UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                              WASHINGTON D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for Calendar Year or Quarter Ended: MARCH 31, 2011

Check here if amendment [_] Amendment Number [_]

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

Institutional Investment Manager filing this report:

Name:     STATE STREET CORPORATION
Address:  ONE LINCOLN STREET
          BOSTON, MASSACHUSETTS 02111

Form 13F File Number: 28-00399

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

Person signing this report on behalf of the reporting manager:

Name:      JAMES J. MALERBA
Title      EXECUTIVE VICE PRESIDENT AND CORPORATE CONTROLLER
Telephone: 617-664-8697

Signature, Place, and Date of Signing:

 /s/ James J. Malerba        Boston, Massachusetts             May 4, 2011
----------------------   ------------------------------   ----------------------
     [Signature]                 [City, State]                    [Date]

Report Type (Check only one):

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

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

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




                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

Number of Other Included Managers:        12

Form 13F Information Table Entry Total:   3,676

Form 13F Information Table Value Total:   616,096,959 (thousands)

List of Other Included Managers:

Provide a numbered list of the names(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. [If there are no entries in this
list, state "NONE" and omit the column headings and list entries.]

      FORM 13F FILE
NO.   NUMBER         NAME
----  -------------  -----------------------------------------------
1     28-00733       State Street Bank and Trust Company
2     28-11338       SSgA Funds Management, Inc.
3     28-11339       Tuckerman Group, LLC
4     28-11328       Rexiter Capital Management LTD
5     28-11326       State Street Global Advisors LTD
6     28-11327       State Street Global Advisors Ltd.
8     28-11330       State Street Global Advisors, Australia
10    28-11332       State Street Global Advisors (Japan) Co., Ltd.
12    28-11331       State Street Global Advisors Asia LTD
13    28-11334       State Street Global Advisors GmbH
18    28-13812       State Street Global Advisors France, S.A.
19    00-00000       Bank of Ireland Asset Management Ltd




FORM 13F INFORMATION TABLE AS OF 3/31/2011



                                                       SHS/PRN  SH/  PUT/                                      SOLE    SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ADOBE SYSTEMS INC   Common equity 00724F101   618769   18660237 SH         DEFINED    1,2,5,6,8,10,12,18      18660237
                    shares
AGILENT             Common equity 00846U101   549795   12277702 SH         DEFINED    1,2,5,6,8,10,12,18      12277702
 TECHNOLOGIES INC   shares
ANALOG DEVICES      Common equity 032654105   440490   11185591 SH         DEFINED    1,2,5,6,8,10,12,17,18   11185591
                    shares
AON CORP            Common equity 037389103   836301   15791233 SH         DEFINED    1,2,5,6,8,10,12,17,18   15791233
                    shares
APOLLO GROUP INC    Common equity 037604105   192154    4606775 SH         DEFINED    1,2,5,6,8,10,12,18       4606775
 -CL A              shares
BB&T CORP           Common equity 054937107   780550   28435389 SH         DEFINED    1,2,5,6,8,10,12,18      28435389
                    shares
CARDINAL HEALTH INC Common equity 14149Y108   627264   15250839 SH         DEFINED    1,2,5,6,8,10,12,17,18   15250839
                    shares
CARMAX INC          Common equity 143130102   259014    8069097 SH         DEFINED    1,2,5,6,8,10,12,18       8069097
                    shares
CATERPILLAR INC     Common equity 149123101  8253000   74117663 SH         DEFINED    1,2,5,6,8,10,12,18      28925234      45192429
                    shares
CHUBB CORP          Common equity 171232101   814084   13278193 SH         DEFINED    1,2,5,6,8,10,12,17,18   13278193
                    shares
CIENA CORP          Common equity 171779309    66126    2547088 SH         DEFINED    1,2,5,6,8,12             2547088
                    shares
COMPUWARE CORP      Common equity 205638109    84011    7273899 SH         DEFINED    1,2,5,6,8,10,12          7273899
                    shares
CONAGRA FOODS INC   Common equity 205887102   543405   22879719 SH         DEFINED    1,2,5,6,8,10,12,18      22879719
                    shares
DANAHER CORP        Common equity 235851102  1018023   19614940 SH         DEFINED    1,2,5,6,8,10,12,18      19614940
                    shares
DARDEN RESTAURANTS  Common equity 237194105   264171    5376927 SH         DEFINED    1,2,5,6,8,10,12,17,18    5376927
 INC                shares
DEAN FOODS CO       Common equity 242370104    62264    6225989 SH         DEFINED    1,2,5,6,8,10,12,18       6225989
                    shares
DELL INC            Common equity 24702R101   951358   65565787 SH         DEFINED    1,2,5,6,8,10,12,18      65565787
                    shares
DONNELLEY (R R) &   Common Stock  257867101   165372    8741144 SH         DEFINED    1,2,5,6,8,10,12,18       8741144
 SONS CO
EATON CORP          Common equity 278058102   690200   12449494 SH         DEFINED    1,2,5,6,8,10,12,17,18   12449494
                    shares
DISH NETWORK CORP   Common equity 25470M109   105980    4350291 SH         DEFINED    1,2,5,6,8,10,12,18       4350291
                    shares
ECOLAB INC          Common equity 278865100   509406    9984343 SH         DEFINED    1,2,5,6,8,10,12,18,19    9388897
                    shares
FIRSTENERGY CORP    Common equity 337932107  1081036   29146155 SH         DEFINED    1,2,5,6,8,10,12,18,19   28258316
                    shares
FOOT LOCKER INC     Common equity 344849104    99960    5069197 SH         DEFINED    1,2,5,6,8,12             5069197
                    shares
FORD MOTOR CO       Common equity 345370860  1910979  128167668 SH         DEFINED    1,2,5,6,8,10,12,18     128167668
                    shares
INTEL CORP          Common equity 458140100  4225078  209473716 SH         DEFINED    1,2,5,6,8,10,12,17,18   207074291
                    shares                                                            ,19
LIFE TECHNOLOGIES   Common equity 53217V109   348069    6639778 SH         DEFINED    1,2,5,6,8,10,12,18       6639778
 CORP               shares
KELLOGG CO          Common equity 487836108   504331    9342835 SH         DEFINED    1,2,5,6,8,10,12,17,18    9342835
                    shares
KROGER CO           Common equity 501044101   608628   25391354 SH         DEFINED    1,2,5,6,8,10,12,17,18   25391354
                    shares
LEGG MASON INC      Common equity 524901105   215674    5976176 SH         DEFINED    1,2,5,6,8,10,12,18       5976176
                    shares
LINEAR TECHNOLOGY   Common equity 535678106   288877    8589866 SH         DEFINED    1,2,5,6,8,10,12,17,18    8589866
 CORP               shares
LOWE`S COMPANIES    Common equity 548661107  1466864   55499714 SH         DEFINED    1,2,5,6,8,10,12,18,19   52256438
 INC                shares
MANPOWERGROUP       Common equity 56418H100   173327    2756423 SH         DEFINED    1,2,5,6,8,10,12,18       2756423
                    shares
MARATHON OIL CORP   Common equity 565849106  1743640   32707580 SH         DEFINED    1,2,5,6,8,10,12,17,18   32707580
                    shares
MARSHALL & ILSLEY   Common equity 571837103   167832   21005553 SH         DEFINED    1,2,5,6,8,10,12,18      21005553
 CORP               shares
MARVELL TECHNOLOGY  Common equity G5876H105   149800    9633638 SH         DEFINED    1,2,5,6,8,10,12,18       9633638
 GROUP LTD          shares
MAXIM INTEGRATED    Common Stock  57772K101   144096    5628907 SH         DEFINED    1,2,5,6,8,10,12,18       5628907
 PRODUCTS
MCDONALD`S CORP     Common equity 580135101  3344880   43959575 SH         DEFINED    1,2,5,6,8,10,12,17,18   43947762
                    shares                                                            ,19
MEDCO HEALTH        Common equity 58405U102   846298   15069518 SH         DEFINED    1,2,5,6,8,10,12,18      15069518
 SOLUTIONS INC      shares
MEDTRONIC INC       Common equity 585055106  1525313   38762600 SH         DEFINED    1,2,5,6,8,10,12,18      38762600
                    shares
MICROCHIP           Common equity 595017104   265387    6982181 SH         DEFINED    1,2,5,6,8,10,12,17,18    6982181
 TECHNOLOGY INC     shares
MONSANTO CO         Common equity 61166W101  1515064   20966776 SH         DEFINED    1,2,5,6,8,10,12,18      20966776
                    shares
MOTOROLA SOLUTIONS  Common equity 620076307   549580   12297720 SH         DEFINED    1,2,5,6,8,10,12,18      12297720
 INC                shares
NATIONAL            Common equity 637640103   137273    9572516 SH         DEFINED    1,2,5,6,8,10,12,18       9572516
 SEMICONDUCTOR CORP shares
NEW YORK CMNTY      Common equity 649445103   307221   17799620 SH         DEFINED    1,2,5,6,8,10,12,18      17799620
 BANCORP INC        shares
NEW YORK TIMES CO   Common equity 650111107    33199    3505617 SH         DEFINED    1,2,5,6,8,12             3505617
 -CL A              shares
NORTHROP GRUMMAN    Common equity 666807102  2084133   33234433 SH         DEFINED    1,2,5,6,8,10,12,17,18   32528551
 CORP               shares                                                            ,19
NVIDIA CORP         Common equity 67066G104   389197   21082952 SH         DEFINED    1,2,5,6,8,10,12,18      21082952
                    shares
OLD REPUBLIC INTL   Common equity 680223104   102486    8076154 SH         DEFINED    1,2,5,6,8,10,12,18       8076154
 CORP               shares
OMNICARE INC        Common equity 681904108   109478    3650266 SH         DEFINED    1,2,5,6,8,10,12,18       3650266
                    shares
PATTERSON COMPANIES Common equity 703395103   113362    3521617 SH         DEFINED    1,2,5,6,8,10,12,18       3521617
 INC                shares
PEPCO HOLDINGS INC  Common equity 713291102   198352   10635327 SH         DEFINED    1,2,5,6,8,10,12,17,18   10635327
                    shares
PETSMART INC        Common equity 716768106   171121    4178665 SH         DEFINED    1,2,5,6,8,10,12,18       4178665
                    shares
PIONEER NATURAL     Common equity 723787107   599123    5878502 SH         DEFINED    1,2,5,6,8,10,12,17,18    5876512          1990
 RESOURCES CO       shares
PMI GROUP INC       Common equity 69344M101     8022    2969740 SH         DEFINED    1,2,5,6,8                2969740
                    shares
RADIAN GROUP INC    Common equity 750236101    18884    2772553 SH         DEFINED    1,2,5,6,8                2772553
                    shares
RENAISSANCERE       Common equity G7496G103    76138    1103637 SH         DEFINED    1,2,5,6,8,10,12,17,18    1103637
 HOLDINGS LTD       shares
REPUBLIC SERVICES   Common equity 760759100   353097   11754351 SH         DEFINED    1,2,5,6,8,10,12,17,18   11754351
 INC                shares
ROSS STORES INC     Common equity 778296103   330032    4640370 SH         DEFINED    1,2,5,6,8,10,12,18       4640370
                    shares
SANDISK CORP        Common equity 80004C101   387183    8400660 SH         DEFINED    1,2,5,6,8,10,12,18       8400660
                    shares
SCANA CORP          Common equity 80589M102   201110    5108070 SH         DEFINED    1,2,5,6,8,10,12,18       5108070
                    shares
SPX CORP            Common equity 784635104   135469    1706190 SH         DEFINED    1,2,5,6,8,10,12,18       1706190
                    shares
SYNOPSYS INC        Common equity 871607107   130016    4702520 SH         DEFINED    1,2,5,6,8,10,12,17,18    4702520
                    shares
TCF FINANCIAL CORP  Common equity 872275102    76605    4829981 SH         DEFINED    1,2,5,6,8,12             4829981
                    shares
TELEPHONE & DATA    Common equity 879433100   100377    2978607 SH         DEFINED    1,2,5,6,8,10,12,17,18    2978607
 SYSTEMS INC        shares
3M CO               Common equity 88579Y101  4913101   52546526 SH         DEFINED    1,2,5,6,8,10,12,17,18   51992890        553636
                    shares
ABBOTT LABORATORIES Common equity 002824100  2849156   58086761 SH         DEFINED    1,2,5,6,8,10,12,17,18   58069703
                    shares                                                            ,19
ACCENTURE PLC       Common equity G1151C101   613155   11154466 SH         DEFINED    1,2,5,6,8,10,12,18,19   10504297
                    shares
AES CORP            Common equity 00130H105   397766   30597033 SH         DEFINED    1,2,5,6,8,10,12,18      30597033
                    shares
AMERICAN            Common equity 026874784   184629    5253858 SH         DEFINED    1,2,5,6,8,10,12,18       5253858
 INTERNATIONAL      shares
 GROUP
ANADARKO PETROLEUM  Common equity 032511107  1836791   22421766 SH         DEFINED    1,2,5,6,8,10,12,18      22421766
 CORP               shares
ARCHER-DANIELS-     Common equity 039483102   960499   26672808 SH         DEFINED    1,2,5,6,8,10,12,18      26672808
 MIDLAND CO         shares
AUTOZONE INC        Common equity 053332102   286786    1048360 SH         DEFINED    1,2,5,6,8,10,12,17,18    1048360
                    shares
BALL CORP           Common equity 058498106   261161    7285036 SH         DEFINED    1,2,5,6,8,10,12,18       7285036
                    shares
BANK OF AMERICA     Common equity 060505104  6120338  459140568 SH         DEFINED    1,2,5,6,8,10,12,18,19  453817055
 CORP               shares
BANK OF NEW YORK    Common equity 064058100  1445976   48408792 SH         DEFINED    1,2,5,6,8,10,12,17,18   48408792
 MELLON CORP        shares
BED BATH & BEYOND   Common equity 075896100   479128    9925934 SH         DEFINED    1,2,5,6,8,10,12,18       9925934
 INC                shares
BOEING CO           Common equity 097023105  2335422   31589725 SH         DEFINED    1,2,5,6,8,10,12,18      31589725
                    shares
BOSTON PROPERTIES   Real Estate   101121101   657085    6927668 SH         DEFINED    1,2,3,5,6,8,10,12,18     6927668
 INC                Investment
                    Trust
CABLEVISION SYS     Common equity 12686C109   303602    8772129 SH         DEFINED    1,2,5,6,8,10,12,18       8772129
 CORP  -CL A        shares
CAREER EDUCATION    Common equity 141665109    40765    1794461 SH         DEFINED    1,2,5,6,8,12             1794461
 CORP               shares
CINCINNATI          Common equity 172062101   360955   11004811 SH         DEFINED    1,2,5,6,8,10,12,18      11004811
 FINANCIAL CORP     shares
CITIGROUP INC       Common equity 172967101  4832666 1093363766 SH         DEFINED    1,2,5,6,8,10,12,18,19 1093045450
                    shares
CLOROX CO/DE        Common equity 189054109   487178    6952921 SH         DEFINED    1,2,5,6,8,10,12,18       6952921
                    shares
COACH INC           Common equity 189754104   556464   10692889 SH         DEFINED    1,2,5,6,8,10,12,18      10692889
                    shares
COMPUTER SCIENCES   Common equity 205363104   304523    6249180 SH         DEFINED    1,2,5,6,8,10,12,18,19    5850525
 CORP               shares
CONVERGYS CORP      Common equity 212485106    45818    3190786 SH         DEFINED    1,2,5,6,8,12             3190786
                    shares
DISNEY (WALT) CO    Common equity 254687106  3120205   72411315 SH         DEFINED    1,2,5,6,8,10,12,18,19   72389928
                    shares
DST SYSTEMS INC     Common equity 233326107    53899    1020500 SH         DEFINED    1,2,5,6,8,10,12,18       1020500
                    shares
DTE ENERGY CO       Common equity 233331107   382742    7817590 SH         DEFINED    1,2,5,6,8,10,12,17,18    7817590
                    shares
DUN & BRADSTREET    Common equity 26483E100   147258    1835420 SH         DEFINED    1,2,5,6,8,10,12,17,18    1835420
 CORP               shares
EVEREST RE GROUP    Common equity G3223R108   168603    1911981 SH         DEFINED    1,2,5,6,8,10,12,17,18    1911981
 LTD                shares
EXPRESS SCRIPTS INC Common equity 302182100  1042540   18747410 SH         DEFINED    1,2,5,6,8,10,12,17,18   18744030          3380
                    shares
FIRST HORIZON       Common equity 320517105   112056    9995575 SH         DEFINED    1,2,5,6,8,10,12          9995575
 NATIONAL CORP      shares
FLEXTRONICS         Common Stock  Y2573F102    66232    8866745 SH         DEFINED    1,2,5,6,8,10,12,18       8866745
 INTERNATIONAL
FLUOR CORP          Common equity 343412102   481289    6533911 SH         DEFINED    1,2,5,6,8,10,12,18       6533911
                    shares
FORTUNE BRANDS INC  Common equity 349631101   330304    5336990 SH         DEFINED    1,2,5,6,8,10,12,18,19    5245348
                    shares
GENUINE PARTS CO    Common equity 372460105   421131    7851201 SH         DEFINED    1,2,5,6,8,10,12,18       7851201
                    shares
GOLDMAN SACHS GROUP Common equity 38141G104  3287350   20744311 SH         DEFINED    1,2,5,6,8,10,12,18,19   20738669
 INC                shares
HARTFORD FINANCIAL  Common equity 416515104   719631   26722369 SH         DEFINED    1,2,5,6,8,10,12,18,19   25130139
 SERVICES           shares
HEALTH MANAGEMENT   Common equity 421933102    78326    7185780 SH         DEFINED    1,2,5,6,8,12             7185780
 ASSOC              shares
HERSHEY CO          Common equity 427866108   322042    5925385 SH         DEFINED    1,2,5,6,8,10,12,18       5925385
                    shares
HOME DEPOT INC      Common equity 437076102  2392819   64565958 SH         DEFINED    1,2,5,6,8,10,12,18      64565958
                    shares
HOST HOTELS &       Real Estate   44107P104   589523   33476657 SH         DEFINED    1,2,3,5,6,8,10,12,18    33476657
 RESORTS INC        Investment
                    Trust
ILLINOIS TOOL WORKS Common equity 452308109   920509   17135331 SH         DEFINED    1,2,5,6,8,10,12,18,19   17087335
                    shares
INTL FLAVORS &      Common equity 459506101   220408    3537774 SH         DEFINED    1,2,5,6,8,10,12,18,19    3137086
 FRAGRANCES         shares
INTUIT INC          Common equity 461202103   568163   10699817 SH         DEFINED    1,2,5,6,8,10,12,17,18   10699817
                    shares
ISTAR FINANCIAL INC Real Estate   45031U101    18533    2018906 SH         DEFINED    1,2,5,6,8                2018906
                    Investment
                    Trust
JABIL CIRCUIT INC   Common equity 466313103   137962    6752795 SH         DEFINED    1,2,5,6,8,10,12          6752795
                    shares
JOHNSON CONTROLS    Common equity 478366107   971035   23359130 SH         DEFINED    1,2,5,6,8,10,12,18      23359130
 INC                shares
JONES GROUP INC     Common equity 48020T101    30045    2184767 SH         DEFINED    1,2,5,6,8                2184767
                    shares
JPMORGAN CHASE & CO Common equity 46625H100  7532448  163393908 SH         DEFINED    1,2,5,6,8,10,12,17,18  160889782          4120
                    shares                                                            ,19
LABORATORY CP OF    Common equity 50540R409   337428    3662593 SH         DEFINED    1,2,5,6,8,10,12,18       3662593
 AMER HLDGS         shares
LAUDER (ESTEE) COS  Common equity 518439104   407344    4227377 SH         DEFINED    1,2,5,6,8,10,12,18       4227377
 INC -CL A          shares
LILLY (ELI) & CO    Common equity 532457108  1355098   38529963 SH         DEFINED    1,2,5,6,8,10,12,17,18   38447080
                    shares                                                            ,19
LIMITED BRANDS INC  Common equity 532716107   350733   10666984 SH         DEFINED    1,2,5,6,8,10,12,18      10666984
                    shares
MCCORMICK & CO INC  Common equity 579780206   322069    6733732 SH         DEFINED    1,2,5,6,8,10,12,17,18    6733732
                    shares
MOODY`S CORP        Common equity 615369105   259447    7650939 SH         DEFINED    1,2,5,6,8,10,12,17,18    7650939
                    shares
AFLAC INC           Common equity 001055102  1008246   19102865 SH         DEFINED    1,2,5,6,8,10,12,17,18   19102865
                    shares
AIR PRODUCTS &      Common equity 009158106   856857    9501803 SH         DEFINED    1,2,5,6,8,10,12,18       9501803
 CHEMICALS INC      shares
AMERICAN EXPRESS CO Common equity 025816109  2032303   44962566 SH         DEFINED    1,2,5,6,8,10,12,18      44962566
                    shares
AMERISOURCEBERGEN   Common equity 03073E105   413779   10459466 SH         DEFINED    1,2,5,6,8,10,12,17,18   10459466
 CORP               shares
AMGEN INC           Common equity 031162100  1979676   37037904 SH         DEFINED    1,2,5,6,8,10,12,18,19   35985490
                    shares
APACHE CORP         Common equity 037411105  2080913   15894501 SH         DEFINED    1,2,5,6,8,10,12,18      15894501
                    shares
APARTMENT INVST &   Real Estate   03748R101   132403    5198575 SH         DEFINED    1,2,3,5,6,8,10,12        5198575
 MGMT CO            Investment
                    Trust
AVERY DENNISON CORP Common equity 053611109   172639    4114215 SH         DEFINED    1,2,5,6,8,10,12,17,18    4110245          3970
                    shares
AVON PRODUCTS       Common equity 054303102   478094   17681045 SH         DEFINED    1,2,5,6,8,10,12,18,19   15702112
                    shares
BIOGEN IDEC INC     Common equity 09062X103   711411    9693458 SH         DEFINED    1,2,5,6,8,10,12,18       9693458
                    shares
BLOCK H & R INC     Common equity 093671105   184295   11008660 SH         DEFINED    1,2,5,6,8,10,12,18      11008660
                    shares
BMC SOFTWARE INC    Common Stock  055921100   339844    6832451 SH         DEFINED    1,2,5,6,8,10,12,17,18    6832451
BRINKER INTL INC    Common equity 109641100    65464    2587419 SH         DEFINED    1,2,5,6,8,12,17          2587419
                    shares
AVIS BUDGET GROUP   Common Stock  053774105    44353    2476699 SH         DEFINED    1,2,5,6,8                2476699
 INC
CA INC              Common equity 12673P105   409358   16929245 SH         DEFINED    1,2,5,6,8,10,12,17,18   15282352
                    shares                                                            ,19
CAMERON             Common equity 13342B105   631102   11052665 SH         DEFINED    1,2,5,6,8,10,12,18      11052665
 INTERNATIONAL CORP shares
CSX CORP            Common equity 126408103  1108185   14098947 SH         DEFINED    1,2,5,6,8,10,12,17,18   14098947
                    shares
D R HORTON INC      Common equity 23331A109   149604   12841463 SH         DEFINED    1,2,5,6,8,10,12,18      12841463
                    shares
DOVER CORP          Common equity 260003108   522036    7940844 SH         DEFINED    1,2,5,6,8,10,12,17,18    7940844
                    shares
DOW CHEMICAL        Common equity 260543103  1746415   46262540 SH         DEFINED    1,2,5,6,8,10,12,18      46262540
                    shares
DUKE REALTY CORP    Real Estate   264411505   158308   11299997 SH         DEFINED    1,2,3,5,6,8,10,12,18    11299997
                    Investment
                    Trust
EMERSON ELECTRIC CO Common equity 291011104  1667856   28544591 SH         DEFINED    1,2,5,6,8,10,12,18      28544591
                    shares
EQUITY RESIDENTIAL  Real Estate   29476L107   798512   14155586 SH         DEFINED    1,2,3,5,6,8,10,12,18    14155586
                    Investment
                    Trust
EXPEDITORS INTL     Common equity 302130109   379635    7571603 SH         DEFINED    1,2,5,6,8,10,12,18       7571603
 WASH INC           shares
FRANKLIN RESOURCES  Common equity 354613101   717706    5737842 SH         DEFINED    1,2,5,6,8,10,12,17,18    5736082          1760
 INC                shares
GENERAL ELECTRIC CO Common equity 369604103  7967648  397388360 SH         DEFINED    1,2,5,6,8,10,12,18,19  395977994
                    shares
GENERAL MILLS INC   Common equity 370334104  1475429   40367304 SH         DEFINED    1,2,5,6,8,10,12,17,18   40367304
                    shares
HASBRO INC          Common Stock  418056107   217533    4644275 SH         DEFINED    1,2,5,6,8,10,12,18       4644275
HONEYWELL           Common equity 438516106  4664671   78121965 SH         DEFINED    1,2,5,6,8,10,12,18      78121965
 INTERNATIONAL INC  shares
INTERPUBLIC GROUP   Common equity 460690100   223861   17809199 SH         DEFINED    1,2,5,6,8,10,12,18      17809199
 OF COS             shares
LENNAR CORP         Common equity 526057104   117217    6468987 SH         DEFINED    1,2,5,6,8,10,12          6468987
                    shares
LEVEL 3             Common equity 52729N100    32032   21789469 SH         DEFINED    1,2,5,6,8,18            21789469
 COMMUNICATIONS INC shares
LSI CORP            Common equity 502161102   172269   25334104 SH         DEFINED    1,2,5,6,8,10,12,18      25334104
                    shares
MERCK & CO          Common equity 58933Y105  3868943  117204967 SH         DEFINED    1,2,5,6,8,10,12,17,18  117204967
                    shares
MOHAWK INDUSTRIES   Common equity 608190104   137603    2250395 SH         DEFINED    1,2,5,6,8,10,12,18       2250395
 INC                shares
MORGAN STANLEY      Common equity 617446448  4789626  175315735 SH         DEFINED    1,2,5,6,8,10,12,18,19  173592548        325726
                    shares
ADVANCED MICRO      Common equity 007903107   218759   25436506 SH         DEFINED    1,2,5,6,8,10,12,18,19   21794754
 DEVICES            shares
AMAZON.COM INC      Common equity 023135106  2262929   12562820 SH         DEFINED    1,2,5,6,8,10,12,18      12562820
                    shares
AMEREN CORP         Common equity 023608102   306783   10929283 SH         DEFINED    1,2,5,6,8,10,12,17,18   10929283
                    shares
AVALONBAY           Real Estate   053484101   510729    4253340 SH         DEFINED    1,2,3,5,6,8,10,12,18     4253340
 COMMUNITIES INC    Investment
                    Trust
BARD (C.R.) INC     Common equity 067383109   329361    3316442 SH         DEFINED    1,2,5,6,8,10,12,17,18    3316442
                    shares
BECTON DICKINSON &  Common equity 075887109  1071231   13454246 SH         DEFINED    1,2,5,6,8,10,12,17,18   13330844        123402
 CO                 shares
BOSTON SCIENTIFIC   Common equity 101137107   385351   53594292 SH         DEFINED    1,2,5,6,8,10,12,18      53594292
 CORP               shares
BRUNSWICK CORP      Common equity 117043109    49421    1943291 SH         DEFINED    1,2,5,6,8                1943291
                    shares
CAMPBELL SOUP CO    Common equity 134429109   236112    7131157 SH         DEFINED    1,2,5,6,8,10,12,17,18    7131157
                    shares
CARNIVAL CORP/PLC   Composition   143658300   589327   15362881 SH         DEFINED    1,2,5,6,8,10,12,18      15362881
 (USA)              of more than
                    1 security
CHEVRON CORP        Common equity 166764100 11188088  104142986 SH         DEFINED    1,2,5,6,8,10,12,17,18  103193712
                    shares                                                            ,19
CHICOS FAS INC      Common equity 168615102    86200    5785545 SH         DEFINED    1,2,5,6,8,12,17          5774735         10810
                    shares
COMCAST CORP        Common equity 20030N101  2390003   96682999 SH         DEFINED    1,2,5,6,8,10,12,17,18   95370368
                    shares                                                            ,19
CONSOLIDATED EDISON Common equity 209115104   847489   16709299 SH         DEFINED    1,2,5,6,8,10,12,17,18   16709299
 INC                shares
DEERE & CO          Common equity 244199105  1490671   15385108 SH         DEFINED    1,2,5,6,8,10,12,18      15385108
                    shares
DU PONT (E I) DE    Common equity 263534109  2347244   42700408 SH         DEFINED    1,2,5,6,8,10,12,18      42700408
 NEMOURS            shares
EASTMAN KODAK CO    Common equity 277461109    32547   10075720 SH         DEFINED    1,2,5,6,8,12            10075720
                    shares
EDISON              Common equity 281020107  1264796   34566529 SH         DEFINED    1,2,5,6,8,10,12,17,18   33656708
 INTERNATIONAL      shares                                                            ,19
ENCANA CORP         Common equity 292505104      737      21329 SH         DEFINED    1,2                        21329
                    shares
FIFTH THIRD BANCORP Common equity 316773100   567381   40878179 SH         DEFINED    1,2,5,6,8,10,12,17,18   40878179
                    shares
NEXTERA ENERGY INC  Common equity 65339F101   996958   18086962 SH         DEFINED    1,2,5,6,8,10,12,18      18086962
                    shares
FREEPORT-MCMORAN    Common equity 35671D857  2150137   38706522 SH         DEFINED    1,2,5,6,8,10,12,17,18   38706522
 COP&GOLD           shares
GANNETT CO          Common equity 364730101   116922    7677165 SH         DEFINED    1,2,5,6,8,10,12          7677165
                    shares
GENERAL DYNAMICS    Common equity 369550108  1020734   13332525 SH         DEFINED    1,2,5,6,8,10,12,18      13332525
 CORP               shares
GENERAL GROWTH      Real Estate   370023103   171762   11095721 SH         DEFINED    1,2,3,5,6,8,10,12,18    11095721
 PPTYS INC          Investment
                    Trust
GENZYME CORP        Common equity 372917104   723264    9497832 SH         DEFINED    1,2,5,6,8,10,12,18       9497832
                    shares
HARLEY-DAVIDSON INC Common equity 412822108   344067    8097832 SH         DEFINED    1,2,5,6,8,10,12,18       8097832
                    shares
HEALTH NET INC      Common equity 42222G108    87112    2664012 SH         DEFINED    1,2,5,6,8,10,12          2664012
                    shares
HOSPIRA INC         Common equity 441060100   340041    6160188 SH         DEFINED    1,2,5,6,8,10,12,18       6160188
                    shares
INTL BUSINESS       Common equity 459200101 10559106   64751996 SH         DEFINED    1,2,5,6,8,10,12,17,18   64738119
 MACHINES CORP      shares                                                            ,19
JDS UNIPHASE CORP   Common equity 46612J507   147654    7085142 SH         DEFINED    1,2,5,6,8,10,12          7085142
                    shares
JUNIPER NETWORKS    Common Stock  48203R104   804658   19122154 SH         DEFINED    1,2,5,6,8,10,12,18      19122154
 INC
KIMCO REALTY CORP   Real Estate   49446R109   369117   20125937 SH         DEFINED    1,2,3,5,6,8,10,12,18    20125937
                    Investment
                    Trust
KLA-TENCOR CORP     Common equity 482480100   306543    6471145 SH         DEFINED    1,2,5,6,8,10,12,18       6471145
                    shares
LEGGETT & PLATT INC Common equity 524660107   341343   13932303 SH         DEFINED    1,2,5,6,8,10,12,18      13932303
                    shares
LEXMARK INTL INC    Common equity 529771107    99829    2695137 SH         DEFINED    1,2,5,6,8,10,12,17       2695137
 -CL A              shares
LIBERTY PROPERTY    Real Estate   531172104   161465    4907656 SH         DEFINED    1,2,3,5,6,8,10,12,18     4907656
 TRUST              Investment
                    Trust
MICRON TECHNOLOGY   Common Stock  595112103   366356   31968153 SH         DEFINED    1,2,5,6,8,10,12,18      31968153
 INC
PUBLIC STORAGE      Real Estate   74460D109   765051    6898037 SH         DEFINED    1,2,3,5,6,8,10,12,18     6898037
                    Investment
                    Trust
TYSON FOODS INC     Common equity 902494103   242454   12634617 SH         DEFINED    1,2,5,6,8,10,12,18      12634617
 -CL A              shares
VARIAN MEDICAL      Common equity 92220P105   297026    4391179 SH         DEFINED    1,2,5,6,8,10,12,18       4391179
 SYSTEMS INC        shares
VERISIGN INC        Common equity 92343E102   240049    6629502 SH         DEFINED    1,2,5,6,8,10,12,18       6629502
                    shares
VORNADO REALTY      Real Estate   929042109   730666    8350335 SH         DEFINED    1,2,3,5,6,8,10,12,18     8350335
 TRUST              Investment
                    Trust
WASHINGTON POST     Common equity 939640108   107640     245962 SH         DEFINED    1,2,5,6,8,10,12,18        245962
 -CL B              shares
WEATHERFORD         Common equity H27013103   289260   12799289 SH         DEFINED    1,2,5,6,8,10,12,18      12799289
 INTERNATIONAL      shares
WHOLE FOODS MARKET  Common equity 966837106   361107    5479591 SH         DEFINED    1,2,5,6,8,10,12,17,18    5479591
 INC                shares
WISCONSIN ENERGY    Common equity 976657106   318524   10443041 SH         DEFINED    1,2,5,6,8,10,12,17,18   10443041
 CORP               shares
ALTERA CORP         Common equity 021441100   500094   11360676 SH         DEFINED    1,2,5,6,8,10,12,18      11360676
                    shares
ALTRIA GROUP INC    Common equity 02209S103  2204144   84677360 SH         DEFINED    1,2,5,6,8,10,12,17,18   84677360
                    shares
HESS CORP           Common equity 42809H107  1150654   13503775 SH         DEFINED    1,2,5,6,8,10,12,18      13503775
                    shares
AMERICAN AXLE & MFG Common equity 024061103    15258    1211771 SH         DEFINED    1,2,5,6,8                1211771
 HOLDINGS           shares
AMERN EAGLE         Common equity 02553E106   106653    6711699 SH         DEFINED    1,2,5,6,8,10,12,18       6711699
 OUTFITTERS INC     shares
WELLPOINT INC       Common equity 94973V107  1311436   18791039 SH         DEFINED    1,2,5,6,8,10,12,18      18791039
                    shares
AVNET INC           Common equity 053807103   166003    4869851 SH         DEFINED    1,2,5,6,8,10,12,18       4869851
                    shares
BARNES & NOBLE INC  Common equity 067774109    20830    2266818 SH         DEFINED    1,2,5,6,8,12             2266818
                    shares
CAPITAL ONE         Common equity 14040H105   997538   19198338 SH         DEFINED    1,2,5,6,8,10,12,18      19198338
 FINANCIAL CORP     shares
CHARLES RIVER LABS  Common equity 159864107    57563    1499712 SH         DEFINED    1,2,5,6,8,10,12,18       1499712
 INTL INC           shares
CIGNA CORP          Common equity 125509109   489577   11056343 SH         DEFINED    1,2,5,6,8,10,12,18,19   10296478
                    shares
CON-WAY INC         Common equity 205944101    57994    1476079 SH         DEFINED    1,2,5,6,8,12             1476079
                    shares
COVENTRY HEALTH     Common equity 222862104   174079    5458574 SH         DEFINED    1,2,5,6,8,10,12,18       5458574
 CARE INC           shares
DORAL FINANCIAL     Common equity 25811P886      408     370387 SH         DEFINED    1,2,6                     370387
 CORP               shares
EXELON CORP         Common equity 30161N101  1224637   29695402 SH         DEFINED    1,2,5,6,8,10,12,18      29695402
                    shares
KIMBERLY-CLARK CORP Common equity 494368103  1135075   17390650 SH         DEFINED    1,2,5,6,8,10,12,17,18   17390650
                    shares
TORONTO DOMINION    Common equity 891160509     2101      23719 SH         DEFINED    1,10                       23719
 BANK               shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
AETNA INC           Common equity 00817Y108   890814   23799251 SH         DEFINED    1,2,5,6,8,10,12,18      23799251
                    shares
ALLSTATE CORP       Common equity 020002101   654509   20594963 SH         DEFINED    1,2,5,6,8,10,12,18      20594963
                    shares
APPLIED MATERIALS   Common equity 038222105   797315   51044407 SH         DEFINED    1,2,5,6,8,10,12,18      51044407
 INC                shares
BAKER HUGHES INC    Common equity 057224107  1351526   18405678 SH         DEFINED    1,2,5,6,8,10,12,18      18405678
                    shares
CADENCE DESIGN      Common equity 127387108    73409    7529519 SH         DEFINED    1,2,5,6,8,10,12          7529519
 SYSTEMS INC        shares
CONSTELLATION       Common equity 210371100   275158    8839314 SH         DEFINED    1,2,5,6,8,10,12,18       8839314
 ENERGY GRP INC     shares
CORNING INC         Common equity 219350105  1158981   56179398 SH         DEFINED    1,2,5,6,8,10,12,18      56179398
                    shares
CVS CAREMARK CORP   Common equity 126650100  1728934   50376761 SH         DEFINED    1,2,5,6,8,10,12,18      50376761
                    shares
DIRECTV             Common equity 25490A101  1616091   34531640 SH         DEFINED    1,2,5,6,8,10,12,17,18   34527470          4170
                    shares
EL PASO CORP        Common equity 28336L109   580123   32229056 SH         DEFINED    1,2,5,6,8,10,12,18      32229056
                    shares
ENERGIZER HOLDINGS  Common equity 29266R108   168275    2364720 SH         DEFINED    1,2,5,6,8,10,12,18       2364720
 INC                shares
EQUIFAX INC         Common equity 294429105   225029    5792287 SH         DEFINED    1,2,5,6,8,10,12,18,19    4677968
                    shares
FISERV INC          Common equity 337738108   362034    5772371 SH         DEFINED    1,2,5,6,8,10,12,18       5772371
                    shares
HALLIBURTON CO      Common equity 406216101  1884848   37817914 SH         DEFINED    1,2,5,6,8,10,12,18      37817914
                    shares
HUNTINGTON          Common equity 446150104   279149   42040901 SH         DEFINED    1,2,5,6,8,10,12         42040901
 BANCSHARES         shares
INTL GAME           Common equity 459902102   175518   10814716 SH         DEFINED    1,2,5,6,8,10,12,18      10814716
 TECHNOLOGY         shares
ITT CORP            Common equity 450911102   477341    7949147 SH         DEFINED    1,2,5,6,8,10,12,18,19    7126125
                    shares
LIBERTY GLOBAL INC  Common equity 530555101   138637    3347637 SH         DEFINED    1,2,5,6,8,10,12,18       3347637
                    shares
LIZ CLAIBORNE INC   Common equity 539320101    10978    2036552 SH         DEFINED    1,2,5,6,8                2036552
                    shares
MICROSOFT CORP      Common equity 594918104  7326523  288900714 SH         DEFINED    1,2,5,6,8,10,12,17,18  284236241
                    shares                                                            ,19
ALCOA INC           Common equity 013817101   883808   50074632 SH         DEFINED    1,2,5,6,8,10,12,18      50074632
                    shares
FIDELITY NATIONAL   Common equity 31620M106   316320    9676538 SH         DEFINED    1,2,5,6,8,10,12,18       9676538
 INFO SVCS          shares
COSTCO WHOLESALE    Common equity 22160K105  1186153   16177794 SH         DEFINED    1,2,5,6,8,10,12,17,18   16177794
 CORP               shares
DOMINION RESOURCES  Common equity 25746U109  1134440   25379084 SH         DEFINED    1,2,5,6,8,10,12,18      25379084
 INC                shares
ELECTRONIC ARTS INC Common equity 285512109   230518   11802823 SH         DEFINED    1,2,5,6,8,10,12,18      11802823
                    shares
FEDEX CORP          Common equity 31428X106  1082913   11575861 SH         DEFINED    1,2,5,6,8,10,12,18      11575861
                    shares
HARMAN              Common equity 413086109   108058    2308082 SH         DEFINED    1,2,5,6,8,10,12,17       2308082
 INTERNATIONAL INDS shares
HEWLETT-PACKARD CO  Common equity 428236103  4429431  108114112 SH         DEFINED    1,2,5,6,8,10,12,18,19  106885359
                    shares
HILL-ROM HOLDINGS   Common equity 431475102    73395    1932316 SH         DEFINED    1,2,5,6,8,12,17          1932316
 INC                shares
INTL PAPER CO       Common equity 460146103  1022235   33871441 SH         DEFINED    1,2,5,6,8,10,12,18      33871441
                    shares
KRAFT FOODS INC     Common equity 50075N104  2692933   85871509 SH         DEFINED    1,2,5,6,8,10,12,17,18   84055888
                    shares                                                            ,19
LINCARE HOLDINGS    Common equity 532791100    79077    2666001 SH         DEFINED    1,2,5,6,8,12             2666001
 INC                shares
LINCOLN NATIONAL    Common equity 534187109   371354   12362428 SH         DEFINED    1,2,5,6,8,10,12,18      12362428
 CORP               shares
MARSH & MCLENNAN    Common equity 571748102   607216   20369169 SH         DEFINED    1,2,5,6,8,10,12,18      20369169
 COS                shares
METLIFE INC         Common equity 59156R108  1877006   41963089 SH         DEFINED    1,2,5,6,8,10,12,18,19   40632869
                    shares
ALBERTO-CULVER CO   Common equity 013078100    84987    2280581 SH         DEFINED    1,2,5,6,8,12,17          2280581
                    shares
ALLEGHENY           Common equity 01741R102   302056    4460369 SH         DEFINED    1,2,5,6,8,10,12,18       4460369
 TECHNOLOGIES INC   shares
ALLERGAN INC        Common equity 018490102   773473   10890969 SH         DEFINED    1,2,5,6,8,10,12,18      10890969
                    shares
AMERICAN ELECTRIC   Common equity 025537101   752759   21421916 SH         DEFINED    1,2,5,6,8,10,12,18      21421916
 POWER CO           shares
APPLE INC           Common equity 037833100 12116691   34773139 SH         DEFINED    1,2,5,6,8,10,12,18,19   34763224
                    shares
ASHLAND INC         Common equity 044209104   124546    2156250 SH         DEFINED    1,2,5,6,8,12,17          2153380          2870
                    shares
AUTODESK INC        Common equity 052769106   368143    8346039 SH         DEFINED    1,2,5,6,8,10,12,18       8346039
                    shares
AUTOMATIC DATA      Common equity 053015103  1029204   20058605 SH         DEFINED    1,2,5,6,8,10,12,18      20058605
 PROCESSING         shares
AUTONATION INC      Common equity 05329W102    87297    2467973 SH         DEFINED    1,2,5,6,8,10,12,18       2467973
                    shares
BEMIS CO INC        Common equity 081437105   231251    7048252 SH         DEFINED    1,2,5,6,8,10,12          7048252
                    shares
BEST BUY CO INC     Common equity 086516101   367616   12800039 SH         DEFINED    1,2,5,6,8,10,12,18      12800039
                    shares
BIG LOTS INC        Common equity 089302103   115210    2652639 SH         DEFINED    1,2,5,6,8,10,12          2652639
                    shares
OFFICEMAX INC       Common equity 67622P101    36543    2824401 SH         DEFINED    1,2,5,6,8                2824401
                    shares
BRISTOL-MYERS       Common equity 110122108  1661034   62846169 SH         DEFINED    1,2,5,6,8,10,12,17,18   62783878
 SQUIBB CO          shares                                                            ,19
BROADCOM CORP       Common equity 111320107   705109   17905275 SH         DEFINED    1,2,5,6,8,10,12,18      17905275
                    shares
BROWN-FORMAN -CL B  Common equity 115637209   323353    4734436 SH         DEFINED    1,2,5,6,8,10,12,18       4734436
                    shares
CENTERPOINT ENERGY  Common equity 15189T107   347013   19761394 SH         DEFINED    1,2,5,6,8,10,12,18      19761394
 INC                shares
CENTURYLINK INC     Common equity 156700106   686340   16518427 SH         DEFINED    1,2,5,6,8,10,12,17,18   16518427
                    shares
CINTAS CORP         Common equity 172908105   156952    5185118 SH         DEFINED    1,2,5,6,8,10,12,18       5185118
                    shares
CISCO SYSTEMS INC   Common equity 17275R102  3653998  213061346 SH         DEFINED    1,2,5,6,8,10,12,18,19  210082455
                    shares
FRONTIER            Common equity 35906A108   302246   36769478 SH         DEFINED    1,2,5,6,8,10,12,17,18   36769478
 COMMUNICATIONS     shares
 CORP
CITRIX SYSTEMS INC  Common equity 177376100   497148    6767711 SH         DEFINED    1,2,5,6,8,10,12,18       6767711
                    shares
CMS ENERGY CORP     Common equity 125896100   193034    9828517 SH         DEFINED    1,2,5,6,8,10,12          9828517
                    shares
COCA-COLA CO        Common equity 191216100  5695698   85843167 SH         DEFINED    1,2,5,6,8,10,12,17,18   85817893
                    shares                                                            ,19
COLGATE-PALMOLIVE   Common equity 194162103  3068800   37998934 SH         DEFINED    1,2,5,6,8,10,12,17,18   37998934
 CO                 shares
COMERICA INC        Common equity 200340107   307661    8378422 SH         DEFINED    1,2,5,6,8,10,12,18       8378422
                    shares
CONOCOPHILLIPS      Common equity 20825C104  4639284   58092667 SH         DEFINED    1,2,5,6,8,10,12,17,18   57013623
                    shares                                                            ,19
COOPER INDUSTRIES   Common equity G24140108   184740    2846631 SH         DEFINED    1,2,5,6,8,10,12,18       2846631
 PLC                shares
COOPER TIRE &       Common equity 216831107    39979    1552442 SH         DEFINED    1,2,5,6,8                1552442
 RUBBER CO          shares
MOLSON COORS        Common equity 60871R209   282193    6018229 SH         DEFINED    1,2,5,6,8,10,12,18       6018229
 BREWING CO         shares
CRANE CO            Common equity 224399105    64192    1325429 SH         DEFINED    1,2,5,6,8,12             1325429
                    shares
CUMMINS INC         Common equity 231021106  1536014   14012147 SH         DEFINED    1,2,5,6,8,10,12,18      14012147
                    shares
DELUXE CORP         Common equity 248019101    51247    1930878 SH         DEFINED    1,2,5,6,8,12,17          1930878
                    shares
DEVON ENERGY CORP   Common equity 25179M103  1657071   18056872 SH         DEFINED    1,2,5,6,8,10,12,18      18056872
                    shares
DILLARDS INC -CL A  Common equity 254067101    55649    1387098 SH         DEFINED    1,2,5,6,8,17             1387098
                    shares
DUKE ENERGY CORP    Common equity 26441C105  1044386   57541776 SH         DEFINED    1,2,5,6,8,10,12,17,18   57541776
                    shares
DYNEGY INC          Common equity 26817G300    13312    2339126 SH         DEFINED    1,2,5,6,8                2339126
                    shares
E TRADE FINANCIAL   Common equity 269246401   109253    6989409 SH         DEFINED    1,2,5,6,8,10,12          6989409
 CORP               shares
EASTMAN CHEMICAL CO Common equity 277432100   305404    3074938 SH         DEFINED    1,2,5,6,8,10,12,18       3074938
                    shares
EBAY INC            Common equity 278642103  1309165   42176669 SH         DEFINED    1,2,5,6,8,10,12,18      42176669
                    shares
EMC CORP/MA         Common equity 268648102  1999966   75328270 SH         DEFINED    1,2,5,6,8,10,12,18      75328270
                    shares
ENTERGY CORP        Common equity 29364G103   537489    7997181 SH         DEFINED    1,2,5,6,8,10,12,18       7997181
                    shares
EOG RESOURCES INC   Common equity 26875P101  1297289   10946640 SH         DEFINED    1,2,5,6,8,10,12,18      10946640
                    shares
EXXON MOBIL CORP    Common equity 30231G102 16923894  201163576 SH         DEFINED    1,2,5,6,8,10,12,17,18  199593428
                    shares                                                            ,19
FAMILY DOLLAR       Common equity 307000109   239196    4660878 SH         DEFINED    1,2,5,6,8,10,12,17,18    4660878
 STORES             shares
MACY`S INC          Common equity 55616P104   411684   16969495 SH         DEFINED    1,2,5,6,8,10,12,17,18   16969495
                    shares
FEDERATED INVESTORS Common equity 314211103    81415    3043583 SH         DEFINED    1,2,5,6,8,10,12          3043583
 INC                shares
FOREST              Common equity 345838106   357908   11080845 SH         DEFINED    1,2,5,6,8,10,12,17,18   11080845
 LABORATORIES -CL A shares
GAP INC             Common equity 364760108   405142   17879507 SH         DEFINED    1,2,5,6,8,10,12,17,18   17872217          7290
                    shares
GILEAD SCIENCES INC Common equity 375558103  1269312   29908335 SH         DEFINED    1,2,5,6,8,10,12,18      29908335
                    shares
GOODRICH CORP       Common equity 382388106   400882    4687023 SH         DEFINED    1,2,5,6,8,10,12,18       4687023
                    shares
GOODYEAR TIRE &     Common equity 382550101   129248    8629422 SH         DEFINED    1,2,5,6,8,10,12,18       8629422
 RUBBER CO          shares
GRAINGER (W W) INC  Common equity 384802104   310536    2255504 SH         DEFINED    1,2,5,6,8,10,12,18       2255504
                    shares
HEINZ (H J) CO      Common equity 423074103   571204   11700099 SH         DEFINED    1,2,5,6,8,10,12,17,18   11700099
                    shares
HUMANA INC          Common equity 444859102   433308    6195158 SH         DEFINED    1,2,5,6,8,10,12,17,18    6195158
                    shares
INGERSOLL-RAND PLC  Common equity G47791101   561014   11612778 SH         DEFINED    1,2,5,6,8,10,12,18      11612778
                    shares
JANUS CAPITAL GROUP Common equity 47102X105    84360    6765319 SH         DEFINED    1,2,5,6,8,10,12          6765319
 INC                shares
JOHNSON & JOHNSON   Common equity 478160104  8221685  138762629 SH         DEFINED    1,2,5,6,8,10,12,17,18  137541760        382430
                    shares                                                            ,19
KB HOME             Common equity 48666K109    52419    4214017 SH         DEFINED    1,2,5,6,8,12             4214017
                    shares
KEYCORP             Common equity 493267108   398155   44837480 SH         DEFINED    1,2,5,6,8,10,12,18      44837480
                    shares
KOHL`S CORP         Common equity 500255104   583870   11008162 SH         DEFINED    1,2,5,6,8,10,12,18      11008162
                    shares
LOCKHEED MARTIN     Common equity 539830109  5588775   69512181 SH         DEFINED    1,2,5,6,8,10,12,17,18   69512181
 CORP               shares
LOEWS CORP          Common equity 540424108   527541   12242541 SH         DEFINED    1,2,5,6,8,10,12,18      12242541
                    shares
LOUISIANA-PACIFIC   Common equity 546347105    49049    4671069 SH         DEFINED    1,2,5,6,8,12             4671069
 CORP               shares
M & T BANK CORP     Common equity 55261F104   433574    4900777 SH         DEFINED    1,2,5,6,8,10,12,18       4900777
                    shares
MARRIOTT INTL INC   Common equity 571903202   401813   11293400 SH         DEFINED    1,2,5,6,8,10,12,18      11293400
                    shares
MASCO CORP          Common equity 574599106   216414   15547637 SH         DEFINED    1,2,5,6,8,10,12,18      15547637
                    shares
MATTEL INC          Common Stock  577081102   321636   12901652 SH         DEFINED    1,2,5,6,8,10,12,18      12901652
