California State Teachers Retirement System

California State Teachers Retirement System as of Dec. 31, 2012

Portfolio Holdings for California State Teachers Retirement System

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

                AS OF December 31, 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            168          45776SH       SOLE   0            45776
1ST SOURCE CORP                COMMON STOCK  336901103            573          25961SH       SOLE   0            25961
1ST UNITED BANCORP INC/NORTH   COMMON STOCK  33740N105            328          52401SH       SOLE   0            52401
3D SYSTEMS CORP                COMMON STOCK  88554D205           4383          82152SH       SOLE   0            82152
3M CO                          COMMON STOCK  88579Y101         113041        1217456SH       SOLE   0          1217456
8X8 INC                        COMMON STOCK  282914100            917         124082SH       SOLE   0           124082
AAON INC                       COMMON STOCK  000360206            680          32580SH       SOLE   0            32580
AAR CORP                       COMMON STOCK  000361105           1321          70696SH       SOLE   0            70696
AARON S INC                    COMMON STOCK  002535300           3772         133391SH       SOLE   0           133391
ABAXIS INC                     COMMON STOCK  002567105           1413          38092SH       SOLE   0            38092
ABBOTT LABORATORIES            COMMON STOCK  002824100         182164        2781125SH       SOLE   0          2781125
ABERCROMBIE + FITCH CO CL A    COMMON STOCK  002896207           6696         139597SH       SOLE   0           139597
ABIOMED INC                    COMMON STOCK  003654100            789          58610SH       SOLE   0            58610
ABM INDUSTRIES INC             COMMON STOCK  000957100           1880          94253SH       SOLE   0            94253
ABRAXAS PETROLEUM CORP         COMMON STOCK  003830106            317         144865SH       SOLE   0           144865
ACACIA RESEARCH   ACACIA TEC   COMMON STOCK  003881307           2237          87201SH       SOLE   0            87201
ACADIA HEALTHCARE CO INC       COMMON STOCK  00404A109           1103          47268SH       SOLE   0            47268
ACADIA REALTY TRUST            REIT          004239109           2229          88878SH       SOLE   0            88878
ACCELRYS INC                   COMMON STOCK  00430U103            882          97411SH       SOLE   0            97411
ACCENTURE PLC CL A             COMMON STOCK  G1151C101          75123        1129663SH       SOLE   0          1129663
ACCESS NATIONAL CORP           COMMON STOCK  004337101            169          13011SH       SOLE   0            13011
ACCO BRANDS CORP               COMMON STOCK  00081T108           1455         198203SH       SOLE   0           198203
ACCRETIVE HEALTH INC           COMMON STOCK  00438V103           1143          98870SH       SOLE   0            98870
ACCURAY INC                    COMMON STOCK  004397105            805         125129SH       SOLE   0           125129
ACCURIDE CORP                  COMMON STOCK  00439T206            266          82986SH       SOLE   0            82986
ACE LTD                        COMMON STOCK  H0023R105          47421         594252SH       SOLE   0           594252
ACETO CORP                     COMMON STOCK  004446100            473          47070SH       SOLE   0            47070
ACHILLION PHARMACEUTICALS      COMMON STOCK  00448Q201            837         104303SH       SOLE   0           104303
ACI WORLDWIDE INC              COMMON STOCK  004498101           3048          69754SH       SOLE   0            69754
ACME PACKET INC                COMMON STOCK  004764106           2257         102020SH       SOLE   0           102020
ACORDA THERAPEUTICS INC        COMMON STOCK  00484M106           1749          70355SH       SOLE   0            70355
ACORN ENERGY INC               COMMON STOCK  004848107            245          31348SH       SOLE   0            31348
WATSON PHARMACEUTICALS INC     COMMON STOCK    942683103        19223         223518SH       SOLE   0           223518
ACTIVE NETWORK INC/THE         COMMON STOCK  00506D100            335          68132SH       SOLE   0            68132
ACTIVISION BLIZZARD INC        COMMON STOCK  00507V109           7892         743163SH       SOLE   0           743163
ACTUANT CORP A                 COMMON STOCK  00508X203           3568         127825SH       SOLE   0           127825
ACTUATE CORP                   COMMON STOCK  00508B102            484          86457SH       SOLE   0            86457
ACUITY BRANDS INC              COMMON STOCK  00508Y102           5028          74240SH       SOLE   0            74240
ACURA PHARMACEUTICALS INC      COMMON STOCK  00509L703             47          21221SH       SOLE   0            21221
ACXIOM CORP                    COMMON STOCK  005125109           2354         134800SH       SOLE   0           134800
ADA ES INC                     COMMON STOCK  005208103            266          15777SH       SOLE   0            15777
ADAMS RESOURCES + ENERGY INC   COMMON STOCK  006351308            131           3734SH       SOLE   0             3734
ADOBE SYSTEMS INC              COMMON STOCK  00724F101          32801         870522SH       SOLE   0           870522
ADT CORP/THE                   COMMON STOCK  00101J106          18877         406054SH       SOLE   0           406054
ADTRAN INC                     COMMON STOCK  00738A106           2184         111772SH       SOLE   0           111772
ADVANCE AUTO PARTS INC         COMMON STOCK  00751Y106           9332         128987SH       SOLE   0           128987
ADVANCED ENERGY INDUSTRIES     COMMON STOCK  007973100            963          69710SH       SOLE   0            69710
ADVANCED MICRO DEVICES         COMMON STOCK  007903107           2646        1102615SH       SOLE   0          1102615
ADVENT SOFTWARE INC            COMMON STOCK  007974108           1185          55409SH       SOLE   0            55409
ADVISORY BOARD CO/THE          COMMON STOCK  00762W107           2816          60187SH       SOLE   0            60187
AECOM TECHNOLOGY CORP          COMMON STOCK  00766T100           4714         198052SH       SOLE   0           198052
AEGERION PHARMACEUTICALS INC   COMMON STOCK  00767E102           1112          43786SH       SOLE   0            43786
AEGION CORP                    COMMON STOCK  00770F104           1528          68870SH       SOLE   0            68870
AEP INDUSTRIES INC             COMMON STOCK  001031103            432           7302SH       SOLE   0             7302
AEROFLEX HOLDING CORP          COMMON STOCK  007767106            243          34683SH       SOLE   0            34683
AEROPOSTALE INC                COMMON STOCK  007865108           1855         142599SH       SOLE   0           142599
AEROVIRONMENT INC              COMMON STOCK  008073108            662          30454SH       SOLE   0            30454
AES CORP                       COMMON STOCK  00130H105          12045        1125739SH       SOLE   0          1125739
AETNA INC                      COMMON STOCK  00817Y108          28220         609506SH       SOLE   0           609506
AFC ENTERPRISES                COMMON STOCK  00104Q107           1116          42718SH       SOLE   0            42718
AFFILIATED MANAGERS GROUP      COMMON STOCK  008252108          11724          90083SH       SOLE   0            90083
AFFYMAX INC                    COMMON STOCK  00826A109           1204          63380SH       SOLE   0            63380
AFFYMETRIX INC                 COMMON STOCK  00826T108            393         123899SH       SOLE   0           123899
AFLAC INC                      COMMON STOCK  001055102          43583         820468SH       SOLE   0           820468
AG MORTGAGE INVESTMENT TRUST   REIT          001228105            936          39850SH       SOLE   0            39850
AGCO CORP                      COMMON STOCK  001084102           8376         170526SH       SOLE   0           170526
AGENUS INC                     COMMON STOCK  00847G705            176          42935SH       SOLE   0            42935
AGILENT TECHNOLOGIES INC       COMMON STOCK  00846U101          24971         609936SH       SOLE   0           609936
AGILYSYS INC                   COMMON STOCK  00847J105            215          25647SH       SOLE   0            25647
AGL RESOURCES INC              COMMON STOCK  001204106           8225         205782SH       SOLE   0           205782
AGREE REALTY CORP              REIT          008492100            537          20034SH       SOLE   0            20034
AIR LEASE CORP                 COMMON STOCK  00912X302           2542         118217SH       SOLE   0           118217
AIR METHODS CORP               COMMON STOCK  009128307           2502          67810SH       SOLE   0            67810
AIR PRODUCTS + CHEMICALS INC   COMMON STOCK  009158106          31167         370953SH       SOLE   0           370953
AIR TRANSPORT SERVICES GROUP   COMMON STOCK  00922R105            374          93216SH       SOLE   0            93216
AIRCASTLE LTD                  COMMON STOCK  G0129K104           1292         103033SH       SOLE   0           103033
AIRGAS INC                     COMMON STOCK  009363102          10997         120461SH       SOLE   0           120461
AK STEEL HOLDING CORP          COMMON STOCK  001547108           1097         238467SH       SOLE   0           238467
AKAMAI TECHNOLOGIES INC        COMMON STOCK  00971T101          12860         314340SH       SOLE   0           314340
AKORN INC                      COMMON STOCK  009728106           1334          99818SH       SOLE   0            99818
ALAMO GROUP INC                COMMON STOCK  011311107            398          12191SH       SOLE   0            12191
ALASKA AIR GROUP INC           COMMON STOCK  011659109           5376         124773SH       SOLE   0           124773
ALBANY INTL CORP CL A          COMMON STOCK  012348108           1098          48401SH       SOLE   0            48401
ALBEMARLE CORP                 COMMON STOCK  012653101           9719         156451SH       SOLE   0           156451
ALCOA INC                      COMMON STOCK  013817101          16245        1871601SH       SOLE   0          1871601
ALERE INC                      COMMON STOCK  01449J105           2609         141027SH       SOLE   0           141027
ALEXANDER + BALDWIN INC        COMMON STOCK  014491104           2176          74084SH       SOLE   0            74084
ALEXANDER S INC                REIT          014752109           1232           3723SH       SOLE   0             3723
ALEXANDRIA REAL ESTATE EQUIT   REIT          015271109           7554         108978SH       SOLE   0           108978
ALEXION PHARMACEUTICALS INC    COMMON STOCK  015351109          31620         337068SH       SOLE   0           337068
ALICO INC                      COMMON STOCK  016230104            227           6194SH       SOLE   0             6194
ALIGN TECHNOLOGY INC           COMMON STOCK  016255101           3499         126093SH       SOLE   0           126093
ALKERMES PLC                   COMMON STOCK  G01767105           3977         214761SH       SOLE   0           214761
ALLEGHANY CORP                 COMMON STOCK  017175100           9976          29743SH       SOLE   0            29743
ALLEGHENY TECHNOLOGIES INC     COMMON STOCK  01741R102           5705         187908SH       SOLE   0           187908
ALLEGIANT TRAVEL CO            COMMON STOCK  01748X102           1925          26229SH       SOLE   0            26229
ALLERGAN INC                   COMMON STOCK  018490102          48843         532465SH       SOLE   0           532465
ALLETE INC                     COMMON STOCK  018522300           2741          66888SH       SOLE   0            66888
ALLIANCE DATA SYSTEMS CORP     COMMON STOCK  018581108          12785          88319SH       SOLE   0            88319
ALLIANCE FINANCIAL CORP        COMMON STOCK  019205103            364           8368SH       SOLE   0             8368
ALLIANT ENERGY CORP            COMMON STOCK  018802108           8550         194716SH       SOLE   0           194716
ALLIANT TECHSYSTEMS INC        COMMON STOCK  018804104           3601          58112SH       SOLE   0            58112
ALLIED NEVADA GOLD CORP        COMMON STOCK  019344100           4751         157678SH       SOLE   0           157678
ALLIED WORLD ASSURANCE CO      COMMON STOCK  H01531104           5029          63822SH       SOLE   0            63822
ALLISON TRANSMISSION HOLDING   COMMON STOCK  01973R101            936          45850SH       SOLE   0            45850
ALLSCRIPTS HEALTHCARE SOLUTI   COMMON STOCK  01988P108           2833         300692SH       SOLE   0           300692
ALLSTATE CORP                  COMMON STOCK  020002101          34570         860594SH       SOLE   0           860594
ALMOST FAMILY INC              COMMON STOCK  020409108            294          14515SH       SOLE   0            14515
ALNYLAM PHARMACEUTICALS INC    COMMON STOCK  02043Q107           1484          81334SH       SOLE   0            81334
ALON USA ENERGY INC            COMMON STOCK  020520102            308          17051SH       SOLE   0            17051
ALPHA + OMEGA SEMICONDUCTOR    COMMON STOCK  G6331P104            254          30202SH       SOLE   0            30202
ALPHA NATURAL RESOURCES INC    COMMON STOCK  02076X102           3765         386534SH       SOLE   0           386534
ALPHATEC HOLDINGS INC          COMMON STOCK  02081G102            158          95905SH       SOLE   0            95905
ALTERA CORP                    COMMON STOCK  021441100          19494         566040SH       SOLE   0           566040
ALTERRA CAPITAL HOLDINGS LTD   COMMON STOCK  G0229R108           4241         150441SH       SOLE   0           150441
ALTRA HOLDINGS INC             COMMON STOCK  02208R106           1042          47273SH       SOLE   0            47273
AMAG PHARMACEUTICALS INC       COMMON STOCK  00163U106            551          37445SH       SOLE   0            37445
AMAZON.COM INC                 COMMON STOCK  023135106         159410         634747SH       SOLE   0           634747
AMBARELLA INC                  COMMON STOCK  G037AX101            118          10600SH       SOLE   0            10600
AMBIENT CORP                   COMMON STOCK  02318N201             14           4702SH       SOLE   0             4702
AMC NETWORKS INC A             COMMON STOCK  00164V103           4958         100166SH       SOLE   0           100166
AMCOL INTERNATIONAL CORP       COMMON STOCK  02341W103           1358          44267SH       SOLE   0            44267
AMDOCS LTD                     COMMON STOCK  G02602103          10061         296010SH       SOLE   0           296010
AMEDISYS INC                   COMMON STOCK  023436108            596          52864SH       SOLE   0            52864
AMER NATL BNKSHS/DANVILLE VA   COMMON STOCK  027745108            277          13695SH       SOLE   0            13695
AMERCO                         COMMON STOCK  023586100           1925          15179SH       SOLE   0            15179
AMEREN CORPORATION             COMMON STOCK  023608102          13077         425687SH       SOLE   0           425687
AMERESCO INC CL A              COMMON STOCK  02361E108            347          35366SH       SOLE   0            35366
AMERICA S CAR MART INC         COMMON STOCK  03062T105            567          13995SH       SOLE   0            13995
AMERICAN ASSETS TRUST INC      REIT          024013104           1619          57953SH       SOLE   0            57953
AMERICAN AXLE + MFG HOLDINGS   COMMON STOCK  024061103           1311         117036SH       SOLE   0           117036
AMERICAN CAMPUS COMMUNITIES    REIT          024835100           8366         181349SH       SOLE   0           181349
AMERICAN CAPITAL AGENCY CORP   REIT          02503X105          17346         599376SH       SOLE   0           599376
AMERICAN CAPITAL LTD           COMMON STOCK  02503Y103           6647         553945SH       SOLE   0           553945
AMERICAN CAPITAL MORTGAGE IN   REIT          02504A104           1500          63652SH       SOLE   0            63652
AMERICAN DG ENERGY INC         COMMON STOCK  025398108            104          45112SH       SOLE   0            45112
AMERICAN EAGLE OUTFITTERS      COMMON STOCK  02553E106           7053         343872SH       SOLE   0           343872
AMERICAN ELECTRIC POWER        COMMON STOCK  025537101          36269         849791SH       SOLE   0           849791
AMERICAN EQUITY INVT LIFE HL   COMMON STOCK  025676206           1284         105168SH       SOLE   0           105168
AMERICAN EXPRESS CO            COMMON STOCK  025816109         100983        1756843SH       SOLE   0          1756843
AMERICAN FINANCIAL GROUP INC   COMMON STOCK  025932104           5519         139649SH       SOLE   0           139649
AMERICAN GREETINGS CORP CL A   COMMON STOCK  026375105            937          55488SH       SOLE   0            55488
AMERICAN INTERNATIONAL GROUP   COMMON STOCK  026874784          39928        1131117SH       SOLE   0          1131117
AMERICAN NATIONAL INSURANCE    COMMON STOCK  028591105            865          12663SH       SOLE   0            12663
AMERICAN PUBLIC EDUCATION      COMMON STOCK  02913V103           1144          31674SH       SOLE   0            31674
AMERICAN RAILCAR INDUSTRIES    COMMON STOCK  02916P103            526          16584SH       SOLE   0            16584
AMERICAN REALTY CAPITAL TRUS   REIT          02917L101           3211         278034SH       SOLE   0           278034
AMERICAN SCIENCE + ENGINEERI   COMMON STOCK  029429107            967          14824SH       SOLE   0            14824
AMERICAN SOFTWARE INC CL A     COMMON STOCK  029683109            319          41088SH       SOLE   0            41088
AMERICAN STATES WATER CO       COMMON STOCK  029899101           1587          33075SH       SOLE   0            33075
AMERICAN SUPERCONDUCTOR CORP   COMMON STOCK  030111108            180          68565SH       SOLE   0            68565
AMERICAN TOWER CORP            REIT          03027X100          53495         692307SH       SOLE   0           692307
AMERICAN VANGUARD CORP         COMMON STOCK  030371108           1516          48800SH       SOLE   0            48800
AMERICAN WATER WORKS CO INC    COMMON STOCK  030420103          11481         309218SH       SOLE   0           309218
AMERICAN WOODMARK CORP         COMMON STOCK  030506109            473          16999SH       SOLE   0            16999
AMERIPRISE FINANCIAL INC       COMMON STOCK  03076C106          22789         363875SH       SOLE   0           363875
AMERIS BANCORP                 COMMON STOCK  03076K108            522          41778SH       SOLE   0            41778
AMERISAFE INC                  COMMON STOCK  03071H100            867          31809SH       SOLE   0            31809
AMERISOURCEBERGEN CORP         COMMON STOCK  03073E105          17842         413189SH       SOLE   0           413189
AMERISTAR CASINOS INC          COMMON STOCK  03070Q101           1517          57806SH       SOLE   0            57806
AMES NATIONAL CORP             COMMON STOCK  031001100            315          14373SH       SOLE   0            14373
AMETEK INC                     COMMON STOCK  031100100          15892         422990SH       SOLE   0           422990
AMGEN INC                      COMMON STOCK  031162100         117787        1364542SH       SOLE   0          1364542
AMICUS THERAPEUTICS INC        COMMON STOCK  03152W109            142          52894SH       SOLE   0            52894
AMKOR TECHNOLOGY INC           COMMON STOCK  031652100            551         129559SH       SOLE   0           129559
AMN HEALTHCARE SERVICES INC    COMMON STOCK  001744101            899          77849SH       SOLE   0            77849
AMPCO PITTSBURGH CORP          COMMON STOCK  032037103            298          14938SH       SOLE   0            14938
AMPHENOL CORP CL A             COMMON STOCK  032095101          18394         284291SH       SOLE   0           284291
AMPIO PHARMACEUTICALS INC      COMMON STOCK  03209T109            162          45088SH       SOLE   0            45088
AMREIT INC CLASS B             COMMON STOCK  03216B208            123           7200SH       SOLE   0             7200
AMSURG CORP                    COMMON STOCK  03232P405           1667          55542SH       SOLE   0            55542
AMTRUST FINANCIAL SERVICES     COMMON STOCK  032359309           1351          47091SH       SOLE   0            47091
AMYRIS INC                     COMMON STOCK  03236M101            166          53075SH       SOLE   0            53075
ANACOR PHARMACEUTICALS INC     COMMON STOCK  032420101            147          28334SH       SOLE   0            28334
ANADARKO PETROLEUM CORP        COMMON STOCK  032511107          65132         876486SH       SOLE   0           876486
ANADIGICS INC                  COMMON STOCK  032515108            311         123593SH       SOLE   0           123593
ANALOG DEVICES INC             COMMON STOCK  032654105          22016         523451SH       SOLE   0           523451
ANALOGIC CORP                  COMMON STOCK  032657207           1602          21555SH       SOLE   0            21555
ANAREN INC                     COMMON STOCK  032744104            475          24420SH       SOLE   0            24420
ANDERSONS INC/THE              COMMON STOCK  034164103           1402          32682SH       SOLE   0            32682
ANGIE S LIST INC               COMMON STOCK  034754101            749          62439SH       SOLE   0            62439
ANGIODYNAMICS INC              COMMON STOCK  03475V101            473          43065SH       SOLE   0            43065
ANIKA THERAPEUTICS INC         COMMON STOCK  035255108            206          20707SH       SOLE   0            20707
ANIXTER INTERNATIONAL INC      COMMON STOCK  035290105           3164          49455SH       SOLE   0            49455
ANN INC                        COMMON STOCK  035623107           2896          85575SH       SOLE   0            85575
ANNALY CAPITAL MANAGEMENT IN   REIT          035710409          24008        1709963SH       SOLE   0          1709963
ANNIE S INC                    COMMON STOCK  03600T104            293           8761SH       SOLE   0             8761
ANSYS INC                      COMMON STOCK  03662Q105          11002         163384SH       SOLE   0           163384
ANTARES PHARMA INC             COMMON STOCK  036642106            715         187614SH       SOLE   0           187614
ANWORTH MORTGAGE ASSET CORP    REIT          037347101           1391         240663SH       SOLE   0           240663
AOL INC                        COMMON STOCK  00184X105           4348         146845SH       SOLE   0           146845
AON PLC                        COMMON STOCK  G0408V102          31841         572681SH       SOLE   0           572681
APACHE CORP                    COMMON STOCK  037411105          53828         685711SH       SOLE   0           685711
APARTMENT INVT + MGMT CO  A    REIT          03748R101           6814         251807SH       SOLE   0           251807
APCO OIL AND GAS INTL INC      COMMON STOCK  G0471F109            197          16038SH       SOLE   0            16038
API TECHNOLOGIES CORP          COMMON STOCK  00187E203            167          56788SH       SOLE   0            56788
APOGEE ENTERPRISES INC         COMMON STOCK  037598109           1189          49607SH       SOLE   0            49607
APOLLO COMMERCIAL REAL ESTAT   REIT          03762U105            667          41092SH       SOLE   0            41092
APOLLO GROUP INC CL A          COMMON STOCK  037604105           3524         168463SH       SOLE   0           168463
APOLLO INVESTMENT CORP         COMMON STOCK  03761U106           2976         355956SH       SOLE   0           355956
APOLLO RESIDENTIAL MORTGAGE    COMMON STOCK  03763V102            856          42416SH       SOLE   0            42416
APPLE INC                      COMMON STOCK  037833100         874472        1640568SH       SOLE   0          1640568
APPLIED INDUSTRIAL TECH INC    COMMON STOCK  03820C105           3112          74084SH       SOLE   0            74084
APPLIED MATERIALS INC          COMMON STOCK  038222105          24040        2101391SH       SOLE   0          2101391
APPLIED MICRO CIRCUITS CORP    COMMON STOCK  03822W406            962         114578SH       SOLE   0           114578
APPROACH RESOURCES INC         COMMON STOCK  03834A103           1459          58326SH       SOLE   0            58326
APTARGROUP INC                 COMMON STOCK  038336103           5576         116842SH       SOLE   0           116842
AQUA AMERICA INC               COMMON STOCK  03836W103           6205         244086SH       SOLE   0           244086
ARABIAN AMERICAN DEVELOPMENT   COMMON STOCK  038465100            291          35030SH       SOLE   0            35030
ARBITRON INC                   COMMON STOCK  03875Q108           2168          46446SH       SOLE   0            46446
AMERICAN REPROGRAPHICS CO      COMMON STOCK  029263100            164          64132SH       SOLE   0            64132
ARCH CAPITAL GROUP LTD         COMMON STOCK  G0450A105          10463         237677SH       SOLE   0           237677
ARCH COAL INC                  COMMON STOCK  039380100           2726         372432SH       SOLE   0           372432
ARCHER DANIELS MIDLAND CO      COMMON STOCK  039483102          31647        1155439SH       SOLE   0          1155439
ARCTIC CAT INC                 COMMON STOCK  039670104            739          22142SH       SOLE   0            22142
ARDEN GROUP INC A              COMMON STOCK  039762109            179           1993SH       SOLE   0             1993
ARENA PHARMACEUTICALS INC      COMMON STOCK  040047102           3431         380370SH       SOLE   0           380370
ARES CAPITAL CORP              COMMON STOCK  04010L103           7615         435146SH       SOLE   0           435146
ARES COMMERCIAL REAL ESTATE    COMMON STOCK  04013V108            221          13466SH       SOLE   0            13466
ARGAN INC                      COMMON STOCK  04010E109            311          17275SH       SOLE   0            17275
ARGO GROUP INTERNATIONAL       COMMON STOCK  G0464B107           1521          45271SH       SOLE   0            45271
ARIAD PHARMACEUTICALS INC      COMMON STOCK  04033A100           5578         290807SH       SOLE   0           290807
ARKANSAS BEST CORP             COMMON STOCK  040790107            427          44687SH       SOLE   0            44687
ARLINGTON ASSET INVESTMENT A   COMMON STOCK  041356205            400          19278SH       SOLE   0            19278
ARMOUR RESIDENTIAL REIT INC    REIT          042315101           3377         521907SH       SOLE   0           521907
ARMSTRONG WORLD INDUSTRIES     COMMON STOCK  04247X102           1882          37103SH       SOLE   0            37103
ARQULE INC                     COMMON STOCK  04269E107            288         103333SH       SOLE   0           103333
ARRAY BIOPHARMA INC            COMMON STOCK  04269X105            758         203783SH       SOLE   0           203783
ARRIS GROUP INC                COMMON STOCK  04269Q100           2963         198306SH       SOLE   0           198306
ARROW ELECTRONICS INC          COMMON STOCK  042735100           7080         185918SH       SOLE   0           185918
ARROW FINANCIAL CORP           COMMON STOCK  042744102            453          18141SH       SOLE   0            18141
ARTESIAN RESOURCES CORP CL A   COMMON STOCK  043113208            293          13062SH       SOLE   0            13062
ARTHROCARE CORP                COMMON STOCK  043136100           1677          48483SH       SOLE   0            48483
ARTHUR J GALLAGHER + CO        COMMON STOCK  363576109           7205         207947SH       SOLE   0           207947
ARTIO GLOBAL INVESTORS INC     COMMON STOCK  04315B107            103          54179SH       SOLE   0            54179
ARUBA NETWORKS INC             COMMON STOCK  043176106           4072         196228SH       SOLE   0           196228
ASBURY AUTOMOTIVE GROUP        COMMON STOCK  043436104           1563          48799SH       SOLE   0            48799
ASCENA RETAIL GROUP INC        COMMON STOCK  04351G101           3985         215540SH       SOLE   0           215540
ASCENT CAPITAL GROUP INC A     COMMON STOCK  043632108           1543          24910SH       SOLE   0            24910
ASHFORD HOSPITALITY TRUST      REIT          044103109            984          93589SH       SOLE   0            93589
ASHLAND INC                    COMMON STOCK  044209104          11068         137650SH       SOLE   0           137650
ASPEN INSURANCE HOLDINGS LTD   COMMON STOCK  G05384105           4027         125518SH       SOLE   0           125518
ASPEN TECHNOLOGY INC           COMMON STOCK  045327103           4537         164159SH       SOLE   0           164159
ASSET ACCEPTANCE CAPITAL       COMMON STOCK  04543P100            125          27828SH       SOLE   0            27828
ASSISTED LIVING CONCEPTS I A   COMMON STOCK  04544X300            331          33962SH       SOLE   0            33962
ASSOCIATED BANC CORP           COMMON STOCK  045487105           4004         305178SH       SOLE   0           305178
ASSOCIATED ESTATES REALTY CP   REIT          045604105           1400          86877SH       SOLE   0            86877
ASSURANT INC                   COMMON STOCK  04621X108           4937         142274SH       SOLE   0           142274
ASSURED GUARANTY LTD           COMMON STOCK  G0585R106           4278         300620SH       SOLE   0           300620
ASTA FUNDING INC               COMMON STOCK  046220109            164          17245SH       SOLE   0            17245
ASTEC INDUSTRIES INC           COMMON STOCK  046224101           1173          35201SH       SOLE   0            35201
ASTEX PHARMACEUTICALS          COMMON STOCK  04624B103            475         163339SH       SOLE   0           163339
ASTORIA FINANCIAL CORP         COMMON STOCK  046265104           1431         152916SH       SOLE   0           152916
ASTRONICS CORP                 COMMON STOCK  046433108            420          18337SH       SOLE   0            18337
AT CROSS CO CL A               COMMON STOCK  227478104            181          16834SH       SOLE   0            16834
AT+T INC                       COMMON STOCK  00206R102         346770       10286844SH       SOLE   0         10286844
ATHENAHEALTH INC               COMMON STOCK  04685W103           4621          62912SH       SOLE   0            62912
ATLANTIC POWER CORP            COMMON STOCK  04878Q863           2280         199441SH       SOLE   0           199441
ATLANTIC TELE NETWORK INC      COMMON STOCK  049079205            579          15768SH       SOLE   0            15768
ATLAS AIR WORLDWIDE HOLDINGS   COMMON STOCK  049164205           2053          46337SH       SOLE   0            46337
ATMEL CORP                     COMMON STOCK  049513104           5100         778647SH       SOLE   0           778647
ATMI INC                       COMMON STOCK  00207R101           1169          55967SH       SOLE   0            55967
ATMOS ENERGY CORP              COMMON STOCK  049560105           5548         157970SH       SOLE   0           157970
ATRICURE INC                   COMMON STOCK  04963C209            176          25562SH       SOLE   0            25562
ATRION CORPORATION             COMMON STOCK  049904105            552           2816SH       SOLE   0             2816
ATWOOD OCEANICS INC            COMMON STOCK  050095108           4578          99987SH       SOLE   0            99987
AUDIENCE INC                   COMMON STOCK  05070J102            111          10645SH       SOLE   0            10645
AUTODESK INC                   COMMON STOCK  052769106          14332         405429SH       SOLE   0           405429
AUTOMATIC DATA PROCESSING      COMMON STOCK  053015103          48920         858088SH       SOLE   0           858088
AUTONATION INC                 COMMON STOCK  05329W102           2441          61476SH       SOLE   0            61476
AUTOZONE INC                   COMMON STOCK  053332102          23657          66746SH       SOLE   0            66746
AUXILIUM PHARMACEUTICALS INC   COMMON STOCK  05334D107           1572          84855SH       SOLE   0            84855
AV HOMES INC                   COMMON STOCK  00234P102            246          17312SH       SOLE   0            17312
AVAGO TECHNOLOGIES LTD         COMMON STOCK  Y0486S104          13547         427904SH       SOLE   0           427904
AVALONBAY COMMUNITIES INC      REIT          053484101          27215         200714SH       SOLE   0           200714
AVANIR PHARMACEUTICALS INC A   COMMON STOCK  05348P401            626         238090SH       SOLE   0           238090
AVEO PHARMACEUTICALS INC       COMMON STOCK  053588109            549          68249SH       SOLE   0            68249
AVERY DENNISON CORP            COMMON STOCK  053611109           6350         181838SH       SOLE   0           181838
AVG TECHNOLOGIES               COMMON STOCK  N07831105            221          13986SH       SOLE   0            13986
AVIAT NETWORKS INC             COMMON STOCK  05366Y102            354         107548SH       SOLE   0           107548
AVID TECHNOLOGY INC            COMMON STOCK  05367P100            397          52389SH       SOLE   0            52389
AVIS BUDGET GROUP INC          COMMON STOCK  053774105           3692         186263SH       SOLE   0           186263
AVISTA CORP                    COMMON STOCK  05379B107           2482         102926SH       SOLE   0           102926
AVNET INC                      COMMON STOCK  053807103           7371         240815SH       SOLE   0           240815
AVON PRODUCTS INC              COMMON STOCK  054303102          10879         757625SH       SOLE   0           757625
AVX CORP                       COMMON STOCK  002444107            907          84175SH       SOLE   0            84175
AWARE INC/MASS                 COMMON STOCK  05453N100            117          21260SH       SOLE   0            21260
AXCELIS TECHNOLOGIES INC       COMMON STOCK  054540109            262         188793SH       SOLE   0           188793
AXIS CAPITAL HOLDINGS LTD      COMMON STOCK  G0692U109           6286         181476SH       SOLE   0           181476
AXT INC                        COMMON STOCK  00246W103            159          56677SH       SOLE   0            56677
AZZ INC                        COMMON STOCK  002474104           1702          44288SH       SOLE   0            44288
B+G FOODS INC                  COMMON STOCK  05508R106           2611          92239SH       SOLE   0            92239
B/E AEROSPACE INC              COMMON STOCK  073302101           8486         171780SH       SOLE   0           171780
BABCOCK + WILCOX CO/THE        COMMON STOCK  05615F102           5453         208120SH       SOLE   0           208120
BADGER METER INC               COMMON STOCK  056525108           1207          25453SH       SOLE   0            25453
BAKER HUGHES INC               COMMON STOCK  057224107          31420         769350SH       SOLE   0           769350
BALCHEM CORP                   COMMON STOCK  057665200           1868          51331SH       SOLE   0            51331
BALDWIN + LYONS INC  CL B      COMMON STOCK  057755209            381          15979SH       SOLE   0            15979
BALL CORP                      COMMON STOCK  058498106          12300         274861SH       SOLE   0           274861
BALLY TECHNOLOGIES INC         COMMON STOCK  05874B107           3209          71781SH       SOLE   0            71781
BANCFIRST CORP                 COMMON STOCK  05945F103            479          11306SH       SOLE   0            11306
BANCORP INC/THE                COMMON STOCK  05969A105            557          50740SH       SOLE   0            50740
BANCORPSOUTH INC               COMMON STOCK  059692103           2409         165689SH       SOLE   0           165689
BANK MUTUAL CORP               COMMON STOCK  063750103            349          81250SH       SOLE   0            81250
BANK OF AMERICA CORP           COMMON STOCK  060505104         219334       18908116SH       SOLE   0         18908116
BANK OF HAWAII CORP            COMMON STOCK  062540109           3519          79888SH       SOLE   0            79888
BANK OF KENTUCKY FINL CORP     COMMON STOCK  062896105            253          10234SH       SOLE   0            10234
BANK OF MARIN BANCORP/CA       COMMON STOCK  063425102            353           9426SH       SOLE   0             9426
BANK OF NEW YORK MELLON CORP   COMMON STOCK  064058100          53781        2092627SH       SOLE   0          2092627
BANK OF THE OZARKS             COMMON STOCK  063904106           1715          51240SH       SOLE   0            51240
BANKFINANCIAL CORP             COMMON STOCK  06643P104            275          36997SH       SOLE   0            36997
BANKRATE INC                   COMMON STOCK  06647F102           1009          81074SH       SOLE   0            81074
BANKUNITED INC                 COMMON STOCK  06652K103           1491          61006SH       SOLE   0            61006
BANNER CORPORATION             COMMON STOCK  06652V208           1036          33712SH       SOLE   0            33712
BAR HARBOR BANKSHARES          COMMON STOCK  066849100            229           6803SH       SOLE   0             6803
BARNES + NOBLE INC             COMMON STOCK  067774109            750          49714SH       SOLE   0            49714
BARNES GROUP INC               COMMON STOCK  067806109           2137          95166SH       SOLE   0            95166
BARRETT BUSINESS SVCS INC      COMMON STOCK  068463108            469          12306SH       SOLE   0            12306
BARRY (R.G.)                   COMMON STOCK  068798107            217          15293SH       SOLE   0            15293
BASIC ENERGY SERVICES INC      COMMON STOCK  06985P100            618          54135SH       SOLE   0            54135
BASSETT FURNITURE INDS         COMMON STOCK  070203104            247          19784SH       SOLE   0            19784
BAXTER INTERNATIONAL INC       COMMON STOCK  071813109          64397         966047SH       SOLE   0           966047
BAZAARVOICE INC                COMMON STOCK  073271108            171          18248SH       SOLE   0            18248
BB+T CORP                      COMMON STOCK  054937107          35684        1225824SH       SOLE   0          1225824
BBCN BANCORP INC               COMMON STOCK  073295107           1583         136814SH       SOLE   0           136814
BEACON ROOFING SUPPLY INC      COMMON STOCK  073685109           2738          82263SH       SOLE   0            82263
BEAM INC                       COMMON STOCK  073730103          16890         276476SH       SOLE   0           276476
BEASLEY BROADCAST GRP INC  A   COMMON STOCK  074014101             38           7712SH       SOLE   0             7712
BEAZER HOMES USA INC           COMMON STOCK  07556Q881            730          43240SH       SOLE   0            43240
BEBE STORES INC                COMMON STOCK  075571109            259          64851SH       SOLE   0            64851
BECTON DICKINSON AND CO        COMMON STOCK  075887109          27805         355614SH       SOLE   0           355614
BED BATH + BEYOND INC          COMMON STOCK  075896100          22808         407934SH       SOLE   0           407934
BEL FUSE INC CL B              COMMON STOCK  077347300            363          18548SH       SOLE   0            18548
BELDEN INC                     COMMON STOCK  077454106           3593          79869SH       SOLE   0            79869
BELO CORPORATION A             COMMON STOCK  080555105           1259         164149SH       SOLE   0           164149
BEMIS COMPANY                  COMMON STOCK  081437105           6051         180852SH       SOLE   0           180852
BENCHMARK ELECTRONICS INC      COMMON STOCK  08160H101           1681         101118SH       SOLE   0           101118
BENEFICIAL MUTUAL BANCORP IN   COMMON STOCK  08173R104            547          57556SH       SOLE   0            57556
BERKSHIRE BANCORP INC          COMMON STOCK  084597202             61           7487SH       SOLE   0             7487
BERKSHIRE HATHAWAY INC CL B    COMMON STOCK  084670702         280275        3124578SH       SOLE   0          3124578
BERKSHIRE HILLS BANCORP INC    COMMON STOCK  084680107           1032          43236SH       SOLE   0            43236
BERRY PETROLEUM CO CLASS A     COMMON STOCK  085789105           3080          91816SH       SOLE   0            91816
BERRY PLASTICS GROUP INC       COMMON STOCK  08579W103            830          51600SH       SOLE   0            51600
BEST BUY CO INC                COMMON STOCK  086516101           5599         472525SH       SOLE   0           472525
BG MEDICINE INC                COMMON STOCK  08861T107             44          18900SH       SOLE   0            18900
BGC PARTNERS INC CL A          COMMON STOCK  05541T101            598         172693SH       SOLE   0           172693
BIG 5 SPORTING GOODS CORP      COMMON STOCK  08915P101            382          29196SH       SOLE   0            29196
BIG LOTS INC                   COMMON STOCK  089302103           2975         104534SH       SOLE   0           104534
BIGLARI HOLDINGS INC           COMMON STOCK  08986R101            831           2130SH       SOLE   0             2130
BILL BARRETT CORP              COMMON STOCK  06846N104           1501          84374SH       SOLE   0            84374
BIO RAD LABORATORIES A         COMMON STOCK  090572207           3733          35536SH       SOLE   0            35536
BIO REFERENCE LABS INC         COMMON STOCK  09057G602           1236          43088SH       SOLE   0            43088
BIOCRYST PHARMACEUTICALS INC   COMMON STOCK  09058V103            122          86258SH       SOLE   0            86258
BIODELIVERY SCIENCES INTL      COMMON STOCK  09060J106            204          47252SH       SOLE   0            47252
BIOGEN IDEC INC                COMMON STOCK  09062X103          61649         420324SH       SOLE   0           420324
BIOMARIN PHARMACEUTICAL INC    COMMON STOCK  09061G101          10560         214407SH       SOLE   0           214407
BIOMED REALTY TRUST INC        REIT          09063H107           5228         270477SH       SOLE   0           270477
BIOSCRIP INC                   COMMON STOCK  09069N108            830          77054SH       SOLE   0            77054
BIOSPECIFICS TECHNOLOGIES      COMMON STOCK  090931106            130           8677SH       SOLE   0             8677
BIOTIME INC                    COMMON STOCK  09066L105            168          53516SH       SOLE   0            53516
BJ S RESTAURANTS INC           COMMON STOCK  09180C106           1416          43032SH       SOLE   0            43032
BLACK BOX CORP                 COMMON STOCK  091826107            705          28979SH       SOLE   0            28979
BLACK DIAMOND INC              COMMON STOCK  09202G101            302          36848SH       SOLE   0            36848
BLACK HILLS CORP               COMMON STOCK  092113109           2811          77342SH       SOLE   0            77342
BLACKBAUD INC                  COMMON STOCK  09227Q100           1808          79198SH       SOLE   0            79198
BLACKROCK INC                  COMMON STOCK  09247X101          46194         223472SH       SOLE   0           223472
BLACKROCK KELSO CAPITAL CORP   COMMON STOCK  092533108           1298         129056SH       SOLE   0           129056
BLOOMIN  BRANDS INC            COMMON STOCK  094235108            505          32300SH       SOLE   0            32300
