Macquarie Group

Macquarie as of June 30, 2012

Portfolio Holdings for Macquarie

Macquarie holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

                Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
3M CO                       COMMON       88579Y101   6,135      68,470   SH       DEFINED        6      68,470
3M CO COM                Common Stock    88579Y101    600        6,700   SH       DEFINED        2       6,700
3M CO COM                    STOCK       88579Y101     37         411    SH       DEFINED        1        411
3M COMPANY               Common Stock    88579Y101    475        5,305   SH       DEFINED        5       5,305
AAON INC                    COMMON       000360206   3,675      194,972  SH       DEFINED        6      194,972
ABB LTD                       ADR        000375204   53,287    3,265,115 SH       DEFINED        6     2,821,506           443,609
ABBOTT
LABORATORIES                COMMON       002824100   47,327     734,101  SH       DEFINED        6      734,101
ABBOTT LABS              Common Stock    002824100   1,165      18,066   SH       DEFINED        5      18,066
ABBOTT LABS COM          Common Stock    002824100   1,032      16,000   SH       DEFINED        2      16,000
ABERCROMBIE & FITCH
 CO                         COMMON       002896207   1,465      42,900   SH       DEFINED        6      42,900
ABIOMED INC                 COMMON       003654100   81,575    3,574,722 SH       DEFINED        6     3,522,411            52,311
ABOVENET INC                COMMON       00374N107    672        8,000   SH       DEFINED        6       8,000
ACADIA REALTY TRUST          REIT        004239109   5,492      236,916  SH       DEFINED        6      236,916
ACADIA RLTY TR COM
 SH BEN INT                  REIT        004239109    420       18,113   SH       DEFINED        2      18,113
ACCENTURE PLC               COMMON       G1151C101   39,787     662,129  SH       DEFINED        6      662,129
ACCO BRANDS CORP            COMMON       00081T108   1,655      160,029  SH       DEFINED        6      160,029
ACE LTD                     COMMON       H0023R105   2,952      39,820   SH       DEFINED        6      39,820
ACORDA
 THERAPEUTICS INC           COMMON       00484M106   1,445      61,324   SH       DEFINED        6      61,324
ACORN ENERGY INC            COMMON       004848107    832       100,000  SH       DEFINED        6      100,000
ACTIVISION BLIZZARD
 INC COM                 Common Stock    00507V109     24        2,000   SH       DEFINED        2       2,000
ACTUANT CORP                COMMON       00508X203   22,668     834,615  SH       DEFINED        6      826,562              8,053
ACUITY BRANDS INC           COMMON       00508Y102   6,290      123,552  SH       DEFINED        6      123,552
ADOBE SYS INC COM        Common Stock    00724F101    129        4,000   SH       DEFINED        2       4,000
ADOBE SYSTEMS INC           COMMON       00724F101  494,187   15,266,807 SH       DEFINED        6    15,258,599             8,208
ADTRAN INC                  COMMON       00738A106   2,262      74,910   SH       DEFINED        6      74,910
ADVANCE AUTO PARTS
 INC                        COMMON       00751Y106   1,126      16,500   SH       DEFINED        6      16,500
ADVANCE AUTO PARTS
 INC COM                 Common Stock    00751Y106    109        1,600   SH       DEFINED        2       1,600
ADVANCED ENERGY
INDUSTRIES INC              COMMON       007973100   2,474      184,325  SH       DEFINED        6      184,325
ADVANCED MICRO
DEVICES INC COM          Common Stock    007903107     74       12,900   SH       DEFINED        2      12,900
ADVANCED
 SEMICONDUCTOR - ADR          ADR        00756M404     0           1     SH       DEFINED        6         1
ADVENT SOFTWARE
 INC                        COMMON       007974108    542       20,000   SH       DEFINED        6      20,000
ADVISORSHARES TR
ACTIVE BEAR              Common Stock    00768Y883    375       16,091   SH       DEFINED        5      16,091
ADVISORY BOARD
 CO/THE                     COMMON       00762W107   1,295      26,120   SH       DEFINED        6      26,120
AEGION CORP                 COMMON       00770F104   1,664      93,000   SH       DEFINED        6      93,000
AES CORP COM             Common Stock    00130H105    127        9,900   SH       DEFINED        2       9,900
AES CORP COM                 STOCK       00130H105    102        7,919   SH       DEFINED        1       7,919
AETNA INC                   COMMON       00817Y108   1,473      38,000   SH       DEFINED        6      38,000
AETNA INC NEW COM        Common Stock    00817Y108    186        4,800   SH       DEFINED        2       4,800
AFC ENTERPRISES INC         COMMON       00104Q107   2,431      105,039  SH       DEFINED        6      105,039
AFFILIATED MANAGERS
 GROUP INC                  COMMON       008252108  129,816    1,186,075 SH       DEFINED        6     1,168,981            17,094
AFLAC INC                   COMMON       001055102   28,902     678,604  SH       DEFINED        6      678,604
AFLAC INC COM            Common Stock    001055102    204        4,800   SH       DEFINED        2       4,800
AGCO CORP                   COMMON       001084102   1,565      34,224   SH       DEFINED        6      34,224
AGCO CORP COM            Common Stock    001084102     87        1,900   SH       DEFINED        2       1,900
AGILENT
 TECHNOLOGIES INC           COMMON       00846U101   5,835      148,700  SH       DEFINED        6      148,700
AGILENT
TECHNOLOGIES INC
 COM                     Common Stock    00846U101     98        2,500   SH       DEFINED        2       2,500
AGL RESOURCES               COMMON       001204106   11,013     284,203  SH       DEFINED        6      284,203
AGNICO EAGLE MINES
 LTD COM                     STOCK       008474108    232        5,726   SH       DEFINED        1       5,726
AGNICO EAGLE MNS
 LTD                     Common Stock    008474108    731       18,074   SH       DEFINED        5      18,074
AGREE REALTY CORP
 COM                         REIT        008492100    102        4,630   SH       DEFINED        2       4,630
AGRIUM INC               Common Stock    008916108   2,374      26,834   SH       DEFINED        5      26,834
AGRIUM INC                  COMMON       008916108   3,666      41,438   SH       DEFINED        6      41,438
AIR METHODS CORP            COMMON       009128307   2,557      26,028   SH       DEFINED        6      26,028
AIR PRODS & CHEMS
 INC COM                 Common Stock    009158106    186        2,300   SH       DEFINED        2       2,300
AIR PRODUCTS &
CHEMICALS INC               COMMON       009158106   3,237      40,100   SH       DEFINED        6      40,100
AIRGAS INC COM           Common Stock    009363102     50         600    SH       DEFINED        2        600
AIRMEDIA GROUP INC            ADR        009411109     79       33,000   SH       DEFINED        6      33,000
AKAMAI
 TECHNOLOGIES INC           COMMON       00971T101    908       28,600   SH       DEFINED        6      28,600
AKAMAI
TECHNOLOGIES INC
 COM                     Common Stock    00971T101     54        1,700   SH       DEFINED        2       1,700
AKORN INC                   COMMON       009728106    725       46,000   SH       DEFINED        6      46,000<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
ALBANY
INTERNATIONAL CORP          COMMON       012348108   2,253      120,400  SH       DEFINED        6      120,400
ALBEMARLE CORP              COMMON       012653101   54,008     905,571  SH       DEFINED        6      899,041              6,530
ALCOA INC COM            Common Stock    013817101     74        8,400   SH       DEFINED        2       8,400
ALCOA INC NOTE
 5.250% 3/1                  Stock       013817AT8    891       595,000  PRN      DEFINED        8
ALEXANDER &
BALDWIN HOLDINGS I          COMMON       014481105   33,351     626,309  SH       DEFINED        6      620,123              6,186
ALEXANDERS INC COM           REIT        014752109    345         800    SH       DEFINED        2        800
ALEXANDRIA REAL
 ESTATE EQ IN COM        Common Stock    015271109   1,644      22,606   SH       DEFINED        2      22,606
ALEXANDRIA REAL
 ESTATE EQUITIE              REIT        015271109   1,781      24,493   SH       DEFINED        6      24,493
ALEXION
 PHARMACEUTICALS INC        COMMON       015351109   2,274      22,900   SH       DEFINED        6      22,900
ALEXION
PHARMACEUTICALS INC
 COM                     Common Stock    015351109    109        1,100   SH       DEFINED        2       1,100
ALIGN TECHNOLOGY
 INC                        COMMON       016255101   2,654      79,310   SH       DEFINED        6      79,310
ALIMERA SCIENCES
 INC                        COMMON       016259103     78       26,100   SH       DEFINED        6      26,100
ALKERMES PLC                COMMON       G01767105   2,618      154,267  SH       DEFINED        6      154,267
ALLEGHENY
 TECHNOLOGIES INC           COMMON       01741R102   7,293      228,695  SH       DEFINED        6      228,695
ALLEGHENY
TECHNOLOGIES INC
 NOTE 4.250% 6/0             Stock       01741RAD4    528       455,000  PRN      DEFINED        8
ALLERGAN INC COM         Common Stock    018490102    241        2,600   SH       DEFINED        2       2,600
ALLERGAN INC COM         Common Stock    018490102    777        8,390   SH       DEFINED        8                           8,390
ALLERGAN INC/UNITED
 STATES                     COMMON       018490102  664,789    7,181,477 SH       DEFINED        6     7,177,761             3,716
ALLIANCE DATA
 SYSTEMS CORP COM        Common Stock    018581108     81         600    SH       DEFINED        2        600
ALLIANCE DATA
 SYSTEMS CORP COM        Common Stock    018581108   1,828      13,540   SH       DEFINED        8                          13,540
ALLIANCE
HEALTHCARE
 SERVICES I                 COMMON       018606202    273       273,702  SH       DEFINED        6      273,702
ALLIANT ENERGY
 CORP COM                Common Stock    018802108     41         900    SH       DEFINED        2        900
ALLIANT ENERGY
 CORP COM                    STOCK       018802108     31         691    SH       DEFINED        1        691
ALLIANT
 TECHSYSTEMS INC            COMMON       018804104   2,453      48,500   SH       DEFINED        6      48,500
ALLSTATE CORP COM        Common Stock    020002101    130        3,700   SH       DEFINED        2       3,700
ALLSTATE CORP COM        Common Stock    020002101   2,888      82,300   SH       DEFINED        8                          82,300
ALLSTATE CORP/THE           COMMON       020002101  212,072    6,043,665 SH       DEFINED        6     5,948,860            94,805
ALPHA NATURAL
 RESOURCES INC COM       Common Stock    02076X102     21        2,400   SH       DEFINED        2       2,400
ALPHA NATURAL
 RESOURCES INC COM         SPON ADR      02076X102   2,259      259,340  SH       DEFINED        1      259,340
ALPHA NATURAL
 RESOURCES INC COM          OPTION       02076X102     22        2,500       CALL DEFINED        1                           2,500
ALTERA CORP COM          Common Stock    021441100    105        3,100   SH       DEFINED        2       3,100
ALTERRA CAPITAL
 HOLDINGS LTD               COMMON       G0229R108   2,078      88,979   SH       DEFINED        6      88,979
ALTRA HOLDINGS INC          COMMON       02208R106   14,940     946,737  SH       DEFINED        6      937,754              8,983
ALTRIA GROUP INC            COMMON       02209S103   13,115     379,597  SH       DEFINED        6      379,597
ALTRIA GROUP INC
 COM                     Common Stock    02209S103    767       22,200   SH       DEFINED        2      22,200
ALTRIA GRP INC           Common Stock    02209S103    849       24,583   SH       DEFINED        5      24,583
ALUMINA LTD                   ADR        022205108   1,645      500,000  SH       DEFINED        6      500,000
AM CASTLE & CO              COMMON       148411101   1,676      157,793  SH       DEFINED        6      157,793
AMAZON COM INC COM           STOCK       023135106     12         54     SH       DEFINED        1        54
AMAZON COM INC COM       Common Stock    023135106   1,649       7,220   SH       DEFINED        8                           7,220
AMAZON.COM INC              COMMON       023135106   19,376     84,854   SH       DEFINED        6      84,854
AMC NETWORKS INC
 CL A                    Common Stock    00164V103     20         575    SH       DEFINED        2        575
AMEDISYS INC                COMMON       023436108    747       60,000   SH       DEFINED        6      60,000
AMEREN CORP COM          Common Stock    023608102   1,295      38,600   SH       DEFINED        3                          38,600
AMEREN CORP COM          Common Stock    023608102   1,328      39,600   SH       DEFINED        2      39,600
AMEREN CORP COM              STOCK       023608102     51        1,509   SH       DEFINED        1       1,509
AMERICA MOVIL SAB
 DE CV                        ADR        02364W105   44,307    1,700,174 SH       DEFINED        6     1,700,174
AMERICA MOVIL SAB
DE CV SPON ADR L SHS          ADR        02364W105    406       15,593   SH       DEFINED        8                          15,593
AMERICAN ASSETS TR
 INC COM                     REIT        024013104    352       14,500   SH       DEFINED        2      14,500
AMERICAN AXLE &
MANUFACTURER             Common Stock    024061103    119       11,304   SH       DEFINED        5      11,304
AMERICAN CAMPUS
 CMNTYS INC COM          Common Stock    024835100   1,312      29,173   SH       DEFINED        2      29,173
AMERICAN CAMPUS
 COMMUNITIES IN              REIT        024835100    495       11,000   SH       DEFINED        6      11,000
AMERICAN CAPITAL
 AGENCY CORP                 REIT        02503X105   14,667     436,383  SH       DEFINED        6      436,383
AMERICAN EAGLE
 OUTFITTERS INC             COMMON       02553E106   5,763      292,100  SH       DEFINED        6      292,100
AMERICAN ELEC PWR
 INC COM                 Common Stock    025537101   8,174      204,867  SH       DEFINED        4      204,867
AMERICAN ELEC PWR
 INC COM                 Common Stock    025537101   12,656     317,200  SH       DEFINED        3      58,100    53,700   205,400
AMERICAN ELEC PWR
 INC COM                 Common Stock    025537101   7,985      200,120  SH       DEFINED        2      200,120
AMERICAN ELEC PWR
 INC COM                     STOCK       025537101    120        3,002   SH       DEFINED        1       3,002
AMERICAN ELECTRIC
 POWER CO INC               COMMON       025537101    505       12,667   SH       DEFINED        6      12,667
AMERICAN EQUITY
 INVESTMENT LIF             COMMON       025676206   2,725      247,528  SH       DEFINED        6      247,528
AMERICAN EXPRESS
 CO                         COMMON       025816109   3,350      57,555   SH       DEFINED        6      57,555
AMERICAN EXPRESS
 CO COM                  Common Stock    025816109    634       10,900   SH       DEFINED        2      10,900
AMERICAN EXPRESS
 CO COM                  Common Stock    025816109   1,495      25,683   SH       DEFINED        8                          25,683<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
AMERICAN FINANCIAL
 GROUP INC/O                COMMON       025932104   11,112     283,249  SH       DEFINED        6      283,249
AMERICAN
 INTERNATIONAL GROUP     Common Stock    026874784    405       12,631   SH       DEFINED        5      12,631
AMERICAN INTL GROUP
 INC *W EXP 01/19/202     Equity WRT     026874156     5          477    SH       DEFINED        2        477
AMERICAN INTL GROUP
 INC COM NEW             Common Stock    026874784    138        4,295   SH       DEFINED        2       4,295
AMERICAN INTL GROUP
 INC COM NEW                OPTION       026874784   1,771      55,192       CALL DEFINED        1                          55,192
AMERICAN PUBLIC
 EDUCATION INC              COMMON       02913V103    218        6,820   SH       DEFINED        6       6,820
AMERICAN RLTY CAP
 TR INC COM                  REIT        02917L101    459       42,000   SH       DEFINED        2      42,000
AMERICAN TOWER
 CORP                        REIT        03027X100   15,150     216,711  SH       DEFINED        6      216,711
AMERICAN TOWER
 CORP NEW COM            Common Stock    03027X100   1,112      15,900   SH       DEFINED        4      15,900
AMERICAN TOWER
 CORP NEW COM            Common Stock    03027X100   16,170     231,300  SH       DEFINED        3                 3,000   228,300
AMERICAN TOWER
 CORP NEW COM            Common Stock    03027X100   17,486     250,125  SH       DEFINED        2      250,125
AMERICAN WATER
 WORKS CO INC               COMMON       030420103    532       15,525   SH       DEFINED        6      15,525
AMERICAN WTR WKS
 CO INC NEW COM          Common Stock    030420103   12,562     366,456  SH       DEFINED        4      366,456
AMERICAN WTR WKS
 CO INC NEW COM          Common Stock    030420103   18,671     544,656  SH       DEFINED        3      137,600   53,656   353,400
AMERICAN WTR WKS
 CO INC NEW COM          Common Stock    030420103   4,042      117,905  SH       DEFINED        2      117,905
AMERICAN WTR WKS
 CO INC NEW COM              STOCK       030420103     37        1,087   SH       DEFINED        1       1,087
AMERIPRISE FINANCIAL
 INC                        COMMON       03076C106   15,236     291,544  SH       DEFINED        6      291,544
AMERIPRISE FINL INC
 COM                     Common Stock    03076C106    118        2,260   SH       DEFINED        2       2,260
AMERIPRISE FINL INC
 COM                     Common Stock    03076C106    554       10,600   SH       DEFINED        8                          10,600
AMERISOURCEBERGEN
 CORP COM                Common Stock    03073E105    150        3,800   SH       DEFINED        2       3,800
AMERISOURCEBERGEN
 CORP COM                Common Stock    03073E105    706       17,950   SH       DEFINED        8                          17,950
AMETEK INC                  COMMON       031100100   5,627      112,750  SH       DEFINED        6      112,750
AMETEK INC NEW COM       Common Stock    031100100     40        1,200   SH       DEFINED        2       1,200
AMGEN INC                Common Stock    031162100    265        3,636   SH       DEFINED        5       3,636
AMGEN INC COM            Common Stock    031162100    637        8,734   SH       DEFINED        2       8,734
AMGEN INC NOTE
 0.375% 2/0                  Stock       031162AQ3   2,071     1,990,000 PRN      DEFINED        8
AMKOR TECHNOLOGY
 INC                        COMMON       031652100   1,036      212,362  SH       DEFINED        6      212,362
AMPHENOL CORP               COMMON       032095101   1,560      28,400   SH       DEFINED        6      28,400
AMPHENOL CORP NEW
 CL A                    Common Stock    032095101     93        1,700   SH       DEFINED        2       1,700
AMYLIN
 PHARMACEUTICALS INC        COMMON       032346108   1,179      41,780   SH       DEFINED        6      41,780
ANADARKO PETE CORP
 COM                     Common Stock    032511107    344        5,200   SH       DEFINED        2       5,200
ANADARKO
 PETROLEUM CORP             COMMON       032511107   6,995      105,669  SH       DEFINED        6      105,669
ANALOG DEVICES INC
 COM                     Common Stock    032654105    128        3,400   SH       DEFINED        2       3,400
ANALOG DEVICES INC
 COM                     Common Stock    032654105    365        9,690   SH       DEFINED        8                           9,690
ANGLOGOLD ASHANTI
LTD SPONSORED ADR             ADR         35128206    213        6,191   SH       DEFINED        8                           6,191
ANHEUSER-BUSCH
 INBEV                        ADR        03524A108   2,693      33,814   SH       DEFINED        6      33,814
ANIXTER
 INTERNATIONAL INC          COMMON       035290105   1,648      31,070   SH       DEFINED        6      31,070
ANNALY CAP MGMT INC
 COM                         REIT        035710409    156        9,300   SH       DEFINED        2       9,300
ANNALY CAPITAL
 MANAGEMENT INC              REIT        035710409   2,241      133,558  SH       DEFINED        6      133,558
ANSYS INC                   COMMON       03662Q105   2,263      35,860   SH       DEFINED        6      35,860
ANTHERA
 PHARMACEUTICALS INC        COMMON       03674U102     33       48,500   SH       DEFINED        6      48,500
AOL INC COM              Common Stock    00184X105     1          45     SH       DEFINED        2        45
AON PLC                     COMMON       G0408V102   3,393      72,540   SH       DEFINED        6      72,540
APACHE CORP                 COMMON       037411105   21,226     241,503  SH       DEFINED        6      241,503
APACHE CORP COM          Common Stock    037411105    352        4,000   SH       DEFINED        2       4,000
APARTMENT
INVESTMENT &
 MANAGEM                     REIT        03748R101   22,067     816,400  SH       DEFINED        6      816,400
APARTMENT INVT &
MGMT CO CL A                 REIT        03748R101   1,326      49,040   SH       DEFINED        2      49,040
APOLLO GROUP INC            COMMON       037604105  199,627    5,516,075 SH       DEFINED        6     5,512,688             3,387
APOLLO GROUP INC CL
 A                       Common Stock    037604105     58        1,600   SH       DEFINED        2       1,600
APPLE INC                Common Stock    037833100   10,459     17,909   SH       DEFINED        5      17,909
APPLE INC                   COMMON       037833100 1,357,897   2,325,166 SH       DEFINED        6     2,324,064             1,102
APPLE INC COM            Common Stock    037833100   5,288       9,055   SH       DEFINED        2       9,055
APPLE INC COM                STOCK       037833100   1,670       2,860   SH       DEFINED        1       2,860
APPLE INC COM               OPTION       037833100   1,308       2,240       PUT  DEFINED        1                           2,240
APPLE INC COM            Common Stock    037833100   8,275      14,170   SH       DEFINED        8                          14,170
APPLIED INDUSTRIAL
 TECHNOLOGIE                COMMON       03820C105   2,622      71,144   SH       DEFINED        6      71,144
APPLIED MATLS INC
 COM                     Common Stock    038222105    164       14,300   SH       DEFINED        2      14,300
APPLIED MICRO
 CIRCUITS CORP              COMMON       03822W406   1,344      235,026  SH       DEFINED        6      235,026
APPROACH
 RESOURCES INC              COMMON       03834A103    511       20,000   SH       DEFINED        6      20,000
APTARGROUP INC              COMMON       038336103   2,113      41,400   SH       DEFINED        6      41,400
AQUA AMERICA INC
 COM                         STOCK       03836W103     21         860    SH       DEFINED        1        860
ARCH CAP GROUP LTD
 ORD                       Ltd Part      559080106   5,968      84,481   SH       DEFINED        7                          84,481<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
ARCH CAP GROUP LTD
 ORD                     Common Stock    G0450A105     48        1,200   SH       DEFINED        2       1,200
ARCH COAL INC COM        Common Stock    039380100     18        2,600   SH       DEFINED        2       2,600
ARCHER DANIELS
 MIDLAND CO              Common Stock    039483102    957       32,405   SH       DEFINED        5      32,405
ARCHER DANIELS
 MIDLAND CO COM          Common Stock    039483102    133        4,500   SH       DEFINED        2       4,500
ARCHER DANIELS
 MIDLAND CO COM          Common Stock    039483102   2,589      87,700   SH       DEFINED        8                          87,700
ARCHER DANIELS
MIDLAND CO NOTE
 0.875% 2/1                  Stock       039483AW2   1,051     1,045,000 PRN      DEFINED        8
ARCHER-DANIELS-
 MIDLAND CO                 COMMON       039483102  220,604    7,473,033 SH       DEFINED        6     7,377,606            95,427
ARCOS DORADOS
 HOLDINGS INC               COMMON       G0457F107    563       38,100   SH       DEFINED        6      38,100
ARENA
 PHARMACEUTICALS INC        COMMON       040047102    627       62,830   SH       DEFINED        6      62,830
ARIAD
 PHARMACEUTICALS INC        COMMON       04033A100    695       40,400   SH       DEFINED        6      40,400
ARIBA INC                   COMMON       04033V203    582       13,000   SH       DEFINED        6      13,000
ARM HOLDINGS - ADR            ADR        042068106    869       36,513   SH       DEFINED        6      36,513
ARROW ELECTRS INC
 COM                     Common Stock    042735100    214        6,529   SH       DEFINED        5       6,529
ARROW ELECTRS INC
 COM                     Common Stock    042735100     36        1,100   SH       DEFINED        2       1,100
ARTHUR J GALLAGHER
 & CO                       COMMON       363576109    811       23,112   SH       DEFINED        6      23,112
ASHFORD HOSPITALITY
 TR INC COM SHS              REIT        044103109    277       32,854   SH       DEFINED        2      32,854
ASHFORD HOSPITALITY
 TRUST INC                   REIT        044103109   1,138      135,000  SH       DEFINED        6      135,000
ASHLAND INC                 COMMON       044209104   2,059      29,700   SH       DEFINED        6      29,700
ASML HOLDING NV             NYSHRS       N07059186   2,949      57,350   SH       DEFINED        6      57,350
ASPEN INSURANCE
 HOLDINGS LTD               COMMON       G05384105   2,326      80,500   SH       DEFINED        6      80,500
ASSOCIATED BANC-
 CORP                       COMMON       045487105   3,898      295,500  SH       DEFINED        6      295,500
ASSOCIATED ESTATES
 REALTY CORP                 REIT        045604105    725       48,494   SH       DEFINED        6      48,494
ASSOCIATED ESTATES
 RLTY CORP COM               REIT        045604105    301       20,120   SH       DEFINED        2      20,120
ASSURANT INC             Common Stock    04621X108    487       13,969   SH       DEFINED        5      13,969
ASSURANT INC COM         Common Stock    04621X108     35        1,000   SH       DEFINED        2       1,000
ASTRAZENECA PLC               ADR        046353108    661       14,768   SH       DEFINED        6      14,768
AT^T INC                 Common Stock    00206R102   1,201      33,687   SH       DEFINED        5      33,687
AT^T INC                    COMMON       00206R102  272,474    7,640,894 SH       DEFINED        6     7,547,313            93,580
AT^T INC COM             Common Stock    00206R102   2,058      57,721   SH       DEFINED        2      57,721
AT^T INC COM             Common Stock    00206R102   2,877      80,670   SH       DEFINED        8                          80,670
ATHENAHEALTH INC            COMMON       04685W103   99,135    1,252,173 SH       DEFINED        6     1,233,589            18,584
ATLANTIC TELE-
 NETWORK INC                COMMON       049079205    986       29,240   SH       DEFINED        6      29,240
ATMEL CORP                  COMMON       049513104   1,039      155,000  SH       DEFINED        6      155,000
ATWOOD OCEANICS
 INC                        COMMON       050095108   4,086      107,980  SH       DEFINED        6      107,980
AURICO GOLD INC.            COMMON       05155C105    608       75,894   SH       DEFINED        6      46,315              29,579
AURIZON MNS LTD          Common Stock    05155P106    365       81,000   SH       DEFINED        5      81,000
AUTODESK INC                COMMON       052769106    787       22,500   SH       DEFINED        6      22,500
AUTODESK INC COM         Common Stock    052769106     84        2,400   SH       DEFINED        2       2,400
AUTOLIV INC                 COMMON       052800109   12,082     221,034  SH       DEFINED        6      219,138              1,896
AUTOLIV INC COM          Common Stock    052800109     55        1,000   SH       DEFINED        2       1,000
AUTOMATIC DATA
 PROCESSING IN COM       Common Stock    053015103    245        4,400   SH       DEFINED        2       4,400
AUTOMATIC DATA
 PROCESSING INC             COMMON       053015103    855       15,366   SH       DEFINED        6      15,366
AUTOZONE INC                COMMON       053332102   3,898      10,617   SH       DEFINED        6      10,617
AUTOZONE INC COM         Common Stock    053332102    140         380    SH       DEFINED        2        380
AUXILIUM
 PHARMACEUTICALS INC        COMMON       05334D107   1,917      71,300   SH       DEFINED        6      71,300
AVAGO
TECHNOLOGIES LTD            COMMON       Y0486S104   16,162     450,207  SH       DEFINED        6      450,207
AVALONBAY CMNTYS
 INC COM                 Common Stock    053484101   5,097      36,028   SH       DEFINED        2      36,028
AVALONBAY
 COMMUNITIES INC             REIT        053484101   31,080     219,678  SH       DEFINED        6      219,678
AVEO
 PHARMACEUTICALS INC        COMMON       053588109    359       29,500   SH       DEFINED        6      29,500
AVERY DENNISON
 CORP                       COMMON       053611109   2,351      86,000   SH       DEFINED        6      86,000
AVERY DENNISON
 CORP COM                Common Stock    053611109     41        1,500   SH       DEFINED        2       1,500
AVIS BUDGET GROUP
 INC                        COMMON       053774105   1,599      105,170  SH       DEFINED        6      105,170
AVNET INC                   COMMON       053807103   6,993      226,606  SH       DEFINED        6      226,606
AVNET INC COM            Common Stock    053807103    375       12,147   SH       DEFINED        5      12,147
AVNET INC COM            Common Stock    053807103     40        1,300   SH       DEFINED        2       1,300
AVON PRODS INC COM       Common Stock    054303102     73        4,500   SH       DEFINED        2       4,500
AVON PRODUCTS INC           COMMON       054303102  231,893   14,305,569 SH       DEFINED        6    14,305,569
AXIS CAPITAL
 HOLDINGS LTD               COMMON       G0692U109   2,139      65,700   SH       DEFINED        6      65,700
B/E AEROSPACE INC           COMMON       073302101   1,231      28,200   SH       DEFINED        6      28,200
BABCOCK & WILCOX
 CO                         COMMON       05615F102    483       19,700   SH       DEFINED        6      19,700
BAIDU INC                     ADR        056752108   43,231     375,988  SH       DEFINED        6      375,988
BAIDU INC S/ADR          Common Stock    056752108    202        1,757   SH       DEFINED        5       1,757
BAIDU INC SPON ADR
 REP A                       STOCK       056752108     57         500    SH       DEFINED        1        500
BAKER HUGHES INC            COMMON       057224107   6,775      164,854  SH       DEFINED        6      164,854<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
BAKER HUGHES INC
 COM                     Common Stock    057224107    169        4,120   SH       DEFINED        2       4,120
BALL CORP COM            Common Stock    058498106     41        1,000   SH       DEFINED        2       1,000
BALLY TECHNOLOGIES
 INC                        COMMON       05874B107   4,301      92,167   SH       DEFINED        6      92,167
BANCO BILBAO
VIZCAYA ARGENTA
 SPONSORED ADR               STOCK       05946K101     12        1,639   SH       DEFINED        1       1,639
BANCO BRADESCO S A
 SP ADR PFD NEW               ADR        059460303    405       27,240   SH       DEFINED        8                          27,240
BANCO BRADESCO SA             ADR        059460303   6,580      442,530  SH       DEFINED        6      442,530
BANCO DE CHILE
 SPONSORED ADR               STOCK       059520106   4,563      54,000   SH       DEFINED        1      54,000
BANCO SANTANDER
 BRASIL SA/BRAZ               ADR        05967A107   47,723    6,157,779 SH       DEFINED        6     6,157,779
BANCO SANTANDER
 CHILE                        ADR        05965X109   3,805      49,100   SH       DEFINED        6      49,100
BANCO SANTANDER SA            ADR        05964H105   28,611    4,361,471 SH       DEFINED        6     3,769,335           592,135
BANCOLOMBIA S A
 SPON ADR PREF                ADR        05968L102    189        3,061   SH       DEFINED        8                           3,061
BANCOLOMBIA SA                ADR        05968L102   1,657      26,800   SH       DEFINED        6      26,800
BANCORPSOUTH INC            COMMON       059692103   3,133      215,800  SH       DEFINED        6      215,800
BANK OF AMERICA
 CORP                       COMMON       060505104   3,506      428,570  SH       DEFINED        6      428,570
BANK OF AMERICA
 CORPORATION COM         Common Stock    060505104    847       103,537  SH       DEFINED        2      103,537
BANK OF AMERICA
 CORPORATION COM             STOCK       060505104    397       48,581   SH       DEFINED        1      48,581
BANK OF AMERICA
 CORPORATION COM            OPTION       060505104    235       28,740       PUT  DEFINED        1                          28,740
BANK OF HAWAII CORP         COMMON       062540109   38,829     845,028  SH       DEFINED        6      839,109              5,919
BANK OF NEW YORK
 MELLON CORP COM         Common Stock    064058100    221       10,083   SH       DEFINED        2      10,083
BANK OF NEW YORK
 MELLON CORP COM         Common Stock    064058100   3,023      137,700  SH       DEFINED        8                         137,700
BANK OF NEW YORK
 MELLON CORP/T              COMMON       064058100  221,360   10,084,759 SH       DEFINED        6     9,947,662           137,097
BANKUNITED INC              COMMON       06652K103   1,870      79,300   SH       DEFINED        6      79,300
BARCLAYS BANK PLC
 IPATH                   Common Stock    06739F291    222        4,300   SH       DEFINED        5       4,300
BARD C R INC COM         Common Stock    067383109     86         800    SH       DEFINED        2        800
BARNES GROUP INC            COMMON       067806109   2,020      83,161   SH       DEFINED        6      83,161
BARRICK GLD CORP         Common Stock    067901108   2,997      79,763   SH       DEFINED        5      79,763
BARRICK GOLD CORP
 COM                         STOCK       067901108   2,408      64,100   SH       DEFINED        1      64,100
BARRICK GOLD CORP
 COM                        OPTION       067901108    570       15,174       CALL DEFINED        1                          15,174
BAXTER
 INTERNATIONAL INC          COMMON       071813109  214,230    4,030,675 SH       DEFINED        6     3,976,520            54,155
BAXTER INTL INC COM      Common Stock    071813109    335        6,300   SH       DEFINED        2       6,300
BAXTER INTL INC COM      Common Stock    071813109   2,982      56,100   SH       DEFINED        8                          56,100
BAYTEX ENERGY CORP
 NEW                     Common Stock    07317Q105   5,036      119,586  SH       DEFINED        5      119,586
BAZAARVOICE INC             COMMON       073271108    113        6,200   SH       DEFINED        6       6,200
BB^T CORP COM            Common Stock    054937107    167        5,400   SH       DEFINED        2       5,400
BBCN BANCORP INC            COMMON       073295107   2,035      186,832  SH       DEFINED        6      186,832
BCE INC NEW              Common Stock    05534B760   25,668     623,008  SH       DEFINED        5      623,008
BEAM INC                    COMMON       073730103   5,568      89,100   SH       DEFINED        6      89,100
BEAM INC COM             Common Stock    073730103     50         800    SH       DEFINED        2        800
BECTON DICKINSON &
 CO COM                  Common Stock    075887109    187        2,500   SH       DEFINED        2       2,500
BECTON DICKINSON
 AND CO                     COMMON       075887109   7,817      104,570  SH       DEFINED        6      104,570
BED BATH & BEYOND
 INC COM                 Common Stock    075896100    136        2,200   SH       DEFINED        2       2,200
BERKLEY W R CORP
 COM                     Common Stock    084423102     39        1,000   SH       DEFINED        2       1,000
BERKSHIRE
HATHAWAY INC DEL CL
 B NEW                   Common Stock    084670702    742        8,900   SH       DEFINED        2       8,900
BERKSHIRE HILLS
 BANCORP INC                COMMON       084680107    561       25,500   SH       DEFINED        6      25,500
BERRY PETROLEUM
 CO                         COMMON       085789105   1,756      44,270   SH       DEFINED        6      44,270
