Massachusetts Financial Services

Massachusetts Financial Services Company as of March 31, 2012

Portfolio Holdings for Massachusetts Financial Services Company

Massachusetts Financial Services Company holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                COLUMN 1                  COLUMN 2   COLUMN 3      COLUMN 4            COLUMN 5       COLUMN 6 COLUMN 7          COLUMN 8

                                                                                     INVESTMENT                    VOTING
                                                                   SH/PRN   SH/ PUT/ DISCRETION OTHER            AUTHORITY
ISSUER                     CLASS      CUSIP      MARKET VALUE      AMOUNT   PRN CALL    TYPE     MGRS  (A)SOLE*  (B)SHARED  (C)NONE
----------------------- ----------- --------- ------------------ ---------- --- ---- ---------- ----- ---------- --------- ---------
{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}
3M CO                   COM         88579Y101        815,568,971  9,142,125 SH       SOLE              8,459,903         0   682,222
3M CO                   COM         88579Y101        433,087,341  4,854,695 SH       DEFINED        1  3,370,182         0 1,484,513
3M CO                   COM         88579Y101         83,248,809    933,178 SH       DEFINED        2    933,178         0         0
3M CO                   COM         88579Y101         22,899,939    256,697 SH       DEFINED        3    256,697         0         0
3M CO                   COM         88579Y101        170,890,765  1,915,601 SH       DEFINED        4  1,339,629         0   575,972
3M CO                   COM         88579Y101        156,567,297  1,755,042 SH       DEFINED        5  1,694,382         0    60,660
3M CO                   COM         88579Y101         15,859,397    177,776 SH       DEFINED        6    177,776         0         0
3M CO                   COM         88579Y101         46,609,816    522,473 SH       DEFINED        7    517,613         0     4,860
ABBOTT LABS             COM         002824100        888,244,344 14,492,484 SH       SOLE             13,559,521         0   932,963
ABBOTT LABS             COM         002824100        129,168,614  2,107,499 SH       DEFINED        1  1,102,593         0 1,004,906
ABBOTT LABS             COM         002824100         12,420,419    202,650 SH       DEFINED        4      4,420         0   198,230
ABBOTT LABS             COM         002824100          6,909,099    112,728 SH       DEFINED        5    112,728         0         0
ABBOTT LABS             COM         002824100         14,800,370    241,481 SH       DEFINED        6    241,481         0         0
ABBOTT LABS             COM         002824100         21,913,443    357,537 SH       DEFINED        7    357,537         0         0
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101      1,087,556,108 16,861,335 SH       SOLE             15,857,718         0 1,003,617
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101        567,276,339  8,794,982 SH       DEFINED        1  6,420,349         0 2,374,633
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101         96,481,487  1,495,837 SH       DEFINED        2  1,495,837         0         0
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101         25,189,185    390,530 SH       DEFINED        3    390,530         0         0
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101        188,264,535  2,918,830 SH       DEFINED        4  2,149,860         0   768,970
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101        178,238,462  2,763,387 SH       DEFINED        5  2,670,367         0    93,020
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101         38,305,518    593,884 SH       DEFINED        6    593,884         0         0
ACCENTURE PLC IRELAND   SHS CLASS
                        A           G1151C101         39,771,539    616,613 SH       DEFINED        7    615,693         0       920
ACCURIDE CORP NEW       COM NEW     00439T206          2,062,684    237,363 SH       SOLE                237,363         0         0
ACE LTD                 SHS         H0023R105        486,517,944  6,646,420 SH       SOLE              6,175,190         0   471,230
ACE LTD                 SHS         H0023R105         67,691,188    924,743 SH       DEFINED        1    362,090         0   562,653
ACE LTD                 SHS         H0023R105         19,723,008    269,440 SH       DEFINED        4    174,170         0    95,270
ACE LTD                 SHS         H0023R105          1,519,632     20,760 SH       DEFINED        5     20,760         0         0
ACE LTD                 SHS         H0023R105          5,753,374     78,598 SH       DEFINED        6     78,598         0         0
ACE LTD                 SHS         H0023R105         53,279,132    727,857 SH       DEFINED        7    712,077         0    15,780
ACME PACKET INC         COM         004764106          7,523,913    273,398 SH       SOLE                273,398         0         0
ACME PACKET INC         COM         004764106            123,840      4,500 SH       DEFINED        4      4,500         0         0
ACTIVE NETWORK INC      COM         00506D100          8,333,038    495,130 SH       SOLE                495,130         0         0
ACTIVE NETWORK INC      COM         00506D100            664,953     39,510 SH       DEFINED        1     10,880         0    28,630
ACTIVE NETWORK INC      COM         00506D100            148,777      8,840 SH       DEFINED        4      8,840         0         0
ACTIVISION BLIZZARD INC COM         00507V109          3,720,877    290,240 SH       SOLE                290,240         0         0
ADVANCE AUTO PARTS INC  COM         00751Y106        163,828,106  1,849,702 SH       SOLE              1,696,455         0   153,247
ADVANCE AUTO PARTS INC  COM         00751Y106         23,058,668    260,344 SH       DEFINED        1    120,938         0   139,406
ADVANCE AUTO PARTS INC  COM         00751Y106            860,546      9,716 SH       DEFINED        5      9,716         0         0
ADVANCE AUTO PARTS INC  COM         00751Y106          2,941,498     33,211 SH       DEFINED        6     33,211         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}
ADVANCED MICRO DEVICES
   INC                  COM         007903107          3,056,029    381,051 SH       SOLE                381,051         0         0
ADVANCED MICRO DEVICES
   INC                  COM         007903107          1,576,507    196,572 SH       DEFINED        1    196,572         0         0
ADVANCED MICRO DEVICES
   INC                  COM         007903107            145,691     18,166 SH       DEFINED        4     18,166         0         0
ADVISORY BRD CO         COM         00762W107         20,423,897    230,466 SH       SOLE                230,466         0         0
ADVISORY BRD CO         COM         00762W107          1,835,320     20,710 SH       DEFINED        1      5,960         0    14,750
AEROFLEX HLDG CORP      COM         007767106          1,557,372    139,800 SH       SOLE                139,800         0         0
AEROFLEX HLDG CORP      COM         007767106            145,266     13,040 SH       DEFINED        4     13,040         0         0
AES CORP                COM         00130H105        218,578,759 16,723,700 SH       SOLE             15,510,390         0 1,213,310
AES CORP                COM         00130H105         14,421,268  1,103,387 SH       DEFINED        1  1,090,067         0    13,320
AES CORP                COM         00130H105             95,411      7,300 SH       DEFINED        4      7,300         0         0
AES CORP                COM         00130H105          1,531,307    117,162 SH       DEFINED        6    117,162         0         0
AETNA INC NEW           COM         00817Y108         65,627,588  1,308,365 SH       SOLE              1,256,045         0    52,320
AETNA INC NEW           COM         00817Y108         18,820,935    375,218 SH       DEFINED        1    362,258         0    12,960
AETNA INC NEW           COM         00817Y108            180,576      3,600 SH       DEFINED        4      3,600         0         0
AETNA INC NEW           COM         00817Y108          1,804,406     35,973 SH       DEFINED        6     35,973         0         0
AFFILIATED MANAGERS
   GROUP                COM         008252108         79,561,313    711,576 SH       SOLE                711,576         0         0
AFFILIATED MANAGERS
   GROUP                COM         008252108          2,501,749     22,375 SH       DEFINED        1     22,375         0         0
AFLAC INC               COM         001055102          6,160,774    133,959 SH       SOLE                133,959         0         0
AFLAC INC               COM         001055102          3,085,929     67,100 SH       DEFINED        1     59,170         0     7,930
AGL RES INC             COM         001204106         55,324,595  1,410,622 SH       SOLE              1,336,762         0    73,860
AGL RES INC             COM         001204106          2,219,460     56,590 SH       DEFINED        1     56,590         0         0
AGL RES INC             COM         001204106          4,102,961    104,614 SH       DEFINED        4    104,614         0         0
AIR LEASE CORP          CL A        00912X302         18,096,043    751,809 SH       SOLE                751,809         0         0
AIR LEASE CORP          CL A        00912X302          1,737,132     72,170 SH       DEFINED        1     20,450         0    51,720
AIR METHODS CORP        COM PAR
                        $.06        009128307         19,475,073    223,210 SH       SOLE                223,210         0         0
AIR METHODS CORP        COM PAR
                        $.06        009128307          1,868,023     21,410 SH       DEFINED        1      6,100         0    15,310
AIR PRODS & CHEMS INC   COM         009158106        385,090,535  4,194,886 SH       SOLE              3,851,012         0   343,874
AIR PRODS & CHEMS INC   COM         009158106         50,566,286    550,831 SH       DEFINED        1    259,613         0   291,218
AIR PRODS & CHEMS INC   COM         009158106          1,892,824     20,619 SH       DEFINED        5     20,619         0         0
AIR PRODS & CHEMS INC   COM         009158106          6,596,840     71,861 SH       DEFINED        6     71,861         0         0
AIRGAS INC              COM         009363102        114,550,032  1,287,513 SH       SOLE              1,287,513         0         0
AIRGAS INC              COM         009363102         16,015,668    180,012 SH       DEFINED        1    176,352         0     3,660
AIRGAS INC              COM         009363102            237,550      2,670 SH       DEFINED        4      2,670         0         0
AIRGAS INC              COM         009363102          1,738,919     19,545 SH       DEFINED        6     19,545         0         0
AIRGAS INC              COM         009363102         11,633,539    130,758 SH       DEFINED        7    130,758         0         0
ALBEMARLE CORP          COM         012653101         29,031,825    454,190 SH       SOLE                454,190         0         0
ALBEMARLE CORP          COM         012653101            644,953     10,090 SH       DEFINED        1     10,090         0         0
ALEXANDRIA REAL ESTATE
   EQ IN                COM         015271109         12,532,215    171,369 SH       SOLE                171,369         0         0
ALEXION PHARMACEUTICALS
   INC                  COM         015351109        111,035,395  1,195,729 SH       SOLE              1,195,729         0         0
ALEXION PHARMACEUTICALS
   INC                  COM         015351109          3,624,326     39,030 SH       DEFINED        1     39,030         0         0
ALIGN TECHNOLOGY INC    COM         016255101         19,385,723    703,656 SH       SOLE                703,656         0         0
ALIGN TECHNOLOGY INC    COM         016255101          1,845,850     67,000 SH       DEFINED        1     19,120         0    47,880<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

ALLEGIANT TRAVEL CO     COM         01748X102         16,615,088    304,864 SH       SOLE                304,864         0         0
ALLEGIANT TRAVEL CO     COM         01748X102          1,800,680     33,040 SH       DEFINED        1      8,320         0    24,720
ALLERGAN INC            COM         018490102        123,681,574  1,296,045 SH       SOLE              1,296,045         0         0
ALLERGAN INC            COM         018490102         10,832,164    113,509 SH       DEFINED        1    113,509         0         0
ALLERGAN INC            COM         018490102          1,693,883     17,750 SH       DEFINED        4     17,750         0         0
ALLERGAN INC            COM         018490102          1,221,313     12,798 SH       DEFINED        5     12,798         0         0
ALLERGAN INC            COM         018490102          3,840,103     40,240 SH       DEFINED        7     40,240         0         0
ALLIANT ENERGY CORP     COM         018802108         40,782,704    941,429 SH       SOLE                880,279         0    61,150
ALLIANT ENERGY CORP     COM         018802108         10,474,299    241,789 SH       DEFINED        1        239         0   241,550
ALLIANT ENERGY CORP     COM         018802108         15,653,076    361,336 SH       DEFINED        4    280,626         0    80,710
ALLIANT ENERGY CORP     COM         018802108         12,344,034    284,950 SH       DEFINED        7    283,630         0     1,320
ALLIED WRLD ASSUR COM
   HLDG A               SHS         H01531104         22,832,844    332,501 SH       SOLE                332,501         0         0
ALLIED WRLD ASSUR COM
   HLDG A               SHS         H01531104             67,640        985 SH       DEFINED        1        985         0         0
ALLISON TRANSMISSION
   HLDGS I              COM         01973R101         30,836,244  1,291,300 SH       SOLE              1,291,300         0         0
ALLISON TRANSMISSION
   HLDGS I              COM         01973R101          2,108,126     88,280 SH       DEFINED        1     25,400         0    62,880
ALMOST FAMILY INC       COM         020409108          2,420,100     93,045 SH       SOLE                 93,045         0         0
ALTERA CORP             COM         021441100        117,949,070  2,962,056 SH       SOLE              2,894,076         0    67,980
ALTERA CORP             COM         021441100         14,350,730    360,390 SH       DEFINED        1    101,920         0   258,470
ALTERA CORP             COM         021441100          9,937,479    249,560 SH       DEFINED        4    162,750         0    86,810
ALTERA CORP             COM         021441100         18,957,107    476,070 SH       DEFINED        7    474,620         0     1,450
ALTERRA CAPITAL
   HOLDINGS LIM         COM         G0229R108          1,677,080     72,980 SH       SOLE                 72,980         0         0
ALTRA HOLDINGS INC      COM         02208R106          1,217,280     63,400 SH       SOLE                 63,400         0         0
ALTRIA GROUP INC        COM         02209S103        261,594,850  8,474,080 SH       SOLE              7,851,955         0   622,125
ALTRIA GROUP INC        COM         02209S103         39,417,780  1,276,896 SH       DEFINED        1    653,414         0   623,482
ALTRIA GROUP INC        COM         02209S103          1,357,910     43,988 SH       DEFINED        5     43,988         0         0
ALTRIA GROUP INC        COM         02209S103          6,501,592    210,612 SH       DEFINED        6    210,612         0         0
ALTRIA GROUP INC        COM         02209S103          1,389,335     45,006 SH       DEFINED        7     41,090         0     3,916
AMAZON COM INC          COM         023135106         37,989,053    187,591 SH       SOLE                187,591         0         0
AMAZON COM INC          COM         023135106            943,697      4,660 SH       DEFINED        1      4,660         0         0
AMAZON COM INC          COM         023135106          1,028,751      5,080 SH       DEFINED        4      5,080         0         0
AMERICA MOVIL SAB DE CV SPON ADR
                        L SHS       02364W105         39,164,011  1,577,286 SH       SOLE              1,577,286         0         0
AMERICA MOVIL SAB DE CV SPON ADR
                        L SHS       02364W105          7,069,349    284,710 SH       DEFINED        1    123,190         0   161,520
AMERICA MOVIL SAB DE CV SPON ADR
                        L SHS       02364W105            490,889     19,770 SH       DEFINED        6     19,770         0         0
AMERICAN EAGLE
   OUTFITTERS NE        COM         02553E106         25,989,991  1,511,925 SH       SOLE              1,511,925         0         0
AMERICAN EAGLE
   OUTFITTERS NE        COM         02553E106          1,442,929     83,940 SH       DEFINED        1     83,940         0         0
AMERICAN EAGLE
   OUTFITTERS NE        COM         02553E106             78,558      4,570 SH       DEFINED        4      4,570         0         0
AMERICAN ELEC PWR INC   COM         025537101        267,444,315  6,932,201 SH       SOLE              6,413,599         0   518,602
AMERICAN ELEC PWR INC   COM         025537101         21,521,236    557,834 SH       DEFINED        1    249,444         0   308,390
AMERICAN ELEC PWR INC   COM         025537101         10,836,080    280,873 SH       DEFINED        4    180,743         0   100,130
AMERICAN ELEC PWR INC   COM         025537101          1,530,507     39,671 SH       DEFINED        6     39,671         0         0
AMERICAN ELEC PWR INC   COM         025537101         22,612,857    586,129 SH       DEFINED        7    584,489         0     1,640
AMERICAN EXPRESS CO     COM         025816109        138,483,165  2,393,418 SH       SOLE              2,191,584         0   201,834<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

AMERICAN EXPRESS CO     COM         025816109        149,333,362  2,580,943 SH       DEFINED        1  1,698,642         0   882,301
AMERICAN EXPRESS CO     COM         025816109         47,239,276    816,441 SH       DEFINED        2    816,441         0         0
AMERICAN EXPRESS CO     COM         025816109         13,879,110    239,874 SH       DEFINED        3    239,874         0         0
AMERICAN EXPRESS CO     COM         025816109         92,218,425  1,593,820 SH       DEFINED        4  1,150,498         0   443,322
AMERICAN EXPRESS CO     COM         025816109         90,014,075  1,555,722 SH       DEFINED        5  1,499,694         0    56,028
AMERICAN EXPRESS CO     COM         025816109          3,109,686     53,745 SH       DEFINED        6     53,745         0         0
AMERICAN EXPRESS CO     COM         025816109         29,203,099    504,720 SH       DEFINED        7    502,380         0     2,340
AMERICAN TOWER CORP NEW COM         03027X100        316,913,464  5,028,776 SH       SOLE              4,857,456         0   171,320
AMERICAN TOWER CORP NEW COM         03027X100         25,645,422    406,941 SH       DEFINED        1    124,971         0   281,970
AMERICAN TOWER CORP NEW COM         03027X100         16,519,370    262,129 SH       DEFINED        4    167,679         0    94,450
AMERICAN TOWER CORP NEW COM         03027X100         26,246,570    416,480 SH       DEFINED        7    414,940         0     1,540
AMERICAN WTR WKS CO INC
   NEW                  COM         030420103          2,724,170     80,052 SH       SOLE                 80,052         0         0
AMERICAN WTR WKS CO INC
   NEW                  COM         030420103          5,343,152    157,013 SH       DEFINED        4    157,013         0         0
AMERISOURCEBERGEN CORP  COM         03073E105         42,011,359  1,058,754 SH       SOLE                990,404         0    68,350
AMERISOURCEBERGEN CORP  COM         03073E105          2,310,051     58,217 SH       DEFINED        1     49,421         0     8,796
AMERISOURCEBERGEN CORP  COM         03073E105            128,960      3,250 SH       DEFINED        4      3,250         0         0
AMERISTAR CASINOS INC   COM         03070Q101            885,223     47,516 SH       SOLE                 47,516         0         0
AMERISTAR CASINOS INC   COM         03070Q101             44,414      2,384 SH       DEFINED        1      2,384         0         0
AMETEK INC NEW          COM         031100100         25,611,825    527,970 SH       SOLE                527,970         0         0
AMGEN INC               COM         031162100         18,475,059    271,732 SH       SOLE                271,732         0         0
AMGEN INC               COM         031162100          9,881,123    145,332 SH       DEFINED        1    141,762         0     3,570
AMGEN INC               COM         031162100          2,220,893     32,665 SH       DEFINED        6     32,665         0         0
AMGEN INC               COM         031162100          5,058,456     74,400 SH       DEFINED        7     64,000         0    10,400
AMPHENOL CORP NEW       CL A        032095101        132,025,654  2,208,895 SH       SOLE              2,166,465         0    42,430
AMPHENOL CORP NEW       CL A        032095101        119,169,785  1,993,806 SH       DEFINED        1  1,600,516         0   393,290
AMPHENOL CORP NEW       CL A        032095101         42,452,240    710,260 SH       DEFINED        2    710,260         0         0
AMPHENOL CORP NEW       CL A        032095101         12,335,333    206,380 SH       DEFINED        3    206,380         0         0
AMPHENOL CORP NEW       CL A        032095101         65,249,953  1,091,684 SH       DEFINED        4    828,504         0   263,180
AMPHENOL CORP NEW       CL A        032095101         82,647,326  1,382,756 SH       DEFINED        5  1,333,476         0    49,280
AMPHENOL CORP NEW       CL A        032095101          2,804,647     46,924 SH       DEFINED        6     46,924         0         0
AMPHENOL CORP NEW       CL A        032095101          6,793,458    113,660 SH       DEFINED        7    113,660         0         0
ANACOR PHARMACEUTICALS
   INC                  COM         032420101          7,363,048  1,250,093 SH       SOLE              1,250,093         0         0
ANACOR PHARMACEUTICALS
   INC                  COM         032420101            775,242    131,620 SH       DEFINED        1     30,730         0   100,890
ANADARKO PETE CORP      COM         032511107         27,975,997    357,110 SH       SOLE                311,350         0    45,760
ANN INC                 COM         035623107          1,745,837     60,958 SH       SOLE                 60,958         0         0
ANNALY CAP MGMT INC     COM         035710409         11,603,843    733,492 SH       SOLE                733,492         0         0
ANNALY CAP MGMT INC     COM         035710409          4,722,049    298,486 SH       DEFINED        1    298,486         0         0
ANNALY CAP MGMT INC     COM         035710409          1,117,810     70,658 SH       DEFINED        6     70,658         0         0
APACHE CORP             COM         037411105        342,235,038  3,407,358 SH       SOLE              3,111,336         0   296,022
APACHE CORP             COM         037411105         48,198,946    479,878 SH       DEFINED        1    266,678         0   213,200
APACHE CORP             COM         037411105          1,508,006     15,014 SH       DEFINED        5     15,014         0         0
APACHE CORP             COM         037411105          6,366,289     63,384 SH       DEFINED        6     63,384         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

APACHE CORP             COM         037411105          4,200,401     41,820 SH       DEFINED        7     37,120         0     4,700
APPLE INC               COM         037833100      1,349,636,567  2,251,383 SH       SOLE              2,222,723         0    28,660
APPLE INC               COM         037833100        193,609,027    322,967 SH       DEFINED        1    203,905         0   119,062
APPLE INC               COM         037833100         73,730,014    122,992 SH       DEFINED        4     85,182         0    37,810
APPLE INC               COM         037833100          8,646,156     14,423 SH       DEFINED        5     14,423         0         0
APPLE INC               COM         037833100          8,140,803     13,580 SH       DEFINED        6     13,580         0         0
APPLE INC               COM         037833100        180,358,942    300,864 SH       DEFINED        7    296,514         0     4,350
APPLIED MATLS INC       COM         038222105            506,308     40,700 SH       DEFINED        7     40,700         0         0
AQUA AMERICA INC        COM         03836W103          1,751,392     78,573 SH       DEFINED        4     78,573         0         0
ARCOS DORADOS HOLDINGS  SHS CLASS
   INC                  -A -        G0457F107         24,877,314  1,375,197 SH       SOLE              1,375,197         0         0
ARCOS DORADOS HOLDINGS  SHS CLASS
   INC                  -A -        G0457F107          1,677,305     92,720 SH       DEFINED        1          0         0    92,720
ARIBA INC               COM NEW     04033V203         11,859,468    362,564 SH       SOLE                362,564         0         0
ARIBA INC               COM NEW     04033V203          1,225,317     37,460 SH       DEFINED        1     10,040         0    27,420
ARUBA NETWORKS INC      COM         043176106         23,659,511  1,061,917 SH       SOLE              1,061,917         0         0
ARUBA NETWORKS INC      COM         043176106          2,296,845    103,090 SH       DEFINED        1     29,000         0    74,090
ASML HOLDING N V        NY REG
                        SHS         N07059186        353,459,523  7,049,452 SH       SOLE              6,788,016         0   261,436
ASML HOLDING N V        NY REG
                        SHS         N07059186         73,600,857  1,467,907 SH       DEFINED        1    688,611         0   779,296
ASML HOLDING N V        NY REG
                        SHS         N07059186         23,171,248    462,131 SH       DEFINED        4    132,588         0   329,543
ASML HOLDING N V        NY REG
                        SHS         N07059186          1,866,562     37,227 SH       DEFINED        5     37,227         0         0
ASML HOLDING N V        NY REG
                        SHS         N07059186         31,921,882    636,655 SH       DEFINED        6    636,655         0         0
ASML HOLDING N V        NY REG
                        SHS         N07059186         26,422,476    526,974 SH       DEFINED        7    521,114         0     5,860
ASPEN INSURANCE
   HOLDINGS LTD         SHS         G05384105          1,780,029     63,709 SH       SOLE                 63,709         0         0
ASSURED GUARANTY LTD    COM         G0585R106          4,947,740    299,500 SH       SOLE                299,500         0         0
ASSURED GUARANTY LTD    COM         G0585R106          4,067,042    246,189 SH       DEFINED        1    246,189         0         0
ASSURED GUARANTY LTD    COM         G0585R106            960,093     58,117 SH       DEFINED        6     58,117         0         0
AT^T INC                COM         00206R102        963,651,274 30,856,589 SH       SOLE             28,448,755         0 2,407,834
AT^T INC                COM         00206R102        160,233,978  5,130,771 SH       DEFINED        1  2,165,569         0 2,965,202
AT^T INC                COM         00206R102         25,622,060    820,431 SH       DEFINED        4    307,171         0   513,260
AT^T INC                COM         00206R102          7,564,281    242,212 SH       DEFINED        5    242,212         0         0
AT^T INC                COM         00206R102         16,909,296    541,444 SH       DEFINED        6    541,444         0         0
AT^T INC                COM         00206R102         42,138,639  1,349,300 SH       DEFINED        7  1,316,820         0    32,480
ATLAS AIR WORLDWIDE
   HLDGS IN             COM NEW     049164205         22,830,930    463,949 SH       SOLE                463,949         0         0
ATLAS AIR WORLDWIDE
   HLDGS IN             COM NEW     049164205          2,268,581     46,100 SH       DEFINED        1     12,670         0    33,430
ATMEL CORP              COM         049513104          6,678,671    677,350 SH       SOLE                677,350         0         0
ATMEL CORP              COM         049513104             75,725      7,680 SH       DEFINED        1      7,680         0         0
ATMEL CORP              COM         049513104            184,481     18,710 SH       DEFINED        4     18,710         0         0
ATMOS ENERGY CORP       COM         049560105          2,625,872     83,467 SH       DEFINED        4     83,467         0         0
ATWOOD OCEANICS INC     COM         050095108         15,515,600    345,636 SH       SOLE                345,636         0         0
ATWOOD OCEANICS INC     COM         050095108          1,533,891     34,170 SH       DEFINED        1      9,560         0    24,610
AUTODESK INC            COM         052769106        177,970,878  4,205,361 SH       SOLE              4,155,691         0    49,670
AUTODESK INC            COM         052769106        101,868,641  2,407,104 SH       DEFINED        1  1,949,644         0   457,460
AUTODESK INC            COM         052769106         34,300,445    810,502 SH       DEFINED        2    810,502         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

AUTODESK INC            COM         052769106         10,082,317    238,240 SH       DEFINED        3    238,240         0         0
AUTODESK INC            COM         052769106         53,342,075  1,260,446 SH       DEFINED        4    960,046         0   300,400
AUTODESK INC            COM         052769106         66,606,221  1,573,871 SH       DEFINED        5  1,517,741         0    56,130
AUTODESK INC            COM         052769106          2,321,379     54,853 SH       DEFINED        6     54,853         0         0
AUTODESK INC            COM         052769106         12,960,246    306,244 SH       DEFINED        7    306,244         0         0
AUTOMATIC DATA
   PROCESSING IN        COM         053015103          5,157,506     93,450 SH       SOLE                 93,450         0         0
AUTOMATIC DATA
   PROCESSING IN        COM         053015103             16,281        295 SH       DEFINED        1        295         0         0
AVALONBAY CMNTYS INC    COM         053484101         18,137,325    128,315 SH       SOLE                128,315         0         0
AVERY DENNISON CORP     COM         053611109          1,259,434     41,800 SH       DEFINED        7     34,700         0     7,100
AVON PRODS INC          COM         054303102            749,309     38,704 SH       SOLE                 38,704         0         0
AVON PRODS INC          COM         054303102            901,402     46,560 SH       DEFINED        1     46,560         0         0
BALL CORP               COM         058498106         24,178,445    563,863 SH       SOLE                563,863         0         0
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107         36,461,699  3,976,194 SH       SOLE              3,976,194         0         0
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107         79,894,918  8,712,641 SH       DEFINED        1  6,565,230         0 2,147,411
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107         20,699,450  2,257,301 SH       DEFINED        2  2,257,301         0         0
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107          4,907,967    535,220 SH       DEFINED        3    535,220         0         0
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107         39,775,489  4,337,567 SH       DEFINED        4  2,867,387         0 1,470,180
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107         41,583,236  4,534,704 SH       DEFINED        5  4,379,794         0   154,910
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107         10,025,313  1,093,273 SH       DEFINED        6  1,093,273         0         0
BANCO SANTANDER BRASIL  ADS REP 1
   S A                  UNIT        05967A107          8,289,222    903,950 SH       DEFINED        7    903,950         0         0
BANCO SANTANDER CHILE   SP ADR
   NEW                  REP COM     05965X109         31,904,093    370,590 SH       SOLE                370,590         0         0
BANCO SANTANDER CHILE   SP ADR
   NEW                  REP COM     05965X109         17,995,909    209,036 SH       DEFINED        1     67,980         0   141,056
BANCO SANTANDER CHILE   SP ADR
   NEW                  REP COM     05965X109          5,408,174     62,820 SH       DEFINED        4          0         0    62,820
BANCO SANTANDER CHILE   SP ADR
   NEW                  REP COM     05965X109         11,144,351    129,450 SH       DEFINED        6    129,450         0         0
BANCO SANTANDER SA      ADR         05964H105          3,028,576    394,860 SH       SOLE                394,860         0         0
BANCO SANTANDER SA      ADR         05964H105            759,506     99,023 SH       DEFINED        7     93,891         0     5,132
BANCOLOMBIA S A         SPON ADR
                        PREF        05968L102          6,224,107     96,259 SH       SOLE                 96,259         0         0
BANCOLOMBIA S A         SPON ADR
                        PREF        05968L102          1,061,071     16,410 SH       DEFINED        1      7,760         0     8,650
BANCOLOMBIA S A         SPON ADR
                        PREF        05968L102             80,178      1,240 SH       DEFINED        6      1,240         0         0
BANK OF AMERICA
   CORPORATION          COM         060505104        183,617,312 19,186,762 SH       SOLE             17,457,571         0 1,729,191
BANK OF AMERICA
   CORPORATION          COM         060505104         30,020,028  3,136,889 SH       DEFINED        1    724,731         0 2,412,158
BANK OF AMERICA
   CORPORATION          COM         060505104         14,037,888  1,466,864 SH       DEFINED        4    933,094         0   533,770
BANK OF AMERICA
   CORPORATION          COM         060505104            556,572     58,158 SH       DEFINED        5     58,158         0         0
BANK OF AMERICA
   CORPORATION          COM         060505104          1,921,120    200,744 SH       DEFINED        6    200,744         0         0
BANK OF AMERICA
   CORPORATION          COM         060505104         25,256,474  2,639,130 SH       DEFINED        7  2,529,290         0   109,840
BANK OF NEW YORK MELLON
   CORP                 COM         064058100        784,972,765 32,530,989 SH       SOLE             30,065,710         0 2,465,279
BANK OF NEW YORK MELLON
   CORP                 COM         064058100        414,863,277 17,192,842 SH       DEFINED        1 12,165,725         0 5,027,117
BANK OF NEW YORK MELLON
   CORP                 COM         064058100         74,321,317  3,080,038 SH       DEFINED        2  3,080,038         0         0
BANK OF NEW YORK MELLON
   CORP                 COM         064058100         19,766,234    819,156 SH       DEFINED        3    819,156         0         0
BANK OF NEW YORK MELLON
   CORP                 COM         064058100        144,007,864  5,968,001 SH       DEFINED        4  4,372,807         0 1,595,194
BANK OF NEW YORK MELLON
   CORP                 COM         064058100        139,006,101  5,760,717 SH       DEFINED        5  5,566,163         0   194,554
BANK OF NEW YORK MELLON
   CORP                 COM         064058100         15,074,373    624,715 SH       DEFINED        6    624,715         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

