UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 12/31/2010
Check here if Amendment []; Amendment Number:
                                               -------
This Amendment (Check only one.):               [] is a restatement.
                                                [] adds new holdings entries.

Institutional Investment Manager Filing this Report:


Name:      Nomura Holdings Inc.

Address:   1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan


Form 13F File Number: 001-15270


The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Persons Signing this Report on Behalf of Reporting Manager:

Name:   Brendan G. Daly
Title:  Head of Compliance and Surveillance
Phone:  212-667-1246

Signature,  Place,  and  Date  of  Signing:

/s/ Brendan G. Daly                New York, NY                       1/14/2011
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

[X]     13F HOLDINGS REPORT. (Check here if all holdings of this reporting
        manager are reported in this report.)

[ ]     13F NOTICE. (Check here if no holdings reported are in this report,
        and all holdings are reported by other reporting manager(s).)

[ ]     13F COMBINATION REPORT. (Check here if a portion of the holdings for
        this reporting manager are reported in this report and a portion are
        reported by other reporting manager(s).)

List of Other Managers Reporting for this Manager:

13F File Number  Name

28-04983         Nomura Securities International, Inc.
---------------  ---------------------------------------------------------------
28-04985         Nomura International plc
---------------  ---------------------------------------------------------------
28-04979         Nomura Securities Company, Ltd
---------------  ---------------------------------------------------------------
028-13982        Nomura Corporate Research & Asset Management Inc.
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    4

Form 13F Information Table Entry Total:           1,067

Form 13F Information Table Value Total:  $    9,773,846
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.   Form 13F File Number  Name

1     28-04983              Nomura Securities International, Inc.
----  --------------------  ----------------------------------------------------
2     28-04985              Nomura International plc
----  --------------------  ----------------------------------------------------
3     28-04979              Nomura Securities Company, Ltd
----  --------------------  ----------------------------------------------------
4     028-13982             Nomura Corporate Research & Asset Management Inc.
----  --------------------  ----------------------------------------------------






