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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: December 31, 2011


Check here if Amendment [ ];


  This Amendment (Check only one.):      [ ] is a restatement.
                                         [ ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 180 Maiden Lane

         New York, New York 10038


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Monika M. Machon

Title: Senior Vice President

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Monika M. Machon               New York, New York        February 9, 2012
-------------------------------    ------------------------  -----------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

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

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

[ ] 13F COMBINATION REPORT.  (Check 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).)






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 8,094

Form 13F Information Table Value Total: $9,130,100 (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 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         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

2         28-11910                 FSC SECURITIES CORPORATION

3         28-12857                 SAGEPOINT FINANCIAL, INC.

4         28-14431                 ROYAL ALLIANCE ASSOCIATES, INC.


                            13F SECURITIES - 4Q 2011



                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
1 800 FLOWERS.COM INC CL A      COM         68243Q106      41,758    18,981  SH      SOLE        1       18,981
14OMED REALTY TRUST INC         COM         09063H107   2,266,165   125,341  SH      SOLE        1      125,341
1ST CONSTITUTION BANCORP        COM         31986N102      60,042     8,602  SH      DEFINED     4                            8,602
1ST SOURCE CORP                 COM         336901103     281,467    11,112  SH      SOLE        1       11,112
1ST UNITED BANCORP INC/NOR      COM         33740N105     110,367    19,886  SH      SOLE        1       19,886
3-D SYS CORP DEL                COM         88554D205       2,880       200  SH      DEFINED     4                              200
3D SYSTEMS CORP                 COM         88554D205     440,813    30,612  SH      SOLE        1       30,612
3M CO                           COM         88579Y101  17,053,864   208,661  SH      SOLE        1      208,661
3M CO                           COM         88579Y101     444,529     5,439  SH      DEFINED     2                            5,439
3M CO                           COM         88579Y101     421,729     5,160  SH      DEFINED     3                            5,160
3M CO                           COM         88579Y101     155,859     1,907  SH      DEFINED     4                            1,907
3SBIO INC                       COM         88575Y105       4,783       468  SH      DEFINED     4                              468
7 DAYS GROUP HLDGS LTD          COM         81783J101       3,635       326  SH      DEFINED     4                              326
8X8 INC                         COM         282914100     143,810    45,366  SH      SOLE        1       45,366
99 CENTS ONLY STORES            COM         65440K106   3,005,196   136,911  SH      SOLE        1      136,911
A123 SYS INC                    COM         03739T108       4,428     2,750  SH      DEFINED     2                            2,750
A123 SYS INC                    COM         03739T108         805       500  SH      DEFINED     3                              500
A123 SYS INC                    COM         03739T108         161       100  SH      DEFINED     4                              100
A123 SYSTEMS INC                COM         03739T108     103,831    64,491  SH      SOLE        1       64,491
AAON INC                        COM         000360206     313,456    15,298  SH      SOLE        1       15,298
AAR CORP                        COM         000361105     619,287    32,305  SH      SOLE        1       32,305
AARON S INC                     COM         002535300   4,414,713   165,469  SH      SOLE        1      165,469
ABAXIS INC                      COM         002567105     505,725    18,277  SH      SOLE        1       18,277
ABB LTD                         COM         000375204      15,064       800  SH      DEFINED     2                              800
ABB LTD                         COM         000375204      15,064       800  SH      DEFINED     3                              800
ABB LTD                         COM         000375204      30,128     1,600  SH      DEFINED     4                            1,600
ABBOTT LABORATORIES             COM         002824100  28,385,860   504,817  SH      SOLE        1      504,817
ABBOTT LABS                     COM         002824100   3,375,560    60,031  SH      DEFINED     2                           60,031
ABBOTT LABS                     COM         002824100   1,506,552    26,793  SH      DEFINED     3                           26,793
ABBOTT LABS                     COM         002824100   1,612,591    28,678  SH      DEFINED     4                           28,678
ABERCROMBIE & FITCH CO          COM         002896207       1,319        27  SH      DEFINED     3                               27
ABERCROMBIE + FITCH CO CL       COM         002896207   1,339,095    27,418  SH      SOLE        1       27,418
ABERDEEN ASIA PACIFIC INCOM     COM         003009107      49,573     6,763  SH      DEFINED     3                            6,763
ABERDEEN ASIA PACIFIC INCOM     COM         003009107      13,338     1,820  SH      DEFINED     4                            1,820
ABERDEEN AUSTRALIA EQTY FD I    COM         003011103      25,132     2,777  SH      DEFINED     3                            2,777
ABERDEEN CHILE FD INC           COM         00301W105      72,357     4,811  SH      DEFINED     4                            4,811
ABERDEEN GLOBAL INCOME FD IN    COM         003013109      14,178     1,020  SH      DEFINED     4                            1,020
ABERDEEN ISRAEL FUND INC        COM         00301L109       3,761       295  SH      DEFINED     2                              295
ABERDEEN ISRAEL FUND INC        COM         00301L109      12,750     1,000  SH      DEFINED     3                            1,000
ABERDEEN LATIN AMER EQTY FD     COM         00306K106       8,202       273  SH      DEFINED     3                              273
ABIOMED INC                     COM         003654100     427,285    23,134  SH      SOLE        1       23,134
ABITIBIBOWATER INC              COM         003687209       1,702       117  SH      DEFINED     2                              117
ABM INDUSTRIES INC              COM         000957100     881,917    42,770  SH      SOLE        1       42,770
ABOVENET INC                    COM         00374N107   1,102,050    16,952  SH      SOLE        1       16,952
ABOVENET INC                    COM         00374N107      72,486     1,115  SH      DEFINED     3                            1,115
ABRAXAS PETE CORP               COM         003830106      33,000    10,000  SH      DEFINED     2                           10,000
ABRAXAS PETE CORP               COM         003830106       6,600     2,000  SH      DEFINED     4                            2,000
ABRAXAS PETROLEUM CORP          COM         003830106     198,330    60,100  SH      SOLE        1       60,100
ACACIA RESEARCH ACACIA T        COM         003881307   1,140,536    31,239  SH      SOLE        1       31,239
ACADIA REALTY TRUST             COM         004239109     698,798    34,697  SH      SOLE        1       34,697
ACCELRYS INC                    COM         00430U103     271,858    40,455  SH      SOLE        1       40,455
ACCENTURE PLC CL A              COM         G1151C101  13,865,989   260,492  SH      SOLE        1      260,492
ACCENTURE PLC IRELAND           COM         G1151C101      24,805       466  SH      DEFINED     2                              466
ACCENTURE PLC IRELAND           COM         G1151C101      24,699       464  SH      DEFINED     3                              464
ACCENTURE PLC IRELAND           COM         G1151C101       5,323       100  SH      DEFINED     4                              100
ACCO BRANDS CORP                COM         00081T108     388,721    40,282  SH      SOLE        1       40,282
ACCO BRANDS CORP                COM         00081T108       4,825       500  SH      DEFINED     3                              500
ACCRETIVE HEALTH INC            COM         00438V103     671,522    29,222  SH      SOLE        1       29,222
ACCURAY INC                     COM         004397105     211,255    49,942  SH      SOLE        1       49,942
ACCURIDE CORP                   COM         00439T206     210,332    29,541  SH      SOLE        1       29,541
ACE LTD                         COM         H0023R105  12,103,624   172,613  SH      SOLE        1      172,613
ACE LTD                         COM         H0023R105      63,809       910  SH      DEFINED     3                              910
ACETO CORP                      COM         004446100     134,157    19,443  SH      SOLE        1       19,443
ACHILLION PHARMACEUTICALS       COM         00448Q201     263,972    34,642  SH      SOLE        1       34,642
ACI WORLDWIDE INC               COM         004498101   2,781,144    97,107  SH      SOLE        1       97,107
ACME PACKET INC                 COM         004764106  11,299,429   365,559  SH      SOLE        1      365,559
ACME PACKET INC                 COM         004764106       1,700        55  SH      DEFINED     2                               55
ACME PACKET INC                 COM         004764106       1,051        34  SH      DEFINED     3                               34
ACORDA THERAPEUTICS INC         COM         00484M106     687,116    28,822  SH      SOLE        1       28,822
ACTIVE NETWORK INC/THE          COM         00506D100     122,101     8,978  SH      SOLE        1        8,978
ACTIVE POWER INC                COM         00504W100      38,562    58,427  SH      SOLE        1       58,427
ACTIVISION BLIZZARD INC         COM         00507V109     920,082    74,682  SH      SOLE        1       74,682
ACTIVISION BLIZZARD INC         COM         00507V109      25,256     2,050  SH      DEFINED     3                            2,050
ACTIVISION BLIZZARD INC         COM         00507V109      19,145     1,554  SH      DEFINED     4                            1,554
ACTUANT CORP A                  COM         00508X203   1,268,825    55,920  SH      SOLE        1       55,920
ACTUATE CORP                    COM         00508B102     162,791    27,780  SH      SOLE        1       27,780
ACUITY BRANDS INC               COM         00508Y102   6,515,290   122,930  SH      SOLE        1      122,930
ACUITY BRANDS INC               COM         00508Y102       3,180        60  SH      DEFINED     2                               60
ACURA PHARMACEUTICALS INC       COM         00509L703      27,424     7,858  SH      SOLE        1        7,858
ACXIOM CORP                     COM         005125109   2,798,166   229,170  SH      SOLE        1      229,170
ADAMS EXPRESS CO                COM         006212104      16,937     1,757  SH      DEFINED     3                            1,757
ADECOAGRO S A                   COM         L00849106      16,540     2,000  SH      DEFINED     2                            2,000
ADECOAGRO S A                   COM         L00849106       4,135       500  SH      DEFINED     4                              500
ADMINISTRADORA FONDOS PENSIO    COM         00709P108       6,542       100  SH      DEFINED     3                              100
ADMINISTRADORA FONDOS PENSIO    COM         00709P108      11,449       175  SH      DEFINED     4                              175
ADOBE SYS INC                   COM         00724F101       9,470       335  SH      DEFINED     2                              335
ADOBE SYS INC                   COM         00724F101       4,325       153  SH      DEFINED     3                              153
ADOBE SYS INC                   COM         00724F101      34,207     1,210  SH      DEFINED     4                            1,210
ADOBE SYSTEMS INC               COM         00724F101   5,541,627   196,025  SH      SOLE        1      196,025
ADTRAN INC                      COM         00738A106   5,589,673   185,334  SH      SOLE        1      185,334
ADVANCE AMERICA CASH ADVAN      COM         00739W107     360,121    40,237  SH      SOLE        1       40,237
ADVANCE AUTO PARTS INC          COM         00751Y106  11,030,367   158,414  SH      SOLE        1      158,414
ADVANCE AUTO PARTS INC          COM         00751Y106       6,963       100  SH      DEFINED     2                              100
ADVANCE AUTO PARTS INC          COM         00751Y106      13,926       200  SH      DEFINED     3                              200
ADVANCED ANALOGIC TECHNOLO      COM         00752J108     181,405    31,385  SH      SOLE        1       31,385
ADVANCED ENERGY INDUSTRIES      COM         007973100     381,548    35,559  SH      SOLE        1       35,559
ADVANCED MICRO DEVICES          COM         007903107   1,897,538   351,396  SH      SOLE        1      351,396
ADVANCED MICRO DEVICES INC      COM         007903107      39,118     7,244  SH      DEFINED     2                            7,244
ADVANCED MICRO DEVICES INC      COM         007903107      27,864     5,160  SH      DEFINED     3                            5,160
ADVANCED MICRO DEVICES INC      COM         007903107      11,880     2,200  SH      DEFINED     4                            2,200
ADVANCED MICRO DEVICES INC      COM         007903907          18        18  SH  C   DEFINED     2                               18
ADVANTAGE OIL & GAS LTD         COM         00765F101      11,592     2,800  SH      DEFINED     2                            2,800
ADVANTAGE OIL & GAS LTD         COM         00765F101      26,910     6,500  SH      DEFINED     3                            6,500
ADVENT CLAY GBL CONV SEC INC    COM         007639107       3,150       500  SH      DEFINED     2                              500
ADVENT CLAYMORE CV SECS & IN    COM         00764C109      29,460     2,000  SH      DEFINED     3                            2,000
ADVENT CLAYMORE ENH GRW & IN    COM         00765E104      19,431     2,164  SH      DEFINED     3                            2,164
ADVENT SOFTWARE INC             COM         007974108   2,276,905    93,469  SH      SOLE        1       93,469
ADVISORSHARES TR                COM         00768Y800     435,176    18,526  SH      DEFINED     3                           18,526
ADVISORY BOARD CO/THE           COM         00762W107     859,055    11,576  SH      SOLE        1       11,576
AECOM TECHNOLOGY CORP           COM         00766T100   5,210,175   253,290  SH      SOLE        1      253,290
AEGERION PHARMACEUTICALS I      COM         00767E102     111,740     6,675  SH      SOLE        1        6,675






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
AEGION CORP                     COM         00770F104     492,920    32,133  SH      SOLE        1       32,133
AEGION CORP                     COM         00770F104     153,400    10,000  SH      DEFINED     4                           10,000
AEGON N V                       COM         007924103         527       131  SH      DEFINED     2                              131
AEP INDUSTRIES INC              COM         001031103      88,278     3,136  SH      SOLE        1        3,136
AERCAP HOLDINGS NV              COM         N00985106      11,290     1,000  SH      DEFINED     3                            1,000
AEROFLEX HOLDING CORP           COM         007767106     148,388    14,491  SH      SOLE        1       14,491
AEROPOSTALE                     COM         007865108       1,525       100  SH      DEFINED     3                              100
AEROPOSTALE                     COM         007865108      56,425     3,700  SH      DEFINED     4                            3,700
AEROPOSTALE INC                 COM         007865108   3,570,925   234,159  SH      SOLE        1      234,159
AEROVIRONMENT INC               COM         008073108     435,608    13,842  SH      SOLE        1       13,842
AEROVIRONMENT INC               COM         008073108       8,812       280  SH      DEFINED     2                              280
AES CORP                        COM         00130H105   3,999,611   337,805  SH      SOLE        1      337,805
AES CORP                        COM         00130H105       4,677       395  SH      DEFINED     3                              395
AES TR III                      COM         00808N202      29,454       600  SH      DEFINED     2                              600
AES TR III                      COM         00808N202     300,284     6,117  SH      DEFINED     3                            6,117
AES TR III                      COM         00808N202      29,454       600  SH      DEFINED     4                              600
AETNA INC                       COM         00817Y108   8,676,036   205,642  SH      SOLE        1      205,642
AETNA INC NEW                   COM         00817Y108       8,438       200  SH      DEFINED     2                              200
AETNA INC NEW                   COM         00817Y108      27,909       662  SH      DEFINED     3                              662
AETNA INC NEW                   COM         00817Y108      12,657       300  SH      DEFINED     4                              300
AFC ENTERPRISES                 COM         00104Q107     265,835    18,084  SH      SOLE        1       18,084
AFFILIATED MANAGERS GROUP       COM         008252108  16,064,141   167,422  SH      SOLE        1      167,422
AFFYMAX INC                     COM         00826A109     170,829    25,844  SH      SOLE        1       25,844
AFFYMETRIX INC                  COM         00826T108     234,946    57,444  SH      SOLE        1       57,444
AFLAC INC                       COM         001055102   7,359,132   170,114  SH      SOLE        1      170,114
AFLAC INC                       COM         001055102     132,798     3,070  SH      DEFINED     2                            3,070
AFLAC INC                       COM         001055102      89,457     2,068  SH      DEFINED     3                            2,068
AFLAC INC                       COM         001055102      28,119       650  SH      DEFINED     4                              650
AG MORTGAGE INVESTMENT TRU      COM         001228105      92,618     4,601  SH      SOLE        1        4,601
AGCO CORP                       COM         001084102   9,192,443   213,927  SH      SOLE        1      213,927
AGCO CORP                       COM         001084102       8,594       200  SH      DEFINED     2                              200
AGCO CORP                       COM         001084102      18,649       434  SH      DEFINED     3                              434
AGCO CORP                       COM         001084102       4,641       108  SH      DEFINED     4                              108
AGENUS INC                      COM         00847G705         300       150  SH      DEFINED     4                              150
AGFEED INDUSTRIES INC           COM         00846L101         273       700  SH      DEFINED     2                              700
AGFEED INDUSTRIES INC           COM         00846L101         273       700  SH      DEFINED     3                              700
AGIC CONV & INCOME FD           COM         001190107      48,157     5,699  SH      DEFINED     2                            5,699
AGIC CONV & INCOME FD           COM         001190107     313,208    37,066  SH      DEFINED     3                           37,066
AGIC CONV & INCOME FD II        COM         001191105      33,054     4,200  SH      DEFINED     3                            4,200
AGIC CONV & INCOME FD II        COM         001191105           8         1  SH      DEFINED     4                                1
AGIC INTL & PREM STRATEGY FD    COM         00119Q100       4,945       500  SH      DEFINED     2                              500
AGILENT TECHNOLOGIES INC        COM         00846U101   4,222,059   120,872  SH      SOLE        1      120,872
AGILENT TECHNOLOGIES INC        COM         00846U101      96,267     2,756  SH      DEFINED     2                            2,756
AGILENT TECHNOLOGIES INC        COM         00846U101      13,972       400  SH      DEFINED     3                              400
AGILYSYS INC                    COM         00847J105     114,043    14,345  SH      SOLE        1       14,345
AGILYSYS INC                    COM         00847J105       2,385       300  SH      DEFINED     2                              300
AGL RES INC                     COM         001204106      54,926     1,300  SH      DEFINED     2                            1,300
AGL RES INC                     COM         001204106     114,525     2,710  SH      DEFINED     3                            2,710
AGL RES INC                     COM         001204106     125,385     2,967  SH      DEFINED     4                            2,967
AGL RESOURCES INC               COM         001204106   5,407,743   127,964  SH      SOLE        1      127,964
AGNICO EAGLE MINES LTD          COM         008474108      25,424       700  SH      DEFINED     2                              700
AGNICO EAGLE MINES LTD          COM         008474108     339,592     9,350  SH      DEFINED     3                            9,350
AGNICO EAGLE MINES LTD          COM         008474108      43,221     1,190  SH      DEFINED     4                            1,190
AGREE REALTY CORP               COM         008492100     175,512     7,199  SH      SOLE        1        7,199
AGREE REALTY CORP               COM         008492100       7,314       300  SH      DEFINED     2                              300
AGRIUM INC                      COM         008916108         403         6  SH      DEFINED     3                                6
AGRIUM INC                      COM         008916108      33,555       500  SH      DEFINED     4                              500
AH BELO CORP A                  COM         001282102      64,700    13,621  SH      SOLE        1       13,621
AIR LEASE CORP                  COM         00912X302      26,318     1,110  SH      SOLE        1        1,110
AIR METHODS CORP                COM         009128307     779,305     9,228  SH      SOLE        1        9,228
AIR PRODS & CHEMS INC           COM         009158106     335,433     3,937  SH      DEFINED     2                            3,937
AIR PRODS & CHEMS INC           COM         009158106      21,383       251  SH      DEFINED     3                              251
AIR PRODS & CHEMS INC           COM         009158106       2,045        24  SH      DEFINED     4                               24
AIR PRODUCTS + CHEMICALS I      COM         009158106   9,209,635   108,107  SH      SOLE        1      108,107
AIR TRANSPORT SERVICES GRO      COM         00922R105     185,567    39,315  SH      SOLE        1       39,315
AIR TRANSPORT SERVICES GRP I    COM         00922R105       6,608     1,400  SH      DEFINED     2                            1,400
AIRCASTLE LTD                   COM         G0129K104     510,199    40,110  SH      SOLE        1       40,110
AIRGAS INC                      COM         009363102   1,690,666    21,653  SH      SOLE        1       21,653
AIRGAS INC                      COM         009363102      10,541       135  SH      DEFINED     2                              135
AIRGAS INC                      COM         009363102         234         3  SH      DEFINED     3                                3
AIRGAS INC                      COM         009363102       1,952        25  SH      DEFINED     4                               25
AK STEEL HOLDING CORP           COM         001547108     103,176    12,491  SH      SOLE        1       12,491
AK STL HLDG CORP                COM         001547108      12,390     1,500  SH      DEFINED     2                            1,500
AK STL HLDG CORP                COM         001547108      15,694     1,900  SH      DEFINED     3                            1,900
AKAMAI TECHNOLOGIES INC         COM         00971T101   2,839,317    87,959  SH      SOLE        1       87,959
AKAMAI TECHNOLOGIES INC         COM         00971T101       6,456       200  SH      DEFINED     2                              200
AKAMAI TECHNOLOGIES INC         COM         00971T101       2,453        76  SH      DEFINED     3                               76
AKAMAI TECHNOLOGIES INC         COM         00971T101      22,596       700  SH      DEFINED     4                              700
AKORN INC                       COM         009728106     455,375    40,951  SH      SOLE        1       40,951
AKORN INC                       COM         009728106      81,154     7,298  SH      DEFINED     3                            7,298
ALAMO GROUP INC                 COM         011311107     131,338     4,877  SH      SOLE        1        4,877
ALASKA AIR GROUP INC            COM         011659109   7,754,394   103,268  SH      SOLE        1      103,268
ALASKA COMM SYSTEMS GROUP       COM         01167P101      99,303    32,991  SH      SOLE        1       32,991
ALASKA COMMUNICATIONS SYS GR    COM         01167P101         602       200  SH      DEFINED     4                              200
ALBANY INTL CORP                COM         012348108         231        10  SH      DEFINED     3                               10
ALBANY INTL CORP                CNV         012348AC2       1,865         2 PRN      DEFINED     3                                2
ALBANY INTL CORP CL A           COM         012348108     521,726    22,566  SH      SOLE        1       22,566
ALBANY MOLECULAR RESEARCH       COM         012423109      47,094    16,073  SH      SOLE        1       16,073
ALBEMARLE CORP                  COM         012653101   9,999,070   194,119  SH      SOLE        1      194,119
ALBEMARLE CORP                  COM         012653101      10,302       200  SH      DEFINED     3                              200
ALCATEL-LUCENT                  COM         013904305      19,252    12,341  SH      DEFINED     2                           12,341
ALCATEL-LUCENT                  COM         013904305       3,600     2,308  SH      DEFINED     3                            2,308
ALCATEL-LUCENT                  COM         013904305       3,203     2,053  SH      DEFINED     4                            2,053
ALCOA INC                       COM         013817101   2,763,121   319,436  SH      SOLE        1      319,436
ALCOA INC                       COM         013817101     175,442    20,282  SH      DEFINED     2                           20,282
ALCOA INC                       COM         013817101     251,237    29,045  SH      DEFINED     3                           29,045
ALCOA INC                       COM         013817101      80,013     9,250  SH      DEFINED     4                            9,250
ALERE INC                       COM         01449J105      63,036     2,730  SH      SOLE        1        2,730
ALEXANDER + BALDWIN INC         COM         014482103   3,748,419    91,828  SH      SOLE        1       91,828
ALEXANDER S INC                 COM         014752109     554,675     1,499  SH      SOLE        1        1,499
ALEXANDRIA REAL ESTATE EQ IN    COM         015271109       1,448        21  SH      DEFINED     3                               21
ALEXANDRIA REAL ESTATE EQU      COM         015271109   9,412,474   136,472  SH      SOLE        1      136,472
ALEXCO RESOURCE CORP            COM         01535P106       2,043       300  SH      DEFINED     2                              300
ALEXION PHARMACEUTICALS IN      COM         015351109   7,663,656   107,184  SH      SOLE        1      107,184
ALEXION PHARMACEUTICALS INC     COM         015351109      13,085       183  SH      DEFINED     2                              183
ALEXION PHARMACEUTICALS INC     COM         015351109      65,137       911  SH      DEFINED     3                              911
ALICO INC                       COM         016230104      50,091     2,586  SH      SOLE        1        2,586
ALIGN TECHNOLOGY INC            COM         016255101   1,199,417    50,555  SH      SOLE        1       50,555
ALIMERA SCIENCES INC            COM         016259103      10,245     8,196  SH      SOLE        1        8,196
ALKERMES PLC                    COM         G01767105   1,208,985    69,642  SH      SOLE        1       69,642
ALKERMES PLC                    COM         G01767105       1,042        60  SH      DEFINED     4                               60
ALLEGHANY CORP                  COM         017175100      60,196       211  SH      SOLE        1          211
ALLEGHENY TECHNOLOGIES INC      COM         01741R102   1,610,573    33,694  SH      SOLE        1       33,694
ALLEGHENY TECHNOLOGIES INC      COM         01741R102      14,387       301  SH      DEFINED     2                              301
ALLEGHENY TECHNOLOGIES INC      COM         01741R102     233,319     4,881  SH      DEFINED     3                            4,881






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ALLEGIANT TRAVEL CO             COM         01748X102     643,440    12,063  SH      SOLE        1       12,063
ALLERGAN INC                    COM         018490102  20,142,296   229,568  SH      SOLE        1      229,568
ALLERGAN INC                    COM         018490102     232,336     2,648  SH      DEFINED     3                            2,648
ALLERGAN INC                    COM         018490102     111,869     1,275  SH      DEFINED     4                            1,275
ALLETE INC                      COM         018522300   1,092,530    26,025  SH      SOLE        1       26,025
ALLETE INC                      COM         018522300      12,594       300  SH      DEFINED     2                              300
ALLETE INC                      COM         018522300         966        23  SH      DEFINED     3                               23
ALLIANCE CALIF MUN INCOME FD    COM         018546101     126,087     8,690  SH      DEFINED     3                            8,690
ALLIANCE DATA SYSTEMS CORP      COM         018581108  11,341,405   109,220  SH      SOLE        1      109,220
ALLIANCE FINANCIAL CORP         COM         019205103     107,030     3,466  SH      SOLE        1        3,466
ALLIANCE HEALTHCARE SERVIC      COM         018606202      22,526    17,878  SH      SOLE        1       17,878
ALLIANCE ONE INTERNATIONAL      COM         018772103     193,068    70,981  SH      SOLE        1       70,981
ALLIANCE ONE INTL INC           COM         018772103       1,360       500  SH      DEFINED     4                              500
ALLIANCE RES PARTNER L P        COM         01877R108     264,530     3,500  SH      DEFINED     2                            3,500
ALLIANCE RES PARTNER L P        COM         01877R108      29,174       386  SH      DEFINED     3                              386
ALLIANCE RES PARTNER L P        COM         01877R108     176,145     2,331  SH      DEFINED     4                            2,331
ALLIANCEBERNSTEIN GBL HGH IN    COM         01879R106      82,696     5,836  SH      DEFINED     3                            5,836
ALLIANCEBERNSTEIN GBL HGH IN    COM         01879R106     153,461    10,830  SH      DEFINED     4                           10,830
ALLIANCEBERNSTEIN HOLDING LP    COM         01881G106      81,497     6,231  SH      DEFINED     3                            6,231
ALLIANCEBERNSTEIN INCOME FUN    COM         01881E101     207,399    25,700  SH      DEFINED     2                           25,700
ALLIANCEBERNSTEIN INCOME FUN    COM         01881E101     967,579   119,898  SH      DEFINED     3                          119,898
ALLIANCEBERNSTEIN INCOME FUN    COM         01881E101      68,442     8,481  SH      DEFINED     4                            8,481
ALLIANCEBERNSTEIN NATL MUNI     COM         01864U106     695,957    47,088  SH      DEFINED     3                           47,088
ALLIANCEBERNSTEIN NATL MUNI     COM         01864U106      44,340     3,000  SH      DEFINED     4                            3,000
ALLIANT ENERGY CORP             COM         018802108  10,782,337   244,442  SH      SOLE        1      244,442
ALLIANT ENERGY CORP             COM         018802108      11,156       253  SH      DEFINED     2                              253
ALLIANT ENERGY CORP             COM         018802108         176         4  SH      DEFINED     3                                4
ALLIANT ENERGY CORP             COM         018802108      13,233       300  SH      DEFINED     4                              300
ALLIANT TECHSYSTEMS INC         COM         018804104   4,146,272    72,538  SH      SOLE        1       72,538
ALLIANT TECHSYSTEMS INC         COM         018804104       6,230       109  SH      DEFINED     3                              109
ALLIED MOTION TECHNOLOGIES I    COM         019330109      50,760     9,000  SH      DEFINED     2                            9,000
ALLIED NEVADA GOLD CORP         COM         019344100      45,026     1,487  SH      SOLE        1        1,487
ALLIED WORLD ASSURANCE CO       COM         H01531104      76,208     1,211  SH      SOLE        1        1,211
ALLIED WRLD ASSUR COM HLDG A    COM         H01531104       2,517        40  SH      DEFINED     4                               40
ALLOS THERAPEUTICS INC          COM         019777101      81,715    57,546  SH      SOLE        1       57,546
ALLOS THERAPEUTICS INC          COM         019777101          71        50  SH      DEFINED     2                               50
ALLSCRIPTS HEALTHCARE SOLU      COM         01988P108   7,862,695   415,137  SH      SOLE        1      415,137
ALLSCRIPTS HEALTHCARE SOLUTN    COM         01988P108      13,258       700  SH      DEFINED     2                              700
ALLSCRIPTS HEALTHCARE SOLUTN    COM         01988P108       8,523       450  SH      DEFINED     3                              450
ALLSTATE CORP                   COM         020002101   4,156,123   151,628  SH      SOLE        1      151,628
ALLSTATE CORP                   COM         020002101      71,266     2,600  SH      DEFINED     2                            2,600
ALLSTATE CORP                   COM         020002101      31,850     1,162  SH      DEFINED     3                            1,162
ALLSTATE CORP                   COM         020002101      46,761     1,706  SH      DEFINED     4                            1,706
ALMOST FAMILY INC               COM         020409108     111,119     6,702  SH      SOLE        1        6,702
ALNYLAM PHARMACEUTICALS IN      COM         02043Q107     219,113    26,885  SH      SOLE        1       26,885
ALNYLAM PHARMACEUTICALS INC     COM         02043Q107      10,228     1,255  SH      DEFINED     2                            1,255
ALON USA ENERGY INC             COM         020520102      72,119     8,280  SH      SOLE        1        8,280
ALPHA + OMEGA SEMICONDUCTO      COM         G6331P104      78,444    10,731  SH      SOLE        1       10,731
ALPHA NATURAL RESOURCES IN      COM         02076X102   1,820,599    89,114  SH      SOLE        1       89,114
ALPHA NATURAL RESOURCES INC     COM         02076X102     117,125     5,733  SH      DEFINED     2                            5,733
ALPHA NATURAL RESOURCES INC     COM         02076X102      14,301       700  SH      DEFINED     4                              700
ALPHA NATURAL RESOURCES INC     COM         02076X952       4,775         5  SH  P   DEFINED     4                                5
ALPHATEC HOLDINGS INC           COM         02081G102      67,739    39,383  SH      SOLE        1       39,383
ALPINE GLOBAL PREMIER PPTYS     COM         02083A103      30,401     5,736  SH      DEFINED     3                            5,736
ALPINE GLOBAL PREMIER PPTYS     COM         02083A103       3,583       676  SH      DEFINED     4                              676
ALPINE TOTAL DYNAMIC DIVID F    COM         021060108       4,490     1,025  SH      DEFINED     2                            1,025
ALPINE TOTAL DYNAMIC DIVID F    COM         021060108      26,081     5,955  SH      DEFINED     3                            5,955
ALPS ETF TR                     COM         00162Q866   1,472,000    88,568  SH      DEFINED     2                           88,568
ALPS ETF TR                     COM         00162Q205      21,360       600  SH      DEFINED     3                              600
ALPS ETF TR                     COM         00162Q866     109,692     6,600  SH      DEFINED     3                            6,600
ALPS ETF TR                     COM         00162Q866     114,658     6,899  SH      DEFINED     4                            6,899
ALTERA CORP                     COM         021441100   5,164,951   139,217  SH      SOLE        1      139,217
ALTERA CORP                     COM         021441100       2,597        70  SH      DEFINED     2                               70
ALTERA CORP                     COM         021441100      11,464       309  SH      DEFINED     3                              309
ALTERA CORP                     COM         021441100       1,744        47  SH      DEFINED     4                               47
ALTERRA CAPITAL HOLDINGS L      COM         G0229R108   1,566,007    66,272  SH      SOLE        1       66,272
ALTRA HOLDINGS INC              COM         02208R106     369,482    19,622  SH      SOLE        1       19,622
ALTRIA GROUP INC                COM         02209S103  66,413,124 2,239,903  SH      SOLE        1    2,239,903
ALTRIA GROUP INC                COM         02209S103   1,582,310    53,366  SH      DEFINED     2                           53,366
ALTRIA GROUP INC                COM         02209S103   3,258,110   109,886  SH      DEFINED     3                          109,886
ALTRIA GROUP INC                COM         02209S103   1,457,791    49,167  SH      DEFINED     4                           49,167
ALZA CORP                       CNV         02261WAB5         926         1 PRN      DEFINED     4                                1
AMAG PHARMACEUTICALS INC        COM         00163U106     292,254    15,455  SH      SOLE        1       15,455
AMARIN CORP PLC                 COM         023111206       5,992       800  SH      DEFINED     4                              800
AMAZON COM INC                  COM         023135106      52,449       303  SH      DEFINED     2                              303
AMAZON COM INC                  COM         023135106     283,019     1,635  SH      DEFINED     3                            1,635
AMAZON COM INC                  COM         023135106     162,714       940  SH      DEFINED     4                              940
AMAZON COM INC                  COM         023135956       3,640         2  SH  P   DEFINED     4                                2
AMAZON.COM INC                  COM         023135106  32,161,980   185,800  SH      SOLE        1      185,800
AMBASSADORS GROUP INC           COM         023177108      58,305    12,928  SH      SOLE        1       12,928
AMBIENT CORP                    COM         02318N201         232        50  SH      DEFINED     3                               50
AMC NETWORKS INC                COM         00164V103         864        23  SH      DEFINED     4                               23
AMC NETWORKS INC A              COM         00164V103   4,723,956   125,704  SH      SOLE        1      125,704
AMCOL INTERNATIONAL CORP        COM         02341W103     534,503    19,907  SH      SOLE        1       19,907
AMDOCS LTD                      COM         G02602103     159,140     5,578  SH      SOLE        1        5,578
AMDOCS LTD                      COM         G02602103      10,328       362  SH      DEFINED     3                              362
AMEDISYS INC                    COM         023436108     261,971    24,012  SH      SOLE        1       24,012
AMEDISYS INC                    COM         023436108      15,798     1,448  SH      DEFINED     2                            1,448
AMEDISYS INC                    COM         023436108       5,455       500  SH      DEFINED     3                              500
AMEDISYS INC                    COM         023436108         436        40  SH      DEFINED     4                               40
AMERCO                          COM         023586100     559,572     6,330  SH      SOLE        1        6,330
AMEREN CORP                     COM         023608102      21,303       643  SH      DEFINED     2                              643
AMEREN CORP                     COM         023608102     164,225     4,957  SH      DEFINED     3                            4,957
AMEREN CORP                     COM         023608102     166,204     5,017  SH      DEFINED     4                            5,017
AMEREN CORPORATION              COM         023608102   4,498,822   135,793  SH      SOLE        1      135,793
AMERESCO INC CL A               COM         02361E108     177,015    12,902  SH      SOLE        1       12,902
AMERICA FIRST TAX EX IVS L P    COM         02364V107       1,482       300  SH      DEFINED     2                              300
AMERICA MOVIL SAB DE CV         COM         02364W105     101,782     4,504  SH      DEFINED     2                            4,504
AMERICA MOVIL SAB DE CV         COM         02364W105      43,573     1,928  SH      DEFINED     3                            1,928
AMERICA MOVIL SAB DE CV         COM         02364W105      83,891     3,712  SH      DEFINED     4                            3,712
AMERICA S CAR MART INC          COM         03062T105     245,188     6,258  SH      SOLE        1        6,258
AMERICAN ASSETS TRUST INC       COM         024013104     482,621    23,531  SH      SOLE        1       23,531
AMERICAN AXLE & MFG HLDGS IN    COM         024061103      29,670     3,000  SH      DEFINED     2                            3,000
AMERICAN AXLE + MFG HOLDIN      COM         024061103     482,296    48,766  SH      SOLE        1       48,766
AMERICAN CAMPUS CMNTYS INC      COM         024835100      12,588       300  SH      DEFINED     3                              300
AMERICAN CAMPUS COMMUNITIE      COM         024835100   8,534,832   203,404  SH      SOLE        1      203,404
AMERICAN CAP LTD                COM         02503Y103       6,952     1,033  SH      DEFINED     2                            1,033
AMERICAN CAP LTD                COM         02503Y103      33,279     4,945  SH      DEFINED     3                            4,945
AMERICAN CAP LTD                COM         02503Y103       4,948       735  SH      DEFINED     4                              735
AMERICAN CAPITAL AGENCY CO      COM         02503X105     200,969     7,157  SH      SOLE        1        7,157
AMERICAN CAPITAL AGENCY CORP    COM         02503X105     176,399     6,282  SH      DEFINED     2                            6,282
AMERICAN CAPITAL AGENCY CORP    COM         02503X105     102,127     3,637  SH      DEFINED     3                            3,637
AMERICAN CAPITAL AGENCY CORP    COM         02503X105     188,501     6,713  SH      DEFINED     4                            6,713
AMERICAN CAPITAL LTD            COM         02503Y103      75,780    11,260  SH      SOLE        1       11,260
AMERICAN CAPITAL MORTGAGE       COM         02504A104     109,965     5,843  SH      SOLE        1        5,843






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
AMERICAN DENTAL PARTNERS I      COM         025353103     212,176    11,268  SH      SOLE        1       11,268
AMERICAN EAGLE OUTFITTERS       COM         02553E106   6,524,579   426,722  SH      SOLE        1      426,722
AMERICAN EAGLE OUTFITTERS NE    COM         02553E106       1,529       100  SH      DEFINED     4                              100
AMERICAN ELEC PWR INC           COM         025537101     108,232     2,620  SH      DEFINED     2                            2,620
AMERICAN ELEC PWR INC           COM         025537101     333,710     8,078  SH      DEFINED     3                            8,078
AMERICAN ELEC PWR INC           COM         025537101     333,043     8,062  SH      DEFINED     4                            8,062
AMERICAN ELECTRIC POWER         COM         025537101   7,998,029   193,610  SH      SOLE        1      193,610
AMERICAN EQUITY INVT LIFE       COM         025676206     451,942    43,456  SH      SOLE        1       43,456
AMERICAN EXPRESS CO             COM         025816109  41,480,307   879,379  SH      SOLE        1      879,379
AMERICAN EXPRESS CO             COM         025816109      53,066     1,125  SH      DEFINED     2                            1,125
AMERICAN EXPRESS CO             COM         025816109     135,573     2,874  SH      DEFINED     3                            2,874
AMERICAN EXPRESS CO             COM         025816109     107,312     2,275  SH      DEFINED     4                            2,275
AMERICAN FINANCIAL GROUP I      COM         025932104   6,258,979   169,666  SH      SOLE        1      169,666
AMERICAN FINL GROUP INC OHIO    COM         025932104       1,586        43  SH      DEFINED     3                               43
AMERICAN GREETINGS CORP         COM         026375105       1,564       125  SH      DEFINED     3                              125
AMERICAN GREETINGS CORP CL      COM         026375105   1,452,711   116,124  SH      SOLE        1      116,124
AMERICAN INCOME FD INC          COM         02672T109     564,138    73,360  SH      DEFINED     3                           73,360
AMERICAN INTERNATIONAL GRO      COM         026874784   3,040,986   131,077  SH      SOLE        1      131,077
AMERICAN INTL GROUP INC         COM         026874156       1,653       300  SH      DEFINED     2                              300
AMERICAN INTL GROUP INC         COM         026874784       5,498       237  SH      DEFINED     2                              237
AMERICAN INTL GROUP INC         COM         026874156       1,581       287  SH      DEFINED     3                              287
AMERICAN INTL GROUP INC         COM         026874784      48,882     2,107  SH      DEFINED     3                            2,107
AMERICAN INTL GROUP INC         COM         026874156       1,141       207  SH      DEFINED     4                              207
AMERICAN INTL GROUP INC         COM         026874784       9,953       429  SH      DEFINED     4                              429
AMERICAN LORAIN CORP            COM         027297100       2,080     1,300  SH      DEFINED     2                            1,300
AMERICAN NATIONAL INSURANC      COM         028591105      15,994       219  SH      SOLE        1          219
AMERICAN PUBLIC EDUCATION       COM         02913V103     630,460    14,567  SH      SOLE        1       14,567
AMERICAN PUBLIC EDUCATION IN    COM         02913V103      19,563       452  SH      DEFINED     2                              452
AMERICAN RAILCAR INDUSTRIE      COM         02916P103     170,166     7,111  SH      SOLE        1        7,111
AMERICAN REPROGRAPHICS CO       COM         029263100     124,164    27,051  SH      SOLE        1       27,051
AMERICAN RLTY CAP PPTYS INC     COM         02917T104      10,400     1,000  SH      DEFINED     4                            1,000
AMERICAN SCIENCE & ENGR INC     COM         029429107      20,092       295  SH      DEFINED     2                              295
AMERICAN SCIENCE + ENGINEE      COM         029429107     502,992     7,385  SH      SOLE        1        7,385
AMERICAN SELECT PORTFOLIO IN    COM         029570108      14,770     1,477  SH      DEFINED     2                            1,477
AMERICAN SOFTWARE INC CL A      COM         029683109     156,794    16,592  SH      SOLE        1       16,592
AMERICAN STATES WATER CO        COM         029899101     530,864    15,211  SH      SOLE        1       15,211
AMERICAN STS WTR CO             COM         029899101       1,710        49  SH      DEFINED     3                               49
AMERICAN STS WTR CO             COM         029899101       6,491       186  SH      DEFINED     4                              186
AMERICAN SUPERCONDUCTOR CO      COM         030111108     120,386    32,625  SH      SOLE        1       32,625
AMERICAN SUPERCONDUCTOR CORP    COM         030111108      14,760     4,000  SH      DEFINED     2                            4,000
AMERICAN SUPERCONDUCTOR CORP    COM         030111108       8,856     2,400  SH      DEFINED     3                            2,400
AMERICAN SUPERCONDUCTOR CORP    COM         030111108       3,690     1,000  SH      DEFINED     4                            1,000
AMERICAN TOWER CORP             COM         029912201      52,509       875  SH      DEFINED     2                              875
AMERICAN TOWER CORP             COM         029912201     217,776     3,629  SH      DEFINED     3                            3,629
AMERICAN TOWER CORP             COM         029912201      60,010     1,000  SH      DEFINED     4                            1,000
AMERICAN TOWER CORP CL A        COM         029912201   10,285,114  171,390  SH      SOLE        1      171,390
AMERICAN VANGUARD CORP          COM         030371108     243,815    18,277  SH      SOLE        1       18,277
AMERICAN WATER WORKS CO IN      COM         030420103     178,384     5,599  SH      SOLE        1        5,599
AMERICAN WOODMARK CORP          COM         030506109      93,598     6,852  SH      SOLE        1        6,852
AMERICAN WTR WKS CO INC NEW     COM         030420103       6,469       203  SH      DEFINED     2                              203
AMERICAN WTR WKS CO INC NEW     COM         030420103       7,455       234  SH      DEFINED     3                              234
AMERIGAS PARTNERS L P           COM         030975106       4,591       100  SH      DEFINED     2                              100
AMERIGAS PARTNERS L P           COM         030975106     192,822     4,200  SH      DEFINED     3                            4,200
AMERIGAS PARTNERS L P           COM         030975106      81,288     1,771  SH      DEFINED     4                            1,771
AMERIGON INC                    COM         03070L300     231,625    16,243  SH      SOLE        1       16,243
AMERIGROUP CORP                 COM         03073T102   6,895,818   116,720  SH      SOLE        1      116,720
AMERIPRISE FINANCIAL INC        COM         03076C106   4,781,623    96,326  SH      SOLE        1       96,326
AMERIPRISE FINL INC             COM         03076C106       5,113       103  SH      DEFINED     2                              103
AMERIPRISE FINL INC             COM         03076C106      10,572       213  SH      DEFINED     3                              213
AMERIPRISE FINL INC             COM         03076C106         993        20  SH      DEFINED     4                               20
AMERIS BANCORP                  COM         03076K108     178,440    17,358  SH      SOLE        1       17,358
AMERISAFE INC                   COM         03071H100     347,843    14,961  SH      SOLE        1       14,961
AMERISOURCEBERGEN CORP          COM         03073E105   3,039,502    81,729  SH      SOLE        1       81,729
AMERISOURCEBERGEN CORP          COM         03073E105      22,537       606  SH      DEFINED     2                              606
AMERISOURCEBERGEN CORP          COM         03073E105       4,240       114  SH      DEFINED     3                              114
AMERISTAR CASINOS INC           COM         03070Q101     406,903    23,534  SH      SOLE        1       23,534
AMES NATIONAL CORP              COM         031001100     118,092     6,056  SH      SOLE        1        6,056
AMETEK INC                      COM         031100100  22,904,968   544,061  SH      SOLE        1      544,061
AMETEK INC NEW                  COM         031100100       6,947       165  SH      DEFINED     2                              165
AMETEK INC NEW                  COM         031100100      28,437       675  SH      DEFINED     3                              675
AMGEN INC                       COM         031162100  30,998,919   482,774  SH      SOLE        1      482,774
AMGEN INC                       COM         031162100     191,282     2,979  SH      DEFINED     2                            2,979
AMGEN INC                       COM         031162100     433,610     6,753  SH      DEFINED     3                            6,753
AMGEN INC                       COM         031162100     111,404     1,735  SH      DEFINED     4                            1,735
AMICUS THERAPEUTICS INC         COM         03152W109      39,629    11,520  SH      SOLE        1       11,520
AMKOR TECHNOLOGY INC            COM         031652100     308,056    70,655  SH      SOLE        1       70,655
AMN HEALTHCARE SERVICES IN      COM         001744101     143,209    32,327  SH      SOLE        1       32,327
AMPCO PITTSBURGH CORP           COM         032037103     120,372     6,224  SH      SOLE        1        6,224
AMPHENOL CORP CL A              COM         032095101   2,508,070    55,256  SH      SOLE        1       55,256
AMPHENOL CORP NEW               COM         032095101       3,404        75  SH      DEFINED     2                               75
AMPHENOL CORP NEW               COM         032095101      50,156     1,105  SH      DEFINED     3                            1,105
AMPIO PHARMACEUTICALS INC       COM         03209T109      61,821    14,478  SH      SOLE        1       14,478
AMPIO PHARMACEUTICALS INC       COM         03209T109      12,810     3,000  SH      DEFINED     3                            3,000
AMR CORP                        COM         001765106       2,888     8,251  SH      SOLE        1        8,251
AMR CORP                        COM         001765106       4,498    12,850  SH      DEFINED     2                           12,850
AMR CORP                        COM         001765106          35       100  SH      DEFINED     3                              100
AMSURG CORP                     COM         03232P405     663,473    25,479  SH      SOLE        1       25,479
AMTECH SYSTEMS INC              COM         032332504      59,510     6,993  SH      SOLE        1        6,993
AMTRUST FINANCIAL SERVICES      COM         032359309     417,976    17,599  SH      SOLE        1       17,599
AMYLIN PHARMACEUTICALS INC      COM         032346108      24,774     2,177  SH      SOLE        1        2,177
AMYLIN PHARMACEUTICALS INC      COM         032346108       3,414       300  SH      DEFINED     3                              300
AMYRIS INC                      COM         03236M101     148,670    12,883  SH      SOLE        1       12,883
AMYRIS INC                      COM         03236M101       3,462       300  SH      DEFINED     2                              300
ANACOR PHARMACEUTICALS INC      COM         032420101      49,222     7,939  SH      SOLE        1        7,939
ANADARKO PETE CORP              COM         032511107      52,133       683  SH      DEFINED     2                              683
ANADARKO PETE CORP              COM         032511107     199,374     2,612  SH      DEFINED     3                            2,612
ANADARKO PETE CORP              COM         032511107     206,473     2,705  SH      DEFINED     4                            2,705
ANADARKO PETROLEUM CORP         COM         032511107  27,787,784   364,048  SH      SOLE        1      364,048
ANADIGICS INC                   COM         032515108     107,862    49,252  SH      SOLE        1       49,252
ANALOG DEVICES INC              COM         032654105   4,516,831   126,239  SH      SOLE        1      126,239
ANALOGIC CORP                   COM         032657207     584,435    10,196  SH      SOLE        1       10,196
ANALOGIC CORP                   COM         032657207       1,720        30  SH      DEFINED     3                               30
ANAREN INC                      COM         032744104     183,501    11,041  SH      SOLE        1       11,041
ANCESTRY COM INC                COM         032803108      13,776       600  SH      DEFINED     3                              600
ANCESTRY.COM INC                COM         032803108     531,019    23,128  SH      SOLE        1       23,128
ANDERSONS INC/THE               COM         034164103     661,318    15,147  SH      SOLE        1       15,147
ANGIE S LIST INC                COM         034754101     119,832     7,443  SH      SOLE        1        7,443
ANGIODYNAMICS INC               COM         03475V101     270,164    18,242  SH      SOLE        1       18,242
ANGLOGOLD ASHANTI LTD           COM         035128206      10,613       250  SH      DEFINED     3                              250
ANIXTER INTERNATIONAL INC       COM         035290105   1,402,077    23,509  SH      SOLE        1       23,509
ANIXTER INTL INC                COM         035290105       5,845        98  SH      DEFINED     3                               98
ANN INC                         COM         035623107   9,689,451   391,019  SH      SOLE        1      391,019
ANNALY CAP MGMT INC             COM         035710409   1,192,471    74,716  SH      DEFINED     2                           74,716
ANNALY CAP MGMT INC             COM         035710409   1,629,523   102,100  SH      DEFINED     3                          102,100
ANNALY CAP MGMT INC             COM         035710409     965,981    60,525  SH      DEFINED     4                           60,525






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ANNALY CAPITAL MANAGEMENT       COM         035710409     484,641    30,366  SH      SOLE        1       30,366
ANSYS INC                       COM         03662Q105  11,569,357   201,979  SH      SOLE        1      201,979
ANSYS INC                       COM         03662Q105       2,692        47  SH      DEFINED     2                               47
ANTARES PHARMA INC              COM         036642106     140,906    64,048  SH      SOLE        1       64,048
ANTHERA PHARMACEUTICALS IN      COM         03674U102      94,409    15,376  SH      SOLE        1       15,376
ANWORTH MORTGAGE ASSET COR      COM         037347101     614,492    97,849  SH      SOLE        1       97,849
ANWORTH MORTGAGE ASSET CP       COM         037347101      30,106     4,794  SH      DEFINED     3                            4,794
ANWORTH MORTGAGE ASSET CP       COM         037347101       4,898       780  SH      DEFINED     4                              780
AOL INC                         COM         00184X105   3,237,561   214,408  SH      SOLE        1      214,408
AOL INC                         COM         00184X105       1,163        77  SH      DEFINED     2                               77
AOL INC                         COM         00184X105         498        33  SH      DEFINED     3                               33
AOL INC                         COM         00184X105         861        57  SH      DEFINED     4                               57
AON CORP                        COM         037389103   6,875,294   146,908  SH      SOLE        1      146,908
AON CORP                        COM         037389103       2,246        48  SH      DEFINED     2                               48
AON CORP                        COM         037389103       6,607       141  SH      DEFINED     3                              141
APACHE CORP                     COM         037411105  17,248,878   190,427  SH      SOLE        1      190,427
APACHE CORP                     COM         037411105      45,611       504  SH      DEFINED     2                              504
APACHE CORP                     COM         037411105     187,716     2,072  SH      DEFINED     3                            2,072
APACHE CORP                     COM         037411808     102,101     1,881  SH      DEFINED     3                            1,881
APACHE CORP                     COM         037411105      45,290       500  SH      DEFINED     4                              500
APARTMENT INVT + MGMT CO        COM         03748R101     887,121    38,722  SH      SOLE        1       38,722
APCO OIL AND GAS INTL INC       COM         G0471F109     544,664     6,665  SH      SOLE        1        6,665
APOGEE ENTERPRISES INC          COM         037598109     280,754    22,900  SH      SOLE        1       22,900
APOGEE ENTERPRISES INC          COM         037598109     100,372     8,187  SH      DEFINED     2                            8,187
APOLLO COML REAL EST FIN INC    COM         03762U105      19,065     1,452  SH      DEFINED     4                            1,452
APOLLO COMMERCIAL REAL EST      COM         03762U105     197,173    15,017  SH      SOLE        1       15,017
APOLLO GROUP INC                COM         037604105     258,576     4,800  SH      DEFINED     2                            4,800
APOLLO GROUP INC                COM         037604105       5,387       100  SH      DEFINED     3                              100
APOLLO GROUP INC CL A           COM         037604105   2,334,780    43,341  SH      SOLE        1       43,341
APOLLO INVESTMENT CORP          COM         03761U106   3,675,263   570,693  SH      SOLE        1      570,693
APOLLO INVT CORP                COM         03761U106   1,561,153   242,415  SH      DEFINED     3                          242,415
APOLLO INVT CORP                COM         03761U106      32,844     5,100  SH      DEFINED     4                            5,100
APOLLO RESIDENTIAL MORTGAG      COM         03763V102     111,444     7,303  SH      SOLE        1        7,303
APPLE INC                       COM         037833100 209,324,250   516,850  SH      SOLE        1      516,850
APPLE INC                       COM         037833100   7,189,155    17,751  SH      DEFINED     2                           17,751
APPLE INC                       COM         037833100   8,875,980    21,916  SH      DEFINED     3                           21,916
APPLE INC                       COM         037833100   3,418,605     8,441  SH      DEFINED     4                            8,441
APPLE INC                       COM         037833900         249         3  SH  C   DEFINED     4                                3
APPLIED ENERGETICS INC          COM         03819M106          26       350  SH      DEFINED     3                              350
APPLIED INDUSTRIAL TECH IN      COM         03820C105   1,213,084    34,492  SH      SOLE        1       34,492
APPLIED MATERIALS INC           COM         038222105  43,951,677 4,103,798  SH      SOLE        1    4,103,798
APPLIED MATLS INC               COM         038222105      29,891     2,791  SH      DEFINED     2                            2,791
APPLIED MATLS INC               COM         038222105     151,794    14,173  SH      DEFINED     3                           14,173
APPLIED MATLS INC               COM         038222105      80,593     7,525  SH      DEFINED     4                            7,525
APPLIED MICRO CIRCUITS COR      COM         03822W406     310,988    46,278  SH      SOLE        1       46,278
APPROACH RESOURCES INC          COM         03834A103     625,315    21,262  SH      SOLE        1       21,262
APTARGROUP INC                  COM         038336103   7,593,135   145,546  SH      SOLE        1      145,546
AQUA AMERICA INC                COM         03836W103   6,722,957   304,896  SH      SOLE        1      304,896
AQUA AMERICA INC                COM         03836W103     112,210     5,089  SH      DEFINED     2                            5,089
AQUA AMERICA INC                COM         03836W103     169,520     7,688  SH      DEFINED     3                            7,688
ARABIAN AMERN DEV CO            COM         038465100      47,463     5,597  SH      DEFINED     3                            5,597
ARBITRON INC                    COM         03875Q108     761,115    22,119  SH      SOLE        1       22,119
ARBOR RLTY TR INC               COM         038923108       2,464       700  SH      DEFINED     3                              700
ARCELORMITTAL SA LUXEMBOURG     COM         03938L104       9,095       500  SH      DEFINED     2                              500
ARCELORMITTAL SA LUXEMBOURG     COM         03938L104       5,457       300  SH      DEFINED     3                              300
ARCH CAP GROUP LTD              COM         G0450A105       4,468       120  SH      DEFINED     2                              120
ARCH CAPITAL GROUP LTD          COM         G0450A105     156,850     4,213  SH      SOLE        1        4,213
ARCH COAL INC                   COM         039380100   6,756,016   465,611  SH      SOLE        1      465,611
ARCH COAL INC                   COM         039380100       2,902       200  SH      DEFINED     2                              200
ARCH COAL INC                   COM         039380100     179,924    12,400  SH      DEFINED     3                           12,400
ARCH COAL INC                   COM         039380100      14,510     1,000  SH      DEFINED     4                            1,000
ARCHER DANIELS MIDLAND CO       COM         039483102   5,734,243   200,498  SH      SOLE        1      200,498
ARCHER DANIELS MIDLAND CO       COM         039483102      43,281     1,513  SH      DEFINED     2                            1,513
ARCHER DANIELS MIDLAND CO       COM         039483102     193,193     6,755  SH      DEFINED     3                            6,755
ARCHER DANIELS MIDLAND CO       COM         039483102       8,580       300  SH      DEFINED     4                              300
ARCHIPELAGO LEARNING INC        COM         03956P102      92,242     9,539  SH      SOLE        1        9,539
ARCOS DORADOS HOLDINGS INC      COM         G0457F107   1,423,448    69,335  SH      SOLE        1       69,335
ARCTIC CAT INC                  COM         039670104     223,177     9,897  SH      SOLE        1        9,897
ARDEA BIOSCIENCES INC           COM         03969P107     205,939    12,251  SH      SOLE        1       12,251
ARDEN GROUP INC A               COM         039762109      74,708       830  SH      SOLE        1          830
ARENA PHARMACEUTICALS INC       COM         040047102     199,265   106,559  SH      SOLE        1      106,559
ARENA PHARMACEUTICALS INC       COM         040047102       5,517     2,950  SH      DEFINED     2                            2,950
ARENA PHARMACEUTICALS INC       COM         040047102     361,976   193,570  SH      DEFINED     3                          193,570
ARES CAP CORP                   COM         04010L103     121,530     7,866  SH      DEFINED     2                            7,866
ARES CAP CORP                   COM         04010L103     224,967    14,561  SH      DEFINED     3                           14,561
ARES CAP CORP                   COM         04010L103     120,974     7,830  SH      DEFINED     4                            7,830
ARES CAPITAL CORP               COM         04010L103     100,997     6,537  SH      SOLE        1        6,537
ARGAN INC                       COM         04010E109      87,488     5,752  SH      SOLE        1        5,752
ARGO GROUP INTERNATIONAL        COM         G0464B107     580,503    20,045  SH      SOLE        1       20,045
ARIAD PHARMACEUTICALS INC       COM         04033A100   1,180,986    96,407  SH      SOLE        1       96,407
ARIBA INC                       COM         04033V203   2,690,682    95,822  SH      SOLE        1       95,822
ARIBA INC                       COM         04033V203         449        16  SH      DEFINED     3                               16
ARIBA INC                       COM         04033V203      28,080     1,000  SH      DEFINED     4                            1,000
ARKANSAS BEST CORP              COM         040790107   4,081,656   211,814  SH      SOLE        1      211,814
ARLINGTON ASSET INVESTMENT      COM         041356205     100,230     4,699  SH      SOLE        1        4,699
ARM HLDGS PLC                   COM         042068106       6,918       250  SH      DEFINED     2                              250
ARM HLDGS PLC                   COM         042068106      23,520       850  SH      DEFINED     3                              850
ARM HLDGS PLC                   COM         042068106       1,937        70  SH      DEFINED     4                               70
ARMOUR RESIDENTIAL REIT IN      COM         042315101     477,673    67,755  SH      SOLE        1       67,755
ARMOUR RESIDENTIAL REIT INC     COM         042315101       7,050     1,000  SH      DEFINED     2                            1,000
ARMOUR RESIDENTIAL REIT INC     COM         042315101       1,410       200  SH      DEFINED     3                              200
ARMOUR RESIDENTIAL REIT INC     COM         042315101       1,410       200  SH      DEFINED     4                              200
ARMSTRONG WORLD INDS INC NEW    COM         04247X102     109,675     2,500  SH      DEFINED     2                            2,500
ARMSTRONG WORLD INDUSTRIES      COM         04247X102      28,121       641  SH      SOLE        1          641
AROTECH CORP                    COM         042682203          85        71  SH      DEFINED     2                               71
ARQULE INC                      COM         04269E107     245,487    43,526  SH      SOLE        1       43,526
ARRAY BIOPHARMA INC             COM         04269X105      89,958    41,647  SH      SOLE        1       41,647
ARRAY BIOPHARMA INC             COM         04269X105         378       175  SH      DEFINED     3                              175
ARRIS GROUP INC                 COM         04269Q100   1,085,787   100,350  SH      SOLE        1      100,350
ARROW ELECTRONICS INC           COM         042735100   9,200,578   245,939  SH      SOLE        1      245,939
ARROW ELECTRS INC               COM         042735100     490,295    13,106  SH      DEFINED     3                           13,106
ARROW FINANCIAL CORP            COM         042744102     173,526     7,403  SH      SOLE        1        7,403
ARTESIAN RESOURCES CORP         COM         043113208       9,415       500  SH      DEFINED     3                              500
ARTESIAN RESOURCES CORP         COM         043113208       7,061       375  SH      DEFINED     4                              375
ARTESIAN RESOURCES CORP CL      COM         043113208     100,213     5,322  SH      SOLE        1        5,322
ARTHROCARE CORP                 COM         043136100     631,953    19,948  SH      SOLE        1       19,948
ARTHUR J GALLAGHER + CO         COM         363576109   8,334,151   249,227  SH      SOLE        1      249,227
ARTIO GLOBAL INVESTORS INC      COM         04315B107     111,498    22,848  SH      SOLE        1       22,848
ARTS WAY MFG INC                COM         043168103       1,044       204  SH      DEFINED     3                              204
ARUBA NETWORKS INC              COM         043176106   3,952,724   213,430  SH      SOLE        1      213,430
ARUBA NETWORKS INC              COM         043176106      22,224     1,200  SH      DEFINED     2                            1,200
ARUBA NETWORKS INC              COM         043176106      55,856     3,016  SH      DEFINED     3                            3,016
ASA GOLD AND PRECIOUS MTLS L    COM         G3156P103       4,714       180  SH      DEFINED     4                              180
ASA GOLD AND PRECIOUS MTLS L    COM         G3156P903         370         2  SH  C   DEFINED     4                                2
ASBURY AUTOMOTIVE GROUP         COM         043436104     459,681    21,321  SH      SOLE        1       21,321






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ASCENA RETAIL GROUP INC         COM         04351G101   5,702,555   191,876  SH      SOLE        1      191,876
ASCENA RETAIL GROUP INC         COM         04351G101      19,823       667  SH      DEFINED     4                              667
ASCENT CAP GROUP INC            COM         043632108         355         7  SH      DEFINED     2                                7
ASCENT CAPITAL GROUP INC A      COM         043632108     533,372    10,516  SH      SOLE        1       10,516
ASHFORD HOSPITALITY TR INC      COM         044103109      12,000     1,500  SH      DEFINED     4                            1,500
ASHFORD HOSPITALITY TRUST       COM         044103109     304,952    38,119  SH      SOLE        1       38,119
ASHLAND INC                     COM         044209104  12,222,980   213,838  SH      SOLE        1      213,838
ASML HOLDING N V                COM         N07059186         585        14  SH      DEFINED     3                               14
ASPEN INSURANCE HOLDINGS L      COM         G05384105   4,119,690   155,460  SH      SOLE        1      155,460
ASPEN INSURANCE HOLDINGS LTD    COM         G05384105       5,920       223  SH      DEFINED     3                              223
ASPEN TECHNOLOGY INC            COM         045327103   5,224,397   301,118  SH      SOLE        1      301,118
ASSISTED LIVING CONCEPTS I      COM         04544X300     212,480    14,270  SH      SOLE        1       14,270
ASSOCIATED BANC CORP            COM         045487105   4,267,320   382,034  SH      SOLE        1      382,034
ASSOCIATED ESTATES REALTY       COM         045604105     482,918    30,277  SH      SOLE        1       30,277
ASSOCIATED ESTATES RLTY CORP    COM         045604105       3,190       200  SH      DEFINED     2                              200
ASSOCIATED ESTATES RLTY CORP    COM         045604105     135,575     8,500  SH      DEFINED     3                            8,500
ASSURANT INC                    COM         04621X108   8,581,006   208,987  SH      SOLE        1      208,987
ASSURED GUARANTY LTD            COM         G0585R106      77,263     5,880  SH      SOLE        1        5,880
ASSURED GUARANTY LTD            COM         G0585R106      44,164     3,361  SH      DEFINED     2                            3,361
ASTEC INDUSTRIES INC            COM         046224101     523,316    16,247  SH      SOLE        1       16,247
ASTEX PHARMACEUTICALS           COM         04624B103      77,842    41,186  SH      SOLE        1       41,186
ASTORIA FINANCIAL CORP          COM         046265104   2,082,775   245,321  SH      SOLE        1      245,321
ASTRAZENECA PLC                 COM         046353108      17,775       384  SH      DEFINED     2                              384
ASTRAZENECA PLC                 COM         046353108     158,628     3,427  SH      DEFINED     3                            3,427
ASTRAZENECA PLC                 COM         046353108     104,153     2,250  SH      DEFINED     4                            2,250
ASTRONICS CORP                  COM         046433108     268,826     7,507  SH      SOLE        1        7,507
ASTRONICS CORP                  COM         046433108      48,129     1,344  SH      DEFINED     3                            1,344
ASTROTECH CORP                  COM         046484101       2,244     4,000  SH      DEFINED     2                            4,000
AT CROSS CO CL A                COM         227478104      78,858     6,991  SH      SOLE        1        6,991
AT&T INC                        COM         00206R102   2,938,640    97,177  SH      DEFINED     2                           97,177
AT&T INC                        COM         00206R102   6,239,259   206,325  SH      DEFINED     3                          206,325
AT&T INC                        COM         00206R102   2,704,529    89,435  SH      DEFINED     4                           89,435
AT+T INC                        COM         00206R102 104,054,540 3,440,957  SH      SOLE        1    3,440,957
ATHENAHEALTH INC                COM         04685W103   1,251,037    25,469  SH      SOLE        1       25,469
ATHENAHEALTH INC                COM         04685W103      12,280       250  SH      DEFINED     3                              250
ATLANTIC AMERN CORP             COM         048209100         364       185  SH      DEFINED     2                              185
ATLANTIC POWER CORP             COM         04878Q863   1,185,184    82,880  SH      SOLE        1       82,880
ATLANTIC PWR CORP               COM         04878Q863     204,500    14,301  SH      DEFINED     2                           14,301
ATLANTIC PWR CORP               COM         04878Q863   1,751,750   122,500  SH      DEFINED     3                          122,500
ATLANTIC PWR CORP               COM         04878Q863     427,570    29,900  SH      DEFINED     4                           29,900
ATLANTIC TELE NETWORK INC       COM         049079205     297,834     7,627  SH      SOLE        1        7,627
ATLAS AIR WORLDWIDE HOLDIN      COM         049164205   2,979,132    77,521  SH      SOLE        1       77,521
ATLAS ENERGY LP                 COM         04930A104      14,702       605  SH      DEFINED     2                              605
ATLAS ENERGY LP                 COM         04930A104     157,950     6,500  SH      DEFINED     3                            6,500
ATLAS PIPELINE PARTNERS LP      COM         049392103     284,606     7,661  SH      DEFINED     2                            7,661
ATLAS PIPELINE PARTNERS LP      COM         049392103     105,878     2,850  SH      DEFINED     3                            2,850
ATLAS PIPELINE PARTNERS LP      COM         049392103     166,427     4,480  SH      DEFINED     4                            4,480
ATMEL CORP                      COM         049513104   8,698,809 1,073,927  SH      SOLE        1    1,073,927
ATMEL CORP                      COM         049513104       3,240       400  SH      DEFINED     2                              400
ATMEL CORP                      COM         049513104      55,323     6,830  SH      DEFINED     3                            6,830
ATMI INC                        COM         00207R101     516,534    25,788  SH      SOLE        1       25,788
ATMOS ENERGY CORP               COM         049560105   6,636,116   198,984  SH      SOLE        1      198,984
ATMOS ENERGY CORP               COM         049560105      94,039     2,820  SH      DEFINED     3                            2,820
ATMOS ENERGY CORP               COM         049560105         934        28  SH      DEFINED     4                               28
ATP OIL & GAS CORP              COM         00208J108      58,880     8,000  SH      DEFINED     2                            8,000
ATP OIL & GAS CORP              COM         00208J108      33,120     4,500  SH      DEFINED     3                            4,500
ATP OIL + GAS CORPORATION       COM         00208J108     239,318    32,516  SH      SOLE        1       32,516
ATRICURE INC                    COM         04963C209     113,875    10,259  SH      SOLE        1       10,259
ATRION CORPORATION              COM         049904105     276,505     1,151  SH      SOLE        1        1,151
ATWOOD OCEANICS INC             COM         050095108   4,940,326   124,160  SH      SOLE        1      124,160
ATWOOD OCEANICS INC             COM         050095108      19,895       500  SH      DEFINED     4                              500
AU OPTRONICS CORP               COM         002255107          13         3  SH      DEFINED     2                                3
AURICO GOLD INC                 COM         05155C105         577        72  SH      DEFINED     2                               72
AURICO GOLD INC                 COM         05155C105       9,612     1,200  SH      DEFINED     3                            1,200
AURICO GOLD INC                 COM         05155C105         873       109  SH      DEFINED     4                              109
AUTHENTEC INC                   COM         052660107       9,630     3,000  SH      DEFINED     4                            3,000
AUTODESK INC                    COM         052769106   3,210,794   105,862  SH      SOLE        1      105,862
AUTODESK INC                    COM         052769106       9,099       300  SH      DEFINED     3                              300
AUTODESK INC                    COM         052769106       3,458       114  SH      DEFINED     4                              114
AUTOLIV INC                     COM         052800109      44,129       825  SH      DEFINED     4                              825
AUTOMATIC DATA PROCESSING       COM         053015103  12,111,418   224,244  SH      SOLE        1      224,244
AUTOMATIC DATA PROCESSING IN    COM         053015103     659,905    12,218  SH      DEFINED     2                           12,218
AUTOMATIC DATA PROCESSING IN    COM         053015103     391,833     7,255  SH      DEFINED     3                            7,255
AUTOMATIC DATA PROCESSING IN    COM         053015103     240,174     4,447  SH      DEFINED     4                            4,447
AUTONATION INC                  COM         05329W102     560,940    15,214  SH      SOLE        1       15,214
AUTOZONE INC                    COM         053332102   2,839,913     8,739  SH      SOLE        1        8,739
AUTOZONE INC                    COM         053332102       2,275         7  SH      DEFINED     2                                7
AUTOZONE INC                    COM         053332102      16,249        50  SH      DEFINED     3                               50
AUXILIUM PHARMACEUTICALS I      COM         05334D107   5,150,749   258,442  SH      SOLE        1      258,442
AUXILIUM PHARMACEUTICALS INC    COM         05334D107       9,965       500  SH      DEFINED     4                              500
AVAGO TECHNOLOGIES LTD          COM         Y0486S104     470,476    16,302  SH      SOLE        1       16,302
AVAGO TECHNOLOGIES LTD          COM         Y0486S104         924        32  SH      DEFINED     4                               32
AVALON RARE METALS INC          COM         053470100       3,076     1,298  SH      DEFINED     3                            1,298
AVALONBAY CMNTYS INC            COM         053484101       2,612        20  SH      DEFINED     4                               20
AVALONBAY COMMUNITIES INC       COM         053484101   4,091,567    31,329  SH      SOLE        1       31,329
AVANIR PHARMACEUTICALS INC      COM         05348P401     185,806    90,637  SH      SOLE        1       90,637
AVANIR PHARMACEUTICALS INC      COM         05348P401       5,225     2,549  SH      DEFINED     3                            2,549
AVANIR PHARMACEUTICALS INC      COM         05348P401         256       125  SH      DEFINED     4                              125
AVATAR HLDGS INC                COM         053494100       1,436       200  SH      DEFINED     2                              200
AVATAR HOLDINGS INC             COM         053494100      46,814     6,520  SH      SOLE        1        6,520
AVEO PHARMACEUTICALS INC        COM         053588109     393,622    22,885  SH      SOLE        1       22,885
AVEO PHARMACEUTICALS INC        COM         053588109      11,902       692  SH      DEFINED     4                              692
AVERY DENNISON CORP             COM         053611109   1,602,753    55,884  SH      SOLE        1       55,884
AVI BIOPHARMA INC               COM         002346104      73,766    99,015  SH      SOLE        1       99,015
AVI BIOPHARMA INC               COM         002346104         373       500  SH      DEFINED     2                              500
AVIAT NETWORKS INC              COM         05366Y102      81,018    44,272  SH      SOLE        1       44,272
AVIAT NETWORKS INC              COM         05366Y102       7,320     4,000  SH      DEFINED     2                            4,000
AVID TECHNOLOGY INC             COM         05367P100     205,692    24,114  SH      SOLE        1       24,114
AVID TECHNOLOGY INC             COM         05367P100       8,530     1,000  SH      DEFINED     2                            1,000
AVIS BUDGET GROUP               COM         053774105      16,080     1,500  SH      DEFINED     2                            1,500
AVIS BUDGET GROUP               COM         053774105         418        39  SH      DEFINED     3                               39
AVIS BUDGET GROUP               COM         053774105          54         5  SH      DEFINED     4                                5
AVIS BUDGET GROUP INC           COM         053774105     822,010    76,680  SH      SOLE        1       76,680
AVISTA CORP                     COM         05379B107   1,210,379    47,005  SH      SOLE        1       47,005
AVISTA CORP                     COM         05379B107      13,802       536  SH      DEFINED     2                              536
AVISTA CORP                     COM         05379B107       4,275       166  SH      DEFINED     3                              166
AVNET INC                       COM         053807103  10,162,637   326,878  SH      SOLE        1      326,878
AVNET INC                       COM         053807103     517,120    16,633  SH      DEFINED     3                           16,633
AVON PRODS INC                  COM         054303102       9,975       571  SH      DEFINED     3                              571
AVX CORP                        COM         002444107      19,625     1,538  SH      SOLE        1        1,538
AXCELIS TECHNOLOGIES INC        COM         054540109     103,063    77,491  SH      SOLE        1       77,491
AXCELIS TECHNOLOGIES INC        COM         054540109         293       220  SH      DEFINED     2                              220
AXCELIS TECHNOLOGIES INC        COM         054540109       1,330     1,000  SH      DEFINED     4                            1,000
AXIS CAPITAL HOLDINGS           COM         G0692U109         735        23  SH      DEFINED     3                               23
AXIS CAPITAL HOLDINGS           COM         G0692U109       7,511       235  SH      DEFINED     4                              235






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
AXIS CAPITAL HOLDINGS LTD       COM         G0692U109     132,059     4,132  SH      SOLE        1        4,132
AXT INC                         COM         00246W103      97,382    23,353  SH      SOLE        1       23,353
AZZ INC                         COM         002474104     464,533    10,223  SH      SOLE        1       10,223
B & G FOODS INC NEW             COM         05508R106     116,403     4,836  SH      DEFINED     2                            4,836
B & G FOODS INC NEW             COM         05508R106      69,562     2,890  SH      DEFINED     3                            2,890
B & G FOODS INC NEW             COM         05508R106      69,248     2,877  SH      DEFINED     4                            2,877
B+G FOODS INC                   COM         05508R106   8,445,706   350,881  SH      SOLE        1      350,881
BABCOCK & WILCOX CO NEW         COM         05615F102          97         4  SH      DEFINED     3                                4
BABCOCK + WILCOX CO/THE         COM         05615F102      47,314     1,960  SH      SOLE        1        1,960
BACTERIN INTERNATIONAL HOL      COM         05644R101      49,690    17,374  SH      SOLE        1       17,374
BADGER METER INC                COM         056525108     361,136    12,271  SH      SOLE        1       12,271
BADGER METER INC                COM         056525108       2,943       100  SH      DEFINED     3                              100
BAIDU INC                       COM         056752108      68,135       585  SH      DEFINED     2                              585
BAIDU INC                       COM         056752108      95,971       824  SH      DEFINED     3                              824
BAIDU INC                       COM         056752108     145,588     1,250  SH      DEFINED     4                            1,250
BAIDU INC   SPON ADR            ADR         056752108   3,466,613    29,764  SH      SOLE        1       29,764
BAKER HUGHES INC                COM         057224107   8,213,545   168,864  SH      SOLE        1      168,864
BAKER HUGHES INC                COM         057224107       4,864       100  SH      DEFINED     2                              100
BAKER HUGHES INC                COM         057224107      63,232     1,300  SH      DEFINED     3                            1,300
BAKER HUGHES INC                COM         057224107       3,162        65  SH      DEFINED     4                               65
BALCHEM CORP                    COM         057665200     953,541    23,521  SH      SOLE        1       23,521
BALCHEM CORP                    COM         057665200       6,081       150  SH      DEFINED     3                              150
BALDWIN & LYONS INC             COM         057755100       6,645       300  SH      DEFINED     2                              300
BALDWIN & LYONS INC             COM         057755209      30,812     1,413  SH      DEFINED     2                            1,413
BALDWIN + LYONS INC  CL B       COM         057755209     133,154     6,108  SH      SOLE        1        6,108
BALL CORP                       COM         058498106   1,829,316    51,227  SH      SOLE        1       51,227
BALL CORP                       COM         058498106       7,142       200  SH      DEFINED     2                              200
BALL CORP                       COM         058498106      93,346     2,614  SH      DEFINED     4                            2,614
BALLARD PWR SYS INC NEW         COM         058586108         875       810  SH      DEFINED     3                              810
BALLY TECHNOLOGIES INC          COM         05874B107   3,752,820    94,864  SH      SOLE        1       94,864
BALLY TECHNOLOGIES INC          COM         05874B107       1,780        45  SH      DEFINED     2                               45
BALTIC TRADING LIMITED          COM         Y0553W103      29,247     6,157  SH      DEFINED     2                            6,157
BALTIC TRADING LTD              COM         Y0553W103      56,563    11,908  SH      SOLE        1       11,908
BANCFIRST CORP                  COM         05945F103     184,396     4,912  SH      SOLE        1        4,912
BANCO BILBAO VIZCAYA ARGENTA    COM         05946K101      15,375     1,794  SH      DEFINED     2                            1,794
BANCO BRADESCO S A              COM         059460303      71,641     4,295  SH      DEFINED     2                            4,295
BANCO BRADESCO S A              COM         059460303      36,640     2,197  SH      DEFINED     3                            2,197
BANCO BRADESCO S A              COM         059460303       6,055       363  SH      DEFINED     4                              363
BANCO LATINOAMERICANO COME      COM         P16994132     326,200    20,324  SH      SOLE        1       20,324
BANCO SANTANDER BRASIL S A      COM         05967A107      25,674     3,154  SH      DEFINED     3                            3,154
BANCO SANTANDER CHILE NEW       COM         05965X109       7,646       101  SH      DEFINED     4                              101
BANCO SANTANDER SA              COM         05964H105      90,163    11,990  SH      DEFINED     2                           11,990
BANCO SANTANDER SA              COM         05964H105         150        20  SH      DEFINED     3                               20
BANCO SANTANDER SA              COM         05964H105       8,009     1,065  SH      DEFINED     4                            1,065
BANCORP INC/THE                 COM         05969A105     154,433    21,360  SH      SOLE        1       21,360
BANCORP RHODE ISLAND INC        COM         059690107     107,825     2,716  SH      SOLE        1        2,716
BANCORPSOUTH INC                COM         059692103   2,408,730   218,578  SH      SOLE        1      218,578
BANK HAWAII CORP                COM         062540109      23,802       535  SH      DEFINED     3                              535
BANK MONTREAL QUE               COM         063671101      60,017     1,095  SH      DEFINED     2                            1,095
BANK MONTREAL QUE               COM         063671101       1,041        19  SH      DEFINED     3                               19
BANK MONTREAL QUE               COM         063671101      16,443       300  SH      DEFINED     4                              300
BANK MUTUAL CORP                COM         063750103     119,225    37,492  SH      SOLE        1       37,492
BANK NOVA SCOTIA HALIFAX        COM         064149107      80,941     1,625  SH      DEFINED     3                            1,625
BANK OF AMERICA CORP            COM         060505104  22,161,348 3,985,854  SH      SOLE        1    3,985,854
BANK OF AMERICA CORPORATION     COM         060505104     666,661   119,903  SH      DEFINED     2                          119,903
BANK OF AMERICA CORPORATION     COM         060505682     558,060       710  SH      DEFINED     2                              710
BANK OF AMERICA CORPORATION     COM         060505104     973,540   175,097  SH      DEFINED     3                          175,097
BANK OF AMERICA CORPORATION     COM         060505682      19,650        25  SH      DEFINED     3                               25
BANK OF AMERICA CORPORATION     COM         060505104     181,325    32,612  SH      DEFINED     4                           32,612
BANK OF AMERICA CORPORATION     COM         060505146       2,020     1,000  SH      DEFINED     4                            1,000
BANK OF AMERICA CORPORATION     COM         060505904       2,070        90  SH  C   DEFINED     4                               90
BANK OF HAWAII CORP             COM         062540109   4,552,350   102,323  SH      SOLE        1      102,323
BANK OF KENTUCKY FINL CORP      COM         062896105      84,330     4,206  SH      SOLE        1        4,206
BANK OF MARIN BANCORP           COM         063425102      12,217       325  SH      DEFINED     4                              325
BANK OF MARIN BANCORP/CA        COM         063425102     146,075     3,886  SH      SOLE        1        3,886
BANK OF NEW YORK MELLON CO      COM         064058100   9,068,507   455,475  SH      SOLE        1      455,475
BANK OF NEW YORK MELLON CORP    COM         064058100      76,236     3,829  SH      DEFINED     2                            3,829
BANK OF NEW YORK MELLON CORP    COM         064058100      79,883     4,012  SH      DEFINED     3                            4,012
BANK OF NEW YORK MELLON CORP    COM         064058100     142,217     7,143  SH      DEFINED     4                            7,143
BANK OF THE OZARKS              COM         063904106     678,705    22,906  SH      SOLE        1       22,906
BANK OF THE OZARKS INC          COM         063904106     696,483    23,506  SH      DEFINED     3                           23,506
BANKATLANTIC BANCORP            COM         065908808         845       250  SH      DEFINED     2                              250
BANKFINANCIAL CORP              COM         06643P104      84,958    15,391  SH      SOLE        1       15,391
BANKRATE INC                    COM         06647F102     361,071    16,794  SH      SOLE        1       16,794
BANKUNITED INC                  COM         06652K103      23,485     1,068  SH      SOLE        1        1,068
BANNER CORPORATION              COM         06652V208     207,069    12,074  SH      SOLE        1       12,074
BAR HBR BANKSHARES              COM         066849100      74,950     2,500  SH      DEFINED     2                            2,500
BARCLAYS BANK PLC               COM         06739H214       6,708        82  SH      DEFINED     2                               82
BARCLAYS BANK PLC               COM         06739H248       8,010        95  SH      DEFINED     2                               95
BARCLAYS BANK PLC               COM         06739H263       4,366        89  SH      DEFINED     2                               89
BARCLAYS BANK PLC               COM         06739H305      30,395       675  SH      DEFINED     2                              675
BARCLAYS BANK PLC               COM         06739H362      50,486     2,266  SH      DEFINED     2                            2,266
BARCLAYS BANK PLC               COM         06739H776      27,678     1,400  SH      DEFINED     2                            1,400
BARCLAYS BANK PLC               COM         06739H214      21,841       267  SH      DEFINED     3                              267
BARCLAYS BANK PLC               COM         06739H248      21,080       250  SH      DEFINED     3                              250
BARCLAYS BANK PLC               COM         06739H255         512        16  SH      DEFINED     3                               16
BARCLAYS BANK PLC               COM         06739H305       5,314       118  SH      DEFINED     3                              118
BARCLAYS BANK PLC               COM         06739H743     131,956     4,434  SH      DEFINED     3                            4,434
BARCLAYS BANK PLC               COM         06739H776       7,908       400  SH      DEFINED     3                              400
BARCLAYS BANK PLC               COM         06739H206      17,896       335  SH      DEFINED     4                              335
BARCLAYS BANK PLC               COM         06739H248      34,150       405  SH      DEFINED     4                              405
BARCLAYS BANK PLC               COM         06739H255       5,252       164  SH      DEFINED     4                              164
BARCLAYS BANK PLC               COM         06739H305      27,693       615  SH      DEFINED     4                              615
BARCLAYS BANK PLC               COM         06739H511       8,432       400  SH      DEFINED     4                              400
BARCLAYS BANK PLC               COM         06739H750       2,761       145  SH      DEFINED     4                              145
BARCLAYS BANK PLC               COM         06739H776      29,655     1,500  SH      DEFINED     4                            1,500
BARCLAYS BK PLC                 COM         06738C778      36,200       857  SH      DEFINED     2                              857
BARCLAYS BK PLC                 COM         06738C786       5,024       200  SH      DEFINED     2                              200
BARCLAYS BK PLC                 COM         06739F101       4,404       100  SH      DEFINED     2                              100
BARCLAYS BK PLC                 COM         06739F291       4,662       100  SH      DEFINED     2                              100
BARCLAYS BK PLC                 COM         06739F390      21,091     1,150  SH      DEFINED     2                            1,150
BARCLAYS BK PLC                 COM         06740C261      48,356     1,361  SH      DEFINED     2                            1,361
BARCLAYS BK PLC                 COM         06740L485       2,742        47  SH      DEFINED     2                               47
BARCLAYS BK PLC                 COM         06740P270       8,552       200  SH      DEFINED     2                              200
BARCLAYS BK PLC                 COM         06738C778     100,236     2,373  SH      DEFINED     3                            2,373
BARCLAYS BK PLC                 COM         06738C786       2,512       100  SH      DEFINED     3                              100
BARCLAYS BK PLC                 COM         06739F101      70,684     1,605  SH      DEFINED     3                            1,605
BARCLAYS BK PLC                 COM         06739F135     205,543     4,078  SH      DEFINED     3                            4,078
BARCLAYS BK PLC                 COM         06739F291       2,844        61  SH      DEFINED     3                               61
BARCLAYS BK PLC                 COM         06740C261       8,527       240  SH      DEFINED     3                              240
BARCLAYS BK PLC                 COM         06740C337     861,648     6,840  SH      DEFINED     3                            6,840
BARCLAYS BK PLC                 COM         06740L485         408         7  SH      DEFINED     3                                7
BARCLAYS BK PLC                 COM         06741L609     501,033     8,860  SH      DEFINED     3                            8,860
BARCLAYS BK PLC                 COM         06738C778      61,459     1,455  SH      DEFINED     4                            1,455
BARCLAYS BK PLC                 COM         06740C261      14,638       412  SH      DEFINED     4                              412






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
BARCLAYS PLC                    COM         06738E204       7,968       725  SH      DEFINED     3                              725
BARD C R INC                    COM         067383109       1,967        23  SH      DEFINED     2                               23
BARD C R INC                    COM         067383109       1,197        14  SH      DEFINED     3                               14
BARNES & NOBLE INC              COM         067774109         771        53  SH      DEFINED     2                               53
BARNES + NOBLE INC              COM         067774109   1,592,945   110,010  SH      SOLE        1      110,010
BARNES GROUP INC                COM         067806109   1,054,764    43,748  SH      SOLE        1       43,748
BARNES GROUP INC                COM         067806109       1,543        64  SH      DEFINED     3                               64
BARRETT BILL CORP               COM         06846N104       6,814       200  SH      DEFINED     2                              200
BARRETT BUSINESS SVCS INC       COM         068463108     110,938     5,558  SH      SOLE        1        5,558
BARRICK GOLD CORP               COM         067901108     181,729     4,016  SH      DEFINED     2                            4,016
BARRICK GOLD CORP               COM         067901108     320,234     7,077  SH      DEFINED     3                            7,077
BARRICK GOLD CORP               COM         067901908         480        10  SH  C   DEFINED     3                               10
BARRICK GOLD CORP               COM         067901108      27,829       615  SH      DEFINED     4                              615
BARRICK GOLD CORP               COM         067901958         250         1  SH  P   DEFINED     4                                1
BARRY (R.G.)                    COM         068798107      75,814     6,276  SH      SOLE        1        6,276
BASIC ENERGY SERVICES INC       COM         06985P100     395,478    20,075  SH      SOLE        1       20,075
BAXTER INTERNATIONAL INC        COM         071813109   8,282,061   167,382  SH      SOLE        1      167,382
BAXTER INTL INC                 COM         071813109     420,580     8,500  SH      DEFINED     2                            8,500
BAXTER INTL INC                 COM         071813109      84,116     1,700  SH      DEFINED     3                            1,700
BAXTER INTL INC                 COM         071813109     245,767     4,967  SH      DEFINED     4                            4,967
BAYTEX ENERGY CORP              COM         07317Q105       5,589       100  SH      DEFINED     4                              100
BB&T CORP                       COM         054937107   4,872,988   193,603  SH      DEFINED     2                          193,603
BB&T CORP                       COM         054937107       4,678       186  SH      DEFINED     3                              186
BB+T CORP                       COM         054937107   7,815,814   310,521  SH      SOLE        1      310,521
BBCN BANCORP INC                COM         073295107     574,494    60,793  SH      SOLE        1       60,793
BBCN BANCORP INC                COM         073295107          57         6  SH      DEFINED     3                                6
BCE INC                         COM         05534B760       9,209       221  SH      DEFINED     2                              221
BCE INC                         COM         05534B760       4,167       100  SH      DEFINED     3                              100
BCE INC                         COM         05534B760      56,255     1,350  SH      DEFINED     4                            1,350
BE AEROSPACE INC                COM         073302101  15,848,455   409,415  SH      SOLE        1      409,415
BE AEROSPACE INC                COM         073302101      11,613       300  SH      DEFINED     3                              300
BEACON ROOFING SUPPLY INC       COM         073685109     679,263    33,577  SH      SOLE        1       33,577
BEAM INC                        COM         073730103   2,641,470    51,561  SH      SOLE        1       51,561
BEAM INC                        COM         073730103      21,004       410  SH      DEFINED     2                              410
BEAM INC                        COM         073730103       2,766        54  SH      DEFINED     3                               54
BEAM INC                        COM         073730103     102,460     2,000  SH      DEFINED     4                            2,000
BEAZER HOMES USA INC            COM         07556Q105     138,005    55,647  SH      SOLE        1       55,647
BEBE STORES INC                 COM         075571109     233,731    28,059  SH      SOLE        1       28,059
BECTON DICKINSON & CO           COM         075887109      63,512       850  SH      DEFINED     2                              850
BECTON DICKINSON & CO           COM         075887109     173,948     2,328  SH      DEFINED     3                            2,328
BECTON DICKINSON AND CO         COM         075887109   4,769,527    63,832  SH      SOLE        1       63,832
BED BATH & BEYOND INC           COM         075896100     203,938     3,518  SH      DEFINED     2                            3,518
BED BATH & BEYOND INC           COM         075896100     528,860     9,123  SH      DEFINED     3                            9,123
BED BATH & BEYOND INC           COM         075896100       1,449        25  SH      DEFINED     4                               25
BED BATH + BEYOND INC           COM         075896100   6,472,466   111,652  SH      SOLE        1      111,652
BEL FUSE INC CL B               COM         077347300     160,069     8,537  SH      SOLE        1        8,537
BELDEN INC                      COM         077454106   1,282,478    38,536  SH      SOLE        1       38,536
BELO CORPORATION A              COM         080555105     426,044    67,626  SH      SOLE        1       67,626
BEMIS COMPANY                   COM         081437105   1,030,060    34,244  SH      SOLE        1       34,244
BENCHMARK ELECTRONICS INC       COM         08160H101     663,020    49,222  SH      SOLE        1       49,222
BENEFICIAL MUTUAL BANCORP       COM         08173R104     203,056    24,289  SH      SOLE        1       24,289
BENIHANA INC                    COM         082047101     107,834    10,541  SH      SOLE        1       10,541
BERKLEY W R CORP                COM         084423102       6,946       202  SH      DEFINED     2                              202
BERKLEY W R CORP                COM         084423102      37,829     1,100  SH      DEFINED     4                            1,100
BERKSHIRE HATHAWAY INC CL       COM         084670702  40,263,815   527,704  SH      SOLE        1      527,704
BERKSHIRE HATHAWAY INC DEL      COM         084670108     114,755         1  SH      DEFINED     2                                1
BERKSHIRE HATHAWAY INC DEL      COM         084670702     695,780     9,119  SH      DEFINED     2                            9,119
BERKSHIRE HATHAWAY INC DEL      COM         084670108     114,755         1  SH      DEFINED     3                                1
BERKSHIRE HATHAWAY INC DEL      COM         084670702   1,464,044    19,188  SH      DEFINED     3                           19,188
BERKSHIRE HATHAWAY INC DEL      COM         084670108     229,510         2  SH      DEFINED     4                                2
BERKSHIRE HATHAWAY INC DEL      COM         084670702   1,257,195    16,477  SH      DEFINED     4                           16,477
BERKSHIRE HILLS BANCORP IN      COM         084680107     336,045    15,144  SH      SOLE        1       15,144
BERRY PETE CO                   COM         085789105       3,109        74  SH      DEFINED     2                               74
BERRY PETE CO                   COM         085789105       1,219        29  SH      DEFINED     3                               29
BERRY PETROLEUM CO CLASS A      COM         085789105   1,581,801    37,644  SH      SOLE        1       37,644
BEST BUY CO INC                 COM         086516101   2,277,991    97,475  SH      SOLE        1       97,475
BEST BUY INC                    COM         086516101       4,581       196  SH      DEFINED     2                              196
BEST BUY INC                    COM         086516101      37,836     1,619  SH      DEFINED     3                            1,619
BEST BUY INC                    COM         086516101      76,654     3,280  SH      DEFINED     4                            3,280
BG MEDICINE INC                 COM         08861T107      26,474     5,609  SH      SOLE        1        5,609
BGC PARTNERS INC                COM         05541T101      16,810     2,830  SH      DEFINED     3                            2,830
BGC PARTNERS INC                COM         05541T101     536,382    90,300  SH      DEFINED     4                           90,300
BGC PARTNERS INC CL A           COM         05541T101     327,936    55,208  SH      SOLE        1       55,208
BHP BILLITON LTD                COM         088606108      17,658       250  SH      DEFINED     2                              250
BHP BILLITON LTD                COM         088606108     445,176     6,303  SH      DEFINED     3                            6,303
BHP BILLITON LTD                COM         088606108     205,886     2,915  SH      DEFINED     4                            2,915
BIG 5 SPORTING GOODS CORP       COM         08915P101     186,751    17,888  SH      SOLE        1       17,888
BIG LOTS INC                    COM         089302103     804,590    21,308  SH      SOLE        1       21,308
BIG LOTS INC                    COM         089302103      13,216       350  SH      DEFINED     4                              350
BIGLARI HOLDINGS INC            COM         08986R101     370,818     1,007  SH      SOLE        1        1,007
BILL BARRETT CORP               COM         06846N104   4,635,837   136,068  SH      SOLE        1      136,068
BIO RAD LABORATORIES A          COM         090572207   4,161,605    43,332  SH      SOLE        1       43,332
BIO RAD LABS INC                COM         090572207       1,537        16  SH      DEFINED     2                               16
BIO RAD LABS INC                COM         090572207      52,822       550  SH      DEFINED     3                              550
BIO REFERENCE LABS INC          COM         09057G602     326,051    20,040  SH      SOLE        1       20,040
BIOCRYST PHARMACEUTICALS        COM         09058V103       3,458     1,400  SH      DEFINED     2                            1,400
BIOCRYST PHARMACEUTICALS I      COM         09058V103      52,149    21,113  SH      SOLE        1       21,113
BIOGEN IDEC INC                 COM         09062X103  21,333,193   193,850  SH      SOLE        1      193,850
BIOGEN IDEC INC                 COM         09062X103      12,766       116  SH      DEFINED     2                              116
BIOGEN IDEC INC                 COM         09062X103      69,442       631  SH      DEFINED     3                              631
BIOGEN IDEC INC                 COM         09062X103      14,417       131  SH      DEFINED     4                              131
BIOLASE TECHNOLOGY INC          COM         090911108      57,445    22,352  SH      SOLE        1       22,352
BIOMARIN PHARMACEUTICAL IN      COM         09061G101   2,006,245    58,355  SH      SOLE        1       58,355
BIOMIMETIC THERAPEUTICS IN      COM         09064X101      39,963    14,022  SH      SOLE        1       14,022
BIO-REFERENCE LABS INC          COM         09057G602       4,881       300  SH      DEFINED     3                              300
BIOSANTE PHARMACEUTICALS I      COM         09065V203      40,180    80,024  SH      SOLE        1       80,024
BIOSANTE PHARMACEUTICALS INC    COM         09065V203           1         2  SH      DEFINED     2                                2
BIOSCRIP INC                    COM         09069N108     162,309    29,727  SH      SOLE        1       29,727
BIOSCRIP INC                    COM         09069N108         142        26  SH      DEFINED     3                               26
BIOSPECIFICS TECHNOLOGIES       COM         090931106      60,081     3,615  SH      SOLE        1        3,615
BIOTECH HOLDRS TR               COM         09067D201           0         8  SH      DEFINED     3                                8
BIOTIME INC                     COM         09066L105     104,783    18,035  SH      SOLE        1       18,035
BIOTIME INC                     COM         09066L105       1,162       200  SH      DEFINED     2                              200
BIOTIME INC                     COM         09066L105       1,121       193  SH      DEFINED     3                              193
BIRNER DENTAL MGMT SERVICES     COM         091283200      19,200     1,200  SH      DEFINED     2                            1,200
BJ S RESTAURANTS INC            COM         09180C106     888,408    19,603  SH      SOLE        1       19,603
BLACK BOX CORP                  COM         091826107     409,889    14,618  SH      SOLE        1       14,618
BLACK DIAMOND INC               COM         09202G101      72,227     9,669  SH      SOLE        1        9,669
BLACK HILLS CORP                COM         092113109   3,844,373   114,484  SH      SOLE        1      114,484
BLACK HILLS CORP                COM         092113109      33,580     1,000  SH      DEFINED     3                            1,000
BLACK HILLS CORP                COM         092113109       3,609       107  SH      DEFINED     4                              107
BLACKBAUD INC                   COM         09227Q100   1,001,660    36,161  SH      SOLE        1       36,161
BLACKROCK BUILD AMER BD TR      COM         09248X100      42,700     2,000  SH      DEFINED     4                            2,000
BLACKROCK CORE BD TR            COM         09249E101       2,636       195  SH      DEFINED     2                              195
BLACKROCK CORPOR HI YLD III     COM         09255M104     154,910    21,880  SH      DEFINED     3                           21,880






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
BLACKROCK CORPOR HI YLD III     COM         09255M104     415,731    58,719  SH      DEFINED     4                           58,719
BLACKROCK CORPOR HIGH YLD FD    COM         09255L106     101,625    14,095  SH      DEFINED     3                           14,095
BLACKROCK DEBT STRAT FD INC     COM         09255R103       9,700     2,500  SH      DEFINED     2                            2,500
BLACKROCK DEBT STRAT FD INC     COM         09255R103      23,280     6,000  SH      DEFINED     3                            6,000
BLACKROCK DEBT STRAT FD INC     COM         09255R103      47,325    12,197  SH      DEFINED     4                           12,197
BLACKROCK ENERGY & RES TR       COM         09250U101      46,853     1,916  SH      DEFINED     2                            1,916
BLACKROCK ENERGY & RES TR       COM         09250U101      36,675     1,500  SH      DEFINED     4                            1,500
BLACKROCK ENH CAP & INC FD I    COM         09256A109      71,315     5,798  SH      DEFINED     3                            5,798
BLACKROCK ENH CAP & INC FD I    COM         09256A109       4,982       405  SH      DEFINED     4                              405
BLACKROCK ENHANCED EQT DIV T    COM         09251A104     461,816    65,321  SH      DEFINED     3                           65,321
BLACKROCK ENHANCED EQT DIV T    COM         09251A104      42,420     6,000  SH      DEFINED     4                            6,000
BLACKROCK FLOAT RATE OME STR    COM         09255X100      40,080     3,000  SH      DEFINED     3                            3,000
BLACKROCK FLOATING RATE INCO    COM         091941104      13,470     1,000  SH      DEFINED     3                            1,000
BLACKROCK GLOBAL OPP EQTY TR    COM         092501105     158,520    12,000  SH      DEFINED     3                           12,000
BLACKROCK GLOBAL OPP EQTY TR    COM         092501105       6,896       522  SH      DEFINED     4                              522
BLACKROCK HEALTH SCIENCES TR    COM         09250W107      24,753       985  SH      DEFINED     2                              985
BLACKROCK HIGH INCOME SHS       COM         09250E107      28,340    13,000  SH      DEFINED     2                           13,000
BLACKROCK HIGH INCOME SHS       COM         09250E107       4,452     2,042  SH      DEFINED     3                            2,042
BLACKROCK HIGH YIELD TR         COM         09248N102      33,700     5,000  SH      DEFINED     2                            5,000
BLACKROCK INC                   COM         09247X101   7,524,045    42,213  SH      SOLE        1       42,213
BLACKROCK INC                   COM         09247X101      23,171       130  SH      DEFINED     2                              130
BLACKROCK INC                   COM         09247X101     210,323     1,180  SH      DEFINED     3                            1,180
BLACKROCK INC                   COM         09247X101      11,764        66  SH      DEFINED     4                               66
BLACKROCK INCOME OPP TRUST I    COM         092475102       5,110       500  SH      DEFINED     2                              500
BLACKROCK INCOME OPP TRUST I    COM         092475102      94,831     9,279  SH      DEFINED     3                            9,279
BLACKROCK INTL GRWTH & INC T    COM         092524107     115,478    16,128  SH      DEFINED     3                           16,128
BLACKROCK KELSO CAPITAL CO      COM         092533108     435,156    53,328  SH      SOLE        1       53,328
BLACKROCK KELSO CAPITAL CORP    COM         092533108       5,794       710  SH      DEFINED     2                              710
BLACKROCK KELSO CAPITAL CORP    COM         092533108     373,320    45,750  SH      DEFINED     3                           45,750
BLACKROCK KELSO CAPITAL CORP    COM         092533108      85,559    10,485  SH      DEFINED     4                           10,485
BLACKROCK LONG-TERM MUNI ADV    COM         09250B103       5,835       500  SH      DEFINED     3                              500
BLACKROCK LTD DURATION INC T    COM         09249W101      35,901     2,248  SH      DEFINED     3                            2,248
BLACKROCK LTD DURATION INC T    COM         09249W101      73,462     4,600  SH      DEFINED     4                            4,600
BLACKROCK MUN INCOME TR         COM         09248F109      13,950     1,000  SH      DEFINED     4                            1,000
BLACKROCK MUNI INCOME TR II     COM         09249N101      71,487     4,700  SH      DEFINED     2                            4,700
BLACKROCK MUNI INTER DR FD I    COM         09253X102     104,651     6,831  SH      DEFINED     3                            6,831
BLACKROCK MUNI INTER DR FD I    COM         09253X102      11,490       750  SH      DEFINED     4                              750
BLACKROCK MUNIASSETS FD INC     COM         09254J102      16,515     1,318  SH      DEFINED     2                            1,318
BLACKROCK MUNICIPL INC QLTY     COM         092479104      25,228     1,700  SH      DEFINED     2                            1,700
BLACKROCK MUNICIPL INC QLTY     COM         092479104      46,850     3,157  SH      DEFINED     3                            3,157
BLACKROCK MUNIENHANCED FD IN    COM         09253Y100      15,132     1,300  SH      DEFINED     4                            1,300
BLACKROCK MUNIHLDGS FD II IN    COM         09253P109      46,470     3,000  SH      DEFINED     3                            3,000
BLACKROCK MUNIHLDGS NJ QLTY     COM         09254X101      13,552       861  SH      DEFINED     2                              861
BLACKROCK MUNIHLDGS NJ QLTY     COM         09254X101      91,292     5,800  SH      DEFINED     4                            5,800
BLACKROCK MUNIHLDNGS CALI QL    COM         09254L107     201,308    13,529  SH      DEFINED     3                           13,529
BLACKROCK MUNIVEST FD II INC    COM         09253T101      15,880     1,000  SH      DEFINED     2                            1,000
BLACKROCK MUNIVEST FD II INC    COM         09253T101      85,641     5,393  SH      DEFINED     3                            5,393
BLACKROCK MUNIYIELD CALIF FD    COM         09254M105      28,652     1,900  SH      DEFINED     3                            1,900
BLACKROCK MUNIYIELD FD INC      COM         09253W104     301,376    20,377  SH      DEFINED     2                           20,377
BLACKROCK MUNIYIELD NJ QLTY     COM         09255A100      73,132     4,700  SH      DEFINED     4                            4,700
BLACKROCK MUNIYIELD NY QLTY     COM         09255E102      14,080     1,000  SH      DEFINED     3                            1,000
BLACKROCK MUNIYIELD QLTY FD     COM         09254E103      19,245     1,361  SH      DEFINED     2                            1,361
BLACKROCK MUNIYIELD QLTY FD     COM         09254E103      40,002     2,829  SH      DEFINED     3                            2,829
BLACKROCK MUNIYLD INVST QLTY    COM         09254T100      18,733     1,300  SH      DEFINED     3                            1,300
BLACKROCK N Y MUN INCOME TR     COM         09248L106      39,832     2,600  SH      DEFINED     4                            2,600
BLACKROCK REAL ASSET EQUITY     COM         09254B109       9,966       934  SH      DEFINED     3                              934
BLACKROCK REAL ASSET EQUITY     COM         09254B109      20,807     1,950  SH      DEFINED     4                            1,950
BLACKROCK SR HIGH INCOME FD     COM         09255T109       3,099       805  SH      DEFINED     2                              805
BLACKROCK SR HIGH INCOME FD     COM         09255T109     172,411    44,782  SH      DEFINED     3                           44,782
BLACKROCK STRAT EQUITY DIV T    COM         09249Y107       7,840       800  SH      DEFINED     2                              800
BLACKROCK STRAT EQUITY DIV T    COM         09249Y107      37,243     3,800  SH      DEFINED     3                            3,800
BLACKROCK VA MUNICIPAL BOND     COM         092481100      15,864       800  SH      DEFINED     2                              800
BLACKSTONE GROUP L P            COM         09253U108      20,929     1,494  SH      DEFINED     2                            1,494
BLACKSTONE GROUP L P            COM         09253U108       7,201       514  SH      DEFINED     3                              514
BLACKSTONE GROUP L P            COM         09253U108      31,440     2,244  SH      DEFINED     4                            2,244
BLACKSTONE GSO FLTING RTE FU    COM         09256U105     190,301    10,365  SH      DEFINED     2                           10,365
BLACKSTONE GSO FLTING RTE FU    COM         09256U105       7,344       400  SH      DEFINED     4                              400
BLDRS INDEX FDS TR              COM         09348R300      20,939       550  SH      DEFINED     2                              550
BLDRS INDEX FDS TR              COM         09348R300     628,079    16,498  SH      DEFINED     3                           16,498
BLDRS INDEX FDS TR              COM         09348R409       7,079       380  SH      DEFINED     3                              380
BLOCK H & R INC                 COM         093671105     199,439    12,213  SH      DEFINED     3                           12,213
BLOUNT INTERNATIONAL INC        COM         095180105     515,881    35,529  SH      SOLE        1       35,529
BLUE COAT SYSTEMS INC           COM         09534T508     900,497    35,383  SH      SOLE        1       35,383
BLUE NILE INC                   COM         09578R103     402,504     9,846  SH      SOLE        1        9,846
BLUE NILE INC                   COM         09578R103       1,022        25  SH      DEFINED     4                               25
BLYTH INC                       COM         09643P207     240,378     4,232  SH      SOLE        1        4,232
BMC SOFTWARE INC                COM         055921100   2,055,109    62,694  SH      SOLE        1       62,694
BMC SOFTWARE INC                COM         055921100       1,967        60  SH      DEFINED     2                               60
BMC SOFTWARE INC                COM         055921100      20,029       611  SH      DEFINED     3                              611
BOARDWALK PIPELINE PARTNERS     COM         096627104      20,753       750  SH      DEFINED     2                              750
BOARDWALK PIPELINE PARTNERS     COM         096627104     205,505     7,427  SH      DEFINED     3                            7,427
BOB EVANS FARMS                 COM         096761101   2,882,226    85,934  SH      SOLE        1       85,934
BOB EVANS FARMS INC             COM         096761101      28,140       839  SH      DEFINED     2                              839
BODY CENTRAL CORP               COM         09689U102     214,332     8,587  SH      SOLE        1        8,587
BOEING CO                       COM         097023105     459,392     6,263  SH      DEFINED     2                            6,263
BOEING CO                       COM         097023105     903,146    12,313  SH      DEFINED     3                           12,313
BOEING CO                       COM         097023105     394,476     5,378  SH      DEFINED     4                            5,378
BOEING CO/THE                   COM         097023105  21,358,126   291,181  SH      SOLE        1      291,181
BOFI HOLDING INC                COM         05566U108     114,270     7,032  SH      SOLE        1        7,032
BOINGO WIRELESS INC             COM         09739C102      36,163     4,205  SH      SOLE        1        4,205
BOINGO WIRELESS INC             COM         09739C102       4,300       500  SH      DEFINED     4                              500
BOISE INC                       COM         09746Y105     475,410    66,771  SH      SOLE        1       66,771
BOK FINANCIAL CORPORATION       COM         05561Q201      44,878       817  SH      SOLE        1          817
BOK FINL CORP                   COM         05561Q201      11,764       214  SH      DEFINED     3                              214
BON TON STORES INC/THE          COM         09776J101      30,391     9,018  SH      SOLE        1        9,018
BON-TON STORES INC              COM         09776J101       2,561       760  SH      DEFINED     3                              760
BOOZ ALLEN HAMILTON HLDG COR    COM         099502106      17,250     1,000  SH      DEFINED     4                            1,000
BOOZ ALLEN HAMILTON HOLDIN      COM         099502106       9,919       575  SH      SOLE        1          575
BORGWARNER INC                  COM         099724106   2,193,867    34,419  SH      SOLE        1       34,419
BORGWARNER INC                  COM         099724106      83,882     1,316  SH      DEFINED     3                            1,316
BOSTON BEER COMPANY INC A       COM         100557107     728,220     6,708  SH      SOLE        1        6,708
BOSTON BEER INC                 COM         100557107     111,274     1,025  SH      DEFINED     2                            1,025
BOSTON PRIVATE FINL HOLDIN      COM         101119105     498,815    62,823  SH      SOLE        1       62,823
BOSTON PROPERTIES INC           COM         101121101   4,663,073    46,818  SH      SOLE        1       46,818
BOSTON PROPERTIES INC           COM         101121101         797         8  SH      DEFINED     3                                8
BOSTON PROPERTIES INC           COM         101121101       1,992        20  SH      DEFINED     4                               20
BOSTON SCIENTIFIC CORP          COM         101137107   2,635,012   493,448  SH      SOLE        1      493,448
BOSTON SCIENTIFIC CORP          COM         101137107       3,161       592  SH      DEFINED     2                              592
BOSTON SCIENTIFIC CORP          COM         101137107      39,868     7,466  SH      DEFINED     3                            7,466
BOSTON SCIENTIFIC CORP          COM         101137107      18,690     3,500  SH      DEFINED     4                            3,500
BOTTOMLINE TECHNOLOGIES IN      COM         101388106     678,325    29,276  SH      SOLE        1       29,276
BOULDER TOTAL RETURN FD INC     COM         101541100       6,040       400  SH      DEFINED     4                              400
BOYD GAMING CORP                COM         103304101     332,731    44,602  SH      SOLE        1       44,602
BOYD GAMING CORP                COM         103304101         761       102  SH      DEFINED     2                              102
BP PLC                          COM         055622104     507,025    11,863  SH      DEFINED     2                           11,863






