Susquehanna International

Susquehanna International as of Sept. 30, 2012

Portfolio Holdings for Susquehanna International

Susquehanna International holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing

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                TITLE_                          SHARE_                          INVESTMENT_     OTHERS_
ISSUER_NAME	CLASS	CUSIP	VALUE	SHS_AMT	PRINCIPAL	PUT_CALL	DISCRETION	MANAGERS	SOLE	SHARED	NONE
{S}	        {C}	{C}	{C}	{C}	{C}	{C}	{C}	{C}	{C}	{C}	{C}
1VIANET GROUP INC	SPONSORED ADR	90138A103	1413	122230	SH		DEFINED	2	122230	0	0
21VIANET GROUP INC	SPONSORED ADR	90138A103	237	20500	SH	PUT	DEFINED	2	0	0	0
3-D SYS CORP DEL	COM NEW	88554D205	3824	116405	SH		DEFINED	2	116405	0	0
3-D SYS CORP DEL	COM NEW	88554D205	1247	37961	SH		DEFINED	1	37961	0	0
3-D SYS CORP DEL	COM NEW	88554D205	2231	67900	SH	PUT	DEFINED	1	0	0	0
3-D SYS CORP DEL	COM NEW	88554D205	6682	203400	SH	PUT	DEFINED	2	0	0	0
3-D SYS CORP DEL	COM NEW	88554D205	5663	172400	SH	CALL	DEFINED	2	0	0	0
3M CO	COM	88579Y101	8073	87348	SH		DEFINED	2	87348	0	0
3M CO	COM	88579Y101	6409	69347	SH		DEFINED	3	69347	0	0
3M CO	COM	88579Y101	7554	81738	SH		DEFINED	1	81738	0	0
3M CO	COM	88579Y101	108640	1175500	SH	PUT	DEFINED	2	0	0	0
3M CO	COM	88579Y101	10517	113800	SH	PUT	DEFINED	1	0	0	0
3M CO	COM	88579Y101	8142	88100	SH	CALL	DEFINED	1	0	0	0
3M CO	COM	88579Y101	3152	34100	SH	CALL	DEFINED	3	0	0	0
3M CO	COM	88579Y101	106274	1149900	SH	CALL	DEFINED	2	0	0	0
3SBIO INC	SPONSORED ADR	88575Y105	183	14100	SH	CALL	DEFINED	2	0	0	0
51JOB INC	SP ADR REP COM	316827104	246	5496	SH		DEFINED	2	5496	0	0
51JOB INC	SP ADR REP COM	316827104	220	4900	SH	PUT	DEFINED	2	0	0	0
51JOB INC	SP ADR REP COM	316827104	448	10000	SH	CALL	DEFINED	2	0	0	0
7 DAYS GROUP HLDGS LTD	ADR	81783J101	234	20134	SH		DEFINED	2	20134	0	0
8X8 INC NEW	COM	282914100	88	13451	SH		DEFINED	2	13451	0	0
8X8 INC NEW	COM	282914100	89	13500	SH	PUT	DEFINED	2	0	0	0
8X8 INC NEW	COM	282914100	661	100700	SH	CALL	DEFINED	2	0	0	0
A H BELO CORP	COM CL A	001282102	350	72529	SH		DEFINED	3	72529	0	0
A123 SYS INC	COM	03739T108	30	121001	SH		DEFINED	2	121001	0	0
A123 SYS INC	COM	03739T108	38	152900	SH	PUT	DEFINED	2	0	0	0
A123 SYS INC	COM	03739T108	29	117200	SH	CALL	DEFINED	2	0	0	0
A123 SYS INC	NOTE   3.750% 4/1	03739TAA6	1400	4000000	PRN		DEFINED	"5,7"	0	0	0
AAR CORP	COM	000361105	253	15400	SH	PUT	DEFINED	2	0	0	0
AASTROM BIOSCIENCES INC	COM NEW	00253U305	53	32600	SH	PUT	DEFINED	2	0	0	0
ABAXIS INC	COM	002567105	611	17000	SH		DEFINED	9	17000	0	0
ABAXIS INC	COM	002567105	257	7159	SH		DEFINED	3	7159	0	0
ABAXIS INC	COM	002567105	309	8600	SH	CALL	DEFINED	2	0	0	0
ABB LTD	SPONSORED ADR	000375204	696	37200	SH	PUT	DEFINED	2	0	0	0
ABB LTD	SPONSORED ADR	000375204	2175	116300	SH	CALL	DEFINED	2	0	0	0
ABBOTT LABS	COM	002824100	31812	464000	SH		DEFINED	9	464000	0	0
ABBOTT LABS	COM	002824100	3620	52807	SH		DEFINED	1	52807	0	0
ABBOTT LABS	COM	002824100	22313	325450	SH		DEFINED	2	325450	0	0
ABBOTT LABS	COM	002824100	93982	1370800	SH	PUT	DEFINED	2	0	0	0
ABBOTT LABS	COM	002824100	25374	370100	SH	PUT	DEFINED	1	0	0	0
ABBOTT LABS	COM	002824100	20417	297800	SH	CALL	DEFINED	1	0	0	0
ABBOTT LABS	COM	002824100	121070	1765900	SH	CALL	DEFINED	2	0	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	2414	71181	SH		DEFINED	1	71181	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	1039	30645	SH		DEFINED	2	30645	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	435	12818	SH		DEFINED	3	12818	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	23035	679100	SH	PUT	DEFINED	2	0	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	10797	318300	SH	PUT	DEFINED	1	0	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	5393	159000	SH	CALL	DEFINED	1	0	0	0
ABERCROMBIE & FITCH CO	CL A	002896207	34151	1006800	SH	CALL	DEFINED	2	0	0	0
ABIOMED INC	COM	003654100	584	27802	SH		DEFINED	9	27802	0	0
ABIOMED INC	COM	003654100	485	23100	SH	CALL	DEFINED	2	0	0	0
ABM INDS INC	COM	000957100	1376	72676	SH		DEFINED	3	72676	0	0
ABRAXAS PETE CORP	COM	003830106	201	87535	SH		DEFINED	2	87535	0	0
ABRAXAS PETE CORP	COM	003830106	29	12400	SH	PUT	DEFINED	2	0	0	0
ACACIA RESH CORP	ACACIA TCH COM	003881307	206	7515	SH		DEFINED	3	7515	0	0
ACACIA RESH CORP	ACACIA TCH COM	003881307	2310	84269	SH		DEFINED	2	84269	0	0
ACACIA RESH CORP	ACACIA TCH COM	003881307	2248	82000	SH	PUT	DEFINED	2	0	0	0
ACACIA RESH CORP	ACACIA TCH COM	003881307	400	14600	SH	CALL	DEFINED	3	0	0	0
ACACIA RESH CORP	ACACIA TCH COM	003881307	3207	117000	SH	CALL	DEFINED	2	0	0	0
ACADIA PHARMACEUTICALS INC	COM	004225108	126	49888	SH		DEFINED	2	49888	0	0
ACADIA PHARMACEUTICALS INC	COM	004225108	40	15829	SH		DEFINED	1	15829	0	0
ACADIA PHARMACEUTICALS INC	COM	004225108	172	67900	SH	PUT	DEFINED	2	0	0	0
ACADIA PHARMACEUTICALS INC	COM	004225108	110	43300	SH	PUT	DEFINED	1	0	0	0
ACADIA PHARMACEUTICALS INC	COM	004225108	40	16000	SH	CALL	DEFINED	2	0	0	0
ACCELRYS INC	COM	00430U103	91	10503	SH		DEFINED	2	10503	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	2353	33601	SH		DEFINED	3	33601	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	5982	85422	SH		DEFINED	2	85422	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	32634	466000	SH	PUT	DEFINED	2	0	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	2976	42500	SH	PUT	DEFINED	1	0	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	2934	41900	SH	CALL	DEFINED	3	0	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	4671	66700	SH	CALL	DEFINED	1	0	0	0
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	39826	568700	SH	CALL	DEFINED	2	0	0	0
ACCESS MIDSTREAM PARTNERS L	UNIT	00434L109	623	18800	SH	PUT	DEFINED	2	0	0	0
ACCESS MIDSTREAM PARTNERS L	UNIT	00434L109	1590	48000	SH	CALL	DEFINED	2	0	0	0
ACCRETIVE HEALTH INC	COM	00438V103	1019	91267	SH		DEFINED	2	91267	0	0
ACCRETIVE HEALTH INC	COM	00438V103	606	54300	SH	PUT	DEFINED	2	0	0	0
ACCRETIVE HEALTH INC	COM	00438V103	566	50700	SH	CALL	DEFINED	2	0	0	0
ACE LTD	SHS	H0023R105	1339	17715	SH		DEFINED	3	17715	0	0
ACE LTD	SHS	H0023R105	2083	27559	SH		DEFINED	2	27559	0	0
ACE LTD	SHS	H0023R105	12512	165500	SH	PUT	DEFINED	2	0	0	0
ACE LTD	SHS	H0023R105	13767	182100	SH	CALL	DEFINED	2	0	0	0
ACE LTD	SHS	H0023R105	1157	15300	SH	CALL	DEFINED	1	0	0	0
ACELRX PHARMACEUTICALS INC	COM	00444T100	70	21990	SH		DEFINED	"5,8"	21990	0	0
ACHILLION PHARMACEUTICALS IN	COM	00448Q201	660	63447	SH		DEFINED	2	63447	0	0
ACHILLION PHARMACEUTICALS IN	COM	00448Q201	293	28100	SH		DEFINED	3	28100	0	0
ACHILLION PHARMACEUTICALS IN	COM	00448Q201	491	47200	SH	PUT	DEFINED	1	0	0	0
ACHILLION PHARMACEUTICALS IN	COM	00448Q201	3384	325100	SH	PUT	DEFINED	2	0	0	0
ACHILLION PHARMACEUTICALS IN	COM	00448Q201	826	79300	SH	CALL	DEFINED	2	0	0	0
ACHILLION PHARMACEUTICALS IN	COM	00448Q201	276	26500	SH	CALL	DEFINED	1	0	0	0
ACME PACKET INC	COM	004764106	286	16723	SH		DEFINED	1	16723	0	0
ACME PACKET INC	COM	004764106	2450	143300	SH	PUT	DEFINED	1	0	0	0
ACME PACKET INC	COM	004764106	4646	271700	SH	PUT	DEFINED	2	0	0	0
ACME PACKET INC	COM	004764106	8418	492300	SH	CALL	DEFINED	2	0	0	0
ACME PACKET INC	COM	004764106	5181	303000	SH	CALL	DEFINED	1	0	0	0
ACORDA THERAPEUTICS INC	COM	00484M106	407	15900	SH	PUT	DEFINED	2	0	0	0
ACORDA THERAPEUTICS INC	COM	00484M106	1275	49800	SH	CALL	DEFINED	2	0	0	0
ACTIONS SEMICONDUCTOR CO LTD	ADR	00507E107	18	10957	SH		DEFINED	3	10957	0	0
ACTIVE NETWORK INC	COM	00506D100	184	14700	SH	CALL	DEFINED	2	0	0	0
ACTIVE POWER INC	COM	00504W100	344	429449	SH		DEFINED	3	429449	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	127	11296	SH		DEFINED	1	11296	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	21142	1874264	SH		DEFINED	2	1874264	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	618	54800	SH	PUT	DEFINED	1	0	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	15434	1368300	SH	PUT	DEFINED	2	0	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	13415	1189300	SH	CALL	DEFINED	2	0	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	161	14300	SH	CALL	DEFINED	3	0	0	0
ACTIVISION BLIZZARD INC	COM	00507V109	706	62600	SH	CALL	DEFINED	1	0	0	0
ACTUANT CORP	CL A NEW	00508X203	575	20100	SH		DEFINED	9	20100	0	0
ACTUATE CORP	COM	00508B102	91	13000	SH	CALL	DEFINED	2	0	0	0
ACUITY BRANDS INC	COM	00508Y102	703	11100	SH		DEFINED	9	11100	0	0
ACUITY BRANDS INC	COM	00508Y102	1171	18500	SH	PUT	DEFINED	2	0	0	0
ACUITY BRANDS INC	COM	00508Y102	4645	73400	SH	CALL	DEFINED	2	0	0	0
ACXIOM CORP	COM	005125109	709	38800	SH	CALL	DEFINED	2	0	0	0
ADA ES INC	COM	005208103	482	20400	SH	PUT	DEFINED	2	0	0	0
ADA ES INC	COM	005208103	590	25000	SH	CALL	DEFINED	2	0	0	0
ADOBE SYS INC	COM	00724F101	8254	254275	SH		DEFINED	2	254275	0	0
ADOBE SYS INC	COM	00724F101	5177	159500	SH		DEFINED	9	159500	0	0
ADOBE SYS INC	COM	00724F101	552	17000	SH		DEFINED	3	17000	0	0
ADOBE SYS INC	COM	00724F101	1529	47100	SH	PUT	DEFINED	1	0	0	0
ADOBE SYS INC	COM	00724F101	4772	147000	SH	PUT	DEFINED	2	0	0	0
ADOBE SYS INC	COM	00724F101	3528	108700	SH	CALL	DEFINED	1	0	0	0
ADOBE SYS INC	COM	00724F101	14156	436100	SH	CALL	DEFINED	2	0	0	0
ADTRAN INC	COM	00738A106	425	24595	SH		DEFINED	2	24595	0	0
ADTRAN INC	COM	00738A106	1797	104000	SH	PUT	DEFINED	2	0	0	0
ADTRAN INC	COM	00738A106	320	18500	SH	PUT	DEFINED	1	0	0	0
ADTRAN INC	COM	00738A106	1994	115400	SH	CALL	DEFINED	2	0	0	0
ADVANCE AUTO PARTS INC	COM	00751Y106	313	4573	SH		DEFINED	1	4573	0	0
ADVANCE AUTO PARTS INC	COM	00751Y106	2936	42900	SH	PUT	DEFINED	2	0	0	0
ADVANCE AUTO PARTS INC	COM	00751Y106	2347	34300	SH	PUT	DEFINED	1	0	0	0
ADVANCE AUTO PARTS INC	COM	00751Y106	2724	39800	SH	CALL	DEFINED	2	0	0	0
ADVANCE AUTO PARTS INC	COM	00751Y106	4668	68200	SH	CALL	DEFINED	1	0	0	0
ADVANCED ENERGY INDS	COM	007973100	485	39346	SH		DEFINED	3	39346	0	0
ADVANCED ENERGY INDS	COM	007973100	697	56557	SH		DEFINED	2	56557	0	0
ADVANCED ENERGY INDS	COM	007973100	490	39782	SH		DEFINED	9	39782	0	0
ADVANCED ENERGY INDS	COM	007973100	881	71500	SH	PUT	DEFINED	2	0	0	0
ADVANCED ENERGY INDS	COM	007973100	1402	113800	SH	CALL	DEFINED	2	0	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	5848	1735164	SH		DEFINED	2	1735164	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	217	64380	SH		DEFINED	3	64380	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	158	47012	SH		DEFINED	1	47012	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	6360	1887200	SH	PUT	DEFINED	2	0	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	306	90700	SH	PUT	DEFINED	1	0	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	2686	797100	SH	CALL	DEFINED	2	0	0	0
ADVANCED MICRO DEVICES INC	COM	007903107	341	101300	SH	CALL	DEFINED	1	0	0	0
ADVANTAGE OIL & GAS LTD	COM	00765F101	43	11500	SH	PUT	DEFINED	2	0	0	0
ADVANTAGE OIL & GAS LTD	COM	00765F101	76	20200	SH	CALL	DEFINED	2	0	0	0
ADVENTRX PHARMACEUTICALS INC	COM NEW	00764X202	7	10000	SH	CALL	DEFINED	2	0	0	0
ADVISORY BRD CO	COM	00762W107	407	8500	SH	PUT	DEFINED	2	0	0	0
ADVISORY BRD CO	COM	00762W107	416	8700	SH	CALL	DEFINED	2	0	0	0
AECOM TECHNOLOGY CORP DELAWA	COM	00766T100	1215	57400	SH	CALL	DEFINED	2	0	0	0
AEGEAN MARINE PETROLEUM NETW	SHS	Y0017S102	404	66500	SH	CALL	DEFINED	2	0	0	0
AEGON N V	NY REGISTRY SH	007924103	86	16500	SH	PUT	DEFINED	2	0	0	0
AEGON N V	NY REGISTRY SH	007924103	124	23800	SH	CALL	DEFINED	2	0	0	0
AERCAP HOLDINGS NV	SHS	N00985106	228	18276	SH		DEFINED	2	18276	0	0
AERCAP HOLDINGS NV	SHS	N00985106	878	70200	SH		DEFINED	9	70200	0	0
AERCAP HOLDINGS NV	SHS	N00985106	711	56900	SH	PUT	DEFINED	2	0	0	0
AERCAP HOLDINGS NV	SHS	N00985106	640	51200	SH	CALL	DEFINED	2	0	0	0
AEROPOSTALE	COM	007865108	564	41653	SH		DEFINED	3	41653	0	0
AEROPOSTALE	COM	007865108	979	72324	SH		DEFINED	2	72324	0	0
AEROPOSTALE	COM	007865108	523	38649	SH		DEFINED	1	38649	0	0
AEROPOSTALE	COM	007865108	913	67500	SH	PUT	DEFINED	1	0	0	0
AEROPOSTALE	COM	007865108	3465	256100	SH	PUT	DEFINED	2	0	0	0
AEROPOSTALE	COM	007865108	713	52700	SH	CALL	DEFINED	1	0	0	0
AEROPOSTALE	COM	007865108	3254	240500	SH	CALL	DEFINED	2	0	0	0
AEROVIRONMENT INC	COM	008073108	280	11933	SH		DEFINED	2	11933	0	0
AEROVIRONMENT INC	COM	008073108	310	13200	SH		DEFINED	3	13200	0	0
AEROVIRONMENT INC	COM	008073108	699	29800	SH	CALL	DEFINED	2	0	0	0
AES CORP	COM	00130H105	464	42315	SH		DEFINED	2	42315	0	0
AES CORP	COM	00130H105	699	63764	SH		DEFINED	3	63764	0	0
AES CORP	COM	00130H105	1346	122700	SH	PUT	DEFINED	2	0	0	0
AES CORP	COM	00130H105	2797	255000	SH	CALL	DEFINED	3	0	0	0
AES CORP	COM	00130H105	5221	475900	SH	CALL	DEFINED	2	0	0	0
AETNA INC NEW	COM	00817Y108	1061	26790	SH		DEFINED	3	26790	0	0
AETNA INC NEW	COM	00817Y108	2057	51933	SH		DEFINED	2	51933	0	0
AETNA INC NEW	COM	00817Y108	991	25033	SH		DEFINED	1	25033	0	0
AETNA INC NEW	COM	00817Y108	26599	671700	SH	PUT	DEFINED	2	0	0	0
AETNA INC NEW	COM	00817Y108	737	18600	SH	PUT	DEFINED	3	0	0	0
AETNA INC NEW	COM	00817Y108	3556	89800	SH	PUT	DEFINED	1	0	0	0
AETNA INC NEW	COM	00817Y108	5702	144000	SH	CALL	DEFINED	1	0	0	0
AETNA INC NEW	COM	00817Y108	35236	889800	SH	CALL	DEFINED	2	0	0	0
AFFILIATED MANAGERS GROUP	COM	008252108	5387	43799	SH		DEFINED	2	43799	0	0
AFFILIATED MANAGERS GROUP	COM	008252108	295	2400	SH	PUT	DEFINED	1	0	0	0
AFFILIATED MANAGERS GROUP	COM	008252108	6187	50300	SH	PUT	DEFINED	2	0	0	0
AFFILIATED MANAGERS GROUP	COM	008252108	492	4000	SH	CALL	DEFINED	1	0	0	0
AFFILIATED MANAGERS GROUP	COM	008252108	3752	30500	SH	CALL	DEFINED	2	0	0	0
AFFYMAX INC	COM	00826A109	1653	78473	SH		DEFINED	2	78473	0	0
AFFYMAX INC	COM	00826A109	366	17400	SH	PUT	DEFINED	1	0	0	0
AFFYMAX INC	COM	00826A109	4180	198500	SH	PUT	DEFINED	2	0	0	0
AFFYMAX INC	COM	00826A109	1714	81400	SH	CALL	DEFINED	2	0	0	0
AFFYMAX INC	COM	00826A109	263	12500	SH	CALL	DEFINED	1	0	0	0
AFFYMETRIX INC	COM	00826T108	440	101504	SH		DEFINED	"5,7"	101504	0	0
AFFYMETRIX INC	COM	00826T108	395	91335	SH		DEFINED	2	91335	0	0
AFFYMETRIX INC	COM	00826T108	782	180500	SH	CALL	DEFINED	2	0	0	0
AFLAC INC	COM	001055102	1870	39059	SH		DEFINED	2	39059	0	0
AFLAC INC	COM	001055102	591	12344	SH		DEFINED	1	12344	0	0
AFLAC INC	COM	001055102	2356	49200	SH		DEFINED	9	49200	0	0
AFLAC INC	COM	001055102	1162	24269	SH		DEFINED	3	24269	0	0
AFLAC INC	COM	001055102	2423	50600	SH	PUT	DEFINED	1	0	0	0
AFLAC INC	COM	001055102	28134	587600	SH	PUT	DEFINED	2	0	0	0
AFLAC INC	COM	001055102	3428	71600	SH	CALL	DEFINED	1	0	0	0
AFLAC INC	COM	001055102	33727	704400	SH	CALL	DEFINED	2	0	0	0
AG MTG INVT TR INC	COM	001228105	217	8974	SH		DEFINED	2	8974	0	0
AG MTG INVT TR INC	COM	001228105	332	13757	SH		DEFINED	3	13757	0	0
AG MTG INVT TR INC	COM	001228105	270	11200	SH	PUT	DEFINED	2	0	0	0
AGCO CORP	COM	001084102	4675	98463	SH		DEFINED	2	98463	0	0
AGCO CORP	COM	001084102	261	5500	SH	PUT	DEFINED	1	0	0	0
AGCO CORP	COM	001084102	9833	207100	SH	PUT	DEFINED	2	0	0	0
AGCO CORP	COM	001084102	1776	37400	SH	CALL	DEFINED	2	0	0	0
AGCO CORP	NOTE   1.250%12/1	001084AM4	7545	6000000	PRN		DEFINED	"5,7"	0	0	0
AGILENT TECHNOLOGIES INC	COM	00846U101	846	22001	SH		DEFINED	2	22001	0	0
AGILENT TECHNOLOGIES INC	COM	00846U101	8101	210700	SH	PUT	DEFINED	2	0	0	0
AGILENT TECHNOLOGIES INC	COM	00846U101	211	5500	SH	PUT	DEFINED	1	0	0	0
AGILENT TECHNOLOGIES INC	COM	00846U101	1500	39000	SH	CALL	DEFINED	1	0	0	0
AGILENT TECHNOLOGIES INC	COM	00846U101	19210	499600	SH	CALL	DEFINED	2	0	0	0
AGL RES INC	COM	001204106	1253	30622	SH		DEFINED	2	30622	0	0
AGL RES INC	COM	001204106	515	12600	SH	PUT	DEFINED	2	0	0	0
AGL RES INC	COM	001204106	1100	26900	SH	CALL	DEFINED	2	0	0	0
AGNICO EAGLE MINES LTD	COM	008474108	313	6041	SH		DEFINED	3	6041	0	0
AGNICO EAGLE MINES LTD	COM	008474108	24878	479523	SH		DEFINED	2	479523	0	0
AGNICO EAGLE MINES LTD	COM	008474108	11120	214343	SH		DEFINED	1	214343	0	0
AGNICO EAGLE MINES LTD	COM	008474108	1006	19400	SH		DEFINED	"5,7"	19400	0	0
AGNICO EAGLE MINES LTD	COM	008474108	35974	693400	SH	PUT	DEFINED	2	0	0	0
AGNICO EAGLE MINES LTD	COM	008474108	5152	99300	SH	PUT	DEFINED	1	0	0	0
AGNICO EAGLE MINES LTD	COM	008474108	73607	1418800	SH	CALL	DEFINED	2	0	0	0
AGNICO EAGLE MINES LTD	COM	008474108	4316	83200	SH	CALL	DEFINED	1	0	0	0
AGNICO EAGLE MINES LTD	COM	008474108	1235	23800	SH	CALL	DEFINED	3	0	0	0
AGREE REALTY CORP	COM	008492100	232	9093	SH		DEFINED	2	9093	0	0
AGREE REALTY CORP	COM	008492100	250	9800	SH	CALL	DEFINED	2	0	0	0
AGRIUM INC	COM	008916108	858	8290	SH		DEFINED	3	8290	0	0
AGRIUM INC	COM	008916108	45895	443600	SH	PUT	DEFINED	2	0	0	0
AGRIUM INC	COM	008916108	12653	122300	SH	PUT	DEFINED	1	0	0	0
AGRIUM INC	COM	008916108	47850	462500	SH	CALL	DEFINED	2	0	0	0
AGRIUM INC	COM	008916108	10129	97900	SH	CALL	DEFINED	1	0	0	0
AGRIUM INC	COM	008916108	921	8900	SH	CALL	DEFINED	3	0	0	0
AIR LEASE CORP	CL A	00912X302	683	33500	SH	PUT	DEFINED	2	0	0	0
AIR LEASE CORP	CL A	00912X302	510	25000	SH	CALL	DEFINED	2	0	0	0
AIR METHODS CORP	COM PAR $.06	009128307	1982	16600	SH	PUT	DEFINED	2	0	0	0
AIR METHODS CORP	COM PAR $.06	009128307	680	5700	SH	CALL	DEFINED	2	0	0	0
AIR PRODS & CHEMS INC	COM	009158106	1968	23800	SH		DEFINED	9	23800	0	0
AIR PRODS & CHEMS INC	COM	009158106	835	10100	SH		DEFINED	3	10100	0	0
AIR PRODS & CHEMS INC	COM	009158106	1449	17524	SH		DEFINED	2	17524	0	0
AIR PRODS & CHEMS INC	COM	009158106	604	7300	SH	PUT	DEFINED	1	0	0	0
AIR PRODS & CHEMS INC	COM	009158106	18756	226800	SH	PUT	DEFINED	2	0	0	0
AIR PRODS & CHEMS INC	COM	009158106	19352	234000	SH	CALL	DEFINED	2	0	0	0
AIR PRODS & CHEMS INC	COM	009158106	5392	65200	SH	CALL	DEFINED	1	0	0	0
AIR TRANSPORT SERVICES GRP I	COM	00922R105	48	10887	SH		DEFINED	2	10887	0	0
AIRCASTLE LTD	COM	G0129K104	252	22200	SH	PUT	DEFINED	2	0	0	0
AIRCASTLE LTD	COM	G0129K104	1646	145300	SH	CALL	DEFINED	2	0	0	0
AIRGAS INC	COM	009363102	200	2429	SH		DEFINED	3	2429	0	0
AIRGAS INC	COM	009363102	1919	23318	SH		DEFINED	2	23318	0	0
AIRGAS INC	COM	009363102	7284	88500	SH	PUT	DEFINED	2	0	0	0
AIRGAS INC	COM	009363102	9448	114800	SH	PUT	DEFINED	1	0	0	0
AIRGAS INC	COM	009363102	848	10300	SH	PUT	DEFINED	3	0	0	0
AIRGAS INC	COM	009363102	4946	60100	SH	CALL	DEFINED	2	0	0	0
AIRGAS INC	COM	009363102	8617	104700	SH	CALL	DEFINED	1	0	0	0
AIRMEDIA GROUP INC	SPONSORED ADR	009411109	21	11231	SH		DEFINED	2	11231	0	0
AIXTRON SE	SPONSORED ADR	009606104	171	12900	SH	PUT	DEFINED	2	0	0	0
AIXTRON SE	SPONSORED ADR	009606104	183	13800	SH	CALL	DEFINED	2	0	0	0
AK STL HLDG CORP	COM	001547108	4961	1033514	SH		DEFINED	2	1033514	0	0
AK STL HLDG CORP	COM	001547108	204	42500	SH	PUT	DEFINED	1	0	0	0
AK STL HLDG CORP	COM	001547108	5819	1212200	SH	PUT	DEFINED	2	0	0	0
AK STL HLDG CORP	COM	001547108	1052	219100	SH	CALL	DEFINED	1	0	0	0
AK STL HLDG CORP	COM	001547108	1475	307300	SH	CALL	DEFINED	2	0	0	0
AKAMAI TECHNOLOGIES INC	COM	00971T101	3533	92331	SH		DEFINED	2	92331	0	0
AKAMAI TECHNOLOGIES INC	COM	00971T101	3409	89100	SH	PUT	DEFINED	1	0	0	0
AKAMAI TECHNOLOGIES INC	COM	00971T101	17542	458500	SH	PUT	DEFINED	2	0	0	0
AKAMAI TECHNOLOGIES INC	COM	00971T101	39924	1043500	SH	CALL	DEFINED	2	0	0	0
AKAMAI TECHNOLOGIES INC	COM	00971T101	6856	179200	SH	CALL	DEFINED	1	0	0	0
AKAMAI TECHNOLOGIES INC	COM	00971T101	260	6800	SH	CALL	DEFINED	3	0	0	0
AKORN INC	COM	009728106	251	19000	SH		DEFINED	3	19000	0	0
AKORN INC	COM	009728106	133	10070	SH		DEFINED	2	10070	0	0
ALASKA AIR GROUP INC	COM	011659109	450	12837	SH		DEFINED	2	12837	0	0
ALASKA AIR GROUP INC	COM	011659109	1248	35600	SH	PUT	DEFINED	2	0	0	0
ALASKA AIR GROUP INC	COM	011659109	1900	54200	SH	CALL	DEFINED	2	0	0	0
ALASKA COMMUNICATIONS SYS GR	COM	01167P101	1006	445198	SH		DEFINED	3	445198	0	0
ALASKA COMMUNICATIONS SYS GR	COM	01167P101	158	69849	SH		DEFINED	2	69849	0	0
ALASKA COMMUNICATIONS SYS GR	COM	01167P101	320	141500	SH	PUT	DEFINED	2	0	0	0
ALASKA COMMUNICATIONS SYS GR	COM	01167P101	43	18900	SH	CALL	DEFINED	2	0	0	0
ALBANY MOLECULAR RESH INC	COM	012423109	101	29224	SH		DEFINED	3	29224	0	0
ALBEMARLE CORP	COM	012653101	604	11474	SH		DEFINED	2	11474	0	0
ALBEMARLE CORP	COM	012653101	2234	42400	SH	PUT	DEFINED	2	0	0	0
ALBEMARLE CORP	COM	012653101	6106	115900	SH	CALL	DEFINED	2	0	0	0
ALCATEL-LUCENT	SPONSORED ADR	013904305	58	52848	SH		DEFINED	1	52848	0	0
ALCATEL-LUCENT	SPONSORED ADR	013904305	1957	1779287	SH		DEFINED	2	1779287	0	0
ALCATEL-LUCENT	SPONSORED ADR	013904305	81	74000	SH	PUT	DEFINED	1	0	0	0
ALCATEL-LUCENT	SPONSORED ADR	013904305	1557	1415400	SH	PUT	DEFINED	2	0	0	0
ALCATEL-LUCENT	SPONSORED ADR	013904305	15	13200	SH	CALL	DEFINED	1	0	0	0
ALCATEL-LUCENT	SPONSORED ADR	013904305	526	478000	SH	CALL	DEFINED	2	0	0	0
ALCOA INC	COM	013817101	227	25603	SH		DEFINED	3	25603	0	0
ALCOA INC	COM	013817101	2281	257774	SH		DEFINED	1	257774	0	0
ALCOA INC	COM	013817101	78606	8881983	SH		DEFINED	2	8881983	0	0
ALCOA INC	COM	013817101	3331	376400	SH	PUT	DEFINED	1	0	0	0
ALCOA INC	COM	013817101	84248	9519600	SH	PUT	DEFINED	2	0	0	0
ALCOA INC	COM	013817101	7608	859700	SH	CALL	DEFINED	2	0	0	0
ALCOA INC	COM	013817101	1480	167200	SH	CALL	DEFINED	1	0	0	0
ALERE INC	COM	01449J105	540	27709	SH		DEFINED	2	27709	0	0
ALERE INC	COM	01449J105	1302	66800	SH	PUT	DEFINED	2	0	0	0
ALERE INC	COM	01449J105	2579	132300	SH	CALL	DEFINED	2	0	0	0
ALEXANDER & BALDWIN INC NEW	COM	014491104	258	8722	SH		DEFINED	2	8722	0	0
ALEXANDER & BALDWIN INC NEW	COM	014491104	768	26000	SH	PUT	DEFINED	2	0	0	0
ALEXANDER & BALDWIN INC NEW	COM	014491104	942	31900	SH	CALL	DEFINED	2	0	0	0
ALEXANDRIA REAL ESTATE EQ IN	COM	015271109	213	2898	SH		DEFINED	2	2898	0	0
ALEXANDRIA REAL ESTATE EQ IN	COM	015271109	478	6500	SH	PUT	DEFINED	2	0	0	0
ALEXANDRIA REAL ESTATE EQ IN	COM	015271109	2382	32400	SH	CALL	DEFINED	2	0	0	0
ALEXCO RESOURCE CORP	COM	01535P106	378	87137	SH		DEFINED	2	87137	0	0
ALEXCO RESOURCE CORP	COM	01535P106	369	85000	SH	PUT	DEFINED	2	0	0	0
ALEXCO RESOURCE CORP	COM	01535P106	300	69200	SH	CALL	DEFINED	2	0	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	14883	130100	SH		DEFINED	9	130100	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	567	4960	SH		DEFINED	1	4960	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	13771	120378	SH		DEFINED	2	120378	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	1808	15800	SH	PUT	DEFINED	1	0	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	25340	221500	SH	PUT	DEFINED	2	0	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	1441	12600	SH	CALL	DEFINED	1	0	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	33359	291600	SH	CALL	DEFINED	2	0	0	0
ALEXION PHARMACEUTICALS INC	COM	015351109	320	2800	SH	CALL	DEFINED	3	0	0	0
ALEXZA PHARMACEUTICALS INC	COM NEW	015384209	280	63681	SH		DEFINED	2	63681	0	0
ALEXZA PHARMACEUTICALS INC	COM NEW	015384209	836	190100	SH	PUT	DEFINED	2	0	0	0
ALEXZA PHARMACEUTICALS INC	COM NEW	015384209	763	173400	SH	CALL	DEFINED	2	0	0	0
ALIGN TECHNOLOGY INC	COM	016255101	2481	67100	SH		DEFINED	9	67100	0	0
ALIGN TECHNOLOGY INC	COM	016255101	2481	67100	SH	PUT	DEFINED	2	0	0	0
ALIGN TECHNOLOGY INC	COM	016255101	994	26900	SH	PUT	DEFINED	1	0	0	0
ALIGN TECHNOLOGY INC	COM	016255101	1989	53800	SH	CALL	DEFINED	1	0	0	0
ALIGN TECHNOLOGY INC	COM	016255101	6680	180700	SH	CALL	DEFINED	2	0	0	0
ALIMERA SCIENCES INC	COM	016259103	42	16342	SH		DEFINED	3	16342	0	0
ALKERMES PLC	SHS	G01767105	268	12913	SH		DEFINED	2	12913	0	0
ALKERMES PLC	SHS	G01767105	743	35800	SH	CALL	DEFINED	2	0	0	0
ALLEGHANY CORP DEL	COM	017175100	7890	22873	SH		DEFINED	9	22873	0	0
ALLEGHANY CORP DEL	COM	017175100	243	704	SH		DEFINED	2	704	0	0
ALLEGHENY TECHNOLOGIES INC	COM	01741R102	531	16655	SH		DEFINED	2	16655	0	0
ALLEGHENY TECHNOLOGIES INC	COM	01741R102	1056	33100	SH	PUT	DEFINED	1	0	0	0
ALLEGHENY TECHNOLOGIES INC	COM	01741R102	5149	161400	SH	PUT	DEFINED	2	0	0	0
ALLEGHENY TECHNOLOGIES INC	COM	01741R102	274	8600	SH	CALL	DEFINED	1	0	0	0
ALLEGHENY TECHNOLOGIES INC	COM	01741R102	3330	104400	SH	CALL	DEFINED	2	0	0	0
ALLEGIANT TRAVEL CO	COM	01748X102	412	6500	SH		DEFINED	9	6500	0	0
ALLEGIANT TRAVEL CO	COM	01748X102	336	5308	SH		DEFINED	2	5308	0	0
ALLEGIANT TRAVEL CO	COM	01748X102	3314	52300	SH	PUT	DEFINED	2	0	0	0
ALLEGIANT TRAVEL CO	COM	01748X102	1616	25500	SH	CALL	DEFINED	2	0	0	0
ALLERGAN INC	COM	018490102	9034	98642	SH		DEFINED	2	98642	0	0
ALLERGAN INC	COM	018490102	5394	58900	SH	PUT	DEFINED	1	0	0	0
ALLERGAN INC	COM	018490102	10486	114500	SH	PUT	DEFINED	2	0	0	0
ALLERGAN INC	COM	018490102	7711	84200	SH	CALL	DEFINED	2	0	0	0
ALLERGAN INC	COM	018490102	9735	106300	SH	CALL	DEFINED	1	0	0	0
ALLIANCE DATA SYSTEMS CORP	COM	018581108	15788	111223	SH		DEFINED	2	111223	0	0
ALLIANCE DATA SYSTEMS CORP	COM	018581108	1420	10000	SH	PUT	DEFINED	1	0	0	0
ALLIANCE DATA SYSTEMS CORP	COM	018581108	43096	303600	SH	PUT	DEFINED	2	0	0	0
ALLIANCE DATA SYSTEMS CORP	COM	018581108	12719	89600	SH	CALL	DEFINED	2	0	0	0
ALLIANCE DATA SYSTEMS CORP	COM	018581108	1576	11100	SH	CALL	DEFINED	1	0	0	0
ALLIANCE DATA SYSTEMS CORP	NOTE   1.750% 8/0	018581AD0	90131	49796000	PRN		DEFINED	"5,7"	0	0	0
ALLIANCE HEALTHCARE SRVCS IN	COM NEW	018606202	72	51110	SH		DEFINED	3	51110	0	0
ALLIANCE ONE INTL INC	COM	018772103	100	31064	SH		DEFINED	3	31064	0	0
ALLIANCE ONE INTL INC	COM	018772103	54	16834	SH		DEFINED	2	16834	0	0
ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	677	11295	SH		DEFINED	1	11295	0	0
ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	1247	20808	SH		DEFINED	2	20808	0	0
ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	1337	22300	SH	PUT	DEFINED	1	0	0	0
ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	1589	26500	SH	PUT	DEFINED	2	0	0	0
ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	3795	63300	SH	CALL	DEFINED	2	0	0	0
ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	1882	31400	SH	CALL	DEFINED	1	0	0	0
ALLIANCEBERNSTEIN HOLDING LP	UNIT LTD PARTN	01881G106	1208	78400	SH	PUT	DEFINED	2	0	0	0
ALLIANCEBERNSTEIN HOLDING LP	UNIT LTD PARTN	01881G106	1601	103900	SH	CALL	DEFINED	2	0	0	0
ALLIANCEBERNSTEIN HOLDING LP	UNIT LTD PARTN	01881G106	775	50300	SH	CALL	DEFINED	1	0	0	0
ALLIANT ENERGY CORP	COM	018802108	1096	25253	SH		DEFINED	2	25253	0	0
ALLIANT ENERGY CORP	COM	018802108	200	4600	SH	CALL	DEFINED	2	0	0	0
ALLIANT TECHSYSTEMS INC	COM	018804104	358	7140	SH		DEFINED	2	7140	0	0
ALLIANT TECHSYSTEMS INC	COM	018804104	5858	116900	SH	PUT	DEFINED	2	0	0	0
ALLIANT TECHSYSTEMS INC	COM	018804104	231	4600	SH	PUT	DEFINED	1	0	0	0
ALLIANT TECHSYSTEMS INC	COM	018804104	5497	109700	SH	CALL	DEFINED	2	0	0	0
ALLIANT TECHSYSTEMS INC	COM	018804104	556	11100	SH	CALL	DEFINED	1	0	0	0
ALLIED NEVADA GOLD CORP	COM	019344100	1329	34037	SH		DEFINED	2	34037	0	0
ALLIED NEVADA GOLD CORP	COM	019344100	268	6873	SH		DEFINED	1	6873	0	0
ALLIED NEVADA GOLD CORP	COM	019344100	2305	59000	SH	PUT	DEFINED	2	0	0	0
ALLIED NEVADA GOLD CORP	COM	019344100	2851	73000	SH	CALL	DEFINED	2	0	0	0
ALLIED WRLD ASSUR COM HLDG A	SHS	H01531104	305	3949	SH		DEFINED	2	3949	0	0
ALLIED WRLD ASSUR COM HLDG A	SHS	H01531104	2055	26600	SH	PUT	DEFINED	2	0	0	0
ALLISON TRANSMISSION HLDGS I	COM	01973R101	1030	51176	SH		DEFINED	3	51176	0	0
ALLISON TRANSMISSION HLDGS I	COM	01973R101	394	19600	SH	PUT	DEFINED	2	0	0	0
ALLOT COMMUNICATIONS LTD	SHS	M0854Q105	1326	50000	SH	PUT	DEFINED	2	0	0	0
ALLOT COMMUNICATIONS LTD	SHS	M0854Q105	833	31400	SH	CALL	DEFINED	2	0	0	0
ALLOT COMMUNICATIONS LTD	SHS	M0854Q105	422	15900	SH	CALL	DEFINED	1	0	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	159	12758	SH		DEFINED	3	12758	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	2088	167958	SH		DEFINED	2	167958	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	6745	542600	SH	PUT	DEFINED	2	0	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	232	18700	SH	PUT	DEFINED	3	0	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	961	77300	SH	CALL	DEFINED	2	0	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	809	65100	SH	CALL	DEFINED	3	0	0	0
ALLSCRIPTS HEALTHCARE SOLUTN	COM	01988P108	571	45900	SH	CALL	DEFINED	1	0	0	0
ALLSTATE CORP	COM	020002101	11255	284138	SH		DEFINED	1	284138	0	0
ALLSTATE CORP	COM	020002101	18277	461412	SH		DEFINED	2	461412	0	0
ALLSTATE CORP	COM	020002101	868	21904	SH		DEFINED	3	21904	0	0
ALLSTATE CORP	COM	020002101	4004	101096	SH		DEFINED	9	101096	0	0
ALLSTATE CORP	COM	020002101	18938	478100	SH	PUT	DEFINED	2	0	0	0
ALLSTATE CORP	COM	020002101	1782	45000	SH	PUT	DEFINED	1	0	0	0
ALLSTATE CORP	COM	020002101	33617	848700	SH	CALL	DEFINED	2	0	0	0
ALLSTATE CORP	COM	020002101	16066	405600	SH	CALL	DEFINED	1	0	0	0
ALMADEN MINERALS LTD	COM	020283107	592	216770	SH		DEFINED	2	216770	0	0
ALMADEN MINERALS LTD	COM	020283107	180	66100	SH	PUT	DEFINED	2	0	0	0
ALMADEN MINERALS LTD	COM	020283107	47	17100	SH	CALL	DEFINED	2	0	0	0
ALMOST FAMILY INC	COM	020409108	277	13000	SH	PUT	DEFINED	2	0	0	0
ALMOST FAMILY INC	COM	020409108	313	14700	SH	CALL	DEFINED	2	0	0	0
ALNYLAM PHARMACEUTICALS INC	COM	02043Q107	460	24500	SH	PUT	DEFINED	2	0	0	0
ALNYLAM PHARMACEUTICALS INC	COM	02043Q107	908	48300	SH	CALL	DEFINED	2	0	0	0
ALON USA ENERGY INC	COM	020520102	145	10600	SH	PUT	DEFINED	1	0	0	0
ALON USA ENERGY INC	COM	020520102	255	18600	SH	CALL	DEFINED	2	0	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	1082	164615	SH		DEFINED	1	164615	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	674	102611	SH		DEFINED	3	102611	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	10517	1600687	SH		DEFINED	2	1600687	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	1028	156500	SH	PUT	DEFINED	1	0	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	26702	4064300	SH	PUT	DEFINED	2	0	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	4700	715300	SH	CALL	DEFINED	2	0	0	0
ALPHA NATURAL RESOURCES INC	COM	02076X102	722	109900	SH	CALL	DEFINED	1	0	0	0
ALPHATEC HOLDINGS INC	COM	02081G102	17	10256	SH		DEFINED	2	10256	0	0
ALPS ETF TR	EQUAL SEC ETF	00162Q205	1178	29343	SH		DEFINED	2	29343	0	0
ALPS ETF TR	JEFF TRJ CRB GLO	00162Q304	834	18470	SH		DEFINED	3	18470	0	0
ALPS ETF TR	JEFF TRJ CRB GLO	00162Q304	2949	65295	SH		DEFINED	2	65295	0	0
ALPS ETF TR	SECTR DIV DOGS	00162Q858	1338	50000	SH		DEFINED	2	50000	0	0
ALPS ETF TR	ALERIAN MLP	00162Q866	2729	164686	SH		DEFINED	3	164686	0	0
ALPS ETF TR	ALERIAN MLP	00162Q866	429	25900	SH	PUT	DEFINED	2	0	0	0
ALTERA CORP	COM	021441100	305	8963	SH		DEFINED	3	8963	0	0
ALTERA CORP	COM	021441100	459	13508	SH		DEFINED	1	13508	0	0
ALTERA CORP	COM	021441100	5556	163495	SH		DEFINED	2	163495	0	0
ALTERA CORP	COM	021441100	2080	61200	SH	PUT	DEFINED	3	0	0	0
ALTERA CORP	COM	021441100	9903	291400	SH	PUT	DEFINED	2	0	0	0
ALTERA CORP	COM	021441100	1519	44700	SH	PUT	DEFINED	1	0	0	0
ALTERA CORP	COM	021441100	13465	396200	SH	CALL	DEFINED	2	0	0	0
ALTERA CORP	COM	021441100	367	10800	SH	CALL	DEFINED	1	0	0	0
ALTISOURCE PORTFOLIO SOLNS S	REG SHS	L0175J104	400	4636	SH		DEFINED	2	4636	0	0
ALTISOURCE PORTFOLIO SOLNS S	REG SHS	L0175J104	1785	20700	SH	PUT	DEFINED	2	0	0	0
ALTISOURCE PORTFOLIO SOLNS S	REG SHS	L0175J104	4994	57900	SH	CALL	DEFINED	2	0	0	0
ALTISOURCE PORTFOLIO SOLNS S	REG SHS	L0175J104	1251	14500	SH	CALL	DEFINED	1	0	0	0
ALTRIA GROUP INC	COM	02209S103	62064	1858752	SH		DEFINED	2	1858752	0	0
ALTRIA GROUP INC	COM	02209S103	10127	303294	SH		DEFINED	1	303294	0	0
ALTRIA GROUP INC	COM	02209S103	491	14704	SH		DEFINED	3	14704	0	0
ALTRIA GROUP INC	COM	02209S103	87081	2608000	SH	PUT	DEFINED	2	0	0	0
ALTRIA GROUP INC	COM	02209S103	12334	369400	SH	PUT	DEFINED	1	0	0	0
ALTRIA GROUP INC	COM	02209S103	18902	566100	SH	CALL	DEFINED	2	0	0	0
ALTRIA GROUP INC	COM	02209S103	2888	86500	SH	CALL	DEFINED	1	0	0	0
ALUMINUM CORP CHINA LTD	SPON ADR H SHS	022276109	440	43450	SH		DEFINED	2	43450	0	0
ALUMINUM CORP CHINA LTD	SPON ADR H SHS	022276109	378	37300	SH	PUT	DEFINED	2	0	0	0
ALUMINUM CORP CHINA LTD	SPON ADR H SHS	022276109	307	30300	SH	CALL	DEFINED	2	0	0	0
ALVARION LTD	SHS	M0861T100	19	38158	SH		DEFINED	2	38158	0	0
AMAG PHARMACEUTICALS INC	COM	00163U106	587	33100	SH	PUT	DEFINED	2	0	0	0
AMAG PHARMACEUTICALS INC	COM	00163U106	1783	100500	SH	CALL	DEFINED	2	0	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	3727	295780	SH		DEFINED	1	295780	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	13227	1049770	SH		DEFINED	2	1049770	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	687	54488	SH		DEFINED	3	54488	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	19647	1559300	SH	PUT	DEFINED	2	0	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	1709	135600	SH	PUT	DEFINED	1	0	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	1259	99900	SH	PUT	DEFINED	3	0	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	2928	232400	SH	CALL	DEFINED	1	0	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	25037	1987100	SH	CALL	DEFINED	2	0	0	0
AMARIN CORP PLC	SPONS ADR NEW	023111206	316	25100	SH	CALL	DEFINED	3	0	0	0
AMAZON COM INC	COM	023135106	78681	309378	SH		DEFINED	2	309378	0	0
AMAZON COM INC	COM	023135106	1689	6643	SH		DEFINED	3	6643	0	0
AMAZON COM INC	COM	023135106	28694	112825	SH		DEFINED	1	112825	0	0
AMAZON COM INC	COM	023135106	154169	606200	SH	PUT	DEFINED	1	0	0	0
AMAZON COM INC	COM	023135106	437507	1720300	SH	PUT	DEFINED	2	0	0	0
AMAZON COM INC	COM	023135106	113579	446600	SH	CALL	DEFINED	1	0	0	0
AMAZON COM INC	COM	023135106	389008	1529600	SH	CALL	DEFINED	2	0	0	0
AMBASSADORS GROUP INC	COM	023177108	699	129400	SH	CALL	DEFINED	3	0	0	0
AMC NETWORKS INC	CL A	00164V103	2724	62600	SH	PUT	DEFINED	2	0	0	0
AMC NETWORKS INC	CL A	00164V103	17108	393100	SH	CALL	DEFINED	2	0	0	0
AMCOL INTL CORP	COM	02341W103	468	13800	SH	CALL	DEFINED	2	0	0	0
AMDOCS LTD	ORD	G02602103	762	23088	SH		DEFINED	2	23088	0	0
AMDOCS LTD	ORD	G02602103	218	6600	SH	PUT	DEFINED	1	0	0	0
AMDOCS LTD	ORD	G02602103	224	6800	SH	CALL	DEFINED	2	0	0	0
AMEDISYS INC	COM	023436108	583	42185	SH		DEFINED	2	42185	0	0
AMEDISYS INC	COM	023436108	1135	82200	SH	PUT	DEFINED	2	0	0	0
AMEDISYS INC	COM	023436108	1938	140300	SH	CALL	DEFINED	2	0	0	0
AMERCO	COM	023586100	876	8236	SH		DEFINED	2	8236	0	0
AMERCO	COM	023586100	851	8000	SH	PUT	DEFINED	2	0	0	0
AMERCO	COM	023586100	404	3800	SH	CALL	DEFINED	2	0	0	0
AMEREN CORP	COM	023608102	1508	46147	SH		DEFINED	9	46147	0	0
AMEREN CORP	COM	023608102	1221	37364	SH		DEFINED	2	37364	0	0
AMEREN CORP	COM	023608102	1865	57100	SH	PUT	DEFINED	2	0	0	0
AMEREN CORP	COM	023608102	392	12000	SH	CALL	DEFINED	2	0	0	0
AMERICA MOVIL SAB DE CV	SPON ADR L SHS	02364W105	7177	282100	SH		DEFINED	2	282100	0	0
AMERICA MOVIL SAB DE CV	SPON ADR L SHS	02364W105	16508	648900	SH	PUT	DEFINED	2	0	0	0
AMERICA MOVIL SAB DE CV	SPON ADR L SHS	02364W105	1313	51600	SH	PUT	DEFINED	1	0	0	0
AMERICA MOVIL SAB DE CV	SPON ADR L SHS	02364W105	4055	159400	SH	CALL	DEFINED	2	0	0	0
AMERICA MOVIL SAB DE CV	SPON ADR L SHS	02364W105	2407	94600	SH	CALL	DEFINED	1	0	0	0
AMERICA MOVIL SAB DE CV	SPON ADR A SHS	02364W204	320	13175	SH		DEFINED	3	13175	0	0
AMERICAN AXLE & MFG HLDGS IN	COM	024061103	661	58636	SH		DEFINED	2	58636	0	0
AMERICAN AXLE & MFG HLDGS IN	COM	024061103	1576	139800	SH	PUT	DEFINED	2	0	0	0
AMERICAN AXLE & MFG HLDGS IN	COM	024061103	483	42900	SH	CALL	DEFINED	1	0	0	0
AMERICAN AXLE & MFG HLDGS IN	COM	024061103	4383	388900	SH	CALL	DEFINED	2	0	0	0
AMERICAN CAMPUS CMNTYS INC	COM	024835100	325	7400	SH	CALL	DEFINED	2	0	0	0
AMERICAN CAP LTD	COM	02503Y103	3585	316104	SH		DEFINED	9	316104	0	0
AMERICAN CAP LTD	COM	02503Y103	7513	662498	SH		DEFINED	2	662498	0	0
AMERICAN CAP LTD	COM	02503Y103	5123	451800	SH	PUT	DEFINED	2	0	0	0
AMERICAN CAP LTD	COM	02503Y103	4707	415100	SH	CALL	DEFINED	2	0	0	0
AMERICAN CAP MTG INVT CORP	COM	02504A104	2055	81789	SH		DEFINED	2	81789	0	0
AMERICAN CAP MTG INVT CORP	COM	02504A104	3659	145600	SH	PUT	DEFINED	2	0	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	11037	319070	SH		DEFINED	2	319070	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	10869	314210	SH		DEFINED	3	314210	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	8067	233229	SH		DEFINED	1	233229	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	19000	549300	SH	PUT	DEFINED	1	0	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	12286	355200	SH	PUT	DEFINED	3	0	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	34452	996000	SH	PUT	DEFINED	2	0	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	4587	132600	SH	CALL	DEFINED	1	0	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	6870	198600	SH	CALL	DEFINED	2	0	0	0
AMERICAN CAPITAL AGENCY CORP	COM	02503X105	1228	35500	SH	CALL	DEFINED	3	0	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	4378	207700	SH		DEFINED	"5,7"	207700	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	3434	162895	SH		DEFINED	3	162895	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	4832	229221	SH		DEFINED	2	229221	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	13561	643300	SH	PUT	DEFINED	2	0	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	346	16400	SH	PUT	DEFINED	3	0	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	1341	63600	SH	PUT	DEFINED	1	0	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	5453	258700	SH	CALL	DEFINED	1	0	0	0
AMERICAN EAGLE OUTFITTERS NE	COM	02553E106	26856	1274000	SH	CALL	DEFINED	2	0	0	0
AMERICAN ELEC PWR INC	COM	025537101	5759	131067	SH		DEFINED	2	131067	0	0
AMERICAN ELEC PWR INC	COM	025537101	4830	109912	SH		DEFINED	9	109912	0	0
AMERICAN ELEC PWR INC	COM	025537101	1179	26823	SH		DEFINED	3	26823	0	0
AMERICAN ELEC PWR INC	COM	025537101	1195	27200	SH	PUT	DEFINED	3	0	0	0
AMERICAN ELEC PWR INC	COM	025537101	18235	415000	SH	PUT	DEFINED	2	0	0	0
AMERICAN ELEC PWR INC	COM	025537101	27533	626600	SH	CALL	DEFINED	2	0	0	0
AMERICAN EXPRESS CO	COM	025816109	3481	61220	SH		DEFINED	3	61220	0	0
AMERICAN EXPRESS CO	COM	025816109	10777	189532	SH		DEFINED	2	189532	0	0
AMERICAN EXPRESS CO	COM	025816109	3023	53168	SH		DEFINED	1	53168	0	0
AMERICAN EXPRESS CO	COM	025816109	6323	111200	SH	PUT	DEFINED	1	0	0	0
AMERICAN EXPRESS CO	COM	025816109	65480	1151600	SH	PUT	DEFINED	2	0	0	0
AMERICAN EXPRESS CO	COM	025816109	8773	154300	SH	CALL	DEFINED	1	0	0	0
AMERICAN EXPRESS CO	COM	025816109	48195	847600	SH	CALL	DEFINED	2	0	0	0
AMERICAN GREETINGS CORP	CL A	026375105	192	11431	SH		DEFINED	3	11431	0	0
AMERICAN GREETINGS CORP	CL A	026375105	531	31600	SH	PUT	DEFINED	1	0	0	0
AMERICAN GREETINGS CORP	CL A	026375105	936	55700	SH	PUT	DEFINED	2	0	0	0
AMERICAN GREETINGS CORP	CL A	026375105	1809	107700	SH	CALL	DEFINED	2	0	0	0
AMERICAN INTL GROUP INC	*W EXP 01/19/202	026874156	903	67110	SH		DEFINED	2	67110	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	24760	755095	SH		DEFINED	3	755095	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	78433	2391977	SH		DEFINED	2	2391977	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	820	25000	SH		DEFINED	"5,7"	25000	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	16343	498400	SH		DEFINED	9	498400	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	15153	462132	SH		DEFINED	1	462132	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	52438	1599200	SH	PUT	DEFINED	1	0	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	261753	7982700	SH	PUT	DEFINED	2	0	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	58209	1775200	SH	CALL	DEFINED	1	0	0	0
AMERICAN INTL GROUP INC	COM NEW	026874784	165642	5051600	SH	CALL	DEFINED	2	0	0	0
AMERICAN PUBLIC EDUCATION IN	COM	02913V103	867	23800	SH	PUT	DEFINED	2	0	0	0
AMERICAN PUBLIC EDUCATION IN	COM	02913V103	521	14300	SH	CALL	DEFINED	2	0	0	0
AMERICAN SCIENCE & ENGR INC	COM	029429107	273	4164	SH		DEFINED	3	4164	0	0
AMERICAN SCIENCE & ENGR INC	COM	029429107	308	4700	SH	PUT	DEFINED	2	0	0	0
AMERICAN SCIENCE & ENGR INC	COM	029429107	1233	18800	SH	CALL	DEFINED	2	0	0	0
AMERICAN STS WTR CO	COM	029899101	333	7500	SH		DEFINED	9	7500	0	0
AMERICAN STS WTR CO	COM	029899101	204	4600	SH	PUT	DEFINED	2	0	0	0
AMERICAN STS WTR CO	COM	029899101	222	5000	SH	CALL	DEFINED	2	0	0	0
AMERICAN SUPERCONDUCTOR CORP	COM	030111108	1101	265263	SH		DEFINED	2	265263	0	0
AMERICAN SUPERCONDUCTOR CORP	COM	030111108	1129	272100	SH	PUT	DEFINED	2	0	0	0
AMERICAN SUPERCONDUCTOR CORP	COM	030111108	129	31000	SH	CALL	DEFINED	3	0	0	0
AMERICAN SUPERCONDUCTOR CORP	COM	030111108	380	91600	SH	CALL	DEFINED	2	0	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	3203	44862	SH		DEFINED	2	44862	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	2226	31187	SH		DEFINED	3	31187	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	974	13638	SH		DEFINED	1	13638	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	25108	351700	SH	PUT	DEFINED	2	0	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	4976	69700	SH	PUT	DEFINED	1	0	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	6661	93300	SH	CALL	DEFINED	1	0	0	0
AMERICAN TOWER CORP NEW	COM	03027X100	16770	234900	SH	CALL	DEFINED	2	0	0	0
AMERICAN VANGUARD CORP	COM	030371108	533	15313	SH		DEFINED	2	15313	0	0
AMERICAN VANGUARD CORP	COM	030371108	2565	73700	SH	PUT	DEFINED	2	0	0	0
AMERICAN VANGUARD CORP	COM	030371108	11992	344600	SH	CALL	DEFINED	2	0	0	0
AMERICAN WOODMARK CORP	COM	030506109	206	10332	SH		DEFINED	3	10332	0	0
AMERICAN WTR WKS CO INC NEW	COM	030420103	3447	93000	SH		DEFINED	9	93000	0	0
AMERICAN WTR WKS CO INC NEW	COM	030420103	233	6300	SH	PUT	DEFINED	2	0	0	0
AMERICAN WTR WKS CO INC NEW	COM	030420103	652	17600	SH	CALL	DEFINED	2	0	0	0
AMERIGAS PARTNERS L P	UNIT L P INT	030975106	226	5185	SH		DEFINED	3	5185	0	0
AMERIGAS PARTNERS L P	UNIT L P INT	030975106	1295	29660	SH		DEFINED	2	29660	0	0
AMERIGAS PARTNERS L P	UNIT L P INT	030975106	1668	38200	SH	PUT	DEFINED	2	0	0	0
AMERIGAS PARTNERS L P	UNIT L P INT	030975106	244	5600	SH	CALL	DEFINED	2	0	0	0
AMERIGROUP CORP	COM	03073T102	16375	179095	SH		DEFINED	2	179095	0	0
AMERIGROUP CORP	COM	03073T102	4247	46454	SH		DEFINED	3	46454	0	0
AMERIGROUP CORP	COM	03073T102	6674	73000	SH	PUT	DEFINED	2	0	0	0
AMERIGROUP CORP	COM	03073T102	6254	68400	SH	PUT	DEFINED	3	0	0	0
AMERIGROUP CORP	COM	03073T102	86237	943200	SH	CALL	DEFINED	2	0	0	0
AMERIGROUP CORP	COM	03073T102	1957	21400	SH	CALL	DEFINED	3	0	0	0
AMERIPRISE FINL INC	COM	03076C106	4174	73630	SH		DEFINED	3	73630	0	0
AMERIPRISE FINL INC	COM	03076C106	1150	20280	SH		DEFINED	2	20280	0	0
AMERIPRISE FINL INC	COM	03076C106	1842	32500	SH	PUT	DEFINED	2	0	0	0
AMERIPRISE FINL INC	COM	03076C106	255	4500	SH	PUT	DEFINED	1	0	0	0
AMERIPRISE FINL INC	COM	03076C106	4541	80100	SH	CALL	DEFINED	2	0	0	0
AMERIPRISE FINL INC	COM	03076C106	312	5500	SH	CALL	DEFINED	1	0	0	0
AMERISOURCEBERGEN CORP	COM	03073E105	400	10328	SH		DEFINED	3	10328	0	0
AMERISOURCEBERGEN CORP	COM	03073E105	3038	78483	SH		DEFINED	2	78483	0	0
AMERISOURCEBERGEN CORP	COM	03073E105	941	24300	SH	PUT	DEFINED	3	0	0	0
AMERISOURCEBERGEN CORP	COM	03073E105	7382	190700	SH	PUT	DEFINED	2	0	0	0
AMERISOURCEBERGEN CORP	COM	03073E105	4610	119100	SH	CALL	DEFINED	2	0	0	0
AMES NATL CORP	COM	031001100	266	12748	SH		DEFINED	3	12748	0	0
AMETEK INC NEW	COM	031100100	200	5650	SH	CALL	DEFINED	2	0	0	0
AMGEN INC	COM	031162100	4082	48410	SH		DEFINED	1	48410	0	0
AMGEN INC	COM	031162100	369	4382	SH		DEFINED	3	4382	0	0
AMGEN INC	COM	031162100	240287	2849698	SH		DEFINED	"5,7"	2849698	0	0
AMGEN INC	COM	031162100	35653	422824	SH		DEFINED	2	422824	0	0
AMGEN INC	COM	031162100	94430	1119900	SH	PUT	DEFINED	2	0	0	0
AMGEN INC	COM	031162100	5759	68300	SH	PUT	DEFINED	1	0	0	0
AMGEN INC	COM	031162100	101007	1197900	SH	CALL	DEFINED	2	0	0	0
AMGEN INC	COM	031162100	2445	29000	SH	CALL	DEFINED	1	0	0	0
AMGEN INC	NOTE   0.375% 2/0	031162AQ3	224383	201693000	PRN		DEFINED	"5,7"	0	0	0
AMKOR TECHNOLOGY INC	COM	031652100	103	23304	SH		DEFINED	2	23304	0	0
AMKOR TECHNOLOGY INC	COM	031652100	223	50667	SH		DEFINED	3	50667	0	0
AMKOR TECHNOLOGY INC	COM	031652100	132	30000	SH	PUT	DEFINED	2	0	0	0
AMPHENOL CORP NEW	CL A	032095101	776	13172	SH		DEFINED	2	13172	0	0
AMPHENOL CORP NEW	CL A	032095101	1655	28100	SH		DEFINED	9	28100	0	0
AMPHENOL CORP NEW	CL A	032095101	1284	21800	SH	PUT	DEFINED	2	0	0	0
AMPHENOL CORP NEW	CL A	032095101	2673	45400	SH	CALL	DEFINED	2	0	0	0
AMPHENOL CORP NEW	CL A	032095101	442	7500	SH	CALL	DEFINED	1	0	0	0
AMPIO PHARMACEUTICALS INC	COM	03209T109	50	12931	SH		DEFINED	2	12931	0	0
AMPIO PHARMACEUTICALS INC	COM	03209T109	144	36900	SH	PUT	DEFINED	2	0	0	0
AMSURG CORP	COM	03232P405	1090	38400	SH		DEFINED	9	38400	0	0
AMTECH SYS INC	COM PAR $0.01N	032332504	113	34314	SH		DEFINED	3	34314	0	0
AMTECH SYS INC	COM PAR $0.01N	032332504	71	21600	SH	PUT	DEFINED	2	0	0	0
AMTECH SYS INC	COM PAR $0.01N	032332504	34	10300	SH	CALL	DEFINED	2	0	0	0
AMTRUST FINANCIAL SERVICES I	COM	032359309	289	11263	SH		DEFINED	2	11263	0	0
AMTRUST FINANCIAL SERVICES I	COM	032359309	448	17480	SH	PUT	DEFINED	2	0	0	0
AMTRUST FINANCIAL SERVICES I	COM	032359309	206	8030	SH	CALL	DEFINED	2	0	0	0
AMYRIS INC	COM	03236M101	102	29674	SH		DEFINED	2	29674	0	0
AMYRIS INC	COM	03236M101	299	86900	SH	PUT	DEFINED	2	0	0	0
ANADARKO PETE CORP	COM	032511107	8578	122687	SH		DEFINED	1	122687	0	0
ANADARKO PETE CORP	COM	032511107	1136	16242	SH		DEFINED	3	16242	0	0
ANADARKO PETE CORP	COM	032511107	71278	1019424	SH		DEFINED	2	1019424	0	0
ANADARKO PETE CORP	COM	032511107	119675	1711600	SH	PUT	DEFINED	2	0	0	0
ANADARKO PETE CORP	COM	032511107	18081	258600	SH	PUT	DEFINED	1	0	0	0
ANADARKO PETE CORP	COM	032511107	34568	494400	SH	CALL	DEFINED	1	0	0	0
ANADARKO PETE CORP	COM	032511107	182358	2608100	SH	CALL	DEFINED	2	0	0	0
ANADIGICS INC	COM	032515108	29	21016	SH		DEFINED	3	21016	0	0
ANADIGICS INC	COM	032515108	53	37772	SH		DEFINED	2	37772	0	0
ANALOG DEVICES INC	COM	032654105	273	6965	SH		DEFINED	3	6965	0	0
ANALOG DEVICES INC	COM	032654105	2993	76369	SH		DEFINED	2	76369	0	0
ANALOG DEVICES INC	COM	032654105	4291	109500	SH	PUT	DEFINED	2	0	0	0
ANALOG DEVICES INC	COM	032654105	1360	34700	SH	PUT	DEFINED	1	0	0	0
ANALOG DEVICES INC	COM	032654105	9946	253800	SH	CALL	DEFINED	2	0	0	0
ANALOG DEVICES INC	COM	032654105	1289	32900	SH	CALL	DEFINED	1	0	0	0
ANALOGIC CORP	COM PAR $0.05	032657207	1016	13000	SH	PUT	DEFINED	2	0	0	0
ANALOGIC CORP	COM PAR $0.05	032657207	1595	20400	SH	CALL	DEFINED	2	0	0	0
ANCESTRY COM INC	COM	032803108	229	7617	SH		DEFINED	1	7617	0	0
ANCESTRY COM INC	COM	032803108	412	13699	SH		DEFINED	2	13699	0	0
ANCESTRY COM INC	COM	032803108	8759	291200	SH	PUT	DEFINED	2	0	0	0
ANCESTRY COM INC	COM	032803108	1432	47600	SH	PUT	DEFINED	1	0	0	0
ANCESTRY COM INC	COM	032803108	1453	48300	SH	CALL	DEFINED	3	0	0	0
ANCESTRY COM INC	COM	032803108	1002	33300	SH	CALL	DEFINED	1	0	0	0
ANCESTRY COM INC	COM	032803108	15010	499000	SH	CALL	DEFINED	2	0	0	0
ANDERSONS INC	COM	034164103	372	9890	SH		DEFINED	3	9890	0	0
ANDERSONS INC	COM	034164103	315	8375	SH		DEFINED	2	8375	0	0
ANDERSONS INC	COM	034164103	1077	28600	SH	CALL	DEFINED	2	0	0	0
ANGIES LIST INC	COM	034754101	305	28800	SH	PUT	DEFINED	2	0	0	0
ANGIES LIST INC	COM	034754101	2689	254200	SH	CALL	DEFINED	2	0	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	204	5833	SH		DEFINED	1	5833	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	6052	172677	SH		DEFINED	2	172677	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	1542	44000	SH	PUT	DEFINED	1	0	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	14511	414000	SH	PUT	DEFINED	2	0	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	13908	396800	SH	CALL	DEFINED	2	0	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	414	11800	SH	CALL	DEFINED	3	0	0	0
ANGLOGOLD ASHANTI LTD	SPONSORED ADR	035128206	3137	89500	SH	CALL	DEFINED	1	0	0	0
ANHEUSER BUSCH INBEV SA/NV	SPONSORED ADR	03524A108	430	5000	SH	PUT	DEFINED	1	0	0	0
ANHEUSER BUSCH INBEV SA/NV	SPONSORED ADR	03524A108	20825	242400	SH	PUT	DEFINED	2	0	0	0
ANHEUSER BUSCH INBEV SA/NV	SPONSORED ADR	03524A108	16727	194700	SH	CALL	DEFINED	2	0	0	0
ANHEUSER BUSCH INBEV SA/NV	SPONSORED ADR	03524A108	1220	14200	SH	CALL	DEFINED	1	0	0	0
ANIXTER INTL INC	COM	035290105	781	13600	SH	PUT	DEFINED	2	0	0	0
ANIXTER INTL INC	COM	035290105	2477	43100	SH	CALL	DEFINED	2	0	0	0
ANN INC	COM	035623107	2234	59200	SH		DEFINED	9	59200	0	0
ANN INC	COM	035623107	1554	41200	SH	PUT	DEFINED	2	0	0	0
ANN INC	COM	035623107	309	8200	SH	PUT	DEFINED	1	0	0	0
ANN INC	COM	035623107	4709	124800	SH	CALL	DEFINED	2	0	0	0
ANN INC	COM	035623107	283	7500	SH	CALL	DEFINED	1	0	0	0
ANNALY CAP MGMT INC	COM	035710409	6349	376996	SH		DEFINED	2	376996	0	0
ANNALY CAP MGMT INC	COM	035710409	285	16895	SH		DEFINED	3	16895	0	0
ANNALY CAP MGMT INC	COM	035710409	439	26072	SH		DEFINED	1	26072	0	0
ANNALY CAP MGMT INC	COM	035710409	14555	864300	SH	PUT	DEFINED	2	0	0	0
ANNALY CAP MGMT INC	COM	035710409	5008	297400	SH	PUT	DEFINED	1	0	0	0
ANNALY CAP MGMT INC	COM	035710409	8194	486600	SH	CALL	DEFINED	2	0	0	0
ANNALY CAP MGMT INC	COM	035710409	4535	269300	SH	CALL	DEFINED	1	0	0	0
ANNIES INC	COM	03600T104	283	6319	SH		DEFINED	3	6319	0	0
ANSYS INC	COM	03662Q105	3699	50400	SH	PUT	DEFINED	2	0	0	0
ANSYS INC	COM	03662Q105	521	7100	SH	CALL	DEFINED	1	0	0	0
ANSYS INC	COM	03662Q105	7883	107400	SH	CALL	DEFINED	2	0	0	0
ANTARES PHARMA INC	COM	036642106	1131	259445	SH		DEFINED	2	259445	0	0
ANTARES PHARMA INC	COM	036642106	1208	277100	SH	PUT	DEFINED	2	0	0	0
ANTARES PHARMA INC	COM	036642106	328	75200	SH	CALL	DEFINED	2	0	0	0
ANTHERA PHARMACEUTICALS INC	COM	03674U102	61	61589	SH		DEFINED	3	61589	0	0
ANWORTH MORTGAGE ASSET CP	COM	037347101	207	30450	SH		DEFINED	3	30450	0	0
ANWORTH MORTGAGE ASSET CP	COM	037347101	120	17702	SH		DEFINED	2	17702	0	0
ANWORTH MORTGAGE ASSET CP	COM	037347101	317	46600	SH	PUT	DEFINED	2	0	0	0
AOL INC	COM	00184X105	15230	432300	SH		DEFINED	9	432300	0	0
AOL INC	COM	00184X105	1394	39580	SH		DEFINED	3	39580	0	0
AOL INC	COM	00184X105	252	7142	SH		DEFINED	1	7142	0	0
AOL INC	COM	00184X105	15942	452500	SH		DEFINED	"5,7"	452500	0	0
AOL INC	COM	00184X105	12510	355100	SH	PUT	DEFINED	2	0	0	0
AOL INC	COM	00184X105	722	20500	SH	CALL	DEFINED	1	0	0	0
AOL INC	COM	00184X105	10682	303200	SH	CALL	DEFINED	2	0	0	0
AON PLC	SHS CL A	G0408V102	21078	403100	SH		DEFINED	2	403100	0	0
AON PLC	SHS CL A	G0408V102	1000	19121	SH		DEFINED	3	19121	0	0
AON PLC	SHS CL A	G0408V102	1245	23800	SH	PUT	DEFINED	2	0	0	0
AON PLC	SHS CL A	G0408V102	4303	82300	SH	CALL	DEFINED	2	0	0	0
APACHE CORP	COM	037411105	3471	40144	SH		DEFINED	1	40144	0	0
APACHE CORP	COM	037411105	557	6437	SH		DEFINED	3	6437	0	0
APACHE CORP	COM	037411105	6912	79941	SH		DEFINED	2	79941	0	0
APACHE CORP	COM	037411105	14587	168700	SH	PUT	DEFINED	1	0	0	0
APACHE CORP	COM	037411105	87698	1014200	SH	PUT	DEFINED	2	0	0	0
APACHE CORP	COM	037411105	8768	101400	SH	CALL	DEFINED	1	0	0	0
APACHE CORP	COM	037411105	865	10000	SH	CALL	DEFINED	3	0	0	0
APACHE CORP	COM	037411105	63720	736900	SH	CALL	DEFINED	2	0	0	0
APARTMENT INVT & MGMT CO	CL A	03748R101	457	17568	SH		DEFINED	2	17568	0	0
APARTMENT INVT & MGMT CO	CL A	03748R101	249	9598	SH		DEFINED	3	9598	0	0
APARTMENT INVT & MGMT CO	CL A	03748R101	224	8600	SH	PUT	DEFINED	2	0	0	0
APCO OIL & GAS INTERNATIONAL	SHS	G0471F109	711	44195	SH		DEFINED	3	44195	0	0
APOLLO COML REAL EST FIN INC	COM	03762U105	184	10600	SH	CALL	DEFINED	2	0	0	0
APOLLO GLOBAL MGMT LLC	CL A SHS	037612306	208	14165	SH		DEFINED	2	14165	0	0
APOLLO GLOBAL MGMT LLC	CL A SHS	037612306	277	18900	SH	PUT	DEFINED	2	0	0	0
APOLLO GLOBAL MGMT LLC	CL A SHS	037612306	204	13900	SH	CALL	DEFINED	2	0	0	0
APOLLO GROUP INC	CL A	037604105	323	11135	SH		DEFINED	3	11135	0	0
APOLLO GROUP INC	CL A	037604105	11900	409626	SH		DEFINED	2	409626	0	0
APOLLO GROUP INC	CL A	037604105	572	19700	SH	PUT	DEFINED	3	0	0	0
APOLLO GROUP INC	CL A	037604105	1862	64100	SH	PUT	DEFINED	1	0	0	0
APOLLO GROUP INC	CL A	037604105	29814	1026300	SH	PUT	DEFINED	2	0	0	0
APOLLO GROUP INC	CL A	037604105	3489	120100	SH	CALL	DEFINED	1	0	0	0
APOLLO GROUP INC	CL A	037604105	8718	300100	SH	CALL	DEFINED	2	0	0	0
APOLLO GROUP INC	CL A	037604105	270	9300	SH	CALL	DEFINED	3	0	0	0
APOLLO INVT CORP	COM	03761U106	179	22712	SH		DEFINED	2	22712	0	0
APOLLO INVT CORP	COM	03761U106	99	12600	SH	PUT	DEFINED	1	0	0	0
APOLLO INVT CORP	COM	03761U106	768	97600	SH	PUT	DEFINED	2	0	0	0
APOLLO INVT CORP	COM	03761U106	631	80200	SH	CALL	DEFINED	2	0	0	0
APOLLO RESIDENTIAL MTG INC	COM	03763V102	364	16523	SH		DEFINED	2	16523	0	0
APOLLO RESIDENTIAL MTG INC	COM	03763V102	815	37000	SH	PUT	DEFINED	2	0	0	0
APPLE INC	COM	037833100	1167681	1749964	SH		DEFINED	1	1749964	0	0
APPLE INC	COM	037833100	9496015	14231357	SH		DEFINED	2	14231357	0	0
APPLE INC	COM	037833100	64873	97223	SH		DEFINED	3	97223	0	0
APPLE INC	COM	037833100	13945801	20900100	SH	PUT	DEFINED	2	0	0	0
APPLE INC	COM	037833100	2209698	3311600	SH	PUT	DEFINED	1	0	0	0
APPLE INC	COM	037833100	305538	457900	SH	PUT	DEFINED	3	0	0	0
APPLE INC	COM	037833100	9075804	13601600	SH	CALL	DEFINED	2	0	0	0
APPLE INC	COM	037833100	110765	166000	SH	CALL	DEFINED	3	0	0	0
APPLE INC	COM	037833100	2674645	4008400	SH	CALL	DEFINED	1	0	0	0
APPLIED MATLS INC	COM	038222105	366	32757	SH		DEFINED	1	32757	0	0
APPLIED MATLS INC	COM	038222105	2441	218638	SH		DEFINED	3	218638	0	0
APPLIED MATLS INC	COM	038222105	11609	1039760	SH		DEFINED	2	1039760	0	0
APPLIED MATLS INC	COM	038222105	6659	596400	SH	PUT	DEFINED	2	0	0	0
APPLIED MATLS INC	COM	038222105	1334	119500	SH	PUT	DEFINED	1	0	0	0
APPLIED MATLS INC	COM	038222105	14751	1321200	SH	CALL	DEFINED	2	0	0	0
APPLIED MATLS INC	COM	038222105	650	58200	SH	CALL	DEFINED	1	0	0	0
APPLIED MICRO CIRCUITS CORP	COM NEW	03822W406	197	38900	SH	CALL	DEFINED	2	0	0	0
APPROACH RESOURCES INC	COM	03834A103	505	16752	SH		DEFINED	1	16752	0	0
APPROACH RESOURCES INC	COM	03834A103	323	10735	SH		DEFINED	2	10735	0	0
APPROACH RESOURCES INC	COM	03834A103	2847	94500	SH	PUT	DEFINED	2	0	0	0
APPROACH RESOURCES INC	COM	03834A103	1461	48500	SH	PUT	DEFINED	1	0	0	0
APPROACH RESOURCES INC	COM	03834A103	569	18900	SH	CALL	DEFINED	1	0	0	0
APPROACH RESOURCES INC	COM	03834A103	18132	601800	SH	CALL	DEFINED	2	0	0	0
APRICUS BIOSCIENCES INC	COM	03832V109	224	68864	SH		DEFINED	2	68864	0	0
APRICUS BIOSCIENCES INC	COM	03832V109	41	12500	SH	PUT	DEFINED	2	0	0	0
APRICUS BIOSCIENCES INC	COM	03832V109	202	62000	SH	CALL	DEFINED	2	0	0	0
APTARGROUP INC	COM	038336103	233	4500	SH	PUT	DEFINED	2	0	0	0
APTARGROUP INC	COM	038336103	1220	23600	SH	CALL	DEFINED	2	0	0	0
AQUA AMERICA INC	COM	03836W103	322	13000	SH	PUT	DEFINED	2	0	0	0
AQUA AMERICA INC	COM	03836W103	666	26900	SH	CALL	DEFINED	2	0	0	0
ARBITRON INC	COM	03875Q108	423	11161	SH		DEFINED	2	11161	0	0
ARBITRON INC	COM	03875Q108	515	13600	SH	PUT	DEFINED	2	0	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	1556	107734	SH		DEFINED	1	107734	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	8635	597988	SH		DEFINED	2	597988	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	151	10432	SH		DEFINED	3	10432	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	1886	130600	SH	PUT	DEFINED	1	0	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	19210	1330300	SH	PUT	DEFINED	2	0	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	921	63800	SH	CALL	DEFINED	3	0	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	32422	2245300	SH	CALL	DEFINED	2	0	0	0
ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	3194	221200	SH	CALL	DEFINED	1	0	0	0
ARCH CAP GROUP LTD	ORD	G0450A105	2738	65700	SH		DEFINED	9	65700	0	0
ARCH COAL INC	COM	039380100	114	18014	SH		DEFINED	1	18014	0	0
ARCH COAL INC	COM	039380100	790	124824	SH		DEFINED	3	124824	0	0
ARCH COAL INC	COM	039380100	7773	1227939	SH		DEFINED	2	1227939	0	0
ARCH COAL INC	COM	039380100	383	60500	SH	PUT	DEFINED	1	0	0	0
ARCH COAL INC	COM	039380100	7192	1136200	SH	PUT	DEFINED	2	0	0	0
ARCH COAL INC	COM	039380100	346	54700	SH	CALL	DEFINED	3	0	0	0
ARCH COAL INC	COM	039380100	5949	939800	SH	CALL	DEFINED	2	0	0	0
ARCH COAL INC	COM	039380100	655	103400	SH	CALL	DEFINED	1	0	0	0
ARCHER DANIELS MIDLAND CO	COM	039483102	10025	368839	SH		DEFINED	2	368839	0	0
ARCHER DANIELS MIDLAND CO	COM	039483102	28175	1036600	SH	PUT	DEFINED	2	0	0	0
ARCHER DANIELS MIDLAND CO	COM	039483102	1142	42000	SH	PUT	DEFINED	1	0	0	0
ARCHER DANIELS MIDLAND CO	COM	039483102	1742	64100	SH	CALL	DEFINED	1	0	0	0
ARCHER DANIELS MIDLAND CO	COM	039483102	17172	631800	SH	CALL	DEFINED	2	0	0	0
ARCOS DORADOS HOLDINGS INC	SHS CLASS -A -	G0457F107	1579	102303	SH		DEFINED	2	102303	0	0
ARCOS DORADOS HOLDINGS INC	SHS CLASS -A -	G0457F107	2299	149000	SH	PUT	DEFINED	2	0	0	0
ARCOS DORADOS HOLDINGS INC	SHS CLASS -A -	G0457F107	1372	88900	SH	CALL	DEFINED	2	0	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	4153	499162	SH		DEFINED	1	499162	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	19247	2313392	SH		DEFINED	2	2313392	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	577	69394	SH		DEFINED	3	69394	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	3412	410100	SH	PUT	DEFINED	3	0	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	2670	320900	SH	PUT	DEFINED	1	0	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	18296	2199000	SH	PUT	DEFINED	2	0	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	2772	333200	SH	CALL	DEFINED	1	0	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	3275	393600	SH	CALL	DEFINED	3	0	0	0
ARENA PHARMACEUTICALS INC	COM	040047102	8268	993800	SH	CALL	DEFINED	2	0	0	0
ARES CAP CORP	COM	04010L103	424	24761	SH		DEFINED	2	24761	0	0
ARES CAP CORP	COM	04010L103	1609	93900	SH	PUT	DEFINED	2	0	0	0
ARES CAP CORP	COM	04010L103	761	44400	SH	CALL	DEFINED	2	0	0	0
ARES COML REAL ESTATE CORP	COM	04013V108	897	52600	SH	CALL	DEFINED	2	0	0	0
ARIAD PHARMACEUTICALS INC	COM	04033A100	6747	278513	SH		DEFINED	2	278513	0	0
ARIAD PHARMACEUTICALS INC	COM	04033A100	1110	45802	SH		DEFINED	3	45802	0	0
ARIAD PHARMACEUTICALS INC	COM	04033A100	250	10300	SH	PUT	DEFINED	1	0	0	0
ARIAD PHARMACEUTICALS INC	COM	04033A100	20635	851800	SH	PUT	DEFINED	2	0	0	0
ARIAD PHARMACEUTICALS INC	COM	04033A100	5930	244800	SH	CALL	DEFINED	2	0	0	0
ARIAD PHARMACEUTICALS INC	COM	04033A100	499	20600	SH	CALL	DEFINED	1	0	0	0
ARIBA INC	COM NEW	04033V203	2639	58900	SH	CALL	DEFINED	2	0	0	0
ARKANSAS BEST CORP DEL	COM	040790107	141	17864	SH		DEFINED	3	17864	0	0
ARKANSAS BEST CORP DEL	COM	040790107	263	33162	SH		DEFINED	2	33162	0	0
ARKANSAS BEST CORP DEL	COM	040790107	107	13500	SH	PUT	DEFINED	2	0	0	0
ARKANSAS BEST CORP DEL	COM	040790107	648	81800	SH	CALL	DEFINED	2	0	0	0
ARM HLDGS PLC	SPONSORED ADR	042068106	295	10539	SH		DEFINED	1	10539	0	0
ARM HLDGS PLC	SPONSORED ADR	042068106	1111	39700	SH	PUT	DEFINED	1	0	0	0
ARM HLDGS PLC	SPONSORED ADR	042068106	5364	191700	SH	PUT	DEFINED	2	0	0	0
ARM HLDGS PLC	SPONSORED ADR	042068106	7468	266900	SH	CALL	DEFINED	2	0	0	0
ARM HLDGS PLC	SPONSORED ADR	042068106	3304	118100	SH	CALL	DEFINED	1	0	0	0
ARMOUR RESIDENTIAL REIT INC	COM	042315101	2892	377527	SH		DEFINED	2	377527	0	0
ARMOUR RESIDENTIAL REIT INC	COM	042315101	3512	458500	SH	PUT	DEFINED	2	0	0	0
ARMSTRONG WORLD INDS INC NEW	COM	04247X102	798	17200	SH	PUT	DEFINED	2	0	0	0
ARMSTRONG WORLD INDS INC NEW	COM	04247X102	626	13500	SH	CALL	DEFINED	2	0	0	0
ARQULE INC	COM	04269E107	109	21408	SH		DEFINED	2	21408	0	0
ARQULE INC	COM	04269E107	95	18572	SH		DEFINED	3	18572	0	0
ARQULE INC	COM	04269E107	57	11100	SH	CALL	DEFINED	2	0	0	0
ARRAY BIOPHARMA INC	COM	04269X105	98	16769	SH		DEFINED	2	16769	0	0
ARRAY BIOPHARMA INC	COM	04269X105	207	35400	SH	PUT	DEFINED	2	0	0	0
ARRAY BIOPHARMA INC	COM	04269X105	412	70300	SH	CALL	DEFINED	2	0	0	0
ARRIS GROUP INC	COM	04269Q100	139	10861	SH		DEFINED	3	10861	0	0
ARRIS GROUP INC	COM	04269Q100	353	27600	SH		DEFINED	9	27600	0	0
ARRIS GROUP INC	COM	04269Q100	550	43000	SH	CALL	DEFINED	2	0	0	0
ARROW ELECTRS INC	COM	042735100	702	20822	SH		DEFINED	3	20822	0	0
ARUBA NETWORKS INC	COM	043176106	1576	70100	SH		DEFINED	9	70100	0	0
ARUBA NETWORKS INC	COM	043176106	1156	51413	SH		DEFINED	2	51413	0	0
ARUBA NETWORKS INC	COM	043176106	14687	653200	SH	PUT	DEFINED	2	0	0	0
ARUBA NETWORKS INC	COM	043176106	951	42300	SH	PUT	DEFINED	1	0	0	0
ARUBA NETWORKS INC	COM	043176106	6181	274900	SH	CALL	DEFINED	2	0	0	0
ARUBA NETWORKS INC	COM	043176106	1886	83900	SH	CALL	DEFINED	1	0	0	0
ASA GOLD AND PRECIOUS MTLS L	SHS	G3156P103	592	23500	SH	CALL	DEFINED	2	0	0	0
ASBURY AUTOMOTIVE GROUP INC	COM	043436104	220	7865	SH		DEFINED	2	7865	0	0
ASBURY AUTOMOTIVE GROUP INC	COM	043436104	330	11800	SH	PUT	DEFINED	2	0	0	0
ASBURY AUTOMOTIVE GROUP INC	COM	043436104	349	12500	SH	CALL	DEFINED	2	0	0	0
ASCENA RETAIL GROUP INC	COM	04351G101	433	20190	SH		DEFINED	3	20190	0	0
ASCENA RETAIL GROUP INC	COM	04351G101	635	29600	SH	PUT	DEFINED	2	0	0	0
ASCENA RETAIL GROUP INC	COM	04351G101	3539	165000	SH	CALL	DEFINED	2	0	0	0
ASCENT SOLAR TECHNOLOGIES IN	COM	043635101	21	20628	SH		DEFINED	2	20628	0	0
ASCENT SOLAR TECHNOLOGIES IN	COM	043635101	21	20400	SH	PUT	DEFINED	2	0	0	0
ASHFORD HOSPITALITY TR INC	COM SHS	044103109	105	12500	SH	PUT	DEFINED	2	0	0	0
ASHFORD HOSPITALITY TR INC	COM SHS	044103109	307	36600	SH	CALL	DEFINED	2	0	0	0
ASHLAND INC NEW	COM	044209104	3142	43885	SH		DEFINED	3	43885	0	0
ASHLAND INC NEW	COM	044209104	1983	27700	SH		DEFINED	9	27700	0	0
ASHLAND INC NEW	COM	044209104	2167	30266	SH		DEFINED	2	30266	0	0
ASHLAND INC NEW	COM	044209104	523	7300	SH	PUT	DEFINED	1	0	0	0
ASHLAND INC NEW	COM	044209104	12136	169500	SH	PUT	DEFINED	2	0	0	0
ASHLAND INC NEW	COM	044209104	7525	105100	SH	CALL	DEFINED	2	0	0	0
ASHLAND INC NEW	COM	044209104	881	12300	SH	CALL	DEFINED	1	0	0	0
ASIAINFO-LINKAGE INC	COM	04518A104	470	40156	SH		DEFINED	2	40156	0	0
ASIAINFO-LINKAGE INC	COM	04518A104	1522	130000	SH	PUT	DEFINED	2	0	0	0
ASIAINFO-LINKAGE INC	COM	04518A104	192	16400	SH	CALL	DEFINED	2	0	0	0
ASM INTL N V	NY REGISTER SH	N07045102	281	8302	SH		DEFINED	2	8302	0	0
ASML HOLDING N V	NY REG SHS	N07059186	295	5500	SH		DEFINED	3	5500	0	0
ASML HOLDING N V	NY REG SHS	N07059186	317	5900	SH	PUT	DEFINED	1	0	0	0
ASML HOLDING N V	NY REG SHS	N07059186	4799	89400	SH	PUT	DEFINED	2	0	0	0
ASML HOLDING N V	NY REG SHS	N07059186	1074	20000	SH	PUT	DEFINED	3	0	0	0
ASML HOLDING N V	NY REG SHS	N07059186	6179	115100	SH	CALL	DEFINED	2	0	0	0
ASML HOLDING N V	NY REG SHS	N07059186	666	12400	SH	CALL	DEFINED	1	0	0	0
ASPEN INSURANCE HOLDINGS LTD	PFD PRP INC EQ	G05384113	14066	242300	SH		DEFINED	"5,7"	242300	0	0
ASSET ACCEP CAP CORP	COM	04543P100	115	15469	SH		DEFINED	3	15469	0	0
ASSET ACCEP CAP CORP	COM	04543P100	104	14000	SH	PUT	DEFINED	2	0	0	0
ASSOCIATED BANC CORP	*W EXP 11/21/201	045487113	2964	2043908	SH		DEFINED	"5,7"	2043908	0	0
ASSURANT INC	COM	04621X108	2014	54000	SH		DEFINED	9	54000	0	0
ASSURANT INC	COM	04621X108	321	8607	SH		DEFINED	2	8607	0	0
ASSURANT INC	COM	04621X108	410	11000	SH	CALL	DEFINED	2	0	0	0
ASSURED GUARANTY LTD	COM	G0585R106	201	14772	SH		DEFINED	3	14772	0	0
ASSURED GUARANTY LTD	COM	G0585R106	11547	847778	SH		DEFINED	2	847778	0	0
ASSURED GUARANTY LTD	COM	G0585R106	1415	103900	SH		DEFINED	9	103900	0	0
ASSURED GUARANTY LTD	COM	G0585R106	8624	633200	SH	PUT	DEFINED	2	0	0	0
ASSURED GUARANTY LTD	COM	G0585R106	139	10200	SH	PUT	DEFINED	1	0	0	0
ASSURED GUARANTY LTD	COM	G0585R106	10602	778400	SH	CALL	DEFINED	2	0	0	0
ASSURED GUARANTY LTD	COM	G0585R106	347	25500	SH	CALL	DEFINED	3	0	0	0
ASSURED GUARANTY LTD	COM	G0585R106	237	17400	SH	CALL	DEFINED	1	0	0	0
ASTA FDG INC	COM	046220109	506	53900	SH	PUT	DEFINED	2	0	0	0
ASTA FDG INC	COM	046220109	779	83000	SH	CALL	DEFINED	2	0	0	0
ASTEX PHARMACEUTICALS INC	COM	04624B103	99	32222	SH		DEFINED	2	32222	0	0
ASTEX PHARMACEUTICALS INC	COM	04624B103	38	12500	SH	PUT	DEFINED	2	0	0	0
ASTEX PHARMACEUTICALS INC	COM	04624B103	172	55900	SH	CALL	DEFINED	2	0	0	0
ASTORIA FINL CORP	COM	046265104	401	40622	SH		DEFINED	2	40622	0	0
ASTORIA FINL CORP	COM	046265104	144	14600	SH	PUT	DEFINED	2	0	0	0
ASTORIA FINL CORP	COM	046265104	3167	320500	SH	CALL	DEFINED	2	0	0	0
ASTRAZENECA PLC	SPONSORED ADR	046353108	889	18585	SH		DEFINED	9	18585	0	0
ASTRAZENECA PLC	SPONSORED ADR	046353108	202	4228	SH		DEFINED	2	4228	0	0
ASTRAZENECA PLC	SPONSORED ADR	046353108	5930	123900	SH	PUT	DEFINED	2	0	0	0
ASTRAZENECA PLC	SPONSORED ADR	046353108	340	7100	SH	PUT	DEFINED	1	0	0	0
ASTRAZENECA PLC	SPONSORED ADR	046353108	273	5700	SH	CALL	DEFINED	1	0	0	0
ASTRAZENECA PLC	SPONSORED ADR	046353108	11209	234200	SH	CALL	DEFINED	2	0	0	0
AT^T INC	COM	00206R102	372	9855	SH		DEFINED	1	9855	0	0
AT^T INC	COM	00206R102	5086	134900	SH		DEFINED	9	134900	0	0
AT^T INC	COM	00206R102	98615	2615775	SH		DEFINED	2	2615775	0	0
AT^T INC	COM	00206R102	11633	308562	SH		DEFINED	3	308562	0	0
AT^T INC	COM	00206R102	29768	789600	SH	PUT	DEFINED	1	0	0	0
AT^T INC	COM	00206R102	245506	6512100	SH	PUT	DEFINED	2	0	0	0
AT^T INC	COM	00206R102	1229	32600	SH	PUT	DEFINED	3	0	0	0
AT^T INC	COM	00206R102	4147	110000	SH	CALL	DEFINED	3	0	0	0
AT^T INC	COM	00206R102	211493	5609900	SH	CALL	DEFINED	2	0	0	0
AT^T INC	COM	00206R102	26484	702500	SH	CALL	DEFINED	1	0	0	0
ATHENAHEALTH INC	COM	04685W103	2955	32200	SH		DEFINED	9	32200	0	0
ATHENAHEALTH INC	COM	04685W103	1422	15500	SH	PUT	DEFINED	1	0	0	0
ATHENAHEALTH INC	COM	04685W103	8168	89000	SH	PUT	DEFINED	2	0	0	0
ATHENAHEALTH INC	COM	04685W103	15105	164600	SH	CALL	DEFINED	2	0	0	0
ATHENAHEALTH INC	COM	04685W103	1422	15500	SH	CALL	DEFINED	1	0	0	0
ATLANTIC PWR CORP	COM NEW	04878Q863	247	16500	SH	PUT	DEFINED	2	0	0	0
ATLANTIC TELE NETWORK INC	COM NEW	049079205	248	5769	SH		DEFINED	3	5769	0	0
ATLAS AIR WORLDWIDE HLDGS IN	COM NEW	049164205	1132	21916	SH		DEFINED	9	21916	0	0
ATLAS AIR WORLDWIDE HLDGS IN	COM NEW	049164205	2143	41500	SH	PUT	DEFINED	2	0	0	0
ATLAS AIR WORLDWIDE HLDGS IN	COM NEW	049164205	1435	27800	SH	CALL	DEFINED	2	0	0	0
ATLAS ENERGY LP	COM UNITS LP	04930A104	5003	144846	SH		DEFINED	2	144846	0	0
ATLAS ENERGY LP	COM UNITS LP	04930A104	4352	126000	SH	PUT	DEFINED	2	0	0	0
ATLAS ENERGY LP	COM UNITS LP	04930A104	2739	79300	SH	CALL	DEFINED	2	0	0	0
ATLAS PIPELINE PARTNERS LP	UNIT L P INT	049392103	436	12785	SH		DEFINED	3	12785	0	0
ATLAS PIPELINE PARTNERS LP	UNIT L P INT	049392103	8365	245300	SH	PUT	DEFINED	2	0	0	0
ATLAS PIPELINE PARTNERS LP	UNIT L P INT	049392103	317	9300	SH	PUT	DEFINED	1	0	0	0
ATLAS PIPELINE PARTNERS LP	UNIT L P INT	049392103	737	21600	SH	CALL	DEFINED	1	0	0	0
ATLAS PIPELINE PARTNERS LP	UNIT L P INT	049392103	16515	484300	SH	CALL	DEFINED	2	0	0	0
ATLAS RESOURCE PARTNERS LP	COM UNT LTD PR	04941A101	330	12946	SH		DEFINED	2	12946	0	0
ATMEL CORP	COM	049513104	226	42991	SH		DEFINED	3	42991	0	0
ATMEL CORP	COM	049513104	93	17593	SH		DEFINED	1	17593	0	0
ATMEL CORP	COM	049513104	1106	210325	SH		DEFINED	2	210325	0	0
ATMEL CORP	COM	049513104	533	101300	SH	PUT	DEFINED	2	0	0	0
ATMEL CORP	COM	049513104	286	54300	SH	CALL	DEFINED	2	0	0	0
ATRION CORP	COM	049904105	251	1135	SH		DEFINED	3	1135	0	0
ATWOOD OCEANICS INC	COM	050095108	795	17500	SH		DEFINED	9	17500	0	0
ATWOOD OCEANICS INC	COM	050095108	259	5700	SH	PUT	DEFINED	1	0	0	0
ATWOOD OCEANICS INC	COM	050095108	645	14200	SH	PUT	DEFINED	2	0	0	0
ATWOOD OCEANICS INC	COM	050095108	2045	45000	SH	CALL	DEFINED	2	0	0	0
ATWOOD OCEANICS INC	COM	050095108	704	15500	SH	CALL	DEFINED	1	0	0	0
AU OPTRONICS CORP	SPONSORED ADR	002255107	45	12805	SH		DEFINED	2	12805	0	0
AU OPTRONICS CORP	SPONSORED ADR	002255107	42	12200	SH	CALL	DEFINED	2	0	0	0
AUGUSTA RES CORP	COM NEW	050912203	40	14700	SH	PUT	DEFINED	2	0	0	0
AURICO GOLD INC	COM	05155C105	1048	150107	SH		DEFINED	2	150107	0	0
AURICO GOLD INC	COM	05155C105	795	113700	SH	PUT	DEFINED	2	0	0	0
AURICO GOLD INC	COM	05155C105	2339	334600	SH	CALL	DEFINED	2	0	0	0
AURIZON MINES LTD	COM	05155P106	257	48775	SH		DEFINED	2	48775	0	0
AURIZON MINES LTD	COM	05155P106	72	13600	SH	PUT	DEFINED	2	0	0	0
AUTHENTEC INC	COM	052660107	179	22300	SH	PUT	DEFINED	2	0	0	0
AUTHENTEC INC	COM	052660107	1358	169500	SH	CALL	DEFINED	2	0	0	0
AUTODESK INC	COM	052769106	5589	167471	SH		DEFINED	2	167471	0	0
AUTODESK INC	COM	052769106	12811	383900	SH	PUT	DEFINED	2	0	0	0
AUTODESK INC	COM	052769106	1155	34600	SH	PUT	DEFINED	1	0	0	0
AUTODESK INC	COM	052769106	9964	298600	SH	CALL	DEFINED	2	0	0	0
AUTODESK INC	COM	052769106	1085	32500	SH	CALL	DEFINED	1	0	0	0
AUTOLIV INC	COM	052800109	4227	68205	SH		DEFINED	3	68205	0	0
AUTOLIV INC	COM	052800109	1797	29000	SH		DEFINED	9	29000	0	0
AUTOLIV INC	COM	052800109	899	14504	SH		DEFINED	2	14504	0	0
AUTOLIV INC	COM	052800109	2479	40000	SH	PUT	DEFINED	2	0	0	0
AUTOLIV INC	COM	052800109	266	4300	SH	PUT	DEFINED	1	0	0	0
AUTOLIV INC	COM	052800109	973	15700	SH	CALL	DEFINED	2	0	0	0
AUTOMATIC DATA PROCESSING IN	COM	053015103	241	4104	SH		DEFINED	3	4104	0	0
AUTOMATIC DATA PROCESSING IN	COM	053015103	14564	248278	SH		DEFINED	2	248278	0	0
AUTOMATIC DATA PROCESSING IN	COM	053015103	9245	157600	SH	PUT	DEFINED	2	0	0	0
AUTOMATIC DATA PROCESSING IN	COM	053015103	205	3500	SH	PUT	DEFINED	1	0	0	0
AUTOMATIC DATA PROCESSING IN	COM	053015103	7831	133500	SH	CALL	DEFINED	2	0	0	0
AUTONATION INC	COM	05329W102	2027	46407	SH		DEFINED	3	46407	0	0
AUTONATION INC	COM	05329W102	5040	115400	SH		DEFINED	9	115400	0	0
AUTONATION INC	COM	05329W102	2619	59974	SH		DEFINED	2	59974	0	0
AUTONATION INC	COM	05329W102	5358	122700	SH	PUT	DEFINED	2	0	0	0
AUTONATION INC	COM	05329W102	4467	102300	SH	CALL	DEFINED	2	0	0	0
AUTOZONE INC	COM	053332102	1136	3074	SH		DEFINED	1	3074	0	0
AUTOZONE INC	COM	053332102	9813	26546	SH		DEFINED	2	26546	0	0
AUTOZONE INC	COM	053332102	164947	446200	SH	PUT	DEFINED	2	0	0	0
AUTOZONE INC	COM	053332102	3068	8300	SH	PUT	DEFINED	3	0	0	0
AUTOZONE INC	COM	053332102	42993	116300	SH	PUT	DEFINED	1	0	0	0
AUTOZONE INC	COM	053332102	54305	146900	SH	CALL	DEFINED	2	0	0	0
AUTOZONE INC	COM	053332102	3512	9500	SH	CALL	DEFINED	3	0	0	0
AUTOZONE INC	COM	053332102	44213	119600	SH	CALL	DEFINED	1	0	0	0
AUXILIUM PHARMACEUTICALS INC	COM	05334D107	636	26000	SH		DEFINED	3	26000	0	0
AUXILIUM PHARMACEUTICALS INC	COM	05334D107	494	20186	SH		DEFINED	2	20186	0	0
AUXILIUM PHARMACEUTICALS INC	COM	05334D107	294	12000	SH	PUT	DEFINED	2	0	0	0
AUXILIUM PHARMACEUTICALS INC	COM	05334D107	2395	97900	SH	CALL	DEFINED	2	0	0	0
AVAGO TECHNOLOGIES LTD	SHS	Y0486S104	396	11372	SH		DEFINED	3	11372	0	0
AVAGO TECHNOLOGIES LTD	SHS	Y0486S104	5147	147626	SH		DEFINED	2	147626	0	0
AVAGO TECHNOLOGIES LTD	SHS	Y0486S104	1454	41700	SH	PUT	DEFINED	2	0	0	0
AVAGO TECHNOLOGIES LTD	SHS	Y0486S104	1084	31100	SH	CALL	DEFINED	2	0	0	0
AVAGO TECHNOLOGIES LTD	SHS	Y0486S104	812	23300	SH	CALL	DEFINED	1	0	0	0
AVALON RARE METALS INC	COM	053470100	63	32343	SH		DEFINED	2	32343	0	0
AVALON RARE METALS INC	COM	053470100	171	87500	SH	PUT	DEFINED	2	0	0	0
AVALON RARE METALS INC	COM	053470100	268	137600	SH	CALL	DEFINED	2	0	0	0
AVALONBAY CMNTYS INC	COM	053484101	1388	10208	SH		DEFINED	3	10208	0	0
AVALONBAY CMNTYS INC	COM	053484101	3840	28236	SH		DEFINED	2	28236	0	0
AVALONBAY CMNTYS INC	COM	053484101	1115	8200	SH	PUT	DEFINED	1	0	0	0
AVALONBAY CMNTYS INC	COM	053484101	12892	94800	SH	PUT	DEFINED	2	0	0	0
AVALONBAY CMNTYS INC	COM	053484101	24383	179300	SH	CALL	DEFINED	2	0	0	0
AVALONBAY CMNTYS INC	COM	053484101	8037	59100	SH	CALL	DEFINED	1	0	0	0
AVANIR PHARMACEUTICALS INC	CL A NEW	05348P401	174	54337	SH		DEFINED	3	54337	0	0
AVANIR PHARMACEUTICALS INC	CL A NEW	05348P401	998	311834	SH		DEFINED	2	311834	0	0
AVANIR PHARMACEUTICALS INC	CL A NEW	05348P401	771	241000	SH	PUT	DEFINED	2	0	0	0
AVANIR PHARMACEUTICALS INC	CL A NEW	05348P401	2039	637300	SH	CALL	DEFINED	2	0	0	0
AVEO PHARMACEUTICALS INC	COM	053588109	254	24400	SH	PUT	DEFINED	2	0	0	0
AVEO PHARMACEUTICALS INC	COM	053588109	308	29600	SH	CALL	DEFINED	2	0	0	0
AVERY DENNISON CORP	COM	053611109	1300	40856	SH		DEFINED	2	40856	0	0
AVERY DENNISON CORP	COM	053611109	1136	35700	SH	PUT	DEFINED	2	0	0	0
AVERY DENNISON CORP	COM	053611109	207	6500	SH	CALL	DEFINED	2	0	0	0
AVIAT NETWORKS INC	COM	05366Y102	27	11487	SH		DEFINED	2	11487	0	0
AVID TECHNOLOGY INC	COM	05367P100	231	24399	SH		DEFINED	2	24399	0	0
AVID TECHNOLOGY INC	COM	05367P100	370	39100	SH	PUT	DEFINED	2	0	0	0
AVIS BUDGET GROUP	COM	053774105	161	10500	SH	PUT	DEFINED	1	0	0	0
AVIS BUDGET GROUP	COM	053774105	1481	96300	SH	PUT	DEFINED	2	0	0	0
AVIS BUDGET GROUP	COM	053774105	6384	415100	SH	CALL	DEFINED	2	0	0	0
AVISTA CORP	COM	05379B107	720	27956	SH		DEFINED	2	27956	0	0
AVNET INC	COM	053807103	591	20300	SH		DEFINED	3	20300	0	0
AVNET INC	COM	053807103	349	12000	SH	PUT	DEFINED	1	0	0	0
AVNET INC	COM	053807103	1120	38500	SH	PUT	DEFINED	2	0	0	0
AVNET INC	COM	053807103	515	17700	SH	CALL	DEFINED	2	0	0	0
AVON PRODS INC	COM	054303102	2680	168050	SH		DEFINED	2	168050	0	0
AVON PRODS INC	COM	054303102	358	22447	SH		DEFINED	1	22447	0	0
AVON PRODS INC	COM	054303102	23818	1493300	SH	PUT	DEFINED	2	0	0	0
AVON PRODS INC	COM	054303102	3431	215100	SH	PUT	DEFINED	1	0	0	0
AVON PRODS INC	COM	054303102	22909	1436300	SH	CALL	DEFINED	2	0	0	0
AVON PRODS INC	COM	054303102	7366	461800	SH	CALL	DEFINED	1	0	0	0
AWARE INC MASS	COM	05453N100	158	25000	SH		DEFINED	"5,7"	25000	0	0
AXCELIS TECHNOLOGIES INC	COM	054540109	21	20275	SH		DEFINED	2	20275	0	0
AXIS CAPITAL HOLDINGS INV	SHS	G0692U109	12257	351000	SH		DEFINED	9	351000	0	0
AZZ INC	COM	002474104	262	6900	SH	PUT	DEFINED	2	0	0	0
AZZ INC	COM	002474104	441	11600	SH	CALL	DEFINED	2	0	0	0
B & G FOODS INC NEW	COM	05508R106	1443	47600	SH		DEFINED	9	47600	0	0
B & G FOODS INC NEW	COM	05508R106	1728	57000	SH	PUT	DEFINED	2	0	0	0
B & G FOODS INC NEW	COM	05508R106	2246	74100	SH	CALL	DEFINED	2	0	0	0
B/E AEROSPACE INC	COM	073302101	1027	24400	SH	PUT	DEFINED	2	0	0	0
B/E AEROSPACE INC	COM	073302101	446	10600	SH	PUT	DEFINED	1	0	0	0
B/E AEROSPACE INC	COM	073302101	1810	43000	SH	CALL	DEFINED	2	0	0	0
BABCOCK & WILCOX CO NEW	COM	05615F102	228	8969	SH		DEFINED	2	8969	0	0
BABCOCK & WILCOX CO NEW	COM	05615F102	596	23400	SH	PUT	DEFINED	2	0	0	0
BABCOCK & WILCOX CO NEW	COM	05615F102	1274	50000	SH	CALL	DEFINED	2	0	0	0
BACTERIN INTL HLDGS INC	COM	05644R101	156	100944	SH		DEFINED	3	100944	0	0
BADGER METER INC	COM	056525108	870	23900	SH	CALL	DEFINED	2	0	0	0
BAIDU INC	SPON ADR REP A	056752108	72890	623951	SH		DEFINED	2	623951	0	0
BAIDU INC	SPON ADR REP A	056752108	36361	311253	SH		DEFINED	1	311253	0	0
BAIDU INC	SPON ADR REP A	056752108	224	1916	SH		DEFINED	3	1916	0	0
BAIDU INC	SPON ADR REP A	056752108	186375	1595400	SH	PUT	DEFINED	2	0	0	0
BAIDU INC	SPON ADR REP A	056752108	88865	760700	SH	PUT	DEFINED	1	0	0	0
BAIDU INC	SPON ADR REP A	056752108	170931	1463200	SH	CALL	DEFINED	2	0	0	0
BAIDU INC	SPON ADR REP A	056752108	90360	773500	SH	CALL	DEFINED	1	0	0	0
BAKER HUGHES INC	COM	057224107	1219	26950	SH		DEFINED	1	26950	0	0
BAKER HUGHES INC	COM	057224107	1616	35737	SH		DEFINED	2	35737	0	0
BAKER HUGHES INC	COM	057224107	575	12704	SH		DEFINED	3	12704	0	0
BAKER HUGHES INC	COM	057224107	38554	852400	SH	PUT	DEFINED	2	0	0	0
BAKER HUGHES INC	COM	057224107	3261	72100	SH	PUT	DEFINED	1	0	0	0
BAKER HUGHES INC	COM	057224107	56682	1253200	SH	CALL	DEFINED	2	0	0	0
BAKER HUGHES INC	COM	057224107	3790	83800	SH	CALL	DEFINED	1	0	0	0
BALCHEM CORP	COM	057665200	544	14800	SH	PUT	DEFINED	2	0	0	0
BALCHEM CORP	COM	057665200	1058	28800	SH	CALL	DEFINED	2	0	0	0
BALL CORP	COM	058498106	799	18874	SH		DEFINED	2	18874	0	0
BALL CORP	COM	058498106	8030	189800	SH		DEFINED	9	189800	0	0
BALL CORP	COM	058498106	233	5500	SH	PUT	DEFINED	2	0	0	0
BALL CORP	COM	058498106	4565	107900	SH	CALL	DEFINED	2	0	0	0
BALLARD PWR SYS INC NEW	COM	058586108	88	123016	SH		DEFINED	3	123016	0	0
BALLY TECHNOLOGIES INC	COM	05874B107	3447	69800	SH	PUT	DEFINED	2	0	0	0
BALLY TECHNOLOGIES INC	COM	05874B107	20813	421400	SH	CALL	DEFINED	2	0	0	0
BANCO BILBAO VIZCAYA ARGENTA	SPONSORED ADR	05946K101	1906	245900	SH	PUT	DEFINED	2	0	0	0
BANCO BILBAO VIZCAYA ARGENTA	SPONSORED ADR	05946K101	1183	152700	SH	CALL	DEFINED	2	0	0	0
BANCO BRADESCO S A	SP ADR PFD NEW	059460303	1251	77824	SH		DEFINED	2	77824	0	0
BANCO BRADESCO S A	SP ADR PFD NEW	059460303	6309	392600	SH	PUT	DEFINED	2	0	0	0
BANCO BRADESCO S A	SP ADR PFD NEW	059460303	3606	224400	SH	CALL	DEFINED	2	0	0	0
BANCO DE CHILE	SPONSORED ADR	059520106	613	7355	SH		DEFINED	9	7355	0	0
BANCO SANTANDER BRASIL S A	ADS REP 1 UNIT	05967A107	100	13631	SH		DEFINED	2	13631	0	0
BANCO SANTANDER BRASIL S A	ADS REP 1 UNIT	05967A107	225	30500	SH	PUT	DEFINED	2	0	0	0
BANCO SANTANDER BRASIL S A	ADS REP 1 UNIT	05967A107	79	10700	SH	CALL	DEFINED	2	0	0	0
BANCO SANTANDER CHILE NEW	SP ADR REP COM	05965X109	293	4000	SH	PUT	DEFINED	2	0	0	0
BANCO SANTANDER CHILE NEW	SP ADR REP COM	05965X109	432	5900	SH	CALL	DEFINED	2	0	0	0
BANCO SANTANDER SA	ADR	05964H105	102	13608	SH		DEFINED	3	13608	0	0
BANCO SANTANDER SA	ADR	05964H105	1422	190650	SH		DEFINED	1	190650	0	0
BANCO SANTANDER SA	ADR	05964H105	9389	1258543	SH		DEFINED	2	1258543	0	0
BANCO SANTANDER SA	ADR	05964H105	745	99900	SH	PUT	DEFINED	1	0	0	0
BANCO SANTANDER SA	ADR	05964H105	13733	1840900	SH	PUT	DEFINED	2	0	0	0
BANCO SANTANDER SA	ADR	05964H105	83	11100	SH	PUT	DEFINED	3	0	0	0
BANCO SANTANDER SA	ADR	05964H105	8411	1127500	SH	CALL	DEFINED	2	0	0	0
BANCO SANTANDER SA	ADR	05964H105	416	55800	SH	CALL	DEFINED	1	0	0	0
BANCOLOMBIA S A	SPON ADR PREF	05968L102	1140	19100	SH		DEFINED	9	19100	0	0
BANCORP INC DEL	COM	05969A105	160	15600	SH		DEFINED	9	15600	0	0
BANCORPSOUTH INC	COM	059692103	496	33645	SH		DEFINED	3	33645	0	0
BANCORPSOUTH INC	COM	059692103	200	13600	SH	PUT	DEFINED	2	0	0	0
BANCORPSOUTH INC	COM	059692103	158	10700	SH	CALL	DEFINED	2	0	0	0
BANK HAWAII CORP	COM	062540109	1267	27768	SH		DEFINED	2	27768	0	0
BANK HAWAII CORP	COM	062540109	401	8800	SH	PUT	DEFINED	2	0	0	0
BANK HAWAII CORP	COM	062540109	1615	35400	SH	CALL	DEFINED	2	0	0	0
BANK HAWAII CORP	COM	062540109	762	16700	SH	CALL	DEFINED	1	0	0	0
BANK MONTREAL QUE	COM	063671101	677	11466	SH		DEFINED	2	11466	0	0
BANK MONTREAL QUE	COM	063671101	374	6343	SH		DEFINED	1	6343	0	0
BANK MONTREAL QUE	COM	063671101	803	13600	SH	PUT	DEFINED	1	0	0	0
BANK MONTREAL QUE	COM	063671101	8106	137300	SH	PUT	DEFINED	2	0	0	0
BANK MONTREAL QUE	COM	063671101	862	14600	SH	CALL	DEFINED	1	0	0	0
BANK MONTREAL QUE	COM	063671101	6264	106100	SH	CALL	DEFINED	2	0	0	0
BANK MUTUAL CORP NEW	COM	063750103	72	15807	SH		DEFINED	2	15807	0	0
BANK NOVA SCOTIA HALIFAX	COM	064149107	587	10700	SH	PUT	DEFINED	2	0	0	0
BANK NOVA SCOTIA HALIFAX	COM	064149107	663	12100	SH	PUT	DEFINED	1	0	0	0
BANK NOVA SCOTIA HALIFAX	COM	064149107	702	12800	SH	CALL	DEFINED	1	0	0	0
BANK NOVA SCOTIA HALIFAX	COM	064149107	12488	227800	SH	CALL	DEFINED	2	0	0	0
BANK OF AMERICA CORPORATION	COM	060505104	513632	58169014	SH		DEFINED	2	58169014	0	0
BANK OF AMERICA CORPORATION	COM	060505104	16304	1846458	SH		DEFINED	1	1846458	0	0
BANK OF AMERICA CORPORATION	COM	060505104	5740	650104	SH		DEFINED	3	650104	0	0
BANK OF AMERICA CORPORATION	COM	060505104	516091	58447400	SH	PUT	DEFINED	2	0	0	0
BANK OF AMERICA CORPORATION	COM	060505104	15641	1771400	SH	PUT	DEFINED	1	0	0	0
BANK OF AMERICA CORPORATION	COM	060505104	583	66000	SH	PUT	DEFINED	3	0	0	0
BANK OF AMERICA CORPORATION	COM	060505104	20034	2268900	SH	CALL	DEFINED	1	0	0	0
BANK OF AMERICA CORPORATION	COM	060505104	197434	22359400	SH	CALL	DEFINED	2	0	0	0
BANK OF AMERICA CORPORATION	*W EXP 10/28/201	060505153	61	85853	SH		DEFINED	3	85853	0	0
BANK OF AMERICA CORPORATION	7.25%CNV PFD L	060505682	463	425	SH		DEFINED	3	425	0	0
BANK OF MARIN BANCORP	COM	063425102	354	8325	SH		DEFINED	3	8325	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	1279	56546	SH		DEFINED	3	56546	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	2268	100281	SH		DEFINED	1	100281	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	2408	106463	SH		DEFINED	2	106463	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	10846	479500	SH	PUT	DEFINED	2	0	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	1617	71500	SH	PUT	DEFINED	1	0	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	640	28300	SH	CALL	DEFINED	1	0	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	31657	1399500	SH	CALL	DEFINED	2	0	0	0
BANK OF NEW YORK MELLON CORP	COM	064058100	778	34400	SH	CALL	DEFINED	3	0	0	0
BANK OF THE OZARKS INC	COM	063904106	287	8318	SH		DEFINED	3	8318	0	0
BANKRATE INC DEL	COM	06647F102	257	16467	SH		DEFINED	2	16467	0	0
BANKRATE INC DEL	COM	06647F102	321	20600	SH	PUT	DEFINED	2	0	0	0
BANKUNITED INC	COM	06652K103	202	8200	SH	PUT	DEFINED	2	0	0	0
BANNER CORP	COM NEW	06652V208	238	8800	SH	CALL	DEFINED	2	0	0	0
BANRO CORP	COM	066800103	100	21445	SH		DEFINED	2	21445	0	0
BARCLAYS BANK PLC	IPTH JPY/USD ETN	06739G851	1988	26513	SH		DEFINED	3	26513	0	0
BARCLAYS BANK PLC	ETN DJUBS TIN 38	06739H198	1065	21386	SH		DEFINED	3	21386	0	0
BARCLAYS BANK PLC	ETN DJUBSPLATM38	06739H255	314	8301	SH		DEFINED	3	8301	0	0
BARCLAYS BANK PLC	ETN DJUBSLEAD 38	06739H263	395	7107	SH		DEFINED	3	7107	0	0
BARCLAYS BANK PLC	ETN DJUBS GRNS37	06739H305	2951	49053	SH		DEFINED	3	49053	0	0
BARCLAYS BANK PLC	ETN DJUBS ENRG37	06739H750	515	28704	SH		DEFINED	3	28704	0	0
BARCLAYS BK PLC	DJUBS CMDT ETN36	06738C778	677	15309	SH		DEFINED	3	15309	0	0
BARCLAYS BK PLC	IPSP CROIL ETN	06738C786	845	37862	SH		DEFINED	3	37862	0	0
BARCLAYS BK PLC	IPSP CROIL ETN	06738C786	4317	193500	SH	PUT	DEFINED	2	0	0	0
BARCLAYS BK PLC	IPSP CROIL ETN	06738C786	1823	81700	SH	PUT	DEFINED	1	0	0	0
BARCLAYS BK PLC	IPSP CROIL ETN	06738C786	1506	67500	SH	CALL	DEFINED	1	0	0	0
BARCLAYS BK PLC	IPSP CROIL ETN	06738C786	3648	163500	SH	CALL	DEFINED	2	0	0	0
BARCLAYS BK PLC	IPSPGS TTL ETN	06738C794	908	26384	SH		DEFINED	3	26384	0	0
BARCLAYS BK PLC	IPATH GEMS ASIA8	06738G878	629	13116	SH		DEFINED	3	13116	0	0
BARCLAYS BK PLC	ETN DJUBS COPR37	06739F101	1752	36824	SH		DEFINED	3	36824	0	0
BARCLAYS BK PLC	ETN CBOE SPBUY	06739F135	259	4795	SH		DEFINED	3	4795	0	0
BARCLAYS BK PLC	ETN CBOE SPBUY	06739F135	459	8499	SH		DEFINED	2	8499	0	0
BARCLAYS BK PLC	IP GBP/USD ETN	06739F176	876	20292	SH		DEFINED	3	20292	0	0
BARCLAYS BK PLC	IP EUR/USD ETN	06739F184	604	12222	SH		DEFINED	3	12222	0	0
BARCLAYS BK PLC	IPMS INDIA ETN	06739F291	645	10986	SH		DEFINED	2	10986	0	0
BARCLAYS BK PLC	IPTH S^P VIX NEW	06740C261	2283	253413	SH		DEFINED	3	253413	0	0
BARCLAYS BK PLC	IPTH S^P VIX NEW	06740C261	3431	380837	SH		DEFINED	2	380837	0	0
BARCLAYS BK PLC	IPTH S^P VIX NEW	06740C261	6662	739400	SH	PUT	DEFINED	1	0	0	0
BARCLAYS BK PLC	IPTH S^P VIX NEW	06740C261	49965	5545500	SH	PUT	DEFINED	2	0	0	0
BARCLAYS BK PLC	IPTH S^P VIX NEW	06740C261	18300	2031100	SH	CALL	DEFINED	1	0	0	0
BARCLAYS BK PLC	IPTH S^P VIX NEW	06740C261	40204	4462200	SH	CALL	DEFINED	2	0	0	0
BARCLAYS BK PLC	S^P 500 VEQTOR	06740C337	443	3391	SH		DEFINED	3	3391	0	0
BARCLAYS BK PLC	IPATH S^P MT ETN	06740C519	2498	73766	SH		DEFINED	2	73766	0	0
BARCLAYS BK PLC	IPATH S^P MT ETN	06740C519	1865	55073	SH		DEFINED	3	55073	0	0
BARCLAYS BK PLC	IPATH S^P MT ETN	06740C519	230	6800	SH	PUT	DEFINED	2	0	0	0
BARCLAYS BK PLC	IPATH S^P MT ETN	06740C519	207	6100	SH	CALL	DEFINED	2	0	0	0
BARCLAYS BK PLC	30 YR TREAS BEAR	06740L444	217	7795	SH		DEFINED	3	7795	0	0
BARCLAYS BK PLC	US TRES STEEP	06740L477	275	7885	SH		DEFINED	3	7885	0	0
BARCLAYS BK PLC	US TRES FLATT	06740L485	1234	19524	SH		DEFINED	3	19524	0	0
BARCLAYS BK PLC	10 YR TREAS BULL	06740L493	252	3479	SH		DEFINED	3	3479	0	0
BARCLAYS BK PLC	30 YR TREAS BULL	06740L527	275	3900	SH		DEFINED	3	3900	0	0
BARCLAYS BK PLC	IPATH INVS^P STF	06740L592	591	15667	SH		DEFINED	2	15667	0	0
BARCLAYS BK PLC	IPTH CRUDE OIL	06740P221	257	6509	SH		DEFINED	3	6509	0	0
BARCLAYS BK PLC	IPTH ENRGY ETN	06740P312	250	6067	SH		DEFINED	3	6067	0	0
BARCLAYS BK PLC	S^P 500 VIX MI	06741K106	285	22897	SH		DEFINED	2	22897	0	0
BARCLAYS BK PLC	IPATH LN ENHAN	06741K486	642	18093	SH		DEFINED	2	18093	0	0
BARCLAYS BK PLC	IPATH DYNM VIX	06741L609	1937	36705	SH		DEFINED	3	36705	0	0
BARCLAYS PLC	ADR	06738E204	4074	293711	SH		DEFINED	2	293711	0	0
BARCLAYS PLC	ADR	06738E204	11465	826600	SH	PUT	DEFINED	2	0	0	0
BARCLAYS PLC	ADR	06738E204	1003	72300	SH	PUT	DEFINED	1	0	0	0
BARCLAYS PLC	ADR	06738E204	5065	365200	SH	CALL	DEFINED	2	0	0	0
BARCLAYS PLC	ADR	06738E204	1571	113300	SH	CALL	DEFINED	1	0	0	0
BARD C R INC	COM	067383109	487	4652	SH		DEFINED	3	4652	0	0
BARD C R INC	COM	067383109	612	5846	SH		DEFINED	2	5846	0	0
BARD C R INC	COM	067383109	3160	30200	SH	PUT	DEFINED	2	0	0	0
BARD C R INC	COM	067383109	241	2300	SH	CALL	DEFINED	1	0	0	0
BARD C R INC	COM	067383109	5065	48400	SH	CALL	DEFINED	2	0	0	0
BARNES & NOBLE INC	COM	067774109	1823	142674	SH		DEFINED	2	142674	0	0
BARNES & NOBLE INC	COM	067774109	1466	114700	SH		DEFINED	9	114700	0	0
BARNES & NOBLE INC	COM	067774109	670	52400	SH	PUT	DEFINED	1	0	0	0
BARNES & NOBLE INC	COM	067774109	10085	789100	SH	PUT	DEFINED	2	0	0	0
BARNES & NOBLE INC	COM	067774109	3865	302400	SH	CALL	DEFINED	2	0	0	0
BARNES GROUP INC	COM	067806109	313	12500	SH	CALL	DEFINED	2	0	0	0
BARRETT BILL CORP	COM	06846N104	309	12493	SH		DEFINED	2	12493	0	0
BARRETT BILL CORP	COM	06846N104	1486	60000	SH	PUT	DEFINED	2	0	0	0
BARRETT BILL CORP	COM	06846N104	2336	94300	SH	CALL	DEFINED	2	0	0	0
BARRICK GOLD CORP	COM	067901108	99661	2386507	SH		DEFINED	2	2386507	0	0
BARRICK GOLD CORP	COM	067901108	3031	72586	SH		DEFINED	3	72586	0	0
BARRICK GOLD CORP	COM	067901108	544	13030	SH		DEFINED	1	13030	0	0
BARRICK GOLD CORP	COM	067901108	116773	2796300	SH	PUT	DEFINED	2	0	0	0
BARRICK GOLD CORP	COM	067901108	9972	238800	SH	PUT	DEFINED	1	0	0	0
BARRICK GOLD CORP	COM	067901108	585	14000	SH	PUT	DEFINED	3	0	0	0
BARRICK GOLD CORP	COM	067901108	806	19300	SH	CALL	DEFINED	3	0	0	0
BARRICK GOLD CORP	COM	067901108	120290	2880500	SH	CALL	DEFINED	2	0	0	0
BARRICK GOLD CORP	COM	067901108	18742	448800	SH	CALL	DEFINED	1	0	0	0
BASIC ENERGY SVCS INC NEW	COM	06985P100	134	11943	SH		DEFINED	3	11943	0	0
BASIC ENERGY SVCS INC NEW	COM	06985P100	232	20700	SH	PUT	DEFINED	1	0	0	0
BASIC ENERGY SVCS INC NEW	COM	06985P100	1434	127800	SH	PUT	DEFINED	2	0	0	0
BASIC ENERGY SVCS INC NEW	COM	06985P100	2299	204900	SH	CALL	DEFINED	2	0	0	0
BAXTER INTL INC	COM	071813109	4071	67560	SH		DEFINED	2	67560	0	0
BAXTER INTL INC	COM	071813109	1698	28179	SH		DEFINED	1	28179	0	0
BAXTER INTL INC	COM	071813109	4074	67600	SH	PUT	DEFINED	1	0	0	0
BAXTER INTL INC	COM	071813109	3326	55200	SH	PUT	DEFINED	3	0	0	0
BAXTER INTL INC	COM	071813109	21163	351200	SH	PUT	DEFINED	2	0	0	0
BAXTER INTL INC	COM	071813109	11998	199100	SH	CALL	DEFINED	2	0	0	0
BAXTER INTL INC	COM	071813109	2133	35400	SH	CALL	DEFINED	1	0	0	0
BAXTER INTL INC	COM	071813109	3893	64600	SH	CALL	DEFINED	3	0	0	0
BAYTEX ENERGY CORP	COM	07317Q105	745	15700	SH	PUT	DEFINED	2	0	0	0
BAYTEX ENERGY CORP	COM	07317Q105	802	16900	SH	CALL	DEFINED	2	0	0	0
BAZAARVOICE INC	COM	073271108	174	11500	SH	CALL	DEFINED	2	0	0	0
BB^T CORP	COM	054937107	1224	36901	SH		DEFINED	3	36901	0	0
BB^T CORP	COM	054937107	21219	639901	SH		DEFINED	9	639901	0	0
BB^T CORP	COM	054937107	535	16143	SH		DEFINED	1	16143	0	0
BB^T CORP	COM	054937107	4031	121551	SH		DEFINED	2	121551	0	0
BB^T CORP	COM	054937107	3114	93900	SH	PUT	DEFINED	1	0	0	0
BB^T CORP	COM	054937107	8787	265000	SH	PUT	DEFINED	2	0	0	0
BB^T CORP	COM	054937107	5183	156300	SH	CALL	DEFINED	1	0	0	0
BB^T CORP	COM	054937107	58706	1770400	SH	CALL	DEFINED	2	0	0	0
BCE INC	COM NEW	05534B760	1120	25500	SH		DEFINED	9	25500	0	0
BCE INC	COM NEW	05534B760	3164	72000	SH	PUT	DEFINED	2	0	0	0
BCE INC	COM NEW	05534B760	707	16100	SH	PUT	DEFINED	1	0	0	0
BCE INC	COM NEW	05534B760	492	11200	SH	CALL	DEFINED	1	0	0	0
BCE INC	COM NEW	05534B760	5071	115400	SH	CALL	DEFINED	2	0	0	0
BEACON ROOFING SUPPLY INC	COM	073685109	1340	47000	SH	PUT	DEFINED	2	0	0	0
BEACON ROOFING SUPPLY INC	COM	073685109	1094	38400	SH	CALL	DEFINED	2	0	0	0
BEAM INC	COM	073730103	1497	26016	SH		DEFINED	2	26016	0	0
BEAM INC	COM	073730103	4085	71000	SH	PUT	DEFINED	2	0	0	0
BEAM INC	COM	073730103	380	6600	SH	CALL	DEFINED	1	0	0	0
BEAM INC	COM	073730103	8395	145900	SH	CALL	DEFINED	2	0	0	0
BEAZER HOMES USA INC	COM	07556Q105	166	46742	SH		DEFINED	1	46742	0	0
BEAZER HOMES USA INC	COM	07556Q105	1221	344000	SH		DEFINED	2	344000	0	0
BEAZER HOMES USA INC	COM	07556Q105	1569	442100	SH	PUT	DEFINED	2	0	0	0
BEAZER HOMES USA INC	COM	07556Q105	248	69900	SH	PUT	DEFINED	1	0	0	0
BEAZER HOMES USA INC	COM	07556Q105	444	125000	SH	CALL	DEFINED	2	0	0	0
BEAZER HOMES USA INC	UNIT 99/99/9999	07556Q709	1506	50000	SH		DEFINED	"5,7"	50000	0	0
BEBE STORES INC	COM	075571109	91	18900	SH	PUT	DEFINED	2	0	0	0
BEBE STORES INC	COM	075571109	54	11200	SH	CALL	DEFINED	2	0	0	0
BECTON DICKINSON & CO	COM	075887109	1091	13889	SH		DEFINED	2	13889	0	0
BECTON DICKINSON & CO	COM	075887109	723	9200	SH	PUT	DEFINED	1	0	0	0
BECTON DICKINSON & CO	COM	075887109	6882	87600	SH	PUT	DEFINED	2	0	0	0
BECTON DICKINSON & CO	COM	075887109	2828	36000	SH	CALL	DEFINED	1	0	0	0
BECTON DICKINSON & CO	COM	075887109	13638	173600	SH	CALL	DEFINED	2	0	0	0
BED BATH & BEYOND INC	COM	075896100	20931	332238	SH		DEFINED	2	332238	0	0
BED BATH & BEYOND INC	COM	075896100	5496	87238	SH		DEFINED	1	87238	0	0
BED BATH & BEYOND INC	COM	075896100	22806	362000	SH	PUT	DEFINED	1	0	0	0
BED BATH & BEYOND INC	COM	075896100	57154	907200	SH	PUT	DEFINED	2	0	0	0
BED BATH & BEYOND INC	COM	075896100	25484	404500	SH	CALL	DEFINED	2	0	0	0
BED BATH & BEYOND INC	COM	075896100	10571	167800	SH	CALL	DEFINED	1	0	0	0
BELDEN INC	COM	077454106	542	14700	SH	CALL	DEFINED	2	0	0	0
BEMIS INC	COM	081437105	1953	62050	SH		DEFINED	9	62050	0	0
BEMIS INC	COM	081437105	289	9196	SH		DEFINED	2	9196	0	0
BEMIS INC	COM	081437105	308	9800	SH	PUT	DEFINED	2	0	0	0
BEMIS INC	COM	081437105	544	17300	SH	CALL	DEFINED	2	0	0	0
BENCHMARK ELECTRS INC	COM	08160H101	236	15444	SH		DEFINED	3	15444	0	0
BENCHMARK ELECTRS INC	COM	08160H101	211	13800	SH	CALL	DEFINED	2	0	0	0
BERKLEY W R CORP	COM	084423102	248	6617	SH		DEFINED	2	6617	0	0
BERKLEY W R CORP	COM	084423102	311	8300	SH	PUT	DEFINED	2	0	0	0
BERKSHIRE HATHAWAY INC DEL	CL B NEW	084670702	9891	112140	SH		DEFINED	3	112140	0	0
BERKSHIRE HATHAWAY INC DEL	CL B NEW	084670702	166056	1882725	SH		DEFINED	2	1882725	0	0
BERKSHIRE HATHAWAY INC DEL	CL B NEW	084670702	227106	2574900	SH	PUT	DEFINED	2	0	0	0
BERKSHIRE HATHAWAY INC DEL	CL B NEW	084670702	19607	222300	SH	PUT	DEFINED	1	0	0	0
BERKSHIRE HATHAWAY INC DEL	CL B NEW	084670702	42900	486400	SH	CALL	DEFINED	1	0	0	0
BERKSHIRE HATHAWAY INC DEL	CL B NEW	084670702	194781	2208400	SH	CALL	DEFINED	2	0	0	0
BERRY PETE CO	CL A	085789105	1284	31600	SH	PUT	DEFINED	2	0	0	0
BERRY PETE CO	CL A	085789105	8935	219900	SH	CALL	DEFINED	2	0	0	0
BEST BUY INC	COM	086516101	27631	1607393	SH		DEFINED	2	1607393	0	0
BEST BUY INC	COM	086516101	4745	276050	SH		DEFINED	1	276050	0	0
BEST BUY INC	COM	086516101	1637	95211	SH		DEFINED	3	95211	0	0
BEST BUY INC	COM	086516101	1196	69600	SH	PUT	DEFINED	3	0	0	0
BEST BUY INC	COM	086516101	50019	2909800	SH	PUT	DEFINED	2	0	0	0
BEST BUY INC	COM	086516101	14416	838600	SH	PUT	DEFINED	1	0	0	0
BEST BUY INC	COM	086516101	10572	615000	SH	CALL	DEFINED	1	0	0	0
BEST BUY INC	COM	086516101	37081	2157100	SH	CALL	DEFINED	2	0	0	0
BG MEDICINE INC	COM	08861T107	39	10621	SH		DEFINED	2	10621	0	0
BGC PARTNERS INC	CL A	05541T101	67	13686	SH		DEFINED	1	13686	0	0
BGC PARTNERS INC	CL A	05541T101	434	88475	SH		DEFINED	2	88475	0	0
BGC PARTNERS INC	CL A	05541T101	72	14594	SH		DEFINED	3	14594	0	0
BGC PARTNERS INC	CL A	05541T101	456	93100	SH	PUT	DEFINED	2	0	0	0
BGC PARTNERS INC	CL A	05541T101	49	10100	SH	PUT	DEFINED	1	0	0	0
BGC PARTNERS INC	CL A	05541T101	183	37300	SH	CALL	DEFINED	2	0	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	6406	93362	SH		DEFINED	3	93362	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	231	3370	SH		DEFINED	1	3370	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	3580	52174	SH		DEFINED	2	52174	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	69276	1009700	SH	PUT	DEFINED	2	0	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	5057	73700	SH	PUT	DEFINED	1	0	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	28260	411900	SH	CALL	DEFINED	2	0	0	0
BHP BILLITON LTD	SPONSORED ADR	088606108	5530	80600	SH	CALL	DEFINED	1	0	0	0
BHP BILLITON PLC	SPONSORED ADR	05545E209	2767	44300	SH	PUT	DEFINED	2	0	0	0
BHP BILLITON PLC	SPONSORED ADR	05545E209	981	15700	SH	CALL	DEFINED	2	0	0	0
BIDZ COM INC	COM	08883T200	37	48285	SH		DEFINED	2	48285	0	0
BIG LOTS INC	COM	089302103	555	18751	SH		DEFINED	1	18751	0	0
BIG LOTS INC	COM	089302103	585	19775	SH		DEFINED	2	19775	0	0
BIG LOTS INC	COM	089302103	4286	144900	SH	PUT	DEFINED	2	0	0	0
BIG LOTS INC	COM	089302103	2689	90900	SH	PUT	DEFINED	1	0	0	0
BIG LOTS INC	COM	089302103	3402	115000	SH	CALL	DEFINED	2	0	0	0
BIG LOTS INC	COM	089302103	630	21300	SH	CALL	DEFINED	1	0	0	0
BIGLARI HLDGS INC	COM	08986R101	2866	7850	SH		DEFINED	3	7850	0	0
BIO RAD LABS INC	CL A	090572207	494	4629	SH		DEFINED	2	4629	0	0
BIO RAD LABS INC	CL A	090572207	1505	14100	SH	PUT	DEFINED	2	0	0	0
BIO RAD LABS INC	CL A	090572207	1558	14600	SH	CALL	DEFINED	2	0	0	0
BIO-REFERENCE LABS INC	COM $.01 NEW	09057G602	486	17000	SH		DEFINED	9	17000	0	0
BIO-REFERENCE LABS INC	COM $.01 NEW	09057G602	286	10000	SH	PUT	DEFINED	2	0	0	0
BIO-REFERENCE LABS INC	COM $.01 NEW	09057G602	686	24000	SH	CALL	DEFINED	2	0	0	0
BIOCRYST PHARMACEUTICALS	COM	09058V103	201	47302	SH		DEFINED	2	47302	0	0
BIOCRYST PHARMACEUTICALS	COM	09058V103	151	35600	SH	PUT	DEFINED	2	0	0	0
BIOCRYST PHARMACEUTICALS	COM	09058V103	393	92800	SH	CALL	DEFINED	2	0	0	0
BIODEL INC	COM NEW	09064M204	51	17104	SH		DEFINED	2	17104	0	0
BIODEL INC	COM NEW	09064M204	152	51300	SH	PUT	DEFINED	2	0	0	0
BIODELIVERY SCIENCES INTL IN	COM	09060J106	171	27063	SH		DEFINED	2	27063	0	0
BIODELIVERY SCIENCES INTL IN	COM	09060J106	134	21250	SH		DEFINED	3	21250	0	0
BIODELIVERY SCIENCES INTL IN	COM	09060J106	290	45900	SH	CALL	DEFINED	2	0	0	0
BIOGEN IDEC INC	COM	09062X103	18121	121427	SH		DEFINED	2	121427	0	0
BIOGEN IDEC INC	COM	09062X103	4193	28100	SH		DEFINED	9	28100	0	0
BIOGEN IDEC INC	COM	09062X103	478	3200	SH	PUT	DEFINED	3	0	0	0
BIOGEN IDEC INC	COM	09062X103	6790	45500	SH	PUT	DEFINED	1	0	0	0
BIOGEN IDEC INC	COM	09062X103	123279	826100	SH	PUT	DEFINED	2	0	0	0
BIOGEN IDEC INC	COM	09062X103	3835	25700	SH	CALL	DEFINED	1	0	0	0
BIOGEN IDEC INC	COM	09062X103	69332	464600	SH	CALL	DEFINED	2	0	0	0
BIOGEN IDEC INC	COM	09062X103	925	6200	SH	CALL	DEFINED	3	0	0	0
BIOLASE INC	COM	090911108	132	77148	SH		DEFINED	3	77148	0	0
BIOLINERX LTD	SPONSORED ADR	09071M106	513	195192	SH		DEFINED	"5,8"	195192	0	0
BIOMARIN PHARMACEUTICAL INC	COM	09061G101	5529	137300	SH		DEFINED	9	137300	0	0
BIOMARIN PHARMACEUTICAL INC	COM	09061G101	258	6400	SH	PUT	DEFINED	1	0	0	0
BIOMARIN PHARMACEUTICAL INC	COM	09061G101	3387	84100	SH	PUT	DEFINED	2	0	0	0
BIOMARIN PHARMACEUTICAL INC	COM	09061G101	1301	32300	SH	CALL	DEFINED	1	0	0	0
BIOMARIN PHARMACEUTICAL INC	COM	09061G101	8912	221300	SH	CALL	DEFINED	2	0	0	0
BIOMED REALTY TRUST INC	COM	09063H107	1078	57593	SH		DEFINED	2	57593	0	0
BIOMED REALTY TRUST INC	COM	09063H107	339	18091	SH		DEFINED	3	18091	0	0
BIOMIMETIC THERAPEUTICS INC	COM	09064X101	86	20900	SH	CALL	DEFINED	2	0	0	0
BIOSANTE PHARMACEUTICALS INC	COM PAR $0.0001	09065V302	406	214573	SH		DEFINED	3	214573	0	0
BIOSANTE PHARMACEUTICALS INC	COM PAR $0.0001	09065V302	316	167200	SH	PUT	DEFINED	2	0	0	0
BIOSANTE PHARMACEUTICALS INC	COM PAR $0.0001	09065V302	1828	967000	SH	CALL	DEFINED	2	0	0	0
BIOSPECIFICS TECHNOLOGIES CO	COM	090931106	200	10306	SH		DEFINED	3	10306	0	0
BIOTIME INC	COM	09066L105	68	16109	SH		DEFINED	2	16109	0	0
BIOTIME INC	COM	09066L105	149	35400	SH	PUT	DEFINED	2	0	0	0
BIOTIME INC	COM	09066L105	47	11200	SH	CALL	DEFINED	2	0	0	0
BJS RESTAURANTS INC	COM	09180C106	3533	77900	SH	PUT	DEFINED	2	0	0	0
BJS RESTAURANTS INC	COM	09180C106	3419	75400	SH	CALL	DEFINED	2	0	0	0
BLACK HILLS CORP	COM	092113109	3922	110251	SH		DEFINED	3	110251	0	0
BLACK HILLS CORP	COM	092113109	1025	28828	SH		DEFINED	2	28828	0	0
BLACK HILLS CORP	COM	092113109	462	13000	SH	PUT	DEFINED	2	0	0	0
BLACK HILLS CORP	COM	092113109	221	6200	SH	CALL	DEFINED	2	0	0	0
BLACKROCK CREDIT ALL IN TR I	COM SHS	09249V103	164	13514	SH		DEFINED	3	13514	0	0
BLACKROCK CREDIT ALL INC TR	COM	09255J101	179	16817	SH		DEFINED	3	16817	0	0
BLACKROCK INC	COM	09247X101	1705	9562	SH		DEFINED	2	9562	0	0
BLACKROCK INC	COM	09247X101	1273	7142	SH		DEFINED	3	7142	0	0
BLACKROCK INC	COM	09247X101	7239	40600	SH	PUT	DEFINED	1	0	0	0
BLACKROCK INC	COM	09247X101	35803	200800	SH	PUT	DEFINED	2	0	0	0
BLACKROCK INC	COM	09247X101	2407	13500	SH	CALL	DEFINED	3	0	0	0
BLACKROCK INC	COM	09247X101	32433	181900	SH	CALL	DEFINED	2	0	0	0
BLACKROCK INC	COM	09247X101	21824	122400	SH	CALL	DEFINED	1	0	0	0
BLACKROCK INTL GRWTH & INC T	COM BENE INTER	092524107	189	25885	SH		DEFINED	3	25885	0	0
BLACKROCK KELSO CAPITAL CORP	COM	092533108	114	11764	SH		DEFINED	2	11764	0	0
BLACKROCK KELSO CAPITAL CORP	COM	092533108	452	46500	SH	PUT	DEFINED	2	0	0	0
BLACKROCK KELSO CAPITAL CORP	COM	092533108	543	55900	SH	CALL	DEFINED	2	0	0	0
BLACKSTONE GROUP L P	COM UNIT LTD	09253U108	921	64490	SH		DEFINED	1	64490	0	0
BLACKSTONE GROUP L P	COM UNIT LTD	09253U108	17824	1248171	SH		DEFINED	2	1248171	0	0
BLACKSTONE GROUP L P	COM UNIT LTD	09253U108	26782	1875500	SH	PUT	DEFINED	2	0	0	0
BLACKSTONE GROUP L P	COM UNIT LTD	09253U108	1187	83100	SH	PUT	DEFINED	1	0	0	0
BLACKSTONE GROUP L P	COM UNIT LTD	09253U108	27686	1938800	SH	CALL	DEFINED	2	0	0	0
BLACKSTONE GROUP L P	COM UNIT LTD	09253U108	2101	147100	SH	CALL	DEFINED	1	0	0	0
BLDRS INDEX FDS TR	ASIA 50 ADR	09348R102	503	21156	SH		DEFINED	2	21156	0	0
BLDRS INDEX FDS TR	DEV MK 100 ADR	09348R201	514	25868	SH		DEFINED	3	25868	0	0
BLDRS INDEX FDS TR	DEV MK 100 ADR	09348R201	735	37026	SH		DEFINED	2	37026	0	0
BLDRS INDEX FDS TR	EUR 100 ADR	09348R409	262	13168	SH		DEFINED	3	13168	0	0
BLDRS INDEX FDS TR	EUR 100 ADR	09348R409	1031	51723	SH		DEFINED	2	51723	0	0
BLOCK H & R INC	COM	093671105	231	13315	SH		DEFINED	1	13315	0	0
BLOCK H & R INC	COM	093671105	340	19615	SH		DEFINED	2	19615	0	0
BLOCK H & R INC	COM	093671105	2392	138000	SH	PUT	DEFINED	1	0	0	0
BLOCK H & R INC	COM	093671105	19451	1122400	SH	PUT	DEFINED	2	0	0	0
BLOCK H & R INC	COM	093671105	773	44600	SH	CALL	DEFINED	1	0	0	0
BLOCK H & R INC	COM	093671105	13602	784900	SH	CALL	DEFINED	2	0	0	0
BLUCORA INC	COM	095229100	659	37029	SH		DEFINED	2	37029	0	0
BLUCORA INC	COM	095229100	214	12000	SH	PUT	DEFINED	2	0	0	0
BLUE NILE INC	COM	09578R103	378	10183	SH		DEFINED	2	10183	0	0
BLUE NILE INC	COM	09578R103	293	7900	SH	PUT	DEFINED	1	0	0	0
BLUE NILE INC	COM	09578R103	3490	94100	SH	PUT	DEFINED	2	0	0	0
BLUE NILE INC	COM	09578R103	1632	44000	SH	CALL	DEFINED	2	0	0	0
BLUE NILE INC	COM	09578R103	282	7600	SH	CALL	DEFINED	1	0	0	0
BLUELINX HLDGS INC	COM	09624H109	77	32939	SH		DEFINED	3	32939	0	0
BMC SOFTWARE INC	COM	055921100	3958	95408	SH		DEFINED	2	95408	0	0
BMC SOFTWARE INC	COM	055921100	1758	42383	SH		DEFINED	3	42383	0	0
BMC SOFTWARE INC	COM	055921100	14804	356800	SH	PUT	DEFINED	2	0	0	0
BMC SOFTWARE INC	COM	055921100	4340	104600	SH	PUT	DEFINED	1	0	0	0
BMC SOFTWARE INC	COM	055921100	9870	237900	SH	CALL	DEFINED	1	0	0	0
BMC SOFTWARE INC	COM	055921100	353	8500	SH	CALL	DEFINED	3	0	0	0
BMC SOFTWARE INC	COM	055921100	13273	319900	SH	CALL	DEFINED	2	0	0	0
BOARDWALK PIPELINE PARTNERS	UT LTD PARTNER	096627104	323	11567	SH		DEFINED	3	11567	0	0
BOARDWALK PIPELINE PARTNERS	UT LTD PARTNER	096627104	485	17400	SH	CALL	DEFINED	2	0	0	0
BOB EVANS FARMS INC	COM	096761101	420	10722	SH		DEFINED	3	10722	0	0
BOB EVANS FARMS INC	COM	096761101	697	17800	SH	PUT	DEFINED	2	0	0	0
BOB EVANS FARMS INC	COM	096761101	1147	29300	SH	CALL	DEFINED	2	0	0	0
BOEING CO	COM	097023105	20559	295308	SH		DEFINED	2	295308	0	0
BOEING CO	COM	097023105	8226	118162	SH		DEFINED	3	118162	0	0
BOEING CO	COM	097023105	10761	154567	SH		DEFINED	1	154567	0	0
BOEING CO	COM	097023105	1281	18400	SH	PUT	DEFINED	3	0	0	0
BOEING CO	COM	097023105	19278	276900	SH	PUT	DEFINED	1	0	0	0
BOEING CO	COM	097023105	62874	903100	SH	PUT	DEFINED	2	0	0	0
BOEING CO	COM	097023105	494	7100	SH	CALL	DEFINED	3	0	0	0
BOEING CO	COM	097023105	14780	212300	SH	CALL	DEFINED	1	0	0	0
BOEING CO	COM	097023105	44111	633600	SH	CALL	DEFINED	2	0	0	0
BOISE INC	COM	09746Y105	391	44600	SH	CALL	DEFINED	2	0	0	0
BOK FINL CORP	COM NEW	05561Q201	296	5000	SH		DEFINED	3	5000	0	0
BOK FINL CORP	COM NEW	05561Q201	686	11600	SH		DEFINED	9	11600	0	0
BOK FINL CORP	COM NEW	05561Q201	449	7600	SH	PUT	DEFINED	2	0	0	0
BON-TON STORES INC	COM	09776J101	322	33900	SH	PUT	DEFINED	2	0	0	0
BON-TON STORES INC	COM	09776J101	118	12400	SH	PUT	DEFINED	1	0	0	0
BON-TON STORES INC	COM	09776J101	331	34800	SH	CALL	DEFINED	2	0	0	0
BONANZA CREEK ENERGY INC	COM	097793103	325	13800	SH	CALL	DEFINED	2	0	0	0
BOOZ ALLEN HAMILTON HLDG COR	CL A	099502106	4194	302851	SH		DEFINED	"5,7"	302851	0	0
BORGWARNER INC	COM	099724106	2597	37580	SH		DEFINED	2	37580	0	0
BORGWARNER INC	COM	099724106	1365	19750	SH		DEFINED	1	19750	0	0
BORGWARNER INC	COM	099724106	6821	98700	SH	PUT	DEFINED	2	0	0	0
BORGWARNER INC	COM	099724106	3538	51200	SH	PUT	DEFINED	1	0	0	0
BORGWARNER INC	COM	099724106	2426	35100	SH	CALL	DEFINED	1	0	0	0
BORGWARNER INC	COM	099724106	5024	72700	SH	CALL	DEFINED	2	0	0	0
BOS BETTER ONLINE SOLUTIONS	SHS	M20115164	5	13390	SH		DEFINED	4	13390	0	0
BOSTON BEER INC	CL A	100557107	1411	12600	SH		DEFINED	9	12600	0	0
BOSTON BEER INC	CL A	100557107	3841	34300	SH	PUT	DEFINED	2	0	0	0
BOSTON BEER INC	CL A	100557107	627	5600	SH	PUT	DEFINED	1	0	0	0
BOSTON BEER INC	CL A	100557107	403	3600	SH	CALL	DEFINED	1	0	0	0
BOSTON BEER INC	CL A	100557107	5990	53500	SH	CALL	DEFINED	2	0	0	0
BOSTON PRIVATE FINL HLDGS IN	COM	101119105	139	14487	SH		DEFINED	3	14487	0	0
BOSTON PROPERTIES INC	COM	101121101	2171	19629	SH		DEFINED	2	19629	0	0
BOSTON PROPERTIES INC	COM	101121101	1244	11250	SH		DEFINED	3	11250	0	0
BOSTON PROPERTIES INC	COM	101121101	730	6600	SH	PUT	DEFINED	1	0	0	0
BOSTON PROPERTIES INC	COM	101121101	2212	20000	SH	PUT	DEFINED	2	0	0	0
BOSTON PROPERTIES INC	COM	101121101	2909	26300	SH	CALL	DEFINED	1	0	0	0
BOSTON PROPERTIES INC	COM	101121101	4977	45000	SH	CALL	DEFINED	2	0	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	64	11146	SH		DEFINED	1	11146	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	1663	289723	SH		DEFINED	2	289723	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	97	16900	SH	PUT	DEFINED	1	0	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	1355	236000	SH	PUT	DEFINED	2	0	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	162	28300	SH	CALL	DEFINED	1	0	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	3641	634400	SH	CALL	DEFINED	2	0	0	0
BOYD GAMING CORP	COM	103304101	273	38689	SH		DEFINED	2	38689	0	0
BOYD GAMING CORP	COM	103304101	834	118100	SH	PUT	DEFINED	2	0	0	0
BOYD GAMING CORP	COM	103304101	780	110500	SH	CALL	DEFINED	2	0	0	0
BP PLC	SPONSORED ADR	055622104	2877	67921	SH		DEFINED	9	67921	0	0
BP PLC	SPONSORED ADR	055622104	302	7138	SH		DEFINED	3	7138	0	0
BP PLC	SPONSORED ADR	055622104	115092	2716993	SH		DEFINED	2	2716993	0	0
BP PLC	SPONSORED ADR	055622104	12997	306825	SH		DEFINED	1	306825	0	0
BP PLC	SPONSORED ADR	055622104	287116	6778000	SH	PUT	DEFINED	2	0	0	0
BP PLC	SPONSORED ADR	055622104	17990	424700	SH	PUT	DEFINED	1	0	0	0
BP PLC	SPONSORED ADR	055622104	18215	430000	SH	CALL	DEFINED	1	0	0	0
BP PLC	SPONSORED ADR	055622104	137691	3250500	SH	CALL	DEFINED	2	0	0	0
BP PRUDHOE BAY RTY TR	UNIT BEN INT	055630107	5679	60515	SH		DEFINED	2	60515	0	0
BP PRUDHOE BAY RTY TR	UNIT BEN INT	055630107	1004	10700	SH	PUT	DEFINED	1	0	0	0
BP PRUDHOE BAY RTY TR	UNIT BEN INT	055630107	16227	172900	SH	PUT	DEFINED	2	0	0	0
BP PRUDHOE BAY RTY TR	UNIT BEN INT	055630107	7527	80200	SH	CALL	DEFINED	2	0	0	0
BP PRUDHOE BAY RTY TR	UNIT BEN INT	055630107	300	3200	SH	CALL	DEFINED	1	0	0	0
BPZ RESOURCES INC	COM	055639108	678	237041	SH		DEFINED	3	237041	0	0
BPZ RESOURCES INC	COM	055639108	62	21524	SH		DEFINED	2	21524	0	0
BPZ RESOURCES INC	COM	055639108	90	31600	SH	PUT	DEFINED	2	0	0	0
BPZ RESOURCES INC	COM	055639108	31	10900	SH	CALL	DEFINED	1	0	0	0
BPZ RESOURCES INC	COM	055639108	138	48400	SH	CALL	DEFINED	2	0	0	0
BRADY CORP	CL A	104674106	5342	182433	SH		DEFINED	3	182433	0	0
BRANDYWINE RLTY TR	SH BEN INT NEW	105368203	1384	113500	SH		DEFINED	9	113500	0	0
BRASKEM S A	SP ADR PFD A	105532105	165	11700	SH	CALL	DEFINED	2	0	0	0
BRE PROPERTIES INC	CL A	05564E106	417	8900	SH	PUT	DEFINED	2	0	0	0
BRE PROPERTIES INC	CL A	05564E106	924	19700	SH	CALL	DEFINED	2	0	0	0
BREITBURN ENERGY PARTNERS LP	COM UT LTD PTN	106776107	1714	88200	SH	PUT	DEFINED	2	0	0	0
BREITBURN ENERGY PARTNERS LP	COM UT LTD PTN	106776107	3694	190100	SH	CALL	DEFINED	2	0	0	0
BRF-BRASIL FOODS S A	SPONSORED ADR	10552T107	310	17900	SH	PUT	DEFINED	2	0	0	0
BRF-BRASIL FOODS S A	SPONSORED ADR	10552T107	678	39200	SH	CALL	DEFINED	2	0	0	0
BRIDGEPOINT ED INC	COM	10807M105	4194	413234	SH		DEFINED	2	413234	0	0
BRIDGEPOINT ED INC	COM	10807M105	5491	541000	SH	PUT	DEFINED	2	0	0	0
BRIDGEPOINT ED INC	COM	10807M105	2006	197600	SH	CALL	DEFINED	2	0	0	0
BRIDGEPOINT ED INC	COM	10807M105	490	48300	SH	CALL	DEFINED	1	0	0	0
BRIGGS & STRATTON CORP	COM	109043109	328	17546	SH		DEFINED	2	17546	0	0
BRIGHTPOINT INC	COM NEW	109473405	103	11454	SH		DEFINED	3	11454	0	0
BRINKER INTL INC	COM	109641100	311	8799	SH		DEFINED	3	8799	0	0
BRINKER INTL INC	COM	109641100	1920	54400	SH	PUT	DEFINED	2	0	0	0
BRINKER INTL INC	COM	109641100	861	24400	SH	CALL	DEFINED	2	0	0	0
BRINKS CO	COM	109696104	236	9200	SH	PUT	DEFINED	2	0	0	0
BRINKS CO	COM	109696104	383	14900	SH	CALL	DEFINED	2	0	0	0
BRISTOL MYERS SQUIBB CO	COM	110122108	3587	106283	SH		DEFINED	1	106283	0	0
BRISTOL MYERS SQUIBB CO	COM	110122108	56741	1681216	SH		DEFINED	2	1681216	0	0
BRISTOL MYERS SQUIBB CO	COM	110122108	71118	2107200	SH	PUT	DEFINED	2	0	0	0
BRISTOL MYERS SQUIBB CO	COM	110122108	6315	187100	SH	PUT	DEFINED	1	0	0	0
BRISTOL MYERS SQUIBB CO	COM	110122108	8809	261000	SH	CALL	DEFINED	1	0	0	0
BRISTOL MYERS SQUIBB CO	COM	110122108	39552	1171900	SH	CALL	DEFINED	2	0	0	0
BRISTOW GROUP INC	COM	110394103	1304	25800	SH	PUT	DEFINED	2	0	0	0
BRISTOW GROUP INC	COM	110394103	612	12100	SH	CALL	DEFINED	2	0	0	0
BRITISH AMERN TOB PLC	SPONSORED ADR	110448107	390	3800	SH	PUT	DEFINED	2	0	0	0
BRITISH AMERN TOB PLC	SPONSORED ADR	110448107	3551	34600	SH	CALL	DEFINED	2	0	0	0
BROADCOM CORP	CL A	111320107	1860	53790	SH		DEFINED	1	53790	0	0
BROADCOM CORP	CL A	111320107	30762	889596	SH		DEFINED	2	889596	0	0
BROADCOM CORP	CL A	111320107	245	7080	SH		DEFINED	3	7080	0	0
BROADCOM CORP	CL A	111320107	46427	1342600	SH	PUT	DEFINED	2	0	0	0
BROADCOM CORP	CL A	111320107	5315	153700	SH	PUT	DEFINED	1	0	0	0
BROADCOM CORP	CL A	111320107	42775	1237000	SH	CALL	DEFINED	2	0	0	0
BROADCOM CORP	CL A	111320107	7272	210300	SH	CALL	DEFINED	1	0	0	0
BROADSOFT INC	COM	11133B409	443	10800	SH	PUT	DEFINED	1	0	0	0
BROADSOFT INC	COM	11133B409	2030	49500	SH	PUT	DEFINED	2	0	0	0
BROADSOFT INC	COM	11133B409	4635	113000	SH	CALL	DEFINED	2	0	0	0
BROADSOFT INC	COM	11133B409	377	9200	SH	CALL	DEFINED	1	0	0	0
BROADWIND ENERGY INC	COM NEW	11161T207	28	12790	SH		DEFINED	3	12790	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	1667	281900	SH		DEFINED	9	281900	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	97	16400	SH		DEFINED	3	16400	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	83	14004	SH		DEFINED	2	14004	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	160	27022	SH		DEFINED	1	27022	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	125	21200	SH	PUT	DEFINED	1	0	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	855	144600	SH	PUT	DEFINED	2	0	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	208	35200	SH	CALL	DEFINED	1	0	0	0
BROCADE COMMUNICATIONS SYS I	COM NEW	111621306	3797	642000	SH	CALL	DEFINED	2	0	0	0
BROOKDALE SR LIVING INC	COM	112463104	277	11913	SH		DEFINED	2	11913	0	0
BROOKDALE SR LIVING INC	COM	112463104	381	16400	SH	PUT	DEFINED	2	0	0	0
BROOKDALE SR LIVING INC	COM	112463104	288	12400	SH	CALL	DEFINED	2	0	0	0
BROOKFIELD ASSET MGMT INC	CL A LTD VT SH	112585104	229	6645	SH		DEFINED	2	6645	0	0
BROOKFIELD ASSET MGMT INC	CL A LTD VT SH	112585104	431	12500	SH	CALL	DEFINED	2	0	0	0
BROOKFIELD INFRAST PARTNERS	LP INT UNIT	G16252101	668	18800	SH	PUT	DEFINED	2	0	0	0
