Stevens Capital Management

Stevens Capital Management as of June 30, 2010

Portfolio Holdings for Stevens Capital Management

Stevens Capital Management holds 0 positions in its portfolio as reported in the June 2010 quarterly 13F filing

                {S} {C}
                                                                  VALUE   SHRS/PRN    SH/     PUT/    INV    OTHER  VOTING AUTHORITY
           NAME OF ISSUER             TITLE OF CLASS     CUSIP   (x$1000)  AMOUNT     PRN     CALL   DISCR  MANAGERS        SOLE
         ------------------            -------------     ------   -----     ----      ----    ----    ----   ------ --------------
A D C TELECOMMUNICATIONS            COM NEW            000886309   233    31378 SH     SH           SOLE             31378  31378
ABAXIS INC                          COM                002567105   212     9915 SH     SH           SOLE              9915  9915
ABERCROMBIE & FITCH CO              CL A               002896207   518    16893 SH     SH           SOLE             16893  16893
ADTRAN INC                          COM                00738A106   261     9576 SH     SH           SOLE              9576  9576
AFLAC INC                           COM                001055102   1407   32979 SH     SH           SOLE             32979  32979
ALASKA AIR GROUP INC                COM                011659109   309     6876 SH     SH           SOLE              6876  6876
ALBEMARLE CORP                      COM                012653101   298     7508 SH     SH           SOLE              7508  7508
ALLIANT ENERGY CORP                 COM                018802108   634    19964 SH     SH           SOLE             19964  19964
AMB PROPERTY CORP                   COM                00163T109   251    10597 SH     SH           SOLE             10597  10597
AMERICAN EAGLE OUTFITTERS NE        COM                02553E106   226    19200 SH     SH           SOLE             19200  19200
AMERICAN ELEC PWR INC               COM                025537101   497    15400 SH     SH           SOLE             15400  15400
AMERISOURCEBERGEN CORP              COM                03073E105   253     7984 SH     SH           SOLE              7984  7984
AMR CORP                            COM                001765106    82    12135 SH     SH           SOLE             12135  12135
AMTRUST FINANCIAL SERVICES I        COM                032359309   180    14975 SH     SH           SOLE             14975  14975
ANADIGICS INC                       COM                032515108    48    11054 SH     SH           SOLE             11054  11054
ANNALY CAP MGMT INC                 COM                035710409   196    11403 SH     SH           SOLE             11403  11403
ANSYS INC                           COM                03662Q105   978    24106 SH     SH           SOLE             24106  24106
ANTIGENICS INC DEL                  COM                037032109    12    14300 SH     SH           SOLE             14300  14300
APPLIED MATLS INC                   COM                038222105   618    51428 SH     SH           SOLE             51428  51428
ARBITRON INC                        COM                03875Q108   233     9108 SH     SH           SOLE              9108  9108
ARCH CAP GROUP LTD                  ORD                G0450A105   253     3402 SH     SH           SOLE              3402  3402
ARCHER DANIELS MIDLAND CO           COM                039483102   1642   63582 SH     SH           SOLE             63582  63582
ART TECHNOLOGY GROUP INC            COM                04289L107    47    13800 SH     SH           SOLE             13800  13800
ASML HOLDING N V                    NY REG SHS         N07059186   617    22472 SH     SH           SOLE             22472  22472
ASSOCIATED BANC CORP                COM                045487105   143    11674 SH     SH           SOLE             11674  11674
ASSURED GUARANTY LTD                COM                G0585R106   141    10601 SH     SH           SOLE             10601  10601
ASTORIA FINL CORP                   COM                046265104   189    13741 SH     SH           SOLE             13741  13741
ASTRAZENECA PLC                     SPONSORED ADR      046353108   270     5721 SH     SH           SOLE              5721  5721
AT^T INC                            COM                00206R102   214     8831 SH     SH           SOLE              8831  8831
AUTOZONE INC                        COM                053332102   319     1650 SH     SH           SOLE              1650  1650
AUXILIUM PHARMACEUTICALS INC        COM                05334D107   206     8767 SH     SH           SOLE              8767  8767
BAKER HUGHES INC                    COM                057224107   1749   42070 SH     SH           SOLE             42070  42070
BALL CORP                           COM                058498106   330     6239 SH     SH           SOLE              6239  6239
BALLY TECHNOLOGIES INC              COM                05874B107   844    26052 SH     SH           SOLE             26052  26052