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
BP PLC                          COM         055622104   1,469,742    34,388  SH      DEFINED     3                           34,388
BP PLC                          COM         055622104     543,012    12,705  SH      DEFINED     4                           12,705
BP PRUDHOE BAY RTY TR           COM         055630107     172,535     1,514  SH      DEFINED     2                            1,514
BP PRUDHOE BAY RTY TR           COM         055630107     754,415     6,620  SH      DEFINED     3                            6,620
BP PRUDHOE BAY RTY TR           COM         055630107     130,848     1,148  SH      DEFINED     4                            1,148
BPZ RESOURCES INC               COM         055639108     211,782    74,571  SH      SOLE        1       74,571
BPZ RESOURCES INC               COM         055639108       1,420       500  SH      DEFINED     4                              500
BRADY CORPORATION   CL A        COM         104674106   1,234,640    39,108  SH      SOLE        1       39,108
BRANDYWINE REALTY TRUST         COM         105368203      41,050     4,321  SH      SOLE        1        4,321
BRANDYWINE RLTY TR              COM         105368203      23,589     2,483  SH      DEFINED     2                            2,483
BRAVO BRIO RESTAURANT GROU      COM         10567B109     241,249    14,067  SH      SOLE        1       14,067
BRE PROPERTIES INC              COM         05564E106   8,368,726   165,783  SH      SOLE        1      165,783
BRE PROPERTIES INC              COM         05564E106      80,768     1,600  SH      DEFINED     2                            1,600
BRE PROPERTIES INC              COM         05564E106       5,048       100  SH      DEFINED     3                              100
BREITBURN ENERGY PARTNERS LP    COM         106776107       3,814       200  SH      DEFINED     2                              200
BREITBURN ENERGY PARTNERS LP    COM         106776107      76,375     4,005  SH      DEFINED     3                            4,005
BRF-BRASIL FOODS S A            COM         10552T107         669        34  SH      DEFINED     2                               34
BRF-BRASIL FOODS S A            COM         10552T107       3,910       200  SH      DEFINED     3                              200
BRIDGE BANCORP INC              COM         108035106      97,868     4,918  SH      SOLE        1        4,918
BRIDGE CAPITAL HOLDINGS         COM         108030107      69,462     6,679  SH      SOLE        1        6,679
BRIDGEPOINT ED INC              COM         10807M105      19,090       830  SH      DEFINED     2                              830
BRIDGEPOINT ED INC              COM         10807M105     214,705     9,335  SH      DEFINED     3                            9,335
BRIDGEPOINT EDUCATION INC       COM         10807M105     300,104    13,048  SH      SOLE        1       13,048
BRIGGS & STRATTON CORP          COM         109043109         805        52  SH      DEFINED     2                               52
BRIGGS + STRATTON               COM         109043109     636,004    41,059  SH      SOLE        1       41,059
BRIGHTPOINT INC                 COM         109473405     597,879    55,565  SH      SOLE        1       55,565
BRIGHTPOINT INC                 COM         109473405       5,380       500  SH      DEFINED     2                              500
BRIGHTPOINT INC                 COM         109473405      21,520     2,000  SH      DEFINED     3                            2,000
BRIGUS GOLD CORP                COM         109490102   1,695,407 1,756,898  SH      SOLE        1    1,756,898
BRINK S CO/THE                  COM         109696104   3,647,374   135,691  SH      SOLE        1      135,691
BRINKER INTERNATIONAL INC       COM         109641100   4,713,373   176,135  SH      SOLE        1      176,135
BRINKS CO                       COM         109696104       5,967       222  SH      DEFINED     3                              222
BRISTOL MYERS SQUIBB CO         COM         110122108     558,782    15,856  SH      DEFINED     2                           15,856
BRISTOL MYERS SQUIBB CO         COM         110122108   2,010,229    57,044  SH      DEFINED     3                           57,044
BRISTOL MYERS SQUIBB CO         COM         110122108     515,515    14,629  SH      DEFINED     4                           14,629
BRISTOW GROUP INC               COM         110394103   1,401,749    29,579  SH      SOLE        1       29,579
BRITISH AMERN TOB PLC           COM         110448107       1,233        13  SH      DEFINED     3                               13
BRITISH AMERN TOB PLC           COM         110448107      47,705       503  SH      DEFINED     4                              503
BROADCOM CORP                   COM         111320107      31,415     1,070  SH      DEFINED     2                            1,070
BROADCOM CORP                   COM         111320107       7,780       265  SH      DEFINED     3                              265
BROADCOM CORP                   COM         111320107      25,837       880  SH      DEFINED     4                              880
BROADCOM CORP CL A              COM         111320107   6,980,663   237,761  SH      SOLE        1      237,761
BROADRIDGE FINANCIAL SOLUT      COM         11133T103   6,124,039   271,576  SH      SOLE        1      271,576
BROADRIDGE FINL SOLUTIONS IN    COM         11133T103       2,886       128  SH      DEFINED     2                              128
BROADRIDGE FINL SOLUTIONS IN    COM         11133T103       1,669        74  SH      DEFINED     3                               74
BROADRIDGE FINL SOLUTIONS IN    COM         11133T103      14,139       627  SH      DEFINED     4                              627
BROADSOFT INC                   COM         11133B409     497,303    16,467  SH      SOLE        1       16,467
BROADSOFT INC                   COM         11133B409      19,630       650  SH      DEFINED     2                              650
BROADSOFT INC                   COM         11133B409      34,186     1,132  SH      DEFINED     3                            1,132
BROADWIND ENERGY INC            COM         11161T108      69,388   102,041  SH      SOLE        1      102,041
BROADWIND ENERGY INC            COM         11161T108         680     1,000  SH      DEFINED     3                            1,000
BROADWIND ENERGY INC            COM         11161T108       3,400     5,000  SH      DEFINED     4                            5,000
BROCADE COMMUNICATIONS SYS      COM         111621306      78,281    15,083  SH      SOLE        1       15,083
BROCADE COMMUNICATIONS SYS I    COM         111621306       1,266       244  SH      DEFINED     2                              244
BROCADE COMMUNICATIONS SYS I    COM         111621306      14,672     2,827  SH      DEFINED     4                            2,827
BROOKDALE SENIOR LIVING IN      COM         112463104      31,545     1,814  SH      SOLE        1        1,814
BROOKDALE SR LIVING INC         COM         112463104       1,252        72  SH      DEFINED     2                               72
BROOKFIELD ASSET MANAGE CL      COM         112585104   1,664,409    60,568  SH      SOLE        1       60,568
BROOKFIELD ASSET MGMT INC       COM         112585104      14,436       525  SH      DEFINED     2                              525
BROOKFIELD ASSET MGMT INC       COM         112585104       2,885       105  SH      DEFINED     3                              105
BROOKFIELD INFRAST PARTNERS     COM         G16252101      24,930       900  SH      DEFINED     2                              900
BROOKFIELD INFRAST PARTNERS     COM         G16252101     243,895     8,805  SH      DEFINED     3                            8,805
BROOKFIELD INFRAST PARTNERS     COM         G16252101      14,376       519  SH      DEFINED     4                              519
BROOKFIELD OFFICE PPTYS INC     COM         112900105       6,694       428  SH      DEFINED     2                              428
BROOKLINE BANCORP INC           COM         11373M107     406,327    48,143  SH      SOLE        1       48,143
BROOKS AUTOMATION INC           COM         114340102     552,238    53,772  SH      SOLE        1       53,772
BROOKS AUTOMATION INC           COM         114340102       2,311       225  SH      DEFINED     3                              225
BROWN + BROWN INC               COM         115236101   5,786,830   255,715  SH      SOLE        1      255,715
BROWN FORMAN CORP               COM         115637209       8,856       110  SH      DEFINED     2                              110
BROWN FORMAN CORP CLASS B       COM         115637209   2,561,506    31,816  SH      SOLE        1       31,816
BROWN SHOE COMPANY INC          COM         115736100     304,362    34,198  SH      SOLE        1       34,198
BRUKER CORP                     COM         116794108      17,500     1,409  SH      SOLE        1        1,409
BRUKER CORP                     COM         116794108     239,706    19,300  SH      DEFINED     4                           19,300
BRUNSWICK CORP                  COM         117043109   3,892,923   215,555  SH      SOLE        1      215,555
BRUNSWICK CORP                  COM         117043109      14,520       804  SH      DEFINED     4                              804
BRYN MAWR BANK CORP             COM         117665109     154,361     7,920  SH      SOLE        1        7,920
BRYN MAWR BK CORP               COM         117665109      23,446     1,203  SH      DEFINED     2                            1,203
BT GROUP PLC                    COM         05577E101       7,884       266  SH      DEFINED     2                              266
BUCKEYE PARTNERS L P            COM         118230101     198,717     3,106  SH      DEFINED     2                            3,106
BUCKEYE PARTNERS L P            COM         118230101     103,200     1,613  SH      DEFINED     3                            1,613
BUCKEYE PARTNERS L P            COM         118230101     161,358     2,522  SH      DEFINED     4                            2,522
BUCKEYE TECHNOLOGIES INC        COM         118255108   1,085,396    32,458  SH      SOLE        1       32,458
BUCKEYE TECHNOLOGIES INC        COM         118255108       1,772        53  SH      DEFINED     3                               53
BUCKLE INC/THE                  COM         118440106     897,342    21,956  SH      SOLE        1       21,956
BUFFALO WILD WINGS INC          COM         119848109   1,007,924    14,930  SH      SOLE        1       14,930
BUFFALO WILD WINGS INC          COM         119848109       2,700        40  SH      DEFINED     2                               40
BUFFALO WILD WINGS INC          COM         119848109      47,257       700  SH      DEFINED     3                              700
BUILD A BEAR WORKSHOP INC       COM         120076104      91,706    10,840  SH      SOLE        1       10,840
BUILDERS FIRSTSOURCE INC        COM         12008R107      67,765    33,218  SH      SOLE        1       33,218
BUILDERS FIRSTSOURCE INC        COM         12008R107         408       200  SH      DEFINED     3                              200
BUNGE LIMITED                   COM         G16962105       5,720       100  SH      DEFINED     2                              100
BUNGE LIMITED                   COM         G16962105      11,955       209  SH      DEFINED     3                              209
BUNGE LTD                       COM         G16962105     235,836     4,123  SH      SOLE        1        4,123
C H ROBINSON WORLDWIDE INC      COM         12541W209      10,467       150  SH      DEFINED     2                              150
C H ROBINSON WORLDWIDE INC      COM         12541W209       6,908        99  SH      DEFINED     3                               99
C&J ENERGY SVCS INC             COM         12467B304     122,922     5,873  SH      DEFINED     3                            5,873
C.H. ROBINSON WORLDWIDE IN      COM         12541W209   5,410,183    77,532  SH      SOLE        1       77,532
C+J ENERGY SERVICES INC         COM         12467B304   4,581,682   218,905  SH      SOLE        1      218,905
CA INC                          COM         12673P105   3,269,089   161,716  SH      SOLE        1      161,716
CA INC                          COM         12673P105      56,875     2,814  SH      DEFINED     2                            2,814
CA INC                          COM         12673P105      15,970       790  SH      DEFINED     3                              790
CABELA S INC                    COM         126804301     895,775    35,239  SH      SOLE        1       35,239
CABELAS INC                     COM         126804301      16,523       650  SH      DEFINED     3                              650
CABLEVISION SYS CORP            COM         12686C109       8,532       600  SH      DEFINED     2                              600
CABLEVISION SYS CORP            COM         12686C109     564,420    39,692  SH      DEFINED     4                           39,692
CABLEVISION SYSTEMS NY GRP      COM         12686C109   1,419,568    99,829  SH      SOLE        1       99,829
CABOT CORP                      COM         127055101   4,525,119   140,794  SH      SOLE        1      140,794
CABOT CORP                      COM         127055101     157,486     4,900  SH      DEFINED     3                            4,900
CABOT MICROELECTRONICS COR      COM         12709P103     901,530    19,080  SH      SOLE        1       19,080
CABOT MICROELECTRONICS CORP     COM         12709P103         945        20  SH      DEFINED     4                               20
CABOT OIL & GAS CORP            COM         127097103      31,333       413  SH      DEFINED     3                              413
CABOT OIL & GAS CORP            COM         127097103      13,283       175  SH      DEFINED     4                              175
CABOT OIL + GAS CORP            COM         127097103   9,507,006   125,257  SH      SOLE        1      125,257
CACI INTERNATIONAL INC  CL      COM         127190304   1,203,231    21,517  SH      SOLE        1       21,517
CADENCE DESIGN SYS INC          COM         127387108   8,239,192   792,230  SH      SOLE        1      792,230






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
CADENCE PHARMACEUTICALS IN      COM         12738T100   3,417,955   865,305  SH      SOLE        1      865,305
CADENCE PHARMACEUTICALS INC     COM         12738T100       3,950     1,000  SH      DEFINED     3                            1,000
CADIZ INC                       COM         127537207      84,802     8,806  SH      SOLE        1        8,806
CAI INTERNATIONAL INC           COM         12477X106     136,589     8,835  SH      SOLE        1        8,835
CAL DIVE INTERNATIONAL INC      COM         12802T101     156,782    69,681  SH      SOLE        1       69,681
CAL DIVE INTL INC DEL           COM         12802T101       1,125       500  SH      DEFINED     4                              500
CAL MAINE FOODS INC             COM         128030202     422,822    11,562  SH      SOLE        1       11,562
CAL MAINE FOODS INC             COM         128030202       7,329       200  SH      DEFINED     2                              200
CALAMOS ASSET MANAGEMENT A      COM         12811R104     194,556    15,552  SH      SOLE        1       15,552
CALAMOS ASSET MGMT INC          COM         12811R104      12,635     1,010  SH      DEFINED     4                            1,010
CALAMOS CONV & HIGH INCOME F    COM         12811P108     340,222    29,431  SH      DEFINED     2                           29,431
CALAMOS CONV & HIGH INCOME F    COM         12811P108     397,898    34,420  SH      DEFINED     3                           34,420
CALAMOS CONV & HIGH INCOME F    COM         12811P108      21,964     1,900  SH      DEFINED     4                            1,900
CALAMOS CONV OPP AND INC FD     COM         128117108      70,938     6,300  SH      DEFINED     2                            6,300
CALAMOS CONV OPP AND INC FD     COM         128117108     282,249    25,067  SH      DEFINED     3                           25,067
CALAMOS CONV OPP AND INC FD     COM         128117108      71,501     6,350  SH      DEFINED     4                            6,350
CALAMOS GBL DYN INCOME FUND     COM         12811L107      47,552     6,514  SH      DEFINED     2                            6,514
CALAMOS GBL DYN INCOME FUND     COM         12811L107       5,840       800  SH      DEFINED     3                              800
CALAMOS GBL DYN INCOME FUND     COM         12811L107       3,541       485  SH      DEFINED     4                              485
CALAMOS STRATEGIC TOTL RETN     COM         128125101      16,700     2,000  SH      DEFINED     2                            2,000
CALAMOS STRATEGIC TOTL RETN     COM         128125101       6,680       800  SH      DEFINED     3                              800
CALAMOS STRATEGIC TOTL RETN     COM         128125101      33,672     4,033  SH      DEFINED     4                            4,033
CALAMP CORP                     COM         128126109         848       200  SH      DEFINED     2                              200
CALAVO GROWERS INC              COM         128246105     249,250     9,706  SH      SOLE        1        9,706
CALGON CARBON CORP              COM         129603106     723,100    46,028  SH      SOLE        1       46,028
CALGON CARBON CORP              COM         129603106      56,556     3,600  SH      DEFINED     2                            3,600
CALIFORNIA FIRST NATL BANC      COM         130222102      23,847     1,483  SH      SOLE        1        1,483
CALIFORNIA WATER SERVICE G      COM         130788102     556,839    30,495  SH      SOLE        1       30,495
CALIFORNIA WTR SVC GROUP        COM         130788102      21,182     1,160  SH      DEFINED     3                            1,160
CALIX NETWORKS INC              COM         13100M509     177,789    27,479  SH      SOLE        1       27,479
CALLAWAY GOLF COMPANY           COM         131193104     290,447    52,522  SH      SOLE        1       52,522
CALLIDUS SOFTWARE INC           COM         13123E500     140,585    21,898  SH      SOLE        1       21,898
CALLON PETE CO DEL              COM         13123X102       8,061     1,622  SH      DEFINED     3                            1,622
CALLON PETE CO DEL              COM         13123X902     806,134     1,622  SH  C   DEFINED     3                            1,622
CALLON PETROLEUM CO             COM         13123X102     141,983    28,568  SH      SOLE        1       28,568
CALPINE CORP                    COM         131347304     200,173    12,258  SH      SOLE        1       12,258
CALPINE CORP                    COM         131347304      12,509       766  SH      DEFINED     2                              766
CALPINE CORP                    COM         131347304      26,063     1,596  SH      DEFINED     3                            1,596
CALUMET SPECIALTY PRODS PTNR    COM         131476103      20,160     1,000  SH      DEFINED     2                            1,000
CALUMET SPECIALTY PRODS PTNR    COM         131476103       5,342       265  SH      DEFINED     3                              265
CALUMET SPECIALTY PRODS PTNR    COM         131476103      12,096       600  SH      DEFINED     4                              600
CAMAC ENERGY INC                COM         131745101      43,272    42,844  SH      SOLE        1       42,844
CAMAC ENERGY INC                COM         131745101         505       500  SH      DEFINED     4                              500
CAMBIUM LEARNING GROUP INC      COM         13201A107      36,418    12,059  SH      SOLE        1       12,059
CAMBREX CORP                    COM         132011107     172,148    23,976  SH      SOLE        1       23,976
CAMDEN NATIONAL CORP            COM         133034108     182,821     5,608  SH      SOLE        1        5,608
CAMDEN PROPERTY TRUST           COM         133131102   9,732,282   156,367  SH      SOLE        1      156,367
CAMECO CORP                     COM         13321L108      10,920       605  SH      DEFINED     2                              605
CAMECO CORP                     COM         13321L108      53,500     2,964  SH      DEFINED     3                            2,964
CAMECO CORP                     COM         13321L108      14,440       800  SH      DEFINED     4                              800
CAMERON INTERNATIONAL CORP      COM         13342B105  12,860,037   261,436  SH      SOLE        1      261,436
CAMERON INTERNATIONAL CORP      COM         13342B105     108,218     2,200  SH      DEFINED     3                            2,200
CAMERON INTERNATIONAL CORP      COM         13342B105       5,214       106  SH      DEFINED     4                              106
CAMPBELL SOUP CO                COM         134429109   6,022,357   181,178  SH      SOLE        1      181,178
CAMPBELL SOUP CO                COM         134429109      46,702     1,405  SH      DEFINED     2                            1,405
CAMPBELL SOUP CO                COM         134429109      45,871     1,380  SH      DEFINED     3                            1,380
CAMPBELL SOUP CO                COM         134429109      16,620       500  SH      DEFINED     4                              500
CAMPUS CREST COMMUNITIES I      COM         13466Y105     224,761    22,342  SH      SOLE        1       22,342
CANADIAN NAT RES LTD            COM         136385101      14,462       387  SH      DEFINED     3                              387
CANADIAN NAT RES LTD            COM         136385101       7,474       200  SH      DEFINED     4                              200
CANADIAN NATL RY CO             COM         136375102      38,259       487  SH      DEFINED     3                              487
CANADIAN SOLAR INC              COM         136635109       2,660     1,000  SH      DEFINED     3                            1,000
CANON INC                       COM         138006309         573        13  SH      DEFINED     3                               13
CANON INC                       COM         138006309       1,321        30  SH      DEFINED     4                               30
CANTEL MEDICAL CORP             COM         138098108     300,024    10,742  SH      SOLE        1       10,742
CAPE BANCORP INC                COM         139209100      65,799     8,382  SH      SOLE        1        8,382
CAPELLA EDUCATION CO            COM         139594105     424,597    11,778  SH      SOLE        1       11,778
CAPELLA EDUCATION COMPANY       COM         139594105       1,082        30  SH      DEFINED     2                               30
CAPITAL BANK CORP               COM         139793103      20,530    10,214  SH      SOLE        1       10,214
CAPITAL CITY BANK GROUP IN      COM         139674105      79,676     8,343  SH      SOLE        1        8,343
CAPITAL ONE FINANCIAL CORP      COM         14040H105  15,418,849   364,598  SH      SOLE        1      364,598
CAPITAL ONE FINL CORP           COM         14040H105       6,259       148  SH      DEFINED     3                              148
CAPITAL ONE FINL CORP           COM         14040H105      29,603       700  SH      DEFINED     4                              700
CAPITAL ONE FINL CORP           COM         14040H139       1,356        92  SH      DEFINED     4                               92
CAPITAL PRODUCT PARTNERS L P    COM         Y11082107       7,356     1,200  SH      DEFINED     4                            1,200
CAPITAL SENIOR LIVING CORP      COM         140475104     159,737    20,118  SH      SOLE        1       20,118
CAPITAL SOUTHWEST CORP          COM         140501107     174,599     2,141  SH      SOLE        1        2,141
CAPITALSOURCE INC               COM         14055X102      58,772     8,772  SH      SOLE        1        8,772
CAPITALSOURCE INC               COM         14055X102       1,340       200  SH      DEFINED     3                              200
CAPITOL FED FINL INC            COM         14057J101       9,244       801  SH      DEFINED     3                              801
CAPITOL FEDERAL FINANCIAL       COM         14057J101      61,716     5,348  SH      SOLE        1        5,348
CAPLEASE INC                    COM         140288101     200,816    49,707  SH      SOLE        1       49,707
CAPSTEAD MORTGAGE CORP          COM         14067E506     766,814    61,641  SH      SOLE        1       61,641
CAPSTEAD MTG CORP               COM         14067E308      20,258     1,400  SH      DEFINED     2                            1,400
CAPSTEAD MTG CORP               COM         14067E506      26,423     2,124  SH      DEFINED     3                            2,124
CAPSTEAD MTG CORP               COM         14067E308      57,880     4,000  SH      DEFINED     4                            4,000
CAPSTEAD MTG CORP               COM         14067E506     180,380    14,500  SH      DEFINED     4                           14,500
CAPSTONE TURBINE CORP           COM         14067D102     208,409   179,663  SH      SOLE        1      179,663
CARBO CERAMICS INC              COM         140781105   5,355,112    43,421  SH      SOLE        1       43,421
CARBO CERAMICS INC              COM         140781105      28,489       231  SH      DEFINED     2                              231
CARBONITE INC                   COM         141337105      58,264     5,249  SH      SOLE        1        5,249
CARDINAL FINANCIAL CORP         COM         14149F109     226,958    21,132  SH      SOLE        1       21,132
CARDINAL HEALTH INC             COM         14149Y108   5,455,954   134,350  SH      SOLE        1      134,350
CARDINAL HEALTH INC             COM         14149Y108       2,031        50  SH      DEFINED     2                               50
CARDINAL HEALTH INC             COM         14149Y108     134,394     3,309  SH      DEFINED     3                            3,309
CARDINAL HEALTH INC             COM         14149Y108      94,540     2,328  SH      DEFINED     4                            2,328
CARDIONET INC                   COM         14159L103      42,177    17,796  SH      SOLE        1       17,796
CARDIOVASCULAR SYSTEMS INC      COM         141619106     104,134    10,572  SH      SOLE        1       10,572
CARDTRONICS INC                 COM         14161H108   8,054,625   297,658  SH      SOLE        1      297,658
CARDTRONICS INC                 COM         14161H108     276,472    10,217  SH      DEFINED     3                           10,217
CAREER EDUCATION CORP           COM         141665109      56,021     7,029  SH      SOLE        1        7,029
CAREFUSION CORP                 COM         14170T101   1,866,796    73,467  SH      SOLE        1       73,467
CAREFUSION CORP                 COM         14170T101       2,439        96  SH      DEFINED     3                               96
CAREFUSION CORP                 COM         14170T101      11,943       470  SH      DEFINED     4                              470
CARIBOU COFFEE CO INC           COM         142042209     131,576     9,432  SH      SOLE        1        9,432
CARIBOU COFFEE INC              COM         142042209       3,711       266  SH      DEFINED     3                              266
CARLISLE COS INC                COM         142339100   5,948,515   134,278  SH      SOLE        1      134,278
CARMAX INC                      COM         143130102   3,002,798    98,517  SH      SOLE        1       98,517
CARMAX INC                      COM         143130102         914        30  SH      DEFINED     2                               30
CARMAX INC                      COM         143130102      18,288       600  SH      DEFINED     3                              600
CARMIKE CINEMAS INC             COM         143436400         131        19  SH      DEFINED     4                               19
CARNIVAL CORP                   COM         143658300   6,630,000   203,125  SH      SOLE        1      203,125
CARNIVAL CORP                   COM         143658300      19,584       600  SH      DEFINED     2                              600
CARNIVAL CORP                   COM         143658300       3,264       100  SH      DEFINED     4                              100
CARPENTER TECHNOLOGY            COM         144285103  12,669,588   246,107  SH      SOLE        1      246,107






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
CARPENTER TECHNOLOGY CORP       COM         144285103     384,916     7,477  SH      DEFINED     3                            7,477
CARRIZO OIL & CO INC            COM         144577103      76,415     2,900  SH      DEFINED     2                            2,900
CARRIZO OIL & CO INC            COM         144577103      36,890     1,400  SH      DEFINED     3                            1,400
CARRIZO OIL + GAS INC           COM         144577103     749,368    28,439  SH      SOLE        1       28,439
CARROLS RESTAURANT GROUP I      COM         14574X104     106,444     9,200  SH      SOLE        1        9,200
CARTER INC                      COM         146229109     201,359     5,058  SH      DEFINED     3                            5,058
CARTER S INC                    COM         146229109   1,600,521    40,204  SH      SOLE        1       40,204
CARVER BANCORP INC              COM         146875604       9,534     1,150  SH      DEFINED     2                            1,150
CASCADE BANCORP                 COM         147154207      19,189     4,381  SH      SOLE        1        4,381
CASCADE BANCORP                 COM         147154207       3,504       800  SH      DEFINED     2                              800
CASCADE CORP                    COM         147195101     350,049     7,421  SH      SOLE        1        7,421
CASELLA WASTE SYSTEMS INC       COM         147448104     118,342    18,491  SH      SOLE        1       18,491
CASEY S GENERAL STORES INC      COM         147528103   1,593,256    30,931  SH      SOLE        1       30,931
CASH AMERICA INTL INC           COM         14754D100   1,116,509    23,944  SH      SOLE        1       23,944
CASS INFORMATION SYSTEMS I      COM         14808P109     246,288     6,768  SH      SOLE        1        6,768
CASTLE (A.M.) + CO              COM         148411101     128,732    13,608  SH      SOLE        1       13,608
CASUAL MALE RETAIL GROUP I      COM         148711302     105,247    30,774  SH      SOLE        1       30,774
CATALYST HEALTH SOLUTIONS       COM         14888B103   5,684,224   109,312  SH      SOLE        1      109,312
CATALYST HEALTH SOLUTIONS IN    COM         14888B103      10,400       200  SH      DEFINED     4                              200
CATERPILLAR INC                 COM         149123101  28,721,287   317,012  SH      SOLE        1      317,012
CATERPILLAR INC DEL             COM         149123101   1,214,221    13,402  SH      DEFINED     2                           13,402
CATERPILLAR INC DEL             COM         149123101   2,408,791    26,587  SH      DEFINED     3                           26,587
CATERPILLAR INC DEL             COM         149123101     887,476     9,796  SH      DEFINED     4                            9,796
CATHAY GENERAL BANCORP          COM         149150104   3,406,026   228,133  SH      SOLE        1      228,133
CATO CORP CLASS A               COM         149205106     549,025    22,687  SH      SOLE        1       22,687
CAVCO INDUSTRIES INC            COM         149568107     199,499     4,980  SH      SOLE        1        4,980
CAVIUM INC                      COM         14964U108   1,005,683    35,374  SH      SOLE        1       35,374
CBEYOND INC                     COM         149847105     183,950    22,965  SH      SOLE        1       22,965
CBIZ INC                        COM         124805102     175,889    28,787  SH      SOLE        1       28,787
CBL + ASSOCIATES PROPERTIE      COM         124830100   1,701,283   108,362  SH      SOLE        1      108,362
CBOE HLDGS INC                  COM         12503M108      23,765       919  SH      DEFINED     3                              919
CBOE HOLDINGS INC               COM         12503M108      22,679       877  SH      SOLE        1          877
CBRE CLARION GLOBAL REAL EST    COM         12504G100      10,281     1,503  SH      DEFINED     2                            1,503
CBRE CLARION GLOBAL REAL EST    COM         12504G100     353,282    51,649  SH      DEFINED     3                           51,649
CBRE CLARION GLOBAL REAL EST    COM         12504G100       3,447       504  SH      DEFINED     4                              504
CBRE GROUP INC                  COM         12504L109   1,827,374   120,064  SH      SOLE        1      120,064
CBS CORP CLASS B NON VOTIN      COM         124857202   8,793,713   324,013  SH      SOLE        1      324,013
CBS CORP NEW                    COM         124857202       5,238       193  SH      DEFINED     2                              193
CBS CORP NEW                    COM         124857202      45,242     1,667  SH      DEFINED     3                            1,667
CBS CORP NEW                    COM         124857202      20,645       761  SH      DEFINED     4                              761
CDI CORP                        COM         125071100     143,293    10,376  SH      SOLE        1       10,376
CEC ENTERTAINMENT INC           COM         125137109     554,197    16,087  SH      SOLE        1       16,087
CEDAR FAIR L P                  COM         150185106       4,648       216  SH      DEFINED     2                              216
CEDAR FAIR L P                  COM         150185106      21,500     1,000  SH      DEFINED     3                            1,000
CEDAR FAIR L P                  COM         150185106       6,450       300  SH      DEFINED     4                              300
CEDAR REALTY TRUST INC          COM         150602209     196,782    45,657  SH      SOLE        1       45,657
CELADON GROUP INC               COM         150838100     173,052    14,653  SH      SOLE        1       14,653
CELANESE CORP DEL               COM         150870103       8,854       200  SH      DEFINED     2                              200
CELANESE CORP DEL               COM         150870103      22,578       510  SH      DEFINED     3                              510
CELANESE CORP SERIES A          COM         150870103     113,420     2,562  SH      SOLE        1        2,562
CELGENE CORP                    COM         151020104  16,852,815   249,302  SH      SOLE        1      249,302
CELGENE CORP                    COM         151020104       1,690        25  SH      DEFINED     2                               25
CELGENE CORP                    COM         151020104     356,252     5,270  SH      DEFINED     3                            5,270
CELGENE CORP                    COM         151020104      40,898       605  SH      DEFINED     4                              605
CELL THERAPEUTICS INC           COM         150934602     163,414   140,874  SH      SOLE        1      140,874
CELL THERAPEUTICS INC           COM         150934602         626       540  SH      DEFINED     2                              540
CELL THERAPEUTICS INC           COM         150934602         157       135  SH      DEFINED     3                              135
CELLCOM ISRAEL LTD              COM         M2196U109      27,192     1,609  SH      DEFINED     3                            1,609
CELLCOM ISRAEL LTD              COM         M2196U109      11,852       701  SH      DEFINED     4                              701
CELLDEX THERAPEUTICS INC        COM         15117B103      83,803    32,232  SH      SOLE        1       32,232
CELLDEX THERAPEUTICS INC NEW    COM         15117B103          21         8  SH      DEFINED     2                                8
CEMEX SAB DE CV                 COM         151290889          43         8  SH      DEFINED     2                                8
CEMEX SAB DE CV                 COM         151290889       7,163     1,329  SH      DEFINED     3                            1,329
CEMEX SAB DE CV                 COM         151290889      13,200     2,449  SH      DEFINED     4                            2,449
CENOVUS ENERGY INC              COM         15135U109   3,293,706    99,208  SH      SOLE        1       99,208
CENOVUS ENERGY INC              COM         15135U109       6,574       198  SH      DEFINED     3                              198
CENTENE CORP                    COM         15135B101   4,625,300   116,830  SH      SOLE        1      116,830
CENTER BANCORP INC              COM         151408101      86,250     8,828  SH      SOLE        1        8,828
CENTERPOINT ENERGY INC          COM         15189T107   5,473,018   272,425  SH      SOLE        1      272,425
CENTERPOINT ENERGY INC          COM         15189T107       1,507        75  SH      DEFINED     2                               75
CENTERPOINT ENERGY INC          COM         15189T107      80,199     3,992  SH      DEFINED     3                            3,992
CENTERPOINT ENERGY INC          COM         15189T107     530,396    26,401  SH      DEFINED     4                           26,401
CENTERSTATE BANKS INC           COM         15201P109     145,223    21,937  SH      SOLE        1       21,937
CENTRAL EURO DISTRIBUTION       COM         153435102     232,383    53,116  SH      SOLE        1       53,116
CENTRAL EUROPEAN MEDIA ENT      COM         G20045202     174,443    26,755  SH      SOLE        1       26,755
CENTRAL EUROPEAN MEDIA ENTRP    COM         G20045202       2,523       387  SH      DEFINED     4                              387
CENTRAL FD CDA LTD              COM         153501101     379,277    19,341  SH      DEFINED     2                           19,341
CENTRAL FD CDA LTD              COM         153501101     246,400    12,565  SH      DEFINED     3                           12,565
CENTRAL FD CDA LTD              COM         153501101      47,162     2,405  SH      DEFINED     4                            2,405
CENTRAL GARDEN AND PET CO       COM         153527205     284,760    34,226  SH      SOLE        1       34,226
CENTRAL GOLDTRUST               COM         153546106      36,981       625  SH      DEFINED     2                              625
CENTRAL GOLDTRUST               COM         153546106      30,058       508  SH      DEFINED     4                              508
CENTRAL PACIFIC FINANCIAL       COM         154760409     144,937    11,218  SH      SOLE        1       11,218
CENTRAL VERMONT PUBLIC SER      COM         155771108     383,292    10,920  SH      SOLE        1       10,920
CENTRAL VT PUB SVC CORP         COM         155771108      70,200     2,000  SH      DEFINED     3                            2,000
CENTURY ALUM CO                 COM         156431108      11,914     1,400  SH      DEFINED     3                            1,400
CENTURY ALUMINUM COMPANY        COM         156431108     359,828    42,283  SH      SOLE        1       42,283
CENTURY BANCORP INC  CL A       COM         156432106      71,080     2,517  SH      SOLE        1        2,517
CENTURYLINK INC                 COM         156700106   8,189,729   220,154  SH      SOLE        1      220,154
CENTURYLINK INC                 COM         156700106     104,145     2,800  SH      DEFINED     2                            2,800
CENTURYLINK INC                 COM         156700106     250,201     6,726  SH      DEFINED     3                            6,726
CENTURYLINK INC                 COM         156700106     215,946     5,805  SH      DEFINED     4                            5,805
CENVEO INC                      COM         15670S105     136,745    40,219  SH      SOLE        1       40,219
CEPHEID                         COM         15670R107       6,882       200  SH      DEFINED     3                              200
CEPHEID INC                     COM         15670R107   1,552,510    45,118  SH      SOLE        1       45,118
CERADYNE INC                    COM         156710105     541,599    20,224  SH      SOLE        1       20,224
CERADYNE INC                    COM         156710105       3,749       140  SH      DEFINED     3                              140
CERNER CORP                     COM         156782104   3,682,534    60,123  SH      SOLE        1       60,123
CERNER CORP                     COM         156782104     145,530     2,376  SH      DEFINED     2                            2,376
CERNER CORP                     COM         156782104     453,250     7,400  SH      DEFINED     4                            7,400
CERUS CORP                      COM         157085101      97,345    34,766  SH      SOLE        1       34,766
CEVA INC                        COM         157210105     569,251    18,812  SH      SOLE        1       18,812
CF INDS HLDGS INC               COM         125269100      12,468        86  SH      DEFINED     3                               86
CF INDUSTRIES HOLDINGS INC      COM         125269100   2,989,778    20,622  SH      SOLE        1       20,622
CH ENERGY GROUP INC             COM         12541M102     736,113    12,609  SH      SOLE        1       12,609
CHARLES & COLVARD LTD           COM         159765106         257       100  SH      DEFINED     3                              100
CHARLES RIVER LABORATORIES      COM         159864107   2,956,013   108,160  SH      SOLE        1      108,160
CHARMING SHOPPES                COM         161133103     416,005    84,899  SH      SOLE        1       84,899
CHART INDUSTRIES INC            COM         16115Q308   5,172,012    95,654  SH      SOLE        1       95,654
CHARTER COMMUNICATION A         COM         16117M305      51,702       908  SH      SOLE        1          908
CHARTER FINANCIAL CORP          COM         16122M100      45,967     4,964  SH      SOLE        1        4,964
CHASE CORP                      COM         16150R104      65,010     4,677  SH      SOLE        1        4,677
CHATHAM LODGING TRUST           COM         16208T102     108,824    10,095  SH      SOLE        1       10,095
CHECK POINT SOFTWARE TECH       COM         M22465104   1,055,896    20,097  SH      SOLE        1       20,097
CHECK POINT SOFTWARE TECH LT    COM         M22465104       2,522        48  SH      DEFINED     2                               48






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
CHECK POINT SOFTWARE TECH LT    COM         M22465104      23,748       452  SH      DEFINED     3                              452
CHECKPOINT SYSTEMS INC          COM         162825103     357,410    32,670  SH      SOLE        1       32,670
CHEESECAKE FACTORY INC/THE      COM         163072101   4,715,958   160,680  SH      SOLE        1      160,680
CHEFS  WAREHOUSE INC/THE        COM         163086101     135,004     7,559  SH      SOLE        1        7,559
CHELSEA THERAPEUTICS INTER      COM         163428105     200,680    39,119  SH      SOLE        1       39,119
CHEMED CORP                     COM         16359R103     829,551    16,199  SH      SOLE        1       16,199
CHEMICAL FINANCIAL CORP         COM         163731102     427,466    20,050  SH      SOLE        1       20,050
CHEMTURA CORP                   COM         163893209     797,576    70,333  SH      SOLE        1       70,333
CHEMTURA CORP                   COM         163893209          34         3  SH      DEFINED     4                                3
CHENIERE ENERGY INC             COM         16411R208     525,571    60,480  SH      SOLE        1       60,480
CHENIERE ENERGY INC             COM         16411R208      40,409     4,650  SH      DEFINED     3                            4,650
CHENIERE ENERGY INC             COM         16411R208      30,458     3,505  SH      DEFINED     4                            3,505
CHENIERE ENERGY PARTNERS LP     COM         16411Q101       9,010       500  SH      DEFINED     2                              500
CHENIERE ENERGY PARTNERS LP     COM         16411Q101     249,487    13,845  SH      DEFINED     3                           13,845
CHEROKEE INC                    COM         16444H102      72,506     6,213  SH      SOLE        1        6,213
CHESAPEAKE ENERGY CORP          COM         165167107   6,113,322   274,263  SH      SOLE        1      274,263
CHESAPEAKE ENERGY CORP          COM         165167107     318,786    14,302  SH      DEFINED     2                           14,302
CHESAPEAKE ENERGY CORP          COM         165167842      90,404       970  SH      DEFINED     2                              970
CHESAPEAKE ENERGY CORP          COM         165167107     491,673    22,058  SH      DEFINED     3                           22,058
CHESAPEAKE ENERGY CORP          COM         165167842     121,160     1,300  SH      DEFINED     3                            1,300
CHESAPEAKE ENERGY CORP          COM         165167107      51,203     2,297  SH      DEFINED     4                            2,297
CHESAPEAKE GRANITE WASH TR      COM         165185109     364,086    15,145  SH      DEFINED     4                           15,145
CHESAPEAKE LODGING TRUST        COM         165240102     363,094    23,486  SH      SOLE        1       23,486
CHESAPEAKE UTILITIES CORP       COM         165303108     302,410     6,976  SH      SOLE        1        6,976
CHESAPEAKE UTILS CORP           COM         165303108      19,508       450  SH      DEFINED     2                              450
CHESAPEAKE UTILS CORP           COM         165303108      17,340       400  SH      DEFINED     3                              400
CHEVRON CORP                    COM         166764100  74,817,926   703,176  SH      SOLE        1      703,176
CHEVRON CORP NEW                COM         166764100   2,137,928    20,093  SH      DEFINED     2                           20,093
CHEVRON CORP NEW                COM         166764100   5,720,862    53,767  SH      DEFINED     3                           53,767
CHEVRON CORP NEW                COM         166764100   2,266,834    21,305  SH      DEFINED     4                           21,305
CHICAGO BRIDGE & IRON CO N V    COM         167250109       1,890        50  SH      DEFINED     2                               50
CHICAGO BRIDGE & IRON CO N V    COM         167250109       7,560       200  SH      DEFINED     4                              200
CHICAGO BRIDGE + IRON NY S      COM         167250109      87,280     2,309  SH      SOLE        1        2,309
CHICO S FAS INC                 COM         168615102   5,644,983   506,731  SH      SOLE        1      506,731
CHICOS FAS INC                  COM         168615102      16,242     1,458  SH      DEFINED     2                            1,458
CHICOS FAS INC                  COM         168615102       4,456       400  SH      DEFINED     3                              400
CHILDREN S PLACE                COM         168905107   1,123,860    21,157  SH      SOLE        1       21,157
CHIMERA INVESTMENT CORP         COM         16934Q109      82,315    32,795  SH      SOLE        1       32,795
CHIMERA INVT CORP               COM         16934Q109      15,600     6,215  SH      DEFINED     2                            6,215
CHIMERA INVT CORP               COM         16934Q109     881,634   351,249  SH      DEFINED     3                          351,249
CHIMERA INVT CORP               COM         16934Q109      90,250    35,956  SH      DEFINED     4                           35,956
CHINA AUTOMOTIVE SYS INC        COM         16936R105       1,980       600  SH      DEFINED     3                              600
CHINA BAK BATTERY INC           COM         16936Y100         315       500  SH      DEFINED     2                              500
CHINA CGAME INC                 COM         16946P107          14        82  SH      DEFINED     4                               82
CHINA DIGITAL TV HLDG CO LTD    COM         16938G107       3,804     1,200  SH      DEFINED     4                            1,200
CHINA DIRECT INDS INC           COM         169384203         378       500  SH      DEFINED     3                              500
CHINA FD INC                    COM         169373107       1,333        65  SH      DEFINED     4                               65
CHINA FIN ONLINE CO LTD         COM         169379104         162       100  SH      DEFINED     4                              100
CHINA MED TECHNOLOGIES INC      COM         169483104       2,556       900  SH      DEFINED     4                              900
CHINA MOBILE LIMITED            COM         16941M109       4,849       100  SH      DEFINED     2                              100
CHINA MOBILE LIMITED            COM         16941M109      14,547       300  SH      DEFINED     3                              300
CHINA MOBILE LIMITED            COM         16941M109      29,530       609  SH      DEFINED     4                              609
CHINA NEPSTAR CHAIN DRUGSTOR    COM         16943C109       3,730     2,470  SH      DEFINED     4                            2,470
CHINA PRECISION STEEL INC       COM         16941J106          68       200  SH      DEFINED     2                              200
CHINA PRECISION STEEL INC       COM         16941J106       2,550     7,500  SH      DEFINED     3                            7,500
CHINA TELECOM CORP LTD          COM         169426103       8,570       150  SH      DEFINED     3                              150
CHINA UNICOM (HONG KONG) LTD    COM         16945R104       6,339       300  SH      DEFINED     2                              300
CHINA UNICOM (HONG KONG) LTD    COM         16945R104       7,924       375  SH      DEFINED     3                              375
CHINDEX INTERNATIONAL INC       COM         169467107      70,682     8,296  SH      SOLE        1        8,296
CHIPOTLE MEXICAN GRILL INC      COM         169656105   3,600,646    10,661  SH      SOLE        1       10,661
CHIPOTLE MEXICAN GRILL INC      COM         169656105       4,391        13  SH      DEFINED     2                               13
CHIPOTLE MEXICAN GRILL INC      COM         169656105      38,165       113  SH      DEFINED     3                              113
CHIPOTLE MEXICAN GRILL INC      COM         169656105      24,993        74  SH      DEFINED     4                               74
CHIQUITA BRANDS INTL            COM         170032809     276,638    33,170  SH      SOLE        1       33,170
CHIQUITA BRANDS INTL INC        COM         170032809       1,276       153  SH      DEFINED     3                              153
CHOICE HOTELS INTL INC          COM         169905106      33,446       879  SH      SOLE        1          879
CHRISTOPHER + BANKS CORP        COM         171046105      68,270    29,175  SH      SOLE        1       29,175
CHUBB CORP                      COM         171232101  11,039,621   159,486  SH      SOLE        1      159,486
CHUBB CORP                      COM         171232101      51,846       749  SH      DEFINED     2                              749
CHUBB CORP                      COM         171232101     161,283     2,330  SH      DEFINED     3                            2,330
CHUBB CORP                      COM         171232101       7,614       110  SH      DEFINED     4                              110
CHUNGHWA TELECOM CO LTD         COM         17133Q502     138,578     4,164  SH      DEFINED     3                            4,164
CHURCH & DWIGHT INC             COM         171340102     101,149     2,210  SH      DEFINED     4                            2,210
CHURCH + DWIGHT CO INC          COM         171340102  14,351,755   313,631  SH      SOLE        1      313,631
CHURCHILL DOWNS INC             COM         171484108     478,241     9,174  SH      SOLE        1        9,174
CHYRON CORP                     COM         171605306       1,853     1,333  SH      DEFINED     3                            1,333
CIBER INC                       COM         17163B102     203,831    52,806  SH      SOLE        1       52,806
CIENA CORP                      COM         171779309   2,563,760   211,881  SH      SOLE        1      211,881
CIENA CORP                      COM         171779309          85         7  SH      DEFINED     2                                7
CIENA CORP                      COM         171779309      12,439     1,028  SH      DEFINED     3                            1,028
CIFC CORP                       COM         12547R105      46,732     8,654  SH      SOLE        1        8,654
CIFC CORP                       COM         12547R105         270        50  SH      DEFINED     3                               50
CIGNA CORP                      COM         125509109   5,107,326   121,603  SH      SOLE        1      121,603
CIGNA CORPORATION               COM         125509109       8,694       207  SH      DEFINED     2                              207
CIMAREX ENERGY CO               COM         171798101  11,667,160   188,484  SH      SOLE        1      188,484
CIMAREX ENERGY CO               COM         171798101       3,281        53  SH      DEFINED     2                               53
CIMAREX ENERGY CO               COM         171798101     450,080     7,271  SH      DEFINED     3                            7,271
CINCINNATI BELL INC             COM         171871106     490,012   161,720  SH      SOLE        1      161,720
CINCINNATI FINANCIAL CORP       COM         172062101   2,324,342    76,308  SH      SOLE        1       76,308
CINCINNATI FINL CORP            COM         172062101      15,474       508  SH      DEFINED     2                              508
CINCINNATI FINL CORP            COM         172062101       4,356       143  SH      DEFINED     3                              143
CINEDIGM DIGITAL CINEMA CORP    COM         172407108      24,997    18,246  SH      DEFINED     2                           18,246
CINEMARK HOLDINGS INC           COM         17243V102   1,255,064    67,878  SH      SOLE        1       67,878
CINEMARK HOLDINGS INC           COM         17243V102      15,975       864  SH      DEFINED     2                              864
CINTAS CORP                     COM         172908105   1,278,084    36,716  SH      SOLE        1       36,716
CINTAS CORP                     COM         172908105      17,405       500  SH      DEFINED     4                              500
CIRCOR INTERNATIONAL INC        COM         17273K109     495,894    14,044  SH      SOLE        1       14,044
CIRRUS LOGIC INC                COM         172755100     852,175    53,765  SH      SOLE        1       53,765
CIRRUS LOGIC INC                COM         172755100      60,230     3,800  SH      DEFINED     2                            3,800
CIRRUS LOGIC INC                COM         172755100       4,755       300  SH      DEFINED     3                              300
CISCO SYS INC                   COM         17275R102     407,900    22,561  SH      DEFINED     2                           22,561
CISCO SYS INC                   COM         17275R102   1,596,507    88,302  SH      DEFINED     3                           88,302
CISCO SYS INC                   COM         17275R102     618,462    34,207  SH      DEFINED     4                           34,207
CISCO SYSTEMS INC               COM         17275R102  42,054,640 2,326,031  SH      SOLE        1    2,326,031
CIT GROUP INC                   COM         125581801     223,238     6,402  SH      SOLE        1        6,402
CIT GROUP INC                   COM         125581801      98,403     2,822  SH      DEFINED     3                            2,822
CIT GROUP INC                   COM         125581801       4,184       120  SH      DEFINED     4                              120
CITI TRENDS INC                 COM         17306X102      96,018    10,936  SH      SOLE        1       10,936
CITIGROUP INC                   COM         172967424  31,262,489 1,188,236  SH      SOLE        1    1,188,236
CITIGROUP INC                   COM         172967424     537,303    20,422  SH      DEFINED     2                           20,422
CITIGROUP INC                   COM         172967416     119,475     1,475  SH      DEFINED     3                            1,475
CITIGROUP INC                   COM         172967424     613,023    23,300  SH      DEFINED     3                           23,300
CITIGROUP INC                   COM         172967424     101,004     3,839  SH      DEFINED     4                            3,839
CITIGROUP INC                   COM         172967904          80        80  SH  C   DEFINED     4                               80
CITIZENS + NORTHERN CORP        COM         172922106     164,346     8,898  SH      SOLE        1        8,898






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
CITIZENS INC                    COM         174740100     268,335    27,692  SH      SOLE        1       27,692
CITIZENS REPUBLIC BANCORP IN    COM         174420307       4,560       400  SH      DEFINED     3                              400
CITRIX SYS INC                  COM         177376100       1,579        26  SH      DEFINED     3                               26
CITRIX SYS INC                  COM         177376100       3,036        50  SH      DEFINED     4                               50
CITRIX SYSTEMS INC              COM         177376100   4,748,972    78,211  SH      SOLE        1       78,211
CITY HLDG CO                    COM         177835105       9,455       279  SH      DEFINED     3                              279
CITY HOLDING CO                 COM         177835105     419,558    12,380  SH      SOLE        1       12,380
CITY NATIONAL CORP              COM         178566105   4,554,384   103,087  SH      SOLE        1      103,087
CLARCOR INC                     COM         179895107   7,289,642   145,822  SH      SOLE        1      145,822
CLAYMORE EXCHANGE TRD FD TR     COM         18383M506     172,598     8,440  SH      DEFINED     2                            8,440
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q606       1,685       100  SH      DEFINED     2                              100
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q796      35,712     2,400  SH      DEFINED     2                            2,400
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q838       2,721       150  SH      DEFINED     2                              150
CLAYMORE EXCHANGE TRD FD TR     COM         18383M100      90,042     2,570  SH      DEFINED     3                            2,570
CLAYMORE EXCHANGE TRD FD TR     COM         18383M407         802        35  SH      DEFINED     3                               35
CLAYMORE EXCHANGE TRD FD TR     COM         18383M506      39,775     1,945  SH      DEFINED     3                            1,945
CLAYMORE EXCHANGE TRD FD TR     COM         18383M621       2,964     1,200  SH      DEFINED     3                            1,200
CLAYMORE EXCHANGE TRD FD TR     COM         18383M779      48,271     1,737  SH      DEFINED     3                            1,737
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q507      76,892     4,103  SH      DEFINED     3                            4,103
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q838      32,833     1,810  SH      DEFINED     3                            1,810
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q853       9,650       500  SH      DEFINED     3                              500
CLAYMORE EXCHANGE TRD FD TR     COM         18383M100     178,198     5,087  SH      DEFINED     4                            5,087
CLAYMORE EXCHANGE TRD FD TR     COM         18383M423      27,838     1,106  SH      DEFINED     4                            1,106
CLAYMORE EXCHANGE TRD FD TR     COM         18383M431      27,779     1,098  SH      DEFINED     4                            1,098
CLAYMORE EXCHANGE TRD FD TR     COM         18383M449      27,789     1,101  SH      DEFINED     4                            1,101
CLAYMORE EXCHANGE TRD FD TR     COM         18383M506      24,540     1,200  SH      DEFINED     4                            1,200
CLAYMORE EXCHANGE TRD FD TR     COM         18383M555      53,426     2,513  SH      DEFINED     4                            2,513
CLAYMORE EXCHANGE TRD FD TR     COM         18383M621         739       299  SH      DEFINED     4                              299
CLAYMORE EXCHANGE TRD FD TR     COM         18383M720     273,551     9,195  SH      DEFINED     4                            9,195
CLAYMORE EXCHANGE TRD FD TR     COM         18383M860      15,648     1,181  SH      DEFINED     4                            1,181
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q507       3,748       200  SH      DEFINED     4                              200
CLAYMORE EXCHANGE TRD FD TR     COM         18383Q853      42,460     2,200  SH      DEFINED     4                            2,200
CLAYTON WILLIAMS ENERGY IN      COM         969490101     326,967     4,309  SH      SOLE        1        4,309
CLEAN DIESEL TECHNOLOGIES IN    COM         18449C401       5,600     2,000  SH      DEFINED     2                            2,000
CLEAN ENERGY FUELS CORP         COM         184499101     451,064    36,201  SH      SOLE        1       36,201
CLEAN ENERGY FUELS CORP         COM         184499101     124,600    10,000  SH      DEFINED     2                           10,000
CLEAN ENERGY FUELS CORP         COM         184499101      18,690     1,500  SH      DEFINED     3                            1,500
CLEAN ENERGY FUELS CORP         COM         184499101       7,476       600  SH      DEFINED     4                              600
CLEAN HARBORS INC               COM         184496107   8,713,038   136,718  SH      SOLE        1      136,718
CLEAN HARBORS INC               COM         184496107       6,373       100  SH      DEFINED     3                              100
CLEAR CHANNEL OUTDOOR CL A      COM         18451C109      16,403     1,307  SH      SOLE        1        1,307
CLEARBRIDGE ENERGY MLP FD IN    COM         184692101      33,660     1,500  SH      DEFINED     2                            1,500
CLEARBRIDGE ENERGY MLP FD IN    COM         184692101      21,318       950  SH      DEFINED     3                              950
CLEARWATER PAPER CORP           COM         18538R103     667,545    18,746  SH      SOLE        1       18,746
CLEARWIRE CORP CLASS A          COM         18538Q105       6,540     3,371  SH      SOLE        1        3,371
CLEARWIRE CORP NEW              COM         18538Q105         194       100  SH      DEFINED     2                              100
CLECO CORP NEW                  COM         12561W105      16,574       435  SH      DEFINED     3                              435
CLECO CORPORATION               COM         12561W105   6,714,668   176,238  SH      SOLE        1      176,238
CLEVELAND BIOLABS INC           COM         185860103      59,185    20,694  SH      SOLE        1       20,694
CLICKSOFTWARE TECHNOLOGIES L    COM         M25082104       1,918       200  SH      DEFINED     3                              200
CLICKSOFTWARE TECHNOLOGIES L    COM         M25082104      14,385     1,500  SH      DEFINED     4                            1,500
CLIFFS NATURAL RESOURCES I      COM         18683K101   5,237,774    84,006  SH      SOLE        1       84,006
CLIFFS NATURAL RESOURCES INC    COM         18683K101     381,553     6,120  SH      DEFINED     2                            6,120
CLIFFS NATURAL RESOURCES INC    COM         18683K101     240,235     3,853  SH      DEFINED     3                            3,853
CLIFFS NATURAL RESOURCES INC    COM         18683K101      12,470       200  SH      DEFINED     4                              200
CLIFTON SAVINGS BANCORP IN      COM         18712Q103      57,926     6,242  SH      SOLE        1        6,242
CLOROX CO DEL                   COM         189054109     310,853     4,670  SH      DEFINED     2                            4,670
CLOROX CO DEL                   COM         189054109     171,610     2,578  SH      DEFINED     3                            2,578
CLOROX CO DEL                   COM         189054109     165,468     2,486  SH      DEFINED     4                            2,486
CLOROX COMPANY                  COM         189054109   5,031,936    75,600  SH      SOLE        1       75,600
CLOUD PEAK ENERGY INC           COM         18911Q102     860,126    44,520  SH      SOLE        1       44,520
CLOUD PEAK ENERGY INC           COM         18911Q102     208,965    10,816  SH      DEFINED     3                           10,816
CLOUD PEAK ENERGY INC           COM         18911Q102       2,183       113  SH      DEFINED     4                              113
CLOUGH GLOBAL OPPORTUNITIES     COM         18914E106      16,912     1,600  SH      DEFINED     4                            1,600
CLOVIS ONCOLOGY INC             COM         189464100     110,367     7,833  SH      SOLE        1        7,833
CME GROUP INC                   COM         12572Q105   6,974,566    28,623  SH      SOLE        1       28,623
CME GROUP INC                   COM         12572Q105       1,706         7  SH      DEFINED     2                                7
CME GROUP INC                   COM         12572Q105       6,335        26  SH      DEFINED     3                               26
CMS ENERGY CORP                 COM         125896100   2,826,770   128,024  SH      SOLE        1      128,024
CMS ENERGY CORP                 COM         125896100     132,348     5,994  SH      DEFINED     2                            5,994
CMS ENERGY CORP                 COM         125896100     276,486    12,522  SH      DEFINED     3                           12,522
CMS ENERGY CORP                 COM         125896100       6,767       306  SH      DEFINED     4                              306
CNA FINANCIAL CORP              COM         126117100      22,764       851  SH      SOLE        1          851
CNA FINL CORP                   COM         126117100      44,405     1,660  SH      DEFINED     2                            1,660
CNB FINANCIAL CORP/PA           COM         126128107     141,641     8,976  SH      SOLE        1        8,976
CNH GLOBAL N.V.                 COM         N20935206      30,412       845  SH      SOLE        1          845
CNO FINANCIAL GROUP INC         COM         12621E103   1,869,432   296,265  SH      SOLE        1      296,265
CNO FINL GROUP INC              COM         12621E103         316        50  SH      DEFINED     3                               50
CNOOC LTD                       COM         126132109      52,404       300  SH      DEFINED     3                              300
CNOOC LTD                       COM         126132109       6,463        37  SH      DEFINED     4                               37
COACH INC                       COM         189754104  15,341,855   251,341  SH      SOLE        1      251,341
COACH INC                       COM         189754104       5,188        85  SH      DEFINED     2                               85
COACH INC                       COM         189754104     364,850     5,977  SH      DEFINED     3                            5,977
COACH INC                       COM         189754954         310         1  SH  P   DEFINED     3                                1
COACH INC                       COM         189754104      12,208       200  SH      DEFINED     4                              200
COBALT INTERNATIONAL ENERG      COM         19075F106      32,514     2,095  SH      SOLE        1        2,095
COBALT INTL ENERGY INC          COM         19075F106      18,624     1,200  SH      DEFINED     3                            1,200
COBIZ FINANCIAL INC             COM         190897108     137,066    23,755  SH      SOLE        1       23,755
COCA COLA BOTTLING CO CONS      COM         191098102     195,674     3,342  SH      SOLE        1        3,342
COCA COLA BOTTLING CO CONS      COM         191098102       1,639        28  SH      DEFINED     3                               28
COCA COLA CO                    COM         191216100     754,808    10,788  SH      DEFINED     2                           10,788
COCA COLA CO                    COM         191216100   2,297,453    32,835  SH      DEFINED     3                           32,835
COCA COLA CO                    COM         191216100   2,016,885    28,825  SH      DEFINED     4                           28,825
COCA COLA CO/THE                COM         191216100  48,862,780   698,339  SH      SOLE        1      698,339
COCA COLA ENTERPRISES           COM         19122T109   4,292,241   166,495  SH      SOLE        1      166,495
COCA COLA ENTERPRISES INC NE    COM         19122T109      23,202       900  SH      DEFINED     2                              900
COCA COLA ENTERPRISES INC NE    COM         19122T109       4,357       169  SH      DEFINED     3                              169
CODEXIS INC                     COM         192005106      95,013    17,927  SH      SOLE        1       17,927
COEUR D ALENE MINES CORP        COM         192108504   1,578,418    65,386  SH      SOLE        1       65,386
COEUR D ALENE MINES CORP IDA    COM         192108504       7,242       300  SH      DEFINED     2                              300
COEUR D ALENE MINES CORP IDA    COM         192108504      29,113     1,206  SH      DEFINED     3                            1,206
COGDELL SPENCER INC             COM         19238U107     138,333    32,549  SH      SOLE        1       32,549
COGENT COMMUNICATIONS GROU      COM         19239V302     567,116    33,577  SH      SOLE        1       33,577
COGNEX CORP                     COM         192422103   1,210,883    33,833  SH      SOLE        1       33,833
COGNEX CORP                     COM         192422103       6,979       195  SH      DEFINED     2                              195
COGNIZANT TECH SOLUTIONS A      COM         192446102  10,253,136   159,433  SH      SOLE        1      159,433
COGNIZANT TECHNOLOGY SOLUTIO    COM         192446102     216,339     3,364  SH      DEFINED     2                            3,364
COGNIZANT TECHNOLOGY SOLUTIO    COM         192446102       8,810       137  SH      DEFINED     3                              137
COGNIZANT TECHNOLOGY SOLUTIO    COM         192446102     107,076     1,665  SH      DEFINED     4                            1,665
COHEN & STEERS CLOSED END OP    COM         19248P106      81,477     6,807  SH      DEFINED     2                            6,807
COHEN & STEERS CLOSED END OP    COM         19248P106      11,970     1,000  SH      DEFINED     3                            1,000
COHEN & STEERS DIV MJRS FDIN    COM         19248G106      31,676     2,620  SH      DEFINED     4                            2,620
COHEN & STEERS GLOBAL INC BL    COM         19248M103      33,767     3,631  SH      DEFINED     2                            3,631
COHEN & STEERS INFRASTRUCTUR    COM         19248A109      13,920       881  SH      DEFINED     2                              881
COHEN & STEERS INFRASTRUCTUR    COM         19248A109      62,127     3,932  SH      DEFINED     3                            3,932






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
COHEN & STEERS INFRASTRUCTUR    COM         19248A109       7,900       500  SH      DEFINED     4                              500
COHEN & STEERS QUALITY RLTY     COM         19247L106      30,687     3,623  SH      DEFINED     2                            3,623
COHEN & STEERS QUALITY RLTY     COM         19247L106     493,518    58,267  SH      DEFINED     3                           58,267
COHEN & STEERS QUALITY RLTY     COM         19247L106      42,757     5,048  SH      DEFINED     4                            5,048
COHEN & STEERS REIT & PFD IN    COM         19247X100      10,245       724  SH      DEFINED     3                              724
COHEN & STEERS REIT & PFD IN    COM         19247X100       5,844       413  SH      DEFINED     4                              413
COHEN & STEERS SLT PFD INCM     COM         19248Y107      10,840       500  SH      DEFINED     3                              500
COHEN & STEERS TOTAL RETURN     COM         19247R103       5,955       500  SH      DEFINED     2                              500
COHEN & STEERS TOTAL RETURN     COM         19247R103     786,751    66,058  SH      DEFINED     4                           66,058
COHEN + STEERS INC              COM         19247A100     375,035    12,977  SH      SOLE        1       12,977
COHERENT INC                    COM         192479103     900,717    17,232  SH      SOLE        1       17,232
COHU INC                        COM         192576106     222,460    19,600  SH      SOLE        1       19,600
COINSTAR INC                    COM         19259P300   1,163,774    25,499  SH      SOLE        1       25,499
COINSTAR INC                    COM         19259P300       9,128       200  SH      DEFINED     3                              200
COINSTAR INC                    COM         19259P300       4,564       100  SH      DEFINED     4                              100
COLDWATER CREEK INC             COM         193068103      71,586    60,666  SH      SOLE        1       60,666
COLDWATER CREEK INC             COM         193068103       3,540     3,000  SH      DEFINED     2                            3,000
COLDWATER CREEK INC             COM         193068103     139,293   118,045  SH      DEFINED     3                          118,045
COLEMAN CABLE INC               COM         193459302      53,166     6,111  SH      SOLE        1        6,111
COLFAX CORP                     COM         194014106     511,301    17,953  SH      SOLE        1       17,953
COLGATE PALMOLIVE CO            COM         194162103  23,528,777   254,668  SH      SOLE        1      254,668
COLGATE PALMOLIVE CO            COM         194162103     243,160     2,632  SH      DEFINED     2                            2,632
COLGATE PALMOLIVE CO            COM         194162103     799,581     8,654  SH      DEFINED     3                            8,654
COLGATE PALMOLIVE CO            COM         194162103     286,963     3,106  SH      DEFINED     4                            3,106
COLLECTIVE BRANDS INC           COM         19421W100   2,535,701   176,458  SH      SOLE        1      176,458
COLONIAL PROPERTIES TRUST       COM         195872106   1,425,698    68,346  SH      SOLE        1       68,346
COLONY FINANCIAL INC            COM         19624R106     377,606    24,036  SH      SOLE        1       24,036
COLUMBIA BANKING SYSTEM IN      COM         197236102     619,954    32,172  SH      SOLE        1       32,172
COLUMBIA LABORATORIES INC       COM         197779101     133,938    53,575  SH      SOLE        1       53,575
COLUMBIA SPORTSWEAR CO          COM         198516106     412,619     8,864  SH      SOLE        1        8,864
COLUMBUS MCKINNON CORP/NY       COM         199333105     178,434    14,061  SH      SOLE        1       14,061
COMCAST CORP CLASS A            COM         20030N101  47,255,026 1,993,042  SH      SOLE        1    1,993,042
COMCAST CORP NEW                COM         20030N101      83,384     3,517  SH      DEFINED     2                            3,517
COMCAST CORP NEW                COM         20030N200      10,602       450  SH      DEFINED     2                              450
COMCAST CORP NEW                COM         20030N101      90,032     3,797  SH      DEFINED     3                            3,797
COMCAST CORP NEW                COM         20030N200      19,477       827  SH      DEFINED     3                              827
COMCAST CORP NEW                COM         20030N101      57,141     2,410  SH      DEFINED     4                            2,410
COMCAST CORP NEW                COM         20030N200       2,120        90  SH      DEFINED     4                               90
COMERICA INC                    COM         200340107   1,703,909    66,043  SH      SOLE        1       66,043
COMERICA INC                    COM         200340107         980        38  SH      DEFINED     3                               38
COMERICA INC                    COM         200340107       3,044       118  SH      DEFINED     4                              118
COMFORT SYSTEMS USA INC         COM         199908104     330,744    30,853  SH      SOLE        1       30,853
COMMERCE BANCSHARES INC         COM         200525103   6,643,554   174,280  SH      SOLE        1      174,280
COMMERCE BANCSHARES INC         COM         200525103       2,058        54  SH      DEFINED     4                               54
COMMERCIAL METALS CO            COM         201723103   3,518,158   254,386  SH      SOLE        1      254,386
COMMERCIAL VEH GROUP INC        COM         202608105         904       100  SH      DEFINED     3                              100
COMMERCIAL VEHICLE GROUP I      COM         202608105     190,021    21,020  SH      SOLE        1       21,020
COMMONWEALTH REIT               COM         203233101      44,445     2,671  SH      SOLE        1        2,671
COMMONWEALTH REIT               COM         203233101      18,171     1,092  SH      DEFINED     2                            1,092
COMMONWEALTH REIT               COM         203233101       8,320       500  SH      DEFINED     4                              500
COMMUNICATIONS SYSTEMS INC      COM         203900105      68,275     4,856  SH      SOLE        1        4,856
COMMUNITY BANK SYSTEM INC       COM         203607106     833,416    29,979  SH      SOLE        1       29,979
COMMUNITY BK SYS INC            COM         203607106      41,700     1,500  SH      DEFINED     2                            1,500
COMMUNITY BK SYS INC            COM         203607106      29,190     1,050  SH      DEFINED     3                            1,050
COMMUNITY HEALTH SYSTEMS I      COM         203668108   3,483,578   199,632  SH      SOLE        1      199,632
COMMUNITY TRUST BANCORP IN      COM         204149108     297,583    10,115  SH      SOLE        1       10,115
COMMVAULT SYSTEMS INC           COM         204166102   1,530,999    35,838  SH      SOLE        1       35,838
COMPANHIA DE BEBIDAS DAS AME    COM         20441W203       2,743        76  SH      DEFINED     2                               76
COMPANHIA DE BEBIDAS DAS AME    COM         20441W203      15,013       416  SH      DEFINED     3                              416
COMPANHIA DE BEBIDAS DAS AME    COM         20441W203      10,069       279  SH      DEFINED     4                              279
COMPANHIA ENERGETICA DE MINA    COM         204409601      24,212     1,361  SH      DEFINED     3                            1,361
COMPANHIA PARANAENSE ENERG C    COM         20441B407      25,176     1,200  SH      DEFINED     2                            1,200
COMPANHIA SIDERURGICA NACION    COM         20440W105      17,423     2,130  SH      DEFINED     2                            2,130
COMPANHIA SIDERURGICA NACION    COM         20440W105      16,409     2,006  SH      DEFINED     3                            2,006
COMPANHIA SIDERURGICA NACION    COM         20440W105      14,724     1,800  SH      DEFINED     4                            1,800
COMPANIA DE MINAS BUENAVENTU    COM         204448104       8,473       221  SH      DEFINED     4                              221
COMPASS DIVERSIFIED HOLDIN      COM         20451Q104     365,332    29,486  SH      SOLE        1       29,486
COMPASS DIVERSIFIED HOLDINGS    COM         20451Q104      41,011     3,310  SH      DEFINED     2                            3,310
COMPASS DIVERSIFIED HOLDINGS    COM         20451Q104     984,392    79,451  SH      DEFINED     3                           79,451
COMPASS DIVERSIFIED HOLDINGS    COM         20451Q104     467,822    37,758  SH      DEFINED     4                           37,758
COMPASS MINERALS INTERNATI      COM         20451N101   4,953,689    71,949  SH      SOLE        1       71,949
COMPASS MINERALS INTL INC       COM         20451N101      20,655       300  SH      DEFINED     2                              300
COMPASS MINERALS INTL INC       COM         20451N101       1,308        19  SH      DEFINED     3                               19
COMPLETE GENOMICS INC           COM         20454K104      22,368     7,634  SH      SOLE        1        7,634
COMPLETE GENOMICS INC           COM         20454K104       2,930     1,000  SH      DEFINED     3                            1,000
COMPLETE PRODUCTION SERVIC      COM         20453E109   7,518,984   224,046  SH      SOLE        1      224,046
COMPLETE PRODUCTION SERVICES    COM         20453E109      10,068       300  SH      DEFINED     4                              300
COMPUTER PROGRAMS + SYSTEM      COM         205306103     460,706     9,014  SH      SOLE        1        9,014
COMPUTER SCIENCES CORP          COM         205363104   1,559,223    65,790  SH      SOLE        1       65,790
COMPUTER SCIENCES CORP          COM         205363104       2,053        87  SH      DEFINED     3                               87
COMPUTER TASK GROUP INC         COM         205477102     155,457    11,041  SH      SOLE        1       11,041
COMPUTER TASK GROUP INC         COM         205477102      21,120     1,500  SH      DEFINED     2                            1,500
COMPUWARE CORP                  COM         205638109     583,324    70,111  SH      SOLE        1       70,111
COMPUWARE CORP                  COM         205638109       1,082       130  SH      DEFINED     3                              130
COMPX INTERNATIONAL INC         COM         20563P101      12,373       840  SH      SOLE        1          840
COMSCORE INC                    COM         20564W105     552,705    26,071  SH      SOLE        1       26,071
COMSTOCK RESOURCES INC          COM         205768203   2,114,231   138,185  SH      SOLE        1      138,185
COMTECH TELECOMMUNICATIONS      COM         205826209     474,434    16,577  SH      SOLE        1       16,577
COMTECH TELECOMMUNICATIONS C    COM         205826209       1,860        65  SH      DEFINED     2                               65
CON WAY INC                     COM         205944101   3,565,947   122,289  SH      SOLE        1      122,289
CONAGRA FOODS INC               COM         205887102   3,607,217   136,637  SH      SOLE        1      136,637
CONAGRA FOODS INC               COM         205887102      18,480       700  SH      DEFINED     2                              700
CONAGRA FOODS INC               COM         205887102     188,122     7,126  SH      DEFINED     3                            7,126
CONAGRA FOODS INC               COM         205887102      55,519     2,103  SH      DEFINED     4                            2,103
CONCEPTUS INC                   COM         206016107     287,939    22,780  SH      SOLE        1       22,780
CONCHO RES INC                  COM         20605P101     200,625     2,140  SH      DEFINED     3                            2,140
CONCHO RESOURCES INC            COM         20605P101     158,813     1,694  SH      SOLE        1        1,694
CONCUR TECHNOLOGIES INC         COM         206708109   6,780,821   133,507  SH      SOLE        1      133,507
CONMED CORP                     COM         207410101     591,129    23,028  SH      SOLE        1       23,028
CONN S INC                      COM         208242107     117,460    10,582  SH      SOLE        1       10,582
CONNECTICUT WATER SVC INC       COM         207797101     170,186     6,273  SH      SOLE        1        6,273
CONOCOPHILLIPS                  COM         20825C104  42,555,861   583,997  SH      SOLE        1      583,997
CONOCOPHILLIPS                  COM         20825C104   2,598,056    35,653  SH      DEFINED     2                           35,653
CONOCOPHILLIPS                  COM         20825C104   4,805,186    65,942  SH      DEFINED     3                           65,942
CONOCOPHILLIPS                  COM         20825C104     809,579    11,110  SH      DEFINED     4                           11,110
CONS TOMOKA LAND CO FLORID      COM         210226106      82,915     3,063  SH      SOLE        1        3,063
CONSOL ENERGY INC               COM         20854P109   2,613,113    71,202  SH      SOLE        1       71,202
CONSOL ENERGY INC               COM         20854P109      27,525       750  SH      DEFINED     2                              750
CONSOL ENERGY INC               COM         20854P109      18,350       500  SH      DEFINED     3                              500
CONSOLIDATED COMM HLDGS INC     COM         209034107       9,563       502  SH      DEFINED     3                              502
CONSOLIDATED COMM HLDGS INC     COM         209034107     127,635     6,700  SH      DEFINED     4                            6,700
CONSOLIDATED COMMUNICATION      COM         209034107     363,684    19,091  SH      SOLE        1       19,091
CONSOLIDATED EDISON INC         COM         209115104  11,636,704   187,598  SH      SOLE        1      187,598
CONSOLIDATED EDISON INC         COM         209115104     585,571     9,440  SH      DEFINED     2                            9,440
CONSOLIDATED EDISON INC         COM         209115104   1,069,707    17,245  SH      DEFINED     3                           17,245






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
CONSOLIDATED EDISON INC         COM         209115104      76,875     1,239  SH      DEFINED     4                            1,239
CONSOLIDATED GRAPHICS INC       COM         209341106     333,953     6,917  SH      SOLE        1        6,917
CONSOLIDATED WATER CO INC       COM         G23773107       3,432       400  SH      DEFINED     2                              400
CONSOLIDATED WATER CO ORD       COM         G23773107      91,240    10,634  SH      SOLE        1       10,634
CONSTANT CONTACT INC            COM         210313102     499,502    21,521  SH      SOLE        1       21,521
CONSTANT CONTACT INC            COM         210313102      17,408       750  SH      DEFINED     3                              750
CONSTELLATION BRANDS INC        COM         21036P108       2,067       100  SH      DEFINED     3                              100
CONSTELLATION BRANDS INC        COM         21036P108       6,201       300  SH      DEFINED     4                              300
CONSTELLATION BRANDS INC A      COM         21036P108   1,200,534    58,081  SH      SOLE        1       58,081
CONSTELLATION ENERGY GROUP      COM         210371100   3,468,864    87,443  SH      SOLE        1       87,443
CONSTELLATION ENERGY GROUP I    COM         210371100      13,924       351  SH      DEFINED     2                              351
CONSTELLATION ENERGY GROUP I    COM         210371100       5,911       149  SH      DEFINED     3                              149
CONSTELLATION ENERGY PRTNR L    COM         21038E101      19,600    10,000  SH      DEFINED     3                           10,000
CONTANGO OIL & GAS COMPANY      COM         21075N204      40,726       700  SH      DEFINED     2                              700
CONTANGO OIL + GAS              COM         21075N204     581,160     9,989  SH      SOLE        1        9,989
CONTINENTAL RESOURCES INC       COM         212015101      13,342       200  SH      DEFINED     2                              200
CONTINENTAL RESOURCES INC       COM         212015101      25,016       375  SH      DEFINED     3                              375
CONTINENTAL RESOURCES INC/      COM         212015101      46,630       699  SH      SOLE        1          699
CONVERGYS CORP                  COM         212485106   4,311,624   337,637  SH      SOLE        1      337,637
CONVERGYS CORP                  COM         212485106       2,554       200  SH      DEFINED     2                              200
CONVIO INC                      COM         21257W105      97,748     8,838  SH      SOLE        1        8,838
CON-WAY INC                     COM         205944101       7,582       260  SH      DEFINED     2                              260
COOPER COS INC/THE              COM         216648402   7,396,561   104,886  SH      SOLE        1      104,886
COOPER INDUSTRIES PLC           COM         G24140108   3,450,817    63,727  SH      SOLE        1       63,727
COOPER INDUSTRIES PLC           COM         G24140108      99,517     1,838  SH      DEFINED     3                            1,838
COOPER INDUSTRIES PLC           COM         G24140108       3,249        60  SH      DEFINED     4                               60
COOPER TIRE + RUBBER            COM         216831107     635,424    45,355  SH      SOLE        1       45,355
COPA HOLDINGS SA                COM         P31076105      29,335       500  SH      DEFINED     3                              500
COPA HOLDINGS SA CLASS A        COM         P31076105      37,842       645  SH      SOLE        1          645
COPANO ENERGY L L C             COM         217202100      80,712     2,360  SH      DEFINED     2                            2,360
COPANO ENERGY L L C             COM         217202100     647,138    18,922  SH      DEFINED     3                           18,922
COPART INC                      COM         217204106   5,590,679   116,740  SH      SOLE        1      116,740
COPART INC                      COM         217204106       9,578       200  SH      DEFINED     2                              200
CORCEPT THERAPEUTICS INC        COM         218352102     102,569    29,991  SH      SOLE        1       29,991
CORE LABORATORIES N.V.          COM         N22717107      83,525       733  SH      SOLE        1          733
CORE MARK HOLDING CO INC        COM         218681104     329,432     8,319  SH      SOLE        1        8,319
CORELOGIC INC                   COM         21871D103   3,028,141   234,195  SH      SOLE        1      234,195
CORELOGIC INC                   COM         21871D103       9,051       700  SH      DEFINED     3                              700
CORESITE REALTY CORP            ADR         21870Q105     258,568    14,510  SH      SOLE        1       14,510
CORESITE RLTY CORP              COM         21870Q105      20,671     1,160  SH      DEFINED     3                            1,160
CORINTHIAN COLLEGES INC         COM         218868107     139,051    64,079  SH      SOLE        1       64,079
CORINTHIAN COLLEGES INC         COM         218868107       1,749       806  SH      DEFINED     2                              806
CORN PRODUCTS INTL INC          COM         219023108   8,729,835   165,998  SH      SOLE        1      165,998
CORNERSTONE ONDEMAND INC        COM         21925Y103     151,994     8,333  SH      SOLE        1        8,333
CORNERSTONE THERAPEUTICS I      COM         21924P103      32,900     5,875  SH      SOLE        1        5,875
CORNERSTONE THERAPEUTICS INC    COM         21924P103      44,800     8,000  SH      DEFINED     2                            8,000
CORNERSTONE TOTAL RTRN FD IN    COM         21924U201          24         4  SH      DEFINED     3                                4
CORNING INC                     COM         219350105   8,006,921   616,866  SH      SOLE        1      616,866
CORNING INC                     COM         219350105      99,829     7,691  SH      DEFINED     2                            7,691
CORNING INC                     COM         219350105     614,859    47,370  SH      DEFINED     3                           47,370
CORNING INC                     COM         219350105     176,788    13,620  SH      DEFINED     4                           13,620
CORPORATE EXECUTIVE BOARD       COM         21988R102   3,715,093    97,509  SH      SOLE        1       97,509
CORPORATE EXECUTIVE BRD CO      COM         21988R102         419        11  SH      DEFINED     3                               11
CORPORATE OFFICE PPTYS TR       COM         22002T108      11,523       542  SH      DEFINED     2                              542
CORPORATE OFFICE PROPERTIE      COM         22002T108   3,361,801   158,128  SH      SOLE        1      158,128
CORRECTIONS CORP AMER NEW       COM         22025Y407      30,555     1,500  SH      DEFINED     4                            1,500
CORRECTIONS CORP OF AMERIC      COM         22025Y407   4,462,598   219,077  SH      SOLE        1      219,077
CORVEL CORP                     COM         221006109     261,911     5,065  SH      SOLE        1        5,065
COST PLUS INC/CALIFORNIA        COM         221485105     135,242    13,871  SH      SOLE        1       13,871
COSTAR GROUP INC                COM         22160N109   1,232,436    18,469  SH      SOLE        1       18,469
COSTCO WHOLESALE CORP           COM         22160K105  16,248,483   195,013  SH      SOLE        1      195,013
COSTCO WHSL CORP NEW            COM         22160K105     101,812     1,222  SH      DEFINED     2                            1,222
COSTCO WHSL CORP NEW            COM         22160K105     208,713     2,505  SH      DEFINED     3                            2,505
COSTCO WHSL CORP NEW            COM         22160K105      12,248       147  SH      DEFINED     4                              147
COURIER CORP                    COM         222660102      88,198     7,519  SH      SOLE        1        7,519
COUSINS PPTYS INC               COM         222795106       2,391       373  SH      DEFINED     4                              373
COUSINS PROPERTIES INC          COM         222795106     483,077    75,363  SH      SOLE        1       75,363
COVANCE INC                     COM         222816100   6,076,691   132,911  SH      SOLE        1      132,911
COVANCE INC                     COM         222816100       2,057        45  SH      DEFINED     2                               45
COVANCE INC                     COM         222816100       2,469        54  SH      DEFINED     3                               54
COVANTA HLDG CORP               COM         22282E102       2,738       200  SH      DEFINED     3                              200
COVANTA HOLDING CORP            COM         22282E102      48,025     3,508  SH      SOLE        1        3,508
COVENANT TRANSPORT GRP CL       COM         22284P105      18,147     6,110  SH      SOLE        1        6,110
COVENTRY HEALTH CARE INC        COM         222862104   3,253,811   107,139  SH      SOLE        1      107,139
COVENTRY HEALTH CARE INC        COM         222862104      94,329     3,106  SH      DEFINED     2                            3,106
COVENTRY HEALTH CARE INC        COM         222862104       7,289       240  SH      DEFINED     3                              240
COVENTRY HEALTH CARE INC        COM         222862104       6,074       200  SH      DEFINED     4                              200
COVIDIEN PLC                    COM         G2554F113  13,475,229   299,383  SH      SOLE        1      299,383
COVIDIEN PLC                    COM         G2554F113      14,178       315  SH      DEFINED     2                              315
COVIDIEN PLC                    COM         G2554F113      25,746       572  SH      DEFINED     3                              572
COVIDIEN PLC                    COM         G2554F113      84,484     1,877  SH      DEFINED     4                            1,877
COWEN GROUP INC CLASS A         COM         223622101     126,467    48,829  SH      SOLE        1       48,829
CPFL ENERGIA S A                COM         126153105     208,190     7,380  SH      DEFINED     3                            7,380
CPFL ENERGIA S A                COM         126153105      33,852     1,200  SH      DEFINED     4                            1,200
CR BARD INC                     COM         067383109   2,299,352    26,893  SH      SOLE        1       26,893
CRA INTERNATIONAL INC           COM         12618T105     157,172     7,922  SH      SOLE        1        7,922
CRACKER BARREL OLD COUNTRY      COM         22410J106     942,717    18,701  SH      SOLE        1       18,701
CRACKER BARREL OLD CTRY STOR    COM         22410J106     152,490     3,025  SH      DEFINED     2                            3,025
CRACKER BARREL OLD CTRY STOR    COM         22410J106      20,164       400  SH      DEFINED     3                              400
CRACKER BARREL OLD CTRY STOR    COM         22410J106       2,521        50  SH      DEFINED     4                               50
CRAFT BREWERS ALLIANCE INC      COM         224122101      45,770     7,603  SH      SOLE        1        7,603
CRANE CO                        COM         224399105  10,685,193   228,756  SH      SOLE        1      228,756
CRAWFORD & CO                   COM         224633107       1,866       303  SH      DEFINED     4                              303
CRAWFORD & CO                   COM         224633206       1,233       303  SH      DEFINED     4                              303
CRAWFORD + CO   CL B            COM         224633107     115,974    18,827  SH      SOLE        1       18,827
CRAY INC                        COM         225223304     170,963    26,424  SH      SOLE        1       26,424
CREDICORP LTD                   COM         G2519Y108      29,010       265  SH      DEFINED     4                              265
CREDIT ACCEPTANCE CORP          COM         225310101     401,362     4,878  SH      SOLE        1        4,878
CREDIT SUISSE ASSET MGMT INC    COM         224916106      16,900     4,630  SH      DEFINED     2                            4,630
CREDIT SUISSE ASSET MGMT INC    COM         224916106      45,625    12,500  SH      DEFINED     3                           12,500
CREDIT SUISSE GROUP             COM         225401108         446        19  SH      DEFINED     3                               19
CREDIT SUISSE NASSAU BRH        COM         22542D795     113,424    17,423  SH      DEFINED     2                           17,423
CREDIT SUISSE NASSAU BRH        COM         22542D795       1,953       300  SH      DEFINED     3                              300
CREDO PETE CORP                 COM         225439207       5,100       500  SH      DEFINED     4                              500
CREE INC                        COM         225447101   6,307,760   286,196  SH      SOLE        1      286,196
CREE INC                        COM         225447101       2,645       120  SH      DEFINED     2                              120
CREE INC                        COM         225447101      18,734       850  SH      DEFINED     3                              850
CREE INC                        COM         225447101       9,257       420  SH      DEFINED     4                              420
CRESTWOOD MIDSTREAM PRTNERS     COM         226372100      15,870       500  SH      DEFINED     2                              500
CRESTWOOD MIDSTREAM PRTNERS     COM         226372100       3,174       100  SH      DEFINED     3                              100
CRESTWOOD MIDSTREAM PRTNERS     COM         226372100       6,348       200  SH      DEFINED     4                              200
CREXUS INVESTMENT CORP          COM         226553105     433,334    41,747  SH      SOLE        1       41,747
CREXUS INVT CORP                COM         226553105      10,380     1,000  SH      DEFINED     4                            1,000
CRH PLC                         COM         12626K203         991        50  SH      DEFINED     4                               50
CRIMSON EXPLORATION INC         COM         22662K207      45,594    15,942  SH      SOLE        1       15,942






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
CROCS INC                       COM         227046109   1,086,230    73,543  SH      SOLE        1       73,543
CROCS INC                       COM         227046109      39,879     2,700  SH      DEFINED     3                            2,700
CROCS INC                       COM         227046109      11,683       791  SH      DEFINED     4                              791
CROSS COUNTRY HEALTHCARE I      COM         227483104     127,223    22,923  SH      SOLE        1       22,923
CROSS TIMBERS RTY TR            COM         22757R109     203,544     4,165  SH      DEFINED     3                            4,165
CROSSTEX ENERGY INC             COM         22765Y104     374,789    29,651  SH      SOLE        1       29,651
CROSSTEX ENERGY INC             COM         22765Y104      32,864     2,600  SH      DEFINED     3                            2,600
CROSSTEX ENERGY L P             COM         22765U102      16,220     1,000  SH      DEFINED     3                            1,000
CROWN CASTLE INTL CORP          COM         228227104   3,311,840    73,925  SH      SOLE        1       73,925
CROWN HOLDINGS INC              COM         228368106      83,648     2,491  SH      SOLE        1        2,491
CROWN HOLDINGS INC              COM         228368106      26,864       800  SH      DEFINED     2                              800
CROWN MEDIA HOLDINGS CLASS      COM         228411104      30,833    25,482  SH      SOLE        1       25,482
CRYOLIFE INC                    COM         228903100     109,330    22,777  SH      SOLE        1       22,777
CSG SYSTEMS INTL INC            COM         126349109     413,910    28,138  SH      SOLE        1       28,138
CSP INC                         COM         126389105       1,288       400  SH      DEFINED     2                              400
CSS INDS INC                    COM         125906107      39,840     2,000  SH      DEFINED     2                            2,000
CSS INDUSTRIES INC              COM         125906107     117,946     5,921  SH      SOLE        1        5,921
CSX CORP                        COM         126408103  10,244,321   486,435  SH      SOLE        1      486,435
CSX CORP                        COM         126408103      53,703     2,550  SH      DEFINED     2                            2,550
CSX CORP                        COM         126408103     597,367    28,365  SH      DEFINED     3                           28,365
CSX CORP                        COM         126408103     117,515     5,580  SH      DEFINED     4                            5,580
CTC MEDIA INC                   COM         12642X106      66,792     7,616  SH      DEFINED     4                            7,616
CTRIP COM INTL LTD              COM         22943F100       4,797       205  SH      DEFINED     4                              205
CTRIP.COM INTERNATIONAL AD      COM         22943F100     184,649     7,891  SH      SOLE        1        7,891
CTS CORP                        COM         126501105     257,324    27,970  SH      SOLE        1       27,970
CUBESMART                       COM         229663109     952,493    89,520  SH      SOLE        1       89,520
CUBESMART                       COM         229663109       4,671       439  SH      DEFINED     4                              439
CUBIC CORP                      COM         229669106     561,090    12,872  SH      SOLE        1       12,872
CUBIST PHARMACEUTICALS INC      COM         229678107   1,940,627    48,981  SH      SOLE        1       48,981
CUBIST PHARMACEUTICALS INC      COM         229678107      19,691       497  SH      DEFINED     2                              497
CUBIST PHARMACEUTICALS INC      COM         229678107       2,179        55  SH      DEFINED     3                               55
CUBIST PHARMACEUTICALS INC      COM         229678107       1,585        40  SH      DEFINED     4                               40
CULLEN FROST BANKERS INC        COM         229899109      58,836     1,112  SH      DEFINED     2                            1,112
CULLEN/FROST BANKERS INC        COM         229899109   7,121,792   134,602  SH      SOLE        1      134,602
CUMMINS INC                     COM         231021106   7,661,349    87,041  SH      SOLE        1       87,041
CUMMINS INC                     COM         231021106     255,170     2,899  SH      DEFINED     2                            2,899
CUMMINS INC                     COM         231021106     569,406     6,469  SH      DEFINED     3                            6,469
CUMMINS INC                     COM         231021106     198,435     2,254  SH      DEFINED     4                            2,254
CUMULUS MEDIA INC CL A          COM         231082108      91,930    27,524  SH      SOLE        1       27,524
CURIS INC                       COM         231269101     260,980    55,765  SH      SOLE        1       55,765
CURIS INC                       COM         231269101       2,808       600  SH      DEFINED     3                              600
CURRENCYSHARES AUSTRALIAN DL    COM         23129U101       8,723        85  SH      DEFINED     2                               85
CURRENCYSHARES AUSTRALIAN DL    COM         23129U101      75,939       740  SH      DEFINED     3                              740
CURRENCYSHARES AUSTRALIAN DL    COM         23129U101      84,662       825  SH      DEFINED     4                              825
CURRENCYSHARES CDN DLR TR       COM         23129X105       7,810        80  SH      DEFINED     2                               80
CURRENCYSHARES CDN DLR TR       COM         23129X105      39,048       400  SH      DEFINED     3                              400
CURRENCYSHARES SWISS FRANC T    COM         23129V109     100,160       953  SH      DEFINED     2                              953
CURRENCYSHARES SWISS FRANC T    COM         23129V109      29,743       283  SH      DEFINED     3                              283
CURRENCYSHS JAPANESE YEN TR     COM         23130A102     690,566     5,398  SH      DEFINED     2                            5,398
CURRENCYSHS JAPANESE YEN TR     COM         23130A102      64,605       505  SH      DEFINED     4                              505
CURTISS WRIGHT CORP             COM         231561101   1,337,064    37,845  SH      SOLE        1       37,845
CURTISS WRIGHT CORP             COM         231561101       1,625        46  SH      DEFINED     3                               46
CUSHING MLP TOTAL RETURN FD     COM         231631102      58,286     6,549  SH      DEFINED     2                            6,549
CUSHING MLP TOTAL RETURN FD     COM         231631102   2,154,977   242,132  SH      DEFINED     3                          242,132
CUTWATER SELECT INCOME FD       COM         232229104     164,199     8,734  SH      DEFINED     3                            8,734
CVB FINANCIAL CORP              COM         126600105     654,327    65,237  SH      SOLE        1       65,237
CVB FINL CORP                   COM         126600105      10,030     1,000  SH      DEFINED     3                            1,000
CVR ENERGY INC                  COM         12662P108   1,200,986    64,121  SH      SOLE        1       64,121
CVR PARTNERS LP                 COM         126633106       9,928       400  SH      DEFINED     2                              400
CVR PARTNERS LP                 COM         126633106      37,230     1,500  SH      DEFINED     3                            1,500
CVR PARTNERS LP                 COM         126633106     123,030     4,957  SH      DEFINED     4                            4,957
CVS CAREMARK CORP               COM         126650100  25,882,047   634,675  SH      SOLE        1      634,675
CVS CAREMARK CORPORATION        COM         126650100      36,335       891  SH      DEFINED     2                              891
CVS CAREMARK CORPORATION        COM         126650100     395,458     9,697  SH      DEFINED     3                            9,697
CVS CAREMARK CORPORATION        COM         126650100     303,607     7,445  SH      DEFINED     4                            7,445
CYANOTECH CORP                  COM         232437301      38,920     5,600  SH      DEFINED     3                            5,600
CYBERONICS INC                  COM         23251P102     763,934    22,804  SH      SOLE        1       22,804
CYMER INC                       COM         232572107   1,237,531    24,870  SH      SOLE        1       24,870
CYNOSURE INC                    COM         232577205      11,760     1,000  SH      DEFINED     2                            1,000
CYNOSURE INC A                  COM         232577205      83,026     7,060  SH      SOLE        1        7,060
CYPRESS SEMICONDUCTOR CORP      COM         232806109   8,196,345   485,278  SH      SOLE        1      485,278
CYPRESS SEMICONDUCTOR CORP      COM         232806109       5,067       300  SH      DEFINED     2                              300
CYPRESS SEMICONDUCTOR CORP      COM         232806109      20,268     1,200  SH      DEFINED     3                            1,200
CYS INVESTMENTS INC             COM         12673A108     792,421    60,306  SH      SOLE        1       60,306
CYS INVTS INC                   COM         12673A108      13,140     1,000  SH      DEFINED     2                            1,000
CYS INVTS INC                   COM         12673A108      21,024     1,600  SH      DEFINED     3                            1,600
CYTEC INDUSTRIES INC            COM         232820100   4,874,485   109,171  SH      SOLE        1      109,171
CYTORI THERAPEUTICS INC         COM         23283K105      82,069    37,304  SH      SOLE        1       37,304
CYTORI THERAPEUTICS INC         COM         23283K105      24,552    11,160  SH      DEFINED     2                           11,160
CYTORI THERAPEUTICS INC         COM         23283K113       3,920     4,000  SH      DEFINED     2                            4,000
CYTORI THERAPEUTICS INC         COM         23283K105       4,400     2,000  SH      DEFINED     3                            2,000
D R HORTON INC                  COM         23331A109       8,991       713  SH      DEFINED     3                              713
D R HORTON INC                  COM         23331A109       3,783       300  SH      DEFINED     4                              300
DAKTRONICS INC                  COM         234264109     271,731    28,394  SH      SOLE        1       28,394
DAKTRONICS INC                  COM         234264109      11,484     1,200  SH      DEFINED     2                            1,200
DANA HOLDING CORP               COM         235825205   3,772,915   310,528  SH      SOLE        1      310,528
DANAHER CORP                    COM         235851102  11,148,950   237,010  SH      SOLE        1      237,010
DANAHER CORP DEL                COM         235851102         188         4  SH      DEFINED     2                                4
DANAHER CORP DEL                COM         235851102      11,384       242  SH      DEFINED     3                              242
DANAOS CORPORATION              COM         Y1968P105       3,350     1,000  SH      DEFINED     3                            1,000
DARDEN RESTAURANTS INC          COM         237194105   4,500,843    98,746  SH      SOLE        1       98,746
DARDEN RESTAURANTS INC          COM         237194105      98,244     2,155  SH      DEFINED     2                            2,155
DARDEN RESTAURANTS INC          COM         237194105      14,673       322  SH      DEFINED     3                              322
DARDEN RESTAURANTS INC          COM         237194105         912        20  SH      DEFINED     4                               20
DARLING INTERNATIONAL INC       COM         237266101   1,266,989    95,334  SH      SOLE        1       95,334
DAVITA INC                      COM         23918K108   2,277,939    30,048  SH      SOLE        1       30,048
DAWSON GEOPHYSICAL CO           COM         239359102     228,642     5,784  SH      SOLE        1        5,784
DCP MIDSTREAM PARTNERS LP       COM         23311P100       4,747       100  SH      DEFINED     2                              100
DCP MIDSTREAM PARTNERS LP       COM         23311P100      17,801       375  SH      DEFINED     3                              375
DCP MIDSTREAM PARTNERS LP       COM         23311P100     141,485     2,981  SH      DEFINED     4                            2,981
DCT INDUSTRIAL TRUST INC        COM         233153105     918,697   179,433  SH      SOLE        1      179,433
DCT INDUSTRIAL TRUST INC        COM         233153105      30,228     5,904  SH      DEFINED     2                            5,904
DCT INDUSTRIAL TRUST INC        COM         233153105       5,473     1,069  SH      DEFINED     4                            1,069
DDI CORP                        COM         233162502     102,835    11,022  SH      SOLE        1       11,022
DDR CORP                        COM         23317H102      83,949     6,898  SH      SOLE        1        6,898
DDR CORP                        COM         23317H102       3,614       297  SH      DEFINED     2                              297
DDR CORP                        COM         23317H102       8,787       722  SH      DEFINED     3                              722
DDR CORP                        COM         23317H102       4,953       407  SH      DEFINED     4                              407
DEALERTRACK HOLDINGS INC        COM         242309102     914,082    33,532  SH      SOLE        1       33,532
DEAN FOODS CO                   COM         242370104     744,374    66,462  SH      SOLE        1       66,462
DEAN FOODS CO NEW               COM         242370104       1,938       173  SH      DEFINED     2                              173
DEAN FOODS CO NEW               COM         242370104       7,851       701  SH      DEFINED     4                              701
DECKERS OUTDOOR CORP            COM         243537107   6,379,242    84,415  SH      SOLE        1       84,415
DECKERS OUTDOOR CORP            COM         243537107       7,784       103  SH      DEFINED     3                              103
DECKERS OUTDOOR CORP            COM         243537107       3,627        48  SH      DEFINED     4                               48






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
DECKERS OUTDOOR CORP            COM         243537907          65         5  SH  C   DEFINED     4                                5
DEER CONSUMER PRODS INC         COM         24379J900       1,500       100  SH  C   DEFINED     4                              100
DEERE & CO                      COM         244199105     725,586     9,381  SH      DEFINED     2                            9,381
DEERE & CO                      COM         244199105   1,045,175    13,512  SH      DEFINED     3                           13,512
DEERE & CO                      COM         244199905           3         3  SH  C   DEFINED     3                                3
DEERE & CO                      COM         244199105     939,957    12,152  SH      DEFINED     4                           12,152
DEERE + CO                      COM         244199105   9,508,326   122,926  SH      SOLE        1      122,926
DELAWARE ENHANCED GBL DIV &     COM         246060107      57,673     5,355  SH      DEFINED     3                            5,355
DELCATH SYSTEMS INC             COM         24661P104     107,052    35,099  SH      SOLE        1       35,099
DELEK US HLDGS INC              COM         246647101      18,256     1,600  SH      DEFINED     4                            1,600
DELEK US HOLDINGS INC           COM         246647101     118,436    10,380  SH      SOLE        1       10,380
DELL INC                        COM         24702R101  10,341,113   706,843  SH      SOLE        1      706,843
DELL INC                        COM         24702R101      34,088     2,330  SH      DEFINED     2                            2,330
DELL INC                        COM         24702R101      28,192     1,927  SH      DEFINED     3                            1,927
DELL INC                        COM         24702R101      11,426       781  SH      DEFINED     4                              781
DELPHI FINANCIAL GROUP CL       COM         247131105   1,765,887    39,862  SH      SOLE        1       39,862
DELTA AIR LINES INC             COM         247361702     155,288    19,195  SH      SOLE        1       19,195
DELTA AIR LINES INC DEL         COM         247361702         162        20  SH      DEFINED     2                               20
DELTA AIR LINES INC DEL         COM         247361702     165,999    20,519  SH      DEFINED     3                           20,519
DELTA AIR LINES INC DEL         COM         247361702          40         5  SH      DEFINED     4                                5
DELTA AIR LINES INC DEL         COM         247361952       2,100        10  SH  P   DEFINED     4                               10
DELTA APPAREL INC               COM         247368103      98,753     5,173  SH      SOLE        1        5,173
DELTA PETE CORP                 COM         247907306           5        50  SH      DEFINED     2                               50
DELTEK INC                      COM         24784L105     159,172    16,209  SH      SOLE        1       16,209
DELTIC TIMBER CORP              COM         247850100     531,251     8,797  SH      SOLE        1        8,797
DELUXE CORP                     COM         248019101   4,415,008   193,981  SH      SOLE        1      193,981
DELUXE CORP                     COM         248019101       5,349       235  SH      DEFINED     2                              235
DELUXE CORP                     COM         248019101       3,414       150  SH      DEFINED     3                              150
DELUXE CORP                     COM         248019101     486,586    21,379  SH      DEFINED     4                           21,379
DEMAND MEDIA INC                COM         24802N109      38,390     5,773  SH      SOLE        1        5,773
DEMANDTEC INC                   COM         24802R506     310,693    23,591  SH      SOLE        1       23,591
DENALI FD INC                   COM         24823A102      13,230     1,000  SH      DEFINED     3                            1,000
DENBURY RESOURCES INC           COM         247916208   2,480,749   164,288  SH      SOLE        1      164,288
DENDREON CORP                   COM         24823Q107      18,438     2,426  SH      SOLE        1        2,426
DENDREON CORP                   COM         24823Q107      76,950    10,125  SH      DEFINED     2                           10,125
DENDREON CORP                   COM         24823Q107     182,058    23,955  SH      DEFINED     3                           23,955
DENDREON CORP                   COM         24823Q907         189         3  SH  C   DEFINED     3                                3
DENDREON CORP                   COM         24823Q107       8,041     1,058  SH      DEFINED     4                            1,058
DENDREON CORP                   COM         24823Q907          10        10  SH  C   DEFINED     4                               10
DENISON MINES CORP              COM         248356107       1,806     1,445  SH      DEFINED     3                            1,445
DENNY S CORP                    COM         24869P104     271,645    72,246  SH      SOLE        1       72,246
DENTSPLY INTERNATIONAL INC      COM         249030107   1,868,291    53,395  SH      SOLE        1       53,395
DEPOMED INC                     COM         249908104     203,066    39,202  SH      SOLE        1       39,202
DESTINATION MATERNITY CORP      COM         25065D100     131,035     7,837  SH      SOLE        1        7,837
DEUTSCHE BK AG LDN BRH          COM         25154H749      21,805       458  SH      DEFINED     2                              458
DEUTSCHE BK AG LDN BRH          COM         25154H467       7,845       250  SH      DEFINED     4                              250
DEUTSCHE BK AG LDN BRH          COM         25154H749       4,237        89  SH      DEFINED     4                               89
DEVON ENERGY CORP NEW           COM         25179M103     349,790     5,642  SH      DEFINED     2                            5,642
DEVON ENERGY CORP NEW           COM         25179M103      96,928     1,563  SH      DEFINED     3                            1,563
DEVON ENERGY CORP NEW           COM         25179M103       2,046        33  SH      DEFINED     4                               33
DEVON ENERGY CORPORATION        COM         25179M103  11,248,722   181,431  SH      SOLE        1      181,431
DEVRY INC                       COM         251893103     744,278    19,352  SH      SOLE        1       19,352
DEVRY INC DEL                   COM         251893103       2,500        65  SH      DEFINED     3                               65
DEXCOM INC                      COM         252131107     456,088    48,989  SH      SOLE        1       48,989
DEXCOM INC                      COM         252131107         931       100  SH      DEFINED     3                              100
DFC GLOBAL CORP                 COM         23324T107     573,206    31,739  SH      SOLE        1       31,739
DHT HOLDINGS INC                COM         Y2065G105      34,833    47,071  SH      SOLE        1       47,071
DHT HOLDINGS INC                COM         Y2065G105          74       100  SH      DEFINED     3                              100
DIAGEO P L C                    COM         25243Q205     113,686     1,300  SH      DEFINED     2                            1,300
DIAGEO P L C                    COM         25243Q205     215,518     2,465  SH      DEFINED     3                            2,465
DIAGEO P L C                    COM         25243Q205     251,866     2,881  SH      DEFINED     4                            2,881
DIAL GLOBAL INC                 COM         25247X107      11,736     3,679  SH      SOLE        1        3,679
DIALOGIC INC                    COM         25250T100      13,538    11,282  SH      SOLE        1       11,282
DIAMOND FOODS INC               COM         252603105     579,021    17,943  SH      SOLE        1       17,943
DIAMOND FOODS INC               COM         252603105      24,203       750  SH      DEFINED     2                              750
DIAMOND FOODS INC               COM         252603105       6,454       200  SH      DEFINED     3                              200
DIAMOND HILL INVESTMENT GR      COM         25264R207     138,565     1,873  SH      SOLE        1        1,873
DIAMOND HILL INVESTMENT GROU    COM         25264R207       7,398       100  SH      DEFINED     3                              100
DIAMOND OFFSHORE DRILLING       COM         25271C102   1,593,698    28,840  SH      SOLE        1       28,840
DIAMOND OFFSHORE DRILLING IN    COM         25271C102       3,260        59  SH      DEFINED     2                               59
DIAMOND OFFSHORE DRILLING IN    COM         25271C102     742,499    13,436  SH      DEFINED     3                           13,436
DIAMOND OFFSHORE DRILLING IN    COM         25271C102     114,167     2,066  SH      DEFINED     4                            2,066
DIAMONDROCK HOSPITALITY CO      COM         252784301   1,314,771   136,387  SH      SOLE        1      136,387
DIANA CONTAINERSHIPS INC        COM         Y2069P101         179        33  SH      DEFINED     3                               33
DIANA SHIPPING INC              COM         Y2066G104       7,854     1,050  SH      DEFINED     3                            1,050
DIANA SHIPPING INC              COM         Y2066G104         748       100  SH      DEFINED     4                              100
DICE HOLDINGS INC               COM         253017107     636,233    76,747  SH      SOLE        1       76,747
DICK S SPORTING GOODS INC       COM         253393102   7,785,036   211,091  SH      SOLE        1      211,091
DIEBOLD INC                     COM         253651103   4,149,209   137,985  SH      SOLE        1      137,985
DIGI INTERNATIONAL INC          COM         253798102     230,700    20,672  SH      SOLE        1       20,672
DIGI INTL INC                   COM         253798102       2,232       200  SH      DEFINED     3                              200
DIGIMARC CORP                   COM         25381B101     109,345     4,577  SH      SOLE        1        4,577
DIGITAL DOMAIN MEDIA GROUP      COM         25386U104      16,404     2,698  SH      SOLE        1        2,698
DIGITAL GENERATION INC          COM         25400B108     266,340    22,344  SH      SOLE        1       22,344
DIGITAL REALTY TRUST INC        COM         253868103     107,872     1,618  SH      SOLE        1        1,618
DIGITAL RIV INC                 COM         25388B104       3,004       200  SH      DEFINED     3                              200
DIGITAL RIVER INC               COM         25388B104     456,923    30,421  SH      SOLE        1       30,421
DIGITAL RLTY TR INC             COM         253868103      13,934       209  SH      DEFINED     4                              209
DIGITALGLOBE INC                COM         25389M877     440,463    25,743  SH      SOLE        1       25,743
DIGITALGLOBE INC                COM         25389M877         856        50  SH      DEFINED     3                               50
DILLARDS INC CL A               COM         254067101      44,611       994  SH      SOLE        1          994
DIME COMMUNITY BANCSHARES       COM         253922108   3,899,725   309,502  SH      SOLE        1      309,502
DINEEQUITY INC                  COM         254423106     532,184    12,608  SH      SOLE        1       12,608
DIODES INC                      COM         254543101     615,847    28,913  SH      SOLE        1       28,913
DIRECTV                         COM         25490A101      29,889       699  SH      DEFINED     2                              699
DIRECTV                         COM         25490A101      17,874       418  SH      DEFINED     3                              418
DIRECTV                         COM         25490A101      36,389       851  SH      DEFINED     4                              851
DIRECTV CLASS A                 COM         25490A101  13,702,699   320,456  SH      SOLE        1      320,456
DIREXION SHS ETF TR             COM         25459W151          59         2  SH      DEFINED     2                                2
DIREXION SHS ETF TR             COM         25459W771       2,606       160  SH      DEFINED     3                              160
DIREXION SHS ETF TR             COM         25459W888       9,370       200  SH      DEFINED     3                              200
DIREXION SHS ETF TR             COM         25459Y652       7,283       100  SH      DEFINED     3                              100
DIREXION SHS ETF TR             COM         25459Y678      27,184       400  SH      DEFINED     3                              400
DIREXION SHS ETF TR             COM         25459Y694       5,449        84  SH      DEFINED     3                               84
DIREXION SHS ETF TR             COM         25459W250      24,463     1,250  SH      DEFINED     4                            1,250
DISCOVER FINANCIAL SERVICE      COM         254709108   6,049,344   252,056  SH      SOLE        1      252,056
DISCOVER FINL SVCS              COM         254709108       4,392       183  SH      DEFINED     3                              183
DISCOVERY COMMUNICATIONS A      COM         25470F104   3,392,111    82,795  SH      SOLE        1       82,795
DISCOVERY COMMUNICATNS NEW      COM         25470F104       4,916       120  SH      DEFINED     2                              120
DISCOVERY COMMUNICATNS NEW      COM         25470F104      74,074     1,808  SH      DEFINED     4                            1,808
DISCOVERY COMMUNICATNS NEW      COM         25470F302         302         8  SH      DEFINED     4                                8
DISCOVERY LABORATORIES INC N    COM         254668403         559       333  SH      DEFINED     3                              333
DISH NETWORK CORP               COM         25470M109       5,867       206  SH      DEFINED     3                              206
DISH NETWORK CORP A             COM         25470M109   8,089,117   284,028  SH      SOLE        1      284,028
DISNEY WALT CO                  COM         254687106     515,800    13,755  SH      DEFINED     2                           13,755






