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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 9/30/2012
Check here if Amendment [X]; Amendment Number:  1
                                               -------
This Amendment (Check only one.):               [X] is a restatement.
                                                [] adds new holdings entries.

Institutional Investment Manager Filing this Report:


Name:      Nomura Holdings Inc.

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


Form 13F File Number: 001-15270


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

Persons Signing this Report on Behalf of Reporting Manager:

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

Signature,  Place,  and  Date  of  Signing:

/s/ Fernando del Puerto            New York, NY                       11/13/2012
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

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

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

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

List of Other Managers Reporting for this Manager:

13F File Number  Name

28-04983         Nomura Securities International, Inc.
---------------  ---------------------------------------------------------------
28-04985         Nomura International plc
---------------  ---------------------------------------------------------------
28-04979         Nomura Securities Company, Ltd
---------------  ---------------------------------------------------------------
028-13982        Nomura Corporate Research & Asset Management Inc.
---------------  ---------------------------------------------------------------
014-88809        Nomura Funds Research and Technologies America, Inc.
---------------  ---------------------------------------------------------------
011-63653        Nomura Holdings Inc.
---------------  ---------------------------------------------------------------
010-93044        Nomura Securities Bermuda Ltd.
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    7

Form 13F Information Table Entry Total:           3,148

Form 13F Information Table Value Total:  $   20,701,295
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

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

No.   Form 13F File Number  Name

1     28-04983              Nomura Securities International, Inc.
----  --------------------  ----------------------------------------------------
2     28-04985              Nomura International plc
----  --------------------  ----------------------------------------------------
3     28-04979              Nomura Securities Company, Ltd
----  --------------------  ----------------------------------------------------
4     028-13982             Nomura Corporate Research & Asset Management Inc.
----  --------------------  ----------------------------------------------------
5     014-88809             Nomura Funds Research and Technologies America, Inc
----  --------------------  ----------------------------------------------------
6     011-63653             Nomura Holdings Inc.
----  --------------------  ----------------------------------------------------
7     010-93044             Nomura Securities Bermuda Ltd.
----  --------------------  ----------------------------------------------------






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
3D SYSTEMS CORP              CMN              88554D205   188.84285     5697 SH       DEFINED    1               0     5697
3D SYSTEMS CORP              CMN              88554D205   284.34158     8578 SH       DEFINED    2               0     8578
3M CO                        CMN              88579Y101  1288.24577    13942 SH       DEFINED    1               0    13942
3M CO                        CMN              88579Y101  1391.82657    15063 SH       DEFINED    2               0    15063
8X8 INC                      CMN              282914100    11.16333     1700 SH       DEFINED    2               0     1700
8X8 INC                      CMN              282914100    56.47333     8600 SH       DEFINED    1               0     8600
A123 SYSTEMS INC             CNV              03739TAA6       37.53   150000 SH       SOLE       1          150000        0
A123 SYSTEMS INC             CMN              03739T108    22.63434    90465 SH       DEFINED    1               0    90465
A123 SYSTEMS INC             CMN              03739T108     22.9626    91777 SH       DEFINED    2               0    91777
AAR CORP                     CNV              000361AH8 43629.94285  2672000 SH       SOLE       1         2672000        0
AAR CORP                     CNV              000361AK1   506.18571    31000 SH       SOLE       1           31000        0
AAR CORP                     CMN              000361105    89.80714     5500 SH       DEFINED    2               0     5500
AAR CORP                     CMN              000361105   141.20948     8648 SH       DEFINED    1               0     8648
AARON'S INC                  CMN              002535300      6.4078      230 SH       DEFINED    2               0      230
AARON'S INC                  CMN              002535300   342.23224    12284 SH       DEFINED    1               0    12284
ABB LTD-REG                  CMN              000375204  3241.53471   171646 SH       SOLE       2          171646        0
ABBOTT LABORATORIES          CMN              002824100  6040.84137    88025 SH       DEFINED    2               0    88025
ABBOTT LABORATORIES          CMN              002824100 241443.0794  3518223 SH       DEFINED    1               0  3518223
ABERCROMBIE & FITCH CO-CL A  CMN              002896207   154.75721     4560 SH       DEFINED    2               0     4560
ABERCROMBIE & FITCH CO-CL A  CMN              002896207   245.03225     7220 SH       DEFINED    2               0     7220
ABERCROMBIE & FITCH CO-CL A  CMN              002896207 14141.04232   416673 SH       DEFINED    1               0   416673
ABIOMED INC                  CMN              003654100   237.01247    11232 SH       SOLE       1           11232        0
ACADIA PHARMACEUTICALS INC   CMN              004225108   111.83024    44100 SH       SOLE       2           44100        0
ACADIA REALTY TRUST          CMN              004239109     4.98714      200 SH       DEFINED    2               0      200
ACADIA REALTY TRUST          CMN              004239109  1329.07357    53300 SH       DEFINED    1               0    53300
ACCENTURE PLC-CL A           CMN              G1151C101   262.16337     3745 SH       DEFINED    2               0     3745
ACCENTURE PLC-CL A           CMN              G1151C101  1387.96081    19827 SH       DEFINED    1               0    19827
ACCO BRANDS CORP             CMN              00081T108     1.00916      155 SH       DEFINED    2               0      155
ACCO BRANDS CORP             CMN              00081T108   820.34348   125999 SH       DEFINED    1               0   125999
ACCURAY INC                  CMN              004397105   305.71934    44573 SH       SOLE       2           44573        0
ACCURIDE CORP                CMN              00439T206    139.1163    29809 SH       SOLE       1           29809        0
ACCURIDE CORP NEW            COM NEW          00439T206   1555.9507   333895 SH       SOLE       4          222470        0 111425
ACE LTD                      CMN              H0023R105   289.38133     3827 SH       DEFINED    2               0     3827
ACE LTD                      CMN              H0023R105   312.14166     4128 SH       DEFINED    1               0     4128
ACI WORLDWIDE INC            CMN              004498101    25.35323      600 SH       DEFINED    2               0      600
ACI WORLDWIDE INC            CMN              004498101   202.82584     4800 SH       DEFINED    1               0     4800
ACME PACKET INC              CMN              004764106     14.3743      841 SH       DEFINED    2               0      841
ACME PACKET INC              CMN              004764106   170.91923    10000 SH       DEFINED    1               0    10000
ACORN ENERGY INC             CMN              004848107     8.64649      959 SH       DEFINED    2               0      959
ACORN ENERGY INC             CMN              004848107     8.64649      959 SH       DEFINED    2               0      959
ACORN ENERGY INC             CMN              004848107  1933.74861   214476 SH       DEFINED    2               0   214476
ACORN ENERGY INC             CMN              004848107  1933.74861   214476 SH       DEFINED    2               0   214476
ACORN ENERGY INC             CMN              004848107  1803.23076   200000 SH  CALL DEFINED    2               0   200000
ACORN ENERGY INC             CMN              004848107  1803.23076   200000 SH  CALL DEFINED    2               0   200000
ACTIVISION BLIZZARD INC      CMN              00507V109  1088.85205    96243 SH       DEFINED    2               0    96243
ACTIVISION BLIZZARD INC      CMN              00507V109  1738.05872   153626 SH       DEFINED    1               0   153626
ACTUANT CORP-A               CMN              00508X203   252.75928     8803 SH       DEFINED    1               0     8803
ACTUANT CORP-A               CMN              00508X203   387.93941    13511 SH       DEFINED    2               0    13511
ACTUATE CORP                 CMN              00508B102      2.2528      320 SH       DEFINED    2               0      320
ACTUATE CORP                 CMN              00508B102    86.10624    12231 SH       DEFINED    1               0    12231
ACUITY BRANDS INC            CMN              00508Y102     5.09411       80 SH       DEFINED    2               0       80
ACUITY BRANDS INC            CMN              00508Y102    379.0021     5952 SH       DEFINED    1               0     5952
ADOBE SYSTEMS INC            CMN              00724F101    360.2633    11100 SH       DEFINED    1               0    11100
ADOBE SYSTEMS INC            CMN              00724F101   595.27831    18341 SH       DEFINED    2               0    18341
ADTRAN INC                   CMN              00738A106     7.68351      439 SH       DEFINED    2               0      439
ADTRAN INC                   CMN              00738A106   610.70802    34893 SH       DEFINED    1               0    34893
ADVANCE AUTO PARTS INC       CMN              00751Y106     6.62849       97 SH       DEFINED    2               0       97
ADVANCE AUTO PARTS INC       CMN              00751Y106   800.40785    11713 SH       DEFINED    1               0    11713
ADVANCED MICRO DEVICES       CNV              007903AL1 10644.57321  3165000 SH       SOLE       1         3165000        0
ADVANCED MICRO DEVICES       CMN              007903107   367.65985   109318 SH       DEFINED    1               0   109318






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
ADVANCED MICRO DEVICES       CMN              007903107   506.15702   150498 SH       DEFINED    2               0   150498
ADVANCED SEMICONDUCTOR ENGR  CMN              00756M404     0.00373        1 SH       DEFINED    2               0        1
ADVANCED SEMICONDUCTOR ENGR  CMN              00756M404    40.61178    10861 SH       DEFINED    1               0    10861
ADVENTRX PHARMACEUTICALS INC CMN              00764X202    14.79745    20300 SH       SOLE       1           20300        0
AECOM TECHNOLOGY CORP        CMN              00766T100    37.85271     1800 SH       DEFINED    2               0     1800
AECOM TECHNOLOGY CORP        CMN              00766T100   190.56738     9062 SH       DEFINED    1               0     9062
AEP INDUSTRIES INC           CMN              001031103   250.00543     4128 SH       SOLE       1            4128        0
AEROFLEX HOLDING CORP        CMN              007767106    85.84147    12907 SH       SOLE       1           12907        0
AEROPOSTALE INC              CMN              007865108     2.60432      193 SH       DEFINED    2               0      193
AEROPOSTALE INC              CMN              007865108   278.83853    20664 SH       DEFINED    1               0    20664
AES CORP                     CMN              00130H105    50.80789     4621 SH       DEFINED    2               0     4621
AES CORP                     CMN              00130H105  1097.75179    99841 SH       DEFINED    1               0    99841
AETNA INC                    CMN              00817Y108   348.23485     8800 SH       DEFINED    1               0     8800
AETNA INC                    CMN              00817Y108   348.55143     8808 SH       DEFINED    2               0     8808
AFFILIATED MANAGERS GROUP    CNV              008252AL2 78722.06142   639000 SH       SOLE       1          639000        0
AFFYMETRIX INC               CNV              00826TAH1   428.53846   100000 SH       SOLE       1          100000        0
AFLAC INC                    CMN              001055102   282.90312     5916 SH       DEFINED    2               0     5916
AFLAC INC                    CMN              001055102     664.698    13900 SH       DEFINED    1               0    13900
AGCO CORP                    CMN              001084102   103.35001     2197 SH       DEFINED    2               0     2197
AGCO CORP                    CMN              001084102   332.53585     7069 SH       DEFINED    1               0     7069
AGILENT TECHNOLOGIES INC     CMN              00846U101   182.72908     4753 SH       DEFINED    2               0     4753
AGILENT TECHNOLOGIES INC     CMN              00846U101   525.85071    13678 SH       DEFINED    1               0    13678
AGL RESOURCES INC            CMN              001204106   113.13532     2766 SH       DEFINED    2               0     2766
AGL RESOURCES INC            CMN              001204106    395.2783     9664 SH       DEFINED    1               0     9664
AGNICO-EAGLE MINES LTD       CMN              008474108    41.43228      800 SH       DEFINED    1               0      800
AGNICO-EAGLE MINES LTD       CMN              008474108   185.77201     3587 SH       DEFINED    2               0     3587
AIR LEASE CORP               CMN              00912X302    289.7617    14205 SH       SOLE       1           14205        0
AIR METHODS CORP             CMN              009128307    99.70668      856 SH       DEFINED    2               0      856
AIR METHODS CORP             CMN              009128307   285.49191     2451 SH       DEFINED    1               0     2451
AIR PRODUCTS & CHEMICALS INC CMN              009158106   185.49187     2242 SH       DEFINED    2               0     2242
AIR PRODUCTS & CHEMICALS INC CMN              009158106    620.5125     7500 SH       DEFINED    1               0     7500
AIRCASTLE LTD                CMN              G0129K104   246.48254    21746 SH       SOLE       1           21746        0
AIRGAS INC                   CMN              009363102   627.33657     7600 SH       DEFINED    1               0     7600
AIRGAS INC                   CMN              009363102   870.92475    10551 SH       DEFINED    2               0    10551
AIXTRON SE                   CMN              009606104    242.6964    18338 SH       SOLE       2           18338        0
AK STEEL HOLDING CORP        CMN              001547108    45.54342     9300 SH       DEFINED    1               0     9300
AK STEEL HOLDING CORP        CMN              001547108   487.80439    99610 SH       DEFINED    2               0    99610
AKORN INC                    CNV              009728AB2 35525.49875  2687000 SH       SOLE       1         2687000        0
AKORN INC                    CMN              009728106   103.48272     7827 SH       DEFINED    2               0     7827
AKORN INC                    CMN              009728106   135.41204    10242 SH       DEFINED    1               0    10242
ALASKA AIR GROUP INC         CMN              011659109     8.02252      229 SH       DEFINED    2               0      229
ALASKA AIR GROUP INC         CMN              011659109   458.93042    13100 SH       DEFINED    1               0    13100
ALBEMARLE CORP               CMN              012653101    16.99239      322 SH       DEFINED    2               0      322
ALBEMARLE CORP               CMN              012653101   372.83014     7065 SH       DEFINED    1               0     7065
ALCATEL-LUCENT               CNV              549463AH0    19950.21 19000200 SH       SOLE       1        19000200        0
ALCATEL-LUCENT               CMN              013904305    58.54804    53431 SH       DEFINED    1               0    53431
ALCATEL-LUCENT               CMN              013904305   908.41241   829018 SH       DEFINED    2               0   829018
ALCOA INC                    CNV              013817AT8  4339.47499   490000 SH       SOLE       1          490000        0
ALCOA INC                    CMN              013817101  1179.07078   133137 SH       DEFINED    1               0   133137
ALCOA INC                    CMN              013817101  2218.64072   250522 SH       DEFINED    2               0   250522
ALCOA INC                    CMN              013817101  7160.70939   808565 SH       DEFINED    2               0   808565
ALERE INC                    CMN              01449J105      9.7691      500 SH       DEFINED    2               0      500
ALERE INC                    CMN              01449J105  9643.80857   493587 SH       DEFINED    1               0   493587
ALERIAN MLP ETF              CMN              00162Q866  2563.82211   156250 SH       SOLE       2          156250        0
ALEXCO RESOURCE CORP         CMN              01535P106   347.41991    75550 SH       SOLE       2           75550        0
ALEXION PHARMACEUTICALS INC  CMN              015351109   240.01303     2100 SH       DEFINED    1               0     2100
ALEXION PHARMACEUTICALS INC  CMN              015351109  1152.51975    10084 SH       DEFINED    2               0    10084
ALEXZA PHARMACEUTICALS INC   CMN              015384209  1059.85009   246345 SH       SOLE       2          246345        0
ALKERMES PLC                 CMN              G01767105     6.30444      310 SH       DEFINED    2               0      310
ALKERMES PLC                 CMN              G01767105     338.081    16624 SH       DEFINED    1               0    16624






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
ALLEGHENY TECHNOLOGIES INC   CNV              01741RAD4  1256.85857    39000 SH       SOLE       1           39000        0
ALLERGAN INC                 CMN              018490102   566.72298     6198 SH       DEFINED    2               0     6198
ALLERGAN INC                 CMN              018490102   594.33678     6500 SH       DEFINED    1               0     6500
ALLIANCE DATA SYSTEMS CORP   CMN              018581108     0.71039        5 SH       DEFINED    2               0        5
ALLIANCE DATA SYSTEMS CORP   CMN              018581108   778.44789     5479 SH       DEFINED    1               0     5479
ALLIANT ENERGY CORP          CMN              018802108      9.0376      208 SH       DEFINED    2               0      208
ALLIANT ENERGY CORP          CMN              018802108    762.6344    17552 SH       DEFINED    1               0    17552
ALLIANT TECHSYSTEMS INC      CMN              018804104   155.68095     3109 SH       DEFINED    2               0     3109
ALLIANT TECHSYSTEMS INC      CMN              018804104    190.6328     3807 SH       DEFINED    1               0     3807
ALLSCRIPTS HEALTHCARE SOLUTI CMN              01988P108     2.48985      200 SH       DEFINED    2               0      200
ALLSCRIPTS HEALTHCARE SOLUTI CMN              01988P108  5896.56683   473647 SH       DEFINED    1               0   473647
ALLSTATE CORP                CMN              020002101   260.97706     6602 SH       DEFINED    2               0     6602
ALLSTATE CORP                CMN              020002101   828.70692    20964 SH       DEFINED    1               0    20964
ALON USA ENERGY INC          CMN              020520102    48.70329     3605 SH       DEFINED    2               0     3605
ALON USA ENERGY INC          CMN              020520102   151.40576    11207 SH       DEFINED    1               0    11207
ALPHA NATURAL RESOURCES INC  CMN              02076X102    259.8658    39474 SH       DEFINED    1               0    39474
ALPHA NATURAL RESOURCES INC  CMN              02076X102   428.66599    65115 SH       DEFINED    2               0    65115
ALPINE TOTAL DYNAMIC DIVIDEN CMN              021060108    22.86323     5161 SH       DEFINED    2               0     5161
ALPINE TOTAL DYNAMIC DIVIDEN CMN              021060108    46.15617    10419 SH       DEFINED    1               0    10419
ALTAIR NANOTECHNOLOGIES INC  CMN              021373204     4.40226     5949 SH       SOLE       2            5949        0
ALTERA CORP                  CMN              021441100  1575.88226    46358 SH       DEFINED    1               0    46358
ALTERA CORP                  CMN              021441100  3835.71877   112836 SH       DEFINED    2               0   112836
ALTISOURCE PORTFOLIO SOL     CMN              L0175J104    98.31711     1141 SH       DEFINED    1               0     1141
ALTISOURCE PORTFOLIO SOL     CMN              L0175J104   203.78613     2365 SH       DEFINED    2               0     2365
ALTRIA GROUP INC             CMN              02209S103    809.1793    24197 SH       DEFINED    2               0    24197
ALTRIA GROUP INC             CMN              02209S103  1595.65197    47715 SH       DEFINED    1               0    47715
ALUMINA LTD                  CMN              022205108       4.446     1300 SH       DEFINED    1               0     1300
ALUMINA LTD                  CMN              022205108      52.839    15450 SH       DEFINED    2               0    15450
ALUMINUM CORP OF CHINA LTD-H CMN              022276109   128.19515    12655 SH       SOLE       2           12655        0
ALVARION LTD                 CMN              M0861T100     5.22094    10600 SH       SOLE       2           10600        0
AMAZON.COM INC               CMN              023135106    235.4761      926 SH       DEFINED    2               0      926
AMAZON.COM INC               CMN              023135106  1133.89625     4459 SH       DEFINED    2               0     4459
AMAZON.COM INC               CMN              023135106  1407.77073     5536 SH       DEFINED    1               0     5536
AMAZON.COM INC               CMN              023135106     2.54293       10 SH  PUT  DEFINED    1               0       10
AMEDISYS INC                 CMN              023436108    55.16916     4000 SH       DEFINED    2               0     4000
AMEDISYS INC                 CMN              023436108    94.72546     6868 SH       DEFINED    1               0     6868
AMEREN CORPORATION           CMN              023608102   234.01636     7161 SH       DEFINED    2               0     7161
AMEREN CORPORATION           CMN              023608102   844.62881    25846 SH       DEFINED    1               0    25846
AMERESCO INC-CL A            CMN              02361E108   120.70277    10174 SH       SOLE       1           10174        0
AMERICA MOVIL SAB DE C-SER L CMN              02364W105      15.264      600 SH       DEFINED    2               0      600
AMERICA MOVIL SAB DE C-SER L CMN              02364W105     312.912    12300 SH       DEFINED    1               0    12300
AMERICAN CAPITAL AGENCY CORP CMN              02503X105      20.769      600 SH       DEFINED    1               0      600
AMERICAN CAPITAL AGENCY CORP CMN              02503X105 40205.84172  1161515 SH       DEFINED    2               0  1161515
AMERICAN CAPITAL LTD         CMN              02503Y103    26.11485     2300 SH       DEFINED    2               0     2300
AMERICAN CAPITAL LTD         CMN              02503Y103  9568.25657   842700 SH       DEFINED    1               0   842700
AMERICAN CAPITAL MORTGAGE IN CMN              02504A104   389.27604    15500 SH       SOLE       2           15500        0
AMERICAN EAGLE OUTFITTERS    CMN              02553E106   295.98629    14053 SH       DEFINED    2               0    14053
AMERICAN EAGLE OUTFITTERS    CMN              02553E106   381.33009    18105 SH       DEFINED    1               0    18105
AMERICAN ELECTRIC POWER      CMN              025537101   258.09142     5867 SH       DEFINED    1               0     5867
AMERICAN ELECTRIC POWER      CMN              025537101   294.99933     6706 SH       DEFINED    2               0     6706
AMERICAN EQUITY INVT LIFE HL CMN              025676206    200.3403    17200 SH       SOLE       1           17200        0
AMERICAN EXPRESS CO          CMN              025816109   988.40748    17387 SH       DEFINED    1               0    17387
AMERICAN EXPRESS CO          CMN              025816109  2383.27459    41924 SH       DEFINED    2               0    41924
AMERICAN FINANCIAL GROUP INC CMN              025932104    22.66377      598 SH       DEFINED    2               0      598
AMERICAN FINANCIAL GROUP INC CMN              025932104  3129.30612    82569 SH       DEFINED    1               0    82569
AMERICAN INTERNATIONAL GROUP CMN              026874784  1558.58122    47526 SH       DEFINED    2               0    47526
AMERICAN INTERNATIONAL GROUP CMN              026874784  1707.82801    52077 SH       DEFINED    1               0    52077
AMERICAN REALTY CAPITAL TRUS CMN              02917L101    15.74053     1340 SH       DEFINED    2               0     1340
AMERICAN REALTY CAPITAL TRUS CMN              02917L101   133.07798    11329 SH       DEFINED    1               0    11329
AMERICAN SUPERCONDUCTOR CORP CMN              030111108    13.85806     3344 SH       DEFINED    2               0     3344






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
AMERICAN SUPERCONDUCTOR CORP CMN              030111108   146.72392    35405 SH       DEFINED    1               0    35405
AMERICAN TOWER CORP          CMN              03027X100   313.35385     4400 SH       DEFINED    1               0     4400
AMERICAN TOWER CORP          CMN              03027X100     1318.65    18516 SH       DEFINED    2               0    18516
AMERICAN WATER WORKS CO INC  CMN              030420103   119.16506     3220 SH       DEFINED    2               0     3220
AMERICAN WATER WORKS CO INC  CMN              030420103   624.02528    16862 SH       DEFINED    1               0    16862
AMERIGROUP CORP              CMN              03073T102 16562.83566   181173 SH       SOLE       1          181173        0
AMERIPRISE FINANCIAL INC     CMN              03076C106    64.77864     1141 SH       DEFINED    2               0     1141
AMERIPRISE FINANCIAL INC     CMN              03076C106   12675.154   223258 SH       DEFINED    1               0   223258
AMERISOURCEBERGEN CORP       CMN              03073E105   230.26885     5960 SH       DEFINED    2               0     5960
AMERISOURCEBERGEN CORP       CMN              03073E105   471.35571    12200 SH       DEFINED    1               0    12200
AMETEK INC                   CMN              031100100    85.83188     2426 SH       DEFINED    2               0     2426
AMETEK INC                   CMN              031100100     578.463    16350 SH       DEFINED    1               0    16350
AMGEN INC                    CMN              031162100   945.53985    11234 SH       DEFINED    2               0    11234
AMGEN INC                    CMN              031162100   945.53985    11234 SH       DEFINED    2               0    11234
AMGEN INC                    CMN              031162100   1056.6412    12554 SH       DEFINED    1               0    12554
AMGEN INC                    CMN              031162100   1056.6412    12554 SH       DEFINED    1               0    12554
AMGEN INC                    CMN              031162100 15150.18461   180000 SH  CALL DEFINED    2               0   180000
AMGEN INC                    CMN              031162100 15150.18461   180000 SH  CALL DEFINED    2               0   180000
AMICUS THERAPEUTICS INC      CMN              03152W109    95.02751    18616 SH       SOLE       1           18616        0
AMKOR TECHNOLOGY INC         CMN              031652100    44.70064    10088 SH       DEFINED    2               0    10088
AMKOR TECHNOLOGY INC         CMN              031652100   150.80265    34033 SH       DEFINED    1               0    34033
AMPHENOL CORP-CL A           CMN              032095101   241.53392     4100 SH       DEFINED    1               0     4100
AMPHENOL CORP-CL A           CMN              032095101   550.75626     9349 SH       DEFINED    2               0     9349
AMSURG CORP                  CMN              03232P405    219.4596     7715 SH       SOLE       1            7715        0
AMTRUST FINANCIAL SERVICES   CMN              032359309    29.10384     1136 SH       DEFINED    2               0     1136
AMTRUST FINANCIAL SERVICES   CMN              032359309   175.46852     6849 SH       DEFINED    1               0     6849
ANADARKO PETROLEUM CORP      CMN              032511107   524.12701     7501 SH       DEFINED    2               0     7501
ANADARKO PETROLEUM CORP      CMN              032511107  1195.47915    17109 SH       DEFINED    1               0    17109
ANALOG DEVICES INC           CMN              032654105   107.14409     2730 SH       DEFINED    2               0     2730
ANALOG DEVICES INC           CMN              032654105   745.69153    19000 SH       DEFINED    1               0    19000
ANALOGIC CORP                CMN              032657207    15.48923      200 SH       DEFINED    2               0      200
ANALOGIC CORP                CMN              032657207   215.84243     2787 SH       DEFINED    1               0     2787
ANCESTRY.COM INC             CMN              032803108   566.90651    18778 SH       DEFINED    1               0    18778
ANCESTRY.COM INC             CMN              032803108  1240.50425    41090 SH       DEFINED    2               0    41090
ANGLOGOLD ASHANTI LTD        CMN              035128206   229.19323     6555 SH       DEFINED    2               0     6555
ANGLOGOLD ASHANTI LTD        CMN              035128206    527.9661    15100 SH       DEFINED    1               0    15100
ANHEUSER-BUSCH INBEV NV      CMN              03524A108  1949.73479    22680 SH       SOLE       2           22680        0
ANIXTER INTERNATIONAL INC    CNV              035290AJ4 406611.4614  7077000 SH       SOLE       1         7077000        0
ANNALY CAPITAL MANAGEMENT IN CNV              035710AA0   202.12714    12000 SH       SOLE       1           12000        0
ANNALY CAPITAL MANAGEMENT IN CNV              035710AB8  1010.63571    60000 SH       SOLE       1           60000        0
ANNALY CAPITAL MANAGEMENT IN CMN              035710409   862.62811    51213 SH       DEFINED    1               0    51213
ANNALY CAPITAL MANAGEMENT IN CMN              035710409  2991.71752   177614 SH       DEFINED    2               0   177614
ANTARES PHARMA INC           CMN              036642106    46.34596    10900 SH       SOLE       2           10900        0
ANTHERA PHARMACEUTICALS INC  CMN              03674U102      0.6965      700 SH       DEFINED    1               0      700
ANTHERA PHARMACEUTICALS INC  CMN              03674U102    46.31725    46550 SH       DEFINED    2               0    46550
AON PLC                      CMN              G0408V102    91.44874     1750 SH       DEFINED    2               0     1750
AON PLC                      CMN              G0408V102   161.99492     3100 SH       DEFINED    1               0     3100
AON PLC                      CMN              G0408V102 12405.88516   237404 SH       DEFINED    2               0   237404
APACHE CORP                  CMN              037411105   974.87984    11281 SH       DEFINED    1               0    11281
APACHE CORP                  CMN              037411105  2296.38171    26573 SH       DEFINED    2               0    26573
APOLLO COMMERCIAL REAL ESTAT CMN              03762U105   349.12153    20100 SH       SOLE       1           20100        0
APOLLO GLOBAL MANAGEMENT - A CMN              037612306   186.98951    12792 SH       SOLE       1           12792        0
APOLLO GROUP INC-CL A        CMN              037604105   430.18626    14823 SH       DEFINED    2               0    14823
APOLLO GROUP INC-CL A        CMN              037604105   769.36098    26510 SH       DEFINED    1               0    26510
APOLLO INVESTMENT CORP       CMN              03761U106   280.80412    35642 SH       SOLE       1           35642        0
APOLLO RESIDENTIAL MORTGAGE  CMN              03763V102   217.54262     9859 SH       SOLE       2            9859        0
APPLE INC                    CMN              037833100    45.40328       68 SH       DEFINED    2               0       68
APPLE INC                    CMN              037833100  79899.1005   119664 SH       DEFINED    2               0   119664
APPLE INC                    CMN              037833100 257461.3372   385597 SH       DEFINED    1               0   385597
APPLIED MATERIALS INC        CMN              038222105   202.50468    18145 SH       DEFINED    2               0    18145






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
APPLIED MATERIALS INC        CMN              038222105   602.65928    54000 SH       DEFINED    1               0    54000
APPROACH RESOURCES INC       CMN              03834A103   440.59806    14620 SH       SOLE       1           14620        0
APTARGROUP INC               CMN              038336103   242.00639     4680 SH       SOLE       1            4680        0
ARCELORMITTAL                CMN              03938L104   127.46033     8800 SH       DEFINED    1               0     8800
ARCELORMITTAL                CMN              03938L104   919.16279    63460 SH       DEFINED    2               0    63460
ARCH COAL INC                CMN              039380100    210.1363    32784 SH       DEFINED    1               0    32784
ARCH COAL INC                CMN              039380100   236.99944    36975 SH       DEFINED    2               0    36975
ARCHER-DANIELS-MIDLAND CO    CNV              039483AW2 45478.35912  1674000 SH       SOLE       1         1674000        0
ARCHER-DANIELS-MIDLAND CO    CMN              039483102   694.23774    25554 SH       DEFINED    2               0    25554
ARCHER-DANIELS-MIDLAND CO    CMN              039483102   694.23774    25554 SH       DEFINED    2               0    25554
ARCHER-DANIELS-MIDLAND CO    CMN              039483102  1453.29709    53494 SH       DEFINED    1               0    53494
ARCHER-DANIELS-MIDLAND CO    CMN              039483102  1453.29709    53494 SH       DEFINED    1               0    53494
ARCHER-DANIELS-MIDLAND CO    CMN              039483102   271.67478    10000 SH  PUT  DEFINED    2               0    10000
ARCHER-DANIELS-MIDLAND CO    CMN              039483102   271.67478    10000 SH  PUT  DEFINED    2               0    10000
ARCHER-DANIELS-MIDLAND CO    CMN              039483102   171.15511     6300 SH  CALL DEFINED    2               0     6300
ARCHER-DANIELS-MIDLAND CO    CMN              039483102   171.15511     6300 SH  CALL DEFINED    2               0     6300
ARCTIC CAT INC               CMN              039670104     3.83367       93 SH       DEFINED    2               0       93
ARCTIC CAT INC               CMN              039670104   255.70192     6203 SH       DEFINED    1               0     6203
ARENA PHARMACEUTICALS INC    CMN              040047102     80.4128     9665 SH       DEFINED    2               0     9665
ARENA PHARMACEUTICALS INC    CMN              040047102   491.73696    59103 SH       DEFINED    1               0    59103
ARIBA INC                    CMN              04033V203  6805.33973   151772 SH       DEFINED    1               0   151772
ARIBA INC                    CMN              04033V203  8184.23575   182524 SH       DEFINED    2               0   182524
ARKANSAS BEST CORP           CMN              040790107    43.32191     4867 SH       DEFINED    2               0     4867
ARKANSAS BEST CORP           CMN              040790107   272.95388    30665 SH       DEFINED    1               0    30665
ARM HOLDINGS PLC             CMN              042068106    66.67634     2383 SH       DEFINED    2               0     2383
ARM HOLDINGS PLC             CMN              042068106      881.37    31500 SH       DEFINED    1               0    31500
ARMOUR RESIDENTIAL REIT INC  CMN              042315101   106.37776    13900 SH       DEFINED    1               0    13900
ARMOUR RESIDENTIAL REIT INC  CMN              042315101 20888.49948  2729425 SH       DEFINED    2               0  2729425
ARQULE INC                   CMN              04269E107    225.4601    42707 SH       SOLE       1           42707        0
ARRAY BIOPHARMA INC          CMN              04269X105     1.75006      310 SH       DEFINED    2               0      310
ARRAY BIOPHARMA INC          CMN              04269X105    79.01844    13997 SH       DEFINED    1               0    13997
ARRIS GROUP INC              CMN              04269Q100   153.54121    12069 SH       SOLE       1           12069        0
ARRIS GROUP INC              CNV              04269QAC4    966.8682    76000 SH       SOLE       1           76000        0
ARROWHEAD RESEARCH CORP      CMN              042797209   159.98014    59360 SH       SOLE       2           59360        0
ARTHUR J GALLAGHER & CO      CMN              363576109     5.05246      141 SH       DEFINED    2               0      141
ARTHUR J GALLAGHER & CO      CMN              363576109   462.96335    12920 SH       DEFINED    1               0    12920
ARTIO GLOBAL INVESTORS INC   CMN              04315B107   145.59281    48587 SH       SOLE       1           48587        0
ARUBA NETWORKS INC           CMN              043176106     17.9883      800 SH       DEFINED    2               0      800
ARUBA NETWORKS INC           CMN              043176106   345.82509    15380 SH       DEFINED    1               0    15380
ASCENA RETAIL GROUP INC      CMN              04351G101    53.32128     2487 SH       DEFINED    2               0     2487
ASCENA RETAIL GROUP INC      CMN              04351G101    1614.432    75300 SH       DEFINED    1               0    75300
ASHLAND INC                  CMN              044209104    55.95084      781 SH       DEFINED    2               0      781
ASHLAND INC                  CMN              044209104  1819.65618    25400 SH       DEFINED    1               0    25400
ASML HOLDING NV              CMN              N07059186  2974.58675    55147 SH       SOLE       2           55147        0
ASPEN INSURANCE HOLDINGS LTD CMN              G05384105   760.45342    24948 SH       SOLE       1           24948        0
ASSOCIATED BANC-CORP         CMN              045487105      0.3818       29 SH       DEFINED    2               0       29
ASSOCIATED BANC-CORP         CMN              045487105   169.83842    12900 SH       DEFINED    1               0    12900
ASSOCIATED BANC-CORP         CMN              045487105   241.35488    18332 SH       DEFINED    2               0    18332
ASSURANT INC                 CMN              04621X108    16.51567      443 SH       DEFINED    2               0      443
ASSURANT INC                 CMN              04621X108   315.55001     8464 SH       DEFINED    1               0     8464
ASSURED GUARANTY LTD         CMN              G0585R106    27.28357     2000 SH       DEFINED    2               0     2000
ASSURED GUARANTY LTD         CMN              G0585R106   159.03593    11658 SH       DEFINED    1               0    11658
ASTRAZENECA PLC              CMN              046353108    13.40381      280 SH       DEFINED    2               0      280
ASTRAZENECA PLC              CMN              046353108   339.88246     7100 SH       DEFINED    1               0     7100
AT&T INC                     CMN              00206R102  1833.51801    48593 SH       DEFINED    2               0    48593
AT&T INC                     CMN              00206R102  2213.97121    58676 SH       DEFINED    1               0    58676
ATHENAHEALTH INC             CMN              04685W103    58.08501      632 SH       DEFINED    2               0      632
ATHENAHEALTH INC             CMN              04685W103   174.62266     1900 SH       DEFINED    1               0     1900
ATLAS ENERGY LP              CMN              04930A104   206.52684     5989 SH       SOLE       1            5989        0
ATMEL CORP                   CMN              049513104     5.00052      890 SH       DEFINED    2               0      890






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
ATMEL CORP                   CMN              049513104   175.69272    31270 SH       DEFINED    1               0    31270
ATMOS ENERGY CORP            CMN              049560105     4.29447      120 SH       DEFINED    2               0      120
ATMOS ENERGY CORP            CMN              049560105   218.37415     6102 SH       DEFINED    1               0     6102
ATWOOD OCEANICS INC          CMN              050095108    70.61038     1551 SH       DEFINED    2               0     1551
ATWOOD OCEANICS INC          CMN              050095108   774.62002    17015 SH       DEFINED    1               0    17015
AU OPTRONICS CORP            CMN              002255107     8.49514     2400 SH       DEFINED    2               0     2400
AU OPTRONICS CORP            CMN              002255107    31.15239     8801 SH       DEFINED    1               0     8801
AUDIENCE INC                 CMN              05070J102    93.73139    15120 SH       SOLE       2           15120        0
AUTHENTEC INC                CMN              052660107      1.6035      200 SH       DEFINED    2               0      200
AUTHENTEC INC                CMN              052660107   803.55393   100225 SH       DEFINED    1               0   100225
AUTODESK INC                 CMN              052769106   148.45624     4460 SH       DEFINED    1               0     4460
AUTODESK INC                 CMN              052769106   724.10699    21754 SH       DEFINED    2               0    21754
AUTOLIV INC                  CMN              052800109      0.6193       10 SH       DEFINED    2               0       10
AUTOLIV INC                  CMN              052800109     229.141     3700 SH       DEFINED    1               0     3700
AUTOMATIC DATA PROCESSING    CMN              053015103   189.91727     3237 SH       DEFINED    2               0     3237
AUTOMATIC DATA PROCESSING    CMN              053015103   674.71384    11500 SH       DEFINED    1               0    11500
AUTOZONE INC                 CMN              053332102   284.15923      768 SH       DEFINED    2               0      768
AUTOZONE INC                 CMN              053332102  4373.75817    11821 SH       DEFINED    1               0    11821
AUXILIUM PHARMACEUTICALS INC CMN              05334D107    34.10811     1400 SH       DEFINED    2               0     1400
AUXILIUM PHARMACEUTICALS INC CMN              05334D107   419.09126    17202 SH       DEFINED    1               0    17202
AVAGO TECHNOLOGIES LTD       CMN              Y0486S104    59.27115     1700 SH       DEFINED    2               0     1700
AVAGO TECHNOLOGIES LTD       CMN              Y0486S104   658.95576    18900 SH       DEFINED    1               0    18900
AVALONBAY COMMUNITIES INC    CMN              053484101   246.38032     1806 SH       DEFINED    2               0     1806
AVALONBAY COMMUNITIES INC    CMN              053484101   272.84642     2000 SH       DEFINED    1               0     2000
AVID TECHNOLOGY INC          CMN              05367P100    83.72669     8840 SH       DEFINED    2               0     8840
AVID TECHNOLOGY INC          CMN              05367P100   186.58551    19700 SH       DEFINED    1               0    19700
AVIS BUDGET GROUP INC        CMN              053774105     0.32305       21 SH       DEFINED    2               0       21
AVIS BUDGET GROUP INC        CMN              053774105   357.63471    23248 SH       DEFINED    1               0    23248
AVISTA CORP                  CMN              05379B107    20.59046      800 SH       DEFINED    2               0      800
AVISTA CORP                  CMN              05379B107    456.0015    17717 SH       DEFINED    1               0    17717
AVNET INC                    CMN              053807103   147.68191     5078 SH       DEFINED    2               0     5078
AVNET INC                    CMN              053807103   191.94576     6600 SH       DEFINED    1               0     6600
AVON PRODUCTS INC            CMN              054303102   169.84246    10647 SH       DEFINED    1               0    10647
AVON PRODUCTS INC            CMN              054303102   545.13257    34173 SH       DEFINED    2               0    34173
AXIS CAPITAL HOLDINGS LTD    CMN              G0692U109 12566.04548   360011 SH       SOLE       1          360011        0
BABCOCK & WILCOX CO/THE      CMN              05615F102   690.56349    27112 SH       SOLE       1           27112        0
BAKER HUGHES INC             CMN              057224107   275.09216     6053 SH       DEFINED    1               0     6053
BAKER HUGHES INC             CMN              057224107  1195.03525    26295 SH       DEFINED    2               0    26295
BAKER HUGHES INC             CMN              057224107    34.08543      750 SH  PUT  DEFINED    1               0      750
BALL CORP                    CMN              058498106    142.8904     3370 SH       DEFINED    2               0     3370
BALL CORP                    CMN              058498106   517.28871    12200 SH       DEFINED    1               0    12200
BANCO BRADESCO SA-PREF       CMN              059460303     3.45382      215 SH       DEFINED    2               0      215
BANCO BRADESCO SA-PREF       CMN              059460303   234.92411    14624 SH       DEFINED    2               0    14624
BANCO BRADESCO SA-PREF       CMN              059460303   918.47553    57175 SH       DEFINED    1               0    57175
BANCO SANTANDER BRASIL-UNIT  CMN              05967A107   113.87749    15400 SH       DEFINED    1               0    15400
BANCO SANTANDER BRASIL-UNIT  CMN              05967A107   248.68923    33631 SH       DEFINED    2               0    33631
BANCO SANTANDER BRASIL-UNIT  CMN              05967A107  1597.28722   216006 SH       DEFINED    2               0   216006
BANCO SANTANDER CHILE        CMN              05965X109     3.68707       50 SH       DEFINED    2               0       50
BANCO SANTANDER CHILE        CMN              05965X109   376.08128     5100 SH       DEFINED    1               0     5100
BANCO SANTANDER SA           CMN              05964H105   160.29776    21422 SH       DEFINED    1               0    21422
BANCO SANTANDER SA           CMN              05964H105   322.36148    43080 SH       DEFINED    2               0    43080
BANCOLOMBIA SA-PREF          CMN              05968L102     5.96953      100 SH       DEFINED    1               0      100
BANCOLOMBIA SA-PREF          CMN              05968L102   200.87496     3365 SH       DEFINED    2               0     3365
BANK OF AMERICA CORP         CMN              060505153   362.28034   510254 SH       SOLE       1          510254        0
BANK OF AMERICA CORP         CMN              060505104 11022.12929  1202778 SH       DEFINED    2               0  1202778
BANK OF AMERICA CORP         CMN              060505104 11022.12929  1202778 SH       DEFINED    2               0  1202778
BANK OF AMERICA CORP         CMN              060505104 16148.80527  1762221 SH       DEFINED    1               0  1762221
BANK OF AMERICA CORP         CMN              060505104 16148.80527  1762221 SH       DEFINED    1               0  1762221
BANK OF AMERICA CORP         CMN              060505104 45518.35945  4967142 SH       DEFINED    2               0  4967142
BANK OF AMERICA CORP         CMN              060505104 45518.35945  4967142 SH       DEFINED    2               0  4967142