BEST BUY INC COM         Common Stock    086516101     80        3,800   SH       DEFINED        2       3,800
BHP BILLITON LTD              ADR        088606108   27,961     428,190  SH       DEFINED        6      428,190
BHP BILLITON LTD
 S/ADR                   Common Stock    088606108    388        5,945   SH       DEFINED        5       5,945
BHP BILLITON LTD
 SPONSORED ADR               STOCK       088606108    236        3,608   SH       DEFINED        1       3,608
BHP BILLITON PLC
 SPONS ADR               Common Stock    05545E209    699       12,220   SH       DEFINED        5      12,220
BIG LOTS INC                COMMON       089302103   32,200     789,418  SH       DEFINED        6      783,767              5,651
BIOGEN IDEC INC             COMMON       09062X103   8,675      60,087   SH       DEFINED        6      60,087
BIOGEN IDEC INC COM      Common Stock    09062X103    390        2,700   SH       DEFINED        2       2,700
BIOGEN IDEC INC COM      Common Stock    09062X103    843        5,840   SH       DEFINED        8                           5,840
BIOMARIN
 PHARMACEUTICAL INC         COMMON       09061G101   2,019      51,000   SH       DEFINED        6      51,000
BIOMED REALTY
 TRUST INC                   REIT        09063H107   1,625      87,000   SH       DEFINED        6      87,000
BIOMED REALTY
 TRUST INC COM               REIT        09063H107   1,071      57,311   SH       DEFINED        2      57,311
BITAUTO HOLDINGS
 LTD                          ADR        091727107    993       242,800  SH       DEFINED        6      242,800
BK OF AMER CORP
 NEW                     Common Stock    060505104    482       58,920   SH       DEFINED        5      58,920
BK OF MONTREAL           Common Stock    063671101   9,857      178,378  SH       DEFINED        5      178,378
BK OF NOVA SCOTIA        Common Stock    064149107   18,965     366,190  SH       DEFINED        5      366,190
BLACK BOX CORP              COMMON       091826107   10,946     381,397  SH       DEFINED        6      377,388              4,009
BLACK HILLS CORP            COMMON       092113109   10,472     325,509  SH       DEFINED        6      322,455              3,054<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
BLACKBAUD INC               COMMON       09227Q100   85,358    3,325,208 SH       DEFINED        6     3,273,568            51,640
BLACKROCK INC               COMMON       09247X101   24,388     143,610  SH       DEFINED        6      143,610
BLACKROCK INC COM        Common Stock    09247X101    153         900    SH       DEFINED        2        900
BLACKSTONE GROUP
 LP                         COMMON       09253U108   1,678      128,350  SH       DEFINED        6      128,350
BLOCK H & R INC COM      Common Stock    093671105     51        3,200   SH       DEFINED        2       3,200
BMC SOFTWARE INC            COMMON       055921100  513,607   12,033,895 SH       DEFINED        6    12,027,543             6,352
BMC SOFTWARE INC
 COM                     Common Stock    055921100    124        2,900   SH       DEFINED        2       2,900
BOEING CO COM            Common Stock    097023105    461        6,200   SH       DEFINED        2       6,200
BOEING CO/THE               COMMON       097023105   4,239      57,050   SH       DEFINED        6      57,050
BOINGO WIRELESS INC         COMMON       09739C102    872       75,000   SH       DEFINED        6      75,000
BOISE INC                   COMMON       09746Y105   1,339      203,497  SH       DEFINED        6      203,497
BORGWARNER INC              COMMON       099724106   16,424     250,406  SH       DEFINED        6      250,406
BORGWARNER INC
 COM                     Common Stock    099724106     52         800    SH       DEFINED        2        800
BORGWARNER INC
 COM                     Common Stock    099724106    258        3,930   SH       DEFINED        8                           3,930
BOSTON PPTYS LTD
PARTNERSHIP NOTE
 3.750% 5/1                  Stock       10112RAG9    947       825,000  PRN      DEFINED        8
BOSTON PRIVATE
 FINANCIAL HOLDI            COMMON       101119105   14,725    1,648,929 SH       DEFINED        6     1,632,643            16,286
BOSTON PROPERTIES
 INC                         REIT        101121101   44,622     411,755  SH       DEFINED        6      411,755
BOSTON PROPERTIES
 INC COM                 Common Stock    101121101   6,078      56,088   SH       DEFINED        2      56,088
BOSTON SCIENTIFIC
 CORP                       COMMON       101137107   2,552      450,000  SH       DEFINED        6      450,000
BOSTON SCIENTIFIC
 CORP COM                Common Stock    101137107    125       21,995   SH       DEFINED        2      21,995
BP PLC                        ADR        055622104   86,154    2,125,162 SH       DEFINED        6     1,833,988           291,173
BP PRUDHOE BAY RTY
 TR                      Common Stock    055630107    455        3,900   SH       DEFINED        5       3,900
BRADY CORP                  COMMON       104674106   1,686      61,300   SH       DEFINED        6      61,300
BRANDYWINE REALTY
 TRUST                       REIT        105368203   25,021    2,027,604 SH       DEFINED        6     2,015,872            11,732
BRANDYWINE RLTY TR
 SH BEN INT NEW              REIT        105368203    604       48,950   SH       DEFINED        2      48,950
BRASKEM SA                    ADR        105532105   14,911    1,120,281 SH       DEFINED        6     1,120,281
BRE PROPERTIES INC           REIT        05564E106   7,036      140,672  SH       DEFINED        6      140,672
BRE PROPERTIES INC
 CL A                    Common Stock    05564E106   1,464      29,263   SH       DEFINED        2      29,263
BRF - BRASIL FOODS
 SA                           ADR        10552T107   46,863    3,085,135 SH       DEFINED        6     3,085,135
BRF BRASIL FOODS SA
 SPONSORED               Common Stock    10552T107    696       45,825   SH       DEFINED        5      45,825
BRIGUS GOLD CORP         Common Stock    109490102     8        10,000   SH       DEFINED        5      10,000
BRIGUS GOLD CORP         Common Stock    109490102    455       532,282  SH       DEFINED        1      532,282
BRINKER
 INTERNATIONAL INC          COMMON       109641100   18,098     567,860  SH       DEFINED        6      561,886              5,974
BRINK'S CO/THE              COMMON       109696104   13,661     589,323  SH       DEFINED        6      584,615              4,708
BRISTOL MYERS
 SQUIBB CO               Common Stock    110122108    601       16,720   SH       DEFINED        5      16,720
BRISTOL MYERS
 SQUIBB CO COM           Common Stock    110122108    579       16,100   SH       DEFINED        2      16,100
BRISTOL-MYERS
 SQUIBB CO                  COMMON       110122108   10,785     299,996  SH       DEFINED        6      299,996
BRISTOW GROUP INC           COMMON       110394103   1,937      47,618   SH       DEFINED        6      47,618
BROADCOM CORP               COMMON       111320107   3,299      97,600   SH       DEFINED        6      97,600
BROADCOM CORP CL A       Common Stock    111320107    199        5,900   SH       DEFINED        2       5,900
BROADRIDGE
 FINANCIAL SOLUTIONS        COMMON       11133T103   2,163      101,700  SH       DEFINED        6      101,700
BROADSOFT INC               COMMON       11133B409    469       16,180   SH       DEFINED        6      16,180
BROCADE
COMMUNICATIONS
 SYSTEMS                    COMMON       111621306   17,149    3,478,478 SH       DEFINED        6     3,440,403            38,075
BROOKFIELD ASSET
 MGMT INC CL A           Common Stock    112585104   2,101      63,469   SH       DEFINED        5      63,469
BROOKFIELD
 INFRASTRUCTURE          Common Stock    G16252101    356       10,602   SH       DEFINED        5      10,602
BROOKFIELD
INFRASTRUCTURE
 PART                       LTDPART      G16252101    269        8,000   SH       DEFINED        6       8,000
BROOKFIELD OFFICE
 PROP INC                Common Stock    112900105   6,976      400,436  SH       DEFINED        5      400,436
BROOKS AUTOMATION
 INC                        COMMON       114340102   1,307      138,500  SH       DEFINED        6      138,500
BRUNSWICK CORP/DE           COMMON       117043109    504       22,680   SH       DEFINED        6      22,680
BUCKEYE
 TECHNOLOGIES INC           COMMON       118255108    899       31,558   SH       DEFINED        6      31,558
BUFFALO WILD WINGS
 INC                        COMMON       119848109   3,334      38,485   SH       DEFINED        6      38,485
BUNGE LIMITED COM          Ltd Part      559080106    106        1,500   SH       DEFINED        3                           1,500
BUNGE LIMITED COM        Common Stock    G16962105     75        1,200   SH       DEFINED        2       1,200
BUNGE LTD                Common Stock    G16962105    847       13,508   SH       DEFINED        5      13,508
BUNGE LTD                   COMMON       G16962105   9,052      144,275  SH       DEFINED        6      144,275
C H ROBINSON
WORLDWIDE INC COM
 NEW                     Common Stock    12541W209     76        1,300   SH       DEFINED        2       1,300
C H ROBINSON
WORLDWIDE INC COM
 NEW                     Common Stock    12541W209    460        7,860   SH       DEFINED        8                           7,860
CA INC COM               Common Stock    12673P105    106        3,900   SH       DEFINED        2       3,900
CABLEVISION SYS
 CORP CL A NY CABLVS     Common Stock    12686C109     31        2,300   SH       DEFINED        2       2,300
CABLEVISION
 SYSTEMS CORP               COMMON       12686C109    926       69,700   SH       DEFINED        6      69,700
CABOT
MICROELECTRONICS
 CORP                       COMMON       12709P103    610       20,900   SH       DEFINED        6      20,900
CABOT OIL & GAS
 CORP                       COMMON       127097103   2,165      54,950   SH       DEFINED        6      54,950
CABOT OIL & GAS
 CORP COM                Common Stock    127097103    118        3,000   SH       DEFINED        2       3,000<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
CADENCE DESIGN
SYSTEMS INC                 COMMON       127387108   2,213      201,380  SH       DEFINED        6      201,380
CAE INC                  Common Stock    124765108    202       20,817   SH       DEFINED        5      20,817
CAI INTERNATIONAL
 INC                        COMMON       12477X106    761       38,300   SH       DEFINED        6      38,300
CALPINE CORP COM
 NEW                         STOCK       131347304     38        2,277   SH       DEFINED        1       2,277
CAMBREX CORP                COMMON       132011107     92        9,801   SH       DEFINED        6       9,801
CAMDEN PPTY TR SH
 BEN INT                     REIT        133131102   2,054      30,358   SH       DEFINED        2      30,358
CAMDEN PROPERTY
TRUST                        REIT        133131102   20,318     300,254  SH       DEFINED        6      300,254
CAMECO CORP              Common Stock    13321L108   3,315      151,026  SH       DEFINED        5      151,026
CAMERON
INTERNATIONAL CORP
 COM                     Common Stock    13342B105     94        2,200   SH       DEFINED        2       2,200
CAMPBELL SOUP CO
 COM                     Common Stock    134429109     63        1,900   SH       DEFINED        2       1,900
CAMPUS CREST
 CMNTYS INC COM              REIT        13466Y105     49        4,700   SH       DEFINED        2       4,700
CAMPUS CREST
 COMMUNITIES INC             REIT        13466Y105    336       32,300   SH       DEFINED        6      32,300
CANADIAN NAT RES
 LTD COM                     STOCK       136385101     21         800    SH       DEFINED        1        800
CANADIAN NATIONAL
 RAILWAY CO                 COMMON       136375102   10,931     129,550  SH       DEFINED        6      129,550
CANON INC                     ADR        138006309   92,558    2,317,427 SH       DEFINED        6     2,001,665           315,762
CAPITAL ONE
 FINANCIAL CORP             COMMON       14040H105   18,771     343,412  SH       DEFINED        6      343,412
CAPITAL ONE FINL
 CORP COM                Common Stock    14040H105    222        4,070   SH       DEFINED        2       4,070
CAPLEASE INC COM             REIT        140288101    106       25,490   SH       DEFINED        2      25,490
CARDINAL FINANCIAL
 CORP                       COMMON       14149F109   1,643      133,804  SH       DEFINED        6      133,804
CARDINAL HEALTH INC         COMMON       14149Y108  204,753    4,875,078 SH       DEFINED        6     4,803,755            71,323
CARDINAL HEALTH INC
 COM                     Common Stock    14149Y108    139        3,300   SH       DEFINED        2       3,300
CARDINAL HEALTH INC
 COM                     Common Stock    14149Y108   2,881      68,600   SH       DEFINED        8                          68,600
CAREFUSION CORP             COMMON       14170T101   3,980      155,000  SH       DEFINED        6      155,000
CAREFUSION CORP
 COM                     Common Stock    14170T101     42        1,650   SH       DEFINED        2       1,650
CARLISLE COS INC            COMMON       142339100   3,250      61,300   SH       DEFINED        6      61,300
CARLYLE GROUP
 LP/THE                     COMMON       14309L102   1,203      53,700   SH       DEFINED        6      53,700
CARMAX INC                  COMMON       143130102    981       37,800   SH       DEFINED        6      37,800
CARMAX INC COM           Common Stock    143130102     78        3,000   SH       DEFINED        2       3,000
CARMAX INC COM           Common Stock    143130102   1,693      65,280   SH       DEFINED        8                          65,280
CARNIVAL CORP               COMMON       143658300    606       17,680   SH       DEFINED        6      17,680
CARNIVAL CORP
 PAIRED CTF                  Unit        143658300    130        3,800   SH       DEFINED        2       3,800
CARRIZO OIL & GAS
 INC                        COMMON       144577103   1,731      73,649   SH       DEFINED        6      73,649
CASEY'S GENERAL
 STORES INC                 COMMON       147528103   4,446      75,363   SH       DEFINED        6      75,363
CASH AMERICA
 INTERNATIONAL INC          COMMON       14754D100    559       12,689   SH       DEFINED        6      12,689
CATALYST HEALTH
 SOLUTIONS INC              COMMON       14888B103    850        9,100   SH       DEFINED        6       9,100
CATERPILLAR INC          Common Stock    149123101   1,052      12,390   SH       DEFINED        5      12,390
CATERPILLAR INC             COMMON       149123101  202,135    2,380,583 SH       DEFINED        6     2,379,395             1,188
CATERPILLAR INC DEL
 COM                     Common Stock    149123101    577        6,800   SH       DEFINED        2       6,800
CATERPILLAR INC DEL
 COM                         STOCK       149123101   1,167      13,740   SH       DEFINED        1      13,740
CATERPILLAR INC DEL
 COM                     Common Stock    149123101     93        1,100   SH       DEFINED        8                           1,100
CATO CORP/THE               COMMON       149205106   18,438     605,328  SH       DEFINED        6      598,391              6,937
CBL & ASSOC PPTYS
 INC COM                     REIT        124830100   1,152      58,980   SH       DEFINED        2      58,980
CBL & ASSOCIATES
 PROPERTIES IN               REIT        124830100   4,095      209,592  SH       DEFINED        6      209,592
CBOE HOLDINGS INC           COMMON       12503M108   3,934      142,118  SH       DEFINED        6      142,118
CBRE GROUP INC              COMMON       12504L109   4,679      286,026  SH       DEFINED        6      286,026
CBRE GROUP INC CL A      Common Stock    12504L109     47        2,900   SH       DEFINED        2       2,900
CBS CORP                    COMMON       124857202   3,722      113,550  SH       DEFINED        6      113,550
CBS CORP NEW CL B        Common Stock    124857202    167        5,100   SH       DEFINED        2       5,100
CBS CORP NEW CLASS
 B                       Common Stock    124857202    475       14,482   SH       DEFINED        5      14,482
CDN NTL RAILWAY CO       Common Stock    136375102   8,491      100,634  SH       DEFINED        5      100,634
CDN NTRL RES LTD         Common Stock    136385101   7,076      263,535  SH       DEFINED        5      263,535
CDN PAC RLWY LTD         Common Stock    13645T100   4,496      61,370   SH       DEFINED        5      61,370
CEC ENTERTAINMENT
 INC                        COMMON       125137109   18,662     513,114  SH       DEFINED        6      508,269              4,845
CEDAR REALTY TRUST
 INC COM NEW                 REIT        150602209    139       27,530   SH       DEFINED        2      27,530
CELANESE CORP               COMMON       150870103   19,222     555,234  SH       DEFINED        6      555,234
CELANESE CORP DEL
 COM SER A               Common Stock    150870103     52        1,500   SH       DEFINED        2       1,500
CELGENE CORP             Common Stock    151020104    440        6,861   SH       DEFINED        5       6,861
CELGENE CORP                COMMON       151020104   18,008     280,672  SH       DEFINED        6      280,672
CELGENE CORP COM         Common Stock    151020104    282        4,400   SH       DEFINED        2       4,400
CEMEX SAB DE CV               ADR        151290889   70,664   10,499,924 SH       DEFINED        6    10,499,924
CEMEX SAB DE CV
 SPON ADR NEW                 ADR        151290889     68       10,061   SH       DEFINED        8                          10,061
CENOVUS ENERGY INC       Common Stock    15135U109   4,290      134,920  SH       DEFINED        5      134,920
CENTERPOINT ENERGY
 INC COM                 Common Stock    15189T107   1,266      61,243   SH       DEFINED        3                          61,243<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
CENTERPOINT ENERGY
 INC COM                 Common Stock    15189T107   1,330      64,343   SH       DEFINED        2      64,343
CENTERPOINT ENERGY
 INC COM                     STOCK       15189T107     54        2,636   SH       DEFINED        1       2,636
CENTRAIS ELETRICAS
BRASILEIR SPONSORED
 ADR                         STOCK       15234Q207     1          140    SH       DEFINED        1        140
CENTRAIS ELETRICAS
BRASILEIRAS                   ADR        15234Q207    903       128,400  SH       DEFINED        6      128,400
CENTURYLINK INC             COMMON       156700106   2,570      65,077   SH       DEFINED        6      65,077
CENTURYLINK INC COM      Common Stock    156700106    258        6,533   SH       DEFINED        2       6,533
CEPHEID INC                 COMMON       15670R107   2,054      45,900   SH       DEFINED        6      45,900
CERNER CORP                 COMMON       156782104    562        6,800   SH       DEFINED        6       6,800
CERNER CORP COM          Common Stock    156782104    141        1,700   SH       DEFINED        2       1,700
CF INDS HLDGS INC
 COM                     Common Stock    125269100    116         600    SH       DEFINED        2        600
CF INDUSTRIES
 HOLDINGS INC               COMMON       125269100   8,235      42,505   SH       DEFINED        6      42,505
CGI GROUP INC               COMMON       39945C109   1,530      63,795   SH       DEFINED        6      38,976              24,819
CHART INDUSTRIES
 INC                        COMMON       16115Q308   5,273      76,683   SH       DEFINED        6      76,683
CHECK POINT
SOFTWARE
 TECHNOLOG                  COMMON       M22465104   3,786      76,344   SH       DEFINED        6      76,344
CHECKPOINT SYSTEMS
 INC                        COMMON       162825103   1,660      190,600  SH       DEFINED        6      190,600
CHEESECAKE
 FACTORY INC/THE            COMMON       163072101   23,490     734,976  SH       DEFINED        6      729,447              5,529
CHEFS' WAREHOUSE
 HOLDINGS LLC               COMMON       163086101   1,173      65,000   SH       DEFINED        6      65,000
CHELSEA
THERAPEUTICS
 INTERNATI                  COMMON       163428105    138       93,000   SH       DEFINED        6      93,000
CHESAPEAKE ENERGY
 CORP COM                Common Stock    165167107    125        6,700   SH       DEFINED        2       6,700
CHESAPEAKE LODGING
 TR SH BEN INT               REIT        165240102    155        9,000   SH       DEFINED        2       9,000
CHEVRON CORP             Common Stock    166764100    374        3,544   SH       DEFINED        5       3,544
CHEVRON CORP                COMMON       166764100  248,482    2,355,281 SH       DEFINED        6     2,327,237            28,044
CHEVRON CORP NEW
 COM                     Common Stock    166764100   2,028      19,221   SH       DEFINED        2      19,221
CHEVRON CORP NEW
 COM                         STOCK       166764100    108        1,024   SH       DEFINED        1       1,024
CHEVRON CORP NEW
 COM                     Common Stock    166764100   2,946      27,920   SH       DEFINED        8                          27,920
CHICAGO BRIDGE &
 IRON CO NV                 COMMON       167250109   28,014     737,989  SH       DEFINED        6      730,607              7,382
CHILDRENS PLACE
 RETAIL STORES              COMMON       168905107   16,931     339,766  SH       DEFINED        6      336,784              2,982
CHIMERA INVESTMENT
 CORP                        REIT        16934Q109   7,368     3,122,003 SH       DEFINED        6     3,122,003
CHINA MOBILE LTD              ADR        16941M109  110,597    2,022,986 SH       DEFINED        6     2,022,986
CHINA NEPSTAR CHAIN
 DRUGSTORE                    ADR        16943C109    203       90,000   SH       DEFINED        6      90,000
CHINA PETROLEUM &
 CHEMICAL COR                 ADR        16941R108   7,553      84,688   SH       DEFINED        6      84,688
CHINA TELECOM CORP
 LTD                          ADR        169426103   1,492      33,900   SH       DEFINED        6      33,900
CHINA UNICOM HONG
 KONG LTD                     ADR        16945R104   52,336    4,170,163 SH       DEFINED        6     4,170,163
CHINA XINIYA FASHION
 LTD SPONSORED ADR            ADR        16950W105   1,640     1,147,135 SH       SOLE                 1,147,135
CHINDEX
 INTERNATIONAL INC          COMMON       169467107    368       37,500   SH       DEFINED        6      37,500
CHIPOTLE MEXICAN
 GRILL INC                  COMMON       169656105   1,862       4,900   SH       DEFINED        6       4,900
CHIPOTLE MEXICAN
 GRILL INC COM           Common Stock    169656105    114         300    SH       DEFINED        2        300
CHIQUITA BRANDS
INTERNATIONAL               COMMON       170032809   1,087      217,373  SH       DEFINED        6      217,373
CHUBB CORP                  COMMON       171232101   2,808      38,560   SH       DEFINED        6      38,560
CHUBB CORP COM           Common Stock    171232101    248        3,400   SH       DEFINED        2       3,400
CHUNGHWA TELECOM
 - ADR                        ADR        17133Q502   8,559      272,309  SH       DEFINED        6      272,309
CHURCH & DWIGHT INC
 COM                     Common Stock    171340102    111        2,000   SH       DEFINED        2       2,000
CIA BRASILEIRA DE
 DISTRIBUICAO                 ADR        20440T201   44,816    1,120,671 SH       DEFINED        6     1,120,671
CIA DE BEBIDAS DAS
 AMERICAS                     ADR        20441W203   6,140      160,200  SH       DEFINED        6      160,200
CIA DE MINAS
 BUENAVENTURA SA              ADR        204448104   21,118     556,040  SH       DEFINED        6      556,040
CIA ENERGETICA DE
 MINAS GERAIS                 ADR        204409601    724       39,318   SH       DEFINED        6      39,318
CIA SIDERURGICA
 NACIONAL SA                  ADR        20440W105   6,750     1,190,400 SH       DEFINED        6     1,190,400
CIBC                     Common Stock    136069101   5,345      75,986   SH       DEFINED        5      75,986
CIGNA CORP                  COMMON       125509109    986       22,400   SH       DEFINED        6      22,400
CIGNA CORPORATION
 COM                     Common Stock    125509109    163        3,700   SH       DEFINED        2       3,700
CIMAREX ENERGY CO
 COM                     Common Stock    171798101     88        1,600   SH       DEFINED        2       1,600
CINCINNATI FINL CORP
 COM                     Common Stock    172062101     84        2,200   SH       DEFINED        2       2,200
CINEMARK HOLDINGS
 INC                        COMMON       17243V102   1,663      72,794   SH       DEFINED        6      72,794
CINTAS CORP                 COMMON       172908105    467       12,095   SH       DEFINED        6      12,095
CINTAS CORP COM          Common Stock    172908105     39        1,000   SH       DEFINED        2       1,000
CIRRUS LOGIC INC            COMMON       172755100   40,236    1,346,600 SH       DEFINED        6     1,332,893            13,707
CISCO SYS INC            Common Stock    17275R102    891       51,868   SH       DEFINED        5      51,868
CISCO SYS INC COM        Common Stock    17275R102    953       55,530   SH       DEFINED        2      55,530
CISCO SYS INC COM            STOCK       17275R102   1,888      109,987  SH       DEFINED        1      109,987
CISCO SYS INC COM        Common Stock    17275R102   3,421      199,230  SH       DEFINED        8                         199,230
CISCO SYSTEMS INC           COMMON       17275R102  214,245   12,477,849 SH       DEFINED        6    12,313,815           164,034
CIT GROUP INC COM
 NEW                     Common Stock    125581801     68        1,900   SH       DEFINED        2       1,900
CITIGROUP INC               COMMON       172967424   7,644      278,888  SH       DEFINED        6      278,888<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
CITIGROUP INC COM
 NEW                     Common Stock    172967424    817       29,800   SH       DEFINED        2      29,800
CITIGROUP INC COM
 NEW                         STOCK       172967424    188        6,863   SH       DEFINED        1       6,863
CITIGROUP INC COM
 NEW                        OPTION       172967424    306       11,170       CALL DEFINED        1                          11,170
CITRIX SYS INC COM       Common Stock    177376100     59         700    SH       DEFINED        2        700
CITRIX SYS INC COM       Common Stock    177376100   1,330      15,840   SH       DEFINED        8                          15,840
CITRIX SYSTEMS INC          COMMON       177376100   11,157     132,911  SH       DEFINED        6      132,911
CITY HOLDING CO             COMMON       177835105   3,877      115,073  SH       DEFINED        6      115,073
CITY NATIONAL
 CORP/CA                    COMMON       178566105   1,700      35,000   SH       DEFINED        6      35,000
CLECO CORP                  COMMON       12561W105   2,242      53,591   SH       DEFINED        6      53,591
CLIFFS NATURAL
 RESOURCES INC              COMMON       18683K101   28,043     568,929  SH       DEFINED        6      568,929
CLIFFS NATURAL
 RESOURCES INC COM       Common Stock    18683K101     84        1,700   SH       DEFINED        2       1,700
CLOROX CO DEL COM        Common Stock    189054109    145        2,000   SH       DEFINED        2       2,000
CLOUD PEAK ENERGY
 INC                        COMMON       18911Q102   1,123      66,400   SH       DEFINED        6      66,400
CME GROUP INC               COMMON       12572Q105  345,781    1,289,697 SH       DEFINED        6     1,288,857               839
CME GROUP INC COM        Common Stock    12572Q105     29         539    SH       DEFINED        2        539
CMS ENERGY CORP             COMMON       125896100   2,141      91,100   SH       DEFINED        6      91,100
CMS ENERGY CORP
 COM                     Common Stock    125896100    959       40,800   SH       DEFINED        3                          40,800
CMS ENERGY CORP
 COM                     Common Stock    125896100    959       40,800   SH       DEFINED        2      40,800
CMS ENERGY CORP
 COM                         STOCK       125896100     37        1,577   SH       DEFINED        1       1,577
CNOOC LTD                     ADR        126132109   66,776     331,805  SH       DEFINED        6      330,504              1,301
CNTL FD OF CDA LTD
 CL A                    Common Stock    153501101    337       17,050   SH       DEFINED        5      17,050
COACH INC                Common Stock    189754104    477        8,164   SH       DEFINED        5       8,164
COACH INC                   COMMON       189754104   12,795     218,793  SH       DEFINED        6      218,793
COACH INC COM            Common Stock    189754104    146        2,500   SH       DEFINED        2       2,500
COACH INC COM            Common Stock    189754104    549        9,380   SH       DEFINED        8                           9,380
COCA COLA CO COM         Common Stock    191216100   1,556      19,900   SH       DEFINED        2      19,900
COCA COLA CO COM             STOCK       191216100     38         482    SH       DEFINED        1        482
COCA COLA COMPANY
 THE                     Common Stock    191216100    611        7,818   SH       DEFINED        5       7,818
COCA COLA
ENTERPRISES INC NE
 COM                     Common Stock    19122T109     79        2,800   SH       DEFINED        2       2,800
COCA-COLA CO/THE            COMMON       191216100   14,352     183,558  SH       DEFINED        6      183,558
COEUR D'ALENE MINES
 CORP                       COMMON       192108504   1,154      65,716   SH       DEFINED        6      65,716
COGNIZANT
TECHNOLOGY SOLUTIO
 CL A                    Common Stock    192446102    228        3,800   SH       DEFINED        2       3,800
COGNIZANT
TECHNOLOGY SOLUTIO
 CL A                    Common Stock    192446102   2,854      47,570   SH       DEFINED        8                          47,570
COGNIZANT
TECHNOLOGY
 SOLUTIONS                  COMMON       192446102   20,288     338,129  SH       DEFINED        6      338,129
COHERENT INC                COMMON       192479103   1,368      31,600   SH       DEFINED        6      31,600
COLFAX CORP                 COMMON       194014106   2,661      96,500   SH       DEFINED        6      96,500
COLGATE PALMOLIVE
 CO                      Common Stock    194162103    473        4,540   SH       DEFINED        5       4,540
COLGATE PALMOLIVE
 CO COM                  Common Stock    194162103    552        5,300   SH       DEFINED        2       5,300
COLGATE-PALMOLIVE
 CO                         COMMON       194162103   7,079      67,998   SH       DEFINED        6      67,998
COLLECTIVE BRANDS
 INC                        COMMON       19421W100    707       33,000   SH       DEFINED        6      33,000
COLONIAL PPTYS TR
 COM SH BEN INT              REIT        195872106    691       31,220   SH       DEFINED        2      31,220
COLONIAL
 PROPERTIES TRUST            REIT        195872106   7,096      320,517  SH       DEFINED        6      320,517
COLUMBUS MCKINNON
CORP/NY                     COMMON       199333105   1,445      95,762   SH       DEFINED        6      95,762
COMCAST CORP                COMMON       20030N101  234,561    7,336,911 SH       DEFINED        6     7,225,485           111,426
COMCAST CORP                COMMON       20030N200   25,884     824,321  SH       DEFINED        6      824,321
COMCAST CORP NEW
 CL A                    Common Stock    20030N101    619       19,350   SH       DEFINED        2      19,350
COMCAST CORP NEW
 CL A                    Common Stock    20030N101   2,967      92,800   SH       DEFINED        8                          92,800
COMERICA INC                COMMON       200340107   16,586     540,087  SH       DEFINED        6      537,019              3,068
COMERICA INC COM         Common Stock    200340107     43        1,400   SH       DEFINED        2       1,400
COMMONWEALTH REIT
 COM SH BEN INT              REIT        203233101    528       27,641   SH       DEFINED        2      27,641
COMMUNITY BANK
 SYSTEM INC                 COMMON       203607106   28,203    1,039,921 SH       DEFINED        6     1,029,601            10,320
COMMUNITY HLTH SYS
 INC NEW                 Common Stock    203668108    981       34,985   SH       DEFINED        5      34,985
COMPANHIA DE
 BEBIDAS AMERIADS        Common Stock    20441W203   1,487      38,800   SH       DEFINED        5      38,800
COMPANHIA DE
BEBIDAS DAS AME
 SPON ADR PFD                 ADR        20441W203    364        9,506   SH       DEFINED        8                           9,506
COMPANHIA
ENERGETICA DE MINA
 SP ADR N-V PFD               ADR        204409601   2,482      134,750  SH       DEFINED        4      134,750
COMPANHIA
ENERGETICA DE MINA
 SP ADR N-V PFD               ADR        204409601    285       15,448   SH       DEFINED        8                          15,448
COMPANIA DE MINAS
BUENAVENTU
 SPONSORED ADR                ADR        204448104     87        2,300   SH       DEFINED        8                           2,300
COMPUTER SCIENCES
 CORP COM                Common Stock    205363104     35        1,400   SH       DEFINED        2       1,400
COMPUWARE CORP              COMMON       205638109   34,269    3,688,769 SH       DEFINED        6     3,658,111            30,658
COMSCORE INC                COMMON       20564W105   1,025      62,302   SH       DEFINED        6      62,302
CONAGRA FOODS INC           COMMON       205887102   1,016      39,175   SH       DEFINED        6      39,175
CONAGRA FOODS INC
 COM                     Common Stock    205887102     80        3,100   SH       DEFINED        2       3,100
CONCHO RES INC COM       Common Stock    20605P101     43         500    SH       DEFINED        2        500<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
CONCHO RES INC COM       Common Stock    20605P101   1,647      19,350   SH       DEFINED        8                          19,350
CONCUR
 TECHNOLOGIES INC           COMMON       206708109   3,116      45,750   SH       DEFINED        6      45,750
CONMED CORP                 COMMON       207410101   1,627      58,783   SH       DEFINED        6      58,783
CONOCOPHILLIPS           Common Stock    20825C104    266        4,761   SH       DEFINED        5       4,761
CONOCOPHILLIPS              COMMON       20825C104  164,393    2,941,891 SH       DEFINED        6     2,896,639            45,252
CONOCOPHILLIPS COM       Common Stock    20825C104    754       13,500   SH       DEFINED        2      13,500
CONOCOPHILLIPS COM       Common Stock    20825C104   2,330      41,700   SH       DEFINED        8                          41,700
CONSOL ENERGY INC           COMMON       20854P109   2,050      67,800   SH       DEFINED        6      67,800
CONSOL ENERGY INC
 COM                     Common Stock    20854P109     33        1,100   SH       DEFINED        2       1,100
CONSOLIDATED
 EDISON INC COM          Common Stock    209115104   2,886      46,400   SH       DEFINED        3                          46,400
CONSOLIDATED
 EDISON INC COM          Common Stock    209115104   3,072      49,400   SH       DEFINED        2      49,400
CONSOLIDATED
 EDISON INC COM              STOCK       209115104    113        1,822   SH       DEFINED        1       1,822
CONSTANT CONTACT
 INC                        COMMON       210313102    183       10,250   SH       DEFINED        6      10,250
CONSTELLATION
 BRANDS INC CL A         Common Stock    21036P108     60        2,200   SH       DEFINED        2       2,200
COOPER COS INC/THE          COMMON       216648402   18,812     235,853  SH       DEFINED        6      233,553              2,300
COOPER INDUSTRIES
 PLC                        COMMON       G24140108   5,005      73,410   SH       DEFINED        6      73,410
COOPER TIRE &
 RUBBER CO                  COMMON       216831107   1,583      90,260   SH       DEFINED        6      90,260
COPA HOLDINGS SA            COMMON       P31076105   23,310     282,609  SH       DEFINED        6      279,648              2,961
CORE LABORATORIES
 NV                         COMMON       N22717107  164,484    1,419,187 SH       DEFINED        6     1,401,894            17,293
CORESITE REALTY
 CORP                        REIT        21870Q105   2,062      79,850   SH       DEFINED        6      79,850
CORNING INC              Common Stock    219350105    248       19,208   SH       DEFINED        5      19,208
CORNING INC COM          Common Stock    219350105    197       15,200   SH       DEFINED        2      15,200
CORPORATE OFFICE
