Calamos Advisors

Calamos Advisors as of Sept. 30, 2011

Portfolio Holdings for Calamos Advisors

Calamos Advisors holds 0 positions in its portfolio as reported in the September 2011 quarterly 13F filing

                Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
3D SYSTEMS CORP           COMMON STOCK 88554D205     560       40,000 Shs      Sole       None                40,000               0
3M CO                     COMMON STOCK 88579Y101  19,096      266,000 Shs      Sole       None               266,000               0
ABBOTT LABORATORIES       COMMON STOCK 002824100  13,951      272,800 Shs      Sole       None               272,800               0
ABERCROMBIE & FITCH CO    COMMON STOCK 002896207  36,343      590,366 Shs      Sole       None               446,437         143,929
ACACIA RESEARCH CORP      COMMON STOCK 003881307  30,695      852,885 Shs      Sole       None               849,410           3,475
ACCENTURE PLC             COMMON STOCK G1151C101 245,997    4,669,638 Shs      Sole       None             4,368,444         301,194
ACCRETIVE HEALTH INC      COMMON STOCK 00438V103     403       19,000 Shs      Sole       None                19,000               0
ACME PACKET INC           COMMON STOCK 004764106  71,026    1,667,676 Shs      Sole       None             1,547,170         120,506
AETNA INC                 COMMON STOCK 00817Y108   1,636       45,000 Shs      Sole       None                45,000               0
AFFILIATED MANAGERS GROUP COMMON STOCK 008252108  75,021      961,197 Shs      Sole       None               945,282          15,915
                          CONVERTIBLE
AFFILIATED MANAGERS GROUP SECURITY     008252AL2 107,695  102,202,000 Prn      Sole       None                98,823           3,379
AFLAC INC                 COMMON STOCK 001055102   6,169      176,500 Shs      Sole       None               176,500               0
AGCO CORP                 COMMON STOCK 001084102   4,421      127,875 Shs      Sole       None               124,900           2,975
                          CONVERTIBLE
AGCO CORP                 SECURITY     001084AM4  55,895   49,962,000 Prn      Sole       None                47,567           2,395
AGILENT TECHNOLOGIES INC  COMMON STOCK 00846U101   4,401      140,843 Shs      Sole       None               140,244             599
AGRIUM INC                COMMON STOCK 008916108  66,093      991,500 Shs      Sole       None               838,519         152,981
                          CONVERTIBLE
ALLEGHENY TECH            SECURITY     01741RAD4   6,069    5,005,000 Prn      Sole       None                 5,002               3
                          CONVERTIBLE
ALLIANCE DATA             SECURITY     018581AD0  22,606   17,800,000 Prn      Sole       None                17,800               0
                          CONVERTIBLE
ALLIANT TECHSYS           SECURITY     018804AK0   4,165    4,119,000 Prn      Sole       None                 2,365           1,754
ALPHA NATURAL             CONVERTIBLE
 RESOURCES INC            SECURITY     02076XAA0  38,465   40,330,000 Prn      Sole       None                38,236           2,094
ALTERA CORP               COMMON STOCK 021441100  59,573    1,889,404 Shs      Sole       None             1,695,528         193,876
ALTRIA GROUP INC          COMMON STOCK 02209S103   6,703      250,000 Shs      Sole       None               250,000               0
AMAZON.COM INC            COMMON STOCK 023135906  12,711        2,975 Shs Call Sole       None                 2,975               0
AMAZON.COM INC            COMMON STOCK 023135106 554,790    2,565,739 Shs      Sole       None             2,405,013         160,726
AMER EXPRESS CO.          COMMON STOCK 025816109  10,875      242,200 Shs      Sole       None               242,200               0
AMER INTL GROUP           COMMON STOCK 026874784   1,730       78,830 Shs      Sole       None                78,830               0
AMERICA MOVIL SA          COMMON STOCK 02364W105   4,129      187,000 Shs      Sole       None               187,000               0
                          CONVERTIBLE
AMERIGROUP CORP           SECURITY     03073TAB8  26,826   25,100,000 Prn      Sole       None                25,100               0
AMGEN INC                 COMMON STOCK 031162100   6,567      119,500 Shs      Sole       None               119,500               0
                          CONVERTIBLE
AMGEN INC                 SECURITY     031162AQ3  43,223   43,770,000 Prn      Sole       None                40,440           3,330
ANCESTRY.COM INC          COMMON STOCK 032803108  13,938      593,100 Shs      Sole       None               593,100               0
                          CONVERTIBLE
ANIXTER INTL INC          SECURITY     035290AJ4  56,821   55,503,000 Prn      Sole       None                50,554           4,949
ANSYS INC                 COMMON STOCK 03662Q105   4,757       97,010 Shs      Sole       None                94,760           2,250
APACHE CORP               COMMON STOCK 037411105  74,190      924,596 Shs      Sole       None               774,498         150,098
                          CONVERTIBLE
                           PREFERRED
APACHE CORP               SECURITY     037411808 317,210    6,199,141 Shs      Sole       None             6,003,726         195,415
APOLLO GROUP INC          COMMON STOCK 037604105  34,857      880,000 Shs      Sole       None               880,000               0
APPLE INC                 COMMON STOCK 037833900  25,441        3,464 Shs Call Sole       None                 3,464               0
APPLE INC                 COMMON STOCK 037833100 552,381    1,449,135 Shs      Sole       None             1,343,914         105,221<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
APPLIED MATERIALS INC     COMMON STOCK 038222105  16,544    1,598,500 Shs      Sole       None             1,598,500               0
ARCH CAPITAL GP LTD       COMMON STOCK G0450A105     588       18,000 Shs      Sole       None                18,000               0
ARCHER DANIELS MIDLAND    COMMON STOCK 039483102  28,183    1,135,937 Shs      Sole       None             1,135,937               0
                          CONVERTIBLE
ARCHER DANIELS MIDLAND     SECURITY    039483AW2  40,945   40,945,000 Prn      Sole       None                38,194           2,751
ARIBA INC                 COMMON STOCK 04033V203  31,088    1,121,888 Shs      Sole       None             1,121,888               0
ARM HOLDNGS PLC           COMMON STOCK 042068106 136,993    5,372,267 Shs      Sole       None             4,947,623         424,644
                          CONVERTIBLE
ARRIS GROUP INC           SECURITY     04269QAC4   5,098    5,023,000 Prn      Sole       None                 4,949              74
ARUBA NETWORKS INC        COMMON STOCK 043176106     339       16,200 Shs      Sole       None                16,200               0
AT^T INC                  COMMON STOCK 00206R102  56,187    1,970,100 Shs      Sole       None             1,970,100               0
AUTODESK INC              COMMON STOCK 052769106 158,025    5,688,428 Shs      Sole       None             5,228,259         460,169
AUTOMATIC DATA            COMMON STOCK 053015103   1,556       33,000 Shs      Sole       None                33,000               0
AUTONATION INC            COMMON STOCK 05329W102  23,766      725,000 Shs      Sole       None               725,000               0
AVAGO TECHNOLOGIES LTD    COMMON STOCK Y0486S104  11,545      352,300 Shs      Sole       None               352,300               0
AVON PRODUCTS INC         COMMON STOCK 054303102     784       40,000 Shs      Sole       None                40,000               0
BABCOCK & WILCOX COMPANY  COMMON STOCK 05615F102  21,270    1,088,000 Shs      Sole       None             1,088,000               0
BAIDU INC-ADR             COMMON STOCK 056752108  28,867      270,015 Shs      Sole       None               145,345         124,670
BAKER HUGHES              COMMON STOCK 057224107 138,709    3,004,958 Shs      Sole       None             2,716,420         288,538
BAKER-HUGHES INC          COMMON STOCK 057224907   1,820        4,000 Shs Call Sole       None                 4,000               0
BANK OF AMER CP           COMMON STOCK 060505104   3,703      605,000 Shs      Sole       None               605,000               0
                          CONVERTIBLE
                          PREFERRED
BANK OF AMERICA CORP      SECURITY     060505682  61,579       80,392 Shs      Sole       None                80,392               0
BANK OF NEW YORK
MELLON CORP               COMMON STOCK 064058100   4,480      241,000 Shs      Sole       None               241,000               0
BARD (C.R.) INC           COMMON STOCK 067383109  57,314      654,715 Shs      Sole       None               585,930          68,785
BARRICK GOLD CORP         COMMON STOCK 067901908   5,459        6,910 Shs Call Sole       None                 6,910               0
BARRICK GOLD CORP         COMMON STOCK 067901108 315,327    6,759,426 Shs      Sole       None             6,314,283         445,143
BASIC ENERGY SERVICES INC COMMON STOCK 06985P100     326       23,000 Shs      Sole       None                23,000               0
BERKSHIRE HTH-B           COMMON STOCK 084670702  14,208      200,000 Shs      Sole       None               200,000               0
                          CONVERTIBLE
BEST BUY                  SECURITY     086516AF8   4,992    5,005,000 Prn      Sole       None                 5,002               3