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
BANK OF AMERICA CORP         CMN              060505104 226338.0667 24698898 SH       DEFINED    7               0 24698898
BANK OF AMERICA CORP         CMN              060505104 226338.0667 24698898 SH       DEFINED    7               0 24698898
BANK OF AMERICA CORP         CMN              060505104    95.71686    10445 SH  PUT  DEFINED    1               0    10445
BANK OF AMERICA CORP         CMN              060505104    95.71686    10445 SH  PUT  DEFINED    1               0    10445
BANK OF AMERICA CORP         CMN              060505104     0.01832        2 SH  CALL DEFINED    2               0        2
BANK OF AMERICA CORP         CMN              060505104     0.01832        2 SH  CALL DEFINED    2               0        2
BANK OF AMERICA CORP         CMN              060505104    51.98676     5673 SH  CALL DEFINED    1               0     5673
BANK OF AMERICA CORP         CMN              060505104    51.98676     5673 SH  CALL DEFINED    1               0     5673
BANK OF HAWAII CORP          CMN              062540109     8.72447      191 SH       DEFINED    2               0      191
BANK OF HAWAII CORP          CMN              062540109   239.12358     5235 SH       DEFINED    2               0     5235
BANK OF HAWAII CORP          CMN              062540109   347.15171     7600 SH       DEFINED    1               0     7600
BANK OF IRELAND              CMN              46267Q202    94.05528    17039 SH       SOLE       2           17039        0
BANK OF NEW YORK MELLON CORP CMN              064058100   218.67866     9662 SH       DEFINED    2               0     9662
BANK OF NEW YORK MELLON CORP CMN              064058100   243.98219    10780 SH       DEFINED    2               0    10780
BANK OF NEW YORK MELLON CORP CMN              064058100   557.10777    24615 SH       DEFINED    1               0    24615
BANKUNITED INC               CMN              06652K103   432.87244    17578 SH       SOLE       1           17578        0
BARCLAYS PLC                 CMN              06738E204       1.387      100 SH       DEFINED    1               0      100
BARCLAYS PLC                 CMN              06738E204    463.5354    33420 SH       DEFINED    2               0    33420
BARNES & NOBLE INC           CMN              067774109    63.72857     5000 SH       DEFINED    2               0     5000
BARNES & NOBLE INC           CMN              067774109  1956.26321   153484 SH       DEFINED    1               0   153484
BARNES GROUP INC             CMN              067806109   255.75347    10248 SH       SOLE       1           10248        0
BARRICK GOLD CORP            CMN              067901108   392.42985     9400 SH       DEFINED    1               0     9400
BARRICK GOLD CORP            CMN              067901108   3566.0602    85419 SH       DEFINED    2               0    85419
BARRICK GOLD CORP            CMN              067901108     4.17478      100 SH  PUT  DEFINED    1               0      100
BASIC ENERGY SERVICES INC    CMN              06985P100    77.43925     6850 SH       DEFINED    2               0     6850
BASIC ENERGY SERVICES INC    CMN              06985P100   212.96359    18838 SH       DEFINED    1               0    18838
BAXTER INTERNATIONAL INC     CMN              071813109   608.83707    10105 SH       DEFINED    1               0    10105
BAXTER INTERNATIONAL INC     CMN              071813109   792.90409    13160 SH       DEFINED    2               0    13160
BB&T CORP                    CMN              054937107   124.57055     3757 SH       DEFINED    2               0     3757
BB&T CORP                    CMN              054937107   248.24588     7487 SH       DEFINED    2               0     7487
BB&T CORP                    CMN              054937107   407.83015    12300 SH       DEFINED    1               0    12300
BEAM INC                     CMN              073730103   209.92371     3600 SH       DEFINED    1               0     3600
BEAM INC                     CMN              073730103   212.95594     3652 SH       DEFINED    2               0     3652
BEAZER HOMES USA INC         CMN              07556Q105    76.40799    21375 SH       DEFINED    2               0    21375
BEAZER HOMES USA INC         CMN              07556Q105   163.92239    45857 SH       DEFINED    1               0    45857
BEBE STORES INC              CMN              075571109    76.21816    15534 SH       SOLE       1           15534        0
BECTON DICKINSON AND CO      CMN              075887109   570.05511     7253 SH       DEFINED    2               0     7253
BECTON DICKINSON AND CO      CMN              075887109   738.48584     9396 SH       DEFINED    1               0     9396
BED BATH & BEYOND INC        CMN              075896100   599.78811     9448 SH       DEFINED    2               0     9448
BED BATH & BEYOND INC        CMN              075896100   650.76502    10251 SH       DEFINED    1               0    10251
BENCHMARK ELECTRONICS INC    CMN              08160H101    53.28778     3484 SH       DEFINED    2               0     3484
BENCHMARK ELECTRONICS INC    CMN              08160H101   190.33098    12444 SH       DEFINED    1               0    12444
BERKSHIRE HATHAWAY INC-CL A  CMN              084670108  9094.15457       69 SH       SOLE       2              69        0
BERKSHIRE HATHAWAY INC-CL B  CMN              084670702   585.86142     6640 SH       DEFINED    1               0     6640
BERKSHIRE HATHAWAY INC-CL B  CMN              084670702  9456.98576   107183 SH       DEFINED    2               0   107183
BEST BUY CO INC              CMN              086516101  1299.24568    75303 SH       DEFINED    2               0    75303
BEST BUY CO INC              CMN              086516101  2452.40538   142139 SH       DEFINED    1               0   142139
BGC PARTNERS INC-CL A        CMN              05541T101     5.01038     1000 SH       DEFINED    2               0     1000
BGC PARTNERS INC-CL A        CMN              05541T101   241.78111    48256 SH       DEFINED    1               0    48256
BHP BILLITON LTD             CMN              088606108    175.6416     2560 SH       DEFINED    2               0     2560
BHP BILLITON LTD             CMN              088606108  2331.02475    33975 SH       DEFINED    1               0    33975
BHP BILLITON PLC             CMN              05545E209      387.19     6200 SH       DEFINED    1               0     6200
BHP BILLITON PLC             CMN              05545E209  4011.60065    64237 SH       DEFINED    2               0    64237
BIOCRYST PHARMACEUTICALS INC CMN              09058V103    95.21249    22500 SH       SOLE       2           22500        0
BIOGEN IDEC INC              CMN              09062X103  1576.00613    10552 SH       DEFINED    2               0    10552
BIOGEN IDEC INC              CMN              09062X103   2115.3312    14163 SH       DEFINED    1               0    14163
BIOMARIN PHARMACEUTICAL INC  CNV              09061GAD3 268802.0486  6813000 SH       SOLE       1         6813000        0
BIOMARIN PHARMACEUTICAL INC  CMN              09061G101    508.2501    12882 SH       DEFINED    2               0    12882
BIOMARIN PHARMACEUTICAL INC  CMN              09061G101   781.31321    19803 SH       DEFINED    1               0    19803
BIOSCRIP INC                 CMN              09069N108   103.69475    11369 SH       SOLE       1           11369        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
BIOTIME INC                  CMN              09066L105    39.18714     9185 SH       DEFINED    1               0     9185
BIOTIME INC                  CMN              09066L105    58.10022    13618 SH       DEFINED    2               0    13618
BLACKROCK ENHANCED EQUITY DI CMN              09251A104   130.61459    17307 SH       SOLE       1           17307        0
BLACKROCK INC                CMN              09247X101   337.64255     1889 SH       DEFINED    2               0     1889
BLACKROCK INC                CMN              09247X101  3341.39226    18694 SH       DEFINED    1               0    18694
BLUCORA INC                  CMN              095229100    23.21844     1350 SH       DEFINED    2               0     1350
BLUCORA INC                  CMN              095229100    201.2093    11699 SH       DEFINED    1               0    11699
BMC SOFTWARE INC             CMN              055921100    73.79909     1774 SH       DEFINED    2               0     1774
BMC SOFTWARE INC             CMN              055921100   624.67149    15016 SH       DEFINED    1               0    15016
BOEING CO/THE                CMN              097023105  2614.38959    37957 SH       DEFINED    2               0    37957
BOEING CO/THE                CMN              097023105  2631.12686    38200 SH       DEFINED    1               0    38200
BOISE INC                    CMN              09746Y105     9.40897     1073 SH       DEFINED    2               0     1073
BOISE INC                    CMN              09746Y105   201.52562    22982 SH       DEFINED    1               0    22982
BOK FINANCIAL CORPORATION    CMN              05561Q201    716.6588    12155 SH       SOLE       1           12155        0
BORGWARNER INC               CMN              099724106   181.03648     2611 SH       DEFINED    1               0     2611
BORGWARNER INC               CMN              099724106   734.19966    10589 SH       DEFINED    2               0    10589
BOSTON PROPERTIES INC        CNV              10112RAG9  1881.68142    17000 SH       SOLE       1           17000        0
BOSTON PROPERTIES INC        CMN              101121101   297.63772     2689 SH       DEFINED    2               0     2689
BOSTON PROPERTIES INC        CMN              101121101  5434.73871    49100 SH       DEFINED    1               0    49100
BOSTON SCIENTIFIC CORP       CMN              101137107   112.81275    19693 SH       DEFINED    2               0    19693
BOSTON SCIENTIFIC CORP       CMN              101137107  2231.83424   389597 SH       DEFINED    1               0   389597
BOX SHIPS INC                CMN              Y09675102    90.85534    15256 SH       SOLE       2           15256        0
BP PLC                       CMN              055622104  3460.82397    81681 SH       SOLE       2           81681        0
BRF - BRASIL FOODS SA        CMN              10552T107    10.39157      600 SH       DEFINED    1               0      600
BRF - BRASIL FOODS SA        CMN              10552T107   698.27896    40318 SH       DEFINED    2               0    40318
BRIDGEPOINT EDUCATION INC    CMN              10807M105   173.46003    17100 SH       SOLE       2           17100        0
BRINKER INTERNATIONAL INC    CMN              109641100     3.95196      112 SH       DEFINED    2               0      112
BRINKER INTERNATIONAL INC    CMN              109641100   328.04822     9297 SH       DEFINED    1               0     9297
BRISTOL-MYERS SQUIBB CO      CMN              110122108   609.48231    18066 SH       DEFINED    1               0    18066
BRISTOL-MYERS SQUIBB CO      CMN              110122108   923.12989    27363 SH       DEFINED    2               0    27363
BROADCOM CORP-CL A           CMN              111320107   1369.0767    39541 SH       DEFINED    2               0    39541
BROADCOM CORP-CL A           CMN              111320107  1434.89737    41442 SH       DEFINED    1               0    41442
BROCADE COMMUNICATIONS SYS   CMN              111621306      37.296     6300 SH       DEFINED    2               0     6300
BROCADE COMMUNICATIONS SYS   CMN              111621306   252.32224    42622 SH       DEFINED    1               0    42622
BROOKDALE SENIOR LIVING INC  CMN              112463104  6025.77942   265620 SH       SOLE       1          265620        0
BROWN & BROWN INC            CMN              115236101     0.99118       38 SH       DEFINED    2               0       38
BROWN & BROWN INC            CMN              115236101   216.49592     8300 SH       DEFINED    1               0     8300
BROWN-FORMAN CORP-CLASS B    CMN              115637209   136.39823     2100 SH       DEFINED    1               0     2100
BROWN-FORMAN CORP-CLASS B    CMN              115637209    175.4341     2701 SH       DEFINED    2               0     2701
BRUKER CORP                  CMN              116794108  1075.08142    81959 SH       SOLE       1           81959        0
BRUNSWICK CORP               CMN              117043109   291.62137    12890 SH       DEFINED    1               0    12890
BRUNSWICK CORP               CMN              117043109   411.41464    18185 SH       DEFINED    2               0    18185
BT GROUP PLC                 CMN              05577E101      323.64     8700 SH       DEFINED    1               0     8700
BT GROUP PLC                 CMN              05577E101    412.2876    11083 SH       DEFINED    2               0    11083
BUNGE LTD                    CMN              G16962105    22.08665      330 SH       DEFINED    2               0      330
BUNGE LTD                    CMN              G16962105   582.28466     8700 SH       DEFINED    1               0     8700
C.H. ROBINSON WORLDWIDE INC  CMN              12541W209    57.89076      988 SH       DEFINED    2               0      988
C.H. ROBINSON WORLDWIDE INC  CMN              12541W209  1706.42992    29123 SH       DEFINED    1               0    29123
CA INC                       CMN              12673P105   415.64623    16131 SH       DEFINED    2               0    16131
CA INC                       CMN              12673P105   721.39654    27997 SH       DEFINED    1               0    27997
CABLEVISION SYSTEMS-NY GRP-A CMN              12686C109    37.88757     2392 SH       DEFINED    2               0     2392
CABLEVISION SYSTEMS-NY GRP-A CMN              12686C109  1802.27312   113785 SH       DEFINED    1               0   113785
CABOT OIL & GAS CORP         CMN              127097103    83.97126     1874 SH       DEFINED    2               0     1874
CABOT OIL & GAS CORP         CMN              127097103   407.75799     9100 SH       DEFINED    1               0     9100
CACI INTERNATIONAL INC -CL A CNV              127190AD8 182999.3696  3536000 SH       SOLE       1         3536000        0
CACI INTERNATIONAL INC -CL A CMN              127190304      5.6411      109 SH       DEFINED    2               0      109
CACI INTERNATIONAL INC -CL A CMN              127190304   365.73997     7067 SH       DEFINED    1               0     7067
CADENCE DESIGN SYS INC       CNV              127387AJ7  6835.58196   531000 SH       SOLE       1          531000        0
CADENCE DESIGN SYS INC       CMN              127387108   308.95285    24000 SH       DEFINED    2               0    24000
CADENCE DESIGN SYS INC       CMN              127387108   889.62975    69108 SH       DEFINED    1               0    69108






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
CADIZ INC                    CMN              127537207   275.09039    28080 SH       SOLE       2           28080        0
CAL DIVE INTERNATIONAL INC   CMN              12802T101   635.70261   414554 SH       SOLE       1          414554        0
CALAMP CORP                  CMN              128126109     82.0246    10003 SH       SOLE       1           10003        0
CALLAWAY GOLF COMPANY        CMN              131193104     4.91753      800 SH       DEFINED    1               0      800
CALLAWAY GOLF COMPANY        CMN              131193104   310.41961    50500 SH       DEFINED    2               0    50500
CALPINE CORP                 CMN              131347304    11.38787      657 SH       DEFINED    2               0      657
CALPINE CORP                 CMN              131347304  2246.37531   129600 SH       DEFINED    1               0   129600
CAMECO CORP                  CMN              13321L108    11.66676      600 SH       DEFINED    1               0      600
CAMECO CORP                  CMN              13321L108   215.15458    11065 SH       DEFINED    2               0    11065
CAMERON INTERNATIONAL CORP   CMN              13342B105   134.14163     2388 SH       DEFINED    2               0     2388
CAMERON INTERNATIONAL CORP   CMN              13342B105   437.58933     7790 SH       DEFINED    1               0     7790
CAMPBELL SOUP CO             CMN              134429109    79.97825     2297 SH       DEFINED    2               0     2297
CAMPBELL SOUP CO             CMN              134429109   9525.9085   273587 SH       DEFINED    1               0   273587
CAN IMPERIAL BK OF COMMERCE  CMN              136069101  5310.48603    67897 SH       SOLE       2           67897        0
CANADIAN PACIFIC RAILWAY LTD CMN              13645T100  2463.01887    29654 SH       SOLE       2           29654        0
CANADIAN SOLAR INC           CMN              136635109    53.83927    16484 SH       SOLE       2           16484        0
CANON INC                    CMN              138006309   327.11064    10214 SH       SOLE       1           10214        0
CAPITAL ONE FINANCIAL CORP   CMN              14040H105   204.56183     3592 SH       DEFINED    1               0     3592
CAPITAL ONE FINANCIAL CORP   CMN              14040H105   349.49776     6137 SH       DEFINED    2               0     6137
CAPITALSOURCE INC            CMN              14055X102     4.00595      529 SH       DEFINED    2               0      529
CAPITALSOURCE INC            CMN              14055X102    43.18706     5703 SH       DEFINED    1               0     5703
CAPITALSOURCE INC            CMN              14055X102   256.57038    33881 SH       DEFINED    2               0    33881
CAPSTEAD MORTGAGE CORP       CMN              14067E506    33.75288     2500 SH       DEFINED    1               0     2500
CAPSTEAD MORTGAGE CORP       CMN              14067E506   2329.7051   172556 SH       DEFINED    2               0   172556
CARDINAL HEALTH INC          CMN              14149Y108   327.77681     8409 SH       DEFINED    2               0     8409
CARDINAL HEALTH INC          CMN              14149Y108   475.04055    12187 SH       DEFINED    1               0    12187
CARDIUM THERAPEUTICS INC     CMN              141916106     3.25403    15000 SH       SOLE       2           15000        0
CARDTRONICS INC              CMN              14161H108    79.01841     2699 SH       DEFINED    1               0     2699
CARDTRONICS INC              CMN              14161H108   212.90178     7272 SH       DEFINED    2               0     7272
CAREER EDUCATION CORP        CMN              141665109      13.554     3600 SH       DEFINED    1               0     3600
CAREER EDUCATION CORP        CMN              141665109    32.75926     8701 SH       DEFINED    2               0     8701
CAREFUSION CORP              CMN              14170T101    37.76505     1332 SH       DEFINED    2               0     1332
CAREFUSION CORP              CMN              14170T101   199.37226     7032 SH       DEFINED    1               0     7032
CARLISLE COS INC             CMN              142339100     0.31162        6 SH       DEFINED    2               0        6
CARLISLE COS INC             CMN              142339100   690.76107    13300 SH       DEFINED    1               0    13300
CARMAX INC                   CMN              143130102   262.92193     9247 SH       DEFINED    1               0     9247
CARMAX INC                   CMN              143130102   494.90852    17406 SH       DEFINED    2               0    17406
CARMIKE CINEMAS INC          CMN              143436400      12.452     1100 SH       DEFINED    2               0     1100
CARMIKE CINEMAS INC          CMN              143436400   346.17692    30581 SH       DEFINED    1               0    30581
CARNIVAL CORP                CMN              143658300   135.80115     3722 SH       DEFINED    2               0     3722
CARNIVAL CORP                CMN              143658300    509.7469    13971 SH       DEFINED    1               0    13971
CARNIVAL PLC                 CMN              14365C103    419.3517    11394 SH       SOLE       2           11394        0
CARPENTER TECHNOLOGY         CMN              144285103    52.45701      998 SH       DEFINED    2               0      998
CARPENTER TECHNOLOGY         CMN              144285103   230.48499     4385 SH       DEFINED    1               0     4385
CARTER'S INC                 CMN              146229109    225.8739     4196 SH       DEFINED    2               0     4196
CARTER'S INC                 CMN              146229109   245.36064     4558 SH       DEFINED    1               0     4558
CASCADE CORP                 CMN              147195101    38.02938      700 SH       DEFINED    1               0      700
CASCADE CORP                 CMN              147195101   217.31076     4000 SH       DEFINED    2               0     4000
CASELLA WASTE SYSTEMS INC-A  CMN              147448104  1056.98345   247044 SH       SOLE       1          247044        0
CASH AMERICA INTL INC        CMN              14754D100    36.62944      950 SH       DEFINED    2               0      950
CASH AMERICA INTL INC        CMN              14754D100   625.20674    16215 SH       DEFINED    1               0    16215
CATALYST PHARMACEUTICAL PART CMN              14888U101    15.79946    10570 SH       DEFINED    2               0    10570
CATALYST PHARMACEUTICAL PART CMN              14888U101    70.55201    47200 SH       DEFINED    1               0    47200
CATAMARAN CORP               CMN              148887102   344.06948     3636 SH       SOLE       2            3636        0
CATERPILLAR INC              CMN              149123101  4572.52035    53026 SH       DEFINED    1               0    53026
CATERPILLAR INC              CMN              149123101  5899.28077    68412 SH       DEFINED    2               0    68412
CATERPILLAR INC              CMN              149123101     6437.97    74659 SH       DEFINED    2               0    74659
CBIZ INC                     CMN              124805102    65.27848    10939 SH       SOLE       1           10939        0
CBRE GROUP INC - A           CMN              12504L109    80.35104     4348 SH       DEFINED    2               0     4348
CBRE GROUP INC - A           CMN              12504L109  1233.02256    66722 SH       DEFINED    1               0    66722






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
CBS CORP-CLASS A VOTING      CMN              124857103  1523.51056    41954 SH       SOLE       2           41954        0
CBS CORP-CLASS B NON VOTING  CMN              124857202   250.75721     6909 SH       DEFINED    2               0     6909
CBS CORP-CLASS B NON VOTING  CMN              124857202 11340.36733   312456 SH       DEFINED    1               0   312456
CELANESE CORP-SERIES A       CMN              150870103   159.24899     4200 SH       DEFINED    2               0     4200
CELANESE CORP-SERIES A       CMN              150870103   606.66285    16000 SH       DEFINED    1               0    16000
CELESTICA INC                CMN              15101Q108    89.88033    12570 SH       SOLE       2           12570        0
CELGENE CORP                 CMN              151020104   918.25688    12010 SH       DEFINED    1               0    12010
CELGENE CORP                 CMN              151020104  2896.29384    37881 SH       DEFINED    2               0    37881
CELLDEX THERAPEUTICS INC     CMN              15117B103     3.06423      500 SH       DEFINED    1               0      500
CELLDEX THERAPEUTICS INC     CMN              15117B103      107.34    17515 SH       DEFINED    2               0    17515
CELSION CORP                 CMN              15117N305    118.7323    22000 SH       DEFINED    2               0    22000
CELSION CORP                 CMN              15117N305    245.0203    45400 SH       DEFINED    1               0    45400
CEMEX SAB-CPO                CMN              151290889     0.93296      112 SH       DEFINED    2               0      112
CEMEX SAB-CPO                CMN              151290889      87.465    10500 SH       DEFINED    1               0    10500
CEMEX SAB-CPO                CMN              151290889 45011.37158  5403526 SH       DEFINED    2               0  5403526
CENTERPOINT ENERGY INC       CMN              15189T107    75.26968     3538 SH       DEFINED    2               0     3538
CENTERPOINT ENERGY INC       CMN              15189T107   195.72671     9200 SH       DEFINED    1               0     9200
CENTRAIS ELETRICAS BRASILIER CMN              15234Q207   439.07625    73468 SH       SOLE       2           73468        0
CENTRAL EURO DISTRIBUTION CP CMN              153435102    19.13654     6695 SH       DEFINED    1               0     6695
CENTRAL EURO DISTRIBUTION CP CMN              153435102    63.62649    22260 SH       DEFINED    2               0    22260
CENTRAL EUROPEAN MEDIA ENT-A CMN              G20045202   380.16458    58300 SH       SOLE       2           58300        0
CENTRAL GARDEN AND PET CO-A  CMN              153527205   123.65985    10238 SH       SOLE       1           10238        0
CENTURYLINK INC              CMN              156700106   848.71917    21025 SH       DEFINED    2               0    21025
CENTURYLINK INC              CMN              156700106 39178.65343   970558 SH       DEFINED    1               0   970558
CEPHEID INC                  CMN              15670R107    43.14583     1250 SH       DEFINED    2               0     1250
CEPHEID INC                  CMN              15670R107   417.65166    12100 SH       DEFINED    1               0    12100
CERAGON NETWORKS LTD         CMN              M22013102     7.19723     1200 SH       DEFINED    2               0     1200
CERAGON NETWORKS LTD         CMN              M22013102   193.14368    32203 SH       DEFINED    1               0    32203
CERNER CORP                  CMN              156782104    385.5958     5000 SH       DEFINED    1               0     5000
CERNER CORP                  CMN              156782104  3010.57782    39038 SH       DEFINED    2               0    39038
CERUS CORP                   CMN              157085101     9.42363     2850 SH       DEFINED    2               0     2850
CERUS CORP                   CMN              157085101   133.14438    40267 SH       DEFINED    1               0    40267
CF INDUSTRIES HOLDINGS INC   CMN              125269100   709.53016     3203 SH       DEFINED    2               0     3203
CF INDUSTRIES HOLDINGS INC   CMN              125269100   847.53743     3826 SH       DEFINED    1               0     3826
CHARLES RIVER LABORATORIES   CMN              159864107   319.53979     8110 SH       DEFINED    1               0     8110
CHARLES RIVER LABORATORIES   CMN              159864107  3431.72341    87098 SH       DEFINED    2               0    87098
CHART INDUSTRIES INC         CNV              16115QAC4  5328.52269    73000 SH       SOLE       1           73000        0
CHECK POINT SOFTWARE TECH    CMN              M22465104    184.6672     3842 SH       DEFINED    2               0     3842
CHECK POINT SOFTWARE TECH    CMN              M22465104   270.27165     5623 SH       DEFINED    1               0     5623
CHEMED CORP                  CMN              16359R103   270.67499     3900 SH       SOLE       1            3900        0
CHEMTURA CORP                CMN              163893209  1930.97919   112439 SH       SOLE       1          112439        0
CHENIERE ENERGY INC          CMN              16411R208   274.22358    17601 SH       DEFINED    2               0    17601
CHENIERE ENERGY INC          CMN              16411R208   317.72294    20393 SH       DEFINED    1               0    20393
CHESAPEAKE ENERGY CORP       CNV              165167BW6   188.99878    10000 SH       SOLE       1           10000        0
CHESAPEAKE ENERGY CORP       CNV              165167CA3 75599.51428  4000000 SH       SOLE       1         4000000        0
CHESAPEAKE ENERGY CORP       CMN              165167107   321.63813    17018 SH       DEFINED    2               0    17018
CHESAPEAKE ENERGY CORP       CMN              165167107   321.63813    17018 SH       DEFINED    2               0    17018
CHESAPEAKE ENERGY CORP       CMN              165167107   518.23467    27420 SH       DEFINED    2               0    27420
CHESAPEAKE ENERGY CORP       CMN              165167107   518.23467    27420 SH       DEFINED    2               0    27420
CHESAPEAKE ENERGY CORP       CMN              165167107   520.27585    27528 SH       DEFINED    1               0    27528
CHESAPEAKE ENERGY CORP       CMN              165167107   520.27585    27528 SH       DEFINED    1               0    27528
CHESAPEAKE ENERGY CORP       CMN              165167107    24.56984     1300 SH  PUT  DEFINED    1               0     1300
CHESAPEAKE ENERGY CORP       CMN              165167107    24.56984     1300 SH  PUT  DEFINED    1               0     1300
CHESAPEAKE ENERGY CORP       CMN              165167107   245.69842    13000 SH  PUT  DEFINED    2               0    13000
CHESAPEAKE ENERGY CORP       CMN              165167107   245.69842    13000 SH  PUT  DEFINED    2               0    13000
CHESAPEAKE LODGING TRUST     CMN              165240102     7.34959      370 SH       DEFINED    2               0      370
CHESAPEAKE LODGING TRUST     CMN              165240102   198.63769    10000 SH       DEFINED    1               0    10000
CHEVRON CORP                 CMN              166764100   947.70829     8130 SH       DEFINED    1               0     8130
CHEVRON CORP                 CMN              166764100  3492.06609    29957 SH       DEFINED    2               0    29957
CHEVRON CORP                 CMN              166764100    29.14232      250 SH  PUT  DEFINED    1               0      250






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
CHICAGO BRIDGE & IRON CO NV  CMN              167250109     9.55571      250 SH       DEFINED    2               0      250
CHICAGO BRIDGE & IRON CO NV  CMN              167250109   8106.9151   212096 SH       DEFINED    1               0   212096
CHIMERA INVESTMENT CORP      CMN              16934Q109    55.40169    20400 SH       DEFINED    1               0    20400
CHIMERA INVESTMENT CORP      CMN              16934Q109   145.29365    53500 SH       DEFINED    2               0    53500
CHINA GERUI ADVANCED MATERIA CMN              G21101103    83.91041    45988 SH       SOLE       2           45988        0
CHINA GROWTH EQUITY INVESTME CMN              G2114K115     4745.25   475000 SH       SOLE       6          475000        0
CHINA LIFE INSURANCE CO-H    CMN              16939P106      82.403     1900 SH       DEFINED    1               0     1900
CHINA LIFE INSURANCE CO-H    CMN              16939P106   156.86929     3617 SH       DEFINED    2               0     3617
CHINA MOBILE LTD             CMN              16941M109     343.232     6200 SH       DEFINED    1               0     6200
CHINA MOBILE LTD             CMN              16941M109   988.34208    17853 SH       DEFINED    2               0    17853
CHINA UNICOM HONG KONG LTD   CMN              16945R104       1.631      100 SH       DEFINED    1               0      100
CHINA UNICOM HONG KONG LTD   CMN              16945R104   764.69435    46885 SH       DEFINED    2               0    46885
CHIPMOS TECHNOLOGIES BERMUDA CMN              G2110R114   224.67499    14300 SH       SOLE       2           14300        0
CHIPOTLE MEXICAN GRILL INC   CMN              169656105   148.99946      468 SH       DEFINED    2               0      468
CHIPOTLE MEXICAN GRILL INC   CMN              169656105   466.41927     1465 SH       DEFINED    1               0     1465
CHOICE HOTELS INTL INC       CMN              169905106      225.44     7045 SH       SOLE       1            7045        0
CHUBB CORP                   CMN              171232101   270.37968     3545 SH       DEFINED    2               0     3545
CHUBB CORP                   CMN              171232101   533.89499     7000 SH       DEFINED    1               0     7000
CHURCH & DWIGHT CO INC       CMN              171340102     8.96198      166 SH       DEFINED    2               0      166
CHURCH & DWIGHT CO INC       CMN              171340102   210.55264     3900 SH       DEFINED    1               0     3900
CIA BRASILEIRA DE DIS-PREF   CMN              20440T201   696.86487    15531 SH       SOLE       2           15531        0
CIA DE MINAS BUENAVENTUR-COM CMN              204448104   917.66888    23683 SH       SOLE       1           23683        0
CIA ENERGETICA MINAS GER-PRF CMN              204409601   256.88334    21190 SH       DEFINED    2               0    21190
CIA ENERGETICA MINAS GER-PRF CMN              204409601  2317.09017   191134 SH       DEFINED    1               0   191134
CIA SIDERURGICA NACIONAL SA  CMN              20440W105    40.59514     7200 SH       DEFINED    1               0     7200
CIA SIDERURGICA NACIONAL SA  CMN              20440W105    91.13045    16163 SH       DEFINED    2               0    16163
CIA SIDERURGICA NACIONAL SA  CMN              20440W105   762.27529   135198 SH       DEFINED    2               0   135198
CIENA CORP                   CNV              171779AE1  6827.67857   500000 SH       SOLE       1          500000        0
CIGNA CORP                   CMN              125509109   264.57542     5608 SH       DEFINED    2               0     5608
CIGNA CORP                   CMN              125509109   297.22274     6300 SH       DEFINED    1               0     6300
CIMAREX ENERGY CO            CMN              171798101    35.39074      601 SH       DEFINED    2               0      601
CIMAREX ENERGY CO            CMN              171798101    233.4258     3964 SH       DEFINED    1               0     3964
CINCINNATI BELL INC          CMN              171871106   181.67996    31820 SH       SOLE       1           31820        0
CINCINNATI FINANCIAL CORP    CMN              172062101    41.93984     1105 SH       DEFINED    2               0     1105
CINCINNATI FINANCIAL CORP    CMN              172062101 13419.80313   353575 SH       DEFINED    1               0   353575
CINEMARK HOLDINGS INC        CMN              17243V102     1.10108       49 SH       DEFINED    2               0       49
CINEMARK HOLDINGS INC        CMN              17243V102   651.66086    29000 SH       DEFINED    1               0    29000
CINTAS CORP                  CMN              172908105    24.31647      587 SH       DEFINED    2               0      587
CINTAS CORP                  CMN              172908105   1160.7285    28020 SH       DEFINED    1               0    28020
CISCO SYSTEMS INC            CMN              17275R102     0.01909        1 SH       DEFINED    2               0        1
CISCO SYSTEMS INC            CMN              17275R102    22.05626     1155 SH       DEFINED    3               0     1155
CISCO SYSTEMS INC            CMN              17275R102  3341.38092   174975 SH       DEFINED    2               0   174975
CISCO SYSTEMS INC            CMN              17275R102 11339.24996   593792 SH       DEFINED    1               0   593792
CIT GROUP INC                CMN              125581801     39.3834     1000 SH       DEFINED    2               0     1000
CIT GROUP INC                CMN              125581801   242.99562     6170 SH       DEFINED    2               0     6170
CIT GROUP INC                CMN              125581801   671.72339    17056 SH       DEFINED    1               0    17056
CITIGROUP INC                CMN              172967424   186.43179     5700 SH       DEFINED    3               0     5700
CITIGROUP INC                CMN              172967424   672.43006    20559 SH       DEFINED    2               0    20559
CITIGROUP INC                CMN              172967424 15486.59525   473490 SH       DEFINED    2               0   473490
CITIGROUP INC                CMN              172967424 27811.56885   850316 SH       DEFINED    1               0   850316
CITIGROUP INC                CMN              172967424    87.55753     2677 SH  PUT  DEFINED    1               0     2677
CITIGROUP INC                CMN              172967424      0.0327        1 SH  CALL DEFINED    2               0        1
CITIGROUP INC                CMN              172967424   101.91605     3116 SH  CALL DEFINED    1               0     3116
CITRIX SYSTEMS INC           CMN              177376100   180.29293     2355 SH       DEFINED    1               0     2355
CITRIX SYSTEMS INC           CMN              177376100   186.26441     2433 SH       DEFINED    2               0     2433
CITY NATIONAL CORP           CMN              178566105   190.58831     3698 SH       DEFINED    1               0     3698
CITY NATIONAL CORP           CMN              178566105   240.83807     4673 SH       DEFINED    2               0     4673
CLARCOR INC                  CMN              179895107    46.21394     1035 SH       DEFINED    2               0     1035
CLARCOR INC                  CMN              179895107   566.57849    12689 SH       DEFINED    1               0    12689
CLAUDE RESOURCES INC         CMN              182873109    12.47685    14820 SH       SOLE       2           14820        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
CLEAN HARBORS INC            CMN              184496107    26.19362      537 SH       DEFINED    2               0      537
CLEAN HARBORS INC            CMN              184496107  1127.93535    23124 SH       DEFINED    1               0    23124
CLEARWIRE CORP-CLASS A       CMN              18538Q105    73.40666    54650 SH       DEFINED    2               0    54650
CLEARWIRE CORP-CLASS A       CMN              18538Q105  1124.15081   836911 SH       DEFINED    1               0   836911
CLECO CORPORATION            CMN              12561W105   268.71138     6400 SH       SOLE       1            6400        0
CLIFFS NATURAL RESOURCES INC CMN              18683K101    97.74642     2500 SH       DEFINED    2               0     2500
CLIFFS NATURAL RESOURCES INC CMN              18683K101   641.17747    16399 SH       DEFINED    1               0    16399
CLIFFS NATURAL RESOURCES INC CMN              18683K101  2059.24355    52668 SH       DEFINED    2               0    52668
CLOROX COMPANY               CMN              189054109    42.50992      590 SH       DEFINED    2               0      590
CLOROX COMPANY               CMN              189054109   609.33289     8457 SH       DEFINED    1               0     8457
CME GROUP INC                CMN              12572Q105   223.81349     3900 SH       DEFINED    1               0     3900
CME GROUP INC                CMN              12572Q105  3008.79948    52429 SH       DEFINED    2               0    52429
CMS ENERGY CORP              CNV              125896BD1   43413.735  1847000 SH       SOLE       1         1847000        0
CMS ENERGY CORP              CMN              125896100   122.60208     5216 SH       DEFINED    2               0     5216
CMS ENERGY CORP              CMN              125896100   123.82434     5268 SH       DEFINED    1               0     5268
CNH GLOBAL N.V.              CMN              N20935206    52.61817     1350 SH       DEFINED    2               0     1350
CNH GLOBAL N.V.              CMN              N20935206   398.22217    10217 SH       DEFINED    1               0    10217
CNO FINANCIAL GROUP INC      CNV              12621EAC7 31102.48428  3212000 SH       SOLE       1         3212000        0
CNOOC LTD                    CMN              126132109    379.1051     1870 SH       DEFINED    2               0     1870
CNOOC LTD                    CMN              126132109     547.371     2700 SH       DEFINED    1               0     2700
COACH INC                    CMN              189754104   772.99851    13794 SH       DEFINED    2               0    13794
COACH INC                    CMN              189754104  2044.23756    36479 SH       DEFINED    1               0    36479
COBALT INTERNATIONAL ENERGY  CMN              19075F106   102.94767     4600 SH       DEFINED    1               0     4600
COBALT INTERNATIONAL ENERGY  CMN              19075F106   200.52415     8960 SH       DEFINED    2               0     8960
COCA-COLA CO/THE             CMN              191216100  2917.35689    76886 SH       DEFINED    1               0    76886
COCA-COLA CO/THE             CMN              191216100  3565.55302    93969 SH       DEFINED    2               0    93969
COCA-COLA CO/THE             CMN              191216100    45.53271     1200 SH  PUT  DEFINED    1               0     1200
COCA-COLA FEMSA SAB-SER L    CMN              191241108      254.13     1970 SH       SOLE       2            1970        0
COGNIZANT TECH SOLUTIONS-A   CMN              192446102   334.47876     4781 SH       DEFINED    1               0     4781
COGNIZANT TECH SOLUTIONS-A   CMN              192446102   566.60604     8099 SH       DEFINED    2               0     8099
COHEN & STEERS INC           CMN              19247A100   201.98474     6776 SH       SOLE       1            6776        0
COINSTAR INC                 CNV              19259PAF9 12327.47076   274000 SH       SOLE       1          274000        0
COINSTAR INC                 CMN              19259P300    12.41745      276 SH       DEFINED    2               0      276
COINSTAR INC                 CMN              19259P300   964.51211    21438 SH       DEFINED    1               0    21438
COLGATE-PALMOLIVE CO         CMN              194162103   485.81705     4531 SH       DEFINED    1               0     4531
COLGATE-PALMOLIVE CO         CMN              194162103   598.61324     5583 SH       DEFINED    2               0     5583
COLLECTIVE BRANDS INC        CMN              19421W100   103.54966     4769 SH       DEFINED    1               0     4769
COLLECTIVE BRANDS INC        CMN              19421W100   181.95558     8380 SH       DEFINED    2               0     8380
COLUMBIA LABORATORIES INC    CMN              197779101    24.05918    24500 SH       DEFINED    1               0    24500
COLUMBIA LABORATORIES INC    CMN              197779101    98.20076   100000 SH       DEFINED    2               0   100000
COMCAST CORP-CLASS A         CMN              20030N101   498.26297    13907 SH       DEFINED    1               0    13907
COMCAST CORP-CLASS A         CMN              20030N101   911.68474    25446 SH       DEFINED    2               0    25446
COMCAST CORP-SPECIAL CL A    CMN              20030N200   496.60446    14238 SH       SOLE       1           14238        0
COMERICA INC                 CMN              200340107   190.65311     6113 SH       DEFINED    2               0     6113
COMERICA INC                 CMN              200340107   240.74127     7719 SH       DEFINED    2               0     7719
COMERICA INC                 CMN              200340107  1329.95597    42643 SH       DEFINED    1               0    42643
COMMERCE BANCSHARES INC      CMN              200525103     0.36272        9 SH       DEFINED    2               0        9
COMMERCE BANCSHARES INC      CMN              200525103   241.97967     6004 SH       DEFINED    2               0     6004
COMMERCE BANCSHARES INC      CMN              200525103   552.15215    13700 SH       DEFINED    1               0    13700
COMMERCIAL METALS CO         CMN              201723103       35.64     2700 SH       DEFINED    2               0     2700
COMMERCIAL METALS CO         CMN              201723103    228.4392    17306 SH       DEFINED    1               0    17306
COMMERCIAL VEHICLE GROUP INC CMN              202608105    13.55326     1834 SH       DEFINED    2               0     1834
COMMERCIAL VEHICLE GROUP INC CMN              202608105   164.81917    22303 SH       DEFINED    1               0    22303
COMMUNITY BANK SYSTEM INC    CMN              203607106   294.99479    10444 SH       SOLE       1           10444        0
COMMUNITY HEALTH SYSTEMS INC CMN              203668108     2.74089       94 SH       DEFINED    2               0       94
COMMUNITY HEALTH SYSTEMS INC CMN              203668108 12490.90175   428380 SH       DEFINED    1               0   428380
COMMVAULT SYSTEMS INC        CMN              204166102     51.4243      884 SH       DEFINED    2               0      884
COMMVAULT SYSTEMS INC        CMN              204166102   263.63682     4532 SH       DEFINED    1               0     4532
COMPLETE GENOMICS INC        CMN              20454K104    54.66239    17607 SH       DEFINED    1               0    17607
COMPLETE GENOMICS INC        CMN              20454K104    68.80377    22162 SH       DEFINED    2               0    22162






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
COMPUTER SCIENCES CORP       CMN              205363104    48.27942     1495 SH       DEFINED    2               0     1495
COMPUTER SCIENCES CORP       CMN              205363104  1513.71331    46873 SH       DEFINED    1               0    46873
COMPUWARE CORP               CMN              205638109    36.57105     3719 SH       DEFINED    1               0     3719
COMPUWARE CORP               CMN              205638109    80.63528     8200 SH       DEFINED    2               0     8200
COMSTOCK RESOURCES INC       CMN              205768203    22.34899     1215 SH       DEFINED    2               0     1215
COMSTOCK RESOURCES INC       CMN              205768203   182.87544     9942 SH       DEFINED    1               0     9942
COMTECH TELECOMMUNICATIONS   CNV              205826AF7 137933.7885  4975000 SH       SOLE       1         4975000        0
COMVERSE TECHNOLOGY INC      CMN              205862402    217.9068    35614 SH       SOLE       1           35614        0
CONAGRA FOODS INC            CMN              205887102   201.80737     7350 SH       DEFINED    2               0     7350
CONAGRA FOODS INC            CMN              205887102   334.97278    12200 SH       DEFINED    1               0    12200
CONCHO RESOURCES INC         CMN              20605P101    47.54311      501 SH       DEFINED    2               0      501
CONCHO RESOURCES INC         CMN              20605P101   341.62714     3600 SH       DEFINED    1               0     3600
CONOCOPHILLIPS               CMN              20825C104  2081.40903    36406 SH       DEFINED    2               0    36406
CONOCOPHILLIPS               CMN              20825C104 21637.36918   378460 SH       DEFINED    1               0   378460
CONSOL ENERGY INC            CMN              20854P109   132.93485     4429 SH       DEFINED    2               0     4429
CONSOL ENERGY INC            CMN              20854P109   299.57615     9981 SH       DEFINED    1               0     9981
CONSOLIDATED COMMUNICATIONS  CMN              209034107   204.53824    11886 SH       SOLE       1           11886        0
CONSOLIDATED EDISON INC      CMN              209115104     842.303    14064 SH       DEFINED    1               0    14064
CONSOLIDATED EDISON INC      CMN              209115104   981.12968    16382 SH       DEFINED    2               0    16382
CONSTANT CONTACT INC         CMN              210313102   201.52233    11569 SH       SOLE       1           11569        0
CONSTELLATION BRANDS INC-A   CMN              21036P108    25.20893      777 SH       DEFINED    2               0      777
CONSTELLATION BRANDS INC-A   CMN              21036P108   633.37037    19522 SH       DEFINED    1               0    19522
CONTANGO OIL & GAS           CMN              21075N204    20.03511      400 SH       DEFINED    2               0      400
CONTANGO OIL & GAS           CMN              21075N204    182.4698     3643 SH       DEFINED    1               0     3643
CONTINENTAL RESOURCES INC/OK CMN              212015101    62.42097      813 SH       DEFINED    2               0      813
CONTINENTAL RESOURCES INC/OK CMN              212015101   406.92642     5300 SH       DEFINED    1               0     5300
CONVERGYS CORP               CMN              212485106   228.75904    14790 SH       SOLE       1           14790        0
CONVERGYS CORP               CNV              212485AE6 23664.72857  1530000 SH       SOLE       1         1530000        0
CON-WAY INC                  CMN              205944101     0.33049       12 SH       DEFINED    2               0       12
CON-WAY INC                  CMN              205944101   362.16978    13150 SH       DEFINED    1               0    13150
COOPER COS INC/THE           CMN              216648402     5.09806       54 SH       DEFINED    2               0       54
COOPER COS INC/THE           CMN              216648402   922.27733     9769 SH       DEFINED    1               0     9769
COOPER INDUSTRIES PLC        CMN              G24140108 11066.11247   147499 SH       DEFINED    2               0   147499
COOPER INDUSTRIES PLC        CMN              G24140108 13570.29692   180877 SH       DEFINED    1               0   180877
COOPER TIRE & RUBBER         CMN              216831107    46.66628     2400 SH       DEFINED    1               0     2400
COOPER TIRE & RUBBER         CMN              216831107   270.56723    13915 SH       DEFINED    2               0    13915
COPA HOLDINGS SA-CLASS A     CMN              P31076105   218.91021     2700 SH       SOLE       1            2700        0
CORCEPT THERAPEUTICS INC     CMN              218352102    67.94851    23984 SH       SOLE       1           23984        0
CORE MARK HOLDING CO INC     COM              218681104     1.53952       32 SH       SOLE       4              32        0      0
CORELOGIC INC                CMN              21871D103     0.81837       31 SH       DEFINED    2               0       31
CORELOGIC INC                CMN              21871D103   359.13588    13604 SH       DEFINED    1               0    13604
CORINTHIAN COLLEGES INC      CMN              218868107     40.6418    16994 SH       SOLE       1           16994        0
CORNING INC                  CMN              219350105   236.80928    18000 SH       DEFINED    1               0    18000
CORNING INC                  CMN              219350105   688.54931    52337 SH       DEFINED    2               0    52337
CORPORATE EXECUTIVE BOARD CO CMN              21988R102  5590.68577   104363 SH       SOLE       1          104363        0
COSAN LTD-CLASS A SHARES     CMN              G25343107       3.145      200 SH       DEFINED    2               0      200
COSAN LTD-CLASS A SHARES     CMN              G25343107   212.86932    13537 SH       DEFINED    1               0    13537
COSTCO WHOLESALE CORP        CMN              22160K105   333.50527     3328 SH       DEFINED    2               0     3328
COSTCO WHOLESALE CORP        CMN              22160K105  6410.75714    63972 SH       DEFINED    1               0    63972
COVANCE INC                  CMN              222816100   716.58792    15366 SH       SOLE       1           15366        0
COVANTA HOLDING CORP         CNV              22282EAC6  1631.84757    95000 SH       SOLE       1           95000        0
COVENTRY HEALTH CARE INC     CMN              222862104    34.78256      834 SH       DEFINED    2               0      834
COVENTRY HEALTH CARE INC     CMN              222862104  1415.53364    33941 SH       DEFINED    1               0    33941
COVIDIEN PLC                 CMN              G2554F113   220.86609     3719 SH       DEFINED    2               0     3719
COVIDIEN PLC                 CMN              G2554F113   380.08685     6400 SH       DEFINED    1               0     6400
CR BARD INC                  CMN              067383109     52.6641      503 SH       DEFINED    2               0      503
CR BARD INC                  CMN              067383109    612.5997     5851 SH       DEFINED    1               0     5851
CRACKER BARREL OLD COUNTRY   CMN              22410J106    80.78219     1205 SH       DEFINED    2               0     1205
CRACKER BARREL OLD COUNTRY   CMN              22410J106   791.93367    11813 SH       DEFINED    1               0    11813
CRANE CO                     CMN              224399105    35.95047      900 SH       DEFINED    2               0      900