BLOUNT INTERNATIONAL INC       COMMON STOCK  095180105           1358          85862SH       SOLE   0            85862
BLUCORA INC                    COMMON STOCK  095229100           1103          70240SH       SOLE   0            70240
BLUE NILE INC                  COMMON STOCK  09578R103            841          21836SH       SOLE   0            21836
BLUEGREEN CORP                 COMMON STOCK  096231105            236          25130SH       SOLE   0            25130
BLUELINX HOLDINGS INC          COMMON STOCK  09624H109            119          42347SH       SOLE   0            42347
BLYTH INC                      COMMON STOCK  09643P207            283          18222SH       SOLE   0            18222
BMC SOFTWARE INC               COMMON STOCK  055921100          11207         282576SH       SOLE   0           282576
BOB EVANS FARMS                COMMON STOCK  096761101           2055          51114SH       SOLE   0            51114
BODY CENTRAL CORP              COMMON STOCK  09689U102            283          28399SH       SOLE   0            28399
BOEING CO/THE                  COMMON STOCK  097023105          99038        1314202SH       SOLE   0          1314202
BOFI HOLDING INC               COMMON STOCK  05566U108            543          19488SH       SOLE   0            19488
BOINGO WIRELESS INC            COMMON STOCK  09739C102            209          27727SH       SOLE   0            27727
BOISE INC                      COMMON STOCK  09746Y105           1402         176332SH       SOLE   0           176332
BOK FINANCIAL CORPORATION      COMMON STOCK  05561Q201           2461          45193SH       SOLE   0            45193
BOLT TECHNOLOGY CORP           COMMON STOCK  097698104            214          15019SH       SOLE   0            15019
BON TON STORES INC/THE         COMMON STOCK  09776J101            269          22214SH       SOLE   0            22214
BONANZA CREEK ENERGY INC       COMMON STOCK  097793103            483          17383SH       SOLE   0            17383
BOOZ ALLEN HAMILTON HOLDINGS   COMMON STOCK  099502106            595          42760SH       SOLE   0            42760
BORGWARNER INC                 COMMON STOCK  099724106          14403         201102SH       SOLE   0           201102
BOSTON BEER COMPANY INC A      COMMON STOCK  100557107           1831          13617SH       SOLE   0            13617
BOSTON PRIVATE FINL HOLDING    COMMON STOCK  101119105           1235         137105SH       SOLE   0           137105
BOSTON PROPERTIES INC          REIT          101121101          27817         262894SH       SOLE   0           262894
BOSTON SCIENTIFIC CORP         COMMON STOCK  101137107          14370        2507767SH       SOLE   0          2507767
BOTTOMLINE TECHNOLOGIES INC    COMMON STOCK  101388106           1619          61334SH       SOLE   0            61334
SMART BALANCE INC              COMMON STOCK  83169Y108           1334         103398SH       SOLE   0           103398
BOYD GAMING CORP               COMMON STOCK  103304101            648          97552SH       SOLE   0            97552
BPZ RESOURCES INC              COMMON STOCK  055639108            578         183491SH       SOLE   0           183491
BRADY CORPORATION   CL A       COMMON STOCK  104674106           2874          86042SH       SOLE   0            86042
BRANDYWINE REALTY TRUST        REIT          105368203           3064         251349SH       SOLE   0           251349
BRAVO BRIO RESTAURANT GROUP    COMMON STOCK  10567B109            460          34251SH       SOLE   0            34251
BRE PROPERTIES INC             REIT          05564E106           6842         134610SH       SOLE   0           134610
BRIDGE BANCORP INC             COMMON STOCK  108035106            306          15056SH       SOLE   0            15056
BRIDGE CAPITAL HOLDINGS        COMMON STOCK  108030107            253          16288SH       SOLE   0            16288
BRIDGEPOINT EDUCATION INC      COMMON STOCK  10807M105            315          30584SH       SOLE   0            30584
BRIGGS + STRATTON              COMMON STOCK  109043109           1799          85337SH       SOLE   0            85337
BRIGHTCOVE                     COMMON STOCK  10921T101             94          10432SH       SOLE   0            10432
BRINK S CO/THE                 COMMON STOCK  109696104           2367          82969SH       SOLE   0            82969
BRINKER INTERNATIONAL INC      COMMON STOCK  109641100           4098         132250SH       SOLE   0           132250
BRISTOL MYERS SQUIBB CO        COMMON STOCK  110122108          96584        2963596SH       SOLE   0          2963596
BRISTOW GROUP INC              COMMON STOCK  110394103           3368          62773SH       SOLE   0            62773
BROADCOM CORP CL A             COMMON STOCK  111320107          32105         966732SH       SOLE   0           966732
BROADRIDGE FINANCIAL SOLUTIO   COMMON STOCK  11133T103           5013         219110SH       SOLE   0           219110
BROADSOFT INC                  COMMON STOCK  11133B409           1750          48170SH       SOLE   0            48170
BROCADE COMMUNICATIONS SYS     COMMON STOCK  111621306           4290         804841SH       SOLE   0           804841
BROOKDALE SENIOR LIVING INC    COMMON STOCK  112463104           4317         170509SH       SOLE   0           170509
BROOKLINE BANCORP INC          COMMON STOCK  11373M107           1045         122897SH       SOLE   0           122897
BROOKS AUTOMATION INC          COMMON STOCK  114340102            937         116360SH       SOLE   0           116360
BROWN + BROWN INC              COMMON STOCK  115236101           5222         205094SH       SOLE   0           205094
BROWN FORMAN CORP CLASS B      COMMON STOCK  115637209          16618         262737SH       SOLE   0           262737
BROWN SHOE COMPANY INC         COMMON STOCK  115736100           1380          75127SH       SOLE   0            75127
BRUKER CORP                    COMMON STOCK  116794108           2496         163469SH       SOLE   0           163469
BRUNSWICK CORP                 COMMON STOCK  117043109           4559         156737SH       SOLE   0           156737
BRYN MAWR BANK CORP            COMMON STOCK  117665109            446          20041SH       SOLE   0            20041
BSB BANCORP INC/MA             COMMON STOCK  05573H108            176          14352SH       SOLE   0            14352
BUCKEYE TECHNOLOGIES INC       COMMON STOCK  118255108           1985          69133SH       SOLE   0            69133
BUCKLE INC/THE                 COMMON STOCK  118440106           2171          48639SH       SOLE   0            48639
BUFFALO WILD WINGS INC         COMMON STOCK  119848109           2370          32548SH       SOLE   0            32548
BUILDERS FIRSTSOURCE INC       COMMON STOCK  12008R107            440          78884SH       SOLE   0            78884
BUNGE LTD                      COMMON STOCK  G16962105          18611         256035SH       SOLE   0           256035
C + F FINANCIAL CORP           COMMON STOCK  12466Q104            218           5588SH       SOLE   0             5588
C+J ENERGY SERVICES INC        COMMON STOCK  12467B304           1677          78204SH       SOLE   0            78204
C.H. ROBINSON WORLDWIDE INC    COMMON STOCK  12541W209          18037         285304SH       SOLE   0           285304
CA INC                         COMMON STOCK  12673P105          13685         622591SH       SOLE   0           622591
CABELA S INC                   COMMON STOCK  126804301           3418          81879SH       SOLE   0            81879
CABLEVISION SYSTEMS NY GRP A   COMMON STOCK  12686C109           5272         352894SH       SOLE   0           352894
CABOT CORP                     COMMON STOCK  127055101           4425         111211SH       SOLE   0           111211
CABOT MICROELECTRONICS CORP    COMMON STOCK  12709P103           1469          41371SH       SOLE   0            41371
CABOT OIL + GAS CORP           COMMON STOCK  127097103          18312         368158SH       SOLE   0           368158
CACI INTERNATIONAL INC  CL A   COMMON STOCK  127190304           2188          39758SH       SOLE   0            39758
CADENCE DESIGN SYS INC         COMMON STOCK  127387108           6511         481905SH       SOLE   0           481905
CADENCE PHARMACEUTICALS INC    COMMON STOCK  12738T100            505         105515SH       SOLE   0           105515
CADIZ INC                      COMMON STOCK  127537207            180          22742SH       SOLE   0            22742
CAESARS ENTERTAINMENT CORP     COMMON STOCK  127686103            448          64672SH       SOLE   0            64672
CAFEPRESS INC                  COMMON STOCK  12769A103             46           8047SH       SOLE   0             8047
CAI INTERNATIONAL INC          COMMON STOCK  12477X106            559          25470SH       SOLE   0            25470
CAL DIVE INTERNATIONAL INC     COMMON STOCK  12802T101            292         168607SH       SOLE   0           168607
CAL MAINE FOODS INC            COMMON STOCK  128030202           1019          25335SH       SOLE   0            25335
CALAMOS ASSET MANAGEMENT A     COMMON STOCK  12811R104            357          33772SH       SOLE   0            33772
CALAMP CORP                    COMMON STOCK  128126109            419          50341SH       SOLE   0            50341
CALAVO GROWERS INC             COMMON STOCK  128246105            525          20838SH       SOLE   0            20838
CALGON CARBON CORP             COMMON STOCK  129603106           1416          99839SH       SOLE   0            99839
CALIFORNIA FIRST NATL BANCOR   COMMON STOCK  130222102             59           3953SH       SOLE   0             3953
CALIFORNIA WATER SERVICE GRP   COMMON STOCK  130788102           1349          73518SH       SOLE   0            73518
CALIX NETWORKS INC             COMMON STOCK  13100M509            529          68854SH       SOLE   0            68854
CALLAWAY GOLF COMPANY          COMMON STOCK  131193104            742         114103SH       SOLE   0           114103
CALLIDUS SOFTWARE INC          COMMON STOCK  13123E500            276          60802SH       SOLE   0            60802
CALLON PETROLEUM CO            COMMON STOCK  13123X102            325          69188SH       SOLE   0            69188
CALPINE CORP                   COMMON STOCK  131347304          12871         709936SH       SOLE   0           709936
CAMBREX CORP                   COMMON STOCK  132011107            591          51949SH       SOLE   0            51949
CAMDEN NATIONAL CORP           COMMON STOCK  133034108            459          13506SH       SOLE   0            13506
CAMDEN PROPERTY TRUST          REIT          133131102           9612         140917SH       SOLE   0           140917
CAMERON INTERNATIONAL CORP     COMMON STOCK  13342B105          24396         432086SH       SOLE   0           432086
CAMPBELL SOUP CO               COMMON STOCK  134429109          10694         306509SH       SOLE   0           306509
CAMPUS CREST COMMUNITIES INC   REIT          13466Y105            830          67685SH       SOLE   0            67685
CANTEL MEDICAL CORP            COMMON STOCK  138098108           1106          37210SH       SOLE   0            37210
CAPE BANCORP INC               COMMON STOCK  139209100            172          19811SH       SOLE   0            19811
CAPELLA EDUCATION CO           COMMON STOCK  139594105            631          22336SH       SOLE   0            22336
CAPITAL BANK FINANCIAL CL A    COMMON STOCK  139794101            287          16800SH       SOLE   0            16800
CAPITAL CITY BANK GROUP INC    COMMON STOCK  139674105            233          20459SH       SOLE   0            20459
CAPITAL ONE FINANCIAL CORP     COMMON STOCK  14040H105          58984        1018193SH       SOLE   0          1018193
CAPITAL SENIOR LIVING CORP     COMMON STOCK  140475104            923          49370SH       SOLE   0            49370
CAPITAL SOUTHWEST CORP         COMMON STOCK  140501107            516           5176SH       SOLE   0             5176
CAPITALSOURCE INC              COMMON STOCK  14055X102           2813         371122SH       SOLE   0           371122
CAPITOL FEDERAL FINANCIAL IN   COMMON STOCK  14057J101           3136         268241SH       SOLE   0           268241
CAPLEASE INC                   REIT          140288101            653         117187SH       SOLE   0           117187
CAPSTEAD MORTGAGE CORP         REIT          14067E506           1985         173054SH       SOLE   0           173054
CAPSTONE TURBINE CORP          COMMON STOCK  14067D102            466         523755SH       SOLE   0           523755
CARBO CERAMICS INC             COMMON STOCK  140781105           2713          34625SH       SOLE   0            34625
CARBONITE INC                  COMMON STOCK  141337105            183          19823SH       SOLE   0            19823
CARDINAL FINANCIAL CORP        COMMON STOCK  14149F109            835          51304SH       SOLE   0            51304
CARDINAL HEALTH INC            COMMON STOCK  14149Y108          25004         607189SH       SOLE   0           607189
CARDIOVASCULAR SYSTEMS INC     COMMON STOCK  141619106            369          29388SH       SOLE   0            29388
CARDTRONICS INC                COMMON STOCK  14161H108           1837          77395SH       SOLE   0            77395
CAREER EDUCATION CORP          COMMON STOCK  141665109            320          90872SH       SOLE   0            90872
CAREFUSION CORP                COMMON STOCK  14170T101          11128         389362SH       SOLE   0           389362
CARIBOU COFFEE CO INC          COMMON STOCK  142042209            600          37041SH       SOLE   0            37041
CARLISLE COS INC               COMMON STOCK  142339100           6405         109006SH       SOLE   0           109006
CARMAX INC                     COMMON STOCK  143130102          15031         400403SH       SOLE   0           400403
CARMIKE CINEMAS INC            COMMON STOCK  143436400            465          31030SH       SOLE   0            31030
CARNIVAL CORP                  COMMON STOCK  143658300          26814         729225SH       SOLE   0           729225
CARPENTER TECHNOLOGY           COMMON STOCK  144285103           4022          77892SH       SOLE   0            77892
CARRIAGE SERVICES INC          COMMON STOCK  143905107            331          27851SH       SOLE   0            27851
CARRIZO OIL + GAS INC          COMMON STOCK  144577103           1453          69443SH       SOLE   0            69443
CARROLS RESTAURANT GROUP INC   COMMON STOCK  14574X104            160          26745SH       SOLE   0            26745
CARTER S INC                   COMMON STOCK  146229109           4723          84871SH       SOLE   0            84871
CASCADE BANCORP                COMMON STOCK  147154207             67          10635SH       SOLE   0            10635
CASELLA WASTE SYSTEMS INC A    COMMON STOCK  147448104            288          65669SH       SOLE   0            65669
CASEY S GENERAL STORES INC     COMMON STOCK  147528103           3548          66810SH       SOLE   0            66810
CASH AMERICA INTL INC          COMMON STOCK  14754D100           2044          51528SH       SOLE   0            51528
CASS INFORMATION SYSTEMS INC   COMMON STOCK  14808P109            756          17907SH       SOLE   0            17907
CASTLE (A.M.) + CO             COMMON STOCK  148411101            433          29306SH       SOLE   0            29306
CASUAL MALE RETAIL GROUP INC   COMMON STOCK  148711302            309          73690SH       SOLE   0            73690
CATAMARAN CORP                 COMMON STOCK  148887102          16913         359004SH       SOLE   0           359004
CATERPILLAR INC                COMMON STOCK  149123101         102554        1144835SH       SOLE   0          1144835
CATHAY GENERAL BANCORP         COMMON STOCK  149150104           2693         138079SH       SOLE   0           138079
CATO CORP CLASS A              COMMON STOCK  149205106           1318          48050SH       SOLE   0            48050
CAVCO INDUSTRIES INC           COMMON STOCK  149568107            604          12084SH       SOLE   0            12084
CAVIUM INC                     COMMON STOCK  14964U108           2722          87229SH       SOLE   0            87229
CBEYOND INC                    COMMON STOCK  149847105            431          47669SH       SOLE   0            47669
CBIZ INC                       COMMON STOCK  124805102            394          66618SH       SOLE   0            66618
CBL + ASSOCIATES PROPERTIES    REIT          124830100           5530         260717SH       SOLE   0           260717
CBOE HOLDINGS INC              COMMON STOCK  12503M108           4520         153435SH       SOLE   0           153435
CBRE GROUP INC   A             COMMON STOCK  12504L109          11455         575610SH       SOLE   0           575610
CBS CORP CLASS B NON VOTING    COMMON STOCK  124857202          43271        1137210SH       SOLE   0          1137210
CDI CORP                       COMMON STOCK  125071100            411          24002SH       SOLE   0            24002
CEC ENTERTAINMENT INC          COMMON STOCK  125137109           1064          32065SH       SOLE   0            32065
CECO ENVIRONMENTAL CORP        COMMON STOCK  125141101            126          12626SH       SOLE   0            12626
CEDAR REALTY TRUST INC         REIT          150602209            555         105184SH       SOLE   0           105184
CELADON GROUP INC              COMMON STOCK  150838100            636          35169SH       SOLE   0            35169
CELANESE CORP SERIES A         COMMON STOCK  150870103          12219         274393SH       SOLE   0           274393
CELGENE CORP                   COMMON STOCK  151020104          60837         772833SH       SOLE   0           772833
CELLDEX THERAPEUTICS INC       COMMON STOCK  15117B103            730         108735SH       SOLE   0           108735
CEMPRA INC                     COMMON STOCK  15130J109             48           7464SH       SOLE   0             7464
CENTENE CORP                   COMMON STOCK  15135B101           3703          90329SH       SOLE   0            90329
CENTER BANCORP INC             COMMON STOCK  151408101            242          20900SH       SOLE   0            20900
CENTERPOINT ENERGY INC         COMMON STOCK  15189T107          14432         749697SH       SOLE   0           749697
CENTERSTATE BANKS INC          COMMON STOCK  15201P109            450          52767SH       SOLE   0            52767
CENTRAL EURO DISTRIBUTION CP   COMMON STOCK  153435102            251         115668SH       SOLE   0           115668
CENTRAL EUROPEAN MEDIA ENT A   COMMON STOCK  G20045202            395          64385SH       SOLE   0            64385
CENTRAL GARDEN AND PET CO A    COMMON STOCK  153527205            707          67688SH       SOLE   0            67688
CENTRAL PACIFIC FINANCIAL CO   COMMON STOCK  154760409            592          37969SH       SOLE   0            37969
CENTURY ALUMINUM COMPANY       COMMON STOCK  156431108            791          90353SH       SOLE   0            90353
CENTURY BANCORP INC  CL A      COMMON STOCK  156432106            199           6053SH       SOLE   0             6053
CENTURYLINK INC                COMMON STOCK  156700106          42639        1089966SH       SOLE   0          1089966
CENVEO INC                     COMMON STOCK  15670S105            256          94691SH       SOLE   0            94691
CEPHEID INC                    COMMON STOCK  15670R107           3893         115133SH       SOLE   0           115133
CERES INC                      COMMON STOCK  156773103             47          10446SH       SOLE   0            10446
CERNER CORP                    COMMON STOCK  156782104          19738         254228SH       SOLE   0           254228
CERUS CORP                     COMMON STOCK  157085101            302          95455SH       SOLE   0            95455
CEVA INC                       COMMON STOCK  157210105            642          40745SH       SOLE   0            40745
CF INDUSTRIES HOLDINGS INC     COMMON STOCK  125269100          23403         115193SH       SOLE   0           115193
CH ENERGY GROUP INC            COMMON STOCK  12541M102           1708          26190SH       SOLE   0            26190
CHARLES RIVER LABORATORIES     COMMON STOCK  159864107           3220          85941SH       SOLE   0            85941
CHART INDUSTRIES INC           COMMON STOCK  16115Q308           3498          52463SH       SOLE   0            52463
CHARTER COMMUNICATION A        COMMON STOCK  16117M305           6524          85568SH       SOLE   0            85568
CHARTER FINANCIAL CORP         COMMON STOCK  16122M100            122          11549SH       SOLE   0            11549
CHASE CORP                     COMMON STOCK  16150R104            209          11240SH       SOLE   0            11240
CHATHAM LODGING TRUST          REIT          16208T102            375          24409SH       SOLE   0            24409
CHECKPOINT SYSTEMS INC         COMMON STOCK  162825103            762          70920SH       SOLE   0            70920
CHEESECAKE FACTORY INC/THE     COMMON STOCK  163072101           3100          94748SH       SOLE   0            94748
CHEFS  WAREHOUSE INC/THE       COMMON STOCK  163086101            306          19324SH       SOLE   0            19324
CHEMED CORP                    COMMON STOCK  16359R103           2313          33724SH       SOLE   0            33724
CHEMICAL FINANCIAL CORP        COMMON STOCK  163731102           1147          48260SH       SOLE   0            48260
CHEMOCENTRYX INC               COMMON STOCK  16383L106            104           9538SH       SOLE   0             9538
CHEMTURA CORP                  COMMON STOCK  163893209           3680         173094SH       SOLE   0           173094
CHENIERE ENERGY INC            COMMON STOCK  16411R208           7064         376138SH       SOLE   0           376138
CHEROKEE INC                   COMMON STOCK  16444H102            201          14684SH       SOLE   0            14684
CHESAPEAKE ENERGY CORP         COMMON STOCK  165167107          19314        1162114SH       SOLE   0          1162114
CHESAPEAKE LODGING TRUST       REIT          165240102           1451          69513SH       SOLE   0            69513
CHESAPEAKE UTILITIES CORP      COMMON STOCK  165303108            764          16832SH       SOLE   0            16832
CHEVRON CORP                   COMMON STOCK  166764100         374287        3461133SH       SOLE   0          3461133
CHICAGO BRIDGE + IRON NY SHR   COMMON STOCK  167250109           7885         170108SH       SOLE   0           170108
CHICO S FAS INC                COMMON STOCK  168615102           5431         294191SH       SOLE   0           294191
CHILDREN S PLACE               COMMON STOCK  168905107           1885          42565SH       SOLE   0            42565
CHIMERA INVESTMENT CORP        REIT          16934Q109           4704        1802433SH       SOLE   0          1802433
CHINDEX INTERNATIONAL INC      COMMON STOCK  169467107            213          20308SH       SOLE   0            20308
CHIPOTLE MEXICAN GRILL INC     COMMON STOCK  169656105          16533          55582SH       SOLE   0            55582
CHIQUITA BRANDS INTL           COMMON STOCK  170032809            665          80593SH       SOLE   0            80593
CHOICE HOTELS INTL INC         COMMON STOCK  169905106           1575          46846SH       SOLE   0            46846
CHUBB CORP                     COMMON STOCK  171232101          35676         473664SH       SOLE   0           473664
CHURCH + DWIGHT CO INC         COMMON STOCK  171340102          13056         243711SH       SOLE   0           243711
CHURCHILL DOWNS INC            COMMON STOCK  171484108           1515          22795SH       SOLE   0            22795
CHUY S HOLDINGS INC            COMMON STOCK  171604101            264          11800SH       SOLE   0            11800
CIBER INC                      COMMON STOCK  17163B102            427         127780SH       SOLE   0           127780
CIENA CORP                     COMMON STOCK  171779309           2732         174008SH       SOLE   0           174008
CIFC CORP                      COMMON STOCK  12547R105             90          11268SH       SOLE   0            11268
CIGNA CORP                     COMMON STOCK  125509109          27043         505863SH       SOLE   0           505863
CIMAREX ENERGY CO              COMMON STOCK  171798101           8683         150403SH       SOLE   0           150403
CINCINNATI BELL INC            COMMON STOCK  171871106           1896         345964SH       SOLE   0           345964
CINCINNATI FINANCIAL CORP      COMMON STOCK  172062101          10033         256205SH       SOLE   0           256205
CINEMARK HOLDINGS INC          COMMON STOCK  17243V102           5237         201559SH       SOLE   0           201559
CINTAS CORP                    COMMON STOCK  172908105           7889         192896SH       SOLE   0           192896
CIRCOR INTERNATIONAL INC       COMMON STOCK  17273K109           1207          30498SH       SOLE   0            30498
CIRRUS LOGIC INC               COMMON STOCK  172755100           3277         113126SH       SOLE   0           113126
CISCO SYSTEMS INC              COMMON STOCK  17275R102         184688        9398868SH       SOLE   0          9398868
CIT GROUP INC                  COMMON STOCK  125581801          13616         352377SH       SOLE   0           352377
CITI TRENDS INC                COMMON STOCK  17306X102            360          26151SH       SOLE   0            26151
CITIGROUP INC                  COMMON STOCK  172967424         203520        5144588SH       SOLE   0          5144588
CITIZENS + NORTHERN CORP       COMMON STOCK  172922106            406          21473SH       SOLE   0            21473
CITIZENS INC                   COMMON STOCK  174740100            754          68272SH       SOLE   0            68272
CITIZENS REPUBLIC BANCORP IN   COMMON STOCK  174420307           1333          70247SH       SOLE   0            70247
CITRIX SYSTEMS INC             COMMON STOCK  177376100          21482         326715SH       SOLE   0           326715
CITY HOLDING CO                COMMON STOCK  177835105            898          25780SH       SOLE   0            25780
CITY NATIONAL CORP             COMMON STOCK  178566105           4054          81863SH       SOLE   0            81863
CLARCOR INC                    COMMON STOCK  179895107           4212          88159SH       SOLE   0            88159
CLAYTON WILLIAMS ENERGY INC    COMMON STOCK  969490101            416          10400SH       SOLE   0            10400
CLEAN ENERGY FUELS CORP        COMMON STOCK  184499101           1444         115944SH       SOLE   0           115944
CLEAN HARBORS INC              COMMON STOCK  184496107           5186          94272SH       SOLE   0            94272
CLEAR CHANNEL OUTDOOR CL A     COMMON STOCK  18451C109            515          73308SH       SOLE   0            73308
CLEARWATER PAPER CORP          COMMON STOCK  18538R103           1605          40993SH       SOLE   0            40993
CLEARWIRE CORP CLASS A         COMMON STOCK  18538Q105           1777         614793SH       SOLE   0           614793
CLECO CORPORATION              COMMON STOCK  12561W105           4277         106910SH       SOLE   0           106910
CLIFFS NATURAL RESOURCES INC   COMMON STOCK  18683K101           9641         250015SH       SOLE   0           250015
CLIFTON SAVINGS BANCORP INC    COMMON STOCK  18712Q103            169          14978SH       SOLE   0            14978
CLOROX COMPANY                 COMMON STOCK  189054109          16711         228225SH       SOLE   0           228225
CLOUD PEAK ENERGY INC          COMMON STOCK  18911Q102           2071         107120SH       SOLE   0           107120
CLOVIS ONCOLOGY INC            COMMON STOCK  189464100            383          23950SH       SOLE   0            23950
CME GROUP INC                  COMMON STOCK  12572Q105          29565         583025SH       SOLE   0           583025
CMS ENERGY CORP                COMMON STOCK  125896100          11189         458941SH       SOLE   0           458941
CNA FINANCIAL CORP             COMMON STOCK  126117100           1298          46345SH       SOLE   0            46345
CNB FINANCIAL CORP/PA          COMMON STOCK  126128107            357          21775SH       SOLE   0            21775
CNH GLOBAL N.V.                COMMON STOCK  N20935206           1964          48747SH       SOLE   0            48747
CNO FINANCIAL GROUP INC        COMMON STOCK  12621E103           3292         352859SH       SOLE   0           352859
COACH INC                      COMMON STOCK  189754104          27987         504174SH       SOLE   0           504174
COBALT INTERNATIONAL ENERGY    COMMON STOCK  19075F106           7929         322856SH       SOLE   0           322856
COBIZ FINANCIAL INC            COMMON STOCK  190897108            457          61173SH       SOLE   0            61173
COCA COLA BOTTLING CO CONSOL   COMMON STOCK  191098102            544           8181SH       SOLE   0             8181
COCA COLA CO/THE               COMMON STOCK  191216100         247078        6815944SH       SOLE   0          6815944
COCA COLA ENTERPRISES          COMMON STOCK  19122T109          16703         526423SH       SOLE   0           526423
CODEXIS INC                    COMMON STOCK  192005106            102          45965SH       SOLE   0            45965
COEUR D ALENE MINES CORP       COMMON STOCK  192108504           3880         157739SH       SOLE   0           157739
COGENT COMMUNICATIONS GROUP    COMMON STOCK  19239V302           1861          82199SH       SOLE   0            82199
COGNEX CORP                    COMMON STOCK  192422103           2766          75116SH       SOLE   0            75116
COGNIZANT TECH SOLUTIONS A     COMMON STOCK  192446102          39558         534208SH       SOLE   0           534208
COHEN + STEERS INC             COMMON STOCK  19247A100            986          32349SH       SOLE   0            32349
COHERENT INC                   COMMON STOCK  192479103           2103          41540SH       SOLE   0            41540
COHU INC                       COMMON STOCK  192576106            463          42748SH       SOLE   0            42748
COINSTAR INC                   COMMON STOCK  19259P300           2858          54944SH       SOLE   0            54944
COLEMAN CABLE INC              COMMON STOCK  193459302            141          15234SH       SOLE   0            15234
COLFAX CORP                    COMMON STOCK  194014106           3086          76493SH       SOLE   0            76493
COLGATE PALMOLIVE CO           COMMON STOCK  194162103          87533         837312SH       SOLE   0           837312
COLLECTORS UNIVERSE            COMMON STOCK  19421R200             94           9380SH       SOLE   0             9380
COLONIAL PROPERTIES TRUST      REIT          195872106           3296         154231SH       SOLE   0           154231
COLONY FINANCIAL INC           REIT          19624R106           1803          92454SH       SOLE   0            92454
COLUMBIA BANKING SYSTEM INC    COMMON STOCK  197236102           1249          69617SH       SOLE   0            69617
COLUMBIA SPORTSWEAR CO         COMMON STOCK  198516106           1148          21506SH       SOLE   0            21506
COLUMBUS MCKINNON CORP/NY      COMMON STOCK  199333105            563          34050SH       SOLE   0            34050
COMCAST CORP CLASS A           COMMON STOCK  20030N101         176120        4711608SH       SOLE   0          4711608
COMERICA INC                   COMMON STOCK  200340107          10468         345021SH       SOLE   0           345021
COMFORT SYSTEMS USA INC        COMMON STOCK  199908104            797          65541SH       SOLE   0            65541
COMMERCE BANCSHARES INC        COMMON STOCK  200525103           4851      138370.35SH       SOLE   0        138370.35
COMMERCIAL METALS CO           COMMON STOCK  201723103           3024         203502SH       SOLE   0           203502
COMMERCIAL VEHICLE GROUP INC   COMMON STOCK  202608105            352          42822SH       SOLE   0            42822
COMMONWEALTH REIT              REIT          203233101           2327         146875SH       SOLE   0           146875
COMMUNITY BANK SYSTEM INC      COMMON STOCK  203607106           1893          69202SH       SOLE   0            69202
COMMUNITY HEALTH SYSTEMS INC   COMMON STOCK  203668108           4905         159558SH       SOLE   0           159558
COMMUNITY TRUST BANCORP INC    COMMON STOCK  204149108            802          24460SH       SOLE   0            24460
COMMVAULT SYSTEMS INC          COMMON STOCK  204166102           5463          78362SH       SOLE   0            78362
COMPASS MINERALS INTERNATION   COMMON STOCK  20451N101           4333          58002SH       SOLE   0            58002
COMPUTER PROGRAMS + SYSTEMS    COMMON STOCK  205306103            978          19433SH       SOLE   0            19433
COMPUTER SCIENCES CORP         COMMON STOCK  205363104          10907         272326SH       SOLE   0           272326
COMPUTER TASK GROUP INC        COMMON STOCK  205477102            489          26798SH       SOLE   0            26798
COMPUWARE CORP                 COMMON STOCK  205638109           4154         382156SH       SOLE   0           382156
COMPX INTERNATIONAL INC        COMMON STOCK  20563P101             29           2048SH       SOLE   0             2048
COMSCORE INC                   COMMON STOCK  20564W105            854          62010SH       SOLE   0            62010
COMSTOCK RESOURCES INC         COMMON STOCK  205768203           1277          84386SH       SOLE   0            84386
COMTECH TELECOMMUNICATIONS     COMMON STOCK  205826209            801          31545SH       SOLE   0            31545
COMVERSE INC                   COMMON STOCK  20585P105           1097          38462SH       SOLE   0            38462
COMVERSE TECHNOLOGY INC        COMMON STOCK  205862402           1476         384327SH       SOLE   0           384327
CON WAY INC                    COMMON STOCK  205944101           2724          97916SH       SOLE   0            97916
CONAGRA FOODS INC              COMMON STOCK  205887102          21500         728801SH       SOLE   0           728801
CONCEPTUS INC                  COMMON STOCK  206016107           1156          55042SH       SOLE   0            55042
CONCHO RESOURCES INC           COMMON STOCK  20605P101          14701         182486SH       SOLE   0           182486
CONCUR TECHNOLOGIES INC        COMMON STOCK  206708109           5399          79966SH       SOLE   0            79966
CONMED CORP                    COMMON STOCK  207410101           1386          49604SH       SOLE   0            49604
CONN S INC                     COMMON STOCK  208242107            907          29568SH       SOLE   0            29568
CONNECTICUT WATER SVC INC      COMMON STOCK  207797101            565          18977SH       SOLE   0            18977
CONOCOPHILLIPS                 COMMON STOCK  20825C104         128663        2218718SH       SOLE   0          2218718
CONS TOMOKA LAND CO FLORIDA    COMMON STOCK  210226106            234           7560SH       SOLE   0             7560
CONSOL ENERGY INC              COMMON STOCK  20854P109          12815         399216SH       SOLE   0           399216
CONSOLIDATED COMMUNICATIONS    COMMON STOCK  209034107           1119          70262SH       SOLE   0            70262
CONSOLIDATED EDISON INC        COMMON STOCK  209115104          28542         513896SH       SOLE   0           513896
CONSOLIDATED GRAPHICS INC      COMMON STOCK  209341106            458          13119SH       SOLE   0            13119
CONSOLIDATED WATER CO ORD SH   COMMON STOCK  G23773107            189          25572SH       SOLE   0            25572
CONSTANT CONTACT INC           COMMON STOCK  210313102            758          53368SH       SOLE   0            53368
CONSTELLATION BRANDS INC A     COMMON STOCK  21036P108           9161         258860SH       SOLE   0           258860
CONTANGO OIL + GAS             COMMON STOCK  21075N204            947          22346SH       SOLE   0            22346
CONTINENTAL RESOURCES INC/OK   COMMON STOCK  212015101           5441          74034SH       SOLE   0            74034
CONVERGYS CORP                 COMMON STOCK  212485106           3142         191453SH       SOLE   0           191453
COOPER COS INC/THE             COMMON STOCK  216648402           7684          83089SH       SOLE   0            83089
COOPER TIRE + RUBBER           COMMON STOCK  216831107           2773         109361SH       SOLE   0           109361
COPA HOLDINGS SA CLASS A       COMMON STOCK  P31076105           5770          58015SH       SOLE   0            58015
COPART INC                     COMMON STOCK  217204106           5274         178777SH       SOLE   0           178777
CORCEPT THERAPEUTICS INC       COMMON STOCK  218352102            123          86332SH       SOLE   0            86332
CORE MARK HOLDING CO INC       COMMON STOCK  218681104            949          20037SH       SOLE   0            20037
CORELOGIC INC                  COMMON STOCK  21871D103           4602         170948SH       SOLE   0           170948
CORESITE REALTY CORP           REIT          21870Q105            997          36054SH       SOLE   0            36054
CORINTHIAN COLLEGES INC        COMMON STOCK  218868107            335         137377SH       SOLE   0           137377
CORNERSTONE ONDEMAND INC       COMMON STOCK  21925Y103           1743          59011SH       SOLE   0            59011
CORNERSTONE THERAPEUTICS INC   COMMON STOCK  21924P103             71          15036SH       SOLE   0            15036
CORNING INC                    COMMON STOCK  219350105          33603        2662661SH       SOLE   0          2662661
CORONADO BIOSCIENCES INC.      COMMON STOCK  21976U109            140          31130SH       SOLE   0            31130
CORPORATE EXECUTIVE BOARD CO   COMMON STOCK  21988R102           2789          58768SH       SOLE   0            58768
CORPORATE OFFICE PROPERTIES    REIT          22002T108           3540         141713SH       SOLE   0           141713
CORRECTIONS CORP OF AMERICA    COMMON STOCK  22025Y407           6223         175447SH       SOLE   0           175447
CORVEL CORP                    COMMON STOCK  221006109            482          10755SH       SOLE   0            10755
COSTAR GROUP INC               COMMON STOCK  22160N109           4423          49487SH       SOLE   0            49487
COSTCO WHOLESALE CORP          COMMON STOCK  22160K105          75076         760106SH       SOLE   0           760106
COURIER CORP                   COMMON STOCK  222660102            188          17056SH       SOLE   0            17056
COUSINS PROPERTIES INC         REIT          222795106           1344         160979SH       SOLE   0           160979
COVANCE INC                    COMMON STOCK  222816100           5619          97271SH       SOLE   0            97271
COVANTA HOLDING CORP           COMMON STOCK  22282E102           3517         190918SH       SOLE   0           190918
COVENTRY HEALTH CARE INC       COMMON STOCK  222862104          10527         234820SH       SOLE   0           234820
COVIDIEN PLC                   COMMON STOCK  G2554F113          48857         846157SH       SOLE   0           846157
COWEN GROUP INC CLASS A        COMMON STOCK  223622101            376         153450SH       SOLE   0           153450
CPI AEROSTRUCTURES INC         COMMON STOCK  125919308            116          11598SH       SOLE   0            11598
CR BARD INC                    COMMON STOCK  067383109          14397         147304SH       SOLE   0           147304
CRA INTERNATIONAL INC          COMMON STOCK  12618T105            360          18228SH       SOLE   0            18228
CRACKER BARREL OLD COUNTRY     COMMON STOCK  22410J106           2168          33744SH       SOLE   0            33744
CRAFT BREW ALLIANCE INC        COMMON STOCK  224122101            118          18237SH       SOLE   0            18237
CRANE CO                       COMMON STOCK  224399105           3973          85854SH       SOLE   0            85854
CRAWFORD + CO   CL B           COMMON STOCK  224633107            367          45999SH       SOLE   0            45999
CRAY INC                       COMMON STOCK  225223304           1037          65016SH       SOLE   0            65016
CREDIT ACCEPTANCE CORP         COMMON STOCK  225310101           1407          13840SH       SOLE   0            13840
CREE INC                       COMMON STOCK  225447101           6924         203764SH       SOLE   0           203764
CRESCENT FINANCIAL BANCSHARE   COMMON STOCK  225743103             22           4734SH       SOLE   0             4734
CREXUS INVESTMENT CORP         REIT          226553105           1440         117538SH       SOLE   0           117538
CRIMSON EXPLORATION INC        COMMON STOCK  22662K207            102          37320SH       SOLE   0            37320
CROCS INC                      COMMON STOCK  227046109           2270         157773SH       SOLE   0           157773
CROSS COUNTRY HEALTHCARE INC   COMMON STOCK  227483104            229          47724SH       SOLE   0            47724
CROSSTEX ENERGY INC            COMMON STOCK  22765Y104           1026          71522SH       SOLE   0            71522
CROWN CASTLE INTL CORP         COMMON STOCK  228227104          37099         514118SH       SOLE   0           514118
CROWN HOLDINGS INC             COMMON STOCK  228368106           9615         261216SH       SOLE   0           261216
CROWN MEDIA HOLDINGS CLASS A   COMMON STOCK  228411104            112          60574SH       SOLE   0            60574
CRYOLIFE INC                   COMMON STOCK  228903100            301          48300SH       SOLE   0            48300
CSG SYSTEMS INTL INC           COMMON STOCK  126349109           1084          59600SH       SOLE   0            59600
CSS INDUSTRIES INC             COMMON STOCK  125906107            373          17062SH       SOLE   0            17062
CSX CORP                       COMMON STOCK  126408103          35973        1823275SH       SOLE   0          1823275
CTS CORP                       COMMON STOCK  126501105            635          59740SH       SOLE   0            59740
CUBESMART                      REIT          229663109           3149         216142SH       SOLE   0           216142
CUBIC CORP                     COMMON STOCK  229669106           1341          27946SH       SOLE   0            27946
CUBIST PHARMACEUTICALS INC     COMMON STOCK  229678107           4673         111100SH       SOLE   0           111100
CULLEN/FROST BANKERS INC       COMMON STOCK  229899109           5071          93436SH       SOLE   0            93436
CULP INC                       COMMON STOCK  230215105            229          15275SH       SOLE   0            15275
CUMBERLAND PHARMACEUTICALS     COMMON STOCK  230770109             88          20881SH       SOLE   0            20881
CUMMINS INC                    COMMON STOCK  231021106          36534         337185SH       SOLE   0           337185
CUMULUS MEDIA INC CL A         COMMON STOCK  231082108            289         108399SH       SOLE   0           108399
CURIS INC                      COMMON STOCK  231269101            475         138619SH       SOLE   0           138619
CURTISS WRIGHT CORP            COMMON STOCK  231561101           2704          82358SH       SOLE   0            82358
CVB FINANCIAL CORP             COMMON STOCK  126600105           1609         154683SH       SOLE   0           154683
