIONAL INTERSTATE  COM        63654U10       1,947     108,952 SH         DEFINED  1,2                        108,952
NATIONAL OILWELL VAR COM        63707110     437,936  17,918,837 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,918,837
NATIONAL PENN BANCSH COM        63713810      51,545   3,552,359 SH         DEFINED  1,2,5,7,8                3,552,359
NATIONAL PRESTO INDS COM        63721510       9,192     119,375 SH         DEFINED  1,2,5                      119,375
NATIONAL RESEARCH CO COM        63737210         490      16,917 SH         DEFINED  1                           16,917
NATIONAL RETAIL PROP COM        63741710      28,409   1,652,618 SH         DEFINED  1,2,3,5                  1,652,618
NATIONAL SEMICONDUCT COM        63764010      85,928   8,533,039 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,533,039
NATIONAL WESTN LIFE  CL A       63852210       6,702      39,619 SH         DEFINED  1,2                         39,619
NATIONWIDE FINL SVCS CL A       63861210      36,468     698,489 SH         DEFINED  1,2,5,7,8,10,12,13         698,489
NATIONWIDE HEALTH PP COM        63862010     109,261   3,804,347 SH         DEFINED  1,2,3,5,7,10             3,804,347
NATURAL GAS SERVICES COM        63886Q10       1,756     173,387 SH         DEFINED  1,2                        173,387
NATURAL RESOURCE PAR COM UNIT L 63900P10         854      48,935 SH         DEFINED  1,2                         48,935
NATUS MEDICAL INC DE COM        63905010       6,013     464,329 SH         DEFINED  1,2,6                      464,329
NAUTILUS INC         COM        63910B10       1,082     489,400 SH         DEFINED  1,5                        489,400
NAVARRE CORP         COM        63920810          12      31,137 SH         DEFINED  1                           31,137
NAVIGANT CONSULTING  COM        63935N10      25,511   1,607,529 SH         DEFINED  1,2,6                    1,607,529
NAVIGATORS GROUP INC COM        63890410      12,951     235,859 SH         DEFINED  1,2,6                      235,859
NAVIOS MARITIME PART UNIT LPI   Y6226710          72      10,100 SH         DEFINED  1                           10,100
NAVISITE INC         COM NEW    63935M20          26      64,483 SH         DEFINED  1,2                         64,483
NAVISTAR INTL CORP N COM        63934E10       3,842     179,698 SH         DEFINED  1,2,5,8                    179,698
NBT BANCORP INC      COM        62877810      18,778     671,585 SH         DEFINED  1,2,5                      671,585
NBTY INC             COM        62878210      25,858   1,652,272 SH         DEFINED  1,2,5,6,7,10             1,652,272
NCI BUILDING SYS INC COM        62885210       7,858     482,103 SH         DEFINED  1,2                        482,103
NCI INC              CL A       62886K10       2,866      95,124 SH         DEFINED  1,2,6                       95,124
NCR CORP NEW         COM        62886E10      52,227   3,693,565 SH         DEFINED  1,2,5,8,10,12            3,693,565
NEENAH PAPER INC     COM        64007910       3,118     352,666 SH         DEFINED  1,2,5                      352,666
NEKTAR THERAPEUTICS  COM        64026810       9,381   1,687,277 SH         DEFINED  1,2,5,6                  1,687,277
NELNET INC           CL A       64031N10       5,428     378,777 SH         DEFINED  1,2                        378,777
NEOGEN CORP          COM        64049110       5,532     221,454 SH         DEFINED  1,2,6                      221,454
NEOPHARM INC         COM        64091910           4      24,147 SH         DEFINED  1                           24,147
NEOSE TECHNOLOGIES I COM        64052210           8      23,626 SH         DEFINED  1                           23,626







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
NESS TECHNOLOGIES IN COM        64104X10       2,346     548,099 SH         DEFINED  1,2,6                      548,099
NET 1 UEPS TECHNOLOG COM NEW    64107N20       9,789     714,539 SH         DEFINED  1,2,6                      714,539
NET SERVICOS DE COMU SPONSD ADR 64109T20         237      40,650 SH         DEFINED  1                           40,650
NETAPP INC           COM        64110D10     164,036  11,742,032 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,742,032
NETEASE COM INC      SPONSORED  64110W10         553      25,000 SH         DEFINED  1,2                         25,000
NETEZZA CORP         COM        64111N10       5,183     811,068 SH         DEFINED  1,2,6                      811,068
NETFLIX INC          COM        64110L10      49,931   1,670,491 SH         DEFINED  1,2,5,6                  1,670,491
NETGEAR INC          COM        64111Q10      11,293     989,713 SH         DEFINED  1,2,6                      989,713
NETLOGIC MICROSYSTEM COM        64118B10       6,054     275,078 SH         DEFINED  1,2,5,6                    275,078
NETSCOUT SYS INC     COM        64115T10       4,201     487,356 SH         DEFINED  1,2,6                      487,356
NETSUITE INC         COM        64118Q10       1,175     139,217 SH         DEFINED  1,2,6                      139,217
NETWORK ENGINES INC  COM        64121A10           7      17,657 SH         DEFINED  1                           17,657
NETWORK EQUIP TECHNO COM        64120810         161      55,996 SH         DEFINED  1,5                         55,996
NEUROCRINE BIOSCIENC COM        64125C10       2,158     674,296 SH         DEFINED  1,2,5,6                    674,296
NEUROGEN CORP        COM        64124E10           3      20,334 SH         DEFINED  1                           20,334
NEUSTAR INC          CL A       64126X20      28,793   1,505,138 SH         DEFINED  1,2,5,6,8,10             1,505,138
NEUTRAL TANDEM INC   COM        64128B10       4,131     254,690 SH         DEFINED  1,2,6                      254,690
NEVADA GOLD & CASINO COM NEW    64126Q20          28      34,000 SH         DEFINED  1                           34,000
NEW FRONTIER MEDIA I COM        64439810          43      25,324 SH         DEFINED  1                           25,324
NEW JERSEY RES       COM        64602510      33,575     853,243 SH         DEFINED  1,2,5                      853,243
NEW MOTION INC       COM        64754V10          12      10,587 SH         DEFINED  1                           10,587
NEW ORIENTAL ED & TE SPON ADR   64758110       8,978     163,507 SH         DEFINED  1,2,7                      163,507
NEW YORK & CO INC    COM        64929510       2,003     863,365 SH         DEFINED  1,2                        863,365
NEW YORK CMNTY BANCO COM        64944510     105,295   8,803,954 SH         DEFINED  1,2,5,7,8,10,12,13       8,803,954
NEW YORK TIMES CO    CL A       65011110      29,142   3,975,745 SH         DEFINED  1,2,5,6,8,10,12,13       3,975,745
NEWALLIANCE BANCSHAR COM        65020310      30,798   2,338,519 SH         DEFINED  1,2,5,6                  2,338,519
NEWBRIDGE BANCORP    COM        65080T10          49      20,558 SH         DEFINED  1                           20,558
NEWCASTLE INVT CORP  COM        65105M10         796     947,532 SH         DEFINED  1,2                        947,532
NEWELL RUBBERMAID IN COM        65122910      99,085  10,131,350 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,131,350
NEWFIELD EXPL CO     COM        65129010      63,481   3,214,217 SH         DEFINED  1,2,5,7,8,10,12,13       3,214,217
NEWMARKET CORP       COM        65158710       7,840     224,574 SH         DEFINED  1,2,5,6                    224,574
NEWMONT MINING CORP  COM        65163910     691,374  16,987,086 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,987,086
NEWPARK RES INC      COM PAR $. 65171850       6,889   1,861,875 SH         DEFINED  1,2,6                    1,861,875
NEWPORT CORP         COM        65182410       4,668     688,494 SH         DEFINED  1,2,5,6                    688,494
NEWS CORP            CL A       65248E10     711,003  78,218,154 SH         DEFINED  1,2,5,6,7,8,10,12,13    78,218,154
NEWS CORP            CL B       65248E20      20,672   2,157,875 SH         DEFINED  1,2,5,7,8,10,12,13       2,157,875
NEWSTAR FINANCIAL IN COM        65251F10       1,678     420,434 SH         DEFINED  1,2                        420,434
NEXCEN BRANDS INC    COM        65335110           4      35,855 SH         DEFINED  1                           35,855
NEXSTAR BROADCASTING CL A       65336K10           5      10,746 SH         DEFINED  1                           10,746
NEXTEL COMMUNICATION NOTE  5.25 65332VAY         433     500,000 SH         DEFINED  1                          500,000
NEXTWAVE WIRELESS IN COM        65337Y10          48     531,361 SH         DEFINED  1                          531,361
NGAS RESOURCES INC   COM        62912T10          70      42,460 SH         DEFINED  1,5                         42,460
NGP CAP RES CO       COM        62912R10       2,723     325,315 SH         DEFINED  1,2                        325,315
NIC INC              COM        62914B10       3,234     703,069 SH         DEFINED  1,2,6                      703,069
NICOR INC            COM        65408610      72,144   2,076,694 SH         DEFINED  1,2,5,6,10,13            2,076,694
NIGHTHAWK RADIOLOGY  COM        65411N10       1,920     395,086 SH         DEFINED  1,2                        395,086
NII HLDGS INC        NOTE  3.12 62913FAJ         121     200,000 SH         DEFINED  1                          200,000
NII HLDGS INC        CL B NEW   62913F20      46,009   2,530,728 SH         DEFINED  1,2,5,7,8,10,12,13       2,530,728







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
NIKE INC             CL B       65410610     696,293  13,652,805 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,652,805
NIPPON TELEG & TEL C SPONSORED  65462410         667      24,523 SH         DEFINED  1                           24,523
NISOURCE INC         COM        65473P10     130,021  11,852,389 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,852,389
NISSAN MOTORS        SPONSORED  65474440         625      85,902 SH         DEFINED  1                           85,902
NITROMED INC         COM        65479850           7      17,419 SH         DEFINED  1                           17,419
NL INDS INC          COM NEW    62915640       1,649     123,028 SH         DEFINED  1,2                        123,028
NMT MED INC          COM        62929410          14      15,242 SH         DEFINED  1                           15,242
NN INC               COM        62933710       1,281     559,207 SH         DEFINED  1,2                        559,207
NOBLE CORPORATION    SHS        G6542210     240,626  10,892,965 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,892,965
NOBLE ENERGY INC     COM        65504410     359,613   7,306,242 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,306,242
NOKIA CORP           SPONSORED  65490220       5,903     378,390 SH         DEFINED  1,2                        378,390
NOMURA HLDGS INC     SPONSORED  65535H20         810      97,019 SH         DEFINED  1,2                         97,019
NORDIC AMERICAN TANK COM        G6577310      15,504     459,387 SH         DEFINED  1,5                        459,387
NORDSON CORP         COM        65566310      29,436     911,624 SH         DEFINED  1,2,5,6                    911,624
NORDSTROM INC        COM        65566410      80,971   6,083,451 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,083,451
NORFOLK SOUTHERN COR COM        65584410     633,419  13,462,674 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,462,674
NORTEL NETWORKS CORP COM NEW    65656850           5      20,893 SH         DEFINED  1,6                         20,893
NORTHEAST UTILS      COM        66439710      71,690   2,979,644 SH         DEFINED  1,2,5,8,10,12            2,979,644
NORTHERN OIL & GAS I COM        66553110         664     255,194 SH         DEFINED  1                          255,194
NORTHERN TR CORP     COM        66585910     522,701  10,024,961 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,024,961
NORTHFIELD BANCORP I COM        66611L10       3,283     291,787 SH         DEFINED  1,2                        291,787
NORTHFIELD LABS INC  COM        66613510          31      30,870 SH         DEFINED  1                           30,870
NORTHROP GRUMMAN COR COM        66680710   1,548,529  34,381,204 SH         DEFINED  1,2,5,6,7,8,10,12,13    34,381,204
NORTHSTAR NEUROSCIEN COM        66704V10          42      34,913 SH         DEFINED  1                           34,913
NORTHSTAR RLTY FIN C COM        66704R10       4,520   1,156,063 SH         DEFINED  1,2                      1,156,063
NORTHWEST BANCORP IN COM        66732810       5,925     277,148 SH         DEFINED  1,2                        277,148
NORTHWEST NAT GAS CO COM        66765510      33,710     762,151 SH         DEFINED  1,2,5                      762,151
NORTHWEST PIPE CO    COM        66774610       6,593     154,727 SH         DEFINED  1,2,5,6                    154,727
NORTHWESTERN CORP    COM NEW    66807430      16,643     709,117 SH         DEFINED  1,2                        709,117
NOVAMED INC DEL      COM        66986W10          65      18,903 SH         DEFINED  1                           18,903
NOVARTIS A G         SPONSORED  66987V10       7,060     141,876 SH         DEFINED  1,2,5                      141,876
NOVATEL WIRELESS INC COM NEW    66987M60       4,182     901,387 SH         DEFINED  1,2,5,6                    901,387
NOVAVAX INC          COM        67000210       1,430     756,361 SH         DEFINED  1,2,5                      756,361
NOVELL INC           COM        67000610      41,270  10,609,358 SH         DEFINED  1,2,5,6,10,13           10,609,358
NOVELLUS SYS INC     COM        67000810      43,726   3,543,421 SH         DEFINED  1,2,5,6,8,10,12,13       3,543,421
NOVEN PHARMACEUTICAL COM        67000910       4,892     444,771 SH         DEFINED  1,2,6                      444,771
NOVO-NORDISK A S     ADR        67010020         804      15,653 SH         DEFINED  1                           15,653
NPS PHARMACEUTICALS  COM        62936P10       7,386   1,189,359 SH         DEFINED  1,2,5,6                  1,189,359
NRG ENERGY INC       COM NEW    62937750      79,502   3,407,702 SH         DEFINED  1,2,5,7,8,10,12,13       3,407,702
NSTAR                COM        67019E10      72,635   1,990,532 SH         DEFINED  1,2,5,8,10,12            1,990,532
NTELOS HLDGS CORP    COM        67020Q10      13,617     552,195 SH         DEFINED  1,2                        552,195
NTT DOCOMO INC       SPONS ADR  62942M20       2,068     105,389 SH         DEFINED  1,2                        105,389
NU HORIZONS ELECTRS  COM        66990810          44      25,768 SH         DEFINED  1,5                         25,768
NU SKIN ENTERPRISES  CL A       67018T10      10,133     971,494 SH         DEFINED  1,2                        971,494
NUANCE COMMUNICATION COM        67020Y10      19,770   1,908,339 SH         DEFINED  1,2,5,10                 1,908,339
NUCOR CORP           COM        67034610     575,853  12,464,354 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,464,354
NUSTAR ENERGY LP     UNIT COM   67058H10       2,024      49,303 SH         DEFINED  1,2                         49,303
NUSTAR GP HOLDINGS L UNIT RESTG 67059L10         522      29,530 SH         DEFINED  1,2                         29,530







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
NUTRACEUTICAL INTL C COM        67060Y10         104      13,535 SH         DEFINED  1                           13,535
NUTRI SYS INC NEW    COM        67069D10      12,528     858,698 SH         DEFINED  1,2,5,6                    858,698
NUVASIVE INC         COM        67070410      22,231     641,587 SH         DEFINED  1,2,5,6                    641,587
NUVELO INC           COM NEW    67072M30          15      50,692 SH         DEFINED  1                           50,692
NV ENERGY INC        COM        67073Y10      47,045   4,756,801 SH         DEFINED  1,2,5,7,8,10             4,756,801
NVE CORP             COM NEW    62944520       1,684      64,455 SH         DEFINED  1,2                         64,455
NVIDIA CORP          COM        67066G10     159,547  19,770,352 SH         DEFINED  1,2,5,6,7,8,10,12,13    19,770,352
NVR INC              COM        62944T10     134,597     295,007 SH         DEFINED  1,2,5,7,8,10,12            295,007
NXSTAGE MEDICAL INC  COM        67072V10       1,232     461,464 SH         DEFINED  1,2                        461,464
NYFIX INC            COM        67071210          12      14,472 SH         DEFINED  1                           14,472
NYMAGIC INC          COM        62948410       1,827      95,890 SH         DEFINED  1,2                         95,890
NYSE EURONEXT        COM        62949110     281,244  10,271,867 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,271,867
O CHARLEYS INC       COM        67082310       1,023     511,516 SH         DEFINED  1,2                        511,516
O REILLY AUTOMOTIVE  COM        68609110      81,368   2,646,971 SH         DEFINED  1,2,5,10                 2,646,971
OBAGI MEDICAL PRODUC COM        67423R10       2,005     268,745 SH         DEFINED  1,2                        268,745
OCCAM NETWORKS INC   COM NEW    67457P30          41      17,124 SH         DEFINED  1,2                         17,124
OCCIDENTAL PETE CORP COM        67459910   1,990,418  33,179,169 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,179,169
OCEAN SHORE HLDG CO  COM        67501P10          86      12,500 SH         DEFINED  1                           12,500
OCEANEERING INTL INC COM        67523210      33,580   1,152,369 SH         DEFINED  1,2,5,6,10               1,152,369
OCEANFIRST FINL CORP COM        67523410       3,037     182,940 SH         DEFINED  1,2                        182,940
OCEANFREIGHT INC     SHS        Y6420210          33      10,951 SH         DEFINED  1                           10,951
OCH ZIFF CAP MGMT GR CL A       67551U10         186      36,168 SH         DEFINED  1,2                         36,168
OCWEN FINL CORP      COM NEW    67574630       5,672     617,829 SH         DEFINED  1,2                        617,829
ODYSSEY HEALTHCARE I COM        67611V10       7,323     791,706 SH         DEFINED  1,2,5,6                    791,706
ODYSSEY MARINE EXPLO COM        67611810       2,172     674,549 SH         DEFINED  1,2,5                      674,549
ODYSSEY RE HLDGS COR COM        67612W10      26,790     517,076 SH         DEFINED  1,2,6,8                    517,076
OFFICE DEPOT INC     COM        67622010      31,450  10,553,718 SH         DEFINED  1,2,5,6,8,10,13         10,553,718
OFFICEMAX INC DEL    COM        67622P10      11,435   1,496,782 SH         DEFINED  1,2,5,8,10               1,496,782
OGE ENERGY CORP      COM        67083710      58,935   2,286,059 SH         DEFINED  1,2,5,7,8,10             2,286,059
OIL STS INTL INC     COM        67802610      14,534     777,639 SH         DEFINED  1,2,5,7,10                 777,639
OILSANDS QUEST INC   COM        67804610       1,872   2,564,290 SH         DEFINED  1,2                      2,564,290
OLD DOMINION FGHT LI COM        67958010      17,332     608,999 SH         DEFINED  1,2,6                      608,999
OLD NATL BANCORP IND COM        68003310      44,075   2,427,017 SH         DEFINED  1,2,5                    2,427,017
OLD REP INTL CORP    COM        68022310      60,376   5,065,066 SH         DEFINED  1,2,5,7,8,10,12,13       5,065,066
OLD SECOND BANCORP I COM        68027710       2,669     230,079 SH         DEFINED  1,2                        230,079
OLIN CORP            COM PAR $1 68066520     115,439   6,384,878 SH         DEFINED  1,2,5                    6,384,878
OLYMPIC STEEL INC    COM        68162K10       4,025     197,590 SH         DEFINED  1,2,5                      197,590
OM GROUP INC         COM        67087210      12,737     603,346 SH         DEFINED  1,2,5                      603,346
OMEGA FLEX INC       COM        68209510         656      31,347 SH         DEFINED  1                           31,347
OMEGA HEALTHCARE INV COM        68193610      31,447   1,969,107 SH         DEFINED  1,2,3                    1,969,107
OMEGA PROTEIN CORP   COM        68210P10       1,033     257,708 SH         DEFINED  1,2,5                      257,708
OMNI ENERGY SERVICES COM NEW    68210T20          46      38,717 SH         DEFINED  1,2,5                       38,717
OMNICARE INC         COM        68190410      99,954   3,600,645 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,600,645
OMNICELL INC         COM        68213N10       6,461     529,152 SH         DEFINED  1,2,6                      529,152
OMNICOM GROUP INC    NOTE       681919AK         296     300,000 SH         DEFINED  1                          300,000
OMNICOM GROUP INC    COM        68191910     299,385  11,121,273 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,121,273
OMNITURE INC         COM        68212S10      12,231   1,149,490 SH         DEFINED  1,2,6,8                  1,149,490
OMNIVISION TECHNOLOG COM        68212810       6,577   1,252,704 SH         DEFINED  1,2,5,6                  1,252,704







