THIS FILING LISTS SECURITIES HOLDINGS REPORTED ON THE FORM 13F FILED ON
        12/30/2011 PURSUANT TO A REQUEST FOR CONFIDENTIAL TREATMENT AND
             FOR WHICH CONFIDENTIAL TREATMENT EXPIRED ON .

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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 12/31/2011
Check here if Amendment [X]; Amendment Number:  1
                                               -------
This Amendment (Check only one.):               [X] 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:


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 submission.

Persons Signing this Report on Behalf of Reporting Manager:

Name:   Fernando Del Puerto
Title:  Executive Director
Phone:  212 667 9857

Signature,  Place,  and  Date  of  Signing:

/s/ Fernando Del Puerto            New York, NY                       2/28/2012
---------------------------------  ---------------------------------  ----------
[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.
---------------  ---------------------------------------------------------------
0001163653       Nomura Holdings Inc.
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    6

Form 13F Information Table Entry Total:           1,376

Form 13F Information Table Value Total:  $    5,018,768
                                         --------------
                                         (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
----  --------------------  ----------------------------------------------------
6     0001163653            Nomura Holdings 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         681       8337 SH       DEFINED    2                 0      8337      0
3M CO COM USD0.01           CMN            88579Y101          34        411 SH       DEFINED    1                 0       411      0
99 CENTS ONLY STORES COM    CMN            65440K106       15531     707541 SH       DEFINED    2                 0    707541      0
NPV
99 CENTS ONLY STORES COM    CMN            65440K106        5002     227899 SH       DEFINED    1                 0    227899      0
NPV
A123 SYSTEM INC COM NPV     CMN            03739T108          29      18127 SH       SOLE       2             18127         0      0
A123 SYSTEM INC COM NPV     CNV            03739TAA6        1123   34722.22 SH       SOLE       1          34722.22         0      0
ABBOTT LABORATORIES COM NPV CMN            002824100        2489      44269 SH       DEFINED    2                 0     44269      0
ABBOTT LABORATORIES COM NPV CMN            002824100          53        942 SH       DEFINED    1                 0       942      0
ABERCROMBIE & FITCH CO      CMN            002896207         367       7517 SH       DEFINED    2                 0      7517      0
CL'A'COM USD0.01
ABERCROMBIE & FITCH CO      CMN            002896207         332       6803 SH       DEFINED    2                 0      6803      0
CL'A'COM USD0.01
ACADIA PHARMACEUTICALS INC  CMN            004225108          11      10000 SH       SOLE       2             10000         0      0
COM USD0.001
ACCENTURE PLC CLS'A'COM     CMN            G1151C101         555      10421 SH       SOLE       2             10421         0      0
USD0.0000225
ACCLAIM ENTMT INC COM PAR   CMN            004325205           0         80 SH       SOLE       1                80         0      0
$0.02
ACCURAY INC COM STK         CMN            004397105         261      61592 SH       SOLE       2             61592         0      0
USD0.001
ACCURIDE CORP NEW           CMN            00439T206    5136.874     721471 SH       SOLE       4            610046         0 111425
ACTIVISION BLIZZARD INC     CMN            00507V109        1345     109152 SH       SOLE       2            109152         0      0
COM USD0.000001
ACTUANT CORP CL'A' COM      CNV            00508XAB0        2587   21428.57 SH       SOLE       1          21428.57         0      0
USD0.20
ADVANCED MARKETING          CMN            00753T105           0        168 SH       SOLE       1               168         0      0
SERVICES
ADVANCED MEDICAL ISOTOPE    CMN            00765X102           2      20000 SH       SOLE       1             20000         0      0
CORP USD0.001
ADVANCED MICRO DEVICES INC  CMN            007903107         357      66108 SH       SOLE       2             66108         0      0
COM USD0.01
ADVANCED OPTICS             CMN            00754V109           0      38000 SH       SOLE       1             38000         0      0
ELECTRONICS COM
ADVANTA CORP-CLASS A        CMN            007942105           0         22 SH       SOLE       1                22         0      0
AETNA INC COM USD0.01       CMN            00817Y108         849      20112 SH       SOLE       2             20112         0      0
AFLAC INC COM USD0.10       CMN            001055102         191       4411 SH       DEFINED    2                 0      4411      0
AFLAC INC COM USD0.10       CMN            001055102          26        600 SH       DEFINED    3                 0       600      0
AGCO CORP COM USD0.01       CNV            001084AM4        2601    21139.2 SH       SOLE       1           21139.2         0      0
AGILENT TECHNOLOGIES INC    CMN            00846U101         344       9836 SH       SOLE       2              9836         0      0
COM STK USD0.01
AGNICO-EAGLE MINES LTD COM  CMN            008474108         315       8678 SH       SOLE       2              8678         0      0
NPV
AGRIUM INC COM NPV          CMN            008916108        1748      26044 SH       DEFINED    2                 0     26044      0
AGRIUM INC COM NPV          CMN            008916108          93       1389 SH       DEFINED    2                 0      1389      0
AIR LEASE CORP COM NPV 144A CNV            00912XAA2         336    3308.35 SH       SOLE       1           3308.35         0      0
AK STEEL HOLDING CORP COM   CMN            001547108         843     102034 SH       SOLE       2            102034         0      0
USD0.01
AKAMAI TECHNOLOGIES INC     CMN            00971T101         100       3100 SH       DEFINED    2                 0      3100      0
COM USD0.01
AKAMAI TECHNOLOGIES INC     CMN            00971T101        1851      57343 SH       DEFINED    1                 0     57343      0
COM USD0.01
AKORN INC COM STK NPV       CMN            009728106         121      10894 SH       SOLE       2             10894         0      0
ALASKA COMMSS SYSTEMS       CNV            01167PAB7       61195  620010.85 SH       SOLE       1         620010.85         0      0
GROUP INC COM USD0.01
ALCATEL-LUCENT EUR2         CMN            013904305         145      92916 SH       SOLE       2             92916         0      0
ALCATEL-LUCENT EUR2         CNV            549463AH0         756    8677.52 SH       SOLE       1           8677.52         0      0
ALCOA INC COM USD1          CMN            013817101         558      64499 SH       DEFINED    2                 0     64499      0
ALCOA INC COM USD1          CMN            013817101        3218     371994 SH       DEFINED    2                 0    371994      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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
ALCOA INC COM USD1          CNV            013817AT8       75353  494930.96 SH       SOLE       1         494930.96         0      0
ALEXION PHARMACEUTICALS     CMN            015351109         304       4250 SH       SOLE       2              4250         0      0
INC COM USD0.0001
ALLEGHENY TECHNOLOGIES INC  CNV            01741RAD4         512    3684.65 SH       SOLE       1           3684.65         0      0
COM USD0.10
ALLERGAN INC/UNITED STATES  CMN            018490102         348       3965 SH       SOLE       2              3965         0      0
USD0.01
ALLIANCE DATA SYSTEMS CORP  CNV            018581AC2       12128   53736.08 SH       SOLE       1          53736.08         0      0
COM USD0.01
ALLIANCE DATA SYSTEMS CORP  CNV            018581AD0       13358   97327.44 SH       SOLE       1          97327.44         0      0
COM USD0.01
ALLIED IRISH BANKS PLC      CMN            019228808         175     257080 SH       SOLE       2            257080         0      0
EUR0.01
ALPHA NAT RES LLC COM       CNV            02076XAA0        1703   18296.18 SH       SOLE       1          18296.18         0      0
USD0.01
ALTRIA GROUP INC COM        CMN            02209S103        1119      37737 SH       DEFINED    2                 0     37737      0
USD0.333333
ALTRIA GROUP INC COM        CMN            02209S103          34       1161 SH       DEFINED    1                 0      1161      0
USD0.333333
ALUMINA LTD NPV             CMN            022205108         148      32000 SH       SOLE       2             32000         0      0
AMAZON.COM INC COM USD0.01  CMN            023135106         381       2202 SH       DEFINED    2                 0      2202      0
AMAZON.COM INC COM USD0.01  CMN            023135106        1896      10951 SH       DEFINED    2                 0     10951      0
AMAZON.COM INC COM USD0.01  CMN            023135106        1316       7605 SH       DEFINED    1                 0      7605      0
AMBAC FINANCIAL GROUP INC   CMN            023139108           0      10500 SH       SOLE       2             10500         0      0
COM USD0.01
AMERICA MOVIL SAB DE CV     CMN            02364W105       10006     442760 SH       SOLE       2            442760         0      0
COM SER 'L' NPV (L/VTG)
AMERICAN BRANDS INC         CMN            024703100           0        200 SH       SOLE       1               200         0      0
AMERICAN CAPITAL AGENCY     CMN            02503X105        1107      39410 SH       SOLE       2             39410         0      0
CORP COMMON STOCK USD(NPV)
AMERICAN CAPITAL LTD COM    CMN            02503Y103          92      13683 SH       SOLE       2             13683         0      0
USD0.01
AMERICAN DENTAL PARTNERS    CMN            025353103        2009     106700 SH       SOLE       1            106700         0      0
INC COM STK USD0.01
AMERICAN ELECTRIC POWER CO  CMN            025537101         218       5279 SH       SOLE       2              5279         0      0
INC COM USD6.50
AMERICAN EQUITY INVLIFE     CNV            025676AJ6        8104      80000 SH       SOLE       1             80000         0      0
HOLDING CO COM USD1
AMERICAN EXPRESS CO COM     CMN            025816109        1334      28282 SH       DEFINED    2                 0     28282      0
USD0.20
AMERICAN EXPRESS CO COM     CMN            025816109        2269      48096 SH       DEFINED    1                 0     48096      0
USD0.20
AMERICAN INTERNATIONAL      CMN            026874784         738      31830 SH       DEFINED    2                 0     31830      0
GROUP INC COM USD2.50
AMERICAN INTERNATIONAL      CMN            026874784          39       1701 SH       DEFINED    3                 0      1701      0
GROUP INC COM USD2.50
AMERICAN INTERNATIONAL      CMN            026874784        4026     173527 SH       DEFINED    1                 0    173527      0
GROUP INC COM USD2.50
AMERICAN SUPERCONDUCTOR     CMN            030111108         284      76855 SH       SOLE       2             76855         0      0
CORP COM USD0.01
AMERICAN TOWER CORP         CMN            029912201         152       2536 SH       DEFINED    2                 0      2536      0
CL'A'COM USD0.01
AMERICAN TOWER CORP         CMN            029912201        2526      42094 SH       DEFINED    1                 0     42094      0
CL'A'COM USD0.01
AMERIGROUP CORP COM USD0.01 CNV            03073TAB8        9914   70534.13 SH       SOLE       1          70534.13         0      0
AMERIPRISE FINANCIAL INC    CMN            03076C106         365       7359 SH       SOLE       2              7359         0      0
COM STK USD0.01
AMGEN INC COM USD0.0001     CMN            031162100        1142      17786 SH       SOLE       2             17786         0      0
AMR CORP COM USD1           CMN            001765106          10      27265 SH       DEFINED    2                 0     27265      0
AMR CORP COM USD1           CMN            001765106          36     104166 SH       DEFINED    1                 0    104166      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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
AMR CORP COM USD1           CNV            001765BC9         215   10101.01 SH       SOLE       2          10101.01         0      0
AMWEST ENVIRONMENTAL GROUP  CMN            03234M103           0       8800 SH       SOLE       1              8800         0      0
INC COM
AMYLIN PHARMACEUTICALS INC  CMN            032346108         574      50400 SH       SOLE       2             50400         0      0
COM USD0.001
ANADARKO PETROLEUM CORP     CMN            032511107         179       2351 SH       DEFINED    2                 0      2351      0
COM USD0.10
ANADARKO PETROLEUM CORP     CMN            032511107          74        976 SH       DEFINED    1                 0       976      0
COM USD0.10
ANESIVA INC COM STK         CMN            03460L100           0      10000 SH       SOLE       2             10000         0      0
USD0.001
ANIXTER INTERNATIONAL INC   CNV            035290AJ4         448    3947.57 SH       SOLE       1           3947.57         0      0
COM USD1
ANN INC COM USD0.0068       CMN            035623107          96       3882 SH       DEFINED    2                 0      3882      0
ANN INC COM USD0.0068       CMN            035623107         452      18252 SH       DEFINED    1                 0     18252      0
ANNALY CAPITAL MANAGEMENT   CMN            035710409        1739     108937 SH       SOLE       2            108937         0      0
INC COM USD0.01
ANNALY CAPITAL MANAGEMENT   CNV            035710AA0       14763  130066.52 SH       SOLE       1         130066.52         0      0
INC COM USD0.01
APOLLO INVESTMENT CORP COM  CNV            03761UAA4        4225   50909.09 SH       SOLE       1          50909.09         0      0
USD0.001
APPLE INC COM NPV           CMN            037833100        4044       9985 SH       SOLE       2              9985         0      0
APPLIED MATERIALS INC COM   CMN            038222105        7753     723902 SH       DEFINED    2                 0    723902      0
USD0.01
APPLIED MATERIALS INC COM   CMN            038222105         124      11593 SH       DEFINED    2                 0     11593      0
USD0.01
APPLIED MATERIALS INC COM   CMN            038222105          33       3092 SH       DEFINED    1                 0      3092      0
USD0.01
AQUAPRO CORP COM            CMN            037940103           0       8425 SH       SOLE       1              8425         0      0
ARADIGM CORP COM STK NPV    CMN            038505301          51     489791 SH       SOLE       2            489791         0      0
ARCELORMITTAL NY REGISTRY   CMN            03938L104        3255     178967 SH       SOLE       2            178967         0      0
SHARES
ARCH COAL INC COM USD0.01   CMN            039380100         269      18566 SH       SOLE       2             18566         0      0
ARCH WIRELESS INC   COM     CMN            039392105           0         57 SH       SOLE       1                57         0      0
ARCHER-DANIELS-MIDLAND CO   CMN            039483102         376      13145 SH       DEFINED    2                 0     13145      0
COM NPV
ARCHER-DANIELS-MIDLAND CO   CMN            039483102         429      15000 SH       DEFINED    1                 0     15000      0
COM NPV
ARCHER-DANIELS-MIDLAND CO   CNV            039483AW2        8155   81180.59 SH       SOLE       1          81180.59         0      0
COM NPV
ARIAD PHARMACEUTICALS INC   CMN            04033A100         807      65900 SH       SOLE       2             65900         0      0
COM USD0.001
ARM HOLDINGS PLC ORD        CMN            042068106         216       7803 SH       SOLE       2              7803         0      0
GBP0.0005
ARMITEC INC COM             CMN            042242107           0         10 SH       SOLE       1                10         0      0
ARRIS GROUP INC COM USD0.01 CMN            04269Q100         162      15013 SH       SOLE       1             15013         0      0
ARROWHEAD RESEARCH CORP     CMN            042797209          84      20000 SH       SOLE       2             20000         0      0
COM STK USD0.001
ASPEN GROUP RES CORP COM    CMN            045297207           0         71 SH       SOLE       1                71         0      0
NEW
ASTRAZENECA PLC ORD USD0.25 CMN            046353108         465      10036 SH       SOLE       2             10036         0      0
AT HOME CORP COM SER A      CMN            045919107           0         10 SH       SOLE       1                10         0      0
(WORTHLESS)
AT&T INC COM USD1           CMN            00206R102         300       9909 SH       DEFINED    2                 0      9909      0
AT&T INC COM USD1           CMN            00206R102           9        287 SH       DEFINED    1                 0       287      0
ATC HEALTHCARE INC  CL A    CMN            00209C102           0        700 SH       SOLE       1               700         0      0
ATCHISON CASTING CORP COM   CMN            046613105           0        100 SH       SOLE       1               100         0      0
ATLANTIC GULF COMMUNITIES   CMN            048556104           0          3 SH       SOLE       1                 3         0      0
CORP COM
ATP OIL & GAS CORP COM      CMN            00208J108          97      13200 SH       SOLE       2             13200         0      0
USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
ATRICURE INC COM USD0.001   CMN            04963C209         191      17203 SH       SOLE       2             17203         0      0
ATX COMMUNICATIONS  INC COM CMN            002113108           0          7 SH       SOLE       1                 7         0      0
AU OPTRONICS CORP TWD10     CMN            002255107         432     100000 SH       SOLE       2            100000         0      0
AUTOZONE INC COM USD0.01    CMN            053332102        1012       3114 SH       DEFINED    2                 0      3114      0
AUTOZONE INC COM USD0.01    CMN            053332102         392       1205 SH       DEFINED    1                 0      1205      0
AVALON CAP HLDGS CORP COM   CMN            053422200           0          5 SH       SOLE       1                 5         0      0
NEW
AVI BIOPHARMA INC COM       CMN            002346104          23      31000 SH       SOLE       2             31000         0      0
USD0.0001
AVIS BUDGET GROUP INC COM   CMN            053774105         123      11432 SH       SOLE       2             11432         0      0
STK USD0.01
AVON PRODUCTS INC COM       CMN            054303102         383      21912 SH       DEFINED    2                 0     21912      0
USD0.25
AVON PRODUCTS INC COM       CMN            054303102          64       3652 SH       DEFINED    1                 0      3652      0
USD0.25
AXCELIS TECHNOLOGIES INC    CMN            054540109          15      11000 SH       SOLE       2             11000         0      0
COM USD0.001
BAIDU INC/CHINA UNLISTED    CMN            056752108        1119       9608 SH       SOLE       2              9608         0      0
NPV
BAKER HUGHES INC COM USD1   CMN            057224107         542      11146 SH       SOLE       2             11146         0      0
BANCO SANTANDER BRASIL      CMN            05967A107        1182     145167 SH       DEFINED    2                 0    145167      0
SA/BRAZIL UNIT NPV
BANCO SANTANDER BRASIL      CMN            05967A107          41       4997 SH       DEFINED    2                 0      4997      0
SA/BRAZIL UNIT NPV
BANCO SANTANDER SA          CMN            05964H105         224      29850 SH       SOLE       2             29850         0      0
EUR0.50(REGD)
BANK OF AMERICA CORP COM    CMN            060505104       23014    4139284 SH       DEFINED    2                 0   4139284      0
USD0.01
BANK OF AMERICA CORP COM    CMN            060505104       16269    2926129 SH       DEFINED    2                 0   2926129      0
USD0.01
BANK OF AMERICA CORP COM    CMN            060505104           6       1160 SH       DEFINED    3                 0      1160      0
USD0.01
BANK OF AMERICA CORP COM    CMN            060505104       10727    1929243 SH       DEFINED    1                 0   1929243      0
USD0.01
BANK OF AMERICA CORP COM    CMN            060505153           4   11504.31 SH       SOLE       1          11504.31         0      0
USD0.01
BANK OF IRELAND /THE        CMN            46267Q202        4196     989560 SH       SOLE       2            989560         0      0
GOVERNOR & CO EUR0.05
BANK OF NEW YORK MELLON     CMN            064058100         327      16408 SH       SOLE       2             16408         0      0
CORP/THE COM STK USD0.01
BANK OF NOVA SCOTIA COM NPV CMN            064149107         643      12910 SH       SOLE       2             12910         0      0
BARCLAYS PLC ORD GBP0.25    CMN            06738E204         181      16476 SH       SOLE       2             16476         0      0
BARRICK GOLD CORP COM NPV   CMN            067901108          83       1836 SH       DEFINED    2                 0      1836      0
BARRICK GOLD CORP COM NPV   CMN            067901108         931      20576 SH       DEFINED    2                 0     20576      0
BAXTER INTERNATIONAL INC    CMN            071813109         692      13984 SH       SOLE       2             13984         0      0
COM USD1
BED BATH & BEYOND INC COM   CMN            075896100        1237      21337 SH       SOLE       2             21337         0      0
USD0.01
BERKSHIRE HATHAWAY INC      CMN            084670108        7803         68 SH       SOLE       2                68         0      0
CLASS 'A'USD0.0033
BERKSHIRE HATHAWAY INC      CMN            084670702        1589      20822 SH       SOLE       2             20822         0      0
CLASS B NONVTG USD0.0033
BEST BUY CO INC COM USD0.10 CMN            086516101         626      26799 SH       SOLE       2             26799         0      0
BHP BILLITON PLC USD0.50    CMN            05545E209       17132     293398 SH       SOLE       2            293398         0      0
BILL BARRETT CORP COM       CMN            06846N104         211       6186 SH       SOLE       2              6186         0      0
USD0.001
BIOGEN IDEC INC COM STK     CMN            09062X103         747       6792 SH       SOLE       2              6792         0      0
USD0.0005
BIOLASE TECHNOLOGY INC COM  CMN            090911108         389     151500 SH       SOLE       2            151500         0      0
USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
BIOMARIN PHARMACEUTICALS    CNV            09061GAD3         751    4223.96 SH       SOLE       1           4223.96         0      0
INC COM USD0.001
BIOTIME INC COM NPV         CMN            09066L105         110      18955 SH       SOLE       2             18955         0      0
BLACKROCK INC/NEW YORK COM  CMN            09247X101          24        132 SH       DEFINED    2                 0       132      0
STK USD0.01
BLACKROCK INC/NEW YORK COM  CMN            09247X101         376       2107 SH       DEFINED    1                 0      2107      0
STK USD0.01
BLUE COAT SYSTEMS INC COM   CMN            09534T508         486      19113 SH       DEFINED    2                 0     19113      0
USD0.0001
BLUE COAT SYSTEMS INC COM   CMN            09534T508        1010      39700 SH       DEFINED    1                 0     39700      0
USD0.0001
BMC SOFTWARE INC COM        CMN            055921100         492      15000 SH       SOLE       2             15000         0      0
USD0.01
BOEING CO COM USD5          CMN            097023105        1978      26966 SH       DEFINED    2                 0     26966      0
BOEING CO COM USD5          CMN            097023105          95       1300 SH       DEFINED    1                 0      1300      0
BORGWARNER INC COM USD0.01  CMN            099724106         515       8081 SH       SOLE       2              8081         0      0
BORGWARNER INC COM USD0.01  CNV            099724AF3        3934   20232.49 SH       SOLE       1          20232.49         0      0
BOSTON PROPERTIES INC COM   CNV            10112RAM6         297    2764.07 SH       SOLE       1           2764.07         0      0
USD0.01
BOSTON SCIENTIFIC CORP COM  CMN            101137107          70      13160 SH       SOLE       2             13160         0      0
USD0.01
BP PLC ORD USD0.25          CMN            055622104        7933     185616 SH       SOLE       2            185616         0      0
BPZ RESOURCES INC COM NPV   CNV            055639AB4       20794  254356.16 SH       SOLE       1         254356.16         0      0
BREAKAWAY SOLUTIONS INC COM CMN            106372105           0       5600 SH       SOLE       1              5600         0      0
BRF - BRASIL FOODS SA COM   CMN            10552T107         602      30813 SH       SOLE       2             30813         0      0
NPV
BRISTOL-MYERS SQUIBB CO     CMN            110122108         251       7115 SH       SOLE       2              7115         0      0
COM STK USD0.10
BRITISH AMERICAN TOBACCO    CMN            110448107         671       7070 SH       SOLE       2              7070         0      0
PLC ORD GBP0.25
BROADCOM CORP CL A COM      CMN            111320107         341      11626 SH       DEFINED    2                 0     11626      0
USD0.0001
BROADCOM CORP CL A COM      CMN            111320107        1996      68000 SH       DEFINED    1                 0     68000      0
USD0.0001
BROCADE COMMUNICATIONS      CMN            111621306         116      22300 SH       DEFINED    2                 0     22300      0
SYSTEMS INC COM USD0.001
BROCADE COMMUNICATIONS      CMN            111621306           1        215 SH       DEFINED    1                 0       215      0
SYSTEMS INC COM USD0.001
BROOKLINE BANCORP INC COM   CMN            11373M107         686      81257 SH       SOLE       1             81257         0      0
USD0.01
BSK & TECH INC USD0.001     CNV            530718AF2        8602   76636.05 SH       SOLE       1          76636.05         0      0
CABLEVISION SYS CP NY       CMN            12686C109         285      20048 SH       SOLE       2             20048         0      0
GROUP CM CLASS'A'USD0.01
CABOT OIL & GAS CORP COM    CMN            127097103         546       7191 SH       SOLE       2              7191         0      0
USD0.10
CADDO INTL INC COM          CMN            127233104           0         63 SH       SOLE       1                63         0      0
CADIZ INC COM USD0.01       CMN            127537207         261      27089 SH       SOLE       2             27089         0      0
CALLAWAY GOLF CO COM        CMN            131193104         330      59600 SH       SOLE       2             59600         0      0
USD0.01
CALPINE CORP COM STK        CMN            131347304        1304      79839 SH       SOLE       2             79839         0      0
USD0.001
CAMECO CORP COM NPV         CMN            13321L108         386      21410 SH       SOLE       2             21410         0      0
CAMERON INTERNATIONAL CORP  CMN            13342B105         153       3101 SH       DEFINED    2                 0      3101      0
COM USD0.01
CAMERON INTERNATIONAL CORP  CMN            13342B105         128       2595 SH       DEFINED    1                 0      2595      0
COM USD0.01
CANADIAN NATURAL RESOURCES  CMN            136385101         165       4412 SH       DEFINED    2                 0      4412      0
LTD COM NPV
CANADIAN NATURAL RESOURCES  CMN            136385101         212       5660 SH       DEFINED    2                 0      5660      0
LTD COM NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CANADIAN SOLAR INC COM STK  CMN            136635109          82      30989 SH       SOLE       2             30989         0      0
NPV
CAPITAL ONE FINANCIAL CORP  CMN            14040H105        1571      37138 SH       DEFINED    2                 0     37138      0
COM USD0.01
CAPITAL ONE FINANCIAL CORP  CMN            14040H105         343       8117 SH       DEFINED    1                 0      8117      0
COM USD0.01
CAPSTONE TURBINE CORP COM   CMN            14067D102          12      10000 SH       SOLE       2             10000         0      0
USD0.001
CARIBBEAN AMERN HLTH        CMN            141798108           0          6 SH       SOLE       1                 6         0      0
RESORTS
CARMAX INC COM USD0.50      CMN            143130102         546      17915 SH       SOLE       2             17915         0      0
CARNIVAL CORP COM           CMN            143658300         338      10358 SH       SOLE       2             10358         0      0
USD0.01(PAIRED STOCK)
CATERPILLAR INC COM USD1    CMN            149123101        1305      14406 SH       DEFINED    2                 0     14406      0
CATERPILLAR INC COM USD1    CMN            149123101        1389      15331 SH       DEFINED    2                 0     15331      0
CATERPILLAR INC COM USD1    CMN            149123101         354       3904 SH       DEFINED    1                 0      3904      0
CATTLESALE COMPANY  COM     CMN            149479107           0        135 SH       SOLE       1               135         0      0
CBS CORP CLASS'B' COM STK   CMN            124857202        2708      99797 SH       DEFINED    2                 0     99797      0
USD0.001
CBS CORP CLASS'B' COM STK   CMN            124857202         679      25000 SH       DEFINED    1                 0     25000      0
USD0.001
CELGENE CORP COM USD0.01    CMN            151020104         959      14180 SH       SOLE       2             14180         0      0
CELL THERAPEUTICS INC COM   CMN            150934602          12      10116 SH       SOLE       2             10116         0      0
NPV
CELSION CORP COM STK        CMN            15117N305          34      20000 SH       SOLE       2             20000         0      0
USD0.01
CEMEX SAB DE CV CPO         CMN            151290889     23815.1    4418378 SH       DEFINED    2                 0  44183780      0
NPV(REP 2'A' & 1'B')
CEMEX SAB DE CV CPO         CMN            151290889       201.8      37431 SH       DEFINED    2                 0    374310      0
NPV(REP 2'A' & 1'B')
CENTRAIS ELETRICAS          CMN            15234Q207         508      52300 SH       SOLE       2             52300         0      0
BRASILEIRAS SA COM NPV
CENTRAL EUROPEAN            CMN            153435102         410      93772 SH       SOLE       2             93772         0      0
DISTRIBUTION CORP COM
USD0.01
CENTURA SOFTWARE CORP COM   CMN            15640W103           0       3840 SH       SOLE       1              3840         0      0
CENTURYLINK INC COM USD1    CMN            156700106        1222      32846 SH       DEFINED    2                 0     32846      0
CENTURYLINK INC COM USD1    CMN            156700106         372      10010 SH       DEFINED    2                 0     10010      0
CERNER CORP COM USD0.01     CMN            156782104         742      12119 SH       SOLE       2             12119         0      0
CF INDUSTRIES HOLDINGS INC  CMN            125269100         233       1610 SH       DEFINED    2                 0      1610      0
COM USD0.01
CF INDUSTRIES HOLDINGS INC  CMN            125269100          35        238 SH       DEFINED    1                 0       238      0
COM USD0.01
CH ROBINSON WORLDWIDE INC   CMN            12541W209          14        203 SH       DEFINED    2                 0       203      0
COM USD0.1
CH ROBINSON WORLDWIDE INC   CMN            12541W209         355       5089 SH       DEFINED    1                 0      5089      0
COM USD0.1
CHARLES RIVER LABORATORIES  CMN            159864107        1281      46877 SH       DEFINED    2                 0     46877      0
COM STK USD0.01
CHARLES RIVER LABORATORIES  CMN            159864107           1         42 SH       DEFINED    2                 0        42      0
COM STK USD0.01
CHARLES RIVER LABORATORIES  CMN            159864107           1         49 SH       DEFINED    1                 0        49      0
COM STK USD0.01
CHART INDUSTRIES INC COM    CNV            16115QAC4        1920   18194.98 SH       SOLE       1          18194.98         0      0
STK USD0.01
CHECK POINT SOFTWARE        CMN            M22465104         245       4665 SH       SOLE       2              4665         0      0
TECHNOLOGIES LTD ORD
ILS0.01
CHELSEA THERAPEUTICS        CMN            163428105          65      12600 SH       SOLE       2             12600         0      0
INTERNATIONAL LTD COM STK
NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CHENIERE ENERGY INC COM     CMN            16411R208         814      93665 SH       SOLE       2             93665         0      0
STK USD0.003
CHESAPEAKE ENERGY CORP COM  CMN            165167107        1339      60081 SH       SOLE       2             60081         0      0
USD0.01
CHESAPEAKE ENERGY CORP COM  CNV            165167BZ9        2498   28056.77 SH       SOLE       1          28056.77         0      0
USD0.01
CHEVRON CORP COM USD0.75    CMN            166764100        2159      20291 SH       SOLE       2             20291         0      0
CHICAGO BRIDGE & IRON CO    CMN            167250109         306       8099 SH       SOLE       2              8099         0      0
NV NY REGISTRY SH EUR0.01
CHIEF CONS MNG CO   COM     CMN            168628105           0        816 SH       SOLE       1               816         0      0
CHINA AGRITECH INC USD0.1   CMN            16937A200          35      20025 SH       SOLE       2             20025         0      0
CHINA DIGITAL TV            CMN            16938G107         170      53741 SH       SOLE       2             53741         0      0
HOLDING-ADR ADR EACH REPR
1 ORD SHS
CHINA GERUI ADVANCED        CMN            G21101103         145      43158 SH       SOLE       2             43158         0      0
MATERIALS COM STK
USD0.0001
CHINA GREEN AGRICULTURE     CMN            16943W105          31      10300 SH       SOLE       2             10300         0      0
INC USD0.001
CHINA INFORMATION           CMN            16950L109           7      11500 SH       SOLE       2             11500         0      0
TECHNOLOGY INC COM USD0.01
CHINA INTEGRATED ENERGY     CMN            16948P105           6      15900 SH       SOLE       2             15900         0      0
INC COM NPV
CHINA LIFE INSURANCE CO     CMN            16939P106         458      12375 SH       SOLE       2             12375         0      0
LTD 'H'CNY1
CHINA NTH EAST PETROLEUM    CMN            16941G102          27      13150 SH       SOLE       2             13150         0      0
HOLDINGS LTD COM USD0.001
CHINA PETROLEUM & CHEMICAL  CMN            16941R108        4832      46000 SH       SOLE       2             46000         0      0
CORP 'H'CNY1
CHIPOTLE MEXICAN GRILL INC  CMN            169656105         184        544 SH       DEFINED    2                 0       544      0
CLASS 'A' COM STK USD0.01
CHIPOTLE MEXICAN GRILL INC  CMN            169656105          49        146 SH       DEFINED    1                 0       146      0
CLASS 'A' COM STK USD0.01
CHIQUITA BRANDS             CMN            170032809         709      85000 SH       SOLE       2             85000         0      0
INTERNATIONAL INC COM
USD.01
CIA BRASILIERA DE           CMN            20440T201         610      16740 SH       SOLE       2             16740         0      0
DISTRIBUICAO GRUPO PRF NPV
CIA SIDERURGICA NACIONAL    CMN            20440W105        1445     176693 SH       DEFINED    2                 0    176693      0
SA COM NPV
CIA SIDERURGICA NACIONAL    CMN            20440W105         701      85750 SH       DEFINED    2                 0     85750      0
SA COM NPV
CIENA CORP COM STK USD0.01  CMN            171779309         150      12380 SH       DEFINED    2                 0     12380      0
CIENA CORP COM STK USD0.01  CMN            171779309         866      71594 SH       DEFINED    1                 0     71594      0
CIENA CORP COM STK USD0.01  CNV            171779AB7         900    9183.94 SH       SOLE       1           9183.94         0      0
CIENA CORP COM STK USD0.01  CNV            171779AF8        5695   58229.09 SH       SOLE       1          58229.09         0      0
CIENA CORP COM STK USD0.01  CNV            171779AG6        5569   59494.29 SH       SOLE       1          59494.29         0      0
CINEMARK HOLDINGS INC COM   CMN            17243V102         257      13897 SH       SOLE       2             13897         0      0
STK USD0.001
CISCO SYSTEMS INC COM       CMN            17275R102        2076     114848 SH       SOLE       2            114848         0      0
USD0.001
CITADEL BROADCASTING CORP   CMN            17285T106           0       7613 SH       SOLE       1              7613         0      0
CITIGROUP INC USD0.01       CMN            172967424         670      25473 SH       DEFINED    2                 0     25473      0
CITIGROUP INC USD0.01       CMN            172967424       30536    1160636 SH       DEFINED    2                 0   1160636      0
CITIGROUP INC USD0.01       CMN            172967424          19        724 SH       DEFINED    3                 0       724      0
CLASSICA GROUP INC  COM NEW CMN            18273M202           0          3 SH       SOLE       1                 3         0      0
CLAYMORE S&P GLBL WAT IDX   CMN            18383Q507         253      13500 SH       SOLE       2             13500         0      0
ET CLAYMORE S&P GLBL WAT
IDX
CLEARWIRE CORP COM STK      CNV            18538TAG4       18410  288559.32 SH       SOLE       1         288559.32         0      0
USD0.0001 CLASS 'A'






