California State Teachers Retirement System

California State Teachers Retirement System as of Sept. 30, 2012

Portfolio Holdings for California State Teachers Retirement System

California State Teachers Retirement System holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing

                AS OF September 30, 2012.

{C}                            {C}    {C}    {C}          {C}            {C}        {C}{C}{C}     {C}          {C}    {C}    {C}
Security Name                  Class         Cusip        Fair Mkt       Shares     SHP/C Invmnt  Other        Voting Authority
                                                            Value                         Discret Mgr            Sole Shared None
                                                           (x1000)


1 800 FLOWERS.COM INC CL A     COMMON STOCK  68243Q106            176          47076SH       SOLE   0            47076
1ST SOURCE CORP                COMMON STOCK  336901103            596          26761SH       SOLE   0            26761
1ST UNITED BANCORP INC/NORTH   COMMON STOCK  33740N105            348          54001SH       SOLE   0            54001
3D SYSTEMS CORP                COMMON STOCK  88554D205           2778          84552SH       SOLE   0            84552
3M CO                          COMMON STOCK  88579Y101         115863        1253656SH       SOLE   0          1253656
8X8 INC                        COMMON STOCK  282914100            838         127682SH       SOLE   0           127682
A123 SYSTEMS INC               COMMON STOCK  03739T108             51         202997SH       SOLE   0           202997
AAON INC                       COMMON STOCK  000360206            661          33580SH       SOLE   0            33580
AAR CORP                       COMMON STOCK  000361105           1195          72796SH       SOLE   0            72796
AARON S INC                    COMMON STOCK  002535300           3821         137391SH       SOLE   0           137391
ABAXIS INC                     COMMON STOCK  002567105           1408          39192SH       SOLE   0            39192
ABBOTT LABORATORIES            COMMON STOCK  002824100         194897        2842725SH       SOLE   0          2842725
ABERCROMBIE + FITCH CO CL A    COMMON STOCK  002896207           5200         153297SH       SOLE   0           153297
ABIOMED INC                    COMMON STOCK  003654100           1268          60410SH       SOLE   0            60410
ABM INDUSTRIES INC             COMMON STOCK  000957100           1837          97053SH       SOLE   0            97053
ABRAXAS PETROLEUM CORP         COMMON STOCK  003830106            343         149165SH       SOLE   0           149165
ACACIA RESEARCH   ACACIA TEC   COMMON STOCK  003881307           2461          89801SH       SOLE   0            89801
ACADIA HEALTHCARE CO INC       COMMON STOCK  00404A109            991          41568SH       SOLE   0            41568
ACADIA REALTY TRUST            REIT          004239109           2067          83278SH       SOLE   0            83278
ACCELRYS INC                   COMMON STOCK  00430U103            869         100311SH       SOLE   0           100311
ACCENTURE PLC CL A             COMMON STOCK  G1151C101          81463        1163263SH       SOLE   0          1163263
ACCESS NATIONAL CORP           COMMON STOCK  004337101            182          13311SH       SOLE   0            13311
ACCO BRANDS CORP               COMMON STOCK  00081T108           1325         204103SH       SOLE   0           204103
ACCRETIVE HEALTH INC           COMMON STOCK  00438V103           1136         101770SH       SOLE   0           101770
ACCURAY INC                    COMMON STOCK  004397105            912         128829SH       SOLE   0           128829
ACCURIDE CORP                  COMMON STOCK  00439T206            398          85486SH       SOLE   0            85486
ACE LTD                        COMMON STOCK  H0023R105          46264         611952SH       SOLE   0           611952
ACETO CORP                     COMMON STOCK  004446100            458          48470SH       SOLE   0            48470
ACHILLION PHARMACEUTICALS      COMMON STOCK  00448Q201           1118         107403SH       SOLE   0           107403
ACI WORLDWIDE INC              COMMON STOCK  004498101           3037          71854SH       SOLE   0            71854
ACME PACKET INC                COMMON STOCK  004764106           1798         105120SH       SOLE   0           105120
ACORDA THERAPEUTICS INC        COMMON STOCK  00484M106           1856          72455SH       SOLE   0            72455
ACORN ENERGY INC               COMMON STOCK  004848107            289          32348SH       SOLE   0            32348
ACTIVE NETWORK INC/THE         COMMON STOCK  00506D100            879          70132SH       SOLE   0            70132
ACTIVISION BLIZZARD INC        COMMON STOCK  00507V109           8632         765263SH       SOLE   0           765263
ACTUANT CORP A                 COMMON STOCK  00508X203           3767         131625SH       SOLE   0           131625
ACTUATE CORP                   COMMON STOCK  00508B102            626          89057SH       SOLE   0            89057
ACUITY BRANDS INC              COMMON STOCK  00508Y102           4844          76540SH       SOLE   0            76540
ACURA PHARMACEUTICALS INC      COMMON STOCK  00509L703             38          21821SH       SOLE   0            21821
ACXIOM CORP                    COMMON STOCK  005125109           2536         138800SH       SOLE   0           138800
ADA ES INC                     COMMON STOCK  005208103            384          16277SH       SOLE   0            16277
ADAMS RESOURCES + ENERGY INC   COMMON STOCK  006351308            117           3834SH       SOLE   0             3834
ADOBE SYSTEMS INC              COMMON STOCK  00724F101          29095         896322SH       SOLE   0           896322
ADTRAN INC                     COMMON STOCK  00738A106           1988         115072SH       SOLE   0           115072
ADVANCE AUTO PARTS INC         COMMON STOCK  00751Y106           9088         132787SH       SOLE   0           132787
ADVANCED ENERGY INDUSTRIES     COMMON STOCK  007973100            885          71810SH       SOLE   0            71810
ADVANCED MICRO DEVICES         COMMON STOCK  007903107           3827        1135515SH       SOLE   0          1135515
ADVENT SOFTWARE INC            COMMON STOCK  007974108           1401          57009SH       SOLE   0            57009
ADVISORY BOARD CO/THE          COMMON STOCK  00762W107           2965          61987SH       SOLE   0            61987
AECOM TECHNOLOGY CORP          COMMON STOCK  00766T100           4316         203952SH       SOLE   0           203952
AEGERION PHARMACEUTICALS INC   COMMON STOCK  00767E102            668          45086SH       SOLE   0            45086
AEGION CORP                    COMMON STOCK  00770F104           1360          70970SH       SOLE   0            70970
AEP INDUSTRIES INC             COMMON STOCK  001031103            455           7502SH       SOLE   0             7502
AEROFLEX HOLDING CORP          COMMON STOCK  007767106            236          35583SH       SOLE   0            35583
AEROPOSTALE INC                COMMON STOCK  007865108           1986         146799SH       SOLE   0           146799
AEROVIRONMENT INC              COMMON STOCK  008073108            736          31354SH       SOLE   0            31354
AES CORP                       COMMON STOCK  00130H105          12717        1159239SH       SOLE   0          1159239
AETNA INC                      COMMON STOCK  00817Y108          24857         627706SH       SOLE   0           627706
AFC ENTERPRISES                COMMON STOCK  00104Q107           1083          44018SH       SOLE   0            44018
AFFILIATED MANAGERS GROUP      COMMON STOCK  008252108          11412          92783SH       SOLE   0            92783
AFFYMAX INC                    COMMON STOCK  00826A109           1375          65280SH       SOLE   0            65280
AFFYMETRIX INC                 COMMON STOCK  00826T108            553         127599SH       SOLE   0           127599
AFLAC INC                      COMMON STOCK  001055102          40452         844868SH       SOLE   0           844868
AG MORTGAGE INVESTMENT TRUST   COMMON STOCK  001228105            991          41050SH       SOLE   0            41050
AGCO CORP                      COMMON STOCK  001084102           8339         175626SH       SOLE   0           175626
AGENUS INC                     COMMON STOCK  00847G705            203          44035SH       SOLE   0            44035
AGILENT TECHNOLOGIES INC       COMMON STOCK  00846U101          24148         628036SH       SOLE   0           628036
AGILYSYS INC                   COMMON STOCK  00847J105            227          26347SH       SOLE   0            26347
AGL RESOURCES INC              COMMON STOCK  001204106           8672         211982SH       SOLE   0           211982
AGREE REALTY CORP              REIT          008492100            526          20634SH       SOLE   0            20634
AIR LEASE CORP                 COMMON STOCK  00912X302           2485         121817SH       SOLE   0           121817
AIR METHODS CORP               COMMON STOCK  009128307           2766          23170SH       SOLE   0            23170
AIR PRODUCTS + CHEMICALS INC   COMMON STOCK  009158106          31588         381953SH       SOLE   0           381953
AIR TRANSPORT SERVICES GROUP   COMMON STOCK  00922R105            422          96016SH       SOLE   0            96016
AIRCASTLE LTD                  COMMON STOCK  G0129K104           1202         106133SH       SOLE   0           106133
AIRGAS INC                     COMMON STOCK  009363102          10210         124061SH       SOLE   0           124061
AK STEEL HOLDING CORP          COMMON STOCK  001547108            958         199667SH       SOLE   0           199667
AKAMAI TECHNOLOGIES INC        COMMON STOCK  00971T101          12386         323740SH       SOLE   0           323740
AKORN INC                      COMMON STOCK  009728106           1358         102718SH       SOLE   0           102718
ALAMO GROUP INC                COMMON STOCK  011311107            422          12491SH       SOLE   0            12491
ALASKA AIR GROUP INC           COMMON STOCK  011659109           4504         128473SH       SOLE   0           128473
ALBANY INTL CORP CL A          COMMON STOCK  012348108           1096          49901SH       SOLE   0            49901
ALBEMARLE CORP                 COMMON STOCK  012653101           8489         161151SH       SOLE   0           161151
ALCOA INC                      COMMON STOCK  013817101          17056        1927201SH       SOLE   0          1927201
ALERE INC                      COMMON STOCK  01449J105           2830         145227SH       SOLE   0           145227
ALEXANDER + BALDWIN INC        COMMON STOCK  014491104           2253          76284SH       SOLE   0            76284
ALEXANDER S INC                REIT          014752109           1634           3823SH       SOLE   0             3823
ALEXANDRIA REAL ESTATE EQUIT   REIT          015271109           8247         112178SH       SOLE   0           112178
ALEXION PHARMACEUTICALS INC    COMMON STOCK  015351109          39705         347068SH       SOLE   0           347068
ALICO INC                      COMMON STOCK  016230104            200           6394SH       SOLE   0             6394
ALIGN TECHNOLOGY INC           COMMON STOCK  016255101           4798         129793SH       SOLE   0           129793
ALKERMES PLC                   COMMON STOCK  G01767105           4589         221161SH       SOLE   0           221161
ALLEGHANY CORP                 COMMON STOCK  017175100          10536          30543SH       SOLE   0            30543
ALLEGHENY TECHNOLOGIES INC     COMMON STOCK  01741R102           6173         193508SH       SOLE   0           193508
ALLEGIANT TRAVEL CO            COMMON STOCK  01748X102           1713          27029SH       SOLE   0            27029
ALLERGAN INC                   COMMON STOCK  018490102          50219         548365SH       SOLE   0           548365
ALLETE INC                     COMMON STOCK  018522300           2875          68888SH       SOLE   0            68888
ALLIANCE DATA SYSTEMS CORP     COMMON STOCK  018581108          12920          91019SH       SOLE   0            91019
ALLIANCE FINANCIAL CORP        COMMON STOCK  019205103            349           8668SH       SOLE   0             8668
ALLIANT ENERGY CORP            COMMON STOCK  018802108           8700         200516SH       SOLE   0           200516
ALLIANT TECHSYSTEMS INC        COMMON STOCK  018804104           2997          59812SH       SOLE   0            59812
ALLIED NEVADA GOLD CORP        COMMON STOCK  019344100           6342         162378SH       SOLE   0           162378
ALLIED WORLD ASSURANCE CO      COMMON STOCK  H01531104           5077          65722SH       SOLE   0            65722
ALLISON TRANSMISSION HOLDING   COMMON STOCK  01973R101            949          47150SH       SOLE   0            47150
ALLSCRIPTS HEALTHCARE SOLUTI   COMMON STOCK  01988P108           3849         309692SH       SOLE   0           309692
ALLSTATE CORP                  COMMON STOCK  020002101          35102         886194SH       SOLE   0           886194
ALMOST FAMILY INC              COMMON STOCK  020409108            317          14915SH       SOLE   0            14915
ALNYLAM PHARMACEUTICALS INC    COMMON STOCK  02043Q107           1573          83734SH       SOLE   0            83734
ALON USA ENERGY INC            COMMON STOCK  020520102            240          17551SH       SOLE   0            17551
ALPHA + OMEGA SEMICONDUCTOR    COMMON STOCK  G6331P104            267          31002SH       SOLE   0            31002
ALPHA NATURAL RESOURCES INC    COMMON STOCK  02076X102           2614         397934SH       SOLE   0           397934
ALPHATEC HOLDINGS INC          COMMON STOCK  02081G102            163          98505SH       SOLE   0            98505
ALTERA CORP                    COMMON STOCK  021441100          19811         582940SH       SOLE   0           582940
ALTERRA CAPITAL HOLDINGS LTD   COMMON STOCK  G0229R108           3709         154941SH       SOLE   0           154941
ALTRA HOLDINGS INC             COMMON STOCK  02208R106            886          48673SH       SOLE   0            48673
AMAG PHARMACEUTICALS INC       COMMON STOCK  00163U106            684          38545SH       SOLE   0            38545
AMAZON.COM INC                 COMMON STOCK  023135106         166236         653647SH       SOLE   0           653647
AMBIENT CORP                   COMMON STOCK  02318N201             26           4902SH       SOLE   0             4902
AMC NETWORKS INC A             COMMON STOCK  00164V103           4490         103166SH       SOLE   0           103166
AMCOL INTERNATIONAL CORP       COMMON STOCK  02341W103           1544          45567SH       SOLE   0            45567
AMDOCS LTD                     COMMON STOCK  G02602103          10056         304810SH       SOLE   0           304810
AMEDISYS INC                   COMMON STOCK  023436108            752          54464SH       SOLE   0            54464
AMER NATL BNKSHS/DANVILLE VA   COMMON STOCK  027745108            321          14195SH       SOLE   0            14195
AMERCO                         COMMON STOCK  023586100           1668          15679SH       SOLE   0            15679
AMEREN CORPORATION             COMMON STOCK  023608102          14322         438387SH       SOLE   0           438387
AMERESCO INC CL A              COMMON STOCK  02361E108            429          36366SH       SOLE   0            36366
AMERICA S CAR MART INC         COMMON STOCK  03062T105            659          14495SH       SOLE   0            14495
AMERICAN ASSETS TRUST INC      REIT          024013104           1601          59753SH       SOLE   0            59753
AMERICAN AXLE + MFG HOLDINGS   COMMON STOCK  024061103           1357         120436SH       SOLE   0           120436
AMERICAN CAMPUS COMMUNITIES    REIT          024835100           7273         165749SH       SOLE   0           165749
AMERICAN CAPITAL AGENCY CORP   REIT          02503X105          21348         617176SH       SOLE   0           617176
AMERICAN CAPITAL LTD           COMMON STOCK  02503Y103           6815         600945SH       SOLE   0           600945
AMERICAN CAPITAL MORTGAGE IN   REIT          02504A104           1647          65552SH       SOLE   0            65552
AMERICAN DG ENERGY INC         COMMON STOCK  025398108            120          46412SH       SOLE   0            46412
AMERICAN EAGLE OUTFITTERS      COMMON STOCK  02553E106           7464         354072SH       SOLE   0           354072
AMERICAN ELECTRIC POWER        COMMON STOCK  025537101          38447         874991SH       SOLE   0           874991
AMERICAN EQUITY INVT LIFE HL   COMMON STOCK  025676206           1259         108268SH       SOLE   0           108268
AMERICAN EXPRESS CO            COMMON STOCK  025816109         102862        1809043SH       SOLE   0          1809043
AMERICAN FINANCIAL GROUP INC   COMMON STOCK  025932104           5850         154349SH       SOLE   0           154349
AMERICAN GREETINGS CORP CL A   COMMON STOCK  026375105           1065          63388SH       SOLE   0            63388
AMERICAN INTERNATIONAL GROUP   COMMON STOCK  026874784          38194        1164817SH       SOLE   0          1164817
AMERICAN NATIONAL INSURANCE    COMMON STOCK  028591105            931          12963SH       SOLE   0            12963
AMERICAN PUBLIC EDUCATION      COMMON STOCK  02913V103           1187          32574SH       SOLE   0            32574
AMERICAN RAILCAR INDUSTRIES    COMMON STOCK  02916P103            484          17084SH       SOLE   0            17084
AMERICAN REALTY CAPITAL TRUS   REIT          02917L101           3359         286334SH       SOLE   0           286334
AMERICAN REPROGRAPHICS CO      COMMON STOCK  029263100            281          65832SH       SOLE   0            65832
AMERICAN SAFETY INS HOLDINGS   COMMON STOCK  G02995101            305          16336SH       SOLE   0            16336
AMERICAN SCIENCE + ENGINEERI   COMMON STOCK  029429107            999          15224SH       SOLE   0            15224
AMERICAN SOFTWARE INC CL A     COMMON STOCK  029683109            346          42388SH       SOLE   0            42388
AMERICAN STATES WATER CO       COMMON STOCK  029899101           1514          34075SH       SOLE   0            34075
AMERICAN SUPERCONDUCTOR CORP   COMMON STOCK  030111108            293          70665SH       SOLE   0            70665
AMERICAN TOWER CORP            REIT          03027X100          50894         712907SH       SOLE   0           712907
AMERICAN VANGUARD CORP         COMMON STOCK  030371108           1750          50300SH       SOLE   0            50300
AMERICAN WATER WORKS CO INC    COMMON STOCK  030420103          11801         318418SH       SOLE   0           318418
AMERICAN WOODMARK CORP         COMMON STOCK  030506109            349          17499SH       SOLE   0            17499
AMERIGROUP CORP                COMMON STOCK  03073T102           8009          87593SH       SOLE   0            87593
AMERIPRISE FINANCIAL INC       COMMON STOCK  03076C106          22391         394975SH       SOLE   0           394975
AMERIS BANCORP                 COMMON STOCK  03076K108            541          42978SH       SOLE   0            42978
AMERISAFE INC                  COMMON STOCK  03071H100            890          32809SH       SOLE   0            32809
AMERISOURCEBERGEN CORP         COMMON STOCK  03073E105          17690         456989SH       SOLE   0           456989
AMERISTAR CASINOS INC          COMMON STOCK  03070Q101           1061          59606SH       SOLE   0            59606
AMES NATIONAL CORP             COMMON STOCK  031001100            310          14873SH       SOLE   0            14873
AMETEK INC                     COMMON STOCK  031100100          15442         435590SH       SOLE   0           435590
AMGEN INC                      COMMON STOCK  031162100         118482        1405142SH       SOLE   0          1405142
AMICUS THERAPEUTICS INC        COMMON STOCK  03152W109            283          54494SH       SOLE   0            54494
AMKOR TECHNOLOGY INC           COMMON STOCK  031652100            587         133359SH       SOLE   0           133359
AMN HEALTHCARE SERVICES INC    COMMON STOCK  001744101            742          73749SH       SOLE   0            73749
AMPCO PITTSBURGH CORP          COMMON STOCK  032037103            283          15338SH       SOLE   0            15338
AMPHENOL CORP CL A             COMMON STOCK  032095101          17234         292691SH       SOLE   0           292691
AMPIO PHARMACEUTICALS INC      COMMON STOCK  03209T109            181          46288SH       SOLE   0            46288
AMREIT INC CLASS B             COMMON STOCK  03216B208            110           7400SH       SOLE   0             7400
AMSURG CORP                    COMMON STOCK  03232P405           1622          57142SH       SOLE   0            57142
AMTRUST FINANCIAL SERVICES     COMMON STOCK  032359309           1242          48491SH       SOLE   0            48491
AMYRIS INC                     COMMON STOCK  03236M101            187          54475SH       SOLE   0            54475
ANACOR PHARMACEUTICALS INC     COMMON STOCK  032420101            170          25834SH       SOLE   0            25834
ANADARKO PETROLEUM CORP        COMMON STOCK  032511107          63109         902586SH       SOLE   0           902586
ANADIGICS INC                  COMMON STOCK  032515108            176         126893SH       SOLE   0           126893
ANALOG DEVICES INC             COMMON STOCK  032654105          21125         539051SH       SOLE   0           539051
ANALOGIC CORP                  COMMON STOCK  032657207           1732          22155SH       SOLE   0            22155
ANAREN INC                     COMMON STOCK  032744104            502          25120SH       SOLE   0            25120
ANCESTRY.COM INC               COMMON STOCK  032803108           1572          52251SH       SOLE   0            52251
ANDERSONS INC/THE              COMMON STOCK  034164103           1265          33582SH       SOLE   0            33582
ANGIE S LIST INC               COMMON STOCK  034754101            680          64239SH       SOLE   0            64239
ANGIODYNAMICS INC              COMMON STOCK  03475V101            541          44365SH       SOLE   0            44365
ANIKA THERAPEUTICS INC         COMMON STOCK  035255108            320          21307SH       SOLE   0            21307
ANIXTER INTERNATIONAL INC      COMMON STOCK  035290105           2928          50955SH       SOLE   0            50955
ANN INC                        COMMON STOCK  035623107           3327          88175SH       SOLE   0            88175
ANNALY CAPITAL MANAGEMENT IN   REIT          035710409          29653        1760863SH       SOLE   0          1760863
ANNIE S INC                    COMMON STOCK  03600T104            406           9061SH       SOLE   0             9061
ANSYS INC                      COMMON STOCK  03662Q105          12352         168284SH       SOLE   0           168284
ANTARES PHARMA INC             COMMON STOCK  036642106            719         164814SH       SOLE   0           164814
ANWORTH MORTGAGE ASSET CORP    REIT          037347101           1685         247763SH       SOLE   0           247763
AOL INC                        COMMON STOCK  00184X105           5952         168945SH       SOLE   0           168945
AON PLC                        COMMON STOCK  G0408V102          30840         589781SH       SOLE   0           589781
APACHE CORP                    COMMON STOCK  037411105          61057         706111SH       SOLE   0           706111
APARTMENT INVT + MGMT CO  A    REIT          03748R101           6739         259307SH       SOLE   0           259307
APCO OIL AND GAS INTL INC      COMMON STOCK  G0471F109            266          16538SH       SOLE   0            16538
API TECHNOLOGIES CORP          COMMON STOCK  00187E203            167          58288SH       SOLE   0            58288
APOGEE ENTERPRISES INC         COMMON STOCK  037598109           1003          51107SH       SOLE   0            51107
APOLLO COMMERCIAL REAL ESTAT   REIT          03762U105            548          31592SH       SOLE   0            31592
APOLLO GROUP INC CL A          COMMON STOCK  037604105           5039         173463SH       SOLE   0           173463
APOLLO INVESTMENT CORP         COMMON STOCK  03761U106           2886         366656SH       SOLE   0           366656
APOLLO RESIDENTIAL MORTGAGE    COMMON STOCK  03763V102            964          43716SH       SOLE   0            43716
APPLE INC                      COMMON STOCK  037833100        1127248        1689368SH       SOLE   0          1689368
APPLIED INDUSTRIAL TECH INC    COMMON STOCK  03820C105           3160          76284SH       SOLE   0            76284
APPLIED MATERIALS INC          COMMON STOCK  038222105          25855        2315691SH       SOLE   0          2315691
APPLIED MICRO CIRCUITS CORP    COMMON STOCK  03822W406            568         112178SH       SOLE   0           112178
APPROACH RESOURCES INC         COMMON STOCK  03834A103           1812          60126SH       SOLE   0            60126
APTARGROUP INC                 COMMON STOCK  038336103           6218         120242SH       SOLE   0           120242
AQUA AMERICA INC               COMMON STOCK  03836W103           6222         251286SH       SOLE   0           251286
ARABIAN AMERICAN DEVELOPMENT   COMMON STOCK  038465100            352          35930SH       SOLE   0            35930
ARBITRON INC                   COMMON STOCK  03875Q108           1810          47746SH       SOLE   0            47746
ARCH CAPITAL GROUP LTD         COMMON STOCK  G0450A105          10198         244677SH       SOLE   0           244677
ARCH COAL INC                  COMMON STOCK  039380100           2428         383532SH       SOLE   0           383532
ARCHER DANIELS MIDLAND CO      COMMON STOCK  039483102          32337        1189739SH       SOLE   0          1189739
ARCTIC CAT INC                 COMMON STOCK  039670104            947          22842SH       SOLE   0            22842
ARDEN GROUP INC A              COMMON STOCK  039762109            193           1993SH       SOLE   0             1993
ARENA PHARMACEUTICALS INC      COMMON STOCK  040047102           3259         391670SH       SOLE   0           391670
ARES CAPITAL CORP              COMMON STOCK  04010L103           7681         448146SH       SOLE   0           448146
ARES COMMERCIAL REAL ESTATE    COMMON STOCK  04013V108            237          13866SH       SOLE   0            13866
ARGAN INC                      COMMON STOCK  04010E109            310          17775SH       SOLE   0            17775
ARGO GROUP INTERNATIONAL       COMMON STOCK  G0464B107           1508          46571SH       SOLE   0            46571
ARIAD PHARMACEUTICALS INC      COMMON STOCK  04033A100           7253         299407SH       SOLE   0           299407
ARIBA INC                      COMMON STOCK  04033V203           7937         177169SH       SOLE   0           177169
ARKANSAS BEST CORP             COMMON STOCK  040790107            363          45887SH       SOLE   0            45887
ARLINGTON ASSET INVESTMENT A   COMMON STOCK  041356205            474          19878SH       SOLE   0            19878
ARMOUR RESIDENTIAL REIT INC    REIT          042315101           4117         537507SH       SOLE   0           537507
ARMSTRONG WORLD INDUSTRIES     COMMON STOCK  04247X102           1771          38203SH       SOLE   0            38203
ARQULE INC                     COMMON STOCK  04269E107            544         106433SH       SOLE   0           106433
ARRAY BIOPHARMA INC            COMMON STOCK  04269X105            943         160983SH       SOLE   0           160983
ARRIS GROUP INC                COMMON STOCK  04269Q100           2612         204206SH       SOLE   0           204206
ARROW ELECTRONICS INC          COMMON STOCK  042735100           6793         201518SH       SOLE   0           201518
ARROW FINANCIAL CORP           COMMON STOCK  042744102            466       18641.52SH       SOLE   0         18641.52
ARTESIAN RESOURCES CORP CL A   COMMON STOCK  043113208            313          13462SH       SOLE   0            13462
ARTHROCARE CORP                COMMON STOCK  043136100           1619          49983SH       SOLE   0            49983
ARTHUR J GALLAGHER + CO        COMMON STOCK  363576109           7671         214147SH       SOLE   0           214147
ARTIO GLOBAL INVESTORS INC     COMMON STOCK  04315B107            166          55579SH       SOLE   0            55579
ARUBA NETWORKS INC             COMMON STOCK  043176106           4543         202028SH       SOLE   0           202028
ASBURY AUTOMOTIVE GROUP        COMMON STOCK  043436104           1406          50299SH       SOLE   0            50299
ASCENA RETAIL GROUP INC        COMMON STOCK  04351G101           4761         221940SH       SOLE   0           221940
ASCENT CAPITAL GROUP INC A     COMMON STOCK  043632108           1389          25710SH       SOLE   0            25710
ASHFORD HOSPITALITY TRUST      REIT          044103109            810          96389SH       SOLE   0            96389
ASHLAND INC                    COMMON STOCK  044209104          10149         141750SH       SOLE   0           141750
ASPEN INSURANCE HOLDINGS LTD   COMMON STOCK  G05384105           3940         129218SH       SOLE   0           129218
ASPEN TECHNOLOGY INC           COMMON STOCK  045327103           4370         169059SH       SOLE   0           169059
ASSET ACCEPTANCE CAPITAL       COMMON STOCK  04543P100            213          28528SH       SOLE   0            28528
ASSISTED LIVING CONCEPTS I A   COMMON STOCK  04544X300            266          34862SH       SOLE   0            34862
ASSOCIATED BANC CORP           COMMON STOCK  045487105           4139         314278SH       SOLE   0           314278
ASSOCIATED ESTATES REALTY CP   REIT          045604105           1355          89377SH       SOLE   0            89377
ASSURANT INC                   COMMON STOCK  04621X108           5463         146474SH       SOLE   0           146474
ASSURED GUARANTY LTD           COMMON STOCK  G0585R106           4217         309620SH       SOLE   0           309620
ASTA FUNDING INC               COMMON STOCK  046220109            166          17645SH       SOLE   0            17645
ASTEC INDUSTRIES INC           COMMON STOCK  046224101           1147          36301SH       SOLE   0            36301
ASTEX PHARMACEUTICALS          COMMON STOCK  04624B103            516         168139SH       SOLE   0           168139
ASTORIA FINANCIAL CORP         COMMON STOCK  046265104           1555         157416SH       SOLE   0           157416
ASTRONICS CORP                 COMMON STOCK  046433108            583          18937SH       SOLE   0            18937
AT CROSS CO CL A               COMMON STOCK  227478104            173          17334SH       SOLE   0            17334
AT+T INC                       COMMON STOCK  00206R102         399350       10592844SH       SOLE   0         10592844
ATHENAHEALTH INC               COMMON STOCK  04685W103           5948          64812SH       SOLE   0            64812
ATLANTIC POWER CORP            COMMON STOCK  04878Q863           3072         205341SH       SOLE   0           205341
ATLANTIC TELE NETWORK INC      COMMON STOCK  049079205            699          16268SH       SOLE   0            16268
ATLAS AIR WORLDWIDE HOLDINGS   COMMON STOCK  049164205           2465          47737SH       SOLE   0            47737
ATMEL CORP                     COMMON STOCK  049513104           4217         801747SH       SOLE   0           801747
ATMI INC                       COMMON STOCK  00207R101           1071          57667SH       SOLE   0            57667
ATMOS ENERGY CORP              COMMON STOCK  049560105           5822         162670SH       SOLE   0           162670
ATRICURE INC                   COMMON STOCK  04963C209            195          26262SH       SOLE   0            26262
ATRION CORPORATION             COMMON STOCK  049904105            624           2816SH       SOLE   0             2816
ATWOOD OCEANICS INC            COMMON STOCK  050095108           4681         102987SH       SOLE   0           102987
AUDIENCE INC                   COMMON STOCK  05070J102             68          10945SH       SOLE   0            10945
AUTHENTEC INC                  COMMON STOCK  052660107            644          80390SH       SOLE   0            80390
AUTODESK INC                   COMMON STOCK  052769106          13930         417429SH       SOLE   0           417429
AUTOMATIC DATA PROCESSING      COMMON STOCK  053015103          51837         883688SH       SOLE   0           883688
AUTONATION INC                 COMMON STOCK  05329W102           2768          63376SH       SOLE   0            63376
AUTOZONE INC                   COMMON STOCK  053332102          25413          68746SH       SOLE   0            68746
AUXILIUM PHARMACEUTICALS INC   COMMON STOCK  05334D107           2139          87455SH       SOLE   0            87455
AV HOMES INC                   COMMON STOCK  00234P102            264          17812SH       SOLE   0            17812
AVAGO TECHNOLOGIES LTD         COMMON STOCK  Y0486S104          15365         440704SH       SOLE   0           440704
AVALONBAY COMMUNITIES INC      REIT          053484101          23433         172314SH       SOLE   0           172314
AVANIR PHARMACEUTICALS INC A   COMMON STOCK  05348P401            784         245090SH       SOLE   0           245090
AVEO PHARMACEUTICALS INC       COMMON STOCK  053588109            731          70249SH       SOLE   0            70249
AVERY DENNISON CORP            COMMON STOCK  053611109           5958         187238SH       SOLE   0           187238
AVG TECHNOLOGIES               COMMON STOCK  N07831105            139          14486SH       SOLE   0            14486
AVIAT NETWORKS INC             COMMON STOCK  05366Y102            264         110748SH       SOLE   0           110748
AVID TECHNOLOGY INC            COMMON STOCK  05367P100            511          53989SH       SOLE   0            53989
AVIS BUDGET GROUP INC          COMMON STOCK  053774105           2949         191763SH       SOLE   0           191763
AVISTA CORP                    COMMON STOCK  05379B107           2729         106026SH       SOLE   0           106026
AVNET INC                      COMMON STOCK  053807103           7625         262115SH       SOLE   0           262115
AVON PRODUCTS INC              COMMON STOCK  054303102          12443         780125SH       SOLE   0           780125
AVX CORP                       COMMON STOCK  002444107            832          86775SH       SOLE   0            86775
AWARE INC/MASS                 COMMON STOCK  05453N100            138          21860SH       SOLE   0            21860
AXCELIS TECHNOLOGIES INC       COMMON STOCK  054540109            204         193893SH       SOLE   0           193893
AXIS CAPITAL HOLDINGS LTD      COMMON STOCK  G0692U109           6906         197776SH       SOLE   0           197776
AXT INC                        COMMON STOCK  00246W103            197          58177SH       SOLE   0            58177
AZZ INC                        COMMON STOCK  002474104           1731          45588SH       SOLE   0            45588
B+G FOODS INC                  COMMON STOCK  05508R106           2650          87439SH       SOLE   0            87439
B/E AEROSPACE INC              COMMON STOCK  073302101           7447         176880SH       SOLE   0           176880
BABCOCK + WILCOX CO/THE        COMMON STOCK  05615F102           5459         214320SH       SOLE   0           214320
BADGER METER INC               COMMON STOCK  056525108            955          26253SH       SOLE   0            26253
BAKER HUGHES INC               COMMON STOCK  057224107          35833         792250SH       SOLE   0           792250
BALCHEM CORP                   COMMON STOCK  057665200           1940          52831SH       SOLE   0            52831
BALDWIN + LYONS INC  CL B      COMMON STOCK  057755209            394          16479SH       SOLE   0            16479
BALL CORP                      COMMON STOCK  058498106          11976         283061SH       SOLE   0           283061
BALLY TECHNOLOGIES INC         COMMON STOCK  05874B107           3847          77881SH       SOLE   0            77881
BANCFIRST CORP                 COMMON STOCK  05945F103            499          11606SH       SOLE   0            11606
BANCO LATINOAMERICANO COME E   COMMON STOCK  P16994132           1128          51046SH       SOLE   0            51046
BANCORP INC/THE                COMMON STOCK  05969A105            537          52240SH       SOLE   0            52240
BANCORPSOUTH INC               COMMON STOCK  059692103           2514         170589SH       SOLE   0           170589
BANK MUTUAL CORP               COMMON STOCK  063750103            381          83750SH       SOLE   0            83750
BANK OF AMERICA CORP           COMMON STOCK  060505104         171925       19470516SH       SOLE   0         19470516
BANK OF HAWAII CORP            COMMON STOCK  062540109           3754          82288SH       SOLE   0            82288
BANK OF KENTUCKY FINL CORP     COMMON STOCK  062896105            295          10634SH       SOLE   0            10634
BANK OF MARIN BANCORP/CA       COMMON STOCK  063425102            413           9726SH       SOLE   0             9726
BANK OF NEW YORK MELLON CORP   COMMON STOCK  064058100          48744        2154927SH       SOLE   0          2154927
BANK OF THE OZARKS             COMMON STOCK  063904106           1818          52740SH       SOLE   0            52740
BANKFINANCIAL CORP             COMMON STOCK  06643P104            334          37997SH       SOLE   0            37997
BANKRATE INC                   COMMON STOCK  06647F102           1301          83474SH       SOLE   0            83474
BANKUNITED INC                 COMMON STOCK  06652K103           1546          62806SH       SOLE   0            62806
BANNER CORPORATION             COMMON STOCK  06652V208            941          34712SH       SOLE   0            34712
BAR HARBOR BANKSHARES          COMMON STOCK  066849100            250           7003SH       SOLE   0             7003
BARNES + NOBLE INC             COMMON STOCK  067774109            655          51214SH       SOLE   0            51214
BARNES GROUP INC               COMMON STOCK  067806109           2450          97966SH       SOLE   0            97966
BARRETT BUSINESS SVCS INC      COMMON STOCK  068463108            342          12606SH       SOLE   0            12606
BARRY (R.G.)                   COMMON STOCK  068798107            233          15793SH       SOLE   0            15793
BASIC ENERGY SERVICES INC      COMMON STOCK  06985P100            625          55735SH       SOLE   0            55735
BASSETT FURNITURE INDS         COMMON STOCK  070203104            254          20384SH       SOLE   0            20384
BAXTER INTERNATIONAL INC       COMMON STOCK  071813109          59943         994747SH       SOLE   0           994747
BAZAARVOICE INC                COMMON STOCK  073271108            284          18748SH       SOLE   0            18748
BB+T CORP                      COMMON STOCK  054937107          41855        1262224SH       SOLE   0          1262224
BBCN BANCORP INC               COMMON STOCK  073295107           1777         140914SH       SOLE   0           140914
BEACON ROOFING SUPPLY INC      COMMON STOCK  073685109           2413          84663SH       SOLE   0            84663
BEAM INC                       COMMON STOCK  073730103          16386         284776SH       SOLE   0           284776
BEASLEY BROADCAST GRP INC  A   COMMON STOCK  074014101             39           7912SH       SOLE   0             7912
BEAZER HOMES USA INC           COMMON STOCK  07556Q105            790         222401SH       SOLE   0           222401
BEBE STORES INC                COMMON STOCK  075571109            320          66751SH       SOLE   0            66751
BECTON DICKINSON AND CO        COMMON STOCK  075887109          28770         366214SH       SOLE   0           366214
BED BATH + BEYOND INC          COMMON STOCK  075896100          26462         420034SH       SOLE   0           420034
BEL FUSE INC CL B              COMMON STOCK  077347300            358          19148SH       SOLE   0            19148
BELDEN INC                     COMMON STOCK  077454106           3034          82269SH       SOLE   0            82269
BELO CORPORATION A             COMMON STOCK  080555105           1323         168949SH       SOLE   0           168949
BEMIS COMPANY                  COMMON STOCK  081437105           5861         186252SH       SOLE   0           186252
BENCHMARK ELECTRONICS INC      COMMON STOCK  08160H101           1591         104218SH       SOLE   0           104218
BENEFICIAL MUTUAL BANCORP IN   COMMON STOCK  08173R104            567          59356SH       SOLE   0            59356
BERKSHIRE BANCORP INC          COMMON STOCK  084597202             63           7687SH       SOLE   0             7687
BERKSHIRE HATHAWAY INC CL B    COMMON STOCK  084670702         283790        3217578SH       SOLE   0          3217578
BERKSHIRE HILLS BANCORP INC    COMMON STOCK  084680107            916          40036SH       SOLE   0            40036
BERRY PETROLEUM CO CLASS A     COMMON STOCK  085789105           3844          94616SH       SOLE   0            94616
BEST BUY CO INC                COMMON STOCK  086516101           8363         486525SH       SOLE   0           486525
BG MEDICINE INC                COMMON STOCK  08861T107             71          19400SH       SOLE   0            19400
BGC PARTNERS INC CL A          COMMON STOCK  05541T101            871         177793SH       SOLE   0           177793
BIG 5 SPORTING GOODS CORP      COMMON STOCK  08915P101            297          29896SH       SOLE   0            29896
BIG LOTS INC                   COMMON STOCK  089302103           3184         107634SH       SOLE   0           107634
BIGLARI HOLDINGS INC           COMMON STOCK  08986R101            814           2230SH       SOLE   0             2230
BILL BARRETT CORP              COMMON STOCK  06846N104           2152          86874SH       SOLE   0            86874
BIO RAD LABORATORIES A         COMMON STOCK  090572207           3910          36636SH       SOLE   0            36636
BIO REFERENCE LABS INC         COMMON STOCK  09057G602           1269          44388SH       SOLE   0            44388
BIOCRYST PHARMACEUTICALS INC   COMMON STOCK  09058V103            377          88858SH       SOLE   0            88858
BIODELIVERY SCIENCES INTL      COMMON STOCK  09060J106            242          38352SH       SOLE   0            38352
BIOGEN IDEC INC                COMMON STOCK  09062X103          64590         432824SH       SOLE   0           432824
BIOMARIN PHARMACEUTICAL INC    COMMON STOCK  09061G101           8888         220707SH       SOLE   0           220707
BIOMED REALTY TRUST INC        REIT          09063H107           5213         278477SH       SOLE   0           278477
BIOSCRIP INC                   COMMON STOCK  09069N108            723          79354SH       SOLE   0            79354
BIOSPECIFICS TECHNOLOGIES      COMMON STOCK  090931106            174           8977SH       SOLE   0             8977
BIOTIME INC                    COMMON STOCK  09066L105            231          54916SH       SOLE   0            54916
BJ S RESTAURANTS INC           COMMON STOCK  09180C106           2010          44332SH       SOLE   0            44332
BLACK BOX CORP                 COMMON STOCK  091826107            808          31679SH       SOLE   0            31679
BLACK DIAMOND INC              COMMON STOCK  09202G101            332          37848SH       SOLE   0            37848