BROOKFIELD INFRAST PARTNERS	LP INT UNIT	G16252101	263	7400	SH	CALL	DEFINED	2	0	0	0
BROOKFIELD OFFICE PPTYS INC	COM	112900105	747	45117	SH		DEFINED	2	45117	0	0
BROOKFIELD OFFICE PPTYS INC	COM	112900105	6767	408617	SH		DEFINED	3	408617	0	0
BROOKFIELD OFFICE PPTYS INC	COM	112900105	258	15600	SH		DEFINED	"5,7"	15600	0	0
BROOKS AUTOMATION INC	COM	114340102	188	23400	SH	PUT	DEFINED	2	0	0	0
BROWN FORMAN CORP	CL B	115637209	567	8692	SH		DEFINED	2	8692	0	0
BROWN FORMAN CORP	CL B	115637209	368	5635	SH		DEFINED	3	5635	0	0
BROWN FORMAN CORP	CL B	115637209	238	3650	SH	PUT	DEFINED	2	0	0	0
BROWN FORMAN CORP	CL B	115637209	496	7600	SH	CALL	DEFINED	2	0	0	0
BROWN SHOE INC NEW	COM	115736100	169	10536	SH		DEFINED	2	10536	0	0
BRUKER CORP	COM	116794108	425	32500	SH	PUT	DEFINED	2	0	0	0
BRUNSWICK CORP	COM	117043109	222	9806	SH		DEFINED	3	9806	0	0
BRUNSWICK CORP	COM	117043109	935	41300	SH	PUT	DEFINED	2	0	0	0
BRUNSWICK CORP	COM	117043109	3290	145400	SH	CALL	DEFINED	2	0	0	0
BRUNSWICK CORP	COM	117043109	362	16000	SH	CALL	DEFINED	1	0	0	0
BSD MED CORP DEL	COM	055662100	18	13400	SH	CALL	DEFINED	2	0	0	0
BUCKEYE PARTNERS L P	UNIT LTD PARTN	118230101	737	15368	SH		DEFINED	2	15368	0	0
BUCKEYE PARTNERS L P	UNIT LTD PARTN	118230101	529	11029	SH		DEFINED	3	11029	0	0
BUCKEYE PARTNERS L P	UNIT LTD PARTN	118230101	225	4700	SH	PUT	DEFINED	1	0	0	0
BUCKEYE PARTNERS L P	UNIT LTD PARTN	118230101	3943	82200	SH	PUT	DEFINED	2	0	0	0
BUCKEYE PARTNERS L P	UNIT LTD PARTN	118230101	2600	54200	SH	CALL	DEFINED	2	0	0	0
BUCKEYE PARTNERS L P	UNIT LTD PARTN	118230101	331	6900	SH	CALL	DEFINED	1	0	0	0
BUCKEYE TECHNOLOGIES INC	COM	118255108	519	16200	SH	PUT	DEFINED	2	0	0	0
BUCKEYE TECHNOLOGIES INC	COM	118255108	1856	57900	SH	CALL	DEFINED	2	0	0	0
BUCKEYE TECHNOLOGIES INC	COM	118255108	644	20100	SH	CALL	DEFINED	1	0	0	0
BUCKLE INC	COM	118440106	1890	41600	SH		DEFINED	"5,7"	41600	0	0
BUCKLE INC	COM	118440106	309	6800	SH	PUT	DEFINED	1	0	0	0
BUCKLE INC	COM	118440106	1872	41200	SH	PUT	DEFINED	2	0	0	0
BUCKLE INC	COM	118440106	422	9300	SH	CALL	DEFINED	1	0	0	0
BUCKLE INC	COM	118440106	1281	28200	SH	CALL	DEFINED	2	0	0	0
BUFFALO WILD WINGS INC	COM	119848109	2945	34350	SH		DEFINED	1	34350	0	0
BUFFALO WILD WINGS INC	COM	119848109	1268	14789	SH		DEFINED	2	14789	0	0
BUFFALO WILD WINGS INC	COM	119848109	3370	39300	SH	PUT	DEFINED	1	0	0	0
BUFFALO WILD WINGS INC	COM	119848109	8488	99000	SH	PUT	DEFINED	2	0	0	0
BUFFALO WILD WINGS INC	COM	119848109	463	5400	SH	CALL	DEFINED	1	0	0	0
BUFFALO WILD WINGS INC	COM	119848109	16728	195100	SH	CALL	DEFINED	2	0	0	0
BUILD A BEAR WORKSHOP	COM	120076104	170	43710	SH		DEFINED	3	43710	0	0
BUNGE LIMITED	COM	G16962105	1494	22279	SH		DEFINED	2	22279	0	0
BUNGE LIMITED	COM	G16962105	2555	38100	SH		DEFINED	9	38100	0	0
BUNGE LIMITED	COM	G16962105	1647	24558	SH		DEFINED	1	24558	0	0
BUNGE LIMITED	COM	G16962105	30179	450100	SH	PUT	DEFINED	2	0	0	0
BUNGE LIMITED	COM	G16962105	3829	57100	SH	PUT	DEFINED	1	0	0	0
BUNGE LIMITED	COM	G16962105	29817	444700	SH	CALL	DEFINED	2	0	0	0
BUNGE LIMITED	COM	G16962105	4814	71800	SH	CALL	DEFINED	1	0	0	0
BURGER KING WORLDWIDE INC	COM	121220107	850	61000	SH	CALL	DEFINED	2	0	0	0
C H ROBINSON WORLDWIDE INC	COM NEW	12541W209	18736	320007	SH		DEFINED	2	320007	0	0
C H ROBINSON WORLDWIDE INC	COM NEW	12541W209	2313	39509	SH		DEFINED	1	39509	0	0
C H ROBINSON WORLDWIDE INC	COM NEW	12541W209	2137	36500	SH	PUT	DEFINED	1	0	0	0
C H ROBINSON WORLDWIDE INC	COM NEW	12541W209	49639	847800	SH	PUT	DEFINED	2	0	0	0
C H ROBINSON WORLDWIDE INC	COM NEW	12541W209	2676	45700	SH	CALL	DEFINED	1	0	0	0
C H ROBINSON WORLDWIDE INC	COM NEW	12541W209	27513	469900	SH	CALL	DEFINED	2	0	0	0
C^J ENERGY SVCS INC	COM	12467B304	1674	84100	SH	PUT	DEFINED	2	0	0	0
C^J ENERGY SVCS INC	COM	12467B304	601	30200	SH	PUT	DEFINED	1	0	0	0
C^J ENERGY SVCS INC	COM	12467B304	285	14300	SH	CALL	DEFINED	1	0	0	0
C^J ENERGY SVCS INC	COM	12467B304	1982	99600	SH	CALL	DEFINED	2	0	0	0
CA INC	COM	12673P105	5987	232355	SH		DEFINED	2	232355	0	0
CA INC	COM	12673P105	3643	141375	SH		DEFINED	3	141375	0	0
CA INC	COM	12673P105	2703	104900	SH	PUT	DEFINED	2	0	0	0
CA INC	COM	12673P105	742	28800	SH	CALL	DEFINED	1	0	0	0
CA INC	COM	12673P105	10097	391900	SH	CALL	DEFINED	2	0	0	0
CABELAS INC	COM	126804301	4965	90800	SH	PUT	DEFINED	2	0	0	0
CABELAS INC	COM	126804301	4976	91000	SH	CALL	DEFINED	2	0	0	0
CABELAS INC	COM	126804301	230	4200	SH	CALL	DEFINED	1	0	0	0
CABLEVISION SYS CORP	CL A NY CABLVS	12686C109	268	16878	SH		DEFINED	2	16878	0	0
CABLEVISION SYS CORP	CL A NY CABLVS	12686C109	3525	222400	SH	PUT	DEFINED	2	0	0	0
CABLEVISION SYS CORP	CL A NY CABLVS	12686C109	14910	940700	SH	CALL	DEFINED	2	0	0	0
CABOT CORP	COM	127055101	1035	28301	SH		DEFINED	3	28301	0	0
CABOT CORP	COM	127055101	288	7885	SH		DEFINED	2	7885	0	0
CABOT CORP	COM	127055101	1375	37600	SH	PUT	DEFINED	2	0	0	0
CABOT CORP	COM	127055101	366	10000	SH	CALL	DEFINED	2	0	0	0
CABOT MICROELECTRONICS CORP	COM	12709P103	2154	61300	SH		DEFINED	"5,7"	61300	0	0
CABOT MICROELECTRONICS CORP	COM	12709P103	264	7500	SH	PUT	DEFINED	2	0	0	0
CABOT MICROELECTRONICS CORP	COM	12709P103	443	12600	SH	CALL	DEFINED	2	0	0	0
CABOT OIL & GAS CORP	COM	127097103	342	7620	SH		DEFINED	3	7620	0	0
CABOT OIL & GAS CORP	COM	127097103	12178	271224	SH		DEFINED	2	271224	0	0
CABOT OIL & GAS CORP	COM	127097103	11782	262400	SH	PUT	DEFINED	2	0	0	0
CABOT OIL & GAS CORP	COM	127097103	33814	753100	SH	CALL	DEFINED	2	0	0	0
CABOT OIL & GAS CORP	COM	127097103	1019	22700	SH	CALL	DEFINED	1	0	0	0
CACI INTL INC	CL A	127190304	646	12478	SH		DEFINED	3	12478	0	0
CACI INTL INC	CL A	127190304	627	12115	SH		DEFINED	2	12115	0	0
CACI INTL INC	CL A	127190304	212	4100	SH	PUT	DEFINED	1	0	0	0
CACI INTL INC	CL A	127190304	1481	28600	SH	PUT	DEFINED	2	0	0	0
CACI INTL INC	CL A	127190304	508	9800	SH	CALL	DEFINED	3	0	0	0
CACI INTL INC	CL A	127190304	337	6500	SH	CALL	DEFINED	2	0	0	0
CADENCE DESIGN SYSTEM INC	COM	127387108	559	43446	SH		DEFINED	2	43446	0	0
CADENCE DESIGN SYSTEM INC	COM	127387108	1977	153700	SH	PUT	DEFINED	2	0	0	0
CADENCE DESIGN SYSTEM INC	COM	127387108	1342	104300	SH	CALL	DEFINED	2	0	0	0
CADENCE DESIGN SYSTEM INC	NOTE   2.625% 6/0	127387AJ7	22188	12500000	PRN		DEFINED	"5,7"	0	0	0
CADENCE PHARMACEUTICALS INC	COM	12738T100	340	86763	SH		DEFINED	2	86763	0	0
CADENCE PHARMACEUTICALS INC	COM	12738T100	114	29200	SH	PUT	DEFINED	2	0	0	0
CAESARS ENTMT CORP	COM	127686103	177	26000	SH	PUT	DEFINED	2	0	0	0
CAESARS ENTMT CORP	COM	127686103	460	67600	SH	CALL	DEFINED	2	0	0	0
CAL DIVE INTL INC DEL	COM	12802T101	69	45320	SH		DEFINED	2	45320	0	0
CAL DIVE INTL INC DEL	COM	12802T101	43	28400	SH	PUT	DEFINED	2	0	0	0
CAL MAINE FOODS INC	COM NEW	128030202	437	9731	SH		DEFINED	2	9731	0	0
CAL MAINE FOODS INC	COM NEW	128030202	1002	22300	SH	PUT	DEFINED	2	0	0	0
CAL MAINE FOODS INC	COM NEW	128030202	872	19400	SH	CALL	DEFINED	2	0	0	0
CALAVO GROWERS INC	COM	128246105	648	25906	SH		DEFINED	3	25906	0	0
CALGON CARBON CORP	COM	129603106	545	38100	SH	CALL	DEFINED	2	0	0	0
CALIX INC	COM	13100M509	160	25015	SH		DEFINED	3	25015	0	0
CALLIDUS SOFTWARE INC	COM	13123E500	239	48566	SH		DEFINED	2	48566	0	0
CALLON PETE CO DEL	COM	13123X102	95	15491	SH		DEFINED	2	15491	0	0
CALLON PETE CO DEL	COM	13123X102	197	32000	SH	CALL	DEFINED	2	0	0	0
CALPINE CORP	COM NEW	131347304	949	54869	SH		DEFINED	2	54869	0	0
CALPINE CORP	COM NEW	131347304	4776	276070	SH		DEFINED	9	276070	0	0
CALPINE CORP	COM NEW	131347304	535	30900	SH	PUT	DEFINED	1	0	0	0
CALPINE CORP	COM NEW	131347304	4155	240200	SH	PUT	DEFINED	2	0	0	0
CALPINE CORP	COM NEW	131347304	5560	321400	SH	CALL	DEFINED	2	0	0	0
CALUMET SPECIALTY PRODS PTNR	UT LTD PARTNER	131476103	667	20845	SH		DEFINED	2	20845	0	0
CALUMET SPECIALTY PRODS PTNR	UT LTD PARTNER	131476103	6838	213700	SH	PUT	DEFINED	2	0	0	0
CALUMET SPECIALTY PRODS PTNR	UT LTD PARTNER	131476103	592	18500	SH	PUT	DEFINED	1	0	0	0
CALUMET SPECIALTY PRODS PTNR	UT LTD PARTNER	131476103	1088	34000	SH	CALL	DEFINED	2	0	0	0
CALUMET SPECIALTY PRODS PTNR	UT LTD PARTNER	131476103	467	14600	SH	CALL	DEFINED	1	0	0	0
CAMAC ENERGY INC	COM	131745101	82	174834	SH		DEFINED	3	174834	0	0
CAMAC ENERGY INC	COM	131745101	27	57318	SH		DEFINED	2	57318	0	0
CAMAC ENERGY INC	COM	131745101	29	61000	SH	PUT	DEFINED	2	0	0	0
CAMAC ENERGY INC	COM	131745101	18	38700	SH	CALL	DEFINED	2	0	0	0
CAMBIUM LEARNING GRP INC	COM	13201A107	50	50550	SH		DEFINED	3	50550	0	0
CAMBREX CORP	COM	132011107	130	11048	SH		DEFINED	3	11048	0	0
CAMDEN PPTY TR	SH BEN INT	133131102	247	3830	SH		DEFINED	2	3830	0	0
CAMDEN PPTY TR	SH BEN INT	133131102	277	4300	SH	CALL	DEFINED	2	0	0	0
CAMECO CORP	COM	13321L108	9797	503680	SH		DEFINED	2	503680	0	0
CAMECO CORP	COM	13321L108	526	27061	SH		DEFINED	1	27061	0	0
CAMECO CORP	COM	13321L108	19339	994300	SH	PUT	DEFINED	2	0	0	0
CAMECO CORP	COM	13321L108	1276	65600	SH	PUT	DEFINED	1	0	0	0
CAMECO CORP	COM	13321L108	685	35200	SH	CALL	DEFINED	1	0	0	0
CAMECO CORP	COM	13321L108	2326	119600	SH	CALL	DEFINED	2	0	0	0
CAMELOT INFORMATION SYS INC	ADS RP ORD SHS	13322V105	24	13300	SH	CALL	DEFINED	2	0	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	10048	179204	SH		DEFINED	2	179204	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	3074	54830	SH		DEFINED	1	54830	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	2072	36962	SH		DEFINED	3	36962	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	14561	259700	SH	PUT	DEFINED	2	0	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	3325	59300	SH	PUT	DEFINED	1	0	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	17326	309000	SH	CALL	DEFINED	2	0	0	0
CAMERON INTERNATIONAL CORP	COM	13342B105	7093	126500	SH	CALL	DEFINED	1	0	0	0
CAMPBELL SOUP CO	COM	134429109	1214	34869	SH		DEFINED	2	34869	0	0
CAMPBELL SOUP CO	COM	134429109	12957	372100	SH	PUT	DEFINED	2	0	0	0
CAMPBELL SOUP CO	COM	134429109	17246	495300	SH	CALL	DEFINED	2	0	0	0
CANADIAN NAT RES LTD	COM	136385101	15019	487800	SH	PUT	DEFINED	2	0	0	0
CANADIAN NAT RES LTD	COM	136385101	2962	96200	SH	PUT	DEFINED	1	0	0	0
CANADIAN NAT RES LTD	COM	136385101	1718	55800	SH	CALL	DEFINED	1	0	0	0
CANADIAN NAT RES LTD	COM	136385101	27335	887800	SH	CALL	DEFINED	2	0	0	0
CANADIAN NATL RY CO	COM	136375102	1950	22100	SH		DEFINED	9	22100	0	0
CANADIAN NATL RY CO	COM	136375102	476	5400	SH	PUT	DEFINED	1	0	0	0
CANADIAN NATL RY CO	COM	136375102	18361	208100	SH	PUT	DEFINED	2	0	0	0
CANADIAN NATL RY CO	COM	136375102	15052	170600	SH	CALL	DEFINED	2	0	0	0
CANADIAN NATL RY CO	COM	136375102	582	6600	SH	CALL	DEFINED	1	0	0	0
CANADIAN PAC RY LTD	COM	13645T100	374	4518	SH		DEFINED	2	4518	0	0
CANADIAN PAC RY LTD	COM	13645T100	1492	18000	SH		DEFINED	9	18000	0	0
CANADIAN PAC RY LTD	COM	13645T100	14315	172700	SH	PUT	DEFINED	2	0	0	0
CANADIAN PAC RY LTD	COM	13645T100	862	10400	SH	PUT	DEFINED	1	0	0	0
CANADIAN PAC RY LTD	COM	13645T100	2221	26800	SH	CALL	DEFINED	2	0	0	0
CANADIAN PAC RY LTD	COM	13645T100	845	10200	SH	CALL	DEFINED	1	0	0	0
CANADIAN SOLAR INC	COM	136635109	304	108787	SH		DEFINED	2	108787	0	0
CANADIAN SOLAR INC	COM	136635109	203	72700	SH	PUT	DEFINED	2	0	0	0
CANADIAN SOLAR INC	COM	136635109	32	11500	SH	CALL	DEFINED	1	0	0	0
CANADIAN SOLAR INC	COM	136635109	119	42600	SH	CALL	DEFINED	2	0	0	0
CANTEL MEDICAL CORP	COM	138098108	271	10012	SH		DEFINED	2	10012	0	0
CANTEL MEDICAL CORP	COM	138098108	299	11050	SH		DEFINED	3	11050	0	0
CAPE BANCORP INC	COM	139209100	101	10806	SH		DEFINED	3	10806	0	0
CAPELLA EDUCATION COMPANY	COM	139594105	706	20132	SH		DEFINED	2	20132	0	0
CAPELLA EDUCATION COMPANY	COM	139594105	492	14041	SH		DEFINED	3	14041	0	0
CAPELLA EDUCATION COMPANY	COM	139594105	330	9400	SH	CALL	DEFINED	2	0	0	0
CAPITAL ONE FINL CORP	COM	14040H105	1323	23200	SH		DEFINED	9	23200	0	0
CAPITAL ONE FINL CORP	COM	14040H105	2209	38741	SH		DEFINED	3	38741	0	0
CAPITAL ONE FINL CORP	COM	14040H105	9891	173490	SH		DEFINED	2	173490	0	0
CAPITAL ONE FINL CORP	COM	14040H105	1924	33750	SH		DEFINED	1	33750	0	0
CAPITAL ONE FINL CORP	COM	14040H105	55853	979700	SH	PUT	DEFINED	2	0	0	0
CAPITAL ONE FINL CORP	COM	14040H105	7685	134800	SH	PUT	DEFINED	1	0	0	0
CAPITAL ONE FINL CORP	COM	14040H105	5433	95300	SH	CALL	DEFINED	1	0	0	0
CAPITAL ONE FINL CORP	COM	14040H105	35990	631300	SH	CALL	DEFINED	2	0	0	0
CAPITAL ONE FINL CORP	*W EXP 11/14/201	14040H139	36822	1797969	SH		DEFINED	"5,7"	1797969	0	0
CAPITAL PRODUCT PARTNERS L P	COM UNIT LP	Y11082107	189	23112	SH		DEFINED	2	23112	0	0
CAPITAL PRODUCT PARTNERS L P	COM UNIT LP	Y11082107	106	13000	SH	PUT	DEFINED	2	0	0	0
CAPITALSOURCE INC	COM	14055X102	4005	528300	SH	CALL	DEFINED	2	0	0	0
CAPLEASE INC	COM	140288101	67	13016	SH		DEFINED	2	13016	0	0
CAPSTEAD MTG CORP	COM NO PAR	14067E506	231	17159	SH		DEFINED	3	17159	0	0
CAPSTEAD MTG CORP	COM NO PAR	14067E506	494	36600	SH		DEFINED	9	36600	0	0
CAPSTEAD MTG CORP	COM NO PAR	14067E506	197	14600	SH	PUT	DEFINED	2	0	0	0
CAPSTONE TURBINE CORP	COM	14067D102	4425	4425102	SH		DEFINED	"5,8"	4425102	0	0
CAPSTONE TURBINE CORP	COM	14067D102	56	55963	SH		DEFINED	2	55963	0	0
CAPSTONE TURBINE CORP	COM	14067D102	32	31580	SH		DEFINED	3	31580	0	0
CARBO CERAMICS INC	COM	140781105	384	6100	SH		DEFINED	3	6100	0	0
CARBO CERAMICS INC	COM	140781105	629	10000	SH	PUT	DEFINED	3	0	0	0
CARBO CERAMICS INC	COM	140781105	3303	52500	SH	PUT	DEFINED	1	0	0	0
CARBO CERAMICS INC	COM	140781105	20455	325100	SH	PUT	DEFINED	2	0	0	0
CARBO CERAMICS INC	COM	140781105	2957	47000	SH	CALL	DEFINED	1	0	0	0
CARBO CERAMICS INC	COM	140781105	4662	74100	SH	CALL	DEFINED	2	0	0	0
CARDINAL HEALTH INC	COM	14149Y108	954	24477	SH		DEFINED	2	24477	0	0
CARDINAL HEALTH INC	COM	14149Y108	2973	76300	SH	PUT	DEFINED	2	0	0	0
CARDINAL HEALTH INC	COM	14149Y108	553	14200	SH	PUT	DEFINED	1	0	0	0
CARDINAL HEALTH INC	COM	14149Y108	5955	152800	SH	CALL	DEFINED	2	0	0	0
CARDIONET INC	COM	14159L103	368	145987	SH		DEFINED	3	145987	0	0
CARDTRONICS INC	COM	14161H108	262	8800	SH	PUT	DEFINED	2	0	0	0
CARDTRONICS INC	COM	14161H108	1215	40800	SH	CALL	DEFINED	2	0	0	0
CAREER EDUCATION CORP	COM	141665109	71	18883	SH		DEFINED	3	18883	0	0
CAREER EDUCATION CORP	COM	141665109	435	115499	SH		DEFINED	2	115499	0	0
CAREER EDUCATION CORP	COM	141665109	375	99500	SH	PUT	DEFINED	2	0	0	0
CAREER EDUCATION CORP	COM	141665109	69	18300	SH	CALL	DEFINED	2	0	0	0
CAREFUSION CORP	COM	14170T101	377	13276	SH		DEFINED	2	13276	0	0
CAREFUSION CORP	COM	14170T101	295	10400	SH	PUT	DEFINED	1	0	0	0
CAREFUSION CORP	COM	14170T101	542	19100	SH	PUT	DEFINED	2	0	0	0
CAREFUSION CORP	COM	14170T101	721	25400	SH	CALL	DEFINED	1	0	0	0
CAREFUSION CORP	COM	14170T101	2155	75900	SH	CALL	DEFINED	2	0	0	0
CARIBOU COFFEE INC	COM	142042209	232	16900	SH	PUT	DEFINED	2	0	0	0
CARIBOU COFFEE INC	COM	142042209	2956	215300	SH	CALL	DEFINED	2	0	0	0
CARLISLE COS INC	COM	142339100	1262	24300	SH	PUT	DEFINED	2	0	0	0
CARLISLE COS INC	COM	142339100	805	15500	SH	CALL	DEFINED	2	0	0	0
CARLYLE GROUP L P	COM UTS LTD PTN	14309L102	822	31311	SH		DEFINED	2	31311	0	0
CARLYLE GROUP L P	COM UTS LTD PTN	14309L102	1556	59300	SH	PUT	DEFINED	2	0	0	0
CARMAX INC	COM	143130102	2336	82553	SH		DEFINED	2	82553	0	0
CARMAX INC	COM	143130102	4706	166300	SH	PUT	DEFINED	2	0	0	0
CARMAX INC	COM	143130102	507	17900	SH	PUT	DEFINED	1	0	0	0
CARMAX INC	COM	143130102	235	8300	SH	CALL	DEFINED	1	0	0	0
CARMAX INC	COM	143130102	3611	127600	SH	CALL	DEFINED	2	0	0	0
CARMIKE CINEMAS INC	COM	143436400	423	37600	SH	CALL	DEFINED	2	0	0	0
CARNIVAL CORP	PAIRED CTF	143658300	1163	31910	SH		DEFINED	2	31910	0	0
CARNIVAL CORP	PAIRED CTF	143658300	785	21552	SH		DEFINED	3	21552	0	0
CARNIVAL CORP	PAIRED CTF	143658300	867	23800	SH	PUT	DEFINED	1	0	0	0
CARNIVAL CORP	PAIRED CTF	143658300	20213	554700	SH	PUT	DEFINED	2	0	0	0
CARNIVAL CORP	PAIRED CTF	143658300	233	6400	SH	CALL	DEFINED	1	0	0	0
CARNIVAL CORP	PAIRED CTF	143658300	15367	421700	SH	CALL	DEFINED	2	0	0	0
CARNIVAL CORP	PAIRED CTF	143658300	474	13000	SH	CALL	DEFINED	3	0	0	0
CARNIVAL PLC	ADR	14365C103	441	12000	SH	PUT	DEFINED	2	0	0	0
CARNIVAL PLC	ADR	14365C103	474	12900	SH	CALL	DEFINED	2	0	0	0
CARPENTER TECHNOLOGY CORP	COM	144285103	1010	19300	SH	PUT	DEFINED	2	0	0	0
CARPENTER TECHNOLOGY CORP	COM	144285103	303	5800	SH	CALL	DEFINED	1	0	0	0
CARPENTER TECHNOLOGY CORP	COM	144285103	2663	50900	SH	CALL	DEFINED	2	0	0	0
CARPENTER TECHNOLOGY CORP	COM	144285103	607	11600	SH	CALL	DEFINED	3	0	0	0
CARRIZO OIL & CO INC	COM	144577103	1838	73500	SH	PUT	DEFINED	2	0	0	0
CARRIZO OIL & CO INC	COM	144577103	5127	205000	SH	CALL	DEFINED	2	0	0	0
CARTER INC	COM	146229109	609	11315	SH		DEFINED	2	11315	0	0
CARTER INC	COM	146229109	395	7335	SH		DEFINED	3	7335	0	0
CARTER INC	COM	146229109	3979	73900	SH		DEFINED	9	73900	0	0
CARTER INC	COM	146229109	2439	45300	SH	PUT	DEFINED	2	0	0	0
CARTER INC	COM	146229109	2789	51800	SH	CALL	DEFINED	2	0	0	0
CASEYS GEN STORES INC	COM	147528103	800	14000	SH	PUT	DEFINED	2	0	0	0
CASH AMER INTL INC	COM	14754D100	856	22182	SH		DEFINED	2	22182	0	0
CASH AMER INTL INC	COM	14754D100	289	7500	SH	PUT	DEFINED	1	0	0	0
CASH AMER INTL INC	COM	14754D100	2218	57500	SH	PUT	DEFINED	2	0	0	0
CASH AMER INTL INC	COM	14754D100	868	22500	SH	CALL	DEFINED	2	0	0	0
CASH AMER INTL INC	COM	14754D100	216	5600	SH	CALL	DEFINED	1	0	0	0
CASTLE A M & CO	COM	148411101	225	18010	SH		DEFINED	2	18010	0	0
CASTLE A M & CO	COM	148411101	603	48300	SH	PUT	DEFINED	2	0	0	0
CASTLE A M & CO	COM	148411101	601	48100	SH	CALL	DEFINED	2	0	0	0
CATAMARAN CORP	COM	148887102	9035	92227	SH		DEFINED	3	92227	0	0
CATAMARAN CORP	COM	148887102	384	3915	SH		DEFINED	1	3915	0	0
CATAMARAN CORP	COM	148887102	11675	119172	SH		DEFINED	2	119172	0	0
CATAMARAN CORP	COM	148887102	6603	67400	SH	PUT	DEFINED	2	0	0	0
CATAMARAN CORP	COM	148887102	10199	104100	SH	CALL	DEFINED	2	0	0	0
CATERPILLAR INC DEL	COM	149123101	35966	418015	SH		DEFINED	1	418015	0	0
CATERPILLAR INC DEL	COM	149123101	122876	1428130	SH		DEFINED	2	1428130	0	0
CATERPILLAR INC DEL	COM	149123101	62826	730200	SH	PUT	DEFINED	1	0	0	0
CATERPILLAR INC DEL	COM	149123101	370678	4308200	SH	PUT	DEFINED	2	0	0	0
CATERPILLAR INC DEL	COM	149123101	38400	446300	SH	PUT	DEFINED	3	0	0	0
CATERPILLAR INC DEL	COM	149123101	38752	450400	SH	CALL	DEFINED	1	0	0	0
CATERPILLAR INC DEL	COM	149123101	106225	1234600	SH	CALL	DEFINED	2	0	0	0
CATERPILLAR INC DEL	COM	149123101	17096	198700	SH	CALL	DEFINED	3	0	0	0
CATO CORP NEW	CL A	149205106	524	17653	SH		DEFINED	3	17653	0	0
CAVCO INDS INC DEL	COM	149568107	1759	38331	SH		DEFINED	3	38331	0	0
CAVIUM INC	COM	14964U108	1730	51900	SH		DEFINED	9	51900	0	0
CAVIUM INC	COM	14964U108	1670	50100	SH	PUT	DEFINED	1	0	0	0
CAVIUM INC	COM	14964U108	3410	102300	SH	PUT	DEFINED	2	0	0	0
CAVIUM INC	COM	14964U108	1793	53800	SH	CALL	DEFINED	1	0	0	0
CAVIUM INC	COM	14964U108	6099	183000	SH	CALL	DEFINED	2	0	0	0
CBL & ASSOC PPTYS INC	COM	124830100	396	18579	SH		DEFINED	3	18579	0	0
CBL & ASSOC PPTYS INC	COM	124830100	2695	126300	SH		DEFINED	9	126300	0	0
CBL & ASSOC PPTYS INC	COM	124830100	839	39300	SH	CALL	DEFINED	2	0	0	0
CBOE HLDGS INC	COM	12503M108	16359	556037	SH		DEFINED		556037	0	0
CBOE HLDGS INC	COM	12503M108	5317	180716	SH		DEFINED	2	180716	0	0
CBOE HLDGS INC	COM	12503M108	2262	76900	SH		DEFINED	9	76900	0	0
CBOE HLDGS INC	COM	12503M108	611	20762	SH		DEFINED	1	20762	0	0
CBOE HLDGS INC	COM	12503M108	3830	130200	SH	PUT	DEFINED	2	0	0	0
CBOE HLDGS INC	COM	12503M108	1477	50200	SH	PUT	DEFINED	1	0	0	0
CBOE HLDGS INC	COM	12503M108	2195	74600	SH	CALL	DEFINED	1	0	0	0
CBOE HLDGS INC	COM	12503M108	9200	312700	SH	CALL	DEFINED	2	0	0	0
CBRE GROUP INC	CL A	12504L109	2216	120350	SH		DEFINED	3	120350	0	0
CBRE GROUP INC	CL A	12504L109	1246	67694	SH		DEFINED	2	67694	0	0
CBRE GROUP INC	CL A	12504L109	2250	122200	SH	PUT	DEFINED	2	0	0	0
CBRE GROUP INC	CL A	12504L109	1053	57200	SH	CALL	DEFINED	2	0	0	0
CBS CORP NEW	CL A	124857103	397	10909	SH		DEFINED	3	10909	0	0
CBS CORP NEW	CL B	124857202	2485	68413	SH		DEFINED	9	68413	0	0
CBS CORP NEW	CL B	124857202	1567	43136	SH		DEFINED	2	43136	0	0
CBS CORP NEW	CL B	124857202	6768	186286	SH		DEFINED	3	186286	0	0
CBS CORP NEW	CL B	124857202	1508	41500	SH	PUT	DEFINED	1	0	0	0
CBS CORP NEW	CL B	124857202	18666	513800	SH	PUT	DEFINED	2	0	0	0
CBS CORP NEW	CL B	124857202	2881	79300	SH	CALL	DEFINED	3	0	0	0
CBS CORP NEW	CL B	124857202	20098	553200	SH	CALL	DEFINED	2	0	0	0
CBS CORP NEW	CL B	124857202	1384	38100	SH	CALL	DEFINED	1	0	0	0
CDN IMPERIAL BK OF COMMERCE	COM	136069101	305	3900	SH	PUT	DEFINED	2	0	0	0
CDN IMPERIAL BK OF COMMERCE	COM	136069101	7029	89900	SH	CALL	DEFINED	2	0	0	0
CEC ENTMT INC	COM	125137109	247	8188	SH		DEFINED	3	8188	0	0
CEC ENTMT INC	COM	125137109	437	14500	SH	PUT	DEFINED	2	0	0	0
CEC ENTMT INC	COM	125137109	446	14800	SH	CALL	DEFINED	2	0	0	0
CEDAR FAIR L P	DEPOSITRY UNIT	150185106	1339	40000	SH	CALL	DEFINED	2	0	0	0
CEDAR REALTY TRUST INC	COM NEW	150602209	69	13154	SH		DEFINED	2	13154	0	0
CELANESE CORP DEL	COM SER A	150870103	1325	34940	SH		DEFINED	2	34940	0	0
CELANESE CORP DEL	COM SER A	150870103	3628	95700	SH		DEFINED	9	95700	0	0
CELANESE CORP DEL	COM SER A	150870103	9576	252600	SH	PUT	DEFINED	2	0	0	0
CELANESE CORP DEL	COM SER A	150870103	591	15600	SH	PUT	DEFINED	1	0	0	0
CELANESE CORP DEL	COM SER A	150870103	15695	414000	SH	CALL	DEFINED	2	0	0	0
CELANESE CORP DEL	COM SER A	150870103	1365	36000	SH	CALL	DEFINED	1	0	0	0
CELGENE CORP	COM	151020104	4848	63462	SH		DEFINED	3	63462	0	0
CELGENE CORP	COM	151020104	52441	686405	SH		DEFINED	2	686405	0	0
CELGENE CORP	COM	151020104	1958	25634	SH		DEFINED	1	25634	0	0
CELGENE CORP	COM	151020104	5379	70400	SH	PUT	DEFINED	1	0	0	0
CELGENE CORP	COM	151020104	62541	818600	SH	PUT	DEFINED	2	0	0	0
CELGENE CORP	COM	151020104	1345	17600	SH	PUT	DEFINED	3	0	0	0
CELGENE CORP	COM	151020104	3889	50900	SH	CALL	DEFINED	3	0	0	0
CELGENE CORP	COM	151020104	9985	130700	SH	CALL	DEFINED	1	0	0	0
CELGENE CORP	COM	151020104	57285	749800	SH	CALL	DEFINED	2	0	0	0
CELL THERAPEUTICS INC	COM NPV NEW 2012	150934883	495	203533	SH		DEFINED	3	203533	0	0
CELL THERAPEUTICS INC	COM NPV NEW 2012	150934883	38	15800	SH	CALL	DEFINED	2	0	0	0
CELLCOM ISRAEL LTD	SHS	M2196U109	442	51100	SH	CALL	DEFINED	2	0	0	0
CELLDEX THERAPEUTICS INC NEW	COM	15117B103	776	123147	SH		DEFINED	2	123147	0	0
CELLDEX THERAPEUTICS INC NEW	COM	15117B103	181	28800	SH	PUT	DEFINED	2	0	0	0
CELLDEX THERAPEUTICS INC NEW	COM	15117B103	449	71300	SH	CALL	DEFINED	2	0	0	0
CELSION CORPORATION	COM NEW	15117N305	592	108751	SH		DEFINED	2	108751	0	0
CELSION CORPORATION	COM NEW	15117N305	99	18200	SH	PUT	DEFINED	1	0	0	0
CELSION CORPORATION	COM NEW	15117N305	2465	453100	SH	PUT	DEFINED	2	0	0	0
CELSION CORPORATION	COM NEW	15117N305	3063	563100	SH	CALL	DEFINED	2	0	0	0
CELSION CORPORATION	COM NEW	15117N305	474	87200	SH	CALL	DEFINED	1	0	0	0
CEMEX SAB DE CV	SPON ADR NEW	151290889	2075	249159	SH		DEFINED	2	249159	0	0
CEMEX SAB DE CV	SPON ADR NEW	151290889	349	41840	SH	PUT	DEFINED	1	0	0	0
CEMEX SAB DE CV	SPON ADR NEW	151290889	6869	824620	SH	PUT	DEFINED	2	0	0	0
CEMEX SAB DE CV	SPON ADR NEW	151290889	568	68244	SH	CALL	DEFINED	1	0	0	0
CEMEX SAB DE CV	SPON ADR NEW	151290889	9581	1150236	SH	CALL	DEFINED	2	0	0	0
CEMEX SAB DE CV	NOTE   3.250% 3/1	151290BB8	987	1000000	PRN		DEFINED	"5,7"	0	0	0
CEMEX SAB DE CV	NOTE   3.750% 3/1	151290BC6	2451	2484000	PRN		DEFINED	"5,7"	0	0	0
CENOVUS ENERGY INC	COM	15135U109	1614	46300	SH	PUT	DEFINED	2	0	0	0
CENOVUS ENERGY INC	COM	15135U109	4429	127100	SH	CALL	DEFINED	2	0	0	0
CENOVUS ENERGY INC	COM	15135U109	770	22100	SH	CALL	DEFINED	1	0	0	0
CENTENE CORP DEL	COM	15135B101	1781	47611	SH		DEFINED	2	47611	0	0
CENTENE CORP DEL	COM	15135B101	4886	130600	SH	PUT	DEFINED	2	0	0	0
CENTENE CORP DEL	COM	15135B101	471	12600	SH	PUT	DEFINED	1	0	0	0
CENTENE CORP DEL	COM	15135B101	527	14100	SH	CALL	DEFINED	1	0	0	0
CENTENE CORP DEL	COM	15135B101	2248	60100	SH	CALL	DEFINED	2	0	0	0
CENTERPOINT ENERGY INC	COM	15189T107	1067	50076	SH		DEFINED	2	50076	0	0
CENTERPOINT ENERGY INC	COM	15189T107	213	10000	SH	PUT	DEFINED	2	0	0	0
CENTERPOINT ENERGY INC	COM	15189T107	5400	253500	SH	CALL	DEFINED	2	0	0	0
CENTRAIS ELETRICAS BRASILEIR	SPONSORED ADR	15234Q207	440	74145	SH		DEFINED	3	74145	0	0
CENTRAL EUROPEAN DIST CORP	COM	153435102	224	78698	SH		DEFINED	2	78698	0	0
CENTRAL EUROPEAN DIST CORP	COM	153435102	659	231100	SH	PUT	DEFINED	2	0	0	0
CENTRAL EUROPEAN DIST CORP	COM	153435102	230	80800	SH	CALL	DEFINED	2	0	0	0
CENTRAL EUROPEAN MEDIA ENTRP	CL A NEW	G20045202	66	10200	SH	PUT	DEFINED	2	0	0	0
CENTRAL EUROPEAN MEDIA ENTRP	CL A NEW	G20045202	404	62100	SH	CALL	DEFINED	2	0	0	0
CENTRAL GARDEN & PET CO	CL A NON-VTG	153527205	209	17285	SH		DEFINED	3	17285	0	0
CENTRAL PAC FINL CORP	COM NEW	154760409	168	11752	SH		DEFINED	2	11752	0	0
CENTRAL PAC FINL CORP	COM NEW	154760409	353	24700	SH	PUT	DEFINED	2	0	0	0
CENTURY ALUM CO	COM	156431108	713	99700	SH		DEFINED	3	99700	0	0
CENTURY ALUM CO	COM	156431108	277	38800	SH	PUT	DEFINED	2	0	0	0
CENTURY ALUM CO	COM	156431108	337	47200	SH	CALL	DEFINED	2	0	0	0
CENTURYLINK INC	COM	156700106	315	7800	SH		DEFINED	3	7800	0	0
CENTURYLINK INC	COM	156700106	3794	93917	SH		DEFINED	2	93917	0	0
CENTURYLINK INC	COM	156700106	38037	941500	SH	PUT	DEFINED	2	0	0	0
CENTURYLINK INC	COM	156700106	33629	832400	SH	CALL	DEFINED	2	0	0	0
CENTURYLINK INC	COM	156700106	230	5700	SH	CALL	DEFINED	1	0	0	0
CENVEO INC	COM	15670S105	49	21265	SH		DEFINED	2	21265	0	0
CENVEO INC	COM	15670S105	33	14200	SH	PUT	DEFINED	2	0	0	0
CEPHEID	COM	15670R107	473	13704	SH		DEFINED	1	13704	0	0
CEPHEID	COM	15670R107	634	18366	SH		DEFINED	2	18366	0	0
CEPHEID	COM	15670R107	1305	37805	SH		DEFINED	9	37805	0	0
CEPHEID	COM	15670R107	358	10367	SH		DEFINED	3	10367	0	0
CEPHEID	COM	15670R107	1660	48100	SH	PUT	DEFINED	2	0	0	0
CEPHEID	COM	15670R107	1177	34100	SH	PUT	DEFINED	1	0	0	0
CEPHEID	COM	15670R107	252	7300	SH	CALL	DEFINED	1	0	0	0
CEPHEID	COM	15670R107	894	25900	SH	CALL	DEFINED	2	0	0	0
CERADYNE INC	COM	156710105	349	14297	SH		DEFINED	3	14297	0	0
CERADYNE INC	COM	156710105	848	34700	SH	PUT	DEFINED	2	0	0	0
CERADYNE INC	COM	156710105	967	39600	SH	CALL	DEFINED	2	0	0	0
CERAGON NETWORKS LTD	ORD	M22013102	303	53114	SH		DEFINED	2	53114	0	0
CERAGON NETWORKS LTD	ORD	M22013102	186	32700	SH	PUT	DEFINED	2	0	0	0
CEREPLAST INC	COM NEW	156732307	17	64500	SH		DEFINED	"5,8"	64500	0	0
CERNER CORP	COM	156782104	3420	44177	SH		DEFINED	1	44177	0	0
CERNER CORP	COM	156782104	14282	184503	SH		DEFINED	2	184503	0	0
CERNER CORP	COM	156782104	9111	117700	SH	PUT	DEFINED	1	0	0	0
CERNER CORP	COM	156782104	15242	196900	SH	PUT	DEFINED	2	0	0	0
CERNER CORP	COM	156782104	13856	179000	SH	CALL	DEFINED	2	0	0	0
CERNER CORP	COM	156782104	11937	154200	SH	CALL	DEFINED	1	0	0	0
CERUS CORP	COM	157085101	100	29283	SH		DEFINED	2	29283	0	0
CEVA INC	COM	157210105	191	13300	SH	CALL	DEFINED	2	0	0	0
CF INDS HLDGS INC	COM	125269100	2445	11000	SH		DEFINED	9	11000	0	0
CF INDS HLDGS INC	COM	125269100	845	3801	SH		DEFINED	3	3801	0	0
CF INDS HLDGS INC	COM	125269100	4628	20825	SH		DEFINED	1	20825	0	0
CF INDS HLDGS INC	COM	125269100	43861	197357	SH		DEFINED	2	197357	0	0
CF INDS HLDGS INC	COM	125269100	204705	921100	SH	PUT	DEFINED	2	0	0	0
CF INDS HLDGS INC	COM	125269100	30202	135900	SH	PUT	DEFINED	1	0	0	0
CF INDS HLDGS INC	COM	125269100	94408	424800	SH	CALL	DEFINED	2	0	0	0
CF INDS HLDGS INC	COM	125269100	42181	189800	SH	CALL	DEFINED	1	0	0	0
CGG VERITAS	SPONSORED ADR	204386106	1127	34300	SH		DEFINED	9	34300	0	0
CGG VERITAS	SPONSORED ADR	204386106	365	11100	SH	PUT	DEFINED	2	0	0	0
CHANGYOU COM LTD	ADS REP CL A	15911M107	341	13000	SH		DEFINED	9	13000	0	0
CHANGYOU COM LTD	ADS REP CL A	15911M107	428	16300	SH		DEFINED	"5,7"	16300	0	0
CHANGYOU COM LTD	ADS REP CL A	15911M107	2275	86700	SH	PUT	DEFINED	2	0	0	0
CHANGYOU COM LTD	ADS REP CL A	15911M107	2973	113300	SH	CALL	DEFINED	2	0	0	0
CHARLES RIV LABS INTL INC	COM	159864107	451	11400	SH		DEFINED	9	11400	0	0
CHARLES RIV LABS INTL INC	COM	159864107	301	7600	SH	PUT	DEFINED	2	0	0	0
CHARLES RIV LABS INTL INC	COM	159864107	408	10300	SH	CALL	DEFINED	2	0	0	0
CHART INDS INC	COM PAR $0.01	16115Q308	583	7900	SH	PUT	DEFINED	1	0	0	0
CHART INDS INC	COM PAR $0.01	16115Q308	7481	101300	SH	PUT	DEFINED	2	0	0	0
CHART INDS INC	COM PAR $0.01	16115Q308	4202	56900	SH	PUT	DEFINED	3	0	0	0
CHART INDS INC	COM PAR $0.01	16115Q308	5856	79300	SH	CALL	DEFINED	2	0	0	0
CHARTER COMMUNICATIONS INC D	CL A NEW	16117M305	12709	169300	SH		DEFINED	9	169300	0	0
CHARTER COMMUNICATIONS INC D	CL A NEW	16117M305	530	7064	SH		DEFINED	1	7064	0	0
CHARTER COMMUNICATIONS INC D	CL A NEW	16117M305	218	2900	SH	PUT	DEFINED	2	0	0	0
CHARTER COMMUNICATIONS INC D	CL A NEW	16117M305	1194	15900	SH	CALL	DEFINED	2	0	0	0
CHARTER COMMUNICATIONS INC D	CL A NEW	16117M305	293	3900	SH	CALL	DEFINED	1	0	0	0
CHECK POINT SOFTWARE TECH LT	ORD	M22465104	1650	34261	SH		DEFINED	3	34261	0	0
CHECK POINT SOFTWARE TECH LT	ORD	M22465104	18033	374449	SH		DEFINED	2	374449	0	0
CHECK POINT SOFTWARE TECH LT	ORD	M22465104	2504	52000	SH	PUT	DEFINED	1	0	0	0
CHECK POINT SOFTWARE TECH LT	ORD	M22465104	40218	835100	SH	PUT	DEFINED	2	0	0	0
CHECK POINT SOFTWARE TECH LT	ORD	M22465104	2032	42200	SH	CALL	DEFINED	1	0	0	0
CHECK POINT SOFTWARE TECH LT	ORD	M22465104	18831	391000	SH	CALL	DEFINED	2	0	0	0
CHEESECAKE FACTORY INC	COM	163072101	3810	106575	SH		DEFINED	2	106575	0	0
CHEESECAKE FACTORY INC	COM	163072101	552	15448	SH		DEFINED	3	15448	0	0
CHEESECAKE FACTORY INC	COM	163072101	2914	81500	SH	PUT	DEFINED	2	0	0	0
CHEESECAKE FACTORY INC	COM	163072101	390	10900	SH	PUT	DEFINED	1	0	0	0
CHEESECAKE FACTORY INC	COM	163072101	940	26300	SH	CALL	DEFINED	1	0	0	0
CHEESECAKE FACTORY INC	COM	163072101	4387	122700	SH	CALL	DEFINED	2	0	0	0
CHEFS WHSE INC	COM	163086101	234	14275	SH		DEFINED	3	14275	0	0
CHELSEA THERAPEUTICS INTL LT	COM	163428105	496	413552	SH		DEFINED	3	413552	0	0
CHELSEA THERAPEUTICS INTL LT	COM	163428105	65	54449	SH		DEFINED	2	54449	0	0
CHELSEA THERAPEUTICS INTL LT	COM	163428105	21	17200	SH	PUT	DEFINED	2	0	0	0
CHELSEA THERAPEUTICS INTL LT	COM	163428105	63	52500	SH	CALL	DEFINED	2	0	0	0
CHEMED CORP NEW	COM	16359R103	362	5226	SH		DEFINED	2	5226	0	0
CHEMED CORP NEW	COM	16359R103	319	4600	SH		DEFINED	9	4600	0	0
CHEMED CORP NEW	COM	16359R103	6028	87000	SH	PUT	DEFINED	2	0	0	0
CHEMED CORP NEW	COM	16359R103	1517	21900	SH	CALL	DEFINED	2	0	0	0
CHEMTURA CORP	COM NEW	163893209	567	32900	SH	PUT	DEFINED	2	0	0	0
CHEMTURA CORP	COM NEW	163893209	245	14200	SH	CALL	DEFINED	2	0	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	1166	75000	SH		DEFINED	"5,7"	75000	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	6022	387264	SH		DEFINED	2	387264	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	14597	938700	SH	PUT	DEFINED	2	0	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	246	15800	SH	PUT	DEFINED	3	0	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	345	22200	SH	PUT	DEFINED	1	0	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	15662	1007200	SH	CALL	DEFINED	2	0	0	0
CHENIERE ENERGY INC	COM NEW	16411R208	874	56200	SH	CALL	DEFINED	1	0	0	0
CHENIERE ENERGY PARTNERS LP	COM UNIT	16411Q101	1281	56011	SH		DEFINED	1	56011	0	0
CHENIERE ENERGY PARTNERS LP	COM UNIT	16411Q101	1057	46200	SH	PUT	DEFINED	1	0	0	0
CHENIERE ENERGY PARTNERS LP	COM UNIT	16411Q101	1994	87200	SH	PUT	DEFINED	2	0	0	0
CHENIERE ENERGY PARTNERS LP	COM UNIT	16411Q101	224	9800	SH	CALL	DEFINED	1	0	0	0
CHENIERE ENERGY PARTNERS LP	COM UNIT	16411Q101	3957	173000	SH	CALL	DEFINED	2	0	0	0
CHENIERE ENERGY PARTNERS LP	COM UNIT	16411Q101	400	17500	SH	CALL	DEFINED	3	0	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	5099	270200	SH		DEFINED	1	270200	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	67712	3588362	SH		DEFINED	2	3588362	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	5137	272221	SH		DEFINED	3	272221	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	172419	9137200	SH	PUT	DEFINED	2	0	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	16289	863200	SH	PUT	DEFINED	1	0	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	11509	609900	SH	CALL	DEFINED	1	0	0	0
CHESAPEAKE ENERGY CORP	COM	165167107	82509	4372500	SH	CALL	DEFINED	2	0	0	0
CHESAPEAKE GRANITE WASH TR	COM SH BEN INT	165185109	2150	106255	SH		DEFINED	2	106255	0	0
CHESAPEAKE GRANITE WASH TR	COM SH BEN INT	165185109	3973	196400	SH	PUT	DEFINED	2	0	0	0
CHESAPEAKE GRANITE WASH TR	COM SH BEN INT	165185109	2199	108700	SH	CALL	DEFINED	2	0	0	0
CHEVRON CORP NEW	COM	166764100	5281	45304	SH		DEFINED	3	45304	0	0
CHEVRON CORP NEW	COM	166764100	24099	206755	SH		DEFINED	1	206755	0	0
CHEVRON CORP NEW	COM	166764100	20977	179968	SH		DEFINED	2	179968	0	0
CHEVRON CORP NEW	COM	166764100	105405	904300	SH	PUT	DEFINED	2	0	0	0
CHEVRON CORP NEW	COM	166764100	34315	294400	SH	PUT	DEFINED	1	0	0	0
CHEVRON CORP NEW	COM	166764100	4791	41100	SH	CALL	DEFINED	3	0	0	0
CHEVRON CORP NEW	COM	166764100	19839	170200	SH	CALL	DEFINED	1	0	0	0
CHEVRON CORP NEW	COM	166764100	235964	2024400	SH	CALL	DEFINED	2	0	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	330	8668	SH		DEFINED	2	8668	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	4319	113400	SH		DEFINED	9	113400	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	445	11686	SH		DEFINED	3	11686	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	769	20200	SH	PUT	DEFINED	1	0	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	9827	258000	SH	PUT	DEFINED	2	0	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	1638	43000	SH	PUT	DEFINED	3	0	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	1253	32900	SH	CALL	DEFINED	3	0	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	11694	307000	SH	CALL	DEFINED	2	0	0	0
CHICAGO BRIDGE & IRON CO N V	N Y REGISTRY SH	167250109	2266	59500	SH	CALL	DEFINED	1	0	0	0
CHICOS FAS INC	COM	168615102	326	18022	SH		DEFINED	3	18022	0	0
CHICOS FAS INC	COM	168615102	3037	167700	SH		DEFINED	9	167700	0	0
CHICOS FAS INC	COM	168615102	826	45600	SH	PUT	DEFINED	2	0	0	0
CHICOS FAS INC	COM	168615102	5055	279100	SH	CALL	DEFINED	2	0	0	0
CHILDRENS PL RETAIL STORES I	COM	168905107	1080	18000	SH		DEFINED	9	18000	0	0
CHILDRENS PL RETAIL STORES I	COM	168905107	4704	78400	SH	PUT	DEFINED	2	0	0	0
CHILDRENS PL RETAIL STORES I	COM	168905107	1116	18600	SH	CALL	DEFINED	1	0	0	0
CHILDRENS PL RETAIL STORES I	COM	168905107	16566	276100	SH	CALL	DEFINED	2	0	0	0
CHIMERA INVT CORP	COM	16934Q109	508	187483	SH		DEFINED	2	187483	0	0
CHIMERA INVT CORP	COM	16934Q109	98	36070	SH		DEFINED	3	36070	0	0
CHIMERA INVT CORP	COM	16934Q109	775	286000	SH	PUT	DEFINED	2	0	0	0
CHIMERA INVT CORP	COM	16934Q109	324	119700	SH	CALL	DEFINED	2	0	0	0
CHINA DIGITAL TV HLDG CO LTD	SPONSORED ADR	16938G107	43	15281	SH		DEFINED	2	15281	0	0
CHINA EASTN AIRLS LTD	SPON ADR CL H	16937R104	446	29372	SH		DEFINED	3	29372	0	0
CHINA FD INC	COM	169373107	8534	382872	SH		DEFINED	"5,7"	382872	0	0
CHINA FIN ONLINE CO LTD	SPONSORED ADR	169379104	200	157542	SH		DEFINED	"5,7"	157542	0	0
CHINA GREEN AGRICULTURE INC	COM	16943W105	36	10900	SH	PUT	DEFINED	1	0	0	0
CHINA GREEN AGRICULTURE INC	COM	16943W105	97	29600	SH	CALL	DEFINED	2	0	0	0
CHINA HYDROELECTRIC CORPORAT	*W EXP 01/25/201	G2112E145	2	130500	SH		DEFINED	"5,7"	130500	0	0
CHINA LIFE INS CO LTD	SPON ADR REP H	16939P106	209	4827	SH		DEFINED	2	4827	0	0
CHINA LIFE INS CO LTD	SPON ADR REP H	16939P106	336	7700	SH	PUT	DEFINED	1	0	0	0
CHINA LIFE INS CO LTD	SPON ADR REP H	16939P106	6796	155700	SH	PUT	DEFINED	2	0	0	0
CHINA LIFE INS CO LTD	SPON ADR REP H	16939P106	5120	117300	SH	CALL	DEFINED	2	0	0	0
CHINA LIFE INS CO LTD	SPON ADR REP H	16939P106	362	8300	SH	CALL	DEFINED	1	0	0	0
CHINA MING YANG WIND PWR GRO	SPONSORED ADR	16951C108	32	28468	SH		DEFINED	3	28468	0	0
CHINA MOBILE LIMITED	SPONSORED ADR	16941M109	767	13849	SH		DEFINED	2	13849	0	0
CHINA MOBILE LIMITED	SPONSORED ADR	16941M109	4408	79623	SH		DEFINED	1	79623	0	0
CHINA MOBILE LIMITED	SPONSORED ADR	16941M109	7496	135400	SH	PUT	DEFINED	1	0	0	0
CHINA MOBILE LIMITED	SPONSORED ADR	16941M109	15623	282200	SH	PUT	DEFINED	2	0	0	0
CHINA MOBILE LIMITED	SPONSORED ADR	16941M109	32114	580100	SH	CALL	DEFINED	2	0	0	0
CHINA MOBILE LIMITED	SPONSORED ADR	16941M109	3156	57000	SH	CALL	DEFINED	1	0	0	0
CHINA NEPSTAR CHAIN DRUGSTOR	SPONSORED ADR	16943C109	49	28348	SH		DEFINED	2	28348	0	0
CHINA NEPSTAR CHAIN DRUGSTOR	SPONSORED ADR	16943C109	43	24839	SH		DEFINED	3	24839	0	0
CHINA NEPSTAR CHAIN DRUGSTOR	SPONSORED ADR	16943C109	58	33700	SH		DEFINED	"5,7"	33700	0	0
CHINA PETE & CHEM CORP	SPON ADR H SHS	16941R108	1189	12864	SH		DEFINED	2	12864	0	0
CHINA PETE & CHEM CORP	SPON ADR H SHS	16941R108	14066	152200	SH	PUT	DEFINED	2	0	0	0
CHINA PETE & CHEM CORP	SPON ADR H SHS	16941R108	11571	125200	SH	CALL	DEFINED	2	0	0	0
CHINA SHEN ZHOU MNG & RES IN	COM	16942H109	21	54080	SH		DEFINED	2	54080	0	0
CHINA SHEN ZHOU MNG & RES IN	COM	16942H109	11	27900	SH	PUT	DEFINED	2	0	0	0
CHINA TRANSINFO TECHNLGY COR	COM	169453107	201	35100	SH	PUT	DEFINED	2	0	0	0
CHINA UNICOM (HONG KONG) LTD	SPONSORED ADR	16945R104	708	43380	SH		DEFINED	2	43380	0	0
CHINA UNICOM (HONG KONG) LTD	SPONSORED ADR	16945R104	1425	87100	SH	PUT	DEFINED	2	0	0	0
CHINA UNICOM (HONG KONG) LTD	SPONSORED ADR	16945R104	967	59100	SH	CALL	DEFINED	2	0	0	0
CHINA XD PLASTICS CO LTD	COM	16948F107	84	22000	SH	PUT	DEFINED	2	0	0	0
CHINA YUCHAI INTL LTD	COM	G21082105	366	28689	SH		DEFINED	2	28689	0	0
CHINA YUCHAI INTL LTD	COM	G21082105	589	46200	SH	PUT	DEFINED	2	0	0	0
CHINA YUCHAI INTL LTD	COM	G21082105	375	29400	SH	CALL	DEFINED	2	0	0	0
CHIPMOS TECH BERMUDA LTD	SHS	G2110R114	568	35805	SH		DEFINED	2	35805	0	0
CHIPMOS TECH BERMUDA LTD	SHS	G2110R114	480	30300	SH	PUT	DEFINED	2	0	0	0
CHIPMOS TECH BERMUDA LTD	SHS	G2110R114	1457	91900	SH	CALL	DEFINED	2	0	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	36373	114545	SH		DEFINED	2	114545	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	3008	9473	SH		DEFINED	1	9473	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	4077	12839	SH		DEFINED	3	12839	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	298392	939700	SH	PUT	DEFINED	2	0	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	120633	379900	SH	PUT	DEFINED	1	0	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	6573	20700	SH	PUT	DEFINED	3	0	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	134510	423600	SH	CALL	DEFINED	1	0	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	4668	14700	SH	CALL	DEFINED	3	0	0	0
CHIPOTLE MEXICAN GRILL INC	COM	169656105	261431	823300	SH	CALL	DEFINED	2	0	0	0
CHIQUITA BRANDS INTL INC	COM	170032809	256	33503	SH		DEFINED	3	33503	0	0
CHIQUITA BRANDS INTL INC	COM	170032809	82	10681	SH		DEFINED	2	10681	0	0
CHIQUITA BRANDS INTL INC	COM	170032809	504	66000	SH	PUT	DEFINED	2	0	0	0
CHIQUITA BRANDS INTL INC	COM	170032809	1222	159900	SH	CALL	DEFINED	2	0	0	0
CHOICE HOTELS INTL INC	COM	169905106	3410	106600	SH		DEFINED	"5,7"	106600	0	0
CHRISTOPHER & BANKS CORP	COM	171046105	376	107121	SH		DEFINED	3	107121	0	0
CHUBB CORP	COM	171232101	1957	25649	SH		DEFINED	2	25649	0	0
CHUBB CORP	COM	171232101	2476	32454	SH		DEFINED	3	32454	0	0
CHUBB CORP	COM	171232101	2746	36000	SH	PUT	DEFINED	1	0	0	0
CHUBB CORP	COM	171232101	8154	106900	SH	PUT	DEFINED	2	0	0	0
CHUBB CORP	COM	171232101	1571	20600	SH	CALL	DEFINED	1	0	0	0
CHUBB CORP	COM	171232101	9512	124700	SH	CALL	DEFINED	2	0	0	0
CHUNGHWA TELECOM CO LTD	SPON ADR NEW11	17133Q502	270	8500	SH	CALL	DEFINED	2	0	0	0
CHURCH & DWIGHT INC	COM	171340102	1021	18916	SH		DEFINED	1	18916	0	0
CHURCH & DWIGHT INC	COM	171340102	2829	52400	SH	PUT	DEFINED	1	0	0	0
CHURCH & DWIGHT INC	COM	171340102	2111	39100	SH	PUT	DEFINED	2	0	0	0
CHURCH & DWIGHT INC	COM	171340102	2942	54500	SH	CALL	DEFINED	1	0	0	0
CHURCH & DWIGHT INC	COM	171340102	6554	121400	SH	CALL	DEFINED	2	0	0	0
CIBER INC	COM	17163B102	82	23709	SH		DEFINED	3	23709	0	0
CIBER INC	COM	17163B102	48	13721	SH		DEFINED	2	13721	0	0
CIENA CORP	COM NEW	171779309	816	59986	SH		DEFINED	2	59986	0	0
CIENA CORP	COM NEW	171779309	417	30653	SH		DEFINED	3	30653	0	0
CIENA CORP	COM NEW	171779309	257	18861	SH		DEFINED	1	18861	0	0
CIENA CORP	COM NEW	171779309	16494	1212800	SH	PUT	DEFINED	2	0	0	0
CIENA CORP	COM NEW	171779309	1126	82800	SH	PUT	DEFINED	1	0	0	0
CIENA CORP	COM NEW	171779309	18987	1396100	SH	CALL	DEFINED	2	0	0	0
CIENA CORP	COM NEW	171779309	981	72100	SH	CALL	DEFINED	1	0	0	0
CIGNA CORPORATION	COM	125509109	685	14527	SH		DEFINED	3	14527	0	0
CIGNA CORPORATION	COM	125509109	15349	325398	SH		DEFINED	2	325398	0	0
CIGNA CORPORATION	COM	125509109	39283	832800	SH	PUT	DEFINED	2	0	0	0
CIGNA CORPORATION	COM	125509109	481	10200	SH	CALL	DEFINED	1	0	0	0
CIGNA CORPORATION	COM	125509109	288	6100	SH	CALL	DEFINED	3	0	0	0
CIGNA CORPORATION	COM	125509109	14934	316600	SH	CALL	DEFINED	2	0	0	0
CIMAREX ENERGY CO	COM	171798101	436	7452	SH		DEFINED	2	7452	0	0
CIMAREX ENERGY CO	COM	171798101	211	3600	SH	PUT	DEFINED	1	0	0	0
CIMAREX ENERGY CO	COM	171798101	6604	112800	SH	PUT	DEFINED	2	0	0	0
CIMAREX ENERGY CO	COM	171798101	21792	372200	SH	CALL	DEFINED	2	0	0	0
CIMAREX ENERGY CO	COM	171798101	474	8100	SH	CALL	DEFINED	1	0	0	0
CINCINNATI BELL INC NEW	COM	171871106	213	37380	SH		DEFINED	2	37380	0	0
CINCINNATI FINL CORP	COM	172062101	1753	46272	SH		DEFINED	2	46272	0	0
CINCINNATI FINL CORP	COM	172062101	1371	36200	SH		DEFINED	9	36200	0	0
CINCINNATI FINL CORP	COM	172062101	384	10135	SH		DEFINED	3	10135	0	0
CINCINNATI FINL CORP	COM	172062101	1091	28800	SH	CALL	DEFINED	2	0	0	0
CINEMARK HOLDINGS INC	COM	17243V102	672	29973	SH		DEFINED	3	29973	0	0
CINEMARK HOLDINGS INC	COM	17243V102	561	25006	SH		DEFINED	2	25006	0	0
CINEMARK HOLDINGS INC	COM	17243V102	1175	52400	SH	CALL	DEFINED	2	0	0	0
CINTAS CORP	COM	172908105	740	17851	SH		DEFINED	3	17851	0	0
CINTAS CORP	COM	172908105	335	8076	SH		DEFINED	2	8076	0	0
CINTAS CORP	COM	172908105	1393	33600	SH	PUT	DEFINED	2	0	0	0
CINTAS CORP	COM	172908105	477	11500	SH	CALL	DEFINED	1	0	0	0
CINTAS CORP	COM	172908105	8236	198700	SH	CALL	DEFINED	2	0	0	0
CIRRUS LOGIC INC	COM	172755100	13214	344206	SH		DEFINED	2	344206	0	0
CIRRUS LOGIC INC	COM	172755100	4140	107834	SH		DEFINED	1	107834	0	0
CIRRUS LOGIC INC	COM	172755100	7551	196700	SH	PUT	DEFINED	1	0	0	0
CIRRUS LOGIC INC	COM	172755100	31741	826800	SH	PUT	DEFINED	2	0	0	0
CIRRUS LOGIC INC	COM	172755100	9789	255000	SH	CALL	DEFINED	1	0	0	0
CIRRUS LOGIC INC	COM	172755100	34428	896800	SH	CALL	DEFINED	2	0	0	0
CISCO SYS INC	COM	17275R102	207150	10851230	SH		DEFINED	2	10851230	0	0
CISCO SYS INC	COM	17275R102	2838	148600	SH		DEFINED	9	148600	0	0
CISCO SYS INC	COM	17275R102	11436	599060	SH		DEFINED	1	599060	0	0
CISCO SYS INC	COM	17275R102	3086	161677	SH		DEFINED	3	161677	0	0
CISCO SYS INC	COM	17275R102	13725	718800	SH	PUT	DEFINED	1	0	0	0
CISCO SYS INC	COM	17275R102	237	12400	SH	PUT	DEFINED	3	0	0	0
CISCO SYS INC	COM	17275R102	273410	14318400	SH	PUT	DEFINED	2	0	0	0
CISCO SYS INC	COM	17275R102	162787	8525100	SH	CALL	DEFINED	2	0	0	0
CISCO SYS INC	COM	17275R102	19240	1007600	SH	CALL	DEFINED	1	0	0	0
CISCO SYS INC	COM	17275R102	239	12500	SH	CALL	DEFINED	3	0	0	0
CIT GROUP INC	COM NEW	125581801	859	21801	SH		DEFINED	2	21801	0	0
CIT GROUP INC	COM NEW	125581801	4136	105000	SH		DEFINED	9	105000	0	0
CIT GROUP INC	COM NEW	125581801	1501	38100	SH	PUT	DEFINED	1	0	0	0
CIT GROUP INC	COM NEW	125581801	22543	572300	SH	PUT	DEFINED	2	0	0	0
CIT GROUP INC	COM NEW	125581801	4333	110000	SH	CALL	DEFINED	1	0	0	0
CIT GROUP INC	COM NEW	125581801	53807	1366000	SH	CALL	DEFINED	2	0	0	0
CIT GROUP INC	COM NEW	125581801	2336	59300	SH	CALL	DEFINED	3	0	0	0
CITI TRENDS INC	COM	17306X102	237	18896	SH		DEFINED	2	18896	0	0
CITI TRENDS INC	COM	17306X102	183	14600	SH	PUT	DEFINED	2	0	0	0
CITIGROUP INC	*W EXP 01/04/201	172967226	1030	2783466	SH		DEFINED	"5,7"	2783466	0	0
CITIGROUP INC	COM NEW	172967424	125409	3832787	SH		DEFINED	2	3832787	0	0
CITIGROUP INC	COM NEW	172967424	18602	568522	SH		DEFINED	3	568522	0	0
CITIGROUP INC	COM NEW	172967424	14353	438651	SH		DEFINED	1	438651	0	0
CITIGROUP INC	COM NEW	172967424	10264	313700	SH	PUT	DEFINED	3	0	0	0
CITIGROUP INC	COM NEW	172967424	52902	1616800	SH	PUT	DEFINED	1	0	0	0
CITIGROUP INC	COM NEW	172967424	538660	16462700	SH	PUT	DEFINED	2	0	0	0
CITIGROUP INC	COM NEW	172967424	85651	2617700	SH	CALL	DEFINED	1	0	0	0
CITIGROUP INC	COM NEW	172967424	381303	11653500	SH	CALL	DEFINED	2	0	0	0
CITIZENS HLDG CO MISS	COM	174715102	466	24194	SH		DEFINED	3	24194	0	0
CITIZENS REPUBLIC BANCORP IN	COM NEW	174420307	1024	52900	SH	CALL	DEFINED	2	0	0	0
CITRIX SYS INC	COM	177376100	6832	89222	SH		DEFINED	1	89222	0	0
CITRIX SYS INC	COM	177376100	12597	164522	SH		DEFINED	2	164522	0	0
CITRIX SYS INC	COM	177376100	16700	218100	SH	PUT	DEFINED	1	0	0	0
CITRIX SYS INC	COM	177376100	23086	301500	SH	PUT	DEFINED	2	0	0	0
CITRIX SYS INC	COM	177376100	12619	164800	SH	CALL	DEFINED	1	0	0	0
CITRIX SYS INC	COM	177376100	41823	546200	SH	CALL	DEFINED	2	0	0	0
CITY NATL CORP	COM	178566105	268	5200	SH	CALL	DEFINED	2	0	0	0
CITY TELECOM H K LTD	SPONSORED ADR	178677209	394	84300	SH		DEFINED	"5,7"	84300	0	0
CITY TELECOM H K LTD	SPONSORED ADR	178677209	229	49100	SH	PUT	DEFINED	2	0	0	0
CITY TELECOM H K LTD	SPONSORED ADR	178677209	93	20000	SH	CALL	DEFINED	3	0	0	0
CITY TELECOM H K LTD	SPONSORED ADR	178677209	307	65800	SH	CALL	DEFINED	2	0	0	0
CLARCOR INC	COM	179895107	281	6300	SH	PUT	DEFINED	2	0	0	0
CLARCOR INC	COM	179895107	317	7100	SH	CALL	DEFINED	2	0	0	0
CLAUDE RES INC	COM	182873109	112	132530	SH		DEFINED	3	132530	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BRIC ETF	18383M100	550	15500	SH		DEFINED	2	15500	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BRIC ETF	18383M100	284	8000	SH	PUT	DEFINED	2	0	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BRIC ETF	18383M100	876	24700	SH	CALL	DEFINED	2	0	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG INSDR SENT	18383M209	363	10400	SH		DEFINED	2	10400	0	0
CLAYMORE EXCHANGE TRD FD TR	WILSHIRE MCRO CP	18383M308	324	16999	SH		DEFINED	3	16999	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG BLT2018 HY	18383M381	1297	50132	SH		DEFINED	3	50132	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BULL 2015	18383M423	1557	59102	SH		DEFINED	3	59102	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BULL 2014	18383M431	1778	67417	SH		DEFINED	3	67417	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BULL 2013	18383M449	225	8685	SH		DEFINED	3	8685	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG BULL 2012	18383M456	919	35966	SH		DEFINED	3	35966	0	0
CLAYMORE EXCHANGE TRD FD TR	WLSHR US REIT	18383M472	1312	36695	SH		DEFINED	2	36695	0	0
CLAYMORE EXCHANGE TRD FD TR	WLSHRE4500 ETF	18383M480	5201	161280	SH		DEFINED	2	161280	0	0
CLAYMORE EXCHANGE TRD FD TR	WLSHRE5000 ETF	18383M498	452	14097	SH		DEFINED	2	14097	0	0
CLAYMORE EXCHANGE TRD FD TR	WLSHRE5000 ETF	18383M498	204	6367	SH		DEFINED	3	6367	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG MULTI ASSET	18383M506	3181	142346	SH		DEFINED	2	142346	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG BULL2019 E	18383M522	1601	76153	SH		DEFINED	3	76153	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG BULL2018 E	18383M530	1592	75647	SH		DEFINED	3	75647	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CRP BD 2017	18383M548	1298	56724	SH		DEFINED	3	56724	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CRP BD 2015	18383M563	547	25007	SH		DEFINED	3	25007	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CRP BD 2012	18383M597	2180	106983	SH		DEFINED	3	106983	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG SPINOFF ETF	18383M605	1373	49947	SH		DEFINED	2	49947	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG RAYM JAMES S	18383M613	692	30361	SH		DEFINED	2	30361	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG ENH CRE BN	18383M662	487	9281	SH		DEFINED	3	9281	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG MIDCAP CORE	18383M720	1982	59414	SH		DEFINED	2	59414	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG S^PG DIV OPP	18383M860	2632	204808	SH		DEFINED	2	204808	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGGEN DEFN EQTY	18383M878	1657	55986	SH		DEFINED	2	55986	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CHN TECH	18383Q135	1447	66906	SH		DEFINED	2	66906	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG S^P GBL WTR	18383Q507	448	20667	SH		DEFINED	3	20667	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG S^P GBL WTR	18383Q507	2054	94684	SH		DEFINED	2	94684	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CA ENRG INC	18383Q606	1538	91353	SH		DEFINED	2	91353	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CA ENRG INC	18383Q606	912	54130	SH		DEFINED	3	54130	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGGENHEIM SOLAR	18383Q739	879	52472	SH		DEFINED	2	52472	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGGENHEIM SOLAR	18383Q739	1745	104100	SH	PUT	DEFINED	2	0	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG ABC HI DIV	18383Q788	989	52762	SH		DEFINED	2	52762	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG SHIPPNG ETF	18383Q796	2028	132909	SH		DEFINED	2	132909	0	0
CLAYMORE EXCHANGE TRD FD TR	GUG INTL MLT ASS	18383Q804	1144	70019	SH		DEFINED	2	70019	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG AIRLINE ETF	18383Q812	1000	34402	SH		DEFINED	2	34402	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG AIRLINE ETF	18383Q812	472	16217	SH		DEFINED	3	16217	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG FRNTR MKT	18383Q838	975	48504	SH		DEFINED	2	48504	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CHN SML CAP	18383Q853	2509	126955	SH		DEFINED	2	126955	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CHN SML CAP	18383Q853	233	11800	SH	PUT	DEFINED	2	0	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG CHN RL EST	18383Q861	2624	130746	SH		DEFINED	2	130746	0	0
CLAYMORE EXCHANGE TRD FD TR	GUGG TIMBER ETF	18383Q879	428	23266	SH		DEFINED	2	23266	0	0
CLAYMORE EXCHANGE-TRD FD TR	GUGG CHINA ALLCP	18385P101	1359	59533	SH		DEFINED	2	59533	0	0
CLAYMORE EXCHANGE-TRD FD TR	GUGG CHINA ALLCP	18385P101	361	15820	SH		DEFINED	3	15820	0	0
CLAYMORE EXCHANGE-TRD FD TR	GUGG CHINA ALLCP	18385P101	459	20100	SH	PUT	DEFINED	2	0	0	0
CLEAN ENERGY FUELS CORP	COM	184499101	189	14367	SH		DEFINED	1	14367	0	0
CLEAN ENERGY FUELS CORP	COM	184499101	9606	729408	SH		DEFINED	2	729408	0	0
CLEAN ENERGY FUELS CORP	COM	184499101	10374	787700	SH	PUT	DEFINED	2	0	0	0
CLEAN ENERGY FUELS CORP	COM	184499101	395	30000	SH	PUT	DEFINED	1	0	0	0
CLEAN ENERGY FUELS CORP	COM	184499101	1025	77800	SH	CALL	DEFINED	2	0	0	0
CLEAN HARBORS INC	COM	184496107	385	7887	SH		DEFINED	3	7887	0	0
CLEAN HARBORS INC	COM	184496107	1187	24300	SH	PUT	DEFINED	2	0	0	0
CLEAN HARBORS INC	COM	184496107	1651	33800	SH	CALL	DEFINED	2	0	0	0
CLEAR CHANNEL OUTDOOR HLDGS	CL A	18451C109	369	61675	SH		DEFINED	"5,7"	61675	0	0
CLEARWATER PAPER CORP	COM	18538R103	306	7400	SH	PUT	DEFINED	2	0	0	0
CLEARWATER PAPER CORP	COM	18538R103	1132	27400	SH	CALL	DEFINED	2	0	0	0
CLEARWIRE CORP NEW	CL A	18538Q105	1235	914915	SH		DEFINED	2	914915	0	0
CLEARWIRE CORP NEW	CL A	18538Q105	728	539000	SH	PUT	DEFINED	2	0	0	0
CLEARWIRE CORP NEW	CL A	18538Q105	21	15600	SH	CALL	DEFINED	1	0	0	0
CLEARWIRE CORP NEW	CL A	18538Q105	417	309000	SH	CALL	DEFINED	2	0	0	0
CLECO CORP NEW	COM	12561W105	895	21313	SH		DEFINED	2	21313	0	0
CLEVELAND BIOLABS INC	COM	185860103	93	34515	SH		DEFINED	3	34515	0	0
CLEVELAND BIOLABS INC	COM	185860103	121	45197	SH		DEFINED	2	45197	0	0
CLEVELAND BIOLABS INC	COM	185860103	55	20400	SH	PUT	DEFINED	2	0	0	0
CLEVELAND BIOLABS INC	COM	185860103	33	12400	SH	CALL	DEFINED	2	0	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	3653	93355	SH		DEFINED	3	93355	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	4590	117294	SH		DEFINED	1	117294	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	55929	1429322	SH		DEFINED	2	1429322	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	23145	591500	SH	PUT	DEFINED	1	0	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	198240	5066200	SH	PUT	DEFINED	2	0	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	6445	164700	SH	PUT	DEFINED	3	0	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	15222	389000	SH	CALL	DEFINED	1	0	0	0
CLIFFS NATURAL RESOURCES INC	COM	18683K101	111360	2845900	SH	CALL	DEFINED	2	0	0	0
CLOROX CO DEL	COM	189054109	216	2999	SH		DEFINED	3	2999	0	0
CLOROX CO DEL	COM	189054109	2367	32846	SH		DEFINED	2	32846	0	0
CLOROX CO DEL	COM	189054109	10707	148600	SH	PUT	DEFINED	2	0	0	0
CLOROX CO DEL	COM	189054109	16456	228400	SH	CALL	DEFINED	2	0	0	0
CLOUD PEAK ENERGY INC	COM	18911Q102	536	29600	SH		DEFINED	9	29600	0	0
CLOUD PEAK ENERGY INC	COM	18911Q102	2294	126725	SH		DEFINED	3	126725	0	0
CLOUD PEAK ENERGY INC	COM	18911Q102	1238	68400	SH	PUT	DEFINED	2	0	0	0
CLOUD PEAK ENERGY INC	COM	18911Q102	1477	81600	SH	CALL	DEFINED	2	0	0	0
CME GROUP INC	COM	12572Q105	2762	48202	SH		DEFINED	2	48202	0	0
CME GROUP INC	COM	12572Q105	2132	37212	SH		DEFINED	3	37212	0	0
CME GROUP INC	COM	12572Q105	860	15000	SH		DEFINED		15000	0	0
CME GROUP INC	COM	12572Q105	1693	29550	SH		DEFINED	1	29550	0	0
CME GROUP INC	COM	12572Q105	89812	1567400	SH	PUT	DEFINED	2	0	0	0
CME GROUP INC	COM	12572Q105	14972	261300	SH	PUT	DEFINED	1	0	0	0
CME GROUP INC	COM	12572Q105	56681	989200	SH	CALL	DEFINED	2	0	0	0
CME GROUP INC	COM	12572Q105	10893	190100	SH	CALL	DEFINED	1	0	0	0
CMS ENERGY CORP	COM	125896100	920	39064	SH		DEFINED	2	39064	0	0
CMS ENERGY CORP	COM	125896100	462	19600	SH	PUT	DEFINED	2	0	0	0
CMS ENERGY CORP	COM	125896100	502	21300	SH	CALL	DEFINED	2	0	0	0
CNH GLOBAL N V	SHS NEW	N20935206	784	20217	SH		DEFINED	2	20217	0	0
CNH GLOBAL N V	SHS NEW	N20935206	261	6734	SH		DEFINED	3	6734	0	0
CNH GLOBAL N V	SHS NEW	N20935206	3427	88400	SH	PUT	DEFINED	2	0	0	0
CNH GLOBAL N V	SHS NEW	N20935206	4738	122200	SH	CALL	DEFINED	2	0	0	0
CNH GLOBAL N V	SHS NEW	N20935206	283	7300	SH	CALL	DEFINED	1	0	0	0
CNINSURE INC	SPONSORED ADR	18976M103	107	18400	SH	PUT	DEFINED	2	0	0	0
CNINSURE INC	SPONSORED ADR	18976M103	135	23200	SH	CALL	DEFINED	2	0	0	0
CNO FINL GROUP INC	COM	12621E103	1797	186200	SH		DEFINED	9	186200	0	0
CNO FINL GROUP INC	COM	12621E103	2744	284387	SH		DEFINED	2	284387	0	0
CNO FINL GROUP INC	COM	12621E103	649	67300	SH	PUT	DEFINED	2	0	0	0
CNO FINL GROUP INC	COM	12621E103	155	16100	SH	CALL	DEFINED	1	0	0	0
CNO FINL GROUP INC	COM	12621E103	666	69000	SH	CALL	DEFINED	2	0	0	0
CNOOC LTD	SPONSORED ADR	126132109	2652	13081	SH		DEFINED	1	13081	0	0
CNOOC LTD	SPONSORED ADR	126132109	437	2156	SH		DEFINED	2	2156	0	0
CNOOC LTD	SPONSORED ADR	126132109	40911	201800	SH	PUT	DEFINED	2	0	0	0
CNOOC LTD	SPONSORED ADR	126132109	8434	41600	SH	PUT	DEFINED	1	0	0	0
CNOOC LTD	SPONSORED ADR	126132109	4440	21900	SH	CALL	DEFINED	1	0	0	0
CNOOC LTD	SPONSORED ADR	126132109	16279	80300	SH	CALL	DEFINED	2	0	0	0
COACH INC	COM	189754104	2959	52817	SH		DEFINED	1	52817	0	0
COACH INC	COM	189754104	8695	155210	SH		DEFINED	2	155210	0	0
COACH INC	COM	189754104	16985	303200	SH	PUT	DEFINED	1	0	0	0
COACH INC	COM	189754104	47516	848200	SH	PUT	DEFINED	2	0	0	0
COACH INC	COM	189754104	39785	710200	SH	CALL	DEFINED	2	0	0	0
COACH INC	COM	189754104	5989	106900	SH	CALL	DEFINED	1	0	0	0
COBALT INTL ENERGY INC	COM	19075F106	1897	85176	SH		DEFINED	2	85176	0	0
COBALT INTL ENERGY INC	COM	19075F106	429	19260	SH		DEFINED	1	19260	0	0
COBALT INTL ENERGY INC	COM	19075F106	289	12967	SH		DEFINED	3	12967	0	0
COBALT INTL ENERGY INC	COM	19075F106	412	18500	SH	PUT	DEFINED	3	0	0	0
COBALT INTL ENERGY INC	COM	19075F106	2851	128000	SH	PUT	DEFINED	1	0	0	0
COBALT INTL ENERGY INC	COM	19075F106	9095	408400	SH	PUT	DEFINED	2	0	0	0
COBALT INTL ENERGY INC	COM	19075F106	1096	49200	SH	CALL	DEFINED	3	0	0	0
COBALT INTL ENERGY INC	COM	19075F106	4013	180200	SH	CALL	DEFINED	1	0	0	0
COBALT INTL ENERGY INC	COM	19075F106	18573	834000	SH	CALL	DEFINED	2	0	0	0
COCA COLA CO	COM	191216100	15351	404710	SH		DEFINED	1	404710	0	0
COCA COLA CO	COM	191216100	166682	4394454	SH		DEFINED	3	4394454	0	0
COCA COLA CO	COM	191216100	61363	1617792	SH		DEFINED	2	1617792	0	0
COCA COLA CO	COM	191216100	299306	7891000	SH	PUT	DEFINED	2	0	0	0
COCA COLA CO	COM	191216100	31812	838700	SH	PUT	DEFINED	1	0	0	0
COCA COLA CO	COM	191216100	10393	274000	SH	CALL	DEFINED	1	0	0	0
COCA COLA CO	COM	191216100	176822	4661800	SH	CALL	DEFINED	2	0	0	0
COCA COLA ENTERPRISES INC NE	COM	19122T109	387	12382	SH		DEFINED	1	12382	0	0
COCA COLA ENTERPRISES INC NE	COM	19122T109	9676	309443	SH		DEFINED	2	309443	0	0
COCA COLA ENTERPRISES INC NE	COM	19122T109	2574	82322	SH		DEFINED	3	82322	0	0
COCA COLA ENTERPRISES INC NE	COM	19122T109	32049	1024900	SH	PUT	DEFINED	2	0	0	0
COCA COLA ENTERPRISES INC NE	COM	19122T109	422	13500	SH	PUT	DEFINED	1	0	0	0
COCA COLA ENTERPRISES INC NE	COM	19122T109	6958	222500	SH	CALL	DEFINED	2	0	0	0
COCA COLA FEMSA S A B DE C V	SPON ADR REP L	191241108	774	6000	SH		DEFINED	9	6000	0	0
COCA COLA FEMSA S A B DE C V	SPON ADR REP L	191241108	258	2000	SH	PUT	DEFINED	2	0	0	0
COCA COLA FEMSA S A B DE C V	SPON ADR REP L	191241108	555	4300	SH	CALL	DEFINED	2	0	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	431	14941	SH		DEFINED	1	14941	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	368	12769	SH		DEFINED	3	12769	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	3117	108100	SH		DEFINED	9	108100	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	7719	267742	SH		DEFINED	2	267742	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	9254	321000	SH	PUT	DEFINED	2	0	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	709	24600	SH	PUT	DEFINED	1	0	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	9468	328400	SH	CALL	DEFINED	2	0	0	0
COEUR D ALENE MINES CORP IDA	COM NEW	192108504	2387	82800	SH	CALL	DEFINED	1	0	0	0
COGENT COMM GROUP INC	COM NEW	19239V302	4023	175000	SH		DEFINED	"5,7"	175000	0	0
COGENT COMM GROUP INC	COM NEW	19239V302	1152	50100	SH	PUT	DEFINED	2	0	0	0
COGENT COMM GROUP INC	COM NEW	19239V302	1917	83400	SH	CALL	DEFINED	2	0	0	0
COGNEX CORP	COM	192422103	453	13100	SH	PUT	DEFINED	2	0	0	0
COGNEX CORP	COM	192422103	581	16800	SH	CALL	DEFINED	1	0	0	0
COGNEX CORP	COM	192422103	778	22500	SH	CALL	DEFINED	2	0	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	10856	155270	SH		DEFINED	2	155270	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	2676	38275	SH		DEFINED	3	38275	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	1231	17600	SH	PUT	DEFINED	1	0	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	22193	317400	SH	PUT	DEFINED	2	0	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	13697	195900	SH	CALL	DEFINED	2	0	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	4922	70400	SH	CALL	DEFINED	1	0	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A	192446102	531	7600	SH	CALL	DEFINED	3	0	0	0
COGO GROUP INC	ORD SHS	G22538105	39	18778	SH		DEFINED	2	18778	0	0
COGO GROUP INC	ORD SHS	G22538105	35	17000	SH	PUT	DEFINED	2	0	0	0
COHEN & STEERS INC	COM	19247A100	261	8800	SH	PUT	DEFINED	2	0	0	0
COHERENT INC	COM	192479103	229	5000	SH	PUT	DEFINED	2	0	0	0
COHERENT INC	COM	192479103	500	10900	SH	CALL	DEFINED	2	0	0	0
COHU INC	COM	192576106	105	11140	SH		DEFINED	2	11140	0	0
COHU INC	COM	192576106	123	13100	SH	PUT	DEFINED	2	0	0	0
COINSTAR INC	COM	19259P300	4973	110562	SH		DEFINED	1	110562	0	0
COINSTAR INC	COM	19259P300	357	7931	SH		DEFINED	2	7931	0	0
COINSTAR INC	COM	19259P300	747	16600	SH	PUT	DEFINED	3	0	0	0
COINSTAR INC	COM	19259P300	9302	206800	SH	PUT	DEFINED	2	0	0	0
COINSTAR INC	COM	19259P300	8695	193300	SH	PUT	DEFINED	1	0	0	0
COINSTAR INC	COM	19259P300	1984	44100	SH	CALL	DEFINED	3	0	0	0
COINSTAR INC	COM	19259P300	13098	291200	SH	CALL	DEFINED	2	0	0	0
COINSTAR INC	COM	19259P300	2861	63600	SH	CALL	DEFINED	1	0	0	0
COLDWATER CREEK INC	COM	193068103	619	745936	SH		DEFINED	3	745936	0	0
COLFAX CORP	COM	194014106	2028	55300	SH	PUT	DEFINED	2	0	0	0
COLGATE PALMOLIVE CO	COM	194162103	4680	43646	SH		DEFINED	2	43646	0	0
COLGATE PALMOLIVE CO	COM	194162103	7732	72112	SH		DEFINED	3	72112	0	0
COLGATE PALMOLIVE CO	COM	194162103	9784	91250	SH		DEFINED	1	91250	0	0
COLGATE PALMOLIVE CO	COM	194162103	8159	76100	SH	PUT	DEFINED	3	0	0	0
COLGATE PALMOLIVE CO	COM	194162103	67077	625600	SH	PUT	DEFINED	2	0	0	0
COLGATE PALMOLIVE CO	COM	194162103	14861	138600	SH	PUT	DEFINED	1	0	0	0
COLGATE PALMOLIVE CO	COM	194162103	60032	559900	SH	CALL	DEFINED	2	0	0	0
COLGATE PALMOLIVE CO	COM	194162103	21144	197200	SH	CALL	DEFINED	1	0	0	0
COLLECTIVE BRANDS INC	COM	19421W100	781	35956	SH		DEFINED	3	35956	0	0
COLLECTIVE BRANDS INC	COM	19421W100	1970	90763	SH		DEFINED	2	90763	0	0
COLLECTIVE BRANDS INC	COM	19421W100	4800	221100	SH	PUT	DEFINED	2	0	0	0
COLLECTIVE BRANDS INC	COM	19421W100	1072	49400	SH	CALL	DEFINED	2	0	0	0
COLONIAL PPTYS TR	COM SH BEN INT	195872106	291	13836	SH		DEFINED	3	13836	0	0
COLONY FINL INC	COM	19624R106	705	36200	SH		DEFINED	9	36200	0	0
COLUMBIA ETF TR	COLUMBIA CON LRG	19761R109	1067	34885	SH		DEFINED	2	34885	0	0
COLUMBIA ETF TR	INTERMED MUN	19761R703	2221	40506	SH		DEFINED	3	40506	0	0
COLUMBIA ETF TR	CORE BD STRAT	19761R802	960	17720	SH		DEFINED	3	17720	0	0
COLUMBIA LABS INC	COM	197779101	221	223460	SH		DEFINED	3	223460	0	0
COLUMBIA LABS INC	COM	197779101	40	40457	SH		DEFINED	2	40457	0	0
COLUMBIA SPORTSWEAR CO	COM	198516106	254	4700	SH	PUT	DEFINED	2	0	0	0
COLUMBIA SPORTSWEAR CO	COM	198516106	335	6200	SH	CALL	DEFINED	2	0	0	0
COLUMBIA SPORTSWEAR CO	COM	198516106	216	4000	SH	CALL	DEFINED	1	0	0	0
COMCAST CORP NEW	CL A	20030N101	38787	1084343	SH		DEFINED	2	1084343	0	0
COMCAST CORP NEW	CL A	20030N101	687	19213	SH		DEFINED	3	19213	0	0
COMCAST CORP NEW	CL A	20030N101	21394	598100	SH	PUT	DEFINED	2	0	0	0
COMCAST CORP NEW	CL A	20030N101	2579	72100	SH	PUT	DEFINED	1	0	0	0
COMCAST CORP NEW	CL A	20030N101	36396	1017500	SH	CALL	DEFINED	2	0	0	0
COMCAST CORP NEW	CL A	20030N101	3759	105100	SH	CALL	DEFINED	1	0	0	0
COMCAST CORP NEW	CL A SPL	20030N200	10343	297212	SH		DEFINED	3	297212	0	0
COMCAST CORP NEW	CL A SPL	20030N200	2109	60600	SH	PUT	DEFINED	2	0	0	0
COMCAST CORP NEW	CL A SPL	20030N200	12531	360100	SH	CALL	DEFINED	2	0	0	0
COMCAST CORP NEW	CL A SPL	20030N200	310	8900	SH	CALL	DEFINED	1	0	0	0
COMERICA INC	COM	200340107	551	17744	SH		DEFINED	2	17744	0	0
COMERICA INC	COM	200340107	4766	153500	SH	PUT	DEFINED	2	0	0	0
COMERICA INC	COM	200340107	25337	816000	SH	CALL	DEFINED	2	0	0	0
COMERICA INC	*W EXP 11/14/201	200340115	3982	548494	SH		DEFINED	"5,7"	548494	0	0
COMMERCE BANCSHARES INC	COM	200525103	287	7117	SH		DEFINED	3	7117	0	0
COMMERCE BANCSHARES INC	COM	200525103	2629	65190	SH		DEFINED	9	65190	0	0
COMMERCIAL METALS CO	COM	201723103	387	29329	SH		DEFINED	2	29329	0	0
COMMERCIAL METALS CO	COM	201723103	594	45013	SH		DEFINED	3	45013	0	0
COMMERCIAL METALS CO	COM	201723103	977	74000	SH	PUT	DEFINED	2	0	0	0
COMMERCIAL METALS CO	COM	201723103	3296	249700	SH	CALL	DEFINED	2	0	0	0
COMMERCIAL VEH GROUP INC	COM	202608105	84	11362	SH		DEFINED	3	11362	0	0
COMMONWEALTH REIT	COM SH BEN INT	203233101	314	21600	SH	PUT	DEFINED	2	0	0	0
COMMONWEALTH REIT	COM SH BEN INT	203233101	415	28500	SH	CALL	DEFINED	2	0	0	0
COMMUNICATIONS SYS INC	COM	203900105	160	14216	SH		DEFINED	3	14216	0	0
COMMUNITY BK SYS INC	COM	203607106	402	14245	SH		DEFINED	3	14245	0	0
COMMUNITY HEALTH SYS INC NEW	COM	203668108	1087	37300	SH	PUT	DEFINED	2	0	0	0
COMMUNITY HEALTH SYS INC NEW	COM	203668108	478	16400	SH	PUT	DEFINED	1	0	0	0
COMMUNITY HEALTH SYS INC NEW	COM	203668108	530	18200	SH	CALL	DEFINED	1	0	0	0
COMMUNITY HEALTH SYS INC NEW	COM	203668108	18422	632200	SH	CALL	DEFINED	2	0	0	0
COMMVAULT SYSTEMS INC	COM	204166102	264	4500	SH		DEFINED	1	4500	0	0
COMMVAULT SYSTEMS INC	COM	204166102	2291	39027	SH		DEFINED	2	39027	0	0
COMMVAULT SYSTEMS INC	COM	204166102	1184	20162	SH		DEFINED	3	20162	0	0
COMMVAULT SYSTEMS INC	COM	204166102	2994	51000	SH	PUT	DEFINED	2	0	0	0
COMMVAULT SYSTEMS INC	COM	204166102	417	7100	SH	PUT	DEFINED	1	0	0	0
COMMVAULT SYSTEMS INC	COM	204166102	969	16500	SH	CALL	DEFINED	2	0	0	0
COMPANHIA DE BEBIDAS DAS AME	SPON ADR PFD	20441W203	578	15101	SH		DEFINED	1	15101	0	0
COMPANHIA DE BEBIDAS DAS AME	SPON ADR PFD	20441W203	3683	96235	SH		DEFINED	2	96235	0	0
COMPANHIA DE BEBIDAS DAS AME	SPON ADR PFD	20441W203	3930	102700	SH	PUT	DEFINED	1	0	0	0
COMPANHIA DE BEBIDAS DAS AME	SPON ADR PFD	20441W203	11963	312600	SH	PUT	DEFINED	2	0	0	0
COMPANHIA DE BEBIDAS DAS AME	SPON ADR PFD	20441W203	3437	89800	SH	CALL	DEFINED	1	0	0	0
COMPANHIA DE BEBIDAS DAS AME	SPON ADR PFD	20441W203	9124	238400	SH	CALL	DEFINED	2	0	0	0
COMPANHIA DE SANEAMENTO BASI	SPONSORED ADR	20441A102	260	3200	SH	PUT	DEFINED	1	0	0	0
COMPANHIA DE SANEAMENTO BASI	SPONSORED ADR	20441A102	2209	27200	SH	PUT	DEFINED	2	0	0	0
COMPANHIA DE SANEAMENTO BASI	SPONSORED ADR	20441A102	536	6600	SH	CALL	DEFINED	1	0	0	0
COMPANHIA DE SANEAMENTO BASI	SPONSORED ADR	20441A102	5457	67200	SH	CALL	DEFINED	2	0	0	0
COMPANHIA ENERGETICA DE MINA	SP ADR N-V PFD	204409601	2017	166443	SH		DEFINED	9	166443	0	0
COMPANHIA ENERGETICA DE MINA	SP ADR N-V PFD	204409601	157	12975	SH	PUT	DEFINED	2	0	0	0
COMPANHIA SIDERURGICA NACION	SPONSORED ADR	20440W105	82	14538	SH		DEFINED	3	14538	0	0
COMPANHIA SIDERURGICA NACION	SPONSORED ADR	20440W105	2282	405307	SH		DEFINED	2	405307	0	0
COMPANHIA SIDERURGICA NACION	SPONSORED ADR	20440W105	4370	776200	SH	PUT	DEFINED	2	0	0	0
COMPANHIA SIDERURGICA NACION	SPONSORED ADR	20440W105	153	27200	SH	PUT	DEFINED	3	0	0	0
COMPANHIA SIDERURGICA NACION	SPONSORED ADR	20440W105	165	29300	SH	PUT	DEFINED	1	0	0	0
COMPANHIA SIDERURGICA NACION	SPONSORED ADR	20440W105	575	102100	SH	CALL	DEFINED	2	0	0	0
COMPANIA DE MINAS BUENAVENTU	SPONSORED ADR	204448104	2579	66186	SH		DEFINED	2	66186	0	0
COMPANIA DE MINAS BUENAVENTU	SPONSORED ADR	204448104	2178	55900	SH	PUT	DEFINED	2	0	0	0
COMPANIA DE MINAS BUENAVENTU	SPONSORED ADR	204448104	11606	297900	SH	CALL	DEFINED	2	0	0	0
COMPANIA DE MINAS BUENAVENTU	SPONSORED ADR	204448104	506	13000	SH	CALL	DEFINED	1	0	0	0
COMPASS DIVERSIFIED HOLDINGS	SH BEN INT	20451Q104	692	46800	SH		DEFINED	3	46800	0	0
COMPASS DIVERSIFIED HOLDINGS	SH BEN INT	20451Q104	401	27100	SH	PUT	DEFINED	2	0	0	0
COMPASS DIVERSIFIED HOLDINGS	SH BEN INT	20451Q104	636	43000	SH	CALL	DEFINED	2	0	0	0
COMPASS MINERALS INTL INC	COM	20451N101	1275	17100	SH	PUT	DEFINED	2	0	0	0
COMPASS MINERALS INTL INC	COM	20451N101	2737	36700	SH	CALL	DEFINED	2	0	0	0
COMPLETE GENOMICS INC	COM	20454K104	363	116848	SH		DEFINED	3	116848	0	0
COMPLETE GENOMICS INC	COM	20454K104	709	227830	SH		DEFINED	2	227830	0	0
COMPLETE GENOMICS INC	COM	20454K104	685	220200	SH	PUT	DEFINED	2	0	0	0
COMPUCREDIT HLDGS CORP	COM	20478T107	308	82694	SH		DEFINED	"5,7"	82694	0	0
COMPUCREDIT HLDGS CORP	COM	20478T107	44	11700	SH	PUT	DEFINED	2	0	0	0
COMPUTER SCIENCES CORP	COM	205363104	362	11252	SH		DEFINED	2	11252	0	0
COMPUTER SCIENCES CORP	COM	205363104	1955	60700	SH	PUT	DEFINED	2	0	0	0
COMPUTER SCIENCES CORP	COM	205363104	9334	289800	SH	CALL	DEFINED	2	0	0	0
COMPUWARE CORP	COM	205638109	124	12486	SH		DEFINED	3	12486	0	0
COMPUWARE CORP	COM	205638109	120	12153	SH		DEFINED	2	12153	0	0
COMPUWARE CORP	COM	205638109	565	57000	SH	CALL	DEFINED	2	0	0	0
COMSCORE INC	COM	20564W105	479	31414	SH		DEFINED	3	31414	0	0
COMSTOCK RES INC	COM NEW	205768203	491	26712	SH		DEFINED	3	26712	0	0
COMSTOCK RES INC	COM NEW	205768203	1434	78000	SH	PUT	DEFINED	2	0	0	0
COMSTOCK RES INC	COM NEW	205768203	208	11300	SH	PUT	DEFINED	1	0	0	0
COMSTOCK RES INC	COM NEW	205768203	1564	85100	SH	CALL	DEFINED	2	0	0	0
COMTECH TELECOMMUNICATIONS C	COM NEW	205826209	785	28400	SH		DEFINED	9	28400	0	0
COMVERSE TECHNOLOGY INC	COM PAR $0.10	205862402	116	18878	SH		DEFINED	2	18878	0	0
COMVERSE TECHNOLOGY INC	COM PAR $0.10	205862402	8532	1387294	SH		DEFINED	3	1387294	0	0
COMVERSE TECHNOLOGY INC	COM PAR $0.10	205862402	2166	352221	SH		DEFINED	9	352221	0	0
CON-WAY INC	COM	205944101	243	8870	SH		DEFINED	2	8870	0	0
CON-WAY INC	COM	205944101	2168	79200	SH	PUT	DEFINED	2	0	0	0
CON-WAY INC	COM	205944101	471	17200	SH	PUT	DEFINED	1	0	0	0
CON-WAY INC	COM	205944101	1262	46100	SH	CALL	DEFINED	2	0	0	0
CONAGRA FOODS INC	COM	205887102	434	15727	SH		DEFINED	3	15727	0	0
CONAGRA FOODS INC	COM	205887102	2914	105636	SH		DEFINED	2	105636	0	0
CONAGRA FOODS INC	COM	205887102	10713	388300	SH	PUT	DEFINED	2	0	0	0
CONAGRA FOODS INC	COM	205887102	12989	470800	SH	PUT	DEFINED	3	0	0	0
CONAGRA FOODS INC	COM	205887102	10470	379500	SH	CALL	DEFINED	2	0	0	0
CONAGRA FOODS INC	COM	205887102	1184	42900	SH	CALL	DEFINED	1	0	0	0
CONCEPTUS INC	COM	206016107	710	34972	SH		DEFINED	2	34972	0	0
CONCEPTUS INC	COM	206016107	1810	89100	SH	PUT	DEFINED	2	0	0	0
CONCEPTUS INC	COM	206016107	254	12500	SH	CALL	DEFINED	2	0	0	0
CONCHO RES INC	COM	20605P101	3830	40417	SH		DEFINED	2	40417	0	0
CONCHO RES INC	COM	20605P101	4472	47200	SH	PUT	DEFINED	1	0	0	0
CONCHO RES INC	COM	20605P101	37796	398900	SH	PUT	DEFINED	2	0	0	0
CONCHO RES INC	COM	20605P101	57542	607300	SH	CALL	DEFINED	2	0	0	0
CONCHO RES INC	COM	20605P101	7286	76900	SH	CALL	DEFINED	1	0	0	0
CONCUR TECHNOLOGIES INC	COM	206708109	2934	39798	SH		DEFINED	2	39798	0	0
CONCUR TECHNOLOGIES INC	COM	206708109	1174	15920	SH		DEFINED	3	15920	0	0
CONCUR TECHNOLOGIES INC	COM	206708109	568	7700	SH	PUT	DEFINED	1	0	0	0
CONCUR TECHNOLOGIES INC	COM	206708109	5626	76300	SH	PUT	DEFINED	2	0	0	0
CONCUR TECHNOLOGIES INC	COM	206708109	8059	109300	SH	CALL	DEFINED	2	0	0	0
CONNS INC	COM	208242107	678	30745	SH		DEFINED	2	30745	0	0
CONNS INC	COM	208242107	467	21200	SH	PUT	DEFINED	2	0	0	0
CONNS INC	COM	208242107	386	17500	SH	CALL	DEFINED	2	0	0	0
CONOCOPHILLIPS	COM	20825C104	1724	30145	SH		DEFINED	3	30145	0	0
CONOCOPHILLIPS	COM	20825C104	9304	162709	SH		DEFINED	2	162709	0	0
CONOCOPHILLIPS	COM	20825C104	1248	21829	SH		DEFINED	1	21829	0	0
CONOCOPHILLIPS	COM	20825C104	79023	1382000	SH	PUT	DEFINED	2	0	0	0
CONOCOPHILLIPS	COM	20825C104	17852	312200	SH	PUT	DEFINED	1	0	0	0
CONOCOPHILLIPS	COM	20825C104	99785	1745100	SH	CALL	DEFINED	2	0	0	0
CONOCOPHILLIPS	COM	20825C104	18063	315900	SH	CALL	DEFINED	1	0	0	0
CONSOL ENERGY INC	COM	20854P109	3204	106625	SH		DEFINED	2	106625	0	0
CONSOL ENERGY INC	COM	20854P109	2191	72906	SH		DEFINED	3	72906	0	0
CONSOL ENERGY INC	COM	20854P109	3095	103000	SH	PUT	DEFINED	1	0	0	0
CONSOL ENERGY INC	COM	20854P109	207	6900	SH	PUT	DEFINED	3	0	0	0
CONSOL ENERGY INC	COM	20854P109	53883	1793100	SH	PUT	DEFINED	2	0	0	0
CONSOL ENERGY INC	COM	20854P109	4279	142400	SH	CALL	DEFINED	1	0	0	0
CONSOL ENERGY INC	COM	20854P109	31444	1046400	SH	CALL	DEFINED	2	0	0	0
CONSOLIDATED COMM HLDGS INC	COM	209034107	348	20248	SH		DEFINED	2	20248	0	0
CONSOLIDATED COMM HLDGS INC	COM	209034107	215	12500	SH	CALL	DEFINED	2	0	0	0
CONSOLIDATED EDISON INC	COM	209115104	19506	325700	SH		DEFINED	9	325700	0	0
CONSOLIDATED EDISON INC	COM	209115104	7397	123509	SH		DEFINED	2	123509	0	0
CONSOLIDATED EDISON INC	COM	209115104	20626	344400	SH	PUT	DEFINED	2	0	0	0
CONSOLIDATED EDISON INC	COM	209115104	988	16500	SH	PUT	DEFINED	1	0	0	0
CONSOLIDATED EDISON INC	COM	209115104	9487	158400	SH	CALL	DEFINED	2	0	0	0
CONSOLIDATED EDISON INC	COM	209115104	815	13600	SH	CALL	DEFINED	1	0	0	0
CONSOLIDATED WATER CO INC	ORD	G23773107	286	34566	SH		DEFINED	3	34566	0	0
CONSTANT CONTACT INC	COM	210313102	956	54933	SH		DEFINED	3	54933	0	0
CONSTANT CONTACT INC	COM	210313102	960	55200	SH	PUT	DEFINED	2	0	0	0
CONSTANT CONTACT INC	COM	210313102	1161	66700	SH	PUT	DEFINED	3	0	0	0
CONSTANT CONTACT INC	COM	210313102	1627	93500	SH	CALL	DEFINED	2	0	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	1410	43590	SH		DEFINED	3	43590	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	353	10904	SH		DEFINED	2	10904	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	3795	117300	SH	PUT	DEFINED	2	0	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	252	7800	SH	PUT	DEFINED	1	0	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	10032	310100	SH	CALL	DEFINED	1	0	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	534	16500	SH	CALL	DEFINED	3	0	0	0
CONSTELLATION BRANDS INC	CL A	21036P108	6810	210500	SH	CALL	DEFINED	2	0	0	0
CONTANGO OIL & GAS COMPANY	COM NEW	21075N204	1366	27800	SH	PUT	DEFINED	2	0	0	0
CONTANGO OIL & GAS COMPANY	COM NEW	21075N204	6919	140800	SH	CALL	DEFINED	2	0	0	0
CONTANGO OIL & GAS COMPANY	COM NEW	21075N204	324	6600	SH	CALL	DEFINED	1	0	0	0
CONTINENTAL RESOURCES INC	COM	212015101	2522	32793	SH		DEFINED	2	32793	0	0
CONTINENTAL RESOURCES INC	COM	212015101	26853	349200	SH	PUT	DEFINED	2	0	0	0
CONTINENTAL RESOURCES INC	COM	212015101	661	8600	SH	PUT	DEFINED	1	0	0	0
CONTINENTAL RESOURCES INC	COM	212015101	1353	17600	SH	CALL	DEFINED	1	0	0	0
CONTINENTAL RESOURCES INC	COM	212015101	11866	154300	SH	CALL	DEFINED	2	0	0	0
CONVERGYS CORP	COM	212485106	432	27600	SH		DEFINED	9	27600	0	0
CONVERGYS CORP	COM	212485106	454	28944	SH		DEFINED	3	28944	0	0
CONVERGYS CORP	COM	212485106	15670	1000000	SH		DEFINED	"5,7"	1000000	0	0
COOPER COS INC	COM NEW	216648402	269	2852	SH		DEFINED	3	2852	0	0
COOPER COS INC	COM NEW	216648402	1445	15300	SH		DEFINED	9	15300	0	0
COOPER COS INC	COM NEW	216648402	202	2136	SH		DEFINED	2	2136	0	0
COOPER COS INC	COM NEW	216648402	5951	63000	SH	PUT	DEFINED	2	0	0	0
COOPER COS INC	COM NEW	216648402	3656	38700	SH	CALL	DEFINED	2	0	0	0
COOPER INDUSTRIES PLC	SHS	G24140108	22863	304600	SH		DEFINED	9	304600	0	0
COOPER INDUSTRIES PLC	SHS	G24140108	506	6745	SH		DEFINED	2	6745	0	0
COOPER INDUSTRIES PLC	SHS	G24140108	2927	39000	SH	PUT	DEFINED	2	0	0	0
COOPER INDUSTRIES PLC	SHS	G24140108	1141	15200	SH	CALL	DEFINED	2	0	0	0
COOPER TIRE & RUBR CO	COM	216831107	440	22931	SH		DEFINED	3	22931	0	0
COOPER TIRE & RUBR CO	COM	216831107	298	15555	SH		DEFINED	2	15555	0	0
COOPER TIRE & RUBR CO	COM	216831107	1149	59900	SH	PUT	DEFINED	2	0	0	0
COOPER TIRE & RUBR CO	COM	216831107	242	12600	SH	PUT	DEFINED	1	0	0	0
COOPER TIRE & RUBR CO	COM	216831107	313	16300	SH	CALL	DEFINED	1	0	0	0
COOPER TIRE & RUBR CO	COM	216831107	1483	77300	SH	CALL	DEFINED	2	0	0	0
COPA HOLDINGS SA	CL A	P31076105	674	8299	SH		DEFINED	2	8299	0	0
COPA HOLDINGS SA	CL A	P31076105	512	6300	SH	PUT	DEFINED	2	0	0	0
COPA HOLDINGS SA	CL A	P31076105	1853	22800	SH	CALL	DEFINED	2	0	0	0
COPANO ENERGY L L C	COM UNITS	217202100	1726	52330	SH		DEFINED	2	52330	0	0
COPANO ENERGY L L C	COM UNITS	217202100	205	6210	SH		DEFINED	3	6210	0	0
COPANO ENERGY L L C	COM UNITS	217202100	3898	118200	SH	PUT	DEFINED	2	0	0	0
COPANO ENERGY L L C	COM UNITS	217202100	2279	69100	SH	CALL	DEFINED	2	0	0	0
COPART INC	COM	217204106	3322	119800	SH		DEFINED	9	119800	0	0
COPART INC	COM	217204106	833	30034	SH		DEFINED	2	30034	0	0
COPART INC	COM	217204106	297	10700	SH	PUT	DEFINED	2	0	0	0
CORCEPT THERAPEUTICS INC	COM	218352102	31	11080	SH		DEFINED	2	11080	0	0
CORE LABORATORIES N V	COM	N22717107	3370	27744	SH		DEFINED	2	27744	0	0
CORE LABORATORIES N V	COM	N22717107	4956	40800	SH		DEFINED	9	40800	0	0
CORE LABORATORIES N V	COM	N22717107	8373	68925	SH		DEFINED	3	68925	0	0
CORE LABORATORIES N V	COM	N22717107	1397	11500	SH	PUT	DEFINED	1	0	0	0
CORE LABORATORIES N V	COM	N22717107	3729	30700	SH	PUT	DEFINED	2	0	0	0
CORE LABORATORIES N V	COM	N22717107	1215	10000	SH	CALL	DEFINED	1	0	0	0
CORE LABORATORIES N V	COM	N22717107	2843	23400	SH	CALL	DEFINED	2	0	0	0
CORE LABORATORIES N V	COM	N22717107	644	5300	SH	CALL	DEFINED	3	0	0	0
CORELOGIC INC	COM	21871D103	406	15304	SH		DEFINED	2	15304	0	0
CORELOGIC INC	COM	21871D103	2133	80400	SH	PUT	DEFINED	2	0	0	0
CORELOGIC INC	COM	21871D103	2884	108700	SH	CALL	DEFINED	1	0	0	0
CORELOGIC INC	COM	21871D103	1695	63900	SH	CALL	DEFINED	2	0	0	0
CORINTHIAN COLLEGES INC	COM	218868107	188	78873	SH		DEFINED	3	78873	0	0
CORINTHIAN COLLEGES INC	COM	218868107	719	302055	SH		DEFINED	2	302055	0	0
CORINTHIAN COLLEGES INC	COM	218868107	999	419700	SH	PUT	DEFINED	2	0	0	0
CORINTHIAN COLLEGES INC	COM	218868107	24	10100	SH	CALL	DEFINED	1	0	0	0
CORINTHIAN COLLEGES INC	COM	218868107	272	114100	SH	CALL	DEFINED	2	0	0	0
CORNERSTONE THERAPEUTICS INC	COM	21924P103	155	30306	SH		DEFINED	2	30306	0	0
CORNING INC	COM	219350105	31094	2364552	SH		DEFINED	2	2364552	0	0
CORNING INC	COM	219350105	3051	232007	SH		DEFINED	1	232007	0	0
CORNING INC	COM	219350105	48329	3675200	SH	PUT	DEFINED	2	0	0	0
CORNING INC	COM	219350105	1304	99200	SH	PUT	DEFINED	1	0	0	0
CORNING INC	COM	219350105	2554	194200	SH	CALL	DEFINED	1	0	0	0
CORNING INC	COM	219350105	16143	1227600	SH	CALL	DEFINED	2	0	0	0
CORPORATE EXECUTIVE BRD CO	COM	21988R102	3432	64000	SH		DEFINED	9	64000	0	0
CORPORATE OFFICE PPTYS TR	SH BEN INT	22002T108	312	13027	SH		DEFINED	3	13027	0	0
CORPORATE OFFICE PPTYS TR	SH BEN INT	22002T108	213	8900	SH	CALL	DEFINED	2	0	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	3271	97800	SH		DEFINED	"5,7"	97800	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	1221	36500	SH		DEFINED	9	36500	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	1676	50100	SH	PUT	DEFINED	2	0	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	488	14600	SH	PUT	DEFINED	1	0	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	2188	65400	SH	CALL	DEFINED	2	0	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	515	15400	SH	CALL	DEFINED	1	0	0	0
CORRECTIONS CORP AMER NEW	COM NEW	22025Y407	559	16700	SH	CALL	DEFINED	3	0	0	0
COSAN LTD	SHS A	G25343107	1066	67200	SH		DEFINED	9	67200	0	0
COSTAMARE INC	SHS	Y1771G102	166	10795	SH		DEFINED	2	10795	0	0
COSTAMARE INC	SHS	Y1771G102	603	39200	SH	CALL	DEFINED	2	0	0	0
COSTAR GROUP INC	COM	22160N109	313	3842	SH		DEFINED	3	3842	0	0
COSTAR GROUP INC	COM	22160N109	351	4300	SH	PUT	DEFINED	2	0	0	0
COSTAR GROUP INC	COM	22160N109	383	4700	SH	CALL	DEFINED	2	0	0	0
COSTCO WHSL CORP NEW	COM	22160K105	4928	49200	SH		DEFINED	9	49200	0	0
COSTCO WHSL CORP NEW	COM	22160K105	1272	12700	SH		DEFINED	3	12700	0	0
COSTCO WHSL CORP NEW	COM	22160K105	2348	23451	SH		DEFINED	1	23451	0	0
COSTCO WHSL CORP NEW	COM	22160K105	21992	219648	SH		DEFINED	2	219648	0	0
COSTCO WHSL CORP NEW	COM	22160K105	16126	161000	SH	PUT	DEFINED	2	0	0	0
COSTCO WHSL CORP NEW	COM	22160K105	10437	104200	SH	PUT	DEFINED	1	0	0	0
COSTCO WHSL CORP NEW	COM	22160K105	8934	89200	SH	CALL	DEFINED	1	0	0	0
COSTCO WHSL CORP NEW	COM	22160K105	79397	792700	SH	CALL	DEFINED	2	0	0	0
COTT CORP QUE	COM	22163N106	171	21600	SH		DEFINED	9	21600	0	0
COUSINS PPTYS INC	COM	222795106	487	61335	SH		DEFINED	2	61335	0	0
COUSINS PPTYS INC	COM	222795106	810	102000	SH	PUT	DEFINED	2	0	0	0
COUSINS PPTYS INC	COM	222795106	284	35800	SH	CALL	DEFINED	2	0	0	0
COVANCE INC	COM	222816100	219	4700	SH	PUT	DEFINED	2	0	0	0
COVANCE INC	COM	222816100	696	14900	SH	CALL	DEFINED	2	0	0	0
COVANTA HLDG CORP	COM	22282E102	275	16000	SH	PUT	DEFINED	2	0	0	0
COVANTA HLDG CORP	COM	22282E102	630	36700	SH	CALL	DEFINED	2	0	0	0
COVENANT TRANSN GROUP INC	CL A	22284P105	62	13583	SH		DEFINED	3	13583	0	0
COVENTRY HEALTH CARE INC	COM	222862104	355	8515	SH		DEFINED	2	8515	0	0
COVENTRY HEALTH CARE INC	COM	222862104	4106	98500	SH	PUT	DEFINED	2	0	0	0
COVENTRY HEALTH CARE INC	COM	222862104	208	5000	SH	PUT	DEFINED	1	0	0	0
COVENTRY HEALTH CARE INC	COM	222862104	1309	31400	SH	CALL	DEFINED	2	0	0	0
COVIDIEN PLC	SHS	G2554F113	1738	29257	SH		DEFINED	2	29257	0	0
COVIDIEN PLC	SHS	G2554F113	244	4100	SH	PUT	DEFINED	3	0	0	0
COVIDIEN PLC	SHS	G2554F113	3405	57300	SH	PUT	DEFINED	2	0	0	0
COVIDIEN PLC	SHS	G2554F113	660	11100	SH	CALL	DEFINED	1	0	0	0
COVIDIEN PLC	SHS	G2554F113	2918	49100	SH	CALL	DEFINED	3	0	0	0
COVIDIEN PLC	SHS	G2554F113	16745	281800	SH	CALL	DEFINED	2	0	0	0
COWEN GROUP INC NEW	CL A	223622101	44	16438	SH		DEFINED	2	16438	0	0
CPFL ENERGIA S A	SPONSORED ADR	126153105	657	30000	SH		DEFINED	9	30000	0	0
CRACKER BARREL OLD CTRY STOR	COM	22410J106	295	4394	SH		DEFINED	3	4394	0	0
CRACKER BARREL OLD CTRY STOR	COM	22410J106	403	6000	SH		DEFINED	9	6000	0	0
CRACKER BARREL OLD CTRY STOR	COM	22410J106	866	12900	SH	PUT	DEFINED	2	0	0	0
CRACKER BARREL OLD CTRY STOR	COM	22410J106	5127	76400	SH	CALL	DEFINED	2	0	0	0
CRACKER BARREL OLD CTRY STOR	COM	22410J106	208	3100	SH	CALL	DEFINED	1	0	0	0
CRANE CO	COM	224399105	223	5586	SH		DEFINED	3	5586	0	0
CRANE CO	COM	224399105	579	14500	SH	PUT	DEFINED	1	0	0	0
CRANE CO	COM	224399105	347	8700	SH	CALL	DEFINED	2	0	0	0
CRAWFORD & CO	CL B	224633107	59	11794	SH		DEFINED	2	11794	0	0
CRAY INC	COM NEW	225223304	169	13286	SH		DEFINED	2	13286	0	0
CRAY INC	COM NEW	225223304	582	45800	SH	PUT	DEFINED	2	0	0	0
CRAY INC	COM NEW	225223304	406	32000	SH	CALL	DEFINED	2	0	0	0
CREDICORP LTD	COM	G2519Y108	664	5300	SH	PUT	DEFINED	2	0	0	0
CREDICORP LTD	COM	G2519Y108	213	1700	SH	CALL	DEFINED	2	0	0	0
CREDIT SUISSE GROUP	SPONSORED ADR	225401108	6588	311486	SH		DEFINED	2	311486	0	0
CREDIT SUISSE GROUP	SPONSORED ADR	225401108	512	24193	SH		DEFINED	1	24193	0	0
CREDIT SUISSE GROUP	SPONSORED ADR	225401108	14581	689400	SH	PUT	DEFINED	2	0	0	0
CREDIT SUISSE GROUP	SPONSORED ADR	225401108	3069	145100	SH	PUT	DEFINED	1	0	0	0
CREDIT SUISSE GROUP	SPONSORED ADR	225401108	9393	444100	SH	CALL	DEFINED	2	0	0	0
CREDIT SUISSE GROUP	SPONSORED ADR	225401108	2288	108200	SH	CALL	DEFINED	1	0	0	0
CREDIT SUISSE NASSAU BRH	VS 3X INV BREN	22542D555	410	10319	SH		DEFINED	3	10319	0	0
CREDIT SUISSE NASSAU BRH	ETN LKD 32	22542D571	986	28970	SH		DEFINED	3	28970	0	0
CREDIT SUISSE NASSAU BRH	2X INVER PLATI	22542D639	284	7400	SH		DEFINED	3	7400	0	0
CREDIT SUISSE NASSAU BRH	2X LONG PLATIN	22542D647	306	5812	SH		DEFINED	3	5812	0	0
CREDIT SUISSE NASSAU BRH	3X INVERS SILV	22542D654	293	14616	SH		DEFINED	3	14616	0	0
CREDIT SUISSE NASSAU BRH	3X LONG SILVER	22542D662	578	14060	SH		DEFINED	3	14060	0	0
CREDIT SUISSE NASSAU BRH	VIX SHT TRM FT	22542D761	195	128529	SH		DEFINED	3	128529	0	0
CREDIT SUISSE NASSAU BRH	VIX MD TRM FUT	22542D779	521	29813	SH		DEFINED	2	29813	0	0
CREDIT SUISSE NASSAU BRH	VIX MID TERM	22542D787	461	9815	SH		DEFINED	2	9815	0	0
CREDIT SUISSE NASSAU BRH	INVRS VIX STERM	22542D795	3551	208500	SH		DEFINED	3	208500	0	0
CREDIT SUISSE NASSAU BRH	VIX SHORT TERM	22542D811	1580	81264	SH		DEFINED	3	81264	0	0
CREDIT SUISSE NASSAU BRH	INVRS VIX MDTERM	22542D829	869	43017	SH		DEFINED	2	43017	0	0
CREDIT SUISSE NASSAU BRH	ETN IDX-LKD 20	22542D845	757	38592	SH		DEFINED	3	38592	0	0
CREE INC	COM	225447101	5978	234155	SH		DEFINED	2	234155	0	0
CREE INC	COM	225447101	2974	116509	SH		DEFINED	3	116509	0	0
CREE INC	COM	225447101	2872	112500	SH	PUT	DEFINED	3	0	0	0
CREE INC	COM	225447101	25581	1002000	SH	PUT	DEFINED	2	0	0	0
CREE INC	COM	225447101	2742	107400	SH	PUT	DEFINED	1	0	0	0
CREE INC	COM	225447101	6732	263700	SH	CALL	DEFINED	1	0	0	0
CREE INC	COM	225447101	24690	967100	SH	CALL	DEFINED	2	0	0	0
CRESTWOOD MIDSTREAM PRTNERS	COM UNITS REPSTG	226372100	298	12500	SH	CALL	DEFINED	2	0	0	0
CREXUS INVT CORP	COM	226553105	178	16500	SH		DEFINED	9	16500	0	0
CRH PLC	ADR	12626K203	226	11763	SH		DEFINED	3	11763	0	0
CROCS INC	COM	227046109	3396	209472	SH		DEFINED	2	209472	0	0
CROCS INC	COM	227046109	6693	412900	SH	PUT	DEFINED	2	0	0	0
CROCS INC	COM	227046109	4597	283600	SH	CALL	DEFINED	2	0	0	0
CROSSTEX ENERGY INC	COM	22765Y104	195	13887	SH		DEFINED	2	13887	0	0
CROSSTEX ENERGY INC	COM	22765Y104	340	24200	SH	PUT	DEFINED	2	0	0	0
CROSSTEX ENERGY INC	COM	22765Y104	173	12300	SH	CALL	DEFINED	2	0	0	0
CROSSTEX ENERGY L P	COM	22765U102	473	30700	SH	CALL	DEFINED	2	0	0	0
CROWN CASTLE INTL CORP	COM	228227104	440	6860	SH		DEFINED	2	6860	0	0
CROWN CASTLE INTL CORP	COM	228227104	23858	372193	SH		DEFINED	9	372193	0	0
CROWN CASTLE INTL CORP	COM	228227104	212	3300	SH	PUT	DEFINED	1	0	0	0
CROWN CASTLE INTL CORP	COM	228227104	2840	44300	SH	PUT	DEFINED	2	0	0	0
CROWN CASTLE INTL CORP	COM	228227104	10756	167800	SH	CALL	DEFINED	2	0	0	0
CROWN HOLDINGS INC	COM	228368106	915	24900	SH	PUT	DEFINED	2	0	0	0
CROWN HOLDINGS INC	COM	228368106	6236	169700	SH	CALL	DEFINED	2	0	0	0
CSG SYS INTL INC	COM	126349109	362	16100	SH		DEFINED	9	16100	0	0
CSX CORP	COM	126408103	1321	63655	SH		DEFINED	3	63655	0	0
CSX CORP	COM	126408103	3701	178339	SH		DEFINED	2	178339	0	0
CSX CORP	COM	126408103	510	24566	SH		DEFINED	1	24566	0	0
CSX CORP	COM	126408103	654	31500	SH	PUT	DEFINED	1	0	0	0
CSX CORP	COM	126408103	13973	673400	SH	PUT	DEFINED	2	0	0	0
CSX CORP	COM	126408103	1689	81400	SH	CALL	DEFINED	1	0	0	0
CSX CORP	COM	126408103	14093	679200	SH	CALL	DEFINED	2	0	0	0
CTC MEDIA INC	COM	12642X106	788	86474	SH		DEFINED	2	86474	0	0
CTC MEDIA INC	COM	12642X106	2144	235300	SH	PUT	DEFINED	2	0	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	441	26129	SH		DEFINED	1	26129	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	6638	393247	SH		DEFINED	2	393247	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	15450	915300	SH	PUT	DEFINED	2	0	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	1450	85900	SH	PUT	DEFINED	1	0	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	6058	358900	SH	CALL	DEFINED	2	0	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	731	43300	SH	CALL	DEFINED	1	0	0	0
CTRIP COM INTL LTD	AMERICAN DEP SHS	22943F100	1075	63700	SH	CALL	DEFINED	3	0	0	0
CUBESMART	COM	229663109	2076	161300	SH		DEFINED	9	161300	0	0
CUBIC CORP	COM	229669106	240	4800	SH	PUT	DEFINED	2	0	0	0
CUBIC CORP	COM	229669106	421	8400	SH	CALL	DEFINED	2	0	0	0
CUBIST PHARMACEUTICALS INC	COM	229678107	207	4337	SH		DEFINED	2	4337	0	0
CUBIST PHARMACEUTICALS INC	COM	229678107	1292	27100	SH	PUT	DEFINED	2	0	0	0
CUBIST PHARMACEUTICALS INC	COM	229678107	844	17700	SH	CALL	DEFINED	1	0	0	0
CUBIST PHARMACEUTICALS INC	COM	229678107	3977	83400	SH	CALL	DEFINED	2	0	0	0
CUBIST PHARMACEUTICALS INC	NOTE   2.500%11/0	229678AD9	39224	22494000	PRN		DEFINED	"5,7"	0	0	0
CULLEN FROST BANKERS INC	COM	229899109	942	16400	SH	PUT	DEFINED	2	0	0	0
CULLEN FROST BANKERS INC	COM	229899109	1866	32500	SH	CALL	DEFINED	2	0	0	0
CUMMINS INC	COM	231021106	3788	41080	SH		DEFINED	3	41080	0	0
CUMMINS INC	COM	231021106	2913	31596	SH		DEFINED	2	31596	0	0
CUMMINS INC	COM	231021106	1054	11435	SH		DEFINED	1	11435	0	0
CUMMINS INC	COM	231021106	11167	121100	SH	PUT	DEFINED	1	0	0	0
CUMMINS INC	COM	231021106	94488	1024700	SH	PUT	DEFINED	2	0	0	0
CUMMINS INC	COM	231021106	12236	132700	SH	CALL	DEFINED	1	0	0	0
CUMMINS INC	COM	231021106	38701	419700	SH	CALL	DEFINED	2	0	0	0
CUMULUS MEDIA INC	CL A	231082108	29	10638	SH		DEFINED	2	10638	0	0
CURIS INC	COM	231269101	108	26142	SH		DEFINED	3	26142	0	0
CURIS INC	COM	231269101	157	37838	SH		DEFINED	2	37838	0	0
CURIS INC	COM	231269101	75	18200	SH	PUT	DEFINED	2	0	0	0
CURIS INC	COM	231269101	75	18100	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHARES AUSTRALIAN DL	AUSTRALIAN DOL	23129U101	1957	18813	SH		DEFINED	3	18813	0	0
CURRENCYSHARES AUSTRALIAN DL	AUSTRALIAN DOL	23129U101	6698	64400	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHARES AUSTRALIAN DL	AUSTRALIAN DOL	23129U101	42068	404500	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHARES AUSTRALIAN DL	AUSTRALIAN DOL	23129U101	614	5900	SH	CALL	DEFINED	1	0	0	0
CURRENCYSHARES CDN DLR TR	CDN DOLLAR SHS	23129X105	8176	80842	SH		DEFINED	3	80842	0	0
CURRENCYSHARES CDN DLR TR	CDN DOLLAR SHS	23129X105	2528	25000	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHARES CDN DLR TR	CDN DOLLAR SHS	23129X105	9294	91900	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHARES EURO TR	EURO SHS	23130C108	12492	97827	SH		DEFINED	3	97827	0	0
CURRENCYSHARES EURO TR	EURO SHS	23130C108	1302	10200	SH		DEFINED	2	10200	0	0
CURRENCYSHARES EURO TR	EURO SHS	23130C108	37694	295200	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHARES EURO TR	EURO SHS	23130C108	3116	24400	SH	PUT	DEFINED	1	0	0	0
CURRENCYSHARES EURO TR	EURO SHS	23130C108	881	6900	SH	CALL	DEFINED	1	0	0	0
CURRENCYSHARES EURO TR	EURO SHS	23130C108	41091	321800	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHARES SWEDISH KRONA	SWEDISH KRONA	23129R108	3189	21006	SH		DEFINED	3	21006	0	0
CURRENCYSHARES SWEDISH KRONA	SWEDISH KRONA	23129R108	2717	17900	SH		DEFINED	2	17900	0	0
CURRENCYSHARES SWEDISH KRONA	SWEDISH KRONA	23129R108	380	2500	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHARES SWEDISH KRONA	SWEDISH KRONA	23129R108	531	3500	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHARES SWISS FRANC T	SWISS FRANC SH	23129V109	5600	53495	SH		DEFINED	3	53495	0	0
CURRENCYSHARES SWISS FRANC T	SWISS FRANC SH	23129V109	995	9500	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHARES SWISS FRANC T	SWISS FRANC SH	23129V109	7276	69500	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHS BRIT POUND STER	BRIT POUND STE	23129S106	5614	35137	SH		DEFINED	3	35137	0	0
CURRENCYSHS BRIT POUND STER	BRIT POUND STE	23129S106	3531	22100	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHS BRIT POUND STER	BRIT POUND STE	23129S106	3595	22500	SH	CALL	DEFINED	2	0	0	0
CURRENCYSHS JAPANESE YEN TR	JAPANESE YEN	23130A102	457	3634	SH		DEFINED	1	3634	0	0
CURRENCYSHS JAPANESE YEN TR	JAPANESE YEN	23130A102	8454	67200	SH	PUT	DEFINED	1	0	0	0
CURRENCYSHS JAPANESE YEN TR	JAPANESE YEN	23130A102	5107	40600	SH	PUT	DEFINED	2	0	0	0
CURRENCYSHS JAPANESE YEN TR	JAPANESE YEN	23130A102	3485	27700	SH	CALL	DEFINED	1	0	0	0
CURRENCYSHS JAPANESE YEN TR	JAPANESE YEN	23130A102	43162	343100	SH	CALL	DEFINED	2	0	0	0
CVB FINL CORP	COM	126600105	871	72970	SH		DEFINED	3	72970	0	0
CVR ENERGY INC	COM	12662P108	7703	209596	SH		DEFINED	3	209596	0	0
CVR ENERGY INC	COM	12662P108	478	13000	SH	PUT	DEFINED	1	0	0	0
CVR ENERGY INC	COM	12662P108	992	27000	SH	PUT	DEFINED	2	0	0	0
CVR ENERGY INC	COM	12662P108	4381	119200	SH	CALL	DEFINED	2	0	0	0
CVR ENERGY INC	COM	12662P108	919	25000	SH	CALL	DEFINED	3	0	0	0
CVR PARTNERS LP	COM	126633106	210	8000	SH		DEFINED	9	8000	0	0
CVR PARTNERS LP	COM	126633106	3432	130700	SH	PUT	DEFINED	2	0	0	0
CVR PARTNERS LP	COM	126633106	2807	106900	SH	CALL	DEFINED	2	0	0	0
CVS CAREMARK CORPORATION	COM	126650100	279	5755	SH		DEFINED	3	5755	0	0
CVS CAREMARK CORPORATION	COM	126650100	31910	659029	SH		DEFINED	9	659029	0	0
CVS CAREMARK CORPORATION	COM	126650100	14127	291757	SH		DEFINED	2	291757	0	0
CVS CAREMARK CORPORATION	COM	126650100	232	4800	SH	PUT	DEFINED	3	0	0	0
CVS CAREMARK CORPORATION	COM	126650100	55848	1153400	SH	PUT	DEFINED	2	0	0	0
CVS CAREMARK CORPORATION	COM	126650100	7137	147400	SH	PUT	DEFINED	1	0	0	0
CVS CAREMARK CORPORATION	COM	126650100	22578	466300	SH	CALL	DEFINED	1	0	0	0
CVS CAREMARK CORPORATION	COM	126650100	46750	965500	SH	CALL	DEFINED	2	0	0	0
CYBERONICS INC	COM	23251P102	325	6197	SH		DEFINED	3	6197	0	0
CYBERONICS INC	COM	23251P102	854	16300	SH	PUT	DEFINED	2	0	0	0
CYBERONICS INC	COM	23251P102	891	17000	SH	CALL	DEFINED	2	0	0	0
CYMER INC	COM	232572107	597	11699	SH		DEFINED	2	11699	0	0
CYMER INC	COM	232572107	592	11600	SH		DEFINED	9	11600	0	0
CYMER INC	COM	232572107	1339	26226	SH		DEFINED	3	26226	0	0
CYMER INC	COM	232572107	3064	60000	SH	PUT	DEFINED	3	0	0	0
CYMER INC	COM	232572107	419	8200	SH	PUT	DEFINED	1	0	0	0
CYMER INC	COM	232572107	1751	34300	SH	PUT	DEFINED	2	0	0	0
CYMER INC	COM	232572107	500	9800	SH	CALL	DEFINED	1	0	0	0
CYMER INC	COM	232572107	2594	50800	SH	CALL	DEFINED	2	0	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	1613	150499	SH		DEFINED	3	150499	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	3368	314162	SH		DEFINED	2	314162	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	506	47218	SH		DEFINED	1	47218	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	237	22100	SH	PUT	DEFINED	1	0	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	4058	378500	SH	PUT	DEFINED	2	0	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	491	45800	SH	CALL	DEFINED	1	0	0	0
CYPRESS SEMICONDUCTOR CORP	COM	232806109	1438	134100	SH	CALL	DEFINED	2	0	0	0
CYS INVTS INC	COM	12673A108	612	43406	SH		DEFINED	2	43406	0	0
CYS INVTS INC	COM	12673A108	1271	90200	SH	PUT	DEFINED	2	0	0	0
CYTEC INDS INC	COM	232820100	1179	18000	SH		DEFINED	9	18000	0	0
CYTEC INDS INC	COM	232820100	4193	64000	SH	PUT	DEFINED	2	0	0	0
CYTEC INDS INC	COM	232820100	943	14400	SH	PUT	DEFINED	1	0	0	0
CYTEC INDS INC	COM	232820100	6369	97200	SH	CALL	DEFINED	2	0	0	0
CYTOKINETICS INC	COM	23282W100	17	19918	SH		DEFINED	3	19918	0	0
CYTORI THERAPEUTICS INC	COM	23283K105	163	37070	SH		DEFINED	2	37070	0	0
CYTORI THERAPEUTICS INC	COM	23283K105	213	48200	SH	PUT	DEFINED	2	0	0	0
CYTORI THERAPEUTICS INC	COM	23283K105	224	50700	SH	CALL	DEFINED	2	0	0	0
CYTORI THERAPEUTICS INC	COM	23283K105	56	12800	SH	CALL	DEFINED	1	0	0	0
CYTRX CORP	COM PAR $.001	232828509	55	15240	SH		DEFINED	2	15240	0	0
D R HORTON INC	COM	23331A109	662	32055	SH		DEFINED	3	32055	0	0
D R HORTON INC	COM	23331A109	722	34984	SH		DEFINED	2	34984	0	0
D R HORTON INC	COM	23331A109	270	13100	SH	PUT	DEFINED	1	0	0	0
D R HORTON INC	COM	23331A109	12491	605200	SH	PUT	DEFINED	2	0	0	0
D R HORTON INC	COM	23331A109	314	15200	SH	CALL	DEFINED	1	0	0	0
D R HORTON INC	COM	23331A109	30351	1470500	SH	CALL	DEFINED	2	0	0	0
DAKTRONICS INC	COM	234264109	108	11379	SH		DEFINED	2	11379	0	0
DAKTRONICS INC	COM	234264109	171	18000	SH	CALL	DEFINED	2	0	0	0
DANA HLDG CORP	COM	235825205	984	80000	SH		DEFINED	9	80000	0	0
DANA HLDG CORP	COM	235825205	171	13900	SH	PUT	DEFINED	1	0	0	0
DANA HLDG CORP	COM	235825205	983	79900	SH	PUT	DEFINED	2	0	0	0
DANA HLDG CORP	COM	235825205	2442	198500	SH	CALL	DEFINED	2	0	0	0
DANAHER CORP DEL	COM	235851102	2158	39122	SH		DEFINED	2	39122	0	0
DANAHER CORP DEL	COM	235851102	232	4200	SH	PUT	DEFINED	1	0	0	0
DANAHER CORP DEL	COM	235851102	3497	63400	SH	PUT	DEFINED	2	0	0	0
DANAHER CORP DEL	COM	235851102	20433	370500	SH	CALL	DEFINED	2	0	0	0
DAQO NEW ENERGY CORP	SPONSORED ADR	23703Q104	46	60277	SH		DEFINED	3	60277	0	0
DARDEN RESTAURANTS INC	COM	237194105	1761	31582	SH		DEFINED	2	31582	0	0
DARDEN RESTAURANTS INC	COM	237194105	2977	53400	SH	PUT	DEFINED	1	0	0	0
DARDEN RESTAURANTS INC	COM	237194105	11390	204300	SH	PUT	DEFINED	2	0	0	0
DARDEN RESTAURANTS INC	COM	237194105	18364	329400	SH	CALL	DEFINED	2	0	0	0
DARDEN RESTAURANTS INC	COM	237194105	3440	61700	SH	CALL	DEFINED	1	0	0	0
DARLING INTL INC	COM	237266101	185	10100	SH	PUT	DEFINED	2	0	0	0
DARLING INTL INC	COM	237266101	922	50400	SH	CALL	DEFINED	2	0	0	0
DATALINK CORP	COM	237934104	258	31176	SH		DEFINED	2	31176	0	0
DATARAM CORP	COM PAR $1	238108203	10	15840	SH		DEFINED	4	15840	0	0
DAVITA INC	COM	23918K108	686	6623	SH		DEFINED	2	6623	0	0
DAVITA INC	COM	23918K108	332	3209	SH		DEFINED	3	3209	0	0
DAVITA INC	COM	23918K108	3274	31600	SH		DEFINED	9	31600	0	0
DAVITA INC	COM	23918K108	11262	108700	SH	PUT	DEFINED	2	0	0	0
DAVITA INC	COM	23918K108	11957	115400	SH	PUT	DEFINED	3	0	0	0
DAVITA INC	COM	23918K108	829	8000	SH	PUT	DEFINED	1	0	0	0
DAVITA INC	COM	23918K108	280	2700	SH	CALL	DEFINED	1	0	0	0
DAVITA INC	COM	23918K108	10786	104100	SH	CALL	DEFINED	2	0	0	0
DCP MIDSTREAM PARTNERS LP	COM UT LTD PTN	23311P100	545	11731	SH		DEFINED	2	11731	0	0
DCP MIDSTREAM PARTNERS LP	COM UT LTD PTN	23311P100	2201	47400	SH	PUT	DEFINED	2	0	0	0
DCP MIDSTREAM PARTNERS LP	COM UT LTD PTN	23311P100	511	11000	SH	CALL	DEFINED	2	0	0	0
DCT INDUSTRIAL TRUST INC	COM	233153105	1361	210300	SH		DEFINED	9	210300	0	0
DDR CORP	COM	23317H102	2866	186600	SH		DEFINED	9	186600	0	0
DDR CORP	COM	23317H102	188	12212	SH		DEFINED	2	12212	0	0
DDR CORP	COM	23317H102	664	43200	SH	CALL	DEFINED	2	0	0	0
DEAN FOODS CO NEW	COM	242370104	238	14526	SH		DEFINED	2	14526	0	0
DEAN FOODS CO NEW	COM	242370104	2382	145700	SH	PUT	DEFINED	2	0	0	0
DEAN FOODS CO NEW	COM	242370104	3798	232300	SH	CALL	DEFINED	2	0	0	0
DEAN FOODS CO NEW	COM	242370104	1628	99600	SH	CALL	DEFINED	1	0	0	0
DECKERS OUTDOOR CORP	COM	243537107	4333	118265	SH		DEFINED	1	118265	0	0
DECKERS OUTDOOR CORP	COM	243537107	8543	233163	SH		DEFINED	2	233163	0	0
DECKERS OUTDOOR CORP	COM	243537107	18137	495000	SH	PUT	DEFINED	1	0	0	0
DECKERS OUTDOOR CORP	COM	243537107	32833	896100	SH	PUT	DEFINED	2	0	0	0
DECKERS OUTDOOR CORP	COM	243537107	22926	625700	SH	CALL	DEFINED	2	0	0	0
DECKERS OUTDOOR CORP	COM	243537107	10743	293200	SH	CALL	DEFINED	1	0	0	0
DECKERS OUTDOOR CORP	COM	243537107	4386	119700	SH	CALL	DEFINED	3	0	0	0
DEER CONSUMER PRODS INC	COM NEW	24379J200	40	20677	SH		DEFINED	2	20677	0	0
DEER CONSUMER PRODS INC	COM NEW	24379J200	49	21500	SH	PUT	DEFINED	2	0	0	0
DEERE & CO	COM	244199105	51248	621264	SH		DEFINED	2	621264	0	0
DEERE & CO	COM	244199105	4891	59288	SH		DEFINED	1	59288	0	0
DEERE & CO	COM	244199105	447	5421	SH		DEFINED	3	5421	0	0
DEERE & CO	COM	244199105	9858	119500	SH	PUT	DEFINED	1	0	0	0
DEERE & CO	COM	244199105	106858	1295400	SH	PUT	DEFINED	2	0	0	0
DEERE & CO	COM	244199105	19187	232600	SH	CALL	DEFINED	1	0	0	0
DEERE & CO	COM	244199105	34588	419300	SH	CALL	DEFINED	2	0	0	0
DELCATH SYS INC	COM	24661P104	61	37782	SH		DEFINED	3	37782	0	0
DELCATH SYS INC	COM	24661P104	381	235072	SH		DEFINED	2	235072	0	0
DELCATH SYS INC	COM	24661P104	531	327500	SH	PUT	DEFINED	2	0	0	0
DELCATH SYS INC	COM	24661P104	285	176100	SH	CALL	DEFINED	2	0	0	0
DELEK US HLDGS INC	COM	246647101	725	28458	SH		DEFINED	2	28458	0	0
DELEK US HLDGS INC	COM	246647101	744	29200	SH	PUT	DEFINED	2	0	0	0
DELL INC	COM	24702R101	2841	288183	SH		DEFINED	3	288183	0	0
DELL INC	COM	24702R101	16894	1713377	SH		DEFINED	2	1713377	0	0
DELL INC	COM	24702R101	612	62058	SH		DEFINED	1	62058	0	0
DELL INC	COM	24702R101	29739	3016100	SH	PUT	DEFINED	2	0	0	0
DELL INC	COM	24702R101	1910	193700	SH	PUT	DEFINED	1	0	0	0
DELL INC	COM	24702R101	2214	224500	SH	CALL	DEFINED	1	0	0	0
DELL INC	COM	24702R101	22281	2259700	SH	CALL	DEFINED	2	0	0	0
DELPHI AUTOMOTIVE PLC	SHS	G27823106	713	23000	SH	PUT	DEFINED	2	0	0	0
DELPHI AUTOMOTIVE PLC	SHS	G27823106	3112	100400	SH	CALL	DEFINED	2	0	0	0
DELPHI AUTOMOTIVE PLC	SHS	G27823106	409	13200	SH	CALL	DEFINED	1	0	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	648	70756	SH		DEFINED	1	70756	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	11771	1285076	SH		DEFINED	2	1285076	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	12561	1371261	SH		DEFINED	9	1371261	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	16210	1769600	SH	PUT	DEFINED	2	0	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	2290	250000	SH	PUT	DEFINED	3	0	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	554	60500	SH	PUT	DEFINED	1	0	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	399	43600	SH	CALL	DEFINED	1	0	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	18135	1979800	SH	CALL	DEFINED	2	0	0	0
DELTA AIR LINES INC DEL	COM NEW	247361702	2290	250000	SH	CALL	DEFINED	3	0	0	0
DELTEK INC	COM	24784L105	217	16700	SH		DEFINED	9	16700	0	0
DELUXE CORP	COM	248019101	938	30692	SH		DEFINED	2	30692	0	0
DELUXE CORP	COM	248019101	397	13000	SH		DEFINED	9	13000	0	0
DELUXE CORP	COM	248019101	2243	73400	SH	PUT	DEFINED	2	0	0	0
DELUXE CORP	COM	248019101	3548	116100	SH	CALL	DEFINED	2	0	0	0
DEMAND MEDIA INC	COM	24802N109	162	14931	SH		DEFINED	2	14931	0	0
DEMAND MEDIA INC	COM	24802N109	309	28400	SH	PUT	DEFINED	2	0	0	0
DEMAND MEDIA INC	COM	24802N109	213	19600	SH	CALL	DEFINED	2	0	0	0
DENBURY RES INC	COM NEW	247916208	225	13935	SH		DEFINED	3	13935	0	0
DENBURY RES INC	COM NEW	247916208	389	24071	SH		DEFINED	2	24071	0	0
DENBURY RES INC	COM NEW	247916208	1073	66423	SH		DEFINED	1	66423	0	0
DENBURY RES INC	COM NEW	247916208	2028	125500	SH	PUT	DEFINED	2	0	0	0
DENBURY RES INC	COM NEW	247916208	2384	147500	SH	PUT	DEFINED	1	0	0	0
DENBURY RES INC	COM NEW	247916208	1269	78500	SH	CALL	DEFINED	1	0	0	0
DENBURY RES INC	COM NEW	247916208	4168	257900	SH	CALL	DEFINED	2	0	0	0
DENDREON CORP	COM	24823Q107	729	151001	SH		DEFINED	1	151001	0	0
DENDREON CORP	COM	24823Q107	181	37402	SH		DEFINED	3	37402	0	0
DENDREON CORP	COM	24823Q107	6492	1344089	SH		DEFINED	2	1344089	0	0
DENDREON CORP	COM	24823Q107	892	184700	SH	PUT	DEFINED	1	0	0	0
DENDREON CORP	COM	24823Q107	6249	1293800	SH	PUT	DEFINED	2	0	0	0
DENDREON CORP	COM	24823Q107	1976	409200	SH	CALL	DEFINED	1	0	0	0
DENDREON CORP	COM	24823Q107	3835	793900	SH	CALL	DEFINED	2	0	0	0
DENISON MINES CORP	COM	248356107	75	50092	SH		DEFINED	1	50092	0	0
DENISON MINES CORP	COM	248356107	55	36849	SH		DEFINED	2	36849	0	0
DENISON MINES CORP	COM	248356107	101	67900	SH	PUT	DEFINED	2	0	0	0
DENISON MINES CORP	COM	248356107	62	41700	SH	CALL	DEFINED	2	0	0	0
DENISON MINES CORP	COM	248356107	31	21100	SH	CALL	DEFINED	3	0	0	0
DENNYS CORP	COM	24869P104	88	18064	SH		DEFINED	2	18064	0	0
DENNYS CORP	COM	24869P104	131	27100	SH	CALL	DEFINED	2	0	0	0
DENTSPLY INTL INC NEW	COM	249030107	2703	70861	SH		DEFINED	2	70861	0	0
DENTSPLY INTL INC NEW	COM	249030107	423	11100	SH	PUT	DEFINED	1	0	0	0
DENTSPLY INTL INC NEW	COM	249030107	317	8300	SH	CALL	DEFINED	1	0	0	0
DENTSPLY INTL INC NEW	COM	249030107	1758	46100	SH	CALL	DEFINED	2	0	0	0
DEPOMED INC	COM	249908104	199	33674	SH		DEFINED	2	33674	0	0
DEUTSCHE BANK AG	NAMEN AKT	D18190898	1877	47330	SH		DEFINED	1	47330	0	0
DEUTSCHE BANK AG	NAMEN AKT	D18190898	39852	1005100	SH	PUT	DEFINED	2	0	0	0
DEUTSCHE BANK AG	NAMEN AKT	D18190898	5234	132000	SH	PUT	DEFINED	1	0	0	0
DEUTSCHE BANK AG	NAMEN AKT	D18190898	15360	387400	SH	CALL	DEFINED	2	0	0	0
DEUTSCHE BANK AG	NAMEN AKT	D18190898	5384	135800	SH	CALL	DEFINED	1	0	0	0
DEUTSCHE BK AG LDN BRH	PS CMDT DL ETN	25154H475	917	95802	SH		DEFINED	3	95802	0	0
DEUTSCHE BK AG LDN BRH	PS CMDT DS ETN	25154H483	436	16601	SH		DEFINED	3	16601	0	0
DEUTSCHE BK AG LDN BRH	PS AGRI LG ETN	25154H533	829	38690	SH		DEFINED	3	38690	0	0
DEUTSCHE BK AG LDN BRH	PS AGRI DL ETN	25154H558	6211	471639	SH		DEFINED	3	471639	0	0
DEUTSCHE BK AG LDN BRH	PS GOLD DL ETN	25154H749	3624	61552	SH		DEFINED	3	61552	0	0
DEUTSCHE BK AG LONDON	ETN DJ HY 2022	25153Q658	353	32589	SH		DEFINED	3	32589	0	0
DEUTSCHE BK AG LONDON BRH	PS CRD OIL ETN	25154K809	412	9407	SH		DEFINED	3	9407	0	0
DEUTSCHE BK AG LONDON BRH	MTL SHRT ETN38	25154K833	1249	62720	SH		DEFINED	3	62720	0	0
DEUTSCHE BK AG LONDON BRH	PS MTL DDL ETN	25154K858	187	15958	SH		DEFINED	3	15958	0	0
DEUTSCHE BK AG LONDON BRH	PS CR OIL LG ETN	25154K866	183	14294	SH		DEFINED	3	14294	0	0
DEUTSCHE BK AG LONDON BRH	PS CR OIL SH ETN	25154K874	584	13688	SH		DEFINED	3	13688	0	0
DEUTSCHE BK AG LONDON BRH	DB 3X LONG UST	25154N522	694	13911	SH		DEFINED	3	13911	0	0
DEUTSCHE BK AG LONDON BRH	PWRSHR DB GERM	25154W506	269	11302	SH		DEFINED	3	11302	0	0
DEVON ENERGY CORP NEW	COM	25179M103	4181	69100	SH		DEFINED	1	69100	0	0
DEVON ENERGY CORP NEW	COM	25179M103	2811	46464	SH		DEFINED	3	46464	0	0
DEVON ENERGY CORP NEW	COM	25179M103	49422	816889	SH		DEFINED	2	816889	0	0
DEVON ENERGY CORP NEW	COM	25179M103	69859	1154700	SH	PUT	DEFINED	2	0	0	0
DEVON ENERGY CORP NEW	COM	25179M103	7708	127400	SH	PUT	DEFINED	1	0	0	0
DEVON ENERGY CORP NEW	COM	25179M103	54553	901700	SH	CALL	DEFINED	2	0	0	0
DEVON ENERGY CORP NEW	COM	25179M103	5493	90800	SH	CALL	DEFINED	1	0	0	0
DEVON ENERGY CORP NEW	COM	25179M103	1077	17800	SH	CALL	DEFINED	3	0	0	0
DEVRY INC DEL	COM	251893103	727	31934	SH		DEFINED	2	31934	0	0
DEVRY INC DEL	COM	251893103	2048	89988	SH		DEFINED	3	89988	0	0
DEVRY INC DEL	COM	251893103	4529	199000	SH	PUT	DEFINED	2	0	0	0
DEVRY INC DEL	COM	251893103	706	31000	SH	PUT	DEFINED	1	0	0	0
DEVRY INC DEL	COM	251893103	266	11700	SH	CALL	DEFINED	2	0	0	0
DEVRY INC DEL	COM	251893103	312	13700	SH	CALL	DEFINED	1	0	0	0
DEXCOM INC	COM	252131107	209	13933	SH		DEFINED	2	13933	0	0
DEXCOM INC	COM	252131107	954	63500	SH	PUT	DEFINED	2	0	0	0
DFC GLOBAL CORP	COM	23324T107	194	11298	SH		DEFINED	2	11298	0	0
DHT HOLDINGS INC	SHS NEW	Y2065G121	168	26896	SH		DEFINED	3	26896	0	0
DHT HOLDINGS INC	SHS NEW	Y2065G121	150	24000	SH	PUT	DEFINED	2	0	0	0
DHT HOLDINGS INC	SHS NEW	Y2065G121	277	44200	SH	CALL	DEFINED	2	0	0	0
DIAGEO P L C	SPON ADR NEW	25243Q205	654	5800	SH	PUT	DEFINED	1	0	0	0
DIAGEO P L C	SPON ADR NEW	25243Q205	8759	77700	SH	PUT	DEFINED	2	0	0	0
DIAGEO P L C	SPON ADR NEW	25243Q205	1522	13500	SH	CALL	DEFINED	1	0	0	0
DIAGEO P L C	SPON ADR NEW	25243Q205	13528	120000	SH	CALL	DEFINED	2	0	0	0
DIAMOND FOODS INC	COM	252603105	5560	295430	SH		DEFINED	2	295430	0	0
DIAMOND FOODS INC	COM	252603105	414	21979	SH		DEFINED	1	21979	0	0
DIAMOND FOODS INC	COM	252603105	315	16733	SH		DEFINED	3	16733	0	0
DIAMOND FOODS INC	COM	252603105	307	16300	SH	PUT	DEFINED	3	0	0	0
DIAMOND FOODS INC	COM	252603105	597	31700	SH	PUT	DEFINED	1	0	0	0
DIAMOND FOODS INC	COM	252603105	8350	443700	SH	PUT	DEFINED	2	0	0	0
DIAMOND FOODS INC	COM	252603105	2341	124400	SH	CALL	DEFINED	2	0	0	0
DIAMOND FOODS INC	COM	252603105	506	26900	SH	CALL	DEFINED	1	0	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	1387	21072	SH		DEFINED	3	21072	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	17848	271203	SH		DEFINED	2	271203	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	1205	18314	SH		DEFINED	1	18314	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	3567	54200	SH	PUT	DEFINED	1	0	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	26462	402100	SH	PUT	DEFINED	2	0	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	23632	359100	SH	CALL	DEFINED	2	0	0	0
DIAMOND OFFSHORE DRILLING IN	COM	25271C102	4087	62100	SH	CALL	DEFINED	1	0	0	0
DIANA SHIPPING INC	COM	Y2066G104	248	38434	SH		DEFINED	2	38434	0	0
DIANA SHIPPING INC	COM	Y2066G104	542	83900	SH	PUT	DEFINED	2	0	0	0
DIANA SHIPPING INC	COM	Y2066G104	454	70300	SH	CALL	DEFINED	2	0	0	0
DICE HLDGS INC	COM	253017107	529	62836	SH		DEFINED	3	62836	0	0
DICKS SPORTING GOODS INC	COM	253393102	1950	37600	SH	PUT	DEFINED	2	0	0	0
DICKS SPORTING GOODS INC	COM	253393102	1509	29100	SH	CALL	DEFINED	1	0	0	0
DICKS SPORTING GOODS INC	COM	253393102	4905	94600	SH	CALL	DEFINED	2	0	0	0
DIEBOLD INC	COM	253651103	1106	32800	SH		DEFINED	9	32800	0	0
DIEBOLD INC	COM	253651103	705	20900	SH	PUT	DEFINED	2	0	0	0
DIEBOLD INC	COM	253651103	4517	134000	SH	CALL	DEFINED	2	0	0	0
DIGITAL GENERATION INC	COM	25400B108	1077	94766	SH		DEFINED	2	94766	0	0
DIGITAL GENERATION INC	COM	25400B108	509	44800	SH	PUT	DEFINED	2	0	0	0
DIGITAL GENERATION INC	COM	25400B108	195	17200	SH	CALL	DEFINED	1	0	0	0
DIGITAL GENERATION INC	COM	25400B108	2349	206800	SH	CALL	DEFINED	2	0	0	0
DIGITAL RIV INC	COM	25388B104	335	20130	SH		DEFINED	3	20130	0	0
DIGITAL RIV INC	COM	25388B104	170	10200	SH	PUT	DEFINED	1	0	0	0
DIGITAL RIV INC	COM	25388B104	297	17800	SH	PUT	DEFINED	2	0	0	0
DIGITAL RIV INC	COM	25388B104	428	25700	SH	CALL	DEFINED	2	0	0	0
DIGITAL RLTY TR INC	COM	253868103	8103	116000	SH		DEFINED	9	116000	0	0
DIGITAL RLTY TR INC	COM	253868103	2384	34137	SH		DEFINED	2	34137	0	0
DIGITAL RLTY TR INC	COM	253868103	5399	77300	SH	PUT	DEFINED	2	0	0	0
DIGITAL RLTY TR INC	COM	253868103	210	3000	SH	PUT	DEFINED	1	0	0	0
DIGITAL RLTY TR INC	COM	253868103	5497	78700	SH	CALL	DEFINED	2	0	0	0
DIGITAL RLTY TR INC	COM	253868103	286	4100	SH	CALL	DEFINED	1	0	0	0
DIGITALGLOBE INC	COM NEW	25389M877	501	24549	SH		DEFINED	2	24549	0	0
DIGITALGLOBE INC	COM NEW	25389M877	2494	122300	SH	PUT	DEFINED	2	0	0	0
DIGITALGLOBE INC	COM NEW	25389M877	1299	63700	SH	CALL	DEFINED	2	0	0	0
DILLARDS INC	CL A	254067101	579	8008	SH		DEFINED	2	8008	0	0
DILLARDS INC	CL A	254067101	12967	179300	SH	PUT	DEFINED	2	0	0	0
DILLARDS INC	CL A	254067101	1179	16300	SH	PUT	DEFINED	1	0	0	0
DILLARDS INC	CL A	254067101	4050	56000	SH	CALL	DEFINED	2	0	0	0
DILLARDS INC	CL A	254067101	1085	15000	SH	CALL	DEFINED	1	0	0	0
DINEEQUITY INC	COM	254423106	1256	22429	SH		DEFINED	2	22429	0	0
DINEEQUITY INC	COM	254423106	4189	74800	SH		DEFINED	9	74800	0	0
DINEEQUITY INC	COM	254423106	2055	36700	SH	PUT	DEFINED	2	0	0	0
DINEEQUITY INC	COM	254423106	1047	18700	SH	CALL	DEFINED	2	0	0	0
DINEEQUITY INC	COM	254423106	291	5200	SH	CALL	DEFINED	1	0	0	0
DIODES INC	COM	254543101	757	44500	SH	CALL	DEFINED	2	0	0	0
DIRECTV	COM	25490A309	4467	85155	SH		DEFINED	3	85155	0	0
DIRECTV	COM	25490A309	4600	87686	SH		DEFINED	1	87686	0	0
DIRECTV	COM	25490A309	28877	550462	SH		DEFINED	2	550462	0	0
DIRECTV	COM	25490A309	6620	126200	SH	PUT	DEFINED	1	0	0	0