MBIA INC            Common equity 55262C100    24206    2411498 SH         DEFINED    1,2,5,6,8                2411498
                    shares
MCGRAW-HILL         Common equity 580645109   520849   13219460 SH         DEFINED    1,2,5,6,8,10,12,18      13219460
 COMPANIES          shares
MCKESSON CORP       Common equity 58155Q103   764485    9670977 SH         DEFINED    1,2,5,6,8,10,12,17,18    9670977
                    shares
MEADWESTVACO CORP   Common equity 583334107   233917    7712705 SH         DEFINED    1,2,5,6,8,10,12,18       7712705
                    shares
MEREDITH CORP       Common equity 589433101    32170     948212 SH         DEFINED    1,2,5,6,8,12              948212
                    shares
MGIC INVESTMENT     Common equity 552848103    45040    5066044 SH         DEFINED    1,2,5,6,8                5066044
 CORP/WI            shares
MOLEX INC           Common equity 608554101   107136    4264765 SH         DEFINED    1,2,5,6,8,10,12          4264765
                    shares
MONSTER WORLDWIDE   Common Stock  611742107    63556    3997096 SH         DEFINED    1,2,5,6,8,10,12          3997096
 INC
MYLAN INC           Common Stock  628530107   359133   15841888 SH         DEFINED    1,2,5,6,8,10,12,18      15841888
NABORS INDUSTRIES   Common equity G6359F103   431786   14213060 SH         DEFINED    1,2,5,6,8,10,12,18      14213060
 LTD                shares
NAVISTAR            Common Stock  63934E108    59234     854399 SH         DEFINED    1,2,5,6,8,17,18           854399
 INTERNATIONAL CORP
NCR CORP            Common equity 62886E108    85256    4525307 SH         DEFINED    1,2,5,6,8,12             4525307
                    shares
NETAPP INC          Common equity 64110D104   641270   13309983 SH         DEFINED    1,2,5,6,8,10,12,18      13309983
                    shares
NEWELL RUBBERMAID   Common equity 651229106   200313   10471260 SH         DEFINED    1,2,5,6,8,10,12,17,18   10471260
 INC                shares
NEWMONT MINING CORP Common equity 651639106  1103226   20213025 SH         DEFINED    1,2,5,6,8,10,12,17,18   20213025
                    shares
NICOR INC           Common equity 654086107   118026    2197870 SH         DEFINED    1,2,5,6,8,10,12          2197870
                    shares
NIKE INC            Common equity 654106103   983516   12992231 SH         DEFINED    1,2,5,6,8,10,12,18      12992231
                    shares
NISOURCE INC        Common equity 65473P105   269672   14060068 SH         DEFINED    1,2,5,6,8,10,12,17,18   14060068
                    shares
NOBLE CORP          Common equity H5833N103   394991    8658282 SH         DEFINED    1,2,5,6,8,10,12,18       8658282
                    shares
NORDSTROM INC       Common equity 655664100   282305    6290243 SH         DEFINED    1,2,5,6,8,10,12,18       6290243
                    shares
NORFOLK SOUTHERN    Common equity 655844108   939536   13563367 SH         DEFINED    1,2,5,6,8,10,12,18      13563367
 CORP               shares
NORTHERN TRUST CORP Common equity 665859104   522249   10290433 SH         DEFINED    1,2,5,6,8,10,12,18,19    9516944
                    shares
NOVELL INC          Common equity 670006105    69851   11779565 SH         DEFINED    1,2,5,6,8,10,12         11779565
                    shares
NOVELLUS SYSTEMS    Common equity 670008101   110549    2977377 SH         DEFINED    1,2,5,6,8,10,12          2977377
 INC                shares
NUCOR CORP          Common equity 670346105   611120   13279402 SH         DEFINED    1,2,5,6,8,10,12,18      13279402
                    shares
OCCIDENTAL          Common equity 674599105  3433646   32860998 SH         DEFINED    1,2,5,6,8,10,12,18,19   32343861
 PETROLEUM CORP     shares
OFFICE DEPOT INC    Common equity 676220106    45990    9932615 SH         DEFINED    1,2,5,6,8,12             9932615
                    shares
OMNICOM GROUP       Common equity 681919106   493970   10068798 SH         DEFINED    1,2,5,6,8,10,12,18      10068798
                    shares
ORACLE CORP         Common equity 68389X105  4848407  145292589 SH         DEFINED    1,2,5,6,8,10,12,18,19  142915680
                    shares
PACCAR INC          Common equity 693718108   694557   13267464 SH         DEFINED    1,2,5,6,8,10,12,18      13267464
                    shares
PALL CORP           Common equity 696429307   248882    4319960 SH         DEFINED    1,2,5,6,8,10,12,18       4319960
                    shares
PARAMETRIC          Common equity 699173209    91197    4055042 SH         DEFINED    1,2,5,6,8,12             4055042
 TECHNOLOGY CORP    shares
PARKER-HANNIFIN     Common equity 701094104   589664    6228001 SH         DEFINED    1,2,5,6,8,10,12,17,18    6228001
 CORP               shares
PAYCHEX INC         Common equity 704326107   362069   11545533 SH         DEFINED    1,2,5,6,8,10,12,17,18   11545533
                    shares
PENNEY (J C) CO     Common equity 708160106   937659   26111179 SH         DEFINED    1,2,5,6,8,10,12,18,19   24138525
                    shares
PEPSICO INC         Common equity 713448108  3757924   58343826 SH         DEFINED    1,2,5,6,8,10,12,17,18   57430239
                    shares                                                            ,19
PERKINELMER INC     Common equity 714046109    99627    3792456 SH         DEFINED    1,2,5,6,8,10,12          3792456
                    shares
PFIZER INC          Common equity 717081103  6248933  307677526 SH         DEFINED    1,2,5,6,8,10,12,17,18  304258381
                    shares                                                            ,19
PG&E CORP           Common equity 69331C108   769579   17418989 SH         DEFINED    1,2,5,6,8,10,12,17,18   17418989
                    shares
PINNACLE WEST       Common equity 723484101   325542    7607837 SH         DEFINED    1,2,5,6,8,10,12,17,18    7607837
 CAPITAL CORP       shares
PITNEY BOWES INC    Common equity 724479100   406373   15818068 SH         DEFINED    1,2,5,6,8,10,12,18      15818068
                    shares
PLUM CREEK TIMBER   Real Estate   729251108   264008    6053892 SH         DEFINED    1,2,5,6,8,10,12,18       6053892
 CO INC             Investment
                    Trust
PMC-SIERRA INC      Common equity 69344F106    25104    3346984 SH         DEFINED    1,2,5,6,8                3346984
                    shares
PNC FINANCIAL SVCS  Common equity 693475105  1377529   21869031 SH         DEFINED    1,2,5,6,8,10,12,18,19   20953581
 GROUP INC          shares
POWER-ONE INC       Common Stock  73930R102    12623    1442296 SH         DEFINED    1,2,6,8                  1442296
PPG INDUSTRIES INC  Common equity 693506107   769722    8084411 SH         DEFINED    1,2,5,6,8,10,12,17,18    7607694
                    shares                                                            ,19
PPL CORP            Common equity 69351T106   534651   21132402 SH         DEFINED    1,2,5,6,8,10,12,18      21132402
                    shares
PRAXAIR INC         Common equity 74005P104  1163558   11452307 SH         DEFINED    1,2,5,6,8,10,12,18      11452307
                    shares
PRICE (T. ROWE)     Common equity 74144T108   638593    9614397 SH         DEFINED    1,2,5,6,8,10,12,18       9614397
 GROUP              shares
PRINCIPAL FINANCIAL Common equity 74251V102   401614   12507491 SH         DEFINED    1,2,5,6,8,10,12,18      12507491
 GRP INC            shares
PROCTER & GAMBLE CO Common equity 742718109  6905154  112096602 SH         DEFINED    1,2,5,6,8,10,12,17,18  111511093
                    shares                                                            ,19
PROGRESS ENERGY INC Common equity 743263105  1213207   26294140 SH         DEFINED    1,2,5,6,8,10,12,17,18   12707624      13586516
                    shares
PROGRESSIVE         Common equity 743315103   521530   24682138 SH         DEFINED    1,2,5,6,8,10,12,18      24682138
 CORP-OHIO          shares
PROLOGIS            Real Estate   743410102   448693   28078061 SH         DEFINED    1,2,3,5,6,8,10,12,18    28078061
                    Investment
                    Trust
PRUDENTIAL          Common equity 744320102  1146354   18615582 SH         DEFINED    1,2,5,6,8,10,12,18      18615582
 FINANCIAL INC      shares
PUBLIC SERVICE      Common equity 744573106   699118   22187301 SH         DEFINED    1,2,5,6,8,10,12,18      22187301
 ENTRP GRP INC      shares
PULTEGROUP INC      Common equity 745867101   117656   15899429 SH         DEFINED    1,2,5,6,8,10,12,18      15899429
                    shares
QLOGIC CORP         Common equity 747277101    53022    2858389 SH         DEFINED    1,2,5,6,8,12             2858389
                    shares
QUALCOMM INC        Common equity 747525103  3268425   59610102 SH         DEFINED    1,2,5,6,8,10,12,18      59610102
                    shares
QUEST DIAGNOSTICS   Common equity 74834L100   310376    5377202 SH         DEFINED    1,2,5,6,8,10,12,18       5377202
 INC                shares
QWEST COMMUNICATION Common equity 749121109   699115  102359696 SH         DEFINED    1,2,5,6,8,10,12,18     102359696
 INTL INC           shares
RADIOSHACK CORP     Common equity 750438103    64525    4297784 SH         DEFINED    1,2,5,6,8,10,12          4297784
                    shares
RAYTHEON CO         Common equity 755111507   700935   13778986 SH         DEFINED    1,2,5,6,8,10,12,17,18   13778986
                    shares
REGIONS FINANCIAL   Common equity 7591EP100   432292   59544742 SH         DEFINED    1,2,5,6,8,10,12,18      59544742
 CORP               shares
REYNOLDS AMERICAN   Common equity 761713106   442042   12441360 SH         DEFINED    1,2,5,6,8,10,12,17,18   12441360
 INC                shares
ROBERT HALF INTL    Common equity 770323103   167744    5481798 SH         DEFINED    1,2,5,6,8,10,12,18       5481798
 INC                shares
ROCKWELL AUTOMATION Common equity 773903109   502293    5306878 SH         DEFINED    1,2,5,6,8,10,12,18       5306878
                    shares
ROCKWELL COLLINS    Common equity 774341101   379236    5849757 SH         DEFINED    1,2,5,6,8,10,12,18       5849757
 INC                shares
ROWAN COS INC       Common equity 779382100   304237    6886422 SH         DEFINED    1,2,5,6,8,10,12,18       6886422
                    shares
RYDER SYSTEM INC    Common equity 783549108    96172    1900677 SH         DEFINED    1,2,5,6,8,10,12          1900677
                    shares
SAFEWAY INC         Common equity 786514208   353688   15025191 SH         DEFINED    1,2,5,6,8,10,12,17,18   15016681          8510
                    shares
SANMINA-SCI CORP    Common equity 800907206    18038    1608861 SH         DEFINED    1,2,5,6,8                1608861
                    shares
SARA LEE CORP       Common equity 803111103   410032   23205102 SH         DEFINED    1,2,5,6,8,10,12,18      23205102
                    shares
AT&T INC            Common equity 00206R102  6919070  226113407 SH         DEFINED    1,2,5,6,8,10,12,17,18  224414167
                    shares                                                            ,19
SCHLUMBERGER LTD    Common equity 806857108  5134676   55057633 SH         DEFINED    1,2,5,6,8,10,12,18,19   55042574
                    shares
SCHWAB (CHARLES)    Common equity 808513105   668207   37061027 SH         DEFINED    1,2,5,6,8,10,12,18      37061027
 CORP               shares
SEALED AIR CORP     Common equity 81211K100   177864    6671507 SH         DEFINED    1,2,5,6,8,10,12,18       6671507
                    shares
SEMPRA ENERGY       Common equity 816851109   581482   10868881 SH         DEFINED    1,2,5,6,8,10,12,18      10868881
                    shares
SHERWIN-WILLIAMS CO Common equity 824348106   386440    4601014 SH         DEFINED    1,2,5,6,8,10,12,17,18    4601014
                    shares
SIGMA-ALDRICH CORP  Common equity 826552101   312175    4905297 SH         DEFINED    1,2,5,6,8,10,12,18       4905297
                    shares
SIMON PROPERTY      Real Estate   828806109  1564764   14602070 SH         DEFINED    1,2,3,5,6,8,10,12,18    14602070
 GROUP INC          Investment
                    Trust
SLM CORP            Common equity 78442P106   318081   20789098 SH         DEFINED    1,2,5,6,8,10,12,18      20789098
                    shares
SNAP-ON INC         Common equity 833034101   114709    1909884 SH         DEFINED    1,2,5,6,8,10,12          1909884
                    shares
SOUTHERN CO         Common equity 842587107  1394138   36581988 SH         DEFINED    1,2,5,6,8,10,12,17,18   36581988
                    shares
SOUTHWEST AIRLINES  Common equity 844741108   320512   25377055 SH         DEFINED    1,2,5,6,8,10,12,18      25377055
                    shares
SPRINT NEXTEL CORP  Common equity 852061100   520062  112082723 SH         DEFINED    1,2,5,6,8,10,12,18     112082723
                    shares
ST JUDE MEDICAL INC Common equity 790849103   620056   12096099 SH         DEFINED    1,2,5,6,8,10,12,18      12096099
                    shares
TRAVELERS COS INC   Common equity 89417E109  1384345   23274118 SH         DEFINED    1,2,5,6,8,10,12,18      23274118
                    shares
STANLEY BLACK &     Common equity 854502101   551240    7196302 SH         DEFINED    1,2,5,6,8,10,12,18       7196302
 DECKER INC         shares
STAPLES INC         Common equity 855030102   502211   25860750 SH         DEFINED    1,2,5,6,8,10,12,18      25860750
                    shares
STARBUCKS CORP      Common equity 855244109   983575   26619292 SH         DEFINED    1,2,5,6,8,10,12,18      26619292
                    shares
STARWOOD            Common equity 85590A401   471873    8118898 SH         DEFINED    1,2,3,5,6,8,10,12,18     8118898
 HOTELS&RESORTS     shares
 WRLD
STATE STREET CORP   Common equity 857477103  1084331   24128429 SH         DEFINED    1,2,5,6,8,10,12,18      24128429
                    shares
STRYKER CORP        Common equity 863667101   719961   11841476 SH         DEFINED    1,2,5,6,8,10,12,17,18   11762051          3270
                    shares                                                            ,19
SUNOCO INC          Common equity 86764P109   394655    8656590 SH         DEFINED    1,2,5,6,8,10,12,18       6686856       1969734
                    shares
SUNTRUST BANKS INC  Common equity 867914103   645920   22396634 SH         DEFINED    1,2,5,6,8,10,12,18      22396634
                    shares
SUPERVALU INC       Common equity 868536103   122854   13758017 SH         DEFINED    1,2,5,6,8,10,12,18      13758017
                    shares
SYMANTEC CORP       Common equity 871503108   557796   30085599 SH         DEFINED    1,2,5,6,8,10,12,18      30085599
                    shares
SYNOVUS FINANCIAL   Common equity 87161C105    63843   26601284 SH         DEFINED    1,2,5,6,8,12            26601284
 CORP               shares
SYSCO CORP          Common equity 871829107   592846   21402433 SH         DEFINED    1,2,5,6,8,10,12,17,18   21402433
                    shares
TARGET CORP         Common equity 87612E106  3172019   63427901 SH         DEFINED    1,2,5,6,8,10,12,18      63427901
                    shares
TECO ENERGY INC     Common equity 872375100   162511    8662434 SH         DEFINED    1,2,5,6,8,10,12          8662434
                    shares
TELLABS INC         Common equity 879664100    66214   12635695 SH         DEFINED    1,2,5,6,8,10,12         12635695
                    shares
TEMPLE-INLAND INC   Common equity 879868107    70153    2997998 SH         DEFINED    1,2,5,6,8,12             2997998
                    shares
TENET HEALTHCARE    Common equity 88033G100   176530   23695322 SH         DEFINED    1,2,5,6,8,10,12,18      23695322
 CORP               shares
TERADYNE INC        Common equity 880770102   108446    6089080 SH         DEFINED    1,2,5,6,8,10,12,17       6089080
                    shares
TEXAS INSTRUMENTS   Common equity 882508104  1526897   44180990 SH         DEFINED    1,2,5,6,8,10,12,17,18   44180990
 INC                shares
TEXTRON INC         Common equity 883203101   273130    9971745 SH         DEFINED    1,2,5,6,8,10,12,18       9971745
                    shares
THERMO FISHER       Common equity 883556102   789953   14220419 SH         DEFINED    1,2,5,6,8,10,12,18      14220419
 SCIENTIFIC INC     shares
THOMAS & BETTS CORP Common equity 884315102    79557    1337687 SH         DEFINED    1,2,5,6,8,12             1337687
                    shares
TIFFANY & CO        Common equity 886547108   281439    4580841 SH         DEFINED    1,2,5,6,8,10,12,18       4580841
                    shares
TIME WARNER INC     Common equity 887317303  1458074   40842334 SH         DEFINED    1,2,5,6,8,10,12,17,18   40842334
                    shares
TJX COMPANIES INC   Common equity 872540109   728990   14658798 SH         DEFINED    1,2,5,6,8,10,12,18      14658798
                    shares
TORCHMARK CORP      Common equity 891027104   203437    3060175 SH         DEFINED    1,2,5,6,8,10,12,17,18    3060175
                    shares
TRANSOCEAN LTD      Common equity H8817H100    60284     773426 SH         DEFINED    1,2,5,6,8,12,18           773426
                    shares
TYCO INTERNATIONAL  Common equity H89128104   878008   19611513 SH         DEFINED    1,2,5,6,8,10,12,18,19   18123074
 LTD                shares
U S BANCORP         Common equity 902973304  2030033   76807707 SH         DEFINED    1,2,5,6,8,10,12,18      76807707
                    shares
UNION PACIFIC CORP  Common equity 907818108  1783766   18140683 SH         DEFINED    1,2,5,6,8,10,12,18      18140683
                    shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
UNISYS CORP         Common equity 909214306    33387    1069473 SH         DEFINED    1,2,5,6,8                1069473
                    shares
UNITED PARCEL       Common equity 911312106  2406723   32383089 SH         DEFINED    1,2,5,6,8,10,12,17,18   32380799          2290
 SERVICE INC        shares
UNITED STATES STEEL Common equity 912909108   343132    6361367 SH         DEFINED    1,2,5,6,8,10,12,18       6361367
 CORP               shares
UNITED TECHNOLOGIES Common equity 913017109  9455978  111706810 SH         DEFINED    1,2,5,6,8,10,12,18,19  111696560
 CORP               shares
UNITEDHEALTH GROUP  Common equity 91324P102  1860479   41161060 SH         DEFINED    1,2,5,6,8,10,12,17,18   40493706
 INC                shares                                                            ,19
UNUM GROUP          Common equity 91529Y106   343090   13069655 SH         DEFINED    1,2,5,6,8,10,12,18      13069655
                    shares
VALERO ENERGY CORP  Common equity 91913Y100   792266   26567782 SH         DEFINED    1,2,5,6,8,10,12,17,18   26017213
                    shares                                                            ,19
VERIZON             Common equity 92343V104  4318718  112057987 SH         DEFINED    1,2,5,6,8,10,12,17,18  111228906
 COMMUNICATIONS INC shares                                                            ,19
VF CORP             Common equity 918204108   412656    4188157 SH         DEFINED    1,2,5,6,8,10,12,17,18    4188157
                    shares
CBS CORP            Common equity 124857202   603850   24115329 SH         DEFINED    1,2,5,6,8,10,12,17,18   24115329
                    shares
VULCAN MATERIALS CO Common equity 929160109   231347    5073135 SH         DEFINED    1,2,5,6,8,10,12,18       5073135
                    shares
WAL-MART STORES INC Common equity 931142103  4193503   80566855 SH         DEFINED    1,2,5,6,8,10,12,17,18   79313754
                    shares                                                            ,19
WALGREEN CO         Common equity 931422109  1462096   36425053 SH         DEFINED    1,2,5,6,8,10,12,17,18   35532709
                    shares                                                            ,19
WASTE MANAGEMENT    Common equity 94106L109   775394   20765677 SH         DEFINED    1,2,5,6,8,10,12,17,18   20765677
 INC                shares
WATERS CORP         Common equity 941848103   296619    3413335 SH         DEFINED    1,2,5,6,8,10,12,18       3413335
                    shares
WATSON              Common equity 942683103   247043    4410795 SH         DEFINED    1,2,5,6,8,10,12,18       4410795
 PHARMACEUTICALS    shares
 INC
WELLS FARGO & CO    Common equity 949746101  6385343  201430222 SH         DEFINED    1,2,5,6,8,10,12,18,19  198939919
                    shares
WEYERHAEUSER CO     Common equity 962166104   490351   19932836 SH         DEFINED    1,2,5,6,8,10,12,18      19932836
                    shares
WHIRLPOOL CORP      Common equity 963320106   267617    3135100 SH         DEFINED    1,2,5,6,8,10,12,17,18    3135100
                    shares
WILLIAMS COS INC    Common equity 969457100   893412   28653726 SH         DEFINED    1,2,5,6,8,10,12,18      28653726
                    shares
WORTHINGTON         Common equity 981811102    76709    3666766 SH         DEFINED    1,2,5,6,8,12             3666766
 INDUSTRIES         shares
XCEL ENERGY INC     Common equity 98389B100   501262   20981830 SH         DEFINED    1,2,5,6,8,10,12,18      20981830
                    shares
XEROX CORP          Common equity 984121103   853999   80187468 SH         DEFINED    1,2,5,6,8,10,12,17,18   80187468
                    shares
XILINX INC          Common equity 983919101   319236    9732534 SH         DEFINED    1,2,5,6,8,10,12,18       9732534
                    shares
XL GROUP PLC        Common equity G98290102   312831   12716282 SH         DEFINED    1,2,5,6,8,10,12,18      12716282
                    shares
YAHOO INC           Common equity 984332106   860029   51653370 SH         DEFINED    1,2,5,6,8,10,12,18      51653370
                    shares
YUM BRANDS INC      Common equity 988498101  1069863   20822596 SH         DEFINED    1,2,5,6,8,10,12,18      16432417       4390179
                    shares
ZIMMER HOLDINGS INC Common equity 98956P102   499891    8258645 SH         DEFINED    1,2,5,6,8,10,12,18,19    7552351
                    shares
ZIONS               Common equity 989701107   214433    9298966 SH         DEFINED    1,2,5,6,8,10,12          9298966
 BANCORPORATION     shares
NEWS CORP           Common Stock  65248E104  1395948   79495674 SH         DEFINED    1,2,5,6,8,10,12,18      79495674
SHIP FINANCE INTL   Common equity G81075106    22823    1100972 SH         DEFINED    1,2,5,6                  1100972
 LTD                shares
CNO FINANCIAL GROUP Common equity 12621E103    38927    5183433 SH         DEFINED    1,2,5,6,8                5183433
 INC                shares
CEPHALON INC        Common equity 156708109   226077    2983236 SH         DEFINED    1,2,5,6,8,10,12,17,18    2983236
                    shares
HARRIS CORP         Common equity 413875105   258464    5210913 SH         DEFINED    1,2,5,6,8,10,12,17,18    5210913
                    shares
SEARS HOLDINGS CORP Common equity 812350106   302203    3656321 SH         DEFINED    1,2,5,6,8,10,12,18       3656321
                    shares
KINROSS GOLD CORP   Common equity 496902404      469      29721 SH         DEFINED    1,18                       29721
                    shares
MEMC ELECTRONIC     Common equity 552715104   108248    8352303 SH         DEFINED    1,2,5,6,8,10,12,18       8352303
 MATRIALS INC       shares
YRC WORLDWIDE INC   Common equity 984249300      179     102080 SH         DEFINED    1,5,6,8                   102080
                    shares
CREE INC            Common equity 225447101   158332    3430031 SH         DEFINED    1,2,5,6,8,10,12,18       3430031
                    shares
CHESAPEAKE ENERGY   Common equity 165167107   946753   28244333 SH         DEFINED    1,2,5,6,8,10,12,18      28244333
 CORP               shares
ALLIANT TECHSYSTEMS Common equity 018804104    60850     861115 SH         DEFINED    1,2,5,6,8,12              861115
 INC                shares
TIMBERLAND CO -CL A Common equity 887100105    60207    1458199 SH         DEFINED    1,2,5,6,8,12,17          1458199
                    shares
ABERCROMBIE &       Common equity 002896207   190717    3248976 SH         DEFINED    1,2,5,6,8,10,12,18       3248976
 FITCH  -CL A       shares
ACXIOM CORP         Common equity 005125109    41017    2858302 SH         DEFINED    1,2,5,6,8,12             2858302
                    shares
AFFYMETRIX INC      Common equity 00826T108     8482    1627692 SH         DEFINED    1,2,5,6,8                1627692
                    shares
HUBBELL INC  -CL B  Common equity 443510201   112398    1582389 SH         DEFINED    1,2,5,6,8,12             1582389
                    shares
LANCASTER COLONY    Common equity 513847103    43318     714845 SH         DEFINED    1,2,5,6,8,12,17           714845
 CORP               shares
PENTAIR INC         Common equity 709631105   190440    5039354 SH         DEFINED    1,2,5,6,8,10,12,18       5039354
                    shares
TOTAL SYSTEM        Common equity 891906109   117333    6511268 SH         DEFINED    1,2,5,6,8,10,12,18       6511268
 SERVICES INC       shares
KEY ENERGY SERVICES Common equity 492914106    61777    3972473 SH         DEFINED    1,2,5,6,8                3972473
 INC                shares
LABRANCHE & CO INC  Common equity 505447102     3516     894593 SH         DEFINED    1,2,8                     894593
                    shares
EAGLE MATERIALS INC Common equity 26969P108    16482     544748 SH         DEFINED    1,2,5,6,8                 544748
                    shares
NORTHEAST UTILITIES Common equity 664397106   295894    8551808 SH         DEFINED    1,2,5,6,8,10,12,18       8551808
                    shares
PIPER JAFFRAY COS   Common equity 724078100    17274     416907 SH         DEFINED    1,2,5,6,8                 416907
 INC                shares
L-3 COMMUNICATIONS  Common equity 502424104   322093    4113088 SH         DEFINED    1,2,5,6,8,10,12,18       4113088
 HLDGS INC          shares
WILEY (JOHN) &      Common equity 968223206    64115    1261136 SH         DEFINED    1,2,5,6,8,12             1261136
 SONS  -CL A        shares
ATMEL CORP          Common equity 049513104   168019   12326727 SH         DEFINED    1,2,5,6,8,12            12326727
                    shares
SEI INVESTMENTS CO  Common equity 784117103   106829    4473687 SH         DEFINED    1,2,5,6,8,10,12,18       4473687
                    shares
ADTRAN INC          Common equity 00738A106    99919    2353328 SH         DEFINED    1,2,5,6,8,12             2353328
                    shares
ADVANCE AUTO PARTS  Common equity 00751Y106   206937    3153630 SH         DEFINED    1,2,5,6,8,10,12,17,18    3153630
 INC                shares
BECKMAN COULTER INC Common equity 075811109   182118    2192200 SH         DEFINED    1,2,5,6,8,10,12,18       2192200
                    shares
CONSTELLATION       Common equity 21036P108   142348    7018995 SH         DEFINED    1,2,5,6,8,10,12,18       7018995
 BRANDS             shares
CYTEC INDUSTRIES    Common equity 232820100    72258    1328984 SH         DEFINED    1,2,5,6,8,12             1328984
 INC                shares
DOLLAR TREE INC     Common equity 256746108   245795    4427112 SH         DEFINED    1,2,5,6,8,10,12,18       4427112
                    shares
DPL INC             Common equity 233293109    87016    3174690 SH         DEFINED    1,2,5,6,8,12,17          3174690
                    shares
HARTE HANKS INC     Common equity 416196103    16868    1417666 SH         DEFINED    1,2,5,6,8,12             1417666
                    shares
ITT EDUCATIONAL     Common equity 45068B109    54334     753076 SH         DEFINED    1,2,5,6,8,10,12,18        753076
 SERVICES INC       shares
JEFFERIES GROUP INC Common equity 472319102    94647    3795223 SH         DEFINED    1,2,5,6,8,10,12,18       3795223
                    shares
NVR INC             Common equity 62944T105   152599     201841 SH         DEFINED    1,2,5,6,8,12              201841
                    shares
PACKAGING CORP OF   Common equity 695156109    77786    2692566 SH         DEFINED    1,2,5,6,8,12             2692566
 AMERICA            shares
POPULAR INC         Common equity 733174106    42945   14756620 SH         DEFINED    1,2,5,6,8,12            14756620
                    shares
PRECISION CASTPARTS Common equity 740189105   751537    5106257 SH         DEFINED    1,2,5,6,8,10,12,18       5106257
 CORP               shares
RAYONIER INC        Real Estate   754907103   161785    2596503 SH         DEFINED    1,2,5,6,8,10,12,17,18    2596503
                    Investment
                    Trust
RENT-A-CENTER INC   Common equity 76009N100   100896    2890217 SH         DEFINED    1,2,5,6,8,12             2890217
                    shares
RYLAND GROUP INC    Common equity 783764103    49949    3141241 SH         DEFINED    1,2,5,6,8,12             3141241
                    shares
SAKS INC            Common equity 79377W108    69143    6113427 SH         DEFINED    1,2,5,6,8,12             6113427
                    shares
SPDR S&P 500 ETF    ETF           78462F103   974679    7355293 SH         DEFINED    1,2,5,10                 7332876         22417
UTSTARCOM INC       Common equity 918076100     5686    2420022 SH         DEFINED    1,2,5,8                  2420022
                    shares
PATTERSON-UTI       Common equity 703481101   143705    4889648 SH         DEFINED    1,2,5,6,8,10,12,18       4889648
 ENERGY INC         shares
NABI                Common Stock  629519109     7885    1356944 SH         DEFINED    1,2,5,6,8                1356944
 BIOPHARMACEUTICALS
WMS INDUSTRIES INC  Common equity 929297109    55217    1561928 SH         DEFINED    1,2,5,6,8                1561928
                    shares
PANERA BREAD CO     Common equity 69840W108   111245     875928 SH         DEFINED    1,2,5,6,8,12              875928
                    shares
LAWSON SOFTWARE INC Common equity 52078P102    36679    3031419 SH         DEFINED    1,2,5,6,8                3031419
                    shares
ADOLOR CORP         Common equity 00724X102       49      34882 SH         DEFINED    1                          34882
                    shares
AFFILIATED MANAGERS Common equity 008252108   154281    1410610 SH         DEFINED    1,2,5,6,8,12             1410610
 GRP INC            shares
ANSYS INC           Common equity 03662Q105   131573    2428001 SH         DEFINED    1,2,5,6,8,12             2428001
                    shares
APTARGROUP INC      Common equity 038336103    92525    1845710 SH         DEFINED    1,2,5,6,8,12             1845710
                    shares
AXCELIS             Common equity 054540109     5066    1912112 SH         DEFINED    1,2                      1912112
 TECHNOLOGIES INC   shares
BENCHMARK           Common equity 08160H101    32154    1695061 SH         DEFINED    1,2,5,6,8                1695061
 ELECTRONICS INC    shares
BROCADE             Common equity 111621306    33747    5487469 SH         DEFINED    1,2,5,6,8                5487469
 COMMUNICATIONS SYS shares
BROOKS AUTOMATION   Common equity 114340102    19902    1449495 SH         DEFINED    1,2,5,6,8                1449495
 INC                shares
CARTER`S INC        Common equity 146229109    37077    1295127 SH         DEFINED    1,2,5,6,8                1295127
                    shares
CUMULUS MEDIA INC   Common equity 231082108     1557     359087 SH         DEFINED    1,2                       359087
                    shares
EMULEX CORP         Common equity 292475209    21419    2007935 SH         DEFINED    1,2,5,6,8                2007935
                    shares
ENTEGRIS INC        Common equity 29362U104    27454    3130199 SH         DEFINED    1,2,5,6,8                3130199
                    shares
EXTREME NETWORKS    Common Stock  30226D106     6485    1852693 SH         DEFINED    1,2,5,6                  1852693
 INC
FORWARD AIR CORP    Common equity 349853101    21075     688128 SH         DEFINED    1,2,5,6,8                 688128
                    shares
GATX CORP           Common equity 361448103    49125    1270669 SH         DEFINED    1,2,5,6,8,12             1270669
                    shares
GENTEX CORP         Common equity 371901109   116080    3837390 SH         DEFINED    1,2,5,6,8,12             3837390
                    shares
IDEX CORP           Common equity 45167R104    97669    2237605 SH         DEFINED    1,2,5,6,8,12             2237605
                    shares
LTX-CREDENCE CORP   Common Stock  502403207     8334     912667 SH         DEFINED    1,2,8                     912667
MANHATTAN           Common equity 562750109    19105     583883 SH         DEFINED    1,2,5,6,8                 583883
 ASSOCIATES INC     shares
MICROS SYSTEMS INC  Common equity 594901100   107320    2171038 SH         DEFINED    1,2,5,6,8,12             2171038
                    shares
MYRIAD GENETICS INC Common equity 62855J104    35321    1753055 SH         DEFINED    1,2,5,6,8,10             1753055
                    shares
NATIONAL            Common equity 636518102    79017    2411294 SH         DEFINED    1,2,5,6,8,12             2411294
 INSTRUMENTS CORP   shares
NPS PHARMACEUTICALS Common equity 62936P103    20217    2112380 SH         DEFINED    1,2,6,8                  2112380
 INC                shares
OSHKOSH CORP        Common equity 688239201    94450    2669589 SH         DEFINED    1,2,5,6,8,12,17          2669589
                    shares
P F CHANGS CHINA    Common equity 69333Y108    27836     602637 SH         DEFINED    1,2,5,6,8                 602637
 BISTRO INC         shares
PLEXUS CORP         Common equity 729132100    30837     879248 SH         DEFINED    1,2,5,6,8                 879248
                    shares
ROPER INDUSTRIES    Common equity 776696106   293596    3395704 SH         DEFINED    1,2,5,6,8,10,12,18       3395704
 INC/DE             shares
RUBY TUESDAY INC    Common equity 781182100    19745    1505623 SH         DEFINED    1,2,5,6,8                1505623
                    shares
SPARTECH CORP       Common equity 847220209     5168     713277 SH         DEFINED    1,2,5,6,8                 713277
                    shares
TEEKAY CORP         Common equity Y8564W103    20300     549584 SH         DEFINED    1,2,5,6                   549584
                    shares
VISHAY              Common equity 928298108    87002    4904369 SH         DEFINED    1,2,5,6,8,12,17,18       4904369
 INTERTECHNOLOGY    shares
 INC
GREATBATCH INC      Common equity 39153L106    13436     507887 SH         DEFINED    1,2,5,6,8                 507887
                    shares
WINTRUST FINANCIAL  Common equity 97650W108    45560    1239768 SH         DEFINED    1,2,5,6,8                1239768
 CORP               shares
ST JOE CO           Common equity 790148100    27370    1091756 SH         DEFINED    1,2,5,6,8,12             1091756
                    shares
MACERICH CO         Real Estate   554382101   283718    5728198 SH         DEFINED    1,2,3,5,6,8,10,12,18     5728198
                    Investment
                    Trust
ACADIA REALTY TRUST Real Estate   004239109    26796    1416294 SH         DEFINED    1,2,3,5,6,8              1416294
                    Investment
                    Trust
BROOKFIELD          Common equity 112900105     9489     535554 SH         DEFINED    1,2,3                     535554
 PROPERTIES CORP    shares
CAMDEN PROPERTY     Real Estate   133131102   147465    2595310 SH         DEFINED    1,2,3,5,6,8,10,12        2595310
 TRUST              Investment
                    Trust
CORP OFFICE PPTYS   Real Estate   22002T108    96361    2666471 SH         DEFINED    1,2,3,5,6,8,12           2666471
 TR INC             Investment
                    Trust
DEVELOPERS          Real Estate   251591103    72575    5183888 SH         DEFINED    1,2,3,5,6,8              5183888
 DIVERSIFIED RLTY   Investment
                    Trust
EASTGROUP           Real Estate   277276101    41032     933133 SH         DEFINED    1,2,3,5,6,8               933133
 PROPERTIES         Investment
                    Trust
ESSEX PROPERTY      Real Estate   297178105   151687    1223282 SH         DEFINED    1,2,3,5,6,8,12           1223282
 TRUST              Investment
                    Trust
HOSPITALITY         Real Estate   44106M102   116575    5035374 SH         DEFINED    1,2,3,5,6,8,12,17        5035374
 PROPERTIES TRUST   Investment
                    Trust
LASALLE HOTEL       Real Estate   517942108    69143    2560821 SH         DEFINED    1,2,3,5,6,8              2560821
 PROPERTIES         Investment
                    Trust
RAMCO-GERSHENSON    Real Estate   751452202    14993    1196591 SH         DEFINED    1,2,3,5,6,8              1196591
 PROPERTIES         Investment
                    Trust
REGENCY CENTERS     Real Estate   758849103   151948    3494601 SH         DEFINED    1,2,3,5,6,8,10,12,18     3494601
 CORP               Investment
                    Trust
TANGER FACTORY      Real Estate   875465106    73006    2782261 SH         DEFINED    1,2,3,5,6,8              2782261
 OUTLET CTRS        Investment
                    Trust
MECHEL OAO          American      583840103    45719    1484933 SH         DEFINED    1,2,5,6,8,10,18          1484933
                    Depository
                    Receipt
MOBILE TELESYSTEMS  American      607409109    91792    4323660 SH         DEFINED    1,2,5,6,8,10,12,18       4323660
 OJSC               Depository
                    Receipt
TENARIS SA          American      88031M109      875      17672 SH         DEFINED    1,8                        17672
                    Depository
                    Receipt
LAM RESEARCH CORP   Common equity 512807108   218874    3862903 SH         DEFINED    1,2,5,6,8,10,12,17,18    3862903
                    shares
RAMBUS INC          Common equity 750917106    25591    1292558 SH         DEFINED    1,2,5,6,8                1292558
                    shares
METTLER-TOLEDO INTL Common equity 592688105   157174     913795 SH         DEFINED    1,2,5,6,8,12              913795
 INC                shares
NEENAH PAPER INC    Common equity 640079109     9491     431869 SH         DEFINED    1,2,6                     431869
                    shares
EW SCRIPPS  -CL A   Common equity 811054402     7780     785563 SH         DEFINED    1,2,6,8                   785563
                    shares
FMC TECHNOLOGIES    Common equity 30249U101   533316    5644629 SH         DEFINED    1,2,5,6,8,10,12,18       5644629
 INC                shares
AMPHENOL CORP       Common equity 032095101   343541    6316340 SH         DEFINED    1,2,5,6,8,10,12,18       6316340
                    shares
BJ`S WHOLESALE CLUB Common equity 05548J106    81402    1667390 SH         DEFINED    1,2,5,6,8,12             1667390
 INC                shares
CME GROUP INC       Common equity 12572Q105   753690    2499399 SH         DEFINED    1,2,5,6,8,10,12,18       2499399
                    shares
COMMUNITY HEALTH    Common equity 203668108   102398    2560465 SH         DEFINED    1,2,5,6,8,12             2560465
 SYSTEMS INC        shares
COVANCE INC         Common equity 222816100   102758    1877969 SH         DEFINED    1,2,5,6,8,10,12,18       1877969
                    shares
GEN-PROBE INC       Common equity 36866T103    90181    1359152 SH         DEFINED    1,2,5,6,8,12             1359152
                    shares
REGIS CORP/MN       Common equity 758932107    38385    2163591 SH         DEFINED    1,2,5,6,8,12             2163591
                    shares
SL GREEN REALTY     Real Estate   78440X101   230875    3070119 SH         DEFINED    1,2,3,5,6,8,10,12        3070119
 CORP               Investment
                    Trust
STANCORP FINANCIAL  Common equity 852891100    58754    1273882 SH         DEFINED    1,2,5,6,8,12             1273882
 GROUP INC          shares
TELEFLEX INC        Common equity 879369106    64145    1106407 SH         DEFINED    1,2,5,6,8,12             1106407
                    shares
URBAN OUTFITTERS    Common equity 917047102   146389    4907312 SH         DEFINED    1,2,5,6,8,10,12,18       4907312
 INC                shares
AGCO CORP           Common equity 001084102   200397    3645839 SH         DEFINED    1,2,5,6,8,10,12,18,19    2942952
                    shares
EDWARDS             Common equity 28176E108   378051    4345332 SH         DEFINED    1,2,5,6,8,10,12,18       4345332
 LIFESCIENCES CORP  shares
LUBRIZOL CORP       Common equity 549271104   290009    2164872 SH         DEFINED    1,2,5,6,8,10,12,18       2164872
                    shares
AAON INC            Common equity 000360206     8600     261454 SH         DEFINED    1,2,5,6,8                 261454
                    shares
AAR CORP            Common equity 000361105    27415     989071 SH         DEFINED    1,2,5,6,8                 989071
                    shares
AMERIS BANCORP      Common equity 03076K108     5124     504087 SH         DEFINED    1,2                       504087
                    shares
A.C. MOORE ARTS &   Common equity 00086T103       40      14746 SH         DEFINED    1                          14746
 CRAFTS INC         shares
ABM INDUSTRIES INC  Common equity 000957100    30644    1206926 SH         DEFINED    1,2,5,6,8                1206926
                    shares
AEP INDUSTRIES INC  Common equity 001031103     2915      98077 SH         DEFINED    1,2                        98077
                    shares
AGL RESOURCES INC   Common equity 001204106    91881    2306192 SH         DEFINED    1,2,5,6,8,12,17          2306192
                    shares
AK STEEL HOLDING    Common equity 001547108    98348    6232343 SH         DEFINED    1,2,5,6,8,10,12          6232343
 CORP               shares
AMB PROPERTY CORP   Real Estate   00163T109   267619    7440171 SH         DEFINED    1,2,3,5,6,8,10,12,18     7440171
                    Investment
                    Trust
AMR CORP/DE         Common equity 001765106    29714    4599152 SH         DEFINED    1,2,5,6,8                4599152
                    shares
APAC CUSTOMER       Common Stock  00185E106     3264     543318 SH         DEFINED    1,2,6                     543318
 SERVICES INC
ATMI INC            Common equity 00207R101    14243     754201 SH         DEFINED    1,2,5,6,8                 754201
                    shares
ATP OIL & GAS CORP  Common equity 00208J108    36100    1993384 SH         DEFINED    1,2,5,6,8                1993384
                    shares
AVI BIOPHARMA INC   Common equity 002346104     4008    2142932 SH         DEFINED    1,2,5                    2142932
                    shares
AVX CORP            Common equity 002444107     9162     614649 SH         DEFINED    1,2,5,6,8                 614649
                    shares
AXT INC             Common Stock  00246W103     3745     522586 SH         DEFINED    1,2                       522586
AZZ INC             Common equity 002474104    13264     290834 SH         DEFINED    1,2,5,6,8                 290834
                    shares
AARON`S INC         Common equity 002535300    64784    2554625 SH         DEFINED    1,2,5,6,8,12             2554625
                    shares
AASTROM BIOSCIENCES Common equity 00253U305       50      19746 SH         DEFINED    1                          19746
 INC                shares
ABAXIS INC          Common equity 002567105    13983     484834 SH         DEFINED    1,2,6,8                   484834
                    shares
ABIOMED INC         Common Stock  003654100     9332     642053 SH         DEFINED    1,2,5,6,8                 642053
ABRAXAS PETROLEUM   Common equity 003830106    24998    4272879 SH         DEFINED    1,2,6                    4272879
 CORP/NV            shares
ACETO CORP          Common equity 004446100     3882     486921 SH         DEFINED    1,2,8                     486921
                    shares
ACTIVE POWER INC    Common equity 00504W100      142      48354 SH         DEFINED    1                          48354
                    shares
ACTUATE CORP        Common equity 00508B102     5051     971216 SH         DEFINED    1,2,5,6                   971216
                    shares
ACTUANT CORP  -CL A Common equity 00508X203    42240    1456648 SH         DEFINED    1,2,5,6,8                1456648
                    shares
INSPERITY INC       Common equity 45778Q107    14839     488565 SH         DEFINED    1,2,5,6,8                 488565
                    shares
AMAG                Common Stock  00163U106     7330     438936 SH         DEFINED    1,2,5,6,8                 438936
 PHARMACEUTICALS
 INC
ADVANCED PHOTONIX   Common equity 00754E107       23      11300 SH         DEFINED    1                          11300
 INC  -CL A         shares
AP PHARMA INC       Common Stock  00202J203        3      15200 SH         DEFINED    2                          15200
ADVANCED SEMICON    American      00756M404     3179     580133 SH         DEFINED    1,6,8                     580133
 ENGINEERING        Depository
                    Receipt
RENAISSANCE         Common equity 75968L105     2934     249595 SH         DEFINED    1,2,5,8                   249595
 LEARNING INC       shares
DENNYS CORP         Common equity 24869P104     8862    2182099 SH         DEFINED    1,2,5,6,8                2182099
                    shares
AEGON NV            Similar to    007924103      125      16713 SH         DEFINED    1,2                        16713
                    ADR
                    Certificates
                    representing
                    ordinary
                    shares
ADVANCED ENERGY     Common equity 007973100    12416     759505 SH         DEFINED    1,2,5,6,8                 759505
 INDS INC           shares
ADVENT SOFTWARE INC Common equity 007974108    35940    1253628 SH         DEFINED    1,2,5,6,8,12             1253628
                    shares
AGREE REALTY CORP   Real Estate   008492100     4505     200757 SH         DEFINED    1,2,3,8                   200757
                    Investment
                    Trust
AGRIUM INC          Common equity 008916108     1882      20400 SH         DEFINED    18                         20400
                    shares
AIR METHODS CORP    Common equity 009128307    16297     242325 SH         DEFINED    1,2,6,8                   242325
                    shares
AIRGAS INC          Common equity 009363102   204970    3086016 SH         DEFINED    1,2,5,6,8,10,12,18       3086016
                    shares
AIRTRAN HOLDINGS    Common equity 00949P108    34718    4660717 SH         DEFINED    1,2,5,6,12               4660717
 INC                shares
AKAMAI TECHNOLOGIES Common equity 00971T101   258117    6792587 SH         DEFINED    1,2,5,6,8,10,12,18       6792587
 INC                shares
AKORN INC           Common Stock  009728106     5961    1033586 SH         DEFINED    1,2,6                    1033586
ALAMO GROUP INC     Common equity 011311107     4812     175232 SH         DEFINED    1,2                       175232
                    shares
ALASKA AIR GROUP    Common equity 011659109    90162    1421665 SH         DEFINED    1,2,5,6,8,12             1421665
 INC                shares
ALASKA              Common equity 01167P101     9661     907137 SH         DEFINED    1,2,5,6,8                 907137
 COMMUNICATIONS SYS shares
 GP
ALBANY INTL CORP    Common equity 012348108    15605     626937 SH         DEFINED    1,2,5,6,8                 626937
 -CL A              shares
ALBANY MOLECULAR    Common Stock  012423109     2223     522189 SH         DEFINED    1,2,6                     522189
 RESH INC
ALBEMARLE CORP      Common equity 012653101   139495    2333817 SH         DEFINED    1,2,5,6,8,12             2333817
                    shares
ALCATEL-LUCENT      American      013904305      914     157473 SH         DEFINED    1,5,8,12                  157473
                    Depository
                    Receipt
ALEXANDER & BALDWIN Common equity 014482103    48110    1053857 SH         DEFINED    1,2,5,6,8,12             1053857
 INC                shares
ALEXANDER`S INC     Real Estate   014752109    32827      80661 SH         DEFINED    1,2,3,5,6,8                80661
                    Investment
                    Trust
ALEXANDRIA R E      Real Estate   015271109   164390    2108372 SH         DEFINED    1,2,3,5,6,8,12           2108372
 EQUITIES INC       Investment
                    Trust
ALEXION             Common Stock  015351109   159003    1611335 SH         DEFINED    1,2,5,6,8,10,12,18       1611335
 PHARMACEUTICALS
 INC
ALICO INC           Common equity 016230104     1918      71648 SH         DEFINED    1,2,6                      71648
                    shares
ALIGN TECHNOLOGY    Common equity 016255101    26735    1305332 SH         DEFINED    1,2,5,6,8                1305332
 INC                shares
ALKERMES INC        Common equity 01642T108    33359    2576019 SH         DEFINED    1,2,5,6,8                2576019
                    shares
ALLEGHANY CORP      Common equity 017175100    27630      83478 SH         DEFINED    1,2,5,6,8                  83478
                    shares
ALLETE INC          Common equity 018522300    30718     788221 SH         DEFINED    1,2,5,6,8                 788221
                    shares
BALLY TECHNOLOGIES  Common equity 05874B107    55155    1457187 SH         DEFINED    1,2,5,6,8                1457187
 INC                shares
ALLIANCE RESOURCE   Limited       01877R108     4152      50991 SH         DEFINED    1                          50991
 PTNRS  -LP         Partnership
ALLIANT ENERGY CORP Common equity 018802108   140472    3608279 SH         DEFINED    1,2,5,6,8,10,12,18       3608279
                    shares
ALLIANCE FINANCIAL  Common equity 019205103     2601      77997 SH         DEFINED    1,2                        77997
 CORP/NY            shares
HANOVER INSURANCE   Common equity 410867105    53566    1183662 SH         DEFINED    1,2,5,6,8,12             1183662
 GROUP INC          shares
ALLOS THERAPEUTICS  Common Stock  019777101     4916    1550301 SH         DEFINED    1,2,5,6,8                1550301
 INC
ALLSCRIPTS          Common equity 01988P108    91248    4347099 SH         DEFINED    1,2,5,6,8,12             4347099
 HEALTHCARE SOLTNS  shares
JARDEN CORP         Common equity 471109108    37969    1067462 SH         DEFINED    1,2,5,6,8                1067462
                    shares
ALMOST FAMILY INC   Common Stock  020409108     6261     166323 SH         DEFINED    1,2,6,8                   166323







