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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 3/31/2011
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                       4/19/2011
---------------------------------  ---------------------------------  ----------
[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.
---------------  ---------------------------------------------------------------
014-88809        Nomura Funds Research and Technologies America, Inc.
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    5

Form 13F Information Table Entry Total:             901

Form 13F Information Table Value Total:  $    2,680,541
                                         --------------
                                         (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.
----  --------------------  ----------------------------------------------------
5     014-88809             Nomura Funds Research and Technologies America, 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      876      9,365 SH       SOLE       2             9,365         0       0
99 CENTS ONLY STORES     CMN            65440K106    3,527    180,000 SH       SOLE       2           180,000         0       0
A123 SYSTEM INC COM      CMN            03739T108      109     17,251 SH       SOLE       2            17,251         0       0
A123 Systems, Inc.       CMN            03739T108      157     24,780 SH       SOLE       3            24,780         0       0
ABB LTD 'REG'CHF1.03     CMN            000375204        -         51 SH       SOLE       2                51         0       0
ABBOTT LABORATORIES      CMN            002824100    1,439     29,342 SH       DEFINED    2                      29,342       0
ABBOTT LABORATORIES      CMN            002824100       74      1,515 SH       DEFINED    2                       1,515       0
ABITIBIBOWATER INC       CMN            3687209      1,391     51,782 SH       SOLE       4            51,551    51,551     231
ACACIA RESEARCH CO C     CMN            003881307      221      6,446 SH       SOLE       2             6,446         0       0
ACE LTD CHF30.57         CMN            H0023R105      250      3,857 SH       SOLE       2             3,857         0       0
ACI WORLDWIDE INC CO     CMN            004498101      472     14,394 SH       SOLE       2            14,394         0       0
ACTIVISION BLIZZARD      CMN            00507V109      309     28,143 SH       SOLE       2            28,143         0       0
ADOBE SYSTEMS INC CO     CMN            00724F101    1,590     47,952 SH       DEFINED    1                      47,952       0
ADOBE SYSTEMS INC CO     CMN            00724F101      146      4,389 SH       DEFINED    2                       4,389       0
ADTRAN INC COM USD0.     CMN            00738A106    2,466     58,089 SH       SOLE       2            58,089         0       0
ADVANCED MICRO DEVIC     CMN            007903107      767     89,236 SH       SOLE       2            89,236         0       0
ADVANCED SEMICONDUCT     CMN            00756M404        -          5 SH       SOLE       2                 5         0       0
AERCAP HOLDINGS NV E     CMN            N00985106        -        600 SH       SOLE       2               600         0       0
AFFILIATED MANAGERS      CMN            008252108      839      7,674 SH       SOLE       2             7,674         0       0
AFFYMETRIX INC COM U     CMN            00826T108       86     16,482 SH       SOLE       2            16,482         0       0
AFLAC INC COM USD0.1     CMN            001055102      251      4,747 SH       SOLE       2             4,747         0       0
AFLAC Incorporated       CMN            1055102         16        300 SH       SOLE       3               300         0       0
AGILENT TECHNOLOGIES     CMN            00846U101      461     10,294 SH       SOLE       2            10,294         0       0
AGNICO-EAGLE MINES L     CMN            008474108      202      3,040 SH       SOLE       2             3,040         0       0
AGRIUM INC COM NPV       CMN            008916108      350      3,790 SH       SOLE       2             3,790         0       0
AIR METHODS CORP COM     CMN            009128307      452      6,720 SH       SOLE       2             6,720         0       0
ALASKA COMMSS SYSTEM     CMN            01167P101      149     14,042 SH       SOLE       2            14,042         0       0
ALBERTO-CULVER CO CO     CMN            013078100    4,055    108,800 SH       SOLE       2           108,800         0       0
ALCATEL-LUCENT EUR2      CMN            013904305        -        600 SH       SOLE       2               600         0       0
ALCOA INC COM USD1       CMN            013817101    1,246     70,562 SH       SOLE       2            70,562         0       0
ALCON INC COM CHF0.2     CMN            H01301102        -        697 SH       SOLE       2               697         0       0
ALEXION PHARMACEUTIC     CMN            015351109    6,721     68,100 SH       DEFINED    1                      68,100       0
ALEXION PHARMACEUTIC     CMN            015351109    3,097     31,384 SH       DEFINED    2                      31,384       0
ALLEGHENY TECHNOLOGI     CMN            01741R102      262      3,864 SH       SOLE       2             3,864         0       0
ALLIANCE RESOURCE PA     CMN            01877R108      310      3,810 SH       SOLE       2             3,810         0       0
ALLIANT TECHSYSTEMS      CMN            018804104      252      3,565 SH       SOLE       1             3,565         0       0
ALLSCRIPTS HEALTHCAR     CMN            01988P108      225     10,721 SH       SOLE       2            10,721         0       0
ALPHA NAT RES LLC CO     CMN            02076X102      330      5,555 SH       SOLE       2             5,555         0       0
ALTERA CORP COM USD0     CMN            021441100      268      6,089 SH       SOLE       2             6,089         0       0
ALTRIA GROUP INC COM     CMN            02209S103      427     16,396 SH       SOLE       2            16,396         0       0
AMAZON.COM INC COM U     CMN            023135106      991      5,500 SH       SOLE       2             5,500         0       0
AMERCO INC COM USD0.     CMN            023586100      231      2,380 SH       SOLE       2             2,380         0       0
AMERICA MOVIL SAB DE     CMN            02364W105        -     50,000 SH       SOLE       2            50,000         0       0
AMERICAN CAPITAL LTD     CMN            02503Y103      737     74,360 SH       SOLE       2            74,360         0       0
AMERICAN ELECTRIC PO     CMN            025537101      785     22,341 SH       SOLE       2            22,341         0       0
AMERICAN EXPRESS CO      CMN            025816109    1,332     29,463 SH       SOLE       2            29,463         0       0
AMERICAN INTERNATION     CMN            026874784    8,886    252,861 SH       DEFINED    1                     252,861       0
AMERICAN INTERNATION     CMN            026874784      480     13,671 SH       DEFINED    2                      13,671       0
AMERICAN INTERNATION     CMN            026874784      119      3,384 SH       DEFINED    2                       3,384       0
American Internation     CMN            26874784        38      1,080 SH       SOLE       3             1,080         0       0
AMERICAN MEDICAL SYS     CMN            02744M108       77      3,539 SH       DEFINED    1                       3,539       0
AMERICAN MEDICAL SYS     CMN            02744M108      159      7,363 SH       DEFINED    2                       7,363       0
AMERICAN PUBLIC EDUC     CMN            02913V103      340      8,400 SH       SOLE       2             8,400         0       0
AMERICAN TOWER CORP      CMN            029912201      344      6,648 SH       SOLE       2             6,648         0       0
AMERON INTERNATIONAL     CMN            030710107      244      3,500 SH       SOLE       2             3,500         0       0
AMGEN INC COM USD0.0     CMN            031162100    2,598     48,596 SH       DEFINED    2                      48,596       0
AMGEN INC COM USD0.0     CMN            031162100      562     10,517 SH       DEFINED    2                      10,517       0
AMKOR TECHNOLOGY INC     CMN            031652100      207     30,731 SH       SOLE       2            30,731         0       0
AMPHENOL CORP CL'A'C     CMN            032095101      375      6,900 SH       DEFINED    1                       6,900       0
AMPHENOL CORP CL'A'C     CMN            032095101       31        565 SH       DEFINED    2                         565       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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
ANADARKO PETROLEUM C     CMN            032511107      119      1,458 SH       DEFINED    1                       1,458       0
ANADARKO PETROLEUM C     CMN            032511107      390      4,766 SH       DEFINED    2                       4,766       0
ANDERSONS INC/THE CO     CMN            034164103      292      5,987 SH       SOLE       2             5,987         0       0
ANHEUSER-BUSCH INBEV     CMN            03524A108        -        890 SH       SOLE       2               890         0       0
ANSYS INC COM USD0.0     CMN            03662Q105    3,033     55,977 SH       SOLE       2            55,977         0       0
AOL INC COM NPV          CMN            00184X105      883     45,205 SH       SOLE       2            45,205         0       0
APACHE CORP USD0.625     CMN            037411105      275      2,100 SH       DEFINED    1                       2,100       0
APACHE CORP USD0.625     CMN            037411105      608      4,644 SH       DEFINED    2                       4,644       0
APARTMENT INV& MANAG     CMN            03748R101      331     12,979 SH       SOLE       2            12,979         0       0
APOLLO (EDUCATION) G     CMN            037604105      230      5,512 SH       SOLE       2             5,512         0       0
APOLLO INVESTMENT CO     CMN            03761U106      757     62,718 SH       SOLE       2            62,718         0       0
A-POWER ENERGY GENER     CMN            G04136100        -      8,224 SH       SOLE       2             8,224         0       0
APPLE INC COM NPV        CMN            037833100      209        600 SH       DEFINED    2                         600       0
APPLE INC COM NPV        CMN            037833100   15,319     43,956 SH       DEFINED    2                      43,956       0
Apple Inc.               CMN            37833100       371      1,065 SH       SOLE       3             1,065         0       0
APPLIED MICRO CIRCUI     CMN            03822W406      259     24,945 SH       SOLE       2            24,945         0       0
ARCH COAL INC COM US     CMN            039380100      239      6,639 SH       SOLE       2             6,639         0       0
ARCHER-DANIELS-MIDLA     CMN            039483102    4,515    125,375 SH       DEFINED    1                     125,375       0
ARCHER-DANIELS-MIDLA     CMN            039483102      535     14,865 SH       DEFINED    2                      14,865       0
ARENA PHARMACEUTICAL     CMN            040047102      142    102,284 SH       SOLE       2           102,284         0       0
ARES CAPITAL CORP CO     CMN            04010L103    1,344     79,300 SH       SOLE       2            79,300         0       0
ARKANSAS BEST CORP C     CMN            040790107      632     24,391 SH       SOLE       2            24,391         0       0
ARM HOLDINGS PLC ORD     CMN            042068106      819     29,055 SH       SOLE       2            29,055         0       0
ARMSTRONG WORLD INDU     CMN            04247X102      237      5,114 SH       SOLE       4             5,114     5,114       0
ARRIS GROUP INC COM      CMN            04269Q100       60      4,713 SH       DEFINED    1                       4,713       0
ARRIS GROUP INC COM      CMN            04269Q100      655     51,470 SH       DEFINED    2                      51,470       0
ARTHROCARE CORP COM      CMN            043136100      344     10,318 SH       SOLE       2            10,318         0       0
ARUBA NETWORKS INC C     CMN            043176106      230      6,803 SH       SOLE       2             6,803         0       0
ASCENA RETAIL GROUP      CMN            04351G101      582     17,965 SH       SOLE       2            17,965         0       0
ASPEN INSURANCE HOLD     CMN            G05384105        -        800 SH       SOLE       2               800         0       0
ASPEN TECHNOLOGY INC     CMN            045327103      320     21,344 SH       SOLE       2            21,344         0       0
AT&T INC COM USD1        CMN            00206R102   16,491    538,750 SH       DEFINED    1                     538,750       0
AT&T INC COM USD1        CMN            00206R102      869     28,404 SH       DEFINED    2                      28,404       0
AT&T INC COM USD1        CMN            00206R102      247      8,076 SH       DEFINED    2                       8,076       0
ATHENAHEALTH INC COM     CMN            04685W103      872     19,315 SH       SOLE       2            19,315         0       0
ATHEROS COMMUNICATIO     CMN            04743P108    7,694    172,303 SH       SOLE       2           172,303         0       0
ATLAS AIR WORLDWIDE      CMN            049164205      467      6,696 SH       SOLE       2             6,696         0       0
AU OPTRONICS CORP TW     CMN            002255107        -      6,000 SH       SOLE       2             6,000         0       0
AURIZON MINES LTD CO     CMN            05155P106        -        100 SH       SOLE       2               100         0       0
AUTODESK INC COM USD     CMN            052769106      289      6,558 SH       SOLE       2             6,558         0       0
AUTOMATIC DATA PROCE     CMN            053015103      268      5,218 SH       SOLE       2             5,218         0       0
AVON PRODUCTS INC CO     CMN            054303102      352     13,000 SH       DEFINED    1                      13,000       0
AVON PRODUCTS INC CO     CMN            054303102    2,790    103,149 SH       DEFINED    2                     103,149       0
AXIS CAPITAL HOLDING     CMN            G0692U109        -      1,843 SH       SOLE       2             1,843         0       0
BAIDU INC UNLISTED N     CMN            056752108        -        308 SH       SOLE       2               308         0       0
BAKER HUGHES INC COM     CMN            057224107      459      6,250 SH       SOLE       2             6,250         0       0