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
CRANE CO                     CMN              224399105   223.69182     5600 SH       DEFINED    1               0     5600
CRH PLC                      CMN              12626K203    65.42646     3400 SH       DEFINED    1               0     3400
CRH PLC                      CMN              12626K203   128.33207     6669 SH       DEFINED    2               0     6669
CRIMSON EXPLORATION INC      CMN              22662K207    84.85068    19596 SH       SOLE       1           19596        0
CROCS INC                    CMN              227046109    34.54071     2117 SH       DEFINED    2               0     2117
CROCS INC                    CMN              227046109  4316.38155   264551 SH       DEFINED    1               0   264551
CROSSTEX ENERGY INC          CMN              22765Y104   244.67714    17561 SH       SOLE       1           17561        0
CROWN CASTLE INTL CORP       CMN              228227104  1351.81109    21127 SH       DEFINED    1               0    21127
CROWN CASTLE INTL CORP       CMN              228227104  1501.59998    23468 SH       DEFINED    2               0    23468
CROWN HOLDINGS INC           CMN              228368106     1.47142       40 SH       DEFINED    2               0       40
CROWN HOLDINGS INC           CMN              228368106   518.67857    14100 SH       DEFINED    1               0    14100
CSX CORP                     CMN              126408103  1308.49252    63023 SH       DEFINED    2               0    63023
CSX CORP                     CMN              126408103  1318.06387    63484 SH       DEFINED    1               0    63484
CTC MEDIA INC                CMN              12642X106     1.03485      100 SH       DEFINED    1               0      100
CTC MEDIA INC                CMN              12642X106   887.59697    85770 SH       DEFINED    2               0    85770
CUBIST PHARMACEUTICALS INC   CNV              229678AD9 380935.4925  7989000 SH       SOLE       1         7989000        0
CUBIST PHARMACEUTICALS INC   CMN              229678107    390.9965     8200 SH       DEFINED    1               0     8200
CUBIST PHARMACEUTICALS INC   CMN              229678107   416.50663     8735 SH       DEFINED    2               0     8735
CULLEN/FROST BANKERS INC     CMN              229899109     0.91869       16 SH       DEFINED    2               0       16
CULLEN/FROST BANKERS INC     CMN              229899109   245.40544     4274 SH       DEFINED    2               0     4274
CULLEN/FROST BANKERS INC     CMN              229899109   660.30946    11500 SH       DEFINED    1               0    11500
CUMMINS INC                  CMN              231021106   869.18464     9433 SH       DEFINED    1               0     9433
CUMMINS INC                  CMN              231021106  1532.89047    16636 SH       DEFINED    2               0    16636
CURIS INC                    CMN              231269101   124.11063    29637 SH       SOLE       1           29637        0
CVB FINANCIAL CORP           CMN              126600105   293.59646    25213 SH       SOLE       1           25213        0
CVS CAREMARK CORP            CMN              126650100   466.16861     9634 SH       DEFINED    1               0     9634
CVS CAREMARK CORP            CMN              126650100   713.43056    14744 SH       DEFINED    2               0    14744
CYMER INC                    CMN              232572107   417.40866     8169 SH       DEFINED    1               0     8169
CYMER INC                    CMN              232572107   525.78469    10290 SH       DEFINED    2               0    10290
CYS INVESTMENTS INC          CMN              12673A108    50.73923     3600 SH       DEFINED    1               0     3600
CYS INVESTMENTS INC          CMN              12673A108 14619.29724  1037254 SH       DEFINED    2               0  1037254
CYTEC INDUSTRIES INC         CMN              232820100    67.05214     1023 SH       DEFINED    2               0     1023
CYTEC INDUSTRIES INC         CMN              232820100   183.52492     2800 SH       DEFINED    1               0     2800
DAKTRONICS INC               CMN              234264109   112.27927    11974 SH       SOLE       1           11974        0
DANA HLDG CORP               COM              235825205    250.7724    20388 SH       SOLE       4           16015        0   4373
DANA HOLDING CORP            CMN              235825205   287.64275    23145 SH       DEFINED    2               0    23145
DANA HOLDING CORP            CMN              235825205   666.91609    53663 SH       DEFINED    1               0    53663
DANAHER CORP                 CMN              235851102   170.47419     3090 SH       DEFINED    2               0     3090
DANAHER CORP                 CMN              235851102    755.8241    13700 SH       DEFINED    1               0    13700
DARDEN RESTAURANTS INC       CMN              237194105     45.2948      812 SH       DEFINED    2               0      812
DARDEN RESTAURANTS INC       CMN              237194105   384.89432     6900 SH       DEFINED    1               0     6900
DARLING INTERNATIONAL INC    CMN              237266101     1.45728       80 SH       DEFINED    2               0       80
DARLING INTERNATIONAL INC    CMN              237266101   241.85478    13277 SH       DEFINED    1               0    13277
DAVITA INC                   CMN              23918K108   159.21847     1542 SH       DEFINED    2               0     1542
DAVITA INC                   CMN              23918K108   351.06537     3400 SH       DEFINED    1               0     3400
DCT INDUSTRIAL TRUST INC     CMN              233153105   143.33785    22174 SH       SOLE       1           22174        0
DDR CORP                     CNV              251591AX1 164793.3618 10723000 SH       SOLE       1        10723000        0
DDR CORP                     CMN              23317H102      5.0254      327 SH       DEFINED    2               0      327
DDR CORP                     CMN              23317H102  7029.94373   457434 SH       DEFINED    1               0   457434
DEALERTRACK HOLDINGS INC     CMN              242309102    99.46036     3559 SH       DEFINED    1               0     3559
DEALERTRACK HOLDINGS INC     CMN              242309102  2741.26617    98091 SH       DEFINED    2               0    98091
DEAN FOODS CO                CMN              242370104    47.05735     2878 SH       DEFINED    2               0     2878
DEAN FOODS CO                CMN              242370104   214.93013    13145 SH       DEFINED    1               0    13145
DECKERS OUTDOOR CORP         CMN              243537107  1160.79181    31755 SH       DEFINED    1               0    31755
DECKERS OUTDOOR CORP         CMN              243537107  2346.11176    64181 SH       DEFINED    2               0    64181
DEERE & CO                   CMN              244199105   519.75449     6300 SH       DEFINED    1               0     6300
DEERE & CO                   CMN              244199105  1258.71339    15257 SH       DEFINED    2               0    15257
DELEK US HOLDINGS INC        CMN              246647101   122.81956     4827 SH       DEFINED    2               0     4827
DELEK US HOLDINGS INC        CMN              246647101   166.12574     6529 SH       DEFINED    1               0     6529
DELL INC                     CMN              24702R101   451.34123    45770 SH       DEFINED    2               0    45770






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
DELL INC                     CMN              24702R101  1014.73383   102903 SH       DEFINED    2               0   102903
DELL INC                     CMN              24702R101  1039.59359   105424 SH       DEFINED    1               0   105424
DELTA AIR LINES INC          CMN              247361702    19.22099     2100 SH       DEFINED    2               0     2100
DELTA AIR LINES INC          CMN              247361702   497.56761    54362 SH       DEFINED    1               0    54362
DELTA AIR LINES INC          CMN              247361702    25.39917     2775 SH  PUT  DEFINED    1               0     2775
DEMAND MEDIA INC             CMN              24802N109    18.06691     1650 SH       DEFINED    2               0     1650
DEMAND MEDIA INC             CMN              24802N109   165.78854    15141 SH       DEFINED    1               0    15141
DENBURY RESOURCES INC        CMN              247916208    85.56274     5282 SH       DEFINED    2               0     5282
DENBURY RESOURCES INC        CMN              247916208   900.02867    55561 SH       DEFINED    1               0    55561
DENDREON CORP                CMN              24823Q107     32.4235     6180 SH       DEFINED    2               0     6180
DENDREON CORP                CMN              24823Q107   363.13798    69215 SH       DEFINED    1               0    69215
DENISON MINES CORP           CMN              248356107     2.27946     1500 SH       DEFINED    1               0     1500
DENISON MINES CORP           CMN              248356107    27.04964    17800 SH       DEFINED    2               0    17800
DENTSPLY INTERNATIONAL INC   CMN              249030107    49.99704     1312 SH       DEFINED    2               0     1312
DENTSPLY INTERNATIONAL INC   CMN              249030107    1041.135    27321 SH       DEFINED    1               0    27321
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898    55.82749     1400 SH       DEFINED    1               0     1400
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898    55.82749     1400 SH       DEFINED    1               0     1400
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898  1062.11818    26635 SH  PUT  DEFINED    2               0    26635
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898  1062.11818    26635 SH  PUT  DEFINED    2               0    26635
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898 17944.55357   450000 SH  PUT  DEFINED    2               0   450000
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898 17944.55357   450000 SH  PUT  DEFINED    2               0   450000
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898   997.47791    25014 SH  CALL DEFINED    2               0    25014
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898   997.47791    25014 SH  CALL DEFINED    2               0    25014
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898 23079.72652   578776 SH  CALL DEFINED    2               0   578776
DEUTSCHE BANK AG-REGISTERED  CMN              D18190898 23079.72652   578776 SH  CALL DEFINED    2               0   578776
DEVON ENERGY CORPORATION     CMN              25179M103   664.79285    11000 SH       DEFINED    1               0    11000
DEVON ENERGY CORPORATION     CMN              25179M103  1189.31442    19679 SH       DEFINED    2               0    19679
DEVRY INC                    CMN              251893103    28.81565     1267 SH       DEFINED    2               0     1267
DEVRY INC                    CMN              251893103  2312.02967   101658 SH       DEFINED    1               0   101658
DEX ONE CORP                 CMN              25212W100    32.41098    25723 SH       SOLE       1           25723        0
DEX ONE CORP                 COM              25212W100   307.81875   246255 SH       SOLE       4          190605        0  55650
DHT HOLDINGS INC             CMN              Y2065G105    68.33398    11010 SH       SOLE       2           11010        0
DHT HOLDINGS INC             CMN              Y2065G121    68.33398    11010 SH       SOLE       2           11010        0
DIAGEO PLC                   CMN              25243Q205     169.095     1500 SH       DEFINED    1               0     1500
DIAGEO PLC                   CMN              25243Q205   235.26751     2087 SH       DEFINED    2               0     2087
DIAMOND OFFSHORE DRILLING    CMN              25271C102   294.85041     4473 SH       DEFINED    2               0     4473
DIAMOND OFFSHORE DRILLING    CMN              25271C102   718.50425    10900 SH       DEFINED    1               0    10900
DIANA CONTAINERSHIPS INC     CMN              Y2069P101   129.26088    23072 SH       SOLE       2           23072        0
DIANA SHIPPING INC           CMN              Y2066G104   140.51338    21659 SH       SOLE       2           21659        0
DICE HOLDINGS INC            CMN              253017107   145.59541    17253 SH       SOLE       1           17253        0
DICK'S SPORTING GOODS INC    CMN              253393102   375.99295     7254 SH       DEFINED    2               0     7254
DICK'S SPORTING GOODS INC    CMN              253393102     393.927     7600 SH       DEFINED    1               0     7600
DIGITAL GENERATION INC       CMN              25400B108     4.50615      400 SH       DEFINED    1               0      400
DIGITAL GENERATION INC       CMN              25400B108   251.09415    22289 SH       DEFINED    2               0    22289
DIGITAL REALTY TRUST INC     CMN              253868103    46.85054      669 SH       DEFINED    2               0      669
DIGITAL REALTY TRUST INC     CMN              253868103  2371.02989    33857 SH       DEFINED    1               0    33857
DIGITAL RIVER INC            CMN              25388B104   186.74066    11205 SH       SOLE       1           11205        0
DIGITAL RIVER INC            CNV              25388BAD6   283.31916    17000 SH       SOLE       1           17000        0
DILLARDS INC-CL A            CMN              254067101     39.9411      552 SH       DEFINED    2               0      552
DILLARDS INC-CL A            CMN              254067101   609.60832     8425 SH       DEFINED    1               0     8425
DIRECTV                      CMN              25490A309   519.57907     9904 SH       DEFINED    2               0     9904
DIRECTV                      CMN              25490A309  1318.35846    25130 SH       DEFINED    1               0    25130
DIREXION DAILY FINL BEAR 3X  CMN              25459W144    982.8922    53968 SH       SOLE       2           53968        0
DIREXION DAILY S&P 500 BULL  CMN              25459W862   819.02092     9067 SH       SOLE       2            9067        0
DIREXION DLY 20-Y TR BEAR 3X CMN              25459Y678  2615.60335    49127 SH       SOLE       2           49127        0
DIREXION DLY SM CAP BEAR 3X  CMN              25459W110      4.4573      300 SH       DEFINED    1               0      300
DIREXION DLY SM CAP BEAR 3X  CMN              25459W110  1287.38932    86648 SH       DEFINED    2               0    86648
DIREXION GOLD MINERS BULL 3X CMN              25459W250   809.73687    45750 SH       SOLE       2           45750        0
DISCOVER FINANCIAL SERVICES  CMN              254709108   281.92883     7113 SH       DEFINED    1               0     7113
DISCOVER FINANCIAL SERVICES  CMN              254709108   474.63767    11975 SH       DEFINED    2               0    11975






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
DISCOVERY COMMUNICATIONS-A   CMN              25470F104   156.75237     2663 SH       DEFINED    2               0     2663
DISCOVERY COMMUNICATIONS-A   CMN              25470F104  1059.41765    17998 SH       DEFINED    1               0    17998
DISCOVERY COMMUNICATIONS-C   CMN              25470F302   140.46547     2506 SH       DEFINED    2               0     2506
DISCOVERY COMMUNICATIONS-C   CMN              25470F302   269.21615     4803 SH       DEFINED    1               0     4803
DISH NETWORK CORP-A          CMN              25470M109     1.13518       37 SH       DEFINED    2               0       37
DISH NETWORK CORP-A          CMN              25470M109  2696.65553    87894 SH       DEFINED    1               0    87894
DOLLAR GENERAL CORP          CMN              256677105   160.81975     3118 SH       DEFINED    2               0     3118
DOLLAR GENERAL CORP          CMN              256677105 21081.41754   408730 SH       DEFINED    1               0   408730
DOLLAR THRIFTY AUTOMOTIVE GP CMN              256743105    60.84349      700 SH       DEFINED    2               0      700
DOLLAR THRIFTY AUTOMOTIVE GP CMN              256743105 13215.72971   152046 SH       DEFINED    1               0   152046
DOLLAR TREE INC              CMN              256746108  1552.68708    31274 SH       DEFINED    2               0    31274
DOLLAR TREE INC              CMN              256746108  6625.80442   133456 SH       DEFINED    1               0   133456
DOMINION RESOURCES INC/VA    CNV              25746UAT6 10594.21428   200000 SH       SOLE       1          200000        0
DOMINION RESOURCES INC/VA    CMN              25746U109   571.18706    10783 SH       DEFINED    1               0    10783
DOMINION RESOURCES INC/VA    CMN              25746U109   666.85281    12589 SH       DEFINED    2               0    12589
DOMINO'S PIZZA INC           CMN              25754A201     5.44183      145 SH       DEFINED    2               0      145
DOMINO'S PIZZA INC           CMN              25754A201    289.0555     7702 SH       DEFINED    1               0     7702
DONALDSON CO INC             CMN              257651109     0.31248        9 SH       DEFINED    2               0        9
DONALDSON CO INC             CMN              257651109   967.21493    27857 SH       DEFINED    1               0    27857
DORAL FINANCIAL CORP         CMN              25811P886    15.34011    15538 SH       SOLE       1           15538        0
DOVER CORP                   CMN              260003108   267.73392     4500 SH       DEFINED    2               0     4500
DOVER CORP                   CMN              260003108   633.33948    10645 SH       DEFINED    1               0    10645
DOW CHEMICAL CO/THE          CMN              260543103    339.0075    11700 SH       DEFINED    1               0    11700
DOW CHEMICAL CO/THE          CMN              260543103  1007.43177    34769 SH       DEFINED    2               0    34769
DOW CHEMICAL CO/THE          CMN              260543103  5157.49205   177998 SH       DEFINED    2               0   177998
DR HORTON INC                CNV              23331ABB4 117703.8643  5685000 SH       SOLE       1         5685000        0
DR HORTON INC                CMN              23331A109    56.35706     2722 SH       DEFINED    2               0     2722
DR HORTON INC                CMN              23331A109  1241.03558    59941 SH       DEFINED    1               0    59941
DR PEPPER SNAPPLE GROUP INC  CMN              26138E109    58.79583     1319 SH       DEFINED    2               0     1319
DR PEPPER SNAPPLE GROUP INC  CMN              26138E109   356.02908     7987 SH       DEFINED    1               0     7987
DRYSHIPS INC                 CMN              Y2109Q101   159.26028    68237 SH       DEFINED    2               0    68237
DRYSHIPS INC                 CMN              Y2109Q101   397.95816   170510 SH       DEFINED    1               0   170510
DST SYSTEMS INC              CNV              233326AE7  1744.14879    31000 SH       SOLE       1           31000        0
DSW INC-CLASS A              CMN              23334L102     9.86351      148 SH       DEFINED    2               0      148
DSW INC-CLASS A              CMN              23334L102  4765.61151    71507 SH       DEFINED    1               0    71507
DU PONT (E.I.) DE NEMOURS    CMN              263534109   604.54875    12028 SH       DEFINED    2               0    12028
DU PONT (E.I.) DE NEMOURS    CMN              263534109  1047.10378    20833 SH       DEFINED    1               0    20833
DU PONT (E.I.) DE NEMOURS    CMN              263534109  4657.96072    92674 SH       DEFINED    2               0    92674
DUFF & PHELPS CORP-CLASS A   CMN              26433B107   138.99519    10194 SH       SOLE       1           10194        0
DUKE ENERGY CORP             CMN              26441C204   616.43034     9521 SH       DEFINED    2               0     9521
DUKE ENERGY CORP             CMN              26441C204  1889.62672    29186 SH       DEFINED    1               0    29186
DUN & BRADSTREET CORP        CMN              26483E100   217.56323     2716 SH       DEFINED    2               0     2716
DUN & BRADSTREET CORP        CMN              26483E100    773.8875     9661 SH       DEFINED    1               0     9661
DYNAVAX TECHNOLOGIES CORP    CMN              268158102   234.82142    50000 SH       SOLE       2           50000        0
DYNEGY INC                   CMN              26817G300      20.064    52800 SH       SOLE       2           52800        0
E*TRADE FINANCIAL CORP       CMN              269246401   309.74636    35180 SH       DEFINED    2               0    35180
E*TRADE FINANCIAL CORP       CMN              269246401  6440.17994   731455 SH       DEFINED    1               0   731455
EAGLE MATERIALS INC          CMN              26969P108     3.33982       72 SH       DEFINED    2               0       72
EAGLE MATERIALS INC          CMN              26969P108   802.48521    17300 SH       DEFINED    1               0    17300
EARTHLINK INC                CMN              270321102     1.15692      160 SH       DEFINED    2               0      160
EARTHLINK INC                CMN              270321102   189.14246    26158 SH       DEFINED    1               0    26158
EAST WEST BANCORP INC        CMN              27579R104      4.0073      189 SH       DEFINED    2               0      189
EAST WEST BANCORP INC        CMN              27579R104   233.80208    11027 SH       DEFINED    2               0    11027
EAST WEST BANCORP INC        CMN              27579R104   266.28461    12559 SH       DEFINED    1               0    12559
EBAY INC                     CMN              278642103  1207.24947    24940 SH       DEFINED    2               0    24940
EBAY INC                     CMN              278642103  5263.83038   108743 SH       DEFINED    1               0   108743
ECHO THERAPEUTICS INC        CMN              27876L107   267.67638   166000 SH       SOLE       2          166000        0
ECOLAB INC                   CMN              278865100   317.19221     4893 SH       DEFINED    2               0     4893
ECOLAB INC                   CMN              278865100   434.33228     6700 SH       DEFINED    1               0     6700
EDUCATION MANAGEMENT CORP    CMN              28140M103    51.53419    13450 SH       SOLE       2           13450        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
EDWARDS LIFESCIENCES CORP    CMN              28176E108   524.85936     4913 SH       DEFINED    1               0     4913
EDWARDS LIFESCIENCES CORP    CMN              28176E108   581.15916     5440 SH       DEFINED    2               0     5440
ELAN CORP PLC                CMN              284131208     9.36368      870 SH       DEFINED    2               0      870
ELAN CORP PLC                CMN              284131208 11067.83346  1028336 SH       DEFINED    1               0  1028336
ELDORADO GOLD CORP           CMN              284902103       6.094      400 SH       DEFINED    1               0      400
ELDORADO GOLD CORP           CMN              284902103    1343.727    88200 SH       DEFINED    2               0    88200
ELECTRO SCIENTIFIC INDS INC  CMN              285229100   157.69735    12629 SH       SOLE       1           12629        0
ELECTRONIC ARTS INC          CNV              285512AA7  3483.08999   273000 SH       SOLE       1          273000        0
ELI LILLY & CO               CMN              532457108   338.77035     7147 SH       DEFINED    2               0     7147
ELI LILLY & CO               CMN              532457108  2427.27748    51208 SH       DEFINED    1               0    51208
EMC CORP/MA                  CNV              268648AM4 270516.9921  9918000 SH       SOLE       1         9918000        0
EMC CORP/MA                  CMN              268648102   130.92171     4800 SH       DEFINED    3               0     4800
EMC CORP/MA                  CMN              268648102   575.04635    21083 SH       DEFINED    2               0    21083
EMC CORP/MA                  CMN              268648102  3441.33181   126170 SH       DEFINED    1               0   126170
EMCOR GROUP INC              CMN              29084Q100   290.10635    10153 SH       SOLE       1           10153        0
EMERGENT BIOSOLUTIONS INC    CMN              29089Q105   320.91194    22525 SH       SOLE       1           22525        0
EMERSON ELECTRIC CO          CMN              291011104   545.91213    11316 SH       DEFINED    2               0    11316
EMERSON ELECTRIC CO          CMN              291011104  1155.60084    23954 SH       DEFINED    1               0    23954
EMULEX CORP                  CMN              292475209    21.74674     3030 SH       DEFINED    2               0     3030
EMULEX CORP                  CMN              292475209    153.1674    21341 SH       DEFINED    1               0    21341
ENCANA CORP                  CMN              292505104   113.88332     5201 SH       DEFINED    2               0     5201
ENCANA CORP                  CMN              292505104   146.70607     6700 SH       DEFINED    1               0     6700
ENDEAVOUR SILVER CORP        CMN              29258Y103    23.19215     2328 SH       DEFINED    1               0     2328
ENDEAVOUR SILVER CORP        CMN              29258Y103   314.94702    31614 SH       DEFINED    2               0    31614
ENDO HEALTH SOLUTIONS INC    CNV              29264FAB2 81947.67923  2578000 SH       SOLE       1         2578000        0
ENDO HEALTH SOLUTIONS INC    CMN              29264F205   262.81745     8268 SH       DEFINED    2               0     8268
ENDO HEALTH SOLUTIONS INC    CMN              29264F205   987.59986    31069 SH       DEFINED    1               0    31069
ENDOCYTE INC                 CMN              29269A102     0.88875       90 SH       DEFINED    2               0       90
ENDOCYTE INC                 CMN              29269A102   198.73437    20125 SH       DEFINED    1               0    20125
ENERGIZER HOLDINGS INC       CMN              29266R108     2.01709       27 SH       DEFINED    2               0       27
ENERGIZER HOLDINGS INC       CMN              29266R108   593.25066     7941 SH       DEFINED    1               0     7941
ENERGY SELECT SECTOR SPDR    CMN              81369Y506   499.30307     6800 SH       SOLE       1            6800        0
ENERGY TRANSFER EQUITY LP    CMN              29273V100    11.91458      265 SH       DEFINED    2               0      265
ENERGY TRANSFER EQUITY LP    CMN              29273V100    549.6896    12226 SH       DEFINED    1               0    12226
ENERGY TRANSFER PARTNERS LP  CMN              29273R109   300.02548     7075 SH       SOLE       1            7075        0
ENERGYSOLUTIONS INC          CMN              292756202      54.194    19600 SH       DEFINED    2               0    19600
ENERGYSOLUTIONS INC          CMN              292756202   138.25829    50003 SH       DEFINED    1               0    50003
ENERSYS                      CNV              29275YAA0  2661.48053    75000 SH       SOLE       1           75000        0
ENSCO PLC-CL A               CMN              G3157S106   470.89303     8586 SH       SOLE       2            8586        0
ENTEGRIS INC                 CMN              29362U104      1.3251      160 SH       DEFINED    2               0      160
ENTEGRIS INC                 CMN              29362U104   243.17382    29362 SH       DEFINED    1               0    29362
ENTERGY CORP                 CMN              29364G103   110.77192     1600 SH       DEFINED    1               0     1600
ENTERGY CORP                 CMN              29364G103   243.42129     3516 SH       DEFINED    2               0     3516
ENTEROMEDICS INC             CMN              29365M208      570.86   156400 SH       SOLE       2          156400        0
ENZON PHARMACEUTICALS INC    CNV              293904AE8 10456.24999  1500000 SH       SOLE       1         1500000        0
ENZON PHARMACEUTICALS INC    CMN              293904108     7.66791     1100 SH       DEFINED    2               0     1100
ENZON PHARMACEUTICALS INC    CMN              293904108   176.18084    25274 SH       DEFINED    1               0    25274
EOG RESOURCES INC            CMN              26875P101   403.83514     3600 SH       DEFINED    1               0     3600
EOG RESOURCES INC            CMN              26875P101  1148.35009    10237 SH       DEFINED    2               0    10237
EPAM SYSTEMS INC             CMN              29414B104   223.93011    11735 SH       SOLE       1           11735        0
EPIQ SYSTEMS INC             CMN              26882D109   181.95377    13529 SH       SOLE       1           13529        0
EQT CORP                     CMN              26884L109    79.51246     1349 SH       DEFINED    2               0     1349
EQT CORP                     CMN              26884L109  2198.23389    37295 SH       DEFINED    1               0    37295
EQUIFAX INC                  CMN              294429105    30.31567      651 SH       DEFINED    2               0      651
EQUIFAX INC                  CMN              294429105  1036.04168    22248 SH       DEFINED    1               0    22248
EQUINIX INC                  CNV              29444UAG1 1164916.225  5661000 SH       SOLE       1         5661000        0
EQUINIX INC                  CNV              29444UAH9 702530.2938  3414000 SH       SOLE       1         3414000        0
EQUINIX INC                  CMN              29444U502     1.02889        5 SH       DEFINED    2               0        5
EQUINIX INC                  CMN              29444U502  1809.00521     8791 SH       DEFINED    1               0     8791
EQUINIX INC                  CMN              29444U502 10813.28701    52548 SH       DEFINED    2               0    52548






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
EQUITY LIFESTYLE PROPERTIES  CMN              29472R108    27.24015      400 SH       DEFINED    2               0      400
EQUITY LIFESTYLE PROPERTIES  CMN              29472R108   183.87103     2700 SH       DEFINED    1               0     2700
EQUITY ONE INC               CMN              294752100  6705.92833   318296 SH       SOLE       1          318296        0
EQUITY RESIDENTIAL           CMN              29476L107   218.76735     3800 SH       DEFINED    1               0     3800
EQUITY RESIDENTIAL           CMN              29476L107    341.2195     5927 SH       DEFINED    2               0     5927
ERICSSON LM-B SHS            CMN              294821608   219.24857    24000 SH       DEFINED    1               0    24000
ERICSSON LM-B SHS            CMN              294821608   737.99069    80784 SH       DEFINED    2               0    80784
ERIE INDEMNITY COMPANY-CL A  CMN              29530P102   216.58397     3366 SH       SOLE       1            3366        0
ESSEX PROPERTY TRUST INC     CMN              297178105    39.26167      264 SH       DEFINED    2               0      264
ESSEX PROPERTY TRUST INC     CMN              297178105   282.56507     1900 SH       DEFINED    1               0     1900
ESTEE LAUDER COMPANIES-CL A  CMN              518439104   253.70585     4123 SH       DEFINED    2               0     4123
ESTEE LAUDER COMPANIES-CL A  CMN              518439104   527.34882     8570 SH       DEFINED    1               0     8570
ETFS PHYSICAL SILVER SHARES  CMN              26922X107   310.81808     9100 SH       SOLE       2            9100        0
ETFS PLATINUM TRUST          CMN              26922V101   207.76145     1281 SH       SOLE       2            1281        0
ETHAN ALLEN INTERIORS INC    CMN              297602104   257.39809    11742 SH       SOLE       1           11742        0
EURONET WORLDWIDE INC        CNV              298736AF6  1218.84999    65000 SH       SOLE       1           65000        0
EV ENERGY PARTNERS LP        CMN              26926V107    27.99431      450 SH       DEFINED    2               0      450
EV ENERGY PARTNERS LP        CMN              26926V107   211.51258     3400 SH       DEFINED    1               0     3400
EVERCORE PARTNERS INC-CL A   CMN              29977A105  6453.78959   238907 SH       SOLE       1          238907        0
EVEREST RE GROUP LTD         CMN              G3223R108   594.77285     5575 SH       SOLE       1            5575        0
EVOLUTION PETROLEUM CORP     CMN              30049A107    96.15626    11805 SH       SOLE       1           11805        0
EW SCRIPPS CO/THE-A          CMN              811054402   194.75515    18283 SH       SOLE       1           18283        0
EXACT SCIENCES CORP          CMN              30063P105        1099   100000 SH       SOLE       2          100000        0
EXCO RESOURCES INC           CMN              269279402    31.80857     4000 SH       DEFINED    1               0     4000
EXCO RESOURCES INC           CMN              269279402    99.40973    12501 SH       DEFINED    2               0    12501
EXELIXIS INC                 CNV              30161QAC8  7549.60714  1550000 SH       SOLE       1         1550000        0
EXELIXIS INC                 CMN              30161Q104    17.58327     3610 SH       DEFINED    2               0     3610
EXELIXIS INC                 CMN              30161Q104    55.03907    11300 SH       DEFINED    1               0    11300
EXELON CORP                  CMN              30161N101   607.26669    17056 SH       DEFINED    2               0    17056
EXELON CORP                  CMN              30161N101   1224.5738    34394 SH       DEFINED    1               0    34394
EXIDE TECHNOLOGIES           CMN              302051206       1.863      600 SH       DEFINED    2               0      600
EXIDE TECHNOLOGIES           CMN              302051206    50.13333    16146 SH       DEFINED    1               0    16146
EXPEDIA INC                  CMN              30212P303    31.11989      539 SH       DEFINED    2               0      539
EXPEDIA INC                  CMN              30212P303  1190.86987    20626 SH       DEFINED    1               0    20626
EXPEDITORS INTL WASH INC     CMN              302130109   112.71084     3094 SH       DEFINED    2               0     3094
EXPEDITORS INTL WASH INC     CMN              302130109   234.23748     6430 SH       DEFINED    1               0     6430
EXPRESS INC                  CMN              30219E103   731.53897    49414 SH       SOLE       1           49414        0
EXPRESS SCRIPTS HOLDING CO   CMN              30219G108   347.82311     5550 SH       DEFINED    1               0     5550
EXPRESS SCRIPTS HOLDING CO   CMN              30219G108  1582.93984    25258 SH       DEFINED    2               0    25258
EXTERRAN HOLDINGS INC        CNV              30225XAA1 128661.2429  6340000 SH       SOLE       1         6340000        0
EXTRA SPACE STORAGE INC      CMN              30225T102     3.33014      100 SH       DEFINED    1               0      100
EXTRA SPACE STORAGE INC      CMN              30225T102   257.28683     7726 SH       DEFINED    2               0     7726
EXTREME NETWORKS INC         CMN              30226D106    79.77429    23567 SH       SOLE       1           23567        0
EXXON MOBIL CORP             CMN              30231G102   1545.4386    16900 SH       DEFINED    1               0    16900
EXXON MOBIL CORP             CMN              30231G102  4801.92465    52511 SH       DEFINED    2               0    52511
EXXON MOBIL CORP             CMN              30231G102 10749.94292   117555 SH       DEFINED    2               0   117555
F5 NETWORKS INC              CMN              315616102   180.62148     1722 SH       DEFINED    2               0     1722
F5 NETWORKS INC              CMN              315616102   209.78104     2000 SH       DEFINED    1               0     2000
FACEBOOK INC-A               CMN              30303M102   227.85548    10527 SH       DEFINED    2               0    10527
FACEBOOK INC-A               CMN              30303M102   283.98061    13120 SH       DEFINED    2               0    13120
FACEBOOK INC-A               CMN              30303M102  2374.76628   109715 SH       DEFINED    1               0   109715
FACEBOOK INC-A               CMN              30303M102     5.62766      260 SH  CALL DEFINED    1               0      260
FACTSET RESEARCH SYSTEMS INC CMN              303075105     49.3039      508 SH       DEFINED    2               0      508
FACTSET RESEARCH SYSTEMS INC CMN              303075105  2870.59341    29577 SH       DEFINED    1               0    29577
FAIRCHILD SEMICONDUCTOR INTE CMN              303726103    28.96168     2209 SH       DEFINED    1               0     2209
FAIRCHILD SEMICONDUCTOR INTE CMN              303726103   297.61446    22700 SH       DEFINED    2               0    22700
FAIRPOINT COMMUNICATIONS INC COM NEW          305560302    102.7404    13590 SH       SOLE       4           13590        0      0
FAMILY DOLLAR STORES         CMN              307000109    38.09419      575 SH       DEFINED    2               0      575
FAMILY DOLLAR STORES         CMN              307000109   277.65697     4191 SH       DEFINED    1               0     4191
FASTENAL CO                  CMN              311900104   104.30966     2429 SH       DEFINED    2               0     2429






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
FASTENAL CO                  CMN              311900104   574.54057    13379 SH       DEFINED    1               0    13379
FEDERAL MOGUL CORP           COM              313549404    563.6621    61602 SH       SOLE       4           61602        0      0
FEDERAL REALTY INVS TRUST    CMN              313747206   243.12642     2300 SH       SOLE       1            2300        0
FEDERATED INVESTORS INC-CL B CMN              314211103    17.24841      835 SH       DEFINED    2               0      835
FEDERATED INVESTORS INC-CL B CMN              314211103   227.22464    11000 SH       DEFINED    1               0    11000
FEDEX CORP                   CMN              31428X106   277.80461     3281 SH       DEFINED    2               0     3281
FEDEX CORP                   CMN              31428X106   329.53841     3892 SH       DEFINED    1               0     3892
FEI COMPANY                  CNV              30241LAF6   777.73846    15000 SH       SOLE       1           15000        0
FERRO CORP                   CMN              315405100    10.16785     3000 SH       DEFINED    2               0     3000
FERRO CORP                   CMN              315405100   112.57173    33214 SH       DEFINED    1               0    33214
FIDELITY NATIONAL FINL-A     CMN              31620R105    960.9904    45126 SH       SOLE       1           45126        0
FIDELITY NATIONAL FINL-A     CNV              31620RAE5 22381.79571  1051000 SH       SOLE       1         1051000        0
FIDELITY NATIONAL INFORMATIO CMN              31620M106   169.87147     5429 SH       DEFINED    2               0     5429
FIDELITY NATIONAL INFORMATIO CMN              31620M106   435.42666    13916 SH       DEFINED    1               0    13916
FIFTH THIRD BANCORP          CMN              316773100    89.87217     5795 SH       DEFINED    2               0     5795
FIFTH THIRD BANCORP          CMN              316773100   250.07571    16125 SH       DEFINED    2               0    16125
FIFTH THIRD BANCORP          CMN              316773100  3264.56979   210501 SH       DEFINED    1               0   210501
FINANCIAL SELECT SECTOR SPDR CMN              81369Y605  1533.90162    98344 SH       DEFINED    2               0    98344
FINANCIAL SELECT SECTOR SPDR CMN              81369Y605  6272.72244   402167 SH       DEFINED    1               0   402167
FINANCIAL SELECT SECTOR SPDR CMN              81369Y605  8500.53269   545000 SH       DEFINED    2               0   545000
FINISAR CORPORATION          CMN              31787A507     1.43173      100 SH       DEFINED    1               0      100
FINISAR CORPORATION          CMN              31787A507   180.39807    12600 SH       DEFINED    2               0    12600
FINISH LINE/THE - CL A       CMN              317923100   127.72121     5617 SH       DEFINED    1               0     5617
FINISH LINE/THE - CL A       CMN              317923100  1023.22499    45000 SH       DEFINED    2               0    45000
FIRST HORIZON NATIONAL CORP  CMN              320517105    17.05368     1765 SH       DEFINED    2               0     1765
FIRST HORIZON NATIONAL CORP  CMN              320517105   239.30229    24767 SH       DEFINED    2               0    24767
FIRST HORIZON NATIONAL CORP  CMN              320517105   478.66255    49540 SH       DEFINED    1               0    49540
FIRST MAJESTIC SILVER CORP   CMN              32076V103   344.01783    15010 SH       SOLE       2           15010        0
FIRST NIAGARA FINANCIAL GRP  CMN              33582V108    241.6114    30106 SH       DEFINED    2               0    30106
FIRST NIAGARA FINANCIAL GRP  CMN              33582V108   709.23291    88374 SH       DEFINED    1               0    88374
FIRST SOLAR INC              CMN              336433107   477.59022    21487 SH       DEFINED    1               0    21487
FIRST SOLAR INC              CMN              336433107   793.47947    35699 SH       DEFINED    2               0    35699
FIRSTENERGY CORP             CMN              337932107   119.08157     2700 SH       DEFINED    1               0     2700
FIRSTENERGY CORP             CMN              337932107   363.15468     8234 SH       DEFINED    2               0     8234
FIRSTMERIT CORP              CMN              337915102    92.28461     6200 SH       DEFINED    1               0     6200
FIRSTMERIT CORP              CMN              337915102    96.74999     6500 SH       DEFINED    2               0     6500
FISERV INC                   CMN              337738108   221.61472     3010 SH       DEFINED    2               0     3010
FISERV INC                   CMN              337738108   228.24107     3100 SH       DEFINED    1               0     3100
FLAGSTAR BANCORP INC         CMN              337930507    14.63795    13500 SH       SOLE       1           13500        0
FLEXTRONICS INTL LTD         CMN              Y2573F102    54.40224     9056 SH       DEFINED    2               0     9056
FLEXTRONICS INTL LTD         CMN              Y2573F102   140.16268    23332 SH       DEFINED    1               0    23332
FLIR SYSTEMS INC             CMN              302445101   105.42053     5202 SH       DEFINED    2               0     5202
FLIR SYSTEMS INC             CMN              302445101   920.83881    45439 SH       DEFINED    1               0    45439
FLOTEK INDUSTRIES INC        CMN              343389102   220.99969    17443 SH       SOLE       1           17443        0
FLOWERS FOODS INC            CMN              343498101     4.23683      210 SH       DEFINED    2               0      210
FLOWERS FOODS INC            CMN              343498101   977.37633    48444 SH       DEFINED    1               0    48444
FLOWSERVE CORP               CMN              34354P105    89.39799      700 SH       DEFINED    1               0      700
FLOWSERVE CORP               CMN              34354P105   151.46575     1186 SH       DEFINED    2               0     1186
FLUOR CORP                   CMN              343412102    96.46147     1713 SH       DEFINED    2               0     1713
FLUOR CORP                   CMN              343412102    732.2175    13003 SH       DEFINED    1               0    13003
FMC CORP                     CMN              302491303   214.08835     3869 SH       DEFINED    2               0     3869
FMC CORP                     CMN              302491303  1270.69653    22964 SH       DEFINED    1               0    22964
FMC TECHNOLOGIES INC         CMN              30249U101   680.77805    14645 SH       DEFINED    2               0    14645
FMC TECHNOLOGIES INC         CMN              30249U101  1078.46028    23200 SH       DEFINED    1               0    23200
FOMENTO ECONOMICO MEXICA-UBD CMN              344419106    52.70454      573 SH       DEFINED    2               0      573
FOMENTO ECONOMICO MEXICA-UBD CMN              344419106  1528.79958    16621 SH       DEFINED    1               0    16621
FOOT LOCKER INC              CMN              344849104   739.47957    20789 SH       DEFINED    1               0    20789
FOOT LOCKER INC              CMN              344849104  3056.62704    85931 SH       DEFINED    2               0    85931
FORD MOTOR CO                CMN              345370134   104.14639   101113 SH       DEFINED    1               0   101113
FORD MOTOR CO                CMN              345370134 10463.48263 10158721 SH       DEFINED    2               0 10158721






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
FORD MOTOR CO                CMN              345370860  1348.63328   136803 SH       DEFINED    1               0   136803
FORD MOTOR CO                CMN              345370860  1348.63328   136803 SH       DEFINED    1               0   136803
FORD MOTOR CO                CMN              345370860  1562.18192   158465 SH       DEFINED    2               0   158465
FORD MOTOR CO                CMN              345370860  1562.18192   158465 SH       DEFINED    2               0   158465
FORD MOTOR CO                CMN              345370860  3226.61325   327302 SH       DEFINED    2               0   327302
FORD MOTOR CO                CMN              345370860  3226.61325   327302 SH       DEFINED    2               0   327302
FORD MOTOR CO                CMN              345370860   163.05486    16540 SH  PUT  DEFINED    1               0    16540
FORD MOTOR CO                CMN              345370860   163.05486    16540 SH  PUT  DEFINED    1               0    16540
FOREST CITY ENTERPRISES-CL A CMN              345550107   158.55557    10100 SH       DEFINED    2               0    10100
FOREST CITY ENTERPRISES-CL A CMN              345550107   359.79555    22919 SH       DEFINED    1               0    22919
FOREST CITY ENTERPRISES-CL A CMN              345550107  2937.61087   187126 SH       DEFINED    2               0   187126
FOREST LABORATORIES INC      CMN              345838106   170.89371     4800 SH       DEFINED    1               0     4800
FOREST LABORATORIES INC      CMN              345838106  2493.62411    70040 SH       DEFINED    2               0    70040
FOREST OIL CORP              CMN              346091705  3132.46556   370612 SH       SOLE       1          370612        0
FORMFACTOR INC               CMN              346375108    43.30006     7537 SH       DEFINED    2               0     7537
FORMFACTOR INC               CMN              346375108   256.60042    44665 SH       DEFINED    1               0    44665
FORTINET INC                 CMN              34959E109   242.41856    10050 SH       DEFINED    1               0    10050
FORTINET INC                 CMN              34959E109   329.01385    13640 SH       DEFINED    2               0    13640
Fortress Investment Group    CMN              34958B106 344779.6962 60487666 SH       SOLE       1        60487666        0      0
FORWARD AIR CORPORATION      CMN              349853101     48.2043     1600 SH       DEFINED    2               0     1600
FORWARD AIR CORPORATION      CMN              349853101   259.30904     8607 SH       DEFINED    1               0     8607
FOSSIL INC                   CMN              349882100    12.45176      147 SH       DEFINED    2               0      147
FOSSIL INC                   CMN              349882100  2157.45848    25470 SH       DEFINED    1               0    25470
FOSTER WHEELER AG            CMN              H27178104    87.80774     3663 SH       DEFINED    2               0     3663
FOSTER WHEELER AG            CMN              H27178104  3835.44615   160000 SH       DEFINED    1               0   160000
FRANCE TELECOM SA            CMN              35177Q105   110.69915     9033 SH       DEFINED    1               0     9033
FRANCE TELECOM SA            CMN              35177Q105   972.24815    79335 SH       DEFINED    2               0    79335
FRANKLIN RESOURCES INC       CMN              354613101   247.55099     1995 SH       DEFINED    2               0     1995
FRANKLIN RESOURCES INC       CMN              354613101   372.25714     3000 SH       DEFINED    1               0     3000
FRED'S INC-CLASS A           CMN              356108100    20.67759     1452 SH       DEFINED    2               0     1452
FRED'S INC-CLASS A           CMN              356108100   202.85975    14245 SH       DEFINED    1               0    14245
FREEPORT-MCMORAN COPPER      CMN              35671D857   652.96982    16500 SH       DEFINED    1               0    16500
FREEPORT-MCMORAN COPPER      CMN              35671D857  6967.66288   176067 SH       DEFINED    2               0   176067
FREESCALE SEMICONDUCTOR LTD  CMN              G3727Q101   363.78376    37624 SH       SOLE       1           37624        0
FRESENIUS MEDICAL CARE AG &  CMN              358029106     3.66738       50 SH       DEFINED    2               0       50
FRESENIUS MEDICAL CARE AG &  CMN              358029106   205.37353     2800 SH       DEFINED    1               0     2800
FRONTIER COMMUNICATIONS CORP CMN              35906A108     1.10514      226 SH       DEFINED    2               0      226
FRONTIER COMMUNICATIONS CORP CMN              35906A108    41.69703     8527 SH       DEFINED    2               0     8527
FRONTIER COMMUNICATIONS CORP CMN              35906A108  3417.10266   698794 SH       DEFINED    1               0   698794
FRONTLINE LTD                CMN              G3682E127     1.31179      340 SH       DEFINED    1               0      340
FRONTLINE LTD                CMN              G3682E127   129.73245    33625 SH       DEFINED    2               0    33625
FUELCELL ENERGY INC          CMN              35952H106    22.00146    24900 SH       SOLE       2           24900        0
FULTON FINANCIAL CORP        CMN              360271100     6.42111      652 SH       DEFINED    1               0      652
FULTON FINANCIAL CORP        CMN              360271100   156.92334    15934 SH       DEFINED    2               0    15934
FUSHI COPPERWELD INC         CMN              36113E107   104.70819    11767 SH       SOLE       2           11767        0
FUSION-IO INC                CMN              36112J107    37.58572     1240 SH       DEFINED    2               0     1240
FUSION-IO INC                CMN              36112J107   106.08874     3500 SH       DEFINED    3               0     3500
FUSION-IO INC                CMN              36112J107   331.08783    10923 SH       DEFINED    1               0    10923
FX ENERGY INC                CMN              302695101   145.45499    19500 SH       SOLE       2           19500        0
GAFISA SA                    CMN              362607301   374.99071    86000 SH       SOLE       2           86000        0
GANNETT CO                   CMN              364730101    126.4586     7100 SH       DEFINED    2               0     7100
GANNETT CO                   CMN              364730101   244.36789    13720 SH       DEFINED    1               0    13720
GAP INC/THE                  CMN              364760108   360.20601    10055 SH       DEFINED    2               0    10055
GAP INC/THE                  CMN              364760108    648.0484    18090 SH       DEFINED    1               0    18090
GARMIN LTD                   CMN              H2906T109    46.32178     1111 SH       DEFINED    2               0     1111
GARMIN LTD                   CMN              H2906T109   329.38083     7900 SH       DEFINED    1               0     7900
GARTNER INC                  CMN              366651107      2.3063       50 SH       DEFINED    2               0       50
GARTNER INC                  CMN              366651107 14769.96347   320208 SH       DEFINED    1               0   320208
GATX CORP                    CMN              361448103    390.0606     9159 SH       SOLE       1            9159        0
GAYLORD ENTERTAINMENT CO     CMN              367905106  1152.89245    29165 SH       DEFINED    1               0    29165