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
DISNEY WALT CO                  COM         254687106     354,263     9,447  SH      DEFINED     3                            9,447
DISNEY WALT CO                  COM         254687106     205,311     5,475  SH      DEFINED     4                            5,475
DIVIDEND & INCOME FD INC        COM         25538A105       8,918     2,600  SH      DEFINED     4                            2,600
DNP SELECT INCOME FD            COM         23325P104     303,958    27,835  SH      DEFINED     2                           27,835
DNP SELECT INCOME FD            COM         23325P104     130,560    11,956  SH      DEFINED     3                           11,956
DOLAN CO/THE                    COM         25659P402     210,683    24,728  SH      SOLE        1       24,728
DOLBY LABORATORIES INC          COM         25659T107       2,410        79  SH      DEFINED     2                               79
DOLBY LABORATORIES INC          COM         25659T107       6,346       208  SH      DEFINED     3                              208
DOLBY LABORATORIES INC          COM         25659T107       3,051       100  SH      DEFINED     4                              100
DOLBY LABORATORIES INC CL       COM         25659T107      26,971       884  SH      SOLE        1          884
DOLE FOOD CO INC                COM         256603101     226,639    26,201  SH      SOLE        1       26,201
DOLLAR GEN CORP NEW             COM         256677105      22,956       558  SH      DEFINED     2                              558
DOLLAR GEN CORP NEW             COM         256677105      34,969       850  SH      DEFINED     3                              850
DOLLAR GEN CORP NEW             COM         256677105      43,567     1,059  SH      DEFINED     4                            1,059
DOLLAR GENERAL CORP             COM         256677105      64,713     1,573  SH      SOLE        1        1,573
DOLLAR THRIFTY AUTOMOTIVE       COM         256743105   1,484,524    21,129  SH      SOLE        1       21,129
DOLLAR TREE INC                 COM         256746108   3,637,143    43,763  SH      SOLE        1       43,763
DOLLAR TREE INC                 COM         256746108     449,459     5,408  SH      DEFINED     2                            5,408
DOLLAR TREE INC                 COM         256746108      39,477       475  SH      DEFINED     3                              475
DOMINION RES BLACK WARRIOR T    COM         25746Q108       3,196       400  SH      DEFINED     3                              400
DOMINION RES INC VA NEW         COM         25746U109     244,328     4,603  SH      DEFINED     2                            4,603
DOMINION RES INC VA NEW         COM         25746U109   1,636,881    30,838  SH      DEFINED     3                           30,838
DOMINION RES INC VA NEW         COM         25746U109   1,712,208    32,257  SH      DEFINED     4                           32,257
DOMINION RESOURCES INC/VA       COM         25746U109   9,008,631   169,718  SH      SOLE        1      169,718
DOMINO S PIZZA INC              COM         25754A201   1,443,113    42,507  SH      SOLE        1       42,507
DOMINOS PIZZA INC               COM         25754A201       2,648        78  SH      DEFINED     2                               78
DOMINOS PIZZA INC               COM         25754A201      23,765       700  SH      DEFINED     3                              700
DOMINOS PIZZA INC               COM         25754A201      16,126       475  SH      DEFINED     4                              475
DOMINOS PIZZA INC               COM         25754A901       2,350         5  SH  C   DEFINED     4                                5
DOMTAR CORP                     COM         257559203   7,138,989    89,282  SH      SOLE        1       89,282
DONALDSON CO INC                COM         257651109  11,091,934   162,925  SH      SOLE        1      162,925
DONALDSON INC                   COM         257651109      13,616       200  SH      DEFINED     3                              200
DONEGAL GROUP INC CL A          COM         257701201      80,018     5,651  SH      SOLE        1        5,651
DONNELLEY R R & SONS CO         COM         257867101      19,867     1,377  SH      DEFINED     2                            1,377
DONNELLEY R R & SONS CO         COM         257867101       1,515       105  SH      DEFINED     3                              105
DONNELLEY R R & SONS CO         COM         257867101     140,376     9,728  SH      DEFINED     4                            9,728
DORAL FINANCIAL CORP            COM         25811P886      88,883    92,974  SH      SOLE        1       92,974
DORCHESTER MINERALS LP          COM         25820R105       9,064       400  SH      DEFINED     3                              400
DORCHESTER MINERALS LP          COM         25820R105      29,412     1,298  SH      DEFINED     4                            1,298
DORMAN PRODUCTS INC             COM         258278100     291,747     7,900  SH      SOLE        1        7,900
DORMAN PRODUCTS INC             COM         258278100      75,707     2,050  SH      DEFINED     2                            2,050
DOT HILL SYSTEMS CORP           COM         25848T109      54,880    41,263  SH      SOLE        1       41,263
DOUBLE EAGLE PETE CO            COM         258570209       3,440       500  SH      DEFINED     2                              500
DOUGLAS DYNAMICS INC            COM         25960R105     199,007    13,612  SH      SOLE        1       13,612
DOUGLAS EMMETT INC              COM         25960P109      72,468     3,973  SH      SOLE        1        3,973
DOVER CORP                      COM         260003108   3,422,628    58,960  SH      SOLE        1       58,960
DOVER CORP                      COM         260003108      15,499       267  SH      DEFINED     3                              267
DOVER CORP                      COM         260003108      61,127     1,053  SH      DEFINED     4                            1,053
DOW 30 PREMIUM & DIV INC FD     COM         260582101       7,164       546  SH      DEFINED     3                              546
DOW CHEM CO                     COM         260543103     123,801     4,305  SH      DEFINED     2                            4,305
DOW CHEM CO                     COM         260543103     288,225    10,022  SH      DEFINED     3                           10,022
DOW CHEM CO                     COM         260543103      45,671     1,588  SH      DEFINED     4                            1,588
DOW CHEMICAL CO/THE             COM         260543103  13,876,700   482,500  SH      SOLE        1      482,500
DR HORTON INC                   COM         23331A109   1,165,303    92,411  SH      SOLE        1       92,411
DR PEPPER SNAPPLE GROUP INC     COM         26138E109       2,905        74  SH      DEFINED     2                               74
DR PEPPER SNAPPLE GROUP INC     COM         26138E109         474        12  SH      DEFINED     3                               12
DR REDDYS LABS LTD              COM         256135203       7,093       241  SH      DEFINED     4                              241
DRAGONWAVE INC                  COM         26144M103       3,450     1,000  SH      DEFINED     3                            1,000
DREAMWORKS ANIMATION SKG A      COM         26153C103   2,595,126   156,380  SH      SOLE        1      156,380
DREAMWORKS ANIMATION SKG INC    COM         26153C103       1,908       115  SH      DEFINED     2                              115
DRESSER RAND GROUP INC          COM         261608103   8,210,145   164,499  SH      SOLE        1      164,499
DREW INDUSTRIES INC             COM         26168L205     381,662    15,559  SH      SOLE        1       15,559
DREYFUS STRATEGIC MUN BD FD     COM         26202F107   1,706,046   196,300  SH      DEFINED     3                          196,300
DREYFUS STRATEGIC MUN BD FD     COM         26202F107       4,763       548  SH      DEFINED     4                              548
DRIL QUIP INC                   COM         262037104   6,575,615    99,903  SH      SOLE        1       99,903
DRIL-QUIP INC                   COM         262037104      19,746       300  SH      DEFINED     3                              300
DRYSHIPS INC                    COM         Y2109Q101       4,080     2,040  SH      DEFINED     2                            2,040
DRYSHIPS INC                    COM         Y2109Q101       7,800     3,900  SH      DEFINED     3                            3,900
DRYSHIPS INC                    COM         Y2109Q101       3,350     1,675  SH      DEFINED     4                            1,675
DSP GROUP INC                   COM         23332B106      99,224    19,045  SH      SOLE        1       19,045
DST SYS INC DEL                 COM         233326107         910        20  SH      DEFINED     2                               20
DST SYS INC DEL                 COM         233326107     132,964     2,921  SH      DEFINED     3                            2,921
DST SYS INC DEL                 COM         233326107     128,913     2,832  SH      DEFINED     4                            2,832
DST SYSTEMS INC                 COM         233326107   3,354,369    73,690  SH      SOLE        1       73,690
DSW INC CLASS A                 COM         23334L102      18,568       420  SH      SOLE        1          420
DTE ENERGY CO                   COM         233331107     326,573     5,998  SH      DEFINED     2                            5,998
DTE ENERGY CO                   COM         233331107      60,712     1,115  SH      DEFINED     3                            1,115
DTE ENERGY CO                   COM         233331107      61,147     1,123  SH      DEFINED     4                            1,123
DTE ENERGY COMPANY              COM         233331107   3,059,981    56,198  SH      SOLE        1       56,198
DTS INC                         COM         23335C101     384,602    14,119  SH      SOLE        1       14,119
DU PONT E I DE NEMOURS & CO     COM         263534109     359,962     7,863  SH      DEFINED     2                            7,863
DU PONT E I DE NEMOURS & CO     COM         263534109     600,634    13,120  SH      DEFINED     3                           13,120
DU PONT E I DE NEMOURS & CO     COM         263534109     451,124     9,854  SH      DEFINED     4                            9,854
DUCOMMUN INC                    COM         264147109      98,099     7,694  SH      SOLE        1        7,694
DUFF & PHELPS UTIL CORP BD T    COM         26432K108       1,084        90  SH      DEFINED     2                               90
DUFF & PHELPS UTIL CORP BD T    COM         26432K108     114,753     9,531  SH      DEFINED     3                            9,531
DUFF & PHELPS UTIL CORP BD T    COM         26432K108      14,448     1,200  SH      DEFINED     4                            1,200
DUFF + PHELPS CORP CLASS A      COM         26433B107     321,625    22,181  SH      SOLE        1       22,181
DUKE ENERGY CORP                COM         26441C105   8,800,814   400,037  SH      SOLE        1      400,037
DUKE ENERGY CORP NEW            COM         26441C105     457,517    20,796  SH      DEFINED     2                           20,796
DUKE ENERGY CORP NEW            COM         26441C105     501,126    22,778  SH      DEFINED     3                           22,778
DUKE ENERGY CORP NEW            COM         26441C105   1,090,581    49,572  SH      DEFINED     4                           49,572
DUKE REALTY CORP                COM         264411505   6,711,440   556,966  SH      SOLE        1      556,966
DUKE REALTY CORP                COM         264411505      34,402     2,855  SH      DEFINED     2                            2,855
DUKE REALTY CORP                COM         264411505       2,253       187  SH      DEFINED     3                              187
DUN & BRADSTREET CORP DEL NE    COM         26483E100       2,469        33  SH      DEFINED     3                               33
DUN + BRADSTREET CORP           COM         26483E100   1,141,307    15,252  SH      SOLE        1       15,252
DUNKIN  BRANDS GROUP INC        COM         265504100      11,990       480  SH      SOLE        1          480
DUNKIN BRANDS GROUP INC         COM         265504100     158,298     6,337  SH      DEFINED     3                            6,337
DUNKIN BRANDS GROUP INC         COM         265504100       7,494       300  SH      DEFINED     4                              300
DUOYUAN GLOBAL WTR INC          COM         266043108           0       100  SH      DEFINED     2                              100
DUPONT FABROS TECHNOLOGY        COM         26613Q106   1,040,515    42,961  SH      SOLE        1       42,961
DURECT CORPORATION              COM         266605104      69,548    58,939  SH      SOLE        1       58,939
DUSA PHARMACEUTICALS INC        COM         266898105      78,165    17,846  SH      SOLE        1       17,846
DUSA PHARMACEUTICALS INC        COM         266898105       2,190       500  SH      DEFINED     3                              500
DWS HIGH INCOME OPPORT FD IN    COM         23339M204       2,439       176  SH      DEFINED     3                              176
DWS HIGH INCOME TR              COM         23337C208      10,230     1,000  SH      DEFINED     2                            1,000
DWS HIGH INCOME TR              COM         23337C208      30,690     3,000  SH      DEFINED     3                            3,000
DWS MULTI MKT INCOME TR         COM         23338L108       7,070       700  SH      DEFINED     2                              700
DWS MULTI MKT INCOME TR         COM         23338L108      57,661     5,709  SH      DEFINED     3                            5,709
DXP ENTERPRISES INC             COM         233377407     204,341     6,346  SH      SOLE        1        6,346
DYAX CORP                       COM         26746E103      98,051    72,096  SH      SOLE        1       72,096
DYCOM INDUSTRIES INC            COM         267475101   5,570,578   266,280  SH      SOLE        1      266,280
DYNAMIC MATERIALS CORP          COM         267888105     192,598     9,737  SH      SOLE        1        9,737
DYNAMICS RESEARCH CORP          COM         268057106      74,050     6,530  SH      SOLE        1        6,530






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
DYNAVAX TECHNOLOGIES CORP       COM         268158102     371,518   111,903  SH      SOLE        1      111,903
DYNAVOX INC CLASS A             COM         26817F104      24,952     6,855  SH      SOLE        1        6,855
DYNEGY INC                      COM         26817G300     208,304    75,200  SH      SOLE        1       75,200
DYNEGY INC DEL                  COM         26817G300          25         9  SH      DEFINED     3                                9
DYNEX CAP INC                   COM         26817Q506      10,153     1,112  SH      DEFINED     3                            1,112
DYNEX CAP INC                   COM         26817Q506      46,563     5,100  SH      DEFINED     4                            5,100
DYNEX CAPITAL INC               COM         26817Q506     268,888    29,451  SH      SOLE        1       29,451
E HOUSE CHINA HLDGS LTD         COM         26852W103      10,675     2,500  SH      DEFINED     3                            2,500
E HOUSE CHINA HLDGS LTD         COM         26852W103       3,621       848  SH      DEFINED     4                              848
E M C CORP MASS                 COM         268648102     180,290     8,370  SH      DEFINED     2                            8,370
E M C CORP MASS                 COM         268648102     468,366    21,744  SH      DEFINED     3                           21,744
E M C CORP MASS                 COM         268648102     135,056     6,270  SH      DEFINED     4                            6,270
E TRADE FINANCIAL CORP          COM         269246401     670,614    84,248  SH      SOLE        1       84,248
E TRADE FINANCIAL CORP          COM         269246401         796       100  SH      DEFINED     2                              100
E TRADE FINANCIAL CORP          COM         269246401      19,900     2,500  SH      DEFINED     4                            2,500
EAGLE BANCORP INC               COM         268948106     177,984    12,241  SH      SOLE        1       12,241
EAGLE BULK SHIPPING INC         COM         Y2187A101      43,047    45,693  SH      SOLE        1       45,693
EAGLE BULK SHIPPING INC         COM         Y2187A101       7,034     7,466  SH      DEFINED     2                            7,466
EAGLE BULK SHIPPING INC         COM         Y2187A101       4,522     4,800  SH      DEFINED     3                            4,800
EAGLE MATERIALS INC             COM         26969P108     931,099    36,286  SH      SOLE        1       36,286
EAGLE ROCK ENERGY PARTNERS L    COM         26985R104       2,330       200  SH      DEFINED     2                              200
EARTHLINK INC                   COM         270321102   5,648,852   877,151  SH      SOLE        1      877,151
EAST WEST BANCORP INC           COM         27579R104  16,486,016   834,735  SH      SOLE        1      834,735
EASTGROUP PPTY INC              COM         277276101       4,348       100  SH      DEFINED     4                              100
EASTGROUP PROPERTIES INC        COM         277276101     957,560    22,023  SH      SOLE        1       22,023
EASTMAN CHEM CO                 COM         277432100       2,027        52  SH      DEFINED     2                               52
EASTMAN CHEM CO                 COM         277432100         781        20  SH      DEFINED     3                               20
EASTMAN CHEMICAL CO             COM         277432100   2,527,182    64,700  SH      SOLE        1       64,700
EASTMAN KODAK CO                COM         277461109     127,628   196,502  SH      SOLE        1      196,502
EASTMAN KODAK CO                COM         277461109         747     1,150  SH      DEFINED     3                            1,150
EASTMAN KODAK CO                COM         277461109         260       400  SH      DEFINED     4                              400
EATON CORP                      COM         278058102   8,654,635   198,820  SH      SOLE        1      198,820
EATON CORP                      COM         278058102     133,667     3,071  SH      DEFINED     2                            3,071
EATON CORP                      COM         278058102      38,263       879  SH      DEFINED     3                              879
EATON CORP                      COM         278058102     170,648     3,920  SH      DEFINED     4                            3,920
EATON VANCE CALIF MUN BD FD     COM         27828A100      52,368     4,085  SH      DEFINED     3                            4,085
EATON VANCE CALIF MUN BD FD     COM         27828A100      76,394     5,959  SH      DEFINED     4                            5,959
EATON VANCE CORP                COM         278265103   5,937,848   251,178  SH      SOLE        1      251,178
EATON VANCE CORP                COM         278265103      23,853     1,009  SH      DEFINED     3                            1,009
EATON VANCE ENH EQTY INC FD     COM         278277108      14,396     1,410  SH      DEFINED     2                            1,410
EATON VANCE ENH EQTY INC FD     COM         278277108      43,729     4,283  SH      DEFINED     3                            4,283
EATON VANCE ENH EQTY INC FD     COM         278277108      13,981     1,369  SH      DEFINED     4                            1,369
EATON VANCE ENHANCED EQ INC     COM         278274105       8,388       824  SH      DEFINED     2                              824
EATON VANCE ENHANCED EQ INC     COM         278274105      68,710     6,750  SH      DEFINED     3                            6,750
EATON VANCE FLTING RATE INC     COM         278279104      72,045     5,063  SH      DEFINED     2                            5,063
EATON VANCE FLTING RATE INC     COM         278279104       7,115       500  SH      DEFINED     4                              500
EATON VANCE LTD DUR INCOME F    COM         27828H105      30,536     2,005  SH      DEFINED     2                            2,005
EATON VANCE LTD DUR INCOME F    COM         27828H105      19,038     1,250  SH      DEFINED     3                            1,250
EATON VANCE MUN BD FD           COM         27827X101      18,513     1,460  SH      DEFINED     2                            1,460
EATON VANCE MUN BD FD           COM         27827X101      11,945       942  SH      DEFINED     4                              942
EATON VANCE MUNI INCOME TRUS    COM         27826U108     198,407    15,561  SH      DEFINED     3                           15,561
EATON VANCE NATL MUN OPPORT     COM         27829L105      46,712     2,235  SH      DEFINED     2                            2,235
EATON VANCE NATL MUN OPPORT     COM         27829L105     113,215     5,417  SH      DEFINED     4                            5,417
EATON VANCE NJ MUNI INCOME T    COM         27826V106      11,537       827  SH      DEFINED     4                              827
EATON VANCE RISK MNGD DIV EQ    COM         27829G106      41,800     4,000  SH      DEFINED     3                            4,000
EATON VANCE RISK MNGD DIV EQ    COM         27829G106       3,375       323  SH      DEFINED     4                              323
EATON VANCE SH TM DR DIVR IN    COM         27828V104       9,963       615  SH      DEFINED     3                              615
EATON VANCE SR FLTNG RTE TR     COM         27828Q105      23,727     1,650  SH      DEFINED     2                            1,650
EATON VANCE SR FLTNG RTE TR     COM         27828Q105     142,592     9,916  SH      DEFINED     3                            9,916
EATON VANCE SR FLTNG RTE TR     COM         27828Q105      33,432     2,325  SH      DEFINED     4                            2,325
EATON VANCE SR INCOME TR        COM         27826S103      34,185     5,235  SH      DEFINED     2                            5,235
EATON VANCE SR INCOME TR        COM         27826S103      36,490     5,588  SH      DEFINED     4                            5,588
EATON VANCE TAX ADVT DIV INC    COM         27828G107      37,376     2,560  SH      DEFINED     2                            2,560
EATON VANCE TAX ADVT DIV INC    COM         27828G107     100,550     6,887  SH      DEFINED     3                            6,887
EATON VANCE TAX ADVT DIV INC    COM         27828G107      56,832     3,893  SH      DEFINED     4                            3,893
EATON VANCE TAX MNGD GBL DV     COM         27829F108      98,531    11,943  SH      DEFINED     2                           11,943
EATON VANCE TAX MNGD GBL DV     COM         27829F108      49,500     6,000  SH      DEFINED     3                            6,000
EATON VANCE TAX MNGD GBL DV     COM         27829F108      30,397     3,684  SH      DEFINED     4                            3,684
EATON VANCE TAX MNGED BUY WR    COM         27828X100      14,561     1,134  SH      DEFINED     3                            1,134
EATON VANCE TAX MNGED BUY WR    COM         27828X100       6,420       500  SH      DEFINED     4                              500
EATON VANCE TAX-ADV BD & OPT    COM         27829M103      79,440     4,800  SH      DEFINED     2                            4,800
EATON VANCE TX ADV GLB DIV O    COM         27828U106      76,929     4,525  SH      DEFINED     2                            4,525
EATON VANCE TX ADV GLBL DIV     COM         27828S101      22,607     1,850  SH      DEFINED     2                            1,850
EATON VANCE TX ADV GLBL DIV     COM         27828S101      14,334     1,173  SH      DEFINED     3                            1,173
EATON VANCE TX ADV GLBL DIV     COM         27828S101      46,864     3,835  SH      DEFINED     4                            3,835
EATON VANCE TX MGD DIV EQ IN    COM         27828N102       3,530       398  SH      DEFINED     2                              398
EATON VANCE TX MGD DIV EQ IN    COM         27828N102      26,610     3,000  SH      DEFINED     3                            3,000
EATON VANCE TX MGD DIV EQ IN    COM         27828N102       9,792     1,104  SH      DEFINED     4                            1,104
EATON VANCE TX MNG BY WRT OP    COM         27828Y108     103,548     8,835  SH      DEFINED     2                            8,835
EATON VANCE TX MNG BY WRT OP    COM         27828Y108     103,562     8,836  SH      DEFINED     3                            8,836
EATON VANCE TXMGD GL BUYWR O    COM         27829C105      34,469     3,353  SH      DEFINED     2                            3,353
EATON VANCE TXMGD GL BUYWR O    COM         27829C105      23,178     2,255  SH      DEFINED     3                            2,255
EATON VANCE TXMGD GL BUYWR O    COM         27829C105      31,990     3,112  SH      DEFINED     4                            3,112
EBAY INC                        COM         278642103  16,283,934   536,892  SH      SOLE        1      536,892
EBAY INC                        COM         278642103       7,279       240  SH      DEFINED     2                              240
EBAY INC                        COM         278642103      31,513     1,039  SH      DEFINED     3                            1,039
EBAY INC                        COM         278642103      27,267       899  SH      DEFINED     4                              899
EBIX INC                        COM         278715206     523,483    23,687  SH      SOLE        1       23,687
EBIX INC                        COM         278715206       8,840       400  SH      DEFINED     3                              400
ECA MARCELLUS TR I              COM         26827L109     295,449    11,550  SH      DEFINED     4                           11,550
ECHELON CORP                    COM         27874N105     124,877    25,642  SH      SOLE        1       25,642
ECHO GLOBAL LOGISTICS INC       COM         27875T101     132,866     8,227  SH      SOLE        1        8,227
ECHO THERAPEUTICS INC           COM         27876L107       7,119     3,150  SH      DEFINED     4                            3,150
ECHOSTAR CORP                   COM         278768106         419        20  SH      DEFINED     3                               20
ECHOSTAR CORP A                 COM         278768106      25,526     1,219  SH      SOLE        1        1,219
ECOLAB INC                      COM         278865100   5,680,642    98,264  SH      SOLE        1       98,264
ECOLAB INC                      COM         278865100      29,425       509  SH      DEFINED     3                              509
E-COMMERCE CHINA DANGDANG IN    COM         26833A105       1,320       300  SH      DEFINED     3                              300
ECOPETROL S A                   COM         279158109       6,678       150  SH      DEFINED     3                              150
ECOPETROL S A                   COM         279158109       9,260       208  SH      DEFINED     4                              208
EDELMAN FINANCIAL GROUP IN      COM         27943Q105      97,203    14,795  SH      SOLE        1       14,795
EDISON INTERNATIONAL            COM         281020107   6,493,300   156,843  SH      SOLE        1      156,843
EDISON INTL                     COM         281020107      14,987       362  SH      DEFINED     2                              362
EDISON INTL                     COM         281020107      68,327     1,650  SH      DEFINED     3                            1,650
EDISON INTL                     COM         281020107       8,280       200  SH      DEFINED     4                              200
EDUCATION MANAGEMENT CORP       COM         28140M103      34,372     1,228  SH      SOLE        1        1,228
EDUCATION REALTY TRUST INC      COM         28140H104     687,303    67,185  SH      SOLE        1       67,185
EDUCATIONAL DEV CORP            COM         281479105       2,505       500  SH      DEFINED     2                              500
EDWARDS LIFESCIENCES CORP       COM         28176E108   2,530,353    35,790  SH      SOLE        1       35,790
EDWARDS LIFESCIENCES CORP       COM         28176E108      60,095       850  SH      DEFINED     2                              850
EDWARDS LIFESCIENCES CORP       COM         28176E108      86,961     1,230  SH      DEFINED     3                            1,230
EDWARDS LIFESCIENCES CORP       COM         28176E108      35,350       500  SH      DEFINED     4                              500
EGA EMERGING GLOBAL SHS TR      COM         268461829      10,265       500  SH      DEFINED     2                              500
EGA EMERGING GLOBAL SHS TR      COM         268461829      18,477       900  SH      DEFINED     3                              900
EGA EMERGING GLOBAL SHS TR      COM         268461852      20,188     1,400  SH      DEFINED     3                            1,400






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
EGA EMERGING GLOBAL SHS TR      COM         268461779     115,351     5,248  SH      DEFINED     4                            5,248
EGAIN COMMUNICATIONS            COM         28225C806         346        50  SH      DEFINED     4                               50
EHEALTH INC                     COM         28238P109     240,080    16,332  SH      SOLE        1       16,332
EINSTEIN NOAH RESTAURANT G      COM         28257U104      68,833     4,351  SH      SOLE        1        4,351
EL PASO CORP                    COM         28336L109   8,419,316   316,873  SH      SOLE        1      316,873
EL PASO CORP                    COM         28336L109      41,715     1,570  SH      DEFINED     2                            1,570
EL PASO CORP                    COM         28336L109      40,014     1,506  SH      DEFINED     3                            1,506
EL PASO CORP                    COM         28336L109      65,362     2,460  SH      DEFINED     4                            2,460
EL PASO ELECTRIC CO             COM         283677854   1,183,060    34,153  SH      SOLE        1       34,153
EL PASO ENERGY CAP TR I         COM         283678209      95,165     2,067  SH      DEFINED     3                            2,067
EL PASO PIPELINE PARTNERS L     COM         283702108      20,772       600  SH      DEFINED     2                              600
EL PASO PIPELINE PARTNERS L     COM         283702108       5,193       150  SH      DEFINED     3                              150
EL PASO PIPELINE PARTNERS L     COM         283702108     156,275     4,514  SH      DEFINED     4                            4,514
ELAN PLC                        COM         284131208         687        50  SH      DEFINED     2                               50
ELAN PLC                        COM         284131208      43,968     3,200  SH      DEFINED     3                            3,200
ELAN PLC                        COM         284131208      59,769     4,350  SH      DEFINED     4                            4,350
ELBIT SYS LTD                   COM         M3760D101       4,093       100  SH      DEFINED     2                              100
ELDORADO GOLD CORP NEW          COM         284902103      15,081     1,100  SH      DEFINED     2                            1,100
ELDORADO GOLD CORP NEW          COM         284902103      80,889     5,900  SH      DEFINED     3                            5,900
ELDORADO GOLD CORP NEW          COM         284902103       7,527       549  SH      DEFINED     4                              549
ELECTRO RENT CORP               COM         285218103     235,195    13,714  SH      SOLE        1       13,714
ELECTRO SCIENTIFIC INDS IN      COM         285229100     268,416    18,537  SH      SOLE        1       18,537
ELECTRONIC ARTS INC             COM         285512109   2,614,737   126,929  SH      SOLE        1      126,929
ELECTRONIC ARTS INC             COM         285512109       5,150       250  SH      DEFINED     3                              250
ELECTRONIC ARTS INC             COM         285512109         412        20  SH      DEFINED     4                               20
ELECTRONICS FOR IMAGING         COM         286082102     485,840    34,094  SH      SOLE        1       34,094
ELIZABETH ARDEN INC             COM         28660G106     661,275    17,853  SH      SOLE        1       17,853
ELLIE MAE INC                   COM         28849P100      34,844     6,167  SH      SOLE        1        6,167
EMAGIN CORPORATION              COM         29076N206      50,361    13,611  SH      SOLE        1       13,611
EMC CORP/MASS                   COM         268648102  27,813,030 1,291,227  SH      SOLE        1    1,291,227
EMC INS GROUP INC               COM         268664109      69,115     3,360  SH      SOLE        1        3,360
EMCOR GROUP INC                 COM         29084Q100   3,381,304   126,121  SH      SOLE        1      126,121
EMCORE CORP                     COM         290846104      55,635    64,519  SH      SOLE        1       64,519
EMERGENT BIOSOLUTIONS INC       COM         29089Q105     334,863    19,885  SH      SOLE        1       19,885
EMERGENT BIOSOLUTIONS INC       COM         29089Q105       3,368       200  SH      DEFINED     3                              200
EMERITUS CORP                   COM         291005106     390,736    22,315  SH      SOLE        1       22,315
EMERSON ELEC CO                 COM         291011104     225,982     4,850  SH      DEFINED     2                            4,850
EMERSON ELEC CO                 COM         291011104     171,312     3,677  SH      DEFINED     3                            3,677
EMERSON ELEC CO                 COM         291011104     606,531    13,018  SH      DEFINED     4                           13,018
EMERSON ELECTRIC CO             COM         291011104  15,817,305   339,500  SH      SOLE        1      339,500
EMPIRE DIST ELEC CO             COM         291641108     128,649     6,100  SH      DEFINED     3                            6,100
EMPIRE DIST ELEC CO             COM         291641108       6,327       300  SH      DEFINED     4                              300
EMPIRE DISTRICT ELECTRIC C      COM         291641108     643,519    30,513  SH      SOLE        1       30,513
EMPLOYERS HOLDINGS INC          COM         292218104     514,082    28,418  SH      SOLE        1       28,418
EMPRESA NACIONAL DE ELCTRCID    COM         29244T101       6,342       143  SH      DEFINED     4                              143
EMULEX CORP                     COM         292475209     439,699    64,096  SH      SOLE        1       64,096
EMULEX CORP                     COM         292475209         686       100  SH      DEFINED     3                              100
ENBRIDGE ENERGY PARTNERS L P    COM         29250R106      67,411     2,031  SH      DEFINED     2                            2,031
ENBRIDGE ENERGY PARTNERS L P    COM         29250R106     307,439     9,263  SH      DEFINED     3                            9,263
ENBRIDGE ENERGY PARTNERS L P    COM         29250R106      55,328     1,667  SH      DEFINED     4                            1,667
ENBRIDGE INC                    COM         29250N105       5,986       160  SH      DEFINED     2                              160
ENBRIDGE INC                    COM         29250N105      20,201       540  SH      DEFINED     3                              540
ENCANA CORP                     COM         292505104   1,817,126    98,064  SH      SOLE        1       98,064
ENCANA CORP                     COM         292505104      27,108     1,463  SH      DEFINED     2                            1,463
ENCANA CORP                     COM         292505104      11,470       619  SH      DEFINED     3                              619
ENCORE BANCSHARES INC           COM         29255V201      83,351     6,165  SH      SOLE        1        6,165
ENCORE CAPITAL GROUP INC        COM         292554102     289,540    13,619  SH      SOLE        1       13,619
ENCORE WIRE CORP                COM         292562105     392,955    15,172  SH      SOLE        1       15,172
ENCORE WIRE CORP                COM         292562105       2,590       100  SH      DEFINED     4                              100
ENDEAVOUR INTERNATIONAL CO      COM         29259G200     235,681    27,121  SH      SOLE        1       27,121
ENDEAVOUR SILVER CORP           COM         29258Y103      28,732     2,959  SH      DEFINED     3                            2,959
ENDO PHARMACEUT HLDGS INC       COM         29264F205   8,823,624   255,535  SH      SOLE        1      255,535
ENDO PHARMACEUTICALS HLDGS I    COM         29264F205     126,380     3,660  SH      DEFINED     4                            3,660
ENDOCYTE INC                    COM         29269A102      47,274    12,573  SH      SOLE        1       12,573
ENDOLOGIX INC                   COM         29266S106     410,215    35,733  SH      SOLE        1       35,733
ENDURANCE SPECIALTY HLDGS LT    COM         G30397106      10,998       288  SH      DEFINED     3                              288
ENDURANCE SPECIALTY HOLDIN      COM         G30397106      49,496     1,294  SH      SOLE        1        1,294
ENERGEN CORP                    COM         29265N108   7,940,050   158,801  SH      SOLE        1      158,801
ENERGEN CORP                    COM         29265N108       3,600        72  SH      DEFINED     3                               72
ENERGIZER HLDGS INC             COM         29266R108      28,048       362  SH      DEFINED     2                              362
ENERGIZER HLDGS INC             COM         29266R108       5,888        76  SH      DEFINED     3                               76
ENERGIZER HLDGS INC             COM         29266R108      27,893       360  SH      DEFINED     4                              360
ENERGIZER HOLDINGS INC          COM         29266R108  11,422,489   147,425  SH      SOLE        1      147,425
ENERGY CONVERSION DEVICES IN    COM         292659109       2,195    10,867  SH      DEFINED     2                           10,867
ENERGY CONVERSION DEVICES IN    CNV         292659AA7       3,760         8 PRN      DEFINED     3                                8
ENERGY INCOME & GROWTH FD       COM         292697109      85,570     3,029  SH      DEFINED     2                            3,029
ENERGY INCOME & GROWTH FD       COM         292697109      27,035       957  SH      DEFINED     3                              957
ENERGY PARTNERS LTD             COM         29270U303     308,586    21,136  SH      SOLE        1       21,136
ENERGY RECOVERY INC             COM         29270J100      86,247    33,429  SH      SOLE        1       33,429
ENERGY RECOVERY INC             COM         29270J100       1,226       475  SH      DEFINED     4                              475
ENERGY TRANSFER EQUITY L P      COM         29273V100      76,142     1,876  SH      DEFINED     3                            1,876
ENERGY TRANSFER EQUITY L P      COM         29273V100       4,261       105  SH      DEFINED     4                              105
ENERGY TRANSFER PRTNRS L P      COM         29273R109     431,118     9,403  SH      DEFINED     2                            9,403
ENERGY TRANSFER PRTNRS L P      COM         29273R109   2,816,877    61,437  SH      DEFINED     3                           61,437
ENERGY TRANSFER PRTNRS L P      COM         29273R109     535,676    11,683  SH      DEFINED     4                           11,683
ENERGY XXI (BERMUDA) LTD        COM         G10082140     732,857    22,988  SH      DEFINED     2                           22,988
ENERGY XXI (BERMUDA) LTD        COM         G10082140     245,476     7,700  SH      DEFINED     3                            7,700
ENERGY XXI BERMUDA              COM         G10082140   1,753,591    55,006  SH      SOLE        1       55,006
ENERGYSOLUTIONS INC             COM         292756202     180,110    58,288  SH      SOLE        1       58,288
ENERNOC INC                     COM         292764107     184,616    16,984  SH      SOLE        1       16,984
ENERNOC INC                     COM         292764107       2,989       275  SH      DEFINED     3                              275
ENERPLUS CORP                   COM         292766102     321,944    12,715  SH      DEFINED     2                           12,715
ENERPLUS CORP                   COM         292766102      18,990       750  SH      DEFINED     3                              750
ENERPLUS CORP                   COM         292766102     143,966     5,686  SH      DEFINED     4                            5,686
ENERSIS S A                     COM         29274F104       7,599       431  SH      DEFINED     3                              431
ENERSYS                         COM         29275Y102   1,009,376    38,867  SH      SOLE        1       38,867
ENI S P A                       COM         26874R108       8,254       200  SH      DEFINED     2                              200
ENI S P A                       COM         26874R108      20,635       500  SH      DEFINED     3                              500
ENNIS INC                       COM         293389102     253,563    19,022  SH      SOLE        1       19,022
ENNIS INC                       COM         293389102       1,226        92  SH      DEFINED     3                               92
ENPRO INDS INC                  COM         29355X107       7,915       240  SH      DEFINED     3                              240
ENPRO INDUSTRIES INC            COM         29355X107     555,779    16,852  SH      SOLE        1       16,852
ENSCO PLC                       COM         29358Q109      48,647     1,037  SH      DEFINED     2                            1,037
ENSCO PLC                       COM         29358Q109     100,221     2,136  SH      DEFINED     3                            2,136
ENSCO PLC                       COM         29358Q109      58,650     1,250  SH      DEFINED     4                            1,250
ENSCO PLC SPON ADR              ADR         29358Q109  14,422,363   307,382  SH      SOLE        1      307,382
ENSIGN GROUP INC                COM         29358P101       1,544        63  SH      DEFINED     3                               63
ENSIGN GROUP INC/THE            COM         29358P101     325,752    13,296  SH      SOLE        1       13,296
ENSTAR GROUP LIMITED            COM         G3075P101         982        10  SH      DEFINED     2                               10
ENSTAR GROUP LTD                COM         G3075P101     494,142     5,032  SH      SOLE        1        5,032
ENTEGRIS INC                    COM         29362U104   4,400,576   504,364  SH      SOLE        1      504,364
ENTEGRIS INC                    COM         29362U104      27,920     3,200  SH      DEFINED     2                            3,200
ENTERCOM COMMUNICATIONS CL      COM         293639100     108,658    17,668  SH      SOLE        1       17,668
ENTERGY CORP                    COM         29364G103   4,273,279    58,498  SH      SOLE        1       58,498
ENTERGY CORP NEW                COM         29364G103      38,132       522  SH      DEFINED     2                              522






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ENTERGY CORP NEW                COM         29364G103       7,305       100  SH      DEFINED     3                              100
ENTERGY CORP NEW                COM         29364G103      21,915       300  SH      DEFINED     4                              300
ENTERPRISE BANCORP INC          COM         293668109      60,804     4,252  SH      SOLE        1        4,252
ENTERPRISE FINANCIAL SERVI      COM         293712105     171,902    11,615  SH      SOLE        1       11,615
ENTERPRISE PRODS PARTNERS L     COM         293792107     169,055     3,645  SH      DEFINED     2                            3,645
ENTERPRISE PRODS PARTNERS L     COM         293792107   2,682,906    57,846  SH      DEFINED     3                           57,846
ENTERPRISE PRODS PARTNERS L     COM         293792107   1,068,051    23,028  SH      DEFINED     4                           23,028
ENTERTAINMENT PROPERTIES T      COM         29380T105   1,661,461    38,011  SH      SOLE        1       38,011
ENTRAVISION COMMUNICATIONS      COM         29382R107      57,275    36,715  SH      SOLE        1       36,715
ENTREMED INC                    COM         29382F202          38        40  SH      DEFINED     2                               40
ENTROPIC COMMUNICATIONS IN      COM         29384R105     357,209    69,904  SH      SOLE        1       69,904
ENTROPIC COMMUNICATIONS INC     COM         29384R105      82,271    16,100  SH      DEFINED     2                           16,100
ENTROPIC COMMUNICATIONS INC     COM         29384R105       5,110     1,000  SH      DEFINED     3                            1,000
ENVESTNET INC                   COM         29404K106     167,237    13,983  SH      SOLE        1       13,983
ENZO BIOCHEM INC                COM         294100102      68,976    30,793  SH      SOLE        1       30,793
ENZO BIOCHEM INC                COM         294100102       2,240     1,000  SH      DEFINED     2                            1,000
ENZON PHARMACEUTICALS INC       COM         293904108     184,170    27,488  SH      SOLE        1       27,488
EOG RES INC                     COM         26875P101      70,730       718  SH      DEFINED     2                              718
EOG RES INC                     COM         26875P101     247,063     2,508  SH      DEFINED     3                            2,508
EOG RESOURCES INC               COM         26875P101  10,023,885   101,755  SH      SOLE        1      101,755
EPIQ SYSTEMS INC                COM         26882D109     307,952    25,620  SH      SOLE        1       25,620
EPLUS INC                       COM         294268107      79,721     2,819  SH      SOLE        1        2,819
EPOCH HOLDING CORP              COM         29428R103     239,684    10,782  SH      SOLE        1       10,782
EPOCRATES INC                   COM         29429D103      35,864     4,598  SH      SOLE        1        4,598
EQT CORP                        COM         26884L109   3,815,521    69,639  SH      SOLE        1       69,639
EQT CORP                        COM         26884L109      24,820       453  SH      DEFINED     2                              453
EQT CORP                        COM         26884L109     291,483     5,320  SH      DEFINED     3                            5,320
EQUAL ENERGY LTD                COM         29390Q109       2,990       666  SH      DEFINED     3                              666
EQUIFAX INC                     COM         294429105   2,356,632    60,832  SH      SOLE        1       60,832
EQUIFAX INC                     COM         294429105     138,077     3,564  SH      DEFINED     2                            3,564
EQUIFAX INC                     COM         294429105      19,990       516  SH      DEFINED     4                              516
EQUINIX INC                     COM         29444U502  10,510,110   103,650  SH      SOLE        1      103,650
EQUINIX INC                     COM         29444U502         406         4  SH      DEFINED     3                                4
EQUITY LIFESTYLE PROPERTIE      COM         29472R108   5,087,047    76,279  SH      SOLE        1       76,279
EQUITY ONE                      COM         294752100      17,829     1,050  SH      DEFINED     2                            1,050
EQUITY ONE                      COM         294752100      21,734     1,280  SH      DEFINED     3                            1,280
EQUITY ONE INC                  COM         294752100   2,862,641   168,589  SH      SOLE        1      168,589
EQUITY RESIDENTIAL              COM         29476L107   5,941,385   104,180  SH      SOLE        1      104,180
ERESEARCH TECHNOLOGY INC        COM         29481V108     185,419    39,535  SH      SOLE        1       39,535
ERICSSON L M TEL CO             COM         294821608       1,368       135  SH      DEFINED     3                              135
ERICSSON L M TEL CO             COM         294821608       3,768       372  SH      DEFINED     4                              372
ERIE INDEMNITY COMPANY CL       COM         29530P102     974,577    12,469  SH      SOLE        1       12,469
ERIE INDTY CO                   COM         29530P102       3,908        50  SH      DEFINED     2                               50
ESB FINANCIAL CORP              COM         26884F102     128,065     9,102  SH      SOLE        1        9,102
ESCO TECHNOLOGIES INC           COM         296315104     624,066    21,684  SH      SOLE        1       21,684
ESCO TECHNOLOGIES INC           COM         296315104         863        30  SH      DEFINED     2                               30
ESSA BANCORP INC                COM         29667D104      82,137     7,845  SH      SOLE        1        7,845
ESSEX PROPERTY TRUST INC        COM         297178105  10,519,000    74,863  SH      SOLE        1       74,863
ESSEX RENTAL CORP               COM         297187106      36,896    12,507  SH      SOLE        1       12,507
ESTEE LAUDER COMPANIES CL       COM         518439104   6,527,589    58,116  SH      SOLE        1       58,116
ESTERLINE TECHNOLOGIES COR      COM         297425100   4,962,244    88,659  SH      SOLE        1       88,659
ETABLISSEMENTS DELHAIZE FRER    COM         29759W101      22,540       400  SH      DEFINED     4                              400
ETFS ASIAN GOLD TR              COM         26923C102      38,976       250  SH      DEFINED     2                              250
ETFS GOLD TR                    COM         26922Y105     638,931     4,124  SH      DEFINED     2                            4,124
ETFS GOLD TR                    COM         26922Y105      68,324       441  SH      DEFINED     3                              441
ETFS GOLD TR                    COM         26922Y105      13,169        85  SH      DEFINED     4                               85
ETFS PALLADIUM TR               COM         26923A106       6,456       100  SH      DEFINED     2                              100
ETFS PLATINUM TR                COM         26922V101         413         3  SH      DEFINED     3                                3
ETFS PRECIOUS METALS BASKET     COM         26922W109     157,751     1,829  SH      DEFINED     2                            1,829
ETFS PRECIOUS METALS BASKET     COM         26922W109      31,223       362  SH      DEFINED     4                              362
ETFS SILVER TR                  COM         26922X107     662,654    24,079  SH      DEFINED     2                           24,079
ETFS SILVER TR                  COM         26922X107     136,196     4,949  SH      DEFINED     3                            4,949
ETHAN ALLEN INTERIORS INC       COM         297602104     470,074    19,826  SH      SOLE        1       19,826
EURONET WORLDWIDE INC           COM         298736109     691,170    37,401  SH      SOLE        1       37,401
EURONET WORLDWIDE INC           COM         298736109      12,936       700  SH      DEFINED     4                              700
EV ENERGY PARTNERS LP           COM         26926V107      41,517       630  SH      DEFINED     2                              630
EV ENERGY PARTNERS LP           COM         26926V107      59,178       898  SH      DEFINED     3                              898
EV ENERGY PARTNERS LP           COM         26926V107      21,154       321  SH      DEFINED     4                              321
EVERCORE PARTNERS INC CL A      COM         29977A105     408,511    15,346  SH      SOLE        1       15,346
EVEREST RE GROUP LTD            COM         G3223R108   9,928,170   118,066  SH      SOLE        1      118,066
EVEREST RE GROUP LTD            COM         G3223R108      58,863       700  SH      DEFINED     3                              700
EVEREST RE GROUP LTD            COM         G3223R108       4,205        50  SH      DEFINED     4                               50
EVOLUTION PETROLEUM CORP        COM         30049A107      94,451    11,733  SH      SOLE        1       11,733
EW SCRIPPS CO/THE A             COM         811054402     205,481    25,653  SH      SOLE        1       25,653
EXACT SCIENCES CORP             COM         30063P105     335,112    41,270  SH      SOLE        1       41,270
EXACT SCIENCES CORP             COM         30063P105      28,826     3,550  SH      DEFINED     3                            3,550
EXACTECH INC                    COM         30064E109     102,279     6,210  SH      SOLE        1        6,210
EXAMWORKS GROUP INC             COM         30066A105     187,306    19,758  SH      SOLE        1       19,758
EXAR CORP                       COM         300645108     198,322    30,511  SH      SOLE        1       30,511
EXCEL MARITIME CARRIERS LT      COM         V3267N107     394,516   272,080  SH      SOLE        1      272,080
EXCEL MARITIME CARRIERS LTD     COM         V3267N107       1,450     1,000  SH      DEFINED     2                            1,000
EXCEL MARITIME CARRIERS LTD     COM         V3267N107         435       300  SH      DEFINED     3                              300
EXCEL TRUST INC                 COM         30068C109     271,296    22,608  SH      SOLE        1       22,608
EXCO RESOURCES INC              COM         269279402      27,912     2,671  SH      SOLE        1        2,671
EXCO RESOURCES INC              COM         269279402     190,357    18,216  SH      DEFINED     3                           18,216
EXELIS INC                      COM         30162A108   3,678,626   406,478  SH      SOLE        1      406,478
EXELIS INC                      COM         30162A108      18,860     2,084  SH      DEFINED     2                            2,084
EXELIS INC                      COM         30162A108       8,688       960  SH      DEFINED     3                              960
EXELIXIS INC                    COM         30161Q104     442,102    93,369  SH      SOLE        1       93,369
EXELIXIS INC                    COM         30161Q104       3,788       800  SH      DEFINED     2                              800
EXELIXIS INC                    COM         30161Q104         511       108  SH      DEFINED     3                              108
EXELON CORP                     COM         30161N101  12,351,429   284,792  SH      SOLE        1      284,792
EXELON CORP                     COM         30161N101     723,857    16,690  SH      DEFINED     2                           16,690
EXELON CORP                     COM         30161N101   1,106,347    25,510  SH      DEFINED     3                           25,510
EXELON CORP                     COM         30161N101     839,297    19,352  SH      DEFINED     4                           19,352
EXETER RES CORP                 COM         301835104      28,710    11,000  SH      DEFINED     4                           11,000
EXFO INC                        COM         302046107       2,935       500  SH      DEFINED     3                              500
EXIDE TECHNOLOGIES              COM         302051206     148,682    56,533  SH      SOLE        1       56,533
EXLSERVICE HOLDINGS INC         COM         302081104     264,078    11,805  SH      SOLE        1       11,805
EXPEDIA INC                     COM         30212P303   1,302,011    44,866  SH      SOLE        1       44,866
EXPEDIA INC DEL                 COM         30212P303         609        21  SH      DEFINED     4                               21
EXPEDITORS INTL WASH INC        COM         302130109   4,082,565    99,672  SH      SOLE        1       99,672
EXPEDITORS INTL WASH INC        COM         302130109       1,966        48  SH      DEFINED     3                               48
EXPONENT INC                    COM         30214U102     496,062    10,791  SH      SOLE        1       10,791
EXPRESS INC                     COM         30219E103   4,579,381   229,658  SH      SOLE        1      229,658
EXPRESS SCRIPTS INC             COM         302182100  15,126,627   338,479  SH      SOLE        1      338,479
EXPRESS SCRIPTS INC             COM         302182100      40,221       900  SH      DEFINED     2                              900
EXPRESS SCRIPTS INC             COM         302182100     302,909     6,778  SH      DEFINED     3                            6,778
EXPRESS SCRIPTS INC             COM         302182100     146,851     3,286  SH      DEFINED     4                            3,286
EXTERRAN HOLDINGS INC           COM         30225X103   1,656,073   181,986  SH      SOLE        1      181,986
EXTERRAN PARTNERS LP            COM         30225N105       4,030       200  SH      DEFINED     2                              200
EXTRA SPACE STORAGE INC         COM         30225T102   8,105,807   334,536  SH      SOLE        1      334,536
EXTREME NETWORKS INC            COM         30226D106     196,385    67,255  SH      SOLE        1       67,255
EXXON MOBIL CORP                COM         30231G102 132,520,395 1,563,478  SH      SOLE        1    1,563,478
EXXON MOBIL CORP                COM         30231G102   2,793,985    32,963  SH      DEFINED     2                           32,963






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
EXXON MOBIL CORP                COM         30231G102  19,478,996   229,814  SH      DEFINED     3                          229,814
EXXON MOBIL CORP                COM         30231G102   4,594,502    54,206  SH      DEFINED     4                           54,206
EZCHIP SEMICONDUCTOR LIMITED    COM         M4146Y108       5,666       200  SH      DEFINED     4                              200
EZCORP INC                      COM         302301106       7,911       300  SH      DEFINED     2                              300
EZCORP INC CL A                 COM         302301106   1,001,374    37,974  SH      SOLE        1       37,974
F M C CORP                      COM         302491303       3,442        40  SH      DEFINED     2                               40
F M C CORP                      COM         302491303      47,752       555  SH      DEFINED     3                              555
F M C CORP                      COM         302491303      86,040     1,000  SH      DEFINED     4                            1,000
F5 NETWORKS INC                 COM         315616102   3,611,794    34,035  SH      SOLE        1       34,035
F5 NETWORKS INC                 COM         315616102     315,176     2,970  SH      DEFINED     3                            2,970
F5 NETWORKS INC                 COM         315616102      24,408       230  SH      DEFINED     4                              230
FABRINET                        COM         G3323L100     203,873    14,903  SH      SOLE        1       14,903
FACTSET RESEARCH SYSTEMS I      COM         303075105   8,617,678    98,736  SH      SOLE        1       98,736
FAIR ISAAC CORP                 COM         303250104   3,712,128   103,575  SH      SOLE        1      103,575
FAIR ISAAC CORP                 COM         303250104       1,326        37  SH      DEFINED     2                               37
FAIRCHILD SEMICONDUCTOR IN      COM         303726103   3,352,827   278,474  SH      SOLE        1      278,474
FAIRCHILD SEMICONDUCTOR INTL    COM         303726103      20,468     1,700  SH      DEFINED     3                            1,700
FAIRPOINT COMMUNICATIONS I      COM         305560302      68,180    15,746  SH      SOLE        1       15,746
FALCONSTOR SOFTWARE INC         COM         306137100      57,862    22,427  SH      SOLE        1       22,427
FAMILY DLR STORES INC           COM         307000109      12,397       215  SH      DEFINED     3                              215
FAMILY DOLLAR STORES            COM         307000109   2,126,616    36,882  SH      SOLE        1       36,882
FARMER BROS CO                  COM         307675108      37,795     4,947  SH      SOLE        1        4,947
FARO TECHNOLOGIES INC           COM         311642102     613,548    13,338  SH      SOLE        1       13,338
FASTENAL CO                     COM         311900104   5,670,870   130,036  SH      SOLE        1      130,036
FASTENAL CO                     COM         311900104     922,788    21,160  SH      DEFINED     2                           21,160
FASTENAL CO                     COM         311900104     249,035     5,710  SH      DEFINED     3                            5,710
FASTENAL CO                     COM         311900104     137,415     3,151  SH      DEFINED     4                            3,151
FBL FINANCIAL GROUP INC CL      COM         30239F106     318,699     9,368  SH      SOLE        1        9,368
FBR + CO                        COM         30247C301      67,179    32,770  SH      SOLE        1       32,770
FEDERAL AGRIC MTG CORP CL       COM         313148306     129,474     7,185  SH      SOLE        1        7,185
FEDERAL MOGUL CORP              COM         313549404       9,219       625  SH      SOLE        1          625
FEDERAL MOGUL CORP              COM         313549404       7,375       500  SH      DEFINED     2                              500
FEDERAL REALTY INVS TRUST       COM         313747206  12,617,336   139,034  SH      SOLE        1      139,034
FEDERAL REALTY INVT TR          COM         313747206      27,225       300  SH      DEFINED     2                              300
FEDERAL SIGNAL CORP             COM         313855108     210,073    50,620  SH      SOLE        1       50,620
FEDERATED INVESTORS INC CL      COM         314211103   1,168,686    77,141  SH      SOLE        1       77,141
FEDERATED PREM MUN INC FD       COM         31423P108      34,519     2,280  SH      DEFINED     2                            2,280
FEDEX CORP                      COM         31428X106  18,309,233   219,246  SH      SOLE        1      219,246
FEDEX CORP                      COM         31428X106     166,519     1,994  SH      DEFINED     2                            1,994
FEDEX CORP                      COM         31428X106     234,492     2,808  SH      DEFINED     3                            2,808
FEDEX CORP                      COM         31428X106         835        10  SH      DEFINED     4                               10
FEI CO                          COM         30241L109      12,234       300  SH      DEFINED     2                              300
FEI COMPANY                     COM         30241L109   1,281,838    31,433  SH      SOLE        1       31,433
FEIHE INTL INC                  COM         31429Y103         453       175  SH      DEFINED     2                              175
FEIHE INTL INC                  COM         31429Y103         777       300  SH      DEFINED     3                              300
FELCOR LODGING TRUST INC        COM         31430F101     277,300    90,918  SH      SOLE        1       90,918
FEMALE HEALTH COMPANY           COM         314462102      60,840    13,490  SH      SOLE        1       13,490
FERRELLGAS PARTNERS L.P.        COM         315293100     110,709     5,836  SH      DEFINED     2                            5,836
FERRELLGAS PARTNERS L.P.        COM         315293100     568,499    29,968  SH      DEFINED     3                           29,968
FERRELLGAS PARTNERS L.P.        COM         315293100      25,610     1,350  SH      DEFINED     4                            1,350
FERRO CORP                      COM         315405100     529,988   108,382  SH      SOLE        1      108,382
FIDELITY COMWLTH TR             COM         315912808      39,972       388  SH      DEFINED     3                              388
FIDELITY NATIONAL FINANCIAL     COM         31620R105       2,644       166  SH      DEFINED     3                              166
FIDELITY NATIONAL FINANCIAL     COM         31620R105      63,720     4,000  SH      DEFINED     4                            4,000
FIDELITY NATIONAL FINL A        COM         31620R105   7,689,873   482,729  SH      SOLE        1      482,729
FIDELITY NATIONAL INFORMAT      COM         31620M106   2,868,290   107,871  SH      SOLE        1      107,871
FIDUCIARY CLAYMORE MLP OPP F    COM         31647Q106      11,379       530  SH      DEFINED     2                              530
FIDUCIARY CLAYMORE MLP OPP F    COM         31647Q106      88,027     4,100  SH      DEFINED     4                            4,100
FIDUS INVESTMENT CORP           COM         316500107      50,868     3,922  SH      SOLE        1        3,922
FIFTH STREET FINANCE CORP       COM         31678A103   4,030,511   421,161  SH      SOLE        1      421,161
FIFTH STREET FINANCE CORP       COM         31678A103     149,620    15,634  SH      DEFINED     2                           15,634
FIFTH STREET FINANCE CORP       COM         31678A103     279,492    29,205  SH      DEFINED     4                           29,205
FIFTH THIRD BANCORP             COM         316773100   6,327,488   497,444  SH      SOLE        1      497,444
FIFTH THIRD BANCORP             COM         316773100       4,503       354  SH      DEFINED     3                              354
FIFTH THIRD BANCORP             COM         316773100         153        12  SH      DEFINED     4                               12
FINANCIAL ENGINES INC           COM         317485100     698,393    31,276  SH      SOLE        1       31,276
FINANCIAL INSTITUTIONS INC      COM         317585404     162,594    10,074  SH      SOLE        1       10,074
FINISAR CORP                    COM         31787A507     138,984     8,300  SH      DEFINED     2                            8,300
FINISAR CORP                    COM         31787A507     319,997    19,110  SH      DEFINED     3                           19,110
FINISAR CORPORATION             COM         31787A507   1,531,598    91,466  SH      SOLE        1       91,466
FINISH LINE/THE   CL A          COM         317923100   3,173,462   164,556  SH      SOLE        1      164,556
FIRST AMERICAN FINANCIAL        COM         31847R102   3,872,180   305,618  SH      SOLE        1      305,618
FIRST AMERN FINL CORP           COM         31847R102       8,869       700  SH      DEFINED     3                              700
FIRST BANCORP INC/ME            COM         31866P102      98,476     6,407  SH      SOLE        1        6,407
FIRST BANCORP N C               COM         318910106      18,398     1,650  SH      DEFINED     2                            1,650
FIRST BANCORP PUERTO RICO       COM         318672706       6,045     1,732  SH      SOLE        1        1,732
FIRST BANCORP/NC                COM         318910106     122,985    11,030  SH      SOLE        1       11,030
FIRST BUSEY CORP                COM         319383105     281,460    56,292  SH      SOLE        1       56,292
FIRST CASH FINL SVCS INC        COM         31942D107     891,532    25,407  SH      SOLE        1       25,407
FIRST CITIZENS BCSHS   CL       COM         31946M103      30,448       174  SH      SOLE        1          174
FIRST COMMONWEALTH FINL CO      COM         319829107     449,620    85,479  SH      SOLE        1       85,479
FIRST COMMUNITY BANCSHARES      COM         31983A103     144,855    11,607  SH      SOLE        1       11,607
FIRST COMWLTH FINL CORP PA      COM         319829107      11,835     2,250  SH      DEFINED     2                            2,250
FIRST CONNECTICUT BANCORP       COM         319850103     169,898    13,059  SH      SOLE        1       13,059
FIRST CTZNS BANC CORP           COM         319459202      20,140     5,000  SH      DEFINED     2                            5,000
FIRST DEFIANCE FINL CORP        COM         32006W106     103,618     7,102  SH      SOLE        1        7,102
FIRST FINANCIAL BANCORP         COM         320209109     789,818    47,465  SH      SOLE        1       47,465
FIRST FINANCIAL CORP/INDIA      COM         320218100     270,766     8,136  SH      SOLE        1        8,136
FIRST FINANCIAL HOLDINGS I      COM         320239106     107,794    12,071  SH      SOLE        1       12,071
FIRST FINL BANKSHARES           COM         32020R109       5,315       159  SH      DEFINED     3                              159
FIRST FINL BANKSHARES INC       COM         32020R109     856,343    25,616  SH      SOLE        1       25,616
FIRST HORIZON NATIONAL COR      COM         320517105     830,720   103,840  SH      SOLE        1      103,840
FIRST HORIZON NATL CORP         COM         320517105      13,888     1,736  SH      DEFINED     2                            1,736
FIRST INDUSTRIAL REALTY TR      COM         32054K103     647,088    63,254  SH      SOLE        1       63,254
FIRST INTERSTATE BANCSYS/M      COM         32055Y201     150,040    11,515  SH      SOLE        1       11,515
FIRST INTST BANCSYSTEM INC      COM         32055Y201         808        62  SH      DEFINED     4                               62
FIRST MAJESTIC SILVER CORP      COM         32076V103       8,420       500  SH      DEFINED     2                              500
FIRST MAJESTIC SILVER CORP      COM         32076V103     118,722     7,050  SH      DEFINED     3                            7,050
FIRST MAJESTIC SILVER CORP      COM         32076V103       1,684       100  SH      DEFINED     4                              100
FIRST MARBLEHEAD CORP           COM         320771108       2,925     2,500  SH      DEFINED     3                            2,500
FIRST MARBLEHEAD CORP/THE       COM         320771108      47,122    40,275  SH      SOLE        1       40,275
FIRST MERCHANTS CORP            COM         320817109     158,694    18,736  SH      SOLE        1       18,736
FIRST MIDWEST BANCORP INC/      COM         320867104     615,185    60,729  SH      SOLE        1       60,729
FIRST NIAGARA FINANCIAL GR      COM         33582V108   6,610,632   766,006  SH      SOLE        1      766,006
FIRST NIAGARA FINL GP INC       COM         33582V108      47,057     5,453  SH      DEFINED     2                            5,453
FIRST NIAGARA FINL GP INC       COM         33582V108      55,016     6,375  SH      DEFINED     3                            6,375
FIRST NIAGARA FINL GP INC       COM         33582V108      11,219     1,300  SH      DEFINED     4                            1,300
FIRST OF LONG ISLAND CORP       COM         320734106     146,734     5,575  SH      SOLE        1        5,575
FIRST PACTRUST BANCORP INC      COM         33589V101      75,809     7,396  SH      SOLE        1        7,396
FIRST POTOMAC REALTY TRUST      COM         33610F109     476,938    36,547  SH      SOLE        1       36,547
FIRST POTOMAC RLTY TR           COM         33610F109      66,450     5,092  SH      DEFINED     2                            5,092
FIRST REPUBLIC BANK/SAN FR      COM         33616C100      71,780     2,345  SH      SOLE        1        2,345
FIRST SEC GROUP INC             COM         336312202       7,050     3,000  SH      DEFINED     2                            3,000
FIRST SOLAR INC                 COM         336433107     948,994    28,110  SH      SOLE        1       28,110
FIRST SOLAR INC                 COM         336433107      12,896       382  SH      DEFINED     2                              382






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
FIRST SOLAR INC                 COM         336433107      33,085       980  SH      DEFINED     3                              980
FIRST SOLAR INC                 COM         336433107      18,568       550  SH      DEFINED     4                              550
FIRST TR ABERDEEN GLBL OPP F    COM         337319107       3,152       200  SH      DEFINED     2                              200
FIRST TR ABERDEEN GLBL OPP F    COM         337319107   1,119,288    71,021  SH      DEFINED     3                           71,021
FIRST TR BICK INDEX FD          COM         33733H107      53,842     2,374  SH      DEFINED     3                            2,374
FIRST TR DJS MICROCAP INDEX     COM         33718M105       6,165       307  SH      DEFINED     3                              307
FIRST TR EXCH TRD ALPHA FD I    COM         33737J109      15,967       700  SH      DEFINED     3                              700
FIRST TR EXCH TRD ALPHA FD I    COM         33737J125      17,683       731  SH      DEFINED     3                              731
FIRST TR EXCH TRD ALPHA FD I    COM         33737J158       1,700        45  SH      DEFINED     3                               45
FIRST TR EXCHANGE TRADED FD     COM         33733E203       5,716       175  SH      DEFINED     2                              175
FIRST TR EXCHANGE TRADED FD     COM         33733E302     632,757    19,590  SH      DEFINED     2                           19,590
FIRST TR EXCHANGE TRADED FD     COM         33733E401     342,267    16,471  SH      DEFINED     2                           16,471
FIRST TR EXCHANGE TRADED FD     COM         33734X101      48,370     2,438  SH      DEFINED     2                            2,438
FIRST TR EXCHANGE TRADED FD     COM         33734X119   1,864,448    78,835  SH      DEFINED     2                           78,835
FIRST TR EXCHANGE TRADED FD     COM         33734X127      67,585     3,500  SH      DEFINED     2                            3,500
FIRST TR EXCHANGE TRADED FD     COM         33734X135      24,045     1,823  SH      DEFINED     2                            1,823
FIRST TR EXCHANGE TRADED FD     COM         33734X143     683,153    25,190  SH      DEFINED     2                           25,190
FIRST TR EXCHANGE TRADED FD     COM         33734X150      23,986     1,397  SH      DEFINED     2                            1,397
FIRST TR EXCHANGE TRADED FD     COM         33734X168       2,102        99  SH      DEFINED     2                               99
FIRST TR EXCHANGE TRADED FD     COM         33734X176      23,206     1,158  SH      DEFINED     2                            1,158
FIRST TR EXCHANGE TRADED FD     COM         33734X184     428,204    23,882  SH      DEFINED     2                           23,882
FIRST TR EXCHANGE TRADED FD     COM         33734X200   2,534,240   115,350  SH      DEFINED     2                          115,350
FIRST TR EXCHANGE TRADED FD     COM         33733E104      26,395     1,208  SH      DEFINED     3                            1,208
FIRST TR EXCHANGE TRADED FD     COM         33733E203     463,707    14,198  SH      DEFINED     3                           14,198
FIRST TR EXCHANGE TRADED FD     COM         33733E302     300,261     9,296  SH      DEFINED     3                            9,296
FIRST TR EXCHANGE TRADED FD     COM         33734X101     355,206    17,904  SH      DEFINED     3                           17,904
FIRST TR EXCHANGE TRADED FD     COM         33734X119      56,878     2,405  SH      DEFINED     3                            2,405
FIRST TR EXCHANGE TRADED FD     COM         33734X127     141,909     7,349  SH      DEFINED     3                            7,349
FIRST TR EXCHANGE TRADED FD     COM         33734X135     151,078    11,454  SH      DEFINED     3                           11,454
FIRST TR EXCHANGE TRADED FD     COM         33734X143     291,648    10,754  SH      DEFINED     3                           10,754
FIRST TR EXCHANGE TRADED FD     COM         33734X150      31,885     1,857  SH      DEFINED     3                            1,857
FIRST TR EXCHANGE TRADED FD     COM         33734X168       7,048       332  SH      DEFINED     3                              332
FIRST TR EXCHANGE TRADED FD     COM         33734X176      54,208     2,705  SH      DEFINED     3                            2,705
FIRST TR EXCHANGE TRADED FD     COM         33734X184     182,492    10,178  SH      DEFINED     3                           10,178
FIRST TR EXCHANGE TRADED FD     COM         33734X192      79,653     4,631  SH      DEFINED     3                            4,631
FIRST TR EXCHANGE TRADED FD     COM         33734X200      16,697       760  SH      DEFINED     3                              760
FIRST TR EXCHANGE TRADED FD     COM         33733E104      34,742     1,590  SH      DEFINED     4                            1,590
FIRST TR EXCHANGE TRADED FD     COM         33733E302     676,330    20,939  SH      DEFINED     4                           20,939
FIRST TR EXCHANGE TRADED FD     COM         33734X101   1,085,208    54,698  SH      DEFINED     4                           54,698
FIRST TR EXCHANGE TRADED FD     COM         33734X119     539,977    22,832  SH      DEFINED     4                           22,832
FIRST TR EXCHANGE TRADED FD     COM         33734X143      22,238       820  SH      DEFINED     4                              820
FIRST TR EXCHANGE TRADED FD     COM         33734X168     540,388    25,454  SH      DEFINED     4                           25,454
FIRST TR EXCHANGE TRADED FD     COM         33734X176     526,511    26,273  SH      DEFINED     4                           26,273
FIRST TR EXCHANGE TRADED FD     COM         33734X184     782,125    43,621  SH      DEFINED     4                           43,621
FIRST TR EXCHANGE TRADED FD     COM         33734X200      47,939     2,182  SH      DEFINED     4                            2,182
FIRST TR ISE GLB WIND ENRG E    COM         33736G106       1,441       182  SH      DEFINED     4                              182
FIRST TR ISE GLBL PLAT INDX     COM         33737C104       2,908       163  SH      DEFINED     3                              163
FIRST TR ISE GLOBAL ENGR & C    COM         33736M103      13,295       369  SH      DEFINED     3                              369
FIRST TR ISE GLOBAL ENGR & C    COM         33736M103      19,817       550  SH      DEFINED     4                              550
FIRST TR ISE GLOBL COPPR IND    COM         33733J103      34,679     1,184  SH      DEFINED     3                            1,184
FIRST TR ISE REVERE NAT GAS     COM         33734J102      79,945     4,395  SH      DEFINED     2                            4,395
FIRST TR ISE REVERE NAT GAS     COM         33734J102     125,929     6,923  SH      DEFINED     3                            6,923
FIRST TR ISE REVERE NAT GAS     COM         33734J102       9,095       500  SH      DEFINED     4                              500
FIRST TR LRG CP GRWTH ALPHAD    COM         33735K108     169,139     6,155  SH      DEFINED     2                            6,155
FIRST TR LRG CP GRWTH ALPHAD    COM         33735K108       1,814        66  SH      DEFINED     3                               66
FIRST TR LRG CP VL ALPHADEX     COM         33735J101     173,671     6,566  SH      DEFINED     2                            6,566
FIRST TR LRG CP VL ALPHADEX     COM         33735J101      18,012       681  SH      DEFINED     4                              681
FIRST TR LRGE CP CORE ALPHA     COM         33734K109      68,876     2,535  SH      DEFINED     3                            2,535
FIRST TR LRGE CP CORE ALPHA     COM         33734K109     249,339     9,177  SH      DEFINED     4                            9,177
FIRST TR MID CAP CORE ALPHAD    COM         33735B108     368,345    11,292  SH      DEFINED     2                           11,292
FIRST TR MID CAP CORE ALPHAD    COM         33735B108      65,273     2,001  SH      DEFINED     3                            2,001
FIRST TR MID CAP CORE ALPHAD    COM         33735B108       7,666       235  SH      DEFINED     4                              235
FIRST TR MORNINGSTAR DIV LEA    COM         336917109   1,986,839   113,017  SH      DEFINED     2                          113,017
FIRST TR MORNINGSTAR DIV LEA    COM         336917109      63,516     3,613  SH      DEFINED     3                            3,613
FIRST TR MORNINGSTAR DIV LEA    COM         336917109     195,912    11,144  SH      DEFINED     4                           11,144
FIRST TR MULTI CAP VALUE ALP    COM         33733F101       3,952       132  SH      DEFINED     2                              132
FIRST TR MULTI CAP VALUE ALP    COM         33733F101      16,944       566  SH      DEFINED     4                              566
FIRST TR MULTI CP VAL ALPHA     COM         33733C108       4,016       141  SH      DEFINED     2                              141
FIRST TR MULTI CP VAL ALPHA     COM         33733C108       1,994        70  SH      DEFINED     3                               70
FIRST TR MULTI CP VAL ALPHA     COM         33733C108      12,134       426  SH      DEFINED     4                              426
FIRST TR NAS100 EQ WEIGHTED     COM         337344105      39,794     1,734  SH      DEFINED     3                            1,734
FIRST TR NASDAQ SMART PHONE     COM         33737K106     120,921     5,100  SH      DEFINED     3                            5,100
FIRST TR NASDAQ100 TECH INDE    COM         337345102       2,267        94  SH      DEFINED     2                               94
FIRST TR NASDAQ100 TECH INDE    COM         337345102      18,765       778  SH      DEFINED     3                              778
FIRST TR S&P REIT INDEX FD      COM         33734G108     307,446    19,848  SH      DEFINED     2                           19,848
FIRST TR S&P REIT INDEX FD      COM         33734G108     204,344    13,192  SH      DEFINED     3                           13,192
FIRST TR S&P REIT INDEX FD      COM         33734G108     610,291    39,399  SH      DEFINED     4                           39,399
FIRST TR SML CP CORE ALPHA F    COM         33734Y109     369,777    12,363  SH      DEFINED     2                           12,363
FIRST TR SML CP CORE ALPHA F    COM         33734Y109      15,254       510  SH      DEFINED     3                              510
FIRST TR SML CP CORE ALPHA F    COM         33734Y109      20,369       681  SH      DEFINED     4                              681
FIRST TR STRATEGIC HIGH INC     COM         337353304       6,601       432  SH      DEFINED     2                              432
FIRST TR STRATEGIC HIGH INC     COM         337353304      11,368       744  SH      DEFINED     3                              744
FIRST TR STRATEGIC HIGH INC     COM         337353304      20,796     1,361  SH      DEFINED     4                            1,361
FIRST TR VALUE LINE 100 ETF     COM         33735G107       2,639       213  SH      DEFINED     3                              213
FIRST TR VALUE LINE DIVID IN    COM         33734H106       2,402       150  SH      DEFINED     2                              150
FIRST TR VALUE LINE DIVID IN    COM         33734H106      31,275     1,953  SH      DEFINED     3                            1,953
FIRST TR VALUE LINE DIVID IN    COM         33734H106      26,336     1,645  SH      DEFINED     4                            1,645
FIRST TRUST MORTGAGE INCM FD    COM         33734E103       1,295        68  SH      DEFINED     3                               68
FIRSTENERGY CORP                COM         337932107   5,561,289   125,537  SH      SOLE        1      125,537
FIRSTENERGY CORP                COM         337932107      40,889       923  SH      DEFINED     2                              923
FIRSTENERGY CORP                COM         337932107     792,571    17,891  SH      DEFINED     3                           17,891
FIRSTENERGY CORP                COM         337932107     311,518     7,032  SH      DEFINED     4                            7,032
FIRSTMERIT CORP                 COM         337915102  10,064,355   665,192  SH      SOLE        1      665,192
FIRSTMERIT CORP                 COM         337915102      26,326     1,740  SH      DEFINED     2                            1,740
FISERV INC                      COM         337738108   3,062,645    52,139  SH      SOLE        1       52,139
FISERV INC                      COM         337738108     215,282     3,665  SH      DEFINED     2                            3,665
FISERV INC                      COM         337738108       5,874       100  SH      DEFINED     4                              100
FISHER COMMUNICATIONS INC       COM         337756209     185,809     6,445  SH      SOLE        1        6,445
FIVE STAR QUALITY CARE          COM         33832D106      91,941    30,647  SH      SOLE        1       30,647
FIVE STAR QUALITY CARE INC      COM         33832D106          21         7  SH      DEFINED     2                                7
FLAGSTAR BANCORP INC            COM         337930507      72,117   142,806  SH      SOLE        1      142,806
FLAGSTAR BANCORP INC            COM         337930507         129       255  SH      DEFINED     3                              255
FLAGSTONE REINSURANCE HOLD      COM         L3466T104     317,283    38,273  SH      SOLE        1       38,273
FLAHERTY & CRMN/CLYMR PFD SE    COM         338478100     695,694    39,845  SH      DEFINED     3                           39,845
FLAHERTY & CRMRN CLYMRE T R     COM         338479108      20,206     1,081  SH      DEFINED     3                            1,081
FLAHERTY & CRUMRINE PFD INC     COM         338480106      32,282     2,283  SH      DEFINED     3                            2,283
FLAHERTY & CRUMRINE PFD INC     COM         33848E106      11,200     1,000  SH      DEFINED     3                            1,000
FLEETCOR TECHNOLOGIES INC       COM         339041105       7,378       247  SH      SOLE        1          247
FLEXTRONICS INTL LTD            COM         Y2573F102     215,782    38,124  SH      SOLE        1       38,124
FLEXTRONICS INTL LTD            COM         Y2573F102      40,090     7,083  SH      DEFINED     3                            7,083
FLEXTRONICS INTL LTD            COM         Y2573F102       8,122     1,435  SH      DEFINED     4                            1,435
FLIR SYS INC                    COM         302445101       1,379        55  SH      DEFINED     2                               55
FLIR SYS INC                    COM         302445101       8,022       320  SH      DEFINED     3                              320
FLIR SYSTEMS INC                COM         302445101   1,297,548    51,757  SH      SOLE        1       51,757
FLOTEK INDS INC DEL             COM         343389102      52,788     5,300  SH      DEFINED     2                            5,300






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
FLOTEK INDUSTRIES INC           COM         343389102     363,221    36,468  SH      SOLE        1       36,468
FLOW INTL CORP                  COM         343468104   3,495,891   998,826  SH      SOLE        1      998,826
FLOW INTL CORP                  COM         343468104       7,000     2,000  SH      DEFINED     3                            2,000
FLOWERS FOODS INC               COM         343498101   4,684,871   246,832  SH      SOLE        1      246,832
FLOWERS FOODS INC               COM         343498101       2,980       157  SH      DEFINED     2                              157
FLOWERS FOODS INC               COM         343498101      43,217     2,277  SH      DEFINED     3                            2,277
FLOWSERVE CORP                  COM         34354P105   2,545,472    25,629  SH      SOLE        1       25,629
FLUIDIGM CORP                   COM         34385P108      61,984     4,710  SH      SOLE        1        4,710
FLUIDIGM CORP DEL               COM         34385P108       7,896       600  SH      DEFINED     3                              600
FLUOR CORP                      COM         343412102   3,366,248    66,990  SH      SOLE        1       66,990
FLUOR CORP NEW                  COM         343412102      55,275     1,100  SH      DEFINED     2                            1,100
FLUOR CORP NEW                  COM         343412102      35,950       715  SH      DEFINED     3                              715
FLUOR CORP NEW                  COM         343412102      56,280     1,120  SH      DEFINED     4                            1,120
FLUSHING FINANCIAL CORP         COM         343873105     289,543    22,925  SH      SOLE        1       22,925
FLY LEASING LTD                 COM         34407D109       2,504       200  SH      DEFINED     2                              200
FMC CORP                        COM         302491303   4,891,202    56,848  SH      SOLE        1       56,848
FMC TECHNOLOGIES INC            COM         30249U101   5,080,830    97,278  SH      SOLE        1       97,278
FMC TECHNOLOGIES INC            COM         30249U101       3,761        72  SH      DEFINED     4                               72
FNB CORP                        COM         302520101   1,169,737   103,425  SH      SOLE        1      103,425
FNB CORP PA                     COM         302520101      70,232     6,210  SH      DEFINED     3                            6,210
FOMENTO ECONOMICO MEXICANO S    COM         344419106      41,826       600  SH      DEFINED     2                              600
FONAR CORP                      COM         344437405          68        40  SH      DEFINED     3                               40
FOOT LOCKER INC                 COM         344849104   8,030,266   336,840  SH      SOLE        1      336,840
FOOT LOCKER INC                 COM         344849104       7,676       322  SH      DEFINED     2                              322
FOOT LOCKER INC                 COM         344849104      54,832     2,300  SH      DEFINED     3                            2,300
FOOT LOCKER INC                 COM         344849104      35,903     1,506  SH      DEFINED     4                            1,506
FORD MOTOR CO                   COM         345370860  12,272,791 1,140,594  SH      SOLE        1    1,140,594
FORD MTR CO DEL                 COM         345370134       7,200     3,000  SH      DEFINED     2                            3,000
FORD MTR CO DEL                 COM         345370860   2,747,836   255,375  SH      DEFINED     2                          255,375
FORD MTR CO DEL                 COM         345370860   2,898,185   269,348  SH      DEFINED     3                          269,348
FORD MTR CO DEL                 COM         345370860     297,739    27,671  SH      DEFINED     4                           27,671
FOREST CITY ENTERPRISES CL      COM         345550107      51,807     4,383  SH      SOLE        1        4,383
FOREST CITY ENTERPRISES INC     COM         345550107       7,683       650  SH      DEFINED     2                              650
FOREST LABORATORIES INC         COM         345838106   3,959,279   130,842  SH      SOLE        1      130,842
FOREST LABS INC                 COM         345838106       6,052       200  SH      DEFINED     3                              200
FOREST LABS INC                 COM         345838106       6,203       205  SH      DEFINED     4                              205
FOREST OIL CORP                 COM         346091705   3,605,113   266,060  SH      SOLE        1      266,060
FOREST OIL CORP                 COM         346091705     163,196    12,044  SH      DEFINED     3                           12,044
FORESTAR GROUP INC              COM         346233109     436,576    28,855  SH      SOLE        1       28,855
FORMFACTOR INC                  COM         346375108     187,185    36,993  SH      SOLE        1       36,993
FORMULA SYS 1985 LTD            COM         346414105      46,526     3,150  SH      DEFINED     2                            3,150
FORRESTER RESEARCH INC          COM         346563109     407,008    11,992  SH      SOLE        1       11,992
FORTEGRA FINANCIAL CORP         COM         34954W104      28,517     4,269  SH      SOLE        1        4,269
FORTINET INC                    COM         34959E109      43,555     1,997  SH      SOLE        1        1,997
FORTUNE BRANDS HOME & SEC IN    COM         34964C106       6,982       410  SH      DEFINED     2                              410
FORTUNE BRANDS HOME & SEC IN    COM         34964C106         920        54  SH      DEFINED     3                               54
FORTUNE BRANDS HOME & SEC IN    COM         34964C106      17,030     1,000  SH      DEFINED     4                            1,000
FORTUNE BRANDS HOME + SECU      COM         34964C106   5,834,853   342,622  SH      SOLE        1      342,622
FORWARD AIR CORPORATION         COM         349853101     764,905    23,866  SH      SOLE        1       23,866
FOSSIL INC                      COM         349882100   9,386,780   118,281  SH      SOLE        1      118,281
FOSTER (LB) CO A                COM         350060109     185,950     6,573  SH      SOLE        1        6,573
FOSTER WHEELER AG               COM         H27178104       6,221       325  SH      DEFINED     3                              325
FOSTER WHEELER AG               COM         H27178104      56,635     2,959  SH      DEFINED     4                            2,959
FOX CHASE BANCORP INC           COM         35137T108     126,073     9,982  SH      SOLE        1        9,982
FRANCE TELECOM                  COM         35177Q105      10,790       689  SH      DEFINED     2                              689
FRANCE TELECOM                  COM         35177Q105      10,962       700  SH      DEFINED     3                              700
FRANCE TELECOM                  COM         35177Q105      21,924     1,400  SH      DEFINED     4                            1,400
FRANCESCAS HOLDINGS CORP        COM         351793104     126,515     7,313  SH      SOLE        1        7,313
FRANCO NEVADA CORP              COM         351858105      38,070     1,000  SH      DEFINED     2                            1,000
FRANCO NEVADA CORP              COM         351858105      20,824       547  SH      DEFINED     3                              547
FRANKLIN COVEY CO               COM         353469109      82,523     9,743  SH      SOLE        1        9,743
FRANKLIN ELECTRIC CO INC        COM         353514102     809,345    18,580  SH      SOLE        1       18,580
FRANKLIN FINANCIAL CORP/VA      COM         35353C102     120,105    10,144  SH      SOLE        1       10,144
FRANKLIN RES INC                COM         354613101       8,645        90  SH      DEFINED     2                               90
FRANKLIN RES INC                COM         354613101      10,290       107  SH      DEFINED     4                              107
FRANKLIN RESOURCES INC          COM         354613101   5,136,328    53,470  SH      SOLE        1       53,470
FRANKLIN STREET PPTYS CORP      COM         35471R106       2,985       300  SH      DEFINED     3                              300
FRANKLIN STREET PROPERTIES      COM         35471R106     573,717    57,660  SH      SOLE        1       57,660
FRANKLIN TEMPLETON LTD DUR I    COM         35472T101     237,506    18,075  SH      DEFINED     2                           18,075
FRANKLIN TEMPLETON LTD DUR I    COM         35472T101      37,173     2,829  SH      DEFINED     3                            2,829
FRANKLIN UNVL TR                COM         355145103     199,456    29,814  SH      DEFINED     2                           29,814
FRANKLIN UNVL TR                COM         355145103      19,736     2,950  SH      DEFINED     3                            2,950
FRED S INC CLASS A              COM         356108100     441,832    30,304  SH      SOLE        1       30,304
FREEPORT MCMORAN COPPER         COM         35671D857  16,874,138   458,661  SH      SOLE        1      458,661
FREEPORT-MCMORAN COPPER & GO    COM         35671D857     556,526    15,127  SH      DEFINED     2                           15,127
FREEPORT-MCMORAN COPPER & GO    COM         35671D857   1,243,381    33,797  SH      DEFINED     3                           33,797
FREEPORT-MCMORAN COPPER & GO    COM         35671D857     517,349    14,062  SH      DEFINED     4                           14,062
FREEPORT-MCMORAN COPPER & GO    COM         35671D907       2,175        15  SH  C   DEFINED     4                               15
FREESCALE SEMICONDUCTOR HO      COM         G3727Q101      12,308       973  SH      SOLE        1          973
FREIGHTCAR AMERICA INC          COM         357023100     182,831     8,727  SH      SOLE        1        8,727
FRESH DEL MONTE PRODUCE IN      COM         G36738105     666,842    26,663  SH      SOLE        1       26,663
FRESH DEL MONTE PRODUCE INC     COM         G36738105         400        16  SH      DEFINED     3                               16
FRESH MARKET INC/THE            COM         35804H106   2,419,536    60,640  SH      SOLE        1       60,640
FRIENDFINDER NETWORKS INC       COM         358453306       3,195     4,260  SH      SOLE        1        4,260
FRONTIER COMMUNICATIONS CO      COM         35906A108   2,896,020   562,334  SH      SOLE        1      562,334
FRONTIER COMMUNICATIONS CORP    COM         35906A108     161,948    31,446  SH      DEFINED     2                           31,446
FRONTIER COMMUNICATIONS CORP    COM         35906A108     375,268    72,868  SH      DEFINED     3                           72,868
FRONTIER COMMUNICATIONS CORP    COM         35906A108     198,610    38,565  SH      DEFINED     4                           38,565
FRONTLINE LTD                   COM         G3682E127     161,501    37,646  SH      SOLE        1       37,646
FRONTLINE LTD                   COM         G3682E127      13,578     3,165  SH      DEFINED     2                            3,165
FRONTLINE LTD                   COM         G3682E127       8,130     1,895  SH      DEFINED     3                            1,895
FROZEN FOOD EXPRESS INDS INC    COM         359360104           1         1  SH      DEFINED     3                                1
FSI INTL INC                    COM         302633102     103,450    28,265  SH      SOLE        1       28,265
FTI CONSULTING INC              COM         302941109   5,073,983   119,613  SH      SOLE        1      119,613
FUEL SYS SOLUTIONS INC          COM         35952W103       8,245       500  SH      DEFINED     2                              500
FUEL SYSTEMS SOLUTIONS INC      COM         35952W103     200,386    12,152  SH      SOLE        1       12,152
FUEL TECH INC                   COM         359523107      87,659    13,322  SH      SOLE        1       13,322
FUEL TECH INC                   COM         359523107       1,316       200  SH      DEFINED     3                              200
FUEL TECH INC                   COM         359523107       3,290       500  SH      DEFINED     4                              500
FUELCELL ENERGY INC             COM         35952H106      79,125    90,740  SH      SOLE        1       90,740
FULTON FINANCIAL CORP           COM         360271100   4,320,932   440,462  SH      SOLE        1      440,462
FULTON FINL CORP PA             COM         360271100      41,800     4,261  SH      DEFINED     2                            4,261
FURIEX PHARMACEUTICALS          COM         36106P101     120,596     7,217  SH      SOLE        1        7,217
FURIEX PHARMACEUTICALS INC      COM         36106P101          33         2  SH      DEFINED     4                                2
FURMANITE CORP                  COM         361086101     170,282    26,986  SH      SOLE        1       26,986
FURNITURE BRANDS INTL INC       COM         360921100      37,674    30,629  SH      SOLE        1       30,629
FUSION IO INC                   COM         36112J107       9,680       400  SH      SOLE        1          400
FUSION-IO INC                   COM         36112J107      57,185     2,363  SH      DEFINED     3                            2,363
FUTUREFUEL CORP                 COM         36116M106     169,384    13,638  SH      SOLE        1       13,638
FX ENERGY INC                   COM         302695101     183,413    38,211  SH      SOLE        1       38,211
FXCM INC A                      COM         302693106     123,338    12,650  SH      SOLE        1       12,650
G + K SERVICES INC  CL A        COM         361268105     444,044    15,254  SH      SOLE        1       15,254
G III APPAREL GROUP LTD         COM         36237H101     300,390    12,059  SH      SOLE        1       12,059
GABELLI DIVD & INCOME TR        COM         36242H104      38,550     2,500  SH      DEFINED     2                            2,500
GABELLI DIVD & INCOME TR        COM         36242H104       3,624       235  SH      DEFINED     3                              235






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
GABELLI DIVD & INCOME TR        COM         36242H104      23,182     1,503  SH      DEFINED     4                            1,503
GABELLI EQUITY TR INC           COM         362397101       2,355       472  SH      DEFINED     2                              472
GABELLI EQUITY TR INC           COM         362397101      11,602     2,325  SH      DEFINED     3                            2,325
GABELLI GLOBAL MULTIMEDIA TR    COM         36239Q109         897       144  SH      DEFINED     3                              144
GABELLI HLTHCARE & WELLNESS     COM         36246K103         221        31  SH      DEFINED     2                               31
GABELLI HLTHCARE & WELLNESS     COM         36246K103         827       116  SH      DEFINED     3                              116
GABELLI UTIL TR                 COM         36240A101         523        67  SH      DEFINED     2                               67
GABELLI UTIL TR                 COM         36240A101      28,033     3,594  SH      DEFINED     3                            3,594
GAIAM INC                       COM         36268Q103       1,620       500  SH      DEFINED     4                              500
GAIN CAPITAL HOLDINGS INC       COM         36268W100      36,482     5,445  SH      SOLE        1        5,445
GALENA BIOPHARMA                COM         363256108          47       100  SH      DEFINED     4                              100
GALLAGHER ARTHUR J & CO         COM         363576109     634,835    18,984  SH      DEFINED     2                           18,984
GALLAGHER ARTHUR J & CO         COM         363576109       6,688       200  SH      DEFINED     3                              200
GAMCO INVESTORS INC A           COM         361438104     215,667     4,959  SH      SOLE        1        4,959
GAMESTOP CORP CLASS A           COM         36467W109   1,110,897    46,038  SH      SOLE        1       46,038
GAMESTOP CORP NEW               COM         36467W109       1,013        42  SH      DEFINED     2                               42
GAMESTOP CORP NEW               COM         36467W109       2,413       100  SH      DEFINED     3                              100
GANNETT CO                      COM         364730101   1,422,194   106,372  SH      SOLE        1      106,372
GANNETT INC                     COM         364730101      40,110     3,000  SH      DEFINED     3                            3,000
GAP INC DEL                     COM         364760108      38,872     2,096  SH      DEFINED     2                            2,096
GAP INC DEL                     COM         364760108       2,504       135  SH      DEFINED     3                              135
GAP INC/THE                     COM         364760108   2,538,679   136,856  SH      SOLE        1      136,856
GARDNER DENVER INC              COM         365558105   8,525,379   110,633  SH      SOLE        1      110,633
GARMIN LTD                      COM         H2906T109     545,397    13,700  SH      SOLE        1       13,700
GARMIN LTD                      COM         H2906T109     311,951     7,836  SH      DEFINED     3                            7,836
GARMIN LTD                      COM         H2906T109      21,657       544  SH      DEFINED     4                              544
GARTNER INC                     COM         366651107   7,212,584   207,437  SH      SOLE        1      207,437
GAS NAT INC                     COM         367204104      11,420     1,000  SH      DEFINED     3                            1,000
GASCO ENERGY INC                COM         367220100         833     3,700  SH      DEFINED     4                            3,700
GASTAR EXPLORATION LTD          COM         367299203   3,577,182 1,124,900  SH      SOLE        1    1,124,900
GATX CORP                       COM         361448103   4,478,686   102,581  SH      SOLE        1      102,581
GAYLORD ENTERTAINMENT CO        COM         367905106     628,412    26,032  SH      SOLE        1       26,032
GAYLORD ENTMT CO NEW            COM         367905106       1,811        75  SH      DEFINED     2                               75
GEEKNET INC                     COM         36846Q203      54,526     3,198  SH      SOLE        1        3,198
GEEKNET INC                     COM         36846Q203          51         3  SH      DEFINED     3                                3
GEN PROBE INC                   COM         36866T103   6,012,563   101,701  SH      SOLE        1      101,701
GENCO SHIPPING & TRADING LTD    COM         Y2685T107       7,436     1,100  SH      DEFINED     3                            1,100
GENCO SHIPPING + TRADING L      COM         Y2685T107     145,908    21,584  SH      SOLE        1       21,584
GENCORP INC                     COM         368682100     254,892    47,912  SH      SOLE        1       47,912
GENCORP INC                     COM         368682100          64        12  SH      DEFINED     2                               12
GENERAC HLDGS INC               COM         368736104       8,325       297  SH      DEFINED     2                              297
GENERAC HOLDINGS INC            COM         368736104     510,398    18,209  SH      SOLE        1       18,209
GENERAL AMERN INVS INC          COM         368802104      15,718       631  SH      DEFINED     2                              631
GENERAL CABLE CORP              COM         369300108   2,864,921   114,551  SH      SOLE        1      114,551
GENERAL CABLE CORP DEL NEW      COM         369300108      15,006       600  SH      DEFINED     3                              600
GENERAL COMMUNICATION INC       COM         369385109     325,126    33,210  SH      SOLE        1       33,210
GENERAL DYNAMICS CORP           COM         369550108      14,610       220  SH      DEFINED     2                              220
GENERAL DYNAMICS CORP           COM         369550108      12,933       195  SH      DEFINED     3                              195
GENERAL DYNAMICS CORP           COM         369550108       4,449        67  SH      DEFINED     4                               67
GENERAL ELECTRIC CO             COM         369604103   1,584,650    88,478  SH      DEFINED     2                           88,478
GENERAL ELECTRIC CO             COM         369604103   3,827,417   213,703  SH      DEFINED     3                          213,703
GENERAL ELECTRIC CO             COM         369604103   1,790,779    99,988  SH      DEFINED     4                           99,988
GENERAL EMPLOYMENT ENTERPRIS    COM         369730106          48       115  SH      DEFINED     3                              115
GENERAL GROWTH PPTYS INC NEW    COM         370023103      21,688     1,444  SH      DEFINED     3                            1,444
GENERAL GROWTH PROPERTIES       COM         370023103     270,300    17,996  SH      SOLE        1       17,996
GENERAL MARITIME CORP           COM         Y2693R101       1,229    84,753  SH      SOLE        1       84,753
GENERAL MILLS INC               COM         370334104  15,745,433   389,642  SH      SOLE        1      389,642
GENERAL MLS INC                 COM         370334104     184,472     4,565  SH      DEFINED     2                            4,565
GENERAL MLS INC                 COM         370334104     815,513    20,181  SH      DEFINED     3                           20,181
GENERAL MLS INC                 COM         370334104     206,374     5,107  SH      DEFINED     4                            5,107
GENERAL MOLY INC                COM         370373102     152,158    49,242  SH      SOLE        1       49,242
GENERAL MOLY INC                COM         370373102         309       100  SH      DEFINED     4                              100
GENERAL MTRS CO                 COM         37045V100     106,478     5,253  SH      DEFINED     2                            5,253
GENERAL MTRS CO                 COM         37045V118       7,085       604  SH      DEFINED     2                              604
GENERAL MTRS CO                 COM         37045V126       4,723       604  SH      DEFINED     2                              604
GENERAL MTRS CO                 COM         37045V100     182,916     9,024  SH      DEFINED     3                            9,024
GENERAL MTRS CO                 COM         37045V118      13,853     1,181  SH      DEFINED     3                            1,181
GENERAL MTRS CO                 COM         37045V126       9,290     1,188  SH      DEFINED     3                            1,188
GENERAL MTRS CO                 COM         37045V100     203,065    10,018  SH      DEFINED     4                           10,018
GENERAL MTRS CO                 COM         37045V118       2,064       176  SH      DEFINED     4                              176
GENERAL MTRS CO                 COM         37045V126       1,376       176  SH      DEFINED     4                              176
GENERAL MTRS CO                 COM         37045V209      34,250     1,000  SH      DEFINED     4                            1,000
GENERAL STEEL HOLDINGS INC      COM         370853103       2,374     2,400  SH      DEFINED     2                            2,400
GENESCO INC                     COM         371532102   1,194,237    19,343  SH      SOLE        1       19,343
GENESCO INC                     COM         371532102      18,522       300  SH      DEFINED     3                              300
GENESEE & WYO INC               COM         371559105       6,058       100  SH      DEFINED     2                              100
GENESEE + WYOMING INC CL A      COM         371559105   1,753,246    28,941  SH      SOLE        1       28,941
GENESIS ENERGY L P              COM         371927104     182,749     6,517  SH      DEFINED     3                            6,517
GENESIS ENERGY L P              COM         371927104     103,748     3,700  SH      DEFINED     4                            3,700
GENIE ENERGY LTD B              COM         372284208      80,466    10,147  SH      SOLE        1       10,147
GENMARK DIAGNOSTICS INC         COM         372309104       4,944     1,200  SH      DEFINED     3                            1,200
GENOMIC HEALTH INC              COM         37244C101     315,318    12,419  SH      SOLE        1       12,419
GENOMIC HEALTH INC              COM         37244C101      50,780     2,000  SH      DEFINED     3                            2,000
GENON ENERGY INC                COM         37244E107      64,290    24,632  SH      SOLE        1       24,632
GENON ENERGY INC                COM         37244E107      12,319     4,720  SH      DEFINED     2                            4,720
GENON ENERGY INC                COM         37244E107          52        20  SH      DEFINED     3                               20
GENPACT LTD                     COM         G3922B107      37,838     2,531  SH      SOLE        1        2,531
GEN-PROBE INC NEW               COM         36866T103         532         9  SH      DEFINED     3                                9
GENTEX CORP                     COM         371901109   9,281,702   313,677  SH      SOLE        1      313,677
GENTEX CORP                     COM         371901109       5,918       200  SH      DEFINED     2                              200
GENTEX CORP                     COM         371901109      32,845     1,110  SH      DEFINED     3                            1,110
GENTEX CORP                     COM         371901109       8,877       300  SH      DEFINED     4                              300
GENTIVA HEALTH SERVICES         COM         37247A102     168,291    24,932  SH      SOLE        1       24,932
GENUINE PARTS CO                COM         372460105   5,695,150    93,058  SH      SOLE        1       93,058
GENUINE PARTS CO                COM         372460105     156,611     2,559  SH      DEFINED     3                            2,559
GENUINE PARTS CO                COM         372460105      79,560     1,300  SH      DEFINED     4                            1,300
GENWORTH FINANCIAL INC CL       COM         37247D106   1,135,691   173,388  SH      SOLE        1      173,388
GENWORTH FINL INC               COM         37247D106      42,110     6,429  SH      DEFINED     2                            6,429
GENWORTH FINL INC               COM         37247D106      24,235     3,700  SH      DEFINED     3                            3,700
GENWORTH FINL INC               COM         37247D106      32,750     5,000  SH      DEFINED     4                            5,000
GEO GROUP INC/THE               COM         36159R103     882,239    52,671  SH      SOLE        1       52,671
GEOEYE INC                      COM         37250W108     359,831    16,194  SH      SOLE        1       16,194
GEOKINETICS INC                 COM         372910307      17,770     8,265  SH      SOLE        1        8,265
GEORESOURCES INC                COM         372476101     478,837    16,337  SH      SOLE        1       16,337
GEORGIA GULF CORP               COM         373200302     483,547    24,810  SH      SOLE        1       24,810
GERBER SCIENTIFIC INC COM       COM         37373ESC5           0    21,242  SH      SOLE        1       21,242
GERDAU S A                      COM         373737105      17,573     2,250  SH      DEFINED     2                            2,250
GERDAU S A                      COM         373737105      11,520     1,475  SH      DEFINED     4                            1,475
GERMAN AMERICAN BANCORP         COM         373865104     167,293     9,197  SH      SOLE        1        9,197
GERON CORP                      COM         374163103     139,435    94,213  SH      SOLE        1       94,213
GERON CORP                      COM         374163103       1,776     1,200  SH      DEFINED     3                            1,200
GETTY REALTY CORP               COM         374297109     294,847    21,136  SH      SOLE        1       21,136
GETTY RLTY CORP NEW             COM         374297109     244,013    17,492  SH      DEFINED     3                           17,492
GEVO INC                        COM         374396109      27,311     4,342  SH      SOLE        1        4,342
GEVO INC                        COM         374396109       3,145       500  SH      DEFINED     2                              500