BANK HAWAII CORP                    COM                062540109   1133   23442 SH     SH           SOLE             23442  23442
BARCLAYS BK PLC                     IPATH S^P ST ETN   06740C527   1560  50000 CALL    SH     CALL  SOLE             50000  50000
BARRICK GOLD CORP                   COM                067901108   204     4493 SH     SH           SOLE              4493  4493
BASIC ENERGY SVCS INC NEW           COM                06985P100    79    10256 SH     SH           SOLE             10256  10256
BB^T CORP                           COM                054937107   257     9776 SH     SH           SOLE              9776  9776
BCE INC                             COM NEW            05534B760   767    26194 SH     SH           SOLE             26194  26194
BE AEROSPACE INC                    COM                073302101   435    17103 SH     SH           SOLE             17103  17103
BEACON ROOFING SUPPLY INC           COM                073685109   185    10283 SH     SH           SOLE             10283  10283
BECKMAN COULTER INC                 COM                075811109   657    10894 SH     SH           SOLE             10894  10894
BELO CORP                           COM SER A          080555105    81    14302 SH     SH           SOLE             14302  14302
BEST BUY INC                        COM                086516101   300     8850 SH     SH           SOLE              8850  8850
BIOMARIN PHARMACEUTICAL INC         COM                09061G101   199    10517 SH     SH           SOLE             10517  10517
BIOMED REALTY TRUST INC             COM                09063H107   705    43800 SH     SH           SOLE             43800  43800
BLACKBAUD INC                       COM                09227Q100   288    13246 SH     SH           SOLE             13246  13246
BLACKBOARD INC                      COM                091935502   460    12324 SH     SH           SOLE             12324  12324
BORGWARNER INC                      COM                099724106   1327   35551 SH     SH           SOLE             35551  35551
BOSTON SCIENTIFIC CORP              COM                101137107    71    12310 SH     SH           SOLE             12310  12310
BP PLC                              SPONSORED ADR      055622104   320    11091 SH     SH           SOLE             11091  11091
BP PRUDHOE BAY RTY TR               UNIT BEN INT       055630107   493     5527 SH     SH           SOLE              5527  5527
BRIGGS & STRATTON CORP              COM                109043109   402    23622 SH     SH           SOLE             23622  23622
BRINKER INTL INC                    COM                109641100   183    12639 SH     SH           SOLE             12639  12639
BROADCOM CORP                       CL A               111320107   758    22996 SH     SH           SOLE             22996  22996
BROADRIDGE FINL SOLUTIONS IN        COM                11133T103   285    14986 SH     SH           SOLE             14986  14986
CAMERON INTERNATIONAL CORP          COM                13342B105   614    18866 SH     SH           SOLE             18866  18866
CATERPILLAR INC DEL                 COM                149123101   630    10484 SH     SH           SOLE             10484  10484
CEDAR SHOPPING CTRS INC             COM NEW            150602209   117    19510 SH     SH           SOLE             19510  19510
CF INDS HLDGS INC                   COM                125269100   879    13850 SH     SH           SOLE             13850  13850
CHECK POINT SOFTWARE TECH LT        ORD                M22465104   456    15460 SH     SH           SOLE             15460  15460
CHEESECAKE FACTORY INC              COM                163072101   376    16881 SH     SH           SOLE             16881  16881
CHEMED CORP NEW                     COM                16359R103   251     4600 SH     SH           SOLE              4600  4600
CHIPOTLE MEXICAN GRILL INC          COM                169656105   516     3769 SH     SH           SOLE              3769  3769
CIMAREX ENERGY CO                   COM                171798101   620     8663 SH     SH           SOLE              8663  8663
CITY NATL CORP                      COM                178566105   1079   21065 SH     SH           SOLE             21065  21065
CLEARWIRE CORP NEW                  CL A               18538Q105   162    22321 SH     SH           SOLE             22321  22321
COGNIZANT TECHNOLOGY SOLUTIO        CL A               192446102   520    10381 SH     SH           SOLE             10381  10381
COLGATE PALMOLIVE CO                COM                194162103   544     6909 SH     SH           SOLE              6909  6909
COMMERCE BANCSHARES INC             COM                200525103   205     5700 SH     SH           SOLE              5700  5700
COMPUWARE CORP                      COM                205638109    87    10843 SH     SH           SOLE             10843  10843
CONAGRA FOODS INC                   COM                205887102   540    23147 SH     SH           SOLE             23147  23147