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CLIFFS NATURAL RESOURCES    CMN            18683K101         295       4726 SH       DEFINED    2                 0      4726      0
INC COM USD1
CLIFFS NATURAL RESOURCES    CMN            18683K101          31        491 SH       DEFINED    1                 0       491      0
INC COM USD1
CLOROX CO COM USD1          CMN            189054109         293       4405 SH       DEFINED    2                 0      4405      0
CLOROX CO COM USD1          CMN            189054109          34        513 SH       DEFINED    1                 0       513      0
CMS ENERGY CORP COM USD0.01 CNV            125896BD1       73414  457976.77 SH       SOLE       1         457976.77         0      0
CNH GLOBAL NV COM EUR2.25   CMN            N20935206         562      15620 SH       SOLE       2             15620         0      0
CNINSURE INC ADS EACH REPR  CMN            18976M103         175      25220 SH       SOLE       2             25220         0      0
20 ORD SHS
CNO FINANCIAL GROUP INC     CNV            12621EAF0        9597   71038.25 SH       SOLE       1          71038.25         0      0
COM USD0.01
CNOOC LTD HKD0.02           CMN            126132109        5782      33100 SH       SOLE       2             33100         0      0
COACH INC COM USD0.01       CMN            189754104         712      11672 SH       DEFINED    2                 0     11672      0
COACH INC COM USD0.01       CMN            189754104         419       6868 SH       DEFINED    1                 0      6868      0
COCA-COLA CO/THE COM        CMN            191216100          18        260 SH       DEFINED    2                 0       260      0
USD0.25
COCA-COLA CO/THE COM        CMN            191216100        2674      38223 SH       DEFINED    2                 0     38223      0
USD0.25
COCA-COLA ENTERPRISES INC   CMN            19122T109         482      18690 SH       SOLE       2             18690         0      0
COM USD1
COEUR D'ALENE MINES CORP    CMN            192108504         479      19837 SH       SOLE       2             19837         0      0
USD1
COINSTAR INC COM USD0.001   CNV            19259PAF9        1197    9183.42 SH       SOLE       1           9183.42         0      0
COLGATE-PALMOLIVE CO COM    CMN            194162103        1098      11888 SH       DEFINED    2                 0     11888      0
USD1
COLGATE-PALMOLIVE CO COM    CMN            194162103          34        364 SH       DEFINED    1                 0       364      0
USD1
COMCAST CORP COM CLS'A'     CMN            20030N101       18528     781425 SH       SOLE       2            781425         0      0
USD0.01
COMERICA INC COM USD5       CMN            200340107         228       8822 SH       DEFINED    2                 0      8822      0
COMERICA INC COM USD5       CMN            200340107        1548      60000 SH       DEFINED    1                 0     60000      0
COMPLETE GENOMICS INC COM   CMN            20454K104          63      21412 SH       SOLE       2             21412         0      0
NPV
COMPLETE PRODUCTION         CMN            20453E109        2279      67906 SH       DEFINED    2                 0     67906      0
SERVICES INC COM STK
USD0.01
COMPLETE PRODUCTION         CMN            20453E109        3490     103988 SH       DEFINED    1                 0    103988      0
SERVICES INC COM STK
USD0.01
CONAGRA FOODS INC COM USD5  CMN            205887102         213       8067 SH       SOLE       2              8067         0      0
CONCUR TECHNOLOGIES INC     CMN            206708109         135       2657 SH       DEFINED    2                 0      2657      0
COM USD0.001
CONCUR TECHNOLOGIES INC     CMN            206708109         664      13064 SH       DEFINED    1                 0     13064      0
COM USD0.001
CONNECTICUT BK COMM         CMN            207548108           0     414660 SH       SOLE       1            414660         0      0
STAMFORD COM
CONOCOPHILLIPS COM USD0.01  CMN            20825C104        1204      16528 SH       SOLE       2             16528         0      0
CONSOL ENERGY INC COM       CMN            20854P109         521      14184 SH       SOLE       2             14184         0      0
USD0.01
CONSOLIDATED PICTURES       CMN            209785104           0          3 SH       SOLE       1                 3         0      0
GROUP IN COM
CONSTAR INTL INC    NEW COM CMN            21036U107           0      82200 SH       SOLE       1             82200         0      0
CONSTELLATION ENERGY GROUP  CMN            210371100          33        834 SH       DEFINED    2                 0       834      0
INC COM NPV
CONSTELLATION ENERGY GROUP  CMN            210371100        4987     125700 SH       DEFINED    1                 0    125700      0
INC COM NPV
CONSUMER STAPLES SPDR AMEX  CMN            81369Y308          52       1600 SH       DEFINED    2                 0      1600      0
CONSUMER STAPLES INDEX
CONSUMER STAPLES SPDR AMEX  CMN            81369Y308        1695      52163 SH       DEFINED    1                 0     52163      0
CONSUMER STAPLES INDEX