 PPTYS TR SH BEN INT         REIT        22002T108    610       25,940   SH       DEFINED        2      25,940
CORRECTIONS CORP
 AMER NEW COM NEW        Common Stock    22025Y407   7,832      265,956  SH       DEFINED        4      265,956
CORRECTIONS CORP
 AMER NEW COM NEW        Common Stock    22025Y407   11,149     378,566  SH       DEFINED        3      82,300    71,700   224,566
CORRECTIONS CORP
 AMER NEW COM NEW        Common Stock    22025Y407   3,727      126,558  SH       DEFINED        2      126,558
CORRECTIONS CORP
 OF AMERICA                  REIT        22025Y407    438       14,879   SH       DEFINED        6      14,879
COSTAR GROUP INC            COMMON       22160N109    783        9,640   SH       DEFINED        6       9,640
COSTCO WHOLESALE
 CORP                       COMMON       22160K105   1,625      17,100   SH       DEFINED        6      17,100
COSTCO WHSL CORP
 NEW COM                 Common Stock    22160K105    428        4,500   SH       DEFINED        2       4,500
COSTCO WHSL CORP
 NEW COM                 Common Stock    22160K105    736        7,750   SH       DEFINED        8                           7,750
COUSINS PPTYS INC
 COM                         REIT        222795106    350       45,176   SH       DEFINED        2      45,176
COVIDIEN PLC                COMMON       G2554F113   13,183     246,416  SH       DEFINED        6      246,416
CRA INTERNATIONAL
 INC                        COMMON       12618T105    726       49,454   SH       DEFINED        6      49,454
CRANE CO                    COMMON       224399105   1,211      33,300   SH       DEFINED        6      33,300
CREDICORP LTD               COMMON       G2519Y108   13,587     107,930  SH       DEFINED        6      107,930
CRESUD SACIF Y A              ADR        226406106   13,476    1,879,565 SH       DEFINED        6     1,879,565
CROWN CASTLE
 INTERNATIONAL COR          COMMON       228227104  738,434   12,588,378 SH       DEFINED        6    12,581,711             6,667
CROWN CASTLE INTL
 CORP COM                Common Stock    228227104   11,250     191,790  SH       DEFINED        4      191,790
CROWN CASTLE INTL
 CORP COM                Common Stock    228227104   34,527     588,600  SH       DEFINED        3      79,600    42,200   466,800
CROWN CASTLE INTL
 CORP COM                Common Stock    228227104   16,939     288,774  SH       DEFINED        2      288,774
CRYOLIFE INC                COMMON       228903100    868       166,049  SH       DEFINED        6      166,049
CSX CORP                 Common Stock    126408103    256       11,431   SH       DEFINED        5      11,431
CSX CORP                    COMMON       126408103   10,880     486,600  SH       DEFINED        6      486,600
CSX CORP COM             Common Stock    126408103    268       12,000   SH       DEFINED        2      12,000
CTC MEDIA INC COM        Common Stock    12642X106     64        7,994   SH       DEFINED        8                           7,994
CTRIP.COM
 INTERNATIONAL LTD            ADR        22943F100   18,520    1,105,004 SH       DEFINED        6     1,105,004
CUBESMART COM                REIT        229663109    466       39,950   SH       DEFINED        2      39,950
CUBIST
 PHARMACEUTICALS INC        COMMON       229678107    637       16,800   SH       DEFINED        6      16,800
CULLEN/FROST
 BANKERS INC                COMMON       229899109    184        3,200   SH       DEFINED        6       3,200
CUMMINS INC              Common Stock    231021106    360        3,713   SH       DEFINED        5       3,713
CUMMINS INC                 COMMON       231021106   25,670     264,886  SH       DEFINED        6      264,886
CUMMINS INC COM          Common Stock    231021106    213        2,200   SH       DEFINED        2       2,200
CUMMINS INC COM              STOCK       231021106     40         412    SH       DEFINED        1        412
CVB FINANCIAL CORP          COMMON       126600105   7,505      644,179  SH       DEFINED        6      637,672              6,507
CVS CAREMARK CORP           COMMON       126650100  261,205    5,589,669 SH       DEFINED        6     5,519,614            70,055
CVS CAREMARK
 CORPORATION COM         Common Stock    126650100    603       12,909   SH       DEFINED        2      12,909
CVS CAREMARK
 CORPORATION COM         Common Stock    126650100   2,907      62,200   SH       DEFINED        8                          62,200
CYPRESS
SEMICONDUCTOR
 CORP                       COMMON       232806109   1,535      116,080  SH       DEFINED        6      116,080
CYTEC INDS INC           Common Stock    232820100    543        9,261   SH       DEFINED        5       9,261
CYTEC INDUSTRIES
 INC                        COMMON       232820100   43,817     747,227  SH       DEFINED        6      742,697              4,530
DANA HOLDING CORP           COMMON       235825205    725       56,590   SH       DEFINED        6      56,590
DANAHER CORP                COMMON       235851102   12,076     231,866  SH       DEFINED        6      231,866<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
DANAHER CORP DEL
 COM                     Common Stock    235851102    281        5,400   SH       DEFINED        2       5,400
DANAHER CORP DEL
 COM                     Common Stock    235851102    878       16,865   SH       DEFINED        8                          16,865
DANAHER CORP DEL
 NOTE 1/2                    Stock       235851AF9    598       395,000  PRN      DEFINED        8
DARDEN
RESTAURANTS INC
 COM                     Common Stock    237194105     91        1,800   SH       DEFINED        2       1,800
DAVITA INC COM           Common Stock    23918K108    157        1,600   SH       DEFINED        2       1,600
DCT INDUSTRIAL
 TRUST INC                   REIT        233153105   2,086      331,142  SH       DEFINED        6      331,142
DCT INDUSTRIAL
 TRUST INC COM           Common Stock    233153105    436       69,270   SH       DEFINED        2      69,270
DDR CORP                     REIT        23317H102   16,148    1,103,039 SH       DEFINED        6     1,103,039
DDR CORP COM             Common Stock    23317H102   1,501      102,520  SH       DEFINED        2      102,520
DEALERTRACK
 HOLDINGS INC               COMMON       242309102   1,491      49,510   SH       DEFINED        6      49,510
DEAN FOODS CO            Common Stock    242370104    663       38,944   SH       DEFINED        5      38,944
DECKERS OUTDOOR
 CORP                       COMMON       243537107   1,336      30,353   SH       DEFINED        6      30,353
DEERE & CO               Common Stock    244199105    914       11,300   SH       DEFINED        5      11,300
DEERE & CO                  COMMON       244199105   29,344     362,851  SH       DEFINED        6      362,851
DEERE & CO COM           Common Stock    244199105    332        4,100   SH       DEFINED        2       4,100
DELAWARE ENHANCED
 GLOBAL DIVID                 CE         246060107     67        5,758   SH       DEFINED        6       5,758
DELL INC                    COMMON       24702R101   8,768      700,369  SH       DEFINED        6      700,369
DELL INC COM             Common Stock    24702R101    209       16,700   SH       DEFINED        2      16,700
DELPHI AUTOMOTIVE           COMMON       G27823106   2,539      99,574   SH       DEFINED        6      99,574
DELTA AIR LINES INC      Common Stock    247361702    151       13,768   SH       DEFINED        5      13,768
DELTA AIR LINES INC         COMMON       247361702     8          712    SH       DEFINED        6        712
DELTA AIR LINES INC
 DEL COM NEW             Common Stock    247361702     50        4,600   SH       DEFINED        2       4,600
DELTA AIR LINES INC
 DEL COM NEW                 STOCK       247361702     3          304    SH       DEFINED        1        304
DENBURY RES INC
 COM NEW                 Common Stock    247916208    106        7,000   SH       DEFINED        2       7,000
DENDREON CORP               COMMON       24823Q107    814       110,000  SH       DEFINED        6      110,000
DENISON MINES CORP       Common Stock    248356107    117       87,114   SH       DEFINED        5      87,114
DENTSPLY
 INTERNATIONAL INC          COMMON       249030107   1,036      27,400   SH       DEFINED        6      27,400
DENTSPLY INTL INC
 NEW COM                 Common Stock    249030107     42        1,100   SH       DEFINED        2       1,100
DESARROLLADORA
 HOMEX - ADR                  ADR        25030W100   2,310      150,000  SH       DEFINED        6      150,000
DEVON ENERGY CORP
 NEW COM                 Common Stock    25179M103    267        4,600   SH       DEFINED        2       4,600
DEVRY INC DEL COM        Common Stock    251893103     56        1,800   SH       DEFINED        2       1,800
DIAGEO PLC S/ADR
 NEW                     Common Stock    25243Q205    745        7,228   SH       DEFINED        5       7,228
DIAMOND OFFSHORE
 DRILLING IN COM         Common Stock    25271C102     71        1,200   SH       DEFINED        2       1,200
DIAMOND OFFSHORE
 DRILLING INC               COMMON       25271C102   6,644      112,355  SH       DEFINED        6      112,355
DIAMONDROCK
 HOSPITALITY CO              REIT        252784301   1,834      179,800  SH       DEFINED        6      179,800
DICK'S SPORTING
 GOODS INC                  COMMON       253393102   1,685      35,100   SH       DEFINED        6      35,100
DIGI INTERNATIONAL
 INC                        COMMON       253798102    870       85,000   SH       DEFINED        6      85,000
DIGITAL REALTY TRUST
 INC                         REIT        253868103   18,499     246,427  SH       DEFINED        6      246,427
DIGITAL RLTY TR INC
 COM                         REIT        253868103   2,995      39,894   SH       DEFINED        2      39,894
DIGITALGLOBE INC            COMMON       25389M877   1,529      100,840  SH       DEFINED        6      100,840
DIME COMMUNITY
 BANCSHARES INC             COMMON       253922108   4,119      309,953  SH       DEFINED        6      309,953
DINEEQUITY INC              COMMON       254423106  107,110    2,399,422 SH       DEFINED        6     2,369,512            29,910
DIODES INC                  COMMON       254543101    413       22,000   SH       DEFINED        6      22,000
DIRECTV                     COMMON       25490A101   2,584      52,935   SH       DEFINED        6      52,935
DIRECTV COM CL A         Common Stock    25490A101    341        6,980   SH       DEFINED        2       6,980
DISCOVER FINANCIAL
 SERVICES                Common Stock    254709108   1,586      45,871   SH       DEFINED        5      45,871
DISCOVER FINANCIAL
 SERVICES                   COMMON       254709108   8,274      239,257  SH       DEFINED        6      239,257
DISCOVER FINL SVCS
 COM                     Common Stock    254709108    247        7,150   SH       DEFINED        2       7,150
DISCOVERY
COMMUNICATNS NEW
 COM SER A               Common Stock    25470F104     71        1,310   SH       DEFINED        2       1,310
DISCOVERY
COMMUNICATNS NEW
 COM SER C               Common Stock    25470F302     56        1,110   SH       DEFINED        2       1,110
DISH NETWORK CORP
 CL A                    Common Stock    25470M109    106        3,700   SH       DEFINED        2       3,700
DISH NETWORK CORP
 CL A                        STOCK       25470M109   5,156      180,600  SH       DEFINED        1      180,600
DISNEY WALT CO COM
 DISNEY                      STOCK       254687106     11         237    SH       DEFINED        1        237
DOLBY LABORATORIES
 INC COM                 Common Stock    25659T107     21         500    SH       DEFINED        2        500
DOLLAR GEN CORP
 NEW COM                 Common Stock    256677105    136        2,500   SH       DEFINED        2       2,500
DOLLAR GENERAL
 CORP                       COMMON       256677105   4,398      80,858   SH       DEFINED        6      80,858
DOLLAR TREE INC             COMMON       256746108   2,079      38,652   SH       DEFINED        6      38,652
DOLLAR TREE INC COM      Common Stock    256746108    161        3,000   SH       DEFINED        2       3,000
DOLLAR TREE INC COM      Common Stock    256746108   1,257      23,360   SH       DEFINED        8                          23,360
DOMINION RES INC VA
 NEW COM                 Common Stock    25746U109   3,738      69,230   SH       DEFINED        4      69,230
DOMINION RES INC VA
 NEW COM                 Common Stock    25746U109   6,221      115,200  SH       DEFINED        3                16,800    98,400
DOMINION RES INC VA
 NEW COM                 Common Stock    25746U109   10,278     190,325  SH       DEFINED        2      190,325
DOMINION RES INC VA
 NEW COM                     STOCK       25746U109    192        3,559   SH       DEFINED        1       3,559<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
DOMINION
RESOURCES INC/VA            COMMON       25746U109   1,276      23,630   SH       DEFINED        6      23,630
DONALDSON CO INC            COMMON       257651109   3,264      97,800   SH       DEFINED        6      97,800
DOUGLAS EMMETT INC           REIT        25960P109   5,575      241,352  SH       DEFINED        6      241,352
DOUGLAS EMMETT INC
 COM                     Common Stock    25960P109    899       38,925   SH       DEFINED        2      38,925
DOVER CORP                  COMMON       260003108   2,718      50,700   SH       DEFINED        6      50,700
DOVER CORP COM           Common Stock    260003108    139        2,600   SH       DEFINED        2       2,600
DOW CHEM CO COM          Common Stock    260543103    384       12,200   SH       DEFINED        2      12,200
DOW CHEMICAL CO          Common Stock    260543103   1,490      47,300   SH       DEFINED        5      47,300
DR HORTON INC            Common Stock    23331A109    618       33,611   SH       DEFINED        5      33,611
DR HORTON INC               COMMON       23331A109   5,969      324,753  SH       DEFINED        6      324,753
DR PEPPER SNAPPLE
 GROUP INC                  COMMON       26138E109   8,474      193,689  SH       DEFINED        6      193,689
DR PEPPER SNAPPLE
GROUP INC COM            Common Stock    26138E109    149        3,404   SH       DEFINED        2       3,404
DR REDDYS LABS LTD
 ADR                         STOCK       256135203    215        7,249   SH       DEFINED        1       7,249
DR REDDYS LABS LTD
 ADR                          ADR        256135203    359       12,089   SH       DEFINED        8                          12,089
DSW INC                     COMMON       23334L102   11,931     219,329  SH       DEFINED        6      219,329
DTE ENERGY CO COM        Common Stock    233331107   1,626      27,400   SH       DEFINED        3                          27,400
DTE ENERGY CO COM        Common Stock    233331107   1,750      29,500   SH       DEFINED        2      29,500
DTE ENERGY CO COM            STOCK       233331107     64        1,075   SH       DEFINED        1       1,075
DU PONT E I DE
 NEMOURS & CO COM        Common Stock    263534109    430        8,500   SH       DEFINED        2       8,500
DU PONT E I DE
 NEMOURS & CO COM        Common Stock    263534109   2,898      57,300   SH       DEFINED        8                          57,300
DU PONT EI DE
 NEMOURS & CO            Common Stock    263534109    795       15,729   SH       DEFINED        5      15,729
DUKE ENERGY CORP            COMMON       26441C105   1,294      56,100   SH       DEFINED        6      56,100
DUKE REALTY CORP             REIT        264411505   2,200      150,264  SH       DEFINED        6      150,264
DUKE REALTY CORP
 COM NEW                 Common Stock    264411505   1,398      95,508   SH       DEFINED        2      95,508
DUN & BRADSTREET
 CORP                       COMMON       26483E100   1,744      24,500   SH       DEFINED        6      24,500
DUPONT FABROS
 TECHNOLOGY INC              REIT        26613Q106   4,406      154,266  SH       DEFINED        6      154,266
DUPONT FABROS
 TECHNOLOGY INC COM          REIT        26613Q106    645       22,580   SH       DEFINED        2      22,580
DXP ENTERPRISES INC         COMMON       233377407    798       19,231   SH       DEFINED        6      19,231
E HOUSE CHINA HLDGS
 LTD ADR                      ADR        26852W103    979       177,963  SH       SOLE                  177,963
E M C CORP MASS COM      Common Stock    268648102    482       18,800   SH       DEFINED        2      18,800
E M C CORP MASS COM          STOCK       268648102    139        5,432   SH       DEFINED        1       5,432
E M C CORP MASS COM      Common Stock    268648102   2,436      95,030   SH       DEFINED        8                          95,030
E M C CORP MASS
 NOTE 1.750%12/0             Stock       268648AM4   2,686     1,675,000 PRN      DEFINED        8
EAGLE MATERIALS INC      Common Stock    26969P108    669       17,910   SH       DEFINED        5      17,910
EAST WEST BANCORP
 INC                        COMMON       27579R104   59,263    2,526,145 SH       DEFINED        6     2,506,235            19,910
EASTGROUP PPTY INC
 COM                         REIT        277276101    523        9,820   SH       DEFINED        2       9,820
EASTGROUP
 PROPERTIES INC              REIT        277276101   12,109     227,185  SH       DEFINED        6      227,185
EASTMAN CHEM CO
 COM                     Common Stock    277432100     71        1,400   SH       DEFINED        2       1,400
EASTMAN CHEMICAL
 CO                         COMMON       277432100   15,559     308,900  SH       DEFINED        6      308,900
EATON CORP               Common Stock    278058102    281        7,093   SH       DEFINED        5       7,093
EATON CORP                  COMMON       278058102   7,068      178,350  SH       DEFINED        6      178,350
EATON CORP COM           Common Stock    278058102    119        3,000   SH       DEFINED        2       3,000
EATON VANCE CORP            COMMON       278265103   8,817      327,166  SH       DEFINED        6      327,166
EATON VANCE CORP
 COM NON VTG             Common Stock    278265103     27        1,000   SH       DEFINED        2       1,000
EBAY INC                    COMMON       278642103   16,551     393,980  SH       DEFINED        6      393,980
EBAY INC COM             Common Stock    278642103    441       10,500   SH       DEFINED        2      10,500
EBAY INC COM             Common Stock    278642103   2,602      61,940   SH       DEFINED        8                          61,940
ECOLAB INC                  COMMON       278865100    569        8,300   SH       DEFINED        6       8,300
ECOLAB INC COM           Common Stock    278865100    171        2,500   SH       DEFINED        2       2,500
EDISON
 INTERNATIONAL              COMMON       281020107  222,552    4,817,145 SH       DEFINED        6     4,745,862            71,283
EDISON INTL COM          Common Stock    281020107   2,559      55,400   SH       DEFINED        3                          55,400
EDISON INTL COM          Common Stock    281020107   2,754      59,600   SH       DEFINED        2      59,600
EDISON INTL COM              STOCK       281020107     94        2,032   SH       DEFINED        1       2,032
EDISON INTL COM          Common Stock    281020107   2,818      61,000   SH       DEFINED        8                          61,000
EDUCATION REALTY
 TRUST INC                   REIT        28140H104   21,332    1,925,256 SH       DEFINED        6     1,916,289             8,967
EDUCATION RLTY TR
 INC COM                     REIT        28140H104    305       27,540   SH       DEFINED        2      27,540
EDWARDS
 LIFESCIENCES CORP          COMMON       28176E108   1,209      11,700   SH       DEFINED        6      11,700
EDWARDS
LIFESCIENCES CORP
 COM                     Common Stock    28176E108     83         800    SH       DEFINED        2        800
EI DU PONT DE
 NEMOURS & CO               COMMON       263534109  218,994    4,330,520 SH       DEFINED        6     4,271,505            59,015
EL PASO CORP                COMMON       28336L109   2,386        338    SH       DEFINED        6        338
EL PASO ELECTRIC CO         COMMON       283677854   25,123     757,631  SH       DEFINED        6      749,807              7,824
EL PASO PIPELINE
PARTNERS L COM UNIT
 LPI                       Ltd Part      283702108   9,926      293,677  SH       DEFINED        4      293,677
EL PASO PIPELINE
PARTNERS L COM UNIT
 LPI                       Ltd Part      283702108   16,133     477,303  SH       DEFINED        3      144,414    6,074   326,815<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
EL PASO PIPELINE
PARTNERS L COM UNIT
 LPI                       Ltd Part      283702108   5,488      162,376  SH       DEFINED        7                         162,376
EL PASO PIPELINE
PARTNERS L COM UNIT
 LPI                       Ltd Part      283702108     17         494    SH       DEFINED        2        494
EL PASO PIPELINE
 PARTNERS LP                COMMON       283702108    125        3,694   SH       DEFINED        6       3,694
ELECTRONIC ARTS INC
 COM                     Common Stock    285512109     21        1,700   SH       DEFINED        2       1,700
ELECTRONICS FOR
 IMAGING INC                COMMON       286082102   11,296     695,116  SH       DEFINED        6      688,556              6,560
ELI LILLY & CO           Common Stock    532457108    477       11,123   SH       DEFINED        5      11,123
ELI LILLY & CO              COMMON       532457108   1,716      40,000   SH       DEFINED        6      40,000
ELIZABETH ARDEN INC         COMMON       28660G106   1,939      49,964   SH       DEFINED        6      49,964
ELONG - ADR                   ADR        290138205    454       40,000   SH       DEFINED        6      40,000
EMC CORP/MA                 COMMON       268648102   40,697    1,587,850 SH       DEFINED        6     1,587,850
EMERSON ELEC CO
 COM                     Common Stock    291011104    298        6,400   SH       DEFINED        2       6,400
EMPRESAS ICA SAB DE
 CV                           ADR        292448206   9,402     1,352,816 SH       DEFINED        6     1,352,816
ENBRIDGE ENERGY
MANAGEMENT L SHS
 UNITS LLI               Common Stock    29250X103    745       23,309   SH       DEFINED        4      23,309
ENBRIDGE ENERGY
MANAGEMENT L SHS
 UNITS LLI               Common Stock    29250X103   1,184      37,026   SH       DEFINED        2      37,026
ENBRIDGE ENERGY
 PARTNERS L P COM          Ltd Part      29250R106   5,520      179,400  SH       DEFINED        4      179,400
ENBRIDGE ENERGY
 PARTNERS L P COM          Ltd Part      29250R106   8,176      265,700  SH       DEFINED        3      83,800     6,900   175,000
ENBRIDGE ENERGY
 PARTNERS L P COM          Ltd Part      29250R106   2,634      85,600   SH       DEFINED        7                          85,600
ENBRIDGE ENERGY
 PARTNERS L P COM          Ltd Part      29250R106     15         500    SH       DEFINED        2        500
ENBRIDGE ENERGY
 PARTNERS LP                COMMON       29250R106    138        4,500   SH       DEFINED        6       4,500
ENBRIDGE INC             Common Stock    29250N105   14,289     357,938  SH       DEFINED        5      357,938
ENBRIDGE INC COM             STOCK       29250N105    197        4,939   SH       DEFINED        1       4,939
ENCANA CORP              Common Stock    292505104   4,875      234,044  SH       DEFINED        5      234,044
ENCORE WIRE CORP            COMMON       292562105   2,826      105,510  SH       DEFINED        6      105,510
ENDEAVOUR SILVER
 CORP COM                    STOCK       29258Y103     24        2,997   SH       DEFINED        1       2,997
ENDO
PHARMACEUTICALS
 HOLDINGS                   COMMON       29264F205   7,775      250,980  SH       DEFINED        6      250,980
ENERGEN CORP COM         Common Stock    29265N108     45        1,000   SH       DEFINED        2       1,000
ENERGIZER HLDGS INC
 COM                     Common Stock    29266R108     68         900    SH       DEFINED        2        900
ENERGY TRANSFER
EQUITY L P COM UT LTD
 PTN                       Ltd Part      29273V100   4,924      120,044  SH       DEFINED        4      120,044
ENERGY TRANSFER
EQUITY L P COM UT LTD
 PTN                       Ltd Part      29273V100   8,010      195,260  SH       DEFINED        3      58,356             136,904
ENERGY TRANSFER
EQUITY L P COM UT LTD
 PTN                       Ltd Part      29273V100   1,421      34,637   SH       DEFINED        7                          34,637
ENERPLUS
 CORPORATION             Common Stock    292766102    984       76,435   SH       DEFINED        5      76,435
ENERSIS SA                    ADR        29274F104   6,455      345,200  SH       DEFINED        6      345,200
ENERSYS NOTE 3.375%
 6/0                         Stock       29275YAA0    283       255,000  PRN      DEFINED        8
ENI SPA                       ADR        26874R108   57,067    1,342,129 SH       DEFINED        6     1,159,169           182,960
ENNIS INC                   COMMON       293389102   2,488      161,790  SH       DEFINED        6      161,790
ENSCO PLC - CL A            COMMON       G3157S106   10,581     225,269  SH       DEFINED        6      225,269
ENSTAR GROUP LTD            COMMON       G3075P101    663        6,700   SH       DEFINED        6       6,700
ENTEGRIS INC                COMMON       29362U104    939       110,000  SH       DEFINED        6      110,000
ENTERGY CORP NEW
 COM                     Common Stock    29364G103   2,145      31,600   SH       DEFINED        3                          31,600
ENTERGY CORP NEW
 COM                     Common Stock    29364G103   2,301      33,900   SH       DEFINED        2      33,900
ENTERGY CORP NEW
 COM                         STOCK       29364G103     75        1,098   SH       DEFINED        1       1,098
ENTERPRISE PRODS
 PARTNERS L COM            Ltd Part      293792107   10,246     199,970  SH       DEFINED        4      199,970
ENTERPRISE PRODS
 PARTNERS L COM            Ltd Part      293792107   15,893     310,162  SH       DEFINED        3      94,760     7,581   207,821
ENTERPRISE PRODS
 PARTNERS L COM            Ltd Part      293792107   5,379      104,977  SH       DEFINED        7                         104,977
ENTERPRISE PRODS
 PARTNERS L COM            Ltd Part      293792107     25         487    SH       DEFINED        2        487
ENTERPRISE
PRODUCTS PARTNERS
 L                          COMMON       293792107   1,223      23,865   SH       DEFINED        6      23,865
ENTERTAINMENT
PPTYS TR COM SH BEN
 INT                         REIT        29380T105    692       16,843   SH       DEFINED        2      16,843
ENTERTAINMENT
 PROPERTIES TRUST            REIT        29380T105   2,401      58,415   SH       DEFINED        6      58,415
EOG RES INC COM          Common Stock    26875P101    198        2,200   SH       DEFINED        2       2,200
EOG RESOURCES INC           COMMON       26875P101  559,166    6,205,370 SH       DEFINED        6     6,201,657             3,713
EPAM SYSTEMS INC            COMMON       29414B104    867       51,022   SH       DEFINED        6      51,022
EQT CORP                    COMMON       26884L109   4,962      92,520   SH       DEFINED        6      92,520
EQT CORP COM             Common Stock    26884L109     54        1,000   SH       DEFINED        2       1,000
EQUIFAX INC COM          Common Stock    294429105    112        2,400   SH       DEFINED        2       2,400
EQUITY LIFESTYLE
 PPTYS INC COM               REIT        29472R108   1,009      14,635   SH       DEFINED        2      14,635
EQUITY LIFESTYLE
 PROPERTIES IN               REIT        29472R108   8,279      120,043  SH       DEFINED        6      120,043
EQUITY ONE COM           Common Stock    294752100    424       20,020   SH       DEFINED        2      20,020
EQUITY ONE INC               REIT        294752100    176        8,300   SH       DEFINED        6       8,300
EQUITY RESIDENTIAL           REIT        29476L107   43,009     689,683  SH       DEFINED        6      689,683
EQUITY RESIDENTIAL
 SH BEN INT              Common Stock    29476L107   7,075      113,455  SH       DEFINED        2      113,455
ESCO TECHNOLOGIES
 INC                        COMMON       296315104   4,013      110,123  SH       DEFINED        6      110,123
ESSEX PPTY TR INC
 COM                     Common Stock    297178105   1,966      12,773   SH       DEFINED        2      12,773
ESSEX PROPERTY
 TRUST INC                   REIT        297178105   13,161     85,505   SH       DEFINED        6      85,505<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
ESSEX RENT CORP
 COM                        Common       297187106   1,329      382,911  SH       SOLE                  382,911
ESTEE LAUDER COS
 INC/THE                    COMMON       518439104   2,707      50,024   SH       DEFINED        6      50,024
ESTERLINE
 TECHNOLOGIES CORP          COMMON       297425100   3,829      61,416   SH       DEFINED        6      61,416
EVEREST RE GROUP
 LTD COM                 Common Stock    345550107    834       54,670   SH       DEFINED        2      54,670
EXELIS INC COM           Common Stock    30162A108     22        2,200   SH       DEFINED        2       2,200
EXELIXIS INC                COMMON       30161Q104     82       14,900   SH       DEFINED        6      14,900
EXELON CORP                 COMMON       30161N101   1,324      35,204   SH       DEFINED        6      35,204
EXELON CORP COM          Common Stock    30161N101   5,556      147,700  SH       DEFINED        4      147,700
EXELON CORP COM          Common Stock    30161N101   7,113      189,064  SH       DEFINED        3                34,500   154,564
EXELON CORP COM          Common Stock    30161N101   12,593     334,751  SH       DEFINED        2      334,751
EXELON CORP COM              STOCK       30161N101    197        5,225   SH       DEFINED        1       5,225
EXLSERVICE
 HOLDINGS INC               COMMON       302081104   3,286      133,357  SH       DEFINED        6      133,357
EXPEDIA INC                 COMMON       30212P303   1,906      39,650   SH       DEFINED        6      39,650
EXPEDIA INC DEL COM
 NEW                     Common Stock    30212P303     62        1,300   SH       DEFINED        2       1,300
EXPEDITORS
 INTERNATIONAL OF WA        COMMON       302130109  298,253    7,696,858 SH       DEFINED        6     7,664,223            32,635
EXPEDITORS INTL
 WASH INC COM            Common Stock    302130109     66        1,700   SH       DEFINED        2       1,700
EXPRESS INC                 COMMON       30219E103   1,889      103,970  SH       DEFINED        6      103,970
EXPRESS SCRIPTS
 HLDG CO COM ADDED       Common Stock    30219G108    376        6,730   SH       DEFINED        2       6,730
EXPRESS SCRIPTS
 HOLDING CO                 COMMON       30219G108   61,534    1,102,176 SH       DEFINED        6     1,102,176
EXTORRE GOLD MINES
 LTD COM                     STOCK       30227B109   1,158      280,950  SH       DEFINED        1      280,950
EXTORRE GOLD MINES
 LTD COM                    OPTION       30227B109    130       31,494       CALL DEFINED        1                          31,494
EXTRA SPACE
 STORAGE INC                 REIT        30225T102   10,362     338,633  SH       DEFINED        6      338,633
EXTRA SPACE
 STORAGE INC COM             REIT        30225T102   1,040      33,980   SH       DEFINED        2      33,980
EXXON MOBIL CORP         Common Stock    30231G102   1,854      21,666   SH       DEFINED        5      21,666
EXXON MOBIL CORP            COMMON       30231G102   54,503     636,937  SH       DEFINED        6      636,937
EXXON MOBIL CORP
 COM                     Common Stock    30231G102   3,950      46,164   SH       DEFINED        2      46,164
EXXON MOBIL CORP
 COM                         STOCK       30231G102     60         703    SH       DEFINED        1        703
F M C CORP COM NEW       Common Stock    302491303     75        1,400   SH       DEFINED        2       1,400
F5 NETWORKS INC
 COM                     Common Stock    315616102     60         600    SH       DEFINED        2        600
FABRINET                    COMMON       G3323L100   1,268      101,050  SH       DEFINED        6      101,050
FACEBOOK INC                COMMON       30303M102   1,845      59,286   SH       DEFINED        6      59,286
FACEBOOK INC CL A
 ADDED                   Common Stock    30303M102     62        2,000   SH       DEFINED        2       2,000
FAIR ISAAC CORP             COMMON       303250104   3,342      79,050   SH       DEFINED        6      79,050
FAIRCHILD
SEMICONDUCTOR
 INTERN                     COMMON       303726103   1,750      124,100  SH       DEFINED        6      124,100
FAMILY DLR STORES
 INC COM                 Common Stock    307000109    106        1,600   SH       DEFINED        2       1,600
FAMILY DOLLAR
 STORES INC                 COMMON       307000109   1,163      17,500   SH       DEFINED        6      17,500
FARO TECHNOLOGIES
 INC                        COMMON       311642102   2,100      49,902   SH       DEFINED        6      49,902
FASTENAL CO                 COMMON       311900104   2,394      59,400   SH       DEFINED        6      59,400
FASTENAL CO COM          Common Stock    311900104    129        3,200   SH       DEFINED        2       3,200
FEDERAL REALTY
 INVESTMENT TRUS             REIT        313747206   13,796     132,535  SH       DEFINED        6      132,535
FEDERAL REALTY INVT
 TR SH BEN INT NEW       Common Stock    313747206   2,490      23,926   SH       DEFINED        2      23,926
FEDERAL SIGNAL
 CORP                       COMMON       313855108   1,664      285,000  SH       DEFINED        6      285,000
FEDERATED
 INVESTORS INC              COMMON       314211103   16,067     735,336  SH       DEFINED        6      735,336
FEDEX CORP                  COMMON       31428X106   20,312     221,720  SH       DEFINED        6      221,720
FEDEX CORP COM           Common Stock    31428X106    247        2,700   SH       DEFINED        2       2,700
FEDEX CORP COM               STOCK       31428X106     82         900    SH       DEFINED        1        900
FELCOR LODGING TR
 INC COM                     REIT        31430F101    239       50,770   SH       DEFINED        2      50,770
FELCOR LODGING
 TRUST INC                   REIT        31430F101     26        5,600   SH       DEFINED        6       5,600
FERRO CORP                  COMMON       315405100   12,418    2,587,158 SH       DEFINED        6     2,562,818            24,340
FIBRIA CELULOSE SA            ADR        31573A109   68,385    9,130,115 SH       DEFINED        6     9,130,115
FIDELITY NATIONAL
 FINANCIAL CL A          Common Stock    31620R105     38        1,995   SH       DEFINED        2       1,995
FIDELITY NATL
 INFORMATION SV COM      Common Stock    31620M106     49        1,434   SH       DEFINED        2       1,434
FIFTH STREET
 FINANCE CORP               COMMON       31678A103    581       58,195   SH       DEFINED        6      58,195
FIFTH THIRD BANCORP
 CNV PFD DEP1/250            Stock       316773209    200        1,495   PRN      DEFINED        8
FIFTH THIRD BANCORP
 COM                     Common Stock    316773100    161       12,000   SH       DEFINED        2      12,000
FINISAR CORP                COMMON       31787A507   1,306      87,290   SH       DEFINED        6      87,290
FINISAR CORP COM
 NEW                         STOCK       31787A507     1          78     SH       DEFINED        1        78
FINISH LINE INC/THE         COMMON       317923100   17,344     829,470  SH       DEFINED        6      821,189              8,281
FIRST BUSEY CORP            COMMON       319383105    859       177,800  SH       DEFINED        6      177,800
FIRST
COMMONWEALTH
 FINANCIAL C                COMMON       319829107    740       110,000  SH       DEFINED        6      110,000
FIRST FINANCIAL
 BANCORP                    COMMON       320209109   22,922    1,434,443 SH       DEFINED        6     1,422,415            12,028
FIRST HORIZON
 NATIONAL CORP              COMMON       320517105   5,619      649,605  SH       DEFINED        6      649,605
FIRST INDUSTRIAL
 REALTY TRUS COM             REIT        32054K103    337       26,682   SH       DEFINED        2      26,682<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
FIRST INDUSTRIAL
 REALTY TRUST                REIT        32054K103   1,013      80,309   SH       DEFINED        6      80,309
FIRST MIDWEST