BANK OF NEW YORK MELLON
   CORP                 COM         064058100         19,158,979    793,990 SH       DEFINED        7    791,390         0     2,600
BARCLAYS PLC            ADR         06738E204          4,470,962    295,113 SH       SOLE                295,113         0         0
BARCLAYS PLC            ADR         06738E204          1,241,133     81,923 SH       DEFINED        7     81,923         0         0
BAXTER INTL INC         COM         071813109         34,753,342    581,354 SH       SOLE                537,354         0    44,000
BAXTER INTL INC         COM         071813109         10,332,973    172,850 SH       DEFINED        1          0         0   172,850
BAXTER INTL INC         COM         071813109          9,550,931    159,768 SH       DEFINED        4    101,848         0    57,920
BAXTER INTL INC         COM         071813109         12,235,173    204,670 SH       DEFINED        7    203,720         0       950
BBCN BANCORP INC        COM         073295107          1,857,052    166,851 SH       SOLE                166,851         0         0
BE AEROSPACE INC        COM         073302101         15,834,188    340,740 SH       SOLE                340,740         0         0
BEACON ROOFING SUPPLY
   INC                  COM         073685109         20,068,328    779,050 SH       SOLE                779,050         0         0
BEACON ROOFING SUPPLY
   INC                  COM         073685109          2,073,165     80,480 SH       DEFINED        1     18,660         0    61,820
BEAM INC                COM         073730103          7,799,767    133,170 SH       SOLE                133,170         0         0
BECTON DICKINSON & CO   COM         075887109        306,390,671  3,945,791 SH       SOLE              3,690,988         0   254,803
BECTON DICKINSON & CO   COM         075887109         49,333,219    635,328 SH       DEFINED        1    301,534         0   333,794
BECTON DICKINSON & CO   COM         075887109         11,075,918    142,639 SH       DEFINED        4     74,329         0    68,310
BECTON DICKINSON & CO   COM         075887109          3,393,693     43,705 SH       DEFINED        5     43,705         0         0
BECTON DICKINSON & CO   COM         075887109          3,926,993     50,573 SH       DEFINED        6     50,573         0         0
BECTON DICKINSON & CO   COM         075887109         15,724,902    202,510 SH       DEFINED        7    200,180         0     2,330
BERKSHIRE HATHAWAY INC
   DEL                  CL B NEW    084670702            916,184     11,290 SH       SOLE                 11,290         0         0
BERKSHIRE HATHAWAY INC
   DEL                  CL B NEW    084670702            754,857      9,302 SH       DEFINED        1      9,302         0         0
BERKSHIRE HATHAWAY INC
   DEL                  CL B NEW    084670702            173,499      2,138 SH       DEFINED        6      2,138         0         0
BERRY PETE CO           CL A        085789105          4,431,115     94,019 SH       SOLE                 94,019         0         0
BHP BILLITON PLC        SPONSORED
                        ADR         05545E209            589,248      9,600 SH       DEFINED        7      8,600         0     1,000
BIOGEN IDEC INC         COM         09062X103         87,629,141    695,635 SH       SOLE                695,635         0         0
BIOGEN IDEC INC         COM         09062X103          4,898,847     38,889 SH       DEFINED        1     38,889         0         0
BIOGEN IDEC INC         COM         09062X103            100,776        800 SH       DEFINED        4        800         0         0
BIOMED REALTY TRUST INC COM         09063H107         44,896,678  2,365,473 SH       SOLE              2,365,473         0         0
BIOMED REALTY TRUST INC COM         09063H107          2,004,857    105,630 SH       DEFINED        1    105,630         0         0
BIOMED REALTY TRUST INC COM         09063H107            113,121      5,960 SH       DEFINED        4      5,960         0         0
BLACKROCK INC           COM         09247X101        606,723,243  2,961,070 SH       SOLE              2,768,970         0   192,100
BLACKROCK INC           COM         09247X101         92,472,395    451,305 SH       DEFINED        1    169,571         0   281,734
BLACKROCK INC           COM         09247X101         25,338,959    123,665 SH       DEFINED        4     57,125         0    66,540
BLACKROCK INC           COM         09247X101          4,157,626     20,291 SH       DEFINED        5     20,291         0         0
BLACKROCK INC           COM         09247X101          7,678,218     37,473 SH       DEFINED        6     37,473         0         0
BLACKROCK INC           COM         09247X101         33,121,880    161,649 SH       DEFINED        7    161,125         0       524
BLOCK H & R INC         COM         093671105          7,579,214    460,183 SH       SOLE                460,183         0         0
BLOCK H & R INC         COM         093671105            522,330     31,714 SH       DEFINED        1     31,714         0         0
BMC SOFTWARE INC        COM         055921100          1,094,360     27,250 SH       SOLE                 27,250         0         0
BMC SOFTWARE INC        COM         055921100            102,810      2,560 SH       DEFINED        4      2,560         0         0
BOEING CO               COM         097023105          2,903,405     39,040 SH       DEFINED        7     34,040         0     5,000
BORGWARNER INC          COM         099724106          9,413,187    111,610 SH       SOLE                111,610         0         0
BORGWARNER INC          COM         099724106            270,394      3,206 SH       DEFINED        1        196         0     3,010<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

BOSTON PROPERTIES INC   COM         101121101         16,646,060    158,549 SH       SOLE                158,549         0         0
BP PLC                  SPONSORED
                        ADR         055622104          7,490,160    166,448 SH       SOLE                166,448         0         0
BP PLC                  SPONSORED
                        ADR         055622104          4,212,000     93,600 SH       DEFINED        7     86,600         0     7,000
BROADCOM CORP           CL A        111320107         67,147,273  1,708,582 SH       SOLE              1,708,582         0         0
BROADCOM CORP           CL A        111320107          2,839,582     72,254 SH       DEFINED        1     72,254         0         0
BROADCOM CORP           CL A        111320107            174,492      4,440 SH       DEFINED        4      4,440         0         0
BROOKDALE SR LIVING INC COM         112463104         39,271,902  2,097,858 SH       SOLE              2,097,858         0         0
BROOKDALE SR LIVING INC COM         112463104          3,676,795    196,410 SH       DEFINED        1     57,160         0   139,250
BROOKLINE BANCORP INC
   DEL                  COM         11373M107          6,573,589    701,557 SH       SOLE                701,557         0         0
BRUNSWICK CORP          COM         117043109          4,364,368    169,490 SH       SOLE                169,490         0         0
BUNGE LIMITED           COM         G16962105         30,761,864    449,472 SH       SOLE                449,472         0         0
BUNGE LIMITED           COM         G16962105         14,607,012    213,428 SH       DEFINED        1    205,618         0     7,810
BUNGE LIMITED           COM         G16962105             45,170        660 SH       DEFINED        4        660         0         0
BUNGE LIMITED           COM         G16962105          1,393,781     20,365 SH       DEFINED        6     20,365         0         0
BUNGE LIMITED           COM         G16962105          5,041,975     73,670 SH       DEFINED        7     73,670         0         0
CABLEVISION SYS CORP    CL A NY
                        CABLVS      12686C109          3,269,970    222,750 SH       SOLE                222,750         0         0
CABOT CORP              COM         127055101          1,631,230     38,220 SH       SOLE                 38,220         0         0
CABOT OIL & GAS CORP    COM         127097103        128,079,431  4,109,061 SH       SOLE              4,098,481         0    10,580
CABOT OIL & GAS CORP    COM         127097103          8,195,840    262,940 SH       DEFINED        1    155,150         0   107,790
CABOT OIL & GAS CORP    COM         127097103            113,147      3,630 SH       DEFINED        4      3,630         0         0
CABOT OIL & GAS CORP    COM         127097103         10,358,477    332,322 SH       DEFINED        7    332,322         0         0
CAI INTERNATIONAL INC   COM         12477X106          2,258,138    124,210 SH       SOLE                124,210         0         0
CALIX INC               COM         13100M509         19,487,826  2,284,622 SH       SOLE              2,284,622         0         0
CALIX INC               COM         13100M509          1,942,110    227,680 SH       DEFINED        1     62,490         0   165,190
CALLAWAY GOLF CO        COM         131193104          1,704,946    252,211 SH       SOLE                252,211         0         0
CALPINE CORP            COM NEW     131347304        170,498,007  9,906,915 SH       SOLE              9,102,625         0   804,290
CALPINE CORP            COM NEW     131347304             66,947      3,890 SH       DEFINED        1      3,890         0         0
CAMERON INTERNATIONAL
   CORP                 COM         13342B105        150,408,648  2,847,031 SH       SOLE              2,783,071         0    63,960
CAMERON INTERNATIONAL
   CORP                 COM         13342B105         17,773,174    336,422 SH       DEFINED        1     99,372         0   237,050
CAMERON INTERNATIONAL
   CORP                 COM         13342B105         12,324,182    233,280 SH       DEFINED        4    150,060         0    83,220
CAMERON INTERNATIONAL
   CORP                 COM         13342B105         15,680,472    296,810 SH       DEFINED        7    295,440         0     1,370
CANADIAN NATL RY CO     COM         136375102        540,446,168  6,804,056 SH       SOLE              6,455,199         0   348,857
CANADIAN NATL RY CO     COM         136375102        470,955,323  5,929,187 SH       DEFINED        1  4,024,396         0 1,904,791
CANADIAN NATL RY CO     COM         136375102         79,113,313    996,013 SH       DEFINED        2    996,013         0         0
CANADIAN NATL RY CO     COM         136375102         21,004,469    264,440 SH       DEFINED        3    264,440         0         0
CANADIAN NATL RY CO     COM         136375102        166,502,834  2,096,221 SH       DEFINED        4  1,433,015         0   663,206
CANADIAN NATL RY CO     COM         136375102        143,385,050  1,805,175 SH       DEFINED        5  1,742,285         0    62,890
CANADIAN NATL RY CO     COM         136375102         35,970,114    452,853 SH       DEFINED        6    452,853         0         0
CANADIAN NATL RY CO     COM         136375102          2,647,402     33,330 SH       DEFINED        7     33,330         0         0
CANON INC               ADR         138006309          4,612,868     96,787 SH       SOLE                 96,787         0         0
CANON INC               ADR         138006309          9,000,114    188,840 SH       DEFINED        7    178,040         0    10,800
CAPITAL ONE FINL CORP   COM         14040H105          7,024,745    126,027 SH       SOLE                126,027         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

CAPITAL ONE FINL CORP   COM         14040H105          4,252,795     76,297 SH       DEFINED        1     68,887         0     7,410
CAPITAL ONE FINL CORP   COM         14040H105            913,467     16,388 SH       DEFINED        6     16,388         0         0
CAPITALSOURCE INC       COM         14055X102          9,872,927  1,495,898 SH       SOLE              1,495,898         0         0
CAPSTEAD MTG CORP       COM NO
                        PAR         14067E506          1,690,823    128,972 SH       SOLE                128,972         0         0
CAREFUSION CORP         COM         14170T101          3,408,758    131,460 SH       SOLE                131,460         0         0
CATHAY GENERAL BANCORP  COM         149150104          1,854,889    104,796 SH       SOLE                104,796         0         0
CBS CORP NEW            CL B        124857202          1,094,038     32,263 SH       SOLE                 32,263         0         0
CBS CORP NEW            CL B        124857202             48,288      1,424 SH       DEFINED        1      1,424         0         0
CELADON GROUP INC       COM         150838100          1,250,842     80,440 SH       SOLE                 80,440         0         0
CELANESE CORP DEL       COM SER A   150870103        149,094,531  3,228,552 SH       SOLE              3,104,982         0   123,570
CELANESE CORP DEL       COM SER A   150870103          9,308,826    201,577 SH       DEFINED        1    198,007         0     3,570
CELANESE CORP DEL       COM SER A   150870103          9,331,593    202,070 SH       DEFINED        4    130,860         0    71,210
CELANESE CORP DEL       COM SER A   150870103         20,824,871    450,950 SH       DEFINED        7    449,770         0     1,180
CELGENE CORP            COM         151020104        101,406,548  1,308,134 SH       SOLE              1,308,134         0         0
CELGENE CORP            COM         151020104          5,152,134     66,462 SH       DEFINED        1     66,462         0         0
CELGENE CORP            COM         151020104             64,342        830 SH       DEFINED        4        830         0         0
CELLCOM ISRAEL LTD      SHS         M2196U109         38,316,533  3,092,537 SH       SOLE              2,831,337         0   261,200
CENOVUS ENERGY INC      COM         15135U109            750,787     20,890 SH       DEFINED        7     20,890         0         0
CENTERPOINT ENERGY INC  COM         15189T107         93,506,403  4,741,704 SH       SOLE              4,373,284         0   368,420
CENTERPOINT ENERGY INC  COM         15189T107          1,873,065     94,983 SH       DEFINED        1     94,983         0         0
CENTERPOINT ENERGY INC  COM         15189T107            441,412     22,384 SH       DEFINED        6     22,384         0         0
CENTURYLINK INC         COM         156700106        113,996,436  2,949,455 SH       SOLE              2,713,290         0   236,165
CENTURYLINK INC         COM         156700106          8,456,002    218,784 SH       DEFINED        1    213,624         0     5,160
CENTURYLINK INC         COM         156700106             58,439      1,512 SH       DEFINED        4      1,512         0         0
CENTURYLINK INC         COM         156700106          1,203,059     31,127 SH       DEFINED        6     31,127         0         0
CEPHEID                 COM         15670R107         17,989,242    430,056 SH       SOLE                430,056         0         0
CEPHEID                 COM         15670R107          1,717,122     41,050 SH       DEFINED        1     11,560         0    29,490
CERNER CORP             COM         156782104         99,455,135  1,305,871 SH       SOLE              1,305,871         0         0
CERNER CORP             COM         156782104          5,452,675     71,595 SH       DEFINED        1     39,985         0    31,610
CEVA INC                COM         157210105         19,359,798    852,479 SH       SOLE                852,479         0         0
CEVA INC                COM         157210105          1,614,908     71,110 SH       DEFINED        1     20,450         0    50,660
CEVA INC                COM         157210105            131,491      5,790 SH       DEFINED        4      5,790         0         0
CF INDS HLDGS INC       COM         125269100          7,114,583     38,952 SH       SOLE                 38,952         0         0
CF INDS HLDGS INC       COM         125269100          5,370,641     29,404 SH       DEFINED        1     28,194         0     1,210
CF INDS HLDGS INC       COM         125269100          1,188,138      6,505 SH       DEFINED        6      6,505         0         0
CHARTER COMMUNICATIONS
   INC D                CL A NEW    16117M305          7,345,035    115,761 SH       SOLE                115,761         0         0
CHECK POINT SOFTWARE
   TECH LT              ORD         M22465104        319,397,712  5,003,097 SH       SOLE              4,898,657         0   104,440
CHECK POINT SOFTWARE
   TECH LT              ORD         M22465104         23,828,152    373,248 SH       DEFINED        1    373,248         0         0
CHECK POINT SOFTWARE
   TECH LT              ORD         M22465104         14,142,475    221,530 SH       DEFINED        4    155,330         0    66,200
CHECK POINT SOFTWARE
   TECH LT              ORD         M22465104          1,408,693     22,066 SH       DEFINED        5     22,066         0         0
CHECK POINT SOFTWARE
   TECH LT              ORD         M22465104         15,096,883    236,480 SH       DEFINED        6    236,480         0         0
CHECK POINT SOFTWARE
   TECH LT              ORD         M22465104         33,383,532    522,925 SH       DEFINED        7    516,805         0     6,120<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

CHEMTURA CORP           COM NEW     163893209          2,660,426    156,680 SH       SOLE                156,680         0         0
CHENIERE ENERGY INC     COM NEW     16411R208          3,873,079    258,550 SH       SOLE                236,800         0    21,750
CHEVRON CORP NEW        COM         166764100        983,541,472  9,171,405 SH       SOLE              8,527,121         0   644,284
CHEVRON CORP NEW        COM         166764100        175,690,649  1,638,294 SH       DEFINED        1    732,224         0   906,070
CHEVRON CORP NEW        COM         166764100         34,469,081    321,420 SH       DEFINED        4    147,390         0   174,030
CHEVRON CORP NEW        COM         166764100          6,660,784     62,111 SH       DEFINED        5     62,111         0         0
CHEVRON CORP NEW        COM         166764100         18,013,639    167,975 SH       DEFINED        6    167,975         0         0
CHEVRON CORP NEW        COM         166764100         34,930,213    325,720 SH       DEFINED        7    324,370         0     1,350
CHILDRENS PL RETAIL
   STORES I             COM         168905107          3,180,805     61,560 SH       SOLE                 61,560         0         0
CHINA HYDROELECTRIC     SPONSORED
   CORP                 ADR         16949D101          3,225,259  1,596,663 SH       SOLE              1,449,623         0   147,040
CHINA UNICOM (HONG      SPONSORED
   KONG) LTD            ADR         16945R104         28,213,483  1,679,374 SH       SOLE              1,679,374         0         0
CHINA UNICOM (HONG      SPONSORED
   KONG) LTD            ADR         16945R104          2,607,007    155,179 SH       DEFINED        1    155,179         0         0
CHINA UNICOM (HONG      SPONSORED
   KONG) LTD            ADR         16945R104            416,976     24,820 SH       DEFINED        6     24,820         0         0
CHINA UNICOM (HONG      SPONSORED
   KONG) LTD            ADR         16945R104            454,625     27,061 SH       DEFINED        7     27,061         0         0
CHUBB CORP              COM         171232101        272,276,468  3,939,755 SH       SOLE              3,660,163         0   279,592
CHUBB CORP              COM         171232101         39,541,287    572,150 SH       DEFINED        1    292,093         0   280,057
CHUBB CORP              COM         171232101            147,895      2,140 SH       DEFINED        4      2,140         0         0
CHUBB CORP              COM         171232101          1,363,264     19,726 SH       DEFINED        5     19,726         0         0
CHUBB CORP              COM         171232101          4,875,572     70,548 SH       DEFINED        6     70,548         0         0
CHURCH & DWIGHT INC     COM         171340102         24,696,184    502,057 SH       SOLE                502,057         0         0
CINEMARK HOLDINGS INC   COM         17243V102          1,726,697     78,665 SH       SOLE                 78,665         0         0
CISCO SYS INC           COM         17275R102        409,437,414 19,358,743 SH       SOLE             17,906,697         0 1,452,046
CISCO SYS INC           COM         17275R102        189,326,319  8,951,599 SH       DEFINED        1  5,690,585         0 3,261,014
CISCO SYS INC           COM         17275R102         48,964,217  2,315,093 SH       DEFINED        2  2,315,093         0         0
CISCO SYS INC           COM         17275R102         14,151,042    669,080 SH       DEFINED        3    669,080         0         0
CISCO SYS INC           COM         17275R102         93,674,979  4,429,077 SH       DEFINED        4  3,243,117         0 1,185,960
CISCO SYS INC           COM         17275R102         95,419,579  4,511,564 SH       DEFINED        5  4,352,704         0   158,860
CISCO SYS INC           COM         17275R102          7,802,721    368,923 SH       DEFINED        6    368,923         0         0
CISCO SYS INC           COM         17275R102         31,655,417  1,496,710 SH       DEFINED        7  1,485,880         0    10,830
CIT GROUP INC           COM NEW     125581801          7,027,090    170,395 SH       SOLE                170,395         0         0
CITI TRENDS INC         COM         17306X102         20,667,858  1,803,478 SH       SOLE              1,803,478         0         0
CITI TRENDS INC         COM         17306X102            826,495     72,120 SH       DEFINED        1     14,220         0    57,900
CITIGROUP INC           COM NEW     172967424         16,868,483    461,518 SH       SOLE                461,518         0         0
CITIGROUP INC           COM NEW     172967424         11,931,199    326,435 SH       DEFINED        1    326,435         0         0
CITIGROUP INC           COM NEW     172967424          2,792,201     76,394 SH       DEFINED        6     76,394         0         0
CITRIX SYS INC          COM         177376100         70,572,369    894,340 SH       SOLE                894,340         0         0
CITRIX SYS INC          COM         177376100          5,154,401     65,320 SH       DEFINED        1     61,810         0     3,510
CITRIX SYS INC          COM         177376100            461,624      5,850 SH       DEFINED        4      5,850         0         0
CLIFFS NATURAL
   RESOURCES INC        COM         18683K101         36,142,223    521,834 SH       SOLE                497,834         0    24,000
CLIFFS NATURAL
   RESOURCES INC        COM         18683K101         10,704,756    154,559 SH       DEFINED        1    152,559         0     2,000
CLIFFS NATURAL
   RESOURCES INC        COM         18683K101          1,548,931     22,364 SH       DEFINED        6     22,364         0         0
CME GROUP INC           COM         12572Q105         72,788,195    251,575 SH       SOLE                251,575         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

CME GROUP INC           COM         12572Q105         10,570,093     36,533 SH       DEFINED        1     36,533         0         0
CME GROUP INC           COM         12572Q105          1,550,809      5,360 SH       DEFINED        4      5,360         0         0
CME GROUP INC           COM         12572Q105          1,058,948      3,660 SH       DEFINED        5      3,660         0         0
CME GROUP INC           COM         12572Q105            239,855        829 SH       DEFINED        6        829         0         0
CME GROUP INC           COM         12572Q105          6,501,245     22,470 SH       DEFINED        7     21,170         0     1,300
CMS ENERGY CORP         COM         125896100        269,554,494 12,252,477 SH       SOLE             11,389,637         0   862,840
CMS ENERGY CORP         COM         125896100          5,086,620    231,210 SH       DEFINED        1    231,210         0         0
CMS ENERGY CORP         COM         125896100          7,388,832    335,856 SH       DEFINED        4    335,856         0         0
CMS ENERGY CORP         COM         125896100            537,064     24,412 SH       DEFINED        6     24,412         0         0
CMS ENERGY CORP         COM         125896100         15,653,088    711,504 SH       DEFINED        7    711,504         0         0
COACH INC               COM         189754104          4,716,398     61,030 SH       DEFINED        7     53,130         0     7,900
COCA COLA CO            COM         191216100          2,285,577     30,882 SH       SOLE                 30,882         0         0
COCA COLA CO            COM         191216100          1,852,544     25,031 SH       DEFINED        1     25,031         0         0
COCA COLA CO            COM         191216100            437,029      5,905 SH       DEFINED        6      5,905         0         0
COCA COLA CO            COM         191216100            666,090      9,000 SH       DEFINED        7      8,000         0     1,000
COCA COLA ENTERPRISES
   INC NE               COM         19122T109         36,765,500  1,285,507 SH       SOLE              1,285,507         0         0
COCA COLA ENTERPRISES
   INC NE               COM         19122T109         14,617,746    511,110 SH       DEFINED        1    506,400         0     4,710
COCA COLA ENTERPRISES
   INC NE               COM         19122T109            141,570      4,950 SH       DEFINED        4      4,950         0         0
COCA COLA ENTERPRISES
   INC NE               COM         19122T109          1,511,796     52,860 SH       DEFINED        6     52,860         0         0
COEUR D ALENE MINES
   CORP IDA             COM NEW     192108504          4,478,551    188,650 SH       SOLE                188,650         0         0
COEUR D ALENE MINES
   CORP IDA             COM NEW     192108504          3,730,741    157,150 SH       DEFINED        1    157,150         0         0
COEUR D ALENE MINES
   CORP IDA             COM NEW     192108504            866,819     36,513 SH       DEFINED        6     36,513         0         0
COGENT COMM GROUP INC   COM NEW     19239V302            840,856     44,070 SH       SOLE                 44,070         0         0
COGENT COMM GROUP INC   COM NEW     19239V302             78,800      4,130 SH       DEFINED        4      4,130         0         0
COGNIZANT TECHNOLOGY
   SOLUTIO              CL A        192446102        190,493,803  2,475,553 SH       SOLE              2,475,553         0         0
COGNIZANT TECHNOLOGY
   SOLUTIO              CL A        192446102         14,153,260    183,928 SH       DEFINED        1    183,928         0         0
COGNIZANT TECHNOLOGY
   SOLUTIO              CL A        192446102         10,079,527    130,988 SH       DEFINED        4    130,988         0         0
COGNIZANT TECHNOLOGY
   SOLUTIO              CL A        192446102          3,874,740     50,354 SH       DEFINED        5     50,354         0         0
COGNIZANT TECHNOLOGY
   SOLUTIO              CL A        192446102            806,667     10,483 SH       DEFINED        6     10,483         0         0
COGNIZANT TECHNOLOGY
   SOLUTIO              CL A        192446102         12,493,602    162,360 SH       DEFINED        7    162,360         0         0
COLGATE PALMOLIVE CO    COM         194162103        261,736,135  2,676,786 SH       SOLE              2,607,756         0    69,030
COLGATE PALMOLIVE CO    COM         194162103        200,764,145  2,053,223 SH       DEFINED        1  1,466,742         0   586,481
COLGATE PALMOLIVE CO    COM         194162103         60,312,464    616,818 SH       DEFINED        2    616,818         0         0
COLGATE PALMOLIVE CO    COM         194162103         17,638,534    180,390 SH       DEFINED        3    180,390         0         0
COLGATE PALMOLIVE CO    COM         194162103        106,095,407  1,085,042 SH       DEFINED        4    812,762         0   272,280
COLGATE PALMOLIVE CO    COM         194162103        118,961,006  1,216,619 SH       DEFINED        5  1,173,799         0    42,820
COLGATE PALMOLIVE CO    COM         194162103          4,023,354     41,147 SH       DEFINED        6     41,147         0         0
COLGATE PALMOLIVE CO    COM         194162103         37,640,900    384,955 SH       DEFINED        7    374,205         0    10,750
COLUMBUS MCKINNON CORP
   N Y                  COM         199333105          1,470,173     90,250 SH       SOLE                 90,250         0         0
COMCAST CORP NEW        CL A        20030N101         54,414,762  1,813,221 SH       SOLE              1,677,491         0   135,730
COMCAST CORP NEW        CL A SPL    20030N200        803,452,215 27,226,439 SH       SOLE             25,391,225         0 1,835,214
COMCAST CORP NEW        CL A        20030N101         15,397,021    513,063 SH       DEFINED        1      5,433         0   507,630<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

COMCAST CORP NEW        CL A SPL    20030N200         56,239,597  1,905,781 SH       DEFINED        1    982,224         0   923,557
COMCAST CORP NEW        CL A        20030N101         14,576,157    485,710 SH       DEFINED        4    312,500         0   173,210
COMCAST CORP NEW        CL A SPL    20030N200          5,276,978    178,820 SH       DEFINED        4      8,980         0   169,840
COMCAST CORP NEW        CL A SPL    20030N200          2,787,190     94,449 SH       DEFINED        5     94,449         0         0
COMCAST CORP NEW        CL A SPL    20030N200          5,474,784    185,523 SH       DEFINED        6    185,523         0         0
COMCAST CORP NEW        CL A        20030N101         18,850,181    628,130 SH       DEFINED        7    625,220         0     2,910
COMCAST CORP NEW        CL A SPL    20030N200         17,857,003    605,117 SH       DEFINED        7    593,117         0    12,000
COMERICA INC            COM         200340107          6,091,608    188,245 SH       SOLE                188,245         0         0
COMMUNITY HEALTH SYS
   INC NEW              COM         203668108          1,178,542     52,992 SH       SOLE                 52,992         0         0
COMPANHIA DE BEBIDAS    SPON ADR
   DAS AME              PFD         20441W203         29,467,813    713,161 SH       SOLE                713,161         0         0
COMPANHIA DE BEBIDAS    SPON ADR
   DAS AME              PFD         20441W203          5,144,340    124,500 SH       DEFINED        1     56,830         0    67,670
COMPANHIA DE BEBIDAS    SPON ADR
   DAS AME              PFD         20441W203            376,838      9,120 SH       DEFINED        6      9,120         0         0
COMPANHIA PARANAENSE    SPON ADR
   ENERG C              PFD         20441B407         35,280,376  1,500,654 SH       SOLE              1,374,584         0   126,070
COMPANHIA SIDERURGICA   SPONSORED
   NACION               ADR         20440W105          9,763,903  1,032,125 SH       SOLE              1,032,125         0         0
COMPANHIA SIDERURGICA   SPONSORED
   NACION               ADR         20440W105          2,162,461    228,590 SH       DEFINED        1     69,140         0   159,450
COMPANHIA SIDERURGICA   SPONSORED
   NACION               ADR         20440W105            104,817     11,080 SH       DEFINED        6     11,080         0         0
COMPANIA CERVECERIAS    SPONSORED
   UNIDAS               ADR         204429104          2,252,973     28,631 SH       SOLE                 28,631         0         0
COMPANIA CERVECERIAS    SPONSORED
   UNIDAS               ADR         204429104          1,046,577     13,300 SH       DEFINED        1          0         0    13,300
COMPUWARE CORP          COM         205638109          2,616,641    284,727 SH       SOLE                284,727         0         0
CONCEPTUS INC           COM         206016107         32,394,042  2,252,715 SH       SOLE              2,252,715         0         0
CONCEPTUS INC           COM         206016107          2,902,891    201,870 SH       DEFINED        1     58,140         0   143,730
CONCHO RES INC          COM         20605P101          9,549,584     93,550 SH       SOLE                 93,550         0         0
CONCUR TECHNOLOGIES INC COM         206708109          6,400,165    111,540 SH       SOLE                111,540         0         0
CONOCOPHILLIPS          COM         20825C104          1,668,800     21,955 SH       SOLE                 21,955         0         0
CONSOL ENERGY INC       COM         20854P109          4,784,776    140,316 SH       SOLE                140,316         0         0
CONSTANT CONTACT INC    COM         210313102         16,465,856    552,731 SH       SOLE                552,731         0         0
CONSTANT CONTACT INC    COM         210313102          1,724,841     57,900 SH       DEFINED        1     15,490         0    42,410
CONSTANT CONTACT INC    COM         210313102            119,160      4,000 SH       DEFINED        4      4,000         0         0
COOPER COS INC          COM NEW     216648402         20,415,897    249,858 SH       SOLE                249,858         0         0
COOPER COS INC          COM NEW     216648402            454,308      5,560 SH       DEFINED        1      5,560         0         0
COPA HOLDINGS SA        CL A        P31076105         66,929,386    845,068 SH       SOLE                845,068         0         0
COPA HOLDINGS SA        CL A        P31076105         11,102,098    140,178 SH       DEFINED        1    120,508         0    19,670
COPA HOLDINGS SA        CL A        P31076105         17,830,296    225,130 SH       DEFINED        6    225,130         0         0
CORE LABORATORIES N V   COM         N22717107         24,798,314    188,480 SH       SOLE                188,480         0         0
CORE LABORATORIES N V   COM         N22717107            882,835      6,710 SH       DEFINED        1      6,710         0         0
CORELOGIC INC           COM         21871D103          7,961,565    487,841 SH       SOLE                487,841         0         0
CORN PRODS INTL INC     COM         219023108         11,193,901    194,170 SH       SOLE                194,170         0         0
CORN PRODS INTL INC     COM         219023108             55,921        970 SH       DEFINED        1        970         0         0
CORN PRODS INTL INC     COM         219023108             39,202        680 SH       DEFINED        4        680         0         0
CORNING INC             COM         219350105          2,330,662    165,530 SH       SOLE                165,530         0         0
CORNING INC             COM         219350105            216,973     15,410 SH       DEFINED        4     15,410         0         0
CORNING INC             COM         219350105            537,856     38,200 SH       DEFINED        7     38,200         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