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
CONTINENTAL RESOURCES       CMN            212015101         230       3448 SH       DEFINED    2                 0      3448      0
INC/OK COM STK USD0.01
CONTINENTAL RESOURCES       CMN            212015101          31        472 SH       DEFINED    1                 0       472      0
INC/OK COM STK USD0.01
CONVERGYS CORP COM NPV      CNV            212485AE6       17332  129533.46 SH       SOLE       1         129533.46         0      0
COORS(ADOLPH)CO COM         CNV            60871RAA8        6596   62222.84 SH       SOLE       1          62222.84         0      0
CLS'B'COM NON-V USD0.01
CORNING INC COM USD0.50     CMN            219350105        2461     189629 SH       DEFINED    2                 0    189629      0
CORNING INC COM USD0.50     CMN            219350105         114       8771 SH       DEFINED    2                 0      8771      0
CORNING INC COM USD0.50     CMN            219350105          42       3224 SH       DEFINED    1                 0      3224      0
COSTCO WHOLESALE CORP COM   CMN            22160K105         825       9901 SH       SOLE       2              9901         0      0
STK USD0.005
COVANTA HOLDING CORP COM    CMN            22282E102         249      18187 SH       SOLE       1             18187         0      0
STK USD0.10
CREDIT SUISSE GROUP         CMN            225401108         885      37700 SH       SOLE       2             37700         0      0
CHF0.04(REGD)
CROCS INC COM STK USD0.001  CMN            227046109         214      14517 SH       SOLE       2             14517         0      0
CSR PLC ORD GBP0.001        CMN            12640Y205         163      14296 SH       SOLE       2             14296         0      0
CSX CORP COM USD1           CMN            126408103         379      18005 SH       SOLE       2             18005         0      0
CTC MEDIA INC COM STK       CMN            12642X106        1580     180198 SH       SOLE       2            180198         0      0
USD0.01
CTRIP.COM INTL LTD ADS EA   CMN            22943F100         356      15230 SH       SOLE       2             15230         0      0
REP 0.5 ORD USD0.01
CUBIST PHARMACEUTICALS INC  CNV            229678AC1       20981   155996.1 SH       SOLE       1          155996.1         0      0
COM USD0.001
CUMMINS INC COM USD2.50     CMN            231021106         678       7701 SH       DEFINED    2                 0      7701      0
CUMMINS INC COM USD2.50     CMN            231021106          30        346 SH       DEFINED    1                 0       346      0
CURIS INC COM USD0.01       CMN            231269101         150      32100 SH       SOLE       2             32100         0      0
CVR ENERGY INC COM STK      CMN            12662P108         454      24260 SH       SOLE       2             24260         0      0
USD0.01
CVS CAREMARK CORP COM STK   CMN            126650100        8469     207664 SH       DEFINED    2                 0    207664      0
USD0.01
CVS CAREMARK CORP COM STK   CMN            126650100        1307      32057 SH       DEFINED    2                 0     32057      0
USD0.01
DANA HLDG CORP              CMN            235825205     247.714      20388 SH       SOLE       4             16015         0   4373
DANAHER CORP COM USD0.01    CMN            235851102          52       1114 SH       DEFINED    2                 0      1114      0
DANAHER CORP COM USD0.01    CMN            235851102         691      14693 SH       DEFINED    1                 0     14693      0
DANAHER CORP COM USD0.01    CNV            235851AF9         980    7178.68 SH       SOLE       1           7178.68         0      0
DARDEN RESTAURANTS INC COM  CMN            237194105         249       5465 SH       SOLE       2              5465         0      0
NPV
DATATEC SYS INC COM         CMN            238128102           0       1500 SH       SOLE       1              1500         0      0
DDR CORP COM NPV            CNV            251591AX1       14861  152035.47 SH       SOLE       1         152035.47         0      0
DECKERS OUTDOOR CORP COM    CMN            243537107         591       7815 SH       SOLE       2              7815         0      0
USD0.01
DELL INC COM USD0.01        CMN            24702R101        1003      68566 SH       SOLE       2             68566         0      0
DELPHI FINANCIAL GROUP INC  CMN            247131105         239       5400 SH       SOLE       2              5400         0      0
CLASS'A'COM USD0.01
DELTA AIR LINES INC COM     CMN            247361702         970     119892 SH       SOLE       2            119892         0      0
USD0.0001
DELTA PETROLEUM CP USD0.01  CMN            247907306           1      13100 SH       SOLE       2             13100         0      0
DENDREON CORP COM USD0.001  CMN            24823Q107         932     122665 SH       SOLE       2            122665         0      0
DEUTSCHE BANK AG NPV(REGD)  CMN            D18190898         967      25546 SH       SOLE       2             25546         0      0
DEVON ENERGY CORP COM       CMN            25179M103         735      11848 SH       SOLE       2             11848         0      0
USD0.10
DEX ONE CORP                CMN            25212W100    491.9642     296364 SH       SOLE       4            239939         0  55650
DIAMOND EQUITIES    INC COM CMN            252592100           0        240 SH       SOLE       1               240         0      0
DIAMOND FOODS INC COM       CMN            252603105        4418     136903 SH       SOLE       2            136903         0      0
USD0.001
DIAMOND OFFSHORE DRILLING   CMN            25271C102         194       3515 SH       DEFINED    2                 0      3515      0
INC COM USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
DIAMOND OFFSHORE DRILLING   CMN            25271C102          31        554 SH       DEFINED    1                 0       554      0
INC COM USD0.01
DIAMONDS TST SERIES I       CMN            78467X109         802       6581 SH       SOLE       2              6581         0      0
SER'1' UNITS OF BEN INT
NPV
DIANA SHIPPING INC COM STK  CMN            Y2066G104         157      21050 SH       SOLE       2             21050         0      0
USD0.01
DIGITAL GENERATION INC COM  CMN            25400B108         137      11500 SH       SOLE       2             11500         0      0
USD0.001
DIGITAL REALTY TRUST INC    CNV            25389JAC0         593    3627.29 SH       SOLE       1           3627.29         0      0
COM STK USD0.01
DIGITAL RIVER INC COM STK   CMN            25388B104         165      11000 SH       SOLE       2             11000         0      0
USD0.01
DIGITAL RIVER INC COM STK   CNV            25388BAC8        1232    14960.3 SH       SOLE       1           14960.3         0      0
USD0.01
DIREXION DAILY 10-YEAR      CMN            25459W557         251       9150 SH       SOLE       2              9150         0      0
TREASURY BEAR 3X 'Y TR
BEAR 3X'ETP NPV
DIREXION DAILY 30-YEAR      CMN            25459Y678         637       9377 SH       SOLE       2              9377         0      0
TREASURY BEAR 3X 'Y TR
BEAR 3X'ETP NPV
DIREXION DAILY GOLD MINERS  CMN            25459W250         247      12600 SH       SOLE       2             12600         0      0
BUL ETP NPV
DISCOVER FINANCIAL          CMN            254709108         141       5892 SH       DEFINED    2                 0      5892      0
SERVICES COM STK USD0.01
DISCOVER FINANCIAL          CMN            254709108         365      15218 SH       DEFINED    1                 0     15218      0
SERVICES COM STK USD0.01
DISCOVERY COMMUNICATIONS    CMN            25470F104         212       5182 SH       SOLE       2              5182         0      0
INC COM USD0.01 CL 'A'
DIVINE INC CL A NEW         CMN            255402406           0         12 SH       SOLE       1                12         0      0
DOLLAR THRIFTY AUTOMOTIVE   CMN            256743105         301       4290 SH       SOLE       2              4290         0      0
GROUP INC COM USD0.01
DOLLAR TREE INC COM USD0.01 CMN            256746108         636       7658 SH       SOLE       2              7658         0      0
DONLAR CORP NEW COM         CMN            257791103           0          2 SH       SOLE       1                 2         0      0
DOVER CORP COM USD1         CMN            260003108          36        628 SH       DEFINED    2                 0       628      0
DOVER CORP COM USD1         CMN            260003108         383       6595 SH       DEFINED    1                 0      6595      0
DOW CHEMICAL CO/THE COM     CMN            260543103        4203     146150 SH       DEFINED    2                 0    146150      0
USD2.50
DOW CHEMICAL CO/THE COM     CMN            260543103         886      30808 SH       DEFINED    2                 0     30808      0
USD2.50
DOW CHEMICAL CO/THE COM     CMN            260543103           1         30 SH       DEFINED    3                 0        30      0
USD2.50
DOW CHEMICAL CO/THE COM     CMN            260543103          23        800 SH       DEFINED    1                 0       800      0
USD2.50
DPL INC COM USD0.01         CMN            233293109           0       2321 SH       SOLE       2              2321         0      0
DR HORTON INC COM USD0.01   CMN            23331A109         234      18585 SH       SOLE       2             18585         0      0
DR PEPPER SNAPPLE GROUP     CMN            26138E109         226       5721 SH       SOLE       2              5721         0      0
INC USD0.01
DRKOOP COM INC COM          CMN            262098106           0        435 SH       SOLE       1               435         0      0
DRYSHIPS INC COM USD0.01    CMN            Y2109Q101         120      60140 SH       SOLE       2             60140         0      0
DU PONT EI DE NEMOURS & CO  CMN            263534109        1670      36477 SH       DEFINED    2                 0     36477      0
COM USD0.30
DU PONT EI DE NEMOURS & CO  CMN            263534109        1241      27106 SH       DEFINED    2                 0     27106      0
COM USD0.30
DUKE ENERGY CORP COM STK    CMN            26441C105          54       2443 SH       DEFINED    2                 0      2443      0
NPV
DUKE ENERGY CORP COM STK    CMN            26441C105         429      19489 SH       DEFINED    1                 0     19489      0
NPV
DYNAVAX TECHNOLOGIES CORP   CMN            268158102        2644     796500 SH       SOLE       2            796500         0      0
COM USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
E*TRADE FINANCIAL CORP      CMN            269246401         487      61164 SH       SOLE       2             61164         0      0
USD0.01
EASTMAN CHEMICAL CO COM     CMN            277432100         242       6198 SH       DEFINED    2                 0      6198      0
USD0.01
EASTMAN CHEMICAL CO COM     CMN            277432100         106       2714 SH       DEFINED    1                 0      2714      0
USD0.01
EASTMAN KODAK CO COM        CMN            277461109         321     493192 SH       SOLE       2            493192         0      0
USD2.50
EASTMAN KODAK CO COM        CNV            277461BJ7         715   26990.55 SH       DEFINED    2                 0  26990.55      0
USD2.50
EASTMAN KODAK CO COM        CNV            277461BJ7        4470  168690.95 SH       DEFINED    1                 0 168690.95      0
USD2.50
EATON CORP COM USD0.50      CMN            278058102         421       9680 SH       SOLE       2              9680         0      0
EBAY INC COM USD0.001       CMN            278642103         468      15422 SH       DEFINED    2                 0     15422      0
EBAY INC COM USD0.001       CMN            278642103         330      10885 SH       DEFINED    2                 0     10885      0
EBAY INC COM USD0.001       CMN            278642103         156       5131 SH       DEFINED    1                 0      5131      0
ECOLAB INC COM USD1         CMN            278865100         421       7286 SH       SOLE       2              7286         0      0
ECOPETROL SA NPV            CMN            279158109       34025     764260 SH       SOLE       2            764260         0      0
EDISON INTERNATIONAL COM    CMN            281020107         482      11647 SH       SOLE       2             11647         0      0
NPV
ELAN CORP PLC ORD EUR0.05   CMN            284131208        1683     122503 SH       SOLE       2            122503         0      0
ELDORADO GOLD CORP COM NPV  CMN            284902103        4317     314892 SH       SOLE       2            314892         0      0
ELECTRONIC ARTS INC COM     CMN            285512109         322      15616 SH       DEFINED    2                 0     15616      0
USD0.01
ELECTRONIC ARTS INC COM     CMN            285512109         343      16662 SH       DEFINED    1                 0     16662      0
USD0.01
ELECTRONIC SENSOR           CMN            285835104          78    7750000 SH       SOLE       1           7750000         0      0
TECHNOLOGY INC USD0.001
ELI LILLY & CO COM NPV      CMN            532457108         837      20147 SH       DEFINED    2                 0     20147      0
ELI LILLY & CO COM NPV      CMN            532457108          37        880 SH       DEFINED    1                 0       880      0
EMC CORP/MASSACHUSETTS COM  CMN            268648102         213       9901 SH       DEFINED    2                 0      9901      0
USD0.01
EMC CORP/MASSACHUSETTS COM  CMN            268648102         202       9367 SH       DEFINED    1                 0      9367      0
USD0.01
EMC CORP/MASSACHUSETTS COM  CNV            268648AM4        2860   19900.49 SH       SOLE       1          19900.49         0      0
USD0.01
EMERSON ELECTRIC CO COM     CMN            291011104         339       7280 SH       DEFINED    2                 0      7280      0
USD0.50
EMERSON ELECTRIC CO COM     CMN            291011104          43        932 SH       DEFINED    1                 0       932      0
USD0.50
EMPRESAS ICA SAB DE CV COM  CMN            292448206         191      40000 SH       SOLE       2             40000         0      0
NPV
ENDO PHARMACEUTICALS        CNV            29264FAB2        6483   49657.53 SH       SOLE       1          49657.53         0      0
HOLDINGS INC COM USD0.01
ENERGY BEAR 3X SHARES       CMN            25459W342         120      10590 SH       SOLE       2             10590         0      0
ENERGY BEAR 3X SHARES
ENERGY CONVERSION DEVICES   CMN            292659109           6      28755 SH       SOLE       2             28755         0      0
INC COM USD0.01
ENRON CORP COM              CMN            293561106           0       1300 SH       SOLE       1              1300         0      0
ENTERGY CORP COM USD0.01    CMN            29364G103         253       3459 SH       SOLE       2              3459         0      0
ENTRADA NETWORKS    INC COM CMN            29382Y102           0          1 SH       SOLE       1                 1         0      0
ENVIRO ENERGY CORP          CMN            29403E101           0         43 SH       SOLE       1                43         0      0
ENVIRONMENTAL SOLUTIONS     CMN            29408K102           1      15000 SH       SOLE       2             15000         0      0
WORLDWIDE INC COM USD0.001
EQT CORPORATION COM NPV     CMN            26884L109         226       4118 SH       SOLE       2              4118         0      0
EQUINIX INC COM NPV         CMN            29444U502       13744     135539 SH       DEFINED    2                 0    135539      0
EQUINIX INC COM NPV         CMN            29444U502          73        717 SH       DEFINED    2                 0       717      0
EQUINIX INC COM NPV         CNV            29444UAF3         749    7256.75 SH       SOLE       1           7256.75         0      0
EQUINIX INC COM NPV         CNV            29444UAH9        4502   31986.16 SH       SOLE       1          31986.16         0      0
ESTEE LAUDER COS INC/THE    CMN            518439104         274       2438 SH       DEFINED    2                 0      2438      0
CLASS'A'COM USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
ESTEE LAUDER COS INC/THE    CMN            518439104          32        282 SH       DEFINED    1                 0       282      0
CLASS'A'COM USD0.01
E-SYNC NETWORKS INC COM     CMN            269156105           0        450 SH       SOLE       1               450         0      0
ETFS SILVER TRUST ETP NPV   CMN            26922X107         407      14800 SH       SOLE       2             14800         0      0
EXCEL MARITIME CARRIERS     CMN            V3267N107          32      22300 SH       SOLE       2             22300         0      0
LTD COM USD0.01
EXCELSIOR HENDERSON         CMN            300906104           0        250 SH       SOLE       1               250         0      0
MOTORCYCLE COM
EXCO RESOURCES INC COM STK  CMN            269279402         299      28605 SH       SOLE       2             28605         0      0
USD0.001
EXELIS INC COM NPV          CMN            30162A108         166      18300 SH       SOLE       1             18300         0      0
EXELIXIS INC COM USD0.001   CMN            30161Q104          53      11197 SH       SOLE       2             11197         0      0
EXELON CORP COM NPV         CMN            30161N101         867      19999 SH       DEFINED    2                 0     19999      0
EXELON CORP COM NPV         CMN            30161N101         254       5859 SH       DEFINED    1                 0      5859      0
EXPEDIA INC COM STK         CMN            30212P303          71       2445 SH       DEFINED    2                 0      2445      0
USD0.001
EXPEDIA INC COM STK         CMN            30212P303        1210      41708 SH       DEFINED    1                 0     41708      0
USD0.001
EXPRESS SCRIPTS INC COM     CMN            302182100          81       1809 SH       DEFINED    2                 0      1809      0
USD0.01
EXPRESS SCRIPTS INC COM     CMN            302182100         192       4294 SH       DEFINED    1                 0      4294      0
USD0.01
EXTERRAN COM STK USD0.01    CMN            30225X103         182      20000 SH       SOLE       2             20000         0      0
EXTERRAN COM STK USD0.01    CNV            30225XAA1       21230  241252.69 SH       SOLE       1         241252.69         0      0
EXTINCT AMARIN CORP PLC     CMN            023111206          79      10500 SH       SOLE       2             10500         0      0
ORD GBP0.50#DISABLED#
EXTINCT BEARINGPOINT INC    CNV            074002AA4           0   15238.09 SH       SOLE       1          15238.09         0      0
USD0.01
EXTINCT CHINA SUNERGY CO    CMN            16942X302          48      43008 SH       SOLE       2             43008         0      0
LTD COM NPV
EXTINCT KU6 MEDIA CO LTD    CMN            48274B103          42      35400 SH       SOLE       2             35400         0      0
COM NPV
EXTINCT TERNIUM SA COM NPV  CMN            880890108         419      22770 SH       SOLE       2             22770         0      0
EXXON MOBIL CORP COM NPV    CMN            30231G102        4659      54964 SH       DEFINED    2                 0     54964      0
EXXON MOBIL CORP COM NPV    CMN            30231G102        6636      78292 SH       DEFINED    2                 0     78292      0
EXXON MOBIL CORP COM NPV    CMN            30231G102          35        414 SH       DEFINED    1                 0       414      0
F5 NETWORKS INC COM STK NPV CMN            315616102         269       2532 SH       DEFINED    2                 0      2532      0
F5 NETWORKS INC COM STK NPV CMN            315616102          31        294 SH       DEFINED    1                 0       294      0
FAIRPOINT COMMUNICATIONS    CMN            305560302    140.1015      32356 SH       SOLE       4             32356         0      0
INC
FAIRPOINT COMMUNICATIONS    CMN            305560104           0         17 SH       SOLE       2                17         0      0
INC COM STK USD0.01
FANNIE MAE COM NPV          CMN            313586109          53     266050 SH       SOLE       2            266050         0      0
FEDERAL MOGUL CORP          CMN            313549404    908.6356      61602 SH       SOLE       4             61602         0      0
FEDEX CORP COM USD0.10      CMN            31428X106         250       2998 SH       SOLE       2              2998         0      0
FERRO CORP COM USD1         CMN            315405100         249      51000 SH       SOLE       2             51000         0      0
FIDELITY NTL FIN INC CLASS  CNV            31620RAD7        4457   46382.18 SH       SOLE       1          46382.18         0      0
'A' COM STK USD0.0001
FIFTH THIRD BANCORP COM NPV CMN            316773100         411      32334 SH       DEFINED    2                 0     32334      0
FIFTH THIRD BANCORP COM NPV CMN            316773100        1590     124983 SH       DEFINED    1                 0    124983      0
FIN SELECT SECTOR SPDR      CMN            81369Y605         317      24381 SH       DEFINED    2                 0     24381      0
AMEX FINANCIAL SELECT
INDEX
FIN SELECT SECTOR SPDR      CMN            81369Y605       32511    2500825 SH       DEFINED    1                 0   2500825      0
AMEX FINANCIAL SELECT
INDEX
FINANCIAL BEAR 3X SHARES    CMN            25459W144        1814      48584 SH       SOLE       2             48584         0      0
FINANCIAL BEAR 3X SHARES
FINET.COM INC COM USD0.01   CMN            317922409           0         41 SH       SOLE       1                41         0      0
FIRST CAPITAL HOLDINGS      CMN            319417101           0        350 SH       SOLE       1               350         0      0
CORP. SYM FCHC