BANCO BRADESCO SA PR     CMN            059460303    1,048     50,500 SH       DEFINED    2                      50,500       0
BANCO BRADESCO SA PR     CMN            059460303      772     37,216 SH       DEFINED    2                      37,216       0
BANK OF AMERICA CORP     CMN            060505104   10,767    807,852 SH       DEFINED    1                     807,852       0
BANK OF AMERICA CORP     CMN            060505104   26,864  2,015,554 SH       DEFINED    2                   2,015,554       0
BANK OF AMERICA CORP     CMN            060505104    7,090    531,990 SH       DEFINED    2                     531,990       0
Bank of America Corp     CMN            60505104        83      6,200 SH       SOLE       3             6,200         0       0
BARRICK GOLD CORP CO     CMN            067901108        -     65,638 SH       DEFINED    2                      65,638       0
BARRICK GOLD CORP CO     CMN            067901108        -      7,331 SH       DEFINED    2                       7,331       0
BAXTER INTERNATIONAL     CMN            071813109      341      6,339 SH       SOLE       2             6,339         0       0
BEACON ROOFING SUPPL     CMN            073685109      415     20,269 SH       SOLE       2            20,269         0       0
BEBE STORES INC COM      CMN            075571109       91     15,553 SH       SOLE       2            15,553         0       0
BECKMAN COULTER INC      CMN            075811109      507      6,100 SH       DEFINED    1                       6,100       0
BECKMAN COULTER INC      CMN            075811109    7,073     85,148 SH       DEFINED    2                      85,148       0
BEST BUY CO INC COM      CMN            086516101   16,494    574,343 SH       DEFINED    1                     574,343       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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
BEST BUY CO INC COM      CMN            086516101      592     20,611 SH       DEFINED    2                      20,611       0
BGC PARTNERS INC COM     CMN            05541T101      283     30,473 SH       SOLE       2            30,473         0       0
BHP BILLITON LTD NPV     CMN            088606108    1,096     11,432 SH       SOLE       2            11,432         0       0
BHP BILLITON PLC USD     CMN            05545E209        -    272,054 SH       SOLE       2           272,054         0       0
BIOGEN IDEC INC COM      CMN            09062X103    2,293     31,204 SH       SOLE       2            31,204         0       0
BLACKBAUD INC COM US     CMN            09227Q100      219      8,033 SH       SOLE       2             8,033         0       0
BLACKROCK INC/NEW YO     CMN            09247X101       20        100 SH       DEFINED    1                         100       0
BLACKROCK INC/NEW YO     CMN            09247X101      309      1,537 SH       DEFINED    2                       1,537       0
BLUE COAT SYSTEMS IN     CMN            09534T508      997     35,400 SH       SOLE       2            35,400         0       0
BOEING CO COM USD5       CMN            097023105    2,411     32,611 SH       SOLE       2            32,611         0       0
BP PLC ORD USD0.25       CMN            055622104        -     28,914 SH       SOLE       2            28,914         0       0
BRIGHTPOINT INC COM      CMN            109473405      162     14,969 SH       SOLE       2            14,969         0       0
BRISTOL-MYERS SQUIBB     CMN            110122108      310     11,715 SH       SOLE       2            11,715         0       0
BROADCOM CORP CL A C     CMN            111320107      429     10,883 SH       DEFINED    2                      10,883       0
BROADCOM CORP CL A C     CMN            111320107    1,938     49,213 SH       DEFINED    2                      49,213       0
BROADSOFT INC COM NP     CMN            11133B409      246      5,174 SH       SOLE       2             5,174         0       0
BROCADE COMMUNICATIO     CMN            111621306      575     93,379 SH       SOLE       2            93,379         0       0
BROOKFIELD ASSET MAN     CMN            112585104        -      2,100 SH       SOLE       2             2,100         0       0
BUCYRUS INTERNATIONA     CMN            118759109    6,733     73,623 SH       SOLE       2            73,623         0       0
BUNGE LTD COM USD0.0     CMN            G16962105        -        625 SH       SOLE       2               625         0       0
CA INC COM USD0.10       CMN            12673P105      398     16,436 SH       SOLE       2            16,436         0       0
CADENCE DESIGN SYSTE     CMN            127387108      483     49,565 SH       SOLE       2            49,565         0       0
CAMERON INTERNATIONA     CMN            13342B105    2,746     48,096 SH       DEFINED    1                      48,096       0
CAMERON INTERNATIONA     CMN            13342B105      535      9,365 SH       DEFINED    2                       9,365       0
CANADIAN NATURAL RES     CMN            136385101        -      4,776 SH       DEFINED    2                       4,776       0
CANADIAN NATURAL RES     CMN            136385101        -      3,800 SH       DEFINED    2                       3,800       0
Canadian Solar Inc.      CMN            136635109       39      3,500 SH       SOLE       3             3,500         0       0
CAPITAL GOLD CORP CO     CMN            14018Y205      803    124,800 SH       SOLE       1           124,800         0       0
CAPITAL ONE FINANCIA     CMN            14040H105      673     12,953 SH       SOLE       2            12,953         0       0
CARNIVAL CORP COM US     CMN            143658300      417     10,868 SH       SOLE       2            10,868         0       0
CATERPILLAR INC COM      CMN            149123101    3,158     28,366 SH       SOLE       2            28,366         0       0
CATHAY GENERAL BANCO     CMN            149150104      500     29,348 SH       SOLE       2            29,348         0       0
CAVIUM NETWORKS INC      CMN            14965A101      551     12,252 SH       SOLE       2            12,252         0       0
CB RICHARD ELLIS GRO     CMN            12497T101        -      3,283 SH       SOLE       2             3,283         0       0
CEMEX SAB DE CV CPO      CMN            151290889   34,613  3,876,033 SH       DEFINED    2                   3,876,033       0
CEMEX SAB DE CV CPO      CMN            151290889        1         66 SH       DEFINED    2                          66       0
CENTRAL FUND CDA  CL     CMN            153501101    1,796     80,289 SH       SOLE       2            80,289         0       0
CEPHALON INC COM USD     CMN            156708109   19,240    252,892 SH       DEFINED    2                     252,892       0
CEPHALON INC COM USD     CMN            156708109      221      2,901 SH       DEFINED    2                       2,901       0
CEPHEID INC COM NPV      CMN            15670R107      296     10,575 SH       SOLE       2            10,575         0       0
CF INDUSTRIES HOLDIN     CMN            125269100    1,083      7,920 SH       SOLE       2             7,920         0       0
CH ROBINSON WORLDWID     CMN            12541W209      909     12,265 SH       SOLE       2            12,265         0       0
CHANGYOU.COM LTD COM     CMN            15911M107        -     10,561 SH       SOLE       2            10,561         0       0
CHARLES RIVER LABORA     CMN            159864107    3,256     84,848 SH       SOLE       2            84,848         0       0
CHECK POINT SOFTWARE     CMN            M22465104        -     13,442 SH       SOLE       2            13,442         0       0
CHESAPEAKE ENERGY CO     CMN            165167107      466     13,902 SH       SOLE       2            13,902         0       0
CHEVRON CORP COM USD     CMN            166764100    3,998     37,192 SH       SOLE       2            37,192         0       0
CHINA AGRITECH INC U     CMN            16937A200        -      9,641 SH       SOLE       2             9,641         0       0
CHINA MEDIAEXPRESS H     CMN            169442100        -      5,300 SH       SOLE       1             5,300         0       0
CHINA VALVES TECHNOL     CMN            169476207       66     14,181 SH       SOLE       2            14,181         0       0
CHINA-BIOTICS INC CO     CMN            16937B109      210     26,154 SH       SOLE       2            26,154         0       0
CHIQUITA BRANDS INTE     CMN            170032809      614     40,000 SH       DEFINED    1                      40,000       0
CHIQUITA BRANDS INTE     CMN            170032809        1         89 SH       DEFINED    2                          89       0
CHTR CS                  CMN            16117M305    5,989    118,308 SH       SOLE       4           118,262   118,262      46
CHUBB CORP COM USD1      CMN            171232101      973     15,874 SH       DEFINED    1                      15,874       0
CHUBB CORP COM USD1      CMN            171232101      281      4,585 SH       DEFINED    2                       4,585       0
CIA SIDERURGICA NACI     CMN            20440W105      285     17,091 SH       DEFINED    2                      17,091       0
CIA SIDERURGICA NACI     CMN            20440W105      359     21,526 SH       DEFINED    2                      21,526       0
CIENA CORP COM STK U     CMN            171779309      261     10,072 SH       SOLE       2            10,072         0       0
CIGNA CORP COM USD0.     CMN            125509109       22        500 SH       DEFINED    1                         500       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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
CIGNA CORP COM USD0.     CMN            125509109      517     11,677 SH       DEFINED    2                      11,677       0
CISCO SYSTEMS INC CO     CMN            17275R102   13,411    781,718 SH       DEFINED    2                     781,718       0
CISCO SYSTEMS INC CO     CMN            17275R102    5,539    322,832 SH       DEFINED    2                     322,832       0
CIT CS                   CMN            125581801      278      6,524 SH       SOLE       4             6,524     6,524       0
CITIGROUP INC COM US     CMN            172967101   10,690  2,417,463 SH       DEFINED    1                   2,417,463       0
CITIGROUP INC COM US     CMN            172967101   14,113  3,191,731 SH       DEFINED    2                   3,191,731       0
CITIGROUP INC COM US     CMN            172967226      130    141,376 SH       SOLE       2           141,376         0       0
CITIGROUP INC COM US     CMN            172967101   21,173  4,788,302 SH       DEFINED    2                   4,788,302       0
Citigroup Inc.           CMN            172967101      397     89,800 SH       SOLE       3            89,800         0       0
CITRIX SYSTEMS INC C     CMN            177376100      903     12,291 SH       SOLE       2            12,291         0       0
CLEARWIRE CORP COM S     CMN            18538Q105      323     57,822 SH       SOLE       2            57,822         0       0
CLIFFS NATURAL RESOU     CMN            18683K101      482      4,905 SH       DEFINED    2                       4,905       0
CLIFFS NATURAL RESOU     CMN            18683K101      652      6,631 SH       DEFINED    2                       6,631       0
COACH INC COM USD0.0     CMN            189754104      305      5,869 SH       SOLE       2             5,869         0       0
COCA-COLA CO/THE COM     CMN            191216100    1,482     22,343 SH       SOLE       2            22,343         0       0
COINSTAR INC COM USD     CMN            19259P300    2,349     51,155 SH       DEFINED    1                      51,155       0
COINSTAR INC COM USD     CMN            19259P300       10        221 SH       DEFINED    2                         221       0
COMCAST CORP COM CLS     CMN            20030N101      479     19,384 SH       DEFINED    1                      19,384       0
COMCAST CORP COM CLS     CMN            20030N101    1,737     70,277 SH       DEFINED    2                      70,277       0
COMMERCE BANCSHARES      CMN            200525103      277      6,851 SH       SOLE       2             6,851         0       0
COMMUNITY BANK SYSTE     CMN            203607106      854     35,200 SH       SOLE       1            35,200         0       0
COMPUWARE CORP COM U     CMN            205638109      305     26,427 SH       SOLE       2            26,427         0       0
CONOCOPHILLIPS COM U     CMN            20825C104      495      6,200 SH       DEFINED    1                       6,200       0
CONOCOPHILLIPS COM U     CMN            20825C104    2,127     26,634 SH       DEFINED    2                      26,634       0
CONSOL ENERGY INC CO     CMN            20854P109      244      4,558 SH       SOLE       2             4,558         0       0
CONSUMER STAPLES SPD     CMN            81369Y308      464     15,500 SH       DEFINED    1                      15,500       0
CONSUMER STAPLES SPD     CMN            81369Y308       92      3,065 SH       DEFINED    2                       3,065       0
CONVERGYS CORP COM N     CMN            212485106      918     63,902 SH       DEFINED    1                      63,902       0
CONVERGYS CORP COM N     CMN            212485106        6        448 SH       DEFINED    2                         448       0
COPEL PARANA ENERG P     CMN            20441B407        -        100 SH       SOLE       2               100         0       0
CORE LABORATORIES NV     CMN            N22717107        -      1,000 SH       SOLE       2             1,000         0       0
CORE MARK HOLDINGS C     CMN            218681104       65      1,966 SH       SOLE       4             1,966     1,966       0
COSTCO WHOLESALE COR     CMN            22160K105      328      4,470 SH       SOLE       2             4,470         0       0
COTT CORP COM NPV        CMN            22163N106        -        377 SH       SOLE       2               377         0       0
COVANCE INC COM USD0     CMN            222816100   34,789    635,784 SH       DEFINED    2                     635,784       0
COVANCE INC COM USD0     CMN            222816100        8        139 SH       DEFINED    2                         139       0
CREDIT SUISSE GROUP      CMN            225401108        -        200 SH       SOLE       2               200         0       0
CROCS INC COM STK US     CMN            227046109      816     45,746 SH       SOLE       2            45,746         0       0
CSG SYSTEMS INTERNAT     CMN            126349109      320     16,064 SH       SOLE       2            16,064         0       0