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
GFI GROUP INC                   COM         361652209     212,629    51,609  SH      SOLE        1       51,609
GIBRALTAR INDUSTRIES INC        COM         374689107     345,873    24,776  SH      SOLE        1       24,776
GILEAD SCIENCES INC             COM         375558103  14,815,637   361,975  SH      SOLE        1      361,975
GILEAD SCIENCES INC             COM         375558103     213,696     5,221  SH      DEFINED     2                            5,221
GILEAD SCIENCES INC             COM         375558103      36,796       899  SH      DEFINED     3                              899
GILEAD SCIENCES INC             COM         375558103     205,714     5,026  SH      DEFINED     4                            5,026
GLACIER BANCORP INC             COM         37637Q105     704,922    58,597  SH      SOLE        1       58,597
GLADSTONE CAPITAL CORP          COM         376535100     117,250    15,367  SH      SOLE        1       15,367
GLADSTONE CAPITAL CORP          COM         376535100       3,815       500  SH      DEFINED     2                              500
GLADSTONE CAPITAL CORP          COM         376535100          23         3  SH      DEFINED     3                                3
GLADSTONE COMMERCIAL CORP       COM         376536108     140,312     7,995  SH      SOLE        1        7,995
GLADSTONE INVESTMENT CORP       COM         376546107     117,243    16,127  SH      SOLE        1       16,127
GLATFELTER                      COM         377316104     449,807    31,856  SH      SOLE        1       31,856
GLATFELTER                      COM         377316104       7,060       500  SH      DEFINED     4                              500
GLAXOSMITHKLINE PLC             COM         37733W105      40,109       879  SH      DEFINED     2                              879
GLAXOSMITHKLINE PLC             COM         37733W105     420,070     9,206  SH      DEFINED     3                            9,206
GLAXOSMITHKLINE PLC             COM         37733W105      84,388     1,849  SH      DEFINED     4                            1,849
GLEACHER + CO INC               COM         377341102      90,218    53,701  SH      SOLE        1       53,701
GLIMCHER REALTY TRUST           COM         379302102     720,056    78,267  SH      SOLE        1       78,267
GLOBAL CASH ACCESS HOLDING      COM         378967103     209,640    47,110  SH      SOLE        1       47,110
GLOBAL GEOPHYSICAL SERVICE      COM         37946S107      88,906    13,230  SH      SOLE        1       13,230
GLOBAL HIGH INCOME FUND INC     COM         37933G108      32,616     2,700  SH      DEFINED     2                            2,700
GLOBAL HIGH INCOME FUND INC     COM         37933G108      17,999     1,490  SH      DEFINED     3                            1,490
GLOBAL INCOME&CURRENCY FD IN    COM         378968101      10,240       800  SH      DEFINED     3                              800
GLOBAL INCOME&CURRENCY FD IN    COM         378968101       6,400       500  SH      DEFINED     4                              500
GLOBAL INDEMNITY PLC            COM         G39319101     196,039     9,886  SH      SOLE        1        9,886
GLOBAL PAYMENTS INC             COM         37940X102   8,114,488   171,264  SH      SOLE        1      171,264
GLOBAL PMTS INC                 COM         37940X102      31,745       670  SH      DEFINED     2                              670
GLOBAL PMTS INC                 COM         37940X102         379         8  SH      DEFINED     3                                8
GLOBAL POWER EQUIPMENT GRO      COM         37941P306     273,291    11,507  SH      SOLE        1       11,507
GLOBAL SHIP LEASE INC NEW       COM         Y27183105         362       200  SH      DEFINED     4                              200
GLOBAL SOURCES LTD              COM         G39300101      40,357     8,321  SH      SOLE        1        8,321
GLOBAL X FDS                    COM         37950E549       2,047       100  SH      DEFINED     2                              100
GLOBAL X FDS                    COM         37950E747       6,270       500  SH      DEFINED     2                              500
GLOBAL X FDS                    COM         37950E754      45,110     5,535  SH      DEFINED     2                            5,535
GLOBAL X FDS                    COM         37950E788      46,959     3,300  SH      DEFINED     2                            3,300
GLOBAL X FDS                    COM         37950E853      15,836       750  SH      DEFINED     2                              750
GLOBAL X FDS                    COM         37950E861       5,136       400  SH      DEFINED     2                              400
GLOBAL X FDS                    COM         37950E549      17,973       878  SH      DEFINED     3                              878
GLOBAL X FDS                    COM         37950E648      15,807     1,100  SH      DEFINED     4                            1,100
GLOBAL X FDS                    COM         37950E762       1,433       100  SH      DEFINED     4                              100
GLOBALSTAR INC                  COM         378973408      40,333    74,691  SH      SOLE        1       74,691
GLOBE SPECIALTY METALS INC      COM         37954N206     616,382    46,033  SH      SOLE        1       46,033
GLOBECOMM SYSTEMS INC           COM         37956X103     224,037    16,377  SH      SOLE        1       16,377
GLU MOBILE INC                  COM         379890106     108,798    34,649  SH      SOLE        1       34,649
GMX RESOURCES INC               COM         38011M108      54,751    43,801  SH      SOLE        1       43,801
GNC HOLDINGS INC CL A           COM         36191G107     483,060    16,686  SH      SOLE        1       16,686
GOL LINHAS AEREAS INTLG S A     COM         38045R107       1,989       300  SH      DEFINED     4                              300
GOLAR LNG LTD                   COM         G9456A100  34,587,923   778,131  SH      SOLE        1      778,131
GOLAR LNG LTD BERMUDA           COM         G9456A100       8,890       200  SH      DEFINED     3                              200
GOLAR LNG PARTNERS LP           COM         Y2745C102      42,924     1,400  SH      DEFINED     4                            1,400
GOLD RESOURCE CORP              COM         38068T105     440,874    20,747  SH      SOLE        1       20,747
GOLD RESOURCE CORP              COM         38068T105      16,150       760  SH      DEFINED     3                              760
GOLD RESOURCE CORP              COM         38068T105      12,750       600  SH      DEFINED     4                              600
GOLD RESV INC                   CNV         38068NAB4         755         1 PRN      DEFINED     3                                1
GOLDCORP INC NEW                COM         380956409      72,083     1,629  SH      DEFINED     2                            1,629
GOLDCORP INC NEW                COM         380956409     462,545    10,453  SH      DEFINED     3                           10,453
GOLDCORP INC NEW                COM         380956409      46,905     1,060  SH      DEFINED     4                            1,060
GOLDCORP INC NEW                COM         380956959         340         1  SH  P   DEFINED     4                                1
GOLDEN MINERALS CO              COM         381119106     118,338    20,368  SH      SOLE        1       20,368
GOLDEN STAR RES LTD CDA         COM         38119T104         495       300  SH      DEFINED     4                              300
GOLDEN STAR RESOURCES LTD       COM         38119T104     311,599   188,848  SH      SOLE        1      188,848
GOLDMAN SACHS GROUP INC         COM         38141G104  14,615,749   161,625  SH      SOLE        1      161,625
GOLDMAN SACHS GROUP INC         COM         38141G104      98,750     1,092  SH      DEFINED     2                            1,092
GOLDMAN SACHS GROUP INC         COM         38141G104     146,768     1,623  SH      DEFINED     3                            1,623
GOLDMAN SACHS GROUP INC         COM         38141G104     185,201     2,048  SH      DEFINED     4                            2,048
GOLUB CAPITAL BDC INC           COM         38173M102     116,002     7,484  SH      SOLE        1        7,484
GOODRICH CORP                   COM         382388106   4,992,408    40,359  SH      SOLE        1       40,359
GOODRICH CORP                   COM         382388106     209,672     1,695  SH      DEFINED     3                            1,695
GOODRICH PETROLEUM CORP         COM         382410405     259,854    18,926  SH      SOLE        1       18,926
GOODYEAR TIRE + RUBBER CO       COM         382550101   1,097,070    77,422  SH      SOLE        1       77,422
GOOGLE INC                      COM         38259P508     959,162     1,485  SH      DEFINED     2                            1,485
GOOGLE INC                      COM         38259P508   1,306,656     2,023  SH      DEFINED     3                            2,023
GOOGLE INC                      COM         38259P508     269,340       417  SH      DEFINED     4                              417
GOOGLE INC CL A                 COM         38259P508  87,350,224   135,238  SH      SOLE        1      135,238
GORDMANS STORES INC             COM         38269P100      48,935     3,893  SH      SOLE        1        3,893
GORMAN RUPP CO                  COM         383082104     301,691    11,112  SH      SOLE        1       11,112
GOVERNMENT PPTYS INCOME TR      COM         38376A103       4,510       200  SH      DEFINED     3                              200
GOVERNMENT PPTYS INCOME TR      COM         38376A103      60,885     2,700  SH      DEFINED     4                            2,700
GOVERNMENT PROPERTIES INCO      COM         38376A103     583,030    25,855  SH      SOLE        1       25,855
GP STRATEGIES CORP              COM         36225V104     146,042    10,834  SH      SOLE        1       10,834
GP STRATEGIES CORP              COM         36225V104       6,740       500  SH      DEFINED     3                              500
GRACE W R & CO DEL NEW          COM         38388F108      26,404       575  SH      DEFINED     2                              575
GRACO INC                       COM         384109104   5,336,636   130,512  SH      SOLE        1      130,512
GRACO INC                       COM         384109104       8,178       200  SH      DEFINED     4                              200
GRAFTECH INTERNATIONAL LTD      COM         384313102      54,436     3,988  SH      SOLE        1        3,988
GRAHAM CORP                     COM         384556106     161,276     7,187  SH      SOLE        1        7,187
GRAHAM CORP                     COM         384556106      10,098       450  SH      DEFINED     3                              450
GRAINGER W W INC                COM         384802104      13,665        73  SH      DEFINED     3                               73
GRAINGER W W INC                COM         384802104     156,116       834  SH      DEFINED     4                              834
GRAN TIERRA ENERGY INC          COM         38500T101      31,968     6,660  SH      DEFINED     2                            6,660
GRAN TIERRA ENERGY INC          COM         38500T101       4,800     1,000  SH      DEFINED     4                            1,000
GRAND CANYON ED INC             COM         38526M106      15,960     1,000  SH      DEFINED     2                            1,000
GRAND CANYON EDUCATION INC      COM         38526M106     334,155    20,937  SH      SOLE        1       20,937
GRANITE CONSTRUCTION INC        COM         387328107   2,460,310   103,723  SH      SOLE        1      103,723
GRAPHIC PACKAGING HLDG CO       COM         388689101      32,802     7,700  SH      DEFINED     2                            7,700
GRAPHIC PACKAGING HOLDING       COM         388689101     497,334   116,745  SH      SOLE        1      116,745
GRAY TELEVISION INC             COM         389375106      58,693    36,230  SH      SOLE        1       36,230
GRAY TELEVISION INC             COM         389375106       7,128     4,400  SH      DEFINED     3                            4,400
GREAT BASIN GOLD LTD            COM         390124105          80        88  SH      DEFINED     3                               88
GREAT BASIN GOLD LTD            COM         390124105       9,110    10,000  SH      DEFINED     4                           10,000
GREAT LAKES DREDGE & DOCK CO    COM         390607109       1,668       300  SH      DEFINED     4                              300
GREAT LAKES DREDGE + DOCK       COM         390607109     238,841    42,957  SH      SOLE        1       42,957
GREAT PANTHER SILVER LTD        COM         39115V101       1,950     1,000  SH      DEFINED     2                            1,000
GREAT PLAINS ENERGY INC         COM         391164100   6,508,757   298,841  SH      SOLE        1      298,841
GREAT PLAINS ENERGY INC         COM         391164100      29,948     1,375  SH      DEFINED     2                            1,375
GREAT PLAINS ENERGY INC         COM         391164100       6,534       300  SH      DEFINED     3                              300
GREAT SOUTHERN BANCORP INC      COM         390905107     175,014     7,419  SH      SOLE        1        7,419
GREAT SOUTHN BANCORP INC        COM         390905107       4,718       200  SH      DEFINED     2                              200
GREATBATCH INC                  COM         39153L106     419,856    18,998  SH      SOLE        1       18,998
GREATBATCH INC                  COM         39153L106       4,973       225  SH      DEFINED     3                              225
GREATER CHINA FD INC            COM         39167B102       9,869       980  SH      DEFINED     2                              980
GREATER CHINA FD INC            COM         39167B102       2,518       250  SH      DEFINED     4                              250
GREEN DOT CORP CLASS A          COM         39304D102      11,489       368  SH      SOLE        1          368
GREEN MOUNTAIN COFFEE ROAS      COM         393122106  20,741,914   462,473  SH      SOLE        1      462,473






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
GREEN MTN COFFEE ROASTERS IN    COM         393122106      45,837     1,022  SH      DEFINED     2                            1,022
GREEN MTN COFFEE ROASTERS IN    COM         393122106     124,459     2,775  SH      DEFINED     3                            2,775
GREEN PLAINS RENEWABLE ENE      COM         393222104     133,458    13,674  SH      SOLE        1       13,674
GREENBRIER COMPANIES INC        COM         393657101     349,972    14,414  SH      SOLE        1       14,414
GREENBRIER COS INC              COM         393657101      19,424       800  SH      DEFINED     2                              800
GREENHAVEN CONT CMDTY INDEX     COM         395258106     413,285    13,813  SH      DEFINED     2                           13,813
GREENHAVEN CONT CMDTY INDEX     COM         395258106      94,218     3,149  SH      DEFINED     3                            3,149
GREENHAVEN CONT CMDTY INDEX     COM         395258106      81,502     2,724  SH      DEFINED     4                            2,724
GREENHILL + CO INC              COM         395259104   2,298,366    63,194  SH      SOLE        1       63,194
GREENLIGHT CAPITAL RE LTD       COM         G4095J109     484,525    20,470  SH      SOLE        1       20,470
GREIF INC                       COM         397624107      20,680       454  SH      DEFINED     3                              454
GREIF INC CL A                  COM         397624107   3,098,311    68,020  SH      SOLE        1       68,020
GRIFFIN LAND + NURSERIES        COM         398231100      48,210     1,822  SH      SOLE        1        1,822
GRIFFON CORP                    COM         398433102     353,477    38,716  SH      SOLE        1       38,716
GROUP 1 AUTOMOTIVE INC          COM         398905109     959,543    18,524  SH      SOLE        1       18,524
GROUPE CGI INC                  COM         39945C109          19         1  SH      DEFINED     2                                1
GROUPON INC                     COM         399473107      25,767     1,249  SH      SOLE        1        1,249
GROUPON INC                     COM         399473107       1,877        91  SH      DEFINED     2                               91
GRUPO TELEVISA SA               COM         40049J206       2,527       120  SH      DEFINED     3                              120
GRUPO TELEVISA SA               COM         40049J206       1,264        60  SH      DEFINED     4                               60
GSI GROUP INC                   COM         36191C205     193,122    18,878  SH      SOLE        1       18,878
GSI TECHNOLOGY INC              COM         36241U106      68,922    14,727  SH      SOLE        1       14,727
GT ADVANCED TECHNOLOGIES I      COM         36191U106     743,476   102,690  SH      SOLE        1      102,690
GTX INC                         COM         40052B108      53,736    15,993  SH      SOLE        1       15,993
GUANGSHEN RY LTD                COM         40065W107      11,819       670  SH      DEFINED     4                              670
GUANWEI RECYCLING CORP          COM         400685103      25,408    29,991  SH      DEFINED     4                           29,991
GUESS? INC                      COM         401617105   4,356,046   146,078  SH      SOLE        1      146,078
GUGGENHEIM ENHANCED EQUITY S    COM         40167K100       3,206       200  SH      DEFINED     3                              200
GUGGENHEIM ENHANCED EQUITY S    COM         40167K100      12,936       807  SH      DEFINED     4                              807
GUGGENHEIM ENHNCD EQTY INCM     COM         40167B100      24,443     2,996  SH      DEFINED     3                            2,996
GUGGENHEIM STRATEGIC OPP FD     COM         40167F101     265,276    12,885  SH      DEFINED     3                           12,885
GUIDANCE SOFTWARE INC           COM         401692108      65,772    10,150  SH      SOLE        1       10,150
GULF ISLAND FABRICATION IN      COM         402307102     341,494    11,691  SH      SOLE        1       11,691
GULFMARK OFFSHORE INC CL A      COM         402629208     728,537    17,342  SH      SOLE        1       17,342
GULFPORT ENERGY CORP            COM         402635304  10,269,833   348,721  SH      SOLE        1      348,721
GULFPORT ENERGY CORP            COM         402635304      20,615       700  SH      DEFINED     2                              700
GULFPORT ENERGY CORP            COM         402635304      18,701       635  SH      DEFINED     3                              635
GULFPORT ENERGY CORP            COM         402635304       3,534       120  SH      DEFINED     4                              120
H & E EQUIPMENT SERVICES INC    COM         404030108       1,342       100  SH      DEFINED     2                              100
H & Q HEALTHCARE INVESTORS      COM         404052102       7,803       553  SH      DEFINED     3                              553
H & Q LIFE SCIENCES INVS        COM         404053100       5,689       496  SH      DEFINED     4                              496
H.B. FULLER CO.                 COM         359694106     929,808    40,234  SH      SOLE        1       40,234
H+E EQUIPMENT SERVICES INC      COM         404030108     280,156    20,876  SH      SOLE        1       20,876
HACKETT GROUP INC/THE           COM         404609109      83,148    22,232  SH      SOLE        1       22,232
HAEMONETICS CORP/MASS           COM         405024100   1,277,478    20,867  SH      SOLE        1       20,867
HAIN CELESTIAL GROUP INC        COM         405217100   1,095,144    29,873  SH      SOLE        1       29,873
HAIN CELESTIAL GROUP INC        COM         405217100      16,130       440  SH      DEFINED     3                              440
HALLADOR ENERGY CO              COM         40609P105      32,441     3,267  SH      SOLE        1        3,267
HALLIBURTON CO                  COM         406216101  11,831,684   342,848  SH      SOLE        1      342,848
HALLIBURTON CO                  COM         406216101     179,197     5,193  SH      DEFINED     2                            5,193
HALLIBURTON CO                  COM         406216101     569,001    16,488  SH      DEFINED     3                           16,488
HALLIBURTON CO                  COM         406216101     412,567    11,955  SH      DEFINED     4                           11,955
HALLMARK FINL SERVICES INC      COM         40624Q203      61,645     8,819  SH      SOLE        1        8,819
HALOZYME THERAPEUTICS INC       COM         40637H109     569,830    59,919  SH      SOLE        1       59,919
HALOZYME THERAPEUTICS INC       COM         40637H109         951       100  SH      DEFINED     3                              100
HALOZYME THERAPEUTICS INC       COM         40637H109       4,755       500  SH      DEFINED     4                              500
HAMPTON ROADS BANKSHARES I      COM         409321502      19,643     7,169  SH      SOLE        1        7,169
HAMPTON ROADS BANKSHARES INC    COM         409321502          74        27  SH      DEFINED     4                               27
HANCOCK HOLDING CO              COM         410120109   7,657,902   239,534  SH      SOLE        1      239,534
HANCOCK JOHN INV TRUST          COM         41013P749       1,580       128  SH      DEFINED     2                              128
HANCOCK JOHN PFD INCOME FD      COM         41013W108      53,700     2,500  SH      DEFINED     2                            2,500
HANCOCK JOHN PFD INCOME FD      COM         41013W108     242,939    11,310  SH      DEFINED     3                           11,310
HANCOCK JOHN PFD INCOME FD      COM         41013W108      49,189     2,290  SH      DEFINED     4                            2,290
HANCOCK JOHN PFD INCOME FD I    COM         41013X106       2,941       141  SH      DEFINED     2                              141
HANCOCK JOHN PFD INCOME FD I    COM         41021P103      17,070     1,000  SH      DEFINED     3                            1,000
HANCOCK JOHN PFD INCOME FD I    COM         41013X106      56,349     2,700  SH      DEFINED     4                            2,700
HANCOCK JOHN PREMUIM DIV FD     COM         41013T105         753        56  SH      DEFINED     2                               56
HANCOCK JOHN PREMUIM DIV FD     COM         41013T105     409,329    30,456  SH      DEFINED     3                           30,456
HANCOCK JOHN PREMUIM DIV FD     COM         41013T105      85,344     6,350  SH      DEFINED     4                            6,350
HANCOCK JOHN TAX-ADV DIV INC    COM         41013V100      85,856     4,951  SH      DEFINED     2                            4,951
HANCOCK JOHN TAX-ADV DIV INC    COM         41013V100      53,754     3,100  SH      DEFINED     4                            3,100
HANDY + HARMAN LTD              COM         410315105      42,273     4,270  SH      SOLE        1        4,270
HANESBRANDS INC                 COM         410345102   4,645,359   212,505  SH      SOLE        1      212,505
HANESBRANDS INC                 COM         410345102      23,980     1,097  SH      DEFINED     3                            1,097
HANESBRANDS INC                 COM         410345102       2,470       113  SH      DEFINED     4                              113
HANGER ORTHOPEDIC GROUP IN      COM         41043F208     509,751    27,274  SH      SOLE        1       27,274
HANMI FINANCIAL CORPORATIO      COM         410495204     189,854    25,656  SH      SOLE        1       25,656
HANOVER COMPRESSOR CO           CNV         410768AE5      13,725        15 PRN      DEFINED     3                               15
HANOVER INS GROUP INC           COM         410867105       2,272        65  SH      DEFINED     2                               65
HANOVER INSURANCE GROUP IN      COM         410867105   3,454,842    98,851  SH      SOLE        1       98,851
HANSEN MEDICAL INC              COM         411307101      88,293    34,222  SH      SOLE        1       34,222
HANSEN NAT CORP                 COM         411310105     215,608     2,340  SH      DEFINED     2                            2,340
HANSEN NAT CORP                 COM         411310105      69,105       750  SH      DEFINED     3                              750
HANSEN NATURAL CORP             COM         411310105   15,683,149  170,210  SH      SOLE        1      170,210
HANWHA SOLARONE CO LTD          COM         41135V103         197       200  SH      DEFINED     2                              200
HANWHA SOLARONE CO LTD          COM         41135V103          98       100  SH      DEFINED     4                              100
HARBINGER GROUP INC             COM         41146A106      26,502     6,609  SH      SOLE        1        6,609
HARLEY DAVIDSON INC             COM         412822108   4,522,019   116,337  SH      SOLE        1      116,337
HARLEY DAVIDSON INC             COM         412822108      10,849       279  SH      DEFINED     2                              279
HARLEY DAVIDSON INC             COM         412822108     134,178     3,452  SH      DEFINED     3                            3,452
HARLEY DAVIDSON INC             COM         412822108      39,142     1,007  SH      DEFINED     4                            1,007
HARLEYSVILLE GROUP INC          COM         412824104     503,699     8,904  SH      SOLE        1        8,904
HARLEYSVILLE GROUP INC          COM         412824104       8,768       155  SH      DEFINED     3                              155
HARMAN INTERNATIONAL            COM         413086109   1,061,544    27,906  SH      SOLE        1       27,906
HARMAN INTL INDS INC            COM         413086109       4,184       110  SH      DEFINED     4                              110
HARMONIC INC                    COM         413160102     471,920    93,635  SH      SOLE        1       93,635
HARMONIC INC                    COM         413160102      23,199     4,603  SH      DEFINED     3                            4,603
HARRIS + HARRIS GROUP INC       COM         413833104      78,345    22,643  SH      SOLE        1       22,643
HARRIS CORP DEL                 COM         413875105      23,426       650  SH      DEFINED     3                              650
HARSCO CORP                     COM         415864107   3,656,387   177,667  SH      SOLE        1      177,667
HARSCO CORP                     COM         415864107       1,297        63  SH      DEFINED     3                               63
HARSCO CORP                     COM         415864107       1,029        50  SH      DEFINED     4                               50
HARTE HANKS INC                 COM         416196103     327,595    36,039  SH      SOLE        1       36,039
HARTFORD FINANCIAL SVCS GR      COM         416515104   4,395,690   270,504  SH      SOLE        1      270,504
HARTFORD FINL SVCS GROUP INC    COM         416515104     144,918     8,918  SH      DEFINED     2                            8,918
HARTFORD FINL SVCS GROUP INC    COM         416515708       7,512       400  SH      DEFINED     2                              400
HARTFORD FINL SVCS GROUP INC    COM         416515104      79,041     4,864  SH      DEFINED     3                            4,864
HARTFORD FINL SVCS GROUP INC    COM         416515708      35,682     1,900  SH      DEFINED     3                            1,900
HARTFORD FINL SVCS GROUP INC    COM         416515104      16,250     1,000  SH      DEFINED     4                            1,000
HARTFORD FINL SVCS GROUP INC    COM         416515708       3,756       200  SH      DEFINED     4                              200
HARVARD BIOSCIENCE INC          COM         416906105      65,078    16,816  SH      SOLE        1       16,816
HARVARD BIOSCIENCE INC          COM         416906105       3,870     1,000  SH      DEFINED     4                            1,000
HARVEST NATURAL RESOURCES       COM         41754V103     183,135    24,815  SH      SOLE        1       24,815
HARVEST NATURAL RESOURCES IN    COM         41754V103       7,380     1,000  SH      DEFINED     3                            1,000
HASBRO INC                      COM         418056107   3,490,648   109,459  SH      SOLE        1      109,459






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
HATTERAS FINANCIAL CORP         COM         41902R103   1,439,644    54,594  SH      SOLE        1       54,594
HATTERAS FINL CORP              COM         41902R103     123,675     4,690  SH      DEFINED     2                            4,690
HATTERAS FINL CORP              COM         41902R103     104,953     3,980  SH      DEFINED     3                            3,980
HATTERAS FINL CORP              COM         41902R103     455,008    17,255  SH      DEFINED     4                           17,255
HAVERTY FURNITURE               COM         419596101     168,345    15,332  SH      SOLE        1       15,332
HAWAIIAN ELEC INDUSTRIES        COM         419870100      13,902       525  SH      DEFINED     2                              525
HAWAIIAN ELEC INDUSTRIES        COM         419870100     160,125     6,047  SH      DEFINED     3                            6,047
HAWAIIAN ELEC INDUSTRIES        COM         419870100     796,826    30,092  SH      DEFINED     4                           30,092
HAWAIIAN ELECTRIC INDS          COM         419870100   5,596,389   211,344  SH      SOLE        1      211,344
HAWAIIAN HOLDINGS INC           COM         419879101     213,515    36,813  SH      SOLE        1       36,813
HAWKINS INC                     COM         420261109     261,632     7,098  SH      SOLE        1        7,098
HAWKINS INC                     COM         420261109      12,901       350  SH      DEFINED     3                              350
HAYNES INTERNATIONAL INC        COM         420877201     542,342     9,933  SH      SOLE        1        9,933
HCA HOLDINGS INC                COM         40412C101      71,708     3,255  SH      DEFINED     2                            3,255
HCC INS HLDGS INC               COM         404132102      17,875       650  SH      DEFINED     2                              650
HCC INSURANCE HOLDINGS INC      COM         404132102   6,877,750   250,100  SH      SOLE        1      250,100
HCP INC                         COM         40414L109   7,140,792   172,358  SH      SOLE        1      172,358
HCP INC                         COM         40414L109      81,794     1,974  SH      DEFINED     2                            1,974
HCP INC                         COM         40414L109     217,466     5,249  SH      DEFINED     3                            5,249
HDFC BANK LTD                   COM         40415F101         631        24  SH      DEFINED     3                               24
HEADWATERS INC                  COM         42210P102     110,021    49,559  SH      SOLE        1       49,559
HEALTH CARE REIT INC            COM         42217K106   3,420,612    62,729  SH      SOLE        1       62,729
HEALTH CARE REIT INC            COM         42217K106      94,302     1,729  SH      DEFINED     2                            1,729
HEALTH CARE REIT INC            COM         42217K106      63,637     1,167  SH      DEFINED     3                            1,167
HEALTH CARE REIT INC            COM         42217K106      37,080       680  SH      DEFINED     4                              680
HEALTH MGMT ASSOC INC NEW       COM         421933102      16,583     2,250  SH      DEFINED     2                            2,250
HEALTH MGMT ASSOC INC NEW       COM         421933102       5,159       700  SH      DEFINED     3                              700
HEALTH MGMT ASSOCIATES INC      COM         421933102   4,094,860   555,612  SH      SOLE        1      555,612
HEALTH NET INC                  COM         42222G108   5,559,225   182,749  SH      SOLE        1      182,749
HEALTHCARE REALTY TRUST IN      COM         421946104   1,178,903    63,416  SH      SOLE        1       63,416
HEALTHCARE RLTY TR              COM         421946104      10,857       584  SH      DEFINED     2                              584
HEALTHCARE RLTY TR              COM         421946104       1,524        82  SH      DEFINED     3                               82
HEALTHCARE SERVICES GROUP       COM         421906108     957,277    54,114  SH      SOLE        1       54,114
HEALTHCARE SVCS GRP INC         COM         421906108      10,437       590  SH      DEFINED     3                              590
HEALTHCARE SVCS GRP INC         COM         421906108      33,611     1,900  SH      DEFINED     4                            1,900
HEALTHSOUTH CORP                COM         421924309   1,227,694    69,479  SH      SOLE        1       69,479
HEALTHSOUTH CORP                COM         421924309       3,534       200  SH      DEFINED     2                              200
HEALTHSOUTH CORP                COM         421924309       3,534       200  SH      DEFINED     4                              200
HEALTHSPRING INC                COM         42224N101   3,008,099    55,154  SH      SOLE        1       55,154
HEALTHSPRING INC                COM         42224N101       2,672        49  SH      DEFINED     2                               49
HEALTHSTREAM INC                COM         42222N103     243,927    13,221  SH      SOLE        1       13,221
HEALTHWAYS INC                  COM         422245100     189,439    27,615  SH      SOLE        1       27,615
HEARTLAND EXPRESS INC           COM         422347104     595,736    41,689  SH      SOLE        1       41,689
HEARTLAND FINANCIAL USA IN      COM         42234Q102     149,182     9,725  SH      SOLE        1        9,725
HEARTLAND PAYMENT SYSTEMS       COM         42235N108     766,926    31,483  SH      SOLE        1       31,483
HEARTWARE INTERNATIONAL IN      COM         422368100     605,406     8,774  SH      SOLE        1        8,774
HECKMANN CORP                   COM         422680108     487,618    73,326  SH      SOLE        1       73,326
HECKMANN CORP                   COM         422680108       6,650     1,000  SH      DEFINED     3                            1,000
HECLA MINING CO                 COM         422704106   1,066,502   203,920  SH      SOLE        1      203,920
HECLA MNG CO                    COM         422704106       5,230     1,000  SH      DEFINED     2                            1,000
HECLA MNG CO                    COM         422704205       2,134        40  SH      DEFINED     2                               40
HECLA MNG CO                    COM         422704106     854,059   163,300  SH      DEFINED     3                          163,300
HECLA MNG CO                    COM         422704906         200        20  SH  C   DEFINED     3                               20
HECLA MNG CO                    COM         422704106       4,707       900  SH      DEFINED     4                              900
HEICO CORP                      COM         422806109   1,781,769    30,468  SH      SOLE        1       30,468
HEICO CORP NEW                  COM         422806109     113,276     1,937  SH      DEFINED     4                            1,937
HEIDRICK + STRUGGLES INTL       COM         422819102     312,265    14,497  SH      SOLE        1       14,497
HEINZ H J CO                    COM         423074103     157,116     2,907  SH      DEFINED     2                            2,907
HEINZ H J CO                    COM         423074103   1,025,603    18,979  SH      DEFINED     3                           18,979
HEINZ H J CO                    COM         423074103     217,673     4,028  SH      DEFINED     4                            4,028
HELEN OF TROY LTD               COM         G4388N106     773,916    25,209  SH      SOLE        1       25,209
HELIOS HIGH YIELD FD            COM         42328Q109     482,412    49,276  SH      DEFINED     3                           49,276
HELIOS TOTAL RETURN FD INC      COM         42327V109       5,949     1,040  SH      DEFINED     3                            1,040
HELIX ENERGY SOLUTIONS GRO      COM         42330P107   4,839,998   306,329  SH      SOLE        1      306,329
HELMERICH & PAYNE INC           COM         423452101      16,633       285  SH      DEFINED     2                              285
HELMERICH & PAYNE INC           COM         423452101       1,342        23  SH      DEFINED     4                               23
HELMERICH + PAYNE               COM         423452101   2,443,533    41,870  SH      SOLE        1       41,870
HENRY JACK & ASSOC INC          COM         426281101      50,415     1,500  SH      DEFINED     3                            1,500
HENRY SCHEIN INC                COM         806407102  13,088,181   203,138  SH      SOLE        1      203,138
HERBALIFE LTD                   COM         G4412G101     101,428     1,963  SH      SOLE        1        1,963
HERBALIFE LTD                   COM         G4412G101       3,617        70  SH      DEFINED     2                               70
HERBALIFE LTD                   COM         G4412G101      58,129     1,125  SH      DEFINED     3                            1,125
HERCULES OFFSHORE INC           COM         427093109   5,442,556 1,225,801  SH      SOLE        1    1,225,801
HERCULES OFFSHORE INC           COM         427093109      25,308     5,700  SH      DEFINED     3                            5,700
HERCULES TECH GROWTH CAP INC    COM         427096508      81,442     8,627  SH      DEFINED     2                            8,627
HERCULES TECH GROWTH CAP INC    COM         427096508   1,030,688   109,183  SH      DEFINED     3                          109,183
HERCULES TECHNOLOGY GROWTH      COM         427096508     301,986    31,990  SH      SOLE        1       31,990
HERITAGE COMMERCE CORP          COM         426927109      72,200    15,232  SH      SOLE        1       15,232
HERITAGE CRYSTAL CLEAN INC      COM         42726M106      57,264     3,458  SH      SOLE        1        3,458
HERITAGE FINANCIAL CORP         COM         42722X106     143,561    11,430  SH      SOLE        1       11,430
HERMAN MILLER INC               COM         600544100   3,104,102   168,244  SH      SOLE        1      168,244
HERSHA HOSPITALITY TRUST        COM         427825104     501,713   102,810  SH      SOLE        1      102,810
HERSHEY CO                      COM         427866108      44,849       726  SH      DEFINED     2                              726
HERSHEY CO                      COM         427866108     150,311     2,433  SH      DEFINED     3                            2,433
HERSHEY CO                      COM         427866108     132,148     2,139  SH      DEFINED     4                            2,139
HERSHEY CO/THE                  COM         427866108   4,882,906    79,037  SH      SOLE        1       79,037
HERTZ GLOBAL HOLDINGS INC       COM         42805T105      47,794     4,078  SH      SOLE        1        4,078
HESS CORP                       COM         42809H107   9,079,026   159,842  SH      SOLE        1      159,842
HESS CORP                       COM         42809H107      56,800     1,000  SH      DEFINED     2                            1,000
HESS CORP                       COM         42809H107     216,181     3,806  SH      DEFINED     3                            3,806
HESS CORP                       COM         42809H107     109,056     1,920  SH      DEFINED     4                            1,920
HEWLETT PACKARD CO              COM         428236103  20,346,974   789,867  SH      SOLE        1      789,867
HEWLETT PACKARD CO              COM         428236103     221,717     8,607  SH      DEFINED     2                            8,607
HEWLETT PACKARD CO              COM         428236103     654,291    25,399  SH      DEFINED     3                           25,399
HEWLETT PACKARD CO              COM         428236103     186,940     7,257  SH      DEFINED     4                            7,257
HEXCEL CORP                     COM         428291108  10,159,557   419,643  SH      SOLE        1      419,643
HEXCEL CORP NEW                 COM         428291108       2,421       100  SH      DEFINED     2                              100
HEXCEL CORP NEW                 COM         428291108       2,421       100  SH      DEFINED     3                              100
HEXCEL CORP NEW                 COM         428291108       7,263       300  SH      DEFINED     4                              300
HFF INC CLASS A                 COM         40418F108     219,027    21,203  SH      SOLE        1       21,203
HHGREGG INC                     COM         42833L108     177,865    12,309  SH      SOLE        1       12,309
HI TECH PHARMACAL CO INC        COM         42840B101     327,920     8,432  SH      SOLE        1        8,432
HIBBETT SPORTS INC              COM         428567101   1,005,165    22,248  SH      SOLE        1       22,248
HIBBETT SPORTS INC              COM         428567101     102,785     2,275  SH      DEFINED     3                            2,275
HICKORYTECH CORP                COM         429060106     108,108     9,757  SH      SOLE        1        9,757
HIGHER ONE HOLDINGS INC         COM         42983D104     460,502    24,973  SH      SOLE        1       24,973
HIGHLAND CR STRATEGIES FD       COM         43005Q107      13,905     2,250  SH      DEFINED     3                            2,250
HIGHLAND CR STRATEGIES FD       COM         43005Q107      24,727     4,001  SH      DEFINED     4                            4,001
HIGHWOODS PPTYS INC             COM         431284108       4,451       150  SH      DEFINED     3                              150
HIGHWOODS PROPERTIES INC        COM         431284108   6,235,981   210,178  SH      SOLE        1      210,178
HILL INTERNATIONAL INC          COM         431466101      94,093    18,306  SH      SOLE        1       18,306
HILL ROM HOLDINGS INC           COM         431475102   4,549,565   135,042  SH      SOLE        1      135,042
HILLENBRAND INC                 COM         431571108   1,139,771    51,065  SH      SOLE        1       51,065
HILLTOP HOLDINGS INC            COM         432748101     245,827    29,092  SH      SOLE        1       29,092
HILLTOP HOLDINGS INC            COM         432748101       4,225       500  SH      DEFINED     2                              500






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
HIMAX TECHNOLOGIES INC          COM         43289P106       1,001     1,000  SH      DEFINED     2                            1,000
HITACHI LIMITED                 COM         433578507      10,428       200  SH      DEFINED     2                              200
HITTITE MICROWAVE CORP          COM         43365Y104   1,246,499    25,243  SH      SOLE        1       25,243
HJ HEINZ CO                     COM         423074103   7,334,687   135,727  SH      SOLE        1      135,727
HMS HLDGS CORP                  COM         40425J101     228,305     7,139  SH      DEFINED     2                            7,139
HMS HLDGS CORP                  COM         40425J101      51,808     1,620  SH      DEFINED     3                            1,620
HMS HOLDINGS CORP               COM         40425J101   7,883,614   246,517  SH      SOLE        1      246,517
HNI CORP                        COM         404251100   3,392,243   129,971  SH      SOLE        1      129,971
HOLLY ENERGY PARTNERS L P       COM         435763107       4,302        80  SH      DEFINED     2                               80
HOLLY ENERGY PARTNERS L P       COM         435763107      15,381       286  SH      DEFINED     3                              286
HOLLY ENERGY PARTNERS L P       COM         435763107      13,445       250  SH      DEFINED     4                              250
HOLLYFRONTIER CORP              COM         436106108  10,636,142   454,536  SH      SOLE        1      454,536
HOLLYFRONTIER CORP              COM         436106108      27,004     1,154  SH      DEFINED     2                            1,154
HOLLYFRONTIER CORP              COM         436106108      63,180     2,700  SH      DEFINED     3                            2,700
HOLLYFRONTIER CORP              COM         436106108       4,493       192  SH      DEFINED     4                              192
HOLLYSYS AUTOMATION TECHNOLO    COM         G45667105       3,336       401  SH      DEFINED     3                              401
HOLOGIC INC                     COM         436440101  10,144,419   579,350  SH      SOLE        1      579,350
HOLOGIC INC                     COM         436440101      14,463       826  SH      DEFINED     3                              826
HOME BANCSHARES INC             COM         436893200     473,168    18,262  SH      SOLE        1       18,262
HOME DEPOT INC                  COM         437076102  21,507,874   511,605  SH      SOLE        1      511,605
HOME DEPOT INC                  COM         437076102     439,670    10,458  SH      DEFINED     2                           10,458
HOME DEPOT INC                  COM         437076102     498,122    11,849  SH      DEFINED     3                           11,849
HOME DEPOT INC                  COM         437076102     188,549     4,485  SH      DEFINED     4                            4,485
HOME FEDERAL BANCORP INC/M      COM         43710G105     125,809    12,097  SH      SOLE        1       12,097
HOME PROPERTIES INC             COM         437306103   8,047,365   139,784  SH      SOLE        1      139,784
HOMEAWAY INC                    COM         43739Q100       4,604       198  SH      SOLE        1          198
HONDA MOTOR LTD                 COM         438128308      18,330       600  SH      DEFINED     2                              600
HONDA MOTOR LTD                 COM         438128308         489        16  SH      DEFINED     3                               16
HONDA MOTOR LTD                 COM         438128308      25,204       825  SH      DEFINED     4                              825
HONEYWELL INTERNATIONAL IN      COM         438516106  26,353,717   484,889  SH      SOLE        1      484,889
HONEYWELL INTL INC              COM         438516106     182,480     3,357  SH      DEFINED     2                            3,357
HONEYWELL INTL INC              COM         438516106     932,497    17,157  SH      DEFINED     3                           17,157
HONEYWELL INTL INC              COM         438516106     923,177    16,986  SH      DEFINED     4                           16,986
HORACE MANN EDUCATORS           COM         440327104     445,602    32,502  SH      SOLE        1       32,502
HORIZON PHARMA INC              COM         44047T109      16,064     4,016  SH      SOLE        1        4,016
HORMEL FOODS CORP               COM         440452100   1,303,024    44,487  SH      SOLE        1       44,487
HORMEL FOODS CORP               COM         440452100       2,941       100  SH      DEFINED     3                              100
HORNBECK OFFSHORE SERVICES      COM         440543106     788,559    25,421  SH      SOLE        1       25,421
HORSEHEAD HLDG CORP             COM         440694305       9,911     1,100  SH      DEFINED     2                            1,100
HORSEHEAD HOLDING CORP          COM         440694305     287,428    31,901  SH      SOLE        1       31,901
HOSPIRA INC                     COM         441060100   1,597,644    52,606  SH      SOLE        1       52,606
HOSPIRA INC                     COM         441060100          30         1  SH      DEFINED     3                                1
HOSPIRA INC                     COM         441060100      41,212     1,357  SH      DEFINED     4                            1,357
HOSPITALITY PPTYS TR            COM         44106M102      11,490       500  SH      DEFINED     2                              500
HOSPITALITY PPTYS TR            COM         44106M102      11,099       483  SH      DEFINED     3                              483
HOSPITALITY PPTYS TR            COM         44106M102      46,741     2,034  SH      DEFINED     4                            2,034
HOSPITALITY PROPERTIES TRU      COM         44106M102   6,251,502   272,041  SH      SOLE        1      272,041
HOST HOTELS + RESORTS INC       COM         44107P104   4,583,323   310,313  SH      SOLE        1      310,313
HOT TOPIC INC                   COM         441339108     227,529    34,422  SH      SOLE        1       34,422
HOUSTON AMERICAN ENERGY CO      COM         44183U100     147,121    12,069  SH      SOLE        1       12,069
HOUSTON AMERN ENERGY CORP       COM         44183U100       1,219       100  SH      DEFINED     4                              100
HOUSTON WIRE + CABLE CO         COM         44244K109     179,301    12,974  SH      SOLE        1       12,974
HOVNANIAN ENTERPRISES A         COM         442487203      64,869    44,737  SH      SOLE        1       44,737
HOVNANIAN ENTERPRISES INC       COM         442487203         653       450  SH      DEFINED     3                              450
HOVNANIAN ENTERPRISES INC       COM         442487203       1,015       700  SH      DEFINED     4                              700
HOWARD HUGHES CORP              COM         44267D107       6,051       137  SH      DEFINED     3                              137
HOWARD HUGHES CORP/THE          COM         44267D107      30,301       686  SH      SOLE        1          686
HSBC HLDGS PLC                  COM         404280406      64,827     1,701  SH      DEFINED     2                            1,701
HSBC HLDGS PLC                  COM         404280406      10,097       265  SH      DEFINED     3                              265
HSBC HLDGS PLC                  COM         404280604      31,070     1,300  SH      DEFINED     3                            1,300
HSBC HLDGS PLC                  COM         404280406       9,944       261  SH      DEFINED     4                              261
HSBC HLDGS PLC                  COM         404280604   2,174,128    90,968  SH      DEFINED     4                           90,968
HSBC USA INC                    COM         4042EP602       3,610       500  SH      DEFINED     2                              500
HSN INC                         COM         404303109   4,220,446   116,394  SH      SOLE        1      116,394
HSN INC                         COM         404303109         290         8  SH      DEFINED     4                                8
HUANENG PWR INTL INC            COM         443304100       9,879       470  SH      DEFINED     2                              470
HUANENG PWR INTL INC            COM         443304100       4,204       200  SH      DEFINED     4                              200
HUB GROUP INC CL A              COM         443320106     974,586    30,052  SH      SOLE        1       30,052
HUBBELL INC  CL B               COM         443510201   8,680,033   129,824  SH      SOLE        1      129,824
HUDSON CITY BANCORP             COM         443683107       5,625       900  SH      DEFINED     2                              900
HUDSON CITY BANCORP             COM         443683107      63,367    10,139  SH      DEFINED     3                           10,139
HUDSON CITY BANCORP             COM         443683107      25,806     4,129  SH      DEFINED     4                            4,129
HUDSON CITY BANCORP INC         COM         443683107   3,243,644   518,983  SH      SOLE        1      518,983
HUDSON HIGHLAND GROUP INC       COM         443792106     114,701    23,946  SH      SOLE        1       23,946
HUDSON PACIFIC PROPERTIES       COM         444097109     228,061    16,106  SH      SOLE        1       16,106
HUDSON VALLEY HOLDING CORP      COM         444172100     241,832    11,396  SH      SOLE        1       11,396
HUDSON VALLEY HOLDING CORP      COM         444172100      40,615     1,914  SH      DEFINED     2                            1,914
HUGOTON RTY TR TEX              COM         444717102      43,332     2,300  SH      DEFINED     2                            2,300
HUGOTON RTY TR TEX              COM         444717102     443,531    23,542  SH      DEFINED     3                           23,542
HUMAN GENOME SCIENCES INC       COM         444903108      23,315     3,155  SH      SOLE        1        3,155
HUMAN GENOME SCIENCES INC       COM         444903108       4,434       600  SH      DEFINED     3                              600
HUMANA INC                      COM         444859102   6,117,105    69,822  SH      SOLE        1       69,822
HUMANA INC                      COM         444859102      11,302       129  SH      DEFINED     2                              129
HUMANA INC                      COM         444859102     105,132     1,200  SH      DEFINED     3                            1,200
HUNT (JB) TRANSPRT SVCS IN      COM         445658107  12,077,768   267,978  SH      SOLE        1      267,978
HUNTINGTON BANCSHARES INC       COM         446150104   2,203,055   401,285  SH      SOLE        1      401,285
HUNTINGTON BANCSHARES INC       COM         446150104     291,173    53,037  SH      DEFINED     3                           53,037
HUNTINGTON BANCSHARES INC       COM         446150401     411,130       374  SH      DEFINED     3                              374
HUNTINGTON BANCSHARES INC       COM         446150104      10,431     1,900  SH      DEFINED     4                            1,900
HUNTINGTON INGALLS INDS INC     COM         446413106       3,128       100  SH      DEFINED     2                              100
HUNTINGTON INGALLS INDS INC     COM         446413106      14,764       472  SH      DEFINED     3                              472
HUNTINGTON INGALLS INDS INC     COM         446413106         125         4  SH      DEFINED     4                                4
HUNTINGTON INGALLS INDUSTR      COM         446413106   3,441,676   110,028  SH      SOLE        1      110,028
HUNTSMAN CORP                   COM         447011107      55,850     5,585  SH      SOLE        1        5,585
HUNTSMAN CORP                   COM         447011107      34,650     3,465  SH      DEFINED     2                            3,465
HURCO COMPANIES INC             COM         447324104      98,784     4,704  SH      SOLE        1        4,704
HURON CONSULTING GROUP INC      COM         447462102     628,130    16,214  SH      SOLE        1       16,214
HYATT HOTELS CORP   CL A        COM         448579102      51,830     1,377  SH      SOLE        1        1,377
HYPERDYNAMICS CORP              COM         448954107     278,369   113,620  SH      SOLE        1      113,620
HYPERDYNAMICS CORP              COM         448954107      73,500    30,000  SH      DEFINED     3                           30,000
I D SYSTEMS INC                 COM         449489103         946       200  SH      DEFINED     4                              200
IAC INTERACTIVECORP             COM         44919P508       4,856       114  SH      DEFINED     2                              114
IAC INTERACTIVECORP             COM         44919P508         895        21  SH      DEFINED     4                               21
IAC/INTERACTIVECORP             COM         44919P508  10,958,381   257,239  SH      SOLE        1      257,239
IAMGOLD CORP                    COM         450913108     207,112    13,067  SH      DEFINED     3                           13,067
IBERIABANK CORP                 COM         450828108   1,063,549    21,573  SH      SOLE        1       21,573
IBERIABANK CORP                 COM         450828108       1,282        26  SH      DEFINED     2                               26
IBIO INC                        COM         451033104         415       500  SH      DEFINED     3                              500
ICF INTERNATIONAL INC           COM         44925C103     355,890    14,362  SH      SOLE        1       14,362
ICG GROUP INC                   COM         44928D108     209,104    27,086  SH      SOLE        1       27,086
ICICI BK LTD                    COM         45104G104       2,643       100  SH      DEFINED     2                              100
ICICI BK LTD                    COM         45104G104         502        19  SH      DEFINED     3                               19
ICON PUB LTD CO                 COM         45103T107      34,220     2,000  SH      DEFINED     4                            2,000
ICONIX BRAND GROUP INC          COM         451055107     969,108    59,491  SH      SOLE        1       59,491
ICU MEDICAL INC                 COM         44930G107     445,500     9,900  SH      SOLE        1        9,900






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
IDACORP INC                     COM         451107106   6,115,480   144,199  SH      SOLE        1      144,199
IDACORP INC                     COM         451107106      20,866       492  SH      DEFINED     3                              492
IDENIX PHARMACEUTICALS INC      COM         45166R204     327,721    44,019  SH      SOLE        1       44,019
IDENTIVE GROUP INC              COM         45170X106      63,024    28,262  SH      SOLE        1       28,262
IDEX CORP                       COM         45167R104   6,776,731   182,612  SH      SOLE        1      182,612
IDEXX LABORATORIES INC          COM         45168D104   9,451,765   122,814  SH      SOLE        1      122,814
IDEXX LABS INC                  COM         45168D104       3,848        50  SH      DEFINED     2                               50
IDT CORP CLASS B                COM         448947507      95,179    10,147  SH      SOLE        1       10,147
IGATE CORP                      COM         45169U105     395,248    25,127  SH      SOLE        1       25,127
IGATE CORP                      COM         45169U105      11,011       700  SH      DEFINED     3                              700
IHS INC                         COM         451734107       4,911        57  SH      DEFINED     2                               57
IHS INC CLASS A                 COM         451734107      67,894       788  SH      SOLE        1          788
II VI INC                       COM         902104108     778,464    42,400  SH      SOLE        1       42,400
II VI INC                       COM         902104108     407,592    22,200  SH      DEFINED     3                           22,200
ILLINOIS TOOL WKS INC           COM         452308109      92,439     1,979  SH      DEFINED     2                            1,979
ILLINOIS TOOL WKS INC           COM         452308109     292,171     6,255  SH      DEFINED     3                            6,255
ILLINOIS TOOL WKS INC           COM         452308109     643,804    13,783  SH      DEFINED     4                           13,783
ILLINOIS TOOL WORKS             COM         452308109   9,131,104   195,485  SH      SOLE        1      195,485
ILLUMINA INC                    COM         452327109      59,284     1,945  SH      SOLE        1        1,945
ILLUMINA INC                    COM         452327109      12,192       400  SH      DEFINED     2                              400
ILLUMINA INC                    COM         452327109       1,158        38  SH      DEFINED     3                               38
IMATION CORP                    COM         45245A107     125,722    21,941  SH      SOLE        1       21,941
IMATION CORP                    COM         45245A107          63        11  SH      DEFINED     3                               11
IMMERSION CORPORATION           COM         452521107     107,930    20,836  SH      SOLE        1       20,836
IMMUNOGEN INC                   COM         45253H101     635,360    54,867  SH      SOLE        1       54,867
IMMUNOGEN INC                   COM         45253H101       3,474       300  SH      DEFINED     2                              300
IMMUNOGEN INC                   COM         45253H101       3,474       300  SH      DEFINED     4                              300
IMMUNOMEDICS INC                COM         452907108     159,950    48,033  SH      SOLE        1       48,033
IMPAX LABORATORIES INC          COM         45256B101     961,726    47,681  SH      SOLE        1       47,681
IMPERIAL HOLDINGS INC           COM         452834104      24,164    12,853  SH      SOLE        1       12,853
IMPERIAL OIL LTD                COM         453038408       8,896       200  SH      DEFINED     3                              200
IMPERIAL SUGAR CO               COM         453096208      31,930     8,944  SH      SOLE        1        8,944
IMPERVA INC                     COM         45321L100     140,145     4,026  SH      SOLE        1        4,026
INCONTACT INC                   COM         45336E109      99,294    22,414  SH      SOLE        1       22,414
INCYTE CORP                     COM         45337C102     969,751    64,607  SH      SOLE        1       64,607
INCYTE CORP                     COM         45337C102       1,501       100  SH      DEFINED     3                              100
INDEPENDENCE HOLDING CO         COM         453440307      43,715     5,377  SH      SOLE        1        5,377
INDEPENDENT BANK CORP MASS      COM         453836108       5,458       200  SH      DEFINED     3                              200
INDEPENDENT BANK CORP MICH      COM         453838609         120        90  SH      DEFINED     3                               90
INDEPENDENT BANK CORP/MA        COM         453836108     476,729    17,469  SH      SOLE        1       17,469
INDEXIQ ETF TR                  COM         45409B107      80,021     2,955  SH      DEFINED     3                            2,955
INDEXIQ ETF TR                  COM         45409B628       1,762       100  SH      DEFINED     3                              100
INDUSTRIAS BACHOCO S A B DE     COM         456463108       5,740       301  SH      DEFINED     4                              301
INERGY L P                      COM         456615103      78,806     3,227  SH      DEFINED     2                            3,227
INERGY L P                      COM         456615103      58,344     2,389  SH      DEFINED     3                            2,389
INERGY L P                      COM         456615103      40,712     1,667  SH      DEFINED     4                            1,667
INFINERA CORP                   COM         45667G103     479,522    76,357  SH      SOLE        1       76,357
INFINERA CORPORATION            COM         45667G103       1,256       200  SH      DEFINED     4                              200
INFINITY PHARMACEUTICALS I      COM         45665G303     123,406    13,960  SH      SOLE        1       13,960
INFINITY PROPERTY + CASUAL      COM         45665Q103     570,577    10,056  SH      SOLE        1       10,056
INFORMATICA CORP                COM         45666Q102   8,585,745   232,487  SH      SOLE        1      232,487
INFORMATICA CORP                COM         45666Q102         259         7  SH      DEFINED     3                                7
INFOSONICS CORP                 COM         456784107         558       900  SH      DEFINED     3                              900
INFOSPACE INC                   COM         45678T300     353,076    32,127  SH      SOLE        1       32,127
INFOSYS LTD                     COM         456788108         103         2  SH      DEFINED     3                                2
INFOSYS LTD SP ADR              ADR         456788108     214,306     4,171  SH      SOLE        1        4,171
ING GLBL ADV & PREM OPP FUND    COM         44982N109     167,718    15,660  SH      DEFINED     4                           15,660
ING GLOBAL EQTY DIV & PREM O    COM         45684E107      18,403     2,130  SH      DEFINED     2                            2,130
ING GLOBAL EQTY DIV & PREM O    COM         45684E107     107,733    12,469  SH      DEFINED     3                           12,469
ING GLOBAL EQTY DIV & PREM O    COM         45684E107      12,537     1,451  SH      DEFINED     4                            1,451
ING GROEP N V                   COM         456837103      41,421     5,777  SH      DEFINED     2                            5,777
ING GROEP N V                   COM         456837103         925       129  SH      DEFINED     3                              129
ING GROEP N V                   COM         456837103       3,836       535  SH      DEFINED     4                              535
ING INFRASTRUCTURE INDLS & M    COM         45685U100      18,468     1,200  SH      DEFINED     2                            1,200
ING INTL HIGH DIVD EQTY INC     COM         45684Q100      53,160     6,000  SH      DEFINED     3                            6,000
ING PRIME RATE TR               COM         44977W106       5,100     1,000  SH      DEFINED     2                            1,000
ING PRIME RATE TR               COM         44977W106      14,391     2,822  SH      DEFINED     4                            2,822
ING RISK MANAGED NAT RES FD     COM         449810100      17,100     1,500  SH      DEFINED     3                            1,500
INGERSOLL RAND PLC              COM         G47791101   4,173,506   136,971  SH      SOLE        1      136,971
INGERSOLL-RAND PLC              COM         G47791101       2,285        75  SH      DEFINED     2                               75
INGERSOLL-RAND PLC              COM         G47791101       7,374       242  SH      DEFINED     3                              242
INGERSOLL-RAND PLC              COM         G47791101       2,377        78  SH      DEFINED     4                               78
INGLES MARKETS INC CLASS A      COM         457030104     138,582     9,202  SH      SOLE        1        9,202
INGLES MKTS INC                 COM         457030104      15,060     1,000  SH      DEFINED     4                            1,000
INGRAM MICRO INC CL A           COM         457153104   6,148,966   338,041  SH      SOLE        1      338,041
INHIBITEX INC                   COM         45719T103     507,955    46,431  SH      SOLE        1       46,431
INLAND REAL ESTATE CORP         COM         457461200     478,296    62,851  SH      SOLE        1       62,851
INLAND REAL ESTATE CORP         COM         457461200      10,251     1,347  SH      DEFINED     2                            1,347
INLAND REAL ESTATE CORP         COM         457461200     218,659    28,733  SH      DEFINED     3                           28,733
INLAND REAL ESTATE CORP         COM         457461200       7,610     1,000  SH      DEFINED     4                            1,000
INNERWORKINGS INC               COM         45773Y105     175,298    18,829  SH      SOLE        1       18,829
INNOPHOS HOLDINGS INC           COM         45774N108     769,725    15,851  SH      SOLE        1       15,851
INNOSPEC INC                    COM         45768S105     486,004    17,314  SH      SOLE        1       17,314
INNOSPEC INC                    COM         45768S105      14,035       500  SH      DEFINED     2                              500
INOVIO PHARMACEUTICALS INC      COM         45773H102         428     1,000  SH      DEFINED     4                            1,000
INPHI CORP                      COM         45772F107     188,609    15,770  SH      SOLE        1       15,770
INSIGHT ENTERPRISES INC         COM         45765U103     546,618    35,750  SH      SOLE        1       35,750
INSMED INC                      COM         457669307      55,309    18,134  SH      SOLE        1       18,134
INSMED INC                      COM         457669307          31        10  SH      DEFINED     3                               10
INSPERITY INC                   COM         45778Q107     472,220    18,628  SH      SOLE        1       18,628
INSTEEL INDUSTRIES INC          COM         45774W108     141,386    12,865  SH      SOLE        1       12,865
INSTITUTIONAL FINL MKTS INC     COM         45779L107       1,512     1,050  SH      DEFINED     3                            1,050
INSULET CORP                    COM         45784P101   6,477,802   344,015  SH      SOLE        1      344,015
INSULET CORP                    COM         45784P101      19,414     1,031  SH      DEFINED     2                            1,031
INSULET CORP                    COM         45784P101       9,415       500  SH      DEFINED     3                              500
INTEGRA LIFESCIENCES HLDGS C    COM         457985208     417,747    13,550  SH      DEFINED     2                           13,550
INTEGRA LIFESCIENCES HOLDI      COM         457985208     492,509    15,975  SH      SOLE        1       15,975
INTEGRATED DEVICE TECH INC      COM         458118106   2,274,216   416,523  SH      SOLE        1      416,523
INTEGRATED DEVICE TECHNOLOGY    COM         458118106       5,460     1,000  SH      DEFINED     3                            1,000
INTEGRATED SILICON SOLUTIO      COM         45812P107     178,687    19,550  SH      SOLE        1       19,550
INTEGRYS ENERGY GROUP INC       COM         45822P105   3,808,637    70,296  SH      SOLE        1       70,296
INTEGRYS ENERGY GROUP INC       COM         45822P105     305,142     5,632  SH      DEFINED     3                            5,632
INTEL CORP                      COM         458140100   1,550,935    63,956  SH      DEFINED     2                           63,956
INTEL CORP                      COM         458140100   3,302,197   136,173  SH      DEFINED     3                          136,173
INTEL CORP                      CNV         458140AD2       4,165         4 PRN      DEFINED     3                                4
INTEL CORP                      COM         458140100     519,850    21,437  SH      DEFINED     4                           21,437
INTER PARFUMS INC               COM         458334109     204,225    13,125  SH      SOLE        1       13,125
INTERACTIVE BROKERS GRO CL      COM         45841N107   3,140,926   210,236  SH      SOLE        1      210,236
INTERACTIVE INTELLIGENCE G      COM         45841V109     266,193    11,614  SH      SOLE        1       11,614
INTERCONTINENTALEXCHANGE I      COM         45865V100   2,749,263    22,806  SH      SOLE        1       22,806
INTERCONTINENTALEXCHANGE INC    COM         45865V100       1,206        10  SH      DEFINED     2                               10
INTERCONTINENTALEXCHANGE INC    COM         45865V100       9,282        77  SH      DEFINED     3                               77
INTERDIGITAL INC                COM         45867G101   1,443,387    33,128  SH      SOLE        1       33,128
INTERDIGITAL INC                COM         45867G101      17,487       401  SH      DEFINED     2                              401
INTERDIGITAL INC                COM         45867G101     220,029     5,050  SH      DEFINED     3                            5,050






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
INTERDIGITAL INC                COM         45867G101       8,714       200  SH      DEFINED     4                              200
INTERFACE INC CLASS A           COM         458665106     500,132    43,339  SH      SOLE        1       43,339
INTERLINE BRANDS INC            COM         458743101     379,332    24,363  SH      SOLE        1       24,363
INTERMEC INC                    COM         458786100     327,256    47,705  SH      SOLE        1       47,705
INTERMOLECULAR INC              COM         45882D109      60,609     7,064  SH      SOLE        1        7,064
INTERMUNE INC                   COM         45884X103     497,511    39,485  SH      SOLE        1       39,485
INTERMUNE INC                   COM         45884X103         781        62  SH      DEFINED     3                               62
INTERNAP NETWORK SERVICES       COM         45885A300     226,736    38,171  SH      SOLE        1       38,171
INTERNAP NETWORK SVCS CORP      COM         45885A300         594       100  SH      DEFINED     3                              100
INTERNATIONAL BANCSHARES C      COM         459044103   2,823,883   154,016  SH      SOLE        1      154,016
INTERNATIONAL BUSINESS MACHS    COM         459200101   1,810,728     9,847  SH      DEFINED     2                            9,847
INTERNATIONAL BUSINESS MACHS    COM         459200101   1,124,611     6,116  SH      DEFINED     3                            6,116
INTERNATIONAL BUSINESS MACHS    COM         459200101     953,585     5,186  SH      DEFINED     4                            5,186
INTERNATIONAL FLAVORS&FRAGRA    COM         459506101      47,178       900  SH      DEFINED     4                              900
INTERNATIONAL GAME TECHNOLOG    COM         459902102       8,067       469  SH      DEFINED     2                              469
INTERNATIONAL GAME TECHNOLOG    COM         459902102      50,534     2,938  SH      DEFINED     3                            2,938
INTERNATIONAL PAPER CO          COM         460146103  10,346,680   349,550  SH      SOLE        1      349,550
INTERNATIONAL SHIPHOLDING CO    COM         460321201     152,847     8,178  SH      DEFINED     3                            8,178
INTERNATIONAL SHIPHOLDING CO    COM         460321201     106,253     5,685  SH      DEFINED     4                            5,685
INTERNATIONAL SPEEDWAY CORP     COM         460335201      38,025     1,500  SH      DEFINED     4                            1,500
INTERNATIONAL TOWER HILL MIN    COM         46050R102       6,540     1,500  SH      DEFINED     2                            1,500
INTERNET ARCHITECTURE HOLDR     COM         46060A107       5,820       100  SH      DEFINED     2                              100
INTEROIL CORP                   COM         460951106   1,553,636    30,386  SH      DEFINED     3                           30,386
INTERPUBLIC GROUP OF COS I      COM         460690100   1,464,453   150,509  SH      SOLE        1      150,509
INTERSECTIONS INC               COM         460981301      78,373     7,067  SH      SOLE        1        7,067
INTERSIL CORP A                 COM         46069S109   2,896,620   277,454  SH      SOLE        1      277,454
INTERVAL LEISURE GROUP          COM         46113M108     445,523    32,735  SH      SOLE        1       32,735
INTERVAL LEISURE GROUP INC      COM         46113M108       2,436       179  SH      DEFINED     2                              179
INTERVAL LEISURE GROUP INC      COM         46113M108         109         8  SH      DEFINED     4                                8
INTEVAC INC                     COM         461148108     137,855    18,629  SH      SOLE        1       18,629
INTL BUSINESS MACHINES COR      COM         459200101  86,453,021   470,160  SH      SOLE        1      470,160
INTL FCSTONE INC                COM         46116V105     228,488     9,694  SH      SOLE        1        9,694
INTL FCSTONE INC                COM         46116V105     464,258    19,697  SH      DEFINED     4                           19,697
INTL FLAVORS + FRAGRANCES       COM         459506101   1,326,174    25,299  SH      SOLE        1       25,299
INTL GAME TECHNOLOGY            COM         459902102   1,660,918    96,565  SH      SOLE        1       96,565
INTL PAPER CO                   COM         460146103      45,880     1,550  SH      DEFINED     2                            1,550
INTL PAPER CO                   COM         460146103      71,780     2,425  SH      DEFINED     3                            2,425
INTL PAPER CO                   COM         460146103      59,200     2,000  SH      DEFINED     4                            2,000
INTL RECTIFIER CORP             COM         460254105   2,952,364   152,027  SH      SOLE        1      152,027
INTL SHIPHOLDING CORP           COM         460321201      74,106     3,965  SH      SOLE        1        3,965
INTL SPEEDWAY CORP CL A         COM         460335201   2,104,253    83,008  SH      SOLE        1       83,008
INTRALINKS HOLDINGS INC         COM         46118H104     145,654    23,342  SH      SOLE        1       23,342
INTREPID POTASH INC             COM         46121Y102   2,604,057   115,071  SH      SOLE        1      115,071
INTREPID POTASH INC             COM         46121Y102      67,890     3,000  SH      DEFINED     2                            3,000
INTREPID POTASH INC             COM         46121Y102       2,942       130  SH      DEFINED     3                              130
INTUIT                          COM         461202103       2,577        49  SH      DEFINED     2                               49
INTUIT                          COM         461202103      49,961       950  SH      DEFINED     3                              950
INTUIT INC                      COM         461202103   7,869,988   149,648  SH      SOLE        1      149,648
INTUITIVE SURGICAL INC          COM         46120E602  15,979,864    34,513  SH      SOLE        1       34,513
INTUITIVE SURGICAL INC          COM         46120E602     274,565       593  SH      DEFINED     2                              593
INTUITIVE SURGICAL INC          COM         46120E602     215,300       465  SH      DEFINED     3                              465
INVACARE CORP                   COM         461203101     361,272    23,628  SH      SOLE        1       23,628
INVENSENSE INC                  COM         46123D205      72,907     7,320  SH      SOLE        1        7,320
INVESCO HIGH YIELD INVST FD     COM         46133K108      15,400     2,500  SH      DEFINED     3                            2,500
INVESCO INSRD MUNI INCM TRST    COM         46132P108      27,285     1,700  SH      DEFINED     2                            1,700
INVESCO INSURED MUNI TRST       COM         46132W103      13,529       870  SH      DEFINED     4                              870
INVESCO LTD                     COM         G491BT108  12,569,329   625,651  SH      SOLE        1      625,651
INVESCO LTD                     COM         G491BT108       4,741       236  SH      DEFINED     3                              236
INVESCO MORTGAGE CAPITAL        COM         46131B100   1,184,078    84,276  SH      SOLE        1       84,276
INVESCO MORTGAGE CAPITAL INC    COM         46131B100      57,735     4,109  SH      DEFINED     2                            4,109
INVESCO MORTGAGE CAPITAL INC    COM         46131B100       1,405       100  SH      DEFINED     3                              100
INVESCO MORTGAGE CAPITAL INC    COM         46131B100      82,909     5,901  SH      DEFINED     4                            5,901
INVESCO MUNI INC OPP TRS III    COM         46133C106          31         4  SH      DEFINED     3                                4
INVESCO QUALITY MUN INVT TR     COM         46133H105      20,505     1,444  SH      DEFINED     3                            1,444
INVESCO QUALITY MUN SECS        COM         46133J101       4,910       334  SH      DEFINED     4                              334
INVESCO QUALITY MUNI INC TRS    COM         46133G107      72,778     5,415  SH      DEFINED     3                            5,415
INVESCO QUALITY MUNI INC TRS    COM         46133G107       9,408       700  SH      DEFINED     4                              700
INVESCO VAN KAMP DYN CRDT OP    COM         46132R104      22,726     2,150  SH      DEFINED     3                            2,150
INVESCO VAN KAMPEN ADVANTAGE    COM         46132E103      38,738     3,109  SH      DEFINED     3                            3,109
INVESCO VAN KAMPEN ADVANTAGE    COM         46132E103     112,699     9,045  SH      DEFINED     4                            9,045
INVESCO VAN KAMPEN OHIO QUAL    COM         46131K100      11,945       756  SH      DEFINED     2                              756
INVESCO VAN KAMPEN SR INC TR    COM         46131H107      83,417    19,490  SH      DEFINED     2                           19,490
INVESCO VAN KAMPEN SR INC TR    COM         46131H107       2,850       666  SH      DEFINED     3                              666
INVESCO VAN KAMPEN TR INVT G    COM         46131M106       6,831       456  SH      DEFINED     2                              456
INVESCO VAN KAMPEN TR INVT G    COM         46131R105         863        50  SH      DEFINED     4                               50
INVESTMENT TECHNOLOGY GROU      COM         46145F105     362,211    33,507  SH      SOLE        1       33,507
INVESTORS BANCORP INC           COM         46146P102     455,705    33,806  SH      SOLE        1       33,806
INVESTORS REAL ESTATE TRUS      COM         461730103     427,699    58,629  SH      SOLE        1       58,629
ION GEOPHYSICAL CORP            COM         462044108     654,040   106,695  SH      SOLE        1      106,695
ION GEOPHYSICAL CORP            COM         462044108       3,065       500  SH      DEFINED     2                              500
ION GEOPHYSICAL CORP            COM         462044108      58,235     9,500  SH      DEFINED     4                            9,500
IPC THE HOSPITALIST CO          COM         44984A105     610,088    13,344  SH      SOLE        1       13,344
IPG PHOTONICS CORP              COM         44980X109      15,512       458  SH      SOLE        1          458
IRELAND BK                      COM         46267Q202       2,968       700  SH      DEFINED     2                              700
IRELAND BK                      COM         46267Q202           4         1  SH      DEFINED     4                                1
IRIDIUM COMMUNICATIONS INC      COM         46269C102     245,363    31,824  SH      SOLE        1       31,824
IRIS INTERNATIONAL INC          COM         46270W105     121,541    12,999  SH      SOLE        1       12,999
IROBOT CORP                     COM         462726100     586,015    19,632  SH      SOLE        1       19,632
IRON MOUNTAIN INC               COM         462846106   2,737,843    88,891  SH      SOLE        1       88,891
IRON MTN INC                    COM         462846106       9,240       300  SH      DEFINED     2                              300
IRONWOOD PHARMACEUTICALS I      COM         46333X108     441,011    36,843  SH      SOLE        1       36,843
ISHARES GOLD TRUST              COM         464285105   1,240,788    81,470  SH      DEFINED     2                           81,470
ISHARES GOLD TRUST              COM         464285105     419,541    27,547  SH      DEFINED     3                           27,547
ISHARES GOLD TRUST              COM         464285105   1,368,994    89,888  SH      DEFINED     4                           89,888
ISHARES GOLD TRUST              COM         464285905          50        10  SH  C   DEFINED     2                               10
ISHARES INC                     COM         464286103      84,817     3,956  SH      DEFINED     2                            3,956
ISHARES INC                     COM         464286400     149,515     2,605  SH      DEFINED     2                            2,605
ISHARES INC                     COM         464286509      39,235     1,475  SH      DEFINED     2                            1,475
ISHARES INC                     COM         464286608       6,361       228  SH      DEFINED     2                              228
ISHARES INC                     COM         464286657       4,534       125  SH      DEFINED     2                              125
ISHARES INC                     COM         464286665     132,905     3,414  SH      DEFINED     2                            3,414
ISHARES INC                     COM         464286673       3,931       363  SH      DEFINED     2                              363
ISHARES INC                     COM         464286731      11,359       970  SH      DEFINED     2                              970
ISHARES INC                     COM         464286749      11,039       488  SH      DEFINED     2                              488
ISHARES INC                     COM         464286756      22,224       884  SH      DEFINED     2                              884
ISHARES INC                     COM         464286772      34,492       660  SH      DEFINED     2                              660
ISHARES INC                     COM         464286780      11,176       183  SH      DEFINED     2                              183
ISHARES INC                     COM         464286806       7,496       390  SH      DEFINED     2                              390
ISHARES INC                     COM         464286830     221,596    16,537  SH      DEFINED     2                           16,537
ISHARES INC                     COM         464286848      79,831     8,763  SH      DEFINED     2                            8,763
ISHARES INC                     COM         464286871       4,641       300  SH      DEFINED     2                              300
ISHARES INC                     COM         464286103     339,395    15,830  SH      DEFINED     3                           15,830
ISHARES INC                     COM         464286202       1,422       100  SH      DEFINED     3                              100
ISHARES INC                     COM         464286400     949,392    16,543  SH      DEFINED     3                           16,543
ISHARES INC                     COM         464286509     172,980     6,503  SH      DEFINED     3                            6,503






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ISHARES INC                     COM         464286624      63,837     1,062  SH      DEFINED     3                            1,062
ISHARES INC                     COM         464286632       7,912       200  SH      DEFINED     3                              200
ISHARES INC                     COM         464286640       4,501        78  SH      DEFINED     3                               78
ISHARES INC                     COM         464286657      59,773     1,648  SH      DEFINED     3                            1,648
ISHARES INC                     COM         464286665     254,754     6,544  SH      DEFINED     3                            6,544
ISHARES INC                     COM         464286756       2,715       108  SH      DEFINED     3                              108
ISHARES INC                     COM         464286772       1,568        30  SH      DEFINED     3                               30
ISHARES INC                     COM         464286780         611        10  SH      DEFINED     3                               10
ISHARES INC                     COM         464286806      48,723     2,535  SH      DEFINED     3                            2,535
ISHARES INC                     COM         464286822      42,847       797  SH      DEFINED     3                              797
ISHARES INC                     COM         464286830      92,078     6,872  SH      DEFINED     3                            6,872
ISHARES INC                     COM         464286848      23,757     2,608  SH      DEFINED     3                            2,608
ISHARES INC                     COM         464286871      14,743       953  SH      DEFINED     3                              953
ISHARES INC                     COM         464286103      62,176     2,900  SH      DEFINED     4                            2,900
ISHARES INC                     COM         464286400     237,767     4,143  SH      DEFINED     4                            4,143
ISHARES INC                     COM         464286509      16,359       615  SH      DEFINED     4                              615
ISHARES INC                     COM         464286624      74,657     1,242  SH      DEFINED     4                            1,242
ISHARES INC                     COM         464286640      14,428       250  SH      DEFINED     4                              250
ISHARES INC                     COM         464286657       3,990       110  SH      DEFINED     4                              110
ISHARES INC                     COM         464286665      77,432     1,989  SH      DEFINED     4                            1,989
ISHARES INC                     COM         464286673      27,075     2,500  SH      DEFINED     4                            2,500
ISHARES INC                     COM         464286707       8,909       455  SH      DEFINED     4                              455
ISHARES INC                     COM         464286715      10,079       245  SH      DEFINED     4                              245
ISHARES INC                     COM         464286731       5,855       500  SH      DEFINED     4                              500
ISHARES INC                     COM         464286756      11,942       475  SH      DEFINED     4                              475
ISHARES INC                     COM         464286772      30,677       587  SH      DEFINED     4                              587
ISHARES INC                     COM         464286780       5,741        94  SH      DEFINED     4                               94
ISHARES INC                     COM         464286806      19,278     1,003  SH      DEFINED     4                            1,003
ISHARES INC                     COM         464286822      72,845     1,355  SH      DEFINED     4                            1,355
ISHARES INC                     COM         464286830     114,838     8,570  SH      DEFINED     4                            8,570
ISHARES INC                     COM         464286848      38,262     4,200  SH      DEFINED     4                            4,200
ISHARES RUSSELL MIDCAP GRO      RUSS MCP    464287481     754,185    13,700  SH      SOLE        1       13,700
ISHARES RUSSELL MIDCAP VAL      RUSS MCP V  464287473     868,000    20,000  SH      SOLE        1       20,000
ISHARES S&P GSCI COMMODITY I    COM         46428R107      23,779       721  SH      DEFINED     2                              721
ISHARES S&P GSCI COMMODITY I    COM         46428R107     264,599     8,023  SH      DEFINED     3                            8,023
ISHARES S&P GSCI COMMODITY I    COM         46428R107     139,308     4,224  SH      DEFINED     4                            4,224
ISHARES S+P 500 GROWTH IND      S&P500 GR   464287309   2,332,732    34,600  SH      SOLE        1       34,600
ISHARES S+P 500 INDEX FUND      S&P500 IND  464287200     466,052     3,700  SH      SOLE        1        3,700
ISHARES S+P 500 VALUE INDE      S&P 500 VAL 464287408   1,943,088    33,600  SH      SOLE        1       33,600
ISHARES S+P SMALLCAP 600 I      S&P SMLCAP  464287804     607,692     8,900  SH      SOLE        1        8,900
ISHARES SILVER TRUST            COM         46428Q109   1,975,914    73,345  SH      DEFINED     2                           73,345
ISHARES SILVER TRUST            COM         46428Q109   1,374,883    51,035  SH      DEFINED     3                           51,035
ISHARES SILVER TRUST            COM         46428Q909          10        10  SH  C   DEFINED     3                               10
ISHARES SILVER TRUST            COM         46428Q109     247,902     9,202  SH      DEFINED     4                            9,202
ISHARES SILVER TRUST            COM         46428Q959       3,200        10  SH  P   DEFINED     4                               10
ISHARES TR                      COM         464287101     113,033     1,982  SH      DEFINED     2                            1,982
ISHARES TR                      COM         464287127      92,378     1,292  SH      DEFINED     2                            1,292
ISHARES TR                      COM         464287168   5,853,258   108,857  SH      DEFINED     2                          108,857
ISHARES TR                      COM         464287176  11,095,653    95,087  SH      DEFINED     2                           95,087
ISHARES TR                      COM         464287184     227,980     6,538  SH      DEFINED     2                            6,538
ISHARES TR                      COM         464287192       9,842       110  SH      DEFINED     2                              110
ISHARES TR                      COM         464287200   1,591,770    12,637  SH      DEFINED     2                           12,637
ISHARES TR                      COM         464287226   2,242,141    20,337  SH      DEFINED     2                           20,337
ISHARES TR                      COM         464287234     730,540    19,255  SH      DEFINED     2                           19,255
ISHARES TR                      COM         464287242   7,981,779    70,163  SH      DEFINED     2                           70,163
ISHARES TR                      COM         464287275      29,013       520  SH      DEFINED     2                              520
ISHARES TR                      COM         464287291     501,971     8,550  SH      DEFINED     2                            8,550
ISHARES TR                      COM         464287309       8,564       127  SH      DEFINED     2                              127
ISHARES TR                      COM         464287325       9,765       174  SH      DEFINED     2                              174
ISHARES TR                      COM         464287333      35,780     1,000  SH      DEFINED     2                            1,000
ISHARES TR                      COM         464287341     190,403     4,986  SH      DEFINED     2                            4,986
ISHARES TR                      COM         464287374     246,912     6,498  SH      DEFINED     2                            6,498
ISHARES TR                      COM         464287390      38,398       902  SH      DEFINED     2                              902
ISHARES TR                      COM         464287408      14,400       249  SH      DEFINED     2                              249
ISHARES TR                      COM         464287432   1,009,873     8,329  SH      DEFINED     2                            8,329
ISHARES TR                      COM         464287440     536,214     5,079  SH      DEFINED     2                            5,079
ISHARES TR                      COM         464287457     538,434     6,372  SH      DEFINED     2                            6,372
ISHARES TR                      COM         464287465   2,909,965    58,752  SH      DEFINED     2                           58,752
ISHARES TR                      COM         464287473      39,755       916  SH      DEFINED     2                              916
ISHARES TR                      COM         464287481      77,722     1,412  SH      DEFINED     2                            1,412
ISHARES TR                      COM         464287499     440,585     4,477  SH      DEFINED     2                            4,477
ISHARES TR                      COM         464287507     983,336    11,224  SH      DEFINED     2                           11,224
ISHARES TR                      COM         464287515         649        12  SH      DEFINED     2                               12
ISHARES TR                      COM         464287523       1,778        36  SH      DEFINED     2                               36
ISHARES TR                      COM         464287531         438        16  SH      DEFINED     2                               16
ISHARES TR                      COM         464287549       4,456        75  SH      DEFINED     2                               75
ISHARES TR                      COM         464287556     485,958     4,657  SH      DEFINED     2                            4,657
ISHARES TR                      COM         464287564     101,047     1,439  SH      DEFINED     2                            1,439
ISHARES TR                      COM         464287572      14,485       250  SH      DEFINED     2                              250
ISHARES TR                      COM         464287580      35,134       492  SH      DEFINED     2                              492
ISHARES TR                      COM         464287598     442,274     6,967  SH      DEFINED     2                            6,967
ISHARES TR                      COM         464287606   1,748,508    17,710  SH      DEFINED     2                           17,710
ISHARES TR                      COM         464287614     543,657     9,407  SH      DEFINED     2                            9,407
ISHARES TR                      COM         464287622       7,937       114  SH      DEFINED     2                              114
ISHARES TR                      COM         464287630   1,414,418    21,548  SH      DEFINED     2                           21,548
ISHARES TR                      COM         464287648     113,841     1,352  SH      DEFINED     2                            1,352
ISHARES TR                      COM         464287655     795,186    10,782  SH      DEFINED     2                           10,782
ISHARES TR                      COM         464287689     251,423     3,389  SH      DEFINED     2                            3,389
ISHARES TR                      COM         464287697      10,157       115  SH      DEFINED     2                              115
ISHARES TR                      COM         464287705      27,201       358  SH      DEFINED     2                              358
ISHARES TR                      COM         464287713       3,717       177  SH      DEFINED     2                              177
ISHARES TR                      COM         464287721     461,166     7,217  SH      DEFINED     2                            7,217
ISHARES TR                      COM         464287739      83,170     1,464  SH      DEFINED     2                            1,464
ISHARES TR                      COM         464287754         573         9  SH      DEFINED     2                                9
ISHARES TR                      COM         464287762      46,878       655  SH      DEFINED     2                              655
ISHARES TR                      COM         464287770         181         4  SH      DEFINED     2                                4
ISHARES TR                      COM         464287788       8,339       170  SH      DEFINED     2                              170
ISHARES TR                      COM         464287796     111,007     2,787  SH      DEFINED     2                            2,787
ISHARES TR                      COM         464287804     373,138     5,463  SH      DEFINED     2                            5,463
ISHARES TR                      COM         464287812     151,820     2,217  SH      DEFINED     2                            2,217
ISHARES TR                      COM         464287838      20,126       313  SH      DEFINED     2                              313
ISHARES TR                      COM         464287879      50,436       723  SH      DEFINED     2                              723
ISHARES TR                      COM         464287887     144,621     1,942  SH      DEFINED     2                            1,942
ISHARES TR                      COM         464288174       7,437       200  SH      DEFINED     2                              200
ISHARES TR                      COM         464288182      13,074       262  SH      DEFINED     2                              262
ISHARES TR                      COM         464288281     483,339     4,404  SH      DEFINED     2                            4,404
ISHARES TR                      COM         464288372      63,084     1,900  SH      DEFINED     2                            1,900
ISHARES TR                      COM         464288414     633,046     5,848  SH      DEFINED     2                            5,848
ISHARES TR                      COM         464288505       3,603        43  SH      DEFINED     2                               43
ISHARES TR                      COM         464288513   2,870,432    32,097  SH      DEFINED     2                           32,097
ISHARES TR                      COM         464288570      71,367     1,522  SH      DEFINED     2                            1,522
ISHARES TR                      COM         464288588   4,580,871    42,388  SH      DEFINED     2                           42,388
ISHARES TR                      COM         464288620      16,889       155  SH      DEFINED     2                              155
ISHARES TR                      COM         464288638   3,976,485    37,101  SH      DEFINED     2                           37,101
ISHARES TR                      COM         464288646   2,286,639    21,945  SH      DEFINED     2                           21,945






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ISHARES TR                      COM         464288653      73,259       551  SH      DEFINED     2                              551
ISHARES TR                      COM         464288661     484,016     3,966  SH      DEFINED     2                            3,966
ISHARES TR                      COM         464288679     682,765     6,194  SH      DEFINED     2                            6,194
ISHARES TR                      COM         464288687   1,902,094    53,400  SH      DEFINED     2                           53,400
ISHARES TR                      COM         464288695      37,523       656  SH      DEFINED     2                              656
ISHARES TR                      COM         464288737     681,042    10,232  SH      DEFINED     2                           10,232
ISHARES TR                      COM         464288752      25,423     2,140  SH      DEFINED     2                            2,140
ISHARES TR                      COM         464288760      13,156       215  SH      DEFINED     2                              215
ISHARES TR                      COM         464288778      14,812       700  SH      DEFINED     2                              700
ISHARES TR                      COM         464288810      17,628       300  SH      DEFINED     2                              300
ISHARES TR                      COM         464288836       8,792       115  SH      DEFINED     2                              115
ISHARES TR                      COM         464288851       3,071        50  SH      DEFINED     2                               50
ISHARES TR                      COM         464288869      25,451       570  SH      DEFINED     2                              570
ISHARES TR                      COM         464288877      10,675       250  SH      DEFINED     2                              250
ISHARES TR                      COM         464288885       2,653        51  SH      DEFINED     2                               51
ISHARES TR                      COM         464289123      20,670       750  SH      DEFINED     2                              750
ISHARES TR                      COM         464289511     458,703     7,772  SH      DEFINED     2                            7,772
ISHARES TR                      COM         464289875   2,676,409    89,512  SH      DEFINED     2                           89,512
ISHARES TR                      COM         464289883      87,639     2,986  SH      DEFINED     2                            2,986
ISHARES TR                      COM         46429B309     213,318     7,278  SH      DEFINED     2                            7,278
ISHARES TR                      COM         46429B663      11,267       203  SH      DEFINED     2                              203
ISHARES TR                      COM         46429B747   1,147,102    11,245  SH      DEFINED     2                           11,245
ISHARES TR                      COM         464287101      24,408       428  SH      DEFINED     3                              428
ISHARES TR                      COM         464287119      12,399       188  SH      DEFINED     3                              188
ISHARES TR                      COM         464287127      42,829       599  SH      DEFINED     3                              599
ISHARES TR                      COM         464287143     621,827     9,085  SH      DEFINED     3                            9,085
ISHARES TR                      COM         464287150      34,979       612  SH      DEFINED     3                              612
ISHARES TR                      COM         464287168   2,161,115    40,192  SH      DEFINED     3                           40,192
ISHARES TR                      COM         464287176   4,576,227    39,217  SH      DEFINED     3                           39,217
ISHARES TR                      COM         464287184     165,628     4,750  SH      DEFINED     3                            4,750
ISHARES TR                      COM         464287192      40,709       455  SH      DEFINED     3                              455
ISHARES TR                      COM         464287200     510,012     4,049  SH      DEFINED     3                            4,049
ISHARES TR                      COM         464287226   2,897,408    26,280  SH      DEFINED     3                           26,280
ISHARES TR                      COM         464287234     942,182    24,833  SH      DEFINED     3                           24,833
ISHARES TR                      COM         464287242   1,472,523    12,944  SH      DEFINED     3                           12,944
ISHARES TR                      COM         464287275     286,837     5,141  SH      DEFINED     3                            5,141
ISHARES TR                      COM         464287291     264,371     4,503  SH      DEFINED     3                            4,503
ISHARES TR                      COM         464287309     596,893     8,852  SH      DEFINED     3                            8,852
ISHARES TR                      COM         464287325     265,784     4,736  SH      DEFINED     3                            4,736
ISHARES TR                      COM         464287333      16,173       452  SH      DEFINED     3                              452
ISHARES TR                      COM         464287341     158,832     4,159  SH      DEFINED     3                            4,159
ISHARES TR                      COM         464287374     151,442     3,985  SH      DEFINED     3                            3,985
ISHARES TR                      COM         464287408      77,804     1,345  SH      DEFINED     3                            1,345
ISHARES TR                      COM         464287432      26,675       220  SH      DEFINED     3                              220
ISHARES TR                      COM         464287440     436,458     4,134  SH      DEFINED     3                            4,134
ISHARES TR                      COM         464287457     552,643     6,540  SH      DEFINED     3                            6,540
ISHARES TR                      COM         464287465     445,109     8,987  SH      DEFINED     3                            8,987
ISHARES TR                      COM         464287473     475,881    10,965  SH      DEFINED     3                           10,965
ISHARES TR                      COM         464287481     399,993     7,266  SH      DEFINED     3                            7,266
ISHARES TR                      COM         464287499     273,078     2,775  SH      DEFINED     3                            2,775
ISHARES TR                      COM         464287507     217,994     2,488  SH      DEFINED     3                            2,488
ISHARES TR                      COM         464287531       6,838       250  SH      DEFINED     3                              250
ISHARES TR                      COM         464287549     788,133    13,266  SH      DEFINED     3                           13,266
ISHARES TR                      COM         464287556      97,359       933  SH      DEFINED     3                              933
ISHARES TR                      COM         464287564   1,065,836    15,179  SH      DEFINED     3                           15,179
ISHARES TR                      COM         464287572      72,715     1,255  SH      DEFINED     3                            1,255
ISHARES TR                      COM         464287580       6,570        92  SH      DEFINED     3                               92
ISHARES TR                      COM         464287598   1,406,717    22,160  SH      DEFINED     3                           22,160
ISHARES TR                      COM         464287606     128,053     1,297  SH      DEFINED     3                            1,297
ISHARES TR                      COM         464287614   1,786,347    30,911  SH      DEFINED     3                           30,911
ISHARES TR                      COM         464287622     116,611     1,681  SH      DEFINED     3                            1,681
ISHARES TR                      COM         464287630     357,935     5,453  SH      DEFINED     3                            5,453
ISHARES TR                      COM         464287648     391,080     4,643  SH      DEFINED     3                            4,643
ISHARES TR                      COM         464287655     513,600     6,964  SH      DEFINED     3                            6,964
ISHARES TR                      COM         464287671     114,672     2,430  SH      DEFINED     3                            2,430
ISHARES TR                      COM         464287689     426,301     5,747  SH      DEFINED     3                            5,747
ISHARES TR                      COM         464287697     587,391     6,651  SH      DEFINED     3                            6,651
ISHARES TR                      COM         464287705     331,957     4,369  SH      DEFINED     3                            4,369
ISHARES TR                      COM         464287713      14,511       691  SH      DEFINED     3                              691
ISHARES TR                      COM         464287721      37,190       582  SH      DEFINED     3                              582
ISHARES TR                      COM         464287739     150,384     2,647  SH      DEFINED     3                            2,647
ISHARES TR                      COM         464287754      38,108       599  SH      DEFINED     3                              599
ISHARES TR                      COM         464287762     596,751     8,338  SH      DEFINED     3                            8,338
ISHARES TR                      COM         464287770       2,264        50  SH      DEFINED     3                               50
ISHARES TR                      COM         464287788      27,272       556  SH      DEFINED     3                              556
ISHARES TR                      COM         464287796     138,091     3,467  SH      DEFINED     3                            3,467
ISHARES TR                      COM         464287804     332,417     4,867  SH      DEFINED     3                            4,867
ISHARES TR                      COM         464287812     105,048     1,534  SH      DEFINED     3                            1,534
ISHARES TR                      COM         464287838      27,199       423  SH      DEFINED     3                              423
ISHARES TR                      COM         464287846     130,118     2,067  SH      DEFINED     3                            2,067
ISHARES TR                      COM         464287879   1,666,845    23,894  SH      DEFINED     3                           23,894
ISHARES TR                      COM         464287887   1,062,687    14,270  SH      DEFINED     3                           14,270
ISHARES TR                      COM         464288109      52,244       887  SH      DEFINED     3                              887
ISHARES TR                      COM         464288125     414,438     4,273  SH      DEFINED     3                            4,273
ISHARES TR                      COM         464288158      58,702       550  SH      DEFINED     3                              550
ISHARES TR                      COM         464288166       4,744        42  SH      DEFINED     3                               42
ISHARES TR                      COM         464288190       4,760       115  SH      DEFINED     3                              115
ISHARES TR                      COM         464288273         626        18  SH      DEFINED     3                               18
ISHARES TR                      COM         464288281      18,328       167  SH      DEFINED     3                              167
ISHARES TR                      COM         464288307      23,692       254  SH      DEFINED     3                              254
ISHARES TR                      COM         464288372      19,921       600  SH      DEFINED     3                              600
ISHARES TR                      COM         464288406      10,741       149  SH      DEFINED     3                              149
ISHARES TR                      COM         464288414     237,176     2,191  SH      DEFINED     3                            2,191
ISHARES TR                      COM         464288448     165,462     5,573  SH      DEFINED     3                            5,573
ISHARES TR                      COM         464288505       8,881       106  SH      DEFINED     3                              106
ISHARES TR                      COM         464288513   1,423,243    15,915  SH      DEFINED     3                           15,915
ISHARES TR                      COM         464288539     461,166    36,427  SH      DEFINED     3                           36,427
ISHARES TR                      COM         464288562      33,165       750  SH      DEFINED     3                              750
ISHARES TR                      COM         464288570       4,689       100  SH      DEFINED     3                              100
ISHARES TR                      COM         464288588     466,430     4,316  SH      DEFINED     3                            4,316
ISHARES TR                      COM         464288604      13,160       158  SH      DEFINED     3                              158
ISHARES TR                      COM         464288620     512,548     4,704  SH      DEFINED     3                            4,704
ISHARES TR                      COM         464288638     193,889     1,809  SH      DEFINED     3                            1,809
ISHARES TR                      COM         464288646     129,104     1,239  SH      DEFINED     3                            1,239
ISHARES TR                      COM         464288653      65,003       489  SH      DEFINED     3                              489
ISHARES TR                      COM         464288661   1,340,487    10,984  SH      DEFINED     3                           10,984
ISHARES TR                      COM         464288687   1,479,013    41,522  SH      DEFINED     3                           41,522
ISHARES TR                      COM         464288695     145,973     2,552  SH      DEFINED     3                            2,552
ISHARES TR                      COM         464288703      12,631       160  SH      DEFINED     3                              160
ISHARES TR                      COM         464288711      53,339     1,273  SH      DEFINED     3                            1,273
ISHARES TR                      COM         464288729      19,051       395  SH      DEFINED     3                              395
ISHARES TR                      COM         464288737      29,153       438  SH      DEFINED     3                              438
ISHARES TR                      COM         464288745       9,840       197  SH      DEFINED     3                              197
ISHARES TR                      COM         464288752     202,839    17,074  SH      DEFINED     3                           17,074
ISHARES TR                      COM         464288760     115,833     1,893  SH      DEFINED     3                            1,893






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ISHARES TR                      COM         464288794       6,276       300  SH      DEFINED     3                              300
ISHARES TR                      COM         464288802      36,788       669  SH      DEFINED     3                              669
ISHARES TR                      COM         464288828       4,237        72  SH      DEFINED     3                               72
ISHARES TR                      COM         464288836      38,225       500  SH      DEFINED     3                              500
ISHARES TR                      COM         464288844       8,308       160  SH      DEFINED     3                              160
ISHARES TR                      COM         464288851      60,867       991  SH      DEFINED     3                              991
ISHARES TR                      COM         464288869      14,703       329  SH      DEFINED     3                              329
ISHARES TR                      COM         464288877      19,343       453  SH      DEFINED     3                              453
ISHARES TR                      COM         464288885      16,851       324  SH      DEFINED     3                              324
ISHARES TR                      COM         464289446      14,293       490  SH      DEFINED     3                              490
ISHARES TR                      COM         464289511     260,809     4,419  SH      DEFINED     3                            4,419
ISHARES TR                      COM         464289636       4,042        75  SH      DEFINED     3                               75
ISHARES TR                      COM         464289842      43,243     1,127  SH      DEFINED     3                            1,127
ISHARES TR                      COM         464289875      93,796     3,137  SH      DEFINED     3                            3,137
ISHARES TR                      COM         46429B309      33,765     1,152  SH      DEFINED     3                            1,152
ISHARES TR                      COM         46429B408          71         3  SH      DEFINED     3                                3
ISHARES TR                      COM         46429B606       2,034        94  SH      DEFINED     3                               94
ISHARES TR                      COM         46429B663       7,881       142  SH      DEFINED     3                              142
ISHARES TR                      COM         464287101       8,612       151  SH      DEFINED     4                              151
ISHARES TR                      COM         464287119      10,618       161  SH      DEFINED     4                              161
ISHARES TR                      COM         464287168     673,308    12,522  SH      DEFINED     4                           12,522
ISHARES TR                      COM         464287176   1,735,858    14,876  SH      DEFINED     4                           14,876
ISHARES TR                      COM         464287184      34,033       976  SH      DEFINED     4                              976
ISHARES TR                      COM         464287200      13,226       105  SH      DEFINED     4                              105
ISHARES TR                      COM         464287226   1,052,577     9,547  SH      DEFINED     4                            9,547
ISHARES TR                      COM         464287234   2,315,896    61,041  SH      DEFINED     4                           61,041
ISHARES TR                      COM         464287242   2,962,038    26,038  SH      DEFINED     4                           26,038
ISHARES TR                      COM         464287275      36,266       650  SH      DEFINED     4                              650
ISHARES TR                      COM         464287291       4,697        80  SH      DEFINED     4                               80
ISHARES TR                      COM         464287309     347,602     5,155  SH      DEFINED     4                            5,155
ISHARES TR                      COM         464287325      28,060       500  SH      DEFINED     4                              500
ISHARES TR                      COM         464287333       2,326        65  SH      DEFINED     4                               65
ISHARES TR                      COM         464287341     118,389     3,100  SH      DEFINED     4                            3,100
ISHARES TR                      COM         464287374      41,838     1,101  SH      DEFINED     4                            1,101
ISHARES TR                      COM         464287408     202,578     3,503  SH      DEFINED     4                            3,503
ISHARES TR                      COM         464287432     154,594     1,275  SH      DEFINED     4                            1,275
ISHARES TR                      COM         464287440   3,605,849    34,156  SH      DEFINED     4                           34,156
ISHARES TR                      COM         464287457   2,383,091    28,202  SH      DEFINED     4                           28,202
ISHARES TR                      COM         464287465   2,130,582    43,016  SH      DEFINED     4                           43,016
ISHARES TR                      COM         464287473   1,052,059    24,241  SH      DEFINED     4                           24,241
ISHARES TR                      COM         464287481      59,454     1,080  SH      DEFINED     4                            1,080
ISHARES TR                      COM         464287499     177,254     1,801  SH      DEFINED     4                            1,801
ISHARES TR                      COM         464287507     145,257     1,658  SH      DEFINED     4                            1,658
ISHARES TR                      COM         464287515     340,794     6,297  SH      DEFINED     4                            6,297
ISHARES TR                      COM         464287556      77,219       740  SH      DEFINED     4                              740
ISHARES TR                      COM         464287564      59,687       850  SH      DEFINED     4                              850
ISHARES TR                      COM         464287572      17,382       300  SH      DEFINED     4                              300
ISHARES TR                      COM         464287598     169,428     2,669  SH      DEFINED     4                            2,669
ISHARES TR                      COM         464287606      17,574       178  SH      DEFINED     4                              178
ISHARES TR                      COM         464287614     258,668     4,476  SH      DEFINED     4                            4,476
ISHARES TR                      COM         464287622      62,433       900  SH      DEFINED     4                              900
ISHARES TR                      COM         464287630      69,972     1,066  SH      DEFINED     4                            1,066
ISHARES TR                      COM         464287648       6,738        80  SH      DEFINED     4                               80
ISHARES TR                      COM         464287655     807,636    10,951  SH      DEFINED     4                           10,951
ISHARES TR                      COM         464287663      49,884       600  SH      DEFINED     4                              600
ISHARES TR                      COM         464287671     627,438    13,296  SH      DEFINED     4                           13,296
ISHARES TR                      COM         464287689      30,414       410  SH      DEFINED     4                              410
ISHARES TR                      COM         464287697       8,832       100  SH      DEFINED     4                              100
ISHARES TR                      COM         464287705      12,765       168  SH      DEFINED     4                              168
ISHARES TR                      COM         464287721      27,158       425  SH      DEFINED     4                              425
ISHARES TR                      COM         464287739   1,114,215    19,613  SH      DEFINED     4                           19,613
ISHARES TR                      COM         464287762       7,157       100  SH      DEFINED     4                              100
ISHARES TR                      COM         464287796     224,731     5,642  SH      DEFINED     4                            5,642
ISHARES TR                      COM         464287804   3,388,431    49,611  SH      DEFINED     4                           49,611
ISHARES TR                      COM         464287838     173,628     2,700  SH      DEFINED     4                            2,700
ISHARES TR                      COM         464287879       3,139        45  SH      DEFINED     4                               45
ISHARES TR                      COM         464287887      37,235       500  SH      DEFINED     4                              500
ISHARES TR                      COM         464287952      27,104       352  SH  P   DEFINED     4                              352
ISHARES TR                      COM         464288109       5,890       100  SH      DEFINED     4                              100
ISHARES TR                      COM         464288158      30,205       283  SH      DEFINED     4                              283
ISHARES TR                      COM         464288174      14,651       394  SH      DEFINED     4                              394
ISHARES TR                      COM         464288208       4,258        50  SH      DEFINED     4                               50
ISHARES TR                      COM         464288224       3,501       410  SH      DEFINED     4                              410
ISHARES TR                      COM         464288281      43,900       400  SH      DEFINED     4                              400
ISHARES TR                      COM         464288323     150,440     1,390  SH      DEFINED     4                            1,390
ISHARES TR                      COM         464288356      11,079       100  SH      DEFINED     4                              100
ISHARES TR                      COM         464288414   1,814,270    16,760  SH      DEFINED     4                           16,760
ISHARES TR                      COM         464288448      55,283     1,862  SH      DEFINED     4                            1,862
ISHARES TR                      COM         464288489       2,626       104  SH      DEFINED     4                              104
ISHARES TR                      COM         464288497       2,472        81  SH      DEFINED     4                               81
ISHARES TR                      COM         464288513     365,024     4,082  SH      DEFINED     4                            4,082
ISHARES TR                      COM         464288588   2,041,010    18,886  SH      DEFINED     4                           18,886
ISHARES TR                      COM         464288620     207,896     1,908  SH      DEFINED     4                            1,908
ISHARES TR                      COM         464288638     107,180     1,000  SH      DEFINED     4                            1,000
ISHARES TR                      COM         464288646      47,619       457  SH      DEFINED     4                              457
ISHARES TR                      COM         464288653     205,776     1,548  SH      DEFINED     4                            1,548
ISHARES TR                      COM         464288661   2,193,585    17,974  SH      DEFINED     4                           17,974
ISHARES TR                      COM         464288679     123,347     1,119  SH      DEFINED     4                            1,119
ISHARES TR                      COM         464288687   2,337,433    65,621  SH      DEFINED     4                           65,621
ISHARES TR                      COM         464288695      25,168       440  SH      DEFINED     4                              440
ISHARES TR                      COM         464288703       2,209        28  SH      DEFINED     4                               28
ISHARES TR                      COM         464288711       8,380       200  SH      DEFINED     4                              200
ISHARES TR                      COM         464288760      43,873       717  SH      DEFINED     4                              717
ISHARES TR                      COM         464288778       2,962       140  SH      DEFINED     4                              140
ISHARES TR                      COM         464288802       5,558       101  SH      DEFINED     4                              101
ISHARES TR                      COM         464288810      88,786     1,511  SH      DEFINED     4                            1,511
ISHARES TR                      COM         464288828      17,537       298  SH      DEFINED     4                              298
ISHARES TR                      COM         464288851      55,278       900  SH      DEFINED     4                              900
ISHARES TR                      COM         464288869      35,452       794  SH      DEFINED     4                              794
ISHARES TR                      COM         464288885      23,925       460  SH      DEFINED     4                              460
ISHARES TR                      COM         464289511   1,070,269    18,134  SH      DEFINED     4                           18,134
ISHARES TR                      COM         464289842      72,097     1,879  SH      DEFINED     4                            1,879
ISHARES TR                      COM         464289859      19,004       575  SH      DEFINED     4                              575
ISHARES TR                      COM         46429B309      74,594     2,545  SH      DEFINED     4                            2,545
ISHARES TR                      COM         46429B606      10,820       500  SH      DEFINED     4                              500
ISHARES TR                      COM         46429B663      27,750       500  SH      DEFINED     4                              500
ISIS PHARMACEUTICALS INC        COM         464330109     524,470    72,742  SH      SOLE        1       72,742
ISIS PHARMACEUTICALS INC        COM         464330109         721       100  SH      DEFINED     2                              100
ISIS PHARMACEUTICALS INC        COM         464330109       7,210     1,000  SH      DEFINED     3                            1,000
ISLE OF CAPRI CASINOS           COM         464592104      69,611    14,906  SH      SOLE        1       14,906
ISLE OF CAPRI CASINOS INC       COM         464592104         285        61  SH      DEFINED     3                               61
ISRAMCO INC                     COM         465141406      70,036       782  SH      SOLE        1          782
ISTA PHARMACEUTICALS INC        COM         45031X204     165,097    23,418  SH      SOLE        1       23,418
ISTAR FINANCIAL INC             COM         45031U101     316,511    59,832  SH      SOLE        1       59,832
ISTAR FINL INC                  COM         45031U101      13,881     2,624  SH      DEFINED     3                            2,624