BEST BUY COMPANY INC      COMMON STOCK 086516101     785       33,670 Shs      Sole       None                33,670               0
BIOGEN IDEC INC           COMMON STOCK 09062X103  47,999      515,290 Shs      Sole       None               515,290               0
BLACKROCK INC             COMMON STOCK 09247X101   1,629       11,005 Shs      Sole       None                11,005               0
BMC SOFTWARE              COMMON STOCK 055921100   6,841      177,415 Shs      Sole       None               173,140           4,275
BOEING CO                 COMMON STOCK 097023105  15,612      258,000 Shs      Sole       None               258,000               0
BP PLC -ADR               COMMON STOCK 055622104  28,856      800,000 Shs      Sole       None               800,000               0
BRIGHAM EXPL CO           COMMON STOCK 109178103  24,473      968,833 Shs      Sole       None               968,833               0
BRISTOL MYERS SQUIBB      COMMON STOCK 110122108  37,913    1,208,200 Shs      Sole       None             1,208,200               0
BUFFALO WILD WINGS INC    COMMON STOCK 119848109  26,832      448,700 Shs      Sole       None               448,700               0
                          CONVERTIBLE
CACI INTL                 SECURITY     127190AD8  19,899   18,008,000 Prn      Sole       None                18,001               7
CADENCE DESIGN
 SYSTEMS INC              COMMON STOCK 127387108  33,264    3,600,000 Shs      Sole       None             3,600,000               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
CANON INC                 COMMON STOCK 138006309  12,017      265,500 Shs      Sole       None               265,500               0
CARBO CERAMICS INC        COMMON STOCK 140781105  29,631      289,000 Shs      Sole       None               289,000               0
CARNIVAL CORP             COMMON STOCK 143658300  14,499      478,525 Shs      Sole       None               478,525               0
CARPENTER TECHNOLOGY CORP COMMON STOCK 144285103  20,201      450,000 Shs      Sole       None               450,000               0
CATERPILLAR INC           COMMON STOCK 149123101  11,692      158,340 Shs      Sole       None               158,340               0
CAVIUM INC                COMMON STOCK 14964U108  23,447      868,100 Shs      Sole       None               864,775           3,325
CBS CORP - CL B           COMMON STOCK 124857202   8,458      415,000 Shs      Sole       None               415,000               0
CELGENE CORP              COMMON STOCK 151020104 107,975    1,743,779 Shs      Sole       None             1,628,495         115,284
                          CONVERTIBLE
CEPHALON INC              SECURITY     156708AR0  25,403   20,466,000 Prn      Sole       None                20,460               6
CEPHEID INC               COMMON STOCK 15670R107     621       16,000 Shs      Sole       None                16,000               0
CERNER CORP               COMMON STOCK 156782104  98,618    1,439,253 Shs      Sole       None             1,241,873         197,380
CERNER CORP               COMMON STOCK 156782904   7,180        4,000 Shs Call Sole       None                 4,000               0
CHARLES RIVER             CONVERTIBLE
 LABORATORIES             SECURITY     159864AB3   3,950    4,000,000 Prn      Sole       None                 4,000               0
CHART INDUSTRIES INC      COMMON STOCK 16115Q308     447       10,600 Shs      Sole       None                10,600               0
                          CONVERTIBLE
CHART INDUSTRIES INC      SECURITY     16115QAC4  21,164   22,635,000 Prn      Sole       None                22,635               0
CHECK POINT SOFTWARE TECH COMMON STOCK M22465104 282,538    5,355,150 Shs      Sole       None             4,951,942         403,208
CHECK PT SOFTW            COMMON STOCK M22465904   6,148        7,590 Shs Call Sole       None                 7,590               0
CHESAPEAKE ENERGY CORP    COMMON STOCK 165167907   6,238       16,667 Shs Call Sole       None                16,667               0
                          CONVERTIBLE
CHESAPEAKE ENERGY CORP    SECURITY     165167BW6 114,168  109,777,000 Prn      Sole       None               102,000           7,777
CHESAPEAKE ENERGY CORP    COMMON STOCK 165167107 133,956    5,242,904 Shs      Sole       None             4,972,310         270,594
                          CONVERTIBLE
CHESAPEAKE ENERGY CORP    SECURITY     165167CB1  16,648   19,500,000 Prn      Sole       None                19,500               0
                          CONVERTIBLE
CHESAPEAKE ENERGY CORP    SECURITY     165167BZ9  91,191   95,239,000 Prn      Sole       None                93,809           1,430
CHEVRONTEXACO CORP        COMMON STOCK 166764100  92,238      996,955 Shs      Sole       None               996,955               0
CINEMARK HOLDINGS INC     COMMON STOCK 17243V102  22,656    1,200,000 Shs      Sole       None             1,200,000               0
CISCO SYSTEMS INC         COMMON STOCK 17275R102   9,721      627,545 Shs      Sole       None               627,545               0
CITIGROUP INC             COMMON STOCK 172967424   4,912      191,706 Shs      Sole       None               191,706               0
CLIFFS NATURAL
 RESOURCES INC            COMMON STOCK 18683K901     593        1,200 Shs Call Sole       None                 1,200               0
CLIFFS NATURAL
 RESOURCES INC            COMMON STOCK 18683K101  85,987    1,680,424 Shs      Sole       None             1,585,239          95,185
CME GROUP INC             COMMON STOCK 12572Q105   3,511       14,250 Shs      Sole       None                14,250               0
COACH INC                 COMMON STOCK 189754904   8,782        9,100 Shs Call Sole       None                 9,100               0
COACH INC                 COMMON STOCK 189754104  37,086      715,528 Shs      Sole       None               555,600         159,928
COCA-COLA CO              COMMON STOCK 191216100 278,097    4,116,295 Shs      Sole       None             4,043,095          73,200
COGNIZANT TECH
SOLUTIONS CORP            COMMON STOCK 192446102   9,887      157,695 Shs      Sole       None               156,445           1,250
COHERENT INC              COMMON STOCK 192479103     348        8,100 Shs      Sole       None                 8,100               0
                          CONVERTIBLE
COINSTAR INC               SECURITY    19259PAF9  16,424   13,100,000 Prn      Sole       None                13,100               0
COLGATE-PALMOLIVE CO      COMMON STOCK 194162103   4,877       55,000 Shs      Sole       None                55,000               0
COMCAST CORP              COMMON STOCK 20030N101   8,538      408,500 Shs      Sole       None               408,500               0
COMPANHIA DE BEBIDAS      COMMON STOCK 20441W203 118,086    3,852,723 Shs      Sole       None             3,593,022         259,701<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
COMTECH                   CONVERTIBLE
 TELECOMMUNICATIONS       SECURITY     205826AF7   9,067    8,625,000 Prn      Sole       None                 8,625               0
CONCHO RESOURCES INC      COMMON STOCK 20605P101  30,235      425,000 Shs      Sole       None               425,000               0
CONOCOPHILLIPS            COMMON STOCK 20825C104  61,674      974,000 Shs      Sole       None               974,000               0
CORNING INC               COMMON STOCK 219350105   4,450      360,000 Shs      Sole       None               360,000               0
COSTCO WHOLESALE CORP     COMMON STOCK 22160K105  11,907      145,000 Shs      Sole       None               145,000               0
                          CONVERTIBLE
COVANTA HOLDING CORP      SECURITY     22282EAC6  10,719    9,800,000 Prn      Sole       None                 9,800               0
COVIDIEN PLC              COMMON STOCK G2554F113 100,575    2,280,605 Shs      Sole       None             2,055,685         224,920
CROCS INC                 COMMON STOCK 227046109  35,505    1,500,000 Shs      Sole       None             1,500,000               0
CSX CORPORATION           COMMON STOCK 126408103   1,587       85,000 Shs      Sole       None                85,000               0
CTRIP.COM INTL LTD        COMMON STOCK 22943F100   8,736      271,649 Shs      Sole       None               271,649               0
                          CONVERTIBLE
D R HORTON INC            SECURITY     23331ABB4   5,670    5,600,000 Prn      Sole       None                 5,600               0
DANAHER CORP              COMMON STOCK 235851102   2,603       62,075 Shs      Sole       None                62,075               0
                          CONVERTIBLE
DANAHER CORP              SECURITY     235851AF9 150,762  123,449,000 Prn      Sole       None               116,976           6,473
DARLING INTERNATIONAL INC COMMON STOCK 237266101   3,169      251,690 Shs      Sole       None               245,740           5,950
DECKERS OUTDOOR           COMMON STOCK 243537107  56,206      602,679 Shs      Sole       None               507,850          94,829
DELL INC                  COMMON STOCK 24702R901   5,109       22,310 Shs Call Sole       None                22,310               0
DELL INC                  COMMON STOCK 24702R101  80,160    5,665,040 Shs      Sole       None             5,499,115         165,925
DEVON ENERGY CORPORATION  COMMON STOCK 25179M103   2,347       42,330 Shs      Sole       None                42,330               0