COSTCO WHSL CORP NEW    COM         22160K105         66,593,719    733,411 SH       SOLE                733,411         0         0
COSTCO WHSL CORP NEW    COM         22160K105          2,842,403     31,304 SH       DEFINED        1     31,304         0         0
COUSINS PPTYS INC       COM         222795106          8,863,506  1,169,328 SH       SOLE              1,169,328         0         0
COVIDIEN PLC            SHS         G2554F113        237,944,832  4,351,588 SH       SOLE              4,169,208         0   182,380
COVIDIEN PLC            SHS         G2554F113         24,957,538    456,429 SH       DEFINED        1    144,119         0   312,310
COVIDIEN PLC            SHS         G2554F113         16,530,311    302,310 SH       DEFINED        4    195,490         0   106,820
COVIDIEN PLC            SHS         G2554F113         34,256,364    626,488 SH       DEFINED        7    624,708         0     1,780
CREDICORP LTD           COM         G2519Y108        109,629,685    831,662 SH       SOLE                831,662         0         0
CREDICORP LTD           COM         G2519Y108         75,525,610    572,945 SH       DEFINED        1    331,599         0   241,346
CREDICORP LTD           COM         G2519Y108         10,467,826     79,410 SH       DEFINED        2     79,410         0         0
CREDICORP LTD           COM         G2519Y108          3,089,861     23,440 SH       DEFINED        3     23,440         0         0
CREDICORP LTD           COM         G2519Y108         29,148,170    221,121 SH       DEFINED        4    105,028         0   116,093
CREDICORP LTD           COM         G2519Y108         20,791,178    157,724 SH       DEFINED        5    152,384         0     5,340
CREDICORP LTD           COM         G2519Y108         22,429,437    170,152 SH       DEFINED        6    170,152         0         0
CREDICORP LTD           COM         G2519Y108          6,066,356     46,020 SH       DEFINED        7     46,020         0         0
CREDIT SUISSE GROUP     SPONSORED
                        ADR         225401108          2,361,911     82,845 SH       SOLE                 82,845         0         0
CREDIT SUISSE GROUP     SPONSORED
                        ADR         225401108          6,221,452    218,220 SH       DEFINED        7    216,920         0     1,300
CROSS CTRY HEALTHCARE
   INC                  COM         227483104          2,869,573    572,769 SH       SOLE                572,769         0         0
CROWN CASTLE INTL CORP  COM         228227104         52,672,717    987,490 SH       SOLE                903,890         0    83,600
CSX CORP                COM         126408103          6,558,392    304,758 SH       SOLE                304,758         0         0
CSX CORP                COM         126408103          4,831,692    224,521 SH       DEFINED        1    224,521         0         0
CSX CORP                COM         126408103          1,150,029     53,440 SH       DEFINED        6     53,440         0         0
CUMMINS INC             COM         231021106         44,724,743    372,582 SH       SOLE                372,582         0         0
CUMMINS INC             COM         231021106         11,698,138     97,452 SH       DEFINED        1     92,672         0     4,780
CUMMINS INC             COM         231021106            110,437        920 SH       DEFINED        4        920         0         0
CUMMINS INC             COM         231021106          1,842,374     15,348 SH       DEFINED        6     15,348         0         0
CUMMINS INC             COM         231021106          7,040,706     58,653 SH       DEFINED        7     58,653         0         0
CVR ENERGY INC          COM         12662P108          3,825,785    143,020 SH       SOLE                143,020         0         0
CVS CAREMARK
   CORPORATION          COM         126650100        453,225,158 10,116,633 SH       SOLE              9,481,294         0   635,339
CVS CAREMARK
   CORPORATION          COM         126650100         62,896,557  1,403,941 SH       DEFINED        1    789,539         0   614,402
CVS CAREMARK
   CORPORATION          COM         126650100          4,229,568     94,410 SH       DEFINED        4      5,750         0    88,660
CVS CAREMARK
   CORPORATION          COM         126650100          2,758,605     61,576 SH       DEFINED        5     61,576         0         0
CVS CAREMARK
   CORPORATION          COM         126650100          7,879,558    175,883 SH       DEFINED        6    175,883         0         0
CVS CAREMARK
   CORPORATION          COM         126650100          1,094,016     24,420 SH       DEFINED        7     24,420         0         0
DANAHER CORP DEL        COM         235851102      1,193,537,240 21,313,165 SH       SOLE             20,355,203         0   957,962
DANAHER CORP DEL        COM         235851102        155,066,072  2,769,037 SH       DEFINED        1  1,399,669         0 1,369,368
DANAHER CORP DEL        COM         235851102         49,025,928    875,463 SH       DEFINED        4    542,013         0   333,450
DANAHER CORP DEL        COM         235851102          8,241,352    147,167 SH       DEFINED        5    147,167         0         0
DANAHER CORP DEL        COM         235851102          7,835,744    139,924 SH       DEFINED        6    139,924         0         0
DANAHER CORP DEL        COM         235851102         91,464,016  1,633,286 SH       DEFINED        7  1,615,686         0    17,600
DAVITA INC              COM         23918K108          9,790,659    108,580 SH       SOLE                108,580         0         0
DDR CORP                COM         23317H102          7,729,386    529,410 SH       SOLE                529,410         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

DDR CORP                COM         23317H102             33,974      2,327 SH       DEFINED        1      2,327         0         0
DELPHI AUTOMOTIVE PLC   SHS         G27823106        150,765,054  4,771,046 SH       SOLE              4,493,836         0   277,210
DELPHI AUTOMOTIVE PLC   SHS         G27823106         67,219,014  2,127,184 SH       DEFINED        1  1,570,324         0   556,860
DELPHI AUTOMOTIVE PLC   SHS         G27823106         18,585,224    588,140 SH       DEFINED        2    588,140         0         0
DELPHI AUTOMOTIVE PLC   SHS         G27823106          4,356,060    137,850 SH       DEFINED        3    137,850         0         0
DELPHI AUTOMOTIVE PLC   SHS         G27823106         25,547,336    808,460 SH       DEFINED        4    591,830         0   216,630
DELPHI AUTOMOTIVE PLC   SHS         G27823106         35,739,284  1,130,990 SH       DEFINED        5  1,090,580         0    40,410
DELPHI AUTOMOTIVE PLC   SHS         G27823106          2,566,868     81,230 SH       DEFINED        6     81,230         0         0
DELPHI AUTOMOTIVE PLC   SHS         G27823106            739,440     23,400 SH       DEFINED        7     23,400         0         0
DEMANDWARE INC          COM         24802Y105          4,190,178    140,610 SH       SOLE                140,610         0         0
DEMANDWARE INC          COM         24802Y105            297,106      9,970 SH       DEFINED        1          0         0     9,970
DENDREON CORP           COM         24823Q107          2,172,128    203,860 SH       SOLE                203,860         0         0
DENTSPLY INTL INC NEW   COM         249030107        109,766,626  2,735,276 SH       SOLE              2,679,227         0    56,049
DENTSPLY INTL INC NEW   COM         249030107        104,866,954  2,613,181 SH       DEFINED        1  2,096,946         0   516,235
DENTSPLY INTL INC NEW   COM         249030107         37,696,116    939,350 SH       DEFINED        2    939,350         0         0
DENTSPLY INTL INC NEW   COM         249030107         10,947,865    272,810 SH       DEFINED        3    272,810         0         0
DENTSPLY INTL INC NEW   COM         249030107         57,710,913  1,438,099 SH       DEFINED        4  1,091,899         0   346,200
DENTSPLY INTL INC NEW   COM         249030107         72,663,351  1,810,699 SH       DEFINED        5  1,746,119         0    64,580
DENTSPLY INTL INC NEW   COM         249030107          2,495,845     62,194 SH       DEFINED        6     62,194         0         0
DENTSPLY INTL INC NEW   COM         249030107          5,722,137    142,590 SH       DEFINED        7    142,590         0         0
DESTINATION MATERNITY
   CORP                 COM         25065D100          1,686,026     90,793 SH       SOLE                 90,793         0         0
DEVRY INC DEL           COM         251893103          2,229,662     65,830 SH       SOLE                 65,830         0         0
DEXCOM INC              COM         252131107         15,761,972  1,511,215 SH       SOLE              1,511,215         0         0
DEXCOM INC              COM         252131107          1,576,286    151,130 SH       DEFINED        1     41,600         0   109,530
DIAGEO P L C            SPON ADR
                        NEW         25243Q205         40,599,770    420,723 SH       SOLE                383,093         0    37,630
DIAGEO P L C            SPON ADR
                        NEW         25243Q205         77,875,886    807,004 SH       DEFINED        1    432,839         0   374,165
DIAGEO P L C            SPON ADR
                        NEW         25243Q205          3,170,315     32,853 SH       DEFINED        5     32,853         0         0
DIAGEO P L C            SPON ADR
                        NEW         25243Q205         10,752,030    111,420 SH       DEFINED        6    111,420         0         0
DIAGEO P L C            SPON ADR
                        NEW         25243Q205         33,613,556    348,327 SH       DEFINED        7    340,347         0     7,980
DIANA SHIPPING INC      COM         Y2066G104         17,467,536  1,951,680 SH       SOLE              1,951,680         0         0
DIANA SHIPPING INC      COM         Y2066G104          1,460,282    163,160 SH       DEFINED        1     47,200         0   115,960
DICE HLDGS INC          COM         253017107          1,358,448    145,600 SH       SOLE                145,600         0         0
DIGITAL RLTY TR INC     COM         253868103          7,934,984    107,273 SH       SOLE                107,273         0         0
DIRECTV                 COM CL A    25490A101         56,185,728  1,138,746 SH       SOLE              1,138,746         0         0
DIRECTV                 COM CL A    25490A101         11,613,403    235,375 SH       DEFINED        1    226,415         0     8,960
DIRECTV                 COM CL A    25490A101          1,675,290     33,954 SH       DEFINED        6     33,954         0         0
DISCOVER FINL SVCS      COM         254709108         47,672,966  1,429,903 SH       SOLE              1,429,903         0         0
DISCOVER FINL SVCS      COM         254709108         20,004,733    600,022 SH       DEFINED        1    582,402         0    17,620
DISCOVER FINL SVCS      COM         254709108            148,030      4,440 SH       DEFINED        4      4,440         0         0
DISCOVER FINL SVCS      COM         254709108          2,052,210     61,554 SH       DEFINED        6     61,554         0         0
DISCOVER FINL SVCS      COM         254709108          9,375,108    281,197 SH       DEFINED        7    281,197         0         0
DISCOVERY COMMUNICATNS
   NEW                  COM SER A   25470F104         59,474,886  1,175,393 SH       SOLE              1,175,393         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

DISCOVERY COMMUNICATNS
   NEW                  COM SER A   25470F104          1,953,868     38,614 SH       DEFINED        1     38,614         0         0
DISH NETWORK CORP       CL A        25470M109          4,980,300    151,239 SH       SOLE                151,239         0         0
DISNEY WALT CO          COM
                        DISNEY      254687106        817,560,942 18,674,302 SH       SOLE             17,213,446         0 1,460,856
DISNEY WALT CO          COM
                        DISNEY      254687106        622,502,085 14,218,869 SH       DEFINED        1 10,245,626         0 3,973,243
DISNEY WALT CO          COM
                        DISNEY      254687106        128,193,925  2,928,139 SH       DEFINED        2  2,928,139         0         0
DISNEY WALT CO          COM
                        DISNEY      254687106         34,298,828    783,436 SH       DEFINED        3    783,436         0         0
DISNEY WALT CO          COM
                        DISNEY      254687106        248,133,657  5,667,740 SH       DEFINED        4  4,218,979         0 1,448,761
DISNEY WALT CO          COM
                        DISNEY      254687106        234,779,225  5,362,705 SH       DEFINED        5  5,176,655         0   186,050
DISNEY WALT CO          COM
                        DISNEY      254687106         18,207,270    415,881 SH       DEFINED        6    415,881         0         0
DISNEY WALT CO          COM
                        DISNEY      254687106         42,354,961    967,450 SH       DEFINED        7    960,170         0     7,280
DOLLAR GEN CORP NEW     COM         256677105         82,155,473  1,778,257 SH       SOLE              1,778,257         0         0
DOLLAR GEN CORP NEW     COM         256677105          4,587,568     99,298 SH       DEFINED        1     96,608         0     2,690
DOLLAR GEN CORP NEW     COM         256677105            129,822      2,810 SH       DEFINED        4      2,810         0         0
DOMTAR CORP             COM NEW     257559203          1,123,576     11,780 SH       SOLE                 11,780         0         0
DOUGLAS DYNAMICS INC    COM         25960R105          7,002,050    509,240 SH       SOLE                509,240         0         0
DOUGLAS DYNAMICS INC    COM         25960R105            672,650     48,920 SH       DEFINED        1     11,220         0    37,700
DOUGLAS EMMETT INC      COM         25960P109          8,389,586    367,803 SH       SOLE                367,803         0         0
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109         30,344,316    754,646 SH       SOLE                707,276         0    47,370
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109         86,193,513  2,143,584 SH       DEFINED        1  1,712,060         0   431,524
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109         30,888,598    768,182 SH       DEFINED        2    768,182         0         0
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109          9,018,299    224,280 SH       DEFINED        3    224,280         0         0
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109         45,225,031  1,124,721 SH       DEFINED        4    842,311         0   282,410
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109         58,490,029  1,454,614 SH       DEFINED        5  1,401,974         0    52,640
DR PEPPER SNAPPLE GROUP
   INC                  COM         26138E109          3,560,596     88,550 SH       DEFINED        6     88,550         0         0
DRESSER-RAND GROUP INC  COM         261608103        132,271,993  2,851,304 SH       SOLE              2,804,164         0    47,140
DRESSER-RAND GROUP INC  COM         261608103         14,453,268    311,560 SH       DEFINED        1     95,380         0   216,180
DRESSER-RAND GROUP INC  COM         261608103          7,874,239    169,740 SH       DEFINED        4    109,260         0    60,480
DRESSER-RAND GROUP INC  COM         261608103         14,491,772    312,390 SH       DEFINED        7    311,370         0     1,020
DTE ENERGY CO           COM         233331107          5,512,905    100,180 SH       SOLE                100,180         0         0
DU PONT E I DE NEMOURS
   & CO                 COM         263534109         31,925,097    603,499 SH       SOLE                526,339         0    77,160
DUKE ENERGY CORP NEW    COM         26441C105             10,106        481 SH       DEFINED        1        481         0         0
DUKE ENERGY CORP NEW    COM         26441C105          6,761,564    321,826 SH       DEFINED        4    321,826         0         0
DUKE ENERGY CORP NEW    COM         26441C105          1,002,786     47,729 SH       DEFINED        7     43,380         0     4,349
DUN & BRADSTREET CORP
   DEL NE               COM         26483E100        287,651,656  3,394,921 SH       SOLE              3,217,105         0   177,816
DUN & BRADSTREET CORP
   DEL NE               COM         26483E100         42,529,291    501,939 SH       DEFINED        1    278,174         0   223,765
DUN & BRADSTREET CORP
   DEL NE               COM         26483E100          6,605,551     77,960 SH       DEFINED        4     28,520         0    49,440
DUN & BRADSTREET CORP
   DEL NE               COM         26483E100          3,863,773     45,601 SH       DEFINED        5     45,601         0         0
DUN & BRADSTREET CORP
   DEL NE               COM         26483E100          3,698,888     43,655 SH       DEFINED        6     43,655         0         0
DUN & BRADSTREET CORP
   DEL NE               COM         26483E100          6,332,720     74,740 SH       DEFINED        7     74,740         0         0
DUNKIN BRANDS GROUP INC COM         265504100         17,305,271    574,735 SH       SOLE                574,735         0         0
DUNKIN BRANDS GROUP INC COM         265504100          1,621,424     53,850 SH       DEFINED        1     15,870         0    37,980
DUPONT FABROS
   TECHNOLOGY INC       COM         26613Q106          7,604,928    311,040 SH       SOLE                311,040         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

E M C CORP MASS         COM         268648102        391,674,689 13,108,256 SH       SOLE             12,853,256         0   255,000
E M C CORP MASS         COM         268648102         55,387,958  1,853,680 SH       DEFINED        1    761,400         0 1,092,280
E M C CORP MASS         COM         268648102         31,189,850  1,043,837 SH       DEFINED        4    708,227         0   335,610
E M C CORP MASS         COM         268648102          1,426,680     47,747 SH       DEFINED        5     47,747         0         0
E M C CORP MASS         COM         268648102         61,653,944  2,063,385 SH       DEFINED        7  2,057,925         0     5,460
EAGLE MATERIALS INC     COM         26969P108         29,269,890    842,299 SH       SOLE                842,299         0         0
EAGLE MATERIALS INC     COM         26969P108          2,667,063     76,750 SH       DEFINED        1     22,130         0    54,620
EASTGROUP PPTY INC      COM         277276101         14,487,968    288,490 SH       SOLE                288,490         0         0
EATON CORP              COM         278058102        262,352,309  5,264,947 SH       SOLE              4,844,521         0   420,426
EATON CORP              COM         278058102         33,014,468    662,542 SH       DEFINED        1    312,267         0   350,275
EATON CORP              COM         278058102          1,251,730     25,120 SH       DEFINED        5     25,120         0         0
EATON CORP              COM         278058102          4,312,288     86,540 SH       DEFINED        6     86,540         0         0
EBAY INC                COM         278642103         56,614,087  1,534,673 SH       SOLE              1,534,673         0         0
EBAY INC                COM         278642103          2,706,250     73,360 SH       DEFINED        1     73,360         0         0
EBAY INC                COM         278642103            629,712     17,070 SH       DEFINED        4     17,070         0         0
EBAY INC                COM         278642103          8,399,927    227,702 SH       DEFINED        7    222,702         0     5,000
EDISON INTL             COM         281020107        214,067,564  5,035,699 SH       SOLE              4,670,239         0   365,460
EDISON INTL             COM         281020107          3,955,556     93,050 SH       DEFINED        1     93,050         0         0
EDISON INTL             COM         281020107            220,627      5,190 SH       DEFINED        4      5,190         0         0
EDISON INTL             COM         281020107          8,875,833    208,794 SH       DEFINED        7    208,794         0         0
EDWARDS LIFESCIENCES
   CORP                 COM         28176E108         23,408,878    321,860 SH       SOLE                321,860         0         0
EDWARDS LIFESCIENCES
   CORP                 COM         28176E108          1,498,965     20,610 SH       DEFINED        1      5,920         0    14,690
EL PASO CORP            COM         28336L109        361,701,486 12,240,321 SH       SOLE             11,255,874         0   984,447
EL PASO CORP            COM         28336L109          1,707,104     57,770 SH       DEFINED        1     57,770         0         0
EL PASO CORP            COM         28336L109             96,038      3,250 SH       DEFINED        4      3,250         0         0
EL PASO ELEC CO         COM NEW     283677854          1,389,272     42,760 SH       SOLE                 42,760         0         0
EL PASO PIPELINE        COM UNIT
   PARTNERS L           LPI         283702108          3,470,857     99,480 SH       SOLE                 91,380         0     8,100
EMBRAER S A             SP ADR
                        REP 4 COM   29082A107         13,762,145    430,336 SH       SOLE                430,336         0         0
EMBRAER S A             SP ADR
                        REP 4 COM   29082A107          2,026,253     63,360 SH       DEFINED        1     30,240         0    33,120
EMBRAER S A             SP ADR
                        REP 4 COM   29082A107            151,265      4,730 SH       DEFINED        6      4,730         0         0
EMBRAER S A             SP ADR
                        REP 4 COM   29082A107          1,143,925     35,770 SH       DEFINED        7     27,270         0     8,500
ENDOLOGIX INC           COM         29266S106         39,400,867  2,689,479 SH       SOLE              2,689,479         0         0
ENDOLOGIX INC           COM         29266S106          2,977,320    203,230 SH       DEFINED        1     57,540         0   145,690
ENERGEN CORP            COM         29265N108         41,185,734    837,960 SH       SOLE                767,570         0    70,390
ENERGIZER HLDGS INC     COM         29266R108          6,617,153     89,204 SH       SOLE                 89,204         0         0
ENERGY PARTNERS LTD     COM NEW     29270U303          1,348,416     81,181 SH       SOLE                 81,181         0         0
ENERGY XXI (BERMUDA)    USD UNRS
   LTD                  SHS         G10082140          8,203,506    227,181 SH       SOLE                227,181         0         0
ENERGY XXI (BERMUDA)    USD UNRS
   LTD                  SHS         G10082140          4,596,189    127,283 SH       DEFINED        1    127,283         0         0
ENERGY XXI (BERMUDA)    USD UNRS
   LTD                  SHS         G10082140          1,072,684     29,706 SH       DEFINED        6     29,706         0         0
ENERSIS S A             SPONSORED
                        ADR         29274F104         61,470,474  3,044,600 SH       SOLE              2,849,910         0   194,690
ENERSIS S A             SPONSORED
                        ADR         29274F104          1,790,247     88,670 SH       DEFINED        1     38,390         0    50,280
ENERSIS S A             SPONSORED
                        ADR         29274F104            124,572      6,170 SH       DEFINED        6      6,170         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

ENPRO INDS INC          COM         29355X107          1,103,535     26,850 SH       SOLE                 26,850         0         0
ENSCO PLC               SPONSORED
                        ADR         29358Q109         57,500,770  1,086,355 SH       SOLE              1,086,355         0         0
ENSCO PLC               SPONSORED
                        ADR         29358Q109          2,101,797     39,709 SH       DEFINED        1     39,709         0         0
ENTEGRIS INC            COM         29362U104         14,198,416  1,520,173 SH       SOLE              1,520,173         0         0
ENTEGRIS INC            COM         29362U104          1,409,219    150,880 SH       DEFINED        1     38,880         0   112,000
ENTERPRISE PRODS
   PARTNERS L           COM         293792107          3,685,319     73,020 SH       SOLE                 67,250         0     5,770
ENTERTAINMENT PPTYS TR  COM SH
                        BEN INT     29380T105         19,056,661    410,881 SH       SOLE                410,881         0         0
ENTERTAINMENT PPTYS TR  COM SH
                        BEN INT     29380T105          1,447,288     31,205 SH       DEFINED        1     31,205         0         0
ENTROPIC COMMUNICATIONS
   INC                  COM         29384R105          1,305,675    223,958 SH       SOLE                223,958         0         0
EOG RES INC             COM         26875P101        225,372,794  2,028,558 SH       SOLE              1,867,963         0   160,595
EOG RES INC             COM         26875P101         41,547,956    373,969 SH       DEFINED        1    117,644         0   256,325
EOG RES INC             COM         26875P101         12,706,396    114,369 SH       DEFINED        4     72,879         0    41,490
EOG RES INC             COM         26875P101          1,034,341      9,310 SH       DEFINED        5      9,310         0         0
EOG RES INC             COM         26875P101          3,576,198     32,189 SH       DEFINED        6     32,189         0         0
EOG RES INC             COM         26875P101         29,054,317    261,515 SH       DEFINED        7    259,335         0     2,180
EQT CORP                COM         26884L109        165,029,146  3,423,131 SH       SOLE              3,196,881         0   226,250
EQT CORP                COM         26884L109          2,984,681     61,910 SH       DEFINED        1     61,910         0         0
EQT CORP                COM         26884L109            109,437      2,270 SH       DEFINED        4      2,270         0         0
EQUITY LIFESTYLE PPTYS
   INC                  COM         29472R108         11,156,657    159,975 SH       SOLE                159,975         0         0
ERICSSON L M TEL CO     ADR B
                        SEK 10      294821608          2,452,862    237,911 SH       SOLE                237,911         0         0
ERICSSON L M TEL CO     ADR B
                        SEK 10      294821608          4,529,080    439,290 SH       DEFINED        7    392,790         0    46,500
ETHAN ALLEN INTERIORS
   INC                  COM         297602104         11,453,477    452,349 SH       SOLE                452,349         0         0
ETHAN ALLEN INTERIORS
   INC                  COM         297602104          1,025,207     40,490 SH       DEFINED        1     11,630         0    28,860
EVERCORE PARTNERS INC   CLASS A     29977A105          6,772,438    232,970 SH       SOLE                232,970         0         0
EVERCORE PARTNERS INC   CLASS A     29977A105             96,512      3,320 SH       DEFINED        1      3,320         0         0
EVEREST RE GROUP LTD    COM         G3223R108         32,585,451    352,199 SH       SOLE                352,199         0         0
EVEREST RE GROUP LTD    COM         G3223R108          3,569,422     38,580 SH       DEFINED        1     35,160         0     3,420
EVEREST RE GROUP LTD    COM         G3223R108            178,564      1,930 SH       DEFINED        4      1,930         0         0
EXELON CORP             COM         30161N101         97,518,211  2,487,075 SH       SOLE              2,266,200         0   220,875
EXELON CORP             COM         30161N101          9,190,824    234,400 SH       DEFINED        1      1,320         0   233,080
EXELON CORP             COM         30161N101          8,781,472    223,960 SH       DEFINED        4    144,220         0    79,740
EXELON CORP             COM         30161N101         12,920,087    329,510 SH       DEFINED        7    323,670         0     5,840
EXPEDITORS INTL WASH
   INC                  COM         302130109        191,580,271  4,119,120 SH       SOLE              4,119,120         0         0
EXPEDITORS INTL WASH
   INC                  COM         302130109         18,433,355    396,331 SH       DEFINED        1    396,331         0         0
EXPEDITORS INTL WASH
   INC                  COM         302130109          2,561,306     55,070 SH       DEFINED        4     55,070         0         0
EXPEDITORS INTL WASH
   INC                  COM         302130109          1,732,498     37,250 SH       DEFINED        5     37,250         0         0
EXPEDITORS INTL WASH
   INC                  COM         302130109         16,096,413    346,085 SH       DEFINED        7    346,085         0         0
EXPRESS SCRIPTS INC     COM         302182100         18,247,282    336,790 SH       SOLE                336,790         0         0
EXPRESS SCRIPTS INC     COM         302182100          2,182,370     40,280 SH       DEFINED        1     40,280         0         0
EXPRESS SCRIPTS INC     COM         302182100            122,447      2,260 SH       DEFINED        4      2,260         0         0
EXXON MOBIL CORP        COM         30231G102      1,139,657,872 13,140,296 SH       SOLE             12,314,093         0   826,203
EXXON MOBIL CORP        COM         30231G102        206,254,174  2,378,118 SH       DEFINED        1  1,286,110         0 1,092,008<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