CVR ENERGY INC                 COMMON STOCK  12662P108           1421          29123SH       SOLE   0            29123
CVS CAREMARK CORP              COMMON STOCK  126650100         108714        2248489SH       SOLE   0          2248489
CYBERONICS INC                 COMMON STOCK  23251P102           2536          48271SH       SOLE   0            48271
CYMER INC                      COMMON STOCK  232572107           4911          54302SH       SOLE   0            54302
CYNOSURE INC A                 COMMON STOCK  232577205            523          21679SH       SOLE   0            21679
CYPRESS SEMICONDUCTOR CORP     COMMON STOCK  232806109           2720         250882SH       SOLE   0           250882
CYS INVESTMENTS INC            REIT          12673A108           3625         306916SH       SOLE   0           306916
CYTEC INDUSTRIES INC           COMMON STOCK  232820100           5555          80708SH       SOLE   0            80708
CYTORI THERAPEUTICS INC        COMMON STOCK  23283K105            303         107350SH       SOLE   0           107350
DAILY JOURNAL CORP             COMMON STOCK  233912104            160           1728SH       SOLE   0             1728
DAKTRONICS INC                 COMMON STOCK  234264109            702          63384SH       SOLE   0            63384
DANA HOLDING CORP              COMMON STOCK  235825205           4044         259079SH       SOLE   0           259079
DANAHER CORP                   COMMON STOCK  235851102          56936        1018532SH       SOLE   0          1018532
DARDEN RESTAURANTS INC         COMMON STOCK  237194105          10173         225721SH       SOLE   0           225721
DARLING INTERNATIONAL INC      COMMON STOCK  237266101           3309         206309SH       SOLE   0           206309
DATALINK CORP                  COMMON STOCK  237934104            229          26768SH       SOLE   0            26768
DAVITA HEALTHCARE PARTNERS I   COMMON STOCK  23918K108          18225         164891SH       SOLE   0           164891
DAWSON GEOPHYSICAL CO          COMMON STOCK  239359102            366          13888SH       SOLE   0            13888
DCT INDUSTRIAL TRUST INC       REIT          233153105           2813         433396SH       SOLE   0           433396
DDR CORP                       REIT          23317H102           6526         416711SH       SOLE   0           416711
DEALERTRACK TECHNOLOGIES INC   COMMON STOCK  242309102           2137          74415SH       SOLE   0            74415
DEAN FOODS CO                  COMMON STOCK  242370104           5345         323721SH       SOLE   0           323721
DECKERS OUTDOOR CORP           COMMON STOCK  243537107           2493          61908SH       SOLE   0            61908
DEERE + CO                     COMMON STOCK  244199105          60304         697801SH       SOLE   0           697801
DEL FRISCO S RESTAURANT GROU   COMMON STOCK  245077102            159          10200SH       SOLE   0            10200
DELEK US HOLDINGS INC          COMMON STOCK  246647101            756          29860SH       SOLE   0            29860
DELL INC                       COMMON STOCK  24702R101          26205        2586886SH       SOLE   0          2586886
DELPHI AUTOMOTIVE PLC          COMMON STOCK  G27823106          22029         575913SH       SOLE   0           575913
DELTA AIR LINES INC            COMMON STOCK  247361702          17694        1490679SH       SOLE   0          1490679
DELTA APPAREL INC              COMMON STOCK  247368103            174          12420SH       SOLE   0            12420
DELTA NATURAL GAS CO INC       COMMON STOCK  247748106            234          11957SH       SOLE   0            11957
DELTIC TIMBER CORP             COMMON STOCK  247850100           1352          19147SH       SOLE   0            19147
DELUXE CORP                    COMMON STOCK  248019101           2885          89490SH       SOLE   0            89490
DEMAND MEDIA INC               COMMON STOCK  24802N109            488          52563SH       SOLE   0            52563
DEMANDWARE INC                 COMMON STOCK  24802Y105            314          11503SH       SOLE   0            11503
DENBURY RESOURCES INC          COMMON STOCK  247916208          11103         685376SH       SOLE   0           685376
DENDREON CORP                  COMMON STOCK  24823Q107           1427         270180SH       SOLE   0           270180
DENNY S CORP                   COMMON STOCK  24869P104            823         168736SH       SOLE   0           168736
DENTSPLY INTERNATIONAL INC     COMMON STOCK  249030107           9853         248745SH       SOLE   0           248745
DEPOMED INC                    COMMON STOCK  249908104            605          97796SH       SOLE   0            97796
DERMA SCIENCES INC             COMMON STOCK  249827502            226          20342SH       SOLE   0            20342
DESTINATION MATERNITY CORP     COMMON STOCK  25065D100            505          23421SH       SOLE   0            23421
DEVON ENERGY CORPORATION       COMMON STOCK  25179M103          36926         709560SH       SOLE   0           709560
DEVRY INC                      COMMON STOCK  251893103           2727         114911SH       SOLE   0           114911
DEXCOM INC                     COMMON STOCK  252131107           1637         120251SH       SOLE   0           120251
DFC GLOBAL CORP                COMMON STOCK  23324T107           1428          77125SH       SOLE   0            77125
DIAMOND FOODS INC              COMMON STOCK  252603105            531          38848SH       SOLE   0            38848
DIAMOND HILL INVESTMENT GRP    COMMON STOCK  25264R207            316           4656SH       SOLE   0             4656
DIAMOND OFFSHORE DRILLING      COMMON STOCK  25271C102           8204         120718SH       SOLE   0           120718
DIAMONDBACK ENERGY INC         COMMON STOCK  25278X109            482          25200SH       SOLE   0            25200
DIAMONDROCK HOSPITALITY CO     REIT          252784301           2968         329727SH       SOLE   0           329727
DICE HOLDINGS INC              COMMON STOCK  253017107            681          74178SH       SOLE   0            74178
DICK S SPORTING GOODS INC      COMMON STOCK  253393102           7409         162881SH       SOLE   0           162881
DIEBOLD INC                    COMMON STOCK  253651103           3382         110478SH       SOLE   0           110478
DIGI INTERNATIONAL INC         COMMON STOCK  253798102            428          45211SH       SOLE   0            45211
DIGIMARC CORP                  COMMON STOCK  25381B101            258          12487SH       SOLE   0            12487
DIGITAL GENERATION INC         COMMON STOCK  25400B108            525          48360SH       SOLE   0            48360
DIGITAL REALTY TRUST INC       REIT          253868103          14502         213606SH       SOLE   0           213606
DIGITAL RIVER INC              COMMON STOCK  25388B104            932          64800SH       SOLE   0            64800
DIGITALGLOBE INC               COMMON STOCK  25389M877           1552          63483SH       SOLE   0            63483
DILLARDS INC CL A              COMMON STOCK  254067101           4329          51673SH       SOLE   0            51673
DIME COMMUNITY BANCSHARES      COMMON STOCK  253922108            767          55205SH       SOLE   0            55205
DINEEQUITY INC                 COMMON STOCK  254423106           1798          26836SH       SOLE   0            26836
DIODES INC                     COMMON STOCK  254543101           1081          62307SH       SOLE   0            62307
DIRECTV                        COMMON STOCK  25490A309          53169        1059983SH       SOLE   0          1059983
DISCOVER FINANCIAL SERVICES    COMMON STOCK  254709108          35868         930433SH       SOLE   0           930433
DISCOVERY COMMUNICATIONS A     COMMON STOCK  25470F104          26602         419057SH       SOLE   0           419057
DISCOVERY LABORATORIES INC     COMMON STOCK  254668403            161          76069SH       SOLE   0            76069
DISH NETWORK CORP A            COMMON STOCK  25470M109          13043         358335SH       SOLE   0           358335
DOLAN CO/THE                   COMMON STOCK  25659P402            209          53638SH       SOLE   0            53638
DOLBY LABORATORIES INC CL A    COMMON STOCK  25659T107           2596          88521SH       SOLE   0            88521
DOLE FOOD CO INC               COMMON STOCK  256603101            722          62912SH       SOLE   0            62912
DOLLAR GENERAL CORP            COMMON STOCK  256677105          14287         324036SH       SOLE   0           324036
DOLLAR TREE INC                COMMON STOCK  256746108          16560         408278SH       SOLE   0           408278
DOMINION RESOURCES INC/VA      COMMON STOCK  25746U109          51940        1002698SH       SOLE   0          1002698
DOMINO S PIZZA INC             COMMON STOCK  25754A201           4423         101562SH       SOLE   0           101562
DOMTAR CORP                    COMMON STOCK  257559203           5297          63421SH       SOLE   0            63421
DONALDSON CO INC               COMMON STOCK  257651109           8578         261212SH       SOLE   0           261212
DONEGAL GROUP INC CL A         COMMON STOCK  257701201            192          13699SH       SOLE   0            13699
DORAL FINANCIAL CORP           COMMON STOCK  25811P886            163         225418SH       SOLE   0           225418
DORMAN PRODUCTS INC            COMMON STOCK  258278100           1518          42961SH       SOLE   0            42961
DOUGLAS DYNAMICS INC           COMMON STOCK  25960R105            559          38874SH       SOLE   0            38874
DOUGLAS EMMETT INC             REIT          25960P109           5708         244995SH       SOLE   0           244995
DOVER CORP                     COMMON STOCK  260003108          21168         322149SH       SOLE   0           322149
DOW CHEMICAL CO/THE            COMMON STOCK  260543103          67787        2097355SH       SOLE   0          2097355
DR HORTON INC                  COMMON STOCK  23331A109           9645         487635SH       SOLE   0           487635
DR PEPPER SNAPPLE GROUP INC    COMMON STOCK  26138E109          16420         371652SH       SOLE   0           371652
DREAMWORKS ANIMATION SKG A     COMMON STOCK  26153C103           1971         118964SH       SOLE   0           118964
DRESSER RAND GROUP INC         COMMON STOCK  261608103           7449         132684SH       SOLE   0           132684
DREW INDUSTRIES INC            COMMON STOCK  26168L205           1089          33777SH       SOLE   0            33777
DRIL QUIP INC                  COMMON STOCK  262037104           5152          70522SH       SOLE   0            70522
DSP GROUP INC                  COMMON STOCK  23332B106            221          38402SH       SOLE   0            38402
DST SYSTEMS INC                COMMON STOCK  233326107           3549          58562SH       SOLE   0            58562
DSW INC CLASS A                COMMON STOCK  23334L102           3800          57847SH       SOLE   0            57847
DTE ENERGY COMPANY             COMMON STOCK  233331107          17924         298486SH       SOLE   0           298486
DTS INC                        COMMON STOCK  23335C101            536          32085SH       SOLE   0            32085
DU PONT (E.I.) DE NEMOURS      COMMON STOCK  263534109          73934        1644083SH       SOLE   0          1644083
DUFF + PHELPS CORP CLASS A     COMMON STOCK  26433B107            855          54729SH       SOLE   0            54729
DUKE ENERGY CORP               COMMON STOCK  26441C204          78786        1234898SH       SOLE   0          1234898
DUKE REALTY CORP               REIT          264411505           6483         467444SH       SOLE   0           467444
DUN + BRADSTREET CORP          COMMON STOCK  26483E100           6191          78715SH       SOLE   0            78715
DUNKIN  BRANDS GROUP INC       COMMON STOCK  265504100           4147         124984SH       SOLE   0           124984
DUPONT FABROS TECHNOLOGY       REIT          26613Q106           2600         107622SH       SOLE   0           107622
DURATA THERAPEUTICS INC        COMMON STOCK  26658A107            116          15200SH       SOLE   0            15200
DXP ENTERPRISES INC            COMMON STOCK  233377407            759          15476SH       SOLE   0            15476
DYAX CORP                      COMMON STOCK  26746E103            603         173397SH       SOLE   0           173397
DYCOM INDUSTRIES INC           COMMON STOCK  267475101           1167          58958SH       SOLE   0            58958
DYNAMIC MATERIALS CORP         COMMON STOCK  267888105            330          23706SH       SOLE   0            23706
DYNAVAX TECHNOLOGIES CORP      COMMON STOCK  268158102            874         305518SH       SOLE   0           305518
DYNEX CAPITAL INC              REIT          26817Q506            900          95304SH       SOLE   0            95304
E TRADE FINANCIAL CORP         COMMON STOCK  269246401           4487         501288SH       SOLE   0           501288
E2OPEN INC                     COMMON STOCK  29788A104            116           8200SH       SOLE   0             8200
EAGLE BANCORP INC              COMMON STOCK  268948106            640          32055SH       SOLE   0            32055
EAGLE MATERIALS INC            COMMON STOCK  26969P108           5017          85757SH       SOLE   0            85757
EARTHLINK INC                  COMMON STOCK  270321102           1204         186374SH       SOLE   0           186374
EAST WEST BANCORP INC          COMMON STOCK  27579R104           5451         253676SH       SOLE   0           253676
EASTERN CO/THE                 COMMON STOCK  276317104            173          10928SH       SOLE   0            10928
EASTERN INSURANCE HOLDINGS     COMMON STOCK  276534104            199          11676SH       SOLE   0            11676
EASTGROUP PROPERTIES INC       REIT          277276101           2687          49931SH       SOLE   0            49931
EASTMAN CHEMICAL CO            COMMON STOCK  277432100          18229         267877SH       SOLE   0           267877
EATON CORP PLC                 COMMON STOCK  G29183103          43836         808774SH       SOLE   0           808774
EATON VANCE CORP               COMMON STOCK  278265103           6452         202590SH       SOLE   0           202590
EBAY INC                       COMMON STOCK  278642103         103679        2032116SH       SOLE   0          2032116
EBIX INC                       COMMON STOCK  278715206            796          49560SH       SOLE   0            49560
ECHELON CORP                   COMMON STOCK  27874N105            163          66590SH       SOLE   0            66590
ECHO GLOBAL LOGISTICS INC      COMMON STOCK  27875T101           1285          71535SH       SOLE   0            71535
ECHOSTAR CORP A                COMMON STOCK  278768106           2341          68403SH       SOLE   0            68403
ECOLAB INC                     COMMON STOCK  278865100          32803         456230SH       SOLE   0           456230
EDGEN GROUP INC                COMMON STOCK  28014Q107            186          26291SH       SOLE   0            26291
EDISON INTERNATIONAL           COMMON STOCK  281020107          25835         571693SH       SOLE   0           571693
EDUCATION MANAGEMENT CORP      COMMON STOCK  28140M103            205          46797SH       SOLE   0            46797
EDUCATION REALTY TRUST INC     REIT          28140H104           2110         198266SH       SOLE   0           198266
EDWARDS LIFESCIENCES CORP      COMMON STOCK  28176E108          18128         201046SH       SOLE   0           201046
EHEALTH INC                    COMMON STOCK  28238P109            944          34361SH       SOLE   0            34361
EINSTEIN NOAH RESTAURANT GRO   COMMON STOCK  28257U104            132          10800SH       SOLE   0            10800
EL PASO ELECTRIC CO            COMMON STOCK  283677854           2242          70251SH       SOLE   0            70251
ELECTRO RENT CORP              COMMON STOCK  285218103            506          32888SH       SOLE   0            32888
ELECTRO SCIENTIFIC INDS INC    COMMON STOCK  285229100            400          40182SH       SOLE   0            40182
ELECTRONIC ARTS INC            COMMON STOCK  285512109           8104         557710SH       SOLE   0           557710
ELECTRONICS FOR IMAGING        COMMON STOCK  286082102           1547          81468SH       SOLE   0            81468
ELI LILLY + CO                 COMMON STOCK  532457108          88667        1797795SH       SOLE   0          1797795
ELIZABETH ARDEN INC            COMMON STOCK  28660G106           1990          44221SH       SOLE   0            44221
ELLIE MAE INC                  COMMON STOCK  28849P100           1225          44130SH       SOLE   0            44130
ELOQUA INC                     COMMON STOCK  290139104            382          16200SH       SOLE   0            16200
EMC CORP/MA                    COMMON STOCK  268648102          93205        3684007SH       SOLE   0          3684007
EMC INS GROUP INC              COMMON STOCK  268664109            188           7854SH       SOLE   0             7854
EMCOR GROUP INC                COMMON STOCK  29084Q100           4054         117139SH       SOLE   0           117139
EMERALD OIL INC                COMMON STOCK  29101U209            148          28161SH       SOLE   0            28161
EMERGENT BIOSOLUTIONS INC      COMMON STOCK  29089Q105            729          45447SH       SOLE   0            45447
EMERITUS CORP                  COMMON STOCK  291005106           1332          53874SH       SOLE   0            53874
EMERSON ELECTRIC CO            COMMON STOCK  291011104          68167        1287139SH       SOLE   0          1287139
EMPIRE DISTRICT ELECTRIC CO    COMMON STOCK  291641108           1508          74015SH       SOLE   0            74015
EMPLOYERS HOLDINGS INC         COMMON STOCK  292218104           1142          55503SH       SOLE   0            55503
EMULEX CORP                    COMMON STOCK  292475209           1112         152325SH       SOLE   0           152325
ENCORE CAPITAL GROUP INC       COMMON STOCK  292554102           1178          38473SH       SOLE   0            38473
ENCORE WIRE CORP               COMMON STOCK  292562105            880          29038SH       SOLE   0            29038
ENDEAVOUR INTERNATIONAL CORP   COMMON STOCK  29259G200            423          81741SH       SOLE   0            81741
ENDO HEALTH SOLUTIONS INC      COMMON STOCK  29264F205           5402         205641SH       SOLE   0           205641
ENDOCYTE INC                   COMMON STOCK  29269A102            466          51931SH       SOLE   0            51931
ENDOLOGIX INC                  COMMON STOCK  29266S106           1383          97087SH       SOLE   0            97087
ENDURANCE SPECIALTY HOLDINGS   COMMON STOCK  G30397106           3020          76096SH       SOLE   0            76096
ENERGEN CORP                   COMMON STOCK  29265N108           5708         126597SH       SOLE   0           126597
ENERGIZER HOLDINGS INC         COMMON STOCK  29266R108           8681         108541SH       SOLE   0           108541
ENERGY RECOVERY INC            COMMON STOCK  29270J100            262          77074SH       SOLE   0            77074
ENERGY XXI BERMUDA             COMMON STOCK  G10082140           4454         138368SH       SOLE   0           138368
ENERGYSOLUTIONS INC            COMMON STOCK  292756202            434         139096SH       SOLE   0           139096
ENERNOC INC                    COMMON STOCK  292764107            508          43241SH       SOLE   0            43241
ENERSYS                        COMMON STOCK  29275Y102           3167          84162SH       SOLE   0            84162
ENGILITY HOLDINGS INC          COMMON STOCK  29285W104            548          28448SH       SOLE   0            28448
ENNIS INC                      COMMON STOCK  293389102            710          45909SH       SOLE   0            45909
ENPHASE ENERGY INC             COMMON STOCK  29355A107             51          13899SH       SOLE   0            13899
ENPRO INDUSTRIES INC           COMMON STOCK  29355X107           1478          36129SH       SOLE   0            36129
ENSIGN GROUP INC/THE           COMMON STOCK  29358P101            831          30566SH       SOLE   0            30566
ENSTAR GROUP LTD               COMMON STOCK  G3075P101           1655          14778SH       SOLE   0            14778
ENTEGRIS INC                   COMMON STOCK  29362U104           2210         240785SH       SOLE   0           240785
ENTERCOM COMMUNICATIONS CL A   COMMON STOCK  293639100            299          42895SH       SOLE   0            42895
ENTERGY CORP                   COMMON STOCK  29364G103          19813         310791SH       SOLE   0           310791
ENTEROMEDICS INC               COMMON STOCK  29365M208            131          46762SH       SOLE   0            46762
ENTERPRISE BANCORP INC         COMMON STOCK  293668109            173          10445SH       SOLE   0            10445
ENTERPRISE FINANCIAL SERVICE   COMMON STOCK  293712105            408          31247SH       SOLE   0            31247
ENTRAVISION COMMUNICATIONS A   COMMON STOCK  29382R107            148          88990SH       SOLE   0            88990
ENTROPIC COMMUNICATIONS INC    COMMON STOCK  29384R105            817         154348SH       SOLE   0           154348
ENVESTNET INC                  COMMON STOCK  29404K106            508          36427SH       SOLE   0            36427
ENVIVIO INC                    COMMON STOCK  29413T106             23          13566SH       SOLE   0            13566
ENZON PHARMACEUTICALS INC      COMMON STOCK  293904108            302          68123SH       SOLE   0            68123
EOG RESOURCES INC              COMMON STOCK  26875P101          57135         473015SH       SOLE   0           473015
EPAM SYSTEMS INC               COMMON STOCK  29414B104            154           8532SH       SOLE   0             8532
EPIQ SYSTEMS INC               COMMON STOCK  26882D109            707          55313SH       SOLE   0            55313
EPL OIL + GAS INC              COMMON STOCK  26883D108           1096          48623SH       SOLE   0            48623
EPLUS INC                      COMMON STOCK  294268107            287           6938SH       SOLE   0             6938
EPOCH HOLDING CORP             COMMON STOCK  29428R103            781          27982SH       SOLE   0            27982
EPOCRATES INC                  COMMON STOCK  29429D103            288          32651SH       SOLE   0            32651
EPR PROPERTIES                 REIT          26884U109           3787          82138SH       SOLE   0            82138
EQT CORP                       COMMON STOCK  26884L109          13620         230931SH       SOLE   0           230931
EQUIFAX INC                    COMMON STOCK  294429105          11429         211175SH       SOLE   0           211175
EQUINIX INC                    COMMON STOCK  29444U502          17394          84357SH       SOLE   0            84357
EQUITY LIFESTYLE PROPERTIES    REIT          29472R108           4878          72489SH       SOLE   0            72489
EQUITY ONE INC                 REIT          294752100           2022          96251SH       SOLE   0            96251
EQUITY RESIDENTIAL             REIT          29476L107          32269         569417SH       SOLE   0           569417
ERIE INDEMNITY COMPANY CL A    COMMON STOCK  29530P102           3134          45278SH       SOLE   0            45278
ESB FINANCIAL CORP             COMMON STOCK  26884F102            253          18247SH       SOLE   0            18247
ESCO TECHNOLOGIES INC          COMMON STOCK  296315104           1756          46932SH       SOLE   0            46932
ESSA BANCORP INC               COMMON STOCK  29667D104            188          17288SH       SOLE   0            17288
ESSEX PROPERTY TRUST INC       REIT          297178105           9054          61739SH       SOLE   0            61739
ESTEE LAUDER COMPANIES CL A    COMMON STOCK  518439104          24169         403751SH       SOLE   0           403751
ESTERLINE TECHNOLOGIES CORP    COMMON STOCK  297425100           3422          53796SH       SOLE   0            53796
ETHAN ALLEN INTERIORS INC      COMMON STOCK  297602104           1093          42525SH       SOLE   0            42525
EURONET WORLDWIDE INC          COMMON STOCK  298736109           2102          89057SH       SOLE   0            89057
EVERBANK FINANCIAL CORP        COMMON STOCK  29977G102            585          39231SH       SOLE   0            39231
EVERCORE PARTNERS INC CL A     COMMON STOCK  29977A105           1514          50154SH       SOLE   0            50154
EVEREST RE GROUP LTD           COMMON STOCK  G3223R108          10171          92503SH       SOLE   0            92503
EVOLUTION PETROLEUM CORP       COMMON STOCK  30049A107            236          29082SH       SOLE   0            29082
EW SCRIPPS CO/THE A            COMMON STOCK  811054402            566          52401SH       SOLE   0            52401
EXA CORP                       COMMON STOCK  300614500            107          11000SH       SOLE   0            11000
EXACT SCIENCES CORP            COMMON STOCK  30063P105           1183         111704SH       SOLE   0           111704
EXACTECH INC                   COMMON STOCK  30064E109            255          15050SH       SOLE   0            15050
EXACTTARGET INC                COMMON STOCK  30064K105            342          17110SH       SOLE   0            17110
EXAMWORKS GROUP INC            COMMON STOCK  30066A105            718          51288SH       SOLE   0            51288
EXAR CORP                      COMMON STOCK  300645108            581          65298SH       SOLE   0            65298
EXCEL TRUST INC                REIT          30068C109            993          78402SH       SOLE   0            78402
EXCO RESOURCES INC             COMMON STOCK  269279402           1472         217436SH       SOLE   0           217436
EXELIS INC                     COMMON STOCK  30162A108           3690         327437SH       SOLE   0           327437
EXELIXIS INC                   COMMON STOCK  30161Q104           1470         321591SH       SOLE   0           321591
EXELON CORP                    COMMON STOCK  30161N101          44479        1495611SH       SOLE   0          1495611
EXIDE TECHNOLOGIES             COMMON STOCK  302051206            470         137381SH       SOLE   0           137381
EXLSERVICE HOLDINGS INC        COMMON STOCK  302081104           1085          40946SH       SOLE   0            40946
EXPEDIA INC                    COMMON STOCK  30212P303           9425         153375SH       SOLE   0           153375
EXPEDITORS INTL WASH INC       COMMON STOCK  302130109          14739         372667SH       SOLE   0           372667
EXPONENT INC                   COMMON STOCK  30214U102           1312          23500SH       SOLE   0            23500
EXPRESS INC                    COMMON STOCK  30219E103           2368         156935SH       SOLE   0           156935
EXPRESS SCRIPTS HOLDING CO     COMMON STOCK  30219G108          76315        1413234SH       SOLE   0          1413234
EXTERRAN HOLDINGS INC          COMMON STOCK  30225X103           2493         113747SH       SOLE   0           113747
EXTRA SPACE STORAGE INC        REIT          30225T102           7042         193513SH       SOLE   0           193513
EXTREME NETWORKS INC           COMMON STOCK  30226D106            601         165179SH       SOLE   0           165179
EXXON MOBIL CORP               COMMON STOCK  30231G102         710105        8204567SH       SOLE   0          8204567
EZCORP INC CL A                COMMON STOCK  302301106           1671          84118SH       SOLE   0            84118
F5 NETWORKS INC                COMMON STOCK  315616102          13535         139317SH       SOLE   0           139317
FABRINET                       COMMON STOCK  G3323L100            509          38747SH       SOLE   0            38747
FACEBOOK INC A                 COMMON STOCK  30303M102          19679         738977SH       SOLE   0           738977
FACTSET RESEARCH SYSTEMS INC   COMMON STOCK  303075105           6940          78815SH       SOLE   0            78815
FAIR ISAAC CORP                COMMON STOCK  303250104           2528          60141SH       SOLE   0            60141
FAIRCHILD SEMICONDUCTOR INTE   COMMON STOCK  303726103           3215         223285SH       SOLE   0           223285
FAIRPOINT COMMUNICATIONS INC   COMMON STOCK  305560302            288          36285SH       SOLE   0            36285
FALCONSTOR SOFTWARE INC        COMMON STOCK  306137100            129          55533SH       SOLE   0            55533
FAMILY DOLLAR STORES           COMMON STOCK  307000109          10754         169602SH       SOLE   0           169602
FARMER BROS CO                 COMMON STOCK  307675108            172          11921SH       SOLE   0            11921
FARMERS NATL BANC CORP         COMMON STOCK  309627107            204          32967SH       SOLE   0            32967
FARO TECHNOLOGIES INC          COMMON STOCK  311642102           1061          29728SH       SOLE   0            29728
FASTENAL CO                    COMMON STOCK  311900104          24254         519479SH       SOLE   0           519479
FBL FINANCIAL GROUP INC CL A   COMMON STOCK  30239F106            578          16888SH       SOLE   0            16888
FBR + CO                       COMMON STOCK  30247C301            252          65174SH       SOLE   0            65174
FEDERAL AGRIC MTG CORP CL C    COMMON STOCK  313148306            567          17454SH       SOLE   0            17454
FEDERAL MOGUL CORP             COMMON STOCK  313549404            260          32422SH       SOLE   0            32422
FEDERAL REALTY INVS TRUST      REIT          313747206          11669         112176SH       SOLE   0           112176
FEDERAL SIGNAL CORP            COMMON STOCK  313855108            831         109161SH       SOLE   0           109161
FEDERATED INVESTORS INC CL B   COMMON STOCK  314211103           3257         160989SH       SOLE   0           160989
FEDEX CORP                     COMMON STOCK  31428X106          50750         553315SH       SOLE   0           553315
FEI COMPANY                    COMMON STOCK  30241L109           3690          66526SH       SOLE   0            66526
FELCOR LODGING TRUST INC       REIT          31430F101           1018         217957SH       SOLE   0           217957
FEMALE HEALTH COMPANY          COMMON STOCK  314462102            241          33623SH       SOLE   0            33623
FERRO CORP                     COMMON STOCK  315405100            635         151926SH       SOLE   0           151926
FIDELITY NATIONAL FINL A       COMMON STOCK  31620R105           9206         390892SH       SOLE   0           390892
FIDELITY NATIONAL INFORMATIO   COMMON STOCK  31620M106          15324         440215SH       SOLE   0           440215
FIDELITY SOUTHERN CORP         COMMON STOCK  316394105            162          16929SH       SOLE   0            16929
FIDUS INVESTMENT CORP          COMMON STOCK  316500107            344          20929SH       SOLE   0            20929
FIESTA RESTAURANT GROUP        COMMON STOCK  31660B101            435          28390SH       SOLE   0            28390
FIFTH + PACIFIC COS INC        COMMON STOCK  316645100           2375         190743SH       SOLE   0           190743
FIFTH STREET FINANCE CORP      COMMON STOCK  31678A103           1922         184467SH       SOLE   0           184467
FIFTH THIRD BANCORP            COMMON STOCK  316773100          24521        1614257SH       SOLE   0          1614257
FINANCIAL ENGINES INC          COMMON STOCK  317485100           2256          81301SH       SOLE   0            81301
FINANCIAL INSTITUTIONS INC     COMMON STOCK  317585404            451          24199SH       SOLE   0            24199
FINISAR CORPORATION            COMMON STOCK  31787A507           2611         160186SH       SOLE   0           160186
FINISH LINE/THE   CL A         COMMON STOCK  317923100           1688          89187SH       SOLE   0            89187
FIRST AMERICAN FINANCIAL       COMMON STOCK  31847R102           4488         186295SH       SOLE   0           186295
FIRST BANCORP INC/ME           COMMON STOCK  31866P102            254          15433SH       SOLE   0            15433
FIRST BANCORP PUERTO RICO      COMMON STOCK  318672706            565         123340SH       SOLE   0           123340
FIRST BANCORP/NC               COMMON STOCK  318910106            341          26618SH       SOLE   0            26618
FIRST BUSEY CORP               COMMON STOCK  319383105            607         130552SH       SOLE   0           130552
FIRST CALIFORNIA FINANCIAL G   COMMON STOCK  319395109            304          39335SH       SOLE   0            39335
FIRST CASH FINL SVCS INC       COMMON STOCK  31942D107           2489          50170SH       SOLE   0            50170
FIRST CITIZENS BCSHS   CL A    COMMON STOCK  31946M103           1456           8903SH       SOLE   0             8903
FIRST COMMONWEALTH FINL CORP   COMMON STOCK  319829107           1259         184611SH       SOLE   0           184611
FIRST COMMUNITY BANCSHARES     COMMON STOCK  31983A103            496          31034SH       SOLE   0            31034
FIRST CONNECTICUT BANCORP      COMMON STOCK  319850103            431          31330SH       SOLE   0            31330
FIRST DEFIANCE FINL CORP       COMMON STOCK  32006W106            327          17064SH       SOLE   0            17064
FIRST FED BNCSHS OF ARKANSAS   COMMON STOCK  32020F303             59           6065SH       SOLE   0             6065
FIRST FINANCIAL BANCORP        COMMON STOCK  320209109           1501         102646SH       SOLE   0           102646
FIRST FINANCIAL CORP/INDIANA   COMMON STOCK  320218100            592          19563SH       SOLE   0            19563
FIRST FINANCIAL HOLDINGS INC   COMMON STOCK  320239106            380          29029SH       SOLE   0            29029
FIRST FINANCIAL NORTHWEST      COMMON STOCK  32022K102            212          28099SH       SOLE   0            28099
FIRST FINL BANKSHARES INC      COMMON STOCK  32020R109           2156          55260SH       SOLE   0            55260
FIRST HORIZON NATIONAL CORP    COMMON STOCK  320517105           4393         443290SH       SOLE   0           443290
FIRST INDUSTRIAL REALTY TR     REIT          32054K103           2429         172496SH       SOLE   0           172496
FIRST INTERSTATE BANCSYS/MT    COMMON STOCK  32055Y201            440          28518SH       SOLE   0            28518
FIRST MARBLEHEAD CORP/THE      COMMON STOCK  320771108             79         102131SH       SOLE   0           102131
FIRST MERCHANTS CORP           COMMON STOCK  320817109            745          50197SH       SOLE   0            50197
FIRST MIDWEST BANCORP INC/IL   COMMON STOCK  320867104           1645         131391SH       SOLE   0           131391
FIRST NIAGARA FINANCIAL GRP    COMMON STOCK  33582V108           4907         618742SH       SOLE   0           618742
FIRST OF LONG ISLAND CORP      COMMON STOCK  320734106            385          13590SH       SOLE   0            13590
FIRST PACTRUST BANCORP INC     COMMON STOCK  33589V101            228          18618SH       SOLE   0            18618
FIRST POTOMAC REALTY TRUST     REIT          33610F109           1106          89449SH       SOLE   0            89449
FIRST REPUBLIC BANK/CA         COMMON STOCK  33616C100           5867         178994SH       SOLE   0           178994
FIRST SOLAR INC                COMMON STOCK  336433107           3263         105667SH       SOLE   0           105667
FIRSTENERGY CORP               COMMON STOCK  337932107          30643         733778SH       SOLE   0           733778
FIRSTHAND TECHNOLOGY VALUE FUN COMMON STOCK  33766Y100            261          14984SH       SOLE   0            14984
FIRSTMERIT CORP                COMMON STOCK  337915102           2730         192408SH       SOLE   0           192408
FISERV INC                     COMMON STOCK  337738108          18928         239500SH       SOLE   0           239500
FISHER COMMUNICATIONS INC      COMMON STOCK  337756209            420          15577SH       SOLE   0            15577
FIVE BELOW                     COMMON STOCK  33829M101            622          19400SH       SOLE   0            19400
FIVE STAR QUALITY CARE         COMMON STOCK  33832D106            374          74636SH       SOLE   0            74636
FLEETCOR TECHNOLOGIES INC      COMMON STOCK  339041105           4580          85377SH       SOLE   0            85377
FLEETMATICS GROUP PLC          COMMON STOCK  G35569105            398          15800SH       SOLE   0            15800
FLEXSTEEL INDS                 COMMON STOCK  339382103            169           7882SH       SOLE   0             7882
FLIR SYSTEMS INC               COMMON STOCK  302445101           6036         270573SH       SOLE   0           270573
FLOTEK INDUSTRIES INC          COMMON STOCK  343389102           1059          86786SH       SOLE   0            86786
FLOW INTL CORP                 COMMON STOCK  343468104            294          83963SH       SOLE   0            83963
FLOWERS FOODS INC              COMMON STOCK  343498101           4577         196673SH       SOLE   0           196673
FLOWSERVE CORP                 COMMON STOCK  34354P105          13175          89748SH       SOLE   0            89748
FLUIDIGM CORP                  COMMON STOCK  34385P108            610          42605SH       SOLE   0            42605
FLUOR CORP                     COMMON STOCK  343412102          17428         296703SH       SOLE   0           296703
FLUSHING FINANCIAL CORP        COMMON STOCK  343873105            833          54273SH       SOLE   0            54273
FMC CORP                       COMMON STOCK  302491303          14082         240638SH       SOLE   0           240638
FMC TECHNOLOGIES INC           COMMON STOCK  30249U101          17969         419549SH       SOLE   0           419549
FNB CORP                       COMMON STOCK  302520101           2600         244856SH       SOLE   0           244856
FNB UNITED CORP                COMMON STOCK  302519202            204          17550SH       SOLE   0            17550
FOOT LOCKER INC                COMMON STOCK  344849104           8559         266457SH       SOLE   0           266457
FORBES ENERGY SERVICES LTD     COMMON STOCK  345143101             65          25876SH       SOLE   0            25876
FORD MOTOR CO                  COMMON STOCK  345370860          85238        6582104SH       SOLE   0          6582104
FOREST CITY ENTERPRISES CL A   COMMON STOCK  345550107           4242         262669SH       SOLE   0           262669
FOREST LABORATORIES INC        COMMON STOCK  345838106          16466         466199SH       SOLE   0           466199
FOREST OIL CORP                COMMON STOCK  346091705           1382         206644SH       SOLE   0           206644
FORESTAR GROUP INC             COMMON STOCK  346233109           1054          60810SH       SOLE   0            60810
FORMFACTOR INC                 COMMON STOCK  346375108            397          87041SH       SOLE   0            87041
FORRESTER RESEARCH INC         COMMON STOCK  346563109            662          24697SH       SOLE   0            24697
FORTEGRA FINANCIAL CORP        COMMON STOCK  34954W104            105          11772SH       SOLE   0            11772
FORTINET INC                   COMMON STOCK  34959E109           4827         229074SH       SOLE   0           229074
FORTUNE BRANDS HOME + SECURI   COMMON STOCK  34964C106           8184         280080SH       SOLE   0           280080
FORUM ENERGY TECHNOLOGIES IN   COMMON STOCK  34984V100            965          38972SH       SOLE   0            38972
FORWARD AIR CORPORATION        COMMON STOCK  349853101           1786          51015SH       SOLE   0            51015
FOSSIL INC                     COMMON STOCK  349882100           8925          95863SH       SOLE   0            95863
FOSTER (LB) CO A               COMMON STOCK  350060109            692          15941SH       SOLE   0            15941
FOX CHASE BANCORP INC          COMMON STOCK  35137T108            370          22236SH       SOLE   0            22236
FRANCESCAS HOLDINGS CORP       COMMON STOCK  351793104           1584          61030SH       SOLE   0            61030
FRANKLIN COVEY CO              COMMON STOCK  353469109            313          24275SH       SOLE   0            24275
FRANKLIN ELECTRIC CO INC       COMMON STOCK  353514102           2557          41137SH       SOLE   0            41137
FRANKLIN FINANCIAL CORP/VA     COMMON STOCK  35353C102            388          23383SH       SOLE   0            23383
FRANKLIN RESOURCES INC         COMMON STOCK  354613101          30711         244320SH       SOLE   0           244320
FRANKLIN STREET PROPERTIES C   REIT          35471R106           1565         127136SH       SOLE   0           127136
FRED S INC CLASS A             COMMON STOCK  356108100            861          64656SH       SOLE   0            64656
FREEPORT MCMORAN COPPER        COMMON STOCK  35671D857          56953        1665285SH       SOLE   0          1665285
FREESCALE SEMICONDUCTOR LTD    COMMON STOCK  G3727Q101            972          88313SH       SOLE   0            88313
FREIGHTCAR AMERICA INC         COMMON STOCK  357023100            471          21016SH       SOLE   0            21016
FRESH DEL MONTE PRODUCE INC    COMMON STOCK  G36738105           1761          66833SH       SOLE   0            66833
FRESH MARKET INC/THE           COMMON STOCK  35804H106           2317          48176SH       SOLE   0            48176
FRISCH S RESTAURANTS INC       COMMON STOCK  358748101            101           5463SH       SOLE   0             5463
FRONTIER COMMUNICATIONS CORP   COMMON STOCK  35906A108           7498        1751856SH       SOLE   0          1751856
FRONTLINE LTD                  COMMON STOCK  G3682E127            295          90468SH       SOLE   0            90468
FTI CONSULTING INC             COMMON STOCK  302941109           2432          73695SH       SOLE   0            73695
FUEL SYSTEMS SOLUTIONS INC     COMMON STOCK  35952W103            379          25771SH       SOLE   0            25771
FUELCELL ENERGY INC            COMMON STOCK  35952H106            244         265542SH       SOLE   0           265542
FULTON FINANCIAL CORP          COMMON STOCK  360271100           3386         352329SH       SOLE   0           352329
FURIEX PHARMACEUTICALS         COMMON STOCK  36106P101            250          12965SH       SOLE   0            12965
FURMANITE CORP                 COMMON STOCK  361086101            351          65377SH       SOLE   0            65377
FUSION IO INC                  COMMON STOCK  36112J107           5618         245007SH       SOLE   0           245007
FUTUREFUEL CORP                COMMON STOCK  36116M106            401          33841SH       SOLE   0            33841
FX ENERGY INC                  COMMON STOCK  302695101            382          92900SH       SOLE   0            92900
FXCM INC A                     COMMON STOCK  302693106            416          41327SH       SOLE   0            41327
G + K SERVICES INC  CL A       COMMON STOCK  361268105           1128          33023SH       SOLE   0            33023
G III APPAREL GROUP LTD        COMMON STOCK  36237H101            996          29102SH       SOLE   0            29102