CSX CORP COM USD1        CMN            126408103      465      5,918 SH       SOLE       2             5,918         0       0
Ctrip.com Internatio     CMN            22943F100       50      1,200 SH       SOLE       3             1,200         0       0
CTRIP.COM INTL LTD A     CMN            22943F100        -        468 SH       SOLE       2               468         0       0
CUBIST PHARMACEUTICA     CMN            229678107      209      8,283 SH       SOLE       2             8,283         0       0
CUMMINS INC COM USD2     CMN            231021106      573      5,229 SH       SOLE       2             5,229         0       0
CURRENCYSHARES SWISS     CMN            23129V109      372      3,450 SH       SOLE       2             3,450         0       0
DANA CORP SER B 4% P     PFD            235825502    1,973     12,980 SH       SOLE       4             9,237     9,237   3,743
DANAHER CORP COM USD     CMN            235851102      334      6,435 SH       SOLE       2             6,435         0       0
DARDEN RESTAURANTS I     CMN            237194105      213      4,337 SH       SOLE       2             4,337         0       0
DECKERS OUTDOOR CORP     CMN            243537107      223      2,589 SH       SOLE       2             2,589         0       0
DEERE & CO COM USD1      CMN            244199105      781      8,063 SH       SOLE       2             8,063         0       0
DELL INC COM USD0.01     CMN            24702R101    1,515    104,390 SH       SOLE       2           104,390         0       0
DELTA AIR LINES INC      CMN            247361702      572     58,420 SH       SOLE       2            58,420         0       0
DELTA AIR LINES INC      CMN            247361702      130     13,231 SH       SOLE       4            11,707    11,707   1,524
DENBURY RES INC DE C     CMN            247916208      415     17,000 SH       DEFINED    1                      17,000       0
DENBURY RES INC DE C     CMN            247916208       83      3,387 SH       DEFINED    2                       3,387       0
DENDREON CORP COM US     CMN            24823Q107      238      6,358 SH       SOLE       2             6,358         0       0
DEVON ENERGY CORP CO     CMN            25179M103        7         78 SH       DEFINED    1                          78       0
DEVON ENERGY CORP CO     CMN            25179M103      777      8,472 SH       DEFINED    2                       8,472       0
DEXO CS                  CMN            25212W100    2,244    463,718 SH       SOLE       4           347,373   347,373 116,345
DG FASTCHANNEL INC C     CMN            23326R109      238      7,392 SH       SOLE       2             7,392         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
DIAGEO PLC ORD GBX28     CMN            25243Q205        -        272 SH       SOLE       2               272         0       0
DIAMOND OFFSHORE DRI     CMN            25271C102      476      6,122 SH       SOLE       2             6,122         0       0
DIANA SHIPPING INC C     CMN            Y2066G104        -        210 SH       SOLE       2               210         0       0
DIONEX CORP COM USD0     CMN            254546104      508      4,300 SH       SOLE       1             4,300         0       0
DIRECTV COM USD0.01      CMN            25490A101   34,686    741,204 SH       DEFINED    1                     741,204       0
DIRECTV COM USD0.01      CMN            25490A101    5,011    107,076 SH       DEFINED    2                     107,076       0
DIRECTV COM USD0.01      CMN            25490A101    1,106     23,632 SH       DEFINED    2                      23,632       0
DISCOVER FINANCIAL S     CMN            254709108      630     26,121 SH       SOLE       2            26,121         0       0
DISCOVERY COMMUNICAT     CMN            25470F104       40      1,000 SH       DEFINED    1                       1,000       0
DISCOVERY COMMUNICAT     CMN            25470F104    1,622     40,650 SH       DEFINED    2                      40,650       0
DISH NETWORK CORP CL     CMN            25470M109    1,316     54,032 SH       SOLE       2            54,032         0       0
DOLLAR FINANCIAL COR     CMN            256664103      509     24,548 SH       SOLE       2            24,548         0       0
DONNELLEY (RR) & SON     CMN            257867101      625     33,010 SH       SOLE       2            33,010         0       0
DOW CHEMICAL CO/THE      CMN            260543103      299      7,910 SH       SOLE       2             7,910         0       0
DR PEPPER SNAPPLE GR     CMN            26138E109      232      6,246 SH       SOLE       2             6,246         0       0
DR REDDYS LABORATORI     CMN            256135203        -      1,209 SH       SOLE       2             1,209         0       0
DRYSHIPS INC COM USD     CMN            Y2109Q101        -     51,400 SH       SOLE       2            51,400         0       0
DU PONT EI DE NEMOUR     CMN            263534109      830     15,092 SH       SOLE       2            15,092         0       0
E*TRADE FINANCIAL CO     CMN            269246401      746     47,738 SH       SOLE       2            47,738         0       0
EARTHLINK INC COM US     CMN            270321102      328     41,901 SH       DEFINED    1                      41,901       0
EARTHLINK INC COM US     CMN            270321102    1,482    189,326 SH       DEFINED    2                     189,326       0
EAST WEST BANCORP IN     CMN            27579R104       44      2,000 SH       DEFINED    1                       2,000       0
EAST WEST BANCORP IN     CMN            27579R104    1,298     59,141 SH       DEFINED    2                      59,141       0
EBAY INC COM USD0.00     CMN            278642103      713     22,960 SH       DEFINED    1                      22,960       0
EBAY INC COM USD0.00     CMN            278642103      153      4,930 SH       DEFINED    2                       4,930       0
EDWARDS LIFESCIENCES     CMN            28176E108      679      7,799 SH       DEFINED    1                       7,799       0
EDWARDS LIFESCIENCES     CMN            28176E108       70        806 SH       DEFINED    2                         806       0
EMERGENCY MEDICAL SE     CMN            29100P102       19        300 SH       DEFINED    1                         300       0
EMERGENCY MEDICAL SE     CMN            29100P102    5,567     87,544 SH       DEFINED    2                      87,544       0
EMERSON ELECTRIC CO      CMN            291011104      938     16,058 SH       SOLE       2            16,058         0       0
ENBRIDGE INC COM NPV     CMN            29250N105        -        300 SH       SOLE       2               300         0       0
ENCANA CORP COM NPV      CMN            292505104        -      2,873 SH       SOLE       2             2,873         0       0
ENERGY CONVERSION DE     CMN            292659109       92     40,758 SH       SOLE       2            40,758         0       0
ENI SPA EUR1             CMN            26874R108        -      1,090 SH       SOLE       2             1,090         0       0
ENSCO PLC COM USD0.1     CMN            29358Q109      269      4,652 SH       SOLE       2             4,652         0       0
ENTERGY CORP COM USD     CMN            29364G103      236      3,511 SH       SOLE       2             3,511         0       0
ENTROPIC COMMUNICATI     CMN            29384R105      423     50,000 SH       SOLE       1            50,000         0       0
ENZON PHARMACEUTICAL     CMN            293904108      633     58,007 SH       SOLE       2            58,007         0       0
EOG RESOURCES INC CO     CMN            26875P101      201      1,700 SH       DEFINED    1                       1,700       0
EOG RESOURCES INC CO     CMN            26875P101      393      3,315 SH       DEFINED    2                       3,315       0
EQUINIX INC COM NPV      CMN            29444U502   13,628    149,606 SH       DEFINED    2                     149,606       0
EQUINIX INC COM NPV      CMN            29444U502    1,300     14,270 SH       DEFINED    2                      14,270       0
ERICSSON(LM)TEL ADR(     CMN            294821608      218     16,956 SH       SOLE       2            16,956         0       0
EXCO RESOURCES INC C     CMN            269279402   12,080    584,826 SH       SOLE       2           584,826         0       0
EXELIXIS INC COM USD     CMN            30161Q104      177     15,664 SH       SOLE       2            15,664         0       0
EXELON CORP COM NPV      CMN            30161N101    1,520     36,852 SH       SOLE       2            36,852         0       0
EXIDE TECHNOLOGIES C     CMN            302051206      423     37,889 SH       SOLE       2            37,889         0       0
EXPRESS SCRIPTS INC      CMN            302182100      504      9,065 SH       SOLE       2             9,065         0       0
EXXON MOBIL CORP COM     CMN            30231G102    9,518    113,137 SH       DEFINED    1                     113,137       0
EXXON MOBIL CORP COM     CMN            30231G102    3,491     41,500 SH       DEFINED    2                      41,500       0
EXXON MOBIL CORP COM     CMN            30231G102    6,092     72,420 SH       DEFINED    2                      72,420       0
F5 NETWORKS INC COM      CMN            315616102    2,330     22,714 SH       SOLE       2            22,714         0       0
FEI CO COM NPV           CMN            30241L109      694     20,588 SH       SOLE       2            20,588         0       0
FEMO CS                  CMN            313549404    1,531     61,602 SH       SOLE       4            61,602    61,602       0
FIFTH THIRD BANCORP      CMN            316773100    1,225     88,196 SH       SOLE       2            88,196         0       0
FIN SELECT SECTOR SP     CMN            81369Y605      272     16,622 SH       SOLE       2            16,622         0       0
FIRST NIAGARA FINANC     CMN            33582V108    3,287    242,100 SH       DEFINED    1                     242,100       0
FIRST NIAGARA FINANC     CMN            33582V108       30      2,213 SH       DEFINED    2                       2,213       0
FIRST SOLAR INC COM      CMN            336433107      299      1,862 SH       SOLE       2             1,862         0       0
FLEXTRONICS INTERNAT     CMN            Y2573F102        -     52,990 SH       SOLE       2            52,990         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
FLUOR CORP COM USD0.     CMN            343412102      501      6,800 SH       DEFINED    1                       6,800       0
FLUOR CORP COM USD0.     CMN            343412102    1,127     15,305 SH       DEFINED    2                      15,305       0
FOCUS MEDIA HOLDING      CMN            34415V109        -    308,755 SH       DEFINED    2                     308,755       0
FOCUS MEDIA HOLDING      CMN            34415V109        -     11,440 SH       DEFINED    2                      11,440       0
FORD MOTOR CO COM ST     CMN            345370860   18,406  1,234,784 SH       DEFINED    1                   1,234,784       0
FORD MOTOR CO COM ST     CMN            345370134    7,622  1,195,652 SH       SOLE       2         1,195,652         0       0
FORD MOTOR CO COM ST     CMN            345370860      470     31,558 SH       DEFINED    2                      31,558       0
FORD MOTOR CO COM ST     CMN            345370860    1,000     67,099 SH       DEFINED    2                      67,099       0
FOREST CITY ENTS CLA     CMN            345550107    2,120    112,584 SH       SOLE       2           112,584         0       0
FORTINET INC USD0.00     CMN            34959E109      447     10,130 SH       SOLE       2            10,130         0       0
FORTRESS INVESTM         CMN            34958B106  344,780 60,487,666 SH       SOLE       1        60,487,666         0       0
FRANKLIN RESOURCES I     CMN            354613101      692      5,533 SH       SOLE       2             5,533         0       0
FREEPORT-MCMORAN COP     CMN            35671D857    7,155    128,812 SH       DEFINED    1                     128,812       0
FREEPORT-MCMORAN COP     CMN            35671D857    1,615     29,081 SH       DEFINED    2                      29,081       0
FUELCELL ENERGY INC      CMN            35952H106      119     55,746 SH       SOLE       2            55,746         0       0
FULTON FINANCIAL COR     CMN            360271100      126     11,337 SH       SOLE       2            11,337         0       0
GAFISA SA COM NPV        CMN            362607301        -        220 SH       SOLE       2               220         0       0
GAP INC/THE COM USD0     CMN            364760108      209      9,218 SH       SOLE       2             9,218         0       0
GAYLORD ENTERTAINMEN     CMN            367905106    2,141     61,709 SH       DEFINED    2                      61,709       0
GAYLORD ENTERTAINMEN     CMN            367905106       31        900 SH       DEFINED    2                         900       0
GENERAL DYNAMICS COR     CMN            369550108      276      3,603 SH       SOLE       2             3,603         0       0
GENERAL ELECTRIC CO      CMN            369604103    4,801    239,512 SH       DEFINED    1                     239,512       0
GENERAL ELECTRIC CO      CMN            369604103    4,327    215,856 SH       DEFINED    2                     215,856       0
General Electric Com     CMN            369604103      178      8,900 SH       SOLE       3             8,900         0       0
GENERAL MILLS INC CO     CMN            370334104    3,492     95,554 SH       DEFINED    1                      95,554       0
GENERAL MILLS INC CO     CMN            370334104      122      3,337 SH       DEFINED    2                       3,337       0
GENERAL MOTORS CO 0.     CMN            37045V100    1,326     42,736 SH       DEFINED    2                      42,736       0
GENERAL MOTORS CO 0.     CMN            37045V100       40      1,297 SH       DEFINED    2                       1,297       0
General Motors Compa     CMN            37045V100      716     23,072 SH       SOLE       3            23,072         0       0
GENTIVA HEALTH SERVI     CMN            37247A102      319     11,367 SH       SOLE       2            11,367         0       0
GENZYME CORP COM USD     CMN            372917104      358      4,701 SH       SOLE       2             4,701         0       0
GERDAU SA PRF NPV        CMN            373737105        -    379,593 SH       DEFINED    2                     379,593       0
GERDAU SA PRF NPV        CMN            373737105        -     28,697 SH       DEFINED    2                      28,697       0