CONEXANT SYSTEMS INC                COM NEW            207142308    27    12171 SH     SH           SOLE             12171  12171
CONSOL ENERGY INC                   COM                20854P109   266     7882 SH     SH           SOLE              7882  7882
CONVERGYS CORP                      COM                212485106   119    12100 SH     SH           SOLE             12100  12100
COOPER INDUSTRIES PLC               SHS                G24140108   445    10123 SH     SH           SOLE             10123  10123
CORNING INC                         COM                219350105   503    31145 SH     SH           SOLE             31145  31145
COUSINS PPTYS INC                   COM                222795106    77    11483 SH     SH           SOLE             11483  11483
COVIDIEN PLC                        SHS                G2554F105   563    14000 SH     SH           SOLE             14000  14000
CROWN CASTLE INTL CORP              COM                228227104   501    13451 SH     SH           SOLE             13451  13451
CROWN HOLDINGS INC                  COM                228368106   657    26231 SH     SH           SOLE             26231  26231
CYTOKINETICS INC                    COM                23282W100    28    11700 SH     SH           SOLE             11700  11700
DCT INDUSTRIAL TRUST INC            COM                233153105   249    54992 SH     SH           SOLE             54992  54992
DEALERTRACK HLDGS INC               COM                242309102   174    10600 SH     SH           SOLE             10600  10600
DEVON ENERGY CORP NEW               COM                25179M103   387     6345 SH     SH           SOLE              6345  6345
DIREXION SHS ETF TR                 DLY TECH BULL 3X   25459W102   208    8300 CALL    SH     CALL  SOLE              8300  8300
DIREXION SHS ETF TR                 DLY ENRGY BULL3X   25459W888   232    9800 CALL    SH     CALL  SOLE              9800  9800
DIREXION SHS ETF TR                 DLY TECH BEAR 3X   25459W201   189   18500 CALL    SH     CALL  SOLE             18500  18500
DIREXION SHS ETF TR                 DLY SMCAP BULL3X   25459W847   1046  28700 CALL    SH     CALL  SOLE             28700  28700
DIREXION SHS ETF TR                 DLY R/E BULL3X     25459W755   1241  35500 CALL    SH     CALL  SOLE             35500  35500
DIREXION SHS ETF TR                 DLY SMCAP BEAR3X   25459W839   437   53400 CALL    SH     CALL  SOLE             53400  53400
DIREXION SHS ETF TR                 DLY EM BR3X NEW    25459W482   4123   82800 PUT    SH     PUT   SOLE             82800  82800
DIREXION SHS ETF TR                 DLY EMRGMKT BULL   25459W300   4494  212800 CALL   SH     CALL  SOLE             212800 212800
DIREXION SHS ETF TR                 DLY FIN BULL NEW   25459W516  10269  537900 CALL   SH     CALL  SOLE             537900 537900
DISNEY WALT CO                      COM DISNEY         254687106   240     7617 SH     SH           SOLE              7617  7617
DOLLAR TREE INC                     COM                256746108   628    15088 SH     SH           SOLE             15088  15088
DONNELLEY R R & SONS CO             COM                257867101   183    11207 SH     SH           SOLE             11207  11207
DUKE REALTY CORP                    COM NEW            264411505   141    12400 SH     SH           SOLE             12400  12400
E M C CORP MASS                     COM                268648102   313    17078 SH     SH           SOLE             17078  17078
EASTMAN KODAK CO                    COM                277461109    50    11448 SH     SH           SOLE             11448  11448
EBAY INC                            COM                278642103   2999   152948 SH    SH           SOLE             152948 152948
EL PASO CORP                        COM                28336L109   316    28468 SH     SH           SOLE             28468  28468
ELECTRONICS FOR IMAGING INC         COM                286082102    99    10113 SH     SH           SOLE             10113  10113
ENCANA CORP                         COM                292505104   470    15500 SH     SH           SOLE             15500  15500
ENTERTAINMENT PPTYS TR              COM SH BEN INT     29380T105   659    17312 SH     SH           SOLE             17312  17312
F M C CORP                          COM NEW            302491303   701    12198 SH     SH           SOLE             12198  12198
FACTSET RESH SYS INC                COM                303075105   308     4600 SH     SH           SOLE              4600  4600
FEDERATED INVS INC PA               CL B               314211103   552    26659 SH     SH           SOLE             26659  26659
FERRO CORP                          COM                315405100   105    14189 SH     SH           SOLE             14189  14189
FISERV INC                          COM                337738108   776    17000 SH     SH           SOLE             17000  17000
FLUOR CORP NEW                      COM                343412102   2115   49763 SH     SH           SOLE             49763  49763