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ITAU UNIBANCO HLDG SA           COM         465562106      22,359     1,205  SH      DEFINED     3                            1,205
ITAU UNIBANCO HLDG SA           COM         465562106      16,945       913  SH      DEFINED     4                              913
ITC HLDGS CORP                  COM         465685105      34,677       457  SH      DEFINED     2                              457
ITC HLDGS CORP                  COM         465685105      48,563       640  SH      DEFINED     3                              640
ITC HLDGS CORP                  COM         465685105     601,577     7,928  SH      DEFINED     4                            7,928
ITC HOLDINGS CORP               COM         465685105      61,311       808  SH      SOLE        1          808
ITRON INC                       COM         465741106   3,208,426    89,696  SH      SOLE        1       89,696
ITRON INC                       COM         465741106       3,970       111  SH      DEFINED     2                              111
ITRON INC                       COM         465741106       1,431        40  SH      DEFINED     3                               40
ITT CORP                        COM         450911201   3,947,940   204,239  SH      SOLE        1      204,239
ITT CORP NEW                    COM         450911201      20,084     1,039  SH      DEFINED     2                            1,039
ITT CORP NEW                    COM         450911201     322,521    16,685  SH      DEFINED     3                           16,685
ITT EDUCATIONAL SERVICES I      COM         45068B109   2,494,285    43,844  SH      SOLE        1       43,844
ITT EDUCATIONAL SERVICES INC    COM         45068B109       5,405        95  SH      DEFINED     3                               95
IVANHOE MINES LTD               COM         46579N103      12,404       700  SH      DEFINED     3                              700
IVANHOE MINES LTD               COM         46579N103      14,176       800  SH      DEFINED     4                              800
IXIA                            COM         45071R109     296,393    28,201  SH      SOLE        1       28,201
IXYS CORPORATION                COM         46600W106     191,074    17,643  SH      SOLE        1       17,643
J & J SNACK FOODS CORP          COM         466032109       1,865        35  SH      DEFINED     3                               35
J + J SNACK FOODS CORP          COM         466032109     621,032    11,656  SH      SOLE        1       11,656
J.C. PENNEY CO INC              COM         708160106   1,693,808    48,188  SH      SOLE        1       48,188
J2 GLOBAL INC                   COM         48123V102   1,057,839    37,592  SH      SOLE        1       37,592
JA SOLAR HOLDINGS CO LTD        COM         466090107         871       650  SH      DEFINED     3                              650
JABIL CIRCUIT INC               COM         466313103   1,611,963    81,992  SH      SOLE        1       81,992
JABIL CIRCUIT INC               COM         466313103      13,447       684  SH      DEFINED     3                              684
JABIL CIRCUIT INC               COM         466313103       1,022        52  SH      DEFINED     4                               52
JACK HENRY + ASSOCIATES IN      COM         426281101   8,434,530   250,953  SH      SOLE        1      250,953
JACK IN THE BOX INC             COM         466367109     748,805    35,828  SH      SOLE        1       35,828
JACOBS ENGINEERING GROUP I      COM         469814107   2,109,267    51,978  SH      SOLE        1       51,978
JACOBS ENGR GROUP INC DEL       COM         469814107      15,867       391  SH      DEFINED     3                              391
JAGUAR MINING INC               COM         47009M103     393,174    61,626  SH      SOLE        1       61,626
JAKKS PACIFIC INC               COM         47012E106     311,337    22,065  SH      SOLE        1       22,065
JAMBA INC                       COM         47023A101      63,056    48,134  SH      SOLE        1       48,134
JAMES RIVER COAL CO             COM         470355207   1,647,008   238,007  SH      SOLE        1      238,007
JAMES RIVER COAL CO             COM         470355207       6,228       900  SH      DEFINED     3                              900
JANUS CAP GROUP INC             COM         47102X105       5,786       917  SH      DEFINED     4                              917
JANUS CAPITAL GROUP INC         COM         47102X105   3,066,527   485,979  SH      SOLE        1      485,979
JARDEN CORP                     COM         471109108   6,158,806   206,118  SH      SOLE        1      206,118
JARDEN CORP                     COM         471109108       1,584        53  SH      DEFINED     2                               53
JAZZ PHARMACEUTICALS INC        COM         472147107     623,025    16,128  SH      SOLE        1       16,128
JAZZ PHARMACEUTICALS INC        COM         472147107     127,479     3,300  SH      DEFINED     3                            3,300
JDA SOFTWARE GROUP INC          COM         46612K108   1,117,261    34,494  SH      SOLE        1       34,494
JDA SOFTWARE GROUP INC          COM         46612K108       4,049       125  SH      DEFINED     3                              125
JDS UNIPHASE CORP               COM         46612J507     958,016    91,764  SH      SOLE        1       91,764
JDS UNIPHASE CORP               COM         46612J507      10,377       994  SH      DEFINED     2                              994
JDS UNIPHASE CORP               COM         46612J507     108,325    10,376  SH      DEFINED     3                           10,376
JDS UNIPHASE CORP               COM         46612J507       9,834       942  SH      DEFINED     4                              942
JEFFERIES GROUP INC             COM         472319102   4,409,776   320,711  SH      SOLE        1      320,711
JEFFERIES GROUP INC NEW         COM         472319102          41         3  SH      DEFINED     3                                3
JETBLUE AIRWAYS CORP            COM         477143101   3,241,607   623,386  SH      SOLE        1      623,386
JETBLUE AIRWAYS CORP            COM         477143101      18,574     3,572  SH      DEFINED     3                            3,572
JETBLUE AIRWAYS CORP            COM         477143101       2,340       450  SH      DEFINED     4                              450
JM SMUCKER CO/THE               COM         832696405   4,681,914    59,894  SH      SOLE        1       59,894
JMP GROUP INC                   COM         46629U107      79,115    11,065  SH      SOLE        1       11,065
JOHN BEAN TECHNOLOGIES COR      COM         477839104     358,720    23,339  SH      SOLE        1       23,339
JOHN BEAN TECHNOLOGIES CORP     COM         477839104         215        14  SH      DEFINED     4                               14
JOHN HANCOCK BK &THRIFT OPP     COM         409735206       1,370       100  SH      DEFINED     4                              100
JOHNSON & JOHNSON               COM         478160104   3,062,627    46,701  SH      DEFINED     2                           46,701
JOHNSON & JOHNSON               COM         478160104   5,078,503    77,440  SH      DEFINED     3                           77,440
JOHNSON & JOHNSON               COM         478160104   1,640,448    25,014  SH      DEFINED     4                           25,014
JOHNSON CONTROLS INC            COM         478366107   8,931,701   285,723  SH      SOLE        1      285,723
JOHNSON CTLS INC                COM         478366107     200,846     6,425  SH      DEFINED     2                            6,425
JOHNSON CTLS INC                COM         478366107   1,037,700    33,196  SH      DEFINED     3                           33,196
JOHNSON CTLS INC                COM         478366107      97,187     3,109  SH      DEFINED     4                            3,109
JOHNSON OUTDOORS INC A          COM         479167108      54,124     3,526  SH      SOLE        1        3,526
JONES GROUP INC/THE             COM         48020T101  16,083,602 1,524,512  SH      SOLE        1    1,524,512
JONES LANG LASALLE INC          COM         48020Q107   5,829,624    95,162  SH      SOLE        1       95,162
JONES SODA CO                   COM         48023P106         185       500  SH      DEFINED     3                              500
JOS A BANK CLOTHIERS INC        COM         480838101   1,098,417    22,527  SH      SOLE        1       22,527
JOURNAL COMMUNICATIONS INC      COM         481130102     138,833    31,553  SH      SOLE        1       31,553
JOY GLOBAL INC                  COM         481165108   3,231,432    43,103  SH      SOLE        1       43,103
JOY GLOBAL INC                  COM         481165108     262,395     3,500  SH      DEFINED     2                            3,500
JOY GLOBAL INC                  COM         481165108      93,038     1,241  SH      DEFINED     3                            1,241
JOY GLOBAL INC                  COM         481165108      74,970     1,000  SH      DEFINED     4                            1,000
JPMORGAN CHASE & CO             COM         46625H100     393,605    11,838  SH      DEFINED     2                           11,838
JPMORGAN CHASE & CO             COM         46625H365     540,868    13,879  SH      DEFINED     2                           13,879
JPMORGAN CHASE & CO             COM         46625H100     910,212    27,375  SH      DEFINED     3                           27,375
JPMORGAN CHASE & CO             COM         46625H365   1,408,220    36,136  SH      DEFINED     3                           36,136
JPMORGAN CHASE & CO             COM         46625H100     212,320     6,386  SH      DEFINED     4                            6,386
JPMORGAN CHASE & CO             COM         46625H365     173,129     4,443  SH      DEFINED     4                            4,443
JPMORGAN CHASE + CO             COM         46625H100  58,892,001 1,771,188  SH      SOLE        1    1,771,188
JUNIPER NETWORKS INC            COM         48203R104   4,017,402   196,835  SH      SOLE        1      196,835
JUNIPER NETWORKS INC            COM         48203R104      31,676     1,552  SH      DEFINED     2                            1,552
JUNIPER NETWORKS INC            COM         48203R104      59,107     2,896  SH      DEFINED     3                            2,896
JUNIPER NETWORKS INC            COM         48203R104      52,556     2,575  SH      DEFINED     4                            2,575
K SWISS INC A                   COM         482686102      62,596    21,437  SH      SOLE        1       21,437
K12 INC                         COM         48273U102     340,573    18,984  SH      SOLE        1       18,984
KADANT INC                      COM         48282T104     203,196     8,987  SH      SOLE        1        8,987
KADANT INC                      COM         48282T104         203         9  SH      DEFINED     3                                9
KAISER ALUMINUM CORP            COM         483007704     606,901    13,228  SH      SOLE        1       13,228
KAMAN CORP                      COM         483548103     584,621    21,399  SH      SOLE        1       21,399
KANSAS CITY LIFE INS CO         COM         484836101     102,530     3,124  SH      SOLE        1        3,124
KANSAS CITY LIFE INS CO         COM         484836101      29,538       900  SH      DEFINED     2                              900
KANSAS CITY SOUTHERN            COM         485170302  16,363,206   240,600  SH      SOLE        1      240,600
KANSAS CITY SOUTHERN            COM         485170302       8,909       131  SH      DEFINED     2                              131
KANSAS CITY SOUTHERN            COM         485170302      65,494       963  SH      DEFINED     3                              963
KANSAS CITY SOUTHERN            COM         485170302     120,582     1,773  SH      DEFINED     4                            1,773
KAPSTONE PAPER AND PACKAGI      COM         48562P103     500,910    31,824  SH      SOLE        1       31,824
KAR AUCTION SERVICES INC        COM         48238T109      11,246       833  SH      SOLE        1          833
KAYDON CORP                     COM         486587108     808,921    26,522  SH      SOLE        1       26,522
KAYNE ANDERSON ENERGY DEV CO    COM         48660Q102      36,397     1,700  SH      DEFINED     2                            1,700
KAYNE ANDERSON ENRGY TTL RT     COM         48660P104       8,428       333  SH      DEFINED     3                              333
KAYNE ANDERSON ENRGY TTL RT     COM         48660P104      17,084       675  SH      DEFINED     4                              675
KAYNE ANDERSON MLP INVSMNT C    COM         486606106      34,865     1,148  SH      DEFINED     3                            1,148
KB HOME                         COM         48666K109   1,430,748   212,909  SH      SOLE        1      212,909
KB HOME                         COM         48666K109       1,344       200  SH      DEFINED     2                              200
KB HOME                         COM         48666K109       7,493     1,115  SH      DEFINED     3                            1,115
KBR INC                         COM         48242W106   9,132,665   327,688  SH      SOLE        1      327,688
KBR INC                         COM         48242W106       1,338        48  SH      DEFINED     3                               48
KBR INC                         COM         48242W106      18,004       646  SH      DEFINED     4                              646
KBW INC                         COM         482423100     366,142    24,120  SH      SOLE        1       24,120
KEARNY FINANCIAL CORP           COM         487169104      92,445     9,731  SH      SOLE        1        9,731
KEEGAN RES INC                  COM         487275109       1,532       400  SH      DEFINED     3                              400
KELLOGG CO                      COM         487836108   7,599,609   150,279  SH      SOLE        1      150,279
KELLOGG CO                      COM         487836108      64,730     1,280  SH      DEFINED     2                            1,280






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
KELLOGG CO                      COM         487836108     199,007     3,935  SH      DEFINED     3                            3,935
KELLOGG CO                      COM         487836108      69,787     1,380  SH      DEFINED     4                            1,380
KELLY SERVICES INC  A           COM         488152208     299,058    21,861  SH      SOLE        1       21,861
KELLY SVCS INC                  COM         488152208      28,660     2,095  SH      DEFINED     2                            2,095
KEMET CORP                      COM         488360207     227,320    32,244  SH      SOLE        1       32,244
KEMPER CORP                     COM         488401100   3,227,588   110,496  SH      SOLE        1      110,496
KEMPER CORP DEL                 COM         488401100       5,602       192  SH      DEFINED     3                              192
KENEXA CORP                     COM         488879107     514,963    19,287  SH      SOLE        1       19,287
KENNAMETAL INC                  COM         489170100   6,386,070   174,865  SH      SOLE        1      174,865
KENNAMETAL INC                  COM         489170100     473,957    12,978  SH      DEFINED     3                           12,978
KENNEDY WILSON HOLDINGS IN      COM         489398107     208,299    19,688  SH      SOLE        1       19,688
KENNETH COLE PRODUCTIONS A      COM         193294105      58,361     5,511  SH      SOLE        1        5,511
KENSEY NASH CORP                COM         490057106     132,162     6,887  SH      SOLE        1        6,887
KERYX BIOPHARMACEUTICALS        COM         492515101     127,649    50,454  SH      SOLE        1       50,454
KERYX BIOPHARMACEUTICALS INC    COM         492515101      44,771    17,696  SH      DEFINED     2                           17,696
KERYX BIOPHARMACEUTICALS INC    COM         492515101       8,855     3,500  SH      DEFINED     3                            3,500
KEY ENERGY SERVICES INC         COM         492914106   1,409,735    91,127  SH      SOLE        1       91,127
KEYCORP                         COM         493267108   3,600,866   468,253  SH      SOLE        1      468,253
KEYCORP NEW                     COM         493267108       4,168       542  SH      DEFINED     3                              542
KEYCORP NEW                     COM         493267405      79,273       750  SH      DEFINED     3                              750
KEYCORP NEW                     COM         493267108       1,615       210  SH      DEFINED     4                              210
KEYNOTE SYSTEMS INC             COM         493308100     219,840    10,703  SH      SOLE        1       10,703
KEYW HOLDING CORP/THE           COM         493723100      99,597    13,459  SH      SOLE        1       13,459
KFORCE INC                      COM         493732101     267,376    21,685  SH      SOLE        1       21,685
KILROY REALTY CORP              COM         49427F108   1,813,312    47,631  SH      SOLE        1       47,631
KIMBALL INTERNATIONAL B         COM         494274103     116,022    22,884  SH      SOLE        1       22,884
KIMBERLY CLARK CORP             COM         494368103  10,818,984   147,077  SH      SOLE        1      147,077
KIMBERLY CLARK CORP             COM         494368103     811,263    11,029  SH      DEFINED     2                           11,029
KIMBERLY CLARK CORP             COM         494368103   1,728,979    23,504  SH      DEFINED     3                           23,504
KIMBERLY CLARK CORP             COM         494368103     136,895     1,861  SH      DEFINED     4                            1,861
KIMCO REALTY CORP               COM         49446R109   2,194,414   135,124  SH      SOLE        1      135,124
KIMCO RLTY CORP                 COM         49446R109      48,112     2,963  SH      DEFINED     2                            2,963
KIMCO RLTY CORP                 COM         49446R109      14,389       886  SH      DEFINED     3                              886
KIMCO RLTY CORP                 COM         49446R109         796        49  SH      DEFINED     4                               49
KINDER MORGAN ENERGY PARTNER    COM         494550106   1,730,498    20,371  SH      DEFINED     2                           20,371
KINDER MORGAN ENERGY PARTNER    COM         494550106   3,530,077    41,555  SH      DEFINED     3                           41,555
KINDER MORGAN ENERGY PARTNER    COM         494550106   1,627,197    19,155  SH      DEFINED     4                           19,155
KINDER MORGAN INC DEL           COM         49456B101      37,896     1,178  SH      DEFINED     2                            1,178
KINDER MORGAN MANAGEMENT LLC    COM         49455U100         157         2  SH      DEFINED     2                                2
KINDER MORGAN MANAGEMENT LLC    COM         49455U100      58,183       741  SH      DEFINED     3                              741
KINDER MORGAN MANAGEMENT LLC    COM         49455U100     254,169     3,237  SH      DEFINED     4                            3,237
KINDRED HEALTHCARE INC          COM         494580103     498,542    42,357  SH      SOLE        1       42,357
KINROSS GOLD CORP               COM         496902404      40,082     3,516  SH      DEFINED     2                            3,516
KINROSS GOLD CORP               COM         496902404     115,140    10,100  SH      DEFINED     3                           10,100
KINROSS GOLD CORP               COM         496902904         190        10  SH  C   DEFINED     3                               10
KINROSS GOLD CORP               COM         496902404         171        15  SH      DEFINED     4                               15
KIOR INC   CL A                 COM         497217109      80,300     7,888  SH      SOLE        1        7,888
KIRBY CORP                      COM         497266106   8,028,069   121,933  SH      SOLE        1      121,933
KIRBY CORP                      COM         497266106       1,383        21  SH      DEFINED     3                               21
KIRKLAND S INC                  COM         497498105     180,947    13,605  SH      SOLE        1       13,605
KIRKLANDS INC                   COM         497498105         333        25  SH      DEFINED     2                               25
KIRKLANDS INC                   COM         497498105       1,556       117  SH      DEFINED     4                              117
KIT DIGITAL INC                 COM         482470200     237,352    28,089  SH      SOLE        1       28,089
KITE REALTY GROUP TRUST         COM         49803T102     207,631    46,038  SH      SOLE        1       46,038
KKR & CO L P DEL                COM         48248M102       8,981       700  SH      DEFINED     3                              700
KKR & CO L P DEL                COM         48248M102      86,603     6,750  SH      DEFINED     4                            6,750
KKR FINANCIAL HLDGS LLC         COM         48248A306       1,833       210  SH      DEFINED     2                              210
KKR FINANCIAL HLDGS LLC         COM         48248A306      30,555     3,500  SH      DEFINED     3                            3,500
KLA-TENCOR CORP                 COM         482480100     242,649     5,029  SH      DEFINED     2                            5,029
KMG CHEMICALS INC               COM         482564101      90,478     5,239  SH      SOLE        1        5,239
KNIGHT CAPITAL GROUP INC A      COM         499005106   4,984,021   421,660  SH      SOLE        1      421,660
KNIGHT TRANSPORTATION INC       COM         499064103     774,383    49,513  SH      SOLE        1       49,513
KNIGHTSBRIDGE TANKERS LTD       COM         G5299G106     219,486    16,056  SH      SOLE        1       16,056
KNOLL INC                       COM         498904200     518,889    34,942  SH      SOLE        1       34,942
KNOLOGY INC                     COM         499183804     311,576    21,942  SH      SOLE        1       21,942
KODIAK OIL & GAS CORP           COM         50015Q100     205,200    21,600  SH      DEFINED     2                           21,600
KODIAK OIL & GAS CORP           COM         50015Q100     235,049    24,742  SH      DEFINED     3                           24,742
KODIAK OIL + GAS CORP           COM         50015Q100   1,787,682   188,177  SH      SOLE        1      188,177
KOHLBERG CAPITAL CORP           COM         500233101      88,094    13,961  SH      SOLE        1       13,961
KOHLBERG CAPITAL CORP           COM         500233101         921       146  SH      DEFINED     2                              146
KOHLS CORP                      COM         500255104   5,748,485   116,484  SH      SOLE        1      116,484
KOHLS CORP                      COM         500255104      13,176       267  SH      DEFINED     3                              267
KOHLS CORP                      COM         500255104         740        15  SH      DEFINED     4                               15
KONINKLIJKE PHILIPS ELECTRS     COM         500472303         880        42  SH      DEFINED     4                               42
KOPIN CORP                      COM         500600101     214,490    55,281  SH      SOLE        1       55,281
KOPPERS HOLDINGS INC            COM         50060P106     576,801    16,787  SH      SOLE        1       16,787
KOPPERS HOLDINGS INC            COM         50060P106       3,436       100  SH      DEFINED     2                              100
KOPPERS HOLDINGS INC            COM         50060P106     586,422    17,067  SH      DEFINED     4                           17,067
KORN FERRY INTL                 COM         500643200     110,805     6,495  SH      DEFINED     3                            6,495
KORN/FERRY INTERNATIONAL        COM         500643200   2,352,659   137,905  SH      SOLE        1      137,905
KOSMOS ENERGY LTD               COM         G5315B107       7,699       628  SH      SOLE        1          628
KRAFT FOODS INC                 COM         50075N104     985,865    26,388  SH      DEFINED     2                           26,388
KRAFT FOODS INC                 COM         50075N104   1,027,977    27,515  SH      DEFINED     3                           27,515
KRAFT FOODS INC                 COM         50075N104     144,792     3,876  SH      DEFINED     4                            3,876
KRATON PERFORMANCE POLYMER      COM         50077C106     527,841    26,002  SH      SOLE        1       26,002
KRATOS DEFENSE & SEC SOLUTIO    COM         50077B207         358        60  SH      DEFINED     3                               60
KRATOS DEFENSE + SECURITY       COM         50077B207     144,384    24,185  SH      SOLE        1       24,185
KRISPY KREME DOUGHNUTS INC      COM         501014104     279,350    42,714  SH      SOLE        1       42,714
KRISPY KREME DOUGHNUTS INC      COM         501014104       3,597       550  SH      DEFINED     2                              550
KRISPY KREME DOUGHNUTS INC      COM         501014104         131        20  SH      DEFINED     3                               20
KROGER CO                       COM         501044101   4,340,321   179,204  SH      SOLE        1      179,204
KROGER CO                       COM         501044101      14,895       615  SH      DEFINED     2                              615
KROGER CO                       COM         501044101       4,456       184  SH      DEFINED     3                              184
KRONOS WORLDWIDE INC            COM         50105F105       6,549       363  SH      SOLE        1          363
KRONOS WORLDWIDE INC            COM         50105F105       5,412       300  SH      DEFINED     2                              300
KUBOTA CORP                     COM         501173207       6,234       150  SH      DEFINED     2                              150
KULICKE + SOFFA INDUSTRIES      COM         501242101     543,197    58,724  SH      SOLE        1       58,724
KV PHARMACEUTICAL CO CL A       COM         482740206      52,657    37,612  SH      SOLE        1       37,612
KVH INDUSTRIES INC              COM         482738101      84,530    10,865  SH      SOLE        1       10,865
KYOCERA CORP                    COM         501556203       8,459       106  SH      DEFINED     2                              106
L & L ENERGY INC                COM         50162D100       1,295       500  SH      DEFINED     3                              500
L 3 COMMUNICATIONS HOLDING      COM         502424104   3,374,608    50,609  SH      SOLE        1       50,609
L+L ENERGY INC                  COM         50162D100      42,178    16,285  SH      SOLE        1       16,285
L-3 COMMUNICATIONS HLDGS INC    COM         502424104      32,540       488  SH      DEFINED     2                              488
L-3 COMMUNICATIONS HLDGS INC    COM         502424104      16,822       252  SH      DEFINED     3                              252
L-3 COMMUNICATIONS HLDGS INC    COM         502424104      15,003       225  SH      DEFINED     4                              225
LA Z BOY INC                    COM         505336107     502,870    42,258  SH      SOLE        1       42,258
LABORATORY CORP AMER HLDGS      COM         50540R409      35,162       409  SH      DEFINED     2                              409
LABORATORY CORP AMER HLDGS      COM         50540R409      16,678       194  SH      DEFINED     4                              194
LABORATORY CRP OF AMER HLD      COM         50540R409   2,668,251    31,037  SH      SOLE        1       31,037
LACLEDE GROUP INC               COM         505597104       2,671        66  SH      DEFINED     3                               66
LACLEDE GROUP INC/THE           COM         505597104     738,942    18,259  SH      SOLE        1       18,259
LADENBURG THALMANN FINANCI      COM         50575Q102     192,800    77,742  SH      SOLE        1       77,742
LAKELAND BANCORP INC            COM         511637100     136,455    15,830  SH      SOLE        1       15,830
LAKELAND FINANCIAL CORP         COM         511656100     306,120    11,833  SH      SOLE        1       11,833






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
LAM RESEARCH CORP               COM         512807108  10,492,912   283,439  SH      SOLE        1      283,439
LAM RESEARCH CORP               COM         512807108      11,106       300  SH      DEFINED     2                              300
LAM RESEARCH CORP               COM         512807108     718,188    19,400  SH      DEFINED     3                           19,400
LAMAR ADVERTISING CO A          COM         512815101   3,538,975   128,690  SH      SOLE        1      128,690
LANCASTER COLONY CORP           COM         513847103   3,943,227    56,868  SH      SOLE        1       56,868
LANCASTER COLONY CORP           COM         513847103       2,288        33  SH      DEFINED     2                               33
LANDAUER INC                    COM         51476K103     395,314     7,676  SH      SOLE        1        7,676
LANDAUER INC                    COM         51476K103      73,130     1,420  SH      DEFINED     2                            1,420
LANDAUER INC                    COM         51476K103       5,150       100  SH      DEFINED     4                              100
LANDEC CORP                     COM         514766104     106,381    19,272  SH      SOLE        1       19,272
LANDEC CORP                     COM         514766104      60,720    11,000  SH      DEFINED     2                           11,000
LANDSTAR SYSTEM INC             COM         515098101   4,916,688   102,602  SH      SOLE        1      102,602
LANNETT CO INC                  COM         516012101      52,421    11,860  SH      SOLE        1       11,860
LAS VEGAS SANDS CORP            COM         517834107   9,961,602   233,129  SH      SOLE        1      233,129
LAS VEGAS SANDS CORP            COM         517834107      44,696     1,046  SH      DEFINED     2                            1,046
LAS VEGAS SANDS CORP            COM         517834107     594,246    13,907  SH      DEFINED     3                           13,907
LAS VEGAS SANDS CORP            COM         517834107      29,911       700  SH      DEFINED     4                              700
LASALLE HOTEL PROPERTIES        COM         517942108   1,675,792    69,219  SH      SOLE        1       69,219
LATTICE SEMICONDUCTOR CORP      COM         518415104     511,054    86,036  SH      SOLE        1       86,036
LAUDER ESTEE COS INC            COM         518439104      26,395       235  SH      DEFINED     3                              235
LAWSON PRODUCTS INC             COM         520776105      44,222     2,866  SH      SOLE        1        2,866
LAYNE CHRISTENSEN COMPANY       COM         521050104     347,052    14,341  SH      SOLE        1       14,341
LAZARD GLB TTL RET&INCM FD I    COM         52106W103      49,289     3,681  SH      DEFINED     4                            3,681
LAZARD LTD                      COM         G54050102         888        34  SH      DEFINED     2                               34
LAZARD LTD                      COM         G54050102     156,660     6,000  SH      DEFINED     3                            6,000
LAZARD LTD CL A                 COM         G54050102      48,304     1,850  SH      SOLE        1        1,850
LDK SOLAR CO LTD                COM         50183L107         838       200  SH      DEFINED     2                              200
LEAP WIRELESS INTL INC          COM         521863308     414,390    44,606  SH      SOLE        1       44,606
LEAP WIRELESS INTL INC          COM         521863308       4,645       500  SH      DEFINED     3                              500
LEAPFROG ENTERPRISES INC        COM         52186N106     169,187    30,266  SH      SOLE        1       30,266
LEAR CORP                       COM         521865204     133,609     3,357  SH      SOLE        1        3,357
LEAR CORP                       COM         521865204       3,980       100  SH      DEFINED     3                              100
LECROY CORP                     COM         52324W109     100,718    11,976  SH      SOLE        1       11,976
LEGACY RESERVES LP              COM         524707304      14,120       500  SH      DEFINED     2                              500
LEGACY RESERVES LP              COM         524707304      29,200     1,034  SH      DEFINED     3                            1,034
LEGACY RESERVES LP              COM         524707304      90,368     3,200  SH      DEFINED     4                            3,200
LEGG MASON INC                  COM         524901105   2,214,356    92,073  SH      SOLE        1       92,073
LEGG MASON INC                  COM         524901105      14,430       600  SH      DEFINED     2                              600
LEGGETT & PLATT INC             COM         524660107      71,352     3,097  SH      DEFINED     2                            3,097
LEGGETT & PLATT INC             COM         524660107       4,608       200  SH      DEFINED     3                              200
LEGGETT & PLATT INC             COM         524660107       1,267        55  SH      DEFINED     4                               55
LEGGETT + PLATT INC             COM         524660107   1,029,036    44,663  SH      SOLE        1       44,663
LENDER PROCESSING SERVICES      COM         52602E102   2,780,973   184,537  SH      SOLE        1      184,537
LENNAR CORP                     COM         526057104     109,199     5,557  SH      DEFINED     3                            5,557
LENNAR CORP A                   COM         526057104   1,048,367    53,352  SH      SOLE        1       53,352
LENNOX INTERNATIONAL INC        COM         526107107   3,806,561   112,787  SH      SOLE        1      112,787
LEUCADIA NATIONAL CORP          COM         527288104   1,494,632    65,727  SH      SOLE        1       65,727
LEUCADIA NATL CORP              COM         527288104      12,848       565  SH      DEFINED     3                              565
LEUCADIA NATL CORP              COM         527288104      10,369       456  SH      DEFINED     4                              456
LEVEL 3 COMMUNICATIONS INC      COM         52729N308      79,921     4,704  SH      SOLE        1        4,704
LEVEL 3 COMMUNICATIONS INC      COM         52729N308          85         5  SH      DEFINED     2                                5
LEVEL 3 COMMUNICATIONS INC      COM         52729N308       4,723       278  SH      DEFINED     3                              278
LEVEL 3 COMMUNICATIONS INC      COM         52729N308      12,216       719  SH      DEFINED     4                              719
LEXICON PHARMACEUTICALS IN      COM         528872104     160,662   124,544  SH      SOLE        1      124,544
LEXICON PHARMACEUTICALS INC     COM         528872104       2,580     2,000  SH      DEFINED     4                            2,000
LEXINGTON REALTY TRUST          COM         529043101     739,877    98,782  SH      SOLE        1       98,782
LEXINGTON REALTY TRUST          COM         529043101       5,730       765  SH      DEFINED     4                              765
LEXMARK INTERNATIONAL INC       COM         529771107     790,803    23,913  SH      SOLE        1       23,913
LEXMARK INTL NEW                COM         529771107       3,307       100  SH      DEFINED     2                              100
LEXMARK INTL NEW                COM         529771107         496        15  SH      DEFINED     3                               15
LHC GROUP INC                   COM         50187A107     164,981    12,859  SH      SOLE        1       12,859
LIBBEY INC                      COM         529898108     184,552    14,486  SH      SOLE        1       14,486
LIBERTY ALL STAR EQUITY FD      COM         530158104       7,343     1,740  SH      DEFINED     2                            1,740
LIBERTY ALL STAR EQUITY FD      COM         530158104          89        21  SH      DEFINED     3                               21
LIBERTY ALL STAR EQUITY FD      COM         530158104       4,625     1,096  SH      DEFINED     4                            1,096
LIBERTY GLOBAL INC              COM         530555101       5,129       125  SH      DEFINED     3                              125
LIBERTY GLOBAL INC              COM         530555101         287         7  SH      DEFINED     4                                7
LIBERTY GLOBAL INC              COM         530555309         277         7  SH      DEFINED     4                                7
LIBERTY GLOBAL INC A            COM         530555101     184,061     4,486  SH      SOLE        1        4,486
LIBERTY INTERACTIVE CORP        COM         53071M104     797,665    49,193  SH      SOLE        1       49,193
LIBERTY INTERACTIVE CORPORAT    COM         53071M104         324        20  SH      DEFINED     3                               20
LIBERTY INTERACTIVE CORPORAT    COM         53071M104         649        40  SH      DEFINED     4                               40
LIBERTY MEDIA CORP              CNV         530715AG6      12,600        24 PRN      DEFINED     3                               24
LIBERTY MEDIA CORP              CNV         530715AR2         799         1 PRN      DEFINED     4                                1
LIBERTY MEDIA CORP   LIBER      COM         530322106     291,673     3,737  SH      SOLE        1        3,737
LIBERTY MEDIA CORPORATION       COM         530322106       8,195       105  SH      DEFINED     2                              105
LIBERTY MEDIA CORPORATION       COM         530322106         546         7  SH      DEFINED     3                                7
LIBERTY MEDIA CORPORATION       COM         530322106         781        10  SH      DEFINED     4                               10
LIBERTY PPTY TR                 COM         531172104      27,329       885  SH      DEFINED     2                              885
LIBERTY PPTY TR                 COM         531172104      15,934       516  SH      DEFINED     3                              516
LIBERTY PROPERTY TRUST          COM         531172104   7,889,099   255,476  SH      SOLE        1      255,476
LIFE PARTNERS HOLDINGS INC      COM         53215T106       4,845       750  SH      DEFINED     2                              750
LIFE TECHNOLOGIES CORP          COM         53217V109   3,218,713    82,722  SH      SOLE        1       82,722
LIFE TIME FITNESS INC           COM         53217R207   5,740,386   122,789  SH      SOLE        1      122,789
LIFEPOINT HOSPITALS INC         COM         53219L109   3,939,312   106,038  SH      SOLE        1      106,038
LIFEPOINT HOSPITALS INC         COM         53219L109       1,486        40  SH      DEFINED     2                               40
LIFETIME BRANDS INC             COM         53222Q103      82,273     6,777  SH      SOLE        1        6,777
LIFEWAY FOODS INC               COM         531914109      32,294     3,350  SH      SOLE        1        3,350
LIFEWAY FOODS INC               COM         531914109      47,747     4,953  SH      DEFINED     2                            4,953
LIFEWAY FOODS INC               COM         531914109       1,928       200  SH      DEFINED     3                              200
LIGAND PHARMACEUTICALS CL       COM         53220K504     170,251    14,343  SH      SOLE        1       14,343
LILLY ELI & CO                  COM         532457108   1,023,083    24,617  SH      DEFINED     2                           24,617
LILLY ELI & CO                  COM         532457108   1,362,752    32,790  SH      DEFINED     3                           32,790
LILLY ELI & CO                  COM         532457108   2,051,806    49,370  SH      DEFINED     4                           49,370
LIMELIGHT NETWORKS INC          COM         53261M104     146,706    49,563  SH      SOLE        1       49,563
LIMELIGHT NETWORKS INC          COM         53261M104       2,960     1,000  SH      DEFINED     2                            1,000
LIMELIGHT NETWORKS INC          COM         53261M104       2,072       700  SH      DEFINED     3                              700
LIMELIGHT NETWORKS INC          COM         53261M104       2,960     1,000  SH      DEFINED     4                            1,000
LIMITED BRANDS INC              COM         532716107   4,538,608   112,481  SH      SOLE        1      112,481
LIMITED BRANDS INC              COM         532716107       8,070       200  SH      DEFINED     2                              200
LIMITED BRANDS INC              COM         532716107      86,349     2,140  SH      DEFINED     3                            2,140
LIMONEIRA CO                    COM         532746104      96,590     5,712  SH      SOLE        1        5,712
LIMONEIRA CO                    COM         532746104       1,860       110  SH      DEFINED     3                              110
LIN TV CORP CL A                COM         532774106      91,596    21,654  SH      SOLE        1       21,654
LINCOLN EDUCATIONAL SERVIC      COM         533535100     145,384    18,403  SH      SOLE        1       18,403
LINCOLN ELECTRIC HOLDINGS       COM         533900106   7,190,334   183,802  SH      SOLE        1      183,802
LINCOLN NATIONAL CORP           COM         534187109   3,326,801   171,308  SH      SOLE        1      171,308
LINCOLN NATL CORP IND           COM         534187109     162,819     8,384  SH      DEFINED     2                            8,384
LINCOLN NATL CORP IND           COM         534187109      33,736     1,737  SH      DEFINED     3                            1,737
LINDSAY CORP                    COM         535555106     562,238    10,243  SH      SOLE        1       10,243
LINDSAY CORP                    COM         535555106      19,212       350  SH      DEFINED     3                              350
LINEAR TECHNOLOGY CORP          COM         535678106   5,290,115   176,161  SH      SOLE        1      176,161
LINEAR TECHNOLOGY CORP          COM         535678106       3,003       100  SH      DEFINED     2                              100
LINEAR TECHNOLOGY CORP          COM         535678106       1,291        43  SH      DEFINED     3                               43
LINEAR TECHNOLOGY CORP          COM         535678106       2,853        95  SH      DEFINED     4                               95






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
LINKEDIN CORP                   COM         53578A108       2,520        40  SH      DEFINED     2                               40
LINKEDIN CORP   A               COM         53578A108       9,452       150  SH      SOLE        1          150
LINN ENERGY LLC                 COM         536020100     363,334     9,584  SH      DEFINED     2                            9,584
LINN ENERGY LLC                 COM         536020100     430,850    11,365  SH      DEFINED     3                           11,365
LINN ENERGY LLC                 COM         536020100     580,328    15,308  SH      DEFINED     4                           15,308
LIONBRIDGE TECHNOLOGIES IN      COM         536252109     103,020    44,987  SH      SOLE        1       44,987
LIONS GATE ENTERTAINMENT C      COM         535919203     273,903    32,921  SH      SOLE        1       32,921
LIQUIDITY SERVICES INC          COM         53635B107     568,850    15,416  SH      SOLE        1       15,416
LITHIA MOTORS INC CL A          COM         536797103     391,994    17,932  SH      SOLE        1       17,932
LITTELFUSE INC                  COM         537008104     797,064    18,545  SH      SOLE        1       18,545
LIVE NATION ENTERTAINMENT       COM         538034109     960,212   115,549  SH      SOLE        1      115,549
LIVE NATION ENTERTAINMENT IN    COM         538034109       2,152       259  SH      DEFINED     2                              259
LIVE NATION ENTERTAINMENT IN    COM         538034109          91        11  SH      DEFINED     4                               11
LIVEPERSON INC                  COM         538146101   5,604,780   446,596  SH      SOLE        1      446,596
LIZ CLAIBORNE INC               COM         539320101     665,140    77,073  SH      SOLE        1       77,073
LKQ CORP                        COM         501889208   9,638,414   320,426  SH      SOLE        1      320,426
LLOYDS BANKING GROUP PLC        COM         539439109         424       270  SH      DEFINED     2                              270
LLOYDS BANKING GROUP PLC        COM         539439109         322       205  SH      DEFINED     3                              205
LLOYDS BANKING GROUP PLC        COM         539439109         322       205  SH      DEFINED     4                              205
LMI AEROSPACE INC               COM         502079106     117,304     6,684  SH      SOLE        1        6,684
LMI AEROSPACE INC               COM         502079106       1,053        60  SH      DEFINED     2                               60
LMP CAP & INCOME FD INC         COM         50208A102       2,358       191  SH      DEFINED     2                              191
LMP CAP & INCOME FD INC         COM         50208A102      13,243     1,071  SH      DEFINED     3                            1,071
LOCKHEED MARTIN CORP            COM         539830109      26,050       322  SH      DEFINED     2                              322
LOCKHEED MARTIN CORP            COM         539830109     186,232     2,302  SH      DEFINED     3                            2,302
LOCKHEED MARTIN CORP            COM         539830109      19,416       240  SH      DEFINED     4                              240
LOEWS CORP                      COM         540424108   5,516,629   146,524  SH      SOLE        1      146,524
LOEWS CORP                      COM         540424108     348,597     9,259  SH      DEFINED     3                            9,259
LOGITECH INTL S A               COM         H50430232      55,044     7,075  SH      DEFINED     3                            7,075
LOGMEIN INC                     COM         54142L109     642,397    16,664  SH      SOLE        1       16,664
LONE PINE RESOURCES INC         COM         54222A106      90,576    12,921  SH      SOLE        1       12,921
LOOPNET INC                     COM         543524300     221,426    12,113  SH      SOLE        1       12,113
LORAL SPACE + COMMUNICATIO      COM         543881106     517,872     7,982  SH      SOLE        1        7,982
LORILLARD INC                   COM         544147101      45,600       400  SH      DEFINED     2                              400
LORILLARD INC                   COM         544147101     316,578     2,777  SH      DEFINED     3                            2,777
LOUISIANA PACIFIC CORP          COM         546347105   3,165,223   392,221  SH      SOLE        1      392,221
LOWE S COS INC                  COM         548661107   13,082,375  515,460  SH      SOLE        1      515,460
LOWES COS INC                   COM         548661107     286,058    11,271  SH      DEFINED     2                           11,271
LOWES COS INC                   COM         548661107     215,719     8,500  SH      DEFINED     3                            8,500
LOWES COS INC                   COM         548661107      51,953     2,047  SH      DEFINED     4                            2,047
LPL INVESTMENT HOLDINGS IN      COM         50213H100      19,943       653  SH      SOLE        1          653
LRAD CORP                       COM         50213V109       7,450     5,000  SH      DEFINED     3                            5,000
LSB INDS INC                    COM         502160104      14,183       506  SH      DEFINED     3                              506
LSB INDUSTRIES INC              COM         502160104     419,749    14,975  SH      SOLE        1       14,975
LSI CORP                        COM         502161102   1,093,783   183,829  SH      SOLE        1      183,829
LSI CORPORATION                 COM         502161102         500        84  SH      DEFINED     2                               84
LSI CORPORATION                 COM         502161102       4,760       800  SH      DEFINED     3                              800
LSI CORPORATION                 COM         502161102         541        91  SH      DEFINED     4                               91
LSI INDUSTRIES INC              COM         50216C108      85,356    14,226  SH      SOLE        1       14,226
LTC PPTYS INC                   COM         502175102      33,946     1,100  SH      DEFINED     2                            1,100
LTC PPTYS INC                   COM         502175102      10,963       355  SH      DEFINED     4                              355
LTC PROPERTIES INC              COM         502175102     762,767    24,717  SH      SOLE        1       24,717
LTX CREDENCE CORP               COM         502403207     193,279    36,127  SH      SOLE        1       36,127
LUBY S INC                      COM         549282101      61,949    13,736  SH      SOLE        1       13,736
LUFKIN INDS INC                 COM         549764108       6,731       100  SH      DEFINED     3                              100
LUFKIN INDUSTRIES INC           COM         549764108   1,670,702    24,821  SH      SOLE        1       24,821
LULULEMON ATHLETICA INC         COM         550021109   2,144,307    45,956  SH      SOLE        1       45,956
LULULEMON ATHLETICA INC         COM         550021109      11,618       249  SH      DEFINED     2                              249
LULULEMON ATHLETICA INC         COM         550021109      93,087     1,995  SH      DEFINED     3                            1,995
LUMBER LIQUIDATORS HOLDING      COM         55003T107     339,725    19,237  SH      SOLE        1       19,237
LUMINEX CORP                    COM         55027E102     586,054    27,605  SH      SOLE        1       27,605
LUMOS NETWORKS CORP             COM         550283105     187,532    12,225  SH      SOLE        1       12,225
LYDALL INC                      COM         550819106     132,651    13,978  SH      SOLE        1       13,978
LYONDELLBASELL INDUSTRIES N     COM         N53745100      12,996       400  SH      DEFINED     3                              400
LYONDELLBASELL INDUSTRIES N     COM         N53745100     225,806     6,950  SH      DEFINED     4                            6,950
M & T BK CORP                   COM         55261F104      33,284       436  SH      DEFINED     3                              436
M + T BANK CORP                 COM         55261F104   3,913,646    51,266  SH      SOLE        1       51,266
M D C HLDGS INC                 COM         552676108       5,360       304  SH      DEFINED     4                              304
M/I HOMES INC                   COM         55305B101     146,381    15,248  SH      SOLE        1       15,248
MAC GRAY CORP                   COM         554153106     119,780     8,686  SH      SOLE        1        8,686
MACERICH CO                     COM         554382101       1,214        24  SH      DEFINED     3                               24
MACERICH CO/THE                 COM         554382101  14,662,008   289,763  SH      SOLE        1      289,763
MAC-GRAY CORP                   COM         554153106       6,895       500  SH      DEFINED     3                              500
MACK CALI REALTY CORP           COM         554489104   5,121,170   191,876  SH      SOLE        1      191,876
MACKINAC FINL CORP              COM         554571109      15,333     2,829  SH      DEFINED     3                            2,829
MACQUARIE FT TR GB INF UT DI    COM         55607W100      22,736     1,600  SH      DEFINED     2                            1,600
MACY S INC                      COM         55616P104   5,915,521   183,826  SH      SOLE        1      183,826
MACYS INC                       COM         55616P104      38,434     1,194  SH      DEFINED     2                            1,194
MACYS INC                       COM         55616P104      44,087     1,370  SH      DEFINED     3                            1,370
MADISON CLAYMORE CALL &EQTY     COM         556582104       9,218     1,234  SH      DEFINED     3                            1,234
MADISON CLAYMORE CALL &EQTY     COM         556582104       4,986       667  SH      DEFINED     4                              667
MADISON SQUARE GARDEN CO        COM         55826P100         659        23  SH      DEFINED     4                               23
MADISON SQUARE GARDEN CO A      COM         55826P100      55,103     1,924  SH      SOLE        1        1,924
MADISON STRTG SECTOR PREM FD    COM         558268108      85,120     8,000  SH      DEFINED     3                            8,000
MADISON STRTG SECTOR PREM FD    COM         558268108       1,468       138  SH      DEFINED     4                              138
MAG SILVER CORP                 COM         55903Q104      40,626     6,100  SH      DEFINED     3                            6,100
MAGELLAN HEALTH SERVICES I      COM         559079207   1,145,280    23,151  SH      SOLE        1       23,151
MAGELLAN MIDSTREAM PRTNRS LP    COM         559080106       5,166        75  SH      DEFINED     2                               75
MAGELLAN MIDSTREAM PRTNRS LP    COM         559080106     319,465     4,638  SH      DEFINED     3                            4,638
MAGELLAN MIDSTREAM PRTNRS LP    COM         559080106     116,476     1,691  SH      DEFINED     4                            1,691
MAGIC SOFTWARE ENTERPRISES L    COM         559166103       3,878       750  SH      DEFINED     2                              750
MAGMA DESIGN AUTOMATION IN      COM         559181102     350,190    48,773  SH      SOLE        1       48,773
MAGNA INTL INC                  COM         559222401     199,860     6,000  SH      DEFINED     3                            6,000
MAGNUM HUNTER RES CORP DEL      COM         55973B102       4,705       873  SH      DEFINED     2                              873
MAGNUM HUNTER RESOURCES CO      COM         55973B102     438,423    81,340  SH      SOLE        1       81,340
MAGNUM HUNTER RESOURCES WT      COM         55973G119           0     8,134  SH      SOLE        1        8,134
MAIDEN HOLDINGS LTD             COM         G5753U112     323,410    36,919  SH      SOLE        1       36,919
MAIDENFORM BRANDS INC           COM         560305104     349,127    19,078  SH      SOLE        1       19,078
MAIN STREET CAPITAL CORP        COM         56035L104     355,876    16,755  SH      SOLE        1       16,755
MAIN STREET CAPITAL CORP        COM         56035L104     214,524    10,100  SH      DEFINED     4                           10,100
MAINSOURCE FINANCIAL GROUP      COM         56062Y102     129,863    14,707  SH      SOLE        1       14,707
MAKO SURGICAL CORP              COM         560879108     589,006    23,364  SH      SOLE        1       23,364
MAKO SURGICAL CORP              COM         560879108      17,445       692  SH      DEFINED     2                              692
MANAGED DURATION INVT GRD FU    COM         56165R103      18,521     1,243  SH      DEFINED     4                            1,243
MANHATTAN ASSOCIATES INC        COM         562750109     674,842    16,671  SH      SOLE        1       16,671
MANITOWOC COMPANY INC           COM         563571108      20,154     2,193  SH      SOLE        1        2,193
MANITOWOC INC                   COM         563571108       5,514       600  SH      DEFINED     2                              600
MANITOWOC INC                   COM         563571108     255,666    27,820  SH      DEFINED     3                           27,820
MANNKIND CORP                   COM         56400P201     141,028    56,411  SH      SOLE        1       56,411
MANPOWER INC                    COM         56418H100   6,425,133   179,724  SH      SOLE        1      179,724
MANTECH INTERNATIONAL CORP      COM         564563104   2,103,108    67,321  SH      SOLE        1       67,321
MANTECH INTL CORP               COM         564563104       5,155       165  SH      DEFINED     4                              165
MANULIFE FINL CORP              COM         56501R106       9,112       858  SH      DEFINED     2                              858
MANULIFE FINL CORP              COM         56501R106       1,274       120  SH      DEFINED     4                              120
MAP PHARMACEUTICALS INC         COM         56509R108     210,272    15,966  SH      SOLE        1       15,966






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
MARATHON OIL CORP               COM         565849106   6,183,317   211,251  SH      SOLE        1      211,251
MARATHON OIL CORP               COM         565849106      43,905     1,500  SH      DEFINED     2                            1,500
MARATHON OIL CORP               COM         565849106     187,109     6,393  SH      DEFINED     3                            6,393
MARATHON OIL CORP               COM         565849106     104,755     3,579  SH      DEFINED     4                            3,579
MARATHON PETE CORP              COM         56585A102      24,968       750  SH      DEFINED     2                              750
MARATHON PETE CORP              COM         56585A102      86,226     2,590  SH      DEFINED     3                            2,590
MARATHON PETE CORP              COM         56585A102      30,860       927  SH      DEFINED     4                              927
MARATHON PETROLEUM CORP         COM         56585A102   6,035,277   181,294  SH      SOLE        1      181,294
MARCHEX INC CLASS B             COM         56624R108      97,525    15,604  SH      SOLE        1       15,604
MARCUS CORPORATION              COM         566330106     208,948    16,570  SH      SOLE        1       16,570
MARINE PRODUCTS CORP            COM         568427108      36,992     7,458  SH      SOLE        1        7,458
MARINEMAX INC                   COM         567908108     123,443    18,933  SH      SOLE        1       18,933
MARKEL CORP                     COM         570535104     128,548       310  SH      SOLE        1          310
MARKEL CORP                     COM         570535104       2,488         6  SH      DEFINED     2                                6
MARKET VECTORS ETF TR           COM         57060U100     419,131     8,150  SH      DEFINED     2                            8,150
MARKET VECTORS ETF TR           COM         57060U308      16,643       350  SH      DEFINED     2                              350
MARKET VECTORS ETF TR           COM         57060U407       2,182       200  SH      DEFINED     2                              200
MARKET VECTORS ETF TR           COM         57060U472       5,670       380  SH      DEFINED     2                              380
MARKET VECTORS ETF TR           COM         57060U522       2,451       100  SH      DEFINED     2                              100
MARKET VECTORS ETF TR           COM         57060U589      56,390     2,283  SH      DEFINED     2                            2,283
MARKET VECTORS ETF TR           COM         57060U605     107,549     2,281  SH      DEFINED     2                            2,281
MARKET VECTORS ETF TR           COM         57060U613      18,220       500  SH      DEFINED     2                              500
MARKET VECTORS ETF TR           COM         57060U845      28,707     1,256  SH      DEFINED     2                            1,256
MARKET VECTORS ETF TR           COM         57060U878     251,204     8,430  SH      DEFINED     2                            8,430
MARKET VECTORS ETF TR           COM         57060U100     320,316     6,228  SH      DEFINED     3                            6,228
MARKET VECTORS ETF TR           COM         57060U308       9,510       200  SH      DEFINED     3                              200
MARKET VECTORS ETF TR           COM         57060U407       1,091       100  SH      DEFINED     3                              100
MARKET VECTORS ETF TR           COM         57060U472     213,505    14,310  SH      DEFINED     3                           14,310
MARKET VECTORS ETF TR           COM         57060U506       2,665       100  SH      DEFINED     3                              100
MARKET VECTORS ETF TR           COM         57060U589      49,400     2,000  SH      DEFINED     3                            2,000
MARKET VECTORS ETF TR           COM         57060U605     276,912     5,873  SH      DEFINED     3                            5,873
MARKET VECTORS ETF TR           COM         57060U753          85         3  SH      DEFINED     3                                3
MARKET VECTORS ETF TR           COM         57060U837      48,375     1,500  SH      DEFINED     3                            1,500
MARKET VECTORS ETF TR           COM         57060U100     213,743     4,156  SH      DEFINED     4                            4,156
MARKET VECTORS ETF TR           COM         57060U308      19,020       400  SH      DEFINED     4                              400
MARKET VECTORS ETF TR           COM         57060U472       3,730       250  SH      DEFINED     4                              250
MARKET VECTORS ETF TR           COM         57060U589      80,868     3,274  SH      DEFINED     4                            3,274
MARKET VECTORS ETF TR           COM         57060U605     468,671     9,940  SH      DEFINED     4                            9,940
MARKET VECTORS ETF TR           COM         57060U613      14,503       398  SH      DEFINED     4                              398
MARKET VECTORS ETF TR           COM         57060U761       3,638       250  SH      DEFINED     4                              250
MARKET VECTORS ETF TR           COM         57060U795      60,714     1,800  SH      DEFINED     4                            1,800
MARKET VECTORS ETF TR           COM         57060U837       4,838       150  SH      DEFINED     4                              150
MARKET VECTORS ETF TR           COM         57060U845      47,686     2,086  SH      DEFINED     4                            2,086
MARKET VECTORS ETF TR           COM         57060U900       5,175         9  SH  C   DEFINED     4                                9
MARKETAXESS HOLDINGS INC        COM         57060D108     631,106    20,960  SH      SOLE        1       20,960
MARKWEST ENERGY PARTNERS L P    COM         570759100      32,163       584  SH      DEFINED     2                              584
MARKWEST ENERGY PARTNERS L P    COM         570759100     187,204     3,400  SH      DEFINED     3                            3,400
MARKWEST ENERGY PARTNERS L P    COM         570759100     206,677     3,754  SH      DEFINED     4                            3,754
MARLIN BUSINESS SERVICES I      COM         571157106      80,277     6,321  SH      SOLE        1        6,321
MARRIOTT INTERNATIONAL CL       COM         571903202   3,862,750   132,422  SH      SOLE        1      132,422
MARRIOTT INTL INC NEW           COM         571903202      46,672     1,600  SH      DEFINED     3                            1,600
MARRIOTT VACATIONS WORLD        COM         57164Y107      45,920     2,676  SH      SOLE        1        2,676
MARSH & MCLENNAN COS INC        COM         571748102      20,242       640  SH      DEFINED     3                              640
MARSH & MCLENNAN COS INC        COM         571748102       1,581        50  SH      DEFINED     4                               50
MARSH + MCLENNAN COS            COM         571748102   8,865,205   280,367  SH      SOLE        1      280,367
MARTEN TRANSPORT LTD            COM         573075108     204,222    11,352  SH      SOLE        1       11,352
MARTHA STEWART LIVING A         COM         573083102      87,454    19,876  SH      SOLE        1       19,876
MARTHA STEWART LIVING OMNIME    COM         573083102         440       100  SH      DEFINED     2                              100
MARTIN MARIETTA MATERIALS       COM         573284106   7,565,810   100,329  SH      SOLE        1      100,329
MARTIN MARIETTA MATLS INC       COM         573284106     140,640     1,865  SH      DEFINED     3                            1,865
MARTIN MIDSTREAM PRTNRS L P     COM         573331105      12,194       354  SH      DEFINED     2                              354
MARTIN MIDSTREAM PRTNRS L P     COM         573331105      16,361       475  SH      DEFINED     3                              475
MARTIN MIDSTREAM PRTNRS L P     COM         573331105     124,863     3,625  SH      DEFINED     4                            3,625
MARVELL TECHNOLOGY GROUP L      COM         G5876H105   1,186,045    85,635  SH      SOLE        1       85,635
MARVELL TECHNOLOGY GROUP LTD    COM         G5876H105       2,078       150  SH      DEFINED     2                              150
MARVELL TECHNOLOGY GROUP LTD    COM         G5876H105     138,500    10,000  SH      DEFINED     3                           10,000
MASCO CORP                      COM         574599106   1,184,670   113,041  SH      SOLE        1      113,041
MASCO CORP                      COM         574599106      10,480     1,000  SH      DEFINED     3                            1,000
MASCO CORP                      COM         574599106         828        79  SH      DEFINED     4                               79
MASIMO CORPORATION              COM         574795100   3,149,656   168,566  SH      SOLE        1      168,566
MASTEC INC                      COM         576323109   9,183,206   528,682  SH      SOLE        1      528,682
MASTECH HOLDINGS INC            COM         57633B100         172        46  SH      DEFINED     3                               46
MASTERCARD INC                  COM         57636Q104     175,981       472  SH      DEFINED     2                              472
MASTERCARD INC                  COM         57636Q104     311,377       835  SH      DEFINED     3                              835
MASTERCARD INC                  COM         57636Q104      72,700       195  SH      DEFINED     4                              195
MASTERCARD INC CLASS A          COM         57636Q104  25,559,048    68,556  SH      SOLE        1       68,556
MATERION CORP                   COM         576690101     403,509    16,619  SH      SOLE        1       16,619
MATERION CORP                   COM         576690101      16,996       700  SH      DEFINED     4                              700
MATRIX SERVICE CO               COM         576853105     202,903    21,494  SH      SOLE        1       21,494
MATTEL INC                      COM         577081102   4,675,561   168,428  SH      SOLE        1      168,428
MATTEL INC                      COM         577081102       2,975       107  SH      DEFINED     3                              107
MATTEL INC                      COM         577081102     142,575     5,136  SH      DEFINED     4                            5,136
MATTHEWS INTL CORP              COM         577128101      47,145     1,500  SH      DEFINED     2                            1,500
MATTHEWS INTL CORP CLASS A      COM         577128101   2,616,736    83,256  SH      SOLE        1       83,256
MATTRESS FIRM HOLDING CORP      COM         57722W106      96,957     4,181  SH      SOLE        1        4,181
MAXIM INTEGRATED PRODS INC      COM         57772K101      47,652     1,830  SH      DEFINED     2                            1,830
MAXIM INTEGRATED PRODS INC      COM         57772K101       1,302        50  SH      DEFINED     3                               50
MAXIM INTEGRATED PRODS INC      COM         57772K101         391        15  SH      DEFINED     4                               15
MAXIM INTEGRATED PRODUCTS       COM         57772K101     533,065    20,471  SH      SOLE        1       20,471
MAXIMUS INC                     COM         577933104   1,165,367    28,183  SH      SOLE        1       28,183
MAXLINEAR INC                   COM         57776J100      12,825     2,700  SH      DEFINED     3                            2,700
MAXLINEAR INC CLASS A           COM         57776J100      55,494    11,683  SH      SOLE        1       11,683
MAXWELL TECHNOLOGIES INC        COM         577767106     331,523    20,414  SH      SOLE        1       20,414
MAXWELL TECHNOLOGIES INC        COM         577767106      16,061       989  SH      DEFINED     2                              989
MAXWELL TECHNOLOGIES INC        COM         577767106       6,496       400  SH      DEFINED     3                              400
MAXYGEN INC                     COM         577776107     115,561    20,526  SH      SOLE        1       20,526
MB FINANCIAL INC                COM         55264U108     679,776    39,753  SH      SOLE        1       39,753
MBIA INC                        COM         55262C100      54,705     4,720  SH      SOLE        1        4,720
MCCLATCHY CO CLASS A            COM         579489105     100,739    42,150  SH      SOLE        1       42,150
MCCORMICK & CO INC              COM         579780107       1,657        33  SH      DEFINED     2                               33
MCCORMICK & CO INC              COM         579780206      17,697       351  SH      DEFINED     2                              351
MCCORMICK & CO INC              COM         579780206     646,465    12,822  SH      DEFINED     3                           12,822
MCCORMICK & CO INC              COM         579780206      15,126       300  SH      DEFINED     4                              300
MCCORMICK + CO NON VTG SHR      COM         579780206   2,132,665    42,298  SH      SOLE        1       42,298
MCCORMICK + SCHMICK S SEAF      COM         579793100      85,337     9,764  SH      SOLE        1        9,764
MCDERMOTT INTL INC              COM         580037109     414,418    36,005  SH      SOLE        1       36,005
MCDERMOTT INTL INC              COM         580037109     195,670    17,000  SH      DEFINED     2                           17,000
MCDERMOTT INTL INC              COM         580037109      23,020     2,000  SH      DEFINED     4                            2,000
MCDONALD S CORP                 COM         580135101  51,013,089   508,453  SH      SOLE        1      508,453
MCDONALDS CORP                  COM         580135101   3,401,422    33,902  SH      DEFINED     2                           33,902
MCDONALDS CORP                  COM         580135101   2,159,056    21,520  SH      DEFINED     3                           21,520
MCDONALDS CORP                  COM         580135101     705,083     7,028  SH      DEFINED     4                            7,028
MCG CAPITAL CORP                COM         58047P107     224,573    56,284  SH      SOLE        1       56,284
MCG CAPITAL CORP                COM         58047P107       7,980     2,000  SH      DEFINED     3                            2,000
MCGRATH RENTCORP                COM         580589109     514,544    17,749  SH      SOLE        1       17,749






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
MCGRAW HILL COMPANIES INC       COM         580645109   4,199,119    93,376  SH      SOLE        1       93,376
MCKESSON CORP                   COM         58155Q103   6,501,745    83,452  SH      SOLE        1       83,452
MCKESSON CORP                   COM         58155Q103      20,023       257  SH      DEFINED     2                              257
MCKESSON CORP                   COM         58155Q103      44,720       574  SH      DEFINED     3                              574
MCKESSON CORP                   COM         58155Q103      33,112       425  SH      DEFINED     4                              425
MCMORAN EXPLORATION CO          COM         582411104   1,043,890    71,745  SH      SOLE        1       71,745
MCMORAN EXPLORATION CO          COM         582411104     263,355    18,100  SH      DEFINED     2                           18,100
MCMORAN EXPLORATION CO          COM         582411104      64,020     4,400  SH      DEFINED     3                            4,400
MCMORAN EXPLORATION CO          COM         582411104       1,455       100  SH      DEFINED     4                              100
MCMORAN EXPLORATION CO          COM         582411904       7,000        20  SH  C   DEFINED     2                               20
MDC HOLDINGS INC                COM         552676108   1,918,038   108,794  SH      SOLE        1      108,794
MDC PARTNERS INC A              COM         552697104     247,551    18,310  SH      SOLE        1       18,310
MDU RES GROUP INC               COM         552690109      15,022       700  SH      DEFINED     2                              700
MDU RES GROUP INC               COM         552690109      61,826     2,881  SH      DEFINED     3                            2,881
MDU RESOURCES GROUP INC         COM         552690109   8,921,523   415,728  SH      SOLE        1      415,728
MEAD JOHNSON NUTRITION CO       COM         582839106   6,024,047    87,648  SH      SOLE        1       87,648
MEAD JOHNSON NUTRITION CO       COM         582839106      15,602       227  SH      DEFINED     2                              227
MEAD JOHNSON NUTRITION CO       COM         582839106       1,443        21  SH      DEFINED     3                               21
MEADOWBROOK INSURANCE GROU      COM         58319P108     461,590    43,220  SH      SOLE        1       43,220
MEADWESTVACO CORP               COM         583334107   1,696,248    56,636  SH      SOLE        1       56,636
MEADWESTVACO CORP               COM         583334107       3,295       110  SH      DEFINED     2                              110
MEASUREMENT SPECIALTIES IN      COM         583421102     340,888    12,192  SH      SOLE        1       12,192
MECHEL OAO                      COM         583840103      15,666     1,843  SH      DEFINED     4                            1,843
MEDALLION FINANCIAL CORP        COM         583928106     122,255    10,743  SH      SOLE        1       10,743
MEDALLION FINL CORP             COM         583928106       7,169       630  SH      DEFINED     4                              630
MEDASSETS INC                   COM         584045108     321,946    34,805  SH      SOLE        1       34,805
MEDCO HEALTH SOLUTIONS INC      COM         58405U102   8,095,270   144,817  SH      SOLE        1      144,817
MEDCO HEALTH SOLUTIONS INC      COM         58405U102      22,360       400  SH      DEFINED     2                              400
MEDCO HEALTH SOLUTIONS INC      COM         58405U102      25,435       455  SH      DEFINED     3                              455
MEDCO HEALTH SOLUTIONS INC      COM         58405U102      64,397     1,152  SH      DEFINED     4                            1,152
MEDICAL ACTION IND INC          COM         58449L100      62,582    11,966  SH      SOLE        1       11,966
MEDICAL PPTYS TRUST INC         COM         58463J304       1,974       200  SH      DEFINED     2                              200
MEDICAL PPTYS TRUST INC         COM         58463J304      19,888     2,015  SH      DEFINED     3                            2,015
MEDICAL PPTYS TRUST INC         COM         58463J304      12,238     1,240  SH      DEFINED     4                            1,240
MEDICAL PROPERTIES TRUST I      COM         58463J304     897,538    90,936  SH      SOLE        1       90,936
MEDICINES CO                    COM         584688105      81,848     4,391  SH      DEFINED     3                            4,391
MEDICINES COMPANY               COM         584688105     817,196    43,841  SH      SOLE        1       43,841
MEDICIS PHARMACEUTICAL CL       COM         584690309   6,051,234   181,992  SH      SOLE        1      181,992
MEDIDATA SOLUTIONS INC          COM         58471A105     334,211    15,366  SH      SOLE        1       15,366
MEDIFAST INC                    COM         58470H101     154,007    11,225  SH      SOLE        1       11,225
MEDIFAST INC                    COM         58470H101      71,344     5,200  SH      DEFINED     3                            5,200
MEDIVATION INC                  COM         58501N101   1,055,504    22,891  SH      SOLE        1       22,891
MEDIVATION INC                  COM         58501N101      23,055       500  SH      DEFINED     2                              500
MEDLEY CAPITAL CORP             COM         58503F106      84,458     8,121  SH      SOLE        1        8,121
MEDNAX INC                      COM         58502B106   7,694,773   106,857  SH      SOLE        1      106,857
MEDQUIST HOLDINGS INC           COM         58506K102     235,142    24,443  SH      SOLE        1       24,443
MEDTOX SCIENTIFIC INC           COM         584977201      77,697     5,530  SH      SOLE        1        5,530
MEDTOX SCIENTIFIC INC           COM         584977201       8,107       577  SH      DEFINED     2                              577
MEDTRONIC INC                   COM         585055106  15,040,895   393,226  SH      SOLE        1      393,226
MEDTRONIC INC                   COM         585055106     378,886     9,906  SH      DEFINED     2                            9,906
MEDTRONIC INC                   COM         585055106     561,524    14,680  SH      DEFINED     3                           14,680
MEDTRONIC INC                   COM         585055106     230,189     6,018  SH      DEFINED     4                            6,018
MELA SCIENCES INC               COM         55277R100       3,690     1,000  SH      DEFINED     2                            1,000
MELCO CROWN ENTMT LTD           COM         585464100       4,810       500  SH      DEFINED     2                              500
MELCO CROWN ENTMT LTD           COM         585464100     115,729    12,030  SH      DEFINED     3                           12,030
MEMC ELECTR MATLS INC           COM         552715104         217        55  SH      DEFINED     3                               55
MEMC ELECTRONIC MATERIALS       COM         552715104   1,991,560   505,472  SH      SOLE        1      505,472
MEN S WEARHOUSE INC/THE         COM         587118100   1,358,692    41,922  SH      SOLE        1       41,922
MENTOR GRAPHICS CORP            COM         587200106   3,699,561   272,829  SH      SOLE        1      272,829
MERCADOLIBRE INC                COM         58733R102   7,991,145   100,467  SH      SOLE        1      100,467
MERCADOLIBRE INC                COM         58733R102     189,862     2,387  SH      DEFINED     2                            2,387
MERCHANTS BANCSHARES INC        COM         588448100     102,550     3,512  SH      SOLE        1        3,512
MERCK & CO INC NEW              COM         58933Y105     346,452     9,190  SH      DEFINED     2                            9,190
MERCK & CO INC NEW              COM         58933Y105   1,031,644    27,365  SH      DEFINED     3                           27,365
MERCK & CO INC NEW              COM         58933Y105     753,949    19,999  SH      DEFINED     4                           19,999
MERCURY COMPUTER SYSTEMS I      COM         589378108     327,280    24,626  SH      SOLE        1       24,626
MERCURY GENERAL CORP            COM         589400100   5,733,841   125,687  SH      SOLE        1      125,687
MERCURY GENL CORP NEW           COM         589400100      79,835     1,750  SH      DEFINED     2                            1,750
MEREDITH CORP                   COM         589433101   3,511,148   107,539  SH      SOLE        1      107,539
MERGE HEALTHCARE INC            COM         589499102     197,487    40,719  SH      SOLE        1       40,719
MERIDIAN BIOSCIENCE INC         COM         589584101     629,821    33,430  SH      SOLE        1       33,430
MERIDIAN BIOSCIENCE INC         COM         589584101         980        52  SH      DEFINED     2                               52
MERIDIAN BIOSCIENCE INC         COM         589584101      18,840     1,000  SH      DEFINED     3                            1,000
MERIDIAN INTERSTATE BANCOR      COM         58964Q104      79,879     6,416  SH      SOLE        1        6,416
MERIT MEDICAL SYSTEMS INC       COM         589889104     456,753    34,137  SH      SOLE        1       34,137
MERITAGE HOMES CORP             COM         59001A102     528,013    22,769  SH      SOLE        1       22,769
MERITOR INC                     COM         59001K100     366,995    68,984  SH      SOLE        1       68,984
MERITOR INC                     COM         59001K100          85        16  SH      DEFINED     3                               16
MERU NETWORKS INC               COM         59047Q103      32,495     7,868  SH      SOLE        1        7,868
MESA RTY TR                     COM         590660106      12,009       300  SH      DEFINED     2                              300
MESABI TR                       COM         590672101       5,020       200  SH      DEFINED     2                              200
MET PRO CORP                    COM         590876306      96,791    10,707  SH      SOLE        1       10,707
METABOLIX INC                   COM         591018809     113,136    24,865  SH      SOLE        1       24,865
METALICO INC                    COM         591176102      96,420    29,307  SH      SOLE        1       29,307
METALS USA HOLDINGS CORP        COM         59132A104      95,220     8,464  SH      SOLE        1        8,464
METHODE ELECTRONICS INC         COM         591520200     249,570    30,105  SH      SOLE        1       30,105
METLIFE INC                     COM         59156R108  12,695,311   407,162  SH      SOLE        1      407,162
METLIFE INC                     COM         59156R108     119,170     3,822  SH      DEFINED     2                            3,822
METLIFE INC                     COM         59156R108     149,298     4,788  SH      DEFINED     3                            4,788
METLIFE INC                     COM         59156R108      28,997       930  SH      DEFINED     4                              930
METRO BANCORP INC               COM         59161R101      84,814    10,121  SH      SOLE        1       10,121
METRO HEALTH NETWORKS INC       COM         592142103     230,946    30,916  SH      SOLE        1       30,916
METROPCS COMMUNICATIONS IN      COM         591708102   1,167,174   134,467  SH      SOLE        1      134,467
METROPCS COMMUNICATIONS INC     COM         591708102      13,888     1,600  SH      DEFINED     3                            1,600
METROPCS COMMUNICATIONS INC     COM         591708102       1,736       200  SH      DEFINED     4                              200
METTLER TOLEDO INTERNATION      COM         592688105  10,194,058    69,014  SH      SOLE        1       69,014
METTLER TOLEDO INTERNATIONAL    COM         592688105       3,693        25  SH      DEFINED     4                               25
MFA FINANCIAL INC               COM         55272X102   1,747,603   260,060  SH      SOLE        1      260,060
MFA FINANCIAL INC               COM         55272X102      29,568     4,400  SH      DEFINED     4                            4,400
MFC INDL LTD                    COM         55278T105           7         1  SH      DEFINED     4                                1
MFS GOVT MKTS INCOME TR         COM         552939100       6,960     1,000  SH      DEFINED     3                            1,000
MFS HIGH INCOME MUN TR          COM         59318D104       5,350     1,000  SH      DEFINED     3                            1,000
MFS HIGH YIELD MUN TR           COM         59318E102       3,777       802  SH      DEFINED     3                              802
MFS INTER INCOME TR             COM         55273C107      23,310     3,700  SH      DEFINED     2                            3,700
MFS INTER INCOME TR             COM         55273C107      51,849     8,230  SH      DEFINED     3                            8,230
MFS INTERMARKET INCOME TRUST    COM         59318R103       5,030       609  SH      DEFINED     4                              609
MFS INTERMEDIATE HIGH INC FD    COM         59318T109      51,744    17,600  SH      DEFINED     2                           17,600
MFS INTERMEDIATE HIGH INC FD    COM         59318T109       6,345     2,158  SH      DEFINED     3                            2,158
MFS INTERMEDIATE HIGH INC FD    COM         59318T109       1,485       505  SH      DEFINED     4                              505
MFS INVT GRADE MUN TR           COM         59318B108       4,900       502  SH      DEFINED     4                              502
MFS MULTIMARKET INCOME TR       COM         552737108       1,116       166  SH      DEFINED     2                              166
MFS MULTIMARKET INCOME TR       COM         552737108       6,720     1,000  SH      DEFINED     3                            1,000
MFS MUN INCOME TR               COM         552738106       8,020     1,128  SH      DEFINED     3                            1,128
MFS SPL VALUE TR                COM         55274E102         965       150  SH      DEFINED     3                              150
MFS SPL VALUE TR                COM         55274E102       3,215       500  SH      DEFINED     4                              500






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
MGE ENERGY INC                  COM         55277P104     789,571    16,882  SH      SOLE        1       16,882
MGE ENERGY INC                  COM         55277P104      10,757       230  SH      DEFINED     2                              230
MGIC INVESTMENT CORP            COM         552848103     511,267   137,069  SH      SOLE        1      137,069
MGIC INVT CORP WIS              COM         552848103      14,995     4,020  SH      DEFINED     4                            4,020
MGM RESORTS INTERNATIONAL       COM         552953101     104,895    10,057  SH      SOLE        1       10,057
MGM RESORTS INTERNATIONAL       COM         552953101      20,339     1,950  SH      DEFINED     2                            1,950
MGM RESORTS INTERNATIONAL       COM         552953101      43,253     4,147  SH      DEFINED     3                            4,147
MGP INGREDIENTS INC             COM         55302G103      44,261     8,782  SH      SOLE        1        8,782
MHI HOSPITALITY CORP            COM         55302L102       9,520     4,000  SH      DEFINED     4                            4,000
MICHAEL BAKER CORP              COM         057149106     119,719     6,105  SH      SOLE        1        6,105
MICHAEL KORS HOLDINGS LTD       COM         G60754101     327,000    12,000  SH      SOLE        1       12,000
MICREL INC                      COM         594793101     414,803    41,029  SH      SOLE        1       41,029
MICREL INC                      COM         594793101      17,571     1,738  SH      DEFINED     3                            1,738
MICROCHIP TECHNOLOGY INC        COM         595017104   2,989,045    81,601  SH      SOLE        1       81,601
MICROCHIP TECHNOLOGY INC        COM         595017104      32,674       892  SH      DEFINED     2                              892
MICROCHIP TECHNOLOGY INC        COM         595017104      25,128       686  SH      DEFINED     3                              686
MICROCHIP TECHNOLOGY INC        COM         595017104      15,385       420  SH      DEFINED     4                              420
MICROMET INC                    COM         59509C105     480,666    66,852  SH      SOLE        1       66,852
MICRON TECHNOLOGY INC           COM         595112103   3,082,207   490,017  SH      SOLE        1      490,017
MICRON TECHNOLOGY INC           COM         595112103       6,290     1,000  SH      DEFINED     2                            1,000
MICRON TECHNOLOGY INC           COM         595112103      97,331    15,474  SH      DEFINED     3                           15,474
MICRON TECHNOLOGY INC           COM         595112103       5,535       880  SH      DEFINED     4                              880
MICROS SYSTEMS INC              COM         594901100   8,160,164   175,186  SH      SOLE        1      175,186
MICROSEMI CORP                  COM         595137100   1,179,753    70,433  SH      SOLE        1       70,433
MICROSOFT CORP                  COM         594918104     864,191    33,289  SH      DEFINED     2                           33,289
MICROSOFT CORP                  COM         594918104   2,727,193   105,054  SH      DEFINED     3                          105,054
MICROSOFT CORP                  COM         594918104   2,042,806    78,691  SH      DEFINED     4                           78,691
MICROSTRATEGY INC CL A          COM         594972408     705,705     6,515  SH      SOLE        1        6,515
MICROVISION INC                 COM         594960106      32,363    89,873  SH      SOLE        1       89,873
MICROVISION INC DEL             COM         594960106         581     1,613  SH      DEFINED     3                            1,613
MICROVISION INC DEL             COM         594960106         360     1,000  SH      DEFINED     4                            1,000
MID AMERICA APARTMENT COMM      COM         59522J103   1,876,312    29,997  SH      SOLE        1       29,997
MIDAS INC                       COM         595626102      10,445     1,216  SH      SOLE        1        1,216
MIDDLEBY CORP                   COM         596278101   1,287,125    13,687  SH      SOLE        1       13,687
MIDDLESEX WATER CO              COM         596680108     212,500    11,388  SH      SOLE        1       11,388
MIDDLESEX WATER CO              COM         596680108       1,866       100  SH      DEFINED     3                              100
MIDSOUTH BANCORP INC            COM         598039105      72,661     5,585  SH      SOLE        1        5,585
MIDWAY GOLD CORP                COM         598153104   3,106,323 1,472,191  SH      SOLE        1    1,472,191
MILLER ENERGY RESOURCES IN      COM         600527105      63,294    22,686  SH      SOLE        1       22,686
MILLER INDUSTRIES INC/TENN      COM         600551204     128,750     8,185  SH      SOLE        1        8,185
MINDSPEED TECHNOLOGIES INC      COM         602682205     112,022    24,459  SH      SOLE        1       24,459
MINDSPEED TECHNOLOGIES INC      COM         602682205       8,702     1,900  SH      DEFINED     2                            1,900
MINDSPEED TECHNOLOGIES INC      COM         602682205       1,205       263  SH      DEFINED     3                              263
MINE SAFETY APPLIANCES CO       COM         602720104   2,869,351    86,635  SH      SOLE        1       86,635
MINEFINDERS CORP LTD            COM         602900102         742        70  SH      DEFINED     2                               70
MINEFINDERS CORP LTD            COM         602900102       9,233       871  SH      DEFINED     3                              871
MINERALS TECHNOLOGIES INC       COM         603158106   2,919,379    51,643  SH      SOLE        1       51,643
MIPS TECHNOLOGIES INC           COM         604567107     171,161    38,377  SH      SOLE        1       38,377
MIPS TECHNOLOGIES INC           COM         604567107         491       110  SH      DEFINED     2                              110
MISSION WEST PROPERTIES         COM         605203108     116,674    12,935  SH      SOLE        1       12,935
MISTRAS GROUP INC               COM         60649T107     274,018    10,750  SH      SOLE        1       10,750
MITCHAM INDS INC                COM         606501104      15,943       730  SH      DEFINED     2                              730
MITCHAM INDUSTRIES INC          COM         606501104     191,799     8,782  SH      SOLE        1        8,782
MITEK SYS INC                   COM         606710200      14,500     2,000  SH      DEFINED     3                            2,000
MITSUBISHI UFJ FINL GROUP IN    COM         606822104         210        50  SH      DEFINED     3                               50
MITSUBISHI UFJ FINL GROUP IN    COM         606822104         377        90  SH      DEFINED     4                               90
MIZUHO FINL GROUP INC           COM         60687Y109      50,330    18,780  SH      DEFINED     2                           18,780
MKS INSTRUMENT INC              COM         55306N104      15,078       542  SH      DEFINED     4                              542
MKS INSTRUMENTS INC             COM         55306N104   1,185,132    42,600  SH      SOLE        1       42,600
MLP & STRATEGIC EQUITY FD IN    COM         55312N106          51         3  SH      DEFINED     3                                3
MOBILE MINI INC                 COM         60740F105     520,097    29,805  SH      SOLE        1       29,805
MOBILE TELESYSTEMS OJSC         COM         607409109      37,228     2,536  SH      DEFINED     2                            2,536
MOD PAC CORP                    COM         607495108       1,787       268  SH      DEFINED     3                              268
MODINE MANUFACTURING CO         COM         607828100     321,536    33,989  SH      SOLE        1       33,989
MODUSLINK GLOBAL SOLUTIONS      COM         60786L107     172,724    31,986  SH      SOLE        1       31,986
MOHAWK INDUSTRIES INC           COM         608190104   7,523,923   125,713  SH      SOLE        1      125,713
MOLEX INC                       COM         608554101   1,297,769    54,391  SH      SOLE        1       54,391
MOLEX INC                       COM         608554101      14,316       600  SH      DEFINED     2                              600
MOLINA HEALTHCARE INC           COM         60855R100   1,253,629    56,141  SH      SOLE        1       56,141
MOLSON COORS BREWING CO         COM         60871R209       5,225       120  SH      DEFINED     2                              120
MOLSON COORS BREWING CO         COM         60871R209     288,365     6,623  SH      DEFINED     3                            6,623
MOLSON COORS BREWING CO  B      COM         60871R209   2,245,053    51,563  SH      SOLE        1       51,563
MOLYCORP INC                    COM         608753109      22,349       932  SH      SOLE        1          932
MOLYCORP INC DEL                COM         608753109       1,199        50  SH      DEFINED     2                               50
MOLYCORP INC DEL                COM         608753109      54,986     2,293  SH      DEFINED     3                            2,293
MOLYCORP INC DEL                COM         608753208      22,476       400  SH      DEFINED     3                              400
MOLYCORP INC DEL                COM         608753109       9,352       390  SH      DEFINED     4                              390
MOMENTA PHARMACEUTICALS IN      COM         60877T100     585,834    33,688  SH      SOLE        1       33,688
MONARCH CASINO + RESORT IN      COM         609027107      76,150     7,473  SH      SOLE        1        7,473
MONEYGRAM INTERNATIONAL IN      COM         60935Y208     135,539     7,636  SH      SOLE        1        7,636
MONEYGRAM INTL INC              COM         60935Y208      25,578     1,441  SH      DEFINED     4                            1,441
MONMOUTH REIT CLASS A           COM         609720107     346,117    37,827  SH      SOLE        1       37,827
MONOLITHIC POWER SYSTEMS I      COM         609839105     367,407    24,380  SH      SOLE        1       24,380
MONOTYPE IMAGING HOLDINGS       COM         61022P100     454,620    29,161  SH      SOLE        1       29,161
MONOTYPE IMAGING HOLDINGS IN    COM         61022P100       3,118       200  SH      DEFINED     2                              200
MONRO MUFFLER BRAKE INC         COM         610236101     964,630    24,868  SH      SOLE        1       24,868
MONSANTO CO                     COM         61166W101  11,137,837   158,953  SH      SOLE        1      158,953
MONSANTO CO NEW                 COM         61166W101     101,153     1,444  SH      DEFINED     2                            1,444
MONSANTO CO NEW                 COM         61166W101     370,236     5,284  SH      DEFINED     3                            5,284
MONSANTO CO NEW                 COM         61166W101     474,934     6,778  SH      DEFINED     4                            6,778
MONSTER WORLDWIDE INC           COM         611742107   2,633,601   332,106  SH      SOLE        1      332,106
MONSTER WORLDWIDE INC           COM         611742107       3,965       500  SH      DEFINED     2                              500
MONSTER WORLDWIDE INC           COM         611742107         119        15  SH      DEFINED     3                               15
MONSTER WORLDWIDE INC           COM         611742107       1,586       200  SH      DEFINED     4                              200
MONSTER WORLDWIDE INC           COM         611742907          25         5  SH  C   DEFINED     4                                5
MONTPELIER RE HOLDINGS LTD      COM         G62185106     808,530    45,551  SH      SOLE        1       45,551
MOODY S CORP                    COM         615369105   2,258,985    67,072  SH      SOLE        1       67,072
MOODYS CORP                     COM         615369105      13,350       396  SH      DEFINED     3                              396
MOODYS CORP                     COM         615369105      10,104       300  SH      DEFINED     4                              300
MOOG INC                        COM         615394301      12,276       279  SH      DEFINED     3                              279
MOOG INC CLASS A                COM         615394202   1,624,883    36,988  SH      SOLE        1       36,988
MORGAN STANLEY                  COM         617446448   8,597,078   568,214  SH      SOLE        1      568,214
MORGAN STANLEY                  COM         617446448     118,649     7,842  SH      DEFINED     2                            7,842
MORGAN STANLEY                  COM         617446448      22,650     1,497  SH      DEFINED     3                            1,497
MORGAN STANLEY                  COM         617480280     610,794    13,377  SH      DEFINED     3                           13,377
MORGAN STANLEY                  COM         617446448      21,954     1,451  SH      DEFINED     4                            1,451
MORGAN STANLEY ASIA PAC FD I    COM         61744U106       5,358       409  SH      DEFINED     2                              409
MORGAN STANLEY CHINA A SH FD    COM         617468103      48,375     2,500  SH      DEFINED     3                            2,500
MORGAN STANLEY CHINA A SH FD    COM         617468103      10,391       537  SH      DEFINED     4                              537
MORGAN STANLEY EM MKTS DM DE    COM         617477104      45,988     3,250  SH      DEFINED     3                            3,250
MORGAN STANLEY EMER MKTS DEB    COM         61744H105      76,555     7,354  SH      DEFINED     3                            7,354
MORGAN STANLEY EMER MKTS DEB    COM         61744H105      50,176     4,820  SH      DEFINED     4                            4,820
MORGAN STANLEY INDIA INVS FD    COM         61745C105      28,020     2,000  SH      DEFINED     2                            2,000
MORGAN STANLEY INDIA INVS FD    COM         61745C105       4,203       300  SH      DEFINED     3                              300
MORGANS HOTEL GROUP CO          COM         61748W108      95,043    16,109  SH      SOLE        1       16,109






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
MORNINGSTAR INC                 COM         617700109      24,137       406  SH      SOLE        1          406
MOSAIC CO NEW                   COM         61945C103     379,940     7,534  SH      DEFINED     2                            7,534
MOSAIC CO NEW                   COM         61945C103      15,633       310  SH      DEFINED     3                              310
MOSAIC CO NEW                   COM         61945C103      27,737       550  SH      DEFINED     4                              550
MOSAIC CO/THE                   COM         61945C103   5,873,179   116,462  SH      SOLE        1      116,462
MOSYS INC                       COM         619718109     100,094    23,832  SH      SOLE        1       23,832
MOTORCAR PARTS OF AMERICA       COM         620071100      66,105     8,814  SH      SOLE        1        8,814
MOTOROLA MOBILITY HLDGS INC     COM         620097105      24,444       630  SH      DEFINED     2                              630
MOTOROLA MOBILITY HLDGS INC     COM         620097105      15,559       401  SH      DEFINED     3                              401
MOTOROLA MOBILITY HLDGS INC     COM         620097105       1,513        39  SH      DEFINED     4                               39
MOTOROLA MOBILITY HOLDINGS      COM         620097105   4,081,178   105,185  SH      SOLE        1      105,185
MOTOROLA SOLUTIONS INC          COM         620076307   6,688,025   144,481  SH      SOLE        1      144,481
MOTOROLA SOLUTIONS INC          COM         620076307      58,486     1,263  SH      DEFINED     2                            1,263
MOTOROLA SOLUTIONS INC          COM         620076307      21,108       456  SH      DEFINED     3                              456
MOTOROLA SOLUTIONS INC          COM         620076307       2,083        45  SH      DEFINED     4                               45
MOTRICITY INC                   COM         620107102      24,333    27,037  SH      SOLE        1       27,037
MOTRICITY INC                   COM         620107102       4,500     5,000  SH      DEFINED     2                            5,000
MOTRICITY INC                   COM         620107102         450       500  SH      DEFINED     3                              500
MOTRICITY INC                   COM         620107102         630       700  SH      DEFINED     4                              700
MOVADO GROUP INC                COM         624580106     256,270    14,104  SH      SOLE        1       14,104
MOVE INC                        COM         62458M207     183,154    28,980  SH      SOLE        1       28,980
MPG OFFICE TRUST INC            COM         553274101      71,284    35,821  SH      SOLE        1       35,821
MSC INDUSTRIAL DIRECT CO A      COM         553530106   7,164,874   100,138  SH      SOLE        1      100,138
MSCI INC                        COM         55354G100       1,976        60  SH      DEFINED     2                               60
MSCI INC A                      COM         55354G100   8,683,542   263,697  SH      SOLE        1      263,697
MTS SYSTEMS CORP                COM         553777103     518,259    12,718  SH      SOLE        1       12,718
MUELLER INDUSTRIES INC          COM         624756102   1,186,256    30,876  SH      SOLE        1       30,876
MUELLER WATER PRODUCTS INC      COM         624758108     277,086   113,560  SH      SOLE        1      113,560
MULTI COLOR CORP                COM         625383104     214,254     8,327  SH      SOLE        1        8,327
MULTI FINELINE ELECTRONIX       COM         62541B101     135,589     6,598  SH      SOLE        1        6,598
MULTIMEDIA GAMES HOLDING C      COM         625453105     173,965    21,910  SH      SOLE        1       21,910
MURPHY OIL CORP                 COM         626717102   6,087,421   109,211  SH      SOLE        1      109,211
MURPHY OIL CORP                 COM         626717102      11,148       200  SH      DEFINED     4                              200
MV OIL TR                       COM         553859109     138,701     3,499  SH      DEFINED     4                            3,499
MVC CAPITAL INC                 COM         553829102     203,092    17,523  SH      SOLE        1       17,523
MWI VETERINARY SUPPLY INC       COM         55402X105     680,412    10,241  SH      SOLE        1       10,241
MWI VETERINARY SUPPLY INC       COM         55402X105      23,254       350  SH      DEFINED     3                              350
MYERS INDS INC                  COM         628464109       8,638       700  SH      DEFINED     3                              700
MYERS INDUSTRIES INC            COM         628464109     304,527    24,678  SH      SOLE        1       24,678
MYLAN INC                       COM         628530107   4,310,413   200,858  SH      SOLE        1      200,858
MYLAN INC                       COM         628530107      76,290     3,555  SH      DEFINED     2                            3,555
MYLAN INC                       COM         628530107     292,650    13,637  SH      DEFINED     3                           13,637
MYLAN INC                       COM         628530107       6,438       300  SH      DEFINED     4                              300
MYR GROUP INC/DELAWARE          COM         55405W104     281,415    14,703  SH      SOLE        1       14,703
MYRIAD GENETICS INC             COM         62855J104      29,881     1,427  SH      SOLE        1        1,427
N B T BANCORP INC               COM         628778102     618,489    27,948  SH      SOLE        1       27,948
NABI BIOPHARMACEUTICALS         COM         629519109      58,765    31,258  SH      SOLE        1       31,258
NABI BIOPHARMACEUTICALS         COM         629519109       1,128       600  SH      DEFINED     4                              600
NABORS INDUSTRIES LTD           COM         G6359F103   2,007,088   115,749  SH      SOLE        1      115,749
NABORS INDUSTRIES LTD           COM         G6359F103       4,335       250  SH      DEFINED     2                              250
NABORS INDUSTRIES LTD           COM         G6359F103      33,553     1,935  SH      DEFINED     3                            1,935
NACCO INDUSTRIES CL A           COM         629579103     380,077     4,260  SH      SOLE        1        4,260
NAM TAI ELECTRS INC             COM         629865205      28,143     5,300  SH      DEFINED     3                            5,300
NANOMETRICS INC                 COM         630077105     297,428    16,147  SH      SOLE        1       16,147
NANOMETRICS INC                 COM         630077105       9,210       500  SH      DEFINED     4                              500
NASDAQ OMX GROUP INC            COM         631103108      13,235       540  SH      DEFINED     2                              540
NASDAQ OMX GROUP/THE            COM         631103108   2,316,759    94,523  SH      SOLE        1       94,523
NASDAQ PREM INCM & GRW FD IN    COM         63110R105      44,185     3,391  SH      DEFINED     3                            3,391
NASDAQ PREM INCM & GRW FD IN    COM         63110R105      10,385       797  SH      DEFINED     4                              797
NASH FINCH CO                   COM         631158102     288,964     9,869  SH      SOLE        1        9,869
NATIONAL AMERICAN UNIVERSI      COM         63245Q105      49,027     6,468  SH      SOLE        1        6,468
NATIONAL BANKSHARES INC/VA      COM         634865109     141,443     5,066  SH      SOLE        1        5,066
NATIONAL BEVERAGE CORP          COM         635017106     131,292     8,170  SH      SOLE        1        8,170
NATIONAL BK GREECE S A          COM         633643606       9,425     4,760  SH      DEFINED     2                            4,760
NATIONAL BK GREECE S A          COM         633643606          22        11  SH      DEFINED     4                               11
NATIONAL CINEMEDIA INC          COM         635309107     499,385    40,273  SH      SOLE        1       40,273
NATIONAL FINANCIAL PARTNER      COM         63607P208   1,218,044    90,092  SH      SOLE        1       90,092
NATIONAL FUEL GAS CO            COM         636180101  10,129,788   182,256  SH      SOLE        1      182,256
NATIONAL FUEL GAS CO N J        COM         636180101      52,801       950  SH      DEFINED     3                              950
NATIONAL FUEL GAS CO N J        COM         636180101      69,475     1,250  SH      DEFINED     4                            1,250
NATIONAL GRID PLC               COM         636274300      53,328     1,100  SH      DEFINED     2                            1,100
NATIONAL GRID PLC               COM         636274300     184,418     3,804  SH      DEFINED     3                            3,804
NATIONAL GRID PLC               COM         636274300     164,590     3,395  SH      DEFINED     4                            3,395
NATIONAL HEALTH INVS INC        COM         63633D104      31,666       720  SH      DEFINED     3                              720
NATIONAL HEALTHCARE CORP        COM         635906100     313,203     7,475  SH      SOLE        1        7,475
NATIONAL INSTRS CORP            COM         636518102       7,901       304  SH      DEFINED     2                              304
NATIONAL INSTRUMENTS CORP       COM         636518102   5,260,428   202,714  SH      SOLE        1      202,714
NATIONAL INTERSTATE CORP        COM         63654U100     124,016     5,027  SH      SOLE        1        5,027
NATIONAL OILWELL VARCO INC      COM         637071101  12,694,481   186,711  SH      SOLE        1      186,711
NATIONAL OILWELL VARCO INC      COM         637071101      27,196       400  SH      DEFINED     2                              400
NATIONAL OILWELL VARCO INC      COM         637071101     197,035     2,898  SH      DEFINED     3                            2,898
NATIONAL OILWELL VARCO INC      COM         637071101       9,451       139  SH      DEFINED     4                              139
NATIONAL PENN BANCSHARES INC    COM         637138108       6,946       823  SH      DEFINED     2                              823
NATIONAL PRESTO INDS INC        COM         637215104     366,257     3,913  SH      SOLE        1        3,913
NATIONAL RESEARCH CORP          COM         637372103      51,734     1,333  SH      SOLE        1        1,333
NATIONAL RETAIL PROPERTIES      COM         637417106   7,932,149   300,688  SH      SOLE        1      300,688
NATIONAL RETAIL PROPERTIES I    COM         637417106   1,331,188    50,462  SH      DEFINED     2                           50,462
NATIONAL RETAIL PROPERTIES I    COM         637417106      19,785       750  SH      DEFINED     3                              750
NATIONAL RETAIL PROPERTIES I    COM         637417106      54,396     2,062  SH      DEFINED     4                            2,062
NATL HEALTH INVESTORS INC       COM         63633D104     783,284    17,810  SH      SOLE        1       17,810
NATL PENN BCSHS INC             COM         637138108     850,279   100,744  SH      SOLE        1      100,744
NATL WESTERN LIFE INS CL A      COM         638522102     218,945     1,608  SH      SOLE        1        1,608
NATURAL GAS SERVICES GROUP      COM         63886Q109     129,012     8,922  SH      SOLE        1        8,922
NATURAL GAS SERVICES GROUP      COM         63886Q109      24,770     1,713  SH      DEFINED     3                            1,713
NATURAL RESOURCE PARTNERS L     COM         63900P103     116,573     4,300  SH      DEFINED     2                            4,300
NATURAL RESOURCE PARTNERS L     COM         63900P103      13,555       500  SH      DEFINED     3                              500
NATURAL RESOURCE PARTNERS L     COM         63900P103      99,606     3,674  SH      DEFINED     4                            3,674
NATURES SUNSHINE PRODS INC      COM         639027101     126,597     8,157  SH      SOLE        1        8,157
NATUS MEDICAL INC               COM         639050103     223,161    23,665  SH      SOLE        1       23,665
NAVIGANT CONSULTING INC         COM         63935N107     480,144    42,081  SH      SOLE        1       42,081
NAVIGATORS GROUP INC            COM         638904102     449,670     9,431  SH      SOLE        1        9,431
NAVIOS MARITIME HOLDINGS INC    COM         Y62196103     324,692    90,950  SH      DEFINED     3                           90,950
NAVIOS MARITIME PARTNERS L P    COM         Y62267102      57,027     3,869  SH      DEFINED     3                            3,869
NAVIOS MARITIME PARTNERS L P    COM         Y62267102     172,082    11,674  SH      DEFINED     4                           11,674
NAVISTAR INTERNATIONAL COR      COM         63934E108      64,813     1,711  SH      SOLE        1        1,711
NAVISTAR INTL CORP NEW          COM         63934E108      26,516       700  SH      DEFINED     2                              700
NCI BUILDING SYSTEMS INC        COM         628852204     174,996    16,099  SH      SOLE        1       16,099
NCI INC A                       COM         62886K104      64,436     5,531  SH      SOLE        1        5,531
NCR CORP NEW                    COM         62886E108       3,588       218  SH      DEFINED     3                              218
NCR CORPORATION                 COM         62886E108   5,674,717   344,758  SH      SOLE        1      344,758
NEENAH PAPER INC                COM         640079109     271,545    12,166  SH      SOLE        1       12,166
NEKTAR THERAPEUTICS             COM         640268108     466,159    83,317  SH      SOLE        1       83,317
NEKTAR THERAPEUTICS             COM         640268108     498,654    89,125  SH      DEFINED     3                           89,125
NELNET INC CL A                 COM         64031N108     460,917    18,836  SH      SOLE        1       18,836
NEOGEN CORP                     COM         640491106     579,433    18,911  SH      SOLE        1       18,911






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
NEOGEN CORP                     COM         640491106      26,044       850  SH      DEFINED     2                              850
NEOPHOTONICS CORP               COM         64051T100      28,946     6,320  SH      SOLE        1        6,320
NEOPROBE CORP                   COM         640518106     181,081    69,115  SH      SOLE        1       69,115
NEOSTEM INC                     COM         640650305      18,758    36,999  SH      SOLE        1       36,999
NEOSTEM INC                     COM         640650305           1         1  SH      DEFINED     2                                1
NEOSTEM INC                     COM         640650305          51       100  SH      DEFINED     4                              100
NETAPP INC                      COM         64110D104   5,801,640   159,957  SH      SOLE        1      159,957
NETAPP INC                      COM         64110D104       3,627       100  SH      DEFINED     2                              100
NETAPP INC                      COM         64110D104     190,526     5,253  SH      DEFINED     3                            5,253
NETAPP INC                      COM         64110D104       6,347       175  SH      DEFINED     4                              175
NETFLIX INC                     COM         64110L106   1,620,901    23,393  SH      SOLE        1       23,393
NETFLIX INC                     COM         64110L106      36,100       521  SH      DEFINED     2                              521
NETFLIX INC                     COM         64110L106      72,824     1,051  SH      DEFINED     3                            1,051
NETFLIX INC                     COM         64110L106       4,157        60  SH      DEFINED     4                               60
NETGEAR INC                     COM         64111Q104   5,122,950   152,605  SH      SOLE        1      152,605
NETGEAR INC                     COM         64111Q104      16,785       500  SH      DEFINED     2                              500
NETLIST INC                     COM         64118P109       4,644     1,850  SH      DEFINED     3                            1,850
NETLOGIC MICROSYSTEMS INC       COM         64118B100   2,473,196    49,893  SH      SOLE        1       49,893
NETLOGIC MICROSYSTEMS INC       COM         64118B100      54,527     1,100  SH      DEFINED     2                            1,100
NETSCOUT SYSTEMS INC            COM         64115T104     531,274    30,186  SH      SOLE        1       30,186
NETSPEND HOLDINGS INC           COM         64118V106     156,450    19,291  SH      SOLE        1       19,291
NETSUITE INC                    COM         64118Q107     806,012    19,877  SH      SOLE        1       19,877
NETWORK ENGINES INC             COM         64121A107       2,886     3,000  SH      DEFINED     3                            3,000
NEUBERGER BERMAN HGH YLD FD     COM         64128C106       5,037       369  SH      DEFINED     2                              369
NEUBERGER BERMAN INTER MUNI     COM         64124P101       2,385       150  SH      DEFINED     2                              150
NEUBERGER BERMAN INTER MUNI     COM         64124P101      56,922     3,580  SH      DEFINED     4                            3,580
NEUBERGER BERMAN NY INT MUN     COM         64124K102      25,539     1,651  SH      DEFINED     2                            1,651
NEUBERGER BERMAN RE ES SEC F    COM         64190A103       4,350     1,160  SH      DEFINED     3                            1,160
NEURALSTEM INC                  COM         64127R302       2,413     2,500  SH      DEFINED     2                            2,500
NEUROCRINE BIOSCIENCES INC      COM         64125C109     306,034    36,004  SH      SOLE        1       36,004
NEUSTAR INC CLASS A             COM         64126X201   4,890,889   143,134  SH      SOLE        1      143,134
NEUTRAL TANDEM INC              COM         64128B108     273,632    25,597  SH      SOLE        1       25,597
NEUTRAL TANDEM INC              COM         64128B108      18,173     1,700  SH      DEFINED     2                            1,700
NEVADA GOLD & CASINOS INC       COM         64126Q206         863       750  SH      DEFINED     2                              750
NEVSUN RES LTD                  COM         64156L101      12,166     2,200  SH      DEFINED     4                            2,200
NEW AMER HIGH INCOME FD INC     COM         641876800     165,473    16,207  SH      DEFINED     3                           16,207
NEW ENERGY SYS GROUP            COM         643847106       9,000    15,000  SH      DEFINED     2                           15,000
NEW GERMANY FD INC              COM         644465106      11,016       900  SH      DEFINED     3                              900
NEW GOLD INC CDA                COM         644535106       2,016       200  SH      DEFINED     2                              200
NEW GOLD INC CDA                COM         644535106      65,218     6,470  SH      DEFINED     3                            6,470
NEW GOLD INC CDA                COM         644535906       1,100        20  SH  C   DEFINED     3                               20
NEW GOLD INC CDA                COM         644535106      15,120     1,500  SH      DEFINED     4                            1,500
NEW JERSEY RES                  COM         646025106      12,300       250  SH      DEFINED     3                              250
NEW JERSEY RES                  COM         646025106      38,819       789  SH      DEFINED     4                              789
NEW JERSEY RESOURCES CORP       COM         646025106   1,658,827    33,716  SH      SOLE        1       33,716
NEW MOUNTAIN FINANCE CORP       COM         647551100      71,247     5,313  SH      SOLE        1        5,313
NEW ORIENTAL ED & TECH GRP I    COM         647581107       9,620       400  SH      DEFINED     2                              400
NEW ORIENTAL ED & TECH GRP I    COM         647581107       7,215       300  SH      DEFINED     4                              300
NEW YORK + CO                   COM         649295102      52,828    19,860  SH      SOLE        1       19,860
NEW YORK CMNTY BANCORP INC      COM         649445103     366,106    29,596  SH      DEFINED     2                           29,596
NEW YORK CMNTY BANCORP INC      COM         649445103     468,767    37,896  SH      DEFINED     3                           37,896
NEW YORK CMNTY BANCORP INC      COM         649445103     186,115    15,046  SH      DEFINED     4                           15,046
NEW YORK COMMUNITY BANCORP      COM         649445103  11,914,339   963,164  SH      SOLE        1      963,164
NEW YORK TIMES CO A             COM         650111107   2,802,790   362,586  SH      SOLE        1      362,586
NEWCASTLE INVESTMENT CORP       COM         65105M108     357,204    76,818  SH      SOLE        1       76,818
NEWELL RUBBERMAID INC           COM         651229106   1,856,006   114,923  SH      SOLE        1      114,923
NEWELL RUBBERMAID INC           COM         651229106         808        50  SH      DEFINED     2                               50
NEWELL RUBBERMAID INC           COM         651229106       3,844       238  SH      DEFINED     3                              238
NEWELL RUBBERMAID INC           COM         651229106         388        24  SH      DEFINED     4                               24
NEWFIELD EXPL CO                COM         651290108      11,319       300  SH      DEFINED     2                              300
NEWFIELD EXPL CO                COM         651290108      24,147       640  SH      DEFINED     3                              640
NEWFIELD EXPL CO                COM         651290108      76,781     2,035  SH      DEFINED     4                            2,035
NEWFIELD EXPLORATION CO         COM         651290108   2,018,970    53,511  SH      SOLE        1       53,511
NEWLINK GENETICS CORP           COM         651511107      35,862     5,094  SH      SOLE        1        5,094
NEWMARKET CORP                  COM         651587107   5,860,688    29,583  SH      SOLE        1       29,583
NEWMARKET CORP                  COM         651587107       3,170        16  SH      DEFINED     3                               16
NEWMONT MINING CORP             COM         651639106   8,818,049   146,943  SH      SOLE        1      146,943
NEWMONT MINING CORP             COM         651639106     107,658     1,794  SH      DEFINED     2                            1,794
NEWMONT MINING CORP             COM         651639106     100,757     1,679  SH      DEFINED     3                            1,679
NEWMONT MINING CORP             COM         651639906         640        20  SH  C   DEFINED     3                               20
NEWMONT MINING CORP             COM         651639106      12,122       202  SH      DEFINED     4                              202
NEWPARK RES INC                 COM         651718504       1,900       200  SH      DEFINED     3                              200
NEWPARK RESOURCES INC           COM         651718504     627,190    66,020  SH      SOLE        1       66,020
NEWPORT CORP                    COM         651824104     415,595    30,536  SH      SOLE        1       30,536
NEWPORT CORP                    COM         651824104         150        11  SH      DEFINED     3                               11
NEWS CORP                       COM         65248E104      21,123     1,184  SH      DEFINED     2                            1,184
NEWS CORP                       COM         65248E104      10,525       590  SH      DEFINED     3                              590
NEWS CORP                       COM         65248E203         545        30  SH      DEFINED     3                               30
NEWS CORP                       COM         65248E104          18         1  SH      DEFINED     4                                1
NEWS CORP                       COM         65248E203       1,273        70  SH      DEFINED     4                               70
NEWS CORP CL A                  COM         65248E104  20,507,419 1,149,519  SH      SOLE        1    1,149,519
NEWSTAR FINANCIAL INC           COM         65251F105     202,647    19,926  SH      SOLE        1       19,926
NEXEN INC                       COM         65334H102         636        40  SH      DEFINED     3                               40
NEXSTAR BROADCASTING GROUP      COM         65336K103      62,720     8,000  SH      SOLE        1        8,000
NEXTERA ENERGY INC              COM         65339F101   9,364,379   153,817  SH      SOLE        1      153,817
NEXTERA ENERGY INC              COM         65339F101     153,949     2,529  SH      DEFINED     2                            2,529
NEXTERA ENERGY INC              COM         65339F101     111,289     1,828  SH      DEFINED     3                            1,828
NEXTERA ENERGY INC              COM         65339F101     104,531     1,717  SH      DEFINED     4                            1,717
NEXXUS LIGHTING INC             COM         65338E105       1,008       925  SH      DEFINED     4                              925
NFJ DIVID INT & PREM STRTGY     COM         65337H109     280,702    17,522  SH      DEFINED     3                           17,522
NFJ DIVID INT & PREM STRTGY     COM         65337H109      18,936     1,182  SH      DEFINED     4                            1,182
NGP CAP RES CO                  COM         62912R107       8,628     1,200  SH      DEFINED     2                            1,200
NGP CAPITAL RESOURCES CO        COM         62912R107     113,580    15,797  SH      SOLE        1       15,797
NIC INC                         COM         62914B100     621,896    46,724  SH      SOLE        1       46,724
NIC INC                         COM         62914B100      66,550     5,000  SH      DEFINED     3                            5,000
NICHOLAS FINANCIAL INC          COM         65373J209      91,009     7,099  SH      SOLE        1        7,099
NIELSEN HOLDINGS N V            COM         N63218106      10,332       348  SH      DEFINED     2                              348
NIELSEN HOLDINGS NV             COM         N63218106      44,921     1,513  SH      SOLE        1        1,513
NII HLDGS INC                   CNV         62913FAJ1      14,088        14 PRN      DEFINED     3                               14
NII HOLDINGS INC                COM         62913F201      64,326     3,020  SH      SOLE        1        3,020
NIKE INC                        COM         654106103     171,288     1,777  SH      DEFINED     2                            1,777
NIKE INC                        COM         654106103      63,701       661  SH      DEFINED     3                              661
NIKE INC                        COM         654106103      19,756       205  SH      DEFINED     4                              205
NIKE INC  CL B                  COM         654106103  21,179,042   219,768  SH      SOLE        1      219,768
NIPPON TELEG & TEL CORP         COM         654624105       1,013        40  SH      DEFINED     4                               40
NISKA GAS STORAGE PARTNERS L    COM         654678101      21,603     2,430  SH      DEFINED     2                            2,430
NISKA GAS STORAGE PARTNERS L    COM         654678101      40,716     4,580  SH      DEFINED     4                            4,580
NISOURCE INC                    COM         65473P105   4,171,726   175,209  SH      SOLE        1      175,209
NISOURCE INC                    COM         65473P105      16,667       700  SH      DEFINED     3                              700
NISOURCE INC                    COM         65473P105      45,239     1,900  SH      DEFINED     4                            1,900
NL INDUSTRIES                   COM         629156407      63,151     4,869  SH      SOLE        1        4,869
NN INC                          COM         629337106      73,632    12,272  SH      SOLE        1       12,272
NOBLE CORP                      COM         H5833N103   2,686,860    88,910  SH      SOLE        1       88,910
NOBLE CORPORATION BAAR          COM         H5833N103      13,508       447  SH      DEFINED     2                              447
NOBLE CORPORATION BAAR          COM         H5833N103     111,223     3,680  SH      DEFINED     3                            3,680