 BANCORP INC/IL             COMMON       320867104   11,578    1,054,433 SH       DEFINED        6     1,043,531            10,902
FIRSTENERGY CORP
 COM                     Common Stock    337932107   3,568      72,543   SH       DEFINED        3                          72,543
FIRSTENERGY CORP
 COM                     Common Stock    337932107   3,745      76,143   SH       DEFINED        2      76,143
FIRSTENERGY CORP
 COM                         STOCK       337932107    127        2,572   SH       DEFINED        1       2,572
FISERV INC                  COMMON       337738108   10,091     139,720  SH       DEFINED        6      139,720
FISERV INC COM           Common Stock    337738108     72        1,000   SH       DEFINED        2       1,000
FLEXTRONICS
 INTERNATIONAL LTD          COMMON       Y2573F102   4,003      645,650  SH       DEFINED        6      645,650
FLIR SYS INC COM         Common Stock    302445101     18         900    SH       DEFINED        2        900
FLIR SYSTEMS INC            COMMON       302445101    941       48,252   SH       DEFINED        6      48,252
FLOTEK INDUSTRIES
 INC                        COMMON       343389102    118       12,630   SH       DEFINED        6      12,630
FLOWSERVE CORP
 COM                     Common Stock    34354P105     57         500    SH       DEFINED        2        500
FLUOR CORP                  COMMON       343412102   9,003      182,478  SH       DEFINED        6      182,478
FLUOR CORP NEW
 COM                     Common Stock    343412102     94        1,900   SH       DEFINED        2       1,900
FLUSHING FINANCIAL
 CORP                       COMMON       343873105   1,809      132,744  SH       DEFINED        6      132,744
FMC CORP                    COMMON       302491303   8,711      162,876  SH       DEFINED        6      162,876
FMC TECHNOLOGIES
 INC                        COMMON       30249U101   2,146      54,700   SH       DEFINED        6      54,700
FMC TECHNOLOGIES
 INC COM                 Common Stock    30249U101     94        2,400   SH       DEFINED        2       2,400
FOCUS MEDIA
 HOLDING LTD                  ADR        34415V109   1,677      71,425   SH       DEFINED        6      71,425
FOMENTO ECONOMICO
MEXICANO S SPON ADR
 UNITS                        ADR        344419106    491        5,501   SH       DEFINED        8                           5,501
FOMENTO ECONOMICO
 MEXICANO SAB                 ADR        344419106   59,698     668,885  SH       DEFINED        6      668,885
FOOT LOCKER INC             COMMON       344849104   1,242      40,600   SH       DEFINED        6      40,600
FORD MOTOR CO               COMMON       345370860   21,810    2,274,243 SH       DEFINED        6     2,274,243
FORD MOTOR CO NEW        Common Stock    345370860   1,099      114,602  SH       DEFINED        5      114,602
FORD MTR CO DEL
 COM PAR $0.01           Common Stock    345370860    373       38,892   SH       DEFINED        2      38,892
FOREST
 LABORATORIES INC           COMMON       345838106   1,414      40,400   SH       DEFINED        6      40,400
FOREST LABS INC COM      Common Stock    345838106     94        2,700   SH       DEFINED        2       2,700
FOREST OIL CORP             COMMON       346091705   11,496    1,568,322 SH       DEFINED        6     1,556,010            12,312
FORTUNE BRANDS
 HOME & SEC IN COM       Common Stock    34964C106     18         800    SH       DEFINED        2        800
FOSSIL INC                  COMMON       349882100    735        9,600   SH       DEFINED        6       9,600
FOSSIL INC COM           Common Stock    349882100     92        1,200   SH       DEFINED        2       1,200
FOSTER WHEELER AG           COMMON       H27178104   2,173      125,400  SH       DEFINED        6      125,400
FRANCE TELECOM SA             ADR        35177Q105   81,685    6,230,768 SH       DEFINED        6     5,375,805           854,963
FRANKLIN RES INC
 COM                     Common Stock    354613101    208        1,870   SH       DEFINED        2       1,870
FRANKLIN RESOURCES
 INC                        COMMON       354613101   3,969      35,760   SH       DEFINED        6      35,760
FRANKLIN STREET
 PPTYS CORP COM              REIT        35471R106    381       36,009   SH       DEFINED        2      36,009
FREEPORT MCMORAN
 CPPR & GLD              Common Stock    35671D857    639       18,751   SH       DEFINED        5      18,751
FREEPORT-MCMORAN
 COPPER & GO COM         Common Stock    35671D857    296        8,676   SH       DEFINED        2       8,676
FREEPORT-MCMORAN
 COPPER & GO COM             STOCK       35671D857     78        2,300   SH       DEFINED        1       2,300
FREEPORT-MCMORAN
 COPPER & GOLD              COMMON       35671D857   12,544     368,177  SH       DEFINED        6      368,177
FRESH MARKET
 INC/THE                    COMMON       35804H106   1,404      26,177   SH       DEFINED        6      26,177
FRONTIER
COMMUNICATIONS
 CORP                       COMMON       35906A108    139       36,224   SH       DEFINED        6      36,223
FRONTIER
COMMUNICATIONS
 CORP COM                Common Stock    35906A108     22        5,616   SH       DEFINED        2       5,616
FTI CONSULTING INC          COMMON       302941109   1,122      39,009   SH       DEFINED        6      39,009
GAMESTOP CORP NEW
 CL A                    Common Stock    36467W109     40        2,200   SH       DEFINED        2       2,200
GAP INC DEL COM          Common Stock    364760108    109        4,000   SH       DEFINED        2       4,000
GAP INC/THE                 COMMON       364760108   7,565      276,500  SH       DEFINED        6      276,500                  0
GARDNER DENVER INC          COMMON       365558105   28,930     546,779  SH       DEFINED        6      542,053              4,726
GAYLORD
 ENTERTAINMENT CO           COMMON       367905106   4,627      120,000  SH       DEFINED        6      120,000
GENERAL DYNAMICS
 CORP                       COMMON       369550108   1,425      21,600   SH       DEFINED        6      21,600
GENERAL DYNAMICS
 CORP COM                Common Stock    369550108    211        3,200   SH       DEFINED        2       3,200
GENERAL ELECTRIC
 CO                         COMMON       369604103   18,762     900,277  SH       DEFINED        6      900,277
GENERAL ELECTRIC
 CO COM                  Common Stock    369604103   2,149      103,100  SH       DEFINED        2      103,100
GENERAL ELECTRIC
 CO COM                      STOCK       369604103    896       43,000   SH       DEFINED        1      43,000
GENERAL GROWTH
 PPTYS INC NEW COM       Common Stock    370023103   3,360      185,723  SH       DEFINED        2      185,723
GENERAL GROWTH
 PROPERTIES INC              REIT        370023103   11,107     613,978  SH       DEFINED        6      613,978
GENERAL MILLS INC           COMMON       370334104   30,356     787,654  SH       DEFINED        6      787,654
GENERAL MLS INC
 COM                     Common Stock    370334104    197        5,100   SH       DEFINED        2       5,100
 GENERAL MOTORS             COMMON       37045V100    580       29,430   SH       DEFINED        6      29,430
GENERAL MTRS CO
 COM                     Common Stock    37045V100    128        6,500   SH       DEFINED        2       6,500
GENERAL MTRS CO
 COM                         STOCK       37045V100     65        3,291   SH       DEFINED        1       3,291
GENESCO INC                 COMMON       371532102   11,113     184,760  SH       DEFINED        6      183,032              1,728
GENON ENERGY INC.           COMMON       37244E107     20       11,909   SH       DEFINED        6      11,909<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
GENTEX CORP                 COMMON       371901109   48,477    2,322,791 SH       DEFINED        6     2,290,216            32,575
GENUINE PARTS CO         Common Stock    372460105    397        6,591   SH       DEFINED        5       6,591
GENUINE PARTS CO            COMMON       372460105    654       10,852   SH       DEFINED        6      10,852
GENUINE PARTS CO
 COM                     Common Stock    372460105     90        1,500   SH       DEFINED        2       1,500
GEOEYE INC                  COMMON       37250W108    313       20,210   SH       DEFINED        6      20,210
GERDAU S A
 SPONSORED ADR                ADR        373737105    391       44,666   SH       DEFINED        8                          44,666
GERDAU SA                     ADR        373737105   43,330    4,946,353 SH       DEFINED        6     4,946,353
GETTY RLTY CORP
 NEW COM                     REIT        374297109    187        9,750   SH       DEFINED        2       9,750
G-III APPAREL GROUP
 LTD                        COMMON       36237H101   1,668      70,400   SH       DEFINED        6      70,400
GILEAD SCIENCES INC         COMMON       375558103   35,167     685,779  SH       DEFINED        6      685,779
GILEAD SCIENCES INC
 COM                     Common Stock    375558103    379        7,400   SH       DEFINED        2       7,400
GLAXOSMITHKLINE PLC           ADR        37733W105   92,242    2,024,190 SH       DEFINED        6     1,746,956           277,233
GLDN STAR RES LTD        Common Stock    38119T104     75       65,000   SH       DEFINED        5      65,000
GLIMCHER RLTY TR SH
 BEN INT                     REIT        379302102    511       49,980   SH       DEFINED        2      49,980
GLOBAL PAYMENTS
 INC                        COMMON       37940X102   2,719      62,900   SH       DEFINED        6      62,900
GNC HOLDINGS INC            COMMON       36191G107   3,332      84,990   SH       DEFINED        6      84,990
GNRL ELECTRIC CO         Common Stock    369604103   1,077      51,687   SH       DEFINED        5      51,687
GNRL MILLS INC           Common Stock    370334104    824       21,388   SH       DEFINED        5      21,388
GOL LINHAS AEREAS
 INTELIGENTES                 ADR        38045R107   24,296    5,509,368 SH       DEFINED        6     5,509,368
GOLD FIELDS LTD               ADR        38059T106   10,284     802,848  SH       DEFINED        6      802,848
GOLDCORP INC             Common Stock    380956409   8,675      230,843  SH       DEFINED        5      230,843
GOLDCORP INC NEW
 COM                         STOCK       380956409     30         800    SH       DEFINED        1        800
GOLDMAN SACHS
 GROUP INC COM           Common Stock    38141G104    446        4,650   SH       DEFINED        2       4,650
GOLDMAN SACHS
 GROUP INC COM               STOCK       38141G104     20         207    SH       DEFINED        1        207
GOLDMAN SACHS
 GROUP INC/THE              COMMON       38141G104   7,849      81,876   SH       DEFINED        6      81,876                   0
GOODRICH CORP COM        Common Stock    382388106    114         900    SH       DEFINED        2        900
GOODYEAR TIRE &
 RUBR CO COM             Common Stock    382550101     21        1,800   SH       DEFINED        2       1,800
GOOGLE INC                  COMMON       38259P508  581,478    1,002,428 SH       DEFINED        6     1,001,930               498
GOOGLE INC CL A          Common Stock    38259P508   1,792       3,090   SH       DEFINED        5       3,090
GOOGLE INC CL A          Common Stock    38259P508   1,392       2,400   SH       DEFINED        2       2,400
GOOGLE INC CL A              STOCK       38259P508    784        1,352   SH       DEFINED        1       1,352
GOOGLE INC CL A          Common Stock    38259P508   3,008       5,185   SH       DEFINED        8                           5,185
GOVERNMENT PPTYS
INCOME TR COM SHS
 BEN INT                     REIT        38376A103    309       13,660   SH       DEFINED        2      13,660
GOVERNMENT
 PROPERTIES INCOME T         REIT        38376A103   9,004      398,059  SH       DEFINED        6      394,443              3,616
GRACO INC                   COMMON       384109104  120,257    2,609,752 SH       DEFINED        6     2,572,096            37,656
GRAFTECH
 INTERNATIONAL LTD          COMMON       384313102    680       70,500   SH       DEFINED        6      70,500
GRAHAM CORP                 COMMON       384556106   2,584      138,757  SH       DEFINED        6      138,757
GRAINGER W W INC
 COM                     Common Stock    384802104    115         600    SH       DEFINED        2        600
GRAN TIERRA ENERGY
 INC                     Common Stock    38500T101    277       56,467   SH       DEFINED        5      56,467
GRAN TIERRA ENERGY
 INC COM                     STOCK       38500T101     7         1,400   SH       DEFINED        1       1,400
GRANITE
 CONSTRUCTION INC           COMMON       387328107   3,846      147,314  SH       DEFINED        6      147,314
GREEN MOUNTAIN
 COFFEE ROASTERS            COMMON       393122106    653       30,000   SH       DEFINED        6      30,000
GREEN MTN COFFEE
 ROASTERS IN COM         Common Stock    393122106     33        1,500   SH       DEFINED        2       1,500
GREENWAY MEDICAL
 TECHNOLOGIES               COMMON       39679B103   1,163      71,280   SH       DEFINED        6      71,280
GRIFFON CORP                COMMON       398433102    861       100,300  SH       DEFINED        6      100,300
GROUPON INC                 COMMON       399473107    600       56,400   SH       DEFINED        6      56,400
GRUPO
AEROPORTUARIO DEL
 PACIFI                       ADR        400506101   1,799      45,600   SH       DEFINED        6      45,600
GRUPO TELEVISA SAB            ADR        40049J206  127,747    5,947,242 SH       DEFINED        6     5,947,242
GUESS? INC                  COMMON       401617105   11,179     368,080  SH       DEFINED        6      364,138              3,942
GUGGENHEIM S^P
 SMALLCAP 600            Common Stock    78355W809    361        6,644   SH       DEFINED        5       6,644
GUIDEWIRE
 SOFTWARE INC               COMMON       40171V100    440       15,640   SH       DEFINED        6      15,640
GULF ISLAND
 FABRICATION INC            COMMON       402307102   2,528      89,629   SH       DEFINED        6      89,629
GULFMARK OFFSHORE
 INC                        COMMON       402629208   1,366      40,118   SH       DEFINED        6      40,118
HAEMONETICS CORP            COMMON       405024100   19,285     260,219  SH       DEFINED        6      257,873              2,346
HALLIBURTON CO              COMMON       406216101  218,252    7,687,624 SH       DEFINED        6     7,582,247           105,377
HALLIBURTON CO COM       Common Stock    406216101    236        8,300   SH       DEFINED        2       8,300
HALLIBURTON CO COM       Common Stock    406216101   2,850      100,400  SH       DEFINED        8                         100,400
HALLMARK FINANCIAL
 SERVICES                   COMMON       40624Q203   2,375      304,433  SH       DEFINED        6      304,433
HANCOCK HOLDING CO          COMMON       410120109   32,206    1,058,010 SH       DEFINED        6     1,048,866             9,144
HANESBRANDS INC             COMMON       410345102   2,353      84,860   SH       DEFINED        6      84,860
HARLEY DAVIDSON INC
 COM                     Common Stock    412822108    105        2,300   SH       DEFINED        2       2,300
HARLEY-DAVIDSON INC         COMMON       412822108    677       14,800   SH       DEFINED        6      14,800
HARRIS CORP                 COMMON       413875105   7,840      187,324  SH       DEFINED        6      187,324<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
HARRIS CORP DEL
 COM                     Common Stock    413875105     54        1,300   SH       DEFINED        2       1,300
HARRIS TEETER
 SUPERMARKETS INC           COMMON       414585109   24,717     602,999  SH       DEFINED        6      597,171              5,828
HARSCO CORP                 COMMON       415864107   4,092      200,800  SH       DEFINED        6      200,800
HARTFORD FINL SVCS
 GROUP INC COM           Common Stock    416515104     58        3,300   SH       DEFINED        2       3,300
HASBRO INC                  COMMON       418056107   7,611      224,720  SH       DEFINED        6      224,720
HASBRO INC COM           Common Stock    418056107     41        1,200   SH       DEFINED        2       1,200
HB FULLER CO                COMMON       359694106   24,224     789,068  SH       DEFINED        6      782,607              6,461
HCA HOLDINGS INC
 COM                     Common Stock    40412C101     79        2,600   SH       DEFINED        2       2,600
HCC INSURANCE
HOLDINGS INC                COMMON       404132102   9,363      298,183  SH       DEFINED        6      298,183
HCP INC                      REIT        40414L109   35,333     800,287  SH       DEFINED        6      800,287
HCP INC COM                  REIT        40414L109   6,945      157,306  SH       DEFINED        2      157,306
HDFC BANK LTD ADR
 REPS 3 SHS                  STOCK       40415F101    262        8,040   SH       DEFINED        1       8,040
HDFC BANK LTD ADR
 REPS 3 SHS                   ADR        40415F101    655       20,100   SH       DEFINED        8                          20,100
HEALTH CARE REIT INC         REIT        42217K106   20,392     349,781  SH       DEFINED        6      349,781
HEALTH CARE REIT INC
 COM                         REIT        42217K106   4,720      80,963   SH       DEFINED        2      80,963
HEALTHCARE REALTY
 TRUST INC                   REIT        421946104   4,698      197,045  SH       DEFINED        6      197,045
HEALTHCARE RLTY TR
 COM                         REIT        421946104    665       27,904   SH       DEFINED        2      27,904
HEALTHSOUTH CORP            COMMON       421924309    181        7,800   SH       DEFINED        6       7,800
HEARTLAND EXPRESS
 INC                        COMMON       422347104     2          160    SH       DEFINED        6        160
HEARTLAND PAYMENT
 SYSTEMS INC                COMMON       42235N108  115,931    3,854,099 SH       DEFINED        6     3,798,546            55,553
HEARTWARE
 INTERNATIONAL INC          COMMON       422368100   2,260      25,450   SH       DEFINED        6      25,450
HEICO CORP                  COMMON       422806208   1,613      50,000   SH       DEFINED        6      50,000
HEINZ H J CO COM         Common Stock    423074103    147        2,700   SH       DEFINED        2       2,700
HEINZ HJ CO              Common Stock    423074103    548       10,085   SH       DEFINED        5      10,085
HELEN OF TROY LTD           COMMON       G4388N106   1,966      58,000   SH       DEFINED        6      58,000
HELIX ENERGY
 SOLUTIONS GROUP I          COMMON       42330P107   23,923    1,457,829 SH       DEFINED        6     1,441,182            16,647
HELMERICH & PAYNE
 INC COM                 Common Stock    423452101     48        1,100   SH       DEFINED        2       1,100
HERBALIFE LTD               COMMON       G4412G101   8,972      185,650  SH       DEFINED        6      185,650
HERBALIFE LTD COM
 USD SHS                 Common Stock    254687106    882       18,200   SH       DEFINED        2      18,200
HERMAN MILLER INC           COMMON       600544100    500       27,000   SH       DEFINED        6      27,000
HERSHA HOSPITALITY
 TR SH BEN INT A             REIT        427825104    262       49,710   SH       DEFINED        2      49,710
HERSHEY CO COM           Common Stock    427866108    115        1,600   SH       DEFINED        2       1,600
HERTZ GLOBAL
 HOLDINGS INC               COMMON       42805T105   2,086      163,000  SH       DEFINED        6      163,000
HESS CORP                   COMMON       42809H107   14,350     330,276  SH       DEFINED        6      330,276
HESS CORP COM            Common Stock    42809H107    130        3,000   SH       DEFINED        2       3,000
HEWLETT PACKARD CO
 COM                     Common Stock    428236103    412       20,500   SH       DEFINED        2      20,500
HEWLETT PACKARD CO
 COM                         STOCK       428236103   1,157      57,527   SH       DEFINED        1      57,527
HEWLETT PACKARD CO
 COM                        OPTION       428236103    507       25,190       CALL DEFINED        1                          25,190
HEWLETT-PACKARD
 CO                         COMMON       428236103    779       38,760   SH       DEFINED        6      38,760
HIBBETT SPORTS INC          COMMON       428567101   1,835      31,790   SH       DEFINED        6      31,790
HIGHWOODS PPTYS
 INC COM                 Common Stock    431284108    865       25,706   SH       DEFINED        2      25,706
HIGHWOODS
 PROPERTIES INC              REIT        431284108   37,793    1,123,113 SH       DEFINED        6     1,117,900             5,213
HILL-ROM HOLDINGS
 INC                        COMMON       431475102   1,296      42,000   SH       DEFINED        6      42,000
HILLSHIRE BRANDS CO
 COM ADDED               Common Stock    432589109    194        6,700   SH       DEFINED        2       6,700
HITTITE MICROWAVE
 CORP                       COMMON       43365Y104    511       10,000   SH       DEFINED        6      10,000
HOLLYFRONTIER CORP          COMMON       436106108   8,340      235,382  SH       DEFINED        6      235,382
HOLLYFRONTIER CORP
 COM                     Common Stock    436106108    145        4,100   SH       DEFINED        2       4,100
HOLLYSYS
AUTOMATION
 TECHNOLOGI                 COMMON       G45667105   5,786      679,100  SH       DEFINED        6      679,100
HOLOGIC INC                 COMMON       436440101   2,158      119,600  SH       DEFINED        6      119,600
HOLOGIC INC COM          Common Stock    436440101     36        2,000   SH       DEFINED        2       2,000
HOME BANCSHARES
 INC/AR                     COMMON       436893200   1,810      59,175   SH       DEFINED        6      59,175
HOME DEPOT INC           Common Stock    437076102    526        9,934   SH       DEFINED        5       9,934
HOME DEPOT INC              COMMON       437076102   7,694      145,190  SH       DEFINED        6      145,190
HOME DEPOT INC COM       Common Stock    437076102    805       15,200   SH       DEFINED        2      15,200
HOME LOAN
 SERVICING SOLUTION         COMMON       G6648D109   2,080      155,200  SH       DEFINED        6      155,200
HOME PROPERTIES
 INC                         REIT        437306103   3,136      51,113   SH       DEFINED        6      51,113
HOME PROPERTIES
 INC COM                 Common Stock    437306103   1,075      17,520   SH       DEFINED        2      17,520
HOMEAWAY INC                COMMON       43739Q100    989       45,480   SH       DEFINED        6      45,480
HONEYWELL
 INTERNATIONAL INC          COMMON       438516106   25,492     456,510  SH       DEFINED        6      456,510
HONEYWELL INTL INC       Common Stock    438516106    516        9,232   SH       DEFINED        5       9,232
HONEYWELL INTL INC
 COM                     Common Stock    438516106    374        6,700   SH       DEFINED        2       6,700
HOOKER FURNITURE
 CORP                       COMMON       439038100   2,386      202,374  SH       DEFINED        6      202,374
HORACE MANN
 EDUCATORS CORP             COMMON       440327104   2,524      144,376  SH       DEFINED        6      144,376<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
HORMEL FOODS CORP
 COM                     Common Stock    440452100     49        1,600   SH       DEFINED        2       1,600
HORNBECK OFFSHORE
 SERVICES INC               COMMON       440543106   1,008      26,000   SH       DEFINED        6      26,000
HORNBECK OFFSHORE
SVCS INC N FRNT
 1.625%11/1                  Stock       440543AE6    306       290,000  PRN      DEFINED        8
HOSPIRA INC COM          Common Stock    441060100     35        1,000   SH       DEFINED        2       1,000
HOSPITALITY PPTYS TR
 COM SH BEN INT              REIT        44106M102   1,099      44,382   SH       DEFINED        2      44,382
HOSPITALITY
 PROPERTIES TRUST            REIT        44106M102    282       11,400   SH       DEFINED        6      11,400
HOST HOTELS &
 RESORTS INC                 REIT        44107P104   35,849    2,266,082 SH       DEFINED        6     2,266,082
HOST HOTELS &
 RESORTS INC COM         Common Stock    44107P104   4,234      267,663  SH       DEFINED        2      267,663
HOUSTON AMERICAN
 ENERGY CORP                COMMON       44183U100     17       15,000   SH       DEFINED        6      15,000
HOWARD HUGHES
 CORP/THE                   COMMON       44267D107     0           1     SH       DEFINED        6         1
HSBC HLDGS PLC
 S/ADR NEW               Common Stock    404280406   1,519      34,429   SH       DEFINED        5      34,429
HUANENG POWER
 INTERNATIONAL IN             ADR        443304100   11,920     400,000  SH       DEFINED        6      400,000
HUB GROUP INC               COMMON       443320106   2,792      77,180   SH       DEFINED        6      77,180
HUBBELL INC                 COMMON       443510201   4,178      53,600   SH       DEFINED        6      53,600
HUDBAY MINERALS INC
 COM                         STOCK       443628102     25        3,300   SH       DEFINED        1       3,300
HUDBAY MNRLS INC         Common Stock    443628102    829       107,716  SH       DEFINED        5      107,716
HUDSON CITY
 BANCORP COM             Common Stock    443683107     1          91     SH       DEFINED        2        91
HUMAN GENOME
 SCIENCES INC               COMMON       444903108     71        5,400   SH       DEFINED        6       5,400
HUMANA INC COM           Common Stock    444859102    170        2,200   SH       DEFINED        2       2,200
HUNTINGTON INGALLS
 INDS INC COM            Common Stock    446413106     87        2,150   SH       DEFINED        2       2,150
HUNTINGTON INGALLS
 INDUSTRIES                 COMMON       446413106    475       11,792   SH       DEFINED        6      11,791
HYATT HOTELS CORP           COMMON       448579102    199        5,350   SH       DEFINED        6       5,350
IAC/INTERACTIVECORP         COMMON       44919P508   2,281      50,020   SH       DEFINED        6      50,020
ICICI BANK LTD                ADR        45104G104   25,745     794,348  SH       DEFINED        6      794,348
ICICI BK LTD ADR             STOCK       45104G104    171        5,265   SH       DEFINED        1       5,265
ICICI BK LTD ADR              ADR        45104G104    576       17,771   SH       DEFINED        8                          17,771
ICICI BK LTD S/ADR       Common Stock    45104G104   1,065      32,850   SH       DEFINED        5      32,850
ICON PLC                      ADR        45103T107   1,709      75,835   SH       DEFINED        6      75,835
ICONIX BRAND GROUP
 INC                        COMMON       451055107   2,169      124,144  SH       DEFINED        6      124,144
IDEX CORP                   COMMON       45167R104   1,275      32,700   SH       DEFINED        6      32,700
IGNITE RESTAURANT
 GROUP INC                  COMMON       451730105    172        9,500   SH       DEFINED        6       9,500
IHS INC                     COMMON       451734107   1,034       9,600   SH       DEFINED        6       9,600
IHS INC CL A             Common Stock    451734107     75         700    SH       DEFINED        2        700
II-VI INC                   COMMON       902104108   1,500      90,000   SH       DEFINED        6      90,000
ILLINOIS TOOL WKS INC
 COM                     Common Stock    452308109    212        4,000   SH       DEFINED        2       4,000
ILLUMINA INC                COMMON       452327109    606       15,000   SH       DEFINED        6      15,000
ILLUMINA INC COM         Common Stock    452327109     40        1,000   SH       DEFINED        2       1,000
IMMUNOGEN INC               COMMON       45253H101   1,185      70,620   SH       DEFINED        6      70,620
IMPERIAL OIL LTD         Common Stock    453038408   1,210      28,995   SH       DEFINED        5      28,995
IMPERVA INC                 COMMON       45321L100   1,026      35,610   SH       DEFINED        6      35,610
INCYTE CORP LTD             COMMON       45337C102   2,984      131,438  SH       DEFINED        6      131,438
INDEPENDENT BANK
 CORP/ROCKLAND              COMMON       453836108   28,079     961,266  SH       DEFINED        6      951,786              9,480
INDIA FD INC             Common Stock    454089103    580       28,471   SH       DEFINED        5      28,471
INFINERA CORP               COMMON       45667G103    410       60,000   SH       DEFINED        6      60,000
INFINITY PROPERTY &
 CASUALTY C                 COMMON       45665Q103   34,934     605,764  SH       DEFINED        6      599,921              5,843
INFORMATICA CORP            COMMON       45666Q102   3,241      76,500   SH       DEFINED        6      76,500
INFOSYS LTD
 SPONSORED ADR               STOCK       456788108    183        4,058   SH       DEFINED        1       4,058
INFOSYS LTD
 SPONSORED ADR                ADR        456788108    598       13,275   SH       DEFINED        8                          13,275
INFOSYS
 TECHNOLOGIES LTD             ADR        456788108   20,656     458,400  SH       DEFINED        6      458,400
ING GROEP NV                  ADR        456837103   36,084    5,401,827 SH       DEFINED        6     4,667,804           734,023
INGERSOLL-RAND PLC          COMMON       G47791101   2,910      69,000   SH       DEFINED        6      69,000
INGRAM MICRO INC            COMMON       457153104   1,188      68,000   SH       DEFINED        6      68,000
INLAND REAL ESTATE
 CORP COM NEW                REIT        457461200    315       37,640   SH       DEFINED        2      37,640
INNOPHOS HOLDINGS
 INC                        COMMON       45774N108   1,890      33,474   SH       DEFINED        6      33,474
INSULET CORP                COMMON       45784P101   2,780      130,090  SH       DEFINED        6      130,090
INTEGRYS ENERGY
 GROUP INC COM               STOCK       45822P105     28         488    SH       DEFINED        1        488
INTEL CORP               Common Stock    458140100   2,550      95,702   SH       DEFINED        5      95,702
INTEL CORP                  COMMON       458140100  233,398    8,757,906 SH       DEFINED        6     8,642,754           115,152
INTEL CORP COM           Common Stock    458140100   1,364      51,200   SH       DEFINED        2      51,200
INTEL CORP COM               STOCK       458140100    254        9,519   SH       DEFINED        1       9,519
INTEL CORP COM           Common Stock    458140100   2,840      106,570  SH       DEFINED        8                         106,570
INTEL CORP SDCV
 2.950%12/1                  Stock       458140AD2   1,574     1,390,000 PRN      DEFINED        8

INTERCONTINENTALEX
 CHANGE INC                 COMMON       45865V100  657,926    4,838,404 SH       DEFINED        6     4,823,200            15,204<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}

INTERCONTINENTALEX
 CHANGE INC COM          Common Stock    45865V100    109         800    SH       DEFINED        2        800
INTERDIGITAL INC/PA         COMMON       45867G101   1,857      62,935   SH       DEFINED        6      62,935
INTERFACE INC               COMMON       458665304   1,227      90,000   SH       DEFINED        6      90,000
INTERMUNE INC               COMMON       45884X103   1,535      128,443  SH       DEFINED        6      128,443
INTERNATIONAL
 BUSINESS MACHINE           COMMON       459200101   35,334     180,664  SH       DEFINED        6      180,664
INTERNATIONAL
 BUSINESS MACHS COM      Common Stock    459200101   2,171      11,100   SH       DEFINED        2      11,100
INTERNATIONAL
FLAVORS^FRAGRA
 COM                     Common Stock    459506101     88        1,600   SH       DEFINED        2       1,600
INTERNATIONAL GAME
 TECHNOLOG COM           Common Stock    459902102     38        2,400   SH       DEFINED        2       2,400
INTERNATIONAL GAME
TECHNOLOG NOTE
 3.250% 5/0                  Stock       459902AQ5    840       760,000  PRN      DEFINED        8
INTERNATIONAL PAPER
 CO                         COMMON       460146103   15,212     526,188  SH       DEFINED        6      526,188
INTERPUBLIC GROUP
 COS INC COM             Common Stock    460690100     34        3,100   SH       DEFINED        2       3,100
INTERVAL LEISURE
 GROUP INC                  COMMON       46113M108   58,361    3,069,999 SH       DEFINED        6     3,027,278            42,721
INTERXION HOLDING
 NV                         COMMON       N47279109   1,596      88,147   SH       DEFINED        6      88,147
INTL BUSINESS
 MACHINES CORP           Common Stock    459200101   1,085       5,546   SH       DEFINED        5       5,546
INTL PAPER CO COM        Common Stock    460146103    162        5,600   SH       DEFINED        2       5,600
INTUIT COM               Common Stock    461202103    154        2,600   SH       DEFINED        2       2,600
INTUIT INC                  COMMON       461202103  551,782    9,297,088 SH       DEFINED        6     9,291,877             5,210
INTUITIVE SURGICAL
 INC COM NEW             Common Stock    46120E602    166         300    SH       DEFINED        2        300
INTUITIVE SURGICAL
 INC COM NEW             Common Stock    46120E602   1,268       2,290   SH       DEFINED        8                           2,290
INVESCO LTD                 COMMON       G491BT108   1,379      61,000   SH       DEFINED        6      61,000
INVESCO LTD SHS               ADR        G491BT108     97        4,277   SH       DEFINED        2       4,277
INVESTORS REAL
 ESTATE TR SH BEN INT        REIT        461730103    262       33,100   SH       DEFINED        2      33,100
INVESTORS REAL
 ESTATE TRUST                REIT        461730103     81       10,260   SH       DEFINED        6      10,260
IPATH MSCI INDIA
 INDEX ETN                    ETF        06739F291   5,833      113,100  SH       DEFINED        6      113,100
IPG PHOTONICS CORP          COMMON       44980X109   2,528      58,000   SH       DEFINED        6      58,000
IRON MTN INC COM         Common Stock    462846106     33        1,000   SH       DEFINED        2       1,000
IRONWOOD
 PHARMACEUTICALS INC        COMMON       46333X108   1,108      80,440   SH       DEFINED        6      80,440
IRSA INVERSIONES Y
 REPRESENTAC                  ADR        450047204   8,161     1,151,112 SH       DEFINED        6     1,151,112
ISHARES BARCLAY
 20+YR TREAS BD          Common Stock    464287432    334        2,664   SH       DEFINED        5       2,664
ISHARES BARCLAYS 7-
 10YR TREAS              Common Stock    464287440   51,655     478,595  SH       DEFINED        5      478,595
ISHARES FTSE XINHAU
 CHINA                   Common Stock    464287184    375       11,145   SH       DEFINED        5      11,145
ISHARES IBOXX $HIGH
 YIELD                   Common Stock    464288513    488        5,351   SH       DEFINED        5       5,351
ISHARES IBOXX
 INVESTMENT GRADE             ETF        464287242   62,323     53,000   SH       DEFINED        6      53,000
ISHARES INC MSCI
 BRAZIL                      STOCK       464286400   3,700      71,564   SH       DEFINED        1      71,564
ISHARES INC MSCI CDA
 INDEX                     SPON ADR      464286509     9          350    SH       DEFINED        1        350
ISHARES INC MSCI
 HONG KONG                   STOCK       464286871    815       49,667   SH       DEFINED        1      49,667
ISHARES INC MSCI
 JAPAN                       STOCK       464286848    471       50,000   SH       DEFINED        1      50,000
ISHARES INC MSCI
 MALAYSIA                    STOCK       464286830     10         700    SH       DEFINED        1        700
ISHARES INC MSCI
 SINGAPORE                   STOCK       464286673    362       29,400   SH       DEFINED        1      29,400
ISHARES INC MSCI
 TAIWAN                      STOCK       464286731    245       20,000   SH       DEFINED        1      20,000
ISHARES MSCI BRAZIL
 FREE IDX                Common Stock    464286400    512        9,900   SH       DEFINED        5       9,900
ISHARES MSCI BRAZIL
 INDEX FUND                   ETF        464286400    197        3,800   SH       DEFINED        6       3,800
ISHARES MSCI EAFE
 GROWTH INDEX                 ETF        464288885   24,483     457,118  SH       DEFINED        6      457,118
ISHARES MSCI EAFE
 INDEX FUND                   ETF        464287465   13,194     264,093  SH       DEFINED        6      264,093
ISHARES MSCI
 EMERGING MARKETS             ETF        464287234   4,676      119,310  SH       DEFINED        6      119,310
ISHARES MSCI HONG
 KONG INDEX                   ETF        464286871     2          110    SH       DEFINED        6        110