GAIN CAPITAL HOLDINGS INC      COMMON STOCK  36268W100            107          26053SH       SOLE   0            26053
GAMCO INVESTORS INC A          COMMON STOCK  361438104            602          11337SH       SOLE   0            11337
GAMESTOP CORP CLASS A          COMMON STOCK  36467W109           5480         218419SH       SOLE   0           218419
GANNETT CO                     COMMON STOCK  364730101           7425         412260SH       SOLE   0           412260
GAP INC/THE                    COMMON STOCK  364760108          16498         531518SH       SOLE   0           531518
GARDNER DENVER INC             COMMON STOCK  365558105           6021          87894SH       SOLE   0            87894
GARMIN LTD                     COMMON STOCK  H2906T109           7808         191283SH       SOLE   0           191283
GARTNER INC                    COMMON STOCK  366651107           7534         163706SH       SOLE   0           163706
GASLOG LTD                     COMMON STOCK  G37585109            512          41222SH       SOLE   0            41222
GASTAR EXPLORATION LTD         COMMON STOCK  367299203            125         103487SH       SOLE   0           103487
GATX CORP                      COMMON STOCK  361448103           3560          82208SH       SOLE   0            82208
GEEKNET INC                    COMMON STOCK  36846Q203            126           7801SH       SOLE   0             7801
GENCO SHIPPING + TRADING LTD   COMMON STOCK  Y2685T107            191          54831SH       SOLE   0            54831
GENCORP INC                    COMMON STOCK  368682100            958         104745SH       SOLE   0           104745
GENERAC HOLDINGS INC           COMMON STOCK  368736104           1489          43390SH       SOLE   0            43390
GENERAL CABLE CORP             COMMON STOCK  369300108           2656          87329SH       SOLE   0            87329
GENERAL COMMUNICATION INC A    COMMON STOCK  369385109            621          64748SH       SOLE   0            64748
GENERAL DYNAMICS CORP          COMMON STOCK  369550108          38610         557389SH       SOLE   0           557389
GENERAL ELECTRIC CO            COMMON STOCK  369604103         390203       18589938SH       SOLE   0         18589938
GENERAL GROWTH PROPERTIES      REIT          370023103          18390         926453SH       SOLE   0           926453
GENERAL MILLS INC              COMMON STOCK  370334104          45894        1135713SH       SOLE   0          1135713
GENERAL MOLY INC               COMMON STOCK  370373102            472         117683SH       SOLE   0           117683
GENERAL MOTORS CO              COMMON STOCK  37045V100          38731        1343438SH       SOLE   0          1343438
GENESCO INC                    COMMON STOCK  371532102           2361          42936SH       SOLE   0            42936
GENESEE + WYOMING INC CL A     COMMON STOCK  371559105           5919          77797SH       SOLE   0            77797
GENIE ENERGY LTD B             COMMON STOCK  372284208            189          26563SH       SOLE   0            26563
GENOMIC HEALTH INC             COMMON STOCK  37244C101            768          28177SH       SOLE   0            28177
GENPACT LTD                    COMMON STOCK  G3922B107           3442         222091SH       SOLE   0           222091
GENTEX CORP                    COMMON STOCK  371901109           4763         253063SH       SOLE   0           253063
GENTHERM INC                   COMMON STOCK  37253A103            689          51837SH       SOLE   0            51837
GENTIVA HEALTH SERVICES        COMMON STOCK  37247A102            537          53407SH       SOLE   0            53407
GENUINE PARTS CO               COMMON STOCK  372460105          17390         273520SH       SOLE   0           273520
GENWORTH FINANCIAL INC CL A    COMMON STOCK  37247D106           6476         862335SH       SOLE   0           862335
GEO GROUP INC/THE              COMMON STOCK  36159R103           3530     125180.312SH       SOLE   0       125180.312
GEOEYE INC                     COMMON STOCK  37250W108            821          26709SH       SOLE   0            26709
GEORGIA GULF CORP              COMMON STOCK  373200302           2481          60100SH       SOLE   0            60100
GEOSPACE TECHNOLOGIES CORP     COMMON STOCK  37364X109           1984          22320SH       SOLE   0            22320
GERMAN AMERICAN BANCORP        COMMON STOCK  373865104            480          22111SH       SOLE   0            22111
GERON CORP                     COMMON STOCK  374163103            327         231722SH       SOLE   0           231722
GETTY REALTY CORP              REIT          374297109            813          45014SH       SOLE   0            45014
GEVO INC                       COMMON STOCK  374396109             83          53596SH       SOLE   0            53596
GFI GROUP INC                  COMMON STOCK  361652209            392         121023SH       SOLE   0           121023
GIBRALTAR INDUSTRIES INC       COMMON STOCK  374689107            853          53596SH       SOLE   0            53596
GILEAD SCIENCES INC            COMMON STOCK  375558103          97598        1328772SH       SOLE   0          1328772
GLACIER BANCORP INC            COMMON STOCK  37637Q105           1857         126251SH       SOLE   0           126251
GLADSTONE CAPITAL CORP         COMMON STOCK  376535100            301          36867SH       SOLE   0            36867
GLADSTONE COMMERCIAL CORP      REIT          376536108            345          19223SH       SOLE   0            19223
GLADSTONE INVESTMENT CORP      COMMON STOCK  376546107            319          45784SH       SOLE   0            45784
GLATFELTER                     COMMON STOCK  377316104           1311          74985SH       SOLE   0            74985
GLIMCHER REALTY TRUST          REIT          379302102           2714         244681SH       SOLE   0           244681
GLOBAL CASH ACCESS HOLDINGS    COMMON STOCK  378967103            905         115405SH       SOLE   0           115405
GLOBAL GEOPHYSICAL SERVICES    COMMON STOCK  37946S107            131          34053SH       SOLE   0            34053
GLOBAL INDEMNITY PLC           COMMON STOCK  G39319101            400          18064SH       SOLE   0            18064
GLOBAL PAYMENTS INC            COMMON STOCK  37940X102           6246         137884SH       SOLE   0           137884
GLOBAL POWER EQUIPMENT GROUP   COMMON STOCK  37941P306            518          30201SH       SOLE   0            30201
GLOBAL SOURCES LTD             COMMON STOCK  G39300101            214          33069SH       SOLE   0            33069
GLOBE SPECIALTY METALS INC     COMMON STOCK  37954N206           1483         107878SH       SOLE   0           107878
GLOBECOMM SYSTEMS INC          COMMON STOCK  37956X103            456          40396SH       SOLE   0            40396
GLOBUS MEDICAL INC   A         COMMON STOCK  379577208            176          16800SH       SOLE   0            16800
GLU MOBILE INC                 COMMON STOCK  379890106            217          94824SH       SOLE   0            94824
GNC HOLDINGS INC CL A          COMMON STOCK  36191G107           4022         120860SH       SOLE   0           120860
GOLAR LNG LTD                  COMMON STOCK  G9456A100           2805          76273SH       SOLE   0            76273
GOLD RESERVE INC               COMMON STOCK  38068N108            304          91766SH       SOLE   0            91766
GOLD RESOURCE CORP             COMMON STOCK  38068T105            807          52358SH       SOLE   0            52358
GOLDEN MINERALS CO             COMMON STOCK  381119106            266          58008SH       SOLE   0            58008
GOLDEN STAR RESOURCES LTD      COMMON STOCK  38119T104            836         454213SH       SOLE   0           454213
GOLDMAN SACHS GROUP INC        COMMON STOCK  38141G104         110084         862999SH       SOLE   0           862999
GOLUB CAPITAL BDC INC          COMMON STOCK  38173M102            442          27688SH       SOLE   0            27688
GOODRICH PETROLEUM CORP        COMMON STOCK  382410405            425          45582SH       SOLE   0            45582
GOODYEAR TIRE + RUBBER CO      COMMON STOCK  382550101           5929         429306SH       SOLE   0           429306
GOOGLE INC CL A                COMMON STOCK  38259P508         322195         454199SH       SOLE   0           454199
GORDMANS STORES INC            COMMON STOCK  38269P100            222          14810SH       SOLE   0            14810
GORMAN RUPP CO                 COMMON STOCK  383082104            796          26669SH       SOLE   0            26669
GOVERNMENT PROPERTIES INCOME   REIT          38376A103           1809          75468SH       SOLE   0            75468
GP STRATEGIES CORP             COMMON STOCK  36225V104            536          25936SH       SOLE   0            25936
GRACO INC                      COMMON STOCK  384109104           5459         106023SH       SOLE   0           106023
GRAFTECH INTERNATIONAL LTD     COMMON STOCK  384313102           1940         206595SH       SOLE   0           206595
GRAHAM CORP                    COMMON STOCK  384556106            340          17425SH       SOLE   0            17425
GRAMERCY CAPITAL CORP          REIT          384871109            237          80555SH       SOLE   0            80555
GRAND CANYON EDUCATION INC     COMMON STOCK  38526M106           1645          70100SH       SOLE   0            70100
GRANITE CONSTRUCTION INC       COMMON STOCK  387328107           2279          67784SH       SOLE   0            67784
GRAPHIC PACKAGING HOLDING CO   COMMON STOCK  388689101           1898         293802SH       SOLE   0           293802
GREAT LAKES DREDGE + DOCK CO   COMMON STOCK  390607109            927         103761SH       SOLE   0           103761
GREAT PLAINS ENERGY INC        COMMON STOCK  391164100           4858         239200SH       SOLE   0           239200
GREAT SOUTHERN BANCORP INC     COMMON STOCK  390905107            453          17812SH       SOLE   0            17812
GREATBATCH INC                 COMMON STOCK  39153L106            964          41465SH       SOLE   0            41465
GREEN DOT CORP CLASS A         COMMON STOCK  39304D102            514          42118SH       SOLE   0            42118
GREEN MOUNTAIN COFFEE ROASTE   COMMON STOCK  393122106           9987         241461SH       SOLE   0           241461
GREEN PLAINS RENEWABLE ENERG   COMMON STOCK  393222104            346          43757SH       SOLE   0            43757
GREENBRIER COMPANIES INC       COMMON STOCK  393657101            648          40047SH       SOLE   0            40047
GREENHILL + CO INC             COMMON STOCK  395259104           2653          51020SH       SOLE   0            51020
GREENLIGHT CAPITAL RE LTD A    COMMON STOCK  G4095J109           1138          49287SH       SOLE   0            49287
GREENWAY MEDICAL TECHNOLOGIE   COMMON STOCK  39679B103            214          13902SH       SOLE   0            13902
GREIF INC CL A                 COMMON STOCK  397624107           2451          55070SH       SOLE   0            55070
GRIFFIN LAND + NURSERIES       COMMON STOCK  398231100            132           4874SH       SOLE   0             4874
GRIFFON CORP                   COMMON STOCK  398433102            915          79844SH       SOLE   0            79844
GROUP 1 AUTOMOTIVE INC         COMMON STOCK  398905109           2491          40182SH       SOLE   0            40182
GROUPON INC                    COMMON STOCK  399473107            370          75885SH       SOLE   0            75885
GSE HOLDING INC                COMMON STOCK  36191X100             87          14075SH       SOLE   0            14075
GSI GROUP INC                  COMMON STOCK  36191C205            443          51148SH       SOLE   0            51148
GSI TECHNOLOGY INC             COMMON STOCK  36241U106            226          36109SH       SOLE   0            36109
GSV CAPITAL CORP               COMMON STOCK  36191J101            286          33886SH       SOLE   0            33886
GT ADVANCED TECHNOLOGIES INC   COMMON STOCK  36191U106            627         207613SH       SOLE   0           207613
GTX INC                        COMMON STOCK  40052B108            195          46421SH       SOLE   0            46421
GUARANTY BANCORP               COMMON STOCK  40075T102            261         133650SH       SOLE   0           133650
GUESS? INC                     COMMON STOCK  401617105           2641         107613SH       SOLE   0           107613
GUIDANCE SOFTWARE INC          COMMON STOCK  401692108            297          25061SH       SOLE   0            25061
GUIDEWIRE SOFTWARE INC         COMMON STOCK  40171V100           1066          35880SH       SOLE   0            35880
GULF ISLAND FABRICATION INC    COMMON STOCK  402307102            607          25261SH       SOLE   0            25261
GULFMARK OFFSHORE INC CL A     COMMON STOCK  402629208           1623          47113SH       SOLE   0            47113
GULFPORT ENERGY CORP           COMMON STOCK  402635304           3732          97658SH       SOLE   0            97658
GYRODYNE CO OF AMERICA INC     REIT          403820103            152           2112SH       SOLE   0             2112
H+E EQUIPMENT SERVICES INC     COMMON STOCK  404030108            759          50371SH       SOLE   0            50371
H+R BLOCK INC                  COMMON STOCK  093671105           8940         481419SH       SOLE   0           481419
H.B. FULLER CO.                COMMON STOCK  359694106           3048          87542SH       SOLE   0            87542
HACKETT GROUP INC/THE          COMMON STOCK  404609109            185          43113SH       SOLE   0            43113
HAEMONETICS CORP/MASS          COMMON STOCK  405024100           3632          88938SH       SOLE   0            88938
HAIN CELESTIAL GROUP INC       COMMON STOCK  405217100           3508          64704SH       SOLE   0            64704
HALCON RESOURCES CORP          COMMON STOCK  40537Q209           1352         195426SH       SOLE   0           195426
HALLADOR ENERGY CO             COMMON STOCK  40609P105             95          11506SH       SOLE   0            11506
HALLIBURTON CO                 COMMON STOCK  406216101          56179        1619466SH       SOLE   0          1619466
HALLMARK FINL SERVICES INC     COMMON STOCK  40624Q203            235          24996SH       SOLE   0            24996
HALOZYME THERAPEUTICS INC      COMMON STOCK  40637H109           1056         157410SH       SOLE   0           157410
HANCOCK HOLDING CO             COMMON STOCK  410120109           4250         133892SH       SOLE   0           133892
HANDY + HARMAN LTD             COMMON STOCK  410315105            142           9453SH       SOLE   0             9453
HANESBRANDS INC                COMMON STOCK  410345102           6131         171160SH       SOLE   0           171160
HANGER INC                     COMMON STOCK  41043F208           1637          59845SH       SOLE   0            59845
HANMI FINANCIAL CORPORATION    COMMON STOCK  410495204            751          55281SH       SOLE   0            55281
HANOVER INSURANCE GROUP INC/   COMMON STOCK  410867105           3061          79026SH       SOLE   0            79026
HANSEN MEDICAL INC             COMMON STOCK  411307101            200          96231SH       SOLE   0            96231
HARBINGER GROUP INC            COMMON STOCK  41146A106            556          72304SH       SOLE   0            72304
HARDINGE INC                   COMMON STOCK  412324303            204          20517SH       SOLE   0            20517
HARLEY DAVIDSON INC            COMMON STOCK  412822108          19837         406170SH       SOLE   0           406170
HARMAN INTERNATIONAL           COMMON STOCK  413086109          14449         323682SH       SOLE   0           323682
HARMONIC INC                   COMMON STOCK  413160102           1046         206248SH       SOLE   0           206248
HARRIS + HARRIS GROUP INC      COMMON STOCK  413833104            180          54415SH       SOLE   0            54415
HARRIS CORP                    COMMON STOCK  413875105           9772         199597SH       SOLE   0           199597
HARRIS TEETER SUPERMARKETS I   COMMON STOCK  414585109           2968          76958SH       SOLE   0            76958
HARSCO CORP                    COMMON STOCK  415864107           3321         141311SH       SOLE   0           141311
HARTE HANKS INC                COMMON STOCK  416196103            461          78106SH       SOLE   0            78106
HARTFORD FINANCIAL SVCS GRP    COMMON STOCK  416515104          17357         773471SH       SOLE   0           773471
HARVARD BIOSCIENCE INC         COMMON STOCK  416906105            190          43456SH       SOLE   0            43456
HARVEST NATURAL RESOURCES IN   COMMON STOCK  41754V103            628          69209SH       SOLE   0            69209
HASBRO INC                     COMMON STOCK  418056107           7269         202480SH       SOLE   0           202480
HATTERAS FINANCIAL CORP        REIT          41902R103           4255         171521SH       SOLE   0           171521
HAVERTY FURNITURE              COMMON STOCK  419596101            550          33698SH       SOLE   0            33698
HAWAIIAN ELECTRIC INDS         COMMON STOCK  419870100           4262         169533SH       SOLE   0           169533
HAWAIIAN HOLDINGS INC          COMMON STOCK  419879101            589          89589SH       SOLE   0            89589
HAWAIIAN TELCOM HOLDCO INC     COMMON STOCK  420031106            351          17981SH       SOLE   0            17981
HAWKINS INC                    COMMON STOCK  420261109            620          16047SH       SOLE   0            16047
HAYNES INTERNATIONAL INC       COMMON STOCK  420877201           1116          21511SH       SOLE   0            21511
HCA HOLDINGS INC               COMMON STOCK  40412C101           8734         289499SH       SOLE   0           289499
HCC INSURANCE HOLDINGS INC     COMMON STOCK  404132102           6608         177592SH       SOLE   0           177592
HCP INC                        REIT          40414L109          35835         793162SH       SOLE   0           793162
HEADWATERS INC                 COMMON STOCK  42210P102            918         107205SH       SOLE   0           107205
HEALTH CARE REIT INC           REIT          42217K106          27853         454447SH       SOLE   0           454447
HEALTH MGMT ASSOCIATES INC A   COMMON STOCK  421933102           4191         449711SH       SOLE   0           449711
HEALTH NET INC                 COMMON STOCK  42222G108           3551         146150SH       SOLE   0           146150
HEALTHCARE REALTY TRUST INC    REIT          421946104           3675         153054SH       SOLE   0           153054
HEALTHCARE SERVICES GROUP      COMMON STOCK  421906108           2738         117866SH       SOLE   0           117866
HEALTHSOUTH CORP               COMMON STOCK  421924309           3541         167729SH       SOLE   0           167729
HEALTHSTREAM INC               COMMON STOCK  42222N103            833          34257SH       SOLE   0            34257
HEALTHWAYS INC                 COMMON STOCK  422245100            627          58581SH       SOLE   0            58581
HEARTLAND EXPRESS INC          COMMON STOCK  422347104           1100          84161SH       SOLE   0            84161
HEARTLAND FINANCIAL USA INC    COMMON STOCK  42234Q102            666          25476SH       SOLE   0            25476
HEARTLAND PAYMENT SYSTEMS IN   COMMON STOCK  42235N108           2006          68009SH       SOLE   0            68009
HEARTWARE INTERNATIONAL INC    COMMON STOCK  422368100           2081          24791SH       SOLE   0            24791
HECKMANN CORP                  COMMON STOCK  422680108            995         246912SH       SOLE   0           246912
HECLA MINING CO                COMMON STOCK  422704106           2918         500598SH       SOLE   0           500598
HEICO CORP                     COMMON STOCK  422806109           4135          92382SH       SOLE   0            92382
HEIDRICK + STRUGGLES INTL      COMMON STOCK  422819102            481          31543SH       SOLE   0            31543
HELEN OF TROY LTD              COMMON STOCK  G4388N106           1858          55656SH       SOLE   0            55656
HELIX ENERGY SOLUTIONS GROUP   COMMON STOCK  42330P107           3826         185373SH       SOLE   0           185373
HELMERICH + PAYNE              COMMON STOCK  423452101           9428         168329SH       SOLE   0           168329
HENRY SCHEIN INC               COMMON STOCK  806407102          12690         157720SH       SOLE   0           157720
HERBALIFE LTD                  COMMON STOCK  G4412G101           6242         189495SH       SOLE   0           189495
HERCULES OFFSHORE INC          COMMON STOCK  427093109           1718         277992SH       SOLE   0           277992
HERCULES TECHNOLOGY GROWTH     COMMON STOCK  427096508           1032          92726SH       SOLE   0            92726
HERITAGE COMMERCE CORP         COMMON STOCK  426927109            254          36406SH       SOLE   0            36406
HERITAGE CRYSTAL CLEAN INC     COMMON STOCK  42726M106            202          13438SH       SOLE   0            13438
HERITAGE FINANCIAL CORP        COMMON STOCK  42722X106            399          27164SH       SOLE   0            27164
HERITAGE FINANCIAL GROUP INC   COMMON STOCK  42726X102            209          15184SH       SOLE   0            15184
HERITAGE OAKS BANCORP          COMMON STOCK  42724R107            204          35256SH       SOLE   0            35256
HERMAN MILLER INC              COMMON STOCK  600544100           2192         102312SH       SOLE   0           102312
HERSHA HOSPITALITY TRUST       REIT          427825104           1508         301667SH       SOLE   0           301667
HERSHEY CO/THE                 COMMON STOCK  427866108          19018         263330SH       SOLE   0           263330
HERTZ GLOBAL HOLDINGS INC      COMMON STOCK  42805T105           7094         436009SH       SOLE   0           436009
HESS CORP                      COMMON STOCK  42809H107          28283         534052SH       SOLE   0           534052
HEWLETT PACKARD CO             COMMON STOCK  428236103          49438        3469348SH       SOLE   0          3469348
HEXCEL CORP                    COMMON STOCK  428291108           4710         174710SH       SOLE   0           174710
HFF INC CLASS A                COMMON STOCK  40418F108            852          57190SH       SOLE   0            57190
HI TECH PHARMACAL CO INC       COMMON STOCK  42840B101            658          18799SH       SOLE   0            18799
HIBBETT SPORTS INC             COMMON STOCK  428567101           2443          46348SH       SOLE   0            46348
HICKORYTECH CORP               COMMON STOCK  429060106            230          23682SH       SOLE   0            23682
HIGHER ONE HOLDINGS INC        COMMON STOCK  42983D104            595          56461SH       SOLE   0            56461
HIGHWOODS PROPERTIES INC       REIT          431284108           4609         137789SH       SOLE   0           137789
HILL INTERNATIONAL INC         COMMON STOCK  431466101            146          39892SH       SOLE   0            39892
HILL ROM HOLDINGS INC          COMMON STOCK  431475102           3104         108903SH       SOLE   0           108903
HILLENBRAND INC                COMMON STOCK  431571108           2188          96755SH       SOLE   0            96755
HILLSHIRE BRANDS CO            COMMON STOCK  432589109           5860         208227SH       SOLE   0           208227
HILLTOP HOLDINGS INC           COMMON STOCK  432748101            943          69614SH       SOLE   0            69614
HINGHAM INSTITUTION FOR SVGS   COMMON STOCK  433323102            142           2273SH       SOLE   0             2273
HITTITE MICROWAVE CORP         COMMON STOCK  43365Y104           3433          55275SH       SOLE   0            55275
HJ HEINZ CO                    COMMON STOCK  423074103          32375         561280SH       SOLE   0           561280
HMS HOLDINGS CORP              COMMON STOCK  40425J101           3910         150852SH       SOLE   0           150852
HNI CORP                       COMMON STOCK  404251100           2402          79904SH       SOLE   0            79904
HOLLYFRONTIER CORP             COMMON STOCK  436106108          16890         362835SH       SOLE   0           362835
HOLOGIC INC                    COMMON STOCK  436440101           9298         464226SH       SOLE   0           464226
HOME BANCORP INC               COMMON STOCK  43689E107            219          12026SH       SOLE   0            12026
HOME BANCSHARES INC            COMMON STOCK  436893200           1278          38702SH       SOLE   0            38702
HOME DEPOT INC                 COMMON STOCK  437076102         166102        2685563SH       SOLE   0          2685563
HOME FEDERAL BANCORP INC/ID    COMMON STOCK  43710G105            317          25467SH       SOLE   0            25467
HOME LOAN SERVICING SOLUTION   COMMON STOCK  G6648D109            961          50872SH       SOLE   0            50872
HOME PROPERTIES INC            REIT          437306103           5515          89957SH       SOLE   0            89957
HOMEAWAY INC                   COMMON STOCK  43739Q100           1245          56582SH       SOLE   0            56582
HOMEOWNERS CHOICE INC          COMMON STOCK  43741E103            306          14738SH       SOLE   0            14738
HOMESTREET INC                 COMMON STOCK  43785V102            390          15256SH       SOLE   0            15256
HOMETRUST BANCSHARES INC       COMMON STOCK  437872104            501          37100SH       SOLE   0            37100
HONEYWELL INTERNATIONAL INC    COMMON STOCK  438516106          86767        1367061SH       SOLE   0          1367061
HOOKER FURNITURE CORP          COMMON STOCK  439038100            275          18954SH       SOLE   0            18954
HORACE MANN EDUCATORS          COMMON STOCK  440327104           1389          69587SH       SOLE   0            69587
HORIZON BANCORP INDIANA        COMMON STOCK  440407104            225          11475SH       SOLE   0            11475
HORIZON PHARMA INC             COMMON STOCK  44047T109            158          67641SH       SOLE   0            67641
HORIZON TECHNOLOGY FINANCE C   COMMON STOCK  44045A102            204          13704SH       SOLE   0            13704
HORMEL FOODS CORP              COMMON STOCK  440452100           7363         235917SH       SOLE   0           235917
HORNBECK OFFSHORE SERVICES     COMMON STOCK  440543106           2128          61959SH       SOLE   0            61959
HORSEHEAD HOLDING CORP         COMMON STOCK  440694305            785          76907SH       SOLE   0            76907
HOSPIRA INC                    COMMON STOCK  441060100           9050         289693SH       SOLE   0           289693
HOSPITALITY PROPERTIES TRUST   REIT          44106M102           5077         216764SH       SOLE   0           216764
HOST HOTELS + RESORTS INC      REIT          44107P104          19773        1261824SH       SOLE   0          1261824
HOT TOPIC INC                  COMMON STOCK  441339108            715          74059SH       SOLE   0            74059
HOUSTON WIRE + CABLE CO        COMMON STOCK  44244K109            384          31324SH       SOLE   0            31324
HOVNANIAN ENTERPRISES A        COMMON STOCK  442487203           1293         184781SH       SOLE   0           184781
HOWARD HUGHES CORP/THE         COMMON STOCK  44267D107           3511          48082SH       SOLE   0            48082
HSN INC                        COMMON STOCK  404303109           3448          62596SH       SOLE   0            62596
HUB GROUP INC CL A             COMMON STOCK  443320106           2189          65135SH       SOLE   0            65135
HUBBELL INC  CL B              COMMON STOCK  443510201           8793         103904SH       SOLE   0           103904
HUDSON CITY BANCORP INC        COMMON STOCK  443683107           7534         926632SH       SOLE   0           926632
HUDSON GLOBAL INC              COMMON STOCK  443787106            261          58299SH       SOLE   0            58299
HUDSON PACIFIC PROPERTIES IN   REIT          444097109           1325          62908SH       SOLE   0            62908
HUDSON VALLEY HOLDING CORP     COMMON STOCK  444172100            424          27255SH       SOLE   0            27255
HUMANA INC                     COMMON STOCK  444859102          19648         286282SH       SOLE   0           286282
HUNT (JB) TRANSPRT SVCS INC    COMMON STOCK  445658107           9406         157530SH       SOLE   0           157530
HUNTINGTON BANCSHARES INC      COMMON STOCK  446150104           9694        1517076SH       SOLE   0          1517076
HUNTINGTON INGALLS INDUSTRIE   COMMON STOCK  446413106           3761          86770SH       SOLE   0            86770
HUNTSMAN CORP                  COMMON STOCK  447011107           5335         335510SH       SOLE   0           335510
HURCO COMPANIES INC            COMMON STOCK  447324104            261          11327SH       SOLE   0            11327
HURON CONSULTING GROUP INC     COMMON STOCK  447462102           1354          40182SH       SOLE   0            40182
HYATT HOTELS CORP   CL A       COMMON STOCK  448579102           3059          79305SH       SOLE   0            79305
HYPERION THERAPEUTICS INC      COMMON STOCK  44915N101             70           6200SH       SOLE   0             6200
HYSTER YALE MATERIALS          COMMON STOCK  449172105            945          19356SH       SOLE   0            19356
IAC/INTERACTIVECORP            COMMON STOCK  44919P508           6516         137761SH       SOLE   0           137761
IBERIABANK CORP                COMMON STOCK  450828108           2544          51796SH       SOLE   0            51796
ICF INTERNATIONAL INC          COMMON STOCK  44925C103            819          34936SH       SOLE   0            34936
ICG GROUP INC                  COMMON STOCK  44928D108            746          65304SH       SOLE   0            65304
ICONIX BRAND GROUP INC         COMMON STOCK  451055107           2776         124384SH       SOLE   0           124384
ICU MEDICAL INC                COMMON STOCK  44930G107           1335          21909SH       SOLE   0            21909
IDACORP INC                    COMMON STOCK  451107106           3811          87902SH       SOLE   0            87902
IDENIX PHARMACEUTICALS INC     COMMON STOCK  45166R204            767         158048SH       SOLE   0           158048
IDEX CORP                      COMMON STOCK  45167R104           6857         147370SH       SOLE   0           147370
IDEXX LABORATORIES INC         COMMON STOCK  45168D104           8962          96575SH       SOLE   0            96575
IDT CORP CLASS B               COMMON STOCK  448947507            253          26563SH       SOLE   0            26563
IGATE CORP                     COMMON STOCK  45169U105            890          56445SH       SOLE   0            56445
IGNITE RESTAURANT GROUP INC    COMMON STOCK  451730105            152          11673SH       SOLE   0            11673
IHS INC CLASS A                COMMON STOCK  451734107           8480          88332SH       SOLE   0            88332
II VI INC                      COMMON STOCK  902104108           1685          92206SH       SOLE   0            92206
ILLINOIS TOOL WORKS            COMMON STOCK  452308109          45428         747044SH       SOLE   0           747044
ILLUMINA INC                   COMMON STOCK  452327109          12040         216589SH       SOLE   0           216589
IMATION CORP                   COMMON STOCK  45245A107            253          54241SH       SOLE   0            54241
IMMERSION CORPORATION          COMMON STOCK  452521107            339          49292SH       SOLE   0            49292
IMMUNOCELLULAR THERAPEUTICS    COMMON STOCK  452536105            172          89646SH       SOLE   0            89646
IMMUNOGEN INC                  COMMON STOCK  45253H101           1866         146370SH       SOLE   0           146370
IMMUNOMEDICS INC               COMMON STOCK  452907108            338         115688SH       SOLE   0           115688
IMPAX LABORATORIES INC         COMMON STOCK  45256B101           2410         117614SH       SOLE   0           117614
IMPERVA INC                    COMMON STOCK  45321L100            538          17064SH       SOLE   0            17064
INCONTACT INC                  COMMON STOCK  45336E109            340          65574SH       SOLE   0            65574
INCYTE CORP                    COMMON STOCK  45337C102           2804         168817SH       SOLE   0           168817
INDEPENDENCE HOLDING CO        COMMON STOCK  453440307            137          14379SH       SOLE   0            14379
INDEPENDENT BANK CORP/MA       COMMON STOCK  453836108           1127          38945SH       SOLE   0            38945
INFINERA CORP                  COMMON STOCK  45667G103           1118         192510SH       SOLE   0           192510
INFINITY PHARMACEUTICALS INC   COMMON STOCK  45665G303           1738          49658SH       SOLE   0            49658
INFINITY PROPERTY + CASUALTY   COMMON STOCK  45665Q103           1209          20760SH       SOLE   0            20760
INFOBLOX INC                   COMMON STOCK  45672H104            244          13578SH       SOLE   0            13578
INFORMATICA CORP               COMMON STOCK  45666Q102           5759         189939SH       SOLE   0           189939
INGERSOLL RAND PLC             COMMON STOCK  G47791101          25136         524109SH       SOLE   0           524109
INGLES MARKETS INC CLASS A     COMMON STOCK  457030104            383          22183SH       SOLE   0            22183
INGRAM MICRO INC CL A          COMMON STOCK  457153104           4522         267242SH       SOLE   0           267242
INGREDION INC                  COMMON STOCK  457187102           8642         134135SH       SOLE   0           134135
INLAND REAL ESTATE CORP        REIT          457461200           1125         134277SH       SOLE   0           134277
INNERWORKINGS INC              COMMON STOCK  45773Y105            768          55748SH       SOLE   0            55748
INNODATA INC                   COMMON STOCK  457642205            147          38981SH       SOLE   0            38981
INNOPHOS HOLDINGS INC          COMMON STOCK  45774N108           1780          38269SH       SOLE   0            38269
INNOSPEC INC                   COMMON STOCK  45768S105           1395          40441SH       SOLE   0            40441
INPHI CORP                     COMMON STOCK  45772F107            393          40993SH       SOLE   0            40993
INSIGHT ENTERPRISES INC        COMMON STOCK  45765U103           1353          77908SH       SOLE   0            77908
INSPERITY INC WD               COMMON STOCK  45778Q107           1295          39761SH       SOLE   0            39761
INSTEEL INDUSTRIES INC         COMMON STOCK  45774W108            387          31035SH       SOLE   0            31035
INSULET CORP                   COMMON STOCK  45784P101           1778          83781SH       SOLE   0            83781
INTEGRA LIFESCIENCES HOLDING   COMMON STOCK  457985208           1333          34214SH       SOLE   0            34214
INTEGRATED DEVICE TECH INC     COMMON STOCK  458118106           1822         249580SH       SOLE   0           249580
INTEGRATED SILICON SOLUTION    COMMON STOCK  45812P107            432          47972SH       SOLE   0            47972
INTEGRYS ENERGY GROUP INC      COMMON STOCK  45822P105           7171         137332SH       SOLE   0           137332
INTEL CORP                     COMMON STOCK  458140100         182102        8827054SH       SOLE   0          8827054
INTER PARFUMS INC              COMMON STOCK  458334109            559          28732SH       SOLE   0            28732
INTERACTIVE BROKERS GRO CL A   COMMON STOCK  45841N107            956          69882SH       SOLE   0            69882
INTERACTIVE INTELLIGENCE GRO   COMMON STOCK  45841V109            864          25755SH       SOLE   0            25755
INTERCEPT PHARMACEUTICALS IN   COMMON STOCK  45845P108            284           8300SH       SOLE   0             8300
INTERCONTINENTALEXCHANGE INC   COMMON STOCK  45865V100          15802         127628SH       SOLE   0           127628
INTERDIGITAL INC               COMMON STOCK  45867G101           2951          71808SH       SOLE   0            71808
INTERFACE INC                  COMMON STOCK  458665304           1652         102747SH       SOLE   0           102747
INTERMEC INC                   COMMON STOCK  458786100           1037         105208SH       SOLE   0           105208
INTERMOLECULAR INC             COMMON STOCK  45882D109            216          24270SH       SOLE   0            24270
INTERMUNE INC                  COMMON STOCK  45884X103           1112         114754SH       SOLE   0           114754
INTERNAP NETWORK SERVICES      COMMON STOCK  45885A300            646          93119SH       SOLE   0            93119
INTERNATIONAL BANCSHARES CRP   COMMON STOCK  459044103           1686          93425SH       SOLE   0            93425
INTERNATIONAL PAPER CO         COMMON STOCK  460146103          30570         767308SH       SOLE   0           767308
INTERPUBLIC GROUP OF COS INC   COMMON STOCK  460690100           8567         777363SH       SOLE   0           777363
INTERSECTIONS INC              COMMON STOCK  460981301            151          15903SH       SOLE   0            15903
INTERSIL CORP A                COMMON STOCK  46069S109           1854         223623SH       SOLE   0           223623
INTERVAL LEISURE GROUP         COMMON STOCK  46113M108           1319          68013SH       SOLE   0            68013
INTEVAC INC                    COMMON STOCK  461148108            187          40817SH       SOLE   0            40817
INTL BUSINESS MACHINES CORP    COMMON STOCK  459200101         366344        1912525SH       SOLE   0          1912525
INTL FCSTONE INC               COMMON STOCK  46116V105            420          24140SH       SOLE   0            24140
INTL FLAVORS + FRAGRANCES      COMMON STOCK  459506101           9465         142250SH       SOLE   0           142250
INTL GAME TECHNOLOGY           COMMON STOCK  459902102           6640         468601SH       SOLE   0           468601
INTL RECTIFIER CORP            COMMON STOCK  460254105           2152         121383SH       SOLE   0           121383
INTL SHIPHOLDING CORP          COMMON STOCK  460321201            159           9640SH       SOLE   0             9640
INTL SPEEDWAY CORP CL A        COMMON STOCK  460335201           1341          48568SH       SOLE   0            48568
INTRALINKS HOLDINGS INC        COMMON STOCK  46118H104            395          63999SH       SOLE   0            63999
INTREPID POTASH INC            COMMON STOCK  46121Y102           2011          94449SH       SOLE   0            94449
INTUIT INC                     COMMON STOCK  461202103          30655         515218SH       SOLE   0           515218
INTUITIVE SURGICAL INC         COMMON STOCK  46120E602          34180          69703SH       SOLE   0            69703
INVACARE CORP                  COMMON STOCK  461203101            911          55869SH       SOLE   0            55869
INVENSENSE INC                 COMMON STOCK  46123D205            710          63896SH       SOLE   0            63896
INVENTURE FOODS INC            COMMON STOCK  461212102            149          22900SH       SOLE   0            22900
INVESCO LTD                    COMMON STOCK  G491BT108          20518         786424SH       SOLE   0           786424
INVESCO MORTGAGE CAPITAL       REIT          46131B100           3991         202501SH       SOLE   0           202501
INVESTMENT TECHNOLOGY GROUP    COMMON STOCK  46145F105            613          68072SH       SOLE   0            68072
INVESTORS BANCORP INC          COMMON STOCK  46146P102           1379          77544SH       SOLE   0            77544
INVESTORS REAL ESTATE TRUST    REIT          461730103           1392         159432SH       SOLE   0           159432
INVESTORS TITLE CO             COMMON STOCK  461804106            132           2195SH       SOLE   0             2195
ION GEOPHYSICAL CORP           COMMON STOCK  462044108           1507         231534SH       SOLE   0           231534
IPASS INC                      COMMON STOCK  46261V108            167          91142SH       SOLE   0            91142
IPC THE HOSPITALIST CO         COMMON STOCK  44984A105           1156          29111SH       SOLE   0            29111
IPG PHOTONICS CORP             COMMON STOCK  44980X109           3724          55876SH       SOLE   0            55876
IRIDIUM COMMUNICATIONS INC     COMMON STOCK  46269C102            588          87210SH       SOLE   0            87210
IROBOT CORP                    COMMON STOCK  462726100            902          48140SH       SOLE   0            48140
IRON MOUNTAIN INC              COMMON STOCK  462846106           9066         291975SH       SOLE   0           291975
IRONWOOD PHARMACEUTICALS INC   COMMON STOCK  46333X108           1463         131876SH       SOLE   0           131876
ISIS PHARMACEUTICALS INC       COMMON STOCK  464330109           1839         175765SH       SOLE   0           175765
ISLE OF CAPRI CASINOS          COMMON STOCK  464592104            206          36720SH       SOLE   0            36720
ISRAMCO INC                    COMMON STOCK  465141406            190           1823SH       SOLE   0             1823
ISTAR FINANCIAL INC            REIT          45031U101           1206         148004SH       SOLE   0           148004
ITC HOLDINGS CORP              COMMON STOCK  465685105           6932          90131SH       SOLE   0            90131
ITRON INC                      COMMON STOCK  465741106           3123          70112SH       SOLE   0            70112
ITT CORP                       COMMON STOCK  450911201           3798         161898SH       SOLE   0           161898
ITT EDUCATIONAL SERVICES INC   COMMON STOCK  45068B109            733          42371SH       SOLE   0            42371
IXIA                           COMMON STOCK  45071R109           1257          74031SH       SOLE   0            74031
IXYS CORPORATION               COMMON STOCK  46600W106            393          43018SH       SOLE   0            43018
J + J SNACK FOODS CORP         COMMON STOCK  466032109           1661          25973SH       SOLE   0            25973
J.C. PENNEY CO INC             COMMON STOCK  708160106           5519         279988SH       SOLE   0           279988
J2 GLOBAL INC                  COMMON STOCK  48123V102           2482          81157SH       SOLE   0            81157
JABIL CIRCUIT INC              COMMON STOCK  466313103           6267         324909SH       SOLE   0           324909
JACK HENRY + ASSOCIATES INC    COMMON STOCK  426281101           6012         153141SH       SOLE   0           153141
JACK IN THE BOX INC            COMMON STOCK  466367109           2220          77621SH       SOLE   0            77621
JACOBS ENGINEERING GROUP INC   COMMON STOCK  469814107           9637         226377SH       SOLE   0           226377
JAKKS PACIFIC INC              COMMON STOCK  47012E106            484          38674SH       SOLE   0            38674
JAMBA INC                      COMMON STOCK  47023A101            304         135731SH       SOLE   0           135731
JANUS CAPITAL GROUP INC        COMMON STOCK  47102X105           2818         330714SH       SOLE   0           330714
JARDEN CORP                    COMMON STOCK  471109108           7225         139758SH       SOLE   0           139758