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
EMPIRE RESORTS INC  Common equity 292052107      238     383088 SH         DEFINED    1,2                       383088
                    shares
SKYWORKS SOLUTIONS  Common equity 83088M102   156573    4829371 SH         DEFINED    1,2,5,6,8,12             4829371
 INC                shares
ALTAIR              Common equity 021373204       40      25102 SH         DEFINED    1,5                        25102
 NANOTECHNOLOGIES   shares
 INC
AMCOL INTERNATIONAL Common equity 02341W103    27123     753856 SH         DEFINED    1,2,5,6,8                 753856
 CORP               shares
AMEDISYS INC        Common equity 023436108    24733     706449 SH         DEFINED    1,2,5,6,8,17              706449
                    shares
AMERCO              Common equity 023586100    19256     198500 SH         DEFINED    1,2,5,6,8                 198500
                    shares
AMERICA MOVIL SA DE American      02364W105   198565    3417603 SH         DEFINED    1,2,4,5,6,8,10,18        3417603
 CV                 Depository
                    Receipt
US AIRWAYS GROUP    Common equity 90341W108    34109    3915623 SH         DEFINED    1,2,5,6,8                3915623
 INC                shares
MFA FINANCIAL INC   Real Estate   55272X102    66452    8103702 SH         DEFINED    1,2,5,6,8                8103702
                    Investment
                    Trust
AMERICAN CAPITAL    Common equity 02503Y103    68396    6908771 SH         DEFINED    1,2,5,6,8                6908771
 LTD.               shares
AMERICAN DENTAL     Common equity 025353103     3809     290491 SH         DEFINED    1,2                       290491
 PARTNERS INC       shares
US ECOLOGY INC      Common equity 91732J102     6657     382146 SH         DEFINED    1,2,5,8                   382146
                    shares
AMERICAN FINANCIAL  Common equity 025932104    76600    2187167 SH         DEFINED    1,2,5,6,8,12             2187167
 GROUP INC          shares
AMERICAN GREETINGS  Common equity 026375105    36849    1561515 SH         DEFINED    1,2,5,6,8,12             1561515
 -CL A              shares
HEALTHWAYS INC      Common equity 422245100    11483     746816 SH         DEFINED    1,2,5,6,8                 746816
                    shares
AMERICAN MEDICAL    Common equity 02744M108    36951    1707498 SH         DEFINED    1,2,5,6,8                1707498
 SYSTMS HLDS        shares
AMERICAN NATL       Common equity 027745108     2281     101220 SH         DEFINED    1,2,17                    101220
 BANKSHARES         shares
AMERICAN NATIONAL   Common equity 028591105     8651     109171 SH         DEFINED    1,2,5,6,8                 109171
 INSURANCE          shares
AMERICAN SCIENCE    Common equity 029429107    18404     199275 SH         DEFINED    1,2,5,6,8                 199275
 ENGINEERING        shares
AMERICAN SOFTWARE   Common equity 029683109     2985     404274 SH         DEFINED    1,2                       404274
 -CL A              shares
AMERICAN STATES     Common equity 029899101    16001     446245 SH         DEFINED    1,2,5,6,8                 446245
 WATER CO           shares
AMERICAN TOWER CORP Common equity 029912201   784463   15138101 SH         DEFINED    1,2,5,6,8,10,12,18      15138101
                    shares
AMERICAN            Common Stock  030111108    27387    1101340 SH         DEFINED    1,2,5,6,8                1101340
 SUPERCONDUCTOR CP
LRAD CORP           Common equity 50213V109       41      14897 SH         DEFINED    1                          14897
                    shares
AMERICAN VANGUARD   Common equity 030371108     3538     407536 SH         DEFINED    1,2,8                     407536
 CORP               shares
AMERICAN WOODMARK   Common equity 030506109     4662     223338 SH         DEFINED    1,2,5,8                   223338
 CORP               shares
AMERIGON INC        Common Stock  03070L300     6349     415739 SH         DEFINED    1,2,5                     415739
AMERISTAR CASINOS   Common equity 03070Q101     9500     535280 SH         DEFINED    1,2,5,8                   535280
 INC                shares
AMERON              Common equity 030710107    25037     358715 SH         DEFINED    1,2,5,6,8                 358715
 INTERNATIONAL CORP shares
TD AMERITRADE       Common equity 87236Y108    88040    4218607 SH         DEFINED    1,2,5,6,8,10,12,18       4218607
 HOLDING CORP       shares
AMERIGAS PARTNERS   Limited       030975106     3697      76916 SH         DEFINED    1                          76916
 -LP                Partnership
AMES NATIONAL CORP  Common equity 031001100     2548     133210 SH         DEFINED    1,2                       133210
                    shares
AMETEK INC          Common equity 031100100   219057    4993460 SH         DEFINED    1,2,5,6,8,10,12,18       4993460
                    shares
AMKOR TECHNOLOGY    Common equity 031652100    17279    2564012 SH         DEFINED    1,2,5,6,8                2564012
 INC                shares
AMPAL AMERICAN      Common equity 032015109       18      10512 SH         DEFINED    1                          10512
 ISRAEL  -CL A      shares
AMPCO-PITTSBURGH    Common equity 032037103     5415     196194 SH         DEFINED    1,2,8                     196194
 CORP               shares
CALIF FIRST         Common equity 130222102      773      50579 SH         DEFINED    1,2,17                     50579
 NATIONAL BANCORP   shares
AMSURG CORP         Common equity 03232P405    17450     686038 SH         DEFINED    1,2,5,6,8                 686038
                    shares
AMYLIN              Common equity 032346108    32092    2822186 SH         DEFINED    1,2,5,6,8                2822186
 PHARMACEUTICALS    shares
 INC
ANADIGICS INC       Common Stock  032515108     5924    1323147 SH         DEFINED    1,2,6,8                  1323147
ANALOGIC CORP       Common equity 032657207    16333     288808 SH         DEFINED    1,2,5,6,8                 288808
                    shares
ANAREN INC          Common equity 032744104     8674     431554 SH         DEFINED    1,2,6                     431554
                    shares
ANCHOR BANCORP      Common equity 032839102       11      10919 SH         DEFINED    1                          10919
 INC/WI             shares
ANDERSONS INC       Common equity 034164103    20278     416234 SH         DEFINED    1,2,5,6,8                 416234
                    shares
ANGLOGOLD ASHANTI   American      035128206     5322     110970 SH         DEFINED    1,2,6                     110970
 LTD                Depository
                    Receipt
ANIXTER INTL INC    Common equity 035290105    50024     715709 SH         DEFINED    1,2,5,6,8,17,18           715709
                    shares
ANNALY CAPITAL      Real Estate   035710409   249870   14319005 SH         DEFINED    1,2,5,6,8,10,12,18      14319005
 MANAGEMENT         Investment
                    Trust
ANN INC             Common equity 035623107    73804    2535462 SH         DEFINED    1,2,5,6,8,12             2535462
                    shares
ANTARES PHARMA INC  Common equity 036642106     1969    1094034 SH         DEFINED    1,2                      1094034
                    shares
ARRIS GROUP INC     Common equity 04269Q100    42058    3301374 SH         DEFINED    1,2,5,6,8                3301374
                    shares
HACKETT GROUP INC   Common equity 404609109     2437     634848 SH         DEFINED    1,2,5                     634848
                    shares
AGENUS INC          Common Stock  00847G101       42      45866 SH         DEFINED    1                          45866
ANWORTH MTG ASSET   Real Estate   037347101    21739    3065788 SH         DEFINED    1,2,5,6,8                3065788
 CORP               Investment
                    Trust
APCO OIL AND GAS    Common equity G0471F109    14528     169448 SH         DEFINED    1,2,6                     169448
 INTL INC           shares
APOGEE ENTERPRISES  Common equity 037598109    16499    1250768 SH         DEFINED    1,2,5,8                  1250768
 INC                shares
CELERA CORP         Tracking      15100E106    18494    2280282 SH         DEFINED    1,2,5,6,8                2280282
                    stocks are
                    issued by a
                    parent co  to
                    monitor or
                    track the
                    underlying
                    performance
                    and earnin
APPLIED INDUSTRIAL  Common equity 03820C105    34075    1024464 SH         DEFINED    1,2,5,6,8,17             1024464
 TECH INC           shares
ARCH CHEMICALS INC  Common equity 03937R102    22806     548320 SH         DEFINED    1,2,5,6,8                 548320
                    shares
ARCH COAL INC       Common equity 039380100   216922    6018989 SH         DEFINED    1,2,5,6,8,10,12,18       6018989
                    shares
ARCTIC CAT INC      Common Stock  039670104     3778     243118 SH         DEFINED    1,2                       243118
ARDEN GROUP INC     Common equity 039762109     2075      27173 SH         DEFINED    1,2,17                     27173
 -CL A              shares
ARENA               Common Stock  040047102     3233    2324991 SH         DEFINED    1,2,5,6,8                2324991
 PHARMACEUTICALS
 INC
ARIAD               Common equity 04033A100    36893    4905913 SH         DEFINED    1,2,6,8                  4905913
 PHARMACEUTICALS    shares
 INC
ARIBA INC           Common Stock  04033V203    63560    1861824 SH         DEFINED    1,2,5,6,8                1861824
CARDIUM             Common equity 141916106       15      38600 SH         DEFINED    1                          38600
 THERAPEUTICS INC   shares
ARKANSAS BEST CORP  Common equity 040790107    15933     614651 SH         DEFINED    1,2,5,6,8                 614651
                    shares
ARQULE INC          Common equity 04269E107     8503    1187231 SH         DEFINED    1,2,6,8                  1187231
                    shares
ARRAY BIOPHARMA INC Common equity 04269X105     3342    1092121 SH         DEFINED    1,2                      1092121
                    shares
ARROW ELECTRONICS   Common equity 042735100   164901    3937326 SH         DEFINED    1,2,5,6,8,10,12,18       3937326
 INC                shares
ARROW FINANCIAL     Common equity 042744102     5182     209590 SH         DEFINED    1,2,5,8                   209590
 CORP               shares
ARTESIAN RESOURCES  Common Stock  043113208     2361     121073 SH         DEFINED    1,2,5                     121073
 -CL A
ARTHROCARE CORP     Common Stock  043136100    18295     548695 SH         DEFINED    1,2,6,8                   548695
MERITOR INC         Common equity 59001K100    32372    1907466 SH         DEFINED    1,2,5,6,8                1907466
                    shares
ASIAINFO-LINKAGE    Common Stock  04518A104     1931      89101 SH         DEFINED    1,2,5,6,8                  89101
 INC
ASPEN TECHNOLOGY    Common Stock  045327103    18707    1248416 SH         DEFINED    1,2,6                    1248416
 INC
ASSOCIATED BANC-    Common equity 045487105    88725    5974804 SH         DEFINED    1,2,5,6,8,10,12          5974804
 CORP               shares
ASSOCIATED ESTATES  Real Estate   045604105    16582    1044450 SH         DEFINED    1,2,3,5,6,8              1044450
 RLTY CORP          Investment
                    Trust
ASTA FUNDING INC    Common equity 046220109     1300     151951 SH         DEFINED    1,2                       151951
                    shares
ASTEC INDUSTRIES    Common equity 046224101    17142     459786 SH         DEFINED    1,2,5,6,8                 459786
 INC                shares
ASTORIA FINANCIAL   Common equity 046265104    46255    3218653 SH         DEFINED    1,2,5,6,8,12             3218653
 CORP               shares
ASTRAZENECA PLC     American      046353108     3205      69502 SH         DEFINED    1                          69502
                    Depository
                    Receipt
ASTRONICS CORP      Common Stock  046433108     4216     167429 SH         DEFINED    1,2                       167429
ATLANTIC            Common equity 049079205     7822     210216 SH         DEFINED    1,2,5,6,8,17              210216
 TELE-NETWORK INC   shares
ATLAS PIPELINE      Limited       049392103     3757     108913 SH         DEFINED    1                         108913
 PARTNER LP         Partnership
ATMOS ENERGY CORP   Common equity 049560105   166584    4885241 SH         DEFINED    1,2,5,6,8,12,17          4885241
                    shares
ATRION CORP         Common equity 049904105     6041      34655 SH         DEFINED    1,2,6,17                   34655
                    shares
ATWOOD OCEANICS     Common equity 050095108    85373    1838596 SH         DEFINED    1,2,5,6,8,12             1838596
                    shares
AUDIOVOX CORP -CL A Common Stock  050757103     3099     387233 SH         DEFINED    1,2                       387233
AUTOBYTEL INC       Common equity 05275N106       31      21454 SH         DEFINED    1                          21454
                    shares
AUTOLIV INC         Common equity 052800109   105775    1425090 SH         DEFINED    1,2,5,6,8,10,12,18       1425090
                    shares
SCIENTIFIC GAMES    Common equity 80874P109    20838    2384517 SH         DEFINED    1,2,5,6,8                2384517
 CORP               shares
AVANIR              Common equity 05348P401    11210    2747656 SH         DEFINED    1,2                      2747656
 PHARMACEUTICALS    shares
 INC
CELLDEX             Common equity 15117B103     2388     593415 SH         DEFINED    1,2                       593415
 THERAPEUTICS INC   shares
AVATAR HOLDINGS INC Common equity 053494100     4016     202793 SH         DEFINED    1,2,5                     202793
                    shares
AVID TECHNOLOGY INC Common equity 05367P100    14391     645372 SH         DEFINED    1,2,5,6,8                 645372
                    shares
AVISTA CORP         Common equity 05379B107    34642    1497654 SH         DEFINED    1,2,5,6,8                1497654
                    shares
BCE INC             Common Stock  05534B760      318       8746 SH         DEFINED    2,8                         8746
BOK FINANCIAL CORP  Common equity 05561Q201    27526     532682 SH         DEFINED    1,2,5,6,8                 532682
                    shares
BP PLC              American      055622104  1740803   39438244 SH         DEFINED    1,2,10                  39438244
                    Depository
                    Receipt
BRE PROPERTIES INC  Real Estate   05564E106   118616    2514039 SH         DEFINED    1,2,3,5,6,8,12           2514039
                    Investment
                    Trust
BADGER METER INC    Common equity 056525108    13732     333194 SH         DEFINED    1,2,5,6,8                 333194
                    shares
BAKER (MICHAEL)     Common equity 057149106     4692     161310 SH         DEFINED    1,2,6,8                   161310
 CORP               shares
BALCHEM CORP  -CL B Common equity 057665200    22710     605248 SH         DEFINED    1,2,5,6,8                 605248
                    shares
BALDWIN & LYONS     Common equity 057755209     4311     184075 SH         DEFINED    1,2,5                     184075
 -CL B              shares
BALLANTYNE STRONG   Common equity 058516105     1636     228257 SH         DEFINED    1,2                       228257
 INC                shares
DIAMOND HILL        Common Stock  25264R207     3666      45837 SH         DEFINED    1,2                        45837
 INVESTMENT GRP
BANCFIRST CORP/OK   Common equity 05945F103     5866     137410 SH         DEFINED    1,2,5,8,17                137410
                    shares
BRADESCO BANCO      American      059460303   173501    8361506 SH         DEFINED    1,2,4,5,6,8,10,18        8361506
                    Depository
                    Receipt
BANCO BILBAO        American      05946K101     1259     104873 SH         DEFINED    1,5,8,10,12               104873
 VIZCAYA ARGENTA    Depository
                    Receipt
BANCO SANTANDER SA  American      05964H105     9103     776874 SH         DEFINED    1,2,5,8,12                776874
                    Depository
                    Receipt
BANCO               American      05965X109    21853     251932 SH         DEFINED    1,2,5,6,8,10              251932
 SANTANDER-CHILE    Depository
                    Receipt
BANCOLOMBIA SA      American      05968L102    46520     742422 SH         DEFINED    1,2,5,6,8,10,18           742422
                    Depository
                    Receipt
BANCORP RHODE       Common equity 059690107     2069      67069 SH         DEFINED    1,2,17                     67069
 ISLAND INC         shares
BANCORPSOUTH INC    Common equity 059692103    41208    2666916 SH         DEFINED    1,2,5,6,8,12             2666916
                    shares
BANK OF GRANITE     Common Stock  062401104        6      11559 SH         DEFINED    1                          11559
 CORP
HAMPTON ROADS       Common equity 409321106      279     328431 SH         DEFINED    1                         328431
 BANKSHARES INC     shares
BANK OF MARIN       Common equity 063425102     3575      95807 SH         DEFINED    1,2,6                      95807
 BANCORP            shares
BANK MUTUAL CORP    Common equity 063750103     4322    1022028 SH         DEFINED    1,2,5,8                  1022028
                    shares
BANK OF THE OZARKS  Common equity 063904106    13656     312461 SH         DEFINED    1,2,5,6,8                 312461
 INC                shares
SIERRA BANCORP/CA   Common equity 82620P102     1899     169834 SH         DEFINED    1,2                       169834
                    shares
MITSUBISHI UFJ      American      606822104     1590     345555 SH         DEFINED    1,2                       345555
 FINANCIAL GRP      Depository
                    Receipt
BANKATLANTIC        Common equity 065908600       32      34337 SH         DEFINED    1                          34337
 BANCORP  -CL A     shares
BARNES GROUP INC    Common equity 067806109    22463    1076041 SH         DEFINED    1,2,5,6,8                1076041
                    shares
BARRICK GOLD CORP   Common equity 067901108     4161      80170 SH         DEFINED    1,2,5,18                   80170
                    shares
BARRETT BUSINESS    Common equity 068463108     2060     128309 SH         DEFINED    1,2                       128309
 SVCS INC           shares
BARRY (R G) CORP    Common equity 068798107     1650     126114 SH         DEFINED    1,2                       126114
                    shares
BASSETT FURNITURE   Common equity 070203104       87      11037 SH         DEFINED    1,2                        11037
 INDS               shares
BE AEROSPACE INC    Common equity 073302101    94358    2655789 SH         DEFINED    1,2,5,6,8,12             2655789
                    shares
BEASLEY BROADCAST   Common equity 074014101      350      47879 SH         DEFINED    1                          47879
 GROUP INC          shares
BEAZER HOMES USA    Common equity 07556Q105     6509    1425001 SH         DEFINED    1,2,6,8                  1425001
 INC                shares
BEBE STORES INC     Common equity 075571109     3960     677038 SH         DEFINED    1,2,5,6                   677038
                    shares
BEL FUSE INC        Common equity 077347300     5521     250909 SH         DEFINED    1,2                       250909
                    shares
BELO CORP  -SER A   Common equity 080555105    17581    1995974 SH         DEFINED    1,2,5,6,8                1995974
 COM                shares
HARVEST NATURAL     Common equity 41754V103    20344    1335108 SH         DEFINED    1,2,6                    1335108
 RESOURCES          shares
BERKLEY (W R) CORP  Common equity 084423102   123146    3823269 SH         DEFINED    1,2,5,6,8,10,12,18       3823269
                    shares
BERKSHIRE HATHAWAY  Common equity 084670108   145224       1159 SH         DEFINED    1,5,6,8,12                  1159
 INC DEL            shares
BERKSHIRE HATHAWAY  Common equity 084670702  5541860   66266472 SH         DEFINED    1,2,5,6,8,10,12,18,19   66255402
                    shares
BERKSHIRE HILLS     Common equity 084680107     6987     335253 SH         DEFINED    1,2,5,8                   335253
 BANCORP INC        shares
BERRY PETROLEUM     Common equity 085789105    73782    1462460 SH         DEFINED    1,2,5,6,8                1462460
 -CL A              shares
PETROHAWK ENERGY    Common equity 716495106   141603    5770569 SH         DEFINED    1,2,5,6,8,10,12,18       5770569
 CORP               shares
BHP BILLITON GROUP  American      088606108     3769      39305 SH         DEFINED    1,2                        39305
 (AUS)              Depository
                    Receipt
CAMAC ENERGY INC    Common equity 131745101     1107     738714 SH         DEFINED    1,2                       738714
                    shares
BIO-RAD             Common equity 090572207    67562     562370 SH         DEFINED    1,2,5,6,8,12              562370
 LABORATORIES INC   shares
SAVIENT             Common equity 80517Q100    29270    2761178 SH         DEFINED    1,2,5,6,8                2761178
 PHARMACEUTICALS    shares
 INC
BIO REFERENCE LABS  Common equity 09057G602    11729     522832 SH         DEFINED    1,2,5,6,8                 522832
                    shares
BIOANALYTICAL       Common Stock  09058M103       28      12200 SH         DEFINED    1                          12200
 SYSTEMS INC
BIOCRYST            Common Stock  09058V103     1933     509442 SH         DEFINED    1,2,5                     509442
 PHARMACEUTICALS
 INC
BIOMARIN            Common Stock  09061G101    46217    1839131 SH         DEFINED    1,2,5,6,8                1839131
 PHARMACEUTICAL INC
SPHERIX INC         Common Stock  84842R106        7      15499 SH         DEFINED    1                          15499
BIOTIME INC         Common equity 09066L105     3059     410867 SH         DEFINED    1,2,6                     410867
                    shares
VALEANT             Common equity 91911K102     4350      87332 SH         DEFINED    1,2,5,6                    87332
 PHARMACEUTICALS    shares
 INTL
SYNUTRA             Common equity 87164C102     3677     319211 SH         DEFINED    1,2,8                     319211
 INTERNATIONAL INC  shares
BIOLASE TECHNOLOGY  Common Stock  090911108       64      13222 SH         DEFINED    1                          13222
 INC
SYNOVIS LIFE TECH   Common Stock  87162G105     4266     222383 SH         DEFINED    1,2,6                     222383
 INC
BIOSPECIFICS        Common Stock  090931106     1644      64491 SH         DEFINED    1,2,6                      64491
 TECHNOLOGIES CP
ONCOTHYREON INC     Common equity 682324108       56      14400 SH         DEFINED    1                          14400
                    shares
AUTHENTIDATE        Common equity 052666104       14      23900 SH         DEFINED    1                          23900
 HOLDING CORP       shares
BLACK BOX CORP      Common equity 091826107    16405     466787 SH         DEFINED    1,2,5,6,8                 466787
                    shares
BLACK HILLS CORP    Common equity 092113109   106143    3174061 SH         DEFINED    1,2,5,6,8,12             3174061
                    shares
BLACKROCK INC       Common equity 09247X101   312438    1554377 SH         DEFINED    1,2,5,6,8,10,12,18       1554377
                    shares
BLOUNT INTL INC     Common equity 095180105    15339     959595 SH         DEFINED    1,2,5,6,8                 959595
                    shares
BLUEGREEN CORP      Common equity 096231105     1188     289322 SH         DEFINED    1,2                       289322
                    shares
BLYTH INC           Common equity 09643P207     4667     143729 SH         DEFINED    1,2,5,6,8                 143729
                    shares
BOB EVANS FARMS     Common equity 096761101    38898    1193123 SH         DEFINED    1,2,5,6,8,12,17          1193123
                    shares
BON-TON STORES INC  Common equity 09776J101     3185     205447 SH         DEFINED    1,2                       205447
                    shares
OCLARO INC          Common Stock  67555N206    11788    1024034 SH         DEFINED    1,2,6,8                  1024034
BOOKS-A-MILLION INC Common equity 098570104      522     126284 SH         DEFINED    1,2,17                    126284
                    shares
BORGWARNER INC      Common equity 099724106   281252    3529217 SH         DEFINED    1,2,5,6,8,10,12,18       3529217
                    shares
BOSTON BEER INC     Common equity 100557107    19374     209157 SH         DEFINED    1,2,6,8                   209157
 -CL A              shares
BOSTON PRIVATE FINL Common equity 101119105    28342    4008864 SH         DEFINED    1,2,5,6,8                4008864
 HOLDINGS           shares
BOTTOMLINE          Common Stock  101388106    17705     704214 SH         DEFINED    1,2,6,8                   704214
 TECHNOLOGIES INC
BOVIE MEDICAL CORP  Common equity 10211F100       44      13974 SH         DEFINED    1,5                        13974
                    shares
BOYD GAMING CORP    Common equity 103304101    19095    2037915 SH         DEFINED    1,2,5,6,8                2037915
                    shares
BRADY CORP          Common equity 104674106    44745    1253638 SH         DEFINED    1,2,5,6,8                1253638
                    shares
BRANDYWINE REALTY   Real Estate   105368203    43025    3543745 SH         DEFINED    1,2,3,5,6,8              3543745
 TRUST              Investment
                    Trust
BRIDGE BANCORP INC  Common equity 108035106     2439     109127 SH         DEFINED    1,2                       109127
                    shares
BRIDGFORD FOODS     Common equity 108763103      210      18959 SH         DEFINED    1,2                        18959
 CORP               shares
BRIGGS & STRATTON   Common equity 109043109    28138    1242205 SH         DEFINED    1,2,5,6,8                1242205
                    shares
BRIGHAM EXPLORATION Common equity 109178103   118352    3183110 SH         DEFINED    1,2,5,6,8                3183110
 CO                 shares
BRIGHTPOINT INC     Common equity 109473405    20798    1918846 SH         DEFINED    1,2,5,6,8                1918846
                    shares
BAT-BRITISH AMER    American      110448107      390       4810 SH         DEFINED    1                           4810
 TOBACCO PLC        Depository
                    Receipt
CINCINNATI BELL INC Common equity 171871106    13936    5201005 SH         DEFINED    1,2,5,6,8                5201005
                    shares
BROOKLINE BANCORP   Common equity 11373M107    26679    2533643 SH         DEFINED    1,2,5,6,8,17             2514433         19210
 INC                shares
BROWN & BROWN INC   Common equity 115236101    80286    3111744 SH         DEFINED    1,2,5,6,8,12             3111744
                    shares
BROWN FORMAN CORP   Common equity 115637100     1101      16213 SH         DEFINED    1,2                        16213
                    shares
BROWN SHOE CO INC   Common equity 115736100    20204    1653033 SH         DEFINED    1,2,5,6,8                1653033
                    shares
BRUKER CORP         Common equity 116794108    33771    1619582 SH         DEFINED    1,2,5,6,8                1619582
                    shares
MATERION CORP       Common equity 576690101    30207     740360 SH         DEFINED    1,2,5,6,8                 740360
                    shares
BRYN MAWR BANK CORP Common equity 117665109     3293     160267 SH         DEFINED    1,2                       160267
                    shares
BUCKEYE PARTNERS LP Limited       118230101     7086     111517 SH         DEFINED    1                         111517
                    Partnership
BUCKEYE             Common equity 118255108    26990     991101 SH         DEFINED    1,2,5,6,8                 991101
 TECHNOLOGIES INC   shares
BUCKLE INC          Common equity 118440106    33720     834689 SH         DEFINED    1,2,5,6,8                 834689
                    shares
ADVANCED BATTERY    Common equity 00752H102     2319    1196028 SH         DEFINED    1,2,6                    1196028
 TECH INC           shares
INCONTACT INC       Common equity 45336E109       57      17500 SH         DEFINED    1                          17500
                    shares
CBL & ASSOCIATES    Real Estate   124830100    83935    4818086 SH         DEFINED    1,2,3,5,6,8,17           4818086
 PPTYS INC          Investment
                    Trust
CDI CORP            Common equity 125071100     4533     306406 SH         DEFINED    1,2,5                     306406
                    shares
CEC ENTERTAINMENT   Common equity 125137109    20120     533256 SH         DEFINED    1,2,5,6,8                 533256
 INC                shares
CH ENERGY GROUP INC Common equity 12541M102    20610     407952 SH         DEFINED    1,2,5,6,8,17              407952
                    shares
C H ROBINSON        Common equity 12541W209   438644    5917266 SH         DEFINED    1,2,5,6,8,10,12,18       5917266
 WORLDWIDE INC      shares
CLECO CORP          Common equity 12561W105    78014    2275171 SH         DEFINED    1,2,5,6,8,12             2275171
                    shares
CPI CORP            Common equity 125902106     2712     120272 SH         DEFINED    1,2                       120272
                    shares
CSS INDUSTRIES INC  Common equity 125906107     3180     168541 SH         DEFINED    1,2                       168541
                    shares
CNA FINANCIAL CORP  Common equity 126117100    10043     339812 SH         DEFINED    1,2,5,6,8,12              339812
                    shares
CNB FINANCIAL       Common equity 126128107     2872     197962 SH         DEFINED    1,2                       197962
 CORP/PA            shares
CNA SURETY CORP     Common equity 12612L108     8840     349769 SH         DEFINED    1,2,5,6,8                 349769
                    shares
CNOOC LTD           American      126132109     2316       9151 SH         DEFINED    1,6                         9151
                    Depository
                    Receipt
CSG SYSTEMS INTL    Common equity 126349109    20335    1019361 SH         DEFINED    1,2,5,6,8                1019361
 INC                shares
CTS CORP            Common equity 126501105     9466     876526 SH         DEFINED    1,2,5,6,8                 876526
                    shares
CVB FINANCIAL CORP  Common equity 126600105    33967    3648423 SH         DEFINED    1,2,5,6,8                3648423
                    shares
BELDEN INC          Common equity 077454106    41633    1108720 SH         DEFINED    1,2,5,6,8                1108720
                    shares
BLUE COAT SYSTEMS   Common equity 09534T508    25981     922721 SH         DEFINED    1,2,5,6,8                 922721
 INC                shares
CABOT CORP          Common equity 127055101   221050    4775296 SH         DEFINED    1,2,5,6,8,12             4775296
                    shares
CABOT OIL & GAS     Common equity 127097103   286729    5413015 SH         DEFINED    1,2,5,6,8,10,12,18       5413015
 CORP               shares
CABOT               Common equity 12709P103    31800     608681 SH         DEFINED    1,2,5,6,8                 608681
 MICROELECTRONICS   shares
 CORP
CACHE INC           Common equity 127150308       57      12440 SH         DEFINED    1                          12440
                    shares
CADIZ INC           Common equity 127537207     3349     274706 SH         DEFINED    1,2,5                     274706
                    shares
HELIX ENERGY        Common equity 42330P107    87981    5115028 SH         DEFINED    1,2,5,6,8,12             5115028
 SOLUTIONS GROUP    shares
CAL-MAINE FOODS INC Common Stock  128030202     9412     318694 SH         DEFINED    1,2,5,8,17                318694
CALGON CARBON CORP  Common equity 129603106    18716    1178350 SH         DEFINED    1,2,5,6,8                1178350
                    shares
CALAMP CORP         Common equity 128126109       56      16616 SH         DEFINED    1                          16616
                    shares
CENTER FINANCIAL    Common equity 15146E102     4750     647300 SH         DEFINED    1,2                       647300
 CORP/CA            shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CALIFORNIA PIZZA    Common equity 13054D109     9124     540366 SH         DEFINED    1,2,5,6,8                 540366
 KITCHEN INC        shares
CALIFORNIA WATER    Common equity 130788102    17077     459439 SH         DEFINED    1,2,5,6,8                 459439
 SERVICE GP         shares
CALIPER LIFE        Common Stock  130872104     5545     820461 SH         DEFINED    1,2                       820461
 SCIENCES INC
CALLAWAY GOLF CO    Common equity 131193104     9334    1368885 SH         DEFINED    1,2,5,6,8                1368885
                    shares
CALLON PETROLEUM    Common equity 13123X102     5322     685132 SH         DEFINED    1,2                       685132
 CO/DE              shares
CAMBREX CORP        Common equity 132011107     3696     671819 SH         DEFINED    1,2,8                     671819
                    shares
CAMDEN NATIONAL     Common equity 133034108     5309     155021 SH         DEFINED    1,2,5,8                   155021
 CORP               shares
CANADIAN NATIONAL   Common equity 136375102      211       2800 SH         DEFINED    1,8                         2800
 RAILWAY CO         shares
ICONIX BRAND GROUP  Common equity 451055107    38144    1775838 SH         DEFINED    1,2,5,6,8                1775838
 INC                shares
CANON INC           American      138006309      305       7022 SH         DEFINED    1,2                         7022
                    Depository
                    Receipt
CANTEL MEDICAL CORP Common equity 138098108    10586     411069 SH         DEFINED    1,2,6,8                   411069
                    shares
CAPITAL CITY BK     Common equity 139674105     2835     223401 SH         DEFINED    1,2,5,8                   223401
 GROUP INC          shares
CAPITAL SENIOR      Common equity 140475104     5074     477758 SH         DEFINED    1,2                       477758
 LIVING CORP        shares
CAPITAL SOUTHWEST   Common Stock  140501107     4934      53968 SH         DEFINED    1,2,8                      53968
 CORP
CAPITAL TRUST       Real Estate   14052H506       38      15933 SH         DEFINED    1                          15933
 INC/MD             Investment
                    Trust
CAPITOL FEDERAL     Common equity 14057J101     9207     816692 SH         DEFINED    1,2,5,6,8                 816692
 FINL INC           shares
CAPSTONE TURBINE    Common equity 14067D102     8002    4420586 SH         DEFINED    1,2,6,8                  4420586
 CORP               shares
CAPSTEAD MORTGAGE   Real Estate   14067E506    21145    1654198 SH         DEFINED    1,2,5,6,8                1654198
 CORP               Investment
                    Trust
CARACO              Common equity 14075T107     1277     244977 SH         DEFINED    1,2                       244977
 PHARMACEUTICAL     shares
 LABS
CARBO CERAMICS INC  Common equity 140781105    79325     562101 SH         DEFINED    1,2,5,6,8                 562101
                    shares
CARDINAL FINANCIAL  Common equity 14149F109     6362     545780 SH         DEFINED    1,2,6,8                   545780
 CORP               shares
CARLISLE COS INC    Common equity 142339100    68338    1534082 SH         DEFINED    1,2,5,6,8,12             1534082
                    shares
CARPENTER           Common equity 144285103    87496    2048586 SH         DEFINED    1,2,5,6,8,12             2048586
 TECHNOLOGY CORP    shares
CARRIZO OIL & GAS   Common equity 144577103    49786    1348104 SH         DEFINED    1,2,5,6,8                1348104
 INC                shares
CASCADE CORP        Common equity 147195101     9270     207904 SH         DEFINED    1,2,5,8                   207904
                    shares
CASELLA WASTE SYS   Common equity 147448104     2959     412701 SH         DEFINED    1,2                       412701
 INC  -CL A         shares
CASEYS GENERAL      Common equity 147528103    48440    1242042 SH         DEFINED    1,2,5,6,8,17             1242042
 STORES INC         shares
CASH AMERICA INTL   Common equity 14754D100    29864     648397 SH         DEFINED    1,2,5,6,8,17              648397
 INC                shares
CASS INFORMATION    Common equity 14808P109     6405     162975 SH         DEFINED    1,2,6,8,17                162975
 SYSTEMS INC        shares
CASTLE (A M) & CO   Common equity 148411101     6574     348369 SH         DEFINED    1,2,5                     348369
                    shares
CATHAY GENERAL      Common equity 149150104    65011    3813052 SH         DEFINED    1,2,5,6,8,12             3813052
 BANCORP            shares
CATO CORP  -CL A    Common equity 149205106    25215    1029113 SH         DEFINED    1,2,5,6,8                1029113
                    shares
JAGUAR MINING INC   Common Stock  47009M103     8293    1588427 SH         DEFINED    1,2                      1588427
 COMMON STOCK CAD
CEDAR SHOPPING      Real Estate   150602209    10970    1819574 SH         DEFINED    1,2,3,5,8                1819574
 CENTERS INC        Investment
                    Trust
CEL-SCI CORP        Common equity 150837409       65     104456 SH         DEFINED    1                         104456
                    shares
CELADON GROUP INC   Common Stock  150838100    10167     626024 SH         DEFINED    1,2,6,8                   626024
CELL THERAPEUTICS   Common Stock  150934503      219     592662 SH         DEFINED    1,5,6,8                   592662
 INC
CELESTICA INC       Common equity 15101Q108      286      26699 SH         DEFINED    1,2                        26699
                    shares
CELGENE CORP        Common equity 151020104   977618   16993211 SH         DEFINED    1,2,5,6,8,10,12,18      16993211
                    shares
CEMEX SAB DE CV     American      151290889     3548     397269 SH         DEFINED    1,6,8,10                  397269
                    Depository
                    Receipt
CENTERSTATE BANKS   Common equity 15201P109     3084     440168 SH         DEFINED    1,2                       440168
 INC                shares
CENTRAIS ELETRICAS  American      15234Q108     1451      74979 SH         DEFINED    1,2,5,6                    74979
 BRASILEIR          Depository
                    Receipt
ELETROBRAS-CENTR    Depository    15234Q207     3537     227988 SH         DEFINED    1,2,5,6,10                227988
 ELETR BRAS         Receipt
AOXING              Common equity 03740A106      656     303628 SH         DEFINED    1,2                       303628
 PHARMACEUTICAL CO  shares
 INC
CENTRAL EUROPEAN    Common equity 153435102     9013     794420 SH         DEFINED    1,2,5,6,8                 794420
 DIST CORP          shares
CENTRAL GARDEN &    Common equity 153527106       95      10726 SH         DEFINED    1,5                        10726
 PET CO             shares
CENTRAL VERMONT PUB Common equity 155771108     7345     315245 SH         DEFINED    1,2,5,8                   315245
 SERV               shares
CENTURY ALUMINUM CO Common equity 156431108    62338    3337373 SH         DEFINED    1,2,5,6,8                3337373
                    shares
CENTURY BANCORP     Common equity 156432106     1757      65683 SH         DEFINED    1,2                        65683
 INC/MA             shares
CBIZ INC            Common equity 124805102     6854     950863 SH         DEFINED    1,2,5,6,8                 950863
                    shares
CENTURY CASINOS INC Common equity 156492100       31      10400 SH         DEFINED    1                          10400
                    shares
CEPHEID INC         Common Stock  15670R107    44530    1589448 SH         DEFINED    1,2,5,6,8                1589448
CERADYNE INC        Common equity 156710105    30781     682711 SH         DEFINED    1,2,5,6,8                 682711
                    shares
ARBITRON INC        Common equity 03875Q108    25410     634766 SH         DEFINED    1,2,5,6,8                 634766
                    shares
CERNER CORP         Common equity 156782104   285475    2567259 SH         DEFINED    1,2,5,6,8,10,12,18       2567259
                    shares
COCA-COLA           Common equity 19122T109   436553   15990840 SH         DEFINED    1,2,5,6,8,10,12,18      15990840
 ENTERPRISES INC    shares
CERUS CORP          Common equity 157085101     1996     690074 SH         DEFINED    1,2                       690074
                    shares
SILVER WHEATON CORP Common Stock  828336107     1201      27700 SH         DEFINED    18                         27700
CHARLES & COLVARD   Common equity 159765106       38      10104 SH         DEFINED    1                          10104
 LTD                shares
CRA INTERNATIONAL   Common equity 12618T105     7201     249676 SH         DEFINED    1,2,8                     249676
 INC                shares
CHARMING SHOPPES    Common equity 161133103    10499    2463944 SH         DEFINED    1,2,5,8                  2463944
 INC                shares
CHASE CORP          Common equity 16150R104      241      12960 SH         DEFINED    1,17                        3160          9800
                    shares
CHECKPOINT SYSTEMS  Common equity 162825103    20774     924376 SH         DEFINED    1,2,5,6,8                 924376
 INC                shares
CHEESECAKE FACTORY  Common equity 163072101    65398    2173530 SH         DEFINED    1,2,5,6,8,12             2173530
 INC                shares
CHEMED CORP         Common equity 16359R103    36054     541271 SH         DEFINED    1,2,5,6,8                 541271
                    shares
CHEMICAL FINANCIAL  Common equity 163731102    10099     506521 SH         DEFINED    1,2,5,8                   506521
 CORP               shares
CHENIERE ENERGY INC Common equity 16411R208    10639    1142536 SH         DEFINED    1,2,6,8                  1142536
                    shares
CHEROKEE INC/DE     Common equity 16444H102     2612     151235 SH         DEFINED    1,2,5                     151235
                    shares
CHESAPEAKE          Common equity 165303108     8367     201030 SH         DEFINED    1,2,5,6,8,17              201030
 UTILITIES CORP     shares
BJ`S RESTAURANTS    Common equity 09180C106    18028     458285 SH         DEFINED    1,2,5,6,8                 458285
 INC                shares
CHILDRENS PLACE     Common equity 168905107    41517     833052 SH         DEFINED    1,2,5,6,8                 833052
 RETAIL STRS        shares
CHINA MOBILE LTD    American      16941M109     1902      41127 SH         DEFINED    1,6                        41127
                    Depository
                    Receipt
CHINA PETROLEUM &   American      16941R108      859       8544 SH         DEFINED    1,6                         8544
 CHEM CORP          Depository
                    Receipt
CHINA UNICOM (HONG  American      16945R104      556      33474 SH         DEFINED    1,6                        33474
 KONG) LTD          Depository
                    Receipt
CHOICE HOTELS INTL  Common equity 169905106    12550     323047 SH         DEFINED    1,2,5,6,8                 323047
 INC                shares
CHRISTOPHER & BANKS Common equity 171046105     5326     821820 SH         DEFINED    1,2,5,8                   821820
 CORP               shares
CHURCH & DWIGHT INC Common equity 171340102   172540    2174674 SH         DEFINED    1,2,5,6,8,10,12,17,18    2174674
                    shares
CHURCHILL DOWNS INC Common equity 171484108     9699     233692 SH         DEFINED    1,2,5,8                   233692
                    shares
CIBER INC           Common equity 17163B102    11208    1672678 SH         DEFINED    1,2,5,8                  1672678
                    shares
CIRCOR INTL INC     Common equity 17273K109    17241     366643 SH         DEFINED    1,2,5,6,8                 366643
                    shares
CIRRUS LOGIC INC    Common equity 172755100    32092    1526053 SH         DEFINED    1,2,5,6,8                1526053
                    shares
READING INTL INC    Common Stock  755408101       71      14100 SH         DEFINED    1                          14100
 -CL A
CITIZENS & NORTHERN Common equity 172922106     3412     203154 SH         DEFINED    1,2                       203154
 CORP               shares
CITIZENS REPUBLIC   Common Stock  174420109     7509    8442970 SH         DEFINED    1,2,8                    8442970
 BANCORP
CITIZENS INC        Common equity 174740100     4936     676253 SH         DEFINED    1,2,5,6,8                 676253
                    shares
CITY HOLDING CO     Common equity 177835105    25332     716325 SH         DEFINED    1,2,5,6,8,17              716325
                    shares
CITY NATIONAL CORP  Common equity 178566105    85689    1501986 SH         DEFINED    1,2,5,6,8,12             1501986
                    shares
CLARCOR INC         Common equity 179895107    54015    1202366 SH         DEFINED    1,2,5,6,8                1202366
                    shares
CLEAN HARBORS INC   Common Stock  184496107    82851     839749 SH         DEFINED    1,2,5,6,8,12              839749
CLIFFS NATURAL      Common equity 18683K101   565301    5752017 SH         DEFINED    1,2,5,6,8,10,12,18       5752017
 RESOURCES INC      shares
COCA-COLA BTLNG     Common equity 191098102     5793      86733 SH         DEFINED    1,2,6,8                    86733
 CONS               shares
COCA-COLA FEMSA SAB American      191241108    11317     146975 SH         DEFINED    1,2,6,18                  146975
 DE CV              Depository
                    Receipt
COEUR D`ALENE MINES Common equity 192108504   106495    3061961 SH         DEFINED    1,2,5,6,8,18             3061961
 CORP               shares
COGNEX CORP         Common equity 192422103    24659     872909 SH         DEFINED    1,2,5,6,8                 872909
                    shares
COGNIZANT TECH      Common equity 192446102   886593   10891767 SH         DEFINED    1,2,5,6,8,10,12,18      10891767
 SOLUTIONS          shares
COHERENT INC        Common Stock  192479103    34678     596726 SH         DEFINED    1,2,5,6,8                 596726
COHU INC            Common equity 192576106     8173     532156 SH         DEFINED    1,2,5,8                   532156
                    shares
COINSTAR INC        Common equity 19259P300    33686     733607 SH         DEFINED    1,2,5,6,8                 733607
                    shares
COLDWATER CREEK INC Common equity 193068103     3378    1279833 SH         DEFINED    1,2,5,6,8                1279833
                    shares
COLE KENNETH PROD   Common equity 193294105     2358     181909 SH         DEFINED    1,2                       181909
 INC  -CL A         shares
COLONIAL PROPERTIES Real Estate   195872106    54977    2856109 SH         DEFINED    1,2,3,5,6,8              2856109
 TRUST              Investment
                    Trust
COBIZ FINANCIAL INC Common equity 190897108     4208     605585 SH         DEFINED    1,2,5                     605585
                    shares
COLUMBIA BANKING    Common equity 197236102    29530    1540427 SH         DEFINED    1,2,5,6,8                1540427
 SYSTEM INC         shares
KODIAK OIL & GAS    Common equity 50015Q100    23096    3447525 SH         DEFINED    1,2,6,8                  3447525
 CORP               shares
COLUMBIA            Common equity 197779101      131      34913 SH         DEFINED    1                          34913
 LABORATORIES INC   shares
COLUMBIA SPORTSWEAR Common equity 198516106    13883     233613 SH         DEFINED    1,2,5,6,8                 233613
 CO                 shares
COLUMBUS MCKINNON   Common equity 199333105     7566     409827 SH         DEFINED    1,2,6,8                   409827
 CORP               shares
COMFORT SYSTEMS USA Common equity 199908104    14727    1046751 SH         DEFINED    1,2,5,6,8                1046751
 INC                shares
COMCAST CORP NEW    Common equity 20030N200   116444    5015010 SH         DEFINED    1,2,5,8,10,12,18         5015010
                    shares
COMMERCE BANCSHARES Common equity 200525103   203390    5029301 SH         DEFINED    1,2,5,6,8,12,17          5029301
 INC                shares
COMMERCIAL METALS   Common equity 201723103    91165    5278890 SH         DEFINED    1,2,5,6,8,12             5278890
                    shares
NATIONAL RETAIL     Real Estate   637417106   208649    7985168 SH         DEFINED    1,2,3,5,6,8              7985168
 PROPERTIES         Investment
                    Trust
COMMUNITY BANK      Common equity 203607106    33103    1364020 SH         DEFINED    1,2,5,6,8                1364020
 SYSTEM INC         shares
COMMUNITY TRUST     Common equity 204149108     7928     286488 SH         DEFINED    1,2,5,8                   286488
 BANCORP INC        shares
CIA ENERGETICA DE   American      204409601    11921     618599 SH         DEFINED    1,2,4,5,6,8,10            618599
 MINAS              Depository
                    Receipt
CIA BRASILEIRA DE   American      20440T201     4333     103338 SH         DEFINED    1,2,4,5,6,10              103338
 DISTRIB            Depository
                    Receipt
COMPANHIA           American      20440W105    23362    1402178 SH         DEFINED    1,2,4,5,6,8,10           1402178
 SIDERURGICA NACION Depository
                    Receipt
VALE S A            American      91912E204   101254    3429964 SH         DEFINED    1,2,4,5,6,8,10           3429964
                    Depository
                    Receipt
COPEL-CIA           American      20441B407    17288     622079 SH         DEFINED    1,2,6,10,18               622079
 PARANAENSE ENERGIA Depository
                    Receipt
CIA DE BEBIDAS DAS  American      20441W203   107621    3801547 SH         DEFINED    1,2,4,5,6,8,10,18        3801547
 AMERICAS           Depository
                    Receipt
COMPANIA            American      204429104     8162     138103 SH         DEFINED    1,2,5,6                   138103
 CERVECERIAS UNIDAS Depository
                    Receipt
COMPUCREDIT         Common equity 20478T107     1660     252285 SH         DEFINED    1,2                       252285
 HOLDINGS CORP      shares
COMPUTER TASK GROUP Common Stock  205477102     3665     275829 SH         DEFINED    1,2                       275829
 INC
COMPX INTERNATIONAL Common Stock  20563P101      160      10089 SH         DEFINED    1                          10089
 INC
COMSTOCK RESOURCES  Common equity 205768203    62661    2025377 SH         DEFINED    1,2,5,6,8,12             2025377
 INC                shares
COMTECH TELECOMMUN  Common equity 205826209    21735     799826 SH         DEFINED    1,2,5,6,8                 799826
                    shares
CONCEPTUS INC       Common Stock  206016107     9125     631430 SH         DEFINED    1,2,5,6,8                 631430
CONCUR TECHNOLOGIES Common equity 206708109    90843    1638140 SH         DEFINED    1,2,5,6,8,12             1638140
 INC                shares
CONEXANT SYSTEMS    Common equity 207142308     3482    1462986 SH         DEFINED    1,2,6,8                  1462986
 INC                shares
CONMED CORP         Common equity 207410101    17956     683474 SH         DEFINED    1,2,5,6,8                 683474
                    shares
CONNECTICUT WATER   Common equity 207797101     4565     173064 SH         DEFINED    1,2,5,17                  173064
 SVC INC            shares
MAJESCO             Common equity 560690208       56      17557 SH         DEFINED    1                          17557
 ENTERTAINMENT CO   shares
CONSOL ENERGY INC   Common equity 20854P109   565697   10548020 SH         DEFINED    1,2,5,6,8,10,12,18      10548020
                    shares
CONSOLIDATED        Common equity 209341106    15024     275045 SH         DEFINED    1,2,5,6,8,17              274195           850
 GRAPHICS INC       shares
CONSOLIDATED TOMOKA Common equity 210226106     3801     117307 SH         DEFINED    1,2,5,6                   117307
 LAND CO            shares
CONTANGO OIL & GAS  Common equity 21075N204    36469     576655 SH         DEFINED    1,2,5,6,8                 576655
 CO                 shares
CONTINUCARE CORP    Common Stock  212172100     2657     496356 SH         DEFINED    1,2                       496356
COOPER COMPANIES    Common equity 216648402    94358    1358567 SH         DEFINED    1,2,5,6,8,12,17,18       1358567
 INC                shares
COPART INC          Common equity 217204106    73317    1692079 SH         DEFINED    1,2,5,6,8,12             1692079
                    shares
CORN PRODUCTS INTL  Common equity 219023108   120144    2318464 SH         DEFINED    1,2,5,6,8,12,17,18       2314684          3780
 INC                shares
NEOSTEM INC         Common equity 640650305      716     416161 SH         DEFINED    1,2                       416161
                    shares
CORPORATE EXECUTIVE Common Stock  21988R102    50433    1249237 SH         DEFINED    1,2,5,6,8,12             1249237
 BRD CO
CORRECTIONS CORP    Common equity 22025Y407    71118    2914789 SH         DEFINED    1,2,5,6,8,12             2914789
 AMER               shares
CORVEL CORP         Common equity 221006109     8967     168640 SH         DEFINED    1,2,5,6,8                 168640
                    shares
COST PLUS INC       Common equity 221485105      112      11437 SH         DEFINED    1                          11437
                    shares
COSTAR GROUP INC    Common equity 22160N109    26106     416492 SH         DEFINED    1,2,5,6,8                 416492
                    shares
COURIER CORP        Common equity 222660102     3085     220999 SH         DEFINED    1,2                       220999
                    shares
COUSINS PROPERTIES  Real Estate   222795106    36431    4363000 SH         DEFINED    1,2,3,5,6,8,12           4363000
 INC                Investment
                    Trust
CRAWFORD & CO       Common equity 224633107     2193     460613 SH         DEFINED    1,2                       460613
                    shares
CRAY INC            Common Stock  225223304     4919     762320 SH         DEFINED    1,2,5,6,8                 762320
CREDIT ACCEPTANCE   Common Stock  225310101     9466     133402 SH         DEFINED    1,2,5,6,8                 133402
 CORP
CROWN CASTLE INTL   Common equity 228227104   216066    5077891 SH         DEFINED    1,2,5,6,8,10,12,18       5077891
 CORP               shares
CROWN HOLDINGS INC  Common equity 228368106   127558    3306332 SH         DEFINED    1,2,5,6,8,10,12,18       3306332
                    shares
AMERICA`S CAR-MART  Common equity 03062T105     5541     214911 SH         DEFINED    1,2,5,6                   214911
 INC                shares
CROWN MEDIA         Common equity 228411104     1115     481528 SH         DEFINED    1,2                       481528
 HOLDINGS INC       shares
CRYOLIFE INC        Common equity 228903100     4329     710147 SH         DEFINED    1,2,6                     710147
                    shares
CUBIC CORP          Common equity 229669106    20889     363189 SH         DEFINED    1,2,5,6,8                 363189
                    shares
CUBIC ENERGY INC    Common equity 229675103       19      26500 SH         DEFINED    1                          26500
                    shares
CUBIST              Common equity 229678107    47244    1871887 SH         DEFINED    1,2,5,6,8                1871887
 PHARMACEUTICALS    shares
 INC
CULLEN/FROST        Common equity 229899109   130568    2212232 SH         DEFINED    1,2,5,6,8,12,17          2212232
 BANKERS INC        shares
CULP INC            Common equity 230215105     1033     111351 SH         DEFINED    1,2                       111351
                    shares
CURIS INC           Common equity 231269101     4225    1299354 SH         DEFINED    1,2                      1299354
                    shares
CURTISS-WRIGHT CORP Common equity 231561101    35431    1008274 SH         DEFINED    1,2,5,6,8                1008274
                    shares
CYBERONICS INC      Common Stock  23251P102    18695     587737 SH         DEFINED    1,2,5,6,8                 587737
CYMER INC           Common equity 232572107    39604     699905 SH         DEFINED    1,2,5,6,8                 699905
                    shares
CYPRESS             Common Stock  232806109    95620    4934174 SH         DEFINED    1,2,5,6,8,12             4934174
 SEMICONDUCTOR CORP
CYTRX CORP          Common equity 232828301     1301    1476896 SH         DEFINED    1,2                      1476896
                    shares
OPKO HEALTH INC     Common equity 68375N103     6215    1666020 SH         DEFINED    1,2,6                    1666020
                    shares
AVIAT NETWORKS INC  Common Stock  05366Y102     8094    1565624 SH         DEFINED    1,2,5,8,18               1565624
DSP GROUP INC       Common equity 23332B106     4950     642675 SH         DEFINED    1,2                       642675
                    shares
DXP ENTERPRISES INC Common equity 233377407     4524     195965 SH         DEFINED    1,2,6                     195965
                    shares
DAKTRONICS INC      Common equity 234264109     8054     748988 SH         DEFINED    1,2,5,6,8                 748988
                    shares
COVANTA HOLDING     Common equity 22282E102    24447    1431403 SH         DEFINED    1,2,5,6,8                1431403
 CORP               shares
DARLING             Common equity 237266101    35806    2329728 SH         DEFINED    1,2,5,6,8                2329728
 INTERNATIONAL INC  shares
NGAS RESOURCES INC  Common Stock  62912T103       15      22791 SH         DEFINED    1                          22791
DAVITA INC          Common equity 23918K108   299152    3498388 SH         DEFINED    1,2,5,6,8,10,12,18       3498388
                    shares
DAWSON GEOPHYSICAL  Common equity 239359102     8046     183422 SH         DEFINED    1,2,5,6,8                 183422
 CO                 shares
DEARBORN BANCORP    Common equity 24242R108       15      11040 SH         DEFINED    1                          11040
 INC                shares
DECKERS OUTDOOR     Common equity 243537107   127124    1475495 SH         DEFINED    1,2,5,6,8,12             1475495
 CORP               shares
DELPHI FINANCIAL    Common equity 247131105    39214    1276981 SH         DEFINED    1,2,5,6,8                1276981
 GROUP INC          shares
DELTA APPAREL INC   Common equity 247368103     1248      87415 SH         DEFINED    1,2                        87415
                    shares
DELTIC TIMBER CORP  Common equity 247850100    15887     237677 SH         DEFINED    1,2,5,6,8                 237677
                    shares
DELTA PETROLEUM     Common Stock  247907207     3184    3496384 SH         DEFINED    1,2,5,8                  3496384
 CORP
DENBURY RESOURCES   Common equity 247916208   465772   19089319 SH         DEFINED    1,2,5,6,8,10,12,18      19089319
 INC                shares
DENDREON CORP       Common Stock  24823Q107    80361    2147072 SH         DEFINED    1,2,5,6,8,12             2147072
DENTSPLY INTERNATL  Common equity 249030107   186051    5029695 SH         DEFINED    1,2,5,6,8,10,12,18       5029695
 INC                shares
DEPOMED INC         Common equity 249908104    15217    1516047 SH         DEFINED    1,2,6                    1516047
                    shares
CASUAL MALE RETAIL  Common equity 148711302     3024     616301 SH         DEFINED    1,2                       616301
 GRP INC            shares
DEVRY INC           Common equity 251893103   119611    2171715 SH         DEFINED    1,2,5,6,8,10,12,18       2171715
                    shares
DIAMOND OFFSHRE     Common equity 25271C102   252655    3251645 SH         DEFINED    1,2,5,6,8,10,12,18       3251645
 DRILLING INC       shares
DIEBOLD INC         Common equity 253651103   138399    3902812 SH         DEFINED    1,2,5,6,8,12             3902812
                    shares
DIGI INTERNATIONAL  Common equity 253798102     6746     638675 SH         DEFINED    1,2,5,6                   638675
 INC                shares
DIGITAL RIVER INC   Common equity 25388B104    55060    1471081 SH         DEFINED    1,2,5,6,8,12             1471081
                    shares
DG FASTCHANNEL INC  Common Stock  23326R109    17320     537556 SH         DEFINED    1,2,5,6,8                 537556
DIME COMMUNITY      Common equity 253922108     9438     639414 SH         DEFINED    1,2,5,8                   639414
 BANCSHARES         shares
ALLIANCE ONE INTL   Common equity 018772103     6612    1645347 SH         DEFINED    1,2,5                    1645347
 INC                shares
DIODES INC          Common equity 254543101    30467     894384 SH         DEFINED    1,2,5,6,8                 894384
                    shares
DIONEX CORP         Common equity 254546104    48892     414182 SH         DEFINED    1,2,5,6,8                 414182
                    shares
INFINITY            Common Stock  45665G303     1557     264527 SH         DEFINED    1,2                       264527
 PHARMACEUTICALS
 INC
NAUTILUS INC        Common equity 63910B102       47      16260 SH         DEFINED    1                          16260
                    shares
DITECH NETWORKS INC Common equity 25500T108       30      21085 SH         DEFINED    1                          21085
                    shares
DOLLAR THRIFTY      Common equity 256743105    40592     608385 SH         DEFINED    1,2,5,6,8                 608385
 AUTOMOTIVE GP      shares
DONALDSON CO INC    Common equity 257651109   121721    1986068 SH         DEFINED    1,2,5,6,8,12             1986068
                    shares
DOT HILL SYSTEMS    Common equity 25848T109       96      33784 SH         DEFINED    1                          33784
 CORP               shares
ASCENA RETAIL GROUP Common equity 04351G101    88272    2723598 SH         DEFINED    1,2,5,6,8,12             2723598
 INC                shares
DREW INDUSTRIES INC Common equity 26168L205    10251     459140 SH         DEFINED    1,2,5,8                   459140
                    shares
DRIL-QUIP INC       Common equity 262037104   117394    1485377 SH         DEFINED    1,2,5,6,8,12             1485377
                    shares
PACIFIC ETHANOL INC Common Stock  69423U107       28      45744 SH         DEFINED    1                          45744
DRUGSTORE.COM INC   Common Stock  262241102     6151    1597418 SH         DEFINED    1,2                      1597418
DUCOMMUN INC        Common equity 264147109     7432     310907 SH         DEFINED    1,2,5                     310907
                    shares
DURECT CORP         Common equity 266605104     7068    1963367 SH         DEFINED    1,2,5,6                  1963367
                    shares
DYAX CORP           Common equity 26746E103     2627    1631612 SH         DEFINED    1,2,5,6,8                1631612
                    shares
DYCOM INDUSTRIES    Common equity 267475101    13990     806697 SH         DEFINED    1,2,5,6,8                 806697
 INC                shares
DYNAMIC MATERIALS   Common equity 267888105     7815     279565 SH         DEFINED    1,2,5,6,8                 279565
 CORP               shares
DYNEX CAPITAL INC   Real Estate   26817Q506     4666     463902 SH         DEFINED    1,2                       463902
                    Investment
                    Trust
EMC INSURANCE GROUP Common equity 268664109     2873     115904 SH         DEFINED    1,2                       115904
 INC                shares
EMS TECHNOLOGIES    Common equity 26873N108     6343     322581 SH         DEFINED    1,2,6,8                   322581
 INC                shares
ENI SPA             American      26874R108     2161      43960 SH         DEFINED    1,2                        43960
                    Depository
                    Receipt
EPIQ SYSTEMS INC    Common equity 26882D109    10684     744079 SH         DEFINED    1,2,5,6,8                 744079
                    shares
ESB FINANCIAL CORP  Common equity 26884F102     2322     157261 SH         DEFINED    1,2,5                     157261
                    shares
EAGLE BANCORP       Common equity 268948106     4054     288499 SH         DEFINED    1,2                       288499
 INC/MD             shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
EARTHLINK INC       Common equity 270321102    23127    2953659 SH         DEFINED    1,2,5,6,8,17             2953659
                    shares
EAST WEST BANCORP   Common equity 27579R104   107641    4901433 SH         DEFINED    1,2,5,6,8,12             4901433
 INC                shares
RODMAN & RENSHAW    Common equity 77487R100      527     257784 SH         DEFINED    1,2                       257784
 CAPITAL GP         shares
EATON VANCE CORP    Common equity 278265103   196489    6094628 SH         DEFINED    1,2,5,6,8,10,12,18       6094628
                    shares
EBIX INC            Common equity 278715206    14495     612983 SH         DEFINED    1,2,5,6,8                 612983
                    shares
ECHELON CORP        Common Stock  27874N105     6928     684063 SH         DEFINED    1,2,5,6,8                 684063
EDGAR ONLINE INC    Common equity 279765101       15      11200 SH         DEFINED    1                          11200
                    shares
EDGEWATER           Common equity 280358102       49      15519 SH         DEFINED    1                          15519
 TECHNOLOGY INC     shares
EL PASO ELECTRIC CO Common equity 283677854    32352    1064186 SH         DEFINED    1,2,5,6,8                1064186
                    shares
ELECTRO RENT CORP   Common equity 285218103     6999     407263 SH         DEFINED    1,2,5,8,17                407263
                    shares
ELECTRO SCIENTIFIC  Common equity 285229100    10499     604868 SH         DEFINED    1,2,5,6,8                 604868
 INDS INC           shares
ELECTRONICS FOR     Common equity 286082102    15767    1071868 SH         DEFINED    1,2,5,6,8                1071868
 IMAGING INC        shares
ELLIS PERRY INTL    Common equity 288853104     9448     343299 SH         DEFINED    1,2,6                     343299
 INC                shares
EMBRAER SA          American      29082A107     3257      96596 SH         DEFINED    1,2,4,5,6,8,10,18          96596
                    Depository
                    Receipt
EMBOTELLADORA       American      29081P204      216       9114 SH         DEFINED    1,6                         9114
 ANDINA S A         Depository
                    Receipt
EMBOTELLADORA       American      29081P303      490      16754 SH         DEFINED    1,5,6                      16754
 ANDINA SA          Depository
                    Receipt
EMCORE CORP         Common equity 290846104      139      53463 SH         DEFINED    1                          53463
                    shares
EMCOR GROUP INC     Common equity 29084Q100    51550    1664594 SH         DEFINED    1,2,5,6,8                1664594
                    shares
EMERITUS CORP       Common equity 291005106    11103     435984 SH         DEFINED    1,2,5,6,8                 435984
                    shares
EMMIS               Common equity 291525103       37      36922 SH         DEFINED    1                          36922
 COMMUNICATIONS     shares
 CP-CL A
EMPIRE DISTRICT     Common equity 291641108    19657     902162 SH         DEFINED    1,2,5,6,8                 902162
 ELECTRIC CO        shares
ENDESA-EMPR NAC     American      29244T101    27277     490388 SH         DEFINED    1,2,5,6,10                490388
 ELEC (CHILE)       Depository
                    Receipt
ENBRIDGE INC        Common equity 29250N105      244       3968 SH         DEFINED    1                           3968
                    shares
ENCORE WIRE CORP    Common equity 292562105     9938     408346 SH         DEFINED    1,2,5,8                   408346
                    shares
ENDO                Common equity 29264F205   140323    3677238 SH         DEFINED    1,2,5,6,8,12             3677238
 PHARMACEUTICALS    shares
 HLDGS
ENERGY CONVERSION   Common equity 292659109     2281    1010104 SH         DEFINED    1,2,5,6,8                1010104
 DEV                shares
ENERGEN CORP        Common equity 29265N108   149328    2365795 SH         DEFINED    1,2,5,6,8,10,12,18       2365795
                    shares
ENERGY PARTNERS LTD Common Stock  29270U303    21895    1216215 SH         DEFINED    1,2                      1216215
ENERPLUS CORP       Composition   292766102      528      16697 SH         DEFINED    1,2                        16697
                    of more than
                    1 security
ENERSIS SA          American      29274F104    18717     898933 SH         DEFINED    1,2,5,6,8,10              898933
                    Depository
                    Receipt
ENNIS INC           Common equity 293389102     9330     547789 SH         DEFINED    1,2,5,8                   547789
                    shares
ENSTAR GROUP LTD    Common equity G3075P101    13903     139188 SH         DEFINED    1,2,5,6,8                 139188
                    shares
ENTERCOM            Common equity 293639100     4888     443705 SH         DEFINED    1,2,8                     443705
 COMMUNICATIONS     shares
 CORP
ENTERPRISE PRODS    Limited       293792107    36373     844703 SH         DEFINED    1                         844703
 PRTNRS  -LP        Partnership
ENTERTAINMENT       Real Estate   29380T105    59361    1267889 SH         DEFINED    1,2,3,5,6,8              1267889
 PROPERTIES TR      Investment
                    Trust
ENTRAVISION         Common equity 29382R107     2097     773685 SH         DEFINED    1,2                       773685
 COMMUNICATIONS     shares
ENZON               Common Stock  293904108    15468    1418952 SH         DEFINED    1,2,5,6,8                1418952
 PHARMACEUTICALS
 INC
ENZO BIOCHEM INC    Common equity 294100102     3092     738650 SH         DEFINED    1,2,5,6,8                 738650
                    shares
EPLUS INC           Common Stock  294268107     1718      64574 SH         DEFINED    1,2                        64574
EPICOR SOFTWARE     Common equity 29426L108    13205    1192917 SH         DEFINED    1,2,5,6,8                1192917
 CORP               shares
EQUINIX INC         Common equity 29444U502   110356    1211402 SH         DEFINED    1,2,5,6,8,12             1211402
                    shares
EQT CORP            Common equity 26884L109   310596    6224057 SH         DEFINED    1,2,5,6,8,10,12,18       6224057
                    shares
EQUITY ONE INC      Real Estate   294752100    39392    2098517 SH         DEFINED    1,2,3,5,6,8,12           2098517
                    Investment
                    Trust
ERICSSON (LM)       American      294821608     7080     550567 SH         DEFINED    1,2                       550567
 TELEFON            Depository
                    Receipt
ERIE INDEMNITY CO   Common equity 29530P102    25831     363325 SH         DEFINED    1,2,5,6,8,12              363325
 -CL A              shares
ESCALON MEDICAL     Common equity 296074305       33      27760 SH         DEFINED    2                          27760
 CORP               shares
ESCO TECHNOLOGIES   Common equity 296315104    23928     627177 SH         DEFINED    1,2,5,6,8                 627177
 INC                shares
BGC PARTNERS INC    Common equity 05541T101    11342    1220897 SH         DEFINED    1,2,5,6,8                1220897
                    shares
ESTERLINE           Common equity 297425100    50825     718686 SH         DEFINED    1,2,5,6,8                 718686
 TECHNOLOGIES CORP  shares
ETHAN ALLEN         Common equity 297602104    20816     950471 SH         DEFINED    1,2,5,6,8                 950471
 INTERIORS INC      shares
NEWMARKET CORP      Common equity 651587107    65901     416543 SH         DEFINED    1,2,5,6,8,12              416543
                    shares
EURONET WORLDWIDE   Common equity 298736109    21972    1136754 SH         DEFINED    1,2,5,6,8                1136754
 INC                shares
EVERGREEN SOLAR INC Common Stock  30033R306      842     624966 SH         DEFINED    1,2,8                     624966
EXACT SCIENCES CORP Common Stock  30063P105     5676     771291 SH         DEFINED    1,2                       771291
EXAR CORP           Common equity 300645108     4954     823443 SH         DEFINED    1,2,5,6,8                 823443
                    shares
EXACTECH INC        Common equity 30064E109     2559     145600 SH         DEFINED    1,2,6                     145600
                    shares
EXELIXIS INC        Common equity 30161Q104    42308    3744270 SH         DEFINED    1,2,5,6,8                3744270
                    shares
EXPONENT INC        Common equity 30214U102    13323     298637 SH         DEFINED    1,2,6,8                   298637
                    shares
EZCORP INC  -CL A   Common equity 302301106    36176    1152594 SH         DEFINED    1,2,5,6,8,17             1152594
                    shares
FBL FINANCIAL GROUP Common equity 30239F106     9482     308632 SH         DEFINED    1,2,5,8                   308632
 INC-CL A           shares
FEI CO              Common equity 30241L109    28125     834055 SH         DEFINED    1,2,5,6,8                 834055
                    shares
FLIR SYSTEMS INC    Common equity 302445101   194078    5607359 SH         DEFINED    1,2,5,6,8,10,12,18       5607359
                    shares
FMC CORP            Common equity 302491303   237709    2799064 SH         DEFINED    1,2,5,6,8,10,12,18       2799064
                    shares
F N B CORP/FL       Common equity 302520101    43808    4156361 SH         DEFINED    1,2,5,6,8                4156361
                    shares
FPIC INSURANCE      Common equity 302563101     8871     233978 SH         DEFINED    1,2,8                     233978
 GROUP INC          shares
FSI INTL INC        Common Stock  302633102     2867     654600 SH         DEFINED    1,2                       654600
FX ENERGY INC       Common equity 302695101     7285     871352 SH         DEFINED    1,2,5,6                   871352
                    shares
OPPENHEIMER         Common equity 683797104     6783     202367 SH         DEFINED    1,2,8                     202367
 HOLDINGS INC       shares
FTI CONSULTING INC  Common equity 302941109    48218    1258014 SH         DEFINED    1,2,5,6,8,12             1258014
                    shares
FACTSET RESEARCH    Common equity 303075105   127696    1219390 SH         DEFINED    1,2,5,6,8,12             1219390
 SYSTEMS INC        shares
FAIR ISAAC CORP     Common equity 303250104    49139    1554508 SH         DEFINED    1,2,5,6,8,12             1554508
                    shares
FAIRCHILD           Common equity 303726103    68973    3789767 SH         DEFINED    1,2,5,6,8,12             3789767
 SEMICONDUCTOR INTL shares
FARMER BROS CO      Common equity 307675108     1527     126123 SH         DEFINED    1,2,5                     126123
                    shares
FARO TECHNOLOGIES   Common equity 311642102    14575     364331 SH         DEFINED    1,2,5,6,8                 364331
 INC                shares
FASTENAL CO         Common equity 311900104   332643    5131030 SH         DEFINED    1,2,5,6,8,10,12,18       5131030
                    shares
FEDERAL AGRICULTURE Common equity 313148306     3044     159191 SH         DEFINED    1,2                       159191
 MTG CP             shares
FEDERAL REALTY      Real Estate   313747206   219968    2697033 SH         DEFINED    1,2,3,5,6,8,10,12,18     2697033
 INVESTMENT TR      Investment
                    Trust
FEDERAL SIGNAL CORP Common equity 313855108     8619    1324125 SH         DEFINED    1,2,5,8                  1324125
                    shares
FELCOR LODGING      Real Estate   31430F101    22063    3598239 SH         DEFINED    1,2,3,5,6,8              3598239
 TRUST INC          Investment
                    Trust
FEMALE HEALTH CO    Common Stock  314462102     1397     280606 SH         DEFINED    1,2                       280606
FERRELLGAS          Limited       315293100     2539      97642 SH         DEFINED    1                          97642
 PARTNERS  -LP      Partnership
FERRO CORP          Common equity 315405100    32821    1978134 SH         DEFINED    1,2,5,6,8,17             1978134
                    shares
F5 NETWORKS INC     Common equity 315616102   305089    2974375 SH         DEFINED    1,2,5,6,8,10,12,18       2974375
                    shares
SULPHCO INC         Common equity 865378103        4      35400 SH         DEFINED    1                          35400
                    shares
FINANCIAL           Common equity 317585404     3783     215885 SH         DEFINED    1,2                       215885
 INSTITUTIONS INC   shares
FINISAR CORP        Common equity 31787A507    42766    1738401 SH         DEFINED    1,2,5,6,8                1738401
                    shares
FINISH LINE INC     Common equity 317923100    37613    1894957 SH         DEFINED    1,2,5,6,8                1894957
 -CL A              shares
GLEACHER & COMPANY  Common Stock  377341102     2586    1483763 SH         DEFINED    1,2,6,8                  1483763
 INC
CORELOGIC INC       Common equity 21871D103    54235    2931653 SH         DEFINED    1,2,5,6,8,10,12,18       2931653
                    shares
FIRST BANCORP P R   Common equity 318672706     1919     384142 SH         DEFINED    1,2,5,8                   384142
                    shares
FIRST BANCORP/NC    Common equity 318910106     4363     328939 SH         DEFINED    1,2,5,8                   328939
                    shares
FIRST BUSEY CORP    Common equity 319383105     5265    1036160 SH         DEFINED    1,2,5,8                  1036160
                    shares
FIRST CASH          Common equity 31942D107    24731     640668 SH         DEFINED    1,2,5,6,8                 640668
 FINANCIAL SVCS     shares
FIRST CITIZENS      Common equity 31946M103    13654      68125 SH         DEFINED    1,2,5,6,8                  68125
 BANCSH  -CL A      shares
FIRST COMMONWLTH    Common equity 319829107    27231    3975052 SH         DEFINED    1,2,5,6,8                3975052
 FINL CP/PA         shares
FIRST CMNTY         Common equity 31983A103     4828     340784 SH         DEFINED    1,2,5                     340784
 BANCSHARES INC     shares
PACWEST BANCORP     Common equity 695263103    41123    1890703 SH         DEFINED    1,2,5,6,8,12             1890703
                    shares
FIRST FINL BANCORP  Common equity 320209109    36573    2191122 SH         DEFINED    1,2,5,6,8,17             2191122
 INC/OH             shares
FIRST FINL          Common equity 32020R109    24990     486428 SH         DEFINED    1,2,5,6,8                 486428
 BANKSHARES INC     shares
FIRST FINANCIAL     Common equity 320218100     7702     231648 SH         DEFINED    1,2,5,8                   231648
 CORP/IN            shares
FIRST FINANCIAL     Common equity 320239106     3712     328293 SH         DEFINED    1,2,8                     328293
 HOLDINGS INC       shares
FIRST INDL REALTY   Real Estate   32054K103    26769    2251394 SH         DEFINED    1,2,3,5,6,8              2251394
 TRUST INC          Investment
                    Trust
FIRST LONG ISLAND   Common equity 320734106     3437     123832 SH         DEFINED    1,2                       123832
 CORP               shares
FIRST MARINER       Common Stock  320795107       24      24842 SH         DEFINED    1                          24842
 BANCORP
FIRST MERCHANTS     Common equity 320817109     4078     492794 SH         DEFINED    1,2,8                     492794
 CORP               shares
FIRST MIDWEST       Common equity 320867104    36339    3082465 SH         DEFINED    1,2,5,6,8                3082465
 BANCORP INC        shares
SCBT FINANCIAL CORP Common equity 78401V102     9118     273955 SH         DEFINED    1,2,5,8                   273955
                    shares
FIRST BANCORP       Common equity 31866P102     2410     157989 SH         DEFINED    1,2                       157989
 INC/ME             shares
FIRST NIAGARA       Common equity 33582V108   104163    7670183 SH         DEFINED    1,2,5,6,8,12             7670183
 FINANCIAL GRP      shares
FIRST PLACE         Common equity 33610T109       28      12172 SH         DEFINED    1                          12172
 FINANCIAL CP/DE    shares
FIRST SOUTH BANCORP Common equity 33646W100      830     167096 SH         DEFINED    1,2                       167096
 INC/VA             shares
1ST SOURCE CORP     Common equity 336901103     7010     349633 SH         DEFINED    1,2,5,8                   349633
                    shares
WINTHROP REALTY     Real Estate   976391300     5359     437643 SH         DEFINED    1,2,3,8                   437643
 TRUST              Investment
                    Trust
FISHER              Common Stock  337756209     4033     129790 SH         DEFINED    1,2,8                     129790
 COMMUNICATIONS INC
FIRSTMERIT CORP     Common equity 337915102    81539    4779642 SH         DEFINED    1,2,5,6,8,12             4779642
                    shares
FLAGSTAR BANCORP    Common equity 337930507     1738    1160303 SH         DEFINED    1,2                      1160303
 INC                shares
FLOTEK INDUSTRIES   Common equity 343389102      173      20651 SH         DEFINED    1                          20651
 INC                shares
FLOW INTL CORP      Common Stock  343468104     3873     881457 SH         DEFINED    1,2                       881457
FLOWERS FOODS INC   Common equity 343498101    58513    2148732 SH         DEFINED    1,2,5,6,8,12,17          2148732
                    shares
FLOWSERVE CORP      Common equity 34354P105   262468    2037659 SH         DEFINED    1,2,5,6,8,10,12,18       2037659
                    shares
FLUSHING FINANCIAL  Common equity 343873105     9528     639512 SH         DEFINED    1,2,5,8                   639512
 CORP               shares
FOMENTO ECONOMICO   American      344419106    28722     489300 SH         DEFINED    1,2,6,18                  489300
 MEXICANO           Depository
                    Receipt
FOREST CITY         Common equity 345550107    43511    2310781 SH         DEFINED    1,2,3,5,6,8,10,12,17     2303081          7700
 ENTRPRS  -CL A     shares
FOREST OIL CORP     Common equity 346091705   135059    3570173 SH         DEFINED    1,2,5,6,8,10,12          3570173
                    shares
FORRESTER RESEARCH  Common equity 346563109    13198     344696 SH         DEFINED    1,2,5,6,8                 344696
 INC                shares
FOSSIL INC          Common equity 349882100   127127    1357452 SH         DEFINED    1,2,5,6,8,12             1357452
                    shares
FOSTER (LB) CO      Common equity 350060109     9442     219075 SH         DEFINED    1,2,5,6,8                 219075
                    shares
FOSTER WHEELER AG   Common equity H27178104    31859     846954 SH         DEFINED    1,2,5,6,8,10,12,18        846954
                    shares
FRANCE TELECOM      American      35177Q105      294      13046 SH         DEFINED    1,2                        13046
                    Depository
                    Receipt
FRANKLIN COVEY CO   Common equity 353469109     1814     209783 SH         DEFINED    1,2                       209783
                    shares
FRANKLIN ELECTRIC   Common equity 353514102    22560     488422 SH         DEFINED    1,2,5,6,8                 488422
 CO INC             shares
FREDS INC           Common equity 356108100    17698    1328645 SH         DEFINED    1,2,5,6,8                1328645
                    shares
FRESENIUS MEDICAL   American      358029106      264       3914 SH         DEFINED    1                           3914
 CARE AG&CO         Depository
                    Receipt
ARLINGTON ASSET     Real Estate   041356205     3298     108345 SH         DEFINED    1,2                       108345
 INVESTMENT         Investment
                    Trust
FRONTIER OIL CORP   Common equity 35914P105   106479    3631388 SH         DEFINED    1,2,5,6,8,12             3631388
                    shares
FUEL TECH INC       Common equity 359523107     3292     370119 SH         DEFINED    1,2,5,6                   370119
                    shares
FUELCELL ENERGY INC Common equity 35952H106     3820    1785151 SH         DEFINED    1,2,8                    1785151
                    shares
FULLER (H. B.) CO   Common equity 359694106    25382    1181691 SH         DEFINED    1,2,5,6,8                1181691
                    shares
FULTON FINANCIAL    Common equity 360271100    73694    6632967 SH         DEFINED    1,2,5,6,8,12             6632967
 CORP               shares
FURNITURE BRANDS    Common equity 360921100     4406     968488 SH         DEFINED    1,2,5,8                   968488
 INTL INC           shares
G&K SERVICES INC    Common equity 361268105    15045     452424 SH         DEFINED    1,2,5,6,8                 452424
 -CL A              shares
LADENBURG THALMANN  Common equity 50575Q102     1593    1388845 SH         DEFINED    1,2                      1388845
 FINL SERV          shares
GP STRATEGIES CORP  Common equity 36225V104     4261     313467 SH         DEFINED    1,2                       313467
                    shares
GSE SYSTEMS INC     Common equity 36227K106       24      10232 SH         DEFINED    1                          10232
                    shares
G-III APPAREL GROUP Common equity 36237H101    11623     309193 SH         DEFINED    1,2,6,8                   309193
 LTD                shares
GAMCO INVESTORS INC Common equity 361438104     6798     146710 SH         DEFINED    1,2,5,6,8                 146710
                    shares
GAIAM INC           Common equity 36268Q103     2039     308667 SH         DEFINED    1,2                       308667
                    shares
ARTHUR J GALLAGHER  Common equity 363576109    87456    2875978 SH         DEFINED    1,2,5,6,8,12,17          2875978
 & CO               shares
GARDNER DENVER INC  Common equity 365558105   107293    1375016 SH         DEFINED    1,2,5,6,8,12             1375016
                    shares
GARTNER INC         Common equity 366651107    89178    2140083 SH         DEFINED    1,2,5,6,8,12             2140083
                    shares
GASTAR EXPLORATION  Common equity 367299203     4567     939939 SH         DEFINED    1,2,6                     939939
 LTD                shares
GAYLORD             Common equity 367905106    27642     797064 SH         DEFINED    1,2,5,6,8                 797064
 ENTERTAINMENT CO   shares
GENCORP INC         Common equity 368682100     8496    1420854 SH         DEFINED    1,2,6,8                  1420854
                    shares
GENERAL CABLE       Common equity 369300108    32645     753843 SH         DEFINED    1,2,5,6,8                 753843
 CORP/DE            shares
GENERAL             Common equity 369385109    12945    1183421 SH         DEFINED    1,2,5,6,8                1183421
 COMMUNICATION      shares
 -CL A
GENESCO INC         Common equity 371532102    35188     875389 SH         DEFINED    1,2,5,6,8,17              871269          4120
                    shares
GENESEE & WYOMING   Common equity 371559105    50547     868506 SH         DEFINED    1,2,5,6,8                 868506
 INC  -CL A         shares
INOVIO              Common equity 45773H102     1220    1107622 SH         DEFINED    1,2                      1107622
 PHARMACEUTICALS    shares
 INC
GENESIS ENERGY  -LP Misc Equity   371927104     1652      58350 SH         DEFINED    1                          58350
GENVEC INC          Common Stock  37246C307       25      62212 SH         DEFINED    1                          62212
GEORESOURCES INC    Common Stock  372476101    34475    1102477 SH         DEFINED    1,2,5,6                  1102477
GENTIVA HEALTH      Common equity 37247A102    18727     668275 SH         DEFINED    1,2,5,6,8                 668275
 SERVICES INC       shares
GEORGIA GULF CORP   Common equity 373200302    24761     669261 SH         DEFINED    1,2,6,8                   669261
                    shares
GERBER SCIENTIFIC   Common equity 373730100     4287     457947 SH         DEFINED    1,2                       457947
 INC                shares
GERDAU SA           American      373737105    15994    1279557 SH         DEFINED    1,2,4,5,6,8,10           1279557
                    Depository
                    Receipt
GERMAN AMERICAN     Common equity 373865104     3350     194969 SH         DEFINED    1,2                       194969
 BANCORP INC        shares
GERON CORP          Common Stock  374163103    21513    4260632 SH         DEFINED    1,2,5,6,8                4260632
GETTY REALTY CORP   Real Estate   374297109    13556     592599 SH         DEFINED    1,2,3,5,6,8               592599
                    Investment
                    Trust
GIBRALTAR           Common equity 374689107     8468     709694 SH         DEFINED    1,2,5,8                   709694
 INDUSTRIES INC     shares
GLACIER BANCORP INC Common equity 37637Q105    36884    2450488 SH         DEFINED    1,2,5,6,8                2450488
                    shares
GLATFELTER          Common equity 377316104    14610    1096758 SH         DEFINED    1,2,5,6,8                1096758
                    shares
GLAXOSMITHKLINE PLC American      37733W105   496421   12924248 SH         DEFINED    1,2                     12653996        270252
                    Depository
                    Receipt
OUTDOOR CHANNEL     Common equity 690027206     1726     231672 SH         DEFINED    1,2,6,8                   231672
 HLDGS INC          shares
GLIMCHER REALTY     Real Estate   379302102    20350    2199881 SH         DEFINED    1,2,3,6,8                2199881
 TRUST              Investment
                    Trust
GLOBAL INDUSTRIES   Common equity 379336100    33620    3434302 SH         DEFINED    1,2,5,6,8                3434302
 LTD                shares
GSI COMMERCE INC    Common equity 36238G102    42364    1447327 SH         DEFINED    1,2,5,6,8                1447327
                    shares
GLOBAL PAYMENTS INC Common equity 37940X102   103986    2125667 SH         DEFINED    1,2,5,6,8,12             2125667
                    shares
GLOBECOMM SYSTEMS   Common equity 37956X103     4719     382778 SH         DEFINED    1,2                       382778
 INC                shares
GOLD FIELDS LTD     American      38059T106     2092     119742 SH         DEFINED    1,2,6,18                  119742
                    Depository
                    Receipt
GOLDCORP INC        Common equity 380956409      784      15750 SH         DEFINED    1,18                       15750
                    shares
GOLDEN STAR         Common equity 38119T104    14526    4891297 SH         DEFINED    1,2,6                    4891297
 RESOURCES LTD      shares
GOLDFIELD CORP      Common equity 381370105       15      40024 SH         DEFINED    2                          40024
                    shares
GOODRICH PETROLEUM  Common equity 382410405    34290    1543276 SH         DEFINED    1,2,5,6,8                1543276
 CORP               shares
GORMAN-RUPP CO      Common equity 383082104     9671     245462 SH         DEFINED    1,2,5,6,8                 245462
                    shares
GRACE (W R) & CO    Common equity 38388F108    67138    1753458 SH         DEFINED    1,2,5,6,8                1753458
                    shares
GRACO INC           Common equity 384109104    71925    1581105 SH         DEFINED    1,2,5,6,8,12             1581105
                    shares
GRAHAM CORP         Common equity 384556106     5341     223187 SH         DEFINED    1,2                       223187
                    shares
GRANITE             Common equity 387328107    33630    1196761 SH         DEFINED    1,2,5,6,8,12             1196761
 CONSTRUCTION INC   shares
GRAPHIC PACKAGING   Common equity 388689101    13021    2402008 SH         DEFINED    1,2,5,6,8                2402008
 HOLDING CO         shares
GRAY TELEVISION INC Common equity 389375106     1539     742928 SH         DEFINED    1,2                       742928
                    shares
GREAT SOUTHERN      Common equity 390905107     4286     199910 SH         DEFINED    1,2,6                     199910
 BANCORP            shares
GREEN MTN COFFEE    Common equity 393122106   201788    3123201 SH         DEFINED    1,2,5,6,8,12             3123201
 ROASTERS           shares
GREENBRIER          Common equity 393657101    11803     415739 SH         DEFINED    1,2,6,8                   415739
 COMPANIES INC      shares
GREIF INC  -CL A    Common equity 397624107    56915     870142 SH         DEFINED    1,2,5,6,8,12              870142
                    shares
GRIFFIN LAND &      Common equity 398231100     1571      48834 SH         DEFINED    1,2                        48834
 NURSERIES INC      shares
GRIFFON CORP        Common equity 398433102    18471    1406867 SH         DEFINED    1,2,5,6,8                1406867
                    shares
GROUP 1 AUTOMOTIVE  Common equity 398905109    33316     778385 SH         DEFINED    1,2,5,6,8                 778385
 INC                shares
WINMARK CORP        Common equity 974250102     1546      33472 SH         DEFINED    1,2                        33472
                    shares
GRUBB & ELLIS CO    Common equity 400095204       21      26092 SH         DEFINED    1                          26092
                    shares
GRUPO AEROPORTUARIO American      40051E202     1718      29232 SH         DEFINED    1,5                        29232
 SURESTE            Depository
                    Receipt
GUESS INC           Common equity 401617105    76053    1932676 SH         DEFINED    1,2,5,6,8,12             1932676
                    shares
GULF ISLAND         Common equity 402307102    10610     329931 SH         DEFINED    1,2,5,8                   329931
 FABRICATION INC    shares
GULFMARK OFFSHORE   Common equity 402629208    32513     730427 SH         DEFINED    1,2,5,6,8                 730427
 INC                shares
GULFPORT ENERGY     Common equity 402635304    48990    1355273 SH         DEFINED    1,2,5,6,8                1355273
 CORP               shares
CRIMSON EXPLORATION Common Stock  22662K207       62      15100 SH         DEFINED    1                          15100
 INC
HCC INSURANCE       Common equity 404132102    95101    3037346 SH         DEFINED    1,2,5,6,8,12             3037346
 HOLDINGS INC       shares
COMMONWEALTH REIT   Real Estate   203233101    50056    1927639 SH         DEFINED    1,2,3,5,6,8              1927639
                    Investment
                    Trust
HSBC HLDGS PLC      American      404280406     5678     109588 SH         DEFINED    1,2                       109588
                    Depository
                    Receipt
HAEMONETICS CORP    Common equity 405024100    40677     620609 SH         DEFINED    1,2,5,6,8                 620609
                    shares
HAIN CELESTIAL      Common equity 405217100    31613     979237 SH         DEFINED    1,2,5,6,8                 979237
 GROUP INC          shares
HALLADOR ENERGY CO  Common equity 40609P105      404      35081 SH         DEFINED    1,2                        35081
                    shares
HALLMARK FINANCIAL  Common equity 40624Q203     1666     199094 SH         DEFINED    1,2                       199094
 SERVICES           shares
HANCOCK HOLDING CO  Common equity 410120109    33982    1034669 SH         DEFINED    1,2,5,6,8                1034669
                    shares
HANGER ORTHOPEDIC   Common equity 41043F208    15130     581301 SH         DEFINED    1,2,5,6,8                 581301
 GROUP INC          shares
HANMI FINANCIAL     Common equity 410495105     2344    1890871 SH         DEFINED    1,2                      1890871
 CORP               shares
WALTER INVESTMENT   Real Estate   93317W102     8869     549623 SH         DEFINED    1,2,6,8                   549623
 MGMT CORP          Investment
                    Trust
EXTERRAN HOLDINGS   Common equity 30225X103    58674    2472650 SH         DEFINED    1,2,5,6,8,10,12          2472650
 INC                shares
HANSEN NATURAL CORP Common equity 411310105   135096    2243086 SH         DEFINED    1,2,5,6,8,10,12,18       2243086
                    shares
HARLEYSVILLE GROUP  Common equity 412824104     9700     292726 SH         DEFINED    1,2,5,8,17                292726
 INC                shares
HARMONIC INC        Common equity 413160102    24564    2618492 SH         DEFINED    1,2,5,6,8                2618492
                    shares
HARMONY GOLD MINING American      413216300      579      38927 SH         DEFINED    1,6                        38927
 CO LTD             Depository
                    Receipt