BLACK HILLS CORP               COMMON STOCK  092113109           2833          79642SH       SOLE   0            79642
BLACKBAUD INC                  COMMON STOCK  09227Q100           1949          81498SH       SOLE   0            81498
BLACKROCK INC                  COMMON STOCK  09247X101          41022         230072SH       SOLE   0           230072
BLACKROCK KELSO CAPITAL CORP   COMMON STOCK  092533108           1291         132856SH       SOLE   0           132856
BLOOMIN  BRANDS INC            COMMON STOCK  094235108            546          33200SH       SOLE   0            33200
BLOUNT INTERNATIONAL INC       COMMON STOCK  095180105           1164          88462SH       SOLE   0            88462
BLUCORA INC                    COMMON STOCK  095229100           1288          72340SH       SOLE   0            72340
BLUE NILE INC                  COMMON STOCK  09578R103            832          22436SH       SOLE   0            22436
BLUEGREEN CORP                 COMMON STOCK  096231105            162          25830SH       SOLE   0            25830
BLUELINX HOLDINGS INC          COMMON STOCK  09624H109            102          43447SH       SOLE   0            43447
BLYTH INC                      COMMON STOCK  09643P207            487          18722SH       SOLE   0            18722
BMC SOFTWARE INC               COMMON STOCK  055921100          12077         291076SH       SOLE   0           291076
BOB EVANS FARMS                COMMON STOCK  096761101           2059          52614SH       SOLE   0            52614
BODY CENTRAL CORP              COMMON STOCK  09689U102            305          29199SH       SOLE   0            29199
BOEING CO/THE                  COMMON STOCK  097023105          94217        1353302SH       SOLE   0          1353302
BOFI HOLDING INC               COMMON STOCK  05566U108            466          17888SH       SOLE   0            17888
BOINGO WIRELESS INC            COMMON STOCK  09739C102            226          28427SH       SOLE   0            28427
BOISE INC                      COMMON STOCK  09746Y105           1590         181532SH       SOLE   0           181532
BOK FINANCIAL CORPORATION      COMMON STOCK  05561Q201           2748          46493SH       SOLE   0            46493
BOLT TECHNOLOGY CORP           COMMON STOCK  097698104            223          15519SH       SOLE   0            15519
BON TON STORES INC/THE         COMMON STOCK  09776J101            218          22914SH       SOLE   0            22914
BONANZA CREEK ENERGY INC       COMMON STOCK  097793103            421          17883SH       SOLE   0            17883
BOOZ ALLEN HAMILTON HOLDING    COMMON STOCK  099502106            610          44060SH       SOLE   0            44060
BORGWARNER INC                 COMMON STOCK  099724106          14313         207102SH       SOLE   0           207102
BOSTON BEER COMPANY INC A      COMMON STOCK  100557107           1581          14117SH       SOLE   0            14117
BOSTON PRIVATE FINL HOLDING    COMMON STOCK  101119105           1354         141205SH       SOLE   0           141205
BOSTON PROPERTIES INC          REIT          101121101          29941         270694SH       SOLE   0           270694
BOSTON SCIENTIFIC CORP         COMMON STOCK  101137107          14823        2582367SH       SOLE   0          2582367
BOTTOMLINE TECHNOLOGIES INC    COMMON STOCK  101388106           1559          63134SH       SOLE   0            63134
BOYD GAMING CORP               COMMON STOCK  103304101            709         100452SH       SOLE   0           100452
BPZ RESOURCES INC              COMMON STOCK  055639108            540         188891SH       SOLE   0           188891
BRADY CORPORATION   CL A       COMMON STOCK  104674106           2595          88642SH       SOLE   0            88642
BRANDYWINE REALTY TRUST        REIT          105368203           3155         258849SH       SOLE   0           258849
BRAVO BRIO RESTAURANT GROUP    COMMON STOCK  10567B109            513          35251SH       SOLE   0            35251
BRE PROPERTIES INC             REIT          05564E106           6499         138610SH       SOLE   0           138610
BRIDGE BANCORP INC             COMMON STOCK  108035106            363          15556SH       SOLE   0            15556
BRIDGE CAPITAL HOLDINGS        COMMON STOCK  108030107            260          16788SH       SOLE   0            16788
BRIDGEPOINT EDUCATION INC      COMMON STOCK  10807M105            320          31484SH       SOLE   0            31484
BRIGGS + STRATTON              COMMON STOCK  109043109           1642          87937SH       SOLE   0            87937
BRIGHTCOVE                     COMMON STOCK  10921T101            125          10732SH       SOLE   0            10732
BRIGHTPOINT INC                COMMON STOCK  109473405           1121         124835SH       SOLE   0           124835
BRINK S CO/THE                 COMMON STOCK  109696104           2193          85369SH       SOLE   0            85369
BRINKER INTERNATIONAL INC      COMMON STOCK  109641100           4806         136150SH       SOLE   0           136150
BRISTOL MYERS SQUIBB CO        COMMON STOCK  110122108         102995        3051696SH       SOLE   0          3051696
BRISTOW GROUP INC              COMMON STOCK  110394103           3264          64573SH       SOLE   0            64573
BROADCOM CORP CL A             COMMON STOCK  111320107          34425         995532SH       SOLE   0           995532
BROADRIDGE FINANCIAL SOLUTIO   COMMON STOCK  11133T103           5263         225610SH       SOLE   0           225610
BROADSOFT INC                  COMMON STOCK  11133B409           2037          49670SH       SOLE   0            49670
BROCADE COMMUNICATIONS SYS     COMMON STOCK  111621306           4902         828741SH       SOLE   0           828741
BROOKDALE SENIOR LIVING INC    COMMON STOCK  112463104           4078         175609SH       SOLE   0           175609
BROOKLINE BANCORP INC          COMMON STOCK  11373M107           1116         126497SH       SOLE   0           126497
BROOKS AUTOMATION INC          COMMON STOCK  114340102            962         119760SH       SOLE   0           119760
BROWN + BROWN INC              COMMON STOCK  115236101           5506         211194SH       SOLE   0           211194
BROWN FORMAN CORP CLASS B      COMMON STOCK  115637209          17653         270537SH       SOLE   0           270537
BROWN SHOE COMPANY INC         COMMON STOCK  115736100           1241          77427SH       SOLE   0            77427
BRUKER CORP                    COMMON STOCK  116794108           2204         168369SH       SOLE   0           168369
BRUNSWICK CORP                 COMMON STOCK  117043109           3651         161337SH       SOLE   0           161337
BRYN MAWR BANK CORP            COMMON STOCK  117665109            463          20641SH       SOLE   0            20641
BSB BANCORP INC/MA             COMMON STOCK  05573H108            192          14852SH       SOLE   0            14852
BUCKEYE TECHNOLOGIES INC       COMMON STOCK  118255108           2284          71233SH       SOLE   0            71233
BUCKLE INC/THE                 COMMON STOCK  118440106           2278          50139SH       SOLE   0            50139
BUFFALO WILD WINGS INC         COMMON STOCK  119848109           2876          33548SH       SOLE   0            33548
BUILDERS FIRSTSOURCE INC       COMMON STOCK  12008R107            421          81184SH       SOLE   0            81184
BUNGE LTD                      COMMON STOCK  G16962105          17677         263635SH       SOLE   0           263635
C + F FINANCIAL CORP           COMMON STOCK  12466Q104            228           5788SH       SOLE   0             5788
C+J ENERGY SERVICES INC        COMMON STOCK  12467B304           1602          80504SH       SOLE   0            80504
C.H. ROBINSON WORLDWIDE INC    COMMON STOCK  12541W209          17202         293804SH       SOLE   0           293804
CA INC                         COMMON STOCK  12673P105          16518         641091SH       SOLE   0           641091
CABELA S INC                   COMMON STOCK  126804301           4608          84279SH       SOLE   0            84279
CABLEVISION SYSTEMS NY GRP A   COMMON STOCK  12686C109           5760         363394SH       SOLE   0           363394
CABOT CORP                     COMMON STOCK  127055101           4188         114511SH       SOLE   0           114511
CABOT MICROELECTRONICS CORP    COMMON STOCK  12709P103           1496          42571SH       SOLE   0            42571
CABOT OIL + GAS CORP           COMMON STOCK  127097103          17020         379058SH       SOLE   0           379058
CACI INTERNATIONAL INC  CL A   COMMON STOCK  127190304           2121          40958SH       SOLE   0            40958
CADENCE DESIGN SYS INC         COMMON STOCK  127387108           6384         496205SH       SOLE   0           496205
CADENCE PHARMACEUTICALS INC    COMMON STOCK  12738T100            426         108615SH       SOLE   0           108615
CADIZ INC                      COMMON STOCK  127537207            228          23442SH       SOLE   0            23442
CAESARS ENTERTAINMENT CORP     COMMON STOCK  127686103            453          66572SH       SOLE   0            66572
CAFEPRESS INC                  COMMON STOCK  12769A103             75           8247SH       SOLE   0             8247
CAI INTERNATIONAL INC          COMMON STOCK  12477X106            475          23170SH       SOLE   0            23170
CAL DIVE INTERNATIONAL INC     COMMON STOCK  12802T101            266         173707SH       SOLE   0           173707
CAL MAINE FOODS INC            COMMON STOCK  128030202           1175          26135SH       SOLE   0            26135
CALAMOS ASSET MANAGEMENT A     COMMON STOCK  12811R104            405          34772SH       SOLE   0            34772
CALAMP CORP                    COMMON STOCK  128126109            425          51741SH       SOLE   0            51741
CALAVO GROWERS INC             COMMON STOCK  128246105            536          21438SH       SOLE   0            21438
CALGON CARBON CORP             COMMON STOCK  129603106           1472         102839SH       SOLE   0           102839
CALIFORNIA FIRST NATL BANCOR   COMMON STOCK  130222102             75           4053SH       SOLE   0             4053
CALIFORNIA WATER SERVICE GRP   COMMON STOCK  130788102           1412          75718SH       SOLE   0            75718
CALIX NETWORKS INC             COMMON STOCK  13100M509            454          70954SH       SOLE   0            70954
CALLAWAY GOLF COMPANY          COMMON STOCK  131193104            721         117503SH       SOLE   0           117503
CALLIDUS SOFTWARE INC          COMMON STOCK  13123E500            308          62402SH       SOLE   0            62402
CALLON PETROLEUM CO            COMMON STOCK  13123X102            438          71288SH       SOLE   0            71288
CALPINE CORP                   COMMON STOCK  131347304          12647         731036SH       SOLE   0           731036
CAMBREX CORP                   COMMON STOCK  132011107            628          53549SH       SOLE   0            53549
CAMDEN NATIONAL CORP           COMMON STOCK  133034108            515          13906SH       SOLE   0            13906
CAMDEN PROPERTY TRUST          REIT          133131102           9352         145017SH       SOLE   0           145017
CAMERON INTERNATIONAL CORP     COMMON STOCK  13342B105          24950         444986SH       SOLE   0           444986
CAMPBELL SOUP CO               COMMON STOCK  134429109          10990         315609SH       SOLE   0           315609
CAMPUS CREST COMMUNITIES INC   REIT          13466Y105            753          69685SH       SOLE   0            69685
CANTEL MEDICAL CORP            COMMON STOCK  138098108           1037          38310SH       SOLE   0            38310
CAPE BANCORP INC               COMMON STOCK  139209100            190          20311SH       SOLE   0            20311
CAPELLA EDUCATION CO           COMMON STOCK  139594105            853          24336SH       SOLE   0            24336
CAPITAL BANK FINANCIAL CL A    COMMON STOCK  139794101             98       5455.458SH       SOLE   0         5455.458
CAPITAL CITY BANK GROUP INC    COMMON STOCK  139674105            224          21059SH       SOLE   0            21059
CAPITAL ONE FINANCIAL CORP     COMMON STOCK  14040H105          59775        1048493SH       SOLE   0          1048493
CAPITAL SENIOR LIVING CORP     COMMON STOCK  140475104            736          50870SH       SOLE   0            50870
CAPITAL SOUTHWEST CORP         COMMON STOCK  140501107            602           5376SH       SOLE   0             5376
CAPITALSOURCE INC              COMMON STOCK  14055X102           3178         419322SH       SOLE   0           419322
CAPITOL FEDERAL FINANCIAL IN   COMMON STOCK  14057J101           3544         296341SH       SOLE   0           296341
CAPLEASE INC                   REIT          140288101            623         120587SH       SOLE   0           120587
CAPSTEAD MORTGAGE CORP         REIT          14067E506           2405         178254SH       SOLE   0           178254
CAPSTONE TURBINE CORP          COMMON STOCK  14067D102            539         539255SH       SOLE   0           539255
CARBO CERAMICS INC             COMMON STOCK  140781105           2242          35625SH       SOLE   0            35625
CARBONITE INC                  COMMON STOCK  141337105            142          20323SH       SOLE   0            20323
CARDINAL FINANCIAL CORP        COMMON STOCK  14149F109            755          52804SH       SOLE   0            52804
CARDINAL HEALTH INC            COMMON STOCK  14149Y108          24368         625289SH       SOLE   0           625289
CARDIOVASCULAR SYSTEMS INC     COMMON STOCK  141619106            350          30288SH       SOLE   0            30288
CARDTRONICS INC                COMMON STOCK  14161H108           2373          79695SH       SOLE   0            79695
CAREER EDUCATION CORP          COMMON STOCK  141665109            353          93572SH       SOLE   0            93572
CAREFUSION CORP                COMMON STOCK  14170T101          11383         400962SH       SOLE   0           400962
CARIBOU COFFEE CO INC          COMMON STOCK  142042209            524          38141SH       SOLE   0            38141
CARLISLE COS INC               COMMON STOCK  142339100           5826         112206SH       SOLE   0           112206
CARMAX INC                     COMMON STOCK  143130102          11668         412303SH       SOLE   0           412303
CARMIKE CINEMAS INC            COMMON STOCK  143436400            360          32030SH       SOLE   0            32030
CARNIVAL CORP                  COMMON STOCK  143658300          27360         750825SH       SOLE   0           750825
CARPENTER TECHNOLOGY           COMMON STOCK  144285103           4196          80192SH       SOLE   0            80192
CARRIAGE SERVICES INC          COMMON STOCK  143905107            277          28651SH       SOLE   0            28651
CARRIZO OIL + GAS INC          COMMON STOCK  144577103           1789          71543SH       SOLE   0            71543
CARROLS RESTAURANT GROUP INC   COMMON STOCK  14574X104            158          27445SH       SOLE   0            27445
CARTER S INC                   COMMON STOCK  146229109           4709          87471SH       SOLE   0            87471
CASCADE BANCORP                COMMON STOCK  147154207             58          10935SH       SOLE   0            10935
CASCADE CORP                   COMMON STOCK  147195101            909          16611SH       SOLE   0            16611
CASELLA WASTE SYSTEMS INC A    COMMON STOCK  147448104            201          46969SH       SOLE   0            46969
CASEY S GENERAL STORES INC     COMMON STOCK  147528103           3932          68810SH       SOLE   0            68810
CASH AMERICA INTL INC          COMMON STOCK  14754D100           2045          53028SH       SOLE   0            53028
CASS INFORMATION SYSTEMS INC   COMMON STOCK  14808P109            703          16761SH       SOLE   0            16761
CASTLE (A.M.) + CO             COMMON STOCK  148411101            377          30206SH       SOLE   0            30206
CASUAL MALE RETAIL GROUP INC   COMMON STOCK  148711302            351          75890SH       SOLE   0            75890
CATAMARAN CORP                 COMMON STOCK  148887102          18105         184802SH       SOLE   0           184802
CATERPILLAR INC                COMMON STOCK  149123101         101436        1178935SH       SOLE   0          1178935
CATHAY GENERAL BANCORP         COMMON STOCK  149150104           2454         142179SH       SOLE   0           142179
CATO CORP CLASS A              COMMON STOCK  149205106           1472          49550SH       SOLE   0            49550
CAVCO INDUSTRIES INC           COMMON STOCK  149568107            573          12484SH       SOLE   0            12484
CAVIUM INC                     COMMON STOCK  14964U108           2994          89829SH       SOLE   0            89829
CBEYOND INC                    COMMON STOCK  149847105            484          49069SH       SOLE   0            49069
CBIZ INC                       COMMON STOCK  124805102            413          68618SH       SOLE   0            68618
CBL + ASSOCIATES PROPERTIES    REIT          124830100           5730         268517SH       SOLE   0           268517
CBOE HOLDINGS INC              COMMON STOCK  12503M108           4649         158035SH       SOLE   0           158035
CBRE GROUP INC   A             COMMON STOCK  12504L109          10912         592710SH       SOLE   0           592710
CBS CORP CLASS B NON VOTING    COMMON STOCK  124857202          42543        1171010SH       SOLE   0          1171010
CDI CORP                       COMMON STOCK  125071100            421          24702SH       SOLE   0            24702
CEC ENTERTAINMENT INC          COMMON STOCK  125137109            996          33065SH       SOLE   0            33065
CECO ENVIRONMENTAL CORP        COMMON STOCK  125141101            126          12926SH       SOLE   0            12926
CEDAR REALTY TRUST INC         REIT          150602209            572         108284SH       SOLE   0           108284
CELADON GROUP INC              COMMON STOCK  150838100            581          36169SH       SOLE   0            36169
CELANESE CORP SERIES A         COMMON STOCK  150870103          10713         282593SH       SOLE   0           282593
CELGENE CORP                   COMMON STOCK  151020104          60802         795833SH       SOLE   0           795833
CELLDEX THERAPEUTICS INC       COMMON STOCK  15117B103            669         106135SH       SOLE   0           106135
CEMPRA INC                     COMMON STOCK  15130J109             56           7564SH       SOLE   0             7564
CENTENE CORP                   COMMON STOCK  15135B101           3480          93029SH       SOLE   0            93029
CENTER BANCORP INC             COMMON STOCK  151408101            256          21500SH       SOLE   0            21500
CENTERPOINT ENERGY INC         COMMON STOCK  15189T107          16444         771997SH       SOLE   0           771997
CENTERSTATE BANKS INC          COMMON STOCK  15201P109            485          54367SH       SOLE   0            54367
CENTRAL EURO DISTRIBUTION CP   COMMON STOCK  153435102            338         118768SH       SOLE   0           118768
CENTRAL EUROPEAN MEDIA ENT A   COMMON STOCK  G20045202            432          66385SH       SOLE   0            66385
CENTRAL GARDEN AND PET CO A    COMMON STOCK  153527205            842          69688SH       SOLE   0            69688
CENTRAL PACIFIC FINANCIAL CO   COMMON STOCK  154760409            559          39069SH       SOLE   0            39069
CENTURY ALUMINUM COMPANY       COMMON STOCK  156431108            665          92953SH       SOLE   0            92953
CENTURY BANCORP INC  CL A      COMMON STOCK  156432106            200           6253SH       SOLE   0             6253
CENTURYLINK INC                COMMON STOCK  156700106          45344        1122366SH       SOLE   0          1122366
CENVEO INC                     COMMON STOCK  15670S105            223          97191SH       SOLE   0            97191
CEPHEID INC                    COMMON STOCK  15670R107           4091         118533SH       SOLE   0           118533
CERADYNE INC                   COMMON STOCK  156710105           1072          43890SH       SOLE   0            43890
CERES INC                      COMMON STOCK  156773103             61          10746SH       SOLE   0            10746
CERNER CORP                    COMMON STOCK  156782104          20260         261728SH       SOLE   0           261728
CERUS CORP                     COMMON STOCK  157085101            334          98355SH       SOLE   0            98355
CEVA INC                       COMMON STOCK  157210105            603          41945SH       SOLE   0            41945
CF INDUSTRIES HOLDINGS INC     COMMON STOCK  125269100          26356         118593SH       SOLE   0           118593
CH ENERGY GROUP INC            COMMON STOCK  12541M102           1760          26990SH       SOLE   0            26990
CHARLES RIVER LABORATORIES     COMMON STOCK  159864107           3506          88541SH       SOLE   0            88541
CHART INDUSTRIES INC           COMMON STOCK  16115Q308           3993          54063SH       SOLE   0            54063
CHARTER COMMUNICATION A        COMMON STOCK  16117M305           6611          88068SH       SOLE   0            88068
CHARTER FINANCIAL CORP         COMMON STOCK  16122M100            116          11849SH       SOLE   0            11849
CHASE CORP                     COMMON STOCK  16150R104            212          11540SH       SOLE   0            11540
CHATHAM LODGING TRUST          REIT          16208T102            349          25109SH       SOLE   0            25109
CHECKPOINT SYSTEMS INC         COMMON STOCK  162825103            605          73020SH       SOLE   0            73020
CHEESECAKE FACTORY INC/THE     COMMON STOCK  163072101           3487          97548SH       SOLE   0            97548
CHEFS  WAREHOUSE INC/THE       COMMON STOCK  163086101            326          19924SH       SOLE   0            19924
CHEMED CORP                    COMMON STOCK  16359R103           2406          34724SH       SOLE   0            34724
CHEMICAL FINANCIAL CORP        COMMON STOCK  163731102           1202          49660SH       SOLE   0            49660
CHEMOCENTRYX INC               COMMON STOCK  16383L106            114           9838SH       SOLE   0             9838
CHEMTURA CORP                  COMMON STOCK  163893209           3070         178294SH       SOLE   0           178294
CHENIERE ENERGY INC            COMMON STOCK  16411R208           6023         387338SH       SOLE   0           387338
CHEROKEE INC                   COMMON STOCK  16444H102            221          15184SH       SOLE   0            15184
CHESAPEAKE ENERGY CORP         COMMON STOCK  165167107          22582        1196714SH       SOLE   0          1196714
CHESAPEAKE LODGING TRUST       REIT          165240102           1421          71513SH       SOLE   0            71513
CHESAPEAKE UTILITIES CORP      COMMON STOCK  165303108            821          17332SH       SOLE   0            17332
CHEVRON CORP                   COMMON STOCK  166764100         415424        3564033SH       SOLE   0          3564033
CHICAGO BRIDGE + IRON NY SHR   COMMON STOCK  167250109           6674         175208SH       SOLE   0           175208
CHICO S FAS INC                COMMON STOCK  168615102           5487         302991SH       SOLE   0           302991
CHILDREN S PLACE               COMMON STOCK  168905107           2632          43865SH       SOLE   0            43865
CHIMERA INVESTMENT CORP        REIT          16934Q109           5031        1856333SH       SOLE   0          1856333
CHINDEX INTERNATIONAL INC      COMMON STOCK  169467107            216          20908SH       SOLE   0            20908
CHIPOTLE MEXICAN GRILL INC     COMMON STOCK  169656105          18189          57282SH       SOLE   0            57282
CHIQUITA BRANDS INTL           COMMON STOCK  170032809            634          82993SH       SOLE   0            82993
CHOICE HOTELS INTL INC         COMMON STOCK  169905106           1543          48246SH       SOLE   0            48246
CHUBB CORP                     COMMON STOCK  171232101          37207         487764SH       SOLE   0           487764
CHURCH + DWIGHT CO INC         COMMON STOCK  171340102          13547         250911SH       SOLE   0           250911
CHURCHILL DOWNS INC            COMMON STOCK  171484108           1474          23495SH       SOLE   0            23495
CHUY S HOLDINGS INC            COMMON STOCK  171604101            297          12100SH       SOLE   0            12100
CIBER INC                      COMMON STOCK  17163B102            457         131580SH       SOLE   0           131580
CIENA CORP                     COMMON STOCK  171779309           2436         179108SH       SOLE   0           179108
CIFC CORP                      COMMON STOCK  12547R105             85          11568SH       SOLE   0            11568
CIGNA CORP                     COMMON STOCK  125509109          24574         520963SH       SOLE   0           520963
CIMAREX ENERGY CO              COMMON STOCK  171798101           9070         154903SH       SOLE   0           154903
CINCINNATI BELL INC            COMMON STOCK  171871106           2031         356364SH       SOLE   0           356364
CINCINNATI FINANCIAL CORP      COMMON STOCK  172062101           9996         263805SH       SOLE   0           263805
CINEMARK HOLDINGS INC          COMMON STOCK  17243V102           4656         207559SH       SOLE   0           207559
CINTAS CORP                    COMMON STOCK  172908105           8232         198596SH       SOLE   0           198596
CIRCOR INTERNATIONAL INC       COMMON STOCK  17273K109           1185          31398SH       SOLE   0            31398
CIRRUS LOGIC INC               COMMON STOCK  172755100           4473         116526SH       SOLE   0           116526
CISCO SYSTEMS INC              COMMON STOCK  17275R102         184760        9678368SH       SOLE   0          9678368
CIT GROUP INC                  COMMON STOCK  125581801          14290         362777SH       SOLE   0           362777
CITI TRENDS INC                COMMON STOCK  17306X102            338          26951SH       SOLE   0            26951
CITIGROUP INC                  COMMON STOCK  172967424         173337        5297588SH       SOLE   0          5297588
CITIZENS + NORTHERN CORP       COMMON STOCK  172922106            433          22073SH       SOLE   0            22073
CITIZENS INC                   COMMON STOCK  174740100            737          70272SH       SOLE   0            70272
CITIZENS REPUBLIC BANCORP IN   COMMON STOCK  174420307           1400          72347SH       SOLE   0            72347
CITRIX SYSTEMS INC             COMMON STOCK  177376100          25759         336415SH       SOLE   0           336415
CITY HOLDING CO                COMMON STOCK  177835105            953          26580SH       SOLE   0            26580
CITY NATIONAL CORP             COMMON STOCK  178566105           4340          84263SH       SOLE   0            84263
CLARCOR INC                    COMMON STOCK  179895107           4051          90759SH       SOLE   0            90759
CLAYTON WILLIAMS ENERGY INC    COMMON STOCK  969490101            555          10700SH       SOLE   0            10700
CLEAN ENERGY FUELS CORP        COMMON STOCK  184499101           1572         119344SH       SOLE   0           119344
CLEAN HARBORS INC              COMMON STOCK  184496107           4190          85772SH       SOLE   0            85772
CLEAR CHANNEL OUTDOOR CL A     COMMON STOCK  18451C109            451          75408SH       SOLE   0            75408
CLEARWATER PAPER CORP          COMMON STOCK  18538R103           1747          42293SH       SOLE   0            42293
CLEARWIRE CORP CLASS A         COMMON STOCK  18538Q105            854         632893SH       SOLE   0           632893
CLECO CORPORATION              COMMON STOCK  12561W105           4622         110110SH       SOLE   0           110110
CLIFFS NATURAL RESOURCES INC   COMMON STOCK  18683K101          10073         257415SH       SOLE   0           257415
CLIFTON SAVINGS BANCORP INC    COMMON STOCK  18712Q103            170          15478SH       SOLE   0            15478
CLOROX COMPANY                 COMMON STOCK  189054109          16934         235025SH       SOLE   0           235025
CLOUD PEAK ENERGY INC          COMMON STOCK  18911Q102           1997         110320SH       SOLE   0           110320
CLOVIS ONCOLOGY INC            COMMON STOCK  189464100            504          24650SH       SOLE   0            24650
CME GROUP INC                  COMMON STOCK  12572Q105          34404         600425SH       SOLE   0           600425
CMS ENERGY CORP                COMMON STOCK  125896100          11131         472641SH       SOLE   0           472641
CNA FINANCIAL CORP             COMMON STOCK  126117100           1277          47645SH       SOLE   0            47645
CNB FINANCIAL CORP/PA          COMMON STOCK  126128107            394          22475SH       SOLE   0            22475
CNH GLOBAL N.V.                COMMON STOCK  N20935206           1948          50247SH       SOLE   0            50247
CNO FINANCIAL GROUP INC        COMMON STOCK  12621E103           3697         383059SH       SOLE   0           383059
COACH INC                      COMMON STOCK  189754104          29084         519174SH       SOLE   0           519174
COBALT INTERNATIONAL ENERGY    COMMON STOCK  19075F106           7404         332456SH       SOLE   0           332456
COBIZ FINANCIAL INC            COMMON STOCK  190897108            442          63073SH       SOLE   0            63073
COCA COLA BOTTLING CO CONSOL   COMMON STOCK  191098102            571           8381SH       SOLE   0             8381
COCA COLA CO/THE               COMMON STOCK  191216100         266217        7018644SH       SOLE   0          7018644
COCA COLA ENTERPRISES          COMMON STOCK  19122T109          16952         542123SH       SOLE   0           542123
CODEXIS INC                    COMMON STOCK  192005106            143          47165SH       SOLE   0            47165
COEUR D ALENE MINES CORP       COMMON STOCK  192108504           4683         162439SH       SOLE   0           162439
COGENT COMMUNICATIONS GROUP    COMMON STOCK  19239V302           1945          84599SH       SOLE   0            84599
COGNEX CORP                    COMMON STOCK  192422103           2677          77416SH       SOLE   0            77416
COGNIZANT TECH SOLUTIONS A     COMMON STOCK  192446102          38464         550108SH       SOLE   0           550108
COHEN + STEERS INC             COMMON STOCK  19247A100            988          33349SH       SOLE   0            33349
COHERENT INC                   COMMON STOCK  192479103           1960          42740SH       SOLE   0            42740
COHU INC                       COMMON STOCK  192576106            414          44048SH       SOLE   0            44048
COINSTAR INC                   COMMON STOCK  19259P300           2543          56544SH       SOLE   0            56544
COLEMAN CABLE INC              COMMON STOCK  193459302            151          15634SH       SOLE   0            15634
COLFAX CORP                    COMMON STOCK  194014106           2889          78793SH       SOLE   0            78793
COLGATE PALMOLIVE CO           COMMON STOCK  194162103          92446         862212SH       SOLE   0           862212
COLLECTIVE BRANDS INC          COMMON STOCK  19421W100           2389         110059SH       SOLE   0           110059
COLLECTORS UNIVERSE            COMMON STOCK  19421R200            136           9680SH       SOLE   0             9680
COLONIAL PROPERTIES TRUST      REIT          195872106           3343         158831SH       SOLE   0           158831
COLONY FINANCIAL INC           REIT          19624R106           1450          74454SH       SOLE   0            74454
COLUMBIA BANKING SYSTEM INC    COMMON STOCK  197236102           1330          71717SH       SOLE   0            71717
COLUMBIA SPORTSWEAR CO         COMMON STOCK  198516106           1194          22106SH       SOLE   0            22106
COLUMBUS MCKINNON CORP/NY      COMMON STOCK  199333105            530          35050SH       SOLE   0            35050
COMCAST CORP CLASS A           COMMON STOCK  20030N101         173546        4851708SH       SOLE   0          4851708
COMERICA INC                   COMMON STOCK  200340107          11033         355321SH       SOLE   0           355321
COMFORT SYSTEMS USA INC        COMMON STOCK  199908104            738          67541SH       SOLE   0            67541
COMMERCE BANCSHARES INC        COMMON STOCK  200525103           5471         135667SH       SOLE   0           135667
COMMERCIAL METALS CO           COMMON STOCK  201723103           2765         209502SH       SOLE   0           209502
COMMERCIAL VEHICLE GROUP INC   COMMON STOCK  202608105            324          44022SH       SOLE   0            44022
COMMONWEALTH REIT              REIT          203233101           2203         151275SH       SOLE   0           151275
COMMUNITY BANK SYSTEM INC      COMMON STOCK  203607106           2010          71302SH       SOLE   0            71302
COMMUNITY HEALTH SYSTEMS INC   COMMON STOCK  203668108           4786         164258SH       SOLE   0           164258
COMMUNITY TRUST BANCORP INC    COMMON STOCK  204149108            898          25260SH       SOLE   0            25260
COMMVAULT SYSTEMS INC          COMMON STOCK  204166102           4735          80662SH       SOLE   0            80662
COMPASS MINERALS INTERNATION   COMMON STOCK  20451N101           4453          59702SH       SOLE   0            59702
COMPUTER PROGRAMS + SYSTEMS    COMMON STOCK  205306103           1113          20033SH       SOLE   0            20033
COMPUTER SCIENCES CORP         COMMON STOCK  205363104           9033         280426SH       SOLE   0           280426
COMPUTER TASK GROUP INC        COMMON STOCK  205477102            447          27598SH       SOLE   0            27598
COMPUWARE CORP                 COMMON STOCK  205638109           3900         393556SH       SOLE   0           393556
COMPX INTERNATIONAL INC        COMMON STOCK  20563P101             31           2048SH       SOLE   0             2048
COMSCORE INC                   COMMON STOCK  20564W105            973          63810SH       SOLE   0            63810
COMSTOCK RESOURCES INC         COMMON STOCK  205768203           1597          86886SH       SOLE   0            86886
COMTECH TELECOMMUNICATIONS     COMMON STOCK  205826209            897          32445SH       SOLE   0            32445
COMVERSE TECHNOLOGY INC W/I    COMMON STOCK  205862402           2434         395827SH       SOLE   0           395827
CON WAY INC                    COMMON STOCK  205944101           2759         100816SH       SOLE   0           100816
CONAGRA FOODS INC              COMMON STOCK  205887102          20704         750401SH       SOLE   0           750401
CONCEPTUS INC                  COMMON STOCK  206016107           1150          56642SH       SOLE   0            56642
CONCHO RESOURCES INC           COMMON STOCK  20605P101          17812         187986SH       SOLE   0           187986
CONCUR TECHNOLOGIES INC        COMMON STOCK  206708109           6073          82366SH       SOLE   0            82366
CONMED CORP                    COMMON STOCK  207410101           1456          51104SH       SOLE   0            51104
CONN S INC                     COMMON STOCK  208242107            621          28168SH       SOLE   0            28168
CONNECTICUT WATER SVC INC      COMMON STOCK  207797101            500          15677SH       SOLE   0            15677
CONOCOPHILLIPS                 COMMON STOCK  20825C104         130640        2284718SH       SOLE   0          2284718
CONS TOMOKA LAND CO FLORIDA    COMMON STOCK  210226106            255           7760SH       SOLE   0             7760
CONSOL ENERGY INC              COMMON STOCK  20854P109          12354         411116SH       SOLE   0           411116
CONSOLIDATED COMMUNICATIONS    COMMON STOCK  209034107           1244          72362SH       SOLE   0            72362
CONSOLIDATED EDISON INC        COMMON STOCK  209115104          31694         529196SH       SOLE   0           529196
CONSOLIDATED GRAPHICS INC      COMMON STOCK  209341106            376          14419SH       SOLE   0            14419
CONSOLIDATED WATER CO ORD SH   COMMON STOCK  G23773107            217          26272SH       SOLE   0            26272
CONSTANT CONTACT INC           COMMON STOCK  210313102            956          54968SH       SOLE   0            54968
CONSTELLATION BRANDS INC A     COMMON STOCK  21036P108           8623         266560SH       SOLE   0           266560
CONTANGO OIL + GAS             COMMON STOCK  21075N204           1132          23046SH       SOLE   0            23046
CONTINENTAL RESOURCES INC/OK   COMMON STOCK  212015101           5862          76234SH       SOLE   0            76234
CONVERGYS CORP                 COMMON STOCK  212485106           3302         210753SH       SOLE   0           210753
COOPER COS INC/THE             COMMON STOCK  216648402           8085          85589SH       SOLE   0            85589
COOPER INDUSTRIES PLC          COMMON STOCK  G24140108          21573         287413SH       SOLE   0           287413
COOPER TIRE + RUBBER           COMMON STOCK  216831107           2159         112561SH       SOLE   0           112561
COPA HOLDINGS SA CLASS A       COMMON STOCK  P31076105           4853          59715SH       SOLE   0            59715
COPART INC                     COMMON STOCK  217204106           5104         184077SH       SOLE   0           184077
CORCEPT THERAPEUTICS INC       COMMON STOCK  218352102            248          88732SH       SOLE   0            88732
CORE MARK HOLDING CO INC       COMMON STOCK  218681104            993          20637SH       SOLE   0            20637
CORELOGIC INC                  COMMON STOCK  21871D103           5119         192948SH       SOLE   0           192948
CORESITE REALTY CORP           REIT          21870Q105           1001          37154SH       SOLE   0            37154
CORINTHIAN COLLEGES INC        COMMON STOCK  218868107            336         141377SH       SOLE   0           141377
CORNERSTONE ONDEMAND INC       COMMON STOCK  21925Y103           1864          60811SH       SOLE   0            60811
CORNERSTONE THERAPEUTICS INC   COMMON STOCK  21924P103             79          15436SH       SOLE   0            15436
CORNING INC                    COMMON STOCK  219350105          36055        2741861SH       SOLE   0          2741861
CORONADO BIOSCIENCES INC.      COMMON STOCK  21976U109            166          31930SH       SOLE   0            31930
CORPORATE EXECUTIVE BOARD CO   COMMON STOCK  21988R102           3248          60568SH       SOLE   0            60568
CORPORATE OFFICE PROPERTIES    REIT          22002T108           3119         130113SH       SOLE   0           130113
CORRECTIONS CORP OF AMERICA    COMMON STOCK  22025Y407           6043         180647SH       SOLE   0           180647
CORVEL CORP                    COMMON STOCK  221006109            495          11055SH       SOLE   0            11055
COSTAR GROUP INC               COMMON STOCK  22160N109           4157          50987SH       SOLE   0            50987
COSTCO WHOLESALE CORP          COMMON STOCK  22160K105          78368         782706SH       SOLE   0           782706
COURIER CORP                   COMMON STOCK  222660102            215          17556SH       SOLE   0            17556
COUSINS PROPERTIES INC         REIT          222795106           1315         165679SH       SOLE   0           165679
COVANCE INC                    COMMON STOCK  222816100           4677         100171SH       SOLE   0           100171
COVANTA HOLDING CORP           COMMON STOCK  22282E102           3374         196618SH       SOLE   0           196618
COVENTRY HEALTH CARE INC       COMMON STOCK  222862104          10081         241820SH       SOLE   0           241820
COVIDIEN PLC                   COMMON STOCK  G2554F113          51776         871357SH       SOLE   0           871357
COWEN GROUP INC CLASS A        COMMON STOCK  223622101            427         158050SH       SOLE   0           158050
CPI AEROSTRUCTURES INC         COMMON STOCK  125919308            130          11998SH       SOLE   0            11998
CR BARD INC                    COMMON STOCK  067383109          15865         151604SH       SOLE   0           151604
CRA INTERNATIONAL INC          COMMON STOCK  12618T105            324          18728SH       SOLE   0            18728
CRACKER BARREL OLD COUNTRY     COMMON STOCK  22410J106           2332          34744SH       SOLE   0            34744
CRAFT BREW ALLIANCE INC        COMMON STOCK  224122101            147          18737SH       SOLE   0            18737
CRANE CO                       COMMON STOCK  224399105           3528          88354SH       SOLE   0            88354
CRAWFORD + CO   CL B           COMMON STOCK  224633107            236          47199SH       SOLE   0            47199
CRAY INC                       COMMON STOCK  225223304            850          66916SH       SOLE   0            66916
CREDIT ACCEPTANCE CORP         COMMON STOCK  225310101           1226          14340SH       SOLE   0            14340
CREE INC                       COMMON STOCK  225447101           5358         209864SH       SOLE   0           209864
CRESCENT FINANCIAL BANCSHARE   COMMON STOCK  225743103             22           4934SH       SOLE   0             4934
CREXUS INVESTMENT CORP         REIT          226553105           1307         120938SH       SOLE   0           120938
CRIMSON EXPLORATION INC        COMMON STOCK  22662K207            164          38320SH       SOLE   0            38320
CROCS INC                      COMMON STOCK  227046109           2634         162473SH       SOLE   0           162473
CROSS COUNTRY HEALTHCARE INC   COMMON STOCK  227483104            231          48924SH       SOLE   0            48924
CROSSTEX ENERGY INC            COMMON STOCK  22765Y104           1033          73622SH       SOLE   0            73622
CROWN CASTLE INTL CORP         COMMON STOCK  228227104          33936         529418SH       SOLE   0           529418
CROWN HOLDINGS INC             COMMON STOCK  228368106           9886         269016SH       SOLE   0           269016
CROWN MEDIA HOLDINGS CLASS A   COMMON STOCK  228411104            104          62174SH       SOLE   0            62174
CRYOLIFE INC                   COMMON STOCK  228903100            335          49800SH       SOLE   0            49800
CSG SYSTEMS INTL INC           COMMON STOCK  126349109           1381          61400SH       SOLE   0            61400
CSS INDUSTRIES INC             COMMON STOCK  125906107            361          17562SH       SOLE   0            17562
CSX CORP                       COMMON STOCK  126408103          38958        1877475SH       SOLE   0          1877475
CTS CORP                       COMMON STOCK  126501105            620          61540SH       SOLE   0            61540
CUBESMART                      REIT          229663109           2864         222542SH       SOLE   0           222542
CUBIC CORP                     COMMON STOCK  229669106           1439          28746SH       SOLE   0            28746
CUBIST PHARMACEUTICALS INC     COMMON STOCK  229678107           5455         114400SH       SOLE   0           114400
CULLEN/FROST BANKERS INC       COMMON STOCK  229899109           5527          96236SH       SOLE   0            96236
CULP INC                       COMMON STOCK  230215105            186          15775SH       SOLE   0            15775
CUMBERLAND PHARMACEUTICALS     COMMON STOCK  230770109            138          21381SH       SOLE   0            21381