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
GAYLORD ENTERTAINMENT CO     CMN              367905106  3417.44756    86452 SH       DEFINED    2               0    86452
GAYLORD ENTERTAINMENT CO     CMN              367905106     3755.35    95000 SH       DEFINED    2               0    95000
GENCORP INC                  CNV              368682AN0 48859.97018  5126000 SH       SOLE       1         5126000        0
GENERAL CABLE CORP           CNV              369300AL2 65965.92505  2243000 SH       SOLE       1         2243000        0
GENERAL CABLE CORP           CMN              369300108     10.6463      362 SH       DEFINED    2               0      362
GENERAL CABLE CORP           CMN              369300108  3261.53414   110900 SH       DEFINED    1               0   110900
GENERAL DYNAMICS CORP        CMN              369550108   540.54861     8172 SH       SOLE       2            8172        0
GENERAL ELECTRIC CO          CMN              369604103  5801.43921   257695 SH       DEFINED    1               0   257695
GENERAL ELECTRIC CO          CMN              369604103  8323.88729   369740 SH       DEFINED    2               0   369740
GENERAL ELECTRIC CO          CMN              369604103      7.2041      320 SH  PUT  DEFINED    1               0      320
GENERAL MILLS INC            CMN              370334104   281.06972     7058 SH       DEFINED    2               0     7058
GENERAL MILLS INC            CMN              370334104   673.00628    16900 SH       DEFINED    1               0    16900
GENERAL MOTORS CO            CMN              37045V126  1052.85264   127464 SH       SOLE       1          127464        0
GENERAL MOTORS CO            CMN              37045V100      27.342     1200 SH       DEFINED    3               0     1200
GENERAL MOTORS CO            CMN              37045V100   396.84634    17417 SH       DEFINED    2               0    17417
GENERAL MOTORS CO            CMN              37045V100  2791.80048   122528 SH       DEFINED    1               0   122528
GENERAL MTRS CO              *W EXP 07/10/201 37045V118    74.94942     5439 SH       SOLE       4            1656        0   3783
GENERAL MTRS CO              *W EXP 07/10/201 37045V126    44.92615     5439 SH       SOLE       4            1656        0   3783
GENESCO INC                  CMN              371532102     5.95289       89 SH       DEFINED    2               0       89
GENESCO INC                  CMN              371532102   2937.8526    43923 SH       DEFINED    1               0    43923
GENOMIC HEALTH INC           CMN              37244C101     1.63898       47 SH       DEFINED    2               0       47
GENOMIC HEALTH INC           CMN              37244C101   327.06376     9379 SH       DEFINED    1               0     9379
GENON ENERGY INC             CMN              37244E107    23.71641     9386 SH       DEFINED    2               0     9386
GENON ENERGY INC             CMN              37244E107   355.78153   140804 SH       DEFINED    1               0   140804
GENPACT LTD                  CMN              G3922B107  1088.66765    64948 SH       SOLE       1           64948        0
GENUINE PARTS CO             CMN              372460105   336.70253     5513 SH       DEFINED    2               0     5513
GENUINE PARTS CO             CMN              372460105  1889.82162    30943 SH       DEFINED    1               0    30943
GENWORTH FINANCIAL INC-CL A  CMN              37247D106    92.41401    17543 SH       DEFINED    2               0    17543
GENWORTH FINANCIAL INC-CL A  CMN              37247D106   457.12357    86776 SH       DEFINED    1               0    86776
GERDAU SA-PREF               CMN              373737105   109.98517    11500 SH       SOLE       1           11500        0
GERON CORP                   CMN              374163103     1.06371      600 SH       DEFINED    1               0      600
GERON CORP                   CMN              374163103   155.74727    87851 SH       DEFINED    2               0    87851
GEVO INC                     CMN              374396109    60.97115    25000 SH       SOLE       2           25000        0
GILEAD SCIENCES INC          CNV              375558AH6 416387.2092  6277000 SH       SOLE       1         6277000        0
GILEAD SCIENCES INC          CNV              375558AP8 264877.1908  3993000 SH       SOLE       1         3993000        0
GILEAD SCIENCES INC          CMN              375558103   815.92523    12300 SH       DEFINED    1               0    12300
GILEAD SCIENCES INC          CMN              375558103  1032.84193    15570 SH       DEFINED    2               0    15570
GILEAD SCIENCES INC          CMN              375558103 28760.36935   433560 SH       DEFINED    2               0   433560
GIVEN IMAGING LTD            CMN              M52020100    66.84442     4581 SH       DEFINED    1               0     4581
GIVEN IMAGING LTD            CMN              M52020100   538.72433    36920 SH       DEFINED    2               0    36920
GLAXOSMITHKLINE PLC          CMN              37733W105    81.93728     1772 SH       DEFINED    2               0     1772
GLAXOSMITHKLINE PLC          CMN              37733W105      184.96     4000 SH       DEFINED    1               0     4000
GLOBAL EAGLE ACQUISITION COR CMN              37951D110       86.25   300000 SH       SOLE       6          300000        0
GLOBAL GEOPHYSICAL SERVICES  CMN              37946S107    79.23875    14321 SH       SOLE       1           14321        0
GLOBAL PAYMENTS INC          CMN              37940X102     0.79554       19 SH       DEFINED    2               0       19
GLOBAL PAYMENTS INC          CMN              37940X102   975.29454    23293 SH       DEFINED    1               0    23293
GLOBAL X SILVER MINERS ETF   CMN              37950E853  1202.04089    48300 SH       SOLE       2           48300        0
GLOBAL X URANIUM ETF         CMN              37950E754   252.81693    32960 SH       SOLE       2           32960        0
GLOBECOMM SYSTEMS INC        CMN              37956X103    36.68184     3200 SH       DEFINED    2               0     3200
GLOBECOMM SYSTEMS INC        CMN              37956X103   316.46116    27607 SH       DEFINED    1               0    27607
GLOBUS MARITIME LIMITED      CMN              Y27265209      27.999    10200 SH       SOLE       2           10200        0
GLU MOBILE INC               CMN              379890106   278.31709    59936 SH       SOLE       1           59936        0
GNC HOLDINGS INC-CL A        CMN              36191G107   269.85997     6964 SH       DEFINED    2               0     6964
GNC HOLDINGS INC-CL A        CMN              36191G107   763.00156    19690 SH       DEFINED    1               0    19690
GOLD FIELDS LTD              CMN              38059T106    35.02413     2720 SH       DEFINED    2               0     2720
GOLD FIELDS LTD              CMN              38059T106     262.681    20400 SH       DEFINED    1               0    20400
GOLD RESOURCE CORP           CMN              38068T105   202.66757     9500 SH       SOLE       2            9500        0
GOLDCORP INC                 CMN              380956409    22.92678      500 SH       DEFINED    1               0      500
GOLDCORP INC                 CMN              380956409   486.18541    10603 SH       DEFINED    2               0    10603
GOLDMAN SACHS GROUP INC      CMN              38141G104   206.61021     1816 SH       DEFINED    1               0     1816






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
GOLDMAN SACHS GROUP INC      CMN              38141G104  1894.07863    16648 SH       DEFINED    2               0    16648
GOLDMAN SACHS GROUP INC      CMN              38141G104     12.6287      111 SH  PUT  DEFINED    1               0      111
GOODRICH PETROLEUM CORP      CNV              382410AC2 12804.52461  1012000 SH       SOLE       1         1012000        0
GOODYEAR TIRE & RUBBER CO    CMN              382550101    78.46393     6446 SH       DEFINED    1               0     6446
GOODYEAR TIRE & RUBBER CO    CMN              382550101   112.35217     9230 SH       DEFINED    2               0     9230
GOOGLE INC-CL A              CMN              38259P508   753.93607      999 SH       DEFINED    1               0      999
GOOGLE INC-CL A              CMN              38259P508 117066.8774   155119 SH       DEFINED    2               0   155119
GRAFTECH INTERNATIONAL LTD   CMN              384313102    82.30425     9150 SH       DEFINED    2               0     9150
GRAFTECH INTERNATIONAL LTD   CMN              384313102   852.82494    94811 SH       DEFINED    1               0    94811
GRAMERCY CAPITAL CORP        CMN              384871109   424.46827   141254 SH       SOLE       1          141254        0
GRANITE CONSTRUCTION INC     CMN              387328107     1.64233       57 SH       DEFINED    2               0       57
GRANITE CONSTRUCTION INC     CMN              387328107   240.35673     8342 SH       DEFINED    1               0     8342
GREAT PLAINS ENERGY INC      CMN              391164100    19.99832      900 SH       DEFINED    2               0      900
GREAT PLAINS ENERGY INC      CMN              391164100   597.23875    26878 SH       DEFINED    1               0    26878
GREATBATCH INC               CNV              39153LAB2  2043.86399    84000 SH       SOLE       1           84000        0
GREEN DOT CORP-CLASS A       CMN              39304D102   391.21947    32117 SH       SOLE       1           32117        0
GREEN MOUNTAIN COFFEE ROASTE CMN              393122106    40.54511     1706 SH       DEFINED    2               0     1706
GREEN MOUNTAIN COFFEE ROASTE CMN              393122106  2034.78942    85617 SH       DEFINED    1               0    85617
GREENBRIER COMPANIES INC     CMN              393657101    52.05257     3200 SH       DEFINED    2               0     3200
GREENBRIER COMPANIES INC     CMN              393657101   267.55021    16448 SH       DEFINED    1               0    16448
GROUP 1 AUTOMOTIVE INC       CMN              398905109    211.9973     3522 SH       SOLE       1            3522        0
GROUP 1 AUTOMOTIVE INC       CNV              398905AE9 108586.9231  1804000 SH       SOLE       1         1804000        0
GROUPON INC                  CMN              399473107       24.83     5200 SH       DEFINED    1               0     5200
GROUPON INC                  CMN              399473107    2340.323   490120 SH       DEFINED    2               0   490120
GT ADVANCED TECHNOLOGIES INC CMN              36191U106    76.85436    13904 SH       DEFINED    1               0    13904
GT ADVANCED TECHNOLOGIES INC CMN              36191U106   725.51201   131255 SH       DEFINED    2               0   131255
GUESS? INC                   CMN              401617105   123.77668     4861 SH       DEFINED    1               0     4861
GUESS? INC                   CMN              401617105   338.10055    13278 SH       DEFINED    2               0    13278
GUGGENHEIM ENHANCED EQUITY I CMN              40167B100       2.733      300 SH       SOLE       1             300        0
GULFMARK OFFSHORE INC-CL A   CMN              402629208    333.8692    10105 SH       SOLE       1           10105        0
H&E EQUIPMENT SERVICES INC   CMN              404030108   275.73154    21723 SH       SOLE       1           21723        0
H.B. FULLER CO.              CMN              359694106    179.5191     5852 SH       DEFINED    1               0     5852
H.B. FULLER CO.              CMN              359694106  1803.78046    58800 SH       DEFINED    2               0    58800
HAIN CELESTIAL GROUP INC     CMN              405217100    69.46753     1100 SH       DEFINED    2               0     1100
HAIN CELESTIAL GROUP INC     CMN              405217100   319.23491     5055 SH       DEFINED    1               0     5055
HALCON RESOURCES CORP        CMN              40537Q209    77.02042    10185 SH       DEFINED    2               0    10185
HALCON RESOURCES CORP        CMN              40537Q209   370.03077    48932 SH       DEFINED    1               0    48932
HALLIBURTON CO               CMN              406216101   828.75642    24600 SH       DEFINED    1               0    24600
HALLIBURTON CO               CMN              406216101  3735.46799   110880 SH       DEFINED    2               0   110880
HANCOCK HOLDING CO           CMN              410120109   238.96248     7769 SH       DEFINED    2               0     7769
HANCOCK HOLDING CO           CMN              410120109    696.4946    22644 SH       DEFINED    1               0    22644
HANESBRANDS INC              CMN              410345102     5.89986      185 SH       DEFINED    2               0      185
HANESBRANDS INC              CMN              410345102   341.42669    10706 SH       DEFINED    1               0    10706
HANOVER INSURANCE GROUP INC/ CMN              410867105 14895.95226   399751 SH       SOLE       1          399751        0
HANSEN MEDICAL INC           CMN              411307101    27.50884    13500 SH       SOLE       2           13500        0
HARLEY-DAVIDSON INC          CMN              412822108   180.51402     4253 SH       DEFINED    2               0     4253
HARLEY-DAVIDSON INC          CMN              412822108    589.9706    13900 SH       DEFINED    1               0    13900
HARMAN INTERNATIONAL         CMN              413086109    24.66997      532 SH       DEFINED    2               0      532
HARMAN INTERNATIONAL         CMN              413086109   256.25246     5526 SH       DEFINED    1               0     5526
HARMONY GOLD MINING CO LTD   CMN              413216300   455.80506    54311 SH       SOLE       2           54311        0
HARRIS CORP                  CMN              413875105    30.18666      593 SH       DEFINED    2               0      593
HARRIS CORP                  CMN              413875105   279.57026     5492 SH       DEFINED    1               0     5492
HARRIS TEETER SUPERMARKETS I CMN              414585109   268.35674     6891 SH       SOLE       1            6891        0
HARSCO CORP                  CMN              415864107   201.31121     9798 SH       SOLE       1            9798        0
HARTFORD FINANCIAL SVCS GRP  CMN              416515120    113.4972    10170 SH       SOLE       1           10170        0
HARTFORD FINANCIAL SVCS GRP  CMN              416515104    89.58173     4631 SH       DEFINED    2               0     4631
HARTFORD FINANCIAL SVCS GRP  CMN              416515104   787.29789    40700 SH       DEFINED    1               0    40700
HASBRO INC                   CMN              418056107    63.89355     1672 SH       DEFINED    2               0     1672
HASBRO INC                   CMN              418056107    470.0303    12300 SH       DEFINED    1               0    12300
HATTERAS FINANCIAL CORP      CMN              41902R103  3575.79088   126950 SH       SOLE       2          126950        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
HAWAIIAN ELECTRIC INDS       CMN              419870100   396.71368    15022 SH       SOLE       1           15022        0
HAWAIIAN HOLDINGS INC        CNV              419879AD3  5029.15583   899000 SH       SOLE       1          899000        0
HAWAIIAN HOLDINGS INC        CMN              419879101    69.21102    12372 SH       DEFINED    2               0    12372
HAWAIIAN HOLDINGS INC        CMN              419879101   148.63141    26569 SH       DEFINED    1               0    26569
HCA HOLDINGS INC             CMN              40412C101    72.24417     2175 SH       DEFINED    2               0     2175
HCA HOLDINGS INC             CMN              40412C101   267.38649     8050 SH       DEFINED    1               0     8050
HCC INSURANCE HOLDINGS INC   CMN              404132102   210.28024     6200 SH       SOLE       1            6200        0
HCP INC                      CMN              40414L109   388.22507     8700 SH       DEFINED    1               0     8700
HCP INC                      CMN              40414L109   548.20057    12285 SH       DEFINED    2               0    12285
HDFC BANK LIMITED            CMN              40415F101   161.57084     4300 SH       DEFINED    1               0     4300
HDFC BANK LIMITED            CMN              40415F101   976.93999    26000 SH       DEFINED    2               0    26000
HEADWATERS INC               CMN              42210P102    13.16461     2000 SH       DEFINED    2               0     2000
HEADWATERS INC               CMN              42210P102    90.43432    13739 SH       DEFINED    1               0    13739
HEALTH CARE REIT INC         CMN              42217K106    89.65469     1553 SH       DEFINED    2               0     1553
HEALTH CARE REIT INC         CMN              42217K106    3377.205    58500 SH       DEFINED    1               0    58500
HEALTH CARE SELECT SECTOR    CMN              81369Y209    96.26492     2400 SH       DEFINED    1               0     2400
HEALTH CARE SELECT SECTOR    CMN              81369Y209   123.13888     3070 SH       DEFINED    2               0     3070
HEALTH NET INC               CMN              42222G108    14.34634      638 SH       DEFINED    2               0      638
HEALTH NET INC               CMN              42222G108  9624.12396   427997 SH       DEFINED    1               0   427997
HEALTHCARE REALTY TRUST INC  CMN              421946104  2066.63657    89200 SH       SOLE       1           89200        0
HEALTHCARE SERVICES GROUP    CMN              421906108       0.343       15 SH       DEFINED    2               0       15
HEALTHCARE SERVICES GROUP    CMN              421906108   484.85076    21203 SH       DEFINED    1               0    21203
HEALTHSOUTH CORP             CMN              421924309     2.71612      113 SH       DEFINED    2               0      113
HEALTHSOUTH CORP             CMN              421924309   465.39545    19362 SH       DEFINED    1               0    19362
HEALTHSTREAM INC             CMN              42222N103   228.20215     8016 SH       SOLE       2            8016        0
HEARTLAND PAYMENT SYSTEMS IN CMN              42235N108      9.5123      300 SH       DEFINED    2               0      300
HEARTLAND PAYMENT SYSTEMS IN CMN              42235N108   521.30616    16441 SH       DEFINED    1               0    16441
HEARTWARE INTERNATIONAL INC  CNV              422368AA8  6829.54307    73000 SH       SOLE       1           73000        0
HECKMANN CORP                CMN              422680108     1.25903      300 SH       DEFINED    1               0      300
HECKMANN CORP                CMN              422680108    83.93571    20000 SH       DEFINED    2               0    20000
HECLA MINING CO              CMN              422704106     40.4764     6185 SH       DEFINED    1               0     6185
HECLA MINING CO              CMN              422704106   148.42439    22680 SH       DEFINED    2               0    22680
HELIX ENERGY SOLUTIONS GROUP CNV              42330PAG2  7526.51653   411000 SH       SOLE       1          411000        0
HEMISPHERX BIOPHARMA INC     CMN              42366C103    12.45191    15703 SH       SOLE       1           15703        0
HENRY SCHEIN INC             CMN              806407102   229.53822     2897 SH       DEFINED    2               0     2897
HENRY SCHEIN INC             CMN              806407102   293.16238     3700 SH       DEFINED    1               0     3700
HERBALIFE LTD                CMN              G4412G101   458.37766     9679 SH       DEFINED    1               0     9679
HERBALIFE LTD                CMN              G4412G101  2507.13025    52940 SH       DEFINED    2               0    52940
HERSHEY CO/THE               CMN              427866108   218.42371     3082 SH       DEFINED    2               0     3082
HERSHEY CO/THE               CMN              427866108   467.74707     6600 SH       DEFINED    1               0     6600
HERTZ GLOBAL HOLDINGS INC    CNV              42805TAA3 63375.45285  4618000 SH       SOLE       1         4618000        0
HERTZ GLOBAL HOLDINGS INC    CMN              42805T105   150.95928    11000 SH       DEFINED    2               0    11000
HERTZ GLOBAL HOLDINGS INC    CMN              42805T105   902.11896    65735 SH       DEFINED    1               0    65735
HESS CORP                    CMN              42809H107   252.37489     4700 SH       DEFINED    1               0     4700
HESS CORP                    CMN              42809H107  2468.65602    45974 SH       DEFINED    2               0    45974
HEWLETT-PACKARD CO           CMN              428236103   754.75132    44216 SH       DEFINED    1               0    44216
HEWLETT-PACKARD CO           CMN              428236103  1638.25897    95975 SH       DEFINED    2               0    95975
HEWLETT-PACKARD CO           CMN              428236103   2657.4532   155683 SH       DEFINED    2               0   155683
HEXCEL CORP                  CMN              428291108    20.11789      837 SH       DEFINED    2               0      837
HEXCEL CORP                  CMN              428291108   291.24074    12117 SH       DEFINED    1               0    12117
HIBBETT SPORTS INC           CMN              428567101   142.22876     2397 SH       DEFINED    2               0     2397
HIBBETT SPORTS INC           CMN              428567101   189.87569     3200 SH       DEFINED    1               0     3200
HILL-ROM HOLDINGS INC        CMN              431475102   442.06181    15206 SH       SOLE       1           15206        0
HILLSHIRE BRANDS CO          CMN              432589109     5.78273      216 SH       DEFINED    2               0      216
HILLSHIRE BRANDS CO          CMN              432589109    211.3911     7896 SH       DEFINED    1               0     7896
HILLTOP HOLDINGS INC         CMN              432748101   125.44285    10000 SH       DEFINED    2               0    10000
HILLTOP HOLDINGS INC         CMN              432748101    238.0529    18977 SH       DEFINED    1               0    18977
HITTITE MICROWAVE CORP       CMN              43365Y104     1.44515       26 SH       DEFINED    2               0       26
HITTITE MICROWAVE CORP       CMN              43365Y104   239.00654     4300 SH       DEFINED    1               0     4300
HJ HEINZ CO                  CMN              423074103   335.97235     6000 SH       DEFINED    1               0     6000






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
HJ HEINZ CO                  CMN              423074103   785.16739    14022 SH       DEFINED    2               0    14022
HOLIDAY RV SUPERSTORES INC   CMN              434902201           0   200000 SH       SOLE       1          200000        0
HOLLYFRONTIER CORP           CMN              436106108   128.31229     3116 SH       DEFINED    2               0     3116
HOLLYFRONTIER CORP           CMN              436106108   251.18902     6100 SH       DEFINED    1               0     6100
HOLOGIC INC                  CNV              436440AB7 98645.54333  4876000 SH       SOLE       1         4876000        0
HOME DEPOT INC               CMN              437076102   290.61673     4820 SH       DEFINED    1               0     4820
HOME DEPOT INC               CMN              437076102   611.44072    10141 SH       DEFINED    2               0    10141
HOME DEPOT INC               CMN              437076102    36.17635      600 SH  PUT  DEFINED    1               0      600
HONDA MOTOR CO LTD           CMN              438128308     0.15579        5 SH       DEFINED    2               0        5
HONDA MOTOR CO LTD           CMN              438128308   629.41757    20200 SH       DEFINED    1               0    20200
HONEYWELL INTERNATIONAL INC  CMN              438516106   352.61767     5900 SH       DEFINED    1               0     5900
HONEYWELL INTERNATIONAL INC  CMN              438516106   355.48642     5948 SH       DEFINED    2               0     5948
HORIZON PHARMA INC           CMN              44047T109   185.51046    53237 SH       DEFINED    1               0    53237
HORIZON PHARMA INC           CMN              44047T109   239.51503    68735 SH       DEFINED    2               0    68735
HORNBECK OFFSHORE SERVICES   CNV              440543AE6  8696.34714   236000 SH       SOLE       1          236000        0
HORNBECK OFFSHORE SERVICES   CMN              440543106     0.03684        1 SH       DEFINED    2               0        1
HORNBECK OFFSHORE SERVICES   CMN              440543106   434.81735    11800 SH       DEFINED    1               0    11800
HORNBECK OFFSHORE SERVICES   CMN              440543106  3197.12358    86763 SH       DEFINED    2               0    86763
HORSEHEAD HOLDING CORP       CMN              440694305     0.01887        2 SH       DEFINED    2               0        2
HORSEHEAD HOLDING CORP       CMN              440694305   108.51941    11496 SH       DEFINED    1               0    11496
HOSPIRA INC                  CMN              441060100   190.19116     5790 SH       DEFINED    2               0     5790
HOSPIRA INC                  CMN              441060100  2792.88657    85024 SH       DEFINED    1               0    85024
HOT TOPIC INC                CMN              441339108    29.03238     3300 SH       DEFINED    2               0     3300
HOT TOPIC INC                CMN              441339108    553.9115    62961 SH       DEFINED    1               0    62961
HOVNANIAN ENTERPRISES-A      CMN              442487203   115.21714    33000 SH       DEFINED    2               0    33000
HOVNANIAN ENTERPRISES-A      CMN              442487203   165.56703    47421 SH       DEFINED    1               0    47421
HSBC HOLDINGS PLC            CMN              404280406   219.89518     4733 SH       DEFINED    2               0     4733
HSBC HOLDINGS PLC            CMN              404280406     506.414    10900 SH       DEFINED    1               0    10900
HUANENG POWER INTL INC-H     CMN              443304100     224.475     7500 SH       SOLE       2            7500        0
HUBBELL INC -CL B            CMN              443510201   853.35717    10575 SH       DEFINED    1               0    10575
HUBBELL INC -CL B            CMN              443510201  1021.20426    12655 SH       DEFINED    2               0    12655
HUDSON CITY BANCORP INC      CMN              443683107    24.54925     3097 SH       DEFINED    2               0     3097
HUDSON CITY BANCORP INC      CMN              443683107   257.11322    32436 SH       DEFINED    2               0    32436
HUDSON CITY BANCORP INC      CMN              443683107   2261.7022   285324 SH       DEFINED    1               0   285324
HUMANA INC                   CMN              444859102   155.16468     2212 SH       DEFINED    2               0     2212
HUMANA INC                   CMN              444859102  2255.71018    32157 SH       DEFINED    1               0    32157
HUNTINGTON BANCSHARES INC    CMN              446150104    74.89943    10873 SH       DEFINED    1               0    10873
HUNTINGTON BANCSHARES INC    CMN              446150104   245.61201    35655 SH       DEFINED    2               0    35655
HUNTINGTON BANCSHARES INC    CMN              446150104   268.08942    38918 SH       DEFINED    2               0    38918
HUNTINGTON INGALLS INDUSTRIE CMN              446413106     3.99142       95 SH       DEFINED    2               0       95
HUNTINGTON INGALLS INDUSTRIE CMN              446413106   268.13973     6382 SH       DEFINED    1               0     6382
HYPERDYNAMICS CORP           CMN              448954107    26.77579    36700 SH       SOLE       2           36700        0
IAC/INTERACTIVECORP          CMN              44919P508    88.36687     1706 SH       DEFINED    2               0     1706
IAC/INTERACTIVECORP          CMN              44919P508    88.36687     1706 SH       DEFINED    2               0     1706
IAC/INTERACTIVECORP          CMN              44919P508   921.89546    17798 SH       DEFINED    1               0    17798
IAC/INTERACTIVECORP          CMN              44919P508   921.89546    17798 SH       DEFINED    1               0    17798
IAC/INTERACTIVECORP          CMN              44919P508   647.47125    12500 SH  PUT  DEFINED    2               0    12500
IAC/INTERACTIVECORP          CMN              44919P508   647.47125    12500 SH  PUT  DEFINED    2               0    12500
IAMGOLD CORP                 CMN              450913108    29.34312     1858 SH       DEFINED    1               0     1858
IAMGOLD CORP                 CMN              450913108  2834.97578   179510 SH       DEFINED    2               0   179510
ICF INTERNATIONAL INC        CMN              44925C103   235.30901    11636 SH       SOLE       1           11636        0
ICICI BANK LTD               CMN              45104G104    319.7166     7961 SH       SOLE       2            7961        0
IDENIX PHARMACEUTICALS INC   CMN              45166R204    19.20853     4200 SH       DEFINED    2               0     4200
IDENIX PHARMACEUTICALS INC   CMN              45166R204   208.92944    45683 SH       DEFINED    1               0    45683
IDEX CORP                    CMN              45167R104    409.2458     9808 SH       SOLE       1            9808        0
IDEXX LABORATORIES INC       CMN              45168D104    95.59797      970 SH       DEFINED    2               0      970
IDEXX LABORATORIES INC       CMN              45168D104   572.10954     5805 SH       DEFINED    1               0     5805
IDT CORP-CLASS B             CMN              448947507   104.83647    10192 SH       SOLE       1           10192        0
IHS INC-CLASS A              CMN              451734107   255.18289     2594 SH       DEFINED    2               0     2594
IHS INC-CLASS A              CMN              451734107   506.72594     5151 SH       DEFINED    1               0     5151






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
ILLINOIS TOOL WORKS          CMN              452308109   867.72595    14563 SH       DEFINED    2               0    14563
ILLINOIS TOOL WORKS          CMN              452308109  1064.41367    17864 SH       DEFINED    1               0    17864
ILLUMINA INC                 CMN              452327109   261.80624     5442 SH       DEFINED    1               0     5442
ILLUMINA INC                 CMN              452327109  3766.45956    78291 SH       DEFINED    2               0    78291
ILLUMINA INC                 CMN              452327109 19081.25909   396630 SH       DEFINED    2               0   396630
IMATION CORP                 CMN              45245A107    77.86551    13841 SH       SOLE       1           13841        0
IMAX CORP                    CMN              45245E109    733.6469    36428 SH       SOLE       2           36428        0
IMPAX LABORATORIES INC       CMN              45256B101    31.15296     1200 SH       DEFINED    1               0     1200
IMPAX LABORATORIES INC       CMN              45256B101   301.71651    11622 SH       DEFINED    2               0    11622
INCYTE CORP                  CNV              45337CAJ1 31542.88285  1752000 SH       SOLE       1         1752000        0
INCYTE CORP                  CMN              45337C102     2.71859      151 SH       DEFINED    2               0      151
INCYTE CORP                  CMN              45337C102   364.97563    20272 SH       DEFINED    1               0    20272
INDUSTRIAL SELECT SECT SPDR  CMN              81369Y704    90.93384     2490 SH       DEFINED    2               0     2490
INDUSTRIAL SELECT SECT SPDR  CMN              81369Y704    730.3923    20000 SH       DEFINED    1               0    20000
INFINERA CORP                CMN              45667G103    19.76897     3602 SH       DEFINED    2               0     3602
INFINERA CORP                CMN              45667G103   102.84587    18739 SH       DEFINED    1               0    18739
INFOSYS LTD                  CMN              456788108     9.69967      200 SH       DEFINED    1               0      200
INFOSYS LTD                  CMN              456788108   315.33644     6502 SH       DEFINED    2               0     6502
INFOSYS LTD                  CMN              456788108   789.55357    16280 SH       DEFINED    2               0    16280
ING GROEP NV-CVA             CMN              456837103     1.58814      200 SH       DEFINED    1               0      200
ING GROEP NV-CVA             CMN              456837103     506.157    63742 SH       DEFINED    2               0    63742
ING PRIME RATE TRUST         CMN              44977W106    78.74105    12750 SH       SOLE       1           12750        0
INGERSOLL-RAND PLC           CMN              G47791101   224.20919     4994 SH       DEFINED    2               0     4994
INGERSOLL-RAND PLC           CMN              G47791101   687.21869    15307 SH       DEFINED    1               0    15307
INGERSOLL-RAND PLC           CMN              G47791101 292827.5824  6522395 SH       DEFINED    7               0  6522395
INGRAM MICRO INC-CL A        CMN              457153104     3.47172      227 SH       DEFINED    2               0      227
INGRAM MICRO INC-CL A        CMN              457153104   212.20325    13875 SH       DEFINED    1               0    13875
INSIGHT ENTERPRISES INC      CMN              45765U103     2.81723      160 SH       DEFINED    2               0      160
INSIGHT ENTERPRISES INC      CMN              45765U103   215.35968    12231 SH       DEFINED    1               0    12231
INSULET CORP                 CNV              45784PAC5 27711.99999  1300000 SH       SOLE       1         1300000        0
INTEGRYS ENERGY GROUP INC    CMN              45822P105    92.94026     1775 SH       DEFINED    2               0     1775
INTEGRYS ENERGY GROUP INC    CMN              45822P105   506.69463     9677 SH       DEFINED    1               0     9677
INTEL CORP                   CNV              458140AF7     86016.8  3800000 SH       SOLE       1         3800000        0
INTEL CORP                   CMN              458140100    751.0172    33178 SH       DEFINED    2               0    33178
INTEL CORP                   CMN              458140100  2421.37292   106970 SH       DEFINED    1               0   106970
INTEL CORP                   CMN              458140100  5828.70209   257497 SH       DEFINED    2               0   257497
INTEL CORP                   CMN              458140100      67.908     3000 SH  PUT  DEFINED    1               0     3000
INTEL CORP                   CMN              458140100      113.18     5000 SH  CALL DEFINED    1               0     5000
INTERACTIVE BROKERS GRO-CL A CMN              45841N107   345.12491    24593 SH       SOLE       1           24593        0
INTERCONTINENTAL HOTELS GROU CMN              45857P301   744.50551    29200 SH       DEFINED    1               0    29200
INTERCONTINENTAL HOTELS GROU CMN              45857P301  3824.51464   150000 SH       DEFINED    2               0   150000
INTERCONTINENTALEXCHANGE INC CMN              45865V100   245.81412     1838 SH       DEFINED    2               0     1838
INTERCONTINENTALEXCHANGE INC CMN              45865V100   915.71778     6847 SH       DEFINED    1               0     6847
INTERDIGITAL INC             CMN              45867G101   111.38076     3000 SH       DEFINED    1               0     3000
INTERDIGITAL INC             CMN              45867G101   325.41748     8765 SH       DEFINED    2               0     8765
INTERMUNE INC                CMN              45884X103   145.63688    16100 SH       DEFINED    2               0    16100
INTERMUNE INC                CMN              45884X103   207.51899    22941 SH       DEFINED    1               0    22941
INTERNAP NETWORK SERVICES    CMN              45885A300    71.09408    10284 SH       SOLE       1           10284        0
INTERNATIONAL PAPER CO       CMN              460146103   121.55778     3346 SH       DEFINED    2               0     3346
INTERNATIONAL PAPER CO       CMN              460146103  8467.84788   233086 SH       DEFINED    1               0   233086
INTEROIL CORP                CMN              460951106   664.50087     8560 SH       SOLE       2            8560        0
INTERPUBLIC GROUP OF COS INC CNV              460690BE9  9552.69357   859000 SH       SOLE       1          859000        0
INTERPUBLIC GROUP OF COS INC CMN              460690100    124.9857    11239 SH       DEFINED    2               0    11239
INTERPUBLIC GROUP OF COS INC CMN              460690100  1092.51009    98241 SH       DEFINED    1               0    98241
INTERSECTIONS INC            CMN              460981301   173.91991    15581 SH       SOLE       1           15581        0
INTERSIL CORP-A              CMN              46069S109    29.82692     3300 SH       DEFINED    1               0     3300
INTERSIL CORP-A              CMN              46069S109   243.13461    26900 SH       DEFINED    2               0    26900
INTL BUSINESS MACHINES CORP  CMN              459200101    36.46556      176 SH       DEFINED    2               0      176
INTL BUSINESS MACHINES CORP  CMN              459200101  1567.81213     7567 SH       DEFINED    1               0     7567
INTL BUSINESS MACHINES CORP  CMN              459200101  4290.09092    20706 SH       DEFINED    2               0    20706






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
INTL FLAVORS & FRAGRANCES    CMN              459506101    36.67071      614 SH       DEFINED    2               0      614
INTL FLAVORS & FRAGRANCES    CMN              459506101  1168.08757    19558 SH       DEFINED    1               0    19558
INTL GAME TECHNOLOGY         CNV              459902AQ5 47810.84178  3671000 SH       SOLE       1         3671000        0
INTL GAME TECHNOLOGY         CMN              459902102    26.95953     2070 SH       DEFINED    2               0     2070
INTL GAME TECHNOLOGY         CMN              459902102    33.86221     2600 SH       DEFINED    1               0     2600
INTL GAME TECHNOLOGY         CMN              459902102  4964.82576   381208 SH       DEFINED    2               0   381208
INTUIT INC                   CMN              461202103   502.09512     8529 SH       DEFINED    2               0     8529
INTUIT INC                   CMN              461202103  1004.72006    17067 SH       DEFINED    1               0    17067
INTUITIVE SURGICAL INC       CMN              46120E602   710.72197     1428 SH       DEFINED    1               0     1428
INTUITIVE SURGICAL INC       CMN              46120E602  1892.77006     3803 SH       DEFINED    2               0     3803
INVESCO LTD                  CMN              G491BT108   100.16434     4002 SH       DEFINED    2               0     4002
INVESCO LTD                  CMN              G491BT108   165.16354     6599 SH       DEFINED    1               0     6599
INVESCO VAN KAMPEN SENIOR IN CMN              46131H107   129.91999    26000 SH       SOLE       1           26000        0
INVESTMENT TECHNOLOGY GROUP  CMN              46145F105    13.06441     1500 SH       DEFINED    2               0     1500
INVESTMENT TECHNOLOGY GROUP  CMN              46145F105   109.80202    12607 SH       DEFINED    1               0    12607
ION GEOPHYSICAL CORP         CMN              462044108   189.55907    27400 SH       DEFINED    2               0    27400
ION GEOPHYSICAL CORP         CMN              462044108   207.39422    29978 SH       DEFINED    1               0    29978
IPATH S&P 500 VIX M/T FU ETN CMN              06740C519   363.41658    10700 SH       DEFINED    2               0    10700
IPATH S&P 500 VIX M/T FU ETN CMN              06740C519     404.717    11916 SH       DEFINED    1               0    11916
IPATH S&P 500 VIX S/T FU ETN CMN              06740C261   142.61421    14194 SH       DEFINED    1               0    14194
IPATH S&P 500 VIX S/T FU ETN CMN              06740C261  6662.03506   663054 SH       DEFINED    2               0   663054
IQ US REAL ESTATE SMALL CAP  CMN              45409B628      4381.8   200000 SH       SOLE       1          200000        0
IROBOT CORP                  CMN              462726100    92.69507     4059 SH       DEFINED    1               0     4059
IROBOT CORP                  CMN              462726100   148.43999     6500 SH       DEFINED    2               0     6500
ISHARES BARCLAYS 1-3 YEAR TR CMN              464287457   414.95143     4911 SH       DEFINED    2               0     4911
ISHARES BARCLAYS 1-3 YEAR TR CMN              464287457    949.2088    11234 SH       DEFINED    1               0    11234
ISHARES BARCLAYS 20+ YEAR TR CMN              464287432   116.88378      941 SH       DEFINED    1               0      941
ISHARES BARCLAYS 20+ YEAR TR CMN              464287432  2660.00656    21415 SH       DEFINED    2               0    21415
ISHARES BARCLAYS 3-7 YEAR    CMN              464288661   329.03045     2662 SH       SOLE       2            2662        0
ISHARES BARCLAYS 7-10 YEAR   CMN              464287440  2040.02958    18806 SH       SOLE       2           18806        0
ISHARES BARCLAYS AGGREGATE   CMN              464287226    59.93256      533 SH       DEFINED    2               0      533
ISHARES BARCLAYS AGGREGATE   CMN              464287226   168.66574     1500 SH       DEFINED    1               0     1500
ISHARES BARCLAYS TIPS BOND   CMN              464287176  1346.26542    11058 SH       SOLE       2           11058        0
ISHARES DJ US REAL ESTATE    CMN              464287739  7163.06952   111265 SH       DEFINED    2               0   111265
ISHARES DJ US REAL ESTATE    CMN              464287739  7661.03692   119000 SH       DEFINED    1               0   119000
ISHARES DJ US REAL ESTATE    CMN              464287739 11772.43861   182863 SH       DEFINED    2               0   182863
ISHARES FTSE CHINA 25 INDEX  CMN              464287184   527.60492    15296 SH       DEFINED    2               0    15296
ISHARES FTSE CHINA 25 INDEX  CMN              464287184   527.60492    15296 SH       DEFINED    2               0    15296
ISHARES FTSE CHINA 25 INDEX  CMN              464287184   703.93314    20408 SH       DEFINED    1               0    20408
ISHARES FTSE CHINA 25 INDEX  CMN              464287184   703.93314    20408 SH       DEFINED    1               0    20408
ISHARES FTSE CHINA 25 INDEX  CMN              464287184     17246.5   500000 SH  PUT  DEFINED    2               0   500000
ISHARES FTSE CHINA 25 INDEX  CMN              464287184     17246.5   500000 SH  PUT  DEFINED    2               0   500000
ISHARES IBOXX H/Y CORP BOND  CMN              464288513   194.50529     2106 SH       DEFINED    1               0     2106
ISHARES IBOXX H/Y CORP BOND  CMN              464288513  4859.39998    52615 SH       DEFINED    2               0    52615
ISHARES IBOXX INV GR CORP BD CMN              464287242  4282.15593    35181 SH       SOLE       2           35181        0
ISHARES MSCI AUSTRALIA INDEX CMN              464286103   215.98471     9069 SH       SOLE       2            9069        0
ISHARES MSCI BRAZIL          CMN              464286400   457.34643     8423 SH       DEFINED    2               0     8423
ISHARES MSCI BRAZIL          CMN              464286400  3381.52932    62278 SH       DEFINED    1               0    62278
ISHARES MSCI BRAZIL          CMN              464286400  5412.79256    99688 SH       DEFINED    2               0    99688
ISHARES MSCI BRIC INDEX FUND CMN              464286657   459.76008    12096 SH       SOLE       2           12096        0
ISHARES MSCI CANADA          CMN              464286509   191.84646     6732 SH       DEFINED    2               0     6732
ISHARES MSCI CANADA          CMN              464286509   313.47461    11000 SH       DEFINED    1               0    11000
ISHARES MSCI EAFE INDEX FUND CMN              464287465   487.31732     9315 SH       DEFINED    2               0     9315
ISHARES MSCI EAFE INDEX FUND CMN              464287465  1353.24072    25867 SH       DEFINED    2               0    25867
ISHARES MSCI EAFE INDEX FUND CMN              464287465 15923.00874   304366 SH       DEFINED    1               0   304366
ISHARES MSCI EASTERN EUROPE  CMN              464286566   326.85849    12800 SH       SOLE       2           12800        0
ISHARES MSCI EMERGING MKT IN CMN              464287234   949.55523    22962 SH       DEFINED    2               0    22962
ISHARES MSCI EMERGING MKT IN CMN              464287234  5295.91463   128065 SH       DEFINED    2               0   128065
ISHARES MSCI EMERGING MKT IN CMN              464287234 13184.22837   318819 SH       DEFINED    1               0   318819
ISHARES MSCI EMERGING MKT IN CMN              464287234    16.54133      400 SH  PUT  DEFINED    1               0      400