DIAMOND OFFSHORE
  DRILLING INC            COMMON STOCK 25271C102   5,474      100,000 Shs      Sole       None               100,000               0
DICE HOLDINGS INC         COMMON STOCK 253017107   8,302    1,061,600 Shs      Sole       None             1,061,600               0
DIRECTV                   COMMON STOCK 25490A101  27,486      650,558 Shs      Sole       None               496,504         154,054
DISCOVER FINANCIAL
 SERVICES                 COMMON STOCK 254709108  40,145    1,750,000 Shs      Sole       None             1,750,000               0
DISNEY WALT CO            COMMON STOCK 254687106  12,519      415,100 Shs      Sole       None               415,100               0
DOMINION RESOURCES INC VA COMMON STOCK 25746U109  10,916      215,000 Shs      Sole       None               215,000               0
                          CONVERTIBLE
DOMINION RESOURCES INC/VA SECURITY     25746UAT6     905      621,000 Prn      Sole       None                   621               0
DOMINOS PIZZA INC         COMMON STOCK 25754A201  38,150    1,400,000 Shs      Sole       None             1,400,000               0
DOVER CORP                COMMON STOCK 260003108 150,659    3,233,031 Shs      Sole       None             2,974,961         258,070
DOW CHEMICAL CO           COMMON STOCK 260543103  12,825      571,000 Shs      Sole       None               571,000               0
DST SYSTEMS -C            COMMON STOCK 233326AE7   4,246    3,708,000 Prn      Sole       None                 3,692              16
DUKE ENERGY CORP          COMMON STOCK 26441C105   9,337      467,100 Shs      Sole       None               467,100               0
DUPONT DE NEMOUR & CO     COMMON STOCK 263534109   6,355      159,000 Shs      Sole       None               159,000               0
EATON CORP                COMMON STOCK 278058102 301,643    8,496,981 Shs      Sole       None             8,016,067         480,914
EBAY INC                  COMMON STOCK 278642103 146,824    4,978,773 Shs      Sole       None             4,972,218           6,555
EDISON INTL               COMMON STOCK 281020107   2,869       75,000 Shs      Sole       None                75,000               0
EL PASO CORP              COMMON STOCK 28336L909   1,046        4,000 Shs Call Sole       None                 4,000               0
ELECTRONIC ARTS INC       COMMON STOCK 285512909   1,830        3,000 Shs Call Sole       None                 3,000               0
ELI LILLY & CO            COMMON STOCK 532457108  12,357      334,250 Shs      Sole       None               334,250               0
EMC CORP -MASS            COMMON STOCK 268648902   2,436       11,600 Shs Call Sole       None                11,600               0
                          CONVERTIBLE
EMC CORP -MASS            SECURITY     268648AK8  21,610   16,465,000 Prn      Sole       None                16,465               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
                          CONVERTIBLE
EMC CORP -MASS            SECURITY     268648AM4 423,438  298,985,000 Prn      Sole       None               286,484          12,501
EMC CORP-MASS             COMMON STOCK 268648102 156,680    7,464,514 Shs      Sole       None             6,679,302         785,212
EMERSON ELECTRIC CO       COMMON STOCK 291011104   2,479       60,000 Shs      Sole       None                60,000               0
                          CONVERTIBLE
ENDO PHARMACEUT            SECURITY    29264FAB2  68,120   60,084,000 Prn      Sole       None                56,844           3,240
                          CONVERTIBLE
ENERSYS                   SECURITY     29275YAA0  30,103   32,067,000 Prn      Sole       None                30,567           1,500
EQT CORP                  COMMON STOCK 26884L109  82,351    1,543,312 Shs      Sole       None             1,381,068         162,244
                          CONVERTIBLE
EQUINIX INC               SECURITY     29444UAH9  10,300    8,000,000 Prn      Sole       None                 8,000               0
                          CONVERTIBLE
EQUINIX INC               SECURITY     29444UAF3  45,742   44,626,000 Prn      Sole       None                42,232           2,394
                          CONVERTIBLE
EQUINIX INC               SECURITY     29444UAG1  11,879   11,300,000 Prn      Sole       None                11,300               0
EXELON CORP               COMMON STOCK 30161N101     447       10,500 Shs      Sole       None                10,500               0
EXXON MOBIL CORP          COMMON STOCK 30231G102  90,961    1,252,385 Shs      Sole       None             1,252,385               0
FEDEX CORP                COMMON STOCK 31428X106  11,167      165,000 Shs      Sole       None               165,000               0
                          CONVERTIBLE
FEI COMPANY               SECURITY     30241LAF6   9,760    8,150,000 Prn      Sole       None                 8,150               0
FINANCIAL ENGINES INC     COMMON STOCK 317485100  10,253      566,156 Shs      Sole       None               566,156               0
FIRST CASH FINL SVCS INC  COMMON STOCK 31942D107     461       11,000 Shs      Sole       None                11,000               0
FLUOR CORP-NEW            COMMON STOCK 343412102 115,980    2,491,520 Shs      Sole       None             2,239,299         252,221
FMC CORPORATION           COMMON STOCK 302491303  20,748      300,000 Shs      Sole       None               300,000               0
FMC TECHNOLOGIES INC      COMMON STOCK 30249U101  39,480    1,050,000 Shs      Sole       None             1,050,000               0
FOCUS MEDIA HOLDING LTD   COMMON STOCK 34415V109  23,506    1,400,000 Shs      Sole       None             1,400,000               0
FORTINET INC              COMMON STOCK 34959E109  42,926    2,555,094 Shs      Sole       None             2,555,094               0
FRANKLIN RESOURCES INC    COMMON STOCK 354613101 102,265    1,069,266 Shs      Sole       None               960,063         109,203
FREEPORT-MCMORAN COP^GOLD COMMON STOCK 35671D857 167,933    5,515,040 Shs      Sole       None             5,070,464         444,576
                          CONVERTIBLE
FTI CONSULTING INC         SECURITY    302941AB5  27,878   22,596,000 Prn      Sole       None                18,793           3,803
GARDNER DENVER INC        COMMON STOCK 365558105  18,112      285,000 Shs      Sole       None               285,000               0
                          CONVERTIBLE
GENERAL CABLE CORP         SECURITY    369300AD0  52,604   57,178,000 Prn      Sole       None                52,795           4,383
GENERAL DYNAMICS CORP     COMMON STOCK 369550108     825       14,500 Shs      Sole       None                14,500               0
GENERAL ELECTRIC CO       COMMON STOCK 369604103  83,927    5,507,000 Shs      Sole       None             5,507,000               0
GENERAL MOTORS CO         WARRANT      37045V126     636       80,156 Shs      Sole       None                80,156               0
GENERAL MOTORS CO         WARRANT      37045V118     933       80,156 Shs      Sole       None                80,156               0
GENERAL MOTORS CO         COMMON STOCK 37045V100   1,779       88,170 Shs      Sole       None                88,170               0
GENPACT LTD               COMMON STOCK G3922B107   8,548      594,000 Shs      Sole       None               594,000               0
                          CONVERTIBLE
GILEAD SCIENCES           SECURITY     375558AN3  45,553   41,936,000 Prn      Sole       None                40,305           1,631
                          CONVERTIBLE
GILEAD SCIENCES INC       SECURITY     375558AH6  24,137   21,034,000 Prn      Sole       None                20,093             941
GLOBE SPECIALTY
 METALS INC               COMMON STOCK 37954N206     369       25,400 Shs      Sole       None                25,400               0
GLU MOBILE INC            COMMON STOCK 379890106     243      115,000 Shs      Sole       None               115,000               0
GOLDCORP INC              COMMON STOCK 380956409  37,720      826,459 Shs      Sole       None               632,187         194,272
                          CONVERTIBLE
GOLDCORP INC              SECURITY     380956AB8 240,127  192,294,000 Prn      Sole       None               185,613           6,681<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
GOLDMAN SACHS             COMMON STOCK 38141G104   2,647       28,000 Shs      Sole       None                28,000               0
GOOGLE INC                COMMON STOCK 38259P508 434,700      845,096 Shs      Sole       None               775,050          70,046
Graphic Packaging
 Holding Co               COMMON STOCK 388689101     450      130,300 Shs      Sole       None               130,300               0
HALLIBURTON CO            COMMON STOCK 406216101  15,580      510,500 Shs      Sole       None               510,500               0
HARLEY-DAVIDSON INC       COMMON STOCK 412822108   5,390      157,000 Shs      Sole       None               157,000               0
HARMAN INTL IND           COMMON STOCK 413086109  12,947      453,000 Shs      Sole       None               453,000               0
HARTFORD FINANCIAL
 SVCS GRP                 COMMON STOCK 416515104     307       19,000 Shs      Sole       None                19,000               0
                          CONVERTIBLE
HEALTH CR REIT             SECURITY    42217KAP1     379      358,000 Prn      Sole       None                   358               0