DIRECTV	COM	25490A309	34513	657900	SH	PUT	DEFINED	2	0	0	0
DIRECTV	COM	25490A309	35290	672700	SH	CALL	DEFINED	2	0	0	0
DIRECTV	COM	25490A309	1647	31400	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY TECH BULL 3X	25459W102	1036	17502	SH		DEFINED	2	17502	0	0
DIREXION SHS ETF TR	DLY TECH BULL 3X	25459W102	728	12300	SH		DEFINED	1	12300	0	0
DIREXION SHS ETF TR	DLY TECH BULL 3X	25459W102	743	12557	SH		DEFINED	3	12557	0	0
DIREXION SHS ETF TR	DLY TECH BULL 3X	25459W102	3102	52400	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY TECH BULL 3X	25459W102	474	8000	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BEAR3X	25459W110	5930	398502	SH		DEFINED	2	398502	0	0
DIREXION SHS ETF TR	DLY SMCAP BEAR3X	25459W110	13091	879785	SH		DEFINED	3	879785	0	0
DIREXION SHS ETF TR	DLY SMCAP BEAR3X	25459W110	18447	1239700	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BEAR3X	25459W110	5143	345600	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BEAR3X	25459W110	7607	511200	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BEAR3X	25459W110	1655	111200	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY SCOND 3XBR	25459W128	4629	128588	SH		DEFINED	3	128588	0	0
DIREXION SHS ETF TR	DLY SCOND 3XBR	25459W128	216	6000	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY SCOND 3XBR	25459W128	324	9000	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY MC3X SHS NEW	25459W136	443	23457	SH		DEFINED	2	23457	0	0
DIREXION SHS ETF TR	DLY MC3X SHS NEW	25459W136	431	22805	SH		DEFINED	3	22805	0	0
DIREXION SHS ETF TR	DLY MC3X SHS NEW	25459W136	538	28500	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY FIN BEAR NEW	25459W144	2685	147526	SH		DEFINED	3	147526	0	0
DIREXION SHS ETF TR	DLY FIN BEAR NEW	25459W144	17700	972525	SH		DEFINED	2	972525	0	0
DIREXION SHS ETF TR	DLY FIN BEAR NEW	25459W144	22892	1257800	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY FIN BEAR NEW	25459W144	612	33600	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY FIN BEAR NEW	25459W144	1987	109200	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY FIN BEAR NEW	25459W144	3766	206900	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DRX S^P500BEAR	25459W151	313	18200	SH		DEFINED	2	18200	0	0
DIREXION SHS ETF TR	DRX S^P500BEAR	25459W151	625	36400	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DRX S^P500BEAR	25459W151	2630	153100	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DRX S^P500BEAR	25459W151	1380	80300	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DRX S^P500BEAR	25459W151	637	37100	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY DEV MKT BEAR	25459W169	810	36656	SH		DEFINED	3	36656	0	0
DIREXION SHS ETF TR	NAT GS BEAR 3X	25459W219	1520	109838	SH		DEFINED	3	109838	0	0
DIREXION SHS ETF TR	NAT GS BULL 3X	25459W227	1219	42967	SH		DEFINED	2	42967	0	0
DIREXION SHS ETF TR	GLD MNRS BEAR 3X	25459W235	657	27700	SH		DEFINED	2	27700	0	0
DIREXION SHS ETF TR	GLD MNRS BEAR 3X	25459W235	3960	167022	SH		DEFINED	3	167022	0	0
DIREXION SHS ETF TR	GLD MNRS BEAR 3X	25459W235	453	19100	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	GLD MNRS BEAR 3X	25459W235	1231	51900	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	GLD MNRS BULL 3X	25459W250	5320	300200	SH		DEFINED	2	300200	0	0
DIREXION SHS ETF TR	GLD MNRS BULL 3X	25459W250	15304	863665	SH		DEFINED	3	863665	0	0
DIREXION SHS ETF TR	GLD MNRS BULL 3X	25459W250	3633	205000	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	GLD MNRS BULL 3X	25459W250	8869	500500	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	GLD MNRS BULL 3X	25459W250	1224	69100	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	GLD MNRS BULL 3X	25459W250	1201	67800	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DL RUSSIA BEAR	25459W284	1129	63450	SH		DEFINED	3	63450	0	0
DIREXION SHS ETF TR	DLY TECH BEAR 3X	25459W318	633	77570	SH		DEFINED	3	77570	0	0
DIREXION SHS ETF TR	DLY TECH BEAR 3X	25459W318	103	12600	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BEAR3X	25459W342	366	47901	SH		DEFINED	3	47901	0	0
DIREXION SHS ETF TR	DLY ENRGY BEAR3X	25459W342	1084	141695	SH		DEFINED	2	141695	0	0
DIREXION SHS ETF TR	DLY ENRGY BEAR3X	25459W342	3007	393100	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BEAR3X	25459W342	83	10800	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BEAR3X	25459W342	2155	281700	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	INDIA BULL 3X	25459W383	3265	151234	SH		DEFINED	3	151234	0	0
DIREXION SHS ETF TR	RETAIL BULL 3X	25459W417	6470	57467	SH		DEFINED	2	57467	0	0
DIREXION SHS ETF TR	DLY SCOND 3XBU	25459W458	229	8506	SH		DEFINED	3	8506	0	0
DIREXION SHS ETF TR	DLY SCOND 3XBU	25459W458	202	7500	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY EM BR3X NEW	25459W482	270	23000	SH		DEFINED	1	23000	0	0
DIREXION SHS ETF TR	DLY EM BR3X NEW	25459W482	6538	556868	SH		DEFINED	3	556868	0	0
DIREXION SHS ETF TR	DLY EM BR3X NEW	25459W482	296	25200	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY EM BR3X NEW	25459W482	1514	129000	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY EM BR3X NEW	25459W482	164	14000	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY EM BR3X NEW	25459W482	1552	132200	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	20YR TRES BULL	25459W540	1682	21943	SH		DEFINED	2	21943	0	0
DIREXION SHS ETF TR	20YR TRES BULL	25459W540	1146	14948	SH		DEFINED	3	14948	0	0
DIREXION SHS ETF TR	20YR TRES BULL	25459W540	1004	13100	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	20YR TRES BULL	25459W540	5773	75300	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	20YR TRES BULL	25459W540	1004	13100	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	7 10YR TRES BEAR	25459W557	782	33982	SH		DEFINED	3	33982	0	0
DIREXION SHS ETF TR	DLY MIDCAP ETF3X	25459W730	1162	33617	SH		DEFINED	2	33617	0	0
DIREXION SHS ETF TR	DLY MIDCAP ETF3X	25459W730	1113	32200	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY MIDCAP ETF3X	25459W730	273	7900	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY R/E BULL3X	25459W755	1489	20415	SH		DEFINED	2	20415	0	0
DIREXION SHS ETF TR	DLY R/E BULL3X	25459W755	1687	23122	SH		DEFINED	3	23122	0	0
DIREXION SHS ETF TR	DLY R/E BULL3X	25459W755	978	13400	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY R/E BULL3X	25459W755	533	7300	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	CHINA BULL 3X	25459W771	487	30759	SH		DEFINED	3	30759	0	0
DIREXION SHS ETF TR	DLY DEV MKT BULL	25459W789	1359	37688	SH		DEFINED	3	37688	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	2399	39000	SH		DEFINED	1	39000	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	15310	248901	SH		DEFINED	3	248901	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	35381	575200	SH		DEFINED	2	575200	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	43211	702500	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	5173	84100	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	20169	327900	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY SMCAP BULL3X	25459W847	5345	86900	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DRX S^P500BULL	25459W862	4413	48912	SH		DEFINED	2	48912	0	0
DIREXION SHS ETF TR	DRX S^P500BULL	25459W862	735	8151	SH		DEFINED	3	8151	0	0
DIREXION SHS ETF TR	DRX S^P500BULL	25459W862	13208	146400	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DRX S^P500BULL	25459W862	3618	40100	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DRX S^P500BULL	25459W862	9933	110100	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DRX S^P500BULL	25459W862	3086	34200	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BULL3X	25459W888	8722	162900	SH		DEFINED	2	162900	0	0
DIREXION SHS ETF TR	DLY ENRGY BULL3X	25459W888	5590	104403	SH		DEFINED	3	104403	0	0
DIREXION SHS ETF TR	DLY ENRGY BULL3X	25459W888	2474	46200	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BULL3X	25459W888	22872	427200	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BULL3X	25459W888	916	17100	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY ENRGY BULL3X	25459W888	14242	266000	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	TL BD MKT BEAR	25459Y306	733	20709	SH		DEFINED	3	20709	0	0
DIREXION SHS ETF TR	LATN AM BULL3X	25459Y652	1181	17514	SH		DEFINED	3	17514	0	0
DIREXION SHS ETF TR	DLY R/E BEAR3X	25459Y660	497	21759	SH		DEFINED	3	21759	0	0
DIREXION SHS ETF TR	DLY R/E BEAR3X	25459Y660	366	16000	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	20YR TRES BEAR	25459Y678	437	8200	SH		DEFINED	2	8200	0	0
DIREXION SHS ETF TR	20YR TRES BEAR	25459Y678	2247	42200	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	20YR TRES BEAR	25459Y678	1369	25700	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY EMRGMKT BULL	25459Y686	7677	86400	SH		DEFINED	2	86400	0	0
DIREXION SHS ETF TR	DLY EMRGMKT BULL	25459Y686	19734	222100	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY EMRGMKT BULL	25459Y686	10191	114700	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY EMRGMKT BULL	25459Y686	6753	76000	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY EMRGMKT BULL	25459Y686	3110	35000	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY FIN BULL NEW	25459Y694	252	2400	SH		DEFINED	3	2400	0	0
DIREXION SHS ETF TR	DLY FIN BULL NEW	25459Y694	185154	1764384	SH		DEFINED	2	1764384	0	0
DIREXION SHS ETF TR	DLY FIN BULL NEW	25459Y694	29530	281400	SH	PUT	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY FIN BULL NEW	25459Y694	253010	2411000	SH	PUT	DEFINED	2	0	0	0
DIREXION SHS ETF TR	DLY FIN BULL NEW	25459Y694	23066	219800	SH	CALL	DEFINED	1	0	0	0
DIREXION SHS ETF TR	DLY FIN BULL NEW	25459Y694	128184	1221500	SH	CALL	DEFINED	2	0	0	0
DIREXION SHS ETF TR	TOTAL MKT BEAR	25459Y819	972	31202	SH		DEFINED	3	31202	0	0
DIREXION SHS ETF TR	HEALTHCARE BUL	25459Y876	2412	44906	SH		DEFINED	2	44906	0	0
DISCOVER FINL SVCS	COM	254709108	3268	82259	SH		DEFINED	3	82259	0	0
DISCOVER FINL SVCS	COM	254709108	2741	68990	SH		DEFINED	1	68990	0	0
DISCOVER FINL SVCS	COM	254709108	6310	158833	SH		DEFINED	2	158833	0	0
DISCOVER FINL SVCS	COM	254709108	9194	231400	SH	PUT	DEFINED	2	0	0	0
DISCOVER FINL SVCS	COM	254709108	3874	97500	SH	PUT	DEFINED	1	0	0	0
DISCOVER FINL SVCS	COM	254709108	7283	183300	SH	CALL	DEFINED	1	0	0	0
DISCOVER FINL SVCS	COM	254709108	14080	354400	SH	CALL	DEFINED	2	0	0	0
DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	986	16528	SH		DEFINED	2	16528	0	0
DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	263	4408	SH		DEFINED	1	4408	0	0
DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	3169	53152	SH		DEFINED	3	53152	0	0
DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	3421	57400	SH		DEFINED	9	57400	0	0
DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	6911	115900	SH	PUT	DEFINED	2	0	0	0
DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	4460	74800	SH	CALL	DEFINED	2	0	0	0
DISCOVERY COMMUNICATNS NEW	COM SER C	25470F302	286	5100	SH	CALL	DEFINED	2	0	0	0
DISCOVERY LABORATORIES INC N	COM NEW	254668403	326	99400	SH	PUT	DEFINED	2	0	0	0
DISCOVERY LABORATORIES INC N	COM NEW	254668403	42	12800	SH	PUT	DEFINED	3	0	0	0
DISCOVERY LABORATORIES INC N	COM NEW	254668403	318	97100	SH	CALL	DEFINED	2	0	0	0
DISH NETWORK CORP	CL A	25470M109	394	12870	SH		DEFINED	3	12870	0	0
DISH NETWORK CORP	CL A	25470M109	1568	51224	SH		DEFINED	9	51224	0	0
DISH NETWORK CORP	CL A	25470M109	2194	71676	SH		DEFINED	1	71676	0	0
DISH NETWORK CORP	CL A	25470M109	9185	300061	SH		DEFINED	2	300061	0	0
DISH NETWORK CORP	CL A	25470M109	20888	682400	SH	PUT	DEFINED	2	0	0	0
DISH NETWORK CORP	CL A	25470M109	2308	75400	SH	PUT	DEFINED	1	0	0	0
DISH NETWORK CORP	CL A	25470M109	13768	449800	SH	CALL	DEFINED	2	0	0	0
DISH NETWORK CORP	CL A	25470M109	1448	47300	SH	CALL	DEFINED	1	0	0	0
DISNEY WALT CO	COM DISNEY	254687106	5927	113368	SH		DEFINED	1	113368	0	0
DISNEY WALT CO	COM DISNEY	254687106	7203	137768	SH		DEFINED	2	137768	0	0
DISNEY WALT CO	COM DISNEY	254687106	11083	212000	SH	PUT	DEFINED	1	0	0	0
DISNEY WALT CO	COM DISNEY	254687106	19642	375700	SH	PUT	DEFINED	2	0	0	0
DISNEY WALT CO	COM DISNEY	254687106	142761	2730700	SH	CALL	DEFINED	2	0	0	0
DISNEY WALT CO	COM DISNEY	254687106	8344	159600	SH	CALL	DEFINED	1	0	0	0
DISNEY WALT CO	COM DISNEY	254687106	8030	153600	SH	CALL	DEFINED	3	0	0	0
DNP SELECT INCOME FD	COM	23325P104	99	10075	SH		DEFINED	4	10075	0	0
DNP SELECT INCOME FD	COM	23325P104	245	24867	SH		DEFINED	"5,7"	24867	0	0
DOCUMENT SEC SYS INC	COM	25614T101	133	31900	SH		DEFINED	2	31900	0	0
DOLAN CO	COM	25659P402	92	17046	SH		DEFINED	3	17046	0	0
DOLBY LABORATORIES INC	COM	25659T107	324	9900	SH	PUT	DEFINED	1	0	0	0
DOLBY LABORATORIES INC	COM	25659T107	2649	80900	SH	PUT	DEFINED	2	0	0	0
DOLBY LABORATORIES INC	COM	25659T107	1939	59200	SH	CALL	DEFINED	2	0	0	0
DOLE FOOD CO INC NEW	COM	256603101	1543	110000	SH		DEFINED	9	110000	0	0
DOLE FOOD CO INC NEW	COM	256603101	4777	340500	SH	PUT	DEFINED	2	0	0	0
DOLE FOOD CO INC NEW	COM	256603101	12359	880900	SH	CALL	DEFINED	3	0	0	0
DOLE FOOD CO INC NEW	COM	256603101	410	29200	SH	CALL	DEFINED	1	0	0	0
DOLE FOOD CO INC NEW	COM	256603101	7342	523300	SH	CALL	DEFINED	2	0	0	0
DOLLAR GEN CORP NEW	COM	256677105	1397	27100	SH		DEFINED	9	27100	0	0
DOLLAR GEN CORP NEW	COM	256677105	615	11940	SH		DEFINED	2	11940	0	0
DOLLAR GEN CORP NEW	COM	256677105	34903	677200	SH	PUT	DEFINED	2	0	0	0
DOLLAR GEN CORP NEW	COM	256677105	438	8500	SH	PUT	DEFINED	1	0	0	0
DOLLAR GEN CORP NEW	COM	256677105	356	6900	SH	CALL	DEFINED	1	0	0	0
DOLLAR GEN CORP NEW	COM	256677105	7509	145700	SH	CALL	DEFINED	2	0	0	0
DOLLAR THRIFTY AUTOMOTIVE GP	COM	256743105	9786	112575	SH		DEFINED	2	112575	0	0
DOLLAR THRIFTY AUTOMOTIVE GP	COM	256743105	3069	35301	SH		DEFINED	9	35301	0	0
DOLLAR THRIFTY AUTOMOTIVE GP	COM	256743105	956	11000	SH	PUT	DEFINED	3	0	0	0
DOLLAR THRIFTY AUTOMOTIVE GP	COM	256743105	19159	220400	SH	PUT	DEFINED	2	0	0	0
DOLLAR THRIFTY AUTOMOTIVE GP	COM	256743105	18577	213700	SH	CALL	DEFINED	2	0	0	0
DOLLAR TREE INC	COM	256746108	11611	240525	SH		DEFINED	2	240525	0	0
DOLLAR TREE INC	COM	256746108	14227	294700	SH	PUT	DEFINED	2	0	0	0
DOLLAR TREE INC	COM	256746108	401	8300	SH	PUT	DEFINED	1	0	0	0
DOLLAR TREE INC	COM	256746108	338	7000	SH	CALL	DEFINED	1	0	0	0
DOLLAR TREE INC	COM	256746108	14536	301100	SH	CALL	DEFINED	2	0	0	0
DOMINION RES INC VA NEW	COM	25746U109	301	5694	SH		DEFINED	3	5694	0	0
DOMINION RES INC VA NEW	COM	25746U109	4370	82553	SH		DEFINED	2	82553	0	0
DOMINION RES INC VA NEW	COM	25746U109	9640	182100	SH	PUT	DEFINED	2	0	0	0
DOMINION RES INC VA NEW	COM	25746U109	13209	249500	SH	CALL	DEFINED	2	0	0	0
DOMINION RES INC VA NEW	COM	25746U109	265	5000	SH	CALL	DEFINED	1	0	0	0
DOMINOS PIZZA INC	COM	25754A201	437	11593	SH		DEFINED	2	11593	0	0
DOMINOS PIZZA INC	COM	25754A201	624	16557	SH		DEFINED	1	16557	0	0
DOMINOS PIZZA INC	COM	25754A201	4271	113300	SH	PUT	DEFINED	2	0	0	0
DOMINOS PIZZA INC	COM	25754A201	1120	29700	SH	PUT	DEFINED	1	0	0	0
DOMINOS PIZZA INC	COM	25754A201	4102	108800	SH	CALL	DEFINED	2	0	0	0
DOMINOS PIZZA INC	COM	25754A201	852	22600	SH	CALL	DEFINED	1	0	0	0
DOMTAR CORP	COM NEW	257559203	240	3064	SH		DEFINED	2	3064	0	0
DOMTAR CORP	COM NEW	257559203	1104	14100	SH	PUT	DEFINED	1	0	0	0
DOMTAR CORP	COM NEW	257559203	5566	71100	SH	PUT	DEFINED	2	0	0	0
DOMTAR CORP	COM NEW	257559203	947	12100	SH	CALL	DEFINED	1	0	0	0
DOMTAR CORP	COM NEW	257559203	6381	81500	SH	CALL	DEFINED	2	0	0	0
DONALDSON INC	COM	257651109	1016	29285	SH		DEFINED	3	29285	0	0
DONALDSON INC	COM	257651109	597	17200	SH	CALL	DEFINED	2	0	0	0
DONNELLEY R R & SONS CO	COM	257867101	698	65884	SH		DEFINED	2	65884	0	0
DONNELLEY R R & SONS CO	COM	257867101	125	11800	SH	PUT	DEFINED	1	0	0	0
DONNELLEY R R & SONS CO	COM	257867101	8172	770900	SH	PUT	DEFINED	2	0	0	0
DONNELLEY R R & SONS CO	COM	257867101	383	36100	SH	CALL	DEFINED	1	0	0	0
DONNELLEY R R & SONS CO	COM	257867101	7072	667200	SH	CALL	DEFINED	2	0	0	0
DORAL FINL CORP	COM NEW	25811P886	23	24144	SH		DEFINED	2	24144	0	0
DORCHESTER MINERALS LP	COM UNIT	25820R105	254	11500	SH	PUT	DEFINED	2	0	0	0
DORCHESTER MINERALS LP	COM UNIT	25820R105	373	16900	SH	CALL	DEFINED	2	0	0	0
DORMAN PRODUCTS INC	COM	258278100	294	9338	SH		DEFINED	2	9338	0	0
DORMAN PRODUCTS INC	COM	258278100	413	13100	SH	PUT	DEFINED	2	0	0	0
DOT HILL SYS CORP	COM	25848T109	255	238606	SH		DEFINED	3	238606	0	0
DOT HILL SYS CORP	COM	25848T109	12	11418	SH		DEFINED	2	11418	0	0
DOUBLE EAGLE PETE CO	COM PAR $0.10	258570209	55	10000	SH	PUT	DEFINED	2	0	0	0
DOUGLAS EMMETT INC	COM	25960P109	560	24257	SH		DEFINED	3	24257	0	0
DOUGLAS EMMETT INC	COM	25960P109	2554	110700	SH		DEFINED	9	110700	0	0
DOUGLAS EMMETT INC	COM	25960P109	256	11100	SH	CALL	DEFINED	2	0	0	0
DOVER CORP	COM	260003108	825	13864	SH		DEFINED	2	13864	0	0
DOVER CORP	COM	260003108	369	6200	SH	CALL	DEFINED	1	0	0	0
DOVER CORP	COM	260003108	6163	103600	SH	CALL	DEFINED	2	0	0	0
DOW CHEM CO	COM	260543103	1753	60520	SH		DEFINED	1	60520	0	0
DOW CHEM CO	COM	260543103	6051	208933	SH		DEFINED	2	208933	0	0
DOW CHEM CO	COM	260543103	1393	48100	SH	PUT	DEFINED	3	0	0	0
DOW CHEM CO	COM	260543103	1755	60600	SH	PUT	DEFINED	1	0	0	0
DOW CHEM CO	COM	260543103	31607	1091400	SH	PUT	DEFINED	2	0	0	0
DOW CHEM CO	COM	260543103	1613	55700	SH	CALL	DEFINED	1	0	0	0
DOW CHEM CO	COM	260543103	1590	54900	SH	CALL	DEFINED	3	0	0	0
DOW CHEM CO	COM	260543103	38951	1345000	SH	CALL	DEFINED	2	0	0	0
DR PEPPER SNAPPLE GROUP INC	COM	26138E109	2503	56200	SH		DEFINED	9	56200	0	0
DR PEPPER SNAPPLE GROUP INC	COM	26138E109	577	12953	SH		DEFINED	2	12953	0	0
DR PEPPER SNAPPLE GROUP INC	COM	26138E109	361	8100	SH	PUT	DEFINED	2	0	0	0
DR PEPPER SNAPPLE GROUP INC	COM	26138E109	1986	44600	SH	CALL	DEFINED	2	0	0	0
DR REDDYS LABS LTD	ADR	256135203	5133	166330	SH		DEFINED	2	166330	0	0
DR REDDYS LABS LTD	ADR	256135203	5888	190800	SH	PUT	DEFINED	2	0	0	0
DRAGONWAVE INC	COM	26144M103	142	63607	SH		DEFINED	2	63607	0	0
DRAGONWAVE INC	COM	26144M103	46	20500	SH	PUT	DEFINED	2	0	0	0
DREAMWORKS ANIMATION SKG INC	CL A	26153C103	2058	107000	SH	PUT	DEFINED	2	0	0	0
DREAMWORKS ANIMATION SKG INC	CL A	26153C103	265	13800	SH	CALL	DEFINED	1	0	0	0
DREAMWORKS ANIMATION SKG INC	CL A	26153C103	1906	99100	SH	CALL	DEFINED	2	0	0	0
DRESSER-RAND GROUP INC	COM	261608103	1290	23412	SH		DEFINED	2	23412	0	0
DRESSER-RAND GROUP INC	COM	261608103	2017	36600	SH	PUT	DEFINED	2	0	0	0
DRESSER-RAND GROUP INC	COM	261608103	2877	52200	SH	CALL	DEFINED	2	0	0	0
DRESSER-RAND GROUP INC	COM	261608103	347	6300	SH	CALL	DEFINED	1	0	0	0
DRIL-QUIP INC	COM	262037104	553	7700	SH	PUT	DEFINED	1	0	0	0
DRIL-QUIP INC	COM	262037104	1610	22400	SH	PUT	DEFINED	2	0	0	0
DRIL-QUIP INC	COM	262037104	338	4700	SH	CALL	DEFINED	1	0	0	0
DRIL-QUIP INC	COM	262037104	5599	77900	SH	CALL	DEFINED	2	0	0	0
DRYSHIPS INC	SHS	Y2109Q101	2545	1087778	SH		DEFINED	2	1087778	0	0
DRYSHIPS INC	SHS	Y2109Q101	1887	806500	SH	PUT	DEFINED	2	0	0	0
DRYSHIPS INC	SHS	Y2109Q101	75	32000	SH	PUT	DEFINED	1	0	0	0
DRYSHIPS INC	SHS	Y2109Q101	1362	582100	SH	CALL	DEFINED	2	0	0	0
DRYSHIPS INC	SHS	Y2109Q101	249	106500	SH	CALL	DEFINED	1	0	0	0
DRYSHIPS INC.	NOTE   5.000%12/0	262498AB4	19948	24143000	PRN		DEFINED	"5,7"	0	0	0
DST SYS INC DEL	COM	233326107	436	7701	SH		DEFINED	2	7701	0	0
DST SYS INC DEL	COM	233326107	288	5100	SH	PUT	DEFINED	2	0	0	0
DST SYS INC DEL	COM	233326107	6397	113100	SH	CALL	DEFINED	2	0	0	0
DSW INC	CL A	23334L102	1068	16000	SH		DEFINED	9	16000	0	0
DSW INC	CL A	23334L102	293	4398	SH		DEFINED	1	4398	0	0
DSW INC	CL A	23334L102	1572	23567	SH		DEFINED	2	23567	0	0
DSW INC	CL A	23334L102	1841	27600	SH	PUT	DEFINED	2	0	0	0
DSW INC	CL A	23334L102	3089	46300	SH	CALL	DEFINED	2	0	0	0
DTE ENERGY CO	COM	233331107	2284	38105	SH		DEFINED	2	38105	0	0
DTE ENERGY CO	COM	233331107	1085	18100	SH	PUT	DEFINED	2	0	0	0
DTE ENERGY CO	COM	233331107	4052	67600	SH	CALL	DEFINED	2	0	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	1359	27037	SH		DEFINED	1	27037	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	5747	114330	SH		DEFINED	2	114330	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	2132	42413	SH		DEFINED	3	42413	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	4328	86100	SH	PUT	DEFINED	1	0	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	6852	136300	SH	PUT	DEFINED	3	0	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	40186	799400	SH	PUT	DEFINED	2	0	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	1800	35800	SH	CALL	DEFINED	3	0	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	4223	84000	SH	CALL	DEFINED	1	0	0	0
DU PONT E I DE NEMOURS & CO	COM	263534109	74560	1483200	SH	CALL	DEFINED	2	0	0	0
DUCOMMUN INC DEL	COM	264147109	651	47891	SH		DEFINED	3	47891	0	0
DUFF & PHELPS CORP NEW	CL A	26433B107	276	20300	SH		DEFINED	9	20300	0	0
DUKE ENERGY CORP NEW	COM NEW	26441C204	53167	820603	SH		DEFINED	9	820603	0	0
DUKE ENERGY CORP NEW	COM NEW	26441C204	7534	116279	SH		DEFINED	2	116279	0	0
DUKE ENERGY CORP NEW	COM NEW	26441C204	21193	327100	SH	PUT	DEFINED	2	0	0	0
DUKE ENERGY CORP NEW	COM NEW	26441C204	875	13500	SH	PUT	DEFINED	1	0	0	0
DUKE ENERGY CORP NEW	COM NEW	26441C204	5825	89900	SH	CALL	DEFINED	1	0	0	0
DUKE ENERGY CORP NEW	COM NEW	26441C204	29849	460700	SH	CALL	DEFINED	2	0	0	0
DUKE REALTY CORP	COM NEW	264411505	194	13169	SH		DEFINED	2	13169	0	0
DUKE REALTY CORP	COM NEW	264411505	810	55100	SH	CALL	DEFINED	2	0	0	0
DUN & BRADSTREET CORP DEL NE	COM	26483E100	352	4417	SH		DEFINED	2	4417	0	0
DUN & BRADSTREET CORP DEL NE	COM	26483E100	1513	19000	SH	PUT	DEFINED	2	0	0	0
DUN & BRADSTREET CORP DEL NE	COM	26483E100	2134	26800	SH	CALL	DEFINED	2	0	0	0
DUNKIN BRANDS GROUP INC	COM	265504100	323	11051	SH		DEFINED	2	11051	0	0
DUNKIN BRANDS GROUP INC	COM	265504100	236	8075	SH		DEFINED	3	8075	0	0
DUNKIN BRANDS GROUP INC	COM	265504100	528	18100	SH	PUT	DEFINED	1	0	0	0
DUNKIN BRANDS GROUP INC	COM	265504100	6370	218200	SH	PUT	DEFINED	2	0	0	0
DUNKIN BRANDS GROUP INC	COM	265504100	10224	350200	SH	CALL	DEFINED	2	0	0	0
DUPONT FABROS TECHNOLOGY INC	COM	26613Q106	1308	51800	SH		DEFINED	9	51800	0	0
DUPONT FABROS TECHNOLOGY INC	COM	26613Q106	550	21800	SH	PUT	DEFINED	2	0	0	0
DUPONT FABROS TECHNOLOGY INC	COM	26613Q106	712	28200	SH	CALL	DEFINED	2	0	0	0
DURECT CORP	COM	266605104	469	325736	SH		DEFINED	3	325736	0	0
DYAX CORP	COM	26746E103	49	18888	SH		DEFINED	2	18888	0	0
DYAX CORP	COM	26746E103	176	67600	SH	CALL	DEFINED	2	0	0	0
DYCOM INDS INC	COM	267475101	418	29078	SH		DEFINED	2	29078	0	0
DYCOM INDS INC	COM	267475101	211	14700	SH	PUT	DEFINED	2	0	0	0
DYCOM INDS INC	COM	267475101	523	36400	SH	CALL	DEFINED	2	0	0	0
DYNAMIC MATLS CORP	COM	267888105	756	50300	SH	PUT	DEFINED	2	0	0	0
DYNAMIC MATLS CORP	COM	267888105	883	58800	SH	CALL	DEFINED	2	0	0	0
DYNAMICS RESH CORP	COM	268057106	82	11989	SH		DEFINED	3	11989	0	0
DYNAVAX TECHNOLOGIES CORP	COM	268158102	252	52860	SH		DEFINED	2	52860	0	0
DYNAVAX TECHNOLOGIES CORP	COM	268158102	173	36300	SH	PUT	DEFINED	2	0	0	0
DYNAVAX TECHNOLOGIES CORP	COM	268158102	456	95700	SH	CALL	DEFINED	2	0	0	0
DYNAVOX INC	CL A	26817F104	23	43011	SH		DEFINED	3	43011	0	0
DYNEX CAP INC	COM NEW	26817Q506	110	10274	SH		DEFINED	2	10274	0	0
E HOUSE CHINA HLDGS LTD	ADR	26852W103	51	11816	SH		DEFINED	2	11816	0	0
E HOUSE CHINA HLDGS LTD	ADR	26852W103	134	31200	SH	CALL	DEFINED	2	0	0	0
E M C CORP MASS	COM	268648102	514	18856	SH		DEFINED	3	18856	0	0
E M C CORP MASS	COM	268648102	23270	853320	SH		DEFINED	2	853320	0	0
E M C CORP MASS	COM	268648102	7531	276153	SH		DEFINED	1	276153	0	0
E M C CORP MASS	COM	268648102	156044	5722200	SH	PUT	DEFINED	2	0	0	0
E M C CORP MASS	COM	268648102	8462	310300	SH	PUT	DEFINED	1	0	0	0
E M C CORP MASS	COM	268648102	818	30000	SH	CALL	DEFINED	3	0	0	0
E M C CORP MASS	COM	268648102	118185	4333900	SH	CALL	DEFINED	2	0	0	0
E M C CORP MASS	COM	268648102	6798	249300	SH	CALL	DEFINED	1	0	0	0
E M C CORP MASS	NOTE   1.750%12/0	268648AM4	229612	133738000	PRN		DEFINED	"5,7"	0	0	0
E TRADE FINANCIAL CORP	COM NEW	269246401	5522	626763	SH		DEFINED	2	626763	0	0
E TRADE FINANCIAL CORP	COM NEW	269246401	208	23649	SH		DEFINED	3	23649	0	0
E TRADE FINANCIAL CORP	COM NEW	269246401	6593	748400	SH	PUT	DEFINED	2	0	0	0
E TRADE FINANCIAL CORP	COM NEW	269246401	143	16200	SH	PUT	DEFINED	1	0	0	0
E TRADE FINANCIAL CORP	COM NEW	269246401	2810	318900	SH	CALL	DEFINED	2	0	0	0
E-COMMERCE CHINA DANGDANG IN	SPN ADS COM A	26833A105	456	96614	SH		DEFINED	2	96614	0	0
E-COMMERCE CHINA DANGDANG IN	SPN ADS COM A	26833A105	52	11000	SH	PUT	DEFINED	1	0	0	0
E-COMMERCE CHINA DANGDANG IN	SPN ADS COM A	26833A105	1699	359900	SH	PUT	DEFINED	2	0	0	0
E-COMMERCE CHINA DANGDANG IN	SPN ADS COM A	26833A105	1284	272100	SH	CALL	DEFINED	2	0	0	0
EAGLE BULK SHIPPING INC	SHS NEW	Y2187A119	384	106400	SH	PUT	DEFINED	2	0	0	0
EAGLE BULK SHIPPING INC	SHS NEW	Y2187A119	225	62200	SH	CALL	DEFINED	2	0	0	0
EAGLE MATERIALS INC	COM	26969P108	603	13038	SH		DEFINED	3	13038	0	0
EAGLE MATERIALS INC	COM	26969P108	476	10300	SH	PUT	DEFINED	2	0	0	0
EAGLE MATERIALS INC	COM	26969P108	3798	82100	SH	CALL	DEFINED	2	0	0	0
EAGLE ROCK ENERGY PARTNERS L	UNIT	26985R104	267	27900	SH	PUT	DEFINED	2	0	0	0
EAGLE ROCK ENERGY PARTNERS L	UNIT	26985R104	1178	123200	SH	CALL	DEFINED	2	0	0	0
EARTHLINK INC	COM	270321102	294	41300	SH		DEFINED	3	41300	0	0
EARTHLINK INC	COM	270321102	351	49286	SH		DEFINED	2	49286	0	0
EARTHLINK INC	COM	270321102	429	60300	SH	CALL	DEFINED	2	0	0	0
EAST WEST BANCORP INC	COM	27579R104	431	20400	SH	CALL	DEFINED	2	0	0	0
EASTERN CO	COM	276317104	721	38493	SH		DEFINED	3	38493	0	0
EASTGROUP PPTY INC	COM	277276101	420	7900	SH	CALL	DEFINED	2	0	0	0
EASTMAN CHEM CO	COM	277432100	467	8199	SH		DEFINED	3	8199	0	0
EASTMAN CHEM CO	COM	277432100	1883	33034	SH		DEFINED	2	33034	0	0
EASTMAN CHEM CO	COM	277432100	1887	33100	SH		DEFINED	9	33100	0	0
EASTMAN CHEM CO	COM	277432100	17160	301000	SH	PUT	DEFINED	2	0	0	0
EASTMAN CHEM CO	COM	277432100	3250	57000	SH	CALL	DEFINED	1	0	0	0
EASTMAN CHEM CO	COM	277432100	17377	304800	SH	CALL	DEFINED	2	0	0	0
EATON CORP	COM	278058102	6525	138061	SH		DEFINED	2	138061	0	0
EATON CORP	COM	278058102	20563	435100	SH	PUT	DEFINED	2	0	0	0
EATON CORP	COM	278058102	41315	874200	SH	PUT	DEFINED	3	0	0	0
EATON CORP	COM	278058102	1026	21700	SH	PUT	DEFINED	1	0	0	0
EATON CORP	COM	278058102	12902	273000	SH	CALL	DEFINED	2	0	0	0
EATON CORP	COM	278058102	444	9400	SH	CALL	DEFINED	1	0	0	0
EATON CORP	COM	278058102	20558	435000	SH	CALL	DEFINED	3	0	0	0
EATON VANCE CORP	COM NON VTG	278265103	246	8500	SH	PUT	DEFINED	2	0	0	0
EATON VANCE CORP	COM NON VTG	278265103	2462	85000	SH	CALL	DEFINED	2	0	0	0
EBAY INC	COM	278642103	8914	184137	SH		DEFINED	1	184137	0	0
EBAY INC	COM	278642103	35590	735170	SH		DEFINED	2	735170	0	0
EBAY INC	COM	278642103	502	10368	SH		DEFINED	3	10368	0	0
EBAY INC	COM	278642103	28693	592700	SH	PUT	DEFINED	2	0	0	0
EBAY INC	COM	278642103	11526	238100	SH	PUT	DEFINED	1	0	0	0
EBAY INC	COM	278642103	5814	120100	SH	CALL	DEFINED	1	0	0	0
EBAY INC	COM	278642103	57695	1191800	SH	CALL	DEFINED	2	0	0	0
EBIX INC	COM NEW	278715206	224	9500	SH		DEFINED	9	9500	0	0
EBIX INC	COM NEW	278715206	250	10603	SH		DEFINED	2	10603	0	0
EBIX INC	COM NEW	278715206	3636	154000	SH	PUT	DEFINED	2	0	0	0
EBIX INC	COM NEW	278715206	210	8900	SH	PUT	DEFINED	1	0	0	0
EBIX INC	COM NEW	278715206	1214	51400	SH	CALL	DEFINED	2	0	0	0
EBIX INC	COM NEW	278715206	956	40500	SH	CALL	DEFINED	1	0	0	0
ECHELON CORP	COM	27874N105	40	10540	SH		DEFINED	2	10540	0	0
ECOLAB INC	COM	278865100	12017	185425	SH		DEFINED	9	185425	0	0
ECOLAB INC	COM	278865100	1328	20497	SH		DEFINED	2	20497	0	0
ECOLAB INC	COM	278865100	3758	57992	SH		DEFINED	3	57992	0	0
ECOLAB INC	COM	278865100	1283	19800	SH	PUT	DEFINED	2	0	0	0
ECOLAB INC	COM	278865100	1128	17400	SH	PUT	DEFINED	1	0	0	0
ECOLAB INC	COM	278865100	454	7000	SH	CALL	DEFINED	1	0	0	0
ECOLAB INC	COM	278865100	7259	112000	SH	CALL	DEFINED	2	0	0	0
ECOLOGY & ENVIRONMENT INC	CL A	278878103	230	18809	SH		DEFINED	3	18809	0	0
ECOPETROL S A	SPONSORED ADS	279158109	968	16419	SH		DEFINED	2	16419	0	0
ECOPETROL S A	SPONSORED ADS	279158109	1067	18100	SH		DEFINED	9	18100	0	0
ECOPETROL S A	SPONSORED ADS	279158109	1456	24700	SH	PUT	DEFINED	2	0	0	0
ECOPETROL S A	SPONSORED ADS	279158109	1473	25000	SH	CALL	DEFINED	2	0	0	0
EDAP TMS S A	SPONSORED ADR	268311107	20	11800	SH	CALL	DEFINED	2	0	0	0
EDGEN GROUP INC	CL A	28014Q107	283	36498	SH		DEFINED	3	36498	0	0
EDISON INTL	COM	281020107	5074	111058	SH		DEFINED	2	111058	0	0
EDISON INTL	COM	281020107	2682	58700	SH	PUT	DEFINED	2	0	0	0
EDISON INTL	COM	281020107	3765	82400	SH	CALL	DEFINED	2	0	0	0
EDUCATION MGMT CORP NEW	COM	28140M103	45	14416	SH		DEFINED	2	14416	0	0
EDUCATION MGMT CORP NEW	COM	28140M103	41	13300	SH	PUT	DEFINED	2	0	0	0
EDUCATION RLTY TR INC	COM	28140H104	192	17644	SH		DEFINED	3	17644	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	4899	45626	SH		DEFINED	2	45626	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	459	4272	SH		DEFINED	3	4272	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	18156	169100	SH	PUT	DEFINED	2	0	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	827	7700	SH	PUT	DEFINED	1	0	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	827	7700	SH	PUT	DEFINED	3	0	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	1761	16400	SH	CALL	DEFINED	1	0	0	0
EDWARDS LIFESCIENCES CORP	COM	28176E108	12670	118000	SH	CALL	DEFINED	2	0	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE GEM COMP	268461100	279	12434	SH		DEFINED	3	12434	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE GEM COMP	268461100	319	14224	SH		DEFINED	2	14224	0	0
EGA EMERGING GLOBAL SHS TR	BSC MATLS GEM	268461209	791	55337	SH		DEFINED	2	55337	0	0
EGA EMERGING GLOBAL SHS TR	CONS GOODS GEM	268461308	314	14039	SH		DEFINED	2	14039	0	0
EGA EMERGING GLOBAL SHS TR	CONSMR SVC GEM	268461407	770	38581	SH		DEFINED	2	38581	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE FINL GEM	268461506	865	44599	SH		DEFINED	2	44599	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE EM DOM	268461621	5059	246399	SH		DEFINED	2	246399	0	0
EGA EMERGING GLOBAL SHS TR	EGSHR BYND BRC	268461639	4962	241572	SH		DEFINED	2	241572	0	0
EGA EMERGING GLOBAL SHS TR	LOW VOL EM DIV	268461654	3596	191821	SH		DEFINED	3	191821	0	0
EGA EMERGING GLOBAL SHS TR	LOW VOL EM DIV	268461654	1026	54708	SH		DEFINED	2	54708	0	0
EGA EMERGING GLOBAL SHS TR	INDLS GEMS	268461704	547	29152	SH		DEFINED	2	29152	0	0
EGA EMERGING GLOBAL SHS TR	INDIA CONSUMER	268461761	571	26179	SH		DEFINED	2	26179	0	0
EGA EMERGING GLOBAL SHS TR	EGS EMKTCONS ETF	268461779	7043	289608	SH		DEFINED	2	289608	0	0
EGA EMERGING GLOBAL SHS TR	TECHNOLOGY GEM	268461803	488	27502	SH		DEFINED	2	27502	0	0
EGA EMERGING GLOBAL SHS TR	EGS INDIA SC ETF	268461811	1195	82675	SH		DEFINED	2	82675	0	0
EGA EMERGING GLOBAL SHS TR	EGS BRAZ INF ETF	268461829	1781	85027	SH		DEFINED	2	85027	0	0
EGA EMERGING GLOBAL SHS TR	EGS CHIN INF ETF	268461837	1067	67047	SH		DEFINED	2	67047	0	0
EGA EMERGING GLOBAL SHS TR	EGS INDI INF ETF	268461845	315	21654	SH		DEFINED	2	21654	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE EM METLS	268461852	339	24269	SH		DEFINED	3	24269	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE EM METLS	268461852	531	38035	SH		DEFINED	2	38035	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE ENGY GEM	268461860	283	11845	SH		DEFINED	3	11845	0	0
EGA EMERGING GLOBAL SHS TR	EGSHARE ENGY GEM	268461860	2211	92391	SH		DEFINED	2	92391	0	0
EGA EMERGING GLOBAL SHS TR	UTILITIES GEMS	268461878	197	11470	SH		DEFINED	2	11470	0	0
EGA EMERGING GLOBAL SHS TR	TELECOM GEMS	268461886	1182	56865	SH		DEFINED	2	56865	0	0
EGAIN COMMUNICATIONS	COM NEW	28225C806	70	15038	SH		DEFINED	3	15038	0	0
EL PASO PIPELINE PARTNERS L	COM UNIT LPI	283702108	881	23672	SH		DEFINED	3	23672	0	0
EL PASO PIPELINE PARTNERS L	COM UNIT LPI	283702108	2691	72300	SH	PUT	DEFINED	2	0	0	0
EL PASO PIPELINE PARTNERS L	COM UNIT LPI	283702108	9223	247800	SH	CALL	DEFINED	2	0	0	0
ELAN PLC	ADR	284131208	2236	208571	SH		DEFINED	1	208571	0	0
ELAN PLC	ADR	284131208	7638	712495	SH		DEFINED	2	712495	0	0
ELAN PLC	ADR	284131208	182	17000	SH	PUT	DEFINED	3	0	0	0
ELAN PLC	ADR	284131208	630	58800	SH	PUT	DEFINED	1	0	0	0
ELAN PLC	ADR	284131208	13855	1292400	SH	PUT	DEFINED	2	0	0	0
ELAN PLC	ADR	284131208	513	47900	SH	CALL	DEFINED	3	0	0	0
ELAN PLC	ADR	284131208	4273	398600	SH	CALL	DEFINED	1	0	0	0
ELAN PLC	ADR	284131208	23247	2168600	SH	CALL	DEFINED	2	0	0	0
ELDORADO GOLD CORP NEW	COM	284902103	8240	540652	SH		DEFINED	2	540652	0	0
ELDORADO GOLD CORP NEW	COM	284902103	4862	319009	SH		DEFINED	3	319009	0	0
ELDORADO GOLD CORP NEW	COM	284902103	9746	639500	SH	PUT	DEFINED	2	0	0	0
ELDORADO GOLD CORP NEW	COM	284902103	10354	679400	SH	CALL	DEFINED	2	0	0	0
ELECTRONIC ARTS INC	COM	285512109	11024	868734	SH		DEFINED	2	868734	0	0
ELECTRONIC ARTS INC	COM	285512109	933	73505	SH		DEFINED	3	73505	0	0
ELECTRONIC ARTS INC	COM	285512109	169	13300	SH	PUT	DEFINED	3	0	0	0
ELECTRONIC ARTS INC	COM	285512109	330	26000	SH	PUT	DEFINED	1	0	0	0
ELECTRONIC ARTS INC	COM	285512109	20805	1639500	SH	PUT	DEFINED	2	0	0	0
ELECTRONIC ARTS INC	COM	285512109	41480	3268700	SH	CALL	DEFINED	2	0	0	0
ELECTRONIC ARTS INC	COM	285512109	3117	245600	SH	CALL	DEFINED	3	0	0	0
ELECTRONIC ARTS INC	COM	285512109	665	52400	SH	CALL	DEFINED	1	0	0	0
ELIZABETH ARDEN INC	COM	28660G106	307	6500	SH		DEFINED	9	6500	0	0
ELIZABETH ARDEN INC	COM	28660G106	1512	32000	SH	PUT	DEFINED	2	0	0	0
ELIZABETH ARDEN INC	COM	28660G106	321	6800	SH	CALL	DEFINED	2	0	0	0
ELLIE MAE INC	COM	28849P100	809	29700	SH	PUT	DEFINED	2	0	0	0
ELLIE MAE INC	COM	28849P100	765	28100	SH	CALL	DEFINED	2	0	0	0
ELLIS PERRY INTL INC	COM	288853104	421	19107	SH		DEFINED	2	19107	0	0
ELLIS PERRY INTL INC	COM	288853104	516	23400	SH	PUT	DEFINED	2	0	0	0
ELLSWORTH FUND LTD	COM	289074106	342	46593	SH		DEFINED	3	46593	0	0
EMAGIN CORP	COM NEW	29076N206	285	69185	SH		DEFINED	2	69185	0	0
EMAGIN CORP	COM NEW	29076N206	48	11749	SH		DEFINED	3	11749	0	0
EMAGIN CORP	COM NEW	29076N206	75	18100	SH	CALL	DEFINED	2	0	0	0
EMBRAER S A	SP ADR REP 4 COM	29082A107	1057	39700	SH	PUT	DEFINED	2	0	0	0
EMBRAER S A	SP ADR REP 4 COM	29082A107	2321	87200	SH	CALL	DEFINED	2	0	0	0
EMCOR GROUP INC	COM	29084Q100	2400	84100	SH		DEFINED	9	84100	0	0
EMCORE CORP	COM NEW	290846203	58	10315	SH		DEFINED	2	10315	0	0
EMCORE CORP	COM NEW	290846203	289	51294	SH		DEFINED	3	51294	0	0
EMCORE CORP	COM NEW	290846203	309	54800	SH	PUT	DEFINED	2	0	0	0
EMERALD OIL INC	COM	29101U100	9	10600	SH		DEFINED	2	10600	0	0
EMERALD OIL INC	COM	29101U100	474	571400	SH		DEFINED	"5,8"	571400	0	0
EMERITUS CORP	COM	291005106	310	14787	SH		DEFINED	2	14787	0	0
EMERSON ELEC CO	COM	291011104	703	14563	SH		DEFINED	1	14563	0	0
EMERSON ELEC CO	COM	291011104	3662	75865	SH		DEFINED	2	75865	0	0
EMERSON ELEC CO	COM	291011104	838	17360	SH		DEFINED	3	17360	0	0
EMERSON ELEC CO	COM	291011104	20983	434700	SH	PUT	DEFINED	2	0	0	0
EMERSON ELEC CO	COM	291011104	4122	85400	SH	PUT	DEFINED	1	0	0	0
EMERSON ELEC CO	COM	291011104	28653	593600	SH	CALL	DEFINED	2	0	0	0
EMERSON ELEC CO	COM	291011104	10069	208600	SH	CALL	DEFINED	1	0	0	0
EMULEX CORP	COM NEW	292475209	273	37838	SH		DEFINED	2	37838	0	0
EMULEX CORP	COM NEW	292475209	857	118900	SH	PUT	DEFINED	2	0	0	0
EMULEX CORP	COM NEW	292475209	193	26700	SH	CALL	DEFINED	2	0	0	0
ENBRIDGE ENERGY MANAGEMENT L	SHS UNITS LLI	29250X103	1460	46128	SH		DEFINED	2	46128	0	0
ENBRIDGE ENERGY MANAGEMENT L	SHS UNITS LLI	29250X103	744	23500	SH	CALL	DEFINED	2	0	0	0
ENBRIDGE ENERGY PARTNERS L P	COM	29250R106	1287	43712	SH		DEFINED	2	43712	0	0
ENBRIDGE ENERGY PARTNERS L P	COM	29250R106	643	21827	SH		DEFINED	3	21827	0	0
ENBRIDGE ENERGY PARTNERS L P	COM	29250R106	314	10671	SH		DEFINED	1	10671	0	0
ENBRIDGE ENERGY PARTNERS L P	COM	29250R106	2806	95300	SH	PUT	DEFINED	2	0	0	0
ENBRIDGE ENERGY PARTNERS L P	COM	29250R106	1516	51500	SH	CALL	DEFINED	2	0	0	0
ENBRIDGE INC	COM	29250N105	2092	53600	SH	CALL	DEFINED	2	0	0	0
ENCANA CORP	COM	292505104	888	40500	SH	PUT	DEFINED	1	0	0	0
ENCANA CORP	COM	292505104	20563	938100	SH	PUT	DEFINED	2	0	0	0
ENCANA CORP	COM	292505104	18115	826400	SH	CALL	DEFINED	2	0	0	0
ENCANA CORP	COM	292505104	1543	70400	SH	CALL	DEFINED	1	0	0	0
ENCORE WIRE CORP	COM	292562105	354	12100	SH	CALL	DEFINED	2	0	0	0
ENDEAVOUR INTL CORP	COM NEW	29259G200	306	31650	SH		DEFINED	1	31650	0	0
ENDEAVOUR INTL CORP	COM NEW	29259G200	2248	232465	SH		DEFINED	2	232465	0	0
ENDEAVOUR INTL CORP	COM NEW	29259G200	97	10000	SH	PUT	DEFINED	1	0	0	0
ENDEAVOUR INTL CORP	COM NEW	29259G200	1738	179700	SH	PUT	DEFINED	2	0	0	0
ENDEAVOUR INTL CORP	COM NEW	29259G200	659	68200	SH	CALL	DEFINED	2	0	0	0
ENDEAVOUR SILVER CORP	COM	29258Y103	1173	117574	SH		DEFINED	2	117574	0	0
ENDEAVOUR SILVER CORP	COM	29258Y103	2905	291100	SH	PUT	DEFINED	2	0	0	0
ENDEAVOUR SILVER CORP	COM	29258Y103	1149	115100	SH	CALL	DEFINED	2	0	0	0
ENDO HEALTH SOLUTIONS INC	COM	29264F205	368	11600	SH	PUT	DEFINED	1	0	0	0
ENDO HEALTH SOLUTIONS INC	COM	29264F205	669	21100	SH	PUT	DEFINED	2	0	0	0
ENDO HEALTH SOLUTIONS INC	COM	29264F205	203	6400	SH	CALL	DEFINED	1	0	0	0
ENDO HEALTH SOLUTIONS INC	COM	29264F205	3185	100400	SH	CALL	DEFINED	2	0	0	0
ENDO HEALTH SOLUTIONS INC	NOTE   1.750% 4/1	29264FAB2	9136	7500000	PRN		DEFINED	"5,7"	0	0	0
ENDOCYTE INC	COM	29269A102	281	28144	SH		DEFINED	2	28144	0	0
ENDOCYTE INC	COM	29269A102	934	93700	SH	PUT	DEFINED	2	0	0	0
ENDOLOGIX INC	COM	29266S106	276	20000	SH	CALL	DEFINED	2	0	0	0
ENDURANCE SPECIALTY HLDGS LT	SHS	G30397106	228	5925	SH		DEFINED	2	5925	0	0
ENDURANCE SPECIALTY HLDGS LT	SHS	G30397106	304	7900	SH	PUT	DEFINED	2	0	0	0
ENDURANCE SPECIALTY HLDGS LT	SHS	G30397106	246	6400	SH	CALL	DEFINED	2	0	0	0
ENERGEN CORP	COM	29265N108	530	10108	SH		DEFINED	2	10108	0	0
ENERGEN CORP	COM	29265N108	445	8500	SH	PUT	DEFINED	2	0	0	0
ENERGEN CORP	COM	29265N108	529	10100	SH	CALL	DEFINED	2	0	0	0
ENERGIZER HLDGS INC	COM	29266R108	436	5844	SH		DEFINED	3	5844	0	0
ENERGIZER HLDGS INC	COM	29266R108	1746	23400	SH	PUT	DEFINED	2	0	0	0
ENERGIZER HLDGS INC	COM	29266R108	4409	59100	SH	CALL	DEFINED	2	0	0	0
ENERGIZER HLDGS INC	COM	29266R108	254	3400	SH	CALL	DEFINED	1	0	0	0
ENERGY RECOVERY INC	COM	29270J100	60	20400	SH	CALL	DEFINED	2	0	0	0
ENERGY TRANSFER EQUITY L P	COM UT LTD PTN	29273V100	1443	31918	SH		DEFINED	1	31918	0	0
ENERGY TRANSFER EQUITY L P	COM UT LTD PTN	29273V100	288	6373	SH		DEFINED	3	6373	0	0
ENERGY TRANSFER EQUITY L P	COM UT LTD PTN	29273V100	2292	50700	SH	PUT	DEFINED	1	0	0	0
ENERGY TRANSFER EQUITY L P	COM UT LTD PTN	29273V100	8095	179100	SH	PUT	DEFINED	2	0	0	0
ENERGY TRANSFER EQUITY L P	COM UT LTD PTN	29273V100	9949	220100	SH	CALL	DEFINED	2	0	0	0
ENERGY TRANSFER EQUITY L P	COM UT LTD PTN	29273V100	1989	44000	SH	CALL	DEFINED	3	0	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	14242	334563	SH		DEFINED	2	334563	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	706	16587	SH		DEFINED	1	16587	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	707	16600	SH		DEFINED	3	16600	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	4278	100500	SH	PUT	DEFINED	1	0	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	41966	985800	SH	PUT	DEFINED	2	0	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	31481	739500	SH	CALL	DEFINED	2	0	0	0
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	16053	377100	SH	CALL	DEFINED	1	0	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	318	9100	SH		DEFINED	2	9100	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	1138	32566	SH		DEFINED	9	32566	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	484	13839	SH		DEFINED	1	13839	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	5914	169200	SH	PUT	DEFINED	2	0	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	3065	87700	SH	PUT	DEFINED	1	0	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	4771	136500	SH	CALL	DEFINED	1	0	0	0
ENERGY XXI (BERMUDA) LTD	USD UNRS SHS	G10082140	17793	509100	SH	CALL	DEFINED	2	0	0	0
ENERGYSOLUTIONS INC	COM	292756202	63	22951	SH		DEFINED	2	22951	0	0
ENERGYSOLUTIONS INC	COM	292756202	114	41800	SH	PUT	DEFINED	2	0	0	0
ENERGYSOLUTIONS INC	COM	292756202	258	94600	SH	CALL	DEFINED	2	0	0	0
ENERNOC INC	COM	292764107	245	18900	SH	PUT	DEFINED	2	0	0	0
ENERNOC INC	COM	292764107	472	36400	SH	CALL	DEFINED	2	0	0	0
ENERPLUS CORP	COM	292766102	4462	268660	SH		DEFINED	2	268660	0	0
ENERPLUS CORP	COM	292766102	5440	327500	SH	PUT	DEFINED	2	0	0	0
ENERPLUS CORP	COM	292766102	1085	65300	SH	CALL	DEFINED	2	0	0	0
ENERSIS S A	SPONSORED ADR	29274F104	264	16107	SH		DEFINED	2	16107	0	0
ENERSIS S A	SPONSORED ADR	29274F104	1639	100000	SH	PUT	DEFINED	2	0	0	0
ENERSYS	COM	29275Y102	641	18156	SH		DEFINED	2	18156	0	0
ENERSYS	COM	29275Y102	3243	91900	SH		DEFINED	9	91900	0	0
ENERSYS	COM	29275Y102	536	15200	SH	PUT	DEFINED	1	0	0	0
ENERSYS	COM	29275Y102	808	22900	SH	CALL	DEFINED	2	0	0	0
ENI S P A	SPONSORED ADR	26874R108	552	12600	SH	PUT	DEFINED	2	0	0	0
ENI S P A	SPONSORED ADR	26874R108	1122	25600	SH	CALL	DEFINED	2	0	0	0
ENPHASE ENERGY INC	COM	29355A107	54	13082	SH		DEFINED	2	13082	0	0
ENPHASE ENERGY INC	COM	29355A107	48	11500	SH	CALL	DEFINED	2	0	0	0
ENSCO PLC	SHS CLASS A	G3157S106	1127	20659	SH		DEFINED	1	20659	0	0
ENSCO PLC	SHS CLASS A	G3157S106	1205	22078	SH		DEFINED	2	22078	0	0
ENSCO PLC	SHS CLASS A	G3157S106	2302	42200	SH		DEFINED	9	42200	0	0
ENSCO PLC	SHS CLASS A	G3157S106	360	6607	SH		DEFINED	3	6607	0	0
ENSCO PLC	SHS CLASS A	G3157S106	2761	50600	SH	PUT	DEFINED	1	0	0	0
ENSCO PLC	SHS CLASS A	G3157S106	39338	721000	SH	PUT	DEFINED	2	0	0	0
ENSCO PLC	SHS CLASS A	G3157S106	5085	93200	SH	CALL	DEFINED	1	0	0	0
ENSCO PLC	SHS CLASS A	G3157S106	37450	686400	SH	CALL	DEFINED	2	0	0	0
ENTEGRIS INC	COM	29362U104	193	23800	SH	PUT	DEFINED	2	0	0	0
ENTEGRIS INC	COM	29362U104	488	60000	SH	CALL	DEFINED	2	0	0	0
ENTERGY CORP NEW	COM	29364G103	4726	68202	SH		DEFINED	2	68202	0	0
ENTERGY CORP NEW	COM	29364G103	10790	155700	SH	PUT	DEFINED	2	0	0	0
ENTERGY CORP NEW	COM	29364G103	444	6400	SH	PUT	DEFINED	1	0	0	0
ENTERGY CORP NEW	COM	29364G103	1532	22100	SH	CALL	DEFINED	1	0	0	0
ENTERGY CORP NEW	COM	29364G103	9854	142200	SH	CALL	DEFINED	2	0	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	912	17012	SH		DEFINED	3	17012	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	4124	76933	SH		DEFINED	2	76933	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	661	12332	SH		DEFINED	1	12332	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	2101	39200	SH	PUT	DEFINED	1	0	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	14579	272000	SH	PUT	DEFINED	2	0	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	14611	272600	SH	CALL	DEFINED	2	0	0	0
ENTERPRISE PRODS PARTNERS L	COM	293792107	1324	24700	SH	CALL	DEFINED	1	0	0	0
ENTERTAINMENT PPTYS TR	COM SH BEN INT	29380T105	631	14200	SH	CALL	DEFINED	2	0	0	0
ENTRAVISION COMMUNICATIONS C	CL A	29382R107	14	10288	SH		DEFINED	2	10288	0	0
ENTROPIC COMMUNICATIONS INC	COM	29384R105	182	31300	SH	PUT	DEFINED	2	0	0	0
ENTROPIC COMMUNICATIONS INC	COM	29384R105	256	44000	SH	CALL	DEFINED	2	0	0	0
ENZO BIOCHEM INC	COM	294100102	25	12272	SH		DEFINED	2	12272	0	0
ENZO BIOCHEM INC	COM	294100102	443	217003	SH		DEFINED	3	217003	0	0
ENZON PHARMACEUTICALS INC	COM	293904108	442	63500	SH	CALL	DEFINED	2	0	0	0
EOG RES INC	COM	26875P101	404	3607	SH		DEFINED	3	3607	0	0
EOG RES INC	COM	26875P101	1625	14506	SH		DEFINED	2	14506	0	0
EOG RES INC	COM	26875P101	481	4289	SH		DEFINED	1	4289	0	0
EOG RES INC	COM	26875P101	4773	42600	SH	PUT	DEFINED	1	0	0	0
EOG RES INC	COM	26875P101	45537	406400	SH	PUT	DEFINED	2	0	0	0
EOG RES INC	COM	26875P101	11877	106000	SH	CALL	DEFINED	1	0	0	0
EOG RES INC	COM	26875P101	83063	741300	SH	CALL	DEFINED	2	0	0	0
EPL OIL & GAS INC	COM	26883D108	499	24573	SH		DEFINED	2	24573	0	0
EPL OIL & GAS INC	COM	26883D108	310	15300	SH	PUT	DEFINED	2	0	0	0
EPL OIL & GAS INC	COM	26883D108	203	10000	SH	CALL	DEFINED	2	0	0	0
EQT CORP	COM	26884L109	213	3614	SH		DEFINED	3	3614	0	0
EQT CORP	COM	26884L109	745	12624	SH		DEFINED	2	12624	0	0
EQT CORP	COM	26884L109	726	12300	SH	PUT	DEFINED	1	0	0	0
EQT CORP	COM	26884L109	867	14700	SH	CALL	DEFINED	1	0	0	0
EQT CORP	COM	26884L109	24768	419800	SH	CALL	DEFINED	2	0	0	0
EQUAL ENERGY LTD	COM	29390Q109	80	23324	SH		DEFINED	2	23324	0	0
EQUIFAX INC	COM	294429105	586	12570	SH		DEFINED	2	12570	0	0
EQUIFAX INC	COM	294429105	1495	32100	SH		DEFINED	9	32100	0	0
EQUIFAX INC	COM	294429105	433	9300	SH	PUT	DEFINED	2	0	0	0
EQUIFAX INC	COM	294429105	210	4500	SH	CALL	DEFINED	2	0	0	0
EQUINIX INC	COM NEW	29444U502	33968	164852	SH		DEFINED	2	164852	0	0
EQUINIX INC	COM NEW	29444U502	5130	24898	SH		DEFINED	1	24898	0	0
EQUINIX INC	COM NEW	29444U502	78505	381000	SH	PUT	DEFINED	2	0	0	0
EQUINIX INC	COM NEW	29444U502	23655	114800	SH	PUT	DEFINED	1	0	0	0
EQUINIX INC	COM NEW	29444U502	54830	266100	SH	CALL	DEFINED	2	0	0	0
EQUINIX INC	COM NEW	29444U502	1545	7500	SH	CALL	DEFINED	3	0	0	0
EQUINIX INC	COM NEW	29444U502	24273	117800	SH	CALL	DEFINED	1	0	0	0
EQUITY LIFESTYLE PPTYS INC	COM	29472R108	488	7168	SH		DEFINED	3	7168	0	0
EQUITY RESIDENTIAL	SH BEN INT	29476L107	1685	29287	SH		DEFINED	3	29287	0	0
EQUITY RESIDENTIAL	SH BEN INT	29476L107	1726	30007	SH		DEFINED	2	30007	0	0
EQUITY RESIDENTIAL	SH BEN INT	29476L107	4096	71200	SH	PUT	DEFINED	2	0	0	0
EQUITY RESIDENTIAL	SH BEN INT	29476L107	265	4600	SH	PUT	DEFINED	1	0	0	0
EQUITY RESIDENTIAL	SH BEN INT	29476L107	3636	63200	SH	CALL	DEFINED	2	0	0	0
ERICSSON	ADR B SEK 10	294821608	119	12990	SH		DEFINED	3	12990	0	0
ERICSSON	ADR B SEK 10	294821608	119	13030	SH		DEFINED	2	13030	0	0
ERICSSON	ADR B SEK 10	294821608	1059	116000	SH	PUT	DEFINED	2	0	0	0
ERICSSON	ADR B SEK 10	294821608	2356	258100	SH	CALL	DEFINED	2	0	0	0
ESCO TECHNOLOGIES INC	COM	296315104	237	6100	SH	PUT	DEFINED	2	0	0	0
ESSEX PPTY TR INC	COM	297178105	236	1589	SH		DEFINED	2	1589	0	0
ESSEX PPTY TR INC	COM	297178105	2298	15500	SH	PUT	DEFINED	2	0	0	0
ESSEX PPTY TR INC	COM	297178105	6107	41200	SH	CALL	DEFINED	2	0	0	0
ESSEX PPTY TR INC	COM	297178105	341	2300	SH	CALL	DEFINED	1	0	0	0
ESSEX RENT CORP	COM	297187106	56	18232	SH		DEFINED	3	18232	0	0
ESTERLINE TECHNOLOGIES CORP	COM	297425100	559	9949	SH		DEFINED	2	9949	0	0
ESTERLINE TECHNOLOGIES CORP	COM	297425100	446	7947	SH		DEFINED	3	7947	0	0
ESTERLINE TECHNOLOGIES CORP	COM	297425100	1308	23300	SH	PUT	DEFINED	2	0	0	0
ESTERLINE TECHNOLOGIES CORP	COM	297425100	865	15400	SH	CALL	DEFINED	2	0	0	0
ESTERLINE TECHNOLOGIES CORP	COM	297425100	730	13000	SH	CALL	DEFINED	3	0	0	0
ETFS GOLD TR	SHS	26922Y105	2209	12600	SH	PUT	DEFINED	2	0	0	0
ETFS GOLD TR	SHS	26922Y105	3331	19000	SH	CALL	DEFINED	2	0	0	0
ETFS GOLD TR	SHS	26922Y105	351	2000	SH	CALL	DEFINED	1	0	0	0
ETFS PALLADIUM TR	SH BEN INT	26923A106	314	5000	SH		DEFINED	3	5000	0	0
ETFS SILVER TR	SILVER SHS	26922X107	2523	73700	SH	CALL	DEFINED	2	0	0	0
ETHAN ALLEN INTERIORS INC	COM	297602104	2111	96300	SH	CALL	DEFINED	2	0	0	0
EUROPEAN EQUITY FUND	COM	298768102	713	106403	SH		DEFINED	"5,7"	106403	0	0
EV ENERGY PARTNERS LP	COM UNITS	26926V107	4037	64982	SH		DEFINED	2	64982	0	0
EV ENERGY PARTNERS LP	COM UNITS	26926V107	487	7836	SH		DEFINED	1	7836	0	0
EV ENERGY PARTNERS LP	COM UNITS	26926V107	391	6300	SH	PUT	DEFINED	1	0	0	0
EV ENERGY PARTNERS LP	COM UNITS	26926V107	4100	66000	SH	PUT	DEFINED	2	0	0	0
EV ENERGY PARTNERS LP	COM UNITS	26926V107	6634	106800	SH	CALL	DEFINED	2	0	0	0
EV ENERGY PARTNERS LP	COM UNITS	26926V107	969	15600	SH	CALL	DEFINED	1	0	0	0
EVERCORE PARTNERS INC	CLASS A	29977A105	224	8300	SH	CALL	DEFINED	2	0	0	0
EVEREST RE GROUP LTD	COM	G3223R108	3377	31570	SH		DEFINED	2	31570	0	0
EVEREST RE GROUP LTD	COM	G3223R108	11220	104900	SH	PUT	DEFINED	2	0	0	0
EVEREST RE GROUP LTD	COM	G3223R108	353	3300	SH	PUT	DEFINED	1	0	0	0
EVEREST RE GROUP LTD	COM	G3223R108	813	7600	SH	CALL	DEFINED	2	0	0	0
EVOLUTION PETROLEUM CORP	COM	30049A107	121	14918	SH		DEFINED	2	14918	0	0
EXACT SCIENCES CORP	COM	30063P105	937	85137	SH		DEFINED	2	85137	0	0
EXACT SCIENCES CORP	COM	30063P105	204	18529	SH		DEFINED	3	18529	0	0
EXACT SCIENCES CORP	COM	30063P105	215	19500	SH	PUT	DEFINED	1	0	0	0
EXACT SCIENCES CORP	COM	30063P105	615	55900	SH	PUT	DEFINED	2	0	0	0
EXACT SCIENCES CORP	COM	30063P105	1656	150400	SH	CALL	DEFINED	2	0	0	0
EXAMWORKS GROUP INC	COM	30066A105	463	31000	SH	CALL	DEFINED	2	0	0	0
EXCEL MARITIME CARRIERS LTD	COM	V3267N107	40	57582	SH		DEFINED	2	57582	0	0
EXCEL MARITIME CARRIERS LTD	COM	V3267N107	85	123011	SH		DEFINED	3	123011	0	0
EXCEL MARITIME CARRIERS LTD	COM	V3267N107	7	10600	SH	PUT	DEFINED	2	0	0	0
EXCEL TR INC	COM	30068C109	215	18800	SH		DEFINED	9	18800	0	0
EXCEL TR INC	COM	30068C109	144	12571	SH		DEFINED	2	12571	0	0
EXCO RESOURCES INC	COM	269279402	1698	212002	SH		DEFINED	2	212002	0	0
EXCO RESOURCES INC	COM	269279402	375	46800	SH	PUT	DEFINED	1	0	0	0
EXCO RESOURCES INC	COM	269279402	4847	605100	SH	PUT	DEFINED	2	0	0	0
EXCO RESOURCES INC	COM	269279402	1863	232600	SH	CALL	DEFINED	2	0	0	0
EXCO RESOURCES INC	COM	269279402	1324	165300	SH	CALL	DEFINED	1	0	0	0
EXELIS INC	COM	30162A108	407	39347	SH		DEFINED	2	39347	0	0
EXELIS INC	COM	30162A108	105	10134	SH		DEFINED	1	10134	0	0
EXELIS INC	COM	30162A108	460	44500	SH	PUT	DEFINED	2	0	0	0
EXELIS INC	COM	30162A108	894	86500	SH	CALL	DEFINED	2	0	0	0
EXELIXIS INC	COM	30161Q104	277	57472	SH		DEFINED	1	57472	0	0
EXELIXIS INC	COM	30161Q104	3384	702067	SH		DEFINED	2	702067	0	0
EXELIXIS INC	COM	30161Q104	734	152182	SH		DEFINED	3	152182	0	0
EXELIXIS INC	COM	30161Q104	2526	523600	SH	PUT	DEFINED	2	0	0	0
EXELIXIS INC	COM	30161Q104	349	72300	SH	PUT	DEFINED	1	0	0	0
EXELIXIS INC	COM	30161Q104	466	96600	SH	PUT	DEFINED	3	0	0	0
EXELIXIS INC	COM	30161Q104	651	135000	SH	CALL	DEFINED	2	0	0	0
EXELIXIS INC	COM	30161Q104	290	60000	SH	CALL	DEFINED	3	0	0	0
EXELIXIS INC	NOTE   4.250% 8/1	30161QAC8	7819	7500000	PRN		DEFINED	"5,7"	0	0	0
EXELON CORP	COM	30161N101	369	10357	SH		DEFINED	3	10357	0	0
EXELON CORP	COM	30161N101	26172	735586	SH		DEFINED	2	735586	0	0
EXELON CORP	COM	30161N101	1068	30005	SH		DEFINED	1	30005	0	0
EXELON CORP	COM	30161N101	36847	1035600	SH	PUT	DEFINED	2	0	0	0
EXELON CORP	COM	30161N101	2857	80300	SH	PUT	DEFINED	1	0	0	0
EXELON CORP	COM	30161N101	1637	46000	SH	CALL	DEFINED	1	0	0	0
EXELON CORP	COM	30161N101	31510	885600	SH	CALL	DEFINED	2	0	0	0
EXETER RES CORP	COM	301835104	269	162211	SH		DEFINED	2	162211	0	0
EXETER RES CORP	COM	301835104	21	12900	SH	PUT	DEFINED	2	0	0	0
EXIDE TECHNOLOGIES	COM NEW	302051206	63	20453	SH		DEFINED	2	20453	0	0
EXIDE TECHNOLOGIES	COM NEW	302051206	43	14000	SH	CALL	DEFINED	2	0	0	0
EXPEDIA INC DEL	COM NEW	30212P303	10628	183753	SH		DEFINED	2	183753	0	0
EXPEDIA INC DEL	COM NEW	30212P303	10700	185000	SH	PUT	DEFINED	2	0	0	0
EXPEDIA INC DEL	COM NEW	30212P303	856	14800	SH	PUT	DEFINED	1	0	0	0
EXPEDIA INC DEL	COM NEW	30212P303	18989	328300	SH	CALL	DEFINED	2	0	0	0
EXPEDIA INC DEL	COM NEW	30212P303	1753	30300	SH	CALL	DEFINED	1	0	0	0
EXPEDITORS INTL WASH INC	COM	302130109	532	14623	SH		DEFINED	1	14623	0	0
EXPEDITORS INTL WASH INC	COM	302130109	6754	185741	SH		DEFINED	2	185741	0	0
EXPEDITORS INTL WASH INC	COM	302130109	2683	73800	SH	PUT	DEFINED	1	0	0	0
EXPEDITORS INTL WASH INC	COM	302130109	6505	178900	SH	PUT	DEFINED	2	0	0	0
EXPEDITORS INTL WASH INC	COM	302130109	1771	48700	SH	CALL	DEFINED	2	0	0	0
EXPRESS INC	COM	30219E103	893	60271	SH		DEFINED	2	60271	0	0
EXPRESS INC	COM	30219E103	2118	142900	SH		DEFINED	9	142900	0	0
EXPRESS INC	COM	30219E103	1113	75100	SH	PUT	DEFINED	2	0	0	0
EXPRESS INC	COM	30219E103	446	30100	SH	CALL	DEFINED	2	0	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	975	15568	SH		DEFINED	3	15568	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	2211	35295	SH		DEFINED	1	35295	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	3714	59300	SH		DEFINED	9	59300	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	43824	699734	SH		DEFINED	2	699734	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	9783	156200	SH	PUT	DEFINED	1	0	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	1585	25300	SH	PUT	DEFINED	3	0	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	81557	1302200	SH	PUT	DEFINED	2	0	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	7202	115000	SH	CALL	DEFINED	1	0	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	3795	60600	SH	CALL	DEFINED	3	0	0	0
EXPRESS SCRIPTS HLDG CO	COM	30219G108	62279	994400	SH	CALL	DEFINED	2	0	0	0
EXTERRAN HLDGS INC	COM	30225X103	1028	50694	SH		DEFINED	2	50694	0	0
EXTERRAN HLDGS INC	COM	30225X103	6317	311500	SH	PUT	DEFINED	2	0	0	0
EXTERRAN HLDGS INC	COM	30225X103	3174	156500	SH	CALL	DEFINED	2	0	0	0
EXTERRAN HLDGS INC	COM	30225X103	420	20700	SH	CALL	DEFINED	1	0	0	0
EXTRA SPACE STORAGE INC	COM	30225T102	1796	54004	SH		DEFINED	3	54004	0	0
EXTREME NETWORKS INC	COM	30226D106	59	17713	SH		DEFINED	2	17713	0	0
EXTREME NETWORKS INC	COM	30226D106	44	13026	SH		DEFINED	3	13026	0	0
EXXON MOBIL CORP	COM	30231G102	1325	14485	SH		DEFINED	3	14485	0	0
EXXON MOBIL CORP	COM	30231G102	35401	387111	SH		DEFINED	2	387111	0	0
EXXON MOBIL CORP	COM	30231G102	52904	578501	SH		DEFINED	1	578501	0	0
EXXON MOBIL CORP	COM	30231G102	57165	625100	SH	PUT	DEFINED	1	0	0	0
EXXON MOBIL CORP	COM	30231G102	346815	3792400	SH	PUT	DEFINED	2	0	0	0
EXXON MOBIL CORP	COM	30231G102	4289	46900	SH	PUT	DEFINED	3	0	0	0
EXXON MOBIL CORP	COM	30231G102	483002	5281600	SH	CALL	DEFINED	2	0	0	0
EXXON MOBIL CORP	COM	30231G102	79196	866000	SH	CALL	DEFINED	1	0	0	0
EXXON MOBIL CORP	COM	30231G102	5249	57400	SH	CALL	DEFINED	3	0	0	0
EZCHIP SEMICONDUCTOR LIMITED	ORD	M4146Y108	395	12903	SH		DEFINED	1	12903	0	0
EZCHIP SEMICONDUCTOR LIMITED	ORD	M4146Y108	9279	303320	SH		DEFINED	2	303320	0	0
EZCHIP SEMICONDUCTOR LIMITED	ORD	M4146Y108	1777	58100	SH	PUT	DEFINED	1	0	0	0
EZCHIP SEMICONDUCTOR LIMITED	ORD	M4146Y108	12603	412000	SH	PUT	DEFINED	2	0	0	0
EZCHIP SEMICONDUCTOR LIMITED	ORD	M4146Y108	3209	104900	SH	CALL	DEFINED	1	0	0	0
EZCHIP SEMICONDUCTOR LIMITED	ORD	M4146Y108	8400	274600	SH	CALL	DEFINED	2	0	0	0
EZCORP INC	CL A NON VTG	302301106	1138	49641	SH		DEFINED	2	49641	0	0
EZCORP INC	CL A NON VTG	302301106	1296	56500	SH	PUT	DEFINED	2	0	0	0
EZCORP INC	CL A NON VTG	302301106	202	8800	SH	PUT	DEFINED	1	0	0	0
EZCORP INC	CL A NON VTG	302301106	445	19400	SH	CALL	DEFINED	2	0	0	0
F M C CORP	COM NEW	302491303	635	11466	SH		DEFINED	2	11466	0	0
F M C CORP	COM NEW	302491303	1695	30600	SH	PUT	DEFINED	2	0	0	0
F M C CORP	COM NEW	302491303	5632	101700	SH	CALL	DEFINED	2	0	0	0
F5 NETWORKS INC	COM	315616102	340	3246	SH		DEFINED	3	3246	0	0
F5 NETWORKS INC	COM	315616102	12079	115371	SH		DEFINED	2	115371	0	0
F5 NETWORKS INC	COM	315616102	3701	35351	SH		DEFINED	1	35351	0	0
F5 NETWORKS INC	COM	315616102	20752	198200	SH	PUT	DEFINED	1	0	0	0
F5 NETWORKS INC	COM	315616102	38205	364900	SH	PUT	DEFINED	2	0	0	0
F5 NETWORKS INC	COM	315616102	22134	211400	SH	CALL	DEFINED	1	0	0	0
F5 NETWORKS INC	COM	315616102	49000	468000	SH	CALL	DEFINED	2	0	0	0
FACEBOOK INC	CL A	30303M102	1848	85343	SH		DEFINED	2	85343	0	0
FACEBOOK INC	CL A	30303M102	1259	58173	SH		DEFINED	3	58173	0	0
FACEBOOK INC	CL A	30303M102	538	24855	SH		DEFINED	1	24855	0	0
FACEBOOK INC	CL A	30303M102	368	17000	SH		DEFINED	4	17000	0	0
FACEBOOK INC	CL A	30303M102	58029	2679100	SH	PUT	DEFINED	1	0	0	0
FACEBOOK INC	CL A	30303M102	263223	12152500	SH	PUT	DEFINED	2	0	0	0
FACEBOOK INC	CL A	30303M102	726	33500	SH	PUT	DEFINED	3	0	0	0
FACEBOOK INC	CL A	30303M102	368	17000	SH	PUT	DEFINED	4	0	0	0
FACEBOOK INC	CL A	30303M102	420	19400	SH	CALL	DEFINED	3	0	0	0
FACEBOOK INC	CL A	30303M102	79536	3672000	SH	CALL	DEFINED	1	0	0	0
FACEBOOK INC	CL A	30303M102	285232	13168600	SH	CALL	DEFINED	2	0	0	0
FACTSET RESH SYS INC	COM	303075105	436	4520	SH		DEFINED	2	4520	0	0
FACTSET RESH SYS INC	COM	303075105	2891	29988	SH		DEFINED	3	29988	0	0
FACTSET RESH SYS INC	COM	303075105	3654	37900	SH	PUT	DEFINED	1	0	0	0
FACTSET RESH SYS INC	COM	303075105	1061	11000	SH	PUT	DEFINED	3	0	0	0
FACTSET RESH SYS INC	COM	303075105	6904	71600	SH	PUT	DEFINED	2	0	0	0
FACTSET RESH SYS INC	COM	303075105	1282	13300	SH	CALL	DEFINED	1	0	0	0
FACTSET RESH SYS INC	COM	303075105	6499	67400	SH	CALL	DEFINED	3	0	0	0
FACTSET RESH SYS INC	COM	303075105	5496	57000	SH	CALL	DEFINED	2	0	0	0
FAIR ISAAC CORP	COM	303250104	252	5700	SH	PUT	DEFINED	2	0	0	0
FAIR ISAAC CORP	COM	303250104	1257	28400	SH	CALL	DEFINED	2	0	0	0
FAIRCHILD SEMICONDUCTOR INTL	COM	303726103	1114	84900	SH		DEFINED	9	84900	0	0
FAIRCHILD SEMICONDUCTOR INTL	COM	303726103	611	46600	SH	PUT	DEFINED	2	0	0	0
FAIRCHILD SEMICONDUCTOR INTL	COM	303726103	572	43600	SH	CALL	DEFINED	2	0	0	0
FAMILY DLR STORES INC	COM	307000109	9671	145870	SH		DEFINED	3	145870	0	0
FAMILY DLR STORES INC	COM	307000109	239	3605	SH		DEFINED	1	3605	0	0
FAMILY DLR STORES INC	COM	307000109	17984	271259	SH		DEFINED	2	271259	0	0
FAMILY DLR STORES INC	COM	307000109	477	7200	SH	PUT	DEFINED	1	0	0	0
FAMILY DLR STORES INC	COM	307000109	26739	403300	SH	PUT	DEFINED	2	0	0	0
FAMILY DLR STORES INC	COM	307000109	769	11600	SH	CALL	DEFINED	1	0	0	0
FAMILY DLR STORES INC	COM	307000109	10383	156600	SH	CALL	DEFINED	2	0	0	0
FAMOUS DAVES AMER INC	COM	307068106	295	30944	SH		DEFINED	2	30944	0	0
FAMOUS DAVES AMER INC	COM	307068106	254	26700	SH	PUT	DEFINED	2	0	0	0
FAMOUS DAVES AMER INC	COM	307068106	127	13300	SH	CALL	DEFINED	2	0	0	0
FARMERS CAP BK CORP	COM	309562106	301	28699	SH		DEFINED	3	28699	0	0
FARO TECHNOLOGIES INC	COM	311642102	223	5400	SH	PUT	DEFINED	2	0	0	0
FARO TECHNOLOGIES INC	COM	311642102	256	6200	SH	CALL	DEFINED	2	0	0	0
FASTENAL CO	COM	311900104	8973	208733	SH		DEFINED	2	208733	0	0
FASTENAL CO	COM	311900104	1154	26842	SH		DEFINED	1	26842	0	0
FASTENAL CO	COM	311900104	11418	265591	SH		DEFINED	3	265591	0	0
FASTENAL CO	COM	311900104	21985	511400	SH	PUT	DEFINED	2	0	0	0
FASTENAL CO	COM	311900104	1917	44600	SH	PUT	DEFINED	1	0	0	0
FASTENAL CO	COM	311900104	5980	139100	SH	CALL	DEFINED	2	0	0	0
FEDERAL AGRIC MTG CORP	CL C	313148306	402	15633	SH		DEFINED	3	15633	0	0
FEDERAL AGRIC MTG CORP	CL C	313148306	674	26200	SH	CALL	DEFINED	2	0	0	0
FEDERAL MOGUL CORP	COM	313549404	116	12660	SH		DEFINED	2	12660	0	0
FEDERAL MOGUL CORP	COM	313549404	359	39200	SH	PUT	DEFINED	2	0	0	0
FEDERAL REALTY INVT TR	SH BEN INT NEW	313747206	2100	19947	SH		DEFINED	2	19947	0	0
FEDERAL REALTY INVT TR	SH BEN INT NEW	313747206	7181	68200	SH	PUT	DEFINED	2	0	0	0
FEDERAL REALTY INVT TR	SH BEN INT NEW	313747206	1179	11200	SH	PUT	DEFINED	1	0	0	0
FEDERAL REALTY INVT TR	SH BEN INT NEW	313747206	2232	21200	SH	CALL	DEFINED	2	0	0	0
FEDERAL REALTY INVT TR	SH BEN INT NEW	313747206	369	3500	SH	CALL	DEFINED	1	0	0	0
FEDERAL SIGNAL CORP	COM	313855108	73	11559	SH		DEFINED	2	11559	0	0
FEDERATED INVS INC PA	CL B	314211103	231	11173	SH		DEFINED	2	11173	0	0
FEDERATED INVS INC PA	CL B	314211103	838	40500	SH	PUT	DEFINED	2	0	0	0
FEDERATED INVS INC PA	CL B	314211103	954	46100	SH	CALL	DEFINED	2	0	0	0
FEDEX CORP	COM	31428X106	3483	41164	SH		DEFINED	2	41164	0	0
FEDEX CORP	COM	31428X106	1662	19642	SH		DEFINED	1	19642	0	0
FEDEX CORP	COM	31428X106	19081	225489	SH		DEFINED	3	225489	0	0
FEDEX CORP	COM	31428X106	40651	480400	SH	PUT	DEFINED	2	0	0	0
FEDEX CORP	COM	31428X106	9571	113100	SH	PUT	DEFINED	1	0	0	0
FEDEX CORP	COM	31428X106	27815	328700	SH	CALL	DEFINED	2	0	0	0
FEDEX CORP	COM	31428X106	3757	44400	SH	CALL	DEFINED	1	0	0	0
FEI CO	COM	30241L109	268	5000	SH	PUT	DEFINED	2	0	0	0
FEI CO	COM	30241L109	219	4100	SH	CALL	DEFINED	2	0	0	0
FEIHE INTL INC	COM	31429Y103	472	78207	SH		DEFINED	2	78207	0	0
FEIHE INTL INC	COM	31429Y103	260	43200	SH	PUT	DEFINED	2	0	0	0
FEIHE INTL INC	COM	31429Y103	85	14100	SH	CALL	DEFINED	1	0	0	0
FELCOR LODGING TR INC	COM	31430F101	161	34000	SH	CALL	DEFINED	2	0	0	0
FERRELLGAS PARTNERS L.P.	UNIT LTD PART	315293100	1114	57426	SH		DEFINED	2	57426	0	0
FERRELLGAS PARTNERS L.P.	UNIT LTD PART	315293100	5063	261000	SH	PUT	DEFINED	2	0	0	0
FERRELLGAS PARTNERS L.P.	UNIT LTD PART	315293100	1843	95000	SH	PUT	DEFINED	3	0	0	0
FERRELLGAS PARTNERS L.P.	UNIT LTD PART	315293100	1030	53100	SH	CALL	DEFINED	2	0	0	0
FERRELLGAS PARTNERS L.P.	UNIT LTD PART	315293100	299	15400	SH	CALL	DEFINED	1	0	0	0
FERRO CORP	COM	315405100	100	29225	SH		DEFINED	2	29225	0	0
FERRO CORP	COM	315405100	100	29200	SH	PUT	DEFINED	2	0	0	0
FIDELITY COMWLTH TR	NDQ CP IDX TRK	315912808	579	4707	SH		DEFINED	3	4707	0	0
FIDELITY COMWLTH TR	NDQ CP IDX TRK	315912808	5214	42391	SH		DEFINED	2	42391	0	0
FIDELITY NATIONAL FINANCIAL	CL A	31620R105	477	22304	SH		DEFINED	3	22304	0	0
FIDELITY NATIONAL FINANCIAL	CL A	31620R105	1850	86512	SH		DEFINED	2	86512	0	0
FIDELITY NATIONAL FINANCIAL	CL A	31620R105	212	9900	SH	PUT	DEFINED	2	0	0	0
FIDELITY NATIONAL FINANCIAL	CL A	31620R105	244	11400	SH	PUT	DEFINED	1	0	0	0
FIDELITY NATIONAL FINANCIAL	CL A	31620R105	244	11400	SH	CALL	DEFINED	1	0	0	0
FIDELITY NATIONAL FINANCIAL	CL A	31620R105	342	16000	SH	CALL	DEFINED	2	0	0	0
FIDELITY NATL INFORMATION SV	COM	31620M106	842	26973	SH		DEFINED	2	26973	0	0
FIDELITY NATL INFORMATION SV	COM	31620M106	325	10400	SH	PUT	DEFINED	2	0	0	0
FIDELITY NATL INFORMATION SV	COM	31620M106	1052	33700	SH	CALL	DEFINED	2	0	0	0
FIFTH & PAC COS INC	COM	316645100	443	34700	SH	PUT	DEFINED	2	0	0	0
FIFTH & PAC COS INC	COM	316645100	1498	117200	SH	CALL	DEFINED	2	0	0	0
FIFTH STREET FINANCE CORP	COM	31678A103	310	28200	SH		DEFINED	2	28200	0	0
FIFTH STREET FINANCE CORP	COM	31678A103	301	27400	SH	PUT	DEFINED	2	0	0	0
FIFTH THIRD BANCORP	COM	316773100	2886	186126	SH		DEFINED	9	186126	0	0
FIFTH THIRD BANCORP	COM	316773100	11666	752168	SH		DEFINED	2	752168	0	0
FIFTH THIRD BANCORP	COM	316773100	690	44491	SH		DEFINED	3	44491	0	0
FIFTH THIRD BANCORP	COM	316773100	720	46400	SH	PUT	DEFINED	1	0	0	0
FIFTH THIRD BANCORP	COM	316773100	6418	413800	SH	PUT	DEFINED	2	0	0	0
FIFTH THIRD BANCORP	COM	316773100	4417	284800	SH	CALL	DEFINED	2	0	0	0
FIFTH THIRD BANCORP	COM	316773100	1174	75700	SH	CALL	DEFINED	1	0	0	0
FIFTH THIRD BANCORP	COM	316773100	4389	283000	SH	CALL	DEFINED	3	0	0	0
FINISAR CORP	COM NEW	31787A507	2686	187800	SH	PUT	DEFINED	2	0	0	0
FINISAR CORP	COM NEW	31787A507	1865	130400	SH	CALL	DEFINED	2	0	0	0
FINISH LINE INC	CL A	317923100	368	16199	SH		DEFINED	2	16199	0	0
FINISH LINE INC	CL A	317923100	1278	56200	SH	PUT	DEFINED	2	0	0	0
FINISH LINE INC	CL A	317923100	332	14600	SH	PUT	DEFINED	1	0	0	0
FINISH LINE INC	CL A	317923100	764	33600	SH	CALL	DEFINED	2	0	0	0
FINISH LINE INC	CL A	317923100	518	22800	SH	CALL	DEFINED	1	0	0	0
FIRST AMERN FINL CORP	COM	31847R102	511	23600	SH		DEFINED	9	23600	0	0
FIRST AMERN FINL CORP	COM	31847R102	494	22800	SH	PUT	DEFINED	2	0	0	0
FIRST AMERN FINL CORP	COM	31847R102	219	10100	SH	CALL	DEFINED	2	0	0	0
FIRST BANCORP P R	COM NEW	318672706	272	61432	SH		DEFINED	3	61432	0	0
FIRST BUSEY CORP	COM	319383105	71	14500	SH		DEFINED	2	14500	0	0
FIRST BUSEY CORP	COM	319383105	136	27900	SH		DEFINED	9	27900	0	0
FIRST CASH FINL SVCS INC	COM	31942D107	314	6825	SH		DEFINED	2	6825	0	0
FIRST CASH FINL SVCS INC	COM	31942D107	247	5368	SH		DEFINED	3	5368	0	0
FIRST CASH FINL SVCS INC	COM	31942D107	607	13200	SH	PUT	DEFINED	2	0	0	0
FIRST CASH FINL SVCS INC	COM	31942D107	1546	33600	SH	CALL	DEFINED	2	0	0	0
FIRST COMWLTH FINL CORP PA	COM	319829107	424	60100	SH		DEFINED	9	60100	0	0
FIRST FED NORTHN MICH BANCOR	COM	32021X105	41	10328	SH		DEFINED	3	10328	0	0
FIRST FINL BANKSHARES	COM	32020R109	803	22300	SH		DEFINED	9	22300	0	0
FIRST FINL BANKSHARES	COM	32020R109	461	12799	SH		DEFINED	3	12799	0	0
FIRST FINL BANKSHARES	COM	32020R109	629	17464	SH		DEFINED	2	17464	0	0
FIRST HORIZON NATL CORP	COM	320517105	274	28456	SH		DEFINED	2	28456	0	0
FIRST HORIZON NATL CORP	COM	320517105	257	26722	SH		DEFINED	3	26722	0	0
FIRST HORIZON NATL CORP	COM	320517105	165	17100	SH	PUT	DEFINED	2	0	0	0
FIRST HORIZON NATL CORP	COM	320517105	283	29400	SH	CALL	DEFINED	2	0	0	0
FIRST INDUSTRIAL REALTY TRUS	COM	32054K103	495	37700	SH	CALL	DEFINED	2	0	0	0
FIRST MAJESTIC SILVER CORP	COM	32076V103	256	11048	SH		DEFINED	1	11048	0	0
FIRST MAJESTIC SILVER CORP	COM	32076V103	8362	360878	SH		DEFINED	2	360878	0	0
FIRST MAJESTIC SILVER CORP	COM	32076V103	218	9400	SH	PUT	DEFINED	1	0	0	0
FIRST MAJESTIC SILVER CORP	COM	32076V103	5378	232100	SH	PUT	DEFINED	2	0	0	0
FIRST MAJESTIC SILVER CORP	COM	32076V103	1589	68600	SH	CALL	DEFINED	2	0	0	0
FIRST MAJESTIC SILVER CORP	COM	32076V103	595	25700	SH	CALL	DEFINED	1	0	0	0
FIRST MARBLEHEAD CORP	COM	320771108	11	10846	SH		DEFINED	2	10846	0	0
FIRST MIDWEST BANCORP DEL	COM	320867104	205	16360	SH		DEFINED	3	16360	0	0
FIRST NIAGARA FINL GP INC	COM	33582V108	677	83649	SH		DEFINED	2	83649	0	0
FIRST NIAGARA FINL GP INC	COM	33582V108	502	62100	SH	PUT	DEFINED	2	0	0	0
FIRST SOLAR INC	COM	336433107	706	31890	SH		DEFINED	3	31890	0	0
FIRST SOLAR INC	COM	336433107	1350	60954	SH		DEFINED	1	60954	0	0
FIRST SOLAR INC	COM	336433107	13136	593197	SH		DEFINED	2	593197	0	0
FIRST SOLAR INC	COM	336433107	49091	2216800	SH	PUT	DEFINED	2	0	0	0
FIRST SOLAR INC	COM	336433107	5716	258100	SH	PUT	DEFINED	1	0	0	0
FIRST SOLAR INC	COM	336433107	496	22400	SH	PUT	DEFINED	3	0	0	0
FIRST SOLAR INC	COM	336433107	27945	1261900	SH	CALL	DEFINED	2	0	0	0
FIRST SOLAR INC	COM	336433107	8763	395700	SH	CALL	DEFINED	1	0	0	0
FIRST SOLAR INC	COM	336433107	474	21400	SH	CALL	DEFINED	3	0	0	0
FIRST TR BICK INDEX FD	COM SHS	33733H107	2410	101609	SH		DEFINED	3	101609	0	0
FIRST TR BICK INDEX FD	COM SHS	33733H107	6204	261553	SH		DEFINED	2	261553	0	0
FIRST TR DJS MICROCAP INDEX	COM SHS ANNUAL	33718M105	1778	79593	SH		DEFINED	3	79593	0	0
FIRST TR EXCH TRADED FD II	NASDQ CLN EDGE	33737A108	1619	55827	SH		DEFINED	2	55827	0	0
FIRST TR EXCH TRADED FD II	NASDQ CLN EDGE	33737A108	671	23144	SH		DEFINED	3	23144	0	0
FIRST TR EXCH TRD ALPHA FD I	ASIA EX JAPAN	33737J109	564	21848	SH		DEFINED	2	21848	0	0
FIRST TR EXCH TRD ALPHA FD I	EUROPE ALPHA	33737J117	1201	50608	SH		DEFINED	2	50608	0	0
FIRST TR EXCH TRD ALPHA FD I	LATIN AMER ALP	33737J125	574	22520	SH		DEFINED	2	22520	0	0
FIRST TR EXCH TRD ALPHA FD I	BRAZIL ALPHA	33737J133	1140	50294	SH		DEFINED	2	50294	0	0
FIRST TR EXCH TRD ALPHA FD I	CHINA ALPHADEX	33737J141	1506	73836	SH		DEFINED	2	73836	0	0
FIRST TR EXCH TRD ALPHA FD I	JAPAN ALPHADEX	33737J158	513	14119	SH		DEFINED	2	14119	0	0
FIRST TR EXCH TRD ALPHA FD I	DEV MRK EX US	33737J174	14979	362685	SH		DEFINED	2	362685	0	0
FIRST TR EXCH TRD ALPHA FD I	DEV MRK EX US	33737J174	1636	39611	SH		DEFINED	3	39611	0	0
FIRST TR EXCH TRD ALPHA FD I	EMERG MKT ALPH	33737J182	4050	169897	SH		DEFINED	2	169897	0	0
FIRST TR EXCH TRD ALPHA FD I	GERMANY ALPHA	33737J190	1450	50000	SH		DEFINED	2	50000	0	0
FIRST TR EXCH TRD ALPHA FD I	AUSTRALIA ALPH	33737J216	1084	37458	SH		DEFINED	2	37458	0	0
FIRST TR EXCH TRD ALPHA FD I	UNIT KING ALPH	33737J224	240	7627	SH		DEFINED	3	7627	0	0
FIRST TR EXCH TRD ALPHA FD I	SWITZLND ALPHA	33737J232	1355	44968	SH		DEFINED	3	44968	0	0
FIRST TR EXCH TRD ALPHA FD I	HONG KONG ALPH	33737J240	3074	98570	SH		DEFINED	2	98570	0	0
FIRST TR EXCH TRD ALPHA FD I	TAIWAN ALPHADE	33737J257	2816	98677	SH		DEFINED	2	98677	0	0
FIRST TR EXCH TRD ALPHA FD I	EM SML CP ALPH	33737J307	2764	95570	SH		DEFINED	2	95570	0	0
FIRST TR EXCH TRD ALPHA FD I	EX US SML CP	33737J406	2209	77282	SH		DEFINED	3	77282	0	0
FIRST TR EXCHANGE TRADED FD	STRAT VAL IDX FD	33733E104	1095	44053	SH		DEFINED	2	44053	0	0
FIRST TR EXCHANGE TRADED FD	STRAT VAL IDX FD	33733E104	484	19474	SH		DEFINED	3	19474	0	0
FIRST TR EXCHANGE TRADED FD	NY ARCA BIOTECH	33733E203	1194	25722	SH		DEFINED	2	25722	0	0
FIRST TR EXCHANGE TRADED FD	DJ INTERNT IDX	33733E302	564	14880	SH		DEFINED	2	14880	0	0
FIRST TR EXCHANGE TRADED FD	NASDAQ 100 EX	33733E401	831	34063	SH		DEFINED	3	34063	0	0
FIRST TR EXCHANGE TRADED FD	NAS CLNEDG GREEN	33733E500	230	25838	SH		DEFINED	3	25838	0	0
FIRST TR EXCHANGE TRADED FD	NAS CLNEDG GREEN	33733E500	298	33456	SH		DEFINED	2	33456	0	0
FIRST TR EXCHANGE TRADED FD	CBOE S^P500VIX	33733E609	2019	100000	SH		DEFINED	2	100000	0	0
FIRST TR EXCHANGE TRADED FD	CONSUMR DISCRE	33734X101	1354	61443	SH		DEFINED	2	61443	0	0
FIRST TR EXCHANGE TRADED FD	CONSUMR STAPLE	33734X119	353	14542	SH		DEFINED	2	14542	0	0
FIRST TR EXCHANGE TRADED FD	ENERGY ALPHADX	33734X127	1314	67210	SH		DEFINED	3	67210	0	0
FIRST TR EXCHANGE TRADED FD	FINLS ALPHADEX	33734X135	1173	77013	SH		DEFINED	3	77013	0	0
FIRST TR EXCHANGE TRADED FD	HLTH CARE ALPH	33734X143	5850	178259	SH		DEFINED	2	178259	0	0
FIRST TR EXCHANGE TRADED FD	INDLS PROD DUR	33734X150	1027	55828	SH		DEFINED	2	55828	0	0
FIRST TR EXCHANGE TRADED FD	MATERIALS ALPH	33734X168	247	10155	SH		DEFINED	2	10155	0	0
FIRST TR EXCHANGE TRADED FD	TECH ALPHADEX	33734X176	4916	228116	SH		DEFINED	2	228116	0	0
FIRST TR EXCHANGE TRADED FD	UTILITIES ALPH	33734X184	245	12852	SH		DEFINED	3	12852	0	0
FIRST TR EXCHANGE TRADED FD	UTILITIES ALPH	33734X184	932	48998	SH		DEFINED	2	48998	0	0
FIRST TR EXCHANGE TRADED FD	ISE CLOUD COMP	33734X192	304	15299	SH		DEFINED	2	15299	0	0
FIRST TR EXCHANGE TRADED FD	DJ GLBL DIVID	33734X200	3631	153708	SH		DEFINED	2	153708	0	0
FIRST TR EXCHANGE TRADED FD	AUTO INDEX FD	33734X309	1781	73340	SH		DEFINED	2	73340	0	0
FIRST TR EXCHANGE TRADED FD	MULTI ASSET DI	33738R100	17166	847304	SH		DEFINED	2	847304	0	0
FIRST TR EXCHANGE TRADED FD	NASD TECH DIV	33738R118	15649	792358	SH		DEFINED	2	792358	0	0
FIRST TR EXCHANGE-TRADED FD	NO AMER ENERGY	33738D101	428	20065	SH		DEFINED	3	20065	0	0
FIRST TR EXCHANGE-TRADED FD	NO AMER ENERGY	33738D101	2498	117155	SH		DEFINED	2	117155	0	0
FIRST TR EXCNGE TRD ALPHADEX	MID CP GR ALPH	33737M102	831	40748	SH		DEFINED	2	40748	0	0
FIRST TR EXCNGE TRD ALPHADEX	MID CAP VAL FD	33737M201	851	40879	SH		DEFINED	2	40879	0	0
FIRST TR EXCNGE TRD ALPHADEX	SML CP GRW ALP	33737M300	9690	449033	SH		DEFINED	2	449033	0	0
FIRST TR EXCNGE TRD ALPHADEX	SML CAP VAL AL	33737M409	1023	46927	SH		DEFINED	2	46927	0	0
FIRST TR EXCNGE TRD ALPHADEX	MEGA CAP ALPHA	33737M508	1020	53643	SH		DEFINED	2	53643	0	0
FIRST TR ISE CHINDIA INDEX F	COM	33733A102	1154	56606	SH		DEFINED	2	56606	0	0
FIRST TR ISE CHINDIA INDEX F	COM	33733A102	321	15760	SH		DEFINED	3	15760	0	0
FIRST TR ISE GLB WIND ENRG E	COM SHS	33736G106	779	116462	SH		DEFINED	2	116462	0	0
FIRST TR ISE GLOBAL ENGR & C	COM	33736M103	907	23298	SH		DEFINED	3	23298	0	0
FIRST TR ISE REVERE NAT GAS	COM	33734J102	434	24974	SH		DEFINED	2	24974	0	0
FIRST TR ISE WATER INDEX FD	COM	33733B100	1218	49794	SH		DEFINED	2	49794	0	0
FIRST TR LRG CP GRWTH ALPHAD	COM SHS	33735K108	522	17586	SH		DEFINED	2	17586	0	0
FIRST TR LRG CP GRWTH ALPHAD	COM SHS	33735K108	1500	50526	SH		DEFINED	3	50526	0	0
FIRST TR LRG CP VL ALPHADEX	COM SHS	33735J101	1195	40146	SH		DEFINED	2	40146	0	0
FIRST TR MID CAP CORE ALPHAD	COM SHS	33735B108	659	18395	SH		DEFINED	2	18395	0	0
FIRST TR MORNINGSTAR DIV LEA	SHS	336917109	335	17458	SH		DEFINED	2	17458	0	0
FIRST TR MORNINGSTAR DIV LEA	SHS	336917109	1558	81085	SH		DEFINED	3	81085	0	0
FIRST TR MULTI CAP VALUE ALP	COM SHS	33733F101	2158	66357	SH		DEFINED	2	66357	0	0
FIRST TR MULTI CP VAL ALPHA	COM SHS	33733C108	1983	62227	SH		DEFINED	2	62227	0	0
FIRST TR NAS100 EQ WEIGHTED	SHS	337344105	705	27162	SH		DEFINED	3	27162	0	0
FIRST TR NAS100 EQ WEIGHTED	SHS	337344105	565	21772	SH		DEFINED	2	21772	0	0
FIRST TR NASDAQ ABA CMNTY BK	UT COM SHS ETF	33736Q104	1403	53919	SH		DEFINED	3	53919	0	0
FIRST TR NASDAQ SMART PHONE	COM SHS	33737K106	2146	92071	SH		DEFINED	2	92071	0	0
FIRST TR NASDAQ100 TECH INDE	SHS	337345102	945	36562	SH		DEFINED	2	36562	0	0
FIRST TR SML CP CORE ALPHA F	COM SHS	33734Y109	1570	46759	SH		DEFINED	2	46759	0	0
FIRST TR STOXX EURO DIV FD	COMMON SHS	33735T109	520	43144	SH		DEFINED	2	43144	0	0
FIRST TR STOXX EURO DIV FD	COMMON SHS	33735T109	189	15688	SH		DEFINED	3	15688	0	0
FIRST TR US IPO INDEX FD	SHS	336920103	643	22111	SH		DEFINED	2	22111	0	0
FIRST TR VAL LINE EQ ALLO IN	SHS	336919105	849	43621	SH		DEFINED	2	43621	0	0
FIRST TR VALUE LINE 100 ETF	COM SHS	33735G107	736	55827	SH		DEFINED	3	55827	0	0
FIRST TR VALUE LINE 100 ETF	COM SHS	33735G107	416	31527	SH		DEFINED	2	31527	0	0
FIRST TR VALUE LINE DIVID IN	SHS	33734H106	358	20623	SH		DEFINED	2	20623	0	0
FIRSTBANK CORP MICH	COM	33761G104	416	41566	SH		DEFINED	3	41566	0	0
FIRSTENERGY CORP	COM	337932107	3597	81566	SH		DEFINED	2	81566	0	0
FIRSTENERGY CORP	COM	337932107	278	6300	SH		DEFINED	3	6300	0	0
FIRSTENERGY CORP	COM	337932107	18637	422600	SH	PUT	DEFINED	2	0	0	0
FIRSTENERGY CORP	COM	337932107	32136	728700	SH	CALL	DEFINED	2	0	0	0
FIRSTMERIT CORP	COM	337915102	440	29892	SH		DEFINED	2	29892	0	0
FIRSTMERIT CORP	COM	337915102	1355	92000	SH		DEFINED	9	92000	0	0
FIRSTMERIT CORP	COM	337915102	147	10000	SH	PUT	DEFINED	2	0	0	0
FIRSTMERIT CORP	COM	337915102	704	47800	SH	CALL	DEFINED	2	0	0	0
FISERV INC	COM	337738108	5412	73099	SH		DEFINED	2	73099	0	0
FISERV INC	COM	337738108	1866	25200	SH	PUT	DEFINED	2	0	0	0
FISERV INC	COM	337738108	4094	55300	SH	CALL	DEFINED	2	0	0	0
FISHER COMMUNICATIONS INC	COM	337756209	543	14778	SH		DEFINED	"5,7"	14778	0	0
FIVE BELOW INC	COM	33829M101	683	17481	SH		DEFINED	2	17481	0	0
FIVE BELOW INC	COM	33829M101	363	9300	SH	PUT	DEFINED	2	0	0	0
FIVE BELOW INC	COM	33829M101	520	13300	SH	CALL	DEFINED	2	0	0	0
FIVE STAR QUALITY CARE INC	COM	33832D106	119	23265	SH		DEFINED	9	23265	0	0
FIVE STAR QUALITY CARE INC	COM	33832D106	177	34700	SH	CALL	DEFINED	2	0	0	0
FLAGSTAR BANCORP INC	COM NEW	337930507	552	502017	SH		DEFINED	3	502017	0	0
FLAGSTONE REINSURANCE HOLDIN	COM	L3466T104	118	13700	SH		DEFINED	9	13700	0	0
FLAMEL TECHNOLOGIES SA	SPONSORED ADR	338488109	304	74248	SH		DEFINED	2	74248	0	0
FLEETCOR TECHNOLOGIES INC	COM	339041105	820	18300	SH	CALL	DEFINED	2	0	0	0
FLEXSHARES TR	MORNSTAR UPSTR	33939L407	2354	66076	SH		DEFINED	2	66076	0	0
FLEXSHARES TR	IBOXX 5YR TRGT	33939L605	367	13979	SH		DEFINED	3	13979	0	0
FLEXTRONICS INTL LTD	ORD	Y2573F102	96	16025	SH		DEFINED	3	16025	0	0
FLEXTRONICS INTL LTD	ORD	Y2573F102	1765	294216	SH		DEFINED	2	294216	0	0
FLEXTRONICS INTL LTD	ORD	Y2573F102	349	58100	SH	PUT	DEFINED	2	0	0	0
FLEXTRONICS INTL LTD	ORD	Y2573F102	1708	284700	SH	CALL	DEFINED	2	0	0	0
FLIR SYS INC	COM	302445101	246	12296	SH		DEFINED	2	12296	0	0
FLIR SYS INC	COM	302445101	226	11300	SH		DEFINED	3	11300	0	0
FLIR SYS INC	COM	302445101	1804	90300	SH	CALL	DEFINED	2	0	0	0
FLOTEK INDS INC DEL	COM	343389102	341	26899	SH		DEFINED	2	26899	0	0
FLOTEK INDS INC DEL	COM	343389102	598	47200	SH	PUT	DEFINED	2	0	0	0
FLOTEK INDS INC DEL	COM	343389102	2150	169700	SH	CALL	DEFINED	2	0	0	0
FLOTEK INDS INC DEL	COM	343389102	345	27200	SH	CALL	DEFINED	1	0	0	0
FLOWERS FOODS INC	COM	343498101	2099	104000	SH		DEFINED	9	104000	0	0
FLOWERS FOODS INC	COM	343498101	1449	71800	SH	CALL	DEFINED	2	0	0	0
FLOWSERVE CORP	COM	34354P105	521	4079	SH		DEFINED	2	4079	0	0
FLOWSERVE CORP	COM	34354P105	2721	21300	SH		DEFINED	9	21300	0	0
FLOWSERVE CORP	COM	34354P105	3245	25400	SH	PUT	DEFINED	2	0	0	0
FLOWSERVE CORP	COM	34354P105	307	2400	SH	PUT	DEFINED	1	0	0	0
FLOWSERVE CORP	COM	34354P105	15712	123000	SH	CALL	DEFINED	2	0	0	0
FLOWSERVE CORP	COM	34354P105	1533	12000	SH	CALL	DEFINED	1	0	0	0
FLUOR CORP NEW	COM	343412102	1104	19625	SH		DEFINED	2	19625	0	0
FLUOR CORP NEW	COM	343412102	21493	381900	SH	PUT	DEFINED	2	0	0	0
FLUOR CORP NEW	COM	343412102	2690	47800	SH	PUT	DEFINED	1	0	0	0
FLUOR CORP NEW	COM	343412102	3321	59000	SH	CALL	DEFINED	1	0	0	0
FLUOR CORP NEW	COM	343412102	20722	368200	SH	CALL	DEFINED	2	0	0	0
FMC TECHNOLOGIES INC	COM	30249U101	607	13101	SH		DEFINED	2	13101	0	0
FMC TECHNOLOGIES INC	COM	30249U101	1250	27000	SH	PUT	DEFINED	2	0	0	0
FMC TECHNOLOGIES INC	COM	30249U101	3385	73100	SH	CALL	DEFINED	2	0	0	0
FNB CORP PA	COM	302520101	373	33302	SH		DEFINED	2	33302	0	0
FNB CORP PA	COM	302520101	505	45050	SH		DEFINED	3	45050	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	31324	1338617	SH		DEFINED	2	1338617	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	2918	124706	SH		DEFINED	1	124706	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	950	40600	SH	PUT	DEFINED	3	0	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	2457	105000	SH	PUT	DEFINED	1	0	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	54314	2321100	SH	PUT	DEFINED	2	0	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	950	40600	SH	CALL	DEFINED	3	0	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	8157	348600	SH	CALL	DEFINED	1	0	0	0
FOCUS MEDIA HLDG LTD	SPONSORED ADR	34415V109	24114	1030500	SH	CALL	DEFINED	2	0	0	0
FOMENTO ECONOMICO MEXICANO S	SPON ADR UNITS	344419106	1757	19100	SH	PUT	DEFINED	2	0	0	0
FOMENTO ECONOMICO MEXICANO S	SPON ADR UNITS	344419106	202	2200	SH	CALL	DEFINED	2	0	0	0
FOOT LOCKER INC	COM	344849104	251	7071	SH		DEFINED	3	7071	0	0
FOOT LOCKER INC	COM	344849104	1590	44800	SH	PUT	DEFINED	2	0	0	0
FOOT LOCKER INC	COM	344849104	5755	162100	SH	CALL	DEFINED	2	0	0	0
FORD MTR CO DEL	*W EXP 01/01/201	345370134	10524	10217383	SH		DEFINED	2	10217383	0	0
FORD MTR CO DEL	*W EXP 01/01/201	345370134	37054	35974302	SH		DEFINED	"5,7"	35974302	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	16474	1670753	SH		DEFINED	2	1670753	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	1143	115912	SH		DEFINED	1	115912	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	538	54609	SH		DEFINED	3	54609	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	10893	1104800	SH	PUT	DEFINED	1	0	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	134171	13607600	SH	PUT	DEFINED	2	0	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	106956	10847500	SH	CALL	DEFINED	2	0	0	0
FORD MTR CO DEL	COM PAR $0.01	345370860	25000	2535500	SH	CALL	DEFINED	1	0	0	0
FOREST CITY ENTERPRISES INC	CL A	345550107	169	10637	SH		DEFINED	3	10637	0	0
FOREST LABS INC	COM	345838106	2199	61760	SH		DEFINED	1	61760	0	0
FOREST LABS INC	COM	345838106	5549	155819	SH		DEFINED	2	155819	0	0
FOREST LABS INC	COM	345838106	1653	46413	SH		DEFINED	3	46413	0	0
FOREST LABS INC	COM	345838106	1421	39900	SH	PUT	DEFINED	1	0	0	0
FOREST LABS INC	COM	345838106	7913	222200	SH	PUT	DEFINED	2	0	0	0
FOREST LABS INC	COM	345838106	13599	381900	SH	CALL	DEFINED	2	0	0	0
FOREST LABS INC	COM	345838106	3600	101100	SH	CALL	DEFINED	1	0	0	0
FOREST OIL CORP	COM PAR $0.01	346091705	979	115869	SH		DEFINED	2	115869	0	0
FOREST OIL CORP	COM PAR $0.01	346091705	3257	385400	SH	PUT	DEFINED	2	0	0	0
FOREST OIL CORP	COM PAR $0.01	346091705	2605	308300	SH	CALL	DEFINED	2	0	0	0
FORMFACTOR INC	COM	346375108	94	16800	SH	PUT	DEFINED	2	0	0	0
FORMFACTOR INC	COM	346375108	174	31100	SH	CALL	DEFINED	2	0	0	0
FORTINET INC	COM	34959E109	234	9700	SH		DEFINED	3	9700	0	0
FORTINET INC	COM	34959E109	2329	96482	SH		DEFINED	2	96482	0	0
FORTINET INC	COM	34959E109	260	10753	SH		DEFINED	1	10753	0	0
FORTINET INC	COM	34959E109	1439	59600	SH	PUT	DEFINED	1	0	0	0
FORTINET INC	COM	34959E109	6687	277000	SH	PUT	DEFINED	2	0	0	0
FORTINET INC	COM	34959E109	1390	57600	SH	CALL	DEFINED	1	0	0	0
FORTINET INC	COM	34959E109	7899	327200	SH	CALL	DEFINED	2	0	0	0
FORTRESS INVESTMENT GROUP LL	CL A	34958B106	2368	535667	SH		DEFINED	2	535667	0	0
FORTRESS INVESTMENT GROUP LL	CL A	34958B106	3663	828700	SH	PUT	DEFINED	2	0	0	0
FORTRESS INVESTMENT GROUP LL	CL A	34958B106	615	139100	SH	CALL	DEFINED	2	0	0	0
FORTUNE BRANDS HOME & SEC IN	COM	34964C106	310	11460	SH		DEFINED	2	11460	0	0
FORTUNE BRANDS HOME & SEC IN	COM	34964C106	475	17600	SH	PUT	DEFINED	2	0	0	0
FORTUNE BRANDS HOME & SEC IN	COM	34964C106	2968	109900	SH	CALL	DEFINED	2	0	0	0
FOSSIL INC	COM	349882100	3184	37593	SH		DEFINED	1	37593	0	0
FOSSIL INC	COM	349882100	347	4100	SH		DEFINED	3	4100	0	0
FOSSIL INC	COM	349882100	18233	215265	SH		DEFINED	2	215265	0	0
FOSSIL INC	COM	349882100	432	5100	SH	PUT	DEFINED	3	0	0	0
FOSSIL INC	COM	349882100	10384	122600	SH	PUT	DEFINED	1	0	0	0
FOSSIL INC	COM	349882100	39055	461100	SH	PUT	DEFINED	2	0	0	0
FOSSIL INC	COM	349882100	18549	219000	SH	CALL	DEFINED	2	0	0	0
FOSSIL INC	COM	349882100	10130	119600	SH	CALL	DEFINED	1	0	0	0
FOSSIL INC	COM	349882100	466	5500	SH	CALL	DEFINED	3	0	0	0
FOSTER L B CO	COM	350060109	210	6500	SH	PUT	DEFINED	2	0	0	0
FOSTER WHEELER AG	COM	H27178104	4279	178584	SH		DEFINED	2	178584	0	0
FOSTER WHEELER AG	COM	H27178104	203	8475	SH		DEFINED	1	8475	0	0
FOSTER WHEELER AG	COM	H27178104	597	24900	SH	PUT	DEFINED	1	0	0	0
FOSTER WHEELER AG	COM	H27178104	4504	188000	SH	PUT	DEFINED	2	0	0	0
FOSTER WHEELER AG	COM	H27178104	357	14900	SH	CALL	DEFINED	1	0	0	0
FOSTER WHEELER AG	COM	H27178104	10732	447900	SH	CALL	DEFINED	2	0	0	0
FRANCE TELECOM	SPONSORED ADR	35177Q105	2143	175373	SH		DEFINED	2	175373	0	0
FRANCE TELECOM	SPONSORED ADR	35177Q105	3561	291400	SH	PUT	DEFINED	2	0	0	0
FRANCE TELECOM	SPONSORED ADR	35177Q105	918	75100	SH	CALL	DEFINED	2	0	0	0
FRANCESCAS HLDGS CORP	COM	351793104	1991	64800	SH	PUT	DEFINED	2	0	0	0
FRANCESCAS HLDGS CORP	COM	351793104	2566	83500	SH	CALL	DEFINED	2	0	0	0
FRANCESCAS HLDGS CORP	COM	351793104	605	19700	SH	CALL	DEFINED	1	0	0	0
FRANCO NEVADA CORP	COM	351858105	5192	88100	SH	PUT	DEFINED	1	0	0	0
FRANCO NEVADA CORP	COM	351858105	10531	178700	SH	PUT	DEFINED	2	0	0	0
FRANCO NEVADA CORP	COM	351858105	265	4500	SH	CALL	DEFINED	1	0	0	0
FRANCO NEVADA CORP	COM	351858105	8191	139000	SH	CALL	DEFINED	2	0	0	0
FRANKLIN ELEC INC	COM	353514102	307	5074	SH		DEFINED	2	5074	0	0
FRANKLIN RES INC	COM	354613101	1755	14031	SH		DEFINED	2	14031	0	0
FRANKLIN RES INC	COM	354613101	4733	37841	SH		DEFINED	3	37841	0	0
FRANKLIN RES INC	COM	354613101	1939	15500	SH	PUT	DEFINED	1	0	0	0
FRANKLIN RES INC	COM	354613101	10468	83700	SH	PUT	DEFINED	2	0	0	0
FRANKLIN RES INC	COM	354613101	613	4900	SH	CALL	DEFINED	1	0	0	0
FRANKLIN RES INC	COM	354613101	9505	76000	SH	CALL	DEFINED	2	0	0	0
FREDS INC	CL A	356108100	223	15675	SH		DEFINED	3	15675	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	2851	72030	SH		DEFINED	3	72030	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	11356	286908	SH		DEFINED	1	286908	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	128838	3255119	SH		DEFINED	2	3255119	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	238537	6026700	SH	PUT	DEFINED	2	0	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	29784	752500	SH	PUT	DEFINED	1	0	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	169778	4289500	SH	CALL	DEFINED	2	0	0	0
FREEPORT-MCMORAN COPPER & GO	COM	35671D857	37945	958700	SH	CALL	DEFINED	1	0	0	0
FREESCALE SEMICONDUCTOR LTD	SHS	G3727Q101	1605	168800	SH	CALL	DEFINED	2	0	0	0
FRESENIUS MED CARE AG^CO KGA	SPONSORED ADR	358029106	235	3200	SH	CALL	DEFINED	2	0	0	0
FRESH DEL MONTE PRODUCE INC	ORD	G36738105	483	18868	SH		DEFINED	2	18868	0	0
FRESH MKT INC	COM	35804H106	400	6671	SH		DEFINED	2	6671	0	0
FRESH MKT INC	COM	35804H106	744	12400	SH	PUT	DEFINED	2	0	0	0
FRESH MKT INC	COM	35804H106	780	13000	SH	CALL	DEFINED	2	0	0	0
FRIENDFINDER NETWORKS INC	COM IPO	358453306	33	38733	SH		DEFINED	3	38733	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	2085	425532	SH		DEFINED	2	425532	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	545	111192	SH		DEFINED	1	111192	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	207	42304	SH		DEFINED	3	42304	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	7047	1438100	SH	PUT	DEFINED	2	0	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	132	26900	SH	PUT	DEFINED	1	0	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	4990	1018400	SH	CALL	DEFINED	2	0	0	0
FRONTIER COMMUNICATIONS CORP	COM	35906A108	306	62500	SH	CALL	DEFINED	1	0	0	0
FRONTLINE LTD	SHS	G3682E127	81	21217	SH		DEFINED	3	21217	0	0
FRONTLINE LTD	SHS	G3682E127	1416	368700	SH	PUT	DEFINED	2	0	0	0
FRONTLINE LTD	SHS	G3682E127	1840	479100	SH	CALL	DEFINED	2	0	0	0
FTI CONSULTING INC	COM	302941109	476	17832	SH		DEFINED	2	17832	0	0
FTI CONSULTING INC	COM	302941109	3762	141000	SH	PUT	DEFINED	2	0	0	0
FTI CONSULTING INC	COM	302941109	328	12300	SH	CALL	DEFINED	1	0	0	0
FTI CONSULTING INC	COM	302941109	1750	65600	SH	CALL	DEFINED	2	0	0	0
FUEL SYS SOLUTIONS INC	COM	35952W103	591	34400	SH	PUT	DEFINED	2	0	0	0
FUEL SYS SOLUTIONS INC	COM	35952W103	1248	72600	SH	CALL	DEFINED	2	0	0	0
FUEL TECH INC	COM	359523107	617	147859	SH		DEFINED	3	147859	0	0
FUELCELL ENERGY INC	COM	35952H106	19	21431	SH		DEFINED	3	21431	0	0
FUELCELL ENERGY INC	COM	35952H106	25	28224	SH		DEFINED	2	28224	0	0
FULTON FINL CORP PA	COM	360271100	397	40295	SH		DEFINED	3	40295	0	0
FULTON FINL CORP PA	COM	360271100	182	18500	SH	PUT	DEFINED	2	0	0	0
FUSHI COPPERWELD INC	COM	36113E107	2536	279029	SH		DEFINED	2	279029	0	0
FUSHI COPPERWELD INC	COM	36113E107	2003	220400	SH	PUT	DEFINED	2	0	0	0
FUSHI COPPERWELD INC	COM	36113E107	2020	222200	SH	CALL	DEFINED	2	0	0	0
FUSION-IO INC	COM	36112J107	10121	334372	SH		DEFINED	2	334372	0	0
FUSION-IO INC	COM	36112J107	3044	100546	SH		DEFINED	1	100546	0	0
FUSION-IO INC	COM	36112J107	14466	477900	SH	PUT	DEFINED	2	0	0	0
FUSION-IO INC	COM	36112J107	2437	80500	SH	PUT	DEFINED	1	0	0	0
FUSION-IO INC	COM	36112J107	548	18100	SH	CALL	DEFINED	1	0	0	0
FUSION-IO INC	COM	36112J107	8176	270100	SH	CALL	DEFINED	2	0	0	0
FX ENERGY INC	COM	302695101	1678	224993	SH		DEFINED	2	224993	0	0
FX ENERGY INC	COM	302695101	175	23437	SH		DEFINED	3	23437	0	0
FX ENERGY INC	COM	302695101	417	55900	SH	PUT	DEFINED	2	0	0	0
FX ENERGY INC	COM	302695101	92	12300	SH	CALL	DEFINED	1	0	0	0
FX ENERGY INC	COM	302695101	313	42000	SH	CALL	DEFINED	2	0	0	0
G-III APPAREL GROUP LTD	COM	36237H101	323	9000	SH	PUT	DEFINED	2	0	0	0
G-III APPAREL GROUP LTD	COM	36237H101	460	12800	SH	CALL	DEFINED	2	0	0	0
GAFISA S A	SPONS ADR	362607301	56	12778	SH		DEFINED	2	12778	0	0
GAFISA S A	SPONS ADR	362607301	53	12200	SH	PUT	DEFINED	2	0	0	0
GALENA BIOPHARMA	COM	363256108	117	65886	SH		DEFINED	2	65886	0	0
GALENA BIOPHARMA	COM	363256108	60	33600	SH	PUT	DEFINED	2	0	0	0
GALENA BIOPHARMA	COM	363256108	47	26200	SH	CALL	DEFINED	2	0	0	0
GALLAGHER ARTHUR J & CO	COM	363576109	1024	28592	SH		DEFINED	2	28592	0	0
GAMESTOP CORP NEW	CL A	36467W109	2425	115482	SH		DEFINED	3	115482	0	0
GAMESTOP CORP NEW	CL A	36467W109	287	13690	SH		DEFINED	1	13690	0	0
GAMESTOP CORP NEW	CL A	36467W109	7305	347841	SH		DEFINED	2	347841	0	0
GAMESTOP CORP NEW	CL A	36467W109	22989	1094700	SH	PUT	DEFINED	2	0	0	0
GAMESTOP CORP NEW	CL A	36467W109	1844	87800	SH	PUT	DEFINED	1	0	0	0
GAMESTOP CORP NEW	CL A	36467W109	23255	1107400	SH	CALL	DEFINED	2	0	0	0
GAMESTOP CORP NEW	CL A	36467W109	8772	417700	SH	CALL	DEFINED	3	0	0	0
GAMESTOP CORP NEW	CL A	36467W109	1922	91500	SH	CALL	DEFINED	1	0	0	0
GANNETT INC	COM	364730101	210	11808	SH		DEFINED	3	11808	0	0
GANNETT INC	COM	364730101	342	19245	SH		DEFINED	2	19245	0	0
GANNETT INC	COM	364730101	3380	190400	SH	PUT	DEFINED	2	0	0	0
GANNETT INC	COM	364730101	9608	541300	SH	CALL	DEFINED	3	0	0	0
GANNETT INC	COM	364730101	6000	338000	SH	CALL	DEFINED	2	0	0	0
GAP INC DEL	COM	364760108	14982	418732	SH		DEFINED	3	418732	0	0
GAP INC DEL	COM	364760108	15789	441270	SH		DEFINED	2	441270	0	0
GAP INC DEL	COM	364760108	405	11312	SH		DEFINED	1	11312	0	0
GAP INC DEL	COM	364760108	798	22300	SH	PUT	DEFINED	1	0	0	0
GAP INC DEL	COM	364760108	26169	731400	SH	PUT	DEFINED	2	0	0	0
GAP INC DEL	COM	364760108	3002	83900	SH	CALL	DEFINED	1	0	0	0
GAP INC DEL	COM	364760108	13553	378800	SH	CALL	DEFINED	2	0	0	0
GARDNER DENVER INC	COM	365558105	374	6184	SH		DEFINED	3	6184	0	0
GARDNER DENVER INC	COM	365558105	1400	23167	SH		DEFINED	2	23167	0	0
GARDNER DENVER INC	COM	365558105	3963	65600	SH	PUT	DEFINED	2	0	0	0
GARDNER DENVER INC	COM	365558105	1740	28800	SH	CALL	DEFINED	2	0	0	0
GARDNER DENVER INC	COM	365558105	362	6000	SH	CALL	DEFINED	3	0	0	0
GARMIN LTD	SHS	H2906T109	14546	348481	SH		DEFINED	9	348481	0	0
GARMIN LTD	SHS	H2906T109	7532	180447	SH		DEFINED	2	180447	0	0
GARMIN LTD	SHS	H2906T109	493	11801	SH		DEFINED	3	11801	0	0
GARMIN LTD	SHS	H2906T109	1039	24900	SH	PUT	DEFINED	3	0	0	0
GARMIN LTD	SHS	H2906T109	9362	224300	SH	PUT	DEFINED	2	0	0	0
GARMIN LTD	SHS	H2906T109	213	5100	SH	PUT	DEFINED	1	0	0	0
GARMIN LTD	SHS	H2906T109	4771	114300	SH	CALL	DEFINED	2	0	0	0
GASLOG LTD	SHS	G37585109	493	42550	SH		DEFINED	3	42550	0	0
GASLOG LTD	SHS	G37585109	317	27400	SH	CALL	DEFINED	2	0	0	0
GASTAR EXPL LTD	COM NEW	367299203	52	31571	SH		DEFINED	2	31571	0	0
GASTAR EXPL LTD	COM NEW	367299203	27	16400	SH	PUT	DEFINED	2	0	0	0
GATX CORP	COM	361448103	353	8315	SH		DEFINED	2	8315	0	0
GATX CORP	COM	361448103	204	4800	SH	PUT	DEFINED	1	0	0	0
GATX CORP	COM	361448103	755	17800	SH	CALL	DEFINED	2	0	0	0
GAYLORD ENTMT CO NEW	COM	367905106	549	13900	SH		DEFINED	9	13900	0	0
GAYLORD ENTMT CO NEW	COM	367905106	15120	382500	SH		DEFINED	"5,7"	382500	0	0
GAYLORD ENTMT CO NEW	COM	367905106	2554	64600	SH	PUT	DEFINED	2	0	0	0
GAYLORD ENTMT CO NEW	COM	367905106	5878	148700	SH	CALL	DEFINED	2	0	0	0
GAZIT GLOBE LTD	SHS	M4793C102	309	28300	SH	CALL	DEFINED	2	0	0	0
GENCO SHIPPING & TRADING LTD	SHS	Y2685T107	390	106074	SH		DEFINED	2	106074	0	0
GENCO SHIPPING & TRADING LTD	SHS	Y2685T107	1421	386200	SH	PUT	DEFINED	2	0	0	0
GENCO SHIPPING & TRADING LTD	SHS	Y2685T107	394	107000	SH	CALL	DEFINED	2	0	0	0
GENCORP INC	COM	368682100	125	13223	SH		DEFINED	2	13223	0	0
GENERAL CABLE CORP DEL NEW	COM	369300108	652	22200	SH	PUT	DEFINED	2	0	0	0
GENERAL CABLE CORP DEL NEW	COM	369300108	3608	122800	SH	CALL	DEFINED	2	0	0	0
GENERAL DYNAMICS CORP	COM	369550108	13141	198747	SH		DEFINED	3	198747	0	0
GENERAL DYNAMICS CORP	COM	369550108	2985	45145	SH		DEFINED	2	45145	0	0
GENERAL DYNAMICS CORP	COM	369550108	333	5043	SH		DEFINED	1	5043	0	0
GENERAL DYNAMICS CORP	COM	369550108	8834	133600	SH	PUT	DEFINED	2	0	0	0
GENERAL DYNAMICS CORP	COM	369550108	2189	33100	SH	PUT	DEFINED	1	0	0	0
GENERAL DYNAMICS CORP	COM	369550108	16272	246100	SH	CALL	DEFINED	2	0	0	0
GENERAL DYNAMICS CORP	COM	369550108	4245	64200	SH	CALL	DEFINED	1	0	0	0
GENERAL ELECTRIC CO	COM	369604103	90785	3997587	SH		DEFINED	2	3997587	0	0
GENERAL ELECTRIC CO	COM	369604103	10588	466205	SH		DEFINED	1	466205	0	0
GENERAL ELECTRIC CO	COM	369604103	22036	970300	SH	PUT	DEFINED	1	0	0	0
GENERAL ELECTRIC CO	COM	369604103	261735	11525100	SH	PUT	DEFINED	2	0	0	0
GENERAL ELECTRIC CO	COM	369604103	105658	4652500	SH	CALL	DEFINED	3	0	0	0
GENERAL ELECTRIC CO	COM	369604103	146380	6445600	SH	CALL	DEFINED	2	0	0	0
GENERAL ELECTRIC CO	COM	369604103	12808	564000	SH	CALL	DEFINED	1	0	0	0
GENERAL GROWTH PPTYS INC NEW	COM	370023103	3739	191929	SH		DEFINED	2	191929	0	0
GENERAL GROWTH PPTYS INC NEW	COM	370023103	366	18774	SH		DEFINED	3	18774	0	0
GENERAL GROWTH PPTYS INC NEW	COM	370023103	6176	317038	SH		DEFINED	9	317038	0	0
GENERAL GROWTH PPTYS INC NEW	COM	370023103	4480	230000	SH	PUT	DEFINED	2	0	0	0
GENERAL GROWTH PPTYS INC NEW	COM	370023103	880	45200	SH	CALL	DEFINED	3	0	0	0
GENERAL GROWTH PPTYS INC NEW	COM	370023103	3031	155600	SH	CALL	DEFINED	2	0	0	0
GENERAL MLS INC	COM	370334104	16672	418369	SH		DEFINED	2	418369	0	0
GENERAL MLS INC	COM	370334104	23057	578600	SH	PUT	DEFINED	2	0	0	0
GENERAL MLS INC	COM	370334104	833	20900	SH	PUT	DEFINED	1	0	0	0
GENERAL MLS INC	COM	370334104	33123	831200	SH	CALL	DEFINED	2	0	0	0
GENERAL MLS INC	COM	370334104	1554	39000	SH	CALL	DEFINED	1	0	0	0
GENERAL MOLY INC	COM	370373102	39	12239	SH		DEFINED	2	12239	0	0
GENERAL MOLY INC	COM	370373102	35	11100	SH	CALL	DEFINED	2	0	0	0
GENERAL MTRS CO	COM	37045V100	872	38330	SH		DEFINED	3	38330	0	0
GENERAL MTRS CO	COM	37045V100	296	12996	SH		DEFINED	2	12996	0	0
GENERAL MTRS CO	COM	37045V100	2275	100000	SH	PUT	DEFINED	3	0	0	0
GENERAL MTRS CO	COM	37045V100	5942	261200	SH	PUT	DEFINED	1	0	0	0
GENERAL MTRS CO	COM	37045V100	33640	1478700	SH	PUT	DEFINED	2	0	0	0
GENERAL MTRS CO	COM	37045V100	21642	951300	SH	CALL	DEFINED	1	0	0	0
GENERAL MTRS CO	COM	37045V100	79156	3479400	SH	CALL	DEFINED	2	0	0	0
GENERAL MTRS CO	*W EXP 07/10/201	37045V118	25888	1878685	SH		DEFINED	"5,7"	1878685	0	0
GENERAL MTRS CO	*W EXP 07/10/201	37045V126	15518	1878685	SH		DEFINED	"5,7"	1878685	0	0
GENESCO INC	COM	371532102	961	14400	SH	PUT	DEFINED	2	0	0	0
GENESCO INC	COM	371532102	467	7000	SH	PUT	DEFINED	1	0	0	0
GENESCO INC	COM	371532102	874	13100	SH	CALL	DEFINED	2	0	0	0
GENESEE & WYO INC	CL A	371559105	2741	41000	SH	PUT	DEFINED	2	0	0	0
GENESEE & WYO INC	CL A	371559105	769	11500	SH	CALL	DEFINED	2	0	0	0
GENESIS ENERGY L P	UNIT LTD PARTN	371927104	3992	118700	SH	CALL	DEFINED	2	0	0	0
GENOMIC HEALTH INC	COM	37244C101	551	15891	SH		DEFINED	2	15891	0	0
GENOMIC HEALTH INC	COM	37244C101	1637	47200	SH	PUT	DEFINED	2	0	0	0
GENON ENERGY INC	COM	37244E107	105	41432	SH		DEFINED	3	41432	0	0
GENON ENERGY INC	COM	37244E107	209	82600	SH	PUT	DEFINED	2	0	0	0
GENON ENERGY INC	COM	37244E107	849	335400	SH	CALL	DEFINED	2	0	0	0
GENPACT LIMITED	SHS	G3922B107	2502	150000	SH		DEFINED	"5,7"	150000	0	0
GENPACT LIMITED	SHS	G3922B107	310	18600	SH	PUT	DEFINED	2	0	0	0
GENTEX CORP	COM	371901109	181	10651	SH		DEFINED	1	10651	0	0
GENTEX CORP	COM	371901109	472	27724	SH		DEFINED	2	27724	0	0
GENTEX CORP	COM	371901109	1289	75800	SH	PUT	DEFINED	2	0	0	0
GENTEX CORP	COM	371901109	468	27500	SH	PUT	DEFINED	1	0	0	0
GENTEX CORP	COM	371901109	177	10400	SH	CALL	DEFINED	2	0	0	0
GENTIVA HEALTH SERVICES INC	COM	37247A102	127	11200	SH	CALL	DEFINED	2	0	0	0
GENUINE PARTS CO	COM	372460105	1687	27650	SH		DEFINED	2	27650	0	0
GENUINE PARTS CO	COM	372460105	2881	47200	SH	PUT	DEFINED	2	0	0	0
GENUINE PARTS CO	COM	372460105	397	6500	SH	PUT	DEFINED	1	0	0	0
GENUINE PARTS CO	COM	372460105	940	15400	SH	CALL	DEFINED	1	0	0	0
GENUINE PARTS CO	COM	372460105	12633	207000	SH	CALL	DEFINED	2	0	0	0
GENWORTH FINL INC	COM CL A	37247D106	5468	1045483	SH		DEFINED	2	1045483	0	0
GENWORTH FINL INC	COM CL A	37247D106	188	36035	SH		DEFINED	3	36035	0	0
GENWORTH FINL INC	COM CL A	37247D106	203	38800	SH	PUT	DEFINED	1	0	0	0
GENWORTH FINL INC	COM CL A	37247D106	6677	1276700	SH	PUT	DEFINED	2	0	0	0
GENWORTH FINL INC	COM CL A	37247D106	109	20900	SH	CALL	DEFINED	1	0	0	0
GENWORTH FINL INC	COM CL A	37247D106	1783	341000	SH	CALL	DEFINED	2	0	0	0
GEO GROUP INC	COM	36159R103	260	9403	SH		DEFINED	2	9403	0	0
GEO GROUP INC	COM	36159R103	257	9282	SH		DEFINED	3	9282	0	0
GEO GROUP INC	COM	36159R103	443	16000	SH		DEFINED	9	16000	0	0
GEO GROUP INC	COM	36159R103	1765	63800	SH		DEFINED	"5,7"	63800	0	0
GEO GROUP INC	COM	36159R103	1123	40600	SH	CALL	DEFINED	2	0	0	0
GEOEYE INC	COM	37250W108	988	37400	SH	PUT	DEFINED	2	0	0	0
GEOEYE INC	COM	37250W108	1065	40300	SH	CALL	DEFINED	2	0	0	0
GEOKINETICS INC	COM PAR $0.01	372910307	10	27356	SH		DEFINED	3	27356	0	0
GEOKINETICS INC	COM PAR $0.01	372910307	5	13243	SH		DEFINED	2	13243	0	0
GEORGIA GULF CORP	COM PAR$0.01 NEW	373200302	1637	45203	SH		DEFINED	2	45203	0	0
GEORGIA GULF CORP	COM PAR$0.01 NEW	373200302	2271	62700	SH	PUT	DEFINED	2	0	0	0
GEORGIA GULF CORP	COM PAR$0.01 NEW	373200302	652	18000	SH	CALL	DEFINED	2	0	0	0
GERDAU S A	SPONSORED ADR	373737105	2488	261638	SH		DEFINED	2	261638	0	0
GERDAU S A	SPONSORED ADR	373737105	168	17700	SH	PUT	DEFINED	1	0	0	0
GERDAU S A	SPONSORED ADR	373737105	5205	547300	SH	PUT	DEFINED	2	0	0	0
GERDAU S A	SPONSORED ADR	373737105	1485	156200	SH	CALL	DEFINED	2	0	0	0
GERON CORP	COM	374163103	897	527456	SH		DEFINED	2	527456	0	0
GERON CORP	COM	374163103	1042	613100	SH	PUT	DEFINED	2	0	0	0
GERON CORP	COM	374163103	177	104300	SH	CALL	DEFINED	2	0	0	0
GETTY RLTY CORP NEW	COM	374297109	729	40600	SH	CALL	DEFINED	2	0	0	0
GEVO INC	COM	374396109	25	11733	SH		DEFINED	3	11733	0	0
GFI GROUP INC	COM	361652209	39	12108	SH		DEFINED	2	12108	0	0
GIANT INTERACTIVE GROUP INC	ADR	374511103	2093	403200	SH		DEFINED	9	403200	0	0
GIANT INTERACTIVE GROUP INC	ADR	374511103	92	17700	SH	PUT	DEFINED	2	0	0	0
GIANT INTERACTIVE GROUP INC	ADR	374511103	3777	727700	SH	CALL	DEFINED	2	0	0	0
GIGAMEDIA LTD	ORD	Y2711Y104	162	154553	SH		DEFINED	2	154553	0	0
GIGAMEDIA LTD	ORD	Y2711Y104	13	12000	SH	PUT	DEFINED	2	0	0	0
GILDAN ACTIVEWEAR INC	COM	375916103	602	19000	SH		DEFINED	9	19000	0	0
GILDAN ACTIVEWEAR INC	COM	375916103	206	6500	SH	PUT	DEFINED	1	0	0	0
GILDAN ACTIVEWEAR INC	COM	375916103	415	13100	SH	PUT	DEFINED	2	0	0	0
GILDAN ACTIVEWEAR INC	COM	375916103	488	15400	SH	CALL	DEFINED	2	0	0	0
GILEAD SCIENCES INC	COM	375558103	6808	102639	SH		DEFINED	1	102639	0	0
GILEAD SCIENCES INC	COM	375558103	2257	34025	SH		DEFINED	3	34025	0	0
GILEAD SCIENCES INC	COM	375558103	28933	436193	SH		DEFINED	2	436193	0	0
GILEAD SCIENCES INC	COM	375558103	9432	142200	SH	PUT	DEFINED	1	0	0	0
GILEAD SCIENCES INC	COM	375558103	10148	153000	SH	PUT	DEFINED	2	0	0	0
GILEAD SCIENCES INC	COM	375558103	1459	22000	SH	PUT	DEFINED	3	0	0	0
GILEAD SCIENCES INC	COM	375558103	41669	628200	SH	CALL	DEFINED	2	0	0	0
GILEAD SCIENCES INC	COM	375558103	1141	17200	SH	CALL	DEFINED	3	0	0	0
GILEAD SCIENCES INC	COM	375558103	12921	194800	SH	CALL	DEFINED	1	0	0	0
GILEAD SCIENCES INC	NOTE   0.625% 5/0	375558AH6	170939	98170000	PRN		DEFINED	"5,7"	0	0	0
GILEAD SCIENCES INC	NOTE   1.000% 5/0	375558AN3	58207	38676000	PRN		DEFINED	"5,7"	0	0	0
GILEAD SCIENCES INC	NOTE   1.625% 5/0	375558AP8	76342	48800000	PRN		DEFINED	"5,7"	0	0	0
GIVEN IMAGING	ORD SHS	M52020100	427	29328	SH		DEFINED	2	29328	0	0
GIVEN IMAGING	ORD SHS	M52020100	631	43300	SH	PUT	DEFINED	2	0	0	0
GIVEN IMAGING	ORD SHS	M52020100	453	31100	SH	CALL	DEFINED	2	0	0	0
GLATFELTER	COM	377316104	221	12400	SH	CALL	DEFINED	2	0	0	0
GLAXOSMITHKLINE PLC	SPONSORED ADR	37733W105	3368	72830	SH		DEFINED	1	72830	0	0
GLAXOSMITHKLINE PLC	SPONSORED ADR	37733W105	893	19313	SH		DEFINED	2	19313	0	0
GLAXOSMITHKLINE PLC	SPONSORED ADR	37733W105	11819	255600	SH	PUT	DEFINED	2	0	0	0
GLAXOSMITHKLINE PLC	SPONSORED ADR	37733W105	5091	110100	SH	PUT	DEFINED	1	0	0	0
GLAXOSMITHKLINE PLC	SPONSORED ADR	37733W105	18612	402500	SH	CALL	DEFINED	2	0	0	0
GLAXOSMITHKLINE PLC	SPONSORED ADR	37733W105	3334	72100	SH	CALL	DEFINED	1	0	0	0
GLEACHER & CO INC	COM	377341102	185	252911	SH		DEFINED	3	252911	0	0
GLIMCHER RLTY TR	SH BEN INT	379302102	1083	102468	SH		DEFINED	9	102468	0	0
GLIMCHER RLTY TR	SH BEN INT	379302102	191	18100	SH	CALL	DEFINED	2	0	0	0
GLOBAL CASH ACCESS HLDGS INC	COM	378967103	97	11997	SH		DEFINED	2	11997	0	0
GLOBAL INDEMNITY PLC	SHS	G39319101	248	11355	SH		DEFINED	3	11355	0	0
GLOBAL PARTNERS LP	COM UNITS	37946R109	212	8100	SH	PUT	DEFINED	2	0	0	0
GLOBAL PARTNERS LP	COM UNITS	37946R109	517	19800	SH	CALL	DEFINED	2	0	0	0
GLOBAL PMTS INC	COM	37940X102	369	8814	SH		DEFINED	2	8814	0	0
GLOBAL PMTS INC	COM	37940X102	286	6840	SH		DEFINED	3	6840	0	0
GLOBAL PMTS INC	COM	37940X102	1234	29500	SH	PUT	DEFINED	2	0	0	0
GLOBAL PMTS INC	COM	37940X102	289	6900	SH	CALL	DEFINED	2	0	0	0
GLOBAL X FDS	FTSE NORDIC REG	37950E101	977	51889	SH		DEFINED	2	51889	0	0
GLOBAL X FDS	FTSE COLOMBIA20	37950E200	2293	108068	SH		DEFINED	2	108068	0	0
GLOBAL X FDS	GLBX SUPRINC ETF	37950E333	742	48785	SH		DEFINED	3	48785	0	0
GLOBAL X FDS	GLB X FTSE NOR	37950E341	860	50000	SH		DEFINED	2	50000	0	0
GLOBAL X FDS	GLB X PERMETF	37950E358	626	24125	SH		DEFINED	2	24125	0	0
GLOBAL X FDS	400 MID CP ETF	37950E382	1055	37176	SH		DEFINED	2	37176	0	0
GLOBAL X FDS	NASD 500 ETF	37950E390	653	21745	SH		DEFINED	3	21745	0	0
GLOBAL X FDS	CHINA CONS ETF	37950E408	1033	77584	SH		DEFINED	2	77584	0	0
GLOBAL X FDS	SOCIAL MED ETF	37950E416	433	31394	SH		DEFINED	3	31394	0	0
GLOBAL X FDS	SOCIAL MED ETF	37950E416	545	39544	SH		DEFINED	2	39544	0	0
GLOBAL X FDS	SOCIAL MED ETF	37950E416	208	15100	SH	PUT	DEFINED	1	0	0	0
GLOBAL X FDS	GLB X FERTIL	37950E499	1121	79751	SH		DEFINED	3	79751	0	0
GLOBAL X FDS	CHINA ENRG ETF	37950E507	219	16775	SH		DEFINED	2	16775	0	0
GLOBAL X FDS	GLOBAL X AUTO	37950E531	1008	81668	SH		DEFINED	2	81668	0	0
GLOBAL X FDS	GLB X SUPERDIV	37950E549	4367	197787	SH		DEFINED	2	197787	0	0
GLOBAL X FDS	GLB X SUPERDIV	37950E549	503	22793	SH		DEFINED	3	22793	0	0
GLOBAL X FDS	CHINA FINL ETF	37950E606	1576	143381	SH		DEFINED	2	143381	0	0
GLOBAL X FDS	GBL X JR MN ETF	37950E630	611	54364	SH		DEFINED	2	54364	0	0
GLOBAL X FDS	GLB X ASEAN 40	37950E648	1008	60694	SH		DEFINED	2	60694	0	0
GLOBAL X FDS	ANDEAN 40 ETF	37950E655	227	16116	SH		DEFINED	3	16116	0	0
GLOBAL X FDS	ANDEAN 40 ETF	37950E655	853	60493	SH		DEFINED	2	60493	0	0
GLOBAL X FDS	GLB X ARGENT20	37950E697	350	39474	SH		DEFINED	2	39474	0	0
GLOBAL X FDS	CHINA INDL ETF	37950E705	480	47569	SH		DEFINED	2	47569	0	0
GLOBAL X FDS	GLB X GLD EXPL	37950E739	298	31714	SH		DEFINED	2	31714	0	0
GLOBAL X FDS	GLOB X NOR ETF	37950E747	1095	72530	SH		DEFINED	2	72530	0	0
GLOBAL X FDS	GLB X URANIUM	37950E754	337	44053	SH		DEFINED	2	44053	0	0
GLOBAL X FDS	GLB X URANIUM	37950E754	1129	147600	SH	PUT	DEFINED	2	0	0	0
GLOBAL X FDS	GLB X LITHIUM	37950E762	425	27514	SH		DEFINED	2	27514	0	0
GLOBAL X FDS	BRAZIL MID CAP	37950E788	2657	171850	SH		DEFINED	2	171850	0	0
GLOBAL X FDS	NASDQ CHINA TECH	37950E804	976	69485	SH		DEFINED	2	69485	0	0
GLOBAL X FDS	GLB X BRZ FINL	37950E838	1080	81173	SH		DEFINED	2	81173	0	0
GLOBAL X FDS	GLB X BRAZ CON	37950E846	585	31024	SH		DEFINED	2	31024	0	0
GLOBAL X FDS	SILVER MNR ETF	37950E853	209	8407	SH		DEFINED	3	8407	0	0
GLOBAL X FDS	SILVER MNR ETF	37950E853	1913	76831	SH		DEFINED	2	76831	0	0
GLOBAL X FDS	SILVER MNR ETF	37950E853	476	19100	SH	PUT	DEFINED	2	0	0	0
GLOBAL X FDS	SILVER MNR ETF	37950E853	217	8700	SH	PUT	DEFINED	1	0	0	0
GLOBAL X FDS	SILVER MNR ETF	37950E853	1681	67500	SH	CALL	DEFINED	2	0	0	0
GLOBAL X FDS	SILVER MNR ETF	37950E853	819	32900	SH	CALL	DEFINED	1	0	0	0
GLOBAL X FDS	COPPER MNR ETF	37950E861	505	39878	SH		DEFINED	3	39878	0	0
GLOBAL X FDS	COPPER MNR ETF	37950E861	534	42179	SH		DEFINED	2	42179	0	0
GLOBALSTAR INC	COM	378973408	33	72200	SH		DEFINED	2	72200	0	0
GLOBALSTAR INC	COM	378973408	644	1400000	SH		DEFINED	"5,8"	1400000	0	0
GLOBALSTAR INC	COM	378973408	65	140442	SH		DEFINED	3	140442	0	0
GLOBE SPECIALTY METALS INC	COM	37954N206	495	32536	SH		DEFINED	2	32536	0	0
GLOBE SPECIALTY METALS INC	COM	37954N206	280	18400	SH	PUT	DEFINED	2	0	0	0
GLOBE SPECIALTY METALS INC	COM	37954N206	411	27000	SH	CALL	DEFINED	2	0	0	0
GLOBECOMM SYSTEMS INC	COM	37956X103	1336	119807	SH		DEFINED	3	119807	0	0
GLU MOBILE INC	COM	379890106	776	167208	SH		DEFINED	2	167208	0	0
GLU MOBILE INC	COM	379890106	279	60227	SH		DEFINED	3	60227	0	0
GLU MOBILE INC	COM	379890106	341	73400	SH	PUT	DEFINED	2	0	0	0
GLU MOBILE INC	COM	379890106	60	13000	SH	PUT	DEFINED	1	0	0	0
GLU MOBILE INC	COM	379890106	535	115200	SH	CALL	DEFINED	2	0	0	0
GMX RES INC	COM	38011M108	493	616441	SH		DEFINED	3	616441	0	0
GMX RES INC	COM	38011M108	258	322669	SH		DEFINED	2	322669	0	0
GMX RES INC	COM	38011M108	19	24334	SH		DEFINED	1	24334	0	0
GMX RES INC	COM	38011M108	36	45300	SH	PUT	DEFINED	1	0	0	0
GMX RES INC	COM	38011M108	239	298900	SH	PUT	DEFINED	2	0	0	0
GMX RES INC	COM	38011M108	16	19700	SH	CALL	DEFINED	2	0	0	0
GNC HLDGS INC	COM CL A	36191G107	4197	107700	SH	PUT	DEFINED	2	0	0	0
GNC HLDGS INC	COM CL A	36191G107	323	8300	SH	PUT	DEFINED	1	0	0	0
GNC HLDGS INC	COM CL A	36191G107	678	17400	SH	CALL	DEFINED	1	0	0	0
GNC HLDGS INC	COM CL A	36191G107	8266	212100	SH	CALL	DEFINED	2	0	0	0
GOL LINHAS AEREAS INTLG S A	SP ADR REP PFD	38045R107	4059	707200	SH	PUT	DEFINED	2	0	0	0
GOL LINHAS AEREAS INTLG S A	SP ADR REP PFD	38045R107	174	30400	SH	CALL	DEFINED	2	0	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	3084	79906	SH		DEFINED	2	79906	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	560	14500	SH		DEFINED	9	14500	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	397	10290	SH		DEFINED	3	10290	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	965	25000	SH		DEFINED	"5,7"	25000	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	259	6700	SH	PUT	DEFINED	1	0	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	6182	160200	SH	PUT	DEFINED	2	0	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	7409	192000	SH	CALL	DEFINED	2	0	0	0
GOLAR LNG LTD BERMUDA	SHS	G9456A100	444	11500	SH	CALL	DEFINED	1	0	0	0
GOLAR LNG PARTNERS LP	COM UNIT LPI	Y2745C102	529	16511	SH		DEFINED	2	16511	0	0
GOLAR LNG PARTNERS LP	COM UNIT LPI	Y2745C102	859	26800	SH	PUT	DEFINED	2	0	0	0
GOLD FIELDS LTD NEW	SPONSORED ADR	38059T106	4096	318753	SH		DEFINED	3	318753	0	0
GOLD FIELDS LTD NEW	SPONSORED ADR	38059T106	6693	520853	SH		DEFINED	2	520853	0	0
GOLD FIELDS LTD NEW	SPONSORED ADR	38059T106	5122	398600	SH	PUT	DEFINED	2	0	0	0
GOLD FIELDS LTD NEW	SPONSORED ADR	38059T106	3856	300100	SH	PUT	DEFINED	3	0	0	0
GOLD FIELDS LTD NEW	SPONSORED ADR	38059T106	2728	212300	SH	CALL	DEFINED	2	0	0	0
GOLD FIELDS LTD NEW	SPONSORED ADR	38059T106	172	13400	SH	CALL	DEFINED	3	0	0	0
GOLD RESOURCE CORP	COM	38068T105	3784	176431	SH		DEFINED	2	176431	0	0
GOLD RESOURCE CORP	COM	38068T105	301	14050	SH		DEFINED	1	14050	0	0
GOLD RESOURCE CORP	COM	38068T105	3490	162700	SH	PUT	DEFINED	2	0	0	0
GOLD RESOURCE CORP	COM	38068T105	1244	58000	SH	CALL	DEFINED	2	0	0	0
GOLD RESV INC	CL A	38068N108	40	12336	SH		DEFINED	2	12336	0	0
GOLD RESV INC	CL A	38068N108	277	85635	SH		DEFINED	3	85635	0	0
GOLDCORP INC NEW	COM	380956409	934	20366	SH		DEFINED	1	20366	0	0
GOLDCORP INC NEW	COM	380956409	86548	1887632	SH		DEFINED	2	1887632	0	0
GOLDCORP INC NEW	COM	380956409	4328	94400	SH	PUT	DEFINED	1	0	0	0
GOLDCORP INC NEW	COM	380956409	88848	1937800	SH	PUT	DEFINED	2	0	0	0
GOLDCORP INC NEW	COM	380956409	90760	1979500	SH	CALL	DEFINED	2	0	0	0
GOLDCORP INC NEW	COM	380956409	8404	183300	SH	CALL	DEFINED	1	0	0	0
GOLDEN MINERALS CO	COM	381119106	1950	373499	SH		DEFINED	2	373499	0	0
GOLDEN MINERALS CO	COM	381119106	2141	410100	SH		DEFINED	"5,8"	410100	0	0
GOLDEN MINERALS CO	COM	381119106	64	12200	SH	PUT	DEFINED	1	0	0	0
GOLDEN MINERALS CO	COM	381119106	2268	434400	SH	PUT	DEFINED	2	0	0	0
GOLDEN MINERALS CO	COM	381119106	531	101800	SH	CALL	DEFINED	2	0	0	0
GOLDEN STAR RES LTD CDA	COM	38119T104	613	311120	SH		DEFINED	2	311120	0	0
GOLDEN STAR RES LTD CDA	COM	38119T104	236	119900	SH	PUT	DEFINED	2	0	0	0
GOLDEN STAR RES LTD CDA	COM	38119T104	197	100000	SH	CALL	DEFINED	2	0	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	7493	65914	SH		DEFINED	2	65914	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	608	5344	SH		DEFINED	1	5344	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	26845	236141	SH		DEFINED	3	236141	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	342268	3010800	SH	PUT	DEFINED	2	0	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	74040	651300	SH	PUT	DEFINED	1	0	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	330	2900	SH	PUT	DEFINED	3	0	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	208944	1838000	SH	CALL	DEFINED	2	0	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	80088	704500	SH	CALL	DEFINED	1	0	0	0
GOLDMAN SACHS GROUP INC	COM	38141G104	36775	323500	SH	CALL	DEFINED	3	0	0	0
GOODRICH PETE CORP	COM NEW	382410405	135	10698	SH		DEFINED	3	10698	0	0
GOODRICH PETE CORP	COM NEW	382410405	340	26869	SH		DEFINED	2	26869	0	0
GOODRICH PETE CORP	COM NEW	382410405	406	32100	SH	PUT	DEFINED	3	0	0	0
GOODRICH PETE CORP	COM NEW	382410405	600	47500	SH	PUT	DEFINED	2	0	0	0
GOODRICH PETE CORP	COM NEW	382410405	787	62300	SH	CALL	DEFINED	2	0	0	0
GOODYEAR TIRE & RUBR CO	COM	382550101	372	30532	SH		DEFINED	2	30532	0	0
GOODYEAR TIRE & RUBR CO	COM	382550101	14747	1209800	SH	PUT	DEFINED	2	0	0	0
GOODYEAR TIRE & RUBR CO	COM	382550101	12619	1035200	SH	CALL	DEFINED	2	0	0	0
GOOGLE INC	CL A	38259P508	130427	172866	SH		DEFINED	2	172866	0	0
GOOGLE INC	CL A	38259P508	66502	88140	SH		DEFINED	1	88140	0	0
GOOGLE INC	CL A	38259P508	561	744	SH		DEFINED	3	744	0	0
GOOGLE INC	CL A	38259P508	1860522	2465900	SH	PUT	DEFINED	2	0	0	0
GOOGLE INC	CL A	38259P508	1018575	1350000	SH	PUT	DEFINED	1	0	0	0
GOOGLE INC	CL A	38259P508	2264	3000	SH	PUT	DEFINED	3	0	0	0
GOOGLE INC	CL A	38259P508	2102414	2786500	SH	CALL	DEFINED	2	0	0	0
GOOGLE INC	CL A	38259P508	1469992	1948300	SH	CALL	DEFINED	1	0	0	0