CUMMINS INC                    COMMON STOCK  231021106          32014         347185SH       SOLE   0           347185
CUMULUS MEDIA INC CL A         COMMON STOCK  231082108            306         111699SH       SOLE   0           111699
CURIS INC                      COMMON STOCK  231269101            591         142719SH       SOLE   0           142719
CURTISS WRIGHT CORP            COMMON STOCK  231561101           2772          84758SH       SOLE   0            84758
CVB FINANCIAL CORP             COMMON STOCK  126600105           1902         159283SH       SOLE   0           159283
CVR ENERGY INC                 COMMON STOCK  12662P108           1100          29923SH       SOLE   0            29923
CVS CAREMARK CORP              COMMON STOCK  126650100         112106        2315289SH       SOLE   0          2315289
CYBERONICS INC                 COMMON STOCK  23251P102           2609          49771SH       SOLE   0            49771
CYMER INC                      COMMON STOCK  232572107           2854          55902SH       SOLE   0            55902
CYNOSURE INC A                 COMMON STOCK  232577205            458          17379SH       SOLE   0            17379
CYPRESS SEMICONDUCTOR CORP     COMMON STOCK  232806109           2950         275182SH       SOLE   0           275182
CYS INVESTMENTS INC            REIT          12673A108           4241         301016SH       SOLE   0           301016
CYTEC INDUSTRIES INC           COMMON STOCK  232820100           5445          83108SH       SOLE   0            83108
CYTORI THERAPEUTICS INC        COMMON STOCK  23283K105            435          98750SH       SOLE   0            98750
DAILY JOURNAL CORP             COMMON STOCK  233912104            162           1728SH       SOLE   0             1728
DAKTRONICS INC                 COMMON STOCK  234264109            621          65284SH       SOLE   0            65284
DANA HOLDING CORP              COMMON STOCK  235825205           3281         266779SH       SOLE   0           266779
DANAHER CORP                   COMMON STOCK  235851102          57843        1048832SH       SOLE   0          1048832
DARDEN RESTAURANTS INC         COMMON STOCK  237194105          12957         232421SH       SOLE   0           232421
DARLING INTERNATIONAL INC      COMMON STOCK  237266101           3887         212509SH       SOLE   0           212509
DATALINK CORP                  COMMON STOCK  237934104            227          27468SH       SOLE   0            27468
DAVITA HEALTHCARE PARTNERS I   COMMON STOCK  23918K108          17592         169791SH       SOLE   0           169791
DAWSON GEOPHYSICAL CO          COMMON STOCK  239359102            361          14288SH       SOLE   0            14288
DCT INDUSTRIAL TRUST INC       REIT          233153105           2888         446296SH       SOLE   0           446296
DDR CORP                       REIT          23317H102           6591         429111SH       SOLE   0           429111
DEALERTRACK HOLDINGS INC       COMMON STOCK  242309102           2137          76715SH       SOLE   0            76715
DEAN FOODS CO                  COMMON STOCK  242370104           5450         333321SH       SOLE   0           333321
DECKERS OUTDOOR CORP           COMMON STOCK  243537107           2547          69508SH       SOLE   0            69508
DEERE + CO                     COMMON STOCK  244199105          59277         718601SH       SOLE   0           718601
DEL FRISCO S RESTAURANT GROU   COMMON STOCK  245077102            156          10500SH       SOLE   0            10500
DELEK US HOLDINGS INC          COMMON STOCK  246647101            782          30660SH       SOLE   0            30660
DELL INC                       COMMON STOCK  24702R101          26266        2663886SH       SOLE   0          2663886
DELPHI AUTOMOTIVE PLC          COMMON STOCK  G27823106          18383         593013SH       SOLE   0           593013
DELTA AIR LINES INC            COMMON STOCK  247361702          14061        1535079SH       SOLE   0          1535079
DELTA APPAREL INC              COMMON STOCK  247368103            175          12720SH       SOLE   0            12720
DELTA NATURAL GAS CO INC       COMMON STOCK  247748106            237          12257SH       SOLE   0            12257
DELTEK INC                     COMMON STOCK  24784L105            517          39696SH       SOLE   0            39696
DELTIC TIMBER CORP             COMMON STOCK  247850100           1282          19647SH       SOLE   0            19647
DELUXE CORP                    COMMON STOCK  248019101           2814          92090SH       SOLE   0            92090
DEMAND MEDIA INC               COMMON STOCK  24802N109            589          54163SH       SOLE   0            54163
DEMANDWARE INC                 COMMON STOCK  24802Y105            375          11803SH       SOLE   0            11803
DENBURY RESOURCES INC          COMMON STOCK  247916208          11405         705776SH       SOLE   0           705776
DENDREON CORP                  COMMON STOCK  24823Q107           1344         278180SH       SOLE   0           278180
DENNY S CORP                   COMMON STOCK  24869P104            842         173636SH       SOLE   0           173636
DENTSPLY INTERNATIONAL INC     COMMON STOCK  249030107           9769         256145SH       SOLE   0           256145
DEPOMED INC                    COMMON STOCK  249908104            595         100696SH       SOLE   0           100696
DERMA SCIENCES INC             COMMON STOCK  249827502            174          16742SH       SOLE   0            16742
DESTINATION MATERNITY CORP     COMMON STOCK  25065D100            451          24121SH       SOLE   0            24121
DEVON ENERGY CORPORATION       COMMON STOCK  25179M103          44205         730660SH       SOLE   0           730660
DEVRY INC                      COMMON STOCK  251893103           2693         118311SH       SOLE   0           118311
DEXCOM INC                     COMMON STOCK  252131107           1861         123851SH       SOLE   0           123851
DFC GLOBAL CORP                COMMON STOCK  23324T107           1362          79425SH       SOLE   0            79425
DIAL GLOBAL INC                COMMON STOCK  25247X107             21           7788SH       SOLE   0             7788
DIAMOND FOODS INC              COMMON STOCK  252603105            752          39948SH       SOLE   0            39948
DIAMOND HILL INVESTMENT GRP    COMMON STOCK  25264R207            372           4856SH       SOLE   0             4856
DIAMOND OFFSHORE DRILLING      COMMON STOCK  25271C102           8181         124318SH       SOLE   0           124318
DIAMONDROCK HOSPITALITY CO     REIT          252784301           3271         339627SH       SOLE   0           339627
DICE HOLDINGS INC              COMMON STOCK  253017107            694          82378SH       SOLE   0            82378
DICK S SPORTING GOODS INC      COMMON STOCK  253393102           8699         167781SH       SOLE   0           167781
DIEBOLD INC                    COMMON STOCK  253651103           3835         113778SH       SOLE   0           113778
DIGI INTERNATIONAL INC         COMMON STOCK  253798102            473          46511SH       SOLE   0            46511
DIGIMARC CORP                  COMMON STOCK  25381B101            285          12787SH       SOLE   0            12787
DIGITAL GENERATION INC         COMMON STOCK  25400B108            566          49860SH       SOLE   0            49860
DIGITAL REALTY TRUST INC       REIT          253868103          15367         220006SH       SOLE   0           220006
DIGITAL RIVER INC              COMMON STOCK  25388B104           1111          66700SH       SOLE   0            66700
DIGITALGLOBE INC               COMMON STOCK  25389M877           1333          65383SH       SOLE   0            65383
DILLARDS INC CL A              COMMON STOCK  254067101           3845          53173SH       SOLE   0            53173
DIME COMMUNITY BANCSHARES      COMMON STOCK  253922108            820          56805SH       SOLE   0            56805
DINEEQUITY INC                 COMMON STOCK  254423106           1548          27636SH       SOLE   0            27636
DIODES INC                     COMMON STOCK  254543101           1090          64107SH       SOLE   0            64107
DIRECTV                        COMMON STOCK  25490A309          62080        1183383SH       SOLE   0          1183383
DISCOVER FINANCIAL SERVICES    COMMON STOCK  254709108          38067         958133SH       SOLE   0           958133
DISCOVERY COMMUNICATIONS A     COMMON STOCK  25470F104          27469         460657SH       SOLE   0           460657
DISCOVERY LABORATORIES INC     COMMON STOCK  254668403            256          78169SH       SOLE   0            78169
DISH NETWORK CORP A            COMMON STOCK  25470M109          11293         368935SH       SOLE   0           368935
DOLAN CO/THE                   COMMON STOCK  25659P402            297          55238SH       SOLE   0            55238
DOLBY LABORATORIES INC CL A    COMMON STOCK  25659T107           2984          91121SH       SOLE   0            91121
DOLE FOOD CO INC               COMMON STOCK  256603101            909          64812SH       SOLE   0            64812
DOLLAR GENERAL CORP            COMMON STOCK  256677105          17201         333736SH       SOLE   0           333736
DOLLAR THRIFTY AUTOMOTIVE GP   COMMON STOCK  256743105           4404          50661SH       SOLE   0            50661
DOLLAR TREE INC                COMMON STOCK  256746108          20294         420378SH       SOLE   0           420378
DOMINION RESOURCES INC/VA      COMMON STOCK  25746U109          54660        1032498SH       SOLE   0          1032498
DOMINO S PIZZA INC             COMMON STOCK  25754A201           3946         104662SH       SOLE   0           104662
DOMTAR CORP                    COMMON STOCK  257559203           5114          65321SH       SOLE   0            65321
DONALDSON CO INC               COMMON STOCK  257651109           9337         269012SH       SOLE   0           269012
DONEGAL GROUP INC CL A         COMMON STOCK  257701201            198          14099SH       SOLE   0            14099
DORAL FINANCIAL CORP           COMMON STOCK  25811P886            218         231418SH       SOLE   0           231418
DORMAN PRODUCTS INC            COMMON STOCK  258278100           1395          44261SH       SOLE   0            44261
DOUGLAS DYNAMICS INC           COMMON STOCK  25960R105            591          39974SH       SOLE   0            39974
DOUGLAS EMMETT INC             REIT          25960P109           5820         252295SH       SOLE   0           252295
DOVER CORP                     COMMON STOCK  260003108          19736         331749SH       SOLE   0           331749
DOW CHEMICAL CO/THE            COMMON STOCK  260543103          62547        2159755SH       SOLE   0          2159755
DR HORTON INC                  COMMON STOCK  23331A109          10364         502135SH       SOLE   0           502135
DR PEPPER SNAPPLE GROUP INC    COMMON STOCK  26138E109          17044         382752SH       SOLE   0           382752
DREAMWORKS ANIMATION SKG A     COMMON STOCK  26153C103           2357         122564SH       SOLE   0           122564
DRESSER RAND GROUP INC         COMMON STOCK  261608103           7533         136684SH       SOLE   0           136684
DREW INDUSTRIES INC            COMMON STOCK  26168L205           1051          34777SH       SOLE   0            34777
DRIL QUIP INC                  COMMON STOCK  262037104           5220          72622SH       SOLE   0            72622
DSP GROUP INC                  COMMON STOCK  23332B106            234          39402SH       SOLE   0            39402
DST SYSTEMS INC                COMMON STOCK  233326107           3408          60262SH       SOLE   0            60262
DSW INC CLASS A                COMMON STOCK  23334L102           3973          59547SH       SOLE   0            59547
DTE ENERGY COMPANY             COMMON STOCK  233331107          18425         307386SH       SOLE   0           307386
DTS INC                        COMMON STOCK  23335C101            770          33085SH       SOLE   0            33085
DU PONT (E.I.) DE NEMOURS      COMMON STOCK  263534109          85106        1692983SH       SOLE   0          1692983
DUFF + PHELPS CORP CLASS A     COMMON STOCK  26433B107            767          56329SH       SOLE   0            56329
DUKE ENERGY CORP               COMMON STOCK  26441C204          82400        1271598SH       SOLE   0          1271598
DUKE REALTY CORP               REIT          264411505           7077         481444SH       SOLE   0           481444
DUN + BRADSTREET CORP          COMMON STOCK  26483E100           6458          81115SH       SOLE   0            81115
DUNKIN  BRANDS GROUP INC       COMMON STOCK  265504100           3757         128684SH       SOLE   0           128684
DUPONT FABROS TECHNOLOGY       REIT          26613Q106           2798         110822SH       SOLE   0           110822
DURATA THERAPEUTICS INC        COMMON STOCK  26658A107            147          15600SH       SOLE   0            15600
DUSA PHARMACEUTICALS INC       COMMON STOCK  266898105            274          40375SH       SOLE   0            40375
DXP ENTERPRISES INC            COMMON STOCK  233377407            758          15876SH       SOLE   0            15876
DYAX CORP                      COMMON STOCK  26746E103            464         178497SH       SOLE   0           178497
DYCOM INDUSTRIES INC           COMMON STOCK  267475101            874          60758SH       SOLE   0            60758
DYNAMIC MATERIALS CORP         COMMON STOCK  267888105            367          24406SH       SOLE   0            24406
DYNAVAX TECHNOLOGIES CORP      COMMON STOCK  268158102           1497         314518SH       SOLE   0           314518
DYNEX CAPITAL INC              REIT          26817Q506           1056          98204SH       SOLE   0            98204
E TRADE FINANCIAL CORP         COMMON STOCK  269246401           4548         516288SH       SOLE   0           516288
E2OPEN INC                     COMMON STOCK  29788A104            115           8500SH       SOLE   0             8500
EAGLE BANCORP INC              COMMON STOCK  268948106            508          30355SH       SOLE   0            30355
EAGLE MATERIALS INC            COMMON STOCK  26969P108           3787          81857SH       SOLE   0            81857
EARTHLINK INC                  COMMON STOCK  270321102           1366         191874SH       SOLE   0           191874
EAST WEST BANCORP INC          COMMON STOCK  27579R104           5516         261176SH       SOLE   0           261176
EASTERN CO/THE                 COMMON STOCK  276317104            210          11228SH       SOLE   0            11228
EASTERN INSURANCE HOLDINGS     COMMON STOCK  276534104            201          11976SH       SOLE   0            11976
EASTGROUP PROPERTIES INC       REIT          277276101           2736          51431SH       SOLE   0            51431
EASTMAN CHEMICAL CO            COMMON STOCK  277432100          15728         275877SH       SOLE   0           275877
EATON CORP                     COMMON STOCK  278058102          28834         610116SH       SOLE   0           610116
EATON VANCE CORP               COMMON STOCK  278265103           6044         208690SH       SOLE   0           208690
EBAY INC                       COMMON STOCK  278642103         101304        2092616SH       SOLE   0          2092616
EBIX INC                       COMMON STOCK  278715206           1206          51060SH       SOLE   0            51060
ECHELON CORP                   COMMON STOCK  27874N105            263          68390SH       SOLE   0            68390
ECHO GLOBAL LOGISTICS INC      COMMON STOCK  27875T101           1241          72335SH       SOLE   0            72335
ECHOSTAR CORP A                COMMON STOCK  278768106           2021          70503SH       SOLE   0            70503
ECOLAB INC                     COMMON STOCK  278865100          30450         469830SH       SOLE   0           469830
EDGEN GROUP INC                COMMON STOCK  28014Q107            209          26991SH       SOLE   0            26991
EDISON INTERNATIONAL           COMMON STOCK  281020107          26897         588693SH       SOLE   0           588693
EDUCATION MANAGEMENT CORP      COMMON STOCK  28140M103            149          47997SH       SOLE   0            47997
EDUCATION REALTY TRUST INC     REIT          28140H104           2225         204166SH       SOLE   0           204166
EDWARDS LIFESCIENCES CORP      COMMON STOCK  28176E108          22231         207046SH       SOLE   0           207046
EHEALTH INC                    COMMON STOCK  28238P109            664          35361SH       SOLE   0            35361
EINSTEIN NOAH RESTAURANT GRO   COMMON STOCK  28257U104            196          11100SH       SOLE   0            11100
EL PASO ELECTRIC CO            COMMON STOCK  283677854           2478          72351SH       SOLE   0            72351
ELECTRO RENT CORP              COMMON STOCK  285218103            599          33888SH       SOLE   0            33888
ELECTRO SCIENTIFIC INDS INC    COMMON STOCK  285229100            506          41382SH       SOLE   0            41382
ELECTRONIC ARTS INC            COMMON STOCK  285512109           7288         574310SH       SOLE   0           574310
ELECTRONICS FOR IMAGING        COMMON STOCK  286082102           1393          83868SH       SOLE   0            83868
ELI LILLY + CO                 COMMON STOCK  532457108          87770        1851295SH       SOLE   0          1851295
ELIZABETH ARDEN INC            COMMON STOCK  28660G106           2150          45521SH       SOLE   0            45521
ELLIE MAE INC                  COMMON STOCK  28849P100           1237          45430SH       SOLE   0            45430
ELOQUA INC                     COMMON STOCK  290139104            330          16700SH       SOLE   0            16700
EMC CORP/MASS                  COMMON STOCK  268648102         103452        3793607SH       SOLE   0          3793607
EMC INS GROUP INC              COMMON STOCK  268664109            169           8054SH       SOLE   0             8054
EMCOR GROUP INC                COMMON STOCK  29084Q100           3440         120539SH       SOLE   0           120539
EMERALD OIL INC                COMMON STOCK  29101U100             72          86531SH       SOLE   0            86531
EMERGENT BIOSOLUTIONS INC      COMMON STOCK  29089Q105            664          46747SH       SOLE   0            46747
EMERITUS CORP                  COMMON STOCK  291005106           1162          55474SH       SOLE   0            55474
EMERSON ELECTRIC CO            COMMON STOCK  291011104          63979        1325439SH       SOLE   0          1325439
EMPIRE DISTRICT ELECTRIC CO    COMMON STOCK  291641108           1642          76215SH       SOLE   0            76215
EMPLOYERS HOLDINGS INC         COMMON STOCK  292218104           1047          57103SH       SOLE   0            57103
EMULEX CORP                    COMMON STOCK  292475209           1130         156725SH       SOLE   0           156725
ENCORE CAPITAL GROUP INC       COMMON STOCK  292554102           1118          39573SH       SOLE   0            39573
ENCORE WIRE CORP               COMMON STOCK  292562105            876          29938SH       SOLE   0            29938
ENDEAVOUR INTERNATIONAL CORP   COMMON STOCK  29259G200            814          84141SH       SOLE   0            84141
ENDO HEALTH SOLUTIONS INC      COMMON STOCK  29264F205           6716         211741SH       SOLE   0           211741
ENDOCYTE INC                   COMMON STOCK  29269A102            534          53531SH       SOLE   0            53531
ENDOLOGIX INC                  COMMON STOCK  29266S106           1382          99987SH       SOLE   0            99987
ENDURANCE SPECIALTY HOLDINGS   COMMON STOCK  G30397106           3018          78396SH       SOLE   0            78396
ENERGEN CORP                   COMMON STOCK  29265N108           6829         130297SH       SOLE   0           130297
ENERGIZER HOLDINGS INC         COMMON STOCK  29266R108           8815         118141SH       SOLE   0           118141
ENERGY RECOVERY INC            COMMON STOCK  29270J100            234          79174SH       SOLE   0            79174
ENERGY XXI BERMUDA             COMMON STOCK  G10082140           4979         142468SH       SOLE   0           142468
ENERGYSOLUTIONS INC            COMMON STOCK  292756202            391         143196SH       SOLE   0           143196
ENERNOC INC                    COMMON STOCK  292764107            578          44541SH       SOLE   0            44541
ENERSYS                        COMMON STOCK  29275Y102           3058          86662SH       SOLE   0            86662
ENGILITY HOLDINGS INC          COMMON STOCK  29285W104            541          29348SH       SOLE   0            29348
ENNIS INC                      COMMON STOCK  293389102            775          47209SH       SOLE   0            47209
ENPHASE ENERGY INC             COMMON STOCK  29355A107             59          14299SH       SOLE   0            14299
ENPRO INDUSTRIES INC           COMMON STOCK  29355X107           1341          37229SH       SOLE   0            37229
ENSIGN GROUP INC/THE           COMMON STOCK  29358P101            963          31466SH       SOLE   0            31466
ENSTAR GROUP LTD               COMMON STOCK  G3075P101           1522          15278SH       SOLE   0            15278
ENTEGRIS INC                   COMMON STOCK  29362U104           2015         247885SH       SOLE   0           247885
ENTERCOM COMMUNICATIONS CL A   COMMON STOCK  293639100            302          43995SH       SOLE   0            43995
ENTERGY CORP                   COMMON STOCK  29364G103          22182         320091SH       SOLE   0           320091
ENTEROMEDICS INC               COMMON STOCK  29365M208            176          48162SH       SOLE   0            48162
ENTERPRISE BANCORP INC         COMMON STOCK  293668109            184          10745SH       SOLE   0            10745
ENTERPRISE FINANCIAL SERVICE   COMMON STOCK  293712105            439          32247SH       SOLE   0            32247
ENTERTAINMENT PROPERTIES TR    REIT          29380T105           3760          84638SH       SOLE   0            84638
ENTRAVISION COMMUNICATIONS A   COMMON STOCK  29382R107            122          91390SH       SOLE   0            91390
ENTROPIC COMMUNICATIONS INC    COMMON STOCK  29384R105            925         158948SH       SOLE   0           158948
ENVESTNET INC                  COMMON STOCK  29404K106            439          37527SH       SOLE   0            37527
ENVIVIO INC                    COMMON STOCK  29413T106             31          13966SH       SOLE   0            13966
ENZON PHARMACEUTICALS INC      COMMON STOCK  293904108            531          76223SH       SOLE   0            76223
EOG RESOURCES INC              COMMON STOCK  26875P101          54581         487115SH       SOLE   0           487115
EPAM SYSTEMS INC               COMMON STOCK  29414B104            167           8832SH       SOLE   0             8832
EPIQ SYSTEMS INC               COMMON STOCK  26882D109            764          56913SH       SOLE   0            56913
EPL OIL + GAS INC              COMMON STOCK  26883D108           1017          50123SH       SOLE   0            50123
EPLUS INC                      COMMON STOCK  294268107            280           7138SH       SOLE   0             7138
EPOCH HOLDING CORP             COMMON STOCK  29428R103            665          28782SH       SOLE   0            28782
EPOCRATES INC                  COMMON STOCK  29429D103            392          33651SH       SOLE   0            33651
EQT CORP                       COMMON STOCK  26884L109          14032         237831SH       SOLE   0           237831
EQUIFAX INC                    COMMON STOCK  294429105          10130         217475SH       SOLE   0           217475
EQUINIX INC                    COMMON STOCK  29444U502          17897          86857SH       SOLE   0            86857
EQUITY LIFESTYLE PROPERTIES    REIT          29472R108           5081          74589SH       SOLE   0            74589
EQUITY ONE INC                 REIT          294752100           2088          99151SH       SOLE   0            99151
EQUITY RESIDENTIAL             REIT          29476L107          31246         543117SH       SOLE   0           543117
ERIE INDEMNITY COMPANY CL A    COMMON STOCK  29530P102           3000          46678SH       SOLE   0            46678
ESB FINANCIAL CORP             COMMON STOCK  26884F102            262          18747SH       SOLE   0            18747
ESCO TECHNOLOGIES INC          COMMON STOCK  296315104           1878          48332SH       SOLE   0            48332
ESSA BANCORP INC               COMMON STOCK  29667D104            169          16288SH       SOLE   0            16288
ESSEX PROPERTY TRUST INC       REIT          297178105           9434          63639SH       SOLE   0            63639
ESTEE LAUDER COMPANIES CL A    COMMON STOCK  518439104          25598         415751SH       SOLE   0           415751
ESTERLINE TECHNOLOGIES CORP    COMMON STOCK  297425100           3110          55396SH       SOLE   0            55396
ETHAN ALLEN INTERIORS INC      COMMON STOCK  297602104            958          43725SH       SOLE   0            43725
EURONET WORLDWIDE INC          COMMON STOCK  298736109           1722          91657SH       SOLE   0            91657
EVERBANK FINANCIAL CORP        COMMON STOCK  29977G102            555          40331SH       SOLE   0            40331
EVERCORE PARTNERS INC CL A     COMMON STOCK  29977A105           1395          51654SH       SOLE   0            51654
EVEREST RE GROUP LTD           COMMON STOCK  G3223R108          10194          95303SH       SOLE   0            95303
EVOLUTION PETROLEUM CORP       COMMON STOCK  30049A107            241          29782SH       SOLE   0            29782
EW SCRIPPS CO/THE A            COMMON STOCK  811054402            575          54001SH       SOLE   0            54001
EXA CORP                       COMMON STOCK  300614500            123          11300SH       SOLE   0            11300
EXACT SCIENCES CORP            COMMON STOCK  30063P105           1266         115004SH       SOLE   0           115004
EXACTECH INC                   COMMON STOCK  30064E109            277          15550SH       SOLE   0            15550
EXACTTARGET INC                COMMON STOCK  30064K105            427          17610SH       SOLE   0            17610
EXAMWORKS GROUP INC            COMMON STOCK  30066A105            788          52788SH       SOLE   0            52788
EXAR CORP                      COMMON STOCK  300645108            538          67198SH       SOLE   0            67198
EXCEL TRUST INC                REIT          30068C109            694          60802SH       SOLE   0            60802
EXCO RESOURCES INC             COMMON STOCK  269279402           1793         223836SH       SOLE   0           223836
EXELIS INC                     COMMON STOCK  30162A108           3486         337137SH       SOLE   0           337137
EXELIXIS INC                   COMMON STOCK  30161Q104           1596         331091SH       SOLE   0           331091
EXELON CORP                    COMMON STOCK  30161N101          54797        1540111SH       SOLE   0          1540111
EXIDE TECHNOLOGIES             COMMON STOCK  302051206            438         141381SH       SOLE   0           141381
EXLSERVICE HOLDINGS INC        COMMON STOCK  302081104           1246          42246SH       SOLE   0            42246
EXPEDIA INC                    COMMON STOCK  30212P303           9137         157975SH       SOLE   0           157975
EXPEDITORS INTL WASH INC       COMMON STOCK  302130109          13954         383767SH       SOLE   0           383767
EXPONENT INC                   COMMON STOCK  30214U102           1382          24200SH       SOLE   0            24200
EXPRESS INC                    COMMON STOCK  30219E103           2395         161635SH       SOLE   0           161635
EXPRESS SCRIPTS HOLDING CO     COMMON STOCK  30219G108          91200        1455234SH       SOLE   0          1455234
EXTERRAN HOLDINGS INC          COMMON STOCK  30225X103           2376         117147SH       SOLE   0           117147
EXTRA SPACE STORAGE INC        REIT          30225T102           6238         187613SH       SOLE   0           187613
EXTREME NETWORKS INC           COMMON STOCK  30226D106            568         170079SH       SOLE   0           170079
EXXON MOBIL CORP               COMMON STOCK  30231G102         772621        8448567SH       SOLE   0          8448567
EZCORP INC CL A                COMMON STOCK  302301106           1986          86618SH       SOLE   0            86618
F5 NETWORKS INC                COMMON STOCK  315616102          15016         143417SH       SOLE   0           143417
FABRINET                       COMMON STOCK  G3323L100            462          39847SH       SOLE   0            39847
FACEBOOK INC A                 COMMON STOCK  30303M102          16475         760977SH       SOLE   0           760977
FACTSET RESEARCH SYSTEMS INC   COMMON STOCK  303075105           7821          81115SH       SOLE   0            81115
FAIR ISAAC CORP                COMMON STOCK  303250104           2742          61941SH       SOLE   0            61941
FAIRCHILD SEMICONDUCTOR INTE   COMMON STOCK  303726103           3017         229985SH       SOLE   0           229985
FAIRPOINT COMMUNICATIONS INC   COMMON STOCK  305560302            282          37285SH       SOLE   0            37285
FALCONSTOR SOFTWARE INC        COMMON STOCK  306137100            134          57033SH       SOLE   0            57033
FAMILY DOLLAR STORES           COMMON STOCK  307000109          11576         174602SH       SOLE   0           174602
FARMER BROS CO                 COMMON STOCK  307675108            116          12221SH       SOLE   0            12221
FARMERS NATL BANC CORP         COMMON STOCK  309627107            219          33867SH       SOLE   0            33867
FARO TECHNOLOGIES INC          COMMON STOCK  311642102           1261          30528SH       SOLE   0            30528
FASTENAL CO                    COMMON STOCK  311900104          22994         534879SH       SOLE   0           534879
FBL FINANCIAL GROUP INC CL A   COMMON STOCK  30239F106            577          17388SH       SOLE   0            17388
FBR + CO                       COMMON STOCK  30247C301            207          66874SH       SOLE   0            66874
FEDERAL AGRIC MTG CORP CL C    COMMON STOCK  313148306            462          17954SH       SOLE   0            17954
FEDERAL MOGUL CORP             COMMON STOCK  313549404            306          33422SH       SOLE   0            33422
FEDERAL REALTY INVS TRUST      REIT          313747206          12160         115476SH       SOLE   0           115476
FEDERAL SIGNAL CORP            COMMON STOCK  313855108            710         112361SH       SOLE   0           112361
FEDERATED INVESTORS INC CL B   COMMON STOCK  314211103           3430         165789SH       SOLE   0           165789
FEDEX CORP                     COMMON STOCK  31428X106          48218         569815SH       SOLE   0           569815
FEI COMPANY                    COMMON STOCK  30241L109           3666          68526SH       SOLE   0            68526
FELCOR LODGING TRUST INC       REIT          31430F101           1063         224357SH       SOLE   0           224357
FEMALE HEALTH COMPANY          COMMON STOCK  314462102            247          34523SH       SOLE   0            34523
FERRO CORP                     COMMON STOCK  315405100            536         156326SH       SOLE   0           156326
FIDELITY NATIONAL FINL A       COMMON STOCK  31620R105           8611         402592SH       SOLE   0           402592
FIDELITY NATIONAL INFORMATIO   COMMON STOCK  31620M106          14152         453315SH       SOLE   0           453315
FIDELITY SOUTHERN CORP         COMMON STOCK  316394105            163          17257SH       SOLE   0            17257
FIDUS INVESTMENT CORP          COMMON STOCK  316500107            360          21529SH       SOLE   0            21529
FIESTA RESTAURANT GROUP        COMMON STOCK  31660B101            463          29190SH       SOLE   0            29190
FIFTH + PACIFIC COS INC        COMMON STOCK  316645100           2511         196443SH       SOLE   0           196443
FIFTH STREET FINANCE CORP      COMMON STOCK  31678A103           1806         164467SH       SOLE   0           164467
FIFTH THIRD BANCORP            COMMON STOCK  316773100          25782        1662257SH       SOLE   0          1662257
FINANCIAL ENGINES INC          COMMON STOCK  317485100           1995          83701SH       SOLE   0            83701
FINANCIAL INSTITUTIONS INC     COMMON STOCK  317585404            466          24999SH       SOLE   0            24999
FINISAR CORPORATION            COMMON STOCK  31787A507           2358         164886SH       SOLE   0           164886
FINISH LINE/THE   CL A         COMMON STOCK  317923100           2087          91787SH       SOLE   0            91787
FIRST AMERICAN FINANCIAL       COMMON STOCK  31847R102           4156         191795SH       SOLE   0           191795
FIRST BANCORP INC/ME           COMMON STOCK  31866P102            280          15933SH       SOLE   0            15933
FIRST BANCORP PUERTO RICO      COMMON STOCK  318672706            561         126940SH       SOLE   0           126940
FIRST BANCORP/NC               COMMON STOCK  318910106            316          27418SH       SOLE   0            27418
FIRST BUSEY CORP               COMMON STOCK  319383105            656         134452SH       SOLE   0           134452
FIRST CALIFORNIA FINANCIAL G   COMMON STOCK  319395109            281          40435SH       SOLE   0            40435
FIRST CASH FINL SVCS INC       COMMON STOCK  31942D107           2377          51670SH       SOLE   0            51670
FIRST CITIZENS BCSHS   CL A    COMMON STOCK  31946M103           1499           9203SH       SOLE   0             9203
FIRST COMMONWEALTH FINL CORP   COMMON STOCK  319829107           1340         190011SH       SOLE   0           190011
FIRST COMMUNITY BANCSHARES     COMMON STOCK  31983A103            489          32034SH       SOLE   0            32034
FIRST CONNECTICUT BANCORP      COMMON STOCK  319850103            437          32330SH       SOLE   0            32330
FIRST DEFIANCE FINL CORP       COMMON STOCK  32006W106            303          17564SH       SOLE   0            17564
FIRST FED BNCSHS OF ARKANSAS   COMMON STOCK  32020F303             61           6265SH       SOLE   0             6265
FIRST FINANCIAL BANCORP        COMMON STOCK  320209109           1788         105746SH       SOLE   0           105746
FIRST FINANCIAL CORP/INDIANA   COMMON STOCK  320218100            632          20163SH       SOLE   0            20163
FIRST FINANCIAL HOLDINGS INC   COMMON STOCK  320239106            387          29829SH       SOLE   0            29829
FIRST FINANCIAL NORTHWEST      COMMON STOCK  32022K102            232          28799SH       SOLE   0            28799
FIRST FINL BANKSHARES INC      COMMON STOCK  32020R109           2049          56860SH       SOLE   0            56860
FIRST HORIZON NATIONAL CORP    COMMON STOCK  320517105           4397         456590SH       SOLE   0           456590
FIRST INDUSTRIAL REALTY TR     REIT          32054K103           2334         177596SH       SOLE   0           177596
FIRST INTERSTATE BANCSYS/MT    COMMON STOCK  32055Y201            439          29318SH       SOLE   0            29318
FIRST MARBLEHEAD CORP/THE      COMMON STOCK  320771108            110         104831SH       SOLE   0           104831
FIRST MERCHANTS CORP           COMMON STOCK  320817109            776          51697SH       SOLE   0            51697
FIRST MIDWEST BANCORP INC/IL   COMMON STOCK  320867104           1698         135291SH       SOLE   0           135291
FIRST NIAGARA FINANCIAL GRP    COMMON STOCK  33582V108           5155         637242SH       SOLE   0           637242
FIRST OF LONG ISLAND CORP      COMMON STOCK  320734106            431          13990SH       SOLE   0            13990
FIRST PACTRUST BANCORP INC     COMMON STOCK  33589V101            239          19118SH       SOLE   0            19118
FIRST POTOMAC REALTY TRUST     REIT          33610F109           1186          92049SH       SOLE   0            92049
FIRST REPUBLIC BANK/SAN FRAN   COMMON STOCK  33616C100           6351         184294SH       SOLE   0           184294
FIRST SOLAR INC                COMMON STOCK  336433107           2409         108767SH       SOLE   0           108767
FIRSTENERGY CORP               COMMON STOCK  337932107          33321         755578SH       SOLE   0           755578
FIRSTHAND TECHNOLOGY VALUE FUN COMMON STOCK  33766Y100            270          15484SH       SOLE   0            15484
FIRSTMERIT CORP                COMMON STOCK  337915102           2918         198108SH       SOLE   0           198108
FISERV INC                     COMMON STOCK  337738108          18256         246600SH       SOLE   0           246600
FISHER COMMUNICATIONS INC      COMMON STOCK  337756209            587          15977SH       SOLE   0            15977
FIVE BELOW                     COMMON STOCK  33829M101            782          20000SH       SOLE   0            20000
FIVE STAR QUALITY CARE         COMMON STOCK  33832D106            393          76836SH       SOLE   0            76836
FLAGSTONE REINSURANCE HOLDIN   COMMON STOCK  L3466T104            831          96781SH       SOLE   0            96781
FLEETCOR TECHNOLOGIES INC      COMMON STOCK  339041105           3941          87977SH       SOLE   0            87977
FLEXSTEEL INDS                 COMMON STOCK  339382103            167           8082SH       SOLE   0             8082
FLIR SYSTEMS INC               COMMON STOCK  302445101           5564         278573SH       SOLE   0           278573
FLOTEK INDUSTRIES INC          COMMON STOCK  343389102           1133          89386SH       SOLE   0            89386
FLOW INTL CORP                 COMMON STOCK  343468104            319          86263SH       SOLE   0            86263
FLOWERS FOODS INC              COMMON STOCK  343498101           4088         202573SH       SOLE   0           202573
FLOWSERVE CORP                 COMMON STOCK  34354P105          11797          92348SH       SOLE   0            92348
FLUIDIGM CORP                  COMMON STOCK  34385P108            746          43905SH       SOLE   0            43905
FLUOR CORP                     COMMON STOCK  343412102          17194         305503SH       SOLE   0           305503
FLUSHING FINANCIAL CORP        COMMON STOCK  343873105            883          55873SH       SOLE   0            55873
FMC CORP                       COMMON STOCK  302491303          13720         247738SH       SOLE   0           247738
FMC TECHNOLOGIES INC           COMMON STOCK  30249U101          20004         432049SH       SOLE   0           432049
FNB CORP                       COMMON STOCK  302520101           2827         252156SH       SOLE   0           252156
FNB UNITED CORP                COMMON STOCK  302519202            214          18050SH       SOLE   0            18050
FOOT LOCKER INC                COMMON STOCK  344849104           9743         274457SH       SOLE   0           274457
FORBES ENERGY SERVICES LTD     COMMON STOCK  345143101             93          26576SH       SOLE   0            26576
FORD MOTOR CO                  COMMON STOCK  345370860          66830        6777904SH       SOLE   0          6777904
FOREST CITY ENTERPRISES CL A   COMMON STOCK  345550107           4060         256169SH       SOLE   0           256169
FOREST LABORATORIES INC        COMMON STOCK  345838106          17093         479999SH       SOLE   0           479999
FOREST OIL CORP                COMMON STOCK  346091705           1798         212744SH       SOLE   0           212744
FORESTAR GROUP INC             COMMON STOCK  346233109           1043          62610SH       SOLE   0            62610
FORMFACTOR INC                 COMMON STOCK  346375108            501          89641SH       SOLE   0            89641
FORRESTER RESEARCH INC         COMMON STOCK  346563109            734          25497SH       SOLE   0            25497
FORTEGRA FINANCIAL CORP        COMMON STOCK  34954W104             96          12072SH       SOLE   0            12072
FORTINET INC                   COMMON STOCK  34959E109           5694         235874SH       SOLE   0           235874
FORTUNE BRANDS HOME + SECURI   COMMON STOCK  34964C106           7789         288380SH       SOLE   0           288380
FORUM ENERGY TECHNOLOGIES IN   COMMON STOCK  34984V100            975          40072SH       SOLE   0            40072
FORWARD AIR CORPORATION        COMMON STOCK  349853101           1597          52515SH       SOLE   0            52515
FOSSIL INC                     COMMON STOCK  349882100           8357          98663SH       SOLE   0            98663
FOSTER (LB) CO A               COMMON STOCK  350060109            532          16441SH       SOLE   0            16441
FOX CHASE BANCORP INC          COMMON STOCK  35137T108            358          22936SH       SOLE   0            22936
FRANCESCAS HOLDINGS CORP       COMMON STOCK  351793104           1931          62830SH       SOLE   0            62830
FRANKLIN COVEY CO              COMMON STOCK  353469109            300          24975SH       SOLE   0            24975
FRANKLIN ELECTRIC CO INC       COMMON STOCK  353514102           2561          42337SH       SOLE   0            42337
FRANKLIN FINANCIAL CORP/VA     COMMON STOCK  35353C102            442          25883SH       SOLE   0            25883
FRANKLIN RESOURCES INC         COMMON STOCK  354613101          31458         251520SH       SOLE   0           251520
FRANKLIN STREET PROPERTIES C   REIT          35471R106           1449         130936SH       SOLE   0           130936
FRED S INC CLASS A             COMMON STOCK  356108100            947          66556SH       SOLE   0            66556
FREEPORT MCMORAN COPPER        COMMON STOCK  35671D857          67871        1714785SH       SOLE   0          1714785
FREESCALE SEMICONDUCTOR LTD    COMMON STOCK  G3727Q101            865          90913SH       SOLE   0            90913
FREIGHTCAR AMERICA INC         COMMON STOCK  357023100            385          21616SH       SOLE   0            21616
FRESH DEL MONTE PRODUCE INC    COMMON STOCK  G36738105           1762          68833SH       SOLE   0            68833
FRESH MARKET INC/THE           COMMON STOCK  35804H106           2980          49676SH       SOLE   0            49676
FRISCH S RESTAURANTS INC       COMMON STOCK  358748101            112           5663SH       SOLE   0             5663
FRONTIER COMMUNICATIONS CORP   COMMON STOCK  35906A108           8839        1803956SH       SOLE   0          1803956
FRONTLINE LTD                  COMMON STOCK  G3682E127            358          93168SH       SOLE   0            93168
FSI INTL INC                   COMMON STOCK  302633102            439          70807SH       SOLE   0            70807
FTI CONSULTING INC             COMMON STOCK  302941109           2022          75795SH       SOLE   0            75795
FUEL SYSTEMS SOLUTIONS INC     COMMON STOCK  35952W103            457          26571SH       SOLE   0            26571
FUELCELL ENERGY INC            COMMON STOCK  35952H106            240         272642SH       SOLE   0           272642
FULTON FINANCIAL CORP          COMMON STOCK  360271100           3577         362829SH       SOLE   0           362829
FURIEX PHARMACEUTICALS         COMMON STOCK  36106P101            253          13265SH       SOLE   0            13265
FURMANITE CORP                 COMMON STOCK  361086101            382          67277SH       SOLE   0            67277
FUSION IO INC                  COMMON STOCK  36112J107           3689         121886SH       SOLE   0           121886