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
OMNOVA SOLUTIONS INC COM        68212910          28      41,172 SH         DEFINED  1                           41,172
ON ASSIGNMENT INC    COM        68215910       4,359     768,695 SH         DEFINED  1,2                        768,695
ON SEMICONDUCTOR COR COM        68218910      13,582   3,994,739 SH         DEFINED  1,2,5,6,10               3,994,739
ON2 TECHNOLOGIES INC COM        68338A10          23     114,945 SH         DEFINED  1                          114,945
ONE LIBERTY PPTYS IN COM        68240610       1,115     126,653 SH         DEFINED  1,2,3,5                    126,653
ONEBEACON INSURANCE  CL A       G6774210       1,902     182,139 SH         DEFINED  1,2,8,10                   182,139
ONEOK INC NEW        COM        68268010      62,026   2,130,005 SH         DEFINED  1,2,5,7,8,10,12,13       2,130,005
ONEOK PARTNERS LP    UNIT LTD P 68268N10       2,777      60,958 SH         DEFINED  1,2                         60,958
ONLINE RES CORP      COM        68273G10       1,801     380,049 SH         DEFINED  1,2                        380,049
ONYX PHARMACEUTICALS COM        68339910      59,519   1,742,350 SH         DEFINED  1,2,5,6                  1,742,350
OPEN JT STK CO-VIMPE SPONSORED  68370R10      13,429   1,875,506 SH         DEFINED  1,2,5,7                  1,875,506
OPEN TEXT CORP       COM        68371510         273       9,064 SH         DEFINED  5                            9,064
OPENTV CORP          CL A       G6754310       1,349   1,097,038 SH         DEFINED  1,2                      1,097,038
OPENWAVE SYS INC     COM NEW    68371830         131     201,176 SH         DEFINED  1,2,5                      201,176
OPKO HEALTH INC      COM        68375N10         887     547,619 SH         DEFINED  1,2,6                      547,619
OPLINK COMMUNICATION COM NEW    68375Q40       2,678     311,444 SH         DEFINED  1,2                        311,444
OPNET TECHNOLOGIES I COM        68375710       1,703     172,738 SH         DEFINED  1,2,5                      172,738
OPNEXT INC           COM        68375V10         581     331,942 SH         DEFINED  1,2,6                      331,942
OPTIMER PHARMACEUTIC COM        68401H10       4,705     388,524 SH         DEFINED  1,2                        388,524
OPTIONSXPRESS HLDGS  COM        68401010      15,418   1,154,018 SH         DEFINED  1,2,6                    1,154,018
ORACLE CORP          COM        68389X10   2,583,297 145,702,034 SH         DEFINED  1,2,5,6,7,8,10,12,13   145,702,034
ORASURE TECHNOLOGIES COM        68554V10       3,317     901,321 SH         DEFINED  1,2,5,6                    901,321
ORBCOMM INC          COM        68555P10         783     362,494 SH         DEFINED  1,6                        362,494
ORBITAL SCIENCES COR COM        68556410      20,658   1,057,757 SH         DEFINED  1,2,5,6                  1,057,757
ORBITZ WORLDWIDE INC COM        68557K10       1,983     511,180 SH         DEFINED  1,2                        511,180
ORBOTECH LTD         ORD        M7525310         158      39,358 SH         DEFINED  1,2,7                       39,358
ORCHID CELLMARK INC  COM        68573C10          13      18,796 SH         DEFINED  1                           18,796
OREXIGEN THERAPEUTIC COM        68616410       1,453     260,394 SH         DEFINED  1,2,6                      260,394
ORIENTAL FINL GROUP  COM        68618W10       4,223     697,959 SH         DEFINED  1,2                        697,959
ORIENT-EXPRESS HOTEL CL A       G6774310       3,579     467,252 SH         DEFINED  1,2,3,5,10                 467,252
ORIGEN FINL INC      COM        68619E20          12      20,900 SH         DEFINED  1                           20,900
ORION ENERGY SYSTEMS COM        68627510         736     136,121 SH         DEFINED  1,2,6                      136,121
ORION MARINE GROUP I COM        68628V30       2,670     276,379 SH         DEFINED  1,2                        276,379
ORITANI FINL CORP    COM        68632310       3,040     180,427 SH         DEFINED  1,2,6                      180,427
ORIX CORP            SPONSORED  68633010         396      13,922 SH         DEFINED  1,2                         13,922
ORMAT TECHNOLOGIES I COM        68668810       9,117     286,078 SH         DEFINED  1,2,6                      286,078
ORTHOFIX INTL N V    COM        N6748L10       4,004     261,210 SH         DEFINED  1,2                        261,210
ORTHOLOGIC CORP      COM        68750J10          18      43,076 SH         DEFINED  1                           43,076
ORTHOVITA INC        COM        68750U10       3,125     921,894 SH         DEFINED  1,2                        921,894
OSHKOSH CORP         COM        68823920      12,841   1,444,480 SH         DEFINED  1,2,5,10                 1,444,480
OSI PHARMACEUTICALS  COM        67104010      73,985   1,894,635 SH         DEFINED  1,2,5,6,7,8              1,894,635
OSI SYSTEMS INC      COM        67104410       3,270     236,114 SH         DEFINED  1,2,6                      236,114
OSIRIS THERAPEUTICS  COM        68827R10       5,919     308,937 SH         DEFINED  1,2,6                      308,937
OSTEOTECH INC        COM        68858210          92      54,629 SH         DEFINED  1                           54,629
OTTER TAIL CORP      COM        68964810      13,534     580,129 SH         DEFINED  1,2,5                      580,129
OUTDOOR CHANNEL HLDG COM NEW    69002720       1,345     179,611 SH         DEFINED  1,2                        179,611
OVERHILL FARMS INC   COM        69021210          48      11,400 SH         DEFINED  1                           11,400
OVERLAND STORAGE INC COM        69031010           5      17,450 SH         DEFINED  1                           17,450







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
OVERSEAS SHIPHOLDING COM        69036810      23,270     552,589 SH         DEFINED  1,2,5,7,10                 552,589
OVERSTOCK COM INC DE COM        69037010       2,693     249,803 SH         DEFINED  1,2,5,6                    249,803
OWENS & MINOR INC NE COM        69073210      38,299   1,017,230 SH         DEFINED  1,2,5                    1,017,230
OWENS CORNING NEW    COM        69074210      39,738   2,297,012 SH         DEFINED  1,2,5,8,10               2,297,012
OWENS ILL INC        COM NEW    69076840     190,902   6,985,084 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,985,084
OXFORD INDS INC      COM        69149730       2,190     249,679 SH         DEFINED  1,2                        249,679
OXIGENE INC          COM        69182810          15      23,149 SH         DEFINED  1                           23,149
OYO GEOSPACE CORP    COM        67107410       1,136      65,042 SH         DEFINED  1,6                         65,042
P C CONNECTION       COM        69318J10         567     110,682 SH         DEFINED  1                          110,682
P F CHANGS CHINA BIS COM        69333Y10      15,972     762,728 SH         DEFINED  1,2,6                      762,728
P T TELEKOMUNIKASI I SPONSORED  71568410       1,067      42,681 SH         DEFINED  1,2,6                       42,681
PACCAR INC           COM        69371810     369,551  12,921,373 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,921,373
PACER INTL INC TENN  COM        69373H10      11,075   1,061,818 SH         DEFINED  1,2                      1,061,818
PACIFIC CAP BANCORP  COM        69404P10      33,402   1,978,775 SH         DEFINED  1,2,5                    1,978,775
PACIFIC CONTINENTAL  COM        69412V10       1,821     121,646 SH         DEFINED  1,2                        121,646
PACIFIC ETHANOL INC  COM        69423U10         257     583,899 SH         DEFINED  1,2                        583,899
PACIFIC MERCANTILE B COM        69455210          66      13,518 SH         DEFINED  1                           13,518
PACIFIC PREMIER BANC COM        69478X10          40      10,000 SH         DEFINED  1                           10,000
PACIFIC SUNWEAR CALI COM        69487310       2,677   1,683,462 SH         DEFINED  1,2,5                    1,683,462
PACKAGING CORP AMER  COM        69515610      25,754   1,913,344 SH         DEFINED  1,2,5,7,10               1,913,344
PACTIV CORP          COM        69525710     128,647   5,170,717 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,170,717
PACWEST BANCORP DEL  COM        69526310      39,111   1,453,937 SH         DEFINED  1,2                      1,453,937
PAETEC HOLDING CORP  COM        69545910       2,584   1,794,457 SH         DEFINED  1,2,6                    1,794,457
PAIN THERAPEUTICS IN COM        69562K10       4,873     823,069 SH         DEFINED  1,2,6                      823,069
PALATIN TECHNOLOGIES COM NEW    69607730           4      42,006 SH         DEFINED  1                           42,006
PALL CORP            COM        69642930     119,886   4,216,896 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,216,896
PALM HARBOR HOMES    COM        69663910         839     168,442 SH         DEFINED  1,2                        168,442
PALM INC NEW         COM        69664310       7,798   2,540,063 SH         DEFINED  1,2,5,6                  2,540,063
PALOMAR MED TECHNOLO COM NEW    69752930       3,941     341,831 SH         DEFINED  1,2,6                      341,831
PANACOS PHARMACEUTIC COM        69811Q10           7      49,643 SH         DEFINED  1                           49,643
PANASONIC CORP       ADR        69832A20       2,317     186,250 SH         DEFINED  1,2                        186,250
PANERA BREAD CO      CL A       69840W10      21,326     408,228 SH         DEFINED  1,2,5,6,7,10               408,228
PANHANDLE OIL AND GA CL A       69847710       1,719      95,517 SH         DEFINED  1,2                         95,517
PANTRY INC           COM        69865710       9,075     423,070 SH         DEFINED  1,2                        423,070
PAPA JOHNS INTL INC  COM        69881310       9,178     497,973 SH         DEFINED  1,2,6                      497,973
PAR PHARMACEUTICAL C COM        69888P10       8,955     667,753 SH         DEFINED  1,2,5                      667,753
PARALLEL PETE CORP D COM        69915710       1,239     616,212 SH         DEFINED  1,2                        616,212
PARAMETRIC TECHNOLOG COM NEW    69917320      38,953   3,079,328 SH         DEFINED  1,2,5,6                  3,079,328
PAREXEL INTL CORP    COM        69946210      11,101   1,143,279 SH         DEFINED  1,2,6                    1,143,279
PARK ELECTROCHEMICAL COM        70041620       6,865     362,086 SH         DEFINED  1,2,6                      362,086
PARK NATL CORP       COM        70065810      16,318     227,429 SH         DEFINED  1,2,5                      227,429
PARK OHIO HLDGS CORP COM        70066610         742     120,191 SH         DEFINED  1,5                        120,191
PARKER DRILLING CO   COM        70108110       6,300   2,172,311 SH         DEFINED  1,2,5                    2,172,311
PARKER HANNIFIN CORP COM        70109410     281,295   6,612,475 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,612,475
PARKERVISION INC     COM        70135410         752     304,536 SH         DEFINED  1,2,5                      304,536
PARKWAY PPTYS INC    COM        70159Q10      10,741     596,706 SH         DEFINED  1,2,3                      596,706
PARLUX FRAGRANCES IN COM        70164510          40      13,631 SH         DEFINED  1                           13,631
PARTNERRE LTD        COM        G6852T10      64,277     901,884 SH         DEFINED  1,2,5,7,8,10,12,13         901,884







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
PATRIOT CAPITAL FUND COM        70335Y10       1,074     295,002 SH         DEFINED  1                          295,002
PATRIOT COAL CORP    COM        70336T10      17,460   2,793,609 SH         DEFINED  1,2,5,6,10,12            2,793,609
PATRIOT TRANSN HLDG  COM        70337B10       1,759      25,102 SH         DEFINED  1,2                         25,102
PATTERSON COMPANIES  COM        70339510      69,477   3,705,414 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,705,414
PATTERSON UTI ENERGY COM        70348110      66,636   5,789,402 SH         DEFINED  1,2,5,7,8,10,12,13       5,789,402
PAYCHEX INC          COM        70432610     292,846  11,143,295 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,143,295
PC MALL INC          COM        69323K10         507     126,370 SH         DEFINED  1                          126,370
PC-TEL INC           COM        69325Q10       2,727     415,028 SH         DEFINED  1,2                        415,028
PDF SOLUTIONS INC    COM        69328210          44      30,583 SH         DEFINED  1,5                         30,583
PDL BIOPHARMA INC    COM        69329Y10      33,758   5,462,508 SH         DEFINED  1,2,5,6                  5,462,508
PEABODY ENERGY CORP  SDCV  4.75 704549AG          90     150,000 SH         DEFINED  1                          150,000
PEABODY ENERGY CORP  COM        70454910     258,048  11,342,751 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,342,751
PEAPACK-GLADSTONE FI COM        70469910       3,397     127,508 SH         DEFINED  1,2                        127,508
PEARSON PLC          SPONSORED  70501510         601      62,964 SH         DEFINED  1                           62,964
PEDIATRIX MED GROUP  COM        70532410       5,924     186,879 SH         DEFINED  1,2,5,6,10                 186,879
PEETS COFFEE & TEA I COM        70556010       5,283     227,220 SH         DEFINED  1,2,6                      227,220
PEGASYSTEMS INC      COM        70557310       5,124     414,572 SH         DEFINED  1,2,6                      414,572
PENFORD CORP         COM        70705110       1,528     150,998 SH         DEFINED  1,2                        150,998
PENN NATL GAMING INC COM        70756910      17,227     805,746 SH         DEFINED  1,2,5,10                   805,746
PENN VA CORP         COM        70788210      25,486     980,979 SH         DEFINED  1,2,5,6                    980,979
PENN VA GP HLDGS L P COM UNIT R 70788P10         168      16,926 SH         DEFINED  1,2                         16,926
PENN VA RESOURCES PA COM        70788410         354      31,147 SH         DEFINED  1,2                         31,147
PENN WEST ENERGY TR  TR UNIT    70788510         449      40,358 SH         DEFINED  1,2,7                       40,358
PENNANTPARK INVT COR COM        70806210       1,212     335,846 SH         DEFINED  1,2                        335,846
PENNEY J C INC       COM        70816010     515,463  26,165,615 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,165,615
PENNSYLVANIA COMM BA COM        70867710       1,766      66,240 SH         DEFINED  1,2                         66,240
PENNSYLVANIA RL ESTA SH BEN INT 70910210      10,767   1,445,187 SH         DEFINED  1,2,3,5                  1,445,187
PENSKE AUTOMOTIVE GR COM        70959W10       5,782     752,897 SH         DEFINED  1,2,8,10                   752,897
PENSON WORLDWIDE INC COM        70960010       2,568     336,992 SH         DEFINED  1,2                        336,992
PENTAIR INC          COM        70963110      51,842   2,190,210 SH         DEFINED  1,2,5,7,8,10,12,13       2,190,210
PENWEST PHARMACEUTIC COM        70975410          49      30,991 SH         DEFINED  1,2                         30,991
PEOPLES BANCORP INC  COM        70978910       4,605     240,704 SH         DEFINED  1,2                        240,704
PEOPLES UNITED FINAN COM        71270410     283,870  15,920,893 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,920,893
PEP BOYS MANNY MOE & COM        71327810       3,514     850,802 SH         DEFINED  1,2,5                      850,802
PEPCO HOLDINGS INC   COM        71329110     160,815   9,054,907 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,054,907
PEPSI BOTTLING GROUP COM        71340910     147,608   6,557,443 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,557,443
PEPSIAMERICAS INC    COM        71343P20      27,396   1,345,604 SH         DEFINED  1,2,5,8,10,12            1,345,604
PEPSICO INC          COM        71344810   3,058,213  55,837,366 SH         DEFINED  1,2,5,6,7,8,10,12,13    55,837,366
PERDIGAO S A         SPONSORED  71361V30      13,255     502,474 SH         DEFINED  1,2,7                      502,474
PEREGRINE PHARMACEUT COM        71366110          95     326,215 SH         DEFINED  1,5                        326,215
PERFICIENT INC       COM        71375U10       2,466     515,797 SH         DEFINED  1,2,5,6                    515,797
PERFORMANCE TECHNOLO COM        71376K10          55      16,379 SH         DEFINED  1                           16,379
PERICOM SEMICONDUCTO COM        71383110       3,003     548,062 SH         DEFINED  1,2                        548,062
PERINI CORP          COM        71383910      23,535   1,006,638 SH         DEFINED  1,2,5,7,8                1,006,638
PERKINELMER INC      COM        71404610      51,472   3,700,355 SH         DEFINED  1,2,5,6,10,13            3,700,355
PERMA-FIX ENVIRONMEN COM        71415710          35      27,749 SH         DEFINED  1                           27,749
PEROT SYS CORP       CL A       71426510      24,062   1,760,211 SH         DEFINED  1,2,5,6                  1,760,211
PERRIGO CO           COM        71429010      62,574   1,936,670 SH         DEFINED  1,2,5,7,8,10,12,13       1,936,670







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
PERVASIVE SOFTWARE I COM        71571010          44      10,400 SH         DEFINED  1                           10,400
PETMED EXPRESS INC   COM        71638210       8,347     473,442 SH         DEFINED  1,2,5,6                    473,442
PETROBRAS ENERGIA PA SP ADR B S 71646M10       5,417     889,423 SH         DEFINED  1,2,5,7,8                  889,423
PETRO-CDA            COM        71644E10         579      26,436 SH         DEFINED  1,5                         26,436
PETROCHINA CO LTD    SPONSORED  71646E10         299       3,358 SH         DEFINED  1,6                          3,358
PETROHAWK ENERGY COR COM        71649510      57,415   3,673,391 SH         DEFINED  1,2,5,7,8,10,12,13       3,673,391
PETROLEO BRASILEIRO  SP ADR NON 71654V10      65,217   3,195,354 SH         DEFINED  1,2,4,5,7,8              3,195,354
PETROLEO BRASILEIRO  SPONSORED  71654V40     103,187   4,213,432 SH         DEFINED  1,2,4,5,7                4,213,432
PETROLEUM DEV CORP   COM        71657810       6,358     264,134 SH         DEFINED  1,2,5                      264,134
PETROQUEST ENERGY IN COM        71674810      10,033   1,484,227 SH         DEFINED  1,2,5,6                  1,484,227
PETSMART INC         COM        71676810      56,124   3,041,927 SH         DEFINED  1,2,5,7,8,10,12,13       3,041,927
PFIZER INC           COM        71708110   4,609,476 260,275,341 SH         DEFINED  1,2,5,6,7,8,10,12,13   260,275,341
PG&E CORP            COM        69331C10     558,463  14,426,846 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,426,846
PGT INC              COM        69336V10          17      15,157 SH         DEFINED  1                           15,157
PHARMACEUTICAL PROD  COM        71712410      69,845   2,407,612 SH         DEFINED  1,2,5,7,8,10,12,13       2,407,612
PHARMACYCLICS INC    COM        71693310          15      18,770 SH         DEFINED  1                           18,770
PHARMANET DEV GROUP  COM        71714810         346     380,069 SH         DEFINED  1,2                        380,069
PHARMASSET INC       COM        71715N10       3,288     250,801 SH         DEFINED  1,2,6                      250,801
PHARMERICA CORP      COM        71714F10      11,235     717,006 SH         DEFINED  1,2,5,6                    717,006
PHARMOS CORP         COM PAR $. 71713930           1      18,616 SH         DEFINED  1                           18,616
PHASE FORWARD INC    COM        71721R40       8,774     700,835 SH         DEFINED  1,2,6                      700,835
PHH CORP             COM NEW    69332020      13,307   1,045,355 SH         DEFINED  1,2,5,8                  1,045,355
PHI INC              COM NON VT 69336T20       3,035     216,653 SH         DEFINED  1,2,6                      216,653
PHILIP MORRIS INTL I COM        71817210   3,910,154  89,867,931 SH         DEFINED  1,2,5,6,7,8,10,12,13    89,867,931
PHILIPPINE LONG DIST SPONSORED  71825260      47,201   1,005,339 SH         DEFINED  1,4,5,6,7                1,005,339
PHILLIPS VAN HEUSEN  COM        71859210      21,634   1,074,692 SH         DEFINED  1,2,5,6,8,10             1,074,692
PHOENIX COS INC NEW  COM        71902E10       7,789   2,381,945 SH         DEFINED  1,2,5                    2,381,945
PHOENIX TECHNOLOGY L COM        71915310       1,367     390,524 SH         DEFINED  1,2                        390,524
PHOTOMEDEX INC       COM        71935810           5      19,600 SH         DEFINED  1                           19,600
PHOTRONICS INC       COM        71940510       1,280     656,246 SH         DEFINED  1,2,5                      656,246
PICO HLDGS INC       COM NEW    69336620       9,604     361,342 SH         DEFINED  1,2,6                      361,342
PIEDMONT NAT GAS INC COM        72018610      52,470   1,656,776 SH         DEFINED  1,2,5                    1,656,776
PIER 1 IMPORTS INC   COM        72027910         510   1,379,720 SH         DEFINED  1,2,5                    1,379,720
PIKE ELEC CORP       COM        72128310       5,969     485,290 SH         DEFINED  1,2,6                      485,290
PINNACLE AIRL CORP   COM        72344310          32      18,941 SH         DEFINED  1,2                         18,941
PINNACLE ENTMT INC   COM        72345610      10,487   1,365,469 SH         DEFINED  1,2,5,6,8                1,365,469
PINNACLE FINL PARTNE COM        72346Q10      10,672     357,986 SH         DEFINED  1,2,6                      357,986
PINNACLE WEST CAP CO COM        72348410     229,320   7,137,241 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,137,241
PIONEER DRILLING CO  COM        72365510       7,055   1,266,559 SH         DEFINED  1,2,5                    1,266,559
PIONEER NAT RES CO   COM        72378710     102,174   6,314,836 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,314,836
PIPER JAFFRAY COS    COM        72407810      14,335     360,549 SH         DEFINED  1,2,5                      360,549
PITNEY BOWES INC     COM        72447910     200,494   7,868,668 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,868,668
PITTSBURGH & W VA RR SH BEN INT 72481910         294      20,453 SH         DEFINED  1,2                         20,453
PIXELWORKS INC       COM NEW    72581M30          14      18,943 SH         DEFINED  1                           18,943
PLAINS ALL AMERN PIP UNIT LTD P 72650310       4,008     115,532 SH         DEFINED  1,2,8                      115,532
PLAINS EXPL& PRODTN  COM        72650510      73,171   3,148,487 SH         DEFINED  1,2,5,7,8,10,12,13       3,148,487
PLANAR SYS INC       COM        72690010          11      18,135 SH         DEFINED  1                           18,135
PLANTRONICS INC NEW  COM        72749310      36,053   2,731,274 SH         DEFINED  1,2,5,7                  2,731,274