JAVELIN MORTGAGE INVESTMENT    COMMON STOCK  47200B104            242          12700SH       SOLE   0            12700
JAZZ PHARMACEUTICALS PLC       COMMON STOCK  G50871105           3878          72897SH       SOLE   0            72897
JDS UNIPHASE CORP              COMMON STOCK  46612J507           5493         405706SH       SOLE   0           405706
JEFFERIES GROUP INC            COMMON STOCK  472319102           4610         248248SH       SOLE   0           248248
JETBLUE AIRWAYS CORP           COMMON STOCK  477143101           2341         410002SH       SOLE   0           410002
JIVE SOFTWARE INC              COMMON STOCK  47760A108            413          28426SH       SOLE   0            28426
JM SMUCKER CO/THE              COMMON STOCK  832696405          16945         196492SH       SOLE   0           196492
JMP GROUP INC                  COMMON STOCK  46629U107            170          28019SH       SOLE   0            28019
JOHN B. SANFILIPPO + SON INC   COMMON STOCK  800422107            253          13912SH       SOLE   0            13912
JOHN BEAN TECHNOLOGIES CORP    COMMON STOCK  477839104            902          50753SH       SOLE   0            50753
JOHNSON + JOHNSON              COMMON STOCK  478160104         337786        4818624SH       SOLE   0          4818624
JOHNSON CONTROLS INC           COMMON STOCK  478366107          36639        1193447SH       SOLE   0          1193447
JOHNSON OUTDOORS INC A         COMMON STOCK  479167108            198           9953SH       SOLE   0             9953
JONES GROUP INC/THE            COMMON STOCK  48020T101           1594         144115SH       SOLE   0           144115
JONES LANG LASALLE INC         COMMON STOCK  48020Q107           6444          76768SH       SOLE   0            76768
JOS A BANK CLOTHIERS INC       COMMON STOCK  480838101           2079          48837SH       SOLE   0            48837
JOURNAL COMMUNICATIONS INC A   COMMON STOCK  481130102            383          70834SH       SOLE   0            70834
JOY GLOBAL INC                 COMMON STOCK  481165108          11841         185656SH       SOLE   0           185656
JPMORGAN CHASE + CO            COMMON STOCK  46625H100         293672        6678916SH       SOLE   0          6678916
JUNIPER NETWORKS INC           COMMON STOCK  48203R104          18276         929125SH       SOLE   0           929125
K SWISS INC A                  COMMON STOCK  482686102            156          46317SH       SOLE   0            46317
K12 INC                        COMMON STOCK  48273U102            957          46844SH       SOLE   0            46844
KADANT INC                     COMMON STOCK  48282T104            544          20524SH       SOLE   0            20524
KAISER ALUMINUM CORP           COMMON STOCK  483007704           2088          33840SH       SOLE   0            33840
KAMAN CORP                     COMMON STOCK  483548103           1704          46303SH       SOLE   0            46303
KANSAS CITY LIFE INS CO        COMMON STOCK  484836101            276           7224SH       SOLE   0             7224
KANSAS CITY SOUTHERN           COMMON STOCK  485170302          16109         192974SH       SOLE   0           192974
KAPSTONE PAPER AND PACKAGING   COMMON STOCK  48562P103           1573          70899SH       SOLE   0            70899
KAR AUCTION SERVICES INC       COMMON STOCK  48238T109           1032          50991SH       SOLE   0            50991
KAYAK SOFTWARE CORP            COMMON STOCK  486577109            242           6100SH       SOLE   0             6100
KAYDON CORP                    COMMON STOCK  486587108           1346          56261SH       SOLE   0            56261
KB HOME                        COMMON STOCK  48666K109           2139         135376SH       SOLE   0           135376
KBR INC                        COMMON STOCK  48242W106           7792         260434SH       SOLE   0           260434
KBW INC                        COMMON STOCK  482423100            932          60931SH       SOLE   0            60931
KCAP FINANCIAL INC             COMMON STOCK  48668E101            351          38216SH       SOLE   0            38216
KEARNY FINANCIAL CORP          COMMON STOCK  487169104            259          26559SH       SOLE   0            26559
KELLOGG CO                     COMMON STOCK  487836108          23681         424013SH       SOLE   0           424013
KELLY SERVICES INC  A          COMMON STOCK  488152208            740          46999SH       SOLE   0            46999
KEMET CORP                     COMMON STOCK  488360207            396          78751SH       SOLE   0            78751
KEMPER CORP                    COMMON STOCK  488401100           2550          86441SH       SOLE   0            86441
KENNAMETAL INC                 COMMON STOCK  489170100           5618         140451SH       SOLE   0           140451
KENNEDY WILSON HOLDINGS INC    COMMON STOCK  489398107           1059          75761SH       SOLE   0            75761
KERYX BIOPHARMACEUTICALS       COMMON STOCK  492515101            327         124950SH       SOLE   0           124950
KEY ENERGY SERVICES INC        COMMON STOCK  492914106           1842         264990SH       SOLE   0           264990
KEY TRONIC CORP                COMMON STOCK  493144109            188          18375SH       SOLE   0            18375
KEYCORP                        COMMON STOCK  493267108          14081        1672364SH       SOLE   0          1672364
KEYNOTE SYSTEMS INC            COMMON STOCK  493308100            388          27555SH       SOLE   0            27555
KEYW HOLDING CORP/THE          COMMON STOCK  493723100            554          43637SH       SOLE   0            43637
KFORCE INC                     COMMON STOCK  493732101            724          50531SH       SOLE   0            50531
KILROY REALTY CORP             REIT          49427F108           6205         130996SH       SOLE   0           130996
KIMBALL INTERNATIONAL B        COMMON STOCK  494274103            663          57142SH       SOLE   0            57142
KIMBERLY CLARK CORP            COMMON STOCK  494368103          58088         688000SH       SOLE   0           688000
KIMCO REALTY CORP              REIT          49446R109          13793         713946SH       SOLE   0           713946
KINDER MORGAN INC              COMMON STOCK  49456B101          30284         857172SH       SOLE   0           857172
KINDRED HEALTHCARE INC         COMMON STOCK  494580103           1004          92774SH       SOLE   0            92774
KIOR INC   CL A                COMMON STOCK  497217109            297          46336SH       SOLE   0            46336
KIRBY CORP                     COMMON STOCK  497266106           6068          98039SH       SOLE   0            98039
KIRKLAND S INC                 COMMON STOCK  497498105            253          23866SH       SOLE   0            23866
KITE REALTY GROUP TRUST        REIT          49803T102            643         114973SH       SOLE   0           114973
KLA TENCOR CORPORATION         COMMON STOCK  482480100          14023         293607SH       SOLE   0           293607
KMG CHEMICALS INC              COMMON STOCK  482564101            240          13651SH       SOLE   0            13651
KNIGHT CAPITAL GROUP INC A     COMMON STOCK  499005106           1119         318788SH       SOLE   0           318788
KNIGHT TRANSPORTATION INC      COMMON STOCK  499064103           1484         101437SH       SOLE   0           101437
KNOLL INC                      COMMON STOCK  498904200           1291          84067SH       SOLE   0            84067
KODIAK OIL + GAS CORP          COMMON STOCK  50015Q100           4092         462370SH       SOLE   0           462370
KOHLS CORP                     COMMON STOCK  500255104          17346         403583SH       SOLE   0           403583
KOPIN CORP                     COMMON STOCK  500600101            391         117290SH       SOLE   0           117290
KOPPERS HOLDINGS INC           COMMON STOCK  50060P106           1387          36369SH       SOLE   0            36369
KORN/FERRY INTERNATIONAL       COMMON STOCK  500643200           1330          83856SH       SOLE   0            83856
KOSMOS ENERGY LTD              COMMON STOCK  G5315B107           1530         123917SH       SOLE   0           123917
KRAFT FOODS GROUP INC          COMMON STOCK  50076Q106          47151        1036964SH       SOLE   0          1036964
KRATON PERFORMANCE POLYMERS    COMMON STOCK  50077C106           1360          56616SH       SOLE   0            56616
KRATOS DEFENSE + SECURITY      COMMON STOCK  50077B207            354          70366SH       SOLE   0            70366
KRISPY KREME DOUGHNUTS INC     COMMON STOCK  501014104            978         104303SH       SOLE   0           104303
KROGER CO                      COMMON STOCK  501044101          24086         925684SH       SOLE   0           925684
KRONOS WORLDWIDE INC           COMMON STOCK  50105F105            699          35834SH       SOLE   0            35834
KVH INDUSTRIES INC             COMMON STOCK  482738101            362          25899SH       SOLE   0            25899
KYTHERA BIOPHARMACEUTICALS I   COMMON STOCK  501570105            270           8900SH       SOLE   0             8900
L 3 COMMUNICATIONS HOLDINGS    COMMON STOCK  502424104          13094         170895SH       SOLE   0           170895
LA Z BOY INC                   COMMON STOCK  505336107           1285          90794SH       SOLE   0            90794
LABORATORY CRP OF AMER HLDGS   COMMON STOCK  50540R409          14709         169805SH       SOLE   0           169805
LACLEDE GROUP INC/THE          COMMON STOCK  505597104           1523          39448SH       SOLE   0            39448
LADENBURG THALMANN FINANCIAL   COMMON STOCK  50575Q102            253         180680SH       SOLE   0           180680
LAKELAND BANCORP INC           COMMON STOCK  511637100            529          51953SH       SOLE   0            51953
LAKELAND FINANCIAL CORP        COMMON STOCK  511656100            741          28662SH       SOLE   0            28662
LAM RESEARCH CORP              COMMON STOCK  512807108          10860         300590SH       SOLE   0           300590
LAMAR ADVERTISING CO A         COMMON STOCK  512815101           5235         135087SH       SOLE   0           135087
LANCASTER COLONY CORP          COMMON STOCK  513847103           2240          32376SH       SOLE   0            32376
LANDAUER INC                   COMMON STOCK  51476K103           1012          16540SH       SOLE   0            16540
LANDEC CORP                    COMMON STOCK  514766104            426          44838SH       SOLE   0            44838
LANDSTAR SYSTEM INC            COMMON STOCK  515098101           4324          82416SH       SOLE   0            82416
LANNETT CO INC                 COMMON STOCK  516012101            139          28039SH       SOLE   0            28039
LAREDO PETROLEUM HOLDINGS IN   COMMON STOCK  516806106            658          36219SH       SOLE   0            36219
LAS VEGAS SANDS CORP           COMMON STOCK  517834107          32185         697241SH       SOLE   0           697241
LASALLE HOTEL PROPERTIES       REIT          517942108           3815         150272SH       SOLE   0           150272
LATTICE SEMICONDUCTOR CORP     COMMON STOCK  518415104            826         206951SH       SOLE   0           206951
LAYNE CHRISTENSEN COMPANY      COMMON STOCK  521050104            845          34837SH       SOLE   0            34837
LAZARD LTD CL A                COMMON STOCK  G54050102           5985         200561SH       SOLE   0           200561
LEAP WIRELESS INTL INC         COMMON STOCK  521863308            628          94476SH       SOLE   0            94476
LEAPFROG ENTERPRISES INC       COMMON STOCK  52186N106            764          88537SH       SOLE   0            88537
LEAR CORP                      COMMON STOCK  521865204           8189         174835SH       SOLE   0           174835
LEGG MASON INC                 COMMON STOCK  524901105           5943         231056SH       SOLE   0           231056
LEGGETT + PLATT INC            COMMON STOCK  524660107           6695         245955SH       SOLE   0           245955
LENDER PROCESSING SERVICES     COMMON STOCK  52602E102           3650         148257SH       SOLE   0           148257
LENNAR CORP A                  COMMON STOCK  526057104          10978         283892SH       SOLE   0           283892
LENNOX INTERNATIONAL INC       COMMON STOCK  526107107           4696          89421SH       SOLE   0            89421
LEUCADIA NATIONAL CORP         COMMON STOCK  527288104           8238         346273SH       SOLE   0           346273
LEVEL 3 COMMUNICATIONS INC     COMMON STOCK  52729N308           6588         285089SH       SOLE   0           285089
LEXICON PHARMACEUTICALS INC    COMMON STOCK  528872104            824         370983SH       SOLE   0           370983
LEXINGTON REALTY TRUST         REIT          529043101           2423         231838SH       SOLE   0           231838
LEXMARK INTERNATIONAL INC A    COMMON STOCK  529771107           2628         113338SH       SOLE   0           113338
LHC GROUP INC                  COMMON STOCK  50187A107            554          26005SH       SOLE   0            26005
LIBBEY INC                     COMMON STOCK  529898108            697          36015SH       SOLE   0            36015
LIBERTY GLOBAL INC A           COMMON STOCK  530555101          28995         460309SH       SOLE   0           460309
LIBERTY INTERACTIVE CORP A     COMMON STOCK  53071M104          19290         980176SH       SOLE   0           980176
LIBERTY PROPERTY TRUST         REIT          531172104           6500         181714SH       SOLE   0           181714
LIBERTY VENTURES   SER A       COMMON STOCK  53071M880           4425          65298SH       SOLE   0            65298
LIFE TECHNOLOGIES CORP         COMMON STOCK  53217V109          15378         313318SH       SOLE   0           313318
LIFE TIME FITNESS INC          COMMON STOCK  53217R207           3699          75171SH       SOLE   0            75171
LIFELOCK INC                   COMMON STOCK  53224V100            258          31700SH       SOLE   0            31700
LIFEPOINT HOSPITALS INC        COMMON STOCK  53219L109           3229          85543SH       SOLE   0            85543
LIFETIME BRANDS INC            COMMON STOCK  53222Q103            180          16964SH       SOLE   0            16964
LIFEWAY FOODS INC              COMMON STOCK  531914109             71           8076SH       SOLE   0             8076
LIGAND PHARMACEUTICALS CL B    COMMON STOCK  53220K504            634          30587SH       SOLE   0            30587
LIMELIGHT NETWORKS INC         COMMON STOCK  53261M104            234         105539SH       SOLE   0           105539
LIMITED BRANDS INC             COMMON STOCK  532716107          19932         423550SH       SOLE   0           423550
LIMONEIRA CO                   COMMON STOCK  532746104            281          14492SH       SOLE   0            14492
LIN TV CORP CL A               COMMON STOCK  532774106            402          53417SH       SOLE   0            53417
LINCOLN EDUCATIONAL SERVICES   COMMON STOCK  533535100            223          39966SH       SOLE   0            39966
LINCOLN ELECTRIC HOLDINGS      COMMON STOCK  533900106           7148         146835SH       SOLE   0           146835
LINCOLN NATIONAL CORP          COMMON STOCK  534187109          12971         500805SH       SOLE   0           500805
LINDSAY CORP                   COMMON STOCK  535555106           1783          22257SH       SOLE   0            22257
LINEAR TECHNOLOGY CORP         COMMON STOCK  535678106          13854         403897SH       SOLE   0           403897
LINKEDIN CORP   A              COMMON STOCK  53578A108          12467         108578SH       SOLE   0           108578
LIONBRIDGE TECHNOLOGIES INC    COMMON STOCK  536252109            397          98790SH       SOLE   0            98790
LIONS GATE ENTERTAINMENT COR   COMMON STOCK  535919203           2441         148817SH       SOLE   0           148817
LIQUIDITY SERVICES INC         COMMON STOCK  53635B107           1688          41314SH       SOLE   0            41314
LITHIA MOTORS INC CL A         COMMON STOCK  536797103           1424          38060SH       SOLE   0            38060
LITTELFUSE INC                 COMMON STOCK  537008104           2348          38041SH       SOLE   0            38041
LIVE NATION ENTERTAINMENT IN   COMMON STOCK  538034109           2287         245678SH       SOLE   0           245678
LIVEPERSON INC                 COMMON STOCK  538146101           1269          96556SH       SOLE   0            96556
LKQ CORP                       COMMON STOCK  501889208          10916         517330SH       SOLE   0           517330
LMI AEROSPACE INC              COMMON STOCK  502079106            305          15779SH       SOLE   0            15779
LOCKHEED MARTIN CORP           COMMON STOCK  539830109          42210         457358SH       SOLE   0           457358
LOEWS CORP                     COMMON STOCK  540424108          22300         547230SH       SOLE   0           547230
LOGMEIN INC                    COMMON STOCK  54142L109            869          38761SH       SOLE   0            38761
LORAL SPACE + COMMUNICATIONS   COMMON STOCK  543881106           1056          19314SH       SOLE   0            19314
LOUISIANA PACIFIC CORP         COMMON STOCK  546347105           4661         241245SH       SOLE   0           241245
LOWE S COS INC                 COMMON STOCK  548661107          70092        1973321SH       SOLE   0          1973321
LPL FINANCIAL HOLDINGS INC     COMMON STOCK  50212V100           2494          88562SH       SOLE   0            88562
LSB INDUSTRIES INC             COMMON STOCK  502160104           1165          32899SH       SOLE   0            32899
LSI CORP                       COMMON STOCK  502161102           7067         998127SH       SOLE   0           998127
LSI INDUSTRIES INC             COMMON STOCK  50216C108            240          34238SH       SOLE   0            34238
LTC PROPERTIES INC             REIT          502175102           1878          53363SH       SOLE   0            53363
LTX CREDENCE CORP              COMMON STOCK  502403207            564          85973SH       SOLE   0            85973
LUBY S INC                     COMMON STOCK  549282101            235          35101SH       SOLE   0            35101
LUFKIN INDUSTRIES INC          COMMON STOCK  549764108           3425          58920SH       SOLE   0            58920
LUMBER LIQUIDATORS HOLDINGS    COMMON STOCK  55003T107           2550          48263SH       SOLE   0            48263
LUMINEX CORP                   COMMON STOCK  55027E102           1227          73190SH       SOLE   0            73190
LUMOS NETWORKS CORP            COMMON STOCK  550283105            267          26667SH       SOLE   0            26667
LYDALL INC                     COMMON STOCK  550819106            430          30018SH       SOLE   0            30018
LYONDELLBASELL INDU CL A       COMMON STOCK  N53745100          32173         563544SH       SOLE   0           563544
M + T BANK CORP                COMMON STOCK  55261F104          21870         222095SH       SOLE   0           222095
M/I HOMES INC                  COMMON STOCK  55305B101            995          37551SH       SOLE   0            37551
MA COM TECHNOLOGY SOLUTIONS    COMMON STOCK  55405Y100            160          10677SH       SOLE   0            10677
MAC GRAY CORP                  COMMON STOCK  554153106            263          20922SH       SOLE   0            20922
MACERICH CO/THE                REIT          554382101          13560         232588SH       SOLE   0           232588
MACK CALI REALTY CORP          REIT          554489104           4022         154044SH       SOLE   0           154044
MACY S INC                     COMMON STOCK  55616P104          28384         727412SH       SOLE   0           727412
MADISON SQUARE GARDEN CO A     COMMON STOCK  55826P100           4718         106383SH       SOLE   0           106383
MAGELLAN HEALTH SERVICES INC   COMMON STOCK  559079207           2351          47970SH       SOLE   0            47970
MAGICJACK VOCALTEC LTD         COMMON STOCK  M6787E101            453          24879SH       SOLE   0            24879
MAGNUM HUNTER RESOURCES CORP   COMMON STOCK  55973B102           1031         258470SH       SOLE   0           258470
MAIDEN HOLDINGS LTD            COMMON STOCK  G5753U112            809          87990SH       SOLE   0            87990
MAIDENFORM BRANDS INC          COMMON STOCK  560305104            805          41298SH       SOLE   0            41298
MAIN STREET CAPITAL CORP       COMMON STOCK  56035L104           1637          53657SH       SOLE   0            53657
MAINSOURCE FINANCIAL GROUP I   COMMON STOCK  56062Y102            450          35504SH       SOLE   0            35504
MAKO SURGICAL CORP             COMMON STOCK  560879108            890          69144SH       SOLE   0            69144
MANHATTAN ASSOCIATES INC       COMMON STOCK  562750109           2151          35653SH       SOLE   0            35653
MANITOWOC COMPANY INC          COMMON STOCK  563571108           3637         231949SH       SOLE   0           231949
MANNING + NAPIER INC           COMMON STOCK  56382Q102            300          23846SH       SOLE   0            23846
MANNKIND CORP                  COMMON STOCK  56400P201            457         197835SH       SOLE   0           197835
MANPOWER INC                   COMMON STOCK  56418H100           5972         140709SH       SOLE   0           140709
MANTECH INTERNATIONAL CORP A   COMMON STOCK  564563104           1051          40505SH       SOLE   0            40505
MAP PHARMACEUTICALS INC        COMMON STOCK  56509R108            776          49379SH       SOLE   0            49379
MARATHON OIL CORP              COMMON STOCK  565849106          37941        1237479SH       SOLE   0          1237479
MARATHON PETROLEUM CORP        COMMON STOCK  56585A102          37665         597855SH       SOLE   0           597855
MARCHEX INC CLASS B            COMMON STOCK  56624R108            163          39720SH       SOLE   0            39720
MARCUS CORPORATION             COMMON STOCK  566330106            429          34411SH       SOLE   0            34411
MARINE PRODUCTS CORP           COMMON STOCK  568427108            104          18153SH       SOLE   0            18153
MARINEMAX INC                  COMMON STOCK  567908108            320          35786SH       SOLE   0            35786
MARKEL CORP                    COMMON STOCK  570535104           7338          16930SH       SOLE   0            16930
MARKET LEADER INC              COMMON STOCK  57056R103            254          38716SH       SOLE   0            38716
MARKETAXESS HOLDINGS INC       COMMON STOCK  57060D108           2262          64072SH       SOLE   0            64072
MARLIN BUSINESS SERVICES INC   COMMON STOCK  571157106            288          14380SH       SOLE   0            14380
MARRIOTT INTERNATIONAL  CL A   COMMON STOCK  571903202          16623         446024SH       SOLE   0           446024
MARRIOTT VACATIONS WORLD       COMMON STOCK  57164Y107           1945          46672SH       SOLE   0            46672
MARSH + MCLENNAN COS           COMMON STOCK  571748102          33037         958428SH       SOLE   0           958428
MARTEN TRANSPORT LTD           COMMON STOCK  573075108            503          27334SH       SOLE   0            27334
MARTHA STEWART LIVING A        COMMON STOCK  573083102            119          48728SH       SOLE   0            48728
MARTIN MARIETTA MATERIALS      COMMON STOCK  573284106           7563          80223SH       SOLE   0            80223
MARVELL TECHNOLOGY GROUP LTD   COMMON STOCK  G5876H105           5588         769723SH       SOLE   0           769723
MASCO CORP                     COMMON STOCK  574599106          10439         626578SH       SOLE   0           626578
MASIMO CORPORATION             COMMON STOCK  574795100           1840          87600SH       SOLE   0            87600
MASTEC INC                     COMMON STOCK  576323109           2396          96104SH       SOLE   0            96104
MASTERCARD INC CLASS A         COMMON STOCK  57636Q104          93451         190219SH       SOLE   0           190219
MATADOR RESOURCES CO           COMMON STOCK  576485205            202          24691SH       SOLE   0            24691
MATERION CORP                  COMMON STOCK  576690101            924          35837SH       SOLE   0            35837
MATRIX SERVICE CO              COMMON STOCK  576853105            519          45163SH       SOLE   0            45163
MATSON INC                     COMMON STOCK  57686G105           1831          74084SH       SOLE   0            74084
MATTEL INC                     COMMON STOCK  577081102          21883         597557SH       SOLE   0           597557
MATTERSIGHT CORP               COMMON STOCK  577097108             89          17827SH       SOLE   0            17827
MATTHEWS INTL CORP CLASS A     COMMON STOCK  577128101           1587          49441SH       SOLE   0            49441
MATTRESS FIRM HOLDING CORP     COMMON STOCK  57722W106            474          19335SH       SOLE   0            19335
MATTSON TECHNOLOGY INC         COMMON STOCK  577223100             86         102571SH       SOLE   0           102571
MAXIM INTEGRATED PRODUCTS      COMMON STOCK  57772K101          15072         512642SH       SOLE   0           512642
MAXIMUS INC                    COMMON STOCK  577933104           3764          59543SH       SOLE   0            59543
MAXLINEAR INC CLASS A          COMMON STOCK  57776J100            195          38896SH       SOLE   0            38896
MAXWELL TECHNOLOGIES INC       COMMON STOCK  577767106            424          51090SH       SOLE   0            51090
MAXYGEN INC                    COMMON STOCK  577776107            120          48658SH       SOLE   0            48658
MB FINANCIAL INC               COMMON STOCK  55264U108           1894          95899SH       SOLE   0            95899
MBIA INC                       COMMON STOCK  55262C100           1949         248296SH       SOLE   0           248296
MCCLATCHY CO CLASS A           COMMON STOCK  579489105            332         101656SH       SOLE   0           101656
MCCORMICK + CO NON VTG SHRS    COMMON STOCK  579780206          14779         232636SH       SOLE   0           232636
MCDERMOTT INTL INC             COMMON STOCK  580037109           4554         413278SH       SOLE   0           413278
MCDONALD S CORP                COMMON STOCK  580135101         157280        1783017SH       SOLE   0          1783017
MCEWEN MINING INC              COMMON STOCK  58039P107           1457         380538SH       SOLE   0           380538
MCG CAPITAL CORP               COMMON STOCK  58047P107            588         127724SH       SOLE   0           127724
MCGRATH RENTCORP               COMMON STOCK  580589109           1261          43442SH       SOLE   0            43442
MCGRAW HILL COMPANIES INC      COMMON STOCK  580645109          26828         490729SH       SOLE   0           490729
MCKESSON CORP                  COMMON STOCK  58155Q103          40042         412978SH       SOLE   0           412978
MCMORAN EXPLORATION CO         COMMON STOCK  582411104           2858         178057SH       SOLE   0           178057
MDC HOLDINGS INC               COMMON STOCK  552676108           2465          67062SH       SOLE   0            67062
MDC PARTNERS INC A             COMMON STOCK  552697104            508          44930SH       SOLE   0            44930
MDU RESOURCES GROUP INC        COMMON STOCK  552690109           7037         331305SH       SOLE   0           331305
MEAD JOHNSON NUTRITION CO      COMMON STOCK  582839106          23574         357777SH       SOLE   0           357777
MEADOWBROOK INSURANCE GROUP    COMMON STOCK  58319P108            512          88642SH       SOLE   0            88642
MEADWESTVACO CORP              COMMON STOCK  583334107           9668         303362SH       SOLE   0           303362
MEASUREMENT SPECIALTIES INC    COMMON STOCK  583421102            912          26537SH       SOLE   0            26537
MEDALLION FINANCIAL CORP       COMMON STOCK  583928106            368          31348SH       SOLE   0            31348
MEDASSETS INC                  COMMON STOCK  584045108           1716         102298SH       SOLE   0           102298
MEDICAL PROPERTIES TRUST INC   REIT          58463J304           2845         237892SH       SOLE   0           237892
MEDICINES COMPANY              COMMON STOCK  584688105           2319          96730SH       SOLE   0            96730
MEDIDATA SOLUTIONS INC         COMMON STOCK  58471A105           1530          39039SH       SOLE   0            39039
MEDIFAST INC                   COMMON STOCK  58470H101            641          24296SH       SOLE   0            24296
MEDIVATION INC                 COMMON STOCK  58501N101           6506         127164SH       SOLE   0           127164
MEDLEY CAPITAL CORP            COMMON STOCK  58503F106            731          50237SH       SOLE   0            50237
MEDNAX INC                     COMMON STOCK  58502B106           6864          86320SH       SOLE   0            86320
MEDTRONIC INC                  COMMON STOCK  585055106          74646        1819754SH       SOLE   0          1819754
MEETME INC                     COMMON STOCK  585141104            113          32424SH       SOLE   0            32424
MEMC ELECTRONIC MATERIALS      COMMON STOCK  552715104           1300         405020SH       SOLE   0           405020
MEN S WEARHOUSE INC/THE        COMMON STOCK  587118100           2784          89352SH       SOLE   0            89352
MENTOR GRAPHICS CORP           COMMON STOCK  587200106           2781         163385SH       SOLE   0           163385
MERCANTILE BANK CORP           COMMON STOCK  587376104            249          15080SH       SOLE   0            15080
MERCHANTS BANCSHARES INC       COMMON STOCK  588448100            240           8959SH       SOLE   0             8959
MERCK + CO. INC.               COMMON STOCK  58933Y105         218478        5336547SH       SOLE   0          5336547
MERCURY GENERAL CORP           COMMON STOCK  589400100           1867          47028SH       SOLE   0            47028
MERCURY SYSTEMS INC            COMMON STOCK  589378108            500          54341SH       SOLE   0            54341
MEREDITH CORP                  COMMON STOCK  589433101           2190          63582SH       SOLE   0            63582
MERGE HEALTHCARE INC           COMMON STOCK  589499102            256         103544SH       SOLE   0           103544
MERIDIAN BIOSCIENCE INC        COMMON STOCK  589584101           1466          72404SH       SOLE   0            72404
MERIDIAN INTERSTATE BANCORP    COMMON STOCK  58964Q104            249          14847SH       SOLE   0            14847
MERIT MEDICAL SYSTEMS INC      COMMON STOCK  589889104           1026          73811SH       SOLE   0            73811
MERITAGE HOMES CORP            COMMON STOCK  59001A102           2006          53713SH       SOLE   0            53713
MERITOR INC                    COMMON STOCK  59001K100            801         169329SH       SOLE   0           169329
MERRIMACK PHARMACEUTICALS IN   COMMON STOCK  590328100            163          26687SH       SOLE   0            26687
MESA LABORATORIES INC          COMMON STOCK  59064R109            226           4502SH       SOLE   0             4502
MET PRO CORP                   COMMON STOCK  590876306            249          25707SH       SOLE   0            25707
METALICO INC                   COMMON STOCK  591176102            138          70343SH       SOLE   0            70343
METALS USA HOLDINGS CORP       COMMON STOCK  59132A104            358          20450SH       SOLE   0            20450
METHODE ELECTRONICS INC        COMMON STOCK  591520200            651          64935SH       SOLE   0            64935
METLIFE INC                    COMMON STOCK  59156R108          49165        1492551SH       SOLE   0          1492551
METRO BANCORP INC              COMMON STOCK  59161R101            328          24811SH       SOLE   0            24811
METROCORP BANCSHARES INC       COMMON STOCK  591650106            305          27750SH       SOLE   0            27750
METTLER TOLEDO INTERNATIONAL   COMMON STOCK  592688105          10667          55184SH       SOLE   0            55184
MFA FINANCIAL INC              REIT          55272X102           5079         626238SH       SOLE   0           626238
MGE ENERGY INC                 COMMON STOCK  55277P104           2064          40519SH       SOLE   0            40519
MGIC INVESTMENT CORP           COMMON STOCK  552848103            880         330716SH       SOLE   0           330716
MGM RESORTS INTERNATIONAL      COMMON STOCK  552953101           8118         697464SH       SOLE   0           697464
MICHAEL BAKER CORP             COMMON STOCK  057149106            378          15156SH       SOLE   0            15156
MICHAEL KORS HOLDINGS LTD      COMMON STOCK  G60754101           7590         148741SH       SOLE   0           148741
MICREL INC                     COMMON STOCK  594793101            809          85169SH       SOLE   0            85169
MICROCHIP TECHNOLOGY INC       COMMON STOCK  595017104          11070         339662SH       SOLE   0           339662
MICROFINANCIAL INC             COMMON STOCK  595072109            108          14845SH       SOLE   0            14845
MICRON TECHNOLOGY INC          COMMON STOCK  595112103          11026        1736320SH       SOLE   0          1736320
MICROS SYSTEMS INC             COMMON STOCK  594901100           5984         141000SH       SOLE   0           141000
MICROSEMI CORP                 COMMON STOCK  595137100           3280         155876SH       SOLE   0           155876
MICROSOFT CORP                 COMMON STOCK  594918104         353017       13206776SH       SOLE   0         13206776
MICROSTRATEGY INC CL A         COMMON STOCK  594972408           1393          14920SH       SOLE   0            14920
MID AMERICA APARTMENT COMM     REIT          59522J103           4652          71848SH       SOLE   0            71848
MIDDLEBURG FINANCIAL CORP      COMMON STOCK  596094102            166           9421SH       SOLE   0             9421
MIDDLEBY CORP                  COMMON STOCK  596278101           4208          32825SH       SOLE   0            32825
MIDDLESEX WATER CO             COMMON STOCK  596680108            540          27590SH       SOLE   0            27590
MIDSOUTH BANCORP INC           COMMON STOCK  598039105            239          14620SH       SOLE   0            14620
MIDSTATES PETROLEUM CO INC     COMMON STOCK  59804T100            290          42130SH       SOLE   0            42130
MIDWAY GOLD CORP               COMMON STOCK  598153104            312         224240SH       SOLE   0           224240
MIDWESTONE FINANCIAL GROUP I   COMMON STOCK  598511103            245          11951SH       SOLE   0            11951
MILLENNIAL MEDIA INC           COMMON STOCK  60040N105            251          20052SH       SOLE   0            20052
MILLER ENERGY RESOURCES INC    COMMON STOCK  600527105            215          54360SH       SOLE   0            54360
MILLER INDUSTRIES INC/TENN     COMMON STOCK  600551204            296          19438SH       SOLE   0            19438
MINDSPEED TECHNOLOGIES INC     COMMON STOCK  602682205            297          63405SH       SOLE   0            63405
MINE SAFETY APPLIANCES CO      COMMON STOCK  602720104           2066          48382SH       SOLE   0            48382
MINERALS TECHNOLOGIES INC      COMMON STOCK  603158106           2487          62296SH       SOLE   0            62296
MIPS TECHNOLOGIES INC          COMMON STOCK  604567107            656          83856SH       SOLE   0            83856
MISTRAS GROUP INC              COMMON STOCK  60649T107            677          27414SH       SOLE   0            27414
MITCHAM INDUSTRIES INC         COMMON STOCK  606501104            304          22273SH       SOLE   0            22273
MKS INSTRUMENTS INC            COMMON STOCK  55306N104           2376          92157SH       SOLE   0            92157
MODINE MANUFACTURING CO        COMMON STOCK  607828100            667          82001SH       SOLE   0            82001
MODUSLINK GLOBAL SOLUTIONS I   COMMON STOCK  60786L107            201          69211SH       SOLE   0            69211
MOHAWK INDUSTRIES INC          COMMON STOCK  608190104           9042          99946SH       SOLE   0            99946
MOLEX INC                      COMMON STOCK  608554101           6621         242255SH       SOLE   0           242255
MOLINA HEALTHCARE INC          COMMON STOCK  60855R100           1422          52536SH       SOLE   0            52536
MOLSON COORS BREWING CO  B     COMMON STOCK  60871R209           9615         224707SH       SOLE   0           224707
MOLYCORP INC                   COMMON STOCK  608753109           1204         127524SH       SOLE   0           127524
MOMENTA PHARMACEUTICALS INC    COMMON STOCK  60877T100            968          82208SH       SOLE   0            82208
MONARCH CASINO + RESORT INC    COMMON STOCK  609027107            168          15379SH       SOLE   0            15379
MONDELEZ INTERNATIONAL INC A   COMMON STOCK  609207105          79232        3110794SH       SOLE   0          3110794
MONEYGRAM INTERNATIONAL INC    COMMON STOCK  60935Y208            501          37678SH       SOLE   0            37678
MONMOUTH REIT CLASS A          REIT          609720107            731          70606SH       SOLE   0            70606
MONOLITHIC POWER SYSTEMS INC   COMMON STOCK  609839105           1193          53547SH       SOLE   0            53547
MONOTYPE IMAGING HOLDINGS IN   COMMON STOCK  61022P100           1026          64195SH       SOLE   0            64195
MONRO MUFFLER BRAKE INC        COMMON STOCK  610236101           1896          54231SH       SOLE   0            54231
MONSANTO CO                    COMMON STOCK  61166W101          88590         935975SH       SOLE   0           935975
MONSTER BEVERAGE CORP          COMMON STOCK  611740101          13373         252885SH       SOLE   0           252885
MONSTER WORLDWIDE INC          COMMON STOCK  611742107           1196         212775SH       SOLE   0           212775
MONTPELIER RE HOLDINGS LTD     COMMON STOCK  G62185106           2009          87875SH       SOLE   0            87875
MOODY S CORP                   COMMON STOCK  615369105          17320         344201SH       SOLE   0           344201
MOOG INC CLASS A               COMMON STOCK  615394202           3258          79409SH       SOLE   0            79409
MORGAN STANLEY                 COMMON STOCK  617446448          51686        2703246SH       SOLE   0          2703246
MORGANS HOTEL GROUP CO         COMMON STOCK  61748W108            215          38757SH       SOLE   0            38757
MORNINGSTAR INC                COMMON STOCK  617700109           2643          42066SH       SOLE   0            42066
MOSAIC CO/THE                  COMMON STOCK  61945C103          29466         520317SH       SOLE   0           520317
MOSYS INC                      COMMON STOCK  619718109            205          58996SH       SOLE   0            58996
MOTOROLA SOLUTIONS INC         COMMON STOCK  620076307          28530         512401SH       SOLE   0           512401
MOVADO GROUP INC               COMMON STOCK  624580106            946          30830SH       SOLE   0            30830
MOVE INC                       COMMON STOCK  62458M207            523          68875SH       SOLE   0            68875
MRC GLOBAL INC                 COMMON STOCK  55345K103           1107          39843SH       SOLE   0            39843
MSC INDUSTRIAL DIRECT CO A     COMMON STOCK  553530106           6027          79950SH       SOLE   0            79950
MSCI INC                       COMMON STOCK  55354G100           6609         213258SH       SOLE   0           213258
MTR GAMING GROUP INC           COMMON STOCK  553769100            165          39615SH       SOLE   0            39615
MTS SYSTEMS CORP               COMMON STOCK  553777103           1438          28231SH       SOLE   0            28231
MUELLER INDUSTRIES INC         COMMON STOCK  624756102           1742          34823SH       SOLE   0            34823
MUELLER WATER PRODUCTS INC A   COMMON STOCK  624758108           1542         274893SH       SOLE   0           274893
MULTI COLOR CORP               COMMON STOCK  625383104            568          23661SH       SOLE   0            23661
MULTI FINELINE ELECTRONIX IN   COMMON STOCK  62541B101            310          15351SH       SOLE   0            15351
MULTIMEDIA GAMES HOLDING CO    COMMON STOCK  625453105            706          47988SH       SOLE   0            47988
MURPHY OIL CORP                COMMON STOCK  626717102          20290         340718SH       SOLE   0           340718
MVC CAPITAL INC                COMMON STOCK  553829102            510          41944SH       SOLE   0            41944
MWI VETERINARY SUPPLY INC      COMMON STOCK  55402X105           2452          22289SH       SOLE   0            22289
MYERS INDUSTRIES INC           COMMON STOCK  628464109            890          58777SH       SOLE   0            58777
MYLAN INC                      COMMON STOCK  628530107          19568         712099SH       SOLE   0           712099
MYR GROUP INC/DELAWARE         COMMON STOCK  55405W104            801          35983SH       SOLE   0            35983
MYRIAD GENETICS INC            COMMON STOCK  62855J104           4058         148933SH       SOLE   0           148933
N B T BANCORP INC              COMMON STOCK  628778102           1181          58278SH       SOLE   0            58278
NABORS INDUSTRIES LTD          COMMON STOCK  G6359F103           7361         509387SH       SOLE   0           509387
NACCO INDUSTRIES CL A          COMMON STOCK  629579103            587           9678SH       SOLE   0             9678
NANOMETRICS INC                COMMON STOCK  630077105            594          41181SH       SOLE   0            41181
NASB FINANCIAL INC             COMMON STOCK  628968109            157           7341SH       SOLE   0             7341
NASDAQ OMX GROUP/THE           COMMON STOCK  631103108           5111         204375SH       SOLE   0           204375
NASH FINCH CO                  COMMON STOCK  631158102            457          21463SH       SOLE   0            21463
NATHAN S FAMOUS INC            COMMON STOCK  632347100            156           4638SH       SOLE   0             4638
NATIONAL AMERICAN UNIVERSITY   COMMON STOCK  63245Q105             68          17693SH       SOLE   0            17693
NATIONAL BANK HOLD CL A        COMMON STOCK  633707104            241          12700SH       SOLE   0            12700
NATIONAL BANKSHARES INC/VA     COMMON STOCK  634865109            395          12187SH       SOLE   0            12187
NATIONAL BEVERAGE CORP         COMMON STOCK  635017106            290          19844SH       SOLE   0            19844
NATIONAL CINEMEDIA INC         COMMON STOCK  635309107           1390          98402SH       SOLE   0            98402
NATIONAL FINANCIAL PARTNERS    COMMON STOCK  63607P208           1221          71257SH       SOLE   0            71257
NATIONAL FUEL GAS CO           COMMON STOCK  636180101           6446         127156SH       SOLE   0           127156
NATIONAL HEALTHCARE CORP       COMMON STOCK  635906100            870          18510SH       SOLE   0            18510
NATIONAL INSTRUMENTS CORP      COMMON STOCK  636518102           4226         163745SH       SOLE   0           163745