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
3M CO COM USD0.01        CMN            88579Y101    1,775     20,565 SH       SOLE       2            20,565          0    0
A123 Systems, Inc.       CMN            03739T108      236     24,780 SH       SOLE       3            24,780          0    0
ABBOTT LABORATORIES      CMN            002824100      925     19,300 SH       DEFINED    2                       19,300    0
ABBOTT LABORATORIES      CMN            002824100      663     13,841 SH       DEFINED    2                       13,841    0
ABBOTT LABORATORIES      CMN            002824100   11,498    240,000 SH       DEFINED    1                      240,000    0
ABERCROMBIE & FITCH      CMN            002896207      789     13,696 SH       SOLE       2            13,696          0    0
ACE LTD                  CMN            H0023R105      812     13,046 SH       SOLE       2            13,046          0    0
ACME PACKET INC          CMN            004764106      245      4,600 SH       DEFINED    2                        4,600    0
ACME PACKET INC          CMN            004764106      494      9,300 SH       DEFINED    1                        9,300    0
ACW CS                   CMN            00439T206  167,446  1,054,445 SH       SOLE       4         1,054,445          0    0
ACW WRT                  CMN            00439T115      304    168,693 SH       SOLE       4           168,693          0    0
ADELPHIA CONTINGENT      CMN            00685R409      199  1,987,235 SH       SOLE       4         1,987,235          0    0
ADOBE SYSTEMS INC CO     CMN            00724F101    1,635     53,125 SH       SOLE       2            53,125          0    0
ADOBE SYSTEMS INC CO     CMN            O62370092   13,852    450,000 SH  PUT  SOLE       1           450,000          0    0
ADOBE SYSTEMS INC CO     CMN            O62368594   10,773    350,000 SH  CALL SOLE       1           350,000          0    0
ADOBE SYSTEMS INC CO     CMN            O66616298    6,144    199,600 SH  CALL SOLE       1           199,600          0    0
ADVANCED MICRO DEVIC     CMN            007903107      885    108,100 SH       SOLE       2           108,100          0    0
AES CORP                 CMN            00130H105      824     67,620 SH       SOLE       2            67,620          0    0
AETNA INC                CMN            00817Y108      477     15,626 SH       SOLE       2            15,626          0    0
AETNA INC                CMN            O29580790      763     25,000 SH  CALL SOLE       1            25,000          0    0
AETNA INC                CMN            001055102      242      4,296 SH       DEFINED    2                        4,296    0
AETNA INC                CMN            001055102      779     13,797 SH       DEFINED    1                       13,797    0
AFLAC INC                CMN            001055102       17        300 SH       DEFINED    3                 0        300    0
AIRGAS INC               CMN            009363102   24,370    390,216 SH       DEFINED    2                      390,216    0
AIRGAS INC               CMN            009363102       28        450 SH       DEFINED    1                          450    0
AIRTRAN HOLDINGS INC     CMN            00949P108    7,465  1,010,000 SH       SOLE       2         1,010,000          0    0
AK STEEL HOLDING COR     CMN            001547108    2,236    136,575 SH       SOLE       2           136,575          0    0
AK STEEL HOLDING COR     CMN            O42664094    4,094    250,000 SH  PUT  SOLE       1           250,000          0    0
AK STEEL HOLDING COR     CMN            O26692698      365     22,300 SH  CALL SOLE       1            22,300          0    0
AK STEEL HOLDING COR     CMN            O45349392    4,094    250,000 SH  CALL SOLE       1           250,000          0    0
ALBERTO-CULVER           CMN            013078100  148,669  4,013,000 SH       SOLE       2         4,013,000          0    0
ALCOA INC                CMN            013817101   14,126    917,817 SH       SOLE       2           917,817          0    0
ALCOA INC                CMN            H01301102   15,360     94,000 SH       SOLE       2            94,000          0    0
ALEXION PHARMACEUTIC     CMN            015351109       15        187 SH       DEFINED    2                          187    0
ALEXION PHARMACEUTIC     CMN            015351109    2,618     32,500 SH       DEFINED    1                       32,500    0
ALEXION PHARMACEUTIC     CMN            O38278092    1,208     15,000 SH  CALL SOLE       1            15,000          0    0
ALEXION PHARMACEUTIC     CMN            O38278592      258      3,200 SH  CALL SOLE       1             3,200          0    0
ALEXION PHARMACEUTIC     CMN            O38279092      403      5,000 SH  CALL SOLE       1             5,000          0    0
ALEXION PHARMACEUTIC     CMN            O38279592    3,012     37,400 SH  CALL SOLE       1            37,400          0    0
ALLEGHENY TECHNOLOGI     CMN            01741R102      488      8,849 SH       SOLE       2             8,849          0    0
ALLERGAN INC             CMN            018490102       23        332 SH       DEFINED    2                          332    0
ALLERGAN INC             CMN            018490102    7,666    111,628 SH       DEFINED    1                      111,628    0
ALLIS-CHALMERS CMN       CMN            19645506     1,375     19,400 SH       SOLE       4            19,400          0    0
ALTERA CORP              CMN            021441100    1,320     37,094 SH       SOLE       2            37,094          0    0
AMBAC FINANCIAL GROU     CMN            O87536894      471  4,303,400 SH  CALL SOLE       1         4,303,400          0    0
AMERICA MOVIL SAB DE     CMN            02364W105    2,408     42,000 SH       SOLE       2            42,000          0    0
AMERICAN CAPITAL LTD     CMN            02503Y103      353     46,621 SH       SOLE       2            46,621          0    0
AMERICAN EAGLE OUTFI     CMN            02553E106      347     23,711 SH       SOLE       2            23,711          0    0
AMERICAN ELECTRIC PO     CMN            025537101    1,251     34,754 SH       SOLE       2            34,754          0    0
AMERICAN EXPRESS CO      CMN            025816109    4,157     96,842 SH       DEFINED    2                       96,842    0
AMERICAN EXPRESS CO      CMN            025816109    1,325     30,866 SH       DEFINED    1                       30,866    0
AMERICAN EXPRESS CO      CMN            O12231894    6,962    162,200 SH  CALL SOLE       1           162,200          0    0
AMERICAN INTERNATION     CMN            026874784    1,166     20,231 SH       DEFINED    2                       20,231    0
AMERICAN INTERNATION     CMN            026874784      186      3,226 SH       DEFINED    1                        3,226    0
AMERICAN INTERNATION     CMN            026874784       62      1,080 SH       DEFINED    3                 0      1,080    0
AMERICAN INTERNATION     CMN            O37200090    7,203    125,000 SH  PUT  SOLE       1           125,000          0    0
AMERICAN INTERNATION     CMN            O37224096      726     12,600 SH  PUT  SOLE       1            12,600          0    0
AMERICAN INTERNATION     CMN            O37068594    9,796    170,000 SH  CALL SOLE       1           170,000          0    0
AMERICAN INTERNATION     CMN            O37075592    2,881     50,000 SH  CALL SOLE       1            50,000          0    0
AMERICAN INTERNATION     CMN            O69383790    1,060     18,400 SH  CALL SOLE       1            18,400          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
AMERICAN TOWER CORP      CMN            029912201      598     11,572 SH       SOLE       2            11,572          0    0
AMERIPRISE FINANCIAL     CMN            03076C106        9        155 SH       DEFINED    2                          155    0
AMERIPRISE FINANCIAL     CMN            03076C106      421      7,308 SH       DEFINED    1                        7,308    0
AMGEN INC                CMN            031162100      922     16,800 SH       DEFINED    2                       16,800    0
AMGEN INC                CMN            031162100    1,823     33,207 SH       DEFINED    2                       33,207    0
AMR CORP                 CMN            O03069198    3,898    500,000 SH  CALL SOLE       1           500,000          0    0
ANADARKO PETROLEUM C     CMN            O29660294    1,904     25,000 SH  PUT  SOLE       1            25,000          0    0
ANADARKO PETROLEUM C     CMN            O41036594   15,231    200,000 SH  PUT  SOLE       1           200,000          0    0
ANADARKO PETROLEUM C     CMN            O66669794   11,926    156,600 SH  PUT  SOLE       1           156,600          0    0
ANADARKO PETROLEUM C     CMN            O29651196   17,135    225,000 SH  CALL SOLE       1           225,000          0    0
ANADARKO PETROLEUM C     CMN            O39327696    3,808     50,000 SH  CALL SOLE       1            50,000          0    0
ANALOG DEVICES INC C     CMN            032654105      964     25,583 SH       DEFINED    2                       25,583    0
ANALOG DEVICES INC C     CMN            032654105    1,884     50,000 SH       DEFINED    1                       50,000    0
ANALOG DEVICES INC C     CMN            O35579092    5,651    150,000 SH  CALL SOLE       1           150,000          0    0
ANNTAYLOR STORES COR     CMN            036115103    1,301     47,500 SH       SOLE       1            47,500          0    0
AON CORP COM             CMN            037389103        5        118 SH       DEFINED    2                          118    0
AON CORP COM             CMN            037389103      430      9,352 SH       DEFINED    1                        9,352    0
APACHE CORP              CMN            037411105        3         27 SH       DEFINED    2                           27    0
APACHE CORP              CMN            037411105      990      8,300 SH       DEFINED    1                        8,300    0
APPLE INC COM            CMN            037833100      206        640 SH       DEFINED    2                          640    0
APPLE INC COM            CMN            037833100    8,458     26,220 SH       DEFINED    2                       26,220    0
APPLE INC COM            CMN            037833100    1,000      3,100 SH       DEFINED    1                        3,100    0
APPLE INC COM            CMN            037833100      343      1,065 SH       DEFINED    3                 0      1,065    0
APPLE INC COM            CMN            O33976592   48,384    150,000 SH  PUT  SOLE       1           150,000          0    0
APPLIED MATERIALS IN     CMN            038222105      490     34,910 SH       SOLE       2            34,910          0    0
ARCELORMITTAL NY         CMN            03938L104    9,486    248,800 SH       SOLE       2           248,800          0    0
ARCH WIRELESS CMN        CMN            39392105         -          1 SH       SOLE       4                 1          0    0
ARCHER-DANIELS-MIDLA     CMN            039483102    1,072     35,643 SH       DEFINED    2                       35,643    0
ARCHER-DANIELS-MIDLA     CMN            039483102    4,493    149,375 SH       DEFINED    1                      149,375    0
ARCHER-DANIELS-MIDLA     CMN            O35632094    5,113    170,000 SH  CALL SOLE       1           170,000          0    0
ARCTIC CAT INC           CMN            039670104    1,126     76,902 SH       SOLE       1            76,902          0    0
ARMSTRONG WORLD INDU     CMN            04247X102    2,199      5,114 SH       SOLE       4             5,114          0    0
ARRIS GROUP INC COM      CMN            04269Q100      178     15,900 SH       DEFINED    2                       15,900    0
ARRIS GROUP INC COM      CMN            04269Q100       53      4,713 SH       DEFINED    1                        4,713    0
ASHLAND INC COM          CMN            O42241592    1,455     28,600 SH  CALL SOLE       1            28,600          0    0
AT&T INC COM             CMN            00206R102    1,821     62,000 SH       DEFINED    2                       62,000    0
AT&T INC COM             CMN            00206R102    2,129     72,477 SH       DEFINED    2                       72,477    0
ATRIUM CMN               CMN            49991326         -      3,609 SH       SOLE       4             3,609          0    0
AUTOMATIC DATA PROCE     CMN            053015103      428      9,246 SH       SOLE       2             9,246          0    0
AVENTINE RENEWABLE       CMN            05356X601      184        749 SH       SOLE       4               749          0    0
AVENTINE RENEWABLE       CMN            05356X502    8,132     33,191 SH       SOLE       4            33,191          0    0
AVIS BUDGET GROUP IN     CMN            053774105    4,358    280,000 SH       SOLE       2           280,000          0    0
AVIS BUDGET GROUP IN     CMN            O51447192    1,790    115,000 SH  CALL SOLE       1           115,000          0    0
AVON PRODUCTS INC        CMN            054303102      731     25,157 SH       SOLE       2            25,157          0    0
AVRW CS                  CMN            05356X700   24,649    103,785 SH       SOLE       4           103,785          0    0
BAKER HUGHES INC         CMN            057224107      840     14,692 SH       SOLE       2            14,692          0    0
BANCO SANTANDER SA       CMN            05964H105      639     60,000 SH       DEFINED    2                       60,000    0
BANCO SANTANDER SA       CMN            05964H105    1,151    108,000 SH       DEFINED    2                      108,000    0
BANK OF AMERICA CORP     CMN            060505104   24,388  1,827,672 SH       DEFINED    2                    1,827,672    0
BANK OF AMERICA CORP     CMN            060505104    2,378    178,247 SH       DEFINED    2                      178,247    0
BANK OF AMERICA CORP     CMN            060505104    3,938    295,132 SH       DEFINED    1                      295,132    0
BANK OF AMERICA CORP     CMN            060505104       83      6,200 SH       DEFINED    3                 0      6,200    0
BANK OF AMERICA CORP     CMN            O03922096    5,338    400,000 SH  PUT  SOLE       1           400,000          0    0
BANK OF AMERICA CORP     CMN            O03922596    3,847    288,300 SH  PUT  SOLE       1           288,300          0    0
BANK OF AMERICA CORP     CMN            O36660594      356     26,700 SH  PUT  SOLE       1            26,700          0    0
BANK OF AMERICA CORP     CMN            O44567094    2,669    200,000 SH  PUT  SOLE       1           200,000          0    0
BANK OF AMERICA CORP     CMN            O72819898    5,338    400,000 SH  PUT  SOLE       1           400,000          0    0
BANK OF AMERICA CORP     CMN            O92386390    6,713    503,100 SH  PUT  SOLE       1           503,100          0    0
BANK OF AMERICA CORP     CMN            O94338394    5,299    397,100 SH  PUT  SOLE       1           397,100          0    0
BANK OF AMERICA CORP     CMN            O03918690    3,847    288,300 SH  CALL SOLE       1           288,300          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
BANK OF AMERICA CORP     CMN            O29796298    3,336    250,000 SH  CALL SOLE       1           250,000          0    0
BANK OF AMERICA CORP     CMN            O44474092   24,577  1,841,800 SH  CALL SOLE       1         1,841,800          0    0
BANK OF AMERICA CORP     CMN            O44475092    1,010     75,700 SH  CALL SOLE       1            75,700          0    0
BANK OF AMERICA CORP     CMN            O44476092    2,335    175,000 SH  CALL SOLE       1           175,000          0    0
BANK OF NEW YORK MEL     CMN            064058100       13        434 SH       DEFINED    2                          434    0
BANK OF NEW YORK MEL     CMN            064058100    1,380     45,691 SH       DEFINED    1                       45,691    0
BARNES & NOBLE INC C     CMN            067774109      228     16,071 SH       SOLE       2            16,071          0    0
BARRICK GOLD CORP        CMN            067901108      641     12,049 SH       SOLE       2            12,049          0    0
BAXTER INTERNATIONAL     CMN            071813109      454      8,966 SH       SOLE       2             8,966          0    0
BB&T CORP                CMN            054937107       15        560 SH       DEFINED    2                          560    0
BB&T CORP                CMN            054937107      803     30,533 SH       DEFINED    1                       30,533    0
BB&T CORP                CMN            O16766694    2,001     76,100 SH  CALL SOLE       1            76,100          0    0
BEAZER HOMES USA INC     CMN            07556Q105      282     52,300 SH       SOLE       1            52,300          0    0
BEAZER HOMES USA INC     CMN            075896100    1,285     26,148 SH       SOLE       2            26,148          0    0
BERKSHIRE HATHAWAY I     CMN            084670108        -        400 SH       SOLE       2               400          0    0
BERKSHIRE HATHAWAY I     CMN            084670702      132      1,653 SH       DEFINED    2                        1,653    0
BERKSHIRE HATHAWAY I     CMN            084670702    4,081     50,939 SH       DEFINED    1                       50,939    0
BEST BUY CO INC          CMN            086516101        9        261 SH       DEFINED    2                          261    0
BEST BUY CO INC          CMN            086516101    1,147     33,457 SH       DEFINED    1                       33,457    0
BEST BUY CO INC          CMN            O45374092    6,324    184,400 SH  CALL SOLE       1           184,400          0    0
BHP BILLITON LTD         CMN            088606108    3,019     32,486 SH       SOLE       2            32,486          0    0
BIOMARIN PHARMACEUTI     CMN            O48669594      479     17,800 SH  CALL SOLE       1            17,800          0    0
BIOMARIN PHARMACEUTI     CMN            O48670092      512     19,000 SH  CALL SOLE       1            19,000          0    0
BJ'S RESTAURANTS INC     CMN            09180C106      254      7,174 SH       SOLE       2             7,174          0    0
BLACKROCK INC            CMN            09247X101       67        354 SH       DEFINED    2                          354    0
BLACKROCK INC            CMN            09247X101      521      2,732 SH       DEFINED    1                        2,732    0
BLUE COAT SYSTEMS IN     CMN            09534T508    8,945    299,406 SH       SOLE       2           299,406          0    0
BOEING CO COM USD5       CMN            097023105    3,403     52,147 SH       SOLE       2            52,147          0    0
BRIGHAM EXPLORATION      CMN            109178103      246      9,016 SH       SOLE       2             9,016          0    0
BRISTOL-MYERS SQUIBB     CMN            110122108      216      8,148 SH       SOLE       2             8,148          0    0
BROADCOM CORP            CMN            111320107    1,343     30,839 SH       SOLE       2            30,839          0    0
BROCADE COMMUNICATIO     CMN            111621306      475     89,600 SH       SOLE       2            89,600          0    0
BRODER BROTHERS CMN      CMN            112990387    8,967    298,907 SH       SOLE       4           298,907          0    0
BUCYRUS INTERNATIONA     CMN            118759109   86,538    967,923 SH       SOLE       2           967,923          0    0
BUCYRUS INTERNATIONA     CMN            O50620196    4,470     50,000 SH  PUT  SOLE       1            50,000          0    0
BUNGE LTD                CMN            G16962105    2,081     31,767 SH       SOLE       2            31,767          0    0
CALEDONIA MINING COR     CMN            12932K103        9     55,000 SH       SOLE       2            55,000          0    0
CAMECO CORP              CMN            13321L108      275      6,800 SH       SOLE       2             6,800          0    0
Canadian Solar Inc       CMN            136635109       43      3,500 SH       SOLE       3             3,500          0    0
CAPITAL ONE FINANCIA     CMN            14040H105      244      5,726 SH       DEFINED    2                        5,726    0
CAPITAL ONE FINANCIA     CMN            14040H105      571     13,420 SH       DEFINED    1                       13,420    0
CARMAX INC               CMN            143130102    1,744     54,716 SH       SOLE       2            54,716          0    0
CARNIVAL CORP            CMN            143658300      445      9,658 SH       SOLE       2             9,658          0    0
CATERPILLAR INC          CMN            149123101    3,949     42,160 SH       SOLE       2            42,160          0    0
CATERPILLAR INC          CMN            O51554196   17,795    190,000 SH  PUT  SOLE       1           190,000          0    0
CB RICHARD ELLIS GRO     CMN            12497T101        -      2,104 SH       SOLE       2             2,104          0    0
CELL THERAPEUTICS IN     CMN            150934503    3,410  9,490,000 SH       SOLE       2         9,490,000          0    0
CEMEX SAB DE CV          CMN            151290889  392,299 36,652,780 SH       DEFINED    2                   36,652,780    0
CEMEX SAB DE CV          CMN            151290889  468,762 43,796,760 SH       DEFINED    2                   43,796,760    0
CENTRAL EUROPEAN DIS     CMN            153435102      525     22,902 SH       SOLE       2            22,902          0    0