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
PLATINUM UNDERWRITER COM        G7127P10      49,468   1,371,052 SH         DEFINED  1,2,5,7,8,13             1,371,052
PLATO LEARNING INC   COM        72764Y10          28      23,061 SH         DEFINED  1                           23,061
PLAYBOY ENTERPRISES  CL B       72811730         681     315,245 SH         DEFINED  1                          315,245
PLEXUS CORP          COM        72913210      13,621     803,582 SH         DEFINED  1,2,5,6                    803,582
PLUG POWER INC       COM        72919P10       1,069   1,048,514 SH         DEFINED  1,2,5                    1,048,514
PLUM CREEK TIMBER CO COM        72925110     235,884   6,789,992 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,789,992
PLX TECHNOLOGY INC   COM        69341710         680     395,484 SH         DEFINED  1,5                        395,484
PMA CAP CORP         CL A       69341920       4,899     691,928 SH         DEFINED  1,2,5                      691,928
PMC COML TR          SH BEN INT 69343410         102      13,735 SH         DEFINED  1                           13,735
PMC-SIERRA INC       COM        69344F10      20,303   4,177,555 SH         DEFINED  1,2,5,6                  4,177,555
PMFG INC             COM        69345P10       1,806     188,873 SH         DEFINED  1,2                        188,873
PMI GROUP INC        COM        69344M10       3,824   1,960,809 SH         DEFINED  1,2,5                    1,960,809
PNC FINL SVCS GROUP  COM        69347510     748,585  15,277,237 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,277,237
PNM RES INC          COM        69349H10      25,638   2,543,495 SH         DEFINED  1,2,5                    2,543,495
POLARIS INDS INC     COM        73106810      36,569   1,276,391 SH         DEFINED  1,2,5,6,7,8,10           1,276,391
POLO RALPH LAUREN CO CL A       73157210      95,320   2,099,106 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,099,106
POLYCOM INC          COM        73172K10      31,381   2,322,769 SH         DEFINED  1,2,5,6                  2,322,769
POLYONE CORP         COM        73179P10       5,676   1,801,773 SH         DEFINED  1,2,5                    1,801,773
POLYPORE INTL INC    COM        73179V10       1,868     247,150 SH         DEFINED  1,2,6                      247,150
POMEROY IT SOLUTIONS COM        73182210          49      15,587 SH         DEFINED  1                           15,587
PONIARD PHARMACEUTIC COM NEW    73244930          39      20,171 SH         DEFINED  1                           20,171
POOL CORPORATION     COM        73278L10      16,190     900,934 SH         DEFINED  1,2,5,6                    900,934
POPULAR INC          COM        73317410      16,191   3,137,757 SH         DEFINED  1,2,5,8,10,12            3,137,757
PORTFOLIO RECOVERY A COM        73640Q10       9,977     294,822 SH         DEFINED  1,2,6                      294,822
PORTLAND GEN ELEC CO COM NEW    73650884      26,625   1,367,503 SH         DEFINED  1,2                      1,367,503
PORTUGAL TELECOM SGP SPONSORED  73727310         497      57,948 SH         DEFINED  1                           57,948
POSCO                SPONSORED  69348310       7,542     100,225 SH         DEFINED  1,2,6                      100,225
POST PPTYS INC       COM        73746410      26,640   1,614,544 SH         DEFINED  1,2,3,5                  1,614,544
POTASH CORP SASK INC COM        73755L10         281       3,838 SH         DEFINED  1,5                          3,838
POTLATCH CORP NEW    COM        73763010      26,904   1,034,363 SH         DEFINED  1,2,5                    1,034,363
POWELL INDS INC      COM        73912810       3,848     132,603 SH         DEFINED  1,2,6                      132,603
POWER INTEGRATIONS I COM        73927610       9,271     466,362 SH         DEFINED  1,2                        466,362
POWER-ONE INC        COM        73930810       1,411   1,186,019 SH         DEFINED  1,2,5,6                  1,186,019
POWERSECURE INTL INC COM        73936N10         675     205,186 SH         DEFINED  1,2,5                      205,186
POWERSHARES DB CMDTY UNIT BEN I 73935S10         419      19,770 SH         DEFINED  1                           19,770
POWERWAVE TECHNOLOGI COM        73936310       1,155   2,309,180 SH         DEFINED  1,2,5                    2,309,180
POZEN INC            COM        73941U10       2,451     486,254 SH         DEFINED  1,2,5,6                    486,254
PPG INDS INC         COM        69350610     294,331   6,936,852 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,936,852
PPL CORP             COM        69351T10     445,014  14,500,309 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,500,309
PRAXAIR INC          COM        74005P10     686,100  11,558,283 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,558,283
PRE PAID LEGAL SVCS  COM        74006510      10,396     278,784 SH         DEFINED  1,2,6                      278,784
PRECISION CASTPARTS  COM        74018910     282,884   4,755,959 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,755,959
PRECISION DRILLING T TR UNIT    74021510       4,527     539,582 SH         DEFINED  1,2,5                      539,582
PREFORMED LINE PRODS COM        74044410       1,690      36,701 SH         DEFINED  1,2                         36,701
PREMIER EXIBITIONS I COM        74051E10          27      23,770 SH         DEFINED  1,5                         23,770
PREMIERE GLOBAL SVCS COM        74058510      13,293   1,543,886 SH         DEFINED  1,2,6                    1,543,886
PREMIERWEST BANCORP  COM        74092110       1,472     219,962 SH         DEFINED  1,2                        219,962
PRESIDENTIAL LIFE CO COM        74088410       4,033     407,795 SH         DEFINED  1,2                        407,795







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
PRESSTEK INC         COM        74111310       1,059     329,875 SH         DEFINED  1,5                        329,875
PRESTIGE BRANDS HLDG COM        74112D10       8,642     819,148 SH         DEFINED  1,2                        819,148
PRG-SCHULTZ INTERNAT COM NEW    69357C50       1,025     251,137 SH         DEFINED  1,2                        251,137
PRICE T ROWE GROUP I COM        74144T10     371,759  10,489,807 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,489,807
PRICELINE COM INC    COM NEW    74150340      68,048     923,934 SH         DEFINED  1,2,5,7,8,10,12,13         923,934
PRICESMART INC       COM        74151110       4,634     224,322 SH         DEFINED  1,2,6                      224,322
PRIDE INTL INC DEL   COM        74153Q10      71,462   4,471,963 SH         DEFINED  1,2,5,7,8,10,12,13       4,471,963
PRIMEDIA INC         COM NEW    74157K84         942     433,971 SH         DEFINED  1,2                        433,971
PRIMEENERGY CORP     COM        74158E10         490       9,427 SH         DEFINED  1,2                          9,427
PRIMUS GUARANTY LTD  SHS        G7245710         488     427,995 SH         DEFINED  1                          427,995
PRINCETON REVIEW INC COM        74235210         742     150,424 SH         DEFINED  1,5                        150,424
PRINCIPAL FINANCIAL  COM        74251V10     255,822  11,334,591 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,334,591
PRIVATEBANCORP INC   COM        74296210      28,938     891,492 SH         DEFINED  1,2,5,6                    891,492
PROASSURANCE CORP    COM        74267C10      35,064     664,352 SH         DEFINED  1,2,5                      664,352
PROCERA NETWORKS INC COM        74269U10          27      29,700 SH         DEFINED  1                           29,700
PROCTER & GAMBLE CO  COM        74271810   7,393,424 119,595,988 SH         DEFINED  1,2,5,6,7,8,10,12,13   119,595,988
PROGENICS PHARMACEUT COM        74318710       4,038     391,702 SH         DEFINED  1,2,6                      391,702
PROGRESS ENERGY INC  COM        74326310     976,375  24,501,247 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,501,247
PROGRESS SOFTWARE CO COM        74331210      20,074   1,042,254 SH         DEFINED  1,2,5,6                  1,042,254
PROGRESSIVE CORP OHI COM        74331510     403,130  27,220,115 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,220,115
PROLIANCE INTL INC   COM        74340R10          10      27,647 SH         DEFINED  1,2                         27,647
PROLOGIS             SH BEN INT 74341010     203,295  14,636,060 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  14,636,060
PROS HOLDINGS INC    COM        74346Y10       1,319     229,428 SH         DEFINED  1                          229,428
PROSPECT CAPITAL COR COM        74348T10       6,339     529,594 SH         DEFINED  1,2                        529,594
PROSPERITY BANCSHARE COM        74360610      42,075   1,421,935 SH         DEFINED  1,2                      1,421,935
PROTALIX BIOTHERAPEU COM        74365A10         259     140,615 SH         DEFINED  1                          140,615
PROTECTION ONE INC   COM NEW    74366340         389      81,354 SH         DEFINED  1                           81,354
PROTECTIVE LIFE CORP COM        74367410      22,161   1,544,287 SH         DEFINED  1,2,5,8,10,12            1,544,287
PROVIDENCE SVC CORP  COM        74381510         259     178,890 SH         DEFINED  1                          178,890
PROVIDENT BANKSHARES COM        74385910       9,414     974,546 SH         DEFINED  1,2,5                      974,546
PROVIDENT FINL HLDGS COM        74386810          55      12,204 SH         DEFINED  1                           12,204
PROVIDENT FINL SVCS  COM        74386T10      36,692   2,398,169 SH         DEFINED  1,2,5                    2,398,169
PROVIDENT NEW YORK B COM        74402810       8,319     670,916 SH         DEFINED  1,2                        670,916
PROXIM WIRELESS CORP COM        74428510           3      14,369 SH         DEFINED  1,2                         14,369
PRUDENTIAL FINL INC  FRNT       744320AJ         947   1,000,000 SH         DEFINED  1                        1,000,000
PRUDENTIAL FINL INC  COM        74432010     542,365  17,923,505 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,923,505
PRUDENTIAL PLC       ADR        74435K20         414      32,702 SH         DEFINED  1                           32,702
PS BUSINESS PKS INC  COM        69360J10      27,587     617,713 SH         DEFINED  1,2,3,5,6                  617,713
PSS WORLD MED INC    COM        69366A10      21,689   1,152,444 SH         DEFINED  1,2,5,6                  1,152,444
PSYCHIATRIC SOLUTION COM        74439H10      38,345   1,376,836 SH         DEFINED  1,2,5,6                  1,376,836
PUBLIC STORAGE       COM        74460D10     568,931   7,156,361 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   7,156,361
PUBLIC SVC ENTERPRIS COM        74457310     645,233  22,119,762 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,119,762
PUGET ENERGY INC NEW COM        74531010      65,818   2,413,574 SH         DEFINED  1,2,5,8,10,12            2,413,574
PULTE HOMES INC      COM        74586710     125,946  11,522,984 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,522,984
PURE BIOSCIENCE      COM        74621810         112      36,300 SH         DEFINED  1,2                         36,300
PVF CAPITAL CORP     COM        69365410          18      10,112 SH         DEFINED  1                           10,112
PZENA INVESTMENT MGM CLASS A    74731Q10         360      85,194 SH         DEFINED  1,2                         85,194
QAD INC              COM        74727D10         894     213,325 SH         DEFINED  1,2                        213,325







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
QIAGEN N V           ORD        N7248210         297      16,934 SH         DEFINED  1,5                         16,934
QLOGIC CORP          COM        74727710      89,666   6,671,566 SH         DEFINED  1,2,5,6,7,8,10,13        6,671,566
QUAKER CHEM CORP     COM        74731610       3,420     207,914 SH         DEFINED  1,2,5                      207,914
QUALCOMM INC         COM        74752510   2,086,394  58,230,353 SH         DEFINED  1,2,5,6,7,8,10,12,13    58,230,353
QUALITY SYS INC      COM        74758210      12,736     291,977 SH         DEFINED  1,2,6                      291,977
QUANEX BUILDING PROD COM        74761910       6,116     652,676 SH         DEFINED  1,2                        652,676
QUANTA SVCS INC      COM        74762E10      79,127   3,996,293 SH         DEFINED  1,2,5,7,8,10,12,13       3,996,293
QUANTUM CORP         COM DSSG   74790620       1,316   3,654,910 SH         DEFINED  1,2,5                    3,654,910
QUANTUM FUEL SYS TEC COM        74765E10         833     980,171 SH         DEFINED  1,5                        980,171
QUEST CAP CORP NEW   COM        74835U10          31      45,100 SH         DEFINED  1                           45,100
QUEST DIAGNOSTICS IN COM        74834L10     296,352   5,708,961 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,708,961
QUEST RESOURCE CORP  COM NEW    74834930         127     289,116 SH         DEFINED  1                          289,116
QUEST SOFTWARE INC   COM        74834T10      21,124   1,677,822 SH         DEFINED  1,2,5,6                  1,677,822
QUESTAR CORP         COM        74835610     235,276   7,197,172 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,197,172
QUESTCOR PHARMACEUTI COM        74835Y10       9,973   1,071,214 SH         DEFINED  1,2,6                    1,071,214
QUICKLOGIC CORP      COM        74837P10           9      14,273 SH         DEFINED  1                           14,273
QUICKSILVER RESOURCE COM        74837R10      12,807   2,299,217 SH         DEFINED  1,2,5,8,10               2,299,217
QUIDEL CORP          COM        74838J10       7,320     560,082 SH         DEFINED  1,2,5,6                    560,082
QUIKSILVER INC       COM        74838C10       4,344   2,361,089 SH         DEFINED  1,2,5                    2,361,089
QWEST COMMUNICATIONS NOTE  3.50 749121BY         210     250,000 SH         DEFINED  1                          250,000
QWEST COMMUNICATIONS COM        74912110     368,097 101,125,550 SH         DEFINED  1,2,5,6,7,8,10,12,13   101,125,550
R H DONNELLEY CORP   COM NEW    74955W30         438   1,184,861 SH         DEFINED  1,2                      1,184,861
RACKABLE SYS INC     COM        75007710       3,284     833,588 SH         DEFINED  1,2,5,6                    833,588
RACKSPACE HOSTING IN COM        75008610       1,000     185,785 SH         DEFINED  1,2                        185,785
RADIAN GROUP INC     COM        75023610       5,601   1,521,899 SH         DEFINED  1,2,5                    1,521,899
RADIANT SYSTEMS INC  COM        75025N10       1,601     475,036 SH         DEFINED  1,2,6                      475,036
RADIO ONE INC        CL A       75040P10           6      13,476 SH         DEFINED  1                           13,476
RADIO ONE INC        CL D NON V 75040P40          22      98,563 SH         DEFINED  1                           98,563
RADIOSHACK CORP      COM        75043810      97,738   8,185,795 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,185,795
RADISYS CORP         COM        75045910       2,188     395,691 SH         DEFINED  1,2,5                      395,691
RADNET INC           COM        75049110         857     255,731 SH         DEFINED  1                          255,731
RAE SYS INC          COM        75061P10           7      12,171 SH         DEFINED  1,2                         12,171
RAIT FINANCIAL TRUST COM        74922710       5,167   1,987,185 SH         DEFINED  1,2                      1,987,185
RALCORP HLDGS INC NE COM        75102810     107,802   1,845,926 SH         DEFINED  1,2,5,7,8,10,12,13       1,845,926
RAM ENERGY RESOURCES COM        75130P10         444     504,659 SH         DEFINED  1                          504,659
RAM HOLDINGS LTD     SHS        G7368R10           6      15,550 SH         DEFINED  1                           15,550
RAMBUS INC DEL       COM        75091710      16,225   1,019,184 SH         DEFINED  1,2,5,6,10               1,019,184
RAMCO-GERSHENSON PPT COM SH BEN 75145220       3,341     540,627 SH         DEFINED  1,2,3                      540,627
RAMTRON INTL CORP    COM NEW    75190730          39      21,213 SH         DEFINED  1                           21,213
RANGE RES CORP       COM        75281A10     221,909   6,452,706 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,452,706
RASER TECHNOLOGIES I COM        75405510       2,383     638,804 SH         DEFINED  1,2,6                      638,804
RAVEN INDS INC       COM        75421210       5,984     248,316 SH         DEFINED  1,2,6                      248,316
RAYMOND JAMES FINANC COM        75473010      41,628   2,430,126 SH         DEFINED  1,2,5,7,10               2,430,126
RAYONIER INC         COM        75490710      44,752   1,427,488 SH         DEFINED  1,2,5,10                 1,427,488
RAYTHEON CO          COM NEW    75511150     716,697  14,041,865 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,041,865
RBC BEARINGS INC     COM        75524B10       6,926     341,519 SH         DEFINED  1,2,6                      341,519
RC2 CORP             COM        74938810       3,690     345,823 SH         DEFINED  1,2                        345,823
RCN CORP             COM NEW    74936120       5,492     930,821 SH         DEFINED  1,2,6                      930,821







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
READING INTERNATIONA CL A       75540810          73      18,600 SH         DEFINED  1                           18,600
REALNETWORKS INC     COM        75605L10       5,825   1,650,117 SH         DEFINED  1,2,5,6                  1,650,117
REALTY INCOME CORP   COM        75610910      66,959   2,892,390 SH         DEFINED  1,2,3,5                  2,892,390
RED HAT INC          COM        75657710      25,445   1,924,766 SH         DEFINED  1,2,5,10                 1,924,766
RED LION HOTELS CORP COM        75676410          43      18,056 SH         DEFINED  1                           18,056
RED ROBIN GOURMET BU COM        75689M10       7,315     434,648 SH         DEFINED  1,2,6                      434,648
REDDY ICE HLDGS INC  COM        75734R10         418     290,537 SH         DEFINED  1,2                        290,537
REDWOOD TR INC       COM        75807540       8,624     578,431 SH         DEFINED  1,2                        578,431
REED ELSEVIER N V    SPONS ADR  75820420         757      31,392 SH         DEFINED  1                           31,392
REED ELSEVIER P L C  SPONS ADR  75820520         473      15,853 SH         DEFINED  1                           15,853
REGAL BELOIT CORP    COM        75875010      28,720     755,981 SH         DEFINED  1,2,5                      755,981
REGAL ENTMT GROUP    CL A       75876610       9,199     900,941 SH         DEFINED  1,2,5,8,10                 900,941
REGENCY CTRS CORP    COM        75884910     121,781   2,607,729 SH         DEFINED  1,2,3,5,7,8,10,12,13     2,607,729
REGENCY ENERGY PARTN COM UNITS  75885Y10         252      31,321 SH         DEFINED  1,2                         31,321
REGENERON PHARMACEUT COM        75886F10      44,853   2,442,948 SH         DEFINED  1,2,5,6                  2,442,948
REGENT COMMUNICATION COM        75886510           4      40,485 SH         DEFINED  1                           40,485
REGIONS FINANCIAL CO COM        7591EP10     266,685  33,503,102 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,503,102
REGIS CORP MINN      COM        75893210      18,042   1,241,682 SH         DEFINED  1,2,5                    1,241,682
REHABCARE GROUP INC  COM        75914810       7,673     506,158 SH         DEFINED  1,2,5                      506,158
REINSURANCE GROUP AM COM NEW    75935160      54,339   1,269,010 SH         DEFINED  1,2,5,10,13              1,269,010
RELIANCE STEEL & ALU COM        75950910      39,336   1,972,716 SH         DEFINED  1,2,5,7,10               1,972,716
RELIANT ENERGY INC   COM        75952B10      38,302   6,626,675 SH         DEFINED  1,2,5,7,8,10,12,13       6,626,675
RENAISSANCE LEARNING COM        75968L10       1,266     140,868 SH         DEFINED  1,2                        140,868
RENAISSANCERE HOLDIN COM        G7496G10      45,558     883,599 SH         DEFINED  1,2,5,7,8,10,12,13         883,599
RENASANT CORP        COM        75970E10       5,714     335,540 SH         DEFINED  1,2                        335,540
RENT A CTR INC NEW   COM        76009N10      67,245   3,809,902 SH         DEFINED  1,2,5,8                  3,809,902
RENTECH INC          COM        76011210       1,615   2,374,807 SH         DEFINED  1,2,5,6                  2,374,807
RENTRAK CORP         COM        76017410         214      18,177 SH         DEFINED  1,5                         18,177
REPLIGEN CORP        COM        75991610       1,603     424,077 SH         DEFINED  1,2,5                      424,077
REPROS THERAPEUTICS  COM        76028H10         137      13,024 SH         DEFINED  1,2                         13,024
REPSOL YPF S A       SPONSORED  76026T20         980      45,539 SH         DEFINED  1                           45,539
REPUBLIC AWYS HLDGS  COM        76027610       7,632     715,310 SH         DEFINED  1,2                        715,310
REPUBLIC BANCORP KY  CL A       76028120       7,565     278,133 SH         DEFINED  1,2                        278,133
REPUBLIC FIRST BANCO COM        76041610          94      10,649 SH         DEFINED  1                           10,649
REPUBLIC SVCS INC    COM        76075910     279,290  11,266,223 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,266,223
RES-CARE INC         COM        76094310       8,660     576,585 SH         DEFINED  1,2                        576,585
RESEARCH FRONTIERS I COM        76091110          35      16,343 SH         DEFINED  1                           16,343
RESEARCH IN MOTION L COM        76097510       7,398     182,305 SH         DEFINED  1,2,5                      182,305
RESMED INC           COM        76115210      51,794   1,381,898 SH         DEFINED  1,2,5,10                 1,381,898
RESOURCE AMERICA INC CL A       76119520         778     194,540 SH         DEFINED  1,2,5                      194,540
RESOURCE CAP CORP    COM        76120W30       2,163     564,812 SH         DEFINED  1,2                        564,812
RESOURCES CONNECTION COM        76122Q10      13,873     846,938 SH         DEFINED  1,2,6                      846,938
RETAIL VENTURES INC  COM        76128Y10       1,655     477,039 SH         DEFINED  1,2,6                      477,039
RETRACTABLE TECHNOLO COM        76129W10          17      20,339 SH         DEFINED  1                           20,339
REVLON INC           CL A NEW   76152560         181      27,069 SH         DEFINED  1,2,6                       27,069
REWARDS NETWORK INC  COM        76155710         644     248,515 SH         DEFINED  1                          248,515
REX ENERGY CORPORATI COM        76156510         721     245,197 SH         DEFINED  1,2,6                      245,197
REX STORES CORP      COM        76162410       1,015     125,797 SH         DEFINED  1                          125,797