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
NOBLE CORPORATION BAAR          COM         H5833N103       7,555       250  SH      DEFINED     4                              250
NOBLE ENERGY INC                COM         655044105   7,135,790    75,599  SH      SOLE        1       75,599
NOBLE ENERGY INC                COM         655044105       4,248        45  SH      DEFINED     2                               45
NOBLE ENERGY INC                COM         655044105      21,898       232  SH      DEFINED     3                              232
NOKIA CORP                      COM         654902204       1,865       387  SH      DEFINED     2                              387
NOKIA CORP                      COM         654902204     906,772   188,127  SH      DEFINED     3                          188,127
NOKIA CORP                      COM         654902204       1,711       355  SH      DEFINED     4                              355
NOMURA HLDGS INC                COM         65535H208         161        54  SH      DEFINED     3                               54
NOMURA HLDGS INC                COM         65535H208         179        60  SH      DEFINED     4                               60
NORANDA ALUMINUM HOLDING C      COM         65542W107     136,909    16,595  SH      SOLE        1       16,595
NORDIC AMERICAN TANKERS LIMI    COM         G65773106      22,500     1,877  SH      DEFINED     2                            1,877
NORDIC AMERICAN TANKERS LIMI    COM         G65773106     142,223    11,862  SH      DEFINED     3                           11,862
NORDIC AMERICAN TANKERS LIMI    COM         G65773106      31,414     2,620  SH      DEFINED     4                            2,620
NORDIC AMERICAN TANKERS LT      COM         G65773106     413,559    34,492  SH      SOLE        1       34,492
NORDSON CORP                    COM         655663102   5,370,449   130,414  SH      SOLE        1      130,414
NORDSON CORP                    COM         655663102     342,700     8,322  SH      DEFINED     3                            8,322
NORDSTROM INC                   COM         655664100   2,525,964    50,814  SH      SOLE        1       50,814
NORDSTROM INC                   COM         655664100      49,715     1,000  SH      DEFINED     2                            1,000
NORDSTROM INC                   COM         655664100     106,470     2,142  SH      DEFINED     3                            2,142
NORFOLK SOUTHERN CORP           COM         655844108  13,756,114   188,802  SH      SOLE        1      188,802
NORFOLK SOUTHERN CORP           COM         655844108     157,815     2,166  SH      DEFINED     2                            2,166
NORFOLK SOUTHERN CORP           COM         655844108     712,051     9,773  SH      DEFINED     3                            9,773
NORFOLK SOUTHERN CORP           COM         655844108      71,476       981  SH      DEFINED     4                              981
NORTH AMERN PALLADIUM LTD       COM         656912102         102        40  SH      DEFINED     3                               40
NORTH EUROPEAN OIL RTY TR       COM         659310106       2,602        80  SH      DEFINED     2                               80
NORTH VALLEY BANCORP            COM         66304M204         961       100  SH      DEFINED     4                              100
NORTHEAST UTILITIES             COM         664397106   4,459,190   123,626  SH      SOLE        1      123,626
NORTHEAST UTILS                 COM         664397106      11,502       319  SH      DEFINED     2                              319
NORTHEAST UTILS                 COM         664397106       3,787       105  SH      DEFINED     3                              105
NORTHEAST UTILS                 COM         664397106      18,035       500  SH      DEFINED     4                              500
NORTHERN DYNASTY MINERALS LT    COM         66510M204      18,120     3,000  SH      DEFINED     3                            3,000
NORTHERN OIL & GAS INC NEV      COM         665531109      16,786       700  SH      DEFINED     3                              700
NORTHERN OIL & GAS INC NEV      COM         665531109      11,990       500  SH      DEFINED     4                              500
NORTHERN OIL AND GAS INC        COM         665531109   4,393,472   183,214  SH      SOLE        1      183,214
NORTHERN TRUST CORP             COM         665859104   4,426,016   111,599  SH      SOLE        1      111,599
NORTHFIELD BANCORP INC NEW      COM         66611L105      11,328       800  SH      DEFINED     3                              800
NORTHFIELD BANCORP INC NEW      COM         66611L105      99,120     7,000  SH      DEFINED     4                            7,000
NORTHFIELD BANCORP INC/NJ       COM         66611L105     176,306    12,451  SH      SOLE        1       12,451
NORTHROP GRUMMAN CORP           COM         666807102       8,889       152  SH      DEFINED     2                              152
NORTHROP GRUMMAN CORP           COM         666807102     192,809     3,297  SH      DEFINED     3                            3,297
NORTHROP GRUMMAN CORP           COM         666807102      33,509       573  SH      DEFINED     4                              573
NORTHSTAR REALTY FINANCE C      COM         66704R100     333,967    70,014  SH      SOLE        1       70,014
NORTHSTAR RLTY FIN CORP         COM         66704R100      74,038    15,522  SH      DEFINED     2                           15,522
NORTHWEST BANCSHARES INC        COM         667340103     988,283    79,444  SH      SOLE        1       79,444
NORTHWEST NAT GAS CO            COM         667655104      69,032     1,440  SH      DEFINED     2                            1,440
NORTHWEST NAT GAS CO            COM         667655104      23,965       500  SH      DEFINED     3                              500
NORTHWEST NAT GAS CO            COM         667655104      39,494       824  SH      DEFINED     4                              824
NORTHWEST NATURAL GAS CO        COM         667655104   1,041,806    21,736  SH      SOLE        1       21,736
NORTHWEST PIPE CO               COM         667746101     155,471     6,801  SH      SOLE        1        6,801
NORTHWESTERN CORP               COM         668074305   1,057,344    29,543  SH      SOLE        1       29,543
NOVAGOLD RES INC                COM         66987E206      23,744     2,800  SH      DEFINED     2                            2,800
NOVAGOLD RES INC                COM         66987E206      50,880     6,000  SH      DEFINED     3                            6,000
NOVAGOLD RES INC                COM         66987E206       4,664       550  SH      DEFINED     4                              550
NOVAGOLD RES INC                COM         66987E956         350         2  SH  P   DEFINED     4                                2
NOVARTIS A G                    COM         66987V109     323,525     5,659  SH      DEFINED     3                            5,659
NOVARTIS A G                    COM         66987V109     212,444     3,716  SH      DEFINED     4                            3,716
NOVATEL WIRELESS INC            COM         66987M604      81,737    26,114  SH      SOLE        1       26,114
NOVATEL WIRELESS INC            COM         66987M604         626       200  SH      DEFINED     3                              200
NOVAVAX INC                     COM         670002104      88,410    70,167  SH      SOLE        1       70,167
NOVELLUS SYS INC                COM         670008101       2,477        60  SH      DEFINED     3                               60
NOVELLUS SYSTEMS INC            COM         670008101     913,335    22,120  SH      SOLE        1       22,120
NOVO-NORDISK A S                COM         670100205      25,818       224  SH      DEFINED     2                              224
NOVO-NORDISK A S                COM         670100205     105,117       912  SH      DEFINED     3                              912
NOVO-NORDISK A S                COM         670100205      16,136       140  SH      DEFINED     4                              140
NPS PHARMACEUTICALS INC         COM         62936P103     413,944    62,814  SH      SOLE        1       62,814
NPS PHARMACEUTICALS INC         COM         62936P103       9,885     1,500  SH      DEFINED     3                            1,500
NRG ENERGY INC                  COM         629377508   1,389,750    76,697  SH      SOLE        1       76,697
NRG ENERGY INC                  COM         629377508      15,674       865  SH      DEFINED     2                              865
NRG ENERGY INC                  COM         629377508         362        20  SH      DEFINED     3                               20
NRG ENERGY INC                  COM         629377508       1,812       100  SH      DEFINED     4                              100
NSTAR                           COM         67019E107  10,711,905   228,107  SH      SOLE        1      228,107
NSTAR                           COM         67019E107      32,872       700  SH      DEFINED     3                              700
NSTAR                           COM         67019E107      27,284       581  SH      DEFINED     4                              581
NTELOS HLDGS CORP               COM         67020Q305      10,190       500  SH      DEFINED     3                              500
NTELOS HOLDINGS CORP            COM         67020Q305     249,472    12,241  SH      SOLE        1       12,241
NU SKIN ENTERPRISES INC         COM         67018T105   1,943,626    40,017  SH      SOLE        1       40,017
NU SKIN ENTERPRISES INC         COM         67018T105     285,689     5,882  SH      DEFINED     2                            5,882
NUANCE COMMUNICATIONS INC       COM         67020Y100     503,603    20,016  SH      SOLE        1       20,016
NUANCE COMMUNICATIONS INC       COM         67020Y100      16,052       638  SH      DEFINED     2                              638
NUANCE COMMUNICATIONS INC       COM         67020Y100      37,740     1,500  SH      DEFINED     3                            1,500
NUCOR CORP                      COM         670346105   4,161,735   105,174  SH      SOLE        1      105,174
NUCOR CORP                      COM         670346105     174,541     4,411  SH      DEFINED     2                            4,411
NUCOR CORP                      COM         670346105     167,397     4,230  SH      DEFINED     3                            4,230
NUCOR CORP                      COM         670346105      50,017     1,264  SH      DEFINED     4                            1,264
NUMEREX CORP  CL A              COM         67053A102      57,437     6,979  SH      SOLE        1        6,979
NUSTAR ENERGY LP                COM         67058H102      93,489     1,650  SH      DEFINED     2                            1,650
NUSTAR ENERGY LP                COM         67058H102     107,031     1,889  SH      DEFINED     3                            1,889
NUSTAR ENERGY LP                COM         67058H102      79,324     1,400  SH      DEFINED     4                            1,400
NUSTAR GP HOLDINGS LLC          COM         67059L102      26,600       800  SH      DEFINED     3                              800
NUTRACEUTICAL INTL CORP         COM         67060Y101      76,059     6,719  SH      SOLE        1        6,719
NUTRI SYS INC NEW               COM         67069D108      45,255     3,500  SH      DEFINED     4                            3,500
NUTRISYSTEM INC                 COM         67069D108     285,210    22,058  SH      SOLE        1       22,058
NUVASIVE INC                    COM         670704105     433,348    34,420  SH      SOLE        1       34,420
NUVEEN ARIZ DIVID ADVANTAGE     COM         67071P107      44,437     3,136  SH      DEFINED     3                            3,136
NUVEEN BUILD AMER BD FD         COM         67074C103      51,325     2,500  SH      DEFINED     3                            2,500
NUVEEN CA INVT QUALITY MUN F    COM         67062A101       1,820       124  SH      DEFINED     2                              124
NUVEEN CALIF MUN VALUE FD       COM         67062C107       8,559       900  SH      DEFINED     2                              900
NUVEEN CORE EQUITY ALPHA FUN    COM         67090X107      25,501     2,045  SH      DEFINED     3                            2,045
NUVEEN CT DIVID ADVANTAGE MU    COM         67069T103      29,560     2,000  SH      DEFINED     3                            2,000
NUVEEN DIV ADV MUNI FD 3        COM         67070X101      56,692     3,854  SH      DEFINED     2                            3,854
NUVEEN DIV ADVANTAGE MUN FD     COM         67070F100         753        51  SH      DEFINED     2                               51
NUVEEN DIVERSIFIED DIV INCM     COM         6706EP105      16,560     1,614  SH      DEFINED     3                            1,614
NUVEEN ENHANCED MUN VALUE FD    COM         67074M101      18,399     1,293  SH      DEFINED     3                            1,293
NUVEEN EQTY PRM OPPORTUNITYF    COM         6706EM102      23,982     2,100  SH      DEFINED     2                            2,100
NUVEEN EQTY PRM OPPORTUNITYF    COM         6706EM102      15,634     1,369  SH      DEFINED     3                            1,369
NUVEEN EQUITY PREM & GROWTH     COM         6706EW100      14,182     1,175  SH      DEFINED     3                            1,175
NUVEEN EQUITY PREM ADV FD       COM         6706ET107     109,008     9,512  SH      DEFINED     3                            9,512
NUVEEN EQUITY PREM ADV FD       COM         6706ET107       3,438       300  SH      DEFINED     4                              300
NUVEEN EQUITY PREM INCOME FD    COM         6706ER101      10,621       950  SH      DEFINED     2                              950
NUVEEN EQUITY PREM INCOME FD    COM         6706ER101       8,385       750  SH      DEFINED     3                              750
NUVEEN FLOATING RATE INCOME     COM         67072T108      47,784     4,400  SH      DEFINED     3                            4,400
NUVEEN FLTNG RTE INCM OPP FD    COM         6706EN100      16,560     1,500  SH      DEFINED     2                            1,500
NUVEEN FLTNG RTE INCM OPP FD    COM         6706EN100       5,520       500  SH      DEFINED     3                              500
NUVEEN FLTNG RTE INCM OPP FD    COM         6706EN100       4,416       400  SH      DEFINED     4                              400
NUVEEN GA DIV ADV MUNI FD       COM         67070T100       4,629       300  SH      DEFINED     2                              300






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
NUVEEN GBL VL OPPORTUNITIES     COM         6706EH103      10,626       634  SH      DEFINED     3                              634
NUVEEN GBL VL OPPORTUNITIES     COM         6706EH103      85,627     5,109  SH      DEFINED     4                            5,109
NUVEEN GLB GOVT ENHANCED IN     COM         67073C104      16,992     1,200  SH      DEFINED     2                            1,200
NUVEEN GLB GOVT ENHANCED IN     COM         67073C104      15,307     1,081  SH      DEFINED     3                            1,081
NUVEEN INSD DIVID ADVANTAGE     COM         67071L106      15,050     1,000  SH      DEFINED     2                            1,000
NUVEEN INSD MUN OPPORTUNITY     COM         670984103      10,936       733  SH      DEFINED     2                              733
NUVEEN INSD MUN OPPORTUNITY     COM         670984103       8,952       600  SH      DEFINED     3                              600
NUVEEN INSD MUN OPPORTUNITY     COM         670984103      42,671     2,860  SH      DEFINED     4                            2,860
NUVEEN INSD PREM INCOME MUN     COM         6706D8104       7,924       575  SH      DEFINED     2                              575
NUVEEN INVT QUALITY MUN FD I    COM         67062E103      21,854     1,400  SH      DEFINED     2                            1,400
NUVEEN MICH PREM INCOME MUN     COM         67101Q109      28,220     2,000  SH      DEFINED     3                            2,000
NUVEEN MICH QUALITY INCOME M    COM         670979103      67,983     4,650  SH      DEFINED     3                            4,650
NUVEEN MTG OPPORTUNITY TERM     COM         670735109       8,649       425  SH      DEFINED     2                              425
NUVEEN MTG OPPTY TERM FD 2      COM         67074R100       8,670       425  SH      DEFINED     2                              425
NUVEEN MULT STRAT INCM GR FD    COM         67073D102     234,030    29,072  SH      DEFINED     2                           29,072
NUVEEN MULT STRAT INCM GR FD    COM         67073D102     140,537    17,458  SH      DEFINED     3                           17,458
NUVEEN MULT STRAT INCM GR FD    COM         67073D102      37,965     4,716  SH      DEFINED     4                            4,716
NUVEEN MULTI STRAT INC & GR     COM         67073B106     121,463    15,164  SH      DEFINED     2                           15,164
NUVEEN MULTI STRAT INC & GR     COM         67073B106           8         1  SH      DEFINED     3                                1
NUVEEN MUN HIGH INCOME OPP F    COM         670682103      60,889     5,028  SH      DEFINED     3                            5,028
NUVEEN MUN MKT OPPORTUNITY F    COM         67062W103       4,332       313  SH      DEFINED     2                              313
NUVEEN MUN MKT OPPORTUNITY F    COM         67062W103      27,680     2,000  SH      DEFINED     3                            2,000
NUVEEN MUN VALUE FD INC         COM         670928100      34,408     3,511  SH      DEFINED     3                            3,511
NUVEEN N C DIV ADV FD 2         COM         67071D104     160,644    10,445  SH      DEFINED     2                           10,445
NUVEEN N C PREM INCOME MUN F    COM         67060P100     105,225     6,900  SH      DEFINED     2                            6,900
NUVEEN N C PREM INCOME MUN F    COM         67060P100      21,762     1,427  SH      DEFINED     4                            1,427
NUVEEN NC DIV ADV MUN FD 3      COM         67072D103     124,558     8,200  SH      DEFINED     2                            8,200
NUVEEN NC DIVID ADVANTAGE MU    COM         67069N106     107,643     6,865  SH      DEFINED     2                            6,865
NUVEEN NEW JERSEY DIVID         COM         67071T109     215,904    14,849  SH      DEFINED     4                           14,849
NUVEEN NEW JERSEY MUN VALUE     COM         670702109      15,989     1,040  SH      DEFINED     2                            1,040
NUVEEN NJ PREM INCOME MUN FD    COM         67101N106       7,203       465  SH      DEFINED     4                              465
NUVEEN NY DIV ADVANTG MUN FD    COM         67070A101      10,695       750  SH      DEFINED     3                              750
NUVEEN NY DIVID ADVNTG MUN F    COM         67066X107      16,376     1,150  SH      DEFINED     3                            1,150
NUVEEN OHIO QUALITY INCOME M    COM         670980101       9,102       545  SH      DEFINED     2                              545
NUVEEN PA PREM INCOME MUN FD    COM         67061F101       9,779       700  SH      DEFINED     2                              700
NUVEEN PERFORMANCE PLUS MUN     COM         67062P108      11,445       749  SH      DEFINED     2                              749
NUVEEN PREM INCOME MUN FD 2     COM         67063W102      10,444       700  SH      DEFINED     2                              700
NUVEEN PREM INCOME MUN FD 2     COM         67063W102      29,840     2,000  SH      DEFINED     3                            2,000
NUVEEN PREM INCOME MUN FD 4     COM         6706K4105      22,485     1,673  SH      DEFINED     4                            1,673
NUVEEN PREMIER INSD MUN INCO    COM         670987106      13,406       826  SH      DEFINED     3                              826
NUVEEN PREMIER INSD MUN INCO    COM         670987106      16,230     1,000  SH      DEFINED     4                            1,000
NUVEEN PREMIER MUN INCOME FD    COM         670988104     105,329     7,112  SH      DEFINED     4                            7,112
NUVEEN QUALITY INCOME MUN FD    COM         670977107      25,647     1,757  SH      DEFINED     2                            1,757
NUVEEN QUALITY INCOME MUN FD    COM         670977107     220,942    15,133  SH      DEFINED     3                           15,133
NUVEEN QUALITY INCOME MUN FD    COM         670977107      54,020     3,700  SH      DEFINED     4                            3,700
NUVEEN QUALITY PFD INCOME FD    COM         67072C105       7,830     1,000  SH      DEFINED     2                            1,000
NUVEEN QUALITY PFD INCOME FD    COM         67071S101      53,066     7,010  SH      DEFINED     3                            7,010
NUVEEN QUALITY PFD INCOME FD    COM         67072C105      20,123     2,570  SH      DEFINED     3                            2,570
NUVEEN QUALITY PFD INCOME FD    COM         67071S101      12,869     1,700  SH      DEFINED     4                            1,700
NUVEEN REAL ESTATE INCOME FD    COM         67071B108       3,477       333  SH      DEFINED     3                              333
NUVEEN SELECT QUALITY MUN FD    COM         670973106      30,940     2,000  SH      DEFINED     4                            2,000
NUVEEN SELECT TAX FREE INCM     COM         67063C106       4,068       300  SH      DEFINED     2                              300
NUVEEN SELECT TAX FREE INCM     COM         67063X100       2,404       168  SH      DEFINED     2                              168
NUVEEN SELECT TAX FREE INCM     COM         67063C106      12,611       930  SH      DEFINED     4                              930
NUVEEN SR INCOME FD             COM         67067Y104       4,982       753  SH      DEFINED     3                              753
NUVEEN TX ADV TOTAL RET STRG    COM         67090H102      10,994     1,150  SH      DEFINED     2                            1,150
NV ENERGY INC                   COM         67073Y106   8,497,586   519,730  SH      SOLE        1      519,730
NV ENERGY INC                   COM         67073Y106       6,262       383  SH      DEFINED     3                              383
NVE CORP                        COM         629445206     193,689     3,488  SH      SOLE        1        3,488
NVE CORP                        COM         629445206       5,553       100  SH      DEFINED     3                              100
NVIDIA CORP                     COM         67066G104   3,667,120   264,583  SH      SOLE        1      264,583
NVIDIA CORP                     COM         67066G104      81,317     5,867  SH      DEFINED     2                            5,867
NVIDIA CORP                     COM         67066G104       4,879       352  SH      DEFINED     3                              352
NVIDIA CORP                     COM         67066G104      14,553     1,050  SH      DEFINED     4                            1,050
NVIDIA CORP                     COM         67066G904          30        10  SH  C   DEFINED     4                               10
NVR INC                         COM         62944T105   7,518,560    10,960  SH      SOLE        1       10,960
NXSTAGE MEDICAL INC             COM         67072V103     579,557    32,596  SH      SOLE        1       32,596
NYMOX PHARMACEUTICAL CORP       COM         67076P102     116,519    14,175  SH      SOLE        1       14,175
NYSE EURONEXT                   COM         629491101   3,640,376   139,478  SH      SOLE        1      139,478
NYSE EURONEXT                   COM         629491101      47,681     1,827  SH      DEFINED     2                            1,827
NYSE EURONEXT                   COM         629491101      28,867     1,106  SH      DEFINED     3                            1,106
NYSE EURONEXT                   COM         629491101       7,700       295  SH      DEFINED     4                              295
O CHARLEYS INC                  COM         670823103      82,575    15,041  SH      SOLE        1       15,041
O REILLY AUTOMOTIVE INC         COM         67103H107   4,488,313    56,139  SH      SOLE        1       56,139
O REILLY AUTOMOTIVE INC NEW     COM         67103H107     263,995     3,302  SH      DEFINED     2                            3,302
O REILLY AUTOMOTIVE INC NEW     COM         67103H107      63,960       800  SH      DEFINED     3                              800
O REILLY AUTOMOTIVE INC NEW     COM         67103H107      27,983       350  SH      DEFINED     4                              350
OASIS PETE INC NEW              COM         674215108       3,491       120  SH      DEFINED     2                              120
OASIS PETROLEUM INC             COM         674215108   1,264,659    43,474  SH      SOLE        1       43,474
OBAGI MEDICAL PRODUCTS INC      COM         67423R108     137,546    13,538  SH      SOLE        1       13,538
OCCIDENTAL PETE CORP DEL        COM         674599105     485,885     5,186  SH      DEFINED     2                            5,186
OCCIDENTAL PETE CORP DEL        COM         674599105     360,643     3,849  SH      DEFINED     3                            3,849
OCCIDENTAL PETE CORP DEL        COM         674599105     336,533     3,592  SH      DEFINED     4                            3,592
OCCIDENTAL PETROLEUM CORP       COM         674599105  33,563,809   358,205  SH      SOLE        1      358,205
OCEAN PWR TECHNOLOGIES INC      COM         674870308       3,990     1,500  SH      DEFINED     4                            1,500
OCEAN RIG UDW INC               COM         Y64354205         159        13  SH      DEFINED     2                               13
OCEAN RIG UDW INC               COM         Y64354205         232        19  SH      DEFINED     3                               19
OCEAN RIG UDW INC               COM         Y64354205          12         1  SH      DEFINED     4                                1
OCEANEERING INTL INC            COM         675232102  10,897,890   236,243  SH      SOLE        1      236,243
OCEANEERING INTL INC            COM         675232102       9,226       200  SH      DEFINED     3                              200
OCEANFIRST FINANCIAL CORP       COM         675234108     139,967    10,709  SH      SOLE        1       10,709
OCH ZIFF CAP MGMT GROUP         COM         67551U105      35,322     4,200  SH      DEFINED     4                            4,200
OCLARO INC                      COM         67555N206     103,937    36,857  SH      SOLE        1       36,857
OCLARO INC                      COM         67555N206       1,156       410  SH      DEFINED     3                              410
OCLARO INC                      COM         67555N206       5,640     2,000  SH      DEFINED     4                            2,000
OCULUS INNOVATIVE SCIENCES I    COM         67575P108       4,200     4,000  SH      DEFINED     2                            4,000
OCWEN FINANCIAL CORP            COM         675746309   1,013,426    69,988  SH      SOLE        1       69,988
OCZ TECHNOLOGY GROUP INC        COM         67086E303     248,067    37,529  SH      SOLE        1       37,529
ODYSSEY MARINE EXPLORATION      COM         676118102     145,680    53,168  SH      SOLE        1       53,168
ODYSSEY MARINE EXPLORATION I    COM         676118102       7,530     2,748  SH      DEFINED     3                            2,748
OFFICE DEPOT INC                COM         676220106   1,744,583   811,434  SH      SOLE        1      811,434
OFFICE DEPOT INC                COM         676220106       2,150     1,000  SH      DEFINED     3                            1,000
OFFICEMAX INC                   COM         67622P101   4,051,092   892,311  SH      SOLE        1      892,311
OGE ENERGY CORP                 COM         670837103  12,245,163   215,926  SH      SOLE        1      215,926
OGE ENERGY CORP                 COM         670837103      79,394     1,400  SH      DEFINED     2                            1,400
OGE ENERGY CORP                 COM         670837103     401,260     7,076  SH      DEFINED     3                            7,076
OGE ENERGY CORP                 COM         670837103      25,520       450  SH      DEFINED     4                              450
OIL DRI CORP AMER               COM         677864100       5,060       250  SH      DEFINED     2                              250
OIL DRI CORP OF AMERICA         COM         677864100      73,674     3,640  SH      SOLE        1        3,640
OIL STATES INTERNATIONAL I      COM         678026105   8,567,034   112,178  SH      SOLE        1      112,178
OIL SVC HOLDRS TR               COM         678002106      11,450       100  SH      DEFINED     2                              100
OIL SVC HOLDRS TR               COM         678002106      80,150       700  SH      DEFINED     4                              700
OILTANKING PARTNERS L P         COM         678049107      32,387     1,160  SH      DEFINED     4                            1,160
OLD DOMINION FREIGHT LINE       COM         679580100   1,565,714    38,631  SH      SOLE        1       38,631
OLD NATIONAL BANCORP            COM         680033107     899,264    77,190  SH      SOLE        1       77,190






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
OLD REPUBLIC INTL CORP          COM         680223104   5,216,952   562,778  SH      SOLE        1      562,778
OLIN CORP                       COM         680665205   4,562,789   232,203  SH      SOLE        1      232,203
OLIN CORP                       COM         680665205       6,266       319  SH      DEFINED     3                              319
OLIN CORP                       COM         680665205      58,950     3,000  SH      DEFINED     4                            3,000
OLYMPIC STEEL INC               COM         68162K106     173,781     7,452  SH      SOLE        1        7,452
OM GROUP INC                    COM         670872100     568,079    25,372  SH      SOLE        1       25,372
OMEGA FLEX INC                  COM         682095104      28,430     2,012  SH      SOLE        1        2,012
OMEGA HEALTHCARE INVESTORS      COM         681936100   5,768,564   298,117  SH      SOLE        1      298,117
OMEGA HEALTHCARE INVS INC       COM         681936100       7,740       400  SH      DEFINED     2                              400
OMEGA HEALTHCARE INVS INC       COM         681936100      12,578       650  SH      DEFINED     3                              650
OMEGA HEALTHCARE INVS INC       COM         681936100      96,750     5,000  SH      DEFINED     4                            5,000
OMEGA PROTEIN CORP              COM         68210P107     100,804    14,138  SH      SOLE        1       14,138
OMEGA PROTEIN CORP              COM         68210P107      45,710     6,411  SH      DEFINED     2                            6,411
OMNIAMERICAN BANCORP INC        COM         68216R107     135,758     8,647  SH      SOLE        1        8,647
OMNICARE INC                    COM         681904108   8,674,579   251,802  SH      SOLE        1      251,802
OMNICARE INC                    CNV         681904AL2         918         1 PRN      DEFINED     3                                1
OMNICELL INC                    COM         68213N109     445,941    26,994  SH      SOLE        1       26,994
OMNICOM GROUP                   COM         681919106   4,166,224    93,455  SH      SOLE        1       93,455
OMNICOM GROUP INC               COM         681919106       5,573       125  SH      DEFINED     2                              125
OMNIVISION TECHNOLOGIES IN      COM         682128103     518,067    42,343  SH      SOLE        1       42,343
OMNIVISION TECHNOLOGIES INC     COM         682128103       8,565       700  SH      DEFINED     2                              700
OMNIVISION TECHNOLOGIES INC     COM         682128103     103,998     8,500  SH      DEFINED     3                            8,500
OMNOVA SOLUTIONS INC            COM         682129101     152,319    33,041  SH      SOLE        1       33,041
OMNOVA SOLUTIONS INC            COM         682129101          83        18  SH      DEFINED     2                               18
ON ASSIGNMENT INC               COM         682159108     336,641    30,111  SH      SOLE        1       30,111
ON SEMICONDUCTOR CORP           COM         682189105          62         8  SH      DEFINED     3                                8
ON SEMICONDUCTOR CORPORATI      COM         682189105  12,237,296 1,585,142  SH      SOLE        1    1,585,142
ONCOGENEX PHARMACEUTICAL I      COM         68230A106      83,331     7,098  SH      SOLE        1        7,098
ONCOTHYREON INC                 COM         682324108     230,288    30,381  SH      SOLE        1       30,381
ONE LIBERTY PROPERTIES INC      COM         682406103     133,716     8,104  SH      SOLE        1        8,104
ONEBEACON INSURANCE GROUP       COM         G67742109     249,395    16,205  SH      SOLE        1       16,205
ONEBEACON INSURANCE GROUP LT    COM         G67742109       1,539       100  SH      DEFINED     4                              100
ONEOK INC                       COM         682680103   4,408,793    50,857  SH      SOLE        1       50,857
ONEOK INC NEW                   COM         682680103      14,824       171  SH      DEFINED     2                              171
ONEOK INC NEW                   COM         682680103     986,951    11,385  SH      DEFINED     3                           11,385
ONEOK INC NEW                   COM         682680103      54,095       624  SH      DEFINED     4                              624
ONEOK PARTNERS LP               COM         68268N103     153,011     2,650  SH      DEFINED     2                            2,650
ONEOK PARTNERS LP               COM         68268N103     422,068     7,310  SH      DEFINED     3                            7,310
ONEOK PARTNERS LP               COM         68268N103      69,288     1,200  SH      DEFINED     4                            1,200
ONYX PHARMACEUTICALS INC        COM         683399109   2,033,742    46,274  SH      SOLE        1       46,274
OPEN TEXT CORP                  COM         683715106      15,598       305  SH      DEFINED     3                              305
OPENTABLE INC                   COM         68372A104   1,122,874    28,696  SH      SOLE        1       28,696
OPENTABLE INC                   COM         68372A104      11,739       300  SH      DEFINED     3                              300
OPENWAVE SYSTEMS INC            COM         683718308      98,341    62,241  SH      SOLE        1       62,241
OPKO HEALTH INC                 COM         68375N103     389,712    79,533  SH      SOLE        1       79,533
OPLINK COMMUNICATIONS INC       COM         68375Q403     261,577    15,882  SH      SOLE        1       15,882
OPLINK COMMUNICATIONS INC       COM         68375Q403       8,235       500  SH      DEFINED     3                              500
OPNET TECHNOLOGIES INC          COM         683757108     431,533    11,768  SH      SOLE        1       11,768
OPNEXT INC                      COM         68375V105      25,775    31,908  SH      SOLE        1       31,908
OPPENHEIMER HOLDINGS CL A       COM         683797104     121,297     7,534  SH      SOLE        1        7,534
OPTIMER PHARMACEUTICALS IN      COM         68401H104     414,361    33,853  SH      SOLE        1       33,853
ORACLE CORP                     COM         68389X105  44,763,174 1,745,153  SH      SOLE        1    1,745,153
ORACLE CORP                     COM         68389X105     467,632    18,231  SH      DEFINED     2                           18,231
ORACLE CORP                     COM         68389X105     810,975    31,617  SH      DEFINED     3                           31,617
ORACLE CORP                     COM         68389X105      91,981     3,586  SH      DEFINED     4                            3,586
ORACLE CORP                     COM         68389X905         585         1  SH  C   DEFINED     2                                1
ORASURE TECHNOLOGIES INC        COM         68554V108     310,651    34,100  SH      SOLE        1       34,100
ORBCOMM INC                     COM         68555P100      75,632    25,295  SH      SOLE        1       25,295
ORBITAL SCIENCES CORP           COM         685564106     692,107    47,633  SH      SOLE        1       47,633
ORBITAL SCIENCES CORP           CNV         685564AN6       2,010         2 PRN      DEFINED     3                                2
ORBITZ WORLDWIDE INC            COM         68557K109      57,453    15,280  SH      SOLE        1       15,280
ORCHARD SUPPLY HARDWARE         COM         685691503       5,212       829  SH      SOLE        1          829
ORCHARD SUPPLY HARDWARE CL      COM         685691404       5,230       829  SH      SOLE        1          829
OREXIGEN THERAPEUTICS INC       COM         686164104      37,880    23,528  SH      SOLE        1       23,528
ORIENT EXPRESS HOTELS LTD       COM         G67743107     519,934    69,603  SH      SOLE        1       69,603
ORIENTAL FINANCIAL GROUP        COM         68618W100     400,441    33,067  SH      SOLE        1       33,067
ORION ENERGY SYSTEMS INC        COM         686275108         295       100  SH      DEFINED     2                              100
ORION MARINE GROUP INC          COM         68628V308     146,386    22,013  SH      SOLE        1       22,013
ORITANI FINANCIAL CORP          COM         68633D103     476,640    37,325  SH      SOLE        1       37,325
ORIX CORP                       COM         686330101         410        10  SH      DEFINED     4                               10
ORMAT TECHNOLOGIES INC          COM         686688102     236,319    13,107  SH      SOLE        1       13,107
ORMAT TECHNOLOGIES INC          COM         686688102      10,818       600  SH      DEFINED     2                              600
ORRSTOWN FINL SERVICES INC      COM         687380105      42,108     5,104  SH      SOLE        1        5,104
ORTHOFIX INTERNATIONAL NV       COM         N6748L102     464,578    13,187  SH      SOLE        1       13,187
OSHKOSH CORP                    COM         688239201   4,303,965   201,308  SH      SOLE        1      201,308
OSHKOSH CORP                    COM         688239201     205,248     9,600  SH      DEFINED     3                            9,600
OSI SYSTEMS INC                 COM         671044105     759,651    15,573  SH      SOLE        1       15,573
OSIRIS THERAPEUTICS INC         COM         68827R108      65,152    12,178  SH      SOLE        1       12,178
OSIRIS THERAPEUTICS INC NEW     COM         68827R108       5,350     1,000  SH      DEFINED     3                            1,000
OSSEN INNOVATION CO LTD         COM         688410109      18,124    22,100  SH      DEFINED     3                           22,100
OTTER TAIL CORP                 COM         689648103     579,941    26,337  SH      SOLE        1       26,337
OTTER TAIL CORP                 COM         689648103      44,061     2,001  SH      DEFINED     3                            2,001
OUTDOOR CHANNEL HOLDINGS I      COM         690027206      78,278    10,493  SH      SOLE        1       10,493
OVERSEAS SHIPHOLDING GROUP      COM         690368105   4,431,678   405,460  SH      SOLE        1      405,460
OVERSEAS SHIPHOLDING GROUP I    COM         690368105       7,651       700  SH      DEFINED     3                              700
OVERSTOCK.COM INC               COM         690370101      66,295     8,456  SH      SOLE        1        8,456
OWENS & MINOR INC NEW           COM         690732102      21,843       786  SH      DEFINED     2                              786
OWENS & MINOR INC NEW           COM         690732102      29,680     1,068  SH      DEFINED     3                            1,068
OWENS + MINOR INC               COM         690732102   5,117,751   184,158  SH      SOLE        1      184,158
OWENS CORNING                   COM         690742101     114,449     3,985  SH      SOLE        1        3,985
OWENS CORNING NEW               COM         690742101       6,318       220  SH      DEFINED     3                              220
OWENS CORNING NEW               COM         690742127          65        35  SH      DEFINED     3                               35
OWENS ILL INC                   COM         690768403         388        20  SH      DEFINED     3                               20
OWENS ILLINOIS INC              COM         690768403   2,082,885   107,476  SH      SOLE        1      107,476
OXFORD INDUSTRIES INC           COM         691497309     475,790    10,545  SH      SOLE        1       10,545
OYO GEOSPACE CORP               COM         671074102     275,449     3,562  SH      SOLE        1        3,562
P F CHANGS CHINA BISTRO INC     COM         69333Y108         618        20  SH      DEFINED     2                               20
P G + E CORP                    COM         69331C108   5,021,091   121,812  SH      SOLE        1      121,812
PAA NAT GAS STORAGE L P         COM         693139107      30,602     1,632  SH      DEFINED     4                            1,632
PACCAR INC                      COM         693718108   5,770,080   153,992  SH      SOLE        1      153,992
PACCAR INC                      COM         693718108      16,787       448  SH      DEFINED     2                              448
PACCAR INC                      COM         693718108      23,344       623  SH      DEFINED     3                              623
PACCAR INC                      COM         693718108       7,494       200  SH      DEFINED     4                              200
PACER INTERNATIONAL INC         COM         69373H106     136,719    25,555  SH      SOLE        1       25,555
PACHOLDER HIGH YIELD FD INC     COM         693742108      10,919     1,220  SH      DEFINED     3                            1,220
PACIFIC BIOSCIENCES OF CAL      COM         69404D108      69,370    24,775  SH      SOLE        1       24,775
PACIFIC CAPITAL BANCORP         COM         69404P200      84,833     3,004  SH      SOLE        1        3,004
PACIFIC CONTINENTAL CORP        COM         69412V108     119,112    13,459  SH      SOLE        1       13,459
PACIFIC DRILLING SA             COM         L7257P106   2,700,720   290,400  SH      SOLE        1      290,400
PACIFIC ETHANOL INC             COM         69423U206      50,891    48,010  SH      DEFINED     2                           48,010
PACIFIC SUNWEAR OF CALIF        COM         694873100      59,238    34,642  SH      SOLE        1       34,642
PACIRA PHARMACEUTICALS INC      COM         695127100      45,361     5,244  SH      SOLE        1        5,244
PACKAGING CORP AMER             COM         695156109     100,960     4,000  SH      DEFINED     3                            4,000
PACKAGING CORP AMER             COM         695156109       6,184       245  SH      DEFINED     4                              245
PACKAGING CORP OF AMERICA       COM         695156109   5,402,647   214,051  SH      SOLE        1      214,051






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
PACWEST BANCORP                 COM         695263103     472,310    24,924  SH      SOLE        1       24,924
PAIN THERAPEUTICS INC           COM         69562K100     102,372    26,940  SH      SOLE        1       26,940
PALATIN TECHNOLOGIES INC        COM         696077403          16        40  SH      DEFINED     4                               40
PALL CORP                       COM         696429307   2,065,687    36,145  SH      SOLE        1       36,145
PALL CORP                       COM         696429307      14,002       245  SH      DEFINED     4                              245
PALOMAR MEDICAL TECHNOLOGI      COM         697529303     144,420    15,529  SH      SOLE        1       15,529
PAN AMERICAN SILVER CORP        COM         697900108       1,745        80  SH      DEFINED     2                               80
PAN AMERICAN SILVER CORP        COM         697900108     135,222     6,200  SH      DEFINED     3                            6,200
PAN AMERICAN SILVER CORP        COM         697900108         218        10  SH      DEFINED     4                               10
PANDORA MEDIA INC               COM         698354107       3,814       381  SH      SOLE        1          381
PANDORA MEDIA INC               COM         698354107      17,467     1,745  SH      DEFINED     2                            1,745
PANDORA MEDIA INC               COM         698354107      14,515     1,450  SH      DEFINED     3                            1,450
PANERA BREAD CO                 COM         69840W108      14,145       100  SH      DEFINED     3                              100
PANERA BREAD CO                 COM         69840W108      47,103       333  SH      DEFINED     4                              333
PANERA BREAD COMPANY CLASS      COM         69840W108   9,160,585    64,762  SH      SOLE        1       64,762
PANHANDLE OIL AND GAS INC       COM         698477106     168,545     5,137  SH      SOLE        1        5,137
PANHANDLE OIL AND GAS INC       COM         698477106       6,562       200  SH      DEFINED     3                              200
PANTRY INC                      COM         698657103     200,964    16,789  SH      SOLE        1       16,789
PAPA JOHN S INTL INC            COM         698813102     572,774    15,201  SH      SOLE        1       15,201
PAR PHARMACEUTICAL COS INC      COM         69888P106     964,848    29,479  SH      SOLE        1       29,479
PARAGON SHIPPING INC            COM         69913R309         448       700  SH      DEFINED     3                              700
PARAGON SHIPPING INC            COM         69913R309          64       100  SH      DEFINED     4                              100
PARAMETRIC TECHNOLOGY CORP      COM         699173209   6,219,246   340,594  SH      SOLE        1      340,594
PARAMETRIC TECHNOLOGY CORP      COM         699173209          55         3  SH      DEFINED     4                                3
PARAMOUNT GOLD AND SILVER       COM         69924P102     183,073    85,548  SH      SOLE        1       85,548
PAREXEL INTERNATIONAL CORP      COM         699462107     995,375    47,993  SH      SOLE        1       47,993
PAREXEL INTL CORP               COM         699462107       5,704       275  SH      DEFINED     2                              275
PARK ELECTROCHEMICAL CORP       COM         700416209     432,696    16,889  SH      SOLE        1       16,889
PARK ELECTROCHEMICAL CORP       COM         700416209     164,942     6,438  SH      DEFINED     4                            6,438
PARK NATIONAL CORP              COM         700658107     613,191     9,425  SH      SOLE        1        9,425
PARK NATL CORP                  COM         700658107     174,780     2,686  SH      DEFINED     3                            2,686
PARK OHIO HOLDINGS CORP         COM         700666100     108,628     6,089  SH      SOLE        1        6,089
PARK STERLING CORP              COM         70086Y105      95,464    23,398  SH      SOLE        1       23,398
PARK STERLING CORP              COM         70086Y105         310        76  SH      DEFINED     3                               76
PARKER DRILLING CO              COM         701081101     611,013    85,218  SH      SOLE        1       85,218
PARKER HANNIFIN CORP            COM         701094104   5,655,463    74,170  SH      SOLE        1       74,170
PARKER HANNIFIN CORP            COM         701094104     258,412     3,389  SH      DEFINED     3                            3,389
PARKER HANNIFIN CORP            COM         701094104      74,801       981  SH      DEFINED     4                              981
PARKVALE FINL CORP              COM         701492100     150,410     6,122  SH      DEFINED     3                            6,122
PARKWAY PPTYS INC               COM         70159Q104         769        78  SH      DEFINED     4                               78
PARKWAY PROPERTIES INC          COM         70159Q104     176,474    17,898  SH      SOLE        1       17,898
PARTNER COMMUNICATIONS CO LT    COM         70211M109       3,536       400  SH      DEFINED     2                              400
PARTNER COMMUNICATIONS CO LT    COM         70211M109      15,382     1,740  SH      DEFINED     3                            1,740
PARTNER COMMUNICATIONS CO LT    COM         70211M109       1,768       200  SH      DEFINED     4                              200
PARTNERRE LTD                   COM         G6852T105     138,437     2,156  SH      SOLE        1        2,156
PATRIOT COAL CORP               COM         70336T104   2,244,355   264,977  SH      SOLE        1      264,977
PATRIOT COAL CORP               COM         70336T104     253,592    29,940  SH      DEFINED     2                           29,940
PATRIOT COAL CORP               COM         70336T104      57,596     6,800  SH      DEFINED     3                            6,800
PATRIOT TRANSPORTATION HLD      COM         70337B102      97,802     4,507  SH      SOLE        1        4,507
PATTERSON COMPANIES INC         COM         703395103      11,808       400  SH      DEFINED     3                              400
PATTERSON COS INC               COM         703395103     843,121    28,561  SH      SOLE        1       28,561
PATTERSON UTI ENERGY INC        COM         703481101   6,784,629   339,571  SH      SOLE        1      339,571
PATTERSON UTI ENERGY INC        COM         703481101     614,465    30,754  SH      DEFINED     3                           30,754
PATTERSON UTI ENERGY INC        COM         703481101       1,798        90  SH      DEFINED     4                               90
PAYCHEX INC                     COM         704326107   8,036,871   266,917  SH      SOLE        1      266,917
PAYCHEX INC                     COM         704326107      37,999     1,262  SH      DEFINED     2                            1,262
PAYCHEX INC                     COM         704326107      92,799     3,082  SH      DEFINED     3                            3,082
PAYCHEX INC                     COM         704326107     117,128     3,890  SH      DEFINED     4                            3,890
PC CONNECTION INC               COM         69318J100      75,368     6,796  SH      SOLE        1        6,796
PC TEL INC                      COM         69325Q105      10,520     1,538  SH      SOLE        1        1,538
PCM FUND INC                    COM         69323T101   1,768,079   164,167  SH      DEFINED     2                          164,167
PCM FUND INC                    COM         69323T101       5,385       500  SH      DEFINED     3                              500
PDF SOLUTIONS INC               COM         693282105     119,173    17,098  SH      SOLE        1       17,098
PDL BIOPHARMA INC               COM         69329Y104     632,524   102,020  SH      SOLE        1      102,020
PDL BIOPHARMA INC               COM         69329Y104     335,612    54,131  SH      DEFINED     3                           54,131
PDL BIOPHARMA INC               COM         69329Y104       1,240       200  SH      DEFINED     4                              200
PEABODY ENERGY CORP             COM         704549104   2,810,013    84,869  SH      SOLE        1       84,869
PEABODY ENERGY CORP             COM         704549104     111,415     3,365  SH      DEFINED     2                            3,365
PEABODY ENERGY CORP             COM         704549104      39,732     1,200  SH      DEFINED     3                            1,200
PEABODY ENERGY CORP             COM         704549104     127,474     3,850  SH      DEFINED     4                            3,850
PEARSON PLC                     COM         705015105       3,774       200  SH      DEFINED     4                              200
PEBBLEBROOK HOTEL TR            COM         70509V100       5,754       300  SH      DEFINED     3                              300
PEBBLEBROOK HOTEL TRUST         COM         70509V100     712,901    37,169  SH      SOLE        1       37,169
PEETS COFFEE & TEA INC          COM         705560100       7,208       115  SH      DEFINED     4                              115
PEETS COFFEE + TEA INC          COM         705560100     655,194    10,453  SH      SOLE        1       10,453
PEGASYSTEMS INC                 COM         705573103     357,034    12,144  SH      SOLE        1       12,144
PENDRELL CORP                   COM         70686R104     282,662   110,415  SH      SOLE        1      110,415
PENGROWTH ENERGY CORP           COM         70706P104     262,102    24,891  SH      DEFINED     2                           24,891
PENGROWTH ENERGY CORP           COM         70706P104     126,571    12,020  SH      DEFINED     3                           12,020
PENGROWTH ENERGY CORP           COM         70706P104      26,325     2,500  SH      DEFINED     4                            2,500
PENN NATIONAL GAMING INC        COM         707569109      82,498     2,167  SH      SOLE        1        2,167
PENN NATL GAMING INC            COM         707569109      52,232     1,372  SH      DEFINED     3                            1,372
PENN REAL ESTATE INVEST TS      COM         709102107     473,391    45,344  SH      SOLE        1       45,344
PENN VA RESOURCES PARTNERS L    COM         707884102      18,637       730  SH      DEFINED     2                              730
PENN VA RESOURCES PARTNERS L    COM         707884102       1,277        50  SH      DEFINED     3                               50
PENN VA RESOURCES PARTNERS L    COM         707884102      24,344       954  SH      DEFINED     4                              954
PENN VIRGINIA CORP              COM         707882106     196,867    37,215  SH      SOLE        1       37,215
PENN WEST PETE LTD NEW          COM         707887105      82,122     4,148  SH      DEFINED     2                            4,148
PENN WEST PETE LTD NEW          COM         707887105     222,572    11,241  SH      DEFINED     3                           11,241
PENN WEST PETE LTD NEW          COM         707887105     230,571    11,645  SH      DEFINED     4                           11,645
PENNANTPARK INVESTMENT COR      COM         708062104     335,916    33,292  SH      SOLE        1       33,292
PENNANTPARK INVT CORP           COM         708062104       7,164       710  SH      DEFINED     2                              710
PENNANTPARK INVT CORP           COM         708062104     803,561    79,639  SH      DEFINED     3                           79,639
PENNANTPARK INVT CORP           COM         708062104     229,043    22,700  SH      DEFINED     4                           22,700
PENNEY J C INC                  COM         708160106       9,280       264  SH      DEFINED     3                              264
PENNEY J C INC                  COM         708160106      66,258     1,885  SH      DEFINED     4                            1,885
PENNICHUCK CORP                 COM         708254206      98,599     3,420  SH      SOLE        1        3,420
PENNS WOODS BANCORP INC         COM         708430103     108,662     2,802  SH      SOLE        1        2,802
PENNYMAC MORTGAGE INVESTME      COM         70931T103     337,020    20,278  SH      SOLE        1       20,278
PENSKE AUTOMOTIVE GROUP IN      COM         70959W103     627,723    32,609  SH      SOLE        1       32,609
PENSKE AUTOMOTIVE GRP INC       COM         70959W103     141,545     7,353  SH      DEFINED     4                            7,353
PENTAIR INC                     COM         709631105   7,225,328   217,042  SH      SOLE        1      217,042
PENTAIR INC                     COM         709631105      55,594     1,670  SH      DEFINED     3                            1,670
PENTAIR INC                     COM         709631105       3,329       100  SH      DEFINED     4                              100
PEOPLE S UNITED FINANCIAL       COM         712704105   7,282,506   566,732  SH      SOLE        1      566,732
PEOPLES BANCORP INC             COM         709789101     114,244     7,714  SH      SOLE        1        7,714
PEOPLES UNITED FINANCIAL INC    COM         712704105     282,176    21,959  SH      DEFINED     2                           21,959
PEOPLES UNITED FINANCIAL INC    COM         712704105       5,140       400  SH      DEFINED     3                              400
PEP BOYS MANNY MOE + JACK       COM         713278109     471,977    42,907  SH      SOLE        1       42,907
PEPCO HOLDINGS INC              COM         713291102   4,492,532   221,307  SH      SOLE        1      221,307
PEPCO HOLDINGS INC              COM         713291102     313,026    15,420  SH      DEFINED     2                           15,420
PEPCO HOLDINGS INC              COM         713291102      40,905     2,015  SH      DEFINED     4                            2,015
PEPSICO INC                     COM         713448108  55,382,345   834,700  SH      SOLE        1      834,700
PEPSICO INC                     COM         713448108   1,462,203    22,038  SH      DEFINED     2                           22,038
PEPSICO INC                     COM         713448108   2,714,530    40,912  SH      DEFINED     3                           40,912






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
PEPSICO INC                     COM         713448108     525,503     7,920  SH      DEFINED     4                            7,920
PEREGRINE PHARMACEUTICALS       COM         713661304      59,835    58,092  SH      SOLE        1       58,092
PEREGRINE PHARMACEUTICALS IN    COM         713661304          21        20  SH      DEFINED     3                               20
PERFICIENT INC                  COM         71375U101     202,512    20,231  SH      SOLE        1       20,231
PERICOM SEMICONDUCTOR CORP      COM         713831105     154,742    20,334  SH      SOLE        1       20,334
PERKINELMER INC                 COM         714046109     751,300    37,565  SH      SOLE        1       37,565
PERKINELMER INC                 COM         714046109      27,680     1,384  SH      DEFINED     4                            1,384
PERMIAN BASIN RTY TR            COM         714236106      68,932     3,384  SH      DEFINED     2                            3,384
PERMIAN BASIN RTY TR            COM         714236106      51,210     2,514  SH      DEFINED     3                            2,514
PERMIAN BASIN RTY TR            COM         714236106      26,481     1,300  SH      DEFINED     4                            1,300
PERNIX THERAPEUTICS HOLDIN      COM         71426V108      25,206     2,722  SH      SOLE        1        2,722
PERRIGO CO                      COM         714290103   3,313,941    34,059  SH      SOLE        1       34,059
PERRIGO CO                      COM         714290103     209,682     2,155  SH      DEFINED     2                            2,155
PERRIGO CO                      COM         714290103       4,865        50  SH      DEFINED     3                               50
PERRIGO CO                      COM         714290103     245,683     2,525  SH      DEFINED     4                            2,525
PERRY ELLIS INTERNATIONAL       COM         288853104     141,205     9,930  SH      SOLE        1        9,930
PETMED EXPRESS INC              COM         716382106     172,017    16,572  SH      SOLE        1       16,572
PETROBRAS ARGENTINA S A         COM         71646J109         442        35  SH      DEFINED     3                               35
PETROBRAS ARGENTINA S A         COM         71646J109       5,300       420  SH      DEFINED     4                              420
PETROCHINA CO LTD               COM         71646E100       1,989        16  SH      DEFINED     2                               16
PETROCHINA CO LTD               COM         71646E100       8,080        65  SH      DEFINED     4                               65
PETROLEO BRASILEIRO SA PETRO    COM         71654V101         994        42  SH      DEFINED     2                               42
PETROLEO BRASILEIRO SA PETRO    COM         71654V408      15,084       607  SH      DEFINED     2                              607
PETROLEO BRASILEIRO SA PETRO    COM         71654V408     100,588     4,048  SH      DEFINED     3                            4,048
PETROLEO BRASILEIRO SA PETRO    COM         71654V408     103,144     4,151  SH      DEFINED     4                            4,151
PETROLEUM & RES CORP            COM         716549100       9,792       400  SH      DEFINED     2                              400
PETROLEUM & RES CORP            COM         716549100      63,036     2,575  SH      DEFINED     3                            2,575
PETROLEUM & RES CORP            COM         716549100       7,589       310  SH      DEFINED     4                              310
PETROLEUM DEV CORP              COM         716578109      38,621     1,100  SH      DEFINED     3                            1,100
PETROLEUM DEVELOPMENT CORP      COM         716578109     672,532    19,155  SH      SOLE        1       19,155
PETROQUEST ENERGY INC           COM         716748108     918,918   139,230  SH      SOLE        1      139,230
PETSMART INC                    COM         716768106  12,516,042   244,025  SH      SOLE        1      244,025
PETSMART INC                    COM         716768106       5,129       100  SH      DEFINED     4                              100
PF CHANG S CHINA BISTRO IN      COM         69333Y108     534,187    17,282  SH      SOLE        1       17,282
PFIZER INC                      COM         717081103   1,240,381    57,319  SH      DEFINED     2                           57,319
PFIZER INC                      COM         717081103   1,741,701    80,485  SH      DEFINED     3                           80,485
PFIZER INC                      COM         717081103   1,190,880    55,031  SH      DEFINED     4                           55,031
PG&E CORP                       COM         69331C108      62,733     1,522  SH      DEFINED     2                            1,522
PG&E CORP                       COM         69331C108      66,396     1,611  SH      DEFINED     3                            1,611
PG&E CORP                       COM         69331C108      96,867     2,350  SH      DEFINED     4                            2,350
PHARMACYCLICS INC               COM         716933106     497,048    33,539  SH      SOLE        1       33,539
PHARMASSET INC                  COM         71715N106     156,019     1,217  SH      SOLE        1        1,217
PHARMATHENE INC                 COM         71714G102      33,068    26,038  SH      SOLE        1       26,038
PHARMATHENE INC                 COM         71714G102       1,270     1,000  SH      DEFINED     3                            1,000
PHARMERICA CORP                 COM         71714F104     363,227    23,928  SH      SOLE        1       23,928
PHARMERICA CORP                 COM         71714F104          15         1  SH      DEFINED     2                                1
PHARMERICA CORP                 COM         71714F104       2,778       183  SH      DEFINED     3                              183
PHAZAR CORP                     COM         71722R108       3,300     1,500  SH      DEFINED     4                            1,500
PHH CORP                        COM         693320202     439,642    41,088  SH      SOLE        1       41,088
PHH CORP                        COM         693320202         193        18  SH      DEFINED     3                               18
PHI INC NON VOTING              COM         69336T205     236,771     9,528  SH      SOLE        1        9,528
PHILIP MORRIS INTL INC          COM         718172109   1,051,883    13,403  SH      DEFINED     2                           13,403
PHILIP MORRIS INTL INC          COM         718172109   2,840,756    36,197  SH      DEFINED     3                           36,197
PHILIP MORRIS INTL INC          COM         718172109     530,651     6,762  SH      DEFINED     4                            6,762
PHILIPPINE LONG DISTANCE TEL    COM         718252604      90,348     1,568  SH      DEFINED     3                            1,568
PHOENIX COMPANIES INC           COM         71902E109     142,706    84,944  SH      SOLE        1       84,944
PHOENIX COS INC NEW             COM         71902E109          44        26  SH      DEFINED     3                               26
PHOTRONICS INC                  COM         719405102     261,051    42,936  SH      SOLE        1       42,936
PICO HLDGS INC                  COM         693366205       6,174       300  SH      DEFINED     2                              300
PICO HOLDINGS INC               COM         693366205     341,216    16,580  SH      SOLE        1       16,580
PIEDMONT NAT GAS INC            COM         720186105     295,433     8,694  SH      DEFINED     2                            8,694
PIEDMONT NAT GAS INC            COM         720186105      40,368     1,188  SH      DEFINED     4                            1,188
PIEDMONT NATURAL GAS CO         COM         720186105   1,988,578    58,522  SH      SOLE        1       58,522
PIEDMONT OFFICE REALTY TR IN    COM         720190206   1,107,409    64,989  SH      DEFINED     2                           64,989
PIEDMONT OFFICE REALTY TR IN    COM         720190206   1,257,220    73,781  SH      DEFINED     3                           73,781
PIEDMONT OFFICE REALTY TR IN    COM         720190206     248,562    14,587  SH      DEFINED     4                           14,587
PIEDMONT OFFICE REALTY TRU      COM         720190206      93,993     5,516  SH      SOLE        1        5,516
PIER 1 IMPORTS INC              COM         720279108     998,224    71,660  SH      SOLE        1       71,660
PIKE ELECTRIC CORP              COM         721283109      85,352    11,871  SH      SOLE        1       11,871
PILGRIM S PRIDE CORP            COM         72147K108     212,947    36,970  SH      SOLE        1       36,970
PILGRIMS PRIDE CORP NEW         COM         72147K108      24,480     4,250  SH      DEFINED     2                            4,250
PIMCO CA MUNICIPAL INCOME FD    COM         72200N106     215,040    16,000  SH      DEFINED     2                           16,000
PIMCO CALIF MUN INCOME FD II    COM         72200M108      36,199     3,851  SH      DEFINED     3                            3,851
PIMCO CALIF MUN INCOME FD II    COM         72201C109      54,656     5,600  SH      DEFINED     4                            5,600
PIMCO CORPORATE INCOME FD       COM         72200U100      15,950     1,000  SH      DEFINED     3                            1,000
PIMCO CORPORATE INCOME FD       COM         72200U100     103,332     6,478  SH      DEFINED     4                            6,478
PIMCO CORPORATE OPP FD          COM         72201B101     723,026    41,625  SH      DEFINED     2                           41,625
PIMCO CORPORATE OPP FD          COM         72201B101     110,393     6,355  SH      DEFINED     3                            6,355
PIMCO CORPORATE OPP FD          COM         72201B101      25,169     1,449  SH      DEFINED     4                            1,449
PIMCO ETF TR                    COM         72201R106      28,116       550  SH      DEFINED     2                              550
PIMCO ETF TR                    COM         72201R833      76,615       765  SH      DEFINED     2                              765
PIMCO ETF TR                    COM         72201R866      53,120     1,000  SH      DEFINED     2                            1,000
PIMCO ETF TR                    COM         72201R874      50,440     1,000  SH      DEFINED     2                            1,000
PIMCO ETF TR                    COM         72201R205     590,642    11,069  SH      DEFINED     3                           11,069
PIMCO ETF TR                    COM         72201R403   1,135,722    19,484  SH      DEFINED     3                           19,484
PIMCO ETF TR                    COM         72201R825      16,041       300  SH      DEFINED     3                              300
PIMCO ETF TR                    COM         72201R833   1,251,474    12,496  SH      DEFINED     3                           12,496
PIMCO ETF TR                    COM         72201R866      31,872       600  SH      DEFINED     3                              600
PIMCO ETF TR                    COM         72201R205      60,297     1,130  SH      DEFINED     4                            1,130
PIMCO ETF TR                    COM         72201R403      29,378       504  SH      DEFINED     4                              504
PIMCO ETF TR                    COM         72201R866      31,713       597  SH      DEFINED     4                              597
PIMCO GLOBAL STOCKSPLS INCM     COM         722011103       3,750       200  SH      DEFINED     2                              200
PIMCO GLOBAL STOCKSPLS INCM     COM         722011103      18,750     1,000  SH      DEFINED     3                            1,000
PIMCO GLOBAL STOCKSPLS INCM     COM         722011103      27,000     1,440  SH      DEFINED     4                            1,440
PIMCO HIGH INCOME FD            COM         722014107      96,160     8,000  SH      DEFINED     2                            8,000
PIMCO HIGH INCOME FD            COM         722014107     189,207    15,741  SH      DEFINED     3                           15,741
PIMCO HIGH INCOME FD            COM         722014107     140,995    11,730  SH      DEFINED     4                           11,730
PIMCO INCOME OPPORTUNITY FD     COM         72202B100       5,036       200  SH      DEFINED     2                              200
PIMCO INCOME OPPORTUNITY FD     COM         72202B100     236,818     9,405  SH      DEFINED     3                            9,405
PIMCO INCOME STRATEGY FUND      COM         72201H108      12,064     1,160  SH      DEFINED     2                            1,160
PIMCO INCOME STRATEGY FUND      COM         72201H108       8,871       853  SH      DEFINED     3                              853
PIMCO INCOME STRATEGY FUND      COM         72201H108      38,303     3,683  SH      DEFINED     4                            3,683
PIMCO MUN INCOME FD II          COM         72200W106         112        10  SH      DEFINED     4                               10
PIMCO MUN INCOME FD III         COM         72201A103      24,885     2,252  SH      DEFINED     3                            2,252
PIMCO MUNICIPAL INCOME FD       COM         72200R107     192,382    13,529  SH      DEFINED     3                           13,529
PIMCO STRATEGIC GBL GOV FD I    COM         72200X104      80,280     7,200  SH      DEFINED     2                            7,200
PIMCO STRATEGIC GBL GOV FD I    COM         72200X104     104,799     9,399  SH      DEFINED     3                            9,399
PIMCO STRATEGIC GBL GOV FD I    COM         72200X104      22,300     2,000  SH      DEFINED     4                            2,000
PINNACLE ENTERTAINMENT INC      COM         723456109     512,775    50,470  SH      SOLE        1       50,470
PINNACLE ENTMT INC              COM         723456109         782        77  SH      DEFINED     3                               77
PINNACLE FINANCIAL PARTNER      COM         72346Q104     449,422    27,828  SH      SOLE        1       27,828
PINNACLE WEST CAP CORP          COM         723484101      12,045       250  SH      DEFINED     2                              250
PINNACLE WEST CAP CORP          COM         723484101         915        19  SH      DEFINED     3                               19
PINNACLE WEST CAPITAL           COM         723484101   1,747,730    36,275  SH      SOLE        1       36,275
PIONEER DRILLING CO             COM         723655106       9,680     1,000  SH      DEFINED     4                            1,000






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
PIONEER DRILLING COMPANY        COM         723655106     486,013    50,208  SH      SOLE        1       50,208
PIONEER FLOATING RATE TR        COM         72369J102       8,978       720  SH      DEFINED     2                              720
PIONEER HIGH INCOME TR          COM         72369H106       8,665       500  SH      DEFINED     2                              500
PIONEER HIGH INCOME TR          COM         72369H106     165,155     9,530  SH      DEFINED     3                            9,530
PIONEER MUN HIGH INCOME ADV     COM         723762100      32,155     2,233  SH      DEFINED     3                            2,233
PIONEER MUN HIGH INCOME ADV     COM         723762100      14,400     1,000  SH      DEFINED     4                            1,000
PIONEER MUN HIGH INCOME TR      COM         723763108      21,264     1,430  SH      DEFINED     3                            1,430
PIONEER NAT RES CO              COM         723787107     160,706     1,796  SH      DEFINED     3                            1,796
PIONEER NATURAL RESOURCES       COM         723787107   4,173,258    46,639  SH      SOLE        1       46,639
PIONEER SOUTHWST ENRG PRTNR     COM         72388B106      15,173       580  SH      DEFINED     3                              580
PIPER JAFFRAY COS               COM         724078100     259,732    12,858  SH      SOLE        1       12,858
PIPER JAFFRAY COS               COM         724078100          40         2  SH      DEFINED     3                                2
PITNEY BOWES INC                COM         724479100   1,364,025    73,572  SH      SOLE        1       73,572
PITNEY BOWES INC                COM         724479100     262,482    14,158  SH      DEFINED     3                           14,158
PITNEY BOWES INC                COM         724479100     569,827    30,735  SH      DEFINED     4                           30,735
PIXELWORKS INC                  COM         72581M305       2,897     1,197  SH      DEFINED     3                            1,197
PLAINS ALL AMERN PIPELINE L     COM         726503105     230,781     3,142  SH      DEFINED     2                            3,142
PLAINS ALL AMERN PIPELINE L     COM         726503105   1,160,510    15,800  SH      DEFINED     3                           15,800
PLAINS ALL AMERN PIPELINE L     COM         726503105      49,212       670  SH      DEFINED     4                              670
PLAINS EXPLORATION + PRODU      COM         726505100  11,401,633   310,502  SH      SOLE        1      310,502
PLANTRONICS INC                 COM         727493108   4,496,948   126,177  SH      SOLE        1      126,177
PLATINUM UNDERWRITERS HLDG      COM         G7127P100     928,508    27,221  SH      SOLE        1       27,221
PLEXUS CORP                     COM         729132100     790,899    28,886  SH      SOLE        1       28,886
PLEXUS CORP                     COM         729132100       9,583       350  SH      DEFINED     2                              350
PLEXUS CORP                     COM         729132100     136,790     4,996  SH      DEFINED     4                            4,996
PLUM CREEK TIMBER CO            COM         729251108   1,893,662    51,796  SH      SOLE        1       51,796
PLUM CREEK TIMBER CO INC        COM         729251108     141,648     3,874  SH      DEFINED     2                            3,874
PLUM CREEK TIMBER CO INC        COM         729251108      80,834     2,211  SH      DEFINED     3                            2,211
PLUM CREEK TIMBER CO INC        COM         729251108      31,076       850  SH      DEFINED     4                              850
PLURISTEM THERAPEUTICS INC      COM         72940R102          20         8  SH      DEFINED     3                                8
PLX TECHNOLOGY INC              COM         693417107      93,318    32,515  SH      SOLE        1       32,515
PMC   SIERRA INC                COM         69344F106      39,936     7,248  SH      SOLE        1        7,248
PMFG INC                        COM         69345P103     250,001    12,814  SH      SOLE        1       12,814
PMI GROUP INC/THE               COM         69344M101       3,016   111,273  SH      SOLE        1      111,273
PNC FINANCIAL SERVICES GRO      COM         693475105  13,603,430   235,884  SH      SOLE        1      235,884
PNC FINL SVCS GROUP INC         COM         693475105      74,048     1,284  SH      DEFINED     2                            1,284
PNC FINL SVCS GROUP INC         COM         693475105     122,980     2,132  SH      DEFINED     3                            2,132
PNC FINL SVCS GROUP INC         COM         693475105      36,447       632  SH      DEFINED     4                              632
PNM RESOURCES INC               COM         69349H107   4,212,552   231,078  SH      SOLE        1      231,078
POLARIS INDS INC                COM         731068102     203,879     3,642  SH      DEFINED     2                            3,642
POLARIS INDS INC                COM         731068102      15,674       280  SH      DEFINED     3                              280
POLARIS INDUSTRIES INC          COM         731068102   8,443,295   150,827  SH      SOLE        1      150,827
POLYCOM INC                     COM         73172K104   6,313,658   387,341  SH      SOLE        1      387,341
POLYONE CORP                    COM         73179P106       2,310       200  SH      DEFINED     2                              200
POLYONE CORPORATION             COM         73179P106     876,310    75,871  SH      SOLE        1       75,871
POLYPORE INTERNATIONAL INC      COM         73179V103      28,550       649  SH      SOLE        1          649
POOL CORP                       COM         73278L105   1,180,071    39,205  SH      SOLE        1       39,205
POPULAR INC                     COM         733174106      45,427    32,681  SH      SOLE        1       32,681
PORTFOLIO RECOVERY ASSOCIA      COM         73640Q105     941,094    13,938  SH      SOLE        1       13,938
PORTLAND GENERAL ELECTRIC       COM         736508847   1,391,380    55,017  SH      SOLE        1       55,017
POSCO                           COM         693483109       8,210       100  SH      DEFINED     3                              100
POSCO                           COM         693483109       9,031       110  SH      DEFINED     4                              110
POST PROPERTIES INC             COM         737464107   1,782,902    40,780  SH      SOLE        1       40,780
POTASH CORP OF SASKATCHEWA      COM         73755L107   1,787,424    43,300  SH      SOLE        1       43,300
POTASH CORP SASK INC            COM         73755L107      30,965       750  SH      DEFINED     2                              750
POTASH CORP SASK INC            COM         73755L107     514,927    12,474  SH      DEFINED     3                           12,474
POTASH CORP SASK INC            COM         73755L107      89,371     2,165  SH      DEFINED     4                            2,165
POTLATCH CORP                   COM         737630103   3,624,906   116,519  SH      SOLE        1      116,519
POTLATCH CORP NEW               COM         737630103      70,937     2,280  SH      DEFINED     2                            2,280
POWELL INDUSTRIES INC           COM         739128106     224,997     7,193  SH      SOLE        1        7,193
POWER INTEGRATIONS INC          COM         739276103     776,906    23,429  SH      SOLE        1       23,429
POWER ONE INC                   COM         73930R102     194,436    49,728  SH      SOLE        1       49,728
POWER REIT                      COM         73933H101       7,641       701  SH      DEFINED     3                              701
POWERSECURE INTERNATIONAL       COM         73936N105      68,087    13,755  SH      SOLE        1       13,755
POWERSECURE INTL INC            COM         73936N105       1,906       385  SH      DEFINED     2                              385
POWERSECURE INTL INC            COM         73936N105      28,958     5,850  SH      DEFINED     3                            5,850
POWERSECURE INTL INC            COM         73936N105      14,850     3,000  SH      DEFINED     4                            3,000
POWERSHARES ACTIVE MNG ETF T    COM         73935B508     344,795     6,839  SH      DEFINED     2                            6,839
POWERSHARES ACTIVE MNG ETF T    COM         73935B300      26,360     1,000  SH      DEFINED     3                            1,000
POWERSHARES ACTIVE MNG ETF T    COM         73935B508      20,166       400  SH      DEFINED     3                              400
POWERSHARES DB CMDTY IDX TRA    COM         73935S105     454,884    16,948  SH      DEFINED     2                           16,948
POWERSHARES DB CMDTY IDX TRA    COM         73935S105     704,174    26,236  SH      DEFINED     3                           26,236
POWERSHARES DB CMDTY IDX TRA    COM         73935S105     247,465     9,220  SH      DEFINED     4                            9,220
POWERSHARES DB G10 CURCY HAR    COM         73935Y102      63,344     2,666  SH      DEFINED     3                            2,666
POWERSHARES DB G10 CURCY HAR    COM         73935Y102       8,910       375  SH      DEFINED     4                              375
POWERSHARES ETF TR II           COM         73937B209       7,426       200  SH      DEFINED     2                              200
POWERSHARES ETF TR II           COM         73937B407     297,045    10,350  SH      DEFINED     2                           10,350
POWERSHARES ETF TR II           COM         73937B779     636,089    24,531  SH      DEFINED     2                           24,531
POWERSHARES ETF TR II           COM         73937B860      36,582     1,305  SH      DEFINED     2                            1,305
POWERSHARES ETF TR II           COM         73937B407      27,265       950  SH      DEFINED     3                              950
POWERSHARES ETF TR II           COM         73937B779     111,499     4,300  SH      DEFINED     3                            4,300
POWERSHARES ETF TR II           COM         73937B308       1,254       183  SH      DEFINED     4                              183
POWERSHARES ETF TR II           COM         73937B407      28,700     1,000  SH      DEFINED     4                            1,000
POWERSHARES ETF TR II           COM         73937B506       2,873       106  SH      DEFINED     4                              106
POWERSHARES ETF TR II           COM         73937B605       2,799        89  SH      DEFINED     4                               89
POWERSHARES ETF TR II           COM         73937B779     600,357    23,153  SH      DEFINED     4                           23,153
POWERSHARES ETF TR II           COM         73937B886       2,932        93  SH      DEFINED     4                               93
POWERSHARES ETF TRUST           COM         73935X104      20,510       500  SH      DEFINED     2                              500
POWERSHARES ETF TRUST           COM         73935X146       4,628       134  SH      DEFINED     2                              134
POWERSHARES ETF TRUST           COM         73935X153     990,518    41,566  SH      DEFINED     2                           41,566
POWERSHARES ETF TRUST           COM         73935X161       9,982       443  SH      DEFINED     2                              443
POWERSHARES ETF TRUST           COM         73935X229      45,007     2,792  SH      DEFINED     2                            2,792
POWERSHARES ETF TRUST           COM         73935X278      11,960       556  SH      DEFINED     2                              556
POWERSHARES ETF TRUST           COM         73935X500       9,405     1,855  SH      DEFINED     2                            1,855
POWERSHARES ETF TRUST           COM         73935X567      67,620     1,127  SH      DEFINED     2                            1,127
POWERSHARES ETF TRUST           COM         73935X575      43,237     2,566  SH      DEFINED     2                            2,566
POWERSHARES ETF TRUST           COM         73935X583     121,741     2,230  SH      DEFINED     2                            2,230
POWERSHARES ETF TRUST           COM         73935X609       4,514       280  SH      DEFINED     2                              280
POWERSHARES ETF TRUST           COM         73935X625      12,298       610  SH      DEFINED     2                              610
POWERSHARES ETF TRUST           COM         73935X658      11,215       500  SH      DEFINED     2                              500
POWERSHARES ETF TRUST           COM         73935X716     864,511    59,335  SH      DEFINED     2                           59,335
POWERSHARES ETF TRUST           COM         73935X732      78,316     5,235  SH      DEFINED     2                            5,235
POWERSHARES ETF TRUST           COM         73935X740       3,668       360  SH      DEFINED     2                              360
POWERSHARES ETF TRUST           COM         73935X757       5,140       275  SH      DEFINED     2                              275
POWERSHARES ETF TRUST           COM         73935X773       4,550       194  SH      DEFINED     2                              194
POWERSHARES ETF TRUST           COM         73935X799      33,816     1,200  SH      DEFINED     2                            1,200
POWERSHARES ETF TRUST           COM         73935X823       4,585       346  SH      DEFINED     2                              346
POWERSHARES ETF TRUST           COM         73935X856      12,036       600  SH      DEFINED     2                              600
POWERSHARES ETF TRUST           COM         73935X864      75,617     5,130  SH      DEFINED     2                            5,130
POWERSHARES ETF TRUST           COM         73935X104       2,417        59  SH      DEFINED     3                               59
POWERSHARES ETF TRUST           COM         73935X153      41,512     1,742  SH      DEFINED     3                            1,742
POWERSHARES ETF TRUST           COM         73935X229      88,596     5,496  SH      DEFINED     3                            5,496
POWERSHARES ETF TRUST           COM         73935X302       1,684       182  SH      DEFINED     3                              182
POWERSHARES ETF TRUST           COM         73935X351       5,738       200  SH      DEFINED     3                              200
POWERSHARES ETF TRUST           COM         73935X385      25,484       668  SH      DEFINED     3                              668






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
POWERSHARES ETF TRUST           COM         73935X401      42,655     2,175  SH      DEFINED     3                            2,175
POWERSHARES ETF TRUST           COM         73935X500       6,926     1,366  SH      DEFINED     3                            1,366
POWERSHARES ETF TRUST           COM         73935X575      45,444     2,697  SH      DEFINED     3                            2,697
POWERSHARES ETF TRUST           COM         73935X591       1,625       100  SH      DEFINED     3                              100
POWERSHARES ETF TRUST           COM         73935X609       4,988       309  SH      DEFINED     3                              309
POWERSHARES ETF TRUST           COM         73935X625      28,224     1,400  SH      DEFINED     3                            1,400
POWERSHARES ETF TRUST           COM         73935X641      21,511     1,435  SH      DEFINED     3                            1,435
POWERSHARES ETF TRUST           COM         73935X690     133,497     7,335  SH      DEFINED     3                            7,335
POWERSHARES ETF TRUST           COM         73935X708      12,471       647  SH      DEFINED     3                              647
POWERSHARES ETF TRUST           COM         73935X716      33,543     2,302  SH      DEFINED     3                            2,302
POWERSHARES ETF TRUST           COM         73935X732      25,432     1,700  SH      DEFINED     3                            1,700
POWERSHARES ETF TRUST           COM         73935X773       2,087        89  SH      DEFINED     3                               89
POWERSHARES ETF TRUST           COM         73935X799         310        11  SH      DEFINED     3                               11
POWERSHARES ETF TRUST           COM         73935X807      49,512     2,433  SH      DEFINED     3                            2,433
POWERSHARES ETF TRUST           COM         73935X872      20,683     1,300  SH      DEFINED     3                            1,300
POWERSHARES ETF TRUST           COM         73935X880      26,358     1,709  SH      DEFINED     3                            1,709
POWERSHARES ETF TRUST           COM         73935X229     320,927    19,909  SH      DEFINED     4                           19,909
POWERSHARES ETF TRUST           COM         73935X302      41,440     4,480  SH      DEFINED     4                            4,480
POWERSHARES ETF TRUST           COM         73935X385       5,723       150  SH      DEFINED     4                              150
POWERSHARES ETF TRUST           COM         73935X500       5,070     1,000  SH      DEFINED     4                            1,000
POWERSHARES ETF TRUST           COM         73935X575      11,795       700  SH      DEFINED     4                              700
POWERSHARES ETF TRUST           COM         73935X583      63,763     1,168  SH      DEFINED     4                            1,168
POWERSHARES ETF TRUST           COM         73935X617     427,737    19,478  SH      DEFINED     4                           19,478
POWERSHARES ETF TRUST           COM         73935X625      16,128       800  SH      DEFINED     4                              800
POWERSHARES ETF TRUST           COM         73935X666      33,688     2,812  SH      DEFINED     4                            2,812
POWERSHARES ETF TRUST           COM         73935X716      76,053     5,220  SH      DEFINED     4                            5,220
POWERSHARES ETF TRUST           COM         73935X773       1,993        85  SH      DEFINED     4                               85
POWERSHARES ETF TRUST           COM         73935X799     590,315    20,948  SH      DEFINED     4                           20,948
POWERSHARES ETF TRUST           COM         73935X823       2,716       205  SH      DEFINED     4                              205
POWERSHARES ETF TRUST           COM         73935X856      21,966     1,095  SH      DEFINED     4                            1,095
POWERSHARES ETF TRUST II        COM         73936Q108      55,450     3,174  SH      DEFINED     2                            3,174
POWERSHARES ETF TRUST II        COM         73936Q207     349,612    21,933  SH      DEFINED     2                           21,933
POWERSHARES ETF TRUST II        COM         73936Q702      23,654       880  SH      DEFINED     2                              880
POWERSHARES ETF TRUST II        COM         73936Q769   3,493,451   146,722  SH      DEFINED     2                          146,722
POWERSHARES ETF TRUST II        COM         73936Q793     537,668    24,709  SH      DEFINED     2                           24,709
POWERSHARES ETF TRUST II        COM         73936Q835      44,538     1,685  SH      DEFINED     2                            1,685
POWERSHARES ETF TRUST II        COM         73936Q884       3,457       141  SH      DEFINED     2                              141
POWERSHARES ETF TRUST II        COM         73936Q108         542        31  SH      DEFINED     3                               31
POWERSHARES ETF TRUST II        COM         73936Q207       7,954       499  SH      DEFINED     3                              499
POWERSHARES ETF TRUST II        COM         73936Q843      70,530     3,000  SH      DEFINED     3                            3,000
POWERSHARES ETF TRUST II        COM         73936Q108     146,713     8,398  SH      DEFINED     4                            8,398
POWERSHARES ETF TRUST II        COM         73936Q702      61,824     2,300  SH      DEFINED     4                            2,300
POWERSHARES GLOBAL ETF TRUST    COM         73936T433      45,036     1,800  SH      DEFINED     2                            1,800
POWERSHARES GLOBAL ETF TRUST    COM         73936T474     352,007    14,397  SH      DEFINED     2                           14,397
POWERSHARES GLOBAL ETF TRUST    COM         73936T557   2,723,325   147,446  SH      DEFINED     2                          147,446
POWERSHARES GLOBAL ETF TRUST    COM         73936T565      60,236     4,400  SH      DEFINED     2                            4,400
POWERSHARES GLOBAL ETF TRUST    COM         73936T573     138,277     5,054  SH      DEFINED     2                            5,054
POWERSHARES GLOBAL ETF TRUST    COM         73936T615       3,843       467  SH      DEFINED     2                              467
POWERSHARES GLOBAL ETF TRUST    COM         73936T433      17,514       700  SH      DEFINED     3                              700
POWERSHARES GLOBAL ETF TRUST    COM         73936T441       9,684       400  SH      DEFINED     3                              400
POWERSHARES GLOBAL ETF TRUST    COM         73936T474     103,203     4,221  SH      DEFINED     3                            4,221
POWERSHARES GLOBAL ETF TRUST    COM         73936T557     354,606    19,199  SH      DEFINED     3                           19,199
POWERSHARES GLOBAL ETF TRUST    COM         73936T565     153,650    11,223  SH      DEFINED     3                           11,223
POWERSHARES GLOBAL ETF TRUST    COM         73936T573     100,493     3,673  SH      DEFINED     3                            3,673
POWERSHARES GLOBAL ETF TRUST    COM         73936T623       7,795       500  SH      DEFINED     3                              500
POWERSHARES GLOBAL ETF TRUST    COM         73936T763      20,938     1,035  SH      DEFINED     3                            1,035
POWERSHARES GLOBAL ETF TRUST    COM         73936T474      31,736     1,298  SH      DEFINED     4                            1,298
POWERSHARES GLOBAL ETF TRUST    COM         73936T557      24,011     1,300  SH      DEFINED     4                            1,300
POWERSHARES GLOBAL ETF TRUST    COM         73936T565      84,632     6,182  SH      DEFINED     4                            6,182
POWERSHARES GLOBAL ETF TRUST    COM         73936T573       5,472       200  SH      DEFINED     4                              200
POWERSHARES GLOBAL ETF TRUST    COM         73936T771       3,207       156  SH      DEFINED     4                              156
POWERSHARES GLOBAL ETF TRUST    COM         73936T805       4,546       312  SH      DEFINED     4                              312
POWERSHARES INDIA ETF TR        COM         73935L100       8,150       500  SH      DEFINED     2                              500
POWERSHARES INDIA ETF TR        COM         73935L100      25,135     1,542  SH      DEFINED     3                            1,542
POWERSHARES INDIA ETF TR        COM         73935L100      23,798     1,460  SH      DEFINED     4                            1,460
POWERSHARES QQQ TRUST           COM         73935A104   2,976,227    53,309  SH      DEFINED     2                           53,309
POWERSHARES QQQ TRUST           COM         73935A104   1,806,331    32,354  SH      DEFINED     3                           32,354
POWERSHARES QQQ TRUST           COM         73935A104     894,899    16,029  SH      DEFINED     4                           16,029
POWERSHS DB MULTI SECT COMM     COM         73936B200      70,313     1,305  SH      DEFINED     2                            1,305
POWERSHS DB MULTI SECT COMM     COM         73936B408     566,539    19,617  SH      DEFINED     2                           19,617
POWERSHS DB MULTI SECT COMM     COM         73936B507          86         3  SH      DEFINED     2                                3
POWERSHS DB MULTI SECT COMM     COM         73936B705       1,790        96  SH      DEFINED     2                               96
POWERSHS DB MULTI SECT COMM     COM         73936B101      21,875       792  SH      DEFINED     3                              792
POWERSHS DB MULTI SECT COMM     COM         73936B200      29,095       540  SH      DEFINED     3                              540
POWERSHS DB MULTI SECT COMM     COM         73936B408     371,426    12,861  SH      DEFINED     3                           12,861
POWERSHS DB MULTI SECT COMM     COM         73936B507      10,000       350  SH      DEFINED     3                              350
POWERSHS DB MULTI SECT COMM     COM         73936B705      39,165     2,100  SH      DEFINED     3                            2,100
POWERSHS DB MULTI SECT COMM     COM         73936B101      19,665       712  SH      DEFINED     4                              712
POWERSHS DB MULTI SECT COMM     COM         73936B309       9,598       200  SH      DEFINED     4                              200
POWERSHS DB MULTI SECT COMM     COM         73936B408     373,678    12,939  SH      DEFINED     4                           12,939
POWERSHS DB MULTI SECT COMM     COM         73936B606     262,449     4,820  SH      DEFINED     4                            4,820
POWERSHS DB MULTI SECT COMM     COM         73936B705      21,000     1,126  SH      DEFINED     4                            1,126
POWERSHS DB US DOLLAR INDEX     COM         73936D107     293,076    13,043  SH      DEFINED     2                           13,043
POWERSHS DB US DOLLAR INDEX     COM         73936D206      11,975       446  SH      DEFINED     2                              446
POWERSHS DB US DOLLAR INDEX     COM         73936D107      30,514     1,358  SH      DEFINED     3                            1,358
POWERSHS DB US DOLLAR INDEX     COM         73936D206      67,125     2,500  SH      DEFINED     3                            2,500
POWERSHS DB US DOLLAR INDEX     COM         73936D107      94,801     4,219  SH      DEFINED     4                            4,219
POWERSHS DB US DOLLAR INDEX     COM         73936D206       6,713       250  SH      DEFINED     4                              250
POWERWAVE TECHNOLOGIES INC      COM         739363307      48,108    23,129  SH      SOLE        1       23,129
POZEN INC                       COM         73941U102      76,354    19,330  SH      SOLE        1       19,330
PPG INDS INC                    COM         693506107      44,918       538  SH      DEFINED     2                              538
PPG INDS INC                    COM         693506107     736,340     8,820  SH      DEFINED     3                            8,820
PPG INDS INC                    COM         693506107     693,718     8,309  SH      DEFINED     4                            8,309
PPG INDUSTRIES INC              COM         693506107   6,229,356    74,612  SH      SOLE        1       74,612
PPL CORP                        COM         69351T106      32,950     1,120  SH      DEFINED     2                            1,120
PPL CORP                        COM         69351T106     197,791     6,723  SH      DEFINED     3                            6,723
PPL CORP                        COM         69351T601     881,657    15,860  SH      DEFINED     3                           15,860
PPL CORP                        COM         69351T106      19,991       679  SH      DEFINED     4                              679
PPL CORPORATION                 COM         69351T106   5,648,287   191,988  SH      SOLE        1      191,988
PRAXAIR INC                     COM         74005P104  14,911,909   139,494  SH      SOLE        1      139,494
PRAXAIR INC                     COM         74005P104     108,504     1,015  SH      DEFINED     2                            1,015
PRAXAIR INC                     COM         74005P104      36,667       343  SH      DEFINED     3                              343
PRAXAIR INC                     COM         74005P104     596,716     5,582  SH      DEFINED     4                            5,582
PRECISION CASTPARTS CORP        COM         740189105  16,387,871    99,447  SH      SOLE        1       99,447
PRECISION CASTPARTS CORP        COM         740189105      16,973       103  SH      DEFINED     2                              103
PRECISION CASTPARTS CORP        COM         740189105      71,848       436  SH      DEFINED     3                              436
PREFERRED APT CMNTYS INC        COM         74039L103          48         8  SH      DEFINED     3                                8
PREFERRED BK LOS ANGELES CA     COM         740367404       5,215       700  SH      DEFINED     4                              700
PREFORMED LINE PRODUCTS CO      COM         740444104     106,135     1,779  SH      SOLE        1        1,779
PREMIERE GLOBAL SERVICES I      COM         740585104     323,198    38,158  SH      SOLE        1       38,158
PRESIDENTIAL LIFE CORP          COM         740884101     176,124    17,630  SH      SOLE        1       17,630
PRESTIGE BRANDS HLDGS INC       COM         74112D101       6,762       600  SH      DEFINED     2                              600
PRESTIGE BRANDS HOLDINGS I      COM         74112D101     461,890    40,984  SH      SOLE        1       40,984
PRGX GLOBAL INC                 COM         69357C503      84,883    14,266  SH      SOLE        1       14,266
PRICE T ROWE GROUP INC          COM         74144T108       5,695       100  SH      DEFINED     2                              100






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
PRICE T ROWE GROUP INC          COM         74144T108         399         7  SH      DEFINED     3                                7
PRICELINE COM INC               COM         741503403      10,290        22  SH      DEFINED     3                               22
PRICELINE COM INC               COM         741503403       1,403         3  SH      DEFINED     4                                3
PRICELINE.COM INC               COM         741503403   8,142,831    17,410  SH      SOLE        1       17,410
PRICESMART INC                  COM         741511109     904,183    12,993  SH      SOLE        1       12,993
PRICESMART INC                  COM         741511109     112,666     1,619  SH      DEFINED     2                            1,619
PRIMERICA INC                   COM         74164M108     577,142    24,834  SH      SOLE        1       24,834
PRIMO WATER CORP                COM         74165N105      32,601    10,724  SH      SOLE        1       10,724
PRIMORIS SERVICES CORP          COM         74164F103     291,105    19,498  SH      SOLE        1       19,498
PRIMUS GUARANTY LTD             COM         G72457107      84,638    17,273  SH      SOLE        1       17,273
PRINCIPAL FINANCIAL GROUP       COM         74251V102   2,538,966   103,210  SH      SOLE        1      103,210
PRINCIPAL FINL GROUP INC        COM         74251V102       9,373       381  SH      DEFINED     2                              381
PRINCIPAL FINL GROUP INC        COM         74251V102       6,180       251  SH      DEFINED     3                              251
PRINCIPAL FINL GROUP INC        COM         74251V102         812        33  SH      DEFINED     4                               33
PRIVATEBANCORP INC              COM         742962103     536,680    48,878  SH      SOLE        1       48,878
PROASSURANCE CORP               COM         74267C106   1,988,316    24,910  SH      SOLE        1       24,910
PROASSURANCE CORP               COM         74267C106       1,996        25  SH      DEFINED     2                               25
PROCERA NETWORKS INC            COM         74269U203     163,761    10,511  SH      SOLE        1       10,511
PROCTER & GAMBLE CO             COM         742718109   3,347,182    50,175  SH      DEFINED     2                           50,175
PROCTER & GAMBLE CO             COM         742718109   2,661,472    39,896  SH      DEFINED     3                           39,896
PROCTER & GAMBLE CO             COM         742718109   1,229,478    18,430  SH      DEFINED     4                           18,430
PROGENICS PHARMACEUTICALS       COM         743187106     183,063    21,436  SH      SOLE        1       21,436
PROGRESS ENERGY INC             COM         743263105   5,458,085    97,431  SH      SOLE        1       97,431
PROGRESS ENERGY INC             COM         743263105     119,069     2,125  SH      DEFINED     2                            2,125
PROGRESS ENERGY INC             COM         743263105     142,571     2,545  SH      DEFINED     3                            2,545
PROGRESS ENERGY INC             COM         743263105     106,158     1,895  SH      DEFINED     4                            1,895
PROGRESS SOFTWARE CORP          COM         743312100   1,051,750    54,354  SH      SOLE        1       54,354
PROGRESSIVE CORP                COM         743315103   6,082,164   311,746  SH      SOLE        1      311,746
PROGRESSIVE CORP OHIO           COM         743315103      23,705     1,215  SH      DEFINED     3                            1,215
PROLOGIS INC                    COM         74340W103   5,341,241   186,822  SH      SOLE        1      186,822
PROLOR BIOTECH INC              COM         74344F106      97,911    22,930  SH      DEFINED     3                           22,930
PROS HOLDINGS INC               COM         74346Y103     233,690    15,705  SH      SOLE        1       15,705
PROSHARES TR                    COM         74347R206       3,503        43  SH      DEFINED     2                               43
PROSHARES TR                    COM         74347R230      13,158       352  SH      DEFINED     2                              352
PROSHARES TR                    COM         74347R248   2,628,110    46,294  SH      DEFINED     2                           46,294
PROSHARES TR                    COM         74347R297     370,905    20,526  SH      DEFINED     2                           20,526
PROSHARES TR                    COM         74347R305     304,421     5,083  SH      DEFINED     2                            5,083
PROSHARES TR                    COM         74347R370       8,498       165  SH      DEFINED     2                              165
PROSHARES TR                    COM         74347R396      27,213       815  SH      DEFINED     2                              815
PROSHARES TR                    COM         74347R503   1,783,980    44,147  SH      DEFINED     2                           44,147
PROSHARES TR                    COM         74347R602      10,670       341  SH      DEFINED     2                              341
PROSHARES TR                    COM         74347R701      11,252       290  SH      DEFINED     2                              290
PROSHARES TR                    COM         74347R719     446,477    10,168  SH      DEFINED     2                           10,168
PROSHARES TR                    COM         74347R776     159,379     4,962  SH      DEFINED     2                            4,962
PROSHARES TR                    COM         74347R800       1,944        63  SH      DEFINED     2                               63
PROSHARES TR                    COM         74347R826      34,666     1,168  SH      DEFINED     2                            1,168
PROSHARES TR                    COM         74347R842       1,743        50  SH      DEFINED     2                               50
PROSHARES TR                    COM         74347R883      23,359     1,211  SH      DEFINED     2                            1,211
PROSHARES TR                    COM         74347X146          59         1  SH      DEFINED     2                                1
PROSHARES TR                    COM         74347X237      15,119       335  SH      DEFINED     2                              335
PROSHARES TR                    COM         74347X567      22,352       736  SH      DEFINED     2                              736
PROSHARES TR                    COM         74347X641       4,801       140  SH      DEFINED     2                              140
PROSHARES TR                    COM         74347X849       3,117       100  SH      DEFINED     2                              100
PROSHARES TR                    COM         74347X880       9,080       200  SH      DEFINED     2                              200
PROSHARES TR                    COM         74348A202       1,931        50  SH      DEFINED     2                               50
PROSHARES TR                    COM         74348A301      23,300       500  SH      DEFINED     2                              500
PROSHARES TR                    COM         74347R107     165,419     3,566  SH      DEFINED     3                            3,566
PROSHARES TR                    COM         74347R206     177,013     2,173  SH      DEFINED     3                            2,173
PROSHARES TR                    COM         74347R214       8,690       125  SH      DEFINED     3                              125
PROSHARES TR                    COM         74347R297      39,754     2,200  SH      DEFINED     3                            2,200
PROSHARES TR                    COM         74347R305       9,103       152  SH      DEFINED     3                              152
PROSHARES TR                    COM         74347R404      42,627       770  SH      DEFINED     3                              770
PROSHARES TR                    COM         74347R487      61,475     1,530  SH      DEFINED     3                            1,530
PROSHARES TR                    COM         74347R503     813,130    20,122  SH      DEFINED     3                           20,122
PROSHARES TR                    COM         74347R511       8,440       200  SH      DEFINED     3                              200
PROSHARES TR                    COM         74347R537      13,141       265  SH      DEFINED     3                              265
PROSHARES TR                    COM         74347R602     658,655    21,050  SH      DEFINED     3                           21,050
PROSHARES TR                    COM         74347R693       5,871       100  SH      DEFINED     3                              100
PROSHARES TR                    COM         74347R701     116,400     3,000  SH      DEFINED     3                            3,000
PROSHARES TR                    COM         74347R719      53,570     1,220  SH      DEFINED     3                            1,220
PROSHARES TR                    COM         74347R727      17,231       416  SH      DEFINED     3                              416
PROSHARES TR                    COM         74347R776       6,424       200  SH      DEFINED     3                              200
PROSHARES TR                    COM         74347R842      77,459     2,222  SH      DEFINED     3                            2,222
PROSHARES TR                    COM         74347R867      16,887     1,103  SH      DEFINED     3                            1,103
PROSHARES TR                    COM         74347R883      13,502       700  SH      DEFINED     3                              700
PROSHARES TR                    COM         74347X146       6,822       115  SH      DEFINED     3                              115
PROSHARES TR                    COM         74347X237      10,425       231  SH      DEFINED     3                              231
PROSHARES TR                    COM         74347X302         511         8  SH      DEFINED     3                                8
PROSHARES TR                    COM         74347X567       1,519        50  SH      DEFINED     3                               50
PROSHARES TR                    COM         74347X575       1,716        50  SH      DEFINED     3                               50
PROSHARES TR                    COM         74347X591      12,815       500  SH      DEFINED     3                              500
PROSHARES TR                    COM         74347X617       5,552       298  SH      DEFINED     3                              298
PROSHARES TR                    COM         74347X633      68,640     1,547  SH      DEFINED     3                            1,547
PROSHARES TR                    COM         74347X849       4,208       135  SH      DEFINED     3                              135
PROSHARES TR                    COM         74348A301       8,155       175  SH      DEFINED     3                              175
PROSHARES TR                    COM         74347R107     162,179     3,496  SH      DEFINED     4                            3,496
PROSHARES TR                    COM         74347R206       8,146       100  SH      DEFINED     4                              100
PROSHARES TR                    COM         74347R230      20,185       540  SH      DEFINED     4                              540
PROSHARES TR                    COM         74347R297      96,855     5,360  SH      DEFINED     4                            5,360
PROSHARES TR                    COM         74347R305      23,956       400  SH      DEFINED     4                              400
PROSHARES TR                    COM         74347R313      11,838       388  SH      DEFINED     4                              388
PROSHARES TR                    COM         74347R503      93,994     2,326  SH      DEFINED     4                            2,326
PROSHARES TR                    COM         74347R602      28,756       919  SH      DEFINED     4                              919
PROSHARES TR                    COM         74347R701     115,352     2,973  SH      DEFINED     4                            2,973
PROSHARES TR                    COM         74347R719      15,369       350  SH      DEFINED     4                              350
PROSHARES TR                    COM         74347R776       6,424       200  SH      DEFINED     4                              200
PROSHARES TR                    COM         74347R826     117,830     3,970  SH      DEFINED     4                            3,970
PROSHARES TR                    COM         74347R842       5,578       160  SH      DEFINED     4                              160
PROSHARES TR                    COM         74347R867      18,372     1,200  SH      DEFINED     4                            1,200
PROSHARES TR                    COM         74347R883      66,046     3,424  SH      DEFINED     4                            3,424
PROSHARES TR                    COM         74347R903      43,550       425  SH  C   DEFINED     4                              425
PROSHARES TR                    COM         74347X146      13,347       225  SH      DEFINED     4                              225
PROSHARES TR                    COM         74347X237     209,855     4,650  SH      DEFINED     4                            4,650
PROSHARES TR                    COM         74347X567      15,185       500  SH      DEFINED     4                              500
PROSHARES TR                    COM         74347X591       1,282        50  SH      DEFINED     4                               50
PROSHARES TR                    COM         74347X617      31,168     1,673  SH      DEFINED     4                            1,673
PROSHARES TR                    COM         74348A202     144,788     3,750  SH      DEFINED     4                            3,750
PROSHARES TR II                 COM         74347W569      21,826       533  SH      DEFINED     2                              533
PROSHARES TR II                 COM         74347W643      13,807       870  SH      DEFINED     2                              870
PROSHARES TR II                 COM         74347W718       5,943       300  SH      DEFINED     2                              300
PROSHARES TR II                 COM         74347W841      78,304     1,880  SH      DEFINED     2                            1,880
PROSHARES TR II                 COM         74347W882      84,208     4,138  SH      DEFINED     2                            4,138
PROSHARES TR II                 COM         74347W569       1,351        33  SH      DEFINED     3                               33
PROSHARES TR II                 COM         74347W601     117,725     1,490  SH      DEFINED     3                            1,490
PROSHARES TR II                 COM         74347W650      20,470       500  SH      DEFINED     3                              500






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
PROSHARES TR II                 COM         74347W841       8,747       210  SH      DEFINED     3                              210
PROSHARES TR II                 COM         74347W882      30,525     1,500  SH      DEFINED     3                            1,500
PROSHARES TR II                 COM         74347W718       1,981       100  SH      DEFINED     4                              100
PROSHARES TR II                 COM         74347W841       4,165       100  SH      DEFINED     4                              100
PROSHARES TR II                 COM         74347W882      84,453     4,150  SH      DEFINED     4                            4,150
PROSHARES TR II                 COM         74347W900       1,314         2  SH  C   DEFINED     4                                2
PROSPECT CAPITAL CORP           COM         74348T102     825,565    88,866  SH      SOLE        1       88,866
PROSPECT CAPITAL CORPORATION    COM         74348T102     107,548    11,577  SH      DEFINED     2                           11,577
PROSPECT CAPITAL CORPORATION    COM         74348T102      15,143     1,630  SH      DEFINED     3                            1,630
PROSPECT CAPITAL CORPORATION    COM         74348T102     522,098    56,200  SH      DEFINED     4                           56,200
PROSPERITY BANCSHARES INC       COM         743606105   5,489,416   136,045  SH      SOLE        1      136,045
PROSPERITY BANCSHARES INC       COM         743606105       1,574        39  SH      DEFINED     3                               39
PROTECTIVE LIFE CORP            COM         743674103   4,115,756   182,436  SH      SOLE        1      182,436
PROTECTIVE LIFE CORP            COM         743674103      11,280       500  SH      DEFINED     4                              500
PROVIDENCE SERVICE CORP         COM         743815102     130,266     9,467  SH      SOLE        1        9,467
PROVIDENT ENERGY LTD NEW        COM         74386V100     420,522    43,398  SH      DEFINED     2                           43,398
PROVIDENT ENERGY LTD NEW        COM         74386V100     302,118    31,178  SH      DEFINED     3                           31,178
PROVIDENT ENERGY LTD NEW        COM         74386V100     425,149    43,875  SH      DEFINED     4                           43,875
PROVIDENT FINANCIAL SERVIC      COM         74386T105     652,120    48,702  SH      SOLE        1       48,702
PROVIDENT NEW YORK BANCORP      COM         744028101     184,459    27,780  SH      SOLE        1       27,780
PRUDENTIAL FINANCIAL INC        COM         744320102  11,360,951   226,675  SH      SOLE        1      226,675
PRUDENTIAL FINL INC             COM         744320102      64,555     1,288  SH      DEFINED     2                            1,288
PRUDENTIAL FINL INC             COM         744320102      91,720     1,830  SH      DEFINED     3                            1,830
PRUDENTIAL FINL INC             COM         744320102      87,816     1,752  SH      DEFINED     4                            1,752
PRUDENTIAL PLC                  COM         74435K204       5,615       284  SH      DEFINED     3                              284
PS BUSINESS PARKS INC/CA        COM         69360J107     840,319    15,160  SH      SOLE        1       15,160
PSS WORLD MED INC               COM         69366A100      24,432     1,010  SH      DEFINED     2                            1,010
PSS WORLD MEDICAL INC           COM         69366A100   1,087,679    44,964  SH      SOLE        1       44,964
PUBLIC SERVICE ENTERPRISE       COM         744573106   5,012,205   151,839  SH      SOLE        1      151,839
PUBLIC STORAGE                  COM         74460D109   6,520,907    48,497  SH      SOLE        1       48,497
PUBLIC STORAGE                  COM         74460D109     325,428     2,420  SH      DEFINED     2                            2,420
PUBLIC STORAGE                  COM         74460D109      16,001       119  SH      DEFINED     3                              119
PUBLIC STORAGE                  COM         74460D109     106,089       789  SH      DEFINED     4                              789
PUBLIC SVC ENTERPRISE GROUP     COM         744573106     117,179     3,550  SH      DEFINED     2                            3,550
PUBLIC SVC ENTERPRISE GROUP     COM         744573106     386,083    11,696  SH      DEFINED     3                           11,696
PUBLIC SVC ENTERPRISE GROUP     COM         744573106     138,557     4,197  SH      DEFINED     4                            4,197
PULSE ELECTRONICS CORP          COM         74586W106      94,830    33,868  SH      SOLE        1       33,868
PULSE ELECTRONICS CORP          COM         74586W106         840       300  SH      DEFINED     2                              300
PULTE GROUP INC                 COM         745867101         631       100  SH      DEFINED     2                              100
PULTE GROUP INC                 COM         745867101         631       100  SH      DEFINED     3                              100
PULTE GROUP INC                 COM         745867101       6,310     1,000  SH      DEFINED     4                            1,000
PULTEGROUP INC                  COM         745867101     703,761   111,531  SH      SOLE        1      111,531
PUTMAN HIGH INCOME SEC FUND     COM         746779107       4,608       600  SH      DEFINED     2                              600
PUTNAM MANAGED MUN INCOM TR     COM         746823103   1,725,406   230,978  SH      DEFINED     3                          230,978
PUTNAM MANAGED MUN INCOM TR     COM         746823103      84,396    11,298  SH      DEFINED     4                           11,298
PUTNAM MASTER INTER INCOME T    COM         746909100       3,688       726  SH      DEFINED     3                              726
PUTNAM MASTER INTER INCOME T    COM         746909100       2,540       500  SH      DEFINED     4                              500
PUTNAM MUN OPPORTUNITIES TR     COM         746922103      33,820     2,756  SH      DEFINED     2                            2,756
PUTNAM PREMIER INCOME TR        COM         746853100      40,482     7,800  SH      DEFINED     2                            7,800
PUTNAM PREMIER INCOME TR        COM         746853100      22,115     4,261  SH      DEFINED     3                            4,261
PVH CORP                        COM         693656100  10,458,672   148,371  SH      SOLE        1      148,371
PZENA INVESTMENT MANAGM CL      COM         74731Q103      27,569     6,367  SH      SOLE        1        6,367
QAD INC A                       COM         74727D306      50,484     4,808  SH      SOLE        1        4,808
QEP RES INC                     COM         74733V100       7,350       251  SH      DEFINED     3                              251
QEP RES INC                     COM         74733V100      42,485     1,450  SH      DEFINED     4                            1,450
QEP RESOURCES INC               COM         74733V100   2,462,343    84,039  SH      SOLE        1       84,039
QIAGEN N.V.                     COM         N72482107     103,036     7,461  SH      SOLE        1        7,461
QIAO XING UNVL RESOURCES INC    COM         G7303A109         305       500  SH      DEFINED     2                              500
QIAO XING UNVL RESOURCES INC    COM         G7303A109      86,559   141,900  SH      DEFINED     3                          141,900
QIHOO 360 TECHNOLOGY CO LTD     COM         74734M109     113,360     7,225  SH      DEFINED     2                            7,225
QIHOO 360 TECHNOLOGY CO LTD     COM         74734M109       7,845       500  SH      DEFINED     3                              500
QLIK TECHNOLOGIES INC           COM         74733T105   1,244,122    51,410  SH      SOLE        1       51,410
QLOGIC CORP                     COM         747277101   3,306,555   220,437  SH      SOLE        1      220,437
QLOGIC CORP                     COM         747277101       4,590       306  SH      DEFINED     3                              306
QR ENERGY LP                    COM         74734R108       4,032       200  SH      DEFINED     3                              200
QUAD GRAPHICS INC               COM         747301109     264,329    18,433  SH      SOLE        1       18,433
QUAKER CHEMICAL CORP            COM         747316107     406,012    10,440  SH      SOLE        1       10,440
QUALCOMM INC                    COM         747525103  60,049,496 1,097,797  SH      SOLE        1    1,097,797
QUALCOMM INC                    COM         747525103     199,973     3,656  SH      DEFINED     2                            3,656
QUALCOMM INC                    COM         747525103     527,800     9,649  SH      DEFINED     3                            9,649
QUALCOMM INC                    COM         747525103     197,686     3,614  SH      DEFINED     4                            3,614
QUALCOMM INC                    COM         747525953         278         2  SH  P   DEFINED     4                                2
QUALITY DISTRIBUTION INC        COM         74756M102     122,895    10,924  SH      SOLE        1       10,924
QUALITY SYSTEMS INC             COM         747582104   1,169,920    31,628  SH      SOLE        1       31,628
QUANEX BUILDING PRODUCTS        COM         747619104     462,721    30,807  SH      SOLE        1       30,807
QUANTA SERVICES INC             COM         74762E102   1,506,141    69,923  SH      SOLE        1       69,923
QUANTA SVCS INC                 COM         74762E102      25,223     1,171  SH      DEFINED     2                            1,171
QUANTUM CORP                    COM         747906204     395,110   164,629  SH      SOLE        1      164,629
QUANTUM CORP                    COM         747906204      10,152     4,230  SH      DEFINED     2                            4,230
QUANTUM FUEL SYS TECH WORLDW    COM         74765E208           7        10  SH      DEFINED     3                               10
QUEPASA CORP                    COM         74833W206      16,557     4,987  SH      SOLE        1        4,987
QUEPASA CORP                    COM         74833W206       1,992       600  SH      DEFINED     3                              600
QUEST DIAGNOSTICS INC           COM         74834L100   2,884,595    49,683  SH      SOLE        1       49,683
QUEST SOFTWARE INC              COM         74834T103   3,051,256   164,046  SH      SOLE        1      164,046
QUESTAR CORP                    COM         748356102   7,766,591   391,067  SH      SOLE        1      391,067
QUESTAR CORP                    COM         748356102      15,888       800  SH      DEFINED     2                              800
QUESTAR CORP                    COM         748356102     105,953     5,335  SH      DEFINED     3                            5,335
QUESTAR CORP                    COM         748356102      16,881       850  SH      DEFINED     4                              850
QUESTCOR PHARMACEUTICALS        COM         74835Y101   6,057,374   145,680  SH      SOLE        1      145,680
QUESTCOR PHARMACEUTICALS INC    COM         74835Y101     226,528     5,448  SH      DEFINED     2                            5,448
QUESTCOR PHARMACEUTICALS INC    COM         74835Y101     290,436     6,985  SH      DEFINED     3                            6,985
QUESTCOR PHARMACEUTICALS INC    COM         74835Y101       4,158       100  SH      DEFINED     4                              100
QUICKLOGIC CORP                 COM         74837P108      10,400     4,000  SH      DEFINED     3                            4,000
QUICKSILVER RESOURCES INC       COM         74837R104   2,143,483   319,446  SH      SOLE        1      319,446
QUICKSILVER RESOURCES INC       COM         74837R104       6,710     1,000  SH      DEFINED     4                            1,000
QUIDEL CORP                     COM         74838J101     314,825    20,808  SH      SOLE        1       20,808
QUIDEL CORP                     COM         74838J101       1,513       100  SH      DEFINED     3                              100
QUIKSILVER INC                  COM         74838C106     379,382   105,092  SH      SOLE        1      105,092
QUIKSILVER INC                  COM         74838C106      25,270     7,000  SH      DEFINED     3                            7,000
QUINSTREET INC                  COM         74874Q100     188,333    20,121  SH      SOLE        1       20,121
RACKSPACE HOSTING INC           COM         750086100   9,735,098   226,345  SH      SOLE        1      226,345
RACKSPACE HOSTING INC           COM         750086100      32,258       750  SH      DEFINED     2                              750
RACKSPACE HOSTING INC           COM         750086100     158,879     3,694  SH      DEFINED     3                            3,694
RACKSPACE HOSTING INC           COM         750086100       4,301       100  SH      DEFINED     4                              100
RADIAN GROUP INC                COM         750236101     227,507    97,225  SH      SOLE        1       97,225
RADIAN GROUP INC                COM         750236101      18,486     7,900  SH      DEFINED     2                            7,900
RADIAN GROUP INC                COM         750236101         122        52  SH      DEFINED     4                               52
RADIOSHACK CORP                 COM         750438103   2,135,093   219,886  SH      SOLE        1      219,886
RADIOSHACK CORP                 COM         750438103      35,927     3,700  SH      DEFINED     3                            3,700
RADISYS CORP                    COM         750459109      81,496    16,106  SH      SOLE        1       16,106
RADNET INC                      COM         750491102      47,433    22,269  SH      SOLE        1       22,269
RAILAMERICA INC                 COM         750753402     232,150    15,591  SH      SOLE        1       15,591
RAIT FINANCIAL TRUST            COM         749227609     139,042    29,272  SH      SOLE        1       29,272
RAIT FINANCIAL TRUST            COM         749227609       3,634       765  SH      DEFINED     3                              765
RAIT FINANCIAL TRUST            COM         749227609         157        33  SH      DEFINED     4                               33