ISHARES MSCI JAPAN
 IDX FD                  Common Stock    464286848    226       24,000   SH       DEFINED        5      24,000
ISHARES MSCI JAPAN
 INDEX FUND                   ETF        464286848     89        9,480   SH       DEFINED        6       9,480
ISHARES MSCI
 SINGAPORE                    ETF        464286673     1          75     SH       DEFINED        6        75
ISHARES MSCI TAIWAN
 INDEX FUND                   ETF        464286731   1,857      151,800  SH       DEFINED        6      151,800
ISHARES RUSSELL
 2000 GROWTH IN               ETF        464287648   8,046      87,960   SH       DEFINED        6      87,960
ISHARES S^P INDIA
 NIFTY 50 IND                 ETF        464289529   11,596     530,000  SH       DEFINED        6      530,000
ISHARES TR DJ US
 REAL EST                    STOCK       464287739    171        2,668   SH       DEFINED        1       2,668
ISHARES TR FTSE
 CHINA25 IDX                 STOCK       464287184     8          251    SH       DEFINED        1        251
ISHARES TR MSCI EAFE
 IDX FD                  Common Stock    464287465   1,678      33,585   SH       DEFINED        5      33,585
ISHARES TR MSCI
 EMERG MKT                   STOCK       464287234   7,604      194,303  SH       DEFINED        1      194,303
ISHARES TRUST DOW
 JONES US                Common Stock    464287739   16,465     257,533  SH       DEFINED        5      257,533
ISHARES TRUST LARGE
 VALUE                   Common Stock    464288109   2,087      33,963   SH       DEFINED        5      33,963
ISHARES TRUST S^P
 SMALL CAP               Common Stock    464287879   1,085      14,600   SH       DEFINED        5      14,600
ISHARES TRUST S^P
 SMALL CAP               Common Stock    464287887    553        6,856   SH       DEFINED        5       6,856
ISIS
 PHARMACEUTICALS INC        COMMON       464330109    732       61,000   SH       DEFINED        6      61,000
ITAU UNIBANCO HLDG
 SA SPON ADR REP PFD          ADR        465562106    364       26,132   SH       DEFINED        8                          26,132
ITAU UNIBANCO
 HOLDING SA                   ADR        465562106   61,010    4,382,900 SH       DEFINED        6     4,382,900<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
ITC HLDGS CORP COM       Common Stock    465685105   9,952      144,415  SH       DEFINED        4      144,415
ITC HLDGS CORP COM       Common Stock    465685105   17,077     247,819  SH       DEFINED        3      64,259    29,017   154,543
ITC HLDGS CORP COM       Common Stock    465685105   1,257      18,245   SH       DEFINED        2      18,245
ITC HLDGS CORP COM           STOCK       465685105     22         322    SH       DEFINED        1        322
ITC HOLDINGS CORP           COMMON       465685105    151        2,190   SH       DEFINED        6       2,190
ITT CORP NEW COM
 NEW                     Common Stock    450911201     19        1,100   SH       DEFINED        2       1,100
IXIA                        COMMON       45071R109    913       75,930   SH       DEFINED        6      75,930
IXYS CORP                   COMMON       46600W106   1,394      124,939  SH       DEFINED        6      124,939
J^J SNACK FOODS
 CORP                       COMMON       466032109   2,343      39,649   SH       DEFINED        6      39,649
J2 GLOBAL INC               COMMON       48123V102  146,494    5,544,813 SH       DEFINED        6     5,485,317            59,496
JABIL CIRCUIT INC           COMMON       466313103   1,770      87,070   SH       DEFINED        6      87,070
JACK HENRY &
 ASSOCIATES INC             COMMON       426281101   2,140      62,000   SH       DEFINED        6      62,000
JACK IN THE BOX INC         COMMON       466367109   20,593     738,636  SH       DEFINED        6      731,823              6,813
JAGUAR MNG INC           Common Stock    47009M103     23       20,000   SH       DEFINED        5      20,000
JARDEN CORP                 COMMON       471109108   26,733     636,193  SH       DEFINED        6      636,193
JB HUNT TRANSPORT
 SERVICES INC               COMMON       445658107   13,027     218,579  SH       DEFINED        6      218,579
JIAYUAN.COM
 INTERNATIONAL LTD            ADR        477374102   1,671      348,100  SH       DEFINED        6      348,100
JIVE SOFTWARE INC           COMMON       47760A108   1,331      63,430   SH       DEFINED        6      63,430
JM SMUCKER CO/THE           COMMON       832696405   3,711      49,140   SH       DEFINED        6      49,140
JOHNSON & JOHNSON        Common Stock    478160104   2,435      36,046   SH       DEFINED        5      36,046
JOHNSON & JOHNSON           COMMON       478160104  232,517    3,441,630 SH       DEFINED        6     3,396,493            45,137
JOHNSON & JOHNSON
 COM                     Common Stock    478160104   1,882      27,852   SH       DEFINED        2      27,852
JOHNSON & JOHNSON
 COM                         STOCK       478160104     39         573    SH       DEFINED        1        573
JOHNSON & JOHNSON
 COM                     Common Stock    478160104   3,056      45,240   SH       DEFINED        8                          45,240
JOHNSON CONTROLS
 INC                        COMMON       478366107   9,397      339,130  SH       DEFINED        6      339,130
JOHNSON CTLS INC
 COM                     Common Stock    478366107    152        5,500   SH       DEFINED        2       5,500
JONES GROUP INC/THE         COMMON       48020T101    508       53,121   SH       DEFINED        6      53,121
JOS A BANK
 CLOTHIERS INC              COMMON       480838101   4,028      94,869   SH       DEFINED        6      94,869
JOY GLOBAL INC              COMMON       481165108   4,466      78,732   SH       DEFINED        6      78,732
JOY GLOBAL INC COM       Common Stock    481165108     57        1,000   SH       DEFINED        2       1,000
JOY GLOBAL INC COM       Common Stock    481165108    488        8,600   SH       DEFINED        8                           8,600
JPMORGAN CHASE &
 CO                      Common Stock    46625H100    645       18,056   SH       DEFINED        5      18,056
JPMORGAN CHASE &
 CO                         COMMON       46625H100   35,628     997,145  SH       DEFINED        6      997,145
JPMORGAN CHASE &
 CO COM                      STOCK       46625H100    469       13,127   SH       DEFINED        1      13,127
JUNIPER NETWORKS
 INC                        COMMON       48203R104   1,549      95,000   SH       DEFINED        6      95,000
JUNIPER NETWORKS
 INC COM                 Common Stock    48203R104     70        4,300   SH       DEFINED        2       4,300
K12 INC                     COMMON       48273U102  123,194    5,287,277 SH       DEFINED        6     5,232,687            54,590
KADANT INC                  COMMON       48282T104   1,675      71,433   SH       DEFINED        6      71,433
KAISER ALUMINUM
 CORP                       COMMON       483007704   23,806     459,224  SH       DEFINED        6      454,163              5,061
KAISER FEDERAL
 FINANCIAL GROUP            COMMON       483056107    808       54,674   SH       DEFINED        6      54,674
KANSAS CITY
 SOUTHERN                   COMMON       485170302   1,927      27,700   SH       DEFINED        6      27,700
KANSAS CITY
 SOUTHERN COM NEW        Common Stock    485170302   2,923      42,020   SH       DEFINED        8                          42,020
KB FINANCIAL GROUP
 INC                          ADR        48241A105   85,803    2,624,756 SH       DEFINED        6     2,624,756
KBR INC                     COMMON       48242W106   8,141      329,481  SH       DEFINED        6      329,481
KBR INC COM              Common Stock    48242W106     52        2,100   SH       DEFINED        2       2,100
KELLOGG CO                  COMMON       487836108   4,481      90,830   SH       DEFINED        6      90,830
KELLOGG CO COM           Common Stock    487836108    123        2,500   SH       DEFINED        2       2,500
KEMET CORP                  COMMON       488360207    902       150,000  SH       DEFINED        6      150,000
KENNAMETAL INC              COMMON       489170100   4,561      137,600  SH       DEFINED        6      137,600
KEY ENERGY
 SERVICES INC               COMMON       492914106   1,337      175,864  SH       DEFINED        6      175,864
KEYCORP NEW COM          Common Stock    493267108     84       10,900   SH       DEFINED        2      10,900
KEYW HOLDING
 CORP/THE                   COMMON       493723100   1,244      123,925  SH       DEFINED        6      123,925
KFORCE INC                  COMMON       493732101   1,991      147,909  SH       DEFINED        6      147,909
KILROY REALTY CORP           REIT        49427F108   14,387     297,186  SH       DEFINED        6      297,186
KILROY RLTY CORP
 COM                         REIT        49427F108   1,217      25,141   SH       DEFINED        2      25,141
KIMBERLY CLARK
 CORP COM                Common Stock    494368103    369        4,400   SH       DEFINED        2       4,400
KIMBERLY CLARK
 CORP COM                Common Stock    494368103   2,873      34,300   SH       DEFINED        8                          34,300
KIMBERLY-CLARK
 CORP                       COMMON       494368103  227,616    2,717,155 SH       DEFINED        6     2,677,319            39,836
KIMCO REALTY CORP            REIT        49446R109   16,160     849,208  SH       DEFINED        6      849,208
KIMCO RLTY CORP
 COM                     Common Stock    49446R109   3,023      158,870  SH       DEFINED        2      158,870
KINDER MORGAN INC
 DEL COM                 Common Stock    49456B101   6,066      188,280  SH       DEFINED        4      188,280
KINDER MORGAN INC
 DEL COM                 Common Stock    49456B101   1,811      56,204   SH       DEFINED        3                43,566    12,638
KINDER MORGAN INC
 DEL COM                 Common Stock    49456B101   8,178      253,833  SH       DEFINED        2      253,833<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
KINDER MORGAN INC
 DEL COM                     STOCK       49456B101     22         696    SH       DEFINED        1        696
KINDER MORGAN
 INC/DELAWARE               COMMON       49456B101  426,059   13,223,413 SH       DEFINED        6    13,215,812             7,601
KINDER MORGAN
 MANAGEMENT LLC SHS      Common Stock    49455U100     76        1,049   SH       DEFINED        2       1,049
KINDER MORGAN
 MANAGEMENT LLC SHS          STOCK       49455U100   7,257      100,381  SH       DEFINED        1      100,381
KINROSS GLD CORP         Common Stock    496902404    349       42,768   SH       DEFINED        5      42,768
KINROSS GOLD CORP           COMMON       496902404    326       40,000   SH       DEFINED        6      40,000
KINROSS GOLD CORP
 COM NO PAR                  STOCK       496902404   1,052      129,048  SH       DEFINED        1      129,048
KIRBY CORP                  COMMON       497266106   12,539     266,327  SH       DEFINED        6      263,476              2,851
KIRKLAND'S INC              COMMON       497498105    371       33,000   SH       DEFINED        6      33,000
KITE REALTY GROUP
 TRUST                       REIT        49803T102   1,223      245,000  SH       DEFINED        6      245,000
KITE RLTY GROUP TR
 COM                         REIT        49803T102    129       25,910   SH       DEFINED        2      25,910
KLA-TENCOR CORP             COMMON       482480100   1,103      22,400   SH       DEFINED        6      22,400
KLA-TENCOR CORP
 COM                     Common Stock    482480100    148        3,000   SH       DEFINED        2       3,000
KMG CHEMICALS INC           COMMON       482564101   2,898      150,335  SH       DEFINED        6      150,335
KNIGHT CAPITAL
 GROUP INC                  COMMON       499005106   1,335      111,810  SH       DEFINED        6      111,810
KNOLL INC                   COMMON       498904200   12,430     926,231  SH       DEFINED        6      919,372              6,859
KOHL'S CORP                 COMMON       500255104   1,082      23,780   SH       DEFINED        6      23,780
KOHLS CORP COM           Common Stock    500255104    114        2,500   SH       DEFINED        2       2,500
KONINKLIJKE PHILIPS
 ELECTRONIC                 NYSHRS       500472303    268       13,603   SH       DEFINED        6       8,299               5,304
KOPPERS HOLDINGS
 INC                        COMMON       50060P106   1,107      32,570   SH       DEFINED        6      32,570
KOREA ELECTRIC
 POWER CORP                   ADR        500631106   8,697      777,900  SH       DEFINED        6      777,900
KRAFT FOODS INC             COMMON       50075N104  203,406    5,266,856 SH       DEFINED        6     5,187,511            79,345
KRAFT FOODS INC CL A     Common Stock    50075N104    816       21,134   SH       DEFINED        5      21,134
KRAFT FOODS INC CL A     Common Stock    50075N104    570       14,749   SH       DEFINED        2      14,749
KRAFT FOODS INC CL A         STOCK       50075N104     22         579    SH       DEFINED        1        579
KRAFT FOODS INC CL A     Common Stock    50075N104   2,815      72,900   SH       DEFINED        8                          72,900
KROGER CO COM            Common Stock    501044101    148        6,400   SH       DEFINED        2       6,400
KT CORP                       ADR        48268K101   71,872    5,453,074 SH       DEFINED        6     5,453,074
L-3 COMMUNICATIONS
 HLDGS INC COM           Common Stock    502424104     57         800    SH       DEFINED        2        800
LABORATORY CORP
 AMER HLDGS COM NEW      Common Stock    50540R409     93        1,000   SH       DEFINED        2       1,000
LABORATORY CORP
 AMER HLDGS NOTE 9/1         Stock       50540RAG7    236       190,000  PRN      DEFINED        8
LACLEDE GROUP
 INC/THE                    COMMON       505597104   1,879      47,198   SH       DEFINED        6      47,198
LAKELAND FINANCIAL
 CORP                       COMMON       511656100    518       19,300   SH       DEFINED        6      19,300
LAM RESEARCH CORP           COMMON       512807108   3,449      91,400   SH       DEFINED        6      91,400
LAM RESEARCH CORP
 COM                     Common Stock    512807108     57        1,500   SH       DEFINED        2       1,500
LANDEC CORP                 COMMON       514766104   3,215      375,553  SH       DEFINED        6      375,553
LANDSTAR SYSTEM
 INC                        COMMON       515098101   2,724      52,660   SH       DEFINED        6      52,660
LAREDO PETROLEUM
 HOLDINGS INC               COMMON       516806106    416       20,000   SH       DEFINED        6      20,000
LAS VEGAS SANDS
 CORP                       COMMON       517834107   3,449      79,300   SH       DEFINED        6      79,300
LAS VEGAS SANDS
 CORP COM                Common Stock    517834107    130        3,000   SH       DEFINED        2       3,000
LAS VEGAS SANDS
 CORP COM                    STOCK       517834107    315        7,242   SH       DEFINED        1       7,242
LAS VEGAS SANDS
 CORP COM                Common Stock    517834107    317        7,300   SH       DEFINED        8                           7,300
LASALLE HOTEL PPTYS
 COM SH BEN INT              REIT        517942108   1,016      34,850   SH       DEFINED        2      34,850
LASALLE HOTEL
 PROPERTIES                  REIT        517942108   8,044      276,030  SH       DEFINED        6      276,030
LATTICE
SEMICONDUCTOR
 CORP                       COMMON       518415104   1,094      290,097  SH       DEFINED        6      290,097
LAUDER ESTEE COS
 INC CL A                Common Stock    518439104    108        2,000   SH       DEFINED        2       2,000
LAUDER ESTEE COS
 INC CL A                Common Stock    518439104    535        9,880   SH       DEFINED        8                           9,880
LAZARD LTD                  COMMON       G54050102   2,043      78,600   SH       DEFINED        6      78,600
LDK SOLAR CO CV
 4.75%                   Common Stock    50183LAB3    202        3,000   SH       DEFINED        5       3,000
LEAPFROG
 ENTERPRISES INC            COMMON       52186N106    380       37,060   SH       DEFINED        6      37,060
LEAR CORP                   COMMON       521865204   1,796      47,600   SH       DEFINED        6      47,600
LEGG MASON INC           Common Stock    524901105   1,155      43,781   SH       DEFINED        5      43,781
LEGG MASON INC COM       Common Stock    524901105     16         600    SH       DEFINED        2        600
LENNAR CORP                 COMMON       526057104    618       20,000   SH       DEFINED        6      20,000
LEUCADIA NATL CORP
 COM                     Common Stock    527288104     26        1,200   SH       DEFINED        2       1,200
LEXINGTON REALTY
 TRUST                       REIT        529043101   7,472      882,196  SH       DEFINED        6      882,196
LEXINGTON REALTY
 TRUST COM                   REIT        529043101    457       53,993   SH       DEFINED        2      53,993
LG DISPLAY CO LTD             ADR        50186V102   24,335    2,575,178 SH       DEFINED        6     2,575,178
LIBERTY GLOBAL INC
 COM SER A               Common Stock    530555101     53        1,071   SH       DEFINED        2       1,071
LIBERTY GLOBAL INC
 COM SER C               Common Stock    530555309     52        1,089   SH       DEFINED        2       1,089
LIBERTY INTERACTIVE
CORPORAT INT COM
 SER A                   Tracking Stk    53071M104     98        5,500   SH       DEFINED        2       5,500
LIBERTY MEDIA
CORPORATION LIB CAP
 COM A                   Common Stock    530322106    160        1,815   SH       DEFINED        2       1,815
LIBERTY PPTY TR SH
 BEN INT                     REIT        531172104   1,612      43,744   SH       DEFINED        2      43,744<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
LIBERTY PROPERTY
 TRUST                       REIT        531172104   18,236     494,995  SH       DEFINED        6      494,995
LIFE TECHNOLOGIES
 CORP                       COMMON       53217V109   2,085      46,350   SH       DEFINED        6      46,350
LIFE TECHNOLOGIES
 CORP COM                Common Stock    53217V109     61        1,362   SH       DEFINED        2       1,362
LIFE TIME FITNESS INC       COMMON       53217R207   1,767      38,000   SH       DEFINED        6      38,000
LIGAND
 PHARMACEUTICALS INC        COMMON       53220K504   1,186      70,000   SH       DEFINED        6      70,000
LILLY ELI & CO COM       Common Stock    532457108    493       11,500   SH       DEFINED        2      11,500
LIMITED BRANDS INC
 COM                     Common Stock    532716107    166        3,900   SH       DEFINED        2       3,900
LINCOLN ELECTRIC
 HOLDINGS INC               COMMON       533900106   2,970      67,814   SH       DEFINED        6      67,814
LINCOLN NATL CORP
 IND COM                 Common Stock    534187109     68        3,118   SH       DEFINED        2       3,118
LINEAR TECHNOLOGY
 CORP COM                Common Stock    535678106     69        2,200   SH       DEFINED        2       2,200
LINEAR TECHNOLOGY
 CORP COM                Common Stock    535678106    153        4,890   SH       DEFINED        8                           4,890
LINKEDIN CORP               COMMON       53578A108   3,418      32,167   SH       DEFINED        6      32,167
LIQUIDITY SERVICES
 INC                        COMMON       53635B107   1,589      31,040   SH       DEFINED        6      31,040
LIVEPERSON INC              COMMON       538146101   2,282      119,740  SH       DEFINED        6      119,740
LKQ CORP                    COMMON       501889208   2,004      60,000   SH       DEFINED        6      60,000
LOCKHEED MARTIN
 CORP                    Common Stock    539830109    804        9,238   SH       DEFINED        5       9,238
LOCKHEED MARTIN
 CORP                       COMMON       539830109   29,598     339,895  SH       DEFINED        6      339,895
LOCKHEED MARTIN
 CORP COM                Common Stock    539830109    305        3,500   SH       DEFINED        2       3,500
LOEWS CORP                  COMMON       540424108   2,864      70,000   SH       DEFINED        6      70,000
LOEWS CORP COM           Common Stock    540424108    131        3,200   SH       DEFINED        2       3,200
LOGMEIN INC                 COMMON       54142L109   6,427      210,589  SH       DEFINED        6      210,589
LONE PINE
 RESOURCES INC              COMMON       54222A106   4,411     1,604,009 SH       DEFINED        6     1,591,926            12,083
LORILLARD INC               COMMON       544147101   3,777      28,625   SH       DEFINED        6      28,625
LORILLARD INC COM        Common Stock    544147101    224        1,700   SH       DEFINED        2       1,700
LOWE'S COS INC              COMMON       548661107  215,890    7,591,068 SH       DEFINED        6     7,481,069           109,999
LOWES COS INC COM        Common Stock    548661107    378       13,300   SH       DEFINED        2      13,300
LOWES COS INC COM        Common Stock    548661107   2,931      103,060  SH       DEFINED        8                         103,060
LSI CORPORATION
 COM                     Common Stock    502161102     30        4,700   SH       DEFINED        2       4,700
LTC PPTYS INC COM            REIT        502175102    386       10,650   SH       DEFINED        2      10,650
LTC PROPERTIES INC           REIT        502175102    102        2,800   SH       DEFINED        6       2,800
LTD BRANDS INC              COMMON       532716107   3,496      82,201   SH       DEFINED        6      82,201
LTX-CREDENCE CORP           COMMON       502403207   1,208      180,300  SH       DEFINED        6      180,300
LUFKIN INDUSTRIES
 INC                        COMMON       549764108   1,539      28,333   SH       DEFINED        6      28,333
LULULEMON
 ATHLETICA INC           Common Stock    550021109    635       10,657   SH       DEFINED        5      10,657
LULULEMON
 ATHLETICA INC              COMMON       550021109   4,268      71,574   SH       DEFINED        6      71,574
LULULEMON
 ATHLETICA INC COM       Common Stock    550021109     60        1,000   SH       DEFINED        2       1,000
LUMBER LIQUIDATORS
 HOLDINGS IN                COMMON       55003T107    777       22,990   SH       DEFINED        6      22,990
LUMOS NETWORKS
 CORP                       COMMON       550283105     0           0     SH       DEFINED        6         0
LYONDELLBASELL
 INDUSTRIES NV              COMMON       N53745100   1,450      36,000   SH       DEFINED        6      36,000
M & T BK CORP COM        Common Stock    55261F104    116        1,400   SH       DEFINED        2       1,400
MACERICH CO COM          Common Stock    554382101   3,035      51,403   SH       DEFINED        2      51,403
MACERICH CO/THE              REIT        554382101   29,794     504,563  SH       DEFINED        6      504,563
MACK CALI RLTY CORP
 COM                         REIT        554489104   1,004      34,549   SH       DEFINED        2      34,549
MACK-CALI REALTY
 CORP                        REIT        554489104    -977      -33,621  SH       DEFINED        6      -33,621
MACQUARIE GLBL
 INFRA TOTL RE COM      Closed-End Fund  55608D101   10,088     581,084  SH       DEFINED        3               581,084
MACQUARIE INFRASTR
 CO LLC MEMBERSHIP     Limited Liability
INT                    Company Interests 55608B105    637        19,124   SH       SOLE                  19,124
MACQUARIE INFRASTR
 CO LLC MEMBERSHIP        Membership
INT                        Interest      55608B105  155,531    4,672,014 SH       SOLE                 4,672,014
MACYS INC                Common Stock    55616P104    392       11,407   SH       DEFINED        5      11,407
MACY'S INC                  COMMON       55616P104   31,418     914,655  SH       DEFINED        6      914,655
MACYS INC COM            Common Stock    55616P104    192        5,598   SH       DEFINED        2       5,598
MAGELLAN
MIDSTREAM PARTNERS
 LP                         COMMON       559080106    214        3,025   SH       DEFINED        6       3,025
MAGELLAN
MIDSTREAM PRTNRS LP
 COM UNIT RP LP            Ltd Part      559080106   11,433     161,852  SH       DEFINED        4      161,852
MAGELLAN
MIDSTREAM PRTNRS LP
 COM UNIT RP LP            Ltd Part      559080106   18,154     256,987  SH       DEFINED        3      74,116     5,225   177,646
MAGELLAN
MIDSTREAM PRTNRS LP
 COM UNIT RP LP            Ltd Part      559080106     26         370    SH       DEFINED        2        370
MAGNA INTL INC           Common Stock    559222401    852       21,589   SH       DEFINED        5      21,589
MAIDENFORM BRANDS
 INC                        COMMON       560305104   1,195      60,000   SH       DEFINED        6      60,000
MANNING & NAPIER INC        COMMON       56382Q102    109        7,694   SH       DEFINED        6       7,694
MANPOWER INC                COMMON       56418H100   12,668     345,649  SH       DEFINED        6      345,649
MANULIFE FINL CORP
 COM                         STOCK       56501R106   3,536      324,700  SH       DEFINED        1      324,700
MANULIFE FNCL CORP       Common Stock    56501R106   1,453      133,413  SH       DEFINED        5      133,413
MARATHON OIL CORP           COMMON       565849106  200,639    7,846,671 SH       DEFINED        6     7,745,725           100,946
MARATHON OIL CORP
 COM                     Common Stock    565849106    220        8,619   SH       DEFINED        2       8,619
MARATHON OIL CORP
 COM                     Common Stock    565849106   2,902      113,490  SH       DEFINED        8                         113,490<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
MARATHON
 PETROLEUM CORP             COMMON       56585A102   5,424      120,758  SH       DEFINED        6      120,758
MARKET VECTORS ETF
 TR GOLD MINER ETF          OPTION       57060U100   45,218    1,010,000     PUT  DEFINED        1                       1,010,000
MARRIOTT
 INTERNATIONAL INC/DE       COMMON       571903202   1,536      39,180   SH       DEFINED        6      39,180
MARRIOTT INTL INC
 NEW CL A                Common Stock    571903202    110        2,806   SH       DEFINED        2       2,806
MARRIOTT VACATIONS
 WRLDWDE C COM           Common Stock    57164Y107     9          280    SH       DEFINED        2        280
MARSH & MCLENNAN
 COS INC                    COMMON       571748102  200,757    6,228,889 SH       DEFINED        6     6,134,457            94,432
MARSH & MCLENNAN
 COS INC COM             Common Stock    571748102    145        4,500   SH       DEFINED        2       4,500
MARSH & MCLENNAN
 COS INC COM             Common Stock    571748102   2,852      88,500   SH       DEFINED        8                          88,500
MARVELL
TECHNOLOGY GROUP
 LTD                        COMMON       G5876H105   4,382      388,500  SH       DEFINED        6      388,500
MARVELL
TECHNOLOGY GROUP
 LTD ORD                 Common Stock    976657106   6,133      155,000  SH       DEFINED        3                         155,000
MARVELL
TECHNOLOGY GROUP
LTD ORD                  Common Stock    976657106   1,796      51,200   SH       DEFINED        2      51,200
MASCO CORP                  COMMON       574599106     4          281    SH       DEFINED        6        281
MASTERCARD INC           Common Stock    57636Q104    719        1,671   SH       DEFINED        5       1,671
MASTERCARD INC              COMMON       57636Q104  673,083    1,564,909 SH       DEFINED        6     1,564,011               897
MASTERCARD INC CL A      Common Stock    57636Q104    516        1,200   SH       DEFINED        2       1,200
MASTERCARD INC CL A      Common Stock    57636Q104   2,201       5,118   SH       DEFINED        8                           5,118
MATTEL INC                  COMMON       577081102    678       20,895   SH       DEFINED        6      20,895
MATTEL INC COM           Common Stock    577081102     81        2,500   SH       DEFINED        2       2,500
MATTRESS FIRM
 HOLDING CORP               COMMON       57722W106    646       21,320   SH       DEFINED        6      21,320
MAXIM INTEGRATED
 PRODS INC COM           Common Stock    57772K101     79        3,100   SH       DEFINED        2       3,100
MAXIM INTEGRATED
 PRODUCTS INC               COMMON       57772K101   5,344      208,440  SH       DEFINED        6      208,440
MB FINANCIAL INC            COMMON       55264U108   1,551      72,000   SH       DEFINED        6      72,000
MCCORMICK & CO INC
 COM NON VTG             Common Stock    579780206     73        1,200   SH       DEFINED        2       1,200
MCDONALD'S CORP             COMMON       580135101   29,137     329,120  SH       DEFINED        6      329,120
MCDONALDS CORP
 COM                     Common Stock    580135101    903       10,200   SH       DEFINED        2      10,200
MCDONALDS CORP
 COM                     Common Stock    580135101   1,523      17,200   SH       DEFINED        8                          17,200
MCDONALDS CORP
 LTD                     Common Stock    580135101   2,462      27,807   SH       DEFINED        5      27,807
MCGRATH RENTCORP            COMMON       580589109   3,057      115,359  SH       DEFINED        6      115,359
MCGRAW HILL COS INC
 COM                     Common Stock    580645109    180        4,000   SH       DEFINED        2       4,000
MCKESSON CORP               COMMON       58155Q103   11,138     118,800  SH       DEFINED        6      118,800
MCKESSON CORP COM        Common Stock    58155Q103    197        2,100   SH       DEFINED        2       2,100
MDU RES GROUP INC
 COM                     Common Stock    552690109    696       32,200   SH       DEFINED        3                          32,200
MDU RES GROUP INC
 COM                     Common Stock    552690109    726       33,600   SH       DEFINED        2      33,600
MDU RESOURCES
 GROUP INC                  COMMON       552690109   7,916      366,333  SH       DEFINED        6      366,333
MEAD JOHNSON
 NUTRITION CO               COMMON       582839106   5,820      72,291   SH       DEFINED        6      72,291
MEAD JOHNSON
 NUTRITION CO COM        Common Stock    582839106    209        2,600   SH       DEFINED        2       2,600
MEADWESTVACO
 CORP                       COMMON       583334107    537       18,688   SH       DEFINED        6      18,688
MEDICAL PPTYS TRUST
 INC COM                 Common Stock    58463J304    476       49,471   SH       DEFINED        2      49,471
MEDICINES CO/THE            COMMON       584688105   1,168      50,930   SH       DEFINED        6      50,930
MEDICIS
PHARMACEUTICAL
 CORP                       COMMON       584690309   1,246      36,499   SH       DEFINED        6      36,499
MEDNAX INC                  COMMON       58502B106   1,028      15,000   SH       DEFINED        6      15,000
MEDTRONIC INC               COMMON       585055106   6,277      162,080  SH       DEFINED        6      162,080
MEDTRONIC INC COM        Common Stock    585055106    364        9,400   SH       DEFINED        2       9,400
MEDTRONIC INC NOTE
 1.625% 4/1                  Stock       585055AM8   1,635     1,625,000 PRN      DEFINED        8
MELCO CROWN
 ENTERTAINMENT LTD            ADR        585464100    487       42,300   SH       DEFINED        6      42,300
MEMC ELECTRONIC
 MATERIALS INC              COMMON       552715104   8,573     3,950,800 SH       DEFINED        6     3,950,800
MEN'S WEARHOUSE
 INC/THE                    COMMON       587118100   16,956     602,568  SH       DEFINED        6      596,819              5,749
MERCADOLIBRE INC            COMMON       58733R102    182        2,398   SH       DEFINED        6       2,398
MERCK & CO INC              COMMON       58933Y105  250,713    6,005,110 SH       DEFINED        6     5,926,461            78,649
MERCK & CO INC NEW       Common Stock    58933Y105    536       12,844   SH       DEFINED        5      12,844
MERCK & CO INC NEW
 COM                     Common Stock    58933Y105   1,328      31,804   SH       DEFINED        2      31,804
MEREDITH CORP               COMMON       589433101   17,404     544,906  SH       DEFINED        6      539,817              5,089
MERIT MEDICAL
 SYSTEMS INC                COMMON       589889104   1,970      142,625  SH       DEFINED        6      142,625
MERITAGE HOMES
 CORP                       COMMON       59001A102   12,665     373,170  SH       DEFINED        6      369,766              3,404
METHANEX CORP               COMMON       59151K108   1,498      53,810   SH       DEFINED        6      53,810
METHODE
 ELECTRONICS INC            COMMON       591520200   2,057      241,752  SH       DEFINED        6      241,752
METLIFE INC                 COMMON       59156R108   6,662      215,940  SH       DEFINED        6      215,940
METLIFE INC COM          Common Stock    59156R108    302        9,800   SH       DEFINED        2       9,800
METROPCS
COMMUNICATIONS INC
 COM                     Common Stock    591708102     27        4,500   SH       DEFINED        2       4,500
METTLER-TOLEDO
 INTERNATIONAL I            COMMON       592688105   3,974      25,500   SH       DEFINED        6      25,500
MGM RESORTS
 INTERNATIONAL              COMMON       552953101    421       37,700   SH       DEFINED        6      37,700
MICREL INC                  COMMON       594793101   2,307      242,111  SH       DEFINED        6      242,111
MICROCHIP
 TECHNOLOGY INC COM      Common Stock    595017104     30         900    SH       DEFINED        2        900<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
MICROCHIP
TECHNOLOGY INC COM       Common Stock    595017104   1,167      35,270   SH       DEFINED        8                          35,270
MICRON TECHNOLOGY
 INC COM                 Common Stock    595112103     35        5,600   SH       DEFINED        2       5,600
MICROS SYSTEMS INC          COMMON       594901100   1,434      28,000   SH       DEFINED        6      28,000
MICROSEMI CORP              COMMON       595137100   1,109      60,000   SH       DEFINED        6      60,000
MICROSOFT CORP          Common Stock    594918104   2,055      67,186   SH       DEFINED        5      67,186
MICROSOFT CORP              COMMON       594918104   67,837    2,217,625 SH       DEFINED        6     2,217,625
MICROSOFT CORP
 COM                     Common Stock    594918104   2,254      73,700   SH       DEFINED        2      73,700
MICROSOFT CORP
 COM                         STOCK       594918104    312       10,212   SH       DEFINED        1      10,212
MICROSTRATEGY INC           COMMON       594972408   1,553      11,960   SH       DEFINED        6      11,960
MID-AMER APT
 CMNTYS INC COM              REIT        59522J103   1,087      15,930   SH       DEFINED        2      15,930
MIDDLEBY CORP               COMMON       596278101   1,178      11,830   SH       DEFINED        6      11,830
MINERALS
 TECHNOLOGIES INC           COMMON       603158106   2,353      36,900   SH       DEFINED        6      36,900
MISSION WEST
 PROPERTIES INC              REIT        605203108    330       38,254   SH       DEFINED        6      38,254
MITSUBISHI UFJ
 FINANCIAL GROUP              ADR        606822104    597       125,725  SH       DEFINED        6      76,523              49,202
MOBILE TELESYSTEMS
 OJSC                         ADR        607409109   56,429    3,280,766 SH       DEFINED        6     3,267,468            13,298
MOBILE TELESYSTEMS
 OJSC SPONSORED ADR           ADR        607409109     77        4,500   SH       DEFINED        2       4,500
MOBILE TELESYSTEMS
 OJSC SPONSORED ADR           ADR        607409109    395       22,970   SH       DEFINED        8                          22,970
MOLSON COORS
 BREWING CO                 COMMON       60871R209   1,040      25,000   SH       DEFINED        6      25,000
MOLSON COORS
 BREWING CO CL B         Common Stock    60871R209     92        2,200   SH       DEFINED        2       2,200
MOLSON COORS
BREWING CO NOTE
 2.500% 7/3                  Stock       60871RAA8    474       465,000  PRN      DEFINED        8
MONSANTO CO                 COMMON       61166W101   6,916      83,549   SH       DEFINED        6      83,549
MONSANTO CO NEW
 COM                     Common Stock    61166W101    389        4,700   SH       DEFINED        2       4,700
MONSANTO CO NEW
 COM                         STOCK       61166W101     32         392    SH       DEFINED        1        392
MONSANTO CO NEW
 COM                     Common Stock    61166W101   1,137      13,740   SH       DEFINED        8                          13,740