CENTURY ALUMINUM CO      CMN            156431108      507     32,652 SH       SOLE       2            32,652          0    0
CEPHALON INC             CMN            156708109   19,120    309,792 SH       DEFINED    2                      309,792    0
CEPHALON INC             CMN            156708109   23,676    383,607 SH       DEFINED    2                      383,607    0
CF INDUSTRIES HOLDIN     CMN            125269100      397      2,935 SH       SOLE       2             2,935          0    0
CF INDUSTRIES HOLDIN     CMN            O52874392    3,109     23,000 SH  CALL SOLE       1            23,000          0    0
CH ROBINSON WORLDWID     CMN            O54480190   16,038    200,000 SH  CALL SOLE       1           200,000          0    0
CHARLES RIVER LABORA     CMN            159864107    2,661     74,848 SH       DEFINED    2                       74,848    0
CHARLES RIVER LABORA     CMN            159864107    5,250    147,696 SH       DEFINED    2                      147,696    0
CHEESECAKE FACTORY       CMN            163072101      980     31,980 SH       SOLE       2            31,980          0    0
CHEVRON CORP             CMN            166764100      694      7,600 SH       DEFINED    2                        7,600    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
CHEVRON CORP             CMN            166764100    2,792     30,597 SH       DEFINED    2                       30,597    0
CHILDRENS PLACE RETA     CMN            168905107      350      7,052 SH       SOLE       2             7,052          0    0
CHIMERA INVT             CMN            16934Q109      122     29,665 SH       SOLE       1            29,665          0    0
CHIQUITA BRANDS INTE     CMN            170032809      313     22,300 SH       SOLE       1            22,300          0    0
CHIQUITA BRANDS INTE     CMN            O56668094    1,355     96,700 SH  CALL SOLE       1            96,700          0    0
CHIQUITA BRANDS INTE     CMN            O58012198    1,261     90,000 SH  CALL SOLE       1            90,000          0    0
CHMT CS                  CMN            163893209   55,437    346,916 SH       SOLE       4           346,916          0    0
CHTR CS                  CMN            16117M305  103,200    265,023 SH       SOLE       4           265,023          0    0
CHUBB CORP COM USD1      CMN            171232101      240      4,024 SH       DEFINED    2                        4,024    0
CHUBB CORP COM USD1      CMN            171232101      534      8,953 SH       DEFINED    1                        8,953    0
CHUBB CORP COM USD1      CMN            O51631194   23,856    400,000 SH  CALL SOLE       1           400,000          0    0
CIA SIDERURGICA NACI     CMN            20440W105   13,499    809,713 SH       DEFINED    2                      809,713    0
CIA SIDERURGICA NACI     CMN            20440W105   27,729  1,663,208 SH       DEFINED    2                    1,663,208    0
CIENA CORP               CMN            171779309    1,254     59,584 SH       DEFINED    2                       59,584    0
CIENA CORP               CMN            171779309    1,654     78,600 SH       DEFINED    1                       78,600    0
CIENA CORP               CMN            O54746692    6,314    300,000 SH  CALL SOLE       1           300,000          0    0
CIENA CORP               CMN            O65830594    6,314    300,000 SH  CALL SOLE       1           300,000          0    0
CISCO SYSTEMS INC        CMN            17275R102      744     36,750 SH       DEFINED    2                       36,750    0
CISCO SYSTEMS INC        CMN            17275R102    1,790     88,444 SH       DEFINED    2                       88,444    0
CIT CS                   CMN            125581801    3,073      6,524 SH       SOLE       4             6,524          0    0
CIT GROUP INC            CMN            125581801       19        395 SH       DEFINED    2                          395    0
CIT GROUP INC            CMN            125581801      267      5,666 SH       DEFINED    1                        5,666    0
CIT GROUP INC            CMN            O54972192      754     16,000 SH  PUT  SOLE       1            16,000          0    0
CITIGROUP INC            CMN            172967101   11,300  2,386,874 SH       DEFINED    2                    2,386,874    0
CITIGROUP INC            CMN            172967101   32,750  6,917,459 SH       DEFINED    2                    6,917,459    0
CITIGROUP INC            CMN            172967101    9,205  1,944,329 SH       DEFINED    1                    1,944,329    0
CITIGROUP INC            CMN            172967101      425     89,800 SH       DEFINED    3                 0     89,800    0
CITIGROUP INC            CMN            O67777692    6,510  1,375,000 SH  CALL SOLE       1         1,375,000          0    0
CITIGROUP INC            CMN            O67780690   11,377  2,403,100 SH  CALL SOLE       1         2,403,100          0    0
CITIGROUP INC            CMN            O97721696    4,734  1,000,000 SH  CALL SOLE       1         1,000,000          0    0
CITRIX SYSTEMS INC       CMN            177376100      259      3,793 SH       SOLE       2             3,793          0    0
CLIFFS NATURAL RESOU     CMN            18683K101    1,010     12,943 SH       SOLE       2            12,943          0    0
CLIFFS NATURAL RESOU     CMN            O65951396    5,851     75,000 SH  PUT  SOLE       1            75,000          0    0
CME GROUP INC            CMN            12572Q105        8         25 SH       DEFINED    2                           25    0
CME GROUP INC            CMN            12572Q105      615      1,911 SH       DEFINED    1                        1,911    0
COACH INC                CMN            189754104      555     10,032 SH       SOLE       2            10,032          0    0
COCA-COLA CO             CMN            191216100    1,450     22,052 SH       SOLE       2            22,052          0    0
COINSTAR INC             CMN            19259P300    4,423     78,368 SH       DEFINED    2                       78,368    0
COINSTAR INC             CMN            19259P300    2,972     52,655 SH       DEFINED    1                       52,655    0
COLGATE-PALMOLIVE CO     CMN            194162103    1,574     19,589 SH       SOLE       2            19,589          0    0
COMCAST CORP             CMN            20030N101    3,363    153,067 SH       SOLE       2           153,067          0    0
COMERICA INC COM USD     CMN            200340107       32        763 SH       DEFINED    2                          763    0
COMERICA INC COM USD     CMN            200340107      191      4,517 SH       DEFINED    1                        4,517    0
COMMSCOPE INC            CMN            203372107  104,058  3,333,200 SH       SOLE       2         3,333,200          0    0
COMSTOCK MINING INC      CMN            205750102      138     40,000 SH       SOLE       2            40,000          0    0
CONOCOPHILLIPS           CMN            20825C104      391      5,736 SH       SOLE       2             5,736          0    0
CONOCOPHILLIPS           CMN            O57499198      409      6,000 SH  PUT  SOLE       1             6,000          0    0
CONOCOPHILLIPS           CMN            O57500190   23,390    343,500 SH  PUT  SOLE       1           343,500          0    0
CONOCOPHILLIPS           CMN            O57510198   10,214    150,000 SH  PUT  SOLE       1           150,000          0    0
CONOCOPHILLIPS           CMN            O57467694   54,107    794,600 SH  CALL SOLE       1           794,600          0    0
CONOCOPHILLIPS           CMN            O92521896    6,612     97,100 SH  CALL SOLE       1            97,100          0    0
CONSUMER STAPLES SPD     CMN            81369Y308      360     12,288 SH       SOLE       2            12,288          0    0
COORS(ADOLPH)CO          CMN            60871R209        7        141 SH       DEFINED    2                          141    0
COORS(ADOLPH)CO          CMN            60871R209      788     15,700 SH       DEFINED    1                       15,700    0
CORE MARK HOLDINGS C     CMN            218681104      700      1,966 SH       SOLE       4             1,966          0    0
CORNING INC              CMN            219350105      771     39,936 SH       DEFINED    2                       39,936    0
CORNING INC              CMN            219350105    4,056    210,000 SH       DEFINED    1                      210,000    0
CORNING INC              CMN            O78634294    6,348    328,700 SH  CALL SOLE       1           328,700          0    0
COSTCO WHOLESALE COR     CMN            22160K105      245      3,392 SH       SOLE       2             3,392          0    0
COVANCE INC              CMN            222816100   16,568    322,290 SH       DEFINED    2                      322,290    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
COVANCE INC              CMN            222816100       39        755 SH       DEFINED    2                          755    0
COVENTRY HEALTH CARE     CMN            222862104        4        160 SH       DEFINED    2                          160    0
COVENTRY HEALTH CARE     CMN            222862104      871     32,992 SH       DEFINED    1                       32,992    0
CREE INC COM USD0.00     CMN            225447101    1,750     26,566 SH       SOLE       2            26,566          0    0
CSX CORP COM USD1        CMN            126408103      484      7,484 SH       SOLE       2             7,484          0    0
Ctrip.com Internatio     CMN            22943F100       49      1,200 SH       SOLE       3             1,200          0    0
CUBIST PHARMACEUTICA     CMN            229678107      219     10,235 SH       SOLE       1            10,235          0    0
CUMMINS INC              CMN            231021106    1,475     13,406 SH       SOLE       2            13,406          0    0
CUMMINS INC              CMN            O45870592    5,501     50,000 SH  PUT  SOLE       1            50,000          0    0
CURRENCYSHARES EURO      CMN            O49680590   31,943    240,000 SH  PUT  SOLE       1           240,000          0    0
CVS CAREMARK CORP        CMN            O60301190    3,595    103,400 SH  CALL SOLE       1           103,400          0    0
CYMER INC                CMN            O05410790    5,191    115,200 SH  CALL SOLE       1           115,200          0    0
DANAHER CORP             CMN            235851102      139      2,954 SH       DEFINED    2                        2,954    0
DANAHER CORP             CMN            235851102      387      8,206 SH       DEFINED    1                        8,206    0
DEERE & CO               CMN            244199105      234      2,812 SH       SOLE       2             2,812          0    0
DEERE & CO               CMN            O92646592   10,447    125,800 SH  PUT  SOLE       1           125,800          0    0
DEL MONTE FOODS CO       CMN            24522P103   20,953  1,114,702 SH       DEFINED    2                    1,114,702    0
DEL MONTE FOODS CO       CMN            24522P103       28      1,500 SH       DEFINED    1                        1,500    0
DELTA AIR LINES INC      CMN            247361702    1,998     15,854 SH       SOLE       4            15,854          0    0
DELTA AIR LINES INC      CMN            247361702    1,503    119,327 SH       DEFINED    2                      119,327    0
DELTA AIR LINES INC      CMN            247361702    1,001     79,500 SH       DEFINED    1                       79,500    0
DEVON ENERGY CORP        CMN            O68119098    1,178     15,000 SH  PUT  SOLE       1            15,000          0    0
DEVON ENERGY CORP        CMN            O98856596    5,889     75,000 SH  CALL SOLE       1            75,000          0    0
DEXO CS                  CMN            25212W100   35,206    471,933 SH       SOLE       4           471,933          0    0
DIAMOND OFFSHORE DRI     CMN            25271C102      810     12,107 SH       SOLE       2            12,107          0    0
DIREXION DAILY REAL      CMN            25459W755   11,363    200,000 SH       SOLE       1           200,000          0    0
DIREXIONSHARES MID C     CMN            25459W524      936    100,000 SH       SOLE       1           100,000          0    0
DISCOVER FINANCIAL S     CMN            254709108        4        195 SH       DEFINED    2                          195    0
DISCOVER FINANCIAL S     CMN            254709108      286     15,433 SH       DEFINED    1                       15,433    0
DISCOVERY COMMUNICAT     CMN            25470F104      934     22,391 SH       DEFINED    2                       22,391    0
DISCOVERY COMMUNICAT     CMN            25470F104       25        600 SH       DEFINED    1                          600    0
DOLLAR THRIFTY AUTOM     CMN            256743105   73,402  1,552,970 SH       SOLE       2         1,552,970          0    0
DOLLAR THRIFTY AUTOM     CMN            O38003790    6,400    135,400 SH  PUT  SOLE       1           135,400          0    0
DOMINION RESOURCES I     CMN            25746U109      427     10,000 SH       DEFINED    2                       10,000    0
DOMINION RESOURCES I     CMN            25746U109        2         41 SH       DEFINED    2                           41    0
DOW CHEMICAL CO          CMN            O28508690    1,195     35,000 SH  PUT  SOLE       1            35,000          0    0
DOW CHEMICAL CO          CMN            O97963694      512     15,000 SH  PUT  SOLE       1            15,000          0    0
DOW CHEMICAL CO          CMN            260543103       76      2,220 SH       SOLE       3             2,220          0    0
DR HORTON INC COM US     CMN            23331A109    2,688    225,210 SH       SOLE       2           225,210          0    0
DRYSHIPS INC COM USD     CMN            Y2109Q101      615    112,200 SH       SOLE       2           112,200          0    0
DST SYSTEMS INC COM      CMN            233326107    8,913    201,000 SH       SOLE       2           201,000          0    0
DU PONT EI DE NEMOUR     CMN            263534109      491      9,849 SH       SOLE       2             9,849          0    0
DYNEGY INC COM STK       CMN            26817G300    1,688    300,000 SH       SOLE       2           300,000          0    0
E*TRADE FINANCIAL        CMN            O60557296   20,320  1,270,000 SH  CALL SOLE       1         1,270,000          0    0
EARTHLINK INC            CMN            270321102      418     48,634 SH       SOLE       2            48,634          0    0
EBAY INC                 CMN            278642103      263      9,446 SH       SOLE       2             9,446          0    0
EDWARDS LIFESCIENCES     CMN            28176E108      801      9,908 SH       SOLE       2             9,908          0    0
ELECTRONIC ARTS INC      CMN            285512109      231     14,132 SH       SOLE       2            14,132          0    0
ELI LILLY & CO COM       CMN            532457108      200      5,694 SH       DEFINED    2                        5,694    0
ELI LILLY & CO COM       CMN            532457108    3,505    100,000 SH       DEFINED    1                      100,000    0
EMC CORP/MASSACHUSET     CMN            268648102       36      1,576 SH       DEFINED    2                        1,576    0
EMC CORP/MASSACHUSET     CMN            268648102    2,982    130,200 SH       DEFINED    1                      130,200    0
EMERSON ELECTRIC CO      CMN            291011104      667     11,663 SH       SOLE       2            11,663          0    0
ENTERGY CORP COM USD     CMN            29364G103   14,519    204,987 SH       DEFINED    2                      204,987    0
ENTERGY CORP COM USD     CMN            29364G103   15,154    213,961 SH       DEFINED    2                      213,961    0
EQUINIX INC COM NPV      CMN            29444U502   11,589    142,606 SH       DEFINED    2                      142,606    0
EQUINIX INC COM NPV      CMN            29444U502    7,168     88,200 SH       DEFINED    2                       88,200    0
EXCO RESOURCES INC C     CMN            269279402    8,860    456,196 SH       SOLE       2           456,196          0    0
EXELIXIS INC COM USD     CMN            30161Q104      139     17,000 SH       SOLE       2            17,000          0    0
EXELON CORP COM NPV      CMN            30161N101    2,105     50,540 SH       SOLE       2            50,540          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
EXPEDIA INC COM STK      CMN            30212P105      266     10,584 SH       SOLE       2            10,584          0    0
EXPEDITORS INTL WASH     CMN            302130109      871     15,960 SH       SOLE       2            15,960          0    0
EXPEDITORS INTL WASH     CMN            O09071598    6,890    126,200 SH  PUT  SOLE       1           126,200          0    0
EXPRESS SCRIPTS INC      CMN            302182100    1,590     29,420 SH       SOLE       2            29,420          0    0
EXPRESS SCRIPTS INC      CMN            O64453396    1,919     35,500 SH  PUT  SOLE       1            35,500          0    0
EXXON MOBIL CORP COM     CMN            30231G102    7,152     97,800 SH       DEFINED    2                       97,800    0
EXXON MOBIL CORP COM     CMN            30231G102    5,960     81,501 SH       DEFINED    2                       81,501    0
EXXON MOBIL CORP COM     CMN            O23334294    3,656     50,000 SH  PUT  SOLE       1            50,000          0    0
EXXON MOBIL CORP COM     CMN            O23277192    7,313    100,000 SH  CALL SOLE       1           100,000          0    0
EZCORP INC CL'A'COM      CMN            302301106      232      8,570 SH       SOLE       2             8,570          0    0
F5 NETWORKS INC COM      CMN            O33030094    2,343     18,000 SH  PUT  SOLE       1            18,000          0    0
F5 NETWORKS INC COM      CMN            O43402890    4,686     36,000 SH  CALL SOLE       1            36,000          0    0
FAIRLAND MGNT COMMON     CMN            305059107        -      8,000 SH       SOLE       4             8,000          0    0
FEMO CS                  CMN            313549404   12,721     61,602 SH       SOLE       4            61,602          0    0
FIDELITY NATIONAL IN     CMN            31620M106       60      2,202 SH       DEFINED    2                        2,202    0
FIDELITY NATIONAL IN     CMN            31620M106      203      7,400 SH       DEFINED    1                        7,400    0
FIFTH THIRD BANCORP      CMN            316773100       50      3,385 SH       DEFINED    2                        3,385    0
FIFTH THIRD BANCORP      CMN            316773100      327     22,292 SH       DEFINED    1                       22,292    0
FIN SELECT SECTOR SP     CMN            81369Y605   12,076    756,970 SH       SOLE       1           756,970          0    0
FIN SELECT SECTOR SP     CMN            O22343792   15,953  1,000,000 SH  PUT  SOLE       1         1,000,000          0    0
FIN SELECT SECTOR SP     CMN            O36618098   18,091  1,134,000 SH  PUT  SOLE       1         1,134,000          0    0
FIN SELECT SECTOR SP     CMN            O36618598   13,038    817,300 SH  PUT  SOLE       1           817,300          0    0
FIN SELECT SECTOR SP     CMN            O22260194   27,175  1,703,400 SH  CALL SOLE       1         1,703,400          0    0
FIN SELECT SECTOR SP     CMN            O36610598    1,372     86,000 SH  CALL SOLE       1            86,000          0    0
FINANCIAL BEAR 3X SH     CMN            25459W490       28      3,000 SH       DEFINED    2                        3,000    0
FINANCIAL BEAR 3X SH     CMN            25459W490   21,742  2,300,000 SH       DEFINED    1                    2,300,000    0
FINISAR CORP USD0.00     CMN            31787A507      131      4,400 SH       DEFINED    2                        4,400    0
FINISAR CORP USD0.00     CMN            31787A507    1,763     59,400 SH       DEFINED    1                       59,400    0
FINISH LINE CLASS'A'     CMN            317923100      521     30,300 SH       SOLE       2            30,300          0    0
FINISH LINE CLASS'A'     CMN            O07678390    3,391    197,300 SH  CALL SOLE       1           197,300          0    0
FIRST NIAGARA FINANC     CMN            33582V108      155     11,106 SH       SOLE       1            11,106          0    0
FISERV INC COM USD0.     CMN            337738108      556      9,487 SH       SOLE       2             9,487          0    0
FLEXTRONICS INTERNAT     CMN            Y2573F102    1,355    172,743 SH       SOLE       2           172,743          0    0
FLOWSERVE CORP COM U     CMN            O08953194    4,399     36,900 SH  PUT  SOLE       1            36,900          0    0
FLUOR CORP COM USD0.     CMN            343412102    1,568     23,666 SH       SOLE       2            23,666          0    0
FMC CORP COM STK USD     CMN            302491303      479      5,995 SH       SOLE       2             5,995          0    0
FOCUS MEDIA HOLDING      CMN            34415V109    7,908    360,489 SH       DEFINED    2                      360,489    0
FOCUS MEDIA HOLDING      CMN            34415V109   14,871    677,900 SH       DEFINED    2                      677,900    0
FORD MOTOR CO COM ST     CMN            345370860      804     47,873 SH       SOLE       2            47,873          0    0
FORD MOTOR CO COM ST     CMN            345370134   10,195  1,250,000 SH       DEFINED    2                    1,250,000    0
FORD MOTOR CO COM ST     CMN            345370134    7,556    926,353 SH       DEFINED    2                      926,353    0