FUTUREFUEL CORP                COMMON STOCK  36116M106            422          34841SH       SOLE   0            34841
FX ENERGY INC                  COMMON STOCK  302695101            713          95600SH       SOLE   0            95600
FXCM INC A                     COMMON STOCK  302693106            407          42627SH       SOLE   0            42627
G + K SERVICES INC  CL A       COMMON STOCK  361268105           1065          34023SH       SOLE   0            34023
G III APPAREL GROUP LTD        COMMON STOCK  36237H101           1077          30002SH       SOLE   0            30002
GAIN CAPITAL HOLDINGS INC      COMMON STOCK  36268W100            132          26753SH       SOLE   0            26753
GAMCO INVESTORS INC A          COMMON STOCK  361438104            579          11637SH       SOLE   0            11637
GAMESTOP CORP CLASS A          COMMON STOCK  36467W109           4723         224919SH       SOLE   0           224919
GANNETT CO                     COMMON STOCK  364730101           7534         424460SH       SOLE   0           424460
GAP INC/THE                    COMMON STOCK  364760108          19583         547318SH       SOLE   0           547318
GARDNER DENVER INC             COMMON STOCK  365558105           5467          90494SH       SOLE   0            90494
GARMIN LTD                     COMMON STOCK  H2906T109           8222         196983SH       SOLE   0           196983
GARTNER INC                    COMMON STOCK  366651107           7766         168506SH       SOLE   0           168506
GASLOG LTD                     COMMON STOCK  G37585109            492          42522SH       SOLE   0            42522
GASTAR EXPLORATION LTD         COMMON STOCK  367299203            176         106187SH       SOLE   0           106187
GATX CORP                      COMMON STOCK  361448103           3591          84608SH       SOLE   0            84608
GEEKNET INC                    COMMON STOCK  36846Q203            157           8101SH       SOLE   0             8101
GENCO SHIPPING + TRADING LTD   COMMON STOCK  Y2685T107            207          56231SH       SOLE   0            56231
GENCORP INC                    COMMON STOCK  368682100           1023         107845SH       SOLE   0           107845
GENERAC HOLDINGS INC           COMMON STOCK  368736104           1023          44690SH       SOLE   0            44690
GENERAL CABLE CORP             COMMON STOCK  369300108           2642          89929SH       SOLE   0            89929
GENERAL COMMUNICATION INC A    COMMON STOCK  369385109            653          66648SH       SOLE   0            66648
GENERAL DYNAMICS CORP          COMMON STOCK  369550108          37952         573989SH       SOLE   0           573989
GENERAL ELECTRIC CO            COMMON STOCK  369604103         434734       19142838SH       SOLE   0         19142838
GENERAL GROWTH PROPERTIES      REIT          370023103          18583         953953SH       SOLE   0           953953
GENERAL MILLS INC              COMMON STOCK  370334104          46605        1169513SH       SOLE   0          1169513
GENERAL MOLY INC               COMMON STOCK  370373102            384         121183SH       SOLE   0           121183
GENERAL MOTORS CO              COMMON STOCK  37045V100          31473        1383438SH       SOLE   0          1383438
GENESCO INC                    COMMON STOCK  371532102           2952          44236SH       SOLE   0            44236
GENESEE + WYOMING INC CL A     COMMON STOCK  371559105           5355          80097SH       SOLE   0            80097
GENIE ENERGY LTD B             COMMON STOCK  372284208            195          27263SH       SOLE   0            27263
GENOMIC HEALTH INC             COMMON STOCK  37244C101           1005          28977SH       SOLE   0            28977
GENON ENERGY INC               COMMON STOCK  37244E107           3533        1396550SH       SOLE   0          1396550
GENPACT LTD                    COMMON STOCK  G3922B107           3815         228691SH       SOLE   0           228691
GENTEX CORP                    COMMON STOCK  371901109           4432         260563SH       SOLE   0           260563
GENTHERM INC                   COMMON STOCK  37253A103            664          53337SH       SOLE   0            53337
GENTIVA HEALTH SERVICES        COMMON STOCK  37247A102            623          55007SH       SOLE   0            55007
GENUINE PARTS CO               COMMON STOCK  372460105          17193         281720SH       SOLE   0           281720
GENWORTH FINANCIAL INC CL A    COMMON STOCK  37247D106           4645         888135SH       SOLE   0           888135
GEO GROUP INC/THE              COMMON STOCK  36159R103           3072         111037SH       SOLE   0           111037
GEOEYE INC                     COMMON STOCK  37250W108            722          27309SH       SOLE   0            27309
GEORGIA GULF CORP              COMMON STOCK  373200302           2242          61900SH       SOLE   0            61900
OYO Geospace Corp              COMMON STOCK    671074102         1409          11510SH       SOLE   0            11510
GERMAN AMERICAN BANCORP        COMMON STOCK  373865104            550          22811SH       SOLE   0            22811
GERON CORP                     COMMON STOCK  374163103            406         238622SH       SOLE   0           238622
GETTY REALTY CORP              REIT          374297109            831          46314SH       SOLE   0            46314
GEVO INC                       COMMON STOCK  374396109            117          54996SH       SOLE   0            54996
GFI GROUP INC                  COMMON STOCK  361652209            396         124623SH       SOLE   0           124623
GIBRALTAR INDUSTRIES INC       COMMON STOCK  374689107            708          55196SH       SOLE   0            55196
GILEAD SCIENCES INC            COMMON STOCK  375558103          90757        1368272SH       SOLE   0          1368272
GLACIER BANCORP INC            COMMON STOCK  37637Q105           2025         129951SH       SOLE   0           129951
GLADSTONE CAPITAL CORP         COMMON STOCK  376535100            331          37867SH       SOLE   0            37867
GLADSTONE COMMERCIAL CORP      REIT          376536108            362          19823SH       SOLE   0            19823
GLADSTONE INVESTMENT CORP      COMMON STOCK  376546107            311          39784SH       SOLE   0            39784
GLATFELTER                     COMMON STOCK  377316104           1376          77285SH       SOLE   0            77285
GLIMCHER REALTY TRUST          REIT          379302102           2663         251981SH       SOLE   0           251981
GLOBAL CASH ACCESS HOLDINGS    COMMON STOCK  378967103            956         118805SH       SOLE   0           118805
GLOBAL GEOPHYSICAL SERVICES    COMMON STOCK  37946S107            193          34953SH       SOLE   0            34953
GLOBAL INDEMNITY PLC           COMMON STOCK  G39319101            406          18564SH       SOLE   0            18564
GLOBAL PAYMENTS INC            COMMON STOCK  37940X102           5939         141984SH       SOLE   0           141984
GLOBAL POWER EQUIPMENT GROUP   COMMON STOCK  37941P306            575          31101SH       SOLE   0            31101
GLOBAL SOURCES LTD             COMMON STOCK  G39300101            223          33969SH       SOLE   0            33969
GLOBE SPECIALTY METALS INC     COMMON STOCK  37954N206           1691         111078SH       SOLE   0           111078
GLOBECOMM SYSTEMS INC          COMMON STOCK  37956X103            464          41596SH       SOLE   0            41596
GLOBUS MEDICAL INC   A         COMMON STOCK  379577208            312          17300SH       SOLE   0            17300
GLU MOBILE INC                 COMMON STOCK  379890106            452          97624SH       SOLE   0            97624
GNC HOLDINGS INC CL A          COMMON STOCK  36191G107           4850         124460SH       SOLE   0           124460
GOLAR LNG LTD                  COMMON STOCK  G9456A100           3032          78573SH       SOLE   0            78573
GOLD RESERVE INC               COMMON STOCK  38068N108            306          94566SH       SOLE   0            94566
GOLD RESOURCE CORP             COMMON STOCK  38068T105           1157          53958SH       SOLE   0            53958
GOLDEN MINERALS CO             COMMON STOCK  381119106            312          59708SH       SOLE   0            59708
GOLDEN STAR RESOURCES LTD      COMMON STOCK  38119T104            921         467613SH       SOLE   0           467613
GOLDMAN SACHS GROUP INC        COMMON STOCK  38141G104         101027         888699SH       SOLE   0           888699
GOLUB CAPITAL BDC INC          COMMON STOCK  38173M102            412          25888SH       SOLE   0            25888
GOODRICH PETROLEUM CORP        COMMON STOCK  382410405            594          46982SH       SOLE   0            46982
GOODYEAR TIRE + RUBBER CO      COMMON STOCK  382550101           5389         442106SH       SOLE   0           442106
GOOGLE INC CL A                COMMON STOCK  38259P508         352879         467699SH       SOLE   0           467699
GORDMANS STORES INC            COMMON STOCK  38269P100            282          15310SH       SOLE   0            15310
GORMAN RUPP CO                 COMMON STOCK  383082104            742          27469SH       SOLE   0            27469
GOVERNMENT PROPERTIES INCOME   REIT          38376A103           1567          66968SH       SOLE   0            66968
GP STRATEGIES CORP             COMMON STOCK  36225V104            517          26736SH       SOLE   0            26736
GRACO INC                      COMMON STOCK  384109104           5492         109223SH       SOLE   0           109223
GRAFTECH INTERNATIONAL LTD     COMMON STOCK  384313102           1912         212695SH       SOLE   0           212695
GRAHAM CORP                    COMMON STOCK  384556106            324          17925SH       SOLE   0            17925
GRAMERCY CAPITAL CORP          REIT          384871109            249          82655SH       SOLE   0            82655
GRAND CANYON EDUCATION INC     COMMON STOCK  38526M106           1699          72200SH       SOLE   0            72200
GRANITE CONSTRUCTION INC       COMMON STOCK  387328107           2004          69784SH       SOLE   0            69784
GRAPHIC PACKAGING HOLDING CO   COMMON STOCK  388689101           1758         302502SH       SOLE   0           302502
GREAT LAKES DREDGE + DOCK CO   COMMON STOCK  390607109            822         106761SH       SOLE   0           106761
GREAT PLAINS ENERGY INC        COMMON STOCK  391164100           5483         246300SH       SOLE   0           246300
GREAT SOUTHERN BANCORP INC     COMMON STOCK  390905107            569          18412SH       SOLE   0            18412
GREATBATCH INC                 COMMON STOCK  39153L106           1040          42765SH       SOLE   0            42765
GREEN DOT CORP CLASS A         COMMON STOCK  39304D102            530          43318SH       SOLE   0            43318
GREEN MOUNTAIN COFFEE ROASTE   COMMON STOCK  393122106           5906         248661SH       SOLE   0           248661
GREEN PLAINS RENEWABLE ENERG   COMMON STOCK  393222104            263          44957SH       SOLE   0            44957
GREENBRIER COMPANIES INC       COMMON STOCK  393657101            666          41247SH       SOLE   0            41247
GREENHILL + CO INC             COMMON STOCK  395259104           2718          52520SH       SOLE   0            52520
GREENLIGHT CAPITAL RE LTD A    COMMON STOCK  G4095J109           1257          50787SH       SOLE   0            50787
GREENWAY MEDICAL TECHNOLOGIE   COMMON STOCK  39679B103            245          14302SH       SOLE   0            14302
GREIF INC CL A                 COMMON STOCK  397624107           2504          56670SH       SOLE   0            56670
GRIFFIN LAND + NURSERIES       COMMON STOCK  398231100            171           5074SH       SOLE   0             5074
GRIFFON CORP                   COMMON STOCK  398433102            847          82244SH       SOLE   0            82244
GROUP 1 AUTOMOTIVE INC         COMMON STOCK  398905109           2492          41382SH       SOLE   0            41382
GROUPON INC                    COMMON STOCK  399473107            372          78185SH       SOLE   0            78185
GSE HOLDING INC                COMMON STOCK  36191X100            114          14475SH       SOLE   0            14475
GSI GROUP INC                  COMMON STOCK  36191C205            468          52548SH       SOLE   0            52548
GSI TECHNOLOGY INC             COMMON STOCK  36241U106            184          37109SH       SOLE   0            37109
GSV CAPITAL CORP               COMMON STOCK  36191J101            300          34786SH       SOLE   0            34786
GT ADVANCED TECHNOLOGIES INC   COMMON STOCK  36191U106           1165         213713SH       SOLE   0           213713
GTX INC                        COMMON STOCK  40052B108            218          47621SH       SOLE   0            47621
GUARANTY BANCORP               COMMON STOCK  40075T102            278         137650SH       SOLE   0           137650
GUESS? INC                     COMMON STOCK  401617105           2817         110813SH       SOLE   0           110813
GUIDANCE SOFTWARE INC          COMMON STOCK  401692108            291          25861SH       SOLE   0            25861
GUIDEWIRE SOFTWARE INC         COMMON STOCK  40171V100           1086          34980SH       SOLE   0            34980
GULF ISLAND FABRICATION INC    COMMON STOCK  402307102            724          25961SH       SOLE   0            25961
GULFMARK OFFSHORE INC CL A     COMMON STOCK  402629208           1603          48513SH       SOLE   0            48513
GULFPORT ENERGY CORP           COMMON STOCK  402635304           3143         100558SH       SOLE   0           100558
GYRODYNE CO OF AMERICA INC     REIT          403820103            229           2112SH       SOLE   0             2112
H+E EQUIPMENT SERVICES INC     COMMON STOCK  404030108            629          51871SH       SOLE   0            51871
H+R BLOCK INC                  COMMON STOCK  093671105           8593         495819SH       SOLE   0           495819
H.B. FULLER CO.                COMMON STOCK  359694106           2766          90142SH       SOLE   0            90142
HACKETT GROUP INC/THE          COMMON STOCK  404609109            185          44313SH       SOLE   0            44313
HAEMONETICS CORP/MASS          COMMON STOCK  405024100           3671          45769SH       SOLE   0            45769
HAIN CELESTIAL GROUP INC       COMMON STOCK  405217100           4196          66604SH       SOLE   0            66604
HALCON RESOURCES CORP          COMMON STOCK  40537Q209           1475         201226SH       SOLE   0           201226
HALLADOR ENERGY CO             COMMON STOCK  40609P105             98          11806SH       SOLE   0            11806
HALLIBURTON CO                 COMMON STOCK  406216101          56184        1667666SH       SOLE   0          1667666
HALLMARK FINL SERVICES INC     COMMON STOCK  40624Q203            209          25696SH       SOLE   0            25696
HALOZYME THERAPEUTICS INC      COMMON STOCK  40637H109           1226         162110SH       SOLE   0           162110
HAMPTON ROADS BANKSHARES INC   COMMON STOCK  409321502             53       35483.22SH       SOLE   0         35483.22
HANCOCK HOLDING CO             COMMON STOCK  410120109           4265         137792SH       SOLE   0           137792
HANDY + HARMAN LTD             COMMON STOCK  410315105            144           9753SH       SOLE   0             9753
HANESBRANDS INC                COMMON STOCK  410345102           5619         176260SH       SOLE   0           176260
HANGER INC                     COMMON STOCK  41043F208           1759          61645SH       SOLE   0            61645
HANMI FINANCIAL CORPORATION    COMMON STOCK  410495204            729          56881SH       SOLE   0            56881
HANOVER INSURANCE GROUP INC/   COMMON STOCK  410867105           3030          81326SH       SOLE   0            81326
HANSEN MEDICAL INC             COMMON STOCK  411307101            193          98831SH       SOLE   0            98831
HARBINGER GROUP INC            COMMON STOCK  41146A106            627          74404SH       SOLE   0            74404
HARDINGE INC                   COMMON STOCK  412324303            216          21117SH       SOLE   0            21117
HARLEY DAVIDSON INC            COMMON STOCK  412822108          17722         418270SH       SOLE   0           418270
HARMAN INTERNATIONAL           COMMON STOCK  413086109          15112         327382SH       SOLE   0           327382
HARMONIC INC                   COMMON STOCK  413160102            964         212348SH       SOLE   0           212348
HARRIS + HARRIS GROUP INC      COMMON STOCK  413833104            212          55815SH       SOLE   0            55815
HARRIS CORP                    COMMON STOCK  413875105          10531         205597SH       SOLE   0           205597
HARRIS TEETER SUPERMARKETS I   COMMON STOCK  414585109           3078          79258SH       SOLE   0            79258
HARSCO CORP                    COMMON STOCK  415864107           2987         145511SH       SOLE   0           145511
HARTE HANKS INC                COMMON STOCK  416196103            557          80406SH       SOLE   0            80406
HARTFORD FINANCIAL SVCS GRP    COMMON STOCK  416515104          15485         796571SH       SOLE   0           796571
HARVARD BIOSCIENCE INC         COMMON STOCK  416906105            189          44656SH       SOLE   0            44656
HARVEST NATURAL RESOURCES IN   COMMON STOCK  41754V103            602          67509SH       SOLE   0            67509
HASBRO INC                     COMMON STOCK  418056107           7958         208480SH       SOLE   0           208480
HATTERAS FINANCIAL CORP        REIT          41902R103           4979         176621SH       SOLE   0           176621
HAVERTY FURNITURE              COMMON STOCK  419596101            482          34698SH       SOLE   0            34698
HAWAIIAN ELECTRIC INDS         COMMON STOCK  419870100           4592         174533SH       SOLE   0           174533
HAWAIIAN HOLDINGS INC          COMMON STOCK  419879101            516          92289SH       SOLE   0            92289
HAWAIIAN TELCOM HOLDCO INC     COMMON STOCK  420031106            328          18481SH       SOLE   0            18481
HAWKINS INC                    COMMON STOCK  420261109            688          16547SH       SOLE   0            16547
HAYNES INTERNATIONAL INC       COMMON STOCK  420877201           1158          22211SH       SOLE   0            22211
HCA HOLDINGS INC               COMMON STOCK  40412C101           9912         298099SH       SOLE   0           298099
HCC INSURANCE HOLDINGS INC     COMMON STOCK  404132102           6195         182792SH       SOLE   0           182792
HCP INC                        REIT          40414L109          33714         757962SH       SOLE   0           757962
HEADWATERS INC                 COMMON STOCK  42210P102            726         110305SH       SOLE   0           110305
HEALTH CARE REIT INC           REIT          42217K106          27024         467947SH       SOLE   0           467947
HEALTH MGMT ASSOCIATES INC A   COMMON STOCK  421933102           3886         463211SH       SOLE   0           463211
HEALTH NET INC                 COMMON STOCK  42222G108           3387         150450SH       SOLE   0           150450
HEALTHCARE REALTY TRUST INC    REIT          421946104           3247         140854SH       SOLE   0           140854
HEALTHCARE SERVICES GROUP      COMMON STOCK  421906108           2776         121366SH       SOLE   0           121366
HEALTHSOUTH CORP               COMMON STOCK  421924309           4156         172729SH       SOLE   0           172729
HEALTHSTREAM INC               COMMON STOCK  42222N103           1003          35257SH       SOLE   0            35257
HEALTHWAYS INC                 COMMON STOCK  422245100            707          60381SH       SOLE   0            60381
HEARTLAND EXPRESS INC          COMMON STOCK  422347104           1158          86661SH       SOLE   0            86661
HEARTLAND FINANCIAL USA INC    COMMON STOCK  42234Q102            717          26276SH       SOLE   0            26276
HEARTLAND PAYMENT SYSTEMS IN   COMMON STOCK  42235N108           2218          70009SH       SOLE   0            70009
HEARTWARE INTERNATIONAL INC    COMMON STOCK  422368100           2418          25591SH       SOLE   0            25591
HECKMANN CORP                  COMMON STOCK  422680108           1015         241612SH       SOLE   0           241612
HECLA MINING CO                COMMON STOCK  422704106           3377         515498SH       SOLE   0           515498
HEICO CORP                     COMMON STOCK  422806109           3683          95182SH       SOLE   0            95182
HEIDRICK + STRUGGLES INTL      COMMON STOCK  422819102            415          32543SH       SOLE   0            32543
HELEN OF TROY LTD              COMMON STOCK  G4388N106           1822          57256SH       SOLE   0            57256
HELIX ENERGY SOLUTIONS GROUP   COMMON STOCK  42330P107           3487         190873SH       SOLE   0           190873
HELMERICH + PAYNE              COMMON STOCK  423452101           8252         173329SH       SOLE   0           173329
HENRY SCHEIN INC               COMMON STOCK  806407102          12867         162320SH       SOLE   0           162320
HERBALIFE LTD                  COMMON STOCK  G4412G101          10006         211095SH       SOLE   0           211095
HERCULES OFFSHORE INC          COMMON STOCK  427093109           1397         286192SH       SOLE   0           286192
HERCULES TECHNOLOGY GROWTH     COMMON STOCK  427096508            989          89826SH       SOLE   0            89826
HERITAGE COMMERCE CORP         COMMON STOCK  426927109            260          37406SH       SOLE   0            37406
HERITAGE CRYSTAL CLEAN INC     COMMON STOCK  42726M106            275          13838SH       SOLE   0            13838
HERITAGE FINANCIAL CORP        COMMON STOCK  42722X106            420          27964SH       SOLE   0            27964
HERITAGE FINANCIAL GROUP INC   COMMON STOCK  42726X102            206          15684SH       SOLE   0            15684
HERITAGE OAKS BANCORP          COMMON STOCK  42724R107            209          36356SH       SOLE   0            36356
HERMAN MILLER INC              COMMON STOCK  600544100           2049         105412SH       SOLE   0           105412
HERSHA HOSPITALITY TRUST       REIT          427825104           1523         310767SH       SOLE   0           310767
HERSHEY CO/THE                 COMMON STOCK  427866108          19220         271130SH       SOLE   0           271130
HERTZ GLOBAL HOLDINGS INC      COMMON STOCK  42805T105           6164         448909SH       SOLE   0           448909
HESS CORP                      COMMON STOCK  42809H107          29543         549952SH       SOLE   0           549952
HEWLETT PACKARD CO             COMMON STOCK  428236103          60948        3572548SH       SOLE   0          3572548
HEXCEL CORP                    COMMON STOCK  428291108           4321         179910SH       SOLE   0           179910
HFF INC CLASS A                COMMON STOCK  40418F108            877          58890SH       SOLE   0            58890
HI TECH PHARMACAL CO INC       COMMON STOCK  42840B101            639          19299SH       SOLE   0            19299
HIBBETT SPORTS INC             COMMON STOCK  428567101           2833          47648SH       SOLE   0            47648
HICKORYTECH CORP               COMMON STOCK  429060106            258          24382SH       SOLE   0            24382
HIGHER ONE HOLDINGS INC        COMMON STOCK  42983D104            783          58061SH       SOLE   0            58061
HIGHWOODS PROPERTIES INC       REIT          431284108           4358         133589SH       SOLE   0           133589
HILL INTERNATIONAL INC         COMMON STOCK  431466101            179          40992SH       SOLE   0            40992
HILL ROM HOLDINGS INC          COMMON STOCK  431475102           3258         112103SH       SOLE   0           112103
HILLENBRAND INC                COMMON STOCK  431571108           1813          99655SH       SOLE   0            99655
HILLSHIRE BRANDS CO            COMMON STOCK  432589109           5742         214427SH       SOLE   0           214427
HILLTOP HOLDINGS INC           COMMON STOCK  432748101            911          71714SH       SOLE   0            71714
HINGHAM INSTITUTION FOR SVGS   COMMON STOCK  433323102            146           2273SH       SOLE   0             2273
HITTITE MICROWAVE CORP         COMMON STOCK  43365Y104           3160          56975SH       SOLE   0            56975
HJ HEINZ CO                    COMMON STOCK  423074103          32338         577980SH       SOLE   0           577980
HMS HOLDINGS CORP              COMMON STOCK  40425J101           5193         155352SH       SOLE   0           155352
HNI CORP                       COMMON STOCK  404251100           2100          82304SH       SOLE   0            82304
HOLLYFRONTIER CORP             COMMON STOCK  436106108          15420         373635SH       SOLE   0           373635
HOLOGIC INC                    COMMON STOCK  436440101           9675         478026SH       SOLE   0           478026
HOME BANCORP INC               COMMON STOCK  43689E107            222          12326SH       SOLE   0            12326
HOME BANCSHARES INC            COMMON STOCK  436893200           1357          39802SH       SOLE   0            39802
HOME DEPOT INC                 COMMON STOCK  437076102         166951        2765463SH       SOLE   0          2765463
HOME FEDERAL BANCORP INC/MD    COMMON STOCK  43710G105            321          28367SH       SOLE   0            28367
HOME LOAN SERVICING SOLUTION   COMMON STOCK  G6648D109            852          52372SH       SOLE   0            52372
HOME PROPERTIES INC            REIT          437306103           5389          87957SH       SOLE   0            87957
HOMEAWAY INC                   COMMON STOCK  43739Q100           1364          58182SH       SOLE   0            58182
HOMEOWNERS CHOICE INC          COMMON STOCK  43741E103            325          13838SH       SOLE   0            13838
HOMESTREET INC                 COMMON STOCK  43785V102            298           7828SH       SOLE   0             7828
HOMETRUST BANCSHARES INC       COMMON STOCK  437872104            506          38200SH       SOLE   0            38200
HONEYWELL INTERNATIONAL INC    COMMON STOCK  438516106          84114        1407761SH       SOLE   0          1407761
HOOKER FURNITURE CORP          COMMON STOCK  439038100            253          19454SH       SOLE   0            19454
HORACE MANN EDUCATORS          COMMON STOCK  440327104           1298          71687SH       SOLE   0            71687
HORIZON BANCORP INDIANA        COMMON STOCK  440407104            224           7850SH       SOLE   0             7850
HORIZON PHARMA INC             COMMON STOCK  44047T109            222          63941SH       SOLE   0            63941
HORIZON TECHNOLOGY FINANCE C   COMMON STOCK  44045A102            228          14104SH       SOLE   0            14104
HORMEL FOODS CORP              COMMON STOCK  440452100           7103         242917SH       SOLE   0           242917
HORNBECK OFFSHORE SERVICES     COMMON STOCK  440543106           2337          63759SH       SOLE   0            63759
HORSEHEAD HOLDING CORP         COMMON STOCK  440694305            739          79107SH       SOLE   0            79107
HOSPIRA INC                    COMMON STOCK  441060100           9793         298393SH       SOLE   0           298393
HOSPITALITY PROPERTIES TRUST   REIT          44106M102           5309         223264SH       SOLE   0           223264
HOST HOTELS + RESORTS INC      REIT          44107P104          20854        1299324SH       SOLE   0          1299324
HOT TOPIC INC                  COMMON STOCK  441339108            663          76159SH       SOLE   0            76159
HOUSTON WIRE + CABLE CO        COMMON STOCK  44244K109            347          32224SH       SOLE   0            32224
HOVNANIAN ENTERPRISES A        COMMON STOCK  442487203            624         180281SH       SOLE   0           180281
HOWARD HUGHES CORP/THE         COMMON STOCK  44267D107           3523          49582SH       SOLE   0            49582
HSN INC                        COMMON STOCK  404303109           3360          68496SH       SOLE   0            68496
HUB GROUP INC CL A             COMMON STOCK  443320106           1990          67035SH       SOLE   0            67035
HUBBELL INC  CL B              COMMON STOCK  443510201           8640         107004SH       SOLE   0           107004
HUDSON CITY BANCORP INC        COMMON STOCK  443683107           7596         954332SH       SOLE   0           954332
HUDSON GLOBAL INC              COMMON STOCK  443787106            267          59899SH       SOLE   0            59899
HUDSON PACIFIC PROPERTIES IN   REIT          444097109           1199          64808SH       SOLE   0            64808
HUDSON VALLEY HOLDING CORP     COMMON STOCK  444172100            478          28055SH       SOLE   0            28055
HUMANA INC                     COMMON STOCK  444859102          20679         294782SH       SOLE   0           294782
HUNT (JB) TRANSPRT SVCS INC    COMMON STOCK  445658107           8442         162230SH       SOLE   0           162230
HUNTINGTON BANCSHARES INC      COMMON STOCK  446150104          10780        1562276SH       SOLE   0          1562276
HUNTINGTON INGALLS INDUSTRIE   COMMON STOCK  446413106           3758          89370SH       SOLE   0            89370
HUNTSMAN CORP                  COMMON STOCK  447011107           5158         345510SH       SOLE   0           345510
HURCO COMPANIES INC            COMMON STOCK  447324104            266          11627SH       SOLE   0            11627
HURON CONSULTING GROUP INC     COMMON STOCK  447462102           1441          41382SH       SOLE   0            41382
HYATT HOTELS CORP   CL A       COMMON STOCK  448579102           3276          81605SH       SOLE   0            81605
HYPERION THERAPEUTICS INC      COMMON STOCK  44915N101             68           6400SH       SOLE   0             6400
IAC/INTERACTIVECORP            COMMON STOCK  44919P508           7385         141861SH       SOLE   0           141861
IBERIABANK CORP                COMMON STOCK  450828108           2441          53296SH       SOLE   0            53296
ICF INTERNATIONAL INC          COMMON STOCK  44925C103            722          35936SH       SOLE   0            35936
ICG GROUP INC                  COMMON STOCK  44928D108            684          67304SH       SOLE   0            67304
ICONIX BRAND GROUP INC         COMMON STOCK  451055107           2336         128084SH       SOLE   0           128084
ICU MEDICAL INC                COMMON STOCK  44930G107           1367          22609SH       SOLE   0            22609
IDACORP INC                    COMMON STOCK  451107106           3916          90502SH       SOLE   0            90502
IDENIX PHARMACEUTICALS INC     COMMON STOCK  45166R204            744         162748SH       SOLE   0           162748
IDEX CORP                      COMMON STOCK  45167R104           6339         151770SH       SOLE   0           151770
IDEXX LABORATORIES INC         COMMON STOCK  45168D104           9883          99475SH       SOLE   0            99475
IDT CORP CLASS B               COMMON STOCK  448947507            281          27363SH       SOLE   0            27363
IGATE CORP                     COMMON STOCK  45169U105           1055          58045SH       SOLE   0            58045
IGNITE RESTAURANT GROUP INC    COMMON STOCK  451730105            167          11973SH       SOLE   0            11973
IHS INC CLASS A                COMMON STOCK  451734107           8852          90932SH       SOLE   0            90932
II VI INC                      COMMON STOCK  902104108           1807          95006SH       SOLE   0            95006
ILLINOIS TOOL WORKS            COMMON STOCK  452308109          45753         769344SH       SOLE   0           769344
ILLUMINA INC                   COMMON STOCK  452327109          10748         222989SH       SOLE   0           222989
IMATION CORP                   COMMON STOCK  45245A107            312          55841SH       SOLE   0            55841
IMMERSION CORPORATION          COMMON STOCK  452521107            277          50692SH       SOLE   0            50692
IMMUNOCELLULAR THERAPEUTICS    COMMON STOCK  452536105            202          71746SH       SOLE   0            71746
IMMUNOGEN INC                  COMMON STOCK  45253H101           2201         150770SH       SOLE   0           150770
IMMUNOMEDICS INC               COMMON STOCK  452907108            418         119088SH       SOLE   0           119088
IMPAX LABORATORIES INC         COMMON STOCK  45256B101           3144         121114SH       SOLE   0           121114
IMPERVA INC                    COMMON STOCK  45321L100            650          17564SH       SOLE   0            17564
INCONTACT INC                  COMMON STOCK  45336E109            441          67574SH       SOLE   0            67574
INCYTE CORP                    COMMON STOCK  45337C102           3137         173817SH       SOLE   0           173817
INDEPENDENCE HOLDING CO        COMMON STOCK  453440307            149          14779SH       SOLE   0            14779
INDEPENDENT BANK CORP/MA       COMMON STOCK  453836108           1175          39045SH       SOLE   0            39045
INFINERA CORP                  COMMON STOCK  45667G103           1086         198210SH       SOLE   0           198210
INFINITY PHARMACEUTICALS INC   COMMON STOCK  45665G303           1028          43658SH       SOLE   0            43658
INFINITY PROPERTY + CASUALTY   COMMON STOCK  45665Q103           1290          21360SH       SOLE   0            21360
INFOBLOX INC                   COMMON STOCK  45672H104            325          13978SH       SOLE   0            13978
INFORMATICA CORP               COMMON STOCK  45666Q102           6807         195539SH       SOLE   0           195539
INGERSOLL RAND PLC             COMMON STOCK  G47791101          24190         539709SH       SOLE   0           539709
INGLES MARKETS INC CLASS A     COMMON STOCK  457030104            373          22783SH       SOLE   0            22783
INGRAM MICRO INC CL A          COMMON STOCK  457153104           4192         275242SH       SOLE   0           275242
INGREDION INC                  COMMON STOCK  457187102           7614         138035SH       SOLE   0           138035
INLAND REAL ESTATE CORP        REIT          457461200           1140         138177SH       SOLE   0           138177
INNERWORKINGS INC              COMMON STOCK  45773Y105           1626         124847SH       SOLE   0           124847
INNODATA INC                   COMMON STOCK  457642205            162          39981SH       SOLE   0            39981
INNOPHOS HOLDINGS INC          COMMON STOCK  45774N108           1909          39369SH       SOLE   0            39369
INNOSPEC INC                   COMMON STOCK  45768S105           1412          41641SH       SOLE   0            41641
INPHI CORP                     COMMON STOCK  45772F107            451          42293SH       SOLE   0            42293
INSIGHT ENTERPRISES INC        COMMON STOCK  45765U103           1402          80208SH       SOLE   0            80208
INSPERITY INC                  COMMON STOCK  45778Q107           1033          40961SH       SOLE   0            40961
INSTEEL INDUSTRIES INC         COMMON STOCK  45774W108            375          31935SH       SOLE   0            31935
INSULET CORP                   COMMON STOCK  45784P101           1862          86281SH       SOLE   0            86281
INTEGRA LIFESCIENCES HOLDING   COMMON STOCK  457985208           1447          35214SH       SOLE   0            35214
INTEGRATED DEVICE TECH INC     COMMON STOCK  458118106           1511         256980SH       SOLE   0           256980
INTEGRATED SILICON SOLUTION    COMMON STOCK  45812P107            457          49372SH       SOLE   0            49372
INTEGRYS ENERGY GROUP INC      COMMON STOCK  45822P105           7383         141432SH       SOLE   0           141432
INTEL CORP                     COMMON STOCK  458140100         206153        9089654SH       SOLE   0          9089654
INTER PARFUMS INC              COMMON STOCK  458334109            540          29532SH       SOLE   0            29532
INTERACTIVE BROKERS GRO CL A   COMMON STOCK  45841N107           1009          71982SH       SOLE   0            71982
INTERACTIVE INTELLIGENCE GRO   COMMON STOCK  45841V109            798          26555SH       SOLE   0            26555
INTERCONTINENTALEXCHANGE INC   COMMON STOCK  45865V100          17534         131428SH       SOLE   0           131428
INTERDIGITAL INC               COMMON STOCK  45867G101           2986          80108SH       SOLE   0            80108
INTERFACE INC                  COMMON STOCK  458665304           1398         105847SH       SOLE   0           105847
INTERMEC INC                   COMMON STOCK  458786100            673         108308SH       SOLE   0           108308
INTERMOLECULAR INC             COMMON STOCK  45882D109            177          24970SH       SOLE   0            24970
INTERMUNE INC                  COMMON STOCK  45884X103           1060         118154SH       SOLE   0           118154
INTERNAP NETWORK SERVICES      COMMON STOCK  45885A300            676          95819SH       SOLE   0            95819
INTERNATIONAL BANCSHARES CRP   COMMON STOCK  459044103           1833          96225SH       SOLE   0            96225
INTERNATIONAL PAPER CO         COMMON STOCK  460146103          28697         790108SH       SOLE   0           790108
INTERPUBLIC GROUP OF COS INC   COMMON STOCK  460690100           8901         800463SH       SOLE   0           800463
INTERSECTIONS INC              COMMON STOCK  460981301            173          16403SH       SOLE   0            16403
INTERSIL CORP A                COMMON STOCK  46069S109           2014         230223SH       SOLE   0           230223
INTERVAL LEISURE GROUP         COMMON STOCK  46113M108           1325          70013SH       SOLE   0            70013
INTEVAC INC                    COMMON STOCK  461148108            256          41917SH       SOLE   0            41917
INTL BUSINESS MACHINES CORP    COMMON STOCK  459200101         408557        1969425SH       SOLE   0          1969425
INTL FCSTONE INC               COMMON STOCK  46116V105            473          24840SH       SOLE   0            24840
INTL FLAVORS + FRAGRANCES      COMMON STOCK  459506101           8725         146450SH       SOLE   0           146450
INTL GAME TECHNOLOGY           COMMON STOCK  459902102           6317         482601SH       SOLE   0           482601
INTL RECTIFIER CORP            COMMON STOCK  460254105           2086         124983SH       SOLE   0           124983
INTL SHIPHOLDING CORP          COMMON STOCK  460321201            168           9940SH       SOLE   0             9940
INTL SPEEDWAY CORP CL A        COMMON STOCK  460335201           1420          50068SH       SOLE   0            50068
INTRALINKS HOLDINGS INC        COMMON STOCK  46118H104            431          65899SH       SOLE   0            65899
INTREPID POTASH INC            COMMON STOCK  46121Y102           2089          97249SH       SOLE   0            97249
INTUIT INC                     COMMON STOCK  461202103          31243         530618SH       SOLE   0           530618
INTUITIVE SURGICAL INC         COMMON STOCK  46120E602          35538          71703SH       SOLE   0            71703
INVACARE CORP                  COMMON STOCK  461203101            813          57469SH       SOLE   0            57469
INVENSENSE INC                 COMMON STOCK  46123D205            786          65796SH       SOLE   0            65796
INVENTURE FOODS INC            COMMON STOCK  461212102            134          23600SH       SOLE   0            23600
INVESCO LTD                    COMMON STOCK  G491BT108          20238         809824SH       SOLE   0           809824
INVESCO MORTGAGE CAPITAL       REIT          46131B100           4197         208501SH       SOLE   0           208501
INVESTMENT TECHNOLOGY GROUP    COMMON STOCK  46145F105            610          70072SH       SOLE   0            70072
INVESTORS BANCORP INC          COMMON STOCK  46146P102           1456          79844SH       SOLE   0            79844
INVESTORS REAL ESTATE TRUST    REIT          461730103           1357         164132SH       SOLE   0           164132
INVESTORS TITLE CO             COMMON STOCK  461804106            143           2195SH       SOLE   0             2195
ION GEOPHYSICAL CORP           COMMON STOCK  462044108           1654         238334SH       SOLE   0           238334
IPASS INC                      COMMON STOCK  46261V108            206          93542SH       SOLE   0            93542
IPC THE HOSPITALIST CO         COMMON STOCK  44984A105           1367          29911SH       SOLE   0            29911
IPG PHOTONICS CORP             COMMON STOCK  44980X109           3299          57576SH       SOLE   0            57576
IRIDIUM COMMUNICATIONS INC     COMMON STOCK  46269C102            657          89810SH       SOLE   0            89810
IRIS INTERNATIONAL INC         COMMON STOCK  46270W105            561          28749SH       SOLE   0            28749
IROBOT CORP                    COMMON STOCK  462726100           1130          49640SH       SOLE   0            49640
IRON MOUNTAIN INC              COMMON STOCK  462846106           9328         273462SH       SOLE   0           273462
IRONWOOD PHARMACEUTICALS INC   COMMON STOCK  46333X108           1735         135776SH       SOLE   0           135776
ISIS PHARMACEUTICALS INC       COMMON STOCK  464330109           2546         180965SH       SOLE   0           180965
ISLE OF CAPRI CASINOS          COMMON STOCK  464592104            262          37720SH       SOLE   0            37720
ISRAMCO INC                    COMMON STOCK  465141406            211           1823SH       SOLE   0             1823
ISTAR FINANCIAL INC            REIT          45031U101           1262         152404SH       SOLE   0           152404
ITC HOLDINGS CORP              COMMON STOCK  465685105           7016          92831SH       SOLE   0            92831
ITRON INC                      COMMON STOCK  465741106           3116          72212SH       SOLE   0            72212
ITT CORP                       COMMON STOCK  450911201           3361         166798SH       SOLE   0           166798
ITT EDUCATIONAL SERVICES INC   COMMON STOCK  45068B109           1404          43571SH       SOLE   0            43571
IXIA                           COMMON STOCK  45071R109           1225          76231SH       SOLE   0            76231
IXYS CORPORATION               COMMON STOCK  46600W106            440          44318SH       SOLE   0            44318
J + J SNACK FOODS CORP         COMMON STOCK  466032109           1535          26773SH       SOLE   0            26773
J.C. PENNEY CO INC             COMMON STOCK  708160106           7003         288288SH       SOLE   0           288288
J2 GLOBAL INC                  COMMON STOCK  48123V102           2742          83557SH       SOLE   0            83557
JABIL CIRCUIT INC              COMMON STOCK  466313103           6264         334609SH       SOLE   0           334609
JACK HENRY + ASSOCIATES INC    COMMON STOCK  426281101           5978         157741SH       SOLE   0           157741
JACK IN THE BOX INC            COMMON STOCK  466367109           2247          79921SH       SOLE   0            79921
JACOBS ENGINEERING GROUP INC   COMMON STOCK  469814107           9423         233077SH       SOLE   0           233077
JAKKS PACIFIC INC              COMMON STOCK  47012E106            580          39774SH       SOLE   0            39774