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
RALCORP HLDGS INC NEW           COM         751028101       1,112        13  SH      DEFINED     2                               13
RALCORP HLDGS INC NEW           COM         751028101       4,275        50  SH      DEFINED     3                               50
RALCORP HLDGS INC NEW           COM         751028101      55,832       653  SH      DEFINED     4                              653
RALCORP HOLDINGS INC            COM         751028101  10,384,574   121,457  SH      SOLE        1      121,457
RALPH LAUREN CORP               COM         751212101   4,202,189    30,433  SH      SOLE        1       30,433
RALPH LAUREN CORP               COM         751212101      15,603       113  SH      DEFINED     3                              113
RAMBUS INC                      COM         750917106     541,471    71,718  SH      SOLE        1       71,718
RAMBUS INC DEL                  COM         750917106      53,907     7,140  SH      DEFINED     3                            7,140
RAMBUS INC DEL                  COM         750917906          20        20  SH  C   DEFINED     3                               20
RAMCO GERSHENSON PROPERTIE      COM         751452202     276,577    28,136  SH      SOLE        1       28,136
RAMCO-GERSHENSON PPTYS TR       COM         751452202       7,264       739  SH      DEFINED     2                              739
RANDGOLD RES LTD                COM         752344309     132,730     1,300  SH      DEFINED     3                            1,300
RANDGOLD RESOURCES LTD ADR      ADR         752344309     314,774     3,083  SH      SOLE        1        3,083
RANGE RES CORP                  COM         75281A109     169,096     2,730  SH      DEFINED     2                            2,730
RANGE RESOURCES CORP            COM         75281A109   3,839,165    61,982  SH      SOLE        1       61,982
RAPTOR PHARMACEUTICAL CORP      COM         75382F106     215,213    34,379  SH      SOLE        1       34,379
RARE ELEMENT RES LTD            COM         75381M102       9,214     2,835  SH      DEFINED     3                            2,835
RAVEN INDS INC                  COM         754212108      45,497       735  SH      DEFINED     3                              735
RAVEN INDUSTRIES INC            COM         754212108     817,390    13,205  SH      SOLE        1       13,205
RAYMOND JAMES FINANCIAL IN      COM         754730109   6,958,291   224,751  SH      SOLE        1      224,751
RAYONIER INC                    COM         754907103  11,793,611   264,253  SH      SOLE        1      264,253
RAYONIER INC                    COM         754907103      27,403       614  SH      DEFINED     2                              614
RAYONIER INC                    COM         754907103      93,054     2,085  SH      DEFINED     3                            2,085
RAYONIER INC                    COM         754907103      42,399       950  SH      DEFINED     4                              950
RAYTHEON CO                     COM         755111507     117,881     2,437  SH      DEFINED     2                            2,437
RAYTHEON CO                     COM         755111507     143,060     2,957  SH      DEFINED     3                            2,957
RAYTHEON CO                     COM         755111507     130,403     2,695  SH      DEFINED     4                            2,695
RBC BEARINGS INC                COM         75524B104     667,742    16,013  SH      SOLE        1       16,013
RBC BEARINGS INC                COM         75524B104       7,715       185  SH      DEFINED     3                              185
REACHLOCAL INC                  COM         75525F104      45,015     7,284  SH      SOLE        1        7,284
REAL GOODS SOLAR INC            COM         75601N104         143       100  SH      DEFINED     4                              100
REALD INC                       COM         75604L105     238,113    29,989  SH      SOLE        1       29,989
REALNETWORKS INC                COM         75605L708     115,553    15,407  SH      SOLE        1       15,407
REALPAGE INC                    COM         75606N109     559,604    22,145  SH      SOLE        1       22,145
REALTY INCOME CORP              COM         756109104  10,255,621   293,353  SH      SOLE        1      293,353
REALTY INCOME CORP              COM         756109104   1,578,337    45,147  SH      DEFINED     2                           45,147
REALTY INCOME CORP              COM         756109104     798,616    22,844  SH      DEFINED     3                           22,844
REALTY INCOME CORP              COM         756109104      19,088       546  SH      DEFINED     4                              546
REAVES UTIL INCOME FD           COM         756158101          78         3  SH      DEFINED     3                                3
REAVES UTIL INCOME FD           COM         756158101       5,202       200  SH      DEFINED     4                              200
RED HAT INC                     COM         756577102   4,348,787   105,323  SH      SOLE        1      105,323
RED HAT INC                     COM         756577102     166,523     4,033  SH      DEFINED     3                            4,033
RED LION HOTELS CORP            COM         756764106      74,255    10,715  SH      SOLE        1       10,715
RED LION HOTELS CORP            COM         756764106       1,386       200  SH      DEFINED     2                              200
RED ROBIN GOURMET BURGERS       COM         75689M101     288,579    10,418  SH      SOLE        1       10,418
REDWOOD TR INC                  COM         758075402      51,918     5,100  SH      DEFINED     3                            5,100
REDWOOD TR INC                  COM         758075402      27,995     2,750  SH      DEFINED     4                            2,750
REDWOOD TRUST INC               COM         758075402     584,027    57,370  SH      SOLE        1       57,370
REGAL BELOIT CORP               COM         758750103   4,655,294    91,334  SH      SOLE        1       91,334
REGAL ENTERTAINMENT GROUP       COM         758766109   4,604,948   385,674  SH      SOLE        1      385,674
REGAL ENTMT GROUP               COM         758766109       4,776       400  SH      DEFINED     2                              400
REGAL ENTMT GROUP               COM         758766109      44,915     3,762  SH      DEFINED     4                            3,762
REGENCY CENTERS CORP            COM         758849103   7,447,631   197,970  SH      SOLE        1      197,970
REGENCY ENERGY PARTNERS L P     COM         75885Y107      20,882       840  SH      DEFINED     3                              840
REGENCY ENERGY PARTNERS L P     COM         75885Y107      10,441       420  SH      DEFINED     4                              420
REGENERON PHARMACEUTICALS       COM         75886F107   9,193,454   165,857  SH      SOLE        1      165,857
REGIONS FINANCIAL CORP          COM         7591EP100   2,375,333   552,403  SH      SOLE        1      552,403
REGIONS FINANCIAL CORP NEW      COM         7591EP100      16,555     3,850  SH      DEFINED     2                            3,850
REGIONS FINANCIAL CORP NEW      COM         7591EP100       1,408       328  SH      DEFINED     3                              328
REGIONS FINANCIAL CORP NEW      COM         7591EP100      12,900     3,000  SH      DEFINED     4                            3,000
REGIS CORP                      COM         758932107   2,772,026   167,494  SH      SOLE        1      167,494
REINSURANCE GROUP AMER INC      COM         759351604       5,225       100  SH      DEFINED     2                              100
REINSURANCE GROUP AMER INC      COM         759351604      41,121       787  SH      DEFINED     3                              787
REINSURANCE GROUP AMER INC      COM         759351604       2,613        50  SH      DEFINED     4                               50
REINSURANCE GROUP OF AMERI      COM         759351604   8,431,060   161,360  SH      SOLE        1      161,360
REIS INC                        COM         75936P105          36         4  SH      DEFINED     2                                4
RELIANCE STEEL & ALUMINUM CO    COM         759509102      73,035     1,500  SH      DEFINED     2                            1,500
RELIANCE STEEL + ALUMINUM       COM         759509102   8,030,150   164,924  SH      SOLE        1      164,924
RENAISSANCERE HOLDINGS LTD      COM         G7496G103     122,859     1,652  SH      SOLE        1        1,652
RENASANT CORP                   COM         75970E107     274,515    18,301  SH      SOLE        1       18,301
RENESOLA LTD                    COM         75971T103       3,060     2,000  SH      DEFINED     2                            2,000
RENESOLA LTD                    COM         75971T103      34,700    22,680  SH      DEFINED     3                           22,680
RENREN INC                      COM         759892102         710       200  SH      DEFINED     4                              200
RENT A CENTER INC               COM         76009N100   6,305,318   170,414  SH      SOLE        1      170,414
RENTECH INC                     COM         760112102     213,234   162,774  SH      SOLE        1      162,774
RENTECH INC                     COM         760112102       1,310     1,000  SH      DEFINED     3                            1,000
RENTRAK CORP                    COM         760174102      99,175     6,945  SH      SOLE        1        6,945
REPUBLIC AIRWAYS HOLDINGS       COM         760276105     120,733    35,199  SH      SOLE        1       35,199
REPUBLIC BANCORP INC CLASS      COM         760281204     165,636     7,233  SH      SOLE        1        7,233
REPUBLIC FIRST BANCORP INC      COM         760416107      59,755    41,210  SH      DEFINED     4                           41,210
REPUBLIC SERVICES INC           COM         760759100   5,637,529   204,629  SH      SOLE        1      204,629
REPUBLIC SVCS INC               COM         760759100      39,672     1,440  SH      DEFINED     2                            1,440
REPUBLIC SVCS INC               COM         760759100       2,755       100  SH      DEFINED     3                              100
REPUBLIC SVCS INC               COM         760759100       2,066        75  SH      DEFINED     4                               75
RESEARCH IN MOTION              COM         760975102     403,593    27,834  SH      SOLE        1       27,834
RESEARCH IN MOTION LTD          COM         760975102      35,801     2,469  SH      DEFINED     2                            2,469
RESEARCH IN MOTION LTD          COM         760975102     139,882     9,647  SH      DEFINED     3                            9,647
RESMED INC                      COM         761152107   8,172,171   321,739  SH      SOLE        1      321,739
RESMED INC                      COM         761152107      10,160       400  SH      DEFINED     3                              400
RESOLUTE ENERGY CORP            COM         76116A108     364,079    33,711  SH      SOLE        1       33,711
RESOURCE CAP CORP               COM         76120W302       1,683       300  SH      DEFINED     4                              300
RESOURCE CAPITAL CORP           COM         76120W302     317,992    56,683  SH      SOLE        1       56,683
RESOURCES CONNECTION INC        COM         76122Q105     398,004    37,583  SH      SOLE        1       37,583
RESPONSYS INC                   COM         761248103      61,537     6,922  SH      SOLE        1        6,922
RETAIL OPPORTUNITY INVESTM      COM         76131N101     429,591    36,283  SH      SOLE        1       36,283
REVENUESHARES ETF TR            COM         761396100       3,956       170  SH      DEFINED     2                              170
REVETT MINERALS INC             COM         761505205      86,376    18,300  SH      SOLE        1       18,300
REVLON INC                      COM         761525609       7,435       500  SH      DEFINED     3                              500
REVLON INC CLASS A              COM         761525609     117,860     7,926  SH      SOLE        1        7,926
REX AMERICAN RESOURCES COR      COM         761624105      99,473     4,499  SH      SOLE        1        4,499
REX ENERGY CORP                 COM         761565100     376,011    25,475  SH      SOLE        1       25,475
REYNOLDS AMERICAN INC           COM         761713106      29,450       711  SH      DEFINED     2                              711
REYNOLDS AMERICAN INC           COM         761713106      97,235     2,348  SH      DEFINED     3                            2,348
REYNOLDS AMERICAN INC           COM         761713106     148,118     3,576  SH      DEFINED     4                            3,576
RF MICRO DEVICES INC            COM         749941100   4,346,320   804,874  SH      SOLE        1      804,874
RF MICRODEVICES INC             COM         749941100         270        50  SH      DEFINED     2                               50
RF MICRODEVICES INC             COM         749941100         248        46  SH      DEFINED     3                               46
RF MICRODEVICES INC             COM         749941100       5,400     1,000  SH      DEFINED     4                            1,000
RHINO RESOURCE PARTNERS LP      COM         76218Y103       7,720       400  SH      DEFINED     4                              400
RICHARDSON ELEC LTD             COM         763165107     126,587    10,300  SH      SOLE        1       10,300
RICHMONT MINES INC              COM         76547T106       3,228       300  SH      DEFINED     2                              300
RICHMONT MINES INC              COM         76547T106       2,152       200  SH      DEFINED     3                              200
RICKS CABARET INTL INC          COM         765641303         846       100  SH      DEFINED     3                              100
RIGEL PHARMACEUTICALS INC       COM         766559603     395,202    50,089  SH      SOLE        1       50,089
RIGEL PHARMACEUTICALS INC       COM         766559603      50,007     6,338  SH      DEFINED     3                            6,338






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
RIGHTNOW TECHNOLOGIES INC       COM         76657R106     861,736    20,167  SH      SOLE        1       20,167
RIGNET INC                      COM         766582100      71,530     4,273  SH      SOLE        1        4,273
RIMAGE CORP                     COM         766721104      78,053     6,938  SH      SOLE        1        6,938
RIO TINTO PLC                   COM         767204100      24,460       500  SH      DEFINED     2                              500
RIO TINTO PLC                   COM         767204100      54,888     1,122  SH      DEFINED     3                            1,122
RIO TINTO PLC                   COM         767204100      18,198       372  SH      DEFINED     4                              372
RITE AID CORP                   COM         767754104     542,352   430,438  SH      SOLE        1      430,438
RITE AID CORP                   COM         767754104       5,040     4,000  SH      DEFINED     2                            4,000
RITE AID CORP                   COM         767754104       4,536     3,600  SH      DEFINED     3                            3,600
RITE AID CORP                   COM         767754104       8,820     7,000  SH      DEFINED     4                            7,000
RIVERBED TECHNOLOGY INC         COM         768573107  13,051,783   555,395  SH      SOLE        1      555,395
RIVERBED TECHNOLOGY INC         COM         768573107      18,095       770  SH      DEFINED     2                              770
RIVERBED TECHNOLOGY INC         COM         768573107     525,695    22,370  SH      DEFINED     3                           22,370
RIVERBED TECHNOLOGY INC         COM         768573907          10        10  SH  C   DEFINED     3                               10
RIVERBED TECHNOLOGY INC         COM         768573107       4,700       200  SH      DEFINED     4                              200
RIVERVIEW BANCORP INC           COM         769397100       2,370     1,000  SH      DEFINED     3                            1,000
RLI CORP                        COM         749607107   1,072,791    14,724  SH      SOLE        1       14,724
RLI CORP                        COM         749607107       6,929        95  SH      DEFINED     3                               95
RLI CORP                        COM         749607107      14,936       205  SH      DEFINED     4                              205
RLJ LODGING TRUST               COM         74965L101     338,451    20,110  SH      SOLE        1       20,110
ROADRUNNER TRANSPORTATION       COM         76973Q105      93,809     6,639  SH      SOLE        1        6,639
ROBBINS + MYERS INC             COM         770196103   1,586,129    32,670  SH      SOLE        1       32,670
ROBERT HALF INTL INC            COM         770323103   1,545,720    54,312  SH      SOLE        1       54,312
ROCHESTER MED CORP              COM         771497104         108        13  SH      DEFINED     2                               13
ROCHESTER MED CORP              COM         771497104         830       100  SH      DEFINED     3                              100
ROCK TENN COMPANY  CL A         COM         772739207   8,891,455   154,098  SH      SOLE        1      154,098
ROCK-TENN CO                    COM         772739207      90,474     1,568  SH      DEFINED     2                            1,568
ROCKVILLE FINANCIAL INC         COM         774188106     223,258    21,550  SH      SOLE        1       21,550
ROCKWELL AUTOMATION INC         COM         773903109   4,837,064    65,927  SH      SOLE        1       65,927
ROCKWELL AUTOMATION INC         COM         773903109      10,213       139  SH      DEFINED     2                              139
ROCKWELL AUTOMATION INC         COM         773903109      30,375       414  SH      DEFINED     3                              414
ROCKWELL AUTOMATION INC         COM         773903109     174,621     2,380  SH      DEFINED     4                            2,380
ROCKWELL COLLINS INC            COM         774341101   4,397,485    79,420  SH      SOLE        1       79,420
ROCKWELL COLLINS INC            COM         774341101      85,994     1,553  SH      DEFINED     3                            1,553
ROCKWELL MEDICAL TECH INC       COM         774374102      99,235    11,716  SH      SOLE        1       11,716
ROCKWOOD HLDGS INC              COM         774415103      15,748       400  SH      DEFINED     3                              400
ROCKWOOD HOLDINGS INC           COM         774415103   3,437,001    87,300  SH      SOLE        1       87,300
ROFIN SINAR TECHNOLOGIES I      COM         775043102     529,686    23,181  SH      SOLE        1       23,181
ROFIN SINAR TECHNOLOGIES INC    COM         775043102       4,570       200  SH      DEFINED     4                              200
ROGERS CORP                     COM         775133101     480,323    13,031  SH      SOLE        1       13,031
ROLLINS INC                     COM         775711104   4,135,342   186,109  SH      SOLE        1      186,109
ROMA FINANCIAL CORP             COM         77581P109      53,963     5,484  SH      SOLE        1        5,484
ROPER INDS INC NEW              COM         776696106      19,633       226  SH      DEFINED     2                              226
ROPER INDS INC NEW              COM         776696106         782         9  SH      DEFINED     3                                9
ROPER INDUSTRIES INC            COM         776696106   3,943,637    45,397  SH      SOLE        1       45,397
ROSETTA RESOURCES INC           COM         777779307   1,683,711    38,706  SH      SOLE        1       38,706
ROSETTA RESOURCES INC           COM         777779307      87,000     2,000  SH      DEFINED     3                            2,000
ROSETTA RESOURCES INC           COM         777779307     197,925     4,550  SH      DEFINED     4                            4,550
ROSETTA STONE INC               COM         777780107      61,124     8,011  SH      SOLE        1        8,011
ROSS STORES INC                 COM         778296103   4,492,773    94,525  SH      SOLE        1       94,525
ROSS STORES INC                 COM         778296103     373,586     7,860  SH      DEFINED     2                            7,860
ROSS STORES INC                 COM         778296103     157,847     3,321  SH      DEFINED     3                            3,321
ROVI CORP                       COM         779376102   5,913,481   240,581  SH      SOLE        1      240,581
ROWAN COMPANIES INC             COM         779382100   1,250,506    41,230  SH      SOLE        1       41,230
ROYAL BK CDA MONTREAL QUE       COM         780087102     114,405     2,245  SH      DEFINED     2                            2,245
ROYAL BK CDA MONTREAL QUE       COM         780087102      30,831       605  SH      DEFINED     3                              605
ROYAL BK SCOTLAND GROUP PLC     COM         780097739      13,848     1,200  SH      DEFINED     2                            1,200
ROYAL BK SCOTLAND GROUP PLC     COM         780097754       2,420       200  SH      DEFINED     2                              200
ROYAL BK SCOTLAND GROUP PLC     COM         780097762      10,472       930  SH      DEFINED     2                              930
ROYAL BK SCOTLAND GROUP PLC     COM         780097788       2,950       200  SH      DEFINED     2                              200
ROYAL BK SCOTLAND GROUP PLC     COM         780097713       1,277       100  SH      DEFINED     3                              100
ROYAL BK SCOTLAND GROUP PLC     COM         780097739       8,078       700  SH      DEFINED     3                              700
ROYAL BK SCOTLAND GROUP PLC     COM         780097762       1,126       100  SH      DEFINED     3                              100
ROYAL BK SCOTLAND GROUP PLC     COM         780097788     486,676    32,995  SH      DEFINED     3                           32,995
ROYAL BK SCOTLAND N V           COM         78009L209   1,046,585    46,890  SH      DEFINED     3                           46,890
ROYAL BK SCOTLAND N V           COM         78009L308   1,105,942    45,966  SH      DEFINED     3                           45,966
ROYAL BK SCOTLAND N V           COM         78009L407     909,212    32,276  SH      DEFINED     3                           32,276
ROYAL CARIBBEAN CRUISES LT      COM         V7780T103   8,475,873   342,183  SH      SOLE        1      342,183
ROYAL CARIBBEAN CRUISES LTD     COM         V7780T103       1,239        50  SH      DEFINED     3                               50
ROYAL DUTCH SHELL PLC           COM         780259107      13,530       178  SH      DEFINED     2                              178
ROYAL DUTCH SHELL PLC           COM         780259206      55,256       756  SH      DEFINED     2                              756
ROYAL DUTCH SHELL PLC           COM         780259107     101,473     1,335  SH      DEFINED     3                            1,335
ROYAL DUTCH SHELL PLC           COM         780259206     262,759     3,595  SH      DEFINED     3                            3,595
ROYAL DUTCH SHELL PLC           COM         780259206      63,914       874  SH      DEFINED     4                              874
ROYAL GOLD INC                  COM         780287108      58,394       866  SH      SOLE        1          866
ROYAL GOLD INC                  COM         780287108      20,267       301  SH      DEFINED     2                              301
ROYAL GOLD INC                  COM         780287108     730,537    10,834  SH      DEFINED     3                           10,834
ROYALE ENERGY INC               COM         78074G200       2,519       550  SH      DEFINED     2                              550
ROYCE VALUE TR INC              COM         780910105      66,160     5,392  SH      DEFINED     2                            5,392
ROYCE VALUE TR INC              COM         780910105      13,718     1,118  SH      DEFINED     3                            1,118
ROYCE VALUE TR INC              COM         780910105       6,295       513  SH      DEFINED     4                              513
RPC INC                         COM         749660106      13,012       713  SH      SOLE        1          713
RPC INC                         COM         749660106       7,300       400  SH      DEFINED     2                              400
RPC INC                         COM         749660106       5,475       300  SH      DEFINED     3                              300
RPM INTERNATIONAL INC           COM         749685103   7,084,246   288,564  SH      SOLE        1      288,564
RPM INTL INC                    COM         749685103       6,364       259  SH      DEFINED     2                              259
RPM INTL INC                    COM         749685103     112,586     4,586  SH      DEFINED     3                            4,586
RPM INTL INC                    COM         749685103      36,825     1,500  SH      DEFINED     4                            1,500
RPX CORP                        COM         74972G103      92,876     7,342  SH      SOLE        1        7,342
RR DONNELLEY + SONS CO          COM         257867101     899,364    62,326  SH      SOLE        1       62,326
RSC HOLDINGS INC                COM         74972L102     915,454    49,484  SH      SOLE        1       49,484
RTI BIOLOGICS INC               COM         74975N105     178,874    40,287  SH      SOLE        1       40,287
RTI INTERNATIONAL METALS I      COM         74973W107     570,896    24,597  SH      SOLE        1       24,597
RUBICON TECHNOLOGY INC          COM         78112T107     134,005    14,271  SH      SOLE        1       14,271
RUBY TUESDAY INC                COM         781182100     364,506    52,827  SH      SOLE        1       52,827
RUDDICK CORP                    COM         781258108   6,088,480   142,788  SH      SOLE        1      142,788
RUDDICK CORP                    COM         781258108       4,051        95  SH      DEFINED     2                               95
RUDDICK CORP                    COM         781258108      20,126       472  SH      DEFINED     4                              472
RUDOLPH TECHNOLOGIES INC        COM         781270103     238,982    25,808  SH      SOLE        1       25,808
RUE21 INC                       COM         781295100   2,917,318   135,061  SH      SOLE        1      135,061
RUSH ENTERPRISES INC CL A       COM         781846209     495,051    23,664  SH      SOLE        1       23,664
RUTH S HOSPITALITY GROUP I      COM         783332109     142,505    28,673  SH      SOLE        1       28,673
RYANAIR HLDGS PLC               COM         783513104       7,634       274  SH      DEFINED     2                              274
RYANAIR HLDGS PLC               COM         783513104       5,572       200  SH      DEFINED     3                              200
RYDER SYSTEM INC                COM         783549108   1,375,848    25,891  SH      SOLE        1       25,891
RYDEX ETF TRUST                 COM         78355W106   1,992,617    43,056  SH      DEFINED     2                           43,056
RYDEX ETF TRUST                 COM         78355W403     396,158     9,161  SH      DEFINED     2                            9,161
RYDEX ETF TRUST                 COM         78355W601   1,506,424    19,195  SH      DEFINED     2                           19,195
RYDEX ETF TRUST                 COM         78355W106     130,972     2,830  SH      DEFINED     3                            2,830
RYDEX ETF TRUST                 COM         78355W205      72,044       789  SH      DEFINED     3                              789
RYDEX ETF TRUST                 COM         78355W403      66,898     1,547  SH      DEFINED     3                            1,547
RYDEX ETF TRUST                 COM         78355W601      57,290       730  SH      DEFINED     3                              730
RYDEX ETF TRUST                 COM         78355W874      25,300       400  SH      DEFINED     3                              400
RYDEX ETF TRUST                 COM         78355W106   1,058,424    22,870  SH      DEFINED     4                           22,870
RYDEX ETF TRUST                 COM         78355W403     647,449    14,972  SH      DEFINED     4                           14,972






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
RYDEX ETF TRUST                 COM         78355W601   1,541,583    19,643  SH      DEFINED     4                           19,643
RYDEX ETF TRUST                 COM         78355W817       8,498       170  SH      DEFINED     4                              170
RYLAND GROUP INC/THE            COM         783764103     569,913    36,162  SH      SOLE        1       36,162
S + T BANCORP INC               COM         783859101     447,011    22,865  SH      SOLE        1       22,865
S.Y. BANCORP INC                COM         785060104     180,664     8,800  SH      SOLE        1        8,800
S1 CORPORATION                  COM         78463B101     373,517    39,030  SH      SOLE        1       39,030
SABA SOFTWARE INC               COM         784932600     163,078    20,669  SH      SOLE        1       20,669
SABINE ROYALTY TR               COM         785688102      47,477       753  SH      DEFINED     2                              753
SABINE ROYALTY TR               COM         785688102       9,710       154  SH      DEFINED     3                              154
SABINE ROYALTY TR               COM         785688102     148,168     2,350  SH      DEFINED     4                            2,350
SABRA HEALTH CARE REIT INC      COM         78573L106     325,560    26,928  SH      SOLE        1       26,928
SAFEGUARD SCIENTIFICS INC       COM         786449207     238,508    15,105  SH      SOLE        1       15,105
SAFEGUARD SCIENTIFICS INC       COM         786449207       3,158       200  SH      DEFINED     3                              200
SAFETY INSURANCE GROUP INC      COM         78648T100     424,919    10,497  SH      SOLE        1       10,497
SAFEWAY INC                     COM         786514208   2,384,106   113,313  SH      SOLE        1      113,313
SAFEWAY INC                     COM         786514208      10,520       500  SH      DEFINED     2                              500
SAFEWAY INC                     COM         786514208       4,860       231  SH      DEFINED     3                              231
SAGA COMMUNICATIONS INC CL      COM         786598300      98,422     2,633  SH      SOLE        1        2,633
SAGENT PHARMACEUTICALS INC      COM         786692103     101,997     4,857  SH      SOLE        1        4,857
SAIA INC                        COM         78709Y105     145,167    11,632  SH      SOLE        1       11,632
SAIC INC                        COM         78390X101   1,452,444   118,181  SH      SOLE        1      118,181
SAIC INC                        COM         78390X101      45,915     3,736  SH      DEFINED     2                            3,736
SAKS INC                        COM         79377W108   4,204,502   431,231  SH      SOLE        1      431,231
SALESFORCE COM INC              COM         79466L302       5,783        57  SH      DEFINED     2                               57
SALESFORCE COM INC              COM         79466L302      67,471       665  SH      DEFINED     3                              665
SALESFORCE COM INC              COM         79466L952       4,000         2  SH  P   DEFINED     4                                2
SALESFORCE.COM INC              COM         79466L302   4,306,571    42,446  SH      SOLE        1       42,446
SALIENT MLP & ENERGY INFRSTR    COM         79471T100      13,980       600  SH      DEFINED     2                              600
SALIX PHARMACEUTICALS INC       COM         795435106      14,355       300  SH      DEFINED     3                              300
SALIX PHARMACEUTICALS INC       COM         795435106       8,278       173  SH      DEFINED     4                              173
SALIX PHARMACEUTICALS LTD       COM         795435106   2,279,909    47,647  SH      SOLE        1       47,647
SALLY BEAUTY HOLDINGS INC       COM         79546E104      35,646     1,687  SH      SOLE        1        1,687
SAMSON OIL & GAS LTD            COM         796043107     126,750    65,000  SH      DEFINED     3                           65,000
SAMSON OIL & GAS LTD            COM         796043107       3,900     2,000  SH      DEFINED     4                            2,000
SAN JUAN BASIN RTY TR           COM         798241105     113,914     5,005  SH      DEFINED     2                            5,005
SAN JUAN BASIN RTY TR           COM         798241105     498,694    21,911  SH      DEFINED     3                           21,911
SAN JUAN BASIN RTY TR           COM         798241105     127,456     5,600  SH      DEFINED     4                            5,600
SANDERSON FARMS INC             COM         800013104     890,259    17,759  SH      SOLE        1       17,759
SANDISK CORP                    COM         80004C101   5,559,352   112,972  SH      SOLE        1      112,972
SANDISK CORP                    COM         80004C101      26,869       546  SH      DEFINED     2                              546
SANDISK CORP                    COM         80004C101      78,736     1,600  SH      DEFINED     3                            1,600
SANDISK CORP                    COM         80004C101       2,018        41  SH      DEFINED     4                               41
SANDRIDGE ENERGY INC            COM         80007P307      55,814     6,840  SH      SOLE        1        6,840
SANDRIDGE ENERGY INC            COM         80007P307     126,888    15,550  SH      DEFINED     2                           15,550
SANDRIDGE ENERGY INC            COM         80007P307       2,448       300  SH      DEFINED     3                              300
SANDRIDGE ENERGY INC            COM         80007P307       8,160     1,000  SH      DEFINED     4                            1,000
SANDRIDGE MISSISSIPPIAN TR I    COM         80007T101      20,183       650  SH      DEFINED     4                              650
SANDY SPRING BANCORP INC        COM         800363103     308,757    17,593  SH      SOLE        1       17,593
SANGAMO BIOSCIENCES INC         COM         800677106     108,525    38,213  SH      SOLE        1       38,213
SANGAMO BIOSCIENCES INC         COM         800677106       9,940     3,500  SH      DEFINED     3                            3,500
SANMINA SCI CORP                COM         800907206     547,484    58,806  SH      SOLE        1       58,806
SANMINA SCI CORP                COM         800907206       4,096       440  SH      DEFINED     2                              440
SANOFI                          COM         80105N105      22,728       622  SH      DEFINED     2                              622
SANOFI                          COM         80105N113         145       121  SH      DEFINED     2                              121
SANOFI                          COM         80105N105      42,752     1,170  SH      DEFINED     3                            1,170
SANOFI                          COM         80105N113         661       551  SH      DEFINED     3                              551
SANOFI                          COM         80105N105      56,272     1,540  SH      DEFINED     4                            1,540
SANOFI                          COM         80105N113         810       675  SH      DEFINED     4                              675
SANTARUS INC                    COM         802817304     128,825    38,920  SH      SOLE        1       38,920
SAP AG                          COM         803054204      33,094       625  SH      DEFINED     2                              625
SAP AG                          COM         803054204       6,884       130  SH      DEFINED     4                              130
SAPIENT CORPORATION             COM         803062108   1,005,316    79,787  SH      SOLE        1       79,787
SARA LEE CORP                   COM         803111103   3,556,979   188,001  SH      SOLE        1      188,001
SARA LEE CORP                   COM         803111103     159,960     8,455  SH      DEFINED     3                            8,455
SARA LEE CORP                   COM         803111103      78,518     4,150  SH      DEFINED     4                            4,150
SASOL LTD                       COM         803866300       2,133        45  SH      DEFINED     2                               45
SASOL LTD                       COM         803866300      14,220       300  SH      DEFINED     4                              300
SATCON TECHNOLOGY CORP          COM         803893106      39,758    66,252  SH      SOLE        1       66,252
SAUER DANFOSS INC               COM         804137107     306,011     8,451  SH      SOLE        1        8,451
SAUER-DANFOSS INC               COM         804137107     184,671     5,100  SH      DEFINED     2                            5,100
SAUL CENTERS INC                COM         804395101     225,200     6,358  SH      SOLE        1        6,358
SAVIENT PHARMACEUTICALS IN      COM         80517Q100     128,921    57,812  SH      SOLE        1       57,812
SBA COMMUNICATIONS CORP         COM         78388J106       2,578        60  SH      DEFINED     2                               60
SBA COMMUNICATIONS CORP         COM         78388J106       3,523        82  SH      DEFINED     3                               82
SBA COMMUNICATIONS CORP CL      COM         78388J106   4,644,492   108,112  SH      SOLE        1      108,112
SCANA CORP                      COM         80589M102   1,725,122    38,285  SH      SOLE        1       38,285
SCANA CORP NEW                  COM         80589M102     125,943     2,795  SH      DEFINED     2                            2,795
SCANA CORP NEW                  COM         80589M102       5,272       117  SH      DEFINED     3                              117
SCANA CORP NEW                  COM         80589M102      36,048       800  SH      DEFINED     4                              800
SCANSOURCE INC                  COM         806037107     792,684    22,019  SH      SOLE        1       22,019
SCBT FINANCIAL CORP             COM         78401V102     296,047    10,205  SH      SOLE        1       10,205
SCHAWK INC                      COM         806373106      96,518     8,610  SH      SOLE        1        8,610
SCHEIN HENRY INC                COM         806407102      32,215       500  SH      DEFINED     4                              500
SCHIFF NUTRITION INTERNATI      COM         806693107      95,380     8,914  SH      SOLE        1        8,914
SCHLUMBERGER LTD                COM         806857108  47,139,843   690,087  SH      SOLE        1      690,087
SCHLUMBERGER LTD                COM         806857108     390,472     5,716  SH      DEFINED     2                            5,716
SCHLUMBERGER LTD                COM         806857108     580,772     8,502  SH      DEFINED     3                            8,502
SCHLUMBERGER LTD                COM         806857108     762,446    11,162  SH      DEFINED     4                           11,162
SCHNITZER STEEL INDS INC A      COM         806882106     598,473    14,155  SH      SOLE        1       14,155
SCHNITZER STL INDS              COM         806882106       8,456       200  SH      DEFINED     2                              200
SCHOLASTIC CORP                 COM         807066105   2,226,921    74,305  SH      SOLE        1       74,305
SCHOOL SPECIALTY INC            COM         807863105      32,798    13,119  SH      SOLE        1       13,119
SCHULMAN (A.) INC               COM         808194104     529,881    25,018  SH      SOLE        1       25,018
SCHWAB (CHARLES) CORP           COM         808513105   4,675,377   415,220  SH      SOLE        1      415,220
SCHWAB CHARLES CORP NEW         COM         808513105         383        34  SH      DEFINED     2                               34
SCHWAB CHARLES CORP NEW         COM         808513105       7,195       639  SH      DEFINED     3                              639
SCHWAB CHARLES CORP NEW         COM         808513105       5,562       494  SH      DEFINED     4                              494
SCHWAB STRATEGIC TR             COM         808524847       8,884       330  SH      DEFINED     4                              330
SCHWEITZER MAUDUIT INTL IN      COM         808541106     872,686    13,131  SH      SOLE        1       13,131
SCICLONE PHARMACEUTICALS I      COM         80862K104     108,305    25,246  SH      SOLE        1       25,246
SCIENTIFIC GAMES CORP A         COM         80874P109   1,634,421   168,497  SH      SOLE        1      168,497
SCIQUEST INC                    COM         80908T101     128,544     9,008  SH      SOLE        1        9,008
SCORPIO TANKERS INC             COM         Y7542C106     432,633    88,473  SH      SOLE        1       88,473
SCOTTS MIRACLE GRO CO CL A      COM         810186106   4,421,403    94,697  SH      SOLE        1       94,697
SCRIPPS NETWORKS INTER CL       COM         811065101   1,286,853    30,336  SH      SOLE        1       30,336
SEABOARD CORP                   COM         811543107     464,208       228  SH      SOLE        1          228
SEABRIDGE GOLD INC              COM         811916105       3,222       200  SH      DEFINED     3                              200
SEABRIDGE GOLD INC              COM         811916105      55,580     3,450  SH      DEFINED     4                            3,450
SEABRIGHT HOLDINGS INC          COM         811656107     111,774    14,611  SH      SOLE        1       14,611
SEACHANGE INTERNATIONAL IN      COM         811699107     135,756    19,311  SH      SOLE        1       19,311
SEACHANGE INTL INC              COM         811699107      78,736    11,200  SH      DEFINED     4                           11,200
SEACOAST BANKING CORP/FL        COM         811707306      80,458    52,933  SH      SOLE        1       52,933
SEACOR HOLDINGS INC             COM         811904101     224,624     2,525  SH      SOLE        1        2,525
SEACUBE CONTAINER LEASING       COM         G79978105     119,517     8,070  SH      SOLE        1        8,070
SEADRILL LIMITED                COM         G7945E105     209,508     6,314  SH      DEFINED     2                            6,314






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
SEADRILL LIMITED                COM         G7945E105     335,900    10,124  SH      DEFINED     3                           10,124
SEADRILL LIMITED                COM         G7945E105     237,237     7,150  SH      DEFINED     4                            7,150
SEAGATE TECHNOLOGY              COM         G7945M107     368,082    22,444  SH      SOLE        1       22,444
SEAGATE TECHNOLOGY PLC          COM         G7945M107       2,050       125  SH      DEFINED     2                              125
SEAGATE TECHNOLOGY PLC          COM         G7945M107       7,741       472  SH      DEFINED     3                              472
SEAGATE TECHNOLOGY PLC          COM         G7945M107      53,677     3,273  SH      DEFINED     4                            3,273
SEALED AIR CORP                 COM         81211K100   1,744,027   101,338  SH      SOLE        1      101,338
SEALED AIR CORP NEW             COM         81211K100      24,918     1,448  SH      DEFINED     3                            1,448
SEALY CORP                      COM         812139301      62,125    36,119  SH      SOLE        1       36,119
SEARS HLDGS CORP                COM         812350106         540        17  SH      DEFINED     3                               17
SEARS HOLDINGS CORP             COM         812350106     586,373    18,451  SH      SOLE        1       18,451
SEASPAN CORP                    COM         Y75638109      19,170     1,401  SH      DEFINED     2                            1,401
SEASPAN CORP                    COM         Y75638109      38,304     2,800  SH      DEFINED     3                            2,800
SEATTLE GENETICS INC            COM         812578102   1,177,889    70,469  SH      SOLE        1       70,469
SEATTLE GENETICS INC            COM         812578102         836        50  SH      DEFINED     2                               50
SEATTLE GENETICS INC            COM         812578102       5,850       350  SH      DEFINED     3                              350
SEI INVESTMENTS CO              COM         784117103     126,048     7,265  SH      DEFINED     2                            7,265
SEI INVESTMENTS CO              COM         784117103       6,940       400  SH      DEFINED     4                              400
SEI INVESTMENTS COMPANY         COM         784117103   5,562,931   320,630  SH      SOLE        1      320,630
SELECT COMFORT CORPORATION      COM         81616X103     983,468    45,342  SH      SOLE        1       45,342
SELECT MEDICAL HOLDINGS CO      COM         81619Q105     277,101    32,677  SH      SOLE        1       32,677
SELECT SECTOR SPDR TR           COM         81369Y209     341,067     9,832  SH      DEFINED     2                            9,832
SELECT SECTOR SPDR TR           COM         81369Y308   1,410,345    43,409  SH      DEFINED     2                           43,409
SELECT SECTOR SPDR TR           COM         81369Y407       6,477       166  SH      DEFINED     2                              166
SELECT SECTOR SPDR TR           COM         81369Y506     503,233     7,280  SH      DEFINED     2                            7,280
SELECT SECTOR SPDR TR           COM         81369Y605      54,665     4,205  SH      DEFINED     2                            4,205
SELECT SECTOR SPDR TR           COM         81369Y704      62,763     1,860  SH      DEFINED     2                            1,860
SELECT SECTOR SPDR TR           COM         81369Y803     165,233     6,492  SH      DEFINED     2                            6,492
SELECT SECTOR SPDR TR           COM         81369Y886   4,643,348   129,054  SH      DEFINED     2                          129,054
SELECT SECTOR SPDR TR           COM         81369Y100      82,521     2,463  SH      DEFINED     3                            2,463
SELECT SECTOR SPDR TR           COM         81369Y209      24,218       698  SH      DEFINED     3                              698
SELECT SECTOR SPDR TR           COM         81369Y308     292,808     9,012  SH      DEFINED     3                            9,012
SELECT SECTOR SPDR TR           COM         81369Y407      82,631     2,118  SH      DEFINED     3                            2,118
SELECT SECTOR SPDR TR           COM         81369Y506     520,068     7,523  SH      DEFINED     3                            7,523
SELECT SECTOR SPDR TR           COM         81369Y605     214,297    16,484  SH      DEFINED     3                           16,484
SELECT SECTOR SPDR TR           COM         81369Y704      76,766     2,275  SH      DEFINED     3                            2,275
SELECT SECTOR SPDR TR           COM         81369Y803      96,099     3,776  SH      DEFINED     3                            3,776
SELECT SECTOR SPDR TR           COM         81369Y886   6,091,361   169,299  SH      DEFINED     3                          169,299
SELECT SECTOR SPDR TR           COM         81369Y100      10,385       310  SH      DEFINED     4                              310
SELECT SECTOR SPDR TR           COM         81369Y209     138,933     4,005  SH      DEFINED     4                            4,005
SELECT SECTOR SPDR TR           COM         81369Y308   2,206,688    67,919  SH      DEFINED     4                           67,919
SELECT SECTOR SPDR TR           COM         81369Y407   2,190,271    56,132  SH      DEFINED     4                           56,132
SELECT SECTOR SPDR TR           COM         81369Y506     151,809     2,196  SH      DEFINED     4                            2,196
SELECT SECTOR SPDR TR           COM         81369Y605      95,589     7,353  SH      DEFINED     4                            7,353
SELECT SECTOR SPDR TR           COM         81369Y803   2,196,437    86,304  SH      DEFINED     4                           86,304
SELECT SECTOR SPDR TR           COM         81369Y886   2,855,153    79,354  SH      DEFINED     4                           79,354
SELECTIVE INSURANCE GROUP       COM         816300107   1,601,196    90,310  SH      SOLE        1       90,310
SEMGROUP CORP CLASS A           COM         81663A105     789,983    30,314  SH      SOLE        1       30,314
SEMICONDUCTOR HLDRS TR          COM         816636203           0       100  SH      DEFINED     2                              100
SEMICONDUCTOR HLDRS TR          COM         816636203           0     1,000  SH      DEFINED     3                            1,000
SEMICONDUCTOR MFG INTL CORP     COM         81663N206       2,385     1,015  SH      DEFINED     3                            1,015
SEMPRA ENERGY                   COM         816851109   4,379,155    79,621  SH      SOLE        1       79,621
SEMPRA ENERGY                   COM         816851109      44,000       800  SH      DEFINED     2                              800
SEMPRA ENERGY                   COM         816851109     429,045     7,801  SH      DEFINED     3                            7,801
SEMPRA ENERGY                   COM         816851109       2,750        50  SH      DEFINED     4                               50
SEMTECH CORP                    COM         816850101   4,751,938   191,456  SH      SOLE        1      191,456
SENECA FOODS CORP   CL A        COM         817070501     194,141     7,519  SH      SOLE        1        7,519
SENIOR HOUSING PROP TRUST       COM         81721M109   8,037,851   358,193  SH      SOLE        1      358,193
SENIOR HSG PPTYS TR             COM         81721M109      48,897     2,179  SH      DEFINED     2                            2,179
SENIOR HSG PPTYS TR             COM         81721M109     122,747     5,470  SH      DEFINED     4                            5,470
SENOMYX INC                     COM         81724Q107     100,579    28,902  SH      SOLE        1       28,902
SENOMYX INC                     COM         81724Q107      10,440     3,000  SH      DEFINED     2                            3,000
SENSATA TECHNOLOGIES HLDG BV    COM         N7902X106       2,628       100  SH      DEFINED     3                              100
SENSIENT TECHNOLOGIES CORP      COM         81725T100   5,505,506   145,264  SH      SOLE        1      145,264
SENSIENT TECHNOLOGIES CORP      COM         81725T100       1,478        39  SH      DEFINED     3                               39
SEQUENOM INC                    COM         817337405     321,958    72,350  SH      SOLE        1       72,350
SEQUENOM INC                    COM         817337405      95,008    21,350  SH      DEFINED     3                           21,350
SERVICE CORP INTERNATIONAL      COM         817565104   5,350,826   502,425  SH      SOLE        1      502,425
SERVICE CORP INTL               COM         817565104      21,300     2,000  SH      DEFINED     4                            2,000
SERVICESOURCE INTERNATIONA      COM         81763U100     120,436     7,676  SH      SOLE        1        7,676
SERVICESOURCE INTL LLC          COM         81763U100         737        47  SH      DEFINED     2                               47
SHAW COMMUNICATIONS INC         COM         82028K200       6,378       321  SH      DEFINED     2                              321
SHAW GROUP INC                  COM         820280105   3,865,665   143,705  SH      SOLE        1      143,705
SHAW GROUP INC                  COM         820280105      86,080     3,200  SH      DEFINED     2                            3,200
SHAW GROUP INC                  COM         820280105       5,380       200  SH      DEFINED     3                              200
SHENANDOAH TELECOMMUNICATI      COM         82312B106     181,922    17,359  SH      SOLE        1       17,359
SHERWIN WILLIAMS CO             COM         824348106       7,409        83  SH      DEFINED     2                               83
SHERWIN WILLIAMS CO             COM         824348106       8,927       100  SH      DEFINED     3                              100
SHERWIN WILLIAMS CO             COM         824348106     173,541     1,944  SH      DEFINED     4                            1,944
SHERWIN WILLIAMS CO/THE         COM         824348106   2,430,108    27,222  SH      SOLE        1       27,222
SHILOH INDUSTRIES INC           COM         824543102      32,917     3,928  SH      SOLE        1        3,928
SHINHAN FINANCIAL GROUP CO L    COM         824596100       6,821       100  SH      DEFINED     3                              100
SHIP FINANCE INTERNATIONAL L    COM         G81075106      90,051     9,641  SH      DEFINED     2                            9,641
SHIP FINANCE INTERNATIONAL L    COM         G81075106      35,324     3,782  SH      DEFINED     3                            3,782
SHIP FINANCE INTL LTD           COM         G81075106     307,127    32,883  SH      SOLE        1       32,883
SHOE CARNIVAL INC               COM         824889109     171,830     6,686  SH      SOLE        1        6,686
SHORETEL INC                    COM         825211105     219,791    34,450  SH      SOLE        1       34,450
SHORETEL INC                    COM         825211105      25,220     3,953  SH      DEFINED     2                            3,953
SHUFFLE MASTER INC              COM         825549108     515,575    43,991  SH      SOLE        1       43,991
SHUTTERFLY INC                  COM         82568P304     556,664    24,458  SH      SOLE        1       24,458
SIEMENS A G                     COM         826197501       4,781        50  SH      DEFINED     2                               50
SIEMENS A G                     COM         826197501      59,183       619  SH      DEFINED     3                              619
SIEMENS A G                     COM         826197501      38,244       400  SH      DEFINED     4                              400
SIERRA BANCORP                  COM         82620P102      76,419     8,684  SH      SOLE        1        8,684
SIGA TECHNOLOGIES INC           COM         826917106      63,300    25,119  SH      SOLE        1       25,119
SIGMA ALDRICH                   COM         826552101   2,876,658    46,056  SH      SOLE        1       46,056
SIGMA ALDRICH CORP              COM         826552101     340,220     5,447  SH      DEFINED     4                            5,447
SIGMA DESIGNS INC               COM         826565103     155,646    25,941  SH      SOLE        1       25,941
SIGMA DESIGNS INC               COM         826565103         180        30  SH      DEFINED     2                               30
SIGNATURE BANK                  COM         82669G104   8,029,602   133,849  SH      SOLE        1      133,849
SIGNATURE BK NEW YORK N Y       COM         82669G104       2,400        40  SH      DEFINED     2                               40
SIGNET JEWELERS LTD             COM         G81276100  12,029,610   273,649  SH      SOLE        1      273,649
SILGAN HOLDINGS INC             COM         827048109   4,189,465   108,423  SH      SOLE        1      108,423
SILGAN HOLDINGS INC             COM         827048109       5,100       132  SH      DEFINED     2                              132
SILICON GRAPHICS INTERNATI      COM         82706L108     259,374    22,633  SH      SOLE        1       22,633
SILICON GRAPHICS INTL CORP      COM         82706L108       3,438       300  SH      DEFINED     2                              300
SILICON IMAGE INC               COM         82705T102     272,891    58,062  SH      SOLE        1       58,062
SILICON IMAGE INC               COM         82705T102       1,880       400  SH      DEFINED     3                              400
SILICON LABORATORIES INC        COM         826919102   3,975,622    91,562  SH      SOLE        1       91,562
SILICON LABORATORIES INC        COM         826919102      19,843       457  SH      DEFINED     2                              457
SILICONWARE PRECISION INDS L    COM         827084864         453       104  SH      DEFINED     3                              104
SILVER STD RES INC              COM         82823L106      85,684     6,200  SH      DEFINED     3                            6,200
SILVER STD RES INC              COM         82823L906          10        10  SH  C   DEFINED     3                               10
SILVER STD RES INC              COM         82823L106       9,121       660  SH      DEFINED     4                              660
SILVER WHEATON CORP             COM         828336107     142,686     4,927  SH      DEFINED     2                            4,927






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
SILVER WHEATON CORP             COM         828336107     465,242    16,065  SH      DEFINED     3                           16,065
SILVER WHEATON CORP             COM         828336107     264,984     9,150  SH      DEFINED     4                            9,150
SILVERCORP METALS INC           COM         82835P103      28,160     4,400  SH      DEFINED     2                            4,400
SILVERCORP METALS INC           COM         82835P103      19,648     3,070  SH      DEFINED     3                            3,070
SILVERCORP METALS INC           COM         82835P103       1,920       300  SH      DEFINED     4                              300
SIMCERE PHARMACEUTICAL GROUP    COM         82859P104       6,806       724  SH      DEFINED     4                              724
SIMMONS FIRST NATL CORP CL      COM         828730200     383,814    14,116  SH      SOLE        1       14,116
SIMON PPTY GROUP INC NEW        COM         828806109      95,931       744  SH      DEFINED     3                              744
SIMON PPTY GROUP INC NEW        COM         828806109       2,579        20  SH      DEFINED     4                               20
SIMON PROPERTY GROUP INC        COM         828806109  15,208,086   117,947  SH      SOLE        1      117,947
SIMPSON MANUFACTURING CO I      COM         829073105   1,137,439    33,792  SH      SOLE        1       33,792
SINA CORP                       COM         G81477104      20,800       400  SH      DEFINED     2                              400
SINCLAIR BROADCAST GROUP A      COM         829226109     417,352    36,836  SH      SOLE        1       36,836
SINCLAIR BROADCAST GROUP INC    COM         829226109     766,373    67,641  SH      DEFINED     4                           67,641
SINOCOKING COAL & COKE CH IN    COM         829357102          18         8  SH      DEFINED     3                                8
SINOPEC SHANGHAI PETROCHEMIC    COM         82935M109       4,135       125  SH      DEFINED     2                              125
SINOVAC BIOTECH LTD             COM         P8696W104       7,920     3,600  SH      DEFINED     3                            3,600
SIRIUS XM RADIO INC             COM         82967N108     482,784   265,266  SH      SOLE        1      265,266
SIRIUS XM RADIO INC             COM         82967N108      24,616    13,525  SH      DEFINED     2                           13,525
SIRIUS XM RADIO INC             COM         82967N108     135,197    74,284  SH      DEFINED     3                           74,284
SIRIUS XM RADIO INC             COM         82967N108      26,354    14,480  SH      DEFINED     4                           14,480
SIRIUS XM RADIO INC             COM         82967N908       4,000        50  SH  C   DEFINED     4                               50
SIRONA DENTAL SYSTEMS INC       COM         82966C103   3,004,761    68,228  SH      SOLE        1       68,228
SIX FLAGS ENTERTAINMENT CO      COM         83001A102   1,255,840    30,452  SH      SOLE        1       30,452
SIX FLAGS ENTMT CORP NEW        COM         83001A102       1,155        28  SH      DEFINED     2                               28
SIX FLAGS ENTMT CORP NEW        COM         83001A102       1,155        28  SH      DEFINED     3                               28
SJW CORP                        COM         784305104     243,445    10,298  SH      SOLE        1       10,298
SK TELECOM LTD                  COM         78440P108         544        40  SH      DEFINED     4                               40
SKECHERS USA INC CL A           COM         830566105     369,236    30,465  SH      SOLE        1       30,465
SKILLED HEALTHCARE GROU CL      COM         83066R107      77,204    14,140  SH      SOLE        1       14,140
SKULLCANDY INC                  COM         83083J104      88,078     7,035  SH      SOLE        1        7,035
SKULLCANDY INC                  COM         83083J104         313        25  SH      DEFINED     2                               25
SKYLINE CORP                    COM         830830105      24,308     5,588  SH      SOLE        1        5,588
SKYWEST INC                     COM         830879102     540,224    42,909  SH      SOLE        1       42,909
SKYWEST INC                     COM         830879102       3,563       283  SH      DEFINED     3                              283
SKYWORKS SOLUTIONS INC          COM         83088M102  11,935,617   735,858  SH      SOLE        1      735,858
SKYWORKS SOLUTIONS INC          COM         83088M102      11,354       700  SH      DEFINED     2                              700
SKYWORKS SOLUTIONS INC          COM         83088M102       8,678       535  SH      DEFINED     3                              535
SKYWORKS SOLUTIONS INC          COM         83088M102      10,543       650  SH      DEFINED     4                              650
SL GREEN REALTY CORP            COM         78440X101  12,650,871   189,839  SH      SOLE        1      189,839
SLM CORP                        COM         78442P106   2,777,659   207,288  SH      SOLE        1      207,288
SLM CORP                        COM         78442P106       2,010       150  SH      DEFINED     3                              150
SLM CORP                        COM         78442P106       1,340       100  SH      DEFINED     4                              100
SM ENERGY CO                    COM         78454L100  10,241,749   140,106  SH      SOLE        1      140,106
SM ENERGY CO                    COM         78454L100      58,480       800  SH      DEFINED     3                              800
SMART BALANCE INC               COM         83169Y108     232,897    43,451  SH      SOLE        1       43,451
SMART TECHNOLOGIES INC          COM         83172R108         369       100  SH      DEFINED     3                              100
SMITH & NEPHEW PLC              COM         83175M205         337         7  SH      DEFINED     3                                7
SMITH & NEPHEW PLC              COM         83175M205      15,408       320  SH      DEFINED     4                              320
SMITH & WESSON HLDG CORP        COM         831756101       2,180       500  SH      DEFINED     2                              500
SMITH & WESSON HLDG CORP        COM         831756101      17,440     4,000  SH      DEFINED     3                            4,000
SMITH (A.O.) CORP               COM         831865209   1,245,646    31,048  SH      SOLE        1       31,048
SMITH + WESSON HOLDING COR      COM         831756101     191,879    44,009  SH      SOLE        1       44,009
SMITH A O                       COM         831865209       4,012       100  SH      DEFINED     2                              100
SMITH A O                       COM         831865209       5,537       138  SH      DEFINED     3                              138
SMITH MICRO SOFTWARE INC        COM         832154108      29,605    26,199  SH      SOLE        1       26,199
SMITH MICRO SOFTWARE INC        COM         832154108         339       300  SH      DEFINED     2                              300
SMITHFIELD FOODS INC            COM         832248108   8,735,993   359,802  SH      SOLE        1      359,802
SMITHFIELD FOODS INC            COM         832248108       5,779       238  SH      DEFINED     3                              238
SMUCKER J M CO                  COM         832696405      27,047       346  SH      DEFINED     2                              346
SMUCKER J M CO                  COM         832696405     278,051     3,557  SH      DEFINED     3                            3,557
SMUCKER J M CO                  COM         832696405      15,790       202  SH      DEFINED     4                              202
SNAP ON INC                     COM         833034101     964,716    19,058  SH      SOLE        1       19,058
SNAP ON INC                     COM         833034101       2,531        50  SH      DEFINED     2                               50
SNAP ON INC                     COM         833034101       1,012        20  SH      DEFINED     3                               20
SNYDERS LANCE INC               COM         833551104     865,148    38,451  SH      SOLE        1       38,451
SOCIEDAD QUIMICA MINERA DE C    COM         833635105       5,385       100  SH      DEFINED     3                              100
SOCIEDAD QUIMICA MINERA DE C    COM         833635105      53,850     1,000  SH      DEFINED     4                            1,000
SOCKET MOBILE INC               COM         83368E200         243       130  SH      DEFINED     4                              130
SODASTREAM INTERNATIONAL LTD    COM         M9068E105      26,152       800  SH      DEFINED     2                              800
SODASTREAM INTERNATIONAL LTD    COM         M9068E105      26,152       800  SH      DEFINED     3                              800
SOHU COM INC                    COM         83408W103         750        15  SH      DEFINED     2                               15
SOLAR CAP LTD                   COM         83413U100       8,063       365  SH      DEFINED     3                              365
SOLAR CAP LTD                   COM         83413U100      69,267     3,136  SH      DEFINED     4                            3,136
SOLAR CAPITAL LTD               COM         83413U100     588,544    26,643  SH      SOLE        1       26,643
SOLAR SENIOR CAPITAL LTD        COM         83416M105      89,177     5,662  SH      SOLE        1        5,662
SOLARWINDS INC                  COM         83416B109   1,163,111    41,614  SH      SOLE        1       41,614
SOLARWINDS INC                  COM         83416B109      41,925     1,500  SH      DEFINED     3                            1,500
SOLAZYME INC                    COM         83415T101      95,343     8,012  SH      SOLE        1        8,012
SOLAZYME INC                    COM         83415T101      11,900     1,000  SH      DEFINED     2                            1,000
SOLAZYME INC                    COM         83415T101      11,305       950  SH      DEFINED     4                              950
SOLERA HOLDINGS INC             COM         83421A104   6,907,041   155,075  SH      SOLE        1      155,075
SOLERA HOLDINGS INC             COM         83421A104       2,227        50  SH      DEFINED     2                               50
SOLTA MEDICAL INC               COM         83438K103     138,980    44,261  SH      SOLE        1       44,261
SOLUTIA INC                     COM         834376501      35,165     2,035  SH      SOLE        1        2,035
SOLUTIA INC                     COM         834376501       1,814       105  SH      DEFINED     2                              105
SOLUTIA INC                     COM         834376147          11        24  SH      DEFINED     4                               24
SOLUTIA INC                     COM         834376501          52         3  SH      DEFINED     4                                3
SONDE RES CORP                  COM         835426107       1,044       400  SH      DEFINED     2                              400
SONIC AUTOMOTIVE INC CLASS      COM         83545G102     478,748    32,326  SH      SOLE        1       32,326
SONIC CORP                      COM         835451105     339,010    50,373  SH      SOLE        1       50,373
SONIC CORP                      COM         835451105       7,639     1,135  SH      DEFINED     2                            1,135
SONIC CORP                      COM         835451105      12,410     1,844  SH      DEFINED     3                            1,844
SONIC CORP                      COM         835451105      10,216     1,518  SH      DEFINED     4                            1,518
SONOCO PRODS CO                 COM         835495102      36,355     1,103  SH      DEFINED     2                            1,103
SONOCO PRODUCTS CO              COM         835495102   7,257,232   220,183  SH      SOLE        1      220,183
SONOSITE INC                    COM         83568G104     606,517    11,261  SH      SOLE        1       11,261
SONUS NETWORKS INC              COM         835916107     369,876   154,115  SH      SOLE        1      154,115
SONY CORP                       COM         835699307       9,020       500  SH      DEFINED     3                              500
SOTHEBY S                       COM         835898107   5,590,083   195,937  SH      SOLE        1      195,937
SOTHEBYS                        COM         835898107          86         3  SH      DEFINED     3                                3
SOURCEFIRE INC                  COM         83616T108     750,925    23,191  SH      SOLE        1       23,191
SOUTH JERSEY INDS INC           COM         838518108     266,199     4,686  SH      DEFINED     2                            4,686
SOUTH JERSEY INDS INC           COM         838518108      29,541       520  SH      DEFINED     4                              520
SOUTH JERSEY INDUSTRIES         COM         838518108   4,808,796    84,647  SH      SOLE        1       84,647
SOUTHERN CO                     COM         842587107     855,427    18,480  SH      DEFINED     2                           18,480
SOUTHERN CO                     COM         842587107     618,650    13,365  SH      DEFINED     3                           13,365
SOUTHERN CO                     COM         842587107     619,526    13,384  SH      DEFINED     4                           13,384
SOUTHERN CO/THE                 COM         842587107  11,901,298   257,103  SH      SOLE        1      257,103
SOUTHERN COPPER CORP            COM         84265V105     226,468     7,504  SH      DEFINED     2                            7,504
SOUTHERN COPPER CORP            COM         84265V105     299,959     9,939  SH      DEFINED     3                            9,939
SOUTHERN COPPER CORP            COM         84265V105     257,737     8,540  SH      DEFINED     4                            8,540
SOUTHERN UN CO NEW              COM         844030106      42,759     1,015  SH      DEFINED     2                            1,015
SOUTHERN UN CO NEW              COM         844030106      15,665       372  SH      DEFINED     3                              372
SOUTHERN UNION CO               COM         844030106  11,566,859   274,682  SH      SOLE        1      274,682






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
SOUTHSIDE BANCSHARES INC        COM         84470P109     260,093    12,008  SH      SOLE        1       12,008
SOUTHWEST AIRLINES CO           COM         844741108   2,197,891   256,763  SH      SOLE        1      256,763
SOUTHWEST AIRLS CO              COM         844741108      34,642     4,047  SH      DEFINED     2                            4,047
SOUTHWEST AIRLS CO              COM         844741108      53,126     6,206  SH      DEFINED     3                            6,206
SOUTHWEST AIRLS CO              COM         844741108       1,712       200  SH      DEFINED     4                              200
SOUTHWEST BANCORP INC/OKLA      COM         844767103      84,620    14,198  SH      SOLE        1       14,198
SOUTHWEST GAS CORP              COM         844895102   1,587,554    37,363  SH      SOLE        1       37,363
SOUTHWEST GAS CORP              COM         844895102       5,266       124  SH      DEFINED     4                              124
SOUTHWESTERN ENERGY CO          COM         845467109   3,856,276   120,735  SH      SOLE        1      120,735
SOUTHWESTERN ENERGY CO          COM         845467109      54,298     1,700  SH      DEFINED     3                            1,700
SOUTHWESTERN ENERGY CO          COM         845467109       3,290       103  SH      DEFINED     4                              103
SOVRAN SELF STORAGE INC         COM         84610H108     963,147    22,572  SH      SOLE        1       22,572
SOVRAN SELF STORAGE INC         COM         84610H108      26,199       614  SH      DEFINED     2                              614
SPANSION INC CLASS A            COM         84649R200     304,265    36,747  SH      SOLE        1       36,747
SPARTAN MOTORS INC              COM         846819100     130,779    27,189  SH      SOLE        1       27,189
SPARTAN MTRS INC                COM         846819100       9,620     2,000  SH      DEFINED     3                            2,000
SPARTAN STORES INC              COM         846822104     340,881    18,426  SH      SOLE        1       18,426
SPARTECH CORP                   COM         847220209     106,643    22,546  SH      SOLE        1       22,546
SPDR DOW JONES INDL AVRG ETF    COM         78467X109   4,206,770    34,524  SH      DEFINED     2                           34,524
SPDR DOW JONES INDL AVRG ETF    COM         78467X109   4,811,908    39,490  SH      DEFINED     3                           39,490
SPDR DOW JONES INDL AVRG ETF    COM         78467X109     125,045     1,026  SH      DEFINED     4                            1,026
SPDR GOLD TRUST                 COM         78463V107   6,729,357    44,275  SH      DEFINED     2                           44,275
SPDR GOLD TRUST                 COM         78463V107   2,032,106    13,370  SH      DEFINED     3                           13,370
SPDR GOLD TRUST                 COM         78463V107   4,762,303    31,333  SH      DEFINED     4                           31,333
SPDR GOLD TRUST                 COM         78463V907       4,725         3  SH  C   DEFINED     4                                3
SPDR INDEX SHS FDS              COM         78463X301      53,782       815  SH      DEFINED     2                              815
SPDR INDEX SHS FDS              COM         78463X749       5,757       165  SH      DEFINED     2                              165
SPDR INDEX SHS FDS              COM         78463X798      58,373     2,663  SH      DEFINED     2                            2,663
SPDR INDEX SHS FDS              COM         78463X822      45,039     1,096  SH      DEFINED     2                            1,096
SPDR INDEX SHS FDS              COM         78463X848       5,555       195  SH      DEFINED     2                              195
SPDR INDEX SHS FDS              COM         78463X863       6,175       194  SH      DEFINED     2                              194
SPDR INDEX SHS FDS              COM         78463X889       8,716       400  SH      DEFINED     2                              400
SPDR INDEX SHS FDS              COM         78463X103      11,918       400  SH      DEFINED     3                              400
SPDR INDEX SHS FDS              COM         78463X301         990        15  SH      DEFINED     3                               15
SPDR INDEX SHS FDS              COM         78463X400         498         8  SH      DEFINED     3                                8
SPDR INDEX SHS FDS              COM         78463X509      45,404       780  SH      DEFINED     3                              780
SPDR INDEX SHS FDS              COM         78463X681       4,185       135  SH      DEFINED     3                              135
SPDR INDEX SHS FDS              COM         78463X749      23,621       677  SH      DEFINED     3                              677
SPDR INDEX SHS FDS              COM         78463X756         302         8  SH      DEFINED     3                                8
SPDR INDEX SHS FDS              COM         78463X772      79,033     1,700  SH      DEFINED     3                            1,700
SPDR INDEX SHS FDS              COM         78463X798      18,676       852  SH      DEFINED     3                              852
SPDR INDEX SHS FDS              COM         78463X863      13,910       437  SH      DEFINED     3                              437
SPDR INDEX SHS FDS              COM         78463X509       9,197       158  SH      DEFINED     4                              158
SPDR INDEX SHS FDS              COM         78463X640      22,591     1,000  SH      DEFINED     4                            1,000
SPDR INDEX SHS FDS              COM         78463X756      18,865       500  SH      DEFINED     4                              500
SPDR INDEX SHS FDS              COM         78463X798      17,536       800  SH      DEFINED     4                              800
SPDR INDEX SHS FDS              COM         78463X848     298,802    10,499  SH      DEFINED     4                           10,499
SPDR INDEX SHS FDS              COM         78463X863       2,706        85  SH      DEFINED     4                               85
SPDR S&P 500 ETF TR             COM         78462F103   1,051,837     8,381  SH      DEFINED     2                            8,381
SPDR S&P 500 ETF TR             COM         78462F103     875,395     6,975  SH      DEFINED     3                            6,975
SPDR S&P 500 ETF TR             COM         78462F103   7,064,521    56,291  SH      DEFINED     4                           56,291
SPDR S&P 500 ETF TR             COM         78462F953      56,600        50  SH  P   DEFINED     2                               50
SPDR S&P MIDCAP 400 ETF TR      COM         78467Y107   1,678,499    10,524  SH      DEFINED     2                           10,524
SPDR S&P MIDCAP 400 ETF TR      COM         78467Y107     150,240       942  SH      DEFINED     3                              942
SPDR S&P MIDCAP 400 ETF TR      COM         78467Y107     710,978     4,458  SH      DEFINED     4                            4,458
SPDR SERIES TRUST               COM         78464A417     716,324    18,630  SH      DEFINED     2                           18,630
SPDR SERIES TRUST               COM         78464A425       2,434       100  SH      DEFINED     2                              100
SPDR SERIES TRUST               COM         78464A458       3,466       146  SH      DEFINED     2                              146
SPDR SERIES TRUST               COM         78464A490      50,167       884  SH      DEFINED     2                              884
SPDR SERIES TRUST               COM         78464A516      36,592       622  SH      DEFINED     2                              622
SPDR SERIES TRUST               COM         78464A607       7,020       109  SH      DEFINED     2                              109
SPDR SERIES TRUST               COM         78464A656      20,307       350  SH      DEFINED     2                              350
SPDR SERIES TRUST               COM         78464A714     349,825     6,657  SH      DEFINED     2                            6,657
SPDR SERIES TRUST               COM         78464A730      16,159       307  SH      DEFINED     2                              307
SPDR SERIES TRUST               COM         78464A763     572,605    10,629  SH      DEFINED     2                           10,629
SPDR SERIES TRUST               COM         78464A797      23,142     1,167  SH      DEFINED     2                            1,167
SPDR SERIES TRUST               COM         78464A805      14,031       150  SH      DEFINED     2                              150
SPDR SERIES TRUST               COM         78464A888       8,550       500  SH      DEFINED     2                              500
SPDR SERIES TRUST               COM         78464A201       3,593        32  SH      DEFINED     3                               32
SPDR SERIES TRUST               COM         78464A292      19,985       474  SH      DEFINED     3                              474
SPDR SERIES TRUST               COM         78464A367      31,592       800  SH      DEFINED     3                              800
SPDR SERIES TRUST               COM         78464A375      58,118     1,750  SH      DEFINED     3                            1,750
SPDR SERIES TRUST               COM         78464A417     831,674    21,630  SH      DEFINED     3                           21,630
SPDR SERIES TRUST               COM         78464A425      70,586     2,900  SH      DEFINED     3                            2,900
SPDR SERIES TRUST               COM         78464A458      52,418     2,208  SH      DEFINED     3                            2,208
SPDR SERIES TRUST               COM         78464A474     345,482    11,474  SH      DEFINED     3                           11,474
SPDR SERIES TRUST               COM         78464A490      62,652     1,104  SH      DEFINED     3                            1,104
SPDR SERIES TRUST               COM         78464A516     164,253     2,792  SH      DEFINED     3                            2,792
SPDR SERIES TRUST               COM         78464A607       2,318        36  SH      DEFINED     3                               36
SPDR SERIES TRUST               COM         78464A649      10,306       178  SH      DEFINED     3                              178
SPDR SERIES TRUST               COM         78464A656     470,020     8,101  SH      DEFINED     3                            8,101
SPDR SERIES TRUST               COM         78464A698      26,607     1,090  SH      DEFINED     3                            1,090
SPDR SERIES TRUST               COM         78464A722       5,133       100  SH      DEFINED     3                              100
SPDR SERIES TRUST               COM         78464A730      13,752       261  SH      DEFINED     3                              261
SPDR SERIES TRUST               COM         78464A748      19,063       550  SH      DEFINED     3                              550
SPDR SERIES TRUST               COM         78464A755     230,645     4,708  SH      DEFINED     3                            4,708
SPDR SERIES TRUST               COM         78464A763     336,076     6,239  SH      DEFINED     3                            6,239
SPDR SERIES TRUST               COM         78464A789      56,320     1,514  SH      DEFINED     3                            1,514
SPDR SERIES TRUST               COM         78464A797      66,961     3,377  SH      DEFINED     3                            3,377
SPDR SERIES TRUST               COM         78464A805     266,125     2,845  SH      DEFINED     3                            2,845
SPDR SERIES TRUST               COM         78464A813       4,955        75  SH      DEFINED     3                               75
SPDR SERIES TRUST               COM         78464A870         664        10  SH      DEFINED     3                               10
SPDR SERIES TRUST               COM         78464A888      31,276     1,829  SH      DEFINED     3                            1,829
SPDR SERIES TRUST               COM         78464A300     267,786     3,998  SH      DEFINED     4                            3,998
SPDR SERIES TRUST               COM         78464A375     388,889    11,710  SH      DEFINED     4                           11,710
SPDR SERIES TRUST               COM         78464A417      55,176     1,435  SH      DEFINED     4                            1,435
SPDR SERIES TRUST               COM         78464A425       9,128       375  SH      DEFINED     4                              375
SPDR SERIES TRUST               COM         78464A441      11,720       500  SH      DEFINED     4                              500
SPDR SERIES TRUST               COM         78464A490      36,320       640  SH      DEFINED     4                              640
SPDR SERIES TRUST               COM         78464A516       8,060       137  SH      DEFINED     4                              137
SPDR SERIES TRUST               COM         78464A607       3,284        51  SH      DEFINED     4                               51
SPDR SERIES TRUST               COM         78464A649   1,318,801    22,778  SH      DEFINED     4                           22,778
SPDR SERIES TRUST               COM         78464A672      36,569       599  SH      DEFINED     4                              599
SPDR SERIES TRUST               COM         78464A680   2,485,223    54,227  SH      DEFINED     4                           54,227
SPDR SERIES TRUST               COM         78464A698      43,987     1,802  SH      DEFINED     4                            1,802
SPDR SERIES TRUST               COM         78464A706      57,707     1,150  SH      DEFINED     4                            1,150
SPDR SERIES TRUST               COM         78464A755      24,495       500  SH      DEFINED     4                              500
SPDR SERIES TRUST               COM         78464A763     152,721     2,835  SH      DEFINED     4                            2,835
SPDR SERIES TRUST               COM         78464A805     841,112     8,992  SH      DEFINED     4                            8,992
SPECTRA ENERGY CORP             COM         847560109  12,321,587   400,702  SH      SOLE        1      400,702
SPECTRA ENERGY CORP             COM         847560109     108,671     3,534  SH      DEFINED     2                            3,534
SPECTRA ENERGY CORP             COM         847560109     248,121     8,069  SH      DEFINED     3                            8,069
SPECTRA ENERGY CORP             COM         847560109      80,719     2,625  SH      DEFINED     4                            2,625
SPECTRA ENERGY PARTNERS LP      COM         84756N109      22,052       690  SH      DEFINED     3                              690
SPECTRANETICS CORP              COM         84760C107     175,829    24,353  SH      SOLE        1       24,353






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
SPECTRUM BRANDS HOLDINGS I      COM         84763R101     334,362    12,203  SH      SOLE        1       12,203
SPECTRUM PHARMACEUTICALS I      COM         84763A108     613,436    41,930  SH      SOLE        1       41,930
SPECTRUM PHARMACEUTICALS INC    COM         84763A108       7,681       525  SH      DEFINED     2                              525
SPECTRUM PHARMACEUTICALS INC    COM         84763A108      21,945     1,500  SH      DEFINED     3                            1,500
SPEEDWAY MOTORSPORTS INC        COM         847788106     132,206     8,624  SH      SOLE        1        8,624
SPIRIT AEROSYSTEMS HLDGS INC    COM         848574109      41,560     2,000  SH      DEFINED     3                            2,000
SPIRIT AEROSYSTEMS HOLD CL      COM         848574109      70,112     3,374  SH      SOLE        1        3,374
SPIRIT AIRLINES INC             COM         848577102     177,590    11,384  SH      SOLE        1       11,384
SPRINT NEXTEL CORP              COM         852061100   2,873,698 1,228,076  SH      SOLE        1    1,228,076
SPRINT NEXTEL CORP              COM         852061100      17,446     7,456  SH      DEFINED     2                            7,456
SPRINT NEXTEL CORP              COM         852061100      33,460    14,299  SH      DEFINED     3                           14,299
SPRINT NEXTEL CORP              COM         852061100      16,155     6,904  SH      DEFINED     4                            6,904
SPROTT PHYSICAL GOLD TRUST      COM         85207H104      47,831     3,466  SH      DEFINED     3                            3,466
SPROTT PHYSICAL SILVER TR       COM         85207K107     110,193     8,205  SH      DEFINED     2                            8,205
SPROTT PHYSICAL SILVER TR       COM         85207K107      26,860     2,000  SH      DEFINED     3                            2,000
SPS COMMERCE INC                COM         78463M107     159,644     6,152  SH      SOLE        1        6,152
SPX CORP                        COM         784635104   6,757,171   112,115  SH      SOLE        1      112,115
SPX CORP                        COM         784635104       5,665        94  SH      DEFINED     3                               94
SPX CORP                        COM         784635104      60,270     1,000  SH      DEFINED     4                            1,000
SRS LABS INC                    COM         78464M106      50,646     8,808  SH      SOLE        1        8,808
SS+C TECHNOLOGIES HOLDINGS      COM         78467J100     332,611    18,417  SH      SOLE        1       18,417
ST JOE CO                       COM         790148100       3,313       226  SH      DEFINED     2                              226
ST JOE CO                       COM         790148100       1,715       117  SH      DEFINED     4                              117
ST JOE CO/THE                   COM         790148100      30,463     2,078  SH      SOLE        1        2,078
ST JUDE MED INC                 COM         790849103      33,614       980  SH      DEFINED     2                              980
ST JUDE MED INC                 COM         790849103      90,415     2,636  SH      DEFINED     3                            2,636
ST JUDE MEDICAL INC             COM         790849103   3,466,838   101,074  SH      SOLE        1      101,074
STAAR SURGICAL CO               COM         852312305     272,310    25,959  SH      SOLE        1       25,959
STAG INDUSTRIAL INC             COM         85254J102     132,983    11,594  SH      SOLE        1       11,594
STAGE STORES INC                COM         85254C305     351,278    25,290  SH      SOLE        1       25,290
STAMPS.COM INC                  COM         852857200     230,049     8,804  SH      SOLE        1        8,804
STANCORP FINANCIAL GROUP        COM         852891100   3,577,392    97,344  SH      SOLE        1       97,344
STANCORP FINL GROUP INC         COM         852891100      62,475     1,700  SH      DEFINED     2                            1,700
STANCORP FINL GROUP INC         COM         852891100       9,702       264  SH      DEFINED     4                              264
STANDARD MICROSYSTEMS CORP      COM         853626109     482,724    18,732  SH      SOLE        1       18,732
STANDARD MOTOR PRODS            COM         853666105     321,041    16,012  SH      SOLE        1       16,012
STANDARD PAC CORP NEW           COM         85375C101       6,360     2,000  SH      DEFINED     4                            2,000
STANDARD PACIFIC CORP           COM         85375C101     273,839    86,113  SH      SOLE        1       86,113
STANDARD PARKING CORP           COM         853790103     206,541    11,558  SH      SOLE        1       11,558
STANDARD REGISTER CO            COM         853887107       2,402     1,031  SH      SOLE        1        1,031
STANDEX INTERNATIONAL CORP      COM         854231107     348,226    10,191  SH      SOLE        1       10,191
STANLEY BLACK & DECKER INC      COM         854502101      11,921       176  SH      DEFINED     2                              176
STANLEY BLACK & DECKER INC      COM         854502101      30,906       457  SH      DEFINED     3                              457
STANLEY BLACK & DECKER INC      COM         854502101       6,760       100  SH      DEFINED     4                              100
STANLEY BLACK + DECKER INC      COM         854502101   5,227,102    77,324  SH      SOLE        1       77,324
STANTEC INC                     COM         85472N109       4,088       150  SH      DEFINED     4                              150
STAPLES INC                     COM         855030102   4,998,178   359,840  SH      SOLE        1      359,840
STAPLES INC                     COM         855030102      86,285     6,212  SH      DEFINED     2                            6,212
STAPLES INC                     COM         855030102       4,987       359  SH      DEFINED     3                              359
STAPLES INC                     COM         855030102       8,334       600  SH      DEFINED     4                              600
STAR GAS PARTNERS L P           COM         85512C105      38,960     8,000  SH      DEFINED     3                            8,000
STAR SCIENTIFIC INC             COM         85517P101     170,467    78,196  SH      SOLE        1       78,196
STAR SCIENTIFIC INC             COM         85517P101      58,402    26,790  SH      DEFINED     4                           26,790
STARBUCKS CORP                  COM         855244109  28,141,694   611,643  SH      SOLE        1      611,643
STARBUCKS CORP                  COM         855244109     336,011     7,303  SH      DEFINED     2                            7,303
STARBUCKS CORP                  COM         855244109   1,153,241    25,065  SH      DEFINED     3                           25,065
STARBUCKS CORP                  COM         855244109     105,179     2,286  SH      DEFINED     4                            2,286
STARWOOD HOTELS + RESORTS       COM         85590A401   2,902,953    60,516  SH      SOLE        1       60,516
STARWOOD HOTELS&RESORTS WRLD    COM         85590A401      23,985       500  SH      DEFINED     2                              500
STARWOOD HOTELS&RESORTS WRLD    COM         85590A401      23,889       498  SH      DEFINED     3                              498
STARWOOD HOTELS&RESORTS WRLD    COM         85590A401      25,184       525  SH      DEFINED     4                              525
STARWOOD PROPERTY TRUST IN      COM         85571B105   1,260,124    68,078  SH      SOLE        1       68,078
STATE AUTO FINANCIAL CORP       COM         855707105     145,277    10,690  SH      SOLE        1       10,690
STATE BANCORP INC               COM         855716106     134,822    11,051  SH      SOLE        1       11,051
STATE BANK FINANCIAL CORP       COM         856190103     348,860    23,088  SH      SOLE        1       23,088
STATE STR CORP                  COM         857477103       3,628        90  SH      DEFINED     2                               90
STATE STR CORP                  COM         857477103       8,102       201  SH      DEFINED     3                              201
STATE STR CORP                  COM         857477103       8,788       218  SH      DEFINED     4                              218
STATE STREET CORP               COM         857477103   7,844,366   194,601  SH      SOLE        1      194,601
STATOIL ASA                     COM         85771P102       6,121       239  SH      DEFINED     2                              239
STATOIL ASA                     COM         85771P102      65,306     2,550  SH      DEFINED     3                            2,550
STEC INC                        COM         784774101     230,659    26,852  SH      SOLE        1       26,852
STEC INC                        COM         784774101      42,950     5,000  SH      DEFINED     2                            5,000
STEEL DYNAMICS INC              COM         858119100   6,300,599   479,133  SH      SOLE        1      479,133
STEEL DYNAMICS INC              COM         858119100      84,160     6,400  SH      DEFINED     2                            6,400
STEEL DYNAMICS INC              COM         858119100     371,395    28,243  SH      DEFINED     3                           28,243
STEEL DYNAMICS INC              CNV         858119AP5       6,533         6 PRN      DEFINED     3                                6
STEEL DYNAMICS INC              COM         858119100      17,095     1,300  SH      DEFINED     4                            1,300
STEELCASE INC CL A              COM         858155203     433,374    58,093  SH      SOLE        1       58,093
STEIN MART INC                  COM         858375108     152,169    22,345  SH      SOLE        1       22,345
STEINER LEISURE LTD             COM         P8744Y102     498,201    10,976  SH      SOLE        1       10,976
STEINWAY MUSICAL INSTRUMEN      COM         858495104     120,593     4,816  SH      SOLE        1        4,816
STELLARONE CORP                 COM         85856G100     190,991    16,783  SH      SOLE        1       16,783
STEPAN CO                       COM         858586100     530,419     6,617  SH      SOLE        1        6,617
STEPAN CO                       COM         858586100      54,910       685  SH      DEFINED     3                              685
STEREOTAXIS INC                 COM         85916J102      26,530    32,212  SH      SOLE        1       32,212
STERICYCLE INC                  COM         858912108   2,432,117    31,213  SH      SOLE        1       31,213
STERICYCLE INC                  COM         858912108       1,558        20  SH      DEFINED     2                               20
STERICYCLE INC                  COM         858912108     121,867     1,564  SH      DEFINED     3                            1,564
STERIS CORP                     COM         859152100   5,041,160   169,053  SH      SOLE        1      169,053
STERIS CORP                     COM         859152100       2,982       100  SH      DEFINED     2                              100
STERLING BANCORP N Y            COM         859158107   5,507,991   637,499  SH      SOLE        1      637,499
STERLING CONSTRUCTION CO        COM         859241101     129,488    12,023  SH      SOLE        1       12,023
STERLING FINL CORP WASH         COM         859319303       7,265       435  SH      DEFINED     2                              435
STERLING FINL CORP/SPOKANE      COM         859319303     327,153    19,590  SH      SOLE        1       19,590
STEVEN MADDEN LTD               COM         556269108   4,907,625   142,250  SH      SOLE        1      142,250
STEWART ENTERPRISES INC         COM         860370105       8,467     1,470  SH      DEFINED     3                            1,470
STEWART ENTERPRISES INC CL      COM         860370105     331,453    57,544  SH      SOLE        1       57,544
STEWART INFORMATION SERVIC      COM         860372101     172,245    14,913  SH      SOLE        1       14,913
STIFEL FINANCIAL CORP           COM         860630102   1,402,861    43,771  SH      SOLE        1       43,771
STILLWATER MINING CO            COM         86074Q102     880,586    84,186  SH      SOLE        1       84,186
STILLWATER MNG CO               COM         86074Q102       6,276       600  SH      DEFINED     3                              600
STONE ENERGY CORP               COM         861642106   1,053,274    39,927  SH      SOLE        1       39,927
STONE ENERGY CORP               COM         861642106      10,552       400  SH      DEFINED     4                              400
STONEMOR PARTNERS L P           COM         86183Q100       4,104       175  SH      DEFINED     2                              175
STONEMOR PARTNERS L P           COM         86183Q100      15,336       654  SH      DEFINED     3                              654
STONEMOR PARTNERS L P           COM         86183Q100     150,080     6,400  SH      DEFINED     4                            6,400
STONERIDGE INC                  COM         86183P102     162,859    19,319  SH      SOLE        1       19,319
STR HOLDINGS INC                COM         78478V100     210,474    25,574  SH      SOLE        1       25,574
STRATASYS INC                   COM         862685104     523,782    17,224  SH      SOLE        1       17,224
STRATEGIC GLOBAL INCOME FD      COM         862719101      33,846     3,328  SH      DEFINED     2                            3,328
STRATEGIC HOTELS + RESORTS      COM         86272T106     685,593   127,671  SH      SOLE        1      127,671
STRAYER ED INC                  COM         863236105       3,499        36  SH      DEFINED     3                               36
STRAYER ED INC                  COM         863236105     132,081     1,359  SH      DEFINED     4                            1,359
STRAYER EDUCATION INC           COM         863236105   3,318,164    34,141  SH      SOLE        1       34,141






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
STREAM GLOBAL SERVICES INC      COM         86323M100      22,147     6,691  SH      SOLE        1        6,691
STRYKER CORP                    COM         863667101  10,384,419   208,900  SH      SOLE        1      208,900
STRYKER CORP                    COM         863667101      72,718     1,463  SH      DEFINED     2                            1,463
STRYKER CORP                    COM         863667101      11,384       229  SH      DEFINED     3                              229
STRYKER CORP                    COM         863667101      14,913       300  SH      DEFINED     4                              300
STURM RUGER & CO INC            COM         864159108       6,692       200  SH      DEFINED     2                              200
STURM RUGER & CO INC            COM         864159108      18,905       565  SH      DEFINED     3                              565
STURM RUGER + CO INC            COM         864159108     514,949    15,390  SH      SOLE        1       15,390
SUBURBAN PROPANE PARTNERS L     COM         864482104      88,339     1,855  SH      DEFINED     2                            1,855
SUBURBAN PROPANE PARTNERS L     COM         864482104     304,561     6,397  SH      DEFINED     3                            6,397
SUBURBAN PROPANE PARTNERS L     COM         864482104     136,706     2,871  SH      DEFINED     4                            2,871
SUCAMPO PHARMACEUTICALS CL      COM         864909106      41,031     9,262  SH      SOLE        1        9,262
SUCCESSFACTORS INC              COM         864596101   2,429,518    60,936  SH      SOLE        1       60,936
SUFFOLK BANCORP                 COM         864739107      76,544     7,094  SH      SOLE        1        7,094
SUMITOMO MITSUI FINL GROUP I    COM         86562M209         634       115  SH      DEFINED     3                              115
SUMMER INFANT INC               COM         865646103      68,556     9,738  SH      SOLE        1        9,738
SUMMIT HOTEL PROPERTIES IN      COM         866082100     188,130    19,929  SH      SOLE        1       19,929
SUN BANCORP INC                 COM         86663B102       1,210       500  SH      DEFINED     4                              500
SUN BANCORP INC NJ              COM         86663B102      70,323    29,059  SH      SOLE        1       29,059
SUN COMMUNITIES INC             COM         866674104     566,617    15,511  SH      SOLE        1       15,511
SUN HEALTHCARE GROUP INC        COM         86677E100      71,109    18,327  SH      SOLE        1       18,327
SUN HYDRAULICS CORP             COM         866942105     343,015    14,640  SH      SOLE        1       14,640
SUN LIFE FINL INC               COM         866796105       8,056       435  SH      DEFINED     2                              435
SUN LIFE FINL INC               COM         866796105       1,389        75  SH      DEFINED     4                               75
SUNAMERICA FCSED ALPHA GRW F    COM         867037103      37,474     2,050  SH      DEFINED     2                            2,050
SUNCOKE ENERGY INC              COM         86722A103     109,122     9,743  SH      SOLE        1        9,743
SUNCOR ENERGY INC NEW           COM         867224107      62,772     2,177  SH      DEFINED     2                            2,177
SUNCOR ENERGY INC NEW           COM         867224107     239,664     8,313  SH      DEFINED     3                            8,313
SUNCOR ENERGY INC NEW           COM         867224107      89,373     3,100  SH      DEFINED     4                            3,100
SUNESIS PHARMACEUTICALS IN      COM         867328601      24,307    20,775  SH      SOLE        1       20,775
SUNOCO INC                      COM         86764P109   1,456,128    35,498  SH      SOLE        1       35,498
SUNOCO INC                      COM         86764P109      19,074       465  SH      DEFINED     2                              465
SUNOCO INC                      COM         86764P109         205         5  SH      DEFINED     3                                5
SUNOCO LOGISTICS PRTNRS L P     COM         86764L108      35,460       900  SH      DEFINED     2                              900
SUNOCO LOGISTICS PRTNRS L P     COM         86764L108     165,480     4,200  SH      DEFINED     3                            4,200
SUNOCO LOGISTICS PRTNRS L P     COM         86764L108      11,820       300  SH      DEFINED     4                              300
SUNPOWER CORP                   COM         867652406      19,693     3,161  SH      SOLE        1        3,161
SUNPOWER CORP                   COM         867652406       4,398       706  SH      DEFINED     3                              706
SUNRISE SENIOR LIVING INC       COM         86768K106     271,642    41,920  SH      SOLE        1       41,920
SUNRISE SENIOR LIVING INC       COM         86768K106       7,290     1,125  SH      DEFINED     3                            1,125
SUNSTONE HOTEL INVESTORS I      COM         867892101     703,500    86,319  SH      SOLE        1       86,319
SUNTECH PWR HLDGS CO LTD        COM         86800C104       1,635       740  SH      DEFINED     3                              740
SUNTRUST BANKS INC              COM         867914103   3,706,380   209,400  SH      SOLE        1      209,400
SUNTRUST BKS INC                COM         867914103      91,491     5,169  SH      DEFINED     2                            5,169
SUNTRUST BKS INC                COM         867914103       1,876       106  SH      DEFINED     3                              106
SUNTRUST BKS INC                COM         867914103     177,000    10,000  SH      DEFINED     4                           10,000
SUPER MICRO COMPUTER INC        COM         86800U104     344,019    21,940  SH      SOLE        1       21,940
SUPERCONDUCTOR TECHNOLOGIES     COM         867931305          25        20  SH      DEFINED     3                               20
SUPERCONDUCTOR TECHNOLOGIES     COM         867931305         246       200  SH      DEFINED     4                              200
SUPERIOR ENERGY SERVICES I      COM         868157108  14,038,894   493,632  SH      SOLE        1      493,632
SUPERIOR ENERGY SVCS INC        COM         868157108       6,399       225  SH      DEFINED     2                              225
SUPERIOR ENERGY SVCS INC        COM         868157108      59,013     2,075  SH      DEFINED     3                            2,075
SUPERIOR INDUSTRIES INTL        COM         868168105     315,782    19,092  SH      SOLE        1       19,092
SUPERMEDIA INC                  COM         868447103       2,640     1,000  SH      DEFINED     3                            1,000
SUPERTEX INC                    COM         868532102     161,028     8,529  SH      SOLE        1        8,529
SUPERVALU INC                   COM         868536103   1,143,020   140,766  SH      SOLE        1      140,766
SUPERVALU INC                   COM         868536103      65,396     8,054  SH      DEFINED     3                            8,054
SUPERVALU INC                   COM         868536103         138        17  SH      DEFINED     4                               17
SUPPORT.COM INC                 COM         86858W101      79,677    35,412  SH      SOLE        1       35,412
SUREWEST COMMUNICATIONS         COM         868733106     123,536    10,269  SH      SOLE        1       10,269
SURMODICS INC                   COM         868873100     181,359    12,371  SH      SOLE        1       12,371
SUSQUEHANNA BANCSHARES INC      COM         869099101   1,069,833   127,665  SH      SOLE        1      127,665
SUSSER HLDGS CORP               COM         869233106         882        39  SH      DEFINED     3                               39
SUSSER HOLDINGS CORP            COM         869233106     155,218     6,862  SH      SOLE        1        6,862
SVB FINANCIAL GROUP             COM         78486Q101   5,981,471   125,424  SH      SOLE        1      125,424
SWEDISH EXPT CR CORP            COM         870297801       1,881       221  SH      DEFINED     2                              221
SWEDISH EXPT CR CORP            COM         870297603      17,900     2,000  SH      DEFINED     3                            2,000
SWEDISH EXPT CR CORP            COM         870297405      20,290     2,000  SH      DEFINED     4                            2,000
SWIFT ENERGY CO                 COM         870738101   1,027,450    34,571  SH      SOLE        1       34,571
SWIFT ENERGY CO                 COM         870738101      75,786     2,550  SH      DEFINED     4                            2,550
SWIFT TRANSPORTATION CO         COM         87074U101   3,970,551   481,863  SH      SOLE        1      481,863
SWISHER HYGIENE INC             COM         870808102     231,125    61,798  SH      SOLE        1       61,798
SWISHER HYGIENE INC             COM         870808102       8,602     2,300  SH      DEFINED     4                            2,300
SWS GROUP INC                   COM         78503N107     163,272    23,766  SH      SOLE        1       23,766
SXC HEALTH SOLUTIONS CORP       COM         78505P100      58,287     1,032  SH      SOLE        1        1,032
SYCAMORE NETWORKS INC           COM         871206405     261,215    14,593  SH      SOLE        1       14,593
SYCAMORE NETWORKS INC           COM         871206405          90         5  SH      DEFINED     2                                5
SYKES ENTERPRISES INC           COM         871237103     506,241    32,327  SH      SOLE        1       32,327
SYMANTEC CORP                   COM         871503108   4,302,811   274,940  SH      SOLE        1      274,940
SYMANTEC CORP                   COM         871503108      22,693     1,450  SH      DEFINED     3                            1,450
SYMANTEC CORP                   COM         871503108       2,880       184  SH      DEFINED     4                              184
SYMETRA FINANCIAL CORP          COM         87151Q106     941,584   103,813  SH      SOLE        1      103,813
SYMMETRICOM INC                 COM         871543104     189,679    35,191  SH      SOLE        1       35,191
SYMMETRY MEDICAL INC            COM         871546206     236,760    29,632  SH      SOLE        1       29,632
SYNAPTICS INC                   COM         87157D109     790,051    26,204  SH      SOLE        1       26,204
SYNAPTICS INC                   COM         87157D109      30,150     1,000  SH      DEFINED     3                            1,000
SYNCHRONOSS TECHNOLOGIES I      COM         87157B103     651,177    21,555  SH      SOLE        1       21,555
SYNCHRONOSS TECHNOLOGIES INC    COM         87157B103      34,742     1,150  SH      DEFINED     3                            1,150
SYNERGETICS USA INC             COM         87160G107     119,910    16,248  SH      SOLE        1       16,248
SYNERGY PHARMACEUTICALS INC     COM         871639308       4,388     1,250  SH      DEFINED     2                            1,250
SYNERGY RES CORP                COM         87164P103       2,850     1,000  SH      DEFINED     4                            1,000
SYNERON MEDICAL LTD             COM         M87245102       3,321       300  SH      DEFINED     3                              300
SYNNEX CORP                     COM         87162W100     625,679    20,541  SH      SOLE        1       20,541
SYNOPSYS INC                    COM         871607107   8,582,362   315,528  SH      SOLE        1      315,528
SYNOPSYS INC                    COM         871607107      12,458       458  SH      DEFINED     2                              458
SYNOVIS LIFE TECHNOLOGIES       COM         87162G105     232,965     8,371  SH      SOLE        1        8,371
SYNOVUS FINANCIAL CORP          COM         87161C105   2,438,275 1,729,273  SH      SOLE        1    1,729,273
SYNOVUS FINL CORP               COM         87161C105       4,230     3,000  SH      DEFINED     4                            3,000
SYNTA PHARMACEUTICALS CORP      COM         87162T206      79,418    17,006  SH      SOLE        1       17,006
SYNTEL INC                      COM         87162H103     526,163    11,250  SH      SOLE        1       11,250
SYNTROLEUM CORP                 COM         871630109      61,904    64,483  SH      SOLE        1       64,483
SYNUTRA INTERNATIONAL INC       COM         87164C102      63,953    12,639  SH      SOLE        1       12,639
SYSCO CORP                      COM         871829107  12,052,284   410,920  SH      SOLE        1      410,920
SYSCO CORP                      COM         871829107     645,448    22,006  SH      DEFINED     2                           22,006
SYSCO CORP                      COM         871829107     144,626     4,931  SH      DEFINED     3                            4,931
SYSCO CORP                      COM         871829107     161,056     5,491  SH      DEFINED     4                            5,491
SYSTEMAX INC                    COM         871851101     129,475     7,890  SH      SOLE        1        7,890
T ROWE PRICE GROUP INC          COM         74144T108   4,901,060    86,059  SH      SOLE        1       86,059
TAIWAN SEMICONDUCTOR MFG LTD    COM         874039100      23,961     1,856  SH      DEFINED     3                            1,856
TAKE TWO INTERACTIVE SOFTW      COM         874054109     826,564    61,001  SH      SOLE        1       61,001
TAL INTERNATIONAL GROUP IN      COM         874083108     462,108    16,051  SH      SOLE        1       16,051
TALBOTS INC                     COM         874161102     135,814    51,058  SH      SOLE        1       51,058
TALEO CORP CLASS A              COM         87424N104   4,764,441   123,144  SH      SOLE        1      123,144
TAM SA                          COM         87484D103      19,350     1,000  SH      DEFINED     3                            1,000
TANGER FACTORY OUTLET CENT      COM         875465106   2,054,423    70,069  SH      SOLE        1       70,069






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
TANGER FACTORY OUTLET CTRS I    COM         875465106      38,292     1,306  SH      DEFINED     3                            1,306
TANGOE INC/CT                   COM         87582Y108     115,269     7,485  SH      SOLE        1        7,485
TANZANIAN ROYALTY EXPL CORP     COM         87600U104      66,240    27,600  SH      DEFINED     3                           27,600
TARGA RESOURCES CORP            COM         87612G101     488,321    12,001  SH      SOLE        1       12,001
TARGA RESOURCES PARTNERS LP     COM         87611X105      12,657       340  SH      DEFINED     2                              340
TARGA RESOURCES PARTNERS LP     COM         87611X105      88,204     2,366  SH      DEFINED     3                            2,366
TARGA RESOURCES PARTNERS LP     COM         87611X105       3,728       100  SH      DEFINED     4                              100
TARGACEPT INC                   COM         87611R306     112,080    20,122  SH      SOLE        1       20,122
TARGACEPT INC                   COM         87611R306      27,850     5,000  SH      DEFINED     4                            5,000
TARGET CORP                     COM         87612E106  25,838,390   504,459  SH      SOLE        1      504,459
TARGET CORP                     COM         87612E106      68,840     1,344  SH      DEFINED     2                            1,344
TARGET CORP                     COM         87612E106     348,296     6,800  SH      DEFINED     3                            6,800
TARGET CORP                     COM         87612E106       4,098        80  SH      DEFINED     4                               80
TASEKO MINES LTD                COM         876511106       5,460     2,000  SH      DEFINED     2                            2,000
TASER INTERNATIONAL INC         COM         87651B104     207,846    40,595  SH      SOLE        1       40,595
TASER INTL INC                  COM         87651B104     424,960    83,000  SH      DEFINED     3                           83,000
TASMAN METALS LTD               COM         87652B103       3,550     2,305  SH      DEFINED     3                            2,305
TATA MTRS LTD                   COM         876568502       8,011       474  SH      DEFINED     2                              474
TATA MTRS LTD                   COM         876568502      27,040     1,600  SH      DEFINED     3                            1,600
TAUBMAN CENTERS INC             COM         876664103   7,916,756   127,484  SH      SOLE        1      127,484
TAYLOR CAPITAL GROUP INC        COM         876851106      77,031     7,925  SH      SOLE        1        7,925
TC PIPELINES LP                 COM         87233Q108      66,402     1,400  SH      DEFINED     2                            1,400
TC PIPELINES LP                 COM         87233Q108     109,706     2,313  SH      DEFINED     3                            2,313
TC PIPELINES LP                 COM         87233Q108     113,121     2,385  SH      DEFINED     4                            2,385
TCF FINANCIAL CORP              COM         872275102   3,583,909   347,278  SH      SOLE        1      347,278
TCF FINL CORP                   COM         872275102      24,778     2,401  SH      DEFINED     2                            2,401
TD AMERITRADE HOLDING CORP      COM         87236Y108      54,071     3,455  SH      SOLE        1        3,455
TE CONNECTIVITY LTD             COM         H84989104   6,239,087   202,502  SH      SOLE        1      202,502
TE CONNECTIVITY LTD             COM         H84989104       2,311        75  SH      DEFINED     2                               75
TE CONNECTIVITY LTD             COM         H84989104      13,349       433  SH      DEFINED     3                              433
TE CONNECTIVITY LTD             COM         H84989104       1,140        37  SH      DEFINED     4                               37
TEAM HEALTH HOLDINGS INC        COM         87817A107     429,725    19,471  SH      SOLE        1       19,471
TEAM INC                        COM         878155100     423,015    14,219  SH      SOLE        1       14,219
TEAMSTAFF INC                   COM         87815U303       3,780     2,000  SH      DEFINED     2                            2,000
TEAVANA HOLDINGS INC            COM         87819P102      97,956     5,216  SH      SOLE        1        5,216
TECH DATA CORP                  COM         878237106   4,495,618    90,986  SH      SOLE        1       90,986
TECHNE CORP                     COM         878377100   5,524,282    80,930  SH      SOLE        1       80,930
TECHNE CORP                     COM         878377100       1,365        20  SH      DEFINED     2                               20
TECHTARGET                      COM         87874R100      62,260    10,661  SH      SOLE        1       10,661
TECK RESOURCES LTD              COM         878742204      63,236     1,797  SH      DEFINED     2                            1,797
TECK RESOURCES LTD              COM         878742204      19,073       542  SH      DEFINED     3                              542
TECO ENERGY INC                 COM         872375100   3,649,118   190,654  SH      SOLE        1      190,654
TECO ENERGY INC                 COM         872375100      31,390     1,640  SH      DEFINED     2                            1,640
TECO ENERGY INC                 COM         872375100      11,285       590  SH      DEFINED     3                              590
TECUMSEH PRODUCTS CO CLASS      COM         878895200      63,441    13,498  SH      SOLE        1       13,498
TEEKAY CORP                     COM         Y8564W103      35,604     1,332  SH      SOLE        1        1,332
TEEKAY CORPORATION              COM         Y8564W103       1,951        73  SH      DEFINED     4                               73
TEEKAY LNG PARTNERS L P         COM         Y8564M105      21,561       650  SH      DEFINED     3                              650
TEEKAY LNG PARTNERS L P         COM         Y8564M105      49,755     1,500  SH      DEFINED     4                            1,500
TEEKAY OFFSHORE PARTNERS L P    COM         Y8565J101      32,984     1,240  SH      DEFINED     2                            1,240
TEEKAY TANKERS LTD              COM         Y8565N102       3,872     1,100  SH      DEFINED     2                            1,100
TEEKAY TANKERS LTD              COM         Y8565N102       1,408       400  SH      DEFINED     3                              400
TEEKAY TANKERS LTD CLASS A      COM         Y8565N102     108,969    30,957  SH      SOLE        1       30,957
TEJON RANCH CO                  COM         879080109     254,421    10,393  SH      SOLE        1       10,393
TEKELEC                         COM         879101103     548,631    50,195  SH      SOLE        1       50,195
TEKELEC                         COM         879101103       4,372       400  SH      DEFINED     2                              400
TELE NORTE LESTE PART S A       COM         879246106       2,853       300  SH      DEFINED     4                              300
TELECOM CORP NEW ZEALAND LTD    COM         879278208      11,186     1,400  SH      DEFINED     2                            1,400
TELECOM CORP NEW ZEALAND LTD    COM         879278208       5,361       671  SH      DEFINED     4                              671
TELECOM ITALIA S P A NEW        COM         87927Y102         192        18  SH      DEFINED     3                               18
TELECOMMUNICATION SYSTEMS       COM         87929J103      79,620    33,881  SH      SOLE        1       33,881
TELEDYNE TECHNOLOGIES INC       COM         879360105   1,642,538    29,946  SH      SOLE        1       29,946
TELEDYNE TECHNOLOGIES INC       COM         879360105       2,139        39  SH      DEFINED     2                               39
TELEDYNE TECHNOLOGIES INC       COM         879360105       3,126        57  SH      DEFINED     3                               57
TELEFLEX INC                    COM         879369106   5,496,855    89,686  SH      SOLE        1       89,686
TELEFLEX INC                    COM         879369106       1,532        25  SH      DEFINED     3                               25
TELEFONICA BRASIL SA            COM         87936R106      27,330     1,000  SH      DEFINED     2                            1,000
TELEFONICA BRASIL SA            COM         87936R106       2,733       100  SH      DEFINED     3                              100
TELEFONICA S A                  COM         879382208       8,011       466  SH      DEFINED     2                              466
TELEFONICA S A                  COM         879382208     158,216     9,204  SH      DEFINED     3                            9,204
TELEFONICA S A                  COM         879382208      48,596     2,827  SH      DEFINED     4                            2,827
TELEFONOS DE MEXICO S A B       COM         879403780      16,534     1,145  SH      DEFINED     2                            1,145
TELENAV INC                     COM         879455103      93,946    12,029  SH      SOLE        1       12,029
TELEPHONE AND DATA SYSTEMS      COM         879433100   5,245,003   202,588  SH      SOLE        1      202,588
TELETECH HOLDINGS INC           COM         879939106     334,627    20,656  SH      SOLE        1       20,656
TELLABS INC                     COM         879664100   3,304,122   817,852  SH      SOLE        1      817,852
TELLABS INC                     COM         879664100       4,848     1,200  SH      DEFINED     2                            1,200
TELLABS INC                     COM         879664100          24         6  SH      DEFINED     3                                6
TELULAR CORP                    COM         87970T208     180,025    24,003  SH      DEFINED     2                           24,003
TELULAR CORP                    COM         87970T208       1,500       200  SH      DEFINED     4                              200
TELUS CORP                      COM         87971M202     400,084     7,471  SH      DEFINED     3                            7,471
TEMPLE INLAND INC               COM         879868107   7,639,827   240,928  SH      SOLE        1      240,928
TEMPLE INLAND INC               COM         879868107      15,855       500  SH      DEFINED     3                              500
TEMPLETON DRAGON FD INC         COM         88018T101       3,818       150  SH      DEFINED     3                              150
TEMPLETON EMERG MKTS INCOME     COM         880192109      40,482     2,600  SH      DEFINED     2                            2,600
TEMPLETON EMERG MKTS INCOME     COM         880192109     219,771    14,115  SH      DEFINED     3                           14,115
TEMPLETON EMERG MKTS INCOME     COM         880192109       4,671       300  SH      DEFINED     4                              300
TEMPLETON EMERGING MKTS FD I    COM         880191101      42,685     2,390  SH      DEFINED     2                            2,390
TEMPLETON EMERGING MKTS FD I    COM         880191101      18,449     1,033  SH      DEFINED     3                            1,033
TEMPLETON GLOBAL INCOME FD      COM         880198106     293,848    31,095  SH      DEFINED     2                           31,095
TEMPLETON GLOBAL INCOME FD      COM         880198106      54,697     5,788  SH      DEFINED     3                            5,788
TEMPLETON GLOBAL INCOME FD      COM         880198106      40,578     4,294  SH      DEFINED     4                            4,294
TEMPUR PEDIC INTERNATIONAL      COM         88023U101  12,347,807   235,062  SH      SOLE        1      235,062
TEMPUR PEDIC INTL INC           COM         88023U101      10,506       200  SH      DEFINED     3                              200
TENET HEALTHCARE CORP           COM         88033G100     810,530   157,998  SH      SOLE        1      157,998
TENET HEALTHCARE CORP           COM         88033G100         698       136  SH      DEFINED     3                              136
TENET HEALTHCARE CORP           COM         88033G100         159        31  SH      DEFINED     4                               31
TENNANT CO                      COM         880345103     605,206    15,570  SH      SOLE        1       15,570
TENNECO INC                     COM         880349105   1,315,025    44,158  SH      SOLE        1       44,158
TENNECO INC                     COM         880349105       2,978       100  SH      DEFINED     2                              100
TENNECO INC                     COM         880349105         298        10  SH      DEFINED     3                               10
TERADATA CORP                   COM         88076W103   2,547,406    52,513  SH      SOLE        1       52,513
TERADATA CORP DEL               COM         88076W103       7,082       146  SH      DEFINED     2                              146
TERADATA CORP DEL               COM         88076W103      24,692       509  SH      DEFINED     3                              509
TERADATA CORP DEL               COM         88076W103      12,128       250  SH      DEFINED     4                              250
TERADYNE INC                    COM         880770102     828,827    60,809  SH      SOLE        1       60,809
TERADYNE INC                    COM         880770102      24,534     1,800  SH      DEFINED     2                            1,800
TERADYNE INC                    COM         880770102       7,483       549  SH      DEFINED     3                              549
TERADYNE INC                    COM         880770102      13,630     1,000  SH      DEFINED     4                            1,000
TEREX CORP                      COM         880779103   3,264,002   241,599  SH      SOLE        1      241,599
TEREX CORP NEW                  COM         880779103     122,941     9,100  SH      DEFINED     2                            9,100
TEREX CORP NEW                  COM         880779103     560,003    41,451  SH      DEFINED     3                           41,451
TEREX CORP NEW                  COM         880779103       2,702       200  SH      DEFINED     4                              200
TERRENO REALTY CORP             COM         88146M101     102,740     6,786  SH      SOLE        1        6,786
TERRITORIAL BANCORP INC         COM         88145X108     159,323     8,067  SH      SOLE        1        8,067