EXXON MOBIL CORP        COM         30231G102         49,968,275    576,136 SH       DEFINED        4    290,126         0   286,010
EXXON MOBIL CORP        COM         30231G102          7,722,786     89,044 SH       DEFINED        5     89,044         0         0
EXXON MOBIL CORP        COM         30231G102         17,220,155    198,549 SH       DEFINED        6    198,549         0         0
EXXON MOBIL CORP        COM         30231G102        105,213,464  1,213,115 SH       DEFINED        7  1,195,265         0    17,850
F M C CORP              COM NEW     302491303         11,052,313    104,405 SH       SOLE                104,405         0         0
F5 NETWORKS INC         COM         315616102        138,190,538  1,023,937 SH       SOLE              1,023,937         0         0
F5 NETWORKS INC         COM         315616102         14,743,435    109,243 SH       DEFINED        1     97,683         0    11,560
F5 NETWORKS INC         COM         315616102            329,302      2,440 SH       DEFINED        4      2,440         0         0
F5 NETWORKS INC         COM         315616102          1,575,118     11,671 SH       DEFINED        6     11,671         0         0
FAIR ISAAC CORP         COM         303250104          8,252,366    187,981 SH       SOLE                187,981         0         0
FEDERAL REALTY INVT TR  SH BEN
                        INT NEW     313747206          9,465,965     97,799 SH       SOLE                 97,799         0         0
FERRO CORP              COM         315405100          2,704,007    455,220 SH       SOLE                455,220         0         0
FIFTH THIRD BANCORP     COM         316773100         41,219,623  2,933,781 SH       SOLE              2,933,781         0         0
FIFTH THIRD BANCORP     COM         316773100          3,858,552    274,630 SH       DEFINED        1    274,630         0         0
FIFTH THIRD BANCORP     COM         316773100            203,444     14,480 SH       DEFINED        4     14,480         0         0
FIFTH THIRD BANCORP     COM         316773100         11,768,378    837,607 SH       DEFINED        7    837,607         0         0
FINISAR CORP            COM NEW     31787A507         16,456,646    816,707 SH       SOLE                816,707         0         0
FINISAR CORP            COM NEW     31787A507          1,362,140     67,600 SH       DEFINED        1     67,600         0         0
FINISAR CORP            COM NEW     31787A507            324,617     16,110 SH       DEFINED        4     16,110         0         0
FINISAR CORP            COM NEW     31787A507          6,869,135    340,900 SH       DEFINED        7    340,900         0         0
FIRST NIAGARA FINL GP
   INC                  COM         33582V108         27,856,824  2,830,978 SH       SOLE              2,830,978         0         0
FIRST NIAGARA FINL GP
   INC                  COM         33582V108          2,054,494    208,790 SH       DEFINED        1     60,010         0   148,780
FIRST REP BK SAN
   FRANCISCO C          COM         33616C100         26,004,779    789,459 SH       SOLE                789,459         0         0
FIRST REP BK SAN
   FRANCISCO C          COM         33616C100          2,328,199     70,680 SH       DEFINED        1     19,470         0    51,210
FIRSTENERGY CORP        COM         337932107         60,396,264  1,324,770 SH       SOLE              1,209,930         0   114,840
FISERV INC              COM         337738108        121,953,619  1,757,510 SH       SOLE              1,620,067         0   137,443
FISERV INC              COM         337738108         18,022,179    259,723 SH       DEFINED        1    122,620         0   137,103
FISERV INC              COM         337738108            684,185      9,860 SH       DEFINED        5      9,860         0         0
FISERV INC              COM         337738108          2,343,994     33,780 SH       DEFINED        6     33,780         0         0
FLEETCOR TECHNOLOGIES
   INC                  COM         339041105         92,553,527  2,387,246 SH       SOLE              2,387,246         0         0
FLEETCOR TECHNOLOGIES
   INC                  COM         339041105          7,156,438    184,587 SH       DEFINED        1    120,057         0    64,530
FLEETCOR TECHNOLOGIES
   INC                  COM         339041105            593,181     15,300 SH       DEFINED        4     15,300         0         0
FLOWSERVE CORP          COM         34354P105          6,580,605     56,970 SH       SOLE                 56,970         0         0
FLUOR CORP NEW          COM         343412102        190,940,049  3,180,214 SH       SOLE              3,023,590         0   156,624
FLUOR CORP NEW          COM         343412102         27,312,436    454,904 SH       DEFINED        1    180,284         0   274,620
FLUOR CORP NEW          COM         343412102         10,957,780    182,508 SH       DEFINED        4    117,528         0    64,980
FLUOR CORP NEW          COM         343412102            314,610      5,240 SH       DEFINED        5      5,240         0         0
FLUOR CORP NEW          COM         343412102          1,077,058     17,939 SH       DEFINED        6     17,939         0         0
FLUOR CORP NEW          COM         343412102         24,967,754    415,852 SH       DEFINED        7    414,792         0     1,060
FMC TECHNOLOGIES INC    COM         30249U101         47,202,196    936,180 SH       SOLE                936,180         0         0
FMC TECHNOLOGIES INC    COM         30249U101          2,180,161     43,240 SH       DEFINED        1     43,240         0         0
FMC TECHNOLOGIES INC    COM         30249U101             61,008      1,210 SH       DEFINED        4      1,210         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

FOOT LOCKER INC         COM         344849104            946,062     30,469 SH       SOLE                 30,469         0         0
FORTINET INC            COM         34959E109         55,262,285  1,998,636 SH       SOLE              1,998,636         0         0
FORTINET INC            COM         34959E109          4,551,356    164,606 SH       DEFINED        1     89,076         0    75,530
FORTINET INC            COM         34959E109            366,916     13,270 SH       DEFINED        4     13,270         0         0
FOSTER WHEELER AG       COM         H27178104          1,842,308     80,945 SH       SOLE                 80,945         0         0
FRANCE TELECOM          SPONSORED
                        ADR         35177Q105          1,471,086     99,063 SH       DEFINED        7     76,970         0    22,093
FRANCESCAS HLDGS CORP   COM         351793104         14,042,174    444,232 SH       SOLE                444,232         0         0
FRANCESCAS HLDGS CORP   COM         351793104            739,674     23,400 SH       DEFINED        1      4,280         0    19,120
FRANKLIN RES INC        COM         354613101        445,956,687  3,595,555 SH       SOLE              3,383,053         0   212,502
FRANKLIN RES INC        COM         354613101         70,783,053    570,693 SH       DEFINED        1    284,834         0   285,859
FRANKLIN RES INC        COM         354613101         20,441,260    164,809 SH       DEFINED        4    116,819         0    47,990
FRANKLIN RES INC        COM         354613101          3,900,247     31,446 SH       DEFINED        5     31,446         0         0
FRANKLIN RES INC        COM         354613101          4,358,414     35,140 SH       DEFINED        6     35,140         0         0
FRANKLIN RES INC        COM         354613101         39,685,135    319,964 SH       DEFINED        7    319,184         0       780
FREEPORT-MCMORAN COPPER
   & GO                 COM         35671D857          2,635,411     69,280 SH       DEFINED        7     61,280         0     8,000
FRONTIER COMMUNICATIONS
   CORP                 COM         35906A108         20,041,566  4,806,131 SH       SOLE              4,432,261         0   373,870
FUSION-IO INC           COM         36112J107         11,699,920    411,824 SH       SOLE                411,824         0         0
FUSION-IO INC           COM         36112J107          1,053,727     37,090 SH       DEFINED        1     10,660         0    26,430
FXCM INC                COM CL A    302693106          3,442,090    264,980 SH       SOLE                264,980         0         0
G & K SVCS INC          CL A        361268105          1,188,416     34,749 SH       SOLE                 34,749         0         0
GAP INC DEL             COM         364760108         24,077,214    921,087 SH       SOLE                921,087         0         0
GAP INC DEL             COM         364760108          2,410,108     92,200 SH       DEFINED        1     92,200         0         0
GAP INC DEL             COM         364760108            127,040      4,860 SH       DEFINED        4      4,860         0         0
GARDNER DENVER INC      COM         365558105          8,675,459    137,662 SH       SOLE                137,662         0         0
GARTNER INC             COM         366651107          8,849,932    207,550 SH       SOLE                207,550         0         0
GENERAL DYNAMICS CORP   COM         369550108             10,713        146 SH       DEFINED        1        146         0         0
GENERAL DYNAMICS CORP   COM         369550108          1,607,022     21,900 SH       DEFINED        7     21,900         0         0
GENERAL ELECTRIC CO     COM         369604103         11,718,211    583,867 SH       SOLE                583,867         0         0
GENERAL ELECTRIC CO     COM         369604103          6,478,134    322,777 SH       DEFINED        1    322,777         0         0
GENERAL ELECTRIC CO     COM         369604103          1,539,429     76,703 SH       DEFINED        6     76,703         0         0
GENERAL ELECTRIC CO     COM         369604103          2,458,575    122,500 SH       DEFINED        7    118,500         0     4,000
GENERAL MLS INC         COM         370334104        683,349,981 17,321,926 SH       SOLE             16,156,219         0 1,165,707
GENERAL MLS INC         COM         370334104        121,751,300  3,086,218 SH       DEFINED        1  1,326,164         0 1,760,054
GENERAL MLS INC         COM         370334104         18,988,587    481,333 SH       DEFINED        4    206,413         0   274,920
GENERAL MLS INC         COM         370334104          4,482,782    113,632 SH       DEFINED        5    113,632         0         0
GENERAL MLS INC         COM         370334104         11,519,992    292,015 SH       DEFINED        6    292,015         0         0
GENERAL MLS INC         COM         370334104         30,013,718    760,804 SH       DEFINED        7    758,924         0     1,880
GENERAL MTRS CO         COM         37045V100         97,987,540  3,820,177 SH       SOLE              3,534,346         0   285,831
GENERAL MTRS CO         JR PFD
                        CNV SRB     37045V209         29,372,841    701,860 SH       SOLE                648,590         0    53,270
GENERAL MTRS CO         COM         37045V100         17,512,974    682,767 SH       DEFINED        1    461,985         0   220,782
GENERAL MTRS CO         COM         37045V100            121,581      4,740 SH       DEFINED        4      4,740         0         0
GENERAL MTRS CO         COM         37045V100            383,981     14,970 SH       DEFINED        5     14,970         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

GENERAL MTRS CO         COM         37045V100          1,956,018     76,258 SH       DEFINED        6     76,258         0         0
GENERAL MTRS CO         COM         37045V100          1,623,645     63,300 SH       DEFINED        7     63,300         0         0
GENON ENERGY INC        COM         37244E107         64,205,602 30,868,078 SH       SOLE             28,372,238         0 2,495,840
GEN-PROBE INC NEW       COM         36866T103         19,167,254    288,620 SH       SOLE                288,620         0         0
GEN-PROBE INC NEW       COM         36866T103          1,162,175     17,500 SH       DEFINED        1      4,810         0    12,690
GENWORTH FINL INC       COM CL A    37247D106          6,061,644    728,563 SH       SOLE                728,563         0         0
GENWORTH FINL INC       COM CL A    37247D106            169,645     20,390 SH       DEFINED        1          0         0    20,390
GERDAU S A              SPONSORED
                        ADR         373737105         11,799,716  1,225,308 SH       SOLE              1,225,308         0         0
GERDAU S A              SPONSORED
                        ADR         373737105          2,847,687    295,710 SH       DEFINED        1     75,490         0   220,220
GERDAU S A              SPONSORED
                        ADR         373737105            116,716     12,120 SH       DEFINED        6     12,120         0         0
GFI GROUP INC           COM         361652209          6,893,343  1,833,336 SH       SOLE              1,833,336         0         0
GFI GROUP INC           COM         361652209             62,416     16,600 SH       DEFINED        1     16,600         0         0
GILEAD SCIENCES INC     COM         375558103        122,727,516  2,512,334 SH       SOLE              2,433,254         0    79,080
GILEAD SCIENCES INC     COM         375558103         26,966,763    552,032 SH       DEFINED        1    235,262         0   316,770
GILEAD SCIENCES INC     COM         375558103             53,735      1,100 SH  Put  DEFINED        1      1,100         0         0
GILEAD SCIENCES INC     COM         375558103         14,194,540    290,574 SH       DEFINED        4    186,624         0   103,950
GILEAD SCIENCES INC     COM         375558103            413,418      8,463 SH       DEFINED        6      8,463         0         0
GILEAD SCIENCES INC     COM         375558103         27,496,835    562,883 SH       DEFINED        7    561,183         0     1,700
GLACIER BANCORP INC NEW COM         37637Q105          1,844,941    123,490 SH       SOLE                123,490         0         0
GLOBE SPECIALTY METALS
   INC                  COM         37954N206         23,950,336  1,610,648 SH       SOLE              1,610,648         0         0
GLOBE SPECIALTY METALS
   INC                  COM         37954N206          2,324,032    156,290 SH       DEFINED        1     43,650         0   112,640
GOLDCORP INC NEW        COM         380956409         10,108,310    224,330 SH       SOLE                224,330         0         0
GOLDCORP INC NEW        COM         380956409          1,194,676     26,513 SH       DEFINED        1     26,513         0         0
GOLDCORP INC NEW        COM         380956409             60,380      1,340 SH       DEFINED        4      1,340         0         0
GOLDMAN SACHS GROUP INC COM         38141G104      1,097,171,619  8,821,835 SH       SOLE              8,151,937         0   669,898
GOLDMAN SACHS GROUP INC COM         38141G104        284,984,527  2,291,425 SH       DEFINED        1  1,312,271         0   979,154
GOLDMAN SACHS GROUP INC COM         38141G104         48,483,655    389,834 SH       DEFINED        2    389,834         0         0
GOLDMAN SACHS GROUP INC COM         38141G104         14,124,950    113,572 SH       DEFINED        3    113,572         0         0
GOLDMAN SACHS GROUP INC COM         38141G104         96,686,855    777,413 SH       DEFINED        4    527,620         0   249,793
GOLDMAN SACHS GROUP INC COM         38141G104         97,950,703    787,575 SH       DEFINED        5    760,935         0    26,640
GOLDMAN SACHS GROUP INC COM         38141G104         20,640,694    165,962 SH       DEFINED        6    165,962         0         0
GOLDMAN SACHS GROUP INC COM         38141G104         45,660,331    367,133 SH       DEFINED        7    361,023         0     6,110
GOODYEAR TIRE & RUBR CO COM         382550101            146,993     13,101 SH       SOLE                 13,101         0         0
GOOGLE INC              CL A        38259P508        727,593,867  1,134,667 SH       SOLE              1,122,257         0    12,410
GOOGLE INC              CL A        38259P508        104,879,932    163,558 SH       DEFINED        1    110,066         0    53,492
GOOGLE INC              CL A        38259P508         37,669,644     58,745 SH       DEFINED        4     42,465         0    16,280
GOOGLE INC              CL A        38259P508          4,784,933      7,462 SH       DEFINED        5      7,462         0         0
GOOGLE INC              CL A        38259P508          3,428,069      5,346 SH       DEFINED        6      5,346         0         0
GOOGLE INC              CL A        38259P508         80,893,067    126,151 SH       DEFINED        7    124,421         0     1,730
GORDMANS STORES INC     COM         38269P100            970,679     44,182 SH       SOLE                 44,182         0         0
GRAINGER W W INC        COM         384802104         55,047,425    256,261 SH       SOLE                256,261         0         0
GRAINGER W W INC        COM         384802104          7,740,249     36,033 SH       DEFINED        1     36,033         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

GRAINGER W W INC        COM         384802104          1,632,556      7,600 SH       DEFINED        4      7,600         0         0
GRAINGER W W INC        COM         384802104          1,274,253      5,932 SH       DEFINED        5      5,932         0         0
GRAINGER W W INC        COM         384802104          4,354,199     20,270 SH       DEFINED        7     20,270         0         0
GREAT PLAINS ENERGY INC COM         391164100          5,732,701    282,817 SH       SOLE                282,817         0         0
GREAT PLAINS ENERGY INC UNIT
                        06/15/2042  391164803         45,856,245    749,530 SH       SOLE                683,810         0    65,720
GREAT PLAINS ENERGY INC COM         391164100          3,471,542    171,265 SH       DEFINED        4    171,265         0         0
GREEN MTN COFFEE
   ROASTERS IN          COM         393122106         15,334,573    327,382 SH       SOLE                327,382         0         0
GREEN MTN COFFEE
   ROASTERS IN          COM         393122106          1,365,854     29,160 SH       DEFINED        1      8,500         0    20,660
GREIF INC               CL A        397624107          6,281,270    112,326 SH       SOLE                112,326         0         0
GREIF INC               CL B        397624206          1,105,085     19,466 SH       SOLE                 19,466         0         0
GROUPON INC             COM CL A    399473107            925,433     50,350 SH       SOLE                 50,350         0         0
GROUPON INC             COM CL A    399473107             90,246      4,910 SH       DEFINED        4      4,910         0         0
GRUPO AEROPORTUARIO DEL SPON ADR
   SURE                 SER B       40051E202         23,242,395    339,206 SH       SOLE                339,206         0         0
GRUPO AEROPORTUARIO DEL SPON ADR
   SURE                 SER B       40051E202          2,024,766     29,550 SH       DEFINED        1     16,030         0    13,520
GRUPO AEROPORTUARIO DEL SPON ADR
   SURE                 SER B       40051E202            173,356      2,530 SH       DEFINED        6      2,530         0         0
GRUPO TELEVISA SA       SPON ADR
                        REP ORD     40049J206          1,324,562     62,835 SH       SOLE                 62,835         0         0
GRUPO TELEVISA SA       SPON ADR
                        REP ORD     40049J206            616,168     29,230 SH       DEFINED        1          0         0    29,230
HALLIBURTON CO          COM         406216101          7,979,540    240,420 SH       SOLE                240,420         0         0
HALLIBURTON CO          COM         406216101          6,532,622    196,825 SH       DEFINED        1    196,825         0         0
HALLIBURTON CO          COM         406216101          1,541,543     46,446 SH       DEFINED        6     46,446         0         0
HALLIBURTON CO          COM         406216101             16,595        500 SH       DEFINED        7        500         0         0
HANESBRANDS INC         COM         410345102          9,476,875    320,815 SH       SOLE                320,815         0         0
HANOVER INS GROUP INC   COM         410867105          5,910,013    143,726 SH       SOLE                143,726         0         0
HARLEY DAVIDSON INC     COM         412822108          6,567,984    133,822 SH       SOLE                122,055         0    11,767
HARLEY DAVIDSON INC     COM         412822108         24,204,244    493,159 SH       DEFINED        1    384,415         0   108,744
HARLEY DAVIDSON INC     COM         412822108          9,748,957    198,634 SH       DEFINED        2    198,634         0         0
HARLEY DAVIDSON INC     COM         412822108          2,800,456     57,059 SH       DEFINED        3     57,059         0         0
HARLEY DAVIDSON INC     COM         412822108         14,236,341    290,064 SH       DEFINED        4    217,311         0    72,753
HARLEY DAVIDSON INC     COM         412822108         18,312,288    373,111 SH       DEFINED        5    359,521         0    13,590
HARLEY DAVIDSON INC     COM         412822108            647,562     13,194 SH       DEFINED        6     13,194         0         0
HARTFORD FINL SVCS
   GROUP INC            COM         416515104         16,712,140    792,796 SH       SOLE                792,796         0         0
HARTFORD FINL SVCS
   GROUP INC            COM         416515104          7,177,803    340,503 SH       DEFINED        1    327,903         0    12,600
HARTFORD FINL SVCS
   GROUP INC            COM         416515104          1,632,920     77,463 SH       DEFINED        6     77,463         0         0
HASBRO INC              COM         418056107        310,330,414  8,451,264 SH       SOLE              7,760,115         0   691,149
HASBRO INC              COM         418056107         47,615,742  1,296,725 SH       DEFINED        1    569,718         0   727,007
HASBRO INC              COM         418056107          3,728,182    101,530 SH       DEFINED        4          0         0   101,530
HASBRO INC              COM         418056107          2,724,661     74,201 SH       DEFINED        5     74,201         0         0
HASBRO INC              COM         418056107          5,664,427    154,260 SH       DEFINED        6    154,260         0         0
HASBRO INC              COM         418056107          1,014,206     27,620 SH       DEFINED        7     27,620         0         0
HCA HOLDINGS INC        COM         40412C101          8,937,276    361,248 SH       SOLE                361,248         0         0
HCA HOLDINGS INC        COM         40412C101          5,345,201    216,055 SH       DEFINED        1    216,055         0         0
HCA HOLDINGS INC        COM         40412C101            905,261     36,591 SH       DEFINED        6     36,591         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

HDFC BANK LTD           ADR REPS
                        3 SHS       40415F101         40,336,822  1,182,898 SH       SOLE              1,182,898         0         0
HDFC BANK LTD           ADR REPS
                        3 SHS       40415F101         17,669,529    518,168 SH       DEFINED        1    192,878         0   325,290
HDFC BANK LTD           ADR REPS
                        3 SHS       40415F101          6,596,645    193,450 SH       DEFINED        4     42,880         0   150,570
HDFC BANK LTD           ADR REPS
                        3 SHS       40415F101          2,852,942     83,664 SH       DEFINED        5     83,664         0         0
HDFC BANK LTD           ADR REPS
                        3 SHS       40415F101          8,528,205    250,094 SH       DEFINED        6    250,094         0         0
HDFC BANK LTD           ADR REPS
                        3 SHS       40415F101          3,678,708    107,880 SH       DEFINED        7    107,880         0         0
HEALTH MGMT ASSOC INC
   NEW                  CL A        421933102          6,323,009    940,924 SH       SOLE                940,924         0         0
HEALTHCARE SVCS GRP INC COM         421906108         23,253,576  1,093,257 SH       SOLE              1,093,257         0         0
HEALTHCARE SVCS GRP INC COM         421906108          2,218,461    104,300 SH       DEFINED        1     29,530         0    74,770
HEALTHSTREAM INC        COM         42222N103          5,307,890    228,887 SH       SOLE                228,887         0         0
HEALTHSTREAM INC        COM         42222N103            495,107     21,350 SH       DEFINED        1      6,320         0    15,030
HEARTWARE INTL INC      COM         422368100          7,805,220    118,819 SH       SOLE                118,819         0         0
HEARTWARE INTL INC      COM         422368100            861,196     13,110 SH       DEFINED        1      3,290         0     9,820
HESS CORP               COM         42809H107         47,888,622    812,360 SH       SOLE                729,189         0    83,171
HESS CORP               COM         42809H107          4,408,163     74,778 SH       DEFINED        1     35,306         0    39,472
HESS CORP               COM         42809H107            167,300      2,838 SH       DEFINED        5      2,838         0         0
HESS CORP               COM         42809H107            567,689      9,630 SH       DEFINED        6      9,630         0         0
HEWLETT PACKARD CO      COM         428236103        156,563,505  6,570,017 SH       SOLE              6,136,502         0   433,515
HEWLETT PACKARD CO      COM         428236103         20,839,502    874,507 SH       DEFINED        1    582,845         0   291,662
HEWLETT PACKARD CO      COM         428236103            975,600     40,940 SH       DEFINED        4     40,940         0         0
HEWLETT PACKARD CO      COM         428236103            471,905     19,803 SH       DEFINED        5     19,803         0         0
HEWLETT PACKARD CO      COM         428236103          2,834,054    118,928 SH       DEFINED        6    118,928         0         0
HEWLETT PACKARD CO      COM         428236103         15,238,856    639,482 SH       DEFINED        7    603,282         0    36,200
HHGREGG INC             COM         42833L108          1,378,892    121,168 SH       SOLE                121,168         0         0
HITTITE MICROWAVE CORP  COM         43365Y104          6,468,593    119,105 SH       SOLE                119,105         0         0
HITTITE MICROWAVE CORP  COM         43365Y104             60,827      1,120 SH       DEFINED        1      1,120         0         0
HOLLYFRONTIER CORP      COM         436106108          4,833,142    150,331 SH       SOLE                150,331         0         0
HOLLYFRONTIER CORP      COM         436106108          3,932,910    122,330 SH       DEFINED        1    122,330         0         0
HOLLYFRONTIER CORP      COM         436106108            935,179     29,088 SH       DEFINED        6     29,088         0         0
HOME DEPOT INC          COM         437076102            916,699     18,221 SH       SOLE                 18,221         0         0
HOME DEPOT INC          COM         437076102             31,041        617 SH       DEFINED        1        617         0         0
HOME PROPERTIES INC     COM         437306103         12,681,905    207,866 SH       SOLE                207,866         0         0
HOMEAWAY INC            COM         43739Q100         58,491,753  2,305,548 SH       SOLE              2,305,548         0         0
HOMEAWAY INC            COM         43739Q100          4,791,125    188,850 SH       DEFINED        1     54,630         0   134,220
HOMEAWAY INC            COM         43739Q100            118,732      4,680 SH       DEFINED        4      4,680         0         0
HONDA MOTOR LTD         AMERN SHS   438128308          5,766,960    150,064 SH       SOLE                150,064         0         0
HONDA MOTOR LTD         AMERN SHS   438128308          1,624,936     42,283 SH       DEFINED        7     42,283         0         0
HONEYWELL INTL INC      COM         438516106        926,203,286 15,171,225 SH       SOLE             14,157,327         0 1,013,898
HONEYWELL INTL INC      COM         438516106        516,364,868  8,458,065 SH       DEFINED        1  6,109,817         0 2,348,248
HONEYWELL INTL INC      COM         438516106         99,024,382  1,622,021 SH       DEFINED        2  1,622,021         0         0
HONEYWELL INTL INC      COM         438516106         26,233,796    429,710 SH       DEFINED        3    429,710         0         0
HONEYWELL INTL INC      COM         438516106        180,021,981  2,948,763 SH       DEFINED        4  2,298,033         0   650,730<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

HONEYWELL INTL INC      COM         438516106        181,364,715  2,970,757 SH       DEFINED        5  2,868,517         0   102,240
HONEYWELL INTL INC      COM         438516106         16,799,067    275,169 SH       DEFINED        6    275,169         0         0
HONEYWELL INTL INC      COM         438516106         42,491,411    696,010 SH       DEFINED        7    682,090         0    13,920
HOSPIRA INC             COM         441060100          4,227,538    113,066 SH       SOLE                113,066         0         0
HOST HOTELS & RESORTS
   INC                  COM         44107P104         14,183,021    863,765 SH       SOLE                863,765         0         0
HSBC HLDGS PLC          SPON ADR
                        NEW         404280406          4,624,062    104,169 SH       SOLE                104,169         0         0
HSBC HLDGS PLC          SPON ADR
                        NEW         404280406         12,046,558    271,380 SH       DEFINED        6    271,380         0         0
HSBC HLDGS PLC          SPON ADR
                        NEW         404280406         22,581,282    508,702 SH       DEFINED        7    493,186         0    15,516
HUMANA INC              COM         444859102          4,262,496     46,091 SH       SOLE                 46,091         0         0
HUMANA INC              COM         444859102             42,633        461 SH       DEFINED        1        461         0         0
HUNTINGTON BANCSHARES
   INC                  COM         446150104          9,645,395  1,495,410 SH       SOLE              1,495,410         0         0
HUNTINGTON INGALLS INDS
   INC                  COM         446413106         38,507,024    956,934 SH       SOLE                878,532         0    78,402
HUNTINGTON INGALLS INDS
   INC                  COM         446413106          5,990,810    148,877 SH       DEFINED        1     70,526         0    78,351
HUNTINGTON INGALLS INDS
   INC                  COM         446413106            226,189      5,621 SH       DEFINED        5      5,621         0         0
HUNTINGTON INGALLS INDS
   INC                  COM         446413106            784,398     19,493 SH       DEFINED        6     19,493         0         0
ICICI BK LTD            ADR         45104G104         63,423,927  1,818,868 SH       SOLE              1,767,678         0    51,190
ICICI BK LTD            ADR         45104G104         82,257,667  2,358,981 SH       DEFINED        1  1,841,806         0   517,175
ICICI BK LTD            ADR         45104G104             15,447        443 SH       DEFINED        2        443         0         0
ICICI BK LTD            ADR         45104G104          4,300,517    123,330 SH       DEFINED        3    123,330         0         0
ICICI BK LTD            ADR         45104G104         26,906,355    771,619 SH       DEFINED        4    577,629         0   193,990
ICICI BK LTD            ADR         45104G104         13,095,394    375,549 SH       DEFINED        5    339,359         0    36,190
ICICI BK LTD            ADR         45104G104          2,001,887     57,410 SH       DEFINED        6     57,410         0         0
ICICI BK LTD            ADR         45104G104         11,283,548    323,589 SH       DEFINED        7    317,089         0     6,500
IDEXX LABS INC          COM         45168D104         24,476,381    279,890 SH       SOLE                279,890         0         0
IDEXX LABS INC          COM         45168D104            778,917      8,907 SH       DEFINED        1      8,907         0         0
INFOSYS LTD             SPONSORED
                        ADR         456788108         69,762,575  1,223,261 SH       SOLE              1,206,531         0    16,730
INFOSYS LTD             SPONSORED
                        ADR         456788108         35,464,334    621,854 SH       DEFINED        1    487,604         0   134,250
INFOSYS LTD             SPONSORED
                        ADR         456788108            788,155     13,820 SH       DEFINED        6     13,820         0         0
INFOSYS LTD             SPONSORED
                        ADR         456788108          2,213,334     38,810 SH       DEFINED        7     38,810         0         0
ING GROEP N V           SPONSORED
                        ADR         456837103          4,139,591    497,547 SH       SOLE                497,547         0         0
ING GROEP N V           SPONSORED
                        ADR         456837103          1,009,407    121,323 SH       DEFINED        7    121,323         0         0
INGRAM MICRO INC        CL A        457153104          2,090,580    112,639 SH       SOLE                112,639         0         0
INTEL CORP              COM         458140100        354,419,707 12,608,314 SH       SOLE             11,680,433         0   927,881
INTEL CORP              COM         458140100         70,884,284  2,521,675 SH       DEFINED        1  1,241,082         0 1,280,593
INTEL CORP              COM         458140100          7,717,319    274,540 SH       DEFINED        4          0         0   274,540
INTEL CORP              COM         458140100          2,902,217    103,245 SH       DEFINED        5    103,245         0         0
INTEL CORP              COM         458140100          8,742,069    310,995 SH       DEFINED        6    310,995         0         0
INTEL CORP              COM         458140100          5,590,798    198,890 SH       DEFINED        7    187,090         0    11,800
INTERCONTINENTAL HTLS   SPONS ADR
   GRP PL               NEW         45857P301            264,708     11,400 SH       DEFINED        7     11,400         0         0
INTERCONTINENTALEXCHANGE
   INC                  COM         45865V100          7,070,259     51,450 SH       SOLE                 51,450         0         0
INTERLINE BRANDS INC    COM         458743101          1,815,759     84,024 SH       SOLE                 84,024         0         0
INTERMEC INC            COM         458786100          1,622,573    209,906 SH       SOLE                209,906         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