GERON CORP COM USD0.     CMN            374163103      535    106,024 SH       SOLE       2           106,024         0       0
GILEAD SCIENCES INC      CMN            375558103   42,265    995,200 SH       DEFINED    2                     995,200       0
GILEAD SCIENCES INC      CMN            375558103      197      4,647 SH       DEFINED    2                       4,647       0
GLOBE SPECIALTY META     CMN            37954N206      384     16,854 SH       SOLE       2            16,854         0       0
GMX RESOURCES INC CO     CMN            38011M108      230     37,310 SH       SOLE       2            37,310         0       0
GOL LINHAS AEREAS SP     CMN            38045R107        -        106 SH       SOLE       2               106         0       0
GOLD FIELDS LTD ZAR0     CMN            38059T106        -        543 SH       SOLE       2               543         0       0
GOODYEAR TIRE & RUBB     CMN            382550101    2,938    196,058 SH       DEFINED    1                     196,058       0
GOODYEAR TIRE & RUBB     CMN            382550101       13        835 SH       DEFINED    2                         835       0
GOOGLE INC COM USD0.     CMN            38259P508    1,067      1,819 SH       DEFINED    2                       1,819       0
GOOGLE INC COM USD0.     CMN            38259P508    1,600      2,727 SH       DEFINED    2                       2,727       0
GPO FIN GALICIA 'B'A     CMN            399909100        -      1,680 SH       SOLE       2             1,680         0       0
GRAHAM PACKAGING CO      CMN            384701108    1,911    109,617 SH       SOLE       2           109,617         0       0
GREAT LAKES DREDGE &     CMN            390607109      278     36,490 SH       SOLE       2            36,490         0       0
GSI COMMERCE INC COM     CMN            36238G102    3,671    125,448 SH       SOLE       2           125,448         0       0
GT SOLAR INTERNATION     CMN            3623E0209      618     57,949 SH       SOLE       2            57,949         0       0
HALLIBURTON CO COM U     CMN            406216101    1,796     36,033 SH       SOLE       2            36,033         0       0
HANESBRANDS INC COM      CMN            410345102        -      1,200 SH       SOLE       2             1,200         0       0
HANWHA SOLARONE CO L     CMN            41135V103       96     12,691 SH       SOLE       2            12,691         0       0
HARMONIC LIGHTWAVE C     CMN            413160102      132     14,128 SH       SOLE       2            14,128         0       0
HAWAIIAN HOLDINGS IN     CMN            419879101      467     77,708 SH       SOLE       2            77,708         0       0
HDFC BANK LTD INR10      CMN            40415F101        -        549 SH       SOLE       2               549         0       0
HERBALIFE LTD COM US     CMN            G4412G101        -         35 SH       SOLE       2                35         0       0
HERSHEY CO/THE COM U     CMN            427866108      207      3,814 SH       SOLE       2             3,814         0       0
HESS CORP COM USD1       CMN            42809H107    1,297     15,223 SH       SOLE       2            15,223         0       0
HEWLETT-PACKARD CO C     CMN            428236103    3,347     81,688 SH       DEFINED    2                      81,688       0
HEWLETT-PACKARD CO C     CMN            428236103    1,679     40,991 SH       DEFINED    2                      40,991       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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
HOME DEPOT INC COM U     CMN            437076102      703     18,968 SH       SOLE       2            18,968         0       0
HONEYWELL INTERNATIO     CMN            438516106    1,329     22,257 SH       SOLE       2            22,257         0       0
HORNBECK OFFSHORE C/     CMN            440543106      243      7,876 SH       SOLE       4             7,876     7,876       0
HORSEHEAD HOLDING CO     CMN            440694305      174     10,222 SH       SOLE       2            10,222         0       0
HSBC HOLDINGS PLC OR     CMN            404280406        -     11,525 SH       SOLE       2            11,525         0       0
HUGHES COMMUNICATION     CMN            444398101   59,672  1,000,000 SH       SOLE       2         1,000,000         0       0
HUMANA INC COM USD0.     CMN            444859102      319      4,566 SH       SOLE       2             4,566         0       0
HUNT (J.B.) TRANSPOR     CMN            445658107      249      5,484 SH       SOLE       2             5,484         0       0
IAC/INTERACTIVECORP      CMN            44919P508      662     21,426 SH       SOLE       2            21,426         0       0
Ibero-America Fund I     CMN            45082X103       27      3,800 SH       SOLE       3             3,800         0       0
ICICI BANK LTD INR10     CMN            45104G104      235      4,726 SH       SOLE       2             4,726         0       0
ILLINOIS TOOL WORKS      CMN            452308109      477      8,876 SH       SOLE       2             8,876         0       0
IMMUNOGEN INC COM US     CMN            45253H101      106     11,725 SH       SOLE       2            11,725         0       0
INFOSYS TECHNOLOGIES     CMN            456788108    7,518    104,855 SH       SOLE       2           104,855         0       0
Infosys Technologies     CMN            456788108      143      2,000 SH       SOLE       3             2,000         0       0
INNOPHOS HOLDINGS IN     CMN            45774N108      383      8,302 SH       SOLE       4             8,302     8,302       0
INSPIRE PHARMACUTI C     CMN            457733103       50     12,637 SH       SOLE       2            12,637         0       0
INTEGRA LIFESCI HL C     CMN            457985208      286      6,026 SH       SOLE       2             6,026         0       0
INTEL CORP COM USD0.     CMN            458140100    4,205    208,318 SH       DEFINED    2                     208,318       0
INTEL CORP COM USD0.     CMN            458140100   10,327    511,572 SH       DEFINED    2                     511,572       0
INTERACTIVE BROKER C     CMN            45841N107      402     25,324 SH       SOLE       2            25,324         0       0
INTERCONTINENTALEXCH     CMN            45865V100      161      1,300 SH       DEFINED    1                       1,300       0
INTERCONTINENTALEXCH     CMN            45865V100       46        374 SH       DEFINED    2                         374       0
INTERMUNE INC COM US     CMN            45884X103      349      7,388 SH       SOLE       2             7,388         0       0
INTERNATIONAL BUSINE     CMN            459200101    1,643     10,073 SH       SOLE       2            10,073         0       0
International Busine     CMN            459200101       33        200 SH       SOLE       3               200         0       0
INTERNATIONAL GAME T     CMN            459902102    8,828    543,793 SH       DEFINED    2                     543,793       0
INTERNATIONAL GAME T     CMN            459902102        4        219 SH       DEFINED    2                         219       0
INTREPID POTASH INC      CMN            46121Y102      785     22,541 SH       DEFINED    1                      22,541       0
INTREPID POTASH INC      CMN            46121Y102       79      2,266 SH       DEFINED    2                       2,266       0
INTUIT INC COM USD0.     CMN            461202103    1,016     19,129 SH       DEFINED    1                      19,129       0
INTUIT INC COM USD0.     CMN            461202103      524      9,870 SH       DEFINED    2                       9,870       0
INTUITIVE SURGICAL I     CMN            46120E602      467      1,400 SH       DEFINED    1                       1,400       0
INTUITIVE SURGICAL I     CMN            46120E602       13         38 SH       DEFINED    2                          38       0
IPATH INVERSE S&P 50     CMN            06740L592      688     20,000 SH       SOLE       2            20,000         0       0
IPATH S&P 500 VIX MI     CMN            06740C519    2,752     50,000 SH       SOLE       2            50,000         0       0
IPATH S&P 500 VIX SH     CMN            06740C261   29,375  1,000,000 SH       DEFINED    2                   1,000,000       0
IPATH S&P 500 VIX SH     CMN            06740C261    4,759    162,001 SH       DEFINED    2                     162,001       0
IPC THE HOSPITALIST      CMN            44984A105      206      4,543 SH       SOLE       2             4,543         0       0
IRIDIUM COMMUNICATIO     CMN            46269C102      105     13,161 SH       SOLE       2            13,161         0       0
ISHARES DJ US ENERGY     CMN            464287796      227      5,000 SH       SOLE       1             5,000         0       0
ISHARES FTSE/CHINA 2     CMN            464287184    2,662     59,285 SH       DEFINED    1                      59,285       0
ISHARES FTSE/CHINA 2     CMN            464287184       92      2,052 SH       DEFINED    2                       2,052       0
ISHARES GSCI COMMODI     CMN            46428R107      239      6,400 SH       SOLE       1             6,400         0       0
ISHARES INC - MSCI M     CMN            464286822      214      3,400 SH       SOLE       2             3,400         0       0
ISHARES INC MSCI JAP     CMN            464286848   10,402  1,008,638 SH       SOLE       2         1,008,638         0       0
ISHARES INC MSCI UK      CMN            464286699      215     12,000 SH       DEFINED    2                      12,000       0
ISHARES INC MSCI UK      CMN            464286699       53      2,980 SH       DEFINED    2                       2,980       0
ISHARES MSCI BRAZIL      CMN            464286400      233      3,005 SH       DEFINED    1                       3,005       0
ISHARES MSCI BRAZIL      CMN            464286400    5,573     71,900 SH       DEFINED    2                      71,900       0
ISHARES MSCI BRAZIL      CMN            464286400    1,993     25,709 SH       DEFINED    2                      25,709       0
iShares MSCI Brazil      CMN            464286400      116      1,500 SH       SOLE       3             1,500         0       0
ISHARES RUSSELL 2000     CMN            464287655   15,403    183,000 SH       DEFINED    1                     183,000       0
ISHARES RUSSELL 2000     CMN            464287655    2,601     30,900 SH       DEFINED    2                      30,900       0
ISHARES S&P 100 INDE     CMN            464287101      276      4,653 SH       SOLE       2             4,653         0       0
ISHARES SILVER TST I     CMN            46428Q109    4,680    127,300 SH       DEFINED    1                     127,300       0
ISHARES SILVER TST I     CMN            46428Q109       37      1,000 SH       DEFINED    2                       1,000       0
ISHARES TRUST DOW JO     CMN            464287721      246      3,700 SH       DEFINED    1                       3,700       0
ISHARES TRUST DOW JO     CMN            464287739    8,024    135,074 SH       DEFINED    1                     135,074       0
ISHARES TRUST DOW JO     CMN            464287721      135      2,026 SH       DEFINED    2                       2,026       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 TRUST DOW JO     CMN            464287739    1,481     24,925 SH       DEFINED    2                      24,925       0
ISHARES TRUST GOLDMA     CMN            464287242    1,305     12,065 SH       SOLE       2            12,065         0       0
ISHARES TRUST MCSI C     CMN            464286640    1,509     21,000 SH       SOLE       2            21,000         0       0
ISHARES TRUST MSCI E     CMN            464287234   26,702    548,621 SH       DEFINED    1                     548,621       0
ISHARES TRUST MSCI E     CMN            464287234   48,080    987,831 SH       DEFINED    2                     987,831       0
ISHARES TRUST RUSSEL     CMN            464287499      839      7,700 SH       SOLE       1             7,700         0       0
ISHARES TRUST RUSSEL     CMN            464287622      324      4,386 SH       SOLE       2             4,386         0       0
ISHARES TRUST S&P 50     CMN            464287408      507      8,000 SH       SOLE       1             8,000         0       0
ISHARES TRUST S&P SM     CMN            464287804      346      4,700 SH       DEFINED    1                       4,700       0
ISHARES TRUST S&P SM     CMN            464287804      217      2,950 SH       DEFINED    2                       2,950       0
ISIS PHARMACEUTICALS     CMN            464330109      332     36,646 SH       SOLE       2            36,646         0       0
ITAU UNIBANCO HOLDIN     CMN            465562106      372     15,470 SH       SOLE       2            15,470         0       0
IVANHOE MINES LTD/CA     CMN            46579N103    1,168     42,560 SH       DEFINED    2                      42,560       0
IVANHOE MINES LTD/CA     CMN            46579N103       56      2,028 SH       DEFINED    2                       2,028       0
IXIA COM NPV             CMN            45071R109      321     20,243 SH       SOLE       2            20,243         0       0
JAGUAR MINING INC CO     CMN            47009M103        -      2,071 SH       SOLE       2             2,071         0       0
JAMES RIVER COAL CO      CMN            470355207      528     21,848 SH       SOLE       2            21,848         0       0
JAPAN SMALLER CAPITA     CMN            47109U104    1,089    119,526 SH       SOLE       2           119,526         0       0
JDA SOFTWARE INC COM     CMN            46612K108      294      9,698 SH       SOLE       2             9,698         0       0
JDS UNIPHASE CORP CO     CMN            46612J507      600     28,786 SH       SOLE       2            28,786         0       0
JOHNSON & JOHNSON CO     CMN            478160104      169      2,850 SH       DEFINED    2                       2,850       0
JOHNSON & JOHNSON CO     CMN            478160104    1,788     30,173 SH       DEFINED    2                      30,173       0
JOHNSON CONTROLS INC     CMN            478366107    4,510    108,500 SH       DEFINED    1                     108,500       0
JOHNSON CONTROLS INC     CMN            478366107      138      3,332 SH       DEFINED    2                       3,332       0
JOY GLOBAL INC COM U     CMN            481165108    4,049     40,979 SH       SOLE       2            40,979         0       0
JP MORGAN CHASE BANK     CMN            46625H100   14,913    323,542 SH       DEFINED    1                     323,542       0
JP MORGAN CHASE BANK     CMN            46625H100        7        144 SH       DEFINED    2                         144       0