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
FIRST FITNESS INC   COM NEW CMN            320259203           0          2 SH       SOLE       1                 2         0      0
FIRST HORIZON NATIONAL      CMN            320517105        1223     152900 SH       SOLE       2            152900         0      0
CORP COM USD0.625
FIRST SOLAR INC COM STK     CMN            336433107         605      17933 SH       SOLE       2             17933         0      0
USD0.001
FIRSTENERGY CORP COM        CMN            337932107         549      12398 SH       DEFINED    2                 0     12398      0
USD0.10
FIRSTENERGY CORP COM        CMN            337932107         400       9036 SH       DEFINED    1                 0      9036      0
USD0.10
FLUOR CORP COM USD0.01      CMN            343412102        1206      23998 SH       SOLE       2             23998         0      0
FMC TECHNOLOGIES INC COM    CMN            30249U101         547      10465 SH       SOLE       2             10465         0      0
STK USD0.01
FOCUS MEDIA HOLDING LTD SP  CMN            34415V109        4129     211850 SH       DEFINED    2                 0    211850      0
ADR RP 5 ORD USD0.00005
FOCUS MEDIA HOLDING LTD SP  CMN            34415V109          86       4395 SH       DEFINED    2                 0      4395      0
ADR RP 5 ORD USD0.00005
FORD MOTOR CO COM STK       CMN            345370134        2348  978260.86 SH       DEFINED    2                 0 978260.86      0
USD0.01
FORD MOTOR CO COM STK       CMN            345370134          76   31623.26 SH       DEFINED    1                 0  31623.26      0
USD0.01
FORD MOTOR CO COM STK       CMN            345370860        1324     123005 SH       DEFINED    2                 0    123005      0
USD0.01
FORD MOTOR CO COM STK       CMN            345370860        1912     177656 SH       DEFINED    2                 0    177656      0
USD0.01
FORD MOTOR CO COM STK       CMN            345370860        1040      96655 SH       DEFINED    1                 0     96655      0
USD0.01
FORD MOTOR CO COM STK       CNV            345370CN8       47653   334408.6 SH       SOLE       1          334408.6         0      0
USD0.01
FOREST CITY ENTS            CMN            345550107        1847     156270 SH       SOLE       2            156270         0      0
CLASS'A'COM USD0.33 1/3
FOREST CITY ENTS            CNV            345550AM9        7976   71889.17 SH       SOLE       1          71889.17         0      0
CLASS'A'COM USD0.33 1/3
Fortress Investment Group   CMN            34958B106 344779.6962   60487666 SH       SOLE       1          60487666         0      0
FOSSIL INC COM USD0.01      CMN            349882100         255       3214 SH       DEFINED    2                 0      3214      0
FOSSIL INC COM USD0.01      CMN            349882100          30        372 SH       DEFINED    1                 0       372      0
FOSTER WHEELER AG CHF3      CMN            H27178104         395      20616 SH       SOLE       2             20616         0      0
FRANCE TELECOM SA EUR4      CMN            35177Q105         483      30825 SH       SOLE       2             30825         0      0
FREDDIE MAC COM USD0.21     CMN            313400301          18      85693 SH       SOLE       2             85693         0      0
FREEPORT-MCMORAN COPPER &   CMN            35671D857        1452      39476 SH       DEFINED    2                 0     39476      0
GOLD INC COM STK USD0.10
FREEPORT-MCMORAN COPPER &   CMN            35671D857          31        841 SH       DEFINED    1                 0       841      0
GOLD INC COM STK USD0.10
FRONTIER COMMUNICATIONS     CMN            35906A108           1        226 SH       DEFINED    2                 0       226      0
CORP CL B COM USD0.25
FRONTIER COMMUNICATIONS     CMN            35906A108         147      28628 SH       DEFINED    2                 0     28628      0
CORP CL B COM USD0.25
FRONTLINE CAP GROUP COM     CMN            35921N101           0         14 SH       SOLE       1                14         0      0
FRONTLINE LTD COM USD2.50   CMN            G3682E127          85      19701 SH       SOLE       2             19701         0      0
FUSHI COPPERWELD INC COM    CMN            36113E107         357      47500 SH       SOLE       2             47500         0      0
STK USD0.006
GAFISA SA COM NPV           CMN            362607301         593     128944 SH       SOLE       2            128944         0      0
GANNETT CO INC COM USD1     CMN            364730101         145      10876 SH       SOLE       2             10876         0      0
GAYLORD ENTERTAINMENT CO    CMN            367905106        2028      84009 SH       DEFINED    2                 0     84009      0
COM USD0.01
GAYLORD ENTERTAINMENT CO    CMN            367905106        7242     300000 SH       DEFINED    2                 0    300000      0
COM USD0.01
GAYLORD ENTERTAINMENT CO    CNV            367905AE6        8112   72587.15 SH       SOLE       1          72587.15         0      0
COM USD0.01
GENCORP INC COM USD0.10     CNV            368682AN0       25242  280619.89 SH       SOLE       1         280619.89         0      0
GENERAL CABLE CORP COM      CNV            369300AD0         914       9928 SH       SOLE       1              9928         0      0
USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
GENERAL DYNAMICS CORP COM   CMN            369550108         389       5858 SH       SOLE       2              5858         0      0
USD1
GENERAL ELECTRIC CO COM     CMN            369604103         637      35576 SH       DEFINED    2                 0     35576      0
USD0.06
GENERAL ELECTRIC CO COM     CMN            369604103        7200     402008 SH       DEFINED    2                 0    402008      0
USD0.06
GENERAL ELECTRIC CO COM     CMN            369604103         497      27764 SH       DEFINED    1                 0     27764      0
USD0.06
GENERAL MARITIME CORP NEW   CMN            Y2693R101      1.8125     125000 SH       SOLE       4            125000         0      0
GENERAL MILLS INC COM STK   CMN            370334104         548      13549 SH       DEFINED    2                 0     13549      0
USD0.10
GENERAL MILLS INC COM STK   CMN            370334104          46       1141 SH       DEFINED    1                 0      1141      0
USD0.10
GENERAL MOLY INC COM STK    CMN            370373102          40      13000 SH       SOLE       2             13000         0      0
USD0.001
GENERAL MOTORS CO 0.01      CMN            37045V100         142       7021 SH       DEFINED    2                 0      7021      0
GENERAL MOTORS CO 0.01      CMN            37045V100        2717     134038 SH       DEFINED    2                 0    134038      0
GENERAL MOTORS CO 0.01      CMN            37045V100        2659     131199 SH       DEFINED    1                 0    131199      0
GENERAL MTRS CO             CMN            37045V100    121.3565       5987 SH       SOLE       4              1825         0   4162
GENERAL MTRS CO             CNV            37045V118    63.52752       5439 SH       SOLE       4              1656         0   3783
GENERAL MTRS CO             CNV            37045V126    42.63393       5438 SH       SOLE       4              1656         0   3782
GENESIS SOLAR CORP COM NPV  CMN            37186R108           0         51 SH       SOLE       1                51         0      0
GENETIC TECHNOLOGIES LTD    CMN            37185R109         700     231000 SH       SOLE       2            231000         0      0
NPV
GENIE ENERGY LTD 'B'NPV     CMN            372284208         103      13015 SH       SOLE       1             13015         0      0
GENON ENERGY INC COM        CMN            37244E107          65      24986 SH       DEFINED    2                 0     24986      0
USD0.001
GENON ENERGY INC COM        CMN            37244E107           0         14 SH       DEFINED    1                 0        14      0
USD0.001
GENTIVA HEALTH SERVICES     CMN            37247A102           9       1300 SH       DEFINED    2                 0      1300      0
INC COM USD0.10
GENTIVA HEALTH SERVICES     CMN            37247A102        1856     275000 SH       DEFINED    1                 0    275000      0
INC COM USD0.10
GENUINE PARTS CO COM STK    CMN            372460105         281       4590 SH       SOLE       2              4590         0      0
USD1
GENWORTH FINANCIAL INC COM  CMN            37247D106          77      11828 SH       SOLE       2             11828         0      0
CL'A'USD0.001
GERDAU SA PRF NPV           CMN            373737105        3542     453583 SH       DEFINED    2                 0    453583      0
GERDAU SA PRF NPV           CMN            373737105         714      91393 SH       DEFINED    2                 0     91393      0
GERON CORP COM USD0.001     CMN            374163103         222     150001 SH       SOLE       2            150001         0      0
GFI GROUP INC COM USD0.01   CMN            361652209          47      11301 SH       SOLE       2             11301         0      0
GIANT INTERACTIVE           CMN            374511103         169      41300 SH       SOLE       2             41300         0      0
GROUP-ADR ADR EACH REPR 1
ORD SH
GILEAD SCIENCES INC COM     CMN            375558103       22325     545445 SH       DEFINED    2                 0    545445      0
USD0.001
GILEAD SCIENCES INC COM     CMN            375558103        1522      37189 SH       DEFINED    2                 0     37189      0
USD0.001
GILEAD SCIENCES INC COM     CNV            375558AN3        7440    68034.6 SH       SOLE       1           68034.6         0      0
USD0.001
GLAXOSMITHKLINE PLC ORD     CMN            37733W105         237       5200 SH       SOLE       2              5200         0      0
GBP0.25
GLOBAL EAGLE ACQUISITION    CMN            37951D110           0   26086.95 SH       SOLE       6          26086.95         0      0
CORP COM NPV
GLOBAL TELESYSTEMS  INC COM CMN            37936U104           0       1039 SH       SOLE       1              1039         0      0
GLOBAL X URANIUM ETF ETP    CMN            37950E754         132      16145 SH       SOLE       2             16145         0      0
NPV
GLOBUS MARITIME LTD         CMN            Y27265209           0      10200 SH       SOLE       2             10200         0      0
USD0.00004
GMX RESOURCES INC COM       CMN            38011M108          21      17150 SH       SOLE       2             17150         0      0
USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
GO ONLINE NETWORKS CORP     CMN            380185108           0        400 SH       SOLE       1               400         0      0
COM
GOLDCORP INC COM NPV        CMN            380956409         456      10296 SH       SOLE       2             10296         0      0
GOODRICH CORP COM USD5      CMN            382388106       15343     124037 SH       DEFINED    2                 0    124037      0
GOODRICH CORP COM USD5      CMN            382388106        6049      48900 SH       DEFINED    1                 0     48900      0
GOODRICH PETROLEUM CORP     CNV            382410AC2        4882   53003.63 SH       SOLE       1          53003.63         0      0
COM USD0.20
GOODRICH PETROLEUM CORP     CNV            382410603         304      10000 SH       SOLE       1             10000         0      0
PERP PFD CONV SER B
GOODYEAR TIRE & RUBBER      CMN            382550101         236      16621 SH       SOLE       2             16621         0      0
CO/THE COM NPV
GOOGLE INC COM USD0.001     CMN            38259P508        1602       2480 SH       DEFINED    2                 0      2480      0
CL'A'
GOOGLE INC COM USD0.001     CMN            38259P508        1489       2305 SH       DEFINED    2                 0      2305      0
CL'A'
GOOGLE INC COM USD0.001     CMN            38259P508          74        115 SH       DEFINED    3                 0       115      0
CL'A'
GOOGLE INC COM USD0.001     CMN            38259P508         474        734 SH       DEFINED    1                 0       734      0
CL'A'
GREAT PLAINS ENERGY INC     CNV            391164803        1651      25000 SH       SOLE       1             25000         0      0
PRF50
GREAT WESTN LD & REC INC    CMN            39142A104           0         93 SH       SOLE       1                93         0      0
COM
GREEN MOUNTAIN COFFEE       CMN            393122106        1149      25614 SH       SOLE       2             25614         0      0
ROASTERS INC COM USD0.10
GREENLAND CORP COM PAR      CMN            39530P309           0         19 SH       SOLE       1                19         0      0
$0.001
GREENLIGHT COMMUNICATIONS   CMN            39536R200           0        400 SH       SOLE       1               400         0      0
INC COM NEW
GROUP 1 AUTOMOTIVE INC COM  CNV            398905AF6        1271    8510.28 SH       SOLE       1           8510.28         0      0
USD0.01
GROUP LONG DISTANCE INC COM CMN            398901108           0        400 SH       SOLE       1               400         0      0
GRUBB & ELLIS CO COM STK    CMN            400095204           4      30303 SH       SOLE       1             30303         0      0
USD0.01
GULF RESOURCES INC USD0.001 CMN            40251W309          19      10400 SH       SOLE       2             10400         0      0
H QUOTIENT INC COM          CMN            40426E101           0        209 SH       SOLE       1               209         0      0
H&R BLOCK INC COM NPV       CMN            093671105         185      11299 SH       SOLE       2             11299         0      0
HALLIBURTON CO COM USD2.50  CMN            406216101          46       1341 SH       DEFINED    2                 0      1341      0
HALLIBURTON CO COM USD2.50  CMN            406216101        4116     119258 SH       DEFINED    2                 0    119258      0
HALLIBURTON CO COM USD2.50  CMN            406216101          31        905 SH       DEFINED    1                 0       905      0
HANSEN MEDICAL INC COM STK  CMN            411307101         166      64440 SH       SOLE       2             64440         0      0
USD0.0001
HANSEN NATURAL CORP COM     CMN            411310105         195       2119 SH       DEFINED    2                 0      2119      0
USD0.005
HANSEN NATURAL CORP COM     CMN            411310105          33        361 SH       DEFINED    1                 0       361      0
USD0.005
HANWHA SOLARONE CO LTD ADR  CMN            41135V103          14      14546 SH       SOLE       2             14546         0      0
EACH REPR 5 ORD SHS
HARLEYSVILLE GROUP INC COM  CMN            412824104         243       4304 SH       SOLE       2              4304         0      0
USD1
HARMONY GOLD MINING CO LTD  CMN            413216300         230      19743 SH       SOLE       2             19743         0      0
ZAR0.50
HARTFORD FINANCIAL          CMN            416515104         167      10283 SH       SOLE       2             10283         0      0
SERVICES GROUP INC COM
USD0.01
HASBRO INC COM USD0.50      CMN            418056107         363      11380 SH       SOLE       2             11380         0      0
HDFC BANK LTD INR2          CMN            40415F101         825      31389 SH       SOLE       2             31389         0      0
HEALTH CARE REIT INC 6.5%   CNV            42217K601        2045      40000 SH       SOLE       1             40000         0      0
CNV PREF 31/12/2049
HEALTH CARE REIT INC USD1   CNV            42217KAP1        3820   32971.93 SH       SOLE       1          32971.93         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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
HEALTH CARE REIT INC USD1   CNV            42217KAQ9       12495  109511.89 SH       SOLE       1         109511.89         0      0
HEALTH CARE REIT INC USD1   CNV            42217KAR7         696    6082.53 SH       SOLE       1           6082.53         0      0
HEALTHSPRING INC USD0.01    CMN            42224N101        8971     164486 SH       SOLE       2            164486         0      0
HECLA MINING CO COM USD0.25 CMN            422704106         311      59500 SH       SOLE       2             59500         0      0
HEINZ (HJ) COM USD0.25      CMN            423074103         690      12767 SH       SOLE       2             12767         0      0
HELIX ENERGY SOLUTIONS      CNV            127914AB5         274    2738.55 SH       SOLE       1           2738.55         0      0
GROUP INC COM NPV
HELM CAP GROUP INC  COM     CMN            423418102           0       2091 SH       SOLE       1              2091         0      0
HERBALIFE LTD COM USD0.002  CMN            G4412G101        4630      89613 SH       SOLE       2             89613         0      0
HERCULES TECHNOLOGY GROWTH  CNV            427096AA0       14357  168208.57 SH       SOLE       1         168208.57         0      0
CAP INC COM USD0.001
HERSHEY CO/THE COM USD1     CMN            427866108         187       3029 SH       DEFINED    2                 0      3029      0
HERSHEY CO/THE COM USD1     CMN            427866108         545       8825 SH       DEFINED    1                 0      8825      0
HERTZ GLOBAL HOLDINGS INC   CMN            42805T105         120      10280 SH       SOLE       2             10280         0      0
COM STK USD0.01
HERTZ GLOBAL HOLDINGS INC   CNV            42805TAA3       77152  494720.96 SH       SOLE       1         494720.96         0      0
COM STK USD0.01
HESS CORP COM USD1          CMN            42809H107        1844      32460 SH       DEFINED    2                 0     32460      0
HESS CORP COM USD1          CMN            42809H107         196       3453 SH       DEFINED    2                 0      3453      0
HEWLETT-PACKARD CO COM      CMN            428236103       12709     493345 SH       DEFINED    2                 0    493345      0
USD0.01
HEWLETT-PACKARD CO COM      CMN            428236103        2031      78824 SH       DEFINED    2                 0     78824      0
USD0.01
HEXCEL CORP COM USD0.01     CMN            428291108         202       8345 SH       SOLE       2              8345         0      0
HICKS ACQUISITION CO II     CMN            429090103           0     400000 SH       SOLE       6            400000         0      0
INC COM NPV
HOLIDAY RV SUPERSTORES INC  CMN            434902201           0     200000 SH       SOLE       1            200000         0      0
USD0.01
HOLOGIC INC COM USD0.01     CNV            436440AB7         308     2822.4 SH       SOLE       1            2822.4         0      0
HOME DEPOT INC COM USD0.05  CMN            437076102        1346      32012 SH       SOLE       2             32012         0      0
HOME SOLUTIONS AMER INC COM CMN            437355100           0        300 SH       SOLE       1               300         0      0
HONEYWELL INTERNATIONAL     CMN            438516106        1376      25316 SH       SOLE       2             25316         0      0
INC COM USD1
HORNBECK OFFSHORE SERVICES  CMN            440543106         212       6837 SH       DEFINED    2                 0      6837      0
INC COM USD0.01
HORNBECK OFFSHORE SERVICES  CMN            440543106         344      11090 SH       DEFINED    1                 0     11090      0
INC COM USD0.01
HOSPIRA INC COM USD0.01     CMN            441060100         209       6894 SH       SOLE       2              6894         0      0
HOST HOTELS & RESORTS INC   CNV            44107TAG1        4535   36428.19 SH       SOLE       1          36428.19         0      0
COM STK USD0.01
HUGHES ELECTRONICS          CMN            25490A101         532      12449 SH       DEFINED    2                 0     12449      0
CORP/OLD COM USD0.01
HUGHES ELECTRONICS          CMN            25490A101          30        705 SH       DEFINED    1                 0       705      0
CORP/OLD COM USD0.01
HUMAN GENOME SCIENCES INC   CMN            444903108         112      15223 SH       SOLE       2             15223         0      0
COM USD0.01
HUNTINGTON BANCSHARES       CMN            446150104          86      15588 SH       SOLE       2             15588         0      0
INC/OH COM STK NPV
HYPERDYNAMICS CORP COM      CMN            448954107         123      50100 SH       SOLE       2             50100         0      0
USD0.001
HYUNDAI MOTOR CO KRW5000    CMN            449187509           0        0.5 SH       SOLE       2               0.5         0      0
IAMGOLD CORP COM NPV        CMN            450913108        1984     125202 SH       SOLE       2            125202         0      0
IBIZ TECHNOLOGY CORP COM    CMN            45103B205           0         25 SH       SOLE       1                25         0      0
NEW
ICICI BANK LTD INR10        CMN            45104G104        1057      40000 SH       DEFINED    2                 0     40000      0
ICICI BANK LTD INR10        CMN            45104G104        1271      48086 SH       DEFINED    2                 0     48086      0
IDEARC INC COM              CMN            451663108           0        820 SH       SOLE       1               820         0      0
IEMI USD0.001               CMN            44950Q100           0      17500 SH       SOLE       1             17500         0      0
IEXALT INC USD0.001         CMN            451691208           0          3 SH       SOLE       1                 3         0      0
ILLINOIS TOOL WORKS INC     CMN            452308109         665      14242 SH       DEFINED    2                 0     14242      0
COM NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
ILLINOIS TOOL WORKS INC     CMN            452308109         122       2610 SH       DEFINED    2                 0      2610      0
COM NPV
ILLUMINA INC COM USD0.01    CMN            452327109        1862      61080 SH       SOLE       2             61080         0      0
INCYTE CORP COM USD0.001    CMN            45337C102         255      17001 SH       DEFINED    2                 0     17001      0
INCYTE CORP COM USD0.001    CMN            45337C102        4647     309567 SH       DEFINED    1                 0    309567      0
INCYTE CORP COM USD0.001    CNV            45337CAJ1      103830  553758.54 SH       SOLE       1         553758.54         0      0
INDEXIQ ETF TR US RL EST    CMN            45409B628        4405     250000 SH       SOLE       1            250000         0      0
SMCP
INDUSTRIAL SELECT SECT      CMN            81369Y704         864      25600 SH       DEFINED    2                 0     25600      0
SPDR AMEX INDUSTRIAL
SELECT
INDUSTRIAL SELECT SECT      CMN            81369Y704          34       1000 SH       DEFINED    2                 0      1000      0
SPDR AMEX INDUSTRIAL
SELECT
INDUSTRIAL SELECT SECT      CMN            81369Y704           7        200 SH       DEFINED    1                 0       200      0
SPDR AMEX INDUSTRIAL
SELECT
INFORMATION HWY COM INC COM CMN            456723105           0        200 SH       SOLE       1               200         0      0
INFORMATION SYSTEMS         CMN            45676R108           2      30000 SH       SOLE       2             30000         0      0
ASSOCIATES INC COM NPV
INFOSYS LTD INR5            CMN            456788108        2351      45764 SH       SOLE       2             45764         0      0
INNOVACOM INC COM NPV       CMN            45765K105           0       5000 SH       SOLE       1              5000         0      0
INTEGRA LIFESCI HL COM STK  CNV            457985AJ8         705     8356.4 SH       SOLE       1            8356.4         0      0
USD0.01
INTEGRATED HEALTH SVCS INC  CMN            45812C106           0         19 SH       SOLE       1                19         0      0
COM
INTEL CORP COM USD0.001     CMN            458140100         487      20087 SH       DEFINED    2                 0     20087      0
INTEL CORP COM USD0.001     CMN            458140100        3047     125651 SH       DEFINED    2                 0    125651      0
INTEL CORP COM USD0.001     CNV            458140AF7       13668  109042.31 SH       SOLE       1         109042.31         0      0
INTERDIGITAL INC COM STK    CNV            458660AA5        1001    9505.63 SH       SOLE       1           9505.63         0      0
USD0.01
INTERDIGITAL INC COM STK    CMN            45867G101         329       7555 SH       SOLE       2              7555         0      0
USD0.01
INTERGRATED COMM NETWORKS   CMN            458111101           0          8 SH       SOLE       1                 8         0      0
INC COM
INTERIORS INC CL A          CMN            458688108           0        600 SH       SOLE       1               600         0      0
INTERNATIONAL BUSINESS      CMN            459200101         426       2315 SH       SOLE       2              2315         0      0
MACHINES CORP COM USD0.20
INTERNATIONAL GAME          CMN            459902102        8769     509814 SH       DEFINED    2                 0    509814      0
TECHNOLOGY USD0.00062
INTERNATIONAL GAME          CMN            459902102         236      13721 SH       DEFINED    2                 0     13721      0
TECHNOLOGY USD0.00062
INTEROIL CORP COM NPV       CMN            460951106         764      14950 SH       SOLE       2             14950         0      0
INTERPUBLIC GROUP OF COS    CNV            460690803        1896       2121 SH       SOLE       1              2121         0      0
CNV 5.25% CNV PRF SER 'B'
INTERPUBLIC GROUP OF COS    CNV            460690BA7       37454  373797.09 SH       SOLE       1         373797.09         0      0
INC COM USD0.10
INTL FLAVORS & FRAGRANCES   CMN            459506101         234       4471 SH       SOLE       2              4471         0      0
INC COM USD0.125
INTUITIVE SURGICAL INC COM  CMN            46120E602         408        881 SH       DEFINED    2                 0       881      0
USD0.001
INTUITIVE SURGICAL INC COM  CMN            46120E602         714       1543 SH       DEFINED    1                 0      1543      0
USD0.001
INVESCO MORTGAGE CAPITAL    CMN            46131B100         492      35000 SH       SOLE       2             35000         0      0
INC USD0.01
IPATH INVERSE S&P 500 VIX   CMN            06740L592         660      20000 SH       SOLE       2             20000         0      0
SHOR ETP NPV
IPATH S&P 500 VIX MID-TERM  CMN            06740C519         723      11916 SH       SOLE       1             11916         0      0
FUTURES ETN IPATH S&P 500
VIX M/T FU ETN