INTERNATIONAL
   BANCSHARES COR       COM         459044103          1,285,624     60,786 SH       SOLE                 60,786         0         0
INTERNATIONAL BUSINESS
   MACHS                COM         459200101        926,853,554  4,442,145 SH       SOLE              4,146,358         0   295,787
INTERNATIONAL BUSINESS
   MACHS                COM         459200101        157,302,904    753,908 SH       DEFINED        1    367,278         0   386,630
INTERNATIONAL BUSINESS
   MACHS                COM         459200101         29,886,609    143,238 SH       DEFINED        4     45,628         0    97,610
INTERNATIONAL BUSINESS
   MACHS                COM         459200101          9,328,324     44,708 SH       DEFINED        5     44,708         0         0
INTERNATIONAL BUSINESS
   MACHS                COM         459200101         14,875,910     71,296 SH       DEFINED        6     71,296         0         0
INTERNATIONAL BUSINESS
   MACHS                COM         459200101         22,646,871    108,540 SH       DEFINED        7    108,290         0       250
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101         17,640,358    301,030 SH       SOLE                279,990         0    21,040
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101         52,061,119    888,415 SH       DEFINED        1    693,595         0   194,820
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101         20,825,854    355,390 SH       DEFINED        2    355,390         0         0
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101          6,004,156    102,460 SH       DEFINED        3    102,460         0         0
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101         30,308,740    517,214 SH       DEFINED        4    386,724         0   130,490
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101         39,396,194    672,290 SH       DEFINED        5    647,920         0    24,370
INTERNATIONAL
   FLAVORS^FRAGRA       COM         459506101          1,385,890     23,650 SH       DEFINED        6     23,650         0         0
INTERNATIONAL RECTIFIER
   CORP                 COM         460254105          2,614,292    113,320 SH       SOLE                113,320         0         0
INTERNATIONAL RECTIFIER
   CORP                 COM         460254105            245,696     10,650 SH       DEFINED        4     10,650         0         0
INTERPUBLIC GROUP COS
   INC                  COM         460690100          7,876,859    690,347 SH       SOLE                690,347         0         0
INTL PAPER CO           COM         460146103          1,130,150     32,198 SH       SOLE                 32,198         0         0
INTL PAPER CO           COM         460146103          1,323,726     37,713 SH       DEFINED        7     34,850         0     2,863
INTUIT                  COM         461202103            111,060      1,847 SH       SOLE                  1,847         0         0
INTUIT                  COM         461202103            142,508      2,370 SH       DEFINED        1          0         0     2,370
INTUITIVE SURGICAL INC  COM NEW     46120E602          9,593,851     17,709 SH       SOLE                 17,709         0         0
IPC THE HOSPITALIST CO
   INC                  COM         44984A105         15,584,989    422,243 SH       SOLE                422,243         0         0
IPC THE HOSPITALIST CO
   INC                  COM         44984A105          1,366,408     37,020 SH       DEFINED        1     10,530         0    26,490
IPG PHOTONICS CORP      COM         44980X109         19,609,525    376,744 SH       SOLE                376,744         0         0
IPG PHOTONICS CORP      COM         44980X109          1,862,349     35,780 SH       DEFINED        1     10,220         0    25,560
ISHARES TR              MSCI EAFE
                        INDEX       464287465        146,056,472  2,660,894 SH       SOLE              2,660,894         0         0
ISHARES TR              DJ US REAL
                        EST         464287739         15,575,000    250,000 SH  Put  SOLE                250,000         0         0
ITAU UNIBANCO HLDG SA   SPON ADR
                        REP PFD     465562106        135,197,043  7,045,182 SH       SOLE              7,045,182         0         0
ITAU UNIBANCO HLDG SA   SPON ADR
                        REP PFD     465562106         34,893,849  1,818,335 SH       DEFINED        1    680,005         0 1,138,330
ITAU UNIBANCO HLDG SA   SPON ADR
                        REP PFD     465562106          8,855,417    461,460 SH       DEFINED        4          0         0   461,460
ITAU UNIBANCO HLDG SA   SPON ADR
                        REP PFD     465562106         19,292,858  1,005,360 SH       DEFINED        6  1,005,360         0         0
ITAU UNIBANCO HLDG SA   SPON ADR
                        REP PFD     465562106          2,494,124    129,970 SH       DEFINED        7    129,970         0         0
ITC HLDGS CORP          COM         465685105         10,996,111    142,918 SH       SOLE                130,238         0    12,680
ITC HLDGS CORP          COM         465685105              9,925        129 SH       DEFINED        1        129         0         0
ITC HLDGS CORP          COM         465685105          4,451,671     57,859 SH       DEFINED        4     57,859         0         0
JDS UNIPHASE CORP       COM PAR
                        $0.001      46612J507         15,908,426  1,097,890 SH       SOLE              1,097,890         0         0
JDS UNIPHASE CORP       COM PAR
                        $0.001      46612J507          1,382,201     95,390 SH       DEFINED        1     95,390         0         0
JDS UNIPHASE CORP       COM PAR
                        $0.001      46612J507            806,369     55,650 SH       DEFINED        4     55,650         0         0
JOHNSON & JOHNSON       COM         478160104      1,147,750,436 17,400,704 SH       SOLE             16,117,213         0 1,283,491
JOHNSON & JOHNSON       COM         478160104        270,906,427  4,107,132 SH       DEFINED        1  2,145,838         0 1,961,294
JOHNSON & JOHNSON       COM         478160104         30,680,832    465,143 SH       DEFINED        2    465,143         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

JOHNSON & JOHNSON       COM         478160104          8,872,873    134,519 SH       DEFINED        3    134,519         0         0
JOHNSON & JOHNSON       COM         478160104         85,951,157  1,303,080 SH       DEFINED        4    765,209         0   537,871
JOHNSON & JOHNSON       COM         478160104         68,319,785  1,035,776 SH       DEFINED        5  1,003,796         0    31,980
JOHNSON & JOHNSON       COM         478160104         21,019,209    318,666 SH       DEFINED        6    318,666         0         0
JOHNSON & JOHNSON       COM         478160104         43,433,341    658,480 SH       DEFINED        7    647,730         0    10,750
JOHNSON CTLS INC        COM         478366107        564,201,148 17,370,725 SH       SOLE             16,454,780         0   915,945
JOHNSON CTLS INC        COM         478366107         79,261,756  2,440,325 SH       DEFINED        1  1,496,009         0   944,316
JOHNSON CTLS INC        COM         478366107          6,297,547    193,890 SH       DEFINED        4     78,090         0   115,800
JOHNSON CTLS INC        COM         478366107          4,629,537    142,535 SH       DEFINED        5    142,535         0         0
JOHNSON CTLS INC        COM         478366107          8,191,034    252,187 SH       DEFINED        6    252,187         0         0
JOHNSON CTLS INC        COM         478366107         12,360,589    380,560 SH       DEFINED        7    374,560         0     6,000
JONES GROUP INC         COM         48020T101          1,707,281    135,930 SH       SOLE                135,930         0         0
JONES LANG LASALLE INC  COM         48020Q107         66,055,916    792,893 SH       SOLE                792,893         0         0
JONES LANG LASALLE INC  COM         48020Q107          3,424,874     41,110 SH       DEFINED        1     21,850         0    19,260
JOY GLOBAL INC          COM         481165108        156,487,086  2,129,076 SH       SOLE              2,129,076         0         0
JOY GLOBAL INC          COM         481165108          8,714,601    118,566 SH       DEFINED        1    103,016         0    15,550
JOY GLOBAL INC          COM         481165108            137,445      1,870 SH       DEFINED        4      1,870         0         0
JOY GLOBAL INC          COM         481165108          1,020,621     13,886 SH       DEFINED        6     13,886         0         0
JOY GLOBAL INC          COM         481165108         15,675,713    213,275 SH       DEFINED        7    208,775         0     4,500
JPMORGAN CHASE & CO     COM         46625H100      1,521,413,552 33,088,594 SH       SOLE             30,595,855         0 2,492,739
JPMORGAN CHASE & CO     COM         46625H100        234,378,544  5,097,402 SH       DEFINED        1  2,246,315         0 2,851,087
JPMORGAN CHASE & CO     COM         46625H100         48,197,569  1,048,229 SH       DEFINED        4    484,959         0   563,270
JPMORGAN CHASE & CO     COM         46625H100          9,262,395    201,444 SH       DEFINED        5    201,444         0         0
JPMORGAN CHASE & CO     COM         46625H100         23,776,902    517,114 SH       DEFINED        6    517,114         0         0
JPMORGAN CHASE & CO     COM         46625H100         85,979,014  1,869,922 SH       DEFINED        7  1,837,152         0    32,770
JUNIPER NETWORKS INC    COM         48203R104         11,055,067    483,176 SH       SOLE                483,176         0         0
JUNIPER NETWORKS INC    COM         48203R104            758,472     33,150 SH       DEFINED        1     33,150         0         0
JUNIPER NETWORKS INC    COM         48203R104            405,434     17,720 SH       DEFINED        4     17,720         0         0
JUNIPER NETWORKS INC    COM         48203R104          3,076,216    134,450 SH       DEFINED        7    134,450         0         0
KAMAN CORP              COM         483548103         11,724,497    345,346 SH       SOLE                345,346         0         0
KAMAN CORP              COM         483548103            941,094     27,720 SH       DEFINED        1      7,960         0    19,760
KANSAS CITY SOUTHERN    COM NEW     485170302         68,192,173    951,209 SH       SOLE                951,209         0         0
KANSAS CITY SOUTHERN    COM NEW     485170302          2,075,426     28,950 SH       DEFINED        1     28,950         0         0
KELLOGG CO              COM         487836108        148,537,617  2,769,674 SH       SOLE              2,536,925         0   232,749
KELLOGG CO              COM         487836108         27,213,471    507,430 SH       DEFINED        1    239,628         0   267,802
KELLOGG CO              COM         487836108            900,501     16,791 SH       DEFINED        5     16,791         0         0
KELLOGG CO              COM         487836108          2,979,683     55,560 SH       DEFINED        6     55,560         0         0
KENNAMETAL INC          COM         489170100         17,895,138    401,867 SH       SOLE                401,867         0         0
KENNAMETAL INC          COM         489170100          1,217,005     27,330 SH       DEFINED        1      7,860         0    19,470
KEYCORP NEW             COM         493267108         14,385,069  1,692,361 SH       SOLE              1,692,361         0         0
KEYCORP NEW             COM         493267108          5,476,142    644,252 SH       DEFINED        1    592,512         0    51,740
KEYCORP NEW             COM         493267108            665,380     78,280 SH       DEFINED        6     78,280         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

KIMBERLY CLARK CORP     COM         494368103          1,111,306     15,040 SH       SOLE                 15,040         0         0
KIMBERLY CLARK CORP     COM         494368103             31,773        430 SH       DEFINED        1        430         0         0
KIMCO RLTY CORP         COM         49446R109         12,512,760    649,676 SH       SOLE                649,676         0         0
KIRKLANDS INC           COM         497498105          1,636,607    101,150 SH       SOLE                101,150         0         0
KLA-TENCOR CORP         COM         482480100         19,416,076    356,782 SH       SOLE                356,782         0         0
KLA-TENCOR CORP         COM         482480100          5,257,516     96,610 SH       DEFINED        1     93,680         0     2,930
KLA-TENCOR CORP         COM         482480100          1,211,607     22,264 SH       DEFINED        6     22,264         0         0
KOHLS CORP              COM         500255104        271,000,753  5,416,765 SH       SOLE              5,077,692         0   339,073
KOHLS CORP              COM         500255104         41,981,274    839,122 SH       DEFINED        1    368,038         0   471,084
KOHLS CORP              COM         500255104         15,830,693    316,424 SH       DEFINED        4    215,304         0   101,120
KOHLS CORP              COM         500255104          1,779,317     35,565 SH       DEFINED        5     35,565         0         0
KOHLS CORP              COM         500255104          2,104,112     42,057 SH       DEFINED        6     42,057         0         0
KOHLS CORP              COM         500255104         36,962,064    738,798 SH       DEFINED        7    731,348         0     7,450
KOPPERS HOLDINGS INC    COM         50060P106          1,287,364     33,386 SH       SOLE                 33,386         0         0
KRAFT FOODS INC         CL A        50075N104         65,655,015  1,727,309 SH       SOLE              1,727,309         0         0
KRAFT FOODS INC         CL A        50075N104         27,086,534    712,616 SH       DEFINED        1    213,686         0   498,930
KRAFT FOODS INC         CL A        50075N104            263,409      6,930 SH       DEFINED        4      6,930         0         0
KRAFT FOODS INC         CL A        50075N104          8,481,513    223,139 SH       DEFINED        7    223,139         0         0
KROGER CO               COM         501044101         34,775,429  1,435,222 SH       SOLE              1,331,692         0   103,530
KROGER CO               COM         501044101          9,996,668    412,574 SH       DEFINED        1    393,286         0    19,288
KROGER CO               COM         501044101          1,561,212     64,433 SH       DEFINED        6     64,433         0         0
LANDSTAR SYS INC        COM         515098101         13,767,374    238,520 SH       SOLE                238,520         0         0
LANDSTAR SYS INC        COM         515098101          1,123,808     19,470 SH       DEFINED        1      5,590         0    13,880
LAS VEGAS SANDS CORP    COM         517834107         73,803,186  1,281,973 SH       SOLE              1,281,973         0         0
LAS VEGAS SANDS CORP    COM         517834107          3,007,687     52,244 SH       DEFINED        1     52,244         0         0
LAUDER ESTEE COS INC    CL A        518439104         34,525,356    557,400 SH       SOLE                557,400         0         0
LAUDER ESTEE COS INC    CL A        518439104          1,440,724     23,260 SH       DEFINED        1     23,260         0         0
LAUDER ESTEE COS INC    CL A        518439104          1,793,163     28,950 SH       DEFINED        7     25,550         0     3,400
LEAR CORP               COM NEW     521865204          8,834,123    190,022 SH       SOLE                190,022         0         0
LENNAR CORP             CL A        526057104          6,292,442    231,510 SH       SOLE                231,510         0         0
LENNAR CORP             CL A        526057104            567,518     20,880 SH       DEFINED        1      6,010         0    14,870
LENNOX INTL INC         COM         526107107          6,471,696    160,588 SH       SOLE                160,588         0         0
LEVEL 3 COMMUNICATIONS
   INC                  COM NEW     52729N308         17,372,639    675,190 SH       SOLE                675,190         0         0
LEVEL 3 COMMUNICATIONS
   INC                  COM NEW     52729N308          1,571,588     61,080 SH       DEFINED        1     17,570         0    43,510
LIBERTY GLOBAL INC      COM SER A   530555101         72,614,898  1,449,978 SH       SOLE              1,325,878         0   124,100
LINCARE HLDGS INC       COM         532791100          2,497,058     96,486 SH       SOLE                 96,486         0         0
LINEAR TECHNOLOGY CORP  COM         535678106          2,196,903     65,190 SH       SOLE                 65,190         0         0
LINEAR TECHNOLOGY CORP  COM         535678106          1,741,144     51,666 SH       DEFINED        1     51,666         0         0
LINKEDIN CORP           COM CL A    53578A108          7,234,151     70,930 SH       SOLE                 70,930         0         0
LKQ CORP                COM         501889208         15,880,055    509,466 SH       SOLE                509,466         0         0
LKQ CORP                COM         501889208            428,276     13,740 SH       DEFINED        1     13,740         0         0
LOCKHEED MARTIN CORP    COM         539830109      1,269,580,720 14,128,430 SH       SOLE             13,002,806         0 1,125,624<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

LOCKHEED MARTIN CORP    COM         539830109        209,548,218  2,331,941 SH       DEFINED        1  1,082,667         0 1,249,274
LOCKHEED MARTIN CORP    COM         539830109         10,987,721    122,276 SH       DEFINED        5    122,276         0         0
LOCKHEED MARTIN CORP    COM         539830109         24,411,008    271,656 SH       DEFINED        6    271,656         0         0
LOCKHEED MARTIN CORP    COM         539830109          5,059,118     56,300 SH       DEFINED        7     56,300         0         0
LOGMEIN INC             COM         54142L109          8,721,398    247,556 SH       SOLE                247,556         0         0
LOGMEIN INC             COM         54142L109            918,798     26,080 SH       DEFINED        1      6,840         0    19,240
LONE PINE RES INC       COM         54222A106          1,098,045    168,930 SH       SOLE                168,930         0         0
LORILLARD INC           COM         544147101        138,495,951  1,069,632 SH       SOLE              1,018,982         0    50,650
LORILLARD INC           COM         544147101         17,411,176    134,470 SH       DEFINED        1     83,810         0    50,660
LORILLARD INC           COM         544147101            270,613      2,090 SH       DEFINED        4      2,090         0         0
LORILLARD INC           COM         544147101            470,012      3,630 SH       DEFINED        5      3,630         0         0
LORILLARD INC           COM         544147101          1,621,090     12,520 SH       DEFINED        6     12,520         0         0
LORILLARD INC           COM         544147101            163,145      1,260 SH       DEFINED        7      1,260         0         0
LYONDELLBASELL
   INDUSTRIES N         SHS - A -   N53745100          3,846,307     88,117 SH       SOLE                 88,117         0         0
M/I HOMES INC           COM         55305B101          1,466,118    118,618 SH       SOLE                118,618         0         0
MA COM TECHNOLOGY
   SOLUTIONS            COM         55405Y100          2,605,774    125,640 SH       SOLE                125,640         0         0
MACK CALI RLTY CORP     COM         554489104         10,463,303    363,057 SH       SOLE                363,057         0         0
MACYS INC               COM         55616P104         16,475,276    414,681 SH       SOLE                414,681         0         0
MACYS INC               COM         55616P104         14,666,647    369,158 SH       DEFINED        1    358,930         0    10,228
MACYS INC               COM         55616P104          1,626,546     40,940 SH       DEFINED        6     40,940         0         0
MAKEMYTRIP LIMITED
   MAURITIUS            SHS         V5633W109          9,418,619    410,040 SH       SOLE                410,040         0         0
MAKEMYTRIP LIMITED
   MAURITIUS            SHS         V5633W109            900,883     39,220 SH       DEFINED        1     11,050         0    28,170
MARATHON OIL CORP       COM         565849106          1,311,809     41,382 SH       SOLE                 41,382         0         0
MASIMO CORP             COM         574795100         23,984,420  1,025,852 SH       SOLE              1,025,852         0         0
MASIMO CORP             COM         574795100          2,365,588    101,180 SH       DEFINED        1     28,170         0    73,010
MASTERCARD INC          CL A        57636Q104        458,747,741  1,090,854 SH       SOLE              1,041,247         0    49,607
MASTERCARD INC          CL A        57636Q104         69,797,024    165,970 SH       DEFINED        1     71,441         0    94,529
MASTERCARD INC          CL A        57636Q104         24,988,487     59,420 SH       DEFINED        4     34,700         0    24,720
MASTERCARD INC          CL A        57636Q104          4,431,651     10,538 SH       DEFINED        5     10,538         0         0
MASTERCARD INC          CL A        57636Q104          3,862,660      9,185 SH       DEFINED        6      9,185         0         0
MASTERCARD INC          CL A        57636Q104         29,181,271     69,390 SH       DEFINED        7     69,150         0       240
MATTEL INC              COM         577081102         10,181,679    302,486 SH       SOLE                302,486         0         0
MAXLINEAR INC           CL A        57776J100          1,291,611    231,887 SH       SOLE                231,887         0         0
MCCORMICK & CO INC      COM NON
                        VTG         579780206          3,783,103     69,504 SH       SOLE                 69,504         0         0
MCCORMICK & CO INC      COM NON
                        VTG         579780206             21,282        391 SH       DEFINED        1        391         0         0
MCDONALDS CORP          COM         580135101         16,812,770    171,384 SH       SOLE                171,384         0         0
MCDONALDS CORP          COM         580135101         12,102,891    123,373 SH       DEFINED        1    117,593         0     5,780
MCDONALDS CORP          COM         580135101          2,680,975     27,329 SH       DEFINED        6     27,329         0         0
MCKESSON CORP           COM         58155Q103         14,326,258    163,225 SH       SOLE                163,225         0         0
MCKESSON CORP           COM         58155Q103         11,868,084    135,218 SH       DEFINED        1    131,618         0     3,600
MCKESSON CORP           COM         58155Q103          1,761,105     20,065 SH       DEFINED        6     20,065         0         0
MEAD JOHNSON NUTRITION
   CO                   COM         582839106        147,647,613  1,790,102 SH       SOLE              1,790,102         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

MEAD JOHNSON NUTRITION
   CO                   COM         582839106         13,124,630    159,125 SH       DEFINED        1    159,125         0         0
MEAD JOHNSON NUTRITION
   CO                   COM         582839106          1,921,784     23,300 SH       DEFINED        4     23,300         0         0
MEAD JOHNSON NUTRITION
   CO                   COM         582839106          1,167,669     14,157 SH       DEFINED        5     14,157         0         0
MEAD JOHNSON NUTRITION
   CO                   COM         582839106          4,251,019     51,540 SH       DEFINED        7     51,540         0         0
MEDCO HEALTH SOLUTIONS
   INC                  COM         58405U102         30,228,016    429,986 SH       SOLE                429,986         0         0
MEDICAL PPTYS TRUST INC COM         58463J304         15,160,820  1,633,709 SH       SOLE              1,633,709         0         0
MEDTRONIC INC           COM         585055106        628,140,298 16,028,076 SH       SOLE             14,861,069         0 1,167,007
MEDTRONIC INC           COM         585055106        397,461,570 10,141,913 SH       DEFINED        1  7,338,001         0 2,803,912
MEDTRONIC INC           COM         585055106         73,721,132  1,881,121 SH       DEFINED        2  1,881,121         0         0
MEDTRONIC INC           COM         585055106         19,710,924    502,958 SH       DEFINED        3    502,958         0         0
MEDTRONIC INC           COM         585055106        142,836,224  3,644,711 SH       DEFINED        4  2,711,675         0   933,036
MEDTRONIC INC           COM         585055106        134,367,735  3,428,623 SH       DEFINED        5  3,310,513         0   118,110
MEDTRONIC INC           COM         585055106         13,894,815    354,550 SH       DEFINED        6    354,550         0         0
MEDTRONIC INC           COM         585055106         32,768,091    836,134 SH       DEFINED        7    834,074         0     2,060
MERCK & CO INC NEW      COM         58933Y105        265,452,019  6,912,813 SH       SOLE              6,444,015         0   468,798
MERCK & CO INC NEW      COM         58933Y105         40,598,400  1,057,250 SH       DEFINED        1    578,350         0   478,900
MERCK & CO INC NEW      COM         58933Y105            339,456      8,840 SH       DEFINED        4      8,840         0         0
MERCK & CO INC NEW      COM         58933Y105          1,291,968     33,645 SH       DEFINED        5     33,645         0         0
MERCK & CO INC NEW      COM         58933Y105          4,417,267    115,033 SH       DEFINED        6    115,033         0         0
MERCK & CO INC NEW      COM         58933Y105         14,037,888    365,570 SH       DEFINED        7    325,370         0    40,200
METLIFE INC             COM         59156R108        701,200,944 18,773,787 SH       SOLE             17,218,143         0 1,555,644
METLIFE INC             COM         59156R108        110,683,588  2,963,416 SH       DEFINED        1  1,328,636         0 1,634,780
METLIFE INC             COM         59156R108          9,869,738    264,250 SH       DEFINED        4      2,940         0   261,310
METLIFE INC             COM         59156R108          6,225,872    166,690 SH       DEFINED        5    166,690         0         0
METLIFE INC             COM         59156R108         12,744,343    341,214 SH       DEFINED        6    341,214         0         0
METLIFE INC             COM         59156R108          2,467,715     66,070 SH       DEFINED        7     66,070         0         0
METTLER TOLEDO
   INTERNATIONAL        COM         592688105         58,275,508    315,429 SH       SOLE                315,429         0         0
METTLER TOLEDO
   INTERNATIONAL        COM         592688105         10,344,153     55,990 SH       DEFINED        1     55,990         0         0
METTLER TOLEDO
   INTERNATIONAL        COM         592688105          1,359,760      7,360 SH       DEFINED        4      7,360         0         0
METTLER TOLEDO
   INTERNATIONAL        COM         592688105          1,036,448      5,610 SH       DEFINED        5      5,610         0         0
METTLER TOLEDO
   INTERNATIONAL        COM         592688105          9,060,140     49,040 SH       DEFINED        6     49,040         0         0
METTLER TOLEDO
   INTERNATIONAL        COM         592688105          3,412,333     18,470 SH       DEFINED        7     18,470         0         0
MICROCHIP TECHNOLOGY
   INC                  COM         595017104        256,371,910  6,891,718 SH       SOLE              6,643,228         0   248,490
MICROCHIP TECHNOLOGY
   INC                  COM         595017104         93,705,647  2,518,969 SH       DEFINED        1  1,581,289         0   937,680
MICROCHIP TECHNOLOGY
   INC                  COM         595017104         21,685,368    582,940 SH       DEFINED        2    582,940         0         0
MICROCHIP TECHNOLOGY
   INC                  COM         595017104          6,306,144    169,520 SH       DEFINED        3    169,520         0         0
MICROCHIP TECHNOLOGY
   INC                  COM         595017104         55,395,264  1,489,120 SH       DEFINED        4  1,082,760         0   406,360
MICROCHIP TECHNOLOGY
   INC                  COM         595017104         43,362,180  1,165,650 SH       DEFINED        5  1,125,140         0    40,510
MICROCHIP TECHNOLOGY
   INC                  COM         595017104          1,421,635     38,216 SH       DEFINED        6     38,216         0         0
MICROCHIP TECHNOLOGY
   INC                  COM         595017104         45,676,392  1,227,860 SH       DEFINED        7  1,214,040         0    13,820
MICROS SYS INC          COM         594901100         13,672,111    247,280 SH       SOLE                247,280         0         0
MICROSOFT CORP          COM         594918104         52,310,177  1,622,021 SH       SOLE              1,534,181         0    87,840<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

MICROSOFT CORP          COM         594918104         10,863,800    336,862 SH       DEFINED        1    311,884         0    24,978
MICROSOFT CORP          COM         594918104             43,538      1,350 SH       DEFINED        4      1,350         0         0
MICROSOFT CORP          COM         594918104          2,184,325     67,731 SH       DEFINED        6     67,731         0         0
MICROSOFT CORP          COM         594918104         14,432,681    447,525 SH       DEFINED        7    426,925         0    20,600
MID-AMER APT CMNTYS INC COM         59522J103         24,936,769    372,024 SH       SOLE                372,024         0         0
MID-AMER APT CMNTYS INC COM         59522J103            101,215      1,510 SH       DEFINED        1      1,510         0         0
MILLER HERMAN INC       COM         600544100         35,375,230  1,540,733 SH       SOLE              1,540,733         0         0
MILLER HERMAN INC       COM         600544100          2,921,890    127,260 SH       DEFINED        1     34,240         0    93,020
MITSUBISHI UFJ FINL     SPONSORED
   GROUP IN             ADR         606822104          3,973,432    797,878 SH       SOLE                797,878         0         0
MITSUBISHI UFJ FINL     SPONSORED
   GROUP IN             ADR         606822104            524,394    105,300 SH       DEFINED        7    100,900         0     4,400
MOBILE TELESYSTEMS OJSC SPONSORED
                        ADR         607409109         74,892,986  4,083,587 SH       SOLE              3,778,037         0   305,550
MOBILE TELESYSTEMS OJSC SPONSORED
                        ADR         607409109          1,155,053     62,980 SH       DEFINED        1     62,980         0         0
MOBILE TELESYSTEMS OJSC SPONSORED
                        ADR         607409109            185,601     10,120 SH       DEFINED        6     10,120         0         0
MOLYCORP INC DEL        COM         608753109         19,243,891    568,841 SH       SOLE                568,841         0         0
MOLYCORP INC DEL        COM         608753109          1,854,899     54,830 SH       DEFINED        1     15,570         0    39,260
MONOLITHIC PWR SYS INC  COM         609839105         34,540,205  1,755,984 SH       SOLE              1,755,984         0         0
MONOLITHIC PWR SYS INC  COM         609839105          3,133,628    159,310 SH       DEFINED        1     43,540         0   115,770
MONOLITHIC PWR SYS INC  COM         609839105             93,826      4,770 SH       DEFINED        4      4,770         0         0
MONRO MUFFLER BRAKE INC COM         610236101         15,460,253    372,626 SH       SOLE                372,626         0         0
MONRO MUFFLER BRAKE INC COM         610236101          1,405,266     33,870 SH       DEFINED        1      9,760         0    24,110
MONSANTO CO NEW         COM         61166W101         50,046,768    627,467 SH       SOLE                627,467         0         0
MONSANTO CO NEW         COM         61166W101          7,178,560     90,002 SH       DEFINED        1     90,002         0         0
MONSANTO CO NEW         COM         61166W101          1,712,447     21,470 SH       DEFINED        4     21,470         0         0
MONSANTO CO NEW         COM         61166W101            925,455     11,603 SH       DEFINED        5     11,603         0         0
MONSANTO CO NEW         COM         61166W101          6,730,149     84,380 SH       DEFINED        7     79,380         0     5,000
MOODYS CORP             COM         615369105        165,740,796  3,936,836 SH       SOLE              3,630,235         0   306,601
MOODYS CORP             COM         615369105         27,350,012    649,644 SH       DEFINED        1    344,725         0   304,919
MOODYS CORP             COM         615369105            921,569     21,890 SH       DEFINED        5     21,890         0         0
MOODYS CORP             COM         615369105          3,179,813     75,530 SH       DEFINED        6     75,530         0         0
MORGAN STANLEY          COM NEW     617446448          3,878,625    197,486 SH       SOLE                197,486         0         0
MORGANS HOTEL GROUP CO  COM         61748W108          7,629,504  1,541,314 SH       SOLE              1,541,314         0         0
MORGANS HOTEL GROUP CO  COM         61748W108            905,306    182,890 SH       DEFINED        1     41,240         0   141,650
MSC INDL DIRECT INC     CL A        553530106         32,016,413    384,443 SH       SOLE                384,443         0         0
MSC INDL DIRECT INC     CL A        553530106          1,744,716     20,950 SH       DEFINED        1      5,670         0    15,280
MSCI INC                CL A        55354G100         83,784,640  2,276,138 SH       SOLE              2,276,138         0         0
MSCI INC                CL A        55354G100          9,730,539    264,345 SH       DEFINED        1    264,345         0         0
MSCI INC                CL A        55354G100          2,165,532     58,830 SH       DEFINED        4     58,830         0         0
MSCI INC                CL A        55354G100          1,579,002     42,896 SH       DEFINED        5     42,896         0         0
MSCI INC                CL A        55354G100          5,358,432    145,570 SH       DEFINED        7    145,570         0         0
NATIONAL FUEL GAS CO
   N J                  COM         636180101         15,389,257    319,810 SH       SOLE                291,770         0    28,040
NATIONAL INSTRS CORP    COM         636518102         24,716,002    866,620 SH       SOLE                866,620         0         0
NATIONAL INSTRS CORP    COM         636518102          2,537,710     88,980 SH       DEFINED        1     23,180         0    65,800<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