FOCUS MEDIA HLDG LTD                SPONSORED ADR      34415V109   171    10985 SH     SH           SOLE             10985  10985
FRONTIER OIL CORP                   COM                35914P105   477    35444 SH     SH           SOLE             35444  35444
GAFISA S A                          SPONS ADR          362607301   162    13383 SH     SH           SOLE             13383  13383
GAP INC DEL                         COM                364760108   3112   159903 SH    SH           SOLE             159903 159903
GEN-PROBE INC NEW                   COM                36866T103   754    16601 SH     SH           SOLE             16601  16601
GENCORP INC                         COM                368682100    48    11018 SH     SH           SOLE             11018  11018
GIANT INTERACTIVE GROUP INC         ADR                374511103    88    12818 SH     SH           SOLE             12818  12818
GILEAD SCIENCES INC                 COM                375558103   351    10234 SH     SH           SOLE             10234  10234
GOLDCORP INC NEW                    COM                380956409   614    14009 SH     SH           SOLE             14009  14009
GRAINGER W W INC                    COM                384802104   526     5294 SH     SH           SOLE              5294  5294
GREENLIGHT CAPITAL RE LTD           CLASS A            G4095J109   239     9500 SH     SH           SOLE              9500  9500
HALLIBURTON CO                      COM                406216101   1929   78558 SH     SH           SOLE             78558  78558
HANOVER INS GROUP INC               COM                410867105   613    14083 SH     SH           SOLE             14083  14083
HCP INC                             COM                40414L109   1515   46987 SH     SH           SOLE             46987  46987
HEALTH CARE REIT INC                COM                42217K106   480    11401 SH     SH           SOLE             11401  11401
HEALTH NET INC                      COM                42222G108   711    29194 SH     SH           SOLE             29194  29194
HEIDRICK & STRUGGLES INTL IN        COM                422819102   313    13700 SH     SH           SOLE             13700  13700
HELIX ENERGY SOLUTIONS GRP I        COM                42330P107   167    15508 SH     SH           SOLE             15508  15508
HENRY JACK & ASSOC INC              COM                426281101   404    16900 SH     SH           SOLE             16900  16900
HERBALIFE LTD                       COM USD SHS        G4412G101   204     4429 SH     SH           SOLE              4429  4429
HORMEL FOODS CORP                   COM                440452100   306     7563 SH     SH           SOLE              7563  7563
HOSPIRA INC                         COM                441060100   253     4400 SH     SH           SOLE              4400  4400
HOVNANIAN ENTERPRISES INC           CL A               442487203    70    18977 SH     SH           SOLE             18977  18977
HUDSON CITY BANCORP                 COM                443683107   1362   111174 SH    SH           SOLE             111174 111174
IDEXX LABS INC                      COM                45168D104   419     6876 SH     SH           SOLE              6876  6876
INTERCONTINENTALEXCHANGE INC        COM                45865V100   408     3608 SH     SH           SOLE              3608  3608
INTERNATIONAL BUSINESS MACHS        COM                459200101   648     5246 SH     SH           SOLE              5246  5246
ISHARES TR INDEX                    DJ US REAL EST     464287739   463    9800 PUT     SH     PUT   SOLE              9800  9800
ISHARES TR INDEX                    RUSSELL 2000       464287655   1467   24000 PUT    SH     PUT   SOLE             24000  24000
ISHARES TR INDEX                    RUSSELL 2000       464287655   1503  24600 CALL    SH     CALL  SOLE             24600  24600
ISHARES TR INDEX                    FTSE XNHUA IDX     464287184   1589   40600 PUT    SH     PUT   SOLE             40600  40600
ISHARES TR INDEX                    DJ US REAL EST     464287739   5722  121200 CALL   SH     CALL  SOLE             121200 121200
ISHARES TR INDEX                    BARCLYS 20+ YR     464287432  22477  220900 PUT    SH     PUT   SOLE             220900 220900
JONES APPAREL GROUP INC             COM                480074103   312    19668 SH     SH           SOLE             19668  19668
JONES LANG LASALLE INC              COM                48020Q107   670    10201 SH     SH           SOLE             10201  10201
KEYCORP NEW                         COM                493267108   148    19307 SH     SH           SOLE             19307  19307
KIMBERLY CLARK CORP                 COM                494368103   388     6400 SH     SH           SOLE              6400  6400
KINDRED HEALTHCARE INC              COM                494580103   378    29416 SH     SH           SOLE             29416  29416
KINETIC CONCEPTS INC                COM NEW            49460W208   961    26321 SH     SH           SOLE             26321  26321