FORD MOTOR CO COM ST     CMN            345370134      378     46,361 SH       DEFINED    1                       46,361    0
FORD MOTOR CO COM ST     CMN            O21776292    5,039    300,000 SH  PUT  SOLE       1           300,000          0    0
FORD MOTOR CO COM ST     CMN            O21779292    2,642    157,300 SH  PUT  SOLE       1           157,300          0    0
FORD MOTOR CO COM ST     CMN            O48925096   41,992  2,500,000 SH  PUT  SOLE       1         2,500,000          0    0
FORD MOTOR CO COM ST     CMN            O37109590    2,642    157,300 SH  CALL SOLE       1           157,300          0    0
FORD MOTOR CO COM ST     CMN            O93028296   16,797  1,000,000 SH  CALL SOLE       1         1,000,000          0    0
FORD MOTOR CO COM ST     CMN            O94170592    4,199    250,000 SH  CALL SOLE       1           250,000          0    0
FOREST CITY ENTS CLA     CMN            345550107    2,381    142,703 SH       DEFINED    2                      142,703    0
FOREST CITY ENTS CLA     CMN            345550107    4,704    281,864 SH       DEFINED    2                      281,864    0
FOREST CITY ENTS CLA     CMN            345550107       63      3,770 SH       DEFINED    1                        3,770    0
FORTINET INC USD0.00     CMN            34959E109    1,597     49,368 SH       SOLE       2            49,368          0    0
FORTRESS INVESTMENT      CMN            34958B106  217,151 60,487,666 SH       SOLE       1        60,487,666          0    0
FOSTER WHEELER AG CH     CMN            H27178104      686     19,878 SH       SOLE       2            19,878          0    0
FRANKLIN RESOURCES I     CMN            354613101       54        482 SH       DEFINED    2                          482    0
FRANKLIN RESOURCES I     CMN            354613101      487      4,379 SH       DEFINED    1                        4,379    0
FREEPORT-MCMORAN COP     CMN            35671D857    1,151      9,586 SH       DEFINED    2                        9,586    0
FREEPORT-MCMORAN COP     CMN            35671D857   13,078    108,900 SH       DEFINED    1                      108,900    0
GAP INC/THE COM USD0     CMN            364760108    4,850    219,075 SH       SOLE       2           219,075          0    0
GARMIN LTD USD10         CMN            H2906T109      297      9,577 SH       SOLE       2             9,577          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
GATEWAY CASINOS CMN      CMN            367990595   18,120  2,831,308 SH       SOLE       4         2,831,308          0    0
GAYLORD ENTERTAINMEN     CMN            367905106    2,277     63,357 SH       SOLE       2            63,357          0    0
GENERAL CABLE CORP C     CMN            369300108      383     10,918 SH       SOLE       2            10,918          0    0
GENERAL DYNAMICS COR     CMN            369550108      648      9,133 SH       SOLE       2             9,133          0    0
GENERAL ELECTRIC CO      CMN            369604103      163      8,900 SH       DEFINED    3                 0      8,900    0
GENERAL ELECTRIC CO      CMN            369604103    3,412    186,500 SH       DEFINED    2                      186,500    0
GENERAL ELECTRIC CO      CMN            369604103   10,695    584,552 SH       DEFINED    2                      584,552    0
GENERAL ELECTRIC CO      CMN            369604103    1,669     91,212 SH       DEFINED    1                       91,212    0
GENERAL ELECTRIC CO      CMN            O13776692    5,123    280,000 SH  PUT  SOLE       1           280,000          0    0
GENERAL ELECTRIC CO      CMN            O13719198    2,745    150,000 SH  CALL SOLE       1           150,000          0    0
GENERAL ELECTRIC CO      CMN            O13720196    9,880    540,000 SH  CALL SOLE       1           540,000          0    0
GENERAL MILLS INC CO     CMN            O12812898      345      9,700 SH  CALL SOLE       1             9,700          0    0
GENERAL MILLS INC CO     CMN            O14625196    9,080    255,100 SH  CALL SOLE       1           255,100          0    0
GENERAL MILLS INC CO     CMN            O31888290   26,236    737,100 SH  CALL SOLE       1           737,100          0    0
GENERAL MILLS INC CO     CMN            O31891798      801     22,500 SH  CALL SOLE       1            22,500          0    0
GENERAL MOTORS CO 0.     CMN            O24674192      850     23,072 SH       SOLE       3            23,072          0    0
GENERAL MOTORS CO 0.     CMN            37045V100    7,412    201,091 SH       SOLE       2           201,091          0    0
GENERAL MOTORS CO 0.     CMN            O24674192    7,372    200,000 SH  CALL SOLE       1           200,000          0    0
GENERAL MOTORS CO 0.     CMN            O24684090   18,430    500,000 SH  CALL SOLE       1           500,000          0    0
GENON ENERGY INC COM     CMN            O32349492      953    250,000 SH  PUT  SOLE       1           250,000          0    0
GENZYME CORP COM USD     CMN            372917104   20,549    288,593 SH       SOLE       2           288,593          0    0
GERBER SCIENTIFIC IN     CMN            373730100      509     64,573 SH       SOLE       1            64,573          0    0
GERON CORP COM USD0.     CMN            374163103    1,109    213,830 SH       SOLE       1           213,830          0    0
GGC CS                   CMN            373200302   30,256    125,754 SH       SOLE       4           125,754          0    0
GILEAD SCIENCES INC      CMN            375558103   25,337    699,250 SH       DEFINED    2                      699,250    0
GILEAD SCIENCES INC      CMN            375558103      714     19,708 SH       DEFINED    2                       19,708    0
GLOBAL CROSSING COMM     CMN            G3921A175        0          - SH       SOLE       4                 -          0    0
GOL LINHAS AEREAS SP     CMN            38045R107      631     41,058 SH       SOLE       2            41,058          0    0
GOLDCORP INC COM NPV     CMN            380956409      450      9,777 SH       SOLE       2             9,777          0    0
GOLDCORP INC COM NPV     CMN            O53013898    5,394    117,300 SH  CALL SOLE       1           117,300          0    0
GOOGLE INC COM USD0.     CMN            38259P508       81        137 SH       DEFINED    2                          137    0
GOOGLE INC COM USD0.     CMN            38259P508    5,948     10,014 SH       DEFINED    2                       10,014    0
GRAY TELEVISION INC      CMN            389375106    5,610  2,992,213 SH       SOLE       1         2,992,213          0    0
GROUP 1 AUTOMOTIVE I     CMN            398905109      351      8,400 SH       SOLE       1             8,400          0    0
GT SOLAR INTERNATION     CMN            3623E0209    6,205    680,000 SH       SOLE       2           680,000          0    0
HAIGHT CMN               CMN            92670002       832     18,480 SH       SOLE       4            18,480          0    0
HALLIBURTON CO COM U     CMN            406216101      780     19,113 SH       SOLE       2            19,113          0    0
HALLIBURTON CO COM U     CMN            O28860294    9,390    230,000 SH  PUT  SOLE       1           230,000          0    0
HARTFORD FINANCIAL S     CMN            416515104    5,276    199,196 SH       SOLE       2           199,196          0    0
HASBRO INC COM USD0.     CMN            418056107        5        106 SH       DEFINED    2                          106    0
HASBRO INC COM USD0.     CMN            418056107      198      4,200 SH       DEFINED    1                        4,200    0
HAYES LEMMERZ STOCK      CMN            420781403   10,158     21,162 SH       SOLE       4            21,162          0    0
HENRY SCHEIN CORP CO     CMN            806407102      498      8,118 SH       SOLE       2             8,118          0    0
HEWLETT-PACKARD CO C     CMN            428236103    8,844    210,100 SH       DEFINED    2                      210,100    0
HEWLETT-PACKARD CO C     CMN            428236103    6,895    163,812 SH       DEFINED    2                      163,812    0
HOLOGIC INC COM USD0     CMN            436440101      108      5,739 SH       DEFINED    2                        5,739    0
HOLOGIC INC COM USD0     CMN            436440101    1,251     66,500 SH       DEFINED    1                       66,500    0
HOME DEPOT INC COM U     CMN            437076102      439     12,514 SH       SOLE       2            12,514          0    0
HOME INNS & HOTEL SP     CMN            43713W107      819     20,000 SH       SOLE       2            20,000          0    0
HONEYWELL INTERNATIO     CMN            438516106    1,895     35,646 SH       SOLE       2            35,646          0    0
HORNBECK OFFSHORE C/     CMN            440543106    1,645      7,876 SH       SOLE       4             7,876          0    0
HUDSON CITY BANCORP      CMN            443683107        2        189 SH       DEFINED    2                          189    0
HUDSON CITY BANCORP      CMN            443683107      175     13,752 SH       DEFINED    1                       13,752    0
HUGHES COMMUNICATION     CMN            444398101   40,453  1,000,000 SH       DEFINED    2                    1,000,000    0
HUGHES COMMUNICATION     CMN            444398101   54,814  1,355,005 SH       DEFINED    2                    1,355,005    0
HUGHES ELECTRONICS C     CMN            25490A101    4,276    107,076 SH       DEFINED    2                      107,076    0
HUGHES ELECTRONICS C     CMN            25490A101    5,340    133,720 SH       DEFINED    2                      133,720    0
HUGHES ELECTRONICS C     CMN            O98746592    2,452     61,400 SH  PUT  SOLE       1            61,400          0    0
HUNT (J.B.) TRANSPOR     CMN            445658107       49      1,192 SH       DEFINED    2                        1,192    0
HUNT (J.B.) TRANSPOR     CMN            445658107    2,576     63,125 SH       DEFINED    1                       63,125    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
HUNTINGTON BANCSHARE     CMN            446150104       38      5,528 SH       DEFINED    2                        5,528    0
HUNTINGTON BANCSHARE     CMN            446150104      144     20,884 SH       DEFINED    1                       20,884    0
Ibero-America Fund I     CMN            45082X103       25      3,800 SH       SOLE       3             3,800          0    0
ICICI BANK LTD INR10     CMN            45104G104       43        846 SH       DEFINED    2                          846    0
ICICI BANK LTD INR10     CMN            45104G104    5,763    113,800 SH       DEFINED    2                      113,800    0
ILLINOIS TOOL WORKS      CMN            452308109      257      4,803 SH       SOLE       2             4,803          0    0
INDUSTRIAL SELECT SE     CMN            81369Y704      105      3,000 SH       DEFINED    2                        3,000    0
INDUSTRIAL SELECT SE     CMN            81369Y704      406     11,635 SH       DEFINED    2                       11,635    0
INDUSTRIAL SELECT SE     CMN            O22525196    3,488    100,000 SH  PUT  SOLE       1           100,000          0    0
INDUSTRIAL SELECT SE     CMN            O22528196    8,719    250,000 SH  PUT  SOLE       1           250,000          0    0
INDUSTRIAL SELECT SE     CMN            O22531194    8,719    250,000 SH  PUT  SOLE       1           250,000          0    0
INDUSTRIAL SELECT SE     CMN            O22454696    3,488    100,000 SH  CALL SOLE       1           100,000          0    0
INDUSTRIAL SELECT SE     CMN            O36624896      715     20,500 SH  CALL SOLE       1            20,500          0    0
Infosys Technologies     CMN            456788101    1,522      2,000                                       0          0    0
INFOSYS TECHNOLOGIES     CMN            456788108   20,646    271,376 SH       SOLE       2           271,376          0    0
INGERSOLL-RAND PLC C     CMN            G47791101       13        273 SH       DEFINED    2                          273    0
INGERSOLL-RAND PLC C     CMN            G47791101    2,121     45,043 SH       DEFINED    1                       45,043    0
INNOPHOS HOLDINGS IN     CMN            45774N108    3,194      8,852 SH       SOLE       4             8,852          0    0
INTEGRATED DEVICE TE     CMN            458118106      320     48,012 SH       SOLE       2            48,012          0    0
INTEL CORP COM USD0.     CMN            458140100      770     36,600 SH       DEFINED    2                       36,600    0
INTEL CORP COM USD0.     CMN            458140100    7,420    352,822 SH       DEFINED    2                      352,822    0
INTERCONTINENTALEXCH     CMN            45865V100       15        122 SH       DEFINED    2                          122    0
INTERCONTINENTALEXCH     CMN            45865V100      249      2,086 SH       DEFINED    1                        2,086    0
INTERMUNE INC COM US     CMN            O26365694    1,063     29,200 SH  PUT  SOLE       1            29,200          0    0
INTERNATIONAL BUSINE     CMN            459200101       29        200 SH       DEFINED    3                 0        200    0
INTERNATIONAL BUSINE     CMN            459200101    2,901     19,766 SH       DEFINED    2                 0     19,766    0
INTERNATIONAL GAME T     CMN            459902102    8,497    480,393 SH       DEFINED    2                      480,393    0
INTERNATIONAL GAME T     CMN            459902102    8,612    486,913 SH       DEFINED    2                      486,913    0
INTERNATIONAL GAME T     CMN            459902102       66      3,750 SH       DEFINED    1                        3,750    0
INTL FLAVORS & FRAGR     CMN            459506101      464      8,349 SH       SOLE       2             8,349          0    0
INTREPID POTASH INC      CMN            46121Y102    4,246    113,856 SH       SOLE       1           113,856          0    0
INTREPID POTASH INC      CMN            O25042192    6,713    180,000 SH  CALL SOLE       1           180,000          0    0
INTREPID POTASH INC      CMN            O40412598      802     21,500 SH  CALL SOLE       1            21,500          0    0
INTREPID POTASH INC      CMN            O40413298      705     18,900 SH  CALL SOLE       1            18,900          0    0
INTREPID POTASH INC      CMN            O40413598      265      7,100 SH  CALL SOLE       1             7,100          0    0
INTREPID POTASH INC      CMN            O40414298      257      6,900 SH  CALL SOLE       1             6,900          0    0
INTUIT INC COM USD0.     CMN            461202103      320      6,501 SH       SOLE       2             6,501          0    0
IPATH INVERSE S&P 50     CMN            06740L592      658     20,000 SH       SOLE       2            20,000          0    0
IPATH S&P 500 VIX SH     CMN            06740C527        -  1,000,025 SH       DEFINED    2                    1,000,025    0
IPATH S&P 500 VIX SH     CMN            06740C527        -     28,000 SH       DEFINED    2                       28,000    0
ISHARES FTSE/CHINA 2     CMN            464287184      186      4,306 SH       DEFINED    2                        4,306    0
ISHARES FTSE/CHINA 2     CMN            464287184   27,039    627,435 SH       DEFINED    1                      627,435    0
ISHARES FTSE/CHINA 2     CMN            O09916594   10,773    250,000 SH  PUT  SOLE       1           250,000          0    0
ISHARES FTSE/CHINA 2     CMN            O12312698    8,619    200,000 SH  PUT  SOLE       1           200,000          0    0
ISHARES FTSE/CHINA 2     CMN            O12325696    3,663     85,000 SH  PUT  SOLE       1            85,000          0    0
ISHARES FTSE/CHINA 2     CMN            O30043192    4,309    100,000 SH  PUT  SOLE       1           100,000          0    0
ISHARES FTSE/CHINA 2     CMN            O78167794    3,448     80,000 SH  CALL SOLE       1            80,000          0    0
ISHARES INC - MSCI M     CMN            464286822      458      7,400 SH       SOLE       2             7,400          0    0
ISHARES INC MSCI JAP     CMN            O04919698   16,359  1,500,000 SH  PUT  SOLE       1         1,500,000          0    0
ISHARES MSCI BRAZIL      CMN            464286400      728      9,400 SH       DEFINED    2                        9,400    0
ISHARES MSCI BRAZIL      CMN            464286400   12,019    155,275 SH       DEFINED    2                      155,275    0
ISHARES MSCI BRAZIL      CMN            464286400   23,945    309,340 SH       DEFINED    1                      309,340    0
ISHARES MSCI BRAZIL      CMN            O05659698    3,870     50,000 SH  PUT  SOLE       1            50,000          0    0
ISHARES MSCI BRAZIL      CMN            O05660190   15,481    200,000 SH  PUT  SOLE       1           200,000          0    0
ISHARES MSCI BRAZIL      CMN            O05661698    3,677     47,500 SH  PUT  SOLE       1            47,500          0    0
ISHARES MSCI BRAZIL      CMN            O05473694    2,516     32,500 SH  CALL SOLE       1            32,500          0    0
ISHARES MSCI BRAZIL      CMN            O05485696    3,870     50,000 SH  CALL SOLE       1            50,000          0    0
ISHARES MSCI EAFE IN     CMN            464287465      317      5,449 SH       SOLE       2             5,449          0    0
ISHARES MSCI EAFE IN     CMN            O00959694    2,911     50,000 SH  PUT  SOLE       1            50,000          0    0
ISHARES MSCI EAFE IN     CMN            O00975198    2,579     44,300 SH  PUT  SOLE       1            44,300          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
ISHARES MSCI HK INDE     CMN            464286871      889     47,000 SH       DEFINED    2                       47,000    0
ISHARES MSCI HK INDE     CMN            464286871       90      4,744 SH       DEFINED    2                        4,744    0
ISHARES RUSSELL 2000     CMN            464287655       90      1,146 SH       DEFINED    2                        1,146    0
ISHARES RUSSELL 2000     CMN            464287655    5,146     65,774 SH       DEFINED    1                       65,774    0
ISHARES RUSSELL 2000     CMN            O27789690   39,117    500,000 SH  PUT  SOLE       1           500,000          0    0
ISHARES RUSSELL 2000     CMN            O27821696    7,823    100,000 SH  PUT  SOLE       1           100,000          0    0
ISHARES RUSSELL 2000     CMN            O27822696   13,362    170,800 SH  PUT  SOLE       1           170,800          0    0
ISHARES RUSSELL 2000     CMN            O27823696   39,117    500,000 SH  PUT  SOLE       1           500,000          0    0
ISHARES RUSSELL 2000     CMN            O27846692    7,511     96,000 SH  PUT  SOLE       1            96,000          0    0
ISHARES RUSSELL 2000     CMN            O91631294   54,764    700,000 SH  PUT  SOLE       1           700,000          0    0
ISHARES S&P 100 INDE     CMN            464287101      271      4,778 SH       SOLE       2             4,778          0    0
ISHARES SILVER TST I     CMN            46428Q109    2,415     80,000 SH       SOLE       2            80,000          0    0
ISHARES SILVER TST I     CMN            O91209090   37,734  1,250,000 SH  PUT  SOLE       1         1,250,000          0    0
ISHARES SILVER TST I     CMN            O91120796    1,509     50,000 SH  CALL SOLE       1            50,000          0    0
ISHARES TRUST DOW JO     CMN            464287739    1,282     22,911 SH       SOLE       1            22,911          0    0
ISHARES TRUST DOW JO     CMN            O28702690    5,595    100,000 SH  PUT  SOLE       1           100,000          0    0
ISHARES TRUST DOW JO     CMN            O25087690    2,798     50,000 SH  CALL SOLE       1            50,000          0    0
ISHARES TRUST DOW JO     CMN            O25090298    5,036     90,000 SH  CALL SOLE       1            90,000          0    0
ISHARES TRUST DOW JO     CMN            464287721      269      4,182 SH       SOLE       2             4,182          0    0
ISHARES TRUST GOLDMA     CMN            464287242    1,217     11,222 SH       SOLE       2            11,222          0    0
ISHARES TRUST MSCI E     CMN            464287234    6,515    136,753 SH       DEFINED    2                      136,753    0
ISHARES TRUST MSCI E     CMN            464287234    6,393    134,194 SH       DEFINED    1                      134,194    0
ISHARES TRUST MSCI E     CMN            O00171198   10,719    225,000 SH  PUT  SOLE       1           225,000          0    0
ISHARES TRUST MSCI E     CMN            O00177694   28,584    600,000 SH  PUT  SOLE       1           600,000          0    0
ISHARES TRUST MSCI E     CMN            O00179198   18,342    385,000 SH  PUT  SOLE       1           385,000          0    0
ISHARES TRUST MSCI E     CMN            O00179694   95,281  2,000,000 SH  PUT  SOLE       1         2,000,000          0    0
ISHARES TRUST MSCI E     CMN            O00180198    2,382     50,000 SH  PUT  SOLE       1            50,000          0    0
ISHARES TRUST MSCI E     CMN            O00184694   11,791    247,500 SH  PUT  SOLE       1           247,500          0    0
ISHARES TRUST MSCI E     CMN            O00192198    6,127    128,600 SH  PUT  SOLE       1           128,600          0    0
ISHARES TRUST MSCI E     CMN            O20817298      715     15,000 SH  PUT  SOLE       1            15,000          0    0
ISHARES TRUST MSCI E     CMN            O47986890    7,146    150,000 SH  PUT  SOLE       1           150,000          0    0