                          CONVERTIBLE
HEALTH CR REIT            SECURITY     42217KAQ9   1,130    1,056,000 Prn      Sole       None                 1,056               0
                          CONVERTIBLE
HEALTH CR REIT            SECURITY     42217KAR7   9,647    9,090,000 Prn      Sole       None                 9,090               0
HELMERICH & PAYNE INC     COMMON STOCK 423452101 179,327    4,416,923 Shs      Sole       None             4,095,990         320,933
HERBALIFE LTD             COMMON STOCK G4412G101  77,112    1,438,664 Shs      Sole       None             1,226,200         212,464
HOLLYFRONTIER CORP        COMMON STOCK 436106108  22,870      872,229 Shs      Sole       None               603,305         268,924
                          CONVERTIBLE
HOLOGIC INC               SECURITY     436440AB7  89,374   86,040,000 Prn      Sole       None                81,635           4,405
HOME DEPOT                COMMON STOCK 437076102   5,752      175,000 Shs      Sole       None               175,000               0
HONEYWELL INTL            COMMON STOCK 438516106  33,767      769,000 Shs      Sole       None               769,000               0
HUNT (JB) TRANSPRT
 SVCS INC                 COMMON STOCK 445658107  34,314      950,000 Shs      Sole       None               950,000               0
IDEXX LABORATORIES INC    COMMON STOCK 45168D104  74,143    1,075,000 Shs      Sole       None             1,075,000               0
II-VI INCORP              COMMON STOCK 902104108     511       29,200 Shs      Sole       None                29,200               0
ILL TOOL WORKS INC        COMMON STOCK 452308109   9,838      236,500 Shs      Sole       None               236,500               0
ILLUMINA INC              COMMON STOCK 452327109  62,717    1,532,668 Shs      Sole       None             1,370,207         162,461
IMAX CORP                 COMMON STOCK 45245E109   1,449      100,035 Shs      Sole       None               100,035               0
IMPAX LABORATORIES INC    COMMON STOCK 45256B101     335       18,700 Shs      Sole       None                18,700               0
INCYTE GENOMICS INC       COMMON STOCK 45337C102  18,470    1,322,153 Shs      Sole       None             1,322,153               0
INFORMATICA CORP          COMMON STOCK 45666Q102  22,286      544,220 Shs      Sole       None               393,540         150,680
INHIBITEX INC             COMMON STOCK 45719T103     308      125,000 Shs      Sole       None               125,000               0
                          CONVERTIBLE
INTEL CORP                SECURITY     458140AD2 103,151  101,253,000 Prn      Sole       None               101,253               0
INTEL CORP                COMMON STOCK 458140100 165,626    7,764,923 Shs      Sole       None             7,380,592         384,331
INTERACTIVE INTELLIGENCE
GROUP                     COMMON STOCK 45841V109     353       13,000 Shs      Sole       None                13,000              0
INTERCONTINENTAL
 EXCHANGE INC             COMMON STOCK 45865V100 114,623      969,246 Shs      Sole       None               898,996          70,250
                          CONVERTIBLE
INTERPUBLIC GROUP OF COS  SECURITY     460690BA7  19,358   19,095,000 Prn      Sole       None                17,547           1,548
                          CONVERTIBLE
INTERPUBLIC GRP           SECURITY     460690BE9  27,925   26,159,000 Prn      Sole       None                24,538           1,621
INT'L BUSINESS
 MACHINES CORP            COMMON STOCK 459200101  36,096      206,230 Shs      Sole       None               206,230               0
                          CONVERTIBLE
INTL GAME TECHNOLOGY      SECURITY     459902AQ5 114,748   99,349,000 Prn      Sole       None                95,034           4,315
INTREPID POTASH INC       COMMON STOCK 46121Y102     381       15,300 Shs      Sole       None                15,300               0
INTUIT                    COMMON STOCK 461202103  22,589      476,159 Shs      Sole       None               339,120         137,039
INTUITIVE SURGICAL INC    COMMON STOCK 46120E602 249,590      685,161 Shs      Sole       None               629,463          55,698
INVESCO LTD               COMMON STOCK G491BT108  14,502      935,000 Shs      Sole       None               935,000               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
INVITROGEN CORP           SECURITY     46185RAK6  22,864   22,526,000 Prn      Sole       None                19,225           3,301
IPC THE HOSPITALIST CO    COMMON STOCK 44984A105     403       11,300 Shs      Sole       None                11,300               0
IPG PHOTONICS CORP        COMMON STOCK 44980X109     439       10,100 Shs      Sole       None                10,100               0
IROBOT CORP               COMMON STOCK 462726100     428       17,000 Shs      Sole       None                17,000               0
JABIL CIRCUIT INC         COMMON STOCK 466313903   1,560        6,000 Shs Call Sole       None                 6,000               0
                          CONVERTIBLE
JANUS CAPITAL GROUP FUNDS SECURITY     47102XAG0   7,293    7,451,000 Prn      Sole       None                 7,451               0
                          CONVERTIBLE
JDS UNIPHASE CORP         SECURITY     46612JAD3   1,960    2,000,000 Prn      Sole       None                 2,000               0
                          CONVERTIBLE
JEFFERIES GROUP INC       SECURITY     472319AG7   5,329    5,800,000 Prn      Sole       None                 5,800               0
                          CONVERTIBLE
JNJ (ALZA CP)              SECURITY    02261WAB5  10,482   11,598,000 Prn      Sole       None                11,598               0
JOHNSON & JOHNSON         COMMON STOCK 478160104 207,347    3,254,542 Shs      Sole       None             3,251,742           2,800
JP MORGAN CHASE & CO      COMMON STOCK 46625H100  45,352    1,505,725 Shs      Sole       None             1,505,725               0
KELLOGG CO                COMMON STOCK 487836108   2,766       52,000 Shs      Sole       None                52,000               0
KENEXA CORP               COMMON STOCK 488879107     321       20,500 Shs      Sole       None                20,500               0
KIMBERLY-CLARK CORP       COMMON STOCK 494368103  28,191      397,000 Shs      Sole       None               397,000               0
KKR & CO  LP              COMMON STOCK 48248M102  16,640    1,600,000 Shs      Sole       None             1,600,000               0
KLA-TENCOR CORP           COMMON STOCK 482480100  45,280    1,182,867 Shs      Sole       None             1,180,417           2,450
KRAFT FOODS INC - CL A    COMMON STOCK 50075N104   3,358      100,000 Shs      Sole       None               100,000               0
KRONOS WORLDWIDE INC      COMMON STOCK 50105F105     315       19,600 Shs      Sole       None                19,600               0
                          CONVERTIBLE
LABORATORY CORP LYONS      SECURITY    50540RAG7   3,718    3,467,000 Prn      Sole       None                 3,467               0
LEGG MASON INC            COMMON STOCK 524901105     514       20,000 Shs      Sole       None                20,000               0
                          CONVERTIBLE
LEUCADIA NATIONAL         SECURITY     527288AX2  56,102   47,194,000 Prn      Sole       None                44,934           2,260
LEUCADIA NATIONAL CORP    COMMON STOCK 527288104   1,089       48,000 Shs      Sole       None                48,000               0
                          CONVERTIBLE
LIBERTY                   SECURITY     530718AF2  66,067   61,244,000 Prn      Sole       None                57,059           4,185
                          CONVERTIBLE
LIBERTY MEDIA             SECURITY     530715AR2  93,329  118,513,000 Prn      Sole       None               113,403           5,110
                          CONVERTIBLE
LIFEPOINT HOSPITALS INC   SECURITY     53219LAH2  91,428   89,856,000 Prn      Sole       None                85,326           4,530
LINCOLN NATIONAL CORP     COMMON STOCK 534187109   2,471      158,074 Shs      Sole       None               158,074               0
                          CONVERTIBLE
LINEAR TEC CORP - TRNCH A SECURITY     535678AC0  51,622   50,363,000 Prn      Sole       None                50,188             175
LIVEPERSON INC            COMMON STOCK 538146101     338       34,000 Shs      Sole       None                34,000               0
LKQ CORP                  COMMON STOCK 501889208  18,241      755,000 Shs      Sole       None               755,000               0
LOCKHEED MARTIN CORP      COMMON STOCK 539830109     726       10,000 Shs      Sole       None                10,000               0
LOGMEIN INC               COMMON STOCK 54142L109     412       12,400 Shs      Sole       None                12,400               0
LSB INDUSTRIES INC        COMMON STOCK 502160104     390       13,600 Shs      Sole       None                13,600               0
LUFKIN INDUSTRIES INC     COMMON STOCK 549764108  20,220      380,000 Shs      Sole       None               380,000               0
MANHATTAN ASOC            COMMON STOCK 562750109     546       16,500 Shs      Sole       None                16,500               0
MANULIFE FINANCIAL CORP   COMMON STOCK 56501R106   1,122       99,000 Shs      Sole       None                99,000               0
MARATHON OIL CP           COMMON STOCK 565849106   2,266      105,000 Shs      Sole       None               105,000               0