JAMBA INC                      COMMON STOCK  47023A101            270         121231SH       SOLE   0           121231
JANUS CAPITAL GROUP INC        COMMON STOCK  47102X105           3214         340514SH       SOLE   0           340514
JARDEN CORP                    COMMON STOCK  471109108           7607         143958SH       SOLE   0           143958
JAZZ PHARMACEUTICALS PLC       COMMON STOCK  G50871105           4276          74997SH       SOLE   0            74997
JDA SOFTWARE GROUP INC         COMMON STOCK  46612K108           2443          76876SH       SOLE   0            76876
JDS UNIPHASE CORP              COMMON STOCK  46612J507           5175         417806SH       SOLE   0           417806
JEFFERIES GROUP INC            COMMON STOCK  472319102           3498         255548SH       SOLE   0           255548
JETBLUE AIRWAYS CORP           COMMON STOCK  477143101           2023         422302SH       SOLE   0           422302
JIVE SOFTWARE INC              COMMON STOCK  47760A108            459          29226SH       SOLE   0            29226
JM SMUCKER CO/THE              COMMON STOCK  832696405          17473         202392SH       SOLE   0           202392
JMP GROUP INC                  COMMON STOCK  46629U107            158          28819SH       SOLE   0            28819
JOHN B. SANFILIPPO + SON INC   COMMON STOCK  800422107            188          14412SH       SOLE   0            14412
JOHN BEAN TECHNOLOGIES CORP    COMMON STOCK  477839104            853          52253SH       SOLE   0            52253
JOHNSON + JOHNSON              COMMON STOCK  478160104         341926        4961924SH       SOLE   0          4961924
JOHNSON CONTROLS INC           COMMON STOCK  478366107          33673        1228947SH       SOLE   0          1228947
JOHNSON OUTDOORS INC A         COMMON STOCK  479167108            219          10253SH       SOLE   0            10253
JONES GROUP INC/THE            COMMON STOCK  48020T101           1909         148315SH       SOLE   0           148315
JONES LANG LASALLE INC         COMMON STOCK  48020Q107           6037          79068SH       SOLE   0            79068
JOS A BANK CLOTHIERS INC       COMMON STOCK  480838101           2440          50337SH       SOLE   0            50337
JOURNAL COMMUNICATIONS INC A   COMMON STOCK  481130102            404          77634SH       SOLE   0            77634
JOY GLOBAL INC                 COMMON STOCK  481165108          10716         191156SH       SOLE   0           191156
JPMORGAN CHASE + CO            COMMON STOCK  46625H100         278406        6877616SH       SOLE   0          6877616
JUNIPER NETWORKS INC           COMMON STOCK  48203R104          16370         956725SH       SOLE   0           956725
K SWISS INC A                  COMMON STOCK  482686102            163          47617SH       SOLE   0            47617
K12 INC                        COMMON STOCK  48273U102            975          48244SH       SOLE   0            48244
KADANT INC                     COMMON STOCK  48282T104            490          21124SH       SOLE   0            21124
KAISER ALUMINUM CORP           COMMON STOCK  483007704           2034          34840SH       SOLE   0            34840
KAISER FEDERAL FINANCIAL GRO   COMMON STOCK  483056107            247          16360SH       SOLE   0            16360
KAMAN CORP                     COMMON STOCK  483548103           1711          47703SH       SOLE   0            47703
KANSAS CITY LIFE INS CO        COMMON STOCK  484836101            286           7424SH       SOLE   0             7424
KANSAS CITY SOUTHERN           COMMON STOCK  485170302          15056         198674SH       SOLE   0           198674
KAPSTONE PAPER AND PACKAGING   COMMON STOCK  48562P103           1634          72999SH       SOLE   0            72999
KAR AUCTION SERVICES INC       COMMON STOCK  48238T109           1036          52491SH       SOLE   0            52491
KAYAK SOFTWARE CORP            COMMON STOCK  486577109            223           6300SH       SOLE   0             6300
KAYDON CORP                    COMMON STOCK  486587108           1293          57861SH       SOLE   0            57861
KB HOME                        COMMON STOCK  48666K109           2000         139376SH       SOLE   0           139376
KBR INC                        COMMON STOCK  48242W106           7996         268134SH       SOLE   0           268134
KBW INC                        COMMON STOCK  482423100           1033          62731SH       SOLE   0            62731
KCAP FINANCIAL INC             COMMON STOCK  48668E101            363          39216SH       SOLE   0            39216
KEARNY FINANCIAL CORP          COMMON STOCK  487169104            266          27259SH       SOLE   0            27259
KELLOGG CO                     COMMON STOCK  487836108          22555         436613SH       SOLE   0           436613
KELLY SERVICES INC  A          COMMON STOCK  488152208            610          48399SH       SOLE   0            48399
KEMET CORP                     COMMON STOCK  488360207            357          81151SH       SOLE   0            81151
KEMPER CORP                    COMMON STOCK  488401100           2734          89041SH       SOLE   0            89041
KENEXA CORP                    COMMON STOCK  488879107           2264          49409SH       SOLE   0            49409
KENNAMETAL INC                 COMMON STOCK  489170100           5364         144651SH       SOLE   0           144651
KENNEDY WILSON HOLDINGS INC    COMMON STOCK  489398107           1089          77961SH       SOLE   0            77961
KERYX BIOPHARMACEUTICALS       COMMON STOCK  492515101            363         128650SH       SOLE   0           128650
KEY ENERGY SERVICES INC        COMMON STOCK  492914106           1910         272790SH       SOLE   0           272790
KEY TRONIC CORP                COMMON STOCK  493144109            187          18875SH       SOLE   0            18875
KEYCORP                        COMMON STOCK  493267108          15051        1722064SH       SOLE   0          1722064
KEYNOTE SYSTEMS INC            COMMON STOCK  493308100            411          28355SH       SOLE   0            28355
KEYW HOLDING CORP/THE          COMMON STOCK  493723100            420          33637SH       SOLE   0            33637
KFORCE INC                     COMMON STOCK  493732101            613          52031SH       SOLE   0            52031
KILROY REALTY CORP             REIT          49427F108           6041         134896SH       SOLE   0           134896
KIMBALL INTERNATIONAL B        COMMON STOCK  494274103            719          58842SH       SOLE   0            58842
KIMBERLY CLARK CORP            COMMON STOCK  494368103          60775         708500SH       SOLE   0           708500
KIMCO REALTY CORP              REIT          49446R109          14903         735246SH       SOLE   0           735246
KINDER MORGAN INC              COMMON STOCK  49456B101          31353         882672SH       SOLE   0           882672
KINDRED HEALTHCARE INC         COMMON STOCK  494580103           1088          95574SH       SOLE   0            95574
KIOR INC   CL A                COMMON STOCK  497217109            444          47736SH       SOLE   0            47736
KIRBY CORP                     COMMON STOCK  497266106           5580         100939SH       SOLE   0           100939
KIRKLAND S INC                 COMMON STOCK  497498105            244          24566SH       SOLE   0            24566
KIT DIGITAL INC                COMMON STOCK  '482470200           297          98977SH       SOLE   0            98977
KITE REALTY GROUP TRUST        REIT          49803T102            507          99473SH       SOLE   0            99473
KLA TENCOR CORPORATION         COMMON STOCK  482480100          14422         302307SH       SOLE   0           302307
KMG CHEMICALS INC              COMMON STOCK  482564101            262          14151SH       SOLE   0            14151
KNIGHT CAPITAL GROUP INC A     COMMON STOCK  499005106            880         328288SH       SOLE   0           328288
KNIGHT TRANSPORTATION INC      COMMON STOCK  499064103           1495         104537SH       SOLE   0           104537
KNIGHTSBRIDGE TANKERS LTD      COMMON STOCK  G5299G106            289          44047SH       SOLE   0            44047
KNOLL INC                      COMMON STOCK  498904200           1208          86567SH       SOLE   0            86567
KODIAK OIL + GAS CORP          COMMON STOCK  50015Q100           4457         476170SH       SOLE   0           476170
KOHLS CORP                     COMMON STOCK  500255104          22510         439483SH       SOLE   0           439483
KOPIN CORP                     COMMON STOCK  500600101            454         120690SH       SOLE   0           120690
KOPPERS HOLDINGS INC           COMMON STOCK  50060P106           1309          37469SH       SOLE   0            37469
KORN/FERRY INTERNATIONAL       COMMON STOCK  500643200           1324          86356SH       SOLE   0            86356
KOSMOS ENERGY LTD              COMMON STOCK  G5315B107           1454         127617SH       SOLE   0           127617
KRATON PERFORMANCE POLYMERS    COMMON STOCK  50077C106           1519          58216SH       SOLE   0            58216
KRATOS DEFENSE + SECURITY      COMMON STOCK  50077B207            423          72466SH       SOLE   0            72466
KRISPY KREME DOUGHNUTS INC     COMMON STOCK  501014104            852         107403SH       SOLE   0           107403
KROGER CO                      COMMON STOCK  501044101          22438         953184SH       SOLE   0           953184
KRONOS WORLDWIDE INC           COMMON STOCK  50105F105            550          36834SH       SOLE   0            36834
KVH INDUSTRIES INC             COMMON STOCK  482738101            360          26699SH       SOLE   0            26699
L 3 COMMUNICATIONS HOLDINGS    COMMON STOCK  502424104          12621         175995SH       SOLE   0           175995
LA Z BOY INC                   COMMON STOCK  505336107           1368          93494SH       SOLE   0            93494
LABORATORY CRP OF AMER HLDGS   COMMON STOCK  50540R409          16173         174905SH       SOLE   0           174905
LACLEDE GROUP INC/THE          COMMON STOCK  505597104           1748          40648SH       SOLE   0            40648
LADENBURG THALMANN FINANCIAL   COMMON STOCK  50575Q102            245         185580SH       SOLE   0           185580
LAKELAND BANCORP INC           COMMON STOCK  511637100            553          53453SH       SOLE   0            53453
LAKELAND FINANCIAL CORP        COMMON STOCK  511656100            813          29462SH       SOLE   0            29462
LAM RESEARCH CORP              COMMON STOCK  512807108          10470         329390SH       SOLE   0           329390
LAMAR ADVERTISING CO A         COMMON STOCK  512815101           5158         139187SH       SOLE   0           139187
LANCASTER COLONY CORP          COMMON STOCK  513847103           2445          33376SH       SOLE   0            33376
LANDAUER INC                   COMMON STOCK  51476K103           1018          17040SH       SOLE   0            17040
LANDEC CORP                    COMMON STOCK  514766104            528          46138SH       SOLE   0            46138
LANDSTAR SYSTEM INC            COMMON STOCK  515098101           4010          84816SH       SOLE   0            84816
LANNETT CO INC                 COMMON STOCK  516012101            139          28739SH       SOLE   0            28739
LAREDO PETROLEUM HOLDINGS IN   COMMON STOCK  516806106            820          37319SH       SOLE   0            37319
LAS VEGAS SANDS CORP           COMMON STOCK  517834107          33291         717941SH       SOLE   0           717941
LASALLE HOTEL PROPERTIES       REIT          517942108           4128         154672SH       SOLE   0           154672
LATTICE SEMICONDUCTOR CORP     COMMON STOCK  518415104            816         213051SH       SOLE   0           213051
LAYNE CHRISTENSEN COMPANY      COMMON STOCK  521050104            703          35837SH       SOLE   0            35837
LAZARD LTD CL A                COMMON STOCK  G54050102           6038         206561SH       SOLE   0           206561
LEAP WIRELESS INTL INC         COMMON STOCK  521863308            663          97276SH       SOLE   0            97276
LEAPFROG ENTERPRISES INC       COMMON STOCK  52186N106            822          91137SH       SOLE   0            91137
LEAR CORP                      COMMON STOCK  521865204           6804         180035SH       SOLE   0           180035
LEGG MASON INC                 COMMON STOCK  524901105           6295         255056SH       SOLE   0           255056
LEGGETT + PLATT INC            COMMON STOCK  524660107           6344         253255SH       SOLE   0           253255
LENDER PROCESSING SERVICES     COMMON STOCK  52602E102           4258         152657SH       SOLE   0           152657
LENNAR CORP A                  COMMON STOCK  526057104          10163         292292SH       SOLE   0           292292
LENNOX INTERNATIONAL INC       COMMON STOCK  526107107           4455          92121SH       SOLE   0            92121
LEUCADIA NATIONAL CORP         COMMON STOCK  527288104           8112         356573SH       SOLE   0           356573
LEVEL 3 COMMUNICATIONS INC     COMMON STOCK  52729N308           6744         293589SH       SOLE   0           293589
LEXICON PHARMACEUTICALS INC    COMMON STOCK  528872104            832         358583SH       SOLE   0           358583
LEXINGTON REALTY TRUST         REIT          529043101           2071         214338SH       SOLE   0           214338
LEXMARK INTERNATIONAL INC A    COMMON STOCK  529771107           2860         128538SH       SOLE   0           128538
LHC GROUP INC                  COMMON STOCK  50187A107            532          28805SH       SOLE   0            28805
LIBBEY INC                     COMMON STOCK  529898108            586          37115SH       SOLE   0            37115
LIBERTY GLOBAL INC A           COMMON STOCK  530555101          25752         423909SH       SOLE   0           423909
LIBERTY GLOBAL INC SERIES C    COMMON STOCK  530555309           2990          53000SH       SOLE   0            53000
LIBERTY INTERACTIVE CORP       COMMON STOCK  53071M104          18672        1009276SH       SOLE   0          1009276
LIBERTY MEDIA CORP   LIBER A   COMMON STOCK  530322106          20430         196122SH       SOLE   0           196122
LIBERTY PROPERTY TRUST         REIT          531172104           6781         187114SH       SOLE   0           187114
LIBERTY VENTURES   SER A       COMMON STOCK  53071M880           2509          50548SH       SOLE   0            50548
LIBERTY VENTURES RTS           COMMON STOCK  53071M112            227      16750.002SH       SOLE   0        16750.002
LIFE TECHNOLOGIES CORP         COMMON STOCK  53217V109          15770         322618SH       SOLE   0           322618
LIFE TIME FITNESS INC          COMMON STOCK  53217R207           3544          77471SH       SOLE   0            77471
LIFEPOINT HOSPITALS INC        COMMON STOCK  53219L109           3771          88143SH       SOLE   0            88143
LIFETIME BRANDS INC            COMMON STOCK  53222Q103            208          17464SH       SOLE   0            17464
LIFEWAY FOODS INC              COMMON STOCK  531914109             79           8276SH       SOLE   0             8276
LIGAND PHARMACEUTICALS CL B    COMMON STOCK  53220K504            540          31487SH       SOLE   0            31487
LIMELIGHT NETWORKS INC         COMMON STOCK  53261M104            254         108339SH       SOLE   0           108339
LIMITED BRANDS INC             COMMON STOCK  532716107          21485         436150SH       SOLE   0           436150
LIMONEIRA CO                   COMMON STOCK  532746104            276          14992SH       SOLE   0            14992
LIN TV CORP CL A               COMMON STOCK  532774106            242          54917SH       SOLE   0            54917
LINCOLN EDUCATIONAL SERVICES   COMMON STOCK  533535100            172          41066SH       SOLE   0            41066
LINCOLN ELECTRIC HOLDINGS      COMMON STOCK  533900106           5906         151235SH       SOLE   0           151235
LINCOLN NATIONAL CORP          COMMON STOCK  534187109          12475         515705SH       SOLE   0           515705
LINDSAY CORP                   COMMON STOCK  535555106           1652          22957SH       SOLE   0            22957
LINEAR TECHNOLOGY CORP         COMMON STOCK  535678106          13246         415897SH       SOLE   0           415897
LINKEDIN CORP   A              COMMON STOCK  53578A108          13458         111778SH       SOLE   0           111778
LIONBRIDGE TECHNOLOGIES INC    COMMON STOCK  536252109            357         101390SH       SOLE   0           101390
LIONS GATE ENTERTAINMENT COR   COMMON STOCK  535919203           2340         153217SH       SOLE   0           153217
LIQUIDITY SERVICES INC         COMMON STOCK  53635B107           2140          42614SH       SOLE   0            42614
LITHIA MOTORS INC CL A         COMMON STOCK  536797103           1304          39160SH       SOLE   0            39160
LITTELFUSE INC                 COMMON STOCK  537008104           2213          39141SH       SOLE   0            39141
LIVE NATION ENTERTAINMENT IN   COMMON STOCK  538034109           2177         252878SH       SOLE   0           252878
LIVEPERSON INC                 COMMON STOCK  538146101           1801          99456SH       SOLE   0            99456
LKQ CORP                       COMMON STOCK  501889208           9856         532730SH       SOLE   0           532730
LMI AEROSPACE INC              COMMON STOCK  502079106            333          16279SH       SOLE   0            16279
LOCKHEED MARTIN CORP           COMMON STOCK  539830109          43978         470958SH       SOLE   0           470958
LOEWS CORP                     COMMON STOCK  540424108          23251         563530SH       SOLE   0           563530
LOGMEIN INC                    COMMON STOCK  54142L109            894          39861SH       SOLE   0            39861
LORAL SPACE + COMMUNICATIONS   COMMON STOCK  543881106           1409          19814SH       SOLE   0            19814
LOUISIANA PACIFIC CORP         COMMON STOCK  546347105           3106         248445SH       SOLE   0           248445
LOWE S COS INC                 COMMON STOCK  548661107          65503        2166121SH       SOLE   0          2166121
LPL FINANCIAL HOLDINGS INC     COMMON STOCK  50212V100           2602          91162SH       SOLE   0            91162
LSB INDUSTRIES INC             COMMON STOCK  502160104           1487          33899SH       SOLE   0            33899
LSI CORP                       COMMON STOCK  502161102           7102        1027827SH       SOLE   0          1027827
LSI INDUSTRIES INC             COMMON STOCK  50216C108            237          35138SH       SOLE   0            35138
LTC PROPERTIES INC             REIT          502175102           1751          54963SH       SOLE   0            54963
LTX CREDENCE CORP              COMMON STOCK  502403207            509          88573SH       SOLE   0            88573
LUBY S INC                     COMMON STOCK  549282101            242          36001SH       SOLE   0            36001
LUFKIN INDUSTRIES INC          COMMON STOCK  549764108           3268          60720SH       SOLE   0            60720
LUMBER LIQUIDATORS HOLDINGS    COMMON STOCK  55003T107           2522          49763SH       SOLE   0            49763
LUMINEX CORP                   COMMON STOCK  55027E102           1464          75290SH       SOLE   0            75290
LUMOS NETWORKS CORP            COMMON STOCK  550283105            215          27367SH       SOLE   0            27367
LYDALL INC                     COMMON STOCK  550819106            434          30818SH       SOLE   0            30818
LYONDELLBASELL INDU CL A       COMMON STOCK  N53745100          29981         580344SH       SOLE   0           580344
M + T BANK CORP                COMMON STOCK  55261F104          21763         228695SH       SOLE   0           228695
M/I HOMES INC                  COMMON STOCK  55305B101            748          38651SH       SOLE   0            38651
MA COM TECHNOLOGY SOLUTIONS    COMMON STOCK  55405Y100            139          10977SH       SOLE   0            10977
MAC GRAY CORP                  COMMON STOCK  554153106            289          21522SH       SOLE   0            21522
MACERICH CO/THE                REIT          554382101          13706         239488SH       SOLE   0           239488
MACK CALI REALTY CORP          REIT          554489104           4220         158644SH       SOLE   0           158644
MACY S INC                     COMMON STOCK  55616P104          28182         749112SH       SOLE   0           749112
MADISON SQUARE GARDEN CO A     COMMON STOCK  55826P100           4409         109483SH       SOLE   0           109483
MAGELLAN HEALTH SERVICES INC   COMMON STOCK  559079207           2548          49370SH       SOLE   0            49370
MAGICJACK VOCALTEC LTD         COMMON STOCK  M6787E101            669          27279SH       SOLE   0            27279
MAGNUM HUNTER RESOURCES CORP   COMMON STOCK  55973B102           1182         266170SH       SOLE   0           266170
MAIDEN HOLDINGS LTD            COMMON STOCK  G5753U112            805          90590SH       SOLE   0            90590
MAIDENFORM BRANDS INC          COMMON STOCK  560305104            870          42498SH       SOLE   0            42498
MAIN STREET CAPITAL CORP       COMMON STOCK  56035L104           1492          50557SH       SOLE   0            50557
MAINSOURCE FINANCIAL GROUP I   COMMON STOCK  56062Y102            469          36504SH       SOLE   0            36504
MAKO SURGICAL CORP             COMMON STOCK  560879108           1138          65344SH       SOLE   0            65344
MANHATTAN ASSOCIATES INC       COMMON STOCK  562750109           2105          36753SH       SOLE   0            36753
MANITOWOC COMPANY INC          COMMON STOCK  563571108           3186         238849SH       SOLE   0           238849
MANNING + NAPIER INC           COMMON STOCK  56382Q102            299          24546SH       SOLE   0            24546
MANNKIND CORP                  COMMON STOCK  56400P201            587         203735SH       SOLE   0           203735
MANPOWER INC                   COMMON STOCK  56418H100           5333         144909SH       SOLE   0           144909
MANTECH INTERNATIONAL CORP A   COMMON STOCK  564563104           1001          41705SH       SOLE   0            41705
MAP PHARMACEUTICALS INC        COMMON STOCK  56509R108            791          50779SH       SOLE   0            50779
MARATHON OIL CORP              COMMON STOCK  565849106          37680        1274279SH       SOLE   0          1274279
MARATHON PETROLEUM CORP        COMMON STOCK  56585A102          33603         615555SH       SOLE   0           615555
MARCHEX INC CLASS B            COMMON STOCK  56624R108            156          40820SH       SOLE   0            40820
MARCUS CORPORATION             COMMON STOCK  566330106            393          35411SH       SOLE   0            35411
MARINE PRODUCTS CORP           COMMON STOCK  568427108            111          18653SH       SOLE   0            18653
MARINEMAX INC                  COMMON STOCK  567908108            306          36886SH       SOLE   0            36886
MARKEL CORP                    COMMON STOCK  570535104           7991          17430SH       SOLE   0            17430
MARKET LEADER INC              COMMON STOCK  57056R103            266          39716SH       SOLE   0            39716
MARKETAXESS HOLDINGS INC       COMMON STOCK  57060D108           2085          65972SH       SOLE   0            65972
MARLIN BUSINESS SERVICES INC   COMMON STOCK  571157106            316          14880SH       SOLE   0            14880
MARRIOTT INTERNATIONAL CL A    COMMON STOCK  571903202          17960         459324SH       SOLE   0           459324
MARRIOTT VACATIONS WORLD       COMMON STOCK  57164Y107           1732          48072SH       SOLE   0            48072
MARSH + MCLENNAN COS           COMMON STOCK  571748102          33486         986928SH       SOLE   0           986928
MARTEN TRANSPORT LTD           COMMON STOCK  573075108            494          28134SH       SOLE   0            28134
MARTHA STEWART LIVING A        COMMON STOCK  573083102            154          50028SH       SOLE   0            50028
MARTIN MARIETTA MATERIALS      COMMON STOCK  573284106           6847          82623SH       SOLE   0            82623
MARVELL TECHNOLOGY GROUP LTD   COMMON STOCK  G5876H105           7769         849123SH       SOLE   0           849123
MASCO CORP                     COMMON STOCK  574599106           9710         645178SH       SOLE   0           645178
MASIMO CORPORATION             COMMON STOCK  574795100           2181          90200SH       SOLE   0            90200
MASTEC INC                     COMMON STOCK  576323109           1950          99004SH       SOLE   0            99004
MASTERCARD INC CLASS A         COMMON STOCK  57636Q104          88454         195919SH       SOLE   0           195919
MATADOR RESOURCES CO           COMMON STOCK  576485205            265          25491SH       SOLE   0            25491
MATERION CORP                  COMMON STOCK  576690101            879          36937SH       SOLE   0            36937
MATRIX SERVICE CO              COMMON STOCK  576853105            491          46463SH       SOLE   0            46463
MATSON INC                     COMMON STOCK  57686G105           1595          76284SH       SOLE   0            76284
MATTEL INC                     COMMON STOCK  577081102          21833         615357SH       SOLE   0           615357
MATTERSIGHT CORP               COMMON STOCK  577097108            108          18327SH       SOLE   0            18327
MATTHEWS INTL CORP CLASS A     COMMON STOCK  577128101           1519          50941SH       SOLE   0            50941
MATTRESS FIRM HOLDING CORP     COMMON STOCK  57722W106            561          19935SH       SOLE   0            19935
MATTSON TECHNOLOGY INC         COMMON STOCK  577223100            102         105371SH       SOLE   0           105371
MAXIM INTEGRATED PRODUCTS      COMMON STOCK  57772K101          14054         527942SH       SOLE   0           527942
MAXIMUS INC                    COMMON STOCK  577933104           3663          61343SH       SOLE   0            61343
MAXLINEAR INC CLASS A          COMMON STOCK  57776J100            267          39896SH       SOLE   0            39896
MAXWELL TECHNOLOGIES INC       COMMON STOCK  577767106            426          52490SH       SOLE   0            52490
MAXYGEN INC                    COMMON STOCK  577776107            132          49958SH       SOLE   0            49958
MB FINANCIAL INC               COMMON STOCK  55264U108           1951          98799SH       SOLE   0            98799
MBIA INC                       COMMON STOCK  55262C100           2589         255596SH       SOLE   0           255596
MCCLATCHY CO CLASS A           COMMON STOCK  579489105            233         104456SH       SOLE   0           104456
MCCORMICK + CO NON VTG SHRS    COMMON STOCK  579780206          14861         239536SH       SOLE   0           239536
MCDERMOTT INTL INC             COMMON STOCK  580037109           5201         425578SH       SOLE   0           425578
MCDONALD S CORP                COMMON STOCK  580135101         168464        1836117SH       SOLE   0          1836117
MCEWEN MINING INC              COMMON STOCK  58039P107           1635         356135SH       SOLE   0           356135
MCG CAPITAL CORP               COMMON STOCK  58047P107            639         138624SH       SOLE   0           138624
MCGRATH RENTCORP               COMMON STOCK  580589109           1167          44742SH       SOLE   0            44742
MCGRAW HILL COMPANIES INC      COMMON STOCK  580645109          27586         505329SH       SOLE   0           505329
MCKESSON CORP                  COMMON STOCK  58155Q103          36587         425278SH       SOLE   0           425278
MCMORAN EXPLORATION CO         COMMON STOCK  582411104           2154         183357SH       SOLE   0           183357
MDC HOLDINGS INC               COMMON STOCK  552676108           2660          69062SH       SOLE   0            69062
MDC PARTNERS INC A             COMMON STOCK  552697104            570          46230SH       SOLE   0            46230
MDU RESOURCES GROUP INC        COMMON STOCK  552690109           7520         341205SH       SOLE   0           341205
MEAD JOHNSON NUTRITION CO      COMMON STOCK  582839106          26995         368377SH       SOLE   0           368377
MEADOWBROOK INSURANCE GROUP    COMMON STOCK  58319P108            702          91242SH       SOLE   0            91242
MEADWESTVACO CORP              COMMON STOCK  583334107           9558         312362SH       SOLE   0           312362
MEASUREMENT SPECIALTIES INC    COMMON STOCK  583421102            902          27337SH       SOLE   0            27337
MEDALLION FINANCIAL CORP       COMMON STOCK  583928106            382          32348SH       SOLE   0            32348
MEDASSETS INC                  COMMON STOCK  584045108           1876         105398SH       SOLE   0           105398
MEDICAL PROPERTIES TRUST INC   REIT          58463J304           2560         244992SH       SOLE   0           244992
MEDICINES COMPANY              COMMON STOCK  584688105           2571          99630SH       SOLE   0            99630
MEDICIS PHARMACEUTICAL CL A    COMMON STOCK  584690309           4491         103786SH       SOLE   0           103786
MEDIDATA SOLUTIONS INC         COMMON STOCK  58471A105           1666          40139SH       SOLE   0            40139
MEDIFAST INC                   COMMON STOCK  58470H101            656          25096SH       SOLE   0            25096
MEDIVATION INC                 COMMON STOCK  58501N101           7381         130964SH       SOLE   0           130964
MEDIWARE INFORMATION SYSTEMS   COMMON STOCK  584946107            141           6451SH       SOLE   0             6451
MEDLEY CAPITAL CORP            COMMON STOCK  58503F106            586          41637SH       SOLE   0            41637
MEDNAX INC                     COMMON STOCK  58502B106           6620          88920SH       SOLE   0            88920
MEDTRONIC INC                  COMMON STOCK  585055106          80805        1873954SH       SOLE   0          1873954
MEETME INC                     COMMON STOCK  585141104             95          33324SH       SOLE   0            33324
MEMC ELECTRONIC MATERIALS      COMMON STOCK  552715104           1147         416920SH       SOLE   0           416920
MEN S WEARHOUSE INC/THE        COMMON STOCK  587118100           3166          91952SH       SOLE   0            91952
MENTOR GRAPHICS CORP           COMMON STOCK  587200106           2605         168285SH       SOLE   0           168285
MERCANTILE BANK CORP           COMMON STOCK  587376104            267          15580SH       SOLE   0            15580
MERCHANTS BANCSHARES INC       COMMON STOCK  588448100            274           9259SH       SOLE   0             9259
MERCK + CO. INC.               COMMON STOCK  58933Y105         247836        5495247SH       SOLE   0          5495247
MERCURY COMPUTER SYSTEMS INC   COMMON STOCK  589378108            594          55941SH       SOLE   0            55941
MERCURY GENERAL CORP           COMMON STOCK  589400100           1872          48428SH       SOLE   0            48428
MEREDITH CORP                  COMMON STOCK  589433101           2292          65482SH       SOLE   0            65482
MERGE HEALTHCARE INC           COMMON STOCK  589499102            408         106644SH       SOLE   0           106644
MERIDIAN BIOSCIENCE INC        COMMON STOCK  589584101           1429          74504SH       SOLE   0            74504
MERIDIAN INTERSTATE BANCORP    COMMON STOCK  58964Q104            253          15347SH       SOLE   0            15347
MERIT MEDICAL SYSTEMS INC      COMMON STOCK  589889104           1135          76011SH       SOLE   0            76011
MERITAGE HOMES CORP            COMMON STOCK  59001A102           2104          55313SH       SOLE   0            55313
MERITOR INC                    COMMON STOCK  59001K100            739         174329SH       SOLE   0           174329
MERRIMACK PHARMACEUTICALS IN   COMMON STOCK  590328100            257          27387SH       SOLE   0            27387
MESA LABORATORIES INC          COMMON STOCK  59064R109            227           4702SH       SOLE   0             4702
MET PRO CORP                   COMMON STOCK  590876306            236          26407SH       SOLE   0            26407
METALICO INC                   COMMON STOCK  591176102            185          72243SH       SOLE   0            72243
METALS USA HOLDINGS CORP       COMMON STOCK  59132A104            281          21050SH       SOLE   0            21050
METHODE ELECTRONICS INC        COMMON STOCK  591520200            650          66935SH       SOLE   0            66935
METLIFE INC                    COMMON STOCK  59156R108          52963        1536951SH       SOLE   0          1536951
METRO BANCORP INC              COMMON STOCK  59161R101            323          25511SH       SOLE   0            25511
METRO HEALTH NETWORKS INC      COMMON STOCK  592142103            745          79757SH       SOLE   0            79757
METROCORP BANCSHARES INC       COMMON STOCK  591650106            302          28550SH       SOLE   0            28550
METTLER TOLEDO INTERNATIONAL   COMMON STOCK  592688105           9695          56784SH       SOLE   0            56784
MFA FINANCIAL INC              REIT          55272X102           5483         645038SH       SOLE   0           645038
MGE ENERGY INC                 COMMON STOCK  55277P104           2211          41719SH       SOLE   0            41719
MGIC INVESTMENT CORP           COMMON STOCK  552848103            521         340516SH       SOLE   0           340516
MGM RESORTS INTERNATIONAL      COMMON STOCK  552953101           7720         718164SH       SOLE   0           718164
MICHAEL BAKER CORP             COMMON STOCK  057149106            374          15656SH       SOLE   0            15656
MICHAEL KORS HOLDINGS LTD      COMMON STOCK  G60754101           8144         153141SH       SOLE   0           153141
MICREL INC                     COMMON STOCK  594793101            915          87769SH       SOLE   0            87769
MICROCHIP TECHNOLOGY INC       COMMON STOCK  595017104          11451         349762SH       SOLE   0           349762
MICROFINANCIAL INC             COMMON STOCK  595072109            139          15245SH       SOLE   0            15245
MICRON TECHNOLOGY INC          COMMON STOCK  595112103          10701        1788020SH       SOLE   0          1788020
MICROS SYSTEMS INC             COMMON STOCK  594901100           7132         145200SH       SOLE   0           145200
MICROSEMI CORP                 COMMON STOCK  595137100           3223         160576SH       SOLE   0           160576
MICROSOFT CORP                 COMMON STOCK  594918104         404995       13599576SH       SOLE   0         13599576
MICROSTRATEGY INC CL A         COMMON STOCK  594972408           2067          15420SH       SOLE   0            15420
MID AMERICA APARTMENT COMM     REIT          59522J103           4830          73948SH       SOLE   0            73948
MIDDLEBURG FINANCIAL CORP      COMMON STOCK  596094102            173           9721SH       SOLE   0             9721
MIDDLEBY CORP                  COMMON STOCK  596278101           3912          33825SH       SOLE   0            33825
MIDDLESEX WATER CO             COMMON STOCK  596680108            544          28390SH       SOLE   0            28390
MIDSOUTH BANCORP INC           COMMON STOCK  598039105            245          15120SH       SOLE   0            15120
MIDSTATES PETROLEUM CO INC     COMMON STOCK  59804T100            376          43430SH       SOLE   0            43430
MIDWAY GOLD CORP               COMMON STOCK  598153104            379         230940SH       SOLE   0           230940
MIDWESTONE FINANCIAL GROUP I   COMMON STOCK  598511103            264          12251SH       SOLE   0            12251
MILLENNIAL MEDIA INC           COMMON STOCK  60040N105            296          20652SH       SOLE   0            20652
MILLER ENERGY RESOURCES INC    COMMON STOCK  600527105            266          52860SH       SOLE   0            52860
MILLER INDUSTRIES INC/TENN     COMMON STOCK  600551204            322          20038SH       SOLE   0            20038
MINDSPEED TECHNOLOGIES INC     COMMON STOCK  602682205            225          65105SH       SOLE   0            65105
MINE SAFETY APPLIANCES CO      COMMON STOCK  602720104           1859          49882SH       SOLE   0            49882
MINERALS TECHNOLOGIES INC      COMMON STOCK  603158106           2277          32098SH       SOLE   0            32098
MIPS TECHNOLOGIES INC          COMMON STOCK  604567107            638          86356SH       SOLE   0            86356
MISSION WEST PROPERTIES        REIT          605203108            286          32834SH       SOLE   0            32834
MISTRAS GROUP INC              COMMON STOCK  60649T107            655          28214SH       SOLE   0            28214
MITCHAM INDUSTRIES INC         COMMON STOCK  606501104            366          22973SH       SOLE   0            22973
MKS INSTRUMENTS INC            COMMON STOCK  55306N104           2420          94957SH       SOLE   0            94957
MODINE MANUFACTURING CO        COMMON STOCK  607828100            623          84401SH       SOLE   0            84401
MODUSLINK GLOBAL SOLUTIONS I   COMMON STOCK  60786L107            262          71111SH       SOLE   0            71111
MOHAWK INDUSTRIES INC          COMMON STOCK  608190104           8238         102946SH       SOLE   0           102946
MOLEX INC                      COMMON STOCK  608554101           6556         249455SH       SOLE   0           249455
MOLINA HEALTHCARE INC          COMMON STOCK  60855R100           1362          54136SH       SOLE   0            54136
MOLSON COORS BREWING CO  B     COMMON STOCK  60871R209          10425         231407SH       SOLE   0           231407
MOLYCORP INC                   COMMON STOCK  608753109           1509         131224SH       SOLE   0           131224
MOMENTA PHARMACEUTICALS INC    COMMON STOCK  60877T100           1233          84608SH       SOLE   0            84608
MONARCH CASINO + RESORT INC    COMMON STOCK  609027107            137          15779SH       SOLE   0            15779
Kraft Foods Inc                COMMON STOCK  50075N104         132456        3203294SH       SOLE   0          3203294
MONEYGRAM INTERNATIONAL INC    COMMON STOCK  60935Y208            579          38778SH       SOLE   0            38778
MONMOUTH REIT CLASS A          REIT          609720107            814          72706SH       SOLE   0            72706
MONOLITHIC POWER SYSTEMS INC   COMMON STOCK  609839105           1089          55147SH       SOLE   0            55147
MONOTYPE IMAGING HOLDINGS IN   COMMON STOCK  61022P100           1030          66095SH       SOLE   0            66095
MONRO MUFFLER BRAKE INC        COMMON STOCK  610236101           1965          55831SH       SOLE   0            55831
MONSANTO CO                    COMMON STOCK  61166W101          87723         963775SH       SOLE   0           963775
MONSTER BEVERAGE CORP          COMMON STOCK  611740101          14102         260385SH       SOLE   0           260385
MONSTER WORLDWIDE INC          COMMON STOCK  611742107           1605         218975SH       SOLE   0           218975
MONTPELIER RE HOLDINGS LTD     COMMON STOCK  G62185106           2002          90475SH       SOLE   0            90475
MOODY S CORP                   COMMON STOCK  615369105          15654         354401SH       SOLE   0           354401
MOOG INC CLASS A               COMMON STOCK  615394202           3098          81809SH       SOLE   0            81809
MORGAN STANLEY                 COMMON STOCK  617446448          46598        2783646SH       SOLE   0          2783646
MORGANS HOTEL GROUP CO         COMMON STOCK  61748W108            255          39757SH       SOLE   0            39757
MORNINGSTAR INC                COMMON STOCK  617700109           2716          43366SH       SOLE   0            43366
MOSAIC CO/THE                  COMMON STOCK  61945C103          30868         535817SH       SOLE   0           535817
MOSYS INC                      COMMON STOCK  619718109            245          60596SH       SOLE   0            60596
MOTOROLA SOLUTIONS INC         COMMON STOCK  620076307          26675         527701SH       SOLE   0           527701
MOVADO GROUP INC               COMMON STOCK  624580106           1073          31830SH       SOLE   0            31830
MOVE INC                       COMMON STOCK  62458M207            612          70975SH       SOLE   0            70975
MRC GLOBAL INC                 COMMON STOCK  55345K103           1009          41043SH       SOLE   0            41043
MSC INDUSTRIAL DIRECT CO A     COMMON STOCK  553530106           5555          82350SH       SOLE   0            82350
MSCI INC                       COMMON STOCK  55354G100           7858         219558SH       SOLE   0           219558
MTR GAMING GROUP INC           COMMON STOCK  553769100            171          40715SH       SOLE   0            40715
MTS SYSTEMS CORP               COMMON STOCK  553777103           1555          29031SH       SOLE   0            29031
MUELLER INDUSTRIES INC         COMMON STOCK  624756102           2229          49023SH       SOLE   0            49023
MUELLER WATER PRODUCTS INC A   COMMON STOCK  624758108           1387         282993SH       SOLE   0           282993
MULTI COLOR CORP               COMMON STOCK  625383104            564          24361SH       SOLE   0            24361
MULTI FINELINE ELECTRONIX IN   COMMON STOCK  62541B101            357          15851SH       SOLE   0            15851
MULTIMEDIA GAMES HOLDING CO    COMMON STOCK  625453105            778          49488SH       SOLE   0            49488
MURPHY OIL CORP                COMMON STOCK  626717102          18835         350818SH       SOLE   0           350818
MVC CAPITAL INC                COMMON STOCK  553829102            554          43244SH       SOLE   0            43244
MWI VETERINARY SUPPLY INC      COMMON STOCK  55402X105           2452          22989SH       SOLE   0            22989
MYERS INDUSTRIES INC           COMMON STOCK  628464109            946          60577SH       SOLE   0            60577
MYLAN INC                      COMMON STOCK  628530107          17892         733299SH       SOLE   0           733299
MYR GROUP INC/DELAWARE         COMMON STOCK  55405W104            740          37083SH       SOLE   0            37083
MYRIAD GENETICS INC            COMMON STOCK  62855J104           4138         153333SH       SOLE   0           153333
N B T BANCORP INC              COMMON STOCK  628778102           1326          60078SH       SOLE   0            60078
NABORS INDUSTRIES LTD          COMMON STOCK  G6359F103           7359         524487SH       SOLE   0           524487
NACCO INDUSTRIES CL A          COMMON STOCK  629579103           1251           9978SH       SOLE   0             9978
NANOMETRICS INC                COMMON STOCK  630077105            587          42481SH       SOLE   0            42481
NASB FINANCIAL INC             COMMON STOCK  628968109            187           7541SH       SOLE   0             7541
NASDAQ OMX GROUP/THE           COMMON STOCK  631103108           4903         210475SH       SOLE   0           210475
NASH FINCH CO                  COMMON STOCK  631158102            451          22063SH       SOLE   0            22063
NATHAN S FAMOUS INC            COMMON STOCK  632347100            152           4838SH       SOLE   0             4838
NATIONAL AMERICAN UNIVERSITY   COMMON STOCK  63245Q105             91          18193SH       SOLE   0            18193