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
IPATH S&P 500 VIX           CMN            06740C261        6218     175000 SH       DEFINED    1                 0    175000      0
SHORT-TERM FUTURES ETN ETP
NPV
IPATH S&P 500 VIX           CMN            06740C261       17768     500095 SH       DEFINED    2                 0    500095      0
SHORT-TERM FUTURES ETN
IPATH S&P 500 VIX S/T FU
ETN
IPATH S&P 500 VIX           CMN            06740C261          55       1558 SH       DEFINED    2                 0      1558      0
SHORT-TERM FUTURES ETN
IPATH S&P 500 VIX S/T FU
ETN
IPG PHOTONICS CORP COM      CMN            44980X109         177       5219 SH       DEFINED    2                 0      5219      0
USD0.0001
IPG PHOTONICS CORP COM      CMN            44980X109          29        869 SH       DEFINED    1                 0       869      0
USD0.0001
ISHARES DJ SELECT DIVIDEND  CMN            464287168         213       3970 SH       SOLE       2              3970         0      0
ISHARES GOLD TRUST COMEX    CMN            464285105          79       5200 SH       DEFINED    2                 0      5200      0
GOLD ETF USD
ISHARES GOLD TRUST COMEX    CMN            464285105          92       6017 SH       DEFINED    3                 0      6017      0
GOLD ETF USD
ISHARES INC - MSCI MEXICO   CMN            464286822         208       3860 SH       SOLE       2              3860         0      0
FREE INDX FUND
ISHARES INC - MSCI TAIWAN   CMN            464286731         577      49260 SH       SOLE       2             49260         0      0
INDX FUND
ISHARES INC MSCI JAPAN      CMN            464286848         177      19391 SH       DEFINED    2                 0     19391      0
MSCI JAPAN INDEX FUND
ISHARES INC MSCI JAPAN      CMN            464286848         476      52245 SH       DEFINED    1                 0     52245      0
MSCI JAPAN INDEX FUND
ISHARES INC MSCI SOUTH      CMN            464286772        7008     134108 SH       SOLE       1            134108         0      0
KOREA INDEX FUND
ISHARES MSCI BRAZIL MSCI    CMN            464286400           9        150 SH       DEFINED    2                 0       150      0
BRAZIL INDEX FUND
ISHARES MSCI BRAZIL MSCI    CMN            464286400        1945      33895 SH       DEFINED    2                 0     33895      0
BRAZIL INDEX FUND
ISHARES MSCI BRAZIL MSCI    CMN            464286400       13450     234367 SH       DEFINED    1                 0    234367      0
BRAZIL INDEX FUND
ISHARES MSCI EAFE INDEX     CMN            464287465        1281      25867 SH       DEFINED    2                 0     25867      0
FUND MSCI EAFE INDEX FUND
ISHARES MSCI EAFE INDEX     CMN            464287465          30        600 SH       DEFINED    2                 0       600      0
FUND MSCI EAFE INDEX FUND
ISHARES MSCI EAFE INDEX     CMN            464287465         565      11400 SH       DEFINED    1                 0     11400      0
FUND MSCI EAFE INDEX FUND
ISHARES MSCI EMERGING       CMN            464286566         513      21800 SH       SOLE       2             21800         0      0
MARKETS EASTERN EUROPE
INDEX FUND ETP NPV
ISHARES MSCI GERMANY INDEX  CMN            464286806         230      11951 SH       SOLE       2             11951         0      0
MSCI GERMANY INDEX FUND
ISHARES MSCI SINGAPORE      CMN            464286673         458      42315 SH       SOLE       2             42315         0      0
MSCI SINGAPORE FREE INDEX
F
ISHARES MSCI TURKEY INDEX   CMN            464286715         638      15506 SH       SOLE       2             15506         0      0
FD ISHARES MSCI TURKEY
INDEX FD
ISHARES RUSSELL 2000        CMN            464287655        1327      17990 SH       DEFINED    2                 0     17990      0
RUSSELL 2000 INDEX FUND
ISHARES RUSSELL 2000        CMN            464287655         189       2565 SH       DEFINED    2                 0      2565      0
RUSSELL 2000 INDEX FUND
ISHARES RUSSELL 2000        CMN            464287655       76768    1040921 SH       DEFINED    1                 0   1040921      0
RUSSELL 2000 INDEX FUND
ISHARES SILVER TST ISHARES  CMN            46428Q109        1228      45601 SH       DEFINED    2                 0     45601      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 SILVER TST ISHARES  CMN            46428Q109         108       4000 SH       DEFINED    1                 0      4000      0
ISHARES TRUST 1-3 YRS       CMN            464287457         212       2504 SH       SOLE       2              2504         0      0
TREASURY INDEX FUND
ISHARES TRUST DOW JONES US  CMN            464287739         284       5000 SH       SOLE       1              5000         0      0
REAL EST IDX F
ISHARES TRUST FUNDS HYG     CMN            464288513        6278      70197 SH       SOLE       2             70197         0      0
FUNDS HYG
ISHARES TRUST GOLDMAN       CMN            464287242        1923      16907 SH       SOLE       2             16907         0      0
SACHS CRP BD FD
ISHARES TRUST LEHMAN 20     CMN            464287432         758       6250 SH       SOLE       2              6250         0      0
PLUS YR TREASURY
ISHARES TRUST LEHMAN US     CMN            464287226        6371      57787 SH       SOLE       2             57787         0      0
AGGREGATE BOND FD
ISHARES TRUST MCSI BRIC     CMN            464286657         558      15386 SH       SOLE       2             15386         0      0
INDEX FUND
ISHARES TRUST MSCI          CMN            464287234        1157      30491 SH       DEFINED    2                 0     30491      0
EMERGING MARKETS INDEX
ISHARES TRUST MSCI          CMN            464287234       26531     699278 SH       DEFINED    2                 0    699278      0
EMERGING MARKETS INDEX
ISHARES TRUST MSCI          CMN            464287234        7266     191503 SH       DEFINED    1                 0    191503      0
EMERGING MARKETS INDEX
ITT CORP USD1               CMN            450911201          39       2001 SH       DEFINED    2                 0      2001      0
ITT CORP USD1               CMN            450911201         203      10499 SH       DEFINED    1                 0     10499      0
IVANHOE ENERGY INC COM NPV  CMN            465790103          12      10500 SH       SOLE       2             10500         0      0
IVANHOE MINES LTD/CA COM    CMN            46579N103        3802     214556 SH       SOLE       2            214556         0      0
NPV
IXIA COM NPV                CMN            45071R109         127      12100 SH       SOLE       1             12100         0      0
JAB INTL INC COM            CMN            466078102           0        381 SH       SOLE       1               381         0      0
JABIL CIRCUIT INC COM       CMN            466313103         434      22094 SH       SOLE       2             22094         0      0
USD0.001
JAKKS PACIFIC INC COM STK   CMN            47012E106        1474     104481 SH       SOLE       1            104481         0      0
USD0.001
JANUS CAPITAL GROUP INC     CMN            47102X105          60       9500 SH       DEFINED    2                 0      9500      0
COM USD0.01
JANUS CAPITAL GROUP INC     CMN            47102X105        2682     425000 SH       DEFINED    1                 0    425000      0
COM USD0.01
JAZZ PHARMACEUTICALS INC    CMN            472147107         226       5852 SH       SOLE       2              5852         0      0
COM STK USD0.0001
JOHNSON & JOHNSON COM USD1  CMN            478160104         368       5619 SH       DEFINED    2                 0      5619      0
JOHNSON & JOHNSON COM USD1  CMN            478160104       11306     172397 SH       DEFINED    2                 0    172397      0
JOHNSON CONTROLS INC COM    CMN            478366107         374      11976 SH       DEFINED    2                 0     11976      0
STK USD0.01388
JOHNSON CONTROLS INC COM    CMN            478366107          34       1080 SH       DEFINED    1                 0      1080      0
STK USD0.01388
JOY GLOBAL INC COM USD1     CMN            481165108         313       4173 SH       DEFINED    2                 0      4173      0
JOY GLOBAL INC COM USD1     CMN            481165108          27        365 SH       DEFINED    1                 0       365      0
JP MORGAN CHASE BANK NA     CMN            46625H100         653      19641 SH       DEFINED    1                 0     19641      0
COM USD1
JPMORGAN CHASE & CO COM     CMN            46625H100       10326     310554 SH       DEFINED    2                 0    310554      0
USD1
JPMORGAN CHASE & CO COM     CMN            46625H100        1873      56319 SH       DEFINED    2                 0     56319      0
USD1
JPMORGAN CHASE & CO COM     CMN            46625H100           6        170 SH       DEFINED    3                 0       170      0
USD1
JUNIPER NETWORKS INC COM    CMN            48203R104         247      12126 SH       SOLE       2             12126         0      0
USD0.00001
KAISER ALUMINUM CORP COM    CMN            483007704        3498      76243 SH       SOLE       2             76243         0      0
USD0.01
KANDI TECHNOLGIES CORP COM  CMN            483709101          43      11600 SH       SOLE       2             11600         0      0
STK USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
KB HOME COM STK USD1        CMN            48666K109         129      19200 SH       SOLE       2             19200         0      0
KELLOGG CO COM USD0.25      CMN            487836108         244       4827 SH       SOLE       2              4827         0      0
KERYX BIOPHARMACEUTICALS    CMN            492515101          74      29413 SH       SOLE       2             29413         0      0
INC COM USD0.001
KEYCORP COM USD1            CMN            493267108          94      12262 SH       SOLE       2             12262         0      0
KILROY REALTY CORP COM STK  CNV            49427RAC6        4460   37682.81 SH       SOLE       1          37682.81         0      0
USD0.01
KIMBERLY-CLARK CORP COM     CMN            494368103         673       9149 SH       SOLE       2              9149         0      0
USD1.25
KIMCO REALTY CORP COM       CMN            49446R109         292      17975 SH       SOLE       2             17975         0      0
USD0.01
KINDER MORGAN INC/DELAWARE  CMN            49456B101          12        362 SH       DEFINED    2                 0       362      0
COM NPV
KINDER MORGAN INC/DELAWARE  CMN            49456B101         965      30000 SH       DEFINED    1                 0     30000      0
COM NPV
KINROSS GOLD CORP COM NPV   CMN            496902404         652      57217 SH       SOLE       2             57217         0      0
KKR & CO LP LTD PART NPV    CMN            48248M102           0          2 SH       DEFINED    2                 0         2      0
KKR & CO LP LTD PART NPV    CMN            48248M102        2088     162742 SH       DEFINED    1                 0    162742      0
KLA-TENCOR CORP COM         CMN            482480100         214       4435 SH       SOLE       2              4435         0      0
USD0.001
KNIGHT CAPITAL GROUP INC    CMN            499005106        6992     591542 SH       DEFINED    2                 0    591542      0
CLASS 'A'COM USD0.01
KNIGHT CAPITAL GROUP INC    CMN            499005106           1        100 SH       DEFINED    2                 0       100      0
CLASS 'A'COM USD0.01
KODIAK OIL & GAS CORP COM   CMN            50015Q100         291      30600 SH       SOLE       2             30600         0      0
NPV
KOHLBERG CAP CORP COM STK   CNV            500233AA9         739    8296.78 SH       SOLE       1           8296.78         0      0
USD0.01
KOHL'S CORP COM USD0.01     CMN            500255104        1347      27290 SH       DEFINED    2                 0     27290      0
KOHL'S CORP COM USD0.01     CMN            500255104         337       6825 SH       DEFINED    1                 0      6825      0
KRAFT FOODS INC COM STK     CMN            50075N104        1981      53023 SH       DEFINED    2                 0     53023      0
NPV CLS'A'
KRAFT FOODS INC COM STK     CMN            50075N104          43       1158 SH       DEFINED    1                 0      1158      0
NPV CLS'A'
KROGER CO/THE COM USD1      CMN            501044101         722      29820 SH       SOLE       2             29820         0      0
L 3 COMMUNICATIONS HOLDING  CNV            502413AW7        1560   16365.38 SH       SOLE       1          16365.38         0      0
COM USD0.01
LAFAYETTE INDUSTRIES INC    CMN            506377100           0        750 SH       SOLE       1               750         0      0
COM
LAM RESEARCH CORP COM       CNV            512807AH1        1490   15820.37 SH       SOLE       1          15820.37         0      0
USD0.001
LAS VEGAS SANDS CORP COM    CMN            517834107        1636      38277 SH       DEFINED    2                 0     38277      0
USD0.001
LAS VEGAS SANDS CORP COM    CMN            517834107        2141      50097 SH       DEFINED    2                 0     50097      0
USD0.001
LASERSIGHT INC COM  NEW     CMN            517924304           0       1491 SH       SOLE       1              1491         0      0
LDK SOLAR CO LTD ADR EACH   CMN            50183L107          79      18949 SH       SOLE       2             18949         0      0
REPR 1 ORD USD0.10
LEAR CORP                   CMN            521865204       358.2       9000 SH       SOLE       4              9000         0      0
LEGGETT & PLATT INC USD0.01 CMN            524660107         444      19270 SH       SOLE       2             19270         0      0
LEHMAN BROTHERS HOLDINGS    CMN            524908100           1      34803 SH       SOLE       2             34803         0      0
INC USD0.1
LENNAR CORP COM             CMN            526057104         102       5180 SH       DEFINED    2                 0      5180      0
CL'A'USD0.10
LENNAR CORP COM             CMN            526057104         641      32637 SH       DEFINED    1                 0     32637      0
CL'A'USD0.10
LEVEL 3 COMMUNICATIONS INC  CNV            52729NBQ2        2702   24814.81 SH       SOLE       1          24814.81         0      0
USD0.01
LIFE TECHNOLOGIES CORP COM  CNV            46185RAK6        9594    96079.2 SH       SOLE       1           96079.2         0      0
USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
LIFEPOINT HOSPITALS INC     CNV            53219LAH2        1013       9944 SH       SOLE       1              9944         0      0
COM USD0.01
LIGHTNING ROD SOFTWARE INC  CMN            532244100           0         20 SH       SOLE       1                20         0      0
COM
LIMELIGHT NETWORKS INC COM  CMN            53261M104          95      32000 SH       DEFINED    2                 0     32000      0
STK USD0.001
LIMELIGHT NETWORKS INC COM  CMN            53261M104          16       5300 SH       DEFINED    1                 0      5300      0
STK USD0.001
LINCARE HOLDINGS INC COM    CNV            532791AF7        1130   10464.41 SH       SOLE       1          10464.41         0      0
USD0.01
LINCOLN NATIONAL CORP COM   CMN            534187109         252      12968 SH       SOLE       2             12968         0      0
NPV
LINEAR TECHNOLOGY CORP COM  CNV            535678AC0        2121   20718.84 SH       SOLE       1          20718.84         0      0
USD0.001
LLOYDS BANKING GROUP PLC    CMN            539439109         226     143732 SH       SOLE       2            143732         0      0
GBP0.1
LOCKHEED MARTIN CORP COM    CMN            539830109         325       4014 SH       SOLE       2              4014         0      0
USD1
LOOPNET INC COM STK         CMN            543524300          32       1748 SH       DEFINED    2                 0      1748      0
USD0.001
LOOPNET INC COM STK         CMN            543524300        6031     329909 SH       DEFINED    1                 0    329909      0
USD0.001
LORILLARD INC USD0.01       CMN            544147101         898       7877 SH       DEFINED    2                 0      7877      0
LORILLARD INC USD0.01       CMN            544147101         199       1743 SH       DEFINED    1                 0      1743      0
LOWE'S COS INC COM USD0.50  CMN            548661107        1207      47553 SH       SOLE       2             47553         0      0
LSI CORP COM STK USD0.01    CMN            502161102          87      14601 SH       SOLE       2             14601         0      0
LTD BRANDS INC COM USD0.50  CMN            532716107        1644      40738 SH       SOLE       2             40738         0      0
LYONDELLBASELL INDUSTRIES   CMN            N53745100        2623      80720 SH       DEFINED    2                 0     80720      0
AF SCA NPV
LYONDELLBASELL INDUSTRIES   CMN            N53745100         107       3301 SH       DEFINED    2                 0      3301      0
AF SCA NPV
LYONDELLBASELL INDUSTRIES N CMN            N53745100  4505.84337     191076 SH       SOLE       4            159975         0  31101
LYRIC INTL INC COM  NEW     CMN            552350209           0          5 SH       SOLE       1                 5         0      0
MACY'S INC COM STK USD0.01  CMN            55616P104         262       8147 SH       SOLE       2              8147         0      0
MAGIC SOFTWARE ENTERPRISES  CMN            559166103           0        200 SH       SOLE       2               200         0      0
LTD COM ILS0.10
MAGNUM HUNTER RESOURCES     CMN            55973G119           0        600 SH       SOLE       2               600         0      0
CORP COM USD0.01
MANNKIND CORP COM USD0.01   CMN            56400P201         147      58900 SH       SOLE       2             58900         0      0
MANPOWERGROUP COM USD0.01   CMN            56418H100        1384      38711 SH       SOLE       2             38711         0      0
MARATHON OIL CORP COM USD1  CMN            565849106         448      15313 SH       SOLE       2             15313         0      0
MARC PHARMACEUTICALS INC    CMN            566137105           0    3735000 SH       SOLE       1           3735000         0      0
COM
MARCHFIRST INC COM          CMN            566244109           0        600 SH       SOLE       1               600         0      0
MAREX INC COM NEW           CMN            566536306           0        520 SH       SOLE       1               520         0      0
MARKET VECTORS - GOLD       CMN            57060U100        8229     160000 SH       DEFINED    2                 0    160000      0
MINERS ETF GOLD MINES
MARKET VECTORS - GOLD       CMN            57060U100        2819      54816 SH       DEFINED    2                 0     54816      0
MINERS ETF GOLD MINES
MARKET VECTORS - GOLD       CMN            57060U100        6777     131770 SH       DEFINED    1                 0    131770      0
MINERS ETF GOLD MINES
MARKET VECTORS ETF SBI      CMN            57060U506         105       3930 SH       DEFINED    2                 0      3930      0
USD0.001 RUSSIA ETF TRU
MARKET VECTORS ETF SBI      CMN            57060U506        1695      63587 SH       DEFINED    2                 0     63587      0
USD0.001 RUSSIA ETF TRU
MARKET VECTORS JUNIOR GOLD  CMN            57060U589         636      25753 SH       DEFINED    2                 0     25753      0
MINERS ETF ETP NPV
MARKET VECTORS JUNIOR GOLD  CMN            57060U589        1354      54800 SH       DEFINED    1                 0     54800      0
MINERS ETF ETP NPV
MARKET VECTORS RARE         CMN            57060U472         322      21600 SH       SOLE       2             21600         0      0
EARTH/STRATEGIC METALS ETF
ETP NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
MARKET VECTORS VIETNAM ETF  CMN            57060U761         508      34885 SH       SOLE       2             34885         0      0
ETP NPV
MARRIOTT INTERNATIONAL INC  CMN            571903202        4609     158000 SH       DEFINED    1                 0    158000      0
COM USD0.01 CLASS 'A'
MARRIOTT INTL INC/DE COM    CMN            571903202         207       7096 SH       DEFINED    2                 0      7096      0
USD0.01 CLASS 'A'
MARRIOTT VACATIONS          CMN            57164Y107         475      27700 SH       SOLE       1             27700         0      0
WORLDWIDE CORP COM NPV
MARSH & MCLENNAN COS INC    CMN            571748102         218       6890 SH       SOLE       2              6890         0      0
COM USD1
MARTHA STEWART LIVING       CMN            573083102          88      20000 SH       SOLE       2             20000         0      0
OMNIMEDIA CLASS'A' USD0.01
MARVELL TECHNOLOGY GROUP    CMN            G5876H105         142      10285 SH       SOLE       2             10285         0      0
LTD COM USD0.002
MASCO CORP COM USD1         CMN            574599106         286      27326 SH       SOLE       2             27326         0      0
MASTEC INC COM USD0.10      CNV            576323AM1       11447   85357.97 SH       SOLE       1          85357.97         0      0
MASTERCARD INC COM          CMN            57636Q104         594       1594 SH       DEFINED    2                 0      1594      0
USD0.0001 CLASS 'A'
MASTERCARD INC COM          CMN            57636Q104         229        613 SH       DEFINED    1                 0       613      0
USD0.0001 CLASS 'A'
MATERIALS SELECT SECTOR     CMN            81369Y100          14        430 SH       DEFINED    2                 0       430      0
SPDR SBI MATERIALS NPV
MATERIALS SELECT SECTOR     CMN            81369Y100         670      20000 SH       DEFINED    1                 0     20000      0
SPDR SBI MATERIALS NPV
MATTEL INC COM USD1         CMN            577081102         207       7463 SH       DEFINED    2                 0      7463      0
MATTEL INC COM USD1         CMN            577081102          32       1157 SH       DEFINED    1                 0      1157      0
MCCORMICK & SCHMICK'S       CMN            579793100         932     106598 SH       SOLE       1            106598         0      0
SEAFOO COM STK USD0.001
MCDERMOTT INTERNATIONAL     CMN            580037109         517      44936 SH       SOLE       2             44936         0      0
INC COM STK USD1
MCDONALD'S CORP COM USD0.01 CMN            580135101        3325      33145 SH       SOLE       2             33145         0      0
MCGRAW-HILL COS INC/THE     CMN            580645109        1148      25523 SH       DEFINED    2                 0     25523      0
COM USD1
MCGRAW-HILL COS INC/THE     CMN            580645109          35        780 SH       DEFINED    1                 0       780      0
COM USD1
MCKESSON CORP COM USD0.01   CMN            58155Q103         309       3972 SH       DEFINED    2                 0      3972      0
MCKESSON CORP COM USD0.01   CMN            58155Q103          14        177 SH       DEFINED    1                 0       177      0
MCMORAN EXPLORATION CO COM  CMN            582411104         127       8700 SH       DEFINED    2                 0      8700      0
USD0.01
MCMORAN EXPLORATION CO COM  CMN            582411104        1470     101000 SH       DEFINED    1                 0    101000      0
USD0.01
MEAD JOHNSON NUTRITION CO   CMN            582839106         682       9918 SH       DEFINED    2                 0      9918      0
COM USD0.01
MEAD JOHNSON NUTRITION CO   CMN            582839106         183       2669 SH       DEFINED    1                 0      2669      0
COM USD0.01
MEADWESTVACO CORP COM       CMN            583334107          82       2735 SH       DEFINED    2                 0      2735      0
USD0.01
MEADWESTVACO CORP COM       CMN            583334107         353      11800 SH       DEFINED    1                 0     11800      0
USD0.01
MECHEL OAO                  CMN            583840103        9535    1121711 SH       SOLE       2           1121711         0      0
MED/WASTE INC COM           CMN            583921101           0       2000 SH       SOLE       1              2000         0      0
MEDCO HEALTH SOLUTIONS INC  CMN            58405U102       14084     251943 SH       DEFINED    2                 0    251943      0
COM USD0.01
MEDCO HEALTH SOLUTIONS INC  CMN            58405U102        7348     131449 SH       DEFINED    1                 0    131449      0
COM USD0.01
MEDIVATION INC COM USD0.01  CMN            58501N101        3707      80397 SH       SOLE       2             80397         0      0
MEDTRAK ELECTRONICS INC COM CMN            58505A105           0        100 SH       SOLE       1               100         0      0
MEDTRONIC INC COM USD0.10   CMN            585055106        2083      54468 SH       DEFINED    2                 0     54468      0
MEDTRONIC INC COM USD0.10   CMN            585055106         299       7807 SH       DEFINED    2                 0      7807      0
MEDTRONIC INC COM USD0.10   CNV            585055AM8        3298    32703.7 SH       SOLE       1           32703.7         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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
MEGALITH CORP COM           CMN            58515K101           0         50 SH       SOLE       1                50         0      0
MELCO PBL ENTERTAI ADR      CMN            585464100         149      15516 SH       SOLE       2             15516         0      0
REPR 3 ORD SHS USD0.01
MEMC ELECTRONIC MATERIALS   CMN            552715104          79      19935 SH       SOLE       2             19935         0      0
COM USD0.01
MENTOR GRAPHICS CORP COM    CNV            587200AJ5        6388   63534.56 SH       SOLE       1          63534.56         0      0
NPV
MERCADOLIBRE INC COM STK    CMN            58733R102         279       3502 SH       SOLE       2              3502         0      0
USD0.001
MERCK & CO INC COM USD0.01  CMN            58933Y105        1594      42275 SH       DEFINED    2                 0     42275      0
MERCK & CO INC COM USD0.01  CMN            58933Y105         773      20494 SH       DEFINED    2                 0     20494      0
METASOURCE GROUP INC COM    CMN            59139R209           0       3740 SH       SOLE       1              3740         0      0
NEW
METAWAVE COMMUNICATIONS CP  CMN            591409107           0      37500 SH       SOLE       1             37500         0      0
METLIFE INC COM USD0.01     CMN            59156R108         134       4296 SH       DEFINED    2                 0      4296      0
METLIFE INC COM USD0.01     CMN            59156R108        1335      42808 SH       DEFINED    1                 0     42808      0
METROPCS COMMUNICATIONS     CMN            591708102          13       1501 SH       DEFINED    2                 0      1501      0
INC COM STK USD0.0001
METROPCS COMMUNICATIONS     CMN            591708102         608      70100 SH       DEFINED    1                 0     70100      0
INC COM STK USD0.0001
MGM RESORTS INTERNATIONAL   CMN            552953101         175      16782 SH       SOLE       2             16782         0      0
COM STK USD0.01
MICROCHIP TECHNOLOGY INC    CNV            595017AB0       18028  133788.67 SH       SOLE       1         133788.67         0      0
COM USD0.001
MICRON TECHNOLOGY INC COM   CMN            595112103         478      75996 SH       DEFINED    2                 0     75996      0
USD0.10
MICRON TECHNOLOGY INC COM   CMN            595112103         304      48374 SH       DEFINED    1                 0     48374      0
USD0.10
MICRON TECHNOLOGY INC COM   CNV            595112AH6        8235   86226.28 SH       SOLE       1          86226.28         0      0
USD0.10
MICRON TECHNOLOGY INC COM   CNV            595112AJ2       22737  159448.81 SH       SOLE       1         159448.81         0      0
USD0.10
MICRON TECHNOLOGY INC COM   CNV            595112AK9         234    2752.29 SH       SOLE       1           2752.29         0      0
USD0.10
MICRON TECHNOLOGY INC COM   CNV            595112AM5       14782   166842.1 SH       SOLE       1          166842.1         0      0
USD0.10
MICROSOFT CORP COM          CMN            594918104        9100     350524 SH       DEFINED    2                 0    350524      0
USD0.0000125
MICROSOFT CORP COM          CMN            594918104         664      25572 SH       DEFINED    1                 0     25572      0
USD0.0000125
MICROVISION INC WA COM STK  CMN            594960106           5      15000 SH       SOLE       2             15000         0      0
USD0.01
MILESTONE SCIENTIFIC INC    CMN            59935P209         123     341259 SH       SOLE       2            341259         0      0
COM USD0.001
MINERALS MINING CORP DEL    CMN            603156100           0          6 SH       SOLE       1                 6         0      0
COM
MIRACOR DIAGNOSTICS INC COM CMN            60461S104           0         25 SH       SOLE       1                25         0      0
MOBILE TELESYSTEMS OJSC     CMN            607409109        9849     670942 SH       SOLE       2            670942         0      0
MOLYCORP INC COM NPV        CMN            608753109         372      15496 SH       SOLE       2             15496         0      0
MONARCH CAP CORP DEL COM    CMN            609023106           0        100 SH       SOLE       1               100         0      0
SYM MONP
MONSANTO CO COM STK USD0.01 CMN            61166W101        1362      19433 SH       DEFINED    2                 0     19433      0
MONSANTO CO COM STK USD0.01 CMN            61166W101         457       6520 SH       DEFINED    2                 0      6520      0
MONSTER WORLDWIDE INC COM   CMN            611742107         207      26050 SH       SOLE       2             26050         0      0
USD0.001
MOODY'S CORP COM USD0.01    CMN            615369105         207       6144 SH       DEFINED    2                 0      6144      0
MOODY'S CORP COM USD0.01    CMN            615369105          32        960 SH       DEFINED    1                 0       960      0
MORGAN STANLEY COM STK      CMN            617446448         928      61329 SH       DEFINED    2                 0     61329      0
USD0.01
MORGAN STANLEY COM STK      CMN            617446448        2315     153023 SH       DEFINED    2                 0    153023      0
USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
MORGANS HOTEL GROUP CO COM  CNV            61748WAB4        3182   39161.43 SH       SOLE       1          39161.43         0      0
STK NPV
MOSAIC CO/THE COM STK       CMN            61945C103         671      13312 SH       SOLE       2             13312         0      0
USD0.01
MOTOROLA MOBILITY HOLDINGS  CMN            620097105       23558     607164 SH       DEFINED    2                 0    607164      0
INC COM NPV
MOTOROLA MOBILITY HOLDINGS  CMN            620097105        8761     225800 SH       DEFINED    1                 0    225800      0
INC COM NPV
MOTOROLA SOLUTIONS INC      CNV            530715AN1        6619     117155 SH       SOLE       1            117155         0      0
USD0.01
MOTOROLA SOLUTIONS INC      CMN            620076307         555      11997 SH       SOLE       2             11997         0      0
USD0.01
MOVADO GROUP INC COM        CMN            624580106         182      10000 SH       SOLE       2             10000         0      0
USD0.01
MPTV INC COM NEW            CMN            553424409           0       3670 SH       SOLE       1              3670         0      0
MUELLER WATER PROD COM STK  CMN            624758108         180      73800 SH       DEFINED    2                 0     73800      0
USD0.01 SER 'A'
MUELLER WATER PROD COM STK  CMN            624758108          14       5700 SH       DEFINED    1                 0      5700      0
USD0.01 SER 'A'
MULTI SOLUTIONS INC COM     CMN            625430103           0       1500 SH       SOLE       1              1500         0      0
MYLAN INC COM USD0.50       CNV            628530AG2       16878  167694.87 SH       SOLE       1         167694.87         0      0
MYLAN INC COM USD0.50       CNV            628530AJ6       74321   425300.3 SH       SOLE       1          425300.3         0      0
MYREXIS INC NON-VTG USD0.01 CMN            62856H107          59      22156 SH       SOLE       2             22156         0      0
MYTURN COM COM              CMN            628690109           0        500 SH       SOLE       1               500         0      0
NASDAQ 100 INDEX TRACK      CMN            73935A104         452       8104 SH       DEFINED    2                 0      8104      0
STCK UNITS SERIES'1'
NASDAQ 100 INDEX TRACK      CMN            73935A104         290       5200 SH       DEFINED    1                 0      5200      0
STCK UNITS SERIES'1'
NASH FINCH CO COM USD1.66   CNV            631158AD4        4098   89388.93 SH       SOLE       1          89388.93         0      0
2/3
NATIONAL MICRONETICS INC    CMN            636904104           0        114 SH       SOLE       1               114         0      0
COM
NATIONAL BANK OF GREECE SA  CMN            633643606         128      64663 SH       SOLE       2             64663         0      0
EUR5.00(REGD)
NATIONAL OILWELL VARCO INC  CMN            637071101         613       9009 SH       SOLE       2              9009         0      0
COM USD0.01
NATIONAL RETAIL PROPERTIES  CNV            637417AA4        6402   57057.05 SH       SOLE       1          57057.05         0      0
INC COM USD0.01
NATIONAL RETAIL PROPERTIES  CNV            637417AC0        5727   50482.16 SH       SOLE       1          50482.16         0      0
INC COM USD0.01
NAVIOS MARITIME HOLDINGS    CMN            Y62196103          54      15265 SH       SOLE       2             15265         0      0
INC USD0.0001
NBI INC COM NEW             CMN            628735201           0         15 SH       SOLE       1                15         0      0
NEKTAR THERAPEUTICS COM     CMN            640268108         120      21400 SH       SOLE       2             21400         0      0
USD0.0001
NET SERVICOS DE             CMN            64109T201         197      20492 SH       SOLE       2             20492         0      0
COMUNICACAO SA PRF NPV
NETAPP INC COM USD0.001     CMN            64110D104         251       6909 SH       DEFINED    2                 0      6909      0
NETAPP INC COM USD0.001     CMN            64110D104         596      16442 SH       DEFINED    1                 0     16442      0
NETLOGIC MICROSYSTEMS INC   CMN            64118B100       23897     482076 SH       DEFINED    2                 0    482076      0
COM USD0.01
NETLOGIC MICROSYSTEMS INC   CMN            64118B100        4090      82500 SH       DEFINED    1                 0     82500      0
COM USD0.01
NETWORK CN INC USD0.001     CMN            64125G209           5      31800 SH       SOLE       2             31800         0      0
NETWORK PLUS CORP   COM     CMN            64122D506           0       1211 SH       SOLE       1              1211         0      0
NEWCARE HEALTH CORP COM     CMN            651053100           0          5 SH       SOLE       1                 5         0      0
NEWELL RUBBERMAID INC COM   CMN            651229106         366      22664 SH       SOLE       2             22664         0      0
USD1
NEWFIELD EXPLORATION CO     CMN            651290108         745      19745 SH       SOLE       2             19745         0      0
COM USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
NEWMONT MINING CORP COM     CMN            651639106        3241      54005 SH       DEFINED    2                 0     54005      0
USD1.60
NEWMONT MINING CORP COM     CMN            651639106         779      12984 SH       DEFINED    2                 0     12984      0
USD1.60
NEWMONT MINING CORP COM     CNV            651639AH9        1278    9171.82 SH       SOLE       1           9171.82         0      0
USD1.60
NEWMONT MINING CORP COM     CNV            651639AK2        3496   26615.06 SH       SOLE       1          26615.06         0      0
USD1.60
NEWS CORP COM USD0.01       CMN            65248E104         839      47040 SH       DEFINED    2                 0     47040      0
CLASS'A'
NEWS CORP COM USD0.01       CMN            65248E104        4090     229287 SH       DEFINED    1                 0    229287      0
CLASS'A'
NIKE INC CLASS'B'COM NPV    CMN            654106103         769       7979 SH       DEFINED    2                 0      7979      0
NIKE INC CLASS'B'COM NPV    CMN            654106103          37        380 SH       DEFINED    1                 0       380      0
NOBLE CORP CHF3.54          CMN            H5833N103         689      22800 SH       SOLE       2             22800         0      0
NOBLE ENERGY INC COM        CMN            655044105         540       5722 SH       DEFINED    2                 0      5722      0
USD3.33 1/3
NOBLE ENERGY INC COM        CMN            655044105           3         30 SH       DEFINED    1                 0        30      0
USD3.33 1/3
NOKIA OYJ NPV               CMN            654902204        2132     442317 SH       SOLE       2            442317         0      0
NORDSTROM INC COM NPV       CMN            655664100         321       6452 SH       SOLE       2              6452         0      0
NORTHROP GRUMMAN CORP COM   CMN            666807102         385       6580 SH       DEFINED    2                 0      6580      0
USD1
NORTHROP GRUMMAN CORP COM   CMN            666807102         924      15795 SH       DEFINED    1                 0     15795      0
USD1
NORTHWEST PIPE CO COM       CMN            667746101         416      18197 SH       SOLE       1             18197         0      0
USD0.01
NORTHWESTERN CORP-OLD       CMN            668074107           0       2800 SH       SOLE       1              2800         0      0
NOVAGOLD RESOURCES INC COM  CMN            66987E206         105      12419 SH       SOLE       2             12419         0      0
NPV
NOVELLUS SYSTEMS INC COM    CNV            670008AC5       11024   92015.99 SH       SOLE       1          92015.99         0      0
NPV
NUANCE COMMUNICATIONS INC   CMN            67020Y100         105       4169 SH       DEFINED    2                 0      4169      0
COM USD0.001
NUANCE COMMUNICATIONS INC   CMN            67020Y100         210       8327 SH       DEFINED    1                 0      8327      0
COM USD0.001
NUCOR CORP COM STK USD0.40  CMN            670346105        5253     132760 SH       DEFINED    2                 0    132760      0
NUCOR CORP COM STK USD0.40  CMN            670346105         233       5892 SH       DEFINED    2                 0      5892      0
NUVASIVE INC COM USD0.001   CMN            670704105         835      66310 SH       DEFINED    2                 0     66310      0
NUVASIVE INC COM USD0.001   CMN            670704105           2        130 SH       DEFINED    2                 0       130      0
NUVASIVE INC COM USD0.001   CMN            670704105          22       1765 SH       DEFINED    1                 0      1765      0
NVIDIA CORP COM USD0.001    CMN            67066G104        4448     320918 SH       DEFINED    2                 0    320918      0
NVIDIA CORP COM USD0.001    CMN            67066G104         166      11957 SH       DEFINED    1                 0     11957      0
NYSE EURONEXT COM STK       CMN            629491101         430      16460 SH       DEFINED    2                 0     16460      0
USD0.01
NYSE EURONEXT COM STK       CMN            629491101          55       2110 SH       DEFINED    1                 0      2110      0
USD0.01
OCCIDENTAL PETROLEUM CORP   CMN            674599105         664       7082 SH       DEFINED    2                 0      7082      0
COM USD0.20
OCCIDENTAL PETROLEUM CORP   CMN            674599105         317       3382 SH       DEFINED    2                 0      3382      0
COM USD0.20
OCCIDENTAL PETROLEUM CORP   CMN            674599105         245       2612 SH       DEFINED    1                 0      2612      0
COM USD0.20
OCEANEERING INTERNATIONAL   CMN            675232102         222       4821 SH       SOLE       2              4821         0      0
INC COM USD0.25
OLD REPUBLIC INTERNATIONAL  CNV            680223AH7         907   10296.01 SH       SOLE       1          10296.01         0      0
CORP COM USD1
OMNICARE CAPITAL TRUST II   CNV            68214Q200         434       9400 SH       SOLE       1              9400         0      0
PRF50
OMNICARE INC COM USD1       CMN            681904108         210       6084 SH       SOLE       2              6084         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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
OMNICARE INC COM USD1       CNV            681904AN8       18498  132458.21 SH       SOLE       1         132458.21         0      0
ON SEMICONDUCTOR CORP COM   CNV            682189AG0        2376   21809.52 SH       SOLE       1          21809.52         0      0
USD0.01
ONCOR INC COM               CMN            682311105           0      15000 SH       SOLE       1             15000         0      0
ONEOK INC COM USD0.01       CMN            682680103         239       2752 SH       SOLE       2              2752         0      0
ONYX PHARMACEUTICALS INC    CMN            683399109         217       4937 SH       SOLE       2              4937         0      0
COM USD0.001
OPENWAVE SYSTEMS INC COM    CMN            683718308          40      25000 SH       SOLE       2             25000         0      0
USD0.001
ORACLE CORP COM USD0.01     CMN            68389X105        8686     338632 SH       DEFINED    2                 0    338632      0
ORACLE CORP COM USD0.01     CMN            68389X105        1387      54075 SH       DEFINED    2                 0     54075      0
ORCKIT COMMUNICATIONS LTD   CMN            M7531S206          10      10000 SH       SOLE       2             10000         0      0
NPV
O'REILLY AUTOMOTIVE INC     CMN            67103H107         280       3507 SH       SOLE       2              3507         0      0
COM USD0.01
ORIENT-EXPRESS HOTELS LTD   CMN            G67743107          75      10000 SH       SOLE       2             10000         0      0
CL'A'COM USD0.01
OSCIENT PHARMACEUTICALS     CMN            68812R303           0         29 SH       SOLE       1                29         0      0
CORP COM NEW
OWENS-ILLINOIS INC COM      CNV            69073TAQ6         977   10617.23 SH       SOLE       1          10617.23         0      0
USD0.01
PACIFIC BIOSCIENCES OF      CMN            69404D108          38      13500 SH       SOLE       2             13500         0      0
CALIFORNIA INC USD0.0001
PACIFIC ETHANOL INC         CMN            69423U206          22      20714 SH       SOLE       2             20714         0      0
USD0.001
PACIFIC GATEWAY EX COM STK  CMN            694327107           0        170 SH       SOLE       1               170         0      0
USD0.0001
PACIFIC SUNWEAR OF          CMN            694873100         171     100000 SH       SOLE       2            100000         0      0
CALIFORNIA INC COM USD0.01
PALLET MGMT SYS INC COM NEW CMN            696435304           0       2200 SH       SOLE       1              2200         0      0
PAN AMERICAN SILVER CORP    CMN            697900108         263      12036 SH       SOLE       2             12036         0      0
COM NPV
PARAGON SHIPPING INC COM    CMN            69913R309          24      37780 SH       SOLE       2             37780         0      0
STK USD0.001 CL'A'
PATRIOT COAL CORP COM STK   CMN            70336T104         180      21224 SH       SOLE       2             21224         0      0
USD0.01
PDL BIOPHARMA INC COM STK   CMN            69329Y104         484      78000 SH       DEFINED    2                 0     78000      0
USD0.01
PDL BIOPHARMA INC COM STK   CMN            69329Y104          42       6800 SH       DEFINED    2                 0      6800      0
USD0.01
PDL BIOPHARMA INC COM STK   CNV            69329YAA2       48444  454877.34 SH       SOLE       1         454877.34         0      0
USD0.01
PDL BIOPHARMA INC COM STK   CNV            69329YAC8        6542   64864.42 SH       SOLE       1          64864.42         0      0
USD0.01
PEABODY ENERGY CORP COM     CMN            704549104        1403      42369 SH       DEFINED    2                 0     42369      0
STK USD0.01
PEABODY ENERGY CORP COM     CMN            704549104         492      14854 SH       DEFINED    2                 0     14854      0
STK USD0.01
PEABODY ENERGY CORP COM     CMN            704549104         530      16000 SH       DEFINED    1                 0     16000      0
STK USD0.01
PENNICHUCK CORP COM USD1    CMN            708254206         513      17788 SH       SOLE       1             17788         0      0
PEPSICO INC CAP USD0.016666 CMN            713448108        1648      24831 SH       SOLE       2             24831         0      0
PEREGRINE SYSTEMS   INC COM CMN            71366Q101           0         15 SH       SOLE       1                15         0      0
PERFECT WORLD CO LTD ADR    CMN            71372U104        1312     125340 SH       SOLE       2            125340         0      0
EACH REPR 5 COM CLS'B'S
PERRIGO CO COM NPV          CMN            714290103         310       3185 SH       SOLE       2              3185         0      0
PETROBRAS ARGENTINA SA      CMN            71646J109        1754     138980 SH       SOLE       2            138980         0      0
CLASS'B'ARS1
PETROLEO BRASILEIRO SA -    CMN            71654V408       73370    2952508 SH       DEFINED    2                 0   2952508      0
PETROBRAS COM NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
PETROLEO BRASILEIRO SA -    CMN            71654V408       31590    1271222 SH       DEFINED    2                 0   1271222      0
PETROBRAS COM NPV
PETROLEUM DEVELOPMENT CORP  CNV            716578AC3        2621   24646.22 SH       SOLE       1          24646.22         0      0
COM USD0.01
PETSMART INC COM USD0.0001  CMN            716768106         135       2639 SH       DEFINED    2                 0      2639      0
PETSMART INC COM USD0.0001  CMN            716768106        1364      26597 SH       DEFINED    1                 0     26597      0
PFIZER INC COM USD0.05      CMN            717081103        3879     179259 SH       SOLE       2            179259         0      0
PG&E CORP COM NPV           CMN            69331C108         203       4933 SH       SOLE       2              4933         0      0
PHARMASSET INC COM STK      CMN            71715N106       43236     337258 SH       DEFINED    2                 0    337258      0
USD0.001
PHARMASSET INC COM STK      CMN            71715N106        2500      19500 SH       DEFINED    1                 0     19500      0
USD0.001
PHARMATHENE INC USD0.0001   CMN            71714G102          69      54500 SH       SOLE       2             54500         0      0
PHARMERICA CORP COM STK     CMN            71714F104        1342      88418 SH       SOLE       1             88418         0      0
USD0.01
PHH CORP COM NPV            CMN            693320202        1352     126388 SH       DEFINED    2                 0    126388      0
PHH CORP COM NPV            CMN            693320202          26       2384 SH       DEFINED    2                 0      2384      0
PHILIP MORRIS               CMN            718172109        2537      32322 SH       DEFINED    2                 0     32322      0
INTERNATIONAL INC COM STK
NPV 'WI'
PHILIP MORRIS               CMN            718172109         121       1537 SH       DEFINED    1                 0      1537      0
INTERNATIONAL INC COM STK
NPV 'WI'
PHOENIX RES TECHNOLOGIES    CMN            719131203           0          2 SH       SOLE       1                 2         0      0
INC COM NEW
PINNACLE WEST CAPITAL CORP  CMN            723484101         281       5831 SH       SOLE       2              5831         0      0
COM NPV
PLATINUM GROUP METALS LTD   CMN            72765Q205          11      13000 SH       SOLE       2             13000         0      0
COM NPV
PLUM CREEK TIMBER CO INC    CMN            729251108     1047.06      27000 SH       SOLE       5             27000         0      0
PLURISTEM THERAPEUTICS INC  CMN            72940R102          25      10000 SH       SOLE       2             10000         0      0
COM STK USD0.00001
PNC FINANCIAL SERVICES      CMN            693475105        3398      58930 SH       DEFINED    2                 0     58930      0
GROUP INC COM USD5
PNC FINANCIAL SERVICES      CMN            693475105           8        139 SH       DEFINED    2                 0       139      0
GROUP INC COM USD5
PNC FINANCIAL SERVICES      CMN            693475105        3315      57487 SH       DEFINED    1                 0     57487      0
GROUP INC COM USD5
POLARIS INDUSTRIES INC COM  CMN            731068102         185       3300 SH       DEFINED    2                 0      3300      0
USD0.01
POLARIS INDUSTRIES INC COM  CMN            731068102          31        554 SH       DEFINED    1                 0       554      0
USD0.01
POLYPORE INTERNATIONAL INC  CMN            73179V103         219       4972 SH       SOLE       2              4972         0      0
COM STK USD0.01
POTASH CORP OF              CMN            73755L107         544      13167 SH       SOLE       2             13167         0      0
SASKATCHEWAN COM NPV
POWER-ONE INC COM USD0.001  CMN            73930R102         289      74021 SH       SOLE       2             74021         0      0
POWERSHARES DB AGRICULTURE  CMN            73936B408         325      11242 SH       SOLE       2             11242         0      0
FUND POWERSHARES DB
AGRICULTURE
POWERSHARES DB COMMODITY    CMN            73935S105        2226      82929 SH       DEFINED    2                 0     82929      0
IND UNIT BEN INT
POWERSHARES DB COMMODITY    CMN            73935S105          24        900 SH       DEFINED    1                 0       900      0
IND UNIT BEN INT
POWERSHARES DB OIL FUND     CMN            73936B507         293      10255 SH       SOLE       2             10255         0      0
POWERSHARES DB OIL FUND
POWERSHARES GLOBAL GLOBAL   CMN            73936T623         246      15770 SH       SOLE       2             15770         0      0
WATER PORTFOLIO
POWERSHARES INDIA           CMN            73935L100         655      40195 SH       SOLE       2             40195         0      0
PORTFOLIO POWER SHS INDIA
PORT