JP MORGAN CHASE BANK     CMN            46625H100    2,794     60,623 SH       DEFINED    2                      60,623       0
JPMorgan Chase & Co.     CMN            46625H100       91      1,982 SH       SOLE       3             1,982         0       0
JUNIPER NETWORKS INC     CMN            48203R104      273      6,487 SH       SOLE       2             6,487         0       0
KAISER ALUMINUM CORP     CMN            483007704    3,814     77,444 SH       DEFINED    2                      77,444       0
KAISER ALUMINUM CORP     CMN            483007704      361      7,340 SH       DEFINED    2                       7,340       0
KEY ENERGY SERVICES      CMN            492914106    2,069    133,084 SH       DEFINED    1                     133,084       0
KEY ENERGY SERVICES      CMN            492914106       22      1,400 SH       DEFINED    2                       1,400       0
KEYCORP COM USD1         CMN            493267108      564     63,560 SH       SOLE       2            63,560         0       0
KIMBERLY-CLARK CORP      CMN            494368103      503      7,700 SH       DEFINED    1                       7,700       0
KIMBERLY-CLARK CORP      CMN            494368103      328      5,024 SH       DEFINED    2                       5,024       0
KIMBERLY-CLARK CORP      CMN            494368103      486      7,454 SH       DEFINED    2                       7,454       0
KINROSS GOLD CORP CO     CMN            496902404      356     22,596 SH       SOLE       2            22,596         0       0
KKR & CO LP LTD PART     CMN            48248M102      461     28,074 SH       SOLE       2            28,074         0       0
KLA-TENCOR CORP COM      CMN            482480100    4,619     97,629 SH       SOLE       2            97,629         0       0
KNIGHT CAPITAL GROUP     CMN            499005106    9,221    687,797 SH       SOLE       2           687,797         0       0
KOHL'S CORP COM USD0     CMN            500255104       95      1,800 SH       DEFINED    1                       1,800       0
KOHL'S CORP COM USD0     CMN            500255104      125      2,350 SH       DEFINED    2                       2,350       0
KONINKLIJKE PHILIPS      CMN            500472303        -        100 SH       SOLE       2               100         0       0
Korea Equity Fund In     CMN            50063B104       19      1,400 SH       SOLE       3             1,400         0       0
KRAFT FOODS INC COM      CMN            50075N104    1,243     39,622 SH       SOLE       2            39,622         0       0
KRISPY KREME DOUGHNU     CMN            501014104      305     43,229 SH       SOLE       2            43,229         0       0
KULICKE & SOFFA INDU     CMN            501242101      400     42,818 SH       SOLE       2            42,818         0       0
L-1 IDENTITY SOLUTIO     CMN            50212A106    4,549    386,100 SH       SOLE       2           386,100         0       0
LADISH CO INC COM US     CMN            505754200    2,143     39,200 SH       SOLE       1            39,200         0       0
LAS VEGAS SANDS CORP     CMN            517834107      443     10,488 SH       DEFINED    2                      10,488       0
LAS VEGAS SANDS CORP     CMN            517834107    2,029     48,062 SH       DEFINED    2                      48,062       0
LATTICE SEMICONDUCTO     CMN            518415104      279     47,192 SH       SOLE       2            47,192         0       0
LAZARD LTD COM CLASS     CMN            G54050102      693     16,670 SH       SOLE       2            16,670         0       0
LDK SOLAR CO LTD ADR     CMN            50183L107        -      1,300 SH       SOLE       2             1,300         0       0
LEA CS                   CMN            521865204      513     10,500 SH       SOLE       4            10,500    10,500       0
LENNAR CORP COM CL'A     CMN            526057104      640     35,300 SH       SOLE       2            35,300         0       0
LEVEL 3 COMMUNICATIO     CMN            52729N100      108     73,688 SH       SOLE       2            73,688         0       0
LG DISPLAY CO LTD KR     CMN            50186V102        -         38 SH       SOLE       2                38         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
LIBERTY GLOBAL INC C     CMN            530555101       17        400 SH       DEFINED    1                         400       0
LIBERTY GLOBAL INC C     CMN            530555101    3,181     76,830 SH       DEFINED    2                      76,830       0
LIBERTY GLOBAL INC C     CMN            530555309    1,158     28,957 SH       SOLE       2            28,957         0       0
LIBERTY MEDIA-INTERA     CMN            53071M104   30,505  1,901,006 SH       DEFINED    2                   1,901,006       0
LIBERTY MEDIA-INTERA     CMN            53071M104       83      5,198 SH       DEFINED    2                       5,198       0
LIFEPOINT HOSPITALS      CMN            53219L109      474     11,800 SH       DEFINED    1                      11,800       0
LIFEPOINT HOSPITALS      CMN            53219L109        6        153 SH       DEFINED    2                         153       0
LINCOLN ELECTRIC HOL     CMN            533900106      629      8,288 SH       SOLE       2             8,288         0       0
LINEAR TECHNOLOGY CO     CMN            535678106    1,404     41,764 SH       SOLE       2            41,764         0       0
LINN ENERGY LLC UNIT     CMN            536020100    1,271     32,643 SH       SOLE       2            32,643         0       0
LOCKHEED MARTIN CORP     CMN            539830109      485      6,026 SH       SOLE       2             6,026         0       0
LOGITECH INTERNATION     CMN            H50430232      611     33,709 SH       SOLE       2            33,709         0       0
LORILLARD INC USD0.0     CMN            544147101      289      3,044 SH       SOLE       2             3,044         0       0
LYONDELL CHEMICAL CO     CMN            N53745100   10,516    265,887 SH       SOLE       4           206,083   206,083  59,804
LYONDELLBASELL INDUS     CMN            N53745100    3,781     95,614 SH       DEFINED    2                      95,614       0
LYONDELLBASELL INDUS     CMN            N53745100      249      6,300 SH       DEFINED    2                       6,300       0
MACY'S INC COM STK U     CMN            55616P104      242      9,987 SH       SOLE       2             9,987         0       0
MAGELLAN HLTH SVCS C     CMN            559079207      548     11,161 SH       SOLE       2            11,161         0       0
MAGMA DESIGN AUTOMAT     CMN            559181102      217     31,840 SH       SOLE       2            31,840         0       0
MAGNA INTERNATIONAL      CMN            559222401        -        910 SH       SOLE       2               910         0       0
MANNKIND CORP COM US     CMN            56400P201       92     25,151 SH       SOLE       2            25,151         0       0
MARATHON OIL CORP CO     CMN            565849106      502      9,415 SH       SOLE       2             9,415         0       0
MARKET VECTORS - GOL     CMN            57060U100   19,787    329,262 SH       DEFINED    1                     329,262       0
MARKET VECTORS - GOL     CMN            57060U100       24        400 SH       DEFINED    2                         400       0
MARKET VECTORS JUNIO     CMN            57060U589    4,594    117,150 SH       SOLE       1           117,150         0       0
MARSHALL & ILSLEY CO     CMN            571837103   11,340  1,420,212 SH       SOLE       2         1,420,212         0       0
MASSEY ENERGY CO COM     CMN            576206106   17,723    259,259 SH       DEFINED    1                     259,259       0
MASSEY ENERGY CO COM     CMN            576206106      177      2,595 SH       DEFINED    2                       2,595       0
MASTERCARD INC COM U     CMN            57636Q104    2,317      9,203 SH       DEFINED    2                       9,203       0
MASTERCARD INC COM U     CMN            57636Q104      153        607 SH       DEFINED    2                         607       0
MATTEL INC COM USD1      CMN            577081102    1,722     69,042 SH       SOLE       2            69,042         0       0
MAXIM INTEGRATED PRO     CMN            57772K101      665     26,000 SH       SOLE       2            26,000         0       0
MBIA INC COM USD1        CMN            55262C100      201     20,000 SH       SOLE       1            20,000         0       0
MCCORMICK & CO INC/M     CMN            579780206      203      4,248 SH       SOLE       2             4,248         0       0
MCDONALD'S CORP COM      CMN            580135101    2,942     38,667 SH       SOLE       2            38,667         0       0
MEAD JOHNSON NUTRITI     CMN            582839106    2,057     35,503 SH       SOLE       2            35,503         0       0
MECHEL OAO               CMN            583840103   10,335    335,601 SH       SOLE       2           335,601         0       0
MEDCO HEALTH SOLUTIO     CMN            58405U102      441      7,850 SH       SOLE       2             7,850         0       0
MEDICINES CO/THE COM     CMN            584688105      545     33,462 SH       SOLE       2            33,462         0       0
MEDIDATA SOLUTIONS I     CMN            58471A105      200      7,826 SH       SOLE       2             7,826         0       0
MEDTRONIC INC COM US     CMN            585055106      160      4,055 SH       DEFINED    2                       4,055       0
MEDTRONIC INC COM US     CMN            585055106      136      3,466 SH       DEFINED    2                       3,466       0
MELCO PBL ENTERTAI A     CMN            585464100      136     17,885 SH       SOLE       2            17,885         0       0
MELLANOX TECHNOLOGIE     CMN            M51363113      256     10,159 SH       SOLE       2            10,159         0       0
MENTOR GRAPHICS CORP     CMN            587200106    7,565    517,234 SH       SOLE       2           517,234         0       0
MERCK & CO INC           CMN            58933Y105    1,326     40,155 SH       DEFINED    1                      40,155       0
MERCK & CO INC COM U     CMN            58933Y105    5,368    162,594 SH       DEFINED    2                     162,594       0
MERCK & CO INC COM U     CMN            58933Y105    1,147     34,755 SH       DEFINED    2                      34,755       0
METLIFE INC COM USD0     CMN            59156R108      203      4,549 SH       SOLE       2             4,549         0       0
METROPCS COMMUNICATI     CMN            591708102      536     33,047 SH       SOLE       2            33,047         0       0
MGIC INVESTMENT CORP     CMN            552848103      492     55,314 SH       DEFINED    1                      55,314       0
MGIC INVESTMENT CORP     CMN            552848103       18      2,080 SH       DEFINED    2                       2,080       0
MGM RESORTS INTERNAT     CMN            552953101      840     63,880 SH       DEFINED    2                      63,880       0
MGM RESORTS INTERNAT     CMN            552953101      325     24,721 SH       DEFINED    2                      24,721       0
MICRON TECHNOLOGY IN     CMN            595112103        1         47 SH       DEFINED    1                          47       0
MICRON TECHNOLOGY IN     CMN            595112103      338     29,499 SH       DEFINED    2                      29,499       0
MICROS SYSTEMS INC C     CMN            594901100      474      9,579 SH       SOLE       2             9,579         0       0
MICROSEMI CORP COM U     CMN            595137100      907     43,831 SH       SOLE       2            43,831         0       0
MICROSOFT CORP COM U     CMN            594918104    5,170    203,620 SH       DEFINED    1                     203,620       0
MICROSOFT CORP COM U     CMN            594918104    5,069    199,640 SH       DEFINED    2                     199,640       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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
MICROSOFT CORP COM U     CMN            594918104    3,333    131,264 SH       DEFINED    2                     131,264       0
Microsoft Corporatio     CMN            594918104       20        800 SH       SOLE       3               800         0       0
MID-AMERICA APARTMEN     CMN            59522J103      408      6,350 SH       SOLE       1             6,350         0       0
MILLER PETROLEUM INC     CMN            600577100      375     75,000 SH       SOLE       1            75,000         0       0
MITSUBISHI UFJ FINAN     CMN            606822104        -     77,524 SH       SOLE       2            77,524         0       0
MOBILE TELESYSTEMS O     CMN            607409109        -    602,278 SH       SOLE       2           602,278         0       0
MOLEX INC COM USD0.0     CMN            608554101    1,523     60,605 SH       SOLE       2            60,605         0       0
MONSANTO CO COM STK      CMN            61166W101        -          1 SH       DEFINED    1                           1       0
MONSANTO CO COM STK      CMN            61166W101    1,223     16,921 SH       DEFINED    2                      16,921       0
MONSTER WORLDWIDE IN     CMN            611742107      500     31,404 SH       SOLE       2            31,404         0       0
MONTPELIER RE HLDG C     CMN            G62185106        -        266 SH       SOLE       2               266         0       0
Morgan Stanley Asia      CMN            61744U106       26      1,500 SH       SOLE       3             1,500         0       0
MOSAIC CO/THE COM ST     CMN            61945A107      446      5,658 SH       SOLE       2             5,658         0       0
MOTOROLA SOLUTIONS I     CMN            620076307      744     16,651 SH       SOLE       2            16,651         0       0
MYLAN INC COM USD0.5     CMN            628530107    2,722    120,154 SH       SOLE       2           120,154         0       0
NABORS INDUSTRIES LT     CMN            G6359F103      687     22,614 SH       SOLE       2            22,614         0       0
NASDAQ 100 INDEX TRA     CMN            73935A104   30,777    535,826 SH       DEFINED    1                     535,826       0
NASDAQ 100 INDEX TRA     CMN            73935A104      874     15,223 SH       DEFINED    2                      15,223       0
NASDAQ OMX GROUP INC     CMN            631103108    2,571     99,466 SH       SOLE       2            99,466         0       0
NATIONAL OILWELL VAR     CMN            637071101      967     12,201 SH       SOLE       2            12,201         0       0