ISHARES TRUST MSCI E     CMN            O75704790   23,820    500,000 SH  PUT  SOLE       1           500,000          0    0
ISHARES TRUST MSCI E     CMN            O75705290      715     15,000 SH  PUT  SOLE       1            15,000          0    0
ISHARES TRUST MSCI E     CMN            O00110694   11,910    250,000 SH  CALL SOLE       1           250,000          0    0
ISHARES TRUST MSCI E     CMN            O20810798    7,146    150,000 SH  CALL SOLE       1           150,000          0    0
ISHARES TRUST MSCI E     CMN            O20811398    5,841    122,600 SH  CALL SOLE       1           122,600          0    0
ISHARES TRUST RUSSEL     CMN            464287622      405      5,802 SH       SOLE       2             5,802          0    0
ITRON INC COM NPV        CMN            465741106    3,579     64,542 SH       SOLE       2            64,542          0    0
J CREW GROUP INC COM     CMN            46612H402    9,968    231,069 SH       SOLE       2           231,069          0    0
JAPAN SMALLER CAPITA     CMN            47109U104    1,789    199,426 SH       SOLE       2           199,426          0    0
JEFFERIES GROUP INC      CMN            472319102        6        232 SH       DEFINED    2                          232    0
JEFFERIES GROUP INC      CMN            472319102      274     10,284 SH       DEFINED    1                       10,284    0
JO-ANN STORES INC CO     CMN            47758P307   12,947    215,000 SH       SOLE       2           215,000          0    0
JOHNSON & JOHNSON CO     CMN            478160104    8,176    132,198 SH       SOLE       2           132,198          0    0
JOS. A BANK CLOTHIER     CMN            480838101      492     12,200 SH       SOLE       2            12,200          0    0
JOY GLOBAL INC COM U     CMN            481165108   12,775    147,261 SH       SOLE       2           147,261          0    0
JP MORGAN CHASE BANK     CMN            46625H100      157      3,700 SH       DEFINED    2                        3,700    0
JP MORGAN CHASE BANK     CMN            46625H100    9,261    218,303 SH       DEFINED    2                      218,303    0
JP MORGAN CHASE BANK     CMN            46625H100   74,080  1,746,279 SH       DEFINED    1                    1,746,279    0
JP MORGAN CHASE BANK     CMN            46625H100       84      1,982 SH       DEFINED    3                 0      1,982    0
JP MORGAN CHASE BANK     CMN            O01905896   45,735  1,078,100 SH  PUT  SOLE       1         1,078,100          0    0
JP MORGAN CHASE BANK     CMN            O52583690    4,242    100,000 SH  PUT  SOLE       1           100,000          0    0
JP MORGAN CHASE BANK     CMN            O28963294    4,242    100,000 SH  CALL SOLE       1           100,000          0    0
JP MORGAN CHASE BANK     CMN            O28963794    4,242    100,000 SH  CALL SOLE       1           100,000          0    0
JP MORGAN CHASE BANK     CMN            O47668094   14,848    350,000 SH  CALL SOLE       1           350,000          0    0
JP MORGAN CHASE BANK     CMN            O67162694    4,242    100,000 SH  CALL SOLE       1           100,000          0    0
JUNIPER NETWORKS INC     CMN            48203R104      707     19,151 SH       SOLE       2            19,151          0    0
KAISER ALUMINUM CORP     CMN            483007704    3,037     60,631 SH       DEFINED    2                       60,631    0
KAISER ALUMINUM CORP     CMN            483007704    3,640     72,662 SH       DEFINED    2                       72,662    0
KBW REGIONAL BANKING     CMN            78464A698   14,496    548,000 SH       SOLE       1           548,000          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
KBW REGIONAL BANKING     CMN            O49038694    4,682    177,000 SH  CALL SOLE       1           177,000          0    0
KELLOGG CO COM USD0.     CMN            487836108      595     11,646 SH       SOLE       2            11,646          0    0
KEY ENERGY SERVICES      CMN            492914106    1,233     94,984 SH       SOLE       1            94,984          0    0
KEYCORP COM USD1         CMN            493267108        3        316 SH       DEFINED    2                          316    0
KEYCORP COM USD1         CMN            493267108      220     24,920 SH       DEFINED    1                       24,920    0
KIMBERLY-CLARK CORP      CMN            494368103    1,326     21,037 SH       SOLE       2            21,037          0    0
KING PHARMACEUTICALS     CMN            495582108   66,053  4,702,312 SH       DEFINED    2                    4,702,312    0
KING PHARMACEUTICALS     CMN            495582108        3        200 SH       DEFINED    1                          200    0
KINROSS GOLD CORP CO     CMN            496902404    2,491    131,440 SH       SOLE       2           131,440          0    0
KLA-TENCOR CORP COM      CMN            482480100      924     23,920 SH       SOLE       2            23,920          0    0
KNIGHT CAPITAL GROUP     CMN            499005106    9,989    724,000 SH       DEFINED    2                      724,000    0
KNIGHT CAPITAL GROUP     CMN            499005106   11,364    823,692 SH       DEFINED    2                      823,692    0
Korea Equity Fund In     CMN            50063B104       17      1,400 SH       SOLE       3             1,400          0    0
KRAFT FOODS INC COM      CMN            50075N104      878     27,849 SH       SOLE       2            27,849          0    0
KRISPY KREME DOUGHNU     CMN            501014104      789    112,921 SH       SOLE       2           112,921          0    0
KT CORPORATION KRW50     CMN            48268K101    9,353    449,750 SH       SOLE       2           449,750          0    0
LAM RESEARCH CORP CO     CMN            512807108    1,800     34,760 SH       SOLE       2            34,760          0    0
LAS VEGAS SANDS CORP     CMN            517834107    1,588     34,566 SH       SOLE       2            34,566          0    0
LEA CS                   CMN            521865204    5,182      5,250 SH       SOLE       4             5,250          0    0
LENNAR CORP COM CL'A     CMN            O81273892    7,388    394,000 SH  PUT  SOLE       1           394,000          0    0
LENNAR CORP COM CL'A     CMN            O32173692    1,202     64,100 SH  CALL SOLE       1            64,100          0    0
LENNAR CORP COM CL'A     CMN            O32174192      938     50,000 SH  CALL SOLE       1            50,000          0    0
LENNAR CORP COM CL'A     CMN            O50138694      264     14,100 SH  CALL SOLE       1            14,100          0    0
LENNAR CORP COM CL'A     CMN            O50139694    5,773    307,900 SH  CALL SOLE       1           307,900          0    0
LIBERTY GLOBAL INC C     CMN            530555101    1,199     33,886 SH       DEFINED    2                       33,886    0
LIBERTY GLOBAL INC C     CMN            530555101       21        600 SH       DEFINED    1                          600    0
LIBERTY MEDIA-INTERA     CMN            53071M104   24,115  1,529,598 SH       DEFINED    2                    1,529,598    0
LIBERTY MEDIA-INTERA     CMN            53071M104   48,630  3,084,588 SH       DEFINED    2                    3,084,588    0
LIFEPOINT HOSPITALS      CMN            53219L109      551     15,000 SH       SOLE       1            15,000          0    0
LINCOLN NATIONAL COR     CMN            534187109       51      1,850 SH       DEFINED    2                        1,850    0
LINCOLN NATIONAL COR     CMN            534187109      224      8,042 SH       DEFINED    1                        8,042    0
LOCKHEED MARTIN CORP     CMN            539830109      582      8,321 SH       SOLE       2             8,321          0    0
LOEWS CORP COM USD1      CMN            540424108        5        117 SH       DEFINED    2                          117    0
LOEWS CORP COM USD1      CMN            540424108      361      9,277 SH       DEFINED    1                        9,277    0
LORILLARD INC USD0.0     CMN            544147101       11        135 SH       DEFINED    2                          135    0
LORILLARD INC USD0.0     CMN            544147101    3,870     47,156 SH       DEFINED    1                       47,156    0
LORILLARD INC USD0.0     CMN            O51417798      501      6,100 SH  PUT  SOLE       1             6,100          0    0
LORILLARD INC USD0.0     CMN            O51397198    6,155     75,000 SH  CALL SOLE       1            75,000          0    0
LOWE'S COS INC COM U     CMN            548661107       74      2,969 SH       DEFINED    2                        2,969    0
LOWE'S COS INC COM U     CMN            548661107      374     14,900 SH       DEFINED    1                       14,900    0
LOWE'S COS INC COM U     CMN            O74125996    2,508    100,000 SH  CALL SOLE       1           100,000          0    0
LTD BRANDS INC COM U     CMN            532716107      214      6,970 SH       SOLE       2             6,970          0    0
LUBRIZOL CORP COM NP     CMN            549271104    1,154     10,796 SH       SOLE       2            10,796          0    0
LYONDELL CHEMICAL CM     CMN            N53745100  160,128    465,487 SH       SOLE       4           465,487          0    0
MACY'S INC COM STK U     CMN            55616P104      608     24,045 SH       SOLE       2            24,045          0    0
MAGELLAN HEALTH COMM     CMN            559079207        0          - SH       SOLE       4                 -          0    0
MAGSMI COMMON UNIT       CMN            55932R9D1      389     38,885 SH       SOLE       4            38,885          0    0
MANITOWOC CO INC COM     CMN            563571108      243     18,500 SH       SOLE       1            18,500          0    0
MANITOWOC CO INC COM     CMN            O27528196      615     46,900 SH  CALL SOLE       1            46,900          0    0
MANNKIND CORP COM US     CMN            56400P201      320     39,660 SH       SOLE       2            39,660          0    0
MARKET VECTORS - GOL     CMN            57060U100    4,831     78,600 SH       SOLE       1            78,600          0    0
MARKET VECTORS - GOL     CMN            O13466694   12,294    200,000 SH  CALL SOLE       1           200,000          0    0
MARKET VECTORS - GOL     CMN            O79211698   14,753    240,000 SH  CALL SOLE       1           240,000          0    0
MARKET VECTORS DBL S     CMN            617480280    7,800    170,900 SH       SOLE       1           170,900          0    0
MARKET VECTORS ETF S     CMN            57060U506    1,516     40,000 SH       SOLE       2            40,000          0    0
MARRIOTT INTERNATION     CMN            O53016298   20,358    490,000 SH  PUT  SOLE       1           490,000          0    0
MARRIOTT INTERNATION     CMN            O52988290   20,358    490,000 SH  CALL SOLE       1           490,000          0    0
MARSH & MCLENNAN COS     CMN            571748102        5        195 SH       DEFINED    2                          195    0
MARSH & MCLENNAN COS     CMN            571748102      419     15,329 SH       DEFINED    1                       15,329    0
MARSHALL & ILSLEY CO     CMN            571837103        3        424 SH       DEFINED    2                          424    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
MARSHALL & ILSLEY CO     CMN            571837103      107     15,503 SH       DEFINED    1                       15,503    0
MARVELL TECHNOLOGY G     CMN            G5876H105    1,295     69,847 SH       SOLE       2            69,847          0    0
MASTERCARD INC COM U     CMN            57636Q104       19         86 SH       DEFINED    2                           86    0
MASTERCARD INC COM U     CMN            57636Q104      644      2,875 SH       DEFINED    1                        2,875    0
MASTERCARD INC COM U     CMN            O52836794    5,603     25,000 SH  PUT  SOLE       1            25,000          0    0
MASTERCARD INC COM U     CMN            O74377492    5,603     25,000 SH  PUT  SOLE       1            25,000          0    0
MATERIALS SELECT SEC     CMN            81369Y100      193      5,016 SH       DEFINED    2                        5,016    0
MATERIALS SELECT SEC     CMN            81369Y100      170      4,416 SH       DEFINED    1                        4,416    0
MATERIALS SELECT SEC     CMN            O22188190    7,681    200,000 SH  PUT  SOLE       1           200,000          0    0
MATERIALS SELECT SEC     CMN            O22193298    1,920     50,000 SH  PUT  SOLE       1            50,000          0    0
MATERIALS SELECT SEC     CMN            O22156796    3,841    100,000 SH  CALL SOLE       1           100,000          0    0
MATERIALS SELECT SEC     CMN            O36592898    1,440     37,500 SH  CALL SOLE       1            37,500          0    0
MATTEL INC COM USD1      CMN            577081102      212      8,343 SH       SOLE       2             8,343          0    0
MAXIM INTEGRATED PRO     CMN            57772K101    1,645     69,642 SH       SOLE       2            69,642          0    0
MBIA INC COM USD1        CMN            55262C100    6,210    518,212 SH       SOLE       1           518,212          0    0
MBIA INC COM USD1        CMN            O08637292    1,675    139,800 SH  CALL SOLE       1           139,800          0    0
MBIA INC COM USD1        CMN            O53171292    1,558    130,000 SH  CALL SOLE       1           130,000          0    0
MBIA INC COM USD1        CMN            O81783890    2,517    210,000 SH  CALL SOLE       1           210,000          0    0
MCAFEE INC COM USD0.     CMN            579064106   18,505    399,566 SH       SOLE       2           399,566          0    0
MCCLATCHY CO CLASS'A     CMN            579489105       83     17,800 SH       SOLE       2            17,800          0    0
MCDONALD'S CORP COM      CMN            580135101      760      9,900 SH       DEFINED    2                        9,900    0
MCDONALD'S CORP COM      CMN            580135101    5,235     68,195 SH       DEFINED    2                       68,195    0
MCMORAN EXPLORATION      CMN            O83867794      190     11,100 SH  PUT  SOLE       1            11,100          0    0
MCMORAN EXPLORATION      CMN            O56813298    3,428    200,000 SH  CALL SOLE       1           200,000          0    0
MCMORAN EXPLORATION      CMN            O92409690    3,428    200,000 SH  CALL SOLE       1           200,000          0    0
MEAD JOHNSON NUTRITI     CMN            582839106    1,185     19,033 SH       DEFINED    2                       19,033    0
MEAD JOHNSON NUTRITI     CMN            582839106    6,129     98,458 SH       DEFINED    2                       98,458    0
MECHEL OAO               CMN            583840103   22,300    762,814 SH       SOLE       2           762,814          0    0
MEDCO HEALTH SOLUTIO     CMN            58405U102      803     13,114 SH       SOLE       2            13,114          0    0
MEDIQ/PRN COMMON SHA     CMN            584906903    1,049      6,125 SH       SOLE       4             6,125          0    0
MEDTRONIC INC COM US     CMN            585055106      475     12,800 SH       DEFINED    2                       12,800    0
MEDTRONIC INC COM US     CMN            585055106      558     15,035 SH       DEFINED    2                       15,035    0
MEMC ELECTRONIC MATE     CMN            552715104      744     66,079 SH       SOLE       2            66,079          0    0
MEMC ELECTRONIC MATE     CMN            O14950196      113     10,000 SH  CALL SOLE       1            10,000          0    0
MERCK & CO INC           CMN            58933Y105      348      9,655 SH       DEFINED    1                        9,655    0
MERCK & CO INC           CMN            O57557696    3,605    100,000 SH  CALL SOLE       1           100,000          0    0
MERCK & CO INC COM U     CMN            58933Y105    1,752     48,600 SH       DEFINED    2                       48,600    0
MERCK & CO INC COM U     CMN            58933Y105    3,157     87,591 SH       DEFINED    2                       87,591    0
MERISANT CMN RESTRIC     CMN            58984W107   24,843     26,151 SH       SOLE       4            26,151          0    0
METLIFE INC COM USD0     CMN            59156R108       14        325 SH       DEFINED    2                          325    0
METLIFE INC COM USD0     CMN            59156R108    3,251     73,165 SH       DEFINED    1                       73,165    0
MGM RESORTS INTERNAT     CMN            552953101      519     34,938 SH       DEFINED    2                       34,938    0
MGM RESORTS INTERNAT     CMN            552953101      114      7,700 SH       DEFINED    1                        7,700    0
MGM RESORTS INTERNAT     CMN            O29012798    6,086    410,000 SH  CALL SOLE       1           410,000          0    0
MGM RESORTS INTERNAT     CMN            O55804290      589     39,700 SH  CALL SOLE       1            39,700          0    0
MICROCHIP TECHNOLOGY     CMN            595017104      904     26,437 SH       SOLE       2            26,437          0    0
MICRON TECHNOLOGY IN     CMN            595112103    8,504  1,060,967 SH       SOLE       2         1,060,967          0    0
MICRON TECHNOLOGY IN     CMN            O75535794    1,840    229,600 SH  CALL SOLE       1           229,600          0    0
MICROSOFT CORP COM U     CMN            594918104   13,943    499,650 SH       DEFINED    2                      499,650    0
MICROSOFT CORP COM U     CMN            594918104   13,589    486,944 SH       DEFINED    2                      486,944    0
MICROSOFT CORP COM U     CMN            594918104   15,793    565,941 SH       DEFINED    1                      565,941    0
MICROSOFT CORP COM U     CMN            594918104       22     22,325 SH       DEFINED    3                 0        800    0
MICROSOFT CORP COM U     CMN            O58174792   25,582    916,700 SH  PUT  SOLE       1           916,700          0    0
MILLICOM INTL CELLUL     CMN            O54507290    6,692     70,000 SH  PUT  SOLE       1            70,000          0    0
MILLICOM INTL CELLUL     CMN            O54429796    3,585     37,500 SH  CALL SOLE       1            37,500          0    0
MILLICOM INTL CELLUL     CMN            O54431794    9,368     98,000 SH  CALL SOLE       1            98,000          0    0
MOBILE TELESYSTEMS O     CMN            607409109   24,314  1,164,736 SH       SOLE       2         1,164,736          0    0
MOMENTA PHARMACEUTIC     CMN            60877T100      372     24,862 SH       SOLE       2            24,862          0    0
MONSANTO CO COM STK      CMN            61166W101       62        890 SH       DEFINED    2                          890    0
MONSANTO CO COM STK      CMN            61166W101      104      1,491 SH       DEFINED    2                        1,491    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
MONSANTO CO COM STK      CMN            61166W101   20,307    291,598 SH       DEFINED    1                      291,598    0
MONSANTO CO COM STK      CMN            O30428796      306      4,400 SH  PUT  SOLE       1             4,400          0    0
MONSANTO CO COM STK      CMN            O30432794      850     12,200 SH  PUT  SOLE       1            12,200          0    0
MONSANTO CO COM STK      CMN            O57206290   20,892    300,000 SH  PUT  SOLE       1           300,000          0    0
MONSANTO CO COM STK      CMN            O57207290  144,853  2,080,000 SH  PUT  SOLE       1         2,080,000          0    0
Morgan Stanley Asia      CMN            61744U106       25      1,500 SH       SOLE       3             1,500          0    0
MORGAN STANLEY COM S     CMN            617446448       23        848 SH       DEFINED    2                          848    0
MORGAN STANLEY COM S     CMN            617446448    1,211     44,531 SH       DEFINED    1                       44,531    0
MORGAN STANLEY COM S     CMN            O57989790   27,203  1,000,000 SH  PUT  SOLE       1         1,000,000          0    0
MORGAN STANLEY COM S     CMN            O57961794    2,040     75,000 SH  CALL SOLE       1            75,000          0    0
MOSAIC CO/THE COM ST     CMN            61945A107    1,470     19,251 SH       SOLE       2            19,251          0    0
MOTELS AMER INC CMN      CMN            619751100        -        500 SH       SOLE       4               500          0    0
MSCI Brazil Index (E     CMN            464286400      116      1,500 SH       SOLE       3             1,500          0    0
MUELLER WATER PROD C     CMN            624758108       92     22,096 SH       SOLE       2            22,096          0    0
MXENERGY PRIVATE EQU     CMN            62846X105    4,008    267,186 SH       SOLE       4           267,186          0    0
NANOSPHERE INC COM S     CMN            63009F105       52     11,900 SH       SOLE       1            11,900          0    0
NASDAQ 100 INDEX TRA     CMN            73935A104      438      8,045 SH       DEFINED    2                        8,045    0
NASDAQ 100 INDEX TRA     CMN            73935A104      512      9,400 SH       DEFINED    1                        9,400    0
NASDAQ 100 INDEX TRA     CMN            O17822596   13,613    250,000 SH  PUT  SOLE       1           250,000          0    0
NASDAQ 100 INDEX TRA     CMN            O75198798   10,891    200,000 SH  PUT  SOLE       1           200,000          0    0
NASDAQ 100 INDEX TRA     CMN            O75208690    5,445    100,000 SH  PUT  SOLE       1           100,000          0    0