MONSTER BEVERAGE
 CORP                       COMMON       611740101    961       13,500   SH       DEFINED        6      13,500
MONSTER BEVERAGE
 CORP COM                Common Stock    611740101    100        1,400   SH       DEFINED        2       1,400
MOODY'S CORP                COMMON       615369105   1,569      42,920   SH       DEFINED        6      42,920
MOODYS CORP COM          Common Stock    615369105     37        1,000   SH       DEFINED        2       1,000
MOOG INC                    COMMON       615394202   3,502      84,700   SH       DEFINED        6      84,700
MORGAN STANLEY
 COM NEW                 Common Stock    617446448    172       11,800   SH       DEFINED        2      11,800
MORGAN STANLEY
 COM NEW                     STOCK       617446448     15        1,000   SH       DEFINED        1       1,000
MOSAIC CO NEW COM        Common Stock    61945C103    164        3,000   SH       DEFINED        2       3,000
MOTOROLA
 SOLUTIONS                  COMMON       620076307  202,037    4,199,485 SH       DEFINED        6     4,136,283            63,202
MOTOROLA
SOLUTIONS INC COM
 NEW                     Common Stock    620076307    112        2,328   SH       DEFINED        2       2,328
MSCI INC                    COMMON       55354G100  126,663    3,723,190 SH       DEFINED        6     3,680,006            43,184
MURPHY OIL CORP
 COM                     Common Stock    626717102     80        1,600   SH       DEFINED        2       1,600
MYLAN INC COM            Common Stock    628530107    118        5,500   SH       DEFINED        2       5,500
MYLAN INC/PA                COMMON       628530107    707       33,088   SH       DEFINED        6      33,088
MYR GROUP
 INC/DELAWARE               COMMON       55405W104   1,531      89,745   SH       DEFINED        6      89,745
MYRIAD GENETICS INC         COMMON       62855J104    380       16,000   SH       DEFINED        6      16,000
NABORS INDUSTRIES
 LTD SHS                 Common Stock    G6359F103     58        4,000   SH       DEFINED        2       4,000
NACCO INDS INC CL A      Common Stock    629579103    856        7,365   SH       DEFINED        5       7,365
NASDAQ OMX GROUP
 INC COM                 Common Stock    631103108     41        1,800   SH       DEFINED        2       1,800
NATIONAL CINEMEDIA
 INC                        COMMON       635309107   1,484      97,808   SH       DEFINED        6      97,808
NATIONAL FUEL GAS
 CO N J COM              Common Stock    636180101    578       12,300   SH       DEFINED        3                          12,300
NATIONAL FUEL GAS
 CO N J COM              Common Stock    636180101    578       12,300   SH       DEFINED        2      12,300
NATIONAL FUEL GAS
 CO N J COM                  STOCK       636180101     24         502    SH       DEFINED        1        502
NATIONAL GRID PLC             ADR        636274300   27,415     517,361  SH       DEFINED        6      445,264             72,096
NATIONAL HEALTH
 INVS INC COM                REIT        63633D104    496        9,740   SH       DEFINED        2       9,740
NATIONAL OILWELL
 VARCO INC                  COMMON       637071101   14,221     220,680  SH       DEFINED        6      220,680
NATIONAL OILWELL
 VARCO INC COM           Common Stock    637071101    243        3,764   SH       DEFINED        2       3,764
NATIONAL OILWELL
 VARCO INC COM           Common Stock    637071101    379        5,875   SH       DEFINED        8                           5,875
NATIONAL RETAIL
 PPTYS INC COM               REIT        637417106   1,167      41,249   SH       DEFINED        2      41,249
NATIONAL RETAIL
PPTYS INC NOTE
 5.125% 6/1                  Stock       637417AC0    428       380,000  PRN      DEFINED        8
NATIONAL RETAIL
 PROPERTIES INC              REIT        637417106   17,398     614,997  SH       DEFINED        6      614,997
NBT BANCORP INC             COMMON       628778102   27,185    1,259,167 SH       DEFINED        6     1,246,430            12,737
NETAPP INC                  COMMON       64110D104   1,152      36,200   SH       DEFINED        6      36,200
NETAPP INC COM           Common Stock    64110D104    115        3,600   SH       DEFINED        2       3,600
NETFLIX INC COM          Common Stock    64110L106     36         520    SH       DEFINED        2        520
NETFLIX INC COM              STOCK       64110L106    331        4,830   SH       DEFINED        1       4,830
NETGEAR INC                 COMMON       64111Q104   2,028      58,764   SH       DEFINED        6      58,764
NETSCOUT SYSTEMS
 INC                        COMMON       64115T104   15,069     697,952  SH       DEFINED        6      691,502              6,450
NETSPEND HOLDINGS
 INC                        COMMON       64118V106    476       51,830   SH       DEFINED        6      51,830<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
NEUSTAR INC                 COMMON       64126X201   85,807    2,569,072 SH       DEFINED        6     2,534,637            34,435
NEW YORK CMNTY
 BANCORP INC COM         Common Stock    649445103     55        4,400   SH       DEFINED        2       4,400
NEWELL RUBBERMAID
 INC                        COMMON       651229106   5,792      319,291  SH       DEFINED        6      319,291
NEWELL RUBBERMAID
 INC COM                 Common Stock    651229106     51        2,800   SH       DEFINED        2       2,800
NEWFIELD EXPL CO
 COM                     Common Stock    651290108     38        1,300   SH       DEFINED        2       1,300
NEWFIELD
 EXPLORATION CO             COMMON       651290108   26,985     920,679  SH       DEFINED        6      920,679
NEWMONT MINING
 CORP                       COMMON       651639106   11,234     231,572  SH       DEFINED        6      231,572
NEWMONT MINING
 CORP COM                Common Stock    651639106    243        5,000   SH       DEFINED        2       5,000
NEWMONT MINING
 CORP COM                    STOCK       651639106   4,796      98,874   SH       DEFINED        1      98,874
NEWMONT MINING
 CORP NOTE 1.250% 7/1        Stock       651639AH9   1,412     1,130,000 PRN      DEFINED        8
NEWPARK RESOURCES
 INC                        COMMON       651718504   1,908      323,350  SH       DEFINED        6      323,350
NEWS CORP                   COMMON       65248E104   7,348      329,650  SH       DEFINED        6      329,650
NEWS CORP                   COMMON       65248E203     5          200    SH       DEFINED        6        200
NEWS CORP CL A           Common Stock    65248E104    412       18,500   SH       DEFINED        2      18,500
NEWS CORP CL A               STOCK       65248E104   3,682      165,200  SH       DEFINED        1      165,200
NEWS CORP CL B           Common Stock    65248E203     95        4,200   SH       DEFINED        2       4,200
NEWTEK BUSINESS
 SERVICES                   COMMON       652526104     6         4,500   SH       DEFINED        6       4,500
NEXEN INC                Common Stock    65334H102    209       12,351   SH       DEFINED        5      12,351
NEXTERA ENERGY INC          COMMON       65339F101    559        8,130   SH       DEFINED        6       8,130
NEXTERA ENERGY INC
 COM                     Common Stock    65339F101   4,430      64,380   SH       DEFINED        4      64,380
NEXTERA ENERGY INC
 COM                     Common Stock    65339F101   28,191     409,700  SH       DEFINED        3      84,800    40,800   284,100
NEXTERA ENERGY INC
 COM                     Common Stock    65339F101   9,939      144,439  SH       DEFINED        2      144,439
NEXTERA ENERGY INC
 COM                         STOCK       65339F101    181        2,633   SH       DEFINED        1       2,633
NII HLDGS INC CL B
 NEW                     Common Stock    62913F201     26        2,500   SH       DEFINED        2       2,500
NII HOLDINGS INC            COMMON       62913F201    108       10,600   SH       DEFINED        6      10,600
NIKE INC                    COMMON       654106103  318,998    3,634,064 SH       DEFINED        6     3,631,953             2,111
NIKE INC CL B            Common Stock    654106103    325        3,700   SH       DEFINED        2       3,700
NISOURCE INC COM         Common Stock    65473P105   1,111      44,900   SH       DEFINED        3                          44,900
NISOURCE INC COM         Common Stock    65473P105   1,215      49,100   SH       DEFINED        2      49,100
NISOURCE INC COM             STOCK       65473P105     43        1,730   SH       DEFINED        1       1,730
NOBLE CORP                  COMMON       H5833N103   21,981     675,714  SH       DEFINED        6      675,714
NOBLE ENERGY INC
 COM                     Common Stock    655044105    127        1,500   SH       DEFINED        2       1,500
NORDSON CORP                COMMON       655663102   3,898      76,000   SH       DEFINED        6      76,000
NORDSTROM INC               COMMON       655664100   21,932     441,386  SH       DEFINED        6      441,386
NORDSTROM INC COM        Common Stock    655664100    114        2,304   SH       DEFINED        2       2,304
NORDSTROM INC COM        Common Stock    655664100    897       18,060   SH       DEFINED        8                          18,060
NORFOLK SOUTHERN
 CORP COM                Common Stock    655844108    194        2,700   SH       DEFINED        2       2,700
NORFOLK SOUTHERN
 CORP COM                Common Stock    655844108    928       12,930   SH       DEFINED        8                          12,930
NORFOLK STHN CORP        Common Stock    655844108    671        9,348   SH       DEFINED        5       9,348
NORTHEAST UTILS
 COM                     Common Stock    664397106   1,840      47,400   SH       DEFINED        3                          47,400
NORTHEAST UTILS
 COM                     Common Stock    664397106   1,932      49,780   SH       DEFINED        2      49,780
NORTHEAST UTILS
 COM                         STOCK       664397106     76        1,952   SH       DEFINED        1       1,952
NORTHERN TR CORP
 COM                     Common Stock    665859104     83        1,800   SH       DEFINED        2       1,800
NORTHERN TRUST
 CORP                       COMMON       665859104   3,935      85,500   SH       DEFINED        6      85,500
NORTHROP GRUMMAN
 CORP                       COMMON       666807102  216,990    3,401,638 SH       DEFINED        6     3,352,621            49,017
NORTHROP GRUMMAN
 CORP COM                Common Stock    666807102    211        3,300   SH       DEFINED        2       3,300
NORTHROP GRUMMAN
 CORP COM                Common Stock    666807102   2,982      46,750   SH       DEFINED        8                          46,750
NORTHWESTERN
 CORP                       COMMON       668074305   19,589     533,759  SH       DEFINED        6      528,867              4,892
NOVARTIS AG                   ADR        66987V109  122,692    2,194,846 SH       DEFINED        6     1,895,993           298,852
NOVO NORDISK A/S              ADR        670100205  444,460    3,058,073 SH       DEFINED        6     3,056,431             1,641
NPS
 PHARMACEUTICALS INC        COMMON       62936P103   2,269      263,560  SH       DEFINED        6      263,560
NRG ENERGY INC COM
 NEW                         STOCK       629377508     24        1,388   SH       DEFINED        1       1,388
NTELOS HOLDINGS             COMMON       67020Q305   1,050      55,701   SH       DEFINED        6      55,701
NUANCE
 COMMUNICATIONS INC         COMMON       67020Y100   8,203      344,372  SH       DEFINED        6      344,372
NUANCE
COMMUNICATIONS INC
 COM                     Common Stock    67020Y100     55        2,300   SH       DEFINED        2       2,300
NUCOR CORP COM           Common Stock    670346105    152        4,000   SH       DEFINED        2       4,000
NUVASIVE INC                COMMON       670704105   1,141      45,000   SH       DEFINED        6      45,000
NV ENERGY INC COM            STOCK       67073Y106     26        1,473   SH       DEFINED        1       1,473
NVIDIA CORP COM          Common Stock    67066G104     50        3,600   SH       DEFINED        2       3,600
NVIDIA CORP COM              STOCK       67066G104     2          138    SH       DEFINED        1        138
NVR                         COMMON       62944T105    680         800    SH       DEFINED        6        800
NYSE EURONEXT               COMMON       629491101   3,126      122,200  SH       DEFINED        6      122,200
NYSE EURONEXT COM        Common Stock    629491101     87        3,393   SH       DEFINED        2       3,393<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
O REILLY AUTOMOTIVE
 INC NEW COM             Common Stock    67103H107    134        1,600   SH       DEFINED        2       1,600
OCCIDENTAL PETE
 CORP DEL COM            Common Stock    674599105    703        8,200   SH       DEFINED        2       8,200
OCCIDENTAL
 PETROLEUM CORP             COMMON       674599105   19,836     231,265  SH       DEFINED        6      231,265
OGE ENERGY CORP             COMMON       670837103   14,359     277,246  SH       DEFINED        6      277,246
OGE ENERGY CORP
 COM                     Common Stock    670837103    772       14,900   SH       DEFINED        3                          14,900
OGE ENERGY CORP
 COM                     Common Stock    670837103    772       14,900   SH       DEFINED        2      14,900
OGE ENERGY CORP
 COM                         STOCK       670837103     31         606    SH       DEFINED        1        606
OLD DOMINION
 FREIGHT LINE INC           COMMON       679580100   2,098      48,454   SH       DEFINED        6      48,454
OMEGA HEALTHCARE
 INVESTORS INC               REIT        681936100    907       40,300   SH       DEFINED        6      40,300
OMEGA HEALTHCARE
 INVS INC COM                REIT        681936100    919       40,823   SH       DEFINED        2      40,823
OMNICOM GROUP INC           COMMON       681919106   4,767      98,096   SH       DEFINED        6      98,096
OMNICOM GROUP INC
 COM                     Common Stock    681919106    117        2,400   SH       DEFINED        2       2,400
ON SEMICONDUCTOR
 CORP                       COMMON       682189105   20,277    2,855,963 SH       DEFINED        6     2,828,201            27,762
ONCOLYTICS BIOTECH
 INC                     Common Stock    682310107     64       19,156   SH       DEFINED        5      19,156
ONEOK INC NEW COM        Common Stock    682680103   1,413      33,400   SH       DEFINED        3                          33,400
ONEOK INC NEW COM        Common Stock    682680103   1,481      35,000   SH       DEFINED        2      35,000
ONEOK INC NEW COM            STOCK       682680103     55        1,310   SH       DEFINED        1       1,310
ONYX
 PHARMACEUTICALS INC        COMMON       683399109   4,146      62,392   SH       DEFINED        6      62,392
OPENTABLE INC               COMMON       68372A104   3,630      80,643   SH       DEFINED        6      80,643
OPTIMER
 PHARMACEUTICALS INC        COMMON       68401H104    990       63,790   SH       DEFINED        6      63,790
ORACLE CORP              Common Stock    68389X105    352       11,843   SH       DEFINED        5      11,843
ORACLE CORP                 COMMON       68389X105   7,648      257,510  SH       DEFINED        6      257,510
ORACLE CORP COM          Common Stock    68389X105   1,159      39,031   SH       DEFINED        2      39,031
ORACLE CORP COM              STOCK       68389X105    140        4,722   SH       DEFINED        1       4,722
O'REILLY AUTOMOTIVE
 INC                        COMMON       67103H107   2,978      35,554   SH       DEFINED        6      35,554
ORTHOFIX
 INTERNATIONAL NV           COMMON       N6748L102    598       14,500   SH       DEFINED        6      14,500
OSHKOSH CORP                COMMON       688239201    566       27,000   SH       DEFINED        6      27,000
OWENS & MINOR INC           COMMON       690732102   16,702     545,290  SH       DEFINED        6      539,655              5,635
OWENS CORNING               COMMON       690742101    410       14,350   SH       DEFINED        6      14,350
OWENS ILL INC COM
 NEW                     Common Stock    690768403     44        2,300   SH       DEFINED        2       2,300
OWENS-ILLINOIS INC          COMMON       690768403   6,094      317,878  SH       DEFINED        6      317,878
PACCAR INC COM           Common Stock    693718108     98        2,500   SH       DEFINED        2       2,500
PACKAGING CORP OF
 AMERICA                    COMMON       695156109   2,062      73,000   SH       DEFINED        6      73,000
PALL CORP COM            Common Stock    696429307     66        1,200   SH       DEFINED        2       1,200
PAMPA ENERGIA SA              ADR        697660207    580       139,800  SH       DEFINED        6      139,800
PARAMETRIC
 TECHNOLOGY CORP            COMMON       699173209   27,071    1,291,551 SH       DEFINED        6     1,279,448            12,103
PAREXEL
 INTERNATIONAL CORP         COMMON       699462107   2,391      84,700   SH       DEFINED        6      84,700
PARK NATIONAL CORP          COMMON       700658107   2,112      30,286   SH       DEFINED        6      30,286
PARKER HANNIFIN
 CORP                       COMMON       701094104   5,939      77,250   SH       DEFINED        6      77,250
PARKER HANNIFIN
 CORP COM                Common Stock    701094104    123        1,600   SH       DEFINED        2       1,600
PARKWAY PPTYS INC
 COM                         REIT        70159Q104    112        9,750   SH       DEFINED        2       9,750
PARTNERRE LTD COM        Common Stock    65339F101   11,512     167,300  SH       DEFINED        4      167,300
PARTNERRE LTD COM        Common Stock    G6852T105     76        1,000   SH       DEFINED        2       1,000
PATRIOT COAL CORP
 COM                         STOCK       70336T104     4         3,451   SH       DEFINED        1       3,451
PATTERSON COS INC           COMMON       703395103   1,758      51,000   SH       DEFINED        6      51,000
PATTERSON-UTI
 ENERGY INC                 COMMON       703481101   16,992    1,167,057 SH       DEFINED        6     1,155,625            11,432
PAYCHEX INC COM          Common Stock    704326107     50        1,600   SH       DEFINED        2       1,600
PDC ENERGY INC              COMMON       69327R101    466       19,000   SH       DEFINED        6      19,000
PEABODY ENERGY
 CORP COM                Common Stock    704549104     74        3,000   SH       DEFINED        2       3,000
PEABODY ENERGY
 CORP COM                    STOCK       704549104     47        1,900   SH       DEFINED        1       1,900
PEABODY ENERGY
 CORP COM                   OPTION       704549104    178        7,240       CALL DEFINED        1                           7,240
PEBBLEBROOK HOTEL
 TR COM                  Common Stock    70509V100    368       15,800   SH       DEFINED        2      15,800
PEBBLEBROOK HOTEL
 TRUST                       REIT        70509V100   1,555      66,730   SH       DEFINED        6      66,730
PEET'S COFFEE & TEA
 INC                        COMMON       705560100  104,170    1,735,008 SH       DEFINED        6     1,709,328            25,680
PEGASYSTEMS INC             COMMON       705573103   1,466      44,444   SH       DEFINED        6      44,444
PEMBINA PIPELINE
 CORP COM ADDED              STOCK       706327103     27        1,065   SH       DEFINED        1       1,065
PENGROWTH ENERGY
 CORP COM                    STOCK       70706P104     29        4,600   SH       DEFINED        1       4,600
PENGROWTH ENERGY
 CORP NEW                Common Stock    70706P104   1,074      168,548  SH       DEFINED        5      168,548
PENN WEST
 PETROLEUM LTD NEW       Common Stock    707887105    768       57,323   SH       DEFINED        5      57,323
PENNEY J C INC COM       Common Stock    708160106     28        1,200   SH       DEFINED        2       1,200
PENNSYLVANIA REAL
 ESTATE INVES                REIT        709102107    -148      -9,900   SH       DEFINED        6      -9,900
PENNSYLVANIA RL
ESTATE INVT SH BEN
 INT                         REIT        709102107    266       17,740   SH       DEFINED        2      17,740
PENTAIR INC                 COMMON       709631105    689       18,000   SH       DEFINED        6      18,000<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
PEOPLES UNITED
 FINANCIAL INC COM       Common Stock    712704105     65        5,600   SH       DEFINED        2       5,600
PEPCO HOLDINGS INC
 COM                     Common Stock    713291102     31        1,600   SH       DEFINED        2       1,600
PEPCO HOLDINGS INC
 COM                         STOCK       713291102     28        1,412   SH       DEFINED        1       1,412
PEPSICO INC              Common Stock    713448108   1,868      26,435   SH       DEFINED        5      26,435
PEPSICO INC                 COMMON       713448108   47,143     667,176  SH       DEFINED        6      667,176
PEPSICO INC COM          Common Stock    713448108   1,060      15,000   SH       DEFINED        2      15,000
PERFECT WORLD CO
 LTD                          ADR        71372U104   1,887      188,300  SH       DEFINED        6      188,300
PERRIGO CO                  COMMON       714290103  420,843    3,568,586 SH       DEFINED        6     3,555,214            13,372
PERRIGO CO COM           Common Stock    714290103     83         700    SH       DEFINED        2        700
PERRY ELLIS
 INTERNATIONAL INC          COMMON       288853104   1,977      95,294   SH       DEFINED        6      95,294
PETROCHINA CO LTD             ADR        71646E100   48,973     379,225  SH       DEFINED        6      379,225
PETROLEO
 BRASILEIRO SA                ADR        71654V101   23,893    1,317,145 SH       DEFINED        6     1,308,688             8,457
PETROLEO
 BRASILEIRO SA                ADR        71654V408  161,003    8,577,677 SH       DEFINED        6     8,577,677
PETROLEO
BRASILEIRO SA PETRO
 SP ADR NON VTG               ADR        71654V101    539       29,701   SH       DEFINED        8                          29,701
PETROLEO
BRASILEIRO SA PETRO
 SPONSORED ADR                ADR        71654V408    350       18,655   SH       DEFINED        8                          18,655
PETSMART INC                COMMON       716768106   26,324     386,096  SH       DEFINED        6      383,408              2,688
PETSMART INC COM         Common Stock    716768106    109        1,600   SH       DEFINED        2       1,600
PFIZER INC               Common Stock    717081103   1,104      48,011   SH       DEFINED        5      48,011
PFIZER INC                  COMMON       717081103  262,917   11,431,170 SH       DEFINED        6    11,294,626           136,544
PFIZER INC COM           Common Stock    717081103   1,760      76,542   SH       DEFINED        2      76,542
PFIZER INC COM               STOCK       717081103     49        2,137   SH       DEFINED        1       2,137
PFIZER INC COM           Common Stock    717081103   2,895      125,850  SH       DEFINED        8                         125,850
PG^E CORP                   COMMON       69331C108   3,587      79,230   SH       DEFINED        6      79,230
PG^E CORP COM            Common Stock    69331C108   19,686     434,860  SH       DEFINED        4      434,860
PG^E CORP COM            Common Stock    69331C108   30,526     674,300  SH       DEFINED        3      152,000   84,400   437,900
PG^E CORP COM            Common Stock    69331C108   3,649      80,600   SH       DEFINED        7                          80,600
PG^E CORP COM            Common Stock    69331C108   10,490     231,730  SH       DEFINED        2      231,730
PG^E CORP COM                STOCK       69331C108    113        2,498   SH       DEFINED        1       2,498
PH GLATFELTER CO            COMMON       377316104   14,097     861,161  SH       DEFINED        6      853,046              8,115
PHILIP MORRIS
 INTERNATIONAL           Common Stock    718172109   1,313      15,043   SH       DEFINED        5      15,043
PHILIP MORRIS
 INTERNATIONAL IN           COMMON       718172109   31,954     366,190  SH       DEFINED        6      366,190
PHILIP MORRIS INTL
 INC COM                 Common Stock    718172109   1,545      17,700   SH       DEFINED        2      17,700
PHILIPPINE LONG
 DISTANCE - ADR               ADR        718252604   9,559      150,300  SH       DEFINED        6      150,300
PHILLIPS 66                 COMMON       718546104    497       14,943   SH       DEFINED        6      14,940                   3
PHILLIPS 66 COM
 ADDED                   Common Stock    718546104    224        6,750   SH       DEFINED        2       6,750
PIER 1 IMPORTS INC          COMMON       720279108   1,692      103,000  SH       DEFINED        6      103,000
PINNACLE
 ENTERTAINMENT INC          COMMON       723456109   1,299      135,000  SH       DEFINED        6      135,000
PINNACLE WEST CAP
 CORP COM                Common Stock    723484101   1,128      21,800   SH       DEFINED        3                          21,800
PINNACLE WEST CAP
 CORP COM                Common Stock    723484101   1,180      22,800   SH       DEFINED        2      22,800
PINNACLE WEST CAP
 CORP COM                    STOCK       723484101     35         677    SH       DEFINED        1        677
PIONEER DRILLING CO         COMMON       723655106   1,632      204,805  SH       DEFINED        6      204,805
PIONEER NAT RES CO
 COM                     Common Stock    723787107     97        1,100   SH       DEFINED        2       1,100
PIONEER NAT RES CO
 COM                     Common Stock    723787107   1,865      21,140   SH       DEFINED        8                          21,140
PIONEER NATURAL
 RESOURCES CO               COMMON       723787107   2,457      27,850   SH       DEFINED        6      27,850
PIPER JAFFRAY COS           COMMON       724078100   1,323      56,453   SH       DEFINED        6      56,453
PITNEY BOWES INC
 COM                     Common Stock    724479100     27        1,800   SH       DEFINED        2       1,800
PLAINS EXPLORATION
 & PRODUCTIO                COMMON       726505100   2,188      62,200   SH       DEFINED        6      62,200
PLANTRONICS INC             COMMON       727493108   1,918      57,418   SH       DEFINED        6      57,418
PLATINUM GRP MTLS
 LTD NEW                 Common Stock    72765Q205     16       18,000   SH       DEFINED        5      18,000
PLATINUM
UNDERWRITERS
 HOLDINGS                   COMMON       G7127P100   36,954     969,928  SH       DEFINED        6      960,775              9,153
PLEXUS CORP                 COMMON       729132100   4,055      143,800  SH       DEFINED        6      143,800
PLUM CREEK TIMBER
 CO INC                      REIT        729251108    290        7,305   SH       DEFINED        6       7,305
PLUM CREEK TIMBER
 CO INC COM                  REIT        729251108     71        1,800   SH       DEFINED        2       1,800
PNC FINANCIAL
 SERVICES GROUP I           COMMON       693475105   2,876      47,070   SH       DEFINED        6      47,070
PNC FINL SVCS GROUP
 INC COM                 Common Stock    693475105    333        5,443   SH       DEFINED        2       5,443
POLYCOM INC                 COMMON       73172K104  196,190   18,649,235 SH       DEFINED        6    18,566,598            82,637
POLYONE CORP                COMMON       73179P106   2,038      149,000  SH       DEFINED        6      149,000
POLYPORE
 INTERNATIONAL INC          COMMON       73179V103   2,951      73,070   SH       DEFINED        6      73,070
POOL CORP                   COMMON       73278L105   1,821      45,000   SH       DEFINED        6      45,000
POSCO                         ADR        693483109   8,478      105,400  SH       DEFINED        6      105,400
POST HLDGS INC COM       Common Stock    737446104     5          150    SH       DEFINED        2        150
POST PPTYS INC COM           REIT        737464107    950       19,405   SH       DEFINED        2      19,405
POST PROPERTIES INC          REIT        737464107   -1,887     -38,546  SH       DEFINED        6      -38,546<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
POTASH CORP OF
 SASK INC                 Common Stock   73755L107   4,854      111,102  SH       DEFINED        5      111,102
POTLATCH CORP                REIT        737630103    292        9,155   SH       DEFINED        6       9,155
POWERSHARES ETF
 TRUST                    Common Stock   73935X567    373        5,785   SH       DEFINED        5       5,785
POWERSHARES QQQ
TRUST SERIES 1           Common Stock    73935A104    456        7,106   SH       DEFINED        5       7,106
PPG INDS INC COM         Common Stock    693506107    149        1,400   SH       DEFINED        2       1,400
PPG INDUSTRIES INC          COMMON       693506107   5,110      48,150   SH       DEFINED        6      48,150
PPL CORP                    COMMON       69351T106   6,423      230,970  SH       DEFINED        6      230,970
PPL CORP COM             Common Stock    69351T106   2,595      93,300   SH       DEFINED        3                          93,300
PPL CORP COM             Common Stock    69351T106   2,795      100,500  SH       DEFINED        2      100,500
PPL CORP COM                 STOCK       69351T106    100        3,582   SH       DEFINED        1       3,582
PRAXAIR INC                 COMMON       74005P104   8,921      82,046   SH       DEFINED        6      82,046
PRAXAIR INC COM          Common Stock    74005P104    315        2,900   SH       DEFINED        2       2,900
PRAXAIR INC COM          Common Stock    74005P104   1,782      16,393   SH       DEFINED        8                          16,393
PRECISION
 CASTPARTS CORP             COMMON       740189105   9,078      55,191   SH       DEFINED        6      55,191
PRECISION
 CASTPARTS CORP COM      Common Stock    740189105    197        1,200   SH       DEFINED        2       1,200
PREMIERE GLOBAL
 SERVICES INC               COMMON       740585104   14,148    1,686,316 SH       DEFINED        6     1,670,520            15,796
PRESTIGE BRANDS
 HOLDINGS INC               COMMON       74112D101   1,282      81,119   SH       DEFINED        6      81,119
PRICE T ROWE GROUP
 INC COM                 Common Stock    74144T108    139        2,200   SH       DEFINED        2       2,200
PRICELINE COM INC
 COM NEW                 Common Stock    741503403   2,073       3,120   SH       DEFINED        8                           3,120
PRICELINE.COM INC           COMMON       741503403  635,374     956,140  SH       DEFINED        6      955,633                506
PRIMERICA INC               COMMON       74164M108   2,043      76,431   SH       DEFINED        6      76,431
PRINCIPAL FINL GROUP
 INC COM                 Common Stock    74251V102     81        3,100   SH       DEFINED        2       3,100
PRIVATEBANCORP INC          COMMON       742962103   1,844      124,930  SH       DEFINED        6      124,930
PROASSURANCE CORP           COMMON       74267C106   1,756      19,709   SH       DEFINED        6      19,709
PROCTER & GAMBLE CO      Common Stock    742718109   1,017      16,607   SH       DEFINED        5      16,607
PROCTER & GAMBLE
 CO COM                  Common Stock    742718109   1,663      27,157   SH       DEFINED        2      27,157
PROCTER & GAMBLE
 CO COM                      STOCK       742718109     82        1,338   SH       DEFINED        1       1,338
PROCTER & GAMBLE
 CO/THE                     COMMON       742718109   34,843     568,869  SH       DEFINED        6      568,869
PROGRESS ENERGY
 INC                        COMMON       743263105    485        8,061   SH       DEFINED        6       8,061
PROGRESS ENERGY
 INC COM                 Common Stock    743263105   2,960      49,200   SH       DEFINED        3                          49,200
PROGRESS ENERGY
 INC COM                 Common Stock    743263105   3,105      51,600   SH       DEFINED        2      51,600
PROGRESS ENERGY
 INC COM                     STOCK       743263105    110        1,828   SH       DEFINED        1       1,828
PROGRESSIVE CORP
 OHIO COM                Common Stock    743315103    152        7,300   SH       DEFINED        2       7,300
PROGRESSIVE
 CORP/THE                   COMMON       743315103  438,480   21,050,396 SH       DEFINED        6    21,038,352            12,044
PROLOGIS INC                 REIT        74340W103   28,915     870,147  SH       DEFINED        6      870,147
PROLOGIS INC COM         Common Stock    74340W103   5,599      168,483  SH       DEFINED        2      168,483
PROSHARES SHORT
 MSCI EAFE               Common Stock    74347R370    529       10,872   SH       DEFINED        5      10,872
PROSHARES
ULTRASHORT REAL
 ESTA                         ETF        74348A871    876       32,900   SH       DEFINED        6      32,900
PROSPECT CAPITAL
 CORP                    Common Stock    74348T102    145       12,774   SH       DEFINED        5      12,774
PROSPERITY
 BANCSHARES INC             COMMON       743606105   1,785      42,462   SH       DEFINED        6      42,462
PROTECTIVE LIFE
 CORP                    Common Stock    743674103    579       19,689   SH       DEFINED        5      19,689
PROVIDENT NEW YORK
 BANCORP                    COMMON       744028101    455       60,000   SH       DEFINED        6      60,000
PRUDENTIAL
 FINANCIAL INC              COMMON       744320102   27,376     565,269  SH       DEFINED        6      565,269
PRUDENTIAL FINL INC
 COM                     Common Stock    744320102    286        5,900   SH       DEFINED        2       5,900
PS BUSINESS PARKS
 INC                         REIT        69360J107   9,473      139,881  SH       DEFINED        6      139,881
PS BUSINESS PKS INC
 CALIF COM                   REIT        69360J107    531        7,847   SH       DEFINED        2       7,847
PUBLIC SERVICE
 ENTERPRISE GROU            COMMON       744573106   7,934      244,120  SH       DEFINED        6      244,120
PUBLIC STORAGE               REIT        74460D109   38,745     268,296  SH       DEFINED        6      268,296
PUBLIC STORAGE COM       Common Stock    74460D109   6,954      48,157   SH       DEFINED        2      48,157
PUBLIC SVC
ENTERPRISE GROUP
 COM                     Common Stock    744573106     3          90     SH       DEFINED        4        90
PUBLIC SVC
ENTERPRISE GROUP
 COM                     Common Stock    744573106   2,779      85,500   SH       DEFINED        3                          85,500
PUBLIC SVC
ENTERPRISE GROUP
 COM                     Common Stock    744573106   2,951      90,800   SH       DEFINED        2      90,800
PUBLIC SVC
ENTERPRISE GROUP
 COM                         STOCK       744573106    102        3,132   SH       DEFINED        1       3,132
PULTE GROUP INC             COMMON       745867101   1,593      148,920  SH       DEFINED        6      148,920
PULTEGROUP INC           Common Stock    745867101    629       58,796   SH       DEFINED        5      58,796
PVH CORP                    COMMON       693656100   2,769      35,600   SH       DEFINED        6      35,600
PVH CORP COM                 STOCK       693656100     1           7     SH       DEFINED        1         7
QAD INC                     COMMON       74727D207    904       66,715   SH       DEFINED        6      65,951                 764
QAD INC                     COMMON       74727D306   3,801      267,283  SH       DEFINED        6      263,891              3,392
QIHOO 360
TECHNOLOGY CO LTD
 ADS                         STOCK       74734M109     9          532    SH       DEFINED        1        532
QUALCOMM INC             Common Stock    747525103    299        5,370   SH       DEFINED        5       5,370
QUALCOMM INC                COMMON       747525103  695,546   12,491,852 SH       DEFINED        6    12,485,346             6,506
QUALCOMM INC COM         Common Stock    747525103    880       15,800   SH       DEFINED        2      15,800<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
QUALCOMM INC COM         Common Stock    747525103   1,546      27,762   SH       DEFINED        8                          27,762
QUALITY SYSTEMS INC         COMMON       747582104   1,797      65,328   SH       DEFINED        6      65,328
QUANEX BUILDING
 PRODUCTS CORP              COMMON       747619104   1,144      64,000   SH       DEFINED        6      64,000
QUANTA SERVICES INC         COMMON       74762E102   1,574      65,400   SH       DEFINED        6      65,400
QUANTA SVCS INC