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
HARRIS & HARRIS     Common equity 413833104     2915     541212 SH         DEFINED    1,2                       541212
 GROUP              shares
HARRIS INTERACTIVE  Common equity 414549105       20      19506 SH         DEFINED    1                          19506
 INC                shares
HARSCO CORP         Common equity 415864107    75607    2142361 SH         DEFINED    1,2,5,6,8,10,12,18       2142361
                    shares
HARVARD BIOSCIENCE  Common equity 416906105       89      15832 SH         DEFINED    1                          15832
 INC                shares
HAVERTY FURNITURE   Common equity 419596101     5572     420075 SH         DEFINED    1,2,8                     420075
                    shares
HAWAIIAN HOLDINGS   Common Stock  419879101     7006    1165574 SH         DEFINED    1,2,6                    1165574
 INC
HAWAIIAN ELECTRIC   Common equity 419870100    65578    2644265 SH         DEFINED    1,2,5,6,8,12             2644265
 INDS               shares
HAWKINS INC         Common Stock  420261109     7353     179067 SH         DEFINED    1,2,6,8                   179067
HEALTHCARE SERVICES Common equity 421906108    25166    1431702 SH         DEFINED    1,2,5,6,8                1431702
 GROUP              shares
HCP INC             Real Estate   40414L109   868008   22878617 SH         DEFINED    1,2,3,5,6,8,10,12,18    22878617
                    Investment
                    Trust
HEALTHSOUTH CORP    Common equity 421924309    55152    2208115 SH         DEFINED    1,2,5,6,8                2208115
                    shares
HEALTHCARE REALTY   Real Estate   421946104    51014    2247491 SH         DEFINED    1,2,3,5,6,8              2247491
 TRUST INC          Investment
                    Trust
HEADWATERS INC      Common equity 42210P102     7912    1340596 SH         DEFINED    1,2,5,8                  1340596
                    shares
HEALTH CARE REIT    Real Estate   42217K106   445745    8500147 SH         DEFINED    1,2,3,5,6,8,10,12,18     8500147
 INC                Investment
                    Trust
HMS HOLDINGS CORP   Common equity 40425J101    51187     625323 SH         DEFINED    1,2,5,6,8                 625323
                    shares
CATALYST HEALTH     Common equity 14888B103    49672     888037 SH         DEFINED    1,2,5,6,8                 888037
 SOLUTIONS          shares
HEARTLAND EXPRESS   Common equity 422347104    24386    1388696 SH         DEFINED    1,2,5,6,8                1388696
 INC                shares
HEARTLAND FINANCIAL Common equity 42234Q102     4734     278309 SH         DEFINED    1,2,5,8                   278309
 USA INC            shares
HECLA MINING CO     Common equity 422704106    93140   10257577 SH         DEFINED    1,2,5,6,8               10257577
                    shares
HEICO CORP          Common equity 422806109    35327     564992 SH         DEFINED    1,2,5,6,8                 564992
                    shares
HEICO CORP NEW      Common equity 422806208     1257      27934 SH         DEFINED    1,6,8                      27934
                    shares
HEIDRICK &          Common equity 422819102    10938     393049 SH         DEFINED    1,2,5,8                   393049
 STRUGGLES INTL     shares
HELMERICH & PAYNE   Common equity 423452101   308053    4484649 SH         DEFINED    1,2,5,6,8,10,12,18       4484649
                    shares
HEMISPHERX          Common equity 42366C103       44      91810 SH         DEFINED    1                          91810
 BIOPHARMA INC      shares
HENRY (JACK) &      Common equity 426281101   101717    3001322 SH         DEFINED    1,2,5,6,8,12             3001322
 ASSOCIATES         shares
ENERGY TRANSFER     Limited       29273R109     8574     165636 SH         DEFINED    1                         165636
 PARTNERS -LP       Partnership
HERITAGE FINANCIAL  Common equity 42722X106     2955     208667 SH         DEFINED    1,2                       208667
 CORP               shares
HERSHA HOSPITALITY  Real Estate   427825104    28251    4756368 SH         DEFINED    1,2,3,5,6,8              4756368
 TRUST              Investment
                    Trust
HEXCEL CORP         Common equity 428291108    38789    1969904 SH         DEFINED    1,2,5,6,8                1969904
                    shares
HI TECH PHARMACAL   Common equity 42840B101     3741     186023 SH         DEFINED    1,2                       186023
 CO INC             shares
HIBBETT SPORTS INC  Common equity 428567101    33202     927132 SH         DEFINED    1,2,5,6,8                 927132
                    shares
HICKORY TECH CORP   Common equity 429060106      138      15092 SH         DEFINED    1                          15092
                    shares
HIGHWOODS           Real Estate   431284108   121387    3467118 SH         DEFINED    1,2,3,5,6,8,12           3467118
 PROPERTIES INC     Investment
                    Trust
HOLLY CORP          Common equity 435758305    61777    1016719 SH         DEFINED    1,2,5,6,8                1016719
                    shares
HOLLYWOOD MEDIA     Common equity 436233100       19      10485 SH         DEFINED    1                          10485
 CORP               shares
HOLOGIC INC         Common equity 436440101   173981    7836983 SH         DEFINED    1,2,5,6,8,10,12,18       7836983
                    shares
HOME PROPERTIES INC Real Estate   437306103    78996    1340110 SH         DEFINED    1,2,3,5,6,8              1340110
                    Investment
                    Trust
MOVE INC            Common equity 62458M108     7405    3097080 SH         DEFINED    1,2,5,6,8                3097080
                    shares
HNI CORP            Common equity 404251100    49739    1576026 SH         DEFINED    1,2,5,6,8,12             1576026
                    shares
HOOKER FURNITURE    Common equity 439038100     2923     244544 SH         DEFINED    1,2                       244544
 CORP               shares
HOOPER HOLMES INC   Common equity 439104100       44      59132 SH         DEFINED    1                          59132
                    shares
HORACE MANN         Common equity 440327104    16370     974570 SH         DEFINED    1,2,5,6,8                 974570
 EDUCATORS CORP     shares
HORMEL FOODS CORP   Common equity 440452100   215201    7729659 SH         DEFINED    1,2,5,6,8,10,12,17,18    7729659
                    shares
HOT TOPIC INC       Common equity 441339108     5313     931694 SH         DEFINED    1,2,5,8                   931694
                    shares
HOVNANIAN ENTRPRS   Common equity 442487203     4213    1193643 SH         DEFINED    1,2,5,6,8                1193643
 INC  -CL A         shares
ICAD INC            Common equity 44934S107       40      29704 SH         DEFINED    1,2                        29704
                    shares
HUANENG POWER       American      443304100      450      19176 SH         DEFINED    1,6                        19176
 INTERNATIONAL      Depository
                    Receipt
HUB GROUP INC-CL A  Common equity 443320106    32063     886008 SH         DEFINED    1,2,5,6,8                 886008
                    shares
HUDSON CITY BANCORP Common equity 443683107   191705   19804022 SH         DEFINED    1,2,5,6,8,10,12,18      19804022
 INC                shares
HUDSON VALLEY       Common equity 444172100     5213     237007 SH         DEFINED    1,2                       237007
 HOLDING CORP       shares
HUMAN GENOME        Common Stock  444903108    99014    3606928 SH         DEFINED    1,2,5,6,8,10,12,18       3606928
 SCIENCES INC
HUNT (JB) TRANSPRT  Common equity 445658107   128567    2830573 SH         DEFINED    1,2,5,6,8,10,12,18       2830573
 SVCS INC           shares
HUTCHINSON          Common equity 448407106     1010     357839 SH         DEFINED    1,2                       357839
 TECHNOLOGY INC     shares
IDERA               Common equity 45168K306      104      39100 SH         DEFINED    1                          39100
 PHARMACEUTICALS    shares
 INC
HYPERDYNAMICS CORP  Common equity 448954107    16565    3585586 SH         DEFINED    1,2                      3585586
                    shares
HYPERCOM CORP       Common equity 44913M105    10456     868884 SH         DEFINED    1,2,6                     868884
                    shares
ICU MEDICAL INC     Common equity 44930G107    10951     250186 SH         DEFINED    1,2,5,6,8                 250186
                    shares
DINEEQUITY INC      Common equity 254423106    21487     390999 SH         DEFINED    1,2,5,6,8                 390999
                    shares
MOSAIC CO           Common equity 61945A107   204002    2590331 SH         DEFINED    1,2,5,6,8,10,12,18       2590331
                    shares
MIDWESTONE          Common equity 598511103     1480      99870 SH         DEFINED    1,2                        99870
 FINANCIAL GROUP    shares
ISTA                Common equity 45031X204      105      10400 SH         DEFINED    1                          10400
 PHARMACEUTICALS    shares
 INC
IXIA                Common equity 45071R109    12108     762564 SH         DEFINED    1,2,5,6,8                 762564
                    shares
IBERIABANK CORP     Common equity 450828108    47873     796238 SH         DEFINED    1,2,5,6,8                 796238
                    shares
ICICI BANK LTD      American      45104G104    52120    1045992 SH         DEFINED    1,2,5,6,8,18             1045992
                    Depository
                    Receipt
IDACORP INC         Common equity 451107106    74425    1953362 SH         DEFINED    1,2,5,6,8,12             1953362
                    shares
GENERAL MOLY INC    Common equity 370373102    26498    4924873 SH         DEFINED    1,2,6                    4924873
                    shares
IDEXX LABS INC      Common equity 45168D104   120928    1566041 SH         DEFINED    1,2,5,6,8,12             1566041
                    shares
IGATE CORP          Common Stock  45169U105    10489     558706 SH         DEFINED    1,2,6,8                   558706
ILLUMINA INC        Common equity 452327109   150551    2148643 SH         DEFINED    1,2,5,6,8,10,12,18       2148643
                    shares
IMATION CORP        Common equity 45245A107     8115     728477 SH         DEFINED    1,2,5,8                   728477
                    shares
IMMERSION CORP      Common equity 452521107     4297     562359 SH         DEFINED    1,2,5                     562359
                    shares
IMMUCOR INC         Common equity 452526106    49243    2489703 SH         DEFINED    1,2,5,6,8,12             2489703
                    shares
IMMUNOGEN INC       Common Stock  45253H101    16478    1816570 SH         DEFINED    1,2,5,6,8                1816570
FUEL SYSTEMS        Common Stock  35952W103     9064     300386 SH         DEFINED    1,2,5,6,8                 300386
 SOLUTIONS INC
IMPAX LABORATORIES  Common Stock  45256B101    42909    1685782 SH         DEFINED    1,2,5,6,8                1685782
 INC
IMMUNOMEDICS INC    Common equity 452907108     5185    1356801 SH         DEFINED    1,2,5,6,8                1356801
                    shares
IMPERIAL OIL LTD    Common equity 453038408      787      15422 SH         DEFINED    1                          15422
                    shares
INCYTE CORP         Common equity 45337C102    46807    2952957 SH         DEFINED    1,2,5,6,8                2952957
                    shares
INDEPENDENT BANK    Common equity 453836108    12963     479882 SH         DEFINED    1,2,5,6,8                 479882
 CORP/MA            shares
MAINSOURCE FINL     Common equity 56062Y102     4762     475907 SH         DEFINED    1,2                       475907
 GROUP INC          shares
ENGLOBAL CORP       Common equity 293306106       90      19750 SH         DEFINED    1,5                        19750
                    shares
INFORMATICA CORP    Common equity 45666Q102   131851    2524433 SH         DEFINED    1,2,5,6,8,12             2524433
                    shares
INFOSPACE INC       Common equity 45678T300     6672     770108 SH         DEFINED    1,2,5,8                   770108
                    shares
INGLES MARKETS INC  Common equity 457030104     6041     304843 SH         DEFINED    1,2,5,8                   304843
 -CL A              shares
INGRAM MICRO INC    Common equity 457153104    93217    4432651 SH         DEFINED    1,2,5,6,8,12             4432651
                    shares
NEKTAR THERAPEUTICS Common equity 640268108    29246    3088031 SH         DEFINED    1,2,5,6,8                3088031
                    shares
INNODATA ISOGEN INC Common equity 457642205       33      13600 SH         DEFINED    1                          13600
                    shares
ION GEOPHYSICAL     Common equity 462044108    51051    4022695 SH         DEFINED    1,2,5,6,8                4022695
 CORP               shares
INSIGHT ENTERPRISES Common equity 45765U103    22162    1301265 SH         DEFINED    1,2,5,6,8                1301265
 INC                shares
INSITUFORM          Common equity 457667103    23055     862007 SH         DEFINED    1,2,5,6,8                 862007
 TECHNOLOGIES-CL A  shares
INSMED INC          Common equity 457669307       89      13088 SH         DEFINED    1,5                        13088
                    shares
PURE BIOSCIENCE INC Common equity 74621T100      839     539208 SH         DEFINED    1,2                       539208
                    shares
ENER1 INC           Common Stock  29267A203     3349    1132063 SH         DEFINED    1,2,6,8                  1132063
INSPIRE             Common Stock  457733103     4354    1099746 SH         DEFINED    1,2,5,6,8                1099746
 PHARMACEUTICALS
 INC
INSTEEL INDUSTRIES  Common equity 45774W108     5390     381253 SH         DEFINED    1,2,5                     381253
                    shares
JOE`S JEANS INC     Common equity 47777N101      642     603927 SH         DEFINED    1,2                       603927
                    shares
INTEGRA             Common equity 457985208    22044     464876 SH         DEFINED    1,2,5,6,8                 464876
 LIFESCIENCES HLDGS shares
INTEGRAL SYSTEMS    Common equity 45810H107     4348     357111 SH         DEFINED    1,2,6                     357111
 INC                shares
INTEGRATED DEVICE   Common equity 458118106    48565    6589697 SH         DEFINED    1,2,5,6,8,12             6589697
 TECH INC           shares
INTEGRATED SILICON  Common Stock  45812P107     4418     476550 SH         DEFINED    1,2                       476550
 SOLUTION
INTEGRA BANK CORP   Common Stock  45814P105        3      10692 SH         DEFINED    1                          10692
INTER PARFUMS INC   Common equity 458334109     5483     296292 SH         DEFINED    1,2                       296292
                    shares
ARROWHEAD RESEARCH  Common Stock  042797100       19      26200 SH         DEFINED    1                          26200
 CORP
INTERACTIVE         Common Stock  45839M103    10467     270528 SH         DEFINED    1,2,5,6                   270528
 INTELLIGENCE INC
INTERFACE INC-CL A  Common Stock  458665106    21184    1145746 SH         DEFINED    1,2,5,6,8                1145746
INTERDIGITAL INC    Common equity 45867G101    51344    1076085 SH         DEFINED    1,2,5,6,8,17             1076085
                    shares
INTERNAP NETWORK    Common equity 45885A300     9708    1477688 SH         DEFINED    1,2,5,6,8                1477688
 SVCS CORP          shares
INTERMUNE INC       Common equity 45884X103    61707    1307651 SH         DEFINED    1,2,5,6,8                1307651
                    shares
INTL FCSTONE INC    Common Stock  46116V105     6991     274960 SH         DEFINED    1,2,6,8                   274960
INTL BANCSHARES     Common equity 459044103    38210    2083407 SH         DEFINED    1,2,5,6,8,12             2083407
 CORP               shares
INTL RECTIFIER CORP Common equity 460254105    69301    2096081 SH         DEFINED    1,2,5,6,8,12             2096081
                    shares
IRIS INTERNATIONAL  Common Stock  46270W105     2926     324654 SH         DEFINED    1,2,6                     324654
 INC
INTL SHIPHOLDING    Common equity 460321201     3115     125206 SH         DEFINED    1,2,17                    125206
 CORP               shares
INTL SPEEDWAY CORP  Common equity 460335201    22257     746727 SH         DEFINED    1,2,5,6,8,12              746727
 -CL A              shares
AMERICAN ORIENTAL   Common equity 028731107      166     111641 SH         DEFINED    1,2,8                     111641
 BIOENGR            shares
INTERNET CAPITAL    Common Stock  46059C205    12185     858004 SH         DEFINED    1,2,6,8                   858004
 GROUP INC
EASYLINK SERVICES   Common equity 277858106       51      12200 SH         DEFINED    1                          12200
 INTL CORP          shares
INTERSIL CORP -CL A Common equity 46069S109    45817    3679886 SH         DEFINED    1,2,5,6,8,10,12          3679886
                    shares
INTEVAC INC         Common Stock  461148108     6054     487173 SH         DEFINED    1,2,5,8                   487173
ARDEA BIOSCIENCES   Common Stock  03969P107    10567     368286 SH         DEFINED    1,2,6,8                   368286
 INC
INVACARE CORP       Common equity 461203101    25815     829531 SH         DEFINED    1,2,5,6,8                 829531
                    shares
INTUITIVE SURGICAL  Common equity 46120E602   453806    1360961 SH         DEFINED    1,2,5,6,8,10,12,18       1360961
 INC                shares
INVESTMENT          Common equity 46145F105    23166    1273780 SH         DEFINED    1,2,5,6,8                1273780
 TECHNOLOGY GP INC  shares
INVESTORS REAL      Real Estate   461730103    16749    1763020 SH         DEFINED    1,2,3,5,6,8              1763020
 ESTATE TRUST       Investment
                    Trust
IRON MOUNTAIN INC   Common equity 462846106   213867    6848464 SH         DEFINED    1,2,5,6,8,10,12,18       6848464
                    shares
ISIS                Common Stock  464330109    24679    2729898 SH         DEFINED    1,2,5,6,8                2729898
 PHARMACEUTICALS
 INC
ISLE OF CAPRI       Common equity 464592104     3304     347454 SH         DEFINED    1,2,5,6                   347454
 CASINOS INC        shares
ARCELORMITTAL SA    Similar to    03938L104      213       5900 SH         DEFINED    1                           5900
                    ADR
                    Certificates
                    representing
                    ordinary
                    shares
ISRAMCO INC         Common equity 465141406     1106      16896 SH         DEFINED    1,2                        16896
                    shares
ITRON INC           Common equity 465741106    62194    1102023 SH         DEFINED    1,2,5,6,8,12             1102023
                    shares
IXYS CORP           Common Stock  46600W106     7796     580626 SH         DEFINED    1,2,5,6                   580626
J & J SNACK FOODS   Common equity 466032109    15556     330350 SH         DEFINED    1,2,5,6,8                 330350
 CORP               shares
JDA SOFTWARE GROUP  Common Stock  46612K108    27768     917660 SH         DEFINED    1,2,5,6,8                 917660
 INC
EPOCH HOLDING CORP  Common Stock  29428R103     4174     264493 SH         DEFINED    1,2,6,17                  253933         10560
J2 GLOBAL           Common equity 46626E205    30594    1036856 SH         DEFINED    1,2,5,6,8                1036856
 COMMUNICATIONS INC shares
JACK IN THE BOX INC Common equity 466367109    26157    1153265 SH         DEFINED    1,2,5,6,8                1153265
                    shares
JACOBS ENGINEERING  Common equity 469814107   236631    4601153 SH         DEFINED    1,2,5,6,8,10,12,18       4601153
 GROUP INC          shares
JAKKS PACIFIC INC   Common equity 47012E106    14349     741722 SH         DEFINED    1,2,5,6,8                 741722
                    shares
JOHNSON OUTDOORS    Common equity 479167108      873      57258 SH         DEFINED    1,2                        57258
 INC  -CL A         shares
JONES LANG LASALLE  Common equity 48020Q107   115701    1159998 SH         DEFINED    1,2,3,5,6,8,12,17        1159998
 INC                shares
JOS A BANK          Common equity 480838101    41530     816244 SH         DEFINED    1,2,5,6,8                 816244
 CLOTHIERS INC      shares
KMG CHEMICALS INC   Common Stock  482564101     1821      92610 SH         DEFINED    1,2                        92610
K-SWISS INC  -CL A  Common equity 482686102     6440     571301 SH         DEFINED    1,2,5,6,8                 571301
                    shares
KVH INDUSTRIES INC  Common Stock  482738101     3968     262367 SH         DEFINED    1,2                       262367
K V PHARMACEUTICAL  Common equity 482740206      170      28388 SH         DEFINED    1                          28388
 -CL A              shares
KAMAN CORP          Common equity 483548103    19728     560528 SH         DEFINED    1,2,5,6,8                 560528
                    shares
FURMANITE CORP      Common equity 361086101     5364     670621 SH         DEFINED    1,2,6                     670621
                    shares
KANSAS CITY LIFE    Common equity 484836101     3266     102199 SH         DEFINED    1,2,8                     102199
 INS CO             shares
GREAT PLAINS ENERGY Common equity 391164100    70639    3528560 SH         DEFINED    1,2,5,6,8,12,17          3528560
 INC                shares
KANSAS CITY         Common equity 485170302   148703    2730992 SH         DEFINED    1,2,5,6,8,12             2730992
 SOUTHERN           shares
KAYDON CORP         Common equity 486587108    31587     805948 SH         DEFINED    1,2,5,6,8                 805948
                    shares
KELLY SERVICES INC  Common equity 488152208    13631     627878 SH         DEFINED    1,2,5,6,8                 627878
 -CL A              shares
KEMET CORP          Common Stock  488360207      430      28942 SH         DEFINED    1                          28942
KENDLE              Common equity 48880L107     3640     339717 SH         DEFINED    1,2,8                     339717
 INTERNATIONAL INC  shares
KENNAMETAL INC      Common equity 489170100    86133    2208446 SH         DEFINED    1,2,5,6,8,12             2208446
                    shares
KENNEDY-WILSON      Common Stock  489398107     4089     376475 SH         DEFINED    1,2,6,17                  366465         10010
 HOLDINGS INC
KENSEY NASH CORP    Common equity 490057106     5344     214563 SH         DEFINED    1,2,6,8                   214563
                    shares
KERYX               Common equity 492515101     4591     916524 SH         DEFINED    1,2                       916524
 BIOPHARMACEUTICALS shares
 INC
KEYNOTE SYSTEMS INC Common Stock  493308100     4707     253569 SH         DEFINED    1,2                       253569
KFORCE INC          Common equity 493732101    11961     653915 SH         DEFINED    1,2,5,6,8                 653915
                    shares
MAGNUM HUNTER       Common Stock  55973B102    32457    3787090 SH         DEFINED    1,2,6                    3787090
 RESOURCES CORP
KIMBALL             Common equity 494274103     5313     758974 SH         DEFINED    1,2,8                     758974
 INTERNATIONAL      shares
 -CL B
KILROY REALTY CORP  Real Estate   49427F108    72630    1870373 SH         DEFINED    1,2,3,5,6,8              1870373
                    Investment
                    Trust
KINDER MORGAN       Limited       494550106    30294     408880 SH         DEFINED    1                         408880
 ENERGY  -LP        Partnership
KIRBY CORP          Common equity 497266106    83881    1464157 SH         DEFINED    1,2,5,6,8,12             1464157
                    shares
KNIGHT CAPITAL      Common Stock  499005106    31080    2319387 SH         DEFINED    1,2,5,6,8                2319387
 GROUP INC
KNIGHT              Common equity 499064103    27446    1425793 SH         DEFINED    1,2,5,6,8                1425793
 TRANSPORTATION INC shares
KNOT INC            Common equity 499184109     8126     674463 SH         DEFINED    1,2,5,6,8                 674463
                    shares
KOPIN CORP          Common Stock  500600101     6237    1358513 SH         DEFINED    1,2,5,6,8                1358513
KT CORP             American      48268K101     2069     105990 SH         DEFINED    1,2,5,6                   105990
                    Depository
                    Receipt
KORN/FERRY          Common equity 500643200    35185    1580014 SH         DEFINED    1,2,5,6,8,12             1580014
 INTERNATIONAL      shares
KRISPY KREME        Common equity 501014104     8191    1163631 SH         DEFINED    1,2,6                    1163631
 DOUGHNUTS INC      shares
SUNLINK HEALTH      Common equity 86737U102       21      13400 SH         DEFINED    1                          13400
 SYSTEMS INC        shares
KULICKE & SOFFA     Common Stock  501242101    14004    1497453 SH         DEFINED    1,2,6,8                  1497453
 INDUSTRIES
LAN AIRLINES SA     American      501723100    13469     526491 SH         DEFINED    1,2,5,6                   526491
                    Depository
                    Receipt
LCA VISION INC      Common equity 501803308     2213     327375 SH         DEFINED    1,2                       327375
                    shares
LMI AEROSPACE INC   Common equity 502079106     4125     204174 SH         DEFINED    1,2                       204174
                    shares
NEWBRIDGE BANCORP   Common equity 65080T102       68      13538 SH         DEFINED    1                          13538
                    shares
LSB INDUSTRIES INC  Common equity 502160104    14079     355119 SH         DEFINED    1,2,6,8                   355119
                    shares
LSI INDUSTRIES INC  Common equity 50216C108     2578     356203 SH         DEFINED    1,2                       356203
                    shares
LTC PROPERTIES INC  Real Estate   502175102    18481     651970 SH         DEFINED    1,2,3,5,6,8               651970
                    Investment
                    Trust
LA BARGE INC        Common equity 502470107     4477     252815 SH         DEFINED    1,2                       252815
                    shares
LA-Z-BOY INC        Common equity 505336107    11055    1157747 SH         DEFINED    1,2,6,8                  1157747
                    shares
TRUEBLUE INC        Common equity 89785X101    17923    1067572 SH         DEFINED    1,2,5,6,8                1067572
                    shares
LACLEDE GROUP INC   Common equity 505597104    21881     574261 SH         DEFINED    1,2,5,6,8,17              572671          1590
                    shares
LACROSSE FOOTWEAR   Common equity 505688101     1174      64112 SH         DEFINED    1,2                        64112
 INC                shares
LADISH CO INC       Common equity 505754200    17773     325206 SH         DEFINED    1,2,5,6,8                 325206
                    shares
ENBRIDGE ENERGY     Limited       29250R106     8700     134630 SH         DEFINED    1                         134630
 PRTNRS  -LP        Partnership
LAKELAND BANCORP    Common equity 511637100     4161     400874 SH         DEFINED    1,2,8                     400874
 INC                shares
LAKELAND FINANCIAL  Common equity 511656100     7569     333671 SH         DEFINED    1,2,8                     333671
 CORP               shares
LAKES ENTERTAINMENT Common equity 51206P109       28      10600 SH         DEFINED    1                          10600
 INC                shares
LAMAR ADVERTISING   Common equity 512815101    61857    1674405 SH         DEFINED    1,2,5,6,8,12             1674405
 CO  -CL A          shares
SNYDERS-LANCE INC   Common equity 833551104    12014     605110 SH         DEFINED    1,2,5,8                   605110
                    shares
LANDEC CORP         Common equity 514766104     3246     499549 SH         DEFINED    1,2,6                     499549
                    shares
LANDAUER INC        Common equity 51476K103    13925     226424 SH         DEFINED    1,2,5,6,8                 226424
                    shares
LANDSTAR SYSTEM INC Common equity 515098101    61511    1346453 SH         DEFINED    1,2,5,6,8,12             1346453
                    shares
LANNETT CO INC      Common equity 516012101      960     172058 SH         DEFINED    1,2                       172058
                    shares
LATTICE             Common Stock  518415104    20762    3518294 SH         DEFINED    1,2,5,6,8,17             3480754         37540
 SEMICONDUCTOR CORP
LAWSON PRODUCTS     Common equity 520776105     2704     117327 SH         DEFINED    1,2                       117327
                    shares
LAYNE CHRISTENSEN   Common equity 521050104    14532     421127 SH         DEFINED    1,2,5,6,8                 421127
 CO                 shares
CAPITAL GOLD CORP   Common equity 14018Y205     7505    1167252 SH         DEFINED    1,2,6                    1167252
                    shares
LEARNING TREE INTL  Common equity 522015106     1081     122763 SH         DEFINED    1,2                       122763
 INC                shares
LEE ENTERPRISES INC Common equity 523768109     2039     754359 SH         DEFINED    1,2                       754359
                    shares
LENNOX              Common equity 526107107    94382    1794898 SH         DEFINED    1,2,5,6,8,12             1794898
 INTERNATIONAL INC  shares
LEUCADIA NATIONAL   Common equity 527288104   282378    7521966 SH         DEFINED    1,2,5,6,8,10,12,18       7521966
 CORP               shares
LEXICON             Common Stock  528872104     7988    4755425 SH         DEFINED    1,2,5,6                  4755425
 PHARMACEUTICALS
 INC
LEXINGTON REALTY    Real Estate   529043101    31322    3350344 SH         DEFINED    1,2,3,5,6,8              3350344
 TRUST              Investment
                    Trust
LIBBEY INC          Common Stock  529898108     6192     375208 SH         DEFINED    1,2,6                     375208
FIRST ACCEPTANCE    Common equity 318457108       23      11846 SH         DEFINED    1                          11846
 CORP               shares
LIFEWAY FOODS INC   Common equity 531914109      903      86811 SH         DEFINED    1,2                        86811
                    shares
LIFETIME BRANDS INC Common equity 53222Q103     2739     182209 SH         DEFINED    1,2                       182209
                    shares
LIFE PARTNERS       Common Stock  53215T106     1964     244498 SH         DEFINED    1,2                       244498
 HOLDINGS INC
LIFEPOINT HOSPITALS Common equity 53219L109    57532    1431929 SH         DEFINED    1,2,5,6,8,12             1431929
 INC                shares
LIGAND              Common equity 53220K504     3594     359824 SH         DEFINED    1,2,6,8                   359824
 PHARMACEUTICAL INC shares
LIGHTPATH           Common equity 532257805       31      15095 SH         DEFINED    1,2                        15095
 TECHNOLOGIES INC   shares
LIMONEIRA CO        Common equity 532746104     2978     125637 SH         DEFINED    1,2                       125637
                    shares
LINCOLN ELECTRIC    Common equity 533900106    87360    1150693 SH         DEFINED    1,2,5,6,8,12             1150693
 HLDGS INC          shares
LINDSAY CORP        Common equity 535555106    21388     270618 SH         DEFINED    1,2,5,6,8                 270618
                    shares
LIONS GATE          Common equity 535919203     6206     992145 SH         DEFINED    1,2,5,6,8                 992145
 ENTERTAINMENT CP   shares
LIONBRIDGE          Common equity 536252109     4217    1228941 SH         DEFINED    1,2                      1228941
 TECHNOLOGIES INC   shares
LITHIA MOTORS INC   Common equity 536797103     6073     416471 SH         DEFINED    1,2                       416471
 -CL A              shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
LITTELFUSE INC      Common equity 537008104    32615     571201 SH         DEFINED    1,2,5,6,8                 571201
                    shares
LIVEPERSON INC      Common equity 538146101    10912     863616 SH         DEFINED    1,2,5,8                   863616
                    shares
LOJACK CORP         Common equity 539451104      177      37893 SH         DEFINED    1,2                        37893
                    shares
LODGENET            Common equity 540211109     1946     534231 SH         DEFINED    1,2                       534231
 INTERACTIVE CORP   shares
LOOKSMART LTD       Common equity 543442503       19      11030 SH         DEFINED    1                          11030
                    shares
LUBYS INC           Common equity 549282101       63      11921 SH         DEFINED    1                          11921
                    shares
LUFKIN INDUSTRIES   Common equity 549764108    82688     884668 SH         DEFINED    1,2,5,6,8                 884668
 INC                shares
LUMINEX CORP        Common Stock  55027E102    14787     788113 SH         DEFINED    1,2,5,6,8                 788113
LYDALL INC          Common equity 550819106     2539     285527 SH         DEFINED    1,2                       285527
                    shares
M & F WORLDWIDE     Common equity 552541104     6276     249602 SH         DEFINED    1,2,5,6,8                 249602
 CORP               shares
MB FINANCIAL INC/MD Common equity 55264U108    38850    1853666 SH         DEFINED    1,2,5,6,8                1853666
                    shares
MDC HOLDINGS INC    Common equity 552676108    51117    2016517 SH         DEFINED    1,2,5,6,8,12             2016517
                    shares
MDU RESOURCES GROUP Common equity 552690109   139166    6058483 SH         DEFINED    1,2,5,6,8,10,12,18       6058483
 INC                shares
ENCORE CAPITAL      Common equity 292554102     6700     282917 SH         DEFINED    1,2,5,8                   282917
 GROUP INC          shares
TERRA NOVA ROYALTY  Common Stock  88102D103      127      14678 SH         DEFINED    1,5,6                      14678
 CORP
MGM RESORTS         Common equity 552953101    64625    4914093 SH         DEFINED    1,2,5,6,8,10,12,18       4914093
 INTERNATIONAL      shares
BIOSCRIP INC        Common Stock  09069N108     3587     761405 SH         DEFINED    1,2                       761405
M/I HOMES INC       Common equity 55305B101     6094     407116 SH         DEFINED    1,2,8                     407116
                    shares
MKS INSTRUMENTS INC Common equity 55306N104    37536    1127110 SH         DEFINED    1,2,5,6,8                1127110
                    shares
MSC INDUSTRIAL      Common equity 553530106    82633    1206868 SH         DEFINED    1,2,5,6,8,12             1206868
 DIRECT  -CL A      shares
MTR GAMING GROUP    Common equity 553769100       46      17339 SH         DEFINED    1                          17339
 INC                shares
MTS SYSTEMS CORP    Common equity 553777103    15983     350897 SH         DEFINED    1,2,5,6,8                 350897
                    shares
MAC-GRAY CORP       Common equity 554153106     3372     209111 SH         DEFINED    1,2                       209111
                    shares
MACATAWA BANK CORP  Common equity 554225102       33      13222 SH         DEFINED    1                          13222
                    shares
MACK-CALI REALTY    Real Estate   554489104   111104    3277366 SH         DEFINED    1,2,3,5,6,8,12           3277366
 CORP               Investment
                    Trust
ROVI CORP           Common equity 779376102   161283    3006231 SH         DEFINED    1,2,5,6,8,12             3006231
                    shares
MADDEN STEVEN LTD   Common equity 556269108    24910     530875 SH         DEFINED    1,2,5,6,8                 530875
                    shares
MGE ENERGY INC      Common equity 55277P104    21140     522099 SH         DEFINED    1,2,5,6,8,17              522099
                    shares
MAGELLAN HEALTH     Common equity 559079207    46279     942929 SH         DEFINED    1,2,5,6,8                 942929
 SERVICES INC       shares
MAGELLAN PETROLEUM  Common equity 559091301       46      19023 SH         DEFINED    1                          19023
 CORP               shares
MAGNETEK INC        Common equity 559424106       41      18506 SH         DEFINED    1                          18506
                    shares
CENVEO INC          Common equity 15670S105     7322    1121324 SH         DEFINED    1,2,5,6,8                1121324
                    shares
MANITOWOC CO        Common equity 563571108    39432    1802258 SH         DEFINED    1,2,5,6,8,10             1802258
                    shares
MANNATECH INC       Common equity 563771104       17      11000 SH         DEFINED    1                          11000
                    shares
EQUITY LIFESTYLE    Real Estate   29472R108    55617     964734 SH         DEFINED    1,2,3,5,6,8               964734
 PROPERTIES         Investment
                    Trust
MANULIFE FINANCIAL  Common equity 56501R106      657      37162 SH         DEFINED    1                          37162
 CORP               shares
MARCUS CORP         Common equity 566330106     5072     465101 SH         DEFINED    1,2,5,8                   465101
                    shares
MARINEMAX INC       Common equity 567908108     3660     370998 SH         DEFINED    1,2                       370998
                    shares
MARINE PRODUCTS     Common equity 568427108     1465     184420 SH         DEFINED    1,2                       184420
 CORP               shares
MARKEL CORP         Common equity 570535104    52574     126854 SH         DEFINED    1,2,5,6,8,12              126854
                    shares
MARTEN TRANSPORT    Common equity 573075108     7139     320265 SH         DEFINED    1,2,6,8                   320265
 LTD                shares
MARTHA STEWART      Common equity 573083102     2003     539847 SH         DEFINED    1,2,6                     539847
 LIVING OMNIMD      shares
MARTIN MARIETTA     Common equity 573284106   123686    1379247 SH         DEFINED    1,2,5,6,8,10,12,18       1379247
 MATERIALS          shares
MASSEY ENERGY CO    Common equity 576206106   519839    7604317 SH         DEFINED    1,2,5,6,8,10,12,18       7604317
                    shares
MASTEC INC          Common equity 576323109    24829    1193965 SH         DEFINED    1,2,5,6,8                1193965
                    shares
MATRIX SERVICE CO   Common Stock  576853105     8054     579428 SH         DEFINED    1,2,5,6,8                 579428
PANASONIC CORP      American      69832A205      133      10530 SH         DEFINED    1                          10530
                    Depository
                    Receipt
MATTHEWS INTL CORP  Common equity 577128101    44072    1143300 SH         DEFINED    1,2,5,6,8,12             1143300
 -CL A              shares
MATTSON TECHNOLOGY  Common equity 577223100     2233     915995 SH         DEFINED    1,2                       915995
 INC                shares
EPICEPT CORP        Common equity 294264304       11      17045 SH         DEFINED    1                          17045
                    shares
MAXWELL             Common Stock  577767106     8974     519537 SH         DEFINED    1,2,5,6,8                 519537
 TECHNOLOGIES INC
MAXYGEN INC         Common Stock  577776107     2831     545032 SH         DEFINED    1,2                       545032
MAXIMUS INC         Common equity 577933104    34030     419228 SH         DEFINED    1,2,5,6,8,17              419228
                    shares
MBT FINANCIAL CORP  Common equity 578877102       22      14467 SH         DEFINED    1                          14467
                    shares
MCCLATCHY CO  -CL A Common equity 579489105     3962    1165724 SH         DEFINED    1,2,8                    1165724
                    shares
MCDERMOTT INTL INC  Common equity 580037109    92083    3626743 SH         DEFINED    1,2,5,6,8,10,12,18       3626743
                    shares
MCGRATH RENTCORP    Common equity 580589109    13697     502102 SH         DEFINED    1,2,5,6,8                 502102
                    shares
MCMORAN EXPLORATION Common equity 582411104    56316    3179718 SH         DEFINED    1,2,5,6,8                3179718
 CO                 shares
MEADOWBROOK INS     Common equity 58319P108    15506    1498014 SH         DEFINED    1,2,6,8                  1498014
 GROUP INC          shares
MEASUREMENT         Common equity 583421102     9814     288064 SH         DEFINED    1,2                       288064
 SPECIALTIES INC    shares
MEDALLION FINANCIAL Common equity 583928106     2481     282284 SH         DEFINED    1,2                       282284
 CORP               shares
MEDIA GENERAL -CL A Common equity 584404107     2697     391704 SH         DEFINED    1,2                       391704
                    shares
MEDICAL ACTION      Common equity 58449L100     2872     341653 SH         DEFINED    1,2                       341653
 INDUSTRIES         shares
PROASSURANCE CORP   Common equity 74267C106    48847     770818 SH         DEFINED    1,2,5,6,8                 770818
                    shares
MEDICINES CO        Common equity 584688105    20068    1231867 SH         DEFINED    1,2,5,6,8                1231867
                    shares
MEDICIS PHARMACEUT  Common equity 584690309    80627    2516655 SH         DEFINED    1,2,5,6,8,12             2516655
 CP  -CL A          shares
MEDIFAST INC        Common equity 58470H101     5471     276720 SH         DEFINED    1,2,8                     276720
                    shares
MENS WEARHOUSE INC  Common equity 587118100    43810    1618957 SH         DEFINED    1,2,5,6,8                1618957
                    shares
MENTOR GRAPHICS     Common equity 587200106    58522    4000198 SH         DEFINED    1,2,5,6,8,12             4000198
 CORP               shares
MERCHANTS           Common Stock  588448100     2377      89759 SH         DEFINED    1,2,17                     89759
 BANCSHARES INC/VT
MERCURY COMPUTER    Common equity 589378108    12127     573215 SH         DEFINED    1,2,6,8                   573215
 SYSTEMS INC        shares
MERCURY GENERAL     Common equity 589400100    77199    1972712 SH         DEFINED    1,2,5,6,8,12             1972712
 CORP               shares
MERIDIAN BIOSCIENCE Common equity 589584101    20708     863240 SH         DEFINED    1,2,5,6,8                 863240
 INC                shares
MERIT MEDICAL       Common equity 589889104    11972     610141 SH         DEFINED    1,2,5,6,8                 610141
 SYSTEMS INC        shares
MERGE HEALTHCARE    Common Stock  589499102     4343     890079 SH         DEFINED    1,2                       890079
 INC
MERITAGE HOMES CORP Common equity 59001A102    17003     704731 SH         DEFINED    1,2,5,6,8                 704731
                    shares
MET-PRO CORP        Common equity 590876306     3158     265578 SH         DEFINED    1,2                       265578
                    shares
METALLINE MINING CO Common equity 591257100       38      34300 SH         DEFINED    1                          34300
                    shares
METHODE ELECTRONICS Common equity 591520200    10740     889436 SH         DEFINED    1,2,5,8                   889436
 INC                shares
POWERSECURE INTL    Common equity 73936N105     2859     332432 SH         DEFINED    1,2,5                     332432
 INC                shares
METROPOLITAN HLTH   Common equity 592142103     4072     860836 SH         DEFINED    1,2,5                     860836
 NTWRKS INC         shares
MICREL INC          Common equity 594793101    17590    1305040 SH         DEFINED    1,2,5,6,8                1305040
                    shares
MICROVISION INC     Common equity 594960106     2210    1672851 SH         DEFINED    1,2                      1672851
                    shares
MICROSTRATEGY INC   Common equity 594972408    26632     198031 SH         DEFINED    1,2,5,6,8                 198031
                    shares
MICROSEMI CORP      Common equity 595137100    43893    2119444 SH         DEFINED    1,2,5,6,8                2119444
                    shares
MID-AMERICA APT     Real Estate   59522J103    77909    1213487 SH         DEFINED    1,2,3,5,6,8              1213487
 CMNTYS INC         Investment
                    Trust
MIDAS INC           Common equity 595626102     2420     315428 SH         DEFINED    1,2                       315428
                    shares
MIDDLEBY CORP       Common equity 596278101    35595     381777 SH         DEFINED    1,2,5,6,8                 381777
                    shares
MIDDLESEX WATER CO  Common equity 596680108     5423     297979 SH         DEFINED    1,2,5                     297979
                    shares
MIDSOUTH BANCORP    Common equity 598039105     1677     115927 SH         DEFINED    1,2                       115927
 INC                shares
MGP INGREDIENTS INC Common equity 55302G103     1488     170528 SH         DEFINED    1,2                       170528
                    shares
MILLER (HERMAN) INC Common equity 600544100    54368    1977794 SH         DEFINED    1,2,5,6,8,12,17          1969160          8634
                    shares
MILLER INDUSTRIES   Common equity 600551204     2831     174288 SH         DEFINED    1,2                       174288
 INC/TN             shares
MILLER ENERGY       Common Stock  600527105     1554     310305 SH         DEFINED    1,2                       310305
 RESOURCES INC
MINE SAFETY         Common equity 602720104    39116    1066584 SH         DEFINED    1,2,5,6,8,12             1066584
 APPLIANCES CO      shares
MINERALS            Common equity 603158106    49945     728899 SH         DEFINED    1,2,5,6,8,12              728899
 TECHNOLOGIES INC   shares
MINES MANAGEMENT    Common equity 603432105       36      12400 SH         DEFINED    1                          12400
 INC                shares
MIPS TECHNOLOGIES   Common equity 604567107    13029    1242138 SH         DEFINED    1,2,6,8                  1242138
 INC                shares
MISSION WEST        Real Estate   605203108     2429     369947 SH         DEFINED    1,2,5                     369947
 PROPERTIES INC     Investment
                    Trust
MITSUI & CO LTD     Depository    606827202      299        833 SH         DEFINED    1,2                          833
                    Receipt
MOBILE MINI INC     Common equity 60740F105    18858     784916 SH         DEFINED    1,2,5,6,8                 784916
                    shares
IGO INC             Common equity 449593102       57      20476 SH         DEFINED    1                          20476
                    shares
MODINE              Common equity 607828100    15550     963407 SH         DEFINED    1,2,5,6,8                 963407
 MANUFACTURING CO   shares
MOLEX INC           Common equity 608554200     3388     163744 SH         DEFINED    1,2,5,8,12                163744
                    shares
MONARCH CASINO &    Common equity 609027107     2292     220718 SH         DEFINED    1,2                       220718
 RESORT INC         shares
MONMOUTH RE         REIT          609720107     4095     498742 SH         DEFINED    1,2,5                     498742
 INVESTMENT CP
MONRO MUFFLER BRAKE Common equity 610236101    33492    1015474 SH         DEFINED    1,2,5,6,8                1015474
 INC                shares
MOOG INC  -CL A     Common equity 615394202    48063    1046870 SH         DEFINED    1,2,5,6,8                1046870
                    shares
DESTINATION         Common Stock  25065D100     4840     209746 SH         DEFINED    1,2,5                     209746
 MATERNITY CORP
MOVADO GROUP INC    Common equity 624580106     5175     352848 SH         DEFINED    1,2,8                     352848
                    shares
MUELLER INDUSTRIES  Common equity 624756102    35693     974747 SH         DEFINED    1,2,5,6,8,17              970007          4740
                    shares
MULTI-COLOR CORP    Common equity 625383104     4481     221854 SH         DEFINED    1,2                       221854
                    shares
MULTIMEDIA GAMES    Common equity 625453105     3437     600488 SH         DEFINED    1,2                       600488
 HOLDING CO         shares
MURPHY OIL CORP     Common equity 626717102   618827    8428634 SH         DEFINED    1,2,5,6,8,10,12,17,18    8428634
                    shares
MYERS INDUSTRIES    Common equity 628464109     7399     745026 SH         DEFINED    1,2,5,8                   745026
 INC                shares
N B T BANCORP INC   Common equity 628778102    18767     823349 SH         DEFINED    1,2,5,6,8                 823349
                    shares
NCI BUILDING        Common equity 628852204     5413     427137 SH         DEFINED    1,2                       427137
 SYSTEMS INC        shares
NASB FINANCIAL INC  Common equity 628968109     1308      80706 SH         DEFINED    1,2                        80706
                    shares
NL INDUSTRIES       Common equity 629156407     2132     143774 SH         DEFINED    1,2                       143774
                    shares
NN INC              Common equity 629337106      192      10500 SH         DEFINED    1                          10500
                    shares
NTT DOCOMO INC      American      62942M201      599      34020 SH         DEFINED    1,2                        34020
                    Depository
                    Receipt
NVE CORP            Common equity 629445206     5489      97381 SH         DEFINED    1,2                        97381
                    shares
NACCO INDUSTRIES    Common equity 629579103    15745     142285 SH         DEFINED    1,2,5,6,8,17              140755          1530
 -CL A              shares
NAM TAI ELECTRONIC  Common equity 629865205       90      14069 SH         DEFINED    1,5,6                      14069
                    shares
NANOMETRICS INC     Common Stock  630077105     6995     386720 SH         DEFINED    1,2                       386720
NANOPHASE           Common equity 630079101       17      12201 SH         DEFINED    1                          12201
 TECHNOLOGIES CORP  shares
NAPCO SECURITY TECH Common equity 630402105       28      12100 SH         DEFINED    1                          12100
 INC                shares
NARA BANCORP INC    Common equity 63080P105     7553     785242 SH         DEFINED    1,2,5,6,8                 785242
                    shares
NASH FINCH CO       Common equity 631158102    14412     379892 SH         DEFINED    1,2,5,8,17                379892
                    shares
MARINA BIOTECH INC  Common equity 56804Q102        9      13157 SH         DEFINED    1                          13157
                    shares
NATHAN`S FAMOUS INC Common equity 632347100      262      15258 SH         DEFINED    1,17                        2500         12758
                    shares
NATIONAL BANK OF    American      633643408      492     277573 SH         DEFINED    1,2                       277573
 GREECE             Depository
                    Receipt
NATIONAL BANKSHARES Common equity 634865109     3778     130702 SH         DEFINED    1,2,17                    130702
 INC VA             shares
NATIONAL BEVERAGE   Common equity 635017106     3112     226592 SH         DEFINED    1,2,6,8                   226592
 CORP               shares
NATIONAL HEALTHCARE Common equity 635906100     9220     198245 SH         DEFINED    1,2,5,8,17                198245
 CORP               shares
NATIONAL FUEL GAS   Common equity 636180101   211289    2855322 SH         DEFINED    1,2,5,6,8,12             2855322
 CO                 shares
NATIONAL HEALTH     Real Estate   63633D104    29443     614345 SH         DEFINED    1,2,3,5,6,8               614345
 INVESTORS          Investment
                    Trust
NIC INC             Common equity 62914B100    13709    1099984 SH         DEFINED    1,2,6,8                  1099984
                    shares
NATIONAL OILWELL    Common equity 637071101  1431745   18061617 SH         DEFINED    1,2,5,6,8,10,12,18      18061617
 VARCO INC          shares
NATIONAL PENN       Common equity 637138108    36383    4701163 SH         DEFINED    1,2,5,6,8                4701163
 BANCSHARES INC     shares
NATIONAL PRESTO     Common equity 637215104    14755     130938 SH         DEFINED    1,2,5,6,8,17              130938
 INDS INC           shares
NATIONAL RESEARCH   Common equity 637372103      824      24380 SH         DEFINED    1,2                        24380
 CORP               shares
NATIONAL WESTERN    Common equity 638522102     6969      42969 SH         DEFINED    1,2,8                      42969
 LIFE  -CL A        shares
NATIONWIDE HEALTH   Real Estate   638620104   203017    4773365 SH         DEFINED    1,2,3,5,6,8,12           4773365
 PPTYS INC          Investment
                    Trust
NAVIGATORS GROUP    Common equity 638904102    13683     265710 SH         DEFINED    1,2,5,6,8                 265710
 INC                shares
NATURES SUNSHINE    Common Stock  639027101      914     102102 SH         DEFINED    1,2                       102102
 PRODS INC
NAVARRE CORP        Common equity 639208107       46      24656 SH         DEFINED    1                          24656
                    shares
BPZ RESOURCES INC   Common Stock  055639108    27132    5110041 SH         DEFINED    1,2,5,6,8                5110041
NAVISITE INC        Common equity 63935M208       81      14820 SH         DEFINED    1                          14820
                    shares
NAVIGANT CONSULTING Common equity 63935N107    10813    1082300 SH         DEFINED    1,2,5,6,8                1082300
 INC                shares
NEOGEN CORP         Common equity 640491106    20696     500150 SH         DEFINED    1,2,5,6,8                 500150
                    shares
NEOPROBE CORP       Common Stock  640518106      165      41600 SH         DEFINED    1                          41600
PONIARD             Common Stock  732449301        8      19077 SH         DEFINED    1                          19077
 PHARMACEUTICALS
 INC
SPECTRUM            Common Stock  84763A108     8594     966875 SH         DEFINED    1,2                       966875
 PHARMACEUTICALS
 INC
NET 1 UEPS          Common equity 64107N206      166      19500 SH         DEFINED    1,5,6,8                    19500
 TECHNOLOGIES INC   shares
NETEASE.COM INC     American      64110W102     9159     184972 SH         DEFINED    1,2,6                     184972
 -ADR               Depository
                    Receipt
8X8 INC             Common equity 282914100      109      39100 SH         DEFINED    1                          39100
                    shares
NETSOL TECHNOLOGIES Common equity 64115A204       45      23960 SH         DEFINED    1                          23960
 INC                shares
RAE SYSTEMS INC     Common equity 75061P102       35      19800 SH         DEFINED    1                          19800
                    shares
NETSCOUT SYSTEMS    Common equity 64115T104    18995     695254 SH         DEFINED    1,2,5,6,8                 695254
 INC                shares
NETWORK EQUIPMENT   Common Stock  641208103     1975     523314 SH         DEFINED    1,2,5                     523314
 TECH INC
NETWORK ENGINES INC Common equity 64121A107     1191     586624 SH         DEFINED    1,2                       586624
                    shares
FALCONSTOR SOFTWARE Common equity 306137100     2751     604495 SH         DEFINED    1,2                       604495
 INC                shares
UNITED ONLINE INC   Common equity 911268100    13682    2169805 SH         DEFINED    1,2,5,6,8                2169805
                    shares
NEUROCRINE          Common equity 64125C109     9707    1278686 SH         DEFINED    1,2,6,8                  1278686
 BIOSCIENCES INC    shares
NEVADA GOLD &       Common equity 64126Q206       20      18482 SH         DEFINED    1                          18482
 CASINOS INC        shares
NEW FRONTIER MEDIA  Common equity 644398109       28      15757 SH         DEFINED    1                          15757
 INC                shares
NEW JERSEY          Common equity 646025106    44488    1035848 SH         DEFINED    1,2,5,6,8                1035848
 RESOURCES CORP     shares
EINSTEIN NOAH       Common equity 28257U104     1891     116269 SH         DEFINED    1,2                       116269
 RESTAURANT GRP     shares
NEWFIELD            Common equity 651290108   439984    5788534 SH         DEFINED    1,2,5,6,8,10,12,18       5788534
 EXPLORATION CO     shares
NEWPARK RESOURCES   Common equity 651718504    28600    3638372 SH         DEFINED    1,2,5,6,8                3638372
                    shares
NEWPORT CORP        Common equity 651824104    16078     901920 SH         DEFINED    1,2,5,6,8                 901920
                    shares
99 CENTS ONLY       Common equity 65440K106    42486    2167756 SH         DEFINED    1,2,5,6,8,12             2167756
 STORES             shares
NIPPON TELEGRAPH &  American      654624105      215       9570 SH         DEFINED    1                           9570
 TELEPHONE          Depository
                    Receipt
NOBLE ENERGY INC    Common equity 655044105   742735    7684743 SH         DEFINED    1,2,5,6,8,10,12,18       7684743
                    shares
NOKIA (AB) OY       American      654902204     5348     628481 SH         DEFINED    1,2                       628481
                    Depository
                    Receipt
NORDSON CORP        Common equity 655663102   145632    1265626 SH         DEFINED    1,2,5,6,8,12             1265626
                    shares
ONEOK PARTNERS -LP  Limited       68268N103     6617      80351 SH         DEFINED    1                          80351
                    Partnership
NORTHWEST NATURAL   Common equity 667655104    76327    1654677 SH         DEFINED    1,2,5,6,8,17             1654677
 GAS CO             shares
NORTHWEST PIPE CO   Common equity 667746101     4335     188968 SH         DEFINED    1,2,5,8                   188968
                    shares
NOVATEL WIRELESS    Common equity 66987M604     3693     675827 SH         DEFINED    1,2,5,6,8                 675827
 INC                shares
NOVARTIS AG         American      66987V109     3463      63706 SH         DEFINED    1,2                        63706
                    Depository
                    Receipt
NOVAVAX INC         Common equity 670002104     4091    1578412 SH         DEFINED    1,2                      1578412
                    shares
CLINICAL DATA INC   Common equity 18725U109    19760     652293 SH         DEFINED    1,2,6,8                   652293
                    shares
NOVO NORDISK A/S    American      670100205      254       2030 SH         DEFINED    1                           2030
                    Depository
                    Receipt
NU SKIN             Common equity 67018T105    31673    1101500 SH         DEFINED    1,2,5,6,8,17             1101500
 ENTERPRISES  -CL A shares
NSTAR               Common equity 67019E107   161659    3493849 SH         DEFINED    1,2,5,6,8,10,12,17,18    3493849
                    shares
NUTRACEUTICAL INTL  Common equity 67060Y101     3122     208740 SH         DEFINED    1,2,17                    192850         15890
 CORP               shares
NUTRISYSTEM INC     Common equity 67069D108     8294     572336 SH         DEFINED    1,2,5,6,8                 572336
                    shares
NYMOX               Common equity 67076P102     2095     265365 SH         DEFINED    1,2                       265365
 PHARMACEUTICAL     shares
 CORP
O'CHARLEY'S INC     Common equity 670823103     2935     491515 SH         DEFINED    1,2                       491515
                    shares
OGE ENERGY CORP     Common equity 670837103   130255    2576291 SH         DEFINED    1,2,5,6,8,12             2576291
                    shares
OM GROUP INC        Common equity 670872100    25088     686541 SH         DEFINED    1,2,5,6,8                 686541
                    shares
OSI SYSTEMS INC     Common Stock  671044105    15659     417223 SH         DEFINED    1,2,5,6,8                 417223
OYO GEOSPACE CORP   Common equity 671074102     8033      81466 SH         DEFINED    1,2,6,8                    81466
                    shares
STERLING            Common equity 859241101     5370     317900 SH         DEFINED    1,2,8                     317900
 CONSTRUCTION CO    shares
 INC
OCEANEERING         Common equity 675232102   152895    1709181 SH         DEFINED    1,2,5,6,8,12             1709181
 INTERNATIONAL      shares
OCEANFIRST          Common equity 675234108     3649     261508 SH         DEFINED    1,2                       261508
 FINANCIAL CORP     shares
INNOSPEC INC        Common equity 45768S105      625      19591 SH         DEFINED    1,5,6,8                    19591
                    shares
OCWEN FINANCIAL     Common equity 675746309    17272    1567311 SH         DEFINED    1,2,5,6,8                1567311
 CORP               shares
ODYSSEY MARINE      Common equity 676118102      154      49990 SH         DEFINED    1,5                        49990
 EXPLORATION        shares
BRISTOW GROUP INC   Common equity 110394103    49397    1044265 SH         DEFINED    1,2,5,6,8                1044265
                    shares
OIL DRI CORP        Common equity 677864100     1793      84200 SH         DEFINED    1,2                        84200
 AMERICA            shares
OIL STATES INTL INC Common equity 678026105    71286     936238 SH         DEFINED    1,2,5,6,8                 936238
                    shares
OLD DOMINION        Common equity 679580100    35409    1009041 SH         DEFINED    1,2,5,6,8                1009041
 FREIGHT            shares
OLD NATIONAL        Common equity 680033107    37564    3504273 SH         DEFINED    1,2,5,6,8,17             3489323         14950
 BANCORP            shares
OLIN CORP           Common equity 680665205   158890    6932281 SH         DEFINED    1,2,5,6,8,12             6932281
                    shares
OLYMPIC STEEL INC   Common equity 68162K106     6325     192812 SH         DEFINED    1,2,5,8                   192812
                    shares
OMEGA HEALTHCARE    Real Estate   681936100    88846    3976909 SH         DEFINED    1,2,3,5,6,8,12           3976909
 INVS INC           Investment
                    Trust
OMEGA PROTEIN CORP  Common equity 68210P107      203      15140 SH         DEFINED    1                          15140
                    shares
OMNIVISION          Common equity 682128103    43616    1227534 SH         DEFINED    1,2,5,6,8                1227534
 TECHNOLOGIES INC   shares
OMNOVA SOLUTIONS    Common equity 682129101     7580     963394 SH         DEFINED    1,2                       963394
 INC                shares
ON ASSIGNMENT INC   Common Stock  682159108     8125     858741 SH         DEFINED    1,2                       858741
ON SEMICONDUCTOR    Common equity 682189105    53707    5441445 SH         DEFINED    1,2,5,6,8                5441445
 CORP               shares
ONE LIBERTY         Real Estate   682406103     2097     138950 SH         DEFINED    1,2                       138950
 PROPERTIES INC     Investment
                    Trust
1-800-FLOWERS.COM   Common equity 68243Q106     1615     489806 SH         DEFINED    1,2                       489806
                    shares
ONEOK INC           Common equity 682680103   329285    4923416 SH         DEFINED    1,2,5,6,8,10,12,18       4923416
                    shares
ONLINE RESOURCES    Common equity 68273G101     2085     551519 SH         DEFINED    1,2                       551519
 CORP               shares
ONYX                Common Stock  683399109    62013    1762817 SH         DEFINED    1,2,5,6,8                1762817
 PHARMACEUTICALS
 INC
OPEN TEXT CORP      Common Stock  683715106      334       5375 SH         DEFINED    1,2,5                       5375
OPENWAVE SYSTEMS    Common equity 683718308     3229    1509566 SH         DEFINED    1,2,5                    1509566
 INC                shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
OPNET TECHNOLOGIES  Common equity 683757108     9877     253396 SH         DEFINED    1,2,5,6,8                 253396
 INC                shares
OPLINK              Common Stock  68375Q403     9344     479176 SH         DEFINED    1,2,6,8                   479176
 COMMUNICATIONS INC
ORASURE             Common Stock  68554V108     7415     943475 SH         DEFINED    1,2,6                     943475
 TECHNOLOGIES INC
ORBITAL SCIENCES    Common equity 685564106    26186    1383906 SH         DEFINED    1,2,5,6,8                1383906
 CORP               shares
ORCHID CELLMARK INC Common equity 68573C107       31      14931 SH         DEFINED    1                          14931
                    shares
MEDIVATION INC      Common equity 58501N101    19163    1028072 SH         DEFINED    1,2,5,6,8                1028072
                    shares
O`REILLY AUTOMOTIVE Common equity 67103H107   297305    5174210 SH         DEFINED    1,2,5,6,8,10,12,18       5174210
 INC                shares
ORIENTAL FINANCIAL  Common equity 68618W100    12822    1021815 SH         DEFINED    1,2,5,6,8                1021815
 GROUP INC          shares
ORRSTOWN FINANCIAL  Common equity 687380105     3006     107389 SH         DEFINED    1,2                       107389
 SVCS INC           shares
CAPSTONE            Common Stock  14068E109       17      36500 SH         DEFINED    1                          36500
 THERAPEUTICS CORP
PROTALIX            Common equity 74365A101       86      14200 SH         DEFINED    1,6,8                      14200
 BIOTHERAPEUTICS    shares
 INC
ORTHOVITA INC       Common equity 68750U102     2794    1311685 SH         DEFINED    1,2,6,8                  1311685
                    shares
OTTER TAIL CORP     Common equity 689648103    17177     755538 SH         DEFINED    1,2,5,6,8                 755538
                    shares
OVERSEAS            Common equity 690368105    31779     988794 SH         DEFINED    1,2,5,6,8,12              988794
 SHIPHOLDING GROUP  shares
OWENS & MINOR INC   Common equity 690732102    72069    2218702 SH         DEFINED    1,2,5,6,8,12             2218702
                    shares
OWENS-ILLINOIS INC  Common equity 690768403   199577    6611157 SH         DEFINED    1,2,5,6,8,10,12,18       6611157
                    shares
OXFORD INDUSTRIES   Common equity 691497309    11893     347837 SH         DEFINED    1,2,5,8                   347837
 INC                shares
P.A.M.              Common equity 693149106      954      78383 SH         DEFINED    1,2                        78383
 TRANSPORTATION     shares
 SVCS
VIRNETX HOLDING     Common equity 92823T108    13836     694868 SH         DEFINED    1,2,6                     694868
 CORP               shares
PC CONNECTION INC   Common equity 69318J100     1610     181754 SH         DEFINED    1,2                       181754
                    shares
PCTEL INC           Common equity 69325Q105     3072     400478 SH         DEFINED    1,2                       400478
                    shares
PHC INC/MA  -CL A   Common equity 693315103       31      11700 SH         DEFINED    1                          11700
                    shares
PICO HOLDINGS INC   Common Stock  693366205    14184     471939 SH         DEFINED    1,2,5,6,8                 471939
PLX TECHNOLOGY INC  Common equity 693417107     2705     741004 SH         DEFINED    1,2                       741004
                    shares
ERESEARCHTECHNOLOGY Common equity 29481V108     7028    1037863 SH         DEFINED    1,2,5,6,8                1037863
 INC                shares
PS BUSINESS PARKS   Real Estate   69360J107    35225     607925 SH         DEFINED    1,2,3,5,6,8               607925
                    Investment
                    Trust
PVF CAPITAL CORP    Common equity 693654105       47      21790 SH         DEFINED    1                          21790
                    shares
PSS WORLD MEDICAL   Common equity 69366A100    36351    1338758 SH         DEFINED    1,2,5,6,8                1338758
 INC                shares
PREMIERE GLOBAL     Common equity 740585104     9698    1272490 SH         DEFINED    1,2,5,6,8                1272490
 SERVICES INC       shares
PACIFIC CAPITAL     Common equity 69404P200      427      14422 SH         DEFINED    1,5                        14422
 BANCORP            shares
BANK OF HAWAII CORP Common equity 062540109    77513    1620790 SH         DEFINED    1,2,5,6,8,12             1620790
                    shares
PACIFIC CONTINENTAL Common equity 69412V108     3253     319464 SH         DEFINED    1,2                       319464
 CORP               shares
PACIFIC SUNWEAR     Common equity 694873100     5079    1406554 SH         DEFINED    1,2,5,6,8                1406554
 CALIF INC          shares
PAIN THERAPEUTICS   Common Stock  69562K100     6472     676944 SH         DEFINED    1,2,6                     676944
 INC
PALOMAR MED         Common equity 697529303     6174     415998 SH         DEFINED    1,2,6,8                   415998
 TECHNOLOGIES INC   shares
PAN AMERICAN SILVER Common Stock  697900108      205       5500 SH         DEFINED    18                          5500
 CORP
PANHANDLE OIL & GAS Common equity 698477106     4154     131307 SH         DEFINED    1,2                       131307
 INC                shares
PANTRY INC          Common equity 698657103     7959     536939 SH         DEFINED    1,2,5,8                   536939
                    shares
PAPA JOHNS          Common equity 698813102    16714     527794 SH         DEFINED    1,2,5,6,8                 527794
 INTERNATIONAL INC  shares
PAREXEL             Common equity 699462107    34499    1385525 SH         DEFINED    1,2,5,6,8                1385525
 INTERNATIONAL CORP shares
PARK                Common equity 700416209    15042     466413 SH         DEFINED    1,2,5,6,8                 466413
 ELECTROCHEMICAL    shares
 CORP
PARK NATIONAL CORP  Common equity 700658107    17828     266768 SH         DEFINED    1,2,5,6,8,17              266768
                    shares
PARK OHIO HOLDINGS  Common equity 700666100     3177     154057 SH         DEFINED    1,2                       154057
 CORP               shares
PARKER DRILLING CO  Common equity 701081101    27137    3926861 SH         DEFINED    1,2,5,6,8                3926861
                    shares
PARKERVISION INC    Common Stock  701354102       15      24432 SH         DEFINED    1                          24432
PARKWAY PROPERTIES  Real Estate   70159Q104    12722     748330 SH         DEFINED    1,2,3,5,8                 748330
 INC                Investment
                    Trust
PARLUX FRAGRANCES   Common equity 701645103       38      12000 SH         DEFINED    1                          12000
 INC                shares
THOMPSON CREEK      Common equity 884768102    38578    3076344 SH         DEFINED    1,2,6                    3076344
 METALS CO INC      shares
PATRIOT NATIONAL    Common equity 70336F104       41      19628 SH         DEFINED    1,2                        19628
 BANCORP INC        shares
PATRIOT TRANSN      Common equity 70337B102     2275      85200 SH         DEFINED    1,2,6                      85200
 HOLDING INC        shares
COLLECTIVE BRANDS   Common equity 19421W100    61481    2849106 SH         DEFINED    1,2,5,6,8,12             2849106
 INC                shares
PEAPACK-GLADSTONE   Common equity 704699107     1991     150156 SH         DEFINED    1,2                       150156
 FINL CORP          shares
MEDNAX INC          Common equity 58502B106    88582    1329795 SH         DEFINED    1,2,5,6,8,12             1329795
                    shares
PMFG INC            Common Stock  69345P103     5928     277747 SH         DEFINED    1,2                       277747
PEET`S COFFEE & TEA Common equity 705560100    12480     259505 SH         DEFINED    1,2,6,8                   259505
 INC                shares
PEGASYSTEMS INC     Common equity 705573103    12430     327639 SH         DEFINED    1,2,6,8                   327639
                    shares
PENN NATIONAL       Common equity 707569109    29136     786100 SH         DEFINED    1,2,5,6,8                 786100
 GAMING INC         shares
PENN VIRGINIA CORP  Common equity 707882106    41542    2449450 SH         DEFINED    1,2,5,6,8                2449450
                    shares
PENNICHUCK CORP     Common equity 708254206      243       8516 SH         DEFINED    1,2                         8516
                    shares
PENNS WOODS BANCORP Common equity 708430103     2545      65323 SH         DEFINED    1,2,17                     65323
 INC                shares
METRO BANCORP INC   Common equity 59161R101     2786     225639 SH         DEFINED    1,2                       225639
                    shares
PENNSYLVANIA RE     Real Estate   709102107    26534    1859365 SH         DEFINED    1,2,3,5,6,8              1859365
 INVS TRUST         Investment
                    Trust
PEOPLES BANCORP     Common equity 709789101     2601     216397 SH         DEFINED    1,2,8                     216397
 INC/OH             shares
PEOPLE`S UNITED     Common equity 712704105   201073   15983613 SH         DEFINED    1,2,5,6,8,10,12,17,18   15983613
 FINL INC           shares
RENASANT CORP       Common equity 75970E107    10622     625401 SH         DEFINED    1,2,5,8                   625401
                    shares
PEP BOYS-MANNY MOE  Common equity 713278109    26319    2070450 SH         DEFINED    1,2,5,6,8                2070450
 & JACK             shares
BRF - BRASIL FOODS  American      10552T107     5500     288201 SH         DEFINED    1,2,6,10                  288201
 SA                 Depository
                    Receipt
PEREGRINE           Common equity 713661304     2399    1017079 SH         DEFINED    1,2,5                    1017079
 PHARMACEUTICLS INC shares
PERFICIENT INC      Common equity 71375U101     7804     650116 SH         DEFINED    1,2,5,6,8                 650116
                    shares
PERFORMANCE         Common equity 71376K102       30      13957 SH         DEFINED    1                          13957
 TECHNOLOGIES INC   shares
PERICOM             Common equity 713831105     6820     657907 SH         DEFINED    1,2,5,6,8                 657907
 SEMICONDUCTOR CORP shares
TUTOR PERINI CORP   Common equity 901109108    14786     607085 SH         DEFINED    1,2,5,6,8,17              607085
                    shares
PERMA-FIX           Common equity 714157104       52      33700 SH         DEFINED    1                          33700
 ENVIRONMENTAL SVCS shares
PERRIGO CO          Common equity 714290103   214503    2697396 SH         DEFINED    1,2,5,6,8,10,12,18       2697396
                    shares
TELEKOMUNIKASI      American      715684106     2283      67999 SH         DEFINED    1,2,6,8                    67999
 INDONESIA          Depository
                    Receipt
PERVASIVE SOFTWARE  Common equity 715710109       69      10400 SH         DEFINED    1                          10400
 INC                shares
PETMED EXPRESS INC  Common equity 716382106     7992     503582 SH         DEFINED    1,2,5,6,8                 503582
                    shares
PETROCHINA CO LTD   American      71646E100     1896      12452 SH         DEFINED    1,6                        12452
                    Depository
                    Receipt
PETROLEO BRASILEIRO American      71654V101   296483    8342298 SH         DEFINED    1,2,4,5,6,8,10,18        8342298
 SA PETRO           Depository
                    Receipt
PETROBRAS-PETROLEO  American      71654V408   298311    7378466 SH         DEFINED    1,2,4,5,6,8,10,18        7378466
 BRASILIER          Depository
                    Receipt
PETROLEUM           Common equity 716578109    46085     959925 SH         DEFINED    1,2,5,6,8                 959925
 DEVELOPMENT CORP   shares
PHI INC             Common equity 69336T205     6220     281194 SH         DEFINED    1,2,5                     281194
                    shares
PETROQUEST ENERGY   Common equity 716748108    30313    3238508 SH         DEFINED    1,2,5,8                  3238508
 INC                shares
PHARMACYCLICS INC   Common Stock  716933106     4825     818971 SH         DEFINED    1,2                       818971
PHARMACEUTICAL PROD Common equity 717124101    97838    3530608 SH         DEFINED    1,2,5,6,8,10,12,18       3530608
 DEV INC            shares
PAR PHARMACEUTICAL  Common equity 69888P106    33182    1067536 SH         DEFINED    1,2,5,6,8                1067536
 COS INC            shares
ACCELRYS INC        Common Stock  00430U103     8929    1116246 SH         DEFINED    1,2,6,8                  1116246
AQUA AMERICA INC    Common equity 03836W103    86695    3787273 SH         DEFINED    1,2,5,6,8,10,12          3787273
                    shares
PLDT-PHILIPPINE LNG American      718252604    29270     547078 SH         DEFINED    1,2,6,18                  547078
 DIST TEL           Depository
                    Receipt
PHILLIPS-VAN HEUSEN Common equity 718592108   109599    1685269 SH         DEFINED    1,2,5,6,8,12             1685269
 CORP               shares
PHOTRONICS INC      Common equity 719405102    12448    1388088 SH         DEFINED    1,2,6,17                 1369158         18930
                    shares
PIEDMONT NATURAL    Common equity 720186105   120195    3960218 SH         DEFINED    1,2,5,6,8                3960218
 GAS CO             shares
PIER 1 IMPORTS      Common equity 720279108    52978    5219513 SH         DEFINED    1,2,5,6,8                5219513
 INC/DE             shares
PINNACLE            Common equity 723456109    20029    1470353 SH         DEFINED    1,2,5,6,8                1470353
 ENTERTAINMENT INC  shares
SANDERS MORRIS      Common equity 80000Q104     3073     383753 SH         DEFINED    1,2                       383753
 HARRIS GROUP       shares
PINNACLE FINL       Common equity 72346Q104    26742    1616753 SH         DEFINED    1,2,5,6,8                1616753
 PARTNERS INC       shares
AGILYSYS INC        Common equity 00847J105     2644     460419 SH         DEFINED    1,2                       460419
                    shares
BRINKS CO           Common equity 109696104    63544    1919157 SH         DEFINED    1,2,5,6,8,12,17,18       1919157
                    shares
PIXELWORKS INC      Common equity 72581M305       47      13163 SH         DEFINED    1                          13163
                    shares
PLAINS ALL AMER     Limited       726503105    16296     255700 SH         DEFINED    1                         255700
 PIPELNE  -LP       Partnership
PLANAR SYSTEMS INC  Common equity 726900103       43      15600 SH         DEFINED    1                          15600
                    shares
PLANTRONICS INC     Common equity 727493108    66350    1811976 SH         DEFINED    1,2,5,6,8,12,17          1811976
                    shares
PLUG POWER INC      Common Stock  72919P103       37      48157 SH         DEFINED    1                          48157
POLARIS INDUSTRIES  Common equity 731068102   107016    1229755 SH         DEFINED    1,2,5,6,8,12,17          1229755
 INC                shares
POLO RALPH LAUREN   Common equity 731572103   284839    2303668 SH         DEFINED    1,2,5,6,8,10,12,18       2303668
 CP  -CL A          shares
POLYCOM INC         Common equity 73172K104   119465    2304116 SH         DEFINED    1,2,5,6,8,12             2304116
                    shares
POLYONE CORP        Common equity 73179P106    34041    2395797 SH         DEFINED    1,2,5,6,8                2395797
                    shares
POST PROPERTIES INC Real Estate   737464107    67010    1707147 SH         DEFINED    1,2,3,5,6,8              1707147
                    Investment
                    Trust
POTASH CORP SASK    Common equity 73755L107     7339     124523 SH         DEFINED    2,5,18                    124523
 INC                shares
POTLATCH CORP       REIT          737630103    55338    1376574 SH         DEFINED    1,2,5,6,8,12             1376574
POWELL INDUSTRIES   Common equity 739128106     7212     182741 SH         DEFINED    1,2,5,6,8                 182741
 INC                shares
POWER INTEGRATIONS  Common equity 739276103    22690     591987 SH         DEFINED    1,2,5,6,8                 591987
 INC                shares