NATIONWIDE HEALTH PR     CMN            638620104      838     19,700 SH       SOLE       1            19,700         0       0
NET 1 UEPS TECHNOLOG     CMN            64107N206      100     11,660 SH       SOLE       2            11,660         0       0
NETAPP INC COM USD0.     CMN            64110D104    2,452     50,924 SH       DEFINED    1                      50,924       0
NETAPP INC COM USD0.     CMN            64110D104    4,390     91,183 SH       DEFINED    2                      91,183       0
NETLOGIC MICROSYSTEM     CMN            64118B100      347      8,265 SH       SOLE       2             8,265         0       0
NETSCOUT SYSTEMS INC     CMN            64115T104      246      8,989 SH       SOLE       2             8,989         0       0
NEVSUN RESOURCES LTD     CMN            64156L101        -      1,000 SH       SOLE       2             1,000         0       0
NEWMONT MINING CORP      CMN            651639106    2,806     51,409 SH       DEFINED    1                      51,409       0
NEWMONT MINING CORP      CMN            651639106    3,540     64,865 SH       DEFINED    2                      64,865       0
NEWMONT MINING CORP      CMN            651639106    1,055     19,330 SH       DEFINED    2                      19,330       0
NEWS CORP COM USD0.0     CMN            65248E104    3,868    220,059 SH       DEFINED    1                     220,059       0
NEWS CORP COM USD0.0     CMN            65248E104       68      3,845 SH       DEFINED    2                       3,845       0
NOBLE CORP CHF3.8        CMN            H5833N103      389      8,526 SH       SOLE       2             8,526         0       0
NOBLE ENERGY INC COM     CMN            655044105      376      3,886 SH       SOLE       2             3,886         0       0
NOKIA OYJ NPV            CMN            654902204        -    217,537 SH       SOLE       2           217,537         0       0
NORTHERN TRUST CORP      CMN            665859104      327      6,451 SH       SOLE       2             6,451         0       0
NORTHROP GRUMMAN COR     CMN            666807102    3,948     62,971 SH       DEFINED    1                      62,971       0
NORTHROP GRUMMAN COR     CMN            666807102      552      8,798 SH       DEFINED    2                       8,798       0
NOVAGOLD RESOURCES I     CMN            66987E206        -        218 SH       SOLE       2               218         0       0
NOVATEL WIRELESS INC     CMN            66987M604      131     24,111 SH       SOLE       2            24,111         0       0
NOVELL INC COM USD0.     CMN            670006105   10,175  1,713,765 SH       SOLE       2         1,713,765         0       0
NOVELLUS SYSTEMS INC     CMN            670008101    1,699     45,760 SH       SOLE       2            45,760         0       0
NRG ENERGY INC           CMN            629377508      263     12,225 SH       SOLE       4            12,225    12,225       0
NRG ENERGY INC COM U     CMN            629377508   10,622    492,950 SH       DEFINED    1                     492,950       0
NRG ENERGY INC COM U     CMN            629377508       22      1,017 SH       DEFINED    2                       1,017       0
NUTRI SYSTEM INC COM     CMN            67069D108      146     10,111 SH       SOLE       2            10,111         0       0
NUVASIVE INC COM USD     CMN            670704105      273     10,804 SH       SOLE       2            10,804         0       0
NVIDIA CORP COM USD0     CMN            67066G104    3,339    180,962 SH       SOLE       2           180,962         0       0
NYSE EURONEXT COM ST     CMN            629491101    5,266    149,723 SH       SOLE       2           149,723         0       0
OCCIDENTAL PETROLEUM     CMN            674599105      178      1,700 SH       DEFINED    1                       1,700       0
OCCIDENTAL PETROLEUM     CMN            674599105    1,130     10,815 SH       DEFINED    2                      10,815       0
OFFICE DEPOT INC COM     CMN            676220106      459     99,277 SH       SOLE       2            99,277         0       0
OFFICEMAX INC COM US     CMN            67622P101      383     29,606 SH       SOLE       2            29,606         0       0
OIL SVC HOLDERS TR D     CMN            O00017390    1,742     10,600 SH  PUT  SOLE       1            10,600         0       0
ON SEMICONDUCTOR COR     CMN            682189105    2,019    204,822 SH       SOLE       2           204,822         0       0
ONYX PHARMACEUTICALS     CMN            683399109      956     27,163 SH       SOLE       2            27,163         0       0
ORACLE CORP COM USD0     CMN            68389X105    3,714    111,065 SH       SOLE       2           111,065         0       0
OREXIGEN THERAPEUT C     CMN            686164104       72     25,429 SH       SOLE       2            25,429         0       0
P F CHANGS CHINA B C     CMN            69333Y108      632     13,690 SH       SOLE       2            13,690         0       0
PACIFIC SUNWEAR OF C     CMN            694873100      169     46,527 SH       SOLE       2            46,527         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
PACKAGING CORP OF AM     CMN            695156109   20,223    700,000 SH       SOLE       1           700,000         0       0
PAN AMERICAN SILVER      CMN            697900108      383     10,323 SH       SOLE       2            10,323         0       0
PANERA BREAD CO CLAS     CMN            69840W108    1,007      7,931 SH       SOLE       2             7,931         0       0
PARAMETRIC TECHNOLOG     CMN            699173209    2,094     93,134 SH       SOLE       2            93,134         0       0
PARKER HANNIFIN CORP     CMN            701094104      295      3,116 SH       SOLE       2             3,116         0       0
PATRIOT COAL CORP CO     CMN            70336T104      248      9,583 SH       SOLE       2             9,583         0       0
PATTERSON COMPANIES      CMN            703395103      601     18,670 SH       SOLE       2            18,670         0       0
PAYCHEX INC COM USD0     CMN            704326107      910     28,997 SH       SOLE       2            28,997         0       0
PEABODY ENERGY CORP      CMN            704549104      567      7,886 SH       DEFINED    1                       7,886       0
PEABODY ENERGY CORP      CMN            704549104      446      6,197 SH       DEFINED    2                       6,197       0
PENNANTPARK INVT C C     CMN            708062104      423     35,451 SH       SOLE       2            35,451         0       0
PEOPLE'S UNITED FINA     CMN            712704105    2,755    219,051 SH       SOLE       2           219,051         0       0
PERRIGO CO COM NPV       CMN            714290103    1,860     23,390 SH       SOLE       2            23,390         0       0
PETMED EXPRESS INC C     CMN            716382106      263     16,566 SH       SOLE       2            16,566         0       0
PETROHAWK ENERGY COR     CMN            716495106   12,211    497,440 SH       DEFINED    1                     497,440       0
PETROHAWK ENERGY COR     CMN            716495106      173      7,045 SH       DEFINED    2                       7,045       0
PETROLEO BRASILEIRO      CMN            71654V408        -     40,166 SH       DEFINED    2                      40,166       0
PETROLEO BRASILEIRO      CMN            71654V408        -     95,816 SH       DEFINED    2                      95,816       0
Petroleo Brasileiro      CMN            71654V408       55      1,350 SH       SOLE       3             1,350         0       0
PETSMART INC COM USD     CMN            716768106    2,480     60,545 SH       SOLE       2            60,545         0       0
PFIZER INC COM USD0.     CMN            717081103    1,421     69,960 SH       SOLE       2            69,960         0       0
PHARMACEUTICAL PRODU     CMN            717124101      335     12,110 SH       SOLE       2            12,110         0       0
PHH CORP COM NPV         CMN            693320202    4,117    189,155 SH       DEFINED    2                     189,155       0
PHH CORP COM NPV         CMN            693320202       17        800 SH       DEFINED    2                         800       0
PHILIP MORRIS INTERN     CMN            718172109      421      6,411 SH       DEFINED    1                       6,411       0
PHILIP MORRIS INTERN     CMN            718172109      840     12,797 SH       DEFINED    2                      12,797       0
PHOENIX COS INC/THE      CMN            71902E109       59     21,539 SH       SOLE       2            21,539         0       0
PITNEY BOWES INC COM     CMN            724479100      370     14,394 SH       SOLE       2            14,394         0       0
Plum Creek Timber        CMN            729251108    1,396     32,000 SH       SOLE       5            32,000    32,000       0
PMC - SIERRA INC COM     CMN            69344F106      919    122,213 SH       SOLE       2           122,213         0       0
PNC FINANCIAL SERVIC     CMN            693475105      223      3,544 SH       SOLE       2             3,544         0       0
POOL CORP COM USD0.0     CMN            73278L105      250     10,356 SH       SOLE       2            10,356         0       0
POPULAR INC COM USD6     CMN            733174106       46     15,674 SH       SOLE       2            15,674         0       0
POSCO (ADR)              CMN            693483109       15        130 SH       SOLE       3               130         0       0
POSCO KRW5000            CMN            693483109        -         25 SH       SOLE       2                25         0       0
POTASH CORP OF SASKA     CMN            73755L107      867     14,718 SH       SOLE       2            14,718         0       0
POWER-ONE, INC COM U     CMN            73930R102       94     10,721 SH       SOLE       2            10,721         0       0
POWERSHARES IN NATL      CMN            73936T474      823     37,035 SH       SOLE       2            37,035         0       0
PPG INDUSTRIES INC C     CMN            693506107      495      5,200 SH       DEFINED    1                       5,200       0
PPG INDUSTRIES INC C     CMN            693506107      666      6,999 SH       DEFINED    2                       6,999       0
PRECISION DRILLING T     CMN            74022D308        -      1,200 SH       SOLE       2             1,200         0       0
PRICE (T. ROWE) COM      CMN            74144T108      396      5,957 SH       SOLE       2             5,957         0       0
PRICELINE.COM INC CO     CMN            741503403    2,493      4,922 SH       SOLE       2             4,922         0       0
PRIDE INTERNATIONAL      CMN            74153Q102    7,786    181,264 SH       SOLE       2           181,264         0       0
PROCTER & GAMBLE CO      CMN            742718109    2,393     38,848 SH       DEFINED    2                      38,848       0
PROCTER & GAMBLE CO      CMN            742718109    5,276     85,655 SH       DEFINED    2                      85,655       0
PROSHARES ULTRASHORT     CMN            74347X401      722     50,000 SH       SOLE       2            50,000         0       0
PROSPECT CAPITAL COR     CMN            74348T102      357     29,285 SH       SOLE       2            29,285         0       0
PRUDENTIAL PLC ORD G     CMN            74435K204        -      4,486 SH       SOLE       2             4,486         0       0
PUBLIC SERVICE ENTER     CMN            744573106    1,236     39,203 SH       SOLE       2            39,203         0       0
QIAGEN NV COM EUR0.0     CMN            N72482107      301     15,000 SH       DEFINED    2                      15,000       0
QIAGEN NV COM EUR0.0     CMN            N72482107        -         16 SH       DEFINED    2                          16       0
QIAO XING UNIVERSAL      CMN            G7303A109       27     13,233 SH       SOLE       2            13,233         0       0
QLTY CS                  CMN            74756M102      726     61,316 SH       SOLE       4            58,203    58,203   3,113
QUALCOMM INC COM USD     CMN            747525103    2,267     41,348 SH       SOLE       2            41,348         0       0
QUEST SOFTWARE INC C     CMN            74834T103    1,739     68,460 SH       SOLE       2            68,460         0       0
QWEST COMMUNICATIONS     CMN            749121109    1,977    289,600 SH       DEFINED    1                     289,600       0
QWEST COMMUNICATIONS     CMN            749121109        8      1,211 SH       DEFINED    2                       1,211       0
RADWARE LTD COM ILS0     CMN            M81873107    1,185     33,442 SH       SOLE       2            33,442         0       0
RAIT INVESTMENT COM      CMN            749227104       52     21,270 SH       SOLE       2            21,270         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
RAMBUS INC COM USD0.     CMN            750917106      348     17,616 SH       SOLE       2            17,616         0       0
RARE ELEMENT RES. CO     CMN            75381M102        -        887 SH       SOLE       2               887         0       0
Rayonier                 CMN            754907103    1,371     22,000 SH       SOLE       5            22,000    22,000       0
RAYTHEON CO COM USD0     CMN            755111507      379      7,453 SH       SOLE       2             7,453         0       0
RC2 CORP COM USD0.01     CMN            749388104    2,947    104,900 SH       SOLE       2           104,900         0       0
REGENCY ENERGY PARTN     CMN            75885Y107      249      9,115 SH       SOLE       2             9,115         0       0
REGENERON PHARMACEUT     CMN            75886F107    4,310     95,900 SH       SOLE       1            95,900         0       0
RENESOLA LTD ORD SHS     CMN            75971T103      546     51,800 SH       SOLE       2            51,800         0       0
REPUBLIC AIRWAYS HOL     CMN            760276105      159     24,680 SH       SOLE       2            24,680         0       0
RESEARCH IN MOTION L     CMN            760975102      102      1,804 SH       DEFINED    2                       1,804       0
RESEARCH IN MOTION L     CMN            760975102    1,025     18,124 SH       DEFINED    2                      18,124       0
RESOURCES GLOBAL PRO     CMN            76122Q105      201     10,383 SH       SOLE       2            10,383         0       0
RETAIL HOLDERS TRU D     CMN            76127U101    6,215     58,650 SH       DEFINED    1                      58,650       0
RETAIL HOLDERS TRU D     CMN            76127U101      180      1,700 SH       DEFINED    2                       1,700       0