 COM                     Common Stock    74762E102     24        1,000   SH       DEFINED        2       1,000
QUEST DIAGNOSTICS
 INC                        COMMON       74834L100  212,881    3,553,943 SH       DEFINED        6     3,502,375            51,568
QUEST DIAGNOSTICS
 INC COM                 Common Stock    74834L100     66        1,100   SH       DEFINED        2       1,100
QUEST DIAGNOSTICS
 INC COM                     STOCK       74834L100     0           4     SH       SOLE                     4
QUEST DIAGNOSTICS
 INC COM                 Common Stock    74834L100   3,085      51,500   SH       DEFINED        8                          51,500
QUESTAR CORP                COMMON       748356102   2,286      109,600  SH       DEFINED        6      109,600
QUIDEL CORP                 COMMON       74838J101   1,772      112,983  SH       DEFINED        6      112,983
QUINSTREET INC              COMMON       74874Q100    834       90,037   SH       DEFINED        6      90,037
RAILAMERICA INC          Common Stock    750753402    610       25,204   SH       DEFINED        5      25,204
RALCORP HLDGS INC
 NEW COM                 Common Stock    751028101     20         300    SH       DEFINED        2        300
RALPH LAUREN CORP           COMMON       751212101   1,877      13,400   SH       DEFINED        6      13,400
RALPH LAUREN CORP
 CL A                    Common Stock    751212101     70         500    SH       DEFINED        2        500
RALPH LAUREN CORP
 CL A                        STOCK       751212101     2          13     SH       DEFINED        1        13
RAMCO-GERSHENSON
PPTYS TR COM SH BEN
 INT                         REIT        751452202     99        7,840   SH       DEFINED        2       7,840
RAMCO-GERSHENSON
 PROPERTIES TR               REIT        751452202   4,005      318,629  SH       DEFINED        6      318,629
RANGE RES CORP COM       Common Stock    75281A109     93        1,500   SH       DEFINED        2       1,500
RANGE RESOURCES
 CORP                       COMMON       75281A109    742       12,000   SH       DEFINED        6      12,000
RAPTOR
PHARMACEUTICAL
 CORP                       COMMON       75382F106    219       39,200   SH       DEFINED        6      39,200
RAYMOND JAMES
FINANCIAL INC               COMMON       754730109   7,699      224,868  SH       DEFINED        6      224,868
RAYONIER INC                COMMON       754907103   5,321      118,511  SH       DEFINED        6      118,511
RAYONIER INC COM             REIT        754907103     49        1,100   SH       DEFINED        2       1,100
RAYTHEON CO                 COMMON       755111507  221,221    3,909,195 SH       DEFINED        6     3,850,056            59,139
RAYTHEON CO COM
 NEW                     Common Stock    755111507    192        3,400   SH       DEFINED        2       3,400
RAYTHEON CO COM
 NEW                     Common Stock    755111507   3,067      54,200   SH       DEFINED        8                          54,200
REAL GOODS SOLAR
 INC                        COMMON       75601N104    170       150,000  SH       DEFINED        6      150,000
REALTY INCOME CORP
 COM                         REIT        756109104   2,048      49,030   SH       DEFINED        2      49,030
RED HAT INC                 COMMON       756577102   1,220      21,600   SH       DEFINED        6      21,600
RED HAT INC COM          Common Stock    756577102     85        1,500   SH       DEFINED        2       1,500
RED ROBIN GOURMET
 BURGERS INC                COMMON       75689M101     88        2,870   SH       DEFINED        6       2,870
REED ELSEVIER NV              ADR        758204200   51,564    2,263,550 SH       DEFINED        6     1,956,133           307,417
REGAL
ENTERTAINMENT
 GROUP                      COMMON       758766109   4,780      347,416  SH       DEFINED        6      347,416
REGAL-BELOIT CORP           COMMON       758750103   38,926     625,220  SH       DEFINED        6      620,332              4,888
REGENCY CENTERS
 CORP                        REIT        758849103   15,954     335,381  SH       DEFINED        6      335,381
REGENCY CTRS CORP
 COM                         REIT        758849103   1,676      35,227   SH       DEFINED        2      35,227
REGENERON
 PHARMACEUTICALS INC        COMMON       75886F107   1,656      14,500   SH       DEFINED        6      14,500
REGIONS FINANCIAL
 CORP                       COMMON       7591EP100   4,556      675,000  SH       DEFINED        6      675,000
REGIONS FINANCIAL
 CORP NEW COM            Common Stock    7591EP100     34        4,974   SH       DEFINED        2       4,974
REINSURANCE GROUP
 OF AMERICA I               COMMON       759351604   8,253      155,100  SH       DEFINED        6      155,100
RENAISSANCERE
 HOLDINGS LTD COM        Common Stock    741503403    311        1,000   SH       DEFINED        2       1,000
RENT-A-CENTER
 INC/TX                     COMMON       76009N100   17,224     510,489  SH       DEFINED        6      505,266              5,223
REPUBLIC SERVICES
 INC                        COMMON       760759100   5,674      214,422  SH       DEFINED        6      214,422
REPUBLIC SVCS INC
 COM                     Common Stock    760759100     86        3,235   SH       DEFINED        2       3,235
RESEARCH IN MOTION
 LTD COM                     STOCK       760975102    199       26,900   SH       DEFINED        1      26,900
RESEARCH IN MOTION
 LTD NEW                 Common Stock    760975102    110       14,824   SH       DEFINED        5      14,824
RETAIL OPPORTUNITY
 INVTS COR COM           Common Stock    76131N101    181       15,000   SH       DEFINED        2      15,000
REVENUESHARES ETF
 SMALL CAP               Common Stock    761396308    399       11,836   SH       DEFINED        5      11,836
REX ENERGY CORP             COMMON       761565100   1,627      145,100  SH       DEFINED        6      145,100
REYNOLDS AMERICAN
 INC                        COMMON       761713106   10,778     240,214  SH       DEFINED        6      240,214
REYNOLDS AMERICAN
 INC COM                 Common Stock    761713106    135        3,000   SH       DEFINED        2       3,000
RF MICRO DEVICES INC        COMMON       749941100   11,305    2,660,069 SH       DEFINED        6     2,638,679            21,390
RIGEL
 PHARMACEUTICALS INC        COMMON       766559603    381       41,000   SH       DEFINED        6      41,000
RIGNET INC                  COMMON       766582100   1,483      85,297   SH       DEFINED        6      85,297
RIO TINTO PLC                 ADR        767204100    544       11,388   SH       DEFINED        6       6,922               4,466
RIO TINTO PLC
 SPONSORED ADR               STOCK       767204100    231        4,832   SH       DEFINED        1       4,832
RITCHIE BROS
 AUCTIONEERS INC            COMMON       767744105   60,601    2,851,802 SH       DEFINED        6     2,809,285            42,517
RLJ LODGING TR COM           REIT        74965L101    783       43,200   SH       DEFINED        2      43,200
ROBERT HALF INTL INC
 COM                     Common Stock    770323103     26         900    SH       DEFINED        2        900
ROCKWELL
 AUTOMATION INC COM      Common Stock    773903109     59         900    SH       DEFINED        2        900
ROCKWELL COLLINS
 INC                        COMMON       774341101   6,455      130,804  SH       DEFINED        6      130,804<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
ROCKWELL COLLINS
 INC COM                 Common Stock    774341101     94        1,900   SH       DEFINED        2       1,900
ROCKWOOD HOLDINGS
 INC                        COMMON       774415103   6,241      140,721  SH       DEFINED        6      140,721
ROFIN-SINAR
TECHNOLOGIES INC            COMMON       775043102    831       43,889   SH       DEFINED        6      43,889
ROGERS COMMS INC
 CL B                    Common Stock    775109200   11,045     305,024  SH       DEFINED        5      305,024
ROPER INDS INC NEW
 COM                     Common Stock    776696106     69         700    SH       DEFINED        2        700
ROPER INDUSTRIES
 INC                        COMMON       776696106   8,213      83,314   SH       DEFINED        6      83,314
ROSETTA RESOURCES
 INC                        COMMON       777779307   4,285      116,959  SH       DEFINED        6      116,959
ROSS STORES INC             COMMON       778296103   6,742      107,925  SH       DEFINED        6      107,925
ROSS STORES INC
 COM                     Common Stock    778296103    175        2,800   SH       DEFINED        2       2,800
ROUSE PPTYS INC
 COM                     Common Stock    779287101    117        8,635   SH       DEFINED        2       8,635
ROUSE PROPERTIES
 INC                         REIT        779287101     13         981    SH       DEFINED        6        981
ROVI CORP                   COMMON       779376102   13,647    2,977,549 SH       DEFINED        6     2,011,134           966,415
ROWAN COMPANIES
 PLC                        COMMON       G7665A101   5,528      171,000  SH       DEFINED        6      171,000
ROYAL BK CDA
 MONTREAL QUE COM            STOCK       780087102     31         600    SH       DEFINED        1        600
ROYAL DUTCH SHELL
 PLC                          ADR        780259107   1,004      14,362   SH       DEFINED        6      14,362
ROYAL DUTCH SHELL
 PLC                          ADR        780259206   58,584     868,810  SH       DEFINED        6      750,287            118,523
ROYAL DUTCH SHELL
 PLC SPONS ADR A             STOCK       780259206   3,095      45,905   SH       DEFINED        1      45,905
RPC INC                     COMMON       749660106   8,223      691,575  SH       DEFINED        6      691,575
RPX CORP                    COMMON       74972G103    745       51,916   SH       DEFINED        6      51,916
RR DONNELLEY &
 SONS CO                    COMMON       257867101    763       64,800   SH       DEFINED        6      64,800
RUDOLPH
 TECHNOLOGIES INC           COMMON       781270103   2,372      271,982  SH       DEFINED        6      271,982
RUE21 INC                   COMMON       781295100   1,153      45,700   SH       DEFINED        6      45,700
RUSH ENTERPRISES
 INC                        COMMON       781846209   2,000      122,300  SH       DEFINED        6      122,300
RYL BK CDA               Common Stock    780087102   24,905     486,243  SH       DEFINED        5      486,243
RYL DUTCH SHELL PLC
 CL A S/ADR              Common Stock    780259206    875       12,971   SH       DEFINED        5      12,971
S^P 500 TRUST ETF        Common Stock    78462F103   1,973      14,498   SH       DEFINED        5      14,498
S^T BANCORP INC             COMMON       783859101   10,962     593,506  SH       DEFINED        6      587,943              5,563
SABA SOFTWARE INC           COMMON       784932600    325       35,000   SH       DEFINED        6      35,000
SABRA HEALTH CARE
 REIT INC COM                REIT        78573L106    171       10,000   SH       DEFINED        2      10,000
SAFETY INSURANCE
 GROUP INC                  COMMON       78648T100    870       21,400   SH       DEFINED        6      21,400
SAFEWAY INC                 COMMON       786514208  193,631   10,668,361 SH       DEFINED        6    10,525,146           143,215
SAFEWAY INC COM
 NEW                     Common Stock    786514208     83        4,600   SH       DEFINED        2       4,600
SAFEWAY INC COM
 NEW                     Common Stock    786514208   2,719      149,800  SH       DEFINED        8                         149,800
SAIA INC                    COMMON       78709Y105   10,874     496,749  SH       DEFINED        6      492,261              4,488
SAIC INC COM             Common Stock    78390X101     16        1,300   SH       DEFINED        2       1,300
SAKS INC                    COMMON       79377W108    719       67,500   SH       DEFINED        6      67,500
SALESFORCE COM INC
 COM                     Common Stock    79466L302    124         900    SH       DEFINED        2        900
SALESFORCE COM INC
 COM                         STOCK       79466L302   1,009       7,300   SH       DEFINED        1       7,300
SALESFORCE COM INC
 COM                     Common Stock    79466L302    396        2,866   SH       DEFINED        8                           2,866
SALESFORCE.COM INC          COMMON       79466L302   2,869      20,750   SH       DEFINED        6      20,750
SALIX
PHARMACEUTICALS
 LTD                        COMMON       795435106   2,958      54,340   SH       DEFINED        6      54,340
SANDERSON FARMS
 INC                        COMMON       800013104   2,428      53,000   SH       DEFINED        6      53,000
SANDISK CORP COM         Common Stock    80004C101    120        3,300   SH       DEFINED        2       3,300
SANDISK CORP COM             STOCK       80004C101    269        7,373   SH       DEFINED        1       7,373
SANDY SPRING
 BANCORP INC                COMMON       800363103    583       32,400   SH       DEFINED        6      32,400
SANOFI                        ADR        80105N105   97,338    2,576,433 SH       DEFINED        6     2,230,623           345,810
SANOFI RIGHT
 12/31/2020                  Right       80105N113     3         2,300   SH       DEFINED        2       2,300
SAPIENT CORP                COMMON       803062108   1,857      184,420  SH       DEFINED        6      184,420
SARATOGA RES INC
TEX                      Common Stock    803521103   19,404    3,300,000 SH       DEFINED        1     3,300,000
SASOL LTD                     ADR        803866300   29,115     685,867  SH       DEFINED        6      685,867
SAUER-DANFOSS INC           COMMON       804137107    752       21,530   SH       DEFINED        6      21,530
SAUL CTRS INC COM            REIT        804395101    201        4,700   SH       DEFINED        2       4,700
SBA COMMUNICATIONS
CORP                        COMMON       78388J106  137,111    2,403,351 SH       DEFINED        6     2,368,181            35,170
SBA COMMUNICATIONS
CORP COM                 Common Stock    78388J106   7,017      123,000  SH       DEFINED        3                         123,000
SBA COMMUNICATIONS
CORP COM                 Common Stock    78388J106   7,017      123,000  SH       DEFINED        2      123,000
SCANA CORP NEW
COM                      Common Stock    80589M102    952       19,900   SH       DEFINED        3                          19,900
SCANA CORP NEW
COM                      Common Stock    80589M102   1,029      21,500   SH       DEFINED        2      21,500
SCANA CORP NEW
COM                          STOCK       80589M102     39         806    SH       DEFINED        1        806
SCANSOURCE INC              COMMON       806037107   2,344      76,509   SH       DEFINED        6      76,509
SCHEIN HENRY INC
COM                      Common Stock    806407102     39         500    SH       DEFINED        2        500
SCHLUMBERGER LTD            COMMON       806857108   21,288     327,955  SH       DEFINED        6      327,955
SCHLUMBERGER LTD
COM                      Common Stock    806857108    881       13,566   SH       DEFINED        2      13,566
SCHLUMBERGER LTD
COM                          STOCK       806857108    193        2,977   SH       DEFINED        1       2,977<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
SCHLUMBERGER LTD
 COM                     Common Stock    806857108    735       11,329   SH       DEFINED        8                          11,329
SCHWAB CHARLES
 CORP NEW COM            Common Stock    808513105    110        8,500   SH       DEFINED        2       8,500
SEALED AIR CORP             COMMON       81211K100   1,127      73,000   SH       DEFINED        6      73,000
SEALED AIR CORP NEW
 COM                     Common Stock    81211K100     40        2,600   SH       DEFINED        2       2,600
SEASPAN CORP             Common Stock    Y75638109    182       10,500   SH       DEFINED        5      10,500
SEATTLE GENETICS
 INC                        COMMON       812578102   3,746      147,530  SH       DEFINED        6      147,530
SEI INVESTMENTS CO          COMMON       784117103   1,392      70,000   SH       DEFINED        6      70,000
SELECTIVE INSURANCE
 GROUP INC                  COMMON       816300107   28,004    1,608,482 SH       DEFINED        6     1,593,180            15,302
SEMGROUP CORP               COMMON       81663A105    990       31,000   SH       DEFINED        6      31,000
SEMPRA ENERGY COM        Common Stock    816851109   2,741      39,800   SH       DEFINED        3                          39,800
SEMPRA ENERGY COM        Common Stock    816851109   2,914      42,300   SH       DEFINED        2      42,300
SEMPRA ENERGY COM            STOCK       816851109    102        1,487   SH       DEFINED        1       1,487
SEMTECH CORP                COMMON       816850101   1,525      62,724   SH       DEFINED        6      62,724
SENIOR HSG PPTYS TR
 SH BEN INT                  REIT        81721M109   1,408      63,067   SH       DEFINED        2      63,067
SERVICE CORP
 INTERNATIONAL/US           COMMON       817565104   33,563    2,713,283 SH       DEFINED        6     2,693,084            20,199
SHANDA GAMES-ADR              ADR        81941U105   9,503     2,375,625 SH       DEFINED        6     2,375,625
SHANGPHARMA CORP
 SPONSORED ADR                ADR        81943P104   1,057      155,282  SH       SOLE                  155,282
SHAW COMMS CL B          Common Stock    82028K200   2,309      122,112  SH       DEFINED        5      122,112
SHERWIN WILLIAMS CO
 COM                     Common Stock    824348106    106         800    SH       DEFINED        2        800
SHERWIN-WILLIAMS
 CO/THE                     COMMON       824348106   1,813      13,700   SH       DEFINED        6      13,700
SHUFFLE MASTER INC          COMMON       825549108   2,251      163,109  SH       DEFINED        6      163,109
SHUTTERFLY INC              COMMON       82568P304   4,549      148,232  SH       DEFINED        6      148,232
SIFY TECHNOLOGIES
 LTD                          ADR        82655M107    220       91,200   SH       DEFINED        6      91,200
SIGMA ALDRICH CORP
 COM                     Common Stock    826552101     44         600    SH       DEFINED        2        600
SIGNET JEWELERS LTD         COMMON       G81276100   2,046      46,500   SH       DEFINED        6      46,500
SILGAN HOLDINGS INC         COMMON       827048109   3,079      72,134   SH       DEFINED        6      72,134
SILVER STANDARD RES
 INC                     Common Stock    82823L106    412       36,651   SH       DEFINED        5      36,651
SILVER WHEATON
 CORP COM                    STOCK       828336107   3,777      140,719  SH       DEFINED        1      140,719
SIMON PPTY GROUP
 INC NEW COM             Common Stock    828806109   17,679     113,575  SH       DEFINED        2      113,575
SIMON PROPERTY
 GROUP INC                   REIT        828806109  111,342     715,291  SH       DEFINED        6      715,291
SINA CORP ORD              SPON ADR      G81477104    148        2,866   SH       DEFINED        1       2,866
SINA CORP/CHINA             COMMON       G81477104   47,031     907,752  SH       DEFINED        6      907,752
SIRIUS XM RADIO INC
 COM                     Common Stock    82967N108     68       37,000   SH       DEFINED        2      37,000
SIRONA DENTAL
 SYSTEMS INC                COMMON       82966C103   1,665      37,000   SH       DEFINED        6      37,000
SK TELECOM CO LTD-
 ADR                          ADR        78440P108  105,321    8,704,174 SH       DEFINED        6     8,704,174
SKULLCANDY INC              COMMON       83083J104    425       30,000   SH       DEFINED        6      30,000
SKYWEST INC                 COMMON       830879102    367       56,160   SH       DEFINED        6      56,160
SKYWORKS
 SOLUTIONS INC              COMMON       83088M102   3,683      134,580  SH       DEFINED        6      134,580
SL GREEN REALTY
 CORP                        REIT        78440X101   20,616     256,925  SH       DEFINED        6      256,925
SL GREEN RLTY CORP
 COM                     Common Stock    78440X101   2,618      32,630   SH       DEFINED        2      32,630
SLM CORP COM             Common Stock    78442P106     72        4,600   SH       DEFINED        2       4,600
SM ENERGY CO                COMMON       78454L100    933       19,000   SH       DEFINED        6      19,000
SMUCKER J M CO COM
 NEW                     Common Stock    832696405     60         800    SH       DEFINED        2        800
SOHU.COM INC                COMMON       83408W103   90,781    2,033,618 SH       DEFINED        6     2,030,278             3,340
SOLAR CAPITAL LTD           COMMON       83413U100    756       33,961   SH       DEFINED        6      33,961
SOLARWINDS INC              COMMON       83416B109    670       15,373   SH       DEFINED        6      15,373
SOLERA HOLDINGS INC         COMMON       83421A104   1,892      45,280   SH       DEFINED        6      45,280
SONOCO PRODUCTS
 CO                         COMMON       835495102   2,340      77,600   SH       DEFINED        6      77,600
SOUTHERN CO COM          Common Stock    842587107   8,501      183,600  SH       DEFINED        4      183,600
SOUTHERN CO COM          Common Stock    842587107   16,219     350,300  SH       DEFINED        3      51,400    43,900   255,000
SOUTHERN CO COM          Common Stock    842587107   1,699      36,700   SH       DEFINED        7                          36,700
SOUTHERN CO COM          Common Stock    842587107   11,365     245,454  SH       DEFINED        2      245,454
SOUTHERN CO COM              STOCK       842587107    250        5,395   SH       DEFINED        1       5,395
SOUTHERN CO/THE             COMMON       842587107    472       10,200   SH       DEFINED        6      10,200
SOUTHERN COMPANY         Common Stock    842587107    421        9,100   SH       DEFINED        5       9,100
SOUTHWEST GAS
 CORP                       COMMON       844895102   28,589     654,951  SH       DEFINED        6      648,854              6,097
SOUTHWESTERN
ENERGY CO COM            Common Stock    845467109    128        4,000   SH       DEFINED        2       4,000
SOVRAN SELF
 STORAGE INC                 REIT        84610H108   2,624      52,379   SH       DEFINED        6      52,379
SOVRAN SELF
 STORAGE INC COM             REIT        84610H108    498        9,940   SH       DEFINED        2       9,940
SPARTAN MOTORS INC          COMMON       846819100   2,705      516,273  SH       DEFINED        6      516,273
SPDR DJ
 INTERNATIONAL REAL      Common Stock    78463X863   11,298     307,191  SH       DEFINED        5      307,191
SPDR DOW JONES INDL
 AVRG ETF UT SER 1           STOCK       78467X109     11         83     SH       DEFINED        1        83
SPDR DOW JONES
 INDUSTRIAL              Common Stock    78467X109    571        4,447   SH       DEFINED        5       4,447<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
SPDR GOLD SHARES              ETF        78463V107   2,700      17,400   SH       DEFINED        6      17,400
SPDR GOLD TR GOLD
 SHS                     Common Stock    78463V107    990        6,379   SH       DEFINED        5       6,379
SPDR S^P 500 ETF TR
 TR UNIT                     STOCK       78462F103   7,056      51,841   SH       DEFINED        1      51,841
SPECTRA ENERGY
 CORP                    Common Stock    847560109    237        8,163   SH       DEFINED        5       8,163
SPECTRA ENERGY
 CORP                       COMMON       847560109   1,624      55,893   SH       DEFINED        6      55,893
SPECTRA ENERGY
 CORP COM                Common Stock    847560109   22,165     762,740  SH       DEFINED        4      762,740
SPECTRA ENERGY
 CORP COM                Common Stock    847560109   25,433     875,200  SH       DEFINED        3      232,300   55,900   587,000
SPECTRA ENERGY
 CORP COM                Common Stock    847560109    904       31,100   SH       DEFINED        7                          31,100
SPECTRA ENERGY
 CORP COM                Common Stock    847560109   10,127     348,484  SH       DEFINED        2      348,484
SPECTRA ENERGY
 CORP COM                    STOCK       847560109    118        4,059   SH       DEFINED        1       4,059
SPECTRUM
 PHARMACEUTICALS INC        COMMON       84763A108   2,197      141,166  SH       DEFINED        6      141,166
SPIRIT AIRLINES INC         COMMON       848577102   2,322      119,310  SH       DEFINED        6      119,310
SPLUNK INC                  COMMON       848637104    301       10,700   SH       DEFINED        6      10,700
SPRINT NEXTEL CORP
 COM SER 1               Common Stock    852061100     47       14,550   SH       DEFINED        2      14,550
SPROTT RESOURCE
 LENDING CORP            Common Stock    85207J100     15       10,000   SH       DEFINED        5      10,000
SPS COMMERCE INC            COMMON       78463M107   2,430      80,000   SH       DEFINED        6      80,000
SPX CORP COM             Common Stock    784635104     33         500    SH       DEFINED        2        500
SS^C TECHNOLOGIES
 HOLDINGS INC               COMMON       78467J100   2,207      88,261   SH       DEFINED        6      88,261
ST JUDE MED INC COM      Common Stock    790849103    116        2,900   SH       DEFINED        2       2,900
ST JUDE MED INC COM      Common Stock    790849103   1,019      25,535   SH       DEFINED        8                          25,535
ST JUDE MEDICAL INC         COMMON       790849103   3,248      81,380   SH       DEFINED        6      81,380
STAG INDUSTRIAL INC          REIT        85254J102    828       56,763   SH       DEFINED        6      56,763
STAGE STORES INC            COMMON       85254C305   14,370     784,413  SH       DEFINED        6      774,696              9,717
STANCORP FINANCIAL
 GROUP INC                  COMMON       852891100   12,973     349,106  SH       DEFINED        6      346,760              2,346
STANLEY BLACK &
 DECKER INC                 COMMON       854502101   10,436     162,157  SH       DEFINED        6      162,157
STANLEY BLACK &
 DECKER INC COM          Common Stock    854502101     97        1,510   SH       DEFINED        2       1,510
STANTEC INC              Common Stock    85472N109    580       20,267   SH       DEFINED        5      20,267
STAPLES INC                 COMMON       855030102  238,394   18,267,744 SH       DEFINED        6    18,254,937            12,806
STAPLES INC COM          Common Stock    855030102     63        4,800   SH       DEFINED        2       4,800
STARBUCKS CORP           Common Stock    855244109    838       15,716   SH       DEFINED        5      15,716
STARBUCKS CORP              COMMON       855244109   39,666     743,918  SH       DEFINED        6      743,918
STARBUCKS CORP
 COM                     Common Stock    855244109    357        6,700   SH       DEFINED        2       6,700
STARBUCKS CORP
 COM                         STOCK       855244109    206        3,855   SH       DEFINED        1       3,855
STARBUCKS CORP
 COM                     Common Stock    855244109   1,519      28,480   SH       DEFINED        8                          28,480
STARWOOD HOTELS &
 RESORTS WORL               COMMON       85590A401   10,686     201,478  SH       DEFINED        6      201,478
STARWOOD
HOTELS^RESORTS
 WRLD COM                Common Stock    85590A401     74        1,400   SH       DEFINED        2       1,400
STARWOOD PROPERTY
 TRUST INC                   REIT        85571B105    733       34,400   SH       DEFINED        6      34,400
STATE STR CORP COM       Common Stock    857477103    208        4,653   SH       DEFINED        2       4,653
STATE STREET CORP           COMMON       857477103   23,017     515,607  SH       DEFINED        6      515,607
STERICYCLE INC COM       Common Stock    858912108    101        1,100   SH       DEFINED        2       1,100
STERLITE INDS INDIA
 LTD ADS                     STOCK       859737207    134       17,615   SH       DEFINED        1      17,615
STEVEN MADDEN LTD           COMMON       556269108   3,576      112,633  SH       DEFINED        6      112,633
STEWART
INFORMATION
 SERVICES C                 COMMON       860372101   3,057      199,158  SH       DEFINED        6      199,158
STHN CPPR CORP           Common Stock    84265V105    345       10,944   SH       DEFINED        5      10,944
STRATASYS INC               COMMON       862685104   2,842      57,362   SH       DEFINED        6      57,362
STRATEGIC HOTELS &
 RESORTS I COM               REIT        86272T106    353       54,620   SH       DEFINED        2      54,620
STRATEGIC HOTELS &
 RESORTS INC                 REIT        86272T106   4,642      718,626  SH       DEFINED        6      718,626
STRAYER EDUCATION
 INC                        COMMON       863236105  113,942    1,045,148 SH       DEFINED        6     1,030,858            14,290
STRYKER CORP                COMMON       863667101   2,265      41,100   SH       DEFINED        6      41,100
STRYKER CORP COM         Common Stock    863667101    110        2,000   SH       DEFINED        2       2,000
SUMMIT HOTEL
 PROPERTIES INC              REIT        866082100   1,230      146,900  SH       DEFINED        6      146,900
SUN COMMUNITIES INC
 COM                         REIT        866674104    411        9,300   SH       DEFINED        2       9,300
SUN LIFE FNCL INC        Common Stock    866796105   2,458      112,966  SH       DEFINED        5      112,966
SUNCOR ENERGY INC
 NEW                     Common Stock    867224107   10,095     348,712  SH       DEFINED        5      348,712
SUNSTONE HOTEL
 INVESTORS INC               REIT        867892101   9,127      830,482  SH       DEFINED        6      830,482
SUNSTONE HOTEL
 INVS INC NEW COM            REIT        867892101    439       39,950   SH       DEFINED        2      39,950
SUNTRUST BANKS INC          COMMON       867914103    557       22,980   SH       DEFINED        6      22,980
SUNTRUST BKS INC
 COM                     Common Stock    867914103    124        5,100   SH       DEFINED        2       5,100
SUPERVALU INC COM        Common Stock    868536103     0          45     SH       DEFINED        2        45
SUSQUEHANNA
 BANCSHARES INC             COMMON       869099101   2,135      207,410  SH       DEFINED        6      207,410
SUSSER HOLDINGS
 CORP                       COMMON       869233106   2,797      75,239   SH       DEFINED        6      75,239
SVB FINANCIAL GROUP         COMMON       78486Q101   2,243      38,200   SH       DEFINED        6      38,200
SVR WHEATON CORP         Common Stock    828336107   1,251      46,604   SH       DEFINED        5      46,604<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
SWIFT ENERGY CO             COMMON       870738101   1,389      74,654   SH       DEFINED        6      74,654
SXC HEALTH
 SOLUTIONS CORP          Common Stock    78505P100   1,149      11,582   SH       DEFINED        5      11,582
SXC HEALTH
 SOLUTIONS CORP             COMMON       78505P100   3,816      38,461   SH       DEFINED        6      38,461
SYKES ENTERPRISES
 INC                        COMMON       871237103   1,548      96,996   SH       DEFINED        6      96,996
SYMANTEC CORP COM        Common Stock    871503108     88        6,000   SH       DEFINED        2       6,000
SYNAGEVA
 BIOPHARMA CORP             COMMON       87159A103    361        8,900   SH       DEFINED        6       8,900
SYNAPTICS INC               COMMON       87157D109   4,015      140,221  SH       DEFINED        6      140,221
SYNGENTA AG                   ADR        87160A100  372,726    5,446,027 SH       DEFINED        6     5,442,830             3,197
SYNOPSYS INC                COMMON       871607107   44,848    1,523,895 SH       DEFINED        6     1,512,121            11,774
SYNOPSYS INC COM         Common Stock    871607107     41        1,400   SH       DEFINED        2       1,400
SYNTEL INC                  COMMON       87162H103   3,343      55,082   SH       DEFINED        6      55,082
SYSCO CORP COM           Common Stock    871829107    146        4,900   SH       DEFINED        2       4,900
TAIWAN
SEMICONDUCTOR
 MANUFACTU                    ADR        874039100  116,013    8,310,392 SH       DEFINED        6     7,613,097           697,295
TALISMAN ENGY INC        Common Stock    87425E103   1,588      138,597  SH       DEFINED        5      138,597
TAM SA SP ADR REP
 PFD                         STOCK       87484D103     13         505    SH       DEFINED        1        505
TANGER FACTORY
 OUTLET CENTERS              REIT        875465106   1,013      31,596   SH       DEFINED        6      31,596
TANGER FACTORY
 OUTLET CTRS I COM       Common Stock    875465106   1,078      33,622   SH       DEFINED        2      33,622
TANGOE INC                  COMMON       87582Y108    837       39,260   SH       DEFINED        6      39,260
TARGET CORP                 COMMON       87612E106   18,489     317,743  SH       DEFINED        6      317,743
TARGET CORP COM          Common Stock    87612E106    361        6,200   SH       DEFINED        2       6,200
TATA MOTORS LTD
 S/ADR                   Common Stock    876568502    626       28,500   SH       DEFINED        5      28,500
TATA MTRS LTD
 SPONSORED ADR               STOCK       876568502    213        9,702   SH       DEFINED        1       9,702
TAUBMAN CENTERS
 INC                         REIT        876664103   9,043      117,203  SH       DEFINED        6      117,203
TAUBMAN CTRS INC
 COM                     Common Stock    876664103   1,635      21,190   SH       DEFINED        2      21,190
TD AMERITRADE HLDG
 CORP COM                Common Stock    87236Y108   1,328      78,130   SH       DEFINED        8                          78,130
TECH DATA CORP              COMMON       878237106   20,862     433,084  SH       DEFINED        6      428,758              4,326
TECHNE CORP                 COMMON       878377100  125,822    1,695,713 SH       DEFINED        6     1,669,085            26,628
TECK RES LTD CL B        Common Stock    878742204   5,945      192,162  SH       DEFINED        5      192,162
TECK RESOURCES LTD
 CL B                        STOCK       878742204     15         500    SH       DEFINED        1        500
TECO ENERGY INC
 COM                         STOCK       872375100     24        1,340   SH       DEFINED        1       1,340
TELECOM CORP OF
 NEW ZEALAND LT               ADR        879278208     0           2     SH       DEFINED        6         1
TELEDYNE
 TECHNOLOGIES INC           COMMON       879360105   1,654      26,830   SH       DEFINED        6      26,830
TELEFLEX INC                COMMON       879369106   17,487     287,091  SH       DEFINED        6      284,494              2,597
TELEFONICA BRASIL
 SA                           ADR        87936R106   27,884    1,127,067 SH       DEFINED        6     1,127,067
TELEFONICA SA                 ADR        879382208   62,770    4,791,609 SH       DEFINED        6     4,134,513           657,095
TELETECH HOLDINGS
 INC                        COMMON       879939106   1,702      106,355  SH       DEFINED        6      106,355
TELLABS INC                 COMMON       879664100   2,258      678,000  SH       DEFINED        6      678,000
TELUS CORP CL A
 NON-VOTING              Common Stock    87971M202   8,108      138,642  SH       DEFINED        5      138,642
TEMPUR-PEDIC
 INTERNATIONAL INC          COMMON       88023U101    865       37,000   SH       DEFINED        6      37,000
TENET HEALTHCARE
 CORP                       COMMON       88033G100    629       120,000  SH       DEFINED        6      120,000
TENNANT CO                  COMMON       880345103   1,837      45,988   SH       DEFINED        6      45,988
TENNECO INC                 COMMON       880349105   2,887      107,653  SH       DEFINED        6      107,653
TERADATA CORP               COMMON       88076W103  501,394    6,962,839 SH       DEFINED        6     6,932,137            30,702
TERADATA CORP DEL
 COM                     Common Stock    88076W103    187        2,600   SH       DEFINED        2       2,600
TERADYNE INC                COMMON       880770102   14,753    1,049,302 SH       DEFINED        6     1,040,580             8,722
TETRA TECH INC              COMMON       88162G103   1,662      63,735   SH       DEFINED        6      63,735
TEVA PHARMA INDS
 LTD ADR                 Common Stock    881624209    682       17,286   SH       DEFINED        5      17,286
TEVA
PHARMACEUTICAL INDS