POWERWAVE           Common equity 739363109    15670    3475104 SH         DEFINED    1,2,5,6                  3475104
 TECHNOLOGIES INC   shares
POZEN INC           Common equity 73941U102     3004     559630 SH         DEFINED    1,2,5,6                   559630
                    shares
PREPAID LEGAL       Common equity 740065107    11237     170238 SH         DEFINED    1,2,5,6,8                 170238
 SERVICES INC       shares
PREFORMED LINE      Common Stock  740444104     3005      43405 SH         DEFINED    1,2                        43405
 PRODUCTS CO
PRESIDENTIAL LIFE   Common equity 740884101     4535     475660 SH         DEFINED    1,2,5                     475660
 CORP               shares
PRESSTEK INC        Common equity 741113104      739     355022 SH         DEFINED    1,2                       355022
                    shares
PRICELINE.COM INC   Common equity 741503403   951233    1878263 SH         DEFINED    1,2,5,6,8,10,12,18       1878263
                    shares
PRICESMART INC      Common equity 741511109    20635     563250 SH         DEFINED    1,2,5,6,8                 563250
                    shares
RADNET INC          Common equity 750491102       67      19000 SH         DEFINED    1                          19000
                    shares
PRIMEDIA INC        Common equity 74157K846     2445     501935 SH         DEFINED    1,2                       501935
                    shares
PRIDE INTERNATIONAL Common equity 74153Q102   244714    5697644 SH         DEFINED    1,2,5,6,8,10,12,18       5697644
 INC                shares
PRIVATEBANCORP INC  Common equity 742962103    30131    1970580 SH         DEFINED    1,2,5,6,8                1970580
                    shares
PDI INC             Common equity 69329V100     1122     138718 SH         DEFINED    1,2                       138718
                    shares
PROGENICS           Common equity 743187106     3566     576653 SH         DEFINED    1,2,6                     576653
 PHARMACEUTICAL INC shares
PROGRESS SOFTWARE   Common equity 743312100    47478    1632252 SH         DEFINED    1,2,5,6,8                1632252
 CORP               shares
PROSPERITY          Common equity 743606105    87774    2052304 SH         DEFINED    1,2,5,6,8,12,17          2052304
 BANCSHARES INC     shares
PROTECTIVE LIFE     Common equity 743674103    65882    2481280 SH         DEFINED    1,2,5,6,8,12,17          2473340          7940
 CORP               shares
PDL BIOPHARMA INC   Common equity 69329Y104    22303    3844359 SH         DEFINED    1,2,5,6,8                3844359
                    shares
PROVIDENT NEW YORK  Common equity 744028101     7725     748648 SH         DEFINED    1,2,5,8                   748648
 BANCORP            shares
PNM RESOURCES INC   Common equity 69349H107    50268    3369350 SH         DEFINED    1,2,5,6,8,12,17          3369350
                    shares
ARGAN INC           Common equity 04010E109     1045     122319 SH         DEFINED    1,2                       122319
                    shares
QAD INC             Common equity 74727D207      158      15307 SH         DEFINED    1,2                        15307
                    shares
QUAKER CHEMICAL     Common equity 747316107     9982     248561 SH         DEFINED    1,2,8                     248561
 CORP               shares
QUALITY SYSTEMS INC Common equity 747582104    35328     423895 SH         DEFINED    1,2,5,6,8                 423895
                    shares
QUANEX BUILDING     Common equity 747619104    31082    1583442 SH         DEFINED    1,2,5,6,8                1583442
 PRODUCTS           shares
QUANTA SERVICES INC Common equity 74762E102   168706    7521509 SH         DEFINED    1,2,5,6,8,10,12,18       7521509
                    shares
QUANTUM CORP        Common equity 747906204    12433    4933280 SH         DEFINED    1,2,6,8                  4933280
                    shares
QUEST SOFTWARE INC  Common equity 74834T103    57754    2274665 SH         DEFINED    1,2,5,6,8,12,17          2274665
                    shares
QUESTAR CORP        Common equity 748356102   195219   11187272 SH         DEFINED    1,2,5,6,8,12,18         11187272
                    shares
QUESTCOR            Common Stock  74835Y101    25439    1765400 SH         DEFINED    1,2,5,6,8                1765400
 PHARMACEUTICALS
 INC
QUICKLOGIC CORP     Common equity 74837P108      107      22118 SH         DEFINED    1                          22118
                    shares
QUICKSILVER         Common equity 74837R104    66887    4674113 SH         DEFINED    1,2,5,6,8,10,12          4674113
 RESOURCES INC      shares
QUIKSILVER INC      Common equity 74838C106    12750    2885095 SH         DEFINED    1,2,5,6,8                2885095
                    shares
QUIDEL CORP         Common Stock  74838J101     6126     512206 SH         DEFINED    1,2,5,6,8                 512206
DORMAN PRODUCTS INC Common equity 258278100     9102     216333 SH         DEFINED    1,2,8                     216333
                    shares
RAIT FINANCIAL      Real Estate   749227104     5056    2055661 SH         DEFINED    1,2,8                    2055661
TRUST               Investment
                    Trust
RLI CORP            Common equity 749607107   119909    2079906 SH         DEFINED    1,2,5,6,8,17             2079906
                    shares
PREMIER EXHIBITIONS Common equity 74051E102       28      14700 SH         DEFINED    1                          14700
 INC                shares
RPC INC             Common equity 749660106    42251    1668646 SH         DEFINED    1,2,5,6,8                1668646
                    shares
RPM INTERNATIONAL   Common equity 749685103   182707    7699493 SH         DEFINED    1,2,5,6,8,12             7699493
 INC                shares
RTI INTL METALS INC Common equity 74973W107    58691    1884280 SH         DEFINED    1,2,5,6,8                1884280
                    shares
RF MICRO DEVICES    Common equity 749941100    70479   10995306 SH         DEFINED    1,2,5,6,8,12            10995306
 INC                shares
RC2 CORP            Common equity 749388104    13443     478234 SH         DEFINED    1,2,5,6,8                 478234
                    shares
ENDOLOGIX INC       Common equity 29266S106     5947     877247 SH         DEFINED    1,2                       877247
                    shares
RADIANT SYSTEMS INC Common equity 75025N102    13016     735275 SH         DEFINED    1,2,6,8                   735275
                    shares
RADIO ONE INC       Common equity 75040P405      968     496640 SH         DEFINED    1,2                       496640
                    shares
RADISYS CORP        Common equity 750459109     4943     571225 SH         DEFINED    1,2,5                     571225
                    shares
RAINMAKER SYSTEMS   Common equity 750875304       18      13880 SH         DEFINED    1,2                        13880
 INC                shares
RALCORP HOLDINGS    Common equity 751028101   114502    1673278 SH         DEFINED    1,2,5,6,8,10,12,18       1673278
 INC                shares
RAMTRON             Common equity 751907304       38      17500 SH         DEFINED    1                          17500
 INTERNATIONAL CORP shares
RANGE RESOURCES     Common equity 75281A109   428925    7337130 SH         DEFINED    1,2,5,6,8,10,12,18       7337130
 CORP               shares
RAVEN INDUSTRIES    Common equity 754212108    20323     330868 SH         DEFINED    1,2,5,6,8                 330868
 INC                shares
RAYMOND JAMES       Common equity 754730109   105989    2771739 SH         DEFINED    1,2,5,6,8,12             2771739
 FINANCIAL CORP     shares
EVOLUTION PETROLEUM Common equity 30049A107     1494     191734 SH         DEFINED    1,2                       191734
 CORP               shares
REALNETWORKS INC    Common equity 75605L104     6721    1806377 SH         DEFINED    1,2,5,6,8                1806377
                    shares
REALTY INCOME CORP  Real Estate   756109104   125270    3584375 SH         DEFINED    1,2,3,5,6,8,12           3584375
                    Investment
                    Trust
RED HAT INC         Common equity 756577102   322181    7097988 SH         DEFINED    1,2,5,6,8,10,12,18       7097988
                    shares
REDWOOD TRUST INC   Real Estate   758075402    27397    1761731 SH         DEFINED    1,2,5,6,8                1761731
                    Investment
                    Trust
REGAL-BELOIT CORP   Common equity 758750103    77393    1048229 SH         DEFINED    1,2,5,6,8,12             1048229
                    shares
REGENERON           Common Stock  75886F107    59185    1317155 SH         DEFINED    1,2,5,6,8                1317155
 PHARMACEUT
RTI BIOLOGICS INC   Common equity 74975N105     3163    1107254 SH         DEFINED    1,2,8                    1107254
                    shares
REHABCARE GROUP INC Common equity 759148109    19938     540824 SH         DEFINED    1,2,5,6,8                 540824
                    shares
RELIANCE STEEL &    Common equity 759509102   148808    2575482 SH         DEFINED    1,2,5,6,8,12             2575482
 ALUMINUM CO        shares
REPLIGEN CORP       Common equity 759916109      110      29290 SH         DEFINED    1,5                        29290
                    shares
RENTECH INC         Common equity 760112102     5339    4269123 SH         DEFINED    1,2,5,8                  4269123
                    shares
RENTRAK CORP        Common equity 760174102     4646     172600 SH         DEFINED    1,2,5                     172600
                    shares
REPUBLIC BANCORP    Common equity 760281204     4770     244767 SH         DEFINED    1,2,5,6                   244767
 INC/KY             shares
RESEARCH FRONTIERS  Common equity 760911107       90      13270 SH         DEFINED    1                          13270
 INC                shares
RESEARCH IN MOTION  Common Stock  760975102    14410     254720 SH         DEFINED    1,2,8                     254720
 LTD
RESMED INC          Common equity 761152107   122028    4067581 SH         DEFINED    1,2,5,6,8,12             4067581
                    shares
RESOURCE AMERICA    Common equity 761195205       64      10161 SH         DEFINED    1                          10161
 INC                shares
RESOURCES           Common equity 76122Q105    18493     953886 SH         DEFINED    1,2,5,6,8                 953886
 CONNECTION INC     shares
REX AMERICAN        Common equity 761624105     2572     161284 SH         DEFINED    1,2                       161284
 RESOURCES CORP     shares
RICHARDSON          Common Stock  763165107     3990     302873 SH         DEFINED    1,2,6                     302873
 ELECTRONICS LTD
RIGEL               Common Stock  766559603     7132    1003661 SH         DEFINED    1,2,5,6,8                1003661
 PHARMACEUTICALS
 INC
RIMAGE CORP         Common equity 766721104     2723     168521 SH         DEFINED    1,2                       168521
                    shares
RITCHIE BROS        Common equity 767744105      372      13200 SH         DEFINED    1                          13200
 AUCTIONEERS INC    shares
RITE AID CORP       Common equity 767754104    23346   22025751 SH         DEFINED    1,2,5,6,8               22025751
                    shares
RIVERVIEW BANCORP   Common equity 769397100       39      12835 SH         DEFINED    1                          12835
 INC                shares
ROBBINS & MYERS INC Common equity 770196103    38964     847164 SH         DEFINED    1,2,5,6,8                 847164
                    shares
ROCHESTER MEDICAL   Common equity 771497104     1886     164432 SH         DEFINED    1,2                       164432
 CORP               shares
ROCK-TENN CO        Common equity 772739207   101279    1460450 SH         DEFINED    1,2,5,6,8,12             1460450
                    shares
ROFIN SINAR         Common equity 775043102    23517     595292 SH         DEFINED    1,2,5,6,8                 595292
 TECHNOLOGIES INC   shares
ROGERS              Common equity 775109200      438      12042 SH         DEFINED    1,2                        12042
 COMMUNICATIONS     shares
 -CL B
ROGERS CORP         Common equity 775133101    16521     366596 SH         DEFINED    1,2,5,6,8                 366596
                    shares
ROLLINS INC         Common equity 775711104    47530    2341350 SH         DEFINED    1,2,5,6,8,12             2341350
                    shares
SUREWEST            Common equity 868733106      207      14335 SH         DEFINED    1,2                        14335
 COMMUNICATIONS     shares
ROYAL BANK OF       Common equity 780087102      911      14699 SH         DEFINED    1                          14699
 CANADA             shares
ROYAL GOLD INC      Common equity 780287108    69737    1330866 SH         DEFINED    1,2,5,6,8,17             1330866
                    shares
RUDDICK CORP        Common equity 781258108    68529    1775853 SH         DEFINED    1,2,5,6,8,12             1775853
                    shares
RUDOLPH             Common equity 781270103     7359     672855 SH         DEFINED    1,2,5                     672855
 TECHNOLOGIES INC   shares
RURAL/METRO CORP    Common equity 781748108     6167     361820 SH         DEFINED    1,2                       361820
                    shares
KID BRANDS INC      Common equity 49375T100     1781     242492 SH         DEFINED    1,2                       242492
                    shares
S & T BANCORP INC   Common equity 783859101    22263    1032239 SH         DEFINED    1,2,5,6,8                1032239
                    shares
SBA COMMUNICATIONS  Common equity 78388J106    83241    2097605 SH         DEFINED    1,2,5,6,8,10,12,18       2097605
 CORP               shares
IDENTIVE GROUP INC  Common equity 45170X106       32      12265 SH         DEFINED    1                          12265
                    shares
POOL CORP           Common equity 73278L105    28615    1186824 SH         DEFINED    1,2,5,6,8                1186824
                    shares
SJW CORP            Common equity 784305104     5990     258689 SH         DEFINED    1,2,5,8                   258689
                    shares
S1 CORP             Common Stock  78463B101     8917    1335376 SH         DEFINED    1,2,5,6,8                1335376
SRS LABS INC        Common equity 78464M106     1689     198258 SH         DEFINED    1,2                       198258
                    shares
SABA SOFTWARE INC   Common equity 784932600     4879     496794 SH         DEFINED    1,2,5                     496794
                    shares
S Y BANCORP INC     Common equity 785060104     5967     237053 SH         DEFINED    1,2,5,8,17                237053
                    shares
SMITH & WESSON      Common equity 831756101     4161    1171876 SH         DEFINED    1,2,5,6,8                1171876
 HOLDING CORP       shares
SAFEGUARD           Common equity 786449207     8955     440017 SH         DEFINED    1,2,5,8                   440017
 SCIENTIFICS INC    shares
SM ENERGY CO        Common equity 78454L100   148292    1998816 SH         DEFINED    1,2,5,6,8,12             1998816
                    shares
GASCO ENERGY INC    Common equity 367220100       40      85700 SH         DEFINED    1                          85700
                    shares
SANDERSON FARMS INC Common equity 800013104    22376     487370 SH         DEFINED    1,2,5,6,8                 487370
                    shares
SANDY SPRING        Common equity 800363103     8651     468517 SH         DEFINED    1,2,5,8                   468517
 BANCORP INC        shares
SANFILIPPO JOHN     Common equity 800422107     1359     116139 SH         DEFINED    1,2                       116139
 B&SON              shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SANGAMO BIOSCIENCES Common equity 800677106     6754     810780 SH         DEFINED    1,2,5,6,8                 810780
 INC                shares
SAPIENT CORP        Common equity 803062108    23871    2084933 SH         DEFINED    1,2,5,6,8                2084933
                    shares
SAPPI LTD           American      803069202      287      54073 SH         DEFINED    1,6                        54073
                    Depository
                    Receipt
SASOL LTD           American      803866300     4612      79594 SH         DEFINED    1,6                        79594
                    Depository
                    Receipt
SATCON TECHNOLOGY   Common equity 803893106     7770    2013047 SH         DEFINED    1,2                      2013047
 CORP               shares
SAUER-DANFOSS INC   Common equity 804137107    14656     287792 SH         DEFINED    1,2,5,6                   287792
                    shares
SAUL CENTERS INC    Real Estate   804395101    12019     269825 SH         DEFINED    1,2,3,5,6,8               269825
                    Investment
                    Trust
SAVVIS INC          Common equity 805423308    28318     763337 SH         DEFINED    1,2,5,6,8                 763337
                    shares
SCANSOURCE INC      Common equity 806037107    22114     582187 SH         DEFINED    1,2,5,6,8                 582187
                    shares
NUANCE              Common equity 67020Y100    70877    3623614 SH         DEFINED    1,2,5,6,8,10,12,18       3623614
 COMMUNICATIONS INC shares
SCHAWK INC  -CL A   Common equity 806373106     5046     259446 SH         DEFINED    1,2,5,8                   259446
                    shares
SCHEIN (HENRY) INC  Common equity 806407102   205446    2927949 SH         DEFINED    1,2,5,6,8,10,12,18       2927949
                    shares
SIRONA DENTAL       Common equity 82966C103    43267     862712 SH         DEFINED    1,2,5,6,8                 862712
 SYSTEMS INC        shares
SCHNITZER STEEL     Common equity 806882106    54942     844996 SH         DEFINED    1,2,5,6,8,17              844996
 INDS  -CL A        shares
SCHOLASTIC CORP     Common equity 807066105    24302     898676 SH         DEFINED    1,2,5,6,8,12              898676
                    shares
SCHOOL SPECIALTY    Common equity 807863105     6136     429096 SH         DEFINED    1,2,5,8                   429096
 INC                shares
SCHULMAN (A.) INC   Common equity 808194104    18716     757195 SH         DEFINED    1,2,5,6,8                 757195
                    shares
SCHWEITZER-MAUDUIT  Common equity 808541106    17710     349925 SH         DEFINED    1,2,5,6,8                 349925
 INTL INC           shares
SCICLONE            Common Stock  80862K104     3516     870565 SH         DEFINED    1,2,6                     870565
 PHARMACEUTICALS
 INC
SCOTTS MIRACLE-GRO  Common equity 810186106    72546    1253996 SH         DEFINED    1,2,5,6,8,12             1253996
 CO                 shares
SEABOARD CORP       Common equity 811543107    20193       8369 SH         DEFINED    1,2,5,6,8,17                8369
                    shares
SEACHANGE           Common Stock  811699107     5286     556313 SH         DEFINED    1,2,5,6                   556313
 INTERNATIONAL INC
SEACOAST BANKING    Common equity 811707306       61      38890 SH         DEFINED    1                          38890
 CORP/FL            shares
SEACOR HOLDINGS INC Common equity 811904101    51233     554138 SH         DEFINED    1,2,5,6,8,17              554138
                    shares
SELECT COMFORT CORP Common equity 81616X103    23142    1918842 SH         DEFINED    1,2,6,8                  1918842
                    shares
SELECTIVE INS GROUP Common equity 816300107    22541    1302819 SH         DEFINED    1,2,5,6,8                1302819
 INC                shares
SEMTECH CORP        Common equity 816850101    61710    2466290 SH         DEFINED    1,2,5,6,8,12             2466290
                    shares
SENECA FOODS CORP   Common Stock  817070501     4882     163322 SH         DEFINED    1,2                       163322
SENESCO             Common equity 817208408       10      33100 SH         DEFINED    1                          33100
 TECHNOLOGIES INC   shares
SENIOR HOUSING      Real Estate   81721M109   133463    5792723 SH         DEFINED    1,2,3,5,6,8,12           5792723
 PPTYS TRUST        Investment
                    Trust
SENSIENT            Common equity 81725T100    67740    1890155 SH         DEFINED    1,2,5,6,8,12,17          1890155
 TECHNOLOGIES CORP  shares
SEQUENOM INC        Common equity 817337405    11653    1840639 SH         DEFINED    1,2,5,6,8                1840639
                    shares
SERVICE CORP        Common equity 817565104    75569    6832518 SH         DEFINED    1,2,5,6,8,12             6832518
 INTERNATIONAL      shares
SHAW GROUP INC      Common equity 820280105   147015    4151851 SH         DEFINED    1,2,5,6,8,12,19          2222495
                    shares
SHENANDOAH          Common equity 82312B106     8356     462714 SH         DEFINED    1,2,5,6,8                 462714
 TELECOMMUN CO      shares
SHILOH INDUSTRIES   Common equity 824543102     1012      86577 SH         DEFINED    1,2                        86577
 INC                shares
SHOE CARNIVAL INC   Common equity 824889109     5249     187204 SH         DEFINED    1,2,5                     187204
                    shares
SHUFFLE MASTER INC  Common equity 825549108    14029    1313851 SH         DEFINED    1,2,5,6,8                1313851
                    shares
NV ENERGY INC       Common equity 67073Y106    96021    6448330 SH         DEFINED    1,2,5,6,8,12             6448330
                    shares
SIGMA DESIGNS INC   Common Stock  826565103     8789     678705 SH         DEFINED    1,2,5,6,8                 678705
SIGA TECHNOLOGIES   Common Stock  826917106    11987     990703 SH         DEFINED    1,2,6,8                   990703
 INC
SILICON             Common equity 826919102    56160    1299667 SH         DEFINED    1,2,5,6,8,12             1299667
 LABORATORIES INC   shares
SILGAN HOLDINGS INC Common equity 827048109    69336    1817876 SH         DEFINED    1,2,5,6,8,12,17          1812386          5490
                    shares
SILICON IMAGE INC   Common equity 82705T102    17282    1927074 SH         DEFINED    1,2,5,6,8                1927074
                    shares
SVB FINANCIAL GROUP Common equity 78486Q101   106168    1864852 SH         DEFINED    1,2,5,6,8,12             1864852
                    shares
SILICONWARE         American      827084864    33038    5470057 SH         DEFINED    1,4,5,6,8                5470057
 PRECISION INDS     Depository
                    Receipt
SILVER STANDARD RES Common Stock  82823L106      691      22000 SH         DEFINED    18                         22000
 INC
SIMMONS FIRST NATL  Common equity 828730200    10176     375603 SH         DEFINED    1,2,5,8,17                375603
 CP  -CL A          shares
STEC INC            Common equity 784774101    16751     834074 SH         DEFINED    1,2,5,6,8                 834074
                    shares
SIMPSON             Common equity 829073105    36190    1228577 SH         DEFINED    1,2,5,6,8                1228577
 MANUFACTURING INC  shares
SINCLAIR BROADCAST  Common equity 829226109    16914    1348771 SH         DEFINED    1,2,6,8                  1348771
 GP  -CL A          shares
SINOPEC SHANGHAI    American      82935M109      379       7959 SH         DEFINED    1,6                         7959
 PETROCHEM          Depository
                    Receipt
SKECHERS U S A INC  Common equity 830566105    14847     723027 SH         DEFINED    1,2,5,6,8                 723027
                    shares
SKYLINE CORP        Common equity 830830105     3127     155869 SH         DEFINED    1,2                       155869
                    shares
SKYWEST INC         Common equity 830879102    24649    1456521 SH         DEFINED    1,2,5,6,8,17             1456521
                    shares
SMITH (A O) CORP    Common equity 831865209    69030    1556907 SH         DEFINED    1,2,5,6,8                1556907
                    shares
SMITH MICRO         Common equity 832154108     7026     751095 SH         DEFINED    1,2,5,6,8                 751095
 SOFTWARE INC       shares
SMITHFIELD FOODS    Common equity 832248108   103212    4289733 SH         DEFINED    1,2,5,6,8,12,18          4289733
 INC                shares
SMUCKER (JM) CO     Common equity 832696405   318911    4467162 SH         DEFINED    1,2,5,6,8,10,12,17,18    4467162
                    shares
SOC QUIMICA Y       American      833635105    19480     352533 SH         DEFINED    1,2,5,6                   352533
 MINERA DE CHI      Depository
                    Receipt
SOHU.COM INC        Common equity 83408W103     9583     107195 SH         DEFINED    1,2,5,6,8                 107195
                    shares
SOLITARIO           Common equity 8342EP107       49      13685 SH         DEFINED    1                          13685
 EXPLORATION & RLTY shares
SONIC CORP          Common equity 835451105    13646    1507841 SH         DEFINED    1,2,5,6,8                1507841
                    shares
FORCE PROTECTION    Common equity 345203202     8588    1752737 SH         DEFINED    1,2,5,6,8                1752737
 INC                shares
SONIC AUTOMOTIVE    Common equity 83545G102    22222    1586060 SH         DEFINED    1,2,5,6,8                1586060
 INC  -CL A         shares
SONOCO PRODUCTS CO  Common equity 835495102   180925    4993623 SH         DEFINED    1,2,5,6,8,12             4993623
                    shares
SONOSITE INC        Common equity 83568G104    10579     317546 SH         DEFINED    1,2,5,6,8                 317546
                    shares
SONY CORP           American      835699307     5671     178157 SH         DEFINED    1,2                       178157
                    Depository
                    Receipt
SOTHEBY`S           Common equity 835898107   130882    2488269 SH         DEFINED    1,2,5,6,8,12             2488269
                    shares
SONUS NETWORKS INC  Common equity 835916107    18746    4984642 SH         DEFINED    1,2,5,6,8                4984642
                    shares
BANCTRUST FINANCIAL Common equity 05978R107       49      19648 SH         DEFINED    1                          19648
 GRP INC            shares
SOUTH JERSEY        Common equity 838518108    39934     713551 SH         DEFINED    1,2,5,6,8,17              713551
 INDUSTRIES INC     shares
PIONEER DRILLING CO Common equity 723655106    30530    2212597 SH         DEFINED    1,2,5,6,8                2212597
                    shares
SOUTHERN CMNTY FINL Common equity 842632101       24      15900 SH         DEFINED    1                          15900
 CORP               shares
SOUTHERN COPPER     Common equity 84265V105   275997    6853780 SH         DEFINED    1,2,5,6,8,10,12,18       6853780
 CORP               shares
SOUTHERN UNION CO   Common equity 844030106    97960    3422694 SH         DEFINED    1,2,5,6,8,12             3422694
                    shares
SOUTHSIDE           Common equity 84470P109     6803     318017 SH         DEFINED    1,2,8                     318017
 BANCSHARES INC     shares
SOUTHWEST BANCORP   Common equity 844767103     5346     376731 SH         DEFINED    1,2,8                     376731
 INC                shares
SOUTHWEST GAS CORP  Common equity 844895102    50042    1284057 SH         DEFINED    1,2,5,6,8,17             1284057
                    shares
SWS GROUP INC       Common equity 78503N107     4003     659738 SH         DEFINED    1,2,5,8                   659738
                    shares
SOUTHWESTERN ENERGY Common equity 845467109   639724   14887782 SH         DEFINED    1,2,5,6,8,10,12,18      14887782
 CO                 shares
SOVRAN SELF STORAGE Real Estate   84610H108    34922     882878 SH         DEFINED    1,2,3,5,6,8               882878
 INC                Investment
                    Trust
SPARTAN MOTORS INC  Common equity 846819100     5364     781979 SH         DEFINED    1,2,8                     781979
                    shares
SPARTAN STORES INC  Common equity 846822104     8309     561737 SH         DEFINED    1,2,5,8                   561737
                    shares
SPECTRANETICS CORP  Common Stock  84760C107     3096     657687 SH         DEFINED    1,2                       657687
SPECTRUM CONTROL    Common equity 847615101     4439     225530 SH         DEFINED    1,2                       225530
 INC                shares
SPEEDWAY            Common equity 847788106     4467     279530 SH         DEFINED    1,2,5,8                   279530
 MOTORSPORTS INC    shares
SFN GROUP INC       Common equity 784153108    19362    1374516 SH         DEFINED    1,2,5,6,8                1374516
                    shares
CKX INC             Common equity 12562M106     5169    1224341 SH         DEFINED    1,2,5,6,8                1224341
                    shares
STAAR SURGICAL CO   Common equity 852312305     3289     590357 SH         DEFINED    1,2                       590357
                    shares
STAMPS.COM INC      Common Stock  852857200     4156     311437 SH         DEFINED    1,2,6                     311437
STANDARD            Common equity 853626109    13989     567323 SH         DEFINED    1,2,5,6,8                 567323
 MICROSYSTEMS CORP  shares
STANDARD MOTOR      Common equity 853666105     5956     430713 SH         DEFINED    1,2                       430713
 PRODS              shares
STANDARD PACIFIC    Common equity 85375C101     8784    2354186 SH         DEFINED    1,2,5,6,8                2354186
 CORP               shares
STANDARD REGISTER   Common equity 853887107     1500     451881 SH         DEFINED    1,2                       451881
 CO                 shares
STANDEX             Common equity 854231107    11096     292918 SH         DEFINED    1,2,5,6,8                 292918
 INTERNATIONAL CORP shares
STAR SCIENTIFIC INC Common equity 85517P101     6465    1423983 SH         DEFINED    1,2                      1423983
                    shares
STARTEK INC         Common equity 85569C107      195      38914 SH         DEFINED    1,2                        38914
                    shares
STATE AUTO          Common equity 855707105     5464     299929 SH         DEFINED    1,2,5,8                   299929
 FINANCIAL CORP     shares
STATE BANCORP/NY    Common equity 855716106     2997     288243 SH         DEFINED    1,2                       288243
                    shares
STEEL DYNAMICS INC  Common equity 858119100   140006    7458821 SH         DEFINED    1,2,5,6,8,10,12          7458821
                    shares
STEELCASE INC       Common equity 858155203    18155    1595206 SH         DEFINED    1,2,5,6,8                1595206
                    shares
STEIN MART INC      Common equity 858375108     5831     576920 SH         DEFINED    1,2,8                     576920
                    shares
STEINWAY MUSICAL    Common equity 858495104     3258     146707 SH         DEFINED    1,2                       146707
 INSTRS INC         shares
STEMCELLS INC       Common equity 85857R105     2132    2343883 SH         DEFINED    1,2,5                    2343883
                    shares
STEPAN CO           Common equity 858586100    13119     180892 SH         DEFINED    1,2,5,6,8,17              177812          3080
                    shares
STERLING            Common equity 858907108    35946    4174806 SH         DEFINED    1,2,5,6,8                4174806
BANCSHRS/TX         shares
STERICYCLE INC      Common equity 858912108   278982    3146280 SH         DEFINED    1,2,5,6,8,10,12,18       3146280
                    shares
STERIS CORP         Common equity 859152100    74320    2151672 SH         DEFINED    1,2,5,6,8,12             2151672
                    shares
STERLING BANCORP/NY Common equity 859158107     5547     554107 SH         DEFINED    1,2,8                     554107
                    shares
STERLING FINANCIAL  Common Stock  859319303      217      12933 SH         DEFINED    1                          12933
 CORP/WA
STEWART             Common equity 860370105    13996    1831524 SH         DEFINED    1,2,5,6,8                1831524
 ENTERPRISES  -CL A shares
STEWART INFORMATION Common equity 860372101     4357     415868 SH         DEFINED    1,2,8                     415868
 SERVICES           shares
STIFEL FINANCIAL    Common equity 860630102    60186     838429 SH         DEFINED    1,2,5,6,8                 838429
 CORP               shares
STILLWATER MINING   Common equity 86074Q102    57802    2520734 SH         DEFINED    1,2,5,6,8                2520734
 CO                 shares
STONE ENERGY CORP   Common equity 861642106    58969    1767174 SH         DEFINED    1,2,5,6,8                1767174
                    shares
STONERIDGE INC      Common equity 86183P102     4288     293200 SH         DEFINED    1,2                       293200
                    shares
STRATASYS INC       Common equity 862685104    21030     447492 SH         DEFINED    1,2,5,6,8                 447492
                    shares
STRAYER EDUCATION   Common equity 863236105    47170     361531 SH         DEFINED    1,2,5,6,8,12              361531
 INC                shares
STURM RUGER & CO    Common equity 864159108    12011     522886 SH         DEFINED    1,2,6,8                   522886
 INC                shares
SUBURBAN PROPANE    Composition   864482104     4640      82226 SH         DEFINED    1                          82226
 PRTNRS  -LP        of more than
                    1 security
SUFFOLK BANCORP     Common equity 864739107     4514     215167 SH         DEFINED    1,2,5,8                   215167
                    shares
SUN BANCORP INC/NJ  Common equity 86663B102       67      19599 SH         DEFINED    1,8                        19599
                    shares
SUN COMMUNITIES INC Real Estate   866674104    25093     703915 SH         DEFINED    1,2,3,5,6,8               703915
                    Investment
                    Trust
SUN HYDRAULICS CORP Common equity 866942105     9994     231953 SH         DEFINED    1,2,6,8                   231953
                    shares
SUNCOR ENERGY INC   Common equity 867224107      407       9063 SH         DEFINED    1,5,10                      9063
                    shares
SUNRISE SENIOR      Common equity 86768K106    15329    1284782 SH         DEFINED    1,2,6                    1284782
 LIVING INC         shares
SUPERCONDUCTOR      Common equity 867931305       37      12480 SH         DEFINED    1                          12480
 TECHNOLOGIES       shares
SUPERGEN INC        Common Stock  868059106     3324    1072021 SH         DEFINED    1,2                      1072021
SUPERIOR ENERGY     Common equity 868157108   101918    2485690 SH         DEFINED    1,2,5,6,8,12             2485690
 SERVICES INC       shares
SUPERIOR INDUSTRIES Common equity 868168105    13654     532455 SH         DEFINED    1,2,5,8                   532455
 INTL               shares
SUPERTEX INC        Common equity 868532102     4823     216440 SH         DEFINED    1,2,5,8                   216440
                    shares
SUPPORT.COM INC     Common equity 86858W101     4426     852647 SH         DEFINED    1,2,5                     852647
                    shares
SURMODICS INC       Common equity 868873100     4620     369391 SH         DEFINED    1,2,5,6,8                 369391
                    shares
SUSQUEHANNA         Common equity 869099101    45394    4855271 SH         DEFINED    1,2,5,6,8                4855271
 BANCSHARES INC     shares
SWIFT ENERGY CO     Common equity 870738101    63461    1486934 SH         DEFINED    1,2,5,6,8                1486934
                    shares
SYKES ENTERPRISES   Common equity 871237103    17633     891935 SH         DEFINED    1,2,5,6,8                 891935
 INC                shares
SYMMETRICOM INC     Common Stock  871543104     7427    1211810 SH         DEFINED    1,2,5,8                  1211810
SYNGENTA AG         American      87160A100      391       5994 SH         DEFINED    1                           5994
                    Depository
                    Receipt
SYNTEL INC          Common equity 87162H103    14528     278111 SH         DEFINED    1,2,5,6,8                 278111
                    shares
SYNTROLEUM CORP     Common equity 871630109     2671    1182472 SH         DEFINED    1,2,5                    1182472
                    shares
SYSTEMAX INC        Common equity 871851101     2811     207935 SH         DEFINED    1,2,5,8                   207935
                    shares
SXC HEALTH          Common Stock  78505P100    31161     568599 SH         DEFINED    1,2,5,6                   568599
 SOLUTIONS CORP
TC PIPELINES LP     Limited       87233Q108     3442      66184 SH         DEFINED    1                          66184
                    Partnership
TESSCO TECHNOLOGIES Common equity 872386107      771      67060 SH         DEFINED    1,2                        67060
 INC                shares
TGC INDUSTRIES INC  Common equity 872417308       89      11428 SH         DEFINED    1,2                        11428
                    shares
THQ INC             Common equity 872443403     6315    1384531 SH         DEFINED    1,2,5,8                  1384531
                    shares
TTM TECHNOLOGIES    Common equity 87305R109    29650    1632730 SH         DEFINED    1,2,5,6,8                1632730
 INC                shares
TAKE-TWO            Common equity 874054109    27241    1772546 SH         DEFINED    1,2,5,6,8                1772546
 INTERACTIVE SFTWR  shares
TALBOTS INC         Common equity 874161102    19081    3159551 SH         DEFINED    1,2,5,6,8                3159551
                    shares
TAUBMAN CENTERS INC Real Estate   876664103   120258    2244588 SH         DEFINED    1,2,3,5,6,8,12           2244588
                    Investment
                    Trust
TEAM INC            Common equity 878155100    10111     384963 SH         DEFINED    1,2,5,6,8                 384963
                    shares
TECH DATA CORP      Common equity 878237106    68578    1348498 SH         DEFINED    1,2,5,6,8,12             1348498
                    shares
TECHNE CORP         Common equity 878377100    71853    1003614 SH         DEFINED    1,2,5,6,8,12,17          1003614
                    shares
PULSE ELECTRONICS   Common equity 74586W106     5468     904740 SH         DEFINED    1,2,6,8                   904740
 CORP               shares
TECUMSEH PRODUCTS   Common Stock  878895200     4025     401770 SH         DEFINED    1,2                       401770
 CO  -CL A
TEJON RANCH CO      Common equity 879080109     9444     257017 SH         DEFINED    1,2,5,6,8                 257017
                    shares
TEKELEC             Common equity 879101103    13438    1654731 SH         DEFINED    1,2,5,6,8                1654731
                    shares
TIM PARTICIPACOES   American      88706P106     3593      82273 SH         DEFINED    1,2,4,6,10,18              82273
 SA                 Depository
                    Receipt
TELE NORTE LESTE    American      879246106     9332     532442 SH         DEFINED    1,2,4,5,6,8,10            532442
 PARTICIPACO        Depository
                    Receipt
TELECOMUNIC SAO     American      87929A102      241       9769 SH         DEFINED    4,8                         9769
 PAULO              Depository
                    Receipt
TELECOMMUNICATION   Common Stock  87929J103     3508     851591 SH         DEFINED    1,2,6,8                   851591
 SYS INC
TELEDYNE            Common equity 879360105    45085     871930 SH         DEFINED    1,2,5,6,8                 871930
 TECHNOLOGIES INC   shares
TELEFONICA SA       American      879382208     3005     119113 SH         DEFINED    1,2,8                     119113
                    Depository
                    Receipt
TELMEX-TELEFONOS DE American      879403780     3402     186310 SH         DEFINED    1,6                       186310
 MEXICO             Depository
                    Receipt
VIVO PARTICIPACOES  American      92855S200     6050     149849 SH         DEFINED    1,2,6,8,10                149849
 SA                 Depository
                    Receipt
TELIK INC           Common Stock  87959M109       28      31628 SH         DEFINED    1                          31628
TELETECH HOLDINGS   Common equity 879939106    17971     927498 SH         DEFINED    1,2,5,6,8                 927498
 INC                shares
TENGASCO INC        Common equity 88033R205       12      10300 SH         DEFINED    1                          10300
                    shares
TENNANT CO          Common equity 880345103    16352     388915 SH         DEFINED    1,2,5,6,8                 388915
                    shares
TENNECO INC         Common equity 880349105    57827    1362250 SH         DEFINED    1,2,5,6,8                1362250
                    shares
TEREX CORP          Common equity 880779103   109515    2956754 SH         DEFINED    1,2,5,6,8,10,12          2956754
                    shares
TERREMARK WORLDWIDE Common Stock  881448203    23235    1222800 SH         DEFINED    1,2,5,6,8                1222800
 INC
TESCO CORP          Common equity 88157K101    14282     650438 SH         DEFINED    1,2,5,6,8                 650438
                    shares
TESORO CORP         Common equity 881609101   211700    7890466 SH         DEFINED    1,2,5,6,8,10,12          7890466
                    shares
TEVA                American      881624209    41928     835699 SH         DEFINED    1,2,8,10                  835699
 PHARMACEUTICALS    Depository
                    Receipt
TETRA TECHNOLOGIES  Common equity 88162F105    43448    2820995 SH         DEFINED    1,2,5,6,8                2820995
 INC/DE             shares
TETRA TECH INC      Common equity 88162G103    32293    1307944 SH         DEFINED    1,2,5,6,8                1307944
                    shares
TEXAS INDUSTRIES    Common equity 882491103    24167     534368 SH         DEFINED    1,2,5,6,8                 534368
 INC                shares
THERAGENICS CORP    Common equity 883375107       64      30481 SH         DEFINED    1                          30481
                    shares
KADANT INC          Common equity 48282T104     9779     373525 SH         DEFINED    1,2,6                     373525
                    shares
THERMOGENESIS CORP  Common equity 883623308       24      11185 SH         DEFINED    1                          11185
                    shares
THESTREET.COM       Common equity 88368Q103       55      16700 SH         DEFINED    1                          16700
                    shares
THOR INDUSTRIES INC Common equity 885160101    32833     983916 SH         DEFINED    1,2,5,6,8,12              983916
                    shares
THORATEC CORP       Common equity 885175307    42044    1621508 SH         DEFINED    1,2,5,6,8,12             1621508
                    shares
3D SYSTEMS CORP     Common Stock  88554D205    17574     361930 SH         DEFINED    1,2,6,8                   361930
TIBCO SOFTWARE INC  Common equity 88632Q103   166027    6092569 SH         DEFINED    1,2,5,6,8,12             6092569
                    shares
TIDEWATER INC       Common equity 886423102    96535    1612899 SH         DEFINED    1,2,5,6,8,12,17          1610269          2630
                    shares
TIER TECHNOLOGIES   Common Stock  88650Q100     1469     266597 SH         DEFINED    1,2                       266597
 INC
TIMKEN CO           Common equity 887389104   128319    2453695 SH         DEFINED    1,2,5,6,8,12,17,18       2453695
                    shares
TITAN INTERNATIONAL Common equity 88830M102    21667     814246 SH         DEFINED    1,2,5,6,8                 814246
 INC                shares
TITANIUM METALS     Common equity 888339207    95824    5157273 SH         DEFINED    1,2,5,6,8,10,12          5157273
 CORP               shares
TIVO INC            Common Stock  888706108    22649    2585525 SH         DEFINED    1,2,5,6,8                2585525
TOLL BROTHERS INC   Common equity 889478103   156037    7892047 SH         DEFINED    1,2,5,6,8,10,12,18,19    5668382
                    shares
TOLLGRADE           Common equity 889542106      252      25028 SH         DEFINED    1,2                        25028
 COMMUNICATIONS INC shares
TOMPKINS FINANCIAL  Common equity 890110109     7946     191280 SH         DEFINED    1,2,5,8,17                191280
 CORP               shares
TOOTSIE ROLL        Common equity 890516107    26310     927870 SH         DEFINED    1,2,5,6,8,12,17           927870
 INDUSTRIES INC     shares
TOREADOR RESOURCES  Common equity 891050106      205      18885 SH         DEFINED    1,2                        18885
 CORP               shares
TORO CO             Common equity 891092108    32701     493852 SH         DEFINED    1,2,5,6,8,17,18           493852
                    shares
TOTAL SA            American      89151E109     3461      56763 SH         DEFINED    1,2                        56763
                    Depository
                    Receipt
TOWER BANCORP INC   Common Stock  891709107     2944     131976 SH         DEFINED    1,2                       131976
TOWNEBANK           Common equity 89214P109     7080     451853 SH         DEFINED    1,2,8                     451853
                    shares
TOYOTA MOTOR CORP   American      892331307     2921      36405 SH         DEFINED    1,2                        36405
                    Depository
                    Receipt
TRACTOR SUPPLY CO   Common equity 892356106   132918    2220435 SH         DEFINED    1,2,5,6,8,12             2220435
                    shares
TRADESTATION GROUP  Common equity 89267P105     6253     890749 SH         DEFINED    1,2,5,6,8                 890749
 INC                shares
ACI WORLDWIDE INC   Common equity 004498101    45725    1394012 SH         DEFINED    1,2,5,6,8,12             1394012
                    shares
TRANSATLANTIC       Common equity 893521104   103272    2121987 SH         DEFINED    1,2,5,6,8,10,12,18       2121987
 HOLDINGS INC       shares
TRANSATLANTIC       Common equity G89982105     7926    2557298 SH         DEFINED    1,2,6                    2557298
 PETROLEUM LTD      shares
TRANSCEND SERVICES  Common Stock  893929208     3610     150428 SH         DEFINED    1,2                       150428
 INC
ALLIED HEALTHCARE   Common equity 01923A109     1965     773732 SH         DEFINED    1,2                       773732
 INTL INC           shares
TREDEGAR CORP       Common equity 894650100    12433     576261 SH         DEFINED    1,2,5,6,8                 576261
                    shares
TREX CO INC         Common equity 89531P105     9874     302691 SH         DEFINED    1,2,6,8                   302691
                    shares
TRI-VALLEY CORP     Common equity 895735108       10      20896 SH         DEFINED    1                          20896
                    shares
TRIDENT             Common equity 895919108     1591    1381835 SH         DEFINED    1,2                      1381835
 MICROSYSTEMS INC   shares
WENDY`S/ARBY`S      Common equity 950587105    44642    8875343 SH         DEFINED    1,2,5,6,8,12             8875343
 GROUP INC          shares
TRICO BANCSHARES    Common equity 896095106     4320     264947 SH         DEFINED    1,2                       264947
                    shares
TRIMBLE NAVIGATION  Common equity 896239100   160267    3171152 SH         DEFINED    1,2,5,6,8,12             3171152
 LTD                shares
TRIMERIS INC        Common equity 896263100       58      23428 SH         DEFINED    1                          23428
                    shares
TRINITY BIOTECH PLC American      896438306      129      13700 SH         DEFINED    17                             0         13700
                    Depository
                    Receipt
TRINITY INDUSTRIES  Common equity 896522109    80416    2192889 SH         DEFINED    1,2,5,6,8,12             2192889
                    shares
TRIQUINT            Common equity 89674K103    51448    3985092 SH         DEFINED    1,2,5,6,8                3985092
 SEMICONDUCTOR INC  shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
TRIUMPH GROUP INC   Common equity 896818101    35990     406962 SH         DEFINED    1,2,5,6,8                 406962
                    shares
TRUSTCO BANK        Common equity 898349105    10588    1785098 SH         DEFINED    1,2,5,8                  1785098
 CORP/NY            shares
TRUSTMARK CORP      Common equity 898402102    65268    2786854 SH         DEFINED    1,2,5,6,8,12             2786854
                    shares
TUESDAY MORNING     Common equity 899035505     3189     650981 SH         DEFINED    1,2                       650981
 CORP               shares
TUPPERWARE BRANDS   Common equity 899896104   104545    1750788 SH         DEFINED    1,2,5,6,8,12             1750788
 CORP               shares
TURKCELL ILETISIM   American      900111204     1725     114775 SH         DEFINED    1,6,8                     114775
 HIZMET             Depository
                    Receipt
TWIN DISC INC       Common equity 901476101     6132     190304 SH         DEFINED    1,2                       190304
                    shares
II-VI INC           Common equity 902104108    26814     538979 SH         DEFINED    1,2,5,6,8                 538979
                    shares
TYLER TECHNOLOGIES  Common equity 902252105    16627     701330 SH         DEFINED    1,2,5,6,8                 701330
 INC                shares
GRAFTECH            Common equity 384313102    55795    2704544 SH         DEFINED    1,2,5,6,8                2704544
 INTERNATIONAL LTD  shares
UGI CORP            Common equity 902681105   208024    6323073 SH         DEFINED    1,2,5,6,8,12             6323073
                    shares
UIL HOLDINGS CORP   Common equity 902748102    35460    1161730 SH         DEFINED    1,2,5,6,8                1161730
                    shares
UMB FINANCIAL CORP  Common equity 902788108    35274     944351 SH         DEFINED    1,2,5,6,8,17              944351
                    shares
USA TRUCK INC       Common equity 902925106     1985     152480 SH         DEFINED    1,2                       152480
                    shares
APPLIED ENERGETICS  Common Stock  03819M106      698    1056431 SH         DEFINED    1,2                      1056431
 INC
U S GLOBAL          Common equity 902952100       82      10140 SH         DEFINED    1                          10140
 INVESTORS INC      shares
UQM TECHNOLOGIES    Common equity 903213106     1688     566032 SH         DEFINED    1,2                       566032
 INC                shares
URS CORP            Common equity 903236107   140197    3044522 SH         DEFINED    1,2,5,6,8,10,12,18       3044522
                    shares
USANA HEALTH        Common Stock  90328M107     4520     131115 SH         DEFINED    1,2,5,6,8                 131115
 SCIENCES INC
USA TECHNOLOGIES    Common equity 90328S500       29      11800 SH         DEFINED    1                          11800
 INC                shares
USG CORP            Common equity 903293405    42413    2545664 SH         DEFINED    1,2,5,6,8                2545664
                    shares
CHINDEX INTL INC    Common Stock  169467107     4255     265104 SH         DEFINED    1,2                       265104
PAETEC HOLDING CORP Common equity 695459107    10084    3018453 SH         DEFINED    1,2,5,6,8                3018453
                    shares
USEC INC            Common equity 90333E108    34175    7766535 SH         DEFINED    1,2,5,6,8                7766535
                    shares
U S PHYSICAL        Common equity 90337L108     5379     240919 SH         DEFINED    1,2,5                     240919
 THERAPY INC        shares
ULTIMATE SOFTWARE   Common Stock  90385D107    28886     491639 SH         DEFINED    1,2,5,6,8                 491639
 GROUP INC
ULTRALIFE CORP      Common equity 903899102       77      15100 SH         DEFINED    1                          15100
                    shares
ULTRA PETROLEUM     Common equity 903914109   147572    2996317 SH         DEFINED    1,2,5,6,8,10,12,18       2996317
 CORP               shares
ULTRAPAR            American      90400P101     3146     185523 SH         DEFINED    1,2,4,5,6,10              185523
 PARTICIPACOES SA   Depository
                    Receipt
ULTRATECH INC       Common Stock  904034105    16087     547035 SH         DEFINED    1,2,6,8                   547035
UMPQUA HOLDINGS     Common equity 904214103    46262    4043715 SH         DEFINED    1,2,5,6,8                4043715
 CORP               shares
UNIFI INC           Common equity 904677200     5221     307279 SH         DEFINED    1,2                       307279
                    shares
UNIFIRST CORP       Common equity 904708104    17751     334801 SH         DEFINED    1,2,5,6,8                 334801
                    shares
UNILEVER NV         Similar to    904784709     3280     104652 SH         DEFINED    1,8                       104652
                    ADR
                    Certificates
                    representing
                    ordinary
                    shares
UNION FIRST MARKET  Common equity 90662P104     3884     345220 SH         DEFINED    1,2                       345220
 BANKSHARS          shares
UNISOURCE ENERGY    Common equity 909205106    34723     961090 SH         DEFINED    1,2,5,6,8,17              961090
 CORP               shares
UNIT CORP           Common equity 909218109    80264    1295612 SH         DEFINED    1,2,5,6,8,12             1295612
                    shares
PENSKE AUTOMOTIVE   Common equity 70959W103    28495    1423218 SH         DEFINED    1,2,5,6,8                1423218
 GROUP INC          shares
UNITED COMMUNITY    Common equity 909839102       35      26008 SH         DEFINED    1                          26008
 FINL CORP          shares
UNITED BANKSHARES   Common equity 909907107    38262    1442947 SH         DEFINED    1,2,5,6,8                1442947
 INC/WV             shares
UNITED CAPITAL CORP Common equity 909912107     1425      50256 SH         DEFINED    1,2                        50256
                    shares
UDR INC             Real Estate   902653104   165312    6783522 SH         DEFINED    1,2,3,5,6,8,10,12        6783522
                    Investment
                    Trust
UNITED FIRE & CAS   Common equity 910331107    10233     506448 SH         DEFINED    1,2,5,8                   506448
 CO                 shares
UNITED              American      910873405     7451    2729302 SH         DEFINED    1,2,6,8                  2729302
 MICROELECTRONICS   Depository
 CORP               Receipt
UMH PROPERTIES INC  Real Estate   903002103     1805     181524 SH         DEFINED    1,2                       181524
                    Investment
                    Trust
UNITED NATURAL      Common equity 911163103    50201    1120086 SH         DEFINED    1,2,5,6,8                1120086
 FOODS INC          shares
UNITED RENTALS INC  Common equity 911363109    72838    2188756 SH         DEFINED    1,2,5,6,8,12,17,18       2188756
                    shares
US CELLULAR CORP    Common equity 911684108    11077     215187 SH         DEFINED    1,2,5,6,8                 215187
                    shares
U S ENERGY CORP/WY  Common equity 911805109     2760     440876 SH         DEFINED    1,2                       440876
                    shares
U S LIME & MINERALS Common equity 911922102     1562      38639 SH         DEFINED    1,2,6                      38639
                    shares
U S GOLD CORP       Common Stock  912023207    56024    6344428 SH         DEFINED    1,2,6,8                  6344428
UNITED STATIONERS   Common equity 913004107    41630     585928 SH         DEFINED    1,2,5,6,8                 585928
 INC                shares
UNITED THERAPEUTICS Common equity 91307C102   103118    1538594 SH         DEFINED    1,2,5,6,8,12             1538594
 CORP               shares
UNITIL CORP         Common equity 913259107     4927     209152 SH         DEFINED    1,2                       209152
                    shares
UNITRIN INC         Common equity 913275103    43678    1414403 SH         DEFINED    1,2,5,6,8,12             1414403
                    shares
UNIVERSAL AMERICAN  Common equity 913377107    18407     803447 SH         DEFINED    1,2,5,6,8,17              803447
 CORP               shares
UNIVERSAL CORP/VA   Common equity 913456109   103769    2383447 SH         DEFINED    1,2,5,6,17               2383447
                    shares
UNIVERSAL DISPLAY   Common equity 91347P105    37560     682369 SH         DEFINED    1,2,5,6,8                 682369
 CORP               shares
UNIVERSAL           Common equity 913483103     8480     286632 SH         DEFINED    1,2,5,6,8                 286632
 ELECTRONICS INC    shares
UNIVERSAL FOREST    Common equity 913543104    20840     568576 SH         DEFINED    1,2,5,6,8                 568576
 PRODS INC          shares
UNIVERSAL HEALTH    Real Estate   91359E105    16697     412031 SH         DEFINED    1,2,3,5,8                 412031
 RLTY INCOME        Investment
                    Trust
UNIVERSAL INSURANCE Common equity 91359V107     1461     269439 SH         DEFINED    1,2                       269439
 HLDGS              shares
UNVL STAINLESS &    Common equity 913837100     4301     127567 SH         DEFINED    1,2,5                     127567
 ALLOY PRODS        shares
UNIVERSAL HEALTH    Common equity 913903100   126091    2551814 SH         DEFINED    1,2,5,6,8,12             2551814
 SVCS INC           shares
UNIVEST CORP OF     Common equity 915271100     5989     337934 SH         DEFINED    1,2,8                     337934
 PENNSYLVANIA       shares
INTERMEC INC        Common equity 458786100    12026    1114553 SH         DEFINED    1,2,5,6,8                1114553
                    shares
URANIUM RESOURCES   Common Stock  916901507      111      53330 SH         DEFINED    1                          53330
 INC
OILSANDS QUEST INC  Common equity 678046103      402     838764 SH         DEFINED    1,2,8                     838764
                    shares
UROLOGIX INC        Common Stock  917273104        7      12100 SH         DEFINED    1                          12100
UROPLASTY INC       Common equity 917277204       69      10500 SH         DEFINED    1                          10500
                    shares
URSTADT BIDDLE      Real Estate   917286205    10328     542980 SH         DEFINED    1,2,3,5,8                 542980
 PROPERTIES         Investment
                    Trust
ULURU INC           Common equity 90403T100        2      24385 SH         DEFINED    1                          24385
                    shares
VSE CORP            Common Stock  918284100     2418      81342 SH         DEFINED    1,2                        81342
VAALCO ENERGY INC   Common equity 91851C201     9631    1241643 SH         DEFINED    1,2,8                    1241643
                    shares
VAIL RESORTS INC    Common equity 91879Q109    39456     809103 SH         DEFINED    1,2,5,6,8                 809103
                    shares
VALASSIS            Common equity 918866104    29529    1013382 SH         DEFINED    1,2,5,6,8                1013382
 COMMUNICATIONS INC shares
VALHI INC           Common equity 918905100      213       7987 SH         DEFINED    1                           7987
                    shares
VALENCE TECHNOLOGY  Common equity 918914102       81      51724 SH         DEFINED    1,6                        51724
 INC                shares
SYNERGETICS USA INC Common equity 87160G107      103      17600 SH         DEFINED    1                          17600
                    shares
VALLEY NATIONAL     Common equity 919794107    73788    5285743 SH         DEFINED    1,2,5,6,8,12             5285743
 BANCORP            shares
VALMONT INDUSTRIES  Common equity 920253101    58240     558013 SH         DEFINED    1,2,5,6,8,12              558013
 INC                shares
VALSPAR CORP        Common equity 920355104   161387    4127554 SH         DEFINED    1,2,5,6,8,12             4127554
                    shares
RETAIL VENTURES INC Common equity 76128Y102    15742     912736 SH         DEFINED    1,2,6,8                   912736
                    shares
VALUE LINE INC      Common equity 920437100      369      25266 SH         DEFINED    1,2                        25266
                    shares
VALUECLICK INC      Common equity 92046N102    48439    3350152 SH         DEFINED    1,2,5,6,8,12             3350152
                    shares
VALUEVISION MEDIA   Common equity 92047K107       92      14539 SH         DEFINED    1                          14539
 INC  -CL A         shares
VARIAN              Common equity 922207105    99278    2039871 SH         DEFINED    1,2,5,6,8,12             2039871
 SEMICONDUCTOR      shares
 EQUIPMT
VASCO DATA SEC INTL Common equity 92230Y104     7546     549612 SH         DEFINED    1,2,5,6                   549612
 INC                shares
VASCULAR SOLUTIONS  Common equity 92231M109     3026     277344 SH         DEFINED    1,2                       277344
 INC                shares
VECTREN CORP        Common equity 92240G101   134091    4929788 SH         DEFINED    1,2,5,6,8,12             4929788
                    shares
VECTOR GROUP LTD    Common equity 92240M108    13704     792409 SH         DEFINED    1,2,6,8,17                792409
                    shares
VEECO INSTRUMENTS   Common equity 922417100    45103     887236 SH         DEFINED    1,2,5,6,8                 887236
 INC                shares
VENTAS INC          Real Estate   92276F100   425479    7835825 SH         DEFINED    1,2,3,5,6,8,10,12,18     7835825
                    Investment
                    Trust
VERTEX              Common equity 92532F100   313863    6548415 SH         DEFINED    1,2,5,6,8,10,12,18       6548415
 PHARMACEUTICALS    shares
 INC
VIAD CORP           Common equity 92552R406    11515     481031 SH         DEFINED    1,2,5,6,8                 481031
                    shares
VIASAT INC          Common equity 92552V100    30151     756550 SH         DEFINED    1,2,5,6,8                 756550
                    shares
VICAL INC           Common equity 925602104     3668    1239924 SH         DEFINED    1,2                      1239924
                    shares
VICOR CORP          Common equity 925815102     6833     414179 SH         DEFINED    1,2,5,6,8                 414179
                    shares
TATA COMMUNICATIONS American      876564105      156      14344 SH         DEFINED    1,6,8                      14344
 LTD                Depository
                    Receipt
L-1 IDENTITY        Common equity 50212A106    18347    1557746 SH         DEFINED    1,2,5,6,8                1557746
 SOLUTIONS INC      shares
VILLAGE SUPER       Common equity 927107409     4055     139266 SH         DEFINED    1,2,17                    139266
 MARKET  -CL A      shares
VINA CONCHA Y TORO  American      927191106     2281      48506 SH         DEFINED    1,2,6                      48506
 SA                 Depository
                    Receipt
VIRCO MFG. CORP     Common equity 927651109       36      11061 SH         DEFINED    1                          11061
                    shares
VIRGINIA COMM       Common equity 92778Q109     1920     334824 SH         DEFINED    1,2                       334824
 BANCORP INC        shares
STELLARONE CORP     Common equity 85856G100     6004     422845 SH         DEFINED    1,2,8                     422845
                    shares
VISTA GOLD CORP     Common equity 927926303      108      26900 SH         DEFINED    1                          26900
                    shares
KIT DIGITAL INC     Common Stock  482470200     6060     503351 SH         DEFINED    1,2                       503351
VIROPHARMA INC      Common equity 928241108    45947    2308942 SH         DEFINED    1,2,5,6,8,17             2308942
                    shares
VITAL IMAGES INC    Common equity 92846N104     4203     311203 SH         DEFINED    1,2,5,6,8                 311203
                    shares
VIVUS INC           Common Stock  928551100    19747    3189945 SH         DEFINED    1,2,5,6,8                3189945
VODAFONE GROUP PLC  Depository    92857W209    12443     432775 SH         DEFINED    1,2                       432775
                    Receipt
ALUMINA LTD         American      022205108      219      21533 SH         DEFINED    1                          21533
                    Depository
                    Receipt
FIBRIA CELULOSE SA  American      31573A109     2920     177840 SH         DEFINED    1,2,6,10                  177840
                    Depository
                    Receipt
WD-40 CO            Common equity 929236107    15972     377319 SH         DEFINED    1,2,5,6,8                 377319
                    shares
WGL HOLDINGS INC    Common equity 92924F106   140177    3594238 SH         DEFINED    1,2,5,6,8,12,17          3594238
                    shares
INTEGRYS ENERGY     Common equity 45822P105   181192    3587357 SH         DEFINED    1,2,5,6,8,10,12,18       3587357
 GROUP INC          shares
WSFS FINANCIAL CORP Common equity 929328102     5782     122822 SH         DEFINED    1,2,5,8                   122822
                    shares
WABASH NATIONAL     Common equity 929566107    15470    1335814 SH         DEFINED    1,2,6,8                  1335814
 CORP               shares
WABTEC CORP         Common equity 929740108    87699    1292949 SH         DEFINED    1,2,5,6,8,12             1292949
                    shares
GEO GROUP INC       Common equity 36159R103    38095    1485722 SH         DEFINED    1,2,5,6,8                1485722
                    shares
WADDELL&REED FINL   Common equity 930059100    90964    2239841 SH         DEFINED    1,2,5,6,8,12,17          2239841
 INC  -CL A         shares
WALTER ENERGY INC   Common equity 93317Q105   126637     935039 SH         DEFINED    1,2,5,6,8,17              933854      1185
                    shares
WASHINGTON BANKING  Common equity 937303105     3787     268642 SH         DEFINED    1,2                       268642
 CO                 shares
WASHINGTON FED INC  Common equity 938824109    52989    3056024 SH         DEFINED    1,2,5,6,8,12             3056024
                    shares
WASHINGTON REIT     Real Estate   939653101    67528    2171942 SH         DEFINED    1,2,3,5,6,8              2171942
                    Investment
                    Trust
WASHINGTON TR       Common equity 940610108     6365     268169 SH         DEFINED    1,2,5,8                   268169
 BANCORP INC        shares
WASTE CONNECTIONS   Common equity 941053100    89086    3094461 SH         DEFINED    1,2,5,6,8,12             3094461
 INC                shares
WATSCO INC          Common equity 942622200    70617    1012928 SH         DEFINED    1,2,5,6,8,12             1012928
                    shares
WATTS WATER         Common equity 942749102    24829     650095 SH         DEFINED    1,2,5,6,8                 650095
 TECHNOLOGIES INC   shares
WAUSAU PAPER CORP   Common equity 943315101     9082    1188891 SH         DEFINED    1,2,5,8                  1188891
                    shares
WAVE SYSTEMS CORP   Common Stock  943526301     4797    1532840 SH         DEFINED    1,2                      1532840
 -CL A
WEBSENSE INC        Common equity 947684106    23414    1019413 SH         DEFINED    1,2,5,6,8                1019413
                    shares
WEBSTER FINANCIAL   Common equity 947890109    73094    3410893 SH         DEFINED    1,2,5,6,8,12             3410893
 CORP               shares
SCHIFF NUTRITION    Common equity 806693107     2006     219761 SH         DEFINED    1,2,17                    219761
 INTL INC           shares
WEINGARTEN REALTY   Real Estate   948741103   115699    4616543 SH         DEFINED    1,2,3,5,6,8,12           4616543
 INVST              Investment
                    Trust
WEIS MARKETS INC    Common equity 948849104    10843     268051 SH         DEFINED    1,2,5,8,17                268051
                    shares
WERNER ENTERPRISES  Common equity 950755108    48012    1813661 SH         DEFINED    1,2,5,6,8,12             1813661
 INC                shares
WESBANCO INC        Common equity 950810101    10454     504661 SH         DEFINED    1,2,5,8                   504661
                    shares
WESCO FINANCIAL     Common equity 950817106     6321      16232 SH         DEFINED    1,2,5,6,8,12               16232
 CORP               shares
WESCO INTL INC      Common equity 95082P105    36206     579169 SH         DEFINED    1,2,5,6,8                 579169
                    shares
WEST BANCORPORATION Common equity 95123P106     2201     276087 SH         DEFINED    1,2                       276087
 INC                shares
WEST COAST          Common equity 952145100     6209    1788647 SH         DEFINED    1,2                      1788647
 BANCORP/OR         shares
WEST MARINE INC     Common Stock  954235107     2954     282982 SH         DEFINED    1,2                       282982
WEST PHARMACEUTICAL Common equity 955306105    35226     786853 SH         DEFINED    1,2,5,6,8                 786853
 SVSC INC           shares
WESTAMERICA         Common equity 957090103   122442    2383498 SH         DEFINED    1,2,5,6,8,12,17          2383498
 BANCORPORATION     shares
RED LION HOTELS     Common equity 756764106     1868     228020 SH         DEFINED    1,2                       228020
 CORP               shares
WESTELL TECH INC    Common equity 957541105      161      46210 SH         DEFINED    1                          46210
 -CL A              shares
WESTERN DIGITAL     Common equity 958102105   337430    9049001 SH         DEFINED    1,2,5,6,8,10,12,18,19    8440284
 CORP               shares
WESTAR ENERGY INC   Common equity 95709T100    84210    3187346 SH         DEFINED    1,2,5,6,8,12,17          3187346
                    shares
WESTMORELAND COAL   Common equity 960878106      164      11190 SH         DEFINED    1,5                        11190
 CO                 shares
WESTPAC BANKING     American      961214301      336       2690 SH         DEFINED    1                           2690
                    Depository
                    Receipt
WESTWOOD ONE INC    Common Stock  961815305      479      66121 SH         DEFINED    1,2                        66121
WET SEAL INC        Common Stock  961840105    19241    4496039 SH         DEFINED    1,2,6,8                  4496039
WEYCO GROUP INC     Common equity 962149100     3689     150952 SH         DEFINED    1,2                       150952
                    shares
WHITNEY HOLDING     Common equity 966612103    49146    3608465 SH         DEFINED    1,2,5,6,8                3608465
 CORP               shares
WIDEPOINT CORP      Common equity 967590100       36      28400 SH         DEFINED    1                          28400
                    shares
WILLBROS GROUP INC  Common equity 969203108    17438    1597180 SH         DEFINED    1,2,5,6,8                1597180
                    shares
CLAYTON WILLIAMS    Common Stock  969490101    31860     301364 SH         DEFINED    1,2,5,6,8                 301364
 ENERGY INC
MAGELLAN MIDSTREAM  Limited       559080106    14128     236019 SH         DEFINED    1                         236019
 PRTNRS LP          Partnership
WILLIAMS-SONOMA INC Common equity 969904101   139667    3448524 SH         DEFINED    1,2,5,6,8,10,12,17,18    3448524
                    shares
WILMINGTON TRUST    Common equity 971807102     9805    2169248 SH         DEFINED    1,2,5,6,8                2169248
 CORP               shares
WILSHIRE BANCORP    Common equity 97186T108     2257     461549 SH         DEFINED    1,2,6,8                   461549
 INC                shares
WINNEBAGO           Common equity 974637100     8229     615443 SH         DEFINED    1,2,5,8                   615443
 INDUSTRIES         shares
WIPRO LTD           American      97651M109    14123     964167 SH         DEFINED    1,2,5,6,8,10              964167
                    Depository
                    Receipt
WIRELESS TELECOM    Common equity 976524108       11      10100 SH         DEFINED    1                          10100
 GROUP INC          shares
KRATOS DEFENSE &    Common equity 50077B207     4808     337917 SH         DEFINED    1,2                       337917
 SECURITY           shares
WOLVERINE WORLD     Common equity 978097103    44216    1186006 SH         DEFINED    1,2,5,6,8                1186006
 WIDE               shares
WOODWARD GOVERNOR   Common equity 980745103    77647    2246838 SH         DEFINED    1,2,5,6,8,12             2246838
 CO                 shares
WORLD ACCEPTANCE    Common equity 981419104    24195     371020 SH         DEFINED    1,2,5,6,8                 371020
 CORP/DE            shares
WORLD FUEL SERVICES Common equity 981475106    87108    2145030 SH         DEFINED    1,2,5,6,8                2145030
 CORP               shares
WORLD WRESTLING     Common equity 98156Q108     6108     486017 SH         DEFINED    1,2,6,8,17                486017
 ENTMT INC          shares
X-RITE INC          Common equity 983857103     2522     531330 SH         DEFINED    1,2                       531330
                    shares
YADKIN VALLEY       Common equity 984314104       30      12679 SH         DEFINED    1                          12679
 FINANCIAL CORP     shares
YANZHOU COAL MINING American      984846105      796      21929 SH         DEFINED    1,6                        21929
 CO LTD             Depository
                    Receipt
YORK WATER CO       Common equity 987184108     4176     240002 SH         DEFINED    1,2,5                     240002
                    shares
YOUNG INNOVATIONS   Common equity 987520103     3806     121244 SH         DEFINED    1,2                       121244
 INC                shares
ZALE CORP           Common equity 988858106      238      59493 SH         DEFINED    1,2                        59493
                    shares
HARBINGER GROUP INC Common equity 41146A106      759     145695 SH         DEFINED    1,2                       145695
                    shares
ZEBRA TECHNOLOGIES  Common equity 989207105    58916    1501334 SH         DEFINED    1,2,5,6,8,12             1501334
 CP  -CL A          shares
ZIX CORP            Common equity 98974P100     4224    1147984 SH         DEFINED    1,2,5                    1147984
                    shares
ZORAN CORP          Common equity 98975F101    14019    1349059 SH         DEFINED    1,2,5,6,8                1349059
                    shares
ZOLTEK COS INC      Common equity 98975W104     7895     587707 SH         DEFINED    1,2,5,6,8                 587707
                    shares
ZYGO CORP           Common equity 989855101     4882     333870 SH         DEFINED    1,2                       333870
                    shares
ZOLL MEDICAL CORP   Common equity 989922109    20454     456536 SH         DEFINED    1,2,5,6,8                 456536
                    shares
AMDOCS LTD          Common equity G02602103    65646    2275479 SH         DEFINED    1,2,5,6,8,12             2275479
                    shares
ARCH CAPITAL GROUP  Common equity G0450A105    97830     986222 SH         DEFINED    1,2,5,6,8,10,12,18        986222
 LTD                shares
CENTRAL EUROPEAN    Common Stock  G20045202     7923     375607 SH         DEFINED    1,2,5,6                   375607
 MEDIA
CHINA YUCHAI        Common equity G21082105      991      33784 SH         DEFINED    1,2                        33784
 INTERNATIONAL      shares
CDC CORP            Common equity G2022L114     1313     514861 SH         DEFINED    1,2,6                     514861
                    shares
CONSOLIDATED WATER  Common Stock  G23773107     3045     279326 SH         DEFINED    1,2,5                     279326
 CO INC
FRESH DEL MONTE     Common equity G36738105    23913     915917 SH         DEFINED    1,2,5,6,8,17              915917
 PRODUCE INC        shares
GARMIN LTD          Common equity H2906T109    71638    2115781 SH         DEFINED    1,2,5,6,8,10,12,18       2115781
                    shares
GLOBAL SOURCES LTD  Common equity G39300101     3499     300889 SH         DEFINED    1,2                       300889
                    shares
HELEN OF TROY LTD   Common equity G4388N106    28023     953165 SH         DEFINED    1,2,5,6,8                 953165
                    shares
NORDIC AMER TANKER  Common equity G65773106    23077     928986 SH         DEFINED    1,2,5,6                   928986
 SHIPPING           shares
ORIENT-EXPRESS      Common equity G67743107    31289    2529355 SH         DEFINED    1,2,3,5,6,8              2529355
 HOTELS             shares
PARTNERRE LTD       Common equity G6852T105    99208    1251973 SH         DEFINED    1,2,5,6,8,10,12,17,18    1251973
                    shares
ARGO GROUP INTL     Common equity G0464B107    24988     756328 SH         DEFINED    1,2,5,6,8                 756328
 HOLDINGS LTD       shares
SALIX               Common equity 795435106    56782    1620897 SH         DEFINED    1,2,5,6,8                1620897
 PHARMACEUTICALS    shares
 LTD
SINA CORP           Common equity G81477104    11596     108348 SH         DEFINED    1,2,5,6                   108348
                    shares
UTI WORLDWIDE INC   Common Stock  G87210103    27064    1337162 SH         DEFINED    1,2,5,6,8                1337162
WHITE MTNS INS      Common equity G9618E107    50715     139263 SH         DEFINED    1,2,5,6,8,10,12,18        139263
 GROUP LTD          shares
XOMA LTD            Common equity G9825R206       33      11497 SH         DEFINED    1                          11497
                    shares
UBS AG              Common equity H89231338    60844    3370855 SH         DEFINED    1                        3370855
                    shares
MILLICOM INTL       Common equity L6388F110    15495     161148 SH         DEFINED    1,2,5,6,8,12              161148
 CELLULAR SA        shares
AUDIOCODES LTD      Common equity M15342104      247      41530 SH         DEFINED    1                          41530
                    shares
ALVARION LTD        Common Stock  M0861T100       80      42391 SH         DEFINED    1                          42391
CERAGON NETWORKS    Common Stock  M22013102      954      78959 SH         DEFINED    1,2                        78959
 LTD
CHECK POINT         Common equity M22465104    20091     393561 SH         DEFINED    1,2,5,8,12                393561
 SOFTWARE TECHN     shares
ORBOTECH LTD        Common equity M75253100      381      29688 SH         DEFINED    1,6                        29688
                    shares
ASML HOLDING NV     Similar to    N07059186      326       7331 SH         DEFINED    1                           7331
                    ADR
                    Certificates
                    representing
                    ordinary
                    shares
CHICAGO BRIDGE &    Similar to    167250109    41930    1031224 SH         DEFINED    1,2,5,6                  1031224
 IRON CO            ADR
                    Certificates
                    representing
                    ordinary
                    shares
CNH GLOBAL NV       Common equity N20935206    13168     271141 SH         DEFINED    1,2,5,6,8                 271141
                    shares
CORE LABORATORIES   Common equity N22717107    65464     640763 SH         DEFINED    1,2,5,6,8                 640763
 NV                 shares
ORTHOFIX            Common equity N6748L102    12488     384828 SH         DEFINED    1,2,5,6,8                 384828
 INTERNATIONAL NV   shares
QIAGEN NV           Common Stock  N72482107     1271      63307 SH         DEFINED    1,5                        63307
STEINER LEISURE LTD Common equity P8744Y102    14736     318567 SH         DEFINED    1,2,5,6,8,17              314787          3780
                    shares
EXCEL MARITIME      Common equity V3267N107     3142     732639 SH         DEFINED    1,2,5,6                   732639
 CARRIERS LTD       shares
ROYAL CARIBBEAN     Common equity V7780T103    93435    2264379 SH         DEFINED    1,2,5,6,8,10,12,18       2264379
 CRUISES LTD        shares
AFC ENTERPRISES INC Common Stock  00104Q107     7444     492188 SH         DEFINED    1,2,6                     492188
SEATTLE GENETICS    Common Stock  812578102    42653    2739499 SH         DEFINED    1,2,5,6,8                2739499
 INC