NASDAQ 100 INDEX TRA     CMN            O85203390   13,613    250,000 SH  PUT  SOLE       1           250,000          0    0
NATIONAL OILWELL VAR     CMN            637071101      949     14,114 SH       SOLE       2            14,114          0    0
NATIONAL SEMICONDUCT     CMN            637640103      817     59,368 SH       SOLE       2            59,368          0    0
NAVIOS MARITIME HO C     CMN            Y62267102      197     10,151 SH       SOLE       2            10,151          0    0
NAVISTAR INTERNATION     CMN            63934E108    1,804     31,150 SH       SOLE       1            31,150          0    0
NEENAH CS PRV            CMN            64007R109   11,446    254,354 SH       SOLE       4           254,354          0    0
NETAPP INC COM USD0.     CMN            64110D104       71      1,283 SH       DEFINED    2                        1,283    0
NETAPP INC COM USD0.     CMN            64110D104    1,371     24,943 SH       DEFINED    1                       24,943    0
NETAPP INC COM USD0.     CMN            O70019398   24,729    450,000 SH  CALL SOLE       1           450,000          0    0
NETFLIX INC COM          CMN            O96389890    5,183     29,500 SH  CALL SOLE       1            29,500          0    0
NETLIST INC COM STK      CMN            64118P109    1,723    672,507 SH       SOLE       1           672,507          0    0
NEW YORK COMMUNITY B     CMN            649445103       35      1,860 SH       DEFINED    2                        1,860    0
NEW YORK COMMUNITY B     CMN            649445103      233     12,339 SH       DEFINED    1                       12,339    0
NEWARK GROUP INC         CMN            650341985   39,561    879,125 SH       SOLE       4           879,125          0    0
NEWMONT MINING CORP      CMN            651639106      891     14,500 SH       DEFINED    2                       14,500    0
NEWMONT MINING CORP      CMN            651639106    1,654     26,928 SH       DEFINED    2                       26,928    0
NEWMONT MINING CORP      CMN            651639106    9,990    162,610 SH       DEFINED    1                      162,610    0
NEWMONT MINING CORP      CMN            O61099298    1,585     25,800 SH  CALL SOLE       1            25,800          0    0
NEWMONT MINING CORP      CMN            O61107790   12,288    200,000 SH  CALL SOLE       1           200,000          0    0
NEWS CORP COM USD0.0     CMN            65248E104      528     36,244 SH       SOLE       2            36,244          0    0
NII HOLDINGS INC COM     CMN            62913F201    1,443     32,314 SH       SOLE       2            32,314          0    0
NII HOLDINGS INC COM     CMN            O78411998      822     18,400 SH  CALL SOLE       1            18,400          0    0
NOBLE CORP CHF3.93       CMN            H5833N103    1,251     34,974 SH       SOLE       2            34,974          0    0
NOBLE ENERGY INC COM     CMN            O15181090    3,314     38,500 SH  CALL SOLE       1            38,500          0    0
NORDSTROM INC COM NP     CMN            655664100        5        127 SH       DEFINED    2                          127    0
NORDSTROM INC COM NP     CMN            655664100    7,628    180,000 SH       DEFINED    1                      180,000    0
NORTEK INC CMN           CMN            656559309  101,112    280,866 SH       SOLE       4           280,866          0    0
NORTHERN TRUST CORP      CMN            665859104        5         88 SH       DEFINED    2                           88    0
NORTHERN TRUST CORP      CMN            665859104      390      7,039 SH       DEFINED    1                        7,039    0
NORTHROP GRUMMAN COR     CMN            666807102      599      9,251 SH       SOLE       2             9,251          0    0
NOVAGOLD RESOURCES I     CMN            O35207590      337     23,600 SH  CALL SOLE       1            23,600          0    0
NOVELL INC COM USD0.     CMN            670006105   61,048 10,308,916 SH       SOLE       2        10,308,916          0    0
NOVELLUS SYSTEMS INC     CMN            670008101      304      9,416 SH       SOLE       2             9,416          0    0
NRG ENERGY INC           CMN            629377508    2,584     13,225 SH       SOLE       4            13,225          0    0
NRG ENERGY INC COM U     CMN            629377508      263     13,454 SH       DEFINED    2                       13,454    0
NRG ENERGY INC COM U     CMN            629377508   14,332    733,200 SH       DEFINED    1                      733,200    0
NRG ENERGY INC COM U     CMN            O14190198      977     50,000 SH  PUT  SOLE       1            50,000          0    0
NRG ENERGY INC COM U     CMN            O62671292      977     50,000 SH  CALL SOLE       1            50,000          0    0
NVIDIA CORP COM USD0     CMN            67066G104      600     38,974 SH       SOLE       2            38,974          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
NVIDIA CORP COM USD0     CMN            O28344392    7,450    483,600 SH  CALL SOLE       1           483,600          0    0
NYSE EURONEXT COM ST     CMN            629491101       93      3,093 SH       DEFINED    2                        3,093    0
NYSE EURONEXT COM ST     CMN            629491101    1,801     60,081 SH       DEFINED    1                       60,081    0
OFFICE DEPOT INC COM     CMN            676220106       81     15,007 SH       SOLE       2            15,007          0    0
OIL STATES INTERNATI     CMN            678026105      961     15,000 SH       SOLE       1            15,000          0    0
OIL SVC HOLDERS TR D     CMN            678002106      225      1,600 SH       DEFINED    2                        1,600    0
OIL SVC HOLDERS TR D     CMN            678002106       15        106 SH       DEFINED    1                          106    0
OMNIVISION TECHNOLOG     CMN            682128103      240      8,100 SH       SOLE       2             8,100          0    0
OMNIVISION TECHNOLOG     CMN            O67722296      261      8,800 SH  CALL SOLE       1             8,800          0    0
ONYX PHARMACEUTICALS     CMN            683399109      221      6,000 SH       SOLE       1             6,000          0    0
OPTIONSXPRESS HLDG C     CMN            684010101      591     37,734 SH       SOLE       2            37,734          0    0
ORACLE CORP COM USD0     CMN            68389X105      841     26,874 SH       SOLE       2            26,874          0    0
O'REILLY AUTOMOTVE C     CMN            67103H107    2,064     34,166 SH       SOLE       2            34,166          0    0
PACKAGING CORP OF AM     CMN            695156109   12,514    484,233 SH       SOLE       1           484,233          0    0
PANERA BREAD CO CLAS     CMN            69840W108      985      9,730 SH       SOLE       2             9,730          0    0
PARTNERRE LTD COM US     CMN            G6852T105    1,187     14,770 SH       SOLE       2            14,770          0    0
PATTERSON-UTI ENERGY     CMN            703481101      310     14,400 SH       SOLE       2            14,400          0    0
PEABODY ENERGY CORP      CMN            704549104        1         15 SH       DEFINED    2                           15    0
PEABODY ENERGY CORP      CMN            704549104    3,609     56,400 SH       DEFINED    1                       56,400    0
PEOPLE'S UNITED FINA     CMN            712704105        2        132 SH       DEFINED    2                          132    0
PEOPLE'S UNITED FINA     CMN            712704105      152     10,862 SH       DEFINED    1                       10,862    0
PEPSICO INC CAP USD0     CMN            713448108      289      4,423 SH       SOLE       2             4,423          0    0
PETROHAWK ENERGY COR     CMN            716495106    1,297     71,070 SH       SOLE       2            71,070          0    0
PETROLEO BRASILEIRO      CMN            71654V408   39,345  1,039,668 SH       DEFINED    2                    1,039,668    0
PETROLEO BRASILEIRO      CMN            71654V408    8,511    224,906 SH       DEFINED    2                      224,906    0
PETROLEO BRASILEIRO      CMN            71646J109       51      1,350 SH       SOLE       3             1,350          0    0
PFIZER INC COM USD0.     CMN            717081103    3,274    186,900 SH       DEFINED    2                      186,900    0
PFIZER INC COM USD0.     CMN            717081103    3,720    212,363 SH       DEFINED    2                      212,363    0
PFIZER INC COM USD0.     CMN            717081103    6,130    350,000 SH       DEFINED    1                      350,000    0
PFIZER INC COM USD0.     CMN            O56751596    3,853    220,000 SH  PUT  SOLE       1           220,000          0    0
PFIZER INC COM USD0.     CMN            O70162294    1,314     75,000 SH  PUT  SOLE       1            75,000          0    0
PFIZER INC COM USD0.     CMN            O70103790   11,385    650,000 SH  CALL SOLE       1           650,000          0    0
PHARMACEUTICAL HOLDR     CMN            O84783390   19,486    300,000 SH  PUT  SOLE       1           300,000          0    0
PHARMASSET INC COM S     CMN            71715N106      239      5,496 SH       SOLE       2             5,496          0    0
PHH CORP COM NPV         CMN            693320202    4,082    176,269 SH       DEFINED    2                      176,269    0
PHH CORP COM NPV         CMN            693320202    4,181    180,538 SH       DEFINED    2                      180,538    0
PHILIP MORRIS INTERN     CMN            718172109      791     13,514 SH       SOLE       2            13,514          0    0
PIONEER DRILLING CO      CMN            O29186890    4,230    480,000 SH  PUT  SOLE       1           480,000          0    0
PIONEER NATURAL RESO     CMN            O73125796   12,588    145,000 SH  CALL SOLE       1           145,000          0    0
PMI GROUP INC/THE CO     CMN            69344M101       95     28,700 SH       SOLE       1            28,700          0    0
PNC FINANCIAL SERVIC     CMN            693475105      134      2,202 SH       DEFINED    2                        2,202    0
PNC FINANCIAL SERVIC     CMN            693475105      941     15,503 SH       DEFINED    1                       15,503    0
PNC FINANCIAL SERVIC     CMN            O71234694    8,543    140,700 SH  CALL SOLE       1           140,700          0    0
POPULAR INC COM USD6     CMN            733174106      211     67,160 SH       SOLE       2            67,160          0    0
POSCO (ADR)              CMN            693483109       14        130 SH       SOLE       3               130          0    0
POTASH CORP OF SASKA     CMN            O71868694      434      2,800 SH  PUT  SOLE       1             2,800          0    0
POTASH CORP OF SASKA     CMN            O29657896      774      5,000 SH  CALL SOLE       1             5,000          0    0
POWER INTEGRATIONS I     CMN            739276103      232      5,782 SH       SOLE       2             5,782          0    0
POWERSHARES DB AGRIC     CMN            73936B408      615     19,000 SH       SOLE       1            19,000          0    0
POWERSHARES EXCHAN D     CMN            73936D107    1,081     47,600 SH       SOLE       1            47,600          0    0
PRICE (T. ROWE) COM      CMN            74144T108        6         92 SH       DEFINED    2                           92    0
PRICE (T. ROWE) COM      CMN            74144T108      469      7,262 SH       DEFINED    1                        7,262    0
PRICELINE.COM INC CO     CMN            741503403      414      1,036 SH       DEFINED    2                        1,036    0
PRICELINE.COM INC CO     CMN            741503403    2,078      5,200 SH       DEFINED    1                        5,200    0
PRIDE INTERNATIONAL      CMN            74153Q102    1,241     37,593 SH       SOLE       2            37,593          0    0
PRIMUS TELECOMMUNICA     CMN            741929301   29,973    239,780 SH       SOLE       4           239,780          0    0
PRINCIPAL FINANCIAL      CMN            74251V102        4        115 SH       DEFINED    2                          115    0
PRINCIPAL FINANCIAL      CMN            74251V102      307      9,418 SH       DEFINED    1                        9,418    0
PROCTER & GAMBLE CO      CMN            742718109    4,464     69,401 SH       DEFINED    2                       69,401    0
PROCTER & GAMBLE CO      CMN            742718109    6,498    101,015 SH       DEFINED    2                      101,015    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
PROCTER & GAMBLE CO      CMN            742718109       53        830 SH       DEFINED    3                 0        830    0
PROCTER & GAMBLE CO      CMN            O70355796    4,702     73,100 SH  PUT  SOLE       1            73,100          0    0
PROCTER & GAMBLE CO      CMN            O70356796      862     13,400 SH  PUT  SOLE       1            13,400          0    0
PROGRESS SOFTWARE CO     CMN            743312100      615     14,510 SH       SOLE       2            14,510          0    0
PROGRESSIVE CORP/THE     CMN            743315103        5        238 SH       DEFINED    2                          238    0
PROGRESSIVE CORP/THE     CMN            743315103      378     19,019 SH       DEFINED    1                       19,019    0
PRUDENTIAL FINANCIAL     CMN            744320102       10        168 SH       DEFINED    2                          168    0
PRUDENTIAL FINANCIAL     CMN            744320102    4,559     77,656 SH       DEFINED    1                       77,656    0
PRUDENTIAL FINANCIAL     CMN            O72440292    1,468     25,000 SH  PUT  SOLE       1            25,000          0    0
PRUDENTIAL FINANCIAL     CMN            O29810398      505      8,600 SH  CALL SOLE       1             8,600          0    0
PUBLIC SERVICE ENTER     CMN            744573106    2,607     81,954 SH       SOLE       2            81,954          0    0
QIAGEN NV COM EUR0.0     CMN            N72482107      293     15,000 SH       DEFINED    2                       15,000    0
QIAGEN NV COM EUR0.0     CMN            N72482107      563     28,800 SH       DEFINED    2                       28,800    0
QLTY CS                  CMN            74756M102   11,473    126,216 SH       SOLE       4           126,216          0    0
QUALCOMM INC COM USD     CMN            747525103    1,148     23,198 SH       SOLE       2            23,198          0    0
QUESTAR CORP COM NPV     CMN            748356102    7,502    430,967 SH       SOLE       1           430,967          0    0
RACKSPACE HOSTING IN     CMN            750086100      999     31,800 SH       SOLE       1            31,800          0    0
RAMBUS INC COM USD0.     CMN            750917106      410     20,000 SH       DEFINED    2                       20,000    0
RAMBUS INC COM USD0.     CMN            750917106      512     25,000 SH       DEFINED    2                       25,000    0
RASER TECHNOLOGIES I     CMN            754055101       28    160,800 SH       SOLE       1           160,800          0    0
RAYONIER INC COM NPV     CMN            754907103      114      2,167 SH       DEFINED    2                        2,167    0
RAYONIER INC COM NPV     CMN            754907103      554     10,556 SH       DEFINED    1                       10,556    0
RAYTHEON CO COM USD0     CMN            755111507      583     12,572 SH       SOLE       2            12,572          0    0
REGIONS FINANCIAL CO     CMN            7591EP100       24      3,449 SH       DEFINED    2                        3,449    0
REGIONS FINANCIAL CO     CMN            7591EP100      247     35,231 SH       DEFINED    1                       35,231    0
REGIONS FINANCIAL CO     CMN            O18065094      213     30,400 SH  PUT  SOLE       1            30,400          0    0
REGIONS FINANCIAL CO     CMN            O18065594    1,534    219,100 SH  PUT  SOLE       1           219,100          0    0
RENAISSANCERE HOLDIN     CMN            G7496G103    1,275     20,022 SH       SOLE       2            20,022          0    0
RESEARCH IN MOTION L     CMN            O74635794    4,633     79,700 SH  PUT  SOLE       1            79,700          0    0
RESEARCH IN MOTION L     CMN            O76718298    8,399    144,500 SH  PUT  SOLE       1           144,500          0    0
RESEARCH IN MOTION L     CMN            O76610298    2,906     50,000 SH  CALL SOLE       1            50,000          0    0
RETAIL HOLDERS TRU D     CMN            76127U101      224      2,100 SH       DEFINED    2                        2,100    0
RETAIL HOLDERS TRU D     CMN            76127U101    2,401     22,550 SH       DEFINED    1                       22,550    0
RF MICRO DEVICES INC     CMN            749941100      805    109,614 SH       SOLE       2           109,614          0    0
RIGEL PHARMACEUTICAL     CMN            766559603    1,283    170,323 SH       SOLE       1           170,323          0    0
RIO TINTO PLC ORD GB     CMN            767204100    1,462     20,402 SH       SOLE       2            20,402          0    0
RITE AID CORP COM US     CMN            767754104    2,903  3,259,335 SH       SOLE       1         3,259,335          0    0
ROVI CORP COM USD0.0     CMN            779376102      775     12,500 SH       SOLE       2            12,500          0    0
ROWAN COS INC COM US     CMN            779382100      640     18,327 SH       SOLE       2            18,327          0    0
RYDEX ETF TRUST S&P      CMN            78355W700    2,955     75,000 SH       SOLE       1            75,000          0    0
SAKS INC COM USD0.10     CMN            79377W108    2,141    200,000 SH       SOLE       2           200,000          0    0
SALESFORCE.COM INC C     CMN            79466L302    9,576     72,544 SH       DEFINED    2                       72,544    0
SALESFORCE.COM INC C     CMN            79466L302    9,387     71,115 SH       DEFINED    2                       71,115    0
SANDERSON FARMS INC      CMN            800013104      811     20,706 SH       SOLE       2            20,706          0    0
SANDISK CORP COM USD     CMN            80004C101    9,099    182,500 SH       DEFINED    2                      182,500    0
SANDISK CORP COM USD     CMN            80004C101   13,388    268,520 SH       DEFINED    2                      268,520    0
SANMINA-SCI CORP COM     CMN            800907206      297     25,819 SH       SOLE       1            25,819          0    0
SAP AG ORD NPV           CMN            803054204    8,156    161,149 SH       SOLE       2           161,149          0    0
SAPIENT CORP COM USD     CMN            803062108    1,208     99,900 SH       SOLE       1            99,900          0    0
SCHLUMBERGER LTD COM     CMN            806857108    1,926     23,071 SH       SOLE       2            23,071          0    0
SEAGATE TECHNOLOGY C     CMN            G7945M107    2,226    148,084 SH       SOLE       2           148,084          0    0
SEAGATE TECHNOLOGY C     CMN            O30910098    8,162    543,000 SH  CALL SOLE       1           543,000          0    0
SEAGATE TECHNOLOGY C     CMN            O30910698      155     10,300 SH  CALL SOLE       1            10,300          0    0
SEAGATE TECHNOLOGY C     CMN            O99865694    3,758    250,000 SH  CALL SOLE       1           250,000          0    0
SEARS HOLDINGS CORP      CMN            812350106      593      8,040 SH       SOLE       2             8,040          0    0
SECTOR SPDR TRUST AM     CMN            O36634394    1,295     51,400 SH  PUT  SOLE       1            51,400          0    0
SECTOR SPDR TRUST AM     CMN            O36631394    1,476     58,600 SH  CALL SOLE       1            58,600          0    0
SELECT SECTOR SPDR A     CMN            81369Y886      270      8,616 SH       SOLE       2             8,616          0    0
SELECT SECTOR SPDR E     CMN            81369Y506      171      2,500 SH       DEFINED    2                        2,500    0
SELECT SECTOR SPDR E     CMN            81369Y506    8,606    126,100 SH       DEFINED    1                      126,100    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
SELECT SECTOR SPDR E     CMN            O98246592   13,650    200,000 SH  PUT  SOLE       1           200,000          0    0
SELECT SECTOR SPDR E     CMN            O32603590    6,825    100,000 SH  CALL SOLE       1           100,000          0    0
SELECT SECTOR SPDR H     CMN            81369Y209      314      9,975 SH       SOLE       2             9,975          0    0
SELECT SECTOR SPDR S     CMN            81369Y407      313      8,370 SH       DEFINED    2                        8,370    0
SELECT SECTOR SPDR S     CMN            81369Y407      303      8,100 SH       DEFINED    1                        8,100    0
SELECT SECTOR SPDR S     CMN            O23009790    3,741    100,000 SH  PUT  SOLE       1           100,000          0    0
SELECT SECTOR SPDR S     CMN            O23013798    4,676    125,000 SH  PUT  SOLE       1           125,000          0    0
SELECT SECTOR SPDR S     CMN            O23030794   17,581    470,000 SH  PUT  SOLE       1           470,000          0    0
SELECT SECTOR SPDR S     CMN            O36664294    3,741    100,000 SH  PUT  SOLE       1           100,000          0    0
SELECT SECTOR SPDR S     CMN            O36660794    1,421     38,000 SH  CALL SOLE       1            38,000          0    0
SEMICONDUCTOR HOLDRS     CMN            816636203      163      5,000 SH       DEFINED    2                        5,000    0
SEMICONDUCTOR HOLDRS     CMN            816636203      130      4,000 SH       DEFINED    1                        4,000    0