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
ISHARES MSCI GERMANY INDEX   CMN              464286806   247.82946    10999 SH       SOLE       2           10999        0
ISHARES MSCI JAPAN INDEX FD  CMN              464286848   341.99751    37233 SH       DEFINED    2               0    37233
ISHARES MSCI JAPAN INDEX FD  CMN              464286848   445.12125    48460 SH       DEFINED    1               0    48460
ISHARES MSCI SINGAPORE       CMN              464286673      467.64    34640 SH       SOLE       2           34640        0
ISHARES MSCI SOUTH KOREA IND CMN              464286772    11.73698      200 SH       DEFINED    1               0      200
ISHARES MSCI SOUTH KOREA IND CMN              464286772   391.83929     6677 SH       DEFINED    2               0     6677
ISHARES MSCI THAILAND INVSTB CMN              464286624   441.01894     5818 SH       SOLE       2            5818        0
ISHARES MSCI TURKEY INVSTBLE CMN              464286715   436.60759     7806 SH       SOLE       2            7806        0
ISHARES NASDAQ BIOTECH INDX  CMN              464287556   244.89091     1722 SH       SOLE       2            1722        0
ISHARES RUSSELL 2000         CMN              464287655  1500.16211    17990 SH       DEFINED    2               0    17990
ISHARES RUSSELL 2000         CMN              464287655 405891.6666  4867468 SH       DEFINED    1               0  4867468
ISHARES S&P 500 INDEX FUND   CMN              464287200 145241.7274  1001330 SH       SOLE       1         1001330        0
ISHARES S&P MIDCAP 400       CMN              464287507   213.47618     2161 SH       SOLE       2            2161        0
ISHARES SILVER TRUST         CMN              46428Q109    13.38061      400 SH       DEFINED    1               0      400
ISHARES SILVER TRUST         CMN              46428Q109  1615.97691    48308 SH       DEFINED    2               0    48308
ITAU UNIBANCO HOLDING S-PREF CMN              465562106   171.51838    11240 SH       DEFINED    2               0    11240
ITAU UNIBANCO HOLDING S-PREF CMN              465562106   390.64685    25600 SH       DEFINED    1               0    25600
ITAU UNIBANCO HOLDING S-PREF CMN              465562106  1579.37303   103500 SH       DEFINED    2               0   103500
ITT CORP                     CMN              450911201     5.39349      267 SH       DEFINED    2               0      267
ITT CORP                     CMN              450911201   240.38424    11900 SH       DEFINED    1               0    11900
IVANHOE ENERGY INC           CMN              465790103    12.47549    22500 SH       SOLE       2           22500        0
IXIA                         CNV              45071RAB5  4984.56207   321000 SH       SOLE       1          321000        0
J.C. PENNEY CO INC           CMN              708160106     24.9274     1026 SH       DEFINED    2               0     1026
J.C. PENNEY CO INC           CMN              708160106  5987.29005   246434 SH       DEFINED    1               0   246434
JABIL CIRCUIT INC            CMN              466313103   837.02165    44180 SH       DEFINED    1               0    44180
JABIL CIRCUIT INC            CMN              466313103  1413.42606    74604 SH       DEFINED    2               0    74604
JACK HENRY & ASSOCIATES INC  CMN              426281101   168.81819     4469 SH       DEFINED    2               0     4469
JACK HENRY & ASSOCIATES INC  CMN              426281101   996.21244    26372 SH       DEFINED    1               0    26372
JACK IN THE BOX INC          CMN              466367109   117.30998     4230 SH       DEFINED    2               0     4230
JACK IN THE BOX INC          CMN              466367109    376.4458    13574 SH       DEFINED    1               0    13574
JACOBS ENGINEERING GROUP INC CMN              469814107   202.19807     5000 SH       DEFINED    1               0     5000
JACOBS ENGINEERING GROUP INC CMN              469814107   492.35231    12175 SH       DEFINED    2               0    12175
JAGUAR MINING INC            CMN              47009M103     6.09107     5000 SH       DEFINED    1               0     5000
JAGUAR MINING INC            CMN              47009M103      24.145    19820 SH       DEFINED    2               0    19820
JAMES RIVER COAL CO          CNV              470355AF5    61.62692    15000 SH       SOLE       1           15000        0
JANUS CAPITAL GROUP INC      CMN              47102X105   190.79554    20232 SH       SOLE       1           20232        0
JANUS CAPITAL GROUP INC      CNV              47102XAG0 10562.03076  1120000 SH       SOLE       1         1120000        0
JDS UNIPHASE CORP            CMN              46612J507     4.97571      400 SH       DEFINED    1               0      400
JDS UNIPHASE CORP            CMN              46612J507   382.57023    30755 SH       DEFINED    2               0    30755
JEFFERIES GROUP INC          CMN              472319102    78.79028     5700 SH       DEFINED    2               0     5700
JEFFERIES GROUP INC          CMN              472319102    81.51338     5897 SH       DEFINED    1               0     5897
JETBLUE AIRWAYS CORP         CMN              477143101     4.31582      900 SH       DEFINED    2               0      900
JETBLUE AIRWAYS CORP         CMN              477143101   328.89436    68586 SH       DEFINED    1               0    68586
JM SMUCKER CO/THE            CMN              832696405   263.66999     3055 SH       DEFINED    2               0     3055
JM SMUCKER CO/THE            CMN              832696405   320.89199     3718 SH       DEFINED    1               0     3718
JOHNSON & JOHNSON            CNV              02261WAB5  124423.725  1806000 SH       SOLE       1         1806000        0
JOHNSON & JOHNSON            CMN              478160104   378.92053     5500 SH       DEFINED    1               0     5500
JOHNSON & JOHNSON            CMN              478160104  3492.26944    50690 SH       DEFINED    2               0    50690
JOHNSON CONTROLS INC         CMN              478366107   304.04089    11100 SH       DEFINED    1               0    11100
JOHNSON CONTROLS INC         CMN              478366107   944.96457    34499 SH       DEFINED    2               0    34499
JONES GROUP INC/THE          CMN              48020T101    56.68046     4400 SH       DEFINED    2               0     4400
JONES GROUP INC/THE          CMN              48020T101   196.66831    15267 SH       DEFINED    1               0    15267
JOURNAL COMMUNICATIONS INC-A CMN              481130102   107.70981    20692 SH       SOLE       1           20692        0
JOY GLOBAL INC               CMN              481165108    29.20464      500 SH       DEFINED    1               0      500
JOY GLOBAL INC               CMN              481165108   282.58412     4838 SH       DEFINED    2               0     4838
JPMORGAN CHASE & CO          CMN              46625H100   248.43655     6139 SH       DEFINED    2               0     6139
JPMORGAN CHASE & CO          CMN              46625H100  4160.77617   102815 SH       DEFINED    2               0   102815
JPMORGAN CHASE & CO          CMN              46625H100 19685.20813   486432 SH       DEFINED    1               0   486432
JPMORGAN CHASE & CO          CMN              46625H100     0.20234        5 SH  PUT  DEFINED    1               0        5
JUNIPER NETWORKS INC         CMN              48203R104   268.97784    15623 SH       DEFINED    2               0    15623






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
JUNIPER NETWORKS INC         CMN              48203R104   895.10068    51990 SH       DEFINED    1               0    51990
KAISER ALUMINUM CORP         CMN              483007704    26.77538      462 SH       DEFINED    2               0      462
KAISER ALUMINUM CORP         CMN              483007704   144.88846     2500 SH       DEFINED    1               0     2500
KAISER ALUMINUM CORP         CMN              483007704  4189.53679    72289 SH       DEFINED    2               0    72289
KANSAS CITY SOUTHERN         CMN              485170302   869.65133    11493 SH       DEFINED    1               0    11493
KANSAS CITY SOUTHERN         CMN              485170302  2864.33322    37854 SH       DEFINED    2               0    37854
KB HOME                      CMN              48666K109   469.73896    32710 SH       DEFINED    2               0    32710
KB HOME                      CMN              48666K109  3460.19974   240949 SH       DEFINED    1               0   240949
KBR INC                      CMN              48242W106    74.31086     2483 SH       DEFINED    2               0     2483
KBR INC                      CMN              48242W106  2699.49271    90200 SH       DEFINED    1               0    90200
KELLOGG CO                   CMN              487836108    67.01453     1300 SH       DEFINED    1               0     1300
KELLOGG CO                   CMN              487836108   442.24438     8579 SH       DEFINED    2               0     8579
KENEXA CORP                  CMN              488879107    220.2326     4800 SH       SOLE       1            4800        0
KENNAMETAL INC               CMN              489170100   146.69639     3951 SH       DEFINED    2               0     3951
KENNAMETAL INC               CMN              489170100   338.94998     9129 SH       DEFINED    1               0     9129
KERYX BIOPHARMACEUTICALS     CMN              492515101   143.69427    48882 SH       SOLE       2           48882        0
KEY ENERGY SERVICES INC      CMN              492914106   260.32669    36894 SH       SOLE       1           36894        0
KEYCORP                      CMN              493267108    48.55985     5559 SH       DEFINED    2               0     5559
KEYCORP                      CMN              493267108   247.66484    28352 SH       DEFINED    2               0    28352
KEYCORP                      CMN              493267108   327.57589    37500 SH       DEFINED    1               0    37500
KIMBERLY-CLARK CORP          CMN              494368103   240.12399     2800 SH       DEFINED    1               0     2800
KIMBERLY-CLARK CORP          CMN              494368103   296.38162     3456 SH       DEFINED    2               0     3456
KIMCO REALTY CORP            CMN              49446R109    81.99696     4035 SH       DEFINED    2               0     4035
KIMCO REALTY CORP            CMN              49446R109   195.08571     9600 SH       DEFINED    1               0     9600
KINDER MORGAN INC            CMN              49456B101   304.70221     8576 SH       DEFINED    2               0     8576
KINDER MORGAN INC            CMN              49456B101   1327.5651    37365 SH       DEFINED    1               0    37365
KINDER MORGAN INC            CMN              49456B119     7.64659     2191 SH       DEFINED    2               0     2191
KINDER MORGAN INC            CMN              49456B119    33.95421     9729 SH       DEFINED    1               0     9729
KINDER MORGAN MANAGEMENT LLC CMN              49455U100     7.60864      100 SH       DEFINED    1               0      100
KINDER MORGAN MANAGEMENT LLC CMN              49455U100   456.51857     6000 SH       DEFINED    2               0     6000
KINDRED HEALTHCARE INC       CMN              494580103       9.102      800 SH       DEFINED    2               0      800
KINDRED HEALTHCARE INC       CMN              494580103   291.75323    25643 SH       DEFINED    1               0    25643
KINROSS GOLD CORP            CMN              496902404    13.26835     1300 SH       DEFINED    1               0     1300
KINROSS GOLD CORP            CMN              496902404   677.49252    66379 SH       DEFINED    2               0    66379
KKR FINANCIAL HOLDINGS LLC   CMN              48248A306   180.14348    17905 SH       SOLE       1           17905        0
KKR FINANCIAL HOLDINGS LLC   CNV              48248AAD0  1006.10714   100000 SH       SOLE       1          100000        0
KLA-TENCOR CORPORATION       CMN              482480100   146.78287     3076 SH       DEFINED    2               0     3076
KLA-TENCOR CORPORATION       CMN              482480100   904.17487    18948 SH       DEFINED    1               0    18948
KNIGHT CAPITAL GROUP INC-A   CMN              499005106    46.82087    17478 SH       DEFINED    2               0    17478
KNIGHT CAPITAL GROUP INC-A   CMN              499005106    48.48711    18100 SH       DEFINED    1               0    18100
KNIGHT CAPITAL GROUP INC-A   CMN              499005106   187.78711    70100 SH       DEFINED    2               0    70100
KODIAK OIL & GAS CORP        CMN              50015Q100    30.15402     3290 SH       DEFINED    2               0     3290
KODIAK OIL & GAS CORP        CMN              50015Q100   143.21787    15626 SH       DEFINED    1               0    15626
KOHLS CORP                   CMN              500255104   221.33805     4325 SH       DEFINED    2               0     4325
KOHLS CORP                   CMN              500255104  5219.27924   101986 SH       DEFINED    1               0   101986
KONINKLIJKE PHILIPS ELECTRON CMN              500472303   501.04862    21372 SH       DEFINED    2               0    21372
KONINKLIJKE PHILIPS ELECTRON CMN              500472303   684.56951    29200 SH       DEFINED    1               0    29200
KOSMOS ENERGY LTD            CMN              G5315B107   197.79978    17377 SH       SOLE       1           17377        0
KRAFT FOODS INC-CLASS A      CMN              50075N104  1212.92947    29334 SH       DEFINED    2               0    29334
KRAFT FOODS INC-CLASS A      CMN              50075N104 17960.15521   434356 SH       DEFINED    1               0   434356
KROGER CO                    CMN              501044101   397.41002    16879 SH       DEFINED    2               0    16879
KROGER CO                    CMN              501044101   615.76304    26153 SH       DEFINED    1               0    26153
KRONOS WORLDWIDE INC         CMN              50105F105   111.70331     7400 SH       DEFINED    2               0     7400
KRONOS WORLDWIDE INC         CMN              50105F105   558.06373    36970 SH       DEFINED    1               0    36970
KT CORP                      CMN              48268K101   164.82142    10400 SH       SOLE       1           10400        0
KULICKE & SOFFA INDUSTRIES   CMN              501242101    48.88587     4700 SH       DEFINED    2               0     4700
KULICKE & SOFFA INDUSTRIES   CMN              501242101   317.61257    30536 SH       DEFINED    1               0    30536
KV PHARMACEUTICAL CO-CL A    CNV              482740AC1          40   800000 SH       SOLE       1          800000        0
L-3 COMMUNICATIONS HOLDINGS  CNV              502413AW7  8904.45417   124000 SH       SOLE       1          124000        0
LABORATORY CRP OF AMER HLDGS CNV              50540RAG7  1290.63499    14000 SH       SOLE       1           14000        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
LABORATORY CRP OF AMER HLDGS CMN              50540R409   143.53704     1557 SH       DEFINED    2               0     1557
LABORATORY CRP OF AMER HLDGS CMN              50540R409   959.77149    10411 SH       DEFINED    1               0    10411
LAM RESEARCH CORP            CMN              512807108   141.88301     4462 SH       DEFINED    2               0     4462
LAM RESEARCH CORP            CMN              512807108   210.78945     6629 SH       DEFINED    1               0     6629
LAMAR ADVERTISING CO-A       CMN              512815101     1.13633       31 SH       DEFINED    2               0       31
LAMAR ADVERTISING CO-A       CMN              512815101   276.23915     7536 SH       DEFINED    1               0     7536
LAS VEGAS SANDS CORP         CMN              517834107   284.40653     6132 SH       DEFINED    1               0     6132
LAS VEGAS SANDS CORP         CMN              517834107  3036.82364    65476 SH       DEFINED    2               0    65476
LAS VEGAS SANDS CORP         CMN              517834107  5190.09468   111902 SH       DEFINED    2               0   111902
LASALLE HOTEL PROPERTIES     CMN              517942108   218.08243     8170 SH       SOLE       1            8170        0
LEAP WIRELESS INTL INC       CNV              521863AL4  5414.09159   793000 SH       SOLE       1          793000        0
LEAPFROG ENTERPRISES INC     CMN              52186N106    22.30314     2470 SH       DEFINED    2               0     2470
LEAPFROG ENTERPRISES INC     CMN              52186N106   382.53965    42365 SH       DEFINED    1               0    42365
LEAR CORP                    CMN              521865204    66.20749     1750 SH       DEFINED    2               0     1750
LEAR CORP                    CMN              521865204  5384.78838   142331 SH       DEFINED    1               0   142331
LEAR CORP                    COM NEW          521865204   156.90408     4152 SH       SOLE       4            4152        0      0
LEGG MASON INC               CMN              524901105   121.80286     4900 SH       DEFINED    1               0     4900
LEGG MASON INC               CMN              524901105   199.48327     8025 SH       DEFINED    2               0     8025
LEGGETT & PLATT INC          CMN              524660107    20.22528      809 SH       DEFINED    2               0      809
LEGGETT & PLATT INC          CMN              524660107   595.00849    23800 SH       DEFINED    1               0    23800
LENNAR CORP-A                CMN              526057104   148.45625     4268 SH       DEFINED    2               0     4268
LENNAR CORP-A                CMN              526057104   825.72703    23739 SH       DEFINED    1               0    23739
LEXMARK INTERNATIONAL INC-A  CMN              529771107    14.09784      636 SH       DEFINED    2               0      636
LEXMARK INTERNATIONAL INC-A  CMN              529771107  3383.99348   152663 SH       DEFINED    1               0   152663
LIBERTY GLOBAL INC-A         CMN              530555101   152.21244     2508 SH       DEFINED    2               0     2508
LIBERTY GLOBAL INC-A         CMN              530555101 42737.52933   704185 SH       DEFINED    1               0   704185
LIBERTY INTERACTIVE CORP-A   CMN              53071M104    45.96806     2485 SH       DEFINED    2               0     2485
LIBERTY INTERACTIVE CORP-A   CMN              53071M104   528.88244    28591 SH       DEFINED    1               0    28591
LIBERTY MEDIA CORP - LIBER-A CMN              530322106   290.90354     2817 SH       SOLE       1            2817        0
LIBERTY PROPERTY TRUST       CMN              531172104  6329.71972   175032 SH       SOLE       1          175032        0
LIFEPOINT HOSPITALS INC      CMN              53219L109   339.93112     8046 SH       SOLE       1            8046        0
LIMELIGHT NETWORKS INC       CMN              53261M104       18.77     8000 SH       DEFINED    2               0     8000
LIMELIGHT NETWORKS INC       CMN              53261M104    148.3745    63239 SH       DEFINED    1               0    63239
LIMITED BRANDS INC           CMN              532716107     265.923     5400 SH       DEFINED    1               0     5400
LIMITED BRANDS INC           CMN              532716107   444.83008     9033 SH       DEFINED    2               0     9033
LINCOLN ELECTRIC HOLDINGS    CMN              533900106   531.33945    13602 SH       SOLE       1           13602        0
LINDSAY CORP                 CMN              535555106     37.8367      530 SH       DEFINED    2               0      530
LINDSAY CORP                 CMN              535555106   487.09397     6823 SH       DEFINED    1               0     6823
LINEAR TECHNOLOGY CORP       CNV              535678AC0 38655.34153  1212000 SH       SOLE       1         1212000        0
LINEAR TECHNOLOGY CORP       CMN              535678106     37.2839     1169 SH       DEFINED    2               0     1169
LINEAR TECHNOLOGY CORP       CMN              535678106   4745.8043   148800 SH       DEFINED    1               0   148800
LINKEDIN CORP - A            CMN              53578A108    24.03885      200 SH       DEFINED    3               0      200
LINKEDIN CORP - A            CMN              53578A108    99.88145      831 SH       DEFINED    2               0      831
LINKEDIN CORP - A            CMN              53578A108  6310.56058    52503 SH       DEFINED    1               0    52503
LINN ENERGY LLC-UNITS        CMN              536020100    10.30437      250 SH       DEFINED    2               0      250
LINN ENERGY LLC-UNITS        CMN              536020100   222.57445     5400 SH       DEFINED    1               0     5400
LIONBRIDGE TECHNOLOGIES INC  CMN              536252109    85.07256    24715 SH       SOLE       1           24715        0
LIQUIDITY SERVICES INC       CMN              53635B107    222.2259     4439 SH       DEFINED    2               0     4439
LIQUIDITY SERVICES INC       CMN              53635B107   366.25471     7316 SH       DEFINED    1               0     7316
LIVE NATION ENTERTAINMENT IN CMN              538034109   162.17783    18797 SH       SOLE       1           18797        0
LKQ CORP                     CMN              501889208    57.84869     3129 SH       DEFINED    2               0     3129
LKQ CORP                     CMN              501889208    220.0062    11900 SH       DEFINED    1               0    11900
LLOYDS BANKING GROUP PLC     CMN              539439109    39.95454    16046 SH       DEFINED    1               0    16046
LLOYDS BANKING GROUP PLC     CMN              539439109    64.82217    26033 SH       DEFINED    2               0    26033
LOCKHEED MARTIN CORP         CMN              539830109   242.78428     2600 SH       DEFINED    1               0     2600
LOCKHEED MARTIN CORP         CMN              539830109   502.93698     5386 SH       DEFINED    2               0     5386
LODGENET INTERACTIVE CORP    CMN              540211109     0.87227     1400 SH       DEFINED    2               0     1400
LODGENET INTERACTIVE CORP    CMN              540211109    15.26481    24500 SH       DEFINED    1               0    24500
LOEWS CORP                   CMN              540424108   128.03996     3100 SH       DEFINED    1               0     3100
LOEWS CORP                   CMN              540424108   409.64527     9918 SH       DEFINED    2               0     9918






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
LOGITECH INTERNATIONAL-REG   CMN              H50430232   322.20523    35249 SH       SOLE       2           35249        0
LOGMEIN INC                  CMN              54142L109   501.59743    21421 SH       SOLE       1           21421        0
LORILLARD INC                CMN              544147101   292.94334     2516 SH       DEFINED    2               0     2516
LORILLARD INC                CMN              544147101   814.90876     6999 SH       DEFINED    1               0     6999
LOUISIANA-PACIFIC CORP       CMN              546347105    142.5495    11300 SH       DEFINED    2               0    11300
LOUISIANA-PACIFIC CORP       CMN              546347105   706.91937    56038 SH       DEFINED    1               0    56038
LOWE'S COS INC               CMN              548661107   305.65591    10114 SH       DEFINED    2               0    10114
LOWE'S COS INC               CMN              548661107  6771.18215   224055 SH       DEFINED    1               0   224055
LPL FINANCIAL HOLDINGS INC   CMN              50212V100  2610.34784    89800 SH       SOLE       1           89800        0
LSB INDUSTRIES INC           CMN              502160104   229.04785     5219 SH       SOLE       1            5219        0
LSI CORP                     CMN              502161102    52.25125     7557 SH       DEFINED    2               0     7557
LSI CORP                     CMN              502161102  2008.12982   290432 SH       DEFINED    1               0   290432
LUFKIN INDUSTRIES INC        CMN              549764108     3.07462       57 SH       DEFINED    2               0       57
LUFKIN INDUSTRIES INC        CMN              549764108   209.99141     3893 SH       DEFINED    1               0     3893
LUMBER LIQUIDATORS HOLDINGS  CMN              55003T107   285.95605     5640 SH       SOLE       1            5640        0
LUXOTTICA GROUP SPA          CMN              55068R202   225.96898     6400 SH       DEFINED    1               0     6400
LUXOTTICA GROUP SPA          CMN              55068R202   2690.8316    76211 SH       DEFINED    2               0    76211
LYONDELLBASELL INDU-CL A     CMN              N53745100  2136.45606    41387 SH       DEFINED    2               0    41387
LYONDELLBASELL INDU-CL A     CMN              N53745100  6992.94844   135466 SH       DEFINED    1               0   135466
LYONDELLBASELL INDUSTRIES N  SHS - A -        N53745100   3311.1477    64095 SH       SOLE       4           50983        0  13112
M & T BANK CORP              CMN              55261F104    65.70494      694 SH       DEFINED    2               0      694
M & T BANK CORP              CMN              55261F104   256.94988     2714 SH       DEFINED    2               0     2714
M & T BANK CORP              CMN              55261F104   463.91099     4900 SH       DEFINED    1               0     4900
MACY'S INC                   CMN              55616P104   606.10112    16109 SH       DEFINED    2               0    16109
MACY'S INC                   CMN              55616P104    925.4245    24596 SH       DEFINED    1               0    24596
MADISON SQUARE GARDEN CO-A   CMN              55826P100   355.44438     8843 SH       DEFINED    2               0     8843
MADISON SQUARE GARDEN CO-A   CMN              55826P100   452.27414    11252 SH       DEFINED    1               0    11252
MAGELLAN HEALTH SERVICES INC CMN              559079207   126.71408     2479 SH       DEFINED    1               0     2479
MAGELLAN HEALTH SERVICES INC CMN              559079207     255.575     5000 SH       DEFINED    2               0     5000
MAGELLAN MIDSTREAM PARTNERS  CMN              559080106    181.7079     2091 SH       DEFINED    2               0     2091
MAGELLAN MIDSTREAM PARTNERS  CMN              559080106    871.4332    10028 SH       DEFINED    1               0    10028
MAGNACHIP SEMICONDUCTOR CORP COM              55933J203     35.9782     3049 SH       SOLE       4            2382        0    667
MAGNUM HUNTER RESOURCES CORP CMN              55973B102    27.50585     6200 SH       DEFINED    2               0     6200
MAGNUM HUNTER RESOURCES CORP CMN              55973B102   333.57062    75189 SH       DEFINED    1               0    75189
MAIDEN HOLDINGS LTD          CMN              G5753U112    192.8446    21558 SH       SOLE       1           21558        0
MAIN STREET CAPITAL CORP     CMN              56035L104   225.16813     7637 SH       SOLE       1            7637        0
MAJESCO ENTERTAINMENT CO     CMN              560690208      14.805    11750 SH       SOLE       2           11750        0
MANNKIND CORP                CMN              56400P201   109.27449    38347 SH       DEFINED    1               0    38347
MANNKIND CORP                CMN              56400P201   182.66083    64100 SH       DEFINED    2               0    64100
MANPOWER INC                 CMN              56418H100   331.13423     9000 SH       DEFINED    1               0     9000
MANPOWER INC                 CMN              56418H100   339.37579     9224 SH       DEFINED    2               0     9224
MAP PHARMACEUTICALS INC      CMN              56509R108    16.98061     1100 SH       DEFINED    1               0     1100
MAP PHARMACEUTICALS INC      CMN              56509R108   515.17643    33373 SH       DEFINED    2               0    33373
MARATHON OIL CORP            CMN              565849106   747.61132    25234 SH       DEFINED    1               0    25234
MARATHON OIL CORP            CMN              565849106  1287.12159    43444 SH       DEFINED    2               0    43444
MARATHON PETROLEUM CORP      CMN              56585A102   432.04792     7929 SH       DEFINED    1               0     7929
MARATHON PETROLEUM CORP      CMN              56585A102   466.81228     8567 SH       DEFINED    2               0     8567
MARCUS CORPORATION           CMN              566330106   135.07431    12126 SH       SOLE       1           12126        0
MARKEL CORP                  CMN              570535104    22.86103       50 SH       DEFINED    2               0       50
MARKEL CORP                  CMN              570535104   763.55868     1670 SH       DEFINED    1               0     1670
MARKET VECTORS BANK AND BROK CMN              57060U175 14584.51312   350000 SH       SOLE       1          350000        0
MARKET VECTORS EMERGING MARK CMN              57060U522  2921.23241   110000 SH       SOLE       2          110000        0
MARKET VECTORS GOLD MINERS   CMN              57060U100  2119.42616    39611 SH       DEFINED    2               0    39611
MARKET VECTORS GOLD MINERS   CMN              57060U100  2119.42616    39611 SH       DEFINED    2               0    39611
MARKET VECTORS GOLD MINERS   CMN              57060U100   5275.6916    98600 SH       DEFINED    1               0    98600
MARKET VECTORS GOLD MINERS   CMN              57060U100   5275.6916    98600 SH       DEFINED    1               0    98600
MARKET VECTORS GOLD MINERS   CMN              57060U100     16051.8   300000 SH  PUT  DEFINED    2               0   300000
MARKET VECTORS GOLD MINERS   CMN              57060U100     16051.8   300000 SH  PUT  DEFINED    2               0   300000
MARKET VECTORS INDONESIA IND CMN              57060U753   409.29512    14373 SH       SOLE       2           14373        0
MARKET VECTORS JR GOLD MINER CMN              57060U589    192.1084     7798 SH       DEFINED    1               0     7798






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
MARKET VECTORS JR GOLD MINER CMN              57060U589  3147.81379   127775 SH       DEFINED    2               0   127775
MARKET VECTORS RARE EARTH/ST CMN              57060U472     155.724    11400 SH       SOLE       2           11400        0
MARKET VECTORS RUSSIA ETF    CMN              57060U506   384.06851    13335 SH       SOLE       2           13335        0
MARKET VECTORS VIETNAM ETF   CMN              57060U761  2073.80655   129330 SH       SOLE       2          129330        0
MARRIOTT INTERNATIONAL-CL A  CMN              571903202    850.9854    21754 SH       DEFINED    2               0    21754
MARRIOTT INTERNATIONAL-CL A  CMN              571903202  1165.45959    29793 SH       DEFINED    1               0    29793
MARRIOTT INTERNATIONAL-CL A  CMN              571903202     9.77964      250 SH  PUT  DEFINED    1               0      250
MARSH & MCLENNAN COS         CMN              571748102   522.33222    15397 SH       DEFINED    1               0    15397
MARSH & MCLENNAN COS         CMN              571748102     775.136    22849 SH       DEFINED    2               0    22849
MARTEN TRANSPORT LTD         CMN              573075108    37.00361     2100 SH       DEFINED    2               0     2100
MARTEN TRANSPORT LTD         CMN              573075108    155.3447     8816 SH       DEFINED    1               0     8816
MARTIN MARIETTA MATERIALS    CMN              573284106    12.88415      155 SH       DEFINED    2               0      155
MARTIN MARIETTA MATERIALS    CMN              573284106   774.46231     9317 SH       DEFINED    1               0     9317
MARVELL TECHNOLOGY GROUP LTD CMN              G5876H105   168.90155    18470 SH       DEFINED    2               0    18470
MARVELL TECHNOLOGY GROUP LTD CMN              G5876H105  1710.39571   187038 SH       DEFINED    1               0   187038
MASCO CORP                   CMN              574599106    29.70439     1963 SH       DEFINED    2               0     1963
MASCO CORP                   CMN              574599106   415.63456    27467 SH       DEFINED    1               0    27467
MASTEC INC                   CNV              576323AL3 69242.82428  3524000 SH       SOLE       1         3524000        0
MASTEC INC                   CNV              576323AM1 25013.08607  1273000 SH       SOLE       1         1273000        0
MASTERCARD INC-CLASS A       CMN              57636Q104  1257.29433     2787 SH       DEFINED    1               0     2787
MASTERCARD INC-CLASS A       CMN              57636Q104  1278.94848     2835 SH       DEFINED    2               0     2835
MATSON INC                   CMN              57686G105    18.25396      856 SH       DEFINED    2               0      856
MATSON INC                   CMN              57686G105   245.14907    11496 SH       DEFINED    1               0    11496
MATTEL INC                   CMN              577081102   207.85366     5857 SH       DEFINED    2               0     5857
MATTEL INC                   CMN              577081102   727.89594    20511 SH       DEFINED    1               0    20511
MAXIMUS INC                  CMN              577933104     53.2551      896 SH       DEFINED    2               0      896
MAXIMUS INC                  CMN              577933104    190.1968     3200 SH       DEFINED    1               0     3200
MBIA INC                     CMN              55262C100    25.81759     2537 SH       DEFINED    1               0     2537
MBIA INC                     CMN              55262C100    94.64078     9300 SH       DEFINED    2               0     9300
MCCORMICK & CO-NON VTG SHRS  CMN              579780206   269.42013     4351 SH       DEFINED    1               0     4351
MCCORMICK & CO-NON VTG SHRS  CMN              579780206   365.70795     5906 SH       DEFINED    2               0     5906
MCDERMOTT INTL INC           CMN              580037109   814.33869    66600 SH       SOLE       2           66600        0
MCDONALD'S CORP              CMN              580135101   2817.9074    30681 SH       DEFINED    2               0    30681
MCDONALD'S CORP              CMN              580135101  7434.78981    80949 SH       DEFINED    1               0    80949
MCDONALD'S CORP              CMN              580135101    55.10721      600 SH  PUT  DEFINED    1               0      600
MCEWEN MINING INC            CMN              58039P107   100.36258    21774 SH       DEFINED    2               0    21774
MCEWEN MINING INC            CMN              58039P107   350.54078    76051 SH       DEFINED    1               0    76051
MCG CAPITAL CORP             CMN              58047P107   245.30846    53000 SH       SOLE       1           53000        0
MCGRAW-HILL COMPANIES INC    CMN              580645109   108.95857     2000 SH       DEFINED    2               0     2000
MCGRAW-HILL COMPANIES INC    CMN              580645109  1743.33714    32000 SH       DEFINED    1               0    32000
MCKESSON CORP                CMN              58155Q103   918.06071    10666 SH       DEFINED    1               0    10666
MCKESSON CORP                CMN              58155Q103  1111.12373    12909 SH       DEFINED    2               0    12909
MDU RESOURCES GROUP INC      CMN              552690109   348.67214    15800 SH       SOLE       1           15800        0
MEAD JOHNSON NUTRITION CO    CMN              582839106   446.13302     6080 SH       DEFINED    2               0     6080
MEAD JOHNSON NUTRITION CO    CMN              582839106   1449.4187    19753 SH       DEFINED    1               0    19753
MEADOWBROOK INSURANCE GROUP  CMN              58319P108   243.90885    31700 SH       SOLE       1           31700        0
MEADWESTVACO CORP            CMN              583334107    40.43998     1322 SH       DEFINED    2               0     1322
MEADWESTVACO CORP            CMN              583334107     342.608    11200 SH       DEFINED    1               0    11200
MECHEL                       CMN              583840103     0.70451      100 SH       DEFINED    1               0      100
MECHEL                       CMN              583840103  5194.26583   737284 SH       DEFINED    2               0   737284
MEDICINES COMPANY            CMN              584688105   295.82093    11504 SH       SOLE       1           11504        0
MEDICIS PHARMACEUTICAL-CL A  CNV              584690AC5 17448.46071   403000 SH       SOLE       1          403000        0
MEDICIS PHARMACEUTICAL-CL A  CNV              58470KAA2 72088.55357  1665000 SH       SOLE       1         1665000        0
MEDICIS PHARMACEUTICAL-CL A  CMN              584690309    10.47773      242 SH       DEFINED    2               0      242
MEDICIS PHARMACEUTICAL-CL A  CMN              584690309  7218.64034   166726 SH       DEFINED    1               0   166726
MEDIDATA SOLUTIONS INC       CMN              58471A105    83.75124     2100 SH       DEFINED    1               0     2100
MEDIDATA SOLUTIONS INC       CMN              58471A105   174.00318     4363 SH       DEFINED    2               0     4363
MEDIVATION INC               CNV              58501NAA9      101609  1700000 SH       SOLE       1         1700000        0
MEDIVATION INC               CMN              58501N101      35.862      600 SH       DEFINED    1               0      600
MEDIVATION INC               CMN              58501N101   364.95562     6106 SH       DEFINED    2               0     6106






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
MEDNAX INC                   CMN              58502B106     8.29103      112 SH       DEFINED    2               0      112
MEDNAX INC                   CMN              58502B106   199.87328     2700 SH       DEFINED    1               0     2700
MEDTRONIC INC                CMN              585055106  1537.60543    35606 SH       DEFINED    1               0    35606
MEDTRONIC INC                CMN              585055106 81606.92076  1889754 SH       DEFINED    2               0  1889754
MELLANOX TECHNOLOGIES LTD    CMN              M51363113   112.46268     1107 SH       DEFINED    1               0     1107
MELLANOX TECHNOLOGIES LTD    CMN              M51363113   281.81706     2774 SH       DEFINED    2               0     2774
MEMC ELECTRONIC MATERIALS    CMN              552715104     13.1723     4800 SH       DEFINED    2               0     4800
MEMC ELECTRONIC MATERIALS    CMN              552715104     95.9383    34960 SH       DEFINED    1               0    34960
MENTOR GRAPHICS CORP         CNV              587200AK2  7060.12615   459000 SH       SOLE       1          459000        0
MENTOR GRAPHICS CORP         CMN              587200106    46.22152     3005 SH       DEFINED    2               0     3005
MENTOR GRAPHICS CORP         CMN              587200106   274.59122    17852 SH       DEFINED    1               0    17852
MERCADOLIBRE INC             CMN              58733R102   398.11502     4828 SH       DEFINED    1               0     4828
MERCADOLIBRE INC             CMN              58733R102   781.46977     9477 SH       DEFINED    2               0     9477
MERCK & CO. INC.             CMN              58933Y105   623.46799    13825 SH       DEFINED    1               0    13825
MERCK & CO. INC.             CMN              58933Y105  1449.33197    32138 SH       DEFINED    2               0    32138
MERITOR INC                  CNV              043353AF8   297.12307    70000 SH       SOLE       1           70000        0
MERITOR INC                  CMN              59001K100     4.24461     1000 SH       DEFINED    2               0     1000
MERITOR INC                  CMN              59001K100   438.93567   103410 SH       DEFINED    1               0   103410
METLIFE INC                  CMN              59156R108   440.40179    12799 SH       DEFINED    2               0    12799
METLIFE INC                  CMN              59156R108   578.07251    16800 SH       DEFINED    1               0    16800
METROPCS COMMUNICATIONS INC  CMN              591708102    43.80731     3785 SH       DEFINED    2               0     3785
METROPCS COMMUNICATIONS INC  CMN              591708102   874.98899    75600 SH       DEFINED    1               0    75600
METTLER-TOLEDO INTERNATIONAL CMN              592688105     9.24764       54 SH       DEFINED    2               0       54
METTLER-TOLEDO INTERNATIONAL CMN              592688105   359.63065     2100 SH       DEFINED    1               0     2100
MFA FINANCIAL INC            CMN              55272X102    256.1135    30131 SH       SOLE       1           30131        0
MGIC INVESTMENT CORP         CMN              552848103    16.64075    10890 SH       DEFINED    2               0    10890
MGIC INVESTMENT CORP         CMN              552848103    42.95424    28110 SH       DEFINED    1               0    28110
MGM RESORTS INTERNATIONAL    CNV              55303QAE0 10897.95775  1014000 SH       SOLE       1         1014000        0
MGM RESORTS INTERNATIONAL    CMN              552953101   109.57068    10195 SH       DEFINED    2               0    10195
MGM RESORTS INTERNATIONAL    CMN              552953101   183.30923    17056 SH       DEFINED    1               0    17056
MICHAEL KORS HOLDINGS LTD    CMN              G60754101   182.03576     3417 SH       DEFINED    2               0     3417
MICHAEL KORS HOLDINGS LTD    CMN              G60754101      463.48     8700 SH       DEFINED    1               0     8700
MICROCHIP TECHNOLOGY INC     CNV              595017AB0 291006.9546  8857000 SH       SOLE       1         8857000        0
MICROCHIP TECHNOLOGY INC     CMN              595017104   554.28331    16870 SH       DEFINED    2               0    16870
MICROCHIP TECHNOLOGY INC     CMN              595017104  1214.36344    36960 SH       DEFINED    1               0    36960
MICRON TECHNOLOGY INC        CNV              595112AK9   269.14821    45000 SH       SOLE       1           45000        0
MICRON TECHNOLOGY INC        CMN              595112103    76.75508    12833 SH       DEFINED    2               0    12833
MICRON TECHNOLOGY INC        CMN              595112103  1736.02392   290253 SH       DEFINED    1               0   290253
MICROSOFT CORP               CMN              594918104   163.21869     5481 SH       DEFINED    2               0     5481
MICROSOFT CORP               CMN              594918104  9225.98088   309815 SH       DEFINED    1               0   309815
MICROSOFT CORP               CMN              594918104 18342.46438   615953 SH       DEFINED    2               0   615953
MICROSOFT CORP               CMN              594918104     0.14889        5 SH       DEFINED    6               0        5
MICROSTRATEGY INC-CL A       CMN              594972408   411.50332     3069 SH       SOLE       1            3069        0
MIDDLEBY CORP                CMN              596278101    59.16537      515 SH       DEFINED    2               0      515
MIDDLEBY CORP                CMN              596278101   420.82093     3663 SH       DEFINED    1               0     3663
MINERALS TECHNOLOGIES INC    CMN              603158106   272.14888     3829 SH       SOLE       1            3829        0
MITSUBISHI UFJ FINANCIAL GRO CMN              606822104     4.63846     1000 SH       DEFINED    2               0     1000
MITSUBISHI UFJ FINANCIAL GRO CMN              606822104   478.24393   103104 SH       DEFINED    1               0   103104
MIZUHO FINANCIAL GROUP INC   CMN              60687Y109    96.10865    29755 SH       SOLE       1           29755        0
MOBILE TELESYSTEMS OJSC      CMN              607409109    48.26446     2750 SH       DEFINED    2               0     2750
MOBILE TELESYSTEMS OJSC      CMN              607409109   198.32307    11300 SH       DEFINED    1               0    11300
MOLEX INC                    CMN              608554101    93.42905     3557 SH       DEFINED    2               0     3557
MOLEX INC                    CMN              608554101    304.6885    11600 SH       DEFINED    1               0    11600
MOLSON COORS BREWING CO -B   CMN              60871R209   334.82013     7438 SH       DEFINED    2               0     7438
MOLSON COORS BREWING CO -B   CMN              60871R209   339.45666     7541 SH       DEFINED    1               0     7541
MOLYCORP INC                 CMN              608753109   100.30057     8600 SH       DEFINED    1               0     8600
MOLYCORP INC                 CMN              608753109   343.43615    29447 SH       DEFINED    2               0    29447
MOLYCORP INC                 CMN              608753109   367.21671    31486 SH       DEFINED    2               0    31486
MOLYCORP INC                 CMN              608753109     6.48454      556 SH  PUT  DEFINED    1               0      556
MOLYCORP INC                 CMN              608753109     1.16628      100 SH  CALL DEFINED    1               0      100






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
MONOLITHIC POWER SYSTEMS INC CMN              609839105   207.30629    10552 SH       SOLE       1           10552        0
MONRO MUFFLER BRAKE INC      CMN              610236101     7.08659      200 SH       DEFINED    2               0      200
MONRO MUFFLER BRAKE INC      CMN              610236101   400.60532    11306 SH       DEFINED    1               0    11306
MONSANTO CO                  CMN              61166W101     57.3536      630 SH       DEFINED    3               0      630
MONSANTO CO                  CMN              61166W101   546.22482     6000 SH       DEFINED    1               0     6000
MONSANTO CO                  CMN              61166W101   869.13473     9547 SH       DEFINED    2               0     9547
MONSTER BEVERAGE CORP        CMN              611740101    79.06657     1498 SH       DEFINED    2               0     1498
MONSTER BEVERAGE CORP        CMN              611740101   572.15068    10840 SH       DEFINED    1               0    10840
MONSTER WORLDWIDE INC        CMN              611742107   316.48826    43022 SH       DEFINED    1               0    43022
MONSTER WORLDWIDE INC        CMN              611742107  7069.80004   961037 SH       DEFINED    2               0   961037
MOODY'S CORP                 CMN              615369105    50.62283     1148 SH       DEFINED    2               0     1148
MOODY'S CORP                 CMN              615369105   1163.2227    26379 SH       DEFINED    1               0    26379
MORGAN STANLEY               CMN              617446448   428.52823    25596 SH       DEFINED    1               0    25596
MORGAN STANLEY               CMN              617446448  2279.08846   136130 SH       DEFINED    2               0   136130
MORGAN STANLEY               CMN              617446448   2342.6076   139924 SH       DEFINED    2               0   139924
MORGAN STANLEY               CMN              617446448    84.64755     5056 SH  PUT  DEFINED    1               0     5056
MORGAN STANLEY CHINA A SHARE CMN              617468103   318.27661    17140 SH       SOLE       2           17140        0
MOSAIC CO/THE                CMN              61945C103  2085.83942    36208 SH       DEFINED    1               0    36208
MOSAIC CO/THE                CMN              61945C103  3825.57514    66408 SH       DEFINED    2               0    66408
MOTOROLA SOLUTIONS INC       CNV              530715AN1 112193.9891  2217930 SH       SOLE       1         2217930        0
MOTOROLA SOLUTIONS INC       CMN              620076307   192.12183     3798 SH       DEFINED    2               0     3798
MOTOROLA SOLUTIONS INC       CMN              620076307     414.797     8200 SH       DEFINED    1               0     8200
MSC INDUSTRIAL DIRECT CO-A   CMN              553530106     5.73338       85 SH       DEFINED    2               0       85
MSC INDUSTRIAL DIRECT CO-A   CMN              553530106  1202.45857    17827 SH       DEFINED    1               0    17827
MUELLER INDUSTRIES INC       CMN              624756102   227.60769     5000 SH       DEFINED    2               0     5000
MUELLER INDUSTRIES INC       CMN              624756102   374.32361     8223 SH       DEFINED    1               0     8223
MUELLER WATER PRODUCTS INC-A CMN              624758108    12.32506     2510 SH       DEFINED    2               0     2510
MUELLER WATER PRODUCTS INC-A CMN              624758108    59.98525    12216 SH       DEFINED    1               0    12216
MURPHY OIL CORP              CMN              626717102   165.14055     3076 SH       DEFINED    2               0     3076
MURPHY OIL CORP              CMN              626717102   379.88769     7076 SH       DEFINED    1               0     7076
MWI VETERINARY SUPPLY INC    CMN              55402X105    21.60327      202 SH       DEFINED    2               0      202
MWI VETERINARY SUPPLY INC    CMN              55402X105   261.80606     2448 SH       DEFINED    1               0     2448
MYLAN INC                    CNV              628530AJ6 67843.49918  2791000 SH       SOLE       1         2791000        0
MYLAN INC                    CMN              628530107    70.97922     2920 SH       DEFINED    1               0     2920
MYLAN INC                    CMN              628530107   135.95438     5593 SH       DEFINED    2               0     5593
MYR GROUP INC/DELAWARE       CMN              55405W104   208.17923    10425 SH       SOLE       1           10425        0
MYREXIS INC                  CMN              62856H107    34.18692    14000 SH       SOLE       2           14000        0
MYRIAD GENETICS INC          CMN              62855J104     2.71394      101 SH       DEFINED    2               0      101
MYRIAD GENETICS INC          CMN              62855J104   305.65499    11375 SH       DEFINED    1               0    11375
NABORS INDUSTRIES LTD        CMN              G6359F103   125.08128     8928 SH       DEFINED    2               0     8928
NABORS INDUSTRIES LTD        CMN              G6359F103   145.31172    10372 SH       DEFINED    1               0    10372
NASDAQ OMX GROUP/THE         CMN              631103108    15.87654      680 SH       DEFINED    2               0      680
NASDAQ OMX GROUP/THE         CMN              631103108    211.8818     9075 SH       DEFINED    1               0     9075
NASH FINCH CO                CNV              631158AD4   330.00693    16000 SH       SOLE       1           16000        0
NATIONAL BANK OF GREECE      CMN              633643606    32.11933    10554 SH       SOLE       2           10554        0
NATIONAL FINANCIAL PARTNERS  CNV              63607PAC3  1266.80769    75000 SH       SOLE       1           75000        0
NATIONAL INSTRUMENTS CORP    CMN              636518102   153.16161     6100 SH       DEFINED    2               0     6100
NATIONAL INSTRUMENTS CORP    CMN              636518102   168.22669     6700 SH       DEFINED    1               0     6700
NATIONAL OILWELL VARCO INC   CMN              637071101   605.25885     7554 SH       DEFINED    2               0     7554
NATIONAL OILWELL VARCO INC   CMN              637071101  1002.27468    12509 SH       DEFINED    1               0    12509
NATIONAL RETAIL PROPERTIES   CNV              637417AC0 22179.99107   727000 SH       SOLE       1          727000        0
NATIONSTAR MORTGAGE HOLDINGS CMN              63861C109     9.93235      300 SH       DEFINED    1               0      300
NATIONSTAR MORTGAGE HOLDINGS CMN              63861C109     1329.71    40163 SH       DEFINED    2               0    40163
NAVIDEA BIOPHARMACEUTICALS I CMN              63937X103  5506.15384  2000000 SH       SOLE       2         2000000        0
NAVIOS MARITIME HOLDINGS INC CMN              Y62196103     65.3626    18265 SH       SOLE       2           18265        0
NAVISTAR INTERNATIONAL CORP  CMN              63934E108    26.59991     1257 SH       DEFINED    2               0     1257
NAVISTAR INTERNATIONAL CORP  CMN              63934E108   290.82151    13743 SH       DEFINED    1               0    13743
NCR CORPORATION              CMN              62886E108    26.36402     1135 SH       DEFINED    2               0     1135
NCR CORPORATION              CMN              62886E108   224.87234     9681 SH       DEFINED    1               0     9681
NEKTAR THERAPEUTICS          CMN              640268108    76.01686     7180 SH       DEFINED    1               0     7180