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SIEMENS AG          American      826197501     2961      21560 SH         DEFINED    1,2                        21560
                    Depository
                    Receipt
GMX RESOURCES INC   Common Stock  38011M108     5510     892623 SH         DEFINED    1,2,8                     892623
NUSTAR ENERGY LP    Limited       67058H102     7456     109818 SH         DEFINED    1                         109818
                    Partnership
DR REDDY`S          American      256135203    12922     346458 SH         DEFINED    1,2,4,5,6                 346458
 LABORATORIES LTD   Depository
                    Receipt
ICO GLBAL COMM      Common equity 44930K108     3891    1456796 SH         DEFINED    1,2,6                    1456796
 HLDGS LTD/DE       shares
DONEGAL GROUP INC   Common equity 257701201     3353     250776 SH         DEFINED    1,2,17                    250776
                    shares
ENTERPRISE FINL     Common equity 293712105     3450     244996 SH         DEFINED    1,2                       244996
 SERVICES CP        shares
KINDRED HEALTHCARE  Common equity 494580103    34077    1426916 SH         DEFINED    1,2,5,6,8,12             1426916
 INC                shares
GENON ENERGY INC    Common equity 37244E107    41128   10804191 SH         DEFINED    1,2,5,6,8               10804191
                    shares
RETRACTABLE         Common equity 76129W105       30      18000 SH         DEFINED    1                          18000
 TECHNOLOGIES INC   shares
KINDER MORGAN       Common equity 49455U100    52016     793060 SH         DEFINED    1,2,5,6,8,10,12,18        793060
 MANAGEMENT LLC     shares
ZHONE TECHNOLOGIES  Common Stock  98950P884       45      19855 SH         DEFINED    1                          19855
 INC
GLOBAL POWER        Common Stock  37941P306      278      10100 SH         DEFINED    1                          10100
 EQUIPMENT GROUP
ACURA               Common equity 00509L703      722     229479 SH         DEFINED    1,2                       229479
 PHARMACEUTICALS    shares
 INC
TASER INTERNATIONAL Common equity 87651B104     5246    1288867 SH         DEFINED    1,2,5,6,8                1288867
 INC                shares
ALLIANCE DATA       Common equity 018581108   141618    1648767 SH         DEFINED    1,2,5,6,8,10,12,18       1648767
 SYSTEMS CORP       shares
JOY GLOBAL INC      Common equity 481165108   374472    3789766 SH         DEFINED    1,2,5,6,8,10,12,18       3789766
                    shares
RAPTOR              Common equity 75382F106       52      15044 SH         DEFINED    1                          15044
 PHARMACEUTICAL     shares
 CORP
BANNER CORP         Common equity 06652V109      190      80480 SH         DEFINED    1                          80480
                    shares
GRUPO TELEVISA SAB  American      40049J206    63933    2606281 SH         DEFINED    1,2,4,5,6,18             2606281
                    Depository
                    Receipt
PRINCETON REVIEW    Common equity 742352107      124     326882 SH         DEFINED    1,2,5                     326882
 INC                shares
SK TELECOM CO LTD   American      78440P108     4982     264848 SH         DEFINED    1,2,5,6,12,18             264848
                    Depository
                    Receipt
PHOENIX COMPANIES   Common equity 71902E109     6674    2454275 SH         DEFINED    1,2,5,8                  2454275
 INC                shares
MOSYS INC           Common equity 619718109     2754     458439 SH         DEFINED    1,2                       458439
                    shares
WRIGHT MEDICAL      Common equity 98235T107    14502     852606 SH         DEFINED    1,2,5,6,8                 852606
 GROUP INC          shares
INLAND REAL ESTATE  Real Estate   457461200    23267    2438956 SH         DEFINED    1,2,3,5,6,8              2438956
 CORP               Investment
                    Trust
HDFC BANK LTD       American      40415F101    38804     228334 SH         DEFINED    1,2,4,5,6,8               228334
                    Depository
                    Receipt
NATUS MEDICAL INC   Common Stock  639050103    10399     618977 SH         DEFINED    1,2,5,6,8                 618977
BIOSANTE            Common equity 09065V203     2226    1124317 SH         DEFINED    1,2                      1124317
 PHARMACEUTICALS    shares
 INC
MEDCATH CORP        Common equity 58404W109     6592     472615 SH         DEFINED    1,2                       472615
                    shares
INERGY LP           Misc Equity   456615103     4917     122618 SH         DEFINED    1                         122618
ALLIANCE HEALTHCARE Common equity 018606202     2625     593733 SH         DEFINED    1,2,5,6                   593733
 SVCS INC           shares
PDF SOLUTIONS INC   Common equity 693282105     2269     341395 SH         DEFINED    1,2                       341395
                    shares
BUNGE LTD           Common equity G16962105   183369    2535215 SH         DEFINED    1,2,5,6,8,10,12,18       2535215
                    shares
FRONTLINE LTD       Common equity G3682E127    12065     487031 SH         DEFINED    1,2,5,6,10                487031
                    shares
OMNICELL INC        Common equity 68213N109    11874     779152 SH         DEFINED    1,2,5,6,8                 779152
                    shares
ALTERRA CAPITAL     Common Stock  G0229R108    39762    1779845 SH         DEFINED    1,2,5,6,8                1779845
 HOLDINGS LTD
EXPRESS-1 EXPEDITED Common equity 30217Q108       23      10700 SH         DEFINED    1                          10700
 SOLTNS             shares
TIMBERLINE          Common equity 887133106       24      24700 SH         DEFINED    1                          24700
 RESOURCES CORP     shares
GLADSTONE CAPITAL   Common equity 376535100     5342     472231 SH         DEFINED    1,2,8                     472231
 CORP               shares
GIVEN IMAGING       Common Stock  M52020100      290      14706 SH         DEFINED    1                          14706
IMPERIAL SUGAR CO   Common Stock  453096208     3246     243340 SH         DEFINED    1,2                       243340
DELCATH SYSTEMS INC Common equity 24661P104     5659     768334 SH         DEFINED    1,2,8                     768334
                    shares
CROSS COUNTRY       Common equity 227483104     5110     652451 SH         DEFINED    1,2,5,8                   652451
 HEALTHCARE INC     shares
PENN VIRGINIA RES   Composition   707884102     1919      69268 SH         DEFINED    1                          69268
 PRTNR LP           of more than
                    1 security
MAHANAGAR TELEPHONE American      559778402      257     125007 SH         DEFINED    1,8                       125007
 NIGAM              Depository
                    Receipt
AMERIGROUP CORP     Common equity 03073T102    83394    1297902 SH         DEFINED    1,2,5,6,8,17             1297902
                    shares
AMN HEALTHCARE      Common equity 001744101     6555     757523 SH         DEFINED    1,2,6,8                   757523
 SERVICES INC       shares
ADVISORY BOARD CO   Common equity 00762W107    16754     325343 SH         DEFINED    1,2,5,6,8                 325343
                    shares
ACUITY BRANDS INC   Common equity 00508Y102    92475    1581064 SH         DEFINED    1,2,5,6,8,12             1581064
                    shares
WEIGHT WATCHERS     Common equity 948626106    32467     463183 SH         DEFINED    1,2,5,6,8,12,17           463183
 INTL INC           shares
BRASIL TELECOM SA   American      10553M101     2579      95432 SH         DEFINED    1,2,4,5,6,8,10             95432
                    Depository
                    Receipt
MAGMA DESIGN        Common equity 559181102     8315    1219047 SH         DEFINED    1,2,6                    1219047
 AUTOMATION INC     shares
VCA ANTECH INC      Common equity 918194101    53602    2128494 SH         DEFINED    1,2,5,6,8,12             2128494
                    shares
ALERE INC           Common Stock  01449J105    40633    1038143 SH         DEFINED    1,2,5,6,8                1038143
STAGE STORES INC    Common equity 85254C305    28070    1460516 SH         DEFINED    1,2,5,6,8                1460516
                    shares
MCG CAPITAL CORP    Common equity 58047P107    12022    1849529 SH         DEFINED    1,2,6,8                  1849529
                    shares
ALUMINUM CORP CHINA American      022276109      780      32951 SH         DEFINED    1,6                        32951
 LTD                Depository
                    Receipt
CENTENE CORP        Common equity 15135B101    38462    1166321 SH         DEFINED    1,2,5,6,8                1166321
                    shares
FIVE STAR QUALITY   Common Stock  33832D106     5042     620124 SH         DEFINED    1,2                       620124
 CARE INC
WESTFIELD FINANCIAL Common equity 96008P104     5707     630338 SH         DEFINED    1,2,17                    630338
 INC                shares
BANCO DE CHILE      American      059520106     2500      29701 SH         DEFINED    1,2,5,6,8                  29701
                    Depository
                    Receipt
ENDEAVOUR           Common Stock  29259G200     5137     404517 SH         DEFINED    1,2,6                     404517
 INTERNATIONAL CORP
GREEN BANKSHARES    Common equity 394361208      539     193342 SH         DEFINED    1,2                       193342
 INC                shares
HOUSTON AMERN       Common equity 44183U100     5167     335284 SH         DEFINED    1,2                       335284
 ENERGY CORP        shares
SYNAPTICS INC       Common equity 87157D109    21578     798503 SH         DEFINED    1,2,5,6,8                 798503
                    shares
LORILLARD INC       Common equity 544147101   503547    5299586 SH         DEFINED    1,2,5,6,8,10,12,17,18    5299586
                    shares
COGENT              Common equity 19239V302    13229     927134 SH         DEFINED    1,2,5,6,8                 927134
 COMMUNICATIONS GRP shares
SUNOCO LOGISTICS    Composition   86764L108     3983      45890 SH         DEFINED    1                          45890
 PARTNERS LP        of more than
                    1 security
ISHARES S&P 500     Investments   464287200     3883      29184 SH         DEFINED    1,6                        29184
 FUND               that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES RUSSELL     Investments   464287598      477       6939 SH         DEFINED    1                           6939
 1000 VALUE INDEX   that contain
 FUND               a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES RUSSELL     Investments   464287622     1648      22327 SH         DEFINED    1                          22327
 1000 INDEX FUND    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES S&P SMALL   Investments   464287804    51321     697591 SH         DEFINED    1,2                       697591
 CAP 600 INDEX FUND that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
MVC CAPITAL INC.    Common equity 553829102     6317     460420 SH         DEFINED    1,2,8                     460420
                    shares
MANTECH INTL CORP   Common equity 564563104    34320     809350 SH         DEFINED    1,2,5,6,8,12              809350
                    shares
WIMM BILL DANN      American      97263M109    17575     525126 SH         DEFINED    1,2,5,6,8,10,12,18        525126
 FOODS              Depository
                    Receipt
AMBASSADORS GROUP   Common equity 023177108     4515     412081 SH         DEFINED    1,2,5,6,8                 412081
 INC                shares
GAMESTOP CORP       Common equity 36467W109   133780    5940056 SH         DEFINED    1,2,5,6,8,10,12,18       5940056
                    shares
TSAKOS ENERGY       Common equity G9108L108      141      12939 SH         DEFINED    1,5,6                      12939
 NAVIGATION LTD     shares
ASBURY AUTOMOTIVE   Common equity 043436104    19833    1072658 SH         DEFINED    1,2,5,6,8                1072658
 GROUP INC          shares
DOVER DOWNS GAMING  Common equity 260095104       66      18364 SH         DEFINED    1,5                        18364
 & ENTMT            shares
CALAVO GROWERS INC  Common equity 128246105     4921     225245 SH         DEFINED    1,2,6,8                   225245
                    shares
UNITED COMMUNITY    Common equity 90984P105     4859    2050099 SH         DEFINED    1,2,5,8                  2050099
 BANKS INC          shares
VALE SA             American      91912E105   427020   12804092 SH         DEFINED    1,2,4,5,6,8,10,18       12804092
                    Depository
                    Receipt
ALCON INC           Common equity H01301102   128541     776650 SH         DEFINED    1,2,5,6,8,12,17           776650
                    shares
ISHARES S&P MID CAP Investments   464287507     4143      41947 SH         DEFINED    1                          41947
 400 INDEX FUND     that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
VANGUARD ETF TOTAL  Investments   922908769     6597      95992 SH         DEFINED    1                          95992
 STOCK MARKET       that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
JETBLUE AIRWAYS     Common equity 477143101    51828    8265061 SH         DEFINED    1,2,5,6,12               8265061
 CORP               shares
LIN TV CORP         Common equity 532774106     3661     617362 SH         DEFINED    1,2                       617362
                    shares
REGAL ENTERTAINMENT Common equity 758766109    14888    1102753 SH         DEFINED    1,2,5,6,8                1102753
 GROUP              shares
CIA SANEAMENTO      American      20441A102    38656     658076 SH         DEFINED    1,2,5,6,8,10,18           658076
 BASICO ESTADO      Depository
                    Receipt
AEROPOSTALE INC     Common equity 007865108    69406    2853766 SH         DEFINED    1,2,5,6,8,12             2853766
                    shares
VERINT SYSTEMS INC  Common Stock  92343X100      610      17051 SH         DEFINED    1,2,6,8                    17051
COMPUTER PROGRAMS & Common equity 205306103    14056     218675 SH         DEFINED    1,2,5,6,8                 218675
 SYSTEMS            shares
MARKWEST ENERGY     Limited       570759100     6129     126445 SH         DEFINED    1                         126445
 PARTNERS LP        Partnership
AU OPTRONICS CORP   American      002255107     6116     696682 SH         DEFINED    1,2,6,8                   696682
                    Depository
                    Receipt
NETFLIX INC         Common equity 64110L106   380238    1602166 SH         DEFINED    1,2,5,6,8,10,12,18       1602166
                    shares
ENPRO INDUSTRIES    Common equity 29355X107    19924     548604 SH         DEFINED    1,2,5,6,8                 548604
 INC                shares
SRA INTERNATIONAL   Common equity 78464R105    43180    1522536 SH         DEFINED    1,2,5,6,8,12             1522536
 INC                shares
OVERSTOCK.COM INC   Common equity 690370101     4963     315738 SH         DEFINED    1,2,5,6,8                 315738
                    shares
BANK OF NOVA SCOTIA Common equity 064149107      565       9200 SH         DEFINED    1,8                         9200
                    shares
PACER INTERNATIONAL Common equity 69373H106     4452     846694 SH         DEFINED    1,2,6,8                   846694
 INC                shares
WESTWOOD HOLDINGS   Common equity 961765104     4522     112421 SH         DEFINED    1,2,6                     112421
 GROUP INC          shares
ARCADIA RESOURCES   Common equity 039209101       10      83800 SH         DEFINED    1                          83800
 INC                shares
BIG 5 SPORTING      Common equity 08915P101     6710     562665 SH         DEFINED    1,2,5,8                   562665
 GOODS CORP         shares
NASDAQ OMX GROUP    Common equity 631103108   147272    5699529 SH         DEFINED    1,2,5,6,8,10,12,17,18    5699529
 INC                shares
SANOFI-AVENTIS      American      80105N105     2531      71883 SH         DEFINED    1,2                        71883
                    Depository
                    Receipt
RUSH ENTERPRISES    Common equity 781846209    13088     660859 SH         DEFINED    1,2,5,6,8                 660859
 INC                shares
KIRKLAND`S INC      Common Stock  497498105     5143     333050 SH         DEFINED    1,2,6,8                   333050
RED ROBIN GOURMET   Common equity 75689M101     9348     347550 SH         DEFINED    1,2,5,8                   347550
 BURGERS            shares
LEAPFROG            Common equity 52186N106     2932     678571 SH         DEFINED    1,2,6                     678571
 ENTERPRISES INC    shares
TRAVELZOO INC       Common equity 89421Q106     6465      97080 SH         DEFINED    1,2                        97080
                    shares
SAIA INC            Common equity 78709Y105     5605     342008 SH         DEFINED    1,2,5,6                   342008
                    shares
CIMAREX ENERGY CO   Common equity 171798101   336326    2918445 SH         DEFINED    1,2,5,6,8,10,12,17,18    2918445
                    shares
NEWCASTLE           Real Estate   65105M108     7876    1304188 SH         DEFINED    1,2,6,8                  1304188
 INVESTMENT CORP    Investment
                    Trust
MONTPELIER RE       Common equity G62185106    28912    1636187 SH         DEFINED    1,2,5,6,8                1636187
 HOLDINGS           shares
ENBRIDGE ENERGY     Common equity 29250X103     2022      32121 SH         DEFINED    1,5,6,8                    32121
 MGMT LLC           shares
NATURAL RESOURCE    Limited       63900P103     2954      84244 SH         DEFINED    1                          84244
 PARTNERS LP        Partnership
DICKS SPORTING      Common equity 253393102   109702    2743823 SH         DEFINED    1,2,5,6,8,12             2743823
 GOODS INC          shares
TAYLOR CAPITAL      Common equity 876851106     1788     170317 SH         DEFINED    1,2                       170317
 GROUP INC          shares
NATURAL GAS         Common equity 63886Q109     4793     269625 SH         DEFINED    1,2                       269625
 SERVICES GROUP     shares
WYNN RESORTS LTD    Common equity 983134107   335312    2635101 SH         DEFINED    1,2,5,6,8,10,12,18       2635101
                    shares
PLATINUM            Common equity G7127P100    37067     973171 SH         DEFINED    1,2,5,6,8,17              973171
 UNDERWRITERS HLDG  shares
OVERHILL FARMS INC  Common equity 690212105       72      11920 SH         DEFINED    1                          11920
                    shares
CEVA INC            Common Stock  157210105    13972     522993 SH         DEFINED    1,2,6,8                   522993
PORTFOLIO RECOVRY   Common equity 73640Q105    30697     360540 SH         DEFINED    1,2,5,6,8                 360540
 ASSOC INC          shares
CHINA TELECOM CORP  American      169426103      384       6306 SH         DEFINED    1,6                         6306
 LTD                Depository
                    Receipt
SENOMYX INC         Common equity 81724Q107     3998     661969 SH         DEFINED    1,2                       661969
                    shares
NII HOLDINGS INC    Common equity 62913F201   116704    2800382 SH         DEFINED    1,2,5,6,8,10,12,18       2800382
                    shares
COSI INC            Common equity 22122P101       39      31987 SH         DEFINED    1                          31987
                    shares
SAFETY INSURANCE    Common equity 78648T100    13720     297572 SH         DEFINED    1,2,5,6,8,17              297572
 GROUP INC          shares
SEAGATE TECHNOLOGY  Common Stock  G7945M107   123664    8587913 SH         DEFINED    1,2,5,6,8,10,12,18       8587913
 PLC
GOLAR LNG LTD       Common Stock  G9456A100    17086     667948 SH         DEFINED    1,2,6                     667948
ACACIA RESEARCH     Tracking      003881307    23246     679321 SH         DEFINED    1,2,6,8                   679321
 CORP               Stock
PLAINS EXPLORATION  Common equity 726505100   177571    4901424 SH         DEFINED    1,2,5,6,8,10,12,18       4901424
 & PROD CO          shares
BROOKFIELD          Common Stock  11283W104     2000     212278 SH         DEFINED    1,2                       212278
 RESIDENTIAL PPTYS
PROVIDENT FINANCIAL Common equity 74386T105    36488    2465399 SH         DEFINED    1,2,5,6,8                2465399
 SVCS INC           shares
ASPENBIO PHARMA INC Common equity 045346103      424     500170 SH         DEFINED    1,2                       500170
                    shares
HALOZYME            Common equity 40637H109    12905    1923589 SH         DEFINED    1,2,5,6,8                1923589
 THERAPEUTICS INC   shares
WARNACO GROUP INC   Common equity 934390402    99861    1746039 SH         DEFINED    1,2,5,6,8,12             1746039
                    shares
INFINITY PROPERTY & Common equity 45665Q103    17230     289612 SH         DEFINED    1,2,5,6,8                 289612
 CAS CORP           shares
ENDURANCE SPECIALTY Common equity G30397106    28624     586149 SH         DEFINED    1,2,5,6,8,17              586149
 HOLDINGS           shares
HUDSON HIGHLAND     Common Stock  443792106     3468     533578 SH         DEFINED    1,2                       533578
 GROUP INC
INTERCONTINENTAL    American      45857P301      233      11223 SH         DEFINED    1                          11223
 HOTELS GRP         Depository
                    Receipt
TRUE RELIGION       Common Stock  89784N104    12622     537702 SH         DEFINED    1,2,5,6,8                 537702
 APPAREL INC
FORMFACTOR INC      Common equity 346375108    10661    1035106 SH         DEFINED    1,2,5,6,8                1035106
                    shares
MINDSPEED           Common Stock  602682205     5009     592322 SH         DEFINED    1,2                       592322
 TECHNOLOGIES INC
CAVCO INDUSTRIES    Common equity 149568107     5375     118903 SH         DEFINED    1,2,5                     118903
 INC                shares
AXIS CAPITAL        Common equity G0692U109    92104    2637765 SH         DEFINED    1,2,5,6,8,10,12,17,18    2637765
 HOLDINGS LTD       shares
MOLINA HEALTHCARE   Common equity 60855R100    12665     316632 SH         DEFINED    1,2,5,6,8                 316632
 INC                shares
DTS INC             Common equity 23335C101    17291     370853 SH         DEFINED    1,2,5,6,8                 370853
                    shares
IPASS INC           Common equity 46261V108       51      32528 SH         DEFINED    1                          32528
                    shares
NETGEAR INC         Common equity 64111Q104    25207     777078 SH         DEFINED    1,2,5,6,8                 777078
                    shares
CAPITALSOURCE INC   Real Estate   14055X102    30751    4368155 SH         DEFINED    1,2,5,6,8                4368155
                    Investment
                    Trust
GLADSTONE           REIT          376536108     2933     160819 SH         DEFINED    1,2,5                     160819
 COMMERCIAL CORP
TEXAS CAPITAL       Common equity 88224Q107    34251    1317948 SH         DEFINED    1,2,5,6,8                1317948
 BANCSHARES INC     shares
PROVIDENCE SERVICE  Common equity 743815102     4712     314746 SH         DEFINED    1,2                       314746
 CORP               shares
ASHFORD HOSPITALITY Real Estate   044103109    18792    1705447 SH         DEFINED    1,2,3,5,6,8              1705447
 TRUST              Investment
                    Trust
CYTORI THERAPEUTICS Common equity 23283K105     5769     736639 SH         DEFINED    1,2                       736639
 INC                shares
ENTERTAINMENT       Common equity 29383V107       25      72100 SH         DEFINED    1                          72100
 GAMING ASIA        shares
ABOVENET INC        Common equity 00374N107    32442     500172 SH         DEFINED    1,2,5,6,8                 500172
                    shares
NATIONAL FINANCIAL  Common equity 63607P208    14776    1001785 SH         DEFINED    1,2,5,6,8                1001785
 PRTNRS CP          shares
CHELSEA             Common equity 163428105     2687     688886 SH         DEFINED    1,2                       688886
 THERAPEUTICS INTL  shares
JOURNAL             Common equity 481130102     6009    1001505 SH         DEFINED    1,2                      1001505
 COMMUNICATIONS INC shares
JONES SODA CO       Common equity 48023P106       26      21100 SH         DEFINED    1                          21100
                    shares
WOORI FINANCE       American      981063100      454      11504 SH         DEFINED    1,6,18                     11504
 HOLDINGS CO        Depository
                    Receipt
LKQ CORP            Common equity 501889208    91773    3808160 SH         DEFINED    1,2,5,6,8,12             3808160
                    shares
FIRST POTOMAC       Real Estate   33610F109    25651    1628385 SH         DEFINED    1,2,3,6,8                1628385
 REALTY TRUST       Investment
                    Trust
MICROMET INC        Common Stock  59509C105    13618    2428298 SH         DEFINED    1,2,6,8                  2428298
FIRST MARBLEHEAD    Common equity 320771108     2728    1239744 SH         DEFINED    1,2,5,6                  1239744
 CORP               shares
QUALITY             Common equity 74756M102     1978     166751 SH         DEFINED    1,2                       166751
 DISTRIBUTION INC   shares
CINEDIGM DIGITAL    Common equity 172407108       48      26900 SH         DEFINED    1                          26900
 CINEMA CORP        shares
MARLIN BUSINESS     Common equity 571157106     1687     137080 SH         DEFINED    1,2                       137080
 SERVICES INC       shares
TESSERA             Common equity 88164L100    25273    1383813 SH         DEFINED    1,2,5,6,8                1383813
 TECHNOLOGIES INC   shares
LECG CORP           Common Stock  523234102       74     379326 SH         DEFINED    1,2                       379326
CALLIDUS SOFTWARE   Common equity 13123E500      127      18550 SH         DEFINED    1                          18550
 INC                shares
WHITING PETROLEUM   Common equity 966387102   124946    1701106 SH         DEFINED    1,2,5,6,8                1701106
 CORP               shares
BUFFALO WILD WINGS  Common equity 119848109    21184     389205 SH         DEFINED    1,2,5,6,8                 389205
 INC                shares
TICC CAPITAL CORP   Common equity 87244T109     6190     569468 SH         DEFINED    1,2,8,17                  569468
                    shares
NEXSTAR             Common equity 65336K103     1368     158060 SH         DEFINED    1,2                       158060
 BROADCASTING GROUP shares
CONN`S INC          Common equity 208242107     1328     295970 SH         DEFINED    1,2                       295970
                    shares
PINNACLE AIRLINES   Common equity 723443107     1657     288116 SH         DEFINED    1,2                       288116
 CORP               shares
SYNNEX CORP         Common equity 87162W100    17171     524708 SH         DEFINED    1,2,5,6,8                 524708
                    shares
CORINTHIAN COLLEGES Common equity 218868107     8206    1856138 SH         DEFINED    1,2,5,6,8                1856138
 INC                shares
CORPBANCA           American      21987A209     1678      75012 SH         DEFINED    1,2,5,6,10                 75012
                    Depository
                    Receipt
NRG ENERGY INC      Common equity 629377508   237970   11047493 SH         DEFINED    1,2,5,6,8,10,12,18      11047493
                    shares
AMERICAN EQTY INVT  Common equity 025676206    17840    1359750 SH         DEFINED    1,2,5,6,8                1359750
 LIFE HLDG          shares
ASPEN INSURANCE     Common equity G05384105    53475    1940179 SH         DEFINED    1,2,5,6,8,12             1940179
 HOLDINGS LTD       shares
KRONOS WORLDWIDE    Common equity 50105F105      415       7109 SH         DEFINED    1                           7109
 INC                shares
YAMANA GOLD INC     Common equity 98462Y100      437      35522 SH         DEFINED    1,18                       35522
                    shares
NELNET INC          Common equity 64031N108    13262     607743 SH         DEFINED    1,2,5,6,8                 607743
                    shares
COMPASS MINERALS    Common equity 20451N101   119547    1278173 SH         DEFINED    1,2,5,6,8,12             1278173
 INTL INC           shares
DDI CORP            Common Stock  233162502     2494     235832 SH         DEFINED    1,2                       235832
GLOBAL INDEMNITY    Common equity G39319101     7028     319866 SH         DEFINED    1,2,5,8                   319866
 PLC                shares
CHINA LIFE          American      16939P106     1189      21206 SH         DEFINED    1,6                        21206
 INSURANCE (CHN)    Depository
                    Receipt
UNIVERSAL TECHNICAL Common equity 913915104     8812     452920 SH         DEFINED    1,2,5,6,8                 452920
 INST               shares
KNOLOGY INC         Common equity 499183804     9219     714384 SH         DEFINED    1,2,5,6,8                 714384
                    shares
TEMPUR PEDIC INTL   Common equity 88023U101    73434    1449483 SH         DEFINED    1,2,5,6,8                1449483
 INC                shares
U S GEOTHERMAL INC  Common equity 90338S102       42      39100 SH         DEFINED    1                          39100
                    shares
CROSSTEX ENERGY INC Common equity 22765Y104     9639     968618 SH         DEFINED    1,2,5                     968618
                    shares
GEOEYE INC          Common Stock  37250W108    19111     459553 SH         DEFINED    1,2,5,6,8                 459553
GLOBAL CROSSING LTD Common equity G3921A175    10236     735095 SH         DEFINED    1,2,5,6,8                 735095
                    shares
BANCORP INC         Common equity 05969A105     4264     462357 SH         DEFINED    1,2                       462357
                    shares
GTX INC             Common equity 40052B108       44      16771 SH         DEFINED    1                          16771
                    shares
TRW AUTOMOTIVE      Common equity 87264S106    91970    1669660 SH         DEFINED    1,2,5,6,8,10,12,17,18    1669660
 HOLDINGS CORP      shares
ASSET ACCEPTANCE    Common equity 04543P100     1525     283650 SH         DEFINED    1,2,6                     283650
 CAPITL CP          shares
ASSURANT INC        Common equity 04621X108   177500    4609188 SH         DEFINED    1,2,5,6,8,10,12,18       4609188
                    shares
HILLTOP HOLDINGS    Common equity 432748101     8486     845492 SH         DEFINED    1,2,5,6,8                 845492
 INC                shares
ATHEROS             Common equity 04743P108    42801     958527 SH         DEFINED    1,2,5,6,8                 958527
 COMMUNICATIONS INC shares
DYNAVAX             Common Stock  268158102     3962    1435618 SH         DEFINED    1,2                      1435618
 TECHNOLOGIES CORP
KINETIC CONCEPTS    Common equity 49460W208    94570    1737828 SH         DEFINED    1,2,5,6,8,12             1737828
 INC                shares
CLIFTON SAVINGS     Common equity 18712Q103     2226     187384 SH         DEFINED    1,2,17                    187384
 BANCORP INC        shares
TNS INC             Common equity 872960109     8261     531005 SH         DEFINED    1,2,5,6,8                 531005
                    shares
CYCLACEL            Common equity 23254L108       33      22800 SH         DEFINED    1                          22800
 PHARMACEUTICALS    shares
SEMICONDUCTOR MFG   American      81663N206       94      24767 SH         DEFINED    6                          24767
 INTL CORP          Depository
                    Receipt
CAPLEASE INC        Real Estate   140288101     8077    1473547 SH         DEFINED    1,2,3,5,8                1473547
                    Investment
                    Trust
SIGNATURE BANK/NY   Common equity 82669G104    66957    1187188 SH         DEFINED    1,2,5,6,8,17             1187188
                    shares
BROADWIND ENERGY    Common equity 11161T108     1886    1437769 SH         DEFINED    1,2,6                    1437769
 INC                shares
ULTRA CLEAN         Common equity 90385V107     4086     395407 SH         DEFINED    1,2                       395407
 HOLDINGS INC       shares
ANADYS              Common equity 03252Q408       36      31200 SH         DEFINED    1                          31200
 PHARMACEUTICALS    shares
 INC
HORNBECK OFFSHORE   Common equity 440543106    32730    1060887 SH         DEFINED    1,2,5,6,8                1060887
 SVCS INC           shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CUTERA INC          Common equity 232109108     2606     304157 SH         DEFINED    1,2                       304157
                    shares
KAISER FEDERAL      Common equity 483056107      561      45662 SH         DEFINED    1,2                        45662
 FINANCIAL GRP      shares
MARCHEX INC         Common Stock  56624R108     3388     430517 SH         DEFINED    1,2                       430517
SANTARUS INC        Common Stock  802817304     4198    1227276 SH         DEFINED    1,2                      1227276
NEWALLIANCE         Common equity 650203102    57427    3869981 SH         DEFINED    1,2,5,6,8,12             3869981
 BANCSHARES INC     shares
APOLLO INVESTMENT   Common equity 03761U106    80897    6708022 SH         DEFINED    1,2,5,6,8,12             6708022
 CORP               shares
ARBOR REALTY TRUST  Real Estate   038923108       95      16800 SH         DEFINED    1                          16800
 INC                Investment
                    Trust
CORCEPT             Common equity 218352102     1668     392165 SH         DEFINED    1,2                       392165
 THERAPEUTICS INC   shares
EXIDE TECHNOLOGIES  Common Stock  302051206    19691    1761644 SH         DEFINED    1,2,5,6,8                1761644
ASSURED GUARANTY    Common equity G0585R106    32033    2150203 SH         DEFINED    1,2,5,6,8                2150203
 LTD                shares
CYTOKINETICS INC    Common Stock  23282W100     1230     825084 SH         DEFINED    1,2                       825084
GREENHILL & CO INC  Common equity 395259104    46463     706127 SH         DEFINED    1,2,5,6,8,12              706127
                    shares
NUVASIVE INC        Common equity 670704105    21617     853818 SH         DEFINED    1,2,5,6,8                 853818
                    shares
SHANDA              American      81941Q203     2066      49198 SH         DEFINED    1,2,6                      49198
 INTERACTIVE-ADR    Depository
                    Receipt
BLUE NILE INC       Common equity 09578R103    25344     469361 SH         DEFINED    1,2,5,6,8                 469361
                    shares
RAM ENERGY          Common equity 75130P109     1976     951276 SH         DEFINED    1,2                       951276
 RESOURCES INC      shares
GENWORTH FINANCIAL  Common equity 37247D106   268621   19957462 SH         DEFINED    1,2,5,6,8,10,12,18      19957462
 INC                shares
ACADIA              Common equity 004225108       41      25160 SH         DEFINED    1                          25160
 PHARMACEUTICALS    shares
 INC
ANGIODYNAMICS INC   Common equity 03475V101     7843     518588 SH         DEFINED    1,2,8                     518588
                    shares
CORNERSTONE         Common equity 21924P103     1139     171685 SH         DEFINED    1,2                       171685
 THERAPEUTICS INC   shares
REPUBLIC AIRWAYS    Common equity 760276105     6548    1017655 SH         DEFINED    1,2,5,8                  1017655
 HLDGS INC          shares
STANDARD PARKING    Common equity 853790103     4902     275921 SH         DEFINED    1,2,6,17                  274151          1770
 CORP               shares
ALNYLAM             Common Stock  02043Q107     9950    1039515 SH         DEFINED    1,2,5,6,8                1039515
 PHARMACEUTICALS
 INC
TPC GROUP INC       Common Stock  89236Y104     3933     136220 SH         DEFINED    1,2,6                     136220
INHIBITEX INC       Common equity 45719T103     2770     765438 SH         DEFINED    1,2                       765438
                    shares
CB RICHARD ELLIS    Common equity 12497T101   296084   11089552 SH         DEFINED    1,2,3,5,6,8,10,12,18    11089552
 GROUP INC          shares
BLACKBOARD INC      Common equity 091935502    27751     765751 SH         DEFINED    1,2,5,6,8                 765751
                    shares
JACKSON HEWITT TAX  Common equity 468202106        8      13026 SH         DEFINED    1                          13026
 SERVICE            shares
MOMENTA             Common Stock  60877T100    28236    1781313 SH         DEFINED    1,2,5,6,8                1781313
 PHARMACEUTICALS
 INC
MONEYGRAM           Common equity 60935Y109     5913    1724210 SH         DEFINED    1,2,6                    1724210
 INTERNATIONAL INC  shares
SALESFORCE.COM INC  Common equity 79466L302   557542    4173897 SH         DEFINED    1,2,5,6,8,10,12,18       4173897
                    shares
GOL LINHAS AEREAS   American      38045R107    10003     728578 SH         DEFINED    1,2,6,10,18               728578
 INTELIGENT         Depository
                    Receipt
STRATEGIC HOTELS &  Real Estate   86272T106    24804    3845815 SH         DEFINED    1,2,3,6,8                3845815
 RESORTS            Investment
                    Trust
XYRATEX LTD         Common equity G98268108     7528     673284 SH         DEFINED    1,2                       673284
                    shares
CABELAS INC         Common equity 126804301    31950    1277237 SH         DEFINED    1,2,5,6,8                1277237
                    shares
METALICO INC        Common equity 591176102     3920     630082 SH         DEFINED    1,2                       630082
                    shares
MULTI-FINELINE      Common equity 62541B101     5783     205009 SH         DEFINED    1,2,5,6,8                 205009
 ELECTRON INC       shares
DESARROLLADORA      American      25030W100     4418     162166 SH         DEFINED    1,2,6,18                  162166
 HOMEX SA           Depository
                    Receipt
LIFE TIME FITNESS   Common equity 53217R207    59274    1588618 SH         DEFINED    1,2,5,6,8,12             1588618
 INC                shares
WELLCARE HEALTH     Common equity 94946T106    61906    1475624 SH         DEFINED    1,2,5,6,8,12             1475624
 PLANS INC          shares
HILL INTERNATIONAL  Common equity 431466101     2552     481867 SH         DEFINED    1,2,6                     481867
 INC                shares
HOLLY ENERGY        Limited       435763107     1323      22804 SH         DEFINED    1                          22804
 PARTNERS LP        Partnership
JAMES RIVER COAL CO Common Stock  470355207    56062    2319616 SH         DEFINED    1,2,5,6,8                2319616
NETLOGIC            Common Stock  64118B100    61098    1454024 SH         DEFINED    1,2,5,6,8                1454024
 MICROSYSTEMS INC
VIRGIN MEDIA INC    Common equity 92769L101   158941    5719568 SH         DEFINED    1,2,5,6,8,10,12,18       5719568
                    shares
DOMINO`S PIZZA INC  Common equity 25754A201    15449     838251 SH         DEFINED    1,2,5,6,8                 838251
                    shares
MCCORMICK &         Common equity 579793100     2402     332514 SH         DEFINED    1,2                       332514
 SCHMICKS SEAFOOD   shares
ATLAS AIR WORLDWIDE Common equity 049164205    40271     577567 SH         DEFINED    1,2,5,6,8                 577567
 HLDG INC           shares
SYNTHESIS ENERGY    Common equity 871628103       61      21500 SH         DEFINED    1                          21500
 SYSTEMS INC        shares
BLACKBAUD INC       Common equity 09227Q100    26134     959381 SH         DEFINED    1,2,5,6,8                 959381
                    shares
IDENIX              Common equity 45166R204     2214     666496 SH         DEFINED    1,2,6                     666496
 PHARMACEUTICALS    shares
 INC
LG DISPLAY CO LTD   American      50186V102     1918     121977 SH         DEFINED    1,2,6,18                  121977
                    Depository
                    Receipt
AUXILIUM PHARMA INC Common Stock  05334D107    25727    1198314 SH         DEFINED    1,2,5,6,8                1198314
BUCYRUS             Common equity 118759109   226997    2482208 SH         DEFINED    1,2,5,6,8,10,12,18       2482208
 INTERNATIONAL INC  shares
PROSPECT CAPITAL    Common equity 74348T102    21484    1759483 SH         DEFINED    1,2,6,8                  1759483
 CORP               shares
GRAMERCY CAPITAL    Real Estate   384871109      342      80755 SH         DEFINED    1                          80755
 CORP               Investment
                    Trust
MANNKIND CORP       Common equity 56400P201     4893    1341550 SH         DEFINED    1,2,5,6,8                1341550
                    shares
VOLTERRA            Common equity 928708106    15256     614403 SH         DEFINED    1,2,6,8                   614403
 SEMICONDUCTOR CORP shares
ENERSYS INC         Common equity 29275Y102    44051    1108196 SH         DEFINED    1,2,5,6,8                1108196
                    shares
COMMERCIAL VEHICLE  Common equity 202608105     8462     474457 SH         DEFINED    1,2                       474457
 GROUP INC          shares
RIGHTNOW            Common Stock  76657R106    14958     477929 SH         DEFINED    1,2,6,8                   477929
 TECHNOLOGIES INC
BIOMED REALTY TRUST Real Estate   09063H107    88106    4632495 SH         DEFINED    1,2,3,5,6,8              4632495
 INC                Investment
                    Trust
SYNERON MEDICAL LTD Common equity M87245102     8037     616294 SH         DEFINED    1,2,5,6                   616294
                    shares
KITE REALTY GROUP   Real Estate   49803T102    10679    2011169 SH         DEFINED    1,2,3,8                  2011169
 TRUST              Investment
                    Trust
WESTLAKE CHEMICAL   Common equity 960413102    22549     401239 SH         DEFINED    1,2,5,6,8                 401239
 CORP               shares
AMERICAN CAMPUS     Real Estate   024835100    74761    2265407 SH         DEFINED    1,2,3,5,6,8              2265407
 COMMUNITIES        Investment
                    Trust
EXTRA SPACE STORAGE Real Estate   30225T102    64480    3113700 SH         DEFINED    1,2,3,5,6,8              3113700
 INC                Investment
                    Trust
STEREOTAXIS INC     Common equity 85916J102     2237     577809 SH         DEFINED    1,2,6                     577809
                    shares
LEAP WIRELESS INTL  Common equity 521863308    10484     676913 SH         DEFINED    1,2,5,6,8                 676913
 INC                shares
GOOGLE INC          Common equity 38259P508  5590772    9537150 SH         DEFINED    1,2,5,6,8,10,12,18,19    9534404
                    shares
COHEN & STEERS INC  Common equity 19247A100    10788     363384 SH         DEFINED    1,2,5,6,8                 363384
                    shares
ZIOPHARM ONCOLOGY   Common equity 98973P101     6740    1078313 SH         DEFINED    1,2                      1078313
 INC                shares
INTEROIL CORP       Common Stock  460951106      367       4918 SH         DEFINED    5                           4918
HAYNES              Common equity 420877201    24395     439888 SH         DEFINED    1,2,5,6,8                 439888
 INTERNATIONAL INC  shares
BEACON ROOFING      Common equity 073685109    19153     935488 SH         DEFINED    1,2,5,6,8                 935488
 SUPPLY INC         shares
TATA MOTORS LTD     American      876568502    12864     462897 SH         DEFINED    1,2,5,6,8                 462897
                    Depository
                    Receipt
CPFL ENERGIA SA     American      126153105     3214      36760 SH         DEFINED    1,2,6,10                   36760
                    Depository
                    Receipt
NESS TECHNOLOGIES   Common equity 64104X108       86      13515 SH         DEFINED    1,8                        13515
 INC                shares
PRIMUS GUARANTY LTD Common equity G72457107     2551     501681 SH         DEFINED    1,2                       501681
                    shares
ARES CAPITAL CORP   Common equity 04010L103    34441    2038109 SH         DEFINED    1,2,5,6,8                2038109
                    shares
TEXAS ROADHOUSE INC Common equity 882681109    20850    1227322 SH         DEFINED    1,2,5,6,8                1227322
                    shares
THERAVANCE INC      Common equity 88338T104    41039    1694350 SH         DEFINED    1,2,5,6,8                1694350
                    shares
NEW YORK & CO INC   Common equity 649295102     3095     441412 SH         DEFINED    1,2,6                     441412
                    shares
THOMAS PROPERTIES   Common equity 884453101     1808     539504 SH         DEFINED    1,2                       539504
 GROUP              shares
HURON CONSULTING    Common equity 447462102    12798     462198 SH         DEFINED    1,2,5,6,8                 462198
 GROUP INC          shares
LOCAL.COM CORP      Common equity 53954R105     1139     293231 SH         DEFINED    1,2                       293231
                    shares
SUNSTONE HOTEL      Real Estate   867892101    39872    3912751 SH         DEFINED    1,2,3,5,6,8              3912751
 INVESTORS INC      Investment
                    Trust
TOWER GROUP INC     Common equity 891777104    21664     901554 SH         DEFINED    1,2,5,6,8                 901554
                    shares
U-STORE-IT TRUST    Real Estate   91274F104    32227    3063425 SH         DEFINED    1,2,3,5,6,8              3063425
                    Investment
                    Trust
NORTHSTAR REALTY    Real Estate   66704R100     8130    1519859 SH         DEFINED    1,2,5,8                  1519859
 FINANCE CP         Investment
                    Trust
BUILD-A-BEAR        Common equity 120076104     1885     311297 SH         DEFINED    1,2                       311297
 WORKSHOP INC       shares
CALAMOS ASSET       Common equity 12811R104     7190     433315 SH         DEFINED    1,2,5,6,8                 433315
 MANAGEMENT INC     shares
DREAMWORKS          Common Stock  26153C103    55960    2003505 SH         DEFINED    1,2,5,6,8,12             2003505
 ANIMATION INC
DIGITAL REALTY      Real Estate   253868103   132236    2274437 SH         DEFINED    1,2,3,5,6,8,12           2274437
 TRUST INC          Investment
                    Trust
NORTHWESTERN CORP   Common equity 668074305    29444     971697 SH         DEFINED    1,2,5,6,8                 971697
                    shares
MARKETAXESS         Common equity 57060D108    14347     592761 SH         DEFINED    1,2,6,8                   592761
 HOLDINGS INC       shares
COPANO ENERGY LLC   Common equity 217202100      537      15091 SH         DEFINED    1,5                        15091
                    shares
NGP CAPITAL         Common equity 62912R107     4384     454899 SH         DEFINED    1,2                       454899
 RESOURCES CO.      shares
NALCO HOLDING CO    Common equity 62985Q101    39235    1436662 SH         DEFINED    1,2,5,6,8                1436662
                    shares
ORMAT TECHNOLOGIES  Common equity 686688102     5939     234428 SH         DEFINED    1,2,5,6,8                 234428
 INC                shares
SPDR GOLD TRUST     Investments   78463V107    79284     567041 SH         DEFINED    1,2                       567041
                    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
MONOLITHIC POWER    Common Stock  609839105    12110     853344 SH         DEFINED    1,2,5,6,8                 853344
 SYSTEMS INC
REXAHN              Common equity 761640101       32      26700 SH         DEFINED    1                          26700
 PHARMACEUTICALS    shares
 INC
HOME FEDERAL        Common equity 43710G105     3595     305090 SH         DEFINED    1,2,5,17                  305090
 BANCORP INC        shares
SYMMETRY MEDICAL    Common equity 871546206     7090     723605 SH         DEFINED    1,2,5,6,8                 723605
 INC                shares
BILL BARRETT CORP   Common equity 06846N104    93250    2336466 SH         DEFINED    1,2,5,6,8,12             2336466
                    shares
MARKET LEADER INC   Common equity 57056R103       35      14100 SH         DEFINED    1                          14100
                    shares
BLUELINX HOLDINGS   Common equity 09624H109      582     157600 SH         DEFINED    1,2                       157600
 INC                shares
GREAT WOLF RESORTS  Common equity 391523107       53      24786 SH         DEFINED    1                          24786
 INC                shares
KNOLL INC           Common equity 498904200    20276     967392 SH         DEFINED    1,2,5,6,8                 967392
                    shares
LAS VEGAS SANDS     Common equity 517834107   236153    5593275 SH         DEFINED    1,2,5,6,8,10,12,18       5593275
 CORP               shares
ADVANCE AMER CASH   Common equity 00739W107     6661    1257771 SH         DEFINED    1,2,5                    1257771
 ADVANCE CT         shares
INTERLINE BRANDS    Common equity 458743101    14041     688244 SH         DEFINED    1,2,5,6,8                 688244
 INC                shares
MACQUARIE           Closed end    55608B105     1209      50632 SH         DEFINED    1,2,8                      50632
 INFRASTRUCT CO LLC mutual fund
HERBALIFE LTD       Common equity G4412G101    66178     813402 SH         DEFINED    1,2,5,6,8                 813402
                    shares
ABINGTON BANCORP    Common equity 00350L109     5086     416081 SH         DEFINED    1,2,17                    416081
 INC                shares
WARREN RESOURCES    Common Stock  93564A100     7562    1485339 SH         DEFINED    1,2,6                    1485339
 INC
PHH CORP            Common equity 693320202    28624    1315061 SH         DEFINED    1,2,5,6,8                1315061
                    shares
CELANESE CORP       Common equity 150870103   157614    3552320 SH         DEFINED    1,2,5,6,8,10,12,18       3552320
                    shares
SEABRIGHT HOLDINGS  Common Stock  811656107     4661     454636 SH         DEFINED    1,2,8                     454636
 INC
EDUCATION REALTY    Real Estate   28140H104    18040    2246431 SH         DEFINED    1,2,3,5,6,8              2246431
 TRUST INC          Investment
                    Trust
GFI GROUP INC       Common Stock  361652209     7023    1398452 SH         DEFINED    1,2,5,8                  1398452
OPTIONSXPRESS       Common equity 684010101    21798    1190693 SH         DEFINED    1,2,5,6,8                1190693
 HOLDINGS INC       shares
DOLLAR FINANCIAL    Common equity 256664103    15534     748796 SH         DEFINED    1,2,5,6,8                 748796
 CORP               shares
NATIONAL INTERSTATE Common Stock  63654U100     2646     127074 SH         DEFINED    1,2,5                     127074
 CORP
W&T OFFSHORE INC    Common equity 92922P106    44998    1974582 SH         DEFINED    1,2,5,6,8                1974582
                    shares
DRYSHIPS INC        Common equity Y2109Q101     1242     250767 SH         DEFINED    1,2,5,6                   250767
                    shares
AMERICAN            Common equity 029263100     7523     726882 SH         DEFINED    1,2,5,8                   726882
 REPROGRAPHICS CO   shares
CORE MARK HOLDING   Common equity 218681104     7508     227089 SH         DEFINED    1,2,8                     227089
 CO INC             shares
WINDSTREAM CORP     Common Stock  97381W104   235111   18268116 SH         DEFINED    1,2,5,6,8,10,12,17,18   18268116
PRESTIGE BRANDS     Common equity 74112D101    13850    1204639 SH         DEFINED    1,2,5,8                  1204639
 HOLDINGS           shares
HUNTSMAN CORP       Common equity 447011107    41832    2406831 SH         DEFINED    1,2,5,6,8,10             2406831
                    shares
UNIVERSAL TRUCKLOAD Common equity 91388P105     2105     122156 SH         DEFINED    1,2                       122156
 SERVICES           shares
ALPHA NATURAL       Common equity 02076X102   164506    2770811 SH         DEFINED    1,2,5,6,8,10,12,18       2770811
 RESOURCES INC      shares
WRIGHT EXPRESS CORP Common equity 98233Q105    47407     914580 SH         DEFINED    1,2,5,6,8                 914580
                    shares
DOLBY LABORATORIES  Common equity 25659T107    40406     821060 SH         DEFINED    1,2,5,6,8,10,12,18        821060
 INC                shares
KEARNY FINANCIAL    Common equity 487169104     3340     333063 SH         DEFINED    1,2,5                     333063
 CORP               shares
BOFI HOLDING INC    Common Stock  05566U108     1516      97659 SH         DEFINED    1,2                        97659
DIANA SHIPPING INC  Common equity Y2066G104      694      58771 SH         DEFINED    1,2,5,6                    58771
                    shares
FREIGHTCAR AMERICA  Common equity 357023100     7745     238118 SH         DEFINED    1,2,5,8                   238118
 INC                shares
DEXCOM INC          Common equity 252131107    19429    1251802 SH         DEFINED    1,2,6,8                  1251802
                    shares
AMERICA SERVICE     Common equity 02364L109     4133     161058 SH         DEFINED    1,2,5                     161058
 GROUP INC          shares
TELEPHONE & DATA    Common equity 879433860     3252     110098 SH         DEFINED    1,2                       110098
 SYS INC            shares
VERIFONE SYSTEMS    Common equity 92342Y109    99255    1806359 SH         DEFINED    1,2,5,6,8                1806359
 INC                shares
MORNINGSTAR INC     Common equity 617700109    14284     244723 SH         DEFINED    1,2,5,6,8                 244723
                    shares
SUMMER INFANT INC   Common equity 865646103     1326     165886 SH         DEFINED    1,2                       165886
                    shares
LAZARD LTD          Common equity G54050102    45426    1092532 SH         DEFINED    1,2,5,6                  1092532
                    shares
TEEKAY LNG PARTNERS Limited       Y8564M105     2445      59628 SH         DEFINED    1                          59628
 LP                 Partnership
ZUMIEZ INC          Common equity 989817101    21866     827377 SH         DEFINED    1,2,5,6,8                 827377
                    shares
WARNER MUSIC GROUP  Common equity 934550104     6943    1025976 SH         DEFINED    1,2,5,6,8                1025976
 CORP               shares
XERIUM TECHNOLOGIES Common equity 98416J118     2719     112996 SH         DEFINED    1,2                       112996
 INC                shares
CITI TRENDS INC     Common equity 17306X102     6701     300608 SH         DEFINED    1,2,6,8                   300608
                    shares
ROCKVILLE FINANCIAL Common equity 774188106     2566     246052 SH         DEFINED    1,2,5                     246052
 INC                shares
TRANSMONTAIGNE      Limited       89376V100     1055      29042 SH         DEFINED    1                          29042
 PARTNERS LP        Partnership
ADVENT CLAYMORE     Closed end    00764C109      618      31186 SH         DEFINED    18                         31186
 CONVERTIBLE        mutual fund
 SECURITIES &
 INCOME FUND
CALAMOS CONVERTIBLE Closed end    128117108      401      29984 SH         DEFINED    18                         29984
 OPPORTUNITIES &    mutual fund
 INCOME FUND
CALAMOS CONVERTIBLE Closed end    12811P108      204      14926 SH         DEFINED    18                         14926
 & HIGH INCOME FUND mutual fund
GABELLI CONVERTIBLE Closed end    36240B109      387      59237 SH         DEFINED    18                         59237
 & INCOME           mutual fund
 SECURITIES FUND
 INC.
ISHARES MSCI BRAZIL Investments   464286400      209       2692 SH         DEFINED    1                           2692
 (FREE) INDEX FUND  that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI CANADA Investments   464286509    53266    1583400 SH         DEFINED    2                        1583400
 INDEX FUND         that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI UNITED Investments   464286699     9350     521747 SH         DEFINED    1                         521747
 KINGDOM INDEX FUND that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI TAIWAN Investments   464286731    17664    1187871 SH         DEFINED    1,6                      1187871
 INDEX FUND         that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI KOREA  Investments   464286772    10832     168329 SH         DEFINED    6,10                      168329
 INDEX FUND         that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI        Investments   464286830      332      22465 SH         DEFINED    6                          22465
 MALAYSIA (FREE)    that contain
 INDEX FUND         a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES DJ SELECT   Investments   464287168     1910      36630 SH         DEFINED    1                          36630
 DIVIDEND INDEX     that contain
 FUND               a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES BARCLAYS    Investments   464287176    72501     664162 SH         DEFINED    1,2                       664162
 TIPS BOND FUND     that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES BARCLAYS    Investments   464287226     1856      17646 SH         DEFINED    1                          17646
 AGGREGATE BOND     that contain
 FUND               a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI        Investments   464287234   117333    2409798 SH         DEFINED    1,18                     2409798
 EMERGING MARKETS   that contain
 INDEX FUND         a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES IBOXX $     Investments   464287242    91029     841300 SH         DEFINED    2                         841300
 INVESTOP           that contain
 INVESTMENT GRADE   a pool of
 BOND FUND          securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES MSCI EAFE   Investments   464287465   474420    7895140 SH         DEFINED    1,2,6                    7895140
 INDEX FUND         that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES RUSSELL     Investments   464287614     1751      28953 SH         DEFINED    1                          28953
 1000 GROWTH INDEX  that contain
 FUND               a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES RUSSELL     Investments   464287655     1709      20310 SH         DEFINED    1                          20310
 2000 INDEX FUND    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES RUSSELL     Investments   464287689    23244     293348 SH         DEFINED    1                         293348
 3000 INDEX FUND    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR S&P MIDCAP 400 ETF           78467Y107   124113     691210 SH         DEFINED    1,2                       689114          2096
 ETF TRUST
MORGAN STANLEY      Closed end    61744H105      361      35428 SH         DEFINED    1,18                       35428
 EMERGING MARKETS   mutual fund
 DEBT FUND INC.
NUVEEN PENNSYLVANIA Closed end    670972108      348      26555 SH         DEFINED    1                          26555
 INVESTMENT QUALITY mutual fund
 MUNICIPAL FUND
 INC.
WESTERN ASSET       Closed end    95766E103      760      58578 SH         DEFINED    18                         58578
 EMERGING MARKETS   mutual fund
 INCOME FUND INC.
WESTERN ASSET       Closed end    95766A101      779      41576 SH         DEFINED    18                         41576
 EMERGING MARKETS   mutual fund
 DEBT FUND INC.
UTILITIES SELECT    ETF           81369Y886     1294      40554 SH         DEFINED    6                          40554
 SECTOR SPDR FUND
STREETTRACKS EURO   Investments   78463X202     9970     244900 SH         DEFINED    10                        244900
 STOXX 50 FUND      that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR DJ WILSHIRE    ETF           78464A607    20857     322985 SH         DEFINED    1,8                       322985
 REIT ETF
VANGUARD ETF REIT   Investments   922908553    71476    1222031 SH         DEFINED    1,2                      1222031
                    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES GOLD TRUST  Investments   464285105    51105    3647700 SH         DEFINED    2                        3647700
                    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES KLD SELECT  Investments   464288802      253       4415 SH         DEFINED    1                           4415
 SOCIAL INDEX FUND  that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
VANGUARD ETF        Investments   922042858  1002344   20489305 SH         DEFINED    1,2,10,18               20489305
 EMERGING MARKETS   that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
VANGUARD ETF        Investments   922042866      378       6768 SH         DEFINED    1                           6768
 PACIFIC            that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
VANGUARD ETF        Investments   922042874      389       7490 SH         DEFINED    1                           7490
 EUROPEAN           that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
RYDEX ETF RUSSELL   Investments   78355W205      946      10108 SH         DEFINED    1                          10108
 TOP 50             that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
CANADIAN NATURAL    Common equity 136385101      403       8150 SH         DEFINED    1,8,17                      4100          4050
 RESOURCES          shares
MINAS BUENAVENTURA  American      204448104   184747    4299431 SH         DEFINED    1,2,5,6,8,10,12,18       4299431
 SA                 Depository
                    Receipt
BRASKEM SA          American      105532105     2860     106227 SH         DEFINED    1,2,4,5,6,8,10            106227
                    Depository
                    Receipt
INFOSYS             American      456788108   166962    2328625 SH         DEFINED    1,2,4,5,6,8              2328625
 TECHNOLOGIES LTD   Depository
                    Receipt
KEPCO-KOREA ELEC    American      500631106     3093     252664 SH         DEFINED    1,2,6,18                  252664
 POWER CORP         Depository
                    Receipt
POSCO               American      693483109    17587     153880 SH         DEFINED    1,2,4,6,18                153880
                    Depository
                    Receipt
RYANAIR HOLDINGS    American      783513104     9594     345114 SH         DEFINED    1,2,5,6                   345114
 PLC                Depository
                    Receipt
SAP AG              American      803054204     7659     124817 SH         DEFINED    1,2                       124817
                    Depository
                    Receipt
TAIWAN              American      874039100    84827    6964384 SH         DEFINED    1,2,4,5,6,8,18           6964384
 SEMICONDUCTOR MFG  Depository
 CO                 Receipt
CREDICORP LTD       Common equity G2519Y108   168137    1602378 SH         DEFINED    1,2,5,6,8,10,12,18       1602378
                    shares
INDOSAT TBK         American      744383100      492      16208 SH         DEFINED    1,2,6                      16208
                    Depository
                    Receipt
THOMSON-REUTERS     Common equity 884903105   137376    3500869 SH         DEFINED    1,2,5,6,17               3500869
 CORP               shares
CHUNGHWA TELECOM    American      17133Q502     5188     166477 SH         DEFINED    1,2,6,8,12                166477
 LTD                Depository
                    Receipt
SHINHAN FINANCIAL   American      824596100     2084      23006 SH         DEFINED    1,2,6,18                   23006
 GROUP LTD          Depository
                    Receipt
CTRIP.COM INTL LTD  American      22943F100    66175    1594935 SH         DEFINED    1,2,4,5,6                1594935
 -ADR               Depository
                    Receipt
DIAMONDROCK         Real Estate   252784301    65073    5825602 SH         DEFINED    1,2,3,5,6,8              5825602
 HOSPITALITY CO     Investment
                    Trust
FRANKLIN STREET     Real Estate   35471R106    33755    2399308 SH         DEFINED    1,2,3,5,6,8              2399308
 PROPERTIES         Investment
                    Trust
XENOPORT INC        Common Stock  98411C100     4013     676690 SH         DEFINED    1,2,5,6,8                 676690
HERCULES TECHNOLOGY Common equity 427096508    10443     949268 SH         DEFINED    1,2,8                     949268
 GROWTH CAPITAL     shares
 INC.
LHC GROUP INC       Common equity 50187A107     9955     331808 SH         DEFINED    1,2,5,6,8                 331808
                    shares
SILICON GRAPHICS    Common equity 82706L108    12844     600336 SH         DEFINED    1,2,6,8                   600336
 INTL CORP          shares
TREEHOUSE FOODS INC Common equity 89469A104    47502     835316 SH         DEFINED    1,2,5,6,8                 835316
                    shares
CHINA SECURITY &    Common equity 16942J105       78      16900 SH         DEFINED    1,6,8                      16900
 SURV TECH          shares
BUILDERS            Common equity 12008R107     2606     917713 SH         DEFINED    1,2                       917713
 FIRSTSOURCE        shares
GLADSTONE           Common equity 376546107     3140     404195 SH         DEFINED    1,2                       404195
 INVESTMENT CORP/DE shares
LINCOLN EDUCATIONAL Common Stock  533535100     5258     330846 SH         DEFINED    1,2,6,8                   330846
 SERVICES
EAGLE BULK SHIPPING Common equity Y2187A101     4740    1274039 SH         DEFINED    1,2,5,8                  1274039
 INC                shares
BANKFINANCIAL CORP  Common equity 06643P104     3608     392915 SH         DEFINED    1,2,17                    392915
                    shares
KENEXA CORP         Common equity 488879107    13690     496187 SH         DEFINED    1,2,5,6,8                 496187
                    shares
DSW INC             Common equity 23334L102    24771     619936 SH         DEFINED    1,2,5,6,8                 619936
                    shares
NEUSTAR INC         Common equity 64126X201    48700    1903661 SH         DEFINED    1,2,5,6,8,12             1903661
                    shares
HERITAGE FINANCIAL  Common equity 42726X102      242      19038 SH         DEFINED    1,2                        19038
 GP INC             shares
SILICON MOTION TECH American      82706C108     1076     133183 SH         DEFINED    2                         133183
 -ADR               Depository
                    Receipt