NATIONAL OILWELL VARCO
   INC                  COM         637071101        111,281,762  1,400,299 SH       SOLE              1,332,837         0    67,462
NATIONAL OILWELL VARCO
   INC                  COM         637071101        129,032,181  1,623,659 SH       DEFINED        1  1,174,556         0   449,103
NATIONAL OILWELL VARCO
   INC                  COM         637071101         44,573,372    560,883 SH       DEFINED        2    560,883         0         0
NATIONAL OILWELL VARCO
   INC                  COM         637071101         13,088,709    164,700 SH       DEFINED        3    164,700         0         0
NATIONAL OILWELL VARCO
   INC                  COM         637071101         77,758,375    978,462 SH       DEFINED        4    724,532         0   253,930
NATIONAL OILWELL VARCO
   INC                  COM         637071101         85,711,097  1,078,534 SH       DEFINED        5  1,039,644         0    38,890
NATIONAL OILWELL VARCO
   INC                  COM         637071101          2,968,046     37,348 SH       DEFINED        6     37,348         0         0
NATIONAL OILWELL VARCO
   INC                  COM         637071101         16,036,251    201,790 SH       DEFINED        7    201,050         0       740
NATIONAL RETAIL PPTYS
   INC                  COM         637417106         10,836,303    398,540 SH       SOLE                398,540         0         0
NETAPP INC              COM         64110D104         58,219,803  1,300,420 SH       SOLE              1,300,420         0         0
NETAPP INC              COM         64110D104          2,029,872     45,340 SH       DEFINED        1     45,340         0         0
NETAPP INC              COM         64110D104            221,612      4,950 SH       DEFINED        4      4,950         0         0
NETSUITE INC            COM         64118Q107         10,794,296    214,641 SH       SOLE                214,641         0         0
NETSUITE INC            COM         64118Q107            995,742     19,800 SH       DEFINED        1      5,710         0    14,090
NEWELL RUBBERMAID INC   COM         651229106            774,397     43,481 SH       SOLE                 43,481         0         0
NEWLINK GENETICS CORP   COM         651511107          1,269,746    138,770 SH       SOLE                138,770         0         0
NEWLINK GENETICS CORP   COM         651511107            118,127     12,910 SH       DEFINED        1      3,880         0     9,030
NEWS CORP               CL A        65248E104        115,159,859  5,848,647 SH       SOLE              5,848,647         0         0
NEWS CORP               CL A        65248E104          8,629,143    438,250 SH       DEFINED        1    438,250         0         0
NEWS CORP               CL A        65248E104            295,744     15,020 SH       DEFINED        4     15,020         0         0
NEWS CORP               CL A        65248E104         10,245,554    520,343 SH       DEFINED        7    520,343         0         0
NEXTERA ENERGY INC      COM         65339F101        147,256,550  2,410,880 SH       SOLE              2,207,270         0   203,610
NICE SYS LTD            SPONSORED
                        ADR         653656108         57,279,632  1,457,497 SH       SOLE              1,457,497         0         0
NICE SYS LTD            SPONSORED
                        ADR         653656108          8,398,410    213,700 SH       DEFINED        1    213,700         0         0
NICE SYS LTD            SPONSORED
                        ADR         653656108         15,242,466    387,849 SH       DEFINED        6    387,849         0         0
NIELSEN HOLDINGS N V    COM         N63218106          5,876,064    194,959 SH       SOLE                194,959         0         0
NII HLDGS INC           CL B NEW    62913F201         44,942,627  2,454,540 SH       SOLE              2,246,820         0   207,720
NIKE INC                CL B        654106103        204,250,102  1,883,531 SH       SOLE              1,835,783         0    47,748
NIKE INC                CL B        654106103         88,248,797    813,803 SH       DEFINED        1    552,283         0   261,520
NIKE INC                CL B        654106103         24,348,250    224,532 SH       DEFINED        2    224,532         0         0
NIKE INC                CL B        654106103          7,001,103     64,562 SH       DEFINED        3     64,562         0         0
NIKE INC                CL B        654106103         51,601,608    475,854 SH       DEFINED        4    347,834         0   128,020
NIKE INC                CL B        654106103         47,324,517    436,412 SH       DEFINED        5    421,052         0    15,360
NIKE INC                CL B        654106103          1,617,274     14,914 SH       DEFINED        6     14,914         0         0
NIKE INC                CL B        654106103         33,486,923    308,806 SH       DEFINED        7    308,056         0       750
NISOURCE INC            COM         65473P105         17,910,180    735,531 SH       SOLE                681,571         0    53,960
NISOURCE INC            COM         65473P105          7,823,071    321,276 SH       DEFINED        4    321,276         0         0
NOBLE ENERGY INC        COM         655044105        136,288,697  1,393,830 SH       SOLE              1,321,370         0    72,460
NOBLE ENERGY INC        COM         655044105          2,801,788     28,654 SH       DEFINED        1     28,654         0         0
NORTHEAST UTILS         COM         664397106         67,740,622  1,824,909 SH       SOLE              1,683,989         0   140,920
NORTHEAST UTILS         COM         664397106          7,842,936    211,286 SH       DEFINED        4    211,286         0         0
NORTHEAST UTILS         COM         664397106            141,056      3,800 SH       DEFINED        7      3,800         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

NORTHROP GRUMMAN CORP   COM         666807102        393,194,254  6,437,365 SH       SOLE              6,007,179         0   430,186
NORTHROP GRUMMAN CORP   COM         666807102         66,370,444  1,086,615 SH       DEFINED        1    561,223         0   525,392
NORTHROP GRUMMAN CORP   COM         666807102          3,195,828     52,322 SH       DEFINED        5     52,322         0         0
NORTHROP GRUMMAN CORP   COM         666807102          8,056,330    131,898 SH       DEFINED        6    131,898         0         0
NORTHROP GRUMMAN CORP   COM         666807102            963,232     15,770 SH       DEFINED        7     15,770         0         0
NORTHWESTERN CORP       COM NEW     668074305          5,937,351    167,438 SH       SOLE                167,438         0         0
NORTHWESTERN CORP       COM NEW     668074305          2,866,409     80,835 SH       DEFINED        4     80,835         0         0
NOVARTIS A G            SPONSORED
                        ADR         66987V109          4,248,673     76,677 SH       SOLE                 76,677         0         0
NOVARTIS A G            SPONSORED
                        ADR         66987V109          3,831,602     69,150 SH       DEFINED        7     55,550         0    13,600
NRG ENERGY INC          COM NEW     629377508        106,295,894  6,783,401 SH       SOLE              6,171,858         0   611,543
NRG ENERGY INC          COM NEW     629377508            144,477      9,220 SH       DEFINED        1          0         0     9,220
NSTAR                   COM         67019E107             22,418        461 SH       DEFINED        1        461         0         0
NSTAR                   COM         67019E107          3,236,132     66,546 SH       DEFINED        4     66,546         0         0
NUANCE COMMUNICATIONS
   INC                  COM         67020Y100         72,699,486  2,842,044 SH       SOLE              2,842,044         0         0
NUANCE COMMUNICATIONS
   INC                  COM         67020Y100         10,216,959    399,412 SH       DEFINED        1    321,542         0    77,870
NUANCE COMMUNICATIONS
   INC                  COM         67020Y100            167,549      6,550 SH       DEFINED        4      6,550         0         0
NUANCE COMMUNICATIONS
   INC                  COM         67020Y100          1,296,190     50,672 SH       DEFINED        6     50,672         0         0
NUANCE COMMUNICATIONS
   INC                  COM         67020Y100            821,118     32,100 SH       DEFINED        7     32,100         0         0
NUCOR CORP              COM         670346105          1,055,196     24,568 SH       SOLE                 24,568         0         0
NV ENERGY INC           COM         67073Y106         44,855,722  2,782,613 SH       SOLE              2,539,253         0   243,360
NV ENERGY INC           COM         67073Y106          4,396,923    272,762 SH       DEFINED        4    272,762         0         0
NVR INC                 COM         62944T105         43,574,716     59,993 SH       SOLE                 59,993         0         0
NVR INC                 COM         62944T105          2,316,993      3,190 SH       DEFINED        1      1,070         0     2,120
NXSTAGE MEDICAL INC     COM         67072V103         28,753,268  1,492,126 SH       SOLE              1,492,126         0         0
NXSTAGE MEDICAL INC     COM         67072V103          2,595,476    134,690 SH       DEFINED        1     40,510         0    94,180
O REILLY AUTOMOTIVE INC
   NEW                  COM         67103H107         16,066,364    175,877 SH       SOLE                175,877         0         0
O REILLY AUTOMOTIVE INC
   NEW                  COM         67103H107          5,780,902     63,283 SH       DEFINED        1     61,343         0     1,940
O REILLY AUTOMOTIVE INC
   NEW                  COM         67103H107          1,316,262     14,409 SH       DEFINED        6     14,409         0         0
OCCIDENTAL PETE CORP
   DEL                  COM         674599105        906,875,480  9,523,002 SH       SOLE              8,927,156         0   595,846
OCCIDENTAL PETE CORP
   DEL                  COM         674599105        139,737,645  1,467,370 SH       DEFINED        1    713,107         0   754,263
OCCIDENTAL PETE CORP
   DEL                  COM         674599105         30,827,094    323,712 SH       DEFINED        4    159,902         0   163,810
OCCIDENTAL PETE CORP
   DEL                  COM         674599105          8,457,376     88,810 SH       DEFINED        5     88,810         0         0
OCCIDENTAL PETE CORP
   DEL                  COM         674599105         10,890,217    114,357 SH       DEFINED        6    114,357         0         0
OCCIDENTAL PETE CORP
   DEL                  COM         674599105         55,156,168    579,189 SH       DEFINED        7    573,619         0     5,570
OCEANEERING INTL INC    COM         675232102         30,204,806    560,490 SH       SOLE                560,490         0         0
OCEANEERING INTL INC    COM         675232102          1,256,715     23,320 SH       DEFINED        1     23,320         0         0
OCLARO INC              COM NEW     67555N206            781,412    198,328 SH       SOLE                198,328         0         0
OGE ENERGY CORP         COM         670837103         93,563,850  1,748,857 SH       SOLE              1,607,117         0   141,740
OIL STS INTL INC        COM         678026105          1,726,687     22,120 SH       SOLE                 22,120         0         0
OIL STS INTL INC        COM         678026105          1,355,902     17,370 SH       DEFINED        1     17,370         0         0
OIL STS INTL INC        COM         678026105            322,154      4,127 SH       DEFINED        6      4,127         0         0
OMNICOM GROUP INC       COM         681919106        508,455,748 10,038,613 SH       SOLE              9,268,326         0   770,287<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

OMNICOM GROUP INC       COM         681919106        367,496,748  7,255,612 SH       DEFINED        1  5,480,341         0 1,775,271
OMNICOM GROUP INC       COM         681919106         68,871,945  1,359,762 SH       DEFINED        2  1,359,762         0         0
OMNICOM GROUP INC       COM         681919106         18,049,634    356,360 SH       DEFINED        3    356,360         0         0
OMNICOM GROUP INC       COM         681919106        122,475,448  2,418,074 SH       DEFINED        4  1,845,604         0   572,470
OMNICOM GROUP INC       COM         681919106        123,215,698  2,432,689 SH       DEFINED        5  2,349,229         0    83,460
OMNICOM GROUP INC       COM         681919106         11,707,646    231,148 SH       DEFINED        6    231,148         0         0
OMNICOM GROUP INC       COM         681919106          1,656,762     32,710 SH       DEFINED        7     32,710         0         0
ONEOK INC NEW           COM         682680103         13,115,984    160,617 SH       SOLE                152,857         0     7,760
ONEOK INC NEW           COM         682680103            399,971      4,898 SH       DEFINED        1        328         0     4,570
ORACLE CORP             COM         68389X105      1,235,814,272 42,380,462 SH       SOLE             40,048,653         0 2,331,809
ORACLE CORP             COM         68389X105        538,744,268 18,475,455 SH       DEFINED        1 13,005,982         0 5,469,473
ORACLE CORP             COM         68389X105         93,076,591  3,191,927 SH       DEFINED        2  3,191,927         0         0
ORACLE CORP             COM         68389X105         25,120,261    861,463 SH       DEFINED        3    861,463         0         0
ORACLE CORP             COM         68389X105        200,768,583  6,885,068 SH       DEFINED        4  4,993,980         0 1,891,088
ORACLE CORP             COM         68389X105        175,326,308  6,012,562 SH       DEFINED        5  5,809,062         0   203,500
ORACLE CORP             COM         68389X105         20,162,828    691,455 SH       DEFINED        6    691,455         0         0
ORACLE CORP             COM         68389X105         80,932,880  2,775,476 SH       DEFINED        7  2,744,316         0    31,160
OWENS CORNING NEW       COM         690742101         44,576,712  1,237,211 SH       SOLE              1,237,211         0         0
OWENS CORNING NEW       COM         690742101          1,303,313     36,173 SH       DEFINED        1     36,173         0         0
OWENS ILL INC           COM NEW     690768403          4,296,311    184,075 SH       SOLE                184,075         0         0
P F CHANGS CHINA BISTRO
   INC                  COM         69333Y108          6,219,381    157,373 SH       SOLE                157,373         0         0
P T TELEKOMUNIKASI      SPONSORED
   INDONESIA            ADR         715684106          1,122,106     36,960 SH       DEFINED        7     25,560         0    11,400
PALL CORP               COM         696429307         13,703,153    229,803 SH       SOLE                229,803         0         0
PARAMETRIC TECHNOLOGY
   CORP                 COM NEW     699173209         44,606,070  1,596,495 SH       SOLE              1,596,495         0         0
PARAMETRIC TECHNOLOGY
   CORP                 COM NEW     699173209            986,394     35,304 SH       DEFINED        1     35,304         0         0
PARAMETRIC TECHNOLOGY
   CORP                 COM NEW     699173209            227,990      8,160 SH       DEFINED        4      8,160         0         0
PARKWAY PPTYS INC       COM         70159Q104          6,905,670    658,938 SH       SOLE                658,938         0         0
PATTERSON COMPANIES INC COM         703395103         44,973,367  1,346,508 SH       SOLE              1,346,508         0         0
PATTERSON COMPANIES INC COM         703395103          7,323,084    219,254 SH       DEFINED        1    219,254         0         0
PATTERSON COMPANIES INC COM         703395103          1,763,520     52,800 SH       DEFINED        4     52,800         0         0
PATTERSON COMPANIES INC COM         703395103          1,073,342     32,136 SH       DEFINED        5     32,136         0         0
PATTERSON COMPANIES INC COM         703395103          3,907,800    117,000 SH       DEFINED        7    117,000         0         0
PEABODY ENERGY CORP     COM         704549104            942,069     32,530 SH       SOLE                 32,530         0         0
PEABODY ENERGY CORP     COM         704549104          1,843,014     63,640 SH       DEFINED        7     53,640         0    10,000
PEOPLES UNITED
   FINANCIAL INC        COM         712704105          5,871,583    443,473 SH       SOLE                443,473         0         0
PEOPLES UNITED
   FINANCIAL INC        COM         712704105             22,031      1,664 SH       DEFINED        1      1,664         0         0
PEPSICO INC             COM         713448108        524,362,458  7,902,976 SH       SOLE              7,429,489         0   473,487
PEPSICO INC             COM         713448108         98,951,869  1,491,362 SH       DEFINED        1    794,766         0   696,596
PEPSICO INC             COM         713448108         17,042,794    256,862 SH       DEFINED        4    187,992         0    68,870
PEPSICO INC             COM         713448108          4,602,301     69,364 SH       DEFINED        5     69,364         0         0
PEPSICO INC             COM         713448108          6,563,541     98,923 SH       DEFINED        6     98,923         0         0
PEPSICO INC             COM         713448108         35,908,288    541,195 SH       DEFINED        7    524,425         0    16,770<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

PERKINELMER INC         COM         714046109          8,219,861    297,175 SH       SOLE                297,175         0         0
PERRIGO CO              COM         714290103         26,830,640    259,710 SH       SOLE                259,710         0         0
PERRIGO CO              COM         714290103          1,850,282     17,910 SH       DEFINED        1      5,050         0    12,860
PETROLEO BRASILEIRO     SPONSORED
   SA PETRO             ADR         71654V408         48,204,302  1,814,921 SH       SOLE              1,814,921         0         0
PETROLEO BRASILEIRO     SPONSORED
   SA PETRO             ADR         71654V408          7,959,766    299,690 SH       DEFINED        1    151,490         0   148,200
PETROLEO BRASILEIRO     SPONSORED
   SA PETRO             ADR         71654V408            638,237     24,030 SH       DEFINED        6     24,030         0         0
PETSMART INC            COM         716768106         96,044,972  1,678,521 SH       SOLE              1,678,521         0         0
PETSMART INC            COM         716768106         10,775,842    188,323 SH       DEFINED        1    188,323         0         0
PETSMART INC            COM         716768106            185,965      3,250 SH       DEFINED        4      3,250         0         0
PETSMART INC            COM         716768106          1,248,197     21,814 SH       DEFINED        6     21,814         0         0
PFIZER INC              COM         717081103      1,320,655,008 58,281,333 SH       SOLE             54,117,292         0 4,164,041
PFIZER INC              COM         717081103        220,323,950  9,723,034 SH       DEFINED        1  4,214,608         0 5,508,426
PFIZER INC              COM         717081103         40,697,587  1,796,010 SH       DEFINED        4    717,090         0 1,078,920
PFIZER INC              COM         717081103          9,819,235    433,329 SH       DEFINED        5    433,329         0         0
PFIZER INC              COM         717081103         22,465,464    991,415 SH       DEFINED        6    991,415         0         0
PFIZER INC              COM         717081103         68,502,857  3,023,074 SH       DEFINED        7  2,953,147         0    69,927
PG^E CORP               COM         69331C108        332,893,405  7,668,588 SH       SOLE              7,053,146         0   615,442
PG^E CORP               COM         69331C108         54,810,464  1,262,623 SH       DEFINED        1    535,317         0   727,306
PG^E CORP               COM         69331C108         13,264,446    305,562 SH       DEFINED        4    140,982         0   164,580
PG^E CORP               COM         69331C108          3,687,940     84,956 SH       DEFINED        5     84,956         0         0
PG^E CORP               COM         69331C108          6,227,251    143,452 SH       DEFINED        6    143,452         0         0
PG^E CORP               COM         69331C108          1,790,663     41,250 SH       DEFINED        7     41,250         0         0
PHILIP MORRIS INTL INC  COM         718172109      1,830,601,788 20,659,088 SH       SOLE             19,202,758         0 1,456,330
PHILIP MORRIS INTL INC  COM         718172109        216,024,268  2,437,922 SH       DEFINED        1    980,875         0 1,457,047
PHILIP MORRIS INTL INC  COM         718172109         55,847,870    630,266 SH       DEFINED        4    227,676         0   402,590
PHILIP MORRIS INTL INC  COM         718172109         14,381,049    162,296 SH       DEFINED        5    162,296         0         0
PHILIP MORRIS INTL INC  COM         718172109         28,377,264    320,249 SH       DEFINED        6    320,249         0         0
PHILIP MORRIS INTL INC  COM         718172109         64,546,182    728,430 SH       DEFINED        7    725,170         0     3,260
PINNACLE WEST CAP CORP  COM         723484101          3,721,351     77,690 SH       SOLE                 71,030         0     6,660
PINNACLE WEST CAP CORP  COM         723484101              9,820        205 SH       DEFINED        1        205         0         0
PINNACLE WEST CAP CORP  COM         723484101          4,955,255    103,450 SH       DEFINED        4    103,450         0         0
PIONEER NAT RES CO      COM         723787107         52,011,206    466,092 SH       SOLE                466,092         0         0
PIONEER NAT RES CO      COM         723787107          2,945,306     26,394 SH       DEFINED        1     26,394         0         0
PIONEER NAT RES CO      COM         723787107             95,967        860 SH       DEFINED        4        860         0         0
PITNEY BOWES INC        COM         724479100            444,229     25,269 SH       SOLE                 25,269         0         0
PLUM CREEK TIMBER CO
   INC                  COM         729251108         12,077,004    290,592 SH       SOLE                290,592         0         0
PNC FINL SVCS GROUP INC COM         693475105        366,127,916  5,677,282 SH       SOLE              5,296,235         0   381,047
PNC FINL SVCS GROUP INC COM         693475105         53,313,625    826,696 SH       DEFINED        1    488,086         0   338,610
PNC FINL SVCS GROUP INC COM         693475105            232,164      3,600 SH       DEFINED        4      3,600         0         0
PNC FINL SVCS GROUP INC COM         693475105          1,509,775     23,411 SH       DEFINED        5     23,411         0         0
PNC FINL SVCS GROUP INC COM         693475105          6,773,965    105,039 SH       DEFINED        6    105,039         0         0
PNC FINL SVCS GROUP INC COM         693475105         10,003,689    155,120 SH       DEFINED        7    155,120         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

POLARIS INDS INC        COM         731068102         34,884,525    483,500 SH       SOLE                483,500         0         0
POLARIS INDS INC        COM         731068102          1,138,527     15,780 SH       DEFINED        1     15,780         0         0
POLYPORE INTL INC       COM         73179V103         43,114,106  1,226,226 SH       SOLE              1,226,226         0         0
POLYPORE INTL INC       COM         73179V103          2,209,806     62,850 SH       DEFINED        1     32,280         0    30,570
PORTFOLIO RECOVERY
   ASSOCS IN            COM         73640Q105          1,518,312     21,170 SH       SOLE                 21,170         0         0
PORTLAND GEN ELEC CO    COM NEW     736508847          4,352,765    174,250 SH       SOLE                174,250         0         0
PPG INDS INC            COM         693506107        490,131,517  5,116,195 SH       SOLE              4,738,690         0   377,505
PPG INDS INC            COM         693506107         69,081,572    721,102 SH       DEFINED        1    315,871         0   405,231
PPG INDS INC            COM         693506107          6,455,962     67,390 SH       DEFINED        4          0         0    67,390
PPG INDS INC            COM         693506107          4,172,952     43,559 SH       DEFINED        5     43,559         0         0
PPG INDS INC            COM         693506107          7,537,736     78,682 SH       DEFINED        6     78,682         0         0
PPG INDS INC            COM         693506107          1,624,768     16,960 SH       DEFINED        7     16,960         0         0
PPL CORP                COM         69351T106        212,703,299  7,526,656 SH       SOLE              6,856,187         0   670,469
PPL CORP                UNIT
                        99/99/9999  69351T601        135,627,057  2,502,806 SH       SOLE              2,323,614         0   179,192
PPL CORP                UNIT
                        99/99/9999S 69351T114         76,619,550  1,425,480 SH       SOLE              1,308,260         0   117,220
PPL CORP                COM         69351T106         15,956,472    564,631 SH       DEFINED        1    269,117         0   295,514
PPL CORP                UNIT
                        99/99/9999  69351T601          8,417,820    155,339 SH       DEFINED        1     95,902         0    59,437
PPL CORP                UNIT
                        99/99/9999  69351T601            128,972      2,380 SH       DEFINED        4      2,380         0         0
PPL CORP                COM         69351T106            600,299     21,242 SH       DEFINED        5     21,242         0         0
PPL CORP                COM         69351T106          2,080,982     73,637 SH       DEFINED        6     73,637         0         0
PPL CORP                UNIT
                        99/99/9999  69351T601            900,313     16,614 SH       DEFINED        6     16,614         0         0
PRAXAIR INC             COM         74005P104        209,997,323  1,831,798 SH       SOLE              1,778,511         0    53,287
PRAXAIR INC             COM         74005P104        235,495,437  2,054,217 SH       DEFINED        1  1,613,482         0   440,735
PRAXAIR INC             COM         74005P104         45,631,535    398,042 SH       DEFINED        2    398,042         0         0
PRAXAIR INC             COM         74005P104         11,868,679    103,530 SH       DEFINED        3    103,530         0         0
PRAXAIR INC             COM         74005P104         94,047,790    820,375 SH       DEFINED        4    647,235         0   173,140
PRAXAIR INC             COM         74005P104         80,809,392    704,897 SH       DEFINED        5    680,407         0    24,490
PRAXAIR INC             COM         74005P104          2,709,975     23,639 SH       DEFINED        6     23,639         0         0
PRAXAIR INC             COM         74005P104         23,408,342    204,190 SH       DEFINED        7    201,610         0     2,580
PRECISION CASTPARTS
   CORP                 COM         740189105        228,314,623  1,320,501 SH       SOLE              1,298,351         0    22,150
PRECISION CASTPARTS
   CORP                 COM         740189105          9,461,953     54,725 SH       DEFINED        1     54,725         0         0
PRECISION CASTPARTS
   CORP                 COM         740189105            209,209      1,210 SH       DEFINED        4      1,210         0         0
PRECISION CASTPARTS
   CORP                 COM         740189105          8,888,789     51,410 SH       DEFINED        7     50,210         0     1,200
PRICELINE COM INC       COM NEW     741503403         65,027,025     90,630 SH       SOLE                 90,630         0         0
PRICELINE COM INC       COM NEW     741503403          2,159,675      3,010 SH       DEFINED        1      3,010         0         0
PRICELINE COM INC       COM NEW     741503403            337,225        470 SH       DEFINED        4        470         0         0
PRINCIPAL FINL GROUP
   INC                  COM         74251V102            970,377     32,883 SH       SOLE                 32,883         0         0
PROCTER & GAMBLE CO     COM         742718109        618,417,357  9,201,270 SH       SOLE              8,701,820         0   499,450
PROCTER & GAMBLE CO     COM         742718109        225,730,095  3,358,579 SH       DEFINED        1  2,049,653         0 1,308,926
PROCTER & GAMBLE CO     COM         742718109         39,474,651    587,333 SH       DEFINED        2    587,333         0         0
PROCTER & GAMBLE CO     COM         742718109         11,559,381    171,989 SH       DEFINED        3    171,989         0         0
PROCTER & GAMBLE CO     COM         742718109         99,788,838  1,484,732 SH       DEFINED        4    992,048         0   492,684<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

PROCTER & GAMBLE CO     COM         742718109         81,886,580  1,218,369 SH       DEFINED        5  1,178,023         0    40,346
PROCTER & GAMBLE CO     COM         742718109          9,014,071    134,118 SH       DEFINED        6    134,118         0         0
PROCTER & GAMBLE CO     COM         742718109         52,655,675    783,450 SH       DEFINED        7    777,130         0     6,320
PROGRESSIVE WASTE
   SOLUTIONS            COM         74339G101          1,475,671     68,066 SH       SOLE                 68,066         0         0
PROLOGIS INC            COM         74340W103         12,806,551    355,540 SH       SOLE                355,540         0         0
PROS HOLDINGS INC       COM         74346Y103         13,967,516    746,926 SH       SOLE                746,926         0         0
PROS HOLDINGS INC       COM         74346Y103          1,327,326     70,980 SH       DEFINED        1     20,140         0    50,840
PRUDENTIAL FINL INC     COM         744320102        623,861,623  9,841,641 SH       SOLE              9,110,550         0   731,091
PRUDENTIAL FINL INC     COM         744320102         89,479,296  1,411,568 SH       DEFINED        1    710,655         0   700,913
PRUDENTIAL FINL INC     COM         744320102          6,225,532     98,210 SH       DEFINED        4      2,210         0    96,000
PRUDENTIAL FINL INC     COM         744320102          4,116,737     64,943 SH       DEFINED        5     64,943         0         0
PRUDENTIAL FINL INC     COM         744320102         11,309,093    178,405 SH       DEFINED        6    178,405         0         0
PRUDENTIAL FINL INC     COM         744320102         10,101,197    159,350 SH       DEFINED        7    159,350         0         0
PUBLIC STORAGE          COM         74460D109         38,596,408    279,340 SH       SOLE                279,340         0         0
PUBLIC STORAGE          COM         74460D109          1,409,334     10,200 SH       DEFINED        1     10,200         0         0
PUBLIC STORAGE          COM         74460D109            334,095      2,418 SH       DEFINED        6      2,418         0         0
PUBLIC SVC ENTERPRISE
   GROUP                COM         744573106        320,004,317 10,454,241 SH       SOLE              9,524,063         0   930,178
PUBLIC SVC ENTERPRISE
   GROUP                COM         744573106         12,806,734    418,384 SH       DEFINED        1    198,558         0   219,826
PUBLIC SVC ENTERPRISE
   GROUP                COM         744573106            489,087     15,978 SH       DEFINED        5     15,978         0         0
PUBLIC SVC ENTERPRISE
   GROUP                COM         744573106          1,630,778     53,276 SH       DEFINED        6     53,276         0         0
PULTE GROUP INC         COM         745867101         32,452,508  3,666,950 SH       SOLE              3,666,950         0         0
PULTE GROUP INC         COM         745867101          2,942,360    332,470 SH       DEFINED        1     95,680         0   236,790
PVH CORP                COM         693656100          5,783,046     64,738 SH       SOLE                 64,738         0         0
QEP RES INC             COM         74733V100        108,475,385  3,556,570 SH       SOLE              3,273,280         0   283,290
QLIK TECHNOLOGIES INC   COM         74733T105         29,639,456    926,233 SH       SOLE                926,233         0         0
QLIK TECHNOLOGIES INC   COM         74733T105          2,462,720     76,960 SH       DEFINED        1     18,630         0    58,330
QLIK TECHNOLOGIES INC   COM         74733T105            113,600      3,550 SH       DEFINED        4      3,550         0         0
QUAKER CHEM CORP        COM         747316107          1,141,289     28,930 SH       SOLE                 28,930         0         0
QUALCOMM INC            COM         747525103        207,785,796  3,054,775 SH       SOLE              3,054,775         0         0
QUALCOMM INC            COM         747525103          8,163,828    120,021 SH       DEFINED        1    120,021         0         0
QUALCOMM INC            COM         747525103          1,125,051     16,540 SH       DEFINED        4     16,540         0         0
QUALCOMM INC            COM         747525103          5,447,722     80,090 SH       DEFINED        7     70,290         0     9,800
QUANTUM CORP            COM DSSG    747906204            658,170    251,210 SH       SOLE                251,210         0         0
QUANTUM CORP            COM DSSG    747906204             64,269     24,530 SH       DEFINED        4     24,530         0         0
QUEST DIAGNOSTICS INC   COM         74834L100        188,332,277  3,079,841 SH       SOLE              2,838,057         0   241,784
QUEST DIAGNOSTICS INC   COM         74834L100         31,773,662    519,602 SH       DEFINED        1    223,823         0   295,779
QUEST DIAGNOSTICS INC   COM         74834L100          3,754,610     61,400 SH       DEFINED        4          0         0    61,400
QUEST DIAGNOSTICS INC   COM         74834L100          1,922,984     31,447 SH       DEFINED        5     31,447         0         0
QUEST DIAGNOSTICS INC   COM         74834L100          3,642,216     59,562 SH       DEFINED        6     59,562         0         0
QUEST DIAGNOSTICS INC   COM         74834L100            938,041     15,340 SH       DEFINED        7     15,340         0         0
QUINSTREET INC          COM         74874Q100            784,862     74,820 SH       SOLE                 74,820         0         0
RACKSPACE HOSTING INC   COM         750086100          3,631,524     62,840 SH       SOLE                 62,840         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