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
NEKTAR THERAPEUTICS          CMN              640268108   560.59794    52950 SH       DEFINED    2               0    52950
NEOPHOTONICS CORP            CMN              64051T100   117.93846    20000 SH       SOLE       2           20000        0
NET 1 UEPS TECHNOLOGIES INC  CMN              64107N206   268.67296    29850 SH       SOLE       2           29850        0
NETAPP INC                   CMN              64110D104    592.0853    18011 SH       DEFINED    2               0    18011
NETAPP INC                   CMN              64110D104   4125.4647   125495 SH       DEFINED    1               0   125495
NETFLIX INC                  CMN              64110L106   326.43527     5585 SH       DEFINED    1               0     5585
NETFLIX INC                  CMN              64110L106  8194.37281   140198 SH       DEFINED    2               0   140198
NETSPEND HOLDINGS INC        CMN              64118V106   124.53772    12667 SH       SOLE       1           12667        0
NETSUITE INC                 CMN              64118Q107    131.9169     2089 SH       DEFINED    1               0     2089
NETSUITE INC                 CMN              64118Q107   176.94167     2802 SH       DEFINED    2               0     2802
NEURALSTEM INC               CMN              64127R302     0.99662      800 SH       DEFINED    2               0      800
NEURALSTEM INC               CMN              64127R302    69.11619    55480 SH       DEFINED    1               0    55480
NEUROCRINE BIOSCIENCES INC   CMN              64125C109    67.47692     8600 SH       DEFINED    2               0     8600
NEUROCRINE BIOSCIENCES INC   CMN              64125C109  2635.91538   335950 SH       DEFINED    1               0   335950
NEUSTAR INC-CLASS A          CMN              64126X201    78.79142     2000 SH       DEFINED    1               0     2000
NEUSTAR INC-CLASS A          CMN              64126X201   291.52828     7400 SH       DEFINED    2               0     7400
NEW GOLD INC                 CMN              644535106   206.13759    16806 SH       SOLE       2           16806        0
NEW YORK & CO                CMN              649295102    56.11875    14965 SH       SOLE       1           14965        0
NEW YORK COMMUNITY BANCORP   CMN              649445103    14.12607     1000 SH       DEFINED    1               0     1000
NEW YORK COMMUNITY BANCORP   CMN              649445103   256.37407    18149 SH       DEFINED    2               0    18149
NEW YORK TIMES CO-A          CMN              650111107    23.89099     2450 SH       DEFINED    2               0     2450
NEW YORK TIMES CO-A          CMN              650111107  4865.06572   498908 SH       DEFINED    1               0   498908
NEWFIELD EXPLORATION CO      CMN              651290108    37.36429     1190 SH       DEFINED    2               0     1190
NEWFIELD EXPLORATION CO      CMN              651290108   768.00905    24460 SH       DEFINED    1               0    24460
NEWMARKET CORP               CMN              651587107   154.31329      629 SH       DEFINED    2               0      629
NEWMARKET CORP               CMN              651587107   361.61812     1474 SH       DEFINED    1               0     1474
NEWMONT MINING CORP          CMN              651639106  2173.36213    38790 SH       DEFINED    1               0    38790
NEWMONT MINING CORP          CMN              651639106  3959.17217    70663 SH       DEFINED    2               0    70663
NEWMONT MINING CORP          CMN              651639106  5171.63819    92303 SH       DEFINED    2               0    92303
NEWS CORP-CL A               CMN              65248E104    61.25535     2500 SH       DEFINED    1               0     2500
NEWS CORP-CL A               CMN              65248E104   473.69992    19333 SH       DEFINED    2               0    19333
NEXEN INC                    CMN              65334H102   453.82733    17907 SH       DEFINED    1               0    17907
NEXEN INC                    CMN              65334H102  7448.47564   293900 SH       DEFINED    2               0   293900
NEXTERA ENERGY INC           CMN              65339F101   133.63107     1900 SH       DEFINED    1               0     1900
NEXTERA ENERGY INC           CMN              65339F101   222.81222     3168 SH       DEFINED    2               0     3168
NICE SYSTEMS LTD             CMN              653656108   235.84425     7100 SH       SOLE       1            7100        0
NII HOLDINGS INC             CMN              62913F201    54.34109     6930 SH       DEFINED    2               0     6930
NII HOLDINGS INC             CMN              62913F201  2713.93411   346102 SH       DEFINED    1               0   346102
NIKE INC -CL B               CMN              654106103   855.83074     9018 SH       DEFINED    2               0     9018
NIKE INC -CL B               CMN              654106103  3248.03806    34225 SH       DEFINED    1               0    34225
NIPPON TELEGRAPH & TELEPHONE CMN              654624105      165.97     7000 SH       DEFINED    2               0     7000
NIPPON TELEGRAPH & TELEPHONE CMN              654624105    2081.738    87800 SH       DEFINED    1               0    87800
NISOURCE INC                 CMN              65473P105   446.95807    17559 SH       DEFINED    2               0    17559
NISOURCE INC                 CMN              65473P105   694.91174    27300 SH       DEFINED    1               0    27300
NOBLE CORP                   CMN              H5833N103   147.37435     4100 SH       DEFINED    1               0     4100
NOBLE CORP                   CMN              H5833N103  1056.88978    29403 SH       DEFINED    2               0    29403
NOBLE ENERGY INC             CMN              655044105   992.42563    10697 SH       DEFINED    2               0    10697
NOBLE ENERGY INC             CMN              655044105  1502.97235    16200 SH       DEFINED    1               0    16200
NOKIA OYJ                    CMN              654902204   341.25491   131795 SH       DEFINED    1               0   131795
NOKIA OYJ                    CMN              654902204  2249.58178   868804 SH       DEFINED    2               0   868804
NORDIC AMERICAN TANKERS LTD  CMN              G65773106    44.77684     4363 SH       DEFINED    2               0     4363
NORDIC AMERICAN TANKERS LTD  CMN              G65773106   332.44473    32393 SH       DEFINED    1               0    32393
NORDSON CORP                 CMN              655663102    59.17647     1020 SH       DEFINED    2               0     1020
NORDSON CORP                 CMN              655663102   303.88861     5238 SH       DEFINED    1               0     5238
NORDSTROM INC                CMN              655664100   546.17164     9862 SH       DEFINED    2               0     9862
NORDSTROM INC                CMN              655664100  4762.80285    86000 SH       DEFINED    1               0    86000
NORFOLK SOUTHERN CORP        CMN              655844108   548.72128     8598 SH       DEFINED    2               0     8598
NORFOLK SOUTHERN CORP        CMN              655844108  1490.50775    23355 SH       DEFINED    1               0    23355
NORTEK INC                   COM NEW          656559309  9278.59582   169534 SH       SOLE       4          141837        0  27697
NORTH AMER PALLADIUM LTD     CMN              656912102    55.35866    29410 SH       SOLE       2           29410        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
NORTHEAST UTILITIES          CMN              664397106    62.36291     1632 SH       DEFINED    2               0     1632
NORTHEAST UTILITIES          CMN              664397106   383.73064    10042 SH       DEFINED    1               0    10042
NORTHERN TRUST CORP          CMN              665859104   240.74223     5174 SH       DEFINED    2               0     5174
NORTHERN TRUST CORP          CMN              665859104   653.45651    14044 SH       DEFINED    2               0    14044
NORTHERN TRUST CORP          CMN              665859104  1697.10716    36474 SH       DEFINED    1               0    36474
NORTHROP GRUMMAN CORP        CMN              666807102    419.7806     6315 SH       DEFINED    2               0     6315
NORTHROP GRUMMAN CORP        CMN              666807102   523.74526     7879 SH       DEFINED    1               0     7879
NORTHWEST NATURAL GAS CO     CMN              667655104   437.49064     8876 SH       SOLE       1            8876        0
NOVAGOLD RESOURCES INC       CMN              66987E206      90.435    16060 SH       SOLE       2           16060        0
NOVARTIS AG-REG              CMN              66987V109     9.47351      155 SH       DEFINED    2               0      155
NOVARTIS AG-REG              CMN              66987V109   256.70156     4200 SH       DEFINED    1               0     4200
NOVO NORDISK A/S-B           CMN              670100205   283.52007     1800 SH       DEFINED    1               0     1800
NOVO NORDISK A/S-B           CMN              670100205   618.86132     3929 SH       DEFINED    2               0     3929
NPS PHARMACEUTICALS INC      CMN              62936P103   135.27471    14617 SH       SOLE       2           14617        0
NRG ENERGY INC               CMN              629377508   101.98402     4761 SH       DEFINED    2               0     4761
NRG ENERGY INC               CMN              629377508  1921.33096    89695 SH       DEFINED    1               0    89695
NU SKIN ENTERPRISES INC - A  CMN              67018T105   345.92701     8937 SH       DEFINED    2               0     8937
NU SKIN ENTERPRISES INC - A  CMN              67018T105   517.63253    13373 SH       DEFINED    1               0    13373
NUANCE COMMUNICATIONS INC    CMN              67020Y100     7.44646      300 SH       DEFINED    1               0      300
NUANCE COMMUNICATIONS INC    CMN              67020Y100   256.62988    10339 SH       DEFINED    2               0    10339
NUCOR CORP                   CMN              670346105   146.86437     3842 SH       DEFINED    2               0     3842
NUCOR CORP                   CMN              670346105   860.08548    22500 SH       DEFINED    1               0    22500
NUCOR CORP                   CMN              670346105  4320.57252   113027 SH       DEFINED    2               0   113027
NUSTAR ENERGY LP             CMN              67058H102   398.34589     7861 SH       SOLE       1            7861        0
NUTRISYSTEM INC              CMN              67069D108    10.90285     1000 SH       DEFINED    2               0     1000
NUTRISYSTEM INC              CMN              67069D108   135.71867    12448 SH       DEFINED    1               0    12448
NUVASIVE INC                 CMN              670704105     1.03513       45 SH       DEFINED    2               0       45
NUVASIVE INC                 CMN              670704105    74.52944     3240 SH       DEFINED    1               0     3240
NUVASIVE INC                 CMN              670704105  1896.17642    82432 SH       DEFINED    2               0    82432
NVIDIA CORP                  CMN              67066G104    13.31964     1000 SH       DEFINED    3               0     1000
NVIDIA CORP                  CMN              67066G104   433.70089    32561 SH       DEFINED    2               0    32561
NVIDIA CORP                  CMN              67066G104   805.01257    60438 SH       DEFINED    2               0    60438
NVIDIA CORP                  CMN              67066G104  1179.28121    88537 SH       DEFINED    1               0    88537
NXP SEMICONDUCTORS NV        CMN              N6596X109    80.98052     3220 SH       DEFINED    2               0     3220
NXP SEMICONDUCTORS NV        CMN              N6596X109   183.79057     7308 SH       DEFINED    1               0     7308
NYSE EURONEXT                CMN              629491101   375.94125    15228 SH       DEFINED    2               0    15228
NYSE EURONEXT                CMN              629491101   580.47718    23513 SH       DEFINED    1               0    23513
OASIS PETROLEUM INC          CMN              674215108     5.60273      190 SH       DEFINED    2               0      190
OASIS PETROLEUM INC          CMN              674215108   218.32972     7404 SH       DEFINED    1               0     7404
OBAGI MEDICAL PRODUCTS INC   CMN              67423R108   149.47962    11972 SH       SOLE       1           11972        0
OCCIDENTAL PETROLEUM CORP    CMN              674599105    994.3837    11553 SH       DEFINED    2               0    11553
OCCIDENTAL PETROLEUM CORP    CMN              674599105  1198.97559    13930 SH       DEFINED    1               0    13930
OCEANEERING INTL INC         CMN              675232102     0.05527        1 SH       DEFINED    2               0        1
OCEANEERING INTL INC         CMN              675232102   596.94092    10800 SH       DEFINED    1               0    10800
OCH-ZIFF CAPITAL MANAGEMEN-A CMN              67551U105   280.93621    29509 SH       SOLE       1           29509        0
OCWEN FINANCIAL CORP         CMN              675746309     0.95977       35 SH       DEFINED    2               0       35
OCWEN FINANCIAL CORP         CMN              675746309   257.05516     9374 SH       DEFINED    2               0     9374
OCWEN FINANCIAL CORP         CMN              675746309   481.20376    17548 SH       DEFINED    1               0    17548
OCZ TECHNOLOGY GROUP INC     CMN              67086E303     88.7935    25700 SH       DEFINED    1               0    25700
OCZ TECHNOLOGY GROUP INC     CMN              67086E303     136.818    39600 SH       DEFINED    2               0    39600
OFFICE DEPOT INC             CMN              676220106    21.60566     8672 SH       DEFINED    1               0     8672
OFFICE DEPOT INC             CMN              676220106   207.28685    83200 SH       DEFINED    2               0    83200
OFFICEMAX INC                CMN              67622P101      2.3415      300 SH       DEFINED    1               0      300
OFFICEMAX INC                CMN              67622P101    117.2311    15020 SH       DEFINED    2               0    15020
OI SA-PREFERENCE             CMN              670851203    92.44897    22928 SH       SOLE       2           22928        0
OIL STATES INTERNATIONAL INC CMN              678026105   344.67917     4336 SH       DEFINED    1               0     4336
OIL STATES INTERNATIONAL INC CMN              678026105  1192.46592    15001 SH       DEFINED    2               0    15001
OLD DOMINION FREIGHT LINE    CMN              679580100    39.36195     1297 SH       DEFINED    2               0     1297
OLD DOMINION FREIGHT LINE    CMN              679580100   225.73185     7438 SH       DEFINED    1               0     7438
OLD NATIONAL BANCORP         CMN              680033107   159.33196    11818 SH       SOLE       1           11818        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
OLD REPUBLIC INTL CORP       CMN              680223104  4321.63608   465173 SH       SOLE       1          465173        0
OLIN CORP                    CMN              680665205     248.292    11400 SH       SOLE       1           11400        0
OMNICARE INC                 CNV              681904AL2 81281.01428  2392000 SH       SOLE       1         2392000        0
OMNICARE INC                 CNV              681904AN8 173027.9786  5092000 SH       SOLE       1         5092000        0
OMNICELL INC                 CMN              68213N109   209.97549    14967 SH       SOLE       1           14967        0
OMNICOM GROUP                CNV              681919AT3  2738.47214    53000 SH       SOLE       1           53000        0
OMNICOM GROUP                CNV              682134AA9 10747.21142   208000 SH       SOLE       1          208000        0
OMNICOM GROUP                CMN              681919106  1291.06044    24987 SH       DEFINED    2               0    24987
OMNICOM GROUP                CMN              681919106  1528.06745    29574 SH       DEFINED    1               0    29574
OMNIVISION TECHNOLOGIES INC  CMN              682128103     8.65543      620 SH       DEFINED    2               0      620
OMNIVISION TECHNOLOGIES INC  CMN              682128103   157.44521    11278 SH       DEFINED    1               0    11278
ON SEMICONDUCTOR CORPORATION CMN              682189105   299.80165    48566 SH       SOLE       1           48566        0
ON SEMICONDUCTOR CORPORATION CNV              682189AH8   148.15384    24000 SH       SOLE       1           24000        0
ONCOTHYREON INC              CMN              682324108    15.39807     3000 SH       DEFINED    2               0     3000
ONCOTHYREON INC              CMN              682324108   255.44896    49769 SH       DEFINED    1               0    49769
ONYX PHARMACEUTICALS INC     CNV              683399AB5      549150  6500000 SH       SOLE       1         6500000        0
ONYX PHARMACEUTICALS INC     CMN              683399109    25.34538      300 SH       DEFINED    1               0      300
ONYX PHARMACEUTICALS INC     CMN              683399109   430.28014     5093 SH       DEFINED    2               0     5093
OPTIMER PHARMACEUTICALS INC  CMN              68401H104   189.55737    13457 SH       SOLE       1           13457        0
ORACLE CORP                  CMN              68389X105   534.12328    16974 SH       DEFINED    2               0    16974
ORACLE CORP                  CMN              68389X105   742.62457    23600 SH       DEFINED    1               0    23600
ORACLE CORP                  CMN              68389X105  1863.35833    59216 SH       DEFINED    2               0    59216
ORBITZ WORLDWIDE INC         CMN              68557K109   169.74823    62903 SH       SOLE       1           62903        0
O'REILLY AUTOMOTIVE INC      CMN              67103H107   126.58786     1514 SH       DEFINED    2               0     1514
O'REILLY AUTOMOTIVE INC      CMN              67103H107   273.07528     3266 SH       DEFINED    1               0     3266
OREXIGEN THERAPEUTICS INC    CMN              686164104    46.03165     8079 SH       DEFINED    1               0     8079
OREXIGEN THERAPEUTICS INC    CMN              686164104   114.52361    20100 SH       DEFINED    2               0    20100
ORIENT EXPRESS HOTELS LTD -A CMN              G67743107   134.55178    15100 SH       DEFINED    2               0    15100
ORIENT EXPRESS HOTELS LTD -A CMN              G67743107   145.64562    16345 SH       DEFINED    1               0    16345
ORIENTAL FINANCIAL GROUP     CMN              68618W100   119.32973    11315 SH       SOLE       1           11315        0
OSHKOSH CORP                 CMN              688239201    85.10453     3100 SH       DEFINED    1               0     3100
OSHKOSH CORP                 CMN              688239201   170.20907     6200 SH       DEFINED    2               0     6200
OSI SYSTEMS INC              CMN              671044105    37.65461      500 SH       DEFINED    1               0      500
OSI SYSTEMS INC              CMN              671044105    254.6205     3381 SH       DEFINED    2               0     3381
OWENS & MINOR INC            CMN              690732102   203.66485     6800 SH       SOLE       1            6800        0
P G & E CORP                 CMN              69331C108   212.28277     4969 SH       DEFINED    2               0     4969
P G & E CORP                 CMN              69331C108   358.85999     8400 SH       DEFINED    1               0     8400
PACCAR INC                   CMN              693718108   792.89285    19739 SH       DEFINED    2               0    19739
PACCAR INC                   CMN              693718108   823.46134    20500 SH       DEFINED    1               0    20500
PACIFIC BIOSCIENCES OF CALIF CMN              69404D108    31.99583    17500 SH       SOLE       2           17500        0
PACIFIC DRILLING SA          CMN              L7257P106     6.57446      659 SH       DEFINED    2               0      659
PACIFIC DRILLING SA          CMN              L7257P106   194.50045    19496 SH       DEFINED    1               0    19496
PACIFIC ETHANOL INC          CMN              69423U206     4.54901    11750 SH       DEFINED    2               0    11750
PACIFIC ETHANOL INC          CMN              69423U206    26.89569    69471 SH       DEFINED    1               0    69471
PACIRA PHARMACEUTICALS INC   CMN              695127100    52.50939     3116 SH       DEFINED    1               0     3116
PACIRA PHARMACEUTICALS INC   CMN              695127100   311.75346    18500 SH       DEFINED    2               0    18500
PACKAGING CORP OF AMERICA    CMN              695156109   522.05226    14498 SH       SOLE       1           14498        0
PALL CORP                    CMN              696429307    39.77363      626 SH       DEFINED    2               0      626
PALL CORP                    CMN              696429307    209.6693     3300 SH       DEFINED    1               0     3300
PAN AMERICAN SILVER CORP     CMN              697900108    23.09428     1076 SH       DEFINED    1               0     1076
PAN AMERICAN SILVER CORP     CMN              697900108   459.80382    21423 SH       DEFINED    2               0    21423
PANDORA MEDIA INC            CMN              698354107    10.90392     1000 SH       DEFINED    2               0     1000
PANDORA MEDIA INC            CMN              698354107   499.29088    45790 SH       DEFINED    1               0    45790
PANERA BREAD COMPANY-CLASS A CMN              69840W108    19.13752      112 SH       DEFINED    2               0      112
PANERA BREAD COMPANY-CLASS A CMN              69840W108   527.13632     3085 SH       DEFINED    1               0     3085
PAPA JOHN'S INTL INC         CMN              698813102    75.26698     1408 SH       DEFINED    2               0     1408
PAPA JOHN'S INTL INC         CMN              698813102    187.2587     3503 SH       DEFINED    1               0     3503
PAR PHARMACEUTICAL COS INC   CMN              69888P106       24.99      500 SH       DEFINED    2               0      500
PAR PHARMACEUTICAL COS INC   CMN              69888P106    780.9375    15625 SH       DEFINED    1               0    15625
PARAGON SHIPPING INC-CLASS A CMN              69913R309     9.51065    21780 SH       SOLE       2           21780        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
PARAMETRIC TECHNOLOGY CORP   CMN              699173209     0.80462       37 SH       DEFINED    2               0       37
PARAMETRIC TECHNOLOGY CORP   CMN              699173209    268.8307    12362 SH       DEFINED    1               0    12362
PARKER DRILLING CO           CMN              701081101    12.95013     3043 SH       DEFINED    2               0     3043
PARKER DRILLING CO           CMN              701081101   197.56727    46424 SH       DEFINED    1               0    46424
PARKER HANNIFIN CORP         CMN              701094104    51.80543      619 SH       DEFINED    1               0      619
PARKER HANNIFIN CORP         CMN              701094104   286.98035     3429 SH       DEFINED    2               0     3429
PARTNERRE LTD                CMN              G6852T105   264.89619     3566 SH       SOLE       1            3566        0
PATRIOT COAL CORP            CMN              70336T104     3.42049    29235 SH       SOLE       2           29235        0
PATTERSON COS INC            CMN              703395103    19.34065      565 SH       DEFINED    2               0      565
PATTERSON COS INC            CMN              703395103   252.01046     7362 SH       DEFINED    1               0     7362
PAYCHEX INC                  CMN              704326107   447.49743    13421 SH       DEFINED    2               0    13421
PAYCHEX INC                  CMN              704326107  1114.12557    33414 SH       DEFINED    1               0    33414
PDL BIOPHARMA INC            CNV              69329YAE4  5588.95999   728000 SH       SOLE       1          728000        0
PDL BIOPHARMA INC            CMN              69329Y104    21.84914     2846 SH       DEFINED    2               0     2846
PDL BIOPHARMA INC            CMN              69329Y104   200.37342    26100 SH       DEFINED    1               0    26100
PDL BIOPHARMA INC            CMN              69329Y104   592.40672    77165 SH       DEFINED    2               0    77165
PEABODY ENERGY CORP          CMN              704549104     89.9732     4033 SH       DEFINED    2               0     4033
PEABODY ENERGY CORP          CMN              704549104   627.11301    28110 SH       DEFINED    1               0    28110
PENDRELL CORP                CMN              70686R104    53.04652    47072 SH       SOLE       1           47072        0
PENN NATIONAL GAMING INC     CMN              707569109    13.68701      320 SH       DEFINED    2               0      320
PENN NATIONAL GAMING INC     CMN              707569109   359.28415     8400 SH       DEFINED    1               0     8400
PENN VIRGINIA CORP           CMN              707882106   341.36328    55004 SH       SOLE       1           55004        0
PENSON WORLDWIDE INC         CMN              709600100     2.13736    45100 SH       SOLE       1           45100        0
PENTAIR INC                  CMN              709631105       44.51     1000 SH       DEFINED    2               0     1000
PENTAIR INC                  CMN              709631105      578.63    13000 SH       DEFINED    1               0    13000
PEOPLE'S UNITED FINANCIAL    CMN              712704105    22.32769     1840 SH       DEFINED    2               0     1840
PEOPLE'S UNITED FINANCIAL    CMN              712704105   249.81532    20587 SH       DEFINED    2               0    20587
PEOPLE'S UNITED FINANCIAL    CMN              712704105   922.35211    76010 SH       DEFINED    1               0    76010
PEP BOYS-MANNY MOE & JACK    CMN              713278109   339.00275    33350 SH       SOLE       1           33350        0
PEPCO HOLDINGS INC           CMN              713291102   325.82364    17213 SH       DEFINED    2               0    17213
PEPCO HOLDINGS INC           CMN              713291102   453.00711    23932 SH       DEFINED    1               0    23932
PEPSICO INC                  CMN              713448108  1120.80171    15843 SH       DEFINED    1               0    15843
PEPSICO INC                  CMN              713448108  2179.20697    30804 SH       DEFINED    2               0    30804
PEREGRINE PHARMACEUTICALS    CMN              713661304     11.0925    10875 SH       DEFINED    2               0    10875
PEREGRINE PHARMACEUTICALS    CMN              713661304    74.34168    72884 SH       DEFINED    1               0    72884
PERKINELMER INC              CMN              714046109      42.583     1444 SH       DEFINED    2               0     1444
PERKINELMER INC              CMN              714046109  3981.09807   135000 SH       DEFINED    1               0   135000
PERRIGO CO                   CMN              714290103     104.283      900 SH       DEFINED    1               0      900
PERRIGO CO                   CMN              714290103   226.06237     1951 SH       DEFINED    2               0     1951
PETROBRAS - PETROLEO BRAS    CMN              71654V408   382.35605    16671 SH       DEFINED    2               0    16671
PETROBRAS - PETROLEO BRAS    CMN              71654V408   4208.6459   183500 SH       DEFINED    1               0   183500
PETROBRAS - PETROLEO BRAS    CMN              71654V408 31318.58686  1365513 SH       DEFINED    2               0  1365513
PETROBRAS ARGENTINA SA-B     CMN              71646J109    117.1447    12860 SH       SOLE       2           12860        0
PETROCHINA CO LTD-H          CMN              71646E100   129.54748     1003 SH       DEFINED    2               0     1003
PETROCHINA CO LTD-H          CMN              71646E100     813.708     6300 SH       DEFINED    1               0     6300
PETSMART INC                 CMN              716768106    78.18733     1167 SH       DEFINED    2               0     1167
PETSMART INC                 CMN              716768106    670.4547    10007 SH       DEFINED    1               0    10007
PFIZER INC                   CMN              717081103  1615.18554    64989 SH       DEFINED    1               0    64989
PFIZER INC                   CMN              717081103  9118.39578   366890 SH       DEFINED    2               0   366890
PHARMATHENE INC              CMN              71714G102   269.29022   226734 SH       SOLE       2          226734        0
PHH CORP                     CNV              693320AN3    85692.42  4213000 SH       SOLE       1         4213000        0
PHH CORP                     CNV              693320AQ6    78776.82  3873000 SH       SOLE       1         3873000        0
PHH CORP                     CMN              693320202    33.07284     1626 SH       DEFINED    2               0     1626
PHH CORP                     CMN              693320202  3437.90748   169022 SH       DEFINED    2               0   169022
PHILIP MORRIS INTERNATIONAL  CMN              718172109   233.89016     2600 SH       DEFINED    1               0     2600
PHILIP MORRIS INTERNATIONAL  CMN              718172109   233.89016     2600 SH       DEFINED    1               0     2600
PHILIP MORRIS INTERNATIONAL  CMN              718172109  1604.48655    17836 SH       DEFINED    2               0    17836
PHILIP MORRIS INTERNATIONAL  CMN              718172109  1604.48655    17836 SH       DEFINED    2               0    17836
PHILIP MORRIS INTERNATIONAL  CMN              718172109     0.08995        1 SH  CALL DEFINED    2               0        1
PHILIP MORRIS INTERNATIONAL  CMN              718172109     0.08995        1 SH  CALL DEFINED    2               0        1






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
PHILIP MORRIS INTERNATIONAL  CMN              718172109 10794.93085   120000 SH  CALL DEFINED    2               0   120000
PHILIP MORRIS INTERNATIONAL  CMN              718172109 10794.93085   120000 SH  CALL DEFINED    2               0   120000
PHILLIPS 66                  CMN              718546104  1438.48834    31065 SH       DEFINED    2               0    31065
PHILLIPS 66                  CMN              718546104 25975.16816   560949 SH       DEFINED    1               0   560949
PHOTRONICS INC               CMN              719405102     1.12051      208 SH       DEFINED    2               0      208
PHOTRONICS INC               CMN              719405102   148.51111    27568 SH       DEFINED    1               0    27568
PIEDMONT OFFICE REALTY TRU-A CMN              720190206  6542.44273   377529 SH       SOLE       1          377529        0
PILGRIM'S PRIDE CORP         CMN              72147K108    416.3628    81480 SH       SOLE       1           81480        0
PIMCO TOTAL RETURN ETF       CMN              72201R775  4112.02145    37800 SH       SOLE       2           37800        0
PINNACLE WEST CAPITAL        CMN              723484101   336.90964     6375 SH       DEFINED    2               0     6375
PINNACLE WEST CAPITAL        CMN              723484101   925.90697    17520 SH       DEFINED    1               0    17520
PIONEER ENERGY SERVICES CORP CMN              723664108   110.66715    14200 SH       SOLE       1           14200        0
PIONEER NATURAL RESOURCES CO CNV              723787AH0 481076.4514  4596000 SH       SOLE       1         4596000        0
PIONEER NATURAL RESOURCES CO CMN              723787107   130.84107     1250 SH       DEFINED    1               0     1250
PIONEER NATURAL RESOURCES CO CMN              723787107  1100.63509    10515 SH       DEFINED    2               0    10515
PITNEY BOWES INC             CMN              724479100    15.24678     1100 SH       DEFINED    2               0     1100
PITNEY BOWES INC             CMN              724479100   796.68613    57478 SH       DEFINED    1               0    57478
PLAINS EXPLORATION & PRODUCT CMN              726505100     0.03763        1 SH       DEFINED    2               0        1
PLAINS EXPLORATION & PRODUCT CMN              726505100  1216.28492    32317 SH       DEFINED    1               0    32317
PLATINUM UNDERWRITERS HLDGS  CMN              G7127P100   225.51529     5516 SH       SOLE       1            5516        0
PLUM CREEK TIMBER CO INC     COM              729251108      920.64    21000 SH       SOLE       5           21000        0      0
PLURISTEM THERAPEUTICS INC   CMN              72940R102     0.39284      100 SH       DEFINED    1               0      100
PLURISTEM THERAPEUTICS INC   CMN              72940R102     65.6053    16700 SH       DEFINED    2               0    16700
PLX TECHNOLOGY INC           CMN              693417107  1832.37187   317500 SH       SOLE       1          317500        0
PMC - SIERRA INC             CMN              69344F106     2.24461      400 SH       DEFINED    1               0      400
PMC - SIERRA INC             CMN              69344F106   451.16769    80400 SH       DEFINED    2               0    80400
PNC FINANCIAL SERVICES GROUP CMN              693475105   928.26956    14665 SH       DEFINED    2               0    14665
PNC FINANCIAL SERVICES GROUP CMN              693475105  3575.72096    56490 SH       DEFINED    2               0    56490
PNC FINANCIAL SERVICES GROUP CMN              693475105 10826.03484   171032 SH       DEFINED    1               0   171032
PNC FINANCIAL SERVICES GROUP CMN              693475121    649.7139    61006 SH       DEFINED    1               0    61006
PNC FINANCIAL SERVICES GROUP CMN              693475121      1597.5   150000 SH       DEFINED    2               0   150000
POLARIS INDUSTRIES INC       CMN              731068102   128.55971     1588 SH       DEFINED    2               0     1588
POLARIS INDUSTRIES INC       CMN              731068102   456.75939     5642 SH       DEFINED    1               0     5642
POLYCOM INC                  CMN              73172K104    32.03416     3250 SH       DEFINED    2               0     3250
POLYCOM INC                  CMN              73172K104   612.40455    62131 SH       DEFINED    1               0    62131
POLYPORE INTERNATIONAL INC   CMN              73179V103       0.353       10 SH       DEFINED    2               0       10
POLYPORE INTERNATIONAL INC   CMN              73179V103  1412.02857    40000 SH       DEFINED    1               0    40000
POOL CORP                    CMN              73278L105   202.71676     4900 SH       SOLE       1            4900        0
POPULAR INC                  CMN              733174700    27.71566     1600 SH       DEFINED    1               0     1600
POPULAR INC                  CMN              733174700   236.48393    13652 SH       DEFINED    2               0    13652
PORTFOLIO RECOVERY ASSOCIATE CMN              73640Q105    80.63819      780 SH       DEFINED    2               0      780
PORTFOLIO RECOVERY ASSOCIATE CMN              73640Q105   310.45706     3003 SH       DEFINED    1               0     3003
PORTLAND GENERAL ELECTRIC CO CMN              736508847    674.3678    24929 SH       SOLE       1           24929        0
POSCO                        CMN              693483109   668.02246     8200 SH       SOLE       1            8200        0
POST HOLDINGS INC            CMN              737446104   667.37765    22193 SH       SOLE       1           22193        0
POST PROPERTIES INC          CMN              737464107   201.58219     4200 SH       SOLE       1            4200        0
POTASH CORP OF SASKATCHEWAN  CMN              73755L107   185.11927     4265 SH       DEFINED    2               0     4265
POTASH CORP OF SASKATCHEWAN  CMN              73755L107   190.97885     4400 SH       DEFINED    1               0     4400
POWER INTEGRATIONS INC       CMN              739276103   502.65474    16320 SH       SOLE       1           16320        0
POWER-ONE INC                CMN              73930R102   125.25225    22442 SH       DEFINED    1               0    22442
POWER-ONE INC                CMN              73930R102    470.7759    84351 SH       DEFINED    2               0    84351
POWERSHARES DB AGRICULTURE F CMN              73936B408   142.58365     4849 SH       DEFINED    2               0     4849
POWERSHARES DB AGRICULTURE F CMN              73936B408   147.02376     5000 SH       DEFINED    1               0     5000
POWERSHARES DB COMMODITY IND CMN              73935S105    776.2092    27004 SH       SOLE       2           27004        0
POWERSHARES DB US DOL IND BU CMN              73936D107   675.65425    30848 SH       SOLE       2           30848        0
POWERSHARES INDIA PORTFOLIO  CMN              73935L100   676.72584    36195 SH       SOLE       2           36195        0
POWERSHARES QQQ NASDAQ 100   CMN              73935A104     8.09652      118 SH       DEFINED    2               0      118
POWERSHARES QQQ NASDAQ 100   CMN              73935A104  421978.032  6149973 SH       DEFINED    1               0  6149973
POWERSHARES QQQ NASDAQ 100   CMN              73935A104     34.3073      500 SH  PUT  DEFINED    1               0      500
POWERSHARES QQQ NASDAQ 100   CMN              73935A104     34.3073      500 SH  CALL DEFINED    1               0      500






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
POWERWAVE TECHNOLOGIES INC   CMN              739363307     1.30167     2200 SH       DEFINED    1               0     2200
POWERWAVE TECHNOLOGIES INC   CMN              739363307    14.79178    25000 SH       DEFINED    2               0    25000
PPG INDUSTRIES INC           CMN              693506107   528.16871     4600 SH       DEFINED    1               0     4600
PPG INDUSTRIES INC           CMN              693506107    873.4303     7607 SH       DEFINED    2               0     7607
PPL CORPORATION              CMN              69351T106    546.7264    18798 SH       DEFINED    2               0    18798
PPL CORPORATION              CMN              69351T106  2799.97326    96271 SH       DEFINED    1               0    96271
PRAXAIR INC                  CMN              74005P104   852.71434     8184 SH       DEFINED    2               0     8184
PRAXAIR INC                  CMN              74005P104  1793.88842    17217 SH       DEFINED    1               0    17217
PRECISION CASTPARTS CORP     CMN              740189105   127.97847      784 SH       DEFINED    2               0      784
PRECISION CASTPARTS CORP     CMN              740189105   457.06599     2800 SH       DEFINED    1               0     2800
PREMIER EXHIBITIONS INC      CMN              74051E102     0.23423      100 SH       DEFINED    1               0      100
PREMIER EXHIBITIONS INC      CMN              74051E102   151.84478    64827 SH       DEFINED    2               0    64827
PRICELINE.COM INC            CMN              741503403   376.52396      607 SH       DEFINED    2               0      607
PRICELINE.COM INC            CMN              741503403   546.48701      881 SH       DEFINED    1               0      881
PRIMUS TELECOMMUNICATIONS GR COM              741929301   1829.1933   119790 SH       SOLE       4          114550        0   5240
PRINCIPAL FINANCIAL GROUP    CMN              74251V102   292.88279    10865 SH       DEFINED    2               0    10865
PRINCIPAL FINANCIAL GROUP    CMN              74251V102   558.00034    20700 SH       DEFINED    1               0    20700
PRIVATEBANCORP INC           CMN              742962103    300.8712    19460 SH       SOLE       1           19460        0
PROASSURANCE CORP            CMN              74267C106      0.9924       11 SH       DEFINED    2               0       11
PROASSURANCE CORP            CMN              74267C106   432.32683     4792 SH       DEFINED    1               0     4792
PROCTER & GAMBLE CO/THE      CMN              742718109  2452.59958    35373 SH       DEFINED    2               0    35373
PROCTER & GAMBLE CO/THE      CMN              742718109  6122.10402    88297 SH       DEFINED    1               0    88297
PROCTER & GAMBLE CO/THE      CMN              742718109    126.8837     1830 SH  PUT  DEFINED    1               0     1830
PROGENICS PHARMACEUTICALS    CMN              743187106   177.09437    61500 SH       SOLE       2           61500        0
PROGRESSIVE CORP             CMN              743315103    70.78315     3412 SH       DEFINED    1               0     3412
PROGRESSIVE CORP             CMN              743315103   299.31401    14428 SH       DEFINED    2               0    14428
PROLOGIS INC                 CNV              74340XAT8 67596.69221  1930000 SH       SOLE       1         1930000        0
PROLOGIS INC                 CNV              743410AY8  8826.09659   252000 SH       SOLE       1          252000        0
PROLOGIS INC                 CMN              74340W103    70.04838     2000 SH       DEFINED    1               0     2000
PROLOGIS INC                 CMN              74340W103   147.48687     4211 SH       DEFINED    2               0     4211
PROSHARES ULTRA BASIC MATERI CMN              74347R776   232.89834     6650 SH       SOLE       2            6650        0
PROSHARES ULTRA SILVER       CMN              74347W841  2475.44143    42452 SH       SOLE       2           42452        0
PROSHARES ULTRA VIX ST FUTUR CMN              74347W411    52.57958     1700 SH       DEFINED    1               0     1700
PROSHARES ULTRA VIX ST FUTUR CMN              74347W411   156.37786     5056 SH       DEFINED    2               0     5056
PROSHARES ULTRAPRO S&P 500   CMN              74347X864    208.6522     2306 SH       SOLE       2            2306        0
PROSHARES ULTRASHORT 20+Y TR CMN              74347R297   2194.3596   140261 SH       SOLE       2          140261        0
PROSHARES ULTRASHORT S&P500  CMN              74347R883   270.94719    19871 SH       SOLE       2           19871        0
PROSHRE ULT DJ-UBS CRUDE OIL CMN              74347W650   316.69456    10092 SH       SOLE       2           10092        0
PROSPECT CAPITAL CORP        CMN              74348T102    65.56425     5700 SH       DEFINED    1               0     5700
PROSPECT CAPITAL CORP        CMN              74348T102   104.21265     9060 SH       DEFINED    2               0     9060
PROSPERITY BANCSHARES INC    CMN              743606105   117.15264     2752 SH       DEFINED    1               0     2752
PROSPERITY BANCSHARES INC    CMN              743606105   232.51734     5462 SH       DEFINED    2               0     5462
PROTALIX BIOTHERAPEUTICS INC CMN              74365A101    66.39922    12847 SH       DEFINED    1               0    12847
PROTALIX BIOTHERAPEUTICS INC CMN              74365A101   212.32556    41081 SH       DEFINED    2               0    41081
PRUDENTIAL FINANCIAL INC     CMN              744320102   463.98305     8508 SH       DEFINED    1               0     8508
PRUDENTIAL FINANCIAL INC     CMN              744320102  1211.71126    22219 SH       DEFINED    2               0    22219
PUBLIC SERVICE ENTERPRISE GP CMN              744573106   566.56325    17627 SH       DEFINED    2               0    17627
PUBLIC SERVICE ENTERPRISE GP CMN              744573106   826.55816    25716 SH       DEFINED    1               0    25716
PUBLIC STORAGE               CMN              74460D109   216.88417     1556 SH       DEFINED    2               0     1556
PUBLIC STORAGE               CMN              74460D109   459.97285     3300 SH       DEFINED    1               0     3300
PULTEGROUP INC               CMN              745867101   532.72205    34250 SH       DEFINED    2               0    34250
PULTEGROUP INC               CMN              745867101  1361.43536    87530 SH       DEFINED    1               0    87530
PVH CORP                     CMN              693656100     6.46081       69 SH       DEFINED    2               0       69
PVH CORP                     CMN              693656100   6601.2675    70500 SH       DEFINED    1               0    70500
QEP RESOURCES INC            CMN              74733V100    187.2046     5925 SH       DEFINED    2               0     5925
QEP RESOURCES INC            CMN              74733V100   380.28601    12036 SH       DEFINED    1               0    12036
QIAGEN N.V.                  CMN              N72482107     171.717     9282 SH       DEFINED    2               0     9282
QIAGEN N.V.                  CMN              N72482107      183.52     9920 SH       DEFINED    1               0     9920
QLIK TECHNOLOGIES INC        CMN              74733T105     4.48125      200 SH       DEFINED    2               0      200
QLIK TECHNOLOGIES INC        CMN              74733T105   518.07731    23122 SH       DEFINED    1               0    23122