RETAIL OPPORTUNITY I     CMN            76131N101      187     17,100 SH       SOLE       2            17,100         0       0
REYNOLDS AMERICAN IN     CMN            761713106      394     11,100 SH       DEFINED    1                      11,100       0
REYNOLDS AMERICAN IN     CMN            761713106       27        767 SH       DEFINED    2                         767       0
RF MICRO DEVICES INC     CMN            749941100    1,705    266,118 SH       SOLE       2           266,118         0       0
RIGHTNOW TECHNOLOGIE     CMN            76657R106      207      6,610 SH       SOLE       2             6,610         0       0
RIO TINTO PLC ORD GB     CMN            767204100      426      5,990 SH       SOLE       2             5,990         0       0
RIVERBED TECHNOLOGY      CMN            768573107    1,916     50,875 SH       SOLE       2            50,875         0       0
ROSS STORES INC COM      CMN            778296103    2,848     40,038 SH       SOLE       2            40,038         0       0
ROVI CORP COM USD0.0     CMN            779376102    1,341     25,000 SH       DEFINED    2                      25,000       0
ROVI CORP COM USD0.0     CMN            779376102      986     18,375 SH       DEFINED    2                      18,375       0
ROWAN COS INC COM US     CMN            779382100      624     14,122 SH       SOLE       2            14,122         0       0
RUBICON MINERALS COR     CMN            780911103        -        900 SH       SOLE       2               900         0       0
RUBICON TECHNOLOGY I     CMN            78112T107      286     10,325 SH       SOLE       2            10,325         0       0
RUE21 INC COM NPV        CMN            781295100      370     12,865 SH       SOLE       2            12,865         0       0
RYANAIR HOLDINGS PLC     CMN            783513104    2,137     76,865 SH       SOLE       2            76,865         0       0
SAKS INC COM USD0.10     CMN            79377W108    1,337    118,187 SH       DEFINED    2                     118,187       0
SAKS INC COM USD0.10     CMN            79377W108      194     17,179 SH       DEFINED    2                      17,179       0
SALESFORCE.COM INC C     CMN            79466L302   11,360     85,044 SH       DEFINED    2                      85,044       0
SALESFORCE.COM INC C     CMN            79466L302       48        359 SH       DEFINED    2                         359       0
SANDERSON FARMS INC      CMN            800013104      800     17,416 SH       SOLE       2            17,416         0       0
SANDISK CORP COM USD     CMN            80004C101    9,104    197,500 SH       DEFINED    2                     197,500       0
SANDISK CORP COM USD     CMN            80004C101      856     18,563 SH       DEFINED    2                      18,563       0
SANDRIDGE ENERGY INC     CMN            80007P307      191     14,900 SH       SOLE       2            14,900         0       0
SAP AG ORD NPV           CMN            803054204        -      1,100 SH       SOLE       2             1,100         0       0
SAVVIS INC COM STK U     CMN            805423308      206      5,556 SH       SOLE       2             5,556         0       0
SCHLUMBERGER LTD COM     CMN            806857108    2,698     28,923 SH       SOLE       2            28,923         0       0
SCHNITZER STEEL 'A'      CMN            806882106      352      5,417 SH       SOLE       2             5,417         0       0
SCIENTIFIC GAMES COR     CMN            80874P109      134     15,351 SH       SOLE       2            15,351         0       0
SELECT SECTOR SPDR A     CMN            81369Y886      278      8,718 SH       SOLE       2             8,718         0       0
SELECT SECTOR SPDR S     CMN            81369Y407      219      5,600 SH       DEFINED    1                       5,600       0
SELECT SECTOR SPDR S     CMN            81369Y407       47      1,200 SH       DEFINED    2                       1,200       0
SEMILEDS CORP/TW COM     CMN            816645105      610     39,100 SH       SOLE       2            39,100         0       0
SHANDA GAMES LTD 'A'     CMN            81941U105      220     34,672 SH       SOLE       2            34,672         0       0
Shanda Interactive E     CMN            81941QAD6       61      1,450 SH       SOLE       3             1,450         0       0
SIGMA-ALDRICH CORP C     CMN            826552101      248      3,890 SH       SOLE       2             3,890         0       0
SIGNET JEWELERS LTD      CMN            G81276100      658     14,300 SH       SOLE       2            14,300         0       0
SILICONWARE PRECISIO     CMN            827084864    1,294    214,070 SH       SOLE       2           214,070         0       0
SILVER WHEATON CORP      CMN            828336107        -     12,850 SH       SOLE       2            12,850         0       0
SILVERCORP METALS IN     CMN            82835P103        -      1,127 SH       SOLE       2             1,127         0       0
SIMON PROPERTY GROUP     CMN            828806109      376      3,506 SH       SOLE       2             3,506         0       0
SINA CORP/CHINA ORD      CMN            G81477104      241      2,253 SH       SOLE       2             2,253         0       0
SIRIUS XM RADIO INC      CMN            82967N108    6,440  3,888,200 SH       DEFINED    2                   3,888,200       0
SIRIUS XM RADIO INC      CMN            82967N108    1,643    992,088 SH       DEFINED    2                     992,088       0
SIRONA DENTAL SYSTEM     CMN            82966C103    1,139     22,701 SH       SOLE       2            22,701         0       0
SIX FLAGS INC COMMON     CMN            83001A102    1,079     14,993 SH       SOLE       4            10,300    10,300   4,693
SKYWEST INC COM NPV      CMN            830879102      175     10,319 SH       SOLE       2            10,319         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
SMURFIT-STONE CONTAI     CMN            83272A104    9,664    250,000 SH       SOLE       2           250,000         0       0
SOLUTIA INC COMMON S     CMN            834376501    3,727    146,736 SH       SOLE       4           133,514   133,514  13,222
SOTHEBY'S COM STK US     CMN            835898107    1,236     23,500 SH       DEFINED    1                      23,500       0
SOTHEBY'S COM STK US     CMN            835898107      199      3,785 SH       DEFINED    2                       3,785       0
SOUTHERN CO COM USD5     CMN            842587107    1,249     32,777 SH       DEFINED    2                      32,777       0
SOUTHERN CO COM USD5     CMN            842587107       83      2,177 SH       DEFINED    2                       2,177       0
SOUTHWESTERN ENERGY      CMN            845467109      382      8,884 SH       SOLE       2             8,884         0       0
SPDR BARCLAYS CAPITA     CMN            78464A359    3,826     90,757 SH       SOLE       2            90,757         0       0
SPDR KBW BANK ETF KB     CMN            78464A797      178      6,900 SH       DEFINED    1                       6,900       0
SPDR KBW BANK ETF KB     CMN            78464A797      465     18,000 SH       DEFINED    2                      18,000       0
SPDR S&P 500 ETF TRU     CMN            78462F103  197,333  1,488,253 SH       DEFINED    1                   1,488,253       0
SPDR S&P 500 ETF TRU     CMN            78462F103  207,838  1,567,481 SH       DEFINED    2                   1,567,481       0
SPDR S&P 500 ETF TRU     CMN            78462F103    3,912     29,500 SH       DEFINED    2                      29,500       0
SPECTRA ENERGY CORP      CMN            847560109      182      6,700 SH       DEFINED    1                       6,700       0
SPECTRA ENERGY CORP      CMN            847560109      146      5,367 SH       DEFINED    2                       5,367       0
SPREADTRUM COMMSS AD     CMN            849415203        -        871 SH       SOLE       2               871         0       0
SPRINT NEXTEL CORP C     CMN            852061100       52     11,160 SH       SOLE       2            11,160         0       0
SRA INTERNATIONAL IN     CMN            78464R105      505     17,800 SH       SOLE       2            17,800         0       0
ST JUDE MEDICAL INC      CMN            790849103      666     12,986 SH       SOLE       2            12,986         0       0
STANLEY BLACK & DECK     CMN            854502101      586      7,650 SH       DEFINED    1                       7,650       0
STANLEY BLACK & DECK     CMN            854502101       77        999 SH       DEFINED    2                         999       0
STAPLES INC COM STK      CMN            855030102   10,179    524,100 SH       DEFINED    1                     524,100       0
STAPLES INC COM STK      CMN            855030102    1,316     67,773 SH       DEFINED    2                      67,773       0
STARBUCKS CORP COM U     CMN            855244109      755     20,430 SH       SOLE       2            20,430         0       0
STARWOOD HOTELS & RE     CMN            85590A401      324      5,582 SH       SOLE       2             5,582         0       0
STATE STREET CORP CO     CMN            857477103      252      5,612 SH       SOLE       2             5,612         0       0
STATOIL ASA NOK2.50      CMN            85771P102        -     50,124 SH       SOLE       2            50,124         0       0
STEEL DYNAMICS INC       CMN            858119100    1,760     93,800 SH       DEFINED    1                      93,800       0
STEEL DYNAMICS INC C     CMN            858119100      938     49,972 SH       DEFINED    2                      49,972       0
STERICYCLE INC COM U     CMN            858912108      593      6,692 SH       SOLE       2             6,692         0       0
STERLITE INDUSTRIES      CMN            859737207      198     12,808 SH       SOLE       2            12,808         0       0
STRATASYS INC COM US     CMN            862685104      692     14,730 SH       SOLE       2            14,730         0       0
STRAYER EDUCATION IN     CMN            863236105      453      3,469 SH       SOLE       2             3,469         0       0
STREETTRACKS DIVIDEN     CMN            78464A763      336      6,200 SH       SOLE       1             6,200         0       0
STREETTRACKS GOLD TR     CMN            78463V107    9,561     68,359 SH       DEFINED    1                      68,359       0
STREETTRACKS GOLD TR     CMN            78463V107    9,790     70,000 SH       DEFINED    2                      70,000       0
STREETTRACKS GOLD TR     CMN            78463V107   15,074    107,777 SH       DEFINED    2                     107,777       0
STREETTRACKS SERIE S     CMN            78464A888   14,596    801,866 SH       DEFINED    1                     801,866       0
STREETTRACKS SERIE S     CMN            78464A888      563     30,915 SH       DEFINED    2                      30,915       0
STRYKER CORP COM USD     CMN            863667101      498      8,192 SH       SOLE       2             8,192         0       0
SULPHCO INC COM USD0     CMN            865378103        9     67,200 SH       SOLE       2            67,200         0       0
SUN LIFE FINANCIAL I     CMN            866796105        -        300 SH       SOLE       2               300         0       0
SUNCOR ENERGY INC CO     CMN            867224107      201      4,484 SH       SOLE       2             4,484         0       0
SYCAMORE NETWORKS IN     CMN            871206405      682     27,900 SH       SOLE       1            27,900         0       0
SYKES ENTERPRISES IN     CMN            871237103      279     14,122 SH       SOLE       2            14,122         0       0
SYMANTEC CORP COM US     CMN            871503108    1,596     86,040 SH       SOLE       2            86,040         0       0
SYNCHRONOSS TECHNOLO     CMN            87157B103    6,258    180,100 SH       SOLE       1           180,100         0       0
SYNOPSYS INC COM USD     CMN            871607107      236      8,535 SH       SOLE       2             8,535         0       0
TAIWAN SEMICONDUCTOR     CMN            874039100   20,635  1,693,165 SH       SOLE       2         1,693,165         0       0
TAKE-TWO INTERACTIVE     CMN            874054109    7,357    478,977 SH       DEFINED    2                     478,977       0
TAKE-TWO INTERACTIVE     CMN            874054109    1,118     72,763 SH       DEFINED    2                      72,763       0
TARGET CORP COM STK      CMN            87612E106    1,663     33,244 SH       DEFINED    2                      33,244       0
TARGET CORP COM STK      CMN            87612E106      733     14,647 SH       DEFINED    2                      14,647       0
Tata Motors Limited      CMN            876568502      181      6,500 SH       SOLE       3             6,500         0       0
TATA MOTORS LTD INR1     CMN            876568502        -      1,771 SH       SOLE       2             1,771         0       0
TD AMERITRADE HOLDIN     CMN            87236Y108    2,765    132,473 SH       SOLE       2           132,473         0       0
TECH DATA CORP COM U     CMN            878237106    2,239     44,032 SH       SOLE       2            44,032         0       0
TEKELEC COM NPV          CMN            879101103       88     10,881 SH       SOLE       2            10,881         0       0
TELECOMMNS SYSTEMS C     CMN            87929J103      207     50,000 SH       SOLE       2            50,000         0       0
TELETECH HOLDINGS IN     CMN            879939106      529     27,290 SH       SOLE       2            27,290         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
TELLABS INC COM USD0     CMN            879664100       65     12,353 SH       SOLE       2            12,353         0       0
TEMPLE-INLAND INC CO     CMN            879868107      974     41,625 SH       SOLE       1            41,625         0       0
TENET HEALTHCARE COR     CMN            88033G100    4,883    655,183 SH       SOLE       2           655,183         0       0
TERADYNE INC COM USD     CMN            880770102    8,485    476,351 SH       DEFINED    2                     476,351       0
TERADYNE INC COM USD     CMN            880770102        8        423 SH       DEFINED    2                         423       0
TERREMARK WORLDWIDE      CMN            881448203      504     26,500 SH       SOLE       1            26,500         0       0
TESORO CORP COM USD0     CMN            881609101      405     15,100 SH       DEFINED    1                      15,100       0
TESORO CORP COM USD0     CMN            881609101      181      6,739 SH       DEFINED    2                       6,739       0