NATIONAL INTERSTATE CORP       COMMON STOCK  63654U100            316          10959SH       SOLE   0            10959
NATIONAL OILWELL VARCO INC     COMMON STOCK  637071101          51110         747771SH       SOLE   0           747771
NATIONAL PRESTO INDS INC       COMMON STOCK  637215104            586           8484SH       SOLE   0             8484
NATIONAL RESEARCH CORP         COMMON STOCK  637372103            237           4365SH       SOLE   0             4365
NATIONAL RETAIL PROPERTIES     REIT          637417106           5860         187815SH       SOLE   0           187815
NATIONSTAR MORTGAGE HOLDINGS   COMMON STOCK  63861C109           1042          33620SH       SOLE   0            33620
NATL HEALTH INVESTORS INC      REIT          63633D104           2426          42923SH       SOLE   0            42923
NATL PENN BCSHS INC            COMMON STOCK  637138108           2018         216514SH       SOLE   0           216514
NATL WESTERN LIFE INS CL A     COMMON STOCK  638522102            599           3799SH       SOLE   0             3799
NATURAL GAS SERVICES GROUP     COMMON STOCK  63886Q109            354          21580SH       SOLE   0            21580
NATURAL GROCERS BY VITAMIN C   COMMON STOCK  63888U108            239          12500SH       SOLE   0            12500
NATURES SUNSHINE PRODS INC     COMMON STOCK  639027101            288          19895SH       SOLE   0            19895
NATUS MEDICAL INC              COMMON STOCK  639050103            578          51712SH       SOLE   0            51712
NAVIDEA BIOPHARMACEUTICALS I   COMMON STOCK  63937X103            479         169355SH       SOLE   0           169355
NAVIGANT CONSULTING INC        COMMON STOCK  63935N107           1016          91005SH       SOLE   0            91005
NAVIGATORS GROUP INC           COMMON STOCK  638904102            895          17518SH       SOLE   0            17518
NAVISTAR INTERNATIONAL CORP    COMMON STOCK  63934E108           2710         124480SH       SOLE   0           124480
NCI BUILDING SYSTEMS INC       COMMON STOCK  628852204            441          31737SH       SOLE   0            31737
NCR CORPORATION                COMMON STOCK  62886E108           7099         278606SH       SOLE   0           278606
NEENAH PAPER INC               COMMON STOCK  640079109            790          27732SH       SOLE   0            27732
NEKTAR THERAPEUTICS            COMMON STOCK  640268108           1490         201134SH       SOLE   0           201134
NELNET INC CL A                COMMON STOCK  64031N108           1248          41901SH       SOLE   0            41901
NEOGEN CORP                    COMMON STOCK  640491106           1872          41300SH       SOLE   0            41300
NEONODE INC                    COMMON STOCK  64051M402            191          39397SH       SOLE   0            39397
NEOPHOTONICS CORP              COMMON STOCK  64051T100            197          34296SH       SOLE   0            34296
NETAPP INC                     COMMON STOCK  64110D104          21366         636839SH       SOLE   0           636839
NETFLIX INC                    COMMON STOCK  64110L106           9038          97410SH       SOLE   0            97410
NETGEAR INC                    COMMON STOCK  64111Q104           2625          66599SH       SOLE   0            66599
NETSCOUT SYSTEMS INC           COMMON STOCK  64115T104           1676          64471SH       SOLE   0            64471
NETSPEND HOLDINGS INC          COMMON STOCK  64118V106            587          49686SH       SOLE   0            49686
NETSUITE INC                   COMMON STOCK  64118Q107           3707          55088SH       SOLE   0            55088
NEUROCRINE BIOSCIENCES INC     COMMON STOCK  64125C109            870         116370SH       SOLE   0           116370
NEUSTAR INC CLASS A            COMMON STOCK  64126X201           4922         117386SH       SOLE   0           117386
NEUTRAL TANDEM INC             COMMON STOCK  64128B108            127          49251SH       SOLE   0            49251
NEW JERSEY RESOURCES CORP      COMMON STOCK  646025106           2890          72946SH       SOLE   0            72946
NEW MOUNTAIN FINANCE CORP      COMMON STOCK  647551100            505          33911SH       SOLE   0            33911
NEW YORK + CO                  COMMON STOCK  649295102            183          48085SH       SOLE   0            48085
NEW YORK COMMUNITY BANCORP     COMMON STOCK  649445103          10093         770489SH       SOLE   0           770489
NEW YORK MORTGAGE TRUST INC    REIT          649604501            550          86969SH       SOLE   0            86969
NEW YORK TIMES CO A            COMMON STOCK  650111107           2039         239003SH       SOLE   0           239003
NEWELL RUBBERMAID INC          COMMON STOCK  651229106          11328         508665SH       SOLE   0           508665
NEWFIELD EXPLORATION CO        COMMON STOCK  651290108           6333         236477SH       SOLE   0           236477
NEWLINK GENETICS CORP          COMMON STOCK  651511107            277          22186SH       SOLE   0            22186
NEWMARKET CORP                 COMMON STOCK  651587107           4020          15333SH       SOLE   0            15333
NEWMONT MINING CORP            COMMON STOCK  651639106          39971         860711SH       SOLE   0           860711
NEWPARK RESOURCES INC          COMMON STOCK  651718504           1238         157734SH       SOLE   0           157734
NEWPORT CORP                   COMMON STOCK  651824104            901          67009SH       SOLE   0            67009
NEWS CORP CL A                 COMMON STOCK  65248E104          93864        3675165SH       SOLE   0          3675165
NEWSTAR FINANCIAL INC          COMMON STOCK  65251F105            642          45827SH       SOLE   0            45827
NEXSTAR BROADCASTING GROUP A   COMMON STOCK  65336K103            211          19891SH       SOLE   0            19891
NEXTERA ENERGY INC             COMMON STOCK  65339F101          50630         731755SH       SOLE   0           731755
NGP CAPITAL RESOURCES CO       COMMON STOCK  62912R107            274          37900SH       SOLE   0            37900
NIC INC                        COMMON STOCK  62914B100           1848         113089SH       SOLE   0           113089
NICHOLAS FINANCIAL INC         COMMON STOCK  65373J209            217          17515SH       SOLE   0            17515
NIELSEN HOLDINGS NV            COMMON STOCK  N63218106           6524         213274SH       SOLE   0           213274
NII HOLDINGS INC               COMMON STOCK  62913F201           2149         301360SH       SOLE   0           301360
NIKE INC  CL B                 COMMON STOCK  654106103          65485        1269098SH       SOLE   0          1269098
NISOURCE INC                   COMMON STOCK  65473P105          13527         543458SH       SOLE   0           543458
NL INDUSTRIES                  COMMON STOCK  629156407            132          11558SH       SOLE   0            11558
NN INC                         COMMON STOCK  629337106            274          29909SH       SOLE   0            29909
NOBLE ENERGY INC               COMMON STOCK  655044105          31738         311954SH       SOLE   0           311954
NORANDA ALUMINUM HOLDING COR   COMMON STOCK  65542W107            357          58422SH       SOLE   0            58422
NORDIC AMERICAN TANKERS LTD    COMMON STOCK  G65773106            812          92806SH       SOLE   0            92806
NORDSON CORP                   COMMON STOCK  655663102           7119         112793SH       SOLE   0           112793
NORDSTROM INC                  COMMON STOCK  655664100          14759         275866SH       SOLE   0           275866
NORFOLK SOUTHERN CORP          COMMON STOCK  655844108          35348         571608SH       SOLE   0           571608
NORTEK INC                     COMMON STOCK  656559309            898          13548SH       SOLE   0            13548
NORTHEAST UTILITIES            COMMON STOCK  664397106          21503         550230SH       SOLE   0           550230
NORTHERN OIL AND GAS INC       COMMON STOCK  665531109           1874         111439SH       SOLE   0           111439
NORTHERN TRUST CORP            COMMON STOCK  665859104          18975         378289SH       SOLE   0           378289
NORTHFIELD BANCORP INC/NJ      COMMON STOCK  66611L105            393          25783SH       SOLE   0            25783
NORTHRIM BANCORP INC           COMMON STOCK  666762109            258          11380SH       SOLE   0            11380
NORTHROP GRUMMAN CORP          COMMON STOCK  666807102          29818         441226SH       SOLE   0           441226
NORTHSTAR REALTY FINANCE COR   REIT          66704R100           2021         287059SH       SOLE   0           287059
NORTHWEST BANCSHARES INC       COMMON STOCK  667340103           2078         171207SH       SOLE   0           171207
NORTHWEST NATURAL GAS CO       COMMON STOCK  667655104           2079          47039SH       SOLE   0            47039
NORTHWEST PIPE CO              COMMON STOCK  667746101            392          16420SH       SOLE   0            16420
NORTHWESTERN CORP              COMMON STOCK  668074305           2218          63859SH       SOLE   0            63859
NOVAVAX INC                    COMMON STOCK  670002104            430         227672SH       SOLE   0           227672
NPS PHARMACEUTICALS INC        COMMON STOCK  62936P103           1376         151191SH       SOLE   0           151191
NRG ENERGY INC                 COMMON STOCK  629377508          12975         564389SH       SOLE   0           564389
NTELOS HOLDINGS CORP           COMMON STOCK  67020Q305            341          26030SH       SOLE   0            26030
NU SKIN ENTERPRISES INC   A    COMMON STOCK  67018T105           3488          94148SH       SOLE   0            94148
NUANCE COMMUNICATIONS INC      COMMON STOCK  67020Y100           9462         423922SH       SOLE   0           423922
NUCOR CORP                     COMMON STOCK  670346105          24019         556249SH       SOLE   0           556249
NUMEREX CORP  CL A             COMMON STOCK  67053A102            231          17564SH       SOLE   0            17564
NUTRACEUTICAL INTL CORP        COMMON STOCK  67060Y101            252          15257SH       SOLE   0            15257
NUTRISYSTEM INC                COMMON STOCK  67069D108            408          49833SH       SOLE   0            49833
NUVASIVE INC                   COMMON STOCK  670704105           1171          75723SH       SOLE   0            75723
NV ENERGY INC                  COMMON STOCK  67073Y106           7512         414112SH       SOLE   0           414112
NVE CORP                       COMMON STOCK  629445206            471           8487SH       SOLE   0             8487
NVIDIA CORP                    COMMON STOCK  67066G104          13344        1085723SH       SOLE   0          1085723
NVR INC                        COMMON STOCK  62944T105           8182           8894SH       SOLE   0             8894
NXSTAGE MEDICAL INC            COMMON STOCK  67072V103           1022          90849SH       SOLE   0            90849
NYSE EURONEXT                  COMMON STOCK  629491101          14056         445671SH       SOLE   0           445671
O REILLY AUTOMOTIVE INC        COMMON STOCK  67103H107          18655         208624SH       SOLE   0           208624
OASIS PETROLEUM INC            COMMON STOCK  674215108           4457         140164SH       SOLE   0           140164
OBAGI MEDICAL PRODUCTS INC     COMMON STOCK  67423R108            415          30524SH       SOLE   0            30524
OCCIDENTAL PETROLEUM CORP      COMMON STOCK  674599105         109019        1423039SH       SOLE   0          1423039
OCEANEERING INTL INC           COMMON STOCK  675232102          10223         190053SH       SOLE   0           190053
OCEANFIRST FINANCIAL CORP      COMMON STOCK  675234108            347          25242SH       SOLE   0            25242
OCLARO INC                     COMMON STOCK  67555N206            201         128159SH       SOLE   0           128159
OCWEN FINANCIAL CORP           COMMON STOCK  675746309           6521         188525SH       SOLE   0           188525
OCZ TECHNOLOGY GROUP INC       COMMON STOCK  67086E303            226         118080SH       SOLE   0           118080
ODYSSEY MARINE EXPLORATION     COMMON STOCK  676118102            382         128465SH       SOLE   0           128465
OFFICE DEPOT INC               COMMON STOCK  676220106           1633         497982SH       SOLE   0           497982
OFFICEMAX INC                  COMMON STOCK  67622P101           1482         151882SH       SOLE   0           151882
OFS CAPITAL CORP               COMMON STOCK  67103B100            160          11700SH       SOLE   0            11700
OGE ENERGY CORP                COMMON STOCK  670837103           9739         172962SH       SOLE   0           172962
OIL DRI CORP OF AMERICA        COMMON STOCK  677864100            245           8889SH       SOLE   0             8889
OIL STATES INTERNATIONAL INC   COMMON STOCK  678026105           6868          95996SH       SOLE   0            95996
OLD DOMINION FREIGHT LINE      COMMON STOCK  679580100           4285         125006SH       SOLE   0           125006
OLD NATIONAL BANCORP           COMMON STOCK  680033107           2111         177811SH       SOLE   0           177811
OLD REPUBLIC INTL CORP         COMMON STOCK  680223104           4848         455233SH       SOLE   0           455233
OLIN CORP                      COMMON STOCK  680665205           3034         140529SH       SOLE   0           140529
OLYMPIC STEEL INC              COMMON STOCK  68162K106            354          15985SH       SOLE   0            15985
OM GROUP INC                   COMMON STOCK  670872100           1261          56786SH       SOLE   0            56786
OMEGA FLEX INC                 COMMON STOCK  682095104             59           4799SH       SOLE   0             4799
OMEGA HEALTHCARE INVESTORS     REIT          681936100           4688         196559SH       SOLE   0           196559
OMEGA PROTEIN CORP             COMMON STOCK  68210P107            211          34417SH       SOLE   0            34417
OMEROS CORP                    COMMON STOCK  682143102            235          45344SH       SOLE   0            45344
OMNIAMERICAN BANCORP INC       COMMON STOCK  68216R107            455          19662SH       SOLE   0            19662
OMNICARE INC                   COMMON STOCK  681904108           7155         198190SH       SOLE   0           198190
OMNICELL INC                   COMMON STOCK  68213N109            876          58897SH       SOLE   0            58897
OMNICOM GROUP                  COMMON STOCK  681919106          23899         478355SH       SOLE   0           478355
OMNIVISION TECHNOLOGIES INC    COMMON STOCK  682128103           1293          91828SH       SOLE   0            91828
OMNOVA SOLUTIONS INC           COMMON STOCK  682129101            568          81074SH       SOLE   0            81074
ON ASSIGNMENT INC              COMMON STOCK  682159108           1527          75310SH       SOLE   0            75310
ON SEMICONDUCTOR CORPORATION   COMMON STOCK  682189105           5617         796697SH       SOLE   0           796697
ONCOGENEX PHARMACEUTICAL INC   COMMON STOCK  68230A106            335          25503SH       SOLE   0            25503
ONCOTHYREON INC                COMMON STOCK  682324108            193         100281SH       SOLE   0           100281
ONE LIBERTY PROPERTIES INC     REIT          682406103            409          20162SH       SOLE   0            20162
ONEBEACON INSURANCE GROUP A    COMMON STOCK  G67742109            553          39779SH       SOLE   0            39779
ONEOK INC                      COMMON STOCK  682680103          15591         364698SH       SOLE   0           364698
ONYX PHARMACEUTICALS INC       COMMON STOCK  683399109           8530         112931SH       SOLE   0           112931
OPENTABLE INC                  COMMON STOCK  68372A104           1930          39550SH       SOLE   0            39550
OPKO HEALTH INC                COMMON STOCK  68375N103            902         187492SH       SOLE   0           187492
OPLINK COMMUNICATIONS INC      COMMON STOCK  68375Q403            521          33432SH       SOLE   0            33432
OPPENHEIMER HOLDINGS CL A      COMMON STOCK  683797104            312          18054SH       SOLE   0            18054
OPTIMER PHARMACEUTICALS INC    COMMON STOCK  68401H104            748          82603SH       SOLE   0            82603
ORACLE CORP                    COMMON STOCK  68389X105         223373        6703863SH       SOLE   0          6703863
ORASURE TECHNOLOGIES INC       COMMON STOCK  68554V108            683          95109SH       SOLE   0            95109
ORBCOMM INC                    COMMON STOCK  68555P100            246          62705SH       SOLE   0            62705
ORBITAL SCIENCES CORP          COMMON STOCK  685564106           1426         103539SH       SOLE   0           103539
ORBITZ WORLDWIDE INC           COMMON STOCK  68557K109            110          40327SH       SOLE   0            40327
ORCHARD SUPPLY HARDWARE CL A   COMMON STOCK  685691404             25           3372SH       SOLE   0             3372
ORCHIDS PAPER PRODUCTS CO      COMMON STOCK  68572N104            204          10113SH       SOLE   0            10113
OREXIGEN THERAPEUTICS INC      COMMON STOCK  686164104            673         127649SH       SOLE   0           127649
ORIENT EXPRESS HOTELS LTD  A   COMMON STOCK  G67743107           1986         169921SH       SOLE   0           169921
ORIENTAL FINANCIAL GROUP       COMMON STOCK  68618W100           1068          80013SH       SOLE   0            80013
ORION MARINE GROUP INC         COMMON STOCK  68628V308            348          47629SH       SOLE   0            47629
ORITANI FINANCIAL CORP         COMMON STOCK  68633D103           1222          79760SH       SOLE   0            79760
ORMAT TECHNOLOGIES INC         COMMON STOCK  686688102            600          31123SH       SOLE   0            31123
ORTHOFIX INTERNATIONAL NV      COMMON STOCK  N6748L102           1292          32839SH       SOLE   0            32839
OSHKOSH CORP                   COMMON STOCK  688239201           4769         160829SH       SOLE   0           160829
OSI SYSTEMS INC                COMMON STOCK  671044105           2231          34835SH       SOLE   0            34835
OSIRIS THERAPEUTICS INC        COMMON STOCK  68827R108            260          28909SH       SOLE   0            28909
OTTER TAIL CORP                COMMON STOCK  689648103           1585          63410SH       SOLE   0            63410
OUTDOOR CHANNEL HOLDINGS INC   COMMON STOCK  690027206            197          25912SH       SOLE   0            25912
OVERSTOCK.COM INC              COMMON STOCK  690370101            294          20512SH       SOLE   0            20512
OWENS + MINOR INC              COMMON STOCK  690732102           3177         111440SH       SOLE   0           111440
OWENS CORNING                  COMMON STOCK  690742101           7897         213478SH       SOLE   0           213478
OWENS ILLINOIS INC             COMMON STOCK  690768403           6155         289382SH       SOLE   0           289382
OXFORD INDUSTRIES INC          COMMON STOCK  691497309           1139          24563SH       SOLE   0            24563
P G + E CORP                   COMMON STOCK  69331C108          29772         740961SH       SOLE   0           740961
PACCAR INC                     COMMON STOCK  693718108          28294         625829SH       SOLE   0           625829
PACER INTERNATIONAL INC        COMMON STOCK  69373H106            240          61570SH       SOLE   0            61570
PACIFIC BIOSCIENCES OF CALIF   COMMON STOCK  69404D108            111          65091SH       SOLE   0            65091
PACIFIC CONTINENTAL CORP       COMMON STOCK  69412V108            310          31905SH       SOLE   0            31905
PACIFIC MERCANTILE BANCORP     COMMON STOCK  694552100            118          18716SH       SOLE   0            18716
PACIRA PHARMACEUTICALS INC     COMMON STOCK  695127100            565          32344SH       SOLE   0            32344
PACKAGING CORP OF AMERICA      COMMON STOCK  695156109           6617         171993SH       SOLE   0           171993
PACWEST BANCORP                COMMON STOCK  695263103           1319          53246SH       SOLE   0            53246
PAIN THERAPEUTICS INC          COMMON STOCK  69562K100            181          66676SH       SOLE   0            66676
PALL CORP                      COMMON STOCK  696429307          12242         203150SH       SOLE   0           203150
PALO ALTO NETWORKS INC         COMMON STOCK  697435105            669          12500SH       SOLE   0            12500
PALOMAR MEDICAL TECHNOLOGIES   COMMON STOCK  697529303            316          34288SH       SOLE   0            34288
PANDORA MEDIA INC              COMMON STOCK  698354107           1643         178991SH       SOLE   0           178991
PANERA BREAD COMPANY CLASS A   COMMON STOCK  69840W108           7894          49698SH       SOLE   0            49698
PANHANDLE OIL AND GAS INC A    COMMON STOCK  698477106            347          12285SH       SOLE   0            12285
PANTRY INC                     COMMON STOCK  698657103            498          41044SH       SOLE   0            41044
PAPA JOHN S INTL INC           COMMON STOCK  698813102           1727          31433SH       SOLE   0            31433
PARAMETRIC TECHNOLOGY CORP     COMMON STOCK  699173209           4724         209844SH       SOLE   0           209844
PARAMOUNT GOLD AND SILVER      COMMON STOCK  69924P102            532         229138SH       SOLE   0           229138
PAREXEL INTERNATIONAL CORP     COMMON STOCK  699462107           3109         105079SH       SOLE   0           105079
PARK ELECTROCHEMICAL CORP      COMMON STOCK  700416209            940          36533SH       SOLE   0            36533
PARK NATIONAL CORP             COMMON STOCK  700658107           1287          19921SH       SOLE   0            19921
PARK OHIO HOLDINGS CORP        COMMON STOCK  700666100            324          15195SH       SOLE   0            15195
PARK STERLING CORP             COMMON STOCK  70086Y105            409          78164SH       SOLE   0            78164
PARKER DRILLING CO             COMMON STOCK  701081101            949         206329SH       SOLE   0           206329
PARKER HANNIFIN CORP           COMMON STOCK  701094104          22544         265040SH       SOLE   0           265040
PARKERVISION INC               COMMON STOCK  701354102            270         133162SH       SOLE   0           133162
PARKWAY PROPERTIES INC         REIT          70159Q104            528          37728SH       SOLE   0            37728
PARTNERRE LTD                  COMMON STOCK  G6852T105           8649         107452SH       SOLE   0           107452
PATRICK INDUSTRIES INC         COMMON STOCK  703343103            108           6929SH       SOLE   0             6929
PATRIOT TRANSPORTATION HLDG    COMMON STOCK  70337B102            317          11145SH       SOLE   0            11145
PATTERSON COS INC              COMMON STOCK  703395103           5599         163567SH       SOLE   0           163567
PATTERSON UTI ENERGY INC       COMMON STOCK  703481101           5104         273947SH       SOLE   0           273947
PAYCHEX INC                    COMMON STOCK  704326107          17708         568671SH       SOLE   0           568671
PC CONNECTION INC              COMMON STOCK  69318J100            180          15635SH       SOLE   0            15635
PC TEL INC                     COMMON STOCK  69325Q105            233          32370SH       SOLE   0            32370
PDC ENERGY INC                 COMMON STOCK  69327R101           1744          52506SH       SOLE   0            52506
PDF SOLUTIONS INC              COMMON STOCK  693282105            583          42316SH       SOLE   0            42316
PDI INC                        COMMON STOCK  69329V100            134          17582SH       SOLE   0            17582
PDL BIOPHARMA INC              COMMON STOCK  69329Y104           1730         245444SH       SOLE   0           245444
PEABODY ENERGY CORP            COMMON STOCK  704549104          12717         477900SH       SOLE   0           477900
PEAPACK GLADSTONE FINL CORP    COMMON STOCK  704699107            219          15544SH       SOLE   0            15544
PEBBLEBROOK HOTEL TRUST        REIT          70509V100           2463         106640SH       SOLE   0           106640
PEGASYSTEMS INC                COMMON STOCK  705573103            685          30208SH       SOLE   0            30208
PENDRELL CORP                  COMMON STOCK  70686R104            345         271720SH       SOLE   0           271720
PENN NATIONAL GAMING INC       COMMON STOCK  707569109           5681         115669SH       SOLE   0           115669
PENN REAL ESTATE INVEST TST    REIT          709102107           1731          98133SH       SOLE   0            98133
PENN VIRGINIA CORP             COMMON STOCK  707882106            426          96654SH       SOLE   0            96654
PENNANTPARK INVESTMENT CORP    COMMON STOCK  708062104           1264         114930SH       SOLE   0           114930
PENNS WOODS BANCORP INC        COMMON STOCK  708430103            251           6703SH       SOLE   0             6703
PENNYMAC MORTGAGE INVESTMENT   REIT          70931T103           2614         103365SH       SOLE   0           103365
PENSKE AUTOMOTIVE GROUP INC    COMMON STOCK  70959W103           2240          74435SH       SOLE   0            74435
PENTAIR LTD REGISTERED         COMMON STOCK  H6169Q108          18119         368639SH       SOLE   0           368639
PEOPLE S UNITED FINANCIAL      COMMON STOCK  712704105           7126         589394SH       SOLE   0           589394
PEOPLES BANCORP INC            COMMON STOCK  709789101            383          18737SH       SOLE   0            18737
PEOPLES FEDERAL BANCSHARES I   COMMON STOCK  711037101            186          10715SH       SOLE   0            10715
PEP BOYS MANNY MOE + JACK      COMMON STOCK  713278109            912          92760SH       SOLE   0            92760
PEPCO HOLDINGS INC             COMMON STOCK  713291102           7854         400512SH       SOLE   0           400512
PEPSICO INC                    COMMON STOCK  713448108         187773        2744011SH       SOLE   0          2744011
PEREGRINE SEMICONDUCTOR CORP   COMMON STOCK  71366R703            170          11100SH       SOLE   0            11100
PERFICIENT INC                 COMMON STOCK  71375U101            661          56082SH       SOLE   0            56082
PERFORMANT FINANCIAL CORP      COMMON STOCK  71377E105            160          15800SH       SOLE   0            15800
PERFUMANIA HOLDINGS INC        COMMON STOCK  71376C100             44           8904SH       SOLE   0             8904
PERICOM SEMICONDUCTOR CORP     COMMON STOCK  713831105            333          41415SH       SOLE   0            41415
PERKINELMER INC                COMMON STOCK  714046109           6342         199805SH       SOLE   0           199805
PERNIX THERAPEUTICS HOLDINGS   COMMON STOCK  71426V108            124          15946SH       SOLE   0            15946
PERRIGO CO                     COMMON STOCK  714290103          17051         163908SH       SOLE   0           163908
PERRY ELLIS INTERNATIONAL      COMMON STOCK  288853104            415          20842SH       SOLE   0            20842
PERVASIVE SOFTWARE INC         COMMON STOCK  715710109            207          23198SH       SOLE   0            23198
PETMED EXPRESS INC             COMMON STOCK  716382106            396          35687SH       SOLE   0            35687
PETROQUEST ENERGY INC          COMMON STOCK  716748108            491          99235SH       SOLE   0            99235
PETSMART INC                   COMMON STOCK  716768106          12996         190165SH       SOLE   0           190165
PFIZER INC                     COMMON STOCK  717081103         329507       13138256SH       SOLE   0         13138256
PGT INC                        COMMON STOCK  69336V101            154          34267SH       SOLE   0            34267
PHARMACYCLICS INC              COMMON STOCK  716933106           5527          95456SH       SOLE   0            95456
PHARMERICA CORP                COMMON STOCK  71714F104            737          51783SH       SOLE   0            51783
PHH CORP                       COMMON STOCK  693320202           2261          99366SH       SOLE   0            99366
PHI INC NON VOTING             COMMON STOCK  69336T205            767          22891SH       SOLE   0            22891
PHILLIPS 66                    COMMON STOCK  718546104          58252        1097025SH       SOLE   0          1097025
PHOENIX COMPANIES INC          COMMON STOCK  71902E604            253          10230SH       SOLE   0            10230
PHOTOMEDEX INC                 COMMON STOCK  719358301            333          22958SH       SOLE   0            22958
PHOTRONICS INC                 COMMON STOCK  719405102            632         105959SH       SOLE   0           105959
PICO HOLDINGS INC              COMMON STOCK  693366205            810          39955SH       SOLE   0            39955
PIEDMONT NATURAL GAS CO        COMMON STOCK  720186105           3939         125816SH       SOLE   0           125816
PIEDMONT OFFICE REALTY TRU A   REIT          720190206           5470         303039SH       SOLE   0           303039
PIER 1 IMPORTS INC             COMMON STOCK  720279108           3408         170384SH       SOLE   0           170384
PIKE ELECTRIC CORP             COMMON STOCK  721283109            289          30229SH       SOLE   0            30229
PILGRIM S PRIDE CORP           COMMON STOCK  72147K108            767         105862SH       SOLE   0           105862
PINNACLE ENTERTAINMENT INC     COMMON STOCK  723456109           1636         103377SH       SOLE   0           103377
PINNACLE FINANCIAL PARTNERS    COMMON STOCK  72346Q104           1143          60683SH       SOLE   0            60683
PINNACLE WEST CAPITAL          COMMON STOCK  723484101           9792         192081SH       SOLE   0           192081
PIONEER ENERGY SERVICES CORP   COMMON STOCK  723664108            788         108526SH       SOLE   0           108526
PIONEER NATURAL RESOURCES CO   COMMON STOCK  723787107          23008         215856SH       SOLE   0           215856
PIPER JAFFRAY COS              COMMON STOCK  724078100            858          26712SH       SOLE   0            26712
PITNEY BOWES INC               COMMON STOCK  724479100           3173         298255SH       SOLE   0           298255
PLAINS EXPLORATION + PRODUCT   COMMON STOCK  726505100          10615         226150SH       SOLE   0           226150
PLANTRONICS INC                COMMON STOCK  727493108           2748          74539SH       SOLE   0            74539
PLATINUM UNDERWRITERS HLDGS    COMMON STOCK  G7127P100           2646          57524SH       SOLE   0            57524
PLEXUS CORP                    COMMON STOCK  729132100           1584          61376SH       SOLE   0            61376
PLUM CREEK TIMBER CO           REIT          729251108          12573         283378SH       SOLE   0           283378
PLX TECHNOLOGY INC             COMMON STOCK  693417107            285          78517SH       SOLE   0            78517
PMC   SIERRA INC               COMMON STOCK  69344F106           1906         365769SH       SOLE   0           365769
PMFG INC                       COMMON STOCK  69345P103            332          36473SH       SOLE   0            36473
PNC FINANCIAL SERVICES GROUP   COMMON STOCK  693475105          54100         927795SH       SOLE   0           927795
PNM RESOURCES INC              COMMON STOCK  69349H107           2866         139756SH       SOLE   0           139756
POLARIS INDUSTRIES INC         COMMON STOCK  731068102           9550         113487SH       SOLE   0           113487
POLYCOM INC                    COMMON STOCK  73172K104           3272         312791SH       SOLE   0           312791
POLYONE CORPORATION            COMMON STOCK  73179P106           3210         157198SH       SOLE   0           157198
POLYPORE INTERNATIONAL INC     COMMON STOCK  73179V103           3795          81615SH       SOLE   0            81615
POOL CORP                      COMMON STOCK  73278L105           3524          83282SH       SOLE   0            83282
POPULAR INC                    COMMON STOCK  733174700           3748         180297SH       SOLE   0           180297
PORTFOLIO RECOVERY ASSOCIATE   COMMON STOCK  73640Q105           3211          30051SH       SOLE   0            30051
PORTLAND GENERAL ELECTRIC CO   COMMON STOCK  736508847           3625         132495SH       SOLE   0           132495
POST HOLDINGS INC              COMMON STOCK  737446104           1575          45997SH       SOLE   0            45997
POST PROPERTIES INC            REIT          737464107           4741          94907SH       SOLE   0            94907
POTLATCH CORP                  REIT          737630103           2774          70779SH       SOLE   0            70779
POWELL INDUSTRIES INC          COMMON STOCK  739128106            650          15647SH       SOLE   0            15647
POWER INTEGRATIONS INC         COMMON STOCK  739276103           1673          49766SH       SOLE   0            49766
POWER ONE INC                  COMMON STOCK  73930R102            484         117742SH       SOLE   0           117742
POZEN INC                      COMMON STOCK  73941U102            234          46641SH       SOLE   0            46641
PPG INDUSTRIES INC             COMMON STOCK  693506107          36165         267193SH       SOLE   0           267193
PPL CORPORATION                COMMON STOCK  69351T106          29135        1017623SH       SOLE   0          1017623
PRAXAIR INC                    COMMON STOCK  74005P104          57360         524078SH       SOLE   0           524078
PRECISION CASTPARTS CORP       COMMON STOCK  740189105          48292         254949SH       SOLE   0           254949
PREFERRED BANK/LOS ANGELES     COMMON STOCK  740367404            293          20641SH       SOLE   0            20641
PREFORMED LINE PRODUCTS CO     COMMON STOCK  740444104            248           4170SH       SOLE   0             4170
PREMIER EXHIBITIONS INC        COMMON STOCK  74051E102            122          45115SH       SOLE   0            45115
PREMIERE GLOBAL SERVICES INC   COMMON STOCK  740585104            859          87825SH       SOLE   0            87825
PRESTIGE BRANDS HOLDINGS INC   COMMON STOCK  74112D101           1767          88242SH       SOLE   0            88242
PRGX GLOBAL INC                COMMON STOCK  69357C503            263          40847SH       SOLE   0            40847
PRICELINE.COM INC              COMMON STOCK  741503403          54262          87351SH       SOLE   0            87351
PRICESMART INC                 COMMON STOCK  741511109           2455          31863SH       SOLE   0            31863
PRIMERICA INC                  COMMON STOCK  74164M108           2334          77779SH       SOLE   0            77779
PRIMORIS SERVICES CORP         COMMON STOCK  74164F103            789          52476SH       SOLE   0            52476
PRIMUS TELECOMMUNICATIONS GR   COMMON STOCK  741929301            232          21376SH       SOLE   0            21376
PRINCIPAL FINANCIAL GROUP      COMMON STOCK  74251V102          15020         526635SH       SOLE   0           526635
PRIVATEBANCORP INC             COMMON STOCK  742962103           1624         105984SH       SOLE   0           105984
PROASSURANCE CORP              COMMON STOCK  74267C106           4556         107984SH       SOLE   0           107984
PROCERA NETWORKS INC           COMMON STOCK  74269U203            627          33799SH       SOLE   0            33799
PROCTER + GAMBLE CO/THE        COMMON STOCK  742718109         326389        4807613SH       SOLE   0          4807613
PROGENICS PHARMACEUTICALS      COMMON STOCK  743187106            217          72861SH       SOLE   0            72861
PROGRESS SOFTWARE CORP         COMMON STOCK  743312100           2314         110230SH       SOLE   0           110230
PROGRESSIVE CORP               COMMON STOCK  743315103          22625        1072273SH       SOLE   0          1072273
PROLOGIS INC                   REIT          74340W103          29476         807796SH       SOLE   0           807796
PROOFPOINT INC                 COMMON STOCK  743424103            137          11140SH       SOLE   0            11140
PROS HOLDINGS INC              COMMON STOCK  74346Y103            702          38363SH       SOLE   0            38363
PROSPECT CAPITAL CORP          COMMON STOCK  74348T102           3640         334821SH       SOLE   0           334821
PROSPERITY BANCSHARES INC      COMMON STOCK  743606105           3495          83208SH       SOLE   0            83208
PROTECTIVE LIFE CORP           COMMON STOCK  743674103           4063         142156SH       SOLE   0           142156
PROTO LABS INC                 COMMON STOCK  743713109            347           8812SH       SOLE   0             8812
PROVIDENCE SERVICE CORP        COMMON STOCK  743815102            388          22852SH       SOLE   0            22852
PROVIDENT FINANCIAL HLDGS      COMMON STOCK  743868101            299          17058SH       SOLE   0            17058
PROVIDENT FINANCIAL SERVICES   COMMON STOCK  74386T105           1576         105602SH       SOLE   0           105602
PROVIDENT NEW YORK BANCORP     COMMON STOCK  744028101            645          69294SH       SOLE   0            69294
PRUDENTIAL FINANCIAL INC       COMMON STOCK  744320102          43708         819571SH       SOLE   0           819571
PS BUSINESS PARKS INC/CA       REIT          69360J107           2098          32283SH       SOLE   0            32283
PSS WORLD MEDICAL INC          COMMON STOCK  69366A100           2556          88489SH       SOLE   0            88489
PUBLIC SERVICE ENTERPRISE GP   COMMON STOCK  744573106          27160         887575SH       SOLE   0           887575
PUBLIC STORAGE                 REIT          74460D109          36283         250294SH       SOLE   0           250294
PULTEGROUP INC                 COMMON STOCK  745867101          10903         600403SH       SOLE   0           600403
PVH CORP                       COMMON STOCK  693656100          13702         123427SH       SOLE   0           123427
PZENA INVESTMENT MANAGM CL A   COMMON STOCK  74731Q103             93          17154SH       SOLE   0            17154
QAD INC A                      COMMON STOCK  74727D306            158          10997SH       SOLE   0            10997
QEP RESOURCES INC              COMMON STOCK  74733V100           9474         312998SH       SOLE   0           312998
QIAGEN N.V.                    COMMON STOCK  N72482107           7500         413228SH       SOLE   0           413228
QLIK TECHNOLOGIES INC          COMMON STOCK  74733T105           3253         149780SH       SOLE   0           149780
QLOGIC CORP                    COMMON STOCK  747277101           1664         170992SH       SOLE   0           170992
QUAD GRAPHICS INC              COMMON STOCK  747301109            901          44198SH       SOLE   0            44198
QUAKER CHEMICAL CORP           COMMON STOCK  747316107           1222          22683SH       SOLE   0            22683
QUALCOMM INC                   COMMON STOCK  747525103         186543        3007786SH       SOLE   0          3007786
QUALITY DISTRIBUTION INC       COMMON STOCK  74756M102            225          37513SH       SOLE   0            37513
QUALITY SYSTEMS INC            COMMON STOCK  747582104           1205          69385SH       SOLE   0            69385
QUALYS INC                     COMMON STOCK  74758T303            226          15300SH       SOLE   0            15300
QUANEX BUILDING PRODUCTS       COMMON STOCK  747619104           1317          64551SH       SOLE   0            64551
QUANTA SERVICES INC            COMMON STOCK  74762E102          10006         366671SH       SOLE   0           366671
QUANTUM CORP                   COMMON STOCK  747906204            510         411095SH       SOLE   0           411095
QUEST DIAGNOSTICS INC          COMMON STOCK  74834L100          16221         278371SH       SOLE   0           278371
QUESTAR CORP                   COMMON STOCK  748356102           6178         312651SH       SOLE   0           312651
QUESTCOR PHARMACEUTICALS       COMMON STOCK  74835Y101           2520          94300SH       SOLE   0            94300
QUICKLOGIC CORP                COMMON STOCK  74837P108            168          77273SH       SOLE   0            77273
QUICKSILVER RESOURCES INC      COMMON STOCK  74837R104            589         206076SH       SOLE   0           206076
QUIDEL CORP                    COMMON STOCK  74838J101            923          49425SH       SOLE   0            49425
QUIKSILVER INC                 COMMON STOCK  74838C106            973         229019SH       SOLE   0           229019
QUINSTREET INC                 COMMON STOCK  74874Q100            385          57305SH       SOLE   0            57305
RACKSPACE HOSTING INC          COMMON STOCK  750086100          14211         191337SH       SOLE   0           191337
RADIAN GROUP INC               COMMON STOCK  750236101           1429         233847SH       SOLE   0           233847
RADIOSHACK CORP                COMMON STOCK  750438103            370         174448SH       SOLE   0           174448
RADISYS CORP                   COMMON STOCK  750459109            120          40123SH       SOLE   0            40123
RAIT FINANCIAL TRUST           REIT          749227609            495          87557SH       SOLE   0            87557
RALCORP HOLDINGS INC           COMMON STOCK  751028101           8685          96877SH       SOLE   0            96877
RALPH LAUREN CORP              COMMON STOCK  751212101          16218         108178SH       SOLE   0           108178
RAMBUS INC                     COMMON STOCK  750917106            945         193737SH       SOLE   0           193737
RAMCO GERSHENSON PROPERTIES    REIT          751452202           1073          80641SH       SOLE   0            80641
RAND LOGISTICS INC             COMMON STOCK  752182105            201          30965SH       SOLE   0            30965
RANGE RESOURCES CORP           COMMON STOCK  75281A109          17881         284589SH       SOLE   0           284589
RAPTOR PHARMACEUTICAL CORP     COMMON STOCK  75382F106            531          90805SH       SOLE   0            90805
RAVEN INDUSTRIES INC           COMMON STOCK  754212108           1678          63644SH       SOLE   0            63644
RAYMOND JAMES FINANCIAL INC    COMMON STOCK  754730109           7686         199486SH       SOLE   0           199486
RAYONIER INC                   REIT          754907103          11135         214845SH       SOLE   0           214845
RAYTHEON COMPANY               COMMON STOCK  755111507          33664         584851SH       SOLE   0           584851
RBC BEARINGS INC               COMMON STOCK  75524B104           1951          38965SH       SOLE   0            38965
REACHLOCAL INC                 COMMON STOCK  75525F104            230          17777SH       SOLE   0            17777
READING INTERNATIONAL INC A    COMMON STOCK  755408101            177          29375SH       SOLE   0            29375
REALD INC                      COMMON STOCK  75604L105            814          72643SH       SOLE   0            72643
REALNETWORKS INC               COMMON STOCK  75605L708            290          38395SH       SOLE   0            38395