RADWARE LTD             ORD         M81873107          1,396,512     37,300 SH       SOLE                 37,300         0         0
RADWARE LTD             ORD         M81873107            132,163      3,530 SH       DEFINED        4      3,530         0         0
RALPH LAUREN CORP       CL A        751212101          3,890,348     22,316 SH       SOLE                 22,316         0         0
RANGE RES CORP          COM         75281A109         37,057,273    637,380 SH       SOLE                637,380         0         0
RANGE RES CORP          COM         75281A109          3,346,538     57,560 SH       DEFINED        1     16,590         0    40,970
RED HAT INC             COM         756577102        140,794,443  2,350,884 SH       SOLE              2,350,884         0         0
RED HAT INC             COM         756577102          8,361,902    139,621 SH       DEFINED        1    110,021         0    29,600
RED HAT INC             COM         756577102            730,658     12,200 SH       DEFINED        4     12,200         0         0
RED HAT INC             COM         756577102          9,447,288    157,744 SH       DEFINED        7    157,744         0         0
REED ELSEVIER N V       SPONS ADR
                        NEW         758204200          2,066,424     80,941 SH       DEFINED        7     66,773         0    14,168
REGAL BELOIT CORP       COM         758750103          1,280,192     19,530 SH       SOLE                 19,530         0         0
REGENERON
   PHARMACEUTICALS      COM         75886F107          2,993,635     25,670 SH       SOLE                 25,670         0         0
REGIONS FINANCIAL CORP
   NEW                  COM         7591EP100          6,628,881  1,005,900 SH       SOLE              1,005,900         0         0
REPUBLIC SVCS INC       COM         760759100         14,742,633    482,416 SH       SOLE                482,416         0         0
REPUBLIC SVCS INC       COM         760759100          5,960,117    195,030 SH       DEFINED        1    195,030         0         0
REPUBLIC SVCS INC       COM         760759100          1,209,901     39,591 SH       DEFINED        6     39,591         0         0
RESOLUTE ENERGY CORP    COM         76116A108          1,392,912    122,400 SH       SOLE                122,400         0         0
REYNOLDS AMERICAN INC   COM         761713106         61,323,119  1,479,805 SH       SOLE              1,356,242         0   123,563
REYNOLDS AMERICAN INC   COM         761713106          8,950,128    215,978 SH       DEFINED        1     85,184         0   130,794
REYNOLDS AMERICAN INC   COM         761713106            369,645      8,920 SH       DEFINED        5      8,920         0         0
REYNOLDS AMERICAN INC   COM         761713106          1,264,293     30,509 SH       DEFINED        6     30,509         0         0
RIO TINTO PLC           SPONSORED
                        ADR         767204100          6,163,152    110,868 SH       SOLE                110,868         0         0
RIO TINTO PLC           SPONSORED
                        ADR         767204100         21,599,495    388,550 SH       DEFINED        7    377,150         0    11,400
RIVERBED TECHNOLOGY INC COM         768573107         24,105,978    858,475 SH       SOLE                858,475         0         0
RIVERBED TECHNOLOGY INC COM         768573107          2,228,148     79,350 SH       DEFINED        1     21,940         0    57,410
RIVERBED TECHNOLOGY INC COM         768573107            154,159      5,490 SH       DEFINED        4      5,490         0         0
ROCKWELL AUTOMATION INC COM         773903109          7,741,660     97,135 SH       SOLE                 88,577         0     8,558
ROCKWELL AUTOMATION INC COM         773903109         27,808,286    348,912 SH       DEFINED        1    271,831         0    77,081
ROCKWELL AUTOMATION INC COM         773903109         11,241,366    141,046 SH       DEFINED        2    141,046         0         0
ROCKWELL AUTOMATION INC COM         773903109          3,237,972     40,627 SH       DEFINED        3     40,627         0         0
ROCKWELL AUTOMATION INC COM         773903109         16,334,515    204,950 SH       DEFINED        4    153,580         0    51,370
ROCKWELL AUTOMATION INC COM         773903109         21,115,877    264,942 SH       DEFINED        5    255,362         0     9,580
ROCKWELL AUTOMATION INC COM         773903109            691,477      8,676 SH       DEFINED        6      8,676         0         0
ROCKWOOD HLDGS INC      COM         774415103         37,608,546    721,161 SH       SOLE                721,161         0         0
ROCKWOOD HLDGS INC      COM         774415103          3,576,812     68,587 SH       DEFINED        1     45,417         0    23,170
ROCKWOOD HLDGS INC      COM         774415103            449,689      8,623 SH       DEFINED        6      8,623         0         0
ROPER INDS INC NEW      COM         776696106          3,718,500     37,500 SH       SOLE                 37,500         0         0
ROSS STORES INC         COM         778296103        124,626,998  2,145,043 SH       SOLE              2,145,043         0         0
ROSS STORES INC         COM         778296103          4,570,553     78,667 SH       DEFINED        1     76,307         0     2,360
ROYAL CARIBBEAN CRUISES
   LTD                  COM         V7780T103         42,378,759  1,439,985 SH       SOLE              1,439,985         0         0
ROYAL CARIBBEAN CRUISES
   LTD                  COM         V7780T103          1,163,074     39,520 SH       DEFINED        1     39,520         0         0
ROYAL DUTCH SHELL PLC   SPONS ADR A 780259206         28,703,691    409,293 SH       SOLE                409,293         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

ROYAL DUTCH SHELL PLC   SPONS ADR A 780259206          3,061,876     43,660 SH       DEFINED        1     43,660         0         0
ROYAL DUTCH SHELL PLC   SPONS ADR A 780259206            165,507      2,360 SH       DEFINED        4      2,360         0         0
ROYAL DUTCH SHELL PLC   SPONS ADR A 780259206          2,587,797     36,900 SH       DEFINED        7     36,100         0       800
RUE21 INC               COM         781295100          7,931,776    270,340 SH       SOLE                270,340         0         0
SALESFORCE COM INC      COM         79466L302         20,238,647    130,986 SH       SOLE                130,986         0         0
SALESFORCE COM INC      COM         79466L302            755,399      4,889 SH       DEFINED        1      4,889         0         0
SALESFORCE COM INC      COM         79466L302            219,404      1,420 SH       DEFINED        4      1,420         0         0
SALLY BEAUTY HLDGS INC  COM         79546E104         29,636,670  1,195,027 SH       SOLE              1,134,665         0    60,362
SALLY BEAUTY HLDGS INC  COM         79546E104         63,117,959  2,545,079 SH       DEFINED        1  1,990,536         0   554,543
SALLY BEAUTY HLDGS INC  COM         79546E104         25,580,679  1,031,479 SH       DEFINED        2  1,031,479         0         0
SALLY BEAUTY HLDGS INC  COM         79546E104          6,029,773    243,136 SH       DEFINED        3    243,136         0         0
SALLY BEAUTY HLDGS INC  COM         79546E104         35,955,263  1,449,809 SH       DEFINED        4  1,077,329         0   372,480
SALLY BEAUTY HLDGS INC  COM         79546E104         47,362,767  1,909,789 SH       DEFINED        5  1,840,869         0    68,920
SALLY BEAUTY HLDGS INC  COM         79546E104          1,694,435     68,324 SH       DEFINED        6     68,324         0         0
SANDY SPRING BANCORP
   INC                  COM         800363103          1,431,578     78,788 SH       SOLE                 78,788         0         0
SANOFI                  SPONSORED
                        ADR         80105N105          3,115,306     80,395 SH       SOLE                 80,395         0         0
SAP AG                  SPON ADR    803054204          9,001,194    128,920 SH       DEFINED        7    121,920         0     7,000
SBA COMMUNICATIONS CORP COM         78388J106        110,466,377  2,174,107 SH       SOLE              2,026,497         0   147,610
SBA COMMUNICATIONS CORP NOTE
                        4.000%10/0  78388JAM8         43,956,833 25,011,000 PR       SOLE             22,832,000         0 2,179,000
SBA COMMUNICATIONS CORP COM         78388J106          1,575,313     31,004 SH       DEFINED        1     31,004         0         0
SBA COMMUNICATIONS CORP COM         78388J106            308,417      6,070 SH       DEFINED        4      6,070         0         0
SCANA CORP NEW          COM         80589M102          3,415,186     74,878 SH       DEFINED        4     74,878         0         0
SCHEIN HENRY INC        COM         806407102         11,401,192    150,650 SH       SOLE                150,650         0         0
SCHEIN HENRY INC        COM         806407102          1,639,229     21,660 SH       DEFINED        1     21,660         0         0
SCHEIN HENRY INC        COM         806407102             92,330      1,220 SH       DEFINED        4      1,220         0         0
SCHLUMBERGER LTD        COM         806857108        250,729,400  3,585,434 SH       SOLE              3,485,924         0    99,510
SCHLUMBERGER LTD        COM         806857108        119,622,748  1,710,607 SH       DEFINED        1  1,268,816         0   441,791
SCHLUMBERGER LTD        COM         806857108         34,528,777    493,762 SH       DEFINED        2    493,762         0         0
SCHLUMBERGER LTD        COM         806857108          9,894,396    141,490 SH       DEFINED        3    141,490         0         0
SCHLUMBERGER LTD        COM         806857108         64,969,306    929,062 SH       DEFINED        4    693,082         0   235,980
SCHLUMBERGER LTD        COM         806857108         69,276,294    990,652 SH       DEFINED        5    956,942         0    33,710
SCHLUMBERGER LTD        COM         806857108          2,284,473     32,668 SH       DEFINED        6     32,668         0         0
SCHLUMBERGER LTD        COM         806857108         36,771,991    525,840 SH       DEFINED        7    516,940         0     8,900
SCHULMAN A INC          COM         808194104          1,759,056     65,102 SH       SOLE                 65,102         0         0
SCHWAB CHARLES CORP NEW COM         808513105         56,360,017  3,922,061 SH       SOLE              3,922,061         0         0
SCHWAB CHARLES CORP NEW COM         808513105          7,953,278    553,464 SH       DEFINED        1    553,464         0         0
SCHWAB CHARLES CORP NEW COM         808513105          1,875,429    130,510 SH       DEFINED        4    130,510         0         0
SCHWAB CHARLES CORP NEW COM         808513105          1,213,920     84,476 SH       DEFINED        5     84,476         0         0
SCHWAB CHARLES CORP NEW COM         808513105          4,360,577    303,450 SH       DEFINED        7    303,450         0         0
SCHWEITZER-MAUDUIT INTL
   INC                  COM         808541106          6,066,230     87,840 SH       SOLE                 87,840         0         0
SCIQUEST INC NEW        COM         80908T101         26,212,770  1,719,998 SH       SOLE              1,719,998         0         0
SCIQUEST INC NEW        COM         80908T101          2,763,317    181,320 SH       DEFINED        1     46,230         0   135,090<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

SCRIPPS NETWORKS
   INTERACT IN          CL A COM    811065101          7,286,459    149,650 SH       SOLE                149,650         0         0
SEAGATE TECHNOLOGY PLC  SHS         G7945M107          1,344,697     49,896 SH       SOLE                 49,896         0         0
SEAGATE TECHNOLOGY PLC  SHS         G7945M107          5,313,758    197,171 SH       DEFINED        1    197,171         0         0
SEALED AIR CORP NEW     COM         81211K100          3,980,757    206,150 SH       SOLE                206,150         0         0
SEMPRA ENERGY           COM         816851109        146,380,348  2,441,300 SH       SOLE              2,236,090         0   205,210
SEMTECH CORP            COM         816850101          1,917,037     67,359 SH       SOLE                 67,359         0         0
SENSATA TECHNOLOGIES
   HLDG BV              SHS         N7902X106        181,150,839  5,410,718 SH       SOLE              5,410,718         0         0
SENSATA TECHNOLOGIES
   HLDG BV              SHS         N7902X106         20,489,124    611,981 SH       DEFINED        1    560,901         0    51,080
SENSATA TECHNOLOGIES
   HLDG BV              SHS         N7902X106          3,838,147    114,640 SH       DEFINED        4    114,640         0         0
SENSATA TECHNOLOGIES
   HLDG BV              SHS         N7902X106          2,898,096     86,562 SH       DEFINED        5     86,562         0         0
SENSATA TECHNOLOGIES
   HLDG BV              SHS         N7902X106          9,929,833    296,590 SH       DEFINED        7    296,590         0         0
SENSIENT TECHNOLOGIES
   CORP                 COM         81725T100          1,577,380     41,510 SH       SOLE                 41,510         0         0
SERVICESOURCE INTL LLC  COM         81763U100         14,065,051    908,595 SH       SOLE                908,595         0         0
SERVICESOURCE INTL LLC  COM         81763U100          1,466,885     94,760 SH       DEFINED        1     24,980         0    69,780
SHERWIN WILLIAMS CO     COM         824348106        254,263,784  2,339,779 SH       SOLE              2,164,190         0   175,589
SHERWIN WILLIAMS CO     COM         824348106        141,939,321  1,306,150 SH       DEFINED        1    822,570         0   483,580
SHERWIN WILLIAMS CO     COM         824348106         39,741,271    365,706 SH       DEFINED        2    365,706         0         0
SHERWIN WILLIAMS CO     COM         824348106         11,428,824    105,170 SH       DEFINED        3    105,170         0         0
SHERWIN WILLIAMS CO     COM         824348106         74,437,320    684,985 SH       DEFINED        4    477,585         0   207,400
SHERWIN WILLIAMS CO     COM         824348106         76,789,699    706,632 SH       DEFINED        5    681,602         0    25,030
SHERWIN WILLIAMS CO     COM         824348106          5,903,498     54,325 SH       DEFINED        6     54,325         0         0
SHERWIN WILLIAMS CO     COM         824348106         17,962,064    165,290 SH       DEFINED        7    164,590         0       700
SIEMENS A G             SPONSORED
                        ADR         826197501          7,710,126     76,459 SH       SOLE                 76,459         0         0
SIEMENS A G             SPONSORED
                        ADR         826197501         13,643,652    135,300 SH       DEFINED        7    129,800         0     5,500
SILGAN HOLDINGS INC     COM         827048109         36,092,836    816,580 SH       SOLE                816,580         0         0
SILGAN HOLDINGS INC     COM         827048109          1,790,409     40,507 SH       DEFINED        1     40,507         0         0
SILGAN HOLDINGS INC     COM         827048109             99,450      2,250 SH       DEFINED        4      2,250         0         0
SILICONWARE PRECISION   SPONSD ADR
   INDS L               SPL         827084864             74,618     12,354 SH       SOLE                 12,354         0         0
SIMON PPTY GROUP INC
   NEW                  COM         828806109         53,119,007    364,628 SH       SOLE                364,628         0         0
SIMON PPTY GROUP INC
   NEW                  COM         828806109          2,658,369     18,248 SH       DEFINED        1     18,248         0         0
SIRONA DENTAL SYSTEMS
   INC                  COM         82966C103         25,028,442    485,612 SH       SOLE                485,612         0         0
SIRONA DENTAL SYSTEMS
   INC                  COM         82966C103          1,740,506     33,770 SH       DEFINED        1      9,430         0    24,340
SIX FLAGS ENTMT CORP
   NEW                  COM         83001A102         23,572,641    504,012 SH       SOLE                504,012         0         0
SIX FLAGS ENTMT CORP
   NEW                  COM         83001A102          2,171,063     46,420 SH       DEFINED        1     13,330         0    33,090
SM ENERGY CO            COM         78454L100         44,436,271    627,897 SH       SOLE                627,897         0         0
SM ENERGY CO            COM         78454L100          1,237,767     17,490 SH       DEFINED        1     17,490         0         0
SMITH & NEPHEW PLC      SPDN ADR
                        NEW         83175M205          1,824,414     36,127 SH       SOLE                 36,127         0         0
SMUCKER J M CO          COM NEW     832696405        158,947,093  1,953,627 SH       SOLE              1,805,766         0   147,861
SMUCKER J M CO          COM NEW     832696405        115,583,596  1,420,644 SH       DEFINED        1  1,038,273         0   382,371
SMUCKER J M CO          COM NEW     832696405         38,553,575    473,864 SH       DEFINED        2    473,864         0         0
SMUCKER J M CO          COM NEW     832696405         11,264,048    138,447 SH       DEFINED        3    138,447         0         0
SMUCKER J M CO          COM NEW     832696405         56,925,558    699,675 SH       DEFINED        4    523,619         0   176,056<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

SMUCKER J M CO          COM NEW     832696405         74,144,019    911,308 SH       DEFINED        5    878,444         0    32,864
SMUCKER J M CO          COM NEW     832696405          4,966,703     61,046 SH       DEFINED        6     61,046         0         0
SMUCKER J M CO          COM NEW     832696405            410,868      5,050 SH       DEFINED        7      5,050         0         0
SOLARWINDS INC          COM         83416B109         50,560,500  1,308,163 SH       SOLE              1,308,163         0         0
SOLARWINDS INC          COM         83416B109          8,684,926    224,707 SH       DEFINED        1    175,417         0    49,290
SOLARWINDS INC          COM         83416B109          1,401,565     36,263 SH       DEFINED        6     36,263         0         0
SOTHEBYS                COM         835898107         23,874,659    606,880 SH       SOLE                606,880         0         0
SOTHEBYS                COM         835898107            683,336     17,370 SH       DEFINED        1     17,370         0         0
SOUTHERN CO             COM         842587107             52,254      1,163 SH       DEFINED        1      1,163         0         0
SOUTHERN CO             COM         842587107          6,807,704    151,518 SH       DEFINED        4    151,518         0         0
SPECTRA ENERGY CORP     COM         847560109        105,781,124  3,352,809 SH       SOLE              3,105,289         0   247,520
SPECTRA ENERGY CORP     COM         847560109            224,352      7,111 SH       DEFINED        1      7,111         0         0
SPECTRA ENERGY CORP     COM         847560109          4,450,664    141,067 SH       DEFINED        7    124,380         0    16,687
SPIRIT AIRLS INC        COM         848577102         25,201,638  1,255,687 SH       SOLE              1,255,687         0         0
SPIRIT AIRLS INC        COM         848577102          1,976,092     98,460 SH       DEFINED        1     31,000         0    67,460
SPRINT NEXTEL CORP      COM SER 1   852061100              5,734      2,012 SH       SOLE                  2,012         0         0
SPRINT NEXTEL CORP      COM SER 1   852061100             35,588     12,487 SH       DEFINED        1     12,487         0         0
ST JUDE MED INC         COM         790849103        509,828,246 11,505,941 SH       SOLE             10,721,622         0   784,319
ST JUDE MED INC         COM         790849103        255,931,636  5,775,934 SH       DEFINED        1  3,817,597         0 1,958,337
ST JUDE MED INC         COM         790849103         71,894,083  1,622,525 SH       DEFINED        2  1,622,525         0         0
ST JUDE MED INC         COM         790849103         20,675,046    466,600 SH       DEFINED        3    466,600         0         0
ST JUDE MED INC         COM         790849103        130,493,482  2,945,012 SH       DEFINED        4  2,090,702         0   854,310
ST JUDE MED INC         COM         790849103        139,548,540  3,149,369 SH       DEFINED        5  3,038,339         0   111,030
ST JUDE MED INC         COM         790849103         10,154,345    229,166 SH       DEFINED        6    229,166         0         0
ST JUDE MED INC         COM         790849103         40,363,131    910,926 SH       DEFINED        7    908,276         0     2,650
STANLEY BLACK & DECKER
   INC                  COM         854502101        608,334,553  7,904,555 SH       SOLE              7,437,290         0   467,265
STANLEY BLACK & DECKER
   INC                  COM         854502101         88,952,446  1,155,827 SH       DEFINED        1    477,393         0   678,434
STANLEY BLACK & DECKER
   INC                  COM         854502101         19,141,491    248,720 SH       DEFINED        4    103,320         0   145,400
STANLEY BLACK & DECKER
   INC                  COM         854502101          4,130,135     53,666 SH       DEFINED        5     53,666         0         0
STANLEY BLACK & DECKER
   INC                  COM         854502101          8,032,469    104,372 SH       DEFINED        6    104,372         0         0
STANLEY BLACK & DECKER
   INC                  COM         854502101         22,727,058    295,310 SH       DEFINED        7    294,370         0       940
STAPLES INC             COM         855030102        176,355,819 10,899,618 SH       SOLE              9,945,062         0   954,556
STAPLES INC             COM         855030102         24,821,447  1,534,082 SH       DEFINED        1    723,970         0   810,112
STAPLES INC             COM         855030102            940,835     58,148 SH       DEFINED        5     58,148         0         0
STAPLES INC             COM         855030102          3,233,638    199,854 SH       DEFINED        6    199,854         0         0
STARBUCKS CORP          COM         855244109        117,465,746  2,101,731 SH       SOLE              2,101,731         0         0
STARBUCKS CORP          COM         855244109          6,038,915    108,050 SH       DEFINED        1    108,050         0         0
STARBUCKS CORP          COM         855244109            109,544      1,960 SH       DEFINED        4      1,960         0         0
STARWOOD PPTY TR INC    COM         85571B105         21,372,400  1,016,765 SH       SOLE              1,016,765         0         0
STARWOOD PPTY TR INC    COM         85571B105          2,109,988    100,380 SH       DEFINED        1    100,380         0         0
STARWOOD PPTY TR INC    COM         85571B105            118,553      5,640 SH       DEFINED        4      5,640         0         0
STATE STR CORP          COM         857477103        434,939,733  9,559,115 SH       SOLE              8,812,510         0   746,605<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

STATE STR CORP          COM         857477103        259,166,135  5,695,959 SH       DEFINED        1  3,905,720         0 1,790,239
STATE STR CORP          COM         857477103         78,552,565  1,726,430 SH       DEFINED        2  1,726,430         0         0
STATE STR CORP          COM         857477103         22,692,079    498,727 SH       DEFINED        3    498,727         0         0
STATE STR CORP          COM         857477103        128,201,483  2,817,615 SH       DEFINED        4  2,010,765         0   806,850
STATE STR CORP          COM         857477103        151,667,744  3,333,357 SH       DEFINED        5  3,214,907         0   118,450
STATE STR CORP          COM         857477103         10,738,000    236,000 SH       DEFINED        6    236,000         0         0
STATE STR CORP          COM         857477103         22,497,475    494,450 SH       DEFINED        7    493,350         0     1,100
STEEL DYNAMICS INC      COM         858119100          3,199,294    220,034 SH       SOLE                220,034         0         0
STERICYCLE INC          COM         858912108         30,920,872    369,690 SH       SOLE                369,690         0         0
STERICYCLE INC          COM         858912108          1,150,635     13,757 SH       DEFINED        1     13,757         0         0
STRATASYS INC           COM         862685104         13,528,432    370,439 SH       SOLE                370,439         0         0
STRATASYS INC           COM         862685104          1,360,370     37,250 SH       DEFINED        1     10,060         0    27,190
STRATASYS INC           COM         862685104             47,476      1,300 SH       DEFINED        4      1,300         0         0
SUMITOMO MITSUI FINL    SPONSORED
   GROUP I              ADR         86562M209          6,822,587  1,027,498 SH       SOLE              1,027,498         0         0
SUMITOMO MITSUI FINL    SPONSORED
   GROUP I              ADR         86562M209             18,194      2,740 SH       DEFINED        1      2,740         0         0
SUMITOMO MITSUI FINL    SPONSORED
   GROUP I              ADR         86562M209            330,672     49,800 SH       DEFINED        7     44,100         0     5,700
SUNTRUST BKS INC        COM         867914103         69,950,711  2,894,113 SH       SOLE              2,652,189         0   241,924
SUNTRUST BKS INC        COM         867914103          7,385,941    305,583 SH       DEFINED        1    141,221         0   164,362
SUNTRUST BKS INC        COM         867914103            284,239     11,760 SH       DEFINED        5     11,760         0         0
SUNTRUST BKS INC        COM         867914103            992,976     41,083 SH       DEFINED        6     41,083         0         0
SWIFT TRANSN CO         CL A        87074U101         38,271,337  3,316,407 SH       SOLE              3,316,407         0         0
SWIFT TRANSN CO         CL A        87074U101          3,199,465    277,250 SH       DEFINED        1     77,190         0   200,060
SXC HEALTH SOLUTIONS
   CORP                 COM         78505P100          7,011,009     93,530 SH       SOLE                 93,530         0         0
SYMANTEC CORP           COM         871503108         10,290,273    550,282 SH       SOLE                550,282         0         0
SYMANTEC CORP           COM         871503108          2,313,171    123,699 SH       DEFINED        1    110,129         0    13,570
SYMANTEC CORP           COM         871503108            334,917     17,910 SH       DEFINED        4     17,910         0         0
SYMETRA FINL CORP       COM         87151Q106          6,937,970    601,732 SH       SOLE                601,732         0         0
TAIWAN SEMICONDUCTOR    SPONSORED
   MFG LTD              ADR         874039100        433,937,240 28,399,034 SH       SOLE             28,252,959         0   146,075
TAIWAN SEMICONDUCTOR    SPONSORED
   MFG LTD              ADR         874039100        191,462,312 12,530,256 SH       DEFINED        1  7,207,030         0 5,323,226
TAIWAN SEMICONDUCTOR    SPONSORED
   MFG LTD              ADR         874039100         31,880,039  2,086,390 SH       DEFINED        4    425,240         0 1,661,150
TAIWAN SEMICONDUCTOR    SPONSORED
   MFG LTD              ADR         874039100         17,621,996  1,153,272 SH       DEFINED        5  1,153,272         0         0
TAIWAN SEMICONDUCTOR    SPONSORED
   MFG LTD              ADR         874039100         41,535,593  2,718,298 SH       DEFINED        6  2,718,298         0         0
TAIWAN SEMICONDUCTOR    SPONSORED
   MFG LTD              ADR         874039100         35,783,651  2,341,862 SH       DEFINED        7  2,339,462         0     2,400
TANGER FACTORY OUTLET
   CTRS I               COM         875465106         19,229,899    646,818 SH       SOLE                646,818         0         0
TANGOE INC              COM         87582Y108         19,831,101  1,054,285 SH       SOLE              1,054,285         0         0
TANGOE INC              COM         87582Y108          1,845,637     98,120 SH       DEFINED        1     28,090         0    70,030
TANGOE INC              COM         87582Y108            116,058      6,170 SH       DEFINED        4      6,170         0         0
TARGET CORP             COM         87612E106      1,019,892,876 17,502,881 SH       SOLE             16,549,952         0   952,929
TARGET CORP             COM         87612E106        271,158,804  4,653,489 SH       DEFINED        1  2,877,460         0 1,776,029
TARGET CORP             COM         87612E106         53,606,652    919,970 SH       DEFINED        2    919,970         0         0
TARGET CORP             COM         87612E106         15,706,679    269,550 SH       DEFINED        3    269,550         0         0
TARGET CORP             COM         87612E106        115,402,162  1,980,473 SH       DEFINED        4  1,344,833         0   635,640<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

TARGET CORP             COM         87612E106        109,128,173  1,872,802 SH       DEFINED        5  1,808,852         0    63,950
TARGET CORP             COM         87612E106         13,210,392    226,710 SH       DEFINED        6    226,710         0         0
TARGET CORP             COM         87612E106         80,960,163  1,389,397 SH       DEFINED        7  1,372,857         0    16,540
TATA MTRS LTD           SPONSORED
                        ADR         876568502          3,388,241    125,630 SH       DEFINED        1    125,630         0         0
TD AMERITRADE HLDG CORP COM         87236Y108          6,874,514    348,253 SH       SOLE                348,253         0         0
TECK RESOURCES LTD      CL B        878742204          2,504,972     70,246 SH       SOLE                 70,246         0         0
TECK RESOURCES LTD      CL B        878742204          5,561,141    155,949 SH       DEFINED        1    155,949         0         0
TECK RESOURCES LTD      CL B        878742204          6,935,228    194,482 SH       DEFINED        7    194,482         0         0
TELECOM ITALIA S P A    SPON ADR
   NEW                  ORD         87927Y102          1,137,395     95,821 SH       SOLE                 95,821         0         0
TELECOM ITALIA S P A    SPON ADR
   NEW                  ORD         87927Y102            564,454     47,553 SH       DEFINED        7     47,553         0         0
TELECOM ITALIA S P A    SPON ADR
   NEW                  SVGS        87927Y201            692,679     71,190 SH       DEFINED        7     64,620         0     6,570
TELEFLEX INC            COM         879369106          7,137,183    116,716 SH       SOLE                116,716         0         0
TELEFONICA BRASIL SA    SPONSORED
                        ADR         87936R106        142,619,988  4,656,219 SH       SOLE              4,258,216         0   398,003
TELEFONICA BRASIL SA    SPONSORED
                        ADR         87936R106             39,451      1,288 SH       DEFINED        1      1,288         0         0
TEMPUR PEDIC INTL INC   COM         88023U101          5,064,111     59,980 SH       SOLE                 59,980         0         0
TENARIS S A             SPONSORED
                        ADR         88031M109         19,039,190    498,017 SH       SOLE                498,017         0         0
TENARIS S A             SPONSORED
                        ADR         88031M109          3,826,058    100,080 SH       DEFINED        1     35,880         0    64,200
TENARIS S A             SPONSORED
                        ADR         88031M109            219,440      5,740 SH       DEFINED        6      5,740         0         0
TERNIUM SA              SPON ADR    880890108         18,390,077    776,608 SH       SOLE                776,608         0         0
TERNIUM SA              SPON ADR    880890108          2,565,799    108,353 SH       DEFINED        1     37,813         0    70,540
TERNIUM SA              SPON ADR    880890108            137,818      5,820 SH       DEFINED        6      5,820         0         0
TERNIUM SA              SPON ADR    880890108            520,250     21,970 SH       DEFINED        7     19,970         0     2,000
TEVA PHARMACEUTICAL
   INDS LTD             ADR         881624209         96,706,105  2,146,163 SH       SOLE              2,084,093         0    62,070
TEVA PHARMACEUTICAL
   INDS LTD             ADR         881624209         16,784,715    372,497 SH       DEFINED        1    372,497         0         0
TEVA PHARMACEUTICAL
   INDS LTD             ADR         881624209         11,651,525    258,578 SH       DEFINED        4    184,588         0    73,990
TEVA PHARMACEUTICAL
   INDS LTD             ADR         881624209          1,011,237     22,442 SH       DEFINED        5     22,442         0         0
TEVA PHARMACEUTICAL
   INDS LTD             ADR         881624209         11,240,217    249,450 SH       DEFINED        6    249,450         0         0
TEVA PHARMACEUTICAL
   INDS LTD             ADR         881624209         26,593,646    590,183 SH       DEFINED        7    575,853         0    14,330
TEXTRON INC             COM         883203101          1,800,712     64,704 SH       SOLE                 64,704         0         0
TEXTRON INC             COM         883203101            102,275      3,675 SH       DEFINED        1      3,675         0         0
THERMO FISHER
   SCIENTIFIC INC       COM         883556102        752,640,638 13,349,426 SH       SOLE             12,689,568         0   659,858
THERMO FISHER
   SCIENTIFIC INC       COM         883556102        429,540,615  7,618,670 SH       DEFINED        1  5,835,916         0 1,782,754
THERMO FISHER
   SCIENTIFIC INC       COM         883556102         86,179,705  1,528,551 SH       DEFINED        2  1,528,551         0         0
THERMO FISHER
   SCIENTIFIC INC       COM         883556102         22,911,817    406,382 SH       DEFINED        3    406,382         0         0
THERMO FISHER
   SCIENTIFIC INC       COM         883556102        159,685,018  2,832,299 SH       DEFINED        4  2,219,919         0   612,380
THERMO FISHER
   SCIENTIFIC INC       COM         883556102        157,919,985  2,800,993 SH       DEFINED        5  2,704,303         0    96,690
THERMO FISHER
   SCIENTIFIC INC       COM         883556102         12,174,979    215,945 SH       DEFINED        6    215,945         0         0
THERMO FISHER
   SCIENTIFIC INC       COM         883556102         46,238,253    820,118 SH       DEFINED        7    810,558         0     9,560
THORATEC CORP           COM NEW     885175307          9,528,738    282,668 SH       SOLE                282,668         0         0
THORATEC CORP           COM NEW     885175307            983,658     29,180 SH       DEFINED        1      7,950         0    21,230
TIBCO SOFTWARE INC      COM         88632Q103         11,607,385    380,570 SH       SOLE                380,570         0         0
TIBCO SOFTWARE INC      COM         88632Q103            156,526      5,132 SH       DEFINED        1      5,132         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