MARATHON PETROLEUM        COMMON STOCK 56585A102   1,421       52,500 Shs      Sole       None                52,500               0
MARKETAXESS HOLDINGS INC  COMMON STOCK 57060D108     494       19,000 Shs      Sole       None                19,000               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
MASCO CORP                COMMON STOCK 574599106   3,204      450,000 Shs      Sole       None               450,000               0
MASTERCARD INC            COMMON STOCK 57636Q104 172,863      545,034 Shs      Sole       None               514,434          30,600
MCDONALD'S CORP           COMMON STOCK 580135101  12,874      146,600 Shs      Sole       None               146,600               0
MEAD JOHNSON NUTRITION CO COMMON STOCK 582839106 173,382    2,518,990 Shs      Sole       None             2,397,490         121,500
                          CONVERTIBLE
MEDICIS PHARM             SECURITY     58470KAA2  23,556   18,120,000 Prn      Sole       None                18,120               0
MEDIDATA SOLUTIONS INC    COMMON STOCK 58471A105     329       20,000 Shs      Sole       None                20,000               0
MEDTRONIC INC             COMMON STOCK 585055106  17,521      527,110 Shs      Sole       None               527,110               0
                          CONVERTIBLE
MEDTRONIC INC             SECURITY     585055AM8  36,333   36,107,000 Prn      Sole       None                35,438             669
MELCO CROWN
 ENTERTAINMENT LTD        COMMON STOCK 585464100  26,592    3,200,000 Shs      Sole       None             3,200,000               0
MELLANOX TECHNOLOGIES LTD COMMON STOCK M51363113  12,613      404,000 Shs      Sole       None               404,000               0
MENTOR GRAPHICS           COMMON STOCK 587200106  19,741    2,052,099 Shs      Sole       None             2,052,099               0
MERCADOLIBRE INC          COMMON STOCK 58733R102  82,628    1,537,270 Shs      Sole       None             1,389,782         147,488
MERCK & CO                COMMON STOCK 58933Y105 162,966    4,982,154 Shs      Sole       None             4,982,154               0
MERIT MEDICAL SYSTEMS INC COMMON STOCK 589889104  13,274    1,010,184 Shs      Sole       None             1,010,184               0
METLIFE INC               COMMON STOCK 59156R108   5,606      200,140 Shs      Sole       None               200,140               0
                          DECS,ACES,
METLIFE INC               PRIDES       59156R116  85,076    1,504,170 Shs      Sole       None             1,454,400          49,770
                          CONVERTIBLE
MF GLOBAL HOLDINGS LTD    SECURITY     55277JAA6  11,200   14,000,000 Prn      Sole       None                14,000               0
                          CONVERTIBLE
MGM MIRAGE                SECURITY     55303QAE0   3,966    4,500,000 Prn      Sole       None                 4,500               0
MICROSOFT CORP            COMMON STOCK 594918104 233,235    9,370,630 Shs      Sole       None             9,278,495          92,135
MITCHAM INDUSTRIES INC    COMMON STOCK 606501104     344       30,700 Shs      Sole       None                30,700               0
                          CONVERTIBLE
MOLINA HEALTHCARE INC     SECURITY     60855RAA8   5,154    5,390,000 Prn      Sole       None                 5,381               9
                          CONVERTIBLE
MOLSON COORS BREWING CO   SECURITY     60871RAA8  30,235   28,625,000 Prn      Sole       None                24,700           3,925
MONSANTO CO -NEW          COMMON STOCK 61166W101   3,122       52,000 Shs      Sole       None                52,000               0
MOSAIC CO                 COMMON STOCK 61945C103  29,382      600,000 Shs      Sole       None               600,000               0
MOTOROLA MOBILITY
 HOLDINGS 1               COMMON STOCK 620097105     213        5,625 Shs      Sole       None                 5,625               0
MOTOROLA SOLUTIONS INC    COMMON STOCK 620076307  17,029      406,428 Shs      Sole       None               406,428               0
MSC INDUSTRIAL
 DIRECT CO INC            COMMON STOCK 553530106  19,761      350,000 Shs      Sole       None               350,000               0
MYERS INDUSTRIES INC      COMMON STOCK 628464109     538       53,000 Shs      Sole       None                53,000               0
                          CONVERTIBLE
MYLAN LABORATORIES INC    SECURITY     628530AG2 118,415  118,120,000 Prn      Sole       None               113,018           5,102
NATIONAL INSTRUMENTS CORP COMMON STOCK 636518102  16,576      725,119 Shs      Sole       None               721,957           3,162
NATIONAL OILWELL
 VARCO INC                COMMON STOCK 637071101  70,232    1,371,192 Shs      Sole       None             1,172,400         198,792
                          CONVERTIBLE
NAVISTAR INTL             SECURITY     63934EAL2  39,269   39,367,000 Prn      Sole       None                37,126           2,241
                          CONVERTIBLE
NETAPP INC                SECURITY     64110DAB0  12,181   10,005,000 Prn      Sole       None                10,002               3
NETGEAR INC               COMMON STOCK 64111Q104  24,467      945,044 Shs      Sole       None               942,194           2,850
NETSUITE INC              COMMON STOCK 64118Q107     419       15,500 Shs      Sole       None                15,500               0
NEW ORIENTAL EDUCATION    COMMON STOCK 647581107  43,848    1,908,904 Shs      Sole       None             1,677,378         231,526
NEWMONT MINING CORP       COMMON STOCK 651639106  13,869      220,500 Shs      Sole       None               220,500               0
                          CONVERTIBLE<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
NEWMONT MINING CORP       SECURITY     651639AJ5 108,551   72,367,000 Prn      Sole       None                67,486           4,881
                          CONVERTIBLE
NEWMONT MINING CORP       SECURITY     651639AK2 145,448  104,922,000 Prn      Sole       None               102,272           2,650
                          CONVERTIBLE
NEWMONT MINING CORP       SECURITY     651639AH9 146,845  100,493,000 Prn      Sole       None                97,707           2,786
                          CONVERTIBLE
NEWPARK RESOURCES         SECURITY     651718AC2   6,475    7,000,000 Prn      Sole       None                 7,000               0
NEWPORT CORP              COMMON STOCK 651824104     357       33,000 Shs      Sole       None                33,000               0
NIC INC                   COMMON STOCK 62914B100     447       39,000 Shs      Sole       None                39,000               0
NICE SYSTEMS LTD -SPONS   COMMON STOCK 653656108   4,301      141,710 Shs      Sole       None               141,710               0
NIKE INC-B                COMMON STOCK 654106103  13,874      162,250 Shs      Sole       None               162,250               0
NOBLE CORP                COMMON STOCK H5833N103     706       24,050 Shs      Sole       None                24,050               0
NOBLE ENERGY INC          COMMON STOCK 655044105   2,962       41,834 Shs      Sole       None                40,859             975
NOKIA CP - ADR            COMMON STOCK 654902204  12,452    2,200,000 Shs      Sole       None             2,200,000               0
NORDSON CORP              COMMON STOCK 655663102     318        8,000 Shs      Sole       None                 8,000               0
NORFOLK SOTHN CORP        COMMON STOCK 655844108   1,831       30,000 Shs      Sole       None                30,000               0
NOVO-NORDISK AS           COMMON STOCK 670100205  95,258      957,170 Shs      Sole       None               816,071         141,099
                          CONVERTIBLE
NUANCE COMMUNICATIONS INC SECURITY     67020YAB6  63,909   50,621,000 Prn      Sole       None                50,621               0
NUCOR CORP                COMMON STOCK 670346105   2,848       90,000 Shs      Sole       None                90,000               0
NVIDIA CORP               COMMON STOCK 67066G104  50,203    4,016,211 Shs      Sole       None             3,704,131         312,080
O2MICRO INTL LTD          COMMON STOCK 67107W100     246       59,000 Shs      Sole       None                59,000               0
OCCIDENTAL PETROLEUM CORP COMMON STOCK 674599105 180,352    2,522,409 Shs      Sole       None             2,511,819          10,590
OIL STATES INTL INC       COMMON STOCK 678026105   3,879       76,170 Shs      Sole       None                74,370           1,800
OMEGA PROTEIN             COMMON STOCK 68210P107     336       37,000 Shs      Sole       None                37,000               0
                          CONVERTIBLE
OMNICOM GRP               SECURITY     681919AV8  18,316   18,595,000 Prn      Sole       None                16,595           2,000
                          CONVERTIBLE
OMNICOM GRP               SECURITY     682134AA9 124,772  120,698,000 Prn      Sole       None               117,378           3,320
                          CONVERTIBLE
ON SEMICONDUCTOR CORP     SECURITY     682189AG0  90,628   84,699,000 Prn      Sole       None                81,167           3,532
                          CONVERTIBLE
ONYX PHARMACEUTICALS INC  SECURITY     683399AB5  11,313   10,000,000 Prn      Sole       None                10,000               0
OPEN TEXT CORP            COMMON STOCK 683715106  41,994      805,709 Shs      Sole       None               677,846         127,863