Shanda Interactive E     CMN            81941Q203       57      1,450 SH       SOLE       3             1,450          0    0
SINA CORP/CHINA ORD      CMN            O41392798    6,193     90,000 SH  CALL SOLE       1            90,000          0    0
SINA CORP/CHINA ORD      CMN            O89848792    6,193     90,000 SH  CALL SOLE       1            90,000          0    0
SIRONA DENTAL SYSTEM     CMN            82966C103      984     23,548 SH       SOLE       2            23,548          0    0
SIX FLAGS INC CMN        CMN            83001A102   10,854     19,953 SH       SOLE       4            19,953          0    0
SIX FLAGS INC CMN (R     CMN            83001A201   70,377    129,369 SH       SOLE       4           129,369          0    0
SL GREEN REALTY CORP     CMN            78440X101      382      5,659 SH       SOLE       1             5,659          0    0
SLEEPMASTER CMN          CMN            63299N9L3        -      2,638 SH       SOLE       4             2,638          0    0
SLM CORPORATION COM      CMN            78442P106        2        174 SH       DEFINED    2                          174    0
SLM CORPORATION COM      CMN            78442P106      180     14,278 SH       DEFINED    1                       14,278    0
SMALL CAP BULL 3X SH     CMN            25459W847   10,866    150,000 SH       SOLE       1           150,000          0    0
SMITHFIELD FOODS INC     CMN            832248108      824     39,960 SH       SOLE       1            39,960          0    0
SMITHFIELD FOODS INC     CMN            O47217198    4,457    216,100 SH  CALL SOLE       1           216,100          0    0
SMITHFIELD FOODS INC     CMN            O88012698      413     20,000 SH  CALL SOLE       1            20,000          0    0
SOLUTIA INC CMN          CMN            834376501   33,867    146,736 SH       SOLE       4           146,736          0    0
SOTHEBY'S COM STK US     CMN            835898107    1,058     23,500 SH       SOLE       1            23,500          0    0
SOUTHERN CO COM USD5     CMN            842587107      535     14,000 SH       DEFINED    2                       14,000    0
SOUTHERN CO COM USD5     CMN            842587107      490     12,812 SH       DEFINED    2                       12,812    0
SOUTHWESTERN ENERGY      CMN            O00979296    3,032     81,000 SH  CALL SOLE       1            81,000          0    0
SPDR METALS & MINING     CMN            78464A755    1,733     25,200 SH       SOLE       1            25,200          0    0
SPDR METALS & MINING     CMN            O82464294    4,127     60,000 SH  PUT  SOLE       1            60,000          0    0
SPDR S&P 500 ETF TRU     CMN            78462F103  654,294  5,203,136 SH       DEFINED    2                    5,203,136    0
SPDR S&P 500 ETF TRU     CMN            78462F103      225      1,791 SH       DEFINED    2                        1,791    0
SPDR TRUST SERIES 1      CMN            78462F103  438,233  3,484,953 SH       DEFINED    1                    3,484,953    0
SPDR TRUST SERIES 1      CMN            O15339594   13,833    110,000 SH  PUT  SOLE       1           110,000          0    0
SPDR TRUST SERIES 1      CMN            O15346092   37,725    300,000 SH  PUT  SOLE       1           300,000          0    0
SPDR TRUST SERIES 1      CMN            O32241592   62,875    500,000 SH  PUT  SOLE       1           500,000          0    0
SPDR TRUST SERIES 1      CMN            O80876492   16,674    132,600 SH  PUT  SOLE       1           132,600          0    0
SPDR TRUST SERIES 1      CMN            O80876992   10,689     85,000 SH  PUT  SOLE       1            85,000          0    0
SPDR TRUST SERIES 1      CMN            O80877592   31,438    250,000 SH  PUT  SOLE       1           250,000          0    0
SPDR TRUST SERIES 1      CMN            O80880990   25,150    200,000 SH  PUT  SOLE       1           200,000          0    0
SPDR TRUST SERIES 1      CMN            O80881090   25,150    200,000 SH  PUT  SOLE       1           200,000          0    0
SPDR TRUST SERIES 1      CMN            O88896798   31,438    250,000 SH  PUT  SOLE       1           250,000          0    0
SPDR TRUST SERIES 1      CMN            O15333094    2,666     21,200 SH  CALL SOLE       1            21,200          0    0
SPRINT NEXTEL CORP C     CMN            852061100       67     15,726 SH       DEFINED    2                       15,726    0
SPRINT NEXTEL CORP C     CMN            852061100    1,431    337,900 SH       DEFINED    1                      337,900    0
SPRINT NEXTEL CORP C     CMN            O27628796   10,311  2,435,000 SH  CALL SOLE       1         2,435,000          0    0
SPRINT NEXTEL CORP C     CMN            O85954396    1,736    410,000 SH  CALL SOLE       1           410,000          0    0
SSCC CS                  CMN            83272A104  135,514    529,350 SH       SOLE       4           529,350          0    0
ST JUDE MEDICAL INC      CMN            790849103       27        637 SH       DEFINED    2                          637    0
ST JUDE MEDICAL INC      CMN            790849103    3,121     73,000 SH       DEFINED    1                       73,000    0
STAPLES INC COM STK      CMN            O32217298   11,383    500,000 SH  CALL SOLE       1           500,000          0    0
STARBUCKS CORP COM U     CMN            855244109      339     10,558 SH       SOLE       2            10,558          0    0
STARWOOD HOTELS & RE     CMN            85590A401      300      4,934 SH       SOLE       2             4,934          0    0
STATE STREET CORP CO     CMN            857477103        8        180 SH       DEFINED    2                          180    0
STATE STREET CORP CO     CMN            857477103      684     14,750 SH       DEFINED    1                       14,750    0
STATE STREET CORP CO     CMN            O20396398   14,367    310,000 SH  PUT  SOLE       1           310,000          0    0
STATE STREET CORP CO     CMN            O30903090    4,634    100,000 SH  PUT  SOLE       1           100,000          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
STEEL DYNAMICS INC       CMN            858119100    1,907    104,200 SH       DEFINED    1                      104,200    0
STEEL DYNAMICS INC C     CMN            858119100      156      8,500 SH       DEFINED    2                        8,500    0
STILLWATER MNG COM U     CMN            86074Q102    4,269    200,000 SH       SOLE       2           200,000          0    0
STRATUS ORDINARY SHA     CMN            86317V108        -    268,444 SH       SOLE       4           268,444          0    0
STRATUS PREFERENCE S     CMN            86317V306        -     61,086 SH       SOLE       4            61,086          0    0
STREETTRACKS DIVIDEN     CMN            78464A763      343      6,600 SH       SOLE       1             6,600          0    0
STREETTRACKS GOLD TR     CMN            78463V107   13,750     12,850 SH       DEFINED    2                       12,850    0
STREETTRACKS GOLD TR     CMN            78463V107  135,216    974,752 SH       DEFINED    1                      974,752    0
STREETTRACKS GOLD TR     CMN            O15746192   13,872    100,000 SH  PUT  SOLE       1           100,000          0    0
STREETTRACKS GOLD TR     CMN            O15752196   17,340    125,000 SH  PUT  SOLE       1           125,000          0    0
STREETTRACKS GOLD TR     CMN            O15815198   17,340    125,000 SH  PUT  SOLE       1           125,000          0    0
STREETTRACKS GOLD TR     CMN            O49218198   13,872    100,000 SH  PUT  SOLE       1           100,000          0    0
STREETTRACKS GOLD TR     CMN            O15200690   27,744    200,000 SH  CALL SOLE       1           200,000          0    0
STREETTRACKS GOLD TR     CMN            O15207690   27,744    200,000 SH  CALL SOLE       1           200,000          0    0
STREETTRACKS GOLD TR     CMN            O15208690   38,148    275,000 SH  CALL SOLE       1           275,000          0    0
STREETTRACKS GOLD TR     CMN            O15293698   27,744    200,000 SH  CALL SOLE       1           200,000          0    0
STREETTRACKS GOLD TR     CMN            O49189290   13,872    100,000 SH  CALL SOLE       1           100,000          0    0
STREETTRACKS GOLD TR     CMN            O49190298    4,162     30,000 SH  CALL SOLE       1            30,000          0    0
STREETTRACKS SERIE S     CMN            78464A888    1,784    102,610 SH       DEFINED    2                      102,610    0
STREETTRACKS SERIE S     CMN            78464A888    7,810    449,066 SH       DEFINED    1                      449,066    0
STREETTRACKS SERIE S     CMN            O21969694    3,478    200,000 SH  CALL SOLE       1           200,000          0    0
STREETTRACKS SPDR RE     CMN            O23881790   23,213    480,000 SH  PUT  SOLE       1           480,000          0    0
STREETTRACKS SPDR RE     CMN            O23887790    1,934     40,000 SH  PUT  SOLE       1            40,000          0    0
STREETTRACKS SPDR RE     CMN            O23889790    4,352     90,000 SH  PUT  SOLE       1            90,000          0    0
STREETTRACKS SPDR RE     CMN            O23894798   39,896    825,000 SH  PUT  SOLE       1           825,000          0    0
SUCCESSFACTORS INC U     CMN            864596101      478     16,500 SH       SOLE       1            16,500          0    0
SUNTRUST BANKS, INC      CMN            867914103        5        180 SH       DEFINED    2                          180    0
SUNTRUST BANKS, INC      CMN            867914103      418     14,151 SH       DEFINED    1                       14,151    0
SYNIVERSE HOLDINGS I     CMN            87163F106   41,300  1,339,000 SH       SOLE       2         1,339,000          0    0
SYNOVUS FINANCIAL CO     CMN            87161C105       56     21,240 SH       SOLE       1            21,240          0    0
TAIWAN SEMICONDUCTOR     CMN            874039100  116,316  9,270,495 SH       SOLE       2         9,270,495          0    0
TAKE-TWO INTERACTIVE     CMN            874054109    6,120    498,977 SH       DEFINED    2                      498,977    0
TAKE-TWO INTERACTIVE     CMN            874054109   11,627    947,954 SH       DEFINED    2                      947,954    0
TAKE-TWO INTERACTIVE     CMN            O06095296      307     25,000 SH  CALL SOLE       1            25,000          0    0
TALEO CORP CL'A' COM     CMN            87424N104      315     11,400 SH       SOLE       2            11,400          0    0
Tata Motors Ltd          CMN            876568502      191      6,500 SH       SOLE       3             6,500          0    0
TEKELEC COM NPV          CMN            879101103    2,231    187,377 SH       SOLE       1           187,377          0    0
TELECOMMNS SYSTEMS C     CMN            87929J103      234     50,000 SH       DEFINED    2                       50,000    0
TELECOMMNS SYSTEMS C     CMN            87929J103      420     90,000 SH       DEFINED    2                       90,000    0
TELEFLEX INC COM USD     CMN            879369106    2,153     40,000 SH       SOLE       2            40,000          0    0
TEMPLE-INLAND INC CO     CMN            879868107      425     20,000 SH       SOLE       1            20,000          0    0
TEMPLE-INLAND INC CO     CMN            O88117898      637     30,000 SH  CALL SOLE       1            30,000          0    0
TENET HEALTHCARE COR     CMN            88033G100    6,807  1,017,850 SH       SOLE       2         1,017,850          0    0
TERADYNE INC COM USD     CMN            880770102    9,034    643,151 SH       DEFINED    2                      643,151    0
TERADYNE INC COM USD     CMN            880770102    8,394    597,539 SH       DEFINED    2                      597,539    0
TEVA PHARMACEUTICAL      CMN            881624209      291      5,581 SH       SOLE       2             5,581          0    0
TEXAS INSTRUMENTS IN     CMN            882508104      936     28,812 SH       SOLE       2            28,812          0    0
TEXTRON INC COM STK      CMN            883203101   12,149    513,920 SH       DEFINED    2                      513,920    0
TEXTRON INC COM STK      CMN            883203101   12,157    514,255 SH       DEFINED    2                      514,255    0
TEXTRON INC COM STK      CMN            O61704690      709     30,000 SH  PUT  SOLE       1            30,000          0    0
TEXTRON INC COM STK      CMN            O06485796    2,170     91,800 SH  CALL SOLE       1            91,800          0    0
THE ALLSTATE CORPORA     CMN            020002101        6        192 SH       DEFINED    2                          192    0
THE ALLSTATE CORPORA     CMN            020002101    2,098     65,822 SH       DEFINED    1                       65,822    0
THE CHARLES SCHWAB C     CMN            808513105        6        355 SH       DEFINED    2                          355    0
THE CHARLES SCHWAB C     CMN            808513105      498     29,100 SH       DEFINED    1                       29,100    0
THE GOLDMAN SACHS GR     CMN            38141G104    7,819     46,500 SH       DEFINED    2                       46,500    0
THE GOLDMAN SACHS GR     CMN            38141G104    7,246     43,093 SH       DEFINED    2                       43,093    0
THE GOLDMAN SACHS GR     CMN            38141G104    2,550     15,163 SH       DEFINED    1                       15,163    0
THE GOLDMAN SACHS GR     CMN            O17894698   11,939     71,000 SH  PUT  SOLE       1            71,000          0    0
THE GOLDMAN SACHS GR     CMN            O17744692    6,054     36,000 SH  CALL SOLE       1            36,000          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
THE GOLDMAN SACHS GR     CMN            O17746692    2,522     15,000 SH  CALL SOLE       1            15,000          0    0
THE GOLDMAN SACHS GR     CMN            O17748692   15,050     89,500 SH  CALL SOLE       1            89,500          0    0
THERAVANCE INC COM S     CMN            88338T104      247      9,874 SH       SOLE       2             9,874          0    0
TIBCO SOFTWARE INC C     CMN            88632Q103    1,285     65,200 SH       SOLE       2            65,200          0    0
TIFFANY & CO COM USD     CMN            886547108       86      1,388 SH       DEFINED    2                        1,388    0
TIFFANY & CO COM USD     CMN            886547108    1,262     20,261 SH       DEFINED    2                       20,261    0
TIME WARNER CABLE IN     CMN            88732J207    2,126     32,204 SH       SOLE       2            32,204          0    0
TJX COS INC COM USD1     CMN            872540109      394      8,865 SH       SOLE       2             8,865          0    0
TRANSOCEAN LTD CHF15     CMN            H8817H100        -          7 SH       DEFINED    1                            7    0
TRANSOCEAN LTD CHF15     CMN            H8817H100      936     13,458 SH       DEFINED    2                       13,458    0
TRAVELERS COS INC/TH     CMN            89417E109       10        173 SH       DEFINED    2                          173    0
TRAVELERS COS INC/TH     CMN            89417E109    2,481     44,546 SH       DEFINED    1                       44,546    0
TRAVELERS COS INC/TH     CMN            O05509298    1,844     33,100 SH  CALL SOLE       1            33,100          0    0
TRIQUINT SEMICONDUCT     CMN            89674K103      196     16,742 SH       SOLE       2            16,742          0    0
TRW AUTOMOTIVE HOLDI     CMN            87264S106       23        445 SH       DEFINED    2                          445    0
TRW AUTOMOTIVE HOLDI     CMN            87264S106      987     18,729 SH       DEFINED    1                       18,729    0
TUESDAY MORNING CORP     CMN            899035505    1,019    192,991 SH       SOLE       1           192,991          0    0
TYCO ELECTRONICS LTD     CMN            H8912P106      510     14,406 SH       SOLE       2            14,406          0    0
TYSON FOODS INC CLAS     CMN            902494103    1,555     90,294 SH       SOLE       2            90,294          0    0
UGC EUROPE CMN           CMN            90268P102        0          - SH       SOLE       4                 -          0    0
UNION PACIFIC CORP C     CMN            907818108      309      3,330 SH       SOLE       2             3,330          0    0
UNITED CONTINENTAL H     CMN            O32357096    2,229     93,600 SH  CALL SOLE       1            93,600          0    0
UNITED STATES NATURA     CMN            912318102        6      1,000 SH       DEFINED    2                        1,000    0
UNITED STATES NATURA     CMN            912318102    1,496    250,000 SH       DEFINED    1                      250,000    0
UNITED STATES STEEL      CMN            O31164694    1,461     25,000 SH  PUT  SOLE       1            25,000          0    0
UNITED STATES STEEL      CMN            O16471792    3,353     57,400 SH  CALL SOLE       1            57,400          0    0
UNITED STATES STEEL      CMN            O16473192   13,145    225,000 SH  CALL SOLE       1           225,000          0    0
UNITED STATES STEEL      CMN            O84372492    2,243     38,400 SH  CALL SOLE       1            38,400          0    0
UNITED TECHNOLOGIES      CMN            913017109    1,903     24,177 SH       SOLE       2            24,177          0    0
UNITEDHEALTH GROUP I     CMN            91324P102      993     27,500 SH       DEFINED    2                       27,500    0
UNITEDHEALTH GROUP I     CMN            91324P102    1,399     38,741 SH       DEFINED    2                       38,741    0
UNITEDHEALTH GROUP I     CMN            91324P102      397     11,000 SH       DEFINED    1                       11,000    0
UNITEDHEALTH GROUP I     CMN            O07900290    7,222    200,000 SH  PUT  SOLE       1           200,000          0    0
UNITEDHEALTH GROUP I     CMN            O07905296    1,148     31,800 SH  PUT  SOLE       1            31,800          0    0
UNITEDHEALTH GROUP I     CMN            O07872196    2,167     60,000 SH  CALL SOLE       1            60,000          0    0
UNUM GROUP COM USD0.     CMN            91529Y106       37      1,517 SH       DEFINED    2                        1,517    0
UNUM GROUP COM USD0.     CMN            91529Y106      229      9,440 SH       DEFINED    1                        9,440    0
US BANCORP INC COM U     CMN            902973304      147      5,463 SH       DEFINED    2                        5,463    0
US BANCORP INC COM U     CMN            902973304    1,602     59,409 SH       DEFINED    1                       59,409    0
US POWER GENERATING      CMN            963363Z      4,438     35,500 SH       SOLE       4            35,500          0    0
UTD STS OIL FD LP UN     CMN            91232N108    2,340     60,000 SH       DEFINED    2                       60,000    0
UTD STS OIL FD LP UN     CMN            91232N108    2,770     71,023 SH       DEFINED    2                       71,023    0
VALE SA COM NPV          CMN            91912E105    9,002    260,466 SH       SOLE       2           260,466          0    0
VALERO ENERGY CORP C     CMN            91913Y100       84      3,632 SH       DEFINED    2                        3,632    0
VALERO ENERGY CORP C     CMN            91913Y100    4,067    175,891 SH       DEFINED    1                      175,891    0
VALERO ENERGY CORP C     CMN            O12199198      777     33,600 SH  CALL SOLE       1            33,600          0    0
VANGUARD ENERGY ETF      CMN            92204A306      219      2,200 SH       SOLE       1             2,200          0    0
VARIAN MEDICAL SYSTE     CMN            92220P105      529      7,632 SH       SOLE       2             7,632          0    0
VCA ANTECH INC COM U     CMN            918194101    2,106     90,399 SH       SOLE       2            90,399          0    0
VEECO INSTRUMENTS IN     CMN            O49973292    6,013    140,000 SH  PUT  SOLE       1           140,000          0    0
VEECO INSTRUMENTS IN     CMN            O04848790    2,148     50,000 SH  CALL SOLE       1            50,000          0    0
VERISIGN INC COM USD     CMN            92343E102    1,431     43,804 SH       SOLE       2            43,804          0    0
VERIZON COMMUNICATIO     CMN            92343V104      749     20,943 SH       DEFINED    2                       20,943    0
VERIZON COMMUNICATIO     CMN            92343V104    2,991     83,596 SH       DEFINED    2                       83,596    0
VERIZON COMMUNICATIO     CMN            92343V104      338      9,452 SH       DEFINED    1                        9,452    0
VIRGIN MEDIA INC COM     CMN            92769L101    6,832    250,847 SH       SOLE       2           250,847          0    0
VISA INC USD0.0001       CMN            92826C839   13,127    186,525 SH       DEFINED    2                      186,525    0
VISA INC USD0.0001       CMN            92826C839      913     12,976 SH       DEFINED    2                       12,976    0
VISA INC USD0.0001       CMN            92826C839  101,406  1,440,944 SH       DEFINED    1                    1,440,944    0
VISA INC USD0.0001       CMN            O11292798    2,287     32,500 SH  CALL SOLE       1            32,500          0    0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7          COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- --------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED   NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- ----
                                                                                        