TIBCO SOFTWARE INC      COM         88632Q103             68,930      2,260 SH       DEFINED        4      2,260         0         0
TIFFANY & CO NEW        COM         886547108         44,139,505    638,500 SH       SOLE                638,500         0         0
TIFFANY & CO NEW        COM         886547108         11,914,556    172,350 SH       DEFINED        1     20,680         0   151,670
TIM PARTICIPACOES S A   SPONSORED
                        ADR         88706P205        386,466,800 11,979,752 SH       SOLE             11,540,027         0   439,725
TIM PARTICIPACOES S A   SPONSORED
                        ADR         88706P205         81,419,466  2,523,852 SH       DEFINED        1  1,459,162         0 1,064,690
TIM PARTICIPACOES S A   SPONSORED
                        ADR         88706P205         11,421,653    354,050 SH       DEFINED        4          0         0   354,050
TIM PARTICIPACOES S A   SPONSORED
                        ADR         88706P205         24,481,953    758,895 SH       DEFINED        6    758,895         0         0
TIM PARTICIPACOES S A   SPONSORED
                        ADR         88706P205         16,168,002    501,178 SH       DEFINED        7    501,178         0         0
TIME WARNER CABLE INC   COM         88732J207        184,996,606  2,269,897 SH       SOLE              2,112,659         0   157,238
TIME WARNER CABLE INC   COM         88732J207         10,833,306    132,924 SH       DEFINED        1    124,634         0     8,290
TIME WARNER CABLE INC   COM         88732J207            119,805      1,470 SH       DEFINED        4      1,470         0         0
TIME WARNER CABLE INC   COM         88732J207          1,869,040     22,933 SH       DEFINED        6     22,933         0         0
TMS INTL CORP           CL A        87261Q103          1,897,764    156,840 SH       SOLE                156,840         0         0
TORONTO DOMINION BK ONT COM NEW     891160509            831,661      9,790 SH       DEFINED        7      9,790         0         0
TRACTOR SUPPLY CO       COM         892356106         56,937,245    628,724 SH       SOLE                628,724         0         0
TRACTOR SUPPLY CO       COM         892356106          3,061,109     33,802 SH       DEFINED        1     33,802         0         0
TRACTOR SUPPLY CO       COM         892356106             86,032        950 SH       DEFINED        4        950         0         0
TRANSDIGM GROUP INC     COM         893641100          7,106,506     61,390 SH       SOLE                 61,390         0         0
TRANSOCEAN LTD          REG SHS     H8817H100        129,781,548  2,372,606 SH       SOLE              2,158,221         0   214,385
TRANSOCEAN LTD          REG SHS     H8817H100         15,613,896    285,446 SH       DEFINED        1    134,495         0   150,951
TRANSOCEAN LTD          REG SHS     H8817H100            991,656     18,129 SH       DEFINED        5     18,129         0         0
TRANSOCEAN LTD          REG SHS     H8817H100          1,941,577     35,495 SH       DEFINED        6     35,495         0         0
TRANSOCEAN LTD          REG SHS     H8817H100          2,955,386     54,029 SH       DEFINED        7     47,130         0     6,899
TRAVELERS COMPANIES INC COM         89417E109        481,922,099  8,140,576 SH       SOLE              7,545,047         0   595,529
TRAVELERS COMPANIES INC COM         89417E109         69,547,213  1,174,784 SH       DEFINED        1    557,402         0   617,382
TRAVELERS COMPANIES INC COM         89417E109          5,920,000    100,000 SH       DEFINED        4          0         0   100,000
TRAVELERS COMPANIES INC COM         89417E109          3,764,291     63,586 SH       DEFINED        5     63,586         0         0
TRAVELERS COMPANIES INC COM         89417E109          8,508,224    143,720 SH       DEFINED        6    143,720         0         0
TRAVELERS COMPANIES INC COM         89417E109          1,657,600     28,000 SH       DEFINED        7     28,000         0         0
TYCO INTERNATIONAL LTD  SHS         H89128104        495,215,745  8,814,805 SH       SOLE              8,150,975         0   663,830
TYCO INTERNATIONAL LTD  SHS         H89128104         70,427,417  1,253,603 SH       DEFINED        1    635,878         0   617,725
TYCO INTERNATIONAL LTD  SHS         H89128104          2,488,774     44,300 SH       DEFINED        5     44,300         0         0
TYCO INTERNATIONAL LTD  SHS         H89128104          9,719,983    173,015 SH       DEFINED        6    173,015         0         0
UGI CORP NEW            COM         902681105         20,410,550    749,011 SH       SOLE                690,351         0    58,660
ULTRA PETROLEUM CORP    COM         903914109          1,593,378     70,410 SH       DEFINED        7     57,010         0    13,400
ULTRATECH INC           COM         904034105         25,185,967    869,081 SH       SOLE                869,081         0         0
ULTRATECH INC           COM         904034105          1,886,018     65,080 SH       DEFINED        1     18,740         0    46,340
UNILEVER N V            N Y SHS NEW 904784709            204,180      6,000 SH       DEFINED        7      6,000         0         0
UNION PAC CORP          COM         907818108         97,512,305    907,260 SH       SOLE                889,950         0    17,310
UNION PAC CORP          COM         907818108          9,291,968     86,453 SH       DEFINED        1     60,513         0    25,940
UNION PAC CORP          COM         907818108            225,708      2,100 SH       DEFINED        4      2,100         0         0
UNION PAC CORP          COM         907818108         29,747,777    276,775 SH       DEFINED        7    275,855         0       920<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

UNITED CONTL HLDGS INC  COM         910047109         20,988,386    976,204 SH       SOLE                976,204         0         0
UNITED CONTL HLDGS INC  COM         910047109          1,606,480     74,720 SH       DEFINED        1     21,460         0    53,260
UNITED PARCEL SERVICE
   INC                  CL B        911312106        312,029,456  3,865,578 SH       SOLE              3,541,826         0   323,752
UNITED PARCEL SERVICE
   INC                  CL B        911312106        398,246,004  4,933,672 SH       DEFINED        1  3,791,205         0 1,142,467
UNITED PARCEL SERVICE
   INC                  CL B        911312106         82,413,183  1,020,976 SH       DEFINED        2  1,020,976         0         0
UNITED PARCEL SERVICE
   INC                  CL B        911312106         21,746,856    269,411 SH       DEFINED        3    269,411         0         0
UNITED PARCEL SERVICE
   INC                  CL B        911312106        153,491,663  1,901,532 SH       DEFINED        4  1,491,732         0   409,800
UNITED PARCEL SERVICE
   INC                  CL B        911312106        145,955,321  1,808,168 SH       DEFINED        5  1,744,438         0    63,730
UNITED PARCEL SERVICE
   INC                  CL B        911312106          9,462,160    117,222 SH       DEFINED        6    117,222         0         0
UNITED PARCEL SERVICE
   INC                  CL B        911312106         20,350,319    252,110 SH       DEFINED        7    250,970         0     1,140
UNITED RENTALS INC      COM         911363109         51,188,700  1,193,488 SH       SOLE              1,193,488         0         0
UNITED RENTALS INC      COM         911363109          6,494,833    151,430 SH       DEFINED        1    110,810         0    40,620
UNITED RENTALS INC      COM         911363109            803,158     18,726 SH       DEFINED        6     18,726         0         0
UNITED TECHNOLOGIES
   CORP                 COM         913017109      1,203,704,819 14,512,959 SH       SOLE             13,573,836         0   939,123
UNITED TECHNOLOGIES
   CORP                 COM         913017109        344,817,244  4,157,430 SH       DEFINED        1  2,577,282         0 1,580,148
UNITED TECHNOLOGIES
   CORP                 COM         913017109         64,991,203    783,593 SH       DEFINED        2    783,593         0         0
UNITED TECHNOLOGIES
   CORP                 COM         913017109         18,693,017    225,380 SH       DEFINED        3    225,380         0         0
UNITED TECHNOLOGIES
   CORP                 COM         913017109        144,727,231  1,744,963 SH       DEFINED        4  1,104,963         0   640,000
UNITED TECHNOLOGIES
   CORP                 COM         913017109        134,089,762  1,616,708 SH       DEFINED        5  1,563,088         0    53,620
UNITED TECHNOLOGIES
   CORP                 COM         913017109         20,541,750    247,670 SH       DEFINED        6    247,670         0         0
UNITED TECHNOLOGIES
   CORP                 COM         913017109         62,958,095    759,080 SH       DEFINED        7    744,230         0    14,850
UNITEDHEALTH GROUP INC  COM         91324P102         17,378,282    294,847 SH       SOLE                294,847         0         0
UNITEDHEALTH GROUP INC  COM         91324P102          3,041,599     51,605 SH       DEFINED        1     48,065         0     3,540
UNITEDHEALTH GROUP INC  COM         91324P102            160,906      2,730 SH       DEFINED        4      2,730         0         0
UNITEDHEALTH GROUP INC  COM         91324P102          5,183,184     87,940 SH       DEFINED        7     78,440         0     9,500
UNIVERSAL DISPLAY CORP  COM         91347P105          5,073,213    138,878 SH       SOLE                138,878         0         0
UNIVERSAL DISPLAY CORP  COM         91347P105            464,662     12,720 SH       DEFINED        1      3,670         0     9,050
UNIVERSAL HLTH SVCS INC CL B        913903100          2,308,822     55,090 SH       SOLE                 55,090         0         0
UNUM GROUP              COM         91529Y106          6,434,176    262,834 SH       SOLE                262,834         0         0
URBAN OUTFITTERS INC    COM         917047102        123,102,231  4,228,864 SH       SOLE              4,174,424         0    54,440
URBAN OUTFITTERS INC    COM         917047102         73,658,896  2,530,364 SH       DEFINED        1  1,961,854         0   568,510
URBAN OUTFITTERS INC    COM         917047102         26,629,537    914,790 SH       DEFINED        2    914,790         0         0
URBAN OUTFITTERS INC    COM         917047102          7,687,660    264,090 SH       DEFINED        3    264,090         0         0
URBAN OUTFITTERS INC    COM         917047102         39,091,673  1,342,895 SH       DEFINED        4  1,007,065         0   335,830
URBAN OUTFITTERS INC    COM         917047102         50,376,543  1,730,558 SH       DEFINED        5  1,667,868         0    62,690
URBAN OUTFITTERS INC    COM         917047102          1,744,475     59,927 SH       DEFINED        6     59,927         0         0
URBAN OUTFITTERS INC    COM         917047102          8,133,596    279,409 SH       DEFINED        7    279,409         0         0
UROPLASTY INC           COM NEW     917277204          6,459,460  2,146,000 SH       SOLE              2,146,000         0         0
UROPLASTY INC           COM NEW     917277204            424,862    141,150 SH       DEFINED        1          0         0   141,150
V F CORP                COM         918204108        121,226,463    830,432 SH       SOLE                812,402         0    18,030
V F CORP                COM         918204108         19,242,792    131,818 SH       DEFINED        1     37,138         0    94,680
V F CORP                COM         918204108          9,602,564     65,780 SH       DEFINED        4     42,630         0    23,150<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

V F CORP                COM         918204108         22,457,271    153,838 SH       DEFINED        7    153,448         0       390
VALE S A                ADR         91912E105         51,184,107  2,193,918 SH       SOLE              2,193,918         0         0
VALE S A                ADR         91912E105          9,268,776    397,290 SH       DEFINED        1    172,080         0   225,210
VALE S A                ADR         91912E105            640,875     27,470 SH       DEFINED        6     27,470         0         0
VALIDUS HOLDINGS LTD    COM SHS     G9319H102            764,217     24,692 SH       SOLE                 24,692         0         0
VANGUARD INTL EQUITY    MSCI EMR
   INDEX F              MKT ETF     922042858         48,728,479  1,120,968 SH       SOLE              1,120,968         0         0
VCA ANTECH INC          COM         918194101         28,585,715  1,231,612 SH       SOLE              1,142,452         0    89,160
VCA ANTECH INC          COM         918194101          7,707,345    332,070 SH       DEFINED        1      2,500         0   329,570
VCA ANTECH INC          COM         918194101          7,411,417    319,320 SH       DEFINED        4    205,350         0   113,970
VCA ANTECH INC          COM         918194101          9,684,140    417,240 SH       DEFINED        7    415,190         0     2,050
VECTREN CORP            COM         92240G101          3,838,826    132,100 SH       SOLE                132,100         0         0
VEECO INSTRS INC DEL    COM         922417100         28,939,682  1,011,877 SH       SOLE              1,011,877         0         0
VEECO INSTRS INC DEL    COM         922417100          2,645,872     92,513 SH       DEFINED        1     26,180         0    66,333
VENTAS INC              COM         92276F100         14,693,829    257,335 SH       SOLE                257,335         0         0
VERIFONE SYS INC        COM         92342Y109         38,438,264    741,050 SH       SOLE                741,050         0         0
VERIFONE SYS INC        COM         92342Y109          1,038,697     20,025 SH       DEFINED        1     20,025         0         0
VERIFONE SYS INC        COM         92342Y109            169,096      3,260 SH       DEFINED        4      3,260         0         0
VERISIGN INC            COM         92343E102         47,832,792  1,247,595 SH       SOLE              1,203,825         0    43,770
VERISIGN INC            COM         92343E102          8,120,144    211,793 SH       DEFINED        1     27,393         0   184,400
VERISIGN INC            COM         92343E102          6,350,101    165,626 SH       DEFINED        4    107,246         0    58,380
VERISIGN INC            COM         92343E102          7,802,190    203,500 SH       DEFINED        7    202,560         0       940
VERISK ANALYTICS INC    CL A        92345Y106        154,479,398  3,288,895 SH       SOLE              3,288,895         0         0
VERISK ANALYTICS INC    CL A        92345Y106         11,020,618    234,631 SH       DEFINED        1    234,631         0         0
VERISK ANALYTICS INC    CL A        92345Y106          1,920,603     40,890 SH       DEFINED        4     40,890         0         0
VERISK ANALYTICS INC    CL A        92345Y106          1,226,575     26,114 SH       DEFINED        5     26,114         0         0
VERISK ANALYTICS INC    CL A        92345Y106          4,381,831     93,290 SH       DEFINED        7     93,290         0         0
VERIZON COMMUNICATIONS
   INC                  COM         92343V104         35,509,974    928,851 SH       SOLE                928,851         0         0
VERIZON COMMUNICATIONS
   INC                  COM         92343V104         12,435,187    325,273 SH       DEFINED        1    220,284         0   104,989
VERIZON COMMUNICATIONS
   INC                  COM         92343V104            177,005      4,630 SH       DEFINED        4      4,630         0         0
VERIZON COMMUNICATIONS
   INC                  COM         92343V104          1,112,417     29,098 SH       DEFINED        6     29,098         0         0
VERIZON COMMUNICATIONS
   INC                  COM         92343V104          3,104,926     81,217 SH       DEFINED        7     76,580         0     4,637
VIACOM INC NEW          CL B        92553P201        814,527,124 17,162,392 SH       SOLE             16,213,737         0   948,655
VIACOM INC NEW          CL B        92553P201        144,455,616  3,043,734 SH       DEFINED        1  1,777,249         0 1,266,485
VIACOM INC NEW          CL B        92553P201         16,473,366    347,100 SH       DEFINED        2    347,100         0         0
VIACOM INC NEW          CL B        92553P201          4,794,409    101,020 SH       DEFINED        3    101,020         0         0
VIACOM INC NEW          CL B        92553P201         49,472,304  1,042,400 SH       DEFINED        4    680,990         0   361,410
VIACOM INC NEW          CL B        92553P201         37,045,235    780,557 SH       DEFINED        5    756,577         0    23,980
VIACOM INC NEW          CL B        92553P201          8,761,306    184,604 SH       DEFINED        6    184,604         0         0
VIACOM INC NEW          CL B        92553P201         46,509,424    979,971 SH       DEFINED        7    970,281         0     9,690
VIEWPOINT FINL GROUP
   INC MD               COM         92672A101          1,729,604    112,458 SH       SOLE                112,458         0         0
VIRGIN MEDIA INC        COM         92769L101        231,830,662  9,280,651 SH       SOLE              8,561,523         0   719,128
VIRGIN MEDIA INC        NOTE
                        6.500%11/1  92769LAB7         58,520,053 38,311,000 PR       SOLE             34,974,000         0 3,337,000<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

VIRGIN MEDIA INC        COM         92769L101          2,913,243    116,623 SH       DEFINED        1     85,165         0    31,458
VIRGIN MEDIA INC        COM         92769L101          1,122,102     44,920 SH       DEFINED        3     44,920         0         0
VIRGIN MEDIA INC        COM         92769L101          5,883,839    235,542 SH       DEFINED        4    132,820         0   102,722
VIRGIN MEDIA INC        COM         92769L101            847,072     33,910 SH       DEFINED        5     33,910         0         0
VIRGIN MEDIA INC        COM         92769L101            282,249     11,299 SH       DEFINED        5     11,299         0         0
VIRGIN MEDIA INC        COM         92769L101          6,781,096    271,461 SH       DEFINED        7    271,461         0         0
VISA INC                COM CL A    92826C839        504,102,608  4,272,056 SH       SOLE              4,145,936         0   126,120
VISA INC                COM CL A    92826C839        398,334,016  3,375,712 SH       DEFINED        1  2,682,992         0   692,720
VISA INC                COM CL A    92826C839         84,993,276    720,282 SH       DEFINED        2    720,282         0         0
VISA INC                COM CL A    92826C839         22,733,880    192,660 SH       DEFINED        3    192,660         0         0
VISA INC                COM CL A    92826C839        164,082,540  1,390,530 SH       DEFINED        4  1,089,140         0   301,390
VISA INC                COM CL A    92826C839        153,873,534  1,304,013 SH       DEFINED        5  1,258,633         0    45,380
VISA INC                COM CL A    92826C839          7,215,110     61,145 SH       DEFINED        6     61,145         0         0
VISA INC                COM CL A    92826C839         52,567,112    445,484 SH       DEFINED        7    444,534         0       950
VISHAY INTERTECHNOLOGY
   INC                  COM         928298108          1,376,111    113,167 SH       SOLE                113,167         0         0
VISHAY INTERTECHNOLOGY
   INC                  COM         928298108            128,288     10,550 SH       DEFINED        4     10,550         0         0
VMWARE INC              CL A COM    928563402         22,830,213    203,170 SH       SOLE                203,170         0         0
VMWARE INC              CL A COM    928563402            954,021      8,490 SH       DEFINED        1      8,490         0         0
VODAFONE GROUP PLC NEW  SPONS ADR
                        NEW         92857W209         44,706,530  1,615,704 SH       SOLE              1,506,034         0   109,670
VODAFONE GROUP PLC NEW  SPONS ADR
                        NEW         92857W209         58,778,081  2,124,253 SH       DEFINED        1  1,035,287         0 1,088,966
VODAFONE GROUP PLC NEW  SPONS ADR
                        NEW         92857W209          2,653,138     95,885 SH       DEFINED        5     95,885         0         0
VODAFONE GROUP PLC NEW  SPONS ADR
                        NEW         92857W209          9,095,406    328,710 SH       DEFINED        6    328,710         0         0
VODAFONE GROUP PLC NEW  SPONS ADR
                        NEW         92857W209          8,072,612    291,746 SH       DEFINED        7    291,034         0       712
VOLCANO CORPORATION     COM         928645100         27,226,801    960,381 SH       SOLE                960,381         0         0
VOLCANO CORPORATION     COM         928645100          2,473,821     87,260 SH       DEFINED        1     25,150         0    62,110
VORNADO RLTY TR         SH BEN INT  929042109         21,370,128    253,802 SH       SOLE                253,802         0         0
WABCO HLDGS INC         COM         92927K102         32,147,297    531,536 SH       SOLE                531,536         0         0
WABCO HLDGS INC         COM         92927K102          2,271,084     37,551 SH       DEFINED        1     12,641         0    24,910
WAL MART STORES INC     COM         931142103             56,610        925 SH       DEFINED        1        925         0         0
WAL MART STORES INC     COM         931142103          4,438,224     72,520 SH       DEFINED        7     71,320         0     1,200
WALGREEN CO             COM         931422109        232,220,028  6,934,011 SH       SOLE              6,332,635         0   601,376
WALGREEN CO             COM         931422109        295,587,060  8,826,129 SH       DEFINED        1  6,997,355         0 1,828,774
WALGREEN CO             COM         931422109         62,409,385  1,863,523 SH       DEFINED        2  1,863,523         0         0
WALGREEN CO             COM         931422109         16,367,568    488,730 SH       DEFINED        3    488,730         0         0
WALGREEN CO             COM         931422109        104,969,248  3,134,346 SH       DEFINED        4  2,515,846         0   618,500
WALGREEN CO             COM         931422109        110,617,872  3,303,012 SH       DEFINED        5  3,187,562         0   115,450
WALGREEN CO             COM         931422109          7,210,397    215,300 SH       DEFINED        6    215,300         0         0
WASTE CONNECTIONS INC   COM         941053100         25,757,482    791,807 SH       SOLE                791,807         0         0
WASTE CONNECTIONS INC   COM         941053100          2,366,883     72,760 SH       DEFINED        1     72,760         0         0
WASTE CONNECTIONS INC   COM         941053100            122,963      3,780 SH       DEFINED        4      3,780         0         0
WATERS CORP             COM         941848103         89,073,502    961,294 SH       SOLE                928,788         0    32,506
WATERS CORP             COM         941848103        266,726,721  2,878,553 SH       DEFINED        1  2,398,884         0   479,669<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

WATERS CORP             COM         941848103         56,231,277    606,856 SH       DEFINED        2    606,856         0         0
WATERS CORP             COM         941848103         14,606,922    157,640 SH       DEFINED        3    157,640         0         0
WATERS CORP             COM         941848103         98,616,926  1,064,288 SH       DEFINED        4    865,978         0   198,310
WATERS CORP             COM         941848103         98,537,238  1,063,428 SH       DEFINED        5  1,026,388         0    37,040
WATERS CORP             COM         941848103          3,328,440     35,921 SH       DEFINED        6     35,921         0         0
WATERS CORP             COM         941848103          4,200,278     45,330 SH       DEFINED        7     45,330         0         0
WD-40 CO                COM         929236107            869,360     19,170 SH       SOLE                 19,170         0         0
WELLPOINT INC           COM         94973V107          3,162,625     42,854 SH       DEFINED        1     40,644         0     2,210
WELLS FARGO & CO NEW    COM         949746101        863,969,304 25,306,658 SH       SOLE             23,318,576         0 1,988,082
WELLS FARGO & CO NEW    COM         949746101        146,715,558  4,297,468 SH       DEFINED        1  1,563,804         0 2,733,664
WELLS FARGO & CO NEW    COM         949746101         36,494,670  1,068,971 SH       DEFINED        4    514,731         0   554,240
WELLS FARGO & CO NEW    COM         949746101          6,390,735    187,192 SH       DEFINED        5    187,192         0         0
WELLS FARGO & CO NEW    COM         949746101         14,351,705    420,378 SH       DEFINED        6    420,378         0         0
WELLS FARGO & CO NEW    COM         949746101         45,609,401  1,335,952 SH       DEFINED        7  1,298,372         0    37,580
WESTERN DIGITAL CORP    COM         958102105            722,587     17,458 SH       SOLE                 17,458         0         0
WESTERN UN CO           COM         959802109        400,511,742 22,756,349 SH       SOLE             21,199,829         0 1,556,520
WESTERN UN CO           COM         959802109         53,620,811  3,046,637 SH       DEFINED        1  1,424,429         0 1,622,208
WESTERN UN CO           COM         959802109          4,083,552    232,020 SH       DEFINED        4      8,210         0   223,810
WESTERN UN CO           COM         959802109          2,703,818    153,626 SH       DEFINED        5    153,626         0         0
WESTERN UN CO           COM         959802109          6,039,792    343,170 SH       DEFINED        6    343,170         0         0
WESTERN UN CO           COM         959802109          1,071,840     60,900 SH       DEFINED        7     60,900         0         0
WESTPAC BKG CORP        SPONSORED
                        ADR         961214301          4,665,570     41,016 SH       SOLE                 41,016         0         0
WESTPAC BKG CORP        SPONSORED
                        ADR         961214301          1,507,870     13,256 SH       DEFINED        7     13,056         0       200
WEYERHAEUSER CO         COM         962166104          7,751,635    353,633 SH       SOLE                353,633         0         0
WHOLE FOODS MKT INC     COM         966837106             38,938        468 SH       SOLE                    468         0         0
WHOLE FOODS MKT INC     COM         966837106          6,587,859     79,181 SH       DEFINED        1     76,121         0     3,060
WILLIAMS COS INC DEL    COM         969457100        231,863,335  7,525,587 SH       SOLE              6,840,114         0   685,473
WILLIAMS PARTNERS L P   COM UNIT
                        L P         96950F104         77,460,958  1,368,810 SH       SOLE              1,261,490         0   107,320
WILLIS GROUP HOLDINGS
   PUBLIC               SHS         G96666105          7,774,165    222,246 SH       SOLE                222,246         0         0
WILLIS GROUP HOLDINGS
   PUBLIC               SHS         G96666105             27,669        791 SH       DEFINED        1        791         0         0
WINTRUST FINANCIAL CORP COM         97650W108          9,650,344    269,638 SH       SOLE                269,638         0         0
WISCONSIN ENERGY CORP   COM         976657106         49,883,551  1,417,952 SH       SOLE              1,319,552         0    98,400
WISCONSIN ENERGY CORP   COM         976657106         13,802,697    392,345 SH       DEFINED        1        285         0   392,060
WISCONSIN ENERGY CORP   COM         976657106         19,465,200    553,303 SH       DEFINED        4    422,483         0   130,820
WISCONSIN ENERGY CORP   COM         976657106         16,266,880    462,390 SH       DEFINED        7    460,250         0     2,140
WMS INDS INC            COM         929297109          5,493,637    231,506 SH       SOLE                231,506         0         0
WPP PLC                 ADR         92933H101          8,501,126    124,340 SH       DEFINED        7    118,040         0     6,300
WPX ENERGY INC          COM         98212B103        101,369,339  5,628,503 SH       SOLE              5,330,757         0   297,746
WPX ENERGY INC          COM         98212B103          3,549,069    197,061 SH       DEFINED        1    113,901         0    83,160
WPX ENERGY INC          COM         98212B103             75,102      4,170 SH       DEFINED        4      4,170         0         0
WPX ENERGY INC          COM         98212B103          4,805,806    266,841 SH       DEFINED        7    266,841         0         0
XCEL ENERGY INC         COM         98389B100              4,050        153 SH       SOLE                    153         0         0<br /><br />{S}                     {C}         {C}       {C}                {C}        {C} {C}  {C}        {C}   {C}        {C}       {C}

XCEL ENERGY INC         COM         98389B100          7,143,935    269,888 SH       DEFINED        4    269,888         0         0
XEROX CORP              COM         984121103          6,829,054    845,180 SH       SOLE                845,180         0         0
YAHOO INC               COM         984332106          2,097,925    137,840 SH       SOLE                137,840         0         0
YAHOO INC               COM         984332106            200,600     13,180 SH       DEFINED        4     13,180         0         0
YUM BRANDS INC          COM         988498101         50,930,642    715,519 SH       SOLE                715,519         0         0
YUM BRANDS INC          COM         988498101          5,360,566     75,310 SH       DEFINED        1     75,310         0         0
YUM BRANDS INC          COM         988498101            259,095      3,640 SH       DEFINED        4      3,640         0         0
YUM BRANDS INC          COM         988498101         15,343,703    215,562 SH       DEFINED        7    205,662         0     9,900
ZIONS BANCORPORATION    COM         989701107         22,275,265  1,037,990 SH       SOLE                929,520         0   108,470
ZIPCAR INC              COM         98974X103          8,715,078    588,459 SH       SOLE                588,459         0         0
ZIPCAR INC              COM         98974X103            875,123     59,090 SH       DEFINED        1     16,270         0    42,820
ZYNGA INC               CL A        98986T108          8,406,927    639,310 SH       SOLE                639,310         0         0
ZYNGA INC               CL A        98986T108            798,337     60,710 SH       DEFINED        1     16,720         0    43,990
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                                                   106,286,284,996.39