OPENTABLE INC             COMMON STOCK 68372A104     460       10,000 Shs      Sole       None                10,000               0
OPNET TECHNOLOGIES INC    COMMON STOCK 683757108     478       13,700 Shs      Sole       None                13,700               0
ORACLE CORP               COMMON STOCK 68389X905   9,706       21,100 Shs Call Sole       None                21,100               0
ORACLE CORP               COMMON STOCK 68389X105 530,132   18,445,786 Shs      Sole       None            17,372,285      1 ,073,501
ORBITAL SCIENCES CORP     COMMON STOCK 685564106   9,550      746,100 Shs      Sole       None               746,100               0
PAN AMERICAN SILVER CORP  COMMON STOCK 697900108  46,079    1,721,286 Shs      Sole       None             1,498,537         222,749
PARKER HANNIFIN CORP      COMMON STOCK 701094104 126,095    1,997,389 Shs      Sole       None             1,889,008         108,381
PATTERSON-UTI ENERGY INC  COMMON STOCK 703481101 107,524    6,200,903 Shs      Sole       None             5,603,667         597,236
PEGASYSTEMS INC           COMMON STOCK 705573103     459       15,000 Shs      Sole       None                15,000               0
PEPSICO INC               COMMON STOCK 713448108  11,377      183,800 Shs      Sole       None               183,800               0
PETROLEUM
DEVELOPMENT CORP          COMMON STOCK 716578959     290          500 Shs Put  Sole       None                   500               0
PFIZER INC                COMMON STOCK 717081103  86,400    4,886,900 Shs      Sole       None             4,886,900               0
                          CONVERTIBLE
PHH CORP                  SECURITY     693320AN3   5,775    6,000,000 Prn      Sole       None                 6,000               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
PHILIP MORRIS
 INTERNATIONAL            COMMON STOCK 718172109  11,821      189,500 Shs      Sole       None               189,500               0
PIONEER NATURAL           CONVERTIBLE
 (ADDL WARRANTS)          SECURITY     723787AH0  47,912   39,885,000 Prn      Sole       None                36,250           3,635
POLYCOM INC               COMMON STOCK 73172K104  62,224    3,387,274 Shs      Sole       None             2,975,002         412,272
POLYPORE
INTERNATIONAL INC         COMMON STOCK 73179V103  47,494      840,300 Shs      Sole       None               840,300               0
PPG INDUSTRIES INC        COMMON STOCK 693506107   3,180       45,000 Shs      Sole       None                45,000               0
PRICELINE.COM INC         COMMON STOCK 741503903  13,141        1,525 Shs Call Sole       None                 1,525               0
PRICELINE.COM INC         COMMON STOCK 741503403 359,466      799,772 Shs      Sole       None               736,391          63,381
PRICESMART INC            COMMON STOCK 741511109     872       14,000 Shs      Sole       None                14,000               0
PROCTER & GAMBLE CO       COMMON STOCK 742718109  29,556      467,800 Shs      Sole       None               467,800               0
PRUDENTIAL FINANCIAL INC  COMMON STOCK 744320102   8,894      189,800 Shs      Sole       None               189,800               0
QUALCOMM INC              COMMON STOCK 747525903   1,887        3,400 Shs Call Sole       None                 3,400               0
QUALCOMM INC              COMMON STOCK 747525103 611,945   12,583,703 Shs      Sole       None            11,917,742         665,961
QUALITY SYS               COMMON STOCK 747582104  53,985      556,549 Shs      Sole       None               467,615          88,934
RACKSPACE HOSTING INC     COMMON STOCK 750086100  75,963    2,225,057 Shs      Sole       None             2,221,132           3,925
RADWARE LTD               COMMON STOCK M81873107   2,522      116,800 Shs      Sole       None               116,800               0
RAVEN INDUSTRIES INC      COMMON STOCK 754212108     453        9,400 Shs      Sole       None                 9,400               0
RAYTHEON CO               COMMON STOCK 755111507     409       10,000 Shs      Sole       None                10,000               0
REACHLOCAL INC            COMMON STOCK 75525F104     307       28,200 Shs      Sole       None                28,200               0
RED HAT INC               COMMON STOCK 756577102  74,609    1,765,485 Shs      Sole       None             1,763,585           1,900
REGENERON
 PHARMACEUTICALS INC      COMMON STOCK 75886F107  26,190      450,000 Shs      Sole       None               450,000               0
RESOLUTE ENERGY CORP      COMMON STOCK 76116A108     378       33,300 Shs      Sole       None                33,300               0
RIO TINTO PLC -ADR        COMMON STOCK 767204100  34,382      780,000 Shs      Sole       None               780,000               0
RIVERBED TECHNOLOGY INC   COMMON STOCK 768573107  45,520    2,280,568 Shs      Sole       None             2,277,268           3,300
ROPER INDUSTRIES INC      COMMON STOCK 776696106  37,211      540,000 Shs      Sole       None               540,000               0
ROSETTA RESOURCES INC     COMMON STOCK 777779307  17,110      500,000 Shs      Sole       None               500,000               0
                          CONVERTIBLE
ROVI CORP                 SECURITY     779376AB8  76,756   66,098,000 Prn      Sole       None                64,056           2,042
RUSSELL MIDCAP
 GROWTH INDEX FD          COMMON STOCK 464287481     385        7,747 Shs      Sole       None                 7,500             247
S & P 500 INDEX           COMMON STOCK 464287950  31,027        3,900 Shs      Sole       None                 3,900               0
SALESFORCE.COM INC        COMMON STOCK 79466L302 114,867    1,005,133 Shs      Sole       None               948,719          56,414
                          CONVERTIBLE
SALIX PHARMACEUTICALS LTD SECURITY     795435AC0   3,000    3,000,000 Prn      Sole       None                 3,000               0
                          CONVERTIBLE
SANDISK CORP              SECURITY     80004CAC5   2,820    2,900,000 Prn      Sole       None                 2,896               4
                          CONVERTIBLE
SANDISK CORP              SECURITY     80004CAD3 266,950  254,541,000 Prn      Sole       None               244,088          10,453
SAP AG  -SPONSORED        COMMON STOCK 803054204  28,707      567,100 Shs      Sole       None               567,100               0
                          CONVERTIBLE
SBA COMM CORP             SECURITY     78388JAN6   9,904    9,500,000 Prn      Sole       None                 9,500               0
SCHLUMBERGER LTD          COMMON STOCK 806857108 176,045    2,947,348 Shs      Sole       None             2,810,924         136,424
SCICLONE PHARMA           COMMON STOCK 80862K104     381      100,000 Shs      Sole       None               100,000               0
SEATTLE GENETIC / WA      COMMON STOCK 812578102  30,496    1,600,000 Shs      Sole       None             1,600,000               0
SHUTTERFLY INC            COMMON STOCK 82568P304     630       15,300 Shs      Sole       None                15,300               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
SIEMENS A.G.              COMMON STOCK 826197501   1,532       17,060 Shs      Sole       None                10,060           7,000
SILICON GRAPHICS
INTERNATION               COMMON STOCK 82706L108     453       38,000 Shs      Sole       None                38,000               0
SIRONA DENTAL
SYSTEMS INC               COMMON STOCK 82966C103     276        6,500 Shs      Sole       None                 6,500               0
SKYWORKS
SOLUTIONS INC             COMMON STOCK 83088M102  36,777    2,050,000 Shs      Sole       None             2,050,000               0
                          CONVERTIBLE
SMITHFIELD FOODS INC      SECURITY     832248AR9  35,452   31,975,000 Prn      Sole       None                31,975               0
SOHU.COM INC              COMMON STOCK 83408W103   2,410       50,000 Shs      Sole       None                50,000               0
SOLARWINDS INC            COMMON STOCK 83416B109  48,961    2,223,495 Shs      Sole       None             1,856,173         367,322
SOLERA HOLDINGS INC       COMMON STOCK 83421A104  38,884      769,990 Shs      Sole       None               768,440           1,550
SOUTHN COMPANY            COMMON STOCK 842587107   4,237      100,000 Shs      Sole       None               100,000               0
SOUTHWESTERN ENERGY CO    COMMON STOCK 845467109   3,176       95,285 Shs      Sole       None                92,935           2,350
SPDR GOLD TRUST           COMMON STOCK 78463V957     816        2,800 Shs Put  Sole       None                 2,800               0
SPDR GOLD TRUST           COMMON STOCK 78463V907   1,309        2,536 Shs Call Sole       None                 2,536               0
SPDR GOLD TRUST           COMMON STOCK 78463V107  44,262      280,000 Shs      Sole       None               280,000               0
SPN FAIRWAY
ACQUISITION INC           COMMON STOCK 20453E109  61,917    3,284,743 Shs      Sole       None             2,842,802         441,941
ST JUDE MEDICAL INC       COMMON STOCK 790849103   2,354       65,038 Shs      Sole       None                65,038               0
ST MARY LAND &            CONVERTIBLE
EXPLORATION               SECURITY     792228AD0  47,602   39,018,000 Prn      Sole       None                37,001           2,017
                          CONVERTIBLE
                          PREFERRED
STANLEY BLACK &