REALOGY HOLDINGS CORP          COMMON STOCK  75605Y106           3617          86200SH       SOLE   0            86200
REALPAGE INC                   COMMON STOCK  75606N109           1357          62890SH       SOLE   0            62890
REALTY INCOME CORP             REIT          756109104           9411         234050SH       SOLE   0           234050
RED HAT INC                    COMMON STOCK  756577102          17922         338408SH       SOLE   0           338408
RED LION HOTELS CORP           COMMON STOCK  756764106            191          24147SH       SOLE   0            24147
RED ROBIN GOURMET BURGERS      COMMON STOCK  75689M101            909          25764SH       SOLE   0            25764
REDWOOD TRUST INC              REIT          758075402           2343         138707SH       SOLE   0           138707
REGAL BELOIT CORP              COMMON STOCK  758750103           5174          73415SH       SOLE   0            73415
REGAL ENTERTAINMENT GROUP A    COMMON STOCK  758766109           1997         143129SH       SOLE   0           143129
REGENCY CENTERS CORP           REIT          758849103           7435         157792SH       SOLE   0           157792
REGENERON PHARMACEUTICALS      COMMON STOCK  75886F107          23192         135568SH       SOLE   0           135568
REGIONAL MANAGEMENT CORP       COMMON STOCK  75902K106            140           8475SH       SOLE   0             8475
REGIONS FINANCIAL CORP         COMMON STOCK  7591EP100          17644        2478136SH       SOLE   0          2478136
REGIS CORP                     COMMON STOCK  758932107           1708         100949SH       SOLE   0           100949
REGULUS THERAPEUTICS INC       COMMON STOCK  75915K101            143          22700SH       SOLE   0            22700
REINSURANCE GROUP OF AMERICA   COMMON STOCK  759351604           6921         129311SH       SOLE   0           129311
RELIANCE STEEL + ALUMINUM      COMMON STOCK  759509102           8188         131856SH       SOLE   0           131856
RENAISSANCERE HOLDINGS LTD     COMMON STOCK  G7496G103           6863          84462SH       SOLE   0            84462
RENASANT CORP                  COMMON STOCK  75970E107            842          44002SH       SOLE   0            44002
RENEWABLE ENERGY GROUP INC     COMMON STOCK  75972A301             74          12626SH       SOLE   0            12626
RENT A CENTER INC              COMMON STOCK  76009N100           3582         104236SH       SOLE   0           104236
RENTECH INC                    COMMON STOCK  760112102           1054         400753SH       SOLE   0           400753
RENTRAK CORP                   COMMON STOCK  760174102            320          16402SH       SOLE   0            16402
REPLIGEN CORP                  COMMON STOCK  759916109            341          54140SH       SOLE   0            54140
REPROS THERAPEUTICS INC        COMMON STOCK  76028H209            469          29804SH       SOLE   0            29804
REPUBLIC AIRWAYS HOLDINGS IN   COMMON STOCK  760276105            482          84930SH       SOLE   0            84930
REPUBLIC BANCORP INC CLASS A   COMMON STOCK  760281204            370          17502SH       SOLE   0            17502
REPUBLIC SERVICES INC          COMMON STOCK  760759100          15604         532001SH       SOLE   0           532001
RESMED INC                     COMMON STOCK  761152107          10414         250506SH       SOLE   0           250506
RESOLUTE ENERGY CORP           COMMON STOCK  76116A108            688          84642SH       SOLE   0            84642
RESOLUTE FOREST PRODUCTS       COMMON STOCK  76117W109           1882         142152SH       SOLE   0           142152
RESOURCE AMERICA INC CL A      COMMON STOCK  761195205            141          21120SH       SOLE   0            21120
RESOURCE CAPITAL CORP          REIT          76120W302            978         174584SH       SOLE   0           174584
RESOURCES CONNECTION INC       COMMON STOCK  76122Q105            890          74520SH       SOLE   0            74520
RESPONSYS INC                  COMMON STOCK  761248103            374          62711SH       SOLE   0            62711
RESTORATION HARDWARE HOLDING   COMMON STOCK  761283100            327           9700SH       SOLE   0             9700
RETAIL OPPORTUNITY INVESTMEN   REIT          76131N101           1194          92845SH       SOLE   0            92845
RETAIL PROPERTIES OF AME   A   REIT          76131V202           1787         149276SH       SOLE   0           149276
REVETT MINERALS INC            COMMON STOCK  761505205            126          44685SH       SOLE   0            44685
REVLON INC CLASS A             COMMON STOCK  761525609            288          19866SH       SOLE   0            19866
REX AMERICAN RESOURCES CORP    COMMON STOCK  761624105            193           9996SH       SOLE   0             9996
REX ENERGY CORP                COMMON STOCK  761565100            985          75691SH       SOLE   0            75691
REXNORD CORP                   COMMON STOCK  76169B102           1076          50516SH       SOLE   0            50516
RF MICRO DEVICES INC           COMMON STOCK  749941100           2186         488050SH       SOLE   0           488050
RICHARDSON ELEC LTD            COMMON STOCK  763165107            256          22592SH       SOLE   0            22592
RIGEL PHARMACEUTICALS INC      COMMON STOCK  766559603            972         149604SH       SOLE   0           149604
RIGNET INC                     COMMON STOCK  766582100            443          21662SH       SOLE   0            21662
RITE AID CORP                  COMMON STOCK  767754104           1575        1157818SH       SOLE   0          1157818
RIVERBED TECHNOLOGY INC        COMMON STOCK  768573107           5629     285442.204SH       SOLE   0       285442.204
RLI CORP                       COMMON STOCK  749607107           2408          37240SH       SOLE   0            37240
ROADRUNNER TRANSPORTATION SY   COMMON STOCK  76973Q105            454          25054SH       SOLE   0            25054
ROBBINS + MYERS INC            COMMON STOCK  770196103           4015          67536SH       SOLE   0            67536
ROBERT HALF INTL INC           COMMON STOCK  770323103           7983         250883SH       SOLE   0           250883
ROCHESTER MEDICAL CORP         COMMON STOCK  771497104            188          18616SH       SOLE   0            18616
ROCK TENN COMPANY  CL A        COMMON STOCK  772739207           8671         124038SH       SOLE   0           124038
ROCKVILLE FINANCIAL INC        COMMON STOCK  774188106            647          50126SH       SOLE   0            50126
ROCKWELL AUTOMATION INC        COMMON STOCK  773903109          21031         250403SH       SOLE   0           250403
ROCKWELL COLLINS INC           COMMON STOCK  774341101          14805         254511SH       SOLE   0           254511
ROCKWELL MEDICAL INC           COMMON STOCK  774374102            295          36615SH       SOLE   0            36615
ROCKWOOD HOLDINGS INC          COMMON STOCK  774415103           5959         120488SH       SOLE   0           120488
ROFIN SINAR TECHNOLOGIES INC   COMMON STOCK  775043102           1087          50132SH       SOLE   0            50132
ROGERS CORP                    COMMON STOCK  775133101           1419          28571SH       SOLE   0            28571
ROLLINS INC                    COMMON STOCK  775711104           2470         112081SH       SOLE   0           112081
ROMA FINANCIAL CORP            COMMON STOCK  77581P109            195          12867SH       SOLE   0            12867
ROPER INDUSTRIES INC           COMMON STOCK  776696106          19052         170900SH       SOLE   0           170900
ROSETTA RESOURCES INC          COMMON STOCK  777779307           4208          92771SH       SOLE   0            92771
ROSETTA STONE INC              COMMON STOCK  777780107            231          18748SH       SOLE   0            18748
ROSS STORES INC                COMMON STOCK  778296103          21523         397474SH       SOLE   0           397474
ROUNDY S INC                   COMMON STOCK  779268101            156          35082SH       SOLE   0            35082
ROUSE PROPERTIES INC           REIT          779287101            658          38901SH       SOLE   0            38901
ROVI CORP                      COMMON STOCK  779376102           2801         181522SH       SOLE   0           181522
ROWAN COMPANIES PLC A          COMMON STOCK  G7665A101           6813         217869SH       SOLE   0           217869
ROYAL CARIBBEAN CRUISES LTD    COMMON STOCK  V7780T103           9031         265612SH       SOLE   0           265612
ROYAL GOLD INC                 COMMON STOCK  780287108           9139         112399SH       SOLE   0           112399
RPC INC                        COMMON STOCK  749660106           1320         107866SH       SOLE   0           107866
RPM INTERNATIONAL INC          COMMON STOCK  749685103           6776         230804SH       SOLE   0           230804
RPX CORP                       COMMON STOCK  74972G103            336          37146SH       SOLE   0            37146
RR DONNELLEY + SONS CO         COMMON STOCK  257867101           2847         316365SH       SOLE   0           316365
RTI BIOLOGICS INC              COMMON STOCK  74975N105            418          97965SH       SOLE   0            97965
RTI INTERNATIONAL METALS INC   COMMON STOCK  74973W107           1465          53170SH       SOLE   0            53170
RUBICON TECHNOLOGY INC         COMMON STOCK  78112T107            183          29892SH       SOLE   0            29892
RUBY TUESDAY INC               COMMON STOCK  781182100            880         111905SH       SOLE   0           111905
RUCKUS WIRELESS INC            COMMON STOCK  781220108            331          14700SH       SOLE   0            14700
RUDOLPH TECHNOLOGIES INC       COMMON STOCK  781270103            758          56389SH       SOLE   0            56389
RUE21 INC                      COMMON STOCK  781295100            771          27169SH       SOLE   0            27169
RUSH ENTERPRISES INC CL A      COMMON STOCK  781846209           1206          58329SH       SOLE   0            58329
RUTH S HOSPITALITY GROUP INC   COMMON STOCK  783332109            449          61778SH       SOLE   0            61778
RYDER SYSTEM INC               COMMON STOCK  783549108           4493          89992SH       SOLE   0            89992
RYLAND GROUP INC/THE           COMMON STOCK  783764103           2856          78245SH       SOLE   0            78245
RYMAN HOSPITALITY PROPERTIES   REIT          78377T107           2220          57731SH       SOLE   0            57731
S + T BANCORP INC              COMMON STOCK  783859101            916          50710SH       SOLE   0            50710
S.Y. BANCORP INC               COMMON STOCK  785060104            477          21268SH       SOLE   0            21268
SABA SOFTWARE INC              COMMON STOCK  784932600            457          52259SH       SOLE   0            52259
SABRA HEALTH CARE REIT INC     REIT          78573L106           1411          64963SH       SOLE   0            64963
SAFEGUARD SCIENTIFICS INC      COMMON STOCK  786449207            538          36478SH       SOLE   0            36478
SAFETY INSURANCE GROUP INC     COMMON STOCK  78648T100           1026          22220SH       SOLE   0            22220
SAFEWAY INC                    COMMON STOCK  786514208           7631         421821SH       SOLE   0           421821
SAGA COMMUNICATIONS INC CL A   COMMON STOCK  786598300            285           6122SH       SOLE   0             6122
SAGENT PHARMACEUTICALS INC     COMMON STOCK  786692103            265          16448SH       SOLE   0            16448
SAIA INC                       COMMON STOCK  78709Y105            649          28086SH       SOLE   0            28086
SAIC INC                       COMMON STOCK  78390X101           5641         498304SH       SOLE   0           498304
SAKS INC                       COMMON STOCK  79377W108           2026         192778SH       SOLE   0           192778
SALEM COMMUNICATIONS  CL A     COMMON STOCK  794093104             97          17750SH       SOLE   0            17750
SALESFORCE.COM INC             COMMON STOCK  79466L302          40908         243356SH       SOLE   0           243356
SALIX PHARMACEUTICALS LTD      COMMON STOCK  795435106           4122         101833SH       SOLE   0           101833
SALLY BEAUTY HOLDINGS INC      COMMON STOCK  79546E104           6404         271715SH       SOLE   0           271715
SANCHEZ ENERGY CORP            COMMON STOCK  79970Y105            366          20348SH       SOLE   0            20348
SANDERSON FARMS INC            COMMON STOCK  800013104           1914          40261SH       SOLE   0            40261
SANDISK CORP                   COMMON STOCK  80004C101          18622         427508SH       SOLE   0           427508
SANDRIDGE ENERGY INC           COMMON STOCK  80007P307           5453         858718SH       SOLE   0           858718
SANDY SPRING BANCORP INC       COMMON STOCK  800363103            823          42355SH       SOLE   0            42355
SANGAMO BIOSCIENCES INC        COMMON STOCK  800677106            554          92224SH       SOLE   0            92224
SANMINA CORP                   COMMON STOCK  801056102           1583         143030SH       SOLE   0           143030
SANTARUS INC                   COMMON STOCK  802817304           1054          96022SH       SOLE   0            96022
SAPIENS INTERNATIONAL CORP     COMMON STOCK  N7716A151             96          23936SH       SOLE   0            23936
SAPIENT CORPORATION            COMMON STOCK  803062108           2282         216108SH       SOLE   0           216108
SARATOGA RESOURCES INC/TEXAS   COMMON STOCK  803521103            126          35699SH       SOLE   0            35699
SAUER DANFOSS INC              COMMON STOCK  804137107           1094          20495SH       SOLE   0            20495
SAUL CENTERS INC               REIT          804395101            566          13227SH       SOLE   0            13227
SBA COMMUNICATIONS CORP CL A   COMMON STOCK  78388J106          15115         212825SH       SOLE   0           212825
SCANA CORP                     COMMON STOCK  80589M102           9382         205567SH       SOLE   0           205567
SCANSOURCE INC                 COMMON STOCK  806037107           1536          48341SH       SOLE   0            48341
SCBT FINANCIAL CORP            COMMON STOCK  78401V102           1167          29047SH       SOLE   0            29047
SCHAWK INC                     COMMON STOCK  806373106            274          20803SH       SOLE   0            20803
SCHLUMBERGER LTD               COMMON STOCK  806857108         162122        2339761SH       SOLE   0          2339761
SCHNITZER STEEL INDS INC A     COMMON STOCK  806882106           1345          44333SH       SOLE   0            44333
SCHOLASTIC CORP                COMMON STOCK  807066105           1346          45521SH       SOLE   0            45521
SCHULMAN (A.) INC              COMMON STOCK  808194104           1498          51783SH       SOLE   0            51783
SCHWAB (CHARLES) CORP          COMMON STOCK  808513105          27071        1885134SH       SOLE   0          1885134
SCHWEITZER MAUDUIT INTL INC    COMMON STOCK  808541106           2138          54790SH       SOLE   0            54790
SCICLONE PHARMACEUTICALS INC   COMMON STOCK  80862K104            430          99692SH       SOLE   0            99692
SCIENTIFIC GAMES CORP A        COMMON STOCK  80874P109            792          91363SH       SOLE   0            91363
SCIQUEST INC                   COMMON STOCK  80908T101            496          31295SH       SOLE   0            31295
SCORPIO TANKERS INC            COMMON STOCK  Y7542C106            703          98908SH       SOLE   0            98908
SCOTTS MIRACLE GRO CO CL A     COMMON STOCK  810186106           3248          73733SH       SOLE   0            73733
SCRIPPS NETWORKS INTER CL A    COMMON STOCK  811065101           8632         149027SH       SOLE   0           149027
SEABOARD CORP                  COMMON STOCK  811543107           1374            543SH       SOLE   0              543
SEABRIGHT HOLDINGS INC         COMMON STOCK  811656107            384          34723SH       SOLE   0            34723
SEACHANGE INTERNATIONAL INC    COMMON STOCK  811699107            485          50121SH       SOLE   0            50121
SEACOAST BANKING CORP/FL       COMMON STOCK  811707306            208         128959SH       SOLE   0           128959
SEACOR HOLDINGS INC            COMMON STOCK  811904101           3108          37085SH       SOLE   0            37085
SEACUBE CONTAINER LEASING LT   COMMON STOCK  G79978105            364          19314SH       SOLE   0            19314
SEALED AIR CORP                COMMON STOCK  81211K100           5963         340550SH       SOLE   0           340550
SEALY CORP                     COMMON STOCK  812139301            191          88003SH       SOLE   0            88003
SEARS HOLDINGS CORP            COMMON STOCK  812350106           2627          63520SH       SOLE   0            63520
SEARS HOMETOWN AND OUTLET ST   COMMON STOCK  812362101            450          13823SH       SOLE   0            13823
SEATTLE GENETICS INC           COMMON STOCK  812578102           3869         166771SH       SOLE   0           166771
SEI INVESTMENTS COMPANY        COMMON STOCK  784117103           5620         240790SH       SOLE   0           240790
SELECT COMFORT CORPORATION     COMMON STOCK  81616X103           2605          99537SH       SOLE   0            99537
SELECT INCOME REIT             REIT          81618T100            504          20334SH       SOLE   0            20334
SELECTIVE INSURANCE GROUP      COMMON STOCK  816300107           1853          96158SH       SOLE   0            96158
SEMGROUP CORP CLASS A          COMMON STOCK  81663A105           2867          73374SH       SOLE   0            73374
SEMPRA ENERGY                  COMMON STOCK  816851109          29998         422869SH       SOLE   0           422869
SEMTECH CORP                   COMMON STOCK  816850101           3328         114941SH       SOLE   0           114941
SENECA FOODS CORP   CL A       COMMON STOCK  817070501            444          14592SH       SOLE   0            14592
SENIOR HOUSING PROP TRUST      REIT          81721M109           7321         309673SH       SOLE   0           309673
SENSIENT TECHNOLOGIES CORP     COMMON STOCK  81725T100           3115          87593SH       SOLE   0            87593
SEQUENOM INC                   COMMON STOCK  817337405            948         200950SH       SOLE   0           200950
SERVICE CORP INTERNATIONAL     COMMON STOCK  817565104           5260         380868SH       SOLE   0           380868
SERVICENOW INC                 COMMON STOCK  81762P102            766          25500SH       SOLE   0            25500
SERVICESOURCE INTERNATIONAL    COMMON STOCK  81763U100            509          87093SH       SOLE   0            87093
SHAW GROUP INC                 COMMON STOCK  820280105           5392         115682SH       SOLE   0           115682
SHENANDOAH TELECOMMUNICATION   COMMON STOCK  82312B106            640          41805SH       SOLE   0            41805
SHERWIN WILLIAMS CO/THE        COMMON STOCK  824348106          23444         152411SH       SOLE   0           152411
SHFL ENTERTAINMENT INC         COMMON STOCK  78423R105           1398          96419SH       SOLE   0            96419
SHILOH INDUSTRIES INC          COMMON STOCK  824543102            106          10246SH       SOLE   0            10246
SHIP FINANCE INTL LTD          COMMON STOCK  G81075106           1420          85385SH       SOLE   0            85385
SHOE CARNIVAL INC              COMMON STOCK  824889109            513          25047SH       SOLE   0            25047
SHORETEL INC                   COMMON STOCK  825211105            358          84551SH       SOLE   0            84551
SHUTTERFLY INC                 COMMON STOCK  82568P304           1875          62766SH       SOLE   0            62766
SHUTTERSTOCK INC               COMMON STOCK  825690100            237           9100SH       SOLE   0             9100
SI FINANCIAL GROUP INC         COMMON STOCK  78425V104            214          18568SH       SOLE   0            18568
SIERRA BANCORP                 COMMON STOCK  82620P102            243          21251SH       SOLE   0            21251
SIFCO INDUSTRIES               COMMON STOCK  826546103             69           4358SH       SOLE   0             4358
SIGA TECHNOLOGIES INC          COMMON STOCK  826917106            162          61737SH       SOLE   0            61737
SIGMA ALDRICH                  COMMON STOCK  826552101          15605         212080SH       SOLE   0           212080
SIGMA DESIGNS INC              COMMON STOCK  826565103            297          57692SH       SOLE   0            57692
SIGNATURE BANK                 COMMON STOCK  82669G104           6083          85261SH       SOLE   0            85261
SIGNET JEWELERS LTD            COMMON STOCK  G81276100           7974         149328SH       SOLE   0           149328
SILGAN HOLDINGS INC            COMMON STOCK  827048109           3580          86077SH       SOLE   0            86077
SILICON GRAPHICS INTERNATION   COMMON STOCK  82706L108            574          56075SH       SOLE   0            56075
SILICON IMAGE INC              COMMON STOCK  82705T102            724         146036SH       SOLE   0           146036
SILICON LABORATORIES INC       COMMON STOCK  826919102           3147          75272SH       SOLE   0            75272
SIMMONS FIRST NATL CORP CL A   COMMON STOCK  828730200            763          30071SH       SOLE   0            30071
SIMON PROPERTY GROUP INC       REIT          828806109          84095         531946SH       SOLE   0           531946
SIMPLICITY BANCORP INC         COMMON STOCK  828867101            237          15860SH       SOLE   0            15860
SIMPSON MANUFACTURING CO INC   COMMON STOCK  829073105           2301          70185SH       SOLE   0            70185
SINCLAIR BROADCAST GROUP A     COMMON STOCK  829226109           1117          88473SH       SOLE   0            88473
SIRIUS XM RADIO INC            COMMON STOCK  82967N108          19273        6669028SH       SOLE   0          6669028
SIRONA DENTAL SYSTEMS INC      COMMON STOCK  82966C103           6290          97585SH       SOLE   0            97585
SIX FLAGS ENTERTAINMENT CORP   COMMON STOCK  83001A102           4260          69603SH       SOLE   0            69603
SJW CORP                       COMMON STOCK  784305104            656          24672SH       SOLE   0            24672
SKECHERS USA INC CL A          COMMON STOCK  830566105           1228          66361SH       SOLE   0            66361
SKILLED HEALTHCARE GROU CL A   COMMON STOCK  83066R107            214          33563SH       SOLE   0            33563
SKULLCANDY INC                 COMMON STOCK  83083J104            221          28415SH       SOLE   0            28415
SKYWEST INC                    COMMON STOCK  830879102           1114          89407SH       SOLE   0            89407
SKYWORKS SOLUTIONS INC         COMMON STOCK  83088M102           6754         332717SH       SOLE   0           332717
SL GREEN REALTY CORP           REIT          78440X101          12055         157267SH       SOLE   0           157267
SLM CORP                       COMMON STOCK  78442P106          13890         810869SH       SOLE   0           810869
SM ENERGY CO                   COMMON STOCK  78454L100           5875         112530SH       SOLE   0           112530
SMITH (A.O.) CORP              COMMON STOCK  831865209           4308          68309SH       SOLE   0            68309
SMITH + WESSON HOLDING CORP    COMMON STOCK  831756101            961         113845SH       SOLE   0           113845
SMITHFIELD FOODS INC           COMMON STOCK  832248108           5249         243334SH       SOLE   0           243334
SMURFIT KAPPA GROUP PLC        COMMON STOCK  B1RR82907          12411        1045942SH       SOLE   0          1045942
SNAP ON INC                    COMMON STOCK  833034101           8054         101964SH       SOLE   0           101964
SNYDERS LANCE INC              COMMON STOCK  833551104           1867          77418SH       SOLE   0            77418
SOLAR CAPITAL LTD              COMMON STOCK  83413U100           1623          67863SH       SOLE   0            67863
SOLAR SENIOR CAPITAL LTD       COMMON STOCK  83416M105            311          16659SH       SOLE   0            16659
SOLARWINDS INC                 COMMON STOCK  83416B109           5672         108133SH       SOLE   0           108133
SOLAZYME INC                   COMMON STOCK  83415T101            451          57371SH       SOLE   0            57371
SOLERA HOLDINGS INC            COMMON STOCK  83421A104           6518         121893SH       SOLE   0           121893
SOLTA MEDICAL INC              COMMON STOCK  83438K103            321         120174SH       SOLE   0           120174
SONIC AUTOMOTIVE INC CLASS A   COMMON STOCK  83545G102           1564          74887SH       SOLE   0            74887
SONIC CORP                     COMMON STOCK  835451105           1038          99676SH       SOLE   0            99676
SONOCO PRODUCTS CO             COMMON STOCK  835495102           5247         176499SH       SOLE   0           176499
SONUS NETWORKS INC             COMMON STOCK  835916107            635         373236SH       SOLE   0           373236
SOTHEBY S                      COMMON STOCK  835898107           3997         118901SH       SOLE   0           118901
SOURCEFIRE INC                 COMMON STOCK  83616T108           2448          51847SH       SOLE   0            51847
SOUTH JERSEY INDUSTRIES        COMMON STOCK  838518108           2685          53350SH       SOLE   0            53350
SOUTHERN CO/THE                COMMON STOCK  842587107          65247        1524102SH       SOLE   0          1524102
SOUTHERN COPPER CORP           COMMON STOCK  84265V105          10781         284762SH       SOLE   0           284762
SOUTHSIDE BANCSHARES INC       COMMON STOCK  84470P109            641          30446SH       SOLE   0            30446
SOUTHWEST AIRLINES CO          COMMON STOCK  844741108          13792        1346915SH       SOLE   0          1346915
SOUTHWEST BANCORP INC/OKLA     COMMON STOCK  844767103            382          34116SH       SOLE   0            34116
SOUTHWEST GAS CORP             COMMON STOCK  844895102           3432          80932SH       SOLE   0            80932
SOUTHWESTERN ENERGY CO         COMMON STOCK  845467109          20466         612579SH       SOLE   0           612579
SOVRAN SELF STORAGE INC        REIT          84610H108           3158          50861SH       SOLE   0            50861
SPANSION INC CLASS A           COMMON STOCK  84649R200           1177          84585SH       SOLE   0            84585
SPARK NETWORKS INC             COMMON STOCK  84651P100            157          20159SH       SOLE   0            20159
SPARTAN MOTORS INC             COMMON STOCK  846819100            293          59468SH       SOLE   0            59468
SPARTAN STORES INC             COMMON STOCK  846822104            584          38047SH       SOLE   0            38047
SPARTECH CORP                  COMMON STOCK  847220209            490          54059SH       SOLE   0            54059
SPECTRA ENERGY CORP            COMMON STOCK  847560109          31357        1145267SH       SOLE   0          1145267
SPECTRANETICS CORP             COMMON STOCK  84760C107            888          60147SH       SOLE   0            60147
SPECTRUM BRANDS HOLDINGS INC   COMMON STOCK  84763R101           1808          40245SH       SOLE   0            40245
SPECTRUM PHARMACEUTICALS INC   COMMON STOCK  84763A108           1169         104429SH       SOLE   0           104429
SPEEDWAY MOTORSPORTS INC       COMMON STOCK  847788106            365          20473SH       SOLE   0            20473
SPIRIT AEROSYSTEMS HOLD CL A   COMMON STOCK  848574109           3533         208163SH       SOLE   0           208163
SPIRIT AIRLINES INC            COMMON STOCK  848577102           1294          73021SH       SOLE   0            73021
SPIRIT REALTY CAPITAL INC      REIT          84860F109           1040          58500SH       SOLE   0            58500
SPLUNK INC                     COMMON STOCK  848637104            790          27219SH       SOLE   0            27219
SPRINT NEXTEL CORP             COMMON STOCK  852061100          29833        5261638SH       SOLE   0          5261638
SPS COMMERCE INC               COMMON STOCK  78463M107            809          21699SH       SOLE   0            21699
SPX CORP                       COMMON STOCK  784635104           6238          88918SH       SOLE   0            88918
SS+C TECHNOLOGIES HOLDINGS     COMMON STOCK  78467J100           1374          59412SH       SOLE   0            59412
ST JOE CO/THE                  COMMON STOCK  790148100           2643         114516SH       SOLE   0           114516
ST JUDE MEDICAL INC            COMMON STOCK  790849103          19898         550584SH       SOLE   0           550584
STAAR SURGICAL CO              COMMON STOCK  852312305            389          63740SH       SOLE   0            63740
STAG INDUSTRIAL INC            REIT          85254J102            982          54633SH       SOLE   0            54633
STAGE STORES INC               COMMON STOCK  85254C305           1333          53807SH       SOLE   0            53807
STAMPS.COM INC                 COMMON STOCK  852857200            593          23525SH       SOLE   0            23525
STANCORP FINANCIAL GROUP       COMMON STOCK  852891100           2855          77853SH       SOLE   0            77853
STANDARD MOTOR PRODS           COMMON STOCK  853666105            774          34848SH       SOLE   0            34848
STANDARD PACIFIC CORP          COMMON STOCK  85375C101           1491         202879SH       SOLE   0           202879
STANDARD PARKING CORP          COMMON STOCK  853790103            604          27489SH       SOLE   0            27489
STANDEX INTERNATIONAL CORP     COMMON STOCK  854231107           1135          22126SH       SOLE   0            22126
STANLEY BLACK + DECKER INC     COMMON STOCK  854502101          22181         299870SH       SOLE   0           299870
STAPLES INC                    COMMON STOCK  855030102          13785        1209227SH       SOLE   0          1209227
STAR SCIENTIFIC INC            COMMON STOCK  85517P101            685         255700SH       SOLE   0           255700
STARBUCKS CORP                 COMMON STOCK  855244109          71358        1330811SH       SOLE   0          1330811
STARWOOD HOTELS + RESORTS      COMMON STOCK  85590A401          19893         346814SH       SOLE   0           346814
STARWOOD PROPERTY TRUST INC    REIT          85571B105           5451         237429SH       SOLE   0           237429
LIBERTY MEDIA CORP             COMMON STOCK    530322106        22091         190422SH       SOLE   0           190422
STATE AUTO FINANCIAL CORP      COMMON STOCK  855707105            387          25912SH       SOLE   0            25912
STATE BANK FINANCIAL CORP      COMMON STOCK  856190103            884          55637SH       SOLE   0            55637
STATE STREET CORP              COMMON STOCK  857477103          40300         857273SH       SOLE   0           857273
STEC INC                       COMMON STOCK  784774101            307          62205SH       SOLE   0            62205
STEEL DYNAMICS INC             COMMON STOCK  858119100           5278         384410SH       SOLE   0           384410
STEELCASE INC CL A             COMMON STOCK  858155203           1701         133507SH       SOLE   0           133507
STEIN MART INC                 COMMON STOCK  858375108            362          47981SH       SOLE   0            47981
STEINER LEISURE LTD            COMMON STOCK  P8744Y102           1292          26807SH       SOLE   0            26807
STEINWAY MUSICAL INSTRUMENTS   COMMON STOCK  858495104            257          12152SH       SOLE   0            12152
STELLARONE CORP                COMMON STOCK  85856G100            572          40460SH       SOLE   0            40460
STELLUS CAPITAL INVESTMENT C   COMMON STOCK  858568108            229          14000SH       SOLE   0            14000
STEPAN CO                      COMMON STOCK  858586100           1639          29506SH       SOLE   0            29506
STERICYCLE INC                 COMMON STOCK  858912108          13922         149264SH       SOLE   0           149264
STERIS CORP                    COMMON STOCK  859152100           3521         101384SH       SOLE   0           101384
STERLING BANCORP N Y           COMMON STOCK  859158107            494          54266SH       SOLE   0            54266
STERLING CONSTRUCTION CO       COMMON STOCK  859241101            285          28669SH       SOLE   0            28669
STERLING FINL CORP/SPOKANE     COMMON STOCK  859319303            982          47014SH       SOLE   0            47014
STEVEN MADDEN LTD              COMMON STOCK  556269108           2912          68891SH       SOLE   0            68891
STEWART ENTERPRISES INC CL A   COMMON STOCK  860370105           1002         131116SH       SOLE   0           131116
STEWART INFORMATION SERVICES   COMMON STOCK  860372101            835          32118SH       SOLE   0            32118
STIFEL FINANCIAL CORP          COMMON STOCK  860630102           3011          94192SH       SOLE   0            94192
STILLWATER MINING CO           COMMON STOCK  86074Q102           2596         203142SH       SOLE   0           203142
STONE ENERGY CORP              COMMON STOCK  861642106           1781          86794SH       SOLE   0            86794
STONERIDGE INC                 COMMON STOCK  86183P102            251          49114SH       SOLE   0            49114
STR HOLDINGS INC               COMMON STOCK  78478V100            134          53097SH       SOLE   0            53097
STRATASYS LTD                  COMMON STOCK  M85548101           4162          51926SH       SOLE   0            51926
STRATEGIC HOTELS + RESORTS I   REIT          86272T106           2032         317574SH       SOLE   0           317574
STRAYER EDUCATION INC          COMMON STOCK  863236105           1171          20854SH       SOLE   0            20854
STRYKER CORP                   COMMON STOCK  863667101          29786         543333SH       SOLE   0           543333
STURM RUGER + CO INC           COMMON STOCK  864159108           1524          33577SH       SOLE   0            33577
SUCAMPO PHARMACEUTICALS CL A   COMMON STOCK  864909106             93          19055SH       SOLE   0            19055
SUFFOLK BANCORP                COMMON STOCK  864739107            224          17065SH       SOLE   0            17065
SUMMIT HOTEL PROPERTIES INC    REIT          866082100            710          74692SH       SOLE   0            74692
SUN BANCORP INC NJ             COMMON STOCK  86663B102            247          69889SH       SOLE   0            69889
SUN COMMUNITIES INC            REIT          866674104           2081          52169SH       SOLE   0            52169
SUN HYDRAULICS CORP            COMMON STOCK  866942105            946          36269SH       SOLE   0            36269
SUNCOKE ENERGY INC             COMMON STOCK  86722A103           1915         122849SH       SOLE   0           122849
SUNESIS PHARMACEUTICALS INC    COMMON STOCK  867328601            218          51981SH       SOLE   0            51981
SUNPOWER CORP                  COMMON STOCK  867652406            392          69763SH       SOLE   0            69763
SUNRISE SENIOR LIVING INC      COMMON STOCK  86768K106           1469         102152SH       SOLE   0           102152
SUNSTONE HOTEL INVESTORS INC   REIT          867892101           2570         239972SH       SOLE   0           239972
SUNTRUST BANKS INC             COMMON STOCK  867914103          26769         944250SH       SOLE   0           944250
SUPER MICRO COMPUTER INC       COMMON STOCK  86800U104            521          51082SH       SOLE   0            51082
SUPERIOR ENERGY SERVICES INC   COMMON STOCK  868157108           5727         276418SH       SOLE   0           276418
SUPERIOR INDUSTRIES INTL       COMMON STOCK  868168105            822          40274SH       SOLE   0            40274
SUPERNUS PHARMACEUTICALS INC   COMMON STOCK  868459108             54           7582SH       SOLE   0             7582
SUPERTEX INC                   COMMON STOCK  868532102            318          18114SH       SOLE   0            18114
SUPERVALU INC                  COMMON STOCK  868536103            920         372377SH       SOLE   0           372377
SUPPORT.COM INC                COMMON STOCK  86858W101            357          85435SH       SOLE   0            85435
SURMODICS INC                  COMMON STOCK  868873100            503          22480SH       SOLE   0            22480
SUSQUEHANNA BANCSHARES INC     COMMON STOCK  869099101           3454         329575SH       SOLE   0           329575
SUSSER HOLDINGS CORP           COMMON STOCK  869233106            678          19655SH       SOLE   0            19655
SVB FINANCIAL GROUP            COMMON STOCK  78486Q101           4341          77565SH       SOLE   0            77565
SWIFT ENERGY CO                COMMON STOCK  870738101           1156          75134SH       SOLE   0            75134
SWIFT TRANSPORTATION CO        COMMON STOCK  87074U101           1264         138553SH       SOLE   0           138553
SWISHER HYGIENE INC            COMMON STOCK  870808102            346         197587SH       SOLE   0           197587
SWS GROUP INC                  COMMON STOCK  78503N107            271          51161SH       SOLE   0            51161
SYCAMORE NETWORKS INC          COMMON STOCK  871206405             81          35987SH       SOLE   0            35987
SYKES ENTERPRISES INC          COMMON STOCK  871237103           1039          68283SH       SOLE   0            68283
SYMANTEC CORP                  COMMON STOCK  871503108          23788        1264621SH       SOLE   0          1264621
SYMETRA FINANCIAL CORP         COMMON STOCK  87151Q106           1762         135776SH       SOLE   0           135776
SYMMETRICOM INC                COMMON STOCK  871543104            422          73056SH       SOLE   0            73056
SYMMETRY MEDICAL INC           COMMON STOCK  871546206            676          64273SH       SOLE   0            64273
SYNACOR INC                    COMMON STOCK  871561106             65          11872SH       SOLE   0            11872
SYNAGEVA BIOPHARMA CORP        COMMON STOCK  87159A103            846          18282SH       SOLE   0            18282
SYNAPTICS INC                  COMMON STOCK  87157D109           1770          59068SH       SOLE   0            59068
SYNCHRONOSS TECHNOLOGIES INC   COMMON STOCK  87157B103           1022          48445SH       SOLE   0            48445
SYNERGY PHARMACEUTICALS INC    COMMON STOCK  871639308            379          72121SH       SOLE   0            72121
SYNERGY RESOURCES CORP         COMMON STOCK  87164P103            370          68638SH       SOLE   0            68638
SYNNEX CORP                    COMMON STOCK  87162W100           1587          46155SH       SOLE   0            46155
SYNOPSYS INC                   COMMON STOCK  871607107           8145         255802SH       SOLE   0           255802
SYNOVUS FINANCIAL CORP         COMMON STOCK  87161C105           3381        1380080SH       SOLE   0          1380080
SYNTA PHARMACEUTICALS CORP     COMMON STOCK  87162T206            629          69772SH       SOLE   0            69772
SYNTEL INC                     COMMON STOCK  87162H103           1452          27088SH       SOLE   0            27088
SYNUTRA INTERNATIONAL INC      COMMON STOCK  87164C102            141          30408SH       SOLE   0            30408
SYPRIS SOLUTIONS INC           COMMON STOCK  871655106             74          18584SH       SOLE   0            18584
SYSCO CORP                     COMMON STOCK  871829107          32537        1027715SH       SOLE   0          1027715
SYSTEMAX INC                   COMMON STOCK  871851101            187          19387SH       SOLE   0            19387
T ROWE PRICE GROUP INC         COMMON STOCK  74144T108          29148         447532SH       SOLE   0           447532
T.G.C. INDUSTRIES INC          COMMON STOCK  872417308            209          25565SH       SOLE   0            25565
TAHOE RESOURCES INC            COMMON STOCK  873868103           2602         142044SH       SOLE   0           142044
TAKE TWO INTERACTIVE SOFTWRE   COMMON STOCK  874054109           1510         137162SH       SOLE   0           137162
TAL INTERNATIONAL GROUP INC    COMMON STOCK  874083108           1864          51226SH       SOLE   0            51226
TANGER FACTORY OUTLET CENTER   REIT          875465106           5557         162482SH       SOLE   0           162482
TANGOE INC/CT                  COMMON STOCK  87582Y108            621          52316SH       SOLE   0            52316
TARGA RESOURCES CORP           COMMON STOCK  87612G101           2686          50841SH       SOLE   0            50841
TARGACEPT INC                  COMMON STOCK  87611R306            209          47805SH       SOLE   0            47805
TARGET CORP                    COMMON STOCK  87612E106          68643        1160098SH       SOLE   0          1160098
TASER INTERNATIONAL INC        COMMON STOCK  87651B104            807          90242SH       SOLE   0            90242
TAUBMAN CENTERS INC            REIT          876664103           8116         103095SH       SOLE   0           103095
TAYLOR CAPITAL GROUP INC       COMMON STOCK  876851106            516          28600SH       SOLE   0            28600
TCF FINANCIAL CORP             COMMON STOCK  872275102           3457         284507SH       SOLE   0           284507
TCP CAPITAL CORP               COMMON STOCK  87238Q103            149          10113SH       SOLE   0            10113
TD AMERITRADE HOLDING CORP     COMMON STOCK  87236Y108           6840         406920SH       SOLE   0           406920
TEAM HEALTH HOLDINGS INC       COMMON STOCK  87817A107           1432          49766SH       SOLE   0            49766
TEAM INC                       COMMON STOCK  878155100           1329          34926SH       SOLE   0            34926
TEAVANA HOLDINGS INC           COMMON STOCK  87819P102            238          15363SH       SOLE   0            15363
TECH DATA CORP                 COMMON STOCK  878237106           3016          66253SH       SOLE   0            66253
TECHNE CORP                    COMMON STOCK  878377100           4414          64586SH       SOLE   0            64586
TECHTARGET                     COMMON STOCK  87874R100            150          27064SH       SOLE   0            27064
TECO ENERGY INC                COMMON STOCK  872375100           6342         378394SH       SOLE   0           378394
TEEKAY CORP                    COMMON STOCK  Y8564W103           2045          63701SH       SOLE   0            63701
TEEKAY TANKERS LTD CLASS A     COMMON STOCK  Y8565N102            320         110475SH       SOLE   0           110475
TEJON RANCH CO                 COMMON STOCK  879080109            649          23104SH       SOLE   0            23104
TELEDYNE TECHNOLOGIES INC      COMMON STOCK  879360105           4199          64526SH       SOLE   0            64526
TELEFLEX INC                   COMMON STOCK  879369106           5108          71626SH       SOLE   0            71626
TELENAV INC                    COMMON STOCK  879455103            232          29095SH       SOLE   0            29095