GOOGLE INC	CL A	38259P508	3848	5100	SH	CALL	DEFINED	3	0	0	0
GORMAN RUPP CO	COM	383082104	708	26209	SH		DEFINED	3	26209	0	0
GOVERNMENT PPTYS INCOME TR	COM SHS BEN INT	38376A103	321	13700	SH	PUT	DEFINED	2	0	0	0
GOVERNMENT PPTYS INCOME TR	COM SHS BEN INT	38376A103	475	20300	SH	CALL	DEFINED	2	0	0	0
GPO AEROPORTUARIO DEL PAC SA	SPON ADR B	400506101	299	6900	SH		DEFINED	9	6900	0	0
GRACE W R & CO DEL NEW	COM	38388F108	1737	29400	SH		DEFINED	9	29400	0	0
GRACE W R & CO DEL NEW	COM	38388F108	378	6400	SH	PUT	DEFINED	1	0	0	0
GRACE W R & CO DEL NEW	COM	38388F108	8118	137400	SH	PUT	DEFINED	2	0	0	0
GRACE W R & CO DEL NEW	COM	38388F108	9063	153400	SH	CALL	DEFINED	2	0	0	0
GRACE W R & CO DEL NEW	COM	38388F108	857	14500	SH	CALL	DEFINED	1	0	0	0
GRACO INC	COM	384109104	367	7300	SH	CALL	DEFINED	2	0	0	0
GRAFTECH INTL LTD	COM	384313102	583	64870	SH		DEFINED	3	64870	0	0
GRAFTECH INTL LTD	COM	384313102	824	91613	SH		DEFINED	2	91613	0	0
GRAFTECH INTL LTD	COM	384313102	955	106200	SH	PUT	DEFINED	2	0	0	0
GRAFTECH INTL LTD	COM	384313102	559	62200	SH	CALL	DEFINED	3	0	0	0
GRAFTECH INTL LTD	COM	384313102	365	40600	SH	CALL	DEFINED	2	0	0	0
GRAINGER W W INC	COM	384802104	1805	8663	SH		DEFINED	2	8663	0	0
GRAINGER W W INC	COM	384802104	250	1200	SH		DEFINED	1	1200	0	0
GRAINGER W W INC	COM	384802104	1000	4799	SH		DEFINED	3	4799	0	0
GRAINGER W W INC	COM	384802104	4313	20700	SH	PUT	DEFINED	1	0	0	0
GRAINGER W W INC	COM	384802104	33923	162800	SH	PUT	DEFINED	2	0	0	0
GRAINGER W W INC	COM	384802104	417	2000	SH	CALL	DEFINED	1	0	0	0
GRAINGER W W INC	COM	384802104	23754	114000	SH	CALL	DEFINED	2	0	0	0
GRAMERCY CAP CORP	COM	384871109	105	34991	SH		DEFINED	2	34991	0	0
GRAMERCY CAP CORP	COM	384871109	309	102800	SH	PUT	DEFINED	2	0	0	0
GRAMERCY CAP CORP	COM	384871109	314	104400	SH	CALL	DEFINED	2	0	0	0
GRAN TIERRA ENERGY INC	COM	38500T101	215	41600	SH	PUT	DEFINED	2	0	0	0
GRAN TIERRA ENERGY INC	COM	38500T101	261	50400	SH	CALL	DEFINED	2	0	0	0
GRAN TIERRA ENERGY INC	COM	38500T101	77	14900	SH	CALL	DEFINED	1	0	0	0
GRAND CANYON ED INC	COM	38526M106	946	40200	SH	PUT	DEFINED	2	0	0	0
GRAND CANYON ED INC	COM	38526M106	805	34200	SH	CALL	DEFINED	2	0	0	0
GRANITE CONSTR INC	COM	387328107	1798	62600	SH		DEFINED	9	62600	0	0
GRANITE CONSTR INC	COM	387328107	258	8981	SH		DEFINED	3	8981	0	0
GRANITE CONSTR INC	COM	387328107	882	30700	SH	CALL	DEFINED	3	0	0	0
GRANITE CONSTR INC	COM	387328107	1600	55700	SH	CALL	DEFINED	2	0	0	0
GRANITE REAL ESTATE INC	COM	387431109	369	10283	SH		DEFINED	2	10283	0	0
GRAPHIC PACKAGING HLDG CO	COM	388689101	167	28795	SH		DEFINED	3	28795	0	0
GRAY TELEVISION INC	COM	389375106	879	385345	SH		DEFINED	3	385345	0	0
GRAY TELEVISION INC	COM	389375106	50	22039	SH		DEFINED	2	22039	0	0
GREAT LAKES DREDGE & DOCK CO	COM	390607109	85	11050	SH		DEFINED	2	11050	0	0
GREAT LAKES DREDGE & DOCK CO	COM	390607109	109	14100	SH	CALL	DEFINED	2	0	0	0
GREAT PANTHER SILVER LTD	COM	39115V101	267	116100	SH	PUT	DEFINED	2	0	0	0
GREAT PANTHER SILVER LTD	COM	39115V101	23	10100	SH	CALL	DEFINED	2	0	0	0
GREAT PLAINS ENERGY INC	COM	391164100	280	12600	SH	CALL	DEFINED	2	0	0	0
GREEN DOT CORP	CL A	39304D102	238	19483	SH		DEFINED	2	19483	0	0
GREEN DOT CORP	CL A	39304D102	163	13300	SH	PUT	DEFINED	1	0	0	0
GREEN DOT CORP	CL A	39304D102	972	79500	SH	PUT	DEFINED	2	0	0	0
GREEN DOT CORP	CL A	39304D102	640	52300	SH	CALL	DEFINED	2	0	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	236	9944	SH		DEFINED	3	9944	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	10847	456731	SH		DEFINED	1	456731	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	21808	918240	SH		DEFINED	2	918240	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	31101	1309500	SH	PUT	DEFINED	1	0	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	76648	3227300	SH	PUT	DEFINED	2	0	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	13046	549300	SH	CALL	DEFINED	1	0	0	0
GREEN MTN COFFEE ROASTERS IN	COM	393122106	51815	2181700	SH	CALL	DEFINED	2	0	0	0
GREEN PLAINS RENEWABLE ENERG	NOTE   5.750%11/0	393222AB0	1566	2000000	PRN		DEFINED	"5,8"	0	0	0
GREENBRIER COS INC	COM	393657101	405	25100	SH	PUT	DEFINED	2	0	0	0
GREENBRIER COS INC	COM	393657101	475	29400	SH	CALL	DEFINED	2	0	0	0
GREENHAVEN CONT CMDTY INDEX	UNIT BEN INT	395258106	450	14752	SH		DEFINED	3	14752	0	0
GREENHILL & CO INC	COM	395259104	4187	80900	SH		DEFINED	9	80900	0	0
GREENHILL & CO INC	COM	395259104	1131	21847	SH		DEFINED	3	21847	0	0
GREENHILL & CO INC	COM	395259104	373	7200	SH	PUT	DEFINED	2	0	0	0
GREENHILL & CO INC	COM	395259104	626	12100	SH	CALL	DEFINED	2	0	0	0
GREIF INC	CL A	397624107	539	12211	SH		DEFINED	2	12211	0	0
GREIF INC	CL A	397624107	391	8852	SH		DEFINED	3	8852	0	0
GREIF INC	CL A	397624107	786	17800	SH	PUT	DEFINED	2	0	0	0
GREIF INC	CL A	397624107	269	6100	SH	CALL	DEFINED	2	0	0	0
GROUP 1 AUTOMOTIVE INC	COM	398905109	476	7904	SH		DEFINED	3	7904	0	0
GROUP 1 AUTOMOTIVE INC	COM	398905109	2469	41000	SH	PUT	DEFINED	2	0	0	0
GROUP 1 AUTOMOTIVE INC	COM	398905109	1560	25900	SH	CALL	DEFINED	2	0	0	0
GROUPON INC	COM CL A	399473107	335	70377	SH		DEFINED	2	70377	0	0
GROUPON INC	COM CL A	399473107	239	50304	SH		DEFINED	3	50304	0	0
GROUPON INC	COM CL A	399473107	3415	717500	SH	PUT	DEFINED	2	0	0	0
GROUPON INC	COM CL A	399473107	182	38200	SH	PUT	DEFINED	1	0	0	0
GROUPON INC	COM CL A	399473107	6010	1262600	SH	CALL	DEFINED	2	0	0	0
GROUPON INC	COM CL A	399473107	167	35100	SH	CALL	DEFINED	1	0	0	0
GRUPO AEROPORTUARIO DEL SURE	SPON ADR SER B	40051E202	1143	12900	SH	PUT	DEFINED	2	0	0	0
GRUPO AEROPORTUARIO DEL SURE	SPON ADR SER B	40051E202	452	5100	SH	CALL	DEFINED	2	0	0	0
GRUPO SIMEC S A B DE C V	ADR	400491106	159	13100	SH	CALL	DEFINED	2	0	0	0
GSV CAP CORP	COM	36191J101	1076	124704	SH		DEFINED	2	124704	0	0
GSV CAP CORP	COM	36191J101	1368	158500	SH	PUT	DEFINED	2	0	0	0
GSV CAP CORP	COM	36191J101	850	98500	SH	CALL	DEFINED	2	0	0	0
GT ADVANCED TECHNOLOGIES INC	COM	36191U106	119	21770	SH		DEFINED	3	21770	0	0
GT ADVANCED TECHNOLOGIES INC	COM	36191U106	859	157592	SH		DEFINED	2	157592	0	0
GT ADVANCED TECHNOLOGIES INC	COM	36191U106	896	164400	SH	PUT	DEFINED	2	0	0	0
GT ADVANCED TECHNOLOGIES INC	COM	36191U106	304	55700	SH	CALL	DEFINED	2	0	0	0
GTX INC DEL	COM	40052B108	49	10700	SH	CALL	DEFINED	2	0	0	0
GUANGSHEN RY LTD	SPONSORED ADR	40065W107	273	17269	SH		DEFINED	3	17269	0	0
GUARANTY BANCORP DEL	COM	40075T102	79	39291	SH		DEFINED	3	39291	0	0
GUARANTY BANCORP DEL	COM	40075T102	30	14958	SH		DEFINED	2	14958	0	0
GUESS INC	COM	401617105	2997	117898	SH		DEFINED	2	117898	0	0
GUESS INC	COM	401617105	416	16365	SH		DEFINED	3	16365	0	0
GUESS INC	COM	401617105	475	18700	SH	PUT	DEFINED	1	0	0	0
GUESS INC	COM	401617105	11922	469000	SH	PUT	DEFINED	2	0	0	0
GUESS INC	COM	401617105	7072	278200	SH	CALL	DEFINED	2	0	0	0
GUESS INC	COM	401617105	697	27400	SH	CALL	DEFINED	1	0	0	0
GUIDEWIRE SOFTWARE INC	COM	40171V100	571	18400	SH	PUT	DEFINED	2	0	0	0
GUIDEWIRE SOFTWARE INC	COM	40171V100	683	22000	SH	CALL	DEFINED	2	0	0	0
GULF ISLAND FABRICATION INC	COM	402307102	548	19662	SH		DEFINED	3	19662	0	0
GULF ISLAND FABRICATION INC	COM	402307102	582	20900	SH	PUT	DEFINED	2	0	0	0
GULF RESOURCES INC	COM PAR $0.0005	40251W309	30	26710	SH		DEFINED	2	26710	0	0
GULF RESOURCES INC	COM PAR $0.0005	40251W309	16	14100	SH	PUT	DEFINED	2	0	0	0
GULFMARK OFFSHORE INC	CL A NEW	402629208	2977	90100	SH	PUT	DEFINED	2	0	0	0
GULFPORT ENERGY CORP	COM NEW	402635304	1270	40626	SH		DEFINED	2	40626	0	0
GULFPORT ENERGY CORP	COM NEW	402635304	2929	93700	SH	PUT	DEFINED	2	0	0	0
GULFPORT ENERGY CORP	COM NEW	402635304	231	7400	SH	PUT	DEFINED	1	0	0	0
GULFPORT ENERGY CORP	COM NEW	402635304	2057	65800	SH	CALL	DEFINED	2	0	0	0
H & E EQUIPMENT SERVICES INC	COM	404030108	618	51025	SH		DEFINED	"5,7"	51025	0	0
H & E EQUIPMENT SERVICES INC	COM	404030108	561	46300	SH	CALL	DEFINED	2	0	0	0
HAEMONETICS CORP	COM	405024100	577	7200	SH	PUT	DEFINED	2	0	0	0
HAIN CELESTIAL GROUP INC	COM	405217100	411	6526	SH		DEFINED	2	6526	0	0
HAIN CELESTIAL GROUP INC	COM	405217100	334	5300	SH	PUT	DEFINED	1	0	0	0
HAIN CELESTIAL GROUP INC	COM	405217100	6710	106500	SH	PUT	DEFINED	2	0	0	0
HAIN CELESTIAL GROUP INC	COM	405217100	6054	96100	SH	CALL	DEFINED	2	0	0	0
HALCON RES CORP	COM NEW	40537Q209	88	12000	SH		DEFINED	1	12000	0	0
HALCON RES CORP	COM NEW	40537Q209	1222	166698	SH		DEFINED	3	166698	0	0
HALCON RES CORP	COM NEW	40537Q209	2982	406869	SH		DEFINED	2	406869	0	0
HALCON RES CORP	COM NEW	40537Q209	2128	290300	SH	PUT	DEFINED	2	0	0	0
HALCON RES CORP	COM NEW	40537Q209	257	35100	SH	PUT	DEFINED	1	0	0	0
HALCON RES CORP	COM NEW	40537Q209	932	127100	SH	CALL	DEFINED	2	0	0	0
HALCON RES CORP	COM NEW	40537Q209	195	26600	SH	CALL	DEFINED	1	0	0	0
HALLIBURTON CO	COM	406216101	7373	218848	SH		DEFINED	1	218848	0	0
HALLIBURTON CO	COM	406216101	54451	1616230	SH		DEFINED	2	1616230	0	0
HALLIBURTON CO	COM	406216101	1168	34674	SH		DEFINED	3	34674	0	0
HALLIBURTON CO	COM	406216101	11522	342000	SH	PUT	DEFINED	1	0	0	0
HALLIBURTON CO	COM	406216101	8423	250000	SH	PUT	DEFINED	3	0	0	0
HALLIBURTON CO	COM	406216101	128382	3810700	SH	PUT	DEFINED	2	0	0	0
HALLIBURTON CO	COM	406216101	15474	459300	SH	CALL	DEFINED	1	0	0	0
HALLIBURTON CO	COM	406216101	8423	250000	SH	CALL	DEFINED	3	0	0	0
HALLIBURTON CO	COM	406216101	78963	2343800	SH	CALL	DEFINED	2	0	0	0
HALOZYME THERAPEUTICS INC	COM	40637H109	922	122316	SH		DEFINED	2	122316	0	0
HALOZYME THERAPEUTICS INC	COM	40637H109	1135	150500	SH	PUT	DEFINED	2	0	0	0
HALOZYME THERAPEUTICS INC	COM	40637H109	143	19000	SH	PUT	DEFINED	1	0	0	0
HALOZYME THERAPEUTICS INC	COM	40637H109	613	81300	SH	CALL	DEFINED	2	0	0	0
HALOZYME THERAPEUTICS INC	COM	40637H109	88	11700	SH	CALL	DEFINED	1	0	0	0
HAMPTON ROADS BANKSHARES INC	COM NEW	409321502	19	12905	SH		DEFINED	2	12905	0	0
HAMPTON ROADS BANKSHARES INC	COM NEW	409321502	41	27389	SH		DEFINED	3	27389	0	0
HAMPTON ROADS BANKSHARES INC	COM NEW	409321502	75	49794	SH		DEFINED	4	49794	0	0
HANESBRANDS INC	COM	410345102	893	28000	SH	PUT	DEFINED	2	0	0	0
HANESBRANDS INC	COM	410345102	2738	85900	SH	CALL	DEFINED	2	0	0	0
HANSEN MEDICAL INC	COM	411307101	56	28527	SH		DEFINED	2	28527	0	0
HANSEN MEDICAL INC	COM	411307101	30	15400	SH	PUT	DEFINED	2	0	0	0
HANWHA SOLARONE CO LTD	SPONSORED ADR	41135V103	20	18586	SH		DEFINED	2	18586	0	0
HANWHA SOLARONE CO LTD	SPONSORED ADR	41135V103	30	27500	SH	PUT	DEFINED	2	0	0	0
HANWHA SOLARONE CO LTD	SPONSORED ADR	41135V103	41	37400	SH	CALL	DEFINED	2	0	0	0
HARBINGER GROUP INC	COM	41146A106	127	15030	SH		DEFINED	3	15030	0	0
HARLEY DAVIDSON INC	COM	412822108	627	14804	SH		DEFINED	2	14804	0	0
HARLEY DAVIDSON INC	COM	412822108	230	5438	SH		DEFINED	1	5438	0	0
HARLEY DAVIDSON INC	COM	412822108	321	7574	SH		DEFINED	3	7574	0	0
HARLEY DAVIDSON INC	COM	412822108	1301	30700	SH	PUT	DEFINED	1	0	0	0
HARLEY DAVIDSON INC	COM	412822108	11499	271400	SH	PUT	DEFINED	2	0	0	0
HARLEY DAVIDSON INC	COM	412822108	1775	41900	SH	CALL	DEFINED	1	0	0	0
HARLEY DAVIDSON INC	COM	412822108	14923	352200	SH	CALL	DEFINED	2	0	0	0
HARMAN INTL INDS INC	COM	413086109	3000	64992	SH		DEFINED	2	64992	0	0
HARMAN INTL INDS INC	COM	413086109	206	4471	SH		DEFINED	3	4471	0	0
HARMAN INTL INDS INC	COM	413086109	1643	35600	SH	PUT	DEFINED	2	0	0	0
HARMAN INTL INDS INC	COM	413086109	628	13600	SH	CALL	DEFINED	2	0	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	1509	179390	SH		DEFINED	2	179390	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	3208	381425	SH		DEFINED	3	381425	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	96	11400	SH		DEFINED	1	11400	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	2479	294800	SH	PUT	DEFINED	3	0	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	1009	120000	SH	PUT	DEFINED	2	0	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	350	41600	SH	PUT	DEFINED	1	0	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	1834	218100	SH	CALL	DEFINED	2	0	0	0
HARMONY GOLD MNG LTD	SPONSORED ADR	413216300	130	15400	SH	CALL	DEFINED	1	0	0	0
HARRIS CORP DEL	COM	413875105	520	10160	SH		DEFINED	2	10160	0	0
HARRIS CORP DEL	COM	413875105	287	5600	SH	PUT	DEFINED	2	0	0	0
HARRIS CORP DEL	COM	413875105	2689	52500	SH	CALL	DEFINED	2	0	0	0
HARRY WINSTON DIAMOND CORP	COM	41587B100	490	41400	SH	PUT	DEFINED	2	0	0	0
HARSCO CORP	COM	415864107	552	26900	SH	CALL	DEFINED	2	0	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	2935	150977	SH		DEFINED	2	150977	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	322	16573	SH		DEFINED	1	16573	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	799	41120	SH		DEFINED	3	41120	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	2797	143900	SH	PUT	DEFINED	1	0	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	32373	1665300	SH	PUT	DEFINED	2	0	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	14038	722100	SH	CALL	DEFINED	2	0	0	0
HARTFORD FINL SVCS GROUP INC	COM	416515104	1872	96300	SH	CALL	DEFINED	1	0	0	0
HARTFORD FINL SVCS GROUP INC	*W EXP 06/26/201	416515120	164196	14712861	SH		DEFINED	"5,7"	14712861	0	0
HARVEST NATURAL RESOURCES IN	COM	41754V103	2358	264403	SH		DEFINED	2	264403	0	0
HARVEST NATURAL RESOURCES IN	COM	41754V103	93	10433	SH		DEFINED	1	10433	0	0
HARVEST NATURAL RESOURCES IN	COM	41754V103	216	24200	SH	PUT	DEFINED	1	0	0	0
HARVEST NATURAL RESOURCES IN	COM	41754V103	2017	226100	SH	PUT	DEFINED	2	0	0	0
HARVEST NATURAL RESOURCES IN	COM	41754V103	812	91000	SH	CALL	DEFINED	2	0	0	0
HARVEST NATURAL RESOURCES IN	COM	41754V103	170	19100	SH	CALL	DEFINED	3	0	0	0
HASBRO INC	COM	418056107	379	9938	SH		DEFINED	2	9938	0	0
HASBRO INC	COM	418056107	782	20500	SH	PUT	DEFINED	1	0	0	0
HASBRO INC	COM	418056107	4519	118400	SH	PUT	DEFINED	2	0	0	0
HASBRO INC	COM	418056107	7336	192200	SH	CALL	DEFINED	2	0	0	0
HASBRO INC	COM	418056107	653	17100	SH	CALL	DEFINED	1	0	0	0
HATTERAS FINL CORP	COM	41902R103	440	15594	SH		DEFINED	2	15594	0	0
HATTERAS FINL CORP	COM	41902R103	251	8898	SH		DEFINED	3	8898	0	0
HATTERAS FINL CORP	COM	41902R103	1889	67000	SH	PUT	DEFINED	1	0	0	0
HATTERAS FINL CORP	COM	41902R103	5582	198000	SH	PUT	DEFINED	2	0	0	0
HATTERAS FINL CORP	COM	41902R103	964	34200	SH	CALL	DEFINED	1	0	0	0
HATTERAS FINL CORP	COM	41902R103	2718	96400	SH	CALL	DEFINED	2	0	0	0
HAWAIIAN ELEC INDUSTRIES	COM	419870100	1781	67700	SH		DEFINED	9	67700	0	0
HAWAIIAN ELEC INDUSTRIES	COM	419870100	210	8000	SH	PUT	DEFINED	2	0	0	0
HAWAIIAN HOLDINGS INC	COM	419879101	88	15716	SH		DEFINED	2	15716	0	0
HAWAIIAN HOLDINGS INC	COM	419879101	158	28300	SH	PUT	DEFINED	2	0	0	0
HAWAIIAN HOLDINGS INC	COM	419879101	254	45400	SH	CALL	DEFINED	2	0	0	0
HAYNES INTERNATIONAL INC	COM NEW	420877201	402	7700	SH	PUT	DEFINED	2	0	0	0
HAYNES INTERNATIONAL INC	COM NEW	420877201	375	7200	SH	CALL	DEFINED	2	0	0	0
HCA HOLDINGS INC	COM	40412C101	2735	82252	SH		DEFINED	2	82252	0	0
HCA HOLDINGS INC	COM	40412C101	16023	481900	SH		DEFINED	9	481900	0	0
HCA HOLDINGS INC	COM	40412C101	4286	128900	SH	PUT	DEFINED	2	0	0	0
HCA HOLDINGS INC	COM	40412C101	26909	809300	SH	CALL	DEFINED	2	0	0	0
HCA HOLDINGS INC	COM	40412C101	608	18300	SH	CALL	DEFINED	1	0	0	0
HCC INS HLDGS INC	COM	404132102	2206	65100	SH		DEFINED	9	65100	0	0
HCP INC	COM	40414L109	4488	100900	SH		DEFINED	9	100900	0	0
HCP INC	COM	40414L109	1529	34379	SH		DEFINED	3	34379	0	0
HCP INC	COM	40414L109	1860	41826	SH		DEFINED	2	41826	0	0
HCP INC	COM	40414L109	498	11200	SH	PUT	DEFINED	2	0	0	0
HCP INC	COM	40414L109	405	9100	SH	CALL	DEFINED	1	0	0	0
HCP INC	COM	40414L109	5471	123000	SH	CALL	DEFINED	2	0	0	0
HDFC BANK LTD	ADR REPS 3 SHS	40415F101	450	11970	SH		DEFINED	3	11970	0	0
HDFC BANK LTD	ADR REPS 3 SHS	40415F101	590	15700	SH	PUT	DEFINED	2	0	0	0
HDFC BANK LTD	ADR REPS 3 SHS	40415F101	1308	34800	SH	CALL	DEFINED	2	0	0	0
HEADWATERS INC	COM	42210P102	382	57985	SH		DEFINED	9	57985	0	0
HEADWATERS INC	COM	42210P102	165	25029	SH		DEFINED	2	25029	0	0
HEADWATERS INC	COM	42210P102	199	30300	SH	PUT	DEFINED	2	0	0	0
HEADWATERS INC	COM	42210P102	1709	259800	SH	CALL	DEFINED	2	0	0	0
HEALTH CARE REIT INC	COM	42217K106	1329	23015	SH		DEFINED	3	23015	0	0
HEALTH CARE REIT INC	COM	42217K106	2666	46162	SH		DEFINED	2	46162	0	0
HEALTH CARE REIT INC	COM	42217K106	9656	167200	SH	PUT	DEFINED	2	0	0	0
HEALTH CARE REIT INC	COM	42217K106	895	15500	SH	PUT	DEFINED	3	0	0	0
HEALTH CARE REIT INC	COM	42217K106	12064	208900	SH	CALL	DEFINED	2	0	0	0
HEALTH CARE REIT INC	COM	42217K106	502	8700	SH	CALL	DEFINED	1	0	0	0
HEALTH MGMT ASSOC INC NEW	CL A	421933102	476	56700	SH	PUT	DEFINED	2	0	0	0
HEALTH MGMT ASSOC INC NEW	CL A	421933102	2266	270100	SH	CALL	DEFINED	2	0	0	0
HEALTH NET INC	COM	42222G108	200	8900	SH	PUT	DEFINED	1	0	0	0
HEALTH NET INC	COM	42222G108	648	28800	SH	PUT	DEFINED	2	0	0	0
HEALTH NET INC	COM	42222G108	230	10200	SH	CALL	DEFINED	1	0	0	0
HEALTH NET INC	COM	42222G108	3194	141900	SH	CALL	DEFINED	2	0	0	0
HEALTHCARE RLTY TR	COM	421946104	632	27400	SH	CALL	DEFINED	2	0	0	0
HEALTHSOUTH CORP	COM NEW	421924309	342	14200	SH	CALL	DEFINED	2	0	0	0
HEALTHWAYS INC	COM	422245100	498	42522	SH		DEFINED	2	42522	0	0
HEARTLAND EXPRESS INC	COM	422347104	877	65679	SH		DEFINED	3	65679	0	0
HEARTWARE INTL INC	COM	422368100	4413	46700	SH	PUT	DEFINED	2	0	0	0
HEARTWARE INTL INC	COM	422368100	1153	12200	SH	CALL	DEFINED	2	0	0	0
HECKMANN CORP	COM	422680108	3999	952115	SH		DEFINED	2	952115	0	0
HECKMANN CORP	COM	422680108	495	117787	SH		DEFINED	3	117787	0	0
HECKMANN CORP	COM	422680108	4342	1033900	SH	PUT	DEFINED	2	0	0	0
HECKMANN CORP	COM	422680108	349	83100	SH	PUT	DEFINED	1	0	0	0
HECKMANN CORP	COM	422680108	1635	389400	SH	CALL	DEFINED	2	0	0	0
HECKMANN CORP	COM	422680108	325	77300	SH	CALL	DEFINED	1	0	0	0
HECLA MNG CO	COM	422704106	13561	2070380	SH		DEFINED	2	2070380	0	0
HECLA MNG CO	COM	422704106	381	58219	SH		DEFINED	3	58219	0	0
HECLA MNG CO	COM	422704106	20684	3157800	SH	PUT	DEFINED	2	0	0	0
HECLA MNG CO	COM	422704106	5203	794400	SH	CALL	DEFINED	2	0	0	0
HECLA MNG CO	COM	422704106	419	63900	SH	CALL	DEFINED	1	0	0	0
HEICO CORP NEW	CL A	422806208	699	22896	SH		DEFINED	3	22896	0	0
HEIDRICK & STRUGGLES INTL IN	COM	422819102	156	12224	SH		DEFINED	2	12224	0	0
HEIDRICK & STRUGGLES INTL IN	COM	422819102	156	12232	SH		DEFINED	3	12232	0	0
HEIDRICK & STRUGGLES INTL IN	COM	422819102	368	28900	SH	PUT	DEFINED	2	0	0	0
HEINZ H J CO	COM	423074103	16680	298119	SH		DEFINED	2	298119	0	0
HEINZ H J CO	COM	423074103	18754	335200	SH	PUT	DEFINED	2	0	0	0
HEINZ H J CO	COM	423074103	33447	597800	SH	CALL	DEFINED	2	0	0	0
HELEN OF TROY CORP LTD	COM	G4388N106	245	7700	SH	PUT	DEFINED	1	0	0	0
HELEN OF TROY CORP LTD	COM	G4388N106	541	17000	SH	PUT	DEFINED	2	0	0	0
HELEN OF TROY CORP LTD	COM	G4388N106	1184	37200	SH	CALL	DEFINED	2	0	0	0
HELEN OF TROY CORP LTD	COM	G4388N106	296	9300	SH	CALL	DEFINED	1	0	0	0
HELIX ENERGY SOLUTIONS GRP I	COM	42330P107	1132	61971	SH		DEFINED	2	61971	0	0
HELIX ENERGY SOLUTIONS GRP I	COM	42330P107	1193	65300	SH	PUT	DEFINED	2	0	0	0
HELIX ENERGY SOLUTIONS GRP I	COM	42330P107	1266	69300	SH	CALL	DEFINED	2	0	0	0
HELMERICH & PAYNE INC	COM	423452101	2054	43137	SH		DEFINED	2	43137	0	0
HELMERICH & PAYNE INC	COM	423452101	473	9936	SH		DEFINED	1	9936	0	0
HELMERICH & PAYNE INC	COM	423452101	10141	213000	SH	PUT	DEFINED	2	0	0	0
HELMERICH & PAYNE INC	COM	423452101	205	4300	SH	PUT	DEFINED	1	0	0	0
HELMERICH & PAYNE INC	COM	423452101	3038	63800	SH	CALL	DEFINED	2	0	0	0
HELMERICH & PAYNE INC	COM	423452101	205	4300	SH	CALL	DEFINED	1	0	0	0
HENRY JACK & ASSOC INC	COM	426281101	900	23743	SH		DEFINED	3	23743	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	2299	48493	SH		DEFINED	3	48493	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	14361	302978	SH		DEFINED	2	302978	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	1830	38610	SH		DEFINED	1	38610	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	37953	800700	SH	PUT	DEFINED	2	0	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	11897	251000	SH	PUT	DEFINED	3	0	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	16088	339400	SH	PUT	DEFINED	1	0	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	11087	233900	SH	CALL	DEFINED	1	0	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	2280	48100	SH	CALL	DEFINED	3	0	0	0
HERBALIFE LTD	COM USD SHS	G4412G101	19955	421000	SH	CALL	DEFINED	2	0	0	0
HERCULES OFFSHORE INC	COM	427093109	396	81200	SH	PUT	DEFINED	2	0	0	0
HERCULES OFFSHORE INC	COM	427093109	907	185900	SH	CALL	DEFINED	2	0	0	0
HERCULES OFFSHORE INC	COM	427093109	53	10900	SH	CALL	DEFINED	1	0	0	0
HERCULES TECH GROWTH CAP INC	COM	427096508	157	14300	SH	PUT	DEFINED	2	0	0	0
HERCULES TECH GROWTH CAP INC	COM	427096508	187	17000	SH	CALL	DEFINED	2	0	0	0
HERSHA HOSPITALITY TR	SH BEN INT A	427825104	86	17566	SH		DEFINED	3	17566	0	0
HERSHA HOSPITALITY TR	SH BEN INT A	427825104	159	32500	SH	PUT	DEFINED	2	0	0	0
HERSHA HOSPITALITY TR	SH BEN INT A	427825104	380	77500	SH	CALL	DEFINED	2	0	0	0
HERSHEY CO	COM	427866108	1425	20100	SH		DEFINED	9	20100	0	0
HERSHEY CO	COM	427866108	6472	91302	SH		DEFINED	2	91302	0	0
HERSHEY CO	COM	427866108	362	5100	SH		DEFINED	1	5100	0	0
HERSHEY CO	COM	427866108	1021	14400	SH	PUT	DEFINED	1	0	0	0
HERSHEY CO	COM	427866108	4509	63600	SH	PUT	DEFINED	2	0	0	0
HERSHEY CO	COM	427866108	2424	34200	SH	CALL	DEFINED	2	0	0	0
HERSHEY CO	COM	427866108	1120	15800	SH	CALL	DEFINED	1	0	0	0
HERTZ GLOBAL HOLDINGS INC	COM	42805T105	3624	263975	SH		DEFINED	2	263975	0	0
HERTZ GLOBAL HOLDINGS INC	COM	42805T105	14513	1057010	SH		DEFINED	9	1057010	0	0
HERTZ GLOBAL HOLDINGS INC	COM	42805T105	7184	523200	SH	PUT	DEFINED	2	0	0	0
HERTZ GLOBAL HOLDINGS INC	COM	42805T105	244	17800	SH	PUT	DEFINED	1	0	0	0
HERTZ GLOBAL HOLDINGS INC	COM	42805T105	3559	259200	SH	CALL	DEFINED	2	0	0	0
HESS CORP	COM	42809H107	1756	32696	SH		DEFINED	3	32696	0	0
HESS CORP	COM	42809H107	14730	274201	SH		DEFINED	2	274201	0	0
HESS CORP	COM	42809H107	1296	24125	SH		DEFINED	1	24125	0	0
HESS CORP	COM	42809H107	59742	1112100	SH	PUT	DEFINED	2	0	0	0
HESS CORP	COM	42809H107	11362	211500	SH	PUT	DEFINED	1	0	0	0
HESS CORP	COM	42809H107	8837	164500	SH	CALL	DEFINED	1	0	0	0
HESS CORP	COM	42809H107	72479	1349200	SH	CALL	DEFINED	2	0	0	0
HEWLETT PACKARD CO	COM	428236103	919	53857	SH		DEFINED	1	53857	0	0
HEWLETT PACKARD CO	COM	428236103	75942	4451490	SH		DEFINED	2	4451490	0	0
HEWLETT PACKARD CO	COM	428236103	111081	6511200	SH	PUT	DEFINED	2	0	0	0
HEWLETT PACKARD CO	COM	428236103	4292	251600	SH	PUT	DEFINED	1	0	0	0
HEWLETT PACKARD CO	COM	428236103	843	49400	SH	PUT	DEFINED	3	0	0	0
HEWLETT PACKARD CO	COM	428236103	5130	300700	SH	CALL	DEFINED	1	0	0	0
HEWLETT PACKARD CO	COM	428236103	28816	1689100	SH	CALL	DEFINED	2	0	0	0
HEWLETT PACKARD CO	COM	428236103	1962	115000	SH	CALL	DEFINED	3	0	0	0
HEXCEL CORP NEW	COM	428291108	495	20600	SH	PUT	DEFINED	2	0	0	0
HEXCEL CORP NEW	COM	428291108	1338	55700	SH	CALL	DEFINED	2	0	0	0
HEXCEL CORP NEW	COM	428291108	240	10000	SH	CALL	DEFINED	1	0	0	0
HHGREGG INC	COM	42833L108	126	18200	SH		DEFINED	2	18200	0	0
HHGREGG INC	COM	42833L108	884	128100	SH	PUT	DEFINED	2	0	0	0
HHGREGG INC	COM	42833L108	492	71300	SH	CALL	DEFINED	2	0	0	0
HI-TECH PHARMACAL INC	COM	42840B101	1242	37500	SH	PUT	DEFINED	2	0	0	0
HI-TECH PHARMACAL INC	COM	42840B101	1185	35800	SH	CALL	DEFINED	2	0	0	0
HIBBETT SPORTS INC	COM	428567101	886	14900	SH	PUT	DEFINED	2	0	0	0
HIBBETT SPORTS INC	COM	428567101	505	8500	SH	CALL	DEFINED	2	0	0	0
HIGHER ONE HLDGS INC	COM	42983D104	191	14155	SH		DEFINED	2	14155	0	0
HIGHWOODS PPTYS INC	COM	431284108	271	8300	SH	PUT	DEFINED	2	0	0	0
HIGHWOODS PPTYS INC	COM	431284108	672	20600	SH	CALL	DEFINED	2	0	0	0
HILLENBRAND INC	COM	431571108	711	39100	SH	PUT	DEFINED	2	0	0	0
HILLENBRAND INC	COM	431571108	1188	65300	SH	CALL	DEFINED	2	0	0	0
HILLSHIRE BRANDS CO	COM	432589109	299	11158	SH		DEFINED	2	11158	0	0
HILLSHIRE BRANDS CO	COM	432589109	4911	183400	SH	PUT	DEFINED	2	0	0	0
HILLSHIRE BRANDS CO	COM	432589109	15457	577200	SH	CALL	DEFINED	2	0	0	0
HIMAX TECHNOLOGIES INC	SPONSORED ADR	43289P106	71	36300	SH	CALL	DEFINED	2	0	0	0
HITTITE MICROWAVE CORP	COM	43365Y104	378	6815	SH		DEFINED	3	6815	0	0
HITTITE MICROWAVE CORP	COM	43365Y104	297	5359	SH		DEFINED	2	5359	0	0
HITTITE MICROWAVE CORP	COM	43365Y104	322	5800	SH	CALL	DEFINED	2	0	0	0
HMS HLDGS CORP	COM	40425J101	911	27255	SH		DEFINED	2	27255	0	0
HNI CORP	COM	404251100	630	24700	SH		DEFINED	9	24700	0	0
HOLLY ENERGY PARTNERS L P	COM UT LTD PTN	435763107	1386	20853	SH		DEFINED	2	20853	0	0
HOLLY ENERGY PARTNERS L P	COM UT LTD PTN	435763107	266	4000	SH	CALL	DEFINED	2	0	0	0
HOLLYFRONTIER CORP	COM	436106108	497	12037	SH		DEFINED	1	12037	0	0
HOLLYFRONTIER CORP	COM	436106108	244	5913	SH		DEFINED	3	5913	0	0
HOLLYFRONTIER CORP	COM	436106108	2777	67300	SH		DEFINED	9	67300	0	0
HOLLYFRONTIER CORP	COM	436106108	1544	37417	SH		DEFINED	2	37417	0	0
HOLLYFRONTIER CORP	COM	436106108	248	6000	SH	PUT	DEFINED	3	0	0	0
HOLLYFRONTIER CORP	COM	436106108	11362	275300	SH	PUT	DEFINED	1	0	0	0
HOLLYFRONTIER CORP	COM	436106108	22236	538800	SH	PUT	DEFINED	2	0	0	0
HOLLYFRONTIER CORP	COM	436106108	3504	84900	SH	CALL	DEFINED	1	0	0	0
HOLLYFRONTIER CORP	COM	436106108	8271	200400	SH	CALL	DEFINED	2	0	0	0
HOLLYSYS AUTOMATION TECHNOLO	SHS	G45667105	166	17000	SH	PUT	DEFINED	2	0	0	0
HOLLYSYS AUTOMATION TECHNOLO	SHS	G45667105	132	13500	SH	CALL	DEFINED	2	0	0	0
HOLOGIC INC	COM	436440101	206	10196	SH		DEFINED	3	10196	0	0
HOLOGIC INC	COM	436440101	924	45647	SH		DEFINED	2	45647	0	0
HOLOGIC INC	COM	436440101	1065	52600	SH	PUT	DEFINED	2	0	0	0
HOLOGIC INC	COM	436440101	939	46400	SH	CALL	DEFINED	2	0	0	0
HOME DEPOT INC	COM	437076102	3061	50703	SH		DEFINED	3	50703	0	0
HOME DEPOT INC	COM	437076102	22603	374403	SH		DEFINED	2	374403	0	0
HOME DEPOT INC	COM	437076102	6241	103383	SH		DEFINED	1	103383	0	0
HOME DEPOT INC	COM	437076102	14006	232000	SH	PUT	DEFINED	1	0	0	0
HOME DEPOT INC	COM	437076102	64191	1063300	SH	PUT	DEFINED	2	0	0	0
HOME DEPOT INC	COM	437076102	4322	71600	SH	CALL	DEFINED	1	0	0	0
HOME DEPOT INC	COM	437076102	53162	880600	SH	CALL	DEFINED	2	0	0	0
HOME INNS & HOTELS MGMT INC	SPON ADR	43713W107	640	25800	SH	PUT	DEFINED	2	0	0	0
HOME INNS & HOTELS MGMT INC	SPON ADR	43713W107	439	17700	SH	CALL	DEFINED	2	0	0	0
HOME INNS & HOTELS MGMT INC	SPON ADR	43713W107	278	11200	SH	CALL	DEFINED	1	0	0	0
HOME PROPERTIES INC	COM	437306103	268	4374	SH		DEFINED	3	4374	0	0
HOME PROPERTIES INC	COM	437306103	361	5900	SH	PUT	DEFINED	2	0	0	0
HOME PROPERTIES INC	COM	437306103	2144	35000	SH	CALL	DEFINED	2	0	0	0
HOMEAWAY INC	COM	43739Q100	225	9600	SH	PUT	DEFINED	2	0	0	0
HOMEAWAY INC	COM	43739Q100	5926	252700	SH	CALL	DEFINED	2	0	0	0
HONDA MOTOR LTD	AMERN SHS	438128308	647	20931	SH		DEFINED	3	20931	0	0
HONDA MOTOR LTD	AMERN SHS	438128308	700	22650	SH		DEFINED	2	22650	0	0
HONDA MOTOR LTD	AMERN SHS	438128308	565	18300	SH	PUT	DEFINED	2	0	0	0
HONDA MOTOR LTD	AMERN SHS	438128308	924	29900	SH	CALL	DEFINED	2	0	0	0
HONEYWELL INTL INC	COM	438516106	7245	121247	SH		DEFINED	2	121247	0	0
HONEYWELL INTL INC	COM	438516106	653	10932	SH		DEFINED	1	10932	0	0
HONEYWELL INTL INC	COM	438516106	30927	517600	SH	PUT	DEFINED	2	0	0	0
HONEYWELL INTL INC	COM	438516106	2438	40800	SH	PUT	DEFINED	3	0	0	0
HONEYWELL INTL INC	COM	438516106	2468	41300	SH	PUT	DEFINED	1	0	0	0
HONEYWELL INTL INC	COM	438516106	36047	603300	SH	CALL	DEFINED	2	0	0	0
HONEYWELL INTL INC	COM	438516106	4720	79000	SH	CALL	DEFINED	1	0	0	0
HONEYWELL INTL INC	COM	438516106	3197	53500	SH	CALL	DEFINED	3	0	0	0
HORIZON PHARMA INC	COM	44047T109	476	137189	SH		DEFINED	2	137189	0	0
HORIZON PHARMA INC	COM	44047T109	73	20979	SH		DEFINED	1	20979	0	0
HORIZON PHARMA INC	COM	44047T109	1207	344946	SH		DEFINED	"5,8"	344946	0	0
HORIZON PHARMA INC	COM	44047T109	851	243100	SH	PUT	DEFINED	2	0	0	0
HORIZON PHARMA INC	COM	44047T109	80	22800	SH	PUT	DEFINED	1	0	0	0
HORIZON PHARMA INC	COM	44047T109	59	16900	SH	PUT	DEFINED	3	0	0	0
HORIZON PHARMA INC	COM	44047T109	3224	921000	SH	CALL	DEFINED	2	0	0	0
HORIZON PHARMA INC	COM	44047T109	116	33000	SH	CALL	DEFINED	3	0	0	0
HORMEL FOODS CORP	COM	440452100	3822	130700	SH		DEFINED	9	130700	0	0
HORMEL FOODS CORP	COM	440452100	237	8097	SH		DEFINED	2	8097	0	0
HORMEL FOODS CORP	COM	440452100	497	17000	SH		DEFINED	3	17000	0	0
HORMEL FOODS CORP	COM	440452100	354	12100	SH	PUT	DEFINED	2	0	0	0
HORMEL FOODS CORP	COM	440452100	2371	81100	SH	CALL	DEFINED	2	0	0	0
HORNBECK OFFSHORE SVCS INC N	COM	440543106	1311	35773	SH		DEFINED	3	35773	0	0
HORNBECK OFFSHORE SVCS INC N	COM	440543106	304	8300	SH	PUT	DEFINED	2	0	0	0
HORNBECK OFFSHORE SVCS INC N	COM	440543106	1913	52200	SH	CALL	DEFINED	2	0	0	0
HORSEHEAD HLDG CORP	COM	440694305	123	13159	SH		DEFINED	2	13159	0	0
HORSEHEAD HLDG CORP	COM	440694305	251	26900	SH	PUT	DEFINED	2	0	0	0
HORSEHEAD HLDG CORP	COM	440694305	163	17500	SH	CALL	DEFINED	2	0	0	0
HOSPIRA INC	COM	441060100	851	25944	SH		DEFINED	2	25944	0	0
HOSPIRA INC	COM	441060100	2924	89100	SH	PUT	DEFINED	2	0	0	0
HOSPIRA INC	COM	441060100	8445	257300	SH	CALL	DEFINED	2	0	0	0
HOSPIRA INC	COM	441060100	256	7800	SH	CALL	DEFINED	1	0	0	0
HOSPITALITY PPTYS TR	COM SH BEN INT	44106M102	297	12500	SH	PUT	DEFINED	2	0	0	0
HOSPITALITY PPTYS TR	COM SH BEN INT	44106M102	2202	92600	SH	CALL	DEFINED	2	0	0	0
HOST HOTELS & RESORTS INC	COM	44107P104	997	62134	SH		DEFINED	3	62134	0	0
HOST HOTELS & RESORTS INC	COM	44107P104	1176	73251	SH		DEFINED	2	73251	0	0
HOST HOTELS & RESORTS INC	COM	44107P104	3040	189400	SH	PUT	DEFINED	2	0	0	0
HOST HOTELS & RESORTS INC	COM	44107P104	1560	97200	SH	CALL	DEFINED	2	0	0	0
HOT TOPIC INC	COM	441339108	408	46909	SH		DEFINED	3	46909	0	0
HOUSTON AMERN ENERGY CORP	COM	44183U100	9	10000	SH		DEFINED	1	10000	0	0
HOUSTON AMERN ENERGY CORP	COM	44183U100	81	90431	SH		DEFINED	2	90431	0	0
HOUSTON WIRE & CABLE CO	COM	44244K109	122	11300	SH	CALL	DEFINED	2	0	0	0
HOVNANIAN ENTERPRISES INC	CL A	442487203	850	245599	SH		DEFINED	2	245599	0	0
HOVNANIAN ENTERPRISES INC	CL A	442487203	1575	455300	SH	PUT	DEFINED	2	0	0	0
HOVNANIAN ENTERPRISES INC	CL A	442487203	36	10300	SH	PUT	DEFINED	1	0	0	0
HOVNANIAN ENTERPRISES INC	CL A	442487203	525	151600	SH	CALL	DEFINED	2	0	0	0
HOVNANIAN ENTERPRISES INC	CL A	442487203	5190	1500000	SH	CALL	DEFINED	3	0	0	0
HOVNANIAN ENTERPRISES INC	CL A	442487203	163	47000	SH	CALL	DEFINED	1	0	0	0
HOWARD HUGHES CORP	COM	44267D107	1258	17700	SH	PUT	DEFINED	2	0	0	0
HOWARD HUGHES CORP	COM	44267D107	4213	59300	SH	CALL	DEFINED	2	0	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	774	16654	SH		DEFINED	1	16654	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	38193	822060	SH		DEFINED	2	822060	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	78104	1681100	SH	PUT	DEFINED	2	0	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	9334	200900	SH	PUT	DEFINED	1	0	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	530	11400	SH	CALL	DEFINED	3	0	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	13817	297400	SH	CALL	DEFINED	2	0	0	0
HSBC HLDGS PLC	SPON ADR NEW	404280406	5217	112300	SH	CALL	DEFINED	1	0	0	0
HSBC USA INC	S^P CTI ETN 23	4042EP602	186	31171	SH		DEFINED	3	31171	0	0
HSN INC	COM	404303109	594	12100	SH		DEFINED	9	12100	0	0
HSN INC	COM	404303109	332	6775	SH		DEFINED	3	6775	0	0
HSN INC	COM	404303109	760	15500	SH	PUT	DEFINED	2	0	0	0
HSN INC	COM	404303109	731	14900	SH	CALL	DEFINED	2	0	0	0
HUANENG PWR INTL INC	SPON ADR H SHS	443304100	510	17025	SH		DEFINED	3	17025	0	0
HUANENG PWR INTL INC	SPON ADR H SHS	443304100	1109	37060	SH		DEFINED	2	37060	0	0
HUANENG PWR INTL INC	SPON ADR H SHS	443304100	207	6900	SH	PUT	DEFINED	2	0	0	0
HUB GROUP INC	CL A	443320106	504	16968	SH		DEFINED	3	16968	0	0
HUBBELL INC	CL B	443510201	1175	14547	SH		DEFINED	2	14547	0	0
HUBBELL INC	CL B	443510201	584	7235	SH		DEFINED	3	7235	0	0
HUBBELL INC	CL B	443510201	872	10800	SH	CALL	DEFINED	2	0	0	0
HUDSON CITY BANCORP	COM	443683107	127	16016	SH		DEFINED	1	16016	0	0
HUDSON CITY BANCORP	COM	443683107	4277	538379	SH		DEFINED	9	538379	0	0
HUDSON CITY BANCORP	COM	443683107	693	87078	SH		DEFINED	2	87078	0	0
HUDSON CITY BANCORP	COM	443683107	435	54622	SH		DEFINED	3	54622	0	0
HUDSON CITY BANCORP	COM	443683107	866	108800	SH	PUT	DEFINED	2	0	0	0
HUDSON CITY BANCORP	COM	443683107	160	20100	SH	PUT	DEFINED	1	0	0	0
HUDSON CITY BANCORP	COM	443683107	1238	155500	SH	CALL	DEFINED	2	0	0	0
HUGOTON RTY TR TEX	UNIT BEN INT	444717102	590	89600	SH	CALL	DEFINED	2	0	0	0
HUMANA INC	COM	444859102	247	3525	SH		DEFINED	3	3525	0	0
HUMANA INC	COM	444859102	46405	661510	SH		DEFINED	2	661510	0	0
HUMANA INC	COM	444859102	6070	86529	SH		DEFINED	1	86529	0	0
HUMANA INC	COM	444859102	8165	116400	SH	PUT	DEFINED	1	0	0	0
HUMANA INC	COM	444859102	246	3500	SH	PUT	DEFINED	3	0	0	0
HUMANA INC	COM	444859102	40715	580400	SH	PUT	DEFINED	2	0	0	0
HUMANA INC	COM	444859102	3199	45600	SH	CALL	DEFINED	1	0	0	0
HUMANA INC	COM	444859102	41585	592800	SH	CALL	DEFINED	2	0	0	0
HUNT J B TRANS SVCS INC	COM	445658107	888	17067	SH		DEFINED	3	17067	0	0
HUNT J B TRANS SVCS INC	COM	445658107	364	6991	SH		DEFINED	2	6991	0	0
HUNT J B TRANS SVCS INC	COM	445658107	3435	66000	SH	PUT	DEFINED	2	0	0	0
HUNT J B TRANS SVCS INC	COM	445658107	9409	180800	SH	CALL	DEFINED	2	0	0	0
HUNT J B TRANS SVCS INC	COM	445658107	385	7400	SH	CALL	DEFINED	1	0	0	0
HUNTINGTON BANCSHARES INC	COM	446150104	148	21383	SH		DEFINED	3	21383	0	0
HUNTINGTON BANCSHARES INC	COM	446150104	7766	1125438	SH		DEFINED	2	1125438	0	0
HUNTINGTON BANCSHARES INC	COM	446150104	14470	2097100	SH	PUT	DEFINED	2	0	0	0
HUNTINGTON BANCSHARES INC	COM	446150104	882	127800	SH	CALL	DEFINED	2	0	0	0
HUNTINGTON INGALLS INDS INC	COM	446413106	421	10000	SH		DEFINED	9	10000	0	0
HUNTINGTON INGALLS INDS INC	COM	446413106	202	4800	SH	PUT	DEFINED	2	0	0	0
HUNTSMAN CORP	COM	447011107	1264	84687	SH		DEFINED	2	84687	0	0
HUNTSMAN CORP	COM	447011107	1424	95400	SH		DEFINED	9	95400	0	0
HUNTSMAN CORP	COM	447011107	1686	112900	SH	PUT	DEFINED	1	0	0	0
HUNTSMAN CORP	COM	447011107	9454	633200	SH	PUT	DEFINED	2	0	0	0
HUNTSMAN CORP	COM	447011107	2828	189400	SH	CALL	DEFINED	1	0	0	0
HUNTSMAN CORP	COM	447011107	23428	1569200	SH	CALL	DEFINED	2	0	0	0
HYATT HOTELS CORP	COM CL A	448579102	1221	30400	SH	PUT	DEFINED	2	0	0	0
HYATT HOTELS CORP	COM CL A	448579102	1827	45500	SH	CALL	DEFINED	2	0	0	0
HYPERDYNAMICS CORP	COM	448954107	306	419419	SH		DEFINED	2	419419	0	0
HYPERDYNAMICS CORP	COM	448954107	929	1273187	SH		DEFINED	3	1273187	0	0
HYPERDYNAMICS CORP	COM	448954107	281	384700	SH	PUT	DEFINED	2	0	0	0
HYPERDYNAMICS CORP	COM	448954107	31	43100	SH	CALL	DEFINED	2	0	0	0
HYPERDYNAMICS CORP	COM	448954107	9	11900	SH	CALL	DEFINED	1	0	0	0
HYPERDYNAMICS CORP	COM	448954107	22	30000	SH	CALL	DEFINED	3	0	0	0
IAC INTERACTIVECORP	COM PAR $.001	44919P508	2629	50500	SH		DEFINED	9	50500	0	0
IAC INTERACTIVECORP	COM PAR $.001	44919P508	4321	83000	SH	PUT	DEFINED	2	0	0	0
IAC INTERACTIVECORP	COM PAR $.001	44919P508	4300	82600	SH	CALL	DEFINED	2	0	0	0
IAMGOLD CORP	COM	450913108	33759	2135321	SH		DEFINED	2	2135321	0	0
IAMGOLD CORP	COM	450913108	2300	145483	SH		DEFINED	3	145483	0	0
IAMGOLD CORP	COM	450913108	21535	1362100	SH	PUT	DEFINED	2	0	0	0
IAMGOLD CORP	COM	450913108	2262	143100	SH	PUT	DEFINED	3	0	0	0
IAMGOLD CORP	COM	450913108	4533	286700	SH	CALL	DEFINED	2	0	0	0
ICAHN ENTERPRISES LP	DEPOSITARY UNIT	451100101	207	5088	SH		DEFINED	3	5088	0	0
ICICI BK LTD	ADR	45104G104	4703	117167	SH		DEFINED	2	117167	0	0
ICICI BK LTD	ADR	45104G104	31129	775500	SH	PUT	DEFINED	2	0	0	0
ICICI BK LTD	ADR	45104G104	3657	91100	SH	PUT	DEFINED	1	0	0	0
ICICI BK LTD	ADR	45104G104	3083	76800	SH	CALL	DEFINED	1	0	0	0
ICICI BK LTD	ADR	45104G104	4431	110400	SH	CALL	DEFINED	2	0	0	0
ICONIX BRAND GROUP INC	COM	451055107	210	11517	SH		DEFINED	3	11517	0	0
IDENIX PHARMACEUTICALS INC	COM	45166R204	101	22042	SH		DEFINED	1	22042	0	0
IDENIX PHARMACEUTICALS INC	COM	45166R204	100	21991	SH		DEFINED	3	21991	0	0
IDENIX PHARMACEUTICALS INC	COM	45166R204	1092	239042	SH		DEFINED	2	239042	0	0
IDENIX PHARMACEUTICALS INC	COM	45166R204	632	138200	SH	PUT	DEFINED	2	0	0	0
IDENIX PHARMACEUTICALS INC	COM	45166R204	172	37600	SH	PUT	DEFINED	1	0	0	0
IDENIX PHARMACEUTICALS INC	COM	45166R204	1061	232100	SH	CALL	DEFINED	2	0	0	0
IDENTIVE GROUP INC	COM	45170X106	11	12456	SH		DEFINED	2	12456	0	0
IDENTIVE GROUP INC	COM	45170X106	40	46254	SH		DEFINED	3	46254	0	0
IDERA PHARMACEUTICALS INC	COM NEW	45168K306	16	15507	SH		DEFINED	3	15507	0	0
IDEX CORP	COM	45167R104	238	5700	SH	PUT	DEFINED	2	0	0	0
IDEXX LABS INC	COM	45168D104	1003	10100	SH	CALL	DEFINED	2	0	0	0
IDT CORP	CL B NEW	448947507	287	27900	SH	CALL	DEFINED	2	0	0	0
IGATE CORP	COM	45169U105	223	12300	SH	PUT	DEFINED	2	0	0	0
IGATE CORP	COM	45169U105	363	20000	SH	CALL	DEFINED	2	0	0	0
IHS INC	CL A	451734107	12247	125800	SH		DEFINED	9	125800	0	0
II VI INC	COM	902104108	207	10900	SH	PUT	DEFINED	2	0	0	0
II VI INC	COM	902104108	580	30500	SH	CALL	DEFINED	2	0	0	0
ILLINOIS TOOL WKS INC	COM	452308109	1992	33503	SH		DEFINED	3	33503	0	0
ILLINOIS TOOL WKS INC	COM	452308109	1987	33408	SH		DEFINED	2	33408	0	0
ILLINOIS TOOL WKS INC	COM	452308109	505	8500	SH	PUT	DEFINED	1	0	0	0
ILLINOIS TOOL WKS INC	COM	452308109	14041	236100	SH	PUT	DEFINED	2	0	0	0
ILLINOIS TOOL WKS INC	COM	452308109	1505	25300	SH	CALL	DEFINED	3	0	0	0
ILLINOIS TOOL WKS INC	COM	452308109	803	13500	SH	CALL	DEFINED	1	0	0	0
ILLINOIS TOOL WKS INC	COM	452308109	34023	572100	SH	CALL	DEFINED	2	0	0	0
ILLUMINA INC	COM	452327109	1504	31197	SH		DEFINED	1	31197	0	0
ILLUMINA INC	COM	452327109	623	12932	SH		DEFINED	3	12932	0	0
ILLUMINA INC	COM	452327109	4941	102506	SH		DEFINED	2	102506	0	0
ILLUMINA INC	COM	452327109	1677	34800	SH	PUT	DEFINED	1	0	0	0
ILLUMINA INC	COM	452327109	21709	450400	SH	PUT	DEFINED	2	0	0	0
ILLUMINA INC	COM	452327109	337	7000	SH	PUT	DEFINED	3	0	0	0
ILLUMINA INC	COM	452327109	3022	62700	SH	CALL	DEFINED	3	0	0	0
ILLUMINA INC	COM	452327109	3432	71200	SH	CALL	DEFINED	1	0	0	0
ILLUMINA INC	COM	452327109	13110	272000	SH	CALL	DEFINED	2	0	0	0
IMAX CORP	COM	45245E109	219	11003	SH		DEFINED	2	11003	0	0
IMAX CORP	COM	45245E109	2457	123400	SH	PUT	DEFINED	2	0	0	0
IMAX CORP	COM	45245E109	1436	72100	SH	CALL	DEFINED	3	0	0	0
IMAX CORP	COM	45245E109	6606	331800	SH	CALL	DEFINED	2	0	0	0
IMMERSION CORP	COM	452521107	63	11600	SH	CALL	DEFINED	2	0	0	0
IMMUNOCELLULAR THERAPEUTICS	COM	452536105	153	54516	SH		DEFINED	2	54516	0	0
IMMUNOCELLULAR THERAPEUTICS	COM	452536105	49	17400	SH	PUT	DEFINED	2	0	0	0
IMMUNOGEN INC	COM	45253H101	1129	77380	SH		DEFINED	2	77380	0	0
IMMUNOGEN INC	COM	45253H101	2034	139400	SH	PUT	DEFINED	2	0	0	0
IMMUNOGEN INC	COM	45253H101	957	65600	SH	CALL	DEFINED	2	0	0	0
IMMUNOMEDICS INC	COM	452907108	1148	326984	SH		DEFINED	2	326984	0	0
IMMUNOMEDICS INC	COM	452907108	1837	523300	SH	PUT	DEFINED	2	0	0	0
IMMUNOMEDICS INC	COM	452907108	734	209000	SH	CALL	DEFINED	2	0	0	0
IMPAX LABORATORIES INC	COM	45256B101	1402	54000	SH	PUT	DEFINED	2	0	0	0
IMPAX LABORATORIES INC	COM	45256B101	1526	58800	SH	CALL	DEFINED	2	0	0	0
IMPERIAL HLDGS INC	COM	452834104	69	20245	SH		DEFINED	2	20245	0	0
IMPERIAL HLDGS INC	COM	452834104	242	70955	SH		DEFINED	3	70955	0	0
IMPERIAL OIL LTD	COM NEW	453038408	1036	22500	SH	PUT	DEFINED	2	0	0	0
IMPERIAL OIL LTD	COM NEW	453038408	1096	23800	SH	CALL	DEFINED	2	0	0	0
INCYTE CORP	COM	45337C102	286	15851	SH		DEFINED	3	15851	0	0
INCYTE CORP	COM	45337C102	1570	87002	SH		DEFINED	9	87002	0	0
INCYTE CORP	COM	45337C102	290	16048	SH		DEFINED	1	16048	0	0
INCYTE CORP	COM	45337C102	2141	118635	SH		DEFINED	2	118635	0	0
INCYTE CORP	COM	45337C102	2265	125500	SH	PUT	DEFINED	2	0	0	0
INCYTE CORP	COM	45337C102	482	26700	SH	PUT	DEFINED	1	0	0	0
INCYTE CORP	COM	45337C102	1421	78700	SH	CALL	DEFINED	2	0	0	0
INDEXIQ ETF TR	US RL EST SMCP	45409B628	1533	70427	SH		DEFINED	2	70427	0	0
INDEXIQ ETF TR	AUST SM CP ETF	45409B826	509	24519	SH		DEFINED	2	24519	0	0
INDEXIQ ETF TR	GLB AGRI SM CP	45409B834	1434	58375	SH		DEFINED	2	58375	0	0
INDEXIQ ETF TR	GLB CRUDE OIL	45409B842	1125	65221	SH		DEFINED	2	65221	0	0
INDEXIQ ETF TR	CAN SML CP ETF	45409B867	2121	83694	SH		DEFINED	2	83694	0	0
INDEXIQ ETF TR	CAN SML CP ETF	45409B867	254	10040	SH		DEFINED	3	10040	0	0
INDEXIQ ETF TR	IQ GLB RES ETF	45409B883	1698	59836	SH		DEFINED	2	59836	0	0
INDEXIQ ETF TR	IQ GLB RES ETF	45409B883	632	22257	SH		DEFINED	3	22257	0	0
INDIA FD INC	COM	454089103	19525	840163	SH		DEFINED	"5,7"	840163	0	0
INDIA FD INC	COM	454089103	2324	100000	SH	PUT	DEFINED	2	0	0	0
INERGY L P	UNIT LTD PTNR	456615103	1954	102700	SH	PUT	DEFINED	2	0	0	0
INERGY L P	UNIT LTD PTNR	456615103	198	10400	SH	CALL	DEFINED	1	0	0	0
INERGY L P	UNIT LTD PTNR	456615103	1488	78200	SH	CALL	DEFINED	2	0	0	0
INERGY MIDSTREAM LP	U LTD PARTNERS	45671U106	488	20929	SH		DEFINED	3	20929	0	0
INERGY MIDSTREAM LP	U LTD PARTNERS	45671U106	450	19300	SH	PUT	DEFINED	2	0	0	0
INERGY MIDSTREAM LP	U LTD PARTNERS	45671U106	362	15500	SH	CALL	DEFINED	2	0	0	0
INFINERA CORPORATION	COM	45667G103	1880	343138	SH		DEFINED	2	343138	0	0
INFINERA CORPORATION	COM	45667G103	1566	285700	SH	PUT	DEFINED	2	0	0	0
INFINERA CORPORATION	COM	45667G103	162	29600	SH	CALL	DEFINED	2	0	0	0
INFINITY PHARMACEUTICALS INC	COM	45665G303	1135	48200	SH	PUT	DEFINED	2	0	0	0
INFINITY PHARMACEUTICALS INC	COM	45665G303	6542	277800	SH	CALL	DEFINED	2	0	0	0
INFOBLOX INC	COM	45672H104	257	11073	SH		DEFINED	2	11073	0	0
INFORMATICA CORP	COM	45666Q102	226	6493	SH		DEFINED	1	6493	0	0
INFORMATICA CORP	COM	45666Q102	3078	88416	SH		DEFINED	2	88416	0	0
INFORMATICA CORP	COM	45666Q102	2175	62485	SH		DEFINED	3	62485	0	0
INFORMATICA CORP	COM	45666Q102	1441	41400	SH	PUT	DEFINED	1	0	0	0
INFORMATICA CORP	COM	45666Q102	3408	97900	SH	PUT	DEFINED	3	0	0	0
INFORMATICA CORP	COM	45666Q102	8849	254200	SH	PUT	DEFINED	2	0	0	0
INFORMATICA CORP	COM	45666Q102	2907	83500	SH	CALL	DEFINED	2	0	0	0
INFORMATICA CORP	COM	45666Q102	421	12100	SH	CALL	DEFINED	1	0	0	0
INFOSYS LTD	SPONSORED ADR	456788108	3331	68634	SH		DEFINED	3	68634	0	0
INFOSYS LTD	SPONSORED ADR	456788108	2186	45031	SH		DEFINED	2	45031	0	0
INFOSYS LTD	SPONSORED ADR	456788108	3208	66100	SH	PUT	DEFINED	3	0	0	0
INFOSYS LTD	SPONSORED ADR	456788108	25416	523600	SH	PUT	DEFINED	2	0	0	0
INFOSYS LTD	SPONSORED ADR	456788108	6674	137500	SH	PUT	DEFINED	1	0	0	0
INFOSYS LTD	SPONSORED ADR	456788108	4029	83000	SH	CALL	DEFINED	3	0	0	0
INFOSYS LTD	SPONSORED ADR	456788108	15853	326600	SH	CALL	DEFINED	2	0	0	0
INFOSYS LTD	SPONSORED ADR	456788108	5543	114200	SH	CALL	DEFINED	1	0	0	0
ING GROEP N V	SPONSORED ADR	456837103	111	14100	SH	PUT	DEFINED	1	0	0	0
ING GROEP N V	SPONSORED ADR	456837103	1453	184100	SH	PUT	DEFINED	2	0	0	0
ING GROEP N V	SPONSORED ADR	456837103	1610	204000	SH	CALL	DEFINED	2	0	0	0
INGERSOLL-RAND PLC	SHS	G47791101	5186	115700	SH		DEFINED	9	115700	0	0
INGERSOLL-RAND PLC	SHS	G47791101	1092	24369	SH		DEFINED	3	24369	0	0
INGERSOLL-RAND PLC	SHS	G47791101	1099	24527	SH		DEFINED	2	24527	0	0
INGERSOLL-RAND PLC	SHS	G47791101	6342	141500	SH	PUT	DEFINED	2	0	0	0
INGERSOLL-RAND PLC	SHS	G47791101	8865	197800	SH	CALL	DEFINED	2	0	0	0
INGRAM MICRO INC	CL A	457153104	205	13472	SH		DEFINED	3	13472	0	0
INGRAM MICRO INC	CL A	457153104	251	16500	SH	PUT	DEFINED	2	0	0	0
INGREDION INC	COM	457187102	491	8900	SH	PUT	DEFINED	1	0	0	0
INGREDION INC	COM	457187102	1738	31500	SH	PUT	DEFINED	2	0	0	0
INGREDION INC	COM	457187102	5417	98200	SH	CALL	DEFINED	2	0	0	0
INNERWORKINGS INC	COM	45773Y105	130	10000	SH	PUT	DEFINED	2	0	0	0
INNERWORKINGS INC	COM	45773Y105	337	25900	SH	CALL	DEFINED	2	0	0	0
INNOPHOS HOLDINGS INC	COM	45774N108	301	6200	SH	PUT	DEFINED	2	0	0	0
INNOPHOS HOLDINGS INC	COM	45774N108	1169	24100	SH	CALL	DEFINED	2	0	0	0
INPHI CORP	COM	45772F107	222	20800	SH	PUT	DEFINED	2	0	0	0
INSMED INC	COM PAR $.01	457669307	122	26863	SH		DEFINED	3	26863	0	0
INSMED INC	COM PAR $.01	457669307	48	10500	SH	PUT	DEFINED	2	0	0	0
INSPERITY INC	COM	45778Q107	452	17900	SH	CALL	DEFINED	2	0	0	0
INSULET CORP	COM	45784P101	315	14600	SH	PUT	DEFINED	2	0	0	0
INSULET CORP	COM	45784P101	3002	139100	SH	CALL	DEFINED	2	0	0	0
INTEGRA LIFESCIENCES HLDGS C	COM NEW	457985208	267	6500	SH		DEFINED	9	6500	0	0
INTEGRATED DEVICE TECHNOLOGY	COM	458118106	1844	313600	SH	CALL	DEFINED	2	0	0	0
INTEGRYS ENERGY GROUP INC	COM	45822P105	1932	37008	SH		DEFINED	2	37008	0	0
INTEGRYS ENERGY GROUP INC	COM	45822P105	522	10000	SH	PUT	DEFINED	2	0	0	0
INTEGRYS ENERGY GROUP INC	COM	45822P105	1169	22400	SH	CALL	DEFINED	2	0	0	0
INTEL CORP	COM	458140100	17767	783386	SH		DEFINED	3	783386	0	0
INTEL CORP	COM	458140100	15533	684898	SH		DEFINED	1	684898	0	0
INTEL CORP	COM	458140100	130436	5751138	SH		DEFINED	2	5751138	0	0
INTEL CORP	COM	458140100	20135	887800	SH		DEFINED	9	887800	0	0
INTEL CORP	COM	458140100	42994	1895700	SH	PUT	DEFINED	1	0	0	0
INTEL CORP	COM	458140100	284047	12524100	SH	PUT	DEFINED	2	0	0	0
INTEL CORP	COM	458140100	51146	2255100	SH	PUT	DEFINED	3	0	0	0
INTEL CORP	COM	458140100	34197	1507800	SH	CALL	DEFINED	1	0	0	0
INTEL CORP	COM	458140100	304284	13416400	SH	CALL	DEFINED	2	0	0	0
INTEL CORP	COM	458140100	9206	405900	SH	CALL	DEFINED	3	0	0	0
INTEL CORP	SDCV   3.250% 8/0	458140AF7	89436	72565000	PRN		DEFINED	"5,7"	0	0	0
INTELLIPHARMACEUTICS INTL IN	COM	458173101	40	13257	SH		DEFINED	3	13257	0	0
INTERACTIVE BROKERS GROUP IN	COM	45841N107	9208	656805	SH		DEFINED	2	656805	0	0
INTERACTIVE BROKERS GROUP IN	COM	45841N107	18706	1334240	SH		DEFINED	3	1334240	0	0
INTERACTIVE BROKERS GROUP IN	COM	45841N107	717	51117	SH		DEFINED	1	51117	0	0
INTERACTIVE BROKERS GROUP IN	COM	45841N107	11681	833200	SH	PUT	DEFINED	2	0	0	0
INTERACTIVE BROKERS GROUP IN	COM	45841N107	852	60800	SH	PUT	DEFINED	1	0	0	0
INTERACTIVE BROKERS GROUP IN	COM	45841N107	1328	94700	SH	CALL	DEFINED	2	0	0	0
INTERACTIVE INTELLIGENCE GRO	COM	45841V109	370	12300	SH	CALL	DEFINED	2	0	0	0
INTERCONTINENTAL HTLS GRP PL	SPONS ADR NEW	45857P301	15354	584900	SH		DEFINED	"5,7"	584900	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	11755	88110	SH		DEFINED	2	88110	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	707	5298	SH		DEFINED	3	5298	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	4376	32804	SH		DEFINED	1	32804	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	9712	72800	SH	PUT	DEFINED	1	0	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	30578	229200	SH	PUT	DEFINED	2	0	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	3242	24300	SH	CALL	DEFINED	1	0	0	0
INTERCONTINENTALEXCHANGE INC	COM	45865V100	19891	149100	SH	CALL	DEFINED	2	0	0	0
INTERDIGITAL INC	COM	45867G101	9536	255807	SH		DEFINED	2	255807	0	0
INTERDIGITAL INC	COM	45867G101	523	14022	SH		DEFINED	1	14022	0	0
INTERDIGITAL INC	COM	45867G101	1489	39950	SH		DEFINED	3	39950	0	0
INTERDIGITAL INC	COM	45867G101	2878	77200	SH	PUT	DEFINED	3	0	0	0
INTERDIGITAL INC	COM	45867G101	1652	44300	SH	PUT	DEFINED	1	0	0	0
INTERDIGITAL INC	COM	45867G101	8235	220900	SH	PUT	DEFINED	2	0	0	0
INTERDIGITAL INC	COM	45867G101	3161	84800	SH	CALL	DEFINED	1	0	0	0
INTERDIGITAL INC	COM	45867G101	925	24800	SH	CALL	DEFINED	3	0	0	0
INTERDIGITAL INC	COM	45867G101	21809	585000	SH	CALL	DEFINED	2	0	0	0
INTERMUNE INC	COM	45884X103	1492	166342	SH		DEFINED	2	166342	0	0
INTERMUNE INC	COM	45884X103	2121	236400	SH	PUT	DEFINED	2	0	0	0
INTERMUNE INC	COM	45884X103	347	38700	SH	PUT	DEFINED	1	0	0	0
INTERMUNE INC	COM	45884X103	943	105100	SH	CALL	DEFINED	1	0	0	0
INTERMUNE INC	COM	45884X103	3997	445600	SH	CALL	DEFINED	2	0	0	0
INTERNAP NETWORK SVCS CORP	COM PAR $.001	45885A300	79	11200	SH	CALL	DEFINED	2	0	0	0
INTERNATIONAL BANCSHARES COR	COM	459044103	901	47300	SH	CALL	DEFINED	2	0	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	24184	116577	SH		DEFINED	1	116577	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	30084	145019	SH		DEFINED	3	145019	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	27024	130269	SH		DEFINED	2	130269	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	240704	1160300	SH	PUT	DEFINED	2	0	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	62733	302400	SH	PUT	DEFINED	1	0	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	66695	321500	SH	CALL	DEFINED	1	0	0	0
INTERNATIONAL BUSINESS MACHS	COM	459200101	259935	1253000	SH	CALL	DEFINED	2	0	0	0
INTERNATIONAL FLAVORS^FRAGRA	COM	459506101	1224	20547	SH		DEFINED	2	20547	0	0
INTERNATIONAL FLAVORS^FRAGRA	COM	459506101	840	14100	SH	PUT	DEFINED	2	0	0	0
INTERNATIONAL FLAVORS^FRAGRA	COM	459506101	4975	83500	SH	CALL	DEFINED	2	0	0	0
INTERNATIONAL GAME TECHNOLOG	COM	459902102	1549	118310	SH		DEFINED	2	118310	0	0
INTERNATIONAL GAME TECHNOLOG	COM	459902102	19202	1466900	SH	PUT	DEFINED	2	0	0	0
INTERNATIONAL GAME TECHNOLOG	COM	459902102	145	11100	SH	PUT	DEFINED	3	0	0	0
INTERNATIONAL GAME TECHNOLOG	COM	459902102	2575	196700	SH	CALL	DEFINED	2	0	0	0
INTERNATIONAL SPEEDWAY CORP	CL A	460335201	377	13301	SH		DEFINED	3	13301	0	0
INTERNATIONAL TOWER HILL MIN	COM	46050R102	35	12300	SH	PUT	DEFINED	2	0	0	0
INTERNET INITIATIVE JAPAN IN	SPONSORED ADR	46059T109	220	16368	SH		DEFINED	3	16368	0	0
INTERNET INITIATIVE JAPAN IN	SPONSORED ADR	46059T109	164	12158	SH		DEFINED	2	12158	0	0
INTEROIL CORP	COM	460951106	20589	266492	SH		DEFINED	1	266492	0	0
INTEROIL CORP	COM	460951106	54280	702566	SH		DEFINED	2	702566	0	0
INTEROIL CORP	COM	460951106	2843	36800	SH		DEFINED	9	36800	0	0
INTEROIL CORP	COM	460951106	27860	360600	SH	PUT	DEFINED	1	0	0	0
INTEROIL CORP	COM	460951106	140698	1821100	SH	PUT	DEFINED	2	0	0	0
INTEROIL CORP	COM	460951106	2635	34100	SH	PUT	DEFINED	"5,8"	0	0	0
INTEROIL CORP	COM	460951106	59838	774500	SH	CALL	DEFINED	2	0	0	0
INTEROIL CORP	COM	460951106	22243	287900	SH	CALL	DEFINED	1	0	0	0
INTERPUBLIC GROUP COS INC	COM	460690100	423	38054	SH		DEFINED	2	38054	0	0
INTERPUBLIC GROUP COS INC	COM	460690100	230	20655	SH		DEFINED	1	20655	0	0
INTERPUBLIC GROUP COS INC	COM	460690100	327	29400	SH	PUT	DEFINED	1	0	0	0
INTERPUBLIC GROUP COS INC	COM	460690100	1567	140900	SH	PUT	DEFINED	2	0	0	0
INTERPUBLIC GROUP COS INC	COM	460690100	160	14400	SH	CALL	DEFINED	1	0	0	0
INTERPUBLIC GROUP COS INC	COM	460690100	4975	447400	SH	CALL	DEFINED	2	0	0	0
INTERSIL CORP	CL A	46069S109	416	47500	SH	PUT	DEFINED	2	0	0	0
INTERSIL CORP	CL A	46069S109	1446	165200	SH	CALL	DEFINED	2	0	0	0
INTERVAL LEISURE GROUP INC	COM	46113M108	221	11674	SH		DEFINED	3	11674	0	0
INTERXION HOLDING N.V	SHS	N47279109	664	29206	SH		DEFINED	2	29206	0	0
INTERXION HOLDING N.V	SHS	N47279109	679	29900	SH	PUT	DEFINED	2	0	0	0
INTEVAC INC	COM	461148108	83	13600	SH	CALL	DEFINED	2	0	0	0
INTL PAPER CO	COM	460146103	2375	65400	SH		DEFINED	9	65400	0	0
INTL PAPER CO	COM	460146103	15930	438598	SH		DEFINED	2	438598	0	0
INTL PAPER CO	COM	460146103	455	12536	SH		DEFINED	3	12536	0	0
INTL PAPER CO	COM	460146103	7366	202800	SH	PUT	DEFINED	1	0	0	0
INTL PAPER CO	COM	460146103	62423	1718700	SH	PUT	DEFINED	2	0	0	0
INTL PAPER CO	COM	460146103	3719	102400	SH	CALL	DEFINED	3	0	0	0
INTL PAPER CO	COM	460146103	37333	1027900	SH	CALL	DEFINED	2	0	0	0
INTL PAPER CO	COM	460146103	6483	178500	SH	CALL	DEFINED	1	0	0	0
INTRALINKS HLDGS INC	COM	46118H104	186	28478	SH		DEFINED	2	28478	0	0
INTRALINKS HLDGS INC	COM	46118H104	150	22900	SH	PUT	DEFINED	2	0	0	0
INTREPID POTASH INC	COM	46121Y102	1193	55522	SH		DEFINED	2	55522	0	0
INTREPID POTASH INC	COM	46121Y102	3235	150600	SH	PUT	DEFINED	2	0	0	0
INTREPID POTASH INC	COM	46121Y102	8220	382700	SH	CALL	DEFINED	2	0	0	0
INTUIT	COM	461202103	4242	72047	SH		DEFINED	3	72047	0	0
INTUIT	COM	461202103	8807	149572	SH		DEFINED	2	149572	0	0
INTUIT	COM	461202103	7478	127000	SH	PUT	DEFINED	2	0	0	0
INTUIT	COM	461202103	14908	253200	SH	CALL	DEFINED	2	0	0	0
INTUIT	COM	461202103	2279	38700	SH	CALL	DEFINED	1	0	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	233	471	SH		DEFINED	3	471	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	2790	5630	SH		DEFINED	1	5630	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	42936	86629	SH		DEFINED	2	86629	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	247518	499400	SH	PUT	DEFINED	2	0	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	70379	142000	SH	PUT	DEFINED	1	0	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	80391	162200	SH	CALL	DEFINED	1	0	0	0
INTUITIVE SURGICAL INC	COM NEW	46120E602	137240	276900	SH	CALL	DEFINED	2	0	0	0
INVACARE CORP	COM	461203101	217	15354	SH		DEFINED	3	15354	0	0
INVENSENSE INC	COM	46123D205	3929	328800	SH		DEFINED	2	328800	0	0
INVENSENSE INC	COM	46123D205	3678	307800	SH	PUT	DEFINED	2	0	0	0
INVENSENSE INC	COM	46123D205	184	15400	SH	PUT	DEFINED	1	0	0	0
INVENSENSE INC	COM	46123D205	130	10900	SH	CALL	DEFINED	1	0	0	0
INVENSENSE INC	COM	46123D205	828	69300	SH	CALL	DEFINED	2	0	0	0
INVESCO LTD	SHS	G491BT108	977	39096	SH		DEFINED	2	39096	0	0
INVESCO LTD	SHS	G491BT108	691	27663	SH		DEFINED	3	27663	0	0
INVESCO LTD	SHS	G491BT108	1082	43300	SH	PUT	DEFINED	2	0	0	0
INVESCO LTD	SHS	G491BT108	2699	108000	SH	CALL	DEFINED	2	0	0	0
INVESCO MORTGAGE CAPITAL INC	COM	46131B100	1231	61140	SH		DEFINED	2	61140	0	0
INVESCO MORTGAGE CAPITAL INC	COM	46131B100	1037	51500	SH		DEFINED	9	51500	0	0
INVESCO MORTGAGE CAPITAL INC	COM	46131B100	231	11500	SH	PUT	DEFINED	1	0	0	0
INVESCO MORTGAGE CAPITAL INC	COM	46131B100	3400	168900	SH	PUT	DEFINED	2	0	0	0
INVESTORS CAP HLDGS LTD	COM	46147M108	39	10023	SH		DEFINED	3	10023	0	0
INVESTORS REAL ESTATE TR	SH BEN INT	461730103	119	14405	SH		DEFINED	2	14405	0	0
ION GEOPHYSICAL CORP	COM	462044108	485	69877	SH		DEFINED	3	69877	0	0
ION GEOPHYSICAL CORP	COM	462044108	392	56500	SH	CALL	DEFINED	2	0	0	0
IPASS INC	COM	46261V108	22	10176	SH		DEFINED	2	10176	0	0
IPG PHOTONICS CORP	COM	44980X109	250	4371	SH		DEFINED	2	4371	0	0
IPG PHOTONICS CORP	COM	44980X109	6165	107600	SH	PUT	DEFINED	2	0	0	0
IPG PHOTONICS CORP	COM	44980X109	4951	86400	SH	CALL	DEFINED	2	0	0	0
IPG PHOTONICS CORP	COM	44980X109	470	8200	SH	CALL	DEFINED	1	0	0	0
IRELAND BK	SPNSRD ADR NEW	46267Q202	151	27400	SH	PUT	DEFINED	2	0	0	0
IRELAND BK	SPNSRD ADR NEW	46267Q202	84	15200	SH	CALL	DEFINED	1	0	0	0
IRELAND BK	SPNSRD ADR NEW	46267Q202	343	62100	SH	CALL	DEFINED	2	0	0	0
IRIDIUM COMMUNICATIONS INC	COM	46269C102	557	76052	SH		DEFINED	2	76052	0	0
IRIDIUM COMMUNICATIONS INC	COM	46269C102	1454	198600	SH	PUT	DEFINED	2	0	0	0
IRIDIUM COMMUNICATIONS INC	COM	46269C102	504	68900	SH	CALL	DEFINED	2	0	0	0
IROBOT CORP	COM	462726100	714	31364	SH		DEFINED	2	31364	0	0
IROBOT CORP	COM	462726100	234	10300	SH	PUT	DEFINED	2	0	0	0
IROBOT CORP	COM	462726100	510	22400	SH	CALL	DEFINED	2	0	0	0
IRON MTN INC	COM	462846106	526	15424	SH		DEFINED	3	15424	0	0
IRON MTN INC	COM	462846106	18761	550000	SH		DEFINED	"5,7"	550000	0	0
IRON MTN INC	COM	462846106	1899	55663	SH		DEFINED	2	55663	0	0
IRON MTN INC	COM	462846106	1368	40100	SH	PUT	DEFINED	1	0	0	0
IRON MTN INC	COM	462846106	3206	94000	SH	PUT	DEFINED	2	0	0	0
IRON MTN INC	COM	462846106	2166	63500	SH	CALL	DEFINED	2	0	0	0
IRON MTN INC	COM	462846106	590	17300	SH	CALL	DEFINED	1	0	0	0
IRON MTN INC	COM	462846106	1020	29900	SH	CALL	DEFINED	3	0	0	0
IRONWOOD PHARMACEUTICALS INC	COM CL A	46333X108	732	57300	SH	CALL	DEFINED	2	0	0	0
ISHARES GOLD TRUST	ISHARES	464285105	4969	287700	SH		DEFINED	2	287700	0	0
ISHARES GOLD TRUST	ISHARES	464285105	11379	658900	SH	PUT	DEFINED	2	0	0	0
ISHARES GOLD TRUST	ISHARES	464285105	9740	564000	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI AUSTRALIA	464286103	2450	103000	SH		DEFINED	1	103000	0	0
ISHARES INC	MSCI AUSTRALIA	464286103	2476	104067	SH		DEFINED	3	104067	0	0
ISHARES INC	MSCI AUSTRALIA	464286103	1978	82200	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI AUSTRALIA	464286103	47259	1964200	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI AUSTRALIA	464286103	7548	313700	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI AUSTRALIA	464286103	1018	42300	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI AUSTRIA INV	464286202	514	33559	SH		DEFINED	2	33559	0	0
ISHARES INC	ASIA PAC30 IDX	464286293	2219	42233	SH		DEFINED	2	42233	0	0
ISHARES INC	MSCI BELG INVEST	464286301	971	77165	SH		DEFINED	2	77165	0	0
ISHARES INC	EMRGMKT DIVIDX	464286319	234	4426	SH		DEFINED	3	4426	0	0
ISHARES INC	EMRGMKT DIVIDX	464286319	2641	50000	SH		DEFINED	2	50000	0	0
ISHARES INC	MSCI GL SILVER	464286327	1195	50205	SH		DEFINED	3	50205	0	0
ISHARES INC	MSCI GLB ENERG	464286343	1246	51624	SH		DEFINED	3	51624	0	0
ISHARES INC	MSCI GLB AGRI	464286350	2506	95588	SH		DEFINED	2	95588	0	0
ISHARES INC	MSCI BRAZIL	464286400	85224	1576757	SH		DEFINED	2	1576757	0	0
ISHARES INC	MSCI BRAZIL	464286400	11916	220460	SH		DEFINED	3	220460	0	0
ISHARES INC	MSCI BRAZIL	464286400	3319	61412	SH		DEFINED	1	61412	0	0
ISHARES INC	MSCI BRAZIL	464286400	335920	6134400	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI BRAZIL	464286400	70109	1280300	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI BRAZIL	464286400	156646	2860600	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI BRAZIL	464286400	61074	1115300	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	EMKT CNSM DISC	464286418	419	8311	SH		DEFINED	3	8311	0	0
ISHARES INC	MSCI CDA INDEX	464286509	8083	284001	SH		DEFINED	2	284001	0	0
ISHARES INC	MSCI CDA INDEX	464286509	4405	154600	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI CDA INDEX	464286509	641	22500	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	EM MKT MIN VOL	464286533	2450	42871	SH		DEFINED	2	42871	0	0
ISHARES INC	EM MKT MIN VOL	464286533	45572	797405	SH		DEFINED	3	797405	0	0
ISHARES INC	MSCI EMKT EUR	464286566	632	24689	SH		DEFINED	3	24689	0	0
ISHARES INC	MSCI EMKT EUR	464286566	555	21671	SH		DEFINED	2	21671	0	0
ISHARES INC	JAPAN SML CAP	464286582	3664	83927	SH		DEFINED	2	83927	0	0
ISHARES INC	JAPAN SML CAP	464286582	1537	35200	SH		DEFINED	3	35200	0	0
ISHARES INC	MSCI EMU INDEX	464286608	1833	60991	SH		DEFINED	2	60991	0	0
ISHARES INC	MSCI THAILAND	464286624	4725	62315	SH		DEFINED	2	62315	0	0
ISHARES INC	MSCI ISRAEL FD	464286632	348	8606	SH		DEFINED	2	8606	0	0
ISHARES INC	MSCI ISRAEL FD	464286632	2013	49726	SH		DEFINED	3	49726	0	0
ISHARES INC	MSCI CHILE INVES	464286640	2692	43342	SH		DEFINED	3	43342	0	0
ISHARES INC	MSCI CHILE INVES	464286640	978	15749	SH		DEFINED	2	15749	0	0
ISHARES INC	MSCI CHILE INVES	464286640	4311	69400	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI CHILE INVES	464286640	466	7500	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI BRIC INDX	464286657	324	8580	SH		DEFINED	3	8580	0	0
ISHARES INC	MSCI BRIC INDX	464286657	7232	191624	SH		DEFINED	2	191624	0	0
ISHARES INC	MSCI PAC J IDX	464286665	4965	111353	SH		DEFINED	2	111353	0	0
ISHARES INC	MSCI PAC J IDX	464286665	655	14700	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI PAC J IDX	464286665	2988	67000	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI PAC J IDX	464286665	856	19200	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI SINGAPORE	464286673	682	50864	SH		DEFINED	3	50864	0	0
ISHARES INC	MSCI USA IDX	464286681	4385	141574	SH		DEFINED	3	141574	0	0
ISHARES INC	MSCI UTD KINGD	464286699	1075	61762	SH		DEFINED	2	61762	0	0
ISHARES INC	MSCI FRANCE	464286707	955	45500	SH		DEFINED	1	45500	0	0
ISHARES INC	MSCI FRANCE	464286707	1113	53063	SH		DEFINED	2	53063	0	0
ISHARES INC	MSCI FRANCE	464286707	3846	183300	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI TURKEY FD	464286715	2527	45220	SH		DEFINED	2	45220	0	0
ISHARES INC	MSCI TURKEY FD	464286715	4051	72495	SH		DEFINED	3	72495	0	0
ISHARES INC	MSCI TAIWAN	464286731	366	27422	SH		DEFINED	"5,7"	27422	0	0
ISHARES INC	MSCI TAIWAN	464286731	176	13200	SH		DEFINED	2	13200	0	0
ISHARES INC	MSCI TAIWAN	464286731	855	64007	SH		DEFINED	3	64007	0	0
ISHARES INC	MSCI TAIWAN	464286731	6917	515600	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI TAIWAN	464286731	276	20600	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI TAIWAN	464286731	6089	453900	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI TAIWAN	464286731	232	17300	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI SWITZERLD	464286749	1321	53733	SH		DEFINED	3	53733	0	0
ISHARES INC	MSCI SWEDEN	464286756	1912	67670	SH		DEFINED	2	67670	0	0
ISHARES INC	MSCI SWEDEN	464286756	1048	37082	SH		DEFINED	3	37082	0	0
ISHARES INC	MSCI SWEDEN	464286756	656	23200	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI SPAIN	464286764	3957	142921	SH		DEFINED	3	142921	0	0
ISHARES INC	MSCI SPAIN	464286764	6966	251562	SH		DEFINED	2	251562	0	0
ISHARES INC	MSCI SPAIN	464286764	5887	212600	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI SPAIN	464286764	16534	597100	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI S KOREA	464286772	5880	99446	SH		DEFINED	2	99446	0	0
ISHARES INC	MSCI S KOREA	464286772	47116	790400	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI S KOREA	464286772	1407	23600	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI S KOREA	464286772	36034	604500	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI S KOREA	464286772	1520	25500	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI STH AFRCA	464286780	1363	20413	SH		DEFINED	3	20413	0	0
ISHARES INC	MSCI STH AFRCA	464286780	260	3900	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI STH AFRCA	464286780	1989	29800	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI STH AFRCA	464286780	501	7500	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI STH AFRCA	464286780	3798	56900	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI GERMAN	464286806	3500	155000	SH		DEFINED	2	155000	0	0
ISHARES INC	MSCI GERMAN	464286806	13814	611800	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI GERMAN	464286806	379	16800	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI GERMAN	464286806	7542	334000	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI GERMAN	464286806	29681	1314500	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI MEX INVEST	464286822	14953	228681	SH		DEFINED	2	228681	0	0
ISHARES INC	MSCI MEX INVEST	464286822	3590	54900	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI MEX INVEST	464286822	1798	27500	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI MEX INVEST	464286822	13869	212100	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI MEX INVEST	464286822	16838	257500	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI MALAYSIA	464286830	939	64469	SH		DEFINED	3	64469	0	0
ISHARES INC	MSCI MALAYSIA	464286830	222	15200	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI JAPAN	464286848	170	18582	SH		DEFINED	3	18582	0	0
ISHARES INC	MSCI JAPAN	464286848	5692	621346	SH		DEFINED	2	621346	0	0
ISHARES INC	MSCI JAPAN	464286848	1273	138996	SH		DEFINED	1	138996	0	0
ISHARES INC	MSCI JAPAN	464286848	2124	227200	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI JAPAN	464286848	127	13600	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI JAPAN	464286848	847	90600	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI JAPAN	464286848	269	28800	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI ITALY	464286855	518	43061	SH		DEFINED	2	43061	0	0
ISHARES INC	MSCI ITALY	464286855	5387	447800	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI ITALY	464286855	237	19700	SH	CALL	DEFINED	2	0	0	0
ISHARES INC	MSCI HONG KONG	464286871	883	48521	SH		DEFINED	3	48521	0	0
ISHARES INC	MSCI HONG KONG	464286871	282	15516	SH		DEFINED	2	15516	0	0
ISHARES INC	MSCI HONG KONG	464286871	473	25963	SH		DEFINED	1	25963	0	0
ISHARES INC	MSCI HONG KONG	464286871	328	18000	SH	PUT	DEFINED	1	0	0	0
ISHARES INC	MSCI HONG KONG	464286871	390	21400	SH	PUT	DEFINED	2	0	0	0
ISHARES INC	MSCI HONG KONG	464286871	524	28800	SH	CALL	DEFINED	1	0	0	0
ISHARES INC	MSCI HONG KONG	464286871	235	12900	SH	CALL	DEFINED	2	0	0	0
ISHARES S^P GSCI COMMODITY I	UNIT BEN INT	46428R107	895	26466	SH		DEFINED	3	26466	0	0
ISHARES S^P GSCI COMMODITY I	UNIT BEN INT	46428R107	3532	104500	SH	PUT	DEFINED	2	0	0	0
ISHARES S^P GSCI COMMODITY I	UNIT BEN INT	46428R107	3877	114700	SH	CALL	DEFINED	2	0	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	7044	210388	SH		DEFINED	2	210388	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	15896	474794	SH		DEFINED	1	474794	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	1499	44768	SH		DEFINED	3	44768	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	28382	845200	SH	PUT	DEFINED	1	0	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	45763	1362800	SH	PUT	DEFINED	2	0	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	228344	6800000	SH	CALL	DEFINED	2	0	0	0
ISHARES SILVER TRUST	ISHARES	46428Q109	45581	1357400	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	S^P 100 IDX FD	464287101	721	10847	SH		DEFINED	3	10847	0	0
ISHARES TR	S^P 100 IDX FD	464287101	2627	39524	SH		DEFINED	2	39524	0	0
ISHARES TR	S^P 100 IDX FD	464287101	1901	28600	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	S^P 100 IDX FD	464287101	1402	21100	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P 100 IDX FD	464287101	359	5400	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	LRGE GRW INDX	464287119	1024	12935	SH		DEFINED	2	12935	0	0
ISHARES TR	LRGE CORE INDX	464287127	3951	48281	SH		DEFINED	3	48281	0	0
ISHARES TR	NYSE 100INX FD	464287135	700	10382	SH		DEFINED	3	10382	0	0
ISHARES TR	NYSE 100INX FD	464287135	1891	28060	SH		DEFINED	2	28060	0	0
ISHARES TR	NYSE COMP INDX	464287143	1626	21605	SH		DEFINED	3	21605	0	0
ISHARES TR	S^P 1500 INDEX	464287150	1318	20199	SH		DEFINED	2	20199	0	0
ISHARES TR	DJ SEL DIV INX	464287168	1119	19400	SH		DEFINED	1	19400	0	0
ISHARES TR	DJ SEL DIV INX	464287168	2422	41985	SH		DEFINED	3	41985	0	0
ISHARES TR	DJ SEL DIV INX	464287168	14731	255400	SH		DEFINED	2	255400	0	0
ISHARES TR	DJ SEL DIV INX	464287168	2722	47200	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ SEL DIV INX	464287168	14345	248700	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ SEL DIV INX	464287168	542	9400	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	BARCLYS TIPS BD	464287176	402	3300	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	BARCLYS TIPS BD	464287176	950	7800	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	807	23325	SH		DEFINED	1	23325	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	172300	4978319	SH		DEFINED	2	4978319	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	239	6905	SH		DEFINED	3	6905	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	1014	29290	SH		DEFINED	"5,7"	29290	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	30498	877900	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	405642	11676500	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	17283	497500	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	FTSE CHINA25 IDX	464287184	134117	3860600	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	TRANSP AVE IDX	464287192	7757	89082	SH		DEFINED	2	89082	0	0
ISHARES TR	TRANSP AVE IDX	464287192	1506	17300	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	TRANSP AVE IDX	464287192	6418	73700	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	TRANSP AVE IDX	464287192	6261	71900	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	TRANSP AVE IDX	464287192	688	7900	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	S^P 500 INDEX	464287200	2035	14091	SH		DEFINED	3	14091	0	0
ISHARES TR	S^P 500 INDEX	464287200	12514	86662	SH		DEFINED	2	86662	0	0
ISHARES TR	S^P 500 INDEX	464287200	7832	53900	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	S^P 500 INDEX	464287200	770	5300	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	S^P 500 INDEX	464287200	21942	151000	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P 500 INDEX	464287200	712	4900	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	MSCI EMERG MKT	464287234	28565	691313	SH		DEFINED	3	691313	0	0
ISHARES TR	MSCI EMERG MKT	464287234	1900	45990	SH		DEFINED	1	45990	0	0
ISHARES TR	MSCI EMERG MKT	464287234	837579	20270524	SH		DEFINED	2	20270524	0	0
ISHARES TR	MSCI EMERG MKT	464287234	28324	681200	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	MSCI EMERG MKT	464287234	327617	7879200	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	MSCI EMERG MKT	464287234	258191	6209500	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	MSCI EMERG MKT	464287234	112840	2713800	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	IBOXX INV CPBD	464287242	2752	22600	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	IBOXX INV CPBD	464287242	231	1900	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	IBOXX INV CPBD	464287242	499	4100	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P GBL TELCM	464287275	1986	32667	SH		DEFINED	3	32667	0	0
ISHARES TR	S^P GBL INF	464287291	5939	85826	SH		DEFINED	2	85826	0	0
ISHARES TR	S^P GBL INF	464287291	1620	23415	SH		DEFINED	3	23415	0	0
ISHARES TR	S^P500 GRW	464287309	420	5400	SH		DEFINED	2	5400	0	0
ISHARES TR	S^P GBL HLTHCR	464287325	1507	23485	SH		DEFINED	2	23485	0	0
ISHARES TR	S^P GBL HLTHCR	464287325	8273	128924	SH		DEFINED	3	128924	0	0
ISHARES TR	S^P GBL FIN	464287333	4289	102550	SH		DEFINED	2	102550	0	0
ISHARES TR	S^P GBL ENER	464287341	5822	148039	SH		DEFINED	2	148039	0	0
ISHARES TR	S^P GBL ENER	464287341	1071	27220	SH		DEFINED	3	27220	0	0
ISHARES TR	S^P NA NAT RES	464287374	213	5387	SH		DEFINED	3	5387	0	0
ISHARES TR	S^P NA NAT RES	464287374	209	5300	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	S^P/TOPIX 150	464287382	1450	36907	SH		DEFINED	2	36907	0	0
ISHARES TR	S^P LTN AM 40	464287390	10490	246363	SH		DEFINED	2	246363	0	0
ISHARES TR	S^P LTN AM 40	464287390	1848	43400	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	S^P LTN AM 40	464287390	264	6200	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	S^P LTN AM 40	464287390	1635	38400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P 500 VALUE	464287408	1533	23300	SH		DEFINED	1	23300	0	0
ISHARES TR	S^P 500 VALUE	464287408	1276	19400	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	S^P 500 VALUE	464287408	645	9800	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	1453	11700	SH		DEFINED	1	11700	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	395013	3179687	SH		DEFINED	3	3179687	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	19579	157600	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	53419	430000	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	63059	507600	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	6212	50000	SH	CALL	DEFINED	3	0	0	0
ISHARES TR	BARCLYS 20+ YR	464287432	212297	1708900	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	BARCLYS 7-10 YR	464287440	1761	16237	SH		DEFINED	3	16237	0	0
ISHARES TR	BARCLYS 7-10 YR	464287440	6323	58300	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	BARCLYS 7-10 YR	464287440	369	3400	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	BARCLYS 7-10 YR	464287440	3471	32000	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	3014	56875	SH		DEFINED	1	56875	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	404290	7628116	SH		DEFINED	2	7628116	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	6010	113398	SH		DEFINED	3	113398	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	34178	632100	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	203422	3762200	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	77991	1442400	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	MSCI EAFE INDEX	464287465	320927	5935400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSSELL MCP VL	464287473	2553	52393	SH		DEFINED	3	52393	0	0
ISHARES TR	RUSSELL MCP VL	464287473	2697	55364	SH		DEFINED	2	55364	0	0
ISHARES TR	RUSSELL MCP VL	464287473	224	4600	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSSELL MCP VL	464287473	531	10900	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RUSSELL MCP GR	464287481	398	6405	SH		DEFINED	3	6405	0	0
ISHARES TR	RUSSELL MCP GR	464287481	16231	261152	SH		DEFINED	2	261152	0	0
ISHARES TR	RUSSELL MIDCAP	464287499	4911	44333	SH		DEFINED	2	44333	0	0
ISHARES TR	RUSSELL MIDCAP	464287499	2509	22652	SH		DEFINED	3	22652	0	0
ISHARES TR	RUSSELL MIDCAP	464287499	1972	17800	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RUSSELL MIDCAP	464287499	5915	53400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P MIDCAP 400	464287507	415	4210	SH		DEFINED	3	4210	0	0
ISHARES TR	S^P MIDCAP 400	464287507	2133	21617	SH		DEFINED	2	21617	0	0
ISHARES TR	S^P MIDCAP 400	464287507	1518	15300	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	S^P MIDCAP 400	464287507	1875	18900	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	S^P MIDCAP 400	464287507	3720	37500	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	S^P MIDCAP 400	464287507	14313	144300	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P NA SOFTWR	464287515	497	7802	SH		DEFINED	2	7802	0	0
ISHARES TR	PHLX SOX SEMICND	464287523	450	8670	SH		DEFINED	3	8670	0	0
ISHARES TR	PHLX SOX SEMICND	464287523	1214	23400	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	PHLX SOX SEMICND	464287523	1727	33300	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P NA TECH FD	464287549	4082	58941	SH		DEFINED	2	58941	0	0
ISHARES TR	S^P NA TECH FD	464287549	642	9266	SH		DEFINED	3	9266	0	0
ISHARES TR	NASDQ BIO INDX	464287556	9529	66906	SH		DEFINED	3	66906	0	0
ISHARES TR	NASDQ BIO INDX	464287556	4964	34850	SH		DEFINED	2	34850	0	0
ISHARES TR	NASDQ BIO INDX	464287556	214	1500	SH		DEFINED	1	1500	0	0
ISHARES TR	NASDQ BIO INDX	464287556	1609	11300	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	NASDQ BIO INDX	464287556	9714	68200	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	NASDQ BIO INDX	464287556	44054	309300	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	NASDQ BIO INDX	464287556	3931	27600	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	COHEN^ST RLTY	464287564	249	3200	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	COHEN^ST RLTY	464287564	1791	23000	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P GLB100INDX	464287572	4002	64134	SH		DEFINED	3	64134	0	0
ISHARES TR	S^P GLB100INDX	464287572	828	13262	SH		DEFINED	2	13262	0	0
ISHARES TR	CONS SRVC IDX	464287580	3683	42571	SH		DEFINED	2	42571	0	0
ISHARES TR	CONS SRVC IDX	464287580	700	8093	SH		DEFINED	3	8093	0	0
ISHARES TR	RUSSELL1000VAL	464287598	7637	105800	SH		DEFINED	1	105800	0	0
ISHARES TR	RUSSELL1000VAL	464287598	2769	38362	SH		DEFINED	3	38362	0	0
ISHARES TR	RUSSELL1000VAL	464287598	484	6700	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RUSSELL1000VAL	464287598	440	6100	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSSELL1000VAL	464287598	902	12500	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSSELL1000VAL	464287598	13960	193400	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	S^P MC 400 GRW	464287606	3151	28146	SH		DEFINED	2	28146	0	0
ISHARES TR	S^P MC 400 GRW	464287606	753	6724	SH		DEFINED	3	6724	0	0
ISHARES TR	S^P MC 400 GRW	464287606	1467	13100	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSSELL1000GRW	464287614	16875	253000	SH		DEFINED	1	253000	0	0
ISHARES TR	RUSSELL1000GRW	464287614	1388	20813	SH		DEFINED	3	20813	0	0
ISHARES TR	RUSSELL1000GRW	464287614	740	11100	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSSELL1000GRW	464287614	5543	83100	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSSELL1000GRW	464287614	14441	216500	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RUSSELL 1000	464287622	3213	40439	SH		DEFINED	3	40439	0	0
ISHARES TR	RUSSELL 1000	464287622	17720	223000	SH		DEFINED	1	223000	0	0
ISHARES TR	RUSSELL 1000	464287622	373	4700	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSSELL 1000	464287622	1279	16100	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RUSSELL 1000	464287622	516	6500	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSL 2000 VALU	464287630	710	9600	SH		DEFINED	2	9600	0	0
ISHARES TR	RUSL 2000 VALU	464287630	74863	1012488	SH		DEFINED	3	1012488	0	0
ISHARES TR	RUSL 2000 VALU	464287630	10743	145300	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RUSL 2000 VALU	464287630	1094	14800	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSL 2000 VALU	464287630	6093	82400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSL 2000 VALU	464287630	747	10100	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RUSL 2000 GROW	464287648	1001	10472	SH		DEFINED	1	10472	0	0
ISHARES TR	RUSL 2000 GROW	464287648	10739	112320	SH		DEFINED	3	112320	0	0
ISHARES TR	RUSL 2000 GROW	464287648	7018	73400	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSL 2000 GROW	464287648	7419	77600	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RUSL 2000 GROW	464287648	2591	27100	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RUSL 2000 GROW	464287648	1033	10800	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSSELL 2000	464287655	129584	1552648	SH		DEFINED	3	1552648	0	0
ISHARES TR	RUSSELL 2000	464287655	106111	1271400	SH		DEFINED	1	1271400	0	0
ISHARES TR	RUSSELL 2000	464287655	630712	7557057	SH		DEFINED	2	7557057	0	0
ISHARES TR	RUSSELL 2000	464287655	1420570	16903500	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RUSSELL 2000	464287655	447916	5329800	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	RUSSELL 2000	464287655	40911	486800	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RUSSELL 2000	464287655	522964	6222800	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSL 3000 GROW	464287671	1978	36380	SH		DEFINED	3	36380	0	0
ISHARES TR	RUSL 3000 GROW	464287671	1689	31073	SH		DEFINED	2	31073	0	0
ISHARES TR	RUSSELL 3000	464287689	2677	31549	SH		DEFINED	3	31549	0	0
ISHARES TR	RUSSELL 3000	464287689	3711	43736	SH		DEFINED	2	43736	0	0
ISHARES TR	RUSSELL 3000	464287689	1188	14000	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RUSSELL 3000	464287689	10301	121400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	RUSSELL 3000	464287689	297	3500	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	DJ US UTILS	464287697	644	7190	SH		DEFINED	2	7190	0	0
ISHARES TR	S^P MIDCP VALU	464287705	2938	34556	SH		DEFINED	2	34556	0	0
ISHARES TR	DJ US TELECOMM	464287713	12723	498363	SH		DEFINED	3	498363	0	0
ISHARES TR	DJ US TELECOMM	464287713	1936	75831	SH		DEFINED	2	75831	0	0
ISHARES TR	DJ US TELECOMM	464287713	393	15400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ US TECH SEC	464287721	5402	71197	SH		DEFINED	3	71197	0	0
ISHARES TR	DJ US REAL EST	464287739	27986	434625	SH		DEFINED	3	434625	0	0
ISHARES TR	DJ US REAL EST	464287739	9023	140136	SH		DEFINED	1	140136	0	0
ISHARES TR	DJ US REAL EST	464287739	262	4074	SH		DEFINED	2	4074	0	0
ISHARES TR	DJ US REAL EST	464287739	48975	760600	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ US REAL EST	464287739	13142	204100	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	DJ US REAL EST	464287739	165115	2564300	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ US REAL EST	464287739	1326	20600	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	DJ US INDUSTRL	464287754	202	2863	SH		DEFINED	2	2863	0	0
ISHARES TR	DJ US HEALTHCR	464287762	2906	34356	SH		DEFINED	2	34356	0	0
ISHARES TR	DJ US HEALTHCR	464287762	7351	86900	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ US HEALTHCR	464287762	1768	20900	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ US FINL SVC	464287770	2638	47394	SH		DEFINED	3	47394	0	0
ISHARES TR	DJ US FINL SEC	464287788	2139	36680	SH		DEFINED	2	36680	0	0
ISHARES TR	DJ US FINL SEC	464287788	1044	17900	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ US FINL SEC	464287788	688	11800	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ US ENERGY	464287796	1068	25293	SH		DEFINED	3	25293	0	0
ISHARES TR	DJ US ENERGY	464287796	891	21100	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P SMLCAP 600	464287804	1021	13251	SH		DEFINED	3	13251	0	0
ISHARES TR	S^P SMLCAP 600	464287804	39015	506223	SH		DEFINED	2	506223	0	0
ISHARES TR	S^P SMLCAP 600	464287804	675	8700	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	S^P SMLCAP 600	464287804	2265	29200	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	S^P SMLCAP 600	464287804	17487	225400	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P SMLCAP 600	464287804	877	11300	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	CONS GOODS IDX	464287812	781	10490	SH		DEFINED	3	10490	0	0
ISHARES TR	CONS GOODS IDX	464287812	688	9243	SH		DEFINED	2	9243	0	0
ISHARES TR	DJ US BAS MATL	464287838	1102	16274	SH		DEFINED	2	16274	0	0
ISHARES TR	DJ US BAS MATL	464287838	1253	18500	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ US BAS MATL	464287838	535	7900	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ US INDEX FD	464287846	9561	132795	SH		DEFINED	3	132795	0	0
ISHARES TR	S^P EURO PLUS	464287861	530	14500	SH		DEFINED	2	14500	0	0
ISHARES TR	S^P EURO PLUS	464287861	2257	61801	SH		DEFINED	3	61801	0	0
ISHARES TR	S^P SMLCP VALU	464287879	10356	131091	SH		DEFINED	2	131091	0	0
ISHARES TR	S^P SMLCP VALU	464287879	435	5500	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	S^P SMLCP VALU	464287879	2915	36900	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	S^P SMLCP VALU	464287879	1462	18500	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P SMLCP GROW	464287887	3795	45412	SH		DEFINED	2	45412	0	0
ISHARES TR	LARGE VAL INDX	464288109	1500	22935	SH		DEFINED	3	22935	0	0
ISHARES TR	S^P CITINT TBD	464288117	534	5191	SH		DEFINED	3	5191	0	0
ISHARES TR	S^P SH NTL AMTFR	464288158	1281	11983	SH		DEFINED	3	11983	0	0
ISHARES TR	S^P GTFIDX ETF	464288174	1050	25775	SH		DEFINED	2	25775	0	0
ISHARES TR	MSCI ACJPN IDX	464288182	6868	122083	SH		DEFINED	3	122083	0	0
ISHARES TR	MSCI ACJPN IDX	464288182	6390	113571	SH		DEFINED	2	113571	0	0
ISHARES TR	FTSE CHINA ETF	464288190	1842	43251	SH		DEFINED	2	43251	0	0
ISHARES TR	FTSE CHINA ETF	464288190	929	21806	SH		DEFINED	3	21806	0	0
ISHARES TR	MID CORE INDEX	464288208	2721	28495	SH		DEFINED	2	28495	0	0
ISHARES TR	S^P EMRG INFRS	464288216	3302	101263	SH		DEFINED	2	101263	0	0
ISHARES TR	S^P GLBIDX ETF	464288224	385	56168	SH		DEFINED	2	56168	0	0
ISHARES TR	S^P GLBIDX ETF	464288224	111	16252	SH		DEFINED	3	16252	0	0
ISHARES TR	S^P NUCIDX ETF	464288232	1441	44022	SH		DEFINED	2	44022	0	0
ISHARES TR	S^P NUCIDX ETF	464288232	231	7051	SH		DEFINED	3	7051	0	0
ISHARES TR	MSCI ACWI EX	464288240	3356	85059	SH		DEFINED	3	85059	0	0
ISHARES TR	MSCI ACWI EX	464288240	254	6426	SH		DEFINED	2	6426	0	0
ISHARES TR	MSCI ACWI INDX	464288257	9687	207473	SH		DEFINED	3	207473	0	0
ISHARES TR	MSCI ACWI INDX	464288257	4805	102913	SH		DEFINED	2	102913	0	0
ISHARES TR	MSCI SMALL CAP	464288273	1069	27630	SH		DEFINED	3	27630	0	0
ISHARES TR	MSCI SMALL CAP	464288273	7063	182497	SH		DEFINED	2	182497	0	0
ISHARES TR	MID GRWTH INDX	464288307	2127	19987	SH		DEFINED	2	19987	0	0
ISHARES TR	S^P AMTFREE MUNI	464288323	1312	11643	SH		DEFINED	3	11643	0	0
ISHARES TR	S^P GLO INFRAS	464288372	1635	46387	SH		DEFINED	2	46387	0	0
ISHARES TR	S^P GLO INFRAS	464288372	1747	49571	SH		DEFINED	3	49571	0	0
ISHARES TR	MID VAL INDEX	464288406	2906	36582	SH		DEFINED	2	36582	0	0
ISHARES TR	S^P NTL AMTFREE	464288414	486	4335	SH		DEFINED	3	4335	0	0
ISHARES TR	S^P DEV EX-US	464288422	755	22182	SH		DEFINED	3	22182	0	0
ISHARES TR	S^P DEV EX-US	464288422	563	16547	SH		DEFINED	2	16547	0	0
ISHARES TR	S^P ASIA 50 IN	464288430	5919	133222	SH		DEFINED	2	133222	0	0
ISHARES TR	EPRA/NAR DEV ASI	464288463	3432	108525	SH		DEFINED	2	108525	0	0
ISHARES TR	EPRA/NAR DEV EUR	464288471	1210	42160	SH		DEFINED	2	42160	0	0
ISHARES TR	EPRA/NAR DEV R/E	464288489	3729	119872	SH		DEFINED	3	119872	0	0
ISHARES TR	EPRA/NAR DEV R/E	464288489	4964	159549	SH		DEFINED	2	159549	0	0
ISHARES TR	DEV SM CP EX-N	464288497	1525	44786	SH		DEFINED	2	44786	0	0
ISHARES TR	SMLL CORE INDX	464288505	798	8532	SH		DEFINED	2	8532	0	0
ISHARES TR	HIGH YLD CORP	464288513	11811	127870	SH		DEFINED	2	127870	0	0
ISHARES TR	HIGH YLD CORP	464288513	261	2827	SH		DEFINED	3	2827	0	0
ISHARES TR	HIGH YLD CORP	464288513	10863	117600	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	HIGH YLD CORP	464288513	16959	183600	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	HIGH YLD CORP	464288513	5819	63000	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	HIGH YLD CORP	464288513	277	3000	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	MRTG PLS CAP IDX	464288539	1827	121559	SH		DEFINED	2	121559	0	0
ISHARES TR	RETAIL CAP IDX	464288547	1995	57243	SH		DEFINED	2	57243	0	0
ISHARES TR	INDL OFF CAP IDX	464288554	715	24964	SH		DEFINED	2	24964	0	0
ISHARES TR	RESIDENT PLS CAP	464288562	467	9907	SH		DEFINED	2	9907	0	0
ISHARES TR	MSCI KLD400 SOC	464288570	3175	60939	SH		DEFINED	3	60939	0	0
ISHARES TR	BARCLYS MBS BD	464288588	5589	51199	SH		DEFINED	3	51199	0	0
ISHARES TR	BARCLYS GOVT CR	464288596	2542	21885	SH		DEFINED	3	21885	0	0
ISHARES TR	SMLL GRWTH IDX	464288604	3259	34326	SH		DEFINED	2	34326	0	0
ISHARES TR	BARCLYS CR BD	464288620	9523	83596	SH		DEFINED	3	83596	0	0
ISHARES TR	BARCLYS INTER CR	464288638	5909	53028	SH		DEFINED	3	53028	0	0
ISHARES TR	BARCLYS 10-20YR	464288653	3489	25515	SH		DEFINED	3	25515	0	0
ISHARES TR	BARCLYS 3-7 YR	464288661	2088	16879	SH		DEFINED	3	16879	0	0
ISHARES TR	BARCLYS SH TREA	464288679	3624	32879	SH		DEFINED	3	32879	0	0
ISHARES TR	US PFD STK IDX	464288687	2985	74893	SH		DEFINED	2	74893	0	0
ISHARES TR	US PFD STK IDX	464288687	558	14000	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	US PFD STK IDX	464288687	271	6800	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	S^P GLB MTRLS	464288695	2430	40970	SH		DEFINED	2	40970	0	0
ISHARES TR	SMLL VAL INDX	464288703	441	5001	SH		DEFINED	2	5001	0	0
ISHARES TR	S^P GL UTILITI	464288711	4981	118115	SH		DEFINED	2	118115	0	0
ISHARES TR	S^P GL INDUSTR	464288729	3131	60272	SH		DEFINED	2	60272	0	0
ISHARES TR	S^P GL C STAPL	464288737	4330	58571	SH		DEFINED	3	58571	0	0
ISHARES TR	S^P GL CONSUME	464288745	2879	49600	SH		DEFINED	2	49600	0	0
ISHARES TR	DJ HOME CONSTN	464288752	8933	461441	SH		DEFINED	2	461441	0	0
ISHARES TR	DJ HOME CONSTN	464288752	11672	602900	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ HOME CONSTN	464288752	482	24900	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	DJ HOME CONSTN	464288752	13573	701100	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ HOME CONSTN	464288752	672	34700	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	DJ AEROSPACE	464288760	557	8537	SH		DEFINED	3	8537	0	0
ISHARES TR	DJ AEROSPACE	464288760	1366	20937	SH		DEFINED	2	20937	0	0
ISHARES TR	DJ REGIONAL BK	464288778	2153	84290	SH		DEFINED	2	84290	0	0
ISHARES TR	DJ REGIONAL BK	464288778	930	36400	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ REGIONAL BK	464288778	243	9500	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ INS INDX FD	464288786	510	15900	SH		DEFINED	3	15900	0	0
ISHARES TR	DJ BROKER-DEAL	464288794	899	40480	SH		DEFINED	2	40480	0	0
ISHARES TR	MSCI ESG SEL SOC	464288802	1945	32451	SH		DEFINED	2	32451	0	0
ISHARES TR	MSCI ESG SEL SOC	464288802	431	7185	SH		DEFINED	3	7185	0	0
ISHARES TR	DJ MED DEVICES	464288810	391	5693	SH		DEFINED	3	5693	0	0
ISHARES TR	DJ HEALTH CARE	464288828	1255	18300	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ HEALTH CARE	464288828	1015	14800	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ PHARMA INDX	464288836	732	8167	SH		DEFINED	2	8167	0	0
ISHARES TR	DJ PHARMA INDX	464288836	921	10277	SH		DEFINED	3	10277	0	0
ISHARES TR	DJ OIL EQUIP	464288844	572	11005	SH		DEFINED	2	11005	0	0
ISHARES TR	DJ OIL EQUIP	464288844	1618	31100	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	DJ OIL EQUIP	464288844	276	5300	SH	PUT	DEFINED	1	0	0	0
ISHARES TR	DJ OIL EQUIP	464288844	5440	104600	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	DJ OIL^GAS EXP	464288851	923	14400	SH		DEFINED	1	14400	0	0
ISHARES TR	DJ OIL^GAS EXP	464288851	647	10088	SH		DEFINED	2	10088	0	0
ISHARES TR	DJ OIL^GAS EXP	464288851	436	6800	SH	CALL	DEFINED	1	0	0	0
ISHARES TR	RSSL MCRCP IDX	464288869	486	9200	SH		DEFINED	2	9200	0	0
ISHARES TR	RSSL MCRCP IDX	464288869	555	10496	SH		DEFINED	3	10496	0	0
ISHARES TR	RSSL MCRCP IDX	464288869	317	6000	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	RSSL MCRCP IDX	464288869	211	4000	SH	CALL	DEFINED	2	0	0	0
ISHARES TR	MSCI VAL IDX	464288877	700	15426	SH		DEFINED	2	15426	0	0
ISHARES TR	MSCI VAL IDX	464288877	248	5454	SH		DEFINED	3	5454	0	0
ISHARES TR	MSCI VAL IDX	464288877	3864	85100	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	MSCI GRW IDX	464288885	4788	84773	SH		DEFINED	2	84773	0	0
ISHARES TR	MSCI GRW IDX	464288885	243	4300	SH		DEFINED	3	4300	0	0
ISHARES TR	ZEALAND INVST	464289123	838	24894	SH		DEFINED	2	24894	0	0
ISHARES TR	MSCI BRAZ SMCP	464289131	3857	146968	SH		DEFINED	2	146968	0	0
ISHARES TR	MSCI ACWI EX	464289164	1620	76277	SH		DEFINED	2	76277	0	0
ISHARES TR	MSCI EM MK FNL	464289172	237	10074	SH		DEFINED	2	10074	0	0
ISHARES TR	MSCI EURO FINL	464289180	1164	67508	SH		DEFINED	2	67508	0	0
ISHARES TR	MSCI EURO FINL	464289180	1027	59580	SH		DEFINED	3	59580	0	0
ISHARES TR	MSCI EMG MATS	464289198	219	11178	SH		DEFINED	3	11178	0	0
ISHARES TR	MSCI EMG MATS	464289198	1710	87222	SH		DEFINED	2	87222	0	0
ISHARES TR	MSCI FAR EAST	464289214	852	34929	SH		DEFINED	2	34929	0	0
ISHARES TR	2017 S^P AMTFR	464289271	799	14350	SH		DEFINED	3	14350	0	0
ISHARES TR	2016 S^P AMTFR	464289313	787	14634	SH		DEFINED	3	14634	0	0
ISHARES TR	2015 S^P AMTFR	464289339	1998	37519	SH		DEFINED	3	37519	0	0
ISHARES TR	2014 S^P AMTFR	464289362	602	11680	SH		DEFINED	3	11680	0	0
ISHARES TR	2013 S^P AMTFR	464289388	2690	53066	SH		DEFINED	3	53066	0	0
ISHARES TR	S^P TARGET 20	464289404	1279	36921	SH		DEFINED	3	36921	0	0
ISHARES TR	RUS200 VAL IDX	464289420	2696	86262	SH		DEFINED	3	86262	0	0
ISHARES TR	RUS200 GRW IDX	464289438	707	19739	SH		DEFINED	2	19739	0	0
ISHARES TR	RUS200 IDX ETF	464289446	2218	66436	SH		DEFINED	2	66436	0	0
ISHARES TR	S^P TARGET 25	464289503	661	18903	SH		DEFINED	3	18903	0	0
ISHARES TR	S^P INDIA 50	464289529	1003	40887	SH		DEFINED	2	40887	0	0
ISHARES TR	HLTH CR IDX FD	464289552	349	5385	SH		DEFINED	3	5385	0	0
ISHARES TR	TELECM SVCS FD	464289560	311	5784	SH		DEFINED	2	5784	0	0
ISHARES TR	ENERGY IDX FD	464289594	1125	20548	SH		DEFINED	2	20548	0	0
ISHARES TR	INDSTRLS IX FD	464289610	1682	32763	SH		DEFINED	2	32763	0	0
ISHARES TR	MSCI ACWI EX	464289636	1861	31427	SH		DEFINED	2	31427	0	0
ISHARES TR	MSCI PERU CAP	464289842	541	12200	SH		DEFINED	3	12200	0	0
ISHARES TR	MSCI PERU CAP	464289842	666	15031	SH		DEFINED	2	15031	0	0
ISHARES TR	S^P GRWTH ALL	464289867	410	12142	SH		DEFINED	3	12142	0	0
ISHARES TR	S^P MODERATE	464289875	447	14138	SH		DEFINED	3	14138	0	0
ISHARES TR	MSCI CHIN SMCP	46429B200	822	24939	SH		DEFINED	2	24939	0	0
ISHARES TR	US TREASURY BD	46429B267	466	18385	SH		DEFINED	3	18385	0	0
ISHARES TR	AAA A RATED CP	46429B291	551	10519	SH		DEFINED	3	10519	0	0
ISHARES TR	INDONE INVS MRKT	46429B309	689	23076	SH		DEFINED	2	23076	0	0
ISHARES TR	INDONE INVS MRKT	46429B309	1870	62590	SH		DEFINED	3	62590	0	0
ISHARES TR	PHILL INVSTMRK	46429B408	1229	40099	SH		DEFINED	2	40099	0	0
ISHARES TR	POLND INVT MKT	46429B606	1154	43777	SH		DEFINED	3	43777	0	0
ISHARES TR	TRGT 2050 INDX	46429B630	222	8049	SH		DEFINED	3	8049	0	0
ISHARES TR	TRGT 2045 INDX	46429B648	517	18711	SH		DEFINED	3	18711	0	0
ISHARES TR	HGH DIV EQT FD	46429B663	3888	63813	SH		DEFINED	2	63813	0	0
ISHARES TR	MSCI CHINA IDX	46429B671	2878	68515	SH		DEFINED	2	68515	0	0
ISHARES TR	MSCI CHINA IDX	46429B671	556	13228	SH		DEFINED	3	13228	0	0
ISHARES TR	MSCI CHINA IDX	46429B671	223	5300	SH	PUT	DEFINED	2	0	0	0
ISHARES TR	USA MIN VOL ID	46429B697	3048	102543	SH		DEFINED	2	102543	0	0
ISHARES TR	MSCI RUSS INDX	46429B705	322	14273	SH		DEFINED	3	14273	0	0
ISIS PHARMACEUTICALS INC	COM	464330109	1140	81000	SH	PUT	DEFINED	1	0	0	0
ISIS PHARMACEUTICALS INC	COM	464330109	919	65300	SH	PUT	DEFINED	2	0	0	0
ISIS PHARMACEUTICALS INC	COM	464330109	2348	166900	SH	CALL	DEFINED	2	0	0	0
ISIS PHARMACEUTICALS INC	COM	464330109	1023	72700	SH	CALL	DEFINED	1	0	0	0
ISOFTSTONE HLDGS LTD	SPONSORED ADS	46489B108	86	16200	SH	CALL	DEFINED	2	0	0	0
ISTAR FINL INC	COM	45031U101	1191	143848	SH		DEFINED	2	143848	0	0
ISTAR FINL INC	COM	45031U101	127	15329	SH		DEFINED	3	15329	0	0
ISTAR FINL INC	COM	45031U101	2836	342500	SH	PUT	DEFINED	2	0	0	0
ISTAR FINL INC	COM	45031U101	335	40500	SH	CALL	DEFINED	2	0	0	0
ITAU UNIBANCO HLDG SA	SPON ADR REP PFD	465562106	842	55137	SH		DEFINED	1	55137	0	0
ITAU UNIBANCO HLDG SA	SPON ADR REP PFD	465562106	12329	806863	SH		DEFINED	2	806863	0	0
ITAU UNIBANCO HLDG SA	SPON ADR REP PFD	465562106	3663	239700	SH	PUT	DEFINED	1	0	0	0
ITAU UNIBANCO HLDG SA	SPON ADR REP PFD	465562106	44083	2885000	SH	PUT	DEFINED	2	0	0	0
ITAU UNIBANCO HLDG SA	SPON ADR REP PFD	465562106	15766	1031800	SH	CALL	DEFINED	2	0	0	0
ITAU UNIBANCO HLDG SA	SPON ADR REP PFD	465562106	1754	114800	SH	CALL	DEFINED	1	0	0	0
ITC HLDGS CORP	COM	465685105	582	7700	SH	PUT	DEFINED	2	0	0	0
ITC HLDGS CORP	COM	465685105	877	11600	SH	CALL	DEFINED	2	0	0	0
ITRON INC	COM	465741106	3012	69800	SH	PUT	DEFINED	2	0	0	0
ITRON INC	COM	465741106	2736	63400	SH	CALL	DEFINED	2	0	0	0
ITT CORP NEW	COM NEW	450911201	1428	70844	SH		DEFINED	2	70844	0	0
ITT CORP NEW	COM NEW	450911201	1783	88500	SH	PUT	DEFINED	2	0	0	0
ITT CORP NEW	COM NEW	450911201	208	10300	SH	CALL	DEFINED	2	0	0	0
ITT EDUCATIONAL SERVICES INC	COM	45068B109	4333	134431	SH		DEFINED	2	134431	0	0
ITT EDUCATIONAL SERVICES INC	COM	45068B109	1026	31845	SH		DEFINED	3	31845	0	0
ITT EDUCATIONAL SERVICES INC	COM	45068B109	443	13733	SH		DEFINED	1	13733	0	0
ITT EDUCATIONAL SERVICES INC	COM	45068B109	1015	31500	SH	PUT	DEFINED	1	0	0	0
ITT EDUCATIONAL SERVICES INC	COM	45068B109	13852	429800	SH	PUT	DEFINED	2	0	0	0
ITT EDUCATIONAL SERVICES INC	COM	45068B109	9875	306400	SH	CALL	DEFINED	2	0	0	0
J & J SNACK FOODS CORP	COM	466032109	260	4527	SH		DEFINED	3	4527	0	0
J2 GLOBAL INC	COM	48123V102	286	8703	SH		DEFINED	3	8703	0	0
J2 GLOBAL INC	COM	48123V102	2965	90333	SH		DEFINED	2	90333	0	0
J2 GLOBAL INC	COM	48123V102	358	10900	SH	PUT	DEFINED	2	0	0	0
JA SOLAR HOLDINGS CO LTD	SPON ADR	466090107	109	128133	SH		DEFINED	2	128133	0	0
JA SOLAR HOLDINGS CO LTD	SPON ADR	466090107	58	67200	SH	PUT	DEFINED	2	0	0	0
JABIL CIRCUIT INC	COM	466313103	213	11373	SH		DEFINED	1	11373	0	0
JABIL CIRCUIT INC	COM	466313103	1798	96041	SH		DEFINED	9	96041	0	0
JABIL CIRCUIT INC	COM	466313103	2738	146254	SH		DEFINED	2	146254	0	0
JABIL CIRCUIT INC	COM	466313103	4133	220800	SH	PUT	DEFINED	2	0	0	0
JABIL CIRCUIT INC	COM	466313103	1318	70400	SH	PUT	DEFINED	1	0	0	0
JABIL CIRCUIT INC	COM	466313103	8999	480700	SH	CALL	DEFINED	2	0	0	0
JACK IN THE BOX INC	COM	466367109	1560	55500	SH	PUT	DEFINED	2	0	0	0
JACK IN THE BOX INC	COM	466367109	1259	44800	SH	CALL	DEFINED	2	0	0	0
JACOBS ENGR GROUP INC DEL	COM	469814107	3232	79937	SH		DEFINED	2	79937	0	0
JACOBS ENGR GROUP INC DEL	COM	469814107	10128	250500	SH	PUT	DEFINED	2	0	0	0
JACOBS ENGR GROUP INC DEL	COM	469814107	6339	156800	SH	CALL	DEFINED	2	0	0	0
JAGUAR MNG INC	COM	47009M103	97	81059	SH		DEFINED	2	81059	0	0
JAGUAR MNG INC	COM	47009M103	450	375252	SH		DEFINED	3	375252	0	0
JAGUAR MNG INC	COM	47009M103	126	105300	SH	PUT	DEFINED	2	0	0	0
JAGUAR MNG INC	COM	47009M103	114	95400	SH	CALL	DEFINED	2	0	0	0
JAKKS PAC INC	COM	47012E106	1352	92800	SH	CALL	DEFINED	2	0	0	0
JAMBA INC	COM	47023A101	69	30965	SH		DEFINED	2	30965	0	0
JAMES RIVER COAL CO	COM NEW	470355207	31	10682	SH		DEFINED	2	10682	0	0
JAMES RIVER COAL CO	COM NEW	470355207	283	98271	SH		DEFINED	1	98271	0	0
JAMES RIVER COAL CO	COM NEW	470355207	548	190132	SH		DEFINED	3	190132	0	0
JAMES RIVER COAL CO	COM NEW	470355207	1701	590600	SH	PUT	DEFINED	2	0	0	0
JAMES RIVER COAL CO	COM NEW	470355207	734	254900	SH	PUT	DEFINED	1	0	0	0
JAMES RIVER COAL CO	COM NEW	470355207	1366	474200	SH	CALL	DEFINED	2	0	0	0
JAMES RIVER COAL CO	COM NEW	470355207	345	119900	SH	CALL	DEFINED	1	0	0	0
JAMES RIVER COAL CO	NOTE   3.125% 3/1	470355AH1	2986	9047000	PRN		DEFINED	"5,7"	0	0	0
JANUS CAP GROUP INC	COM	47102X105	143	15192	SH		DEFINED	2	15192	0	0
JANUS CAP GROUP INC	COM	47102X105	114	12100	SH	PUT	DEFINED	2	0	0	0
JANUS CAP GROUP INC	COM	47102X105	156	16500	SH	CALL	DEFINED	2	0	0	0
JAPAN SMALLER CAPTLZTN FD IN	COM	47109U104	1113	154780	SH		DEFINED	3	154780	0	0
JARDEN CORP	COM	471109108	404	7655	SH		DEFINED	3	7655	0	0
JARDEN CORP	COM	471109108	4999	94600	SH		DEFINED	9	94600	0	0
JARDEN CORP	COM	471109108	254	4811	SH		DEFINED	2	4811	0	0
JARDEN CORP	COM	471109108	5770	109200	SH	PUT	DEFINED	2	0	0	0
JARDEN CORP	COM	471109108	2299	43500	SH	CALL	DEFINED	2	0	0	0
JAZZ PHARMACEUTICALS PLC	SHS USD	G50871105	2799	49100	SH	PUT	DEFINED	2	0	0	0
JAZZ PHARMACEUTICALS PLC	SHS USD	G50871105	8791	154200	SH	CALL	DEFINED	2	0	0	0
JAZZ PHARMACEUTICALS PLC	SHS USD	G50871105	274	4800	SH	CALL	DEFINED	1	0	0	0
JDA SOFTWARE GROUP INC	COM	46612K108	302	9500	SH		DEFINED	9	9500	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	197	15918	SH		DEFINED	3	15918	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	214	17312	SH		DEFINED	1	17312	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	8187	661010	SH		DEFINED	2	661010	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	9307	751500	SH	PUT	DEFINED	2	0	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	726	58600	SH	PUT	DEFINED	1	0	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	5473	441900	SH	CALL	DEFINED	2	0	0	0
JDS UNIPHASE CORP	COM PAR $0.001	46612J507	617	49800	SH	CALL	DEFINED	1	0	0	0
JEFFERIES GROUP INC NEW	COM	472319102	6655	486100	SH	PUT	DEFINED	2	0	0	0
JEFFERIES GROUP INC NEW	COM	472319102	534	39000	SH	PUT	DEFINED	1	0	0	0
JEFFERIES GROUP INC NEW	COM	472319102	6117	446800	SH	CALL	DEFINED	2	0	0	0
JETBLUE AIRWAYS CORP	COM	477143101	113	23524	SH		DEFINED	3	23524	0	0
JETBLUE AIRWAYS CORP	COM	477143101	180	37648	SH		DEFINED	2	37648	0	0
JETBLUE AIRWAYS CORP	COM	477143101	912	190300	SH	PUT	DEFINED	2	0	0	0
JETBLUE AIRWAYS CORP	COM	477143101	2615	545900	SH	CALL	DEFINED	2	0	0	0
JINKOSOLAR HLDG CO LTD	SPONSORED ADR	47759T100	139	36803	SH		DEFINED	2	36803	0	0
JINKOSOLAR HLDG CO LTD	SPONSORED ADR	47759T100	134	35400	SH	PUT	DEFINED	2	0	0	0
JINPAN INTL LTD	ORD	G5138L100	103	21100	SH	CALL	DEFINED	2	0	0	0
JIVE SOFTWARE INC	COM	47760A108	292	18600	SH	PUT	DEFINED	2	0	0	0
JIVE SOFTWARE INC	COM	47760A108	2946	187500	SH	CALL	DEFINED	2	0	0	0
JOHNSON & JOHNSON	COM	478160104	21701	314923	SH		DEFINED	2	314923	0	0
JOHNSON & JOHNSON	COM	478160104	9192	133394	SH		DEFINED	1	133394	0	0
JOHNSON & JOHNSON	COM	478160104	485	7033	SH		DEFINED	3	7033	0	0
JOHNSON & JOHNSON	COM	478160104	42111	611100	SH	PUT	DEFINED	1	0	0	0
JOHNSON & JOHNSON	COM	478160104	2288	33200	SH	PUT	DEFINED	3	0	0	0
JOHNSON & JOHNSON	COM	478160104	131970	1915100	SH	PUT	DEFINED	2	0	0	0
JOHNSON & JOHNSON	COM	478160104	3039	44100	SH	CALL	DEFINED	3	0	0	0
JOHNSON & JOHNSON	COM	478160104	29335	425700	SH	CALL	DEFINED	1	0	0	0
JOHNSON & JOHNSON	COM	478160104	141431	2052400	SH	CALL	DEFINED	2	0	0	0
JOHNSON CTLS INC	COM	478366107	1500	54738	SH		DEFINED	2	54738	0	0
JOHNSON CTLS INC	COM	478366107	436	15900	SH	PUT	DEFINED	1	0	0	0
JOHNSON CTLS INC	COM	478366107	10242	373800	SH	PUT	DEFINED	2	0	0	0
JOHNSON CTLS INC	COM	478366107	13092	477800	SH	CALL	DEFINED	2	0	0	0
JONES GROUP INC	COM	48020T101	142	11062	SH		DEFINED	2	11062	0	0
JONES GROUP INC	COM	48020T101	1126	87500	SH	CALL	DEFINED	2	0	0	0
JONES LANG LASALLE INC	COM	48020Q107	634	8299	SH		DEFINED	2	8299	0	0
JONES LANG LASALLE INC	COM	48020Q107	1023	13400	SH	PUT	DEFINED	2	0	0	0
JONES LANG LASALLE INC	COM	48020Q107	1145	15000	SH	CALL	DEFINED	2	0	0	0
JONES SODA CO	COM	48023P106	4	14524	SH		DEFINED	3	14524	0	0
JOS A BANK CLOTHIERS INC	COM	480838101	3578	73800	SH	PUT	DEFINED	2	0	0	0
JOS A BANK CLOTHIERS INC	COM	480838101	1294	26700	SH	CALL	DEFINED	2	0	0	0
JOY GLOBAL INC	COM	481165108	59002	1052480	SH		DEFINED	2	1052480	0	0
JOY GLOBAL INC	COM	481165108	1211	21603	SH		DEFINED	3	21603	0	0
JOY GLOBAL INC	COM	481165108	88121	1571900	SH	PUT	DEFINED	2	0	0	0
JOY GLOBAL INC	COM	481165108	8583	153100	SH	PUT	DEFINED	1	0	0	0
JOY GLOBAL INC	COM	481165108	561	10000	SH	PUT	DEFINED	3	0	0	0
JOY GLOBAL INC	COM	481165108	13432	239600	SH	CALL	DEFINED	2	0	0	0
JOY GLOBAL INC	COM	481165108	9334	166500	SH	CALL	DEFINED	1	0	0	0
JPMORGAN CHASE & CO	COM	46625H100	409757	10122458	SH		DEFINED	2	10122458	0	0
JPMORGAN CHASE & CO	COM	46625H100	15916	393187	SH		DEFINED	1	393187	0	0
JPMORGAN CHASE & CO	COM	46625H100	10855	268148	SH		DEFINED	3	268148	0	0
JPMORGAN CHASE & CO	COM	46625H100	49543	1223900	SH	PUT	DEFINED	1	0	0	0
JPMORGAN CHASE & CO	COM	46625H100	3166	78200	SH	PUT	DEFINED	3	0	0	0
JPMORGAN CHASE & CO	COM	46625H100	560883	13855800	SH	PUT	DEFINED	2	0	0	0
JPMORGAN CHASE & CO	COM	46625H100	4955	122400	SH	CALL	DEFINED	3	0	0	0
JPMORGAN CHASE & CO	COM	46625H100	306134	7562600	SH	CALL	DEFINED	2	0	0	0
JPMORGAN CHASE & CO	COM	46625H100	66383	1639900	SH	CALL	DEFINED	1	0	0	0
JPMORGAN CHASE & CO	ALERIAN ML ETN	46625H365	202	5000	SH	PUT	DEFINED	2	0	0	0
JUNIPER NETWORKS INC	COM	48203R104	471	27548	SH		DEFINED	1	27548	0	0
JUNIPER NETWORKS INC	COM	48203R104	3829	223765	SH		DEFINED	2	223765	0	0
JUNIPER NETWORKS INC	COM	48203R104	276	16144	SH		DEFINED	3	16144	0	0
JUNIPER NETWORKS INC	COM	48203R104	9748	569700	SH	PUT	DEFINED	2	0	0	0
JUNIPER NETWORKS INC	COM	48203R104	770	45000	SH	PUT	DEFINED	1	0	0	0
JUNIPER NETWORKS INC	COM	48203R104	862	50400	SH	CALL	DEFINED	1	0	0	0
JUNIPER NETWORKS INC	COM	48203R104	11416	667200	SH	CALL	DEFINED	2	0	0	0
K-SWISS INC	CL A	482686102	94	27334	SH		DEFINED	3	27334	0	0
KAISER ALUMINUM CORP	COM PAR $0.01	483007704	229	3925	SH		DEFINED	2	3925	0	0
KAISER ALUMINUM CORP	COM PAR $0.01	483007704	204	3500	SH		DEFINED	9	3500	0	0
KAISER ALUMINUM CORP	COM PAR $0.01	483007704	210	3600	SH	PUT	DEFINED	2	0	0	0
KAISER ALUMINUM CORP	COM PAR $0.01	483007704	660	11300	SH	CALL	DEFINED	2	0	0	0
KANDI TECHNOLOGIES CORP	COM	483709101	52	12900	SH	PUT	DEFINED	1	0	0	0
KANDI TECHNOLOGIES CORP	COM	483709101	103	25700	SH	PUT	DEFINED	2	0	0	0
KANDI TECHNOLOGIES CORP	COM	483709101	45	11200	SH	CALL	DEFINED	1	0	0	0
KANDI TECHNOLOGIES CORP	COM	483709101	736	183200	SH	CALL	DEFINED	2	0	0	0
KANSAS CITY SOUTHERN	COM NEW	485170302	2357	31100	SH		DEFINED	9	31100	0	0
KANSAS CITY SOUTHERN	COM NEW	485170302	788	10400	SH		DEFINED	2	10400	0	0
KANSAS CITY SOUTHERN	COM NEW	485170302	2349	31000	SH	PUT	DEFINED	2	0	0	0
KANSAS CITY SOUTHERN	COM NEW	485170302	485	6400	SH	PUT	DEFINED	1	0	0	0
KANSAS CITY SOUTHERN	COM NEW	485170302	2516	33200	SH	CALL	DEFINED	2	0	0	0
KAPSTONE PAPER & PACKAGING C	COM	48562P103	269	12000	SH		DEFINED	9	12000	0	0
KAPSTONE PAPER & PACKAGING C	COM	48562P103	362	16154	SH		DEFINED	2	16154	0	0
KAYDON CORP	COM	486587108	2072	92751	SH		DEFINED	"5,7"	92751	0	0
KAYDON CORP	COM	486587108	1257	56279	SH		DEFINED	2	56279	0	0
KAYDON CORP	COM	486587108	1202	53800	SH	PUT	DEFINED	2	0	0	0
KB HOME	COM	48666K109	11559	805534	SH		DEFINED	2	805534	0	0
KB HOME	COM	48666K109	165	11464	SH		DEFINED	3	11464	0	0
KB HOME	COM	48666K109	151	10547	SH		DEFINED	1	10547	0	0
KB HOME	COM	48666K109	1637	114100	SH	PUT	DEFINED	1	0	0	0
KB HOME	COM	48666K109	313	21800	SH	PUT	DEFINED	3	0	0	0
KB HOME	COM	48666K109	9026	629000	SH	PUT	DEFINED	2	0	0	0
KB HOME	COM	48666K109	2940	204900	SH	CALL	DEFINED	1	0	0	0
KB HOME	COM	48666K109	2186	152300	SH	CALL	DEFINED	3	0	0	0
KB HOME	COM	48666K109	6489	452200	SH	CALL	DEFINED	2	0	0	0
KBR INC	COM	48242W106	662	22195	SH		DEFINED	2	22195	0	0
KBR INC	COM	48242W106	377	12641	SH		DEFINED	1	12641	0	0
KBR INC	COM	48242W106	3280	110000	SH	PUT	DEFINED	2	0	0	0
KBR INC	COM	48242W106	954	32000	SH	PUT	DEFINED	1	0	0	0
KBR INC	COM	48242W106	3414	114500	SH	CALL	DEFINED	2	0	0	0
KCAP FINL INC	COM	48668E101	120	12960	SH		DEFINED	2	12960	0	0
KEEGAN RES INC	COM	487275109	796	214678	SH		DEFINED	2	214678	0	0
KEEGAN RES INC	COM	487275109	450	121200	SH	PUT	DEFINED	2	0	0	0
KELLOGG CO	COM	487836108	2372	45925	SH		DEFINED	2	45925	0	0
KELLOGG CO	COM	487836108	805	15585	SH		DEFINED	1	15585	0	0
KELLOGG CO	COM	487836108	15085	292000	SH	PUT	DEFINED	2	0	0	0
KELLOGG CO	COM	487836108	20938	405300	SH	CALL	DEFINED	2	0	0	0
KELLY SVCS INC	CL A	488152208	136	10761	SH		DEFINED	3	10761	0	0
KELLY SVCS INC	CL A	488152208	221	17500	SH	PUT	DEFINED	2	0	0	0
KELLY SVCS INC	CL A	488152208	202	16000	SH	CALL	DEFINED	2	0	0	0
KEMET CORP	COM NEW	488360207	66	15100	SH	PUT	DEFINED	2	0	0	0
KEMET CORP	COM NEW	488360207	121	27400	SH	CALL	DEFINED	2	0	0	0
KENEXA CORP	COM	488879107	573	12500	SH	PUT	DEFINED	2	0	0	0
KENEXA CORP	COM	488879107	830	18100	SH	CALL	DEFINED	2	0	0	0
KENNAMETAL INC	COM	489170100	340	9162	SH		DEFINED	2	9162	0	0
KENNAMETAL INC	COM	489170100	4069	109737	SH		DEFINED	3	109737	0	0
KENNAMETAL INC	COM	489170100	5399	145600	SH	PUT	DEFINED	3	0	0	0
KENNAMETAL INC	COM	489170100	1698	45800	SH	PUT	DEFINED	2	0	0	0
KENNAMETAL INC	COM	489170100	1009	27200	SH	CALL	DEFINED	2	0	0	0
KERYX BIOPHARMACEUTICALS INC	COM	492515101	437	155089	SH		DEFINED	2	155089	0	0
KERYX BIOPHARMACEUTICALS INC	COM	492515101	1004	355900	SH	PUT	DEFINED	2	0	0	0
KERYX BIOPHARMACEUTICALS INC	COM	492515101	626	222000	SH	CALL	DEFINED	2	0	0	0
KEY ENERGY SVCS INC	COM	492914106	213	30360	SH		DEFINED	2	30360	0	0
KEY ENERGY SVCS INC	COM	492914106	466	66500	SH	PUT	DEFINED	2	0	0	0
KEY ENERGY SVCS INC	COM	492914106	279	39800	SH	CALL	DEFINED	2	0	0	0
KEY TRONICS CORP	COM	493144109	139	14000	SH	PUT	DEFINED	2	0	0	0
KEYCORP NEW	COM	493267108	2888	330423	SH		DEFINED	9	330423	0	0
KEYCORP NEW	COM	493267108	2565	293476	SH		DEFINED	2	293476	0	0
KEYCORP NEW	COM	493267108	388	44353	SH		DEFINED	3	44353	0	0
KEYCORP NEW	COM	493267108	1411	161400	SH	PUT	DEFINED	2	0	0	0
KEYCORP NEW	COM	493267108	1475	168800	SH	CALL	DEFINED	2	0	0	0
KILROY RLTY CORP	COM	49427F108	263	5882	SH		DEFINED	3	5882	0	0
KILROY RLTY CORP	COM	49427F108	345	7700	SH	PUT	DEFINED	1	0	0	0
KILROY RLTY CORP	COM	49427F108	372	8300	SH	PUT	DEFINED	2	0	0	0
KILROY RLTY CORP	COM	49427F108	1402	31300	SH	CALL	DEFINED	2	0	0	0
KILROY RLTY CORP	COM	49427F108	533	11900	SH	CALL	DEFINED	1	0	0	0
KIMBERLY CLARK CORP	COM	494368103	4299	50117	SH		DEFINED	2	50117	0	0
KIMBERLY CLARK CORP	COM	494368103	738	8600	SH	PUT	DEFINED	1	0	0	0
KIMBERLY CLARK CORP	COM	494368103	22560	263000	SH	PUT	DEFINED	2	0	0	0
KIMBERLY CLARK CORP	COM	494368103	695	8100	SH	CALL	DEFINED	1	0	0	0
KIMBERLY CLARK CORP	COM	494368103	50593	589800	SH	CALL	DEFINED	2	0	0	0
KIMBERLY CLARK CORP	COM	494368103	901	10500	SH	CALL	DEFINED	3	0	0	0
KIMCO RLTY CORP	COM	49446R109	604	29795	SH		DEFINED	3	29795	0	0
KIMCO RLTY CORP	COM	49446R109	833	41108	SH		DEFINED	2	41108	0	0
KIMCO RLTY CORP	COM	49446R109	6401	315800	SH	CALL	DEFINED	2	0	0	0
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	1096	13290	SH		DEFINED	3	13290	0	0
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	414	5023	SH		DEFINED	2	5023	0	0
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	792	9600	SH	PUT	DEFINED	1	0	0	0
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	38577	467600	SH	PUT	DEFINED	2	0	0	0
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	1155	14000	SH	CALL	DEFINED	1	0	0	0
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	38792	470200	SH	CALL	DEFINED	2	0	0	0
KINDER MORGAN INC DEL	COM	49456B101	1852	52150	SH		DEFINED	2	52150	0	0
KINDER MORGAN INC DEL	COM	49456B101	3480	97983	SH		DEFINED	1	97983	0	0
KINDER MORGAN INC DEL	COM	49456B101	13825	389225	SH		DEFINED	3	389225	0	0
KINDER MORGAN INC DEL	COM	49456B101	2458	69200	SH	PUT	DEFINED	1	0	0	0
KINDER MORGAN INC DEL	COM	49456B101	15291	430500	SH	PUT	DEFINED	2	0	0	0
KINDER MORGAN INC DEL	COM	49456B101	401	11300	SH	PUT	DEFINED	3	0	0	0