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
VOLCOM INC          Common equity 92864N101     7081     381928 SH         DEFINED    1,2,5,6,8                 381928
                    shares
WESTERN ALLIANCE    Common equity 957638109    10870    1322444 SH         DEFINED    1,2,5,6,8                1322444
 BANCORP            shares
DISCOVERY           Common equity 25470F104   356720    8940030 SH         DEFINED    1,2,5,6,8,10,12,18       8940030
 COMMUNICATIONS INC shares
GRAN TIERRA ENERGY  Common equity 38500T101      570      70684 SH         DEFINED    1,5,6                      70684
 INC                shares
MEDICAL PROPERTIES  Real Estate   58463J304    31827    2750670 SH         DEFINED    1,2,3,5,6,8              2750670
 TRUST              Investment
                    Trust
FOCUS MEDIA HOLDING American      34415V109     6587     214756 SH         DEFINED    1,2,6                     214756
 LTD -ADR           Depository
                    Receipt
UNITED FINANCIAL    Common equity 91030T109     5808     351664 SH         DEFINED    1,2,17                    351664
 BANCORP INC        shares
EXPEDIA INC         Common equity 30212P105   184107    8124787 SH         DEFINED    1,2,5,6,8,10,12,18       8124787
                    shares
ROYAL DUTCH SHELL   American      780259206     3246      44564 SH         DEFINED    1,2                        44564
 PLC                Depository
                    Receipt
DIAMOND FOODS INC   Common equity 252603105    26015     466191 SH         DEFINED    1,2,5,6,8                 466191
                    shares
CONSOLIDATED COMM   Common Stock  209034107     9243     493802 SH         DEFINED    1,2,6,8,17                493802
 HLDGS INC
HITTITE MICROWAVE   Common equity 43365Y104    43745     685955 SH         DEFINED    1,2,5,6,8                 685955
 CORP               shares
MAIDENFORM BRANDS   Common equity 560305104    15272     534678 SH         DEFINED    1,2,6,8                   534678
 INC                shares
GENCO SHIPPING &    Common equity Y2685T107     6433     597077 SH         DEFINED    1,2,5,8                   597077
 TRADING            shares
ITC HOLDINGS CORP   Common equity 465685105    52090     745065 SH         DEFINED    1,2,5,6,8                 745065
                    shares
PIKE ELECTRIC CORP  Common equity 721283109     2836     297762 SH         DEFINED    1,2,5,6                   297762
                    shares
ALON USA ENERGY INC Common equity 020520102     2840     207318 SH         DEFINED    1,2,8                     207318
                    shares
JAMBA INC           Common equity 47023A101     1953     887568 SH         DEFINED    1,2                       887568
                    shares
OMEGA FLEX INC      Common equity 682095104      582      43338 SH         DEFINED    1,2                        43338
                    shares
MWI VETERINARY      Common equity 55402X105    21593     267632 SH         DEFINED    1,2,5,6,8                 267632
 SUPPLY             shares
ADVANCED ANALOGIC   Common equity 00752J108     3047     806158 SH         DEFINED    1,2,6                     806158
 TECH               shares
BAIDU INC -ADR      American      056752108    90283     655130 SH         DEFINED    1,2,6                     655130
                    Depository
                    Receipt
DRESSER-RAND GROUP  Common equity 261608103    70313    1311300 SH         DEFINED    1,2,5,6,8                1311300
 INC                shares
HOKU CORP           Common equity 434711107      498     248937 SH         DEFINED    1,2                       248937
                    shares
RUTHS HOSPITALITY   Common equity 783332109     2841     550586 SH         DEFINED    1,2                       550586
 GROUP INC          shares
SEASPAN CORP        Common equity Y75638109      290      14942 SH         DEFINED    1,5                        14942
                    shares
CHINA MEDICAL       American      169483104      579      49655 SH         DEFINED    1,2,6                      49655
 TECHNOLGS -ADR     Depository
                    Receipt
FIRST SECURITY      Common equity 336312103       14      16100 SH         DEFINED    1                          16100
 GROUP INC          shares
RBC BEARINGS INC    Common equity 75524B104    17067     446392 SH         DEFINED    1,2,5,6,8                 446392
                    shares
REDDY ICE HOLDINGS  Common equity 75734R105       53      17877 SH         DEFINED    1                          17877
 INC                shares
CF INDUSTRIES       Common equity 125269100   390774    2856764 SH         DEFINED    1,2,5,6,8,10,12,18       2856764
 HOLDINGS INC       shares
HEARTLAND PAYMENT   Common equity 42235N108    14166     807991 SH         DEFINED    1,2,5,6,8                 807991
 SYSTEMS            shares
LORAL SPACE &       Common equity 543881106    16526     213050 SH         DEFINED    1,2,5,6,8                 213050
 COMMUNICATIONS     shares
BRONCO DRILLING CO  Common Stock  112211107      244      21546 SH         DEFINED    1                          21546
ROCKWOOD HOLDINGS   Common equity 774415103    59547    1209772 SH         DEFINED    1,2,5,6,8,17             1209772
 INC                shares
WILLIAMS PARTNERS   Limited       96950F104     4759      91871 SH         DEFINED    1                          91871
 LP                 Partnership
ACCO BRANDS CORP    Common equity 00081T108    12710    1331969 SH         DEFINED    1,2,5,8                  1331969
                    shares
LIBERTY GLOBAL INC  Common equity 530555309    31964     799353 SH         DEFINED    1,2,5,8,10,12,18          799353
                    shares
KAPSTONE PAPER &    Common Stock  48562P103    12907     751890 SH         DEFINED    1,2,6,8                   751890
 PACKAGING
AMERIPRISE          Common equity 03076C106   610443    9994238 SH         DEFINED    1,2,5,6,8,10,12,17,18    9994238
 FINANCIAL INC      shares
HSBC HLDGS PLC      Public        404280604      728      30128 SH         DEFINED    2                          30128
                    preferred
                    instrument
IKANOS              Common equity 45173E105      491     431615 SH         DEFINED    1,2                       431615
 COMMUNICATIONS INC shares
GLOBAL CASH ACCESS  Common equity 378967103     3931    1202296 SH         DEFINED    1,2,5,6,8                1202296
 HOLDINGS           shares
HORIZON LINES INC   Common equity 44044K101      548     648249 SH         DEFINED    1,2                       648249
                    shares
SUNESIS             Common Stock  867328601       29      14699 SH         DEFINED    1                          14699
 PHARMACEUTICALS
 INC
CARIBOU COFFEE CO   Common Stock  142042209     1191     117610 SH         DEFINED    1,2                       117610
GENOMIC HEALTH INC  Common Stock  37244C101     6911     280875 SH         DEFINED    1,2,5,6,8                 280875
TALEO CORP          Common Stock  87424N104    30421     853210 SH         DEFINED    1,2,5,6,8                 853210
WEBMD HEALTH CORP   Common equity 94770V102    42759     800512 SH         DEFINED    1,2,5,6,8,12              800512
                    shares
SPORT CHALET INC    Common equity 849163209       25      12900 SH         DEFINED    1                          12900
                    shares
VISTAPRINT NV       Common equity N93540107    30520     587974 SH         DEFINED    1,2,5,6,8                 587974
                    shares
FIDELITY NATIONAL   Common equity 31620R105   105898    7494748 SH         DEFINED    1,2,5,6,8,10,12,18       7494748
 FINANCIAL          shares
WATERSTONE          Common equity 941888109      430     139727 SH         DEFINED    1,2                       139727
 FINANCIAL INC      shares
PHARMATHENE INC     Common equity 71714G102       43      13500 SH         DEFINED    1                          13500
                    shares
INVESTORS BANCORP   Common equity 46146P102    15276    1026037 SH         DEFINED    1,2,5,6,8                1026037
 INC                shares
TAL INTERNATIONAL   Common equity 874083108    13974     385223 SH         DEFINED    1,2,5,6,8                 385223
 GROUP INC          shares
DHT HOLDINGS INC    Common equity Y2065G105     6539    1358735 SH         DEFINED    1,2                      1358735
                    shares
NCI INC             Common equity 62886K104     3328     136700 SH         DEFINED    1,2,6                     136700
                    shares
COGDELL SPENCER INC Real Estate   19238U107     5496     925725 SH         DEFINED    1,2,3,8                   925725
                    Investment
                    Trust
HERCULES OFFSHORE   Common equity 427093109    33913    5130506 SH         DEFINED    1,2,5,6,8                5130506
 INC                shares
NXSTAGE MEDICAL INC Common Stock  67072V103    12966     589966 SH         DEFINED    1,2,6,8                   589966
MELA SCIENCES INC   Common equity 55277R100     1599     453847 SH         DEFINED    1,2,6                     453847
                    shares
CBEYOND INC         Common equity 149847105     6772     580041 SH         DEFINED    1,2,5,6,8                 580041
                    shares
WEB.COM GROUP INC   Common Stock  94733A104      304      20853 SH         DEFINED    1                          20853
BOARDWALK PIPELINE  Limited       096627104     4645     142209 SH         DEFINED    1                         142209
 PRTNRS-LP          Partnership
ZALICUS INC         Common equity 98887C105     3914    1617231 SH         DEFINED    1,2                      1617231
                    shares
IROBOT CORP         Common Stock  462726100    21883     665436 SH         DEFINED    1,2,6,8                   665436
CLEAR CHANNEL       Common equity 18451C109     7429     510639 SH         DEFINED    1,2,5,6,8                 510639
 OUTDOOR HLDGS      shares
IHS INC             Common equity 451734107    68534     772158 SH         DEFINED    1,2,5,6,8,10,12,18        772158
                    shares
SPDR S&P DIVIDEND   Investments   78464A763   275632    5089266 SH         DEFINED    1,2                      5089266
 ETF                that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR DJ WILSHIRE    Investments   78464A813     1125      15899 SH         DEFINED    2                          15899
 SMALL CAP ETF      that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
INTERCONTINENTAL    Common equity 45865V100   335762    2717840 SH         DEFINED    1,2,5,6,8,10,12,18       2717840
 EXCHANGE INC       shares
SUNPOWER CORP       Common equity 867652109    22012    1284344 SH         DEFINED    1,2,5,6,8,10,18          1284344
                    shares
AMERISAFE INC       Common equity 03071H100     8355     377961 SH         DEFINED    1,2,8                     377961
                    shares
UNDER ARMOUR INC    Common equity 904311107    89994    1322470 SH         DEFINED    1,2,5,6,8,12             1322470
                    shares
BROOKDALE SENIOR    Common equity 112463104    26375     942019 SH         DEFINED    1,2,5,6,8                 942019
 LIVING INC         shares
UNION DRILLING INC  Common equity 90653P105     3293     321556 SH         DEFINED    1,2                       321556
                    shares
DCP MIDSTREAM       Limited       23311P100     1631      40275 SH         DEFINED    1                          40275
 PARTNERS LP        Partnership
VOCUS INC           Common Stock  92858J108     8652     334583 SH         DEFINED    1,2,5,6,8                 334583
VIACOM INC          Common equity 92553P201  1141147   24530449 SH         DEFINED    1,2,5,6,8,10,12,17,18   23850213          6760
                    shares                                                            ,19
BASIC ENERGY        Common equity 06985P100    23742     930721 SH         DEFINED    1,2,5,6                   930721
 SERVICES INC       shares
CYNOSURE INC        Common equity 232577205     2669     191885 SH         DEFINED    1,2                       191885
                    shares
DEALERTRACK         Common equity 242309102    20405     888600 SH         DEFINED    1,2,5,6,8                 888600
 HOLDINGS INC       shares
LIVE NATION         Common equity 538034109    33431    3342779 SH         DEFINED    1,2,5,6,8                3342779
 ENTERTAINMENT      shares
DELIAS INC          Common equity 246911101       51      28364 SH         DEFINED    1                          28364
                    shares
SUNTECH POWER       American      86800C104     3743     379542 SH         DEFINED    1,2,6                     379542
 HOLDINGS  -ADR     Depository
                    Receipt
SOMAXON             Common Stock  834453102     1649     581714 SH         DEFINED    1,2                       581714
 PHARMACEUTICALS
 INC
COPA HOLDINGS SA    Common equity P31076105    54528    1032708 SH         DEFINED    1,2,4,5,6,17             1032708
                    shares
EMERGENCY MEDICAL   Common equity 29100P102    23804     374283 SH         DEFINED    1,2,5,6,8                 374283
 SVCS CORP          shares
URANIUM ENERGY CORP Common equity 916896103     4582    1147002 SH         DEFINED    1,2,6                    1147002
                    shares
LINN ENERGY LLC     Composition   536020100      696      17883 SH         DEFINED    1,5                        17883
                    of more than
                    1 security
WESTERN REFINING    Common equity 959319104    40773    2405700 SH         DEFINED    1,2,5,6,8                2405700
 INC                shares
AMERICAN RAILCAR    Common equity 02916P103     5272     211526 SH         DEFINED    1,2,5,6                   211526
 INDS INC           shares
SMART BALANCE INC   Common Stock  83169Y108     7544    1643003 SH         DEFINED    1,2,6,8                  1643003
CHIPOTLE MEXICAN    Common equity 169656105   273738    1005034 SH         DEFINED    1,2,5,6,8,10,12,18       1005034
 GRILL INC          shares
UNITED CONTINENTAL  Common Stock  910047109    93132    4050990 SH         DEFINED    1,2,5,6,8,10,12,18       4050990
 HLDGS INC
H&E EQUIPMENT       Common equity 404030108    11728     601041 SH         DEFINED    1,2,5,6                   601041
 SERVICES INC       shares
REGENCY ENERGY      Limited       75885Y107     2540      93005 SH         DEFINED    1                          93005
 PARTNERS LP        Partnership
KOPPERS HOLDINGS    Common equity 50060P106    18856     441615 SH         DEFINED    1,2,5,6,8                 441615
 INC                shares
TERNIUM SA -ADR     American      880890108    40191    1118295 SH         DEFINED    1,2,4,5                  1118295
                    Depository
                    Receipt
CARDICA INC         Common equity 14141R101       38      10800 SH         DEFINED    1                          10800
                    shares
ENERGY TRANSFER     Limited       29273V100    11683     259629 SH         DEFINED    1                         259629
 EQUITY LP          Partnership
HEALTHSPRING INC    Common equity 42224N101    52509    1405080 SH         DEFINED    1,2,5,6,8                1405080
                    shares
SMART MODULAR       Common equity G82245104     8322    1071167 SH         DEFINED    1,2,5,6,8                1071167
 TECHNOLOGIES       shares
RESOURCE CAPITAL    Common equity 76120W302     6338     962336 SH         DEFINED    1,2,8                     962336
 CORP               shares
CROCS INC           Common equity 227046109    32781    1837722 SH         DEFINED    1,2,5,6,8                1837722
                    shares
EXCO RESOURCES INC  Common equity 269279402    57838    2799634 SH         DEFINED    1,2,5,6,8                2799634
                    shares
NTELOS HOLDINGS     Common equity 67020Q107    11911     647008 SH         DEFINED    1,2,5,6,8                 647008
 CORP               shares
ACORDA THERAPEUTICS Common Stock  00484M106    33404    1439848 SH         DEFINED    1,2,5,6,8                1439848
 INC
ROSETTA RESOURCES   Common equity 777779307    74204    1560756 SH         DEFINED    1,2,5,6,8                1560756
 INC                shares
MORGANS HOTEL GROUP Common equity 61748W108     4251     433467 SH         DEFINED    1,2                       433467
 CO                 shares
NORTHERN OIL & GAS  Common equity 665531109    68912    2581158 SH         DEFINED    1,2,6,8,12               2581158
 INC                shares
HUGHES              Common equity 444398101    10383     173947 SH         DEFINED    1,2,5,6,8                 173947
 COMMUNICATIONS INC shares
LIQUIDITY SERVICES  Common equity 53635B107     5990     335260 SH         DEFINED    1,2,6                     335260
 INC                shares
GRUPO AEROPORTUARIO American      400506101     3833      90209 SH         DEFINED    1,5,6                      90209
 DEL PACI           Depository
                    Receipt
AMERICAN APPAREL    Common equity 023850100      546     565062 SH         DEFINED    1,2                       565062
 INC                shares
ALEXZA PHARMACTCLS  Common equity 015384100     1084     638632 SH         DEFINED    1,2                       638632
 INC                shares
NYSE EURONEXT       Common equity 629491101   353386   10048091 SH         DEFINED    1,2,5,6,8,10,12,18      10048091
                    shares
TAM SA              American      87484D103     1404      71165 SH         DEFINED    1,2,4,6,10                 71165
                    Depository
                    Receipt
GREEN PLAINS        Common Stock  393222104     3871     322026 SH         DEFINED    1,2                       322026
 RENEWABLE ENRGY
TRANSDIGM GROUP INC Common equity 893641100    45977     548474 SH         DEFINED    1,2,5,6,8                 548474
                    shares
TIM HORTONS INC     Common equity 88706M103     5722     126233 SH         DEFINED    1,5,8,18                  126233
                    shares
HIMAX TECHNOLOGIES  American      43289P106      940     396541 SH         DEFINED    1,2                       396541
 INC                Depository
                    Receipt
PORTLAND GENERAL    Common equity 736508847    42731    1797502 SH         DEFINED    1,2,5,6,8,17             1797502
 ELECTRIC CO        shares
SEALY CORP          Common equity 812139301     2305     906376 SH         DEFINED    1,2,5,6                   906376
                    shares
TARGACEPT INC       Common Stock  87611R306    15028     565065 SH         DEFINED    1,2,5,6,8                 565065
VANDA               Common equity 921659108     5508     756066 SH         DEFINED    1,2                       756066
 PHARMACEUTICALS    shares
 INC
COMPLETE PRODUCTION Common equity 20453E109    71684    2253374 SH         DEFINED    1,2,5,6,8,17             2253374
 SERVICES           shares
BARCLAYS BK PLC     Public        06739F390      639      26528 SH         DEFINED    2                          26528
                    preferred
                    instrument
DELEK US HOLDINGS   Common equity 246647101     4143     305674 SH         DEFINED    1,2,5                     305674
 INC                shares
LIBERTY MEDIA       Common equity 53071M104   185373   11556928 SH         DEFINED    1,2,5,6,8,10,12,18      11556928
 INTERACTIVE        shares
LIBERTY MEDIA       Common equity 53071M302    64047     869397 SH         DEFINED    1,2,5,6,8                 869397
 CAPITAL GROUP      shares
TRANSCEPT           Common equity 89354M106      624      76501 SH         DEFINED    1,2                        76501
 PHARMACEUTICALS    shares
COMPASS DIVERSIFIED Common Stock  20451Q104    10834     735056 SH         DEFINED    1,2,6                     735056
 HOLDINGS
BIOMIMETIC          Common Stock  09064X101     4092     312325 SH         DEFINED    1,2,5,6                   312325
 THERAPEUTICS INC
PENSON WORLDWIDE    Common equity 709600100     2624     391326 SH         DEFINED    1,2                       391326
 INC                shares
VONAGE HOLDINGS     Common equity 92886T201     9755    2139538 SH         DEFINED    1,2,6,8                  2139538
 CORP               shares
MASTERCARD INC      Common equity 57636Q104   884734    3514790 SH         DEFINED    1,2,5,6,8,10,12,18       3514790
                    shares
MUELLER WATER       Common equity 624758108    16055    3583878 SH         DEFINED    1,2,5,6,8                3583878
 PRODUCTS INC       shares
CTC MEDIA INC       Common equity 12642X106     1321      56050 SH         DEFINED    1,2,5,8                    56050
                    shares
ALPHATEC HOLDINGS   Common Stock  02081G102     2227     824984 SH         DEFINED    1,2,8                     824984
 INC
TOWN SPORTS INTL    Common equity 89214A102       60      11700 SH         DEFINED    1                          11700
 HOLDINGS           shares
LOOPNET INC         Common equity 543524300     6184     436846 SH         DEFINED    1,2,6,8                   436846
                    shares
VERIGY LTD          Common equity Y93691106     2103     149340 SH         DEFINED    1,2,5,6,8                 149340
                    shares
HOUSTON WIRE &      Common equity 44244K109     4850     331874 SH         DEFINED    1,2,6                     331874
 CABLE CO           shares
KAISER ALUMINUM     Common equity 483007704    33711     684452 SH         DEFINED    1,2,5,6,8                 684452
 CORP               shares
SYNCHRONOSS         Common Stock  87157B103    16634     478737 SH         DEFINED    1,2,5,6,8                 478737
 TECHNOLOGIES
VOLCANO CORP        Common Stock  928645100    26729    1044145 SH         DEFINED    1,2,5,6,8                1044145
HOME BANCSHARES INC Common equity 436893200    10059     442033 SH         DEFINED    1,2,5,6,8                 442033
                    shares
PGT INC             Common equity 69336V101      628     267535 SH         DEFINED    1,2                       267535
                    shares
ROMA FINANCIAL CORP Common equity 77581P109     1598     144606 SH         DEFINED    1,2,17                    144606
                    shares
ALLIED WORLD        Common equity H01531104    29681     473446 SH         DEFINED    1,2,5,6,8,17              473446
 ASSURANCE CO AG    shares
WYNDHAM WORLDWIDE   Common equity 98310W108   181937    5719314 SH         DEFINED    1,2,5,6,8,10,12,17,18    5719314
 CORP               shares
ATLAS ENERGY LP     Limited       04930A104     5154     230694 SH         DEFINED    1,2,5,6                   230694
                    Partnership
CLEVELAND BIOLABS   Common Stock  185860103      108      14400 SH         DEFINED    1                          14400
 INC
ISHARES GSCI        Investments   46428R107      838      22439 SH         DEFINED    1                          22439
 COMMODITY INDEXED  that contain
 TRUST              a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
CHART INDUSTRIES    Common equity 16115Q308    31639     574826 SH         DEFINED    1,2,5,6,8                 574826
 INC                shares
GEOMET INC          Common equity 37250U201       30      17600 SH         DEFINED    1                          17600
                    shares
OSIRIS THERAPEUTICS Common equity 68827R108     2190     301133 SH         DEFINED    1,2,6                     301133
 INC                shares
WESTINGHOUSE SOLAR  Common equity 96040V101        6      13600 SH         DEFINED    1                          13600
 INC                shares
AIRCASTLE LTD       Common equity G0129K104    13706    1135703 SH         DEFINED    1,2,5,6,8                1135703
                    shares
ASCENT SOLAR        Common equity 043635101       40      14000 SH         DEFINED    1                          14000
 TECHNOLOGIES       shares
EVERCORE PARTNERS   Common equity 29977A105    11486     335047 SH         DEFINED    1,2,6,8                   335047
 INC                shares
VIASYSTEMS GROUP    Common equity 92553H803     1764      64654 SH         DEFINED    1,2                        64654
 INC                shares
HANESBRANDS INC     Common equity 410345102   123454    4565582 SH         DEFINED    1,2,5,6,8,12,19          2624299
                    shares
INNERWORKINGS INC   Common equity 45773Y105     3606     489262 SH         DEFINED    1,2,5,6                   489262
                    shares
BARCLAYS IPATH DJ   Investments   06738C778     2275      44271 SH         DEFINED    1                          44271
 UBS COMMODITY TR   that contain
 ETN                a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
CHINA INFORMATION   Common equity 16950L109       35      12600 SH         DEFINED    1,6                        12600
 TECHNOLOGY         shares
NEW ORIENTAL ED &   American      647581107    18336     183231 SH         DEFINED    1,2,6,18                  183231
 TECH -ADR          Depository
                    Receipt
GOLD RESOURCE CORP  Common equity 38068T105      227       8505 SH         DEFINED    1,8                         8505
                    shares
WESTERN UNION CO    Common equity 959802109   489379   23562230 SH         DEFINED    1,2,5,6,8,10,12,18      23562230
                    shares
KAYNE ANDERSON      Common equity 48660Q102     3903     199560 SH         DEFINED    1,2,17                    199560
 ENERGY DEVELOPMENT shares
 CO.
RIVERBED TECHNOLOGY Common equity 768573107   193409    5137146 SH         DEFINED    1,2,5,6,8,12             5137146
 INC                shares
TOWERSTREAM CORP    Common equity 892000100       85      21782 SH         DEFINED    1                          21782
                    shares
WARNER CHILCOTT PLC Common equity G94368100    51929    2230266 SH         DEFINED    1,2,5,6,8,10,12,18       2230266
                    shares
COMMVAULT SYSTEMS   Common equity 204166102    36744     921127 SH         DEFINED    1,2,5,6,8                 921127
 INC                shares
PORTER BANCORP INC  Common equity 736233107      354      44560 SH         DEFINED    1,2                        44560
                    shares
MINDRAY MEDICAL     American      602675100     2715     107732 SH         DEFINED    1,2,6                     107732
 INTL -ADR          Depository
                    Receipt
EV ENERGY PARTNERS  Limited       26926V107     3200      59550 SH         DEFINED    1                          59550
 LP                 Partnership
ICF INTERNATIONAL   Common equity 44925C103     6199     301988 SH         DEFINED    1,2,6,8                   301988
 INC                shares
SHUTTERFLY INC      Common equity 82568P304    44081     841850 SH         DEFINED    1,2,5,6,8                 841850
                    shares
FOX CHASE BANCORP   Common equity 35137T108     1977     142123 SH         DEFINED    1,2                       142123
 INC                shares
VIEWPOINT FINANCIAL Common equity 92672A101     3930     302359 SH         DEFINED    1,2,8                     302359
 GROUP              shares
BREITBURN ENERGY    Limited       106776107     1633      75154 SH         DEFINED    1                          75154
 PARTNERS LP        Partnership
OWENS CORNING       Common equity 690742101    78636    2184810 SH         DEFINED    1,2,5,6,8                2184810
                    shares
ARMSTRONG WORLD     Common equity 04247X102    30789     665456 SH         DEFINED    1,2,5,6,8                 665456
 INDUSTRIES         shares
ACME PACKET INC     Common Stock  004764106    69233     975671 SH         DEFINED    1,2,5,6,8                 975671
EHEALTH INC         Common Stock  28238P109     6626     498405 SH         DEFINED    1,2,5,6,8                 498405
SAIC INC            Common equity 78390X101   187166   11061975 SH         DEFINED    1,2,5,6,8,10,12,18      11061975
                    shares
ULTRAPETROL BAHAMAS Common equity P94398107     1940     381984 SH         DEFINED    1,2                       381984
 LTD                shares
SUSSER HOLDINGS     Common equity 869233106     1984     151710 SH         DEFINED    1,2                       151710
 CORP               shares
EXLSERVICE HOLDINGS Common equity 302081104     6266     296229 SH         DEFINED    1,2,5,6                   296229
 INC                shares
DOUGLAS EMMETT INC  Real Estate   25960P109    57523    3067632 SH         DEFINED    1,2,3,5,6,8              3067632
                    Investment
                    Trust
CADENCE             Common equity 12738T100     5096     553203 SH         DEFINED    1,2,6,8                   553203
 PHARMACEUTICALS    shares
 INC
PRIMORIS SERVICES   Common Stock  74164F103     3909     385837 SH         DEFINED    1,2                       385837
 CORP
ACHILLION           Common equity 00448Q201      122      17033 SH         DEFINED    1                          17033
 PHARMACEUTICALS    shares
ASSISTED LIVING     Common equity 04544X300     8921     227908 SH         DEFINED    1,2,5,6,8                 227908
 CONCEPTS INC       shares
HOME INNS & HOTELS  American      43713W107     4191     105926 SH         DEFINED    1,2,6                     105926
 MNGT -ADR          Depository
                    Receipt
GLOBALSTAR INC      Common equity 378973408     1271    1000174 SH         DEFINED    1,2                      1000174
                    shares
INNOPHOS HOLDINGS   Common Stock  45774N108    20473     444037 SH         DEFINED    1,2,5,6,8                 444037
 INC
ORBCOMM INC         Common equity 68555P100       90      27025 SH         DEFINED    1                          27025
                    shares
MIZUHO FINANCIAL    American      60687Y109       56      16640 SH         DEFINED    1                          16640
 GROUP INC          Depository
                    Receipt
KBW INC             Common equity 482423100    18714     714674 SH         DEFINED    1,2,5,6,8                 714674
                    shares
ONEBEACON INSURANCE Common equity G67742109     4326     319922 SH         DEFINED    1,2,6,8                   319922
 GROUP              shares
CAPELLA EDUCATION   Common equity 139594105    17960     360556 SH         DEFINED    1,2,5,6,8                 360556
 CO                 shares
METABOLIX INC       Common equity 591018809     5335     507696 SH         DEFINED    1,2,6,8                   507696
                    shares
SOLTA MEDICAL INC   Common Stock  83438K103     3015     913443 SH         DEFINED    1,2                       913443
AMTRUST FINANCIAL   Common equity 032359309    10167     533219 SH         DEFINED    1,2,5,8                   533219
 SERVICES           shares
SALLY BEAUTY        Common equity 79546E104    41435    2957956 SH         DEFINED    1,2,5,6,8                2957956
 HOLDINGS INC       shares
WINN-DIXIE STORES   Common equity 974280307     8661    1213045 SH         DEFINED    1,2,5,8                  1213045
 INC                shares
EMERGENT            Common equity 29089Q105    13873     574290 SH         DEFINED    1,2,6,8                   574290
 BIOSOLUTIONS INC   shares
HANSEN MEDICAL INC  Common equity 411307101     1467     663616 SH         DEFINED    1,2                       663616
                    shares
HERTZ GLOBAL        Common equity 42805T105    42290    2705665 SH         DEFINED    1,2,5,6,8                2705665
 HOLDINGS INC       shares
KBR INC             Common equity 48242W106   194048    5137529 SH         DEFINED    1,2,5,6,8,10,12,17,18    5137529
                    shares
FIRST SOLAR INC     Common equity 336433107   315416    1961033 SH         DEFINED    1,2,5,6,8,10,12,18       1961033
                    shares
VENOCO INC          Common equity 92275P307     6852     400935 SH         DEFINED    1,2,5,6,8                 400935
                    shares
SPIRIT AEROSYSTEMS  Common equity 848574109    31681    1234194 SH         DEFINED    1,2,5,6,8                1234194
 HOLDINGS           shares
AERCAP HOLDINGS NV  Common equity N00985106      767      61019 SH         DEFINED    1,2,5                      61019
                    shares
NETLIST INC         Common equity 64118P109       35      14000 SH         DEFINED    1                          14000
                    shares
ALLEGIANT TRAVEL CO Common equity 01748X102    14001     319600 SH         DEFINED    1,2,5,6,8,17              319600
                    shares
HEELYS INC          Common Stock  42279M107       25      11200 SH         DEFINED    1                          11200