 DECKER INC               SECURITY     854502309  14,684      142,232 Shs      Sole       None               142,232               0
                          CONVERTIBLE
STANLEY BLACK^DECKER      SECURITY     854616AM1  88,888   86,619,000 Prn      Sole       None                82,856           3,763
STARBUCKS CORP            COMMON STOCK 855244109  93,739    2,513,790 Shs      Sole       None             2,282,447         231,343
                          CONVERTIBLE
STEEL DYNAMICS            SECURITY     858119AP5  12,405   12,000,000 Prn      Sole       None                10,830           1,170
STEVEN MADDEN LTD         COMMON STOCK 556269108  36,587    1,215,500 Shs      Sole       None             1,215,500               0
STILLWATER MINING         COMMON STOCK 86074Q102  10,200    1,200,000 Shs      Sole       None             1,200,000               0
STRYKER CORP              COMMON STOCK 863667101   6,292      133,510 Shs      Sole       None               133,510               0
SUNCOR ENERGY             COMMON STOCK 867224107   4,011      157,654 Shs      Sole       None               151,059           6,595
SUPER MICRO COMPUTER INC  COMMON STOCK 86800U104     569       45,400 Shs      Sole       None                45,400               0
                          CONVERTIBLE
SUPERIOR ENERGY           SECURITY     78412FAH7  26,243   26,243,000 Prn      Sole       None                26,160              83
SYMANTEC CORP             COMMON STOCK 871503908   4,615       16,690 Shs Call Sole       None                16,690               0
SYMANTEC CORP             COMMON STOCK 871503108   6,272      384,780 Shs      Sole       None               377,780           7,000
                          CONVERTIBLE
SYMANTEC CORP             SECURITY     871503AF5 249,475  218,120,000 Prn      Sole       None               208,495           9,625
SYNCHRONOSS
  TECHNOLOGIES INC        COMMON STOCK 87157B103     344       13,800 Shs      Sole       None                13,800               0
T ROWE PRICE              COMMON STOCK 74144T108  78,486    1,642,997 Shs      Sole       None             1,441,463         201,534
                          CONVERTIBLE
TAKE-TWO INTER            SECURITY     874054AA7   5,259    3,860,000 Prn      Sole       None                 3,860               0
TARGET CORP               COMMON STOCK 87612E106   4,561       93,000 Shs      Sole       None                93,000               0
                          CONVERTIBLE
TECH DATA CORP            SECURITY     878237AE6  17,063   16,957,000 Prn      Sole       None                16,957               0
TEMPUR-PEDIC INTL INC     COMMON STOCK 88023U101  31,566      600,000 Shs      Sole       None               600,000               0
TERADATA CORP             COMMON STOCK 88076W103 143,210    2,675,329 Shs      Sole       None             2,542,388         132,941
                          CONVERTIBLE
TEREX CORP                SECURITY     880779AV5   7,378    7,500,000 Prn      Sole       None                 7,500               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}

TEVA PHARMACEUTICAL       CONVERTIBLE
 IND LTD                  SECURITY     88163VAE9  22,274   21,652,000 Prn      Sole       None                17,653           3,999
TEXAS INSTRUMENTS INC     COMMON STOCK 882508104   3,198      120,000 Shs      Sole       None               120,000               0
                          CONVERTIBLE
TEXTRON INC               SECURITY     883203BN0  22,631   15,000,000 Prn      Sole       None                15,000               0
THE FRESH MARKET          COMMON STOCK 35804H106     527       13,800 Shs      Sole       None                13,800               0
THERMO FISHER
 SCIENTIFIC INC           COMMON STOCK 883556102   7,849      155,000 Shs      Sole       None               155,000               0
TIBCO SOFTWARE            COMMON STOCK 88632Q103  33,988    1,518,000 Shs      Sole       None             1,518,000               0
TIM PARTICIPACOES SA      COMMON STOCK 88706P205  51,059    2,167,201 Shs      Sole       None             1,915,157         252,044
TIME WARNER CABLE         COMMON STOCK 88732J207   2,507       40,000 Shs      Sole       None                40,000               0
                          CONVERTIBLE
TIME WARNER TELECOM       SECURITY     887319AC5  47,131   42,846,000 Prn      Sole       None                40,729           2,117
TITAN INTL INC            COMMON STOCK 88830M102  19,800    1,320,000 Shs      Sole       None             1,320,000               0
TJX COMPANIES INC         COMMON STOCK 872540109   8,201      147,850 Shs      Sole       None               147,850               0
TRANSCEND SERVICES INC    COMMON STOCK 893929208     491       21,800 Shs      Sole       None                21,800               0
                          CONVERTIBLE
TRANSOCEAN INC - C        SECURITY     893830AW9   1,677    1,722,000 Prn      Sole       None                 1,722               0
TRAVELERS COMPANIES INC   COMMON STOCK 89417E109   8,430      173,000 Shs      Sole       None               173,000               0
                          CONVERTIBLE
TRINITY INDUSTRIES INC    SECURITY     896522AF6  74,782   82,746,000 Prn      Sole       None                80,190           2,556
                          CONVERTIBLE
TTM TECHNOLOGIES INC      SECURITY     87305RAC3   5,300    5,300,000 Prn      Sole       None                 5,300               0
TUPPERWARE BRANDS CORP    COMMON STOCK 899896104  22,097      411,181 Shs      Sole       None               296,513         114,668
                          CONVERTIBLE
TYSON FOODS  A            SECURITY     902494AP8  63,545   52,462,000 Prn      Sole       None                50,283           2,179
UNION PACIFIC CORP        COMMON STOCK 907818108   2,042       25,000 Shs      Sole       None                25,000               0
UNITED PARCEL SERVICE     COMMON STOCK 911312106   5,210       82,500 Shs      Sole       None                82,500               0
                          CONVERTIBLE
UNITED STATES STEEL CORP  SECURITY     912909AE8  15,713   15,000,000 Prn      Sole       None                15,000               0
UNITED TECHNOLOGIES CORP  COMMON STOCK 913017109 222,625    3,164,086 Shs      Sole       None             3,073,303          90,783
UNITEDHEALTH GROUP INC    COMMON STOCK 91324P102  11,530      250,000 Shs      Sole       None               250,000               0
US BANCORP                COMMON STOCK 902973304  14,771      627,500 Shs      Sole       None               627,500               0
                          CONVERTIBLE
                           PREFERRED
VALE SA                   SECURITY     91912F201   3,549       54,855 Shs      Sole       None                52,820           2,035
                          CONVERTIBLE
                          PREFERRED
VALE SA                   SECURITY     91912F300  32,206      477,120 Shs      Sole       None               477,120               0
VALERO ENERGY             COMMON STOCK 91913Y100  30,226    1,700,000 Shs      Sole       None             1,700,000               0
VALMONT INDUSTRIES        COMMON STOCK 920253101  23,382      300,000 Shs      Sole       None               300,000               0
                          CONVERTIBLE
VERIFONE HOLDINGS         SECURITY     92342YAB5  58,510   56,463,000 Prn      Sole       None                54,618           1,845
VERIFONE SYSTEMS INC      COMMON STOCK 92342Y109  62,106    1,773,432 Shs      Sole       None             1,590,865         182,567
                          CONVERTIBLE
VERISIGN INC              SECURITY     92343EAD4   2,820    2,748,000 Prn      Sole       None                 2,736              12
VERIZON COMM              COMMON STOCK 92343V104  36,690      997,000 Shs      Sole       None               997,000               0
                          CONVERTIBLE
VERTEX
 PHARMACEUTICALS INC      SECURITY     92532FAN0  36,292   31,490,000 Prn      Sole       None                31,490               0
VERTEX
 PHARMACEUTICALS INC      COMMON STOCK 92532F100 101,778    2,285,096 Shs      Sole       None             2,134,605         150,491
VIACOM INC                COMMON STOCK 92553P201   3,142       81,110 Shs      Sole       None                81,110               0
                          CONVERTIBLE
VIRGIN MEDIA INC          SECURITY     92769LAB7  10,234    6,800,000 Prn      Sole       None                 6,800               0
VITAMIN SHOPPE INC        COMMON STOCK 92849E101  13,041      348,327 Shs      Sole       None               348,327               0
VMWARE INC                COMMON STOCK 928563402  95,779    1,191,577 Shs      Sole       None             1,115,957          75,620
                          CONVERTIBLE
VOLCANO CORP              SECURITY     928645AA8  21,992   18,175,000 Prn      Sole       None                18,175               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
WABTEC                    COMMON STOCK 929740108  17,976      340,000 Shs      Sole       None               340,000               0
WADDELL & REED-A          COMMON STOCK 930059100  16,550      661,741 Shs      Sole       None               457,931         203,810
WALGREEN CO               COMMON STOCK 931422109   3,618      110,000 Shs      Sole       None               110,000               0
WAL-MART STORES INC       COMMON STOCK 931142103  95,089    1,832,154 Shs      Sole       None             1,789,204          42,950