TELEPHONE AND DATA SYSTEMS     COMMON STOCK  879433829           3690         166647SH       SOLE   0           166647
TELETECH HOLDINGS INC          COMMON STOCK  879939106            716          40249SH       SOLE   0            40249
TELLABS INC                    COMMON STOCK  879664100           1465         642488SH       SOLE   0           642488
TELULAR CORP                   COMMON STOCK  87970T208            276          29123SH       SOLE   0            29123
TEMPUR PEDIC INTERNATIONAL     COMMON STOCK  88023U101           3290         104468SH       SOLE   0           104468
TENET HEALTHCARE CORP          COMMON STOCK  88033G407           5895         181541SH       SOLE   0           181541
TENNANT CO                     COMMON STOCK  880345103           1452          33039SH       SOLE   0            33039
TENNECO INC                    COMMON STOCK  880349105           3739         106486SH       SOLE   0           106486
TERADATA CORP                  COMMON STOCK  88076W103          18318         295975SH       SOLE   0           295975
TERADYNE INC                   COMMON STOCK  880770102           5531         327472SH       SOLE   0           327472
TEREX CORP                     COMMON STOCK  880779103           5445         193719SH       SOLE   0           193719
TERRENO REALTY CORP            REIT          88146M101            364          23581SH       SOLE   0            23581
TERRITORIAL BANCORP INC        COMMON STOCK  88145X108            442          19345SH       SOLE   0            19345
TESARO INC                     COMMON STOCK  881569107            136           8000SH       SOLE   0             8000
TESCO CORP                     COMMON STOCK  88157K101            607          53258SH       SOLE   0            53258
TESLA MOTORS INC               COMMON STOCK  88160R101           4203         124103SH       SOLE   0           124103
TESORO CORP                    COMMON STOCK  881609101          10847         246241SH       SOLE   0           246241
TESSCO TECHNOLOGIES INC        COMMON STOCK  872386107            210           9467SH       SOLE   0             9467
TESSERA TECHNOLOGIES INC       COMMON STOCK  88164L100           1496          91094SH       SOLE   0            91094
TETRA TECH INC                 COMMON STOCK  88162G103           2943         111261SH       SOLE   0           111261
TETRA TECHNOLOGIES INC         COMMON STOCK  88162F105           1033         136153SH       SOLE   0           136153
TEXAS CAPITAL BANCSHARES INC   COMMON STOCK  88224Q107           3155          70390SH       SOLE   0            70390
TEXAS INDUSTRIES INC           COMMON STOCK  882491103           2018          39569SH       SOLE   0            39569
TEXAS INSTRUMENTS INC          COMMON STOCK  882508104          62122        2007818SH       SOLE   0          2007818
TEXAS ROADHOUSE INC            COMMON STOCK  882681109           1839         109439SH       SOLE   0           109439
TEXTAINER GROUP HOLDINGS LTD   COMMON STOCK  G8766E109            764          24298SH       SOLE   0            24298
TEXTRON INC                    COMMON STOCK  883203101          12190         491731SH       SOLE   0           491731
TFS FINANCIAL CORP             COMMON STOCK  87240R107           1355         140873SH       SOLE   0           140873
THERAVANCE INC                 COMMON STOCK  88338T104           2371         106458SH       SOLE   0           106458
THERMO FISHER SCIENTIFIC INC   COMMON STOCK  883556102          41101         644426SH       SOLE   0           644426
THERMON GROUP HOLDINGS INC     COMMON STOCK  88362T103            581          25807SH       SOLE   0            25807
THL CREDIT INC                 COMMON STOCK  872438106            390          26370SH       SOLE   0            26370
THOMAS PROPERTIES GROUP        COMMON STOCK  884453101            306          56534SH       SOLE   0            56534
THOMSON REUTERS CORP           COMMON STOCK  884903105          18928         651350SH       SOLE   0           651350
THOR INDUSTRIES INC            COMMON STOCK  885160101           2814          75177SH       SOLE   0            75177
THORATEC CORP                  COMMON STOCK  885175307           3861         102906SH       SOLE   0           102906
THRESHOLD PHARMACEUTICALS      COMMON STOCK  885807206            332          78891SH       SOLE   0            78891
TIBCO SOFTWARE INC             COMMON STOCK  88632Q103           6369         289373SH       SOLE   0           289373
TICC CAPITAL CORP              COMMON STOCK  87244T109            733          72401SH       SOLE   0            72401
TIDEWATER INC                  COMMON STOCK  886423102           4018          89926SH       SOLE   0            89926
TIFFANY + CO                   COMMON STOCK  886547108          12749         222346SH       SOLE   0           222346
TILLY S INC CLASS A SHRS       COMMON STOCK  886885102            217          16109SH       SOLE   0            16109
TIME WARNER CABLE              COMMON STOCK  88732J207          53288         548288SH       SOLE   0           548288
TIME WARNER INC                COMMON STOCK  887317303          80555        1684194SH       SOLE   0          1684194
TIMKEN CO                      COMMON STOCK  887389104           7332         153285SH       SOLE   0           153285
TITAN INTERNATIONAL INC        COMMON STOCK  88830M102           1819          83737SH       SOLE   0            83737
TITAN MACHINERY INC            COMMON STOCK  88830R101            733          29684SH       SOLE   0            29684
TIVO INC                       COMMON STOCK  888706108           2695         218782SH       SOLE   0           218782
TJX COMPANIES INC              COMMON STOCK  872540109          55187        1300048SH       SOLE   0          1300048
TMS INTERNATIONAL CORP A       COMMON STOCK  87261Q103            282          22548SH       SOLE   0            22548
TNS INC                        COMMON STOCK  872960109            889          42893SH       SOLE   0            42893
TOLL BROTHERS INC              COMMON STOCK  889478103           8152         252150SH       SOLE   0           252150
TOMPKINS FINANCIAL CORP        COMMON STOCK  890110109            770          19431SH       SOLE   0            19431
TOOTSIE ROLL INDS              COMMON STOCK  890516107           1076          41514SH       SOLE   0            41514
TORCHMARK CORP                 COMMON STOCK  891027104           8924         172721SH       SOLE   0           172721
TORNIER NV                     COMMON STOCK  N87237108            469          27920SH       SOLE   0            27920
TORO CO                        COMMON STOCK  891092108           4514         105020SH       SOLE   0           105020
TOTAL SYSTEM SERVICES INC      COMMON STOCK  891906109           6089         284264SH       SOLE   0           284264
TOWER GROUP INC                COMMON STOCK  891777104           1084          61025SH       SOLE   0            61025
TOWER INTERNATIONAL INC        COMMON STOCK  891826109             81          10102SH       SOLE   0            10102
TOWERS WATSON + CO CL A        COMMON STOCK  891894107           5991         106586SH       SOLE   0           106586
TOWERSTREAM CORP               COMMON STOCK  892000100            271          83258SH       SOLE   0            83258
TOWN SPORTS INTERNATIONAL      COMMON STOCK  89214A102            433          40645SH       SOLE   0            40645
TOWNE BANK                     COMMON STOCK  89214P109            716          46212SH       SOLE   0            46212
TRACTOR SUPPLY COMPANY         COMMON STOCK  892356106          11171         126431SH       SOLE   0           126431
TRANSCEPT PHARMACEUTICALS IN   COMMON STOCK  89354M106             98          22069SH       SOLE   0            22069
TRANSDIGM GROUP INC            COMMON STOCK  893641100          12222          89631SH       SOLE   0            89631
TRAVELERS COS INC/THE          COMMON STOCK  89417E109          49024         682600SH       SOLE   0           682600
TRAVELZOO INC                  COMMON STOCK  89421Q106            239          12562SH       SOLE   0            12562
TRC COS INC                    COMMON STOCK  872625108            156          26841SH       SOLE   0            26841
TREDEGAR CORP                  COMMON STOCK  894650100            866          42415SH       SOLE   0            42415
TREE.COM INC                   COMMON STOCK  894675107            191          10594SH       SOLE   0            10594
TREEHOUSE FOODS INC            COMMON STOCK  89469A104           3289          63101SH       SOLE   0            63101
TREX COMPANY INC               COMMON STOCK  89531P105            973          26138SH       SOLE   0            26138
TRIANGLE CAPITAL CORP          COMMON STOCK  895848109           1219          47834SH       SOLE   0            47834
TRIANGLE PETROLEUM CORP        COMMON STOCK  89600B201            465          77615SH       SOLE   0            77615
TRICO BANCSHARES               COMMON STOCK  896095106            470          28064SH       SOLE   0            28064
TRIMAS CORP                    COMMON STOCK  896215209           1581          56547SH       SOLE   0            56547
TRIMBLE NAVIGATION LTD         COMMON STOCK  896239100          13120         219479SH       SOLE   0           219479
TRINITY INDUSTRIES INC         COMMON STOCK  896522109           5044         140806SH       SOLE   0           140806
TRIPADVISOR INC                COMMON STOCK  896945201           6380         152052SH       SOLE   0           152052
TRIPLE S MANAGEMENT CORP B     COMMON STOCK  896749108            628          34012SH       SOLE   0            34012
TRIQUINT SEMICONDUCTOR INC     COMMON STOCK  89674K103           1431         295675SH       SOLE   0           295675
TRIUMPH GROUP INC              COMMON STOCK  896818101           5709          87423SH       SOLE   0            87423
TRIUS THERAPEUTICS INC         COMMON STOCK  89685K100            219          45824SH       SOLE   0            45824
TRUE RELIGION APPAREL INC      COMMON STOCK  89784N104           1151          45268SH       SOLE   0            45268
TRUEBLUE INC                   COMMON STOCK  89785X101           1117          70925SH       SOLE   0            70925
TRULIA INC                     COMMON STOCK  897888103            198          12200SH       SOLE   0            12200
TRUSTCO BANK CORP NY           COMMON STOCK  898349105            868         164348SH       SOLE   0           164348
TRUSTMARK CORP                 COMMON STOCK  898402102           2552         113636SH       SOLE   0           113636
TRW AUTOMOTIVE HOLDINGS CORP   COMMON STOCK  87264S106           9473         176703SH       SOLE   0           176703
TTM TECHNOLOGIES               COMMON STOCK  87305R109            858          93230SH       SOLE   0            93230
TUESDAY MORNING CORP           COMMON STOCK  899035505            459          73434SH       SOLE   0            73434
TUMI HOLDINGS INC              COMMON STOCK  89969Q104            790          37898SH       SOLE   0            37898
TUPPERWARE BRANDS CORP         COMMON STOCK  899896104           6287          98078SH       SOLE   0            98078
TUTOR PERINI CORP              COMMON STOCK  901109108            859          62681SH       SOLE   0            62681
TW TELECOM INC                 COMMON STOCK  87311L104           6727         264104SH       SOLE   0           264104
TWIN DISC INC                  COMMON STOCK  901476101            261          14972SH       SOLE   0            14972
TWO HARBORS INVESTMENT CORP    REIT          90187B101           5742         518212SH       SOLE   0           518212
TYCO INTERNATIONAL LTD         COMMON STOCK  H89128104          23754         812108SH       SOLE   0           812108
TYLER TECHNOLOGIES INC         COMMON STOCK  902252105           2559          52825SH       SOLE   0            52825
TYSON FOODS INC CL A           COMMON STOCK  902494103           9892         509909SH       SOLE   0           509909
U.S. PHYSICAL THERAPY INC      COMMON STOCK  90337L108            570          20680SH       SOLE   0            20680
UBIQUITI NETWORKS INC          COMMON STOCK  90347A100            223          18386SH       SOLE   0            18386
UDR INC                        REIT          902653104          10321         434028SH       SOLE   0           434028
UFP TECHNOLOGIES INC           COMMON STOCK  902673102            173           9652SH       SOLE   0             9652
UGI CORP                       COMMON STOCK  902681105           6446         197071SH       SOLE   0           197071
UIL HOLDINGS CORP              COMMON STOCK  902748102           3182          88869SH       SOLE   0            88869
ULTA SALON COSMETICS + FRAGR   COMMON STOCK  90384S303          10844         110356SH       SOLE   0           110356
ULTIMATE SOFTWARE GROUP INC    COMMON STOCK  90385D107           4414          46757SH       SOLE   0            46757
ULTRA CLEAN HOLDINGS           COMMON STOCK  90385V107            240          48894SH       SOLE   0            48894
ULTRA PETROLEUM CORP           COMMON STOCK  903914109           4865         268330SH       SOLE   0           268330
ULTRATECH INC                  COMMON STOCK  904034105           1716          46011SH       SOLE   0            46011
UMB FINANCIAL CORP             COMMON STOCK  902788108           2485          56692SH       SOLE   0            56692
UMH PROPERTIES INC             REIT          903002103            251          24285SH       SOLE   0            24285
UMPQUA HOLDINGS CORP           COMMON STOCK  904214103           2315         196370SH       SOLE   0           196370
UNDER ARMOUR INC CLASS A       COMMON STOCK  904311107           6612         136244SH       SOLE   0           136244
UNIFI INC                      COMMON STOCK  904677200            321          24665SH       SOLE   0            24665
UNIFIRST CORP/MA               COMMON STOCK  904708104           1864          25421SH       SOLE   0            25421
UNILIFE CORP                   COMMON STOCK  90478E103            320         140945SH       SOLE   0           140945
UNION FIRST MARKET BANKSHARE   COMMON STOCK  90662P104            561          35546SH       SOLE   0            35546
UNION PACIFIC CORP             COMMON STOCK  907818108         105049         835576SH       SOLE   0           835576
UNISYS CORP                    COMMON STOCK  909214306           1330          76868SH       SOLE   0            76868
UNIT CORP                      COMMON STOCK  909218109           3837          85183SH       SOLE   0            85183
UNITED BANKSHARES INC          COMMON STOCK  909907107           2145          88218SH       SOLE   0            88218
UNITED COMMUNITY BANKS/GA      COMMON STOCK  90984P303            689          73154SH       SOLE   0            73154
UNITED CONTINENTAL HOLDINGS    COMMON STOCK  910047109          13621         582598SH       SOLE   0           582598
UNITED FINANCIAL BANCORP INC   COMMON STOCK  91030T109            458          29153SH       SOLE   0            29153
UNITED FIRE GROUP INC          COMMON STOCK  910340108            771          35316SH       SOLE   0            35316
UNITED NATURAL FOODS INC       COMMON STOCK  911163103           4591          85673SH       SOLE   0            85673
UNITED ONLINE INC              COMMON STOCK  911268100            889         158985SH       SOLE   0           158985
UNITED PARCEL SERVICE CL B     COMMON STOCK  911312106          93715        1271055SH       SOLE   0          1271055
UNITED RENTALS INC             COMMON STOCK  911363109           7486         164445SH       SOLE   0           164445
UNITED STATES ANTIMONY CORP    COMMON STOCK  911549103            166          94286SH       SOLE   0            94286
UNITED STATES LIME + MINERAL   COMMON STOCK  911922102            145           3081SH       SOLE   0             3081
UNITED STATES STEEL CORP       COMMON STOCK  912909108           6031         252659SH       SOLE   0           252659
UNITED STATIONERS INC          COMMON STOCK  913004107           2212          71379SH       SOLE   0            71379
UNITED TECHNOLOGIES CORP       COMMON STOCK  913017109         131137        1599033SH       SOLE   0          1599033
UNITED THERAPEUTICS CORP       COMMON STOCK  91307C102           4479          83847SH       SOLE   0            83847
UNITEDHEALTH GROUP INC         COMMON STOCK  91324P102          98732        1820284SH       SOLE   0          1820284
UNITIL CORP                    COMMON STOCK  913259107            627          24171SH       SOLE   0            24171
UNIVERSAL AMERICAN CORP        COMMON STOCK  91338E101            566          65878SH       SOLE   0            65878
UNIVERSAL DISPLAY CORP         COMMON STOCK  91347P105           1786          69692SH       SOLE   0            69692
UNIVERSAL ELECTRONICS INC      COMMON STOCK  913483103            507          26199SH       SOLE   0            26199
UNIVERSAL FOREST PRODUCTS      COMMON STOCK  913543104           1316          34589SH       SOLE   0            34589
UNIVERSAL HEALTH RLTY INCOME   REIT          91359E105           1057          20891SH       SOLE   0            20891
UNIVERSAL HEALTH SERVICES B    COMMON STOCK  913903100           7590         156971SH       SOLE   0           156971
UNIVERSAL INSURANCE HOLDINGS   COMMON STOCK  91359V107            143          32748SH       SOLE   0            32748
UNIVERSAL STAINLESS + ALLOY    COMMON STOCK  913837100            443          12060SH       SOLE   0            12060
UNIVERSAL TECHNICAL INSTITUT   COMMON STOCK  913915104            378          37655SH       SOLE   0            37655
UNIVERSAL TRUCKLOAD SERVICES   COMMON STOCK  91388P105            175           9609SH       SOLE   0             9609
UNIVEST CORP OF PENNSYLVANIA   COMMON STOCK  915271100            504          29478SH       SOLE   0            29478
UNS ENERGY CORP                COMMON STOCK  903119105           2997          70647SH       SOLE   0            70647
UNUM GROUP                     COMMON STOCK  91529Y106          10443         501576SH       SOLE   0           501576
UNWIRED PLANET INC             COMMON STOCK  91531F103            183         152245SH       SOLE   0           152245
URANERZ ENERGY CORP            COMMON STOCK  91688T104            161         115728SH       SOLE   0           115728
URANIUM ENERGY CORP            COMMON STOCK  916896103            381         148645SH       SOLE   0           148645
URBAN OUTFITTERS INC           COMMON STOCK  917047102           7350         186745SH       SOLE   0           186745
URS CORP                       COMMON STOCK  903236107           5217         132896SH       SOLE   0           132896
URSTADT BIDDLE   CLASS A       REIT          917286205            856          43521SH       SOLE   0            43521
US AIRWAYS GROUP INC           COMMON STOCK  90341W108           3844         284770SH       SOLE   0           284770
US AUTO PARTS NETWORK INC      COMMON STOCK  90343C100             47          25865SH       SOLE   0            25865
US BANCORP                     COMMON STOCK  902973304         106149        3323383SH       SOLE   0          3323383
US CELLULAR CORP               COMMON STOCK  911684108            846          24012SH       SOLE   0            24012
US ECOLOGY INC                 COMMON STOCK  91732J102            757          32165SH       SOLE   0            32165
US SILICA HOLDINGS INC         COMMON STOCK  90346E103            346          20655SH       SOLE   0            20655
USA MOBILITY INC               COMMON STOCK  90341G103            454          38835SH       SOLE   0            38835
USANA HEALTH SCIENCES INC      COMMON STOCK  90328M107            345          10473SH       SOLE   0            10473
USG CORP                       COMMON STOCK  903293405           3648         129975SH       SOLE   0           129975
UTAH MEDICAL PRODUCTS INC      COMMON STOCK  917488108            206           5726SH       SOLE   0             5726
UTI WORLDWIDE INC              COMMON STOCK  G87210103           2435         181697SH       SOLE   0           181697
VAALCO ENERGY INC              COMMON STOCK  91851C201            878         101455SH       SOLE   0           101455
VAIL RESORTS INC               COMMON STOCK  91879Q109           3419          63210SH       SOLE   0            63210
VALASSIS COMMUNICATIONS INC    COMMON STOCK  918866104           1799          69783SH       SOLE   0            69783
VALERO ENERGY CORP             COMMON STOCK  91913Y100          33098         970042SH       SOLE   0           970042
VALIDUS HOLDINGS LTD           COMMON STOCK  G9319H102           6268         181253SH       SOLE   0           181253
VALLEY NATIONAL BANCORP        COMMON STOCK  919794107           3218         346047SH       SOLE   0           346047
VALMONT INDUSTRIES             COMMON STOCK  920253101           5584          40893SH       SOLE   0            40893
VALSPAR CORP                   COMMON STOCK  920355104          10194         163362SH       SOLE   0           163362
VALUE LINE INC                 COMMON STOCK  920437100             21           2319SH       SOLE   0             2319
VALUECLICK INC                 COMMON STOCK  92046N102           2556         131710SH       SOLE   0           131710
VANDA PHARMACEUTICALS INC      COMMON STOCK  921659108            183          49492SH       SOLE   0            49492
VANGUARD HEALTH SYSTEMS INC    COMMON STOCK  922036207            684          55812SH       SOLE   0            55812
VANTAGE DRILLING CO            COMMON STOCK  G93205113            615         335997SH       SOLE   0           335997
VANTIV INC   CL A              COMMON STOCK  92210H105           1413          69190SH       SOLE   0            69190
VARIAN MEDICAL SYSTEMS INC     COMMON STOCK  92220P105          13739         195603SH       SOLE   0           195603
VASCO DATA SECURITY INTL       COMMON STOCK  92230Y104            403          49425SH       SOLE   0            49425
VASCULAR SOLUTIONS INC         COMMON STOCK  92231M109            453          28674SH       SOLE   0            28674
VCA ANTECH INC                 COMMON STOCK  918194101           3231         153482SH       SOLE   0           153482
VECTREN CORPORATION            COMMON STOCK  92240G101           4229         143858SH       SOLE   0           143858
VEECO INSTRUMENTS INC          COMMON STOCK  922417100           2012          68158SH       SOLE   0            68158
VENTAS INC                     REIT          92276F100          32822         507135SH       SOLE   0           507135
VENTRUS BIOSCIENCES INC        COMMON STOCK  922822101             47          21858SH       SOLE   0            21858
VERA BRADLEY INC               COMMON STOCK  92335C106            887          35348SH       SOLE   0            35348
VERASTEM INC                   COMMON STOCK  92337C104             98          11110SH       SOLE   0            11110
VERIFONE SYSTEMS INC           COMMON STOCK  92342Y109           5606         188869SH       SOLE   0           188869
VERINT SYSTEMS INC             COMMON STOCK  92343X100           1124          38276SH       SOLE   0            38276
VERISIGN INC                   COMMON STOCK  92343E102          10759         277148SH       SOLE   0           277148
VERISK ANALYTICS INC CLASS A   COMMON STOCK  92345Y106          13149         257827SH       SOLE   0           257827
VERIZON COMMUNICATIONS INC     COMMON STOCK  92343V104         215687        4984689SH       SOLE   0          4984689
VERTEX PHARMACEUTICALS INC     COMMON STOCK  92532F100          15533         370354SH       SOLE   0           370354
VF CORP                        COMMON STOCK  918204108          23212         153750SH       SOLE   0           153750
VIACOM INC CLASS B             COMMON STOCK  92553P201          48841         926070SH       SOLE   0           926070
VIAD CORP                      COMMON STOCK  92552R406            965          35543SH       SOLE   0            35543
VIASAT INC                     COMMON STOCK  92552V100           2559          65780SH       SOLE   0            65780
VIASYSTEMS GROUP INC           COMMON STOCK  92553H803             82           6722SH       SOLE   0             6722
VICAL INC                      COMMON STOCK  925602104            388         133292SH       SOLE   0           133292
VICOR CORP                     COMMON STOCK  925815102            187          34471SH       SOLE   0            34471
VIEWPOINT FINANCIAL GROUP IN   COMMON STOCK  92672A101           1238          59101SH       SOLE   0            59101
VILLAGE SUPER MARKET CLASS A   COMMON STOCK  927107409            485          14748SH       SOLE   0            14748
VIRGIN MEDIA INC               COMMON STOCK  92769L101          17911         487361SH       SOLE   0           487361
VIRGINIA COMMERCE BANCORP      COMMON STOCK  92778Q109            421          47085SH       SOLE   0            47085
VIRNETX HOLDING CORP           COMMON STOCK  92823T108           2157          73665SH       SOLE   0            73665
VIROPHARMA INC                 COMMON STOCK  928241108           2632         115647SH       SOLE   0           115647
VIRTUS INVESTMENT PARTNERS     COMMON STOCK  92828Q109           1287          10638SH       SOLE   0            10638
VIRTUSA CORP                   COMMON STOCK  92827P102            536          32640SH       SOLE   0            32640
VISA INC CLASS A SHARES        COMMON STOCK  92826C839         138980         916874SH       SOLE   0           916874
VISHAY INTERTECHNOLOGY INC     COMMON STOCK  928298108           2464         231777SH       SOLE   0           231777
VISHAY PRECISION GROUP         COMMON STOCK  92835K103            285          21567SH       SOLE   0            21567
VISTA GOLD CORP                COMMON STOCK  927926303            276         102041SH       SOLE   0           102041
VISTAPRINT NV                  COMMON STOCK  N93540107           1970          59960SH       SOLE   0            59960
VISTEON CORP                   COMMON STOCK  92839U206           4955          92064SH       SOLE   0            92064
VITACOST.COM INC               COMMON STOCK  92847A200            263          38782SH       SOLE   0            38782
VITAMIN SHOPPE INC             COMMON STOCK  92849E101           2962          51645SH       SOLE   0            51645
VIVUS INC                      COMMON STOCK  928551100           2348         174932SH       SOLE   0           174932
VMWARE INC CLASS A             COMMON STOCK  928563402          14607         155161SH       SOLE   0           155161
VOCERA COMMUNICATIONS INC      COMMON STOCK  92857F107            312          12429SH       SOLE   0            12429
VOCUS INC                      COMMON STOCK  92858J108            629          36205SH       SOLE   0            36205
VOLCANO CORP                   COMMON STOCK  928645100           2207          93481SH       SOLE   0            93481
VOLTERRA SEMICONDUCTOR CORP    COMMON STOCK  928708106            764          44513SH       SOLE   0            44513
VONAGE HOLDINGS CORP           COMMON STOCK  92886T201            662         279202SH       SOLE   0           279202
VORNADO REALTY TRUST           REIT          929042109          26082         325701SH       SOLE   0           325701
VOXX INTERNATIONAL CORP        COMMON STOCK  91829F104            215          32011SH       SOLE   0            32011
VSE CORP                       COMMON STOCK  918284100            177           7221SH       SOLE   0             7221
VULCAN MATERIALS CO            COMMON STOCK  929160109          11816         227019SH       SOLE   0           227019
W+T OFFSHORE INC               COMMON STOCK  92922P106            977          60919SH       SOLE   0            60919
WABASH NATIONAL CORP           COMMON STOCK  929566107           1075         119850SH       SOLE   0           119850
WABCO HOLDINGS INC             COMMON STOCK  92927K102           7370         113054SH       SOLE   0           113054
WABTEC CORP                    COMMON STOCK  929740108           7397          84499SH       SOLE   0            84499
WADDELL + REED FINANCIAL A     COMMON STOCK  930059100           5274         151470SH       SOLE   0           151470
WAGEWORKS INC                  COMMON STOCK  930427109            218          12253SH       SOLE   0            12253
WAL MART STORES INC            COMMON STOCK  931142103         202331        2965426SH       SOLE   0          2965426
WALGREEN CO                    COMMON STOCK  931422109          56022        1513688SH       SOLE   0          1513688
WALKER + DUNLOP INC            COMMON STOCK  93148P102            333          19986SH       SOLE   0            19986
WALT DISNEY CO/THE             COMMON STOCK  254687106         156142        3136008SH       SOLE   0          3136008
WALTER ENERGY INC              COMMON STOCK  93317Q105           3935         109679SH       SOLE   0           109679
WALTER INVESTMENT MANAGEMENT   COMMON STOCK  93317W102           2699          62731SH       SOLE   0            62731
WARNACO GROUP INC/THE          COMMON STOCK  934390402           5155          72033SH       SOLE   0            72033
WARNER CHILCOTT PLC CLASS A    COMMON STOCK  G94368100           3539         293965SH       SOLE   0           293965
WARREN RESOURCES INC           COMMON STOCK  93564A100            353         125787SH       SOLE   0           125787
WASHINGTON BANKING CO          COMMON STOCK  937303105            369          27064SH       SOLE   0            27064
WASHINGTON FEDERAL INC         COMMON STOCK  938824109           3164         187565SH       SOLE   0           187565
WASHINGTON POST CLASS B        COMMON STOCK  939640108           2714           7430SH       SOLE   0             7430
WASHINGTON REIT                REIT          939653101           3044         116402SH       SOLE   0           116402
WASHINGTON TRUST BANCORP       COMMON STOCK  940610108            666          25306SH       SOLE   0            25306
WASTE CONNECTIONS INC          COMMON STOCK  941053100           7312         216393SH       SOLE   0           216393
WASTE MANAGEMENT INC           COMMON STOCK  94106L109          27403         812191SH       SOLE   0           812191
WATERS CORP                    COMMON STOCK  941848103          13582         155898SH       SOLE   0           155898
WATERSTONE FINANCIAL INC       COMMON STOCK  941888109            100          12862SH       SOLE   0            12862
WATSCO INC                     COMMON STOCK  942622200           3863          51581SH       SOLE   0            51581
WATTS WATER TECHNOLOGIES A     COMMON STOCK  942749102           2120          49317SH       SOLE   0            49317
WAUSAU PAPER CORP              COMMON STOCK  943315101            670          77327SH       SOLE   0            77327
WD 40 CO                       COMMON STOCK  929236107           1317          27959SH       SOLE   0            27959
WEB.COM GROUP INC              COMMON STOCK  94733A104            910          61506SH       SOLE   0            61506
WEBMD HEALTH CORP              COMMON STOCK  94770V102           1275          88901SH       SOLE   0            88901
WEBSENSE INC                   COMMON STOCK  947684106            983          65337SH       SOLE   0            65337
WEBSTER FINANCIAL CORP         COMMON STOCK  947890109           2602         126622SH       SOLE   0           126622
WEIGHT WATCHERS INTL INC       COMMON STOCK  948626106           2446          46721SH       SOLE   0            46721
WEINGARTEN REALTY INVESTORS    REIT          948741103           5693         212678SH       SOLE   0           212678
WEIS MARKETS INC               COMMON STOCK  948849104            754          19253SH       SOLE   0            19253
WELLCARE HEALTH PLANS INC      COMMON STOCK  94946T106           3679          75565SH       SOLE   0            75565
WELLPOINT INC                  COMMON STOCK  94973V107          32458         532800SH       SOLE   0           532800
WELLS FARGO + CO               COMMON STOCK  949746101         293818        8596211SH       SOLE   0          8596211
WENDY S CO/THE                 COMMON STOCK  95058W100           2311         491709SH       SOLE   0           491709
WERNER ENTERPRISES INC         COMMON STOCK  950755108           1681          77581SH       SOLE   0            77581
WESBANCO INC                   COMMON STOCK  950810101            993          44709SH       SOLE   0            44709
WESCO AIRCRAFT HOLDINGS INC    COMMON STOCK  950814103            408          30878SH       SOLE   0            30878
WESCO INTERNATIONAL INC        COMMON STOCK  95082P105           5159          76505SH       SOLE   0            76505
WEST BANCORPORATION            COMMON STOCK  95123P106            296          27495SH       SOLE   0            27495
WEST COAST BANCORP/OREGON      COMMON STOCK  952145209            748          33785SH       SOLE   0            33785
WEST MARINE INC                COMMON STOCK  954235107            287          26671SH       SOLE   0            26671
WEST PHARMACEUTICAL SERVICES   COMMON STOCK  955306105           3253          59416SH       SOLE   0            59416
WESTAMERICA BANCORPORATION     COMMON STOCK  957090103           2081          48850SH       SOLE   0            48850
WESTAR ENERGY INC              COMMON STOCK  95709T100           6337         221423SH       SOLE   0           221423
WESTELL TECHNOLOGIES INC A     COMMON STOCK  957541105            149          80454SH       SOLE   0            80454
WESTERN ALLIANCE BANCORP       COMMON STOCK  957638109           1346         127786SH       SOLE   0           127786
WESTERN ASSET MORTGAGE CAPIT   REIT          95790D105            648          32792SH       SOLE   0            32792
WESTERN DIGITAL CORP           COMMON STOCK  958102105          16526         388949SH       SOLE   0           388949
WESTERN REFINING INC           COMMON STOCK  959319104           2833         100493SH       SOLE   0           100493
WESTERN UNION CO               COMMON STOCK  959802109          14637        1075427SH       SOLE   0          1075427
WESTFIELD FINANCIAL INC        COMMON STOCK  96008P104            310          42944SH       SOLE   0            42944
WESTLAKE CHEMICAL CORP         COMMON STOCK  960413102           2782          35084SH       SOLE   0            35084
WESTMORELAND COAL CO           COMMON STOCK  960878106            178          19094SH       SOLE   0            19094
WESTWAY GROUP INC              COMMON STOCK  96169B100            142          21356SH       SOLE   0            21356
WESTWOOD HOLDINGS GROUP INC    COMMON STOCK  961765104            478          11696SH       SOLE   0            11696
WET SEAL INC/THE CLASS A       COMMON STOCK  961840105            438         158726SH       SOLE   0           158726
WEX INC                        COMMON STOCK  96208T104           5138          68166SH       SOLE   0            68166
WEYCO GROUP INC                COMMON STOCK  962149100            274          11719SH       SOLE   0            11719
WEYERHAEUSER CO                REIT          962166104          26235         943015SH       SOLE   0           943015
WGL HOLDINGS INC               COMMON STOCK  92924F106           3545          90455SH       SOLE   0            90455
WHIRLPOOL CORP                 COMMON STOCK  963320106          13787         135502SH       SOLE   0           135502
WHITE MOUNTAINS INSURANCE GP   COMMON STOCK  G9618E107           5384          10455SH       SOLE   0            10455
WHITESTONE REIT                REIT          966084204            342          24327SH       SOLE   0            24327
WHITEWAVE FOODS CO   A         COMMON STOCK  966244105            628          40400SH       SOLE   0            40400
WHITING PETROLEUM CORP         COMMON STOCK  966387102           8949         206343SH       SOLE   0           206343
WHOLE FOODS MARKET INC         COMMON STOCK  966837106          29419         322114SH       SOLE   0           322114
WILEY (JOHN) + SONS CLASS A    COMMON STOCK  968223206           3205          82336SH       SOLE   0            82336
WILLBROS GROUP INC             COMMON STOCK  969203108            366          68263SH       SOLE   0            68263
WILLIAMS COS INC               COMMON STOCK  969457100          38722        1182700SH       SOLE   0          1182700
WILLIAMS SONOMA INC            COMMON STOCK  969904101           6792         155180SH       SOLE   0           155180
WILLIS LEASE FINANCE CORP      COMMON STOCK  970646105            137           9561SH       SOLE   0             9561
WILSHIRE BANCORP INC           COMMON STOCK  97186T108            637         108439SH       SOLE   0           108439
WINDSTREAM CORP                COMMON STOCK  97381W104           8547        1032269SH       SOLE   0          1032269
WINMARK CORP                   COMMON STOCK  974250102            226           3967SH       SOLE   0             3967
WINNEBAGO INDUSTRIES           COMMON STOCK  974637100            879          51322SH       SOLE   0            51322
WINTHROP REALTY TRUST          REIT          976391300            565          51155SH       SOLE   0            51155
WINTRUST FINANCIAL CORP        COMMON STOCK  97650W108           2340          63751SH       SOLE   0            63751
WISCONSIN ENERGY CORP          COMMON STOCK  976657106          14901         404372SH       SOLE   0           404372
WISDOMTREE INVESTMENTS INC     COMMON STOCK  97717P104            629         102749SH       SOLE   0           102749
WMS INDUSTRIES INC             COMMON STOCK  929297109           1691          96648SH       SOLE   0            96648
WOLVERINE WORLD WIDE INC       COMMON STOCK  978097103           3498          85360SH       SOLE   0            85360
WOODWARD INC                   COMMON STOCK  980745103           4626         121310SH       SOLE   0           121310
WORKDAY INC CLASS A            COMMON STOCK  98138H101           2442          44800SH       SOLE   0            44800
WORLD ACCEPTANCE CORP          COMMON STOCK  981419104           1367          18330SH       SOLE   0            18330
WORLD FUEL SERVICES CORP       COMMON STOCK  981475106           5195         126173SH       SOLE   0           126173
WORLD WRESTLING ENTERTAIN A    COMMON STOCK  98156Q108            376          47614SH       SOLE   0            47614
WORTHINGTON INDUSTRIES         COMMON STOCK  981811102           2384          91714SH       SOLE   0            91714
WPX ENERGY INC                 COMMON STOCK  98212B103           5188         348651SH       SOLE   0           348651
WR BERKLEY CORP                COMMON STOCK  084423102           7347         194672SH       SOLE   0           194672
WR GRACE + CO                  COMMON STOCK  38388F108           8805         130963SH       SOLE   0           130963
WRIGHT MEDICAL GROUP INC       COMMON STOCK  98235T107           1447          68955SH       SOLE   0            68955
WSFS FINANCIAL CORP            COMMON STOCK  929328102            563          13316SH       SOLE   0            13316
WW GRAINGER INC                COMMON STOCK  384802104          20753         102550SH       SOLE   0           102550
WYNDHAM WORLDWIDE CORP         COMMON STOCK  98310W108          13623         256032SH       SOLE   0           256032
WYNN RESORTS LTD               COMMON STOCK  983134107          15735         139877SH       SOLE   0           139877
XCEL ENERGY INC                COMMON STOCK  98389B100          22820         854343SH       SOLE   0           854343
XENOPORT INC                   COMMON STOCK  98411C100            586          75384SH       SOLE   0            75384
XEROX CORP                     COMMON STOCK  984121103          15227        2232751SH       SOLE   0          2232751
XILINX INC                     COMMON STOCK  983919101          16624         463071SH       SOLE   0           463071
XL GROUP PLC                   COMMON STOCK  G98290102          13704         546864SH       SOLE   0           546864
XO GROUP INC                   COMMON STOCK  983772104            428          45978SH       SOLE   0            45978
XOMA CORP                      COMMON STOCK  98419J107            342         142924SH       SOLE   0           142924
XPO LOGISTICS INC              COMMON STOCK  983793100            537          30880SH       SOLE   0            30880
XYLEM INC                      COMMON STOCK  98419M100           8818         325376SH       SOLE   0           325376
YAHOO  INC                     COMMON STOCK  984332106          42551        2138234SH       SOLE   0          2138234
YELP INC                       COMMON STOCK  985817105            278          14773SH       SOLE   0            14773
YORK WATER CO                  COMMON STOCK  987184108            395          22480SH       SOLE   0            22480
YOUNG INNOVATIONS INC          COMMON STOCK  987520103            380           9646SH       SOLE   0             9646
YUM  BRANDS INC                COMMON STOCK  988498101          53656         808073SH       SOLE   0           808073
ZAGG INC                       COMMON STOCK  98884U108            329          44696SH       SOLE   0            44696
ZAZA ENERGY CORP               COMMON STOCK  98919T100             89          43543SH       SOLE   0            43543
ZEBRA TECHNOLOGIES CORP CL A   COMMON STOCK  989207105           3573          90974SH       SOLE   0            90974
ZELTIQ AESTHETICS INC          COMMON STOCK  98933Q108            138          29732SH       SOLE   0            29732
ZEP INC                        COMMON STOCK  98944B108            563          38956SH       SOLE   0            38956
ZILLOW INC CLASS A             COMMON STOCK  98954A107            171           6171SH       SOLE   0             6171
ZIMMER HOLDINGS INC            COMMON STOCK  98956P102          20603         309079SH       SOLE   0           309079
ZIONS BANCORPORATION           COMMON STOCK  989701107           6916         323181SH       SOLE   0           323181
ZIOPHARM ONCOLOGY INC          COMMON STOCK  98973P101            485         116679SH       SOLE   0           116679
ZIPCAR INC                     COMMON STOCK  98974X103            389          47190SH       SOLE   0            47190
ZIX CORP                       COMMON STOCK  98974P100            300         106990SH       SOLE   0           106990
ZOGENIX INC                    COMMON STOCK  98978L105            127          95618SH       SOLE   0            95618
ZOLTEK COMPANIES INC           COMMON STOCK  98975W104            374          48234SH       SOLE   0            48234
ZUMIEZ INC                     COMMON STOCK  989817101            746          38459SH       SOLE   0            38459
ZYGO CORP                      COMMON STOCK  989855101            450          28632SH       SOLE   0            28632
ZYNGA INC   CL A               COMMON STOCK  98986T108            580         244795SH       SOLE   0           244795
HHGREGG INC                    COMMON STOCK  42833L108            193          27507SH       SOLE   0            27507
METROPCS COMMUNICATIONS INC    COMMON STOCK  591708102           9951        1001065SH       SOLE   0          1001065
MOBILE MINI INC                COMMON STOCK  60740F105          15763         756751SH       SOLE   0           756751
SELECT MEDICAL HOLDINGS CORP   COMMON STOCK  81619Q105          27632        2898400SH       SOLE   0          2898400
RLJ LODGING TRUST              REIT          74965L101         173559        8960207SH       SOLE   0          8960207