KINDER MORGAN INC DEL	COM	49456B101	12510	352200	SH	CALL	DEFINED	2	0	0	0
KINDER MORGAN INC DEL	COM	49456B101	366	10300	SH	CALL	DEFINED	3	0	0	0
KINDER MORGAN INC DEL	COM	49456B101	5744	161700	SH	CALL	DEFINED	1	0	0	0
KINDER MORGAN INC DEL	*W EXP 05/25/201	49456B119	2665	763716	SH		DEFINED	2	763716	0	0
KINDER MORGAN INC DEL	*W EXP 05/25/201	49456B119	1066	305581	SH		DEFINED	1	305581	0	0
KINDER MORGAN MANAGEMENT LLC	SHS	49455U100	4742	62064	SH		DEFINED	2	62064	0	0
KINDER MORGAN MANAGEMENT LLC	SHS	49455U100	695	9100	SH	PUT	DEFINED	2	0	0	0
KINDER MORGAN MANAGEMENT LLC	SHS	49455U100	917	12000	SH	CALL	DEFINED	2	0	0	0
KINDRED HEALTHCARE INC	COM	494580103	176	15500	SH		DEFINED	9	15500	0	0
KINDRED HEALTHCARE INC	COM	494580103	174	15300	SH	PUT	DEFINED	2	0	0	0
KINDRED HEALTHCARE INC	COM	494580103	923	81100	SH	CALL	DEFINED	2	0	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	6034	590958	SH		DEFINED	3	590958	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	622	60931	SH		DEFINED	1	60931	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	178	17400	SH		DEFINED	"5,7"	17400	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	36128	3538518	SH		DEFINED	2	3538518	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	415	40600	SH	PUT	DEFINED	1	0	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	5501	538800	SH	PUT	DEFINED	3	0	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	37157	3639300	SH	PUT	DEFINED	2	0	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	295	28900	SH	CALL	DEFINED	3	0	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	7977	781300	SH	CALL	DEFINED	2	0	0	0
KINROSS GOLD CORP	COM NO PAR	496902404	795	77900	SH	CALL	DEFINED	1	0	0	0
KIRBY CORP	COM	497266106	304	5500	SH	PUT	DEFINED	2	0	0	0
KIRBY CORP	COM	497266106	1675	30300	SH	CALL	DEFINED	2	0	0	0
KIRKLANDS INC	COM	497498105	222	22400	SH	PUT	DEFINED	2	0	0	0
KIT DIGITAL INC	COM NEW	482470200	527	175770	SH		DEFINED	"5,8"	175770	0	0
KIT DIGITAL INC	COM NEW	482470200	687	229141	SH		DEFINED	2	229141	0	0
KIT DIGITAL INC	COM NEW	482470200	1044	347900	SH	PUT	DEFINED	2	0	0	0
KIT DIGITAL INC	COM NEW	482470200	429	143100	SH	CALL	DEFINED	2	0	0	0
KITE RLTY GROUP TR	COM	49803T102	120	23480	SH		DEFINED	3	23480	0	0
KITE RLTY GROUP TR	COM	49803T102	55	10836	SH		DEFINED	2	10836	0	0
KKR & CO L P DEL	COM UNITS	48248M102	1476	97700	SH	PUT	DEFINED	2	0	0	0
KKR & CO L P DEL	COM UNITS	48248M102	474	31400	SH	CALL	DEFINED	1	0	0	0
KKR & CO L P DEL	COM UNITS	48248M102	3756	248600	SH	CALL	DEFINED	2	0	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	178	17702	SH		DEFINED	3	17702	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	236	23440	SH		DEFINED	2	23440	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	106	10500	SH	PUT	DEFINED	3	0	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	930	92500	SH	PUT	DEFINED	2	0	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	145	14400	SH	PUT	DEFINED	1	0	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	107	10600	SH	CALL	DEFINED	3	0	0	0
KKR FINANCIAL HLDGS LLC	COM	48248A306	2769	275500	SH	CALL	DEFINED	2	0	0	0
KLA-TENCOR CORP	COM	482480100	4059	85088	SH		DEFINED	2	85088	0	0
KLA-TENCOR CORP	COM	482480100	268	5626	SH		DEFINED	3	5626	0	0
KLA-TENCOR CORP	COM	482480100	258	5400	SH	PUT	DEFINED	1	0	0	0
KLA-TENCOR CORP	COM	482480100	11440	239800	SH	PUT	DEFINED	2	0	0	0
KLA-TENCOR CORP	COM	482480100	1364	28600	SH	CALL	DEFINED	1	0	0	0
KLA-TENCOR CORP	COM	482480100	23857	500100	SH	CALL	DEFINED	2	0	0	0
KNIGHT CAP GROUP INC	CL A COM	499005106	1782	665017	SH		DEFINED	3	665017	0	0
KNIGHT CAP GROUP INC	CL A COM	499005106	213	79525	SH		DEFINED	2	79525	0	0
KNIGHT CAP GROUP INC	CL A COM	499005106	1831	683200	SH	PUT	DEFINED	2	0	0	0
KNIGHT CAP GROUP INC	CL A COM	499005106	1747	652000	SH	PUT	DEFINED	3	0	0	0
KNIGHT CAP GROUP INC	CL A COM	499005106	325	121200	SH	CALL	DEFINED	3	0	0	0
KNIGHT CAP GROUP INC	CL A COM	499005106	4491	1675900	SH	CALL	DEFINED	2	0	0	0
KNOLL INC	COM NEW	498904200	378	27100	SH	CALL	DEFINED	2	0	0	0
KODIAK OIL & GAS CORP	COM	50015Q100	8250	881415	SH		DEFINED	2	881415	0	0
KODIAK OIL & GAS CORP	COM	50015Q100	100	10656	SH		DEFINED	3	10656	0	0
KODIAK OIL & GAS CORP	COM	50015Q100	9484	1013300	SH	PUT	DEFINED	2	0	0	0
KODIAK OIL & GAS CORP	COM	50015Q100	12248	1308500	SH	CALL	DEFINED	2	0	0	0
KODIAK OIL & GAS CORP	COM	50015Q100	657	70200	SH	CALL	DEFINED	1	0	0	0
KOHLS CORP	COM	500255104	939	18325	SH		DEFINED	2	18325	0	0
KOHLS CORP	COM	500255104	250	4875	SH		DEFINED	1	4875	0	0
KOHLS CORP	COM	500255104	12005	234380	SH		DEFINED	3	234380	0	0
KOHLS CORP	COM	500255104	21123	412400	SH	PUT	DEFINED	2	0	0	0
KOHLS CORP	COM	500255104	3882	75800	SH	PUT	DEFINED	1	0	0	0
KOHLS CORP	COM	500255104	5173	101000	SH	CALL	DEFINED	1	0	0	0
KOHLS CORP	COM	500255104	32612	636700	SH	CALL	DEFINED	2	0	0	0
KONGZHONG CORP	SPONSORED ADR	50047P104	176	26261	SH		DEFINED	2	26261	0	0
KONINKLIJKE PHILIPS ELECTRS	NY REG SH NEW	500472303	380	16199	SH		DEFINED	2	16199	0	0
KONINKLIJKE PHILIPS ELECTRS	NY REG SH NEW	500472303	201	8585	SH		DEFINED	3	8585	0	0
KONINKLIJKE PHILIPS ELECTRS	NY REG SH NEW	500472303	317	13500	SH	PUT	DEFINED	2	0	0	0
KONINKLIJKE PHILIPS ELECTRS	NY REG SH NEW	500472303	1236	52700	SH	CALL	DEFINED	2	0	0	0
KOPIN CORP	COM	500600101	53	14126	SH		DEFINED	2	14126	0	0
KOPPERS HOLDINGS INC	COM	50060P106	255	7300	SH	PUT	DEFINED	2	0	0	0
KOSMOS ENERGY LTD	SHS	G5315B107	174	15289	SH		DEFINED	3	15289	0	0
KOSMOS ENERGY LTD	SHS	G5315B107	161	14125	SH		DEFINED	2	14125	0	0
KRAFT FOODS INC	CL A	50075N104	43109	1042538	SH		DEFINED	3	1042538	0	0
KRAFT FOODS INC	CL A	50075N104	82119	1985942	SH		DEFINED	2	1985942	0	0
KRAFT FOODS INC	CL A	50075N104	4825	116676	SH		DEFINED	1	116676	0	0
KRAFT FOODS INC	CL A	50075N104	31540	762753	SH		DEFINED	9	762753	0	0
KRAFT FOODS INC	CL A	50075N104	69547	1681900	SH	PUT	DEFINED	2	0	0	0
KRAFT FOODS INC	CL A	50075N104	6893	166700	SH	PUT	DEFINED	1	0	0	0
KRAFT FOODS INC	CL A	50075N104	13873	335500	SH	CALL	DEFINED	1	0	0	0
KRAFT FOODS INC	CL A	50075N104	75724	1831300	SH	CALL	DEFINED	2	0	0	0
KRATON PERFORMANCE POLYMERS	COM	50077C106	565	21635	SH		DEFINED	2	21635	0	0
KRATON PERFORMANCE POLYMERS	COM	50077C106	648	24818	SH		DEFINED	3	24818	0	0
KRATON PERFORMANCE POLYMERS	COM	50077C106	365	14000	SH	PUT	DEFINED	2	0	0	0
KRATON PERFORMANCE POLYMERS	COM	50077C106	2046	78400	SH	CALL	DEFINED	2	0	0	0
KRATOS DEFENSE & SEC SOLUTIO	COM NEW	50077B207	531	90922	SH		DEFINED	2	90922	0	0
KRATOS DEFENSE & SEC SOLUTIO	COM NEW	50077B207	285	48800	SH	PUT	DEFINED	2	0	0	0
KRISPY KREME DOUGHNUTS INC	COM	501014104	89	11239	SH		DEFINED	2	11239	0	0
KRISPY KREME DOUGHNUTS INC	COM	501014104	132	16600	SH	PUT	DEFINED	2	0	0	0
KRISPY KREME DOUGHNUTS INC	COM	501014104	239	30200	SH	CALL	DEFINED	2	0	0	0
KROGER CO	COM	501044101	1986	84348	SH		DEFINED	3	84348	0	0
KROGER CO	COM	501044101	2121	90105	SH		DEFINED	2	90105	0	0
KROGER CO	COM	501044101	4668	198300	SH	PUT	DEFINED	2	0	0	0
KROGER CO	COM	501044101	476	20200	SH	PUT	DEFINED	1	0	0	0
KROGER CO	COM	501044101	1443	61300	SH	CALL	DEFINED	3	0	0	0
KROGER CO	COM	501044101	6255	265700	SH	CALL	DEFINED	2	0	0	0
KRONOS WORLDWIDE INC	COM	50105F105	1438	96273	SH		DEFINED	2	96273	0	0
KRONOS WORLDWIDE INC	COM	50105F105	2111	141300	SH	PUT	DEFINED	2	0	0	0
KRONOS WORLDWIDE INC	COM	50105F105	2056	137600	SH	CALL	DEFINED	2	0	0	0
KULICKE & SOFFA INDS INC	COM	501242101	2292	220408	SH		DEFINED	3	220408	0	0
KULICKE & SOFFA INDS INC	COM	501242101	147	14100	SH	PUT	DEFINED	1	0	0	0
KULICKE & SOFFA INDS INC	COM	501242101	586	56300	SH	PUT	DEFINED	2	0	0	0
KULICKE & SOFFA INDS INC	COM	501242101	990	95200	SH	CALL	DEFINED	2	0	0	0
L & L ENERGY INC	COM	50162D100	167	95222	SH		DEFINED	3	95222	0	0
L & L ENERGY INC	COM	50162D100	82	46796	SH		DEFINED	2	46796	0	0
L & L ENERGY INC	COM	50162D100	32	18200	SH	PUT	DEFINED	2	0	0	0
L-3 COMMUNICATIONS CORP	DEBT   3.000% 8/0	502413AW7	21619	21565000	PRN		DEFINED	"5,7"	0	0	0
L-3 COMMUNICATIONS HLDGS INC	COM	502424104	228	3186	SH		DEFINED	3	3186	0	0
L-3 COMMUNICATIONS HLDGS INC	COM	502424104	1872	26100	SH		DEFINED	9	26100	0	0
L-3 COMMUNICATIONS HLDGS INC	COM	502424104	555	7741	SH		DEFINED	2	7741	0	0
L-3 COMMUNICATIONS HLDGS INC	COM	502424104	4762	66400	SH	PUT	DEFINED	2	0	0	0
L-3 COMMUNICATIONS HLDGS INC	COM	502424104	5565	77600	SH	CALL	DEFINED	2	0	0	0
L-3 COMMUNICATIONS HLDGS INC	COM	502424104	954	13300	SH	CALL	DEFINED	1	0	0	0
LA Z BOY INC	COM	505336107	306	20900	SH	PUT	DEFINED	2	0	0	0
LA Z BOY INC	COM	505336107	464	31700	SH	CALL	DEFINED	2	0	0	0
LABORATORY CORP AMER HLDGS	COM NEW	50540R409	525	5673	SH		DEFINED	2	5673	0	0
LABORATORY CORP AMER HLDGS	COM NEW	50540R409	4947	53500	SH	PUT	DEFINED	2	0	0	0
LABORATORY CORP AMER HLDGS	COM NEW	50540R409	2145	23200	SH	CALL	DEFINED	2	0	0	0
LACLEDE GROUP INC	COM	505597104	271	6300	SH	CALL	DEFINED	2	0	0	0
LADENBURG THALMAN FIN SVCS I	COM	50575Q102	16	12465	SH		DEFINED	3	12465	0	0
LADENBURG THALMAN FIN SVCS I	COM	50575Q102	26	19525	SH		DEFINED	2	19525	0	0
LAM RESEARCH CORP	COM	512807108	270	8504	SH		DEFINED	1	8504	0	0
LAM RESEARCH CORP	COM	512807108	414	13013	SH		DEFINED	3	13013	0	0
LAM RESEARCH CORP	COM	512807108	3866	121633	SH		DEFINED	2	121633	0	0
LAM RESEARCH CORP	COM	512807108	7816	245900	SH	PUT	DEFINED	2	0	0	0
LAM RESEARCH CORP	COM	512807108	578	18200	SH	PUT	DEFINED	1	0	0	0
LAM RESEARCH CORP	COM	512807108	9008	283400	SH	CALL	DEFINED	2	0	0	0
LAM RESEARCH CORP	COM	512807108	3090	97200	SH	CALL	DEFINED	1	0	0	0
LAMAR ADVERTISING CO	CL A	512815101	234	6319	SH		DEFINED	3	6319	0	0
LAMAR ADVERTISING CO	CL A	512815101	6136	165600	SH		DEFINED	9	165600	0	0
LAMAR ADVERTISING CO	CL A	512815101	2293	61878	SH		DEFINED	2	61878	0	0
LAMAR ADVERTISING CO	CL A	512815101	1134	30600	SH	PUT	DEFINED	2	0	0	0
LAMAR ADVERTISING CO	CL A	512815101	252	6800	SH	PUT	DEFINED	1	0	0	0
LAMAR ADVERTISING CO	CL A	512815101	1075	29000	SH	CALL	DEFINED	1	0	0	0
LAMAR ADVERTISING CO	CL A	512815101	6897	186100	SH	CALL	DEFINED	2	0	0	0
LAN AIRLINES S A	SPONSORED ADR	501723100	316	12500	SH	PUT	DEFINED	2	0	0	0
LANCASTER COLONY CORP	COM	513847103	1311	17900	SH		DEFINED	9	17900	0	0
LANCASTER COLONY CORP	COM	513847103	521	7113	SH		DEFINED	3	7113	0	0
LANCASTER COLONY CORP	COM	513847103	381	5200	SH	PUT	DEFINED	2	0	0	0
LANDSTAR SYS INC	COM	515098101	690	14604	SH		DEFINED	2	14604	0	0
LANDSTAR SYS INC	COM	515098101	251	5300	SH	PUT	DEFINED	1	0	0	0
LANDSTAR SYS INC	COM	515098101	1787	37800	SH	PUT	DEFINED	2	0	0	0
LANDSTAR SYS INC	COM	515098101	1688	35700	SH	CALL	DEFINED	2	0	0	0
LAS VEGAS SANDS CORP	COM	517834107	50694	1093252	SH		DEFINED	2	1093252	0	0
LAS VEGAS SANDS CORP	COM	517834107	4468	96362	SH		DEFINED	3	96362	0	0
LAS VEGAS SANDS CORP	COM	517834107	7204	155361	SH		DEFINED	1	155361	0	0
LAS VEGAS SANDS CORP	COM	517834107	21687	467700	SH	PUT	DEFINED	1	0	0	0
LAS VEGAS SANDS CORP	COM	517834107	5175	111600	SH	PUT	DEFINED	3	0	0	0
LAS VEGAS SANDS CORP	COM	517834107	94688	2042000	SH	PUT	DEFINED	2	0	0	0
LAS VEGAS SANDS CORP	COM	517834107	23932	516100	SH	CALL	DEFINED	1	0	0	0
LAS VEGAS SANDS CORP	COM	517834107	18339	395500	SH	CALL	DEFINED	3	0	0	0
LAS VEGAS SANDS CORP	COM	517834107	61663	1329800	SH	CALL	DEFINED	2	0	0	0
LASALLE HOTEL PPTYS	COM SH BEN INT	517942108	210	7868	SH		DEFINED	3	7868	0	0
LASALLE HOTEL PPTYS	COM SH BEN INT	517942108	366	13700	SH	CALL	DEFINED	2	0	0	0
LATIN AMERN DISCOVERY FD INC	COM	51828C106	754	51264	SH		DEFINED	"5,7"	51264	0	0
LAUDER ESTEE COS INC	CL A	518439104	858	13931	SH		DEFINED	2	13931	0	0
LAUDER ESTEE COS INC	CL A	518439104	203	3300	SH	PUT	DEFINED	3	0	0	0
LAUDER ESTEE COS INC	CL A	518439104	14487	235300	SH	PUT	DEFINED	2	0	0	0
LAUDER ESTEE COS INC	CL A	518439104	234	3800	SH	PUT	DEFINED	1	0	0	0
LAUDER ESTEE COS INC	CL A	518439104	23883	387900	SH	CALL	DEFINED	2	0	0	0
LAUDER ESTEE COS INC	CL A	518439104	302	4900	SH	CALL	DEFINED	1	0	0	0
LAZARD LTD	SHS A	G54050102	1082	37000	SH		DEFINED	9	37000	0	0
LAZARD LTD	SHS A	G54050102	237	8100	SH	PUT	DEFINED	2	0	0	0
LAZARD LTD	SHS A	G54050102	3724	127400	SH	CALL	DEFINED	2	0	0	0
LCA-VISION INC	COM PAR $.001	501803308	79	19633	SH		DEFINED	2	19633	0	0
LDK SOLAR CO LTD	SPONSORED ADR	50183L107	26	23696	SH		DEFINED	3	23696	0	0
LDK SOLAR CO LTD	SPONSORED ADR	50183L107	12	10900	SH		DEFINED	1	10900	0	0
LDK SOLAR CO LTD	SPONSORED ADR	50183L107	77	70984	SH		DEFINED	2	70984	0	0
LDK SOLAR CO LTD	SPONSORED ADR	50183L107	680	623900	SH	PUT	DEFINED	2	0	0	0
LDK SOLAR CO LTD	SPONSORED ADR	50183L107	11	10400	SH	PUT	DEFINED	1	0	0	0
LDK SOLAR CO LTD	SPONSORED ADR	50183L107	86	78600	SH	CALL	DEFINED	2	0	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	148	21755	SH		DEFINED	1	21755	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	360	52809	SH		DEFINED	2	52809	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	85	12434	SH		DEFINED	3	12434	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	1168	171300	SH	PUT	DEFINED	2	0	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	173	25400	SH	PUT	DEFINED	1	0	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	533	78200	SH	CALL	DEFINED	1	0	0	0
LEAP WIRELESS INTL INC	COM NEW	521863308	1432	210000	SH	CALL	DEFINED	2	0	0	0
LEAPFROG ENTERPRISES INC	CL A	52186N106	243	26995	SH		DEFINED	2	26995	0	0
LEAPFROG ENTERPRISES INC	CL A	52186N106	281	31200	SH	PUT	DEFINED	1	0	0	0
LEAPFROG ENTERPRISES INC	CL A	52186N106	2218	245900	SH	PUT	DEFINED	2	0	0	0
LEAPFROG ENTERPRISES INC	CL A	52186N106	90	10000	SH	CALL	DEFINED	1	0	0	0
LEAPFROG ENTERPRISES INC	CL A	52186N106	633	70200	SH	CALL	DEFINED	2	0	0	0
LEAR CORP	COM NEW	521865204	935	24748	SH		DEFINED	3	24748	0	0
LEAR CORP	COM NEW	521865204	265	7000	SH	PUT	DEFINED	2	0	0	0
LEAR CORP	COM NEW	521865204	1844	48800	SH	CALL	DEFINED	2	0	0	0
LEGACY RESERVES LP	UNIT LP INT	524707304	917	31800	SH	PUT	DEFINED	2	0	0	0
LEGACY RESERVES LP	UNIT LP INT	524707304	2174	75400	SH	CALL	DEFINED	2	0	0	0
LEGG MASON INC	COM	524901105	1236	50061	SH		DEFINED	2	50061	0	0
LEGG MASON INC	COM	524901105	1684	68224	SH		DEFINED	3	68224	0	0
LEGG MASON INC	COM	524901105	7478	303000	SH	PUT	DEFINED	2	0	0	0
LEGG MASON INC	COM	524901105	4304	174400	SH	CALL	DEFINED	2	0	0	0
LEGGETT & PLATT INC	COM	524660107	968	38623	SH		DEFINED	2	38623	0	0
LEGGETT & PLATT INC	COM	524660107	353	14100	SH	PUT	DEFINED	2	0	0	0
LEGGETT & PLATT INC	COM	524660107	3302	131800	SH	CALL	DEFINED	2	0	0	0
LENDER PROCESSING SVCS INC	COM	52602E102	2594	93000	SH		DEFINED	9	93000	0	0
LENDER PROCESSING SVCS INC	COM	52602E102	418	15000	SH	PUT	DEFINED	2	0	0	0
LENDER PROCESSING SVCS INC	COM	52602E102	734	26300	SH	CALL	DEFINED	2	0	0	0
LENDER PROCESSING SVCS INC	COM	52602E102	343	12300	SH	CALL	DEFINED	1	0	0	0
LENNAR CORP	CL A	526057104	274	7882	SH		DEFINED	3	7882	0	0
LENNAR CORP	CL A	526057104	927	26673	SH		DEFINED	2	26673	0	0
LENNAR CORP	CL A	526057104	21943	631100	SH	PUT	DEFINED	2	0	0	0
LENNAR CORP	CL A	526057104	3345	96200	SH	PUT	DEFINED	1	0	0	0
LENNAR CORP	CL A	526057104	2601	74800	SH	CALL	DEFINED	1	0	0	0
LENNAR CORP	CL A	526057104	45768	1316300	SH	CALL	DEFINED	2	0	0	0
LENNAR CORP	CL A	526057104	581	16700	SH	CALL	DEFINED	3	0	0	0
LENNOX INTL INC	COM	526107107	304	6282	SH		DEFINED	3	6282	0	0
LENNOX INTL INC	COM	526107107	218	4500	SH	PUT	DEFINED	2	0	0	0
LENNOX INTL INC	COM	526107107	1272	26300	SH	CALL	DEFINED	2	0	0	0
LEUCADIA NATL CORP	COM	527288104	1620	71229	SH		DEFINED	2	71229	0	0
LEUCADIA NATL CORP	COM	527288104	351	15412	SH		DEFINED	3	15412	0	0
LEUCADIA NATL CORP	COM	527288104	3310	145500	SH	PUT	DEFINED	2	0	0	0
LEUCADIA NATL CORP	COM	527288104	1451	63800	SH	CALL	DEFINED	2	0	0	0
LEVEL 3 COMMUNICATIONS INC	COM NEW	52729N308	9629	419200	SH	PUT	DEFINED	2	0	0	0
LEVEL 3 COMMUNICATIONS INC	COM NEW	52729N308	18649	811900	SH	CALL	DEFINED	2	0	0	0
LEXICON PHARMACEUTICALS INC	COM	528872104	24	10363	SH		DEFINED	3	10363	0	0
LEXINGTON REALTY TRUST	COM	529043101	98	10181	SH		DEFINED	2	10181	0	0
LEXINGTON REALTY TRUST	COM	529043101	222	23000	SH	PUT	DEFINED	2	0	0	0
LEXINGTON REALTY TRUST	COM	529043101	157	16300	SH	CALL	DEFINED	2	0	0	0
LEXMARK INTL NEW	CL A	529771107	8379	376597	SH		DEFINED	3	376597	0	0
LEXMARK INTL NEW	CL A	529771107	3008	135200	SH	PUT	DEFINED	1	0	0	0
LEXMARK INTL NEW	CL A	529771107	3682	165500	SH	PUT	DEFINED	2	0	0	0
LEXMARK INTL NEW	CL A	529771107	13074	587600	SH	CALL	DEFINED	2	0	0	0
LEXMARK INTL NEW	CL A	529771107	1606	72200	SH	CALL	DEFINED	1	0	0	0
LIBERTY ALL-STAR GROWTH FD I	COM	529900102	127	30000	SH		DEFINED	"5,7"	30000	0	0
LIBERTY GLOBAL INC	COM SER A	530555101	21743	357907	SH		DEFINED	2	357907	0	0
LIBERTY GLOBAL INC	COM SER A	530555101	5000	82300	SH		DEFINED	9	82300	0	0
LIBERTY GLOBAL INC	COM SER A	530555101	304	5000	SH	PUT	DEFINED	1	0	0	0
LIBERTY GLOBAL INC	COM SER A	530555101	27538	453300	SH	PUT	DEFINED	2	0	0	0
LIBERTY GLOBAL INC	COM SER A	530555101	1725	28400	SH	CALL	DEFINED	2	0	0	0
LIBERTY GLOBAL INC	COM SER C	530555309	3799	67340	SH		DEFINED	3	67340	0	0
LIBERTY INTERACTIVE CORP	INT COM SER A	53071M104	4232	228751	SH		DEFINED	2	228751	0	0
LIBERTY INTERACTIVE CORP	INT COM SER A	53071M104	6462	349300	SH		DEFINED	9	349300	0	0
LIBERTY INTERACTIVE CORP	INT COM SER A	53071M104	266	14400	SH	PUT	DEFINED	2	0	0	0
LIBERTY INTERACTIVE CORP	INT COM SER A	53071M104	2483	134200	SH	CALL	DEFINED	2	0	0	0
LIBERTY INTERACTIVE CORP	RIGHT 99/99/9999	53071M112	2970	219385	SH		DEFINED	3	219385	0	0
LIBERTY INTERACTIVE CORP	LBT VENT COM A	53071M880	406	8185	SH		DEFINED	2	8185	0	0
LIBERTY MEDIA CORPORATION	LIB CAP COM A	530322106	13251	127206	SH		DEFINED	9	127206	0	0
LIBERTY MEDIA CORPORATION	LIB CAP COM A	530322106	1888	18124	SH		DEFINED	2	18124	0	0
LIBERTY MEDIA CORPORATION	LIB CAP COM A	530322106	615	5900	SH	PUT	DEFINED	2	0	0	0
LIBERTY MEDIA CORPORATION	LIB CAP COM A	530322106	292	2800	SH	CALL	DEFINED	2	0	0	0
LIBERTY PPTY TR	SH BEN INT	531172104	254	7016	SH		DEFINED	3	7016	0	0
LIBERTY PPTY TR	SH BEN INT	531172104	304	8400	SH	CALL	DEFINED	2	0	0	0
LIFE TECHNOLOGIES CORP	COM	53217V109	8743	178876	SH		DEFINED	2	178876	0	0
LIFE TECHNOLOGIES CORP	COM	53217V109	14874	304300	SH	PUT	DEFINED	2	0	0	0
LIFE TECHNOLOGIES CORP	COM	53217V109	435	8900	SH	PUT	DEFINED	3	0	0	0
LIFE TECHNOLOGIES CORP	COM	53217V109	3040	62200	SH	CALL	DEFINED	2	0	0	0
LIFE TECHNOLOGIES CORP	COM	53217V109	254	5200	SH	CALL	DEFINED	1	0	0	0
LIFE TIME FITNESS INC	COM	53217R207	1526	33358	SH		DEFINED	3	33358	0	0
LIFE TIME FITNESS INC	COM	53217R207	4185	91500	SH		DEFINED	9	91500	0	0
LIFE TIME FITNESS INC	COM	53217R207	229	5000	SH	PUT	DEFINED	2	0	0	0
LIFE TIME FITNESS INC	COM	53217R207	974	21300	SH	CALL	DEFINED	2	0	0	0
LIFEPOINT HOSPITALS INC	COM	53219L109	766	17900	SH	PUT	DEFINED	2	0	0	0
LIFEPOINT HOSPITALS INC	COM	53219L109	1407	32900	SH	CALL	DEFINED	2	0	0	0
LIGAND PHARMACEUTICALS INC	COM NEW	53220K504	580	33800	SH	PUT	DEFINED	2	0	0	0
LIGHTBRIDGE CORP	COM	53224K104	74	36800	SH	PUT	DEFINED	2	0	0	0
LIHUA INTL INC	COM	532352101	86	24028	SH		DEFINED	2	24028	0	0
LIHUA INTL INC	COM	532352101	50	14100	SH	PUT	DEFINED	2	0	0	0
LIHUA INTL INC	COM	532352101	70	19700	SH	CALL	DEFINED	2	0	0	0
LILLY ELI & CO	COM	532457108	9087	191666	SH		DEFINED	2	191666	0	0
LILLY ELI & CO	COM	532457108	419	8836	SH		DEFINED	3	8836	0	0
LILLY ELI & CO	COM	532457108	3920	82688	SH		DEFINED	1	82688	0	0
LILLY ELI & CO	COM	532457108	30660	646700	SH		DEFINED	9	646700	0	0
LILLY ELI & CO	COM	532457108	17234	363500	SH	PUT	DEFINED	1	0	0	0
LILLY ELI & CO	COM	532457108	1152	24300	SH	PUT	DEFINED	3	0	0	0
LILLY ELI & CO	COM	532457108	101766	2146500	SH	PUT	DEFINED	2	0	0	0
LILLY ELI & CO	COM	532457108	213103	4494900	SH	CALL	DEFINED	2	0	0	0
LILLY ELI & CO	COM	532457108	26246	553600	SH	CALL	DEFINED	1	0	0	0
LILLY ELI & CO	COM	532457108	1105	23300	SH	CALL	DEFINED	3	0	0	0
LIME ENERGY CO	COM NEW	53261U205	32	45500	SH		DEFINED	3	45500	0	0
LIMELIGHT NETWORKS INC	COM	53261M104	56	24044	SH		DEFINED	2	24044	0	0
LIMITED BRANDS INC	COM	532716107	2052	41648	SH		DEFINED	2	41648	0	0
LIMITED BRANDS INC	COM	532716107	7029	142700	SH		DEFINED	"5,7"	142700	0	0
LIMITED BRANDS INC	COM	532716107	18630	378200	SH	PUT	DEFINED	2	0	0	0
LIMITED BRANDS INC	COM	532716107	10689	217000	SH	CALL	DEFINED	2	0	0	0
LINCOLN ELEC HLDGS INC	COM	533900106	387	9900	SH	PUT	DEFINED	2	0	0	0
LINCOLN ELEC HLDGS INC	COM	533900106	238	6100	SH	CALL	DEFINED	2	0	0	0
LINCOLN NATL CORP IND	COM	534187109	460	19021	SH		DEFINED	3	19021	0	0
LINCOLN NATL CORP IND	COM	534187109	2390	98800	SH		DEFINED	9	98800	0	0
LINCOLN NATL CORP IND	COM	534187109	1371	56665	SH		DEFINED	2	56665	0	0
LINCOLN NATL CORP IND	COM	534187109	248	10264	SH		DEFINED	1	10264	0	0
LINCOLN NATL CORP IND	COM	534187109	18747	775000	SH	PUT	DEFINED	2	0	0	0
LINCOLN NATL CORP IND	COM	534187109	312	12900	SH	PUT	DEFINED	1	0	0	0
LINCOLN NATL CORP IND	COM	534187109	15395	636400	SH	CALL	DEFINED	2	0	0	0
LINCOLN NATL CORP IND	COM	534187109	2431	100500	SH	CALL	DEFINED	1	0	0	0
LINCOLN NATL CORP IND	*W EXP 07/10/201	534187117	33668	2100287	SH		DEFINED	"5,7"	2100287	0	0
LINDSAY CORP	COM	535555106	2447	34000	SH		DEFINED	9	34000	0	0
LINDSAY CORP	COM	535555106	554	7700	SH	PUT	DEFINED	1	0	0	0
LINDSAY CORP	COM	535555106	691	9600	SH	PUT	DEFINED	2	0	0	0
LINDSAY CORP	COM	535555106	3692	51300	SH	CALL	DEFINED	2	0	0	0
LINDSAY CORP	COM	535555106	497	6900	SH	CALL	DEFINED	1	0	0	0
LINEAR TECHNOLOGY CORP	COM	535678106	305	9590	SH		DEFINED	3	9590	0	0
LINEAR TECHNOLOGY CORP	COM	535678106	3743	117513	SH		DEFINED	2	117513	0	0
LINEAR TECHNOLOGY CORP	COM	535678106	1714	53800	SH	PUT	DEFINED	2	0	0	0
LINEAR TECHNOLOGY CORP	COM	535678106	3032	95200	SH	CALL	DEFINED	2	0	0	0
LINKEDIN CORP	COM CL A	53578A108	2868	23822	SH		DEFINED	2	23822	0	0
LINKEDIN CORP	COM CL A	53578A108	15219	126400	SH	PUT	DEFINED	1	0	0	0
LINKEDIN CORP	COM CL A	53578A108	49761	413300	SH	PUT	DEFINED	2	0	0	0
LINKEDIN CORP	COM CL A	53578A108	25790	214200	SH	CALL	DEFINED	1	0	0	0
LINKEDIN CORP	COM CL A	53578A108	100570	835300	SH	CALL	DEFINED	2	0	0	0
LINN ENERGY LLC	UNIT LTD LIAB	536020100	1155	28000	SH	PUT	DEFINED	1	0	0	0
LINN ENERGY LLC	UNIT LTD LIAB	536020100	11873	287900	SH	PUT	DEFINED	2	0	0	0
LINN ENERGY LLC	UNIT LTD LIAB	536020100	887	21500	SH	CALL	DEFINED	1	0	0	0
LINN ENERGY LLC	UNIT LTD LIAB	536020100	35524	861400	SH	CALL	DEFINED	2	0	0	0
LIONBRIDGE TECHNOLOGIES INC	COM	536252109	38	10736	SH		DEFINED	2	10736	0	0
LIONS GATE ENTMNT CORP	COM NEW	535919203	274	17940	SH		DEFINED	2	17940	0	0
LIONS GATE ENTMNT CORP	COM NEW	535919203	5015	328400	SH	PUT	DEFINED	2	0	0	0
LIONS GATE ENTMNT CORP	COM NEW	535919203	4732	309900	SH	CALL	DEFINED	2	0	0	0
LIONS GATE ENTMNT CORP	COM NEW	535919203	273	17900	SH	CALL	DEFINED	1	0	0	0
LIQUIDITY SERVICES INC	COM	53635B107	2215	44105	SH		DEFINED	2	44105	0	0
LIQUIDITY SERVICES INC	COM	53635B107	492	9800	SH	PUT	DEFINED	1	0	0	0
LIQUIDITY SERVICES INC	COM	53635B107	3274	65200	SH	PUT	DEFINED	2	0	0	0
LIQUIDITY SERVICES INC	COM	53635B107	1356	27000	SH	CALL	DEFINED	2	0	0	0
LIQUIDITY SERVICES INC	COM	53635B107	447	8900	SH	CALL	DEFINED	1	0	0	0
LITHIA MTRS INC	CL A	536797103	320	9600	SH	PUT	DEFINED	2	0	0	0
LITHIA MTRS INC	CL A	536797103	796	23900	SH	CALL	DEFINED	2	0	0	0
LITTELFUSE INC	COM	537008104	254	4500	SH	CALL	DEFINED	2	0	0	0
LIVE NATION ENTERTAINMENT IN	COM	538034109	479	55614	SH		DEFINED	3	55614	0	0
LIVE NATION ENTERTAINMENT IN	COM	538034109	882	102431	SH		DEFINED	2	102431	0	0
LIVE NATION ENTERTAINMENT IN	COM	538034109	6767	785900	SH	PUT	DEFINED	2	0	0	0
LIVE NATION ENTERTAINMENT IN	COM	538034109	1972	229000	SH	CALL	DEFINED	2	0	0	0
LIVEPERSON INC	COM	538146101	205	11300	SH	PUT	DEFINED	2	0	0	0
LIVEPERSON INC	COM	538146101	1087	60000	SH	PUT	DEFINED	1	0	0	0
LIVEPERSON INC	COM	538146101	741	40900	SH	CALL	DEFINED	2	0	0	0
LKQ CORP	COM	501889208	598	32300	SH	PUT	DEFINED	2	0	0	0
LLOYDS BANKING GROUP PLC	SPONSORED ADR	539439109	69	27700	SH	PUT	DEFINED	2	0	0	0
LLOYDS BANKING GROUP PLC	SPONSORED ADR	539439109	121	48500	SH	CALL	DEFINED	2	0	0	0
LOCKHEED MARTIN CORP	COM	539830109	3309	35431	SH		DEFINED	1	35431	0	0
LOCKHEED MARTIN CORP	COM	539830109	15889	170159	SH		DEFINED	2	170159	0	0
LOCKHEED MARTIN CORP	COM	539830109	7797	83500	SH	PUT	DEFINED	1	0	0	0
LOCKHEED MARTIN CORP	COM	539830109	42516	455300	SH	PUT	DEFINED	2	0	0	0
LOCKHEED MARTIN CORP	COM	539830109	4408	47200	SH	CALL	DEFINED	1	0	0	0
LOCKHEED MARTIN CORP	COM	539830109	27986	299700	SH	CALL	DEFINED	2	0	0	0
LOEWS CORP	COM	540424108	1164	28220	SH		DEFINED	2	28220	0	0
LOEWS CORP	COM	540424108	9763	236620	SH		DEFINED	3	236620	0	0
LOEWS CORP	COM	540424108	264	6400	SH	PUT	DEFINED	2	0	0	0
LOEWS CORP	COM	540424108	289	7000	SH	PUT	DEFINED	1	0	0	0
LOEWS CORP	COM	540424108	322	7800	SH	CALL	DEFINED	2	0	0	0
LOGITECH INTL S A	SHS	H50430232	584	63791	SH		DEFINED	2	63791	0	0
LOGITECH INTL S A	SHS	H50430232	1979	216253	SH		DEFINED	9	216253	0	0
LOGITECH INTL S A	SHS	H50430232	3431	375000	SH	PUT	DEFINED	2	0	0	0
LOGITECH INTL S A	SHS	H50430232	108	11800	SH	PUT	DEFINED	1	0	0	0
LOGITECH INTL S A	SHS	H50430232	4123	450600	SH	CALL	DEFINED	2	0	0	0
LORAL SPACE & COMMUNICATNS I	COM	543881106	951	13382	SH		DEFINED	2	13382	0	0
LORAL SPACE & COMMUNICATNS I	COM	543881106	1236	17379	SH		DEFINED	"5,7"	17379	0	0
LORAL SPACE & COMMUNICATNS I	COM	543881106	953	13400	SH	PUT	DEFINED	2	0	0	0
LORILLARD INC	COM	544147101	3576	30709	SH		DEFINED	1	30709	0	0
LORILLARD INC	COM	544147101	20117	172749	SH		DEFINED	2	172749	0	0
LORILLARD INC	COM	544147101	349	2995	SH		DEFINED	3	2995	0	0
LORILLARD INC	COM	544147101	61579	528800	SH	PUT	DEFINED	2	0	0	0
LORILLARD INC	COM	544147101	19459	167100	SH	PUT	DEFINED	1	0	0	0
LORILLARD INC	COM	544147101	640	5500	SH	PUT	DEFINED	3	0	0	0
LORILLARD INC	COM	544147101	12565	107900	SH	CALL	DEFINED	1	0	0	0
LORILLARD INC	COM	544147101	4740	40700	SH	CALL	DEFINED	2	0	0	0
LOUISIANA PAC CORP	COM	546347105	316	25292	SH		DEFINED	2	25292	0	0
LOUISIANA PAC CORP	COM	546347105	177	14189	SH		DEFINED	3	14189	0	0
LOUISIANA PAC CORP	COM	546347105	567	45347	SH		DEFINED	1	45347	0	0
LOUISIANA PAC CORP	COM	546347105	1144	91500	SH	PUT	DEFINED	2	0	0	0
LOUISIANA PAC CORP	COM	546347105	5658	452600	SH	CALL	DEFINED	2	0	0	0
LOWES COS INC	COM	548661107	6010	198731	SH		DEFINED	2	198731	0	0
LOWES COS INC	COM	548661107	956	31602	SH		DEFINED	3	31602	0	0
LOWES COS INC	COM	548661107	31156	1030300	SH		DEFINED	9	1030300	0	0
LOWES COS INC	COM	548661107	3326	110000	SH	PUT	DEFINED	1	0	0	0
LOWES COS INC	COM	548661107	33503	1107900	SH	PUT	DEFINED	2	0	0	0
LOWES COS INC	COM	548661107	69458	2296900	SH	CALL	DEFINED	2	0	0	0
LOWES COS INC	COM	548661107	6680	220900	SH	CALL	DEFINED	1	0	0	0
LOWES COS INC	COM	548661107	3478	115000	SH	CALL	DEFINED	3	0	0	0
LPL FINL HLDGS INC	COM	50212V100	1421	49800	SH		DEFINED	9	49800	0	0
LRR ENERGY LP	COM	50214A104	203	10748	SH		DEFINED	2	10748	0	0
LRR ENERGY LP	COM	50214A104	810	42900	SH	PUT	DEFINED	2	0	0	0
LRR ENERGY LP	COM	50214A104	1257	66600	SH	CALL	DEFINED	2	0	0	0
LSB INDS INC	COM	502160104	241	5500	SH		DEFINED	9	5500	0	0
LSB INDS INC	COM	502160104	478	10900	SH	PUT	DEFINED	2	0	0	0
LSB INDS INC	COM	502160104	364	8300	SH	CALL	DEFINED	2	0	0	0
LSI CORPORATION	COM	502161102	3779	546926	SH		DEFINED	2	546926	0	0
LSI CORPORATION	COM	502161102	533	77129	SH		DEFINED	3	77129	0	0
LSI CORPORATION	COM	502161102	184	26700	SH	PUT	DEFINED	1	0	0	0
LSI CORPORATION	COM	502161102	9621	1392400	SH	PUT	DEFINED	2	0	0	0
LSI CORPORATION	COM	502161102	138	20000	SH	CALL	DEFINED	3	0	0	0
LSI CORPORATION	COM	502161102	7536	1090600	SH	CALL	DEFINED	2	0	0	0
LSI CORPORATION	COM	502161102	135	19500	SH	CALL	DEFINED	1	0	0	0
LUCAS ENERGY INC	COM NEW	549333201	52	22312	SH		DEFINED	2	22312	0	0
LUCAS ENERGY INC	COM NEW	549333201	42	17900	SH	PUT	DEFINED	2	0	0	0
LUFKIN INDS INC	COM	549764108	352	6539	SH		DEFINED	1	6539	0	0
LUFKIN INDS INC	COM	549764108	443	8222	SH		DEFINED	2	8222	0	0
LUFKIN INDS INC	COM	549764108	2492	46300	SH	PUT	DEFINED	1	0	0	0
LUFKIN INDS INC	COM	549764108	2879	53500	SH	PUT	DEFINED	2	0	0	0
LUFKIN INDS INC	COM	549764108	1921	35700	SH	CALL	DEFINED	1	0	0	0
LUFKIN INDS INC	COM	549764108	7416	137800	SH	CALL	DEFINED	2	0	0	0
LULULEMON ATHLETICA INC	COM	550021109	443	5995	SH		DEFINED	2	5995	0	0
LULULEMON ATHLETICA INC	COM	550021109	414	5601	SH		DEFINED	3	5601	0	0
LULULEMON ATHLETICA INC	COM	550021109	18315	247700	SH	PUT	DEFINED	1	0	0	0
LULULEMON ATHLETICA INC	COM	550021109	4865	65800	SH	PUT	DEFINED	3	0	0	0
LULULEMON ATHLETICA INC	COM	550021109	67581	914000	SH	PUT	DEFINED	2	0	0	0
LULULEMON ATHLETICA INC	COM	550021109	59744	808000	SH	CALL	DEFINED	2	0	0	0
LULULEMON ATHLETICA INC	COM	550021109	1590	21500	SH	CALL	DEFINED	3	0	0	0
LULULEMON ATHLETICA INC	COM	550021109	13250	179200	SH	CALL	DEFINED	1	0	0	0
LUMBER LIQUIDATORS HLDGS INC	COM	55003T107	1816	35835	SH		DEFINED	2	35835	0	0
LUMBER LIQUIDATORS HLDGS INC	COM	55003T107	7602	150000	SH	PUT	DEFINED	2	0	0	0
LUMBER LIQUIDATORS HLDGS INC	COM	55003T107	2580	50900	SH	CALL	DEFINED	2	0	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	10072	194958	SH		DEFINED	2	194958	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	2624	50800	SH		DEFINED	9	50800	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	320	6203	SH		DEFINED	3	6203	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	11778	228000	SH		DEFINED	"5,7"	228000	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	4159	80500	SH	PUT	DEFINED	1	0	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	33863	655500	SH	PUT	DEFINED	2	0	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	7961	154100	SH	CALL	DEFINED	1	0	0	0
LYONDELLBASELL INDUSTRIES N	SHS - A -	N53745100	34969	676900	SH	CALL	DEFINED	2	0	0	0
M & T BK CORP	COM	55261F104	585	6146	SH		DEFINED	3	6146	0	0
M & T BK CORP	COM	55261F104	973	10227	SH		DEFINED	2	10227	0	0
M & T BK CORP	COM	55261F104	10201	107200	SH	PUT	DEFINED	2	0	0	0
M & T BK CORP	COM	55261F104	4920	51700	SH	CALL	DEFINED	2	0	0	0
M D C HLDGS INC	COM	552676108	542	14085	SH		DEFINED	3	14085	0	0
M D C HLDGS INC	COM	552676108	316	8216	SH		DEFINED	1	8216	0	0
M D C HLDGS INC	COM	552676108	2111	54825	SH		DEFINED	2	54825	0	0
M D C HLDGS INC	COM	552676108	2503	65000	SH	PUT	DEFINED	2	0	0	0
M D C HLDGS INC	COM	552676108	601	15600	SH	CALL	DEFINED	2	0	0	0
M/I HOMES INC	COM	55305B101	1000	51700	SH	PUT	DEFINED	2	0	0	0
M/I HOMES INC	COM	55305B101	298	15400	SH	CALL	DEFINED	2	0	0	0
MACERICH CO	COM	554382101	400	6982	SH		DEFINED	2	6982	0	0
MACERICH CO	COM	554382101	3468	60600	SH	PUT	DEFINED	2	0	0	0
MACERICH CO	COM	554382101	784	13700	SH	CALL	DEFINED	2	0	0	0
MACK CALI RLTY CORP	COM	554489104	374	14065	SH		DEFINED	2	14065	0	0
MACK CALI RLTY CORP	COM	554489104	1027	38621	SH		DEFINED	3	38621	0	0
MACK CALI RLTY CORP	COM	554489104	287	10800	SH	PUT	DEFINED	2	0	0	0
MACQUARIE INFRASTR CO LLC	MEMBERSHIP INT	55608B105	1738	41900	SH	PUT	DEFINED	2	0	0	0
MACQUARIE INFRASTR CO LLC	MEMBERSHIP INT	55608B105	2895	69800	SH	CALL	DEFINED	2	0	0	0
MACYS INC	COM	55616P104	2890	76831	SH		DEFINED	9	76831	0	0
MACYS INC	COM	55616P104	1373	36496	SH		DEFINED	2	36496	0	0
MACYS INC	COM	55616P104	1282	34079	SH		DEFINED	1	34079	0	0
MACYS INC	COM	55616P104	2317	61587	SH		DEFINED	3	61587	0	0
MACYS INC	COM	55616P104	1742	46300	SH	PUT	DEFINED	1	0	0	0
MACYS INC	COM	55616P104	14138	375800	SH	PUT	DEFINED	2	0	0	0
MACYS INC	COM	55616P104	752	20000	SH	PUT	DEFINED	3	0	0	0
MACYS INC	COM	55616P104	1140	30300	SH	CALL	DEFINED	1	0	0	0
MACYS INC	COM	55616P104	11989	318700	SH	CALL	DEFINED	2	0	0	0
MADISON SQUARE GARDEN CO	CL A	55826P100	274	6800	SH	PUT	DEFINED	2	0	0	0
MADISON SQUARE GARDEN CO	CL A	55826P100	721	17900	SH	CALL	DEFINED	2	0	0	0
MAG SILVER CORP	COM	55903Q104	400	32870	SH		DEFINED	2	32870	0	0
MAG SILVER CORP	COM	55903Q104	758	62200	SH	PUT	DEFINED	2	0	0	0
MAG SILVER CORP	COM	55903Q104	613	50300	SH	CALL	DEFINED	2	0	0	0
MAGELLAN HEALTH SVCS INC	COM NEW	559079207	9687	187700	SH		DEFINED	"5,7"	187700	0	0
MAGELLAN MIDSTREAM PRTNRS LP	COM UNIT RP LP	559080106	1020	11666	SH		DEFINED	3	11666	0	0
MAGELLAN MIDSTREAM PRTNRS LP	COM UNIT RP LP	559080106	271	3100	SH	PUT	DEFINED	1	0	0	0
MAGELLAN MIDSTREAM PRTNRS LP	COM UNIT RP LP	559080106	8230	94100	SH	PUT	DEFINED	2	0	0	0
MAGELLAN MIDSTREAM PRTNRS LP	COM UNIT RP LP	559080106	9682	110700	SH	CALL	DEFINED	2	0	0	0
MAGIC SOFTWARE ENTERPRISES L	ORD	559166103	81	18300	SH	PUT	DEFINED	2	0	0	0
MAGIC SOFTWARE ENTERPRISES L	ORD	559166103	47	10600	SH	CALL	DEFINED	2	0	0	0
MAGICJACK VOCALTEC LTD	SHS	M6787E101	24764	1009547	SH		DEFINED	2	1009547	0	0
MAGICJACK VOCALTEC LTD	SHS	M6787E101	277	11300	SH	PUT	DEFINED	1	0	0	0
MAGICJACK VOCALTEC LTD	SHS	M6787E101	15866	646800	SH	PUT	DEFINED	2	0	0	0
MAGICJACK VOCALTEC LTD	SHS	M6787E101	473	19300	SH	CALL	DEFINED	2	0	0	0
MAGNA INTL INC	COM	559222401	1280	29600	SH		DEFINED	9	29600	0	0
MAGNA INTL INC	COM	559222401	294	6800	SH	PUT	DEFINED	1	0	0	0
MAGNA INTL INC	COM	559222401	969	22400	SH	PUT	DEFINED	2	0	0	0
MAGNA INTL INC	COM	559222401	4343	100400	SH	CALL	DEFINED	2	0	0	0
MAGNA INTL INC	COM	559222401	303	7000	SH	CALL	DEFINED	1	0	0	0
MAGNUM HUNTER RES CORP DEL	COM	55973B102	3809	857979	SH		DEFINED	2	857979	0	0
MAGNUM HUNTER RES CORP DEL	COM	55973B102	2662	599600	SH	PUT	DEFINED	2	0	0	0
MAGNUM HUNTER RES CORP DEL	COM	55973B102	1289	290300	SH	CALL	DEFINED	3	0	0	0
MAGNUM HUNTER RES CORP DEL	COM	55973B102	1709	384900	SH	CALL	DEFINED	2	0	0	0
MAIDENFORM BRANDS INC	COM	560305104	467	22800	SH	PUT	DEFINED	2	0	0	0
MAIDENFORM BRANDS INC	COM	560305104	223	10900	SH	CALL	DEFINED	2	0	0	0
MAIN STREET CAPITAL CORP	COM	56035L104	203	6874	SH		DEFINED	2	6874	0	0
MAIN STREET CAPITAL CORP	COM	56035L104	546	18500	SH	PUT	DEFINED	2	0	0	0
MAJESCO ENTERTAINMENT CO	COM NEW	560690208	35	27492	SH		DEFINED	2	27492	0	0
MAKEMYTRIP LIMITED MAURITIUS	SHS	V5633W109	475	27900	SH	CALL	DEFINED	2	0	0	0
MAKO SURGICAL CORP	COM	560879108	204	11732	SH		DEFINED	3	11732	0	0
MAKO SURGICAL CORP	COM	560879108	6288	361155	SH		DEFINED	2	361155	0	0
MAKO SURGICAL CORP	COM	560879108	2133	122542	SH		DEFINED	1	122542	0	0
MAKO SURGICAL CORP	COM	560879108	223	12800	SH	PUT	DEFINED	3	0	0	0
MAKO SURGICAL CORP	COM	560879108	1541	88500	SH	PUT	DEFINED	1	0	0	0
MAKO SURGICAL CORP	COM	560879108	15526	891800	SH	PUT	DEFINED	2	0	0	0
MAKO SURGICAL CORP	COM	560879108	1163	66800	SH	CALL	DEFINED	1	0	0	0
MAKO SURGICAL CORP	COM	560879108	13012	747400	SH	CALL	DEFINED	2	0	0	0
MANCHESTER UTD PLC NEW	ORD CL A	G5784H106	158	12400	SH	PUT	DEFINED	2	0	0	0
MANCHESTER UTD PLC NEW	ORD CL A	G5784H106	1162	91300	SH	CALL	DEFINED	2	0	0	0
MANHATTAN ASSOCS INC	COM	562750109	653	11400	SH	PUT	DEFINED	2	0	0	0
MANITOWOC INC	COM	563571108	2711	203209	SH		DEFINED	2	203209	0	0
MANITOWOC INC	COM	563571108	198	14880	SH		DEFINED	1	14880	0	0
MANITOWOC INC	COM	563571108	148	11100	SH	PUT	DEFINED	1	0	0	0
MANITOWOC INC	COM	563571108	5816	436000	SH	PUT	DEFINED	2	0	0	0
MANITOWOC INC	COM	563571108	570	42700	SH	CALL	DEFINED	1	0	0	0
MANITOWOC INC	COM	563571108	4254	318900	SH	CALL	DEFINED	2	0	0	0
MANNING & NAPIER INC	CL A	56382Q102	152	12500	SH	CALL	DEFINED	2	0	0	0
MANNKIND CORP	COM	56400P201	37	13009	SH		DEFINED	1	13009	0	0
MANNKIND CORP	COM	56400P201	268	93022	SH		DEFINED	2	93022	0	0
MANNKIND CORP	COM	56400P201	1818	631257	SH		DEFINED	"5,7"	631257	0	0
MANNKIND CORP	COM	56400P201	55	19233	SH		DEFINED	3	19233	0	0
MANNKIND CORP	COM	56400P201	1315	456600	SH	PUT	DEFINED	2	0	0	0
MANNKIND CORP	COM	56400P201	73	25300	SH	PUT	DEFINED	1	0	0	0
MANNKIND CORP	COM	56400P201	3100	1076400	SH	CALL	DEFINED	2	0	0	0
MANPOWERGROUP INC	COM	56418H100	232	6300	SH	CALL	DEFINED	2	0	0	0
MANTECH INTL CORP	CL A	564563104	218	9081	SH		DEFINED	2	9081	0	0
MANULIFE FINL CORP	COM	56501R106	234	19470	SH		DEFINED	2	19470	0	0
MANULIFE FINL CORP	COM	56501R106	7296	77700	SH	PUT	DEFINED	2	0	0	0
MANULIFE FINL CORP	COM	56501R106	282	3000	SH	PUT	DEFINED	1	0	0	0
MANULIFE FINL CORP	COM	56501R106	3709	39500	SH	CALL	DEFINED	2	0	0	0
MAP PHARMACEUTICALS INC	COM	56509R108	450	28900	SH	PUT	DEFINED	2	0	0	0
MAP PHARMACEUTICALS INC	COM	56509R108	1060	68100	SH	CALL	DEFINED	2	0	0	0
MARATHON OIL CORP	COM	565849106	1118	37797	SH		DEFINED	3	37797	0	0
MARATHON OIL CORP	COM	565849106	10216	345471	SH		DEFINED	2	345471	0	0
MARATHON OIL CORP	COM	565849106	1747	59093	SH		DEFINED	1	59093	0	0
MARATHON OIL CORP	COM	565849106	5429	183600	SH	PUT	DEFINED	1	0	0	0
MARATHON OIL CORP	COM	565849106	825	27900	SH	PUT	DEFINED	3	0	0	0
MARATHON OIL CORP	COM	565849106	33550	1134600	SH	PUT	DEFINED	2	0	0	0
MARATHON OIL CORP	COM	565849106	3208	108500	SH	CALL	DEFINED	1	0	0	0
MARATHON OIL CORP	COM	565849106	28284	956500	SH	CALL	DEFINED	2	0	0	0
MARATHON PETE CORP	COM	56585A102	3264	59800	SH		DEFINED	9	59800	0	0
MARATHON PETE CORP	COM	56585A102	1045	19146	SH		DEFINED	2	19146	0	0
MARATHON PETE CORP	COM	56585A102	220	4021	SH		DEFINED	3	4021	0	0
MARATHON PETE CORP	COM	56585A102	5153	94400	SH	PUT	DEFINED	1	0	0	0
MARATHON PETE CORP	COM	56585A102	6578	120500	SH	PUT	DEFINED	2	0	0	0
MARATHON PETE CORP	COM	56585A102	36684	672000	SH	CALL	DEFINED	2	0	0	0
MARATHON PETE CORP	COM	56585A102	14619	267800	SH	CALL	DEFINED	1	0	0	0
MARCHEX INC	CL B	56624R108	51	13400	SH	PUT	DEFINED	2	0	0	0
MARINE PRODS CORP	COM	568427108	69	11500	SH		DEFINED	3	11500	0	0
MARINEMAX INC	COM	567908108	124	15000	SH	PUT	DEFINED	2	0	0	0
MARKEL CORP	COM	570535104	6740	14700	SH		DEFINED	9	14700	0	0
MARKEL CORP	COM	570535104	1575	3436	SH		DEFINED	3	3436	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	68812	1281182	SH		DEFINED	2	1281182	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	9090	169249	SH		DEFINED	1	169249	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	15065	280480	SH		DEFINED	3	280480	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	67019	1247800	SH	PUT	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	106996	1992100	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	63077	1174400	SH	CALL	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	GOLD MINER ETF	57060U100	174858	3255600	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	MKTVEC MORNSTR	57060U134	872	40410	SH		DEFINED	2	40410	0	0
MARKET VECTORS ETF TR	MKTVEC MORNSTR	57060U134	297	13755	SH		DEFINED	3	13755	0	0
MARKET VECTORS ETF TR	UNCVTL OIL GAS	57060U159	1968	83396	SH		DEFINED	3	83396	0	0
MARKET VECTORS ETF TR	INDONESA S CAP	57060U167	974	62613	SH		DEFINED	2	62613	0	0
MARKET VECTORS ETF TR	BNK & BROKERAG	57060U175	638	15366	SH		DEFINED	3	15366	0	0
MARKET VECTORS ETF TR	BIOTECH ETF	57060U183	2443	45151	SH		DEFINED	2	45151	0	0
MARKET VECTORS ETF TR	BIOTECH ETF	57060U183	319	5900	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	OIL SVCS ETF	57060U191	39633	985889	SH		DEFINED	3	985889	0	0
MARKET VECTORS ETF TR	OIL SVCS ETF	57060U191	31806	791200	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	OIL SVCS ETF	57060U191	1049	26100	SH	PUT	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	OIL SVCS ETF	57060U191	46724	1162300	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	OIL SVCS ETF	57060U191	1194	29700	SH	CALL	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	MV ENVIR SVCS	57060U209	232	4690	SH		DEFINED	3	4690	0	0
MARKET VECTORS ETF TR	MV ENVIR SVCS	57060U209	1401	28339	SH		DEFINED	2	28339	0	0
MARKET VECTORS ETF TR	PHARMACEUTICAL	57060U217	434	10593	SH		DEFINED	3	10593	0	0
MARKET VECTORS ETF TR	PHARMACEUTICAL	57060U217	1010	24641	SH		DEFINED	2	24641	0	0
MARKET VECTORS ETF TR	RETAIL ETF	57060U225	618	13759	SH		DEFINED	2	13759	0	0
MARKET VECTORS ETF TR	RETAIL ETF	57060U225	310	6900	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	SEMICONDUCTOR	57060U233	16435	519588	SH		DEFINED	3	519588	0	0
MARKET VECTORS ETF TR	SEMICONDUCTOR	57060U233	1553	49104	SH		DEFINED	2	49104	0	0
MARKET VECTORS ETF TR	SEMICONDUCTOR	57060U233	1449	45800	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	SEMICONDUCTOR	57060U233	1189	37600	SH	CALL	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	SEMICONDUCTOR	57060U233	4267	134900	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	MV STEEL INDEX	57060U308	5632	128385	SH		DEFINED	2	128385	0	0
MARKET VECTORS ETF TR	MV STEEL INDEX	57060U308	1584	36100	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	MTG REIT ETF	57060U324	4482	160405	SH		DEFINED	2	160405	0	0
MARKET VECTORS ETF TR	RUSSIA SMALLCP	57060U399	334	21837	SH		DEFINED	3	21837	0	0
MARKET VECTORS ETF TR	GBL ALTER ENRG	57060U407	104	10164	SH		DEFINED	3	10164	0	0
MARKET VECTORS ETF TR	GBL ALTER ENRG	57060U407	326	31924	SH		DEFINED	2	31924	0	0
MARKET VECTORS ETF TR	COLUMBIA ETF	57060U415	829	45274	SH		DEFINED	2	45274	0	0
MARKET VECTORS ETF TR	MINOR METALS	57060U472	395	30383	SH		DEFINED	2	30383	0	0
MARKET VECTORS ETF TR	RUSSIA ETF	57060U506	670	23279	SH		DEFINED	3	23279	0	0
MARKET VECTORS ETF TR	RUSSIA ETF	57060U506	8463	293939	SH		DEFINED	2	293939	0	0
MARKET VECTORS ETF TR	RUSSIA ETF	57060U506	21215	736900	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	RUSSIA ETF	57060U506	33987	1180500	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	RUSSIA ETF	57060U506	921	32000	SH	CALL	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	INVT GRD FL RT	57060U514	981	40037	SH		DEFINED	3	40037	0	0
MARKET VECTORS ETF TR	LAT AM SML CAP	57060U530	1278	51128	SH		DEFINED	2	51128	0	0
MARKET VECTORS ETF TR	EGYPT INDX ETF	57060U548	955	61246	SH		DEFINED	3	61246	0	0
MARKET VECTORS ETF TR	INDIA SMALL CP	57060U563	2330	213752	SH		DEFINED	2	213752	0	0
MARKET VECTORS ETF TR	VECTRS POL ETF	57060U571	1675	81170	SH		DEFINED	2	81170	0	0
MARKET VECTORS ETF TR	VECTRS POL ETF	57060U571	405	19625	SH		DEFINED	3	19625	0	0
MARKET VECTORS ETF TR	JR GOLD MINERS E	57060U589	6768	273803	SH		DEFINED	3	273803	0	0
MARKET VECTORS ETF TR	JR GOLD MINERS E	57060U589	23135	935902	SH		DEFINED	2	935902	0	0
MARKET VECTORS ETF TR	JR GOLD MINERS E	57060U589	2420	97900	SH	PUT	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	JR GOLD MINERS E	57060U589	27249	1102300	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	JR GOLD MINERS E	57060U589	16646	673400	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	JR GOLD MINERS E	57060U589	10232	413900	SH	CALL	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	CHINA A SHS ETF	57060U597	350	11211	SH		DEFINED	2	11211	0	0
MARKET VECTORS ETF TR	AGRIBUS ETF	57060U605	3915	75588	SH		DEFINED	2	75588	0	0
MARKET VECTORS ETF TR	AGRIBUS ETF	57060U605	1279	24700	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	AGRIBUS ETF	57060U605	295	5700	SH	PUT	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	AGRIBUS ETF	57060U605	792	15300	SH	CALL	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	AGRIBUS ETF	57060U605	15040	290400	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	BRAZL SMCP ETF	57060U613	3481	85202	SH		DEFINED	2	85202	0	0
MARKET VECTORS ETF TR	BRAZL SMCP ETF	57060U613	2575	63045	SH		DEFINED	3	63045	0	0
MARKET VECTORS ETF TR	BRAZL SMCP ETF	57060U613	1172	28700	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	BRAZL SMCP ETF	57060U613	1560	38200	SH	CALL	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	URAN NUCLR ENRGY	57060U704	306	20713	SH		DEFINED	3	20713	0	0
MARKET VECTORS ETF TR	URAN NUCLR ENRGY	57060U704	1101	74635	SH		DEFINED	2	74635	0	0
MARKET VECTORS ETF TR	PRE-RF MUN ETF	57060U738	2264	88821	SH		DEFINED	3	88821	0	0
MARKET VECTORS ETF TR	INDONESIA ETF	57060U753	705	24665	SH		DEFINED	2	24665	0	0
MARKET VECTORS ETF TR	VIETNAM ETF	57060U761	542	33788	SH		DEFINED	2	33788	0	0
MARKET VECTORS ETF TR	VIETNAM ETF	57060U761	163	10140	SH		DEFINED	3	10140	0	0
MARKET VECTORS ETF TR	GULF STS ETF	57060U779	696	33655	SH		DEFINED	2	33655	0	0
MARKET VECTORS ETF TR	AFRICA ETF	57060U787	1656	53016	SH		DEFINED	2	53016	0	0
MARKET VECTORS ETF TR	AFRICA ETF	57060U787	491	15724	SH		DEFINED	3	15724	0	0
MARKET VECTORS ETF TR	RVE HARD ETF	57060U795	1315	36415	SH		DEFINED	2	36415	0	0
MARKET VECTORS ETF TR	RVE HARD ETF	57060U795	1748	48400	SH		DEFINED	3	48400	0	0
MARKET VECTORS ETF TR	GAMING ETF	57060U829	515	15139	SH		DEFINED	2	15139	0	0
MARKET VECTORS ETF TR	GAMING ETF	57060U829	526	15466	SH		DEFINED	3	15466	0	0
MARKET VECTORS ETF TR	COAL ETF	57060U837	730	31249	SH		DEFINED	2	31249	0	0
MARKET VECTORS ETF TR	COAL ETF	57060U837	306	13100	SH	PUT	DEFINED	1	0	0	0
MARKET VECTORS ETF TR	COAL ETF	57060U837	1285	55000	SH	PUT	DEFINED	2	0	0	0
MARKET VECTORS ETF TR	HG YLD MUN ETF	57060U878	209	6334	SH		DEFINED	3	6334	0	0
MARKET VECTORS ETF TR	MKTVEC LMUNETF	57060U886	302	14893	SH		DEFINED	3	14893	0	0
MARKET VECTORS ETF TR	EMKT HIYLD BD	57061R403	3872	148760	SH		DEFINED	3	148760	0	0
MARKET VECTORS ETF TR	SOLAR ENRG NEW	57061R783	285	7639	SH		DEFINED	2	7639	0	0
MARKET VECTORS ETF TR	PFD SEC EXFINL	57061R791	521	25368	SH		DEFINED	3	25368	0	0
MARKWEST ENERGY PARTNERS L P	UNIT LTD PARTN	570759100	494	9083	SH		DEFINED	3	9083	0	0
MARKWEST ENERGY PARTNERS L P	UNIT LTD PARTN	570759100	9774	179600	SH	PUT	DEFINED	2	0	0	0
MARKWEST ENERGY PARTNERS L P	UNIT LTD PARTN	570759100	21278	391000	SH	CALL	DEFINED	2	0	0	0
MARKWEST ENERGY PARTNERS L P	UNIT LTD PARTN	570759100	256	4700	SH	CALL	DEFINED	1	0	0	0
MARRIOTT INTL INC NEW	CL A	571903202	597	15260	SH		DEFINED	3	15260	0	0
MARRIOTT INTL INC NEW	CL A	571903202	719	18388	SH		DEFINED	2	18388	0	0
MARRIOTT INTL INC NEW	CL A	571903202	2010	51400	SH	PUT	DEFINED	3	0	0	0
MARRIOTT INTL INC NEW	CL A	571903202	325	8300	SH	PUT	DEFINED	1	0	0	0
MARRIOTT INTL INC NEW	CL A	571903202	7492	191600	SH	PUT	DEFINED	2	0	0	0
MARRIOTT INTL INC NEW	CL A	571903202	11859	303300	SH	CALL	DEFINED	2	0	0	0
MARRIOTT INTL INC NEW	CL A	571903202	1548	39600	SH	CALL	DEFINED	1	0	0	0
MARRIOTT VACATIONS WRLDWDE C	COM	57164Y107	1388	38547	SH		DEFINED	3	38547	0	0
MARRIOTT VACATIONS WRLDWDE C	COM	57164Y107	545	15144	SH		DEFINED	2	15144	0	0
MARRIOTT VACATIONS WRLDWDE C	COM	57164Y107	1869	51900	SH	PUT	DEFINED	2	0	0	0
MARRIOTT VACATIONS WRLDWDE C	COM	57164Y107	238	6600	SH	CALL	DEFINED	2	0	0	0
MARSH & MCLENNAN COS INC	COM	571748102	1058	31177	SH		DEFINED	3	31177	0	0
MARSH & MCLENNAN COS INC	COM	571748102	2724	80297	SH		DEFINED	2	80297	0	0
MARSH & MCLENNAN COS INC	COM	571748102	383	11300	SH	PUT	DEFINED	2	0	0	0
MARSH & MCLENNAN COS INC	COM	571748102	2575	75900	SH	CALL	DEFINED	2	0	0	0
MARTEN TRANS LTD	COM	573075108	338	19245	SH		DEFINED	2	19245	0	0
MARTIN MARIETTA MATLS INC	COM	573284106	223	2689	SH		DEFINED	1	2689	0	0
MARTIN MARIETTA MATLS INC	COM	573284106	30645	369800	SH	PUT	DEFINED	2	0	0	0
MARTIN MARIETTA MATLS INC	COM	573284106	4168	50300	SH	PUT	DEFINED	1	0	0	0
MARTIN MARIETTA MATLS INC	COM	573284106	688	8300	SH	CALL	DEFINED	1	0	0	0
MARTIN MARIETTA MATLS INC	COM	573284106	17428	210300	SH	CALL	DEFINED	2	0	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	15804	1727225	SH		DEFINED	2	1727225	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	1221	133398	SH		DEFINED	1	133398	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	393	42941	SH		DEFINED	3	42941	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	4159	454500	SH		DEFINED	9	454500	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	2196	240000	SH	PUT	DEFINED	1	0	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	16932	1850500	SH	PUT	DEFINED	2	0	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	785	85800	SH	CALL	DEFINED	1	0	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD	G5876H105	10411	1137800	SH	CALL	DEFINED	2	0	0	0
MASCO CORP	COM	574599106	7584	503898	SH		DEFINED	9	503898	0	0
MASCO CORP	COM	574599106	1829	121556	SH		DEFINED	2	121556	0	0
MASCO CORP	COM	574599106	357	23700	SH	PUT	DEFINED	1	0	0	0
MASCO CORP	COM	574599106	3806	252900	SH	PUT	DEFINED	2	0	0	0
MASCO CORP	COM	574599106	876	58200	SH	CALL	DEFINED	1	0	0	0
MASCO CORP	COM	574599106	2802	186200	SH	CALL	DEFINED	2	0	0	0
MASIMO CORP	COM	574795100	914	37800	SH		DEFINED	"5,7"	37800	0	0
MASIMO CORP	COM	574795100	346	14300	SH	PUT	DEFINED	2	0	0	0
MASTEC INC	COM	576323109	298	15113	SH		DEFINED	3	15113	0	0
MASTEC INC	COM	576323109	477	24200	SH	PUT	DEFINED	2	0	0	0
MASTEC INC	COM	576323109	2017	102400	SH	CALL	DEFINED	2	0	0	0
MASTERCARD INC	CL A	57636Q104	36164	80100	SH		DEFINED	9	80100	0	0
MASTERCARD INC	CL A	57636Q104	8682	19229	SH		DEFINED	1	19229	0	0
MASTERCARD INC	CL A	57636Q104	13815	30599	SH		DEFINED	2	30599	0	0
MASTERCARD INC	CL A	57636Q104	541	1199	SH		DEFINED	3	1199	0	0
MASTERCARD INC	CL A	57636Q104	106278	235400	SH	PUT	DEFINED	1	0	0	0
MASTERCARD INC	CL A	57636Q104	343170	760100	SH	PUT	DEFINED	2	0	0	0
MASTERCARD INC	CL A	57636Q104	110974	245800	SH	CALL	DEFINED	1	0	0	0
MASTERCARD INC	CL A	57636Q104	372652	825400	SH	CALL	DEFINED	2	0	0	0
MATERION CORP	COM	576690101	490	20600	SH	PUT	DEFINED	2	0	0	0
MATRIX SVC CO	COM	576853105	132	12482	SH		DEFINED	3	12482	0	0
MATSON INC	COM	57686G105	239	11426	SH		DEFINED	2	11426	0	0
MATSON INC	COM	57686G105	445	21300	SH	CALL	DEFINED	2	0	0	0
MATTEL INC	COM	577081102	6711	189151	SH		DEFINED	2	189151	0	0
MATTEL INC	COM	577081102	9448	266300	SH	PUT	DEFINED	2	0	0	0
MATTEL INC	COM	577081102	12957	365200	SH	CALL	DEFINED	2	0	0	0
MATTHEWS INTL CORP	CL A	577128101	382	12800	SH	PUT	DEFINED	2	0	0	0
MATTHEWS INTL CORP	CL A	577128101	737	24700	SH	CALL	DEFINED	2	0	0	0
MATTRESS FIRM HLDG CORP	COM	57722W106	1405	49900	SH	PUT	DEFINED	2	0	0	0
MATTRESS FIRM HLDG CORP	COM	57722W106	988	35100	SH	CALL	DEFINED	2	0	0	0
MATTSON TECHNOLOGY INC	COM	577223100	11	10845	SH		DEFINED	2	10845	0	0
MAXIM INTEGRATED PRODS INC	COM	57772K101	3450	129620	SH		DEFINED	2	129620	0	0
MAXIM INTEGRATED PRODS INC	COM	57772K101	9680	363640	SH		DEFINED	9	363640	0	0
MAXIM INTEGRATED PRODS INC	COM	57772K101	1432	53800	SH	PUT	DEFINED	2	0	0	0
MAXIM INTEGRATED PRODS INC	COM	57772K101	5997	225300	SH	CALL	DEFINED	2	0	0	0
MAXIMUS INC	COM	577933104	741	12400	SH	PUT	DEFINED	2	0	0	0
MAXWELL TECHNOLOGIES INC	COM	577767106	145	17809	SH		DEFINED	2	17809	0	0
MBIA INC	COM	55262C100	674	66511	SH		DEFINED	1	66511	0	0
MBIA INC	COM	55262C100	1479	146000	SH		DEFINED	9	146000	0	0
MBIA INC	COM	55262C100	14057	1387633	SH		DEFINED	2	1387633	0	0
MBIA INC	COM	55262C100	1897	187300	SH	PUT	DEFINED	1	0	0	0
MBIA INC	COM	55262C100	20897	2062900	SH	PUT	DEFINED	2	0	0	0
MBIA INC	COM	55262C100	1076	106200	SH	CALL	DEFINED	1	0	0	0
MBIA INC	COM	55262C100	301	29700	SH	CALL	DEFINED	3	0	0	0
MBIA INC	COM	55262C100	10336	1020300	SH	CALL	DEFINED	2	0	0	0
MCCLATCHY CO	CL A	579489105	25	11142	SH		DEFINED	2	11142	0	0
MCCORMICK & CO INC	COM NON VTG	579780206	1303	21000	SH		DEFINED	9	21000	0	0
MCCORMICK & CO INC	COM NON VTG	579780206	224	3607	SH		DEFINED	3	3607	0	0
MCCORMICK & CO INC	COM NON VTG	579780206	471	7596	SH		DEFINED	2	7596	0	0
MCCORMICK & CO INC	COM NON VTG	579780206	682	11000	SH	CALL	DEFINED	2	0	0	0
MCDERMOTT INTL INC	COM	580037109	159	13023	SH		DEFINED	3	13023	0	0
MCDERMOTT INTL INC	COM	580037109	3413	279278	SH		DEFINED	2	279278	0	0
MCDERMOTT INTL INC	COM	580037109	568	46500	SH	PUT	DEFINED	1	0	0	0
MCDERMOTT INTL INC	COM	580037109	3436	281200	SH	PUT	DEFINED	2	0	0	0
MCDERMOTT INTL INC	COM	580037109	1031	84400	SH	CALL	DEFINED	2	0	0	0
MCDERMOTT INTL INC	COM	580037109	920	75300	SH	CALL	DEFINED	1	0	0	0
MCDONALDS CORP	COM	580135101	716	7800	SH		DEFINED	3	7800	0	0
MCDONALDS CORP	COM	580135101	125879	1371976	SH		DEFINED	2	1371976	0	0
MCDONALDS CORP	COM	580135101	3853	41992	SH		DEFINED	1	41992	0	0
MCDONALDS CORP	COM	580135101	218282	2379100	SH	PUT	DEFINED	2	0	0	0
MCDONALDS CORP	COM	580135101	19534	212900	SH	PUT	DEFINED	1	0	0	0
MCDONALDS CORP	COM	580135101	153434	1672300	SH	CALL	DEFINED	2	0	0	0
MCDONALDS CORP	COM	580135101	39086	426000	SH	CALL	DEFINED	1	0	0	0
MCEWEN MNG INC	COM	58039P107	51	11141	SH		DEFINED	3	11141	0	0
MCEWEN MNG INC	COM	58039P107	1013	220731	SH		DEFINED	2	220731	0	0
MCEWEN MNG INC	COM	58039P107	683	148800	SH	PUT	DEFINED	2	0	0	0
MCEWEN MNG INC	COM	58039P107	386	84000	SH	CALL	DEFINED	2	0	0	0
MCG CAPITAL CORP	COM	58047P107	232	50316	SH		DEFINED	2	50316	0	0
MCG CAPITAL CORP	COM	58047P107	208	45100	SH	PUT	DEFINED	2	0	0	0
MCG CAPITAL CORP	COM	58047P107	59	12800	SH	CALL	DEFINED	2	0	0	0
MCGRAW HILL COS INC	COM	580645109	599	10966	SH		DEFINED	3	10966	0	0
MCGRAW HILL COS INC	COM	580645109	11589	212291	SH		DEFINED	2	212291	0	0
MCGRAW HILL COS INC	COM	580645109	2811	51500	SH		DEFINED	9	51500	0	0
MCGRAW HILL COS INC	COM	580645109	208	3817	SH		DEFINED	1	3817	0	0
MCGRAW HILL COS INC	COM	580645109	10814	198100	SH	PUT	DEFINED	2	0	0	0
MCGRAW HILL COS INC	COM	580645109	2025	37100	SH	CALL	DEFINED	2	0	0	0
MCKESSON CORP	COM	58155Q103	2901	33715	SH		DEFINED	2	33715	0	0
MCKESSON CORP	COM	58155Q103	28691	333500	SH	PUT	DEFINED	2	0	0	0
MCKESSON CORP	COM	58155Q103	17043	198100	SH	CALL	DEFINED	2	0	0	0
MCMORAN EXPLORATION CO	COM	582411104	1197	101866	SH		DEFINED	1	101866	0	0
MCMORAN EXPLORATION CO	COM	582411104	639	54423	SH		DEFINED	3	54423	0	0
MCMORAN EXPLORATION CO	COM	582411104	5410	460460	SH		DEFINED	2	460460	0	0
MCMORAN EXPLORATION CO	COM	582411104	9460	805100	SH	PUT	DEFINED	2	0	0	0
MCMORAN EXPLORATION CO	COM	582411104	435	37000	SH	PUT	DEFINED	3	0	0	0
MCMORAN EXPLORATION CO	COM	582411104	3000	255300	SH	PUT	DEFINED	1	0	0	0
MCMORAN EXPLORATION CO	COM	582411104	14458	1230500	SH	CALL	DEFINED	2	0	0	0
MCMORAN EXPLORATION CO	COM	582411104	1026	87300	SH	CALL	DEFINED	3	0	0	0
MCMORAN EXPLORATION CO	COM	582411104	3606	306900	SH	CALL	DEFINED	1	0	0	0
MDU RES GROUP INC	COM	552690109	536	24300	SH	CALL	DEFINED	2	0	0	0
MEAD JOHNSON NUTRITION CO	COM	582839106	810	11054	SH		DEFINED	3	11054	0	0
MEAD JOHNSON NUTRITION CO	COM	582839106	5605	76492	SH		DEFINED	2	76492	0	0
MEAD JOHNSON NUTRITION CO	COM	582839106	14993	204600	SH	PUT	DEFINED	2	0	0	0
MEAD JOHNSON NUTRITION CO	COM	582839106	1905	26000	SH	PUT	DEFINED	3	0	0	0
MEAD JOHNSON NUTRITION CO	COM	582839106	674	9200	SH	PUT	DEFINED	1	0	0	0
MEAD JOHNSON NUTRITION CO	COM	582839106	7892	107700	SH	CALL	DEFINED	2	0	0	0
MEADWESTVACO CORP	COM	583334107	1088	35555	SH		DEFINED	2	35555	0	0
MEADWESTVACO CORP	COM	583334107	413	13500	SH	PUT	DEFINED	2	0	0	0
MEADWESTVACO CORP	COM	583334107	2971	97100	SH	CALL	DEFINED	2	0	0	0
MECHEL OAO	SPONSORED ADR	583840103	3706	526355	SH		DEFINED	2	526355	0	0
MECHEL OAO	SPONSORED ADR	583840103	137	19510	SH		DEFINED	1	19510	0	0
MECHEL OAO	SPONSORED ADR	583840103	229	32500	SH	PUT	DEFINED	1	0	0	0
MECHEL OAO	SPONSORED ADR	583840103	2637	374600	SH	PUT	DEFINED	2	0	0	0
MECHEL OAO	SPONSORED ADR	583840103	210	29900	SH	CALL	DEFINED	1	0	0	0
MECHEL OAO	SPONSORED ADR	583840103	888	126200	SH	CALL	DEFINED	2	0	0	0
MEDALLION FINL CORP	COM	583928106	394	33400	SH	CALL	DEFINED	2	0	0	0
MEDASSETS INC	COM	584045108	894	50200	SH		DEFINED	9	50200	0	0
MEDASSETS INC	COM	584045108	233	13100	SH	CALL	DEFINED	2	0	0	0
MEDCATH CORP	COM	58404W109	632	81410	SH		DEFINED	3	81410	0	0
MEDICAL ACTION INDS INC	COM	58449L100	432	123852	SH		DEFINED	3	123852	0	0
MEDICAL PPTYS TRUST INC	COM	58463J304	171	16390	SH		DEFINED	3	16390	0	0
MEDICAL PPTYS TRUST INC	COM	58463J304	166	15900	SH	CALL	DEFINED	2	0	0	0
MEDICINES CO	COM	584688105	263	10200	SH		DEFINED	3	10200	0	0
MEDICINES CO	COM	584688105	1314	50900	SH	PUT	DEFINED	2	0	0	0
MEDICINES CO	COM	584688105	1182	45800	SH	CALL	DEFINED	2	0	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	7153	165306	SH		DEFINED	2	165306	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	1086	25100	SH		DEFINED	1	25100	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	279	6448	SH		DEFINED	3	6448	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	13652	315500	SH	PUT	DEFINED	2	0	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	350	8100	SH	PUT	DEFINED	1	0	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	2782	64300	SH	CALL	DEFINED	2	0	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	1060	24500	SH	CALL	DEFINED	1	0	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	584	13500	SH	CALL	DEFINED	3	0	0	0
MEDIDATA SOLUTIONS INC	COM	58471A105	251	6058	SH		DEFINED	2	6058	0	0
MEDIDATA SOLUTIONS INC	COM	58471A105	552	13300	SH	PUT	DEFINED	2	0	0	0
MEDIDATA SOLUTIONS INC	COM	58471A105	739	17800	SH	CALL	DEFINED	2	0	0	0
MEDIFAST INC	COM	58470H101	1511	57800	SH	CALL	DEFINED	2	0	0	0
MEDIVATION INC	COM	58501N101	1035	18360	SH		DEFINED	3	18360	0	0
MEDIVATION INC	COM	58501N101	2254	40000	SH		DEFINED	9	40000	0	0
MEDIVATION INC	COM	58501N101	3182	56460	SH		DEFINED	2	56460	0	0
MEDIVATION INC	COM	58501N101	10545	187100	SH	PUT	DEFINED	2	0	0	0
MEDIVATION INC	COM	58501N101	327	5800	SH	CALL	DEFINED	1	0	0	0
MEDIVATION INC	COM	58501N101	10635	188700	SH	CALL	DEFINED	2	0	0	0
MEDNAX INC	COM	58502B106	1881	25259	SH		DEFINED	2	25259	0	0
MEDNAX INC	COM	58502B106	201	2700	SH	PUT	DEFINED	1	0	0	0
MEDNAX INC	COM	58502B106	3291	44200	SH	PUT	DEFINED	2	0	0	0
MEDNAX INC	COM	58502B106	893	12000	SH	CALL	DEFINED	2	0	0	0
MEDTRONIC INC	COM	585055106	2668	61863	SH		DEFINED	2	61863	0	0
MEDTRONIC INC	COM	585055106	775	17976	SH		DEFINED	3	17976	0	0
MEDTRONIC INC	COM	585055106	5787	134200	SH	PUT	DEFINED	1	0	0	0
MEDTRONIC INC	COM	585055106	17839	413700	SH	PUT	DEFINED	2	0	0	0
MEDTRONIC INC	COM	585055106	41921	972200	SH	CALL	DEFINED	2	0	0	0
MEDTRONIC INC	COM	585055106	7964	184700	SH	CALL	DEFINED	1	0	0	0
MEETME INC	COM	585141104	174	60936	SH		DEFINED	2	60936	0	0
MEETME INC	COM	585141104	72	25300	SH	PUT	DEFINED	2	0	0	0
MEI PHARMA INC	COM	55279B103	190	413097	SH		DEFINED	"5,8"	413097	0	0
MELA SCIENCES INC	COM	55277R100	166	51735	SH		DEFINED	2	51735	0	0
MELA SCIENCES INC	COM	55277R100	968	301500	SH	PUT	DEFINED	2	0	0	0
MELA SCIENCES INC	COM	55277R100	777	242000	SH	CALL	DEFINED	2	0	0	0
MELCO CROWN ENTMT LTD	ADR	585464100	1856	137719	SH		DEFINED	2	137719	0	0
MELCO CROWN ENTMT LTD	ADR	585464100	136	10100	SH	PUT	DEFINED	1	0	0	0
MELCO CROWN ENTMT LTD	ADR	585464100	146	10800	SH	PUT	DEFINED	3	0	0	0
MELCO CROWN ENTMT LTD	ADR	585464100	6584	488400	SH	PUT	DEFINED	2	0	0	0
MELCO CROWN ENTMT LTD	ADR	585464100	472	35000	SH	CALL	DEFINED	3	0	0	0
MELCO CROWN ENTMT LTD	ADR	585464100	13545	1004800	SH	CALL	DEFINED	2	0	0	0
MELLANOX TECHNOLOGIES LTD	SHS	M51363113	3041	29952	SH		DEFINED	2	29952	0	0
MELLANOX TECHNOLOGIES LTD	SHS	M51363113	518	5102	SH		DEFINED	3	5102	0	0
MELLANOX TECHNOLOGIES LTD	SHS	M51363113	1411	13900	SH	PUT	DEFINED	1	0	0	0
MELLANOX TECHNOLOGIES LTD	SHS	M51363113	27332	269200	SH	PUT	DEFINED	2	0	0	0
MELLANOX TECHNOLOGIES LTD	SHS	M51363113	21291	209700	SH	CALL	DEFINED	2	0	0	0
MELLANOX TECHNOLOGIES LTD	SHS	M51363113	4031	39700	SH	CALL	DEFINED	1	0	0	0
MEMC ELECTR MATLS INC	COM	552715104	864	314099	SH		DEFINED	2	314099	0	0
MEMC ELECTR MATLS INC	COM	552715104	121	43853	SH		DEFINED	3	43853	0	0
MEMC ELECTR MATLS INC	COM	552715104	4011	1458600	SH	PUT	DEFINED	3	0	0	0
MEMC ELECTR MATLS INC	COM	552715104	4010	1458200	SH	PUT	DEFINED	2	0	0	0
MEMC ELECTR MATLS INC	COM	552715104	6061	2204100	SH	CALL	DEFINED	3	0	0	0
MEMC ELECTR MATLS INC	COM	552715104	4670	1698300	SH	CALL	DEFINED	2	0	0	0
MEMC ELECTR MATLS INC	COM	552715104	51	18400	SH	CALL	DEFINED	1	0	0	0
MEMORIAL PRODTN PARTNERS LP	COM U REP LTD	586048100	1169	61900	SH	CALL	DEFINED	2	0	0	0
MENS WEARHOUSE INC	COM	587118100	678	19699	SH		DEFINED	3	19699	0	0
MENS WEARHOUSE INC	COM	587118100	313	9100	SH	PUT	DEFINED	1	0	0	0
MENS WEARHOUSE INC	COM	587118100	2679	77800	SH	PUT	DEFINED	2	0	0	0
MENS WEARHOUSE INC	COM	587118100	320	9300	SH	CALL	DEFINED	1	0	0	0
MENS WEARHOUSE INC	COM	587118100	2283	66300	SH	CALL	DEFINED	2	0	0	0
MENTOR GRAPHICS CORP	COM	587200106	186	12000	SH	PUT	DEFINED	2	0	0	0
MENTOR GRAPHICS CORP	COM	587200106	752	48600	SH	CALL	DEFINED	2	0	0	0
MERCADOLIBRE INC	COM	58733R102	1092	13226	SH		DEFINED	1	13226	0	0
MERCADOLIBRE INC	COM	58733R102	7490	90735	SH		DEFINED	2	90735	0	0
MERCADOLIBRE INC	COM	58733R102	6860	83100	SH	PUT	DEFINED	1	0	0	0
MERCADOLIBRE INC	COM	58733R102	15214	184300	SH	PUT	DEFINED	2	0	0	0
MERCADOLIBRE INC	COM	58733R102	3442	41700	SH	CALL	DEFINED	1	0	0	0
MERCADOLIBRE INC	COM	58733R102	6125	74200	SH	CALL	DEFINED	2	0	0	0
MERCER INTL INC	COM	588056101	356	47700	SH	CALL	DEFINED	2	0	0	0
MERCK & CO INC NEW	COM	58933Y105	1653	36654	SH		DEFINED	1	36654	0	0
MERCK & CO INC NEW	COM	58933Y105	54985	1219176	SH		DEFINED	2	1219176	0	0
MERCK & CO INC NEW	COM	58933Y105	12515	277500	SH	PUT	DEFINED	1	0	0	0
MERCK & CO INC NEW	COM	58933Y105	183214	4062400	SH	PUT	DEFINED	2	0	0	0
MERCK & CO INC NEW	COM	58933Y105	91981	2039500	SH	CALL	DEFINED	2	0	0	0
MERCK & CO INC NEW	COM	58933Y105	6607	146500	SH	CALL	DEFINED	1	0	0	0
MERCK & CO INC NEW	COM	58933Y105	5863	130000	SH	CALL	DEFINED	3	0	0	0
MERCURY GENL CORP NEW	COM	589400100	936	24214	SH		DEFINED	2	24214	0	0
MEREDITH CORP	COM	589433101	271	7736	SH		DEFINED	3	7736	0	0
MERGE HEALTHCARE INC	COM	589499102	150	39039	SH		DEFINED	1	39039	0	0
MERGE HEALTHCARE INC	COM	589499102	99	25942	SH		DEFINED	2	25942	0	0
MERIDIAN INTERSTAT BANCORP I	COM	58964Q104	348	21070	SH		DEFINED	3	21070	0	0
MERITAGE HOMES CORP	COM	59001A102	350	9200	SH	CALL	DEFINED	1	0	0	0
MERITAGE HOMES CORP	COM	59001A102	1590	41800	SH	CALL	DEFINED	2	0	0	0
MERITOR INC	COM	59001K100	132	31081	SH		DEFINED	2	31081	0	0
MERITOR INC	COM	59001K100	369	87100	SH	PUT	DEFINED	2	0	0	0
MERITOR INC	COM	59001K100	617	145600	SH	CALL	DEFINED	2	0	0	0
MERRIMACK PHARMACEUTICALS IN	COM	590328100	238	25371	SH		DEFINED	3	25371	0	0
MERU NETWORKS INC	COM	59047Q103	92	26830	SH		DEFINED	3	26830	0	0
MERU NETWORKS INC	COM	59047Q103	35	10300	SH	CALL	DEFINED	2	0	0	0
MESABI TR	CTF BEN INT	590672101	818	30508	SH		DEFINED	2	30508	0	0
MESABI TR	CTF BEN INT	590672101	1847	68900	SH	PUT	DEFINED	2	0	0	0
MESABI TR	CTF BEN INT	590672101	1799	67100	SH	CALL	DEFINED	2	0	0	0
MET PRO CORP	COM	590876306	626	69938	SH		DEFINED	3	69938	0	0
METABOLIX INC	COM	591018809	147	87796	SH		DEFINED	3	87796	0	0
METALICO INC	COM	591176102	82	31906	SH		DEFINED	2	31906	0	0
METALICO INC	COM	591176102	56	21700	SH	PUT	DEFINED	2	0	0	0
METHANEX CORP	COM	59151K108	379	13293	SH		DEFINED	2	13293	0	0
METHANEX CORP	COM	59151K108	1821	63800	SH	PUT	DEFINED	2	0	0	0
METHANEX CORP	COM	59151K108	1692	59300	SH	CALL	DEFINED	2	0	0	0
METLIFE INC	COM	59156R108	1023	29700	SH		DEFINED	9	29700	0	0
METLIFE INC	COM	59156R108	2376	68942	SH		DEFINED	3	68942	0	0
METLIFE INC	COM	59156R108	8082	234529	SH		DEFINED	2	234529	0	0
METLIFE INC	COM	59156R108	798	23162	SH		DEFINED	1	23162	0	0
METLIFE INC	COM	59156R108	224	6500	SH	PUT	DEFINED	3	0	0	0
METLIFE INC	COM	59156R108	132220	3836900	SH	PUT	DEFINED	2	0	0	0
METLIFE INC	COM	59156R108	6165	178900	SH	PUT	DEFINED	1	0	0	0
METLIFE INC	COM	59156R108	117447	3408200	SH	CALL	DEFINED	2	0	0	0
METLIFE INC	COM	59156R108	8353	242400	SH	CALL	DEFINED	1	0	0	0
METROPCS COMMUNICATIONS INC	COM	591708102	3782	322973	SH		DEFINED	2	322973	0	0
METROPCS COMMUNICATIONS INC	COM	591708102	711	60745	SH		DEFINED	3	60745	0	0
METROPCS COMMUNICATIONS INC	COM	591708102	230	19672	SH		DEFINED	1	19672	0	0
METROPCS COMMUNICATIONS INC	COM	591708102	2584	220700	SH	PUT	DEFINED	2	0	0	0
METROPCS COMMUNICATIONS INC	COM	591708102	1689	144200	SH	CALL	DEFINED	2	0	0	0
METROPOLITAN HEALTH NETWORKS	COM	592142103	96	10243	SH		DEFINED	2	10243	0	0
METTLER TOLEDO INTERNATIONAL	COM	592688105	1639	9600	SH	PUT	DEFINED	2	0	0	0
METTLER TOLEDO INTERNATIONAL	COM	592688105	2595	15200	SH	CALL	DEFINED	2	0	0	0
MFA FINANCIAL INC	COM	55272X102	401	47178	SH		DEFINED	3	47178	0	0
MFA FINANCIAL INC	COM	55272X102	148	17380	SH		DEFINED	2	17380	0	0
MFA FINANCIAL INC	COM	55272X102	170	20000	SH	PUT	DEFINED	2	0	0	0
MFA FINANCIAL INC	COM	55272X102	467	54900	SH	CALL	DEFINED	2	0	0	0
MFC INDL LTD	COM	55278T105	657	78663	SH		DEFINED	2	78663	0	0
MFC INDL LTD	COM	55278T105	187	22400	SH	PUT	DEFINED	2	0	0	0
MGIC INVT CORP WIS	COM	552848103	3602	2354053	SH		DEFINED	2	2354053	0	0
MGIC INVT CORP WIS	COM	552848103	1748	1142200	SH	PUT	DEFINED	2	0	0	0
MGIC INVT CORP WIS	COM	552848103	18	11800	SH	PUT	DEFINED	1	0	0	0
MGIC INVT CORP WIS	COM	552848103	12019	7855400	SH	CALL	DEFINED	2	0	0	0
MGM RESORTS INTERNATIONAL	COM	552953101	268	24895	SH		DEFINED	1	24895	0	0
MGM RESORTS INTERNATIONAL	COM	552953101	28558	2656531	SH		DEFINED	2	2656531	0	0
MGM RESORTS INTERNATIONAL	COM	552953101	2943	273800	SH	PUT	DEFINED	1	0	0	0
MGM RESORTS INTERNATIONAL	COM	552953101	38080	3542300	SH	PUT	DEFINED	2	0	0	0
MGM RESORTS INTERNATIONAL	COM	552953101	2700	251200	SH	CALL	DEFINED	1	0	0	0
MGM RESORTS INTERNATIONAL	COM	552953101	8772	816000	SH	CALL	DEFINED	2	0	0	0
MGP INGREDIENTS INC NEW	COM	55303J106	166	43374	SH		DEFINED	3	43374	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	2694	50667	SH		DEFINED	2	50667	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	1166	21924	SH		DEFINED	1	21924	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	665	12507	SH		DEFINED	3	12507	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	4068	76500	SH	PUT	DEFINED	1	0	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	33599	631800	SH	PUT	DEFINED	2	0	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	1175	22100	SH	CALL	DEFINED	3	0	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	26952	506800	SH	CALL	DEFINED	2	0	0	0
MICHAEL KORS HLDGS LTD	SHS	G60754101	2941	55300	SH	CALL	DEFINED	1	0	0	0
MICROCHIP TECHNOLOGY INC	COM	595017104	4336	132448	SH		DEFINED	2	132448	0	0
MICROCHIP TECHNOLOGY INC	COM	595017104	5494	167800	SH	PUT	DEFINED	2	0	0	0
MICROCHIP TECHNOLOGY INC	COM	595017104	661	20200	SH	PUT	DEFINED	1	0	0	0
MICROCHIP TECHNOLOGY INC	COM	595017104	6011	183600	SH	CALL	DEFINED	2	0	0	0
MICROCHIP TECHNOLOGY INC	SDCV   2.125%12/1	595017AB0	95182	75767000	PRN		DEFINED	"5,7"	0	0	0
MICRON TECHNOLOGY INC	COM	595112103	317	52941	SH		DEFINED	1	52941	0	0
MICRON TECHNOLOGY INC	COM	595112103	18975	3170477	SH		DEFINED	2	3170477	0	0
MICRON TECHNOLOGY INC	COM	595112103	584	97525	SH		DEFINED	3	97525	0	0
MICRON TECHNOLOGY INC	COM	595112103	1052	175800	SH	PUT	DEFINED	1	0	0	0
MICRON TECHNOLOGY INC	COM	595112103	27539	4601400	SH	PUT	DEFINED	2	0	0	0
MICRON TECHNOLOGY INC	COM	595112103	1578	263700	SH	CALL	DEFINED	1	0	0	0
MICRON TECHNOLOGY INC	COM	595112103	13092	2187500	SH	CALL	DEFINED	2	0	0	0
MICRON TECHNOLOGY INC	NOTE   1.500% 8/0	595112AQ6	899	1000000	PRN		DEFINED	"5,7"	0	0	0
MICRON TECHNOLOGY INC	NOTE   1.875% 8/0	595112AR4	6164	7000000	PRN		DEFINED	"5,7"	0	0	0
MICROS SYS INC	COM	594901100	977	19900	SH	PUT	DEFINED	2	0	0	0
MICROS SYS INC	COM	594901100	4224	86000	SH	CALL	DEFINED	2	0	0	0
MICROSEMI CORP	COM	595137100	275	13700	SH	CALL	DEFINED	2	0	0	0
MICROSOFT CORP	COM	594918104	3391	113856	SH		DEFINED	3	113856	0	0
MICROSOFT CORP	COM	594918104	188604	6333251	SH		DEFINED	2	6333251	0	0
MICROSOFT CORP	COM	594918104	26860	901950	SH		DEFINED	1	901950	0	0
MICROSOFT CORP	COM	594918104	353962	11885900	SH	PUT	DEFINED	2	0	0	0
MICROSOFT CORP	COM	594918104	2540	85300	SH	PUT	DEFINED	3	0	0	0
MICROSOFT CORP	COM	594918104	39092	1312700	SH	PUT	DEFINED	1	0	0	0
MICROSOFT CORP	COM	594918104	53860	1808600	SH	CALL	DEFINED	1	0	0	0
MICROSOFT CORP	COM	594918104	266263	8941000	SH	CALL	DEFINED	2	0	0	0
MICROSOFT CORP	COM	594918104	5250	176300	SH	CALL	DEFINED	3	0	0	0
MICROSTRATEGY INC	CL A NEW	594972408	2279	17000	SH	PUT	DEFINED	2	0	0	0
MICROSTRATEGY INC	CL A NEW	594972408	536	4000	SH	PUT	DEFINED	1	0	0	0
MICROSTRATEGY INC	CL A NEW	594972408	11101	82800	SH	CALL	DEFINED	2	0	0	0
MICROVISION INC DEL	*W EXP 07/23/201	594960163	0	517871	SH		DEFINED	"5,8"	517871	0	0
MICROVISION INC DEL	COM NEW	594960304	377	162647	SH		DEFINED	3	162647	0	0
MICROVISION INC DEL	COM NEW	594960304	96	41300	SH	CALL	DEFINED	2	0	0	0
MID-AMER APT CMNTYS INC	COM	59522J103	299	4574	SH		DEFINED	3	4574	0	0
MID-AMER APT CMNTYS INC	COM	59522J103	607	9300	SH	PUT	DEFINED	2	0	0	0
MID-AMER APT CMNTYS INC	COM	59522J103	1966	30100	SH	CALL	DEFINED	2	0	0	0
MIDDLEBY CORP	COM	596278101	578	5000	SH		DEFINED	9	5000	0	0
MIDDLEBY CORP	COM	596278101	671	5800	SH	PUT	DEFINED	2	0	0	0
MIDDLEBY CORP	COM	596278101	254	2200	SH	CALL	DEFINED	1	0	0	0
MIDDLEBY CORP	COM	596278101	2336	20200	SH	CALL	DEFINED	2	0	0	0
MIDSTATES PETE CO INC	COM	59804T100	154	17800	SH	PUT	DEFINED	2	0	0	0
MIDWAY GOLD CORP	COM	598153104	113	69070	SH		DEFINED	2	69070	0	0
MIDWESTONE FINL GROUP INC NE	COM	598511103	395	18340	SH		DEFINED	3	18340	0	0
MILLENNIAL MEDIA INC	COM	60040N105	258	18004	SH		DEFINED	3	18004	0	0
MILLENNIAL MEDIA INC	COM	60040N105	260	18100	SH	PUT	DEFINED	1	0	0	0
MILLENNIAL MEDIA INC	COM	60040N105	1429	99600	SH	PUT	DEFINED	2	0	0	0
MILLENNIAL MEDIA INC	COM	60040N105	402	28000	SH	CALL	DEFINED	1	0	0	0
MILLENNIAL MEDIA INC	COM	60040N105	1195	83300	SH	CALL	DEFINED	2	0	0	0
MILLER ENERGY RES INC	COM	600527105	763	151761	SH		DEFINED	2	151761	0	0
MILLER ENERGY RES INC	COM	600527105	714	142000	SH	PUT	DEFINED	2	0	0	0
MILLER ENERGY RES INC	COM	600527105	112	22300	SH	CALL	DEFINED	1	0	0	0
MILLER ENERGY RES INC	COM	600527105	193	38400	SH	CALL	DEFINED	2	0	0	0
MILLER HERMAN INC	COM	600544100	253	13000	SH	PUT	DEFINED	2	0	0	0
MILLER HERMAN INC	COM	600544100	307	15800	SH	CALL	DEFINED	2	0	0	0
MINDRAY MEDICAL INTL LTD	SPON ADR	602675100	1040	30931	SH		DEFINED	2	30931	0	0
MINDRAY MEDICAL INTL LTD	SPON ADR	602675100	635	18900	SH	PUT	DEFINED	2	0	0	0
MINDRAY MEDICAL INTL LTD	SPON ADR	602675100	255	7600	SH	PUT	DEFINED	1	0	0	0
MINDRAY MEDICAL INTL LTD	SPON ADR	602675100	672	20000	SH	CALL	DEFINED	2	0	0	0
MINDSPEED TECHNOLOGIES INC	COM NEW	602682205	123	35634	SH		DEFINED	2	35634	0	0
MINE SAFETY APPLIANCES CO	COM	602720104	298	8000	SH	CALL	DEFINED	2	0	0	0
MINERALS TECHNOLOGIES INC	COM	603158106	226	3190	SH		DEFINED	2	3190	0	0
MIPS TECHNOLOGIES INC	COM	604567107	157	21226	SH		DEFINED	3	21226	0	0
MIPS TECHNOLOGIES INC	COM	604567107	1209	163559	SH		DEFINED	2	163559	0	0
MIPS TECHNOLOGIES INC	COM	604567107	1454	196800	SH	PUT	DEFINED	2	0	0	0
MIPS TECHNOLOGIES INC	COM	604567107	2550	345000	SH	CALL	DEFINED	2	0	0	0
MITCHAM INDS INC	COM	606501104	185	11600	SH	PUT	DEFINED	2	0	0	0
MITCHAM INDS INC	COM	606501104	583	36600	SH	CALL	DEFINED	2	0	0	0
MITEK SYS INC	COM NEW	606710200	669	207214	SH		DEFINED	2	207214	0	0
MITEK SYS INC	COM NEW	606710200	667	206500	SH	PUT	DEFINED	2	0	0	0
MITEK SYS INC	COM NEW	606710200	66	20400	SH	CALL	DEFINED	2	0	0	0
MITSUBISHI UFJ FINL GROUP IN	SPONSORED ADR	606822104	102	21905	SH		DEFINED	2	21905	0	0
MKS INSTRUMENT INC	COM	55306N104	887	34800	SH		DEFINED	9	34800	0	0
MKS INSTRUMENT INC	COM	55306N104	678	26600	SH	CALL	DEFINED	2	0	0	0
MOBILE MINI INC	COM	60740F105	241	14400	SH	PUT	DEFINED	2	0	0	0
MOBILE TELESYSTEMS OJSC	SPONSORED ADR	607409109	2052	117100	SH		DEFINED	9	117100	0	0
MOBILE TELESYSTEMS OJSC	SPONSORED ADR	607409109	420	23981	SH		DEFINED	2	23981	0	0
MOBILE TELESYSTEMS OJSC	SPONSORED ADR	607409109	207	11800	SH	PUT	DEFINED	2	0	0	0
MOBILE TELESYSTEMS OJSC	SPONSORED ADR	607409109	380	21700	SH	CALL	DEFINED	2	0	0	0
MODUSLINK GLOBAL SOLUTIONS I	COM	60786L107	40	10711	SH		DEFINED	2	10711	0	0
MOHAWK INDS INC	COM	608190104	960	12001	SH		DEFINED	2	12001	0	0
MOHAWK INDS INC	COM	608190104	288	3600	SH	PUT	DEFINED	1	0	0	0
MOHAWK INDS INC	COM	608190104	3769	47100	SH	PUT	DEFINED	2	0	0	0
MOHAWK INDS INC	COM	608190104	720	9000	SH	CALL	DEFINED	1	0	0	0
MOHAWK INDS INC	COM	608190104	18213	227600	SH	CALL	DEFINED	2	0	0	0
MOLEX INC	COM	608554101	312	11865	SH		DEFINED	2	11865	0	0
MOLEX INC	COM	608554101	646	24600	SH		DEFINED	9	24600	0	0
MOLEX INC	COM	608554101	933	35500	SH	CALL	DEFINED	2	0	0	0
MOLEX INC	COM	608554101	213	8100	SH	CALL	DEFINED	1	0	0	0
MOLEX INC	CL A	608554200	260	11986	SH		DEFINED	3	11986	0	0
MOLINA HEALTHCARE INC	COM	60855R100	216	8590	SH		DEFINED	2	8590	0	0
MOLINA HEALTHCARE INC	COM	60855R100	976	38800	SH	PUT	DEFINED	2	0	0	0
MOLINA HEALTHCARE INC	COM	60855R100	755	30000	SH	CALL	DEFINED	2	0	0	0
MOLSON COORS BREWING CO	CL B	60871R209	6812	151215	SH		DEFINED	2	151215	0	0
MOLSON COORS BREWING CO	CL B	60871R209	249	5522	SH		DEFINED	3	5522	0	0
MOLSON COORS BREWING CO	CL B	60871R209	9303	206500	SH	PUT	DEFINED	2	0	0	0
MOLSON COORS BREWING CO	CL B	60871R209	423	9400	SH	CALL	DEFINED	1	0	0	0
MOLSON COORS BREWING CO	CL B	60871R209	5911	131200	SH	CALL	DEFINED	2	0	0	0
MOLYCORP INC DEL	COM	608753109	727	63206	SH		DEFINED	1	63206	0	0
MOLYCORP INC DEL	COM	608753109	15263	1327236	SH		DEFINED	2	1327236	0	0
MOLYCORP INC DEL	COM	608753109	261	22671	SH		DEFINED	3	22671	0	0
MOLYCORP INC DEL	COM	608753109	2030	176500	SH	PUT	DEFINED	1	0	0	0
MOLYCORP INC DEL	COM	608753109	12190	1060000	SH	PUT	DEFINED	2	0	0	0
MOLYCORP INC DEL	COM	608753109	3157	274500	SH	CALL	DEFINED	1	0	0	0
MOLYCORP INC DEL	COM	608753109	3159	274700	SH	CALL	DEFINED	2	0	0	0
MOLYCORP INC DEL	COM	608753109	127	11000	SH	CALL	DEFINED	4	0	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	680	46689	SH		DEFINED	2	46689	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	148	10171	SH		DEFINED	1	10171	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	232	15924	SH		DEFINED	3	15924	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	733	50300	SH	PUT	DEFINED	1	0	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	747	51300	SH	PUT	DEFINED	2	0	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	1136	78000	SH	CALL	DEFINED	2	0	0	0
MOMENTA PHARMACEUTICALS INC	COM	60877T100	1230	84400	SH	CALL	DEFINED	1	0	0	0
MONOLITHIC PWR SYS INC	COM	609839105	359	18200	SH	CALL	DEFINED	2	0	0	0
MONRO MUFFLER BRAKE INC	COM	610236101	229	6500	SH	CALL	DEFINED	2	0	0	0
MONSANTO CO NEW	COM	61166W101	16748	184002	SH		DEFINED	1	184002	0	0
MONSANTO CO NEW	COM	61166W101	6939	76238	SH		DEFINED	2	76238	0	0
MONSANTO CO NEW	COM	61166W101	400	4400	SH	PUT	DEFINED	3	0	0	0
MONSANTO CO NEW	COM	61166W101	17549	192800	SH	PUT	DEFINED	1	0	0	0
MONSANTO CO NEW	COM	61166W101	68356	751000	SH	PUT	DEFINED	2	0	0	0
MONSANTO CO NEW	COM	61166W101	60956	669700	SH	CALL	DEFINED	2	0	0	0
MONSANTO CO NEW	COM	61166W101	17949	197200	SH	CALL	DEFINED	1	0	0	0
MONSTER BEVERAGE CORP	COM	611740101	603	11136	SH		DEFINED	1	11136	0	0
MONSTER BEVERAGE CORP	COM	611740101	21814	402777	SH		DEFINED	2	402777	0	0
MONSTER BEVERAGE CORP	COM	611740101	233	4300	SH	PUT	DEFINED	3	0	0	0
MONSTER BEVERAGE CORP	COM	611740101	477	8800	SH	PUT	DEFINED	1	0	0	0
MONSTER BEVERAGE CORP	COM	611740101	36672	677100	SH	PUT	DEFINED	2	0	0	0
MONSTER BEVERAGE CORP	COM	611740101	31927	589500	SH	CALL	DEFINED	2	0	0	0
MONSTER BEVERAGE CORP	COM	611740101	883	16300	SH	CALL	DEFINED	3	0	0	0
MONSTER BEVERAGE CORP	COM	611740101	2724	50300	SH	CALL	DEFINED	1	0	0	0
MONSTER WORLDWIDE INC	COM	611742107	2532	345374	SH		DEFINED	2	345374	0	0
MONSTER WORLDWIDE INC	COM	611742107	140	19050	SH		DEFINED	1	19050	0	0
MONSTER WORLDWIDE INC	COM	611742107	757	103283	SH		DEFINED	3	103283	0	0
MONSTER WORLDWIDE INC	COM	611742107	125	17100	SH	PUT	DEFINED	1	0	0	0
MONSTER WORLDWIDE INC	COM	611742107	3013	411000	SH	PUT	DEFINED	2	0	0	0
MONSTER WORLDWIDE INC	COM	611742107	671	91600	SH	PUT	DEFINED	3	0	0	0
MONSTER WORLDWIDE INC	COM	611742107	573	78200	SH	CALL	DEFINED	1	0	0	0
MONSTER WORLDWIDE INC	COM	611742107	1311	178800	SH	CALL	DEFINED	2	0	0	0
MONSTER WORLDWIDE INC	COM	611742107	212	28900	SH	CALL	DEFINED	3	0	0	0
MOODYS CORP	COM	615369105	828	18748	SH		DEFINED	2	18748	0	0
MOODYS CORP	COM	615369105	648	14665	SH		DEFINED	3	14665	0	0
MOODYS CORP	COM	615369105	1864	42200	SH	PUT	DEFINED	1	0	0	0
MOODYS CORP	COM	615369105	12434	281500	SH	PUT	DEFINED	2	0	0	0
MOODYS CORP	COM	615369105	2217	50200	SH	CALL	DEFINED	1	0	0	0
MOODYS CORP	COM	615369105	30318	686400	SH	CALL	DEFINED	2	0	0	0
MOOG INC	CL A	615394202	268	7065	SH		DEFINED	3	7065	0	0
MORGAN STANLEY	COM NEW	617446448	580	34659	SH		DEFINED	1	34659	0	0
MORGAN STANLEY	COM NEW	617446448	51791	3093870	SH		DEFINED	2	3093870	0	0
MORGAN STANLEY	COM NEW	617446448	22895	1367706	SH		DEFINED	3	1367706	0	0
MORGAN STANLEY	COM NEW	617446448	6093	364000	SH	PUT	DEFINED	1	0	0	0
MORGAN STANLEY	COM NEW	617446448	146857	8772800	SH	PUT	DEFINED	2	0	0	0
MORGAN STANLEY	COM NEW	617446448	9564	571300	SH	PUT	DEFINED	3	0	0	0
MORGAN STANLEY	COM NEW	617446448	9528	569200	SH	CALL	DEFINED	1	0	0	0
MORGAN STANLEY	COM NEW	617446448	55773	3331700	SH	CALL	DEFINED	2	0	0	0
MORGAN STANLEY ASIA PAC FD I	COM	61744U106	293	20945	SH		DEFINED	"5,7"	20945	0	0
MORGAN STANLEY EASTN EUR FD	COM	616988101	1858	114810	SH		DEFINED	"5,7"	114810	0	0
MORGANS HOTEL GROUP CO	COM	61748W108	235	36649	SH		DEFINED	2	36649	0	0
MORGANS HOTEL GROUP CO	COM	61748W108	976	152000	SH	PUT	DEFINED	2	0	0	0
MORNINGSTAR INC	COM	617700109	639	10200	SH		DEFINED	"5,7"	10200	0	0
MORNINGSTAR INC	COM	617700109	997	15913	SH		DEFINED	2	15913	0	0
MORNINGSTAR INC	COM	617700109	639	10200	SH	PUT	DEFINED	2	0	0	0
MORNINGSTAR INC	COM	617700109	952	15200	SH	CALL	DEFINED	2	0	0	0
MOSAIC CO NEW	COM	61945C103	1799	31221	SH		DEFINED	1	31221	0	0
MOSAIC CO NEW	COM	61945C103	3960	68731	SH		DEFINED	3	68731	0	0
MOSAIC CO NEW	COM	61945C103	2462	42735	SH		DEFINED	2	42735	0	0
MOSAIC CO NEW	COM	61945C103	8526	148000	SH	PUT	DEFINED	1	0	0	0
MOSAIC CO NEW	COM	61945C103	59183	1027300	SH	PUT	DEFINED	2	0	0	0
MOSAIC CO NEW	COM	61945C103	70065	1216200	SH	CALL	DEFINED	2	0	0	0
MOSAIC CO NEW	COM	61945C103	749	13000	SH	CALL	DEFINED	3	0	0	0
MOSAIC CO NEW	COM	61945C103	11101	192700	SH	CALL	DEFINED	1	0	0	0
MOTORCAR PTS AMER INC	COM	620071100	52	10747	SH		DEFINED	3	10747	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	3716	73516	SH		DEFINED	2	73516	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	23662	468100	SH		DEFINED	9	468100	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	297	5878	SH		DEFINED	3	5878	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	5237	103600	SH	PUT	DEFINED	1	0	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	15347	303600	SH	PUT	DEFINED	2	0	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	11854	234500	SH	CALL	DEFINED	2	0	0	0
MOTOROLA SOLUTIONS INC	COM NEW	620076307	1987	39300	SH	CALL	DEFINED	1	0	0	0
MOTRICITY INC	COM	620107102	10	19499	SH		DEFINED	2	19499	0	0
MOTRICITY INC	COM	620107102	189	385965	SH		DEFINED	3	385965	0	0
MOTRICITY INC	COM	620107102	20	41600	SH	PUT	DEFINED	2	0	0	0
MOVADO GROUP INC	COM	624580106	580	17200	SH		DEFINED	9	17200	0	0
MOVADO GROUP INC	COM	624580106	890	26400	SH	PUT	DEFINED	2	0	0	0
MPG OFFICE TR INC	COM	553274101	276	82389	SH		DEFINED	3	82389	0	0
MPG OFFICE TR INC	COM	553274101	35	10398	SH		DEFINED	2	10398	0	0
MPG OFFICE TR INC	COM	553274101	75	22300	SH	CALL	DEFINED	2	0	0	0
MSC INDL DIRECT INC	CL A	553530106	1019	15100	SH	PUT	DEFINED	2	0	0	0
MSC INDL DIRECT INC	CL A	553530106	789	11700	SH	CALL	DEFINED	2	0	0	0
MSCI INC	COM	55354G100	490	13682	SH		DEFINED	2	13682	0	0
MUELLER INDS INC	COM	624756102	232	5100	SH	PUT	DEFINED	2	0	0	0
MUELLER WTR PRODS INC	COM SER A	624758108	50	10139	SH		DEFINED	2	10139	0	0
MULTI FINELINE ELECTRONIX IN	COM	62541B101	591	26200	SH	PUT	DEFINED	2	0	0	0
MULTI FINELINE ELECTRONIX IN	COM	62541B101	604	26800	SH	CALL	DEFINED	2	0	0	0
MULTIMEDIA GAMES HLDG CO INC	COM	625453105	160	10192	SH		DEFINED	2	10192	0	0
MURPHY OIL CORP	COM	626717102	401	7460	SH		DEFINED	3	7460	0	0
MURPHY OIL CORP	COM	626717102	5283	98396	SH		DEFINED	2	98396	0	0
MURPHY OIL CORP	COM	626717102	283	5278	SH		DEFINED	1	5278	0	0
MURPHY OIL CORP	COM	626717102	8526	158800	SH	PUT	DEFINED	2	0	0	0
MURPHY OIL CORP	COM	626717102	2378	44300	SH	PUT	DEFINED	1	0	0	0
MURPHY OIL CORP	COM	626717102	40327	751100	SH	CALL	DEFINED	2	0	0	0
MURPHY OIL CORP	COM	626717102	2883	53700	SH	CALL	DEFINED	1	0	0	0
MVC CAPITAL INC	COM	553829102	851	66471	SH		DEFINED	2	66471	0	0
MYERS INDS INC	COM	628464109	192	12303	SH		DEFINED	3	12303	0	0
MYLAN INC	COM	628530107	5007	205217	SH		DEFINED	2	205217	0	0
MYLAN INC	COM	628530107	213	8724	SH		DEFINED	3	8724	0	0
MYLAN INC	COM	628530107	1086	44500	SH	PUT	DEFINED	1	0	0	0
MYLAN INC	COM	628530107	7215	295700	SH	PUT	DEFINED	2	0	0	0
MYLAN INC	COM	628530107	9477	388400	SH	CALL	DEFINED	2	0	0	0
MYLAN INC	COM	628530107	1954	80100	SH	CALL	DEFINED	1	0	0	0
MYLAN INC	NOTE   3.750% 9/1	628530AJ6	18225	9520000	PRN		DEFINED	"5,7"	0	0	0
MYREXIS INC	COM	62856H107	51	21000	SH	PUT	DEFINED	2	0	0	0
MYRIAD GENETICS INC	COM	62855J104	361	13388	SH		DEFINED	3	13388	0	0
MYRIAD GENETICS INC	COM	62855J104	2165	80200	SH	PUT	DEFINED	2	0	0	0
MYRIAD GENETICS INC	COM	62855J104	1927	71400	SH	CALL	DEFINED	2	0	0	0
NABI BIOPHARMACEUTICALS	COM	629519109	109	61378	SH		DEFINED	3	61378	0	0
NABORS INDUSTRIES LTD	SHS	G6359F103	796	56740	SH		DEFINED	2	56740	0	0
NABORS INDUSTRIES LTD	SHS	G6359F103	277	19715	SH		DEFINED	1	19715	0	0
NABORS INDUSTRIES LTD	SHS	G6359F103	161	11500	SH	PUT	DEFINED	1	0	0	0
NABORS INDUSTRIES LTD	SHS	G6359F103	4916	350400	SH	PUT	DEFINED	2	0	0	0
NABORS INDUSTRIES LTD	SHS	G6359F103	307	21900	SH	CALL	DEFINED	1	0	0	0
NABORS INDUSTRIES LTD	SHS	G6359F103	5177	369000	SH	CALL	DEFINED	2	0	0	0
NAM TAI ELECTRS INC	COM PAR $0.02	629865205	485	45198	SH		DEFINED	2	45198	0	0
NAM TAI ELECTRS INC	COM PAR $0.02	629865205	233	21700	SH	PUT	DEFINED	2	0	0	0
NAM TAI ELECTRS INC	COM PAR $0.02	629865205	292	27200	SH	CALL	DEFINED	2	0	0	0
NANOMETRICS INC	COM	630077105	242	17515	SH		DEFINED	3	17515	0	0
NANOMETRICS INC	COM	630077105	329	23800	SH	PUT	DEFINED	2	0	0	0
NANOMETRICS INC	COM	630077105	178	12900	SH	CALL	DEFINED	2	0	0	0
NANOSPHERE INC	COM	63009F105	35	10442	SH		DEFINED	2	10442	0	0
NASDAQ OMX GROUP INC	COM	631103108	877	37662	SH		DEFINED	3	37662	0	0
NASDAQ OMX GROUP INC	COM	631103108	1158	49712	SH		DEFINED	2	49712	0	0
NASDAQ OMX GROUP INC	COM	631103108	2490	106900	SH	PUT	DEFINED	2	0	0	0
NASDAQ OMX GROUP INC	COM	631103108	2452	105300	SH	CALL	DEFINED	2	0	0	0
NASDAQ OMX GROUP INC	COM	631103108	675	29000	SH	CALL	DEFINED	1	0	0	0
NASDAQ PREM INCM & GRW FD IN	COM	63110R105	205	12747	SH		DEFINED	3	12747	0	0
NASH FINCH CO	COM	631158102	353	17300	SH	PUT	DEFINED	2	0	0	0
NATIONAL BEVERAGE CORP	COM	635017106	1213	80000	SH		DEFINED	"5,7"	80000	0	0
NATIONAL BK GREECE S A	SPN ADR REP 1 SH	633643606	167	69700	SH	PUT	DEFINED	2	0	0	0
NATIONAL BK GREECE S A	SPN ADR REP 1 SH	633643606	324	134900	SH	CALL	DEFINED	2	0	0	0
NATIONAL FINL PARTNERS CORP	COM	63607P208	385	22800	SH	CALL	DEFINED	2	0	0	0
NATIONAL FUEL GAS CO N J	COM	636180101	254	4707	SH		DEFINED	2	4707	0	0
NATIONAL FUEL GAS CO N J	COM	636180101	6874	127200	SH	PUT	DEFINED	2	0	0	0
NATIONAL FUEL GAS CO N J	COM	636180101	8722	161400	SH	CALL	DEFINED	2	0	0	0
NATIONAL FUEL GAS CO N J	COM	636180101	486	9000	SH	CALL	DEFINED	1	0	0	0
NATIONAL GRID PLC	SPON ADR NEW	636274300	255	4600	SH	PUT	DEFINED	1	0	0	0
NATIONAL GRID PLC	SPON ADR NEW	636274300	382	6900	SH	PUT	DEFINED	2	0	0	0
NATIONAL GRID PLC	SPON ADR NEW	636274300	9555	172600	SH	CALL	DEFINED	2	0	0	0
NATIONAL GRID PLC	SPON ADR NEW	636274300	293	5300	SH	CALL	DEFINED	1	0	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	2362	29481	SH		DEFINED	1	29481	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	12641	157790	SH		DEFINED	2	157790	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	309	3857	SH		DEFINED	3	3857	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	7779	97100	SH	PUT	DEFINED	1	0	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	242068	3021700	SH	PUT	DEFINED	2	0	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	1762	22000	SH	CALL	DEFINED	3	0	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	328091	4095500	SH	CALL	DEFINED	2	0	0	0
NATIONAL OILWELL VARCO INC	COM	637071101	12177	152000	SH	CALL	DEFINED	1	0	0	0
NATIONAL PENN BANCSHARES INC	COM	637138108	739	81100	SH		DEFINED	9	81100	0	0
NATIONAL RETAIL PPTYS INC	COM	637417106	320	10500	SH	PUT	DEFINED	2	0	0	0
NATIONAL RETAIL PPTYS INC	COM	637417106	451	14800	SH	CALL	DEFINED	2	0	0	0
NATIONSTAR MTG HLDGS INC	COM	63861C109	2506	75519	SH		DEFINED	2	75519	0	0
NATIONSTAR MTG HLDGS INC	COM	63861C109	18508	557800	SH	PUT	DEFINED	2	0	0	0
NATIONSTAR MTG HLDGS INC	COM	63861C109	11633	350600	SH	CALL	DEFINED	2	0	0	0
NATURAL RESOURCE PARTNERS L	COM UNIT L P	63900P103	235	11317	SH		DEFINED	3	11317	0	0
NATURAL RESOURCE PARTNERS L	COM UNIT L P	63900P103	216	10400	SH	CALL	DEFINED	2	0	0	0
NATUS MEDICAL INC DEL	COM	639050103	289	22100	SH	PUT	DEFINED	2	0	0	0
NAVIDEA BIOPHARMACEUTICALS I	COM	63937X103	36	13053	SH		DEFINED	3	13053	0	0
NAVIDEA BIOPHARMACEUTICALS I	COM	63937X103	594	215961	SH		DEFINED	2	215961	0	0
NAVIDEA BIOPHARMACEUTICALS I	COM	63937X103	855	311000	SH	PUT	DEFINED	2	0	0	0
NAVIDEA BIOPHARMACEUTICALS I	COM	63937X103	51	18400	SH	PUT	DEFINED	1	0	0	0
NAVIDEA BIOPHARMACEUTICALS I	COM	63937X103	910	330900	SH	CALL	DEFINED	2	0	0	0
NAVIDEA BIOPHARMACEUTICALS I	COM	63937X103	32	11500	SH	CALL	DEFINED	3	0	0	0
NAVIGANT CONSULTING INC	COM	63935N107	202	18300	SH		DEFINED	9	18300	0	0
NAVIGATORS GROUP INC	COM	638904102	281	5700	SH		DEFINED	9	5700	0	0
NAVIOS MARITIME HOLDINGS INC	COM	Y62196103	367	102024	SH		DEFINED	2	102024	0	0
NAVIOS MARITIME PARTNERS L P	UNIT LPI	Y62267102	237	15970	SH		DEFINED	2	15970	0	0
NAVIOS MARITIME PARTNERS L P	UNIT LPI	Y62267102	339	22900	SH	PUT	DEFINED	2	0	0	0
NAVIOS MARITIME PARTNERS L P	UNIT LPI	Y62267102	2004	135200	SH	CALL	DEFINED	2	0	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	638	30234	SH		DEFINED	2	30234	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	285	13500	SH	PUT	DEFINED	3	0	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	3071	145600	SH	PUT	DEFINED	1	0	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	14833	703300	SH	PUT	DEFINED	2	0	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	15720	745400	SH	CALL	DEFINED	2	0	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	690	32700	SH	CALL	DEFINED	3	0	0	0
NAVISTAR INTL CORP NEW	COM	63934E108	498	23600	SH	CALL	DEFINED	1	0	0	0
NCR CORP NEW	COM	62886E108	1092	46844	SH		DEFINED	2	46844	0	0
NCR CORP NEW	COM	62886E108	2077	89100	SH	PUT	DEFINED	2	0	0	0
NCR CORP NEW	COM	62886E108	2720	116700	SH	CALL	DEFINED	2	0	0	0
NCR CORP NEW	COM	62886E108	261	11200	SH	CALL	DEFINED	1	0	0	0
NEENAH PAPER INC	COM	640079109	404	14100	SH	PUT	DEFINED	2	0	0	0
NEENAH PAPER INC	COM	640079109	258	9000	SH	CALL	DEFINED	2	0	0	0
NEKTAR THERAPEUTICS	COM	640268108	352	32937	SH		DEFINED	3	32937	0	0
NEKTAR THERAPEUTICS	COM	640268108	1195	111900	SH	PUT	DEFINED	2	0	0	0
NEKTAR THERAPEUTICS	COM	640268108	611	57200	SH	CALL	DEFINED	2	0	0	0
NEONODE INC	COM NEW	64051M402	114	30200	SH	PUT	DEFINED	2	0	0	0
NEONODE INC	COM NEW	64051M402	749	198700	SH	CALL	DEFINED	2	0	0	0
NEOSTEM INC	COM NEW	640650305	27	39102	SH		DEFINED	3	39102	0	0
NET 1 UEPS TECHNOLOGIES INC	COM NEW	64107N206	744	82209	SH		DEFINED	2	82209	0	0
NET 1 UEPS TECHNOLOGIES INC	COM NEW	64107N206	180	19900	SH	PUT	DEFINED	2	0	0	0
NET 1 UEPS TECHNOLOGIES INC	COM NEW	64107N206	92	10200	SH	CALL	DEFINED	2	0	0	0
NETAPP INC	COM	64110D104	1225	37242	SH		DEFINED	3	37242	0	0
NETAPP INC	COM	64110D104	6619	201312	SH		DEFINED	1	201312	0	0
NETAPP INC	COM	64110D104	10911	331839	SH		DEFINED	2	331839	0	0
NETAPP INC	COM	64110D104	16253	494300	SH	PUT	DEFINED	1	0	0	0
NETAPP INC	COM	64110D104	31598	961000	SH	PUT	DEFINED	2	0	0	0
NETAPP INC	COM	64110D104	64915	1974300	SH	CALL	DEFINED	2	0	0	0
NETAPP INC	COM	64110D104	15141	460500	SH	CALL	DEFINED	1	0	0	0
NETAPP INC	NOTE   1.750% 6/0	64110DAB0	83326	73173000	PRN		DEFINED	"5,7"	0	0	0
NETEASE INC	SPONSORED ADR	64110W102	254	4524	SH		DEFINED	3	4524	0	0
NETEASE INC	SPONSORED ADR	64110W102	9700	172791	SH		DEFINED	2	172791	0	0
NETEASE INC	SPONSORED ADR	64110W102	18863	336000	SH	PUT	DEFINED	2	0	0	0
NETEASE INC	SPONSORED ADR	64110W102	2111	37600	SH	PUT	DEFINED	1	0	0	0
NETEASE INC	SPONSORED ADR	64110W102	3913	69700	SH	CALL	DEFINED	1	0	0	0
NETEASE INC	SPONSORED ADR	64110W102	7018	125000	SH	CALL	DEFINED	2	0	0	0
NETFLIX INC	COM	64110L106	4736	86997	SH		DEFINED	1	86997	0	0
NETFLIX INC	COM	64110L106	5519	101382	SH		DEFINED	2	101382	0	0
NETFLIX INC	COM	64110L106	2325	42700	SH	PUT	DEFINED	3	0	0	0
NETFLIX INC	COM	64110L106	91073	1672900	SH	PUT	DEFINED	2	0	0	0
NETFLIX INC	COM	64110L106	24356	447400	SH	PUT	DEFINED	1	0	0	0
NETFLIX INC	COM	64110L106	6789	124700	SH	CALL	DEFINED	3	0	0	0
NETFLIX INC	COM	64110L106	115494	2121500	SH	CALL	DEFINED	2	0	0	0
NETFLIX INC	COM	64110L106	21999	404100	SH	CALL	DEFINED	1	0	0	0
NETGEAR INC	COM	64111Q104	725	19000	SH		DEFINED	9	19000	0	0
NETGEAR INC	COM	64111Q104	717	18800	SH	PUT	DEFINED	2	0	0	0
NETGEAR INC	COM	64111Q104	2376	62300	SH	CALL	DEFINED	2	0	0	0
NETLIST INC	COM	64118P109	114	88652	SH		DEFINED	2	88652	0	0
NETSPEND HLDGS INC	COM	64118V106	244	24800	SH	PUT	DEFINED	2	0	0	0
NETSPEND HLDGS INC	COM	64118V106	117	11900	SH	CALL	DEFINED	2	0	0	0
NETSUITE INC	COM	64118Q107	934	14639	SH		DEFINED	3	14639	0	0
NETSUITE INC	COM	64118Q107	466	7300	SH	PUT	DEFINED	2	0	0	0
NETSUITE INC	COM	64118Q107	4007	62800	SH	CALL	DEFINED	2	0	0	0
NETSUITE INC	COM	64118Q107	211	3300	SH	CALL	DEFINED	1	0	0	0
NEUROCRINE BIOSCIENCES INC	COM	64125C109	313	39268	SH		DEFINED	3	39268	0	0
NEUROCRINE BIOSCIENCES INC	COM	64125C109	118	14820	SH		DEFINED	2	14820	0	0
NEUROCRINE BIOSCIENCES INC	COM	64125C109	323	40500	SH	PUT	DEFINED	2	0	0	0
NEUROCRINE BIOSCIENCES INC	COM	64125C109	1000	125300	SH	CALL	DEFINED	2	0	0	0
NEUSTAR INC	CL A	64126X201	1805	45100	SH	PUT	DEFINED	3	0	0	0
NEUSTAR INC	CL A	64126X201	2694	67300	SH	PUT	DEFINED	2	0	0	0
NEUSTAR INC	CL A	64126X201	993	24800	SH	CALL	DEFINED	2	0	0	0
NEUTRAL TANDEM INC	COM	64128B108	1357	144700	SH		DEFINED	"5,7"	144700	0	0
NEUTRAL TANDEM INC	COM	64128B108	187	19978	SH		DEFINED	3	19978	0	0
NEUTRAL TANDEM INC	COM	64128B108	368	39201	SH		DEFINED	2	39201	0	0
NEUTRAL TANDEM INC	COM	64128B108	429	45700	SH	PUT	DEFINED	2	0	0	0
NEUTRAL TANDEM INC	COM	64128B108	1072	114300	SH	CALL	DEFINED	2	0	0	0
NEVSUN RES LTD	COM	64156L101	288	61300	SH		DEFINED	2	61300	0	0
NEVSUN RES LTD	COM	64156L101	53	11300	SH	PUT	DEFINED	2	0	0	0
NEVSUN RES LTD	COM	64156L101	408	86900	SH	CALL	DEFINED	2	0	0	0
NEW GERMANY FD INC	COM	644465106	1736	119634	SH		DEFINED	"5,7"	119634	0	0
NEW GOLD INC CDA	COM	644535106	2664	217965	SH		DEFINED	2	217965	0	0
NEW GOLD INC CDA	COM	644535106	4700	384600	SH	PUT	DEFINED	2	0	0	0
NEW GOLD INC CDA	COM	644535106	4463	365200	SH	CALL	DEFINED	2	0	0	0
NEW GOLD INC CDA	COM	644535106	194	15900	SH	CALL	DEFINED	1	0	0	0
NEW JERSEY RES	COM	646025106	893	19538	SH		DEFINED	2	19538	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	966	57952	SH		DEFINED	1	57952	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	14463	867590	SH		DEFINED	2	867590	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	310	18621	SH		DEFINED	3	18621	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	28047	1682500	SH	PUT	DEFINED	2	0	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	970	58200	SH	PUT	DEFINED	3	0	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	6058	363400	SH	PUT	DEFINED	1	0	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	1077	64600	SH	CALL	DEFINED	1	0	0	0
NEW ORIENTAL ED & TECH GRP I	SPON ADR	647581107	14928	895500	SH	CALL	DEFINED	2	0	0	0
NEW YORK CMNTY BANCORP INC	COM	649445103	990	69905	SH		DEFINED	2	69905	0	0
NEW YORK CMNTY BANCORP INC	COM	649445103	3481	245800	SH	PUT	DEFINED	2	0	0	0
NEW YORK CMNTY BANCORP INC	COM	649445103	4299	303600	SH	CALL	DEFINED	2	0	0	0
NEW YORK MTG TR INC	COM PAR $.02	649604501	315	44629	SH		DEFINED	2	44629	0	0
NEW YORK MTG TR INC	COM PAR $.02	649604501	360	51000	SH	PUT	DEFINED	2	0	0	0
NEW YORK TIMES CO	CL A	650111107	621	63663	SH		DEFINED	2	63663	0	0
NEW YORK TIMES CO	CL A	650111107	613	62800	SH	PUT	DEFINED	2	0	0	0
NEW YORK TIMES CO	CL A	650111107	129	13200	SH	CALL	DEFINED	2	0	0	0
NEWCASTLE INVT CORP	COM	65105M108	990	131412	SH		DEFINED	2	131412	0	0
NEWCASTLE INVT CORP	COM	65105M108	1729	229577	SH		DEFINED	3	229577	0	0
NEWCASTLE INVT CORP	COM	65105M108	200	26500	SH	PUT	DEFINED	1	0	0	0
NEWCASTLE INVT CORP	COM	65105M108	2756	366000	SH	PUT	DEFINED	2	0	0	0
NEWCASTLE INVT CORP	COM	65105M108	386	51200	SH	CALL	DEFINED	2	0	0	0
NEWCASTLE INVT CORP	COM	65105M108	103	13700	SH	CALL	DEFINED	1	0	0	0
NEWELL RUBBERMAID INC	COM	651229106	339	17755	SH		DEFINED	2	17755	0	0
NEWELL RUBBERMAID INC	COM	651229106	4765	249600	SH	CALL	DEFINED	2	0	0	0
NEWFIELD EXPL CO	COM	651290108	9995	319133	SH		DEFINED	2	319133	0	0
NEWFIELD EXPL CO	COM	651290108	248	7927	SH		DEFINED	3	7927	0	0
NEWFIELD EXPL CO	COM	651290108	14382	459200	SH	PUT	DEFINED	2	0	0	0
NEWFIELD EXPL CO	COM	651290108	363	11600	SH	PUT	DEFINED	1	0	0	0
NEWFIELD EXPL CO	COM	651290108	8137	259800	SH	CALL	DEFINED	2	0	0	0
NEWMARKET CORP	COM	651587107	285	1158	SH		DEFINED	3	1158	0	0
NEWMARKET CORP	COM	651587107	8504	34500	SH	PUT	DEFINED	2	0	0	0
NEWMARKET CORP	COM	651587107	296	1200	SH	PUT	DEFINED	1	0	0	0
NEWMARKET CORP	COM	651587107	18585	75400	SH	CALL	DEFINED	2	0	0	0
NEWMARKET CORP	COM	651587107	271	1100	SH	CALL	DEFINED	1	0	0	0
NEWMONT MINING CORP	COM	651639106	1660	29645	SH		DEFINED	3	29645	0	0
NEWMONT MINING CORP	COM	651639106	190199	3395804	SH		DEFINED	2	3395804	0	0
NEWMONT MINING CORP	COM	651639106	1174	20954	SH		DEFINED	1	20954	0	0
NEWMONT MINING CORP	COM	651639106	465	8300	SH	PUT	DEFINED	3	0	0	0
NEWMONT MINING CORP	COM	651639106	9348	166900	SH	PUT	DEFINED	1	0	0	0
NEWMONT MINING CORP	COM	651639106	208312	3719200	SH	PUT	DEFINED	2	0	0	0
NEWMONT MINING CORP	COM	651639106	19648	350800	SH	CALL	DEFINED	1	0	0	0
NEWMONT MINING CORP	COM	651639106	154548	2759300	SH	CALL	DEFINED	2	0	0	0
NEWPARK RES INC	COM PAR $.01NEW	651718504	92	12476	SH		DEFINED	3	12476	0	0
NEWPARK RES INC	COM PAR $.01NEW	651718504	178	24000	SH	CALL	DEFINED	2	0	0	0
NEWPORT CORP	COM	651824104	171	15500	SH	PUT	DEFINED	2	0	0	0
NEWPORT CORP	COM	651824104	197	17800	SH	CALL	DEFINED	2	0	0	0
NEWS CORP	CL A	65248E104	33789	1377445	SH		DEFINED	2	1377445	0	0
NEWS CORP	CL A	65248E104	16861	687374	SH		DEFINED	3	687374	0	0
NEWS CORP	CL A	65248E104	23640	963700	SH	PUT	DEFINED	2	0	0	0
NEWS CORP	CL A	65248E104	9130	372200	SH	CALL	DEFINED	2	0	0	0
NEWS CORP	CL A	65248E104	287	11700	SH	CALL	DEFINED	1	0	0	0
NEWS CORP	CL A	65248E104	3341	136200	SH	CALL	DEFINED	3	0	0	0
NEWS CORP	CL B	65248E203	2939	118508	SH		DEFINED	2	118508	0	0
NEWS CORP	CL B	65248E203	4447	179300	SH	PUT	DEFINED	2	0	0	0
NEWS CORP	CL B	65248E203	682	27500	SH	CALL	DEFINED	2	0	0	0
NEXEN INC	COM	65334H102	446	17588	SH		DEFINED	1	17588	0	0
NEXEN INC	COM	65334H102	8565	337989	SH		DEFINED	2	337989	0	0
NEXEN INC	COM	65334H102	10590	417900	SH	PUT	DEFINED	2	0	0	0
NEXEN INC	COM	65334H102	340	13400	SH	PUT	DEFINED	3	0	0	0
NEXEN INC	COM	65334H102	1510	59600	SH	PUT	DEFINED	1	0	0	0
NEXEN INC	COM	65334H102	4929	194500	SH	CALL	DEFINED	2	0	0	0
NEXEN INC	COM	65334H102	256	10100	SH	CALL	DEFINED	1	0	0	0
NEXPOINT CR STRATEGIES FD	COM	65340G106	107	15492	SH		DEFINED	3	15492	0	0
NEXTERA ENERGY INC	COM	65339F101	3430	48768	SH		DEFINED	2	48768	0	0
NEXTERA ENERGY INC	COM	65339F101	10557	150100	SH	PUT	DEFINED	2	0	0	0
NEXTERA ENERGY INC	COM	65339F101	20979	298300	SH	CALL	DEFINED	2	0	0	0
NEXTERA ENERGY INC	COM	65339F101	2054	29200	SH	CALL	DEFINED	1	0	0	0
NICE SYS LTD	SPONSORED ADR	653656108	478	14400	SH	CALL	DEFINED	2	0	0	0
NIELSEN HOLDINGS N V	COM	N63218106	291	9700	SH	CALL	DEFINED	2	0	0	0
NII HLDGS INC	CL B NEW	62913F201	126	16056	SH		DEFINED	1	16056	0	0
NII HLDGS INC	CL B NEW	62913F201	1491	189942	SH		DEFINED	3	189942	0	0
NII HLDGS INC	CL B NEW	62913F201	2613	332858	SH		DEFINED	2	332858	0	0
NII HLDGS INC	CL B NEW	62913F201	4138	527100	SH	PUT	DEFINED	2	0	0	0
NII HLDGS INC	CL B NEW	62913F201	152	19300	SH	PUT	DEFINED	1	0	0	0
NII HLDGS INC	CL B NEW	62913F201	4946	630000	SH	PUT	DEFINED	3	0	0	0
NII HLDGS INC	CL B NEW	62913F201	3533	450000	SH	CALL	DEFINED	3	0	0	0
NII HLDGS INC	CL B NEW	62913F201	133	16900	SH	CALL	DEFINED	1	0	0	0
NII HLDGS INC	CL B NEW	62913F201	1842	234700	SH	CALL	DEFINED	2	0	0	0
NIKE INC	CL B	654106103	72213	760856	SH		DEFINED	2	760856	0	0
NIKE INC	CL B	654106103	650	6848	SH		DEFINED	3	6848	0	0
NIKE INC	CL B	654106103	8020	84496	SH		DEFINED	1	84496	0	0
NIKE INC	CL B	654106103	219603	2313800	SH	PUT	DEFINED	2	0	0	0
NIKE INC	CL B	654106103	56130	591400	SH	PUT	DEFINED	1	0	0	0
NIKE INC	CL B	654106103	49790	524600	SH	CALL	DEFINED	2	0	0	0
NIKE INC	CL B	654106103	30162	317800	SH	CALL	DEFINED	1	0	0	0
NIPPON TELEG & TEL CORP	SPONSORED ADR	654624105	287	12100	SH		DEFINED	9	12100	0	0
NISKA GAS STORAGE PARTNERS L	UNIT LTD LIABI	654678101	473	37696	SH		DEFINED	2	37696	0	0
NISKA GAS STORAGE PARTNERS L	UNIT LTD LIABI	654678101	523	41709	SH		DEFINED	3	41709	0	0
NISKA GAS STORAGE PARTNERS L	UNIT LTD LIABI	654678101	508	40500	SH	PUT	DEFINED	2	0	0	0
NISOURCE INC	COM	65473P105	10138	397882	SH		DEFINED	9	397882	0	0
NISOURCE INC	COM	65473P105	1952	76623	SH		DEFINED	2	76623	0	0
NISOURCE INC	COM	65473P105	390	15300	SH	PUT	DEFINED	1	0	0	0
NOAH ED HLDGS LTD	ADR	65487R303	43	33466	SH		DEFINED	2	33466	0	0
NOBLE CORPORATION BAAR	NAMEN -AKT	H5833N103	448	12534	SH		DEFINED	1	12534	0	0
NOBLE CORPORATION BAAR	NAMEN -AKT	H5833N103	7182	200735	SH		DEFINED	2	200735	0	0
NOBLE CORPORATION BAAR	NAMEN -AKT	H5833N103	1878	52500	SH	PUT	DEFINED	1	0	0	0
NOBLE CORPORATION BAAR	NAMEN -AKT	H5833N103	12595	352000	SH	PUT	DEFINED	2	0	0	0
NOBLE CORPORATION BAAR	NAMEN -AKT	H5833N103	8669	242300	SH	CALL	DEFINED	2	0	0	0
NOBLE CORPORATION BAAR	NAMEN -AKT	H5833N103	3056	85400	SH	CALL	DEFINED	1	0	0	0
NOBLE ENERGY INC	COM	655044105	1220	13159	SH		DEFINED	2	13159	0	0
NOBLE ENERGY INC	COM	655044105	20850	224900	SH	PUT	DEFINED	2	0	0	0
NOBLE ENERGY INC	COM	655044105	4459	48100	SH	PUT	DEFINED	1	0	0	0
NOBLE ENERGY INC	COM	655044105	29612	319400	SH	CALL	DEFINED	2	0	0	0
NOBLE ENERGY INC	COM	655044105	7120	76800	SH	CALL	DEFINED	1	0	0	0
NOKIA CORP	SPONSORED ADR	654902204	20744	8071726	SH		DEFINED	2	8071726	0	0
NOKIA CORP	SPONSORED ADR	654902204	29	11463	SH		DEFINED	3	11463	0	0
NOKIA CORP	SPONSORED ADR	654902204	603	234577	SH		DEFINED	1	234577	0	0
NOKIA CORP	SPONSORED ADR	654902204	742	288000	SH	PUT	DEFINED	1	0	0	0
NOKIA CORP	SPONSORED ADR	654902204	28442	11045300	SH	PUT	DEFINED	2	0	0	0
NOKIA CORP	SPONSORED ADR	654902204	26	10000	SH	PUT	DEFINED	3	0	0	0
NOKIA CORP	SPONSORED ADR	654902204	353	137100	SH	CALL	DEFINED	1	0	0	0
NOKIA CORP	SPONSORED ADR	654902204	9824	3815200	SH	CALL	DEFINED	2	0	0	0
NOMURA HLDGS INC	SPONSORED ADR	65535H208	56	15740	SH		DEFINED	2	15740	0	0
NORANDA ALUM HLDG CORP	COM	65542W107	82	12321	SH		DEFINED	3	12321	0	0
NORANDA ALUM HLDG CORP	COM	65542W107	178	26600	SH	PUT	DEFINED	2	0	0	0
NORANDA ALUM HLDG CORP	COM	65542W107	411	61500	SH	CALL	DEFINED	2	0	0	0
NORDIC AMERICAN TANKERS LIMI	COM	G65773106	11813	1171972	SH		DEFINED	2	1171972	0	0
NORDIC AMERICAN TANKERS LIMI	COM	G65773106	334	33134	SH		DEFINED	3	33134	0	0
NORDIC AMERICAN TANKERS LIMI	COM	G65773106	3247	322100	SH	PUT	DEFINED	2	0	0	0
NORDIC AMERICAN TANKERS LIMI	COM	G65773106	1242	123200	SH	CALL	DEFINED	2	0	0	0
NORDION INC	COM	65563C105	397	58800	SH	CALL	DEFINED	2	0	0	0
NORDSON CORP	COM	655663102	820	14000	SH		DEFINED	9	14000	0	0
NORDSON CORP	COM	655663102	428	7300	SH	PUT	DEFINED	2	0	0	0
NORDSON CORP	COM	655663102	1805	30800	SH	CALL	DEFINED	2	0	0	0
NORDSTROM INC	COM	655664100	515	9339	SH		DEFINED	1	9339	0	0
NORDSTROM INC	COM	655664100	3950	71576	SH		DEFINED	2	71576	0	0
NORDSTROM INC	COM	655664100	5230	94789	SH		DEFINED	3	94789	0	0
NORDSTROM INC	COM	655664100	6920	125400	SH	PUT	DEFINED	2	0	0	0
NORDSTROM INC	COM	655664100	1876	34000	SH	PUT	DEFINED	1	0	0	0
NORDSTROM INC	COM	655664100	5661	102600	SH	CALL	DEFINED	2	0	0	0
NORDSTROM INC	COM	655664100	756	13700	SH	CALL	DEFINED	1	0	0	0
NORFOLK SOUTHERN CORP	COM	655844108	2457	38610	SH		DEFINED	2	38610	0	0
NORFOLK SOUTHERN CORP	COM	655844108	2309	36282	SH		DEFINED	3	36282	0	0
NORFOLK SOUTHERN CORP	COM	655844108	799	12562	SH		DEFINED	1	12562	0	0
NORFOLK SOUTHERN CORP	COM	655844108	3468	54500	SH	PUT	DEFINED	3	0	0	0
NORFOLK SOUTHERN CORP	COM	655844108	35620	559800	SH	PUT	DEFINED	2	0	0	0
NORFOLK SOUTHERN CORP	COM	655844108	7871	123700	SH	PUT	DEFINED	1	0	0	0
NORFOLK SOUTHERN CORP	COM	655844108	32712	514100	SH	CALL	DEFINED	2	0	0	0
NORFOLK SOUTHERN CORP	COM	655844108	5027	79000	SH	CALL	DEFINED	1	0	0	0
NORTH AMERN ENERGY PARTNERS	COM	656844107	73	25216	SH		DEFINED	2	25216	0	0
NORTH AMERN PALLADIUM LTD	COM	656912102	374	196716	SH		DEFINED	2	196716	0	0
NORTH AMERN PALLADIUM LTD	COM	656912102	378	198800	SH	PUT	DEFINED	2	0	0	0
NORTH AMERN PALLADIUM LTD	COM	656912102	204	107200	SH	CALL	DEFINED	2	0	0	0
NORTHEAST CMNTY BANCORP INC	COM	664112109	95	17104	SH		DEFINED	3	17104	0	0
NORTHEAST UTILS	COM	664397106	1344	35162	SH		DEFINED	2	35162	0	0
NORTHEAST UTILS	COM	664397106	872	22816	SH		DEFINED	3	22816	0	0
NORTHEAST UTILS	COM	664397106	757	19800	SH	PUT	DEFINED	2	0	0	0
NORTHEAST UTILS	COM	664397106	581	15200	SH	CALL	DEFINED	2	0	0	0
NORTHERN DYNASTY MINERALS LT	COM NEW	66510M204	669	146041	SH		DEFINED	2	146041	0	0
NORTHERN DYNASTY MINERALS LT	COM NEW	66510M204	512	111800	SH	PUT	DEFINED	2	0	0	0
NORTHERN DYNASTY MINERALS LT	COM NEW	66510M204	287	62700	SH	CALL	DEFINED	2	0	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	10263	604045	SH		DEFINED	2	604045	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	262	15411	SH		DEFINED	3	15411	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	765	45018	SH		DEFINED	1	45018	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	14353	844800	SH	PUT	DEFINED	2	0	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	2029	119400	SH	PUT	DEFINED	1	0	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	2849	167700	SH	CALL	DEFINED	2	0	0	0
NORTHERN OIL & GAS INC NEV	COM	665531109	1687	99300	SH	CALL	DEFINED	1	0	0	0
NORTHERN TIER ENERGY LP	COM UN REPR PART	665826103	1462	69200	SH	PUT	DEFINED	2	0	0	0
NORTHERN TIER ENERGY LP	COM UN REPR PART	665826103	317	15000	SH	CALL	DEFINED	2	0	0	0
NORTHERN TR CORP	COM	665859104	1682	36228	SH		DEFINED	3	36228	0	0
NORTHERN TR CORP	COM	665859104	943	20313	SH		DEFINED	2	20313	0	0
NORTHERN TR CORP	COM	665859104	3425	73800	SH	PUT	DEFINED	2	0	0	0
NORTHERN TR CORP	COM	665859104	11181	240900	SH	CALL	DEFINED	2	0	0	0
NORTHROP GRUMMAN CORP	COM	666807102	4610	69400	SH		DEFINED	9	69400	0	0
NORTHROP GRUMMAN CORP	COM	666807102	2719	40931	SH		DEFINED	2	40931	0	0
NORTHROP GRUMMAN CORP	COM	666807102	8576	129100	SH	PUT	DEFINED	2	0	0	0
NORTHROP GRUMMAN CORP	COM	666807102	7779	117100	SH	CALL	DEFINED	2	0	0	0
NORTHSTAR RLTY FIN CORP	COM	66704R100	67	10510	SH		DEFINED	3	10510	0	0
NORTHSTAR RLTY FIN CORP	COM	66704R100	504	79200	SH	PUT	DEFINED	2	0	0	0
NORTHSTAR RLTY FIN CORP	COM	66704R100	107	16900	SH	CALL	DEFINED	2	0	0	0
NOVA MEASURING INSTRUMENTS L	COM	M7516K103	78	10000	SH	PUT	DEFINED	2	0	0	0
NOVACOPPER INC	COM	66988K102	64	29774	SH		DEFINED	2	29774	0	0
NOVAGOLD RES INC	COM NEW	66987E206	629	112387	SH		DEFINED	2	112387	0	0
NOVAGOLD RES INC	COM NEW	66987E206	450	80305	SH		DEFINED	3	80305	0	0
NOVAGOLD RES INC	COM NEW	66987E206	1462	261000	SH	PUT	DEFINED	2	0	0	0
NOVAGOLD RES INC	COM NEW	66987E206	2827	504800	SH	CALL	DEFINED	2	0	0	0
NOVARTIS A G	SPONSORED ADR	66987V109	204	3335	SH		DEFINED	3	3335	0	0
NOVARTIS A G	SPONSORED ADR	66987V109	13361	218100	SH	PUT	DEFINED	2	0	0	0
NOVARTIS A G	SPONSORED ADR	66987V109	3786	61800	SH	PUT	DEFINED	1	0	0	0
NOVARTIS A G	SPONSORED ADR	66987V109	47899	781900	SH	CALL	DEFINED	2	0	0	0
NOVARTIS A G	SPONSORED ADR	66987V109	8754	142900	SH	CALL	DEFINED	1	0	0	0
NOVATEL WIRELESS INC	COM NEW	66987M604	311	156833	SH		DEFINED	3	156833	0	0
NOVAVAX INC	COM	670002104	48	22447	SH		DEFINED	2	22447	0	0
NOVAVAX INC	COM	670002104	86	39900	SH	CALL	DEFINED	2	0	0	0
NOVO-NORDISK A S	ADR	670100205	882	5586	SH		DEFINED	2	5586	0	0
NOVO-NORDISK A S	ADR	670100205	3361	21300	SH	PUT	DEFINED	2	0	0	0
NOVO-NORDISK A S	ADR	670100205	789	5000	SH	PUT	DEFINED	1	0	0	0
NOVO-NORDISK A S	ADR	670100205	5934	37600	SH	CALL	DEFINED	2	0	0	0
NPS PHARMACEUTICALS INC	COM	62936P103	368	39798	SH		DEFINED	3	39798	0	0
NPS PHARMACEUTICALS INC	COM	62936P103	873	94400	SH	PUT	DEFINED	2	0	0	0
NPS PHARMACEUTICALS INC	COM	62936P103	129	13900	SH	PUT	DEFINED	1	0	0	0
NPS PHARMACEUTICALS INC	COM	62936P103	251	27100	SH	CALL	DEFINED	1	0	0	0
NPS PHARMACEUTICALS INC	COM	62936P103	1940	209700	SH	CALL	DEFINED	2	0	0	0
NQ MOBILE INC	ADR REPSTG CL A	64118U108	349	43633	SH		DEFINED	2	43633	0	0
NQ MOBILE INC	ADR REPSTG CL A	64118U108	194	24300	SH	PUT	DEFINED	2	0	0	0
NRG ENERGY INC	COM NEW	629377508	310	14513	SH		DEFINED	2	14513	0	0
NRG ENERGY INC	COM NEW	629377508	432	20176	SH		DEFINED	1	20176	0	0
NRG ENERGY INC	COM NEW	629377508	2302	107600	SH	PUT	DEFINED	1	0	0	0
NRG ENERGY INC	COM NEW	629377508	15219	711500	SH	PUT	DEFINED	2	0	0	0
NRG ENERGY INC	COM NEW	629377508	11277	527200	SH	CALL	DEFINED	2	0	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	371	9548	SH		DEFINED	2	9548	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	1626	41887	SH		DEFINED	3	41887	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	660	17000	SH	PUT	DEFINED	3	0	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	7288	187700	SH	PUT	DEFINED	2	0	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	334	8600	SH	PUT	DEFINED	1	0	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	6360	163800	SH	CALL	DEFINED	3	0	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	8193	211000	SH	CALL	DEFINED	2	0	0	0
NU SKIN ENTERPRISES INC	CL A	67018T105	2897	74600	SH	CALL	DEFINED	1	0	0	0
NUANCE COMMUNICATIONS INC	COM	67020Y100	6741	270836	SH		DEFINED	2	270836	0	0
NUANCE COMMUNICATIONS INC	COM	67020Y100	5500	220957	SH		DEFINED	9	220957	0	0
NUANCE COMMUNICATIONS INC	COM	67020Y100	827	33232	SH		DEFINED	3	33232	0	0
NUANCE COMMUNICATIONS INC	COM	67020Y100	5317	213600	SH	PUT	DEFINED	2	0	0	0
NUANCE COMMUNICATIONS INC	COM	67020Y100	4194	168500	SH	CALL	DEFINED	2	0	0	0
NUANCE COMMUNICATIONS INC	COM	67020Y100	1058	42500	SH	CALL	DEFINED	1	0	0	0
NUCOR CORP	COM	670346105	10780	281744	SH		DEFINED	2	281744	0	0
NUCOR CORP	COM	670346105	12251	320200	SH		DEFINED	9	320200	0	0
NUCOR CORP	COM	670346105	2785	72800	SH	PUT	DEFINED	1	0	0	0
NUCOR CORP	COM	670346105	19543	510800	SH	PUT	DEFINED	2	0	0	0
NUCOR CORP	COM	670346105	38853	1015500	SH	CALL	DEFINED	2	0	0	0
NUCOR CORP	COM	670346105	2690	70300	SH	CALL	DEFINED	1	0	0	0
NUPATHE INC	COM	67059M100	62	17500	SH	PUT	DEFINED	2	0	0	0
NUSTAR ENERGY LP	UNIT COM	67058H102	458	8999	SH		DEFINED	3	8999	0	0
NUSTAR ENERGY LP	UNIT COM	67058H102	529	10388	SH		DEFINED	2	10388	0	0
NUSTAR ENERGY LP	UNIT COM	67058H102	4600	90400	SH	PUT	DEFINED	2	0	0	0
NUSTAR ENERGY LP	UNIT COM	67058H102	270	5300	SH	PUT	DEFINED	1	0	0	0
NUSTAR ENERGY LP	UNIT COM	67058H102	2407	47300	SH	CALL	DEFINED	2	0	0	0
NUSTAR GP HOLDINGS LLC	UNIT RESTG LLC	67059L102	1041	32700	SH	PUT	DEFINED	2	0	0	0
NUTRI SYS INC NEW	COM	67069D108	414	39362	SH		DEFINED	2	39362	0	0
NUTRI SYS INC NEW	COM	67069D108	1280	121600	SH	PUT	DEFINED	2	0	0	0
NUTRI SYS INC NEW	COM	67069D108	613	58200	SH	CALL	DEFINED	2	0	0	0
NUTRI SYS INC NEW	COM	67069D108	392	37200	SH	CALL	DEFINED	1	0	0	0
NUVASIVE INC	COM	670704105	1987	86715	SH		DEFINED	2	86715	0	0
NUVASIVE INC	COM	670704105	1418	61900	SH	PUT	DEFINED	2	0	0	0
NUVASIVE INC	COM	670704105	2600	113500	SH	CALL	DEFINED	2	0	0	0
NUVEEN ARIZ DIVID ADVANTAG M	COM SH BEN INT	67069L100	163	10583	SH		DEFINED	3	10583	0	0
NUVEEN AZ DIV ADV MUN FD 3	COM	67072E101	377	25030	SH		DEFINED	3	25030	0	0
NUVEEN BUILD AMER BD OPPTNY	COM	67074Q102	299	13575	SH		DEFINED	3	13575	0	0
NUVEEN MD PREM INCOME MUN FD	COM	67061Q107	353	22749	SH		DEFINED	3	22749	0	0
NUVEEN OH DIV ADV MUNI FD 2	COM SH BEN INT	67070R104	276	17282	SH		DEFINED	3	17282	0	0
NUVEEN OH DIV ADVANTAGE MUN	COM	67070C107	246	15131	SH		DEFINED	3	15131	0	0
NUVEEN PFD INCOME OPPRTNY FD	COM	67073B106	120	12198	SH		DEFINED	3	12198	0	0
NVE CORP	COM NEW	629445206	295	4989	SH		DEFINED	3	4989	0	0
NVIDIA CORP	COM	67066G104	2126	159398	SH		DEFINED	1	159398	0	0