WATSON
 PHARMACEUTICALS INC      COMMON STOCK 942683103  38,371      562,218 Shs      Sole       None               447,154         115,064
WEIGHT WATCHERS INTL INC  COMMON STOCK 948626106   5,904      101,359 Shs      Sole       None                98,659           2,700
WELLS FARGO & COMPANY     COMMON STOCK 949746101  20,428      846,926 Shs      Sole       None               846,926               0
                          CONVERTIBLE
                          PREFERRED
WELLS FARGO & COMPANY     SECURITY     949746804  76,973       74,510 Shs      Sole       None                74,287             223
WYNN RESORTS LTD          COMMON STOCK 983134107  16,931      147,128 Shs      Sole       None                98,163          48,965
                          CONVERTIBLE
XILINX INC                SECURITY     983919AD3  39,059   38,865,000 Prn      Sole       None                38,159             706
                          CONVERTIBLE
XILINX INC                SECURITY     983919AF8 190,158  166,440,000 Prn      Sole       None               159,640           6,800
YAHOO! INC                COMMON STOCK 984332106  74,499    5,661,025 Shs      Sole       None             5,474,025         187,000
YUM! BRANDS INC           COMMON STOCK 988498101   8,693      176,000 Shs      Sole       None               176,000               0
ZOLL MEDICAL CO           COMMON STOCK 989922109     328        8,700 Shs      Sole       None                 8,700               0
AFFILIATED MANAGERS GROUP COMMON STOCK 008252108     289        3,700 Shs      Other      American Beacon      3,700               0
                          CONVERTIBLE
ANIXTER INTL INC          SECURITY     035290AJ4     624      610,000 Prn      Other      American Beacon        610               0
                          CONVERTIBLE
                          PREFERRED
APACHE CORP               SECURITY     037411808     658       12,850 Shs      Other      American Beacon     12,850               0
AUTODESK INC              COMMON STOCK 052769106     403       14,500 Shs      Other      American Beacon     14,500               0
BAKER HUGHES              COMMON STOCK 057224107     323        7,000 Shs      Other      American Beacon      7,000               0
BARRICK GOLD CORP         COMMON STOCK 067901108     499       10,700 Shs      Other      American Beacon     10,700               0
                          CONVERTIBLE
CHESAPEAKE ENERGY CORP    SECURITY     165167BW6     728      700,000 Prn      Other      American Beacon        700               0
                          CONVERTIBLE
DANAHER CORP              SECURITY     235851AF9     452      370,000 Prn      Other      American Beacon        370               0
DELL INC                  COMMON STOCK 24702R101     354       25,000 Shs      Other      American Beacon     25,000               0
                          CONVERTIBLE
EMC CORP -MASS            SECURITY     268648AM4    1275      900,000 Prn      Other      American Beacon        900               0
EATON CORP                COMMON STOCK 278058102     383       10,800 Shs      Other      American Beacon     10,800               0
                          CONVERTIBLE
ENDO PHARMACEUT           SECURITY     29264FAB2     283      250,000 Prn      Other      American Beacon        250               0
                          CONVERTIBLE
FTI CONSULTING INC        SECURITY     302941AB5     370      300,000 Prn      Other      American Beacon        300               0
FREEPORT-MCMORAN
 COP^GOLD                 COMMON STOCK 35671D857     259        8,500 Shs      Other      American Beacon      8,500               0
                          CONVERTIBLE
GILEAD SCIENCES           SECURITY     375558AN3     380      350,000 Prn      Other      American Beacon        350               0
                          CONVERTIBLE
GOLDCORP INC              SECURITY     380956AB8     281      225,000 Prn      Other      American Beacon        225               0
                          CONVERTIBLE
HOLOGIC INC               SECURITY     436440AB7     686      660,000 Prn      Other      American Beacon        660               0
                          CONVERTIBLE
INTL GAME TECHNOLOGY      SECURITY     459902AQ5     404      350,000 Prn      Other      American Beacon        350               0
                          CONVERTIBLE
INTERPUBLIC GRP 4.75%     SECURITY     460690BE9      83       78,000 Prn      Other      American Beacon         78               0
                          CONVERTIBLE
LEUCADIA NATIONAL         SECURITY     527288AX2     297      250,000 Prn      Other      American Beacon        250               0
                          CONVERTIBLE
LIBERTY MEDIA             SECURITY     530715AR2     335      425,000 Prn      Other      American Beacon        425               0
                          CONVERTIBLE
LIBERTY                   SECURITY     530718AF2     405      375,000 Prn      Other      American Beacon        375               0
                          DECS,ACES,
METLIFE INC               PRIDES       59156R116     271        4,800 Shs      Other      American Beacon      4,800               0
MICROSOFT CORP            COMMON STOCK 594918104     299       12,000 Shs      Other      American Beacon     12,000               0
                          CONVERTIBLE
MYLAN LABORATORIES INC    SECURITY     628530AG2     707      705,000 Prn      Other      American Beacon        705               0
                          CONVERTIBLE
NAVISTAR INTL             SECURITY     63934EAL2     164      164,000 Prn      Other      American Beacon        164               0
                          CONVERTIBLE
NEWMONT MINING CORP       SECURITY     651639AH9     621      425,000 Prn      Other      American Beacon        425               0<br /><br />Column 1                  Column 2     Column 3  Column 4 Column 5             Column 6   Column 7                 Column 8
                                                                                                                 Voting Authority
                          Title of                Value   SHS or PRN      Call Investment
Name of Issuer            Class        CUSIP     (x1000)  Amount          /Put Discretion Other Managers Sole        Shared None
------------------------- ------------ --------- -------  --------------- ----  ---------- ------------- ----------- ------ --------
{S}                       {C}          {C}       {C}      {C}                  {C}        {C}            {C}         {C}    {C}
                          CONVERTIBLE
NEWMONT MINING CORP       SECURITY     651639AJ5     330      220,000 Prn      Other      American Beacon        220               0
                          CONVERTIBLE
NEWMONT MINING CORP       SECURITY     651639AK2      69       50,000 Prn      Other      American Beacon         50               0
OCCIDENTAL PETROLEUM CORP COMMON STOCK 674599105     379        5,300 Shs      Other      American Beacon      5,300               0
                          CONVERTIBLE
OMNICOM GRP               SECURITY     682134AA9     414      400,000 Prn      Other      American Beacon        400               0
                          CONVERTIBLE
ON SEMICONDUCTOR CORP     SECURITY     682189AG0     321      300,000 Prn      Other      American Beacon        300               0
ORACLE CORP               COMMON STOCK 68389X105     489       17,000 Shs      Other      American Beacon     17,000               0
T ROWE PRICE              COMMON STOCK 74144T108     368        7,700 Shs      Other      American Beacon      7,700               0
QUALCOMM INC              COMMON STOCK 747525103     734       15,100 Shs      Other      American Beacon     15,100               0
                          CONVERTIBLE
ROVI CORP                 SECURITY     779376AB8     310      267,000 Prn      Other      American Beacon        267               0
                          CONVERTIBLE
SANDISK CORP              SECURITY     80004CAD3    1075    1,025,000 Prn      Other      American Beacon      1,025               0
                          CONVERTIBLE
STANLEY BLACK^DECKER      SECURITY     854616AM1     282      275,000 Prn      Other      American Beacon        275               0
SUNCOR ENERGY             COMMON STOCK 867224107     280       11,000 Shs      Other      American Beacon     11,000               0
                          CONVERTIBLE
SYMANTEC CORP             SECURITY     871503AF5     755      660,000 Prn      Other      American Beacon        660               0
                          CONVERTIBLE
TYSON FOODS  A            SECURITY     902494AP8     363      300,000 Prn      Other      American Beacon        300               0
UNITED TECHNOLOGIES CORP  COMMON STOCK 913017109     151        2,150 Shs      Other      American Beacon      2,150               0
                          CONVERTIBLE
XILINX INC                SECURITY     983919AD3     151      150,000 Prn      Other      American Beacon        150               0
                          CONVERTIBLE
XILINX INC                SECURITY     983919AF8     600      525,000 Prn      Other      American Beacon        525               0
ACCENTURE PLC             COMMON STOCK G1151C101     409       7,770  Shs      Other      American Beacon      7,770               0
COVIDIEN PLC              COMMON STOCK G2554F113     331       7,500  Shs      Other      American Beacon      7,500               0