KORN FERRY INTL                     COM NEW            500643200   436    31349 SH     SH           SOLE             31349  31349
KRAFT FOODS INC                     CL A               50075N104   637    22743 SH     SH           SOLE             22743  22743
LA Z BOY INC                        COM                505336107    76    10227 SH     SH           SOLE             10227  10227
LEAP WIRELESS INTL INC              COM NEW            521863308   145    11178 SH     SH           SOLE             11178  11178
LEAR CORP                           COM NEW            521865204   218     3300 SH     SH           SOLE              3300  3300
LENNAR CORP                         CL A               526057104   284    20450 SH     SH           SOLE             20450  20450
LIFEPOINT HOSPITALS INC             COM                53219L109   257     8170 SH     SH           SOLE              8170  8170
LKQ CORP                            COM                501889208   250    12974 SH     SH           SOLE             12974  12974
LOCKHEED MARTIN CORP                COM                539830109   760    10200 SH     SH           SOLE             10200  10200
LOWES COS INC                       COM                548661107   2189   107216 SH    SH           SOLE             107216 107216
M D C HLDGS INC                     COM                552676108   239     8870 SH     SH           SOLE              8870  8870
MANITOWOC INC                       COM                563571108    97    10649 SH     SH           SOLE             10649  10649
MANPOWER INC                        COM                56418H100   1132   26208 SH     SH           SOLE             26208  26208
MASTERCARD INC                      CL A               57636Q104   337     1690 SH     SH           SOLE              1690  1690
MATTEL INC                          COM                577081102   600    28345 SH     SH           SOLE             28345  28345
MCCORMICK & CO INC                  COM NON VTG        579780206   290     7649 SH     SH           SOLE              7649  7649
MCMORAN EXPLORATION CO              COM                582411104   152    13702 SH     SH           SOLE             13702  13702
MEDCATH CORP                        COM                58404W109    85    10802 SH     SH           SOLE             10802  10802
MEDICAL PPTYS TRUST INC             COM                58463J304   125    13239 SH     SH           SOLE             13239  13239
MEDIVATION INC                      COM                58501N101   212    23937 SH     SH           SOLE             23937  23937
MEMC ELECTR MATLS INC               COM                552715104   381    38557 SH     SH           SOLE             38557  38557
MERCADOLIBRE INC                    COM                58733R102   327     6216 SH     SH           SOLE              6216  6216
MERCK & CO INC NEW                  COM                58933Y105   430    12304 SH     SH           SOLE             12304  12304
METLIFE INC                         COM                59156R108   677    17942 SH     SH           SOLE             17942  17942
MGM MIRAGE                          COM                552953101   206    21350 SH     SH           SOLE             21350  21350
MICRON TECHNOLOGY INC               COM                595112103   149    17523 SH     SH           SOLE             17523  17523
MIRANT CORP NEW                     COM                60467R100   169    15966 SH     SH           SOLE             15966  15966
MOLEX INC                           COM                608554101   460    25220 SH     SH           SOLE             25220  25220
MORGAN STANLEY                      COM NEW            617446448   931    40094 SH     SH           SOLE             40094  40094
MOTOROLA INC                        COM                620076109   193    29600 SH     SH           SOLE             29600  29600
NATIONAL RETAIL PROPERTIES I        COM                637417106   341    15908 SH     SH           SOLE             15908  15908
NATIONWIDE HEALTH PPTYS INC         COM                638620104   307     8575 SH     SH           SOLE              8575  8575
NEUSTAR INC                         CL A               64126X201   619    30012 SH     SH           SOLE             30012  30012
NEW ORIENTAL ED & TECH GRP I        SPON ADR           647581107   214     2300 SH     SH           SOLE              2300  2300
NEW YORK CMNTY BANCORP INC          COM                649445103   843    55177 SH     SH           SOLE             55177  55177
NOBLE CORPORATION BAAR              NAMEN -AKT         H5833N103   844    27300 SH     SH           SOLE             27300  27300
NOBLE ENERGY INC                    COM                655044105   2531   41957 SH     SH           SOLE             41957  41957
NOKIA CORP                          SPONSORED ADR      654902204   244    29942 SH     SH           SOLE             29942  29942
NOVARTIS A G                        SPONSORED ADR      66987V109   263     5443 SH     SH           SOLE              5443  5443
NRG ENERGY INC                      COM NEW            629377508   651    30712 SH     SH           SOLE             30712  30712