NVIDIA CORP	COM	67066G104	15859	1188823	SH		DEFINED	2	1188823	0	0
NVIDIA CORP	COM	67066G104	374	28017	SH		DEFINED	3	28017	0	0
NVIDIA CORP	COM	67066G104	14741	1105000	SH	PUT	DEFINED	2	0	0	0
NVIDIA CORP	COM	67066G104	1878	140800	SH	PUT	DEFINED	1	0	0	0
NVIDIA CORP	COM	67066G104	2352	176300	SH	CALL	DEFINED	1	0	0	0
NVIDIA CORP	COM	67066G104	21563	1616400	SH	CALL	DEFINED	2	0	0	0
NVR INC	COM	62944T105	338	400	SH		DEFINED	3	400	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	2757	110255	SH		DEFINED	2	110255	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	368	14695	SH		DEFINED	1	14695	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	2271	90800	SH	PUT	DEFINED	2	0	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	1078	43100	SH	PUT	DEFINED	1	0	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	353	14100	SH	CALL	DEFINED	3	0	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	11297	451700	SH	CALL	DEFINED	2	0	0	0
NXP SEMICONDUCTORS N V	COM	N6596X109	1826	73000	SH	CALL	DEFINED	1	0	0	0
NXSTAGE MEDICAL INC	COM	67072V103	360	27284	SH		DEFINED	2	27284	0	0
NYMOX PHARMACEUTICAL CORP	COM	67076P102	861	123751	SH		DEFINED	3	123751	0	0
NYSE EURONEXT	COM	629491101	543	22016	SH		DEFINED	3	22016	0	0
NYSE EURONEXT	COM	629491101	1510	61270	SH		DEFINED	2	61270	0	0
NYSE EURONEXT	COM	629491101	12372	501900	SH	PUT	DEFINED	2	0	0	0
NYSE EURONEXT	COM	629491101	1267	51400	SH	PUT	DEFINED	1	0	0	0
NYSE EURONEXT	COM	629491101	12875	522300	SH	CALL	DEFINED	2	0	0	0
NYSE EURONEXT	COM	629491101	2916	118300	SH	CALL	DEFINED	1	0	0	0
NYSE EURONEXT	COM	629491101	330	13400	SH	CALL	DEFINED	3	0	0	0
O REILLY AUTOMOTIVE INC NEW	COM	67103H107	10841	129642	SH		DEFINED	2	129642	0	0
O REILLY AUTOMOTIVE INC NEW	COM	67103H107	376	4500	SH		DEFINED	3	4500	0	0
O REILLY AUTOMOTIVE INC NEW	COM	67103H107	63275	756700	SH	PUT	DEFINED	2	0	0	0
O REILLY AUTOMOTIVE INC NEW	COM	67103H107	1187	14200	SH	PUT	DEFINED	1	0	0	0
O REILLY AUTOMOTIVE INC NEW	COM	67103H107	2960	35400	SH	CALL	DEFINED	1	0	0	0
O REILLY AUTOMOTIVE INC NEW	COM	67103H107	14625	174900	SH	CALL	DEFINED	2	0	0	0
OAKTREE CAP GROUP LLC	UNIT 99/99/9999	674001201	230	5600	SH	PUT	DEFINED	2	0	0	0
OASIS PETE INC NEW	COM	674215108	2216	75200	SH	PUT	DEFINED	2	0	0	0
OASIS PETE INC NEW	COM	674215108	2676	90800	SH	CALL	DEFINED	2	0	0	0
OBAGI MEDICAL PRODUCTS INC	COM	67423R108	601	48400	SH	CALL	DEFINED	2	0	0	0
OCCIDENTAL PETE CORP DEL	COM	674599105	759	8817	SH		DEFINED	3	8817	0	0
OCCIDENTAL PETE CORP DEL	COM	674599105	28056	326004	SH		DEFINED	2	326004	0	0
OCCIDENTAL PETE CORP DEL	COM	674599105	94890	1102600	SH	PUT	DEFINED	2	0	0	0
OCCIDENTAL PETE CORP DEL	COM	674599105	23322	271000	SH	PUT	DEFINED	1	0	0	0
OCCIDENTAL PETE CORP DEL	COM	674599105	95217	1106400	SH	CALL	DEFINED	2	0	0	0
OCCIDENTAL PETE CORP DEL	COM	674599105	17160	199400	SH	CALL	DEFINED	1	0	0	0
OCEAN RIG UDW INC	SHS	Y64354205	421	25800	SH	CALL	DEFINED	2	0	0	0
OCEANEERING INTL INC	COM	675232102	1006	18200	SH	PUT	DEFINED	2	0	0	0
OCEANEERING INTL INC	COM	675232102	3790	68600	SH	CALL	DEFINED	2	0	0	0
OCEANFIRST FINL CORP	COM	675234108	343	23366	SH		DEFINED	3	23366	0	0
OCH ZIFF CAP MGMT GROUP	CL A	67551U105	355	36756	SH		DEFINED	2	36756	0	0
OCH ZIFF CAP MGMT GROUP	CL A	67551U105	1140	118000	SH	PUT	DEFINED	2	0	0	0
OCH ZIFF CAP MGMT GROUP	CL A	67551U105	326	33700	SH	CALL	DEFINED	2	0	0	0
OCLARO INC	COM NEW	67555N206	39	14576	SH		DEFINED	2	14576	0	0
OCLARO INC	COM NEW	67555N206	43	15772	SH		DEFINED	3	15772	0	0
OCLARO INC	COM NEW	67555N206	41	15200	SH	PUT	DEFINED	2	0	0	0
OCLARO INC	COM NEW	67555N206	31	11500	SH	CALL	DEFINED	2	0	0	0
OCWEN FINL CORP	COM NEW	675746309	790	28810	SH		DEFINED	1	28810	0	0
OCWEN FINL CORP	COM NEW	675746309	6078	221745	SH		DEFINED	2	221745	0	0
OCWEN FINL CORP	COM NEW	675746309	4076	148700	SH		DEFINED	9	148700	0	0
OCWEN FINL CORP	COM NEW	675746309	8176	298300	SH	PUT	DEFINED	2	0	0	0
OCWEN FINL CORP	COM NEW	675746309	1614	58900	SH	PUT	DEFINED	1	0	0	0
OCWEN FINL CORP	COM NEW	675746309	11762	429100	SH	CALL	DEFINED	2	0	0	0
OCWEN FINL CORP	COM NEW	675746309	1181	43100	SH	CALL	DEFINED	1	0	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	241	69545	SH		DEFINED	1	69545	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	3769	1086085	SH		DEFINED	2	1086085	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	89	25719	SH		DEFINED	3	25719	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	203	58400	SH	PUT	DEFINED	3	0	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	197	56900	SH	PUT	DEFINED	1	0	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	4431	1276900	SH	PUT	DEFINED	2	0	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	1326	382000	SH	CALL	DEFINED	2	0	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	150	43300	SH	CALL	DEFINED	3	0	0	0
OCZ TECHNOLOGY GROUP INC	COM	67086E303	79	22700	SH	CALL	DEFINED	1	0	0	0
ODYSSEY MARINE EXPLORATION I	COM	676118102	613	193896	SH		DEFINED	2	193896	0	0
ODYSSEY MARINE EXPLORATION I	COM	676118102	319	100900	SH		DEFINED	"5,7"	100900	0	0
ODYSSEY MARINE EXPLORATION I	COM	676118102	653	206700	SH	PUT	DEFINED	2	0	0	0
ODYSSEY MARINE EXPLORATION I	COM	676118102	80	25200	SH	PUT	DEFINED	1	0	0	0
ODYSSEY MARINE EXPLORATION I	COM	676118102	131	41400	SH	CALL	DEFINED	1	0	0	0
ODYSSEY MARINE EXPLORATION I	COM	676118102	651	206000	SH	CALL	DEFINED	2	0	0	0
OFFICE DEPOT INC	COM	676220106	254	99200	SH	PUT	DEFINED	2	0	0	0
OFFICE DEPOT INC	COM	676220106	341	133200	SH	CALL	DEFINED	2	0	0	0
OFFICEMAX INC DEL	COM	67622P101	430	55084	SH		DEFINED	2	55084	0	0
OFFICEMAX INC DEL	COM	67622P101	904	115700	SH	PUT	DEFINED	2	0	0	0
OFFICEMAX INC DEL	COM	67622P101	180	23100	SH	CALL	DEFINED	2	0	0	0
OGE ENERGY CORP	COM	670837103	958	17279	SH		DEFINED	2	17279	0	0
OHIO VY BANC CORP	COM	677719106	515	27768	SH		DEFINED	3	27768	0	0
OI S.A.	SPN ADR REP PFD	670851203	149	36981	SH		DEFINED	9	36981	0	0
OI S.A.	SPN ADR REP PFD	670851203	71	17780	SH		DEFINED	3	17780	0	0
OI S.A.	SPN ADR REP PFD	670851203	68	16884	SH		DEFINED	2	16884	0	0
OIL STS INTL INC	COM	678026105	5284	66500	SH	PUT	DEFINED	2	0	0	0
OIL STS INTL INC	COM	678026105	254	3200	SH	CALL	DEFINED	1	0	0	0
OIL STS INTL INC	COM	678026105	5658	71200	SH	CALL	DEFINED	2	0	0	0
OLD DOMINION FGHT LINES INC	COM	679580100	272	9031	SH		DEFINED	2	9031	0	0
OLD DOMINION FGHT LINES INC	COM	679580100	1154	38250	SH	PUT	DEFINED	2	0	0	0
OLD DOMINION FGHT LINES INC	COM	679580100	1799	59650	SH	CALL	DEFINED	2	0	0	0
OLD NATL BANCORP IND	COM	680033107	355	26063	SH		DEFINED	3	26063	0	0
OLD NATL BANCORP IND	COM	680033107	1068	78500	SH		DEFINED	9	78500	0	0
OLD REP INTL CORP	COM	680223104	245	26335	SH		DEFINED	3	26335	0	0
OLD REP INTL CORP	COM	680223104	99	10604	SH		DEFINED	2	10604	0	0
OLD REP INTL CORP	COM	680223104	176	18900	SH	PUT	DEFINED	2	0	0	0
OLD REP INTL CORP	COM	680223104	181	19500	SH	CALL	DEFINED	2	0	0	0
OLIN CORP	COM PAR $1	680665205	435	20000	SH		DEFINED	9	20000	0	0
OLIN CORP	COM PAR $1	680665205	934	42985	SH		DEFINED	2	42985	0	0
OLIN CORP	COM PAR $1	680665205	259	11930	SH		DEFINED	3	11930	0	0
OLIN CORP	COM PAR $1	680665205	217	10000	SH		DEFINED	1	10000	0	0
OLIN CORP	COM PAR $1	680665205	1415	65100	SH	PUT	DEFINED	2	0	0	0
OLIN CORP	COM PAR $1	680665205	6993	321800	SH	CALL	DEFINED	2	0	0	0
OM GROUP INC	COM	670872100	265	14300	SH	PUT	DEFINED	2	0	0	0
OM GROUP INC	COM	670872100	836	45100	SH	CALL	DEFINED	2	0	0	0
OMEGA HEALTHCARE INVS INC	COM	681936100	3059	134600	SH		DEFINED	9	134600	0	0
OMEGA HEALTHCARE INVS INC	COM	681936100	750	33000	SH	PUT	DEFINED	2	0	0	0
OMEGA HEALTHCARE INVS INC	COM	681936100	1548	68100	SH	CALL	DEFINED	2	0	0	0
OMEGA PROTEIN CORP	COM	68210P107	95	13897	SH		DEFINED	2	13897	0	0
OMEROS CORP	COM	682143102	168	17900	SH	PUT	DEFINED	2	0	0	0
OMEROS CORP	COM	682143102	350	37200	SH	CALL	DEFINED	2	0	0	0
OMNICARE INC	COM	681904108	3886	114408	SH		DEFINED	2	114408	0	0
OMNICARE INC	COM	681904108	493	14500	SH	PUT	DEFINED	1	0	0	0
OMNICARE INC	COM	681904108	4348	128000	SH	PUT	DEFINED	2	0	0	0
OMNICARE INC	COM	681904108	652	19200	SH	CALL	DEFINED	1	0	0	0
OMNICARE INC	COM	681904108	15450	454800	SH	CALL	DEFINED	2	0	0	0
OMNICARE INC	NOTE   3.750% 4/0	681904AP3	10277	10500000	PRN		DEFINED	"5,7"	0	0	0
OMNICOM GROUP INC	COM	681919106	822	15935	SH		DEFINED	2	15935	0	0
OMNICOM GROUP INC	COM	681919106	796	15445	SH		DEFINED	3	15445	0	0
OMNICOM GROUP INC	COM	681919106	2346	45500	SH	PUT	DEFINED	2	0	0	0
OMNICOM GROUP INC	COM	681919106	3743	72600	SH	CALL	DEFINED	2	0	0	0
OMNIVISION TECHNOLOGIES INC	COM	682128103	8634	618707	SH		DEFINED	2	618707	0	0
OMNIVISION TECHNOLOGIES INC	COM	682128103	924	66221	SH		DEFINED	1	66221	0	0
OMNIVISION TECHNOLOGIES INC	COM	682128103	11294	809300	SH	PUT	DEFINED	2	0	0	0
OMNIVISION TECHNOLOGIES INC	COM	682128103	2308	165400	SH	PUT	DEFINED	1	0	0	0
OMNIVISION TECHNOLOGIES INC	COM	682128103	3818	273600	SH	CALL	DEFINED	2	0	0	0
OMNIVISION TECHNOLOGIES INC	COM	682128103	1550	111100	SH	CALL	DEFINED	1	0	0	0
OMNOVA SOLUTIONS INC	COM	682129101	89	11814	SH		DEFINED	2	11814	0	0
ON SEMICONDUCTOR CORP	COM	682189105	1947	315600	SH		DEFINED	9	315600	0	0
ON SEMICONDUCTOR CORP	COM	682189105	5409	876586	SH		DEFINED	2	876586	0	0
ON SEMICONDUCTOR CORP	COM	682189105	83	13413	SH		DEFINED	3	13413	0	0
ON SEMICONDUCTOR CORP	COM	682189105	5991	971000	SH	PUT	DEFINED	2	0	0	0
ON SEMICONDUCTOR CORP	COM	682189105	62	10000	SH	PUT	DEFINED	1	0	0	0
ON SEMICONDUCTOR CORP	COM	682189105	83	13400	SH	CALL	DEFINED	1	0	0	0
ON SEMICONDUCTOR CORP	COM	682189105	402	65200	SH	CALL	DEFINED	2	0	0	0
ONCOGENEX PHARMACEUTICALS IN	COM	68230A106	152	10729	SH		DEFINED	2	10729	0	0
ONCOGENEX PHARMACEUTICALS IN	COM	68230A106	679	47900	SH	PUT	DEFINED	2	0	0	0
ONCOGENEX PHARMACEUTICALS IN	COM	68230A106	166	11700	SH	CALL	DEFINED	2	0	0	0
ONCOLYTICS BIOTECH INC	COM	682310107	94	40361	SH		DEFINED	2	40361	0	0
ONCOLYTICS BIOTECH INC	COM	682310107	467	200400	SH	PUT	DEFINED	2	0	0	0
ONCOTHYREON INC	COM	682324108	1267	246463	SH		DEFINED	2	246463	0	0
ONCOTHYREON INC	COM	682324108	53	10299	SH		DEFINED	1	10299	0	0
ONCOTHYREON INC	COM	682324108	3157	614200	SH	PUT	DEFINED	2	0	0	0
ONCOTHYREON INC	COM	682324108	94	18300	SH	CALL	DEFINED	1	0	0	0
ONCOTHYREON INC	COM	682324108	104	20300	SH	CALL	DEFINED	3	0	0	0
ONCOTHYREON INC	COM	682324108	3675	714900	SH	CALL	DEFINED	2	0	0	0
ONEOK INC NEW	COM	682680103	2156	44627	SH		DEFINED	3	44627	0	0
ONEOK INC NEW	COM	682680103	2404	49756	SH		DEFINED	2	49756	0	0
ONEOK INC NEW	COM	682680103	353	7300	SH	PUT	DEFINED	2	0	0	0
ONEOK INC NEW	COM	682680103	4522	93600	SH	CALL	DEFINED	3	0	0	0
ONEOK INC NEW	COM	682680103	8058	166800	SH	CALL	DEFINED	2	0	0	0
ONEOK PARTNERS LP	UNIT LTD PARTN	68268N103	1159	19479	SH		DEFINED	3	19479	0	0
ONEOK PARTNERS LP	UNIT LTD PARTN	68268N103	666	11200	SH	PUT	DEFINED	2	0	0	0
ONEOK PARTNERS LP	UNIT LTD PARTN	68268N103	15042	252800	SH	CALL	DEFINED	2	0	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	298	3524	SH		DEFINED	3	3524	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	16345	193434	SH		DEFINED	2	193434	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	39309	465200	SH	PUT	DEFINED	2	0	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	1014	12000	SH	PUT	DEFINED	3	0	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	2484	29400	SH	PUT	DEFINED	1	0	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	2898	34300	SH	CALL	DEFINED	1	0	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	5400	63900	SH	CALL	DEFINED	3	0	0	0
ONYX PHARMACEUTICALS INC	COM	683399109	21260	251600	SH	CALL	DEFINED	2	0	0	0
OPEN TEXT CORP	COM	683715106	1918	34778	SH		DEFINED	2	34778	0	0
OPEN TEXT CORP	COM	683715106	827	15000	SH		DEFINED	3	15000	0	0
OPEN TEXT CORP	COM	683715106	2746	49800	SH		DEFINED	9	49800	0	0
OPEN TEXT CORP	COM	683715106	5111	92700	SH	PUT	DEFINED	2	0	0	0
OPEN TEXT CORP	COM	683715106	2702	49000	SH	CALL	DEFINED	2	0	0	0
OPENTABLE INC	COM	68372A104	554	13319	SH		DEFINED	2	13319	0	0
OPENTABLE INC	COM	68372A104	20230	486300	SH	PUT	DEFINED	2	0	0	0
OPENTABLE INC	COM	68372A104	4605	110700	SH	PUT	DEFINED	1	0	0	0
OPENTABLE INC	COM	68372A104	7247	174200	SH	CALL	DEFINED	1	0	0	0
OPENTABLE INC	COM	68372A104	21357	513400	SH	CALL	DEFINED	2	0	0	0
OPKO HEALTH INC	COM	68375N103	48	11364	SH		DEFINED	1	11364	0	0
OPKO HEALTH INC	COM	68375N103	654	156453	SH		DEFINED	2	156453	0	0
OPKO HEALTH INC	COM	68375N103	384	91900	SH	PUT	DEFINED	2	0	0	0
OPKO HEALTH INC	COM	68375N103	188	45000	SH	CALL	DEFINED	2	0	0	0
OPLINK COMMUNICATIONS INC	COM NEW	68375Q403	200	12066	SH		DEFINED	2	12066	0	0
OPNET TECHNOLOGIES INC	COM	683757108	467	13700	SH	PUT	DEFINED	2	0	0	0
OPTIMER PHARMACEUTICALS INC	COM	68401H104	638	45203	SH		DEFINED	2	45203	0	0
OPTIMER PHARMACEUTICALS INC	COM	68401H104	494	35000	SH	PUT	DEFINED	2	0	0	0
OPTIMER PHARMACEUTICALS INC	COM	68401H104	141	10000	SH	CALL	DEFINED	1	0	0	0
OPTIMER PHARMACEUTICALS INC	COM	68401H104	955	67600	SH	CALL	DEFINED	2	0	0	0
ORACLE CORP	COM	68389X105	79686	2530509	SH		DEFINED	2	2530509	0	0
ORACLE CORP	COM	68389X105	2784	88500	SH		DEFINED	9	88500	0	0
ORACLE CORP	COM	68389X105	932	29602	SH		DEFINED	1	29602	0	0
ORACLE CORP	COM	68389X105	757	24029	SH		DEFINED	3	24029	0	0
ORACLE CORP	COM	68389X105	66806	2121500	SH	PUT	DEFINED	2	0	0	0
ORACLE CORP	COM	68389X105	20160	640200	SH	PUT	DEFINED	1	0	0	0
ORACLE CORP	COM	68389X105	630	20000	SH	CALL	DEFINED	3	0	0	0
ORACLE CORP	COM	68389X105	118639	3767500	SH	CALL	DEFINED	2	0	0	0
ORACLE CORP	COM	68389X105	34482	1095000	SH	CALL	DEFINED	1	0	0	0
ORASURE TECHNOLOGIES INC	COM	68554V108	135	12132	SH		DEFINED	2	12132	0	0
ORASURE TECHNOLOGIES INC	COM	68554V108	198	17800	SH		DEFINED	9	17800	0	0
ORASURE TECHNOLOGIES INC	COM	68554V108	465	41800	SH	PUT	DEFINED	2	0	0	0
ORASURE TECHNOLOGIES INC	COM	68554V108	424	38100	SH	CALL	DEFINED	2	0	0	0
ORASURE TECHNOLOGIES INC	COM	68554V108	202	18200	SH	CALL	DEFINED	1	0	0	0
ORBITZ WORLDWIDE INC	COM	68557K109	27	10594	SH		DEFINED	2	10594	0	0
ORBITZ WORLDWIDE INC	COM	68557K109	45	17590	SH		DEFINED	3	17590	0	0
ORBITZ WORLDWIDE INC	COM	68557K109	92	36000	SH		DEFINED	9	36000	0	0
ORCHARD SUPPLY HARDWARE STOR	CL A	685691404	170	11723	SH		DEFINED	3	11723	0	0
OREXIGEN THERAPEUTICS INC	COM	686164104	66	11473	SH		DEFINED	3	11473	0	0
OREXIGEN THERAPEUTICS INC	COM	686164104	855	149650	SH		DEFINED	2	149650	0	0
OREXIGEN THERAPEUTICS INC	COM	686164104	1293	226500	SH	PUT	DEFINED	2	0	0	0
OREXIGEN THERAPEUTICS INC	COM	686164104	500	87600	SH	CALL	DEFINED	2	0	0	0
ORIENT PAPER INC	COM NEW	68619F205	112	55970	SH		DEFINED	2	55970	0	0
ORIENT PAPER INC	COM NEW	68619F205	33	16500	SH	PUT	DEFINED	2	0	0	0
ORIENTAL FINL GROUP INC	COM	68618W100	115	10920	SH		DEFINED	2	10920	0	0
ORMAT TECHNOLOGIES INC	COM	686688102	585	31200	SH		DEFINED	9	31200	0	0
OSHKOSH CORP	COM	688239201	845	30800	SH		DEFINED	9	30800	0	0
OSHKOSH CORP	COM	688239201	1662	60600	SH	PUT	DEFINED	2	0	0	0
OSHKOSH CORP	COM	688239201	357	13000	SH	CALL	DEFINED	3	0	0	0
OSHKOSH CORP	COM	688239201	7455	271800	SH	CALL	DEFINED	2	0	0	0
OSHKOSH CORP	COM	688239201	302	11000	SH	CALL	DEFINED	1	0	0	0
OSI SYSTEMS INC	COM	671044105	538	6912	SH		DEFINED	3	6912	0	0
OSI SYSTEMS INC	COM	671044105	1374	17647	SH		DEFINED	2	17647	0	0
OSI SYSTEMS INC	COM	671044105	1129	14500	SH	PUT	DEFINED	2	0	0	0
OSI SYSTEMS INC	COM	671044105	1121	14400	SH	CALL	DEFINED	2	0	0	0
OSI SYSTEMS INC	COM	671044105	451	5800	SH	CALL	DEFINED	3	0	0	0
OSIRIS THERAPEUTICS INC NEW	COM	68827R108	752	68092	SH		DEFINED	2	68092	0	0
OSIRIS THERAPEUTICS INC NEW	COM	68827R108	1071	96900	SH	PUT	DEFINED	2	0	0	0
OSIRIS THERAPEUTICS INC NEW	COM	68827R108	896	81100	SH	CALL	DEFINED	2	0	0	0
OVERSEAS SHIPHOLDING GROUP I	COM	690368105	68	10366	SH		DEFINED	2	10366	0	0
OVERSEAS SHIPHOLDING GROUP I	COM	690368105	2124	321800	SH	PUT	DEFINED	2	0	0	0
OVERSEAS SHIPHOLDING GROUP I	COM	690368105	2876	435800	SH	CALL	DEFINED	2	0	0	0
OVERSEAS SHIPHOLDING GROUP I	COM	690368105	111	16800	SH	CALL	DEFINED	1	0	0	0
OVERSTOCK COM INC DEL	COM	690370101	850	82006	SH		DEFINED	2	82006	0	0
OVERSTOCK COM INC DEL	COM	690370101	293	28300	SH	PUT	DEFINED	2	0	0	0
OVERSTOCK COM INC DEL	COM	690370101	1009	97400	SH	CALL	DEFINED	2	0	0	0
OWENS CORNING NEW	COM	690742101	251	7503	SH		DEFINED	2	7503	0	0
OWENS CORNING NEW	COM	690742101	42039	1256400	SH	PUT	DEFINED	2	0	0	0
OWENS CORNING NEW	COM	690742101	1951	58300	SH	CALL	DEFINED	2	0	0	0
OWENS CORNING NEW	COM	690742101	391	11700	SH	CALL	DEFINED	1	0	0	0
OWENS ILL INC	COM NEW	690768403	1670	89006	SH		DEFINED	2	89006	0	0
OWENS ILL INC	COM NEW	690768403	4035	215100	SH	PUT	DEFINED	2	0	0	0
OWENS ILL INC	COM NEW	690768403	1619	86300	SH	CALL	DEFINED	2	0	0	0
OXFORD INDS INC	COM	691497309	2743	48600	SH	PUT	DEFINED	2	0	0	0
OXFORD INDS INC	COM	691497309	226	4000	SH	CALL	DEFINED	1	0	0	0
OXFORD INDS INC	COM	691497309	920	16300	SH	CALL	DEFINED	2	0	0	0
OXYGEN BIOTHERAPEUTICS INC	COM NEW	69207P209	571	951363	SH		DEFINED	"5,8"	951363	0	0
P T TELEKOMUNIKASI INDONESIA	SPONSORED ADR	715684106	202	5195	SH		DEFINED	3	5195	0	0
P T TELEKOMUNIKASI INDONESIA	SPONSORED ADR	715684106	1368	35133	SH		DEFINED	2	35133	0	0
P T TELEKOMUNIKASI INDONESIA	SPONSORED ADR	715684106	487	12500	SH		DEFINED	9	12500	0	0
P T TELEKOMUNIKASI INDONESIA	SPONSORED ADR	715684106	323	8300	SH	CALL	DEFINED	2	0	0	0
PAA NAT GAS STORAGE L P	COM UNIT LTD	693139107	297	14900	SH	PUT	DEFINED	2	0	0	0
PAA NAT GAS STORAGE L P	COM UNIT LTD	693139107	302	15200	SH	CALL	DEFINED	2	0	0	0
PACCAR INC	COM	693718108	829	20718	SH		DEFINED	3	20718	0	0
PACCAR INC	COM	693718108	19865	496310	SH		DEFINED	2	496310	0	0
PACCAR INC	COM	693718108	1902	47521	SH		DEFINED	1	47521	0	0
PACCAR INC	COM	693718108	520	13000	SH	PUT	DEFINED	3	0	0	0
PACCAR INC	COM	693718108	17847	445900	SH	PUT	DEFINED	2	0	0	0
PACCAR INC	COM	693718108	2438	60900	SH	PUT	DEFINED	1	0	0	0
PACCAR INC	COM	693718108	897	22400	SH	CALL	DEFINED	1	0	0	0
PACCAR INC	COM	693718108	31348	783200	SH	CALL	DEFINED	2	0	0	0
PACER INTL INC TENN	COM	69373H106	380	95500	SH	PUT	DEFINED	2	0	0	0
PACER INTL INC TENN	COM	69373H106	59	14900	SH	CALL	DEFINED	2	0	0	0
PACIFIC COAST OIL TR	UNIT BEN INT	694103102	430	23675	SH		DEFINED	3	23675	0	0
PACIFIC ETHANOL INC	COM NEW	69423U206	4496	11528494	SH		DEFINED	"5,8"	11528494	0	0
PACIFIC SUNWEAR CALIF INC	COM	694873100	27	10881	SH		DEFINED	2	10881	0	0
PACIFIC SUNWEAR CALIF INC	COM	694873100	338	135212	SH		DEFINED	3	135212	0	0
PACIFIC SUNWEAR CALIF INC	COM	694873100	73	29300	SH	CALL	DEFINED	2	0	0	0
PACIRA PHARMACEUTICALS INC	COM	695127100	270	15500	SH	CALL	DEFINED	2	0	0	0
PACKAGING CORP AMER	COM	695156109	1859	51199	SH		DEFINED	2	51199	0	0
PACKAGING CORP AMER	COM	695156109	2537	69900	SH	PUT	DEFINED	2	0	0	0
PACKAGING CORP AMER	COM	695156109	247	6800	SH	CALL	DEFINED	1	0	0	0
PACKAGING CORP AMER	COM	695156109	4429	122000	SH	CALL	DEFINED	2	0	0	0
PACWEST BANCORP DEL	COM	695263103	437	18692	SH		DEFINED	3	18692	0	0
PAIN THERAPEUTICS INC	COM	69562K100	74	14730	SH		DEFINED	2	14730	0	0
PALL CORP	COM	696429307	731	11509	SH		DEFINED	2	11509	0	0
PALL CORP	COM	696429307	1156	18200	SH	PUT	DEFINED	2	0	0	0
PALL CORP	COM	696429307	5409	85200	SH	CALL	DEFINED	2	0	0	0
PALL CORP	COM	696429307	419	6600	SH	CALL	DEFINED	1	0	0	0
PALO ALTO NETWORKS INC	COM	697435105	408	6627	SH		DEFINED	2	6627	0	0
PALO ALTO NETWORKS INC	COM	697435105	2494	40500	SH	PUT	DEFINED	2	0	0	0
PALO ALTO NETWORKS INC	COM	697435105	2734	44400	SH	CALL	DEFINED	2	0	0	0
PAN AMERICAN SILVER CORP	COM	697900108	3612	168401	SH		DEFINED	1	168401	0	0
PAN AMERICAN SILVER CORP	COM	697900108	13712	639233	SH		DEFINED	2	639233	0	0
PAN AMERICAN SILVER CORP	COM	697900108	15292	712900	SH	PUT	DEFINED	2	0	0	0
PAN AMERICAN SILVER CORP	COM	697900108	3104	144700	SH	PUT	DEFINED	1	0	0	0
PAN AMERICAN SILVER CORP	COM	697900108	1757	81900	SH	CALL	DEFINED	1	0	0	0
PAN AMERICAN SILVER CORP	COM	697900108	17057	795200	SH	CALL	DEFINED	2	0	0	0
PANDORA MEDIA INC	COM	698354107	2837	259080	SH		DEFINED	2	259080	0	0
PANDORA MEDIA INC	COM	698354107	116	10600	SH		DEFINED	4	10600	0	0
PANDORA MEDIA INC	COM	698354107	153	14000	SH	PUT	DEFINED	1	0	0	0
PANDORA MEDIA INC	COM	698354107	6088	556000	SH	PUT	DEFINED	2	0	0	0
PANDORA MEDIA INC	COM	698354107	118	10800	SH	PUT	DEFINED	4	0	0	0
PANDORA MEDIA INC	COM	698354107	9145	835200	SH	CALL	DEFINED	2	0	0	0
PANDORA MEDIA INC	COM	698354107	301	27500	SH	CALL	DEFINED	1	0	0	0
PANERA BREAD CO	CL A	69840W108	2802	16396	SH		DEFINED	3	16396	0	0
PANERA BREAD CO	CL A	69840W108	5099	29839	SH		DEFINED	1	29839	0	0
PANERA BREAD CO	CL A	69840W108	17123	100200	SH	PUT	DEFINED	1	0	0	0
PANERA BREAD CO	CL A	69840W108	42996	251600	SH	PUT	DEFINED	2	0	0	0
PANERA BREAD CO	CL A	69840W108	854	5000	SH	CALL	DEFINED	3	0	0	0
PANERA BREAD CO	CL A	69840W108	16303	95400	SH	CALL	DEFINED	1	0	0	0
PANERA BREAD CO	CL A	69840W108	44380	259700	SH	CALL	DEFINED	2	0	0	0
PANTRY INC	COM	698657103	282	19400	SH	CALL	DEFINED	2	0	0	0
PAPA JOHNS INTL INC	COM	698813102	246	4600	SH		DEFINED	3	4600	0	0
PAPA JOHNS INTL INC	COM	698813102	4673	87500	SH	PUT	DEFINED	2	0	0	0
PAPA JOHNS INTL INC	COM	698813102	2649	49600	SH	CALL	DEFINED	2	0	0	0
PAR PHARMACEUTICAL COS INC	COM	69888P106	277	5551	SH		DEFINED	3	5551	0	0
PAR PHARMACEUTICAL COS INC	COM	69888P106	3297	65973	SH		DEFINED	2	65973	0	0
PAR PHARMACEUTICAL COS INC	COM	69888P106	955	19100	SH	PUT	DEFINED	3	0	0	0
PAR PHARMACEUTICAL COS INC	COM	69888P106	5948	119000	SH	PUT	DEFINED	2	0	0	0
PAR PHARMACEUTICAL COS INC	COM	69888P106	205	4100	SH	CALL	DEFINED	2	0	0	0
PARAMETRIC TECHNOLOGY CORP	COM NEW	699173209	395	18114	SH		DEFINED	2	18114	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	1539	578477	SH		DEFINED	2	578477	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	512	192410	SH		DEFINED	3	192410	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	68	25675	SH		DEFINED	1	25675	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	1348	506600	SH	PUT	DEFINED	3	0	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	2365	889100	SH	PUT	DEFINED	2	0	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	102	38300	SH	PUT	DEFINED	1	0	0	0
PARAMOUNT GOLD & SILVER CORP	COM	69924P102	61	22900	SH	CALL	DEFINED	3	0	0	0
PAREXEL INTL CORP	COM	699462107	898	29207	SH		DEFINED	9	29207	0	0
PARK ELECTROCHEMICAL CORP	COM	700416209	215	8659	SH		DEFINED	3	8659	0	0
PARK STERLING CORP	COM	70086Y105	67	13507	SH		DEFINED	3	13507	0	0
PARKER DRILLING CO	COM	701081101	62	14687	SH		DEFINED	2	14687	0	0
PARKER DRILLING CO	COM	701081101	165	39037	SH		DEFINED	3	39037	0	0
PARKER HANNIFIN CORP	COM	701094104	1078	12897	SH		DEFINED	2	12897	0	0
PARKER HANNIFIN CORP	COM	701094104	518	6200	SH	PUT	DEFINED	1	0	0	0
PARKER HANNIFIN CORP	COM	701094104	21982	263000	SH	PUT	DEFINED	2	0	0	0
PARKER HANNIFIN CORP	COM	701094104	995	11900	SH	CALL	DEFINED	1	0	0	0
PARKER HANNIFIN CORP	COM	701094104	13532	161900	SH	CALL	DEFINED	2	0	0	0
PARKERVISION INC	COM	701354102	67	28476	SH		DEFINED	3	28476	0	0
PARKERVISION INC	COM	701354102	37	15832	SH		DEFINED	2	15832	0	0
PARTNERRE LTD	COM	G6852T105	2469	33245	SH		DEFINED	2	33245	0	0
PARTNERRE LTD	COM	G6852T105	6759	91000	SH		DEFINED	9	91000	0	0
PARTNERRE LTD	COM	G6852T105	2815	37900	SH	PUT	DEFINED	2	0	0	0
PATTERSON COMPANIES INC	COM	703395103	549	16037	SH		DEFINED	3	16037	0	0
PATTERSON COMPANIES INC	COM	703395103	745	21766	SH		DEFINED	2	21766	0	0
PATTERSON COMPANIES INC	COM	703395103	264	7700	SH	PUT	DEFINED	2	0	0	0
PATTERSON COMPANIES INC	COM	703395103	346	10100	SH	CALL	DEFINED	2	0	0	0
PATTERSON UTI ENERGY INC	COM	703481101	358	22625	SH		DEFINED	3	22625	0	0
PATTERSON UTI ENERGY INC	COM	703481101	2891	182500	SH	PUT	DEFINED	2	0	0	0
PATTERSON UTI ENERGY INC	COM	703481101	2246	141800	SH	CALL	DEFINED	2	0	0	0
PAYCHEX INC	COM	704326107	6071	182374	SH		DEFINED	2	182374	0	0
PAYCHEX INC	COM	704326107	15523	466300	SH		DEFINED	9	466300	0	0
PAYCHEX INC	COM	704326107	4671	140300	SH	PUT	DEFINED	2	0	0	0
PAYCHEX INC	COM	704326107	233	7000	SH	PUT	DEFINED	1	0	0	0
PAYCHEX INC	COM	704326107	246	7400	SH	CALL	DEFINED	1	0	0	0
PAYCHEX INC	COM	704326107	29998	901100	SH	CALL	DEFINED	2	0	0	0
PDC ENERGY INC	COM	69327R101	310	9800	SH	PUT	DEFINED	2	0	0	0
PDC ENERGY INC	COM	69327R101	876	27700	SH	CALL	DEFINED	2	0	0	0
PDL BIOPHARMA INC	COM	69329Y104	165	21500	SH	CALL	DEFINED	2	0	0	0
PEABODY ENERGY CORP	COM	704549104	13431	602549	SH		DEFINED	2	602549	0	0
PEABODY ENERGY CORP	COM	704549104	401	17971	SH		DEFINED	1	17971	0	0
PEABODY ENERGY CORP	COM	704549104	557	24976	SH		DEFINED	3	24976	0	0
PEABODY ENERGY CORP	COM	704549104	74830	3357100	SH	PUT	DEFINED	2	0	0	0
PEABODY ENERGY CORP	COM	704549104	3910	175400	SH	PUT	DEFINED	1	0	0	0
PEABODY ENERGY CORP	COM	704549104	40294	1807700	SH	CALL	DEFINED	2	0	0	0
PEABODY ENERGY CORP	COM	704549104	3444	154500	SH	CALL	DEFINED	1	0	0	0
PEARSON PLC	SPONSORED ADR	705015105	400	20450	SH		DEFINED	9	20450	0	0
PEBBLEBROOK HOTEL TR	COM	70509V100	351	15000	SH		DEFINED	9	15000	0	0
PEBBLEBROOK HOTEL TR	COM	70509V100	302	12900	SH	CALL	DEFINED	2	0	0	0
PEETS COFFEE & TEA INC	COM	705560100	288	3929	SH		DEFINED	2	3929	0	0
PEETS COFFEE & TEA INC	COM	705560100	983	13400	SH	PUT	DEFINED	2	0	0	0
PEETS COFFEE & TEA INC	COM	705560100	8478	115600	SH	CALL	DEFINED	2	0	0	0
PEGASYSTEMS INC	COM	705573103	357	12300	SH	PUT	DEFINED	2	0	0	0
PEGASYSTEMS INC	COM	705573103	418	14400	SH	CALL	DEFINED	2	0	0	0
PEMBINA PIPELINE CORP	COM	706327103	244	8698	SH		DEFINED	2	8698	0	0
PEMBINA PIPELINE CORP	COM	706327103	1161	41300	SH	CALL	DEFINED	2	0	0	0
PENDRELL CORP	COM	70686R104	11	10147	SH		DEFINED	3	10147	0	0
PENDRELL CORP	COM	70686R104	32	28126	SH		DEFINED	2	28126	0	0
PENGROWTH ENERGY CORP	COM	70706P104	521	77335	SH		DEFINED	2	77335	0	0
PENGROWTH ENERGY CORP	COM	70706P104	674	100000	SH	PUT	DEFINED	2	0	0	0
PENGROWTH ENERGY CORP	COM	70706P104	489	72500	SH	CALL	DEFINED	2	0	0	0
PENN NATL GAMING INC	COM	707569109	6655	154415	SH		DEFINED	2	154415	0	0
PENN NATL GAMING INC	COM	707569109	2711	62900	SH	PUT	DEFINED	2	0	0	0
PENN NATL GAMING INC	COM	707569109	4672	108400	SH	CALL	DEFINED	2	0	0	0
PENN NATL GAMING INC	COM	707569109	388	9000	SH	CALL	DEFINED	1	0	0	0
PENN VA CORP	COM	707882106	900	145200	SH	CALL	DEFINED	2	0	0	0
PENN WEST PETE LTD NEW	COM	707887105	153	10773	SH		DEFINED	1	10773	0	0
PENN WEST PETE LTD NEW	COM	707887105	189	13300	SH		DEFINED	"5,7"	13300	0	0
PENN WEST PETE LTD NEW	COM	707887105	234	16400	SH	PUT	DEFINED	2	0	0	0
PENN WEST PETE LTD NEW	COM	707887105	498	35000	SH	PUT	DEFINED	1	0	0	0
PENN WEST PETE LTD NEW	COM	707887105	1185	83200	SH	CALL	DEFINED	2	0	0	0
PENNANTPARK INVT CORP	COM	708062104	166	15600	SH		DEFINED	9	15600	0	0
PENNANTPARK INVT CORP	COM	708062104	122	11537	SH		DEFINED	2	11537	0	0
PENNEY J C INC	COM	708160106	1110	45712	SH		DEFINED	1	45712	0	0
PENNEY J C INC	COM	708160106	24915	1025744	SH		DEFINED	2	1025744	0	0
PENNEY J C INC	COM	708160106	369	15175	SH		DEFINED	3	15175	0	0
PENNEY J C INC	COM	708160106	148975	6133200	SH	PUT	DEFINED	2	0	0	0
PENNEY J C INC	COM	708160106	1054	43400	SH	PUT	DEFINED	3	0	0	0
PENNEY J C INC	COM	708160106	14669	603900	SH	PUT	DEFINED	1	0	0	0
PENNEY J C INC	COM	708160106	758	31200	SH	CALL	DEFINED	3	0	0	0
PENNEY J C INC	COM	708160106	52121	2145800	SH	CALL	DEFINED	2	0	0	0
PENNEY J C INC	COM	708160106	15354	632100	SH	CALL	DEFINED	1	0	0	0
PENNSYLVANIA RL ESTATE INVT	SH BEN INT	709102107	1216	76700	SH		DEFINED	9	76700	0	0
PENNSYLVANIA RL ESTATE INVT	SH BEN INT	709102107	396	24952	SH		DEFINED	3	24952	0	0
PENNSYLVANIA RL ESTATE INVT	SH BEN INT	709102107	236	14900	SH	PUT	DEFINED	2	0	0	0
PENNSYLVANIA RL ESTATE INVT	SH BEN INT	709102107	1228	77400	SH	CALL	DEFINED	2	0	0	0
PENNYMAC MTG INVT TR	COM	70931T103	1019	43600	SH		DEFINED	9	43600	0	0
PENNYMAC MTG INVT TR	COM	70931T103	1021	43700	SH	PUT	DEFINED	2	0	0	0
PENSKE AUTOMOTIVE GRP INC	COM	70959W103	391	13000	SH		DEFINED	9	13000	0	0
PENSKE AUTOMOTIVE GRP INC	COM	70959W103	256	8520	SH		DEFINED	2	8520	0	0
PENSON WORLDWIDE INC	COM	709600100	1	14004	SH		DEFINED	2	14004	0	0
PENTAIR INC	COM	709631105	398	8934	SH		DEFINED	2	8934	0	0
PENTAIR INC	COM	709631105	361	8100	SH	PUT	DEFINED	2	0	0	0
PENTAIR INC	COM	709631105	1634	36700	SH	CALL	DEFINED	2	0	0	0
PEOPLES UNITED FINANCIAL INC	COM	712704105	1086	89485	SH		DEFINED	2	89485	0	0
PEOPLES UNITED FINANCIAL INC	COM	712704105	579	47700	SH	PUT	DEFINED	2	0	0	0
PEOPLES UNITED FINANCIAL INC	COM	712704105	709	58400	SH	CALL	DEFINED	2	0	0	0
PEP BOYS MANNY MOE & JACK	COM	713278109	1199	117800	SH	PUT	DEFINED	2	0	0	0
PEP BOYS MANNY MOE & JACK	COM	713278109	2784	273500	SH	CALL	DEFINED	2	0	0	0
PEPCO HOLDINGS INC	COM	713291102	260	13764	SH		DEFINED	2	13764	0	0
PEPCO HOLDINGS INC	COM	713291102	225	11900	SH	PUT	DEFINED	2	0	0	0
PEPCO HOLDINGS INC	COM	713291102	1206	63800	SH	CALL	DEFINED	2	0	0	0
PEPSICO INC	COM	713448108	8056	113828	SH		DEFINED	2	113828	0	0
PEPSICO INC	COM	713448108	6517	92088	SH		DEFINED	1	92088	0	0
PEPSICO INC	COM	713448108	6780	95800	SH	PUT	DEFINED	1	0	0	0
PEPSICO INC	COM	713448108	99517	1406200	SH	PUT	DEFINED	2	0	0	0
PEPSICO INC	COM	713448108	151051	2134400	SH	CALL	DEFINED	2	0	0	0
PEPSICO INC	COM	713448108	4727	66800	SH	CALL	DEFINED	1	0	0	0
PEPSICO INC	COM	713448108	1047	14800	SH	CALL	DEFINED	3	0	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	25	24251	SH		DEFINED	2	24251	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	40	38943	SH		DEFINED	3	38943	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	45	43948	SH		DEFINED	1	43948	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	29	28300	SH	PUT	DEFINED	3	0	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	93	90300	SH	PUT	DEFINED	2	0	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	40	38600	SH	PUT	DEFINED	1	0	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	133	129100	SH	CALL	DEFINED	2	0	0	0
PEREGRINE PHARMACEUTICALS IN	COM NEW	713661304	243	236400	SH	CALL	DEFINED	1	0	0	0
PERFECT WORLD CO LTD	SPON ADR REP B	71372U104	652	60063	SH		DEFINED	2	60063	0	0
PERFECT WORLD CO LTD	SPON ADR REP B	71372U104	365	33600	SH	PUT	DEFINED	1	0	0	0
PERFECT WORLD CO LTD	SPON ADR REP B	71372U104	2454	226000	SH	PUT	DEFINED	2	0	0	0
PERFECT WORLD CO LTD	SPON ADR REP B	71372U104	631	58100	SH	CALL	DEFINED	1	0	0	0
PERKINELMER INC	COM	714046109	202	6854	SH		DEFINED	2	6854	0	0
PERKINELMER INC	COM	714046109	224	7600	SH	CALL	DEFINED	2	0	0	0
PERMA-FIX ENVIRONMENTAL SVCS	COM	714157104	22	20867	SH		DEFINED	3	20867	0	0
PERMA-FIX ENVIRONMENTAL SVCS	COM	714157104	60	57685	SH		DEFINED	2	57685	0	0
PERRIGO CO	COM	714290103	10339	89000	SH		DEFINED	9	89000	0	0
PERRIGO CO	COM	714290103	4905	42219	SH		DEFINED	2	42219	0	0
PERRIGO CO	COM	714290103	1255	10802	SH		DEFINED	3	10802	0	0
PERRIGO CO	COM	714290103	325	2800	SH	PUT	DEFINED	1	0	0	0
PERRIGO CO	COM	714290103	3322	28600	SH	PUT	DEFINED	2	0	0	0
PERRIGO CO	COM	714290103	24442	210400	SH	CALL	DEFINED	2	0	0	0
PETMED EXPRESS INC	COM	716382106	259	25800	SH		DEFINED	9	25800	0	0
PETMED EXPRESS INC	COM	716382106	299	29800	SH	CALL	DEFINED	2	0	0	0
PETROBRAS ARGENTINA S A	SPONS ADR	71646J109	216	23555	SH		DEFINED	2	23555	0	0
PETROCHINA CO LTD	SPONSORED     ADR	71646E100	762	5896	SH		DEFINED	1	5896	0	0
PETROCHINA CO LTD	SPONSORED     ADR	71646E100	4923	38116	SH		DEFINED	2	38116	0	0
PETROCHINA CO LTD	SPONSORED     ADR	71646E100	10113	78300	SH	PUT	DEFINED	1	0	0	0
PETROCHINA CO LTD	SPONSORED     ADR	71646E100	20588	159400	SH	PUT	DEFINED	2	0	0	0
PETROCHINA CO LTD	SPONSORED     ADR	71646E100	11508	89100	SH	CALL	DEFINED	2	0	0	0
PETROCHINA CO LTD	SPONSORED     ADR	71646E100	7362	57000	SH	CALL	DEFINED	1	0	0	0
PETROLEO BRASILEIRO SA PETRO	SP ADR NON VTG	71654V101	3022	136942	SH		DEFINED	3	136942	0	0
PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	240	10472	SH		DEFINED	1	10472	0	0
PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	54548	2377876	SH		DEFINED	2	2377876	0	0
PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	119238	5197800	SH	PUT	DEFINED	2	0	0	0
PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	6217	271000	SH	PUT	DEFINED	1	0	0	0
PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	46396	2022500	SH	CALL	DEFINED	2	0	0	0
PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	11826	515500	SH	CALL	DEFINED	1	0	0	0
PETROLOGISTICS LP	UNIT LTD PTH INT	71672U101	288	22167	SH		DEFINED	2	22167	0	0
PETROLOGISTICS LP	UNIT LTD PTH INT	71672U101	389	30000	SH	PUT	DEFINED	3	0	0	0
PETROLOGISTICS LP	UNIT LTD PTH INT	71672U101	905	69800	SH	PUT	DEFINED	2	0	0	0
PETROLOGISTICS LP	UNIT LTD PTH INT	71672U101	1016	78300	SH	CALL	DEFINED	2	0	0	0
PETROQUEST ENERGY INC	COM	716748108	71	10644	SH		DEFINED	2	10644	0	0
PETROQUEST ENERGY INC	COM	716748108	79	11800	SH	PUT	DEFINED	2	0	0	0
PETROQUEST ENERGY INC	COM	716748108	214	31900	SH	CALL	DEFINED	2	0	0	0
PETSMART INC	COM	716768106	228	3300	SH	PUT	DEFINED	1	0	0	0
PETSMART INC	COM	716768106	5429	78700	SH	PUT	DEFINED	2	0	0	0
PETSMART INC	COM	716768106	1048	15200	SH	CALL	DEFINED	1	0	0	0
PETSMART INC	COM	716768106	11306	163900	SH	CALL	DEFINED	2	0	0	0
PFIZER INC	COM	717081103	56304	2265772	SH		DEFINED	2	2265772	0	0
PFIZER INC	COM	717081103	465	18693	SH		DEFINED	1	18693	0	0
PFIZER INC	COM	717081103	651	26200	SH	PUT	DEFINED	3	0	0	0
PFIZER INC	COM	717081103	156483	6297100	SH	PUT	DEFINED	2	0	0	0
PFIZER INC	COM	717081103	15419	620500	SH	PUT	DEFINED	1	0	0	0
PFIZER INC	COM	717081103	2291	92200	SH	CALL	DEFINED	3	0	0	0
PFIZER INC	COM	717081103	126288	5082000	SH	CALL	DEFINED	2	0	0	0
PFIZER INC	COM	717081103	27887	1122200	SH	CALL	DEFINED	1	0	0	0
PG^E CORP	COM	69331C108	2261	52988	SH		DEFINED	2	52988	0	0
PG^E CORP	COM	69331C108	307	7200	SH	PUT	DEFINED	2	0	0	0
PG^E CORP	COM	69331C108	444	10400	SH	PUT	DEFINED	1	0	0	0
PG^E CORP	COM	69331C108	883	20700	SH	CALL	DEFINED	2	0	0	0
PHARMACYCLICS INC	COM	716933106	345	5344	SH		DEFINED	3	5344	0	0
PHARMACYCLICS INC	COM	716933106	205	3182	SH		DEFINED	2	3182	0	0
PHARMACYCLICS INC	COM	716933106	2709	42000	SH		DEFINED	9	42000	0	0
PHARMACYCLICS INC	COM	716933106	101433	1572600	SH	PUT	DEFINED	2	0	0	0
PHARMACYCLICS INC	COM	716933106	2232	34600	SH	PUT	DEFINED	1	0	0	0
PHARMACYCLICS INC	COM	716933106	14255	221000	SH	CALL	DEFINED	1	0	0	0
PHARMACYCLICS INC	COM	716933106	34075	528300	SH	CALL	DEFINED	2	0	0	0
PHARMATHENE INC	COM	71714G102	231	195669	SH		DEFINED	3	195669	0	0
PHARMATHENE INC	COM	71714G102	12	10457	SH		DEFINED	2	10457	0	0
PHARMERICA CORP	COM	71714F104	237	18709	SH		DEFINED	2	18709	0	0
PHH CORP	COM NEW	693320202	361	17735	SH		DEFINED	2	17735	0	0
PHH CORP	COM NEW	693320202	5897	289800	SH	PUT	DEFINED	2	0	0	0
PHH CORP	COM NEW	693320202	2489	122300	SH	CALL	DEFINED	2	0	0	0
PHILIP MORRIS INTL INC	COM	718172109	15372	170909	SH		DEFINED	1	170909	0	0
PHILIP MORRIS INTL INC	COM	718172109	54081	601304	SH		DEFINED	2	601304	0	0
PHILIP MORRIS INTL INC	COM	718172109	22269	247600	SH	PUT	DEFINED	1	0	0	0
PHILIP MORRIS INTL INC	COM	718172109	143436	1594800	SH	PUT	DEFINED	2	0	0	0
PHILIP MORRIS INTL INC	COM	718172109	71394	793800	SH	CALL	DEFINED	2	0	0	0
PHILIP MORRIS INTL INC	COM	718172109	17970	199800	SH	CALL	DEFINED	1	0	0	0
PHILIP MORRIS INTL INC	COM	718172109	971	10800	SH	CALL	DEFINED	3	0	0	0
PHILIPPINE LONG DISTANCE TEL	SPONSORED ADR	718252604	1446	21900	SH		DEFINED	9	21900	0	0
PHILLIPS 66	COM	718546104	4048	87298	SH		DEFINED	1	87298	0	0
PHILLIPS 66	COM	718546104	612	13192	SH		DEFINED	3	13192	0	0
PHILLIPS 66	COM	718546104	25691	554036	SH		DEFINED	2	554036	0	0
PHILLIPS 66	COM	718546104	16689	359900	SH	PUT	DEFINED	2	0	0	0
PHILLIPS 66	COM	718546104	3779	81500	SH	PUT	DEFINED	1	0	0	0
PHILLIPS 66	COM	718546104	17811	384100	SH	CALL	DEFINED	2	0	0	0
PHILLIPS 66	COM	718546104	9510	205100	SH	CALL	DEFINED	1	0	0	0
PHOTOMEDEX INC	COM PAR $0.01	719358301	234	16610	SH		DEFINED	2	16610	0	0
PHOTOMEDEX INC	COM PAR $0.01	719358301	217	15442	SH		DEFINED	3	15442	0	0
PHOTOMEDEX INC	COM PAR $0.01	719358301	523	37200	SH	PUT	DEFINED	2	0	0	0
PHOTOMEDEX INC	COM PAR $0.01	719358301	598	42500	SH	CALL	DEFINED	2	0	0	0
PHOTRONICS INC	COM	719405102	85	15897	SH		DEFINED	2	15897	0	0
PHOTRONICS INC	COM	719405102	61	11300	SH	CALL	DEFINED	2	0	0	0
PICO HLDGS INC	COM NEW	693366205	449	19668	SH		DEFINED	2	19668	0	0
PICO HLDGS INC	COM NEW	693366205	703	30800	SH	PUT	DEFINED	2	0	0	0
PIEDMONT NAT GAS INC	COM	720186105	1660	51109	SH		DEFINED	3	51109	0	0
PIEDMONT NAT GAS INC	COM	720186105	536	16500	SH		DEFINED	9	16500	0	0
PIEDMONT OFFICE REALTY TR IN	COM CL A	720190206	231	13348	SH		DEFINED	3	13348	0	0
PIEDMONT OFFICE REALTY TR IN	COM CL A	720190206	3221	185750	SH		DEFINED	9	185750	0	0
PIEDMONT OFFICE REALTY TR IN	COM CL A	720190206	603	34800	SH	CALL	DEFINED	2	0	0	0
PIER 1 IMPORTS INC	COM	720279108	386	20590	SH		DEFINED	2	20590	0	0
PIER 1 IMPORTS INC	COM	720279108	189	10097	SH		DEFINED	3	10097	0	0
PIER 1 IMPORTS INC	COM	720279108	549	29300	SH	PUT	DEFINED	2	0	0	0
PIER 1 IMPORTS INC	COM	720279108	1254	66900	SH	CALL	DEFINED	2	0	0	0
PILGRIMS PRIDE CORP NEW	COM	72147K108	145	28353	SH		DEFINED	3	28353	0	0
PILGRIMS PRIDE CORP NEW	COM	72147K108	485	94845	SH		DEFINED	2	94845	0	0
PILGRIMS PRIDE CORP NEW	COM	72147K108	496	97000	SH	PUT	DEFINED	2	0	0	0
PILGRIMS PRIDE CORP NEW	COM	72147K108	74	14500	SH	CALL	DEFINED	2	0	0	0
PIMCO ETF TR	1-3YR USTREIDX	72201R106	381	7460	SH		DEFINED	3	7460	0	0
PIMCO ETF TR	15+ YR US TIPS	72201R304	657	9235	SH		DEFINED	3	9235	0	0
PIMCO ETF TR	BROAD US TIPS	72201R403	744	12154	SH		DEFINED	3	12154	0	0
PIMCO ETF TR	3-7YR US TREAS	72201R601	2074	25187	SH		DEFINED	3	25187	0	0
PIMCO ETF TR	CDA BD IDX FD	72201R759	2111	19541	SH		DEFINED	3	19541	0	0
PIMCO ETF TR	TOTL RETN ETF	72201R775	12236	112498	SH		DEFINED	3	112498	0	0
PIMCO ETF TR	0-5 HIGH YIELD	72201R783	2943	28941	SH		DEFINED	3	28941	0	0
PIMCO ETF TR	GB ADV INF BD	72201R791	2979	55787	SH		DEFINED	3	55787	0	0
PIMCO ETF TR	15YR US TRS FD	72201R809	5938	54425	SH		DEFINED	3	54425	0	0
PIMCO ETF TR	INV GRD CRP BD	72201R817	4626	42601	SH		DEFINED	3	42601	0	0
PIMCO ETF TR	BLD AMER BD FD	72201R825	1451	25449	SH		DEFINED	3	25449	0	0
PIMCO ETF TR	SHTRM MUN BOND	72201R874	2745	54362	SH		DEFINED	3	54362	0	0
PIMCO ETF TR	25YR+ ZERO U S	72201R882	17013	149313	SH		DEFINED	3	149313	0	0
PINNACLE ENTMT INC	COM	723456109	127	10400	SH	CALL	DEFINED	2	0	0	0
PINNACLE FINL PARTNERS INC	COM	72346Q104	275	14238	SH		DEFINED	3	14238	0	0
PINNACLE WEST CAP CORP	COM	723484101	1797	34026	SH		DEFINED	2	34026	0	0
PIONEER ENERGY SVCS CORP	COM	723664108	617	79237	SH		DEFINED	3	79237	0	0
PIONEER NAT RES CO	COM	723787107	21015	201296	SH		DEFINED	2	201296	0	0
PIONEER NAT RES CO	COM	723787107	623	5971	SH		DEFINED	3	5971	0	0
PIONEER NAT RES CO	COM	723787107	4691	44930	SH		DEFINED	1	44930	0	0
PIONEER NAT RES CO	COM	723787107	121104	1160000	SH	PUT	DEFINED	2	0	0	0
PIONEER NAT RES CO	COM	723787107	19011	182100	SH	PUT	DEFINED	1	0	0	0
PIONEER NAT RES CO	COM	723787107	19638	188100	SH	CALL	DEFINED	1	0	0	0
PIONEER NAT RES CO	COM	723787107	152570	1461400	SH	CALL	DEFINED	2	0	0	0
PIONEER SOUTHWST ENRG PRTNR	UNIT LP INT	72388B106	240	9323	SH		DEFINED	9	9323	0	0
PIONEER SOUTHWST ENRG PRTNR	UNIT LP INT	72388B106	965	37500	SH	CALL	DEFINED	2	0	0	0
PIPER JAFFRAY COS	COM	724078100	979	38487	SH		DEFINED	2	38487	0	0
PIPER JAFFRAY COS	COM	724078100	351	13800	SH	PUT	DEFINED	2	0	0	0
PITNEY BOWES INC	COM	724479100	1409	101922	SH		DEFINED	2	101922	0	0
PITNEY BOWES INC	COM	724479100	320	23140	SH		DEFINED	1	23140	0	0
PITNEY BOWES INC	COM	724479100	1115	80700	SH	PUT	DEFINED	1	0	0	0
PITNEY BOWES INC	COM	724479100	8251	597000	SH	PUT	DEFINED	2	0	0	0
PITNEY BOWES INC	COM	724479100	3390	245300	SH	CALL	DEFINED	2	0	0	0
PITNEY BOWES INC	COM	724479100	151	10900	SH	CALL	DEFINED	1	0	0	0
PLAINS ALL AMERN PIPELINE L	UNIT LTD PARTN	726503105	1190	13488	SH		DEFINED	2	13488	0	0
PLAINS ALL AMERN PIPELINE L	UNIT LTD PARTN	726503105	1209	13703	SH		DEFINED	3	13703	0	0
PLAINS ALL AMERN PIPELINE L	UNIT LTD PARTN	726503105	14915	169100	SH	PUT	DEFINED	2	0	0	0
PLAINS ALL AMERN PIPELINE L	UNIT LTD PARTN	726503105	935	10600	SH	PUT	DEFINED	1	0	0	0
PLAINS ALL AMERN PIPELINE L	UNIT LTD PARTN	726503105	1076	12200	SH	CALL	DEFINED	1	0	0	0
PLAINS ALL AMERN PIPELINE L	UNIT LTD PARTN	726503105	26478	300200	SH	CALL	DEFINED	2	0	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	887	23673	SH		DEFINED	1	23673	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	770	20544	SH		DEFINED	2	20544	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	888	23687	SH		DEFINED	3	23687	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	914	24400	SH	PUT	DEFINED	3	0	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	8967	239300	SH	PUT	DEFINED	2	0	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	3297	88000	SH	PUT	DEFINED	1	0	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	16708	445900	SH	CALL	DEFINED	2	0	0	0
PLAINS EXPL& PRODTN CO	COM	726505100	1371	36600	SH	CALL	DEFINED	1	0	0	0
PLANTRONICS INC NEW	COM	727493108	466	13200	SH	CALL	DEFINED	2	0	0	0
PLATINUM UNDERWRITER HLDGS L	COM	G7127P100	569	13931	SH		DEFINED	2	13931	0	0
PLEXUS CORP	COM	729132100	374	12344	SH		DEFINED	2	12344	0	0
PLEXUS CORP	COM	729132100	845	27900	SH	PUT	DEFINED	2	0	0	0
PLEXUS CORP	COM	729132100	524	17300	SH	CALL	DEFINED	2	0	0	0
PLUM CREEK TIMBER CO INC	COM	729251108	1228	28012	SH		DEFINED	2	28012	0	0
PLUM CREEK TIMBER CO INC	COM	729251108	461	10521	SH		DEFINED	3	10521	0	0
PLUM CREEK TIMBER CO INC	COM	729251108	9334	212900	SH		DEFINED	9	212900	0	0
PLUM CREEK TIMBER CO INC	COM	729251108	6103	139200	SH	PUT	DEFINED	2	0	0	0
PLUM CREEK TIMBER CO INC	COM	729251108	373	8500	SH	PUT	DEFINED	1	0	0	0
PLUM CREEK TIMBER CO INC	COM	729251108	7391	168600	SH	CALL	DEFINED	2	0	0	0
PLURISTEM THERAPEUTICS INC	COM	72940R102	188	47800	SH	PUT	DEFINED	2	0	0	0
PLURISTEM THERAPEUTICS INC	COM	72940R102	808	205200	SH	CALL	DEFINED	2	0	0	0
PMC-SIERRA INC	COM	69344F106	163	28852	SH		DEFINED	3	28852	0	0
PMC-SIERRA INC	COM	69344F106	1005	178120	SH		DEFINED	2	178120	0	0
PMC-SIERRA INC	COM	69344F106	517	91700	SH	PUT	DEFINED	2	0	0	0
PMC-SIERRA INC	COM	69344F106	819	145200	SH	CALL	DEFINED	2	0	0	0
PNC FINL SVCS GROUP INC	COM	693475105	6263	99260	SH		DEFINED	2	99260	0	0
PNC FINL SVCS GROUP INC	COM	693475105	2852	45200	SH		DEFINED	9	45200	0	0
PNC FINL SVCS GROUP INC	COM	693475105	8735	138426	SH		DEFINED	1	138426	0	0
PNC FINL SVCS GROUP INC	COM	693475105	1937	30693	SH		DEFINED	3	30693	0	0
PNC FINL SVCS GROUP INC	COM	693475105	36005	570600	SH	PUT	DEFINED	2	0	0	0
PNC FINL SVCS GROUP INC	COM	693475105	10348	164000	SH	PUT	DEFINED	1	0	0	0
PNC FINL SVCS GROUP INC	COM	693475105	52146	826400	SH	CALL	DEFINED	2	0	0	0
PNC FINL SVCS GROUP INC	COM	693475105	2101	33300	SH	CALL	DEFINED	3	0	0	0
PNC FINL SVCS GROUP INC	COM	693475105	7326	116100	SH	CALL	DEFINED	1	0	0	0
PNC FINL SVCS GROUP INC	*W EXP 12/31/201	693475121	9333	876349	SH		DEFINED	"5,7"	876349	0	0
PNM RES INC	COM	69349H107	467	22200	SH		DEFINED	9	22200	0	0
POLARIS INDS INC	COM	731068102	855	10578	SH		DEFINED	3	10578	0	0
POLARIS INDS INC	COM	731068102	1334	16500	SH	PUT	DEFINED	1	0	0	0
POLARIS INDS INC	COM	731068102	13158	162700	SH	PUT	DEFINED	2	0	0	0
POLARIS INDS INC	COM	731068102	6704	82900	SH	CALL	DEFINED	2	0	0	0
POLARIS INDS INC	COM	731068102	1100	13600	SH	CALL	DEFINED	1	0	0	0
POLYCOM INC	COM	73172K104	139	14044	SH		DEFINED	3	14044	0	0
POLYCOM INC	COM	73172K104	249	25226	SH		DEFINED	1	25226	0	0
POLYCOM INC	COM	73172K104	1145	116000	SH	PUT	DEFINED	2	0	0	0
POLYCOM INC	COM	73172K104	241	24400	SH	PUT	DEFINED	1	0	0	0
POLYCOM INC	COM	73172K104	135	13700	SH	PUT	DEFINED	3	0	0	0
POLYCOM INC	COM	73172K104	586	59400	SH	CALL	DEFINED	2	0	0	0
POLYPORE INTL INC	COM	73179V103	1131	32004	SH		DEFINED	3	32004	0	0
POLYPORE INTL INC	COM	73179V103	996	28164	SH		DEFINED	2	28164	0	0
POLYPORE INTL INC	COM	73179V103	9025	255300	SH	PUT	DEFINED	3	0	0	0
POLYPORE INTL INC	COM	73179V103	2934	83000	SH	PUT	DEFINED	1	0	0	0
POLYPORE INTL INC	COM	73179V103	6815	192800	SH	PUT	DEFINED	2	0	0	0
POLYPORE INTL INC	COM	73179V103	4320	122200	SH	CALL	DEFINED	2	0	0	0
POLYPORE INTL INC	COM	73179V103	3068	86800	SH	CALL	DEFINED	1	0	0	0
POOL CORPORATION	COM	73278L105	449	10800	SH	CALL	DEFINED	2	0	0	0
POPULAR INC	COM NEW	733174700	411	23595	SH		DEFINED	2	23595	0	0
POPULAR INC	COM NEW	733174700	192	11000	SH	PUT	DEFINED	1	0	0	0
POPULAR INC	COM NEW	733174700	6205	356000	SH	PUT	DEFINED	2	0	0	0
POPULAR INC	COM NEW	733174700	974	55900	SH	CALL	DEFINED	2	0	0	0
PORTFOLIO RECOVERY ASSOCS IN	COM	73640Q105	1284	12300	SH		DEFINED	3	12300	0	0
PORTFOLIO RECOVERY ASSOCS IN	COM	73640Q105	3404	32600	SH	PUT	DEFINED	2	0	0	0
PORTFOLIO RECOVERY ASSOCS IN	COM	73640Q105	1650	15800	SH	CALL	DEFINED	2	0	0	0
PORTLAND GEN ELEC CO	COM NEW	736508847	500	18500	SH		DEFINED	9	18500	0	0
POSCO	SPONSORED ADR	693483109	10062	123400	SH	PUT	DEFINED	2	0	0	0
POSCO	SPONSORED ADR	693483109	2446	30000	SH	CALL	DEFINED	2	0	0	0
POST HLDGS INC	COM	737446104	338	11258	SH		DEFINED	3	11258	0	0
POST PPTYS INC	COM	737464107	526	10958	SH		DEFINED	3	10958	0	0
POST PPTYS INC	COM	737464107	379	7900	SH		DEFINED	9	7900	0	0
POTASH CORP SASK INC	COM	73755L107	1605	36976	SH		DEFINED	1	36976	0	0
POTASH CORP SASK INC	COM	73755L107	554	12761	SH		DEFINED	3	12761	0	0
POTASH CORP SASK INC	COM	73755L107	29765	685517	SH		DEFINED	2	685517	0	0
POTASH CORP SASK INC	COM	73755L107	86041	1981600	SH	PUT	DEFINED	2	0	0	0
POTASH CORP SASK INC	COM	73755L107	13030	300100	SH	PUT	DEFINED	1	0	0	0
POTASH CORP SASK INC	COM	73755L107	3543	81600	SH	PUT	DEFINED	3	0	0	0
POTASH CORP SASK INC	COM	73755L107	12014	276700	SH	CALL	DEFINED	1	0	0	0
POTASH CORP SASK INC	COM	73755L107	54127	1246600	SH	CALL	DEFINED	2	0	0	0
POTLATCH CORP NEW	COM	737630103	822	22000	SH	CALL	DEFINED	2	0	0	0
POWELL INDS INC	COM	739128106	445	11500	SH	CALL	DEFINED	2	0	0	0
POWER INTEGRATIONS INC	COM	739276103	456	15000	SH	CALL	DEFINED	2	0	0	0
POWER ONE INC NEW	COM	73930R102	247	44026	SH		DEFINED	1	44026	0	0
POWER ONE INC NEW	COM	73930R102	1853	330952	SH		DEFINED	2	330952	0	0
POWER ONE INC NEW	COM	73930R102	1362	243200	SH	PUT	DEFINED	2	0	0	0
POWER ONE INC NEW	COM	73930R102	66	11800	SH	PUT	DEFINED	3	0	0	0
POWER ONE INC NEW	COM	73930R102	116	20800	SH	PUT	DEFINED	1	0	0	0
POWER ONE INC NEW	COM	73930R102	446	79600	SH	CALL	DEFINED	2	0	0	0
POWERSECURE INTL INC	COM	73936N105	87	14589	SH		DEFINED	2	14589	0	0
POWERSECURE INTL INC	COM	73936N105	275	45860	SH		DEFINED	3	45860	0	0
POWERSECURE INTL INC	COM	73936N105	706	117800	SH	PUT	DEFINED	2	0	0	0
POWERSHARES ACTIVE MNG ETF T	MEGA CAP PORT	73935B300	1292	43393	SH		DEFINED	2	43393	0	0
POWERSHARES ACTIVE MNG ETF T	LOW DURAT PORT	73935B409	675	26618	SH		DEFINED	3	26618	0	0
POWERSHARES ACTIVE MNG ETF T	US REAL EST FD	73935B508	1173	20860	SH		DEFINED	3	20860	0	0
POWERSHARES ACTIVE MNG ETF T	US REAL EST FD	73935B508	1667	29663	SH		DEFINED	2	29663	0	0
POWERSHARES DB CMDTY IDX TRA	UNIT BEN INT	73935S105	1595	55600	SH	PUT	DEFINED	2	0	0	0
POWERSHARES DB CMDTY IDX TRA	UNIT BEN INT	73935S105	1428	49800	SH	CALL	DEFINED	2	0	0	0
POWERSHARES DB G10 CURCY HAR	COM UT BEN INT	73935Y102	351	13833	SH		DEFINED	3	13833	0	0
POWERSHARES ETF TR II	GLB NUCLR ENRG	73937B100	2156	135347	SH		DEFINED	2	135347	0	0
POWERSHARES ETF TR II	GLB NUCLR ENRG	73937B100	272	17103	SH		DEFINED	3	17103	0	0
POWERSHARES ETF TR II	EMRG MKTS INFR	73937B209	1849	47229	SH		DEFINED	2	47229	0	0
POWERSHARES ETF TR II	GLBL WIND ENRG	73937B308	203	36293	SH		DEFINED	2	36293	0	0
POWERSHARES ETF TR II	GLBL WIND ENRG	73937B308	110	19690	SH		DEFINED	3	19690	0	0
POWERSHARES ETF TR II	S^P SMCP C DIS	73937B506	985	29755	SH		DEFINED	2	29755	0	0
POWERSHARES ETF TR II	S^P SMCP CONSU	73937B605	1403	38960	SH		DEFINED	2	38960	0	0
POWERSHARES ETF TR II	EM MRK LOW VOL	73937B662	2852	104880	SH		DEFINED	2	104880	0	0
POWERSHARES ETF TR II	S^P EMRGHIBETA	73937B670	1487	70664	SH		DEFINED	3	70664	0	0
POWERSHARES ETF TR II	INTL DEV LOWVL	73937B688	4081	144394	SH		DEFINED	2	144394	0	0
POWERSHARES ETF TR II	S^P INTDEV HIB	73937B696	286	12991	SH		DEFINED	3	12991	0	0
POWERSHARES ETF TR II	S^P SMCP ENE P	73937B704	1049	30440	SH		DEFINED	2	30440	0	0
POWERSHARES ETF TR II	KBW INS PORT	73937B720	388	9411	SH		DEFINED	3	9411	0	0
POWERSHARES ETF TR II	KBW CP MKT PRT	73937B738	602	19441	SH		DEFINED	3	19441	0	0
POWERSHARES ETF TR II	KBW BK PORT	73937B746	326	12856	SH		DEFINED	2	12856	0	0
POWERSHARES ETF TR II	ASIA PAC BD PR	73937B753	405	16723	SH		DEFINED	3	16723	0	0
POWERSHARES ETF TR II	S^P500 LOW VOL	73937B779	60287	2140126	SH		DEFINED	3	2140126	0	0
POWERSHARES ETF TR II	S^P SMCP FIN P	73937B803	1565	50616	SH		DEFINED	3	50616	0	0
POWERSHARES ETF TR II	S^P500 HGH BET	73937B829	3649	176432	SH		DEFINED	2	176432	0	0
POWERSHARES ETF TR II	S^P SMCP UTI P	73937B837	1913	59625	SH		DEFINED	2	59625	0	0
POWERSHARES ETF TR II	S^P SMCP MAT P	73937B852	345	11392	SH		DEFINED	2	11392	0	0
POWERSHARES ETF TR II	S^P SMCP IT PO	73937B860	1525	50439	SH		DEFINED	2	50439	0	0
POWERSHARES ETF TR II	S^P SMCP IND P	73937B878	338	11169	SH		DEFINED	3	11169	0	0
POWERSHARES ETF TR II	S^P SMCP IND P	73937B878	1581	52240	SH		DEFINED	2	52240	0	0
POWERSHARES ETF TR II	S^P SMCP HC PO	73937B886	752	20452	SH		DEFINED	2	20452	0	0
POWERSHARES ETF TRUST	DYNAMIC MKT PT	73935X104	995	20577	SH		DEFINED	2	20577	0	0
POWERSHARES ETF TRUST	NASD INTNT ETF	73935X146	256	6089	SH		DEFINED	3	6089	0	0
POWERSHARES ETF TRUST	NASD INTNT ETF	73935X146	233	5538	SH		DEFINED	2	5538	0	0
POWERSHARES ETF TRUST	DWA TECH LDRS	73935X153	3652	132560	SH		DEFINED	2	132560	0	0
POWERSHARES ETF TRUST	WILDERHILL PRO	73935X161	496	19870	SH		DEFINED	3	19870	0	0
POWERSHARES ETF TRUST	STOCKINVST CORE	73935X179	555	24037	SH		DEFINED	3	24037	0	0
POWERSHARES ETF TRUST	STOCKINVST CORE	73935X179	1033	44742	SH		DEFINED	2	44742	0	0
POWERSHARES ETF TRUST	GBL LSTD PVT EQT	73935X195	999	105852	SH		DEFINED	2	105852	0	0
POWERSHARES ETF TRUST	DYNAMIC OTC PT	73935X203	760	15514	SH		DEFINED	3	15514	0	0
POWERSHARES ETF TRUST	DYNAMIC OTC PT	73935X203	878	17932	SH		DEFINED	2	17932	0	0
POWERSHARES ETF TRUST	FINL PFD PTFL	73935X229	677	36683	SH		DEFINED	2	36683	0	0
POWERSHARES ETF TRUST	CLEANTECH PORT	73935X278	1813	83682	SH		DEFINED	2	83682	0	0
POWERSHARES ETF TRUST	CLEANTECH PORT	73935X278	521	24053	SH		DEFINED	3	24053	0	0
POWERSHARES ETF TRUST	DYNA BUYBK ACH	73935X286	3682	122964	SH		DEFINED	2	122964	0	0
POWERSHARES ETF TRUST	HI YLD EQ DVDN	73935X302	2748	283889	SH		DEFINED	3	283889	0	0
POWERSHARES ETF TRUST	BNKING SEC POR	73935X336	1204	85939	SH		DEFINED	3	85939	0	0
POWERSHARES ETF TRUST	TECH SECT PORT	73935X344	881	33117	SH		DEFINED	3	33117	0	0
POWERSHARES ETF TRUST	HLTHCR SEC POR	73935X351	1458	42796	SH		DEFINED	2	42796	0	0
POWERSHARES ETF TRUST	INDL SECT PORT	73935X369	1547	52524	SH		DEFINED	3	52524	0	0
POWERSHARES ETF TRUST	ENERGY SEC POR	73935X385	1425	33650	SH		DEFINED	2	33650	0	0
POWERSHARES ETF TRUST	CON STAPLE SEC	73935X393	354	10493	SH		DEFINED	3	10493	0	0
POWERSHARES ETF TRUST	CON STAPLE SEC	73935X393	1315	39008	SH		DEFINED	2	39008	0	0
POWERSHARES ETF TRUST	GOLDEN DRG CHINA	73935X401	344	18178	SH		DEFINED	3	18178	0	0
POWERSHARES ETF TRUST	CON DISCRE SEC	73935X419	3426	114187	SH		DEFINED	2	114187	0	0
POWERSHARES ETF TRUST	BASIC MAT SECT	73935X427	2756	72162	SH		DEFINED	2	72162	0	0
POWERSHARES ETF TRUST	FND PUR SMLCR PT	73935X435	1522	63312	SH		DEFINED	2	63312	0	0
POWERSHARES ETF TRUST	FND PUR SMLCR PT	73935X435	357	14844	SH		DEFINED	3	14844	0	0
POWERSHARES ETF TRUST	FND PUR MIDCR PT	73935X443	589	22358	SH		DEFINED	3	22358	0	0
POWERSHARES ETF TRUST	FND PUR MIDCR PT	73935X443	376	14268	SH		DEFINED	2	14268	0	0
POWERSHARES ETF TRUST	FND PUR LRGCR PT	73935X450	1474	54163	SH		DEFINED	2	54163	0	0
POWERSHARES ETF TRUST	WNDRHLL CLN EN	73935X500	1348	324830	SH		DEFINED	3	324830	0	0
POWERSHARES ETF TRUST	WNDRHLL CLN EN	73935X500	49	11700	SH	CALL	DEFINED	2	0	0	0
POWERSHARES ETF TRUST	FTSE US1500 SM	73935X567	2743	40506	SH		DEFINED	2	40506	0	0
POWERSHARES ETF TRUST	WATER RESOURCE	73935X575	760	39019	SH		DEFINED	2	39019	0	0
POWERSHARES ETF TRUST	WATER RESOURCE	73935X575	390	20000	SH	PUT	DEFINED	1	0	0	0
POWERSHARES ETF TRUST	WATER RESOURCE	73935X575	481	24700	SH	PUT	DEFINED	2	0	0	0
POWERSHARES ETF TRUST	FTSE RAFI 1000	73935X583	2006	32600	SH		DEFINED	3	32600	0	0
POWERSHARES ETF TRUST	DYN UTIL PORTF	73935X591	1025	57676	SH		DEFINED	3	57676	0	0
POWERSHARES ETF TRUST	DYNM LRG CP GR	73935X609	4130	217827	SH		DEFINED	3	217827	0	0
POWERSHARES ETF TRUST	DYN RETAIL PTF	73935X617	527	20893	SH		DEFINED	2	20893	0	0
POWERSHARES ETF TRUST	DYN RETAIL PTF	73935X617	264	10458	SH		DEFINED	3	10458	0	0
POWERSHARES ETF TRUST	DYN OIL SVCS	73935X625	831	41162	SH		DEFINED	2	41162	0	0
POWERSHARES ETF TRUST	LX NANOTCH PTF	73935X633	234	37481	SH		DEFINED	2	37481	0	0
POWERSHARES ETF TRUST	LX NANOTCH PTF	73935X633	244	39029	SH		DEFINED	3	39029	0	0
POWERSHARES ETF TRUST	DYN INS PTF	73935X641	1671	98849	SH		DEFINED	3	98849	0	0
POWERSHARES ETF TRUST	DYN EN EX PROD	73935X658	740	27525	SH		DEFINED	2	27525	0	0
POWERSHARES ETF TRUST	DYN BLDG CNSTR	73935X666	233	14793	SH		DEFINED	2	14793	0	0
POWERSHARES ETF TRUST	S^P 500 HGH QLTY	73935X682	272	17372	SH		DEFINED	3	17372	0	0
POWERSHARES ETF TRUST	S^P 500 HGH QLTY	73935X682	1383	88274	SH		DEFINED	2	88274	0	0
POWERSHARES ETF TRUST	AERSPC DEF PTF	73935X690	440	22149	SH		DEFINED	3	22149	0	0
POWERSHARES ETF TRUST	AERSPC DEF PTF	73935X690	725	36444	SH		DEFINED	2	36444	0	0
POWERSHARES ETF TRUST	DYNM LRG CP VL	73935X708	4966	227389	SH		DEFINED	2	227389	0	0
POWERSHARES ETF TRUST	INTL DIV ACHV	73935X716	1033	68041	SH		DEFINED	2	68041	0	0
POWERSHARES ETF TRUST	DIV ACHV PRTF	73935X732	7949	481235	SH		DEFINED	2	481235	0	0
POWERSHARES ETF TRUST	ZACKS MC PRTFL	73935X740	770	65879	SH		DEFINED	3	65879	0	0
POWERSHARES ETF TRUST	ZACKS MC PRTFL	73935X740	149	12743	SH		DEFINED	2	12743	0	0
POWERSHARES ETF TRUST	DYN LSR & ENT	73935X757	1517	66376	SH		DEFINED	2	66376	0	0
POWERSHARES ETF TRUST	DYN SFTWR PORT	73935X773	1269	45748	SH		DEFINED	2	45748	0	0
POWERSHARES ETF TRUST	DYN SEMCT PORT	73935X781	383	27621	SH		DEFINED	2	27621	0	0
POWERSHARES ETF TRUST	FND PR MIDGRT PT	73935X807	531	23833	SH		DEFINED	3	23833	0	0
POWERSHARES ETF TRUST	DYN MEDIA PORT	73935X823	1226	74028	SH		DEFINED	2	74028	0	0
POWERSHARES ETF TRUST	DYN FD & BEV	73935X849	257	12726	SH		DEFINED	3	12726	0	0
POWERSHARES ETF TRUST	DYN FD & BEV	73935X849	744	36869	SH		DEFINED	2	36869	0	0
POWERSHARES ETF TRUST	DYN BIOT & GEN	73935X856	1248	51644	SH		DEFINED	3	51644	0	0
POWERSHARES ETF TRUST	FND PUR SMVAL PT	73935X864	992	58765	SH		DEFINED	2	58765	0	0
POWERSHARES ETF TRUST	FND PUR SMGRT PT	73935X872	940	53081	SH		DEFINED	2	53081	0	0
POWERSHARES ETF TRUST	FND PUR SMGRT PT	73935X872	746	42137	SH		DEFINED	3	42137	0	0
POWERSHARES ETF TRUST	FND PUR MDVAL PT	73935X880	998	57550	SH		DEFINED	2	57550	0	0
POWERSHARES ETF TRUST	FND PUR MDVAL PT	73935X880	565	32590	SH		DEFINED	3	32590	0	0
POWERSHARES ETF TRUST II	DWA DEVEL MKTS	73936Q108	3602	188976	SH		DEFINED	2	188976	0	0
POWERSHARES ETF TRUST II	DWA EMRG MKTS	73936Q207	700	40582	SH		DEFINED	2	40582	0	0
POWERSHARES ETF TRUST II	DWA EMRG MKTS	73936Q207	904	52366	SH		DEFINED	3	52366	0	0
POWERSHARES ETF TRUST II	GLOBL AGRI ETF	73936Q702	489	16306	SH		DEFINED	2	16306	0	0
POWERSHARES ETF TRUST II	DWA SC TECHLDR	73936Q744	11303	426375	SH		DEFINED	2	426375	0	0
POWERSHARES ETF TRUST II	PRP CAS INS PT	73936Q777	673	23097	SH		DEFINED	3	23097	0	0
POWERSHARES ETF TRUST II	KBW HG YLD FIN	73936Q793	635	26029	SH		DEFINED	3	26029	0	0
POWERSHARES ETF TRUST II	KBW YIELD REIT	73936Q819	3878	143634	SH		DEFINED	2	143634	0	0
POWERSHARES ETF TRUST II	GLOBAL STL ETF	73936Q868	281	21787	SH		DEFINED	2	21787	0	0
POWERSHARES EXCHANGE TRADED	LARGE GROWTH	739371102	390	16716	SH		DEFINED	2	16716	0	0
POWERSHARES EXCHANGE TRADED	LARGE VALUE	739371201	1436	67606	SH		DEFINED	2	67606	0	0
POWERSHARES GLOBAL ETF FD	S^P 500 BUYWRT	73936G308	17327	832210	SH		DEFINED	2	832210	0	0
POWERSHARES GLOBAL ETF FD	S^P 500 BUYWRT	73936G308	230	11049	SH		DEFINED	3	11049	0	0
POWERSHARES GLOBAL ETF TRUST	NY MUNI BD ETF	73936T458	247	9957	SH		DEFINED	3	9957	0	0
POWERSHARES GLOBAL ETF TRUST	I-30 LAD TREAS	73936T524	1339	40390	SH		DEFINED	3	40390	0	0
POWERSHARES GLOBAL ETF TRUST	FDM HG YLD RAFI	73936T557	32398	1699790	SH		DEFINED	3	1699790	0	0
POWERSHARES GLOBAL ETF TRUST	SOVEREIGN DEBT	73936T573	436	14196	SH		DEFINED	3	14196	0	0
POWERSHARES GLOBAL ETF TRUST	GBL CLEAN ENER	73936T615	1298	170512	SH		DEFINED	2	170512	0	0
POWERSHARES GLOBAL ETF TRUST	GBL CLEAN ENER	73936T615	289	37929	SH		DEFINED	3	37929	0	0
POWERSHARES GLOBAL ETF TRUST	GBL WTR PORT	73936T623	2686	155279	SH		DEFINED	3	155279	0	0
POWERSHARES GLOBAL ETF TRUST	GBL WTR PORT	73936T623	1724	99646	SH		DEFINED	2	99646	0	0
POWERSHARES GLOBAL ETF TRUST	EMER MRKT PORT	73936T763	1875	87903	SH		DEFINED	3	87903	0	0
POWERSHARES GLOBAL ETF TRUST	EX US SML PORT	73936T771	204	9289	SH		DEFINED	3	9289	0	0
POWERSHARES GLOBAL ETF TRUST	EX US SML PORT	73936T771	1751	79758	SH		DEFINED	2	79758	0	0
POWERSHARES GLOBAL ETF TRUST	DEV MKTS EX-US	73936T789	813	24139	SH		DEFINED	3	24139	0	0
POWERSHARES GLOBAL ETF TRUST	DYN DEVINTLOPP	73936T805	2028	121047	SH		DEFINED	2	121047	0	0
POWERSHARES GLOBAL ETF TRUST	ASIA PAC EX-JP	73936T854	2711	51058	SH		DEFINED	2	51058	0	0
POWERSHARES INDIA ETF TR	INDIA PORT	73935L100	1224	65210	SH		DEFINED	3	65210	0	0
POWERSHARES INDIA ETF TR	INDIA PORT	73935L100	2820	150241	SH		DEFINED	2	150241	0	0
POWERSHARES INDIA ETF TR	INDIA PORT	73935L100	409	21800	SH	CALL	DEFINED	2	0	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	105020	1531347	SH		DEFINED	1	1531347	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	946	13800	SH		DEFINED	"5,7"	13800	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	264920	3862931	SH		DEFINED	2	3862931	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	113603	1656500	SH		DEFINED	3	1656500	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	462476	6743600	SH	PUT	DEFINED	2	0	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	252320	3679200	SH	PUT	DEFINED	1	0	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	195336	2848300	SH	CALL	DEFINED	1	0	0	0
POWERSHARES QQQ TRUST	UNIT SER 1	73935A104	349216	5092100	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB ENERGY FUND	73936B101	259	9100	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB ENERGY FUND	73936B101	327	11500	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB PREC MTLS	73936B200	435	7053	SH		DEFINED	3	7053	0	0
POWERSHS DB MULTI SECT COMM	DB PREC MTLS	73936B200	358	5800	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB PREC MTLS	73936B200	1831	29700	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB SILVER FUND	73936B309	2766	46280	SH		DEFINED	3	46280	0	0
POWERSHS DB MULTI SECT COMM	DB SILVER FUND	73936B309	365	6100	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB SILVER FUND	73936B309	251	4200	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	PS DB AGRICUL FD	73936B408	1831	62269	SH		DEFINED	3	62269	0	0
POWERSHS DB MULTI SECT COMM	PS DB AGRICUL FD	73936B408	479	16300	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	PS DB AGRICUL FD	73936B408	1356	46100	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB OIL FUND	73936B507	629	24100	SH	PUT	DEFINED	1	0	0	0
POWERSHS DB MULTI SECT COMM	DB OIL FUND	73936B507	2188	83800	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB OIL FUND	73936B507	4807	184100	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB OIL FUND	73936B507	700	26800	SH	CALL	DEFINED	1	0	0	0
POWERSHS DB MULTI SECT COMM	DB GOLD FUND	73936B606	417	6827	SH		DEFINED	3	6827	0	0
POWERSHS DB MULTI SECT COMM	DB GOLD FUND	73936B606	849	13900	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB MULTI SECT COMM	DB GOLD FUND	73936B606	1075	17600	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB US DOLLAR INDEX	DOLL INDX BULL	73936D107	2090	95350	SH		DEFINED	3	95350	0	0
POWERSHS DB US DOLLAR INDEX	DOLL INDX BULL	73936D107	59699	2723500	SH	PUT	DEFINED	2	0	0	0
POWERSHS DB US DOLLAR INDEX	DOLL INDX BULL	73936D107	16002	730000	SH	CALL	DEFINED	2	0	0	0
POWERSHS DB US DOLLAR INDEX	DOLL INDX BEAR	73936D206	985	36263	SH		DEFINED	3	36263	0	0
POWERWAVE TECHNOLOGIES INC	COM NEW	739363307	139	228299	SH		DEFINED	3	228299	0	0
POZEN INC	COM	73941U102	260	39160	SH		DEFINED	2	39160	0	0
POZEN INC	COM	73941U102	214	32300	SH	CALL	DEFINED	2	0	0	0
PPG INDS INC	COM	693506107	27263	237400	SH		DEFINED	9	237400	0	0
PPG INDS INC	COM	693506107	4047	35236	SH		DEFINED	2	35236	0	0
PPG INDS INC	COM	693506107	1065	9270	SH		DEFINED	3	9270	0	0
PPG INDS INC	COM	693506107	13488	117453	SH		DEFINED	"5,7"	117453	0	0
PPG INDS INC	COM	693506107	14160	123300	SH	PUT	DEFINED	2	0	0	0
PPG INDS INC	COM	693506107	965	8400	SH	PUT	DEFINED	1	0	0	0
PPG INDS INC	COM	693506107	19167	166900	SH	CALL	DEFINED	2	0	0	0
PPG INDS INC	COM	693506107	494	4300	SH	CALL	DEFINED	3	0	0	0
PPL CORP	COM	69351T106	1820	62662	SH		DEFINED	2	62662	0	0
PPL CORP	COM	69351T106	304	10460	SH		DEFINED	3	10460	0	0
PPL CORP	COM	69351T106	3021	104000	SH	PUT	DEFINED	2	0	0	0
PPL CORP	COM	69351T106	18023	620400	SH	CALL	DEFINED	2	0	0	0
PRAXAIR INC	COM	74005P104	2587	24905	SH		DEFINED	2	24905	0	0
PRAXAIR INC	COM	74005P104	353	3400	SH	PUT	DEFINED	1	0	0	0
PRAXAIR INC	COM	74005P104	20464	197000	SH	PUT	DEFINED	2	0	0	0
PRAXAIR INC	COM	74005P104	12486	120200	SH	CALL	DEFINED	2	0	0	0
PRECIDIAN ETFS TR	MAXIS NIKKEI	74016W106	140	10290	SH		DEFINED	3	10290	0	0
PRECISION CASTPARTS CORP	COM	740189105	1701	10416	SH		DEFINED	2	10416	0	0
PRECISION CASTPARTS CORP	COM	740189105	849	5200	SH	PUT	DEFINED	1	0	0	0
PRECISION CASTPARTS CORP	COM	740189105	22737	139200	SH	PUT	DEFINED	2	0	0	0
PRECISION CASTPARTS CORP	COM	740189105	11695	71600	SH	CALL	DEFINED	2	0	0	0
PRECISION CASTPARTS CORP	COM	740189105	343	2100	SH	CALL	DEFINED	1	0	0	0
PRECISION DRILLING CORP	COM 2010	74022D308	132	16821	SH		DEFINED	2	16821	0	0
PRECISION DRILLING CORP	COM 2010	74022D308	103	13100	SH		DEFINED	"5,7"	13100	0	0
PRECISION DRILLING CORP	COM 2010	74022D308	474	60400	SH	PUT	DEFINED	2	0	0	0
PRECISION DRILLING CORP	COM 2010	74022D308	717	91400	SH	CALL	DEFINED	2	0	0	0
PRESTIGE BRANDS HLDGS INC	COM	74112D101	207	12212	SH		DEFINED	3	12212	0	0
PRICE T ROWE GROUP INC	COM	74144T108	1628	25721	SH		DEFINED	2	25721	0	0
PRICE T ROWE GROUP INC	COM	74144T108	863	13626	SH		DEFINED	3	13626	0	0
PRICE T ROWE GROUP INC	COM	74144T108	5134	81100	SH	PUT	DEFINED	2	0	0	0
PRICE T ROWE GROUP INC	COM	74144T108	456	7200	SH	CALL	DEFINED	1	0	0	0
PRICE T ROWE GROUP INC	COM	74144T108	29365	463900	SH	CALL	DEFINED	2	0	0	0
PRICELINE COM INC	COM NEW	741503403	12622	20400	SH		DEFINED	1	20400	0	0
PRICELINE COM INC	COM NEW	741503403	145852	235728	SH		DEFINED	2	235728	0	0
PRICELINE COM INC	COM NEW	741503403	5462	8828	SH		DEFINED	3	8828	0	0
PRICELINE COM INC	COM NEW	741503403	387139	625700	SH	PUT	DEFINED	2	0	0	0
PRICELINE COM INC	COM NEW	741503403	1547	2500	SH	PUT	DEFINED	3	0	0	0
PRICELINE COM INC	COM NEW	741503403	118672	191800	SH	PUT	DEFINED	1	0	0	0
PRICELINE COM INC	COM NEW	741503403	278800	450600	SH	CALL	DEFINED	2	0	0	0
PRICELINE COM INC	COM NEW	741503403	139091	224800	SH	CALL	DEFINED	1	0	0	0
PRICESMART INC	COM	741511109	1522	20100	SH	PUT	DEFINED	2	0	0	0
PRICESMART INC	COM	741511109	3688	48700	SH	CALL	DEFINED	2	0	0	0
PRIMEENERGY CORP	COM	74158E104	218	7776	SH		DEFINED	3	7776	0	0
PRIMO WTR CORP	COM	74165N105	22	21291	SH		DEFINED	3	21291	0	0
PRIMUS TELECOMMUNICATIONS GR	COM	741929301	458	30000	SH		DEFINED	"5,7"	30000	0	0
PRINCIPAL FINL GROUP INC	COM	74251V102	1311	48657	SH		DEFINED	3	48657	0	0
PRINCIPAL FINL GROUP INC	COM	74251V102	752	27900	SH		DEFINED	2	27900	0	0
PRINCIPAL FINL GROUP INC	COM	74251V102	13703	508650	SH		DEFINED	9	508650	0	0
PRINCIPAL FINL GROUP INC	COM	74251V102	1603	59500	SH	PUT	DEFINED	2	0	0	0
PRINCIPAL FINL GROUP INC	COM	74251V102	3429	127300	SH	CALL	DEFINED	2	0	0	0
PRIVATEBANCORP INC	COM	742962103	247	15472	SH		DEFINED	3	15472	0	0
PRIVATEBANCORP INC	COM	742962103	1310	81900	SH		DEFINED	9	81900	0	0
PROASSURANCE CORP	COM	74267C106	718	7944	SH		DEFINED	3	7944	0	0
PROCERA NETWORKS INC	COM NEW	74269U203	293	12472	SH		DEFINED	2	12472	0	0
PROCERA NETWORKS INC	COM NEW	74269U203	1130	48100	SH	PUT	DEFINED	2	0	0	0
PROCERA NETWORKS INC	COM NEW	74269U203	1511	64300	SH	CALL	DEFINED	2	0	0	0
PROCTER & GAMBLE CO	COM	742718109	36735	529621	SH		DEFINED	2	529621	0	0
PROCTER & GAMBLE CO	COM	742718109	6593	95051	SH		DEFINED	1	95051	0	0
PROCTER & GAMBLE CO	COM	742718109	28951	417400	SH	PUT	DEFINED	1	0	0	0
PROCTER & GAMBLE CO	COM	742718109	194798	2808500	SH	PUT	DEFINED	2	0	0	0
PROCTER & GAMBLE CO	COM	742718109	6998	100900	SH	PUT	DEFINED	3	0	0	0
PROCTER & GAMBLE CO	COM	742718109	356795	5144100	SH	CALL	DEFINED	2	0	0	0
PROCTER & GAMBLE CO	COM	742718109	29457	424700	SH	CALL	DEFINED	3	0	0	0
PROCTER & GAMBLE CO	COM	742718109	36574	527300	SH	CALL	DEFINED	1	0	0	0
PROGENICS PHARMACEUTICALS IN	COM	743187106	109	38071	SH		DEFINED	3	38071	0	0
PROGRESS SOFTWARE CORP	COM	743312100	340	15874	SH		DEFINED	2	15874	0	0
PROGRESS SOFTWARE CORP	COM	743312100	214	10000	SH	PUT	DEFINED	3	0	0	0
PROGRESSIVE CORP OHIO	COM	743315103	1439	69396	SH		DEFINED	2	69396	0	0
PROGRESSIVE CORP OHIO	COM	743315103	1735	83658	SH		DEFINED	3	83658	0	0
PROGRESSIVE CORP OHIO	COM	743315103	529	25500	SH	PUT	DEFINED	2	0	0	0
PROGRESSIVE CORP OHIO	COM	743315103	923	44500	SH	CALL	DEFINED	2	0	0	0
PROLOGIS INC	COM	74340W103	1652	47156	SH		DEFINED	2	47156	0	0
PROLOGIS INC	COM	74340W103	1495	42690	SH		DEFINED	3	42690	0	0
PROLOGIS INC	COM	74340W103	5980	170700	SH	PUT	DEFINED	2	0	0	0
PROLOGIS INC	COM	74340W103	15742	449400	SH	CALL	DEFINED	2	0	0	0
PROMOTORA DE INFORMACIONES S	ADR CL A SHS	74343G204	29	15111	SH		DEFINED	"5,7"	15111	0	0
PROMOTORA DE INFORMACIONES S	ADR CL B CONV	74343G303	184	86354	SH		DEFINED	"5,7"	86354	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	26559	433832	SH		DEFINED	3	433832	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	23931	390900	SH		DEFINED	2	390900	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	3490	57000	SH		DEFINED	1	57000	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	18293	298800	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	5473	89400	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	45205	738400	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULT S^P 500	74347R107	9918	162000	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	SHT INV GRD CP	74347R123	925	28078	SH		DEFINED	3	28078	0	0
PROSHARES TR	SHRT HGH YIELD	74347R131	796	23795	SH		DEFINED	3	23795	0	0
PROSHARES TR	ULTRA 20YR TRE	74347R172	2201	30440	SH		DEFINED	2	30440	0	0
PROSHARES TR	ULTRA 20YR TRE	74347R172	1518	21000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTRA 20YR TRE	74347R172	3029	41900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	ULTR 7-10 TREA	74347R180	2344	40811	SH		DEFINED	3	40811	0	0
PROSHARES TR	PSHS ULSH NA B	74347R198	883	55522	SH		DEFINED	2	55522	0	0
PROSHARES TR	PSHS ULTRA QQQ	74347R206	392	6452	SH		DEFINED	3	6452	0	0
PROSHARES TR	PSHS ULTRA QQQ	74347R206	19204	315700	SH		DEFINED	2	315700	0	0
PROSHARES TR	PSHS ULTRA QQQ	74347R206	6856	112700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA QQQ	74347R206	28596	470100	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTRA QQQ	74347R206	14599	240000	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA QQQ	74347R206	4775	78500	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULT NASB	74347R214	5467	43157	SH		DEFINED	2	43157	0	0
PROSHARES TR	PSHS SHT OIL^GAS	74347R222	260	8283	SH		DEFINED	2	8283	0	0
PROSHARES TR	PSHS SHTFINL ETF	74347R230	5184	172293	SH		DEFINED	3	172293	0	0
PROSHARES TR	PSHS SHTFINL ETF	74347R230	1751	58200	SH		DEFINED	1	58200	0	0
PROSHARES TR	PSHS CS 130/30	74347R248	2781	41958	SH		DEFINED	3	41958	0	0
PROSHARES TR	PSHS UL TELE ETF	74347R263	2631	40012	SH		DEFINED	2	40012	0	0
PROSHARES TR	PSHS ULTSH 20YRS	74347R297	26460	1697263	SH		DEFINED	2	1697263	0	0
PROSHARES TR	PSHS ULTSH 20YRS	74347R297	64047	4108200	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTSH 20YRS	74347R297	16016	1027300	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTSH 20YRS	74347R297	3291	211100	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTSH 20YRS	74347R297	28294	1814900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA DOW30	74347R305	913	12378	SH		DEFINED	3	12378	0	0
PROSHARES TR	PSHS ULTRA DOW30	74347R305	1829	24800	SH		DEFINED	2	24800	0	0
PROSHARES TR	PSHS ULTRA DOW30	74347R305	3075	41700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA DOW30	74347R305	2131	28900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA DOW30	74347R305	428	5800	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULSHT 7-10Y	74347R313	406	14758	SH		DEFINED	3	14758	0	0
PROSHARES TR	PSHS ULSHT 7-10Y	74347R313	346	12567	SH		DEFINED	2	12567	0	0
PROSHARES TR	PSHS ULT SH MSCI	74347R339	2772	140424	SH		DEFINED	3	140424	0	0
PROSHARES TR	PSHS SH MSCI EAF	74347R370	504	11102	SH		DEFINED	2	11102	0	0
PROSHARES TR	PSHS SH MSCI EMR	74347R396	742	25582	SH		DEFINED	2	25582	0	0
PROSHARES TR	PSHS SH MSCI EMR	74347R396	396	13636	SH		DEFINED	3	13636	0	0
PROSHARES TR	PSHS ULT MCAP400	74347R404	1270	18252	SH		DEFINED	3	18252	0	0
PROSHARES TR	PSHS ULT MCAP400	74347R404	2590	37233	SH		DEFINED	2	37233	0	0
PROSHARES TR	PSHS ULSH1000 VA	74347R453	1068	53368	SH		DEFINED	2	53368	0	0
PROSHARES TR	PSHS ULT2000 VAL	74347R479	677	21431	SH		DEFINED	2	21431	0	0
PROSHARES TR	PSHS ULT2000 VAL	74347R479	2319	73385	SH		DEFINED	3	73385	0	0
PROSHARES TR	PSHS ULT 2000 GR	74347R487	3589	72035	SH		DEFINED	3	72035	0	0
PROSHARES TR	PSHS ULT 2000 GR	74347R487	2210	44368	SH		DEFINED	2	44368	0	0
PROSHARES TR	PSHS ULT MCP VAL	74347R495	534	13161	SH		DEFINED	3	13161	0	0
PROSHARES TR	PSHS ULT MCP VAL	74347R495	1908	47075	SH		DEFINED	2	47075	0	0
PROSHARES TR	PSHS SHRT S^P500	74347R503	3371	98900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS SHRT S^P500	74347R503	4737	139000	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULT MDCP GR	74347R511	509	9609	SH		DEFINED	3	9609	0	0
PROSHARES TR	PSHS ULT1000 VAL	74347R529	222	6325	SH		DEFINED	3	6325	0	0
PROSHARES TR	PSHS ULT1000 VAL	74347R529	393	11193	SH		DEFINED	2	11193	0	0
PROSHARES TR	PSHS ULT1000 GRW	74347R537	530	8022	SH		DEFINED	3	8022	0	0
PROSHARES TR	PSHS ULT1000 GRW	74347R537	3550	53750	SH		DEFINED	2	53750	0	0
PROSHARES TR	PSHS SHORT QQQ	74347R602	485	19700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS HLTH CARE	74347R610	508	36631	SH		DEFINED	2	36631	0	0
PROSHARES TR	PSHS CONSUMR GD	74347R644	281	17221	SH		DEFINED	3	17221	0	0
PROSHARES TR	PSHS ULT SEMICDT	74347R669	1442	47188	SH		DEFINED	2	47188	0	0
PROSHARES TR	PSHS ULT SEMICDT	74347R669	220	7200	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULT SEMICDT	74347R669	217	7100	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA UTIL	74347R685	458	7847	SH		DEFINED	2	7847	0	0
PROSHARES TR	PSHS ULTRA UTIL	74347R685	873	14943	SH		DEFINED	3	14943	0	0
PROSHARES TR	PSHS ULTRA TECH	74347R693	515	6333	SH		DEFINED	2	6333	0	0
PROSHARES TR	PSHS ULTRA TECH	74347R693	879	10800	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA TECH	74347R693	838	10300	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS SHORT DOW30	74347R701	462	13581	SH		DEFINED	3	13581	0	0
PROSHARES TR	PSHS SHORT DOW30	74347R701	214	6300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS SHORT DOW30	74347R701	701	20600	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS SHORT DOW30	74347R701	367	10800	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTRA O^G	74347R719	8037	164764	SH		DEFINED	2	164764	0	0
PROSHARES TR	PSHS ULTRA O^G	74347R719	1076	22058	SH		DEFINED	3	22058	0	0
PROSHARES TR	PSHS ULTRA O^G	74347R719	1366	28000	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTRA O^G	74347R719	2512	51500	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA O^G	74347R719	215	4400	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTRA O^G	74347R719	2595	53200	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA INDL	74347R727	736	14536	SH		DEFINED	2	14536	0	0
PROSHARES TR	PSHS ULTRA INDL	74347R727	735	14525	SH		DEFINED	3	14525	0	0
PROSHARES TR	PSHS ULTRA INDL	74347R727	309	6100	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRA INDL	74347R727	456	9000	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULT HLTHCRE	74347R735	6036	70191	SH		DEFINED	2	70191	0	0
PROSHARES TR	PSHS CONSMR SVCS	74347R750	951	12328	SH		DEFINED	2	12328	0	0
PROSHARES TR	PSHS CONSMRGOODS	74347R768	5459	58028	SH		DEFINED	2	58028	0	0
PROSHARES TR	PSHS ULT BASMATL	74347R776	1563	44488	SH		DEFINED	2	44488	0	0
PROSHARES TR	PSHS ULT BASMATL	74347R776	910	25900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULT BASMATL	74347R776	3792	107900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS SHT SCAP600	74347R784	1178	54527	SH		DEFINED	3	54527	0	0
PROSHARES TR	PSHS SH MDCAP400	74347R800	1336	50570	SH		DEFINED	2	50570	0	0
PROSHARES TR	PSHS ULT SCAP600	74347R818	1415	26867	SH		DEFINED	3	26867	0	0
PROSHARES TR	PSHS ULT SCAP600	74347R818	2847	54062	SH		DEFINED	2	54062	0	0
PROSHARES TR	PSHS ULTRUSS2000	74347R842	15238	345600	SH		DEFINED	2	345600	0	0
PROSHARES TR	PSHS ULTRUSS2000	74347R842	5359	121543	SH		DEFINED	3	121543	0	0
PROSHARES TR	PSHS ULTRUSS2000	74347R842	595	13500	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTRUSS2000	74347R842	789	17900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRUSS2000	74347R842	3280	74400	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTRUSS2000	74347R842	2601	59000	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULSHT SP500	74347R883	10735	787571	SH		DEFINED	3	787571	0	0
PROSHARES TR	PSHS ULSHT SP500	74347R883	1751	128500	SH		DEFINED	1	128500	0	0
PROSHARES TR	PSHS ULSHT SP500	74347R883	6849	502500	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULSHT SP500	74347R883	15283	1121300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSHT SP500	74347R883	9063	664900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSHT SP500	74347R883	1822	133700	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	UL RUS3000 ETF	74347X104	3627	38071	SH		DEFINED	2	38071	0	0
PROSHARES TR	PSHS ULTSHT FINL	74347X146	2244	59419	SH		DEFINED	3	59419	0	0
PROSHARES TR	PSHS ULTSHT FINL	74347X146	604	16000	SH		DEFINED	1	16000	0	0
PROSHARES TR	PSHS ULTSHT FINL	74347X146	1843	48800	SH		DEFINED	2	48800	0	0
PROSHARES TR	PSHS ULTSHT FINL	74347X146	3675	97300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTSHT FINL	74347X146	4982	131900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTSHT FINL	74347X146	680	18000	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS TECHNOLOGY	74347X153	331	10000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSHT MC VA	74347X161	214	6102	SH		DEFINED	2	6102	0	0
PROSHARES TR	ULSH MSCI MEXC	74347X179	232	7830	SH		DEFINED	2	7830	0	0
PROSHARES TR	PSHS ULSHT MC GR	74347X187	765	22835	SH		DEFINED	2	22835	0	0
PROSHARES TR	PSHS ULSH2000 GR	74347X195	265	10852	SH		DEFINED	3	10852	0	0
PROSHARES TR	PSHS ULSHT MD400	74347X211	763	27518	SH		DEFINED	2	27518	0	0
PROSHARES TR	PSHS ULSHT MD400	74347X211	616	22200	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTRSH MSCI PAC	74347X229	1834	52548	SH		DEFINED	2	52548	0	0
PROSHARES TR	PSHS ULTSHRT QQQ	74347X237	891	32300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULTSHRT QQQ	74347X237	510	18500	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULTSHRT QQQ	74347X237	8475	307300	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS SEMICONDUCT	74347X245	2147	49835	SH		DEFINED	3	49835	0	0
PROSHARES TR	PSHS SEMICONDUCT	74347X245	1015	23557	SH		DEFINED	2	23557	0	0
PROSHARES TR	PSHS SEMICONDUCT	74347X245	431	10000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSHRT TELE	74347X252	470	17708	SH		DEFINED	2	17708	0	0
PROSHARES TR	MSCI EMRG ETF	74347X302	2842	38439	SH		DEFINED	2	38439	0	0
PROSHARES TR	MSCI EMRG ETF	74347X302	337	4556	SH		DEFINED	3	4556	0	0
PROSHARES TR	ULTRASHT 3-7YR	74347X344	496	15524	SH		DEFINED	3	15524	0	0
PROSHARES TR	SHT KBW REGBNK	74347X476	1087	25239	SH		DEFINED	3	25239	0	0
PROSHARES TR	ULT KBW REGBNK	74347X484	2114	44330	SH		DEFINED	3	44330	0	0
PROSHARES TR	ULTR MSCI ETF	74347X500	2196	32134	SH		DEFINED	2	32134	0	0
PROSHARES TR	ULTRA MSCI MEX	74347X518	1112	26434	SH		DEFINED	2	26434	0	0
PROSHARES TR	ULT MSCI EURO	74347X526	551	19170	SH		DEFINED	3	19170	0	0
PROSHARES TR	ULT MSCI EURO	74347X526	267	9296	SH		DEFINED	2	9296	0	0
PROSHARES TR	ULT MSCI PAC	74347X534	267	8195	SH		DEFINED	2	8195	0	0
PROSHARES TR	ULT MSCI BRAZL	74347X542	538	33122	SH		DEFINED	3	33122	0	0
PROSHARES TR	ULTSHT CHINA 25	74347X567	1455	58193	SH		DEFINED	2	58193	0	0
PROSHARES TR	ULTSHT CHINA 25	74347X567	296	11842	SH		DEFINED	3	11842	0	0
PROSHARES TR	ULTSHT CHINA 25	74347X567	1796	71800	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTSHT CHINA 25	74347X567	563	22500	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTSHT CHINA 25	74347X567	2143	85700	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	SHT MSCI NEW	74347X575	2965	118005	SH		DEFINED	3	118005	0	0
PROSHARES TR	SHT MSCI NEW	74347X575	573	22800	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	SHT MSCI NEW	74347X575	344	13700	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	ULTSHT OIL NEW	74347X591	1051	51649	SH		DEFINED	3	51649	0	0
PROSHARES TR	ULTSHT OIL NEW	74347X591	492	24200	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTSHT OIL NEW	74347X591	2733	134300	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	BASIC MAT NEW	74347X617	672	45804	SH		DEFINED	3	45804	0	0
PROSHARES TR	BASIC MAT NEW	74347X617	178	12100	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULT R/EST NEW	74347X625	810	12055	SH		DEFINED	3	12055	0	0
PROSHARES TR	ULT R/EST NEW	74347X625	1264	18817	SH		DEFINED	2	18817	0	0
PROSHARES TR	ULT R/EST NEW	74347X625	2674	39800	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULT R/EST NEW	74347X625	430	6400	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	ULT R/EST NEW	74347X625	1014	15100	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULT R/EST NEW	74347X625	5052	75200	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	ULTRA FNCLS NEW	74347X633	9780	157289	SH		DEFINED	3	157289	0	0
PROSHARES TR	ULTRA FNCLS NEW	74347X633	2823	45400	SH		DEFINED	2	45400	0	0
PROSHARES TR	ULTRA FNCLS NEW	74347X633	2027	32600	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	ULTRA FNCLS NEW	74347X633	14345	230700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTRA FNCLS NEW	74347X633	1959	31500	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTRA FNCLS NEW	74347X633	14444	232300	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	SHRT RL EST FD	74347X641	2614	91231	SH		DEFINED	3	91231	0	0
PROSHARES TR	FTSE CHINA 25	74347X658	942	22513	SH		DEFINED	2	22513	0	0
PROSHARES TR	ULTRA SH DOW30	74347X674	200	12027	SH		DEFINED	3	12027	0	0
PROSHARES TR	UL MSCI JP ETF	74347X708	1409	26738	SH		DEFINED	2	26738	0	0
PROSHARES TR	UL MSCI JP ETF	74347X708	516	9784	SH		DEFINED	3	9784	0	0
PROSHARES TR	ULTPRO SH 20YR	74347X740	470	27799	SH		DEFINED	3	27799	0	0
PROSHARES TR	ULTR RUSSL2000	74347X799	1790	26100	SH		DEFINED	1	26100	0	0
PROSHARES TR	ULTR RUSSL2000	74347X799	6412	93500	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	ULTR RUSSL2000	74347X799	535	7800	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTRA MDCAP400	74347X815	775	10000	SH		DEFINED	1	10000	0	0
PROSHARES TR	ULTRA MDCAP400	74347X815	1761	22714	SH		DEFINED	3	22714	0	0
PROSHARES TR	ULTRPRO DOW30	74347X823	4822	82223	SH		DEFINED	3	82223	0	0
PROSHARES TR	ULTRPRO DOW30	74347X823	387	6600	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTRAPRO QQQ	74347X831	2231	36695	SH		DEFINED	3	36695	0	0
PROSHARES TR	ULTRAPRO QQQ	74347X831	3393	55800	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTRAPRO QQQ	74347X831	347	5700	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	ULTRAPRO QQQ	74347X831	553	9100	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	SHRT 20+YR TRE	74347X849	576	19792	SH		DEFINED	3	19792	0	0
PROSHARES TR	SHRT 20+YR TRE	74347X849	535	18400	SH		DEFINED	2	18400	0	0
PROSHARES TR	SHRT 20+YR TRE	74347X849	375	12900	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	SHRT 20+YR TRE	74347X849	1716	59000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	SHRT 20+YR TRE	74347X849	207	7100	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	SHRT 20+YR TRE	74347X849	253	8700	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTRPRO S^P500	74347X864	5583	61767	SH		DEFINED	2	61767	0	0
PROSHARES TR	ULTRPRO S^P500	74347X864	15817	175000	SH		DEFINED	3	175000	0	0
PROSHARES TR	ULTRPRO S^P500	74347X864	2160	23900	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	ULTRPRO S^P500	74347X864	17317	191600	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTRPRO S^P500	74347X864	1383	15300	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	ULTRPRO S^P500	74347X864	14416	159500	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	ULT FTSE CHINA25	74347X880	499	10940	SH		DEFINED	2	10940	0	0
PROSHARES TR	ULT FTSE CHINA25	74347X880	218	4770	SH		DEFINED	3	4770	0	0
PROSHARES TR	PSHS ULTSHT INDL	74348A103	1820	59409	SH		DEFINED	2	59409	0	0
PROSHARES TR	PSHS ULTSHT INDL	74348A103	355	11600	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSHRUS2000	74348A202	358	13300	SH		DEFINED	2	13300	0	0
PROSHARES TR	PSHS ULSHRUS2000	74348A202	1938	72000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSHRUS2000	74348A202	6722	249800	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	ULSH MSCI EURP	74348A301	6480	204596	SH		DEFINED	3	204596	0	0
PROSHARES TR	ULSH MSCI EURP	74348A301	3791	119700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULSH MSCI EURP	74348A301	2879	90900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULSH SC 600	74348A400	5471	200268	SH		DEFINED	3	200268	0	0
PROSHARES TR	PSHS ULSH2000 VA	74348A509	1770	57941	SH		DEFINED	2	57941	0	0
PROSHARES TR	PSHS ULDOW30 NEW	74348A590	445	9501	SH		DEFINED	2	9501	0	0
PROSHARES TR	PSHS ULDOW30 NEW	74348A590	10624	227000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULDOW30 NEW	74348A590	590	12600	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULDOW30 NEW	74348A590	379	8100	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULDOW30 NEW	74348A590	3225	68900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULCONSM NEW	74348A616	2663	65794	SH		DEFINED	2	65794	0	0
PROSHARES TR	PSHS ULCONSM NEW	74348A616	279	6887	SH		DEFINED	3	6887	0	0
PROSHARES TR	PSHS UL1000NEW	74348A624	679	13125	SH		DEFINED	2	13125	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A632	4869	126856	SH		DEFINED	3	126856	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A632	522	13600	SH		DEFINED	1	13600	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A632	1489	38800	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A632	7096	184900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A632	8198	213600	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A632	1063	27700	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULPRRUS NEW	74348A640	882	23700	SH		DEFINED	1	23700	0	0
PROSHARES TR	PSHS ULPRRUS NEW	74348A640	1053	28300	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULPRRUS NEW	74348A640	4962	133400	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A657	382	9029	SH		DEFINED	2	9029	0	0
PROSHARES TR	PSHS ULPROSH NEW	74348A657	212	5000	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR	ULTRAPRO SH NEW	74348A665	384	10430	SH		DEFINED	2	10430	0	0
PROSHARES TR	ULTRAPRO SH NEW	74348A665	606	16479	SH		DEFINED	3	16479	0	0
PROSHARES TR	ULTRAPRO SH NEW	74348A665	783	21300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	ULTRAPRO SH NEW	74348A665	327	8900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR	ULTRAPRO SH NEW	74348A665	805	21900	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR	PSHS ULMSCI NEW	74348A673	3174	44898	SH		DEFINED	2	44898	0	0
PROSHARES TR	PSHS ULSHRUS NEW	74348A681	365	7861	SH		DEFINED	3	7861	0	0
PROSHARES TR	ULTRA HIGH YLD	74348A707	1877	39348	SH		DEFINED	3	39348	0	0
PROSHARES TR	ULT INV GRD CP	74348A806	2618	47521	SH		DEFINED	3	47521	0	0
PROSHARES TR	ULSHRT UTILS FD	74348A863	506	18028	SH		DEFINED	2	18028	0	0
PROSHARES TR	REAL EST NEW 11	74348A871	284	11119	SH		DEFINED	2	11119	0	0
PROSHARES TR	REAL EST NEW 11	74348A871	778	30500	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR	REAL EST NEW 11	74348A871	293	11500	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	PSHS ULSSLVR NEW	74347W114	297	7426	SH		DEFINED	3	7426	0	0
PROSHARES TR II	PSHS ULSSLVR NEW	74347W114	1542	38500	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	PSHS ULSSLVR NEW	74347W114	73189	1827900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	PSHS ULSSLVR NEW	74347W114	3648	91100	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	PSHS ULDJUBS NEW	74347W122	1000	19574	SH		DEFINED	3	19574	0	0
PROSHARES TR II	PSHS ULDJUBS NEW	74347W122	209	4100	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	PSHS ULDJUBS NEW	74347W122	664	13000	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	ULT VIX S/T ETF	74347W411	215	6960	SH		DEFINED	1	6960	0	0
PROSHARES TR II	ULT VIX S/T ETF	74347W411	2986	96500	SH		DEFINED	2	96500	0	0
PROSHARES TR II	ULT VIX S/T ETF	74347W411	727	23500	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR II	ULT VIX S/T ETF	74347W411	13502	436400	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULT VIX S/T ETF	74347W411	6401	206900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	ULT VIX S/T ETF	74347W411	2172	70200	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	PROSHS U/SHAUS	74347W460	627	16239	SH		DEFINED	3	16239	0	0
PROSHARES TR II	PROSHS ULT AUS	74347W494	1126	27522	SH		DEFINED	3	27522	0	0
PROSHARES TR II	ULTRASHORT YEN N	74347W569	1617	39120	SH		DEFINED	3	39120	0	0
PROSHARES TR II	ULTRASHORT YEN N	74347W569	360	8700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULTRA GOLD	74347W601	6784	70000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULTRA GOLD	74347W601	7579	78200	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	SHT VIX ST TRM	74347W627	15141	112369	SH		DEFINED	2	112369	0	0
PROSHARES TR II	SHT VIX ST TRM	74347W627	8475	62900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	SHT VIX ST TRM	74347W627	4675	34700	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR II	SHT VIX ST TRM	74347W627	19793	146900	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	SHT VIX ST TRM	74347W627	4271	31700	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	ULT DJ UBS CRUDE	74347W650	375	12000	SH		DEFINED	1	12000	0	0
PROSHARES TR II	ULT DJ UBS CRUDE	74347W650	2510	80416	SH		DEFINED	3	80416	0	0
PROSHARES TR II	ULT DJ UBS CRUDE	74347W650	36837	1180300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULT DJ UBS CRUDE	74347W650	3870	124000	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR II	ULT DJ UBS CRUDE	74347W650	27633	885400	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	ULT DJ UBS CRUDE	74347W650	2247	72000	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	ULTSH DJ UBS CRU	74347W668	2315	56787	SH		DEFINED	3	56787	0	0
PROSHARES TR II	ULTSH DJ UBS CRU	74347W668	791	19400	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR II	ULTSH DJ UBS CRU	74347W668	37715	925300	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULTSH DJ UBS CRU	74347W668	17417	427300	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	ULTSH DJ UBS CRU	74347W668	42085	1032500	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	VIX MDTRM FUTR	74347W684	2697	64737	SH		DEFINED	3	64737	0	0
PROSHARES TR II	VIX SHTTRM FUT	74347W692	387	20155	SH		DEFINED	3	20155	0	0
PROSHARES TR II	VIX SHTTRM FUT	74347W692	1160	60329	SH		DEFINED	2	60329	0	0
PROSHARES TR II	VIX SHTTRM FUT	74347W692	2499	130000	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	VIX SHTTRM FUT	74347W692	1071	55700	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR II	VIX SHTTRM FUT	74347W692	1522	79200	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	VIX SHTTRM FUT	74347W692	450	23400	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	ULTRASHRT NEW	74347W718	265	18800	SH		DEFINED	2	18800	0	0
PROSHARES TR II	ULTRASHRT NEW	74347W718	414	29331	SH		DEFINED	3	29331	0	0
PROSHARES TR II	ULTRASHRT NEW	74347W718	377	26700	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULTRASHRT NEW	74347W718	514	36400	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	ULTRA SILVER	74347W841	4673	79934	SH		DEFINED	3	79934	0	0
PROSHARES TR II	ULTRA SILVER	74347W841	520	8900	SH	PUT	DEFINED	1	0	0	0
PROSHARES TR II	ULTRA SILVER	74347W841	13791	235900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULTRA SILVER	74347W841	1877	32100	SH	CALL	DEFINED	1	0	0	0
PROSHARES TR II	ULTRA SILVER	74347W841	12125	207400	SH	CALL	DEFINED	2	0	0	0
PROSHARES TR II	PSHS ULTRA YEN	74347W866	2218	63713	SH		DEFINED	3	63713	0	0
PROSHARES TR II	PSH ULTRA EURO	74347W874	308	13310	SH		DEFINED	3	13310	0	0
PROSHARES TR II	ULTRASHRT EURO	74347W882	3820	189881	SH		DEFINED	3	189881	0	0
PROSHARES TR II	ULTRASHRT EURO	74347W882	2573	127900	SH	PUT	DEFINED	2	0	0	0
PROSHARES TR II	ULTRASHRT EURO	74347W882	2815	139900	SH	CALL	DEFINED	2	0	0	0
PROSPECT CAPITAL CORPORATION	COM	74348T102	481	41794	SH		DEFINED	2	41794	0	0
PROSPECT CAPITAL CORPORATION	COM	74348T102	287	24900	SH	PUT	DEFINED	2	0	0	0
PROTALIX BIOTHERAPEUTICS INC	COM	74365A101	174	33614	SH		DEFINED	2	33614	0	0
PROTALIX BIOTHERAPEUTICS INC	COM	74365A101	768	148300	SH	PUT	DEFINED	2	0	0	0
PROTALIX BIOTHERAPEUTICS INC	COM	74365A101	715	138000	SH	CALL	DEFINED	2	0	0	0
PROTECTIVE LIFE CORP	COM	743674103	501	19117	SH		DEFINED	3	19117	0	0
PROTECTIVE LIFE CORP	COM	743674103	1825	69643	SH		DEFINED	2	69643	0	0
PROTECTIVE LIFE CORP	COM	743674103	388	14800	SH	PUT	DEFINED	2	0	0	0
PROTECTIVE LIFE CORP	COM	743674103	280	10700	SH	CALL	DEFINED	2	0	0	0
PROTO LABS INC	COM	743713109	223	6601	SH		DEFINED	2	6601	0	0
PRUDENTIAL BANCORP INC PA	COM	744319104	84	13805	SH		DEFINED	3	13805	0	0
PRUDENTIAL FINL INC	COM	744320102	8271	151742	SH		DEFINED	2	151742	0	0
PRUDENTIAL FINL INC	COM	744320102	1327	24353	SH		DEFINED	1	24353	0	0
PRUDENTIAL FINL INC	COM	744320102	1415	25953	SH		DEFINED	3	25953	0	0
PRUDENTIAL FINL INC	COM	744320102	2900	53200	SH	PUT	DEFINED	1	0	0	0
PRUDENTIAL FINL INC	COM	744320102	35143	644700	SH	PUT	DEFINED	2	0	0	0
PRUDENTIAL FINL INC	COM	744320102	20757	380800	SH	CALL	DEFINED	2	0	0	0
PRUDENTIAL FINL INC	COM	744320102	5304	97300	SH	CALL	DEFINED	1	0	0	0
PS BUSINESS PKS INC CALIF	COM	69360J107	241	3607	SH		DEFINED	3	3607	0	0
PSIVIDA CORP	COM	74440J101	20	12300	SH	PUT	DEFINED	2	0	0	0
PSIVIDA CORP	COM	74440J101	75	45500	SH	CALL	DEFINED	2	0	0	0
PSS WORLD MED INC	COM	69366A100	642	28200	SH	CALL	DEFINED	2	0	0	0
PUBLIC STORAGE	COM	74460D109	2022	14530	SH		DEFINED	2	14530	0	0
PUBLIC STORAGE	COM	74460D109	2076	14920	SH		DEFINED	3	14920	0	0
PUBLIC STORAGE	COM	74460D109	807	5800	SH	PUT	DEFINED	1	0	0	0
PUBLIC STORAGE	COM	74460D109	6805	48900	SH	PUT	DEFINED	2	0	0	0
PUBLIC STORAGE	COM	74460D109	654	4700	SH	CALL	DEFINED	1	0	0	0
PUBLIC STORAGE	COM	74460D109	6569	47200	SH	CALL	DEFINED	2	0	0	0
PUBLIC SVC ENTERPRISE GROUP	COM	744573106	2860	88867	SH		DEFINED	2	88867	0	0
PUBLIC SVC ENTERPRISE GROUP	COM	744573106	2999	93200	SH	PUT	DEFINED	2	0	0	0
PUBLIC SVC ENTERPRISE GROUP	COM	744573106	1409	43800	SH	CALL	DEFINED	2	0	0	0
PULSE ELECTRONICS CORP	COM	74586W106	57	69793	SH		DEFINED	3	69793	0	0
PULTE GROUP INC	COM	745867101	815	52583	SH		DEFINED	2	52583	0	0
PULTE GROUP INC	COM	745867101	524	33799	SH		DEFINED	3	33799	0	0
PULTE GROUP INC	COM	745867101	25428	1640500	SH	PUT	DEFINED	2	0	0	0
PULTE GROUP INC	COM	745867101	406	26200	SH	PUT	DEFINED	1	0	0	0
PULTE GROUP INC	COM	745867101	18056	1164900	SH	CALL	DEFINED	2	0	0	0
PULTE GROUP INC	COM	745867101	1885	121600	SH	CALL	DEFINED	1	0	0	0
PVH CORP	COM	693656100	2455	26200	SH		DEFINED	9	26200	0	0
PVH CORP	COM	693656100	10684	114000	SH	PUT	DEFINED	2	0	0	0
PVH CORP	COM	693656100	384	4100	SH	PUT	DEFINED	1	0	0	0
PVH CORP	COM	693656100	18622	198700	SH	CALL	DEFINED	2	0	0	0
PVH CORP	COM	693656100	1143	12200	SH	CALL	DEFINED	1	0	0	0
PVR PARTNERS L P	COM UNIT REPTG L	693665101	1327	52300	SH	PUT	DEFINED	2	0	0	0
PVR PARTNERS L P	COM UNIT REPTG L	693665101	3934	155000	SH	CALL	DEFINED	2	0	0	0
QEP RES INC	COM	74733V100	356	11253	SH		DEFINED	2	11253	0	0
QEP RES INC	COM	74733V100	399	12600	SH	PUT	DEFINED	2	0	0	0
QEP RES INC	COM	74733V100	475	15000	SH	PUT	DEFINED	1	0	0	0
QEP RES INC	COM	74733V100	1137	35900	SH	CALL	DEFINED	2	0	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	509	23101	SH		DEFINED	3	23101	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	12468	565436	SH		DEFINED	2	565436	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	1870	84800	SH	PUT	DEFINED	1	0	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	657	29800	SH	PUT	DEFINED	3	0	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	19704	893600	SH	PUT	DEFINED	2	0	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	331	15000	SH	CALL	DEFINED	1	0	0	0
QIHOO 360 TECHNOLOGY CO LTD	ADS	74734M109	6503	294900	SH	CALL	DEFINED	2	0	0	0
QLIK TECHNOLOGIES INC	COM	74733T105	2383	106322	SH		DEFINED	2	106322	0	0
QLIK TECHNOLOGIES INC	COM	74733T105	818	36500	SH	PUT	DEFINED	2	0	0	0
QLIK TECHNOLOGIES INC	COM	74733T105	870	38800	SH	PUT	DEFINED	1	0	0	0
QLIK TECHNOLOGIES INC	COM	74733T105	1566	69900	SH	CALL	DEFINED	1	0	0	0
QLIK TECHNOLOGIES INC	COM	74733T105	2532	113000	SH	CALL	DEFINED	2	0	0	0
QLOGIC CORP	COM	747277101	4585	401450	SH		DEFINED	2	401450	0	0
QLOGIC CORP	COM	747277101	225	19728	SH		DEFINED	3	19728	0	0
QLOGIC CORP	COM	747277101	968	84800	SH	PUT	DEFINED	2	0	0	0
QLOGIC CORP	COM	747277101	737	64500	SH	CALL	DEFINED	2	0	0	0
QLT INC	COM	746927102	994	127600	SH		DEFINED	"5,7"	127600	0	0
QLT INC	COM	746927102	192	24700	SH	PUT	DEFINED	2	0	0	0
QR ENERGY LP	UNIT LTD PRTNS	74734R108	273	14000	SH	PUT	DEFINED	1	0	0	0
QR ENERGY LP	UNIT LTD PRTNS	74734R108	955	48900	SH	PUT	DEFINED	2	0	0	0
QR ENERGY LP	UNIT LTD PRTNS	74734R108	3884	199000	SH	CALL	DEFINED	2	0	0	0
QUAD / GRAPHICS INC	COM CL A	747301109	248	14600	SH	PUT	DEFINED	2	0	0	0
QUALCOMM INC	COM	747525103	955	15276	SH		DEFINED	3	15276	0	0
QUALCOMM INC	COM	747525103	194108	3106226	SH		DEFINED	2	3106226	0	0
QUALCOMM INC	COM	747525103	191601	3066100	SH	PUT	DEFINED	2	0	0	0
QUALCOMM INC	COM	747525103	17004	272100	SH	PUT	DEFINED	1	0	0	0
QUALCOMM INC	COM	747525103	644	10300	SH	CALL	DEFINED	3	0	0	0
QUALCOMM INC	COM	747525103	119806	1917200	SH	CALL	DEFINED	2	0	0	0
QUALCOMM INC	COM	747525103	43256	692200	SH	CALL	DEFINED	1	0	0	0
QUALITY SYS INC	COM	747582104	909	49000	SH	PUT	DEFINED	2	0	0	0
QUALITY SYS INC	COM	747582104	736	39700	SH	CALL	DEFINED	2	0	0	0
QUANEX BUILDING PRODUCTS COR	COM	747619104	435	23079	SH		DEFINED	9	23079	0	0
QUANEX BUILDING PRODUCTS COR	COM	747619104	232	12300	SH	CALL	DEFINED	2	0	0	0
QUANTA SVCS INC	COM	74762E102	371	15020	SH		DEFINED	2	15020	0	0
QUANTA SVCS INC	COM	74762E102	1618	65500	SH		DEFINED	9	65500	0	0
QUANTA SVCS INC	COM	74762E102	1287	52100	SH	PUT	DEFINED	2	0	0	0
QUANTA SVCS INC	COM	74762E102	724	29300	SH	CALL	DEFINED	1	0	0	0
QUANTA SVCS INC	COM	74762E102	3614	146300	SH	CALL	DEFINED	2	0	0	0
QUEST DIAGNOSTICS INC	COM	74834L100	575	9065	SH		DEFINED	2	9065	0	0
QUEST DIAGNOSTICS INC	COM	74834L100	1097	17300	SH	PUT	DEFINED	2	0	0	0
QUEST DIAGNOSTICS INC	COM	74834L100	1535	24200	SH	CALL	DEFINED	2	0	0	0
QUEST RARE MINERALS LTD	COM	74836T101	65	45470	SH		DEFINED	2	45470	0	0
QUEST RARE MINERALS LTD	COM	74836T101	104	72500	SH	PUT	DEFINED	2	0	0	0
QUEST RARE MINERALS LTD	COM	74836T101	28	19100	SH	CALL	DEFINED	2	0	0	0
QUEST SOFTWARE INC	COM	74834T103	207	7400	SH	PUT	DEFINED	2	0	0	0
QUEST SOFTWARE INC	COM	74834T103	661	23600	SH	PUT	DEFINED	3	0	0	0
QUESTAR CORP	COM	748356102	1519	74700	SH	CALL	DEFINED	2	0	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	18131	980046	SH		DEFINED	2	980046	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	2065	111599	SH		DEFINED	3	111599	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	4251	229779	SH		DEFINED	1	229779	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	3360	181600	SH	PUT	DEFINED	3	0	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	17174	928300	SH	PUT	DEFINED	1	0	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	39618	2141500	SH	PUT	DEFINED	2	0	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	8233	445000	SH	CALL	DEFINED	1	0	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	940	50800	SH	CALL	DEFINED	3	0	0	0
QUESTCOR PHARMACEUTICALS INC	COM	74835Y101	21789	1177800	SH	CALL	DEFINED	2	0	0	0
QUICKLOGIC CORP	COM	74837P108	33	11783	SH		DEFINED	2	11783	0	0
QUICKLOGIC CORP	COM	74837P108	36	12900	SH	PUT	DEFINED	2	0	0	0
QUICKLOGIC CORP	COM	74837P108	198	70600	SH	CALL	DEFINED	2	0	0	0
QUICKSILVER RESOURCES INC	COM	74837R104	64	15540	SH		DEFINED	3	15540	0	0
QUICKSILVER RESOURCES INC	COM	74837R104	179	43800	SH	PUT	DEFINED	1	0	0	0
QUICKSILVER RESOURCES INC	COM	74837R104	538	131600	SH	PUT	DEFINED	2	0	0	0
QUICKSILVER RESOURCES INC	COM	74837R104	565	138200	SH	CALL	DEFINED	1	0	0	0
QUICKSILVER RESOURCES INC	COM	74837R104	1115	272700	SH	CALL	DEFINED	2	0	0	0
QUIKSILVER INC	COM	74838C106	168	50600	SH	PUT	DEFINED	2	0	0	0
QUIKSILVER INC	COM	74838C106	754	227000	SH	CALL	DEFINED	2	0	0	0
RACKSPACE HOSTING INC	COM	750086100	3744	56657	SH		DEFINED	2	56657	0	0
RACKSPACE HOSTING INC	COM	750086100	622	9414	SH		DEFINED	1	9414	0	0
RACKSPACE HOSTING INC	COM	750086100	11592	175400	SH	PUT	DEFINED	1	0	0	0
RACKSPACE HOSTING INC	COM	750086100	35563	538100	SH	PUT	DEFINED	2	0	0	0
RACKSPACE HOSTING INC	COM	750086100	7779	117700	SH	CALL	DEFINED	1	0	0	0
RACKSPACE HOSTING INC	COM	750086100	22583	341700	SH	CALL	DEFINED	2	0	0	0
RADIAN GROUP INC	COM	750236101	301	69354	SH		DEFINED	2	69354	0	0
RADIAN GROUP INC	COM	750236101	6431	1481800	SH	PUT	DEFINED	2	0	0	0
RADIAN GROUP INC	COM	750236101	11046	2545100	SH	CALL	DEFINED	2	0	0	0
RADIOSHACK CORP	COM	750438103	43	17875	SH		DEFINED	1	17875	0	0
RADIOSHACK CORP	COM	750438103	178	74842	SH		DEFINED	2	74842	0	0
RADIOSHACK CORP	COM	750438103	1896	796772	SH		DEFINED	3	796772	0	0
RADIOSHACK CORP	COM	750438103	74	31100	SH	PUT	DEFINED	1	0	0	0
RADIOSHACK CORP	COM	750438103	2862	1202700	SH	PUT	DEFINED	2	0	0	0
RADIOSHACK CORP	COM	750438103	158	66200	SH	PUT	DEFINED	3	0	0	0
RADIOSHACK CORP	COM	750438103	357	150100	SH	CALL	DEFINED	2	0	0	0
RADNET INC	COM	750491102	252	90812	SH		DEFINED	3	90812	0	0
RADNET INC	COM	750491102	904	325000	SH	CALL	DEFINED	2	0	0	0
RADWARE LTD	ORD	M81873107	3947	109587	SH		DEFINED	2	109587	0	0
RADWARE LTD	ORD	M81873107	540	15000	SH	PUT	DEFINED	1	0	0	0
RADWARE LTD	ORD	M81873107	5781	160500	SH	PUT	DEFINED	2	0	0	0
RADWARE LTD	ORD	M81873107	331	9200	SH	CALL	DEFINED	1	0	0	0
RADWARE LTD	ORD	M81873107	504	14000	SH	CALL	DEFINED	2	0	0	0
RAILAMERICA INC	COM	750753402	357	12991	SH		DEFINED	2	12991	0	0
RAIT FINANCIAL TRUST	COM NEW	749227609	369	70363	SH		DEFINED	2	70363	0	0
RAIT FINANCIAL TRUST	COM NEW	749227609	610	116200	SH	PUT	DEFINED	2	0	0	0
RAIT FINANCIAL TRUST	COM NEW	749227609	261	49800	SH	CALL	DEFINED	2	0	0	0
RALCORP HLDGS INC NEW	COM	751028101	3351	45900	SH	PUT	DEFINED	2	0	0	0
RALCORP HLDGS INC NEW	COM	751028101	657	9000	SH	PUT	DEFINED	1	0	0	0
RALCORP HLDGS INC NEW	COM	751028101	219	3000	SH	CALL	DEFINED	1	0	0	0
RALCORP HLDGS INC NEW	COM	751028101	3606	49400	SH	CALL	DEFINED	2	0	0	0
RALPH LAUREN CORP	CL A	751212101	7755	51282	SH		DEFINED	2	51282	0	0
RALPH LAUREN CORP	CL A	751212101	6168	40785	SH		DEFINED	1	40785	0	0
RALPH LAUREN CORP	CL A	751212101	7519	49716	SH		DEFINED	3	49716	0	0
RALPH LAUREN CORP	CL A	751212101	14654	96900	SH	PUT	DEFINED	1	0	0	0
RALPH LAUREN CORP	CL A	751212101	38352	253600	SH	PUT	DEFINED	2	0	0	0
RALPH LAUREN CORP	CL A	751212101	1301	8600	SH	PUT	DEFINED	3	0	0	0
RALPH LAUREN CORP	CL A	751212101	7955	52600	SH	CALL	DEFINED	1	0	0	0
RALPH LAUREN CORP	CL A	751212101	15123	100000	SH	CALL	DEFINED	2	0	0	0
RALPH LAUREN CORP	CL A	751212101	318	2100	SH	CALL	DEFINED	3	0	0	0
RAMBUS INC DEL	COM	750917106	649	117075	SH		DEFINED	2	117075	0	0
RAMBUS INC DEL	COM	750917106	68	12223	SH		DEFINED	1	12223	0	0
RAMBUS INC DEL	COM	750917106	1326	239400	SH	PUT	DEFINED	2	0	0	0
RAMBUS INC DEL	COM	750917106	99	17800	SH	PUT	DEFINED	3	0	0	0
RAMBUS INC DEL	COM	750917106	179	32300	SH	PUT	DEFINED	1	0	0	0
RAMBUS INC DEL	COM	750917106	208	37500	SH	CALL	DEFINED	3	0	0	0
RAMBUS INC DEL	COM	750917106	317	57300	SH	CALL	DEFINED	1	0	0	0
RAMBUS INC DEL	COM	750917106	2097	378500	SH	CALL	DEFINED	2	0	0	0
RAMCO-GERSHENSON PPTYS TR	COM SH BEN INT	751452202	349	27855	SH		DEFINED	2	27855	0	0
RANDGOLD RES LTD	ADR	752344309	19461	158216	SH		DEFINED	2	158216	0	0
RANDGOLD RES LTD	ADR	752344309	2915	23696	SH		DEFINED	1	23696	0	0
RANDGOLD RES LTD	ADR	752344309	4932	40100	SH	PUT	DEFINED	1	0	0	0
RANDGOLD RES LTD	ADR	752344309	13813	112300	SH	PUT	DEFINED	3	0	0	0
RANDGOLD RES LTD	ADR	752344309	17921	145700	SH	PUT	DEFINED	2	0	0	0
RANDGOLD RES LTD	ADR	752344309	12657	102900	SH	CALL	DEFINED	3	0	0	0
RANDGOLD RES LTD	ADR	752344309	7392	60100	SH	CALL	DEFINED	1	0	0	0
RANDGOLD RES LTD	ADR	752344309	23493	191000	SH	CALL	DEFINED	2	0	0	0
RANGE RES CORP	COM	75281A109	3069	43921	SH		DEFINED	3	43921	0	0
RANGE RES CORP	COM	75281A109	1067	15267	SH		DEFINED	2	15267	0	0
RANGE RES CORP	COM	75281A109	27731	396900	SH	PUT	DEFINED	2	0	0	0
RANGE RES CORP	COM	75281A109	8203	117400	SH	PUT	DEFINED	1	0	0	0
RANGE RES CORP	COM	75281A109	48616	695800	SH	CALL	DEFINED	2	0	0	0
RANGE RES CORP	COM	75281A109	1160	16600	SH	CALL	DEFINED	3	0	0	0
RANGE RES CORP	COM	75281A109	14205	203300	SH	CALL	DEFINED	1	0	0	0
RAPTOR PHARMACEUTICAL CORP	COM	75382F106	134	24027	SH		DEFINED	2	24027	0	0
RAPTOR PHARMACEUTICAL CORP	COM	75382F106	226	40700	SH	PUT	DEFINED	2	0	0	0
RAPTOR PHARMACEUTICAL CORP	COM	75382F106	158	28400	SH	CALL	DEFINED	1	0	0	0
RAPTOR PHARMACEUTICAL CORP	COM	75382F106	578	103900	SH	CALL	DEFINED	2	0	0	0
RARE ELEMENT RES LTD	COM	75381M102	716	145597	SH		DEFINED	2	145597	0	0
RARE ELEMENT RES LTD	COM	75381M102	215	43708	SH		DEFINED	4	43708	0	0
RARE ELEMENT RES LTD	COM	75381M102	2043	415300	SH	PUT	DEFINED	2	0	0	0
RARE ELEMENT RES LTD	COM	75381M102	216	44000	SH	PUT	DEFINED	4	0	0	0
RARE ELEMENT RES LTD	COM	75381M102	223	45400	SH	CALL	DEFINED	2	0	0	0
RAVEN INDS INC	COM	754212108	380	12900	SH	PUT	DEFINED	2	0	0	0
RAYMOND JAMES FINANCIAL INC	COM	754730109	257	7000	SH	PUT	DEFINED	2	0	0	0
RAYMOND JAMES FINANCIAL INC	COM	754730109	1470	40100	SH	CALL	DEFINED	2	0	0	0
RAYONIER INC	COM	754907103	290	5921	SH		DEFINED	2	5921	0	0
RAYONIER INC	COM	754907103	304	6200	SH	PUT	DEFINED	2	0	0	0
RAYONIER INC	COM	754907103	1921	39200	SH	CALL	DEFINED	2	0	0	0
RAYTHEON CO	COM NEW	755111507	4367	76400	SH		DEFINED	9	76400	0	0
RAYTHEON CO	COM NEW	755111507	1815	31753	SH		DEFINED	2	31753	0	0
RAYTHEON CO	COM NEW	755111507	10677	186800	SH	PUT	DEFINED	2	0	0	0
RAYTHEON CO	COM NEW	755111507	200	3500	SH	PUT	DEFINED	1	0	0	0
RAYTHEON CO	COM NEW	755111507	589	10300	SH	CALL	DEFINED	1	0	0	0
RAYTHEON CO	COM NEW	755111507	13118	229500	SH	CALL	DEFINED	2	0	0	0
RDA MICROELECTRONICS INC	SPONSORED ADR	749394102	147	13806	SH		DEFINED	2	13806	0	0
REACHLOCAL INC	COM	75525F104	245	19510	SH		DEFINED	9	19510	0	0
REACHLOCAL INC	COM	75525F104	236	18800	SH	PUT	DEFINED	2	0	0	0
REACHLOCAL INC	COM	75525F104	1566	124900	SH	CALL	DEFINED	2	0	0	0
REALD INC	COM	75604L105	125	14000	SH	CALL	DEFINED	2	0	0	0
REALNETWORKS INC	COM NEW	75605L708	200	24063	SH		DEFINED	2	24063	0	0
REALNETWORKS INC	COM NEW	75605L708	166	20000	SH	PUT	DEFINED	2	0	0	0
REALTY INCOME CORP	COM	756109104	715	17492	SH		DEFINED	2	17492	0	0
REALTY INCOME CORP	COM	756109104	393	9600	SH	PUT	DEFINED	1	0	0	0
REALTY INCOME CORP	COM	756109104	1533	37500	SH	PUT	DEFINED	2	0	0	0
REALTY INCOME CORP	COM	756109104	3398	83100	SH	CALL	DEFINED	2	0	0	0
RED HAT INC	COM	756577102	675	11855	SH		DEFINED	3	11855	0	0
RED HAT INC	COM	756577102	4064	71380	SH		DEFINED	1	71380	0	0
RED HAT INC	COM	756577102	2702	47453	SH		DEFINED	2	47453	0	0
RED HAT INC	COM	756577102	1025	18000	SH	PUT	DEFINED	3	0	0	0
RED HAT INC	COM	756577102	14366	252300	SH	PUT	DEFINED	1	0	0	0
RED HAT INC	COM	756577102	14799	259900	SH	PUT	DEFINED	2	0	0	0
RED HAT INC	COM	756577102	11149	195800	SH	CALL	DEFINED	1	0	0	0
RED HAT INC	COM	756577102	20515	360300	SH	CALL	DEFINED	2	0	0	0
RED ROBIN GOURMET BURGERS IN	COM	75689M101	674	20700	SH	PUT	DEFINED	2	0	0	0
RED ROBIN GOURMET BURGERS IN	COM	75689M101	1475	45300	SH	CALL	DEFINED	2	0	0	0
REDIFF COM INDIA LTD	SPONSORED ADR	757479100	81	21475	SH		DEFINED	2	21475	0	0
REDIFF COM INDIA LTD	SPONSORED ADR	757479100	58	15200	SH	PUT	DEFINED	2	0	0	0
REDIFF COM INDIA LTD	SPONSORED ADR	757479100	50	13100	SH	CALL	DEFINED	2	0	0	0
REDWOOD TR INC	COM	758075402	211	14565	SH		DEFINED	3	14565	0	0
REGAL BELOIT CORP	COM	758750103	670	9500	SH		DEFINED	9	9500	0	0
REGAL ENTMT GROUP	CL A	758766109	709	50400	SH	CALL	DEFINED	2	0	0	0
REGAL ENTMT GROUP	CL A	758766109	1866	132600	SH	CALL	DEFINED	3	0	0	0
REGENCY CTRS CORP	COM	758849103	213	4366	SH		DEFINED	2	4366	0	0
REGENCY CTRS CORP	COM	758849103	517	10600	SH	PUT	DEFINED	2	0	0	0
REGENCY CTRS CORP	COM	758849103	736	15100	SH	CALL	DEFINED	2	0	0	0
REGENCY ENERGY PARTNERS L P	COM UNITS L P	75885Y107	679	29124	SH		DEFINED	2	29124	0	0
REGENCY ENERGY PARTNERS L P	COM UNITS L P	75885Y107	351	15062	SH		DEFINED	3	15062	0	0
REGENCY ENERGY PARTNERS L P	COM UNITS L P	75885Y107	2236	95900	SH	PUT	DEFINED	2	0	0	0
REGENCY ENERGY PARTNERS L P	COM UNITS L P	75885Y107	2486	106600	SH	CALL	DEFINED	2	0	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	713	4669	SH		DEFINED	1	4669	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	3753	24587	SH		DEFINED	3	24587	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	4351	28500	SH	PUT	DEFINED	1	0	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	23265	152400	SH	PUT	DEFINED	2	0	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	1008	6600	SH	PUT	DEFINED	3	0	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	36516	239200	SH	CALL	DEFINED	2	0	0	0
REGENERON PHARMACEUTICALS	COM	75886F107	2702	17700	SH	CALL	DEFINED	1	0	0	0
REGIONS FINANCIAL CORP NEW	COM	7591EP100	353	49010	SH		DEFINED	3	49010	0	0
REGIONS FINANCIAL CORP NEW	COM	7591EP100	258	35850	SH		DEFINED	1	35850	0	0
REGIONS FINANCIAL CORP NEW	COM	7591EP100	5759	798791	SH		DEFINED	2	798791	0	0
REGIONS FINANCIAL CORP NEW	COM	7591EP100	9510	1319000	SH	PUT	DEFINED	2	0	0	0
REGIONS FINANCIAL CORP NEW	COM	7591EP100	107	14900	SH	CALL	DEFINED	1	0	0	0
REGIONS FINANCIAL CORP NEW	COM	7591EP100	6562	910100	SH	CALL	DEFINED	2	0	0	0
REGIS CORP MINN	COM	758932107	358	19500	SH	PUT	DEFINED	2	0	0	0
REGIS CORP MINN	COM	758932107	235	12800	SH	PUT	DEFINED	3	0	0	0
REGIS CORP MINN	COM	758932107	1279	69600	SH	CALL	DEFINED	2	0	0	0
REINSURANCE GROUP AMER INC	COM NEW	759351604	301	5200	SH	PUT	DEFINED	2	0	0	0
REINSURANCE GROUP AMER INC	COM NEW	759351604	1094	18900	SH	CALL	DEFINED	2	0	0	0