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
REXAHN PHARMACEUTICA COM        76164010         258     289,572 SH         DEFINED  1                          289,572
REYNOLDS AMERICAN IN COM        76171310     242,455   6,014,753 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,014,753
RF MICRODEVICES INC  COM        74994110       6,000   7,692,150 SH         DEFINED  1,2,5,8                  7,692,150
RHI ENTMT INC DEL    COM        74957T10       1,522     187,408 SH         DEFINED  1,2,6                      187,408
RICHARDSON ELECTRS L COM        76316510          35      11,844 SH         DEFINED  1                           11,844
RICKS CABARET INTL I COM NEW    76564130         243      60,822 SH         DEFINED  1                           60,822
RIGEL PHARMACEUTICAL COM NEW    76655960       4,913     614,090 SH         DEFINED  1,2,5,6                    614,090
RIGHTNOW TECHNOLOGIE COM        76657R10       3,115     403,013 SH         DEFINED  1,2,6                      403,013
RIMAGE CORP          COM        76672110       1,847     137,741 SH         DEFINED  1,2                        137,741
RIO TINTO PLC        SPONSORED  76720410       1,316      14,798 SH         DEFINED  1,2,5                       14,798
RISKMETRICS GROUP IN COM        76773510       5,066     340,213 SH         DEFINED  1,2,6                      340,213
RITCHIE BROS AUCTION COM        76774410         332      15,522 SH         DEFINED  1                           15,522
RITE AID CORP        COM        76775410       1,937   6,246,834 SH         DEFINED  1,2,5,10                 6,246,834
RIVERBED TECHNOLOGY  COM        76857310      12,546   1,101,536 SH         DEFINED  1,2,6                    1,101,536
RIVERVIEW BANCORP IN COM        76939710          31      13,992 SH         DEFINED  1                           13,992
RIVIERA HLDGS CORP   COM        76962710         450     149,872 SH         DEFINED  1,5                        149,872
RLI CORP             COM        74960710     117,838   1,926,722 SH         DEFINED  1,2,6                    1,926,722
ROBBINS & MYERS INC  COM        77019610      11,080     685,212 SH         DEFINED  1,2,6                      685,212
ROBERT HALF INTL INC COM        77032310     114,848   5,516,245 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,516,245
ROCK OF AGES CORP    CL A       77263210          23      11,698 SH         DEFINED  1                           11,698
ROCK-TENN CO         CL A       77273920      40,008   1,170,497 SH         DEFINED  1,2                      1,170,497
ROCKVILLE FINL INC   COM        77418610       2,119     151,697 SH         DEFINED  1,2                        151,697
ROCKWELL AUTOMATION  COM        77390310     159,491   4,946,999 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,946,999
ROCKWELL COLLINS INC COM        77434110     230,783   5,903,897 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,903,897
ROCKWOOD HLDGS INC   COM        77441510       9,861     913,028 SH         DEFINED  1,2                        913,028
ROFIN SINAR TECHNOLO COM        77504310      15,559     756,047 SH         DEFINED  1,2,5,6                    756,047
ROGERS COMMUNICATION CL B       77510920       1,107      36,804 SH         DEFINED  1,2                         36,804
ROGERS CORP          COM        77513310      13,730     494,427 SH         DEFINED  1,2,6                      494,427
ROHM & HAAS CO       COM        77537110     290,917   4,708,157 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,708,157
ROLLINS INC          COM        77571110      24,061   1,330,816 SH         DEFINED  1,2,6                    1,330,816
ROMA FINANCIAL CORP  COM        77581P10       1,600     127,069 SH         DEFINED  1,2,6                      127,069
ROPER INDS INC NEW   COM        77669610      87,478   2,015,159 SH         DEFINED  1,2,5,7,8,10,12,13       2,015,159
ROSETTA RESOURCES IN COM        77777930       9,786   1,382,236 SH         DEFINED  1,2                      1,382,236
ROSS STORES INC      COM        77829610     122,186   4,109,854 SH         DEFINED  1,2,5,7,8,10,12,13       4,109,854
ROSTELECOM OPEN JT S SPONSORED  77852910       6,424     115,796 SH         DEFINED  1,2,5,7                    115,796
ROWAN COS INC        COM        77938210      98,366   6,186,523 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,186,523
ROYAL BK CDA MONTREA COM        78008710       1,650      55,622 SH         DEFINED  1,5                         55,622
ROYAL BK SCOTLAND GR SPONS ADR  78009768         193      12,694 SH         DEFINED  1,2                         12,694
ROYAL CARIBBEAN CRUI COM        V7780T10      24,742   1,799,400 SH         DEFINED  1,2,5,7,8,10,12,13       1,799,400
ROYAL DUTCH SHELL PL SPON ADR B 78025910       3,361      65,358 SH         DEFINED  1                           65,358
ROYAL DUTCH SHELL PL SPONS ADR  78025920       3,696      69,824 SH         DEFINED  1,2,5                       69,824
ROYAL GOLD INC       COM        78028710      36,377     739,226 SH         DEFINED  1,2,5,6                    739,226
RPC INC              COM        74966010       5,635     577,371 SH         DEFINED  1,2,5,6                    577,371
RPM INTL INC         COM        74968510      44,561   3,352,941 SH         DEFINED  1,2,5,10                 3,352,941
RSC HOLDINGS INC     COM        74972L10       6,798     797,854 SH         DEFINED  1,2,6                      797,854
RTI BIOLOGICS INC    COM        74975N10       2,052     743,574 SH         DEFINED  1,2,6                      743,574
RTI INTL METALS INC  COM        74973W10       9,708     678,417 SH         DEFINED  1,2,5                      678,417
RUBICON TECHNOLOGY I COM        78112T10       2,244     526,763 SH         DEFINED  1,2,6                      526,763







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
RUBY TUESDAY INC     COM        78118210       1,843   1,181,250 SH         DEFINED  1,2,5                    1,181,250
RUDDICK CORP         COM        78125810      32,780   1,185,536 SH         DEFINED  1,2,5                    1,185,536
RUDOLPH TECHNOLOGIES COM        78127010       1,783     505,221 SH         DEFINED  1,2,5                      505,221
RURAL / METRO CORP   COM        78174810          48      26,539 SH         DEFINED  1                           26,539
RUSH ENTERPRISES INC CL A       78184620       4,652     542,846 SH         DEFINED  1,2                        542,846
RUSS BERRIE & CO     COM        78223310         955     321,633 SH         DEFINED  1,2                        321,633
RUTHS HOSPITALITY GR COM        78333210         411     297,495 SH         DEFINED  1                          297,495
RYANAIR HLDGS PLC    SPONSORED  78351310       4,983     171,370 SH         DEFINED  1,2,5                      171,370
RYDER SYS INC        COM        78354910      93,135   2,401,636 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,401,636
RYLAND GROUP INC     COM        78376410      49,128   2,780,315 SH         DEFINED  1,2,5,6                  2,780,315
S & T BANCORP INC    COM        78385910      15,545     437,885 SH         DEFINED  1,2,5                      437,885
S Y BANCORP INC      COM        78506010       6,223     226,293 SH         DEFINED  1,2,6                      226,293
S1 CORPORATION       COM        78463B10       7,748     982,032 SH         DEFINED  1,2,5,6                    982,032
SABA SOFTWARE INC    COM NEW    78493260          59      37,758 SH         DEFINED  1                           37,758
SAFEGUARD SCIENTIFIC COM        78644910       1,225   1,775,586 SH         DEFINED  1,5                      1,775,586
SAFETY INS GROUP INC COM        78648T10      14,344     376,873 SH         DEFINED  1,2                        376,873
SAFEWAY INC          COM NEW    78651420     395,756  16,649,379 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,649,379
SAGA COMMUNICATIONS  CL A       78659810          37      22,549 SH         DEFINED  1                           22,549
SAIA INC             COM        78709Y10       3,769     347,046 SH         DEFINED  1,2,5                      347,046
SAIC INC             COM        78390X10      96,188   4,937,790 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,937,790
SAKS INC             COM        79377W10      11,959   2,730,379 SH         DEFINED  1,2,5,10                 2,730,379
SALARY COM INC       COM        79400610          22      10,171 SH         DEFINED  1                           10,171
SALESFORCE COM INC   COM        79466L30     118,968   3,716,574 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,716,574
SALIX PHARMACEUTICAL COM        79543510       9,093   1,029,751 SH         DEFINED  1,2,5,6                  1,029,751
SALLY BEAUTY HLDGS I COM        79546E10       9,008   1,583,164 SH         DEFINED  1,2,5,6                  1,583,164
SANDERS MORRIS HARRI COM        80000Q10       1,825     304,698 SH         DEFINED  1,2                        304,698
SANDERSON FARMS INC  COM        80001310      11,759     340,253 SH         DEFINED  1,2                        340,253
SANDISK CORP         NOTE  1.00 80004CAC         120     300,000 SH         DEFINED  1                          300,000
SANDISK CORP         COM        80004C10      74,519   7,762,422 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,762,422
SANDRIDGE ENERGY INC COM        80007P30       7,547   1,227,235 SH         DEFINED  1,2,5,7,8,10,13          1,227,235
SANDY SPRING BANCORP COM        80036310       5,940     272,106 SH         DEFINED  1,2                        272,106
SANFILIPPO JOHN B &  COM        80042210          61      11,261 SH         DEFINED  1                           11,261
SANGAMO BIOSCIENCES  COM        80067710       1,841     528,996 SH         DEFINED  1,2,5,6                    528,996
SANMINA SCI CORP     COM        80090710       4,922  10,472,920 SH         DEFINED  1,2,5,7,8               10,472,920
SANOFI AVENTIS       SPONSORED  80105N10         958      29,804 SH         DEFINED  1,2                         29,804
SANTANDER BANCORP    COM        80280910       2,494     199,717 SH         DEFINED  1,2                        199,717
SANTARUS INC         COM        80281730          72      45,935 SH         DEFINED  1                           45,935
SANTOS LIMITED       SPONSORED  80302160         645      14,577 SH         DEFINED  1                           14,577
SAP AKTIENGESELLSCHA SPONSORED  80305420       4,464     123,234 SH         DEFINED  1,2                        123,234
SAPIENT CORP         COM        80306210       6,709   1,511,078 SH         DEFINED  1,2,5,6                  1,511,078
SARA LEE CORP        COM        80311110     262,335  26,796,243 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,796,243
SASOL LTD            SPONSORED  80386630         531      17,505 SH         DEFINED  1                           17,505
SATCON TECHNOLOGY CO COM        80389310          55      35,370 SH         DEFINED  1                           35,370
SATYAM COMPUTER SERV ADR        80409810       2,141     236,887 SH         DEFINED  1,2,5,6                    236,887
SAUER-DANFOSS INC    COM        80413710       3,003     343,148 SH         DEFINED  1,2                        343,148
SAUL CTRS INC        COM        80439510      15,548     393,630 SH         DEFINED  1,2,3,5,6                  393,630
SAVIENT PHARMACEUTIC COM        80517Q10       5,598     966,822 SH         DEFINED  1,2,5,6                    966,822
SAVVIS INC           COM NEW    80542330       4,191     608,202 SH         DEFINED  1,2,6                      608,202







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
SBA COMMUNICATIONS C COM        78388J10      18,192   1,114,683 SH         DEFINED  1,2,5,6,10               1,114,683
SCANA CORP NEW       COM        80589M10     189,850   5,332,857 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,332,857
SCANSOURCE INC       COM        80603710       8,906     462,163 SH         DEFINED  1,2,6                      462,163
SCBT FINANCIAL CORP  COM        78401V10       6,340     183,772 SH         DEFINED  1,2,5                      183,772
SCHAWK INC           CL A       80637310       2,575     224,673 SH         DEFINED  1,2                        224,673
SCHEIN HENRY INC     COM        80640710      75,545   2,059,008 SH         DEFINED  1,2,5,7,8,10,12,13       2,059,008
SCHERING PLOUGH CORP COM        80660510   1,029,362  60,444,012 SH         DEFINED  1,2,5,6,7,8,10,12,13    60,444,012
SCHERING PLOUGH CORP PFD CONV M 80660570         348       2,000 SH         DEFINED  1                            2,000
SCHIFF NUTRITION INT COM        80669310         661     110,655 SH         DEFINED  1                          110,655
SCHLUMBERGER LTD     COM        80685710   1,897,229  44,819,968 SH         DEFINED  1,2,5,6,7,8,10,12,13    44,819,968
SCHNITZER STL INDS   CL A       80688210       7,680     203,976 SH         DEFINED  1,2,5,6,10                 203,976
SCHOLASTIC CORP      COM        80706610      11,577     852,500 SH         DEFINED  1,2,5,7,8                  852,500
SCHOOL SPECIALTY INC COM        80786310       6,665     348,571 SH         DEFINED  1,2,5                      348,571
SCHULMAN A INC       COM        80819410      10,205     600,280 SH         DEFINED  1,2                        600,280
SCHWAB CHARLES CORP  COM        80851310     658,785  40,741,212 SH         DEFINED  1,2,5,6,7,8,10,12,13    40,741,212
SCHWEITZER-MAUDUIT I COM        80854110       5,365     268,001 SH         DEFINED  1,2                        268,001
SCICLONE PHARMACEUTI COM        80862K10          27      36,610 SH         DEFINED  1                           36,610
SCIENTIFIC GAMES COR CL A       80874P10      23,566   1,343,584 SH         DEFINED  1,2,5,6,10               1,343,584
SCM MICROSYSTEMS INC COM        78401810          32      14,231 SH         DEFINED  1                           14,231
SCOLR PHARMA INC     COM        78402X10          12      18,140 SH         DEFINED  1                           18,140
SCOTTS MIRACLE GRO C CL A       81018610      23,108     777,523 SH         DEFINED  1,2,5,6,7,10               777,523
SCRIPPS E W CO OHIO  CL A NEW   81105440         844     382,123 SH         DEFINED  1,2,5,8,10                 382,123
SCRIPPS NETWORKS INT CL A COM   81106510      67,577   3,071,702 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,071,702
SEABOARD CORP        COM        81154310       9,011       7,547 SH         DEFINED  1,2,6                        7,547
SEABRIGHT INSURANCE  COM        81165610       5,848     498,119 SH         DEFINED  1,2                        498,119
SEACHANGE INTL INC   COM        81169910       3,434     476,246 SH         DEFINED  1,2,5                      476,246
SEACOAST BKG CORP FL COM        81170730       1,832     277,630 SH         DEFINED  1,2                        277,630
SEACOR HOLDINGS INC  COM        81190410      33,103     496,672 SH         DEFINED  1,2,5,6,7,10               496,672
SEAGATE TECHNOLOGY   SHS        G7945J10      26,573   5,998,393 SH         DEFINED  1,2,5,7,8,10,12,13       5,998,393
SEALED AIR CORP NEW  COM        81211K10      93,224   6,239,924 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,239,924
SEALY CORP           COM        81213930       1,695     675,192 SH         DEFINED  1,2                        675,192
SEARS HLDGS CORP     COM        81235010     176,166   4,532,192 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,532,192
SEASPAN CORP         SHS        Y7563810          94      10,525 SH         DEFINED  1,5                         10,525
SEATTLE GENETICS INC COM        81257810      10,340   1,156,619 SH         DEFINED  1,2,6                    1,156,619
SECURITY BANK CORP   COM        81404710          50      47,855 SH         DEFINED  1                           47,855
SEI INVESTMENTS CO   COM        78411710      50,129   3,190,868 SH         DEFINED  1,2,5,7,8,10,12,13       3,190,868
SELECT COMFORT CORP  COM        81616X10          23      91,661 SH         DEFINED  1,2,5                       91,661
SELECT SECTOR SPDR T SBI INT-EN 81369Y50         338       7,072 SH         DEFINED  1                            7,072
SELECT SECTOR SPDR T SBI INT-FI 81369Y60       3,847     307,255 SH         DEFINED  1,10                       307,255
SELECT SECTOR SPDR T SBI INT-UT 81369Y88       2,373      81,753 SH         DEFINED  1                           81,753
SELECTICA INC        COM        81628810          56      66,920 SH         DEFINED  1                           66,920
SELECTIVE INS GROUP  COM        81630010      26,014   1,134,503 SH         DEFINED  1,2,5                    1,134,503
SEMGROUP ENERGY PART COM UNIT L 81662W10          50      19,928 SH         DEFINED  1,2                         19,928
SEMITOOL INC         COM        81690910       1,123     368,129 SH         DEFINED  1,5                        368,129
SEMPRA ENERGY        COM        81685110     420,602   9,866,347 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,866,347
SEMTECH CORP         COM        81685010      25,334   2,247,936 SH         DEFINED  1,2,5,6,7,8              2,247,936
SENIOR HSG PPTYS TR  SH BEN INT 81721M10      71,013   3,962,770 SH         DEFINED  1,2,3,5                  3,962,770
SENOMYX INC          COM        81724Q10         104      37,368 SH         DEFINED  1,6                         37,368







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
SENSIENT TECHNOLOGIE COM        81725T10      33,636   1,408,555 SH         DEFINED  1,2,5                    1,408,555
SEPRACOR INC         COM        81731510      26,690   2,430,799 SH         DEFINED  1,2,5,8,10,12            2,430,799
SEQUENOM INC         COM NEW    81733740      29,258   1,474,676 SH         DEFINED  1,2,6                    1,474,676
SERVICE CORP INTL    COM        81756510      23,533   4,735,051 SH         DEFINED  1,2,5,10                 4,735,051
SEVERN BANCORP  ANNA COM        81811M10          58      13,689 SH         DEFINED  1                           13,689
SHAW COMMUNICATIONS  CL B CONV  82028K20         627      35,486 SH         DEFINED  1                           35,486
SHAW GROUP INC       COM        82028010      42,935   2,097,453 SH         DEFINED  1,2,5,7,8,10             2,097,453
SHENANDOAH TELECOMMU COM        82312B10      10,732     382,588 SH         DEFINED  1,2,6                      382,588
SHENGDA TECH INC     COM        82321310       1,372     389,819 SH         DEFINED  1,2                        389,819
SHERWIN WILLIAMS CO  COM        82434810     260,382   4,357,855 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,357,855
SHINHAN FINANCIAL GR SPN ADR RE 82459610       1,952      41,381 SH         DEFINED  1,6                         41,381
SHIP FINANCE INTERNA SHS        G8107510       6,269     567,329 SH         DEFINED  1,2,5,7                    567,329
SHIRE PLC            SPONSORED  82481R10         446       9,950 SH         DEFINED  1                            9,950
SHOE CARNIVAL INC    COM        82488910       1,856     194,319 SH         DEFINED  1,2,5                      194,319
SHORE BANCSHARES INC COM        82510710       2,686     111,984 SH         DEFINED  1,2,5                      111,984
SHORETEL INC         COM        82521110       2,481     552,495 SH         DEFINED  1,2                        552,495
SHUFFLE MASTER INC   COM        82554910       4,372     881,548 SH         DEFINED  1,2,6                      881,548
SHUTTERFLY INC       COM        82568P30       1,975     282,551 SH         DEFINED  1,2,6                      282,551
SIEMENS A G          SPONSORED  82619750       2,260      29,829 SH         DEFINED  1,2                         29,829
SIERRA BANCORP       COM        82620P10       2,252     107,254 SH         DEFINED  1,2                        107,254
SIGA TECHNOLOGIES IN COM        82691710         143      43,716 SH         DEFINED  1,2                         43,716
SIGMA ALDRICH CORP   COM        82655210     198,682   4,703,652 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,703,652
SIGMA DESIGNS INC    COM        82656510       5,606     590,090 SH         DEFINED  1,2,5,6                    590,090
SIGMATRON INTL INC   COM        82661L10          30      12,713 SH         DEFINED  1                           12,713
SIGNATURE BK NEW YOR COM        82669G10      38,750   1,350,646 SH         DEFINED  1,2,6                    1,350,646
SIGNET JEWELERS LIMI SHS        G8127610       5,850     674,733 SH         DEFINED  1,2,10                     674,733
SILGAN HOLDINGS INC  COM        82704810      25,579     535,019 SH         DEFINED  1,2,6                      535,019
SILICON IMAGE INC    COM        82705T10       8,837   2,104,079 SH         DEFINED  1,2,5,6                  2,104,079
SILICON LABORATORIES COM        82691910      22,908     924,437 SH         DEFINED  1,2,5,6,10                 924,437
SILICON STORAGE TECH COM        82705710       6,160   2,690,150 SH         DEFINED  1,2,5,6                  2,690,150
SILICONWARE PRECISIO SPONSD ADR 82708486         533     119,516 SH         DEFINED  1,2,6                      119,516
SIMMONS 1ST NATL COR CL A $1 PA 82873020       8,504     288,579 SH         DEFINED  1,2                        288,579
SIMON PPTY GROUP INC COM        82880610     699,878  13,172,925 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  13,172,925
SIMPSON MANUFACTURIN COM        82907310      19,848     714,969 SH         DEFINED  1,2,5,6                    714,969
SIMS METAL MANAGEMEN SPONS ADR  82916010         342      27,496 SH         DEFINED  1                           27,496
SINA CORP            ORD        G8147710         529      22,841 SH         DEFINED  1,2,6                       22,841
SINCLAIR BROADCAST G CL A       82922610       3,994   1,288,512 SH         DEFINED  1,2                      1,288,512
SIRF TECHNOLOGY HLDG COM        82967H10       1,135     886,959 SH         DEFINED  1,2                        886,959
SIRIUS XM RADIO INC  COM        82967N10       3,610  30,084,307 SH         DEFINED  1,2,5,7,10,12           30,084,307
SIRONA DENTAL SYSTEM COM        82966C10       3,118     296,905 SH         DEFINED  1,2,6                      296,905
SIX FLAGS INC        COM        83001P10         357   1,150,575 SH         DEFINED  1,2,5                    1,150,575
SJW CORP             COM        78430510       6,269     209,369 SH         DEFINED  1,2                        209,369
SK TELECOM LTD       SPONSORED  78440P10       4,020     221,096 SH         DEFINED  1,2,12                     221,096
SKECHERS U S A INC   CL A       83056610      10,454     815,469 SH         DEFINED  1,2,6                      815,469
SKILLED HEALTHCARE G CL A       83066R10       2,574     304,986 SH         DEFINED  1,2                        304,986
SKILLSOFT PLC        SPONSORED  83092810         396      55,530 SH         DEFINED  1,5                         55,530
SKYLINE CORP         COM        83083010       2,536     126,839 SH         DEFINED  1,2                        126,839
SKYWEST INC          COM        83087910      25,718   1,382,715 SH         DEFINED  1,2,5,8                  1,382,715