NVR INC                             COM                62944T105   1295    1977 SH     SH           SOLE              1977  1977
OFFICE DEPOT INC                    COM                676220106   112    27700 SH     SH           SOLE             27700  27700
OMNICOM GROUP INC                   COM                681919106   1284   37425 SH     SH           SOLE             37425  37425
ONEOK INC NEW                       COM                682680103   512    11846 SH     SH           SOLE             11846  11846
P F CHANGS CHINA BISTRO INC         COM                69333Y108   259     6540 SH     SH           SOLE              6540  6540
PACKAGING CORP AMER                 COM                695156109   275    12471 SH     SH           SOLE             12471  12471
PACWEST BANCORP DEL                 COM                695263103   185    10110 SH     SH           SOLE             10110  10110
PARKWAY PPTYS INC                   COM                70159Q104   152    10465 SH     SH           SOLE             10465  10465
PAYCHEX INC                         COM                704326107   369    14226 SH     SH           SOLE             14226  14226
PEPSICO INC                         COM                713448108   311     5107 SH     SH           SOLE              5107  5107
PERRIGO CO                          COM                714290103   201     3403 SH     SH           SOLE              3403  3403
PG^E CORP                           COM                69331C108   892    21700 SH     SH           SOLE             21700  21700
PHILIP MORRIS INTL INC              COM                718172109   1211   26425 SH     SH           SOLE             26425  26425
PIEDMONT NAT GAS INC                COM                720186105   474    18747 SH     SH           SOLE             18747  18747
PMC-SIERRA INC                      COM                69344F106    80    10670 SH     SH           SOLE             10670  10670
POLO RALPH LAUREN CORP              CL A               731572103   438     6003 SH     SH           SOLE              6003  6003
POLYCOM INC                         COM                73172K104   307    10300 SH     SH           SOLE             10300  10300
POST PPTYS INC                      COM                737464107   299    13171 SH     SH           SOLE             13171  13171
POWERSHARES QQQ TRUST               UNIT SER 1         73935A104   382     8955 SH     SH           SOLE              8955  8955
POWERSHARES QQQ TRUST               UNIT SER 1         73935A104   1149   26900 PUT    SH     PUT   SOLE             26900  26900
POWERSHARES QQQ TRUST               UNIT SER 1         73935A104   2639  61800 CALL    SH     CALL  SOLE             61800  61800
PRAXAIR INC                         COM                74005P104   1236   16264 SH     SH           SOLE             16264  16264
PRIDE INTL INC DEL                  COM                74153Q102   330    14761 SH     SH           SOLE             14761  14761
PROLOGIS                            SH BEN INT         743410102   174    17161 SH     SH           SOLE             17161  17161
PROSHARES TR                        ULTRPRO S^P500     74347X864   1259  10700 CALL    SH     CALL  SOLE             10700  10700
PROSHARES TR                        PSHS ULTASH DW30   74347R867   350   11300 CALL    SH     CALL  SOLE             11300  11300
PROSHARES TR                        ULT SHR S^P500     74347X856   433    11300 PUT    SH     PUT   SOLE             11300  11300
PROSHARES TR                        PSHS ULTRA DOW30   74347R305   573    14900 PUT    SH     PUT   SOLE             14900  14900
PROSHARES TR                        PSHS ULTRUSS2000   74347R842   653    24800 PUT    SH     PUT   SOLE             24800  24800
PROSHARES TR                        ULTRA FNCLS NEW    74347X633   1622  32500 CALL    SH     CALL  SOLE             32500  32500
PROSHARES TR                        PSHS ULTSHRT QQQ   74347R875   759    37900 PUT    SH     PUT   SOLE             37900  37900
PROSHARES TR                        PSHS SHRT S^P500   74347R503   2547   46300 PUT    SH     PUT   SOLE             46300  46300
PROSHARES TR                        XIN CH25 NEW       74347X567   1950  48100 CALL    SH     CALL  SOLE             48100  48100
PROSHARES TR                        ULT R/EST NEW      74347X625   1884  52800 CALL    SH     CALL  SOLE             52800  52800
PROSHARES TR                        ULTSHT OIL NEW     74347X591   4287   56900 PUT    SH     PUT   SOLE             56900  56900
PROSHARES TR                        PSHS ULTRUSS2000   74347R842   1809  68700 CALL    SH     CALL  SOLE             68700  68700
PROSHARES TR                        PSHS ULTSHT FINL   74347R628   1960   83916 SH     SH           SOLE             83916  83916
PROSHARES TR                        SHT MSCI NEW       74347X575   5064   89700 PUT    SH     PUT   SOLE             89700  89700
PROSHARES TR                        REAL EST NEW       74347X583   3067  105000 PUT    SH     PUT   SOLE             105000 105000