RELIANCE STEEL & ALUMINUM CO	COM	759509102	811	15500	SH		DEFINED	9	15500	0	0
RELIANCE STEEL & ALUMINUM CO	COM	759509102	1759	33600	SH	PUT	DEFINED	2	0	0	0
RELIANCE STEEL & ALUMINUM CO	COM	759509102	1403	26800	SH	CALL	DEFINED	2	0	0	0
RENAISSANCERE HOLDINGS LTD	COM	G7496G103	6294	81700	SH		DEFINED	9	81700	0	0
RENAISSANCERE HOLDINGS LTD	COM	G7496G103	2203	28600	SH	PUT	DEFINED	2	0	0	0
RENAISSANCERE HOLDINGS LTD	COM	G7496G103	1048	13600	SH	CALL	DEFINED	2	0	0	0
RENESOLA LTD	SPONS ADS	75971T103	52	36400	SH	PUT	DEFINED	2	0	0	0
RENESOLA LTD	SPONS ADS	75971T103	88	61800	SH	CALL	DEFINED	2	0	0	0
RENREN INC	SPONSORED ADR	759892102	6342	1573800	SH	PUT	DEFINED	2	0	0	0
RENREN INC	SPONSORED ADR	759892102	6669	1654900	SH	CALL	DEFINED	2	0	0	0
RENT A CTR INC NEW	COM	76009N100	526	15000	SH		DEFINED	9	15000	0	0
RENT A CTR INC NEW	COM	76009N100	1382	39400	SH	PUT	DEFINED	2	0	0	0
RENT A CTR INC NEW	COM	76009N100	1964	56000	SH	CALL	DEFINED	2	0	0	0
RENTECH INC	COM	760112102	93	37796	SH		DEFINED	2	37796	0	0
RENTECH INC	COM	760112102	5103	2074542	SH		DEFINED	"5,7"	2074542	0	0
RENTECH NITROGEN PARTNERS L	COM UNIT	760113100	3895	100500	SH	PUT	DEFINED	2	0	0	0
RENTECH NITROGEN PARTNERS L	COM UNIT	760113100	260	6700	SH	PUT	DEFINED	1	0	0	0
RENTECH NITROGEN PARTNERS L	COM UNIT	760113100	5368	138500	SH	CALL	DEFINED	2	0	0	0
REPLIGEN CORP	COM	759916109	106	17800	SH	CALL	DEFINED	2	0	0	0
REPROS THERAPEUTICS INC	COM NEW	76028H209	1196	78500	SH	PUT	DEFINED	2	0	0	0
REPROS THERAPEUTICS INC	COM NEW	76028H209	745	48900	SH	CALL	DEFINED	1	0	0	0
REPROS THERAPEUTICS INC	COM NEW	76028H209	4263	279900	SH	CALL	DEFINED	2	0	0	0
REPUBLIC AWYS HLDGS INC	COM	760276105	219	47238	SH		DEFINED	2	47238	0	0
REPUBLIC AWYS HLDGS INC	COM	760276105	47	10100	SH	CALL	DEFINED	2	0	0	0
REPUBLIC SVCS INC	COM	760759100	1225	44512	SH		DEFINED	2	44512	0	0
REPUBLIC SVCS INC	COM	760759100	3572	129829	SH		DEFINED	3	129829	0	0
REPUBLIC SVCS INC	COM	760759100	283	10300	SH	PUT	DEFINED	2	0	0	0
REPUBLIC SVCS INC	COM	760759100	215	7800	SH	CALL	DEFINED	2	0	0	0
RESEARCH FRONTIERS INC	COM	760911107	75	16790	SH		DEFINED	2	16790	0	0
RESEARCH IN MOTION LTD	COM	760975102	1510	201346	SH		DEFINED	3	201346	0	0
RESEARCH IN MOTION LTD	COM	760975102	32114	4281929	SH		DEFINED	2	4281929	0	0
RESEARCH IN MOTION LTD	COM	760975102	284	37900	SH		DEFINED	"5,7"	37900	0	0
RESEARCH IN MOTION LTD	COM	760975102	1760	234662	SH		DEFINED	1	234662	0	0
RESEARCH IN MOTION LTD	COM	760975102	40182	5343400	SH	PUT	DEFINED	2	0	0	0
RESEARCH IN MOTION LTD	COM	760975102	6110	812500	SH	PUT	DEFINED	1	0	0	0
RESEARCH IN MOTION LTD	COM	760975102	7796	1036700	SH	CALL	DEFINED	1	0	0	0
RESEARCH IN MOTION LTD	COM	760975102	2424	322400	SH	CALL	DEFINED	3	0	0	0
RESEARCH IN MOTION LTD	COM	760975102	25086	3335900	SH	CALL	DEFINED	2	0	0	0
RESMED INC	COM	761152107	2323	57400	SH	PUT	DEFINED	2	0	0	0
RESMED INC	COM	761152107	1117	27600	SH	PUT	DEFINED	1	0	0	0
RESMED INC	COM	761152107	3618	89400	SH	CALL	DEFINED	2	0	0	0
RESMED INC	COM	761152107	1016	25100	SH	CALL	DEFINED	1	0	0	0
RESMED INC	COM	761152107	243	6000	SH	CALL	DEFINED	3	0	0	0
RESOLUTE ENERGY CORP	COM	76116A108	544	61300	SH	CALL	DEFINED	2	0	0	0
RESOLUTE FST PRODS INC	COM	76117W109	165	12695	SH		DEFINED	3	12695	0	0
RESOLUTE FST PRODS INC	COM	76117W109	411	31647	SH		DEFINED	2	31647	0	0
RESOURCE CAP CORP	COM	76120W302	112	19106	SH		DEFINED	2	19106	0	0
RESOURCE CAP CORP	COM	76120W302	221	37600	SH		DEFINED	9	37600	0	0
RESOURCE CAP CORP	COM	76120W302	65	11000	SH	PUT	DEFINED	2	0	0	0
RETAIL OPPORTUNITY INVTS COR	COM	76131N101	273	21198	SH		DEFINED	2	21198	0	0
RETAIL OPPORTUNITY INVTS COR	COM	76131N101	250	19400	SH	CALL	DEFINED	2	0	0	0
RETAIL PPTYS AMER INC	CL A	76131V202	211	18600	SH	PUT	DEFINED	2	0	0	0
REVENUESHARES ETF TR	LARGECAP FD	761396100	4273	159982	SH		DEFINED	2	159982	0	0
REVENUESHARES ETF TR	MID CAP FD	761396209	821	26902	SH		DEFINED	2	26902	0	0
REVENUESHARES ETF TR	MID CAP FD	761396209	265	8666	SH		DEFINED	3	8666	0	0
REVENUESHARES ETF TR	SMALL CAP FD	761396308	514	14074	SH		DEFINED	3	14074	0	0
REVENUESHARES ETF TR	SMALL CAP FD	761396308	695	19006	SH		DEFINED	2	19006	0	0
REVENUESHARES ETF TR	S^P500 FINL FD	761396506	210	7002	SH		DEFINED	3	7002	0	0
REVENUESHARES ETF TR	ADR FD	761396605	2629	78792	SH		DEFINED	2	78792	0	0
REVENUESHARES ETF TR	ADR FD	761396605	1159	34751	SH		DEFINED	3	34751	0	0
REVENUESHARES ETF TR	NAVELLR A-100	761396704	1049	25821	SH		DEFINED	2	25821	0	0
REVENUESHARES ETF TR	NAVELLR A-100	761396704	434	10689	SH		DEFINED	3	10689	0	0
REVETT MINERALS INC	COM NEW	761505205	36	10175	SH		DEFINED	2	10175	0	0
REVETT MINERALS INC	COM NEW	761505205	38	10700	SH	CALL	DEFINED	2	0	0	0
REX ENERGY CORPORATION	COM	761565100	196	14700	SH	CALL	DEFINED	2	0	0	0
REXNORD CORP NEW	COM	76169B102	605	33200	SH	CALL	DEFINED	2	0	0	0
REYNOLDS AMERICAN INC	COM	761713106	1491	34408	SH		DEFINED	2	34408	0	0
REYNOLDS AMERICAN INC	COM	761713106	14419	332700	SH	PUT	DEFINED	2	0	0	0
REYNOLDS AMERICAN INC	COM	761713106	381	8800	SH	PUT	DEFINED	1	0	0	0
REYNOLDS AMERICAN INC	COM	761713106	9556	220500	SH	CALL	DEFINED	2	0	0	0
RF MICRODEVICES INC	COM	749941100	143	36100	SH		DEFINED	3	36100	0	0
RF MICRODEVICES INC	COM	749941100	1944	492110	SH		DEFINED	2	492110	0	0
RF MICRODEVICES INC	COM	749941100	126	31800	SH		DEFINED	1	31800	0	0
RF MICRODEVICES INC	COM	749941100	1909	483200	SH	PUT	DEFINED	2	0	0	0
RF MICRODEVICES INC	COM	749941100	403	102100	SH	CALL	DEFINED	2	0	0	0
RICHMONT MINES INC	COM	76547T106	65	13700	SH	PUT	DEFINED	2	0	0	0
RICKS CABARET INTL INC	COM NEW	765641303	482	58197	SH		DEFINED	2	58197	0	0
RIGEL PHARMACEUTICALS INC	COM NEW	766559603	156	15237	SH		DEFINED	2	15237	0	0
RIGEL PHARMACEUTICALS INC	COM NEW	766559603	270	26300	SH	PUT	DEFINED	2	0	0	0
RIGEL PHARMACEUTICALS INC	COM NEW	766559603	652	63600	SH	CALL	DEFINED	2	0	0	0
RIMAGE CORP	COM	766721104	179	26497	SH		DEFINED	3	26497	0	0
RIO TINTO PLC	SPONSORED ADR	767204100	9736	208214	SH		DEFINED	2	208214	0	0
RIO TINTO PLC	SPONSORED ADR	767204100	64102	1370872	SH		DEFINED	9	1370872	0	0
RIO TINTO PLC	SPONSORED ADR	767204100	7383	157900	SH	PUT	DEFINED	1	0	0	0
RIO TINTO PLC	SPONSORED ADR	767204100	73497	1571800	SH	PUT	DEFINED	2	0	0	0
RIO TINTO PLC	SPONSORED ADR	767204100	7804	166900	SH	CALL	DEFINED	1	0	0	0
RIO TINTO PLC	SPONSORED ADR	767204100	22449	480100	SH	CALL	DEFINED	2	0	0	0
RITCHIE BROS AUCTIONEERS	COM	767744105	442	23000	SH		DEFINED	9	23000	0	0
RITE AID CORP	COM	767754104	145	124200	SH	PUT	DEFINED	2	0	0	0
RITE AID CORP	COM	767754104	3093	2644000	SH	CALL	DEFINED	2	0	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	1017	43697	SH		DEFINED	2	43697	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	883	37943	SH		DEFINED	1	37943	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	2945	126564	SH		DEFINED	3	126564	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	36080	1550500	SH	PUT	DEFINED	2	0	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	3874	166500	SH	PUT	DEFINED	1	0	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	5745	246900	SH	CALL	DEFINED	1	0	0	0
RIVERBED TECHNOLOGY INC	COM	768573107	32580	1400100	SH	CALL	DEFINED	2	0	0	0
RLI CORP	COM	749607107	760	11400	SH		DEFINED	"5,7"	11400	0	0
ROBBINS & MYERS INC	COM	770196103	289	4841	SH		DEFINED	3	4841	0	0
ROBBINS & MYERS INC	COM	770196103	1547	25956	SH		DEFINED	2	25956	0	0
ROBBINS & MYERS INC	COM	770196103	7563	126900	SH	PUT	DEFINED	2	0	0	0
ROBBINS & MYERS INC	COM	770196103	447	7500	SH	PUT	DEFINED	3	0	0	0
ROBBINS & MYERS INC	COM	770196103	3844	64500	SH	CALL	DEFINED	2	0	0	0
ROBERT HALF INTL INC	COM	770323103	288	10797	SH		DEFINED	2	10797	0	0
ROCK-TENN CO	CL A	772739207	2642	36600	SH		DEFINED	9	36600	0	0
ROCK-TENN CO	CL A	772739207	1402	19422	SH		DEFINED	2	19422	0	0
ROCK-TENN CO	CL A	772739207	5370	74400	SH	PUT	DEFINED	2	0	0	0
ROCK-TENN CO	CL A	772739207	1444	20000	SH	PUT	DEFINED	1	0	0	0
ROCK-TENN CO	CL A	772739207	6366	88200	SH	CALL	DEFINED	2	0	0	0
ROCK-TENN CO	CL A	772739207	1934	26800	SH	CALL	DEFINED	1	0	0	0
ROCKWELL AUTOMATION INC	COM	773903109	2492	35831	SH		DEFINED	2	35831	0	0
ROCKWELL AUTOMATION INC	COM	773903109	2810	40400	SH	PUT	DEFINED	2	0	0	0
ROCKWELL AUTOMATION INC	COM	773903109	4110	59100	SH	CALL	DEFINED	2	0	0	0
ROCKWELL COLLINS INC	COM	774341101	579	10795	SH		DEFINED	2	10795	0	0
ROCKWELL COLLINS INC	COM	774341101	1931	36000	SH	PUT	DEFINED	2	0	0	0
ROCKWELL COLLINS INC	COM	774341101	343	6400	SH	PUT	DEFINED	1	0	0	0
ROCKWELL COLLINS INC	COM	774341101	3422	63800	SH	CALL	DEFINED	2	0	0	0
ROCKWELL MED INC	COM	774374102	255	31239	SH		DEFINED	2	31239	0	0
ROCKWELL MED INC	COM	774374102	92	11200	SH	PUT	DEFINED	2	0	0	0
ROCKWELL MED INC	COM	774374102	327	40000	SH	CALL	DEFINED	2	0	0	0
ROCKWOOD HLDGS INC	COM	774415103	229	4911	SH		DEFINED	3	4911	0	0
ROCKWOOD HLDGS INC	COM	774415103	2022	43400	SH	PUT	DEFINED	3	0	0	0
ROCKWOOD HLDGS INC	COM	774415103	2652	56900	SH	PUT	DEFINED	2	0	0	0
ROCKWOOD HLDGS INC	COM	774415103	8346	179100	SH	CALL	DEFINED	2	0	0	0
ROCKWOOD HLDGS INC	COM	774415103	489	10500	SH	CALL	DEFINED	1	0	0	0
ROGERS COMMUNICATIONS INC	CL B	775109200	376	9300	SH	PUT	DEFINED	2	0	0	0
ROGERS COMMUNICATIONS INC	CL B	775109200	1305	32300	SH	CALL	DEFINED	2	0	0	0
ROGERS CORP	COM	775133101	466	11000	SH	PUT	DEFINED	2	0	0	0
ROGERS CORP	COM	775133101	216	5100	SH	CALL	DEFINED	2	0	0	0
ROLLINS INC	COM	775711104	327	13989	SH		DEFINED	3	13989	0	0
ROPER INDS INC NEW	COM	776696106	1601	14565	SH		DEFINED	2	14565	0	0
ROPER INDS INC NEW	COM	776696106	2934	26700	SH	PUT	DEFINED	2	0	0	0
ROPER INDS INC NEW	COM	776696106	9176	83500	SH	CALL	DEFINED	2	0	0	0
ROSETTA GENOMICS LTD	SHS NEW NIS 0.6	M82183126	232	32215	SH		DEFINED	2	32215	0	0
ROSETTA GENOMICS LTD	SHS NEW NIS 0.6	M82183126	283	39300	SH	PUT	DEFINED	2	0	0	0
ROSETTA RESOURCES INC	COM	777779307	7081	147830	SH		DEFINED	2	147830	0	0
ROSETTA RESOURCES INC	COM	777779307	263	5500	SH	PUT	DEFINED	1	0	0	0
ROSETTA RESOURCES INC	COM	777779307	25928	541300	SH	PUT	DEFINED	2	0	0	0
ROSETTA RESOURCES INC	COM	777779307	508	10600	SH	CALL	DEFINED	1	0	0	0
ROSETTA RESOURCES INC	COM	777779307	28108	586800	SH	CALL	DEFINED	2	0	0	0
ROSS STORES INC	COM	778296103	15666	242507	SH		DEFINED	2	242507	0	0
ROSS STORES INC	COM	778296103	573	8875	SH		DEFINED	3	8875	0	0
ROSS STORES INC	COM	778296103	1576	24400	SH	PUT	DEFINED	1	0	0	0
ROSS STORES INC	COM	778296103	28624	443100	SH	PUT	DEFINED	2	0	0	0
ROSS STORES INC	COM	778296103	17636	273000	SH	CALL	DEFINED	2	0	0	0
ROUNDYS INC	COM	779268101	124	20489	SH		DEFINED	2	20489	0	0
ROUNDYS INC	COM	779268101	370	61200	SH	PUT	DEFINED	2	0	0	0
ROUNDYS INC	COM	779268101	325	53700	SH	CALL	DEFINED	2	0	0	0
ROUSE PPTYS INC	COM	779287101	400	27886	SH		DEFINED	3	27886	0	0
ROUSE PPTYS INC	COM	779287101	180	12533	SH		DEFINED	2	12533	0	0
ROUSE PPTYS INC	COM	779287101	197	13734	SH		DEFINED	9	13734	0	0
ROVI CORP	COM	779376102	213	14648	SH		DEFINED	3	14648	0	0
ROVI CORP	COM	779376102	228	15687	SH		DEFINED	2	15687	0	0
ROVI CORP	COM	779376102	209	14437	SH		DEFINED	1	14437	0	0
ROVI CORP	COM	779376102	393	27100	SH	PUT	DEFINED	1	0	0	0
ROVI CORP	COM	779376102	284	19600	SH	PUT	DEFINED	2	0	0	0
ROVI CORP	COM	779376102	341	23500	SH	CALL	DEFINED	1	0	0	0
ROVI CORP	COM	779376102	1452	100100	SH	CALL	DEFINED	2	0	0	0
ROWAN COMPANIES PLC	SHS CL A	G7665A101	438	12957	SH		DEFINED	1	12957	0	0
ROWAN COMPANIES PLC	SHS CL A	G7665A101	1014	30033	SH		DEFINED	2	30033	0	0
ROWAN COMPANIES PLC	SHS CL A	G7665A101	3765	111500	SH	PUT	DEFINED	2	0	0	0
ROWAN COMPANIES PLC	SHS CL A	G7665A101	1537	45500	SH	PUT	DEFINED	1	0	0	0
ROWAN COMPANIES PLC	SHS CL A	G7665A101	5842	173000	SH	CALL	DEFINED	2	0	0	0
ROWAN COMPANIES PLC	SHS CL A	G7665A101	574	17000	SH	CALL	DEFINED	1	0	0	0
ROYAL BK CDA MONTREAL QUE	COM	780087102	333	5800	SH	PUT	DEFINED	1	0	0	0
ROYAL BK CDA MONTREAL QUE	COM	780087102	16385	285400	SH	PUT	DEFINED	2	0	0	0
ROYAL BK CDA MONTREAL QUE	COM	780087102	212	3700	SH	CALL	DEFINED	1	0	0	0
ROYAL BK CDA MONTREAL QUE	COM	780087102	30938	538900	SH	CALL	DEFINED	2	0	0	0
ROYAL BK SCOTLAND GROUP PLC	SPONS ADR 20 ORD	780097689	901	108300	SH	PUT	DEFINED	2	0	0	0
ROYAL BK SCOTLAND GROUP PLC	SP ADR L RP PF	780097788	237	10694	SH		DEFINED	3	10694	0	0
ROYAL BK SCOTLAND N V	US MID CAP ETN	78009L209	267	11106	SH		DEFINED	3	11106	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	1737	57510	SH		DEFINED	1	57510	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	712	23580	SH		DEFINED	2	23580	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	11410	377700	SH		DEFINED	9	377700	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	3529	116800	SH	PUT	DEFINED	1	0	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	7329	242600	SH	PUT	DEFINED	2	0	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	997	33000	SH	CALL	DEFINED	1	0	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	1284	42500	SH	CALL	DEFINED	3	0	0	0
ROYAL CARIBBEAN CRUISES LTD	COM	V7780T103	5124	169600	SH	CALL	DEFINED	2	0	0	0
ROYAL DUTCH SHELL PLC	SPON ADR B	780259107	2028	28437	SH		DEFINED	3	28437	0	0
ROYAL DUTCH SHELL PLC	SPON ADR B	780259107	1105	15500	SH		DEFINED	9	15500	0	0
ROYAL DUTCH SHELL PLC	SPON ADR B	780259107	7993	112100	SH	PUT	DEFINED	2	0	0	0
ROYAL DUTCH SHELL PLC	SPON ADR B	780259107	242	3400	SH	PUT	DEFINED	1	0	0	0
ROYAL DUTCH SHELL PLC	SPON ADR B	780259107	21682	304100	SH	CALL	DEFINED	2	0	0	0
ROYAL DUTCH SHELL PLC	SPONS ADR A	780259206	12501	180100	SH	PUT	DEFINED	2	0	0	0
ROYAL DUTCH SHELL PLC	SPONS ADR A	780259206	1041	15000	SH	PUT	DEFINED	1	0	0	0
ROYAL DUTCH SHELL PLC	SPONS ADR A	780259206	66411	956800	SH	CALL	DEFINED	2	0	0	0
ROYAL DUTCH SHELL PLC	SPONS ADR A	780259206	5539	79800	SH	CALL	DEFINED	3	0	0	0
ROYAL DUTCH SHELL PLC	SPONS ADR A	780259206	2561	36900	SH	CALL	DEFINED	1	0	0	0
ROYAL GOLD INC	COM	780287108	42542	426012	SH		DEFINED	2	426012	0	0
ROYAL GOLD INC	COM	780287108	48242	483100	SH	PUT	DEFINED	2	0	0	0
ROYAL GOLD INC	COM	780287108	39814	398700	SH	CALL	DEFINED	2	0	0	0
ROYAL GOLD INC	COM	780287108	2027	20300	SH	CALL	DEFINED	1	0	0	0
ROYALE ENERGY INC	COM NEW	78074G200	80	19700	SH	PUT	DEFINED	2	0	0	0
ROYALE ENERGY INC	COM NEW	78074G200	352	87100	SH	CALL	DEFINED	2	0	0	0
RPC INC	COM	749660106	442	37200	SH		DEFINED	9	37200	0	0
RPC INC	COM	749660106	139	11700	SH	PUT	DEFINED	2	0	0	0
RPC INC	COM	749660106	151	12700	SH	CALL	DEFINED	2	0	0	0
RPM INTL INC	COM	749685103	633	22188	SH		DEFINED	2	22188	0	0
RPM INTL INC	COM	749685103	1460	51144	SH		DEFINED	3	51144	0	0
RPM INTL INC	COM	749685103	534	18700	SH	PUT	DEFINED	2	0	0	0
RPM INTL INC	COM	749685103	4010	140500	SH	CALL	DEFINED	2	0	0	0
RPX CORP	COM	74972G103	112	10011	SH		DEFINED	2	10011	0	0
RPX CORP	COM	74972G103	159	14200	SH	PUT	DEFINED	2	0	0	0
RPX CORP	COM	74972G103	179	16000	SH	CALL	DEFINED	2	0	0	0
RTI BIOLOGICS INC	COM	74975N105	45	10765	SH		DEFINED	2	10765	0	0
RTI INTL METALS INC	COM	74973W107	618	25800	SH		DEFINED	9	25800	0	0
RTI INTL METALS INC	COM	74973W107	486	20300	SH	CALL	DEFINED	2	0	0	0
RUBICON MINERALS CORP	COM	780911103	274	73176	SH		DEFINED	2	73176	0	0
RUBICON MINERALS CORP	COM	780911103	38	10200	SH		DEFINED	"5,7"	10200	0	0
RUBICON MINERALS CORP	COM	780911103	391	104600	SH	PUT	DEFINED	2	0	0	0
RUBICON MINERALS CORP	COM	780911103	84	22400	SH	CALL	DEFINED	2	0	0	0
RUBICON TECHNOLOGY INC	COM	78112T107	650	67869	SH		DEFINED	2	67869	0	0
RUBICON TECHNOLOGY INC	COM	78112T107	118	12300	SH	PUT	DEFINED	1	0	0	0
RUBICON TECHNOLOGY INC	COM	78112T107	982	102500	SH	PUT	DEFINED	2	0	0	0
RUBICON TECHNOLOGY INC	COM	78112T107	1042	108800	SH	CALL	DEFINED	2	0	0	0
RUBICON TECHNOLOGY INC	COM	78112T107	194	20200	SH	CALL	DEFINED	1	0	0	0
RUBY TUESDAY INC	COM	781182100	180	24800	SH	CALL	DEFINED	2	0	0	0
RUDOLPH TECHNOLOGIES INC	COM	781270103	251	23900	SH	CALL	DEFINED	2	0	0	0
RUE21 INC	COM	781295100	716	23000	SH	PUT	DEFINED	2	0	0	0
RUE21 INC	COM	781295100	564	18100	SH	CALL	DEFINED	2	0	0	0
RUSSELL EXCHANGE TRADED FDS	HI DIV YLD ETF	782474415	1938	74343	SH		DEFINED	2	74343	0	0
RUSSELL EXCHANGE TRADED FDS	DEV EX LOW BET	782474464	1082	21217	SH		DEFINED	3	21217	0	0
RUSSELL EXCHANGE TRADED FDS	SMALL CAP ETF	782474472	5844	84555	SH		DEFINED	3	84555	0	0
RUSSELL EXCHANGE TRADED FDS	SMALL CAP ETF	782474498	5479	84299	SH		DEFINED	3	84299	0	0
RUSSELL EXCHANGE TRADED FDS	SMALL CAP ETF	782474514	5933	92242	SH		DEFINED	3	92242	0	0
RUSSELL EXCHANGE TRADED FDS	2000 HGH MOMEN	782474530	2093	38848	SH		DEFINED	3	38848	0	0
RUSSELL EXCHANGE TRADED FDS	2000 HGH VOLAT	782474548	4046	96359	SH		DEFINED	2	96359	0	0
RUSSELL EXCHANGE TRADED FDS	2000 LOW VOLAT	782474555	714	13675	SH		DEFINED	3	13675	0	0
RUSSELL EXCHANGE TRADED FDS	2000 LOW VOLAT	782474555	4118	78920	SH		DEFINED	2	78920	0	0
RUSSELL EXCHANGE TRADED FDS	2000 HIGH BETA	782474563	4346	97112	SH		DEFINED	2	97112	0	0
RUSSELL EXCHANGE TRADED FDS	2000 LOW BETA	782474571	4823	91480	SH		DEFINED	2	91480	0	0
RUSSELL EXCHANGE TRADED FDS	1000 HGH MOMEN	782474621	2094	39203	SH		DEFINED	3	39203	0	0
RUSSELL EXCHANGE TRADED FDS	1000 HIGH VOLA	782474639	3482	69924	SH		DEFINED	3	69924	0	0
RUSSELL EXCHANGE TRADED FDS	1000 LOW VOLAT	782474647	3361	63287	SH		DEFINED	3	63287	0	0
RUSSELL EXCHANGE TRADED FDS	1000 LOW VOLAT	782474647	269	5074	SH		DEFINED	2	5074	0	0
RUSSELL EXCHANGE TRADED FDS	1000 HIGH BETA	782474654	4957	101646	SH		DEFINED	2	101646	0	0
RUSSELL EXCHANGE TRADED FDS	1000 LOW BETA	782474662	3095	56899	SH		DEFINED	3	56899	0	0
RUSSELL EXCHANGE TRADED FDS	EQUITY INCOME	782474712	586	11313	SH		DEFINED	2	11313	0	0
RUSSELL EXCHANGE TRADED FDS	EQUITY INCOME	782474712	3184	61440	SH		DEFINED	3	61440	0	0
RUSSELL EXCHANGE TRADED FDS	CONTRARIAN ETF	782474720	4506	95077	SH		DEFINED	2	95077	0	0
RUSSELL EXCHANGE TRADED FDS	GWTH REASON PR	782474738	1029	19594	SH		DEFINED	2	19594	0	0
RUSSELL EXCHANGE TRADED FDS	CONSIST GRWTH	782474746	4247	78034	SH		DEFINED	2	78034	0	0
RUSSELL EXCHANGE TRADED FDS	AGGRESS GROWTH	782474753	460	8625	SH		DEFINED	2	8625	0	0
RYDER SYS INC	COM	783549108	1219	31204	SH		DEFINED	2	31204	0	0
RYDER SYS INC	COM	783549108	898	23000	SH	PUT	DEFINED	1	0	0	0
RYDER SYS INC	COM	783549108	4293	109900	SH	PUT	DEFINED	2	0	0	0
RYDER SYS INC	COM	783549108	9804	251000	SH	CALL	DEFINED	2	0	0	0
RYDER SYS INC	COM	783549108	852	21800	SH	CALL	DEFINED	1	0	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W106	3971	76100	SH		DEFINED	1	76100	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W106	2220	42552	SH		DEFINED	2	42552	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W106	423	8110	SH		DEFINED	3	8110	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W106	3486	66800	SH	PUT	DEFINED	1	0	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W106	204	3900	SH	CALL	DEFINED	1	0	0	0
RYDEX ETF TRUST	GUG RUSS TOP 50	78355W205	5373	50125	SH		DEFINED	2	50125	0	0
RYDEX ETF TRUST	GUG S^P500 PU VA	78355W304	1741	54635	SH		DEFINED	2	54635	0	0
RYDEX ETF TRUST	GUG S^P500 PU GR	78355W403	1679	34238	SH		DEFINED	3	34238	0	0
RYDEX ETF TRUST	GUG S^P500 PU GR	78355W403	959	19556	SH		DEFINED	2	19556	0	0
RYDEX ETF TRUST	GUG S^P SC600 EQ	78355W494	928	28552	SH		DEFINED	2	28552	0	0
RYDEX ETF TRUST	GUG S^P MC400 PV	78355W502	499	14297	SH		DEFINED	2	14297	0	0
RYDEX ETF TRUST	GUG S^P MC400 EQ	78355W510	1594	50492	SH		DEFINED	2	50492	0	0
RYDEX ETF TRUST	GUG MSCI EMKT EQ	78355W536	1981	59283	SH		DEFINED	2	59283	0	0
RYDEX ETF TRUST	GUG MSCI EAFE EQ	78355W544	2734	75073	SH		DEFINED	2	75073	0	0
RYDEX ETF TRUST	GUG RUSS MCP EQL	78355W577	1807	52778	SH		DEFINED	3	52778	0	0
RYDEX ETF TRUST	GUG RUSS MCP EQL	78355W577	877	25621	SH		DEFINED	2	25621	0	0
RYDEX ETF TRUST	GUG RUSS2000 EQL	78355W585	1155	35037	SH		DEFINED	3	35037	0	0
RYDEX ETF TRUST	GUG RUSS2000 EQL	78355W585	436	13211	SH		DEFINED	2	13211	0	0
RYDEX ETF TRUST	GUG RUSS1000 EQL	78355W593	1122	32799	SH		DEFINED	2	32799	0	0
RYDEX ETF TRUST	GUG S^P MC400 PG	78355W601	1669	18593	SH		DEFINED	2	18593	0	0
RYDEX ETF TRUST	GUG S^P MC400 PG	78355W601	297	3312	SH		DEFINED	3	3312	0	0
RYDEX ETF TRUST	GUG S^P SC600 PV	78355W700	5334	127704	SH		DEFINED	2	127704	0	0
RYDEX ETF TRUST	GUG INV 2XS^P500	78355W767	463	20909	SH		DEFINED	2	20909	0	0
RYDEX ETF TRUST	GUG INV 2XS^P500	78355W767	224	10100	SH	PUT	DEFINED	2	0	0	0
RYDEX ETF TRUST	GUG INV 2XS^P500	78355W767	434	19600	SH	CALL	DEFINED	2	0	0	0
RYDEX ETF TRUST	GUG 2X S^P500ETF	78355W783	778	14840	SH		DEFINED	2	14840	0	0
RYDEX ETF TRUST	GUG 2X S^P500ETF	78355W783	372	7100	SH	PUT	DEFINED	2	0	0	0
RYDEX ETF TRUST	GUG 2X S^P500ETF	78355W783	587	11200	SH	CALL	DEFINED	2	0	0	0
RYDEX ETF TRUST	GUG S^P500EQWTUT	78355W791	2291	38066	SH		DEFINED	3	38066	0	0
RYDEX ETF TRUST	GUG S^P SC600 PG	78355W809	3238	57648	SH		DEFINED	2	57648	0	0
RYDEX ETF TRUST	GUG S^P500EQWTTE	78355W817	1817	33132	SH		DEFINED	2	33132	0	0
RYDEX ETF TRUST	GUG S^P500EQWTMA	78355W825	1712	27897	SH		DEFINED	2	27897	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W833	1209	21578	SH		DEFINED	3	21578	0	0
RYDEX ETF TRUST	GUG S^P500 EQ WT	78355W833	1273	22724	SH		DEFINED	2	22724	0	0
RYDEX ETF TRUST	GUG S^P500EQWTHC	78355W841	2178	28048	SH		DEFINED	2	28048	0	0
RYDEX ETF TRUST	GUG S^P500EQWTFI	78355W858	1576	55971	SH		DEFINED	3	55971	0	0
RYDEX ETF TRUST	GUG S^P500EQWTEN	78355W866	577	8939	SH		DEFINED	2	8939	0	0
RYDEX ETF TRUST	GUG S^P500 EWCON	78355W874	761	11016	SH		DEFINED	2	11016	0	0
RYDEX ETF TRUST	GUG S^P SC500 EQ	78355W882	687	12391	SH		DEFINED	2	12391	0	0
RYLAND GROUP INC	COM	783764103	958	31927	SH		DEFINED	3	31927	0	0
RYLAND GROUP INC	COM	783764103	19626	654200	SH	PUT	DEFINED	2	0	0	0
RYLAND GROUP INC	COM	783764103	777	25900	SH	PUT	DEFINED	1	0	0	0
RYLAND GROUP INC	COM	783764103	20019	667300	SH	CALL	DEFINED	2	0	0	0
RYLAND GROUP INC	COM	783764103	783	26100	SH	CALL	DEFINED	1	0	0	0
SAFEGUARD SCIENTIFICS INC	COM NEW	786449207	284	18100	SH	CALL	DEFINED	2	0	0	0
SAFEWAY INC	COM NEW	786514208	194	12057	SH		DEFINED	3	12057	0	0
SAFEWAY INC	COM NEW	786514208	6283	390509	SH		DEFINED	2	390509	0	0
SAFEWAY INC	COM NEW	786514208	8664	538500	SH	PUT	DEFINED	2	0	0	0
SAFEWAY INC	COM NEW	786514208	1192	74100	SH	PUT	DEFINED	1	0	0	0
SAFEWAY INC	COM NEW	786514208	4166	258900	SH	CALL	DEFINED	3	0	0	0
SAFEWAY INC	COM NEW	786514208	14771	918000	SH	CALL	DEFINED	2	0	0	0
SAFEWAY INC	COM NEW	786514208	602	37400	SH	CALL	DEFINED	1	0	0	0
SAIC INC	COM	78390X101	140	11654	SH		DEFINED	3	11654	0	0
SAIC INC	COM	78390X101	291	24153	SH		DEFINED	2	24153	0	0
SAIC INC	COM	78390X101	864	71800	SH	PUT	DEFINED	2	0	0	0
SAIC INC	COM	78390X101	142	11800	SH	CALL	DEFINED	1	0	0	0
SAIC INC	COM	78390X101	2472	205300	SH	CALL	DEFINED	2	0	0	0
SAKS INC	COM	79377W108	2145	208032	SH		DEFINED	3	208032	0	0
SAKS INC	COM	79377W108	1799	174500	SH	PUT	DEFINED	2	0	0	0
SAKS INC	COM	79377W108	1948	188900	SH	CALL	DEFINED	2	0	0	0
SALESFORCE COM INC	COM	79466L302	8030	52587	SH		DEFINED	3	52587	0	0
SALESFORCE COM INC	COM	79466L302	5985	39200	SH		DEFINED	1	39200	0	0
SALESFORCE COM INC	COM	79466L302	6873	45013	SH		DEFINED	2	45013	0	0
SALESFORCE COM INC	COM	79466L302	15742	103100	SH	PUT	DEFINED	3	0	0	0
SALESFORCE COM INC	COM	79466L302	82880	542800	SH	PUT	DEFINED	2	0	0	0
SALESFORCE COM INC	COM	79466L302	55717	364900	SH	PUT	DEFINED	1	0	0	0
SALESFORCE COM INC	COM	79466L302	185335	1213800	SH	CALL	DEFINED	2	0	0	0
SALESFORCE COM INC	COM	79466L302	50693	332000	SH	CALL	DEFINED	1	0	0	0
SALESFORCE COM INC	NOTE   0.750% 1/1	79466LAB0	57064	30700000	PRN		DEFINED	"5,7"	0	0	0
SALIX PHARMACEUTICALS INC	COM	795435106	723	17083	SH		DEFINED	3	17083	0	0
SALIX PHARMACEUTICALS INC	COM	795435106	898	21200	SH	PUT	DEFINED	1	0	0	0
SALIX PHARMACEUTICALS INC	COM	795435106	1414	33400	SH	PUT	DEFINED	2	0	0	0
SALIX PHARMACEUTICALS INC	COM	795435106	1169	27600	SH	CALL	DEFINED	1	0	0	0
SALIX PHARMACEUTICALS INC	COM	795435106	1385	32700	SH	CALL	DEFINED	2	0	0	0
SALLY BEAUTY HLDGS INC	COM	79546E104	3058	121900	SH		DEFINED	9	121900	0	0
SALLY BEAUTY HLDGS INC	COM	79546E104	590	23500	SH	PUT	DEFINED	2	0	0	0
SALLY BEAUTY HLDGS INC	COM	79546E104	411	16400	SH	CALL	DEFINED	2	0	0	0
SAMSON OIL & GAS LTD	SPON ADR	796043107	32	30724	SH		DEFINED	2	30724	0	0
SAMSON OIL & GAS LTD	SPON ADR	796043107	15	13900	SH	CALL	DEFINED	2	0	0	0
SAN JUAN BASIN RTY TR	UNIT BEN INT	798241105	531	37493	SH		DEFINED	2	37493	0	0
SAN JUAN BASIN RTY TR	UNIT BEN INT	798241105	2320	163700	SH	PUT	DEFINED	2	0	0	0
SAN JUAN BASIN RTY TR	UNIT BEN INT	798241105	237	16700	SH	PUT	DEFINED	1	0	0	0
SAN JUAN BASIN RTY TR	UNIT BEN INT	798241105	1785	126000	SH	CALL	DEFINED	2	0	0	0
SANCHEZ ENERGY CORP	COM	79970Y105	842	41200	SH	PUT	DEFINED	2	0	0	0
SANCHEZ ENERGY CORP	COM	79970Y105	1824	89300	SH	CALL	DEFINED	2	0	0	0
SANDERSON FARMS INC	COM	800013104	1624	36600	SH	PUT	DEFINED	2	0	0	0
SANDERSON FARMS INC	COM	800013104	1912	43100	SH	CALL	DEFINED	2	0	0	0
SANDISK CORP	COM	80004C101	2481	57115	SH		DEFINED	1	57115	0	0
SANDISK CORP	COM	80004C101	14131	325369	SH		DEFINED	2	325369	0	0
SANDISK CORP	COM	80004C101	9668	222600	SH	PUT	DEFINED	1	0	0	0
SANDISK CORP	COM	80004C101	86265	1986300	SH	PUT	DEFINED	2	0	0	0
SANDISK CORP	COM	80004C101	48815	1124000	SH	CALL	DEFINED	2	0	0	0
SANDISK CORP	COM	80004C101	22032	507300	SH	CALL	DEFINED	1	0	0	0
SANDRIDGE ENERGY INC	COM	80007P307	11563	1658945	SH		DEFINED	2	1658945	0	0
SANDRIDGE ENERGY INC	COM	80007P307	2167	310906	SH		DEFINED	3	310906	0	0
SANDRIDGE ENERGY INC	COM	80007P307	2163	310098	SH		DEFINED	9	310098	0	0
SANDRIDGE ENERGY INC	COM	80007P307	1046	150083	SH		DEFINED	1	150083	0	0
SANDRIDGE ENERGY INC	COM	80007P307	3915	561300	SH	PUT	DEFINED	1	0	0	0
SANDRIDGE ENERGY INC	COM	80007P307	10935	1567700	SH	PUT	DEFINED	2	0	0	0
SANDRIDGE ENERGY INC	COM	80007P307	209	30000	SH	CALL	DEFINED	3	0	0	0
SANDRIDGE ENERGY INC	COM	80007P307	628	90000	SH	CALL	DEFINED	1	0	0	0
SANDRIDGE ENERGY INC	COM	80007P307	13066	1873300	SH	CALL	DEFINED	2	0	0	0
SANDRIDGE MISSISSIPPIAN TR I	UNIT BEN INT	80007T101	231	9400	SH	CALL	DEFINED	2	0	0	0
SANDRIDGE MISSISSIPPIAN TR I	SH BEN INT	80007V106	587	28873	SH		DEFINED	2	28873	0	0
SANDRIDGE MISSISSIPPIAN TR I	SH BEN INT	80007V106	1452	71400	SH	PUT	DEFINED	2	0	0	0
SANDRIDGE MISSISSIPPIAN TR I	SH BEN INT	80007V106	435	21400	SH	CALL	DEFINED	2	0	0	0
SANDRIDGE PERMIAN TR	COM UNIT BEN INT	80007A102	645	32400	SH	PUT	DEFINED	1	0	0	0
SANDRIDGE PERMIAN TR	COM UNIT BEN INT	80007A102	1048	52600	SH	PUT	DEFINED	2	0	0	0
SANDRIDGE PERMIAN TR	COM UNIT BEN INT	80007A102	2528	126900	SH	CALL	DEFINED	2	0	0	0
SANDRIDGE PERMIAN TR	COM UNIT BEN INT	80007A102	1221	61300	SH	CALL	DEFINED	1	0	0	0
SANGAMO BIOSCIENCES INC	COM	800677106	72	11803	SH		DEFINED	2	11803	0	0
SANGAMO BIOSCIENCES INC	COM	800677106	67	11000	SH	PUT	DEFINED	1	0	0	0
SANGAMO BIOSCIENCES INC	COM	800677106	582	95700	SH	PUT	DEFINED	2	0	0	0
SANGAMO BIOSCIENCES INC	COM	800677106	1654	272000	SH	CALL	DEFINED	2	0	0	0
SANMINA SCI CORP	COM NEW	800907206	140	16500	SH		DEFINED	9	16500	0	0
SANMINA SCI CORP	COM NEW	800907206	129	15200	SH	CALL	DEFINED	2	0	0	0
SANOFI	SPONSORED ADR	80105N105	25621	595000	SH		DEFINED	9	595000	0	0
SANOFI	SPONSORED ADR	80105N105	5172	120100	SH	PUT	DEFINED	2	0	0	0
SANOFI	SPONSORED ADR	80105N105	13396	311100	SH	CALL	DEFINED	2	0	0	0
SANOFI	RIGHT 12/31/2020	80105N113	392	233206	SH		DEFINED	2	233206	0	0
SANOFI	RIGHT 12/31/2020	80105N113	253	150400	SH		DEFINED	9	150400	0	0
SANOFI	RIGHT 12/31/2020	80105N113	3342	1989443	SH		DEFINED	3	1989443	0	0
SANOFI	RIGHT 12/31/2020	80105N113	823	490000	SH	PUT	DEFINED	3	0	0	0
SANOFI	RIGHT 12/31/2020	80105N113	169	100300	SH	PUT	DEFINED	2	0	0	0
SANOFI	RIGHT 12/31/2020	80105N113	48	28500	SH	CALL	DEFINED	2	0	0	0
SANTARUS INC	COM	802817304	93	10471	SH		DEFINED	2	10471	0	0
SAP AG	SPON ADR	803054204	1163	16300	SH	PUT	DEFINED	1	0	0	0
SAP AG	SPON ADR	803054204	4658	65300	SH	PUT	DEFINED	2	0	0	0
SAP AG	SPON ADR	803054204	6741	94500	SH	CALL	DEFINED	2	0	0	0
SAPIENT CORP	COM	803062108	162	15200	SH	CALL	DEFINED	2	0	0	0
SARATOGA RES INC TEX	COM	803521103	98	17944	SH		DEFINED	3	17944	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	1300	83688	SH		DEFINED	2	83688	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	773	49769	SH		DEFINED	3	49769	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	281	18100	SH	PUT	DEFINED	1	0	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	1127	72600	SH	PUT	DEFINED	3	0	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	5445	350600	SH	PUT	DEFINED	2	0	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	1354	87200	SH	CALL	DEFINED	3	0	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	2215	142600	SH	CALL	DEFINED	1	0	0	0
SAREPTA THERAPEUTICS INC	COM	803607100	7259	467400	SH	CALL	DEFINED	2	0	0	0
SASOL LTD	SPONSORED ADR	803866300	1273	28564	SH		DEFINED	2	28564	0	0
SASOL LTD	SPONSORED ADR	803866300	1953	43800	SH	PUT	DEFINED	2	0	0	0
SASOL LTD	SPONSORED ADR	803866300	317	7100	SH	CALL	DEFINED	2	0	0	0
SATCON TECHNOLOGY CORP	COM NEW	803893403	69	62778	SH		DEFINED	3	62778	0	0
SAUER-DANFOSS INC	COM	804137107	491	12200	SH	PUT	DEFINED	2	0	0	0
SAVIENT PHARMACEUTICALS INC	COM	80517Q100	301	120840	SH		DEFINED	2	120840	0	0
SAVIENT PHARMACEUTICALS INC	COM	80517Q100	93	37300	SH	PUT	DEFINED	3	0	0	0
SAVIENT PHARMACEUTICALS INC	COM	80517Q100	41	16400	SH	PUT	DEFINED	1	0	0	0
SAVIENT PHARMACEUTICALS INC	COM	80517Q100	337	134600	SH	PUT	DEFINED	2	0	0	0
SAVIENT PHARMACEUTICALS INC	COM	80517Q100	142	56800	SH	CALL	DEFINED	3	0	0	0
SAVIENT PHARMACEUTICALS INC	COM	80517Q100	1921	768200	SH	CALL	DEFINED	2	0	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	17870	284100	SH		DEFINED	9	284100	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	213	3383	SH		DEFINED	2	3383	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	4296	68300	SH	PUT	DEFINED	2	0	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	2308	36700	SH	PUT	DEFINED	3	0	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	1271	20200	SH	PUT	DEFINED	1	0	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	10492	166800	SH	CALL	DEFINED	2	0	0	0
SBA COMMUNICATIONS CORP	COM	78388J106	560	8900	SH	CALL	DEFINED	1	0	0	0
SBA COMMUNICATIONS CORP	NOTE   4.000%10/0	78388JAM8	38561	18200000	PRN		DEFINED	"5,7"	0	0	0
SBA COMMUNICATIONS CORP	NOTE   1.875% 5/0	78388JAN6	30664	20174000	PRN		DEFINED	"5,7"	0	0	0
SCANA CORP NEW	COM	80589M102	1641	33996	SH		DEFINED	2	33996	0	0
SCANA CORP NEW	COM	80589M102	333	6900	SH	PUT	DEFINED	2	0	0	0
SCANA CORP NEW	COM	80589M102	854	17700	SH	CALL	DEFINED	2	0	0	0
SCANSOURCE INC	COM	806037107	202	6312	SH		DEFINED	3	6312	0	0
SCHEIN HENRY INC	COM	806407102	3096	39058	SH		DEFINED	2	39058	0	0
SCHEIN HENRY INC	COM	806407102	476	6000	SH	PUT	DEFINED	2	0	0	0
SCHEIN HENRY INC	COM	806407102	2648	33400	SH	CALL	DEFINED	2	0	0	0
SCHEIN HENRY INC	COM	806407102	206	2600	SH	CALL	DEFINED	1	0	0	0
SCHLUMBERGER LTD	COM	806857108	1429	19756	SH		DEFINED	3	19756	0	0
SCHLUMBERGER LTD	COM	806857108	13648	188692	SH		DEFINED	2	188692	0	0
SCHLUMBERGER LTD	COM	806857108	4911	67900	SH		DEFINED	1	67900	0	0
SCHLUMBERGER LTD	COM	806857108	22256	307700	SH	PUT	DEFINED	1	0	0	0
SCHLUMBERGER LTD	COM	806857108	170127	2352100	SH	PUT	DEFINED	2	0	0	0
SCHLUMBERGER LTD	COM	806857108	23001	318000	SH	CALL	DEFINED	1	0	0	0
SCHLUMBERGER LTD	COM	806857108	154779	2139900	SH	CALL	DEFINED	2	0	0	0
SCHNITZER STL INDS	CL A	806882106	293	10401	SH		DEFINED	3	10401	0	0
SCHNITZER STL INDS	CL A	806882106	4679	166200	SH	PUT	DEFINED	2	0	0	0
SCHNITZER STL INDS	CL A	806882106	400	14200	SH	PUT	DEFINED	1	0	0	0
SCHNITZER STL INDS	CL A	806882106	4265	151500	SH	CALL	DEFINED	2	0	0	0
SCHOLASTIC CORP	COM	807066105	381	12000	SH	PUT	DEFINED	2	0	0	0
SCHOOL SPECIALTY INC	COM	807863105	35	15305	SH		DEFINED	2	15305	0	0
SCHOOL SPECIALTY INC	COM	807863105	97	42117	SH		DEFINED	3	42117	0	0
SCHOOL SPECIALTY INC	COM	807863105	38	16700	SH	PUT	DEFINED	2	0	0	0
SCHULMAN A INC	COM	808194104	1162	48800	SH	CALL	DEFINED	2	0	0	0
SCHWAB CHARLES CORP NEW	COM	808513105	1342	104936	SH		DEFINED	2	104936	0	0
SCHWAB CHARLES CORP NEW	COM	808513105	834	65241	SH		DEFINED	3	65241	0	0
SCHWAB CHARLES CORP NEW	COM	808513105	7105	555500	SH	PUT	DEFINED	2	0	0	0
SCHWAB CHARLES CORP NEW	COM	808513105	258	20200	SH	PUT	DEFINED	1	0	0	0
SCHWAB CHARLES CORP NEW	COM	808513105	229	17900	SH	CALL	DEFINED	1	0	0	0
SCHWAB CHARLES CORP NEW	COM	808513105	5926	463300	SH	CALL	DEFINED	2	0	0	0
SCHWAB STRATEGIC TR	US BRD MKT ETF	808524102	7433	215204	SH		DEFINED	2	215204	0	0
SCHWAB STRATEGIC TR	US LRG CAP ETF	808524201	2404	70327	SH		DEFINED	2	70327	0	0
SCHWAB STRATEGIC TR	US LCAP GR ETF	808524300	2910	83901	SH		DEFINED	2	83901	0	0
SCHWAB STRATEGIC TR	US LCAP VA ETF	808524409	2002	62620	SH		DEFINED	2	62620	0	0
SCHWAB STRATEGIC TR	US MID-CAP ETF	808524508	3544	131305	SH		DEFINED	2	131305	0	0
SCHWAB STRATEGIC TR	US SML CAP ETF	808524607	10368	276999	SH		DEFINED	2	276999	0	0
SCHWAB STRATEGIC TR	EMRG MKTEQ ETF	808524706	3573	142922	SH		DEFINED	2	142922	0	0
SCHWAB STRATEGIC TR	US DIVIDEND EQ	808524797	4591	159703	SH		DEFINED	2	159703	0	0
SCHWAB STRATEGIC TR	INTL EQTY ETF	808524805	2032	78717	SH		DEFINED	2	78717	0	0
SCHWAB STRATEGIC TR	US AGGREGATE B	808524839	5726	108426	SH		DEFINED	3	108426	0	0
SCHWAB STRATEGIC TR	INTRM TRM TRES	808524854	958	17629	SH		DEFINED	3	17629	0	0
SCHWAB STRATEGIC TR	SHT TM US TRES	808524862	546	10796	SH		DEFINED	3	10796	0	0
SCHWAB STRATEGIC TR	US TIPS ETF	808524870	4855	83171	SH		DEFINED	3	83171	0	0
SCHWEITZER-MAUDUIT INTL INC	COM	808541106	851	25800	SH	PUT	DEFINED	2	0	0	0
SCHWEITZER-MAUDUIT INTL INC	COM	808541106	894	27100	SH	CALL	DEFINED	2	0	0	0
SCICLONE PHARMACEUTICALS INC	COM	80862K104	226	40758	SH		DEFINED	2	40758	0	0
SCICLONE PHARMACEUTICALS INC	COM	80862K104	89	16090	SH		DEFINED	3	16090	0	0
SCICLONE PHARMACEUTICALS INC	COM	80862K104	342	61600	SH	PUT	DEFINED	2	0	0	0
SCICLONE PHARMACEUTICALS INC	COM	80862K104	138	24800	SH	CALL	DEFINED	2	0	0	0
SCIENTIFIC GAMES CORP	CL A	80874P109	133	16100	SH	PUT	DEFINED	2	0	0	0
SCIENTIFIC GAMES CORP	CL A	80874P109	516	62400	SH	CALL	DEFINED	2	0	0	0
SCOTTS MIRACLE GRO CO	CL A	810186106	882	20300	SH	PUT	DEFINED	2	0	0	0
SCOTTS MIRACLE GRO CO	CL A	810186106	4064	93500	SH	CALL	DEFINED	2	0	0	0
SCRIPPS E W CO OHIO	CL A NEW	811054402	229	21481	SH		DEFINED	3	21481	0	0
SCRIPPS E W CO OHIO	CL A NEW	811054402	154	14500	SH	PUT	DEFINED	2	0	0	0
SCRIPPS E W CO OHIO	CL A NEW	811054402	171	16100	SH	CALL	DEFINED	2	0	0	0
SCRIPPS NETWORKS INTERACT IN	CL A COM	811065101	297	4854	SH		DEFINED	2	4854	0	0
SCRIPPS NETWORKS INTERACT IN	CL A COM	811065101	2455	40100	SH		DEFINED	9	40100	0	0
SCRIPPS NETWORKS INTERACT IN	CL A COM	811065101	643	10500	SH	PUT	DEFINED	2	0	0	0
SCRIPPS NETWORKS INTERACT IN	CL A COM	811065101	1874	30600	SH	CALL	DEFINED	2	0	0	0
SEABOARD CORP	COM	811543107	852	377	SH		DEFINED	3	377	0	0
SEABRIDGE GOLD INC	COM	811916105	1373	70782	SH		DEFINED	3	70782	0	0
SEABRIDGE GOLD INC	COM	811916105	5005	257998	SH		DEFINED	2	257998	0	0
SEABRIDGE GOLD INC	COM	811916105	5283	272300	SH	PUT	DEFINED	2	0	0	0
SEABRIDGE GOLD INC	COM	811916105	667	34400	SH	CALL	DEFINED	3	0	0	0
SEABRIDGE GOLD INC	COM	811916105	3544	182700	SH	CALL	DEFINED	2	0	0	0
SEACHANGE INTL INC	COM	811699107	373	47500	SH	CALL	DEFINED	3	0	0	0
SEACHANGE INTL INC	COM	811699107	127	16200	SH	CALL	DEFINED	2	0	0	0
SEACOAST BKG CORP FLA	COM	811707306	24	15291	SH		DEFINED	2	15291	0	0
SEACOR HOLDINGS INC	COM	811904101	853	10228	SH		DEFINED	3	10228	0	0
SEACOR HOLDINGS INC	COM	811904101	742	8900	SH	CALL	DEFINED	2	0	0	0
SEADRILL LIMITED	SHS	G7945E105	2702	68900	SH		DEFINED	9	68900	0	0
SEADRILL LIMITED	SHS	G7945E105	30760	784300	SH	PUT	DEFINED	2	0	0	0
SEADRILL LIMITED	SHS	G7945E105	1769	45100	SH	PUT	DEFINED	1	0	0	0
SEADRILL LIMITED	SHS	G7945E105	2118	54000	SH	CALL	DEFINED	1	0	0	0
SEADRILL LIMITED	SHS	G7945E105	34255	873400	SH	CALL	DEFINED	2	0	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	829	26751	SH		DEFINED	3	26751	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	6008	193792	SH		DEFINED	9	193792	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	21396	690205	SH		DEFINED	2	690205	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	286	9227	SH		DEFINED	1	9227	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	73411	2368100	SH	PUT	DEFINED	2	0	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	9015	290800	SH	PUT	DEFINED	1	0	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	16656	537300	SH	CALL	DEFINED	1	0	0	0
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	65875	2125000	SH	CALL	DEFINED	2	0	0	0
SEALED AIR CORP NEW	COM	81211K100	1668	107884	SH		DEFINED	2	107884	0	0
SEALED AIR CORP NEW	COM	81211K100	643	41570	SH		DEFINED	3	41570	0	0
SEALED AIR CORP NEW	COM	81211K100	5208	336900	SH	PUT	DEFINED	2	0	0	0
SEALED AIR CORP NEW	COM	81211K100	4674	302300	SH	CALL	DEFINED	2	0	0	0
SEALY CORP	COM	812139301	26	11913	SH		DEFINED	2	11913	0	0
SEALY CORP	COM	812139301	24	11200	SH		DEFINED	4	11200	0	0
SEARS HLDGS CORP	COM	812350106	983	17712	SH		DEFINED	3	17712	0	0
SEARS HLDGS CORP	COM	812350106	48913	881468	SH		DEFINED	2	881468	0	0
SEARS HLDGS CORP	COM	812350106	2014	36300	SH	PUT	DEFINED	3	0	0	0
SEARS HLDGS CORP	COM	812350106	160521	2892800	SH	PUT	DEFINED	2	0	0	0
SEARS HLDGS CORP	COM	812350106	1748	31500	SH	PUT	DEFINED	1	0	0	0
SEARS HLDGS CORP	COM	812350106	35741	644100	SH	CALL	DEFINED	2	0	0	0
SEARS HLDGS CORP	COM	812350106	2930	52800	SH	CALL	DEFINED	1	0	0	0
SEARS HLDGS CORP	COM	812350106	927	16700	SH	CALL	DEFINED	3	0	0	0
SEARS HLDGS CORP	RIGHT 10/08/2012	812350114	132	48505	SH		DEFINED	2	48505	0	0
SEARS HLDGS CORP	RIGHT 10/08/2012	812350114	40	14552	SH		DEFINED	1	14552	0	0
SEASPAN CORP	SHS	Y75638109	357	22654	SH		DEFINED	2	22654	0	0
SEASPAN CORP	SHS	Y75638109	997	63200	SH	PUT	DEFINED	2	0	0	0
SEASPAN CORP	SHS	Y75638109	1829	115900	SH	CALL	DEFINED	2	0	0	0
SEATTLE GENETICS INC	COM	812578102	288	10700	SH	PUT	DEFINED	3	0	0	0
SEATTLE GENETICS INC	COM	812578102	986	36600	SH	PUT	DEFINED	1	0	0	0
SEATTLE GENETICS INC	COM	812578102	3401	126200	SH	PUT	DEFINED	2	0	0	0
SEATTLE GENETICS INC	COM	812578102	2539	94200	SH	CALL	DEFINED	2	0	0	0
SEATTLE GENETICS INC	COM	812578102	337	12500	SH	CALL	DEFINED	1	0	0	0
SEI INVESTMENTS CO	COM	784117103	427	19897	SH		DEFINED	3	19897	0	0
SEI INVESTMENTS CO	COM	784117103	746	34800	SH		DEFINED	9	34800	0	0
SELECT COMFORT CORP	COM	81616X103	1919	60819	SH		DEFINED	2	60819	0	0
SELECT COMFORT CORP	COM	81616X103	2092	66300	SH	PUT	DEFINED	2	0	0	0
SELECT COMFORT CORP	COM	81616X103	316	10000	SH	PUT	DEFINED	1	0	0	0
SELECT COMFORT CORP	COM	81616X103	2177	69000	SH	CALL	DEFINED	2	0	0	0
SELECT COMFORT CORP	COM	81616X103	688	21800	SH	CALL	DEFINED	1	0	0	0
SELECT MED HLDGS CORP	COM	81619Q105	344	30600	SH		DEFINED	9	30600	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	5264	143157	SH		DEFINED	1	143157	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	8560	232812	SH		DEFINED	3	232812	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	74617	2029303	SH		DEFINED	2	2029303	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	12972	352800	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	12009	326600	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	13200	359000	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI MATERIALS	81369Y100	5751	156400	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	3442	85826	SH		DEFINED	1	85826	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	10008	249517	SH		DEFINED	2	249517	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	21702	541050	SH		DEFINED	3	541050	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	46744	1165100	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	8742	217900	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	1336	33300	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI HEALTHCARE	81369Y209	11787	293800	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI CONS STPLS	81369Y308	2934	81900	SH		DEFINED	1	81900	0	0
SELECT SECTOR SPDR TR	SBI CONS STPLS	81369Y308	6426	179354	SH		DEFINED	2	179354	0	0
SELECT SECTOR SPDR TR	SBI CONS STPLS	81369Y308	2208	61619	SH		DEFINED	3	61619	0	0
SELECT SECTOR SPDR TR	SBI CONS STPLS	81369Y308	9846	274800	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI CONS STPLS	81369Y308	1129	31500	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI CONS STPLS	81369Y308	1121	31300	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI CONS DISCR	81369Y407	1982	42376	SH		DEFINED	3	42376	0	0
SELECT SECTOR SPDR TR	SBI CONS DISCR	81369Y407	9996	213735	SH		DEFINED	2	213735	0	0
SELECT SECTOR SPDR TR	SBI CONS DISCR	81369Y407	4585	98000	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI CONS DISCR	81369Y407	6457	138000	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI CONS DISCR	81369Y407	1212	25900	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI CONS DISCR	81369Y407	2087	44600	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	24250	330024	SH		DEFINED	2	330024	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	65492	891291	SH		DEFINED	3	891291	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	14314	194804	SH		DEFINED	1	194804	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	54860	746600	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	169335	2304500	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	63421	863100	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-ENERGY	81369Y506	215737	2936000	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	5014	321389	SH		DEFINED	1	321389	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	47019	3014011	SH		DEFINED	3	3014011	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	180330	11559637	SH		DEFINED	2	11559637	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	12165	779800	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	18513	1186700	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	30323	1943800	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-FINL	81369Y605	76428	4899200	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	4261	116622	SH		DEFINED	1	116622	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	15415	421875	SH		DEFINED	3	421875	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	13637	373200	SH		DEFINED	2	373200	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	32561	891100	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	19103	522800	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	15241	417100	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-INDS	81369Y704	17652	483100	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	943	30575	SH		DEFINED	1	30575	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	61003	1978700	SH		DEFINED	2	1978700	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	1333	43244	SH		DEFINED	3	43244	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	42721	1385700	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	586	19000	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	583	18900	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	TECHNOLOGY	81369Y803	1606	52100	SH	CALL	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-UTILS	81369Y886	27602	758287	SH		DEFINED	2	758287	0	0
SELECT SECTOR SPDR TR	SBI INT-UTILS	81369Y886	2043	56117	SH		DEFINED	1	56117	0	0
SELECT SECTOR SPDR TR	SBI INT-UTILS	81369Y886	11659	320300	SH	PUT	DEFINED	2	0	0	0
SELECT SECTOR SPDR TR	SBI INT-UTILS	81369Y886	5598	153800	SH	PUT	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-UTILS	81369Y886	28942	795100	SH	CALL	DEFINED	1	0	0	0
SELECT SECTOR SPDR TR	SBI INT-UTILS	81369Y886	17982	494000	SH	CALL	DEFINED	2	0	0	0
SEMGROUP CORP	CL A	81663A105	567	15400	SH	PUT	DEFINED	2	0	0	0
SEMGROUP CORP	CL A	81663A105	494	13400	SH	CALL	DEFINED	2	0	0	0
SEMICONDUCTOR MFG INTL CORP	SPONSORED ADR	81663N206	27	14856	SH		DEFINED	3	14856	0	0
SEMILEDS CORP	COM	816645105	31	17916	SH		DEFINED	3	17916	0	0
SEMPRA ENERGY	COM	816851109	2340	36279	SH		DEFINED	2	36279	0	0
SEMPRA ENERGY	COM	816851109	2857	44300	SH		DEFINED	9	44300	0	0
SEMPRA ENERGY	COM	816851109	2074	32154	SH		DEFINED	3	32154	0	0
SEMPRA ENERGY	COM	816851109	413	6400	SH	PUT	DEFINED	1	0	0	0
SEMPRA ENERGY	COM	816851109	406	6300	SH	PUT	DEFINED	2	0	0	0
SEMPRA ENERGY	COM	816851109	3618	56100	SH	CALL	DEFINED	2	0	0	0
SEMPRA ENERGY	COM	816851109	793	12300	SH	CALL	DEFINED	1	0	0	0
SEMTECH CORP	COM	816850101	319	12700	SH	CALL	DEFINED	2	0	0	0
SENIOR HSG PPTYS TR	SH BEN INT	81721M109	499	22900	SH	PUT	DEFINED	2	0	0	0
SENIOR HSG PPTYS TR	SH BEN INT	81721M109	1024	47000	SH	CALL	DEFINED	2	0	0	0
SENOMYX INC	COM	81724Q107	159	83865	SH		DEFINED	3	83865	0	0
SENSATA TECHNOLOGIES HLDG BV	SHS	N7902X106	429	14400	SH	PUT	DEFINED	2	0	0	0
SENSATA TECHNOLOGIES HLDG BV	SHS	N7902X106	426	14300	SH	CALL	DEFINED	2	0	0	0
SENSIENT TECHNOLOGIES CORP	COM	81725T100	530	14415	SH		DEFINED	2	14415	0	0
SEQUENOM INC	COM NEW	817337405	3221	912416	SH		DEFINED	2	912416	0	0
SEQUENOM INC	COM NEW	817337405	36	10110	SH		DEFINED	3	10110	0	0
SEQUENOM INC	COM NEW	817337405	75	21300	SH	PUT	DEFINED	1	0	0	0
SEQUENOM INC	COM NEW	817337405	3822	1082600	SH	PUT	DEFINED	2	0	0	0
SEQUENOM INC	COM NEW	817337405	1273	360500	SH	CALL	DEFINED	2	0	0	0
SERVICE CORP INTL	COM	817565104	411	30500	SH		DEFINED	9	30500	0	0
SERVICENOW INC	COM	81762P102	704	18200	SH	PUT	DEFINED	2	0	0	0
SERVICENOW INC	COM	81762P102	2766	71500	SH	CALL	DEFINED	2	0	0	0
SERVICESOURCE INTL LLC	COM	81763U100	329	32100	SH	CALL	DEFINED	2	0	0	0
SHANDA GAMES LTD	SP ADR REPTG A	81941U105	49	12894	SH		DEFINED	3	12894	0	0
SHAW GROUP INC	COM	820280105	342	7837	SH		DEFINED	1	7837	0	0
SHAW GROUP INC	COM	820280105	417	9555	SH		DEFINED	3	9555	0	0
SHAW GROUP INC	COM	820280105	380	8714	SH		DEFINED	2	8714	0	0
SHAW GROUP INC	COM	820280105	1749	40100	SH	PUT	DEFINED	3	0	0	0
SHAW GROUP INC	COM	820280105	24187	554500	SH	PUT	DEFINED	2	0	0	0
SHAW GROUP INC	COM	820280105	4214	96600	SH	PUT	DEFINED	1	0	0	0
SHAW GROUP INC	COM	820280105	3668	84100	SH	CALL	DEFINED	1	0	0	0
SHAW GROUP INC	COM	820280105	16436	376800	SH	CALL	DEFINED	2	0	0	0
SHERWIN WILLIAMS CO	COM	824348106	3664	24608	SH		DEFINED	2	24608	0	0
SHERWIN WILLIAMS CO	COM	824348106	24779	166400	SH	PUT	DEFINED	2	0	0	0
SHERWIN WILLIAMS CO	COM	824348106	1161	7800	SH	PUT	DEFINED	1	0	0	0
SHERWIN WILLIAMS CO	COM	824348106	491	3300	SH	CALL	DEFINED	1	0	0	0
SHERWIN WILLIAMS CO	COM	824348106	16201	108800	SH	CALL	DEFINED	2	0	0	0
SHIP FINANCE INTERNATIONAL L	SHS	G81075106	346	22000	SH		DEFINED	9	22000	0	0
SHIP FINANCE INTERNATIONAL L	SHS	G81075106	2108	134100	SH	PUT	DEFINED	2	0	0	0
SHIP FINANCE INTERNATIONAL L	SHS	G81075106	2125	135200	SH	CALL	DEFINED	2	0	0	0
SHIRE PLC	SPONSORED ADR	82481R106	337	3796	SH		DEFINED	2	3796	0	0
SHIRE PLC	SPONSORED ADR	82481R106	736	8300	SH	PUT	DEFINED	1	0	0	0
SHIRE PLC	SPONSORED ADR	82481R106	3832	43200	SH	PUT	DEFINED	2	0	0	0
SHIRE PLC	SPONSORED ADR	82481R106	1091	12300	SH	CALL	DEFINED	1	0	0	0
SHIRE PLC	SPONSORED ADR	82481R106	5056	57000	SH	CALL	DEFINED	2	0	0	0
SHORE BANCSHARES INC	COM	825107105	271	45062	SH		DEFINED	3	45062	0	0
SHUFFLE MASTER INC	COM	825549108	334	21100	SH	PUT	DEFINED	2	0	0	0
SHUFFLE MASTER INC	COM	825549108	1374	86900	SH	CALL	DEFINED	2	0	0	0
SHUTTERFLY INC	COM	82568P304	692	22238	SH		DEFINED	2	22238	0	0
SHUTTERFLY INC	COM	82568P304	1033	33200	SH	PUT	DEFINED	2	0	0	0
SHUTTERFLY INC	COM	82568P304	358	11500	SH	PUT	DEFINED	1	0	0	0
SHUTTERFLY INC	COM	82568P304	794	25500	SH	CALL	DEFINED	1	0	0	0
SHUTTERFLY INC	COM	82568P304	14079	452400	SH	CALL	DEFINED	2	0	0	0
SIEMENS A G	SPONSORED ADR	826197501	1022	10207	SH		DEFINED	3	10207	0	0
SIEMENS A G	SPONSORED ADR	826197501	6253	62433	SH		DEFINED	2	62433	0	0
SIEMENS A G	SPONSORED ADR	826197501	2003	20000	SH	PUT	DEFINED	3	0	0	0
SIEMENS A G	SPONSORED ADR	826197501	4367	43600	SH	PUT	DEFINED	1	0	0	0
SIEMENS A G	SPONSORED ADR	826197501	53841	537600	SH	PUT	DEFINED	2	0	0	0
SIEMENS A G	SPONSORED ADR	826197501	1803	18000	SH	CALL	DEFINED	1	0	0	0
SIEMENS A G	SPONSORED ADR	826197501	31788	317400	SH	CALL	DEFINED	2	0	0	0
SIERRA WIRELESS INC	COM	826516106	86	11100	SH	CALL	DEFINED	2	0	0	0
SIFY TECHNOLOGIES LIMITED	SPONSORED ADR	82655M107	92	39900	SH	PUT	DEFINED	2	0	0	0
SIGA TECHNOLOGIES INC	COM	826917106	41	12956	SH		DEFINED	2	12956	0	0
SIGA TECHNOLOGIES INC	COM	826917106	123	38300	SH	CALL	DEFINED	2	0	0	0
SIGMA ALDRICH CORP	COM	826552101	4773	66325	SH		DEFINED	2	66325	0	0
SIGMA ALDRICH CORP	COM	826552101	367	5100	SH		DEFINED	1	5100	0	0
SIGMA ALDRICH CORP	COM	826552101	3253	45200	SH	PUT	DEFINED	2	0	0	0
SIGMA ALDRICH CORP	COM	826552101	19396	269500	SH	CALL	DEFINED	2	0	0	0
SIGMA DESIGNS INC	COM	826565103	291	44000	SH	CALL	DEFINED	2	0	0	0
SIGNATURE BK NEW YORK N Y	COM	82669G104	694	10352	SH		DEFINED	3	10352	0	0
SIGNATURE BK NEW YORK N Y	COM	82669G104	205	3057	SH		DEFINED	2	3057	0	0
SIGNET JEWELERS LIMITED	SHS	G81276100	1390	28510	SH		DEFINED	3	28510	0	0
SIGNET JEWELERS LIMITED	SHS	G81276100	11020	226000	SH		DEFINED	9	226000	0	0
SIGNET JEWELERS LIMITED	SHS	G81276100	1234	25300	SH	PUT	DEFINED	2	0	0	0
SIGNET JEWELERS LIMITED	SHS	G81276100	1868	38300	SH	CALL	DEFINED	2	0	0	0
SILGAN HOLDINGS INC	COM	827048109	1999	45953	SH		DEFINED	9	45953	0	0
SILICON GRAPHICS INTL CORP	COM	82706L108	107	11705	SH		DEFINED	2	11705	0	0
SILICON GRAPHICS INTL CORP	COM	82706L108	308	33900	SH	PUT	DEFINED	2	0	0	0
SILICON GRAPHICS INTL CORP	COM	82706L108	205	22500	SH	CALL	DEFINED	2	0	0	0
SILICON IMAGE INC	COM	82705T102	231	50429	SH		DEFINED	2	50429	0	0
SILICON IMAGE INC	COM	82705T102	83	18000	SH	PUT	DEFINED	2	0	0	0
SILICON IMAGE INC	COM	82705T102	291	63300	SH	CALL	DEFINED	2	0	0	0
SILICON LABORATORIES INC	COM	826919102	2974	80900	SH	PUT	DEFINED	2	0	0	0
SILICON LABORATORIES INC	COM	826919102	1404	38200	SH	CALL	DEFINED	2	0	0	0
SILICON MOTION TECHNOLOGY CO	SPONSORED ADR	82706C108	918	62100	SH	PUT	DEFINED	2	0	0	0
SILICON MOTION TECHNOLOGY CO	SPONSORED ADR	82706C108	2830	191500	SH	CALL	DEFINED	2	0	0	0
SILICON MOTION TECHNOLOGY CO	SPONSORED ADR	82706C108	254	17200	SH	CALL	DEFINED	1	0	0	0
SILICONWARE PRECISION INDS L	SPONSD ADR SPL	827084864	307	55700	SH		DEFINED	9	55700	0	0
SILVER STD RES INC	COM	82823L106	6078	379147	SH		DEFINED	2	379147	0	0
SILVER STD RES INC	COM	82823L106	1164	72645	SH		DEFINED	1	72645	0	0
SILVER STD RES INC	COM	82823L106	601	37500	SH	PUT	DEFINED	1	0	0	0
SILVER STD RES INC	COM	82823L106	9698	605000	SH	PUT	DEFINED	2	0	0	0
SILVER STD RES INC	COM	82823L106	14390	897700	SH	CALL	DEFINED	2	0	0	0
SILVER STD RES INC	COM	82823L106	821	51200	SH	CALL	DEFINED	1	0	0	0
SILVER WHEATON CORP	COM	828336107	1428	35964	SH		DEFINED	3	35964	0	0
SILVER WHEATON CORP	COM	828336107	75268	1895442	SH		DEFINED	2	1895442	0	0
SILVER WHEATON CORP	COM	828336107	87414	2201300	SH	PUT	DEFINED	2	0	0	0
SILVER WHEATON CORP	COM	828336107	933	23500	SH	PUT	DEFINED	3	0	0	0
SILVER WHEATON CORP	COM	828336107	2863	72100	SH	PUT	DEFINED	1	0	0	0
SILVER WHEATON CORP	COM	828336107	67916	1710300	SH	CALL	DEFINED	2	0	0	0
SILVER WHEATON CORP	COM	828336107	17282	435200	SH	CALL	DEFINED	1	0	0	0
SILVERCORP METALS INC	COM	82835P103	118	18278	SH		DEFINED	3	18278	0	0
SILVERCORP METALS INC	COM	82835P103	5145	793962	SH		DEFINED	2	793962	0	0
SILVERCORP METALS INC	COM	82835P103	4689	723600	SH	PUT	DEFINED	2	0	0	0
SILVERCORP METALS INC	COM	82835P103	4311	665300	SH	CALL	DEFINED	2	0	0	0
SILVERCORP METALS INC	COM	82835P103	119	18300	SH	CALL	DEFINED	1	0	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	11086	73027	SH		DEFINED	2	73027	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	5697	37526	SH		DEFINED	3	37526	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	5393	35526	SH		DEFINED	1	35526	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	58948	388300	SH	PUT	DEFINED	2	0	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	15363	101200	SH	PUT	DEFINED	1	0	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	46924	309100	SH	CALL	DEFINED	2	0	0	0
SIMON PPTY GROUP INC NEW	COM	828806109	6740	44400	SH	CALL	DEFINED	1	0	0	0
SINA CORP	ORD	G81477104	679	10494	SH		DEFINED	1	10494	0	0
SINA CORP	ORD	G81477104	5442	84134	SH		DEFINED	2	84134	0	0
SINA CORP	ORD	G81477104	112867	1745000	SH	PUT	DEFINED	2	0	0	0
SINA CORP	ORD	G81477104	22994	355500	SH	PUT	DEFINED	1	0	0	0
SINA CORP	ORD	G81477104	23039	356200	SH	CALL	DEFINED	1	0	0	0
SINA CORP	ORD	G81477104	144314	2231200	SH	CALL	DEFINED	2	0	0	0
SINCLAIR BROADCAST GROUP INC	CL A	829226109	146	13008	SH		DEFINED	3	13008	0	0
SINCLAIR BROADCAST GROUP INC	CL A	829226109	439	39200	SH	CALL	DEFINED	2	0	0	0
SINO CLEAN ENERGY INC	COM NEW	82936G200	63	189894	SH		DEFINED	2	189894	0	0
SINO CLEAN ENERGY INC	COM NEW	82936G200	6	18200	SH	PUT	DEFINED	2	0	0	0
SINOPEC SHANGHAI PETROCHEMIC	SPON ADR H	82935M109	342	13382	SH		DEFINED	3	13382	0	0
SINOPEC SHANGHAI PETROCHEMIC	SPON ADR H	82935M109	225	8800	SH	CALL	DEFINED	2	0	0	0
SIRIUS XM RADIO INC	COM	82967N108	10380	3992134	SH		DEFINED	2	3992134	0	0
SIRIUS XM RADIO INC	COM	82967N108	271	104422	SH		DEFINED	3	104422	0	0
SIRIUS XM RADIO INC	COM	82967N108	5351	2057922	SH		DEFINED	9	2057922	0	0
SIRIUS XM RADIO INC	COM	82967N108	4261	1638900	SH	PUT	DEFINED	2	0	0	0
SIRIUS XM RADIO INC	COM	82967N108	55	21100	SH	CALL	DEFINED	1	0	0	0
SIRIUS XM RADIO INC	COM	82967N108	18480	7107800	SH	CALL	DEFINED	2	0	0	0
SIRONA DENTAL SYSTEMS INC	COM	82966C103	1396	24500	SH		DEFINED	9	24500	0	0
SIRONA DENTAL SYSTEMS INC	COM	82966C103	285	5000	SH	CALL	DEFINED	2	0	0	0
SIX FLAGS ENTMT CORP NEW	COM	83001A102	5903	100384	SH		DEFINED	2	100384	0	0
SIX FLAGS ENTMT CORP NEW	COM	83001A102	2317	39400	SH	PUT	DEFINED	2	0	0	0
SIX FLAGS ENTMT CORP NEW	COM	83001A102	1176	20000	SH	CALL	DEFINED	2	0	0	0
SKECHERS U S A INC	CL A	830566105	667	32700	SH		DEFINED	9	32700	0	0
SKECHERS U S A INC	CL A	830566105	208	10200	SH	PUT	DEFINED	1	0	0	0
SKECHERS U S A INC	CL A	830566105	2670	130900	SH	PUT	DEFINED	2	0	0	0
SKECHERS U S A INC	CL A	830566105	1601	78500	SH	CALL	DEFINED	2	0	0	0
SKULLCANDY INC	COM	83083J104	252	18358	SH		DEFINED	2	18358	0	0
SKULLCANDY INC	COM	83083J104	451	32800	SH	PUT	DEFINED	1	0	0	0
SKULLCANDY INC	COM	83083J104	2487	180900	SH	PUT	DEFINED	2	0	0	0
SKULLCANDY INC	COM	83083J104	3854	280300	SH	CALL	DEFINED	2	0	0	0
SKULLCANDY INC	COM	83083J104	637	46300	SH	CALL	DEFINED	1	0	0	0
SKY-MOBI LTD	SPONSORED ADS	83084G109	26	11600	SH	PUT	DEFINED	2	0	0	0
SKY-MOBI LTD	SPONSORED ADS	83084G109	25	11400	SH	CALL	DEFINED	2	0	0	0
SKYLINE CORP	COM	830830105	57	10616	SH		DEFINED	3	10616	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	3390	143878	SH		DEFINED	2	143878	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	1376	58400	SH		DEFINED	9	58400	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	1021	43320	SH		DEFINED	1	43320	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	1064	45155	SH		DEFINED	3	45155	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	3063	130000	SH	PUT	DEFINED	1	0	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	11123	472000	SH	PUT	DEFINED	2	0	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	4807	204000	SH	CALL	DEFINED	1	0	0	0
SKYWORKS SOLUTIONS INC	COM	83088M102	23249	986600	SH	CALL	DEFINED	2	0	0	0
SL GREEN RLTY CORP	COM	78440X101	7615	95100	SH		DEFINED	9	95100	0	0
SL GREEN RLTY CORP	COM	78440X101	337	4215	SH		DEFINED	2	4215	0	0
SL GREEN RLTY CORP	COM	78440X101	2770	34600	SH	PUT	DEFINED	2	0	0	0
SL GREEN RLTY CORP	COM	78440X101	769	9600	SH	PUT	DEFINED	1	0	0	0
SL GREEN RLTY CORP	COM	78440X101	496	6200	SH	CALL	DEFINED	1	0	0	0
SL GREEN RLTY CORP	COM	78440X101	6918	86400	SH	CALL	DEFINED	2	0	0	0
SLM CORP	COM	78442P106	1949	123979	SH		DEFINED	2	123979	0	0
SLM CORP	COM	78442P106	2212	140700	SH		DEFINED	9	140700	0	0
SLM CORP	COM	78442P106	2119	134821	SH		DEFINED	3	134821	0	0
SLM CORP	COM	78442P106	6230	396300	SH	PUT	DEFINED	2	0	0	0
SLM CORP	COM	78442P106	1698	108000	SH	CALL	DEFINED	2	0	0	0
SM ENERGY CO	COM	78454L100	2267	41900	SH	PUT	DEFINED	1	0	0	0
SM ENERGY CO	COM	78454L100	2733	50500	SH	PUT	DEFINED	2	0	0	0
SM ENERGY CO	COM	78454L100	752	13900	SH	CALL	DEFINED	1	0	0	0
SM ENERGY CO	COM	78454L100	10714	198000	SH	CALL	DEFINED	2	0	0	0
SMART BALANCE INC	COM	83169Y108	152	12611	SH		DEFINED	2	12611	0	0
SMART BALANCE INC	COM	83169Y108	396	32800	SH	CALL	DEFINED	2	0	0	0
SMITH & WESSON HLDG CORP	COM	831756101	794	72096	SH		DEFINED	2	72096	0	0
SMITH & WESSON HLDG CORP	COM	831756101	172	15616	SH		DEFINED	1	15616	0	0
SMITH & WESSON HLDG CORP	COM	831756101	1551	140900	SH	PUT	DEFINED	2	0	0	0
SMITH & WESSON HLDG CORP	COM	831756101	131	11900	SH	PUT	DEFINED	1	0	0	0
SMITH & WESSON HLDG CORP	COM	831756101	4187	380300	SH	CALL	DEFINED	2	0	0	0
SMITH A O	COM	831865209	903	15700	SH	PUT	DEFINED	2	0	0	0
SMITH A O	COM	831865209	1013	17600	SH	CALL	DEFINED	2	0	0	0
SMITH MICRO SOFTWARE INC	COM	832154108	190	117753	SH		DEFINED	3	117753	0	0
SMITHFIELD FOODS INC	COM	832248108	2896	147363	SH		DEFINED	3	147363	0	0
SMITHFIELD FOODS INC	COM	832248108	1311	66732	SH		DEFINED	2	66732	0	0
SMITHFIELD FOODS INC	COM	832248108	1370	69700	SH	PUT	DEFINED	1	0	0	0
SMITHFIELD FOODS INC	COM	832248108	13071	665200	SH	PUT	DEFINED	2	0	0	0
SMITHFIELD FOODS INC	COM	832248108	7960	405100	SH	CALL	DEFINED	2	0	0	0
SMITHFIELD FOODS INC	COM	832248108	263	13400	SH	CALL	DEFINED	3	0	0	0
SMITHFIELD FOODS INC	COM	832248108	1358	69100	SH	CALL	DEFINED	1	0	0	0
SMUCKER J M CO	COM NEW	832696405	3372	39054	SH		DEFINED	3	39054	0	0
SMUCKER J M CO	COM NEW	832696405	3505	40600	SH		DEFINED	9	40600	0	0
SMUCKER J M CO	COM NEW	832696405	627	7262	SH		DEFINED	2	7262	0	0
SMUCKER J M CO	COM NEW	832696405	449	5200	SH	PUT	DEFINED	1	0	0	0
SMUCKER J M CO	COM NEW	832696405	4075	47200	SH	PUT	DEFINED	2	0	0	0
SMUCKER J M CO	COM NEW	832696405	10610	122900	SH	CALL	DEFINED	2	0	0	0
SMUCKER J M CO	COM NEW	832696405	380	4400	SH	CALL	DEFINED	1	0	0	0
SNAP ON INC	COM	833034101	478	6650	SH		DEFINED	2	6650	0	0
SNAP ON INC	COM	833034101	525	7300	SH	PUT	DEFINED	2	0	0	0
SNAP ON INC	COM	833034101	273	3800	SH	CALL	DEFINED	2	0	0	0
SNYDERS-LANCE INC	COM	833551104	200	8012	SH		DEFINED	3	8012	0	0
SOCIEDAD QUIMICA MINERA DE C	SPON ADR SER B	833635105	812	13166	SH		DEFINED	2	13166	0	0
SOCIEDAD QUIMICA MINERA DE C	SPON ADR SER B	833635105	1134	18400	SH	PUT	DEFINED	2	0	0	0
SOCIEDAD QUIMICA MINERA DE C	SPON ADR SER B	833635105	1220	19800	SH	CALL	DEFINED	2	0	0	0
SOCIEDAD QUIMICA MINERA DE C	SPON ADR SER B	833635105	203	3300	SH	CALL	DEFINED	1	0	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	754	19253	SH		DEFINED	1	19253	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	213	5450	SH		DEFINED	3	5450	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	880	22470	SH		DEFINED	2	22470	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	21849	557800	SH	PUT	DEFINED	2	0	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	3694	94300	SH	PUT	DEFINED	1	0	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	3169	80900	SH	CALL	DEFINED	1	0	0	0
SODASTREAM INTERNATIONAL LTD	USD SHS	M9068E105	22456	573300	SH	CALL	DEFINED	2	0	0	0
SOHU COM INC	COM	83408W103	6429	152746	SH		DEFINED	2	152746	0	0
SOHU COM INC	COM	83408W103	2408	57200	SH	PUT	DEFINED	1	0	0	0
SOHU COM INC	COM	83408W103	19538	464200	SH	PUT	DEFINED	2	0	0	0
SOHU COM INC	COM	83408W103	16192	384700	SH	CALL	DEFINED	2	0	0	0
SOHU COM INC	COM	83408W103	7353	174700	SH	CALL	DEFINED	1	0	0	0
SOLARWINDS INC	COM	83416B109	306	5484	SH		DEFINED	1	5484	0	0
SOLARWINDS INC	COM	83416B109	223	4004	SH		DEFINED	3	4004	0	0
SOLARWINDS INC	COM	83416B109	2787	50000	SH	PUT	DEFINED	3	0	0	0
SOLARWINDS INC	COM	83416B109	1299	23300	SH	PUT	DEFINED	1	0	0	0
SOLARWINDS INC	COM	83416B109	9002	161500	SH	PUT	DEFINED	2	0	0	0
SOLARWINDS INC	COM	83416B109	6867	123200	SH	CALL	DEFINED	2	0	0	0
SOLARWINDS INC	COM	83416B109	1901	34100	SH	CALL	DEFINED	1	0	0	0
SOLAZYME INC	COM	83415T101	781	68005	SH		DEFINED	2	68005	0	0
SOLAZYME INC	COM	83415T101	502	43700	SH	PUT	DEFINED	2	0	0	0
SOLAZYME INC	COM	83415T101	759	66100	SH	CALL	DEFINED	2	0	0	0
SOLTA MED INC	COM	83438K103	41	13000	SH		DEFINED	2	13000	0	0
SONIC AUTOMOTIVE INC	CL A	83545G102	353	18600	SH		DEFINED	9	18600	0	0
SONIC AUTOMOTIVE INC	CL A	83545G102	288	15158	SH		DEFINED	3	15158	0	0
SONIC AUTOMOTIVE INC	CL A	83545G102	1841	97000	SH	CALL	DEFINED	2	0	0	0
SONIC CORP	COM	835451105	181	17583	SH		DEFINED	3	17583	0	0
SONIC CORP	COM	835451105	378	36800	SH	CALL	DEFINED	2	0	0	0
SONOCO PRODS CO	COM	835495102	1728	55748	SH		DEFINED	2	55748	0	0
SONOCO PRODS CO	COM	835495102	519	16761	SH		DEFINED	3	16761	0	0
SONOCO PRODS CO	COM	835495102	406	13100	SH	PUT	DEFINED	2	0	0	0
SONOCO PRODS CO	COM	835495102	1751	56500	SH	CALL	DEFINED	2	0	0	0
SONUS NETWORKS INC	COM	835916107	56	29970	SH		DEFINED	2	29970	0	0
SONUS NETWORKS INC	COM	835916107	19	10067	SH		DEFINED	3	10067	0	0
SONUS NETWORKS INC	COM	835916107	31	16300	SH	CALL	DEFINED	2	0	0	0
SONY CORP	ADR NEW	835699307	5109	436637	SH		DEFINED	2	436637	0	0
SONY CORP	ADR NEW	835699307	6345	542300	SH	PUT	DEFINED	2	0	0	0
SONY CORP	ADR NEW	835699307	2032	173700	SH	CALL	DEFINED	2	0	0	0
SOTHEBYS	COM	835898107	9926	315100	SH	PUT	DEFINED	2	0	0	0
SOTHEBYS	COM	835898107	287	9100	SH	PUT	DEFINED	1	0	0	0
SOTHEBYS	COM	835898107	6839	217100	SH	CALL	DEFINED	2	0	0	0
SOURCEFIRE INC	COM	83616T108	1296	26429	SH		DEFINED	1	26429	0	0
SOURCEFIRE INC	COM	83616T108	1130	23047	SH		DEFINED	2	23047	0	0
SOURCEFIRE INC	COM	83616T108	525	10700	SH	PUT	DEFINED	1	0	0	0
SOURCEFIRE INC	COM	83616T108	4736	96600	SH	PUT	DEFINED	2	0	0	0
SOURCEFIRE INC	COM	83616T108	8747	178400	SH	CALL	DEFINED	2	0	0	0
SOURCEFIRE INC	COM	83616T108	221	4500	SH	CALL	DEFINED	1	0	0	0
SOUTHERN CO	COM	842587107	3376	73256	SH		DEFINED	2	73256	0	0
SOUTHERN CO	COM	842587107	14541	315500	SH	PUT	DEFINED	2	0	0	0
SOUTHERN CO	COM	842587107	894	19400	SH	CALL	DEFINED	1	0	0	0
SOUTHERN CO	COM	842587107	19413	421200	SH	CALL	DEFINED	2	0	0	0
SOUTHERN COPPER CORP	COM	84265V105	3380	98360	SH		DEFINED	2	98360	0	0
SOUTHERN COPPER CORP	COM	84265V105	278	8096	SH		DEFINED	1	8096	0	0
SOUTHERN COPPER CORP	COM	84265V105	2647	77024	SH		DEFINED	3	77024	0	0
SOUTHERN COPPER CORP	COM	84265V105	19386	564200	SH	PUT	DEFINED	2	0	0	0
SOUTHERN COPPER CORP	COM	84265V105	6460	188000	SH	PUT	DEFINED	1	0	0	0
SOUTHERN COPPER CORP	COM	84265V105	564	16400	SH	CALL	DEFINED	3	0	0	0
SOUTHERN COPPER CORP	COM	84265V105	8968	261000	SH	CALL	DEFINED	1	0	0	0
SOUTHERN COPPER CORP	COM	84265V105	32992	960200	SH	CALL	DEFINED	2	0	0	0
SOUTHWEST AIRLS CO	COM	844741108	1702	194070	SH		DEFINED	3	194070	0	0
SOUTHWEST AIRLS CO	COM	844741108	1408	160566	SH		DEFINED	2	160566	0	0
SOUTHWEST AIRLS CO	COM	844741108	1739	198300	SH	PUT	DEFINED	2	0	0	0
SOUTHWEST AIRLS CO	COM	844741108	1068	121800	SH	CALL	DEFINED	2	0	0	0
SOUTHWEST AIRLS CO	COM	844741108	118	13400	SH	CALL	DEFINED	1	0	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	688	19789	SH		DEFINED	3	19789	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	527	15144	SH		DEFINED	1	15144	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	983	28263	SH		DEFINED	2	28263	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	2000	57500	SH	PUT	DEFINED	1	0	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	14562	418700	SH	PUT	DEFINED	2	0	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	2661	76500	SH	CALL	DEFINED	1	0	0	0
SOUTHWESTERN ENERGY CO	COM	845467109	21191	609300	SH	CALL	DEFINED	2	0	0	0
SPARK NETWORKS INC	COM	84651P100	68	11114	SH		DEFINED	2	11114	0	0
SPARTAN STORES INC	COM	846822104	184	12034	SH		DEFINED	3	12034	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	247638	1847359	SH		DEFINED	2	1847359	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	14069	104956	SH		DEFINED	3	104956	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	7544	56281	SH		DEFINED	1	56281	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	279843	2087600	SH	PUT	DEFINED	2	0	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	145163	1082900	SH	PUT	DEFINED	1	0	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	128474	958400	SH	CALL	DEFINED	2	0	0	0
SPDR DOW JONES INDL AVRG ETF	UT SER 1	78467X109	100913	752800	SH	CALL	DEFINED	1	0	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	91616	532587	SH		DEFINED	1	532587	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	8145	47347	SH		DEFINED	3	47347	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	61979	360303	SH		DEFINED	2	360303	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	41614300	3094000	SH	PUT	DEFINED	2	0	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	18757370	1394600	SH	PUT	DEFINED	1	0	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	56260005	4182900	SH	CALL	DEFINED	1	0	0	0
SPDR GOLD TRUST	GOLD SHS	78463V107	75051000	5580000	SH	CALL	DEFINED	2	0	0	0
SPDR INDEX SHS FDS	STOXX EUR 50 ETF	78463X103	1425	45105	SH		DEFINED	3	45105	0	0
SPDR INDEX SHS FDS	EURO STOXX 50	78463X202	3227	104003	SH		DEFINED	3	104003	0	0
SPDR INDEX SHS FDS	EURO STOXX 50	78463X202	1431	46104	SH		DEFINED	2	46104	0	0
SPDR INDEX SHS FDS	EURO STOXX 50	78463X202	10429	336100	SH	PUT	DEFINED	2	0	0	0
SPDR INDEX SHS FDS	EURO STOXX 50	78463X202	1257	40500	SH	CALL	DEFINED	2	0	0	0
SPDR INDEX SHS FDS	ASIA PACIF ETF	78463X301	5912	81192	SH		DEFINED	2	81192	0	0
SPDR INDEX SHS FDS	S^P CHINA ETF	78463X400	7631	117208	SH		DEFINED	2	117208	0	0
SPDR INDEX SHS FDS	S^P CHINA ETF	78463X400	255	3923	SH		DEFINED	3	3923	0	0
SPDR INDEX SHS FDS	MSCI EM50 ETF	78463X467	4615	97669	SH		DEFINED	2	97669	0	0
SPDR INDEX SHS FDS	EMERG MKTS ETF	78463X509	568	8948	SH		DEFINED	3	8948	0	0
SPDR INDEX SHS FDS	EMERG MKTS ETF	78463X509	861	13552	SH		DEFINED	2	13552	0	0
SPDR INDEX SHS FDS	S^P EM MKT DIV	78463X533	2307	52943	SH		DEFINED	2	52943	0	0
SPDR INDEX SHS FDS	S^P EM MKT DIV	78463X533	523	12000	SH		DEFINED	3	12000	0	0
SPDR INDEX SHS FDS	GLB NAT RESRCE	78463X541	548	10800	SH		DEFINED	3	10800	0	0
SPDR INDEX SHS FDS	GLB NAT RESRCE	78463X541	562	11060	SH		DEFINED	2	11060	0	0
SPDR INDEX SHS FDS	S^P RUSSIA ETF	78463X558	919	32086	SH		DEFINED	3	32086	0	0
SPDR INDEX SHS FDS	EUROPE ETF	78463X608	1111	27008	SH		DEFINED	2	27008	0	0
SPDR INDEX SHS FDS	INTL UTILT ETF	78463X632	2362	143478	SH		DEFINED	2	143478	0	0
SPDR INDEX SHS FDS	INTL TELEC ETF	78463X640	974	42558	SH		DEFINED	2	42558	0	0
SPDR INDEX SHS FDS	INTL TECH ETF	78463X657	1005	41997	SH		DEFINED	2	41997	0	0
SPDR INDEX SHS FDS	INTL TECH ETF	78463X657	495	20714	SH		DEFINED	3	20714	0	0
SPDR INDEX SHS FDS	INTL MTRLS SEC	78463X665	2292	97716	SH		DEFINED	2	97716	0	0
SPDR INDEX SHS FDS	INTL MTRLS SEC	78463X665	235	9998	SH		DEFINED	3	9998	0	0
SPDR INDEX SHS FDS	INTL INDS ETF	78463X673	384	15628	SH		DEFINED	3	15628	0	0
SPDR INDEX SHS FDS	INTL INDS ETF	78463X673	2257	91815	SH		DEFINED	2	91815	0	0
SPDR INDEX SHS FDS	INTL FINL ETF	78463X699	377	21489	SH		DEFINED	2	21489	0	0
SPDR INDEX SHS FDS	LATIN AMER ETF	78463X707	5426	76373	SH		DEFINED	2	76373	0	0
SPDR INDEX SHS FDS	INTL ENRGY ETF	78463X715	1065	42499	SH		DEFINED	2	42499	0	0
SPDR INDEX SHS FDS	CONSM SPLS ETF	78463X723	801	23263	SH		DEFINED	2	23263	0	0
SPDR INDEX SHS FDS	S^P INTL CONS	78463X731	231	8405	SH		DEFINED	3	8405	0	0
SPDR INDEX SHS FDS	S^P INTL CONS	78463X731	317	11551	SH		DEFINED	2	11551	0	0
SPDR INDEX SHS FDS	DJ GLB RL ES ETF	78463X749	6808	168013	SH		DEFINED	2	168013	0	0
SPDR INDEX SHS FDS	S^P EMKTSC ETF	78463X756	2332	52459	SH		DEFINED	2	52459	0	0
SPDR INDEX SHS FDS	S^PINTL MC ETF	78463X764	2855	103387	SH		DEFINED	2	103387	0	0
SPDR INDEX SHS FDS	S^P INTL ETF	78463X772	12685	280465	SH		DEFINED	3	280465	0	0
SPDR INDEX SHS FDS	S^P BRIC 40ETF	78463X798	454	19809	SH		DEFINED	3	19809	0	0
SPDR INDEX SHS FDS	S^P BRIC 40ETF	78463X798	3488	152294	SH		DEFINED	2	152294	0	0
SPDR INDEX SHS FDS	MIDEAST AFRICA	78463X806	4822	68732	SH		DEFINED	2	68732	0	0
SPDR INDEX SHS FDS	RUSS NOM SC JP	78463X822	347	8417	SH		DEFINED	2	8417	0	0
SPDR INDEX SHS FDS	RUSS NOM SC JP	78463X822	1341	32526	SH		DEFINED	3	32526	0	0
SPDR INDEX SHS FDS	MSCI ACWI EXUS	78463X848	2547	83924	SH		DEFINED	3	83924	0	0
SPDR INDEX SHS FDS	MSCI ACWI EXUS	78463X848	4749	156504	SH		DEFINED	2	156504	0	0
SPDR INDEX SHS FDS	MACQU GLBIN100	78463X855	2830	69986	SH		DEFINED	2	69986	0	0
SPDR INDEX SHS FDS	DJ INTL RL ETF	78463X863	3175	80890	SH		DEFINED	2	80890	0	0
SPDR INDEX SHS FDS	DJ INTL RL ETF	78463X863	3879	98824	SH		DEFINED	3	98824	0	0
SPDR INDEX SHS FDS	S^P INTL SMLCP	78463X871	2382	87158	SH		DEFINED	2	87158	0	0
SPDR INDEX SHS FDS	S^P INTL SMLCP	78463X871	600	21950	SH		DEFINED	3	21950	0	0
SPDR INDEX SHS FDS	S^P WRLD EX US	78463X889	395	16541	SH		DEFINED	3	16541	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	396211	2752805	SH		DEFINED	3	2752805	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	1885	13100	SH		DEFINED	"5,7"	13100	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	4886449	33950175	SH		DEFINED	2	33950175	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	9112	63000	SH	PUT	DEFINED	3	0	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	1979818	13687900	SH	PUT	DEFINED	1	0	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	3918789	27093400	SH	PUT	DEFINED	2	0	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	2277791	15748000	SH	CALL	DEFINED	2	0	0	0
SPDR S^P 500 ETF TR	TR UNIT	78462F103	1166681	8066100	SH	CALL	DEFINED	1	0	0	0
SPDR S^P MIDCAP 400 ETF TR	UTSER1 S^PDCRP	78467Y107	33393	185600	SH		DEFINED	1	185600	0	0
SPDR S^P MIDCAP 400 ETF TR	UTSER1 S^PDCRP	78467Y107	44188	245600	SH		DEFINED	2	245600	0	0
SPDR S^P MIDCAP 400 ETF TR	UTSER1 S^PDCRP	78467Y107	72976	405600	SH	PUT	DEFINED	2	0	0	0
SPDR S^P MIDCAP 400 ETF TR	UTSER1 S^PDCRP	78467Y107	45232	251400	SH	PUT	DEFINED	1	0	0	0
SPDR S^P MIDCAP 400 ETF TR	UTSER1 S^PDCRP	78467Y107	117074	650700	SH	CALL	DEFINED	1	0	0	0
SPDR S^P MIDCAP 400 ETF TR	UTSER1 S^PDCRP	78467Y107	64933	360900	SH	CALL	DEFINED	2	0	0	0
SPDR SER TR	SPDR BOFA CRSS	78468R606	591	22462	SH		DEFINED	3	22462	0	0
SPDR SERIES TRUST	MORGAN TECH ETF	78464A102	399	5853	SH		DEFINED	3	5853	0	0
SPDR SERIES TRUST	CP ISSUE CP BD	78464A144	1555	47266	SH		DEFINED	3	47266	0	0
SPDR SERIES TRUST	BRCLY INTL CRP	78464A151	1714	50256	SH		DEFINED	3	50256	0	0
SPDR SERIES TRUST	S^P 600 SMCP GRW	78464A201	14717	116766	SH		DEFINED	2	116766	0	0
SPDR SERIES TRUST	BRCLY CP US BD	78464A276	7686	127225	SH		DEFINED	3	127225	0	0
SPDR SERIES TRUST	WELLS FG PFD ETF	78464A292	2328	51034	SH		DEFINED	3	51034	0	0
SPDR SERIES TRUST	S^P 600 SMCP VAL	78464A300	1263	16600	SH		DEFINED	3	16600	0	0
SPDR SERIES TRUST	S^P 600 SMCP VAL	78464A300	3086	40559	SH		DEFINED	2	40559	0	0
SPDR SERIES TRUST	SHRT INTL ETF	78464A334	1408	38129	SH		DEFINED	3	38129	0	0
SPDR SERIES TRUST	INTR TRM CORP BD	78464A375	1887	54107	SH		DEFINED	3	54107	0	0
SPDR SERIES TRUST	CAP MORTG ETF	78464A383	2357	84387	SH		DEFINED	3	84387	0	0
SPDR SERIES TRUST	BRCLY EM LOCL	78464A391	2005	62196	SH		DEFINED	3	62196	0	0
SPDR SERIES TRUST	S^P 500 GROWTH	78464A409	1172	17391	SH		DEFINED	2	17391	0	0
SPDR SERIES TRUST	BRCLYS YLD ETF	78464A417	338	8400	SH		DEFINED	"5,7"	8400	0	0
SPDR SERIES TRUST	BRCLYS YLD ETF	78464A417	1930	48000	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	BRCLYS YLD ETF	78464A417	458	11400	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	NUVN BR NY MUNI	78464A433	2432	100000	SH		DEFINED		100000	0	0
SPDR SERIES TRUST	NUVN CALI MUNI	78464A441	2486	100000	SH		DEFINED		100000	0	0
SPDR SERIES TRUST	S^P 500 VALUE	78464A508	1898	26579	SH		DEFINED	2	26579	0	0
SPDR SERIES TRUST	BRCLYS INTL ETF	78464A516	788	12800	SH		DEFINED	2	12800	0	0
SPDR SERIES TRUST	BRCLYS INTL ETF	78464A516	1090	17700	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P MTG FIN	78464A524	1736	42001	SH		DEFINED	3	42001	0	0
SPDR SERIES TRUST	S^P TRANSN ETF	78464A532	552	11519	SH		DEFINED	2	11519	0	0
SPDR SERIES TRUST	HLTH CR EQUIP	78464A581	3134	52076	SH		DEFINED	2	52076	0	0
SPDR SERIES TRUST	COMP SOFTWARE	78464A599	2853	43617	SH		DEFINED	2	43617	0	0
SPDR SERIES TRUST	AEROSPACE DEF	78464A631	2008	33067	SH		DEFINED	2	33067	0	0
SPDR SERIES TRUST	BRCLYS AGG ETF	78464A649	10977	185485	SH		DEFINED	3	185485	0	0
SPDR SERIES TRUST	BARCL CAP TIPS	78464A656	2133	35157	SH		DEFINED	3	35157	0	0
SPDR SERIES TRUST	BRCLYS LG TRS ET	78464A664	3866	53860	SH		DEFINED	3	53860	0	0
SPDR SERIES TRUST	BRCLYS 1-3MT ETF	78464A680	989	21596	SH		DEFINED	3	21596	0	0
SPDR SERIES TRUST	S^P REGL BKG	78464A698	9336	325964	SH		DEFINED	3	325964	0	0
SPDR SERIES TRUST	S^P REGL BKG	78464A698	1520	53071	SH		DEFINED	2	53071	0	0
SPDR SERIES TRUST	S^P REGL BKG	78464A698	3308	115500	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P REGL BKG	78464A698	1378	48100	SH	CALL	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P REGL BKG	78464A698	3700	129200	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	GLB DOW ETF	78464A706	4377	81725	SH		DEFINED	3	81725	0	0
SPDR SERIES TRUST	GLB DOW ETF	78464A706	2285	42668	SH		DEFINED	2	42668	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	3864	61600	SH		DEFINED	1	61600	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	39857	635468	SH		DEFINED	3	635468	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	15620	249042	SH		DEFINED	2	249042	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	28124	448400	SH	PUT	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	15329	244400	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	2452	39100	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P RETAIL ETF	78464A714	10179	162300	SH	CALL	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P PHARMAC	78464A722	718	12016	SH		DEFINED	2	12016	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	6123	109952	SH		DEFINED	3	109952	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	23245	417392	SH		DEFINED	2	417392	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	273	4900	SH		DEFINED	1	4900	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	20243	363500	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	7769	139500	SH	PUT	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	724	13000	SH	CALL	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P OILGAS EXP	78464A730	35335	634500	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	OILGAS EQUIP	78464A748	233	6852	SH		DEFINED	3	6852	0	0
SPDR SERIES TRUST	OILGAS EQUIP	78464A748	779	22924	SH		DEFINED	2	22924	0	0
SPDR SERIES TRUST	OILGAS EQUIP	78464A748	506	14900	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	2293	52698	SH		DEFINED	2	52698	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	9727	223498	SH		DEFINED	1	223498	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	16302	374594	SH		DEFINED	3	374594	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	14105	324100	SH	PUT	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	7903	181600	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	17369	399100	SH	CALL	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P METALS MNG	78464A755	8195	188300	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P DIVID ETF	78464A763	13996	240900	SH		DEFINED	2	240900	0	0
SPDR SERIES TRUST	S^P DIVID ETF	78464A763	7489	128900	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P DIVID ETF	78464A763	401	6900	SH	PUT	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P DIVID ETF	78464A763	5822	100200	SH	CALL	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P DIVID ETF	78464A763	6193	106600	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P CAP MKTS	78464A771	1663	51431	SH		DEFINED	3	51431	0	0
SPDR SERIES TRUST	S^P CAP MKTS	78464A771	262	8100	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P CAP MKTS	78464A771	249	7700	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P INS ETF	78464A789	801	18923	SH		DEFINED	3	18923	0	0
SPDR SERIES TRUST	S^P INS ETF	78464A789	2188	51686	SH		DEFINED	2	51686	0	0
SPDR SERIES TRUST	S^P INS ETF	78464A789	279	6600	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P INS ETF	78464A789	360	8500	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P BK ETF	78464A797	17209	732930	SH		DEFINED	3	732930	0	0
SPDR SERIES TRUST	S^P BK ETF	78464A797	13898	591900	SH		DEFINED	2	591900	0	0
SPDR SERIES TRUST	S^P BK ETF	78464A797	383	16300	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P BK ETF	78464A797	42576	1813300	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	DJ TTL MKT ETF	78464A805	4115	38412	SH		DEFINED	2	38412	0	0
SPDR SERIES TRUST	DJ TTL MKT ETF	78464A805	6965	65025	SH		DEFINED	3	65025	0	0
SPDR SERIES TRUST	S^P 600 SML CAP	78464A813	16754	225827	SH		DEFINED	2	225827	0	0
SPDR SERIES TRUST	S^P 400 MDCP GRW	78464A821	4254	51102	SH		DEFINED	2	51102	0	0
SPDR SERIES TRUST	S^P 400 MDCP GRW	78464A821	894	10739	SH		DEFINED	3	10739	0	0
SPDR SERIES TRUST	DJ MID CAP ETF	78464A847	5813	90123	SH		DEFINED	2	90123	0	0
SPDR SERIES TRUST	DJ LRG CAP ETF	78464A854	577	8569	SH		DEFINED	3	8569	0	0
SPDR SERIES TRUST	DJ LRG CAP ETF	78464A854	4432	65831	SH		DEFINED	2	65831	0	0
SPDR SERIES TRUST	S^P SEMICNDCTR	78464A862	1229	28291	SH		DEFINED	2	28291	0	0
SPDR SERIES TRUST	S^P SEMICNDCTR	78464A862	1011	23279	SH		DEFINED	3	23279	0	0
SPDR SERIES TRUST	S^P BIOTECH	78464A870	4717	50500	SH		DEFINED	2	50500	0	0
SPDR SERIES TRUST	S^P BIOTECH	78464A870	2876	30785	SH		DEFINED	3	30785	0	0
SPDR SERIES TRUST	S^P BIOTECH	78464A870	981	10500	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P BIOTECH	78464A870	2587	27700	SH	CALL	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P HOMEBUILD	78464A888	20874	841035	SH		DEFINED	2	841035	0	0
SPDR SERIES TRUST	S^P HOMEBUILD	78464A888	4331	174500	SH	PUT	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P HOMEBUILD	78464A888	11574	466300	SH	PUT	DEFINED	2	0	0	0
SPDR SERIES TRUST	S^P HOMEBUILD	78464A888	11090	446800	SH	CALL	DEFINED	1	0	0	0
SPDR SERIES TRUST	S^P HOMEBUILD	78464A888	9231	371900	SH	CALL	DEFINED	2	0	0	0
SPECTRA ENERGY CORP	COM	847560109	1157	39403	SH		DEFINED	2	39403	0	0
SPECTRA ENERGY CORP	COM	847560109	731	24900	SH	PUT	DEFINED	2	0	0	0
SPECTRA ENERGY CORP	COM	847560109	1905	64900	SH	CALL	DEFINED	3	0	0	0
SPECTRA ENERGY CORP	COM	847560109	13884	472900	SH	CALL	DEFINED	2	0	0	0
SPECTRA ENERGY CORP	COM	847560109	499	17000	SH	CALL	DEFINED	1	0	0	0
SPECTRA ENERGY PARTNERS LP	COM	84756N109	270	8470	SH		DEFINED	3	8470	0	0
SPECTRANETICS CORP	COM	84760C107	229	15500	SH	CALL	DEFINED	2	0	0	0
SPECTRUM BRANDS HLDGS INC	COM	84763R101	652	16300	SH	PUT	DEFINED	2	0	0	0
SPECTRUM BRANDS HLDGS INC	COM	84763R101	864	21600	SH	CALL	DEFINED	2	0	0	0
SPECTRUM PHARMACEUTICALS INC	COM	84763A108	128	10931	SH		DEFINED	1	10931	0	0
SPECTRUM PHARMACEUTICALS INC	COM	84763A108	2385	203859	SH		DEFINED	2	203859	0	0
SPECTRUM PHARMACEUTICALS INC	COM	84763A108	3420	292300	SH	PUT	DEFINED	2	0	0	0
SPECTRUM PHARMACEUTICALS INC	COM	84763A108	556	47500	SH	PUT	DEFINED	1	0	0	0
SPECTRUM PHARMACEUTICALS INC	COM	84763A108	1513	129300	SH	CALL	DEFINED	2	0	0	0
SPEEDWAY MOTORSPORTS INC	COM	847788106	211	13700	SH		DEFINED	9	13700	0	0
SPIRIT AEROSYSTEMS HLDGS INC	COM CL A	848574109	224	10100	SH	PUT	DEFINED	1	0	0	0
SPIRIT AEROSYSTEMS HLDGS INC	COM CL A	848574109	242	10900	SH	PUT	DEFINED	2	0	0	0
SPIRIT AIRLS INC	COM	848577102	475	27800	SH	PUT	DEFINED	2	0	0	0
SPLUNK INC	COM	848637104	281	7642	SH		DEFINED	3	7642	0	0
SPLUNK INC	COM	848637104	1135	30900	SH	PUT	DEFINED	2	0	0	0
SPLUNK INC	COM	848637104	345	9400	SH	CALL	DEFINED	1	0	0	0
SPLUNK INC	COM	848637104	2684	73100	SH	CALL	DEFINED	2	0	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	978	47700	SH		DEFINED	9	47700	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	481	23388	SH		DEFINED	1	23388	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	1147	55795	SH		DEFINED	2	55795	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	5154	250700	SH	PUT	DEFINED	2	0	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	903	43900	SH	PUT	DEFINED	1	0	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	1197	58200	SH	CALL	DEFINED	1	0	0	0
SPREADTRUM COMMUNICATIONS IN	ADR	849415203	3140	152700	SH	CALL	DEFINED	2	0	0	0
SPRINT NEXTEL CORP	COM SER 1	852061100	1281	232022	SH		DEFINED	1	232022	0	0
SPRINT NEXTEL CORP	COM SER 1	852061100	5712	1034721	SH		DEFINED	2	1034721	0	0
SPRINT NEXTEL CORP	COM SER 1	852061100	622	112700	SH	PUT	DEFINED	1	0	0	0
SPRINT NEXTEL CORP	COM SER 1	852061100	17332	3139900	SH	PUT	DEFINED	2	0	0	0
SPRINT NEXTEL CORP	COM SER 1	852061100	638	115600	SH	CALL	DEFINED	1	0	0	0
SPRINT NEXTEL CORP	COM SER 1	852061100	23822	4315500	SH	CALL	DEFINED	2	0	0	0
SPROTT PHYSICAL SILVER TR	TR UNIT	85207K107	7281	515275	SH		DEFINED	3	515275	0	0
SPX CORP	COM	784635104	1563	23900	SH	PUT	DEFINED	2	0	0	0
SPX CORP	COM	784635104	1387	21200	SH	CALL	DEFINED	3	0	0	0
SPX CORP	COM	784635104	5409	82700	SH	CALL	DEFINED	2	0	0	0
SSGA ACTIVE ETF TR	INCOM ALLO ETF	78467V202	807	26369	SH		DEFINED	3	26369	0	0
SSGA ACTIVE ETF TR	GLOBL ALLO ETF	78467V400	905	29703	SH		DEFINED	3	29703	0	0
ST JOE CO	COM	790148100	2319	118940	SH		DEFINED	2	118940	0	0
ST JOE CO	COM	790148100	6815	349500	SH	PUT	DEFINED	2	0	0	0
ST JOE CO	COM	790148100	753	38600	SH	CALL	DEFINED	2	0	0	0
ST JUDE MED INC	COM	790849103	800	19000	SH		DEFINED	2	19000	0	0
ST JUDE MED INC	COM	790849103	608	14426	SH		DEFINED	3	14426	0	0
ST JUDE MED INC	COM	790849103	809	19200	SH	PUT	DEFINED	1	0	0	0
ST JUDE MED INC	COM	790849103	2818	66900	SH	PUT	DEFINED	3	0	0	0
ST JUDE MED INC	COM	790849103	11923	283000	SH	PUT	DEFINED	2	0	0	0
ST JUDE MED INC	COM	790849103	522	12400	SH	CALL	DEFINED	1	0	0	0
ST JUDE MED INC	COM	790849103	4761	113000	SH	CALL	DEFINED	2	0	0	0
STAAR SURGICAL CO	COM PAR $0.01	852312305	82	10900	SH	PUT	DEFINED	2	0	0	0
STAG INDL INC	COM	85254J102	236	14500	SH		DEFINED	9	14500	0	0
STAGE STORES INC	COM NEW	85254C305	369	17500	SH		DEFINED	9	17500	0	0
STAGE STORES INC	COM NEW	85254C305	206	9784	SH		DEFINED	3	9784	0	0
STAMPS COM INC	COM NEW	852857200	279	12048	SH		DEFINED	2	12048	0	0
STANDARD MTR PRODS INC	COM	853666105	295	16000	SH	PUT	DEFINED	2	0	0	0
STANDARD PAC CORP NEW	COM	85375C101	85	12600	SH		DEFINED	2	12600	0	0
STANDARD PAC CORP NEW	COM	85375C101	644	95319	SH		DEFINED	3	95319	0	0
STANDARD PAC CORP NEW	COM	85375C101	112	16500	SH	PUT	DEFINED	1	0	0	0
STANDARD PAC CORP NEW	COM	85375C101	502	74300	SH	PUT	DEFINED	2	0	0	0
STANDARD PAC CORP NEW	COM	85375C101	2932	433800	SH	CALL	DEFINED	2	0	0	0
STANDARD PAC CORP NEW	COM	85375C101	99	14700	SH	CALL	DEFINED	1	0	0	0
STANDARD REGISTER CO	COM	853887107	60	84561	SH		DEFINED	3	84561	0	0
STANLEY BLACK & DECKER INC	COM	854502101	248	3255	SH		DEFINED	3	3255	0	0
STANLEY BLACK & DECKER INC	COM	854502101	3102	40687	SH		DEFINED	2	40687	0	0
STANLEY BLACK & DECKER INC	COM	854502101	24941	327100	SH	PUT	DEFINED	2	0	0	0
STANLEY BLACK & DECKER INC	COM	854502101	28861	378500	SH	CALL	DEFINED	2	0	0	0
STANLEY BLACK & DECKER INC	COM	854502101	671	8800	SH	CALL	DEFINED	1	0	0	0
STANLEY BLACK & DECKER INC	UNIT 99/99/9999	854502309	428	3404	SH		DEFINED	3	3404	0	0
STANTEC INC	COM	85472N109	289	8500	SH		DEFINED	3	8500	0	0
STAPLES INC	COM	855030102	6091	528709	SH		DEFINED	2	528709	0	0
STAPLES INC	COM	855030102	519	45024	SH		DEFINED	1	45024	0	0
STAPLES INC	COM	855030102	975	84673	SH		DEFINED	3	84673	0	0
STAPLES INC	COM	855030102	9800	850700	SH	PUT	DEFINED	2	0	0	0
STAPLES INC	COM	855030102	2774	240800	SH	PUT	DEFINED	1	0	0	0
STAPLES INC	COM	855030102	13989	1214300	SH	CALL	DEFINED	2	0	0	0
STAPLES INC	COM	855030102	2333	202500	SH	CALL	DEFINED	1	0	0	0
STAR SCIENTIFIC INC	COM	85517P101	2753	795720	SH		DEFINED	2	795720	0	0
STAR SCIENTIFIC INC	COM	85517P101	109	31560	SH		DEFINED	1	31560	0	0
STAR SCIENTIFIC INC	COM	85517P101	143	41327	SH		DEFINED	3	41327	0	0
STAR SCIENTIFIC INC	COM	85517P101	2591	748900	SH	PUT	DEFINED	2	0	0	0
STAR SCIENTIFIC INC	COM	85517P101	3322	960100	SH	CALL	DEFINED	2	0	0	0
STARBUCKS CORP	COM	855244109	261	5140	SH		DEFINED	1	5140	0	0
STARBUCKS CORP	COM	855244109	59049	1163535	SH		DEFINED	2	1163535	0	0
STARBUCKS CORP	COM	855244109	957	18850	SH		DEFINED	3	18850	0	0
STARBUCKS CORP	COM	855244109	7861	154900	SH	PUT	DEFINED	1	0	0	0
STARBUCKS CORP	COM	855244109	108483	2137600	SH	PUT	DEFINED	2	0	0	0
STARBUCKS CORP	COM	855244109	31018	611200	SH	CALL	DEFINED	2	0	0	0
STARBUCKS CORP	COM	855244109	477	9400	SH	CALL	DEFINED	3	0	0	0
STARBUCKS CORP	COM	855244109	9343	184100	SH	CALL	DEFINED	1	0	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	1643	28339	SH		DEFINED	1	28339	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	16114	278027	SH		DEFINED	2	278027	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	67187	1159200	SH	PUT	DEFINED	2	0	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	6184	106700	SH	PUT	DEFINED	1	0	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	1443	24900	SH	CALL	DEFINED	3	0	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	2342	40400	SH	CALL	DEFINED	1	0	0	0
STARWOOD HOTELS^RESORTS WRLD	COM	85590A401	47817	825000	SH	CALL	DEFINED	2	0	0	0
STATE STR CORP	COM	857477103	1017	24239	SH		DEFINED	1	24239	0	0
STATE STR CORP	COM	857477103	1694	40382	SH		DEFINED	2	40382	0	0
STATE STR CORP	COM	857477103	1365	32539	SH		DEFINED	3	32539	0	0
STATE STR CORP	COM	857477103	7536	179600	SH	PUT	DEFINED	2	0	0	0
STATE STR CORP	COM	857477103	1057	25200	SH	PUT	DEFINED	1	0	0	0
STATE STR CORP	COM	857477103	1154	27500	SH	CALL	DEFINED	1	0	0	0
STATE STR CORP	COM	857477103	17594	419300	SH	CALL	DEFINED	2	0	0	0
STATOIL ASA	SPONSORED ADR	85771P102	856	33200	SH	PUT	DEFINED	2	0	0	0
STATOIL ASA	SPONSORED ADR	85771P102	9096	352700	SH	CALL	DEFINED	2	0	0	0
STEC INC	COM	784774101	76	11243	SH		DEFINED	1	11243	0	0
STEC INC	COM	784774101	454	67200	SH	PUT	DEFINED	1	0	0	0
STEC INC	COM	784774101	3110	460800	SH	PUT	DEFINED	2	0	0	0
STEC INC	COM	784774101	465	68900	SH	CALL	DEFINED	1	0	0	0
STEC INC	COM	784774101	4001	592700	SH	CALL	DEFINED	2	0	0	0
STEEL DYNAMICS INC	COM	858119100	7585	675466	SH		DEFINED	2	675466	0	0
STEEL DYNAMICS INC	COM	858119100	230	20470	SH		DEFINED	3	20470	0	0
STEEL DYNAMICS INC	COM	858119100	17875	1591700	SH	PUT	DEFINED	2	0	0	0
STEEL DYNAMICS INC	COM	858119100	127	11300	SH	CALL	DEFINED	1	0	0	0
STEEL DYNAMICS INC	COM	858119100	906	80700	SH	CALL	DEFINED	2	0	0	0
STEELCASE INC	CL A	858155203	284	28800	SH		DEFINED	9	28800	0	0
STEELCASE INC	CL A	858155203	382	38800	SH	CALL	DEFINED	2	0	0	0
STEIN MART INC	COM	858375108	88	10359	SH		DEFINED	2	10359	0	0
STEREOTAXIS INC	COM NEW	85916J409	24	16630	SH		DEFINED	3	16630	0	0
STERICYCLE INC	COM	858912108	3938	43504	SH		DEFINED	2	43504	0	0
STERICYCLE INC	COM	858912108	1340	14800	SH	PUT	DEFINED	2	0	0	0
STERICYCLE INC	COM	858912108	3820	42200	SH	CALL	DEFINED	2	0	0	0
STERIS CORP	COM	859152100	363	10231	SH		DEFINED	3	10231	0	0
STERIS CORP	COM	859152100	270	7600	SH	PUT	DEFINED	2	0	0	0
STERIS CORP	COM	859152100	1586	44700	SH	CALL	DEFINED	2	0	0	0
STERLING FINL CORP WASH	COM NEW	859319303	332	14900	SH	PUT	DEFINED	2	0	0	0
STERLING FINL CORP WASH	COM NEW	859319303	356	16000	SH	CALL	DEFINED	2	0	0	0
STERLITE INDS INDIA LTD	ADS	859737207	160	21100	SH	PUT	DEFINED	2	0	0	0
STEWART ENTERPRISES INC	CL A	860370105	108	12900	SH	CALL	DEFINED	2	0	0	0
STEWART INFORMATION SVCS COR	COM	860372101	216	10736	SH		DEFINED	3	10736	0	0
STEWART INFORMATION SVCS COR	NOTE   6.000%10/1	860372AB7	3294	2000000	PRN		DEFINED	"5,8"	0	0	0
STIFEL FINL CORP	COM	860630102	812	24158	SH		DEFINED	3	24158	0	0
STIFEL FINL CORP	COM	860630102	239	7100	SH	PUT	DEFINED	2	0	0	0
STILLWATER MNG CO	COM	86074Q102	381	32343	SH		DEFINED	1	32343	0	0
STILLWATER MNG CO	COM	86074Q102	355	30146	SH		DEFINED	2	30146	0	0
STILLWATER MNG CO	COM	86074Q102	752	63757	SH		DEFINED	3	63757	0	0
STILLWATER MNG CO	COM	86074Q102	801	67900	SH	PUT	DEFINED	1	0	0	0
STILLWATER MNG CO	COM	86074Q102	6115	518700	SH	PUT	DEFINED	2	0	0	0
STILLWATER MNG CO	COM	86074Q102	1250	106000	SH	CALL	DEFINED	1	0	0	0
STILLWATER MNG CO	COM	86074Q102	11883	1007900	SH	CALL	DEFINED	2	0	0	0
STMICROELECTRONICS N V	NY REGISTRY	861012102	224	41400	SH	PUT	DEFINED	2	0	0	0
STMICROELECTRONICS N V	NY REGISTRY	861012102	558	103400	SH	CALL	DEFINED	2	0	0	0
STONE ENERGY CORP	COM	861642106	1969	78400	SH	PUT	DEFINED	2	0	0	0
STONE ENERGY CORP	COM	861642106	3708	147600	SH	CALL	DEFINED	2	0	0	0
STONE ENERGY CORP	COM	861642106	317	12600	SH	CALL	DEFINED	1	0	0	0
STONEMOR PARTNERS L P	COM UNITS	86183Q100	246	10471	SH		DEFINED	2	10471	0	0
STONEMOR PARTNERS L P	COM UNITS	86183Q100	2686	114100	SH	PUT	DEFINED	2	0	0	0
STONEMOR PARTNERS L P	COM UNITS	86183Q100	2434	103400	SH	CALL	DEFINED	2	0	0	0
STRATASYS INC	COM	862685104	14720	270582	SH		DEFINED	3	270582	0	0
STRATASYS INC	COM	862685104	1451	26664	SH		DEFINED	2	26664	0	0
STRATASYS INC	COM	862685104	1396	25659	SH		DEFINED	1	25659	0	0
STRATASYS INC	COM	862685104	854	15700	SH	PUT	DEFINED	1	0	0	0
STRATASYS INC	COM	862685104	5163	94900	SH	PUT	DEFINED	2	0	0	0
STRATASYS INC	COM	862685104	4412	81100	SH	CALL	DEFINED	2	0	0	0
STRATASYS INC	COM	862685104	419	7700	SH	CALL	DEFINED	1	0	0	0
STRATEGIC HOTELS & RESORTS I	COM	86272T106	152	25272	SH		DEFINED	3	25272	0	0
STRAYER ED INC	COM	863236105	2018	31363	SH		DEFINED	2	31363	0	0
STRAYER ED INC	COM	863236105	631	9800	SH	PUT	DEFINED	1	0	0	0
STRAYER ED INC	COM	863236105	7593	118000	SH	PUT	DEFINED	2	0	0	0
STRAYER ED INC	COM	863236105	1911	29700	SH	CALL	DEFINED	2	0	0	0
STRAYER ED INC	COM	863236105	1821	28300	SH	CALL	DEFINED	1	0	0	0
STRYKER CORP	COM	863667101	1438	25844	SH		DEFINED	3	25844	0	0
STRYKER CORP	COM	863667101	1056	18964	SH		DEFINED	2	18964	0	0
STRYKER CORP	COM	863667101	5488	98600	SH	PUT	DEFINED	2	0	0	0
STRYKER CORP	COM	863667101	2510	45100	SH	CALL	DEFINED	1	0	0	0
STRYKER CORP	COM	863667101	19926	358000	SH	CALL	DEFINED	2	0	0	0
STUDENT TRANSN INC	COM	86388A108	135	19900	SH	CALL	DEFINED	2	0	0	0
STURM RUGER & CO INC	COM	864159108	496	10015	SH		DEFINED	2	10015	0	0
STURM RUGER & CO INC	COM	864159108	802	16200	SH	PUT	DEFINED	1	0	0	0
STURM RUGER & CO INC	COM	864159108	4286	86600	SH	PUT	DEFINED	2	0	0	0
STURM RUGER & CO INC	COM	864159108	3573	72200	SH	CALL	DEFINED	2	0	0	0
STURM RUGER & CO INC	COM	864159108	371	7500	SH	CALL	DEFINED	1	0	0	0
SUBURBAN PROPANE PARTNERS L	UNIT LTD PARTN	864482104	303	7321	SH		DEFINED	2	7321	0	0
SUBURBAN PROPANE PARTNERS L	UNIT LTD PARTN	864482104	997	24100	SH	PUT	DEFINED	2	0	0	0
SUBURBAN PROPANE PARTNERS L	UNIT LTD PARTN	864482104	1836	44400	SH	CALL	DEFINED	2	0	0	0
SUMMER INFANT INC	COM	865646103	35	19063	SH		DEFINED	3	19063	0	0
SUN BANCORP INC	COM	86663B102	47	13800	SH		DEFINED	9	13800	0	0
SUN HEALTHCARE GROUP INC NEW	COM	86677E100	1411	166700	SH		DEFINED	9	166700	0	0
SUN LIFE FINL INC	COM	866796105	221	9500	SH	PUT	DEFINED	2	0	0	0
SUN LIFE FINL INC	COM	866796105	1141	49100	SH	CALL	DEFINED	2	0	0	0
SUNCOKE ENERGY INC	COM	86722A103	569	35314	SH		DEFINED	2	35314	0	0
SUNCOKE ENERGY INC	COM	86722A103	419	26000	SH		DEFINED	9	26000	0	0
SUNCOKE ENERGY INC	COM	86722A103	630	39100	SH	PUT	DEFINED	1	0	0	0
SUNCOKE ENERGY INC	COM	86722A103	927	57500	SH	PUT	DEFINED	2	0	0	0
SUNCOKE ENERGY INC	COM	86722A103	316	19600	SH	CALL	DEFINED	1	0	0	0
SUNCOR ENERGY INC NEW	COM	867224107	831	25308	SH		DEFINED	1	25308	0	0
SUNCOR ENERGY INC NEW	COM	867224107	447	13600	SH		DEFINED	"5,7"	13600	0	0
SUNCOR ENERGY INC NEW	COM	867224107	3947	120164	SH		DEFINED	2	120164	0	0
SUNCOR ENERGY INC NEW	COM	867224107	46161	1405200	SH	PUT	DEFINED	2	0	0	0
SUNCOR ENERGY INC NEW	COM	867224107	6442	196100	SH	PUT	DEFINED	1	0	0	0
SUNCOR ENERGY INC NEW	COM	867224107	33438	1017900	SH	CALL	DEFINED	2	0	0	0
SUNCOR ENERGY INC NEW	COM	867224107	6931	211000	SH	CALL	DEFINED	1	0	0	0
SUNESIS PHARMACEUTICALS INC	COM NEW	867328601	206	36515	SH		DEFINED	2	36515	0	0
SUNESIS PHARMACEUTICALS INC	COM NEW	867328601	62	10900	SH	CALL	DEFINED	2	0	0	0
SUNOCO INC	COM	86764P109	2903	62000	SH		DEFINED	4	62000	0	0
SUNOCO INC	COM	86764P109	42477	907056	SH		DEFINED	3	907056	0	0
SUNOCO INC	COM	86764P109	413	8810	SH		DEFINED	1	8810	0	0
SUNOCO INC	COM	86764P109	11746	250823	SH		DEFINED	2	250823	0	0
SUNOCO INC	COM	86764P109	18709	399500	SH	PUT	DEFINED	2	0	0	0
SUNOCO INC	COM	86764P109	5826	124400	SH	PUT	DEFINED	1	0	0	0
SUNOCO INC	COM	86764P109	2819	60200	SH	CALL	DEFINED	2	0	0	0
SUNOCO INC	COM	86764P109	2196	46900	SH	CALL	DEFINED	1	0	0	0
SUNOCO LOGISTICS PRTNRS L P	COM UNITS	86764L108	280	6000	SH	PUT	DEFINED	1	0	0	0
SUNOCO LOGISTICS PRTNRS L P	COM UNITS	86764L108	457	9800	SH	PUT	DEFINED	2	0	0	0
SUNOCO LOGISTICS PRTNRS L P	COM UNITS	86764L108	2090	44800	SH	CALL	DEFINED	2	0	0	0
SUNOCO LOGISTICS PRTNRS L P	COM UNITS	86764L108	485	10400	SH	CALL	DEFINED	1	0	0	0
SUNOPTA INC	COM	8676EP108	115	18000	SH	CALL	DEFINED	2	0	0	0
SUNPOWER CORP	COM	867652406	563	124900	SH	PUT	DEFINED	2	0	0	0
SUNPOWER CORP	COM	867652406	738	163700	SH	CALL	DEFINED	2	0	0	0
SUNRISE SENIOR LIVING INC	COM	86768K106	156	10936	SH		DEFINED	2	10936	0	0
SUNRISE SENIOR LIVING INC	COM	86768K106	651	45600	SH	CALL	DEFINED	2	0	0	0
SUNSTONE HOTEL INVS INC NEW	COM	867892101	1683	153000	SH		DEFINED	9	153000	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	56	65573	SH		DEFINED	1	65573	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	1219	1417861	SH		DEFINED	2	1417861	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	183	212900	SH		DEFINED	3	212900	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	2095	2436200	SH	PUT	DEFINED	2	0	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	61	70700	SH	PUT	DEFINED	1	0	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	23	26800	SH	CALL	DEFINED	1	0	0	0
SUNTECH PWR HLDGS CO LTD	ADR	86800C104	363	422300	SH	CALL	DEFINED	2	0	0	0
SUNTECH PWR HLDGS CO LTD	NOTE   3.000% 3/1	86800CAE4	11336	22900000	PRN		DEFINED	"5,7"	0	0	0
SUNTRUST BKS INC	COM	867914103	1815	64189	SH		DEFINED	2	64189	0	0
SUNTRUST BKS INC	COM	867914103	752	26618	SH		DEFINED	3	26618	0	0
SUNTRUST BKS INC	COM	867914103	2117	74900	SH		DEFINED	9	74900	0	0
SUNTRUST BKS INC	COM	867914103	876	31000	SH	PUT	DEFINED	1	0	0	0
SUNTRUST BKS INC	COM	867914103	37981	1343500	SH	PUT	DEFINED	2	0	0	0
SUNTRUST BKS INC	COM	867914103	31651	1119600	SH	CALL	DEFINED	2	0	0	0
SUNTRUST BKS INC	COM	867914103	1634	57800	SH	CALL	DEFINED	1	0	0	0
SUNTRUST BKS INC	*W EXP 11/14/201	867914111	7841	2272780	SH		DEFINED	"5,7"	2272780	0	0
SUNTRUST BKS INC	*W EXP 12/31/201	867914129	4501	756400	SH		DEFINED	"5,7"	756400	0	0
SUPERIOR ENERGY SVCS INC	COM	868157108	353	17182	SH		DEFINED	2	17182	0	0
SUPERIOR ENERGY SVCS INC	COM	868157108	1324	64500	SH	PUT	DEFINED	2	0	0	0
SUPERIOR ENERGY SVCS INC	COM	868157108	7116	346800	SH	CALL	DEFINED	2	0	0	0
SUPERIOR ENERGY SVCS INC	COM	868157108	378	18400	SH	CALL	DEFINED	1	0	0	0
SUPERIOR INDS INTL INC	COM	868168105	294	17200	SH	PUT	DEFINED	2	0	0	0
SUPERIOR INDS INTL INC	COM	868168105	289	16900	SH	CALL	DEFINED	2	0	0	0
SUPERVALU INC	COM	868536103	47	19362	SH		DEFINED	3	19362	0	0
SUPERVALU INC	COM	868536103	3966	1645802	SH		DEFINED	2	1645802	0	0
SUPERVALU INC	COM	868536103	5827	2417800	SH	PUT	DEFINED	2	0	0	0
SUPERVALU INC	COM	868536103	34	14100	SH	PUT	DEFINED	1	0	0	0
SUPERVALU INC	COM	868536103	88	36400	SH	CALL	DEFINED	1	0	0	0
SUPERVALU INC	COM	868536103	717	297400	SH	CALL	DEFINED	2	0	0	0
SVB FINL GROUP	COM	78486Q101	631	10439	SH		DEFINED	3	10439	0	0
SVB FINL GROUP	COM	78486Q101	278	4600	SH	PUT	DEFINED	2	0	0	0
SVB FINL GROUP	COM	78486Q101	212	3500	SH	CALL	DEFINED	2	0	0	0
SWEDISH EXPT CR CORP	MLCX GRN ETN23	870297215	348	43230	SH		DEFINED	3	43230	0	0
SWEDISH EXPT CR CORP	RG METAL ETN22	870297405	1022	92097	SH		DEFINED	3	92097	0	0
SWEDISH EXPT CR CORP	ELEMENT USETN22	870297504	914	89364	SH		DEFINED	3	89364	0	0
SWEDISH EXPT CR CORP	ROG TTL ETN 22	870297801	711	79843	SH		DEFINED	3	79843	0	0
SWIFT ENERGY CO	COM	870738101	1266	60612	SH		DEFINED	2	60612	0	0
SWIFT ENERGY CO	COM	870738101	1890	90500	SH	PUT	DEFINED	2	0	0	0
SWIFT ENERGY CO	COM	870738101	1161	55600	SH	CALL	DEFINED	2	0	0	0
SWIFT ENERGY CO	COM	870738101	411	19700	SH	CALL	DEFINED	1	0	0	0
SWIFT TRANSN CO	CL A	87074U101	98	11393	SH		DEFINED	2	11393	0	0
SWIFT TRANSN CO	CL A	87074U101	290	33600	SH	PUT	DEFINED	2	0	0	0
SWIFT TRANSN CO	CL A	87074U101	246	28500	SH	CALL	DEFINED	2	0	0	0
SWISHER HYGIENE INC	COM	870808102	112	80950	SH		DEFINED	2	80950	0	0
SWISHER HYGIENE INC	COM	870808102	57	41600	SH	PUT	DEFINED	2	0	0	0
SYCAMORE NETWORKS INC	COM NEW	871206405	2114	137300	SH		DEFINED	"5,7"	137300	0	0
SYCAMORE NETWORKS INC	COM NEW	871206405	196	12700	SH	PUT	DEFINED	2	0	0	0
SYCAMORE NETWORKS INC	COM NEW	871206405	428	27800	SH	CALL	DEFINED	2	0	0	0
SYMANTEC CORP	COM	871503108	3785	210281	SH		DEFINED	3	210281	0	0
SYMANTEC CORP	COM	871503108	43691	2427266	SH		DEFINED	2	2427266	0	0
SYMANTEC CORP	COM	871503108	223	12382	SH		DEFINED	1	12382	0	0
SYMANTEC CORP	COM	871503108	400	22200	SH	PUT	DEFINED	1	0	0	0
SYMANTEC CORP	COM	871503108	3157	175400	SH	PUT	DEFINED	2	0	0	0
SYMANTEC CORP	COM	871503108	24224	1345800	SH	CALL	DEFINED	2	0	0	0
SYMANTEC CORP	COM	871503108	1694	94100	SH	CALL	DEFINED	1	0	0	0
SYMANTEC CORP	COM	871503108	23501	1305600	SH	CALL	DEFINED	3	0	0	0
SYNACOR INC	COM	871561106	328	43262	SH		DEFINED	2	43262	0	0
SYNACOR INC	COM	871561106	98	12905	SH		DEFINED	3	12905	0	0
SYNACOR INC	COM	871561106	217	28600	SH	PUT	DEFINED	2	0	0	0
SYNAGEVA BIOPHARMA CORP	COM	87159A103	556	10400	SH		DEFINED	2	10400	0	0
SYNAGEVA BIOPHARMA CORP	COM	87159A103	235	4400	SH	PUT	DEFINED	2	0	0	0
SYNAGEVA BIOPHARMA CORP	COM	87159A103	235	4400	SH	CALL	DEFINED	2	0	0	0
SYNAPTICS INC	COM	87157D109	685	28538	SH		DEFINED	1	28538	0	0
SYNAPTICS INC	COM	87157D109	958	39900	SH	PUT	DEFINED	1	0	0	0
SYNAPTICS INC	COM	87157D109	1295	53900	SH	PUT	DEFINED	2	0	0	0
SYNAPTICS INC	COM	87157D109	3101	129100	SH	CALL	DEFINED	2	0	0	0
SYNAPTICS INC	COM	87157D109	416	17300	SH	CALL	DEFINED	1	0	0	0
SYNCHRONOSS TECHNOLOGIES INC	COM	87157B103	1010	44100	SH	PUT	DEFINED	2	0	0	0
SYNCHRONOSS TECHNOLOGIES INC	COM	87157B103	2155	94100	SH	CALL	DEFINED	2	0	0	0
SYNERGETICS USA INC	COM	87160G107	265	53562	SH		DEFINED	3	53562	0	0
SYNERGY RES CORP	COM	87164P103	75	18072	SH		DEFINED	2	18072	0	0
SYNERON MEDICAL LTD	ORD SHS	M87245102	392	40183	SH		DEFINED	3	40183	0	0
SYNGENTA AG	SPONSORED ADR	87160A100	1317	17600	SH	CALL	DEFINED	2	0	0	0
SYNNEX CORP	COM	87162W100	378	11600	SH	PUT	DEFINED	2	0	0	0
SYNNEX CORP	COM	87162W100	1218	37400	SH	CALL	DEFINED	2	0	0	0
SYNOPSYS INC	COM	871607107	934	28288	SH		DEFINED	2	28288	0	0
SYNOVUS FINL CORP	COM	87161C105	54	22974	SH		DEFINED	3	22974	0	0
SYNOVUS FINL CORP	COM	87161C105	1914	807684	SH		DEFINED	2	807684	0	0
SYNOVUS FINL CORP	COM	87161C105	1625	685500	SH	PUT	DEFINED	2	0	0	0
SYNTA PHARMACEUTICALS CORP	COM	87162T206	1160	152187	SH		DEFINED	2	152187	0	0
SYNTA PHARMACEUTICALS CORP	COM	87162T206	511	67000	SH	PUT	DEFINED	2	0	0	0
SYNTA PHARMACEUTICALS CORP	COM	87162T206	415	54400	SH	CALL	DEFINED	2	0	0	0
SYNTA PHARMACEUTICALS CORP	COM	87162T206	219	28700	SH	CALL	DEFINED	1	0	0	0
SYNTROLEUM CORP	COM	871630109	385	506103	SH		DEFINED	3	506103	0	0
SYSCO CORP	COM	871829107	4757	152140	SH		DEFINED	2	152140	0	0
SYSCO CORP	COM	871829107	7774	248600	SH	PUT	DEFINED	2	0	0	0
SYSCO CORP	COM	871829107	682	21800	SH	PUT	DEFINED	1	0	0	0
SYSCO CORP	COM	871829107	4046	129400	SH	CALL	DEFINED	1	0	0	0
SYSCO CORP	COM	871829107	20435	653500	SH	CALL	DEFINED	2	0	0	0
SYSTEMAX INC	COM	871851101	847	71689	SH		DEFINED	2	71689	0	0
SYSTEMAX INC	COM	871851101	196	16600	SH	PUT	DEFINED	2	0	0	0
SYSTEMAX INC	COM	871851101	286	24200	SH	CALL	DEFINED	2	0	0	0
TAHOE RES INC	COM	873868103	676	33200	SH	PUT	DEFINED	2	0	0	0
TAIWAN SEMICONDUCTOR MFG LTD	SPONSORED ADR	874039100	2163	136720	SH		DEFINED	2	136720	0	0
TAIWAN SEMICONDUCTOR MFG LTD	SPONSORED ADR	874039100	4093	258700	SH	PUT	DEFINED	2	0	0	0
TAIWAN SEMICONDUCTOR MFG LTD	SPONSORED ADR	874039100	1096	69300	SH	CALL	DEFINED	2	0	0	0
TAIWAN SEMICONDUCTOR MFG LTD	SPONSORED ADR	874039100	794	50200	SH	CALL	DEFINED	1	0	0	0
TAKE-TWO INTERACTIVE SOFTWAR	COM	874054109	3603	345420	SH		DEFINED	2	345420	0	0
TAKE-TWO INTERACTIVE SOFTWAR	COM	874054109	8003	767300	SH	PUT	DEFINED	2	0	0	0
TAKE-TWO INTERACTIVE SOFTWAR	COM	874054109	368	35300	SH	CALL	DEFINED	1	0	0	0
TAKE-TWO INTERACTIVE SOFTWAR	COM	874054109	1773	170000	SH	CALL	DEFINED	2	0	0	0
TAL ED GROUP	ADS REPSTG COM	874080104	102	12328	SH		DEFINED	2	12328	0	0
TAL INTL GROUP INC	COM	874083108	989	29097	SH		DEFINED	2	29097	0	0
TAL INTL GROUP INC	COM	874083108	2895	85200	SH	PUT	DEFINED	2	0	0	0
TAL INTL GROUP INC	COM	874083108	2372	69800	SH	CALL	DEFINED	2	0	0	0
TALISMAN ENERGY INC	COM	87425E103	1107	83100	SH		DEFINED	"5,7"	83100	0	0
TALISMAN ENERGY INC	COM	87425E103	157	11803	SH		DEFINED	2	11803	0	0
TALISMAN ENERGY INC	COM	87425E103	1163	87300	SH	PUT	DEFINED	2	0	0	0
TALISMAN ENERGY INC	COM	87425E103	135	10100	SH	CALL	DEFINED	3	0	0	0
TALISMAN ENERGY INC	COM	87425E103	7249	544200	SH	CALL	DEFINED	2	0	0	0
TANGER FACTORY OUTLET CTRS I	COM	875465106	819	25330	SH		DEFINED	3	25330	0	0
TANGER FACTORY OUTLET CTRS I	COM	875465106	1878	58100	SH	CALL	DEFINED	2	0	0	0
TANGOE INC	COM	87582Y108	332	25321	SH		DEFINED	2	25321	0	0
TANGOE INC	COM	87582Y108	261	19900	SH	PUT	DEFINED	2	0	0	0
TANGOE INC	COM	87582Y108	374	28500	SH	CALL	DEFINED	2	0	0	0
TANZANIAN ROYALTY EXPL CORP	COM	87600U104	170	33208	SH		DEFINED	2	33208	0	0
TANZANIAN ROYALTY EXPL CORP	COM	87600U104	462	90500	SH	PUT	DEFINED	2	0	0	0
TANZANIAN ROYALTY EXPL CORP	COM	87600U104	1262	247000	SH	CALL	DEFINED	2	0	0	0
TARGA RES CORP	COM	87612G101	216	4296	SH		DEFINED	3	4296	0	0
TARGA RES CORP	COM	87612G101	366	7271	SH		DEFINED	1	7271	0	0
TARGA RES CORP	COM	87612G101	438	8700	SH	PUT	DEFINED	2	0	0	0
TARGA RES CORP	COM	87612G101	247	4900	SH	PUT	DEFINED	1	0	0	0
TARGA RES CORP	COM	87612G101	342	6800	SH	CALL	DEFINED	1	0	0	0
TARGA RES CORP	COM	87612G101	826	16400	SH	CALL	DEFINED	2	0	0	0
TARGA RESOURCES PARTNERS LP	COM UNIT	87611X105	373	8704	SH		DEFINED	3	8704	0	0
TARGA RESOURCES PARTNERS LP	COM UNIT	87611X105	810	18900	SH	PUT	DEFINED	2	0	0	0
TARGA RESOURCES PARTNERS LP	COM UNIT	87611X105	270	6300	SH	CALL	DEFINED	1	0	0	0
TARGA RESOURCES PARTNERS LP	COM UNIT	87611X105	4108	95800	SH	CALL	DEFINED	2	0	0	0
TARGACEPT INC	COM	87611R306	381	77828	SH		DEFINED	2	77828	0	0
TARGACEPT INC	COM	87611R306	588	120300	SH	PUT	DEFINED	2	0	0	0
TARGACEPT INC	COM	87611R306	458	93600	SH	CALL	DEFINED	2	0	0	0
TARGACEPT INC	COM	87611R306	49	10000	SH	CALL	DEFINED	1	0	0	0
TARGET CORP	COM	87612E106	6007	94644	SH		DEFINED	1	94644	0	0
TARGET CORP	COM	87612E106	4892	77069	SH		DEFINED	2	77069	0	0
TARGET CORP	COM	87612E106	4946	77922	SH		DEFINED	9	77922	0	0
TARGET CORP	COM	87612E106	30415	479200	SH	PUT	DEFINED	2	0	0	0
TARGET CORP	COM	87612E106	4849	76400	SH	PUT	DEFINED	1	0	0	0
TARGET CORP	COM	87612E106	76659	1207800	SH	CALL	DEFINED	2	0	0	0
TARGET CORP	COM	87612E106	4094	64500	SH	CALL	DEFINED	1	0	0	0
TASEKO MINES LTD	COM	876511106	209	62535	SH		DEFINED	1	62535	0	0
TASEKO MINES LTD	COM	876511106	146	43661	SH		DEFINED	2	43661	0	0
TASEKO MINES LTD	COM	876511106	1006	301100	SH	PUT	DEFINED	2	0	0	0
TASEKO MINES LTD	COM	876511106	90	26800	SH	PUT	DEFINED	1	0	0	0
TASEKO MINES LTD	COM	876511106	159	47600	SH	CALL	DEFINED	1	0	0	0
TASEKO MINES LTD	COM	876511106	3910	1170800	SH	CALL	DEFINED	2	0	0	0
TASER INTL INC	COM	87651B104	63	10518	SH		DEFINED	2	10518	0	0
TASER INTL INC	COM	87651B104	325	53900	SH	PUT	DEFINED	2	0	0	0
TASER INTL INC	COM	87651B104	734	121800	SH	CALL	DEFINED	2	0	0	0
TATA MTRS LTD	SPONSORED ADR	876568502	1569	61100	SH	PUT	DEFINED	1	0	0	0
TATA MTRS LTD	SPONSORED ADR	876568502	9065	353000	SH	PUT	DEFINED	2	0	0	0
TATA MTRS LTD	SPONSORED ADR	876568502	5095	198400	SH	CALL	DEFINED	2	0	0	0
TATA MTRS LTD	SPONSORED ADR	876568502	3611	140600	SH	CALL	DEFINED	1	0	0	0
TAUBMAN CTRS INC	COM	876664103	1166	15200	SH	PUT	DEFINED	1	0	0	0
TAUBMAN CTRS INC	COM	876664103	905	11800	SH	PUT	DEFINED	2	0	0	0
TAUBMAN CTRS INC	COM	876664103	307	4000	SH	CALL	DEFINED	1	0	0	0
TAUBMAN CTRS INC	COM	876664103	2640	34400	SH	CALL	DEFINED	2	0	0	0
TC PIPELINES LP	UT COM LTD PRT	87233Q108	299	6612	SH		DEFINED	3	6612	0	0
TC PIPELINES LP	UT COM LTD PRT	87233Q108	980	21700	SH	PUT	DEFINED	2	0	0	0
TCF FINL CORP	COM	872275102	204	17100	SH	CALL	DEFINED	2	0	0	0
TCP CAP CORP	COM	87238Q103	237	14861	SH		DEFINED	2	14861	0	0
TD AMERITRADE HLDG CORP	COM	87236Y108	1541	100243	SH		DEFINED	9	100243	0	0
TD AMERITRADE HLDG CORP	COM	87236Y108	2913	189500	SH	PUT	DEFINED	2	0	0	0
TD AMERITRADE HLDG CORP	COM	87236Y108	4669	303800	SH	CALL	DEFINED	2	0	0	0
TE CONNECTIVITY LTD	REG SHS	H84989104	9525	280051	SH		DEFINED	2	280051	0	0
TE CONNECTIVITY LTD	REG SHS	H84989104	707	20800	SH	PUT	DEFINED	2	0	0	0
TE CONNECTIVITY LTD	REG SHS	H84989104	1837	54000	SH	CALL	DEFINED	2	0	0	0
TEARLAB CORP	COM	878193101	52	13400	SH	PUT	DEFINED	2	0	0	0
TEAVANA HLDGS INC	COM	87819P102	288	22100	SH	PUT	DEFINED	2	0	0	0
TECH DATA CORP	COM	878237106	349	7700	SH	PUT	DEFINED	1	0	0	0
TECH DATA CORP	COM	878237106	557	12300	SH	PUT	DEFINED	2	0	0	0
TECH DATA CORP	COM	878237106	802	17700	SH	CALL	DEFINED	2	0	0	0
TECK RESOURCES LTD	CL B	878742204	416	14120	SH		DEFINED	1	14120	0	0
TECK RESOURCES LTD	CL B	878742204	9836	333990	SH		DEFINED	2	333990	0	0
TECK RESOURCES LTD	CL B	878742204	548	18600	SH		DEFINED	"5,7"	18600	0	0
TECK RESOURCES LTD	CL B	878742204	2544	86400	SH	PUT	DEFINED	1	0	0	0
TECK RESOURCES LTD	CL B	878742204	22983	780400	SH	PUT	DEFINED	2	0	0	0
TECK RESOURCES LTD	CL B	878742204	7386	250800	SH	CALL	DEFINED	2	0	0	0
TECK RESOURCES LTD	CL B	878742204	1534	52100	SH	CALL	DEFINED	1	0	0	0
TECO ENERGY INC	COM	872375100	734	41371	SH		DEFINED	2	41371	0	0
TECO ENERGY INC	COM	872375100	500	28194	SH		DEFINED	3	28194	0	0
TECO ENERGY INC	COM	872375100	420	23700	SH	PUT	DEFINED	2	0	0	0
TECO ENERGY INC	COM	872375100	1045	58900	SH	CALL	DEFINED	2	0	0	0
TEEKAY CORPORATION	COM	Y8564W103	1618	51867	SH		DEFINED	2	51867	0	0
TEEKAY CORPORATION	COM	Y8564W103	8989	288100	SH	PUT	DEFINED	2	0	0	0
TEEKAY CORPORATION	COM	Y8564W103	306	9800	SH	PUT	DEFINED	1	0	0	0
TEEKAY CORPORATION	COM	Y8564W103	11638	373000	SH	CALL	DEFINED	2	0	0	0
TEEKAY LNG PARTNERS L P	PRTNRSP UNITS	Y8564M105	553	14702	SH		DEFINED	2	14702	0	0
TEEKAY LNG PARTNERS L P	PRTNRSP UNITS	Y8564M105	2103	55900	SH	PUT	DEFINED	2	0	0	0
TEEKAY LNG PARTNERS L P	PRTNRSP UNITS	Y8564M105	1542	41000	SH	CALL	DEFINED	2	0	0	0
TEEKAY OFFSHORE PARTNERS L P	PARTNERSHIP UN	Y8565J101	889	32300	SH	PUT	DEFINED	2	0	0	0
TEEKAY OFFSHORE PARTNERS L P	PARTNERSHIP UN	Y8565J101	4957	180200	SH	CALL	DEFINED	2	0	0	0
TEEKAY TANKERS LTD	CL A	Y8565N102	629	168132	SH		DEFINED	2	168132	0	0
TEEKAY TANKERS LTD	CL A	Y8565N102	1054	281900	SH	PUT	DEFINED	2	0	0	0
TEEKAY TANKERS LTD	CL A	Y8565N102	256	68500	SH	CALL	DEFINED	2	0	0	0
TELECOM ARGENTINA S A	SPON ADR REP B	879273209	295	29500	SH	PUT	DEFINED	2	0	0	0
TELECOMMUNICATION SYS INC	CL A	87929J103	562	260194	SH		DEFINED	3	260194	0	0
TELECOMMUNICATION SYS INC	CL A	87929J103	63	29252	SH		DEFINED	2	29252	0	0
TELECOMMUNICATION SYS INC	CL A	87929J103	29	13600	SH	PUT	DEFINED	2	0	0	0
TELEFLEX INC	COM	879369106	558	8100	SH	CALL	DEFINED	2	0	0	0
TELEFLEX INC	NOTE   3.875% 8/0	879369AA4	6294	5000000	PRN		DEFINED	"5,7"	0	0	0
TELEFONICA BRASIL SA	SPONSORED ADR	87936R106	594	27300	SH	PUT	DEFINED	2	0	0	0
TELEFONICA BRASIL SA	SPONSORED ADR	87936R106	1217	56000	SH	CALL	DEFINED	2	0	0	0
TELEFONICA S A	SPONSORED ADR	879382208	2536	190999	SH		DEFINED	2	190999	0	0
TELEFONICA S A	SPONSORED ADR	879382208	8678	653500	SH	PUT	DEFINED	2	0	0	0
TELEFONICA S A	SPONSORED ADR	879382208	6288	473500	SH	CALL	DEFINED	2	0	0	0