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
SKYWORKS SOLUTIONS I COM        83088M10      21,403   3,863,401 SH         DEFINED  1,2,5                    3,863,401
SL GREEN RLTY CORP   COM        78440X10      62,348   2,407,253 SH         DEFINED  1,2,3,5,7,8,10,12,13     2,407,253
SLM CORP             COM        78442P10     184,411  20,720,308 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,720,308
SMART BALANCE INC    COM        83169Y10       6,466     950,820 SH         DEFINED  1,2,6                      950,820
SMART MODULAR TECHNO ORD SHS    G8224510       1,022     663,714 SH         DEFINED  1,2                        663,714
SMITH & NEPHEW PLC   SPDN ADR N 83175M20         281       8,695 SH         DEFINED  1                            8,695
SMITH & WESSON HLDG  COM        83175610       1,186     522,410 SH         DEFINED  1,2,5,6                    522,410
SMITH A O            COM        83186520      14,734     499,124 SH         DEFINED  1,2                        499,124
SMITH INTL INC       COM        83211010     207,122   9,048,562 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,048,562
SMITH MICRO SOFTWARE COM        83215410       2,601     467,841 SH         DEFINED  1,2,5                      467,841
SMITHFIELD FOODS INC COM        83224810      32,779   2,329,710 SH         DEFINED  1,2,5,8,10,12            2,329,710
SMITHTOWN BANCORP IN COM        83244910       1,882     117,392 SH         DEFINED  1,2                        117,392
SMUCKER J M CO       COM NEW    83269640     193,941   4,472,815 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,472,815
SMURFIT-STONE CONTAI COM        83272710         732   2,870,120 SH         DEFINED  1,2,5,8,10               2,870,120
SNAP ON INC          COM        83303410      86,099   2,186,372 SH         DEFINED  1,2,5,6,10,13            2,186,372
SOAPSTONE NETWORKS I COM        83357010          42      16,120 SH         DEFINED  1,2                         16,120
SOCIEDAD QUIMICA MIN SPON ADR S 83363510      16,773     687,718 SH         DEFINED  1,2,5,7                    687,718
SOHU COM INC         COM        83408W10      18,476     390,293 SH         DEFINED  1,2,5,6,7,8,10             390,293
SOLERA HOLDINGS INC  COM        83421A10      27,682   1,148,630 SH         DEFINED  1,2,6,7,8                1,148,630
SOLUTIA INC          COM NEW    83437650       6,704   1,489,816 SH         DEFINED  1,2,6                    1,489,816
SOMANETICS CORP      COM NEW    83444540       4,675     283,171 SH         DEFINED  1,2,5                      283,171
SONIC AUTOMOTIVE INC CL A       83545G10       2,281     573,140 SH         DEFINED  1,2,5                      573,140
SONIC CORP           COM        83545110      12,889   1,059,097 SH         DEFINED  1,2,5,6                  1,059,097
SONIC INNOVATIONS IN COM        83545M10          22      22,338 SH         DEFINED  1                           22,338
SONIC SOLUTIONS      COM        83546010         618     350,937 SH         DEFINED  1,5                        350,937
SONICWALL INC        COM        83547010       5,970   1,499,906 SH         DEFINED  1,2,5,6                  1,499,906
SONOCO PRODS CO      COM        83549510     107,338   4,634,623 SH         DEFINED  1,2,5,7,10               4,634,623
SONOSITE INC         COM        83568G10       5,672     297,294 SH         DEFINED  1,2,6                      297,294
SONUS NETWORKS INC   COM        83591610       7,366   4,662,339 SH         DEFINED  1,2,5,6,8                4,662,339
SONY CORP            ADR NEW    83569930       1,086      49,650 SH         DEFINED  1                           49,650
SOTHEBYS             COM        83589810      17,741   1,995,658 SH         DEFINED  1,2,5                    1,995,658
SOURCE INTERLINK COS COM NEW    83615120           5      35,786 SH         DEFINED  1                           35,786
SOURCEFIRE INC       COM        83616T10       1,407     251,178 SH         DEFINED  1,2                        251,178
SOURCEFORGE INC      COM        83616W10          62      68,413 SH         DEFINED  1,5                         68,413
SOUTH FINL GROUP INC COM        83784110      13,656   3,161,182 SH         DEFINED  1,2,5                    3,161,182
SOUTH JERSEY INDS IN COM        83851810      22,989     576,891 SH         DEFINED  1,2                        576,891
SOUTHERN CMNTY FINL  COM        84263210         126      35,900 SH         DEFINED  1                           35,900
SOUTHERN CO          COM        84258710   1,114,423  30,119,553 SH         DEFINED  1,2,5,6,7,8,10,12,13    30,119,553
SOUTHERN COPPER CORP COM        84265V10      60,741   3,782,101 SH         DEFINED  1,2,5,7,8,10,12          3,782,101
SOUTHERN UN CO NEW   COM        84403010      32,360   2,481,616 SH         DEFINED  1,2,5,7,10               2,481,616
SOUTHSIDE BANCSHARES COM        84470P10       6,118     260,345 SH         DEFINED  1,2                        260,345
SOUTHWEST AIRLS CO   COM        84474110     240,649  27,917,494 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,917,494
SOUTHWEST BANCORP IN COM        84476710       3,763     290,322 SH         DEFINED  1,2                        290,322
SOUTHWEST GAS CORP   COM        84489510      29,154   1,156,007 SH         DEFINED  1,2,5,8                  1,156,007
SOUTHWEST WTR CO     COM        84533110       1,192     370,248 SH         DEFINED  1,2                        370,248
SOUTHWESTERN ENERGY  COM        84546710     399,683  13,796,432 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,796,432
SOVEREIGN BANCORP IN COM        84590510      65,263  21,900,201 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,900,201
SOVRAN SELF STORAGE  COM        84610H10      28,000     777,765 SH         DEFINED  1,2,3,5                    777,765







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
SPANISH BROADCASTING CL A       84642588           3      28,508 SH         DEFINED  1                           28,508
SPANSION INC         COM CL A   84649R10         527   2,786,339 SH         DEFINED  1,2                      2,786,339
SPARTAN MTRS INC     COM        84681910       3,613     763,787 SH         DEFINED  1,2,5                      763,787
SPARTAN STORES INC   COM        84682210      11,984     515,461 SH         DEFINED  1,2,6                      515,461
SPARTECH CORP        COM NEW    84722020       3,821     610,400 SH         DEFINED  1,2                        610,400
SPDR INDEX SHS FDS   DJWS INTL  78463X86       2,724     100,600 SH         DEFINED  2                          100,600
SPDR INDEX SHS FDS   S&P INTL S 78463X87       7,852     421,700 SH         DEFINED  2                          421,700
SPDR SERIES TRUST    LEHMAN YLD 78464A41      32,521   1,004,035 SH         DEFINED  1,2,5                    1,004,035
SPDR SERIES TRUST    DJWS LGCAP 78464A50       1,146      22,647 SH         DEFINED  1                           22,647
SPDR SERIES TRUST    DJ WLSH RE 78464A60         936      23,106 SH         DEFINED  1,8                         23,106
SPDR SERIES TRUST    LEH AGGR B 78464A64      13,636     245,099 SH         DEFINED  2                          245,099
SPDR SERIES TRUST    BARCL CAP  78464A65         405       8,570 SH         DEFINED  2                            8,570
SPDR TR              UNIT SER 1 78462F10     128,581   1,424,876 SH         DEFINED  1,2,5                    1,424,876
SPECTRA ENERGY CORP  COM        84756010     382,672  24,312,097 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,312,097
SPECTRA ENERGY PARTN COM        84756N10         254      12,846 SH         DEFINED  1,2                         12,846
SPECTRANETICS CORP   COM        84760C10       1,126     431,395 SH         DEFINED  1,2                        431,395
SPECTRUM BRANDS INC  COM        84762L10           7      79,130 SH         DEFINED  1                           79,130
SPECTRUM CTL INC     COM        84761510          73      11,899 SH         DEFINED  1                           11,899
SPECTRUM PHARMACEUTI COM        84763A10          54      36,395 SH         DEFINED  1,2                         36,395
SPEEDWAY MOTORSPORTS COM        84778810       9,453     586,806 SH         DEFINED  1,2                        586,806
SPHERION CORP        COM        84842010       4,211   1,905,378 SH         DEFINED  1,2,5                    1,905,378
SPHERIX INC          COM        84842R10           8      16,667 SH         DEFINED  1                           16,667
SPIRIT AEROSYSTEMS H COM CL A   84857410      10,936   1,075,310 SH         DEFINED  1,2,5,8,10               1,075,310
SPORT CHALET INC     CL A       84916320           6      13,343 SH         DEFINED  1                           13,343
SPRINT NEXTEL CORP   COM SER 1  85206110     188,988 103,272,357 SH         DEFINED  1,2,5,6,7,8,10,12,13   103,272,357
SPSS INC             COM        78462K10      13,820     512,607 SH         DEFINED  1,2,5,6                    512,607
SPX CORP             COM        78463510      53,669   1,323,534 SH         DEFINED  1,2,5,7,8,10,12,13       1,323,534
SRA INTL INC         CL A       78464R10      17,539   1,016,745 SH         DEFINED  1,2,6                    1,016,745
SRS LABS INC         COM        78464M10          67      14,061 SH         DEFINED  1                           14,061
ST JOE CO            COM        79014810      25,315   1,040,932 SH         DEFINED  1,2,5,8,10,12            1,040,932
ST JUDE MED INC      COM        79084910     410,390  12,451,163 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,451,163
ST MARY LD & EXPL CO COM        79222810      25,302   1,245,793 SH         DEFINED  1,2,5,6,7,10             1,245,793
STAAR SURGICAL CO    COM PAR $0 85231230          59      24,655 SH         DEFINED  1                           24,655
STAGE STORES INC     COM NEW    85254C30       6,358     770,682 SH         DEFINED  1,2,5                      770,682
STAMPS COM INC       COM NEW    85285720       4,315     438,981 SH         DEFINED  1,2,6                      438,981
STANCORP FINL GROUP  COM        85289110      48,517   1,161,523 SH         DEFINED  1,2,5,7,10               1,161,523
STANDARD MICROSYSTEM COM        85362610       6,629     405,678 SH         DEFINED  1,2,6                      405,678
STANDARD MTR PRODS I COM        85366610         101      29,175 SH         DEFINED  1,5                         29,175
STANDARD PAC CORP NE COM        85375C10       3,845   2,160,009 SH         DEFINED  1,2,5                    2,160,009
STANDARD PARKING COR COM        85379010       5,364     277,338 SH         DEFINED  1,2,6                      277,338
STANDARD REGISTER CO COM        85388710       3,524     394,579 SH         DEFINED  1,2                        394,579
STANDEX INTL CORP    COM        85423110       5,002     252,129 SH         DEFINED  1,2,5                      252,129
STANLEY INC          COM        85453210       4,793     132,318 SH         DEFINED  1,2,6                      132,318
STANLEY WKS          COM        85461610     110,600   3,243,413 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,243,413
STAPLES INC          COM        85503010     447,682  24,982,270 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,982,270
STAR GAS PARTNERS L  UNIT LTD P 85512C10          78      32,490 SH         DEFINED  1                           32,490
STAR SCIENTIFIC INC  COM        85517P10       3,168     827,054 SH         DEFINED  1,2                        827,054
STARBUCKS CORP       COM        85524410     237,849  25,142,651 SH         DEFINED  1,2,5,6,7,8,10,12,13    25,142,651







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
STARENT NETWORKS COR COM        85528P10       5,332     446,928 SH         DEFINED  1,2,6                      446,928
STARTEK INC          COM        85569C10         121      27,103 SH         DEFINED  1                           27,103
STARWOOD HOTELS&RESO COM        85590A40     142,834   7,979,538 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,979,538
STATE AUTO FINL CORP COM        85570710       7,108     236,475 SH         DEFINED  1,2                        236,475
STATE BANCORP INC N. COM        85571610       2,078     213,366 SH         DEFINED  1,2                        213,366
STATE STR CORP       COM        85747710     906,536  23,049,487 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,049,487
STATOILHYDRO ASA     SPONSORED  85771P10         622      37,323 SH         DEFINED  1                           37,323
STEAK N SHAKE CO     COM        85787310       2,971     499,410 SH         DEFINED  1,2                        499,410
STEC INC             COM        78477410       1,762     413,706 SH         DEFINED  1,2,6                      413,706
STEEL DYNAMICS INC   COM        85811910      49,296   4,409,332 SH         DEFINED  1,2,5,8,10               4,409,332
STEELCASE INC        CL A       85815520       4,129     734,680 SH         DEFINED  1,2,5,10                   734,680
STEIN MART INC       COM        85837510         510     451,600 SH         DEFINED  1,2,5                      451,600
STEINER LEISURE LTD  ORD        P8744Y10       7,479     253,338 SH         DEFINED  1,2,5,6                    253,338
STEINWAY MUSICAL INS COM        85849510       2,353     134,399 SH         DEFINED  1,2                        134,399
STELLARONE CORP      COM        85856G10       6,127     362,550 SH         DEFINED  1,2                        362,550
STEMCELLS INC        COM        85857R10         122      89,907 SH         DEFINED  1,2,5                       89,907
STEPAN CO            COM        85858610      10,590     225,360 SH         DEFINED  1,2,5,6                    225,360
STEREOTAXIS INC      COM        85916J10       2,532     575,517 SH         DEFINED  1,2,6                      575,517
STERICYCLE INC       COM        85891210     152,989   2,937,571 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,937,571
STERIS CORP          COM        85915210      42,727   1,788,503 SH         DEFINED  1,2,5,6                  1,788,503
STERLING BANCORP     COM        85915810       5,298     377,630 SH         DEFINED  1,2                        377,630
STERLING BANCSHARES  COM        85890710      22,144   3,642,087 SH         DEFINED  1,2                      3,642,087
STERLING CONSTRUCTIO COM        85924110       2,879     155,388 SH         DEFINED  1,2,5                      155,388
STERLING FINL CORP W COM        85931910      20,789   2,362,434 SH         DEFINED  1,2                      2,362,434
STERLITE INDS INDIA  ADS        85973720         501      90,752 SH         DEFINED  1,6                         90,752
STEWART ENTERPRISES  CL A       86037010       6,054   2,011,287 SH         DEFINED  1,2,5                    2,011,287
STEWART INFORMATION  COM        86037210       7,106     302,491 SH         DEFINED  1,2                        302,491
STIFEL FINL CORP     COM        86063010      24,208     527,990 SH         DEFINED  1,2,6                      527,990
STILLWATER MNG CO    COM        86074Q10       4,698     950,926 SH         DEFINED  1,2,5,6                    950,926
STMICROELECTRONICS N NY REGISTR 86101210         131      19,720 SH         DEFINED  1                           19,720
STONE ENERGY CORP    COM        86164210      16,275   1,476,878 SH         DEFINED  1,2,5,7,8                1,476,878
STONERIDGE INC       COM        86183P10       2,032     445,700 SH         DEFINED  1,2                        445,700
STRATASYS INC        COM        86268510       3,833     356,563 SH         DEFINED  1,2,5,6                    356,563
STRATEGIC HOTELS & R COM        86272T10       4,777   2,843,300 SH         DEFINED  1,2,3                    2,843,300
STRATUS PPTYS INC    COM NEW    86316720       1,092      87,637 SH         DEFINED  1,2                         87,637
STRAYER ED INC       COM        86323610      56,821     265,010 SH         DEFINED  1,2,5,6,10                 265,010
STRYKER CORP         COM        86366710     368,928   9,234,750 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,234,750
STUDENT LN CORP      COM        86390210       2,521      61,483 SH         DEFINED  1,2,5,10,12                 61,483
STURM RUGER & CO INC COM        86415910         372      62,359 SH         DEFINED  1                           62,359
SUBURBAN PROPANE PAR UNIT LTD P 86448210       1,611      45,445 SH         DEFINED  1,2                         45,445
SUCAMPO PHARMACEUTIC CL A       86490910         695     120,791 SH         DEFINED  1,2                        120,791
SUCCESSFACTORS INC   COM        86459610       3,446     600,338 SH         DEFINED  1,2,6                      600,338
SUFFOLK BANCORP      COM        86473910       8,164     227,216 SH         DEFINED  1,2,6                      227,216
SULPHCO INC          COM        86537810         613     652,301 SH         DEFINED  1,6                        652,301
SUMTOTAL SYS INC     COM        86661510         102      35,805 SH         DEFINED  1,5                         35,805
SUN BANCORP INC      COM        86663B10       2,083     278,154 SH         DEFINED  1,2                        278,154
SUN COMMUNITIES INC  COM        86667410      10,098     721,300 SH         DEFINED  1,2,3,5                    721,300
SUN HEALTHCARE GROUP COM NEW    86693340       6,456     729,519 SH         DEFINED  1,2,5,6                    729,519