NATIONAL BANKSHARES INC/VA     COMMON STOCK  634865109            418          12587SH       SOLE   0            12587
NATIONAL BEVERAGE CORP         COMMON STOCK  635017106            310          20444SH       SOLE   0            20444
NATIONAL CINEMEDIA INC         COMMON STOCK  635309107           1658         101302SH       SOLE   0           101302
NATIONAL FINANCIAL PARTNERS    COMMON STOCK  63607P208           1240          73357SH       SOLE   0            73357
NATIONAL FUEL GAS CO           COMMON STOCK  636180101           7077         130956SH       SOLE   0           130956
NATIONAL HEALTHCARE CORP       COMMON STOCK  635906100            908          19010SH       SOLE   0            19010
NATIONAL INSTRUMENTS CORP      COMMON STOCK  636518102           4245         168645SH       SOLE   0           168645
NATIONAL INTERSTATE CORP       COMMON STOCK  63654U100            290          11259SH       SOLE   0            11259
NATIONAL OILWELL VARCO INC     COMMON STOCK  637071101          61690         770071SH       SOLE   0           770071
NATIONAL PRESTO INDS INC       COMMON STOCK  637215104            633           8684SH       SOLE   0             8684
NATIONAL RESEARCH CORP         COMMON STOCK  637372103            229           4565SH       SOLE   0             4565
NATIONAL RETAIL PROPERTIES     REIT          637417106           5896         193315SH       SOLE   0           193315
NATIONSTAR MORTGAGE HOLDINGS   COMMON STOCK  63861C109           1149          34620SH       SOLE   0            34620
NATL HEALTH INVESTORS INC      REIT          63633D104           2275          44223SH       SOLE   0            44223
NATL PENN BCSHS INC            COMMON STOCK  637138108           2031         222914SH       SOLE   0           222914
NATL WESTERN LIFE INS CL A     COMMON STOCK  638522102            573           3999SH       SOLE   0             3999
NATURAL GAS SERVICES GROUP     COMMON STOCK  63886Q109            333          22280SH       SOLE   0            22280
NATURAL GROCERS BY VITAMIN C   COMMON STOCK  63888U108            288          12900SH       SOLE   0            12900
NATURES SUNSHINE PRODS INC     COMMON STOCK  639027101            333          20395SH       SOLE   0            20395
NATUS MEDICAL INC              COMMON STOCK  639050103            695          53212SH       SOLE   0            53212
NAVIDEA BIOPHARMACEUTICALS I   COMMON STOCK  63937X103            479         174355SH       SOLE   0           174355
NAVIGANT CONSULTING INC        COMMON STOCK  63935N107           1035          93705SH       SOLE   0            93705
NAVIGATORS GROUP INC           COMMON STOCK  638904102            887          18018SH       SOLE   0            18018
NAVISTAR INTERNATIONAL CORP    COMMON STOCK  63934E108           2336         110780SH       SOLE   0           110780
NCI BUILDING SYSTEMS INC       COMMON STOCK  628852204            328          32737SH       SOLE   0            32737
NCR CORPORATION                COMMON STOCK  62886E108           6688         286906SH       SOLE   0           286906
NEENAH PAPER INC               COMMON STOCK  640079109            820          28632SH       SOLE   0            28632
NEKTAR THERAPEUTICS            COMMON STOCK  640268108           2211         207034SH       SOLE   0           207034
NELNET INC CL A                COMMON STOCK  64031N108           1026          43201SH       SOLE   0            43201
NEOGEN CORP                    COMMON STOCK  640491106           1819          42600SH       SOLE   0            42600
NEONODE INC                    COMMON STOCK  64051M402            153          40497SH       SOLE   0            40497
NEOPHOTONICS CORP              COMMON STOCK  64051T100            206          35196SH       SOLE   0            35196
NETAPP INC                     COMMON STOCK  64110D104          21564         655839SH       SOLE   0           655839
NETFLIX INC                    COMMON STOCK  64110L106           5461         100310SH       SOLE   0           100310
NETGEAR INC                    COMMON STOCK  64111Q104           2616          68599SH       SOLE   0            68599
NETSCOUT SYSTEMS INC           COMMON STOCK  64115T104           1693          66371SH       SOLE   0            66371
NETSPEND HOLDINGS INC          COMMON STOCK  64118V106            551          56086SH       SOLE   0            56086
NETSUITE INC                   COMMON STOCK  64118Q107           3617          56688SH       SOLE   0            56688
NEUROCRINE BIOSCIENCES INC     COMMON STOCK  64125C109            956         119770SH       SOLE   0           119770
NEUSTAR INC CLASS A            COMMON STOCK  64126X201           4839         120886SH       SOLE   0           120886
NEUTRAL TANDEM INC             COMMON STOCK  64128B108            476          50751SH       SOLE   0            50751
NEW JERSEY RESOURCES CORP      COMMON STOCK  646025106           3431          75046SH       SOLE   0            75046
NEW MOUNTAIN FINANCE CORP      COMMON STOCK  647551100            340          22911SH       SOLE   0            22911
NEW YORK + CO                  COMMON STOCK  649295102            185          49385SH       SOLE   0            49385
NEW YORK COMMUNITY BANCORP     COMMON STOCK  649445103          11234         793389SH       SOLE   0           793389
NEW YORK MORTGAGE TRUST INC    REIT          649604501            414          58669SH       SOLE   0            58669
NEW YORK TIMES CO A            COMMON STOCK  650111107           2401         246003SH       SOLE   0           246003
NEWELL RUBBERMAID INC          COMMON STOCK  651229106           9999         523765SH       SOLE   0           523765
NEWFIELD EXPLORATION CO        COMMON STOCK  651290108           7629         243577SH       SOLE   0           243577
NEWLINK GENETICS CORP          COMMON STOCK  651511107            371          22886SH       SOLE   0            22886
NEWMARKET CORP                 COMMON STOCK  651587107           3903          15833SH       SOLE   0            15833
NEWMONT MINING CORP            COMMON STOCK  651639106          49642         886311SH       SOLE   0           886311
NEWPARK RESOURCES INC          COMMON STOCK  651718504           1203         162334SH       SOLE   0           162334
NEWPORT CORP                   COMMON STOCK  651824104            763          69009SH       SOLE   0            69009
NEWS CORP CL A                 COMMON STOCK  65248E104          92833        3784465SH       SOLE   0          3784465
NEWSTAR FINANCIAL INC          COMMON STOCK  65251F105            565          47127SH       SOLE   0            47127
NEXSTAR BROADCASTING GROUP A   COMMON STOCK  65336K103            217          20391SH       SOLE   0            20391
NEXTERA ENERGY INC             COMMON STOCK  65339F101          52998         753555SH       SOLE   0           753555
NGP CAPITAL RESOURCES CO       COMMON STOCK  62912R107            291          39000SH       SOLE   0            39000
NIC INC                        COMMON STOCK  62914B100           1724         116489SH       SOLE   0           116489
NICHOLAS FINANCIAL INC         COMMON STOCK  65373J209            233          18015SH       SOLE   0            18015
NIELSEN HOLDINGS NV            COMMON STOCK  N63218106           6586         219674SH       SOLE   0           219674
NII HOLDINGS INC               COMMON STOCK  62913F201           2436         310260SH       SOLE   0           310260
NIKE INC  CL B                 COMMON STOCK  654106103          62014         653399SH       SOLE   0           653399
NISOURCE INC                   COMMON STOCK  65473P105          13078         513258SH       SOLE   0           513258
NL INDUSTRIES                  COMMON STOCK  629156407            136          11858SH       SOLE   0            11858
NN INC                         COMMON STOCK  629337106            261          30709SH       SOLE   0            30709
NOBLE ENERGY INC               COMMON STOCK  655044105          29783         321254SH       SOLE   0           321254
NORANDA ALUMINUM HOLDING COR   COMMON STOCK  65542W107            403          60222SH       SOLE   0            60222
NORDIC AMERICAN TANKERS LTD    COMMON STOCK  G65773106            964          95606SH       SOLE   0            95606
NORDSON CORP                   COMMON STOCK  655663102           6811         116193SH       SOLE   0           116193
NORDSTROM INC                  COMMON STOCK  655664100          15680         284166SH       SOLE   0           284166
NORFOLK SOUTHERN CORP          COMMON STOCK  655844108          37453         588608SH       SOLE   0           588608
NORTEK INC                     COMMON STOCK  656559309            763          13948SH       SOLE   0            13948
NORTHEAST UTILITIES            COMMON STOCK  664397106          21662         566630SH       SOLE   0           566630
NORTHERN OIL AND GAS INC       COMMON STOCK  665531109           1949         114739SH       SOLE   0           114739
NORTHERN TRUST CORP            COMMON STOCK  665859104          18078         389489SH       SOLE   0           389489
NORTHFIELD BANCORP INC/NJ      COMMON STOCK  66611L105            426          26583SH       SOLE   0            26583
NORTHRIM BANCORP INC           COMMON STOCK  666762109            235          11680SH       SOLE   0            11680
NORTHROP GRUMMAN CORP          COMMON STOCK  666807102          30188         454426SH       SOLE   0           454426
NORTHSTAR REALTY FINANCE COR   REIT          66704R100           1532         240859SH       SOLE   0           240859
NORTHWEST BANCSHARES INC       COMMON STOCK  667340103           2156         176307SH       SOLE   0           176307
NORTHWEST NATURAL GAS CO       COMMON STOCK  667655104           2385          48439SH       SOLE   0            48439
NORTHWEST PIPE CO              COMMON STOCK  667746101            417          16920SH       SOLE   0            16920
NORTHWESTERN CORP              COMMON STOCK  668074305           2382          65759SH       SOLE   0            65759
NOVAVAX INC                    COMMON STOCK  670002104            452         209372SH       SOLE   0           209372
NPS PHARMACEUTICALS INC        COMMON STOCK  62936P103           1439         155591SH       SOLE   0           155591
NRG ENERGY INC                 COMMON STOCK  629377508           8800         411417SH       SOLE   0           411417
NTELOS HOLDINGS CORP           COMMON STOCK  67020Q305            466          26830SH       SOLE   0            26830
NU SKIN ENTERPRISES INC   A    COMMON STOCK  67018T105           3764          96948SH       SOLE   0            96948
NUANCE COMMUNICATIONS INC      COMMON STOCK  67020Y100          10865         436522SH       SOLE   0           436522
NUCOR CORP                     COMMON STOCK  670346105          21917         572849SH       SOLE   0           572849
NUMEREX CORP  CL A             COMMON STOCK  67053A102            205          18064SH       SOLE   0            18064
NUTRACEUTICAL INTL CORP        COMMON STOCK  67060Y101            248          15757SH       SOLE   0            15757
NUTRISYSTEM INC                COMMON STOCK  67069D108            541          51333SH       SOLE   0            51333
NUVASIVE INC                   COMMON STOCK  670704105           1788          78023SH       SOLE   0            78023
NV ENERGY INC                  COMMON STOCK  67073Y106           7680         426412SH       SOLE   0           426412
NVE CORP                       COMMON STOCK  629445206            514           8687SH       SOLE   0             8687
NVIDIA CORP                    COMMON STOCK  67066G104          14914        1118023SH       SOLE   0          1118023
NVR INC                        COMMON STOCK  62944T105           7764           9194SH       SOLE   0             9194
NXSTAGE MEDICAL INC            COMMON STOCK  67072V103           1175          88949SH       SOLE   0            88949
NYSE EURONEXT                  COMMON STOCK  629491101          11311         458871SH       SOLE   0           458871
O REILLY AUTOMOTIVE INC        COMMON STOCK  67103H107          17964         214824SH       SOLE   0           214824
OASIS PETROLEUM INC            COMMON STOCK  674215108           4254         144364SH       SOLE   0           144364
OBAGI MEDICAL PRODUCTS INC     COMMON STOCK  67423R108            420          33824SH       SOLE   0            33824
OCCIDENTAL PETROLEUM CORP      COMMON STOCK  674599105         126107        1465339SH       SOLE   0          1465339
OCEANEERING INTL INC           COMMON STOCK  675232102          10810         195653SH       SOLE   0           195653
OCEANFIRST FINANCIAL CORP      COMMON STOCK  675234108            382          26042SH       SOLE   0            26042
OCLARO INC                     COMMON STOCK  67555N206            356         131959SH       SOLE   0           131959
OCWEN FINANCIAL CORP           COMMON STOCK  675746309           5321         194125SH       SOLE   0           194125
OCZ TECHNOLOGY GROUP INC       COMMON STOCK  67086E303            422         121580SH       SOLE   0           121580
ODYSSEY MARINE EXPLORATION     COMMON STOCK  676118102            418         132265SH       SOLE   0           132265
OFFICE DEPOT INC               COMMON STOCK  676220106           1312         512682SH       SOLE   0           512682
OFFICEMAX INC                  COMMON STOCK  67622P101           1221         156382SH       SOLE   0           156382
OGE ENERGY CORP                COMMON STOCK  670837103           9881         178162SH       SOLE   0           178162
OIL DRI CORP OF AMERICA        COMMON STOCK  677864100            210           9089SH       SOLE   0             9089
OIL STATES INTERNATIONAL INC   COMMON STOCK  678026105           7858          98896SH       SOLE   0            98896
OLD DOMINION FREIGHT LINE      COMMON STOCK  679580100           3882         128706SH       SOLE   0           128706
OLD NATIONAL BANCORP           COMMON STOCK  680033107           2492         183111SH       SOLE   0           183111
OLD REPUBLIC INTL CORP         COMMON STOCK  680223104           4360         468833SH       SOLE   0           468833
OLIN CORP                      COMMON STOCK  680665205           3145         144729SH       SOLE   0           144729
OLYMPIC STEEL INC              COMMON STOCK  68162K106            278          16485SH       SOLE   0            16485
OM GROUP INC                   COMMON STOCK  670872100           1084          58486SH       SOLE   0            58486
OMEGA FLEX INC                 COMMON STOCK  682095104             53           4999SH       SOLE   0             4999
OMEGA HEALTHCARE INVESTORS     REIT          681936100           4345         191159SH       SOLE   0           191159
OMEGA PROTEIN CORP             COMMON STOCK  68210P107            242          35317SH       SOLE   0            35317
OMEROS CORP                    COMMON STOCK  682143102            438          46544SH       SOLE   0            46544
OMNIAMERICAN BANCORP INC       COMMON STOCK  68216R107            461          20262SH       SOLE   0            20262
OMNICARE INC                   COMMON STOCK  681904108           6933         204090SH       SOLE   0           204090
OMNICELL INC                   COMMON STOCK  68213N109            844          60697SH       SOLE   0            60697
OMNICOM GROUP                  COMMON STOCK  681919106          25396         492555SH       SOLE   0           492555
OMNIVISION TECHNOLOGIES INC    COMMON STOCK  682128103           1321          94628SH       SOLE   0            94628
OMNOVA SOLUTIONS INC           COMMON STOCK  682129101            632          83474SH       SOLE   0            83474
ON ASSIGNMENT INC              COMMON STOCK  682159108           1546          77610SH       SOLE   0            77610
ON SEMICONDUCTOR CORPORATION   COMMON STOCK  682189105           5062         820497SH       SOLE   0           820497
ONCOGENEX PHARMACEUTICAL INC   COMMON STOCK  68230A106            373          26303SH       SOLE   0            26303
ONCOTHYREON INC                COMMON STOCK  682324108            530         103181SH       SOLE   0           103181
ONE LIBERTY PROPERTIES INC     REIT          682406103            387          20762SH       SOLE   0            20762
ONEBEACON INSURANCE GROUP A    COMMON STOCK  G67742109            551          40979SH       SOLE   0            40979
ONEOK INC                      COMMON STOCK  682680103          18140         375498SH       SOLE   0           375498
ONYX PHARMACEUTICALS INC       COMMON STOCK  683399109           9830         116331SH       SOLE   0           116331
OPENTABLE INC                  COMMON STOCK  68372A104           1695          40750SH       SOLE   0            40750
OPKO HEALTH INC                COMMON STOCK  68375N103            807         192992SH       SOLE   0           192992
OPLINK COMMUNICATIONS INC      COMMON STOCK  68375Q403            570          34432SH       SOLE   0            34432
OPNET TECHNOLOGIES INC         COMMON STOCK  683757108            920          27006SH       SOLE   0            27006
OPPENHEIMER HOLDINGS CL A      COMMON STOCK  683797104            296          18554SH       SOLE   0            18554
OPTIMER PHARMACEUTICALS INC    COMMON STOCK  68401H104           1200          85003SH       SOLE   0            85003
ORACLE CORP                    COMMON STOCK  68389X105         217384        6903263SH       SOLE   0          6903263
ORASURE TECHNOLOGIES INC       COMMON STOCK  68554V108           1089          97909SH       SOLE   0            97909
ORBCOMM INC                    COMMON STOCK  68555P100            241          64405SH       SOLE   0            64405
ORBITAL SCIENCES CORP          COMMON STOCK  685564106           1551         106539SH       SOLE   0           106539
ORBITZ WORLDWIDE INC           COMMON STOCK  68557K109            106          41427SH       SOLE   0            41427
ORCHARD SUPPLY HARDWARE CL A   COMMON STOCK  685691404             50           3472SH       SOLE   0             3472
ORCHIDS PAPER PRODUCTS CO      COMMON STOCK  68572N104            188          10413SH       SOLE   0            10413
OREXIGEN THERAPEUTICS INC      COMMON STOCK  686164104            622         108949SH       SOLE   0           108949
ORIENT EXPRESS HOTELS LTD  A   COMMON STOCK  G67743107           1557         174921SH       SOLE   0           174921
ORIENTAL FINANCIAL GROUP       COMMON STOCK  68618W100            773          73513SH       SOLE   0            73513
ORION MARINE GROUP INC         COMMON STOCK  68628V308            364          49029SH       SOLE   0            49029
ORITANI FINANCIAL CORP         COMMON STOCK  68633D103           1237          82160SH       SOLE   0            82160
ORMAT TECHNOLOGIES INC         COMMON STOCK  686688102            602          32123SH       SOLE   0            32123
ORTHOFIX INTERNATIONAL NV      COMMON STOCK  N6748L102           1514          33839SH       SOLE   0            33839
OSHKOSH CORP                   COMMON STOCK  688239201           4540         165529SH       SOLE   0           165529
OSI SYSTEMS INC                COMMON STOCK  671044105           2789          35835SH       SOLE   0            35835
OSIRIS THERAPEUTICS INC        COMMON STOCK  68827R108            328          29709SH       SOLE   0            29709
OTTER TAIL CORP                COMMON STOCK  689648103           1558          65310SH       SOLE   0            65310
OUTDOOR CHANNEL HOLDINGS INC   COMMON STOCK  690027206            194          26612SH       SOLE   0            26612
OVERSEAS SHIPHOLDING GROUP     COMMON STOCK  690368105            294          44496SH       SOLE   0            44496
OVERSTOCK.COM INC              COMMON STOCK  690370101            219          21112SH       SOLE   0            21112
OWENS + MINOR INC              COMMON STOCK  690732102           3428         114740SH       SOLE   0           114740
OWENS CORNING                  COMMON STOCK  690742101           7354         219778SH       SOLE   0           219778
OWENS ILLINOIS INC             COMMON STOCK  690768403           5590         297982SH       SOLE   0           297982
OXFORD INDUSTRIES INC          COMMON STOCK  691497309           1426          25263SH       SOLE   0            25263
P G + E CORP                   COMMON STOCK  69331C108          32560         763061SH       SOLE   0           763061
PACCAR INC                     COMMON STOCK  693718108          25793         644429SH       SOLE   0           644429
PACER INTERNATIONAL INC        COMMON STOCK  69373H106            251          63170SH       SOLE   0            63170
PACIFIC BIOSCIENCES OF CALIF   COMMON STOCK  69404D108            122          66791SH       SOLE   0            66791
PACIFIC CAPITAL BANCORP        COMMON STOCK  69404P200            349           7594SH       SOLE   0             7594
PACIFIC CONTINENTAL CORP       COMMON STOCK  69412V108            293          32805SH       SOLE   0            32805
PACIFIC MERCANTILE BANCORP     COMMON STOCK  694552100            126          19216SH       SOLE   0            19216
PACIRA PHARMACEUTICALS INC     COMMON STOCK  695127100            580          33344SH       SOLE   0            33344
PACKAGING CORP OF AMERICA      COMMON STOCK  695156109           6428         177093SH       SOLE   0           177093
PACWEST BANCORP                COMMON STOCK  695263103           1279          54746SH       SOLE   0            54746
PAIN THERAPEUTICS INC          COMMON STOCK  69562K100            346          68576SH       SOLE   0            68576
PALL CORP                      COMMON STOCK  696429307          13285         209250SH       SOLE   0           209250
PALO ALTO NETWORKS INC         COMMON STOCK  697435105            794          12900SH       SOLE   0            12900
PALOMAR MEDICAL TECHNOLOGIES   COMMON STOCK  697529303            332          35188SH       SOLE   0            35188
PANDORA MEDIA INC              COMMON STOCK  698354107           2018         184291SH       SOLE   0           184291
PANERA BREAD COMPANY CLASS A   COMMON STOCK  69840W108           8749          51198SH       SOLE   0            51198
PANHANDLE OIL AND GAS INC A    COMMON STOCK  698477106            386          12585SH       SOLE   0            12585
PANTRY INC                     COMMON STOCK  698657103            615          42244SH       SOLE   0            42244
PAPA JOHN S INTL INC           COMMON STOCK  698813102           1732          32433SH       SOLE   0            32433
PAR PHARMACEUTICAL COS INC     COMMON STOCK  69888P106           3319          66416SH       SOLE   0            66416
PARAMETRIC TECHNOLOGY CORP     COMMON STOCK  699173209           4710         216044SH       SOLE   0           216044
PARAMOUNT GOLD AND SILVER      COMMON STOCK  69924P102            627         235838SH       SOLE   0           235838
PAREXEL INTERNATIONAL CORP     COMMON STOCK  699462107           3328         108179SH       SOLE   0           108179
PARK ELECTROCHEMICAL CORP      COMMON STOCK  700416209            932          37533SH       SOLE   0            37533
PARK NATIONAL CORP             COMMON STOCK  700658107           1437          20521SH       SOLE   0            20521
PARK OHIO HOLDINGS CORP        COMMON STOCK  700666100            340          15695SH       SOLE   0            15695
PARK STERLING CORP             COMMON STOCK  70086Y105            290          58764SH       SOLE   0            58764
PARKER DRILLING CO             COMMON STOCK  701081101            899         212429SH       SOLE   0           212429
PARKER HANNIFIN CORP           COMMON STOCK  701094104          22812         272940SH       SOLE   0           272940
PARKERVISION INC               COMMON STOCK  701354102            321         137062SH       SOLE   0           137062
PARKWAY PROPERTIES INC         REIT          70159Q104            383          28628SH       SOLE   0            28628
PARTNERRE LTD                  COMMON STOCK  G6852T105           8665         116652SH       SOLE   0           116652
PATRICK INDUSTRIES INC         COMMON STOCK  703343103            110           7129SH       SOLE   0             7129
PATRIOT TRANSPORTATION HLDG    COMMON STOCK  70337B102            322          11545SH       SOLE   0            11545
PATTERSON COS INC              COMMON STOCK  703395103           5768         168467SH       SOLE   0           168467
PATTERSON UTI ENERGY INC       COMMON STOCK  703481101           4468         282047SH       SOLE   0           282047
PAYCHEX INC                    COMMON STOCK  704326107          19494         585571SH       SOLE   0           585571
PC CONNECTION INC              COMMON STOCK  69318J100            186          16135SH       SOLE   0            16135
PC TEL INC                     COMMON STOCK  69325Q105            235          33270SH       SOLE   0            33270
PDC ENERGY INC                 COMMON STOCK  69327R101           1711          54106SH       SOLE   0            54106
PDF SOLUTIONS INC              COMMON STOCK  693282105            596          43616SH       SOLE   0            43616
PDI INC                        COMMON STOCK  69329V100            144          18082SH       SOLE   0            18082
PDL BIOPHARMA INC              COMMON STOCK  69329Y104           1943         252644SH       SOLE   0           252644
PEABODY ENERGY CORP            COMMON STOCK  704549104          10969         492100SH       SOLE   0           492100
PEAPACK GLADSTONE FINL CORP    COMMON STOCK  704699107            262          16044SH       SOLE   0            16044
PEBBLEBROOK HOTEL TRUST        REIT          70509V100           2426         103740SH       SOLE   0           103740
PEETS COFFEE + TEA INC         COMMON STOCK  705560100           1754          23916SH       SOLE   0            23916
PEGASYSTEMS INC                COMMON STOCK  705573103            903          31108SH       SOLE   0            31108
PENDRELL CORP                  COMMON STOCK  70686R104            316         279820SH       SOLE   0           279820
PENN NATIONAL GAMING INC       COMMON STOCK  707569109           5132         119069SH       SOLE   0           119069
PENN REAL ESTATE INVEST TST    REIT          709102107           1604         101133SH       SOLE   0           101133
PENN VIRGINIA CORP             COMMON STOCK  707882106            513          82754SH       SOLE   0            82754
PENNANTPARK INVESTMENT CORP    COMMON STOCK  708062104           1080         101830SH       SOLE   0           101830
PENNS WOODS BANCORP INC        COMMON STOCK  708430103            306           6903SH       SOLE   0             6903
PENNYMAC MORTGAGE INVESTMENT   REIT          70931T103           2488         106465SH       SOLE   0           106465
PENSKE AUTOMOTIVE GROUP INC    COMMON STOCK  70959W103           2309          76735SH       SOLE   0            76735
PENTAIR INC                    COMMON STOCK  709631105           7962         178873SH       SOLE   0           178873
PEOPLE S UNITED FINANCIAL      COMMON STOCK  712704105           7806         642994SH       SOLE   0           642994
PEOPLES BANCORP INC            COMMON STOCK  709789101            443          19337SH       SOLE   0            19337
PEOPLES FEDERAL BANCSHARES I   COMMON STOCK  711037101            190          11015SH       SOLE   0            11015
PEP BOYS MANNY MOE + JACK      COMMON STOCK  713278109            972          95460SH       SOLE   0            95460
PEPCO HOLDINGS INC             COMMON STOCK  713291102           7795         412412SH       SOLE   0           412412
PEPSICO INC                    COMMON STOCK  713448108         199968        2825611SH       SOLE   0          2825611
PEREGRINE SEMICONDUCTOR CORP   COMMON STOCK  71366R703            193          11400SH       SOLE   0            11400
PERFICIENT INC                 COMMON STOCK  71375U101            696          57682SH       SOLE   0            57682
PERFORMANT FINANCIAL CORP      COMMON STOCK  71377E105            174          16300SH       SOLE   0            16300
PERFUMANIA HOLDINGS INC        COMMON STOCK  71376C100             66           9104SH       SOLE   0             9104
PERICOM SEMICONDUCTOR CORP     COMMON STOCK  713831105            371          42715SH       SOLE   0            42715
PERKINELMER INC                COMMON STOCK  714046109           6065         205805SH       SOLE   0           205805
PERNIX THERAPEUTICS HOLDINGS   COMMON STOCK  71426V108            122          16346SH       SOLE   0            16346
PERRIGO CO                     COMMON STOCK  714290103          19610         168808SH       SOLE   0           168808
PERRY ELLIS INTERNATIONAL      COMMON STOCK  288853104            473          21442SH       SOLE   0            21442
PERVASIVE SOFTWARE INC         COMMON STOCK  715710109            206          23898SH       SOLE   0            23898
PETMED EXPRESS INC             COMMON STOCK  716382106            368          36687SH       SOLE   0            36687
PETROQUEST ENERGY INC          COMMON STOCK  716748108            686         102235SH       SOLE   0           102235
PETSMART INC                   COMMON STOCK  716768106          13511         195865SH       SOLE   0           195865
PFIZER INC                     COMMON STOCK  717081103         336195       13528956SH       SOLE   0         13528956
PGT INC                        COMMON STOCK  69336V101            115          35167SH       SOLE   0            35167
PHARMACYCLICS INC              COMMON STOCK  716933106           6338          98256SH       SOLE   0            98256
PHARMERICA CORP                COMMON STOCK  71714F104            675          53283SH       SOLE   0            53283
PHH CORP                       COMMON STOCK  693320202           2083         102366SH       SOLE   0           102366
PHI INC NON VOTING             COMMON STOCK  69336T205            742          23591SH       SOLE   0            23591
PHILLIPS 66                    COMMON STOCK  718546104          52385        1129725SH       SOLE   0          1129725
PHOENIX COMPANIES INC          COMMON STOCK  71902E604            323          10530SH       SOLE   0            10530
PHOTOMEDEX INC                 COMMON STOCK  719358301            333          23658SH       SOLE   0            23658
PHOTRONICS INC                 COMMON STOCK  719405102            586         109059SH       SOLE   0           109059
PICO HOLDINGS INC              COMMON STOCK  693366205            939          41155SH       SOLE   0            41155
PIEDMONT NATURAL GAS CO        COMMON STOCK  720186105           4207         129516SH       SOLE   0           129516
PIEDMONT OFFICE REALTY TRU A   REIT          720190206           5411         312039SH       SOLE   0           312039
PIER 1 IMPORTS INC             COMMON STOCK  720279108           3289         175484SH       SOLE   0           175484
PIKE ELECTRIC CORP             COMMON STOCK  721283109            247          31029SH       SOLE   0            31029
PILGRIM S PRIDE CORP           COMMON STOCK  72147K108            557         108962SH       SOLE   0           108962
PINNACLE ENTERTAINMENT INC     COMMON STOCK  723456109           1384         112977SH       SOLE   0           112977
PINNACLE FINANCIAL PARTNERS    COMMON STOCK  72346Q104           1207          62483SH       SOLE   0            62483
PINNACLE WEST CAPITAL          COMMON STOCK  723484101          10443         197781SH       SOLE   0           197781
PIONEER ENERGY SERVICES CORP   COMMON STOCK  723664108            870         111726SH       SOLE   0           111726
PIONEER NATURAL RESOURCES CO   COMMON STOCK  723787107          23204         222256SH       SOLE   0           222256
PIPER JAFFRAY COS              COMMON STOCK  724078100            700          27512SH       SOLE   0            27512
PITNEY BOWES INC               COMMON STOCK  724479100           4245         307155SH       SOLE   0           307155
PLAINS EXPLORATION + PRODUCT   COMMON STOCK  726505100           8725         232850SH       SOLE   0           232850
PLANTRONICS INC                COMMON STOCK  727493108           2715          76839SH       SOLE   0            76839
PLATINUM UNDERWRITERS HLDGS    COMMON STOCK  G7127P100           2572          62924SH       SOLE   0            62924
PLEXUS CORP                    COMMON STOCK  729132100           1914          63176SH       SOLE   0            63176
PLUM CREEK TIMBER CO           REIT          729251108          12792         291778SH       SOLE   0           291778
PLX TECHNOLOGY INC             COMMON STOCK  693417107            466          80817SH       SOLE   0            80817
PMC   SIERRA INC               COMMON STOCK  69344F106           2124         376569SH       SOLE   0           376569
PMFG INC                       COMMON STOCK  69345P103            303          37473SH       SOLE   0            37473
PNC FINANCIAL SERVICES GROUP   COMMON STOCK  693475105          60285         955395SH       SOLE   0           955395
PNM RESOURCES INC              COMMON STOCK  69349H107           3027         143956SH       SOLE   0           143956
POLARIS INDUSTRIES INC         COMMON STOCK  731068102           9453         116887SH       SOLE   0           116887
POLYCOM INC                    COMMON STOCK  73172K104           3179         322091SH       SOLE   0           322091
POLYONE CORPORATION            COMMON STOCK  73179P106           2683         161898SH       SOLE   0           161898
POLYPORE INTERNATIONAL INC     COMMON STOCK  73179V103           2973          84115SH       SOLE   0            84115
POOL CORP                      COMMON STOCK  73278L105           3567          85782SH       SOLE   0            85782
POPULAR INC                    COMMON STOCK  733174700           3237         185697SH       SOLE   0           185697
PORTFOLIO RECOVERY ASSOCIATE   COMMON STOCK  73640Q105           3232          30951SH       SOLE   0            30951
PORTLAND GENERAL ELECTRIC CO   COMMON STOCK  736508847           3688         136395SH       SOLE   0           136395
POST HOLDINGS INC              COMMON STOCK  737446104           1500          49897SH       SOLE   0            49897
POST PROPERTIES INC            REIT          737464107           4686          97707SH       SOLE   0            97707
POTLATCH CORP                  REIT          737630103           2723          72879SH       SOLE   0            72879
POWELL INDUSTRIES INC          COMMON STOCK  739128106            624          16147SH       SOLE   0            16147
POWER INTEGRATIONS INC         COMMON STOCK  739276103           1560          51266SH       SOLE   0            51266
POWER ONE INC                  COMMON STOCK  73930R102            678         121142SH       SOLE   0           121142
POZEN INC                      COMMON STOCK  73941U102            318          47941SH       SOLE   0            47941
PPG INDUSTRIES INC             COMMON STOCK  693506107          31592         275093SH       SOLE   0           275093
PPL CORPORATION                COMMON STOCK  69351T106          30442        1047923SH       SOLE   0          1047923
PRAXAIR INC                    COMMON STOCK  74005P104          56062         539678SH       SOLE   0           539678
PRECISION CASTPARTS CORP       COMMON STOCK  740189105          42885         262549SH       SOLE   0           262549
PREFERRED BANK/LOS ANGELES     COMMON STOCK  740367404            301          21241SH       SOLE   0            21241
PREFORMED LINE PRODUCTS CO     COMMON STOCK  740444104            232           4270SH       SOLE   0             4270
PREMIER EXHIBITIONS INC        COMMON STOCK  74051E102            110          46315SH       SOLE   0            46315
PREMIERE GLOBAL SERVICES INC   COMMON STOCK  740585104            845          90425SH       SOLE   0            90425
PRESIDENTIAL LIFE CORP         COMMON STOCK  740884101            545          39140SH       SOLE   0            39140
PRESTIGE BRANDS HOLDINGS INC   COMMON STOCK  74112D101           1541          90842SH       SOLE   0            90842
PRGX GLOBAL INC                COMMON STOCK  69357C503            323          37747SH       SOLE   0            37747
PRICELINE.COM INC              COMMON STOCK  741503403          55655          89951SH       SOLE   0            89951
PRICESMART INC                 COMMON STOCK  741511109           2488          32863SH       SOLE   0            32863
PRIMERICA INC                  COMMON STOCK  74164M108           2434          84979SH       SOLE   0            84979
PRIMORIS SERVICES CORP         COMMON STOCK  74164F103            706          54076SH       SOLE   0            54076
PRIMUS TELECOMMUNICATIONS GR   COMMON STOCK  741929301            336          21976SH       SOLE   0            21976
PRINCIPAL FINANCIAL GROUP      COMMON STOCK  74251V102          14608         542235SH       SOLE   0           542235
PRIVATEBANCORP INC             COMMON STOCK  742962103           1744         109084SH       SOLE   0           109084
PROASSURANCE CORP              COMMON STOCK  74267C106           5010          55392SH       SOLE   0            55392
PROCERA NETWORKS INC           COMMON STOCK  74269U203            818          34799SH       SOLE   0            34799
PROCTER + GAMBLE CO/THE        COMMON STOCK  742718109         343375        4950613SH       SOLE   0          4950613
PROGENICS PHARMACEUTICALS      COMMON STOCK  743187106            156          54461SH       SOLE   0            54461
PROGRESS SOFTWARE CORP         COMMON STOCK  743312100           2428         113530SH       SOLE   0           113530
PROGRESSIVE CORP               COMMON STOCK  743315103          22901        1104173SH       SOLE   0          1104173
PROLOGIS INC                   REIT          74340W103          29138         831796SH       SOLE   0           831796
PROOFPOINT INC                 COMMON STOCK  743424103            170          11440SH       SOLE   0            11440
PROS HOLDINGS INC              COMMON STOCK  74346Y103            753          39463SH       SOLE   0            39463
PROSPECT CAPITAL CORP          COMMON STOCK  74348T102           3088         268021SH       SOLE   0           268021
PROSPERITY BANCSHARES INC      COMMON STOCK  743606105           3653          85708SH       SOLE   0            85708
PROTECTIVE LIFE CORP           COMMON STOCK  743674103           3836         146356SH       SOLE   0           146356
PROTO LABS INC                 COMMON STOCK  743713109            308           9112SH       SOLE   0             9112
PROVIDENCE SERVICE CORP        COMMON STOCK  743815102            306          23552SH       SOLE   0            23552
PROVIDENT FINANCIAL HLDGS      COMMON STOCK  743868101            249          17558SH       SOLE   0            17558
PROVIDENT FINANCIAL SERVICES   COMMON STOCK  74386T105           1716         108702SH       SOLE   0           108702
PROVIDENT NEW YORK BANCORP     COMMON STOCK  744028101            672          71394SH       SOLE   0            71394
PRUDENTIAL FINANCIAL INC       COMMON STOCK  744320102          46005         843971SH       SOLE   0           843971
PS BUSINESS PARKS INC/CA       REIT          69360J107           2224          33283SH       SOLE   0            33283
PSS WORLD MEDICAL INC          COMMON STOCK  69366A100           2075          91089SH       SOLE   0            91089
PUBLIC SERVICE ENTERPRISE GP   COMMON STOCK  744573106          29412         913975SH       SOLE   0           913975
PUBLIC STORAGE                 REIT          74460D109          35877         257794SH       SOLE   0           257794
PULTEGROUP INC                 COMMON STOCK  745867101           9584         618303SH       SOLE   0           618303
PVH CORP                       COMMON STOCK  693656100          11914         127127SH       SOLE   0           127127
PZENA INVESTMENT MANAGM CL A   COMMON STOCK  74731Q103             92          17654SH       SOLE   0            17654
QAD INC A                      COMMON STOCK  74727D306            153          11297SH       SOLE   0            11297
QEP RESOURCES INC              COMMON STOCK  74733V100          10204         322298SH       SOLE   0           322298
QIAGEN N.V.                    COMMON STOCK  N72482107           7877         425528SH       SOLE   0           425528
QLIK TECHNOLOGIES INC          COMMON STOCK  74733T105           3455         154180SH       SOLE   0           154180
QLOGIC CORP                    COMMON STOCK  747277101           2011         176092SH       SOLE   0           176092
QUAD GRAPHICS INC              COMMON STOCK  747301109            772          45498SH       SOLE   0            45498
QUAKER CHEMICAL CORP           COMMON STOCK  747316107           1091          23383SH       SOLE   0            23383
QUALCOMM INC                   COMMON STOCK  747525103         193543        3097186SH       SOLE   0          3097186
QUALITY DISTRIBUTION INC       COMMON STOCK  74756M102            357          38613SH       SOLE   0            38613
QUALITY SYSTEMS INC            COMMON STOCK  747582104           1326          71485SH       SOLE   0            71485
QUANEX BUILDING PRODUCTS       COMMON STOCK  747619104           1252          66451SH       SOLE   0            66451
QUANTA SERVICES INC            COMMON STOCK  74762E102           9326         377571SH       SOLE   0           377571
QUANTUM CORP                   COMMON STOCK  747906204            681         423195SH       SOLE   0           423195
QUEST DIAGNOSTICS INC          COMMON STOCK  74834L100          18184         286671SH       SOLE   0           286671
QUESTAR CORP                   COMMON STOCK  748356102           6545         321951SH       SOLE   0           321951
QUESTCOR PHARMACEUTICALS       COMMON STOCK  74835Y101           1796          97100SH       SOLE   0            97100
QUICKLOGIC CORP                COMMON STOCK  74837P108            222          79273SH       SOLE   0            79273
QUICKSILVER RESOURCES INC      COMMON STOCK  74837R104            867         212076SH       SOLE   0           212076
QUIDEL CORP                    COMMON STOCK  74838J101            964          50925SH       SOLE   0            50925
QUIKSILVER INC                 COMMON STOCK  74838C106            783         235819SH       SOLE   0           235819
QUINSTREET INC                 COMMON STOCK  74874Q100            496          59105SH       SOLE   0            59105
RACKSPACE HOSTING INC          COMMON STOCK  750086100          13022         197037SH       SOLE   0           197037
RADIAN GROUP INC               COMMON STOCK  750236101           1045         240747SH       SOLE   0           240747
RADIOSHACK CORP                COMMON STOCK  750438103            427         179548SH       SOLE   0           179548
RADISYS CORP                   COMMON STOCK  750459109            148          41223SH       SOLE   0            41223
RAILAMERICA INC                COMMON STOCK  750753402            938          34148SH       SOLE   0            34148
RAIT FINANCIAL TRUST           REIT          749227609            473          90157SH       SOLE   0            90157
RALCORP HOLDINGS INC           COMMON STOCK  751028101           7284          99777SH       SOLE   0            99777
RALPH LAUREN CORP              COMMON STOCK  751212101          16844         111378SH       SOLE   0           111378
RAMBUS INC                     COMMON STOCK  750917106           1105         199437SH       SOLE   0           199437
RAMCO GERSHENSON PROPERTIES    REIT          751452202           1041          83041SH       SOLE   0            83041
RAND LOGISTICS INC             COMMON STOCK  752182105            240          31865SH       SOLE   0            31865
RANGE RESOURCES CORP           COMMON STOCK  75281A109          20471         292989SH       SOLE   0           292989