PROSHARES TR                        PSHS ULTRA O^G     74347R719   3781  150800 CALL   SH     CALL  SOLE             150800 150800
PROSHARES TR                        PSHS ULT S^P 500   74347R107   6190  192200 CALL   SH     CALL  SOLE             192200 192200
PROSHARES TR                        PSHS ULTSHT FINL   74347R628   6396  273800 PUT    SH     PUT   SOLE             273800 273800
PROSHARES TR                        PSHS ULTSH 20YRS   74347R297  17595  495900 CALL   SH     CALL  SOLE             495900 495900
PROSHARES TR II                     ULTRA SILVER       74347W841   232    3700 PUT     SH     PUT   SOLE              3700  3700
PROSHARES TR II                     ULTRA SILVER       74347W841   276    4400 CALL    SH     CALL  SOLE              4400  4400
PROSHARES TR II                     ULTRA GOLD         74347W601   614   11000 CALL    SH     CALL  SOLE             11000  11000
PROSHARES TR II                     ULT DJ UBS CRUDE   74347W502   125    13100 PUT    SH     PUT   SOLE             13100  13100
PROSHARES TR II                     ULTRASHRT NEW      74347W718   524   13800 CALL    SH     CALL  SOLE             13800  13800
PROSHARES TR II                     ULTRASHRT NEW      74347W718   1453   38300 PUT    SH     PUT   SOLE             38300  38300
PROSHARES TR II                     ULTRA GOLD         74347W601   4885   87500 PUT    SH     PUT   SOLE             87500  87500
PUBLIC SVC ENTERPRISE GROUP         COM                744573106   499    15928 SH     SH           SOLE             15928  15928
QUANTA SVCS INC                     COM                74762E102   287    13900 SH     SH           SOLE             13900  13900
QUIKSILVER INC                      COM                74838C106    43    11647 SH     SH           SOLE             11647  11647
REGIS CORP MINN                     COM                758932107   358    23000 SH     SH           SOLE             23000  23000
REYNOLDS AMERICAN INC               COM                761713106   2269   43528 SH     SH           SOLE             43528  43528
ROSS STORES INC                     COM                778296103   501     9396 SH     SH           SOLE              9396  9396
ROYAL DUTCH SHELL PLC               SPONS ADR A        780259206   224     4469 SH     SH           SOLE              4469  4469
RUDDICK CORP                        COM                781258108   483    15576 SH     SH           SOLE             15576  15576
SANDRIDGE ENERGY INC                COM                80007P307    84    14474 SH     SH           SOLE             14474  14474
SARA LEE CORP                       COM                803111103   3964   281126 SH    SH           SOLE             281126 281126
SCANA CORP NEW                      COM                80589M102   258     7228 SH     SH           SOLE              7228  7228
SCHLUMBERGER LTD                    COM                806857108   2799   50571 SH     SH           SOLE             50571  50571
SCHOLASTIC CORP                     COM                807066105   327    13572 SH     SH           SOLE             13572  13572
SCIENTIFIC GAMES CORP               CL A               80874P109   161    17527 SH     SH           SOLE             17527  17527
SCRIPPS E W CO OHIO                 CL A NEW           811054402    82    11099 SH     SH           SOLE             11099  11099
SEABRIDGE GOLD INC                  COM                811916105   349    11291 SH     SH           SOLE             11291  11291
SELECT SECTOR SPDR TR               SBI HEALTHCARE     81369Y209   1765   62600 SH     SH           SOLE             62600  62600
SELECT SECTOR SPDR TR               SBI INT-ENERGY     81369Y506   4099  82500 CALL    SH     CALL  SOLE             82500  82500
SELECT SECTOR SPDR TR               SBI INT-FINL       81369Y605   4939   357615 SH    SH           SOLE             357615 357615
SEMPRA ENERGY                       COM                816851109   820    17524 SH     SH           SOLE             17524  17524
SHAW GROUP INC                      COM                820280105   771    22528 SH     SH           SOLE             22528  22528
SHERWIN WILLIAMS CO                 COM                824348106   235     3400 SH     SH           SOLE              3400  3400
SMITH & NEPHEW PLC                  SPDN ADR NEW       83175M205   320     6813 SH     SH           SOLE              6813  6813
SONIC AUTOMOTIVE INC                CL A               83545G102   171    20000 SH     SH           SOLE             20000  20000
SONOSITE INC                        COM                83568G104   227     8383 SH     SH           SOLE              8383  8383
SPDR DOW JONES INDL AVRG ETF        UT SER 1           78467X109   1769   18100 PUT    SH     PUT   SOLE             18100  18100
SPDR DOW JONES INDL AVRG ETF        UT SER 1           78467X109   6949  71100 CALL    SH     CALL  SOLE             71100  71100
SPDR GOLD TRUST                     GOLD SHS           78463V107   1497  12300 CALL    SH     CALL  SOLE             12300  12300