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
POWERWAVE TECHNOLOGIES INC  CMN            739363307          61      29500 SH       SOLE       2             29500         0      0
USD0.0001
PPG INDUSTRIES INC COM      CMN            693506107         181       2170 SH       DEFINED    2                 0      2170      0
USD1.666
PPG INDUSTRIES INC COM      CMN            693506107         205       2450 SH       DEFINED    1                 0      2450      0
USD1.666
PPL CORP COM USD0.01        CMN            69351T106         166       5654 SH       DEFINED    2                 0      5654      0
PPL CORP COM USD0.01        CMN            69351T106         347      11800 SH       DEFINED    1                 0     11800      0
PPL CORP PRF50              CNV            69351T601        2226      40000 SH       SOLE       1             40000         0      0
PRICELINE.COM INC COM       CMN            741503403         926       1979 SH       DEFINED    2                 0      1979      0
USD0.008
PRICELINE.COM INC COM       CMN            741503403          79        168 SH       DEFINED    1                 0       168      0
USD0.008
PRICELINE.COM INC COM       CNV            741503AM8         570    3467.98 SH       SOLE       1           3467.98         0      0
USD0.008
PRIMUS TELECOMMUNICATIONS   CMN            741929301    1554.395     122780 SH       SOLE       4            117540         0   5240
GR
PROCTER & GAMBLE CO COM NPV CMN            742718109          22        330 SH       DEFINED    2                 0       330      0
PROCTER & GAMBLE CO COM NPV CMN            742718109        4210      63114 SH       DEFINED    2                 0     63114      0
PROCTER & GAMBLE CO COM NPV CMN            742718109           8        117 SH       DEFINED    1                 0       117      0
PROGRESS ENERGY INC COM NPV CMN            743263105          30        540 SH       DEFINED    2                 0       540      0
PROGRESS ENERGY INC COM NPV CMN            743263105        5378      96000 SH       DEFINED    1                 0     96000      0
PROLOGIS INC COM USD0.01    CNV            74340XAT8        3860   37626.21 SH       SOLE       1          37626.21         0      0
PROSHARES TRUST ULTRASHORT  CMN            74347R867         164      10705 SH       SOLE       2             10705         0      0
PROSHARES TRUST ULTRSHORT   CMN            74347R883        1004      52067 SH       SOLE       2             52067         0      0
S&P500
PROSHARES ULTRA SILVER      CMN            74347W841         555      13337 SH       SOLE       2             13337         0      0
PROSHARES ULTRA SILVER
PROSHARES ULTRASHORT        CMN            74347W668         343       8866 SH       SOLE       2              8866         0      0
DJ-AIG CRUDE OIL 'AIG
CRUDE OIL'PROSHRE U/S
DJ-AIG CRUDE OI
PROSHARES ULTRASHORT QQQ    CMN            74347X237         211       4670 SH       SOLE       2              4670         0      0
ULTRASHORT QQQ PROSHARES
PROSPECT CAPITAL CORP COM   CNV            74348TAA0        6397   68710.35 SH       SOLE       1          68710.35         0      0
STK USD0.001
PROSPECT CAPITAL CORP COM   CNV            74348TAB8       10494  120689.65 SH       SOLE       1         120689.65         0      0
STK USD0.001
PROTALIX BIOTHERAPEUTICS    CMN            74365A101         234      47500 SH       SOLE       2             47500         0      0
INC COM STK USD0.0001
PSIVIDA CORP CDI            CMN            74440J101         111     100000 SH       SOLE       2            100000         0      0
PSS WORLD MED INC COM       CNV            69366AAC4       18142  141402.71 SH       SOLE       1         141402.71         0      0
USD0.01
PUBLIC SERVICE ENTERPRISE   CMN            744573106         776      23496 SH       SOLE       2             23496         0      0
GROUP INC COM NPV
PULTE GROUP INC COM USD0.01 CMN            745867101         399      63195 SH       SOLE       2             63195         0      0
QUAD SYSTEMS CORP USD0.03   CMN            74730Q104           0         40 SH       SOLE       1                40         0      0
QUALCOMM INC COM USD0.0001  CMN            747525103          45        821 SH       DEFINED    2                 0       821      0
QUALCOMM INC COM USD0.0001  CMN            747525103         710      12978 SH       DEFINED    2                 0     12978      0
QUALCOMM INC COM USD0.0001  CMN            747525103          44        800 SH       DEFINED    3                 0       800      0
QUALITY DISTR INC FLA       CMN            74756M102    362.4975      32222 SH       SOLE       4             30234         0   1988
QUANTECH LTD COM    NEW     CMN            74762K306           0         18 SH       SOLE       1                18         0      0
QUESTCOR PHARMACEUTICALS    CMN            74835Y101         208       5011 SH       SOLE       2              5011         0      0
INC COM NPV
QUICKSILVER RESOURCES INC   CMN            74837R104          87      12962 SH       SOLE       2             12962         0      0
COM USD0.01
QUOKKA SPORTS INC   COM NEW CMN            749077400           0        280 SH       SOLE       1               280         0      0
RACKSPACE HOSTING INC COM   CMN            750086100         307       7145 SH       SOLE       2              7145         0      0
NPV
RADIAN GROUP INC COM        CMN            750236101          83      35550 SH       SOLE       2             35550         0      0
USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
RADIOSHACK CORP COM USD1    CMN            750438103         581      59876 SH       SOLE       2             59876         0      0
RADVISION LTD ILS0.1        CMN            M81869105          93      11000 SH       SOLE       2             11000         0      0
RALPH LAUREN CORP           CMN            751212101        1145       8291 SH       DEFINED    2                 0      8291      0
CLASS'A'COM USD0.01
RALPH LAUREN CORP           CMN            751212101          32        234 SH       DEFINED    1                 0       234      0
CLASS'A'COM USD0.01
RAMBUS INC COM USD0.001     CMN            750917106         152      20183 SH       SOLE       2             20183         0      0
RANDGOLD RESOURCES LTD ORD  CMN            752344309         651       6373 SH       SOLE       2              6373         0      0
USD0.05
RANGE RESOURCES CORP COM    CMN            75281A109         880      14201 SH       SOLE       2             14201         0      0
USD0.01
RAPTOR PHARMACEUTICAL CORP  CMN            75382F106        2923     466883 SH       SOLE       2            466883         0      0
USD0.001
RARE ELEMENT RESOURCES LTD  CMN            75381M102         192      59038 SH       SOLE       2             59038         0      0
COM NPV
RASER TECHNOLOGIES  INC COM CMN            754055101           0     160800 SH       SOLE       1            160800         0      0
RAYONIER INC                CMN            754907103     1097.52      24000 SH       SOLE       5             24000         0      0
RAYONIER INC COM NPV        CNV            75508AAB2        8971   71996.02 SH       SOLE       1          71996.02         0      0
RAYONIER INC COM NPV        CNV            75508AAD8        2295   16239.52 SH       SOLE       1          16239.52         0      0
RAYTHEON CO COM USD0.01     CMN            755111507         497      10282 SH       SOLE       2             10282         0      0
RED HAT INC COM STK         CMN            756577102         248       6015 SH       SOLE       2              6015         0      0
USD0.0001
REGENERON PHARMACEUTICALS   CMN            75886F107         203       3663 SH       SOLE       2              3663         0      0
INC COM USD0.001
REGIONS FINANCIAL CORP      CMN            7591EP100           2        503 SH       DEFINED    2                 0       503      0
(NEW) COM USD0.625
REGIONS FINANCIAL CORP      CMN            7591EP100         379      88200 SH       DEFINED    1                 0     88200      0
(NEW) COM USD0.625
RELIANCE GROUP HOLDINGS     CMN            759464100           0        294 SH       SOLE       1               294         0      0
INC COM
RENESOLA LTD ORD SHS NPV    CMN            75971T103           0          4 SH       DEFINED    3                 0         4      0
RENESOLA LTD ORD SHS NPV    CMN            75971T103         198     129572 SH       DEFINED    2                 0    129572      0
RENESOLA LTD ORD SHS NPV    CNV            75971TAA1         898   18957.34 SH       SOLE       2          18957.34         0      0
RESEARCH IN MOTION LTD COM  CMN            760975102         686      47333 SH       DEFINED    2                 0     47333      0
NPV
RESEARCH IN MOTION LTD COM  CMN            760975102        4396     303172 SH       DEFINED    2                 0    303172      0
NPV
RETAIL HOLDRS TR DEP RCPT   CMN            76127U101           0         50 SH       SOLE       1                50         0      0
REYNOLDS AMERICAN INC COM   CMN            761713106         321       7746 SH       SOLE       2              7746         0      0
USD0.0001
RIGEL PHARMACEUTICALS INC   CMN            766559603         206      26100 SH       SOLE       2             26100         0      0
COM USD0.001
RIGHTNOW TECHNOLOGIES INC   CMN            76657R106        1822      42634 SH       SOLE       2             42634         0      0
COM USD0.001
RIGHTNOW TECHNOLOGIES INC   CNV            76657RAB2         429    2978.99 SH       SOLE       1           2978.99         0      0
COM USD0.001
RIO TINTO PLC ORD GBP0.10   CMN            767204100        1531      31288 SH       SOLE       2             31288         0      0
RIVERBED TECHNOLOGY INC     CMN            768573107         266      11331 SH       SOLE       2             11331         0      0
COM USD0.0001
ROBOTIC VISION SYS INC COM  CMN            771074309           0     378865 SH       SOLE       1            378865         0      0
NEW
ROSS STORES INC COM USD0.01 CMN            778296103         836      17594 SH       DEFINED    2                 0     17594      0
ROSS STORES INC COM USD0.01 CMN            778296103         422       8886 SH       DEFINED    1                 0      8886      0
ROVI CORP COM USD0.001      CNV            779376AB8         955    9565.05 SH       SOLE       1           9565.05         0      0
ROWAN COS INC COM USD0.125  CMN            779382100         427      14067 SH       SOLE       2             14067         0      0
ROYAL CARIBBEAN CRUISES     CMN            V7780T103         494      19935 SH       SOLE       2             19935         0      0
LTD COM USD0.01
RPC INC COM USD0.10         CMN            749660106         233      12749 SH       DEFINED    2                 0     12749      0
RPC INC COM USD0.10         CMN            749660106          31       1707 SH       DEFINED    1                 0      1707      0
RSC HOLDINGS INC COM STK    CMN            74972L102        1708      92350 SH       SOLE       2             92350         0      0
NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
RTI INTERNATIONAL METALS    CNV            74973WAA5        2646   26315.78 SH       SOLE       1          26315.78         0      0
INC COM USD0.01
RUSSELL EXCHANGE TRADED     CMN            782474696        8910     200000 SH       SOLE       1            200000         0      0
FDS TR LOW P/E ETF
RUSSELL EXCHANGE TRADED     CMN            782474480       12138     200000 SH       SOLE       1            200000         0      0
FDS TR SMALL CAP ETF
RYDER SYSTEM INC COM        CMN            783549108         205       3857 SH       SOLE       2              3857         0      0
USD0.50
S1 CORP COM USD0.01         CMN            78463B101         422      44074 SH       DEFINED    2                 0     44074      0
S1 CORP COM USD0.01         CMN            78463B101        6625     692246 SH       DEFINED    1                 0    692246      0
SAF T LOK INC COM   NEW     CMN            78636P201           0        130 SH       SOLE       1               130         0      0
SAFE BULKERS INC COM NPV    CMN            Y7388L103          60      10000 SH       SOLE       2             10000         0      0
SAKS INC COM USD0.10        CMN            79377W108        3828     392600 SH       DEFINED    2                 0    392600      0
SAKS INC COM USD0.10        CMN            79377W108         215      22000 SH       DEFINED    2                 0     22000      0
SAKS INC COM USD0.10        CNV            79377WAL2       28745  284461.15 SH       SOLE       1         284461.15         0      0
SALESFORCE.COM INC COM      CMN            79466L302       11835     116644 SH       DEFINED    2                 0    116644      0
USD0.001
SALESFORCE.COM INC COM      CMN            79466L302         501       4942 SH       DEFINED    2                 0      4942      0
USD0.001
SALESFORCE.COM INC COM      CNV            79466LAB0        6481   47514.73 SH       SOLE       1          47514.73         0      0
USD0.001
SANDERSON FARMS INC COM     CMN            800013104         595      11876 SH       SOLE       2             11876         0      0
USD1
SANDISK CORP COM USD0.001   CMN            80004C101       10844     220371 SH       DEFINED    2                 0    220371      0
SANDISK CORP COM USD0.001   CMN            80004C101         541      10990 SH       DEFINED    2                 0     10990      0
SANDISK CORP COM USD0.001   CMN            80004C101        3306      67175 SH       DEFINED    1                 0     67175      0
SANDISK CORP COM USD0.001   CNV            80004CAC5         617    6265.17 SH       SOLE       1           6265.17         0      0
SANDRIDGE ENERGY INC COM    CMN            80007P307         177      21680 SH       DEFINED    2                 0     21680      0
STK USD0.001
SANDRIDGE ENERGY INC COM    CMN            80007P307         408      50000 SH       DEFINED    1                 0     50000      0
STK USD0.001
SANITAS INC COM PAR $0.10   CMN            801036203           0        380 SH       SOLE       1               380         0      0
SARA LEE CORP USD0.01       CMN            803111103         264      13975 SH       SOLE       2             13975         0      0
SARATOGA RESOURCES INC      CMN            803521103         183      25000 SH       SOLE       2             25000         0      0
USD0.001
SAVIENT PHARMACEUTICALS     CNV            80517QAA8        1879   44637.05 SH       SOLE       1          44637.05         0      0
INC COM USD0.01
SCHLUMBERGER LTD COM        CMN            806857108         854      12507 SH       SOLE       2             12507         0      0
USD0.01
SCRIPPS NETWORKS            CMN            811065101         357       8413 SH       DEFINED    2                 0      8413      0
INTERACTIVE INC COM NPV
SCRIPPS NETWORKS            CMN            811065101          36        837 SH       DEFINED    1                 0       837      0
INTERACTIVE INC COM NPV
SEA CONTAINERS LTD  CL A    CMN            811371707           0     391636 SH       SOLE       1            391636         0      0
SEASPAN CORP COM STK        CMN            Y75638109         410      30000 SH       SOLE       2             30000         0      0
USD0.01
SEATTLE GENETICS INC COM    CMN            812578102         252      15067 SH       SOLE       2             15067         0      0
USD0.001
SECTOR SPDR TRUST AMEX      CMN            81369Y803          75       2964 SH       DEFINED    2                 0      2964      0
TECHNOLOGY SELECT IDX
SECTOR SPDR TRUST AMEX      CMN            81369Y803        1658      65130 SH       DEFINED    1                 0     65130      0
TECHNOLOGY SELECT IDX
SELECT SECTOR SPDR ENERGY   CMN            81369Y506         675       9765 SH       DEFINED    2                 0      9765      0
FUND SBI USD0.001 ENERGY
SELECT SECTOR SPDR ENERGY   CMN            81369Y506        8372     121100 SH       DEFINED    1                 0    121100      0
FUND SBI USD0.001 ENERGY
SELECT SECTOR SPDR SBI      CMN            81369Y407           6        150 SH       DEFINED    2                 0       150      0
CONSUMER DISCRETIONARY
SELECT SECTOR SPDR SBI      CMN            81369Y407        1680      43055 SH       DEFINED    1                 0     43055      0
CONSUMER DISCRETIONARY