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
SUN HYDRAULICS CORP  COM        86694210       3,632     192,783 SH         DEFINED  1,2,6                      192,783
SUN LIFE FINL INC    COM        86679610       5,329     230,283 SH         DEFINED  1,2                        230,283
SUN MICROSYSTEMS INC COM NEW    86681020     105,273  27,558,443 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,558,443
SUNAIR SERVICES CORP COM        86701710          19      11,100 SH         DEFINED  1                           11,100
SUNLINK HEALTH SYSTE COM        86737U10          12      13,400 SH         DEFINED  1                           13,400
SUNOCO INC           COM        86764P10     396,143   9,115,123 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,115,123
SUNOCO LOGISTICS PRT COM UNITS  86764L10       1,023      22,667 SH         DEFINED  1,2,8                       22,667
SUNPOWER CORP        COM CL A   86765210      29,881     807,591 SH         DEFINED  1,2,5,7,8,10,12,13         807,591
SUNPOWER CORP        COM CL B   86765230      12,457     409,226 SH         DEFINED  1,2,5,7,8,10,12,13         409,226
SUNRISE SENIOR LIVIN COM        86768K10       1,154     686,904 SH         DEFINED  1,2,6                      686,904
SUNSTONE HOTEL INVS  COM        86789210      12,082   1,951,862 SH         DEFINED  1,2,3                    1,951,862
SUNTECH PWR HLDGS CO ADR        86800C10         379      32,413 SH         DEFINED  1,7                         32,413
SUNTRUST BKS INC     COM        86791410     464,460  15,723,088 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,723,088
SUPER MICRO COMPUTER COM        86800U10       1,937     306,009 SH         DEFINED  1,2                        306,009
SUPERGEN INC         COM        86805910          88      46,129 SH         DEFINED  1,5                         46,129
SUPERIOR ENERGY SVCS COM        86815710      32,020   2,010,030 SH         DEFINED  1,2,5,6,7,10             2,010,030
SUPERIOR INDS INTL I COM        86816810       4,526     430,245 SH         DEFINED  1,2,5                      430,245
SUPERIOR UNIFORM GP  COM        86835810         180      23,702 SH         DEFINED  1                           23,702
SUPERIOR WELL SVCS I COM        86837X10       2,715     271,506 SH         DEFINED  1,2,6                      271,506
SUPERTEL HOSPITALITY COM        86852610          46      26,977 SH         DEFINED  1,3                         26,977
SUPERTEX INC         COM        86853210       4,728     196,929 SH         DEFINED  1,2,6                      196,929
SUPERVALU INC        COM        86853610     198,458  13,593,033 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,593,033
SUPPORTSOFT INC      COM        86858710       1,412     633,370 SH         DEFINED  1,5                        633,370
SUPREME INDS INC     CL A       86860710          19      20,930 SH         DEFINED  1                           20,930
SUREWEST COMMUNICATI COM        86873310         237      20,758 SH         DEFINED  1,2,5                       20,758
SURMODICS INC        COM        86887310       6,656     263,389 SH         DEFINED  1,2,6                      263,389
SUSQUEHANNA BANCSHAR COM        86909910      52,516   3,300,831 SH         DEFINED  1,2,5,7                  3,300,831
SUSSER HLDGS CORP    COM        86923310       1,403     105,563 SH         DEFINED  1,2                        105,563
SUTOR TECH GROUP LTD COM        86936210         147      63,646 SH         DEFINED  1                           63,646
SVB FINL GROUP       COM        78486Q10      32,310   1,231,798 SH         DEFINED  1,2,5,6                  1,231,798
SWIFT ENERGY CO      COM        87073810      12,092     719,330 SH         DEFINED  1,2,5                      719,330
SWITCH & DATA FACILI COM        87104310       2,607     352,840 SH         DEFINED  1,2,6                      352,840
SWS GROUP INC        COM        78503N10      10,041     529,859 SH         DEFINED  1,2,6                      529,859
SYBASE INC           COM        87113010      72,131   2,912,039 SH         DEFINED  1,2,5,6,7,8              2,912,039
SYCAMORE NETWORKS IN COM        87120610      10,037   3,731,161 SH         DEFINED  1,2,5,6,8                3,731,161
SYKES ENTERPRISES IN COM        87123710      14,375     751,819 SH         DEFINED  1,2,6                      751,819
SYMANTEC CORP        NOTE  0.75 871503AD         473     500,000 SH         DEFINED  1                          500,000
SYMANTEC CORP        COM        87150310     446,456  33,021,910 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,021,910
SYMMETRICOM INC      COM        87154310       3,903     988,119 SH         DEFINED  1,2,5                      988,119
SYMMETRY MED INC     COM        87154620       4,958     622,087 SH         DEFINED  1,2,6                      622,087
SYMS CORP            COM        87155110         635      71,563 SH         DEFINED  1                           71,563
SYMYX TECHNOLOGIES   COM        87155S10       3,064     515,814 SH         DEFINED  1,2,5,6                    515,814
SYNAPTICS INC        COM        87157D10      14,588     880,918 SH         DEFINED  1,2,5,6                    880,918
SYNCHRONOSS TECHNOLO COM        87157B10       4,302     403,557 SH         DEFINED  1,2,6                      403,557
SYNCORA HOLDINGS LTD SHS        G8649T10           5      29,504 SH         DEFINED  1                           29,504
SYNERON MEDICAL LTD  ORD SHS    M8724510         142      17,063 SH         DEFINED  1,2                         17,063
SYNGENTA AG          SPONSORED  87160A10       2,326      59,419 SH         DEFINED  1                           59,419
SYNIVERSE HLDGS INC  COM        87163F10      16,184   1,355,473 SH         DEFINED  1,2,6                    1,355,473







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
SYNNEX CORP          COM        87162W10       3,287     290,092 SH         DEFINED  1,2                        290,092
SYNOPSYS INC         COM        87160710     101,696   5,491,160 SH         DEFINED  1,2,5,7,8,10,12,13       5,491,160
SYNOVIS LIFE TECHNOL COM        87162G10       3,161     168,678 SH         DEFINED  1,2                        168,678
SYNOVUS FINL CORP    COM        87161C10      64,621   7,785,678 SH         DEFINED  1,2,5,7,8,10,12,13       7,785,678
SYNTA PHARMACEUTICAL COM        87162T20       1,280     209,151 SH         DEFINED  1,2                        209,151
SYNTEL INC           COM        87162H10       4,485     193,982 SH         DEFINED  1,2,6                      193,982
SYNTHESIS ENERGY SYS COM        87162810         186     273,638 SH         DEFINED  1,2,6                      273,638
SYNTROLEUM CORP      COM        87163010          46      85,664 SH         DEFINED  1,5                         85,664
SYNUTRA INTL INC     COM        87164C10       1,400     126,999 SH         DEFINED  1,2                        126,999
SYSCO CORP           COM        87182910     512,050  22,321,274 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,321,274
SYSTEMAX INC         COM        87185110       2,448     227,333 SH         DEFINED  1,2,6                      227,333
T-3 ENERGY SRVCS INC COM        87306E10       1,788     189,457 SH         DEFINED  1,2,6                      189,457
TAIWAN GREATER CHINA SH BEN INT 87403710         106      30,000 SH         DEFINED  7                           30,000
TAIWAN SEMICONDUCTOR SPONSORED  87403910      95,024  12,028,340 SH         DEFINED  1,4,5,6,7,8             12,028,340
TAKE-TWO INTERACTIVE COM        87405410      18,327   2,424,257 SH         DEFINED  1,2,5                    2,424,257
TAL INTL GROUP INC   COM        87408310       4,146     294,022 SH         DEFINED  1,2                        294,022
TALBOTS INC          COM        87416110         981     410,534 SH         DEFINED  1,2,5                      410,534
TALEO CORP           CL A       87424N10       3,156     403,085 SH         DEFINED  1,2,6                      403,085
TAM SA               SP ADR REP 87484D10         670      81,270 SH         DEFINED  1                           81,270
TANGER FACTORY OUTLE COM        87546510      41,886   1,113,410 SH         DEFINED  1,2,3,5,6                1,113,410
TARGA RESOURCES PART COM UNIT   87611X10         247      31,875 SH         DEFINED  1,2                         31,875
TARGACEPT INC        COM        87611R30         684     192,094 SH         DEFINED  1                          192,094
TARGET CORP          COM        87612E10   2,318,629  67,148,248 SH         DEFINED  1,2,5,6,7,8,10,12,13    67,148,248
TARRAGON CORP        COM        87628710           2      28,419 SH         DEFINED  1                           28,419
TASER INTL INC       COM        87651B10       5,178     980,737 SH         DEFINED  1,2,5,6                    980,737
TATA COMMUNICATIONS  SPONS ADR  87656410       1,692      79,191 SH         DEFINED  1,2,5,6,7                   79,191
TATA MTRS LTD        SPONSORED  87656850         779     175,163 SH         DEFINED  1,2,5,6,8                  175,163
TAUBMAN CTRS INC     COM        87666410      38,015   1,493,107 SH         DEFINED  1,2,3,5,6,10             1,493,107
TBS INTERNATIONAL LI COM CL A   G8697515       1,452     144,738 SH         DEFINED  1,2                        144,738
TC PIPELINES LP      UT COM LTD 87233Q10         354      15,226 SH         DEFINED  1,2                         15,226
TCF FINL CORP        COM        87227510      49,374   3,614,524 SH         DEFINED  1,2,5,8,10,12            3,614,524
TD AMERITRADE HLDG C COM        87236Y10      89,300   6,266,689 SH         DEFINED  1,2,5,7,8,10,12,13       6,266,689
TDK CORP             AMERN DEP  87235140         252       6,767 SH         DEFINED  1                            6,767
TEAM INC             COM        87815510       7,844     283,173 SH         DEFINED  1,2,6                      283,173
TECH DATA CORP       COM        87823710      18,004   1,009,166 SH         DEFINED  1,2,5,8,10               1,009,166
TECH OPS SEVCON INC  COM        87829310          33      12,400 SH         DEFINED  1                           12,400
TECHNE CORP          COM        87837710      51,678     800,959 SH         DEFINED  1,2,5,10                   800,959
TECHNITROL INC       COM        87855510       2,681     770,259 SH         DEFINED  1,2,5                      770,259
TECHNOLOGY RESH CORP COM NEW    87872730          21      12,137 SH         DEFINED  1                           12,137
TECHTARGET INC       COM        87874R10         669     154,763 SH         DEFINED  1,2                        154,763
TECHWELL INC         COM        87874D10       2,779     427,517 SH         DEFINED  1,2                        427,517
TECK COMINCO LTD     CL B       87874220         188      38,230 SH         DEFINED  1,5,7                       38,230
TECO ENERGY INC      COM        87237510     111,492   9,027,732 SH         DEFINED  1,2,5,6,8,10,12,13       9,027,732
TECUMSEH PRODS CO    CL A       87889520       4,221     440,555 SH         DEFINED  1,2,5                      440,555
TEEKAY CORPORATION   COM        Y8564W10       9,273     471,930 SH         DEFINED  1,2,5,8,10,12              471,930
TEEKAY LNG PARTNERS  PRTNRSP UN Y8564M10         196      13,037 SH         DEFINED  1,2                         13,037
TEEKAY OFFSHORE PART PARTNERSHI Y8565J10         156      14,292 SH         DEFINED  1,2                         14,292
TEEKAY TANKERS LTD   CL A       Y8565N10       2,001     157,566 SH         DEFINED  1                          157,566







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
TEJON RANCH CO DEL   COM        87908010       4,459     180,215 SH         DEFINED  1,2,6                      180,215
TEKELEC              COM        87910110      24,862   1,863,696 SH         DEFINED  1,2,5,6,7,8              1,863,696
TELE NORTE LESTE PAR SPON ADR P 87924610      12,916     927,873 SH         DEFINED  1,2,7                      927,873
TELECOM ARGENTINA S  SPON ADR R 87927320       5,007     658,787 SH         DEFINED  1,2,5,8                    658,787
TELECOM CORP NEW ZEA SPONSORED  87927820          88      13,197 SH         DEFINED  1                           13,197
TELECOM ITALIA S P A SPON ADR O 87927Y10         302      18,595 SH         DEFINED  1                           18,595
TELECOMMUNICATION SY CL A       87929J10       4,976     579,294 SH         DEFINED  1,2,6                      579,294
TELEDYNE TECHNOLOGIE COM        87936010      28,875     648,139 SH         DEFINED  1,2,5,6                    648,139
TELEFLEX INC         COM        87936910      45,407     906,334 SH         DEFINED  1,2,5,10                   906,334
TELEFONICA S A       SPONSORED  87938220       4,644      68,908 SH         DEFINED  1,2,8                       68,908
TELEFONOS DE MEXICO  SPON ADR O 87940378      14,747     704,268 SH         DEFINED  1,2,7,8                    704,268
TELEPHONE & DATA SYS COM        87943310      86,695   2,730,547 SH         DEFINED  1,2,5,7,8,10,12,13       2,730,547
TELEPHONE & DATA SYS SPL COM    87943386       1,966      69,969 SH         DEFINED  1,2,5                       69,969
TELETECH HOLDINGS IN COM        87993910       5,868     702,753 SH         DEFINED  1,2,6                      702,753
TELIK INC            COM        87959M10          21      54,557 SH         DEFINED  1                           54,557
TELKONET INC         COM        87960410           3      24,759 SH         DEFINED  1                           24,759
TELLABS INC          COM        87966410      53,444  12,971,829 SH         DEFINED  1,2,5,6,7,8,10,13       12,971,829
TELMEX INTERNACIONAL SPONS ADR  87969010         909      80,017 SH         DEFINED  1,8                         80,017
TELULAR CORP         COM NEW    87970T20          28      21,573 SH         DEFINED  1                           21,573
TEMPLE INLAND INC    COM        87986810       9,499   1,978,973 SH         DEFINED  1,2,5,10                 1,978,973
TEMPUR PEDIC INTL IN COM        88023U10      10,194   1,437,783 SH         DEFINED  1,2                      1,437,783
TENARIS S A          SPONSORED  88031M10      38,836   1,851,084 SH         DEFINED  1,2,4,5                  1,851,084
TENET HEALTHCARE COR COM        88033G10      18,512  16,097,654 SH         DEFINED  1,2,5,6,7,8,10,13       16,097,654
TENNANT CO           COM        88034510       3,877     251,726 SH         DEFINED  1,2                        251,726
TENNECO INC          COM        88034910       2,315     784,768 SH         DEFINED  1,2,5                      784,768
TEPPCO PARTNERS L P  UT LTD PAR 87238410       2,051     104,813 SH         DEFINED  1,2,8                      104,813
TERADATA CORP DEL    COM        88076W10     105,875   7,139,234 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,139,234
TERADYNE INC         COM        88077010      27,716   6,567,773 SH         DEFINED  1,2,5,6,10,13            6,567,773
TEREX CORP NEW       COM        88077910      53,125   3,067,274 SH         DEFINED  1,2,5,7,8,10,12,13       3,067,274
TERRA INDS INC       COM        88091510      56,096   3,365,106 SH         DEFINED  1,2,5,6,7,10,13          3,365,106
TERRA NITROGEN CO L  COM UNIT   88100520         888       9,419 SH         DEFINED  1,2                          9,419
TERREMARK WORLDWIDE  COM NEW    88144820       3,225     829,027 SH         DEFINED  1,2,5,6                    829,027
TERRESTAR CORP       COM        88145110         318     795,197 SH         DEFINED  1,2,6                      795,197
TESCO CORP           COM        88157K10         189      26,402 SH         DEFINED  1,2,5,6                     26,402
TESORO CORP          COM        88160910     108,898   8,268,644 SH         DEFINED  1,2,5,6,8,10,13          8,268,644
TESSERA TECHNOLOGIES COM        88164L10       9,589     807,140 SH         DEFINED  1,2,6                      807,140
TETRA TECH INC NEW   COM        88162G10      29,873   1,236,985 SH         DEFINED  1,2,5,6                  1,236,985
TETRA TECHNOLOGIES I COM        88162F10       4,196     863,410 SH         DEFINED  1,2,5,6,10                 863,410
TEVA PHARMACEUTICAL  ADR        88162420     243,557   5,721,331 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,721,331
TEVA PHARMACEUTICAL  NOTE  1.75 88165FAA         549     500,000 SH         DEFINED  1                          500,000
TEXAS CAPITAL BANCSH COM        88224Q10       5,940     444,593 SH         DEFINED  1,2,6                      444,593
TEXAS INDS INC       COM        88249110      19,986     579,313 SH         DEFINED  1,2,5,6,8                  579,313
TEXAS INSTRS INC     COM        88250810     747,241  48,146,971 SH         DEFINED  1,2,5,6,7,8,10,12,13    48,146,971
TEXAS ROADHOUSE INC  CL A       88268110       6,809     878,553 SH         DEFINED  1,2,6                      878,553
TEXTAINER GROUP HOLD SHS        G8766E10       1,201     113,313 SH         DEFINED  1,2                        113,313
TEXTRON INC          COM        88320310     119,601   8,622,975 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,622,975
TFS FINL CORP        COM        87240R10      14,683   1,138,182 SH         DEFINED  1,2,5,7,8,10,12,13       1,138,182
TGC INDS INC         COM NEW    87241730          52      25,675 SH         DEFINED  1,2,5                       25,675







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
THERAGENICS CORP     COM        88337510         125     107,199 SH         DEFINED  1                          107,199
THERAVANCE INC       COM        88338T10      10,932     882,322 SH         DEFINED  1,2,6                      882,322
THERMADYNE HLDGS COR COM PAR $0 88343530       1,369     199,203 SH         DEFINED  1,2                        199,203
THERMO FISHER SCIENT COM        88355610     509,678  14,959,717 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,959,717
THERMOGENESIS CORP   COM NEW    88362320          30      70,298 SH         DEFINED  1,5                         70,298
THESTREET COM        COM        88368Q10         812     280,114 SH         DEFINED  1                          280,114
THINKORSWIM GROUP IN COM        88409C10       5,841   1,039,361 SH         DEFINED  1,2,5,6                  1,039,361
THOMAS & BETTS CORP  COM        88431510      32,057   1,334,616 SH         DEFINED  1,2,5,6,10               1,334,616
THOMAS PPTYS GROUP I COM        88445310         843     325,577 SH         DEFINED  1,2                        325,577
THOMAS WEISEL PARTNE COM        88448110       1,473     312,092 SH         DEFINED  1,2                        312,092
THOMPSON CREEK METAL COM        88476810         163      40,900 SH         DEFINED  1                           40,900
THOMSON              SPONSORED  88511810          88      65,325 SH         DEFINED  1                           65,325
THOMSON REUTERS PLC  SPONSORED  88514110         505       3,718 SH         DEFINED  1,2                          3,718
THOR INDS INC        COM        88516010       9,501     720,850 SH         DEFINED  1,2,5,6,10                 720,850
THORATEC CORP        COM NEW    88517530      44,940   1,383,202 SH         DEFINED  1,2,5,6                  1,383,202
THQ INC              COM NEW    87244340       5,287   1,261,884 SH         DEFINED  1,2,5,6                  1,261,884
TIBCO SOFTWARE INC   COM        88632Q10      21,671   4,175,512 SH         DEFINED  1,2,5,6                  4,175,512
TICKETMASTER ENTMT I COM        88633P30       5,247     817,257 SH         DEFINED  1,2,5,6,7,10               817,257
TIDEWATER INC        COM        88642310      54,109   1,343,663 SH         DEFINED  1,2,5,7,10               1,343,663
TIER TECHNOLOGIES IN CL B       88650Q10          99      18,400 SH         DEFINED  1                           18,400
TIERONE CORP         COM        88650R10          55      14,534 SH         DEFINED  1                           14,534
TIFFANY & CO NEW     COM        88654710     116,443   4,927,756 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,927,756
TIM HORTONS INC      COM        88706M10      60,105   2,084,076 SH         DEFINED  1,2,5,7,8,10,12,13       2,084,076
TIM PARTICIPACOES S  SPONS ADR  88706P10         292      23,404 SH         DEFINED  1,4                         23,404
TIMBERLAND BANCORP I COM        88709810          77      10,283 SH         DEFINED  1                           10,283
TIMBERLAND CO        CL A       88710010      18,190   1,574,877 SH         DEFINED  1,2,5                    1,574,877
TIME WARNER CABLE IN CL A       88732J10      71,359   3,326,771 SH         DEFINED  1,2,5,7,8,10,12,13       3,326,771
TIME WARNER INC      COM        88731710   1,335,838 132,787,044 SH         DEFINED  1,2,5,6,7,8,10,12,13   132,787,044
TIMKEN CO            COM        88738910      40,942   2,085,695 SH         DEFINED  1,2,5,7,8,10             2,085,695
TITAN INTL INC ILL   COM        88830M10       5,086     616,544 SH         DEFINED  1,2,6                      616,544
TITAN MACHY INC      COM        88830R10       2,445     173,878 SH         DEFINED  1,2,6                      173,878
TITAN PHARMACEUTICAL COM        88831410           1      28,203 SH         DEFINED  1                           28,203
TITANIUM METALS CORP COM NEW    88833920      35,911   4,076,135 SH         DEFINED  1,2,5,6,10,13            4,076,135
TIVO INC             COM        88870610      11,473   1,602,324 SH         DEFINED  1,2,6                    1,602,324
TJX COS INC NEW      COM        87254010     345,582  16,800,301 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,800,301
TNS INC              COM        87296010       3,968     422,626 SH         DEFINED  1,2,6                      422,626
TOLL BROTHERS INC    COM        88947810     110,165   5,140,698 SH         DEFINED  1,2,5,7,8,10,12,13       5,140,698
TOLLGRADE COMMUNICAT COM        88954210         240      50,309 SH         DEFINED  1                           50,309
TOMKINS PLC          SPONSORED  89003020         227      31,015 SH         DEFINED  1                           31,015
TOMOTHERAPY INC      COM        89008810       1,388     582,987 SH         DEFINED  1,2,6                      582,987
TOMPKINS FINANCIAL C COM        89011010       6,884     118,793 SH         DEFINED  1,2,5                      118,793
TOOTSIE ROLL INDS IN COM        89051610      16,213     633,068 SH         DEFINED  1,2,5,6                    633,068
TORCHMARK CORP       COM        89102710     162,285   3,630,546 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,630,546
TOREADOR RES CORP    COM        89105010       1,456     265,272 SH         DEFINED  1,2                        265,272
TORO CO              COM        89109210      19,531     591,853 SH         DEFINED  1,2,5,6,7,10               591,853
TORONTO DOMINION BK  COM NEW    89116050       4,763     132,798 SH         DEFINED  1,5,7,10,13                132,798
TOTAL S A            SPONSORED  89151E10       4,990      90,229 SH         DEFINED  1,2                         90,229
TOTAL SYS SVCS INC   COM        89190610     101,483   7,248,813 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,248,813