TELEPHONE & DATA SYS INC	COM NEW	879433829	205	7991	SH		DEFINED	2	7991	0	0
TELEPHONE & DATA SYS INC	COM NEW	879433829	2406	93941	SH		DEFINED	3	93941	0	0
TELEPHONE & DATA SYS INC	COM NEW	879433829	1679	65550	SH		DEFINED	9	65550	0	0
TELESTONE TECHNOLOGIES CORP	COM	87953J102	29	14873	SH		DEFINED	2	14873	0	0
TELESTONE TECHNOLOGIES CORP	COM	87953J102	78	39800	SH	PUT	DEFINED	2	0	0	0
TELETECH HOLDINGS INC	COM	879939106	234	13747	SH		DEFINED	3	13747	0	0
TELLABS INC	COM	879664100	933	263684	SH		DEFINED	3	263684	0	0
TELLABS INC	COM	879664100	681	192324	SH		DEFINED	2	192324	0	0
TELLABS INC	COM	879664100	513	144900	SH	PUT	DEFINED	2	0	0	0
TELLABS INC	COM	879664100	211	59500	SH	CALL	DEFINED	2	0	0	0
TELUS CORP	NON-VTG SHS	87971M202	500	8000	SH		DEFINED	9	8000	0	0
TEMPUR PEDIC INTL INC	COM	88023U101	785	26259	SH		DEFINED	2	26259	0	0
TEMPUR PEDIC INTL INC	COM	88023U101	514	17200	SH	PUT	DEFINED	1	0	0	0
TEMPUR PEDIC INTL INC	COM	88023U101	5129	171600	SH	PUT	DEFINED	2	0	0	0
TEMPUR PEDIC INTL INC	COM	88023U101	891	29800	SH	CALL	DEFINED	1	0	0	0
TEMPUR PEDIC INTL INC	COM	88023U101	6277	210000	SH	CALL	DEFINED	2	0	0	0
TENARIS S A	SPONSORED ADR	88031M109	1843	45200	SH		DEFINED	9	45200	0	0
TENARIS S A	SPONSORED ADR	88031M109	1867	45800	SH	PUT	DEFINED	1	0	0	0
TENARIS S A	SPONSORED ADR	88031M109	860	21100	SH	PUT	DEFINED	2	0	0	0
TENARIS S A	SPONSORED ADR	88031M109	11171	274000	SH	CALL	DEFINED	2	0	0	0
TENARIS S A	SPONSORED ADR	88031M109	400	9800	SH	CALL	DEFINED	1	0	0	0
TENET HEALTHCARE CORP	COM	88033G100	124	19732	SH		DEFINED	3	19732	0	0
TENET HEALTHCARE CORP	COM	88033G100	723	115320	SH		DEFINED	2	115320	0	0
TENET HEALTHCARE CORP	COM	88033G100	481	76700	SH	PUT	DEFINED	2	0	0	0
TENET HEALTHCARE CORP	COM	88033G100	754	120300	SH	CALL	DEFINED	2	0	0	0
TENET HEALTHCARE CORP	COM	88033G100	261	41700	SH	CALL	DEFINED	1	0	0	0
TENNANT CO	COM	880345103	257	6000	SH	PUT	DEFINED	2	0	0	0
TENNANT CO	COM	880345103	325	7600	SH	CALL	DEFINED	2	0	0	0
TENNECO INC	COM	880349105	2150	76800	SH	PUT	DEFINED	2	0	0	0
TENNECO INC	COM	880349105	3570	127500	SH	CALL	DEFINED	2	0	0	0
TENNECO INC	COM	880349105	944	33700	SH	CALL	DEFINED	1	0	0	0
TERADATA CORP DEL	COM	88076W103	211	2800	SH		DEFINED	3	2800	0	0
TERADATA CORP DEL	COM	88076W103	1075	14260	SH		DEFINED	2	14260	0	0
TERADATA CORP DEL	COM	88076W103	1930	25600	SH	PUT	DEFINED	1	0	0	0
TERADATA CORP DEL	COM	88076W103	5467	72500	SH	PUT	DEFINED	2	0	0	0
TERADATA CORP DEL	COM	88076W103	9539	126500	SH	CALL	DEFINED	2	0	0	0
TERADATA CORP DEL	COM	88076W103	573	7600	SH	CALL	DEFINED	1	0	0	0
TERADYNE INC	COM	880770102	1134	79749	SH		DEFINED	2	79749	0	0
TERADYNE INC	COM	880770102	153	10729	SH		DEFINED	1	10729	0	0
TERADYNE INC	COM	880770102	252	17700	SH	PUT	DEFINED	1	0	0	0
TERADYNE INC	COM	880770102	6171	434000	SH	PUT	DEFINED	2	0	0	0
TERADYNE INC	COM	880770102	3382	237800	SH	CALL	DEFINED	2	0	0	0
TEREX CORP NEW	COM	880779103	458	20264	SH		DEFINED	2	20264	0	0
TEREX CORP NEW	COM	880779103	15587	690300	SH	PUT	DEFINED	2	0	0	0
TEREX CORP NEW	COM	880779103	330	14600	SH	PUT	DEFINED	1	0	0	0
TEREX CORP NEW	COM	880779103	14280	632400	SH	CALL	DEFINED	2	0	0	0
TERNIUM SA	SPON ADR	880890108	1277	65100	SH	PUT	DEFINED	2	0	0	0
TERNIUM SA	SPON ADR	880890108	2133	108700	SH	CALL	DEFINED	2	0	0	0
TESCO CORP	COM	88157K101	402	37619	SH		DEFINED	2	37619	0	0
TESCO CORP	COM	88157K101	210	19700	SH	CALL	DEFINED	2	0	0	0
TESLA MTRS INC	COM	88160R101	714	24370	SH		DEFINED	2	24370	0	0
TESLA MTRS INC	COM	88160R101	1527	52153	SH		DEFINED	3	52153	0	0
TESLA MTRS INC	COM	88160R101	18101	618200	SH	PUT	DEFINED	2	0	0	0
TESLA MTRS INC	COM	88160R101	4509	154000	SH	PUT	DEFINED	1	0	0	0
TESLA MTRS INC	COM	88160R101	3367	115000	SH	PUT	DEFINED	3	0	0	0
TESLA MTRS INC	COM	88160R101	42034	1435600	SH	CALL	DEFINED	2	0	0	0
TESLA MTRS INC	COM	88160R101	4067	138900	SH	CALL	DEFINED	1	0	0	0
TESORO CORP	COM	881609101	10721	255871	SH		DEFINED	2	255871	0	0
TESORO CORP	COM	881609101	588	14023	SH		DEFINED	3	14023	0	0
TESORO CORP	COM	881609101	2041	48700	SH	PUT	DEFINED	1	0	0	0
TESORO CORP	COM	881609101	9134	218000	SH	PUT	DEFINED	2	0	0	0
TESORO CORP	COM	881609101	3239	77300	SH	CALL	DEFINED	1	0	0	0
TESORO CORP	COM	881609101	9943	237300	SH	CALL	DEFINED	2	0	0	0
TESORO LOGISTICS LP	COM UNIT LP	88160T107	234	5400	SH	PUT	DEFINED	2	0	0	0
TESSERA TECHNOLOGIES INC	COM	88164L100	1119	81800	SH		DEFINED	9	81800	0	0
TESSERA TECHNOLOGIES INC	COM	88164L100	651	47600	SH	PUT	DEFINED	2	0	0	0
TESSERA TECHNOLOGIES INC	COM	88164L100	1830	133800	SH	CALL	DEFINED	2	0	0	0
TESSERA TECHNOLOGIES INC	COM	88164L100	198	14500	SH	CALL	DEFINED	1	0	0	0
TEUCRIUM COMMODITY TR	CORN FD SHS	88166A102	6076	125480	SH		DEFINED	2	125480	0	0
TEUCRIUM COMMODITY TR	CORN FD SHS	88166A102	697	14400	SH	PUT	DEFINED	2	0	0	0
TEUCRIUM COMMODITY TR	CORN FD SHS	88166A102	1157	23900	SH	CALL	DEFINED	2	0	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	82062	1981703	SH		DEFINED	2	1981703	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	433	10460	SH		DEFINED	1	10460	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	137982	3332100	SH	PUT	DEFINED	2	0	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	509	12300	SH	PUT	DEFINED	3	0	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	10887	262900	SH	PUT	DEFINED	1	0	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	10311	249000	SH	CALL	DEFINED	1	0	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR	881624209	88721	2142500	SH	CALL	DEFINED	2	0	0	0
TEXAS CAPITAL BANCSHARES INC	COM	88224Q107	456	9182	SH		DEFINED	3	9182	0	0
TEXAS INDS INC	COM	882491103	282	6943	SH		DEFINED	2	6943	0	0
TEXAS INDS INC	COM	882491103	427	10500	SH		DEFINED	9	10500	0	0
TEXAS INDS INC	COM	882491103	1906	46900	SH	PUT	DEFINED	3	0	0	0
TEXAS INDS INC	COM	882491103	17134	421500	SH	PUT	DEFINED	2	0	0	0
TEXAS INDS INC	COM	882491103	1130	27800	SH	CALL	DEFINED	2	0	0	0
TEXAS INDS INC	COM	882491103	276	6800	SH	CALL	DEFINED	1	0	0	0
TEXAS INSTRS INC	COM	882508104	647	23479	SH		DEFINED	3	23479	0	0
TEXAS INSTRS INC	COM	882508104	469	17034	SH		DEFINED	1	17034	0	0
TEXAS INSTRS INC	COM	882508104	22928	832243	SH		DEFINED	2	832243	0	0
TEXAS INSTRS INC	COM	882508104	16552	600800	SH	PUT	DEFINED	2	0	0	0
TEXAS INSTRS INC	COM	882508104	1017	36900	SH	PUT	DEFINED	1	0	0	0
TEXAS INSTRS INC	COM	882508104	1689	61300	SH	CALL	DEFINED	1	0	0	0
TEXAS INSTRS INC	COM	882508104	12028	436600	SH	CALL	DEFINED	2	0	0	0
TEXAS ROADHOUSE INC	COM	882681109	201	11751	SH		DEFINED	3	11751	0	0
TEXTAINER GROUP HOLDINGS LTD	SHS	G8766E109	2386	78100	SH	PUT	DEFINED	2	0	0	0
TEXTAINER GROUP HOLDINGS LTD	SHS	G8766E109	712	23300	SH	CALL	DEFINED	2	0	0	0
TEXTRON INC	COM	883203101	1259	48091	SH		DEFINED	2	48091	0	0
TEXTRON INC	COM	883203101	373	14243	SH		DEFINED	3	14243	0	0
TEXTRON INC	COM	883203101	488	18649	SH		DEFINED	1	18649	0	0
TEXTRON INC	COM	883203101	8707	332700	SH	PUT	DEFINED	2	0	0	0
TEXTRON INC	COM	883203101	1010	38600	SH	PUT	DEFINED	1	0	0	0
TEXTRON INC	COM	883203101	11651	445200	SH	CALL	DEFINED	2	0	0	0
TEXTRON INC	COM	883203101	2180	83300	SH	CALL	DEFINED	1	0	0	0
THERAVANCE INC	COM	88338T104	342	13199	SH		DEFINED	2	13199	0	0
THERAVANCE INC	COM	88338T104	798	30800	SH		DEFINED	3	30800	0	0
THERAVANCE INC	COM	88338T104	1101	42500	SH	PUT	DEFINED	2	0	0	0
THERAVANCE INC	COM	88338T104	1441	55600	SH	CALL	DEFINED	2	0	0	0
THERMO FISHER SCIENTIFIC INC	COM	883556102	14984	254700	SH		DEFINED	9	254700	0	0
THERMO FISHER SCIENTIFIC INC	COM	883556102	1314	22332	SH		DEFINED	2	22332	0	0
THERMO FISHER SCIENTIFIC INC	COM	883556102	347	5900	SH	PUT	DEFINED	2	0	0	0
THERMO FISHER SCIENTIFIC INC	COM	883556102	2194	37300	SH	CALL	DEFINED	2	0	0	0
THERMO FISHER SCIENTIFIC INC	COM	883556102	1165	19800	SH	CALL	DEFINED	1	0	0	0
THOMAS PPTYS GROUP INC	COM	884453101	205	35143	SH		DEFINED	3	35143	0	0
THOMPSON CREEK METALS CO INC	COM	884768102	2025	710499	SH		DEFINED	3	710499	0	0
THOMPSON CREEK METALS CO INC	COM	884768102	6716	2356331	SH		DEFINED	2	2356331	0	0
THOMPSON CREEK METALS CO INC	COM	884768102	45	15700	SH		DEFINED	"5,7"	15700	0	0
THOMPSON CREEK METALS CO INC	COM	884768102	8785	3082600	SH	PUT	DEFINED	2	0	0	0
THOMPSON CREEK METALS CO INC	COM	884768102	259	91000	SH	CALL	DEFINED	2	0	0	0
THOMPSON CREEK METALS CO INC	UNIT 99/99/9999	884768300	2739	160000	SH		DEFINED	"5,7"	160000	0	0
THOMSON REUTERS CORP	COM	884903105	273	9462	SH		DEFINED	2	9462	0	0
THOMSON REUTERS CORP	COM	884903105	242	8400	SH	PUT	DEFINED	2	0	0	0
THOMSON REUTERS CORP	COM	884903105	921	31900	SH	CALL	DEFINED	2	0	0	0
THOR INDS INC	COM	885160101	716	19700	SH	PUT	DEFINED	2	0	0	0
THOR INDS INC	COM	885160101	3578	98500	SH	CALL	DEFINED	2	0	0	0
THORATEC CORP	COM NEW	885175307	2176	62900	SH	PUT	DEFINED	2	0	0	0
THORATEC CORP	COM NEW	885175307	8941	258400	SH	CALL	DEFINED	2	0	0	0
THQ INC	COM PAR $.01	872443601	97	26103	SH		DEFINED	3	26103	0	0
THQ INC	COM PAR $.01	872443601	117	31700	SH	PUT	DEFINED	2	0	0	0
THRESHOLD PHARMACEUTICAL INC	COM NEW	885807206	342	47273	SH		DEFINED	2	47273	0	0
THRESHOLD PHARMACEUTICAL INC	COM NEW	885807206	378	52200	SH	PUT	DEFINED	2	0	0	0
THRESHOLD PHARMACEUTICAL INC	COM NEW	885807206	174	24000	SH	CALL	DEFINED	2	0	0	0
TIBCO SOFTWARE INC	COM	88632Q103	1309	43296	SH		DEFINED	3	43296	0	0
TIBCO SOFTWARE INC	COM	88632Q103	7363	243569	SH		DEFINED	2	243569	0	0
TIBCO SOFTWARE INC	COM	88632Q103	13489	446200	SH	PUT	DEFINED	2	0	0	0
TIBCO SOFTWARE INC	COM	88632Q103	1134	37500	SH	PUT	DEFINED	1	0	0	0
TIBCO SOFTWARE INC	COM	88632Q103	2515	83200	SH	PUT	DEFINED	3	0	0	0
TIBCO SOFTWARE INC	COM	88632Q103	9516	314800	SH	CALL	DEFINED	2	0	0	0
TIBCO SOFTWARE INC	COM	88632Q103	1233	40800	SH	CALL	DEFINED	3	0	0	0
TIBCO SOFTWARE INC	COM	88632Q103	3489	115400	SH	CALL	DEFINED	1	0	0	0
TICC CAPITAL CORP	COM	87244T109	414	39834	SH		DEFINED	2	39834	0	0
TICC CAPITAL CORP	COM	87244T109	196	18800	SH	PUT	DEFINED	2	0	0	0
TIDEWATER INC	COM	886423102	1672	34443	SH		DEFINED	2	34443	0	0
TIDEWATER INC	COM	886423102	8231	169600	SH	PUT	DEFINED	2	0	0	0
TIDEWATER INC	COM	886423102	5329	109800	SH	CALL	DEFINED	2	0	0	0
TIFFANY & CO NEW	COM	886547108	1958	31641	SH		DEFINED	2	31641	0	0
TIFFANY & CO NEW	COM	886547108	796	12868	SH		DEFINED	1	12868	0	0
TIFFANY & CO NEW	COM	886547108	5104	82486	SH		DEFINED	3	82486	0	0
TIFFANY & CO NEW	COM	886547108	5037	81400	SH	PUT	DEFINED	1	0	0	0
TIFFANY & CO NEW	COM	886547108	49219	795400	SH	PUT	DEFINED	2	0	0	0
TIFFANY & CO NEW	COM	886547108	6801	109900	SH	CALL	DEFINED	1	0	0	0
TIFFANY & CO NEW	COM	886547108	29387	474900	SH	CALL	DEFINED	2	0	0	0
TIM HORTONS INC	COM	88706M103	1103	21200	SH	PUT	DEFINED	2	0	0	0
TIM HORTONS INC	COM	88706M103	1498	28800	SH	CALL	DEFINED	2	0	0	0
TIME WARNER CABLE INC	COM	88732J207	5076	53400	SH		DEFINED	9	53400	0	0
TIME WARNER CABLE INC	COM	88732J207	844	8877	SH		DEFINED	3	8877	0	0
TIME WARNER CABLE INC	COM	88732J207	15602	164123	SH		DEFINED	2	164123	0	0
TIME WARNER CABLE INC	COM	88732J207	35267	371000	SH	PUT	DEFINED	2	0	0	0
TIME WARNER CABLE INC	COM	88732J207	1321	13900	SH	PUT	DEFINED	1	0	0	0
TIME WARNER CABLE INC	COM	88732J207	10019	105400	SH	CALL	DEFINED	2	0	0	0
TIME WARNER INC	COM NEW	887317303	15256	336563	SH		DEFINED	2	336563	0	0
TIME WARNER INC	COM NEW	887317303	551	12166	SH		DEFINED	1	12166	0	0
TIME WARNER INC	COM NEW	887317303	937	20663	SH		DEFINED	3	20663	0	0
TIME WARNER INC	COM NEW	887317303	4261	94000	SH		DEFINED	9	94000	0	0
TIME WARNER INC	COM NEW	887317303	33897	747700	SH	PUT	DEFINED	2	0	0	0
TIME WARNER INC	COM NEW	887317303	2008	44300	SH	PUT	DEFINED	1	0	0	0
TIME WARNER INC	COM NEW	887317303	9307	205300	SH	CALL	DEFINED	2	0	0	0
TIME WARNER INC	COM NEW	887317303	2067	45600	SH	CALL	DEFINED	1	0	0	0
TIME WARNER INC	COM NEW	887317303	7090	156400	SH	CALL	DEFINED	3	0	0	0
TIMKEN CO	COM	887389104	7432	200000	SH		DEFINED	"5,7"	200000	0	0
TIMKEN CO	COM	887389104	3200	86109	SH		DEFINED	2	86109	0	0
TIMKEN CO	COM	887389104	461	12400	SH	PUT	DEFINED	1	0	0	0
TIMKEN CO	COM	887389104	9847	265000	SH	PUT	DEFINED	2	0	0	0
TIMKEN CO	COM	887389104	372	10000	SH	CALL	DEFINED	1	0	0	0
TIMKEN CO	COM	887389104	3906	105100	SH	CALL	DEFINED	2	0	0	0
TITAN INTL INC ILL	COM	88830M102	207	11719	SH		DEFINED	1	11719	0	0
TITAN INTL INC ILL	COM	88830M102	1005	56918	SH		DEFINED	2	56918	0	0
TITAN INTL INC ILL	COM	88830M102	1480	83800	SH	PUT	DEFINED	2	0	0	0
TITAN INTL INC ILL	COM	88830M102	736	41700	SH	CALL	DEFINED	2	0	0	0
TITAN MACHY INC	COM	88830R101	245	12060	SH		DEFINED	1	12060	0	0
TITAN MACHY INC	COM	88830R101	1552	76551	SH		DEFINED	2	76551	0	0
TITAN MACHY INC	COM	88830R101	367	18100	SH	PUT	DEFINED	1	0	0	0
TITAN MACHY INC	COM	88830R101	5060	249500	SH	PUT	DEFINED	2	0	0	0
TITAN MACHY INC	COM	88830R101	1272	62700	SH	CALL	DEFINED	2	0	0	0
TITANIUM METALS CORP	COM NEW	888339207	359	28018	SH		DEFINED	1	28018	0	0
TITANIUM METALS CORP	COM NEW	888339207	2094	163197	SH		DEFINED	2	163197	0	0
TITANIUM METALS CORP	COM NEW	888339207	220	17143	SH		DEFINED	3	17143	0	0
TITANIUM METALS CORP	COM NEW	888339207	2250	175400	SH	PUT	DEFINED	2	0	0	0
TITANIUM METALS CORP	COM NEW	888339207	223	17400	SH	PUT	DEFINED	1	0	0	0
TITANIUM METALS CORP	COM NEW	888339207	2965	231100	SH	CALL	DEFINED	2	0	0	0
TITANIUM METALS CORP	COM NEW	888339207	522	40700	SH	CALL	DEFINED	1	0	0	0
TIVO INC	COM	888706108	10964	1051202	SH		DEFINED	2	1051202	0	0
TIVO INC	COM	888706108	12177	1167500	SH	PUT	DEFINED	2	0	0	0
TIVO INC	COM	888706108	9126	875000	SH	CALL	DEFINED	2	0	0	0
TIVO INC	COM	888706108	1020	97800	SH	CALL	DEFINED	1	0	0	0
TJX COS INC NEW	COM	872540109	295	6586	SH		DEFINED	1	6586	0	0
TJX COS INC NEW	COM	872540109	475	10600	SH		DEFINED	3	10600	0	0
TJX COS INC NEW	COM	872540109	10496	234336	SH		DEFINED	2	234336	0	0
TJX COS INC NEW	COM	872540109	14825	331000	SH	PUT	DEFINED	2	0	0	0
TJX COS INC NEW	COM	872540109	614	13700	SH	CALL	DEFINED	1	0	0	0
TJX COS INC NEW	COM	872540109	6857	153100	SH	CALL	DEFINED	2	0	0	0
TOLL BROTHERS INC	COM	889478103	563	16933	SH		DEFINED	2	16933	0	0
TOLL BROTHERS INC	COM	889478103	977	29400	SH	PUT	DEFINED	1	0	0	0
TOLL BROTHERS INC	COM	889478103	7493	225500	SH	PUT	DEFINED	2	0	0	0
TOLL BROTHERS INC	COM	889478103	17306	520800	SH	CALL	DEFINED	2	0	0	0
TOLL BROTHERS INC	COM	889478103	3981	119800	SH	CALL	DEFINED	1	0	0	0
TORCHMARK CORP	COM	891027104	1537	29934	SH		DEFINED	2	29934	0	0
TORCHMARK CORP	COM	891027104	1104	21500	SH		DEFINED	9	21500	0	0
TORCHMARK CORP	COM	891027104	774	15069	SH		DEFINED	3	15069	0	0
TORCHMARK CORP	COM	891027104	416	8100	SH	PUT	DEFINED	1	0	0	0
TORCHMARK CORP	COM	891027104	734	14300	SH	PUT	DEFINED	2	0	0	0
TORCHMARK CORP	COM	891027104	549	10700	SH	CALL	DEFINED	2	0	0	0
TORO CO	COM	891092108	587	14750	SH		DEFINED	2	14750	0	0
TORO CO	COM	891092108	744	18700	SH	PUT	DEFINED	2	0	0	0
TORO CO	COM	891092108	390	9800	SH	CALL	DEFINED	2	0	0	0
TORONTO DOMINION BK ONT	COM NEW	891160509	15435	185200	SH	PUT	DEFINED	2	0	0	0
TORONTO DOMINION BK ONT	COM NEW	891160509	1000	12000	SH	PUT	DEFINED	1	0	0	0
TORONTO DOMINION BK ONT	COM NEW	891160509	2459	29500	SH	CALL	DEFINED	1	0	0	0
TORONTO DOMINION BK ONT	COM NEW	891160509	19877	238500	SH	CALL	DEFINED	2	0	0	0
TOTAL S A	SPONSORED ADR	89151E109	798	15926	SH		DEFINED	2	15926	0	0
TOTAL S A	SPONSORED ADR	89151E109	1744	34806	SH		DEFINED	1	34806	0	0
TOTAL S A	SPONSORED ADR	89151E109	42916	856600	SH	PUT	DEFINED	2	0	0	0
TOTAL S A	SPONSORED ADR	89151E109	19028	379800	SH	PUT	DEFINED	1	0	0	0
TOTAL S A	SPONSORED ADR	89151E109	23271	464500	SH	CALL	DEFINED	1	0	0	0
TOTAL S A	SPONSORED ADR	89151E109	33652	671700	SH	CALL	DEFINED	2	0	0	0
TOTAL SYS SVCS INC	COM	891906109	402	16979	SH		DEFINED	2	16979	0	0
TOTAL SYS SVCS INC	COM	891906109	566	23900	SH	CALL	DEFINED	2	0	0	0
TOWERS WATSON & CO	CL A	891894107	334	6298	SH		DEFINED	3	6298	0	0
TOWERS WATSON & CO	CL A	891894107	637	12000	SH	PUT	DEFINED	2	0	0	0
TOWERS WATSON & CO	CL A	891894107	3692	69600	SH	CALL	DEFINED	2	0	0	0
TOWERSTREAM CORP	COM	892000100	680	167523	SH		DEFINED	2	167523	0	0
TOWERSTREAM CORP	COM	892000100	291	71700	SH	PUT	DEFINED	2	0	0	0
TOWNEBANK PORTSMOUTH VA	COM	89214P109	257	16787	SH		DEFINED	2	16787	0	0
TOYOTA MOTOR CORP	SP ADR REP2COM	892331307	9072	115550	SH		DEFINED	2	115550	0	0
TOYOTA MOTOR CORP	SP ADR REP2COM	892331307	1424	18134	SH		DEFINED	1	18134	0	0
TOYOTA MOTOR CORP	SP ADR REP2COM	892331307	19062	242800	SH	PUT	DEFINED	2	0	0	0
TOYOTA MOTOR CORP	SP ADR REP2COM	892331307	5621	71600	SH	PUT	DEFINED	1	0	0	0
TOYOTA MOTOR CORP	SP ADR REP2COM	892331307	2936	37400	SH	CALL	DEFINED	1	0	0	0
TOYOTA MOTOR CORP	SP ADR REP2COM	892331307	6508	82900	SH	CALL	DEFINED	2	0	0	0
TPC GROUP INC	COM	89236Y104	522	12800	SH		DEFINED	9	12800	0	0
TRACTOR SUPPLY CO	COM	892356106	13044	131900	SH	PUT	DEFINED	2	0	0	0
TRACTOR SUPPLY CO	COM	892356106	900	9100	SH	PUT	DEFINED	1	0	0	0
TRACTOR SUPPLY CO	COM	892356106	13983	141400	SH	CALL	DEFINED	2	0	0	0
TRACTOR SUPPLY CO	COM	892356106	2403	24300	SH	CALL	DEFINED	1	0	0	0
TRANSATLANTIC PETROLEUM LTD	SHS	G89982105	22	20692	SH		DEFINED	3	20692	0	0
TRANSATLANTIC PETROLEUM LTD	SHS	G89982105	27	25706	SH		DEFINED	2	25706	0	0
TRANSCANADA CORP	COM	89353D107	664	14600	SH	PUT	DEFINED	2	0	0	0
TRANSCANADA CORP	COM	89353D107	8035	176600	SH	CALL	DEFINED	2	0	0	0
TRANSCEPT PHARMACEUTICALS IN	COM	89354M106	999	188078	SH		DEFINED	2	188078	0	0
TRANSCEPT PHARMACEUTICALS IN	COM	89354M106	510	96100	SH	PUT	DEFINED	2	0	0	0
TRANSCEPT PHARMACEUTICALS IN	COM	89354M106	1118	210600	SH	CALL	DEFINED	2	0	0	0
TRANSDIGM GROUP INC	COM	893641100	6611	46600	SH		DEFINED	9	46600	0	0
TRANSDIGM GROUP INC	COM	893641100	6852	48300	SH	PUT	DEFINED	2	0	0	0
TRANSDIGM GROUP INC	COM	893641100	752	5300	SH	PUT	DEFINED	1	0	0	0
TRANSDIGM GROUP INC	COM	893641100	4057	28600	SH	CALL	DEFINED	2	0	0	0
TRANSGLOBE ENERGY CORP	COM	893662106	110	10157	SH		DEFINED	2	10157	0	0
TRANSGLOBE ENERGY CORP	COM	893662106	201	18500	SH	PUT	DEFINED	2	0	0	0
TRANSGLOBE ENERGY CORP	COM	893662106	148	13600	SH	CALL	DEFINED	2	0	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	44422	989580	SH		DEFINED	2	989580	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	995	22161	SH		DEFINED	1	22161	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	948	21113	SH		DEFINED	3	21113	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	3587	79900	SH		DEFINED	9	79900	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	14437	321600	SH	PUT	DEFINED	1	0	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	103678	2309600	SH	PUT	DEFINED	2	0	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	15595	347400	SH	CALL	DEFINED	1	0	0	0
TRANSOCEAN LTD	REG SHS	H8817H100	33551	747400	SH	CALL	DEFINED	2	0	0	0
TRANSWITCH CORP	COM NEW	894065309	19	17779	SH		DEFINED	3	17779	0	0
TRAVELCENTERS OF AMERICA LLC	COM	894174101	55	10346	SH		DEFINED	2	10346	0	0
TRAVELCENTERS OF AMERICA LLC	COM	894174101	133	24900	SH	PUT	DEFINED	2	0	0	0
TRAVELERS COMPANIES INC	COM	89417E109	4260	62404	SH		DEFINED	2	62404	0	0
TRAVELERS COMPANIES INC	COM	89417E109	1504	22034	SH		DEFINED	3	22034	0	0
TRAVELERS COMPANIES INC	COM	89417E109	2717	39800	SH	PUT	DEFINED	2	0	0	0
TRAVELERS COMPANIES INC	COM	89417E109	1229	18000	SH	CALL	DEFINED	3	0	0	0
TRAVELERS COMPANIES INC	COM	89417E109	15386	225400	SH	CALL	DEFINED	2	0	0	0
TRAVELZOO INC	COM	89421Q106	4269	181129	SH		DEFINED	2	181129	0	0
TRAVELZOO INC	COM	89421Q106	9412	399300	SH	PUT	DEFINED	2	0	0	0
TRAVELZOO INC	COM	89421Q106	3015	127900	SH	CALL	DEFINED	2	0	0	0
TREEHOUSE FOODS INC	COM	89469A104	615	11706	SH		DEFINED	2	11706	0	0
TREEHOUSE FOODS INC	COM	89469A104	4531	86300	SH	PUT	DEFINED	2	0	0	0
TREEHOUSE FOODS INC	COM	89469A104	2342	44600	SH	CALL	DEFINED	2	0	0	0
TREX CO INC	COM	89531P105	202	5923	SH		DEFINED	3	5923	0	0
TREX CO INC	COM	89531P105	375	11000	SH	PUT	DEFINED	2	0	0	0
TREX CO INC	COM	89531P105	935	27400	SH	CALL	DEFINED	2	0	0	0
TRI-TECH HOLDING INC	SHS	G9103F106	73	19359	SH		DEFINED	3	19359	0	0
TRIANGLE CAP CORP	COM	895848109	329	12803	SH		DEFINED	2	12803	0	0
TRIANGLE CAP CORP	COM	895848109	493	19200	SH	PUT	DEFINED	2	0	0	0
TRIANGLE PETE CORP	COM NEW	89600B201	73	10146	SH		DEFINED	1	10146	0	0
TRIANGLE PETE CORP	COM NEW	89600B201	397	55485	SH		DEFINED	2	55485	0	0
TRIANGLE PETE CORP	COM NEW	89600B201	371	51800	SH	PUT	DEFINED	2	0	0	0
TRIANGLE PETE CORP	COM NEW	89600B201	140	19600	SH	CALL	DEFINED	2	0	0	0
TRIMBLE NAVIGATION LTD	COM	896239100	915	19200	SH		DEFINED	3	19200	0	0
TRIMBLE NAVIGATION LTD	COM	896239100	1916	40200	SH	PUT	DEFINED	2	0	0	0
TRIMBLE NAVIGATION LTD	COM	896239100	1601	33600	SH	PUT	DEFINED	3	0	0	0
TRIMBLE NAVIGATION LTD	COM	896239100	3146	66000	SH	CALL	DEFINED	2	0	0	0
TRIMBLE NAVIGATION LTD	COM	896239100	505	10600	SH	CALL	DEFINED	1	0	0	0
TRINA SOLAR LIMITED	SPON ADR	89628E104	47	10155	SH		DEFINED	3	10155	0	0
TRINA SOLAR LIMITED	SPON ADR	89628E104	117	25559	SH		DEFINED	2	25559	0	0
TRINA SOLAR LIMITED	SPON ADR	89628E104	674	147200	SH	PUT	DEFINED	2	0	0	0
TRINA SOLAR LIMITED	SPON ADR	89628E104	1334	291200	SH	CALL	DEFINED	2	0	0	0
TRINA SOLAR LIMITED	SPON ADR	89628E104	219	47800	SH	CALL	DEFINED	1	0	0	0
TRINITY INDS INC	COM	896522109	1799	60022	SH		DEFINED	2	60022	0	0
TRINITY INDS INC	COM	896522109	294	9822	SH		DEFINED	3	9822	0	0
TRINITY INDS INC	COM	896522109	1516	50600	SH	PUT	DEFINED	2	0	0	0
TRINITY INDS INC	COM	896522109	2257	75300	SH	CALL	DEFINED	2	0	0	0
TRIPADVISOR INC	COM	896945201	692	21004	SH		DEFINED	1	21004	0	0
TRIPADVISOR INC	COM	896945201	10247	311167	SH		DEFINED	2	311167	0	0
TRIPADVISOR INC	COM	896945201	429	13035	SH		DEFINED	3	13035	0	0
TRIPADVISOR INC	COM	896945201	527	16000	SH	PUT	DEFINED	1	0	0	0
TRIPADVISOR INC	COM	896945201	12517	380100	SH	PUT	DEFINED	2	0	0	0
TRIPADVISOR INC	COM	896945201	738	22400	SH	CALL	DEFINED	2	0	0	0
TRIQUINT SEMICONDUCTOR INC	COM	89674K103	176	34843	SH		DEFINED	3	34843	0	0
TRIQUINT SEMICONDUCTOR INC	COM	89674K103	1461	289403	SH		DEFINED	2	289403	0	0
TRIQUINT SEMICONDUCTOR INC	COM	89674K103	1679	332400	SH	PUT	DEFINED	2	0	0	0
TRIQUINT SEMICONDUCTOR INC	COM	89674K103	805	159400	SH	CALL	DEFINED	2	0	0	0
TRIQUINT SEMICONDUCTOR INC	COM	89674K103	521	103100	SH	CALL	DEFINED	1	0	0	0
TRIUMPH GROUP INC NEW	COM	896818101	334	5337	SH		DEFINED	3	5337	0	0
TRIUMPH GROUP INC NEW	COM	896818101	394	6300	SH	PUT	DEFINED	2	0	0	0
TRIUMPH GROUP INC NEW	COM	896818101	256	4100	SH	CALL	DEFINED	2	0	0	0
TRIUMPH GROUP INC NEW	NOTE   2.625%10/0	896818AB7	9190	4000000	PRN		DEFINED	"5,7"	0	0	0
TRIUS THERAPEUTICS INC	COM	89685K100	79	13634	SH		DEFINED	2	13634	0	0
TRIUS THERAPEUTICS INC	COM	89685K100	171	29400	SH	PUT	DEFINED	2	0	0	0
TRONOX LTD	SHS CL A	Q9235V101	2718	120000	SH		DEFINED	9	120000	0	0
TRONOX LTD	SHS CL A	Q9235V101	729	32200	SH	PUT	DEFINED	2	0	0	0
TRONOX LTD	SHS CL A	Q9235V101	492	21700	SH	CALL	DEFINED	2	0	0	0
TRUE RELIGION APPAREL INC	COM	89784N104	268	12561	SH		DEFINED	3	12561	0	0
TRUE RELIGION APPAREL INC	COM	89784N104	520	24400	SH	PUT	DEFINED	1	0	0	0
TRUE RELIGION APPAREL INC	COM	89784N104	3434	161000	SH	PUT	DEFINED	2	0	0	0
TRUE RELIGION APPAREL INC	COM	89784N104	1939	90900	SH	CALL	DEFINED	2	0	0	0
TRUEBLUE INC	COM	89785X101	211	13400	SH	CALL	DEFINED	2	0	0	0
TRUSTMARK CORP	COM	898402102	717	29456	SH		DEFINED	2	29456	0	0
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	2847	65144	SH		DEFINED	2	65144	0	0
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	3624	82900	SH		DEFINED	9	82900	0	0
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	3628	83000	SH	PUT	DEFINED	2	0	0	0
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	420	9600	SH	PUT	DEFINED	1	0	0	0
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	529	12100	SH	CALL	DEFINED	1	0	0	0
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	2470	56500	SH	CALL	DEFINED	2	0	0	0
TSAKOS ENERGY NAVIGATION LTD	SHS	G9108L108	160	30900	SH	PUT	DEFINED	2	0	0	0
TSAKOS ENERGY NAVIGATION LTD	SHS	G9108L108	368	71000	SH	CALL	DEFINED	2	0	0	0
TTM TECHNOLOGIES     INC	COM	87305R109	1117	118400	SH	CALL	DEFINED	2	0	0	0
TUMI HLDGS INC	COM	89969Q104	436	18510	SH		DEFINED	2	18510	0	0
TUMI HLDGS INC	COM	89969Q104	786	33400	SH	PUT	DEFINED	2	0	0	0
TUPPERWARE BRANDS CORP	COM	899896104	3832	71512	SH		DEFINED	2	71512	0	0
TUPPERWARE BRANDS CORP	COM	899896104	9480	176900	SH	PUT	DEFINED	2	0	0	0
TUPPERWARE BRANDS CORP	COM	899896104	686	12800	SH	PUT	DEFINED	1	0	0	0
TUPPERWARE BRANDS CORP	COM	899896104	6050	112900	SH	CALL	DEFINED	2	0	0	0
TURKCELL ILETISIM HIZMETLERI	SPON ADR NEW	900111204	438	28947	SH		DEFINED	9	28947	0	0
TURKCELL ILETISIM HIZMETLERI	SPON ADR NEW	900111204	295	19500	SH	PUT	DEFINED	2	0	0	0
TURKCELL ILETISIM HIZMETLERI	SPON ADR NEW	900111204	562	37100	SH	CALL	DEFINED	2	0	0	0
TURQUOISE HILL RES LTD	COM	900435108	115	13600	SH	PUT	DEFINED	3	0	0	0
TURQUOISE HILL RES LTD	COM	900435108	1897	223700	SH	PUT	DEFINED	2	0	0	0
TURQUOISE HILL RES LTD	COM	900435108	3181	375100	SH	CALL	DEFINED	2	0	0	0
TW TELECOM INC	COM	87311L104	984	37700	SH		DEFINED	9	37700	0	0
TW TELECOM INC	COM	87311L104	272	10428	SH		DEFINED	3	10428	0	0
TW TELECOM INC	COM	87311L104	530	20300	SH	CALL	DEFINED	2	0	0	0
TWIN DISC INC	COM	901476101	293	16380	SH		DEFINED	2	16380	0	0
TWO HBRS INVT CORP	COM	90187B101	300	25505	SH		DEFINED	3	25505	0	0
TWO HBRS INVT CORP	COM	90187B101	1081	91963	SH		DEFINED	2	91963	0	0
TWO HBRS INVT CORP	COM	90187B101	2008	170900	SH		DEFINED	9	170900	0	0
TWO HBRS INVT CORP	COM	90187B101	132	11200	SH	PUT	DEFINED	1	0	0	0
TWO HBRS INVT CORP	COM	90187B101	1847	157200	SH	PUT	DEFINED	2	0	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	3336	59300	SH		DEFINED	9	59300	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	7356	130747	SH		DEFINED	1	130747	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	71254	1266518	SH		DEFINED	3	1266518	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	30826	547914	SH		DEFINED	2	547914	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	41447	736700	SH	PUT	DEFINED	2	0	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	6971	123900	SH	PUT	DEFINED	1	0	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	3443	61200	SH	CALL	DEFINED	1	0	0	0
TYCO INTERNATIONAL LTD	SHS	H89128104	15758	280100	SH	CALL	DEFINED	2	0	0	0
TYLER TECHNOLOGIES INC	COM	902252105	267	6068	SH		DEFINED	3	6068	0	0
TYSON FOODS INC	CL A	902494103	234	14619	SH		DEFINED	3	14619	0	0
TYSON FOODS INC	CL A	902494103	1331	83112	SH		DEFINED	2	83112	0	0
TYSON FOODS INC	CL A	902494103	13393	836000	SH	PUT	DEFINED	2	0	0	0
TYSON FOODS INC	CL A	902494103	317	19800	SH	PUT	DEFINED	1	0	0	0
TYSON FOODS INC	CL A	902494103	12228	763300	SH	CALL	DEFINED	2	0	0	0
TYSON FOODS INC	CL A	902494103	859	53600	SH	CALL	DEFINED	1	0	0	0
U S AIRWAYS GROUP INC	COM	90341W108	894	85437	SH		DEFINED	2	85437	0	0
U S AIRWAYS GROUP INC	COM	90341W108	7873	752700	SH	PUT	DEFINED	2	0	0	0
U S AIRWAYS GROUP INC	COM	90341W108	149	14200	SH	PUT	DEFINED	1	0	0	0
U S AIRWAYS GROUP INC	COM	90341W108	4143	396100	SH	CALL	DEFINED	2	0	0	0
U S AIRWAYS GROUP INC	COM	90341W108	698	66700	SH	CALL	DEFINED	1	0	0	0
U S ENERGY CORP WYO	COM	911805109	77	35771	SH		DEFINED	3	35771	0	0
U S ENERGY CORP WYO	COM	911805109	42	19685	SH		DEFINED	2	19685	0	0
U S ENERGY CORP WYO	COM	911805109	57	26500	SH	CALL	DEFINED	2	0	0	0
U S G CORP	COM NEW	903293405	8042	366400	SH		DEFINED	9	366400	0	0
U S G CORP	COM NEW	903293405	325	14800	SH	PUT	DEFINED	1	0	0	0
U S G CORP	COM NEW	903293405	41637	1896900	SH	PUT	DEFINED	2	0	0	0
U S G CORP	COM NEW	903293405	252	11500	SH	CALL	DEFINED	1	0	0	0
U S G CORP	COM NEW	903293405	23302	1061600	SH	CALL	DEFINED	2	0	0	0
U S SILICA HLDGS INC	COM	90346E103	170	12500	SH	PUT	DEFINED	2	0	0	0
U S SILICA HLDGS INC	COM	90346E103	621	45800	SH	CALL	DEFINED	2	0	0	0
UBIQUITI NETWORKS INC	COM	90347A100	239	20086	SH		DEFINED	3	20086	0	0
UBIQUITI NETWORKS INC	COM	90347A100	151	12700	SH	PUT	DEFINED	1	0	0	0
UBIQUITI NETWORKS INC	COM	90347A100	1052	88400	SH	PUT	DEFINED	3	0	0	0
UBIQUITI NETWORKS INC	COM	90347A100	1271	106800	SH	PUT	DEFINED	2	0	0	0
UBIQUITI NETWORKS INC	COM	90347A100	1965	165100	SH	CALL	DEFINED	2	0	0	0
UBS AG	SHS NEW	H89231338	1611	132244	SH		DEFINED	2	132244	0	0
UBS AG	SHS NEW	H89231338	3653	299900	SH	PUT	DEFINED	2	0	0	0
UBS AG	SHS NEW	H89231338	635	52100	SH	PUT	DEFINED	1	0	0	0
UBS AG	SHS NEW	H89231338	838	68800	SH	CALL	DEFINED	1	0	0	0
UBS AG	SHS NEW	H89231338	2184	179300	SH	CALL	DEFINED	2	0	0	0
UBS AG JERSEY BRANCH	LNK WELLS FRGO	902664408	310	10686	SH		DEFINED	3	10686	0	0
UBS AG JERSEY BRH	LNG SHT VIX	902641596	495	21705	SH		DEFINED	2	21705	0	0
UBS AG JERSEY BRH	LKD ALRN NTGAS	902641620	356	11628	SH		DEFINED	3	11628	0	0
UBS AG LONDON BRH	ETRACS FIS GART	90268A717	753	26723	SH		DEFINED	3	26723	0	0
UDR INC	COM	902653104	225	9052	SH		DEFINED	3	9052	0	0
UDR INC	COM	902653104	355	14286	SH		DEFINED	2	14286	0	0
UDR INC	COM	902653104	482	19400	SH	PUT	DEFINED	2	0	0	0
UDR INC	COM	902653104	628	25300	SH	CALL	DEFINED	2	0	0	0
UGI CORP NEW	COM	902681105	349	11000	SH	CALL	DEFINED	2	0	0	0
UIL HLDG CORP	COM	902748102	1391	38800	SH		DEFINED	9	38800	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	913	9476	SH		DEFINED	2	9476	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	382	3963	SH		DEFINED	3	3963	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	4729	49100	SH		DEFINED	9	49100	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	289	3000	SH	PUT	DEFINED	3	0	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	13117	136200	SH	PUT	DEFINED	2	0	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	308	3200	SH	PUT	DEFINED	1	0	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	12847	133400	SH	CALL	DEFINED	2	0	0	0
ULTA SALON COSMETCS & FRAG I	COM	90384S303	453	4700	SH	CALL	DEFINED	1	0	0	0
ULTIMATE SOFTWARE GROUP INC	COM	90385D107	6391	62600	SH	PUT	DEFINED	2	0	0	0
ULTIMATE SOFTWARE GROUP INC	COM	90385D107	3880	38000	SH	CALL	DEFINED	2	0	0	0
ULTRA CLEAN HLDGS INC	COM	90385V107	85	14900	SH	PUT	DEFINED	2	0	0	0
ULTRA CLEAN HLDGS INC	COM	90385V107	67	11700	SH	CALL	DEFINED	2	0	0	0
ULTRA PETROLEUM CORP	COM	903914109	20396	927956	SH		DEFINED	2	927956	0	0
ULTRA PETROLEUM CORP	COM	903914109	2105	95748	SH		DEFINED	1	95748	0	0
ULTRA PETROLEUM CORP	COM	903914109	40725	1852800	SH	PUT	DEFINED	2	0	0	0
ULTRA PETROLEUM CORP	COM	903914109	6229	283400	SH	PUT	DEFINED	1	0	0	0
ULTRA PETROLEUM CORP	COM	903914109	4715	214500	SH	CALL	DEFINED	1	0	0	0
ULTRA PETROLEUM CORP	COM	903914109	35197	1601300	SH	CALL	DEFINED	2	0	0	0
ULTRAPETROL BAHAMAS LTD	COM	P94398107	70	48982	SH		DEFINED	3	48982	0	0
ULTRATECH INC	COM	904034105	251	8000	SH		DEFINED	9	8000	0	0
ULTRATECH INC	COM	904034105	446	14200	SH	PUT	DEFINED	2	0	0	0
ULTRATECH INC	COM	904034105	1422	45300	SH	CALL	DEFINED	2	0	0	0
UMB FINL CORP	COM	902788108	248	5100	SH		DEFINED	9	5100	0	0
UMB FINL CORP	COM	902788108	462	9500	SH	PUT	DEFINED	2	0	0	0
UMB FINL CORP	COM	902788108	389	8000	SH	CALL	DEFINED	2	0	0	0
UMPQUA HLDGS CORP	COM	904214103	210	16265	SH		DEFINED	2	16265	0	0
UMPQUA HLDGS CORP	COM	904214103	371	28754	SH		DEFINED	3	28754	0	0
UMPQUA HLDGS CORP	COM	904214103	232	18000	SH	PUT	DEFINED	2	0	0	0
UNDER ARMOUR INC	CL A	904311107	2236	40043	SH		DEFINED	2	40043	0	0
UNDER ARMOUR INC	CL A	904311107	1105	19788	SH		DEFINED	1	19788	0	0
UNDER ARMOUR INC	CL A	904311107	261	4676	SH		DEFINED	3	4676	0	0
UNDER ARMOUR INC	CL A	904311107	29054	520400	SH	PUT	DEFINED	2	0	0	0
UNDER ARMOUR INC	CL A	904311107	8140	145800	SH	PUT	DEFINED	1	0	0	0
UNDER ARMOUR INC	CL A	904311107	9809	175700	SH	CALL	DEFINED	1	0	0	0
UNDER ARMOUR INC	CL A	904311107	27440	491500	SH	CALL	DEFINED	2	0	0	0
UNDER ARMOUR INC	CL A	904311107	1513	27100	SH	CALL	DEFINED	3	0	0	0
UNICO AMERN CORP	COM	904607108	154	13219	SH		DEFINED	3	13219	0	0
UNILEVER N V	N Y SHS NEW	904784709	1246	35112	SH		DEFINED	3	35112	0	0
UNILEVER N V	N Y SHS NEW	904784709	248	7000	SH	PUT	DEFINED	2	0	0	0
UNILEVER N V	N Y SHS NEW	904784709	1068	30100	SH	CALL	DEFINED	2	0	0	0
UNILEVER PLC	SPON ADR NEW	904767704	329	9000	SH	PUT	DEFINED	2	0	0	0
UNILEVER PLC	SPON ADR NEW	904767704	2841	77800	SH	CALL	DEFINED	2	0	0	0
UNILIFE CORP NEW	COM	90478E103	89	28478	SH		DEFINED	2	28478	0	0
UNION PAC CORP	COM	907818108	1763	14856	SH		DEFINED	1	14856	0	0
UNION PAC CORP	COM	907818108	8341	70269	SH		DEFINED	2	70269	0	0
UNION PAC CORP	COM	907818108	3039	25600	SH		DEFINED	9	25600	0	0
UNION PAC CORP	COM	907818108	534	4500	SH		DEFINED	3	4500	0	0
UNION PAC CORP	COM	907818108	63457	534600	SH	PUT	DEFINED	2	0	0	0
UNION PAC CORP	COM	907818108	18149	152900	SH	PUT	DEFINED	1	0	0	0
UNION PAC CORP	COM	907818108	39242	330600	SH	CALL	DEFINED	2	0	0	0
UNION PAC CORP	COM	907818108	14529	122400	SH	CALL	DEFINED	1	0	0	0
UNISYS CORP	COM NEW	909214306	1658	79636	SH		DEFINED	2	79636	0	0
UNISYS CORP	COM NEW	909214306	2590	124400	SH	PUT	DEFINED	2	0	0	0
UNISYS CORP	COM NEW	909214306	2317	111300	SH	CALL	DEFINED	2	0	0	0
UNIT CORP	COM	909218109	249	6000	SH	PUT	DEFINED	2	0	0	0
UNIT CORP	COM	909218109	486	11700	SH	CALL	DEFINED	2	0	0	0
UNITED BANKSHARES INC WEST V	COM	909907107	1513	60746	SH		DEFINED	3	60746	0	0
UNITED BANKSHARES INC WEST V	COM	909907107	412	16540	SH		DEFINED	2	16540	0	0
UNITED CONTL HLDGS INC	COM	910047109	6545	335647	SH		DEFINED	2	335647	0	0
UNITED CONTL HLDGS INC	COM	910047109	806	41342	SH		DEFINED	1	41342	0	0
UNITED CONTL HLDGS INC	COM	910047109	9688	496846	SH		DEFINED	9	496846	0	0
UNITED CONTL HLDGS INC	COM	910047109	3567	182900	SH	PUT	DEFINED	1	0	0	0
UNITED CONTL HLDGS INC	COM	910047109	18640	955900	SH	PUT	DEFINED	2	0	0	0
UNITED CONTL HLDGS INC	COM	910047109	10803	554000	SH	PUT	DEFINED	3	0	0	0
UNITED CONTL HLDGS INC	COM	910047109	2510	128700	SH	CALL	DEFINED	1	0	0	0
UNITED CONTL HLDGS INC	COM	910047109	5068	259900	SH	CALL	DEFINED	3	0	0	0
UNITED CONTL HLDGS INC	COM	910047109	10914	559700	SH	CALL	DEFINED	2	0	0	0
UNITED MICROELECTRONICS CORP	SPON ADR NEW	910873405	846	412719	SH		DEFINED	9	412719	0	0
UNITED MICROELECTRONICS CORP	SPON ADR NEW	910873405	1848	901572	SH		DEFINED	3	901572	0	0
UNITED MICROELECTRONICS CORP	SPON ADR NEW	910873405	21	10000	SH	PUT	DEFINED	2	0	0	0
UNITED MICROELECTRONICS CORP	SPON ADR NEW	910873405	21	10000	SH	CALL	DEFINED	2	0	0	0
UNITED NAT FOODS INC	COM	911163103	3497	59831	SH		DEFINED	2	59831	0	0
UNITED NAT FOODS INC	COM	911163103	789	13500	SH		DEFINED	9	13500	0	0
UNITED NAT FOODS INC	COM	911163103	247	4218	SH		DEFINED	3	4218	0	0
UNITED NAT FOODS INC	COM	911163103	1379	23600	SH	PUT	DEFINED	2	0	0	0
UNITED NAT FOODS INC	COM	911163103	281	4800	SH	CALL	DEFINED	2	0	0	0
UNITED ONLINE INC	COM	911268100	358	64900	SH	PUT	DEFINED	2	0	0	0
UNITED ONLINE INC	COM	911268100	440	79700	SH	CALL	DEFINED	2	0	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	52898	739106	SH		DEFINED	3	739106	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	1143	15975	SH		DEFINED	1	15975	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	8826	123321	SH		DEFINED	2	123321	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	3120	43600	SH	PUT	DEFINED	3	0	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	11122	155400	SH	PUT	DEFINED	1	0	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	75743	1058300	SH	PUT	DEFINED	2	0	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	199630	2789300	SH	CALL	DEFINED	2	0	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	487	6800	SH	CALL	DEFINED	3	0	0	0
UNITED PARCEL SERVICE INC	CL B	911312106	25586	357500	SH	CALL	DEFINED	1	0	0	0
UNITED RENTALS INC	COM	911363109	1496	45750	SH		DEFINED	2	45750	0	0
UNITED RENTALS INC	COM	911363109	978	29900	SH	PUT	DEFINED	1	0	0	0
UNITED RENTALS INC	COM	911363109	21288	650800	SH	PUT	DEFINED	2	0	0	0
UNITED RENTALS INC	COM	911363109	1793	54800	SH	PUT	DEFINED	3	0	0	0
UNITED RENTALS INC	COM	911363109	1341	41000	SH	CALL	DEFINED	3	0	0	0
UNITED RENTALS INC	COM	911363109	12685	387800	SH	CALL	DEFINED	2	0	0	0
UNITED RENTALS INC	COM	911363109	3130	95700	SH	CALL	DEFINED	1	0	0	0
UNITED SEC BANCSHARES INC	SHS	911459105	115	20349	SH		DEFINED	3	20349	0	0
UNITED STATES ANTIMONY CORP	COM	911549103	20	10326	SH		DEFINED	3	10326	0	0
UNITED STATES ANTIMONY CORP	COM	911549103	61	31289	SH		DEFINED	2	31289	0	0
UNITED STATES ANTIMONY CORP	COM	911549103	117	60000	SH		DEFINED	"5,8"	60000	0	0
UNITED STATES CELLULAR CORP	COM	911684108	239	6100	SH	PUT	DEFINED	2	0	0	0
UNITED STATES CELLULAR CORP	COM	911684108	207	5300	SH	CALL	DEFINED	2	0	0	0
UNITED STATES LIME & MINERAL	COM	911922102	311	6460	SH		DEFINED	3	6460	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	2740	128379	SH		DEFINED	2	128379	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	279	13056	SH		DEFINED	3	13056	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	1833	85900	SH		DEFINED	1	85900	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	1161	54400	SH	PUT	DEFINED	1	0	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	79997	3748700	SH	PUT	DEFINED	2	0	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	2014	94400	SH	CALL	DEFINED	1	0	0	0
UNITED STATES NATL GAS FUND	UNIT PAR $0.001	912318201	64118	3004600	SH	CALL	DEFINED	2	0	0	0
UNITED STATES OIL FUND LP	UNITS	91232N108	3932	115200	SH		DEFINED	1	115200	0	0
UNITED STATES OIL FUND LP	UNITS	91232N108	40888	1198008	SH		DEFINED	2	1198008	0	0
UNITED STATES OIL FUND LP	UNITS	91232N108	27067	792600	SH	PUT	DEFINED	1	0	0	0
UNITED STATES OIL FUND LP	UNITS	91232N108	605415	17728100	SH	PUT	DEFINED	2	0	0	0
UNITED STATES OIL FUND LP	UNITS	91232N108	192787	5645300	SH	CALL	DEFINED	2	0	0	0
UNITED STATES OIL FUND LP	UNITS	91232N108	32436	949800	SH	CALL	DEFINED	1	0	0	0
UNITED STATES STL CORP NEW	COM	912909108	3387	177583	SH		DEFINED	2	177583	0	0
UNITED STATES STL CORP NEW	COM	912909108	1382	72458	SH		DEFINED	1	72458	0	0
UNITED STATES STL CORP NEW	COM	912909108	79465	4167000	SH	PUT	DEFINED	2	0	0	0
UNITED STATES STL CORP NEW	COM	912909108	4970	260600	SH	PUT	DEFINED	1	0	0	0
UNITED STATES STL CORP NEW	COM	912909108	21990	1153100	SH	CALL	DEFINED	2	0	0	0
UNITED STATES STL CORP NEW	COM	912909108	9394	492600	SH	CALL	DEFINED	1	0	0	0
UNITED STATIONERS INC	COM	913004107	530	20351	SH		DEFINED	2	20351	0	0
UNITED STATIONERS INC	COM	913004107	221	8494	SH		DEFINED	3	8494	0	0
UNITED STS 12 MONTH OIL FD L	UNIT BEN INT	91288V103	2679	66429	SH		DEFINED	3	66429	0	0
UNITED STS 12 MONTH OIL FD L	UNIT BEN INT	91288V103	371	9200	SH		DEFINED	2	9200	0	0
UNITED STS 12 MONTH OIL FD L	UNIT BEN INT	91288V103	1944	48200	SH	PUT	DEFINED	2	0	0	0
UNITED STS 12 MONTH OIL FD L	UNIT BEN INT	91288V103	1682	41700	SH	CALL	DEFINED	2	0	0	0
UNITED STS BRENT OIL FD LP	UNIT	91167Q100	7356	90800	SH		DEFINED	2	90800	0	0
UNITED STS BRENT OIL FD LP	UNIT	91167Q100	427	5265	SH		DEFINED	3	5265	0	0
UNITED STS BRENT OIL FD LP	UNIT	91167Q100	3273	40400	SH	PUT	DEFINED	2	0	0	0
UNITED STS BRENT OIL FD LP	UNIT	91167Q100	3751	46300	SH	CALL	DEFINED	2	0	0	0
UNITED STS GASOLINE FD LP	UNITS	91201T102	454	7500	SH	PUT	DEFINED	1	0	0	0
UNITED STS GASOLINE FD LP	UNITS	91201T102	3958	65400	SH	PUT	DEFINED	2	0	0	0
UNITED STS GASOLINE FD LP	UNITS	91201T102	781	12900	SH	CALL	DEFINED	1	0	0	0
UNITED STS GASOLINE FD LP	UNITS	91201T102	2033	33600	SH	CALL	DEFINED	2	0	0	0
UNITED STS SHORT OIL FD LP	UNITS	912613205	425	11200	SH		DEFINED	2	11200	0	0
UNITED STS SHORT OIL FD LP	UNITS	912613205	474	12500	SH	PUT	DEFINED	2	0	0	0
UNITED STS SHORT OIL FD LP	UNITS	912613205	269	7100	SH	CALL	DEFINED	2	0	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	9514	121522	SH		DEFINED	1	121522	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	10974	140172	SH		DEFINED	2	140172	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	6252	79855	SH		DEFINED	3	79855	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	17310	221100	SH	PUT	DEFINED	1	0	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	76685	979500	SH	PUT	DEFINED	2	0	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	4306	55000	SH	PUT	DEFINED	3	0	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	759	9700	SH	CALL	DEFINED	3	0	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	85571	1093000	SH	CALL	DEFINED	2	0	0	0
UNITED TECHNOLOGIES CORP	COM	913017109	4838	61800	SH	CALL	DEFINED	1	0	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	356	6370	SH		DEFINED	2	6370	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	739	13217	SH		DEFINED	1	13217	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	1324	23700	SH		DEFINED	9	23700	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	3324	59489	SH		DEFINED	3	59489	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	1559	27900	SH	PUT	DEFINED	1	0	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	3934	70400	SH	PUT	DEFINED	2	0	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	2291	41000	SH	CALL	DEFINED	1	0	0	0
UNITED THERAPEUTICS CORP DEL	COM	91307C102	15831	283300	SH	CALL	DEFINED	2	0	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	27815	501977	SH		DEFINED	2	501977	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	3275	59099	SH		DEFINED	1	59099	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	371	6701	SH		DEFINED	3	6701	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	2532	45700	SH	PUT	DEFINED	3	0	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	64242	1159400	SH	PUT	DEFINED	2	0	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	11642	210100	SH	PUT	DEFINED	1	0	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	8478	153000	SH	CALL	DEFINED	1	0	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	68481	1235900	SH	CALL	DEFINED	2	0	0	0
UNITEDHEALTH GROUP INC	COM	91324P102	2477	44700	SH	CALL	DEFINED	3	0	0	0
UNITEK GLOBAL SVCS INC	COM PAR $.00002	91324T302	50	11688	SH		DEFINED	3	11688	0	0
UNIVERSAL CORP VA	COM	913456109	1395	27388	SH		DEFINED	2	27388	0	0
UNIVERSAL CORP VA	COM	913456109	947	18600	SH	PUT	DEFINED	2	0	0	0
UNIVERSAL CORP VA	COM	913456109	1354	26600	SH	CALL	DEFINED	2	0	0	0
UNIVERSAL DISPLAY CORP	COM	91347P105	6138	178536	SH		DEFINED	2	178536	0	0
UNIVERSAL DISPLAY CORP	COM	91347P105	1110	32300	SH		DEFINED	9	32300	0	0
UNIVERSAL DISPLAY CORP	COM	91347P105	835	24300	SH	PUT	DEFINED	1	0	0	0
UNIVERSAL DISPLAY CORP	COM	91347P105	10170	295800	SH	PUT	DEFINED	2	0	0	0
UNIVERSAL DISPLAY CORP	COM	91347P105	11177	325100	SH	CALL	DEFINED	2	0	0	0
UNIVERSAL FST PRODS INC	COM	913543104	320	7700	SH		DEFINED	9	7700	0	0
UNIVERSAL FST PRODS INC	COM	913543104	594	14300	SH	PUT	DEFINED	2	0	0	0
UNIVERSAL FST PRODS INC	COM	913543104	270	6500	SH	CALL	DEFINED	2	0	0	0
UNIVERSAL HLTH SVCS INC	CL B	913903100	542	11855	SH		DEFINED	2	11855	0	0
UNIVERSAL HLTH SVCS INC	CL B	913903100	1170	25590	SH		DEFINED	3	25590	0	0
UNIVERSAL HLTH SVCS INC	CL B	913903100	1413	30900	SH	PUT	DEFINED	2	0	0	0
UNIVERSAL HLTH SVCS INC	CL B	913903100	1564	34200	SH	CALL	DEFINED	2	0	0	0
UNIVERSAL TRUCKLOAD SVCS INC	COM	91388P105	179	11216	SH		DEFINED	3	11216	0	0
UNS ENERGY CORP	COM	903119105	1194	28517	SH		DEFINED	2	28517	0	0
UNUM GROUP	COM	91529Y106	555	28898	SH		DEFINED	2	28898	0	0
UNUM GROUP	COM	91529Y106	505	26285	SH		DEFINED	3	26285	0	0
UNUM GROUP	COM	91529Y106	229	11900	SH	PUT	DEFINED	2	0	0	0
UNUM GROUP	COM	91529Y106	384	20000	SH	CALL	DEFINED	2	0	0	0
UNWIRED PLANET INC NEW	COM	91531F103	26	13641	SH		DEFINED	2	13641	0	0
UQM TECHNOLOGIES INC	COM	903213106	98	84068	SH		DEFINED	3	84068	0	0
UQM TECHNOLOGIES INC	COM	903213106	207	178725	SH		DEFINED	2	178725	0	0
UQM TECHNOLOGIES INC	COM	903213106	109	94100	SH	PUT	DEFINED	2	0	0	0
UR ENERGY INC	COM	91688R108	529	534637	SH		DEFINED	3	534637	0	0
URANERZ ENERGY CORP	COM	91688T104	54	32998	SH		DEFINED	2	32998	0	0
URANERZ ENERGY CORP	COM	91688T104	40	24800	SH	PUT	DEFINED	2	0	0	0
URANIUM ENERGY CORP	COM	916896103	522	200150	SH		DEFINED	3	200150	0	0
URANIUM ENERGY CORP	COM	916896103	509	195163	SH		DEFINED	2	195163	0	0
URANIUM ENERGY CORP	COM	916896103	603	231100	SH	PUT	DEFINED	2	0	0	0
URANIUM RES INC	COM PAR $0.001	916901507	109	214161	SH		DEFINED	3	214161	0	0
URBAN OUTFITTERS INC	COM	917047102	579	15416	SH		DEFINED	3	15416	0	0
URBAN OUTFITTERS INC	COM	917047102	346	9222	SH		DEFINED	2	9222	0	0
URBAN OUTFITTERS INC	COM	917047102	1167	31060	SH		DEFINED	1	31060	0	0
URBAN OUTFITTERS INC	COM	917047102	962	25600	SH	PUT	DEFINED	3	0	0	0
URBAN OUTFITTERS INC	COM	917047102	21650	576400	SH	PUT	DEFINED	2	0	0	0
URBAN OUTFITTERS INC	COM	917047102	10160	270500	SH	PUT	DEFINED	1	0	0	0
URBAN OUTFITTERS INC	COM	917047102	3121	83100	SH	CALL	DEFINED	1	0	0	0
URBAN OUTFITTERS INC	COM	917047102	17000	452600	SH	CALL	DEFINED	2	0	0	0
URBAN OUTFITTERS INC	COM	917047102	838	22300	SH	CALL	DEFINED	3	0	0	0
URS CORP NEW	COM	903236107	784	22200	SH	PUT	DEFINED	2	0	0	0
URS CORP NEW	COM	903236107	1292	36600	SH	CALL	DEFINED	2	0	0	0
US BANCORP DEL	COM NEW	902973304	5800	169107	SH		DEFINED	2	169107	0	0
US BANCORP DEL	COM NEW	902973304	3860	112533	SH		DEFINED	3	112533	0	0
US BANCORP DEL	COM NEW	902973304	23207	676598	SH		DEFINED	9	676598	0	0
US BANCORP DEL	COM NEW	902973304	2179	63531	SH		DEFINED	1	63531	0	0
US BANCORP DEL	COM NEW	902973304	916	26700	SH	PUT	DEFINED	3	0	0	0
US BANCORP DEL	COM NEW	902973304	27841	811700	SH	PUT	DEFINED	2	0	0	0
US BANCORP DEL	COM NEW	902973304	4606	134300	SH	PUT	DEFINED	1	0	0	0
US BANCORP DEL	COM NEW	902973304	7354	214400	SH	CALL	DEFINED	1	0	0	0
US BANCORP DEL	COM NEW	902973304	63736	1858200	SH	CALL	DEFINED	2	0	0	0
US ECOLOGY INC	COM	91732J102	266	12347	SH		DEFINED	2	12347	0	0
USA MOBILITY INC	COM	90341G103	137	11545	SH		DEFINED	3	11545	0	0
USANA HEALTH SCIENCES INC	COM	90328M107	455	9800	SH		DEFINED	9	9800	0	0
USANA HEALTH SCIENCES INC	COM	90328M107	994	21400	SH	PUT	DEFINED	2	0	0	0
USANA HEALTH SCIENCES INC	COM	90328M107	358	7700	SH	PUT	DEFINED	1	0	0	0
USANA HEALTH SCIENCES INC	COM	90328M107	1366	29400	SH	CALL	DEFINED	2	0	0	0
USEC INC	COM	90333E108	22	27667	SH		DEFINED	3	27667	0	0
USEC INC	COM	90333E108	86	110856	SH		DEFINED	2	110856	0	0
USEC INC	COM	90333E108	200	256600	SH	PUT	DEFINED	2	0	0	0
USEC INC	COM	90333E108	95	122100	SH	CALL	DEFINED	2	0	0	0
USEC INC	COM	90333E108	12	14800	SH	CALL	DEFINED	1	0	0	0
USEC INC	NOTE   3.000%10/0	90333EAC2	9814	25043000	PRN		DEFINED	"5,7"	0	0	0
UTSTARCOM HOLDINGS CORP	USD ORD SHS	G9310A106	87	84194	SH		DEFINED	3	84194	0	0
UTSTARCOM HOLDINGS CORP	USD ORD SHS	G9310A106	40	38800	SH		DEFINED	9	38800	0	0
V F CORP	COM	918204108	4363	27377	SH		DEFINED	2	27377	0	0
V F CORP	COM	918204108	256	1605	SH		DEFINED	1	1605	0	0
V F CORP	COM	918204108	6215	39000	SH	PUT	DEFINED	2	0	0	0
V F CORP	COM	918204108	478	3000	SH	CALL	DEFINED	1	0	0	0
V F CORP	COM	918204108	9737	61100	SH	CALL	DEFINED	2	0	0	0
VAALCO ENERGY INC	COM NEW	91851C201	100	11698	SH		DEFINED	2	11698	0	0
VAALCO ENERGY INC	COM NEW	91851C201	305	35700	SH	CALL	DEFINED	2	0	0	0
VAIL RESORTS INC	COM	91879Q109	553	9600	SH		DEFINED	9	9600	0	0
VAIL RESORTS INC	COM	91879Q109	398	6903	SH		DEFINED	2	6903	0	0
VAIL RESORTS INC	COM	91879Q109	260	4504	SH		DEFINED	1	4504	0	0
VAIL RESORTS INC	COM	91879Q109	211	3654	SH		DEFINED	3	3654	0	0
VAIL RESORTS INC	COM	91879Q109	3966	68800	SH	PUT	DEFINED	2	0	0	0
VAIL RESORTS INC	COM	91879Q109	571	9900	SH	PUT	DEFINED	3	0	0	0
VAIL RESORTS INC	COM	91879Q109	1914	33200	SH	CALL	DEFINED	2	0	0	0
VALASSIS COMMUNICATIONS INC	COM	918866104	316	12805	SH		DEFINED	2	12805	0	0
VALASSIS COMMUNICATIONS INC	COM	918866104	657	26600	SH		DEFINED	9	26600	0	0
VALASSIS COMMUNICATIONS INC	COM	918866104	1094	44300	SH	PUT	DEFINED	2	0	0	0
VALASSIS COMMUNICATIONS INC	COM	918866104	563	22800	SH	CALL	DEFINED	2	0	0	0
VALE S A	ADR	91912E105	4136	231047	SH		DEFINED	1	231047	0	0
VALE S A	ADR	91912E105	4637	259023	SH		DEFINED	2	259023	0	0
VALE S A	ADR	91912E105	6841	382200	SH	PUT	DEFINED	1	0	0	0
VALE S A	ADR	91912E105	76911	4296700	SH	PUT	DEFINED	2	0	0	0
VALE S A	ADR	91912E105	44788	2502100	SH	CALL	DEFINED	2	0	0	0
VALE S A	ADR	91912E105	5979	334000	SH	CALL	DEFINED	1	0	0	0
VALE S A	ADR REPSTG PFD	91912E204	201	11570	SH		DEFINED	2	11570	0	0
VALE S A	ADR REPSTG PFD	91912E204	4413	254178	SH		DEFINED	3	254178	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	1017	18403	SH		DEFINED	1	18403	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	2169	39251	SH		DEFINED	2	39251	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	1237	22385	SH		DEFINED	3	22385	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	59730	1080700	SH	PUT	DEFINED	2	0	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	23097	417900	SH	PUT	DEFINED	1	0	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	55242	999500	SH	CALL	DEFINED	2	0	0	0
VALEANT PHARMACEUTICALS INTL	COM	91911K102	11181	202300	SH	CALL	DEFINED	1	0	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	8279	261342	SH		DEFINED	2	261342	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	3428	108200	SH		DEFINED	9	108200	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	1063	33568	SH		DEFINED	3	33568	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	48489	1530600	SH	PUT	DEFINED	2	0	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	2515	79400	SH	PUT	DEFINED	1	0	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	59631	1882300	SH	CALL	DEFINED	2	0	0	0
VALERO ENERGY CORP NEW	COM	91913Y100	4527	142900	SH	CALL	DEFINED	1	0	0	0
VALIDUS HOLDINGS LTD	COM SHS	G9319H102	337	9951	SH		DEFINED	3	9951	0	0
VALIDUS HOLDINGS LTD	COM SHS	G9319H102	2616	77146	SH		DEFINED	9	77146	0	0
VALLEY NATL BANCORP	COM	919794107	472	47151	SH		DEFINED	2	47151	0	0
VALLEY NATL BANCORP	COM	919794107	354	35320	SH	PUT	DEFINED	2	0	0	0
VALLEY NATL BANCORP	COM	919794107	2991	298485	SH	CALL	DEFINED	2	0	0	0
VALLEY NATL BANCORP	*W EXP 11/14/201	919794131	290	358242	SH		DEFINED	"5,7"	358242	0	0
VALMONT INDS INC	COM	920253101	592	4500	SH		DEFINED	9	4500	0	0
VALMONT INDS INC	COM	920253101	4050	30800	SH	PUT	DEFINED	2	0	0	0
VALMONT INDS INC	COM	920253101	618	4700	SH	PUT	DEFINED	1	0	0	0
VALMONT INDS INC	COM	920253101	5812	44200	SH	CALL	DEFINED	2	0	0	0
VALSPAR CORP	COM	920355104	321	5724	SH		DEFINED	3	5724	0	0
VALSPAR CORP	COM	920355104	320	5702	SH		DEFINED	2	5702	0	0
VALSPAR CORP	COM	920355104	4269	76100	SH	PUT	DEFINED	2	0	0	0
VALSPAR CORP	COM	920355104	1790	31900	SH	CALL	DEFINED	2	0	0	0
VALUECLICK INC	COM	92046N102	582	33867	SH		DEFINED	3	33867	0	0
VALUECLICK INC	COM	92046N102	536	31200	SH	CALL	DEFINED	2	0	0	0
VALUEVISION MEDIA INC	CL A	92047K107	200	84990	SH		DEFINED	3	84990	0	0
VALUEVISION MEDIA INC	CL A	92047K107	52	22200	SH	CALL	DEFINED	2	0	0	0
VANCEINFO TECHNOLOGIES INC	ADR	921564100	163	20809	SH		DEFINED	2	20809	0	0
VANCEINFO TECHNOLOGIES INC	ADR	921564100	147	18700	SH	PUT	DEFINED	1	0	0	0
VANCEINFO TECHNOLOGIES INC	ADR	921564100	350	44600	SH	PUT	DEFINED	2	0	0	0
VANDA PHARMACEUTICALS INC	COM	921659108	538	133400	SH	CALL	DEFINED	2	0	0	0
VANGUARD ADMIRAL FDS INC	500 GRTH IDX F	921932505	2240	32189	SH		DEFINED	2	32189	0	0
VANGUARD ADMIRAL FDS INC	500 VAL IDX FD	921932703	1019	16179	SH		DEFINED	2	16179	0	0
VANGUARD ADMIRAL FDS INC	SMLCP 600 VAL	921932778	3299	48365	SH		DEFINED	2	48365	0	0
VANGUARD ADMIRAL FDS INC	SMLCP 600 GRTH	921932794	387	5401	SH		DEFINED	2	5401	0	0
VANGUARD ADMIRAL FDS INC	SMLLCP 600 IDX	921932828	4606	65862	SH		DEFINED	2	65862	0	0
VANGUARD ADMIRAL FDS INC	MIDCP 400 VAL	921932844	951	14878	SH		DEFINED	2	14878	0	0
VANGUARD ADMIRAL FDS INC	MIDCP 400 GRTH	921932869	5379	78299	SH		DEFINED	2	78299	0	0
VANGUARD ADMIRAL FDS INC	MIDCP 400 IDX	921932885	1931	29083	SH		DEFINED	2	29083	0	0
VANGUARD BD INDEX FD INC	LONG TERM BOND	921937793	1551	16045	SH		DEFINED	3	16045	0	0
VANGUARD HEALTH SYS INC	COM	922036207	241	19500	SH	PUT	DEFINED	2	0	0	0
VANGUARD HEALTH SYS INC	COM	922036207	367	29700	SH	CALL	DEFINED	2	0	0	0
VANGUARD INDEX FDS	S^P 500 ETF SH	922908413	17781	269737	SH		DEFINED	2	269737	0	0
VANGUARD INDEX FDS	S^P 500 ETF SH	922908413	2715	41180	SH		DEFINED	3	41180	0	0
VANGUARD INDEX FDS	MCAP VL IDXVIP	922908512	978	16886	SH		DEFINED	3	16886	0	0
VANGUARD INDEX FDS	MCAP GR IDXVIP	922908538	284	4190	SH		DEFINED	3	4190	0	0
VANGUARD INDEX FDS	MCAP GR IDXVIP	922908538	7394	109136	SH		DEFINED	2	109136	0	0
VANGUARD INDEX FDS	REIT ETF	922908553	51894	798731	SH		DEFINED	2	798731	0	0
VANGUARD INDEX FDS	REIT ETF	922908553	832	12800	SH	PUT	DEFINED	1	0	0	0
VANGUARD INDEX FDS	REIT ETF	922908553	4522	69600	SH	PUT	DEFINED	2	0	0	0
VANGUARD INDEX FDS	REIT ETF	922908553	1072	16500	SH	CALL	DEFINED	1	0	0	0
VANGUARD INDEX FDS	REIT ETF	922908553	16873	259700	SH	CALL	DEFINED	2	0	0	0
VANGUARD INDEX FDS	SML CP GRW ETF	922908595	5884	66683	SH		DEFINED	2	66683	0	0
VANGUARD INDEX FDS	SML CP GRW ETF	922908595	2056	23300	SH		DEFINED	3	23300	0	0
VANGUARD INDEX FDS	MID CAP ETF	922908629	5830	71788	SH		DEFINED	2	71788	0	0
VANGUARD INDEX FDS	LARGE CAP ETF	922908637	1673	25468	SH		DEFINED	3	25468	0	0
VANGUARD INDEX FDS	LARGE CAP ETF	922908637	2287	34813	SH		DEFINED	2	34813	0	0
VANGUARD INDEX FDS	EXTEND MKT ETF	922908652	4380	73535	SH		DEFINED	2	73535	0	0
VANGUARD INDEX FDS	GROWTH ETF	922908736	859	11865	SH		DEFINED	3	11865	0	0
VANGUARD INDEX FDS	GROWTH ETF	922908736	4408	60879	SH		DEFINED	2	60879	0	0
VANGUARD INDEX FDS	GROWTH ETF	922908736	4243	58600	SH		DEFINED	1	58600	0	0
VANGUARD INDEX FDS	GROWTH ETF	922908736	3649	50400	SH	PUT	DEFINED	1	0	0	0
VANGUARD INDEX FDS	GROWTH ETF	922908736	1441	19900	SH	CALL	DEFINED	1	0	0	0
VANGUARD INDEX FDS	SMALL CP ETF	922908751	3717	46379	SH		DEFINED	3	46379	0	0
VANGUARD INDEX FDS	TOTAL STK MKT	922908769	23431	318144	SH		DEFINED	2	318144	0	0
VANGUARD INDEX FDS	TOTAL STK MKT	922908769	20025	271900	SH		DEFINED	1	271900	0	0
VANGUARD INDEX FDS	TOTAL STK MKT	922908769	340	4600	SH	PUT	DEFINED	2	0	0	0
VANGUARD INDEX FDS	TOTAL STK MKT	922908769	4994	67500	SH	PUT	DEFINED	1	0	0	0
VANGUARD INDEX FDS	TOTAL STK MKT	922908769	16085	217400	SH	CALL	DEFINED	1	0	0	0
VANGUARD INDEX FDS	TOTAL STK MKT	922908769	3078	41600	SH	CALL	DEFINED	2	0	0	0
VANGUARD INTL EQUITY INDEX F	GLB EX US ETF	922042676	468	9096	SH		DEFINED	3	9096	0	0
VANGUARD INTL EQUITY INDEX F	TT WRLD ST ETF	922042742	249	5177	SH		DEFINED	3	5177	0	0
VANGUARD INTL EQUITY INDEX F	TT WRLD ST ETF	922042742	3248	67646	SH		DEFINED	2	67646	0	0
VANGUARD INTL EQUITY INDEX F	ALLWRLD EX US	922042775	5885	136977	SH		DEFINED	3	136977	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EMR MKT ETF	922042858	36877	883270	SH		DEFINED	3	883270	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EMR MKT ETF	922042858	387018	9269883	SH		DEFINED	2	9269883	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EMR MKT ETF	922042858	45249	1083800	SH	PUT	DEFINED	2	0	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EMR MKT ETF	922042858	3774	90400	SH	PUT	DEFINED	1	0	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EMR MKT ETF	922042858	11001	263500	SH	CALL	DEFINED	1	0	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EMR MKT ETF	922042858	21105	505500	SH	CALL	DEFINED	2	0	0	0
VANGUARD INTL EQUITY INDEX F	MSCI PAC ETF	922042866	3115	61847	SH		DEFINED	2	61847	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EUROPE ETF	922042874	9162	202426	SH		DEFINED	2	202426	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EUROPE ETF	922042874	8457	186846	SH		DEFINED	3	186846	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EUROPE ETF	922042874	10310	227800	SH	PUT	DEFINED	2	0	0	0
VANGUARD INTL EQUITY INDEX F	MSCI EUROPE ETF	922042874	3874	85600	SH	CALL	DEFINED	2	0	0	0
VANGUARD NATURAL RESOURCES L	COM UNIT	92205F106	1173	40536	SH		DEFINED	2	40536	0	0
VANGUARD NATURAL RESOURCES L	COM UNIT	92205F106	3510	121300	SH	PUT	DEFINED	2	0	0	0
VANGUARD NATURAL RESOURCES L	COM UNIT	92205F106	1134	39200	SH	CALL	DEFINED	2	0	0	0
VANGUARD SCOTTSDALE FDS	SHTRM GVT BD ETF	92206C102	1329	21793	SH		DEFINED	3	21793	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS3000IDX	92206C599	4766	72499	SH		DEFINED	2	72499	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS2000GRW	92206C623	15041	216262	SH		DEFINED	2	216262	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS2000VAL	92206C649	5752	89140	SH		DEFINED	2	89140	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS2000IDX	92206C664	6430	96170	SH		DEFINED	2	96170	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS1000GRW	92206C680	7142	104220	SH		DEFINED	2	104220	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS1000VAL	92206C714	3709	58747	SH		DEFINED	2	58747	0	0
VANGUARD SCOTTSDALE FDS	VNG RUS1000IDX	92206C730	16485	250952	SH		DEFINED	2	250952	0	0
VANGUARD SCOTTSDALE FDS	MORTG-BACK SEC	92206C771	230	4353	SH		DEFINED	3	4353	0	0
VANGUARD SCOTTSDALE FDS	LONG-TERM GOV	92206C847	6960	90304	SH		DEFINED	3	90304	0	0
VANGUARD SCOTTSDALE FDS	INT-TERM CORP	92206C870	37188	424084	SH		DEFINED	3	424084	0	0
VANGUARD SPECIALIZED PORTFOL	DIV APP ETF	921908844	5592	93700	SH		DEFINED	2	93700	0	0
VANGUARD SPECIALIZED PORTFOL	DIV APP ETF	921908844	1092	18300	SH	PUT	DEFINED	2	0	0	0
VANGUARD SPECIALIZED PORTFOL	DIV APP ETF	921908844	370	6200	SH	CALL	DEFINED	1	0	0	0
VANGUARD SPECIALIZED PORTFOL	DIV APP ETF	921908844	6040	101200	SH	CALL	DEFINED	2	0	0	0
VANGUARD STAR FD	INTL STK IDXFD	921909768	1348	30482	SH		DEFINED	3	30482	0	0
VANGUARD STAR FD	INTL STK IDXFD	921909768	6702	151589	SH		DEFINED	2	151589	0	0
VANGUARD TAX MANAGED INTL FD	MSCI EAFE ETF	921943858	1789	54400	SH		DEFINED	1	54400	0	0
VANGUARD TAX MANAGED INTL FD	MSCI EAFE ETF	921943858	14019	426380	SH		DEFINED	3	426380	0	0
VANGUARD TAX MANAGED INTL FD	MSCI EAFE ETF	921943858	38162	1160659	SH		DEFINED	2	1160659	0	0
VANGUARD TAX MANAGED INTL FD	MSCI EAFE ETF	921943858	506	15400	SH	PUT	DEFINED	1	0	0	0
VANGUARD TAX MANAGED INTL FD	MSCI EAFE ETF	921943858	3048	92700	SH	CALL	DEFINED	1	0	0	0
VANGUARD WHITEHALL FDS INC	HIGH DIV YLD	921946406	4611	91481	SH		DEFINED	3	91481	0	0
VANGUARD WHITEHALL FDS INC	HIGH DIV YLD	921946406	3887	77114	SH		DEFINED	2	77114	0	0
VANGUARD WORLD FD	MEGA GRWTH IND	921910816	9852	173275	SH		DEFINED	2	173275	0	0
VANGUARD WORLD FD	MEGA VALUE 300	921910840	2686	62619	SH		DEFINED	2	62619	0	0
VANGUARD WORLD FD	MEGA CAP INDEX	921910873	12874	259512	SH		DEFINED	2	259512	0	0
VANGUARD WORLD FDS	CONSUM DIS ETF	92204A108	4498	59935	SH		DEFINED	2	59935	0	0
VANGUARD WORLD FDS	ENERGY ETF	92204A306	335	3133	SH		DEFINED	3	3133	0	0
VANGUARD WORLD FDS	ENERGY ETF	92204A306	10011	93581	SH		DEFINED	2	93581	0	0
VANGUARD WORLD FDS	HEALTH CAR ETF	92204A504	2196	29991	SH		DEFINED	2	29991	0	0
VANGUARD WORLD FDS	INDUSTRIAL ETF	92204A603	3457	50053	SH		DEFINED	2	50053	0	0
VANGUARD WORLD FDS	INF TECH ETF	92204A702	1528	20822	SH		DEFINED	3	20822	0	0
VANGUARD WORLD FDS	MATERIALS ETF	92204A801	2431	29323	SH		DEFINED	2	29323	0	0
VANGUARD WORLD FDS	UTILITIES ETF	92204A876	670	8598	SH		DEFINED	3	8598	0	0
VANGUARD WORLD FDS	UTILITIES ETF	92204A876	10566	135494	SH		DEFINED	2	135494	0	0
VANGUARD WORLD FDS	TELCOMM ETF	92204A884	485	6458	SH		DEFINED	2	6458	0	0
VANGUARD WORLD FDS	TELCOMM ETF	92204A884	492	6560	SH		DEFINED	3	6560	0	0
VANTAGE DRILLING COMPANY	ORD SHS	G93205113	66	36093	SH		DEFINED	2	36093	0	0
VANTAGE DRILLING COMPANY	ORD SHS	G93205113	21	11347	SH		DEFINED	3	11347	0	0
VARIAN MED SYS INC	COM	92220P105	227	3755	SH		DEFINED	1	3755	0	0
VARIAN MED SYS INC	COM	92220P105	2538	42083	SH		DEFINED	2	42083	0	0
VARIAN MED SYS INC	COM	92220P105	7600	126000	SH	PUT	DEFINED	2	0	0	0
VARIAN MED SYS INC	COM	92220P105	3794	62900	SH	CALL	DEFINED	2	0	0	0
VASCO DATA SEC INTL INC	COM	92230Y104	176	18711	SH		DEFINED	2	18711	0	0
VCA ANTECH INC	COM	918194101	645	32700	SH	CALL	DEFINED	2	0	0	0
VECTOR GROUP LTD	COM	92240M108	336	20245	SH		DEFINED	2	20245	0	0
VECTOR GROUP LTD	COM	92240M108	685	41265	SH	PUT	DEFINED	2	0	0	0
VECTOR GROUP LTD	COM	92240M108	1165	70245	SH	CALL	DEFINED	2	0	0	0
VEECO INSTRS INC DEL	COM	922417100	978	32600	SH		DEFINED	9	32600	0	0
VEECO INSTRS INC DEL	COM	922417100	1585	52800	SH	PUT	DEFINED	1	0	0	0
VEECO INSTRS INC DEL	COM	922417100	5151	171600	SH	PUT	DEFINED	2	0	0	0
VEECO INSTRS INC DEL	COM	922417100	5551	184900	SH	CALL	DEFINED	2	0	0	0
VEECO INSTRS INC DEL	COM	922417100	2693	89700	SH	CALL	DEFINED	1	0	0	0
VELTI PLC ST HELIER	SHS	G93285107	1055	126019	SH		DEFINED	2	126019	0	0
VELTI PLC ST HELIER	SHS	G93285107	616	73600	SH	PUT	DEFINED	2	0	0	0
VELTI PLC ST HELIER	SHS	G93285107	189	22600	SH	CALL	DEFINED	2	0	0	0
VENOCO INC	COM	92275P307	819	68900	SH	PUT	DEFINED	2	0	0	0
VENTAS INC	COM	92276F100	1276	20500	SH		DEFINED	9	20500	0	0
VENTAS INC	COM	92276F100	1052	16907	SH		DEFINED	3	16907	0	0
VENTAS INC	COM	92276F100	1947	31277	SH		DEFINED	2	31277	0	0
VENTAS INC	COM	92276F100	1388	22300	SH	PUT	DEFINED	2	0	0	0
VENTAS INC	COM	92276F100	834	13400	SH	PUT	DEFINED	1	0	0	0
VENTAS INC	COM	92276F100	3542	56900	SH	CALL	DEFINED	2	0	0	0
VENTRUS BIOSCIENCES INC	COM	922822101	44	12300	SH	CALL	DEFINED	2	0	0	0
VEOLIA ENVIRONNEMENT	SPONSORED ADR	92334N103	421	38898	SH		DEFINED	2	38898	0	0
VEOLIA ENVIRONNEMENT	SPONSORED ADR	92334N103	1196	110500	SH	PUT	DEFINED	2	0	0	0
VEOLIA ENVIRONNEMENT	SPONSORED ADR	92334N103	613	56700	SH	CALL	DEFINED	2	0	0	0
VERA BRADLEY INC	COM	92335C106	1340	56196	SH		DEFINED	2	56196	0	0
VERA BRADLEY INC	COM	92335C106	3141	131700	SH	PUT	DEFINED	2	0	0	0
VERA BRADLEY INC	COM	92335C106	4522	189600	SH	CALL	DEFINED	2	0	0	0
VERENIUM CORP	COM NEW	92340P209	345	106143	SH		DEFINED	"5,7"	106143	0	0
VERENIUM CORP	COM NEW	92340P209	54	16500	SH	CALL	DEFINED	2	0	0	0
VERIFONE SYS INC	COM	92342Y109	768	27567	SH		DEFINED	1	27567	0	0
VERIFONE SYS INC	COM	92342Y109	9900	355480	SH		DEFINED	2	355480	0	0
VERIFONE SYS INC	COM	92342Y109	2420	86900	SH	PUT	DEFINED	1	0	0	0
VERIFONE SYS INC	COM	92342Y109	18186	653000	SH	PUT	DEFINED	2	0	0	0
VERIFONE SYS INC	COM	92342Y109	279	10000	SH	CALL	DEFINED	3	0	0	0
VERIFONE SYS INC	COM	92342Y109	23845	856200	SH	CALL	DEFINED	2	0	0	0
VERIFONE SYS INC	COM	92342Y109	1997	71700	SH	CALL	DEFINED	1	0	0	0
VERINT SYS INC	COM	92343X100	343	12500	SH	PUT	DEFINED	2	0	0	0
VERISIGN INC	COM	92343E102	254	5210	SH		DEFINED	3	5210	0	0
VERISIGN INC	COM	92343E102	11099	227950	SH		DEFINED	2	227950	0	0
VERISIGN INC	COM	92343E102	3053	62700	SH	PUT	DEFINED	2	0	0	0
VERISIGN INC	COM	92343E102	540	11100	SH	CALL	DEFINED	1	0	0	0
VERISIGN INC	COM	92343E102	7795	160100	SH	CALL	DEFINED	2	0	0	0
VERISIGN INC	SDCV   3.250% 8/1	92343EAD4	80792	53000000	PRN		DEFINED	"5,7"	0	0	0
VERISK ANALYTICS INC	CL A	92345Y106	5451	114500	SH		DEFINED	9	114500	0	0
VERISK ANALYTICS INC	CL A	92345Y106	395	8300	SH	CALL	DEFINED	2	0	0	0
VERIZON COMMUNICATIONS INC	COM	92343V104	27011	592731	SH		DEFINED	2	592731	0	0
VERIZON COMMUNICATIONS INC	COM	92343V104	41736	915865	SH		DEFINED	1	915865	0	0
VERIZON COMMUNICATIONS INC	COM	92343V104	45994	1009300	SH	PUT	DEFINED	1	0	0	0
VERIZON COMMUNICATIONS INC	COM	92343V104	196826	4319200	SH	PUT	DEFINED	2	0	0	0
VERIZON COMMUNICATIONS INC	COM	92343V104	175554	3852400	SH	CALL	DEFINED	2	0	0	0
VERIZON COMMUNICATIONS INC	COM	92343V104	15125	331900	SH	CALL	DEFINED	1	0	0	0
VERSO PAPER CORP	COM	92531L108	56	35226	SH		DEFINED	2	35226	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	5384	96223	SH		DEFINED	2	96223	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	2856	51044	SH		DEFINED	1	51044	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	806	14400	SH	PUT	DEFINED	3	0	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	53253	951800	SH	PUT	DEFINED	2	0	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	8297	148300	SH	PUT	DEFINED	1	0	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	48207	861600	SH	CALL	DEFINED	2	0	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	912	16300	SH	CALL	DEFINED	3	0	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	4034	72100	SH	CALL	DEFINED	1	0	0	0
VIACOM INC NEW	CL A	92553P102	358	6576	SH		DEFINED	3	6576	0	0
VIACOM INC NEW	CL B	92553P201	18477	344781	SH		DEFINED	2	344781	0	0
VIACOM INC NEW	CL B	92553P201	8242	153791	SH		DEFINED	3	153791	0	0
VIACOM INC NEW	CL B	92553P201	39994	746300	SH	PUT	DEFINED	2	0	0	0
VIACOM INC NEW	CL B	92553P201	7808	145700	SH	PUT	DEFINED	3	0	0	0
VIACOM INC NEW	CL B	92553P201	2020	37700	SH	PUT	DEFINED	1	0	0	0
VIACOM INC NEW	CL B	92553P201	15466	288600	SH	CALL	DEFINED	3	0	0	0
VIACOM INC NEW	CL B	92553P201	14491	270400	SH	CALL	DEFINED	2	0	0	0
VIACOM INC NEW	CL B	92553P201	3869	72200	SH	CALL	DEFINED	1	0	0	0
VIASAT INC	COM	92552V100	1405	37600	SH		DEFINED	9	37600	0	0
VIASAT INC	COM	92552V100	205	5474	SH		DEFINED	2	5474	0	0
VIASAT INC	COM	92552V100	486	13000	SH	PUT	DEFINED	2	0	0	0
VICAL INC	COM	925602104	367	85008	SH		DEFINED	2	85008	0	0
VICAL INC	COM	925602104	47	10888	SH		DEFINED	3	10888	0	0
VICAL INC	COM	925602104	561	129800	SH	PUT	DEFINED	2	0	0	0
VICAL INC	COM	925602104	426	98600	SH	CALL	DEFINED	2	0	0	0
VICAL INC	COM	925602104	51	11900	SH	CALL	DEFINED	3	0	0	0
VICOR CORP	COM	925815102	117	17600	SH	CALL	DEFINED	2	0	0	0
VIEWPOINT FINL GROUP INC MD	COM	92672A101	307	16000	SH		DEFINED	9	16000	0	0
VIMPELCOM LTD	SPONSORED ADR	92719A106	127	10690	SH		DEFINED	3	10690	0	0
VIMPELCOM LTD	SPONSORED ADR	92719A106	184	15424	SH		DEFINED	2	15424	0	0
VIMPELCOM LTD	SPONSORED ADR	92719A106	942	79200	SH	PUT	DEFINED	2	0	0	0
VIMPELCOM LTD	SPONSORED ADR	92719A106	1774	149100	SH	CALL	DEFINED	2	0	0	0
VIRGIN MEDIA INC	COM	92769L101	4030	136896	SH		DEFINED	3	136896	0	0
VIRGIN MEDIA INC	COM	92769L101	3865	131271	SH		DEFINED	2	131271	0	0
VIRGIN MEDIA INC	COM	92769L101	8040	273100	SH	PUT	DEFINED	2	0	0	0
VIRGIN MEDIA INC	COM	92769L101	9115	309600	SH	CALL	DEFINED	2	0	0	0
VIRNETX HLDG CORP	COM	92823T108	789	31034	SH		DEFINED	3	31034	0	0
VIRNETX HLDG CORP	COM	92823T108	303	11904	SH		DEFINED	1	11904	0	0
VIRNETX HLDG CORP	COM	92823T108	654	25700	SH		DEFINED	4	25700	0	0
VIRNETX HLDG CORP	COM	92823T108	19959	784852	SH		DEFINED	2	784852	0	0
VIRNETX HLDG CORP	COM	92823T108	305	12000	SH	PUT	DEFINED	3	0	0	0
VIRNETX HLDG CORP	COM	92823T108	2342	92100	SH	PUT	DEFINED	1	0	0	0
VIRNETX HLDG CORP	COM	92823T108	682	26800	SH	PUT	DEFINED	4	0	0	0
VIRNETX HLDG CORP	COM	92823T108	31378	1233900	SH	PUT	DEFINED	2	0	0	0
VIRNETX HLDG CORP	COM	92823T108	3975	156300	SH	CALL	DEFINED	1	0	0	0
VIRNETX HLDG CORP	COM	92823T108	31198	1226800	SH	CALL	DEFINED	2	0	0	0
VIROPHARMA INC	COM	928241108	3804	126000	SH		DEFINED	9	126000	0	0
VIROPHARMA INC	COM	928241108	221	7312	SH		DEFINED	3	7312	0	0
VIROPHARMA INC	COM	928241108	299	9900	SH	PUT	DEFINED	2	0	0	0
VIROPHARMA INC	COM	928241108	2651	87800	SH	CALL	DEFINED	2	0	0	0
VIRTUS INVT PARTNERS INC	COM	92828Q109	375	4363	SH		DEFINED	3	4363	0	0
VISA INC	COM CL A	92826C839	26336	196128	SH		DEFINED	2	196128	0	0
VISA INC	COM CL A	92826C839	2882	21459	SH		DEFINED	1	21459	0	0
VISA INC	COM CL A	92826C839	346	2574	SH		DEFINED	3	2574	0	0
VISA INC	COM CL A	92826C839	22237	165600	SH	PUT	DEFINED	1	0	0	0
VISA INC	COM CL A	92826C839	174013	1295900	SH	PUT	DEFINED	2	0	0	0
VISA INC	COM CL A	92826C839	725	5400	SH	PUT	DEFINED	3	0	0	0
VISA INC	COM CL A	92826C839	35128	261600	SH	CALL	DEFINED	1	0	0	0
VISA INC	COM CL A	92826C839	180365	1343200	SH	CALL	DEFINED	2	0	0	0
VISHAY INTERTECHNOLOGY INC	COM	928298108	449	45700	SH	CALL	DEFINED	2	0	0	0
VISTA GOLD CORP	COM NEW	927926303	281	77284	SH		DEFINED	3	77284	0	0
VISTA GOLD CORP	COM NEW	927926303	124	34139	SH		DEFINED	2	34139	0	0
VISTA GOLD CORP	COM NEW	927926303	285	78600	SH	CALL	DEFINED	2	0	0	0
VISTAPRINT N V	SHS	N93540107	438	12830	SH		DEFINED	3	12830	0	0
VISTAPRINT N V	SHS	N93540107	7103	208000	SH	PUT	DEFINED	2	0	0	0
VISTAPRINT N V	SHS	N93540107	604	17700	SH	CALL	DEFINED	1	0	0	0
VISTAPRINT N V	SHS	N93540107	6355	186100	SH	CALL	DEFINED	2	0	0	0
VISTEON CORP	COM NEW	92839U206	81431	1831553	SH		DEFINED	"5,7"	1831553	0	0
VISTEON CORP	COM NEW	92839U206	1512	34000	SH	PUT	DEFINED	2	0	0	0
VISTEON CORP	COM NEW	92839U206	18842	423800	SH	CALL	DEFINED	2	0	0	0
VISTEON CORP	COM NEW	92839U206	440	9900	SH	CALL	DEFINED	1	0	0	0
VITACOST COM INC	COM	92847A200	191	28128	SH		DEFINED	3	28128	0	0
VITAMIN SHOPPE INC	COM	92849E101	1633	28000	SH	CALL	DEFINED	2	0	0	0
VITESSE SEMICONDUCTOR CORP	COM NEW	928497304	492	201538	SH		DEFINED	2	201538	0	0
VITESSE SEMICONDUCTOR CORP	COM NEW	928497304	44	17900	SH	CALL	DEFINED	2	0	0	0
VIVUS INC	COM	928551100	2938	164844	SH		DEFINED	2	164844	0	0
VIVUS INC	COM	928551100	1821	102200	SH		DEFINED	9	102200	0	0
VIVUS INC	COM	928551100	2612	146574	SH		DEFINED	1	146574	0	0
VIVUS INC	COM	928551100	1397	78420	SH		DEFINED	3	78420	0	0
VIVUS INC	COM	928551100	6185	347100	SH	PUT	DEFINED	1	0	0	0
VIVUS INC	COM	928551100	4074	228600	SH	PUT	DEFINED	3	0	0	0
VIVUS INC	COM	928551100	5134	288100	SH	PUT	DEFINED	2	0	0	0
VIVUS INC	COM	928551100	11594	650600	SH	CALL	DEFINED	2	0	0	0
VIVUS INC	COM	928551100	6943	389600	SH	CALL	DEFINED	1	0	0	0
VIVUS INC	COM	928551100	2669	149800	SH	CALL	DEFINED	3	0	0	0
VMWARE INC	CL A COM	928563402	426	4402	SH		DEFINED	3	4402	0	0
VMWARE INC	CL A COM	928563402	2554	26398	SH		DEFINED	2	26398	0	0
VMWARE INC	CL A COM	928563402	3315	34267	SH		DEFINED	1	34267	0	0
VMWARE INC	CL A COM	928563402	27213	281300	SH	PUT	DEFINED	1	0	0	0
VMWARE INC	CL A COM	928563402	39112	404300	SH	PUT	DEFINED	2	0	0	0
VMWARE INC	CL A COM	928563402	12924	133600	SH	CALL	DEFINED	1	0	0	0
VMWARE INC	CL A COM	928563402	36161	373800	SH	CALL	DEFINED	2	0	0	0
VOC ENERGY TR	TR UNIT	91829B103	390	20920	SH		DEFINED	2	20920	0	0
VOC ENERGY TR	TR UNIT	91829B103	832	44600	SH	CALL	DEFINED	2	0	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	92857W209	12749	447401	SH		DEFINED	2	447401	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	92857W209	228	8000	SH		DEFINED	3	8000	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	92857W209	935	32800	SH	PUT	DEFINED	1	0	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	92857W209	16886	592600	SH	PUT	DEFINED	2	0	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	92857W209	2300	80700	SH	CALL	DEFINED	1	0	0	0
VODAFONE GROUP PLC NEW	SPONS ADR NEW	92857W209	37309	1309300	SH	CALL	DEFINED	2	0	0	0
VOLCANO CORPORATION	COM	928645100	326	11400	SH	CALL	DEFINED	2	0	0	0
VONAGE HLDGS CORP	COM	92886T201	47	20800	SH		DEFINED	3	20800	0	0
VONAGE HLDGS CORP	COM	92886T201	68	29700	SH	PUT	DEFINED	2	0	0	0
VONAGE HLDGS CORP	COM	92886T201	62	27000	SH	CALL	DEFINED	2	0	0	0
VORNADO RLTY TR	SH BEN INT	929042109	4732	58380	SH		DEFINED	3	58380	0	0
VORNADO RLTY TR	SH BEN INT	929042109	4025	49659	SH		DEFINED	2	49659	0	0
VORNADO RLTY TR	SH BEN INT	929042109	11914	147000	SH	PUT	DEFINED	2	0	0	0
VORNADO RLTY TR	SH BEN INT	929042109	3736	46100	SH	CALL	DEFINED	2	0	0	0
VOXX INTL CORP	CL A	91829F104	100	13405	SH		DEFINED	2	13405	0	0
VRINGO INC	COM	92911N104	124	42770	SH		DEFINED	3	42770	0	0
VRINGO INC	COM	92911N104	1565	539772	SH		DEFINED	2	539772	0	0
VRINGO INC	COM	92911N104	43	14733	SH		DEFINED	1	14733	0	0
VRINGO INC	COM	92911N104	283	97700	SH	PUT	DEFINED	3	0	0	0
VRINGO INC	COM	92911N104	40	13900	SH	PUT	DEFINED	1	0	0	0
VRINGO INC	COM	92911N104	1354	466900	SH	PUT	DEFINED	2	0	0	0
VRINGO INC	COM	92911N104	755	260400	SH	CALL	DEFINED	2	0	0	0
VULCAN MATLS CO	COM	929160109	1023	21627	SH		DEFINED	2	21627	0	0
VULCAN MATLS CO	COM	929160109	7346	155300	SH	PUT	DEFINED	2	0	0	0
VULCAN MATLS CO	COM	929160109	17402	367900	SH	CALL	DEFINED	2	0	0	0
W & T OFFSHORE INC	COM	92922P106	230	12270	SH		DEFINED	2	12270	0	0
W & T OFFSHORE INC	COM	92922P106	192	10200	SH	CALL	DEFINED	2	0	0	0
WABASH NATL CORP	COM	929566107	141	19802	SH		DEFINED	2	19802	0	0
WABASH NATL CORP	COM	929566107	275	38500	SH	CALL	DEFINED	2	0	0	0
WABCO HLDGS INC	COM	92927K102	20905	362500	SH		DEFINED	9	362500	0	0
WABCO HLDGS INC	COM	92927K102	1107	19200	SH	PUT	DEFINED	2	0	0	0
WABCO HLDGS INC	COM	92927K102	1511	26200	SH	PUT	DEFINED	1	0	0	0
WABCO HLDGS INC	COM	92927K102	1505	26100	SH	CALL	DEFINED	2	0	0	0
WABCO HLDGS INC	COM	92927K102	456	7900	SH	CALL	DEFINED	1	0	0	0
WABTEC CORP	COM	929740108	883	11000	SH		DEFINED	9	11000	0	0
WABTEC CORP	COM	929740108	1477	18400	SH	PUT	DEFINED	2	0	0	0
WABTEC CORP	COM	929740108	835	10400	SH	CALL	DEFINED	2	0	0	0
WACOAL HOLDINGS CORP	ADR	930004205	557	9357	SH		DEFINED	3	9357	0	0
WADDELL & REED FINL INC	CL A	930059100	246	7500	SH	PUT	DEFINED	2	0	0	0
WAL-MART STORES INC	COM	931142103	967	13100	SH		DEFINED	9	13100	0	0
WAL-MART STORES INC	COM	931142103	24788	335882	SH		DEFINED	3	335882	0	0
WAL-MART STORES INC	COM	931142103	63382	858830	SH		DEFINED	2	858830	0	0
WAL-MART STORES INC	COM	931142103	9954	134873	SH		DEFINED	1	134873	0	0
WAL-MART STORES INC	COM	931142103	25468	345100	SH	PUT	DEFINED	1	0	0	0
WAL-MART STORES INC	COM	931142103	176662	2393800	SH	PUT	DEFINED	2	0	0	0
WAL-MART STORES INC	COM	931142103	291813	3954100	SH	CALL	DEFINED	2	0	0	0
WAL-MART STORES INC	COM	931142103	7749	105000	SH	CALL	DEFINED	1	0	0	0
WAL-MART STORES INC	COM	931142103	2679	36300	SH	CALL	DEFINED	3	0	0	0
WALGREEN CO	COM	931422109	31922	876016	SH		DEFINED	2	876016	0	0
WALGREEN CO	COM	931422109	1530	41991	SH		DEFINED	1	41991	0	0
WALGREEN CO	COM	931422109	459	12590	SH		DEFINED	3	12590	0	0
WALGREEN CO	COM	931422109	8939	245300	SH	PUT	DEFINED	1	0	0	0
WALGREEN CO	COM	931422109	81946	2248800	SH	PUT	DEFINED	2	0	0	0
WALGREEN CO	COM	931422109	98672	2707800	SH	CALL	DEFINED	2	0	0	0
WALGREEN CO	COM	931422109	10600	290900	SH	CALL	DEFINED	1	0	0	0
WALGREEN CO	COM	931422109	3644	100000	SH	CALL	DEFINED	3	0	0	0
WALTER ENERGY INC	COM	93317Q105	1548	47700	SH		DEFINED	9	47700	0	0
WALTER ENERGY INC	COM	93317Q105	567	17460	SH		DEFINED	1	17460	0	0
WALTER ENERGY INC	COM	93317Q105	13100	403560	SH		DEFINED	2	403560	0	0
WALTER ENERGY INC	COM	93317Q105	395	12175	SH		DEFINED	3	12175	0	0
WALTER ENERGY INC	COM	93317Q105	4483	138100	SH	PUT	DEFINED	1	0	0	0
WALTER ENERGY INC	COM	93317Q105	46233	1424300	SH	PUT	DEFINED	2	0	0	0
WALTER ENERGY INC	COM	93317Q105	7008	215900	SH	CALL	DEFINED	1	0	0	0
WALTER ENERGY INC	COM	93317Q105	1162	35800	SH	CALL	DEFINED	3	0	0	0
WALTER ENERGY INC	COM	93317Q105	31567	972500	SH	CALL	DEFINED	2	0	0	0
WALTER INVT MGMT CORP	COM	93317W102	1344	36304	SH		DEFINED	2	36304	0	0
WALTER INVT MGMT CORP	COM	93317W102	444	12000	SH	PUT	DEFINED	2	0	0	0
WALTER INVT MGMT CORP	COM	93317W102	459	12400	SH	CALL	DEFINED	2	0	0	0
WARNACO GROUP INC	COM NEW	934390402	211	4064	SH		DEFINED	3	4064	0	0
WARNACO GROUP INC	COM NEW	934390402	301	5792	SH		DEFINED	2	5792	0	0
WARNACO GROUP INC	COM NEW	934390402	5398	104000	SH	PUT	DEFINED	2	0	0	0
WARNACO GROUP INC	COM NEW	934390402	810	15600	SH	CALL	DEFINED	2	0	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	3369	249536	SH		DEFINED	2	249536	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	9431	698600	SH		DEFINED	"5,7"	698600	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	6840	506700	SH	PUT	DEFINED	2	0	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	182	13500	SH	PUT	DEFINED	1	0	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	378	28000	SH	CALL	DEFINED	1	0	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	406	30100	SH	CALL	DEFINED	3	0	0	0
WARNER CHILCOTT PLC IRELAND	SHS A	G94368100	4269	316200	SH	CALL	DEFINED	2	0	0	0
WARREN RES INC	COM	93564A100	42	13710	SH		DEFINED	2	13710	0	0
WASHINGTON POST CO	CL B	939640108	1235	3403	SH		DEFINED	3	3403	0	0
WASHINGTON REAL ESTATE INVT	SH BEN INT	939653101	756	28200	SH	CALL	DEFINED	2	0	0	0
WASTE CONNECTIONS INC	COM	941053100	227	7500	SH	CALL	DEFINED	2	0	0	0
WASTE MGMT INC DEL	COM	94106L109	2022	63031	SH		DEFINED	2	63031	0	0
WASTE MGMT INC DEL	COM	94106L109	958	29861	SH		DEFINED	1	29861	0	0
WASTE MGMT INC DEL	COM	94106L109	1319	41102	SH		DEFINED	3	41102	0	0
WASTE MGMT INC DEL	COM	94106L109	5316	165700	SH	PUT	DEFINED	1	0	0	0
WASTE MGMT INC DEL	COM	94106L109	25760	803000	SH	PUT	DEFINED	2	0	0	0
WASTE MGMT INC DEL	COM	94106L109	6936	216200	SH	CALL	DEFINED	1	0	0	0
WASTE MGMT INC DEL	COM	94106L109	34364	1071200	SH	CALL	DEFINED	2	0	0	0
WATERS CORP	COM	941848103	549	6591	SH		DEFINED	2	6591	0	0
WATERS CORP	COM	941848103	1633	19600	SH	PUT	DEFINED	2	0	0	0
WATERS CORP	COM	941848103	1050	12600	SH	PUT	DEFINED	1	0	0	0
WATERS CORP	COM	941848103	2483	29800	SH	CALL	DEFINED	2	0	0	0
WATSCO INC	COM	942622200	1785	23551	SH		DEFINED	2	23551	0	0
WATSCO INC	COM	942622200	538	7100	SH	PUT	DEFINED	1	0	0	0
WATSCO INC	COM	942622200	856	11300	SH	PUT	DEFINED	2	0	0	0
WATSCO INC	COM	942622200	925	12200	SH	CALL	DEFINED	2	0	0	0
WATSCO INC	COM	942622200	485	6400	SH	CALL	DEFINED	1	0	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	4403	51700	SH		DEFINED	9	51700	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	805	9450	SH		DEFINED	2	9450	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	1925	22600	SH	PUT	DEFINED	1	0	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	11122	130600	SH	PUT	DEFINED	2	0	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	843	9900	SH	PUT	DEFINED	3	0	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	36781	431900	SH	CALL	DEFINED	2	0	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	613	7200	SH	CALL	DEFINED	1	0	0	0
WATSON PHARMACEUTICALS INC	COM	942683103	443	5200	SH	CALL	DEFINED	3	0	0	0
WATTS WATER TECHNOLOGIES INC	CL A	942749102	1362	36000	SH		DEFINED	9	36000	0	0
WATTS WATER TECHNOLOGIES INC	CL A	942749102	363	9600	SH	CALL	DEFINED	2	0	0	0
WAVE SYSTEMS CORP	COM NEW	943526301	22	22870	SH		DEFINED	2	22870	0	0
WAVE SYSTEMS CORP	COM NEW	943526301	348	369778	SH		DEFINED	3	369778	0	0
WD-40 CO	COM	929236107	339	6434	SH		DEFINED	3	6434	0	0
WD-40 CO	COM	929236107	342	6500	SH		DEFINED	9	6500	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	3696	291478	SH		DEFINED	3	291478	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	797	62886	SH		DEFINED	1	62886	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	15816	1247343	SH		DEFINED	2	1247343	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	22988	1812900	SH	PUT	DEFINED	2	0	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	1967	155100	SH	PUT	DEFINED	1	0	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	44461	3506400	SH	CALL	DEFINED	2	0	0	0
WEATHERFORD INTERNATIONAL LT	REG SHS	H27013103	4905	386800	SH	CALL	DEFINED	1	0	0	0
WEB COM GROUP INC	COM	94733A104	602	33559	SH		DEFINED	9	33559	0	0
WEB COM GROUP INC	COM	94733A104	237	13200	SH	PUT	DEFINED	2	0	0	0
WEB COM GROUP INC	COM	94733A104	273	15200	SH	CALL	DEFINED	2	0	0	0
WEBMD HEALTH CORP	COM	94770V102	270	19215	SH		DEFINED	3	19215	0	0
WEBMD HEALTH CORP	COM	94770V102	267	19030	SH		DEFINED	2	19030	0	0
WEBSENSE INC	COM	947684106	293	18700	SH	PUT	DEFINED	2	0	0	0
WEBSENSE INC	COM	947684106	587	37500	SH	CALL	DEFINED	2	0	0	0
WEBSTER FINL CORP CONN	COM	947890109	474	20016	SH		DEFINED	3	20016	0	0
WEBSTER FINL CORP CONN	COM	947890109	1465	61800	SH		DEFINED	9	61800	0	0
WEBSTER FINL CORP CONN	COM	947890109	294	12400	SH	PUT	DEFINED	2	0	0	0
WEBSTER FINL CORP CONN	COM	947890109	811	34200	SH	CALL	DEFINED	2	0	0	0
WEIGHT WATCHERS INTL INC NEW	COM	948626106	281	5323	SH		DEFINED	2	5323	0	0
WEIGHT WATCHERS INTL INC NEW	COM	948626106	791	14976	SH		DEFINED	1	14976	0	0
WEIGHT WATCHERS INTL INC NEW	COM	948626106	9187	174000	SH	PUT	DEFINED	2	0	0	0
WEIGHT WATCHERS INTL INC NEW	COM	948626106	4060	76900	SH	PUT	DEFINED	1	0	0	0
WEIGHT WATCHERS INTL INC NEW	COM	948626106	2619	49600	SH	CALL	DEFINED	1	0	0	0
WEIGHT WATCHERS INTL INC NEW	COM	948626106	6948	131600	SH	CALL	DEFINED	2	0	0	0
WEINGARTEN RLTY INVS	SH BEN INT	948741103	2207	78503	SH		DEFINED	3	78503	0	0
WEINGARTEN RLTY INVS	SH BEN INT	948741103	399	14200	SH	CALL	DEFINED	2	0	0	0
WELLCARE HEALTH PLANS INC	COM	94946T106	1011	17882	SH		DEFINED	2	17882	0	0
WELLCARE HEALTH PLANS INC	COM	94946T106	271	4800	SH	PUT	DEFINED	1	0	0	0
WELLCARE HEALTH PLANS INC	COM	94946T106	3059	54100	SH	PUT	DEFINED	2	0	0	0
WELLCARE HEALTH PLANS INC	COM	94946T106	10450	184800	SH	CALL	DEFINED	2	0	0	0
WELLCARE HEALTH PLANS INC	COM	94946T106	1674	29600	SH	CALL	DEFINED	1	0	0	0
WELLPOINT INC	COM	94973V107	32262	556151	SH		DEFINED	2	556151	0	0
WELLPOINT INC	COM	94973V107	741	12779	SH		DEFINED	3	12779	0	0
WELLPOINT INC	COM	94973V107	49819	858800	SH	PUT	DEFINED	2	0	0	0
WELLPOINT INC	COM	94973V107	3399	58600	SH	PUT	DEFINED	1	0	0	0
WELLPOINT INC	COM	94973V107	3324	57300	SH	PUT	DEFINED	3	0	0	0
WELLPOINT INC	COM	94973V107	78476	1352800	SH	CALL	DEFINED	2	0	0	0
WELLPOINT INC	COM	94973V107	7298	125800	SH	CALL	DEFINED	1	0	0	0
WELLPOINT INC	COM	94973V107	1357	23400	SH	CALL	DEFINED	3	0	0	0
WELLS FARGO & CO NEW	COM	949746101	64495	1867797	SH		DEFINED	2	1867797	0	0
WELLS FARGO & CO NEW	COM	949746101	12759	369513	SH		DEFINED	1	369513	0	0
WELLS FARGO & CO NEW	COM	949746101	31182	903054	SH		DEFINED	3	903054	0	0
WELLS FARGO & CO NEW	COM	949746101	19830	574296	SH		DEFINED	9	574296	0	0
WELLS FARGO & CO NEW	COM	949746101	151386	4384200	SH	PUT	DEFINED	2	0	0	0
WELLS FARGO & CO NEW	COM	949746101	19337	560000	SH	PUT	DEFINED	1	0	0	0
WELLS FARGO & CO NEW	COM	949746101	27355	792200	SH	CALL	DEFINED	1	0	0	0
WELLS FARGO & CO NEW	COM	949746101	143047	4142700	SH	CALL	DEFINED	2	0	0	0
WELLS FARGO & CO NEW	*W EXP 10/28/201	949746119	6944	702166	SH		DEFINED	"5,7"	702166	0	0
WELLS FARGO & CO NEW	PERP PFD CNV A	949746804	914	738	SH		DEFINED	3	738	0	0
WENDYS CO	COM	95058W100	989	217400	SH		DEFINED	2	217400	0	0
WENDYS CO	COM	95058W100	85	18649	SH		DEFINED	3	18649	0	0
WENDYS CO	COM	95058W100	1016	223400	SH	PUT	DEFINED	2	0	0	0
WENDYS CO	COM	95058W100	301	66100	SH	CALL	DEFINED	2	0	0	0
WERNER ENTERPRISES INC	COM	950755108	427	20000	SH		DEFINED	"5,7"	20000	0	0
WESCO INTL INC	COM	95082P105	7596	132800	SH	PUT	DEFINED	2	0	0	0
WESCO INTL INC	COM	95082P105	8151	142500	SH	CALL	DEFINED	2	0	0	0
WEST PHARMACEUTICAL SVSC INC	COM	955306105	253	4758	SH		DEFINED	3	4758	0	0
WEST PHARMACEUTICAL SVSC INC	COM	955306105	1030	19400	SH		DEFINED	9	19400	0	0
WEST PHARMACEUTICAL SVSC INC	COM	955306105	318	6000	SH	PUT	DEFINED	2	0	0	0
WESTAMERICA BANCORPORATION	COM	957090103	343	7300	SH		DEFINED	3	7300	0	0
WESTAMERICA BANCORPORATION	COM	957090103	306	6500	SH	PUT	DEFINED	2	0	0	0
WESTAMERICA BANCORPORATION	COM	957090103	376	8000	SH	CALL	DEFINED	2	0	0	0
WESTAR ENERGY INC	COM	95709T100	516	17400	SH	CALL	DEFINED	2	0	0	0
WESTERN ASSET CLYM INFL OPP	COM	95766R104	1330	98920	SH		DEFINED	3	98920	0	0
WESTERN ASSET CLYM INFL SEC	COM SH BEN INT	95766Q106	837	63111	SH		DEFINED	3	63111	0	0
WESTERN ASSET INFL MGMT FD I	COM	95766U107	495	26072	SH		DEFINED	3	26072	0	0
WESTERN ASSET MTG CAP CORP	COM	95790D105	297	13400	SH	PUT	DEFINED	2	0	0	0
WESTERN DIGITAL CORP	COM	958102105	396	10235	SH		DEFINED	3	10235	0	0
WESTERN DIGITAL CORP	COM	958102105	1890	48800	SH		DEFINED	9	48800	0	0
WESTERN DIGITAL CORP	COM	958102105	804	20772	SH		DEFINED	2	20772	0	0
WESTERN DIGITAL CORP	COM	958102105	45101	1164500	SH	PUT	DEFINED	2	0	0	0
WESTERN DIGITAL CORP	COM	958102105	3892	100500	SH	PUT	DEFINED	1	0	0	0
WESTERN DIGITAL CORP	COM	958102105	8815	227600	SH	CALL	DEFINED	1	0	0	0
WESTERN DIGITAL CORP	COM	958102105	37398	965600	SH	CALL	DEFINED	2	0	0	0
WESTERN GAS PARTNERS LP	COM UNIT LP IN	958254104	244	4840	SH		DEFINED	3	4840	0	0
WESTERN GAS PARTNERS LP	COM UNIT LP IN	958254104	686	13600	SH	PUT	DEFINED	2	0	0	0
WESTERN GAS PARTNERS LP	COM UNIT LP IN	958254104	4008	79500	SH	CALL	DEFINED	2	0	0	0
WESTERN REFNG INC	COM	959319104	2386	91140	SH		DEFINED	2	91140	0	0
WESTERN REFNG INC	COM	959319104	634	24200	SH	PUT	DEFINED	1	0	0	0
WESTERN REFNG INC	COM	959319104	3906	149200	SH	PUT	DEFINED	2	0	0	0
WESTERN REFNG INC	COM	959319104	1683	64300	SH	CALL	DEFINED	2	0	0	0
WESTERN REFNG INC	COM	959319104	1445	55200	SH	CALL	DEFINED	1	0	0	0
WESTERN UN CO	COM	959802109	220	12066	SH		DEFINED	3	12066	0	0
WESTERN UN CO	COM	959802109	1255	68883	SH		DEFINED	2	68883	0	0
WESTERN UN CO	COM	959802109	4180	229400	SH	PUT	DEFINED	2	0	0	0
WESTERN UN CO	COM	959802109	4890	268400	SH	CALL	DEFINED	2	0	0	0
WESTLAKE CHEM CORP	COM	960413102	1929	26400	SH		DEFINED	9	26400	0	0
WESTLAKE CHEM CORP	COM	960413102	2184	29900	SH	PUT	DEFINED	2	0	0	0
WESTLAKE CHEM CORP	COM	960413102	36903	505100	SH	CALL	DEFINED	2	0	0	0
WESTLAKE CHEM CORP	COM	960413102	526	7200	SH	CALL	DEFINED	1	0	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	18427	661872	SH		DEFINED	2	661872	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	2434	87411	SH		DEFINED	3	87411	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	34430	1236700	SH	PUT	DEFINED	2	0	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	5690	204400	SH	PUT	DEFINED	1	0	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	3480	125000	SH	PUT	DEFINED	3	0	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	13795	495500	SH	CALL	DEFINED	2	0	0	0
WESTPORT INNOVATIONS INC	COM NEW	960908309	2893	103900	SH	CALL	DEFINED	1	0	0	0
WET SEAL INC	CL A	961840105	55	17349	SH		DEFINED	2	17349	0	0
WET SEAL INC	CL A	961840105	32	10156	SH		DEFINED	3	10156	0	0
WET SEAL INC	CL A	961840105	315	100000	SH	CALL	DEFINED	2	0	0	0
WEYERHAEUSER CO	COM	962166104	6865	262626	SH		DEFINED	9	262626	0	0
WEYERHAEUSER CO	COM	962166104	344	13161	SH		DEFINED	1	13161	0	0
WEYERHAEUSER CO	COM	962166104	1129	43185	SH		DEFINED	3	43185	0	0
WEYERHAEUSER CO	COM	962166104	2720	104057	SH		DEFINED	2	104057	0	0
WEYERHAEUSER CO	COM	962166104	22951	878000	SH	PUT	DEFINED	2	0	0	0
WEYERHAEUSER CO	COM	962166104	3691	141200	SH	PUT	DEFINED	1	0	0	0
WEYERHAEUSER CO	COM	962166104	14050	537500	SH	CALL	DEFINED	2	0	0	0
WEYERHAEUSER CO	COM	962166104	1812	69300	SH	CALL	DEFINED	1	0	0	0
WGL HLDGS INC	COM	92924F106	1050	26082	SH		DEFINED	3	26082	0	0
WHIRLPOOL CORP	COM	963320106	397	4791	SH		DEFINED	2	4791	0	0
WHIRLPOOL CORP	COM	963320106	1957	23600	SH		DEFINED	9	23600	0	0
WHIRLPOOL CORP	COM	963320106	274	3300	SH		DEFINED	3	3300	0	0
WHIRLPOOL CORP	COM	963320106	373	4500	SH	PUT	DEFINED	3	0	0	0
WHIRLPOOL CORP	COM	963320106	7503	90500	SH	PUT	DEFINED	1	0	0	0
WHIRLPOOL CORP	COM	963320106	29723	358500	SH	PUT	DEFINED	2	0	0	0
WHIRLPOOL CORP	COM	963320106	45783	552200	SH	CALL	DEFINED	2	0	0	0
WHIRLPOOL CORP	COM	963320106	2976	35900	SH	CALL	DEFINED	3	0	0	0
WHIRLPOOL CORP	COM	963320106	6707	80900	SH	CALL	DEFINED	1	0	0	0
WHITE MTNS INS GROUP LTD	COM	G9618E107	358	698	SH		DEFINED	2	698	0	0
WHITE MTNS INS GROUP LTD	COM	G9618E107	2001	3898	SH		DEFINED	3	3898	0	0
WHITESTONE REIT	COM	966084204	143	10800	SH		DEFINED	3	10800	0	0
WHITING PETE CORP NEW	COM	966387102	2990	63100	SH		DEFINED	9	63100	0	0
WHITING PETE CORP NEW	COM	966387102	6332	133650	SH		DEFINED	2	133650	0	0
WHITING PETE CORP NEW	COM	966387102	293	6178	SH		DEFINED	3	6178	0	0
WHITING PETE CORP NEW	COM	966387102	1685	35559	SH		DEFINED	1	35559	0	0
WHITING PETE CORP NEW	COM	966387102	8273	174600	SH	PUT	DEFINED	1	0	0	0
WHITING PETE CORP NEW	COM	966387102	597	12600	SH	PUT	DEFINED	3	0	0	0
WHITING PETE CORP NEW	COM	966387102	37155	784200	SH	PUT	DEFINED	2	0	0	0
WHITING PETE CORP NEW	COM	966387102	6827	144100	SH	CALL	DEFINED	1	0	0	0
WHITING PETE CORP NEW	COM	966387102	54691	1154300	SH	CALL	DEFINED	2	0	0	0
WHITING USA TR I	TR UNIT	966389108	366	52373	SH		DEFINED	2	52373	0	0
WHITING USA TR I	TR UNIT	966389108	356	50900	SH	PUT	DEFINED	2	0	0	0
WHITING USA TR II	TR UNIT	966388100	1725	89400	SH	PUT	DEFINED	2	0	0	0
WHITING USA TR II	TR UNIT	966388100	2220	115100	SH	CALL	DEFINED	2	0	0	0
WHOLE FOODS MKT INC	COM	966837106	8675	89063	SH		DEFINED	2	89063	0	0
WHOLE FOODS MKT INC	COM	966837106	3847	39500	SH	PUT	DEFINED	1	0	0	0
WHOLE FOODS MKT INC	COM	966837106	47862	491400	SH	PUT	DEFINED	2	0	0	0
WHOLE FOODS MKT INC	COM	966837106	38015	390300	SH	CALL	DEFINED	2	0	0	0
WHOLE FOODS MKT INC	COM	966837106	2727	28000	SH	CALL	DEFINED	1	0	0	0
WILLBROS GROUP INC DEL	COM	969203108	57	10700	SH	PUT	DEFINED	2	0	0	0
WILLIAMS CLAYTON ENERGY INC	COM	969490101	1193	23000	SH		DEFINED	3	23000	0	0
WILLIAMS COS INC DEL	COM	969457100	21387	611574	SH		DEFINED	2	611574	0	0
WILLIAMS COS INC DEL	COM	969457100	6285	179730	SH		DEFINED	1	179730	0	0
WILLIAMS COS INC DEL	COM	969457100	509	14559	SH		DEFINED	3	14559	0	0
WILLIAMS COS INC DEL	COM	969457100	16541	473000	SH	PUT	DEFINED	1	0	0	0
WILLIAMS COS INC DEL	COM	969457100	37596	1075100	SH	PUT	DEFINED	2	0	0	0
WILLIAMS COS INC DEL	COM	969457100	76542	2188800	SH	CALL	DEFINED	2	0	0	0
WILLIAMS COS INC DEL	COM	969457100	913	26100	SH	CALL	DEFINED	3	0	0	0
WILLIAMS COS INC DEL	COM	969457100	6592	188500	SH	CALL	DEFINED	1	0	0	0
WILLIAMS PARTNERS L P	COM UNIT L P	96950F104	544	9946	SH		DEFINED	3	9946	0	0
WILLIAMS PARTNERS L P	COM UNIT L P	96950F104	413	7560	SH		DEFINED	2	7560	0	0
WILLIAMS PARTNERS L P	COM UNIT L P	96950F104	11838	216500	SH	PUT	DEFINED	2	0	0	0
WILLIAMS PARTNERS L P	COM UNIT L P	96950F104	1258	23000	SH	PUT	DEFINED	1	0	0	0
WILLIAMS PARTNERS L P	COM UNIT L P	96950F104	19685	360000	SH	CALL	DEFINED	2	0	0	0
WILLIAMS PARTNERS L P	COM UNIT L P	96950F104	1498	27400	SH	CALL	DEFINED	1	0	0	0
WILLIAMS SONOMA INC	COM	969904101	2915	66300	SH		DEFINED	9	66300	0	0
WILLIAMS SONOMA INC	COM	969904101	4452	101243	SH		DEFINED	3	101243	0	0
WILLIAMS SONOMA INC	COM	969904101	5844	132900	SH	PUT	DEFINED	2	0	0	0
WILLIAMS SONOMA INC	COM	969904101	6596	150000	SH	CALL	DEFINED	2	0	0	0
WILLIAMS SONOMA INC	COM	969904101	712	16200	SH	CALL	DEFINED	1	0	0	0
WILLIS GROUP HOLDINGS PUBLIC	SHS	G96666105	805	21800	SH	PUT	DEFINED	2	0	0	0
WILLIS GROUP HOLDINGS PUBLIC	SHS	G96666105	941	25500	SH	CALL	DEFINED	2	0	0	0
WILSHIRE BANCORP INC	COM	97186T108	75	11843	SH		DEFINED	2	11843	0	0
WINDSTREAM CORP	COM	97381W104	510	50435	SH		DEFINED	2	50435	0	0
WINDSTREAM CORP	COM	97381W104	174	17207	SH		DEFINED	3	17207	0	0
WINDSTREAM CORP	COM	97381W104	103	10143	SH		DEFINED	1	10143	0	0
WINDSTREAM CORP	COM	97381W104	427	42200	SH	PUT	DEFINED	1	0	0	0
WINDSTREAM CORP	COM	97381W104	5299	524100	SH	PUT	DEFINED	2	0	0	0
WINDSTREAM CORP	COM	97381W104	7742	765800	SH	CALL	DEFINED	2	0	0	0
WINDSTREAM CORP	COM	97381W104	967	95600	SH	CALL	DEFINED	1	0	0	0
WINMARK CORP	COM	974250102	360	6649	SH		DEFINED	3	6649	0	0
WINNEBAGO INDS INC	COM	974637100	300	23776	SH		DEFINED	3	23776	0	0
WINNEBAGO INDS INC	COM	974637100	320	25300	SH		DEFINED	9	25300	0	0
WINNEBAGO INDS INC	COM	974637100	154	12200	SH	CALL	DEFINED	2	0	0	0
WINTRUST FINANCIAL CORP	COM	97650W108	338	9000	SH	PUT	DEFINED	2	0	0	0
WINTRUST FINANCIAL CORP	COM	97650W108	342	9100	SH	CALL	DEFINED	2	0	0	0
WIRELESS RONIN TECHNOLOGIES	COM	97652A203	13	14196	SH		DEFINED	4	14196	0	0
WISCONSIN ENERGY CORP	COM	976657106	537	14262	SH		DEFINED	2	14262	0	0
WISCONSIN ENERGY CORP	COM	976657106	286	7600	SH	CALL	DEFINED	2	0	0	0
WISDOMTREE TR	LARGECAP GRWTH	97717X107	1041	25575	SH		DEFINED	2	25575	0	0
WISDOMTREE TR	MID EAST DIVD	97717X305	687	46740	SH		DEFINED	2	46740	0	0
WISDOMTREE TR	EUROPE HEDGED EQ	97717X701	6127	142846	SH		DEFINED	2	142846	0	0
WISDOMTREE TR	WSDM EMKTBD FD	97717X784	1682	21322	SH		DEFINED	3	21322	0	0
WISDOMTREE TR	DREYFUS CMM FD	97717X859	237	11176	SH		DEFINED	3	11176	0	0
WISDOMTREE TR	EM LCL DEBT FD	97717X867	1603	30646	SH		DEFINED	3	30646	0	0
WISDOMTREE TR	GLB RL RETURN	97717X883	1078	22824	SH		DEFINED	3	22824	0	0
WISDOMTREE TRUST	TOTAL DIVID FD	97717W109	3528	64670	SH		DEFINED	3	64670	0	0
WISDOMTREE TRUST	FUTRE STRAT FD	97717W125	4033	99705	SH		DEFINED	3	99705	0	0
WISDOMTREE TRUST	DRYFS CURR ETF	97717W133	1051	50507	SH		DEFINED	3	50507	0	0
WISDOMTREE TRUST	STH AFRIC RAND	97717W158	555	23627	SH		DEFINED	3	23627	0	0
WISDOMTREE TRUST	CHINESE YUAN ETF	97717W182	2961	116676	SH		DEFINED	3	116676	0	0
WISDOMTREE TRUST	EQTY INC ETF	97717W208	3913	82701	SH		DEFINED	3	82701	0	0
WISDOMTREE TRUST	JAPANESE YEN F	97717W224	1240	37557	SH		DEFINED	3	37557	0	0
WISDOMTREE TRUST	BRAZILN RL ETF	97717W240	2433	128893	SH		DEFINED	3	128893	0	0
WISDOMTREE TRUST	EMG MKTS SMCAP	97717W281	3274	71399	SH		DEFINED	2	71399	0	0
WISDOMTREE TRUST	LARGECAP DIVID	97717W307	3763	68875	SH		DEFINED	2	68875	0	0
WISDOMTREE TRUST	EMERG MKTS ETF	97717W315	9114	169824	SH		DEFINED	2	169824	0	0
WISDOMTREE TRUST	EMERG MKTS ETF	97717W315	1159	21600	SH	CALL	DEFINED	2	0	0	0
WISDOMTREE TRUST	GLB EX US RL EST	97717W331	3831	132707	SH		DEFINED	2	132707	0	0
WISDOMTREE TRUST	DIV EX-FINL FD	97717W406	7061	125279	SH		DEFINED	3	125279	0	0
WISDOMTREE TRUST	INDIA ERNGS FD	97717W422	200	10550	SH		DEFINED	3	10550	0	0
WISDOMTREE TRUST	INDIA ERNGS FD	97717W422	1633	86232	SH		DEFINED	2	86232	0	0
WISDOMTREE TRUST	INDIA ERNGS FD	97717W422	220	11600	SH	PUT	DEFINED	1	0	0	0
WISDOMTREE TRUST	INDIA ERNGS FD	97717W422	6030	318400	SH	PUT	DEFINED	2	0	0	0
WISDOMTREE TRUST	INDIA ERNGS FD	97717W422	434	22900	SH	CALL	DEFINED	2	0	0	0
WISDOMTREE TRUST	MIDCAP DIVI FD	97717W505	11786	207279	SH		DEFINED	2	207279	0	0
WISDOMTREE TRUST	LRGECP VALUE FD	97717W547	904	19591	SH		DEFINED	3	19591	0	0
WISDOMTREE TRUST	LRGECP VALUE FD	97717W547	5299	114880	SH		DEFINED	2	114880	0	0
WISDOMTREE TRUST	SMLCAP EARN FD	97717W562	10146	180855	SH		DEFINED	2	180855	0	0
WISDOMTREE TRUST	MDCP EARN FUND	97717W570	4390	73823	SH		DEFINED	2	73823	0	0
WISDOMTREE TRUST	EARNING 500 FD	97717W588	6427	128825	SH		DEFINED	3	128825	0	0
WISDOMTREE TRUST	TTL EARNING FD	97717W596	1403	27491	SH		DEFINED	3	27491	0	0
WISDOMTREE TRUST	TTL EARNING FD	97717W596	4851	95040	SH		DEFINED	2	95040	0	0
WISDOMTREE TRUST	SMALLCAP DIVID	97717W604	25762	509836	SH		DEFINED	2	509836	0	0
WISDOMTREE TRUST	GLB EX US UTIL	97717W653	1100	62528	SH		DEFINED	2	62528	0	0
WISDOMTREE TRUST	DEFA FD	97717W703	591	13592	SH		DEFINED	2	13592	0	0
WISDOMTREE TRUST	GLB NAT RES FD	97717W711	1037	44206	SH		DEFINED	2	44206	0	0
WISDOMTREE TRUST	GLB NAT RES FD	97717W711	578	24642	SH		DEFINED	3	24642	0	0
WISDOMTREE TRUST	COMM COUNTRY EQ	97717W752	306	10056	SH		DEFINED	3	10056	0	0
WISDOMTREE TRUST	COMM COUNTRY EQ	97717W752	2093	68798	SH		DEFINED	2	68798	0	0
WISDOMTREE TRUST	INTL SMCAP DIV	97717W760	265	5608	SH		DEFINED	2	5608	0	0
WISDOMTREE TRUST	INTL MIDCAP DV	97717W778	529	11404	SH		DEFINED	3	11404	0	0
WISDOMTREE TRUST	INTL MIDCAP DV	97717W778	2616	56340	SH		DEFINED	2	56340	0	0
WISDOMTREE TRUST	INTL LRGCAP DV	97717W794	3789	89040	SH		DEFINED	2	89040	0	0
WISDOMTREE TRUST	DEFA EQT INC ETF	97717W802	4396	114776	SH		DEFINED	2	114776	0	0
WISDOMTREE TRUST	AUSTRALIA DIV FD	97717W810	354	6738	SH		DEFINED	3	6738	0	0
WISDOMTREE TRUST	AUSTRALIA DIV FD	97717W810	1382	26269	SH		DEFINED	2	26269	0	0
WISDOMTREE TRUST	ASIA PAC EXJP FD	97717W828	983	15221	SH		DEFINED	2	15221	0	0
WISDOMTREE TRUST	ASIA PAC EXJP FD	97717W828	378	5855	SH		DEFINED	3	5855	0	0
WISDOMTREE TRUST	JP SMALLCP DIV	97717W836	720	17015	SH		DEFINED	3	17015	0	0
WISDOMTREE TRUST	JP SMALLCP DIV	97717W836	1344	31754	SH		DEFINED	2	31754	0	0
WISDOMTREE TRUST	GLB EX US GRWTH	97717W844	2397	49071	SH		DEFINED	2	49071	0	0
WISDOMTREE TRUST	JP TOTAL DIVID	97717W851	2014	63689	SH		DEFINED	2	63689	0	0
WISDOMTREE TRUST	EUROPE SMCP DV	97717W869	1156	31312	SH		DEFINED	2	31312	0	0
WISDOMTREE TRUST	GLB EQTY INC FD	97717W877	1625	38824	SH		DEFINED	2	38824	0	0
WMS INDS INC	COM	929297109	236	14382	SH		DEFINED	3	14382	0	0
WMS INDS INC	COM	929297109	252	15372	SH		DEFINED	2	15372	0	0
WMS INDS INC	COM	929297109	270	16500	SH	PUT	DEFINED	2	0	0	0
WMS INDS INC	COM	929297109	675	41200	SH	CALL	DEFINED	2	0	0	0
WOLVERINE WORLD WIDE INC	COM	978097103	1029	23200	SH		DEFINED	9	23200	0	0
WOLVERINE WORLD WIDE INC	COM	978097103	701	15800	SH	PUT	DEFINED	1	0	0	0
WOLVERINE WORLD WIDE INC	COM	978097103	723	16300	SH	PUT	DEFINED	2	0	0	0
WOLVERINE WORLD WIDE INC	COM	978097103	311	7000	SH	CALL	DEFINED	2	0	0	0
WOODWARD INC	COM	980745103	809	23800	SH	PUT	DEFINED	2	0	0	0
WOODWARD INC	COM	980745103	1250	36800	SH	CALL	DEFINED	2	0	0	0
WORLD ACCEP CORP DEL	COM	981419104	5538	82100	SH	PUT	DEFINED	2	0	0	0
WORLD ACCEP CORP DEL	COM	981419104	1592	23600	SH	CALL	DEFINED	2	0	0	0
WORLD FUEL SVCS CORP	COM	981475106	542	15231	SH		DEFINED	3	15231	0	0
WORLD FUEL SVCS CORP	COM	981475106	2888	81100	SH	PUT	DEFINED	2	0	0	0
WORLD FUEL SVCS CORP	COM	981475106	855	24000	SH	PUT	DEFINED	1	0	0	0
WORLD FUEL SVCS CORP	COM	981475106	217	6100	SH	CALL	DEFINED	1	0	0	0
WORLD FUEL SVCS CORP	COM	981475106	3337	93700	SH	CALL	DEFINED	2	0	0	0
WORLD WRESTLING ENTMT INC	CL A	98156Q108	156	19387	SH		DEFINED	2	19387	0	0
WORTHINGTON INDS INC	COM	981811102	628	29000	SH		DEFINED	9	29000	0	0
WORTHINGTON INDS INC	COM	981811102	858	39600	SH	PUT	DEFINED	2	0	0	0
WORTHINGTON INDS INC	COM	981811102	1449	66900	SH	CALL	DEFINED	2	0	0	0
WPCS INTL INC	COM NEW	92931L203	6	14262	SH		DEFINED	4	14262	0	0
WPP PLC	ADR	92933H101	246	3604	SH		DEFINED	2	3604	0	0
WPP PLC	ADR	92933H101	886	13000	SH	PUT	DEFINED	2	0	0	0
WPP PLC	ADR	92933H101	1792	26300	SH	CALL	DEFINED	2	0	0	0
WPX ENERGY INC	COM	98212B103	1483	89390	SH		DEFINED	2	89390	0	0
WPX ENERGY INC	COM	98212B103	5317	294100	SH	PUT	DEFINED	2	0	0	0
WPX ENERGY INC	COM	98212B103	1804	99800	SH	CALL	DEFINED	2	0	0	0
WRIGHT EXPRESS CORP	COM	98233Q105	383	5493	SH		DEFINED	3	5493	0	0
WRIGHT MED GROUP INC	COM	98235T107	1707	77200	SH		DEFINED	9	77200	0	0
WRIGHT MED GROUP INC	COM	98235T107	223	10100	SH		DEFINED	3	10100	0	0
WYNDHAM WORLDWIDE CORP	COM	98310W108	627	11944	SH		DEFINED	2	11944	0	0
WYNDHAM WORLDWIDE CORP	COM	98310W108	1440	27440	SH		DEFINED	3	27440	0	0
WYNDHAM WORLDWIDE CORP	COM	98310W108	7106	135400	SH	PUT	DEFINED	2	0	0	0
WYNDHAM WORLDWIDE CORP	COM	98310W108	247	4700	SH	PUT	DEFINED	1	0	0	0
WYNDHAM WORLDWIDE CORP	COM	98310W108	25762	490900	SH	CALL	DEFINED	2	0	0	0
WYNN RESORTS LTD	COM	983134107	574	4968	SH		DEFINED	3	4968	0	0
WYNN RESORTS LTD	COM	983134107	8215	71166	SH		DEFINED	1	71166	0	0
WYNN RESORTS LTD	COM	983134107	42263	366105	SH		DEFINED	2	366105	0	0
WYNN RESORTS LTD	COM	983134107	4975	43100	SH		DEFINED	"5,7"	43100	0	0
WYNN RESORTS LTD	COM	983134107	150211	1301200	SH	PUT	DEFINED	2	0	0	0
WYNN RESORTS LTD	COM	983134107	30164	261300	SH	PUT	DEFINED	1	0	0	0
WYNN RESORTS LTD	COM	983134107	4710	40800	SH	PUT	DEFINED	3	0	0	0
WYNN RESORTS LTD	COM	983134107	25050	217000	SH	CALL	DEFINED	1	0	0	0
WYNN RESORTS LTD	COM	983134107	68560	593900	SH	CALL	DEFINED	2	0	0	0
XCEL ENERGY INC	COM	98389B100	1046	37733	SH		DEFINED	2	37733	0	0
XCEL ENERGY INC	COM	98389B100	621	22400	SH	PUT	DEFINED	2	0	0	0
XENOPORT INC	COM	98411C100	316	27594	SH		DEFINED	2	27594	0	0
XENOPORT INC	COM	98411C100	136	11900	SH	PUT	DEFINED	1	0	0	0
XENOPORT INC	COM	98411C100	1921	167600	SH	CALL	DEFINED	2	0	0	0
XERIUM TECHNOLOGIES INC	COM NEW	98416J118	62	17812	SH		DEFINED	3	17812	0	0
XEROX CORP	COM	984121103	515	70106	SH		DEFINED	3	70106	0	0
XEROX CORP	COM	984121103	307	41799	SH		DEFINED	1	41799	0	0
XEROX CORP	COM	984121103	10293	1402303	SH		DEFINED	2	1402303	0	0
XEROX CORP	COM	984121103	849	115700	SH	PUT	DEFINED	1	0	0	0
XEROX CORP	COM	984121103	8494	1157200	SH	PUT	DEFINED	2	0	0	0
XEROX CORP	COM	984121103	690	94000	SH	CALL	DEFINED	1	0	0	0
XEROX CORP	COM	984121103	13001	1771300	SH	CALL	DEFINED	2	0	0	0
XILINX INC	COM	983919101	4692	140440	SH		DEFINED	2	140440	0	0
XILINX INC	COM	983919101	1256	37600	SH	PUT	DEFINED	2	0	0	0
XILINX INC	COM	983919101	1263	37800	SH	PUT	DEFINED	3	0	0	0
XILINX INC	COM	983919101	468	14000	SH	CALL	DEFINED	1	0	0	0
XILINX INC	COM	983919101	3334	99800	SH	CALL	DEFINED	2	0	0	0
XILINX INC	SDCV   3.125% 3/1	983919AD3	9082	7600000	PRN		DEFINED	"5,7"	0	0	0
XINYUAN REAL ESTATE CO LTD	SPONS ADR	98417P105	96	33832	SH		DEFINED	2	33832	0	0
XINYUAN REAL ESTATE CO LTD	SPONS ADR	98417P105	30	10500	SH	PUT	DEFINED	2	0	0	0
XL GROUP PLC	SHS	G98290102	8760	364548	SH		DEFINED	2	364548	0	0
XL GROUP PLC	SHS	G98290102	407	16926	SH		DEFINED	3	16926	0	0
XL GROUP PLC	SHS	G98290102	2204	91700	SH		DEFINED	9	91700	0	0
XL GROUP PLC	SHS	G98290102	565	23496	SH		DEFINED	1	23496	0	0
XL GROUP PLC	SHS	G98290102	5354	222800	SH	PUT	DEFINED	2	0	0	0
XL GROUP PLC	SHS	G98290102	1793	74600	SH	CALL	DEFINED	2	0	0	0
XL GROUP PLC	SHS	G98290102	223	9300	SH	CALL	DEFINED	1	0	0	0
XO GROUP INC	COM	983772104	148	17700	SH	CALL	DEFINED	2	0	0	0
XOMA CORP DEL	COM	98419J107	47	12775	SH		DEFINED	2	12775	0	0
XOMA CORP DEL	COM	98419J107	41	11100	SH	PUT	DEFINED	2	0	0	0
XOMA CORP DEL	COM	98419J107	61	16600	SH	CALL	DEFINED	2	0	0	0
XPO LOGISTICS INC	COM	983793100	253	20700	SH	PUT	DEFINED	2	0	0	0
XPO LOGISTICS INC	COM	983793100	302	24700	SH	CALL	DEFINED	2	0	0	0
XUEDA ED GROUP	SPONSORED ADR	98418W109	38	11594	SH		DEFINED	3	11594	0	0
XYLEM INC	COM	98419M100	1077	42833	SH		DEFINED	2	42833	0	0
XYLEM INC	COM	98419M100	1886	75000	SH	PUT	DEFINED	2	0	0	0
XYLEM INC	COM	98419M100	1081	43000	SH	CALL	DEFINED	2	0	0	0
XYRATEX LTD	COM	G98268108	94	10206	SH		DEFINED	2	10206	0	0
XYRATEX LTD	COM	G98268108	1501	163100	SH		DEFINED	3	163100	0	0
XYRATEX LTD	COM	G98268108	95	10300	SH	PUT	DEFINED	2	0	0	0
YADKIN VALLEY FINANCIAL CORP	COM	984314104	164	49632	SH		DEFINED	3	49632	0	0
YAHOO INC	COM	984332106	31023	1941952	SH		DEFINED	2	1941952	0	0
YAHOO INC	COM	984332106	19264	1205883	SH		DEFINED	9	1205883	0	0
YAHOO INC	COM	984332106	2438	152618	SH		DEFINED	1	152618	0	0
YAHOO INC	COM	984332106	10113	633029	SH		DEFINED	3	633029	0	0
YAHOO INC	COM	984332106	53430	3344600	SH	PUT	DEFINED	2	0	0	0
YAHOO INC	COM	984332106	585	36600	SH	PUT	DEFINED	3	0	0	0
YAHOO INC	COM	984332106	13997	876200	SH	PUT	DEFINED	1	0	0	0
YAHOO INC	COM	984332106	14250	892000	SH	CALL	DEFINED	1	0	0	0
YAHOO INC	COM	984332106	49152	3076800	SH	CALL	DEFINED	2	0	0	0
YAHOO INC	COM	984332106	489	30600	SH	CALL	DEFINED	3	0	0	0
YAMANA GOLD INC	COM	98462Y100	19420	1016230	SH		DEFINED	2	1016230	0	0
YAMANA GOLD INC	COM	98462Y100	900	47098	SH		DEFINED	3	47098	0	0
YAMANA GOLD INC	COM	98462Y100	791	41400	SH	PUT	DEFINED	1	0	0	0
YAMANA GOLD INC	COM	98462Y100	17826	932800	SH	PUT	DEFINED	2	0	0	0
YAMANA GOLD INC	COM	98462Y100	2679	140200	SH	CALL	DEFINED	1	0	0	0
YAMANA GOLD INC	COM	98462Y100	21971	1149700	SH	CALL	DEFINED	2	0	0	0
YANDEX N V	SHS CLASS A	N97284108	779	32328	SH		DEFINED	3	32328	0	0
YANDEX N V	SHS CLASS A	N97284108	3906	162016	SH		DEFINED	2	162016	0	0
YANDEX N V	SHS CLASS A	N97284108	6635	275200	SH	PUT	DEFINED	2	0	0	0
YANDEX N V	SHS CLASS A	N97284108	12588	522100	SH	CALL	DEFINED	2	0	0	0
YANZHOU COAL MNG CO LTD	SPON ADR H SHS	984846105	307	20502	SH		DEFINED	2	20502	0	0
YELP INC	CL A	985817105	322	11900	SH	PUT	DEFINED	1	0	0	0
YELP INC	CL A	985817105	7696	284500	SH	PUT	DEFINED	2	0	0	0
YELP INC	CL A	985817105	8916	329600	SH	CALL	DEFINED	2	0	0	0
YELP INC	CL A	985817105	1802	66600	SH	CALL	DEFINED	1	0	0	0
YINGLI GREEN ENERGY HLDG CO	ADR	98584B103	158	93072	SH		DEFINED	3	93072	0	0
YINGLI GREEN ENERGY HLDG CO	ADR	98584B103	390	229609	SH		DEFINED	2	229609	0	0
YINGLI GREEN ENERGY HLDG CO	ADR	98584B103	543	319200	SH	PUT	DEFINED	2	0	0	0
YINGLI GREEN ENERGY HLDG CO	ADR	98584B103	162	95500	SH	PUT	DEFINED	3	0	0	0
YINGLI GREEN ENERGY HLDG CO	ADR	98584B103	57	33700	SH	CALL	DEFINED	2	0	0	0
YM BIOSCIENCES INC	COM	984238105	45	24700	SH	PUT	DEFINED	2	0	0	0
YM BIOSCIENCES INC	COM	984238105	93	50300	SH	CALL	DEFINED	2	0	0	0
YONGYE INTL INC	COM	98607B106	748	163400	SH	PUT	DEFINED	2	0	0	0
YONGYE INTL INC	COM	98607B106	175	38300	SH	CALL	DEFINED	2	0	0	0
YOUKU TUDOU INC	SPONSORED ADR	98742U100	3260	177279	SH		DEFINED	2	177279	0	0
YOUKU TUDOU INC	SPONSORED ADR	98742U100	11426	621300	SH	PUT	DEFINED	2	0	0	0
YOUKU TUDOU INC	SPONSORED ADR	98742U100	6168	335400	SH	CALL	DEFINED	2	0	0	0
YOUNG INNOVATIONS INC	COM	987520103	852	21790	SH		DEFINED	3	21790	0	0
YPF SOCIEDAD ANONIMA	SPON ADR CL D	984245100	1193	91754	SH		DEFINED	2	91754	0	0
YPF SOCIEDAD ANONIMA	SPON ADR CL D	984245100	186	14315	SH		DEFINED	3	14315	0	0
YPF SOCIEDAD ANONIMA	SPON ADR CL D	984245100	2053	157900	SH	PUT	DEFINED	2	0	0	0
YPF SOCIEDAD ANONIMA	SPON ADR CL D	984245100	155	11900	SH	PUT	DEFINED	3	0	0	0
YPF SOCIEDAD ANONIMA	SPON ADR CL D	984245100	1368	105200	SH	CALL	DEFINED	2	0	0	0
YUM BRANDS INC	COM	988498101	2309	34808	SH		DEFINED	2	34808	0	0
YUM BRANDS INC	COM	988498101	239	3600	SH		DEFINED	3	3600	0	0
YUM BRANDS INC	COM	988498101	11298	170300	SH	PUT	DEFINED	1	0	0	0
YUM BRANDS INC	COM	988498101	35572	536200	SH	PUT	DEFINED	2	0	0	0
YUM BRANDS INC	COM	988498101	5878	88600	SH	CALL	DEFINED	1	0	0	0
YUM BRANDS INC	COM	988498101	43234	651700	SH	CALL	DEFINED	2	0	0	0
ZAGG INC	COM	98884U108	96	11301	SH		DEFINED	1	11301	0	0
ZAGG INC	COM	98884U108	1178	138136	SH		DEFINED	2	138136	0	0
ZAGG INC	COM	98884U108	1797	210700	SH	PUT	DEFINED	2	0	0	0
ZAGG INC	COM	98884U108	136	15900	SH	PUT	DEFINED	1	0	0	0
ZAGG INC	COM	98884U108	582	68200	SH	CALL	DEFINED	2	0	0	0
ZAGG INC	COM	98884U108	93	10900	SH	CALL	DEFINED	1	0	0	0
ZALE CORP NEW	COM	988858106	111	16105	SH		DEFINED	3	16105	0	0
ZALE CORP NEW	COM	988858106	82	11900	SH	PUT	DEFINED	2	0	0	0
ZALE CORP NEW	COM	988858106	295	42700	SH	CALL	DEFINED	2	0	0	0
ZALE CORP NEW	COM	988858106	99	14400	SH	CALL	DEFINED	1	0	0	0
ZALICUS INC	COM	98887C105	390	526375	SH		DEFINED	3	526375	0	0
ZAZA ENERGY CORP	COM	98919T100	34	11543	SH		DEFINED	3	11543	0	0
ZAZA ENERGY CORP	COM	98919T100	32	10800	SH	CALL	DEFINED	2	0	0	0
ZEBRA TECHNOLOGIES CORP	CL A	989207105	248	6600	SH	PUT	DEFINED	2	0	0	0
ZEBRA TECHNOLOGIES CORP	CL A	989207105	657	17500	SH	CALL	DEFINED	2	0	0	0
ZHONGPIN INC	COM	98952K107	111	10047	SH		DEFINED	3	10047	0	0
ZHONGPIN INC	COM	98952K107	2538	230696	SH		DEFINED	2	230696	0	0
ZHONGPIN INC	COM	98952K107	1770	160900	SH	PUT	DEFINED	2	0	0	0
ZILLOW INC	CL A	98954A107	435	10318	SH		DEFINED	3	10318	0	0
ZILLOW INC	CL A	98954A107	249	5915	SH		DEFINED	2	5915	0	0
ZILLOW INC	CL A	98954A107	3463	82100	SH	PUT	DEFINED	3	0	0	0
ZILLOW INC	CL A	98954A107	10579	250800	SH	PUT	DEFINED	2	0	0	0
ZILLOW INC	CL A	98954A107	2160	51200	SH	PUT	DEFINED	1	0	0	0
ZILLOW INC	CL A	98954A107	515	12200	SH	CALL	DEFINED	3	0	0	0
ZILLOW INC	CL A	98954A107	2054	48700	SH	CALL	DEFINED	1	0	0	0
ZILLOW INC	CL A	98954A107	11106	263300	SH	CALL	DEFINED	2	0	0	0
ZIMMER HLDGS INC	COM	98956P102	11572	171139	SH		DEFINED	9	171139	0	0
ZIMMER HLDGS INC	COM	98956P102	739	10934	SH		DEFINED	2	10934	0	0
ZIMMER HLDGS INC	COM	98956P102	5626	83200	SH	PUT	DEFINED	2	0	0	0
ZIMMER HLDGS INC	COM	98956P102	304	4500	SH	CALL	DEFINED	1	0	0	0
ZIMMER HLDGS INC	COM	98956P102	8973	132700	SH	CALL	DEFINED	2	0	0	0
ZIONS BANCORPORATION	COM	989701107	2214	107176	SH		DEFINED	2	107176	0	0
ZIONS BANCORPORATION	COM	989701107	601	29118	SH		DEFINED	1	29118	0	0
ZIONS BANCORPORATION	COM	989701107	1101	53300	SH	PUT	DEFINED	1	0	0	0
ZIONS BANCORPORATION	COM	989701107	30578	1480400	SH	PUT	DEFINED	2	0	0	0
ZIONS BANCORPORATION	COM	989701107	1417	68600	SH	CALL	DEFINED	1	0	0	0
ZIONS BANCORPORATION	COM	989701107	22933	1110300	SH	CALL	DEFINED	2	0	0	0
ZIONS BANCORPORATION	*W EXP 05/22/202	989701115	10038	2987500	SH		DEFINED	"5,7"	2987500	0	0
ZIOPHARM ONCOLOGY INC	COM	98973P101	329	60375	SH		DEFINED	2	60375	0	0
ZIOPHARM ONCOLOGY INC	COM	98973P101	386	70900	SH	PUT	DEFINED	2	0	0	0
ZIOPHARM ONCOLOGY INC	COM	98973P101	1186	217700	SH	CALL	DEFINED	2	0	0	0
ZIPCAR INC	COM	98974X103	270	34699	SH		DEFINED	2	34699	0	0
ZIPCAR INC	COM	98974X103	1008	129500	SH	PUT	DEFINED	2	0	0	0
ZIPCAR INC	COM	98974X103	318	40900	SH	CALL	DEFINED	2	0	0	0
ZIX CORP	COM	98974P100	34	11803	SH		DEFINED	2	11803	0	0
ZIX CORP	COM	98974P100	36	12700	SH	CALL	DEFINED	2	0	0	0
ZOGENIX INC	COM	98978L105	27	10217	SH		DEFINED	2	10217	0	0
ZOLTEK COS INC	COM	98975W104	318	41400	SH		DEFINED	9	41400	0	0
ZOLTEK COS INC	COM	98975W104	190	24700	SH	PUT	DEFINED	2	0	0	0
ZOLTEK COS INC	COM	98975W104	744	96800	SH	CALL	DEFINED	2	0	0	0
ZUMIEZ INC	COM	989817101	657	23700	SH		DEFINED	2	23700	0	0
ZUMIEZ INC	COM	989817101	1456	52500	SH	PUT	DEFINED	2	0	0	0
ZUMIEZ INC	COM	989817101	1733	62500	SH	CALL	DEFINED	2	0	0	0
ZUMIEZ INC	COM	989817101	624	22500	SH	CALL	DEFINED	1	0	0	0
ZYNGA INC	CL A	98986T108	2414	850155	SH		DEFINED	2	850155	0	0
ZYNGA INC	CL A	98986T108	37	13148	SH		DEFINED	1	13148	0	0
ZYNGA INC	CL A	98986T108	6926	2438800	SH	PUT	DEFINED	2	0	0	0
ZYNGA INC	CL A	98986T108	93	32900	SH	PUT	DEFINED	1	0	0	0
ZYNGA INC	CL A	98986T108	7884	2775900	SH	CALL	DEFINED	2	0	0	0