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
QLOGIC CORP                  CMN              747277101    73.54338     6400 SH       DEFINED    2               0     6400
QLOGIC CORP                  CMN              747277101   284.94614    24797 SH       DEFINED    1               0    24797
QUALCOMM INC                 CMN              747525103  2477.18848    39616 SH       DEFINED    2               0    39616
QUALCOMM INC                 CMN              747525103  4196.76348    67116 SH       DEFINED    1               0    67116
QUALITY DISTR INC FLA        COM              74756M102    136.1415    14718 SH       SOLE       4           14718        0      0
QUALITY SYSTEMS INC          CMN              747582104   111.13937     5974 SH       DEFINED    2               0     5974
QUALITY SYSTEMS INC          CMN              747582104     194.466    10453 SH       DEFINED    1               0    10453
QUANTA SERVICES INC          CMN              74762E102   340.19875    13781 SH       DEFINED    2               0    13781
QUANTA SERVICES INC          CMN              74762E102   464.09814    18800 SH       DEFINED    1               0    18800
QUEST DIAGNOSTICS INC        CMN              74834L100    72.81145     1148 SH       DEFINED    2               0     1148
QUEST DIAGNOSTICS INC        CMN              74834L100   380.54769     6000 SH       DEFINED    1               0     6000
QUEST SOFTWARE INC           CMN              74834T103       663.6    23700 SH       SOLE       2           23700        0
QUESTAR CORP                 CMN              748356102     9.26697      456 SH       DEFINED    2               0      456
QUESTAR CORP                 CMN              748356102   686.97528    33804 SH       DEFINED    1               0    33804
QUESTCOR PHARMACEUTICALS     CMN              74835Y101   138.76157     7531 SH       DEFINED    2               0     7531
QUESTCOR PHARMACEUTICALS     CMN              74835Y101  1528.10927    82935 SH       DEFINED    1               0    82935
RACKSPACE HOSTING INC        CMN              750086100   113.80415     1723 SH       DEFINED    2               0     1723
RACKSPACE HOSTING INC        CMN              750086100   353.82985     5357 SH       DEFINED    1               0     5357
RADIOSHACK CORP              CMN              750438103   537.20081   223634 SH       SOLE       2          223634        0
RALPH LAUREN CORP            CMN              751212101   462.60015     3057 SH       DEFINED    2               0     3057
RALPH LAUREN CORP            CMN              751212101  9301.78896    61469 SH       DEFINED    1               0    61469
RAMTRON INTERNATIONAL CORP   CMN              751907304  1544.28716   516484 SH       SOLE       1          516484        0
RANDGOLD RESOURCES LTD       CMN              752344309    46.23925      396 SH       DEFINED    2               0      396
RANDGOLD RESOURCES LTD       CMN              752344309   175.14871     1500 SH       DEFINED    1               0     1500
RANGE RESOURCES CORP         CMN              75281A109   110.59648     1582 SH       DEFINED    2               0     1582
RANGE RESOURCES CORP         CMN              75281A109  1114.07437    15936 SH       DEFINED    1               0    15936
RAPTOR PHARMACEUTICAL CORP   CMN              75382F106     1.10883      200 SH       DEFINED    1               0      200
RAPTOR PHARMACEUTICAL CORP   CMN              75382F106  2409.76095   434648 SH       DEFINED    2               0   434648
RAYMOND JAMES FINANCIAL INC  CMN              754730109     3.07583       84 SH       DEFINED    2               0       84
RAYMOND JAMES FINANCIAL INC  CMN              754730109   835.67643    22822 SH       DEFINED    1               0    22822
RAYONIER INC                 COM              754907103      1470.3    30000 SH       SOLE       5           30000        0      0
RAYONIER INC                 CNV              75508AAB2 508517.0629 10364000 SH       SOLE       1        10364000        0
RAYONIER INC                 CNV              75508AAC0 93862.71142  1913000 SH       SOLE       1         1913000        0
RAYONIER INC                 CMN              754907103      1.5701       32 SH       DEFINED    2               0       32
RAYONIER INC                 CMN              754907103   230.60885     4700 SH       DEFINED    1               0     4700
RAYTHEON COMPANY             CMN              755111507   721.13399    12600 SH       DEFINED    1               0    12600
RAYTHEON COMPANY             CMN              755111507  1509.28767    26371 SH       DEFINED    2               0    26371
REALD INC                    CMN              75604L105   126.27938    14152 SH       SOLE       1           14152        0
REALTY INCOME CORP           CMN              756109104      63.468     1548 SH       DEFINED    2               0     1548
REALTY INCOME CORP           CMN              756109104       241.9     5900 SH       DEFINED    1               0     5900
RED HAT INC                  CMN              756577102   138.57935     2430 SH       DEFINED    2               0     2430
RED HAT INC                  CMN              756577102  3780.07993    66284 SH       DEFINED    1               0    66284
REED ELSEVIER NV             CMN              758204200      95.832     3600 SH       DEFINED    1               0     3600
REED ELSEVIER NV             CMN              758204200     130.438     4900 SH       DEFINED    2               0     4900
REED ELSEVIER PLC            CMN              758205207     133.735     3500 SH       DEFINED    1               0     3500
REED ELSEVIER PLC            CMN              758205207   482.85977    12637 SH       DEFINED    2               0    12637
REGAL ENTERTAINMENT GROUP-A  CMN              758766109   182.60821    13000 SH       SOLE       1           13000        0
REGAL-BELOIT CORP            CMN              758750103    49.37315      700 SH       DEFINED    1               0      700
REGAL-BELOIT CORP            CMN              758750103   493.73153     7000 SH       DEFINED    2               0     7000
REGENERON PHARMACEUTICALS    CMN              75886F107     3.95665       26 SH       DEFINED    2               0       26
REGENERON PHARMACEUTICALS    CMN              75886F107   438.27618     2880 SH       DEFINED    1               0     2880
REGIONS FINANCIAL CORP       CMN              7591EP100   154.44534    21455 SH       DEFINED    2               0    21455
REGIONS FINANCIAL CORP       CMN              7591EP100   236.19952    32812 SH       DEFINED    2               0    32812
REGIONS FINANCIAL CORP       CMN              7591EP100    676.2122    93937 SH       DEFINED    1               0    93937
REINSURANCE GROUP OF AMERICA CMN              759351604     0.92723       16 SH       DEFINED    2               0       16
REINSURANCE GROUP OF AMERICA CMN              759351604  1121.03288    19344 SH       DEFINED    1               0    19344
RELIANCE STEEL & ALUMINUM    CMN              759509102    45.42664      869 SH       DEFINED    2               0      869
RELIANCE STEEL & ALUMINUM    CMN              759509102   472.87617     9046 SH       DEFINED    1               0     9046
RENAISSANCERE HOLDINGS LTD   CMN              G7496G103   4825.1216    62709 SH       SOLE       1           62709        0
RENT-A-CENTER INC            CMN              76009N100     7.01433      200 SH       DEFINED    2               0      200






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
RENT-A-CENTER INC            CMN              76009N100   231.47299     6600 SH       DEFINED    1               0     6600
REPUBLIC SERVICES INC        CMN              760759100   152.83829     5559 SH       DEFINED    2               0     5559
REPUBLIC SERVICES INC        CMN              760759100   478.80533    17415 SH       DEFINED    1               0    17415
RESEARCH IN MOTION           CMN              760975102   136.08594    18273 SH       DEFINED    2               0    18273
RESEARCH IN MOTION           CMN              760975102  2918.53084   391887 SH       DEFINED    2               0   391887
RESEARCH IN MOTION           CMN              760975102  8120.38327  1090368 SH       DEFINED    1               0  1090368
RESMED INC                   CMN              761152107    94.65749     2340 SH       DEFINED    2               0     2340
RESMED INC                   CMN              761152107  1538.26527    38027 SH       DEFINED    1               0    38027
RESOLUTE ENERGY CORP         CMN              76116A108   235.93201    26531 SH       SOLE       1           26531        0
RESOURCE CAPITAL CORP        CMN              76120W302    150.3803    25600 SH       SOLE       1           25600        0
RESPONSYS INC                CMN              761248103   112.28664    10978 SH       SOLE       1           10978        0
REX ENERGY CORP              CMN              761565100    40.01298     3000 SH       DEFINED    2               0     3000
REX ENERGY CORP              CMN              761565100   144.04674    10800 SH       DEFINED    1               0    10800
REYNOLDS AMERICAN INC        CMN              761713106   442.49608    10205 SH       DEFINED    2               0    10205
REYNOLDS AMERICAN INC        CMN              761713106  1055.05289    24332 SH       DEFINED    1               0    24332
RF MICRO DEVICES INC         CMN              749941100    88.43692    22400 SH       DEFINED    2               0    22400
RF MICRO DEVICES INC         CMN              749941100   296.02285    74979 SH       DEFINED    1               0    74979
RITE AID CORP                CMN              767754104     8.18192     7000 SH       DEFINED    2               0     7000
RITE AID CORP                CMN              767754104     26.5328    22700 SH       DEFINED    1               0    22700
RIVERBED TECHNOLOGY INC      CMN              768573107    46.80787     2010 SH       DEFINED    1               0     2010
RIVERBED TECHNOLOGY INC      CMN              768573107   295.82111    12703 SH       DEFINED    2               0    12703
ROBBINS & MYERS INC          CMN              770196103  1115.02457    18706 SH       SOLE       1           18706        0
ROBERT HALF INTL INC         CMN              770323103     21.0377      790 SH       DEFINED    2               0      790
ROBERT HALF INTL INC         CMN              770323103  1186.84584    44568 SH       DEFINED    1               0    44568
ROCK-TENN COMPANY -CL A      CMN              772739207    37.50871      520 SH       DEFINED    2               0      520
ROCK-TENN COMPANY -CL A      CMN              772739207  1449.85607    20100 SH       DEFINED    1               0    20100
ROCKWELL AUTOMATION INC      CMN              773903109   136.71699     1960 SH       DEFINED    1               0     1960
ROCKWELL AUTOMATION INC      CMN              773903109   141.94851     2035 SH       DEFINED    2               0     2035
ROCKWELL COLLINS INC         CMN              774341101    82.12778     1532 SH       DEFINED    2               0     1532
ROCKWELL COLLINS INC         CMN              774341101   187.62874     3500 SH       DEFINED    1               0     3500
ROCKWOOD HOLDINGS INC        CMN              774415103    83.58152     1782 SH       DEFINED    2               0     1782
ROCKWOOD HOLDINGS INC        CMN              774415103  1890.19953    40300 SH       DEFINED    1               0    40300
ROLLINS INC                  CMN              775711104    50.88877     2176 SH       DEFINED    2               0     2176
ROLLINS INC                  CMN              775711104   159.02741     6800 SH       DEFINED    1               0     6800
ROPER INDUSTRIES INC         CNV              776696AA4  4394.77142    40000 SH       SOLE       1           40000        0
ROPER INDUSTRIES INC         CMN              776696106   186.22843     1695 SH       DEFINED    2               0     1695
ROPER INDUSTRIES INC         CMN              776696106   736.12421     6700 SH       DEFINED    1               0     6700
ROSS STORES INC              CMN              778296103   571.65476     8800 SH       DEFINED    1               0     8800
ROSS STORES INC              CMN              778296103  1575.42857    24252 SH       DEFINED    2               0    24252
ROVI CORP                    CMN              779376102    16.71561     1153 SH       DEFINED    2               0     1153
ROVI CORP                    CMN              779376102   569.07036    39253 SH       DEFINED    1               0    39253
ROWAN COMPANIES PLC-A        CMN              G7665A101    283.8858     8334 SH       SOLE       2            8334        0
ROYAL CARIBBEAN CRUISES LTD  CMN              V7780T103   408.17553    13538 SH       DEFINED    2               0    13538
ROYAL CARIBBEAN CRUISES LTD  CMN              V7780T103  1966.67764    65229 SH       DEFINED    1               0    65229
ROYAL DUTCH SHELL PLC-A SHS  CMN              780259206   577.69943     8323 SH       SOLE       2            8323        0
ROYAL DUTCH SHELL PLC-B SHS  CMN              780259107    376.7492     5284 SH       DEFINED    2               0     5284
ROYAL DUTCH SHELL PLC-B SHS  CMN              780259107      520.49     7300 SH       DEFINED    1               0     7300
ROYAL GOLD INC               CNV              780287AA6  7341.50186    74000 SH       SOLE       1           74000        0
ROYAL GOLD INC               CMN              780287108   274.51264     2767 SH       DEFINED    2               0     2767
ROYAL GOLD INC               CMN              780287108   282.15177     2844 SH       DEFINED    1               0     2844
RPX CORP                     CMN              74972G103   160.85556    13844 SH       SOLE       1           13844        0
RR DONNELLEY & SONS CO       CMN              257867101    16.29257     1531 SH       DEFINED    2               0     1531
RR DONNELLEY & SONS CO       CMN              257867101   295.16056    27736 SH       DEFINED    1               0    27736
RTI INTERNATIONAL METALS INC CMN              74973W107    38.35076     1600 SH       DEFINED    2               0     1600
RTI INTERNATIONAL METALS INC CMN              74973W107   319.27015    13320 SH       DEFINED    1               0    13320
RUSH ENTERPRISES INC-CL A    CMN              781846209   198.66934    10279 SH       SOLE       1           10279        0
RUSSELL LOW P/E ETF          CMN              782474696    4951.912   100000 SH       SOLE       1          100000        0
RUSSELL SMALL CAP CONTRARIAN CMN              782474480        6513   100000 SH       SOLE       1          100000        0
RYLAND GROUP INC/THE         CNV              783764AQ6 48951.20035  1627000 SH       SOLE       1         1627000        0
SAFE BULKERS INC             CMN              Y7388L103    59.82045    10305 SH       SOLE       2           10305        0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
SAFEWAY INC                  CMN              786514208    17.55896     1092 SH       DEFINED    2               0     1092
SAFEWAY INC                  CMN              786514208   907.00441    56407 SH       DEFINED    1               0    56407
SAIA INC                     CMN              78709Y105    61.76864     3060 SH       DEFINED    2               0     3060
SAIA INC                     CMN              78709Y105    198.9112     9854 SH       DEFINED    1               0     9854
SAIC INC                     CMN              78390X101    16.65093     1379 SH       DEFINED    2               0     1379
SAIC INC                     CMN              78390X101   128.22063    10619 SH       DEFINED    1               0    10619
SAKS INC                     CMN              79377W108     164.606    15932 SH       SOLE       1           15932        0
SAKS INC                     CNV              79377WAL2  7748.83928   750000 SH       SOLE       1          750000        0
SALESFORCE.COM INC           CNV              79466LAB0  99643.5381   654000 SH       SOLE       1          654000        0
SALESFORCE.COM INC           CMN              79466L302   383.79521     2519 SH       DEFINED    2               0     2519
SALESFORCE.COM INC           CMN              79466L302   2194.5956    14404 SH       DEFINED    1               0    14404
SALESFORCE.COM INC           CMN              79466L302 16026.00237   105185 SH       DEFINED    2               0   105185
SALIX PHARMACEUTICALS LTD    CNV              795435AC0   858.98461    20000 SH       SOLE       1           20000        0
SALIX PHARMACEUTICALS LTD    CMN              795435106    64.42384     1500 SH       DEFINED    2               0     1500
SALIX PHARMACEUTICALS LTD    CMN              795435106   607.77456    14151 SH       DEFINED    1               0    14151
SALIX PHARMACEUTICALS LTD    CMN              795435106  2753.64698    64114 SH       DEFINED    2               0    64114
SALLY BEAUTY HOLDINGS INC    CMN              79546E104   678.74985    26954 SH       DEFINED    2               0    26954
SALLY BEAUTY HOLDINGS INC    CMN              79546E104  1008.85788    40063 SH       DEFINED    1               0    40063
SANDERSON FARMS INC          CMN              800013104   475.19396    10818 SH       SOLE       2           10818        0
SANDISK CORP                 CMN              80004C101    79.44608     1832 SH       DEFINED    1               0     1832
SANDISK CORP                 CMN              80004C101   380.10096     8765 SH       DEFINED    2               0     8765
SANDISK CORP                 CMN              80004C101 13108.51799   302278 SH       DEFINED    2               0   302278
SANDRIDGE ENERGY INC         CMN              80007P307   162.87332    23300 SH       DEFINED    2               0    23300
SANDRIDGE ENERGY INC         CMN              80007P307  1242.68152   177773 SH       DEFINED    1               0   177773
SANDRIDGE MISSISSIPPIAN TRUS CMN              80007T101   233.12296     9444 SH       SOLE       1            9444        0
SANMINA-SCI CORP             CMN              800907206    29.93499     3500 SH       DEFINED    2               0     3500
SANMINA-SCI CORP             CMN              800907206     64.6767     7562 SH       DEFINED    1               0     7562
SANOFI                       CMN              80105N105     327.256     7600 SH       DEFINED    1               0     7600
SANOFI                       CMN              80105N105  1431.05604    33234 SH       DEFINED    2               0    33234
SANTARUS INC                 CMN              802817304    102.4914    12138 SH       SOLE       1           12138        0
SAP AG                       CMN              803054204   199.92799     2800 SH       DEFINED    1               0     2800
SAP AG                       CMN              803054204  5312.44397    74401 SH       DEFINED    2               0    74401
SAPIENT CORPORATION          CMN              803062108   120.44367    11284 SH       SOLE       1           11284        0
SASOL LTD                    CMN              803866300    29.00253      650 SH       DEFINED    2               0      650
SASOL LTD                    CMN              803866300   240.94414     5400 SH       DEFINED    1               0     5400
SAUER-DANFOSS INC            CMN              804137107      201.25     5000 SH       SOLE       2            5000        0
SAVIENT PHARMACEUTICALS INC  CMN              80517Q100    133.2161    53385 SH       SOLE       1           53385        0
SBA COMMUNICATIONS CORP-CL A CNV              78388JAM8 36478.08053   581000 SH       SOLE       1          581000        0
SBA COMMUNICATIONS CORP-CL A CNV              78388JAN6 10610.66369   169000 SH       SOLE       1          169000        0
SBA COMMUNICATIONS CORP-CL A CMN              78388J106   100.70712     1604 SH       DEFINED    1               0     1604
SBA COMMUNICATIONS CORP-CL A CMN              78388J106   100.70712     1604 SH       DEFINED    1               0     1604
SBA COMMUNICATIONS CORP-CL A CMN              78388J106   110.94108     1767 SH       DEFINED    2               0     1767
SBA COMMUNICATIONS CORP-CL A CMN              78388J106   110.94108     1767 SH       DEFINED    2               0     1767
SBA COMMUNICATIONS CORP-CL A CMN              78388J106 125569.9846  2000000 SH  CALL DEFINED    2               0  2000000
SBA COMMUNICATIONS CORP-CL A CMN              78388J106 125569.9846  2000000 SH  CALL DEFINED    2               0  2000000
SCANA CORP                   CMN              80589M102    24.13392      500 SH       DEFINED    1               0      500
SCANA CORP                   CMN              80589M102   496.72451    10291 SH       DEFINED    2               0    10291
SCHLUMBERGER LTD             CMN              806857108   627.26383     8676 SH       DEFINED    1               0     8676
SCHLUMBERGER LTD             CMN              806857108   964.53743    13341 SH       DEFINED    2               0    13341
SCHLUMBERGER LTD             CMN              806857108  1934.64186    26759 SH       DEFINED    2               0    26759
SCHLUMBERGER LTD             CMN              806857108     0.72298       10 SH  PUT  DEFINED    1               0       10
SCHNITZER STEEL INDS INC-A   CMN              806882106    37.80728     1300 SH       DEFINED    2               0     1300
SCHNITZER STEEL INDS INC-A   CMN              806882106   286.11393     9838 SH       DEFINED    1               0     9838
SCHOLASTIC CORP              CMN              807066105   191.03499     6000 SH       DEFINED    2               0     6000
SCHOLASTIC CORP              CMN              807066105   253.88551     7974 SH       DEFINED    1               0     7974
SCHWAB (CHARLES) CORP        CMN              808513105   572.74439    44646 SH       DEFINED    2               0    44646
SCHWAB (CHARLES) CORP        CMN              808513105   662.15954    51616 SH       DEFINED    1               0    51616
SCHWEITZER-MAUDUIT INTL INC  CMN              808541106   575.94786    17455 SH       SOLE       1           17455        0
SCICLONE PHARMACEUTICALS INC CMN              80862K104    12.50119     2283 SH       DEFINED    2               0     2283
SCICLONE PHARMACEUTICALS INC CMN              80862K104    193.4811    35334 SH       DEFINED    1               0    35334






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
SCORPIO TANKERS INC          CMN              Y7542C106    42.24367     7006 SH       DEFINED    2               0     7006
SCORPIO TANKERS INC          CMN              Y7542C106    71.43317    11847 SH       DEFINED    1               0    11847
SCRIPPS NETWORKS INTER-CL A  CMN              811065101   263.87143     4307 SH       DEFINED    2               0     4307
SCRIPPS NETWORKS INTER-CL A  CMN              811065101   526.88514     8600 SH       DEFINED    1               0     8600
SEACOR HOLDINGS INC          CMN              811904101   326.28237     3868 SH       SOLE       1            3868        0
SEAGATE TECHNOLOGY           CMN              G7945M107   476.03106    15398 SH       DEFINED    2               0    15398
SEAGATE TECHNOLOGY           CMN              G7945M107  5270.13194   170471 SH       DEFINED    1               0   170471
SEALED AIR CORP              CMN              81211K100   138.34394     8945 SH       DEFINED    2               0     8945
SEALED AIR CORP              CMN              81211K100  1366.98355    88386 SH       DEFINED    1               0    88386
SEALY CORP                   CMN              812139301   314.70149   145191 SH       SOLE       1          145191        0
SEATTLE GENETICS INC         CMN              812578102    14.44554      535 SH       DEFINED    2               0      535
SEATTLE GENETICS INC         CMN              812578102   387.41065    14348 SH       DEFINED    1               0    14348
SEI INVESTMENTS COMPANY      CMN              784117103   1595.5283    74200 SH       SOLE       1           74200        0
SEMPRA ENERGY                CMN              816851109   517.64936     8019 SH       DEFINED    2               0     8019
SEMPRA ENERGY                CMN              816851109   651.98385    10100 SH       DEFINED    1               0    10100
SEMTECH CORP                 CMN              816850101   200.79384     8000 SH       SOLE       1            8000        0
SENIOR HOUSING PROP TRUST    CMN              81721M109   312.13835    14300 SH       SOLE       1           14300        0
SEQUENOM INC                 CMN              817337405    23.86384     6750 SH       DEFINED    2               0     6750
SEQUENOM INC                 CMN              817337405   321.71999    91000 SH       DEFINED    1               0    91000
SERVICESOURCE INTERNATIONAL  CMN              81763U100   364.02399    35431 SH       SOLE       1           35431        0
SHAW GROUP INC               CMN              820280105  3989.94535    91750 SH       DEFINED    2               0    91750
SHAW GROUP INC               CMN              820280105  6602.65289   151830 SH       DEFINED    1               0   151830
SHERWIN-WILLIAMS CO/THE      CMN              824348106   690.10619     4633 SH       DEFINED    2               0     4633
SHERWIN-WILLIAMS CO/THE      CMN              824348106   2044.1026    13723 SH       DEFINED    1               0    13723
SHIRE PLC                    CMN              82481R106    540.0056     6088 SH       SOLE       2            6088        0
SHORETEL INC                 CMN              825211105    162.7779    39710 SH       SOLE       1           39710        0
SHUTTERFLY INC               CMN              82568P304   609.36338    19515 SH       SOLE       1           19515        0
SIEMENS AG-REG               CMN              826197501   150.20517     1500 SH       DEFINED    1               0     1500
SIEMENS AG-REG               CMN              826197501  2566.70609    25632 SH       DEFINED    2               0    25632
SIGMA-ALDRICH                CMN              826552101    68.83449      960 SH       DEFINED    2               0      960
SIGMA-ALDRICH                CMN              826552101    681.1747     9500 SH       DEFINED    1               0     9500
SIGNATURE BANK               CMN              82669G104     2.56133       39 SH       DEFINED    2               0       39
SIGNATURE BANK               CMN              82669G104   144.48584     2200 SH       DEFINED    1               0     2200
SIGNATURE BANK               CMN              82669G104   241.88244     3683 SH       DEFINED    2               0     3683
SIGNET JEWELERS LTD          CMN              G81276100   246.05385     5037 SH       SOLE       1            5037        0
SILICON IMAGE INC            CMN              82705T102     4.59153     1000 SH       DEFINED    2               0     1000
SILICON IMAGE INC            CMN              82705T102   313.62044    68304 SH       DEFINED    1               0    68304
SILICON LABORATORIES INC     CMN              826919102      58.592     1600 SH       DEFINED    2               0     1600
SILICON LABORATORIES INC     CMN              826919102     179.438     4900 SH       DEFINED    1               0     4900
SILVER STANDARD RESOURCES    CMN              82823L106  1213.54385    77292 SH       SOLE       2           77292        0
SILVER WHEATON CORP          CMN              828336107   214.21024     5400 SH       DEFINED    1               0     5400
SILVER WHEATON CORP          CMN              828336107  1210.56557    30517 SH       DEFINED    2               0    30517
SILVERCORP METALS INC        CMN              82835P103  1086.60467   168010 SH       SOLE       2          168010        0
SIMON PROPERTY GROUP INC     CMN              828806109   471.50483     3101 SH       DEFINED    2               0     3101
SIMON PROPERTY GROUP INC     CMN              828806109  8605.98957    56600 SH       DEFINED    1               0    56600
SINA CORP                    CMN              G81477104   806.55392    12478 SH       SOLE       2           12478        0
SIRIUS XM RADIO INC          CMN              82967N108    44.67855    17279 SH       DEFINED    2               0    17279
SIRIUS XM RADIO INC          CMN              82967N108  1550.88557   599790 SH       DEFINED    1               0   599790
SIRONA DENTAL SYSTEMS INC    CMN              82966C103    73.80299     1300 SH       DEFINED    1               0     1300
SIRONA DENTAL SYSTEMS INC    CMN              82966C103   174.62925     3076 SH       DEFINED    2               0     3076
SIX FLAGS ENTMT CORP NEW     COM              83001A102   5575.2396    94817 SH       SOLE       4           58940        0  35877
SK TELECOM                   CMN              78440P108    38.74945     2667 SH       DEFINED    2               0     2667
SK TELECOM                   CMN              78440P108   167.08615    11500 SH       DEFINED    1               0    11500
SKYWORKS SOLUTIONS INC       CMN              83088M102   521.04836    22114 SH       DEFINED    1               0    22114
SKYWORKS SOLUTIONS INC       CMN              83088M102   639.94183    27160 SH       DEFINED    2               0    27160
SLM CORP                     CMN              78442P106   217.10784    13784 SH       DEFINED    2               0    13784
SLM CORP                     CMN              78442P106   559.11885    35498 SH       DEFINED    1               0    35498
SMITH & NEPHEW PLC           CMN              83175M205     143.312     2600 SH       DEFINED    1               0     2600
SMITH & NEPHEW PLC           CMN              83175M205   344.66536     6253 SH       DEFINED    2               0     6253
SMITH & WESSON HOLDING CORP  CMN              831756101    21.65076     2000 SH       DEFINED    2               0     2000






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
SMITH & WESSON HOLDING CORP  CMN              831756101   428.68523    39600 SH       DEFINED    1               0    39600
SMITHFIELD FOODS INC         CNV              832248AR9 80110.74153  4078000 SH       SOLE       1         4078000        0
SMITHFIELD FOODS INC         CMN              832248108     5.93267      302 SH       DEFINED    2               0      302
SMITHFIELD FOODS INC         CMN              832248108   786.02035    40012 SH       DEFINED    1               0    40012
SOC QUIMICA Y MINERA CHILE-B CMN              833635105    58.56092      950 SH       DEFINED    2               0      950
SOC QUIMICA Y MINERA CHILE-B CMN              833635105   517.80184     8400 SH       DEFINED    1               0     8400
SODASTREAM INTERNATIONAL LTD CMN              M9068E105    88.05807     2250 SH       DEFINED    2               0     2250
SODASTREAM INTERNATIONAL LTD CMN              M9068E105  4459.33928   113942 SH       DEFINED    1               0   113942
SOHU.COM INC                 CMN              83408W103   467.86473    11136 SH       DEFINED    2               0    11136
SOHU.COM INC                 CMN              83408W103    843.3413    20073 SH       DEFINED    1               0    20073
SOLARWINDS INC               CMN              83416B109    78.13974     1400 SH       DEFINED    1               0     1400
SOLARWINDS INC               CMN              83416B109   476.65247     8540 SH       DEFINED    2               0     8540
SONIC AUTOMOTIVE INC-CLASS A CMN              83545G102    16.23233      859 SH       DEFINED    2               0      859
SONIC AUTOMOTIVE INC-CLASS A CMN              83545G102   181.42803     9601 SH       DEFINED    1               0     9601
SONOCO PRODUCTS CO           CMN              835495102  1112.60514    35990 SH       SOLE       1           35990        0
SONUS NETWORKS INC           CMN              835916107    18.86538    10000 SH       SOLE       1           10000        0
SONY CORP                    CMN              835699307   151.22946    12900 SH       DEFINED    1               0    12900
SONY CORP                    CMN              835699307   270.86486    23105 SH       DEFINED    2               0    23105
SOTHEBY'S                    CNV              835898AC1 48256.99999  1540000 SH       SOLE       1         1540000        0
SOTHEBY'S                    CMN              835898107     7.92793      253 SH       DEFINED    2               0      253
SOTHEBY'S                    CMN              835898107   213.08285     6800 SH       DEFINED    1               0     6800
SOURCEFIRE INC               CMN              83616T108     50.9099     1038 SH       DEFINED    2               0     1038
SOURCEFIRE INC               CMN              83616T108   177.44898     3618 SH       DEFINED    1               0     3618
SOUTH JERSEY INDUSTRIES      CMN              838518108   319.25437     6046 SH       SOLE       1            6046        0
SOUTHERN CO/THE              CMN              842587107   413.62404     8979 SH       DEFINED    2               0     8979
SOUTHERN CO/THE              CMN              842587107   969.13049    21038 SH       DEFINED    1               0    21038
SOUTHERN COPPER CORP         CMN              84265V105   640.03904    18643 SH       DEFINED    2               0    18643
SOUTHERN COPPER CORP         CMN              84265V105   775.88813    22600 SH       DEFINED    1               0    22600
SOUTHWEST AIRLINES CO        CNV              00949PAD0     11069.1  1260000 SH       SOLE       1         1260000        0
SOUTHWEST AIRLINES CO        CMN              844741108   104.96318    11948 SH       DEFINED    2               0    11948
SOUTHWEST AIRLINES CO        CMN              844741108     363.699    41400 SH       DEFINED    1               0    41400
SOUTHWESTERN ENERGY CO       CMN              845467109   373.78933    10759 SH       DEFINED    2               0    10759
SOUTHWESTERN ENERGY CO       CMN              845467109   378.68795    10900 SH       DEFINED    1               0    10900
SPDR BARCLAYS CAPITAL HIGH   CMN              78464A417  2895.52333    71934 SH       DEFINED    1               0    71934
SPDR BARCLAYS CAPITAL HIGH   CMN              78464A417  3189.80936    79245 SH       DEFINED    2               0    79245
SPDR DJIA TRUST              CMN              78467X109    758.8449     5660 SH       DEFINED    2               0     5660
SPDR DJIA TRUST              CMN              78467X109  6968.36821    51975 SH       DEFINED    2               0    51975
SPDR DJIA TRUST              CMN              78467X109 80676.34162   601741 SH       DEFINED    1               0   601741
SPDR GOLD TRUST              CMN              78463V107  7659.29057    44550 SH       DEFINED    1               0    44550
SPDR GOLD TRUST              CMN              78463V107 52655.34466   306268 SH       DEFINED    2               0   306268
SPDR MSCI ACWI EX-US         CMN              78463X848   260.21446     8534 SH       SOLE       2            8534        0
SPDR S&P 500 ETF TRUST       CMN              78462F103 28085.93682   195134 SH       DEFINED    2               0   195134
SPDR S&P 500 ETF TRUST       CMN              78462F103 28085.93682   195134 SH       DEFINED    2               0   195134
SPDR S&P 500 ETF TRUST       CMN              78462F103 102359.2165   711166 SH       DEFINED    2               0   711166
SPDR S&P 500 ETF TRUST       CMN              78462F103 102359.2165   711166 SH       DEFINED    2               0   711166
SPDR S&P 500 ETF TRUST       CMN              78462F103 1254949.735  8719074 SH       DEFINED    1               0  8719074
SPDR S&P 500 ETF TRUST       CMN              78462F103 1254949.735  8719074 SH       DEFINED    1               0  8719074
SPDR S&P 500 ETF TRUST       CMN              78462F103   542.62189     3770 SH  PUT  DEFINED    1               0     3770
SPDR S&P 500 ETF TRUST       CMN              78462F103   542.62189     3770 SH  PUT  DEFINED    1               0     3770
SPDR S&P 500 ETF TRUST       CMN              78462F103   158.32469     1100 SH  CALL DEFINED    1               0     1100
SPDR S&P 500 ETF TRUST       CMN              78462F103   158.32469     1100 SH  CALL DEFINED    1               0     1100
SPDR S&P EMERGING MARKETS DI CMN              78463X533  8725.63636   200000 SH       SOLE       1          200000        0
SPDR S&P HOMEBUILDERS ETF    CMN              78464A888  4934.52184   198800 SH       SOLE       2          198800        0
SPDR S&P METALS & MINING ETF CMN              78464A755   145.89236     3360 SH       DEFINED    2               0     3360
SPDR S&P METALS & MINING ETF CMN              78464A755  1986.48083    45750 SH       DEFINED    1               0    45750
SPDR S&P MIDCAP 400 ETF TRST CMN              78467Y107   4965.5383    27598 SH       SOLE       2           27598        0
SPDR S&P OIL & GAS EXP & PR  CMN              78464A730 16706.33076   300000 SH       SOLE       1          300000        0
SPECTRA ENERGY CORP          CMN              847560109   201.43353     6868 SH       DEFINED    2               0     6868
SPECTRA ENERGY CORP          CMN              847560109   800.92413    27308 SH       DEFINED    1               0    27308
SPECTRUM PHARMACEUTICALS INC CMN              84763A108   117.79638     9963 SH       DEFINED    2               0     9963






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
SPECTRUM PHARMACEUTICALS INC CMN              84763A108   215.18559    18200 SH       DEFINED    1               0    18200
SPIRIT AEROSYSTEMS HOLD-CL A CMN              848574109   856.36722    38590 SH       SOLE       1           38590        0
SPIRIT AIRLINES INC          CMN              848577102   170.97083    10000 SH       DEFINED    2               0    10000
SPIRIT AIRLINES INC          CMN              848577102   472.90532    27660 SH       DEFINED    1               0    27660
SPRINT NEXTEL CORP           CMN              852061100   269.17026    48705 SH       DEFINED    2               0    48705
SPRINT NEXTEL CORP           CMN              852061100  2086.96627   377626 SH       DEFINED    1               0   377626
SPROTT PHYSICAL GOLD TRUST   CMN              85207H104  4484.79525   295098 SH       SOLE       2          295098        0
SPROTT PHYSICAL SILVER TRUST CMN              85207K107  2744.50898   192470 SH       SOLE       2          192470        0
SPX CORP                     CMN              784635104    36.39908      555 SH       DEFINED    2               0      555
SPX CORP                     CMN              784635104  3935.03571    60000 SH       DEFINED    1               0    60000
ST JOE CO/THE                CMN              790148100    84.06082     4315 SH       DEFINED    2               0     4315
ST JOE CO/THE                CMN              790148100   281.22874    14436 SH       DEFINED    1               0    14436
ST JUDE MEDICAL INC          CMN              790849103   138.71261     3283 SH       DEFINED    2               0     3283
ST JUDE MEDICAL INC          CMN              790849103   257.73589     6100 SH       DEFINED    1               0     6100
STANDARD PACIFIC CORP        CNV              85375CBC4 13866.67307  2050000 SH       SOLE       1         2050000        0
STANDARD PACIFIC CORP        CMN              85375C101      6.0878      900 SH       DEFINED    1               0      900
STANDARD PACIFIC CORP        CMN              85375C101   375.00895    55440 SH       DEFINED    2               0    55440
STANLEY BLACK & DECKER INC   CMN              854502101    71.16675      936 SH       DEFINED    2               0      936
STANLEY BLACK & DECKER INC   CMN              854502101   205.28871     2700 SH       DEFINED    1               0     2700
STAPLES INC                  CMN              855030102   171.42026    14883 SH       DEFINED    2               0    14883
STAPLES INC                  CMN              855030102   943.33553    81902 SH       DEFINED    1               0    81902
STAR SCIENTIFIC INC          CMN              85517P101    37.39528    10600 SH       SOLE       1           10600        0
STARBUCKS CORP               CMN              855244109  2204.22323    43489 SH       DEFINED    1               0    43489
STARBUCKS CORP               CMN              855244109  4493.08978    88648 SH       DEFINED    2               0    88648
STARWOOD HOTELS & RESORTS    CMN              85590A401   603.05885    10400 SH       DEFINED    1               0    10400
STARWOOD HOTELS & RESORTS    CMN              85590A401   776.72821    13395 SH       DEFINED    2               0    13395
STATE STREET CORP            CMN              857477103   428.09026    10166 SH       DEFINED    2               0    10166
STATE STREET CORP            CMN              857477103  2370.87722    56302 SH       DEFINED    1               0    56302
STATOIL ASA                  CMN              85771P102   480.27657    18651 SH       DEFINED    2               0    18651
STATOIL ASA                  CMN              85771P102   512.43921    19900 SH       DEFINED    1               0    19900
STEEL DYNAMICS INC           CNV              858119AP5  5933.09538   528000 SH       SOLE       1          528000        0
STEELCASE INC-CL A           CMN              858155203   117.41911    11917 SH       SOLE       1           11917        0
STERICYCLE INC               CMN              858912108    53.60852      591 SH       DEFINED    2               0      591
STERICYCLE INC               CMN              858912108   845.76296     9324 SH       DEFINED    1               0     9324
STERIS CORP                  CMN              859152100   269.09583     7580 SH       SOLE       1            7580        0
STEWART ENTERPRISES INC-CL A CNV              860370AH8   209.95833    25000 SH       SOLE       1           25000        0
STIFEL FINANCIAL CORP        CMN              860630102    82.85858     2475 SH       DEFINED    2               0     2475
STIFEL FINANCIAL CORP        CMN              860630102   231.30098     6909 SH       DEFINED    1               0     6909
STILLWATER MINING CO         CNV              86074QAF9   141.56625    12000 SH       SOLE       1           12000        0
STILLWATER MINING CO         CMN              86074Q102   129.00224    10935 SH       DEFINED    2               0    10935
STILLWATER MINING CO         CMN              86074Q102   424.35663    35971 SH       DEFINED    1               0    35971
STRATASYS INC                CMN              862685104    55.29769     1000 SH       DEFINED    1               0     1000
STRATASYS INC                CMN              862685104   179.82809     3252 SH       DEFINED    2               0     3252
STRYKER CORP                 CMN              863667101   533.12571     9578 SH       DEFINED    2               0     9578
STRYKER CORP                 CMN              863667101   723.59931    13000 SH       DEFINED    1               0    13000
SUMITOMO MITSUI FINANCIAL GR CMN              86562M209       74.16    12000 SH       DEFINED    1               0    12000
SUMITOMO MITSUI FINANCIAL GR CMN              86562M209       278.1    45000 SH       DEFINED    2               0    45000
SUMMIT HOTEL PROPERTIES INC  CMN              866082100  2176.87845   256405 SH       SOLE       1          256405        0
SUN BANCORP INC-NJ           CMN              86663B102    66.83217    20079 SH       SOLE       1           20079        0
SUNOCO INC                   CMN              86764P109    44.41915      950 SH       DEFINED    2               0      950
SUNOCO INC                   CMN              86764P109  3751.73492    80239 SH       DEFINED    1               0    80239
SUNOCO LOGISTICS PARTNERS LP CMN              86764L108   1456.7325    31296 SH       SOLE       1           31296        0
SUNRISE SENIOR LIVING INC    CMN              86768K106  2712.37676   190014 SH       SOLE       1          190014        0
SUNTRUST BANKS INC           CMN              867914103   103.39505     3647 SH       DEFINED    2               0     3647
SUNTRUST BANKS INC           CMN              867914103   132.25608     4665 SH       DEFINED    1               0     4665
SUNTRUST BANKS INC           CMN              867914103   241.46303     8517 SH       DEFINED    2               0     8517
SUPERIOR ENERGY SERVICES INC CMN              868157108     3.07349      149 SH       DEFINED    2               0      149
SUPERIOR ENERGY SERVICES INC CMN              868157108   559.99537    27148 SH       DEFINED    1               0    27148
SUPERVALU INC                CMN              868536103    27.81522    11557 SH       DEFINED    2               0    11557
SUPERVALU INC                CMN              868536103    38.02721    15800 SH       DEFINED    1               0    15800






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
SUSQUEHANNA BANCSHARES INC   CMN              869099101   366.92722    34974 SH       SOLE       1           34974        0
SVB FINANCIAL GROUP          CMN              78486Q101      0.9694       16 SH       DEFINED    2               0       16
SVB FINANCIAL GROUP          CMN              78486Q101    24.23507      400 SH       DEFINED    1               0      400
SVB FINANCIAL GROUP          CMN              78486Q101   246.71308     4072 SH       DEFINED    2               0     4072
SWIFT ENERGY CO              CMN              870738101   206.73116     9946 SH       SOLE       1            9946        0
SYMANTEC CORP                CNV              871503AF5 58027.39428  3224000 SH       SOLE       1         3224000        0
SYMANTEC CORP                CMN              871503108   620.84272    34494 SH       DEFINED    2               0    34494
SYMANTEC CORP                CMN              871503108    787.3655    43746 SH       DEFINED    1               0    43746
SYNACOR INC                  CMN              871561106   232.29031    30695 SH       SOLE       2           30695        0
SYNAPTICS INC                CMN              87157D109   369.06946    15395 SH       DEFINED    1               0    15395
SYNAPTICS INC                CMN              87157D109   395.55999    16500 SH       DEFINED    2               0    16500
SYNERGY PHARMACEUTICALS INC  CMN              871639308    96.45809    20176 SH       DEFINED    1               0    20176
SYNERGY PHARMACEUTICALS INC  CMN              871639308   535.01349   111908 SH       DEFINED    2               0   111908
SYNGENTA AG-REG              CMN              87160A100       4.491       60 SH       DEFINED    2               0       60
SYNGENTA AG-REG              CMN              87160A100      673.65     9000 SH       DEFINED    1               0     9000
SYNOPSYS INC                 CMN              871607107     0.79242       24 SH       DEFINED    2               0       24
SYNOPSYS INC                 CMN              871607107   498.56425    15100 SH       DEFINED    1               0    15100
SYNOVUS FINANCIAL CORP       CMN              87161C105     4.71928     2000 SH       DEFINED    2               0     2000
SYNOVUS FINANCIAL CORP       CMN              87161C105   149.16482    63215 SH       DEFINED    1               0    63215
SYSCO CORP                   CMN              871829107   199.54988     6394 SH       DEFINED    2               0     6394
SYSCO CORP                   CMN              871829107   268.39678     8600 SH       DEFINED    1               0     8600
T ROWE PRICE GROUP INC       CMN              74144T108   505.04841     7970 SH       DEFINED    2               0     7970
T ROWE PRICE GROUP INC       CMN              74144T108  1058.38377    16702 SH       DEFINED    1               0    16702
TAIWAN SEMICONDUCTOR MANUFAC CMN              874039100  1479.82819    93968 SH       DEFINED    1               0    93968
TAIWAN SEMICONDUCTOR MANUFAC CMN              874039100  3326.54254   211233 SH       DEFINED    2               0   211233
TAKE-TWO INTERACTIVE SOFTWRE CNV              874054AA7  1130.67928   106000 SH       SOLE       1          106000        0
TAKE-TWO INTERACTIVE SOFTWRE CMN              874054109     8.00008      750 SH       DEFINED    2               0      750
TAKE-TWO INTERACTIVE SOFTWRE CMN              874054109   106.66785    10000 SH       DEFINED    1               0    10000
TAKE-TWO INTERACTIVE SOFTWRE CMN              874054109  7866.12512   737441 SH       DEFINED    2               0   737441
TANZANIAN ROYALTY EXPLORATIO CMN              87600U104    87.36249    17500 SH       SOLE       2           17500        0
TARGA RESOURCES CORP         CMN              87612G101    10.59054      210 SH       DEFINED    2               0      210
TARGA RESOURCES CORP         CMN              87612G101   230.77295     4576 SH       DEFINED    1               0     4576
TARGET CORP                  CMN              87612E106   558.91247     8783 SH       DEFINED    2               0     8783
TARGET CORP                  CMN              87612E106   653.53878    10270 SH       DEFINED    1               0    10270
TASER INTERNATIONAL INC      CMN              87651B104    86.29584    14635 SH       SOLE       1           14635        0
TATA MOTORS LTD              CMN              876568502   228.40412     8900 SH       DEFINED    1               0     8900
TATA MOTORS LTD              CMN              876568502   337.19121    13139 SH       DEFINED    2               0    13139
TCF FINANCIAL CORP           CMN              872275102   247.43633    20750 SH       DEFINED    2               0    20750
TCF FINANCIAL CORP           CMN              872275102    346.2797    29039 SH       DEFINED    1               0    29039
TD AMERITRADE HOLDING CORP   CMN              87236Y108    19.35069     1260 SH       DEFINED    2               0     1260
TD AMERITRADE HOLDING CORP   CMN              87236Y108   454.20374    29575 SH       DEFINED    1               0    29575
TE CONNECTIVITY LTD          CMN              H84989104    78.39796     2300 SH       DEFINED    1               0     2300
TE CONNECTIVITY LTD          CMN              H84989104   826.79174    24256 SH       DEFINED    2               0    24256
TECH DATA CORP               CMN              878237106   543.57634    11899 SH       SOLE       1           11899        0
TEEKAY CORP                  CMN              Y8564W103   211.98638     6780 SH       SOLE       1            6780        0
TELECOMMUNICATION SYSTEMS-A  CMN              87929J103    96.45375    44500 SH       SOLE       2           44500        0
TELEFLEX INC                 CMN              879369106    413.2523     6000 SH       SOLE       1            6000        0
TELEFONICA SA                CMN              879382208  1159.13013    86900 SH       SOLE       2           86900        0
TELEKOMUNIKASI INDONESIA PER CMN              715684106     214.115     5500 SH       SOLE       1            5500        0
TELLABS INC                  CMN              879664100    60.94793    17277 SH       DEFINED    1               0    17277
TELLABS INC                  CMN              879664100   292.79846    83000 SH       DEFINED    2               0    83000
TEMPUR-PEDIC INTERNATIONAL   CMN              88023U101   145.23415     4860 SH       DEFINED    2               0     4860
TEMPUR-PEDIC INTERNATIONAL   CMN              88023U101   720.82162    24121 SH       DEFINED    1               0    24121
TENARIS SA                   CMN              88031M109   376.63326     9238 SH       DEFINED    1               0     9238
TENARIS SA                   CMN              88031M109   459.96714    11282 SH       DEFINED    2               0    11282
TENET HEALTHCARE CORP        CMN              88033G100    82.12844    13089 SH       DEFINED    2               0    13089
TENET HEALTHCARE CORP        CMN              88033G100  4070.65045   648749 SH       DEFINED    1               0   648749
TENNECO INC                  CMN              880349105    11.25414      400 SH       DEFINED    2               0      400
TENNECO INC                  CMN              880349105   553.11298    19659 SH       DEFINED    1               0    19659
TERADATA CORP                CMN              88076W103   236.35188     3130 SH       DEFINED    2               0     3130