VISA INC USD0.0001       CMN            O11293798    2,562     36,400 SH  CALL SOLE       1            36,400          0    0
VISA INC USD0.0001       CMN            O11295798    1,063     15,100 SH  CALL SOLE       1            15,100          0    0
VISA INC USD0.0001       CMN            O11296798    1,422     20,200 SH  CALL SOLE       1            20,200          0    0
VISTEON NEW CMN          CMN            92839U206    9,603     12,933 SH       SOLE       4            12,933          0    0
VISTEON NEW CMN - 14     CMN            92839U305  368,477    534,025 SH       SOLE       4           534,025          0    0
VISTEON NEW CMN REST     CMN            92839U404   70,194     94,537 SH       SOLE       4            94,537          0    0
VODAFONE GROUP PLC O     CMN            92857W209    1,695     64,100 SH       SOLE       2            64,100          0    0
WAL-MART STORES INC      CMN            931142103    1,837     34,059 SH       DEFINED    2                       34,059    0
WAL-MART STORES INC      CMN            931142103    1,348     25,000 SH       DEFINED    1                       25,000    0
WAL-MART STORES INC      CMN            O15778292   22,923    425,000 SH  CALL SOLE       1           425,000          0    0
WAL-MART STORES INC      CMN            O33012698   22,923    425,000 SH  CALL SOLE       1           425,000          0    0
WAL-MART STORES INC      CMN            O67170992   65,966  1,223,000 SH  CALL SOLE       1         1,223,000          0    0
WALTER ENERGY INC        CMN            93317Q105   12,784    100,000 SH       SOLE       2           100,000          0    0
WASHINGTON POST CO       CMN            939640108      441      1,004 SH       DEFINED    2                        1,004    0
WASHINGTON POST CO       CMN            939640108       44        100 SH       DEFINED    1                          100    0
WATSCO INC COM USD0.     CMN            942622200      151      2,388 SH       DEFINED    2                        2,388    0
WATSCO INC COM USD0.     CMN            942622200      270      4,276 SH       DEFINED    2                        4,276    0
WELLPOINT INC COM US     CMN            94973V107    4,668     82,100 SH       DEFINED    2                       82,100    0
WELLPOINT INC COM US     CMN            94973V107    4,521     79,511 SH       DEFINED    2                       79,511    0
WELLS FARGO & CO COM     CMN            949746101    3,988    128,700 SH       DEFINED    2                      128,700    0
WELLS FARGO & CO COM     CMN            949746101    3,416    110,242 SH       DEFINED    2                      110,242    0
WELLS FARGO & CO COM     CMN            949746101    4,435    143,141 SH       DEFINED    1                      143,141    0
WELLS FARGO & CO COM     CMN            O67017998    2,280     73,600 SH  PUT  SOLE       1            73,600          0    0
WELLS FARGO & CO COM     CMN            O50414898    3,098    100,000 SH  CALL SOLE       1           100,000          0    0
WESTERN DIGITAL CORP     CMN            958102105      955     28,177 SH       SOLE       2            28,177          0    0
WESTERN UNION COMP C     CMN            959802109        9        507 SH       DEFINED    2                          507    0
WESTERN UNION COMP C     CMN            959802109      354     19,051 SH       DEFINED    1                       19,051    0
WIMM-BILL-DANN FOODS     CMN            97263M109    2,092     63,456 SH       SOLE       2            63,456          0    0
WINN-DIXIE STORES IN     CMN            974280307      499      6,956 SH       SOLE       4             6,956          0    0
WIPRO LTD INR2           CMN            97651M109    2,778    179,583 SH       SOLE       2           179,583          0    0
WISDOMTREE INDIA EAR     CMN            97717W422    1,102     41,742 SH       SOLE       1            41,742          0    0
WYNDHAM WORLDWIDE CO     CMN            98310W108    9,489    316,780 SH       DEFINED    2                      316,780    0
WYNDHAM WORLDWIDE CO     CMN            98310W108    9,241    308,509 SH       DEFINED    2                      308,509    0
WYNN RESORTS LTD COM     CMN            983134107    2,246     21,626 SH       SOLE       2            21,626          0    0
WYNN RESORTS LTD COM     CMN            O23239194    2,596     25,000 SH  PUT  SOLE       1            25,000          0    0
WYNN RESORTS LTD COM     CMN            O23201390   15,577    150,000 SH  CALL SOLE       1           150,000          0    0
YAHOO INC COM USD0.0     CMN            984332106      765     46,000 SH       DEFINED    2                       46,000    0
YAHOO INC COM USD0.0     CMN            984332106      736     44,273 SH       DEFINED    2                       44,273    0
YAHOO INC COM USD0.0     CMN            984332106      446     26,816 SH       DEFINED    1                       26,816    0
YAHOO INC COM USD0.0     CMN            O25144292    4,156    250,000 SH  CALL SOLE       1           250,000          0    0
YAHOO INC COM USD0.0     CMN            O25152296    1,663    100,000 SH  CALL SOLE       1           100,000          0    0
YAHOO INC COM USD0.0     CMN            O41871092    2,993    180,000 SH  CALL SOLE       1           180,000          0    0
YUM! BRANDS INC COM      CMN            988498101      867     17,684 SH       SOLE       2            17,684          0    0
ZIMMER HOLDINGS INC      CMN            O26318198   14,764    275,000 SH  CALL SOLE       1           275,000          0    0
ZIONS BANCORPORATION     CMN            989701107        6        256 SH       DEFINED    2                          256    0
ZIONS BANCORPORATION     CMN            989701107      218      8,975 SH       DEFINED    1                        8,975    0
ZIONS BANCORPORATION     CMN            O85634494    1,212     50,000 SH  PUT  SOLE       1            50,000          0    0