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
TOWER GROUP INC      COM        89177710       9,604     340,438 SH         DEFINED  1,2,6                      340,438
TOWN SPORTS INTL HLD COM        89214A10       1,127     353,326 SH         DEFINED  1,2,6                      353,326
TOWNEBANK PORTSMOUTH COM        89214P10       9,621     388,110 SH         DEFINED  1,2                        388,110
TOYOTA MOTOR CORP    SP ADR REP 89233130       3,583      54,757 SH         DEFINED  1,2                         54,757
TRACTOR SUPPLY CO    COM        89235610      37,575   1,039,705 SH         DEFINED  1,2,5,6                  1,039,705
TRADESTATION GROUP I COM        89267P10       3,327     515,766 SH         DEFINED  1,2,5,6                    515,766
TRANS WORLD ENTMT CO COM        89336Q10          49      37,348 SH         DEFINED  1                           37,348
TRANS1 INC           COM        89385X10       1,136     157,621 SH         DEFINED  1,2                        157,621
TRANSACT TECHNOLOGIE COM        89291810          53      11,469 SH         DEFINED  1                           11,469
TRANSATLANTIC HLDGS  COM        89352110      16,125     402,522 SH         DEFINED  1,2,5,7,8,10,12            402,522
TRANSCANADA CORP     COM        89353D10         213       7,840 SH         DEFINED  1,5                          7,840
TRANSDIGM GROUP INC  COM        89364110      17,721     527,894 SH         DEFINED  1,2,6                      527,894
TRANSMETA CORP DEL   COM        89376R20       2,921     160,494 SH         DEFINED  1,2,5                      160,494
TRANSMONTAIGNE PARTN COM UNIT L 89376V10         180      13,512 SH         DEFINED  1,2                         13,512
TRANSOCEAN INC NEW   SHS        G9007310       2,780      58,844 SH         DEFINED  1,7,8                       58,844
TRANSPORTADORA DE GA SPON ADR B 89387020          45      22,144 SH         DEFINED  1,2                         22,144
TRANSWITCH CORP      COM        89406510          41     145,560 SH         DEFINED  1,5                        145,560
TRAVELCENTERS OF AME COM        89417410          50      20,835 SH         DEFINED  1,2                         20,835
TRAVELERS COMPANIES  COM        89417E10   1,159,746  25,658,104 SH         DEFINED  1,2,5,6,7,8,10,12,13    25,658,104
TRC COS INC          COM        87262510          28      14,676 SH         DEFINED  1                           14,676
TREDEGAR CORP        COM        89465010      12,553     690,507 SH         DEFINED  1,2                        690,507
TREE COM INC         COM        89467510         152      58,536 SH         DEFINED  1,2,8,10                    58,536
TREEHOUSE FOODS INC  COM        89469A10      16,770     615,647 SH         DEFINED  1,2,5,6                    615,647
TREX INC             COM        89531P10       3,869     235,051 SH         DEFINED  1,2                        235,051
TRI CONTL CORP       COM        89543610       1,031     104,602 SH         DEFINED  1,5                        104,602
TRI VY CORP          COM        89573510         526     292,065 SH         DEFINED  1,5                        292,065
TRIAD GTY INC        COM        89592510           6      14,889 SH         DEFINED  1                           14,889
TRICO BANCSHARES     COM        89609510       5,619     225,049 SH         DEFINED  1,2                        225,049
TRICO MARINE SERVICE COM NEW    89610620         900     201,324 SH         DEFINED  1,2                        201,324
TRIDENT MICROSYSTEMS COM        89591910       1,825     965,787 SH         DEFINED  1,2,5,6                    965,787
TRIMAS CORP          COM NEW    89621520         331     239,642 SH         DEFINED  1,2                        239,642
TRIMBLE NAVIGATION L COM        89623910      46,767   2,164,118 SH         DEFINED  1,2,5,10                 2,164,118
TRIMERIS INC         COM        89626310          32      23,528 SH         DEFINED  1                           23,528
TRINITY INDS INC     COM        89652210      30,822   1,955,688 SH         DEFINED  1,2,5,7,8,10             1,955,688
TRIPLE-S MGMT CORP   CL B       89674910       2,528     219,842 SH         DEFINED  1,2                        219,842
TRIQUINT SEMICONDUCT COM        89674K10      11,650   3,386,546 SH         DEFINED  1,2,5,6                  3,386,546
TRIUMPH GROUP INC NE COM        89681810      13,877     326,822 SH         DEFINED  1,2                        326,822
TRUE RELIGION APPARE COM        89784N10       3,525     283,365 SH         DEFINED  1,2,5,6                    283,365
TRUEBLUE INC         COM        89785X10      10,800   1,128,522 SH         DEFINED  1,2,5,6                  1,128,522
TRUMP ENTMT RESORTS  COM        89816T10           5      32,093 SH         DEFINED  1                           32,093
TRUSTCO BK CORP N Y  COM        89834910      15,686   1,649,449 SH         DEFINED  1,2,5                    1,649,449
TRUSTMARK CORP       COM        89840210      41,476   1,921,063 SH         DEFINED  1,2,5                    1,921,063
TRW AUTOMOTIVE HLDGS COM        87264S10       2,324     645,681 SH         DEFINED  1,2,5,8,10                 645,681
TTM TECHNOLOGIES  IN COM        87305R10       6,650   1,276,364 SH         DEFINED  1,2,6                    1,276,364
TUESDAY MORNING CORP COM NEW    89903550         946     580,277 SH         DEFINED  1,2,5                      580,277
TUPPERWARE BRANDS CO COM        89989610      40,403   1,779,889 SH         DEFINED  1,2,5                    1,779,889
TURBOCHEF TECHNOLOGI COM NEW    90000620       1,563     318,239 SH         DEFINED  1,2,5,6                    318,239
TW TELECOM INC       COM        87311L10      24,551   2,898,527 SH         DEFINED  1,2,5,6                  2,898,527







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
TWEEN BRANDS INC     COM        90116610       1,901     440,069 SH         DEFINED  1,2,5                      440,069
TWIN DISC INC        COM        90147610       1,746     253,377 SH         DEFINED  1,2                        253,377
TXCO RES INC         COM        87311M10       1,107     743,099 SH         DEFINED  1,2,5                      743,099
TYCO ELECTRONICS LTD COM NEW    G9144P10     243,027  14,992,416 SH         DEFINED  1,2,5,6,7,8,10,12       14,992,416
TYCO INTL LTD BERMUD SHS        G9143X20     364,210  16,861,593 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,861,593
TYLER TECHNOLOGIES I COM        90225210       7,527     628,292 SH         DEFINED  1,2,5,6                    628,292
TYSON FOODS INC      CL A       90249410      98,216  11,211,827 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,211,827
U M H PROPERTIES INC COM        90300210         122      20,583 SH         DEFINED  1                           20,583
U S AIRWAYS GROUP IN COM        90341W10      15,803   2,044,317 SH         DEFINED  1,2,6,8                  2,044,317
U S CONCRETE INC     COM        90333L10       2,001     595,572 SH         DEFINED  1,2,5                      595,572
U S G CORP           COM NEW    90329340       8,025     998,079 SH         DEFINED  1,2,5,8,10                 998,079
U S GEOTHERMAL INC   COM        90338S10         636     766,721 SH         DEFINED  1                          766,721
U S GLOBAL INVS INC  CL A       90295210         770     157,413 SH         DEFINED  1                          157,413
U S PHYSICAL THERAPY COM        90337L10       2,396     179,772 SH         DEFINED  1,2,5                      179,772
U STORE IT TR        COM        91274F10       7,500   1,685,397 SH         DEFINED  1,2,3                    1,685,397
UAL CORP             NOTE  4.50 902549AH          46     100,000 SH         DEFINED  1                          100,000
UAL CORP             COM NEW    90254980      27,022   2,452,061 SH         DEFINED  1,2,6,8                  2,452,061
UBS AG               SHS NEW    H8923133      43,058   3,011,037 SH         DEFINED  1                        3,011,037
UCBH HOLDINGS INC    COM        90262T30      31,260   4,543,667 SH         DEFINED  1,2,5                    4,543,667
UDR INC              COM        90265310      66,083   4,792,097 SH         DEFINED  1,2,3,5,7,8,10,12,13     4,792,097
UGI CORP NEW         COM        90268110      50,375   2,062,853 SH         DEFINED  1,2,5,8,10               2,062,853
UIL HLDG CORP        COM        90274810      14,713     489,936 SH         DEFINED  1,2,5                      489,936
ULTA SALON COSMETCS  COM        90384S30       2,474     298,827 SH         DEFINED  1,2,6                      298,827
ULTIMATE SOFTWARE GR COM        90385D10       6,591     451,423 SH         DEFINED  1,2,6,8                    451,423
ULTRA CLEAN HLDGS IN COM        90385V10         500     248,728 SH         DEFINED  1,5                        248,728
ULTRA PETROLEUM CORP COM        90391410      37,744   1,093,709 SH         DEFINED  1,2,5,7,8,10,12,13       1,093,709
ULTRALIFE CORP       COM        90389910       2,262     168,676 SH         DEFINED  1,2                        168,676
ULTRAPETROL BAHAMAS  COM        P9439810         917     287,308 SH         DEFINED  1                          287,308
ULTRATECH INC        COM        90403410       4,933     412,433 SH         DEFINED  1,2,6                      412,433
ULURU INC            COM        90403T10           7      24,385 SH         DEFINED  1                           24,385
UMB FINL CORP        COM        90278810      60,050   1,222,028 SH         DEFINED  1,2,5,6                  1,222,028
UMPQUA HLDGS CORP    COM        90421410      38,520   2,662,090 SH         DEFINED  1,2,5                    2,662,090
UNDER ARMOUR INC     CL A       90431110      21,378     896,711 SH         DEFINED  1,2,6                      896,711
UNIBANCO-UNIAO DE BA ADR        90458E10      45,956     711,180 SH         DEFINED  1,2,4,5,7                  711,180
UNICA CORP           COM        90458310         828     151,051 SH         DEFINED  1                          151,051
UNICO AMERN CORP     COM        90460710         103      12,515 SH         DEFINED  1,2                         12,515
UNIFI INC            COM        90467710       2,433     862,822 SH         DEFINED  1,2,5,6                    862,822
UNIFIRST CORP MASS   COM        90470810      10,721     361,112 SH         DEFINED  1,2,5                      361,112
UNILEVER N V         N Y SHS NE 90478470       1,180      48,057 SH         DEFINED  1                           48,057
UNILEVER PLC         SPON ADR N 90476770       1,025      44,513 SH         DEFINED  1                           44,513
UNION BANKSHARES COR COM        90539910       5,802     233,947 SH         DEFINED  1,2                        233,947
UNION DRILLING INC   COM        90653P10       1,581     304,549 SH         DEFINED  1,2                        304,549
UNION PAC CORP       COM        90781810     882,977  18,472,323 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,472,323
UNISOURCE ENERGY COR COM        90920510      26,954     918,036 SH         DEFINED  1,2,5                      918,036
UNISYS CORP          COM        90921410       3,675   4,323,531 SH         DEFINED  1,2,5,10                 4,323,531
UNIT CORP            COM        90921810      25,736     963,186 SH         DEFINED  1,2,5,6,7,10               963,186
UNITED AMER INDEMNIT CL A       90933T10       4,019     313,730 SH         DEFINED  1,2                        313,730
UNITED BANKSHARES IN COM        90990710      44,713   1,345,954 SH         DEFINED  1,2,5                    1,345,954







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
UNITED CAPITAL CORP  COM        90991210         340      18,745 SH         DEFINED  1                           18,745
UNITED CMNTY BKS BLA CAP STK    90984P10      11,495     846,452 SH         DEFINED  1,2                        846,452
UNITED CMNTY FINL CO COM        90983910         660     733,449 SH         DEFINED  1,2,5                      733,449
UNITED FINANCIAL BAN COM        91030T10       4,039     266,805 SH         DEFINED  1,2                        266,805
UNITED FIRE & CAS CO COM        91033110      12,342     397,237 SH         DEFINED  1,2                        397,237
UNITED MICROELECTRON SPON ADR N 91087340       1,459     744,571 SH         DEFINED  1,6                        744,571
UNITED NAT FOODS INC COM        91116310      14,389     807,479 SH         DEFINED  1,2,6                      807,479
UNITED ONLINE INC    COM        91126810      12,638   2,081,976 SH         DEFINED  1,2,5                    2,081,976
UNITED PANAM FINANCI COM        91130110          21      13,475 SH         DEFINED  1                           13,475
UNITED PARCEL SERVIC CL B       91131210   1,741,735  31,576,054 SH         DEFINED  1,2,5,6,7,8,10,12,13    31,576,054
UNITED RENTALS INC   COM        91136310      17,046   1,869,045 SH         DEFINED  1,2,5,8,10               1,869,045
UNITED SECURITY BANC COM        91146010       1,289     111,334 SH         DEFINED  1                          111,334
UNITED STATES CELLUL COM        91168410       8,221     190,131 SH         DEFINED  1,2,5,8,10                 190,131
UNITED STATES LIME & COM        91192210         635      26,524 SH         DEFINED  1,2                         26,524
UNITED STATES STL CO COM        91290910     187,001   5,026,905 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,026,905
UNITED STATIONERS IN COM        91300410      19,482     581,714 SH         DEFINED  1,2,5,8                    581,714
UNITED TECHNOLOGIES  COM        91301710   5,650,349 105,416,965 SH         DEFINED  1,2,5,6,7,8,10,12,13   105,416,965
UNITED THERAPEUTICS  COM        91307C10      79,081   1,264,292 SH         DEFINED  1,2,5,6,7                1,264,292
UNITEDHEALTH GROUP I COM        91324P10   1,189,346  44,712,268 SH         DEFINED  1,2,5,6,7,8,10,12,13    44,712,268
UNITRIN INC          COM        91327510      14,611     916,630 SH         DEFINED  1,2,5,10                   916,630
UNIVERSAL AMERICAN C COM        91337710       5,895     668,352 SH         DEFINED  1,2                        668,352
UNIVERSAL CORP VA    COM        91345610      18,040     603,963 SH         DEFINED  1,2,5,8                    603,963
UNIVERSAL DISPLAY CO COM        91347P10       4,248     449,485 SH         DEFINED  1,2,6                      449,485
UNIVERSAL ELECTRS IN COM        91348310       4,182     257,850 SH         DEFINED  1,2,5,6                    257,850
UNIVERSAL FST PRODS  COM        91354310       8,375     311,222 SH         DEFINED  1,2                        311,222
UNIVERSAL HEALTH RLT SH BEN INT 91359E10      11,779     357,918 SH         DEFINED  1,2,3                      357,918
UNIVERSAL HLTH SVCS  CL B       91390310      38,141   1,015,204 SH         DEFINED  1,2,5,8,10,12            1,015,204
UNIVERSAL STAINLESS  COM        91383710       1,732     119,563 SH         DEFINED  1,2,5                      119,563
UNIVERSAL TECHNICAL  COM        91391510       6,333     368,835 SH         DEFINED  1,2,6                      368,835
UNIVERSAL TRUCKLOAD  COM        91388P10       1,421     100,354 SH         DEFINED  1,6                        100,354
UNIVEST CORP PA      COM        91527110       6,896     214,549 SH         DEFINED  1,2                        214,549
UNUM GROUP           COM        91529Y10     300,226  16,141,168 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,141,168
UQM TECHNOLOGIES INC COM        90321310          20      15,719 SH         DEFINED  1                           15,719
URANIUM RES INC      COM PAR $0 91690150         560     727,015 SH         DEFINED  1                          727,015
URBAN OUTFITTERS INC COM        91704710      45,299   3,023,977 SH         DEFINED  1,2,5,7,8,10,12,13       3,023,977
UROLOGIX INC         COM        91727310           8      14,851 SH         DEFINED  1                           14,851
URS CORP NEW         COM        90323610      69,201   1,697,342 SH         DEFINED  1,2,5,10                 1,697,342
URSTADT BIDDLE PPTYS CL A       91728620       6,247     392,124 SH         DEFINED  1,2,3                      392,124
US BANCORP DEL       COM NEW    90297330   1,912,192  76,457,110 SH         DEFINED  1,2,5,6,7,8,10,12,13    76,457,110
US GOLD CORPORATION  COM PAR $0 91202320          36      39,421 SH         DEFINED  1                           39,421
USA MOBILITY INC     COM        90341G10       6,369     550,463 SH         DEFINED  1,2,5                      550,463
USANA HEALTH SCIENCE COM        90328M10       4,902     143,171 SH         DEFINED  1,2,6                      143,171
USEC INC             COM        90333E10       8,366   1,863,350 SH         DEFINED  1,2,5                    1,863,350
UST INC              COM        90291110     351,841   5,071,212 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,071,212
UTI WORLDWIDE INC    ORD        G8721010      10,748     749,523 SH         DEFINED  1,2,5,6,7,10               749,523
UTSTARCOM INC        COM        91807610       3,654   1,974,943 SH         DEFINED  1,2,5                    1,974,943
V F CORP             COM        91820410     178,795   3,264,466 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,264,466
VAALCO ENERGY INC    COM NEW    91851C20      11,709   1,573,732 SH         DEFINED  1,2                      1,573,732







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
VAIL RESORTS INC     COM        91879Q10      15,524     583,613 SH         DEFINED  1,2,6                      583,613
VALASSIS COMMUNICATI COM        91886610       1,116     845,192 SH         DEFINED  1,2,5                      845,192
VALEANT PHARMACEUTIC COM        91911X10      51,503   2,249,053 SH         DEFINED  1,2,5,6                  2,249,053
VALENCE TECHNOLOGY I COM        91891410       1,247     685,347 SH         DEFINED  1,2                        685,347
VALERO ENERGY CORP N COM        91913Y10     480,810  22,218,582 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,218,582
VALHI INC NEW        COM        91890510         586      54,800 SH         DEFINED  1,2,10                      54,800
VALIDUS HOLDINGS LTD COM SHS    G9319H10      23,427     895,515 SH         DEFINED  1,2                        895,515
VALLEY NATL BANCORP  COM        91979410      65,748   3,246,820 SH         DEFINED  1,2,5,8,10,12            3,246,820
VALMONT INDS INC     COM        92025310      16,932     275,945 SH         DEFINED  1,2,5,6,10                 275,945
VALSPAR CORP         COM        92035510      33,251   1,838,112 SH         DEFINED  1,2,5,10                 1,838,112
VALUE LINE INC       COM        92043710         580      16,806 SH         DEFINED  1                           16,806
VALUECLICK INC       COM        92046N10      18,024   2,635,079 SH         DEFINED  1,2,5,6,8                2,635,079
VALUEVISION MEDIA IN CL A       92047K10          19      57,282 SH         DEFINED  1                           57,282
VANDA PHARMACEUTICAL COM        92165910           8      15,825 SH         DEFINED  1,2                         15,825
VANGUARD BD INDEX FD TOTAL BND  92193783      45,629     577,800 SH         DEFINED  2                          577,800
VANGUARD INDEX FDS   REIT ETF   92290855       3,364      92,300 SH         DEFINED  2                           92,300
VANGUARD INDEX FDS   STK MRK ET 92290876         225       5,030 SH         DEFINED  1                            5,030
VANGUARD INTL EQUITY EMR MKT ET 92204285      20,456     867,904 SH         DEFINED  1,2                        867,904
VARIAN INC           COM        92220610      28,424     848,236 SH         DEFINED  1,2,5,6                    848,236
VARIAN MED SYS INC   COM        92220P10     182,265   5,201,615 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,201,615
VARIAN SEMICONDUCTOR COM        92220710      16,911     933,305 SH         DEFINED  1,2,5,6,10                 933,305
VASCO DATA SEC INTL  COM        92230Y10       4,552     440,681 SH         DEFINED  1,2,5,6                    440,681
VASCULAR SOLUTIONS I COM        92231M10         170      18,808 SH         DEFINED  1,2                         18,808
VCA ANTECH INC       COM        91819410      33,025   1,661,200 SH         DEFINED  1,2,5,6,10               1,661,200
VECTOR GROUP LTD     COM        92240M10       6,125     449,678 SH         DEFINED  1,2,5                      449,678
VECTREN CORP         COM        92240G10      50,725   2,028,190 SH         DEFINED  1,2,5,7,10               2,028,190
VEECO INSTRS INC DEL COM        92241710       3,460     545,682 SH         DEFINED  1,2,5,6                    545,682
VENOCO INC           COM        92275P30         828     305,672 SH         DEFINED  1,2,6                      305,672
VENTAS INC           COM        92276F10     143,355   4,270,321 SH         DEFINED  1,2,3,5,7,8,10,12,13     4,270,321
VERENIUM CORPORATION COM        92340P10          41      46,063 SH         DEFINED  1                           46,063
VERIFONE HLDGS INC   COM        92342Y10       6,054   1,235,411 SH         DEFINED  1,2,6                    1,235,411
VERIGY LTD           SHS        Y9369110         411      42,674 SH         DEFINED  1,2,5,6                     42,674
VERISIGN INC         COM        92343E10     130,999   6,865,792 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,865,792
VERIZON COMMUNICATIO COM        92343V10   3,802,712 112,174,390 SH         DEFINED  1,2,5,6,7,8,10,12,13   112,174,390
VERSO PAPER CORP     COM        92531L10         154     149,201 SH         DEFINED  1,2                        149,201
VERTEX PHARMACEUTICA COM        92532F10     137,470   4,525,020 SH         DEFINED  1,2,5,7,8,10,12,13       4,525,020
VIACOM INC NEW       CL A       92553P10         266      13,232 SH         DEFINED  1,2,5                       13,232
VIACOM INC NEW       CL B       92553P20     397,830  20,872,532 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,872,532
VIAD CORP            COM NEW    92552R40      13,493     545,404 SH         DEFINED  1,2,5                      545,404
VIASAT INC           COM        92552V10      13,152     546,185 SH         DEFINED  1,2,5,6                    546,185
VICAL INC            COM        92560210          29      20,410 SH         DEFINED  1                           20,410
VICOR CORP           COM        92581510       2,135     323,017 SH         DEFINED  1,2,6                      323,017
VIEWPOINT FINL GROUP COM        92672710       2,319     144,461 SH         DEFINED  1,2,6                      144,461
VIGNETTE CORP        COM NEW    92673440       5,650     600,378 SH         DEFINED  1,2,5,6                    600,378
VILLAGE SUPER MKT IN CL A NEW   92710740       3,389      59,050 SH         DEFINED  1,2                         59,050
VINA CONCHA Y TORO S SPONSORED  92719110         294       9,642 SH         DEFINED  1,2                          9,642
VIRAGE LOGIC CORP    COM        92763R10          36      11,999 SH         DEFINED  1                           11,999
VIRCO MFG CO         COM        92765110          25      12,730 SH         DEFINED  1                           12,730