TEVA PHARMACEUTICAL      CMN            881624209      518     10,317 SH       SOLE       2            10,317         0       0
TEXTRON INC COM STK      CMN            883203101    8,902    325,000 SH       DEFINED    2                     325,000       0
TEXTRON INC COM STK      CMN            883203101       56      2,055 SH       DEFINED    2                       2,055       0
The Dow Chemical Com     CMN            260543103       84      2,220 SH       SOLE       3             2,220         0       0
THE GOLDMAN SACHS GR     CMN            38141G104    3,905     24,622 SH       DEFINED    2                      24,622       0
THE GOLDMAN SACHS GR     CMN            38141G104      707      4,457 SH       DEFINED    2                       4,457       0
The Procter & Gamble     CMN            742718109       51        830 SH       SOLE       3               830         0       0
THERMO ELECTRON CORP     CMN            883556102       48        871 SH       DEFINED    1                         871       0
THERMO ELECTRON CORP     CMN            883556102      266      4,789 SH       DEFINED    2                       4,789       0
THORATEC CORP COM NP     CMN            885175307      606     23,371 SH       SOLE       2            23,371         0       0
TIBCO SOFTWARE INC C     CMN            88632Q103      656     24,090 SH       SOLE       2            24,090         0       0
TIFFANY & CO COM USD     CMN            886547108      440      7,154 SH       DEFINED    2                       7,154       0
TIFFANY & CO COM USD     CMN            886547108      465      7,569 SH       DEFINED    2                       7,569       0
TIME WARNER CABLE IN     CMN            88732J207    1,118     15,677 SH       SOLE       2            15,677         0       0
TITAN MACHINERY INC      CMN            88830R101      263     10,400 SH       SOLE       2            10,400         0       0
TIVO INC COM USD0.00     CMN            888706108      760     86,898 SH       DEFINED    1                      86,898       0
TIVO INC COM USD0.00     CMN            888706108        4        500 SH       DEFINED    2                         500       0
TJX COS INC COM USD1     CMN            872540109      391      7,862 SH       SOLE       2             7,862         0       0
TOREADOR RESOURCES C     CMN            891050106      327     30,361 SH       SOLE       2            30,361         0       0
TORONTO-DOMINION BAN     CMN            891160509        -      1,300 SH       SOLE       2             1,300         0       0
TOTAL SA EUR2.5          CMN            89151E109        -      2,170 SH       SOLE       2             2,170         0       0
TRANSGLOBE ENERGY CO     CMN            893662106      164     10,792 SH       SOLE       2            10,792         0       0
TRANSOCEAN LTD CHF15     CMN            H8817H100        -      2,552 SH       SOLE       2             2,552         0       0
TRAVELERS COS INC/TH     CMN            89417E109      236      3,962 SH       DEFINED    1                       3,962       0
TRAVELERS COS INC/TH     CMN            89417E109      343      5,760 SH       DEFINED    2                       5,760       0
TTM TECHNOLOGIES INC     CMN            87305R109      844     46,493 SH       SOLE       1            46,493         0       0
TW TELECOM INC CLASS     CMN            87311L104    1,542     80,320 SH       SOLE       1            80,320         0       0
TYSON FOODS INC CLAS     CMN            902494103      854     44,525 SH       SOLE       2            44,525         0       0
ULTA SALON COSMETICS     CMN            90384S303      726     15,082 SH       SOLE       2            15,082         0       0
ULTRA PETROLEUM CORP     CMN            903914109        -      2,513 SH       SOLE       2             2,513         0       0
UMB FINL CORP COM US     CMN            902788108      224      5,987 SH       SOLE       2             5,987         0       0
UNION PACIFIC CORP C     CMN            907818108      571      5,810 SH       SOLE       2             5,810         0       0
UNITED PARCEL SERVIC     CMN            911312106      465      6,253 SH       SOLE       2             6,253         0       0
UNITED STATES STEEL      CMN            912909108    2,938     54,477 SH       SOLE       2            54,477         0       0
UNITED TECHNOLOGIES      CMN            913017109    1,262     14,911 SH       SOLE       2            14,911         0       0
UNITED THERAPEUTICS      CMN            91307C102    7,265    108,404 SH       DEFINED    1                     108,404       0
UNITED THERAPEUTICS      CMN            91307C102    1,979     29,536 SH       DEFINED    2                      29,536       0
UNITEDHEALTH GROUP I     CMN            91324P102       18        400 SH       DEFINED    1                         400       0
UNITEDHEALTH GROUP I     CMN            91324P102    1,055     23,342 SH       DEFINED    2                      23,342       0
URBAN OUTFITTERS INC     CMN            917047102      452     15,160 SH       SOLE       2            15,160         0       0
USEC INC COM USD0.10     CMN            90333E108      115     26,100 SH       SOLE       2            26,100         0       0
UTD STS OIL FD LP UN     CMN            91232N108    1,154     27,100 SH       DEFINED    1                      27,100       0
UTD STS OIL FD LP UN     CMN            91232N108      506     11,873 SH       DEFINED    2                      11,873       0
VALE SA COM NPV          CMN            91912E105        -    142,533 SH       DEFINED    2                     142,533       0
VALE SA COM NPV          CMN            91912E105        -     17,820 SH       DEFINED    2                      17,820       0
VALERO ENERGY CORP C     CMN            91913Y100   11,224    376,483 SH       DEFINED    1                     376,483       0
VALERO ENERGY CORP C     CMN            91913Y100      298     10,011 SH       DEFINED    2                      10,011       0
VALIDUS HOLDINGS LTD     CMN            G9319H102        -        954 SH       SOLE       2               954         0       0
VALUECLICK INC COM S     CMN            92046N102      525     36,348 SH       SOLE       2            36,348         0       0
VANCEINFO TECHNOLOGI     CMN            921564100        -        100 SH       SOLE       2               100         0       0
VANGUARD MSCI EMERGI     CMN            922042858      509     10,400 SH       SOLE       1            10,400         0       0
VANGUARD SMALL-CAP G     CMN            922908595      207      2,400 SH       SOLE       1             2,400         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
VCA ANTECH INC COM U     CMN            918194101    1,005     39,926 SH       SOLE       2            39,926         0       0
VERIFONE SYSTEMS INC     CMN            92342Y109      291      5,300 SH       DEFINED    1                       5,300       0
VERIFONE SYSTEMS INC     CMN            92342Y109       52        950 SH       DEFINED    2                         950       0
VERIGY LTD COM NPV       CMN            Y93691106    5,638    400,000 SH       SOLE       2           400,000         0       0
VERISIGN INC COM USD     CMN            92343E102      636     17,569 SH       SOLE       2            17,569         0       0
VERIZON COMMUNICATIO     CMN            92343V104       36        943 SH       DEFINED    2                         943       0
VERIZON COMMUNICATIO     CMN            92343V104    1,077     27,935 SH       DEFINED    2                      27,935       0
VF CORP COM NPV          CMN            918204108      317      3,213 SH       SOLE       2             3,213         0       0
VIACOM INC NEW CL'B'     CMN            92553P201   48,329  1,038,981 SH       DEFINED    2                   1,038,981       0
VIACOM INC NEW CL'B'     CMN            92553P201       22        483 SH       DEFINED    2                         483       0
VIROPHARMA INC COM U     CMN            928241108      199     10,007 SH       SOLE       2            10,007         0       0
VISA INC USD0.0001       CMN            92826C839   77,426  1,051,624 SH       DEFINED    1                   1,051,624       0
VISA INC USD0.0001       CMN            92826C839   15,822    214,906 SH       DEFINED    2                     214,906       0
VISA INC USD0.0001       CMN            92826C839      437      5,937 SH       DEFINED    2                       5,937       0
VISTAPRINT NV COM ST     CMN            N93540107      475      9,142 SH       SOLE       2             9,142         0       0
VODAFONE GROUP PLC O     CMN            92857W209        -    491,380 SH       SOLE       2           491,380         0       0
VOLCANO CORP COM STK     CMN            928645100      532     20,800 SH       SOLE       1            20,800         0       0
W&T OFFSHORE INC COM     CMN            92922P106    1,424     62,455 SH       DEFINED    1                      62,455       0
W&T OFFSHORE INC COM     CMN            92922P106       12        522 SH       DEFINED    2                         522       0
WAL-MART STORES INC      CMN            931142103    1,589     30,521 SH       SOLE       2            30,521         0       0
WALT DISNEY CO/THE D     CMN            254687106      309      7,173 SH       SOLE       2             7,173         0       0
WALTER ENERGY INC CO     CMN            93317Q105      265      1,957 SH       SOLE       2             1,957         0       0
WARNER CHILCOTT PLC      CMN            G94368100      506     21,743 SH       SOLE       2            21,743         0       0
WATSCO INC COM USD0.     CMN            942622200      246      3,524 SH       DEFINED    2                       3,524       0
WATSCO INC COM USD0.     CMN            942622200      113      1,628 SH       DEFINED    2                       1,628       0
WEATHERFORD INTERNAT     CMN            H27013103        -      7,591 SH       SOLE       2             7,591         0       0
WEBMD HEALTH CORP CO     CMN            94770V102    1,804     33,769 SH       SOLE       2            33,769         0       0
WELLPOINT INC COM US     CMN            94973V107    5,275     75,578 SH       DEFINED    2                      75,578       0
WELLPOINT INC COM US     CMN            94973V107      270      3,871 SH       DEFINED    2                       3,871       0
WET SEAL INC CLASS'A     CMN            961840105       65     15,139 SH       SOLE       2            15,139         0       0
WHIRLPOOL CORP COM U     CMN            963320106      349      4,086 SH       SOLE       2             4,086         0       0
WHITE MOUNTAINS INSU     CMN            G9618E107        -         16 SH       SOLE       2                16         0       0
WHITING PETROLEUM CO     CMN            966387102      223      3,034 SH       SOLE       2             3,034         0       0
WHOLE FOODS MARKET I     CMN            966837106      264      4,000 SH       DEFINED    2                       4,000       0
WHOLE FOODS MARKET I     CMN            966837106      107      1,625 SH       DEFINED    2                       1,625       0
WILLIAMS COS INC COM     CMN            969457100      248      7,950 SH       SOLE       2             7,950         0       0
WILMINGTON TRUST COR     CMN            971807102    1,135    251,400 SH       SOLE       1           251,400         0       0
WIMM-BILL-DANN FOODS     CMN            97263M109        -     35,874 SH       SOLE       2            35,874         0       0
WINDSTREAM CORP COM      CMN            97381W104      236     18,365 SH       SOLE       2            18,365         0       0
WINN DIXIE STORES CO     CMN            974280307      190     26,645 SH       SOLE       2            26,645         0       0
WINN-DIXIE STORES IN     CMN            974280307       50      6,956 SH       SOLE       4             6,956     6,956       0
WISDOMTREE INDIA EAR     CMN            97717W422      315     12,701 SH       SOLE       2            12,701         0       0
WONDER AUTO TECHNOLO     CMN            978166106      155     28,573 SH       SOLE       2            28,573         0       0
WYNDHAM WORLDWIDE CO     CMN            98310W108    9,400    295,472 SH       DEFINED    2                     295,472       0
WYNDHAM WORLDWIDE CO     CMN            98310W108        3        100 SH       DEFINED    2                         100       0
WYNN RESORTS LTD COM     CMN            983134107    5,185     40,774 SH       DEFINED    1                      40,774       0
WYNN RESORTS LTD COM     CMN            983134107      112        882 SH       DEFINED    2                         882       0
XEROX CORP COM USD1      CMN            984121103      323     30,293 SH       SOLE       2            30,293         0       0
XILINX INC COM USD0.     CMN            983919101      611     18,626 SH       SOLE       2            18,626         0       0
XL GROUP PLC CLASS'A     CMN            G98290102      226      9,191 SH       SOLE       2             9,191         0       0
XOMA LTD ORD USD0.00     CMN            G9825R206      140     49,928 SH       SOLE       2            49,928         0       0
XYRATEX (BM) LTD USD     CMN            G98268108        -     10,466 SH       SOLE       2            10,466         0       0
YAHOO INC COM USD0.0     CMN            984332106   24,895  1,491,853 SH       DEFINED    1                   1,491,853       0
YAHOO INC COM USD0.0     CMN            984332106    1,224     73,333 SH       DEFINED    2                      73,333       0
YAHOO INC COM USD0.0     CMN            984332106      104      6,230 SH       DEFINED    2                       6,230       0
YRC WORLDWIDE INC US     CMN            984249300       38     21,992 SH       SOLE       2            21,992         0       0
YUM! BRANDS INC COM      CMN            988498101   56,835  1,106,275 SH       DEFINED    1                   1,106,275       0
YUM! BRANDS INC COM      CMN            988498101       64      1,254 SH       DEFINED    2                       1,254       0
ZHONGPIN INC COM STK     CMN            98952K107      433     28,593 SH       SOLE       2            28,593         0       0
ZIMMER HOLDINGS INC      CMN            98956P102      228      3,760 SH       SOLE       2             3,760         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
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- --------- -------
                                                                                       
ZOLTEK COS INC COM U     CMN            98975W104      185     13,804 SH       SOLE       2            13,804         0       0