RAPTOR PHARMACEUTICAL CORP     COMMON STOCK  75382F106            490          88205SH       SOLE   0            88205
RAVEN INDUSTRIES INC           COMMON STOCK  754212108           1926          65444SH       SOLE   0            65444
RAYMOND JAMES FINANCIAL INC    COMMON STOCK  754730109           7527         205386SH       SOLE   0           205386
RAYONIER INC                   REIT          754907103          10843         221245SH       SOLE   0           221245
RAYTHEON COMPANY               COMMON STOCK  755111507          34425         602251SH       SOLE   0           602251
RBC BEARINGS INC               COMMON STOCK  75524B104           1927          40065SH       SOLE   0            40065
REACHLOCAL INC                 COMMON STOCK  75525F104            230          18377SH       SOLE   0            18377
READING INTERNATIONAL INC A    COMMON STOCK  755408101            177          30075SH       SOLE   0            30075
REALD INC                      COMMON STOCK  75604L105            710          79443SH       SOLE   0            79443
REALNETWORKS INC               COMMON STOCK  75605L708            328          39395SH       SOLE   0            39395
REALPAGE INC                   COMMON STOCK  75606N109           1464          64790SH       SOLE   0            64790
REALTY INCOME CORP             REIT          756109104           9857         241050SH       SOLE   0           241050
RED HAT INC                    COMMON STOCK  756577102          19838         348408SH       SOLE   0           348408
RED LION HOTELS CORP           COMMON STOCK  756764106            155          24847SH       SOLE   0            24847
RED ROBIN GOURMET BURGERS      COMMON STOCK  75689M101            865          26564SH       SOLE   0            26564
REDWOOD TRUST INC              REIT          758075402           2065         142807SH       SOLE   0           142807
REGAL BELOIT CORP              COMMON STOCK  758750103           4942          70115SH       SOLE   0            70115
REGAL ENTERTAINMENT GROUP A    COMMON STOCK  758766109           2073         147329SH       SOLE   0           147329
REGENCY CENTERS CORP           REIT          758849103           7918         162492SH       SOLE   0           162492
REGENERON PHARMACEUTICALS      COMMON STOCK  75886F107          21306         139568SH       SOLE   0           139568
REGIONAL MANAGEMENT CORP       COMMON STOCK  75902K106            151           8775SH       SOLE   0             8775
REGIONS FINANCIAL CORP         COMMON STOCK  7591EP100          18399        2551836SH       SOLE   0          2551836
REGIS CORP                     COMMON STOCK  758932107           1911         103949SH       SOLE   0           103949
REINSURANCE GROUP OF AMERICA   COMMON STOCK  759351604           7709         133211SH       SOLE   0           133211
RELIANCE STEEL + ALUMINUM      COMMON STOCK  759509102           7107         135756SH       SOLE   0           135756
RENAISSANCERE HOLDINGS LTD     COMMON STOCK  G7496G103           7208          93562SH       SOLE   0            93562
RENASANT CORP                  COMMON STOCK  75970E107            890          45402SH       SOLE   0            45402
RENEWABLE ENERGY GROUP INC     COMMON STOCK  75972A301             86          12926SH       SOLE   0            12926
RENT A CENTER INC              COMMON STOCK  76009N100           3765         107336SH       SOLE   0           107336
RENTECH INC                    COMMON STOCK  760112102           1015         412553SH       SOLE   0           412553
RENTRAK CORP                   COMMON STOCK  760174102            286          16902SH       SOLE   0            16902
REPLIGEN CORP                  COMMON STOCK  759916109            332          55740SH       SOLE   0            55740
REPROS THERAPEUTICS INC        COMMON STOCK  76028H209            408          26804SH       SOLE   0            26804
REPUBLIC AIRWAYS HOLDINGS IN   COMMON STOCK  760276105            405          87530SH       SOLE   0            87530
REPUBLIC BANCORP INC CLASS A   COMMON STOCK  760281204            395          18002SH       SOLE   0            18002
REPUBLIC SERVICES INC          COMMON STOCK  760759100          15070         547801SH       SOLE   0           547801
RESMED INC                     COMMON STOCK  761152107          10437         257906SH       SOLE   0           257906
RESOLUTE ENERGY CORP           COMMON STOCK  76116A108            773          87142SH       SOLE   0            87142
RESOLUTE FOREST PRODUCTS       COMMON STOCK  76117W109           1903         146352SH       SOLE   0           146352
RESOURCE AMERICA INC CL A      COMMON STOCK  761195205            148          21620SH       SOLE   0            21620
RESOURCE CAPITAL CORP          REIT          76120W302           1057         179784SH       SOLE   0           179784
RESOURCES CONNECTION INC       COMMON STOCK  76122Q105           1007          76820SH       SOLE   0            76820
RESPONSYS INC                  COMMON STOCK  761248103            661          64611SH       SOLE   0            64611
RETAIL OPPORTUNITY INVESTMEN   REIT          76131N101           1170          90945SH       SOLE   0            90945
RETAIL PROPERTIES OF AME   A   COMMON STOCK  76131V202           1740         153676SH       SOLE   0           153676
REVETT MINERALS INC            COMMON STOCK  761505205            163          45885SH       SOLE   0            45885
REVLON INC CLASS A             COMMON STOCK  761525609            316          20466SH       SOLE   0            20466
REX AMERICAN RESOURCES CORP    COMMON STOCK  761624105            185          10296SH       SOLE   0            10296
REX ENERGY CORP                COMMON STOCK  761565100           1041          77991SH       SOLE   0            77991
REXNORD CORP                   COMMON STOCK  76169B102            948          52016SH       SOLE   0            52016
RF MICRO DEVICES INC           COMMON STOCK  749941100           1985         502450SH       SOLE   0           502450
RICHARDSON ELEC LTD            COMMON STOCK  763165107            275          23192SH       SOLE   0            23192
RIGEL PHARMACEUTICALS INC      COMMON STOCK  766559603           1323         129104SH       SOLE   0           129104
RIGNET INC                     COMMON STOCK  766582100            412          22262SH       SOLE   0            22262
RITE AID CORP                  COMMON STOCK  767754104           1395        1192018SH       SOLE   0          1192018
RIVERBED TECHNOLOGY INC        COMMON STOCK  768573107           6665         286423SH       SOLE   0           286423
RLI CORP                       COMMON STOCK  749607107           2556          38340SH       SOLE   0            38340
ROADRUNNER TRANSPORTATION SY   COMMON STOCK  76973Q105            375          23154SH       SOLE   0            23154
ROBBINS + MYERS INC            COMMON STOCK  770196103           4144          69536SH       SOLE   0            69536
ROBERT HALF INTL INC           COMMON STOCK  770323103           6878         258283SH       SOLE   0           258283
ROCHESTER MEDICAL CORP         COMMON STOCK  771497104            226          19116SH       SOLE   0            19116
ROCK TENN COMPANY  CL A        COMMON STOCK  772739207           9220         127738SH       SOLE   0           127738
ROCKVILLE FINANCIAL INC        COMMON STOCK  774188106            632          51626SH       SOLE   0            51626
ROCKWELL AUTOMATION INC        COMMON STOCK  773903109          17937         257903SH       SOLE   0           257903
ROCKWELL COLLINS INC           COMMON STOCK  774341101          14054         262011SH       SOLE   0           262011
ROCKWELL MEDICAL INC           COMMON STOCK  774374102            307          37615SH       SOLE   0            37615
ROCKWOOD HOLDINGS INC          COMMON STOCK  774415103           5783         124088SH       SOLE   0           124088
ROFIN SINAR TECHNOLOGIES INC   COMMON STOCK  775043102           1017          51532SH       SOLE   0            51532
ROGERS CORP                    COMMON STOCK  775133101           1244          29371SH       SOLE   0            29371
ROLLINS INC                    COMMON STOCK  775711104           2699         115381SH       SOLE   0           115381
ROMA FINANCIAL CORP            COMMON STOCK  77581P109            117          13167SH       SOLE   0            13167
ROPER INDUSTRIES INC           COMMON STOCK  776696106          19341         176000SH       SOLE   0           176000
ROSETTA RESOURCES INC          COMMON STOCK  777779307           4578          95571SH       SOLE   0            95571
ROSETTA STONE INC              COMMON STOCK  777780107            245          19248SH       SOLE   0            19248
ROSS STORES INC                COMMON STOCK  778296103          26439         409274SH       SOLE   0           409274
ROUNDY S INC                   COMMON STOCK  779268101            218          35982SH       SOLE   0            35982
ROUSE PROPERTIES INC           REIT          779287101            574          40001SH       SOLE   0            40001
ROVI CORP                      COMMON STOCK  779376102           2910         200522SH       SOLE   0           200522
ROWAN COMPANIES PLC            COMMON STOCK  G7665A101           7577         224369SH       SOLE   0           224369
ROYAL CARIBBEAN CRUISES LTD    COMMON STOCK  V7780T103           8263         273512SH       SOLE   0           273512
ROYAL GOLD INC                 COMMON STOCK  780287108          10605         106199SH       SOLE   0           106199
RPC INC                        COMMON STOCK  749660106           1321         111066SH       SOLE   0           111066
RPM INTERNATIONAL INC          COMMON STOCK  749685103           6781         237604SH       SOLE   0           237604
RPX CORP                       COMMON STOCK  74972G103            429          38246SH       SOLE   0            38246
RR DONNELLEY + SONS CO         COMMON STOCK  257867101           3453         325765SH       SOLE   0           325765
RTI BIOLOGICS INC              COMMON STOCK  74975N105            421         100865SH       SOLE   0           100865
RTI INTERNATIONAL METALS INC   COMMON STOCK  74973W107           1311          54770SH       SOLE   0            54770
RUBICON TECHNOLOGY INC         COMMON STOCK  78112T107            295          30792SH       SOLE   0            30792
RUBY TUESDAY INC               COMMON STOCK  781182100            835         115205SH       SOLE   0           115205
RUDOLPH TECHNOLOGIES INC       COMMON STOCK  781270103            610          58089SH       SOLE   0            58089
RUE21 INC                      COMMON STOCK  781295100            871          27969SH       SOLE   0            27969
RUSH ENTERPRISES INC CL A      COMMON STOCK  781846209           1158          60129SH       SOLE   0            60129
RUTH S HOSPITALITY GROUP INC   COMMON STOCK  783332109            406          63678SH       SOLE   0            63678
RYDER SYSTEM INC               COMMON STOCK  783549108           3617          92592SH       SOLE   0            92592
RYLAND GROUP INC/THE           COMMON STOCK  783764103           2416          80545SH       SOLE   0            80545
Gaylord Entertainment Co       REIT            367905106         2041          51620SH       SOLE   0            51620
S + T BANCORP INC              COMMON STOCK  783859101            919          52210SH       SOLE   0            52210
S.Y. BANCORP INC               COMMON STOCK  785060104            520          21968SH       SOLE   0            21968
SABA SOFTWARE INC              COMMON STOCK  784932600            538          53859SH       SOLE   0            53859
SABRA HEALTH CARE REIT INC     REIT          78573L106           1340          66963SH       SOLE   0            66963
SAFEGUARD SCIENTIFICS INC      COMMON STOCK  786449207            590          37578SH       SOLE   0            37578
SAFETY INSURANCE GROUP INC     COMMON STOCK  78648T100           1052          22920SH       SOLE   0            22920
SAFEWAY INC                    COMMON STOCK  786514208           6988         434321SH       SOLE   0           434321
SAGA COMMUNICATIONS INC CL A   COMMON STOCK  786598300            256           6322SH       SOLE   0             6322
SAGENT PHARMACEUTICALS INC     COMMON STOCK  786692103            270          16948SH       SOLE   0            16948
SAIA INC                       COMMON STOCK  78709Y105            582          28886SH       SOLE   0            28886
SAIC INC                       COMMON STOCK  78390X101           6178         513104SH       SOLE   0           513104
SAKS INC                       COMMON STOCK  79377W108           2046         198478SH       SOLE   0           198478
SALEM COMMUNICATIONS  CL A     COMMON STOCK  794093104             96          18250SH       SOLE   0            18250
SALESFORCE.COM INC             COMMON STOCK  79466L302          38273         250656SH       SOLE   0           250656
SALIX PHARMACEUTICALS LTD      COMMON STOCK  795435106           4443         104933SH       SOLE   0           104933
SALLY BEAUTY HOLDINGS INC      COMMON STOCK  79546E104           7021         279815SH       SOLE   0           279815
SANCHEZ ENERGY CORP            COMMON STOCK  79970Y105            428          20948SH       SOLE   0            20948
SANDERSON FARMS INC            COMMON STOCK  800013104           1840          41461SH       SOLE   0            41461
SANDISK CORP                   COMMON STOCK  80004C101          19118         440208SH       SOLE   0           440208
SANDRIDGE ENERGY INC           COMMON STOCK  80007P307           6163         884218SH       SOLE   0           884218
SANDY SPRING BANCORP INC       COMMON STOCK  800363103            840          43655SH       SOLE   0            43655
SANGAMO BIOSCIENCES INC        COMMON STOCK  800677106            578          95024SH       SOLE   0            95024
SANMINA SCI CORP               COMMON STOCK  800907206           1250         147230SH       SOLE   0           147230
SANTARUS INC                   COMMON STOCK  802817304            878          98822SH       SOLE   0            98822
SAPIENS INTERNATIONAL CORP     COMMON STOCK  N7716A151             90          24636SH       SOLE   0            24636
SAPIENT CORPORATION            COMMON STOCK  803062108           2373         222608SH       SOLE   0           222608
SARATOGA RESOURCES INC/TEXAS   COMMON STOCK  803521103            201          36599SH       SOLE   0            36599
SAUER DANFOSS INC              COMMON STOCK  804137107            848          21095SH       SOLE   0            21095
SAUL CENTERS INC               REIT          804395101            605          13627SH       SOLE   0            13627
SBA COMMUNICATIONS CORP CL A   COMMON STOCK  78388J106          13783         219125SH       SOLE   0           219125
SCANA CORP                     COMMON STOCK  80589M102          10222         211767SH       SOLE   0           211767
SCANSOURCE INC                 COMMON STOCK  806037107           1596          49841SH       SOLE   0            49841
SCBT FINANCIAL CORP            COMMON STOCK  78401V102           1098          27247SH       SOLE   0            27247
SCHAWK INC                     COMMON STOCK  806373106            279          21403SH       SOLE   0            21403
SCHIFF NUTRITION INTERNATION   COMMON STOCK  806693107            583          24118SH       SOLE   0            24118
SCHLUMBERGER LTD               COMMON STOCK  806857108         174269        2409361SH       SOLE   0          2409361
SCHNITZER STEEL INDS INC A     COMMON STOCK  806882106           1285          45633SH       SOLE   0            45633
SCHOLASTIC CORP                COMMON STOCK  807066105           1488          46821SH       SOLE   0            46821
SCHULMAN (A.) INC              COMMON STOCK  808194104           1269          53283SH       SOLE   0            53283
SCHWAB (CHARLES) CORP          COMMON STOCK  808513105          24828        1941234SH       SOLE   0          1941234
SCHWEITZER MAUDUIT INTL INC    COMMON STOCK  808541106           1860          56390SH       SOLE   0            56390
SCICLONE PHARMACEUTICALS INC   COMMON STOCK  80862K104            569         102592SH       SOLE   0           102592
SCIENTIFIC GAMES CORP A        COMMON STOCK  80874P109            848         102563SH       SOLE   0           102563
SCIQUEST INC                   COMMON STOCK  80908T101            588          32295SH       SOLE   0            32295
SCORPIO TANKERS INC            COMMON STOCK  Y7542C106            408          68008SH       SOLE   0            68008
SCOTTS MIRACLE GRO CO CL A     COMMON STOCK  810186106           3301          75933SH       SOLE   0            75933
SCRIPPS NETWORKS INTER CL A    COMMON STOCK  811065101           9394         153427SH       SOLE   0           153427
SEABOARD CORP                  COMMON STOCK  811543107           1227            543SH       SOLE   0              543
SEABRIGHT HOLDINGS INC         COMMON STOCK  811656107            393          35723SH       SOLE   0            35723
SEACHANGE INTERNATIONAL INC    COMMON STOCK  811699107            404          51521SH       SOLE   0            51521
SEACOAST BANKING CORP/FL       COMMON STOCK  811707306            210         132359SH       SOLE   0           132359
SEACOR HOLDINGS INC            COMMON STOCK  811904101           3183          38185SH       SOLE   0            38185
SEACUBE CONTAINER LEASING LT   COMMON STOCK  G79978105            373          19914SH       SOLE   0            19914
SEALED AIR CORP                COMMON STOCK  81211K100           5421         350650SH       SOLE   0           350650
SEALY CORP                     COMMON STOCK  812139301            197          90403SH       SOLE   0            90403
SEARS HOLDINGS CORP            COMMON STOCK  812350106           3630          65420SH       SOLE   0            65420
SEARS HOMETOWN AND OUTLE RTS   COMMON STOCK  812350114            177          65220SH       SOLE   0            65220
SEATTLE GENETICS INC           COMMON STOCK  812578102           4629         171771SH       SOLE   0           171771
SEI INVESTMENTS COMPANY        COMMON STOCK  784117103           5319         247990SH       SOLE   0           247990
SELECT COMFORT CORPORATION     COMMON STOCK  81616X103           3232         102437SH       SOLE   0           102437
SELECT INCOME REIT             REIT          81618T100            410          16634SH       SOLE   0            16634
SELECTIVE INSURANCE GROUP      COMMON STOCK  816300107           1881          99058SH       SOLE   0            99058
SEMGROUP CORP CLASS A          COMMON STOCK  81663A105           2781          75474SH       SOLE   0            75474
SEMPRA ENERGY                  COMMON STOCK  816851109          28077         435369SH       SOLE   0           435369
SEMTECH CORP                   COMMON STOCK  816850101           2976         118341SH       SOLE   0           118341
SENECA FOODS CORP   CL A       COMMON STOCK  817070501            489          16392SH       SOLE   0            16392
SENIOR HOUSING PROP TRUST      REIT          81721M109           6945         318873SH       SOLE   0           318873
SENSIENT TECHNOLOGIES CORP     COMMON STOCK  81725T100           3315          90193SH       SOLE   0            90193
SEQUENOM INC                   COMMON STOCK  817337405            730         206850SH       SOLE   0           206850
SERVICE CORP INTERNATIONAL     COMMON STOCK  817565104           5280         392268SH       SOLE   0           392268
SERVICENOW INC                 COMMON STOCK  81762P102           1017          26300SH       SOLE   0            26300
SERVICESOURCE INTERNATIONAL    COMMON STOCK  81763U100            920          89693SH       SOLE   0            89693
SHAW GROUP INC                 COMMON STOCK  820280105           5194         119082SH       SOLE   0           119082
SHENANDOAH TELECOMMUNICATION   COMMON STOCK  82312B106            759          43105SH       SOLE   0            43105
SHERWIN WILLIAMS CO/THE        COMMON STOCK  824348106          23366         156911SH       SOLE   0           156911
Shuffle Master Inc             COMMON STOCK    825549108         1570          99319SH       SOLE   0            99319
SHILOH INDUSTRIES INC          COMMON STOCK  824543102            118          10546SH       SOLE   0            10546
SHIP FINANCE INTL LTD          COMMON STOCK  G81075106           1284          81685SH       SOLE   0            81685
SHOE CARNIVAL INC              COMMON STOCK  824889109            608          25847SH       SOLE   0            25847
SHORETEL INC                   COMMON STOCK  825211105            356          87151SH       SOLE   0            87151
SHUTTERFLY INC                 COMMON STOCK  82568P304           2009          64566SH       SOLE   0            64566
SI FINANCIAL GROUP INC         COMMON STOCK  78425V104            223          19068SH       SOLE   0            19068
SIERRA BANCORP                 COMMON STOCK  82620P102            268          21851SH       SOLE   0            21851
SIFCO INDUSTRIES               COMMON STOCK  826546103             83           4558SH       SOLE   0             4558
SIGA TECHNOLOGIES INC          COMMON STOCK  826917106            203          63337SH       SOLE   0            63337
SIGMA ALDRICH                  COMMON STOCK  826552101          15717         218380SH       SOLE   0           218380
SIGMA DESIGNS INC              COMMON STOCK  826565103            393          59492SH       SOLE   0            59492
SIGNATURE BANK                 COMMON STOCK  82669G104           5894          87861SH       SOLE   0            87861
SIGNET JEWELERS LTD            COMMON STOCK  G81276100           7496         153728SH       SOLE   0           153728
SILGAN HOLDINGS INC            COMMON STOCK  827048109           3858          88677SH       SOLE   0            88677
SILICON GRAPHICS INTERNATION   COMMON STOCK  82706L108            524          57575SH       SOLE   0            57575
SILICON IMAGE INC              COMMON STOCK  82705T102            690         150336SH       SOLE   0           150336
SILICON LABORATORIES INC       COMMON STOCK  826919102           2848          77472SH       SOLE   0            77472
SIMMONS FIRST NATL CORP CL A   COMMON STOCK  828730200            752          30871SH       SOLE   0            30871
SIMON PROPERTY GROUP INC       REIT          828806109          83153         547746SH       SOLE   0           547746
SIMPSON MANUFACTURING CO INC   COMMON STOCK  829073105           2069          72285SH       SOLE   0            72285
SINCLAIR BROADCAST GROUP A     COMMON STOCK  829226109           1021          91073SH       SOLE   0            91073
SIRIUS XM RADIO INC            COMMON STOCK  82967N108          17855        6867428SH       SOLE   0          6867428
SIRONA DENTAL SYSTEMS INC      COMMON STOCK  82966C103           5724         100485SH       SOLE   0           100485
SIX FLAGS ENTERTAINMENT CORP   COMMON STOCK  83001A102           4216          71703SH       SOLE   0            71703
SJW CORP                       COMMON STOCK  784305104            646          25472SH       SOLE   0            25472
SKECHERS USA INC CL A          COMMON STOCK  830566105           1395          68361SH       SOLE   0            68361
SKILLED HEALTHCARE GROU CL A   COMMON STOCK  83066R107            222          34463SH       SOLE   0            34463
SKULLCANDY INC                 COMMON STOCK  83083J104            402          29215SH       SOLE   0            29215
SKYWEST INC                    COMMON STOCK  830879102            950          92007SH       SOLE   0            92007
SKYWORKS SOLUTIONS INC         COMMON STOCK  83088M102           8074         342617SH       SOLE   0           342617
SL GREEN REALTY CORP           REIT          78440X101          12969         161967SH       SOLE   0           161967
SLM CORP                       COMMON STOCK  78442P106          13854         881269SH       SOLE   0           881269
SM ENERGY CO                   COMMON STOCK  78454L100           6273         115930SH       SOLE   0           115930
SMART BALANCE INC              COMMON STOCK  83169Y108           1286         106498SH       SOLE   0           106498
SMITH (A.O.) CORP              COMMON STOCK  831865209           4051          70409SH       SOLE   0            70409
SMITH + WESSON HOLDING CORP    COMMON STOCK  831756101           1291         117245SH       SOLE   0           117245
SMITHFIELD FOODS INC           COMMON STOCK  832248108           5416         275634SH       SOLE   0           275634
SNAP ON INC                    COMMON STOCK  833034101           7544         104964SH       SOLE   0           104964
SNYDERS LANCE INC              COMMON STOCK  833551104           1993          79718SH       SOLE   0            79718
SOLAR CAPITAL LTD              COMMON STOCK  83413U100           1601          69863SH       SOLE   0            69863
SOLAR SENIOR CAPITAL LTD       COMMON STOCK  83416M105            307          17159SH       SOLE   0            17159
SOLARWINDS INC                 COMMON STOCK  83416B109           6206         111333SH       SOLE   0           111333
SOLAZYME INC                   COMMON STOCK  83415T101            679          59171SH       SOLE   0            59171
SOLERA HOLDINGS INC            COMMON STOCK  83421A104           5505         125493SH       SOLE   0           125493
SOLTA MEDICAL INC              COMMON STOCK  83438K103            389         123774SH       SOLE   0           123774
SONIC AUTOMOTIVE INC CLASS A   COMMON STOCK  83545G102           1381          72787SH       SOLE   0            72787
SONIC CORP                     COMMON STOCK  835451105           1124         109476SH       SOLE   0           109476
SONOCO PRODUCTS CO             COMMON STOCK  835495102           5631         181699SH       SOLE   0           181699
SONUS NETWORKS INC             COMMON STOCK  835916107            722         384236SH       SOLE   0           384236
SOTHEBY S                      COMMON STOCK  835898107           3856         122401SH       SOLE   0           122401
SOURCEFIRE INC                 COMMON STOCK  83616T108           2616          53347SH       SOLE   0            53347
SOUTH JERSEY INDUSTRIES        COMMON STOCK  838518108           2909          54950SH       SOLE   0            54950
SOUTHERN CO/THE                COMMON STOCK  842587107          72338        1569502SH       SOLE   0          1569502
SOUTHERN COPPER CORP           COMMON STOCK  84265V105          10076         293262SH       SOLE   0           293262
SOUTHSIDE BANCSHARES INC       COMMON STOCK  84470P109            684          31346SH       SOLE   0            31346
SOUTHWEST AIRLINES CO          COMMON STOCK  844741108          12164        1387015SH       SOLE   0          1387015
SOUTHWEST BANCORP INC/OKLA     COMMON STOCK  844767103            381          35116SH       SOLE   0            35116
SOUTHWEST GAS CORP             COMMON STOCK  844895102           3683          83332SH       SOLE   0            83332
SOUTHWESTERN ENERGY CO         COMMON STOCK  845467109          21938         630779SH       SOLE   0           630779
SOVRAN SELF STORAGE INC        REIT          84610H108           3029          52361SH       SOLE   0            52361
SPANSION INC CLASS A           COMMON STOCK  84649R200           1038          87085SH       SOLE   0            87085
SPARK NETWORKS INC             COMMON STOCK  84651P100            126          20659SH       SOLE   0            20659
SPARTAN MOTORS INC             COMMON STOCK  846819100            306          61268SH       SOLE   0            61268
SPARTAN STORES INC             COMMON STOCK  846822104            599          39147SH       SOLE   0            39147
SPARTECH CORP                  COMMON STOCK  847220209            298          55659SH       SOLE   0            55659
SPECTRA ENERGY CORP            COMMON STOCK  847560109          34626        1179367SH       SOLE   0          1179367
SPECTRANETICS CORP             COMMON STOCK  84760C107            914          61947SH       SOLE   0            61947
SPECTRUM BRANDS HOLDINGS INC   COMMON STOCK  84763R101           1658          41445SH       SOLE   0            41445
SPECTRUM PHARMACEUTICALS INC   COMMON STOCK  84763A108           1258         107529SH       SOLE   0           107529
SPEEDWAY MOTORSPORTS INC       COMMON STOCK  847788106            325          21073SH       SOLE   0            21073
SPIRIT AEROSYSTEMS HOLD CL A   COMMON STOCK  848574109           4759         214263SH       SOLE   0           214263
SPIRIT AIRLINES INC            COMMON STOCK  848577102           1283          75121SH       SOLE   0            75121
SPLUNK INC                     COMMON STOCK  848637104           1029          28019SH       SOLE   0            28019
SPRINT NEXTEL CORP             COMMON STOCK  852061100          29908        5418138SH       SOLE   0          5418138
SPS COMMERCE INC               COMMON STOCK  78463M107            862          22399SH       SOLE   0            22399
SPX CORP                       COMMON STOCK  784635104           5986          91518SH       SOLE   0            91518
SS+C TECHNOLOGIES HOLDINGS     COMMON STOCK  78467J100           1543          61212SH       SOLE   0            61212
ST JOE CO/THE                  COMMON STOCK  790148100           2299         117916SH       SOLE   0           117916
ST JUDE MEDICAL INC            COMMON STOCK  790849103          23887         566984SH       SOLE   0           566984
STAAR SURGICAL CO              COMMON STOCK  852312305            496          65640SH       SOLE   0            65640
STAG INDUSTRIAL INC            REIT          85254J102            914          56233SH       SOLE   0            56233
STAGE STORES INC               COMMON STOCK  85254C305           1167          55407SH       SOLE   0            55407
STAMPS.COM INC                 COMMON STOCK  852857200            593          25625SH       SOLE   0            25625
STANCORP FINANCIAL GROUP       COMMON STOCK  852891100           2504          80153SH       SOLE   0            80153
STANDARD MOTOR PRODS           COMMON STOCK  853666105            660          35848SH       SOLE   0            35848
STANDARD PACIFIC CORP          COMMON STOCK  85375C101           1412         208879SH       SOLE   0           208879
STANDARD PARKING CORP          COMMON STOCK  853790103            635          28289SH       SOLE   0            28289
STANDEX INTERNATIONAL CORP     COMMON STOCK  854231107           1015          22826SH       SOLE   0            22826
STANLEY BLACK + DECKER INC     COMMON STOCK  854502101          23544         308770SH       SOLE   0           308770
STAPLES INC                    COMMON STOCK  855030102          14344        1245127SH       SOLE   0          1245127
STARBUCKS CORP                 COMMON STOCK  855244109          69548        1370411SH       SOLE   0          1370411
STARWOOD HOTELS + RESORTS      COMMON STOCK  85590A401          20698         357114SH       SOLE   0           357114
STARWOOD PROPERTY TRUST INC    REIT          85571B105           4892         210229SH       SOLE   0           210229
STATE AUTO FINANCIAL CORP      COMMON STOCK  855707105            438          26712SH       SOLE   0            26712
STATE BANK FINANCIAL CORP      COMMON STOCK  856190103            945          57337SH       SOLE   0            57337
STATE STREET CORP              COMMON STOCK  857477103          37041         882773SH       SOLE   0           882773
STEC INC                       COMMON STOCK  784774101            431          63905SH       SOLE   0            63905
STEEL DYNAMICS INC             COMMON STOCK  858119100           4445         395810SH       SOLE   0           395810
STEELCASE INC CL A             COMMON STOCK  858155203           1353         137407SH       SOLE   0           137407
STEIN MART INC                 COMMON STOCK  858375108            420          49381SH       SOLE   0            49381
STEINER LEISURE LTD            COMMON STOCK  P8744Y102           1285          27607SH       SOLE   0            27607
STEINWAY MUSICAL INSTRUMENTS   COMMON STOCK  858495104            303          12452SH       SOLE   0            12452
STELLARONE CORP                COMMON STOCK  85856G100            548          41660SH       SOLE   0            41660
STEPAN CO                      COMMON STOCK  858586100           1461          15203SH       SOLE   0            15203
STERICYCLE INC                 COMMON STOCK  858912108          13919         153764SH       SOLE   0           153764
STERIS CORP                    COMMON STOCK  859152100           3706         104484SH       SOLE   0           104484
STERLING BANCORP N Y           COMMON STOCK  859158107            554          55866SH       SOLE   0            55866
STERLING CONSTRUCTION CO       COMMON STOCK  859241101            294          29469SH       SOLE   0            29469
STERLING FINL CORP/SPOKANE     COMMON STOCK  859319303           1078          48414SH       SOLE   0            48414
STEVEN MADDEN LTD              COMMON STOCK  556269108           3104          70991SH       SOLE   0            70991
STEWART ENTERPRISES INC CL A   COMMON STOCK  860370105           1133         135016SH       SOLE   0           135016
STEWART INFORMATION SERVICES   COMMON STOCK  860372101            667          33118SH       SOLE   0            33118
STIFEL FINANCIAL CORP          COMMON STOCK  860630102           3259          96992SH       SOLE   0            96992
STILLWATER MINING CO           COMMON STOCK  86074Q102           2466         209142SH       SOLE   0           209142
STONE ENERGY CORP              COMMON STOCK  861642106           2246          89394SH       SOLE   0            89394
STONERIDGE INC                 COMMON STOCK  86183P102            251          50514SH       SOLE   0            50514
STR HOLDINGS INC               COMMON STOCK  78478V100            169          54497SH       SOLE   0            54497
STRATASYS INC                  COMMON STOCK  862685104           2090          38426SH       SOLE   0            38426
STRATEGIC HOTELS + RESORTS I   REIT          86272T106           1966         327074SH       SOLE   0           327074
STRAYER EDUCATION INC          COMMON STOCK  863236105           1381          21454SH       SOLE   0            21454
STRYKER CORP                   COMMON STOCK  863667101          31144         559533SH       SOLE   0           559533
STURM RUGER + CO INC           COMMON STOCK  864159108           1711          34577SH       SOLE   0            34577
SUCAMPO PHARMACEUTICALS CL A   COMMON STOCK  864909106             98          19555SH       SOLE   0            19555
SUFFOLK BANCORP                COMMON STOCK  864739107            258          17565SH       SOLE   0            17565
SUMMIT HOTEL PROPERTIES INC    REIT          866082100            471          55192SH       SOLE   0            55192
SUN BANCORP INC NJ             COMMON STOCK  86663B102            242          71789SH       SOLE   0            71789
SUN COMMUNITIES INC            REIT          866674104           2372          53769SH       SOLE   0            53769
SUN HEALTHCARE GROUP INC       COMMON STOCK  86677E100            389          46012SH       SOLE   0            46012
SUN HYDRAULICS CORP            COMMON STOCK  866942105            993          37369SH       SOLE   0            37369
SUNCOKE ENERGY INC             COMMON STOCK  86722A103           2038         126449SH       SOLE   0           126449
SUNESIS PHARMACEUTICALS INC    COMMON STOCK  867328601            276          48781SH       SOLE   0            48781
SUNOCO INC                     COMMON STOCK  86764P109           8852         189033SH       SOLE   0           189033
SUNPOWER CORP                  COMMON STOCK  867652406            323          71663SH       SOLE   0            71663
SUNRISE SENIOR LIVING INC      COMMON STOCK  86768K106           1501         105152SH       SOLE   0           105152
SUNSTONE HOTEL INVESTORS INC   REIT          867892101           2719         247172SH       SOLE   0           247172
SUNTRUST BANKS INC             COMMON STOCK  867914103          27488         972350SH       SOLE   0           972350
SUPER MICRO COMPUTER INC       COMMON STOCK  86800U104            633          52582SH       SOLE   0            52582
SUPERIOR ENERGY SERVICES INC   COMMON STOCK  868157108           5840         284618SH       SOLE   0           284618
SUPERIOR INDUSTRIES INTL       COMMON STOCK  868168105            709          41474SH       SOLE   0            41474
SUPERNUS PHARMACEUTICALS INC   COMMON STOCK  868459108             70           6082SH       SOLE   0             6082
SUPERTEX INC                   COMMON STOCK  868532102            333          18614SH       SOLE   0            18614
SUPERVALU INC                  COMMON STOCK  868536103            924         383377SH       SOLE   0           383377
SUPPORT.COM INC                COMMON STOCK  86858W101            372          88035SH       SOLE   0            88035
SURMODICS INC                  COMMON STOCK  868873100            469          23180SH       SOLE   0            23180
SUSQUEHANNA BANCSHARES INC     COMMON STOCK  869099101           3550         339375SH       SOLE   0           339375
SUSSER HOLDINGS CORP           COMMON STOCK  869233106            733          20255SH       SOLE   0            20255
SVB FINANCIAL GROUP            COMMON STOCK  78486Q101           4829          79865SH       SOLE   0            79865
SWIFT ENERGY CO                COMMON STOCK  870738101           1617          77434SH       SOLE   0            77434
SWIFT TRANSPORTATION CO        COMMON STOCK  87074U101           1230         142653SH       SOLE   0           142653
SWISHER HYGIENE INC            COMMON STOCK  870808102            281         203487SH       SOLE   0           203487
SWS GROUP INC                  COMMON STOCK  78503N107            321          52561SH       SOLE   0            52561
SYCAMORE NETWORKS INC          COMMON STOCK  871206405            571          37087SH       SOLE   0            37087
SYKES ENTERPRISES INC          COMMON STOCK  871237103            945          70283SH       SOLE   0            70283
SYMANTEC CORP                  COMMON STOCK  871503108          23440        1302221SH       SOLE   0          1302221
SYMETRA FINANCIAL CORP         COMMON STOCK  87151Q106           1720         139876SH       SOLE   0           139876
SYMMETRICOM INC                COMMON STOCK  871543104            524          75156SH       SOLE   0            75156
SYMMETRY MEDICAL INC           COMMON STOCK  871546206            655          66273SH       SOLE   0            66273
SYNACOR INC                    COMMON STOCK  871561106             92          12172SH       SOLE   0            12172
SYNAGEVA BIOPHARMA CORP        COMMON STOCK  87159A103           1009          18882SH       SOLE   0            18882
SYNAPTICS INC                  COMMON STOCK  87157D109           1462          60868SH       SOLE   0            60868
SYNCHRONOSS TECHNOLOGIES INC   COMMON STOCK  87157B103           1144          49945SH       SOLE   0            49945
SYNERGY PHARMACEUTICALS INC    COMMON STOCK  871639308            354          74021SH       SOLE   0            74021
SYNERGY RESOURCES CORP         COMMON STOCK  87164P103            295          70738SH       SOLE   0            70738
SYNNEX CORP                    COMMON STOCK  87162W100           1546          47455SH       SOLE   0            47455
SYNOPSYS INC                   COMMON STOCK  871607107           8698         263402SH       SOLE   0           263402
SYNOVUS FINANCIAL CORP         COMMON STOCK  87161C105           3369        1421380SH       SOLE   0          1421380
SYNTA PHARMACEUTICALS CORP     COMMON STOCK  87162T206            511          67072SH       SOLE   0            67072
SYNTEL INC                     COMMON STOCK  87162H103           1740          27888SH       SOLE   0            27888
SYNUTRA INTERNATIONAL INC      COMMON STOCK  87164C102            144          31208SH       SOLE   0            31208
SYPRIS SOLUTIONS INC           COMMON STOCK  871655106            136          19084SH       SOLE   0            19084
SYSCO CORP                     COMMON STOCK  871829107          33094        1058315SH       SOLE   0          1058315
SYSTEMAX INC                   COMMON STOCK  871851101            236          19987SH       SOLE   0            19987
T ROWE PRICE GROUP INC         COMMON STOCK  74144T108          29177         460932SH       SOLE   0           460932
T.G.C. INDUSTRIES INC          COMMON STOCK  872417308            189          26265SH       SOLE   0            26265
TAHOE RESOURCES INC            COMMON STOCK  873868103           2978         146244SH       SOLE   0           146244
TAKE TWO INTERACTIVE SOFTWRE   COMMON STOCK  874054109           1473         141262SH       SOLE   0           141262
TAL INTERNATIONAL GROUP INC    COMMON STOCK  874083108           1792          52726SH       SOLE   0            52726
TANGER FACTORY OUTLET CENTER   REIT          875465106           5411         167382SH       SOLE   0           167382
TANGOE INC/CT                  COMMON STOCK  87582Y108            708          53916SH       SOLE   0            53916
TARGA RESOURCES CORP           COMMON STOCK  87612G101           2635          52341SH       SOLE   0            52341
TARGACEPT INC                  COMMON STOCK  87611R306            240          49005SH       SOLE   0            49005
TARGET CORP                    COMMON STOCK  87612E106          75821        1194598SH       SOLE   0          1194598
TASER INTERNATIONAL INC        COMMON STOCK  87651B104            605         100342SH       SOLE   0           100342
TAUBMAN CENTERS INC            REIT          876664103           8148         106195SH       SOLE   0           106195
TAYLOR CAPITAL GROUP INC       COMMON STOCK  876851106            503          29400SH       SOLE   0            29400
TCF FINANCIAL CORP             COMMON STOCK  872275102           3499         293007SH       SOLE   0           293007
TCP CAPITAL CORP               COMMON STOCK  87238Q103            166          10413SH       SOLE   0            10413
TD AMERITRADE HOLDING CORP     COMMON STOCK  87236Y108           6440         419020SH       SOLE   0           419020
TEAM HEALTH HOLDINGS INC       COMMON STOCK  87817A107           1391          51266SH       SOLE   0            51266
TEAM INC                       COMMON STOCK  878155100           1144          35926SH       SOLE   0            35926
TEAVANA HOLDINGS INC           COMMON STOCK  87819P102            207          15863SH       SOLE   0            15863
TECH DATA CORP                 COMMON STOCK  878237106           3092          68253SH       SOLE   0            68253
TECHNE CORP                    COMMON STOCK  878377100           4783          66486SH       SOLE   0            66486
TECHTARGET                     COMMON STOCK  87874R100            164          27764SH       SOLE   0            27764
TECO ENERGY INC                COMMON STOCK  872375100           6913         389694SH       SOLE   0           389694
TEEKAY CORP                    COMMON STOCK  Y8564W103           2047          65601SH       SOLE   0            65601
TEEKAY TANKERS LTD CLASS A     COMMON STOCK  Y8565N102            426         113775SH       SOLE   0           113775
TEJON RANCH CO                 COMMON STOCK  879080109            715          23804SH       SOLE   0            23804
TELEDYNE TECHNOLOGIES INC      COMMON STOCK  879360105           4211          66426SH       SOLE   0            66426
TELEFLEX INC                   COMMON STOCK  879369106           5075          73726SH       SOLE   0            73726
TELENAV INC                    COMMON STOCK  879455103            178          29895SH       SOLE   0            29895