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
SEMICONDUCTOR HLDRS TR DEP  CMN            816636203           0      34700 SH       SOLE       1             34700         0      0
RCPT
SEMICONDUCTOR HOLDRS TST    CMN            57060U233         225       7400 SH       SOLE       1              7400         0      0
DEP REC(20 SEMI COND COS)
SHAMAN PHARMACEUTICALS INC  CMN            819319500           0        121 SH       SOLE       1               121         0      0
COM PAR $.0001
SHANDA INTERACTIVE SPON     CMN            81941Q203        1087      27163 SH       SOLE       2             27163         0      0
ADR EA REP 2 ORD USD
SHIMODA RES HLDGS INC COM   CMN            82454P202           0         57 SH       SOLE       1                57         0      0
NEW
SHIRE PLC ORD GBP0.05       CMN            82481R106         206       1980 SH       SOLE       2              1980         0      0
SIGA TECHNOLOGIES INC COM   CMN            826917106         184      73000 SH       SOLE       2             73000         0      0
USD0.0001
SIGMA-ALDRICH CORP COM USD1 CMN            826552101         312       4998 SH       SOLE       2              4998         0      0
SILICON GRAPHICS    INC     CMN            827056102           0        287 SH       SOLE       1               287         0      0
SILVER WHEATON CORP COM NPV CMN            828336107        1010      34874 SH       SOLE       2             34874         0      0
SILVERCORP METALS INC COM   CMN            82835P103         241      37610 SH       SOLE       2             37610         0      0
NPV
SIMCERE PHARMACEUT SPONS    CMN            82859P104         132      14000 SH       SOLE       2             14000         0      0
ADR EA REP 2 ORD SHS
SINA CORP/CHINA ORD         CMN            G81477104        1140      21932 SH       SOLE       2             21932         0      0
USD0.133
SIRIUS XM RADIO INC COM     CMN            82967N108        1057     580639 SH       DEFINED    2                 0    580639      0
USD0.001
SIRIUS XM RADIO INC COM     CMN            82967N108          51      28158 SH       DEFINED    2                 0     28158      0
USD0.001
SIRIUS XM RADIO INC COM     CMN            82967N108           0        100 SH       DEFINED    1                 0       100      0
USD0.001
SIRIUS XM RADIO INC COM     CNV            98375YAU0      254714 1993066.66 SH       SOLE       1        1993066.66         0      0
USD0.001
SITI-SITES COM INC          CMN            82981P105           0        816 SH       SOLE       1               816         0      0
SIX FLAGS ENTMT CORP NEW    CMN            83001A102    5656.148     137152 SH       SOLE       4             99900         0  37252
SKF AB 'B SHARES'NON-VTG    CMN            784375404           0       4000 SH       SOLE       2              4000         0      0
SEK1.25
SKY-MOBI LTD 'MOBI LTD'NPV  CMN            83084G109          85      28000 SH       SOLE       2             28000         0      0
SL GREEN REALTY CORP COM    CNV            78444FAC0        1200   11653.65 SH       SOLE       1          11653.65         0      0
USD0.01
SMALL CAP BEAR 3X SHARES    CMN            25459W110        3027     114297 SH       SOLE       2            114297         0      0
SMALL CAP BEAR 3X SHARES
SMARTHEAT INC COM STK       CMN            83172F104           6      18500 SH       SOLE       2             18500         0      0
USD0.001
SMITHFIELD FOODS INC COM    CNV            832248AR9        5079    41613.4 SH       SOLE       1           41613.4         0      0
USD0.5
SOHU.COM INC COM USD0.001   CMN            83408W103         345       6890 SH       DEFINED    2                 0      6890      0
SOHU.COM INC COM USD0.001   CMN            83408W103          85       1700 SH       DEFINED    1                 0      1700      0
SOLUTIA INC/NEW COM STK     CMN            834376501         299      17308 SH       SOLE       2             17308         0      0
USD0.01
SONIC AUTOMOTIVE INC COM    CNV            83545GAQ5         296    2241.73 SH       SOLE       1           2241.73         0      0
USD0.01 CL'A'
SONOSITE INC COM USD0.01    CNV            83568GAA2        6725   45996.81 SH       SOLE       1          45996.81         0      0
SOUTHERN UNION CO COM USD1  CMN            844030106       20423     485001 SH       SOLE       2            485001         0      0
SOUTHWEST AIRLINES CO COM   CNV            00949PAD0        8532   66348.42 SH       SOLE       1          66348.42         0      0
USD1
SOUTHWEST AIRLINES CO COM   CMN            844741108         107      12500 SH       SOLE       2             12500         0      0
USD1
SOUTHWESTERN ENERGY CO      CMN            845467109         517      16178 SH       DEFINED    2                 0     16178      0
USD0.1
SOUTHWESTERN ENERGY CO      CMN            845467109          21        666 SH       DEFINED    1                 0       666      0
USD0.1
SPDR GOLD SHARES GOLD       CMN            78463V107       34238     225263 SH       DEFINED    2                 0    225263      0
SHARES NPV






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
SPDR GOLD SHARES GOLD       CMN            78463V107       40551     266800 SH       DEFINED    1                 0    266800      0
SHARES NPV
SPDR METALS & MINING ETF    CMN            78464A755         255       5200 SH       SOLE       1              5200         0      0
SPDR S&P METALS & MNG ETF
SPDR S&P 500 ETF TRUST      CMN            78462F103       32666     260286 SH       DEFINED    2                 0    260286      0
UNITS SER 1 NPV
SPDR S&P 500 ETF TRUST      CMN            78462F103         128       1022 SH       DEFINED    2                 0      1022      0
UNITS SER 1 NPV
SPDR S&P 500 ETF TRUST      CMN            78462F103      721316    5747541 SH       DEFINED    1                 0   5747541      0
UNITS SER 1 NPV
SPDR S&P DIVIDEND ETF       CMN            78464A763         242       4500 SH       SOLE       1              4500         0      0
DIVIDEND ETF
SPDR S&P MIDCAP 400 ETF     CMN            78467Y107        2675      16775 SH       SOLE       2             16775         0      0
TRUST UNIT SERIES 1
SPDR SERIES TRUST LEHMAN    CMN            78464A417         451      11724 SH       SOLE       2             11724         0      0
HIGH YIELD BD ETF
SPECTRA ENERGY CORP COM     CMN            847560109         307       9982 SH       SOLE       2              9982         0      0
STK USD0.001
SPECTRUM PHARMACEUTICALS    CMN            84763A108         300      20508 SH       SOLE       2             20508         0      0
INC COM USD0.001
SPRINT NEXTEL CORP COM      CMN            852061100         121      51531 SH       DEFINED    2                 0     51531      0
USD2 SERIE 1
SPRINT NEXTEL CORP COM      CMN            852061100         127      54170 SH       DEFINED    1                 0     54170      0
USD2 SERIE 1
STANLEY BLACK & DECKER INC  CMN            854502101         212       3133 SH       SOLE       2              3133         0      0
COM USD2.50
STANLEY BLACK & DECKER INC  CNV            854616AM1        3327   29987.43 SH       SOLE       1          29987.43         0      0
COM USD2.50
STAPLES INC COM STK         CMN            855030102         402      28972 SH       SOLE       2             28972         0      0
USD0.0006
STAR BULK CARRIERS CORP     CMN            Y8162K105           0      30000 SH       SOLE       2             30000         0      0
COM STK USD0.01
STARBUCKS CORP COM USD0.001 CMN            855244109         895      19463 SH       SOLE       2             19463         0      0
STARTER CORP COM            CMN            855684106           0        850 SH       SOLE       1               850         0      0
STARWOOD HOTELS & RESORTS   CMN            85590A401         311       6487 SH       SOLE       2              6487         0      0
COM STK USD0.01
STATE BANCORP INC/NY COM    CMN            855716106         995      81568 SH       SOLE       1             81568         0      0
USD5
STEEL DYNAMICS INC          CMN            858119100         339      25807 SH       DEFINED    1                 0     25807      0
STEEL DYNAMICS INC COM STK  CMN            858119100         134      10200 SH       DEFINED    2                 0     10200      0
USD0.01
STMICROELECTRONICS NV COM   CMN            861012102         890     150000 SH       SOLE       2            150000         0      0
EUR1.04 (NY REG)
STREETTRACKS GOLD TRUST     CMN            78463V107         151       1000 SH       DEFINED    2                 0      1000      0
GOLD SHARES NPV
STREETTRACKS SERIE SPDR     CMN            78464A888          67       3900 SH       DEFINED    2                 0      3900      0
HOMEBUILDERS ETF
STREETTRACKS SERIE SPDR     CMN            78464A888        2986     174620 SH       DEFINED    1                 0    174620      0
HOMEBUILDERS ETF
STREETTRACKS SPDR O&G       CMN            78464A730         969      18400 SH       SOLE       1             18400         0      0
EX&PRD
STRYKER CORP COM USD0.10    CMN            863667101         217       4364 SH       SOLE       2              4364         0      0
SUCCESSFACTORS INC USD0.001 CMN            864596101        6014     150840 SH       SOLE       2            150840         0      0
SULPHCO INC COM USD0.001    CMN            865378103           0      67200 SH       SOLE       2             67200         0      0
SUN HBR FINL RES    INC COM CMN            866916109           0          5 SH       SOLE       1                 5         0      0
SUNBEAM CORP COM            CMN            867071102           0       8000 SH       SOLE       1              8000         0      0
SUNCOR ENERGY INC COM NPV   CMN            867224107         246       8518 SH       SOLE       2              8518         0      0
SUNOCO INC COM USD1         CMN            86764P109          72       1748 SH       DEFINED    2                 0      1748      0
SUNOCO INC COM USD1         CMN            86764P109         222       5414 SH       DEFINED    1                 0      5414      0
SUNPOWER CORP COM USD0.001  CMN            867652406          66      10650 SH       SOLE       2             10650         0      0
CLASS'A'






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
SUNPOWER CORP COM USD0.001  CNV            867652AE9        2060   25432.75 SH       SOLE       1          25432.75         0      0
CLASS'A'
SUNTECH POWER HLDG SPONS    CMN            86800C104         196      88660 SH       SOLE       2             88660         0      0
ADR EA REPR 1 ORD SHS
SUNTRUST BANKS, INC COM     CMN            867914103         185      10449 SH       DEFINED    2                 0     10449      0
USD1
SUNTRUST BANKS, INC COM     CMN            867914103           0          3 SH       DEFINED    1                 0         3      0
USD1
SUPERIOR WELL SERVICES INC  CNV            86837X204        3647       4052 SH       SOLE       1              4052         0      0
PRF1000
SUPERVALU INC COM USD1      CMN            868536103          71       8686 SH       DEFINED    2                 0      8686      0
SUPERVALU INC COM USD1      CMN            868536103          49       5975 SH       DEFINED    1                 0      5975      0
SUREBEAM CORP CL A          CMN            86866R102           0         69 SH       SOLE       1                69         0      0
SYNOVUS FINANCIAL CORP COM  CMN            87161C105          17      12000 SH       SOLE       2             12000         0      0
STK USD1
SYSCO CORP COM USD1         CMN            871829107         635      21665 SH       DEFINED    2                 0     21665      0
SYSCO CORP COM USD1         CMN            871829107          87       2951 SH       DEFINED    1                 0      2951      0
T U INTL INC COM PAR $0.10  CMN            873054209           0        500 SH       SOLE       1               500         0      0
TAIWAN SEMICONDUCTOR        CMN            874039100       41427    3208895 SH       SOLE       2           3208895         0      0
MANUFACTURING CO LTD TWD10
TAKE-TWO INTERACTIVE        CMN            874054109        6819     503283 SH       DEFINED    2                 0    503283      0
SOFTWARE INC COM USD0.01
TAKE-TWO INTERACTIVE        CMN            874054109           9        686 SH       DEFINED    2                 0       686      0
SOFTWARE INC COM USD0.01
TAKE-TWO INTERACTIVE        CNV            874054AB5        2542   26191.72 SH       SOLE       1          26191.72         0      0
SOFTWARE INC COM USD0.01
TALBOTS INC COM USD0.01     CMN            874161102           3       1000 SH       DEFINED    2                 0      1000      0
TALBOTS INC COM USD0.01     CMN            874161102         196      73500 SH       DEFINED    1                 0     73500      0
TALISMAN ENERGY INC COM NPV CMN            87425E103         220      17250 SH       SOLE       2             17250         0      0
TAM SA PRF NPV              CMN            87484D103        6802     351549 SH       SOLE       1            351549         0      0
TANZANIAN ROYALTY           CMN            87600U104          72      30000 SH       SOLE       2             30000         0      0
EXPLORATION CORP COM NPV
TARGET CORP COM STK         CMN            87612E106        4745      92636 SH       DEFINED    2                 0     92636      0
USD0.0833
TARGET CORP COM STK         CMN            87612E106         737      14386 SH       DEFINED    2                 0     14386      0
USD0.0833
TARGET CORP COM STK         CMN            87612E106           4         70 SH       DEFINED    1                 0        70      0
USD0.0833
TARRAGON CORP COM           CMN            876287103           0       6845 SH       SOLE       1              6845         0      0
TBM HOLDING INC COM         CMN            872197108           0          2 SH       SOLE       1                 2         0      0
TBS INTERNATIONAL PLC COM   CMN            G8657Q104           3      20370 SH       SOLE       2             20370         0      0
USD0.01 CLASS 'A'
TELECOMMNS SYSTEMS COM      CMN            87929J103         118      50000 SH       SOLE       2             50000         0      0
USD0.01
TELEFONICA SA EUR1          CMN            879382208         443      25785 SH       SOLE       2             25785         0      0
TELEKOMUNIKASI INDONESIA    CMN            715684106         615      20000 SH       SOLE       2             20000         0      0
TBK PT SER'B'IDR250
TELEPHONE & DATA SYSTEMS    CMN            879433860        4263     179054 SH       SOLE       2            179054         0      0
INC SPECIAL COM USD0.01
TELLABS INC COM USD0.01     CMN            879664100         309      76370 SH       SOLE       2             76370         0      0
TEMPLE-INLAND INC COM USD1  CMN            879868107       11410     359838 SH       DEFINED    2                 0    359838      0
TEMPLE-INLAND INC COM USD1  CMN            879868107        4008     126400 SH       DEFINED    1                 0    126400      0
TEMPUR-PEDIC INTERNATIONAL  CMN            88023U101         872      16593 SH       DEFINED    2                 0     16593      0
INC COM USD0.01
TEMPUR-PEDIC INTERNATIONAL  CMN            88023U101          32        610 SH       DEFINED    1                 0       610      0
INC COM USD0.01
TENARIS SA USD1             CMN            88031M109         444      11950 SH       SOLE       2             11950         0      0
TERADATA CORP COM STK       CMN            88076W103         400       8250 SH       DEFINED    2                 0      8250      0
USD0.01
TERADATA CORP COM STK       CMN            88076W103          30        614 SH       DEFINED    1                 0       614      0
USD0.01