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
TERADATA CORP                CMN              88076W103    656.1219     8689 SH       DEFINED    1               0     8689
TERADYNE INC                 CMN              880770102    208.1779    14598 SH       DEFINED    2               0    14598
TERADYNE INC                 CMN              880770102   368.33998    25829 SH       DEFINED    1               0    25829
TERADYNE INC                 CMN              880770102 11075.82618   776667 SH       DEFINED    2               0   776667
TEREX CORP                   CMN              880779103    22.69357     1000 SH       DEFINED    1               0     1000
TEREX CORP                   CMN              880779103    618.4679    27253 SH       DEFINED    2               0    27253
TERRA NITROGEN COMPANY LP    CMN              881005201    21.62591      100 SH       DEFINED    2               0      100
TERRA NITROGEN COMPANY LP    CMN              881005201   286.11078     1323 SH       DEFINED    1               0     1323
TESLA MOTORS INC             CMN              88160R101    38.02249     1300 SH       DEFINED    3               0     1300
TESLA MOTORS INC             CMN              88160R101    180.9286     6186 SH       DEFINED    2               0     6186
TESLA MOTORS INC             CMN              88160R101   184.11664     6295 SH       DEFINED    2               0     6295
TESORO CORP                  CMN              881609101   195.84294     4687 SH       DEFINED    2               0     4687
TESORO CORP                  CMN              881609101  1328.11352    31785 SH       DEFINED    1               0    31785
TEVA PHARMACEUTICAL IND LTD  CMN              881624209   560.18589    13539 SH       DEFINED    2               0    13539
TEVA PHARMACEUTICAL IND LTD  CMN              881624209   798.63417    19302 SH       DEFINED    1               0    19302
TEXAS INSTRUMENTS INC        CMN              882508104   672.30418    24400 SH       DEFINED    1               0    24400
TEXAS INSTRUMENTS INC        CMN              882508104    801.8605    29102 SH       DEFINED    2               0    29102
TEXAS ROADHOUSE INC          CMN              882681109   425.10426    24849 SH       SOLE       1           24849        0
TEXTRON INC                  CMN              883203101   218.28407     8300 SH       DEFINED    1               0     8300
TEXTRON INC                  CMN              883203101  1139.60064    43332 SH       DEFINED    2               0    43332
TEXTRON INC                  CMN              883203101  8414.50906   319952 SH       DEFINED    2               0   319952
TFS FINANCIAL CORP           CMN              87240R107   127.04325    13928 SH       SOLE       1           13928        0
THERMO FISHER SCIENTIFIC INC CMN              883556102   468.06399     7933 SH       DEFINED    2               0     7933
THERMO FISHER SCIENTIFIC INC CMN              883556102  6850.38479   116104 SH       DEFINED    1               0   116104
THRESHOLD PHARMACEUTICALS    CMN              885807206     440.304    59739 SH       DEFINED    1               0    59739
THRESHOLD PHARMACEUTICALS    CMN              885807206   500.45433    67900 SH       DEFINED    2               0    67900
TIBCO SOFTWARE INC           CMN              88632Q103    31.04818     1027 SH       DEFINED    2               0     1027
TIBCO SOFTWARE INC           CMN              88632Q103   265.10373     8769 SH       DEFINED    1               0     8769
TIDEWATER INC                CMN              886423102     0.04833        1 SH       DEFINED    2               0        1
TIDEWATER INC                CMN              886423102   511.21662    10577 SH       DEFINED    1               0    10577
TIFFANY & CO                 CMN              886547108   261.31715     4218 SH       DEFINED    2               0     4218
TIFFANY & CO                 CMN              886547108  7149.35971   115400 SH       DEFINED    1               0   115400
TIME WARNER CABLE            CMN              88732J207   183.36299     1933 SH       DEFINED    2               0     1933
TIME WARNER CABLE            CMN              88732J207   369.95121     3900 SH       DEFINED    1               0     3900
TIME WARNER INC              CMN              887317303   404.39775     8920 SH       DEFINED    2               0     8920
TIME WARNER INC              CMN              887317303  1260.34278    27800 SH       DEFINED    1               0    27800
TIMKEN CO                    CMN              887389104    43.27876     1161 SH       DEFINED    2               0     1161
TIMKEN CO                    CMN              887389104  1244.38558    33382 SH       DEFINED    1               0    33382
TITAN INTERNATIONAL INC      CMN              88830M102    36.88046     2090 SH       DEFINED    2               0     2090
TITAN INTERNATIONAL INC      CMN              88830M102   347.92921    19717 SH       DEFINED    1               0    19717
TITANIUM METALS CORP         CMN              888339207   271.68685    21150 SH       DEFINED    2               0    21150
TITANIUM METALS CORP         CMN              888339207   340.41142    26500 SH       DEFINED    1               0    26500
TIVO INC                     CMN              888706108    22.39762     2150 SH       DEFINED    2               0     2150
TIVO INC                     CMN              888706108   265.77126    25512 SH       DEFINED    1               0    25512
TJX COMPANIES INC            CMN              872540109    751.3818    16782 SH       DEFINED    1               0    16782
TJX COMPANIES INC            CMN              872540109   987.64934    22059 SH       DEFINED    2               0    22059
TOLL BROTHERS INC            CMN              889478103      49.169     1469 SH       DEFINED    2               0     1469
TOLL BROTHERS INC            CMN              889478103   2213.8436    66142 SH       DEFINED    1               0    66142
TORCHMARK CORP               CMN              891027104    31.47637      613 SH       DEFINED    2               0      613
TORCHMARK CORP               CMN              891027104 12963.02741   252454 SH       DEFINED    1               0   252454
TORO CO                      CMN              891092108     2.34202       59 SH       DEFINED    2               0       59
TORO CO                      CMN              891092108   258.01999     6500 SH       DEFINED    1               0     6500
TOTAL SA                     CMN              89151E109    60.22028     1200 SH       DEFINED    2               0     1200
TOTAL SA                     CMN              89151E109   426.56035     8500 SH       DEFINED    1               0     8500
TOTAL SYSTEM SERVICES INC    CMN              891906109    28.02799     1183 SH       DEFINED    2               0     1183
TOTAL SYSTEM SERVICES INC    CMN              891906109   794.28461    33525 SH       DEFINED    1               0    33525
TOWER GROUP INC              CMN              891777104  2819.71883   145203 SH       SOLE       1          145203        0
TOWERS WATSON & CO-CL A      CMN              891894107   372.05093     7006 SH       SOLE       1            7006        0
TOYOTA MOTOR CORP            CMN              892331307    174.2922     2220 SH       DEFINED    2               0     2220
TOYOTA MOTOR CORP            CMN              892331307     329.742     4200 SH       DEFINED    1               0     4200






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
TRACTOR SUPPLY COMPANY       CMN              892356106    87.18643      882 SH       DEFINED    2               0      882
TRACTOR SUPPLY COMPANY       CMN              892356106   989.20028    10007 SH       DEFINED    1               0    10007
TRANSATLANTIC PETROLEUM LTD  CMN              G89982105    11.53428    11000 SH       SOLE       2           11000        0
TRANSDIGM GROUP INC          CMN              893641100   296.59771     2099 SH       DEFINED    2               0     2099
TRANSDIGM GROUP INC          CMN              893641100   296.73901     2100 SH       DEFINED    1               0     2100
TRANSOCEAN LTD               CMN              H8817H100   468.41951    10437 SH       DEFINED    2               0    10437
TRANSOCEAN LTD               CMN              H8817H100    3705.662    82567 SH       DEFINED    1               0    82567
TRANSWITCH CORP              CMN              894065309    38.09615    35000 SH       SOLE       2           35000        0
TRAVELERS COS INC/THE        CMN              89417E109   386.30759     5659 SH       DEFINED    2               0     5659
TRAVELERS COS INC/THE        CMN              89417E109   839.65071    12300 SH       DEFINED    1               0    12300
TREEHOUSE FOODS INC          CMN              89469A104   227.11887     4340 SH       SOLE       1            4340        0
TRIANGLE PETROLEUM CORP      CMN              89600B201    74.90778    10506 SH       SOLE       1           10506        0
TRINITY INDUSTRIES INC       CNV              896522AF6  5105.88928   170000 SH       SOLE       1          170000        0
TRINITY INDUSTRIES INC       CMN              896522109   213.24596     7100 SH       DEFINED    1               0     7100
TRINITY INDUSTRIES INC       CMN              896522109   729.24112    24280 SH       DEFINED    2               0    24280
TRIPADVISOR INC              CMN              896945201  4635.86128   140461 SH       SOLE       2          140461        0
TRIQUINT SEMICONDUCTOR INC   CMN              89674K103     7.56964     1500 SH       DEFINED    2               0     1500
TRIQUINT SEMICONDUCTOR INC   CMN              89674K103   296.65934    58786 SH       DEFINED    1               0    58786
TRUE RELIGION APPAREL INC    CMN              89784N104    289.0435    13209 SH       SOLE       1           13209        0
TRUSTCO BANK CORP NY         CMN              898349105   110.75585    19346 SH       SOLE       1           19346        0
TRW AUTOMOTIVE HOLDINGS CORP CNV              87264MAH2 101889.1114  2316000 SH       SOLE       1         2316000        0
TRW AUTOMOTIVE HOLDINGS CORP CMN              87264S106    201.8425     4588 SH       DEFINED    2               0     4588
TRW AUTOMOTIVE HOLDINGS CORP CMN              87264S106  2818.53614    64067 SH       DEFINED    1               0    64067
TSAKOS ENERGY NAVIGATION LTD CMN              G9108L108    19.72053     3800 SH       DEFINED    2               0     3800
TSAKOS ENERGY NAVIGATION LTD CMN              G9108L108   192.89281    37169 SH       DEFINED    1               0    37169
TTM TECHNOLOGIES             CNV              87305RAC3  4081.40769   426000 SH       SOLE       1          426000        0
TUPPERWARE BRANDS CORP       CMN              899896104    51.52264      961 SH       DEFINED    2               0      961
TUPPERWARE BRANDS CORP       CMN              899896104   323.28983     6030 SH       DEFINED    1               0     6030
TURKCELL ILETISIM HIZMET AS  CMN              900111204    57.25031     3865 SH       DEFINED    2               0     3865
TURKCELL ILETISIM HIZMET AS  CMN              900111204      414.75    28000 SH       DEFINED    1               0    28000
TURQUOISE HILL RESOURCES LTD CMN              900435108    10.16666     1200 SH       DEFINED    1               0     1200
TURQUOISE HILL RESOURCES LTD CMN              900435108 14653.00348  1729535 SH       DEFINED    2               0  1729535
TW TELECOM INC               CNV              887319AC5 14083.13615   551000 SH       SOLE       1          551000        0
TW TELECOM INC               CMN              87311L104     0.15335        6 SH       DEFINED    2               0        6
TW TELECOM INC               CMN              87311L104   723.76073    28317 SH       DEFINED    1               0    28317
TWO HARBORS INVESTMENT CORP  CMN              90187B101   163.56326    13918 SH       DEFINED    2               0    13918
TWO HARBORS INVESTMENT CORP  CMN              90187B101   410.01284    34889 SH       DEFINED    1               0    34889
TYCO INTERNATIONAL LTD       CMN              H89128104  2178.10552    38745 SH       DEFINED    1               0    38745
TYCO INTERNATIONAL LTD       CMN              H89128104  3138.39455    55827 SH       DEFINED    2               0    55827
TYLER TECHNOLOGIES INC       CMN              902252105    55.08948     1261 SH       DEFINED    2               0     1261
TYLER TECHNOLOGIES INC       CMN              902252105   238.31336     5455 SH       DEFINED    1               0     5455
TYSON FOODS INC-CL A         CNV              902494AP8  5887.07321   367000 SH       SOLE       1          367000        0
TYSON FOODS INC-CL A         CMN              902494103   618.96078    38586 SH       DEFINED    1               0    38586
TYSON FOODS INC-CL A         CMN              902494103   707.82831    44126 SH       DEFINED    2               0    44126
UBS AG-REG                   CMN              H89231338     6.09192      500 SH       DEFINED    1               0      500
UBS AG-REG                   CMN              H89231338     6.09192      500 SH       DEFINED    1               0      500
UBS AG-REG                   CMN              H89231338     6.09192      500 SH       DEFINED    1               0      500
UBS AG-REG                   CMN              H89231338   343.37733    28183 SH       DEFINED    2               0    28183
UBS AG-REG                   CMN              H89231338   343.37733    28183 SH       DEFINED    2               0    28183
UBS AG-REG                   CMN              H89231338   343.37733    28183 SH       DEFINED    2               0    28183
UBS AG-REG                   CMN              H89231338   445.92876    36600 SH  PUT  DEFINED    2               0    36600
UBS AG-REG                   CMN              H89231338   445.92876    36600 SH  PUT  DEFINED    2               0    36600
UBS AG-REG                   CMN              H89231338   445.92876    36600 SH  PUT  DEFINED    2               0    36600
UBS AG-REG                   CMN              H89231338 14316.01923  1175000 SH  PUT  DEFINED    2               0  1175000
UBS AG-REG                   CMN              H89231338 14316.01923  1175000 SH  PUT  DEFINED    2               0  1175000
UBS AG-REG                   CMN              H89231338 14316.01923  1175000 SH  PUT  DEFINED    2               0  1175000
UBS AG-REG                   CMN              H89231338   108.66772     8919 SH  CALL DEFINED    2               0     8919
UBS AG-REG                   CMN              H89231338   108.66772     8919 SH  CALL DEFINED    2               0     8919
UBS AG-REG                   CMN              H89231338   108.66772     8919 SH  CALL DEFINED    2               0     8919
UDR INC                      CMN              902653104     0.64677       26 SH       DEFINED    2               0       26






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
UDR INC                      CMN              902653104  1227.38536    49340 SH       DEFINED    1               0    49340
ULTA SALON COSMETICS & FRAGR CMN              90384S303   576.85384     6000 SH       DEFINED    1               0     6000
ULTA SALON COSMETICS & FRAGR CMN              90384S303  1317.91875    13708 SH       DEFINED    2               0    13708
ULTIMATE SOFTWARE GROUP INC  CMN              90385D107   294.74164     2886 SH       DEFINED    2               0     2886
ULTIMATE SOFTWARE GROUP INC  CMN              90385D107   601.02377     5885 SH       DEFINED    1               0     5885
ULTRA PETROLEUM CORP         CMN              903914109       21.85     1000 SH       DEFINED    1               0     1000
ULTRA PETROLEUM CORP         CMN              903914109    269.4542    12332 SH       DEFINED    2               0    12332
ULTRATECH INC                CMN              904034105    46.41115     1500 SH       DEFINED    1               0     1500
ULTRATECH INC                CMN              904034105   163.98607     5300 SH       DEFINED    2               0     5300
UNDER ARMOUR INC-CLASS A     CMN              904311107     6.87274      123 SH       DEFINED    2               0      123
UNDER ARMOUR INC-CLASS A     CMN              904311107   502.88367     9000 SH       DEFINED    1               0     9000
UNILEVER NV                  CMN              904784709   128.01857     3600 SH       DEFINED    1               0     3600
UNILEVER NV                  CMN              904784709   305.82214     8600 SH       DEFINED    2               0     8600
UNILEVER PLC                 CMN              904767704   193.48261     5300 SH       DEFINED    1               0     5300
UNILEVER PLC                 CMN              904767704   915.24578    25071 SH       DEFINED    2               0    25071
UNION PACIFIC CORP           CMN              907818108  2597.38967    21863 SH       DEFINED    1               0    21863
UNION PACIFIC CORP           CMN              907818108  4554.31245    38335 SH       DEFINED    2               0    38335
UNISYS CORP                  CMN              909214306   272.62935    13014 SH       DEFINED    1               0    13014
UNISYS CORP                  CMN              909214306   533.63205    25473 SH       DEFINED    2               0    25473
UNITED BANKSHARES INC        CMN              909907107   311.40415    12622 SH       SOLE       1           12622        0
UNITED CONTINENTAL HOLDINGS  CNV              902549AJ3  40410.3402  2066000 SH       SOLE       1         2066000        0
UNITED MICROELECTRONICS CORP CMN              910873405     3.49219     1700 SH       DEFINED    2               0     1700
UNITED MICROELECTRONICS CORP CMN              910873405   554.26432   269816 SH       DEFINED    1               0   269816
UNITED MICROELECTRONICS CORP CMN              910873405   515.77626   251080 SH       DEFINED    6               0   251080
UNITED NATURAL FOODS INC     CMN              911163103    18.36373      316 SH       DEFINED    2               0      316
UNITED NATURAL FOODS INC     CMN              911163103   354.60599     6102 SH       DEFINED    1               0     6102
UNITED ONLINE INC            CMN              911268100     1.10625      200 SH       DEFINED    1               0      200
UNITED ONLINE INC            CMN              911268100    60.84375    11000 SH       DEFINED    2               0    11000
UNITED PARCEL SERVICE-CL B   CMN              911312106   850.09627    11877 SH       DEFINED    2               0    11877
UNITED PARCEL SERVICE-CL B   CMN              911312106  1735.76532    24251 SH       DEFINED    1               0    24251
UNITED RENTALS INC           CMN              911363109   498.10585    15100 SH       DEFINED    1               0    15100
UNITED RENTALS INC           CMN              911363109  3520.12398   106712 SH       DEFINED    2               0   106712
UNITED STATES OIL FUND LP    CMN              91232N108   349.25748    10241 SH       DEFINED    2               0    10241
UNITED STATES OIL FUND LP    CMN              91232N108   377.52957    11070 SH       DEFINED    2               0    11070
UNITED STATES OIL FUND LP    CMN              91232N108   545.66153    16000 SH       DEFINED    1               0    16000
UNITED STATES STEEL CORP     CNV              912909AE8   119255.23  6247000 SH       SOLE       1         6247000        0
UNITED STATES STEEL CORP     CMN              912909108  1905.41108    99812 SH       DEFINED    2               0    99812
UNITED STATES STEEL CORP     CMN              912909108  6245.77075   327175 SH       DEFINED    2               0   327175
UNITED STATES STEEL CORP     CMN              912909108  6691.50316   350524 SH       DEFINED    1               0   350524
UNITED TECHNOLOGIES CORP     CMN              913017109  1184.32535    15100 SH       DEFINED    1               0    15100
UNITED TECHNOLOGIES CORP     CMN              913017109  2366.45461    30172 SH       DEFINED    2               0    30172
UNITED THERAPEUTICS CORP     CMN              91307C102    38.70728      692 SH       DEFINED    2               0      692
UNITED THERAPEUTICS CORP     CMN              91307C102   722.90891    12924 SH       DEFINED    1               0    12924
UNITEDHEALTH GROUP INC       CMN              91324P102  1258.56366    22683 SH       DEFINED    1               0    22683
UNITEDHEALTH GROUP INC       CMN              91324P102  1873.89104    33773 SH       DEFINED    2               0    33773
UNUM GROUP                   CMN              91529Y106    34.31412     1778 SH       DEFINED    2               0     1778
UNUM GROUP                   CMN              91529Y106  1117.46724    57902 SH       DEFINED    1               0    57902
UNWIRED PLANET INC           CMN              91531F103    55.67999    28000 SH       SOLE       2           28000        0
URANERZ ENERGY CORP          CMN              91688T104    55.09087    33850 SH       SOLE       2           33850        0
URANIUM ENERGY CORP          CMN              916896103   128.71214    49100 SH       SOLE       2           49100        0
URANIUM RESOURCES INC        CMN              916901507    29.90093    58508 SH       SOLE       2           58508        0
URBAN OUTFITTERS INC         CMN              917047102    63.55847     1693 SH       DEFINED    2               0     1693
URBAN OUTFITTERS INC         CMN              917047102  1655.29847    44092 SH       DEFINED    1               0    44092
URS CORP                     CMN              903236107     35.6239     1009 SH       DEFINED    2               0     1009
URS CORP                     CMN              903236107   314.22476     8900 SH       DEFINED    1               0     8900
US AIRWAYS GROUP INC         CNV              911905AC1 38230.01928  3658000 SH       SOLE       1         3658000        0
US AIRWAYS GROUP INC         CMN              90341W108    58.21246     5570 SH       DEFINED    1               0     5570
US AIRWAYS GROUP INC         CMN              90341W108    87.78899     8400 SH       DEFINED    2               0     8400
US BANCORP                   CMN              902973304   249.47046     7281 SH       DEFINED    2               0     7281
US BANCORP                   CMN              902973304   486.70895    14205 SH       DEFINED    2               0    14205






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
US BANCORP                   CMN              902973304   534.50614    15600 SH       DEFINED    1               0    15600
US CELLULAR CORP             CMN              911684108   400.84793    10271 SH       SOLE       1           10271        0
US NATURAL GAS FUND LP       CMN              912318201  1611.17257    76123 SH       SOLE       2           76123        0
USEC INC                     CMN              90333E108     4.49359     5800 SH       DEFINED    1               0     5800
USEC INC                     CMN              90333E108   131.01143   169100 SH       DEFINED    2               0   169100
USG CORP                     CMN              903293405    10.20326      465 SH       DEFINED    2               0      465
USG CORP                     CMN              903293405    512.4232    23353 SH       DEFINED    1               0    23353
UTI WORLDWIDE INC            CMN              G87210103   143.44349    10659 SH       SOLE       1           10659        0
VALASSIS COMMUNICATIONS INC  CMN              918866104    13.79829      555 SH       DEFINED    1               0      555
VALASSIS COMMUNICATIONS INC  CMN              918866104   397.78857    16000 SH       DEFINED    2               0    16000
VALE SA                      CMN              91912E105   323.78327    18100 SH       DEFINED    1               0    18100
VALE SA                      CMN              91912E105  2026.14985   113265 SH       DEFINED    2               0   113265
VALE SA                      CMN              91912E105  2495.72503   139515 SH       DEFINED    2               0   139515
VALERO ENERGY CORP           CMN              91913Y100   868.70373    27463 SH       DEFINED    2               0    27463
VALERO ENERGY CORP           CMN              91913Y100  1480.14614    46793 SH       DEFINED    1               0    46793
VALLEY NATIONAL BANCORP      CMN              919794107   189.04077    18923 SH       DEFINED    2               0    18923
VALLEY NATIONAL BANCORP      CMN              919794107   313.16652    31348 SH       DEFINED    1               0    31348
VALMONT INDUSTRIES           CMN              920253101     5.77307       44 SH       DEFINED    2               0       44
VALMONT INDUSTRIES           CMN              920253101   664.82158     5067 SH       DEFINED    1               0     5067
VALSPAR CORP                 CMN              920355104    75.74893     1348 SH       DEFINED    2               0     1348
VALSPAR CORP                 CMN              920355104   691.18092    12300 SH       DEFINED    1               0    12300
VANGUARD MSCI EMERGING MARKE CMN              922042858  4310.87483   103468 SH       DEFINED    1               0   103468
VANGUARD MSCI EMERGING MARKE CMN              922042858 59470.14072  1427380 SH       DEFINED    2               0  1427380
VANGUARD MSCI EUROPEAN ETF   CMN              922042874   407.63999     9000 SH       SOLE       1            9000        0
VANGUARD REIT ETF            CMN              922908553    58.47061      900 SH       DEFINED    1               0      900
VANGUARD REIT ETF            CMN              922908553  2050.75937    31566 SH       DEFINED    2               0    31566
VARIAN MEDICAL SYSTEMS INC   CMN              92220P105   224.66344     3717 SH       DEFINED    2               0     3717
VARIAN MEDICAL SYSTEMS INC   CMN              92220P105   353.10299     5842 SH       DEFINED    1               0     5842
VCA ANTECH INC               CMN              918194101   548.97769    27738 SH       SOLE       2           27738        0
VECTREN CORPORATION          CMN              92240G101   240.14399     8400 SH       SOLE       1            8400        0
VELOCITYSHARES 2X VIX SH-TRM CMN              22542D761   892.80151   585296 SH       SOLE       2          585296        0
VELOCITYSHARES INV VIX SH-TM CMN              22542D795   977.37673    57420 SH       SOLE       2           57420        0
VELTI PLC                    CMN              G93285107   360.01168    43025 SH       SOLE       2           43025        0
VENTAS INC                   CMN              92276F100      68.662     1100 SH       DEFINED    1               0     1100
VENTAS INC                   CMN              92276F100   815.95424    13072 SH       DEFINED    2               0    13072
VEOLIA ENVIRONNEMENT         CMN              92334N103     1.08338      100 SH       DEFINED    1               0      100
VEOLIA ENVIRONNEMENT         CMN              92334N103  1096.10355   101174 SH       DEFINED    2               0   101174
VERIFONE SYSTEMS INC         CMN              92342Y109   291.11111    10335 SH       DEFINED    2               0    10335
VERIFONE SYSTEMS INC         CMN              92342Y109  7966.33235   282820 SH       DEFINED    1               0   282820
VERINT SYSTEMS INC           CMN              92343X100    74.02099     2686 SH       DEFINED    1               0     2686
VERINT SYSTEMS INC           CMN              92343X100 17797.00607   645800 SH       DEFINED    2               0   645800
VERISIGN INC                 CNV              92343EAD4 673895.4708 13846000 SH       SOLE       1        13846000        0
VERISIGN INC                 CMN              92343E102    76.60779     1574 SH       DEFINED    2               0     1574
VERISIGN INC                 CMN              92343E102   384.49907     7900 SH       DEFINED    1               0     7900
VERISK ANALYTICS INC-CLASS A CMN              92345Y106   106.91741     2239 SH       DEFINED    2               0     2239
VERISK ANALYTICS INC-CLASS A CMN              92345Y106   134.42274     2815 SH       DEFINED    1               0     2815
VERIZON COMMUNICATIONS INC   CMN              92343V104    42.27406      943 SH       DEFINED    2               0      943
VERIZON COMMUNICATIONS INC   CMN              92343V104   304.83946     6800 SH       DEFINED    1               0     6800
VERIZON COMMUNICATIONS INC   CMN              92343V104  1335.77964    29797 SH       DEFINED    2               0    29797
VERTEX PHARMACEUTICALS INC   CNV              92532FAN0    54808.47   981000 SH       SOLE       1          981000        0
VF CORP                      CMN              918204108   103.18402      647 SH       DEFINED    2               0      647
VF CORP                      CMN              918204108   765.50742     4800 SH       DEFINED    1               0     4800
VIACOM INC-CLASS B           CMN              92553P201   261.55227     4877 SH       DEFINED    2               0     4877
VIACOM INC-CLASS B           CMN              92553P201     632.831    11800 SH       DEFINED    1               0    11800
VIRGIN MEDIA INC             CNV              92769LAB7 199270.2314  6751000 SH       SOLE       1         6751000        0
VIRGIN MEDIA INC             CMN              92769L101   209.95543     7113 SH       DEFINED    2               0     7113
VIRGIN MEDIA INC             CMN              92769L101  1401.82814    47492 SH       DEFINED    1               0    47492
VIRNETX HOLDING CORP         CMN              92823T108   266.94749    10500 SH       DEFINED    2               0    10500
VIRNETX HOLDING CORP         CMN              92823T108   533.89499    21000 SH       DEFINED    1               0    21000
VISA INC-CLASS A SHARES      CMN              92826C839   362.42871     2700 SH       DEFINED    1               0     2700






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
VISA INC-CLASS A SHARES      CMN              92826C839   651.16358     4851 SH       DEFINED    2               0     4851
VISHAY PRECISION GROUP       CMN              92835K103  8867.16083   630252 SH       SOLE       1          630252        0
VISTEON CORP                 COM NEW          92839U206   2881.4526    64810 SH       SOLE       4           64810        0      0
VITAMIN SHOPPE INC           CMN              92849E101     6.51224      112 SH       DEFINED    2               0      112
VITAMIN SHOPPE INC           CMN              92849E101   224.84671     3867 SH       DEFINED    1               0     3867
VIVUS INC                    CMN              928551100  2208.93438   123902 SH       SOLE       2          123902        0
VMWARE INC-CLASS A           CMN              928563402   125.51128     1300 SH       DEFINED    1               0     1300
VMWARE INC-CLASS A           CMN              928563402   236.92668     2454 SH       DEFINED    2               0     2454
VODAFONE GROUP PLC           CMN              92857W209  933.581685    32763 SH       DEFINED    2               0    32763
VODAFONE GROUP PLC           CMN              92857W209 6727.697995   236101 SH       DEFINED    1               0   236101
VOLTERRA SEMICONDUCTOR CORP  CMN              928708106    24.00396     1098 SH       DEFINED    2               0     1098
VOLTERRA SEMICONDUCTOR CORP  CMN              928708106   426.99956    19532 SH       DEFINED    1               0    19532
VONAGE HOLDINGS CORP         CMN              92886T201     46.6458    20438 SH       DEFINED    1               0    20438
VONAGE HOLDINGS CORP         CMN              92886T201   193.99615    85000 SH       DEFINED    2               0    85000
VORNADO REALTY TRUST         CMN              929042109   260.03673     3209 SH       SOLE       2            3209        0
W&T OFFSHORE INC             CMN              92922P106   273.96733    14447 SH       DEFINED    1               0    14447
W&T OFFSHORE INC             CMN              92922P106   390.65045    20600 SH       DEFINED    2               0    20600
W.P. CAREY & CO. LLC         CMN              92930Y107       960.4    19600 SH       SOLE       1           19600        0
WABASH NATIONAL CORP         CMN              929566107    56.20196     7871 SH       DEFINED    2               0     7871
WABASH NATIONAL CORP         CMN              929566107   137.86654    19308 SH       DEFINED    1               0    19308
WABTEC CORP                  CMN              929740108     8.31821      104 SH       DEFINED    2               0      104
WABTEC CORP                  CMN              929740108   399.91428     5000 SH       DEFINED    1               0     5000
WADDELL & REED FINANCIAL-A   CMN              930059100     0.98079       30 SH       DEFINED    2               0       30
WADDELL & REED FINANCIAL-A   CMN              930059100   297.80248     9109 SH       DEFINED    1               0     9109
WALGREEN CO                  CMN              931422109  1053.91525    28954 SH       DEFINED    2               0    28954
WALGREEN CO                  CMN              931422109  2663.90786    73185 SH       DEFINED    1               0    73185
WAL-MART STORES INC          CMN              931142103   702.51678     9518 SH       DEFINED    1               0     9518
WAL-MART STORES INC          CMN              931142103  1089.27743    14758 SH       DEFINED    2               0    14758
WAL-MART STORES INC          CMN              931142103  3435.37939    46544 SH       DEFINED    2               0    46544
WAL-MART STORES INC          CMN              931142103    36.90464      500 SH  PUT  DEFINED    1               0      500
WALT DISNEY CO/THE           CMN              254687106   669.04685    12800 SH       DEFINED    1               0    12800
WALT DISNEY CO/THE           CMN              254687106  2093.43716    40051 SH       DEFINED    2               0    40051
WALT DISNEY CO/THE           CMN              254687106     7.84039      150 SH  PUT  DEFINED    1               0      150
WALTER ENERGY INC            CMN              93317Q105  1594.74982    49107 SH       DEFINED    2               0    49107
WALTER ENERGY INC            CMN              93317Q105   1783.0074    54904 SH       DEFINED    1               0    54904
WARNER CHILCOTT PLC-CLASS A  CMN              G94368100   161.65846    12000 SH       DEFINED    2               0    12000
WARNER CHILCOTT PLC-CLASS A  CMN              G94368100   942.41494    69956 SH       DEFINED    1               0    69956
WASHINGTON FEDERAL INC       CMN              938824109   177.56212    10650 SH       SOLE       1           10650        0
WASTE CONNECTIONS INC        CMN              941053100    14.93297      493 SH       DEFINED    2               0      493
WASTE CONNECTIONS INC        CMN              941053100   626.42749    20681 SH       DEFINED    1               0    20681
WASTE MANAGEMENT INC         CMN              94106L109   510.60599    15917 SH       DEFINED    2               0    15917
WASTE MANAGEMENT INC         CMN              94106L109  2293.89348    71507 SH       DEFINED    1               0    71507
WATERS CORP                  CMN              941848103    58.44399      700 SH       DEFINED    1               0      700
WATERS CORP                  CMN              941848103   238.70199     2859 SH       DEFINED    2               0     2859
WATSCO INC                   CMN              942622200     0.30266        4 SH       DEFINED    2               0        4
WATSCO INC                   CMN              942622200   340.49603     4500 SH       DEFINED    1               0     4500
WATSON PHARMACEUTICALS INC   CMN              942683103   377.03914     4439 SH       DEFINED    2               0     4439
WATSON PHARMACEUTICALS INC   CMN              942683103   783.89148     9229 SH       DEFINED    1               0     9229
WEATHERFORD INTL LTD         CMN              H27013103    111.0549     8760 SH       DEFINED    2               0     8760
WEATHERFORD INTL LTD         CMN              H27013103   513.29929    40489 SH       DEFINED    1               0    40489
WEBMD HEALTH CORP            CMN              94770V102    40.15728     2844 SH       DEFINED    2               0     2844
WEBMD HEALTH CORP            CMN              94770V102   233.20592    16516 SH       DEFINED    1               0    16516
WELLPOINT INC                CMN              94973V107   379.63459     6542 SH       DEFINED    2               0     6542
WELLPOINT INC                CMN              94973V107   388.80339     6700 SH       DEFINED    1               0     6700
WELLS FARGO & CO             CMN              949746119   2199.3382   222380 SH       SOLE       1          222380        0
WELLS FARGO & CO             CMN              949746101   244.93007     7080 SH       DEFINED    2               0     7080
WELLS FARGO & CO             CMN              949746101   727.87128    21040 SH       DEFINED    1               0    21040
WELLS FARGO & CO             CMN              949746101 15620.38071   451526 SH       DEFINED    2               0   451526
WENDY'S CO/THE               CMN              95058W100     1.35819      300 SH       DEFINED    2               0      300
WENDY'S CO/THE               CMN              95058W100   441.90144    97608 SH       DEFINED    1               0    97608






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
WERNER ENTERPRISES INC       CMN              950755108   272.00885    12734 SH       SOLE       1           12734        0
WESCO INTERNATIONAL INC      CNV              95082PAH8 265653.4259  4625000 SH       SOLE       1         4625000        0
WESTERN ASSET MORTGAGE CAPIT CMN              95790D105  5573.56517   251750 SH       DEFINED    2               0   251750
WESTERN ASSET MORTGAGE CAPIT CMN              95790D105  8376.04452   378334 SH       DEFINED    1               0   378334
WESTERN DIGITAL CORP         CMN              958102105   322.04278     8306 SH       DEFINED    2               0     8306
WESTERN DIGITAL CORP         CMN              958102105   609.92717    15731 SH       DEFINED    1               0    15731
WESTERN REFINING INC         CNV              959319AC8 32990.18571  1256000 SH       SOLE       1         1256000        0
WESTERN REFINING INC         CMN              959319104     0.05253        2 SH       DEFINED    2               0        2
WESTERN REFINING INC         CMN              959319104   409.17286    15578 SH       DEFINED    1               0    15578
WESTERN UNION CO             CMN              959802109   184.72839    10113 SH       DEFINED    2               0    10113
WESTERN UNION CO             CMN              959802109   541.96493    29670 SH       DEFINED    1               0    29670
WESTFIELD FINANCIAL INC      CMN              96008P104    88.44085    11774 SH       SOLE       1           11774        0
WESTPAC BANKING CORP         CMN              961214301     218.161     1700 SH       SOLE       1            1700        0
WESTPORT INNOVATIONS INC     CMN              960908309    507.6872    18222 SH       SOLE       2           18222        0
WEYERHAEUSER CO              CMN              962166104   352.18669    13465 SH       DEFINED    2               0    13465
WEYERHAEUSER CO              CMN              962166104   734.97557    28100 SH       DEFINED    1               0    28100
WGL HOLDINGS INC             CMN              92924F106   510.87987    12690 SH       SOLE       1           12690        0
WHIRLPOOL CORP               CMN              963320106    35.89013      433 SH       DEFINED    2               0      433
WHIRLPOOL CORP               CMN              963320106  7460.75461    90011 SH       DEFINED    1               0    90011
WHITING PETROLEUM CORP       CMN              966387102   464.37705     9805 SH       DEFINED    1               0     9805
WHITING PETROLEUM CORP       CMN              966387102  1046.73098    22101 SH       DEFINED    2               0    22101
WHOLE FOODS MARKET INC       CMN              966837106   276.81291     2843 SH       DEFINED    2               0     2843
WHOLE FOODS MARKET INC       CMN              966837106    958.6704     9846 SH       DEFINED    1               0     9846
WILEY (JOHN) & SONS-CLASS A  CMN              968223206   385.11168     8337 SH       SOLE       1            8337        0
WILLBROS GROUP INC           CMN              969203108    99.45154    18480 SH       SOLE       1           18480        0
WILLIAMS COS INC             CMN              969457100   257.41201     7365 SH       DEFINED    2               0     7365
WILLIAMS COS INC             CMN              969457100 15648.09884   447719 SH       DEFINED    1               0   447719
WILLIS GROUP HOLDINGS PLC    CMN              G96666105   705.04207    19115 SH       SOLE       1           19115        0
WINDSTREAM CORP              CMN              97381W104    29.64861     2923 SH       DEFINED    2               0     2923
WINDSTREAM CORP              CMN              97381W104   898.68878    88600 SH       DEFINED    1               0    88600
WISCONSIN ENERGY CORP        CMN              976657106   155.74684     4115 SH       DEFINED    2               0     4115
WISCONSIN ENERGY CORP        CMN              976657106   575.07108    15194 SH       DEFINED    1               0    15194
WISDOMTREE CHINA YUAN FUND   CMN              97717W182   569.51649    22460 SH       SOLE       2           22460        0
WISDOMTREE INVESTMENTS INC   CMN              97717P104   151.25411    22536 SH       SOLE       1           22536        0
WMS INDUSTRIES INC           CMN              929297109   396.87747    24222 SH       SOLE       1           24222        0
WOODWARD INC                 CMN              980745103    84.93541     2500 SH       DEFINED    2               0     2500
WOODWARD INC                 CMN              980745103   134.46975     3958 SH       DEFINED    1               0     3958
WORLD FUEL SERVICES CORP     CMN              981475106    78.85229     2215 SH       DEFINED    2               0     2215
WORLD FUEL SERVICES CORP     CMN              981475106  2076.18273    58321 SH       DEFINED    1               0    58321
WORLD WRESTLING ENTERTAIN-A  CMN              98156Q108   151.15678    18568 SH       SOLE       1           18568        0
WORTHINGTON INDUSTRIES       CMN              981811102    46.25158     2120 SH       DEFINED    2               0     2120
WORTHINGTON INDUSTRIES       CMN              981811102   596.23093    27329 SH       DEFINED    1               0    27329
WR BERKLEY CORP              CMN              084423102     1.01355       27 SH       DEFINED    2               0       27
WR BERKLEY CORP              CMN              084423102   868.20033    23128 SH       DEFINED    1               0    23128
WRIGHT EXPRESS CORP          CMN              98233Q105     2.22432       32 SH       DEFINED    2               0       32
WRIGHT EXPRESS CORP          CMN              98233Q105   417.61608     6008 SH       DEFINED    1               0     6008
WRIGHT MEDICAL GROUP INC     CMN              98235T107    32.39678     1500 SH       DEFINED    1               0     1500
WRIGHT MEDICAL GROUP INC     CMN              98235T107  2591.74285   120000 SH       DEFINED    2               0   120000
WW GRAINGER INC              CMN              384802104   170.82562      820 SH       DEFINED    2               0      820
WW GRAINGER INC              CMN              384802104   708.30135     3400 SH       DEFINED    1               0     3400
WYNDHAM WORLDWIDE CORP       CMN              98310W108   122.50907     2327 SH       DEFINED    2               0     2327
WYNDHAM WORLDWIDE CORP       CMN              98310W108   624.86469    11869 SH       DEFINED    1               0    11869
WYNN RESORTS LTD             CMN              983134107  1209.63337    10483 SH       SOLE       2           10483        0
XCEL ENERGY INC              CMN              98389B100    716.9314    25882 SH       DEFINED    2               0    25882
XCEL ENERGY INC              CMN              98389B100   1231.7082    44466 SH       DEFINED    1               0    44466
XEROX CORP                   CMN              984121103   105.63186    14485 SH       DEFINED    2               0    14485
XEROX CORP                   CMN              984121103    445.7176    61120 SH       DEFINED    1               0    61120
XILINX INC                   CNV              983919AD3 267913.8462  8000000 SH       SOLE       1         8000000        0
XILINX INC                   CMN              983919101   329.50054     9839 SH       DEFINED    2               0     9839
XILINX INC                   CMN              983919101   709.97169    21200 SH       DEFINED    1               0    21200






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6  COLUMN 7         COLUMN 8
---------------------------- ---------------- --------- ----------- ----------------- ---------- -------- ------------------------
                                                           VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP    (x$1000)   PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED   NONE
---------------------------- ---------------- --------- ----------- -------- --- ---- ---------- -------- -------- -------- ------
                                                                                           
XO GROUP INC                 CMN              983772104   143.30092    17022 SH       SOLE       1           17022        0
XYRATEX LTD                  CMN              G98268108    93.83024    10211 SH       SOLE       1           10211        0
YAHOO! INC                   CMN              984332106  1521.84295    95247 SH       DEFINED    2               0    95247
YAHOO! INC                   CMN              984332106 15689.58464   981958 SH       DEFINED    1               0   981958
YAMANA GOLD INC              CMN              98462Y100     1.91178      100 SH       DEFINED    1               0      100
YAMANA GOLD INC              CMN              98462Y100   341.42581    17859 SH       DEFINED    2               0    17859
YANDEX NV-A                  CMN              N97284108    58.99507     2498 SH       DEFINED    2               0     2498
YANDEX NV-A                  CMN              N97284108   558.04427    23629 SH       DEFINED    1               0    23629
YUM! BRANDS INC              CMN              988498101    92.89252     1400 SH       DEFINED    3               0     1400
YUM! BRANDS INC              CMN              988498101   474.94623     7158 SH       DEFINED    2               0     7158
YUM! BRANDS INC              CMN              988498101  1223.52732    18440 SH       DEFINED    1               0    18440
YUM! BRANDS INC              CMN              988498101  1467.50291    22117 SH       DEFINED    2               0    22117
ZAGG INC                     CMN              98884U108     1.71138      200 SH       DEFINED    1               0      200
ZAGG INC                     CMN              98884U108   185.68523    21700 SH       DEFINED    2               0    21700
ZALICUS INC                  CMN              98887C105     1.49187     2000 SH       DEFINED    2               0     2000
ZALICUS INC                  CMN              98887C105     7.69584    10317 SH       DEFINED    1               0    10317
ZEBRA TECHNOLOGIES CORP-CL A CMN              989207105   250.46126     6676 SH       SOLE       1            6676        0
ZHONGPIN INC                 CMN              98952K107   152.98382    13915 SH       SOLE       2           13915        0
ZIMMER HOLDINGS INC          CMN              98956P102    111.4086     1648 SH       DEFINED    2               0     1648
ZIMMER HOLDINGS INC          CMN              98956P102   284.80852     4213 SH       DEFINED    1               0     4213
ZIONS BANCORPORATION         CMN              989701115    243.5616    67656 SH       SOLE       1           67656        0
ZIONS BANCORPORATION         CMN              989701107    47.95678     2327 SH       DEFINED    2               0     2327
ZIONS BANCORPORATION         CMN              989701107     244.627    11870 SH       DEFINED    2               0    11870
ZIOPHARM ONCOLOGY INC        CMN              98973P101     1.09984      200 SH       DEFINED    1               0      200
ZIOPHARM ONCOLOGY INC        CMN              98973P101   127.58215    23200 SH       DEFINED    2               0    23200
ZOLTEK COMPANIES INC         CMN              98975W104   211.18523    27150 SH       SOLE       1           27150        0
ZYNGA INC - CL A             CMN              98986T108   101.71473    35928 SH       DEFINED    1               0    35928
ZYNGA INC - CL A             CMN              98986T108   439.72201   155320 SH       DEFINED    2               0   155320