SPDR GOLD TRUST                     GOLD SHS           78463V107   5074   41700 PUT    SH     PUT   SOLE             41700  41700
SPDR S^P MIDCAP 400 ETF TR          UTSER1 S^PDCRP     78467Y107   224     1732 SH     SH           SOLE              1732  1732
SPX CORP                            COM                784635104   282     5331 SH     SH           SOLE              5331  5331
STARWOOD HOTELS^RESORTS WRLD        COM                85590A401   500    12080 SH     SH           SOLE             12080  12080
STIFEL FINL CORP                    COM                860630102   758    17464 SH     SH           SOLE             17464  17464
SUNSTONE HOTEL INVS INC NEW         COM                867892101   177    17861 SH     SH           SOLE             17861  17861
TAKE-TWO INTERACTIVE SOFTWAR        COM                874054109   201    22345 SH     SH           SOLE             22345  22345
TASER INTL INC                      COM                87651B104    40    10350 SH     SH           SOLE             10350  10350
TAUBMAN CTRS INC                    COM                876664103   870    23127 SH     SH           SOLE             23127  23127
TECHNE CORP                         COM                878377100   450     7833 SH     SH           SOLE              7833  7833
TELEFONICA S A                      SPONSORED ADR      879382208   267     4806 SH     SH           SOLE              4806  4806
TELEPHONE & DATA SYS INC            COM                879433100   759    24968 SH     SH           SOLE             24968  24968
TEVA PHARMACEUTICAL INDS LTD        ADR                881624209   624    12004 SH     SH           SOLE             12004  12004
TEXAS ROADHOUSE INC                 COM                882681109   368    29152 SH     SH           SOLE             29152  29152
TIDEWATER INC                       COM                886423102   204     5279 SH     SH           SOLE              5279  5279
TIM HORTONS INC                     COM                88706M103   208     6500 SH     SH           SOLE              6500  6500
TIME WARNER CABLE INC               COM                88732J207   1168   22435 SH     SH           SOLE             22435  22435
TIME WARNER INC                     COM NEW            887317303   2629   90947 SH     SH           SOLE             90947  90947
TUPPERWARE BRANDS CORP              COM                899896104   649    16279 SH     SH           SOLE             16279  16279
TYCO INTERNATIONAL LTD              SHS                H89128104   237     6725 SH     SH           SOLE              6725  6725
TYLER TECHNOLOGIES INC              COM                902252105   219    14125 SH     SH           SOLE             14125  14125
UNITED CMNTY BKS BLAIRSVLE G        CAP STK            90984P105    46    11746 SH     SH           SOLE             11746  11746
UNITED TECHNOLOGIES CORP            COM                913017109   370     5699 SH     SH           SOLE              5699  5699
UNITEDHEALTH GROUP INC              COM                91324P102   613    21600 SH     SH           SOLE             21600  21600
US BANCORP DEL                      COM NEW            902973304   447    20000 SH     SH           SOLE             20000  20000
USEC INC                            COM                90333E108    89   18800 CALL    SH     CALL  SOLE             18800  18800
VALE S A                            ADR REPSTG PFD     91912E204   209     9924 SH     SH           SOLE              9924  9924
VALERO ENERGY CORP NEW              COM                91913Y100   1117   62111 SH     SH           SOLE             62111  62111
VALUECLICK INC                      COM                92046N102   110    10271 SH     SH           SOLE             10271  10271
VANGUARD INTL EQUITY INDEX F        EMR MKT ETF        922042858   414   10900 CALL    SH     CALL  SOLE             10900  10900
VEECO INSTRS INC DEL                COM                922417100   341     9933 SH     SH           SOLE              9933  9933
VIACOM INC NEW                      CL B               92553P201   1357   43253 SH     SH           SOLE             43253  43253
WELLCARE HEALTH PLANS INC           COM                94946T106   271    11400 SH     SH           SOLE             11400  11400
WINDSTREAM CORP                     COM                97381W104   358    33940 SH     SH           SOLE             33940  33940
WINN DIXIE STORES INC               COM NEW            974280307   212    21987 SH     SH           SOLE             21987  21987
WISCONSIN ENERGY CORP               COM                976657106   932    18367 SH     SH           SOLE             18367  18367
WMS INDS INC                        COM                929297109   239     6084 SH     SH           SOLE              6084  6084
YINGLI GREEN ENERGY HLDG CO         ADR                98584B103   149    14668 SH     SH           SOLE             14668  14668
ZIMMER HLDGS INC                    COM                98956P102   508     9400 SH     SH           SOLE              9400  9400