 LTD ADR                      ADR        881624209     41        1,039   SH       DEFINED        2       1,039
TEVA
PHARMACEUTICAL
 INDUSTRIES                   ADR        881624209  121,253    3,074,357 SH       DEFINED        6     2,619,431           454,926
TEXAS CAPITAL
 BANCSHARES INC             COMMON       88224Q107   1,756      43,474   SH       DEFINED        6      43,474
TEXAS CAPITAL
BANCSHARES INC COM           STOCK       88224Q107    153        3,787   SH       SOLE                   3,787
TEXAS INSTRS INC
 COM                     Common Stock    882508104    336       11,700   SH       DEFINED        2      11,700
TEXAS INSTRUMENTS
 INC                        COMMON       882508104   7,311      254,832  SH       DEFINED        6      254,832
TEXTRON INC COM          Common Stock    883203101     42        1,700   SH       DEFINED        2       1,700
TEXTRON INC NOTE
 4.500% 5/0                  Stock       883203BN0    423       220,000  PRN      DEFINED        8
THERMO FISHER
 SCIENTIFIC INC             COMMON       883556102   31,363     604,171  SH       DEFINED        6      604,171
THERMO FISHER
 SCIENTIFIC INC COM      Common Stock    883556102    145        2,800   SH       DEFINED        2       2,800
THOMSON REUTERS
 CORP                    Common Stock    884903105   5,171      181,751  SH       DEFINED        5      181,751
TIBCO SOFTWARE INC          COMMON       88632Q103    479       16,000   SH       DEFINED        6      16,000
TIDEWATER INC               COMMON       886423102     47        1,020   SH       DEFINED        6       1,020
TIFFANY & CO                COMMON       886547108   3,532      66,700   SH       DEFINED        6      66,700
TIFFANY & CO NEW
 COM                     Common Stock    886547108     79        1,500   SH       DEFINED        2       1,500
TIM HORTONS INC          Common Stock    88706M103    728       13,827   SH       DEFINED        5      13,827<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
TIM HORTONS INC COM      Common Stock    88706M103     2          47     SH       DEFINED        2        47
TIM PARTICIPACOES
 SA                           ADR        88706P205   11,888     432,913  SH       DEFINED        6      432,913
TIME WARNER CABLE
 INC                     Common Stock    88732J207    388        4,726   SH       DEFINED        5       4,726
TIME WARNER CABLE
 INC COM                 Common Stock    88732J207    335        4,084   SH       DEFINED        2       4,084
TIME WARNER INC             COMMON       887317303    638       16,582   SH       DEFINED        6      16,582
TIME WARNER INC
 COM NEW                 Common Stock    887317303    431       11,200   SH       DEFINED        2      11,200
TIMKEN CO                   COMMON       887389104   4,501      98,300   SH       DEFINED        6      98,300
TITAN MACHINERY INC         COMMON       88830R101   2,002      65,908   SH       DEFINED        6      65,908
TJX COS INC                 COMMON       872540109   23,685     551,712  SH       DEFINED        6      551,712
TJX COS INC NEW COM      Common Stock    872540109    386        9,000   SH       DEFINED        2       9,000
TMS INTERNATIONAL
 CORP                       COMMON       87261Q103    323       32,380   SH       DEFINED        6      32,380
TOLL BROS INC            Common Stock    889478103    485       16,299   SH       DEFINED        5      16,299
TORCHMARK CORP              COMMON       891027104   9,491      187,763  SH       DEFINED        6      187,763
TORCHMARK CORP
 COM                     Common Stock    891027104     83        1,650   SH       DEFINED        2       1,650
TORO CO/THE                 COMMON       891092108   1,686      23,000   SH       DEFINED        6      23,000
TORONTO DOMINION
 BK                      Common Stock    891160509   28,782     367,913  SH       DEFINED        5      367,913
TOTAL SA                      ADR        89151E109   89,421    1,989,351 SH       DEFINED        6     1,712,545           276,806
TOTAL SA S/ADR           Common Stock    89151E109    333        7,413   SH       DEFINED        5       7,413
TOTAL SYS SVCS INC
 COM                     Common Stock    891906109     24        1,009   SH       DEFINED        2       1,009
TOWER GROUP INC             COMMON       891777104    793       38,000   SH       DEFINED        6      38,000
TOWERS WATSON &
 CO                         COMMON       891894107   17,608     293,959  SH       DEFINED        6      293,959
TOYOTA MOTOR CORP             ADR        892331307   64,586     802,515  SH       DEFINED        6      689,993            112,522
TPC GROUP INC               COMMON       89236Y104   1,194      32,321   SH       DEFINED        6      32,321
TRACTOR SUPPLY CO           COMMON       892356106    332        4,000   SH       DEFINED        6       4,000
TRACTOR SUPPLY CO
 COM                     Common Stock    892356106   1,961      23,610   SH       DEFINED        8                          23,610
TRANS1 INC                  COMMON       89385X105     98       39,700   SH       DEFINED        6      39,700
TRANSALTA CORP           Common Stock    89346D107   5,717      336,882  SH       DEFINED        5      336,882
TRANSALTA CORP COM           STOCK       89346D107     24        1,412   SH       DEFINED        1       1,412
TRANSCANADA CORP         Common Stock    89353D107   15,280     364,666  SH       DEFINED        5      364,666
TRANSCANADA CORP
 COM                         STOCK       89353D107    187        4,467   SH       DEFINED        1       4,467
TRANSGLOBE ENGY
 CORP                    Common Stock    893662106    306       34,140   SH       DEFINED        5      34,140
TRANSOCEAN                  COMMON       H8817H100    892       19,940   SH       DEFINED        6      19,940
TRANSOCEAN INC
 NOTE 1.500%12/1             Stock       893830AW9   1,299     1,305,000 PRN      DEFINED        8
TRAVELERS
 COMPANIES INC COM       Common Stock    89417E109    217        3,400   SH       DEFINED        2       3,400
TRAVELERS
 COMPANIES INC COM       Common Stock    89417E109   2,883      45,160   SH       DEFINED        8                          45,160
TRAVELERS COS
 INC/THE                    COMMON       89417E109  231,302    3,623,155 SH       DEFINED        6     3,573,647            49,508
TREX CO INC                 COMMON       89531P105   1,891      62,840   SH       DEFINED        6      62,840
TRICO BANCSHARES            COMMON       896095106    421       27,350   SH       DEFINED        6      27,350
TRIMBLE NAVIGATION
 LTD                        COMMON       896239100    865       18,800   SH       DEFINED        6      18,800
TRIPADVISOR INC             COMMON       896945201   1,646      36,830   SH       DEFINED        6      36,830
TRIQUINT
 SEMICONDUCTOR INC          COMMON       89674K103    523       95,000   SH       DEFINED        6      95,000
TRIUMPH GROUP INC           COMMON       896818101   8,159      145,001  SH       DEFINED        6      145,001
TRUE RELIGION
 APPAREL INC                COMMON       89784N104    603       20,800   SH       DEFINED        6      20,800
TRUEBLUE INC                COMMON       89785X101   2,012      130,000  SH       DEFINED        6      130,000
TRUSTMARK CORP              COMMON       898402102   1,535      62,709   SH       DEFINED        6      62,709
TRW AUTOMOTIVE
 HLDGS CORP COM          Common Stock    87264S106     81        2,200   SH       DEFINED        2       2,200
TUPPERWARE BRANDS
 CORP                       COMMON       899896104   2,722      49,700   SH       DEFINED        6      49,700
TURKCELL ILETISIM
 HIZMETLERI A                 ADR        900111204   34,928    2,783,129 SH       DEFINED        6     2,783,129
TW TELECOM INC              COMMON       87311L104   2,669      104,000  SH       DEFINED        6      104,000
TYCO INTERNATIONAL
 LTD                        COMMON       H89128104   11,612     219,720  SH       DEFINED        6      219,720
TYSON FOODS INC             COMMON       902494103   3,563      189,200  SH       DEFINED        6      189,200
TYSON FOODS INC CL A     Common Stock    902494103     79        4,200   SH       DEFINED        2       4,200
UDR INC                      REIT        902653104   9,565      370,175  SH       DEFINED        6      370,175
UDR INC COM                  REIT        902653104   2,346      90,789   SH       DEFINED        2      90,789
UIL HOLDINGS CORP           COMMON       902748102   1,436      40,054   SH       DEFINED        6      40,054
ULTRA PETROLEUM
 CORP                       COMMON       903914109    517       23,000   SH       DEFINED        6      23,000
ULTRA PETROLEUM
 CORP COM                Common Stock    903914109     35        1,500   SH       DEFINED        2       1,500
ULTRAPAR
PARTICIPACOES S A SP
 ADR REP COM                  ADR        90400P101    663       29,226   SH       DEFINED        4      29,226
ULTRAPAR
PARTICIPACOES S A SP
 ADR REP COM                  ADR        90400P101    217        9,559   SH       DEFINED        3                 7,338     2,221
ULTRAPAR
PARTICIPACOES S A SP
 ADR REP COM                  ADR        90400P101    919       40,512   SH       DEFINED        2      40,512
ULTRAPAR
 PARTICIPACOES SA             ADR        90400P101    103        4,528   SH       DEFINED        6       4,528
ULTRATECH INC               COMMON       904034105   1,260      40,010   SH       DEFINED        6      40,010
UNILEVER PLC                  ADR        904767704   94,032    2,787,790 SH       DEFINED        6     2,406,668           381,122<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
UNILEVER PLC S/ADR
NEW                      Common Stock    904767704    275        8,165   SH       DEFINED        5       8,165
UNION PAC CORP COM       Common Stock    907818108    620        5,200   SH       DEFINED        2       5,200
UNION PAC CORP COM       Common Stock    907818108   1,210      10,140   SH       DEFINED        8                          10,140
UNION PACIFIC CORP          COMMON       907818108   32,308     270,789  SH       DEFINED        6      270,789
UNITED CONTINENTAL
 HOLDINGS IN                COMMON       910047109   1,480      60,850   SH       DEFINED        6      60,850
UNITED CONTL HLDGS
 INC COM                 Common Stock    910047109     80        3,300   SH       DEFINED        2       3,300
UNITED
MICROELECTRONICS
 CORP                         ADR        910873405   10,594    4,881,900 SH       DEFINED        6     4,881,900
UNITED PARCEL
 SERVICE INC                COMMON       911312106   10,078     127,960  SH       DEFINED        6      127,960
UNITED PARCEL
 SERVICE INC CL B        Common Stock    911312106    551        7,000   SH       DEFINED        2       7,000
UNITED PARCEL
 SERVICE INC CL B        Common Stock    911312106    510        6,480   SH       DEFINED        8                           6,480
UNITED RENTALS INC          COMMON       911363109   45,794    1,345,305 SH       DEFINED        6     1,332,725            12,580
UNITED STATES STL
 CORP NEW COM            Common Stock    912909108     25        1,200   SH       DEFINED        2       1,200
UNITED STATES STL
 CORP NEW COM                STOCK       912909108    199        9,646   SH       DEFINED        1       9,646
UNITED STATES STL
 CORP NEW COM               OPTION       912909108    199        9,654       CALL DEFINED        1                           9,654
UNITED STATIONERS
 INC                        COMMON       913004107   15,434     572,691  SH       DEFINED        6      568,100              4,591
UNITED
 TECHNOLOGIES CORP          COMMON       913017109   29,254     387,315  SH       DEFINED        6      387,315
UNITED
TECHNOLOGIES CORP
 COM                     Common Stock    913017109    627        8,300   SH       DEFINED        2       8,300
UNITED
TECHNOLOGIES CORP
 COM                     Common Stock    913017109   1,208      15,990   SH       DEFINED        8                          15,990
UNITED
 THERAPEUTICS CORP          COMMON       91307C102   1,417      28,700   SH       DEFINED        6      28,700
UNITEDHEALTH GROUP
 INC                        COMMON       91324P102   47,525     812,392  SH       DEFINED        6      812,392
UNITEDHEALTH GROUP
 INC COM                 Common Stock    91324P102    667       11,400   SH       DEFINED        2      11,400
UNITEDHEALTH GRP
 INC                     Common Stock    91324P102    243        4,160   SH       DEFINED        5       4,160
UNIVERSAL DISPLAY
 CORP                       COMMON       91347P105   1,091      30,360   SH       DEFINED        6      30,360
UNIVERSAL HEALTH
RLTY INCM T SH BEN
 INT                         REIT        91359E105    225        5,407   SH       DEFINED        2       5,407
UNIVERSAL HEALTH
 SERVICES INC               COMMON       913903100   31,900     739,106  SH       DEFINED        6      733,641              5,465
UNIVERSAL TECHNICAL
 INSTITUTE                  COMMON       913915104    754       55,800   SH       DEFINED        6      55,800
UNIVEST CORP OF
 PENNSYLVANIA               COMMON       915271100   1,823      110,314  SH       DEFINED        6      108,475              1,839
UNUM GROUP COM           Common Stock    91529Y106     96        5,000   SH       DEFINED        2       5,000
URBAN OUTFITTERS
 INC                        COMMON       917047102    964       34,950   SH       DEFINED        6      34,950
URS CORP                    COMMON       903236107   5,395      154,681  SH       DEFINED        6      154,681
URS CORP NEW COM         Common Stock    903236107     21         600    SH       DEFINED        2        600
URSTADT BIDDLE
 PPTYS INS CL A              REIT        917286205     18         914    SH       DEFINED        2        914
US BANCORP                  COMMON       902973304   7,030      218,602  SH       DEFINED        6      218,602
US BANCORP DEL COM
NEW                      Common Stock    902973304    582       18,100   SH       DEFINED        2      18,100
US ECOLOGY INC              COMMON       91732J102   4,225      238,151  SH       DEFINED        6      238,151
US SILICA HOLDINGS
 INC                        COMMON       90346E103   1,073      95,308   SH       DEFINED        6      95,308
V F CORP COM             Common Stock    918204108    160        1,200   SH       DEFINED        2       1,200
VAALCO ENERGY INC           COMMON       91851C201   3,249      376,503  SH       DEFINED        6      376,503
VAIL RESORTS INC            COMMON       91879Q109   1,653      33,000   SH       DEFINED        6      33,000
VALASSIS
 COMMUNICATIONS INC      Common Stock    918866104    454       20,854   SH       DEFINED        5      20,854
VALE S A ADR                 STOCK       91912E105   3,909      196,925  SH       DEFINED        1      196,925
VALE S A ADR                OPTION       91912E105     23        1,164       CALL DEFINED        1                           1,164
VALE S A ADR                  ADR        91912E105    296       14,900   SH       DEFINED        8                          14,900
VALE S A ADR REPSTG
 PFD                          ADR        91912E204    648       33,191   SH       DEFINED        8                          33,191
VALE SA                       ADR        91912E105   59,395    2,992,197 SH       DEFINED        6     2,992,197
VALE SA                       ADR        91912E204   7,162      367,100  SH       DEFINED        6      367,100
VALEANT
 PHARMACEUTICALS         Common Stock    91911K102    279        6,233   SH       DEFINED        5       6,233
VALEANT
PHARMACEUTICALS
 INTERN                     COMMON       91911K102    914       20,400   SH       DEFINED        6      20,400
VALERO ENERGY
 CORP                       COMMON       91913Y100   7,911      327,579  SH       DEFINED        6      327,579
VALERO ENERGY
 CORP NEW COM            Common Stock    91913Y100    171        7,088   SH       DEFINED        2       7,088
VALIDUS HOLDINGS
 LTD                        COMMON       G9319H102   16,190     505,463  SH       DEFINED        6      500,765              4,698
VALLEY NATIONAL
 BANCORP                    COMMON       919794107   1,357      128,012  SH       DEFINED        6      128,012
VALSPAR CORP                COMMON       920355104   25,717     489,939  SH       DEFINED        6      484,953              4,986
VALUECLICK INC              COMMON       92046N102   1,611      98,308   SH       DEFINED        6      98,308
VANGUARD FTSE ALL-
 WORLD EX-US                  ETF        922042775   1,910      46,600   SH       DEFINED        6      46,600
VANGUARD MSCI EAFE
 ETF                          ETF        921943858   9,153      289,930  SH       DEFINED        6      289,930
VARIAN MED SYS INC
 COM                     Common Stock    92220P105     67        1,100   SH       DEFINED        2       1,100
VARIAN MEDICAL
 SYSTEMS INC                COMMON       92220P105    231        3,800   SH       DEFINED        6       3,800
VASCO DATA
 SECURITY INTERNATIO        COMMON       92230Y104   2,803      342,663  SH       DEFINED        6      342,663
VELTI PLC                   COMMON       G93285107    488       75,000   SH       DEFINED        6      75,000
VENTAS INC                   REIT        92276F100   38,726     613,532  SH       DEFINED        6      613,532
VENTAS INC COM               REIT        92276F100   6,979      110,560  SH       DEFINED        2      110,560
VERIFONE SYSTEMS
 INC                        COMMON       92342Y109  145,475    4,396,356 SH       DEFINED        6     4,351,530            44,826<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
VERISIGN INC                COMMON       92343E102  542,848   12,459,214 SH       DEFINED        6    12,411,665            47,549
VERISIGN INC COM         Common Stock    92343E102     70        1,600   SH       DEFINED        2       1,600
VERISK ANALYTICS INC        COMMON       92345Y106   1,424      28,900   SH       DEFINED        6      28,900
VERIZON COMMS            Common Stock    92343V104   3,756      84,526   SH       DEFINED        5      84,526
VERIZON
 COMMUNICATIONS INC         COMMON       92343V104  221,882    4,992,841 SH       DEFINED        6     4,917,316            75,524
VERIZON
COMMUNICATIONS INC
 COM                     Common Stock    92343V104   1,218      27,400   SH       DEFINED        2      27,400
VERIZON
COMMUNICATIONS INC
 COM                     Common Stock    92343V104   2,915      65,600   SH       DEFINED        8                          65,600
VERTEX
 PHARMACEUTICALS INC        COMMON       92532F100   17,157     306,811  SH       DEFINED        6      306,811
VERTEX
PHARMACEUTICALS INC
 COM                     Common Stock    92532F100     84        1,500   SH       DEFINED        2       1,500
VERTEX
PHARMACEUTICALS INC
 COM                     Common Stock    92532F100    131        2,340   SH       DEFINED        8                           2,340
VF CORP                     COMMON       918204108   6,652      49,844   SH       DEFINED        6      49,844
VIACOM INC                  COMMON       92553P201   34,171     726,733  SH       DEFINED        6      726,733
VIACOM INC NEW CL B      Common Stock    92553P201    263        5,600   SH       DEFINED        2       5,600
VIAD CORP                   COMMON       92552R406   2,771      138,553  SH       DEFINED        6      135,760              2,793
VIASAT INC                  COMMON       92552V100   1,315      34,805   SH       DEFINED        6      34,805
VIRGIN MEDIA INC COM     Common Stock    92769L101     62        2,550   SH       DEFINED        2       2,550
VIRTUSA CORP                COMMON       92827P102   1,140      85,411   SH       DEFINED        6      85,411
VISA INC                 Common Stock    92826C839    362        2,925   SH       DEFINED        5       2,925
VISA INC                    COMMON       92826C839  683,955    5,532,270 SH       DEFINED        6     5,529,081             3,189
VISA INC COM CL A        Common Stock    92826C839    692        5,600   SH       DEFINED        2       5,600
VISA INC COM CL A        Common Stock    92826C839    198        1,600   SH       DEFINED        8                           1,600
VISHAY
INTERTECHNOLOGY
 INC                        COMMON       928298108   22,511    2,387,137 SH       DEFINED        6     2,362,487            24,650
VISTAPRINT NV               COMMON       N93540107   1,187      36,750   SH       DEFINED        6      36,750
VMWARE INC                  COMMON       928563402   1,537      16,887   SH       DEFINED        6      16,887
VMWARE INC CL A COM      Common Stock    928563402     73         800    SH       DEFINED        2        800
VMWARE INC CL A COM      Common Stock    928563402    360        3,950   SH       DEFINED        8                           3,950
VOCUS INC                   COMMON       92858J108   1,800      96,769   SH       DEFINED        6      96,769
VODAFONE GROUP
 PLC                     Common Stock    92857W209   1,489      52,850   SH       DEFINED        5      52,850
VODAFONE GROUP
 PLC                          ADR        92857W209  104,493    3,708,049 SH       DEFINED        6     3,331,001           377,048
VOLCANO CORP                COMMON       928645100   1,363      47,569   SH       DEFINED        6      47,569
VORNADO REALTY
 TRUST                       REIT        929042109   27,571     328,308  SH       DEFINED        6      328,308
VORNADO RLTY TR SH
 BEN INT                 Common Stock    929042109   5,886      70,094   SH       DEFINED        2      70,094
VULCAN MATLS CO
 COM                     Common Stock    929160109     71        1,800   SH       DEFINED        2       1,800
WABCO HOLDINGS INC          COMMON       92927K102   2,289      43,250   SH       DEFINED        6      43,250
WADDELL & REED
 FINANCIAL INC              COMMON       930059100   7,128      235,411  SH       DEFINED        6      235,411
WAGEWORKS INC               COMMON       930427109    453       30,050   SH       DEFINED        6      30,050
WALGREEN CO                 COMMON       931422109  188,710    6,379,664 SH       DEFINED        6     6,375,285             4,378
WALGREEN CO COM          Common Stock    931422109    308       10,400   SH       DEFINED        2      10,400
WAL-MART STORES
 INC                     Common Stock    931142103    733       10,509   SH       DEFINED        5      10,509
WAL-MART STORES
 INC                        COMMON       931142103   1,818      26,069   SH       DEFINED        6      26,069
WAL-MART STORES
 INC COM                 Common Stock    931142103   1,346      19,300   SH       DEFINED        2      19,300
WAL-MART STORES
 INC COM                     STOCK       931142103     30         431    SH       DEFINED        1        431
WALT DISNEY CO/THE          COMMON       254687106   11,529     237,720  SH       DEFINED        6      237,720
WALTER ENERGY INC           COMMON       93317Q105   3,487      78,956   SH       DEFINED        6      78,956
WALTER ENERGY INC
 COM                     Common Stock    93317Q105     44        1,000   SH       DEFINED        2       1,000
WALTER INVESTMENT
 MANAGEMENT C                REIT        93317W102    335       14,300   SH       DEFINED        6      14,300
WARNACO GROUP
 INC/THE                    COMMON       934390402   11,291     265,168  SH       DEFINED        6      262,876              2,292
WASHINGTON REAL
 ESTATE INVESTM              REIT        939653101   17,127     602,006  SH       DEFINED        6      596,198              5,808
WASHINGTON REAL
ESTATE INVT SH BEN
 INT                         REIT        939653101    650       22,841   SH       DEFINED        2      22,841
WASTE MANAGEMENT
 INC                        COMMON       94106L109  202,635    6,066,917 SH       DEFINED        6     5,981,347            85,569
WASTE MGMT INC DEL
 COM                     Common Stock    94106L109    124        3,700   SH       DEFINED        2       3,700
WASTE MGMT INC DEL
 COM                     Common Stock    94106L109   2,923      87,500   SH       DEFINED        8                          87,500
WATERS CORP COM          Common Stock    941848103     72         900    SH       DEFINED        2        900
WATSON
 PHARMACEUTICALS INC        COMMON       942683103   8,738      118,100  SH       DEFINED        6      118,100
WATSON
PHARMACEUTICALS INC
 COM                     Common Stock    942683103    141        1,900   SH       DEFINED        2       1,900
WEATHERFORD
INTERNATIONAL LTD           COMMON       H27013103   1,384      109,600  SH       DEFINED        6      109,600
WEB.COM GROUP INC           COMMON       94733A104   1,552      84,700   SH       DEFINED        6      84,700
WEBMD HEALTH CORP           COMMON       94770V102    615       30,000   SH       DEFINED        6      30,000
WEBSTER FINANCIAL
 CORP                       COMMON       947890109   2,051      94,707   SH       DEFINED        6      94,707
WEIGHT WATCHERS
 INTERNATIONAL              COMMON       948626106  174,276    3,380,055 SH       DEFINED        6     3,349,024            31,031
WEINGARTEN REALTY
 INVESTORS                   REIT        948741103    227        8,600   SH       DEFINED        6       8,600
WEINGARTEN RLTY
 INVS SH BEN INT             REIT        948741103   1,192      45,250   SH       DEFINED        2      45,250
WELLCARE HEALTH
 PLANS INC               Common Stock    94946T106    687       12,962   SH       DEFINED        5      12,962<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
WELLPOINT INC               COMMON       94973V107   4,657      73,000   SH       DEFINED        6      73,000
WELLPOINT INC COM        Common Stock    94973V107    204        3,200   SH       DEFINED        2       3,200
WELLS FARGO & CO            COMMON       949746101   58,452    1,747,964 SH       DEFINED        6     1,747,964
WELLS FARGO & CO
 NEW COM                 Common Stock    949746101   1,636      48,920   SH       DEFINED        2      48,920
WELLS FARGO & CO
 NEW COM                     STOCK       949746101     17         500    SH       DEFINED        1        500
WELLS FARGO & CO
NEW PERP PFD CNV A           Stock       949746804   2,698       2,400   PRN      DEFINED        8
WERNER
 ENTERPRISES INC            COMMON       950755108   13,935     583,287  SH       DEFINED        6      577,137              6,150
WESBANCO INC                COMMON       950810101   12,850     604,401  SH       DEFINED        6      599,384              5,017
WESCO
 INTERNATIONAL INC          COMMON       95082P105   4,303      74,770   SH       DEFINED        6      74,770
WEST
PHARMACEUTICAL
 SERVICES I                 COMMON       955306105   2,280      45,148   SH       DEFINED        6      45,148
WESTERN ALLIANCE
 BANCORP                    COMMON       957638109   1,216      129,913  SH       DEFINED        6      129,913
WESTERN DIGITAL
 CORP                       COMMON       958102105   8,549      280,469  SH       DEFINED        6      280,469
WESTERN DIGITAL
 CORP COM                Common Stock    958102105     67        2,200   SH       DEFINED        2       2,200
WESTERN REFINING
 INC                     Common Stock    959319104    602       27,051   SH       DEFINED        5      27,051
WESTERN REFNG INC
 COM                       SPON ADR      959319104     0          15     SH       DEFINED        1        15
WESTERN UN CO COM        Common Stock    959802109     99        5,900   SH       DEFINED        2       5,900
WESTERN UNION
 CO/THE                     COMMON       959802109   3,304      196,180  SH       DEFINED        6      196,180
WEYERHAEUSER CO
 COM                     Common Stock    962166104    106        4,739   SH       DEFINED        2       4,739
WHIRLPOOL CORP
 COM                     Common Stock    963320106     98        1,600   SH       DEFINED        2       1,600
WHITING PETE CORP
NEW COM                  Common Stock    966387102     82        2,000   SH       DEFINED        2       2,000
WHITING PETROLEUM
 CORP                       COMMON       966387102   56,888    1,383,470 SH       DEFINED        6     1,372,598            10,872
WHOLE FOODS
 MARKET INC                 COMMON       966837106    867        9,100   SH       DEFINED        6       9,100
WHOLE FOODS MKT
 INC                     Common Stock    966837106    384        4,031   SH       DEFINED        5       4,031
WHOLE FOODS MKT
 INC COM                 Common Stock    966837106    143        1,500   SH       DEFINED        2       1,500
WHOLE FOODS MKT
 INC COM                 Common Stock    966837106   2,669      28,000   SH       DEFINED        8                          28,000
WILLIAMS COS INC DEL
 COM                     Common Stock    969457100   14,451     501,428  SH       DEFINED        4      501,428
WILLIAMS COS INC DEL
 COM                     Common Stock    969457100   20,226     701,800  SH       DEFINED        3      155,300   80,800   465,700
WILLIAMS COS INC DEL
 COM                     Common Stock    969457100   3,113      108,000  SH       DEFINED        7                         108,000
WILLIAMS COS INC DEL
 COM                     Common Stock    969457100   9,873      342,586  SH       DEFINED        2      342,586
WILLIAMS COS INC DEL
 COM                         STOCK       969457100    106        3,679   SH       DEFINED        1       3,679
WILLIAMS COS INC DEL
 COM                     Common Stock    969457100   2,770      96,100   SH       DEFINED        8                          96,100
WILLIAMS COS INC/THE        COMMON       969457100  200,261    6,948,668 SH       DEFINED        6     6,847,798           100,870
WINDSTREAM CORP
 COM                     Common Stock    97381W104     39        4,000   SH       DEFINED        2       4,000
WINNEBAGO
 INDUSTRIES INC             COMMON       974637100   3,015      295,900  SH       DEFINED        6      295,900
WINTHROP RLTY TR SH
 BEN INT NEW                 REIT        976391300    104        8,520   SH       DEFINED        2       8,520
WINTRUST FINANCIAL
 CORP                       COMMON       97650W108   1,534      43,200   SH       DEFINED        6      43,200
WIPRO LTD SPON ADR
 1 SH                        STOCK       97651M109    174       18,960   SH       DEFINED        1      18,960
WISCONSIN ENERGY
 CORP                       COMMON       976657106   11,816     298,600  SH       DEFINED        6      298,600
WISCONSIN ENERGY
 CORP COM                Common Stock    976657106   5,053      127,700  SH       DEFINED        4      127,700
WISCONSIN ENERGY
 CORP COM                Common Stock    976657106   5,251      132,700  SH       DEFINED        3      59,300    31,800    41,600
WISCONSIN ENERGY
 CORP COM                Common Stock    976657106     87        2,200   SH       DEFINED        2       2,200
WISCONSIN ENERGY
 CORP COM                  SPON ADR      976657106     58        1,466   SH       DEFINED        1       1,466
WMS INDUSTRIES INC          COMMON       929297109   3,431      172,000  SH       DEFINED        6      172,000
WNS HOLDINGS LTD              ADR        92932M101   1,349      138,650  SH       DEFINED        6      138,650
WOLVERINE WORLD
 WIDE INC                   COMMON       978097103   14,044     362,135  SH       DEFINED        6      358,610              3,525
WORLD ACCEPTANCE
 CORP                       COMMON       981419104   1,119      17,000   SH       DEFINED        6      17,000
WORLD FUEL
 SERVICES CORP              COMMON       981475106   1,046      27,500   SH       DEFINED        6      27,500
WPX ENERGY INC              COMMON       98212B103   1,122      69,341   SH       DEFINED        6      69,341
WPX ENERGY INC COM       Common Stock    98212B103     26        1,600   SH       DEFINED        2       1,600
WPX ENERGY INC COM         SPON ADR      98212B103     20        1,226   SH       DEFINED        1       1,226
WR BERKLEY CORP             COMMON       084423102   29,335     753,732  SH       DEFINED        6      749,731              4,001
WR GRACE & CO               COMMON       38388F108   5,449      108,000  SH       DEFINED        6      108,000
WRIGHT EXPRESS
 CORP                       COMMON       98233Q105   2,000      32,400   SH       DEFINED        6      32,400
WW GRAINGER INC             COMMON       384802104   3,677      19,229   SH       DEFINED        6      19,229
WYNDHAM
 WORLDWIDE CORP             COMMON       98310W108   1,400      26,550   SH       DEFINED        6      26,550
WYNN RESORTS LTD            COMMON       983134107   5,328      51,372   SH       DEFINED        6      51,372
WYNN RESORTS LTD
 COM                     Common Stock    983134107    104        1,000   SH       DEFINED        2       1,000
WYNN RESORTS LTD
 COM                     Common Stock    983134107    375        3,620   SH       DEFINED        8                           3,620
XCEL ENERGY INC
 COM                     Common Stock    98389B100   2,276      80,100   SH       DEFINED        3                          80,100
XCEL ENERGY INC
 COM                     Common Stock    98389B100   2,384      83,900   SH       DEFINED        2      83,900
XCEL ENERGY INC
 COM                         STOCK       98389B100     86        3,020   SH       DEFINED        1       3,020
XEROX CORP                  COMMON       984121103  204,560   25,992,373 SH       DEFINED        6    25,627,603           364,770
XEROX CORP COM           Common Stock    984121103    124       15,741   SH       DEFINED        2      15,741<br /><br />Amount and Type
                                                                  of Security                               Voting Authority
                                                               ------------------                     ----------------------------
                                                     MARKET
                           TITLE OF                  VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS          CUSIP    (X$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
--------------         ---------------   --------- ---------  ---------  --- ---- ---------- -------- ---------- ------  ---------
{S}                    {C}               {C}       {C}        {C}        {C} {C}  {C}        {C}      {C}        {C}     {C}
XEROX CORP COM           Common Stock    984121103   2,900      368,500  SH       DEFINED        8                         368,500
XILINX INC COM           Common Stock    983919101     70        2,100   SH       DEFINED        2       2,100
XL GROUP PLC                COMMON       G98290102   1,262      60,000   SH       DEFINED        6      60,000
XO GROUP INC                COMMON       983772104   1,220      137,500  SH       DEFINED        6      137,500
XYLEM INC COM            Common Stock    98419M100     55        2,200   SH       DEFINED        2       2,200
YAHOO INC COM            Common Stock    984332106    161       10,200   SH       DEFINED        2      10,200
YAHOO INC COM              SPON ADR      984332106    130        8,200   SH       DEFINED        1       8,200
YAHOO! INC                  COMMON       984332106  148,332    9,370,286 SH       DEFINED        6     9,370,286
YAMANA GOLD INC             COMMON       98462Y100    738       47,899   SH       DEFINED        6      29,211              18,688
YAMANA GOLD INC
 COM                       SPON ADR      98462Y100     2          144    SH       DEFINED        1        144
YELP INC                    COMMON       985817105   19,993     879,582  SH       DEFINED        6      879,582
YOUKU.COM INC                 ADR        98742U100   3,035      140,000  SH       DEFINED        6      140,000
YPF SA                        ADR        984245100   21,100    1,708,500 SH       DEFINED        6     1,708,500
YUM BRANDS INC           Common Stock    988498101    516        8,016   SH       DEFINED        5       8,016
YUM BRANDS INC COM       Common Stock    988498101    329        5,100   SH       DEFINED        2       5,100
YUM! BRANDS INC             COMMON       988498101   15,873     246,405  SH       DEFINED        6      246,405
ZEBRA TECHNOLOGIES
 CORP                       COMMON       989207105    825       24,000   SH       DEFINED        6      24,000
ZIMMER HLDGS INC
 COM                     Common Stock    98956P102    103        1,600   SH       DEFINED        2       1,600
ZIMMER HOLDINGS INC         COMMON       98956P102   1,802      28,000   SH       DEFINED        6      28,000
ZIONS
 BANCORPORATION             COMMON       989701107   3,408      175,500  SH       DEFINED        6      175,500