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
TESCO CORP                      COM         88157K101     860,645    68,089  SH      SOLE        1       68,089
TESLA MOTORS INC                COM         88160R101      25,647       898  SH      SOLE        1          898
TESLA MTRS INC                  COM         88160R101       2,542        89  SH      DEFINED     2                               89
TESLA MTRS INC                  COM         88160R101      22,391       784  SH      DEFINED     3                              784
TESORO CORP                     COM         881609101   1,104,624    47,287  SH      SOLE        1       47,287
TESORO CORP                     COM         881609101      42,328     1,812  SH      DEFINED     3                            1,812
TESORO CORP                     COM         881609101       9,344       400  SH      DEFINED     4                              400
TESSCO TECHNOLOGIES INC         COM         872386107       8,292       600  SH      DEFINED     4                              600
TESSERA TECHNOLOGIES INC        COM         88164L100     698,241    41,686  SH      SOLE        1       41,686
TETRA TECH INC                  COM         88162G103   1,097,053    50,813  SH      SOLE        1       50,813
TETRA TECHNOLOGIES INC          COM         88162F105     584,983    62,632  SH      SOLE        1       62,632
TEUCRIUM COMMODITY TR           COM         88166A102      13,644       325  SH      DEFINED     2                              325
TEUCRIUM COMMODITY TR           COM         88166A102      12,594       300  SH      DEFINED     3                              300
TEVA PHARMACEUTICAL INDS LTD    COM         881624209     159,301     3,947  SH      DEFINED     2                            3,947
TEVA PHARMACEUTICAL INDS LTD    COM         881624209   1,009,759    25,019  SH      DEFINED     3                           25,019
TEVA PHARMACEUTICAL INDS LTD    COM         881624209     168,422     4,173  SH      DEFINED     4                            4,173
TEVA PHARMACEUTICAL SP ADR      ADR         881624209   1,510,110    37,416  SH      SOLE        1       37,416
TEXAS CAPITAL BANCSHARES I      COM         88224Q107     928,922    30,347  SH      SOLE        1       30,347
TEXAS INDUSTRIES INC            COM         882491103     584,543    18,991  SH      SOLE        1       18,991
TEXAS INSTRS INC                COM         882508104       2,911       100  SH      DEFINED     2                              100
TEXAS INSTRS INC                COM         882508104      40,929     1,406  SH      DEFINED     3                            1,406
TEXAS INSTRS INC                COM         882508104      30,915     1,062  SH      DEFINED     4                            1,062
TEXAS INSTRUMENTS INC           COM         882508104  22,299,890   766,056  SH      SOLE        1      766,056
TEXAS ROADHOUSE INC             COM         882681109     759,483    50,972  SH      SOLE        1       50,972
TEXTAINER GROUP HOLDINGS L      COM         G8766E109     242,133     8,315  SH      SOLE        1        8,315
TEXTAINER GROUP HOLDINGS LTD    COM         G8766E109       2,912       100  SH      DEFINED     3                              100
TEXTRON INC                     COM         883203101   3,246,400   175,576  SH      SOLE        1      175,576
TEXTRON INC                     COM         883203101      35,464     1,918  SH      DEFINED     2                            1,918
TEXTRON INC                     COM         883203101      52,856     2,859  SH      DEFINED     3                            2,859
TFS FINANCIAL CORP              COM         87240R107      22,857     2,551  SH      SOLE        1        2,551
THERAGENICS CORP                COM         883375107       3,360     2,000  SH      DEFINED     3                            2,000
THERAVANCE INC                  COM         88338T104   1,113,067    50,365  SH      SOLE        1       50,365
THERMO FISHER SCIENTIFIC I      COM         883556102   6,536,929   145,362  SH      SOLE        1      145,362
THERMO FISHER SCIENTIFIC INC    COM         883556102       4,497       100  SH      DEFINED     2                              100
THERMO FISHER SCIENTIFIC INC    COM         883556102      27,657       615  SH      DEFINED     3                              615
THERMO FISHER SCIENTIFIC INC    COM         883556102       4,137        92  SH      DEFINED     4                               92
THERMON GROUP HOLDINGS INC      COM         88362T103     128,696     7,304  SH      SOLE        1        7,304
THL CREDIT INC                  COM         872438106      82,576     6,763  SH      SOLE        1        6,763
THOMAS & BETTS CORP             COM         884315102      16,380       300  SH      DEFINED     4                              300
THOMAS + BETTS CORP             COM         884315102   6,250,608   114,480  SH      SOLE        1      114,480
THOMPSON CREEK METALS CO I      COM         884768102     776,458   111,560  SH      SOLE        1      111,560
THOMPSON CREEK METALS CO INC    COM         884768102       1,392       200  SH      DEFINED     4                              200
THOMSON REUTERS CORP            COM         884903105      13,922       522  SH      DEFINED     2                              522
THOMSON REUTERS CORP            COM         884903105      50,673     1,900  SH      DEFINED     3                            1,900
THOR INDUSTRIES INC             COM         885160101   2,650,067    96,612  SH      SOLE        1       96,612
THORATEC CORP                   COM         885175307   4,398,105   131,052  SH      SOLE        1      131,052
THORATEC CORP                   COM         885175307     106,519     3,174  SH      DEFINED     3                            3,174
THQ INC                         COM         872443403      42,157    55,470  SH      SOLE        1       55,470
TIBCO SOFTWARE INC              COM         88632Q103   8,429,566   352,554  SH      SOLE        1      352,554
TIBCO SOFTWARE INC              COM         88632Q103       9,564       400  SH      DEFINED     2                              400
TIBCO SOFTWARE INC              COM         88632Q103      48,155     2,014  SH      DEFINED     3                            2,014
TICC CAPITAL CORP               COM         87244T109     203,803    23,561  SH      SOLE        1       23,561
TICC CAPITAL CORP               COM         87244T109      13,927     1,610  SH      DEFINED     2                            1,610
TICC CAPITAL CORP               COM         87244T109      54,495     6,300  SH      DEFINED     4                            6,300
TIDEWATER INC                   COM         886423102   5,630,405   114,207  SH      SOLE        1      114,207
TIDEWATER INC                   COM         886423102       1,183        24  SH      DEFINED     3                               24
TIDEWATER INC                   COM         886423102       7,395       150  SH      DEFINED     4                              150
TIFFANY & CO NEW                COM         886547108      12,854       194  SH      DEFINED     3                              194
TIFFANY & CO NEW                COM         886547108       1,060        16  SH      DEFINED     4                               16
TIFFANY + CO                    COM         886547108   2,636,419    39,789  SH      SOLE        1       39,789
TIM HORTONS INC                 COM         88706M103      66,674     1,377  SH      DEFINED     2                            1,377
TIM HORTONS INC                 COM         88706M103     265,342     5,480  SH      DEFINED     3                            5,480
TIM PARTICIPACOES S A           COM         88706P205         335        13  SH      DEFINED     3                               13
TIME WARNER CABLE               COM         88732J207   6,900,968   108,557  SH      SOLE        1      108,557
TIME WARNER CABLE INC           COM         88732J207      24,672       388  SH      DEFINED     2                              388
TIME WARNER CABLE INC           COM         88732J207     309,204     4,864  SH      DEFINED     3                            4,864
TIME WARNER CABLE INC           COM         88732J207       5,976        94  SH      DEFINED     4                               94
TIME WARNER INC                 COM         887317303  21,347,645   590,693  SH      SOLE        1      590,693
TIME WARNER INC                 COM         887317303      47,994     1,328  SH      DEFINED     2                            1,328
TIME WARNER INC                 COM         887317303      22,154       613  SH      DEFINED     3                              613
TIME WARNER INC                 COM         887317303      13,950       386  SH      DEFINED     4                              386
TIMKEN CO                       COM         887389104   7,117,492   183,867  SH      SOLE        1      183,867
TIMKEN CO                       COM         887389104     626,057    16,173  SH      DEFINED     3                           16,173
TIMKEN CO                       COM         887389104      13,936       360  SH      DEFINED     4                              360
TITAN INTERNATIONAL INC         COM         88830M102   3,064,035   157,453  SH      SOLE        1      157,453
TITAN MACHINERY INC             COM         88830R101     244,549    11,254  SH      SOLE        1       11,254
TITANIUM METALS CORP            COM         888339207     400,475    26,734  SH      SOLE        1       26,734
TITANIUM METALS CORP            COM         888339207      14,980     1,000  SH      DEFINED     3                            1,000
TIVO INC                        COM         888706108     781,081    87,077  SH      SOLE        1       87,077
TJX COMPANIES INC               COM         872540109   7,227,793   111,972  SH      SOLE        1      111,972
TJX COS INC NEW                 COM         872540109     132,521     2,053  SH      DEFINED     3                            2,053
TJX COS INC NEW                 COM         872540109      24,529       380  SH      DEFINED     4                              380
TMS INTERNATIONAL CORP A        COM         87261Q103      92,912     9,404  SH      SOLE        1        9,404
TNS INC                         COM         872960109     329,574    18,599  SH      SOLE        1       18,599
TOLL BROTHERS INC               COM         889478103   6,613,793   323,888  SH      SOLE        1      323,888
TOLL BROTHERS INC               COM         889478103       2,165       106  SH      DEFINED     3                              106
TOMPKINS FINANCIAL CORP         COM         890110109     255,398     6,632  SH      SOLE        1        6,632
TOOTSIE ROLL INDS               COM         890516107   1,686,890    71,267  SH      SOLE        1       71,267
TOP SHIPS INC                   COM         Y8897Y123         628       350  SH      DEFINED     4                              350
TORCHMARK CORP                  COM         891027104   1,471,615    33,916  SH      SOLE        1       33,916
TORCHMARK CORP                  COM         891027104         564        13  SH      DEFINED     3                               13
TOREADOR RES CORP               COM         891050106       5,150     1,000  SH      DEFINED     3                            1,000
TORNIER NV                      COM         N87237108     138,564     7,698  SH      SOLE        1        7,698
TORO CO                         COM         891092108     188,289     3,104  SH      SOLE        1        3,104
TORO CO                         COM         891092108         546         9  SH      DEFINED     2                                9
TORONTO DOMINION BK ONT         COM         891160509      14,962       200  SH      DEFINED     4                              200
TORTOISE ENERGY INFRSTRCTR C    COM         89147L100      23,994       600  SH      DEFINED     3                              600
TORTOISE ENERGY INFRSTRCTR C    COM         89147L100      67,613     1,691  SH      DEFINED     4                            1,691
TORTOISE MLP FD INC             COM         89148B101      20,616       800  SH      DEFINED     2                              800
TORTOISE PWR & ENERGY INFRAS    COM         89147X104       6,248       250  SH      DEFINED     4                              250
TOTAL S A                       COM         89151E109      53,666     1,050  SH      DEFINED     2                            1,050
TOTAL S A                       COM         89151E109     163,148     3,192  SH      DEFINED     3                            3,192
TOTAL S A                       COM         89151E109     137,997     2,700  SH      DEFINED     4                            2,700
TOTAL SYS SVCS INC              COM         891906109       4,831       247  SH      DEFINED     2                              247
TOTAL SYSTEM SERVICES INC       COM         891906109   1,052,973    53,833  SH      SOLE        1       53,833
TOWER BANCORP INC               COM         891709107     218,502     7,656  SH      SOLE        1        7,656
TOWER GROUP INC                 COM         891777104     611,050    30,295  SH      SOLE        1       30,295
TOWER INTERNATIONAL INC         COM         891826109      51,541     4,799  SH      SOLE        1        4,799
TOWERS WATSON + CO CL A         COM         891894107   6,798,999   113,449  SH      SOLE        1      113,449
TOWERSTREAM CORP                COM         892000100      64,928    30,918  SH      SOLE        1       30,918
TOWN SPORTS INTERNATIONAL       COM         89214A102     109,993    14,965  SH      SOLE        1       14,965
TOWNE BANK                      COM         89214P109     217,664    17,783  SH      SOLE        1       17,783
TOYOTA MOTOR CORP               COM         892331307      42,389       641  SH      DEFINED     2                              641
TOYOTA MOTOR CORP               COM         892331307      13,382       202  SH      DEFINED     3                              202
TOYOTA MOTOR CORP               COM         892331307       8,266       125  SH      DEFINED     4                              125






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
TPC GROUP INC                   COM         89236Y104     226,044     9,689  SH      SOLE        1        9,689
TPC GROUP INC                   COM         89236Y104      26,830     1,150  SH      DEFINED     2                            1,150
TRACTOR SUPPLY CO               COM         892356106      35,075       500  SH      DEFINED     2                              500
TRACTOR SUPPLY CO               COM         892356106      65,590       935  SH      DEFINED     3                              935
TRACTOR SUPPLY COMPANY          COM         892356106  10,891,349   155,258  SH      SOLE        1      155,258
TRANS1 INC                      COM         89385X105       5,580     3,000  SH      DEFINED     2                            3,000
TRANSALTA CORP                  COM         89346D107      30,930     1,500  SH      DEFINED     2                            1,500
TRANSATLANTIC HLDGS INC         COM         893521104       5,485       100  SH      DEFINED     3                              100
TRANSATLANTIC HOLDINGS INC      COM         893521104   6,925,096   126,532  SH      SOLE        1      126,532
TRANSATLANTIC PETROLEUM LTD     COM         G89982105      84,233    64,300  SH      DEFINED     2                           64,300
TRANSCANADA CORP                COM         89353D107     135,595     3,105  SH      DEFINED     3                            3,105
TRANSCEND SERVICES INC          COM         893929208     152,489     6,426  SH      SOLE        1        6,426
TRANSCEPT PHARMACEUTICALS       COM         89354M106      29,519     3,770  SH      SOLE        1        3,770
TRANSCONTINENTAL RLTY INVS      COM         893617209         243       148  SH      DEFINED     2                              148
TRANSDIGM GROUP INC             COM         893641100      76,544       800  SH      SOLE        1          800
TRANSMONTAIGNE PARTNERS L P     COM         89376V100      16,800       500  SH      DEFINED     3                              500
TRANSMONTAIGNE PARTNERS L P     COM         89376V100      37,800     1,125  SH      DEFINED     4                            1,125
TRANSOCEAN LTD                  COM         H8817H100     209,878     5,467  SH      DEFINED     2                            5,467
TRANSOCEAN LTD                  COM         H8817H100      70,215     1,829  SH      DEFINED     3                            1,829
TRANSOCEAN LTD                  COM         H8817H100     197,478     5,144  SH      DEFINED     4                            5,144
TRAVELCENTERS OF AMERICA LLC    COM         894174101         285        67  SH      DEFINED     2                               67
TRAVELCENTERS OF AMERICA LLC    COM         894174101         170        40  SH      DEFINED     3                               40
TRAVELERS COMPANIES INC         COM         89417E109      62,336     1,054  SH      DEFINED     2                            1,054
TRAVELERS COMPANIES INC         COM         89417E109      16,804       284  SH      DEFINED     3                              284
TRAVELERS COMPANIES INC         COM         89417E109     528,388     8,930  SH      DEFINED     4                            8,930
TRAVELERS COS INC/THE           COM         89417E109  15,025,156   253,932  SH      SOLE        1      253,932
TRAVELZOO INC                   COM         89421Q106      99,303     4,040  SH      SOLE        1        4,040
TRC COS INC                     COM         872625108      77,805    12,946  SH      SOLE        1       12,946
TREDEGAR CORP                   COM         894650100     431,290    19,410  SH      SOLE        1       19,410
TREE COM INC                    COM         894675107          11         2  SH      DEFINED     4                                2
TREEHOUSE FOODS INC             COM         89469A104   1,893,536    28,962  SH      SOLE        1       28,962
TREEHOUSE FOODS INC             COM         89469A104       2,223        34  SH      DEFINED     2                               34
TREX COMPANY INC                COM         89531P105     260,441    11,368  SH      SOLE        1       11,368
TRI CONTL CORP                  COM         895436103      65,743     4,620  SH      DEFINED     3                            4,620
TRIANGLE CAP CORP               COM         895848109       4,015       210  SH      DEFINED     2                              210
TRIANGLE CAP CORP               COM         895848109       3,824       200  SH      DEFINED     3                              200
TRIANGLE CAP CORP               COM         895848109     327,736    17,141  SH      DEFINED     4                           17,141
TRIANGLE CAPITAL CORP           COM         895848109     308,960    16,159  SH      SOLE        1       16,159
TRIANGLE PETROLEUM CORP         COM         89600B201   4,765,045   798,165  SH      SOLE        1      798,165
TRICO BANCSHARES                COM         896095106     145,983    10,266  SH      SOLE        1       10,266
TRIMAS CORP                     COM         896215209     335,037    18,665  SH      SOLE        1       18,665
TRIMBLE NAVIGATION LTD          COM         896239100  11,701,899   269,629  SH      SOLE        1      269,629
TRINA SOLAR LIMITED             COM         89628E104       7,254     1,086  SH      DEFINED     4                            1,086
TRINITY INDS INC                COM         896522109      59,452     1,978  SH      DEFINED     2                            1,978
TRINITY INDS INC                COM         896522109       7,064       235  SH      DEFINED     3                              235
TRINITY INDS INC                COM         896522109      12,024       400  SH      DEFINED     4                              400
TRINITY INDUSTRIES INC          COM         896522109   5,304,117   176,451  SH      SOLE        1      176,451
TRIPADVISOR INC                 COM         896945201   1,131,072    44,866  SH      SOLE        1       44,866
TRIPADVISOR INC                 COM         896945201         529        21  SH      DEFINED     4                               21
TRIPLE S MANAGEMENT CORP B      COM         896749108     288,989    14,435  SH      SOLE        1       14,435
TRIQUINT SEMICONDUCTOR INC      COM         89674K103     652,449   133,973  SH      SOLE        1      133,973
TRIQUINT SEMICONDUCTOR INC      COM         89674K103         735       151  SH      DEFINED     2                              151
TRIQUINT SEMICONDUCTOR INC      COM         89674K103         141        29  SH      DEFINED     3                               29
TRIQUINT SEMICONDUCTOR INC      COM         89674K103      52,596    10,800  SH      DEFINED     4                           10,800
TRIUMPH GROUP INC               COM         896818101   7,082,387   121,170  SH      SOLE        1      121,170
TRIUS THERAPEUTICS INC          COM         89685K100      40,069     5,604  SH      SOLE        1        5,604
TRUE RELIGION APPAREL INC       COM         89784N104     725,627    20,984  SH      SOLE        1       20,984
TRUE RELIGION APPAREL INC       COM         89784N104       3,458       100  SH      DEFINED     3                              100
TRUEBLUE INC                    COM         89785X101   2,587,510   186,420  SH      SOLE        1      186,420
TRUEBLUE INC                    COM         89785X101         305        22  SH      DEFINED     3                               22
TRUSTCO BANK CORP NY            COM         898349105     425,283    75,808  SH      SOLE        1       75,808
TRUSTCO BK CORP N Y             COM         898349105      63,371    11,296  SH      DEFINED     4                           11,296
TRUSTMARK CORP                  COM         898402102   4,514,005   185,838  SH      SOLE        1      185,838
TRUSTMARK CORP                  COM         898402102      11,683       481  SH      DEFINED     2                              481
TRUSTMARK CORP                  COM         898402102     747,573    30,777  SH      DEFINED     4                           30,777
TRW AUTOMOTIVE HLDGS CORP       COM         87264S106     405,185    12,429  SH      DEFINED     3                           12,429
TRW AUTOMOTIVE HOLDINGS CO      COM         87264S106     105,983     3,251  SH      SOLE        1        3,251
TS&W CLAYMORE TAX ADVNTG BL     COM         87280R108      21,516     1,839  SH      DEFINED     4                            1,839
TTM TECHNOLOGIES                COM         87305R109     463,356    42,277  SH      SOLE        1       42,277
TUESDAY MORNING CORP            COM         899035505     120,978    35,066  SH      SOLE        1       35,066
TUESDAY MORNING CORP            COM         899035505         518       150  SH      DEFINED     3                              150
TUPPERWARE BRANDS CORP          COM         899896104   7,021,660   125,454  SH      SOLE        1      125,454
TURKCELL ILETISIM HIZMETLERI    COM         900111204       2,352       200  SH      DEFINED     3                              200
TUTOR PERINI CORP               COM         901109108     281,155    22,784  SH      SOLE        1       22,784
TW TELECOM INC                  COM         87311L104   6,336,155   326,943  SH      SOLE        1      326,943
TWIN DISC INC                   COM         901476101     224,421     6,179  SH      SOLE        1        6,179
TWO HARBORS INVESTMENT COR      COM         90187B101     948,735   102,677  SH      SOLE        1      102,677
TWO HBRS INVT CORP              COM         90187B101       1,848       200  SH      DEFINED     2                              200
TWO HBRS INVT CORP              COM         90187B101     460,060    49,790  SH      DEFINED     4                           49,790
TYCO INTERNATIONAL LTD          COM         H89128104   6,475,734   138,637  SH      SOLE        1      138,637
TYCO INTERNATIONAL LTD          COM         H89128104      20,132       431  SH      DEFINED     2                              431
TYCO INTERNATIONAL LTD          COM         H89128104      31,685       678  SH      DEFINED     3                              678
TYCO INTERNATIONAL LTD          COM         H89128104      36,387       779  SH      DEFINED     4                              779
TYLER TECHNOLOGIES INC          COM         902252105     715,383    23,759  SH      SOLE        1       23,759
TYSON FOODS INC CL A            COM         902494103   2,007,116    97,244  SH      SOLE        1       97,244
U S ENERGY CORP   WYOMING       COM         911805109      51,847    17,817  SH      SOLE        1       17,817
U S G CORP                      COM         903293405      67,351     6,629  SH      DEFINED     2                            6,629
U S G CORP                      COM         903293405       2,357       232  SH      DEFINED     3                              232
U S G CORP                      COM         903293405      17,658     1,738  SH      DEFINED     4                            1,738
U S GEOTHERMAL INC              COM         90338S102       1,800     5,000  SH      DEFINED     3                            5,000
U S GOLD CORP                   COM         912023207   5,425,419 1,614,708  SH      SOLE        1    1,614,708
U.S. GLOBAL INVESTORS INC       COM         902952100   2,719,379   450,975  SH      SOLE        1      450,975
U.S. PHYSICAL THERAPY INC       COM         90337L108     169,642     8,620  SH      SOLE        1        8,620
UBIQUITI NETWORKS INC           COM         90347A100     116,344     6,382  SH      SOLE        1        6,382
UBIQUITI NETWORKS INC           COM         90347A100      32,686     1,793  SH      DEFINED     2                            1,793
UBS AG                          COM         H89231338         248        21  SH      DEFINED     4                               21
UBS AG JERSEY BRANCH            COM         902664200      20,350       500  SH      DEFINED     3                              500
UBS AG JERSEY BRH               COM         902641786       4,223       262  SH      DEFINED     2                              262
UBS AG JERSEY BRH               COM         902641646       9,930       300  SH      DEFINED     3                              300
UBS AG JERSEY BRH               COM         902641737      13,365       500  SH      DEFINED     4                              500
UDR INC                         COM         902653104  12,100,308   482,084  SH      SOLE        1      482,084
UDR INC                         COM         902653104         828        33  SH      DEFINED     2                               33
UGI CORP                        COM         902681105   7,472,451   254,165  SH      SOLE        1      254,165
UGI CORP NEW                    COM         902681105      23,520       800  SH      DEFINED     2                              800
UGI CORP NEW                    COM         902681105      48,422     1,647  SH      DEFINED     3                            1,647
UGI CORP NEW                    COM         902681105       4,263       145  SH      DEFINED     4                              145
UIL HLDG CORP                   COM         902748102       5,871       166  SH      DEFINED     3                              166
UIL HLDG CORP                   COM         902748102       3,537       100  SH      DEFINED     4                              100
UIL HOLDINGS CORP               COM         902748102   1,455,900    41,162  SH      SOLE        1       41,162
ULTA SALON COSMETCS & FRAG I    COM         90384S303      21,424       330  SH      DEFINED     3                              330
ULTA SALON COSMETICS + FRA      COM         90384S303      48,950       754  SH      SOLE        1          754
ULTIMATE SOFTWARE GROUP IN      COM         90385D107   1,228,945    18,872  SH      SOLE        1       18,872
ULTRA CLEAN HOLDINGS            COM         90385V107     101,536    16,618  SH      SOLE        1       16,618
ULTRA PETROLEUM CORP            COM         903914109      74,549     2,516  SH      SOLE        1        2,516
ULTRA PETROLEUM CORP            COM         903914109      32,593     1,100  SH      DEFINED     2                            1,100






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
ULTRA PETROLEUM CORP            COM         903914109     194,077     6,550  SH      DEFINED     3                            6,550
ULTRA PETROLEUM CORP            COM         903914109       2,963       100  SH      DEFINED     4                              100
ULTRAPETROL (BAHAMAS) LTD       COM         P94398107      46,470    15,594  SH      SOLE        1       15,594
ULTRATECH INC                   COM         904034105     504,594    20,537  SH      SOLE        1       20,537
UMB FINANCIAL CORP              COM         902788108     972,449    26,106  SH      SOLE        1       26,106
UMH PROPERTIES INC              COM         903002103      82,291     8,839  SH      SOLE        1        8,839
UMPQUA HLDGS CORP               COM         904214103       9,144       738  SH      DEFINED     2                              738
UMPQUA HLDGS CORP               COM         904214103      49,560     4,000  SH      DEFINED     3                            4,000
UMPQUA HOLDINGS CORP            COM         904214103   1,157,263    93,403  SH      SOLE        1       93,403
UNDER ARMOUR INC                COM         904311107     214,293     2,985  SH      DEFINED     3                            2,985
UNDER ARMOUR INC CLASS A        COM         904311107   5,765,311    80,308  SH      SOLE        1       80,308
UNIFI INC                       COM         904677200      77,322    10,174  SH      SOLE        1       10,174
UNIFIRST CORP/MA                COM         904708104     660,227    11,636  SH      SOLE        1       11,636
UNILEVER N V                    COM         904784709     115,377     3,357  SH      DEFINED     2                            3,357
UNILEVER N V                    COM         904784709      64,512     1,877  SH      DEFINED     3                            1,877
UNILEVER N V                    COM         904784709      44,131     1,284  SH      DEFINED     4                            1,284
UNILEVER PLC                    COM         904767704      35,641     1,063  SH      DEFINED     2                            1,063
UNILEVER PLC                    COM         904767704     890,626    26,570  SH      DEFINED     3                           26,570
UNILEVER PLC                    COM         904767704       5,028       150  SH      DEFINED     4                              150
UNILIFE CORP                    COM         90478E103     147,092    47,145  SH      SOLE        1       47,145
UNION DRILLING INC              COM         90653P105      69,008    11,059  SH      SOLE        1       11,059
UNION FIRST MARKET BANKSHA      COM         90662P104     196,599    14,793  SH      SOLE        1       14,793
UNION FIRST MKT BANKSH CP       COM         90662P104       1,728       130  SH      DEFINED     2                              130
UNION PAC CORP                  COM         907818108     317,707     2,999  SH      DEFINED     2                            2,999
UNION PAC CORP                  COM         907818108     261,969     2,473  SH      DEFINED     3                            2,473
UNION PAC CORP                  COM         907818108     354,915     3,350  SH      DEFINED     4                            3,350
UNION PACIFIC CORP              COM         907818108  24,785,193   233,955  SH      SOLE        1      233,955
UNISOURCE ENERGY CORP           COM         909205106      16,762       454  SH      DEFINED     2                              454
UNISOURCE ENERGY CORP           COM         909205106      38,505     1,043  SH      DEFINED     3                            1,043
UNISOURCE ENERGY CORP CO        COM         909205106   1,104,757    29,923  SH      SOLE        1       29,923
UNISYS CORP                     COM         909214306     619,505    31,431  SH      SOLE        1       31,431
UNISYS CORP                     COM         909214306       2,365       120  SH      DEFINED     2                              120
UNISYS CORP                     COM         909214306         118         6  SH      DEFINED     4                                6
UNIT CORP                       COM         909218109   4,233,443    91,238  SH      SOLE        1       91,238
UNITED BANKSHARES INC           COM         909907107   1,144,228    40,475  SH      SOLE        1       40,475
UNITED BANKSHARES INC WEST V    COM         909907107      11,308       400  SH      DEFINED     3                              400
UNITED CMNTY FINL CORP OHIO     COM         909839102       7,148     5,628  SH      DEFINED     3                            5,628
UNITED COMMUNITY BANKS/GA       COM         90984P303     223,421    31,963  SH      SOLE        1       31,963
UNITED CONTINENTAL HOLDING      COM         910047109     116,843     6,192  SH      SOLE        1        6,192
UNITED CONTL HLDGS INC          COM         910047109      43,401     2,300  SH      DEFINED     3                            2,300
UNITED FINANCIAL BANCORP I      COM         91030T109     189,251    11,762  SH      SOLE        1       11,762
UNITED FIRE + CASUALTY CO       COM         910331107     352,565    17,471  SH      SOLE        1       17,471
UNITED NATURAL FOODS INC        COM         911163103   1,578,074    39,442  SH      SOLE        1       39,442
UNITED ONLINE INC               COM         911268100     393,132    72,267  SH      SOLE        1       72,267
UNITED ONLINE INC               COM         911268100       1,768       325  SH      DEFINED     3                              325
UNITED ONLINE INC               COM         911268100     539,621    99,195  SH      DEFINED     4                           99,195
UNITED PARCEL SERVICE CL B      COM         911312106  44,577,248   609,062  SH      SOLE        1      609,062
UNITED PARCEL SERVICE INC       COM         911312106     154,852     2,116  SH      DEFINED     2                            2,116
UNITED PARCEL SERVICE INC       COM         911312106   3,196,134    43,669  SH      DEFINED     3                           43,669
UNITED PARCEL SERVICE INC       COM         911312106   1,449,382    19,803  SH      DEFINED     4                           19,803
UNITED RENTALS INC              COM         911363109   9,900,757   335,051  SH      SOLE        1      335,051
UNITED RENTALS INC              COM         911363109       8,126       275  SH      DEFINED     2                              275
UNITED RENTALS INC              COM         911363109      72,723     2,461  SH      DEFINED     4                            2,461
UNITED STATES LIME + MINER      COM         911922102     114,089     1,898  SH      SOLE        1        1,898
UNITED STATES NATL GAS FUND     COM         912318110      22,222     3,440  SH      DEFINED     2                            3,440
UNITED STATES NATL GAS FUND     COM         912318110      21,712     3,361  SH      DEFINED     3                            3,361
UNITED STATES NATL GAS FUND     COM         912318110       7,752     1,200  SH      DEFINED     4                            1,200
UNITED STATES OIL FUND LP       COM         91232N108      51,982     1,364  SH      DEFINED     2                            1,364
UNITED STATES OIL FUND LP       COM         91232N108      57,813     1,517  SH      DEFINED     3                            1,517
UNITED STATES STEEL CORP        COM         912909108   1,265,317    47,820  SH      SOLE        1       47,820
UNITED STATES STL CORP NEW      COM         912909108       5,292       200  SH      DEFINED     2                              200
UNITED STATES STL CORP NEW      COM         912909108     285,789    10,801  SH      DEFINED     3                           10,801
UNITED STATES STL CORP NEW      COM         912909108       2,646       100  SH      DEFINED     4                              100
UNITED STATIONERS INC           COM         913004107   1,132,014    34,767  SH      SOLE        1       34,767
UNITED STS BRENT OIL FD LP      COM         91167Q100      21,272       285  SH      DEFINED     4                              285
UNITED STS COMMODITY INDEX F    COM         911717106      12,783       219  SH      DEFINED     2                              219
UNITED STS COMMODITY INDEX F    COM         911717106      29,185       500  SH      DEFINED     3                              500
UNITED STS COMMODITY INDEX F    COM         911717106      66,133     1,133  SH      DEFINED     4                            1,133
UNITED STS GASOLINE FD LP       COM         91201T102      47,112       975  SH      DEFINED     2                              975
UNITED STS GASOLINE FD LP       COM         91201T102      21,019       435  SH      DEFINED     4                              435
UNITED STS HEATING OIL FD LP    COM         91204P107       8,218       250  SH      DEFINED     4                              250
UNITED TECHNOLOGIES CORP        COM         913017109  31,176,101   426,544  SH      SOLE        1      426,544
UNITED TECHNOLOGIES CORP        COM         913017109     576,219     7,884  SH      DEFINED     2                            7,884
UNITED TECHNOLOGIES CORP        COM         913017109     941,071    12,876  SH      DEFINED     3                           12,876
UNITED TECHNOLOGIES CORP        COM         913017109     155,912     2,133  SH      DEFINED     4                            2,133
UNITED THERAPEUTICS CORP        COM         91307C102   5,365,805   113,562  SH      SOLE        1      113,562
UNITED THERAPEUTICS CORP DEL    COM         91307C102      13,514       286  SH      DEFINED     3                              286
UNITEDHEALTH GROUP INC          COM         91324P102  36,504,094   720,286  SH      SOLE        1      720,286
UNITEDHEALTH GROUP INC          COM         91324P102     251,677     4,966  SH      DEFINED     2                            4,966
UNITEDHEALTH GROUP INC          COM         91324P102     149,580     2,951  SH      DEFINED     3                            2,951
UNITEDHEALTH GROUP INC          COM         91324P102      61,627     1,216  SH      DEFINED     4                            1,216
UNITEK GLOBAL SERVICES INC      COM         91324T302      36,331     8,020  SH      SOLE        1        8,020
UNITIL CORP                     COM         913259107     226,472     7,980  SH      SOLE        1        7,980
UNIVERSAL AMERICAN CORP         COM         91338E101     299,676    23,578  SH      SOLE        1       23,578
UNIVERSAL CORP VA               COM         913456109       1,563        34  SH      DEFINED     3                               34
UNIVERSAL CORP VA               COM         913456109      18,384       400  SH      DEFINED     4                              400
UNIVERSAL CORP/VA               COM         913456109   3,093,843    67,316  SH      SOLE        1       67,316
UNIVERSAL DISPLAY CORP          COM         91347P105   1,030,806    28,095  SH      SOLE        1       28,095
UNIVERSAL DISPLAY CORP          COM         91347P105      14,676       400  SH      DEFINED     3                              400
UNIVERSAL DISPLAY CORP          COM         91347P105         367        10  SH      DEFINED     4                               10
UNIVERSAL ELECTRONICS INC       COM         913483103     206,101    12,217  SH      SOLE        1       12,217
UNIVERSAL FOREST PRODUCTS       COM         913543104     491,203    15,912  SH      SOLE        1       15,912
UNIVERSAL HEALTH RLTY INCM T    COM         91359E105      28,392       728  SH      DEFINED     3                              728
UNIVERSAL HEALTH RLTY INCM T    COM         91359E105      45,638     1,170  SH      DEFINED     4                            1,170
UNIVERSAL HEALTH RLTY INCO      COM         91359E105     379,821     9,739  SH      SOLE        1        9,739
UNIVERSAL HEALTH SERVICES       COM         913903100  11,623,998   299,125  SH      SOLE        1      299,125
UNIVERSAL HLTH SVCS INC         COM         913903100      31,088       800  SH      DEFINED     3                              800
UNIVERSAL INS HLDGS INC         COM         91359V107      77,967    21,778  SH      DEFINED     4                           21,778
UNIVERSAL INSURANCE HOLDIN      COM         91359V107      49,021    13,693  SH      SOLE        1       13,693
UNIVERSAL STAINLESS + ALLO      COM         913837100     193,861     5,189  SH      SOLE        1        5,189
UNIVERSAL TECHNICAL INSTIT      COM         913915104     222,385    17,401  SH      SOLE        1       17,401
UNIVERSAL TRAVEL GROUP          COM         91388Q202           0     1,000  SH      DEFINED     2                            1,000
UNIVERSAL TRUCKLOAD SERVIC      COM         91388P105      72,691     4,005  SH      SOLE        1        4,005
UNIVEST CORP OF PENNSYLVAN      COM         915271100     179,340    12,250  SH      SOLE        1       12,250
UNUM GROUP                      COM         91529Y106   2,045,370    97,075  SH      SOLE        1       97,075
UNUM GROUP                      COM         91529Y106       3,182       151  SH      DEFINED     3                              151
UR ENERGY INC                   COM         91688R108      64,929    75,587  SH      SOLE        1       75,587
UR ENERGY INC                   COM         91688R108       2,577     3,000  SH      DEFINED     2                            3,000
URANERZ ENERGY CORP             COM         91688T104      85,820    47,154  SH      SOLE        1       47,154
URANERZ ENERGY CORP             COM         91688T104       4,301     2,363  SH      DEFINED     3                            2,363
URANIUM ENERGY CORP             COM         916896103     168,193    54,965  SH      SOLE        1       54,965
URANIUM RES INC                 COM         916901507      10,527    14,500  SH      DEFINED     2                           14,500
URANIUM RES INC                 COM         916901507       5,082     7,000  SH      DEFINED     3                            7,000
URANIUM RESOURCES INC           COM         916901507      49,523    68,214  SH      SOLE        1       68,214
URBAN OUTFITTERS INC            COM         917047102     960,824    34,863  SH      SOLE        1       34,863






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
URBAN OUTFITTERS INC            COM         917047102         469        17  SH      DEFINED     2                               17
URBAN OUTFITTERS INC            COM         917047102       8,268       300  SH      DEFINED     3                              300
UROPLASTY INC                   COM         917277204      64,145    15,093  SH      SOLE        1       15,093
URS CORP                        COM         903236107   6,688,428   190,445  SH      SOLE        1      190,445
URS CORP NEW                    COM         903236107      20,861       594  SH      DEFINED     3                              594
URS CORP NEW                    COM         903236107       4,566       130  SH      DEFINED     4                              130
URSTADT BIDDLE   CLASS A        COM         917286205     339,452    18,775  SH      SOLE        1       18,775
US AIRWAYS GROUP INC            COM         90341W108     599,887   118,321  SH      SOLE        1      118,321
US AUTO PARTS NETWORK INC       COM         90343C100      47,183    10,797  SH      SOLE        1       10,797
US BANCORP                      COM         902973304  20,809,051   769,281  SH      SOLE        1      769,281
US BANCORP DEL                  COM         902973304     125,877     4,653  SH      DEFINED     2                            4,653
US BANCORP DEL                  COM         902973304      83,314     3,080  SH      DEFINED     3                            3,080
US BANCORP DEL                  COM         902973304     128,839     4,763  SH      DEFINED     4                            4,763
US CELLULAR CORP                COM         911684108      20,201       463  SH      SOLE        1          463
US ECOLOGY INC                  COM         91732J102     251,164    13,374  SH      SOLE        1       13,374
US ECOLOGY INC                  COM         91732J102     135,836     7,233  SH      DEFINED     4                            7,233
US GOLD CORPORATION             COM         912023207       3,360     1,000  SH      DEFINED     2                            1,000
US GOLD CORPORATION             COM         912023207      36,960    11,000  SH      DEFINED     3                           11,000
US GOLD CORPORATION             COM         912023207         168        50  SH      DEFINED     4                               50
USA MOBILITY INC                COM         90341G103     249,771    18,008  SH      SOLE        1       18,008
USANA HEALTH SCIENCES INC       COM         90328M107     143,346     4,720  SH      SOLE        1        4,720
USEC INC                        COM         90333E108      96,634    84,767  SH      SOLE        1       84,767
USEC INC                        COM         90333E108       1,254     1,100  SH      DEFINED     2                            1,100
USEC INC                        COM         90333E108      36,355    31,890  SH      DEFINED     3                           31,890
USG CORP                        COM         903293405     529,915    52,157  SH      SOLE        1       52,157
UTI WORLDWIDE INC               COM         G87210103   2,989,705   224,959  SH      SOLE        1      224,959
UTSTARCOM HOLDINGS CORP         COM         G9310A106         149       108  SH      DEFINED     3                              108
UTSTARCOM HOLDINGS CORP         COM         G9310A106      13,800    10,000  SH      DEFINED     4                           10,000
V F CORP                        COM         918204108     348,310     2,743  SH      DEFINED     2                            2,743
V F CORP                        COM         918204108      80,004       630  SH      DEFINED     3                              630
V F CORP                        COM         918204108      17,525       138  SH      DEFINED     4                              138
VAALCO ENERGY INC               COM         91851C201     225,624    37,355  SH      SOLE        1       37,355
VAIL RESORTS INC                COM         91879Q109   1,114,026    26,299  SH      SOLE        1       26,299
VALASSIS COMMUNICATIONS IN      COM         918866104   2,495,823   129,788  SH      SOLE        1      129,788
VALE S A                        COM         91912E105     135,501     6,317  SH      DEFINED     2                            6,317
VALE S A                        COM         91912E105       4,333       202  SH      DEFINED     3                              202
VALE S A                        COM         91912E204       6,654       323  SH      DEFINED     3                              323
VALE S A                        COM         91912E105      28,958     1,350  SH      DEFINED     4                            1,350
VALEANT PHARMACEUTICALS INTL    COM         91911K102      31,562       676  SH      DEFINED     2                              676
VALEANT PHARMACEUTICALS INTL    COM         91911K102          47         1  SH      DEFINED     3                                1
VALENCE TECHNOLOGY INC          COM         918914102      51,693    52,748  SH      SOLE        1       52,748
VALERO ENERGY CORP              COM         91913Y100   3,920,099   186,228  SH      SOLE        1      186,228
VALERO ENERGY CORP NEW          COM         91913Y100      19,787       940  SH      DEFINED     2                              940
VALERO ENERGY CORP NEW          COM         91913Y100     220,673    10,483  SH      DEFINED     3                           10,483
VALERO ENERGY CORP NEW          COM         91913Y100       5,263       250  SH      DEFINED     4                              250
VALIDUS HOLDINGS LTD            COM         G9319H102      72,482     2,301  SH      SOLE        1        2,301
VALLEY NATIONAL BANCORP         COM         919794107   4,636,561   374,823  SH      SOLE        1      374,823
VALLEY NATL BANCORP             COM         919794107     133,959    10,829  SH      DEFINED     4                           10,829
VALMONT INDUSTRIES              COM         920253101   4,464,871    49,178  SH      SOLE        1       49,178
VALSPAR CORP                    COM         920355104   8,015,233   205,677  SH      SOLE        1      205,677
VALSPAR CORP                    COM         920355104       2,611        67  SH      DEFINED     2                               67
VALUE LINE INC                  COM         920437100      10,105       983  SH      SOLE        1          983
VALUECLICK INC                  COM         92046N102   3,855,322   236,668  SH      SOLE        1      236,668
VALUEVISION MEDIA INC A         COM         92047K107      56,186    29,886  SH      SOLE        1       29,886
VANDA PHARMACEUTICALS INC       COM         921659108      97,704    20,526  SH      SOLE        1       20,526
VANGUARD ADMIRAL FDS INC        COM         921932885       8,763       150  SH      DEFINED     2                              150
VANGUARD ADMIRAL FDS INC        COM         921932885       4,206        72  SH      DEFINED     4                               72
VANGUARD BD INDEX FD INC        COM         921937793      18,402       200  SH      DEFINED     2                              200
VANGUARD BD INDEX FD INC        COM         921937819      14,861       171  SH      DEFINED     2                              171
VANGUARD BD INDEX FD INC        COM         921937827     871,848    10,785  SH      DEFINED     2                           10,785
VANGUARD BD INDEX FD INC        COM         921937835   6,731,653    80,580  SH      DEFINED     2                           80,580
VANGUARD BD INDEX FD INC        COM         921937793      89,894       977  SH      DEFINED     3                              977
VANGUARD BD INDEX FD INC        COM         921937819     515,474     5,927  SH      DEFINED     3                            5,927
VANGUARD BD INDEX FD INC        COM         921937827   1,145,467    14,170  SH      DEFINED     3                           14,170
VANGUARD BD INDEX FD INC        COM         921937835     804,855     9,634  SH      DEFINED     3                            9,634
VANGUARD BD INDEX FD INC        COM         921937819      24,786       285  SH      DEFINED     4                              285
VANGUARD BD INDEX FD INC        COM         921937835     749,455     8,971  SH      DEFINED     4                            8,971
VANGUARD HEALTH SYSTEMS IN      COM         922036207     227,783    22,288  SH      SOLE        1       22,288
VANGUARD INDEX FDS              COM         922908512      45,404       879  SH      DEFINED     2                              879
VANGUARD INDEX FDS              COM         922908538      48,423       813  SH      DEFINED     2                              813
VANGUARD INDEX FDS              COM         922908553     132,646     2,287  SH      DEFINED     2                            2,287
VANGUARD INDEX FDS              COM         922908595     145,720     1,908  SH      DEFINED     2                            1,908
VANGUARD INDEX FDS              COM         922908611      42,509       678  SH      DEFINED     2                              678
VANGUARD INDEX FDS              COM         922908629      49,423       687  SH      DEFINED     2                              687
VANGUARD INDEX FDS              COM         922908637     375,888     6,560  SH      DEFINED     2                            6,560
VANGUARD INDEX FDS              COM         922908736     165,559     2,681  SH      DEFINED     2                            2,681
VANGUARD INDEX FDS              COM         922908744     180,933     3,447  SH      DEFINED     2                            3,447
VANGUARD INDEX FDS              COM         922908751     230,540     3,309  SH      DEFINED     2                            3,309
VANGUARD INDEX FDS              COM         922908769   2,358,717    36,683  SH      DEFINED     2                           36,683
VANGUARD INDEX FDS              COM         922908413     565,193     9,838  SH      DEFINED     3                            9,838
VANGUARD INDEX FDS              COM         922908512       4,617        89  SH      DEFINED     3                               89
VANGUARD INDEX FDS              COM         922908538       3,398        57  SH      DEFINED     3                               57
VANGUARD INDEX FDS              COM         922908553   1,144,946    19,740  SH      DEFINED     3                           19,740
VANGUARD INDEX FDS              COM         922908595      75,367       987  SH      DEFINED     3                              987
VANGUARD INDEX FDS              COM         922908611     317,309     5,063  SH      DEFINED     3                            5,063
VANGUARD INDEX FDS              COM         922908629     334,331     4,647  SH      DEFINED     3                            4,647
VANGUARD INDEX FDS              COM         922908637       2,235        39  SH      DEFINED     3                               39
VANGUARD INDEX FDS              COM         922908652      20,477       395  SH      DEFINED     3                              395
VANGUARD INDEX FDS              COM         922908736     661,079    10,704  SH      DEFINED     3                           10,704
VANGUARD INDEX FDS              COM         922908744     388,321     7,398  SH      DEFINED     3                            7,398
VANGUARD INDEX FDS              COM         922908751     732,739    10,517  SH      DEFINED     3                           10,517
VANGUARD INDEX FDS              COM         922908769     664,730    10,338  SH      DEFINED     3                           10,338
VANGUARD INDEX FDS              COM         922908413      11,720       204  SH      DEFINED     4                              204
VANGUARD INDEX FDS              COM         922908512     347,739     6,730  SH      DEFINED     4                            6,730
VANGUARD INDEX FDS              COM         922908538     602,902    10,126  SH      DEFINED     4                           10,126
VANGUARD INDEX FDS              COM         922908553      79,659     1,373  SH      DEFINED     4                            1,373
VANGUARD INDEX FDS              COM         922908595       1,680        22  SH      DEFINED     4                               22
VANGUARD INDEX FDS              COM         922908611      35,221       562  SH      DEFINED     4                              562
VANGUARD INDEX FDS              COM         922908629      66,113       919  SH      DEFINED     4                              919
VANGUARD INDEX FDS              COM         922908652      99,688     1,923  SH      DEFINED     4                            1,923
VANGUARD INDEX FDS              COM         922908736     149,892     2,427  SH      DEFINED     4                            2,427
VANGUARD INDEX FDS              COM         922908744     695,650    13,253  SH      DEFINED     4                           13,253
VANGUARD INDEX FDS              COM         922908751     279,795     4,016  SH      DEFINED     4                            4,016
VANGUARD INDEX FDS              COM         922908769     602,877     9,376  SH      DEFINED     4                            9,376
VANGUARD INTL EQUITY INDEX F    COM         922042718         233         3  SH      DEFINED     2                                3
VANGUARD INTL EQUITY INDEX F    COM         922042742      80,703     1,869  SH      DEFINED     2                            1,869
VANGUARD INTL EQUITY INDEX F    COM         922042775     113,439     2,861  SH      DEFINED     2                            2,861
VANGUARD INTL EQUITY INDEX F    COM         922042858     229,834     6,015  SH      DEFINED     2                            6,015
VANGUARD INTL EQUITY INDEX F    COM         922042866      65,389     1,374  SH      DEFINED     2                            1,374
VANGUARD INTL EQUITY INDEX F    COM         922042874      31,943       771  SH      DEFINED     2                              771
VANGUARD INTL EQUITY INDEX F    COM         922042718      38,164       492  SH      DEFINED     3                              492
VANGUARD INTL EQUITY INDEX F    COM         922042775     560,077    14,126  SH      DEFINED     3                           14,126
VANGUARD INTL EQUITY INDEX F    COM         922042858   1,102,509    28,854  SH      DEFINED     3                           28,854
VANGUARD INTL EQUITY INDEX F    COM         922042866     261,697     5,499  SH      DEFINED     3                            5,499
VANGUARD INTL EQUITY INDEX F    COM         922042874     245,626     5,929  SH      DEFINED     3                            5,929






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
VANGUARD INTL EQUITY INDEX F    COM         922042718      45,999       593  SH      DEFINED     4                              593
VANGUARD INTL EQUITY INDEX F    COM         922042775     134,176     3,384  SH      DEFINED     4                            3,384
VANGUARD INTL EQUITY INDEX F    COM         922042858     358,033     9,370  SH      DEFINED     4                            9,370
VANGUARD NATURAL RESOURCES L    COM         92205F106      37,357     1,352  SH      DEFINED     3                            1,352
VANGUARD NATURAL RESOURCES L    COM         92205F106     132,305     4,788  SH      DEFINED     4                            4,788
VANGUARD SCOTTSDALE FDS         COM         92206C409   1,053,290    13,528  SH      DEFINED     2                           13,528
VANGUARD SCOTTSDALE FDS         COM         92206C870      95,055     1,154  SH      DEFINED     2                            1,154
VANGUARD SCOTTSDALE FDS         COM         92206C409     145,462     1,868  SH      DEFINED     3                            1,868
VANGUARD SCOTTSDALE FDS         COM         92206C706      20,355       310  SH      DEFINED     3                              310
VANGUARD SCOTTSDALE FDS         COM         92206C771      50,012       964  SH      DEFINED     3                              964
VANGUARD SCOTTSDALE FDS         COM         92206C409     327,036     4,200  SH      DEFINED     4                            4,200
VANGUARD SCOTTSDALE FDS         COM         92206C870      79,075       960  SH      DEFINED     4                              960
VANGUARD SPECIALIZED PORTFOL    COM         921908844   1,990,098    36,415  SH      DEFINED     2                           36,415
VANGUARD SPECIALIZED PORTFOL    COM         921908844   2,557,620    46,800  SH      DEFINED     3                           46,800
VANGUARD SPECIALIZED PORTFOL    COM         921908844   1,311,275    23,994  SH      DEFINED     4                           23,994
VANGUARD STAR FD                COM         921909768     123,314     3,015  SH      DEFINED     2                            3,015
VANGUARD TAX MANAGED INTL FD    COM         921943858     341,586    11,152  SH      DEFINED     2                           11,152
VANGUARD TAX MANAGED INTL FD    COM         921943858      21,969       717  SH      DEFINED     3                              717
VANGUARD TAX MANAGED INTL FD    COM         921943858      25,341       827  SH      DEFINED     4                              827
VANGUARD WHITEHALL FDS INC      COM         921946406      18,195       402  SH      DEFINED     3                              402
VANGUARD WHITEHALL FDS INC      COM         921946406      43,359       958  SH      DEFINED     4                              958
VANGUARD WORLD FD               COM         921910873       8,776       204  SH      DEFINED     2                              204
VANGUARD WORLD FD               COM         921910709       2,439        20  SH      DEFINED     3                               20
VANGUARD WORLD FD               COM         921910873     175,421     4,079  SH      DEFINED     3                            4,079
VANGUARD WORLD FDS              COM         92204A207     727,341     8,928  SH      DEFINED     2                            8,928
VANGUARD WORLD FDS              COM         92204A306      81,152       805  SH      DEFINED     2                              805
VANGUARD WORLD FDS              COM         92204A405      37,287     1,350  SH      DEFINED     2                            1,350
VANGUARD WORLD FDS              COM         92204A504     704,037    11,502  SH      DEFINED     2                           11,502
VANGUARD WORLD FDS              COM         92204A603      14,299       230  SH      DEFINED     2                              230
VANGUARD WORLD FDS              COM         92204A702      43,880       715  SH      DEFINED     2                              715
VANGUARD WORLD FDS              COM         92204A801     126,881     1,735  SH      DEFINED     2                            1,735
VANGUARD WORLD FDS              COM         92204A876      19,663       256  SH      DEFINED     2                              256
VANGUARD WORLD FDS              COM         92204A884       3,730        60  SH      DEFINED     2                               60
VANGUARD WORLD FDS              COM         92204A207      26,315       323  SH      DEFINED     3                              323
VANGUARD WORLD FDS              COM         92204A306      98,592       978  SH      DEFINED     3                              978
VANGUARD WORLD FDS              COM         92204A504      24,974       408  SH      DEFINED     3                              408
VANGUARD WORLD FDS              COM         92204A801      30,568       418  SH      DEFINED     3                              418
VANGUARD WORLD FDS              COM         92204A876       2,922        38  SH      DEFINED     3                               38
VANGUARD WORLD FDS              COM         92204A884       4,663        75  SH      DEFINED     3                               75
VANGUARD WORLD FDS              COM         92204A207     484,013     5,941  SH      DEFINED     4                            5,941
VANGUARD WORLD FDS              COM         92204A306      10,081       100  SH      DEFINED     4                              100
VANGUARD WORLD FDS              COM         92204A504       6,121       100  SH      DEFINED     4                              100
VANGUARD WORLD FDS              COM         92204A603       9,748       157  SH      DEFINED     4                              157
VANGUARD WORLD FDS              COM         92204A702   1,348,207    21,969  SH      DEFINED     4                           21,969
VANGUARD WORLD FDS              COM         92204A801      43,878       600  SH      DEFINED     4                              600
VANTAGE DRILLING CO             COM         G93205113     147,984   127,572  SH      SOLE        1      127,572
VARIAN MED SYS INC              COM         92220P105      83,241     1,240  SH      DEFINED     3                            1,240
VARIAN MED SYS INC              COM         92220P105      80,556     1,200  SH      DEFINED     4                            1,200
VARIAN MEDICAL SYSTEMS INC      COM         92220P105   2,370,159    35,307  SH      SOLE        1       35,307
VASCO DATA SEC INTL INC         COM         92230Y104       3,586       550  SH      DEFINED     3                              550
VASCO DATA SEC INTL INC         COM         92230Y104      13,692     2,100  SH      DEFINED     4                            2,100
VASCO DATA SECURITY INTL        COM         92230Y104     128,698    19,739  SH      SOLE        1       19,739
VASCULAR SOLUTIONS INC          COM         92231M109     137,767    12,378  SH      SOLE        1       12,378
VCA ANTECH INC                  COM         918194101   3,771,440   190,959  SH      SOLE        1      190,959
VCA ANTECH INC                  COM         918194101       1,975       100  SH      DEFINED     2                              100
VECTOR GROUP LTD                COM         92240M108     624,104    35,141  SH      SOLE        1       35,141
VECTOR GROUP LTD                COM         92240M108       3,676       207  SH      DEFINED     2                              207
VECTOR GROUP LTD                COM         92240M108      60,544     3,409  SH      DEFINED     3                            3,409
VECTOR GROUP LTD                COM         92240M108     131,939     7,429  SH      DEFINED     4                            7,429
VECTREN CORP                    COM         92240G101       9,069       300  SH      DEFINED     3                              300
VECTREN CORPORATION             COM         92240G101   5,447,718   180,209  SH      SOLE        1      180,209
VEECO INSTRS INC DEL            COM         922417100      19,240       925  SH      DEFINED     3                              925
VEECO INSTRS INC DEL            COM         922417100       5,200       250  SH      DEFINED     4                              250
VEECO INSTRUMENTS INC           COM         922417100     686,878    33,023  SH      SOLE        1       33,023
VENOCO INC                      COM         92275P307     146,185    21,593  SH      SOLE        1       21,593
VENOCO INC                      COM         92275P307       3,724       550  SH      DEFINED     3                              550
VENTAS INC                      COM         92276F100   5,539,132   100,474  SH      SOLE        1      100,474
VENTAS INC                      COM         92276F100      20,178       366  SH      DEFINED     2                              366
VENTAS INC                      COM         92276F100      45,482       825  SH      DEFINED     3                              825
VEOLIA ENVIRONNEMENT            COM         92334N103       7,735       700  SH      DEFINED     2                              700
VEOLIA ENVIRONNEMENT            COM         92334N103     621,198    56,217  SH      DEFINED     3                           56,217
VEOLIA ENVIRONNEMENT            COM         92334N103       3,315       300  SH      DEFINED     4                              300
VERA BRADLEY INC                COM         92335C106     466,561    14,467  SH      SOLE        1       14,467
VERENIUM CORP                   COM         92340P209         109        50  SH      DEFINED     3                               50
VERIFONE SYSTEMS INC            COM         92342Y109  12,352,080   347,750  SH      SOLE        1      347,750
VERINT SYSTEMS INC              COM         92343X100     425,989    15,468  SH      SOLE        1       15,468
VERISIGN INC                    COM         92343E102   2,092,299    58,575  SH      SOLE        1       58,575
VERISK ANALYTICS INC            COM         92345Y106      56,262     1,402  SH      DEFINED     3                            1,402
VERISK ANALYTICS INC CLASS      COM         92345Y106      87,845     2,189  SH      SOLE        1        2,189
VERIZON COMMUNICATIONS INC      COM         92343V104   1,659,772    41,370  SH      DEFINED     2                           41,370
VERIZON COMMUNICATIONS INC      COM         92343V104   3,666,414    91,386  SH      DEFINED     3                           91,386
VERIZON COMMUNICATIONS INC      COM         92343V104   4,788,211   119,347  SH      DEFINED     4                          119,347
VERSO PAPER CORP                COM         92531L108      10,479    10,916  SH      SOLE        1       10,916
VERTEX PHARMACEUTICALS INC      COM         92532F100  15,526,074   467,512  SH      SOLE        1      467,512
VF CORP                         COM         918204108   6,779,361    53,385  SH      SOLE        1       53,385
VIACOM INC CLASS B              COM         92553P201  11,028,818   242,872  SH      SOLE        1      242,872
VIACOM INC NEW                  COM         92553P201       8,764       193  SH      DEFINED     2                              193
VIACOM INC NEW                  COM         92553P201     102,036     2,247  SH      DEFINED     3                            2,247
VIACOM INC NEW                  COM         92553P201      38,054       838  SH      DEFINED     4                              838
VIAD CORP                       COM         92552R406     289,818    16,580  SH      SOLE        1       16,580
VIAD CORP                       COM         92552R406      50,447     2,886  SH      DEFINED     4                            2,886
VIASAT INC                      COM         92552V100   1,386,506    30,063  SH      SOLE        1       30,063
VIASYSTEMS GROUP INC            COM         92553H803      35,278     2,085  SH      SOLE        1        2,085
VICAL INC                       COM         925602104     230,991    52,379  SH      SOLE        1       52,379
VICOR CORP                      COM         925815102     127,113    15,969  SH      SOLE        1       15,969
VIEWPOINT FINANCIAL GROUP       COM         92672A101     331,052    25,446  SH      SOLE        1       25,446
VILLAGE SUPER MARKET CLASS      COM         927107409     129,874     4,565  SH      SOLE        1        4,565
VILLAGE SUPER MKT INC           COM         927107409       6,544       230  SH      DEFINED     3                              230
VIMPELCOM LTD                   COM         92719A106         947       100  SH      DEFINED     2                              100
VIRGIN MEDIA INC                COM         92769L101     448,531    20,979  SH      SOLE        1       20,979
VIRGINIA COMMERCE BANCORP       COM         92778Q109     132,222    17,105  SH      SOLE        1       17,105
VIRNETX HLDG CORP               COM         92823T108       2,497       100  SH      DEFINED     2                              100
VIRNETX HLDG CORP               COM         92823T108     289,277    11,585  SH      DEFINED     3                           11,585
VIRNETX HLDG CORP               COM         92823T908      35,175        75  SH  C   DEFINED     3                               75
VIRNETX HOLDING CORP            COM         92823T108     742,383    29,731  SH      SOLE        1       29,731
VIROPHARMA INC                  COM         928241108   3,701,238   135,131  SH      SOLE        1      135,131
VIROPHARMA INC                  COM         928241108       8,217       300  SH      DEFINED     2                              300
VIROPHARMA INC                  COM         928241108         876        32  SH      DEFINED     3                               32
VIRTUS INVESTMENT PARTNERS      COM         92828Q109     304,420     4,005  SH      SOLE        1        4,005
VIRTUSA CORP                    COM         92827P102     182,853    12,628  SH      SOLE        1       12,628
VISA INC                        COM         92826C839     156,784     1,544  SH      DEFINED     2                            1,544
VISA INC                        COM         92826C839     284,415     2,801  SH      DEFINED     3                            2,801
VISA INC                        COM         92826C839      79,193       780  SH      DEFINED     4                              780
VISA INC CLASS A SHARES         COM         92826C839  21,147,176   208,285  SH      SOLE        1      208,285
VISHAY INTERTECHNOLOGY INC      COM         928298108   6,994,193   777,997  SH      SOLE        1      777,997






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
VISHAY INTERTECHNOLOGY INC      COM         928298108       2,922       325  SH      DEFINED     2                              325
VISHAY INTERTECHNOLOGY INC      COM         928298108     247,630    27,545  SH      DEFINED     3                           27,545
VISHAY PRECISION GROUP          COM         92835K103     143,548     8,983  SH      SOLE        1        8,983
VISHAY PRECISION GROUP INC      COM         92835K103         368        23  SH      DEFINED     2                               23
VISTA GOLD CORP                 COM         927926303     159,284    51,884  SH      SOLE        1       51,884
VISTAPRINT N V                  COM         N93540107      30,600     1,000  SH      DEFINED     3                            1,000
VISTAPRINT NV                   COM         N93540107      20,441       668  SH      SOLE        1          668
VISTEON CORP                    COM         92839U206      79,305     1,588  SH      SOLE        1        1,588
VISTEON CORP                    COM         92839U206         749        15  SH      DEFINED     3                               15
VITAMIN SHOPPE INC              COM         92849E101     821,049    20,588  SH      SOLE        1       20,588
VIVUS INC                       COM         928551100     632,795    64,902  SH      SOLE        1       64,902
VIVUS INC                       COM         928551100       3,900       400  SH      DEFINED     2                              400
VIVUS INC                       COM         928551100       2,535       260  SH      DEFINED     3                              260
VMWARE INC                      COM         928563402      35,356       425  SH      DEFINED     2                              425
VMWARE INC                      COM         928563402      67,384       810  SH      DEFINED     3                              810
VMWARE INC                      COM         928563402       8,319       100  SH      DEFINED     4                              100
VMWARE INC CLASS A              COM         928563402   6,680,157    80,300  SH      SOLE        1       80,300
VOCUS INC                       COM         92858J108     284,210    12,866  SH      SOLE        1       12,866
VODAFONE GROUP PLC NEW          COM         92857W209     139,582     4,980  SH      DEFINED     2                            4,980
VODAFONE GROUP PLC NEW          COM         92857W209     732,869    26,146  SH      DEFINED     3                           26,146
VODAFONE GROUP PLC NEW          COM         92857W209     416,834    14,871  SH      DEFINED     4                           14,871
VODAFONE GROUP PLC SP ADR       COM         92857W209   2,740,886    97,784  SH      SOLE        1       97,784
VOLCANO CORP                    COM         928645100   4,364,656   183,466  SH      SOLE        1      183,466
VOLCANO CORPORATION             COM         928645100       3,569       150  SH      DEFINED     4                              150
VOLTERRA SEMICONDUCTOR COR      COM         928708106     512,507    20,012  SH      SOLE        1       20,012
VONAGE HOLDINGS CORP            COM         92886T201  22,079,008 9,011,840  SH      SOLE        1    9,011,840
VORNADO REALTY TRUST            COM         929042109   5,559,822    72,337  SH      SOLE        1       72,337
VOXX INTERNATIONAL CORP         COM         91829F104     124,688    14,756  SH      SOLE        1       14,756
VOYAGER OIL & GAS INC           COM         92911K100       5,783     2,250  SH      DEFINED     3                            2,250
VOYAGER OIL + GAS INC           COM         92911K100      88,172    34,308  SH      SOLE        1       34,308
VSE CORP                        COM         918284100      73,253     3,017  SH      SOLE        1        3,017
VSE CORP                        COM         918284100       1,967        81  SH      DEFINED     3                               81
VULCAN MATERIALS CO             COM         929160109   1,891,791    48,076  SH      SOLE        1       48,076
VULCAN MATLS CO                 COM         929160109      31,480       800  SH      DEFINED     2                              800
VULCAN MATLS CO                 COM         929160109      16,719       425  SH      DEFINED     3                              425
VULCAN MATLS CO                 COM         929160109       3,069        78  SH      DEFINED     4                               78
W & T OFFSHORE INC              COM         92922P106      21,210     1,000  SH      DEFINED     2                            1,000
W & T OFFSHORE INC              COM         92922P106       1,463        69  SH      DEFINED     3                               69
W P CAREY & CO LLC              COM         92930Y107       6,141       150  SH      DEFINED     2                              150
W P CAREY & CO LLC              COM         92930Y107     176,042     4,300  SH      DEFINED     4                            4,300
W+T OFFSHORE INC                COM         92922P106     539,901    25,455  SH      SOLE        1       25,455
WABASH NATIONAL CORP            COM         929566107   5,257,724   670,628  SH      SOLE        1      670,628
WABASH NATL CORP                COM         929566107      23,520     3,000  SH      DEFINED     3                            3,000
WABCO HLDGS INC                 COM         92927K102     138,880     3,200  SH      DEFINED     2                            3,200
WABCO HLDGS INC                 COM         92927K102       4,340       100  SH      DEFINED     3                              100
WABCO HLDGS INC                 COM         92927K102      14,105       325  SH      DEFINED     4                              325
WABCO HOLDINGS INC              COM         92927K102      48,912     1,127  SH      SOLE        1        1,127
WABTEC CORP                     COM         929740108   7,337,965   104,903  SH      SOLE        1      104,903
WADDELL + REED FINANCIAL A      COM         930059100   4,620,596   186,540  SH      SOLE        1      186,540
WAL MART STORES INC             COM         931142103  32,793,778   548,758  SH      SOLE        1      548,758
WAL MART STORES INC             COM         931142103     796,390    13,326  SH      DEFINED     2                           13,326
WAL MART STORES INC             COM         931142103   1,598,911    26,756  SH      DEFINED     3                           26,756
WAL MART STORES INC             COM         931142103     492,914     8,248  SH      DEFINED     4                            8,248
WALGREEN CO                     COM         931422109   8,825,003   266,939  SH      SOLE        1      266,939
WALGREEN CO                     COM         931422109     403,123    12,194  SH      DEFINED     2                           12,194
WALGREEN CO                     COM         931422109     262,868     7,951  SH      DEFINED     3                            7,951
WALGREEN CO                     COM         931422109      46,482     1,406  SH      DEFINED     4                            1,406
WALKER + DUNLOP INC             COM         93148P102      98,558     7,847  SH      SOLE        1        7,847
WALT DISNEY CO/THE              COM         254687106  28,089,900   749,064  SH      SOLE        1      749,064
WALTER ENERGY INC               COM         93317Q105      62,619     1,034  SH      SOLE        1        1,034
WALTER ENERGY INC               COM         93317Q105     145,344     2,400  SH      DEFINED     2                            2,400
WALTER ENERGY INC               COM         93317Q105      84,784     1,400  SH      DEFINED     3                            1,400
WALTER ENERGY INC               COM         93317Q105      27,252       450  SH      DEFINED     4                              450
WALTER INVESTMENT MANAGEME      COM         93317W102     389,157    18,974  SH      SOLE        1       18,974
WALTER INVT MGMT CORP           COM         93317W102       8,266       403  SH      DEFINED     3                              403
WALTER INVT MGMT CORP           COM         93317W102         123         6  SH      DEFINED     4                                6
WARNACO GROUP INC/THE           COM         934390402   5,878,049   117,467  SH      SOLE        1      117,467
WARNER CHILCOTT PLC CLASS       COM         G94368100     251,839    16,645  SH      SOLE        1       16,645
WARREN RESOURCES INC            COM         93564A100     170,055    52,164  SH      SOLE        1       52,164
WASHINGTON BANKING CO           COM         937303105     133,380    11,199  SH      SOLE        1       11,199
WASHINGTON BKG CO OAK HBR WA    COM         937303105       3,573       300  SH      DEFINED     3                              300
WASHINGTON FEDERAL INC          COM         938824109   3,317,687   237,147  SH      SOLE        1      237,147
WASHINGTON POST CLASS B         COM         939640108     620,983     1,648  SH      SOLE        1        1,648
WASHINGTON REAL ESTATE INVT     COM         939653101      22,290       815  SH      DEFINED     2                              815
WASHINGTON REAL ESTATE INVT     COM         939653101      31,453     1,150  SH      DEFINED     3                            1,150
WASHINGTON REAL ESTATE INVT     COM         939653101      16,410       600  SH      DEFINED     4                              600
WASHINGTON REIT                 COM         939653101   1,317,313    48,165  SH      SOLE        1       48,165
WASHINGTON TRUST BANCORP        COM         940610108     248,383    10,410  SH      SOLE        1       10,410
WASTE CONNECTIONS INC           COM         941053100  10,076,084   304,046  SH      SOLE        1      304,046
WASTE CONNECTIONS INC           COM         941053100       2,585        78  SH      DEFINED     2                               78
WASTE CONNECTIONS INC           COM         941053100     520,762    15,714  SH      DEFINED     3                           15,714
WASTE MANAGEMENT INC            COM         94106L109   4,520,718   138,206  SH      SOLE        1      138,206
WASTE MGMT INC DEL              COM         94106L109     190,618     5,828  SH      DEFINED     2                            5,828
WASTE MGMT INC DEL              COM         94106L109     339,568    10,381  SH      DEFINED     3                           10,381
WASTE MGMT INC DEL              COM         94106L109     155,242     4,746  SH      DEFINED     4                            4,746
WATERS CORP                     COM         941848103   2,084,730    28,153  SH      SOLE        1       28,153
WATERS CORP                     COM         941848103      65,164       880  SH      DEFINED     2                              880
WATSCO INC                      COM         942622200   5,393,378    82,141  SH      SOLE        1       82,141
WATSON PHARMACEUTICALS INC      COM         942683103   2,903,078    48,112  SH      SOLE        1       48,112
WATSON PHARMACEUTICALS INC      COM         942683103     241,903     4,009  SH      DEFINED     3                            4,009
WATSON PHARMACEUTICALS INC      COM         942683103       7,060       117  SH      DEFINED     4                              117
WATTS WATER TECHNOLOGIES A      COM         942749102   2,127,280    62,183  SH      SOLE        1       62,183
WATTS WATER TECHNOLOGIES INC    COM         942749102       4,276       125  SH      DEFINED     3                              125
WATTS WATER TECHNOLOGIES INC    COM         942749102      51,315     1,500  SH      DEFINED     4                            1,500
WAUSAU PAPER CORP               COM         943315101     330,962    40,068  SH      SOLE        1       40,068
WAUSAU PAPER CORP               COM         943315101       4,584       555  SH      DEFINED     3                              555
WAVE SYSTEMS CORP CLASS A       COM         943526301     131,318    60,515  SH      SOLE        1       60,515
WCA WASTE CORP                  COM         92926K103      80,014    12,291  SH      SOLE        1       12,291
WD 40 CO                        COM         929236107     525,572    13,006  SH      SOLE        1       13,006
WD-40 CO                        COM         929236107       1,334        33  SH      DEFINED     3                               33
WEATHERFORD INTERNATIONAL LT    COM         H27013103     117,559     8,030  SH      DEFINED     2                            8,030
WEATHERFORD INTERNATIONAL LT    COM         H27013103      19,032     1,300  SH      DEFINED     3                            1,300
WEATHERFORD INTERNATIONAL LT    COM         H27013103      83,565     5,708  SH      DEFINED     4                            5,708
WEB COM GROUP INC               COM         94733A104       1,145       100  SH      DEFINED     3                              100
WEB.COM GROUP INC               COM         94733A104     243,084    21,230  SH      SOLE        1       21,230
WEBMD HEALTH CORP               COM         94770V102      36,912       983  SH      SOLE        1          983
WEBMD HEALTH CORP               COM         94770V102      14,231       379  SH      DEFINED     2                              379
WEBMD HEALTH CORP               COM         94770V102      18,775       500  SH      DEFINED     3                              500
WEBSENSE INC                    COM         947684106     607,920    32,457  SH      SOLE        1       32,457
WEBSTER FINANCIAL CORP          COM         947890109   4,325,086   212,118  SH      SOLE        1      212,118
WEIGHT WATCHERS INTL INC        COM         948626106      26,515       482  SH      SOLE        1          482
WEIGHT WATCHERS INTL INC NEW    COM         948626106       1,375        25  SH      DEFINED     3                               25
WEINGARTEN REALTY INVESTOR      COM         948741103   5,805,320   266,055  SH      SOLE        1      266,055
WEINGARTEN RLTY INVS            COM         948741103      48,004     2,200  SH      DEFINED     2                            2,200
WEIS MARKETS INC                COM         948849104     320,918     8,035  SH      SOLE        1        8,035






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
WEIS MKTS INC                   COM         948849104       3,994       100  SH      DEFINED     2                              100
WEIS MKTS INC                   COM         948849104       1,478        37  SH      DEFINED     3                               37
WELLCARE HEALTH PLANS INC       COM         94946T106   6,509,265   123,986  SH      SOLE        1      123,986
WELLPOINT INC                   COM         94973V107  10,819,221   163,309  SH      SOLE        1      163,309
WELLPOINT INC                   COM         94973V107      31,868       481  SH      DEFINED     2                              481
WELLPOINT INC                   COM         94973V107      20,008       302  SH      DEFINED     3                              302
WELLPOINT INC                   COM         94973V107      63,931       965  SH      DEFINED     4                              965
WELLS FARGO & CO NEW            COM         949746101   6,416,966   232,836  SH      DEFINED     2                          232,836
WELLS FARGO & CO NEW            COM         949746101     211,857     7,687  SH      DEFINED     3                            7,687
WELLS FARGO & CO NEW            COM         949746804     117,216       111  SH      DEFINED     3                              111
WELLS FARGO & CO NEW            COM         949746101     142,265     5,162  SH      DEFINED     4                            5,162
WELLS FARGO + CO                COM         949746101  65,226,472 2,366,708  SH      SOLE        1    2,366,708
WELLS FARGO ADV GLB DIV OPP     COM         94987C103      13,275     1,749  SH      DEFINED     3                            1,749
WELLS FARGO ADVANTAGE INCOME    COM         94987B105      77,093     7,573  SH      DEFINED     2                            7,573
WELLS FARGO ADVANTAGE INCOME    COM         94987B105      18,231     1,791  SH      DEFINED     3                            1,791
WELLS FARGO ADVANTAGE INCOME    COM         94987B105       4,072       400  SH      DEFINED     4                              400
WELLS FARGO ADVANTAGE MULTI     COM         94987D101      15,371     1,040  SH      DEFINED     3                            1,040
WELLS FARGO ADVANTAGE MULTI     COM         94987D101       2,956       200  SH      DEFINED     4                              200
WELLS FARGO ADVANTAGE UTILS     COM         94987E109       5,575       500  SH      DEFINED     2                              500
WELLS FARGO ADVANTAGE UTILS     COM         94987E109      11,839     1,062  SH      DEFINED     3                            1,062
WELLS FARGO ADVANTAGE UTILS     COM         94987E109       2,230       200  SH      DEFINED     4                              200
WENDY S CO/THE                  COM         95058W100   3,491,231   651,349  SH      SOLE        1      651,349
WENDYS CO                       COM         95058W100      11,390     2,125  SH      DEFINED     2                            2,125
WENDYS CO                       COM         95058W100       3,752       700  SH      DEFINED     3                              700
WENDYS CO                       COM         95058W100       5,360     1,000  SH      DEFINED     4                            1,000
WERNER ENTERPRISES INC          COM         950755108   3,094,633   128,408  SH      SOLE        1      128,408
WESBANCO INC                    COM         950810101     328,634    16,879  SH      SOLE        1       16,879
WESCO AIRCRAFT HOLDINGS IN      COM         950814103     214,565    15,337  SH      SOLE        1       15,337
WESCO INTERNATIONAL INC         COM         95082P105      56,456     1,065  SH      SOLE        1        1,065
WEST BANCORPORATION             COM         95123P106     108,867    11,364  SH      SOLE        1       11,364
WEST COAST BANCORP/OREGON       COM         952145209     219,710    14,084  SH      SOLE        1       14,084
WEST MARINE INC                 COM         954235107     125,697    10,808  SH      SOLE        1       10,808
WEST PHARMACEUTICAL SERVIC      COM         955306105   1,036,225    27,305  SH      SOLE        1       27,305
WESTAMERICA BANCORPORATION      COM         957090103   3,638,959    82,892  SH      SOLE        1       82,892
WESTAR ENERGY INC               COM         95709T100   7,423,225   257,930  SH      SOLE        1      257,930
WESTAR ENERGY INC               COM         95709T100     118,257     4,109  SH      DEFINED     3                            4,109
WESTELL TECHNOLOGIES INC A      COM         957541105      86,092    38,780  SH      SOLE        1       38,780
WESTERN ALLIANCE BANCORP        COM         957638109     315,506    50,643  SH      SOLE        1       50,643
WESTERN ASSET CLYM INFL OPP     COM         95766R104      69,456     5,508  SH      DEFINED     2                            5,508
WESTERN ASSET CLYM INFL OPP     COM         95766R104      73,138     5,800  SH      DEFINED     3                            5,800
WESTERN ASSET CLYM INFL OPP     COM         95766R104      15,208     1,206  SH      DEFINED     4                            1,206
WESTERN ASSET CLYM INFL SEC     COM         95766Q106      61,772     4,887  SH      DEFINED     2                            4,887
WESTERN ASSET EMRG MKT DEBT     COM         95766A101       2,381       126  SH      DEFINED     2                              126
WESTERN ASSET EMRG MKT DEBT     COM         95766A101         463        24  SH      DEFINED     3                               24
WESTERN ASSET EMRG MKT DEBT     COM         95766A101      28,350     1,500  SH      DEFINED     4                            1,500
WESTERN ASSET EMRG MKT INCM     COM         95766E103       5,364       400  SH      DEFINED     4                              400
WESTERN ASSET GLB HI INCOME     COM         95766B109      21,433     1,701  SH      DEFINED     3                            1,701
WESTERN ASSET GLB HI INCOME     COM         95766B109      52,522     4,168  SH      DEFINED     4                            4,168
WESTERN ASSET HIGH INCM FD I    COM         95766J102      70,738     7,338  SH      DEFINED     2                            7,338
WESTERN ASSET HIGH INCM FD I    COM         95766H106      15,431     1,728  SH      DEFINED     3                            1,728
WESTERN ASSET HIGH INCM FD I    COM         95766J102      25,671     2,663  SH      DEFINED     3                            2,663
WESTERN ASSET HIGH INCM FD I    COM         95766J102     136,888    14,200  SH      DEFINED     4                           14,200
WESTERN ASSET HIGH INCM OPP     COM         95766K109       6,571     1,065  SH      DEFINED     2                            1,065
WESTERN ASSET HIGH INCM OPP     COM         95766K109      30,128     4,883  SH      DEFINED     3                            4,883
WESTERN ASSET INFL MGMT FD I    COM         95766U107      12,733       728  SH      DEFINED     3                              728
WESTERN ASSET MGD HI INCM FD    COM         95766L107      19,932     3,300  SH      DEFINED     2                            3,300
WESTERN ASSET MGD HI INCM FD    COM         95766L107       5,134       850  SH      DEFINED     3                              850
WESTERN ASSET MUN DEF OPP TR    COM         95768A109       1,103        50  SH      DEFINED     3                               50
WESTERN ASSET MUN DEF OPP TR    COM         95768A109     199,974     9,065  SH      DEFINED     4                            9,065
WESTERN ASSET PREMIER BD FD     COM         957664105     171,463    10,750  SH      DEFINED     3                           10,750
WESTERN ASSET VAR RT STRG FD    COM         957667108       9,950       670  SH      DEFINED     3                              670
WESTERN ASST MN PRT FD INC      COM         95766P108      15,360     1,000  SH      DEFINED     3                            1,000
WESTERN ASST MN PRT FD INC      COM         95766P108      43,392     2,825  SH      DEFINED     4                            2,825
WESTERN ASST MNG MUN FD INC     COM         95766M105      13,410     1,000  SH      DEFINED     3                            1,000
WESTERN DIGITAL CORP            COM         958102105   2,690,422    86,928  SH      SOLE        1       86,928
WESTERN DIGITAL CORP            COM         958102105      20,737       670  SH      DEFINED     2                              670
WESTERN DIGITAL CORP            COM         958102105     301,236     9,733  SH      DEFINED     3                            9,733
WESTERN DIGITAL CORP            COM         958102105       5,416       175  SH      DEFINED     4                              175
WESTERN GAS PARTNERS LP         COM         958254104      28,889       700  SH      DEFINED     3                              700
WESTERN GAS PARTNERS LP         COM         958254104     195,620     4,740  SH      DEFINED     4                            4,740
WESTERN REFINING INC            COM         959319104     512,170    38,538  SH      SOLE        1       38,538
WESTERN REFNG INC               COM         959319104      11,961       900  SH      DEFINED     3                              900
WESTERN UN CO                   COM         959802109       2,191       120  SH      DEFINED     2                              120
WESTERN UN CO                   COM         959802109      54,780     3,000  SH      DEFINED     3                            3,000
WESTERN UN CO                   COM         959802109       4,492       246  SH      DEFINED     4                              246
WESTERN UNION CO                COM         959802109   4,722,401   258,620  SH      SOLE        1      258,620
WESTFIELD FINANCIAL INC         COM         96008P104     150,762    20,484  SH      SOLE        1       20,484
WESTINGHOUSE SOLAR              COM         96040V101          12        37  SH      DEFINED     2                               37
WESTLAKE CHEMICAL CORP          COM         960413102      23,098       574  SH      SOLE        1          574
WESTMORELAND COAL CO            COM         960878106      92,132     7,226  SH      SOLE        1        7,226
WESTPAC BKG CORP                COM         961214301         614         6  SH      DEFINED     3                                6
WESTPORT INNOVATIONS INC        COM         960908309     135,952     4,090  SH      DEFINED     2                            4,090
WESTPORT INNOVATIONS INC        COM         960908309      85,094     2,560  SH      DEFINED     3                            2,560
WESTPORT INNOVATIONS INC        COM         960908309      47,201     1,420  SH      DEFINED     4                            1,420
WESTWOOD HOLDINGS GROUP IN      COM         961765104     166,485     4,555  SH      SOLE        1        4,555
WET SEAL INC/THE CLASS A        COM         961840105     215,512    66,108  SH      SOLE        1       66,108
WEYCO GROUP INC                 COM         962149100     128,446     5,232  SH      SOLE        1        5,232
WEYERHAEUSER CO                 COM         962166104   3,282,279   175,805  SH      SOLE        1      175,805
WEYERHAEUSER CO                 COM         962166104      34,792     1,864  SH      DEFINED     2                            1,864
WEYERHAEUSER CO                 COM         962166104      19,379     1,038  SH      DEFINED     3                            1,038
WEYERHAEUSER CO                 COM         962166104       6,348       340  SH      DEFINED     4                              340
WGL HLDGS INC                   COM         92924F106       4,068        92  SH      DEFINED     2                               92
WGL HLDGS INC                   COM         92924F106       4,422       100  SH      DEFINED     3                              100
WGL HOLDINGS INC                COM         92924F106   6,589,443   149,015  SH      SOLE        1      149,015
WHIRLPOOL CORP                  COM         963320106   1,201,909    25,330  SH      SOLE        1       25,330
WHIRLPOOL CORP                  COM         963320106      16,652       351  SH      DEFINED     2                              351
WHIRLPOOL CORP                  COM         963320106      39,146       825  SH      DEFINED     3                              825
WHIRLPOOL CORP                  COM         963320106      80,191     1,690  SH      DEFINED     4                            1,690
WHITE MOUNTAINS INSURANCE/      COM         G9618E107      99,308       219  SH      SOLE        1          219
WHITESTONE REIT B               COM         966084204      65,283     5,486  SH      SOLE        1        5,486
WHITING PETE CORP NEW           COM         966387102       7,657       164  SH      DEFINED     2                              164
WHITING PETE CORP NEW           COM         966387102      23,345       500  SH      DEFINED     3                              500
WHITING PETE CORP NEW           COM         966387102      20,077       430  SH      DEFINED     4                              430
WHITING PETROLEUM CORP          COM         966387102      90,158     1,931  SH      SOLE        1        1,931
WHITING USA TR I                COM         966389108      51,506     3,075  SH      DEFINED     2                            3,075
WHITING USA TR I                COM         966389108     214,350    12,797  SH      DEFINED     3                           12,797
WHOLE FOODS MARKET INC          COM         966837106   7,536,627   108,316  SH      SOLE        1      108,316
WHOLE FOODS MKT INC             COM         966837106     191,136     2,747  SH      DEFINED     2                            2,747
WHOLE FOODS MKT INC             COM         966837106      22,266       320  SH      DEFINED     3                              320
WHOLE FOODS MKT INC             COM         966837106       6,958       100  SH      DEFINED     4                              100
WILEY (JOHN) + SONS CLASS       COM         968223206   4,614,670   103,934  SH      SOLE        1      103,934
WILEY JOHN & SONS INC           COM         968223206       1,954        44  SH      DEFINED     2                               44
WILLAMETTE VY VINEYARD INC      COM         969136100       3,000     1,000  SH      DEFINED     3                            1,000
WILLBROS GROUP INC              COM         969203108     104,716    28,533  SH      SOLE        1       28,533
WILLIAMS COS INC                COM         969457100   9,291,432   281,388  SH      SOLE        1      281,388






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
WILLIAMS COS INC DEL            COM         969457100      58,412     1,769  SH      DEFINED     2                            1,769
WILLIAMS COS INC DEL            COM         969457100     291,005     8,813  SH      DEFINED     3                            8,813
WILLIAMS COS INC DEL            COM         969457100      16,510       500  SH      DEFINED     4                              500
WILLIAMS PARTNERS L P           COM         96950F104      17,997       300  SH      DEFINED     2                              300
WILLIAMS PARTNERS L P           COM         96950F104     452,445     7,542  SH      DEFINED     3                            7,542
WILLIAMS SONOMA INC             COM         969904101  10,940,468   284,168  SH      SOLE        1      284,168
WILLIAMS SONOMA INC             COM         969904101       7,700       200  SH      DEFINED     3                              200
WILSHIRE BANCORP INC            COM         97186T108     181,464    49,990  SH      SOLE        1       49,990
WINDSTREAM CORP                 COM         97381W104   5,203,478   443,226  SH      SOLE        1      443,226
WINDSTREAM CORP                 COM         97381W104      54,110     4,609  SH      DEFINED     2                            4,609
WINDSTREAM CORP                 COM         97381W104   1,155,760    98,446  SH      DEFINED     3                           98,446
WINDSTREAM CORP                 COM         97381W104     780,696    66,499  SH      DEFINED     4                           66,499
WINMARK CORP                    COM         974250102      94,546     1,648  SH      SOLE        1        1,648
WINN DIXIE STORES INC           COM         974280307     382,413    40,769  SH      SOLE        1       40,769
WINNEBAGO INDUSTRIES            COM         974637100     175,127    23,730  SH      SOLE        1       23,730
WINTHROP REALTY TRUST           COM         976391300     213,092    20,953  SH      SOLE        1       20,953
WINTRUST FINANCIAL CORP         COM         97650W108     801,360    28,569  SH      SOLE        1       28,569
WISCONSIN ENERGY CORP           COM         976657106   3,466,843    99,166  SH      SOLE        1       99,166
WISCONSIN ENERGY CORP           COM         976657106      15,466       442  SH      DEFINED     3                              442
WISCONSIN ENERGY CORP           COM         976657106      37,897     1,084  SH      DEFINED     4                            1,084
WISDOMTREE TR                   COM         97717X859       3,737       184  SH      DEFINED     2                              184
WISDOMTREE TR                   COM         97717X867      16,781       345  SH      DEFINED     2                              345
WISDOMTREE TR                   COM         97717X867       4,280        88  SH      DEFINED     3                               88
WISDOMTREE TR                   COM         97717X867      38,727       796  SH      DEFINED     4                              796
WISDOMTREE TRUST                COM         97717W125       2,035        45  SH      DEFINED     2                               45
WISDOMTREE TRUST                COM         97717W208      20,602       480  SH      DEFINED     2                              480
WISDOMTREE TRUST                COM         97717W240       7,593       390  SH      DEFINED     2                              390
WISDOMTREE TRUST                COM         97717W281      23,564       570  SH      DEFINED     2                              570
WISDOMTREE TRUST                COM         97717W315      77,489     1,511  SH      DEFINED     2                            1,511
WISDOMTREE TRUST                COM         97717W331     202,484     8,724  SH      DEFINED     2                            8,724
WISDOMTREE TRUST                COM         97717W406     309,556     5,953  SH      DEFINED     2                            5,953
WISDOMTREE TRUST                COM         97717W422       3,744       240  SH      DEFINED     2                              240
WISDOMTREE TRUST                COM         97717W604       5,028       112  SH      DEFINED     2                              112
WISDOMTREE TRUST                COM         97717W703      38,874       950  SH      DEFINED     2                              950
WISDOMTREE TRUST                COM         97717W760      42,768       978  SH      DEFINED     2                              978
WISDOMTREE TRUST                COM         97717W810      25,371       500  SH      DEFINED     2                              500
WISDOMTREE TRUST                COM         97717W828       5,051        87  SH      DEFINED     2                               87
WISDOMTREE TRUST                COM         97717W844       4,452        96  SH      DEFINED     2                               96
WISDOMTREE TRUST                COM         97717W125       7,011       155  SH      DEFINED     3                              155
WISDOMTREE TRUST                COM         97717W133     366,046    18,581  SH      DEFINED     3                           18,581
WISDOMTREE TRUST                COM         97717W182      68,013     2,700  SH      DEFINED     3                            2,700
WISDOMTREE TRUST                COM         97717W216          65         3  SH      DEFINED     3                                3
WISDOMTREE TRUST                COM         97717W281      77,637     1,878  SH      DEFINED     3                            1,878
WISDOMTREE TRUST                COM         97717W307      38,174       779  SH      DEFINED     3                              779
WISDOMTREE TRUST                COM         97717W406     479,596     9,223  SH      DEFINED     3                            9,223
WISDOMTREE TRUST                COM         97717W653     172,573     9,706  SH      DEFINED     3                            9,706
WISDOMTREE TRUST                COM         97717W711      61,218     2,605  SH      DEFINED     3                            2,605
WISDOMTREE TRUST                COM         97717W760       1,531        35  SH      DEFINED     3                               35
WISDOMTREE TRUST                COM         97717W828       2,264        39  SH      DEFINED     3                               39
WISDOMTREE TRUST                COM         97717W836       9,205       221  SH      DEFINED     3                              221
WISDOMTREE TRUST                COM         97717W851       1,263        40  SH      DEFINED     3                               40
WISDOMTREE TRUST                COM         97717W133      24,763     1,257  SH      DEFINED     4                            1,257
WISDOMTREE TRUST                COM         97717W182      46,173     1,833  SH      DEFINED     4                            1,833
WISDOMTREE TRUST                COM         97717W281      16,040       388  SH      DEFINED     4                              388
WISDOMTREE TRUST                COM         97717W315       7,691       150  SH      DEFINED     4                              150
WISDOMTREE TRUST                COM         97717W505     275,815     5,297  SH      DEFINED     4                            5,297
WISDOMTREE TRUST                COM         97717W570      21,580       400  SH      DEFINED     4                              400
WISDOMTREE TRUST                COM         97717W786       5,937       150  SH      DEFINED     4                              150
WISDOMTREE TRUST                COM         97717W836     104,125     2,500  SH      DEFINED     4                            2,500
WMS INDUSTRIES INC              COM         929297109   2,518,379   122,728  SH      SOLE        1      122,728
WOLVERINE WORLD WIDE INC        COM         978097103   1,437,290    40,328  SH      SOLE        1       40,328
WOLVERINE WORLD WIDE INC        COM         978097103       3,208        90  SH      DEFINED     2                               90
WOLVERINE WORLD WIDE INC        COM         978097103       6,736       189  SH      DEFINED     3                              189
WOODWARD INC                    COM         980745103   7,163,282   175,013  SH      SOLE        1      175,013
WOODWARD INC                    COM         980745103      26,564       649  SH      DEFINED     4                              649
WORLD ACCEPTANCE CORP           COM         981419104     898,023    12,218  SH      SOLE        1       12,218
WORLD FUEL SERVICES CORP        COM         981475106   8,652,708   206,115  SH      SOLE        1      206,115
WORLD FUEL SVCS CORP            COM         981475106     176,820     4,212  SH      DEFINED     2                            4,212
WORLD FUEL SVCS CORP            COM         981475106       5,835       139  SH      DEFINED     3                              139
WORLD WRESTLING ENTERTAIN       COM         98156Q108     185,524    19,906  SH      SOLE        1       19,906
WORLD WRESTLING ENTMT INC       COM         98156Q108       2,796       300  SH      DEFINED     3                              300
WORTHINGTON INDS INC            COM         981811102       5,064       309  SH      DEFINED     3                              309
WORTHINGTON INDUSTRIES          COM         981811102   2,594,346   158,385  SH      SOLE        1      158,385
WOWJOINT HOLDINGS LIMITED       COM         G9796W101         852     2,000  SH      DEFINED     2                            2,000
WPP PLC                         COM         92933H101         783        15  SH      DEFINED     4                               15
WR BERKLEY CORP                 COM         084423102   8,413,514   244,650  SH      SOLE        1      244,650
WR GRACE + CO                   COM         38388F108      61,303     1,335  SH      SOLE        1        1,335
WRIGHT EXPRESS CORP             COM         98233Q105   1,708,300    31,472  SH      SOLE        1       31,472
WRIGHT MEDICAL GROUP INC        COM         98235T107     470,250    28,500  SH      SOLE        1       28,500
WSB HOLDINGS INC                COM         92934C101      28,036    12,033  SH      DEFINED     3                           12,033
WSFS FINANCIAL CORP             COM         929328102     168,652     4,690  SH      SOLE        1        4,690
WW GRAINGER INC                 COM         384802104   4,331,389    23,139  SH      SOLE        1       23,139
WYNDHAM WORLDWIDE CORP          COM         98310W108   1,918,132    50,704  SH      SOLE        1       50,704
WYNDHAM WORLDWIDE CORP          COM         98310W108       3,518        93  SH      DEFINED     3                               93
WYNDHAM WORLDWIDE CORP          COM         98310W108       4,161       110  SH      DEFINED     4                              110
WYNN RESORTS LTD                COM         983134107   3,476,457    31,464  SH      SOLE        1       31,464
WYNN RESORTS LTD                COM         983134107      22,098       200  SH      DEFINED     2                              200
WYNN RESORTS LTD                COM         983134107     233,465     2,113  SH      DEFINED     3                            2,113
WYNN RESORTS LTD                COM         983134107      12,817       116  SH      DEFINED     4                              116
X RITE INC                      COM         983857103      89,408    19,269  SH      SOLE        1       19,269
XCEL ENERGY INC                 COM         98389B100   4,450,427   161,014  SH      SOLE        1      161,014
XCEL ENERGY INC                 COM         98389B100      30,820     1,115  SH      DEFINED     2                            1,115
XCEL ENERGY INC                 COM         98389B100   1,562,572    56,533  SH      DEFINED     3                           56,533
XCEL ENERGY INC                 COM         98389B100     214,901     7,775  SH      DEFINED     4                            7,775
XENOPORT INC                    COM         98411C100      98,389    25,824  SH      SOLE        1       25,824
XERIUM TECHNOLOGIES INC         COM         98416J118      52,575     8,039  SH      SOLE        1        8,039
XEROX CORP                      COM         984121103   4,884,359   613,613  SH      SOLE        1      613,613
XEROX CORP                      COM         984121103       1,799       226  SH      DEFINED     2                              226
XEROX CORP                      COM         984121103       3,510       441  SH      DEFINED     3                              441
XEROX CORP                      COM         984121103       8,756     1,100  SH      DEFINED     4                            1,100
XILINX INC                      COM         983919101   3,089,462    96,365  SH      SOLE        1       96,365
XILINX INC                      COM         983919101      36,677     1,144  SH      DEFINED     3                            1,144
XL GROUP PLC                    COM         G98290102   2,347,134   118,722  SH      SOLE        1      118,722
XL GROUP PLC                    COM         G98290102       1,680        85  SH      DEFINED     3                               85
XO GROUP INC                    COM         983772104     194,706    23,346  SH      SOLE        1       23,346
XYLEM INC                       COM         98419M100   1,573,461    61,248  SH      SOLE        1       61,248
XYLEM INC                       COM         98419M100      53,538     2,084  SH      DEFINED     2                            2,084
XYLEM INC                       COM         98419M100      24,662       960  SH      DEFINED     3                              960
XYRATEX LTD                     COM         G98268108     275,524    20,685  SH      SOLE        1       20,685
XYRATEX LTD                     COM         G98268108      26,640     2,000  SH      DEFINED     3                            2,000
YADKIN VALLEY FINANCIAL CORP    COM         984314104         842       523  SH      DEFINED     3                              523
YAHOO  INC                      COM         984332106   8,451,604   523,968  SH      SOLE        1      523,968
YAHOO INC                       COM         984332106      35,809     2,220  SH      DEFINED     2                            2,220
YAHOO INC                       COM         984332106     204,674    12,689  SH      DEFINED     3                           12,689
YAHOO INC                       COM         984332106       6,936       430  SH      DEFINED     4                              430






                                                                                                             VOTING AUTHORITY
                              TITLE OF        CUSIP       ACTUAL   SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
             ISSUER NAME       CLASS         NUMBER       VALUE   PRINCIPAL PRN CALL DISCRETION MGRS  SOLE (A)  SHARED (B)  NONE (C)
----------------------------  --------      ---------  ---------- --------- --- ---- ---------- ----- --------- ----------  --------
                                                                                           
YAMANA GOLD INC                 COM         98462Y100      13,368       910  SH      DEFINED     2                              910
YAMANA GOLD INC                 COM         98462Y100      47,904     3,261  SH      DEFINED     3                            3,261
YAMANA GOLD INC                 COM         98462Y100      13,221       900  SH      DEFINED     4                              900
YINGLI GREEN ENERGY HLDG CO     COM         98584B103       3,800     1,000  SH      DEFINED     2                            1,000
YINGLI GREEN ENERGY HLDG CO     COM         98584B103       1,140       300  SH      DEFINED     4                              300
YM BIOSCIENCES INC              COM         984238105         820       500  SH      DEFINED     2                              500
YORK WATER CO                   COM         987184108     163,876     9,290  SH      SOLE        1        9,290
YOUNG INNOVATIONS INC           COM         987520103     122,194     4,124  SH      SOLE        1        4,124
YPF SOCIEDAD ANONIMA            COM         984245100      17,340       500  SH      DEFINED     2                              500
YPF SOCIEDAD ANONIMA            COM         984245100      17,340       500  SH      DEFINED     3                              500
YRC WORLDWIDE INC               COM         984249607         160        16  SH      DEFINED     4                               16
YUM  BRANDS INC                 COM         988498101   8,068,260   136,727  SH      SOLE        1      136,727
YUM BRANDS INC                  COM         988498101     321,509     5,448  SH      DEFINED     2                            5,448
YUM BRANDS INC                  COM         988498101     638,677    10,823  SH      DEFINED     3                           10,823
YUM BRANDS INC                  COM         988498101     129,114     2,188  SH      DEFINED     4                            2,188
ZAGG INC                        COM         98884U108  27,163,025 3,842,012  SH      SOLE        1    3,842,012
ZALE CORP                       COM         988858106      97,799    25,669  SH      SOLE        1       25,669
ZALICUS INC                     COM         98887C105      65,720    54,314  SH      SOLE        1       54,314
ZEBRA TECHNOLOGIES CORP CL      COM         989207105   4,068,508   113,709  SH      SOLE        1      113,709
ZELTIQ AESTHETICS INC           COM         98933Q108      61,321     5,398  SH      SOLE        1        5,398
ZEP INC                         COM         98944B108     249,976    17,881  SH      SOLE        1       17,881
ZHONE TECHNOLOGIES INC NEW      COM         98950P884         421       475  SH      DEFINED     3                              475
ZHONGPIN INC                    COM         98952K107       1,704       200  SH      DEFINED     3                              200
ZILLOW INC                      COM         98954A107      67,440     3,000  SH      SOLE        1        3,000
ZILLOW INC                      COM         98954A107      11,240       500  SH      DEFINED     3                              500
ZIMMER HLDGS INC                COM         98956P102       6,838       128  SH      DEFINED     2                              128
ZIMMER HLDGS INC                COM         98956P102      29,060       544  SH      DEFINED     3                              544
ZIMMER HLDGS INC                COM         98956P102      51,230       959  SH      DEFINED     4                              959
ZIMMER HOLDINGS INC             COM         98956P102   3,147,293    58,916  SH      SOLE        1       58,916
ZION OIL & GAS INC              COM         989696109      12,851     5,815  SH      DEFINED     2                            5,815
ZION OIL & GAS INC              COM         989696125         135       270  SH      DEFINED     2                              270
ZION OIL & GAS INC              COM         989696109      42,136    19,066  SH      DEFINED     3                           19,066
ZION OIL & GAS INC              COM         989696125       1,626     3,252  SH      DEFINED     3                            3,252
ZION OIL & GAS INC              COM         989696133         764     3,182  SH      DEFINED     3                            3,182
ZION OIL + GAS INC              COM         989696109      49,024    22,183  SH      SOLE        1       22,183
ZIONS BANCORPORATION            COM         989701107     995,262    61,134  SH      SOLE        1       61,134
ZIOPHARM ONCOLOGY INC           COM         98973P101     188,461    42,735  SH      SOLE        1       42,735
ZIOPHARM ONCOLOGY INC           COM         98973P101      55,125    12,500  SH      DEFINED     4                           12,500
ZIPCAR INC                      COM         98974X103     100,395     7,481  SH      SOLE        1        7,481
ZIPCAR INC                      COM         98974X103         671        50  SH      DEFINED     3                               50
ZIX CORP                        COM         98974P100     136,747    48,492  SH      SOLE        1       48,492
ZIX CORP                        COM         98974P100      16,920     6,000  SH      DEFINED     3                            6,000
ZOGENIX INC                     COM         98978L105      34,597    15,445  SH      SOLE        1       15,445
ZOLL MEDICAL CORP               COM         989922109   1,129,406    17,876  SH      SOLE        1       17,876
ZOLTEK COMPANIES INC            COM         98975W104     154,595    20,288  SH      SOLE        1       20,288
ZUMIEZ INC                      COM         989817101     481,636    17,350  SH      SOLE        1       17,350
ZWEIG TOTAL RETURN FD INC       COM         989837109      16,695     5,510  SH      DEFINED     4                            5,510
ZYGO CORP                       COM         989855101     204,952    11,612  SH      SOLE        1       11,612