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
VIRGIN MEDIA INC     COM        92769L10      39,760   7,967,951 SH         DEFINED  1,2,5,7,8,10,12,13       7,967,951
VIRGIN MOBILE USA IN CL A       92769R10         264     314,632 SH         DEFINED  1                          314,632
VIRGINIA COMM BANCOR COM        92778Q10         114      22,085 SH         DEFINED  1                           22,085
VIROPHARMA INC       COM        92824110      33,329   2,559,853 SH         DEFINED  1,2,5,6                  2,559,853
VIRTUAL RADIOLOGIC C COM        92826B10         751      88,606 SH         DEFINED  1,2                         88,606
VIRTUSA CORP         COM        92827P10         616     109,223 SH         DEFINED  1                          109,223
VISA INC             COM CL A   92826C83     322,420   6,147,180 SH         DEFINED  1,2,5,7,8,10,12,13       6,147,180
VISHAY INTERTECHNOLO COM        92829810      20,367   5,955,409 SH         DEFINED  1,2,5,7,8,10             5,955,409
VISION-SCIENCES INC  COM        92791210         209     136,477 SH         DEFINED  1                          136,477
VISTA GOLD CORP      COM NEW    92792630          18      16,100 SH         DEFINED  1                           16,100
VISTAPRINT LIMITED   SHS        G9376220      12,494     671,360 SH         DEFINED  1,2,5,6,8                  671,360
VISTEON CORP         COM        92839U10       1,370   3,915,060 SH         DEFINED  1,2,5,6                  3,915,060
VITAL IMAGES INC     COM        92846N10       3,565     256,266 SH         DEFINED  1,2,5,6                    256,266
VIVUS INC            COM        92855110       8,701   1,635,475 SH         DEFINED  1,2,5,6                  1,635,475
VMWARE INC           CL A COM   92856340      15,486     653,703 SH         DEFINED  1,2,5,7,8,10,12,13         653,703
VNUS MED TECHNOLOGIE COM        92856610       3,295     203,168 SH         DEFINED  1,2,6                      203,168
VOCUS INC            COM        92858J10       4,537     249,158 SH         DEFINED  1,2,6                      249,158
VODAFONE GROUP PLC N SPONS ADR  92857W20       7,472     365,538 SH         DEFINED  1,2                        365,538
VOLCANO CORPORATION  COM        92864510      11,813     787,559 SH         DEFINED  1,2,6                      787,559
VOLCOM INC           COM        92864N10       3,308     303,477 SH         DEFINED  1,2,6                      303,477
VOLT INFORMATION SCI COM        92870310       1,940     268,317 SH         DEFINED  1,2,5                      268,317
VOLTERRA SEMICONDUCT COM        92870810       2,963     414,397 SH         DEFINED  1,2                        414,397
VONAGE HLDGS CORP    COM        92886T20         518     785,251 SH         DEFINED  1,2,6                      785,251
VORNADO RLTY TR      DBCV  2.85 929042AC         738   1,000,000 SH         DEFINED  1                        1,000,000
VORNADO RLTY TR      SH BEN INT 92904210     481,664   7,981,175 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   7,981,175
VOTORANTIM CELULOSE  SPONSORED  92906P10         464      58,530 SH         DEFINED  1,2,7                       58,530
VSE CORP             COM        91828410       1,944      49,566 SH         DEFINED  1,2                         49,566
VULCAN MATLS CO      COM        92916010     286,606   4,119,081 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,119,081
W & T OFFSHORE INC   COM        92922P10       7,289     509,011 SH         DEFINED  1,2,5,6,7,8,10             509,011
W HLDG CO INC        COM NEW    92925187         344      33,443 SH         DEFINED  1,2,5                       33,443
W P CAREY & CO LLC   COM        92930Y10         667      28,453 SH         DEFINED  1,2                         28,453
WABASH NATL CORP     COM        92956610       3,151     700,195 SH         DEFINED  1,2                        700,195
WABCO HLDGS INC      COM        92927K10      13,534     857,155 SH         DEFINED  1,2,5,8,10,12              857,155
WABTEC CORP          COM        92974010      57,962   1,458,161 SH         DEFINED  1,2,5,6                  1,458,161
WACHOVIA CORP NEW    COM        92990310     491,483  88,715,426 SH         DEFINED  1,2,5,6,7,8,10,12,13    88,715,426
WACOAL HOLDINGS CORP ADR        93000420         475       7,205 SH         DEFINED  1                            7,205
WADDELL & REED FINL  CL A       93005910      23,718   1,534,155 SH         DEFINED  1,2,5,10                 1,534,155
WAL MART STORES INC  COM        93114210   5,273,620  94,070,992 SH         DEFINED  1,2,5,6,7,8,10,12,13    94,070,992
WALGREEN CO          COM        93142210     868,755  35,215,026 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,215,026
WALTER INDS INC      COM        93317Q10      13,129     749,801 SH         DEFINED  1,2,5,7,8,10               749,801
WARNACO GROUP INC    COM NEW    93439040      27,242   1,387,756 SH         DEFINED  1,2,5,6                  1,387,756
WARNER CHILCOTT LIMI COM CL A   G9435N10      21,927   1,512,192 SH         DEFINED  1,2,5,7,8,10,12          1,512,192
WARNER MUSIC GROUP C COM        93455010       3,907   1,293,652 SH         DEFINED  1,2,7,10                 1,293,652
WARREN RES INC       COM        93564A10       1,767     887,726 SH         DEFINED  1,2,6                      887,726
WASHINGTON FED INC   COM        93882410      27,738   1,854,168 SH         DEFINED  1,2,5,10                 1,854,168
WASHINGTON POST CO   CL B       93964010      80,864     207,212 SH         DEFINED  1,2,5,6,7,8,10,12,13       207,212
WASHINGTON REAL ESTA SH BEN INT 93965310      46,902   1,657,319 SH         DEFINED  1,2,3,5                  1,657,319
WASHINGTON TR BANCOR COM        94061010       4,438     224,720 SH         DEFINED  1,2                        224,720







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
WASTE CONNECTIONS IN COM        94105310      66,820   2,116,579 SH         DEFINED  1,2,5,6                  2,116,579
WASTE MGMT INC DEL   COM        94106L10     736,953  22,237,576 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,237,576
WASTE SERVICES INC D COM NEW    94107520       3,517     534,556 SH         DEFINED  1,2,6                      534,556
WATERS CORP          COM        94184810     142,508   3,888,344 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,888,344
WATERSTONE FINANCIAL COM        94188810         379     113,059 SH         DEFINED  1,2,6                      113,059
WATSCO INC           COM        94262220      17,053     444,101 SH         DEFINED  1,2                        444,101
WATSON PHARMACEUTICA COM        94268310     101,535   3,821,415 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,821,415
WATSON WYATT WORLDWI CL A       94271210      58,502   1,223,383 SH         DEFINED  1,2,5,6,7                1,223,383
WATTS WATER TECHNOLO CL A       94274910      13,841     554,288 SH         DEFINED  1,2                        554,288
WAUSAU PAPER CORP    COM        94331510      11,411     997,433 SH         DEFINED  1,2                        997,433
WAVE SYSTEMS CORP    COM NEW    94352630           5      12,338 SH         DEFINED  1                           12,338
WCA WASTE CORP       COM        92926K10          32      12,600 SH         DEFINED  1                           12,600
WD-40 CO             COM        92923610       8,294     293,164 SH         DEFINED  1,2                        293,164
WEATHERFORD INTERNAT COM        G9508910     284,096  26,256,547 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,256,547
WEB COM GROUP INC    COM        94733A10       1,342     366,547 SH         DEFINED  1                          366,547
WEBMD HEALTH CORP    CL A       94770V10       1,474      62,479 SH         DEFINED  1,2,6,10                    62,479
WEBSENSE INC         COM        94768410      12,899     861,643 SH         DEFINED  1,2,5,6,8                  861,643
WEBSTER FINL CORP CO COM        94789010      24,196   1,755,902 SH         DEFINED  1,2,5,7,10               1,755,902
WEIGHT WATCHERS INTL COM        94862610      11,324     384,921 SH         DEFINED  1,2,5,10,12                384,921
WEINGARTEN RLTY INVS SH BEN INT 94874110      52,938   2,558,649 SH         DEFINED  1,2,3,5,8,10             2,558,649
WEIS MKTS INC        COM        94884910       6,248     185,788 SH         DEFINED  1,2,5                      185,788
WELLCARE HEALTH PLAN COM        94946T10       9,539     741,721 SH         DEFINED  1,2,5,7,8,10               741,721
WELLPOINT INC        COM        94973V10     802,688  19,052,645 SH         DEFINED  1,2,5,6,7,8,10,12,13    19,052,645
WELLS FARGO & CO NEW COM        94974610   4,752,230 161,201,843 SH         DEFINED  1,2,5,6,7,8,10,12,13   161,201,843
WENDYS ARBYS GROUP I COM        95058710      51,130  10,350,210 SH         DEFINED  1,2,5,6,8,12            10,350,210
WERNER ENTERPRISES I COM        95075510      31,539   1,818,853 SH         DEFINED  1,2,5,6,7,8              1,818,853
WESBANCO INC         COM        95081010      15,813     581,150 SH         DEFINED  1,2                        581,150
WESCO FINL CORP      COM        95081710       4,481      15,563 SH         DEFINED  1,2,5,10,12                 15,563
WESCO INTL INC       COM        95082P10      11,850     616,249 SH         DEFINED  1,2,5,8,10                 616,249
WEST BANCORPORATION  CAP STK    95123P10       3,264     266,420 SH         DEFINED  1,2                        266,420
WEST COAST BANCORP O COM        95214510       1,847     280,301 SH         DEFINED  1,2                        280,301
WEST MARINE INC      COM        95423510          60      14,137 SH         DEFINED  1                           14,137
WEST PHARMACEUTICAL  COM        95530610      23,919     633,270 SH         DEFINED  1,2,5,6                    633,270
WESTAMERICA BANCORPO COM        95709010      52,513   1,026,653 SH         DEFINED  1,2,5,6                  1,026,653
WESTAR ENERGY INC    COM        95709T10      58,023   2,828,999 SH         DEFINED  1,2,5                    2,828,999
WESTELL TECHNOLOGIES CL A       95754110          14      51,412 SH         DEFINED  1                           51,412
WESTERN ALLIANCE BAN COM        95763810       3,596     356,423 SH         DEFINED  1,2                        356,423
WESTERN DIGITAL CORP COM        95810210      68,895   6,017,005 SH         DEFINED  1,2,5,7,8,10,12,13       6,017,005
WESTERN GAS PARTNERS COM UNIT L 95825410         218      16,973 SH         DEFINED  1,2                         16,973
WESTERN REFNG INC    COM        95931910       4,144     534,013 SH         DEFINED  1,2,5                      534,013
WESTERN UN CO        COM        95980210     375,602  26,192,583 SH         DEFINED  1,2,5,6,7,8,10,12,13    26,192,583
WESTFIELD FINANCIAL  COM        96008P10       4,962     480,814 SH         DEFINED  1,2                        480,814
WESTLAKE CHEM CORP   COM        96041310       5,258     322,760 SH         DEFINED  1,2                        322,760
WESTMORELAND COAL CO COM        96087810       1,950     175,699 SH         DEFINED  1,2,5                      175,699
WESTPAC BKG CORP     SPONSORED  96121430       2,796      46,408 SH         DEFINED  1                           46,408
WESTWOOD HLDGS GROUP COM        96176510       3,160     111,220 SH         DEFINED  1,2,6                      111,220
WET SEAL INC         CL A       96184010       4,871   1,639,960 SH         DEFINED  1,2,6                    1,639,960
WEYCO GROUP INC      COM        96214910       3,702     112,003 SH         DEFINED  1,2                        112,003







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
WEYERHAEUSER CO      COM        96216610     243,306   7,948,569 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,948,569
WGL HLDGS INC        COM        92924F10      83,192   2,544,866 SH         DEFINED  1,2,5                    2,544,866
WHIRLPOOL CORP       COM        96332010     119,479   2,889,461 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,889,461
WHITE ELECTR DESIGNS COM        96380110         106      29,060 SH         DEFINED  1,5                         29,060
WHITE MTNS INS GROUP COM        G9618E10      27,065     101,327 SH         DEFINED  1,2,5,7,8,10,12,13         101,327
WHITING PETE CORP NE COM        96638710      21,222     634,238 SH         DEFINED  1,2,5,7,10                 634,238
WHITNEY HLDG CORP    COM        96661210      28,668   1,792,893 SH         DEFINED  1,2,5,10                 1,792,893
WHOLE FOODS MKT INC  COM        96683710      50,668   5,367,381 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,367,381
WILEY JOHN & SONS IN CL A       96822320      30,036     844,196 SH         DEFINED  1,2,5,6,10                 844,196
WILLBROS GROUP INC   COM        96919910       5,106     602,874 SH         DEFINED  1,2,5                      602,874
WILLIAMS CLAYTON ENE COM        96949010       7,277     160,152 SH         DEFINED  1,2                        160,152
WILLIAMS COS INC DEL COM        96945710     361,087  24,936,944 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,936,944
WILLIAMS PARTNERS L  COM UNIT L 96950F10         574      48,099 SH         DEFINED  1,2                         48,099
WILLIAMS PIPELINE PA COM UNIT L 96950K10         191      13,499 SH         DEFINED  1,2                         13,499
WILLIAMS SONOMA INC  COM        96990410      16,019   2,038,003 SH         DEFINED  1,2,5,10                 2,038,003
WILLIS GROUP HOLDING SHS        G9665510      21,340     857,704 SH         DEFINED  1,2,5,7,8,10,12,13         857,704
WILLIS LEASE FINANCE COM        97064610         101      10,856 SH         DEFINED  1,2                         10,856
WILMINGTON TRUST COR COM        97180710      59,294   2,666,116 SH         DEFINED  1,2,5,7,10               2,666,116
WILSHIRE BANCORP INC COM        97186T10       4,598     506,345 SH         DEFINED  1,2                        506,345
WILSHIRE ENTERPRISES COM        97188910          18      17,686 SH         DEFINED  1                           17,686
WIMM BILL DANN FOODS SPONSORED  97263M10         474      18,010 SH         DEFINED  1,2,5,7                     18,010
WIND RIVER SYSTEMS I COM        97314910      17,051   1,888,280 SH         DEFINED  1,2,5,6                  1,888,280
WINDSTREAM CORP      COM        97381W10     145,369  15,800,958 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,800,958
WINN DIXIE STORES IN COM NEW    97428030      15,405     956,839 SH         DEFINED  1,2,6,8                    956,839
WINNEBAGO INDS INC   COM        97463710       3,104     514,711 SH         DEFINED  1,2                        514,711
WINTHROP RLTY TR     SH BEN INT 97639130       1,990     183,606 SH         DEFINED  1,2,3,5                    183,606
WINTRUST FINANCIAL C COM        97650W10      22,170   1,077,769 SH         DEFINED  1,2                      1,077,769
WIPRO LTD            SPON ADR 1 97651M10       2,983     366,881 SH         DEFINED  1,2,5,6                    366,881
WIRELESS TELECOM GRO COM        97652410           3      10,100 SH         DEFINED  1                           10,100
WISCONSIN ENERGY COR COM        97665710     190,490   4,537,626 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,537,626
WMS INDS INC         COM        92929710      24,893     925,391 SH         DEFINED  1,2,6                      925,391
WOLVERINE WORLD WIDE COM        97809710      21,157   1,005,545 SH         DEFINED  1,2,5                    1,005,545
WONDER AUTO TECHNOLO COM        97816610         496     126,567 SH         DEFINED  1                          126,567
WOODWARD GOVERNOR CO COM        98074510      37,791   1,641,668 SH         DEFINED  1,2,5,6                  1,641,668
WOORI FIN HLDGS CO L ADR        98106310         206      14,430 SH         DEFINED  1,6                         14,430
WORLD ACCEP CORP DEL COM        98141910       6,774     342,831 SH         DEFINED  1,2,6                      342,831
WORLD FUEL SVCS CORP COM        98147510      32,921     889,751 SH         DEFINED  1,2,6,8                    889,751
WORLD WRESTLING ENTM CL A       98156Q10       3,653     329,725 SH         DEFINED  1,2                        329,725
WORTHINGTON INDS INC COM        98181110      33,402   3,031,064 SH         DEFINED  1,2,5                    3,031,064
WPP PLC              ADR        92933H10         378      12,785 SH         DEFINED  1                           12,785
WPT ENTERPRISES INC  COM        98211W10          11      25,391 SH         DEFINED  1                           25,391
WRIGHT EXPRESS CORP  COM        98233Q10       8,148     646,646 SH         DEFINED  1,2,6                      646,646
WRIGHT MED GROUP INC COM        98235T10      11,694     572,373 SH         DEFINED  1,2,6                      572,373
WSFS FINL CORP       COM        92932810       6,628     138,118 SH         DEFINED  1,2,5                      138,118
WYETH                DBCV       983024AD         248     250,000 SH         DEFINED  1                          250,000
WYETH                COM        98302410   1,843,372  49,143,490 SH         DEFINED  1,2,5,6,7,8,10,12,13    49,143,490
WYNDHAM WORLDWIDE CO COM        98310W10      37,813   5,772,952 SH         DEFINED  1,2,5,6,8,10,12,13       5,772,952
WYNN RESORTS LTD     COM        98313410      85,019   2,011,805 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,011,805







                                                                                                                VOTING AUTHORITY
                      TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                         ----------------------
   NAME OF ISSUER       CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION      OTHER MANAGERS        SOLE    SHARED NONE
-------------------- ---------- -------- ----------- ----------- --- ---- ---------- ----------------------- ---------- ------ ----
                                                                                              
XCEL ENERGY INC      COM        98389B10     336,872  18,160,236 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,160,236
XENOPORT INC         COM        98411C10      13,033     519,644 SH         DEFINED  1,2,5,6                    519,644
XERIUM TECHNOLOGIES  COM        98416J10         309     468,333 SH         DEFINED  1,2                        468,333
XEROX CORP           COM        98412110     504,864  63,345,605 SH         DEFINED  1,2,5,6,7,8,10,12,13    63,345,605
XILINX INC           DBCV  3.12 983919AD         170     250,000 SH         DEFINED  1                          250,000
XILINX INC           COM        98391910     172,051   9,654,913 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,654,913
XL CAP LTD           CL A       G9825510      48,841  13,200,209 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,200,209
XOMA LTD             ORD        G9825R10       1,082   1,745,337 SH         DEFINED  1,2,5,6                  1,745,337
X-RITE INC           COM        98385710          50      33,880 SH         DEFINED  1                           33,880
XTO ENERGY INC       COM        98385X10     792,709  22,475,460 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,475,460
YADKIN VALLEY FINANC COM        98431410       1,940     136,168 SH         DEFINED  1,2                        136,168
YAHOO INC            COM        98433210     591,379  48,473,666 SH         DEFINED  1,2,5,6,7,8,10,12,13    48,473,666
YORK WTR CO          COM        98718410         258      21,309 SH         DEFINED  1,2                         21,309
YOUBET COM INC       COM        98741310          24      27,710 SH         DEFINED  1                           27,710
YOUNG BROADCASTING I CL A       98743410           1      18,340 SH         DEFINED  1                           18,340
YRC WORLDWIDE INC    COM        98424910       5,534   1,928,098 SH         DEFINED  1,2,5,8                  1,928,098
YUM BRANDS INC       COM        98849810     732,236  23,245,601 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,245,601
ZALE CORP NEW        COM        98885810       2,260     678,637 SH         DEFINED  1,2,5,6                    678,637
ZAPATA CORP          COM PAR $  98907060         109      18,078 SH         DEFINED  1                           18,078
ZAREBA SYSTEMS INC   COM        98913110          25      16,900 SH         DEFINED  1                           16,900
ZEBRA TECHNOLOGIES C CL A       98920710      24,707   1,219,511 SH         DEFINED  1,2,5,6,8,10,12          1,219,511
ZENITH NATL INS CORP COM        98939010      26,958     853,924 SH         DEFINED  1,2,8                      853,924
ZEP INC              COM        98944B10       7,174     371,524 SH         DEFINED  1,2,5,6                    371,524
ZHONE TECHNOLOGIES I COM        98950P10           8      99,984 SH         DEFINED  1                           99,984
ZHONGPIN INC         COM        98952K10       2,716     226,334 SH         DEFINED  1,2                        226,334
ZIMMER HLDGS INC     COM        98956P10     323,971   8,015,117 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,015,117
ZIONS BANCORPORATION COM        98970110     143,407   5,850,967 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,850,967
ZIX CORP             COM        98974P10          47      39,163 SH         DEFINED  1                           39,163
ZOLL MED CORP        COM        98992210       7,678     406,432 SH         DEFINED  1,2,6                      406,432
ZOLTEK COS INC       COM        98975W10       3,852     428,478 SH         DEFINED  1,2,5,6                    428,478
ZORAN CORP           COM        98975F10       8,046   1,178,068 SH         DEFINED  1,2,5                    1,178,068
ZUMIEZ INC           COM        98981710       2,471     331,634 SH         DEFINED  1,2,6                      331,634
ZYGO CORP            COM        98985510       1,712     247,775 SH         DEFINED  1,2                        247,775
ZYMOGENETICS INC     COM        98985T10       1,771     590,438 SH         DEFINED  1,2,6                      590,438

                     TOTAL
                     MARKET
                     VALUE               387,495,943