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
TERADYNE INC COM USD0.125   CMN            880770102       10944     802907 SH       DEFINED    2                 0    802907      0
TERADYNE INC COM USD0.125   CMN            880770102         275      20196 SH       DEFINED    2                 0     20196      0
TEREX CORP COM USD0.01      CNV            880779AV5        8212   73846.15 SH       SOLE       1          73846.15         0      0
TESLA MOTORS INC USD0.001   CMN            88160R101         208       7290 SH       DEFINED    2                 0      7290      0
TESLA MOTORS INC USD0.001   CMN            88160R101          60       2095 SH       DEFINED    2                 0      2095      0
TESLA MOTORS INC USD0.001   CMN            88160R101         348      12200 SH       DEFINED    1                 0     12200      0
TESORO CORP COM USD0.1666   CMN            881609101         543      23225 SH       DEFINED    2                 0     23225      0
TESORO CORP COM USD0.1666   CMN            881609101          33       1395 SH       DEFINED    1                 0      1395      0
TEVA PHARMACEUTICAL IND     CMN            881624209        1903      47161 SH       SOLE       2             47161         0      0
LTD ILS0.1 (POST CONS)
TEVA PHARMACEUTICAL IND     CNV            88163VAE9       15741  152268.17 SH       SOLE       1         152268.17         0      0
LTD ILS0.1 (POST CONS)
TEXAS INSTRUMENTS INC COM   CMN            882508104          68       2346 SH       DEFINED    2                 0      2346      0
USD1
TEXAS INSTRUMENTS INC COM   CMN            882508104        8126     279150 SH       DEFINED    1                 0    279150      0
USD1
TEXTRON INC COM STK         CMN            883203101       12643     683781 SH       DEFINED    2                 0    683781      0
USD0.125
TEXTRON INC COM STK         CMN            883203101         166       8967 SH       DEFINED    2                 0      8967      0
USD0.125
TEXTRON INC COM STK         CNV            883203BN0       61128  398095.23 SH       SOLE       1         398095.23         0      0
USD0.125
THE CHARLES SCHWAB          CMN            808513105         371      32960 SH       SOLE       2             32960         0      0
CORPORATION COM USD0.01
THE GOLDMAN SACHS GROUP,    CMN            38141G104       11064     122348 SH       DEFINED    2                 0    122348      0
INC COM USD0.01
THE GOLDMAN SACHS GROUP,    CMN            38141G104        5238      57928 SH       DEFINED    2                 0     57928      0
INC COM USD0.01
THE GOLDMAN SACHS GROUP,    CMN            38141G104        1214      13424 SH       DEFINED    1                 0     13424      0
INC COM USD0.01
THERAVANCE INC COM STK      CNV            88338TAA2       11126  104367.99 SH       SOLE       1         104367.99         0      0
USD0.01
THERMO ELECTRON CORP COM    CMN            883556102         686      15249 SH       SOLE       2             15249         0      0
USD1
TIANRONG BUILDING MATERIAL  CMN            886305101           0       1500 SH       SOLE       1              1500         0      0
USD0.02
TIBCO SOFTWARE INC COM      CMN            88632Q103         234       9800 SH       SOLE       2              9800         0      0
USD0.001
TIFFANY & CO COM USD0.01    CMN            886547108         682      10289 SH       DEFINED    2                 0     10289      0
TIFFANY & CO COM USD0.01    CMN            886547108          18        266 SH       DEFINED    1                 0       266      0
TIME WARNER CABLE INC       CMN            88732J207         331       5202 SH       SOLE       2              5202         0      0
'A'USD0.01
TIME WARNER INC USD0.01     CMN            887317303         929      25712 SH       DEFINED    2                 0     25712      0
TIME WARNER INC USD0.01     CMN            887317303          15        410 SH       DEFINED    1                 0       410      0
TJX COS INC COM USD1        CMN            872540109         602       9331 SH       DEFINED    2                 0      9331      0
TJX COS INC COM USD1        CMN            872540109         884      13700 SH       DEFINED    1                 0     13700      0
TOTAL SA EUR2.5             CMN            89151E109         207       4050 SH       SOLE       2              4050         0      0
TOTALAXCESS COM INC COM NEW CMN            89151J207           0        333 SH       SOLE       1               333         0      0
TOYOTA MOTOR CORP NPV       CMN            892331307         244       3690 SH       SOLE       2              3690         0      0
TRACKER CORP OF             CMN            89234G105           0      50000 SH       SOLE       1             50000         0      0
AMERICA/THE COM USD0.001
TRACTOR SUPPLY CO COM       CMN            892356106         158       2258 SH       DEFINED    2                 0      2258      0
USD0.008
TRACTOR SUPPLY CO COM       CMN            892356106         384       5480 SH       DEFINED    1                 0      5480      0
USD0.008
TRANS GLOBAL SVCS INC COM   CMN            892916503           0        749 SH       SOLE       1               749         0      0
NEW
TRANSATLANTIC HOLDINGS INC  CMN            893521104        3581      65432 SH       DEFINED    2                 0     65432      0
COM USD1
TRANSATLANTIC HOLDINGS INC  CMN            893521104        4005      73185 SH       DEFINED    1                 0     73185      0
COM USD1






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
TRANSOCEAN LTD/SWITZERLAND  CMN            H8817H100         812      21163 SH       SOLE       2             21163         0      0
CHF15
TRAVELZOO INC COM USD0.01   CMN            89421Q106         689      28036 SH       SOLE       2             28036         0      0
TRIANGLE HOME PRODS INC     CMN            895858108           0        225 SH       SOLE       1               225         0      0
DEL COM
TRINA SOLAR LIMITE ADR REP  CMN            89628E104         282      42165 SH       SOLE       2             42165         0      0
50 ORD USD0.00001
TRINITY INDUSTRIES INC COM  CMN            896522109          48       1613 SH       DEFINED    2                 0      1613      0
USD1
TRINITY INDUSTRIES INC COM  CMN            896522109         296       9855 SH       DEFINED    1                 0      9855      0
USD1
TRIPADVISOR INC 'W/I'NPV    CMN            896945201          43       1708 SH       DEFINED    2                 0      1708      0
TRIPADVISOR INC 'W/I'NPV    CMN            896945201        1601      63494 SH       DEFINED    1                 0     63494      0
TTM TECHNOLOGIES INC COM    CMN            87305R109          44       4000 SH       DEFINED    2                 0      4000      0
NPV
TTM TECHNOLOGIES INC COM    CMN            87305R109         264      24100 SH       DEFINED    1                 0     24100      0
NPV
TULLY'S COFFEE CORP COM     CMN            899432405           0         75 SH       SOLE       1                75         0      0
STK NPV
TUPPERWARE BRANDS CORP COM  CMN            899896104         181       3234 SH       DEFINED    2                 0      3234      0
USD0.01
TUPPERWARE BRANDS CORP COM  CMN            899896104          32        572 SH       DEFINED    1                 0       572      0
USD0.01
TW TELECOM INC              CNV            887319AC5        8945   76124.56 SH       SOLE       1          76124.56         0      0
CLASS'A'USD0.01
TYCO INTERNATIONAL LTD      CMN            H89128104         283       6061 SH       SOLE       2              6061         0      0
CHF6.7
TYSON FOODS INC             CMN            902494103         882      42725 SH       SOLE       2             42725         0      0
CLASS'A'COM USD0.10
TYSON FOODS INC             CNV            902494AP8       19506  147214.64 SH       SOLE       1         147214.64         0      0
CLASS'A'COM USD0.10
ULTRA PETROLEUM CORP COM    CMN            903914109         573      19325 SH       SOLE       2             19325         0      0
NPV
ULTRASHORT FINS PROSHA      CMN            74347X146         587       9889 SH       SOLE       2              9889         0      0
ULTRASHORT FINANCIALS
PROSH
ULTRASHORT LEHMAN 20+ YEAR  CMN            74347R297        2483     137389 SH       SOLE       2            137389         0      0
ULTRASHORT LEHMAN 20+ YEAR
UNISOURCE ENERGY NPV COM    CMN            909205106          78       2109 SH       DEFINED    2                 0      2109      0
NPV
UNISOURCE ENERGY NPV COM    CMN            909205106         207       5617 SH       DEFINED    1                 0      5617      0
NPV
UNITED STATES NATURAL GAS   CMN            912318110        1625     251606 SH       SOLE       2            251606         0      0
FUND LP UNIT
UNITED STATES STEEL CORP    CMN            912909108         601      22723 SH       SOLE       2             22723         0      0
COM USD1
UNITED STATES STEEL CORP    CNV            912909AE8        4982   45082.35 SH       SOLE       1          45082.35         0      0
COM USD1
UNITED TECHNOLOGIES CORP    CMN            913017109        1066      14589 SH       DEFINED    2                 0     14589      0
COM USD1
UNITED TECHNOLOGIES CORP    CMN            913017109         397       5435 SH       DEFINED    1                 0      5435      0
COM USD1
UNITED THERAPEUTICS CORP    CNV            91307CAE2         574    4948.62 SH       SOLE       1           4948.62         0      0
COM USD0.01
UNITEDHEALTH GROUP INC COM  CMN            91324P102         474       9347 SH       SOLE       2              9347         0      0
USD0.01
UNIVERSAL CORP 6.75% PERP   CNV            913456307        6310       5925 SH       SOLE       1              5925         0      0
PFD CONV 15/03/
URANERZ ENERGY CORP COM     CMN            91688T104          73      40137 SH       SOLE       2             40137         0      0
USD0.001






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
URANIUM ENERGY CORP COM     CMN            916896103          80      26000 SH       SOLE       2             26000         0      0
USD0.001
URANIUM RESOURCES INC COM   CMN            916901507          12      16008 SH       SOLE       2             16008         0      0
STK USD0.001
US AIRWAYS GROUP    INC COM CMN            911905107           0       2449 SH       SOLE       1              2449         0      0
US AIRWAYS GROUP INC/NEW    CMN            90341W108          58      11453 SH       SOLE       2             11453         0      0
COM STK USD0.01
US BANCORP INC COM USD0.01  CMN            902973304        1304      48194 SH       DEFINED    2                 0     48194      0
US BANCORP INC COM USD0.01  CMN            902973304         378      13985 SH       DEFINED    1                 0     13985      0
USA BROADBAND INC   COM     CMN            90335P101           0       4290 SH       SOLE       1              4290         0      0
USEC INC COM USD0.10        CMN            90333E108          87      76500 SH       SOLE       2             76500         0      0
USEC INC COM USD0.10        CNV            90333EAC2         400       8364 SH       SOLE       2              8364         0      0
UTD RENTALS INC COM USD0.01 CNV            911363AL3       50932  185376.82 SH       SOLE       1         185376.82         0      0
UTD STS OIL FD LP UNITS     CMN            91232N108         482      12660 SH       DEFINED    2                 0     12660      0
UTD STS OIL FD LP UNITS     CMN            91232N108        1253      32873 SH       DEFINED    2                 0     32873      0
VALE SA COM NPV             CMN            91912E105       41360    1928209 SH       DEFINED    2                 0   1928209      0
VALE SA COM NPV             CMN            91912E105        2271     105893 SH       DEFINED    2                 0    105893      0
VALENCE TECHNOLOGY INC COM  CMN            918914102          14      14000 SH       SOLE       2             14000         0      0
USD0.001
VALERO ENERGY CORP COM      CMN            91913Y100         677      32156 SH       SOLE       2             32156         0      0
USD0.01
VANGUARD MSCI EMERGING      CMN            922042858          21        542 SH       DEFINED    2                 0       542      0
MARKETS FUND
VANGUARD MSCI EMERGING      CMN            922042858         252       6600 SH       DEFINED    1                 0      6600      0
MARKETS FUND
VCA ANTECH INC COM USD0.001 CMN            918194101         602      30484 SH       SOLE       2             30484         0      0
VECTOR DEV INC COM          CMN            92239E109           0       2500 SH       SOLE       1              2500         0      0
VELOCITYSHARES DAILY        CMN            22542D795        2213     340000 SH       SOLE       2            340000         0      0
INVERSE VIX SHORT TERM ETN
'TM'ETP NPV
VELTI PLC ORD GBP0.05       CMN            G93285107         762     112098 SH       DEFINED    2                 0    112098      0
VELTI PLC ORD GBP0.05       CMN            G93285107         258      37920 SH       DEFINED    2                 0     37920      0
VERENIUM CORP USD0.001      CMN            92340P209         109      50000 SH       SOLE       2             50000         0      0
VERIFONE SYSTEMS INC COM    CNV            92342YAB5        5596   54752.81 SH       SOLE       1          54752.81         0      0
USD0.01
VERIZON COMMUNICATIONS INC  CMN            92343V104          38        943 SH       DEFINED    2                 0       943      0
COM USD0.10
VERIZON COMMUNICATIONS INC  CMN            92343V104         664      16554 SH       DEFINED    2                 0     16554      0
COM USD0.10
VERTEX PHARMACEUTICALS INC  CMN            92532F100         414      12474 SH       SOLE       2             12474         0      0
COM USD0.01
VF CORP COM NPV             CMN            918204108         438       3453 SH       SOLE       2              3453         0      0
VIACOM INC NEW CL'B'        CMN            92553P201         812      17871 SH       DEFINED    2                 0     17871      0
NON-VTG USD0.001
VIACOM INC NEW CL'B'        CMN            92553P201        1268      27927 SH       DEFINED    1                 0     27927      0
NON-VTG USD0.001
VIDEOLAN TECHNOLOGIES INC   CMN            926919309           0        125 SH       SOLE       1               125         0      0
COM NEW
VIRGIN MEDIA INC COM STK    CNV            92769LAB7       28814  208116.54 SH       SOLE       1         208116.54         0      0
USD0.01
VIROPHARMA INC COM USD0.002 CNV            928241AH1        8339   52994.17 SH       SOLE       1          52994.17         0      0
VISA INC USD0.0001          CMN            92826C839         576       5675 SH       DEFINED    2                 0      5675      0
VISA INC USD0.0001          CMN            92826C839          40        393 SH       DEFINED    1                 0       393      0
VISHAY INTERTECHNOLOGY INC  CNV            928298AG3        7941   97676.86 SH       SOLE       1          97676.86         0      0
COM USD0.10
VISHAY PRECISION GROUP INC  CMN            9289990A0         209     467164 SH       SOLE       1            467164         0      0
COM NPV
VISHAY PRECISION GROUP INC  CMN            9289990B8           5     121698 SH       SOLE       1            121698         0      0
COM NPV
VISTEON CORP                CMN            92839U206    8143.916     163074 SH       SOLE       4            124640         0  38434






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
VMWARE INC COM STK USD0.01  CMN            928563402         365       4388 SH       SOLE       2              4388         0      0
CLASS 'A'
VODAFONE GROUP PLC ORD      CMN            92857W209         580      20680 SH       SOLE       2             20680         0      0
USD0.11428571
VORNADO REALTY TRUST COM    CNV            929043AC1        4628   45371.11 SH       SOLE       1          45371.11         0      0
USD0.04
VULCAN MATERIALS CO COM     CMN            929160109         253       6427 SH       SOLE       2              6427         0      0
STK USD1
WADDELL & REED FINANCIAL    CMN            930059100         263      10614 SH       DEFINED    2                 0     10614      0
INC CL A COM USD0.01
WADDELL & REED FINANCIAL    CMN            930059100          30       1226 SH       DEFINED    1                 0      1226      0
INC CL A COM USD0.01
WALGREEN CO COM USD0.078125 CMN            931422109        3665     110846 SH       DEFINED    2                 0    110846      0
WALGREEN CO COM USD0.078125 CMN            931422109         831      25133 SH       DEFINED    2                 0     25133      0
WAL-MART STORES INC COM     CMN            931142103        2576      43110 SH       SOLE       2             43110         0      0
USD0.10
WALT DISNEY CO/THE DISNEY   CMN            254687106        1749      46645 SH       DEFINED    2                 0     46645      0
COM USD0.01
WALT DISNEY CO/THE DISNEY   CMN            254687106         915      24407 SH       DEFINED    1                 0     24407      0
COM USD0.01
WALTER ENERGY INC COM       CMN            93317Q105        4498      74278 SH       SOLE       2             74278         0      0
USD0.01
WEATHERFORD INTERNATIONAL   CMN            H27013103         209      14306 SH       SOLE       2             14306         0      0
LTD COM USD1
WEBLINK WIRELESS INC CL A   CMN            94769A101           0       1000 SH       SOLE       1              1000         0      0
WEIGHT WATCHERS             CMN            948626106         318       5775 SH       DEFINED    2                 0      5775      0
INTERNATIONAL INC COM NPV
WEIGHT WATCHERS             CMN            948626106          31        567 SH       DEFINED    1                 0       567      0
INTERNATIONAL INC COM NPV
WELLPOINT INC COM USD0.01   CMN            94973V107          34        515 SH       DEFINED    2                 0       515      0
WELLPOINT INC COM USD0.01   CMN            94973V107         433       6539 SH       DEFINED    1                 0      6539      0
WELLS FARGO & CO COM USD1   CMN            949746101        2720      98701 SH       DEFINED    2                 0     98701      0
2/3
WELLS FARGO & CO COM USD1   CMN            949746101           7        266 SH       DEFINED    1                 0       266      0
2/3
WENDT-BRISTOL HEALTH SVCS   CMN            95058J109           0        137 SH       SOLE       1               137         0      0
CORP COM
WESTERN REFINING INC COM    CNV            959319AC8       25422   177407.4 SH       SOLE       1          177407.4         0      0
STK USD0.01
WESTPORT INNOVATIONS INC    CMN            960908309         326       9800 SH       SOLE       2              9800         0      0
COM NPV
WHIRLPOOL CORP COM USD1     CMN            963320106         208       4391 SH       DEFINED    2                 0      4391      0
WHIRLPOOL CORP COM USD1     CMN            963320106          66       1400 SH       DEFINED    1                 0      1400      0
WHITEHALL ENTERPRISES INC   CMN            965042104           0      28000 SH       SOLE       1             28000         0      0
USD0.0001
WHOLE FOODS MARKET INC COM  CMN            966837106         234       3358 SH       DEFINED    2                 0      3358      0
NPV
WHOLE FOODS MARKET INC COM  CMN            966837106          80       1144 SH       DEFINED    1                 0      1144      0
NPV
WINN-DIXIE STORES INC COM   CMN            974280307          68       7277 SH       DEFINED    2                 0      7277      0
STK USD1
WINN-DIXIE STORES INC COM   CMN            974280307        1002     106800 SH       DEFINED    1                 0    106800      0
STK USD1
WINSTAR COMMUNICATIONS INC  CMN            975515107           0        382 SH       SOLE       1               382         0      0
COM
WISDOMTREE CHINA YUAN FUND  CMN            97717W182         566      22460 SH       SOLE       2             22460         0      0
WISDOMTREE CHINA YUAN FUND
WISDOMTREE INDIA EARNINGS   CMN            97717W422         521      33420 SH       DEFINED    2                 0     33420      0
FUND INDIA EARNINGS FUND
WISDOMTREE INDIA EARNINGS   CMN            97717W422          30       1900 SH       DEFINED    1                 0      1900      0
FUND INDIA EARNINGS FUND






                                                  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
--------------------------- -------------- --------- ----------- ---------- --- ---- ---------- -------- ---------- --------- ------
                                                                                             
WORLDCOM INC GA NEW         CMN            98157D106           0         12 SH       SOLE       1                12         0      0
WRLDCOM GP COM
WORLDCOM INC-MCI    GROUP   CMN            98157D304           0         13 SH       SOLE       1                13         0      0
WYNDHAM WORLDWIDE CORP COM  CMN            98310W108        4852     128271 SH       DEFINED    2                 0    128271      0
STK USD0.01
WYNDHAM WORLDWIDE CORP COM  CMN            98310W108         138       3650 SH       DEFINED    2                 0      3650      0
STK USD0.01
WYNN RESORTS LTD COM        CMN            983134107        2128      19260 SH       SOLE       2             19260         0      0
USD0.01
XEROX CORP COM USD1         CMN            984121103         177      22227 SH       SOLE       2             22227         0      0
XILINX INC COM USD0.01      CMN            983919101         322      10033 SH       SOLE       2             10033         0      0
XILINX INC COM USD0.01      CNV            983919AD3       35533  312924.54 SH       SOLE       1         312924.54         0      0
XINYUAN REAL ESTATE CO LTD  CMN            98417P105        2608    1490012 SH       SOLE       2           1490012         0      0
ADR EACH REPR 2 ORD SHS
XO COMMUNICATIONS INC CL A  CMN            983764101           0        336 SH       SOLE       1               336         0      0
XOMA LTD ORD USD0.0005      CMN            G9825R206          22      18966 SH       SOLE       2             18966         0      0
XYLEM INC/NY 'W/I'NPV       CMN            98419M100           3         99 SH       DEFINED    2                 0        99      0
XYLEM INC/NY 'W/I'NPV       CMN            98419M100         206       8000 SH       DEFINED    1                 0      8000      0
YAHOO INC COM USD0.001      CMN            984332106        3778     234232 SH       DEFINED    1                 0    234232      0
YAHOO! INC COM USD0.001     CMN            984332106      165210   10242434 SH       DEFINED    2                 0  10242434      0
YAHOO! INC COM USD0.001     CMN            984332106        2580     159955 SH       DEFINED    2                 0    159955      0
YAMANA GOLD INC COM NPV     CMN            98462Y100         227      15451 SH       SOLE       2             15451         0      0
YANDEX NV COM NPV           CMN            N97284108         888      45091 SH       SOLE       2             45091         0      0
YINGLI GREEN ENERG ADR      CMN            98584B103         438     115270 SH       SOLE       2            115270         0      0
EACH REP 1 ORD SHS
YUM! BRANDS INC COM NPV     CMN            988498101         702      11904 SH       DEFINED    2                 0     11904      0
YUM! BRANDS INC COM NPV     CMN            988498101          35        594 SH       DEFINED    1                 0       594      0
ZAGG INC COM USD0.001       CMN            98884U108         119      16790 SH       SOLE       2             16790         0      0
ZALICUS INC COM STK         CMN            98887C105         138     114400 SH       SOLE       2            114400         0      0
USD0.001
ZYNGA INC COM NPV           CMN            98986T108           4        400 SH       DEFINED    2                 0       400      0
ZYNGA INC COM NPV           CMN            98986T108        8940     950000 SH       DEFINED    1                 0    950000      0