TELEPHONE AND DATA SYSTEMS     COMMON STOCK  879433829           4393         171547SH       SOLE   0           171547
TELETECH HOLDINGS INC          COMMON STOCK  879939106            707          41449SH       SOLE   0            41449
TELLABS INC                    COMMON STOCK  879664100           2343         661788SH       SOLE   0           661788
TELULAR CORP                   COMMON STOCK  87970T208            295          29823SH       SOLE   0            29823
TEMPUR PEDIC INTERNATIONAL     COMMON STOCK  88023U101           3215         107568SH       SOLE   0           107568
TENET HEALTHCARE CORP          COMMON STOCK  88033G100           4688         747767SH       SOLE   0           747767
TENNANT CO                     COMMON STOCK  880345103           1458          34039SH       SOLE   0            34039
TENNECO INC                    COMMON STOCK  880349105           3071         109686SH       SOLE   0           109686
TERADATA CORP                  COMMON STOCK  88076W103          22983         304775SH       SOLE   0           304775
TERADYNE INC                   COMMON STOCK  880770102           4796         337272SH       SOLE   0           337272
TEREX CORP                     COMMON STOCK  880779103           4503         199419SH       SOLE   0           199419
TERRENO REALTY CORP            REIT          88146M101            384          24281SH       SOLE   0            24281
TERRITORIAL BANCORP INC        COMMON STOCK  88145X108            458          19945SH       SOLE   0            19945
TESARO INC                     COMMON STOCK  881569107            118           8300SH       SOLE   0             8300
TESCO CORP                     COMMON STOCK  88157K101            586          54858SH       SOLE   0            54858
TESLA MOTORS INC               COMMON STOCK  88160R101           3461         118203SH       SOLE   0           118203
TESORO CORP                    COMMON STOCK  881609101          10623         253541SH       SOLE   0           253541
TESSCO TECHNOLOGIES INC        COMMON STOCK  872386107            207           9767SH       SOLE   0             9767
TESSERA TECHNOLOGIES INC       COMMON STOCK  88164L100           1283          93794SH       SOLE   0            93794
TETRA TECH INC                 COMMON STOCK  88162G103           3008         114561SH       SOLE   0           114561
TETRA TECHNOLOGIES INC         COMMON STOCK  88162F105            848         140153SH       SOLE   0           140153
TEXAS CAPITAL BANCSHARES INC   COMMON STOCK  88224Q107           3603          72490SH       SOLE   0            72490
TEXAS INDUSTRIES INC           COMMON STOCK  882491103           1657          40769SH       SOLE   0            40769
TEXAS INSTRUMENTS INC          COMMON STOCK  882508104          56960        2067518SH       SOLE   0          2067518
TEXAS ROADHOUSE INC            COMMON STOCK  882681109           1928         112739SH       SOLE   0           112739
TEXTAINER GROUP HOLDINGS LTD   COMMON STOCK  G8766E109            764          24998SH       SOLE   0            24998
TEXTRON INC                    COMMON STOCK  883203101          13253         506431SH       SOLE   0           506431
TFS FINANCIAL CORP             COMMON STOCK  87240R107           1316         145073SH       SOLE   0           145073
THERAVANCE INC                 COMMON STOCK  88338T104           2839         109558SH       SOLE   0           109558
THERMO FISHER SCIENTIFIC INC   COMMON STOCK  883556102          39041         663626SH       SOLE   0           663626
THERMON GROUP HOLDINGS INC     COMMON STOCK  88362T103            665          26607SH       SOLE   0            26607
THL CREDIT INC                 COMMON STOCK  872438106            381          27170SH       SOLE   0            27170
THOMAS PROPERTIES GROUP        COMMON STOCK  884453101            338          58034SH       SOLE   0            58034
THOMSON REUTERS CORP           COMMON STOCK  884903105          19358         670750SH       SOLE   0           670750
THOR INDUSTRIES INC            COMMON STOCK  885160101           2814          77477SH       SOLE   0            77477
THORATEC CORP                  COMMON STOCK  885175307           3668         106006SH       SOLE   0           106006
THRESHOLD PHARMACEUTICALS      COMMON STOCK  885807206            588          81191SH       SOLE   0            81191
TIBCO SOFTWARE INC             COMMON STOCK  88632Q103           9008         297973SH       SOLE   0           297973
TICC CAPITAL CORP              COMMON STOCK  87244T109            775          74501SH       SOLE   0            74501
TIDEWATER INC                  COMMON STOCK  886423102           4495          92626SH       SOLE   0            92626
TIFFANY + CO                   COMMON STOCK  886547108          14167         228946SH       SOLE   0           228946
TILLY S INC CLASS A SHRS       COMMON STOCK  886885102            304          16609SH       SOLE   0            16609
TIME WARNER CABLE              COMMON STOCK  88732J207          53670         564588SH       SOLE   0           564588
TIME WARNER INC                COMMON STOCK  887317303          78616        1734294SH       SOLE   0          1734294
TIMKEN CO                      COMMON STOCK  887389104           5867         157885SH       SOLE   0           157885
TITAN INTERNATIONAL INC        COMMON STOCK  88830M102           1348          76337SH       SOLE   0            76337
TITAN MACHINERY INC            COMMON STOCK  88830R101            618          30484SH       SOLE   0            30484
TITANIUM METALS CORP           COMMON STOCK  888339207           1856         144643SH       SOLE   0           144643
TIVO INC                       COMMON STOCK  888706108           2350         225282SH       SOLE   0           225282
TJX COMPANIES INC              COMMON STOCK  872540109          59958        1338648SH       SOLE   0          1338648
TMS INTERNATIONAL CORP A       COMMON STOCK  87261Q103            230          23248SH       SOLE   0            23248
TNS INC                        COMMON STOCK  872960109            661          44193SH       SOLE   0            44193
TOLL BROTHERS INC              COMMON STOCK  889478103           8628         259650SH       SOLE   0           259650
TOMPKINS FINANCIAL CORP        COMMON STOCK  890110109            812          20031SH       SOLE   0            20031
TOOTSIE ROLL INDS              COMMON STOCK  890516107           1155          42814SH       SOLE   0            42814
TORCHMARK CORP                 COMMON STOCK  891027104           9136         177921SH       SOLE   0           177921
TORNIER NV                     COMMON STOCK  N87237108            518          27320SH       SOLE   0            27320
TORO CO                        COMMON STOCK  891092108           4301         108120SH       SOLE   0           108120
TOTAL SYSTEM SERVICES INC      COMMON STOCK  891906109           6939         292764SH       SOLE   0           292764
TOWER GROUP INC                COMMON STOCK  891777104           1218          62825SH       SOLE   0            62825
TOWER INTERNATIONAL INC        COMMON STOCK  891826109             80          10402SH       SOLE   0            10402
TOWERS WATSON + CO CL A        COMMON STOCK  891894107           5819         109686SH       SOLE   0           109686
TOWERSTREAM CORP               COMMON STOCK  892000100            347          85558SH       SOLE   0            85558
TOWN SPORTS INTERNATIONAL      COMMON STOCK  89214A102            518          41845SH       SOLE   0            41845
TOWNE BANK                     COMMON STOCK  89214P109            728          47512SH       SOLE   0            47512
TPC GROUP INC                  COMMON STOCK  89236Y104            954          23373SH       SOLE   0            23373
TRACTOR SUPPLY COMPANY         COMMON STOCK  892356106          12879         130231SH       SOLE   0           130231
TRANSCEPT PHARMACEUTICALS IN   COMMON STOCK  89354M106            120          22669SH       SOLE   0            22669
TRANSDIGM GROUP INC            COMMON STOCK  893641100          13099          92331SH       SOLE   0            92331
TRAVELERS COS INC/THE          COMMON STOCK  89417E109          47980         702900SH       SOLE   0           702900
TRAVELZOO INC                  COMMON STOCK  89421Q106            303          12862SH       SOLE   0            12862
TRC COS INC                    COMMON STOCK  872625108            207          27541SH       SOLE   0            27541
TREDEGAR CORP                  COMMON STOCK  894650100            774          43615SH       SOLE   0            43615
TREE.COM INC                   COMMON STOCK  894675107            171          10894SH       SOLE   0            10894
TREEHOUSE FOODS INC            COMMON STOCK  89469A104           3413          65001SH       SOLE   0            65001
TREX COMPANY INC               COMMON STOCK  89531P105            919          26938SH       SOLE   0            26938
TRIANGLE CAPITAL CORP          COMMON STOCK  895848109           1263          49234SH       SOLE   0            49234
TRIANGLE PETROLEUM CORP        COMMON STOCK  89600B201            572          79915SH       SOLE   0            79915
TRICO BANCSHARES               COMMON STOCK  896095106            477          28864SH       SOLE   0            28864
TRIMAS CORP                    COMMON STOCK  896215209           1402          58147SH       SOLE   0            58147
TRIMBLE NAVIGATION LTD         COMMON STOCK  896239100          10770         225979SH       SOLE   0           225979
TRINITY INDUSTRIES INC         COMMON STOCK  896522109           4346         145006SH       SOLE   0           145006
TRIPADVISOR INC                COMMON STOCK  896945201           5159         156652SH       SOLE   0           156652
TRIPLE S MANAGEMENT CORP B     COMMON STOCK  896749108            732          35012SH       SOLE   0            35012
TRIQUINT SEMICONDUCTOR INC     COMMON STOCK  89674K103           1538         304575SH       SOLE   0           304575
TRIUMPH GROUP INC              COMMON STOCK  896818101           5629          90023SH       SOLE   0            90023
TRIUS THERAPEUTICS INC         COMMON STOCK  89685K100            261          44824SH       SOLE   0            44824
TRUE RELIGION APPAREL INC      COMMON STOCK  89784N104            993          46568SH       SOLE   0            46568
TRUEBLUE INC                   COMMON STOCK  89785X101           1148          73025SH       SOLE   0            73025
TRUSTCO BANK CORP NY           COMMON STOCK  898349105            968         169248SH       SOLE   0           169248
TRUSTMARK CORP                 COMMON STOCK  898402102           2849         117036SH       SOLE   0           117036
TRW AUTOMOTIVE HOLDINGS CORP   COMMON STOCK  87264S106           7951         181903SH       SOLE   0           181903
TTM TECHNOLOGIES               COMMON STOCK  87305R109            906          96030SH       SOLE   0            96030
TUESDAY MORNING CORP           COMMON STOCK  899035505            495          75534SH       SOLE   0            75534
TUMI HOLDINGS INC              COMMON STOCK  89969Q104            918          38998SH       SOLE   0            38998
TUPPERWARE BRANDS CORP         COMMON STOCK  899896104           5411         100978SH       SOLE   0           100978
TUTOR PERINI CORP              COMMON STOCK  901109108            738          64481SH       SOLE   0            64481
TW TELECOM INC                 COMMON STOCK  87311L104           7089         271904SH       SOLE   0           271904
TWIN DISC INC                  COMMON STOCK  901476101            275          15372SH       SOLE   0            15372
TWO HARBORS INVESTMENT CORP    REIT          90187B101           5930         504712SH       SOLE   0           504712
TYCO INTERNATIONAL LTD         COMMON STOCK  H89128104          47051         836308SH       SOLE   0           836308
TYLER TECHNOLOGIES INC         COMMON STOCK  902252105           2396          54425SH       SOLE   0            54425
TYSON FOODS INC CL A           COMMON STOCK  902494103           8411         525009SH       SOLE   0           525009
U.S. PHYSICAL THERAPY INC      COMMON STOCK  90337L108            588          21280SH       SOLE   0            21280
UBIQUITI NETWORKS INC          COMMON STOCK  90347A100            225          18886SH       SOLE   0            18886
UDR INC                        REIT          902653104          11093         446928SH       SOLE   0           446928
UFP TECHNOLOGIES INC           COMMON STOCK  902673102            175           9952SH       SOLE   0             9952
UGI CORP                       COMMON STOCK  902681105           6444         202971SH       SOLE   0           202971
UIL HOLDINGS CORP              COMMON STOCK  902748102           3280          91469SH       SOLE   0            91469
ULTA SALON COSMETICS + FRAGR   COMMON STOCK  90384S303          10946         113656SH       SOLE   0           113656
ULTIMATE SOFTWARE GROUP INC    COMMON STOCK  90385D107           4917          48157SH       SOLE   0            48157
ULTRA CLEAN HOLDINGS           COMMON STOCK  90385V107            240          41994SH       SOLE   0            41994
ULTRA PETROLEUM CORP           COMMON STOCK  903914109           6072         276230SH       SOLE   0           276230
ULTRATECH INC                  COMMON STOCK  904034105           1485          47311SH       SOLE   0            47311
UMB FINANCIAL CORP             COMMON STOCK  902788108           2838          58292SH       SOLE   0            58292
UMH PROPERTIES INC             REIT          903002103            285          23785SH       SOLE   0            23785
UMPQUA HOLDINGS CORP           COMMON STOCK  904214103           2606         202170SH       SOLE   0           202170
UNDER ARMOUR INC CLASS A       COMMON STOCK  904311107           7835         140344SH       SOLE   0           140344
UNIFI INC                      COMMON STOCK  904677200            325          25365SH       SOLE   0            25365
UNIFIRST CORP/MA               COMMON STOCK  904708104           1751          26221SH       SOLE   0            26221
UNILIFE CORP                   COMMON STOCK  90478E103            453         145145SH       SOLE   0           145145
UNION DRILLING INC             COMMON STOCK  90653P105            162          25018SH       SOLE   0            25018
UNION FIRST MARKET BANKSHARE   COMMON STOCK  90662P104            570          36646SH       SOLE   0            36646
UNION PACIFIC CORP             COMMON STOCK  907818108         102127         860376SH       SOLE   0           860376
UNISYS CORP                    COMMON STOCK  909214306           1648          79168SH       SOLE   0            79168
UNIT CORP                      COMMON STOCK  909218109           3643          87783SH       SOLE   0            87783
UNITED BANKSHARES INC          COMMON STOCK  909907107           2262          90818SH       SOLE   0            90818
UNITED CAPITAL CORP            COMMON STOCK  909912107             19            656SH       SOLE   0              656
UNITED COMMUNITY BANKS/GA      COMMON STOCK  90984P303            632          75354SH       SOLE   0            75354
UNITED CONTINENTAL HOLDINGS    COMMON STOCK  910047109          11698         599898SH       SOLE   0           599898
UNITED FINANCIAL BANCORP INC   COMMON STOCK  91030T109            406          28053SH       SOLE   0            28053
UNITED FIRE GROUP INC          COMMON STOCK  910340108            912          36316SH       SOLE   0            36316
UNITED NATURAL FOODS INC       COMMON STOCK  911163103           5160          88273SH       SOLE   0            88273
UNITED ONLINE INC              COMMON STOCK  911268100            904         163685SH       SOLE   0           163685
UNITED PARCEL SERVICE CL B     COMMON STOCK  911312106          93675        1308855SH       SOLE   0          1308855
UNITED RENTALS INC             COMMON STOCK  911363109           5539         169345SH       SOLE   0           169345
UNITED STATES ANTIMONY CORP    COMMON STOCK  911549103            189          96786SH       SOLE   0            96786
UNITED STATES LIME + MINERAL   COMMON STOCK  911922102            153           3181SH       SOLE   0             3181
UNITED STATES STEEL CORP       COMMON STOCK  912909108           4961         260159SH       SOLE   0           260159
UNITED STATIONERS INC          COMMON STOCK  913004107           1912          73479SH       SOLE   0            73479
UNITED TECHNOLOGIES CORP       COMMON STOCK  913017109         128907        1646533SH       SOLE   0          1646533
UNITED THERAPEUTICS CORP       COMMON STOCK  91307C102           5099          91247SH       SOLE   0            91247
UNITEDHEALTH GROUP INC         COMMON STOCK  91324P102         103860        1874384SH       SOLE   0          1874384
UNITIL CORP                    COMMON STOCK  913259107            677          24871SH       SOLE   0            24871
UNIVERSAL AMERICAN CORP        COMMON STOCK  91338E101            627          67878SH       SOLE   0            67878
UNIVERSAL DISPLAY CORP         COMMON STOCK  91347P105           2468          71792SH       SOLE   0            71792
UNIVERSAL ELECTRONICS INC      COMMON STOCK  913483103            475          26999SH       SOLE   0            26999
UNIVERSAL FOREST PRODUCTS      COMMON STOCK  913543104           1478          35589SH       SOLE   0            35589
UNIVERSAL HEALTH RLTY INCOME   REIT          91359E105            988          21491SH       SOLE   0            21491
UNIVERSAL HEALTH SERVICES B    COMMON STOCK  913903100           7393         161671SH       SOLE   0           161671
UNIVERSAL INSURANCE HOLDINGS   COMMON STOCK  91359V107            130          33648SH       SOLE   0            33648
UNIVERSAL STAINLESS + ALLOY    COMMON STOCK  913837100            459          12360SH       SOLE   0            12360
UNIVERSAL TECHNICAL INSTITUT   COMMON STOCK  913915104            531          38755SH       SOLE   0            38755
UNIVERSAL TRUCKLOAD SERVICES   COMMON STOCK  91388P105            158           9909SH       SOLE   0             9909
UNIVEST CORP OF PENNSYLVANIA   COMMON STOCK  915271100            545          30278SH       SOLE   0            30278
UNS ENERGY CORP                COMMON STOCK  903119105           3045          72747SH       SOLE   0            72747
UNUM GROUP                     COMMON STOCK  91529Y106           9927         516476SH       SOLE   0           516476
UNWIRED PLANET INC             COMMON STOCK  91531F103            300         156345SH       SOLE   0           156345
URANERZ ENERGY CORP            COMMON STOCK  91688T104            194         118828SH       SOLE   0           118828
URANIUM ENERGY CORP            COMMON STOCK  916896103            399         153045SH       SOLE   0           153045
URBAN OUTFITTERS INC           COMMON STOCK  917047102           7224         192345SH       SOLE   0           192345
URS CORP                       COMMON STOCK  903236107           4830         136796SH       SOLE   0           136796
URSTADT BIDDLE   CLASS A       REIT          917286205            836          41321SH       SOLE   0            41321
US AIRWAYS GROUP INC           COMMON STOCK  90341W108           3068         293270SH       SOLE   0           293270
US AUTO PARTS NETWORK INC      COMMON STOCK  90343C100             92          26565SH       SOLE   0            26565
US BANCORP                     COMMON STOCK  902973304         117384        3422283SH       SOLE   0          3422283
US CELLULAR CORP               COMMON STOCK  911684108            967          24712SH       SOLE   0            24712
US ECOLOGY INC                 COMMON STOCK  91732J102            714          33065SH       SOLE   0            33065
US SILICA HOLDINGS INC         COMMON STOCK  90346E103            288          21255SH       SOLE   0            21255
USA MOBILITY INC               COMMON STOCK  90341G103            475          40035SH       SOLE   0            40035
USANA HEALTH SCIENCES INC      COMMON STOCK  90328M107            501          10773SH       SOLE   0            10773
USG CORP                       COMMON STOCK  903293405           2939         133875SH       SOLE   0           133875
UTAH MEDICAL PRODUCTS INC      COMMON STOCK  917488108            201           5926SH       SOLE   0             5926
UTI WORLDWIDE INC              COMMON STOCK  G87210103           2520         187097SH       SOLE   0           187097
VAALCO ENERGY INC              COMMON STOCK  91851C201            893         104455SH       SOLE   0           104455
VAIL RESORTS INC               COMMON STOCK  91879Q109           3754          65110SH       SOLE   0            65110
VALASSIS COMMUNICATIONS INC    COMMON STOCK  918866104           1775          71883SH       SOLE   0            71883
VALERO ENERGY CORP             COMMON STOCK  91913Y100          31643         998842SH       SOLE   0           998842
VALIDUS HOLDINGS LTD           COMMON STOCK  G9319H102           5695         167952SH       SOLE   0           167952
VALLEY NATIONAL BANCORP        COMMON STOCK  919794107           3572         356447SH       SOLE   0           356447
VALMONT INDUSTRIES             COMMON STOCK  920253101           5548          42193SH       SOLE   0            42193
VALSPAR CORP                   COMMON STOCK  920355104           9439         168262SH       SOLE   0           168262
VALUE LINE INC                 COMMON STOCK  920437100             24           2419SH       SOLE   0             2419
VALUECLICK INC                 COMMON STOCK  92046N102           2333         135710SH       SOLE   0           135710
VANDA PHARMACEUTICALS INC      COMMON STOCK  921659108            205          50892SH       SOLE   0            50892
VANGUARD HEALTH SYSTEMS INC    COMMON STOCK  922036207            710          57412SH       SOLE   0            57412
VANTAGE DRILLING CO            COMMON STOCK  G93205113            636         345897SH       SOLE   0           345897
VANTIV INC   CL A              COMMON STOCK  92210H105           1536          71290SH       SOLE   0            71290
VARIAN MEDICAL SYSTEMS INC     COMMON STOCK  92220P105          12155         201503SH       SOLE   0           201503
VASCO DATA SECURITY INTL       COMMON STOCK  92230Y104            477          50825SH       SOLE   0            50825
VASCULAR SOLUTIONS INC         COMMON STOCK  92231M109            437          29474SH       SOLE   0            29474
VCA ANTECH INC                 COMMON STOCK  918194101           3119         158082SH       SOLE   0           158082
VECTREN CORPORATION            COMMON STOCK  92240G101           4237         148158SH       SOLE   0           148158
VEECO INSTRUMENTS INC          COMMON STOCK  922417100           2106          70158SH       SOLE   0            70158
VENOCO INC                     COMMON STOCK  92275P307            630          53065SH       SOLE   0            53065
VENTAS INC                     REIT          92276F100          32509         522235SH       SOLE   0           522235
VENTRUS BIOSCIENCES INC        COMMON STOCK  922822101             80          22458SH       SOLE   0            22458
VERA BRADLEY INC               COMMON STOCK  92335C106            867          36348SH       SOLE   0            36348
VERASTEM INC                   COMMON STOCK  92337C104            107          11410SH       SOLE   0            11410
VERIFONE SYSTEMS INC           COMMON STOCK  92342Y109           5416         194469SH       SOLE   0           194469
VERINT SYSTEMS INC             COMMON STOCK  92343X100           1080          39376SH       SOLE   0            39376
VERISIGN INC                   COMMON STOCK  92343E102          13898         285448SH       SOLE   0           285448
VERISK ANALYTICS INC CLASS A   COMMON STOCK  92345Y106          12642         265527SH       SOLE   0           265527
VERIZON COMMUNICATIONS INC     COMMON STOCK  92343V104         233910        5132989SH       SOLE   0          5132989
VERTEX PHARMACEUTICALS INC     COMMON STOCK  92532F100          21337         381354SH       SOLE   0           381354
VF CORP                        COMMON STOCK  918204108          25235         158350SH       SOLE   0           158350
VIACOM INC CLASS B             COMMON STOCK  92553P201          51107         953670SH       SOLE   0           953670
VIAD CORP                      COMMON STOCK  92552R406            764          36643SH       SOLE   0            36643
VIASAT INC                     COMMON STOCK  92552V100           2534          67780SH       SOLE   0            67780
VIASYSTEMS GROUP INC           COMMON STOCK  92553H803            120           6922SH       SOLE   0             6922
VICAL INC                      COMMON STOCK  925602104            593         137192SH       SOLE   0           137192
VICOR CORP                     COMMON STOCK  925815102            236          35371SH       SOLE   0            35371
VIEWPOINT FINANCIAL GROUP IN   COMMON STOCK  92672A101           1167          60901SH       SOLE   0            60901
VILLAGE SUPER MARKET CLASS A   COMMON STOCK  927107409            561          15248SH       SOLE   0            15248
VIRGIN MEDIA INC               COMMON STOCK  92769L101          14775         501861SH       SOLE   0           501861
VIRGINIA COMMERCE BANCORP      COMMON STOCK  92778Q109            424          48485SH       SOLE   0            48485
VIRNETX HOLDING CORP           COMMON STOCK  92823T108           1927          75765SH       SOLE   0            75765
VIROPHARMA INC                 COMMON STOCK  928241108           3806         125947SH       SOLE   0           125947
VIRTUS INVESTMENT PARTNERS     COMMON STOCK  92828Q109            941          10938SH       SOLE   0            10938
VIRTUSA CORP                   COMMON STOCK  92827P102            598          33640SH       SOLE   0            33640
VISA INC CLASS A SHARES        COMMON STOCK  92826C839         126784         944174SH       SOLE   0           944174
VISHAY INTERTECHNOLOGY INC     COMMON STOCK  928298108           2346         238677SH       SOLE   0           238677
VISHAY PRECISION GROUP         COMMON STOCK  92835K103            311          22267SH       SOLE   0            22267
VISTA GOLD CORP                COMMON STOCK  927926303            382         105141SH       SOLE   0           105141
VISTAPRINT NV                  COMMON STOCK  N93540107           2109          61760SH       SOLE   0            61760
VISTEON CORP                   COMMON STOCK  92839U206           4213          94764SH       SOLE   0            94764
VITACOST.COM INC               COMMON STOCK  92847A200            270          39782SH       SOLE   0            39782
VITAMIN SHOPPE INC             COMMON STOCK  92849E101           3099          53145SH       SOLE   0            53145
VIVUS INC                      COMMON STOCK  928551100           3210         180132SH       SOLE   0           180132
VMWARE INC CLASS A             COMMON STOCK  928563402          15455         159761SH       SOLE   0           159761
VOCERA COMMUNICATIONS INC      COMMON STOCK  92857F107            397          12829SH       SOLE   0            12829
VOCUS INC                      COMMON STOCK  92858J108            748          37305SH       SOLE   0            37305
VOLCANO CORP                   COMMON STOCK  928645100           2751          96281SH       SOLE   0            96281
VOLTERRA SEMICONDUCTOR CORP    COMMON STOCK  928708106           1002          45813SH       SOLE   0            45813
VONAGE HOLDINGS CORP           COMMON STOCK  92886T201           1696         743929SH       SOLE   0           743929
VORNADO REALTY TRUST           REIT          929042109          27184         335401SH       SOLE   0           335401
VOXX INTERNATIONAL CORP        COMMON STOCK  91829F104            245          32811SH       SOLE   0            32811
VSE CORP                       COMMON STOCK  918284100            182           7421SH       SOLE   0             7421
VULCAN MATERIALS CO            COMMON STOCK  929160109          11060         233819SH       SOLE   0           233819
W+T OFFSHORE INC               COMMON STOCK  92922P106           1178          62719SH       SOLE   0            62719
WABASH NATIONAL CORP           COMMON STOCK  929566107            880         123450SH       SOLE   0           123450
WABCO HOLDINGS INC             COMMON STOCK  92927K102           6716         116454SH       SOLE   0           116454
WABTEC CORP                    COMMON STOCK  929740108           6985          86999SH       SOLE   0            86999
WADDELL + REED FINANCIAL A     COMMON STOCK  930059100           5111         155970SH       SOLE   0           155970
WAGEWORKS INC                  COMMON STOCK  930427109            205          11753SH       SOLE   0            11753
WAL MART STORES INC            COMMON STOCK  931142103         225358        3053626SH       SOLE   0          3053626
WALGREEN CO                    COMMON STOCK  931422109          56802        1558788SH       SOLE   0          1558788
WALKER + DUNLOP INC            COMMON STOCK  93148P102            316          20586SH       SOLE   0            20586
WALT DISNEY CO/THE             COMMON STOCK  254687106         168828        3229308SH       SOLE   0          3229308
WALTER ENERGY INC              COMMON STOCK  93317Q105           3664         112879SH       SOLE   0           112879
WALTER INVESTMENT MANAGEMENT   COMMON STOCK  93317W102           1915          51731SH       SOLE   0            51731
WARNACO GROUP INC/THE          COMMON STOCK  934390402           3848          74133SH       SOLE   0            74133
WARNER CHILCOTT PLC CLASS A    COMMON STOCK  G94368100           4086         302665SH       SOLE   0           302665
WARREN RESOURCES INC           COMMON STOCK  93564A100            394         129487SH       SOLE   0           129487
WASHINGTON BANKING CO          COMMON STOCK  937303105            395          27864SH       SOLE   0            27864
WASHINGTON FEDERAL INC         COMMON STOCK  938824109           3220         193065SH       SOLE   0           193065
WASHINGTON POST CLASS B        COMMON STOCK  939640108           2770           7630SH       SOLE   0             7630
WASHINGTON REIT                REIT          939653101           3213         119802SH       SOLE   0           119802
WASHINGTON TRUST BANCORP       COMMON STOCK  940610108            683          26006SH       SOLE   0            26006
WASTE CONNECTIONS INC          COMMON STOCK  941053100           6743         222893SH       SOLE   0           222893
WASTE MANAGEMENT INC           COMMON STOCK  94106L109          26831         836391SH       SOLE   0           836391
WATERS CORP                    COMMON STOCK  941848103          13383         160598SH       SOLE   0           160598
WATERSTONE FINANCIAL INC       COMMON STOCK  941888109             68          13162SH       SOLE   0            13162
WATSCO INC                     COMMON STOCK  942622200           4023          53081SH       SOLE   0            53081
WATSON PHARMACEUTICALS INC     COMMON STOCK  942683103          19605         230218SH       SOLE   0           230218
WATTS WATER TECHNOLOGIES A     COMMON STOCK  942749102           1919          50717SH       SOLE   0            50717
WAUSAU PAPER CORP              COMMON STOCK  943315101            737          79627SH       SOLE   0            79627
WD 40 CO                       COMMON STOCK  929236107           1514          28759SH       SOLE   0            28759
WEB.COM GROUP INC              COMMON STOCK  94733A104           1136          63306SH       SOLE   0            63306
WEBMD HEALTH CORP              COMMON STOCK  94770V102           1284          91501SH       SOLE   0            91501
WEBSENSE INC                   COMMON STOCK  947684106           1052          67237SH       SOLE   0            67237
WEBSTER FINANCIAL CORP         COMMON STOCK  947890109           3089         130322SH       SOLE   0           130322
WEIGHT WATCHERS INTL INC       COMMON STOCK  948626106           2536          48021SH       SOLE   0            48021
WEINGARTEN REALTY INVESTORS    REIT          948741103           6155         218978SH       SOLE   0           218978
WEIS MARKETS INC               COMMON STOCK  948849104            840          19853SH       SOLE   0            19853
WELLCARE HEALTH PLANS INC      COMMON STOCK  94946T106           4403          77865SH       SOLE   0            77865
WELLPOINT INC                  COMMON STOCK  94973V107          34673         597700SH       SOLE   0           597700
WELLS FARGO + CO               COMMON STOCK  949746101         305656        8851911SH       SOLE   0          8851911
WENDY S CO/THE                 COMMON STOCK  95058W100           2303         506209SH       SOLE   0           506209
WERNER ENTERPRISES INC         COMMON STOCK  950755108           1707          79881SH       SOLE   0            79881
WESBANCO INC                   COMMON STOCK  950810101            874          42209SH       SOLE   0            42209
WESCO AIRCRAFT HOLDINGS INC    COMMON STOCK  950814103            435          31878SH       SOLE   0            31878
WESCO INTERNATIONAL INC        COMMON STOCK  95082P105           4502          78705SH       SOLE   0            78705
WEST BANCORPORATION            COMMON STOCK  95123P106            341          28295SH       SOLE   0            28295
WEST COAST BANCORP/OREGON      COMMON STOCK  952145209            783          34785SH       SOLE   0            34785
WEST MARINE INC                COMMON STOCK  954235107            292          27471SH       SOLE   0            27471
WEST PHARMACEUTICAL SERVICES   COMMON STOCK  955306105           3249          61216SH       SOLE   0            61216
WESTAMERICA BANCORPORATION     COMMON STOCK  957090103           2369          50350SH       SOLE   0            50350
WESTAR ENERGY INC              COMMON STOCK  95709T100           6760         227923SH       SOLE   0           227923
WESTELL TECHNOLOGIES INC A     COMMON STOCK  957541105            187          87554SH       SOLE   0            87554
WESTERN ALLIANCE BANCORP       COMMON STOCK  957638109           1289         126371SH       SOLE   0           126371
WESTERN ASSET MORTGAGE CAPIT   REIT          95790D105            322          14492SH       SOLE   0            14492
WESTERN DIGITAL CORP           COMMON STOCK  958102105          16447         424649SH       SOLE   0           424649
WESTERN REFINING INC           COMMON STOCK  959319104           2709         103493SH       SOLE   0           103493
WESTERN UNION CO               COMMON STOCK  959802109          20177        1107427SH       SOLE   0          1107427
WESTFIELD FINANCIAL INC        COMMON STOCK  96008P104            330          44044SH       SOLE   0            44044
WESTLAKE CHEMICAL CORP         COMMON STOCK  960413102           2636          36084SH       SOLE   0            36084
WESTMORELAND COAL CO           COMMON STOCK  960878106            195          19594SH       SOLE   0            19594
WESTWAY GROUP INC              COMMON STOCK  96169B100            135          21856SH       SOLE   0            21856
WESTWOOD HOLDINGS GROUP INC    COMMON STOCK  961765104            468          11996SH       SOLE   0            11996
WET SEAL INC/THE CLASS A       COMMON STOCK  961840105            515         163426SH       SOLE   0           163426
Wright Express Corp            COMMON STOCK  98233Q105           4892          70166SH       SOLE   0            70166
WEYCO GROUP INC                COMMON STOCK  962149100            293          12019SH       SOLE   0            12019
WEYERHAEUSER CO                REIT          962166104          25382         971015SH       SOLE   0           971015
WGL HOLDINGS INC               COMMON STOCK  92924F106           3749          93155SH       SOLE   0            93155
WHIRLPOOL CORP                 COMMON STOCK  963320106          11574         139602SH       SOLE   0           139602
WHITE MOUNTAINS INSURANCE GP   COMMON STOCK  G9618E107           5521          10755SH       SOLE   0            10755
WHITESTONE REIT B              REIT          966084204            330          25027SH       SOLE   0            25027
WHITING PETROLEUM CORP         COMMON STOCK  966387102          10070         212543SH       SOLE   0           212543
WHOLE FOODS MARKET INC         COMMON STOCK  966837106          32299         331614SH       SOLE   0           331614
WILEY (JOHN) + SONS CLASS A    COMMON STOCK  968223206           3898          84836SH       SOLE   0            84836
WILLBROS GROUP INC             COMMON STOCK  969203108            377          70263SH       SOLE   0            70263
WILLIAMS COS INC               COMMON STOCK  969457100          39530        1130400SH       SOLE   0          1130400
WILLIAMS SONOMA INC            COMMON STOCK  969904101           7026         159780SH       SOLE   0           159780
WILLIS LEASE FINANCE CORP      COMMON STOCK  970646105            122           9861SH       SOLE   0             9861
WILSHIRE BANCORP INC           COMMON STOCK  97186T108            703         111639SH       SOLE   0           111639
WINDSTREAM CORP                COMMON STOCK  97381W104          10747        1062969SH       SOLE   0          1062969
WINMARK CORP                   COMMON STOCK  974250102            220           4067SH       SOLE   0             4067
WINNEBAGO INDUSTRIES           COMMON STOCK  974637100            667          52822SH       SOLE   0            52822
WINTHROP REALTY TRUST          REIT          976391300            568          52655SH       SOLE   0            52655
WINTRUST FINANCIAL CORP        COMMON STOCK  97650W108           2467          65651SH       SOLE   0            65651
WISCONSIN ENERGY CORP          COMMON STOCK  976657106          15685         416372SH       SOLE   0           416372
WISDOMTREE INVESTMENTS INC     COMMON STOCK  97717P104            709         105849SH       SOLE   0           105849
WMS INDUSTRIES INC             COMMON STOCK  929297109           1631          99548SH       SOLE   0            99548
WOLVERINE WORLD WIDE INC       COMMON STOCK  978097103           3903          87960SH       SOLE   0            87960
WOODWARD INC                   COMMON STOCK  980745103           4244         124910SH       SOLE   0           124910
WORLD ACCEPTANCE CORP          COMMON STOCK  981419104           1270          18830SH       SOLE   0            18830
WORLD FUEL SERVICES CORP       COMMON STOCK  981475106           4625         129873SH       SOLE   0           129873
WORLD WRESTLING ENTERTAIN A    COMMON STOCK  98156Q108            395          49014SH       SOLE   0            49014
WORTHINGTON INDUSTRIES         COMMON STOCK  981811102           2045          94414SH       SOLE   0            94414
WPX ENERGY INC                 COMMON STOCK  98212B103           5957         359051SH       SOLE   0           359051
WR BERKLEY CORP                COMMON STOCK  084423102           7516         200472SH       SOLE   0           200472
WR GRACE + CO                  COMMON STOCK  38388F108           7968         134863SH       SOLE   0           134863
WRIGHT MEDICAL GROUP INC       COMMON STOCK  98235T107           1571          71055SH       SOLE   0            71055
WSFS FINANCIAL CORP            COMMON STOCK  929328102            566          13716SH       SOLE   0            13716
WW GRAINGER INC                COMMON STOCK  384802104          21993         105550SH       SOLE   0           105550
WYNDHAM WORLDWIDE CORP         COMMON STOCK  98310W108          13835         263632SH       SOLE   0           263632
WYNN RESORTS LTD               COMMON STOCK  983134107          16621         143977SH       SOLE   0           143977
XCEL ENERGY INC                COMMON STOCK  98389B100          24378         879743SH       SOLE   0           879743
XENOPORT INC                   COMMON STOCK  98411C100            889          77584SH       SOLE   0            77584
XEROX CORP                     COMMON STOCK  984121103          17873        2435051SH       SOLE   0          2435051
XILINX INC                     COMMON STOCK  983919101          15929         476771SH       SOLE   0           476771
XL GROUP PLC                   COMMON STOCK  G98290102          13533         563164SH       SOLE   0           563164
XO GROUP INC                   COMMON STOCK  983772104            394          47178SH       SOLE   0            47178
XOMA CORP                      COMMON STOCK  98419J107            454         123024SH       SOLE   0           123024
XPO LOGISTICS INC              COMMON STOCK  983793100            390          31880SH       SOLE   0            31880
XYLEM INC                      COMMON STOCK  98419M100           8427         335076SH       SOLE   0           335076
YAHOO  INC                     COMMON STOCK  984332106          35174        2201834SH       SOLE   0          2201834
YELP INC                       COMMON STOCK  985817105            413          15273SH       SOLE   0            15273
YORK WATER CO                  COMMON STOCK  987184108            425          23180SH       SOLE   0            23180
YOUNG INNOVATIONS INC          COMMON STOCK  987520103            389           9946SH       SOLE   0             9946
YUM  BRANDS INC                COMMON STOCK  988498101          55200         832073SH       SOLE   0           832073
ZAGG INC                       COMMON STOCK  98884U108            391          45896SH       SOLE   0            45896
ZAZA ENERGY CORP               COMMON STOCK  98919T100            133          44743SH       SOLE   0            44743
ZEBRA TECHNOLOGIES CORP CL A   COMMON STOCK  989207105           3517          93674SH       SOLE   0            93674
ZELTIQ AESTHETICS INC          COMMON STOCK  98933Q108            172          30532SH       SOLE   0            30532
ZEP INC                        COMMON STOCK  98944B108            606          40056SH       SOLE   0            40056
ZILLOW INC                     COMMON STOCK  98954A107            269           6371SH       SOLE   0             6371
ZIMMER HOLDINGS INC            COMMON STOCK  98956P102          21522         318279SH       SOLE   0           318279
ZIONS BANCORPORATION           COMMON STOCK  989701107           6874         332781SH       SOLE   0           332781
ZIOPHARM ONCOLOGY INC          COMMON STOCK  98973P101            654         120079SH       SOLE   0           120079
ZIPCAR INC                     COMMON STOCK  98974X103            378          48590SH       SOLE   0            48590
ZIX CORP                       COMMON STOCK  98974P100            316         110190SH       SOLE   0           110190
ZOGENIX INC                    COMMON STOCK  98978L105            261          98218SH       SOLE   0            98218
ZOLTEK COMPANIES INC           COMMON STOCK  98975W104            382          49734SH       SOLE   0            49734
ZUMIEZ INC                     COMMON STOCK  989817101           1097          39559SH       SOLE   0            39559
ZYGO CORP                      COMMON STOCK  989855101            538          29432SH       SOLE   0            29432
ZYNGA INC   CL A               COMMON STOCK  98986T108            673         236895SH       SOLE   0           236895
HHGREGG INC                    COMMON STOCK  42833L108            195          28207SH       SOLE   0            28207
METROPCS COMMUNICATIONS INC    COMMON STOCK    591708102        27349        2335561SH       SOLE   0          2335561
MOBILE MINI INC                COMMON STOCK  60740F105          12679         758751SH       SOLE   0           758751
SELECT MEDICAL HOLDINGS CORP   COMMON STOCK  81619Q105          35044        3120612SH       SOLE   0          3120612
RLJ LODGING TRUST              REIT          74965L101         189632       10028141SH       SOLE   0         10028141