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
DCT INDUSTRIAL      Real Estate   233153105    44777    8068537 SH         DEFINED    1,2,3,5,6,8              8068537
 TRUST INC          Investment
                    Trust
GUIDANCE SOFTWARE   Common equity 401692108     1781     212559 SH         DEFINED    1,2                       212559
 INC                shares
IPG PHOTONICS CORP  Common equity 44980X109    29727     515380 SH         DEFINED    1,2,5,6,8                 515380
                    shares
CAL DIVE            Common equity 12802T101    19436    2784926 SH         DEFINED    1,2,5,6,8                2784926
 INTERNATIONAL INC  shares
NEWSTAR FINANCIAL   Common Stock  65251F105     5867     537545 SH         DEFINED    1,2,6,8                   537545
 INC
OBAGI MEDICAL       Common equity 67423R108     4034     319231 SH         DEFINED    1,2,6                     319231
 PRODUCTS INC       shares
SPECTRA ENERGY CORP Common equity 847560109   781886   28767108 SH         DEFINED    1,2,5,6,8,10,12,17,18   28767108
                    shares
TEEKAY OFFSHORE     Limited       Y8565J101     1599      52426 SH         DEFINED    1                          52426
 PARTNERS LP        Partnership
AFFYMAX INC         Common Stock  00826A109     2087     355756 SH         DEFINED    1,2,8                     355756
ALTRA HOLDINGS INC  Common equity 02208R106    14401     609669 SH         DEFINED    1,2,6,8                   609669
                    shares
CARROLS RESTAURANT  Common equity 14574X104     1964     212130 SH         DEFINED    1,2                       212130
 GROUP INC          shares
MELCO CROWN ENTMT   Depository    585464100      295      38904 SH         DEFINED    1,2,5,6                    38904
 LTD -ADR           Receipt
NEURALSTEM INC      Common equity 64127R302     1260     701342 SH         DEFINED    1,2                       701342
                    shares
GREAT LAKES DREDGE  Common Stock  390607109    12359    1619529 SH         DEFINED    1,2,6,8                  1619529
 & DOCK CP
PROLOR BIOTECH INC  Common equity 74344F106      210      35014 SH         DEFINED    1,6                        35014
                    shares
PARK STERLING CORP  Common equity 70086Y105       72      14800 SH         DEFINED    1                          14800
                    shares
ZION OIL & GAS INC  Common equity 989696109       71      14633 SH         DEFINED    1,2                        14633
                    shares
TIME WARNER CABLE   Common Stock  88732J207   893852   12529481 SH         DEFINED    1,2,5,6,8,10,12,17,18   12529481
 INC
LEGACY RESERVES LP  Limited       524707304     2139      68250 SH         DEFINED    1                          68250
                    Partnership
AEROVIRONMENT INC   Common equity 008073108    11666     333844 SH         DEFINED    1,2,5,6,8                 333844
                    shares
ORITANI FINANCIAL   Common equity 68633D103    13629    1074538 SH         DEFINED    1,2,5,6,8                1074538
 CORP               shares
OCULUS INNOVATIVE   Common equity 67575P108       21      10600 SH         DEFINED    1                          10600
 SCIENCES           shares
ANIMAL HEALTH INTL  Common equity 03525N109       51      12200 SH         DEFINED    1                          12200
 INC                shares
DUNCAN ENERGY       Limited       265026104     1885      46549 SH         DEFINED    1                          46549
 PARTNERS LP        Partnership
EMPLOYERS HOLDINGS  Common equity 292218104    18172     879393 SH         DEFINED    1,2,5,6,8                 879393
 INC                shares
HFF INC             Common equity 40418F108     4364     289819 SH         DEFINED    1,2                       289819
                    shares
CENTRAL GARDEN &    Common equity 153527205    13179    1431145 SH         DEFINED    1,2,5,6,8                1431145
 PET CO             shares
SYNTA               Private       87162T206     1901     360796 SH         DEFINED    1,2                       360796
 PHARMACEUTICALS    company?no
 CORP               public equity
                    shares
CELLCOM ISRAEL LTD  Common equity M2196U109    12148     366775 SH         DEFINED    1,2                       366775
                    shares
ACCURAY INC         Common Stock  004397105     9019     998896 SH         DEFINED    1,2,5,6,8                 998896
NATIONAL CINEMEDIA  Common Stock  635309107    22750    1218721 SH         DEFINED    1,2,5,6,8                1218721
 INC
FORTRESS INVESTMENT Common equity 34958B106      750     132048 SH         DEFINED    1,8                       132048
 GRP LLC            shares
OPTIMER             Common equity 68401H104    10169     859541 SH         DEFINED    1,2,8                     859541
 PHARMACEUTICALS    shares
 INC
TARGA RESOURCES     Misc Equity   87611X105     4090     117928 SH         DEFINED    1                         117928
 PARTNERS LP
US AUTO PARTS       Common equity 90343C100     1745     200786 SH         DEFINED    1,2                       200786
 NETWORK INC        shares
INFORMATION         Common equity 45675Y104       40      18200 SH         DEFINED    1                          18200
 SERVICES GROUP     shares
OPNEXT INC          Common equity 68375V105     1768     728767 SH         DEFINED    1,2                       728767
                    shares
TRIANGLE CAPITAL    Common Stock  895848109     5246     290502 SH         DEFINED    1,2,8                     290502
 CORP
COLEMAN CABLE INC   Common equity 193459302     1010     113833 SH         DEFINED    1,2                       113833
                    shares
DOMTAR CORP         Common equity 257559203    48041     523398 SH         DEFINED    1,2,5,6,8,10,17           523398
                    shares
CLEARWIRE CORP      Common equity 18538Q105     8630    1544403 SH         DEFINED    1,2,5,6                  1544403
                    shares
SOURCEFIRE INC      Common Stock  83616T108    15411     560248 SH         DEFINED    1,2,5,6,8                 560248
BIGBAND NETWORKS    Common Stock  089750509     2145     842280 SH         DEFINED    1,2,6                     842280
 INC
CONVERTED ORGANICS  Common equity 21254S107        9      27700 SH         DEFINED    1                          27700
 INC                shares
GAFISA SA           American      362607301      560      43603 SH         DEFINED    1,6,10                     43603
                    Depository
                    Receipt
BROADRIDGE          Common equity 11133T103    79261    3493404 SH         DEFINED    1,2,5,6,8,12             3493404
 FINANCIAL SOLUTNS  shares
GLU MOBILE INC      Common equity 379890106       47      10923 SH         DEFINED    1                          10923
                    shares
ARUBA NETWORKS INC  Common Stock  043176106    54483    1610012 SH         DEFINED    1,2,5,6,8                1610012
GSI TECHNOLOGY INC  Common Stock  36241U106     3080     338874 SH         DEFINED    1,2                       338874
SUPER MICRO         Common Stock  86800U104     7641     476485 SH         DEFINED    1,2,6,8                   476485
 COMPUTER INC
FLAGSTONE           Common equity L3466T104     9452    1049755 SH         DEFINED    1,2,5,6,8                1049755
 REINSURANCE HLD SA shares
ESSA BANCORP INC    Common equity 29667D104     4014     304157 SH         DEFINED    1,2,17                    304157
                    shares
COMVERGE INC        Common equity 205859101     2184     468312 SH         DEFINED    1,2,6                     468312
                    shares
METROPCS            Common equity 591708102   168807   10394324 SH         DEFINED    1,2,5,6,8,10,12,17,18   10394324
 COMMUNICATIONS INC shares
PENNANTPARK         Common equity 708062104    11168     936778 SH         DEFINED    1,2,6,8                   936778
 INVESTMENT CORP.   shares
TFS FINANCIAL CORP  Common equity 87240R107     9901     932379 SH         DEFINED    1,2,5,6,8,10,18           932379
                    shares
CINEMARK HOLDINGS   Common equity 17243V102    24096    1245321 SH         DEFINED    1,2,5,6,8                1245321
 INC                shares
BARCLAYS IPATH MSCI Investments   06739F291    18805     259300 SH         DEFINED    1,4                       259300
 INDIA INDEX ETN    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
BAXTER              Common equity 071813109  1299684   24171259 SH         DEFINED    1,2,5,6,8,10,12,17,18   24168129          3130
 INTERNATIONAL INC  shares
SPDR DJ             ETF           78463X863    52719    1350982 SH         DEFINED    1,2                      1350982
 INTERNATIONAL REAL
 ESTATE ETF
ISHARES BARCLAYS    Investments   464288612     1162      10789 SH         DEFINED    1                          10789
 INTERMEDIATE       that contain
 GOVERNMENT/CREDIT  a pool of
 BOND FUND          securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES BARCLAYS    Investments   464288638     2105      19981 SH         DEFINED    1                          19981
 INTERMEDIATE       that contain
 CREDIT BOND FUND   a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR MSCI ACWI      ETF           78463X848    37038    1054810 SH         DEFINED    1                        1054810
 EX-US ETF
SPDR FTSE/MACQUARIE ETF           78463X855     2883      67225 SH         DEFINED    5                          67225
 GLOBAL
 INFRASTRUCTURE 100
 ETF
VANGUARD FTSE       Investments   922042775    37718     764768 SH         DEFINED    1                         764768
 ALL-WORLD EX-US    that contain
 ETF                a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR S&P EMERGING   ETF           78463X509    38402     510017 SH         DEFINED    2,5,18                    510017
 MARKETS ETF
VANGUARD TOTAL BOND Investments   921937835   363114    4537781 SH         DEFINED    1,2                      4537781
 MARKET ETF         that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
DELTA AIR LINES INC Common equity 247361702   106634   10880557 SH         DEFINED    1,2,5,6,8,10,12,18      10880557
                    shares
OREXIGEN            Common equity 686164104     1738     617843 SH         DEFINED    1,2,6,8                   617843
 THERAPEUTICS INC   shares
PHARMASSET INC      Common Stock  71715N106    63293     804117 SH         DEFINED    1,2,5,6,8                 804117
SPDR S&P            ETF           78463X871    70416    2229104 SH         DEFINED    1,2                      2229104
 INTERNATIONAL
 SMALL CAP ETF
SPDR S&P WORLD      Investments   78463X889     4471     165671 SH         DEFINED    1,2                       165671
 EX-US ETF          that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
BIDZ.COM INC        Common equity 08883T200       21      14400 SH         DEFINED    1                          14400
                    shares
CAVIUM NETWORKS INC Private       14965A101    48093    1070358 SH         DEFINED    1,2,5,6,8                1070358
                    company?no
                    public equity
                    shares
NEUROGESX INC       Common equity 641252101      931     229391 SH         DEFINED    1,2                       229391
                    shares
INTERACTIVE BROKERS Common equity 45841N107     9281     584091 SH         DEFINED    1,2,5,6,8                 584091
 GROUP              shares
TOMOTHERAPY INC     Common equity 890088107     4196     918468 SH         DEFINED    1,2,6                     918468
                    shares
ALLIED NEVADA GOLD  Common equity 019344100    92485    2606773 SH         DEFINED    1,2,5,6,8                2606773
 CORP               shares
AECOM TECHNOLOGY    Common equity 00766T100    79508    2867124 SH         DEFINED    1,2,5,6,8,12             2867124
 CORP               shares
BIODEL INC          Common equity 09064M105      560     265064 SH         DEFINED    1,2                       265064
                    shares
JMP GROUP INC       Common equity 46629U107     2263     262851 SH         DEFINED    1,2                       262851
                    shares
SOLERA HOLDINGS INC Common equity 83421A104    98070    1919069 SH         DEFINED    1,2,5,6,8,12             1919069
                    shares
CONTINENTAL         Common equity 212015101    52153     729718 SH         DEFINED    1,2,5,6,12                729718
 RESOURCES INC      shares
INSULET CORP        Common equity 45784P101    17527     849872 SH         DEFINED    1,2,5,6,8                 849872
                    shares
SKILLED HEALTHCARE  Common equity 83066R107     5948     413460 SH         DEFINED    1,2,8                     413460
 GROUP INC          shares
CAI INTERNATIONAL   Common equity 12477X106     5335     206218 SH         DEFINED    1,2                       206218
 INC                shares
TECHTARGET INC      Common equity 87874R100     1391     156119 SH         DEFINED    1,2                       156119
                    shares
ENERNOC INC         Common Stock  292764107     7305     382391 SH         DEFINED    1,2,5,6,8                 382391
TRIMAS CORP         Common Stock  896215209     7962     370244 SH         DEFINED    1,2,6                     370244
B&G FOODS INC       Common equity 05508R106    20149    1073522 SH         DEFINED    1,2,6,8                  1073522
                    shares
RSC HOLDINGS INC    Common equity 74972L102    13731     954927 SH         DEFINED    1,2,5,6,8                 954927
                    shares
GREENLIGHT CAPITAL  Common equity G4095J109    17448     618500 SH         DEFINED    1,2,5,6,8                 618500
 RE LTD             shares
ADVENT/CLAYMORE     Closed end    007639107      407      41450 SH         DEFINED    18                         41450
 GLOBAL CONVERTIBLE mutual fund
 SECURITIES &
 INCOME FUND
CLEAN ENERGY FUELS  Common Stock  184499101    37605    2295751 SH         DEFINED    1,2,5,6,8                2295751
 CORP
JAZZ                Common equity 472147107    14912     468236 SH         DEFINED    1,2                       468236
 PHARMACEUTICALS    shares
 INC
LDK SOLAR CO LTD    American      50183L107      148      12100 SH         DEFINED    1,5                        12100
 -ADR               Depository
                    Receipt
ENERGY XXI          Common equity G10082140    68149    1998546 SH         DEFINED    1,2,6,8                  1998546
(BERMUDA)           shares
SWISHER HYGIENE INC Common Stock  870808102      221      36000 SH         DEFINED    1                          36000
INFINERA CORP       Common Stock  45667G103    15082    1797696 SH         DEFINED    1,2,5,6,8                1797696
FBR CAPITAL MARKETS Common equity 30247C301     3244     906296 SH         DEFINED    1,2,8                     906296
 CORP               shares
LIMELIGHT NETWORKS  Common Stock  53261M104     6172     862043 SH         DEFINED    1,2,6                     862043
 INC
VANTAGE DRILLING CO Common equity G93205113    11291    6271682 SH         DEFINED    1,2                      6271682
                    shares
DISCOVER FINANCIAL  Common equity 254709108   555487   23030001 SH         DEFINED    1,2,5,6,8,10,12,18,19   20958783
 SVCS INC           shares
COVIDIEN PLC        Common equity G2554F113   924032   17790202 SH         DEFINED    1,2,5,6,8,10,12,17,18   17790202
                    shares
TE CONNECTIVITY LTD Common equity H84989104   123747    3553979 SH         DEFINED    1,2,5,6,8,10,12,18       3553979
                    shares
STERLITE INDUSTRIES American      859737207     5671     367364 SH         DEFINED    1,2,6,8                   367364
 (INDIA)            Depository
                    Receipt
AUTHENTEC INC       Common equity 052660107       33      10200 SH         DEFINED    1                          10200
                    shares
BLACKROCK KELSO     Common equity 092533108    15208    1501264 SH         DEFINED    1,2,6,8                  1501264
 CAPITAL CORP       shares
COMSCORE INC        Common Stock  20564W105    13630     461825 SH         DEFINED    1,2,6,8                   461825
SPECTRA ENERGY      Limited       84756N109     1544      46967 SH         DEFINED    1                          46967
 PARTNERS LP        Partnership
BOISE INC           Common equity 09746Y105    12723    1389060 SH         DEFINED    1,2,6,8,17               1389060
                    shares
POLYPORE            Common equity 73179V103    25645     445331 SH         DEFINED    1,2,5,6,8                 445331
 INTERNATIONAL INC  shares
PROS HOLDINGS INC   Common equity 74346Y103     4944     339163 SH         DEFINED    1,2,6                     339163
                    shares
INTERCLICK INC      Common equity 458483203       76      10800 SH         DEFINED    1                          10800
                    shares
SHORETEL INC        Common Stock  825211105     6772     823049 SH         DEFINED    1,2,6,8                   823049
BENEFICIAL MUTUAL   Common equity 08173R104     5702     661524 SH         DEFINED    1,2,5,6,8                 661524
 BANCORP            shares
IPATH CBOE S&P 500  Investments   06739F135      842      17331 SH         DEFINED    5                          17331
 BUYWRITE INDEX ETN that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR BARCLAYS       ETF           78464A649     9196     165906 SH         DEFINED    1,2                       165906
 CAPITAL AGGREGATE
 BOND ETF
SPDR DB             Investments   78464A490    29877     494233 SH         DEFINED    1,2                       494233
 INTERNATIONAL      that contain
 GOVERNMENT         a pool of
 INFLATION-         securities
 PROTECTED BOND ETF representing
                    a specific
                    index  and
                    are built
                    like mutu
SPDR BARCLAYS       USA: Common   78464A672     6509     111359 SH         DEFINED    1                         111359
 CAPITAL            Stock
 INTERMEDIATE TERM
 TREASURY ETF
WABCO HOLDINGS INC  Common equity 92927K102    53041     860467 SH         DEFINED    1,2,5,6,8                 860467
                    shares
DICE HOLDINGS INC   Common equity 253017107     4841     320240 SH         DEFINED    1,2,6,8                   320240
                    shares
ENCORE BANCSHARES   Common equity 29255V201     1653     136263 SH         DEFINED    1,2                       136263
 INC                shares
PHARMERICA CORP     Common equity 71714F104     7523     657870 SH         DEFINED    1,2,5,6,8                 657870
                    shares
HHGREGG INC         Common equity 42833L108     3677     274643 SH         DEFINED    1,2,6,8                   274643
                    shares
ORBITZ WORLDWIDE    Common equity 68557K109     1778     498586 SH         DEFINED    1,2,5,6                   498586
 INC                shares
ZAGG INC            Common equity 98884U108       75      10000 SH         DEFINED    1                          10000
                    shares
MONOTYPE IMAGING    Common equity 61022P100     8959     617845 SH         DEFINED    1,2,6                     617845
 HOLDINGS           shares
REX ENERGY CORP     Common Stock  761565100    28234    2423815 SH         DEFINED    1,2,5,6,8                2423815
VALIDUS HOLDINGS    Common equity G9319H102    41209    1236442 SH         DEFINED    1,2,5,6,8,10,12,18       1236442
 LTD                shares
LULULEMON ATHLETICA Common equity 550021109     3273      36742 SH         DEFINED    1,2,5,8                    36742
 INC                shares
DOLAN CO            Common equity 25659P402     8658     713226 SH         DEFINED    1,2,8                     713226
                    shares
SUCAMPO             Common equity 864909106      806     192872 SH         DEFINED    1,2                       192872
 PHARMACEUTICALS    shares
 INC
GENPACT LTD         Common equity G3922B107    11035     762279 SH         DEFINED    1,2,5,6,8                 762279
                    shares
CONCHO RESOURCES    Common equity 20605P101   203255    1894260 SH         DEFINED    1,2,5,6,8,10,12,18       1894260
 INC                shares
VIRTUSA CORP        Common Stock  92827P102     4453     237987 SH         DEFINED    1,2,6                     237987
E-HOUSE CHINA       American      26852W103     1125      95720 SH         DEFINED    1,2,6                      95720
 HOLDINGS  -ADR     Depository
                    Receipt
MASIMO CORP         Common Stock  574795100    66060    1995801 SH         DEFINED    1,2,5,6,8,12             1995801
DEMANDTEC INC       Common equity 24802R506     4819     366247 SH         DEFINED    1,2,6                     366247
                    shares
WUXI PHARMATECH     American      929352102     1983     128199 SH         DEFINED    1,2,6                     128199
 (CAYMAN)-ADR       Depository
                    Receipt
HORSEHEAD HOLDING   Common equity 440694305    25291    1483360 SH         DEFINED    1,2,6,8                  1483360
 CORP               shares
MERCADOLIBRE INC    Common Stock  58733R102     2027      24838 SH         DEFINED    1,5,6,8                    24838
VMWARE INC -CL A    Common equity 928563402   101051    1239356 SH         DEFINED    1,2,5,6,8,10,12,18       1239356
                    shares
SPDR BARCLAYS       ETF           78464A656     9481     175879 SH         DEFINED    1,2                       175879
 CAPITAL TIPS ETF
CYBERDEFENDER CORP  Common equity 23248L107       21      10200 SH         DEFINED    1                          10200
                    shares
BARCLAYS BANK PLC   Public        06739H776     1226      48617 SH         DEFINED    2                          48617
                    preferred
                    instrument
ENCORE ENERGY       Misc Equity   29257A106     1160      49421 SH         DEFINED    1                          49421
 PARTNERS LP
TERADATA CORP       Common equity 88076W103   313464    6182740 SH         DEFINED    1,2,5,6,8,10,12,18       6182740
                    shares
ATHENAHEALTH INC    Common Stock  04685W103    33328     738472 SH         DEFINED    1,2,5,6,8                 738472
DUFF & PHELPS CORP  Common equity 26433B107     8318     520400 SH         DEFINED    1,2,6,8                   520400
                    shares
CONSTANT CONTACT    Common Stock  210313102    19340     554305 SH         DEFINED    1,2,6,8                   554305
 INC
MAIN STREET CAPITAL Common equity 56035L104     5136     278431 SH         DEFINED    1,2,8                     278431
 CORP.              shares
MAP PHARMACEUTICALS Common equity 56509R108     3698     268145 SH         DEFINED    1,2,6                     268145
 INC                shares
RESOLUTE ENERGY     Common Stock  76116A108    13387     738065 SH         DEFINED    1,2,6,8                   738065
 CORP
FIRST FINANCIAL     Common equity 32022K102       74      12800 SH         DEFINED    1                          12800
 NORTHWEST          shares
TEXTAINER GROUP     Common equity G8766E109     7526     202511 SH         DEFINED    1,2                       202511
 HOLDINGS LTD       shares
POWERSHARES         Investments   73936T573      228       8639 SH         DEFINED    1                           8639
 EMERGING MARKETS   that contain
 SOVEREIGN DEBT     a pool of
 PORTFOLIO          securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ZEP INC             Common equity 98944B108     7969     457457 SH         DEFINED    1,2,5,6,8                 457457
                    shares
PATRIOT COAL CORP   Common equity 70336T104   117437    4546579 SH         DEFINED    1,2,5,6,8,12             4546579
                    shares
DUPONT FABROS       Real Estate   26613Q106    42302    1744451 SH         DEFINED    1,2,3,5,6,8              1744451
 TECHNOLOGY INC     Investment
                    Trust
CVR ENERGY INC      Common equity 12662P108    42885    1851670 SH         DEFINED    1,2,5,6,8                1851670
                    shares
AMERICAN DG ENERGY  Common equity 025398108      556     254958 SH         DEFINED    1,2                       254958
 INC                shares
PZENA INVESTMENT    Common equity 74731Q103      889     125822 SH         DEFINED    1,2                       125822
 MANAGEMENT         shares
ULTA SALON COSMETCS Common equity 90384S303    45869     952995 SH         DEFINED    1,2,5,6,8                 952995
 & FRAG             shares
RETAIL OPPORTUNITY  Common Stock  76131N101     9365     856204 SH         DEFINED    1,2,3,6,8                 856204
 INVTS CP
DELTEK INC          Common equity 24784L105     2598     341568 SH         DEFINED    1,2,6,8                   341568
                    shares
GIANT INTERACTIVE   American      374511103     1277     171296 SH         DEFINED    1,2,6                     171296
 GROUP -ADR         Depository
                    Receipt
NANOSPHERE INC      Common equity 63009F105      914     281202 SH         DEFINED    1,2                       281202
                    shares
NEUTRAL TANDEM INC  Common Stock  64128B108    10350     701607 SH         DEFINED    1,2,5,6,8                 701607
SANDRIDGE ENERGY    Common equity 80007P307    85303    6664287 SH         DEFINED    1,2,5,6,8                6664287
 INC                shares
APPROACH RESOURCES  Common Stock  03834A103    14239     423728 SH         DEFINED    1,2,6,8                   423728
 INC
NORTHFIELD BANCORP  Common equity 66611L105     4703     341085 SH         DEFINED    1,2,8                     341085
 INC                shares
AMERICAN PUBLIC     Common Stock  02913V103    15988     395300 SH         DEFINED    1,2,5,6,8                 395300
 EDUCATION
ENSIGN GROUP INC    Common equity 29358P101     9318     291763 SH         DEFINED    1,2,6                     291763
                    shares
LUMBER LIQUIDATORS  Common equity 55003T107    25331    1013911 SH         DEFINED    1,2,6,8                  1013911
 HLDGS INC          shares
ENERGYSOLUTIONS INC Common equity 292756202    10199    1711248 SH         DEFINED    1,2,5,6,8                1711248
                    shares
MSCI INC            Common equity 55354G100   112355    3051470 SH         DEFINED    1,2,5,6,8,12             3051470
                    shares
CHIMERA INVESTMENT  Real Estate   16934Q109    52246   13193531 SH         DEFINED    1,2,5,6,8               13193531
 CORP               Investment
                    Trust
EL PASO PIPELINE    Limited       283702108     4626     127688 SH         DEFINED    1                         127688
 PARTNERS LP        Partnership
RUBICON TECHNOLOGY  Common Stock  78112T107     8013     289551 SH         DEFINED    1,2,6,8                   289551
 INC
ISHARES MSCI BRIC   Investments   464286657     1497      29757 SH         DEFINED    6                          29757
 INDEX FUND         that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
HECKMANN CORP       Common Stock  422680108    10905    1664896 SH         DEFINED    1,2,5,6,8                1664896
SUCCESSFACTORS INC  Common Stock  864596101    54468    1393428 SH         DEFINED    1,2,5,6,8                1393428
STREAM GLOBAL       Common equity 86323M100      234      76714 SH         DEFINED    1                          76714
 SERVICES INC       shares
INVESCO LTD         American      G491BT108   464808   18184963 SH         DEFINED    1,2,5,6,8,10,12,18      18184963
                    Depository
                    Receipt
BARCLAYS BANK PLC   Public        06739H511     1045      40627 SH         DEFINED    2                          40627
                    preferred
                    instrument
SPDR BARCLAYS       ETF           78464A417   375722    9279433 SH         DEFINED    1,2,5                    9279433
 CAPITAL HIGH YIELD
 BOND ETF
SOLUTIA INC         Common equity 834376501    63790    2511362 SH         DEFINED    1,2,5,6,8                2511362
                    shares
FEDERAL-MOGUL CORP  Common Stock  313549404     5766     231791 SH         DEFINED    1,2,5,6,8                 231791
TITAN MACHINERY INC Common Stock  88830R101     5991     237216 SH         DEFINED    1,2,6                     237216
ENTROPIC            Common Stock  29384R105    14004    1657055 SH         DEFINED    1,2,6,8                  1657055
 COMMUNICATIONS INC
TRIPLE-S MANAGEMENT Common equity 896749108    10311     500991 SH         DEFINED    1,2,8                     500991
 CORP               shares
APPLIED MICRO       Common equity 03822W406    17623    1697927 SH         DEFINED    1,2,5,6,8                1697927
 CIRCUITS CORP      shares
CARDTRONICS INC     Common equity 14161H108    14326     704077 SH         DEFINED    1,2,6,8                   704077
                    shares
TWO HARBORS         Common Stock  90187B101    16173    1544582 SH         DEFINED    1,2,8                    1544582
 INVESTMENT CORP
FORESTAR GROUP INC  Common equity 346233109    16432     864083 SH         DEFINED    1,2,5,6,8                 864083
                    shares
ISHARES MSCI EAFE   Investments   464288273    12898     297600 SH         DEFINED    1                         297600
 SMALL CAP INDEX    that contain
 FUND               a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
K12 INC             Common Stock  48273U102    17108     507504 SH         DEFINED    1,2,5,6,8                 507504
MEDASSETS INC       Common equity 584045108    13194     864378 SH         DEFINED    1,2,5,6,8                 864378
                    shares
TEEKAY TANKERS LTD  Common equity Y8565N102     5912     565342 SH         DEFINED    1,2                       565342
                    shares
ORION ENERGY        Common Stock  686275108       58      14500 SH         DEFINED    1                          14500
 SYSTEMS INC
ISHARES JPMORGAN    Investments   464288281     1108      10394 SH         DEFINED    1,18                       10394
 USD EMERGING       that contain
 MARKETS BOND FUND  a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
NETSUITE INC        Common equity 64118Q107    10294     354006 SH         DEFINED    1,2,5,6,8                 354006
                    shares
ORION MARINE GROUP  Common Stock  68628V308     6068     564895 SH         DEFINED    1,2,6,8                   564895
 INC
NATIONAL AMERN UNIV Common equity 63245Q105      641      90139 SH         DEFINED    1,2                        90139
 HLDG INC           shares
ECHOSTAR CORP       Common equity 278768106    18908     499443 SH         DEFINED    1,2,5,6,8                 499443
                    shares
CALPINE CORP        Common equity 131347304    91619    5773043 SH         DEFINED    1,2,5,6,8,10,12,18       5773043
                    shares
DANVERS BANCORP INC Common Stock  236442109     7663     357721 SH         DEFINED    1,2,6,8,17                357721
BROOKFIELD INFRS    Misc Equity   G16252101     6623     298049 SH         DEFINED    1,2,5,6                   298049
 PTRS LP
A. H. BELO CORP     Common equity 001282102     2779     332417 SH         DEFINED    1,2                       332417
                    shares
MERIDIAN INTERSTATE Common equity 58964Q104     2322     165219 SH         DEFINED    1,2                       165219
 BANCORP            shares
GREENHAVEN          Default       395258106      285       8079 SH         DEFINED    1                           8079
 CONTINUOUS
 COMMODITY INDEX
 FUND
IPC THE HOSPITALIST Common Stock  44984A105    15940     351037 SH         DEFINED    1,2,6,8                   351037
 CO INC
DANA HOLDING CORP   Common equity 235825205    61053    3761902 SH         DEFINED    1,2,5,6,8                3761902
                    shares
GEROVA FINANCIAL    Common equity G38490200      100      18936 SH         DEFINED    1,2                        18936
 GROUP LTD          shares
MAKO SURGICAL CORP  Common Stock  560879108    13454     555970 SH         DEFINED    1,2,6,8                   555970
PHILIP MORRIS       Common equity 718172109 50053341   76266041 SH         DEFINED    1,2,5,6,8,10,12,17,18   76217122
 INTERNATIONAL      shares                                                            ,19
CARDIONET INC       Common equity 14159L103     2222     463339 SH         DEFINED    1,2,8                     463339
                    shares
HILLENBRAND INC     Common equity 431571108    18808     874788 SH         DEFINED    1,2,5,6,8                 874788
                    shares
VISA INC            Common equity 92826C839  1271974   17277418 SH         DEFINED    1,2,5,6,8,10,12,18      17277418
                    shares
1ST UNITED BANCORP  Common equity 33740N105     2323     330903 SH         DEFINED    1,2                       330903
 INC                shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
IRIDIUM             Common Stock  46269C102     5030     630938 SH         DEFINED    1,2,6,8                   630938
 COMMUNICATIONS INC
L & L ENERGY INC    Common Stock  50162D100     1888     272663 SH         DEFINED    1,2,6                     272663
ISHARES MSCI TURKEY Investments   464286715    10125     158600 SH         DEFINED    1                         158600
 INVESTABLE MARKET  that contain
 INDEX FUND         a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ISHARES TRUST       Investments   464288240     1503      33058 SH         DEFINED    1                          33058
 ISHARES MSCI ACWI  that contain
 EX US INDEX FUND   a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
BARCLAYS BANK PLC   Public        06739H362     2463      93688 SH         DEFINED    2                          93688
                    preferred
                    instrument
INTREPID POTASH INC Common equity 46121Y102    42313    1215246 SH         DEFINED    1,2,5,6,8,12             1215246
                    shares
AMERICAN WATER      Common equity 030420103    86972    3100499 SH         DEFINED    1,2,5,6,8,10,12,18       3100499
 WORKS CO INC       shares
HATTERAS FINANCIAL  Common equity 41902R103    42664    1517145 SH         DEFINED    1,2,5,6,8                1517145
 CORP               shares
DR PEPPER SNAPPLE   Common equity 26138E109   324732    8738746 SH         DEFINED    1,2,5,6,8,10,12,18       8738746
 GROUP INC          shares
MAIDEN HOLDINGS LTD Common equity G5753U112     8397    1121005 SH         DEFINED    1,2,8                    1121005
                    shares
COLFAX CORP         Common equity 194014106    11083     482780 SH         DEFINED    1,2,5,6,8                 482780
                    shares
WESTERN GAS         Limited       958254104     2421      69312 SH         DEFINED    1                          69312
 PARTNERS LP        Partnership
GUARANTY BANCORP    Common equity 40075T102       55      43100 SH         DEFINED    1                          43100
                    shares
INVERNESS MEDICAL   Public        01449J20      3139      11247 SH         DEFINED    1,2                        11247
 INNOVATIONS        preferred
                    instrument
SPDR DJ GLOBAL REAL ETF           78463X749     4065     106519 SH         DEFINED    1,5                       106519
 ESTATE ETF
AMERICAN CAPITAL    Common Stock  02503X105    75080    2576588 SH         DEFINED    1,2,5,6,8,17             2576588
 AGENCY CORP
VERSO PAPER CORP    Common equity 92531L108     1040     194282 SH         DEFINED    1,2                       194282
                    shares
AIR TRANSPORT       Common equity 00922R105     9845    1164965 SH         DEFINED    1,2                      1164965
 SERVICES GROUP     shares
POWERSHARES         Investments   73936Q405      388      29371 SH         DEFINED    1                          29371
 RIVERFRONT         that contain
 TACTICAL BALANCED  a pool of
 GROWTH PORTFOLIO   securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
FIFTH STREET        Common equity 31678A103    16804    1258522 SH         DEFINED    1,2,6,8                  1258522
 FINANCE CORP       shares
SCRIPPS NETWORKS    Common equity 811065101   158213    3158863 SH         DEFINED    1,2,5,6,8,10,12,18       3158863
 INTERACTIVE        shares
TW TELECOM INC      Common equity 87311L104    81691    4254637 SH         DEFINED    1,2,5,6,8,12             4254637
                    shares
LENDER PROCESSING   Common equity 52602E102   102892    3196582 SH         DEFINED    1,2,5,6,8,10,12,18       3196582
 SERVICES           shares
VANGUARD TOTAL      Investments   922042742     1983      39791 SH         DEFINED    1                          39791
 WORLD STOCK ETF    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ENERGY RECOVERY INC Common Stock  29270J100     2316     728904 SH         DEFINED    1,2,6,8                   728904
ACTIVISION BLIZZARD Common equity 00507V109   112120   10219810 SH         DEFINED    1,2,5,6,8,10,12,18      10219810
 INC                shares
ACE LTD             Common equity H0023R105   826320   12771620 SH         DEFINED    1,2,5,6,8,10,12,17,18   12768440          3180
                    shares
JOHN BEAN           Common equity 477839104    11865     617084 SH         DEFINED    1,2,5,6,8                 617084
 TECHNOLOGIES       shares
SPDR S&P            Investments   78463X632     1867      88697 SH         DEFINED    6                          88697
 INTERNATIONAL      that contain
 UTILITIES SECTOR   a pool of
 ETF                securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
GT SOLAR INTL INC   Common equity 3623E0209    16409    1539197 SH         DEFINED    1,2,5,6,8                1539197
                    shares
SIRIUS XM RADIO INC Common equity 82967N108    74812   45068486 SH         DEFINED    1,2,5,6,8,12            45068486
                    shares
RACKSPACE HOSTING   Common equity 750086100   153955    3592923 SH         DEFINED    1,2,5,6,8,12             3592923
 INC                shares
HSN INC             Common equity 404303109    43540    1359374 SH         DEFINED    1,2,5,6,8                1359374
                    shares
INTERVAL LEISURE    Common equity 46113M108    16357    1000655 SH         DEFINED    1,2,5,6,8                1000655
 GROUP              shares
MYR GROUP INC       Common Stock  55405W104     9348     390841 SH         DEFINED    1,2,8                     390841
IBIO INC            Common Stock  451033104       32      10400 SH         DEFINED    1                          10400
SIGNET JEWELERS LTD Common equity G81276100    62415    1356224 SH         DEFINED    1,2,5,6                  1356224
                    shares
REINSURANCE GROUP   Common equity 759351604   136742    2178079 SH         DEFINED    1,2,5,6,8,12             2178079
 AMER INC           shares
REVLON INC  -CL A   Common equity 761525609     4165     262337 SH         DEFINED    1,2,8                     262337
                    shares
ASCENT MEDIA CORP   Common Stock  043632108    14486     296575 SH         DEFINED    1,2,5,6,8                 296575
DISCOVERY           Common equity 25470F302    35549    1009458 SH         DEFINED    1,2,5,8,10,12,18         1009458
 COMMUNICATNS NEW   shares
ECOPETROL SA        American      279158109    14002     336038 SH         DEFINED    1,5,6,8,10                336038
                    Depository
                    Receipt
SUNPOWER CORP       Common equity 867652307      686      41121 SH         DEFINED    1,5,6,8,10                 41121
                    shares
KB FINANCIAL GROUP  American      48241A105     4291      82233 SH         DEFINED    1,2,6,18                   82233
                    Depository
                    Receipt
MODUSLINK GLOBAL    Common equity 60786L107     6007    1099596 SH         DEFINED    1,2,5,8                  1099596
 SOLUTIONS          shares
HOME BANCORP INC    Common equity 43689E107     1983     129390 SH         DEFINED    1,2                       129390
                    shares
DIGIMARC CORP       Common equity 25381B101     3130     108313 SH         DEFINED    1,2                       108313
                    shares
GRAND CANYON        Common Stock  38526M106     9030     622559 SH         DEFINED    1,2,5,6,8                 622559
 EDUCATION INC
ELIZABETH ARDEN INC Common equity 28660G106    15556     518380 SH         DEFINED    1,2,5,6,8                 518380
                    shares
IAC/INTERACTIVECORP Common equity 44919P508    42553    1377536 SH         DEFINED    1,2,5,6,8,12,17          1377536
                    shares
CLEARWATER PAPER    Common Stock  18538R103    21443     263349 SH         DEFINED    1,2,5,6,8                 263349
 CORP
CRACKER BARREL OLD  Common equity 22410J106    28539     580774 SH         DEFINED    1,2,5,6,8,17              580774
 CTRY STOR          shares
VIRTUS INVESTMENT   Common Stock  92828Q109     7931     134621 SH         DEFINED    1,2                       134621
 PTNRS INC
GENERAL MARITIME    Common equity Y2693R101     3127    1525875 SH         DEFINED    1,2,5,8                  1525875
 CORP               shares
MEAD JOHNSON        Common equity 582839106   420872    7265004 SH         DEFINED    1,2,5,6,8,10,12,18       7265004
 NUTRITION CO       shares
SPDR BARCLAYS       Investments   78464A375     8644     264139 SH         DEFINED    1,2                       264139
 CAPITAL            that contain
 INTERMEDIATE TERM  a pool of
 CORPORATE BOND ETF securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
IDT CORP            Common Stock  448947507    11469     425440 SH         DEFINED    1,2                       425440
HEARTWARE           Common Stock  422368100    15717     183784 SH         DEFINED    1,2,6                     183784
 INTERNATIONAL INC
ITAU UNIBANCO HLDG  American      465562106   153586    6386104 SH         DEFINED    1,2,4,5,6,8,10,18        6386104
 SA                 Depository
                    Receipt
BRIDGEPOINT         Common equity 10807M105     5597     327254 SH         DEFINED    1,2,6,8                   327254
 EDUCATION INC      shares
ROSETTA STONE INC   Common Stock  777780107     2131     161299 SH         DEFINED    1,2,6                     161299
SPDR BARCLAYS       ETF           78464A359     6840     162277 SH         DEFINED    1,18                      162277
 CAPITAL
 CONVERTIBLE
 SECURITIES ETF
GOLDEN MINERALS CO  Common equity 381119106      238      10774 SH         DEFINED    1,6                        10774
                    shares
DIGITALGLOBE INC    Common equity 25389M877    15908     567411 SH         DEFINED    1,2,5,6,8                 567411
                    shares
SOLARWINDS INC      Common equity 83416B109    17080     728068 SH         DEFINED    1,2,5,6,8                 728068
                    shares
OPENTABLE INC       Common Stock  68372A104    32744     307883 SH         DEFINED    1,2,6,8                   307883
GOVERNMENT PPTYS    Real Estate   38376A103    16508     614670 SH         DEFINED    1,2,3,5,6,8               614670
 INCOME TR          Investment
                    Trust
CYPRESS SHARPRIDGE  Common equity 23281A307    15713    1238973 SH         DEFINED    1,2,6,8                  1238973
 INVTS INC          shares
MYREXIS INC         Common Stock  62856H107      138      35179 SH         DEFINED    1,5,6                      35179
MEDIDATA SOLUTIONS  Common equity 58471A105     8590     336004 SH         DEFINED    1,2,6,8                   336004
 INC                shares
INVESCO MORTGAGE    Common equity 46131B100    33449    1530849 SH         DEFINED    1,2,6,8                  1530849
 CAPITAL INC        shares
LOGMEIN INC         Common Stock  54142L109    13100     310672 SH         DEFINED    1,2,6,8                   310672
ALUFP 2.875         A U S issuer   549463AH     3878    3948000 SH         DEFINED    2                        3948000
 06/15/25           issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
TERRITORIAL BANCORP Common equity 88145X108     4438     222754 SH         DEFINED    1,2,17                    222754
 INC                shares
GLOBE SPECIALTY     Common equity 37954N206    60899    2675776 SH         DEFINED    1,2,6,8                  2675776
 METALS INC         shares
PENNYMAC MORTGAGE   Closed end    70931T103     7775     422793 SH         DEFINED    1,2,6,8                   422793
 INVEST TR          mutual fund
ALTISOURCE          Common equity L0175J104      359      11739 SH         DEFINED    1,5,6,8                    11739
 PORTFOLIO SOLTNS   shares
AVAGO TECHNOLOGIES  Common equity Y0486S104    61320    1971874 SH         DEFINED    1,2,5,6,8,10,12,18       1971874
 LTD                shares
CUMBERLAND          Common equity 230770109     1137     205096 SH         DEFINED    1,2                       205096
 PHARMACEUTICALS    shares
EMDEON INC          Common equity 29084T104     4373     271515 SH         DEFINED    1,2,6,8                   271515
                    shares
STARWOOD PROPERTY   Real Estate   85571B105    32955    1477799 SH         DEFINED    1,2,6,8                  1477799
 TRUST INC          Investment
                    Trust
CAREFUSION CORP     Common Stock  14170T101   223475    7924821 SH         DEFINED    1,2,5,6,8,10,12,18       7924821
CREXUS INVESTMENT   Real Estate   226553105     3593     314678 SH         DEFINED    1,2                       314678
 CORP               Investment
                    Trust
SPECTRUM BRANDS     Common equity 84763R101     9326     335957 SH         DEFINED    1,2,6                     335957
 HOLDINGS INC       shares
A123 SYSTEMS INC    Common Stock  03739T108     9582    1509343 SH         DEFINED    1,2,6,8                  1509343
APOLLO COMMERCIAL   Real Estate   03762U105     5637     344632 SH         DEFINED    1,2                       344632
 RE FIN INC         Investment
                    Trust
ARTIO GLOBAL        Common equity 04315B107    13069     808795 SH         DEFINED    1,2,8                     808795
 INVESTORS INC      shares
COLONY FINANCIAL    Common equity 19624R106     5309     281967 SH         DEFINED    1,2,8                     281967
 INC                shares
VITACOST.COM INC    Common equity 92847A200        0     259170 SH         DEFINED    1,2,6                     259170
                    shares
SELECT MEDICAL      Common equity 81619Q105     7297     905647 SH         DEFINED    1,2,8                     905647
 HOLDINGS CORP      shares
TALECRIS            Common equity 874227101    29311    1093661 SH         DEFINED    1,2,5,6,8                1093661
 BIOTHERAPEUTCS     shares
 HLDG
ECHO GLOBAL         Common Stock  27875T101     2214     168414 SH         DEFINED    1,2,6                     168414
 LOGISTICS INC
EDUCATION           Common equity 28140M103     8947     427255 SH         DEFINED    1,2,6,8                   427255
 MANAGEMENT CORP    shares
BANCO SANTANDER     Depository    05967A107    11327     924136 SH         DEFINED    1,2,4,5,6,8,10            924136
 BRASIL  -ADR       Receipt
VERISK ANALYTICS    Common equity 92345Y106    54553    1665307 SH         DEFINED    1,2,5,6,8,10,12,18       1665307
 INC                shares
MISTRAS GROUP INC   Common equity 60649T107     4189     243477 SH         DEFINED    1,2,6                     243477
                    shares
OMEROS CORP         Common equity 682143102     2165     270653 SH         DEFINED    1,2                       270653
                    shares
RAILAMERICA INC     Common equity 750753402     7232     424242 SH         DEFINED    1,2,6                     424242
                    shares
DOLE FOOD CO INC    Common equity 256603101    10386     761825 SH         DEFINED    1,2,6,8                   761825
                    shares
VITAMIN SHOPPE INC  Common equity 92849E101    21004     620925 SH         DEFINED    1,2,6,8                   620925
                    shares
ANCESTRY.COM INC    Common equity 032803108    13223     372970 SH         DEFINED    1,2,6,8                   372970
                    shares
HYATT HOTELS CORP   Common equity 448579102    23041     535288 SH         DEFINED    1,2,3,5,6                 535288
                    shares
LIBERTY MEDIA STARZ Common equity 53071M708    51023     657505 SH         DEFINED    1,2,5,6,8,12              657505
 GROUP              shares
STR HOLDINGS INC    Common equity 78478V100    11983     624699 SH         DEFINED    1,2,6,8                   624699
                    shares
LEAR CORP           Common equity 521865204    62715    1283286 SH         DEFINED    1,2,5,6,8,17             1280046          3240
                    shares
DOLLAR GENERAL CORP Common Stock  256677105    47554    1516775 SH         DEFINED    1,2,5,6,8,10,12,18       1516775
RUE21 INC           Common equity 781295100    14867     516137 SH         DEFINED    1,2,6,8                   516137
                    shares
BRASIL TELECOM SA   Depository    10553M200      386      35867 SH         DEFINED    1,2,10                     35867
                    Receipt
FORTINET INC        Common equity 34959E109    39375     894904 SH         DEFINED    1,2,5,6,8                 894904
                    shares
ARCHIPELAGO         Common Stock  03956P102     1639     191472 SH         DEFINED    1,2,6                     191472
 LEARNING INC
CLOUD PEAK ENERGY   Common equity 18911Q102    53825    2493177 SH         DEFINED    1,2,6,8                  2493177
 INC                shares
GLOBAL DEFNSE TCH & Common equity 37950B107     2184      90187 SH         DEFINED    1,2                        90187
 SYS INC            shares
AOL INC             Common equity 00184X105    59253    3034204 SH         DEFINED    1,2,5,6,8,10,12          3034204
                    shares
CHARTER             Common equity 16117M305     1424      28123 SH         DEFINED    1,2,5                      28123
 COMMUNICATIONS INC shares
ALCOA INC           USA: Bond      013817AT     9943    3520000 SH         DEFINED    2                        3520000
ALLERGAN INC        USA: Bond      018490AL     4041    3595000 SH         DEFINED    2                        3595000
AMGEN INC           A U S issuer   031162AQ    14515   14588000 SH         DEFINED    2                       14588000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
AMYLIN              USA: Bond      032346AF     2897    3320000 SH         DEFINED    2                        3320000
 PHARMACEUTICALS
ARCHER DANIELS      A U S issuer   039483AW     7475    6738000 SH         DEFINED    2                        6738000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
BECKMAN COULTER INC USA: Bond      075811AD     3886    3254000 SH         DEFINED    2                        3254000
BOSTON PROPERTIES   USA: Bond      10112RAK     3826    3774000 SH         DEFINED    2                        3774000
 LP
CAMERON INTL CORP   Common equity  13342BAB     6100    3766000 SH         DEFINED    2                        3766000
                    shares
CEPHALON INC CEPH   A U S issuer   156708AP     7634    4577000 SH         DEFINED    2                        4577000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
CEPHALON INC        Common equity  156708AR     4074    3369000 SH         DEFINED    2                        3369000
                    shares
CHESAPEAKE ENERGY   A U S issuer   165167BZ    14880   13673000 SH         DEFINED    2                       13673000
 CORP               issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
CHESAPEAKE ENERGY   Common equity  165167CB     4270    4627000 SH         DEFINED    2                        4627000
 CORP               shares
CIENA CORP          A U S issuer   171779AE     2542    2600000 SH         DEFINED    2                        2600000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
D.R. HORTON INC DHI USA: Bond      23331ABB     3518    3069000 SH         DEFINED    2                        3069000
DANAHER CORP        A U S issuer   235851AF     7390    4906000 SH         DEFINED    1,2                      4906000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
EMC CORP            USA: Bond      268648AK    17697   10656000 SH         DEFINED    2                       10656000
EMC CORP            A U S issuer   268648AM    16954    9908000 SH         DEFINED    2                        9908000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
GILEAD SCIENCES INC USA: Bond      375558AG     2924    2667000 SH         DEFINED    2                        2667000
GILEAD SCIENCES INC A U S issuer   375558AH     4793    3924000 SH         DEFINED    2                        3924000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
HOLOGIC INC         A U S issuer   436440AA     6933    7131000 SH         DEFINED    2                        7131000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
INTEL CORP          A U S issuer   458140AD     9970    9594000 SH         DEFINED    2                        9594000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
L-3 COMMS HLDGS INC USA: Bond      502413AW     3775    3724000 SH         DEFINED    2                        3724000
LIBERTY MEDIA LLC   A U S issuer   530718AF     7740    6490000 SH         DEFINED    2                        6490000
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
LIFEPOINT HOSPITALS A U S issuer   53219LAH     3376    3120000 SH         DEFINED    2                        3120000
 INC                issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
LINEAR TECHNOLOGY   Any issuer     535678AC     5326    4930000 SH         DEFINED    2                        4930000
 CORP A             issuing in
                    any currency
                    offered in
                    all markets
                    simultaneously
MASSEY ENERGY CO    USA: Bond      576203AJ     4917    4302000 SH         DEFINED    2                        4302000
MEDTRONIC INC       Any issuer     585055AL     8653    8594000 SH         DEFINED    2                        8594000
                    issuing in
                    any currency
                    offered in
                    all markets
                    simultaneously
MEDTRONIC INC       Any issuer     585055AM    14600   14087000 SH         DEFINED    2                       14087000
                    issuing in
                    any currency
                    offered in
                    all markets
                    simultaneously
MICROCHIP           USA: Bond      595017AB     8807    6420000 SH         DEFINED    2                        6420000
 TECHNOLOGY INC
MICRON TECHNOLOGY   A U S issuer   595112AH     6377    5823000 SH         DEFINED    2                        5823000
 INC                issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
MOLSON COORS        Common equity  60871RAA     3954    3394000 SH         DEFINED    2                        3394000
 BREWING CO         shares
MYLAN INC           USA: Bond      628530AG     4238    3820000 SH         DEFINED    2                        3820000
NII HOLDINGS INC    Any issuer     62913FAJ     6128    6027000 SH         DEFINED    2                        6027000
                    issuing in
                    any currency
                    offered in
                    all markets
                    simultaneously
NABORS INDUSTRIES   Any issuer     629568AP     7975    7947000 SH         DEFINED    2                        7947000
 INC                issuing in
                    any currency
                    offered in
                    all markets
                    simultaneously
NETAPP INC          USA: Bond      64110DAB    11220    7064000 SH         DEFINED    2                        7064000
NEWMONT MINING CORP A U S          651639AH     5321    4023000 SH         DEFINED    2                        4023000
                    issuer
                    issuing in U
                    S  dollars
                    in the U S
                    capital
                    market
NEWMONT MINING CORP USA: Bond      651639AJ     4720    3471000 SH         DEFINED    2                        3471000
PEABODY ENERGY CORP USA: Bond      704549AG     6738    5023000 SH         DEFINED    2                        5023000
SANDISK CORP        A U S          80004CAC     6735    6858000 SH         DEFINED    2                        6858000
                    issuer
                    issuing in U
                    S  dollars
                    in the U S
                    capital
                    market
SUNTECH POWER HLDGS Common equity  86800CAE     3197    3470000 SH         DEFINED    2                        3470000
 CO                 shares
SYMANTEC CORP       A U S  dollar  871503AD     3558    3421000 SH         DEFINED    2                        3421000
                    denominated
                    issue offered
                    in Europe
SYMANTEC CORP       USA: Bond      871503AF     6962    5752000 SH         DEFINED    2                        5752000
TEVA PHARM FINANCE  A U S          88163VAE     3825    3354000 SH         DEFINED    2                        3354000
 LLC C              issuer
                    issuing in U
                    S  dollars
                    in the U S
                    capital
                    market
TEXTRON INC TXT     USA: Bond      883203BN     8346    3846000 SH         DEFINED    2                        3846000
TRANSOCEAN INC B    A U S          893830AV     9959    9955000 SH         DEFINED    2                        9955000
                    issuer
                    issuing in
                    U S  dollars
                    in the U S
                    capital
                    market
TRANSOCEAN INC C    USA: Bond      893830AW     9604    9731000 SH         DEFINED    2                        9731000
UAL CORP            USA: Bond      902549AH     4099    4000000 SH         DEFINED    2                        4000000
USEC INC            Common equity  90333EAC     2802    3470000 SH         DEFINED    2                        3470000
                    shares
US STEEL CORP       USA: Bond      912909AE    10656    5582000 SH         DEFINED    2                        5582000
VERISIGN INC        A U S          92343EAD     9065    7442000 SH         DEFINED    2                        7442000
                    issuer
                    issuing in U
                    S  dollars
                    in the U S
                    capital
                    market
WACHOVIA CORP       Public         94974680    25045      24143 SH         DEFINED    1,2                        24143
                    preferred
                    instrument
XILINX INC          USA: Bond      983919AD     4745    4073000 SH         DEFINED    2                        4073000
PEBBLEBROOK HOTEL   Common equity 70509V100    15433     696899 SH         DEFINED    1,2,6,8                   696899
 TRUST              shares
CIT GROUP INC       Common equity 125581801   155349    3650982 SH         DEFINED    1,2,5,6,8,10,12,18       3650982
                    shares
KAR AUCTION         Common equity 48238T109     4227     275768 SH         DEFINED    1,2,6,8                   275768
 SERVICES INC       shares
ALLIANCE DATA       USA: Bond      018581AD     5462    4526000 SH         DEFINED    2                        4526000
 SYSTEMS CO 144A
BANK OF AMERICA     USA: Bond      06050568    20435      20410 SH         DEFINED    1,2                        20410
 CORP
INTL GAME           USA: Bond      459902AQ     4831    4150000 SH         DEFINED    2                        4150000
 TECHNOLOGY 144A
ARCELORMITTAL       USA: Bond     03938LAK      7149    4830000 SH         DEFINED    2                        4830000
AES TRUST III       Preferred     00808N20      3257      66878 SH         DEFINED    1,2                        66878
                    equity shares
LIBERTY MEDIA LLC   Common equity  530715AR     2421    2961000 SH         DEFINED    2                        2961000
                    shares
PROLOGIS TRUST      USA: Bond      743410AQ     4416    4373000 SH         DEFINED    2                        4373000
SBA COMMUNICATIONS  USA: Bond      78388JAN     3599    3139000 SH         DEFINED    2                        3139000
 CORP 144A
VALE CAPITAL II     USA: Bond      91912F30     7556      79766 SH         DEFINED    2                          79766
COBALT INTL ENERGY  Common equity 19075F106    36150    2150582 SH         DEFINED    1,2,6,8                  2150582
 INC                shares
TEAM HEALTH         Common equity 87817A107     5063     289693 SH         DEFINED    1,2,6                     289693
 HOLDINGS INC       shares
NAVISTAR INTL CORP  USA: Bond      63934EAL     5939    3872000 SH         DEFINED    2                        3872000
NEWMONT MINING CORP Common equity  651639AK     3281    2617000 SH         DEFINED    2                        2617000
                    shares
KRATON PERFORMANCE  Common equity 50077C106     9081     237451 SH         DEFINED    1,2,6,8                   237451
 POLYMERS           shares
SUPERMEDIA INC      Common Stock  868447103     1509     241774 SH         DEFINED    1,2                       241774
WILLIS GROUP        Common equity G96666105    45738    1133353 SH         DEFINED    1,2,5,6,8,10,12,18       1133353
 HOLDINGS PLC       shares
FORD MOTOR COMPANY  USA: Bond      345370CN     9113    4980000 SH         DEFINED    2                        4980000
OCZ TECHNOLOGY      Common equity 67086E303      105      12994 SH         DEFINED    1                          12994
 GROUP INC          shares
OMNIAMERICAN        Common equity 68216R107     2955     186392 SH         DEFINED    1,2                       186392
 BANCORP INC        shares
CHESAPEAKE LODGING  Common equity 165240102     5964     342559 SH         DEFINED    1,2,8                     342559
 TRUST              shares
SYMETRA FINANCIAL   Common equity 87151Q106     5757     423226 SH         DEFINED    1,2,6,8                   423226
 CORP               shares
MADISON SQUARE      Common equity 55826P100    18403     681963 SH         DEFINED    1,2,5,6,8                 681963
 GARDEN INC         shares
STERLITE INDS INDIA USA: Bond      859737AB     2933    2850000 SH         DEFINED    2                        2850000
 LTD NOTE
 4.000%10/3
CAMBIUM LEARNING    Common equity 13201A107      771     226456 SH         DEFINED    1,2                       226456
 GROUP INC          shares
NORTHWEST           Common equity 667340103    30777    2454319 SH         DEFINED    1,2,5,6,8,17             2454319
 BANCSHARES INC     shares
PILGRIM`S PRIDE     Common equity 72147K108     6929     898420 SH         DEFINED    1,2,6                     898420
 CORP               shares
FIBERTOWER CORP     Common Stock  31567R209     1626     809664 SH         DEFINED    1,2                       809664
OCEAN SHORE HOLDING Common equity 67501R103      143      10991 SH         DEFINED    1                          10991
 CO                 shares
ENSCO PLC -ADR      Common equity 29358Q109    23727     410210 SH         DEFINED    1,2,5,6,8,19               66790
                    shares
BIGLARI HOLDINGS    Common equity 08986R101    17983      42456 SH         DEFINED    1,2,6,8                    42456
 INC                shares
SYCAMORE NETWORKS   Common equity 871206405     9825     402277 SH         DEFINED    1,2,5,6,8                 402277
 INC                shares
TOWERS WATSON & CO  Common equity 891894107    68163    1229055 SH         DEFINED    1,2,5,6,8,12             1229055
                    shares
MF GLOBAL HOLDINGS  Common equity 55277J108    23019    2780125 SH         DEFINED    1,2,5,6,8                2780125
 LTD                shares
DEX ONE CORP        Common equity 25212W100     4813     995171 SH         DEFINED    1,2,6                     995171
                    shares
CARMIKE CINEMAS INC Common equity 143436400     1279     179031 SH         DEFINED    1,2                       179031
                    shares
COWEN GROUP INC     Common equity 223622101     2479     617492 SH         DEFINED    1,2                       617492
                    shares
TRANSWITCH CORP     Common equity 894065309       57      12649 SH         DEFINED    1                          12649
                    shares
NATIONAL GRID       Common equity 636274300      228       4746 SH         DEFINED    1                           4746
                    shares
CACI INTL INC-CL A  Common equity 127190304    44730     729484 SH         DEFINED    1,2,5,6                   729484
                    shares
PEABODY ENERGY CORP Common equity 704549104   875448   12165645 SH         DEFINED    1,2,5,6,8,10,12,18      12165645
                    shares
INTERNATIONAL COAL  Common equity 45928H106    77635    6870428 SH         DEFINED    1,2,5,6,8                6870428
 GROUP INC          shares
NOMURA HOLDINGS INC Common equity 65535H208      265      50810 SH         DEFINED    1,2                        50810
                    shares
CHIQUITA BRANDS     Common equity 170032809    15616    1017630 SH         DEFINED    1,2,5,6,8                1017630
 INTL INC           shares
CITIGROUP INC       USA: Bond      17296741    25519     201971 SH         DEFINED    2                         201971
NEWS CORP           Common equity 65248E203    52257    2806542 SH         DEFINED    1,2,5,8,10,12,18         2806542
                    shares
USA MOBILITY INC    Common equity 90341G103    10817     746663 SH         DEFINED    1,2,5,6,8                 746663
                    shares
IRONWOOD            Common Stock  46333X108     4981     355707 SH         DEFINED    1,2,6,8                   355707
 PHARMACEUTICALS
 INC
SOLAR CAPITAL LTD   Common equity 83413U100     3080     128980 SH         DEFINED    1,2,8                     128980
                    shares
PIEDMONT OFFICE     Real Estate   720190206    53351    2748421 SH         DEFINED    1,2,3,5,6,8              2748421
 REALTY TRUST       Investment
                    Trust
TERRENO REALTY CORP Real Estate   88146M101     2585     150014 SH         DEFINED    1,2                       150014
                    Investment
                    Trust
GENERAC HOLDINGS    Common equity 368736104     7578     373628 SH         DEFINED    1,2                       373628
 INC                shares
GRAHAM PACKAGING CO Common equity 384701108     5763     330628 SH         DEFINED    1,2,6                     330628
 INC                shares







                                                       SHS/PRN  SH/  PUT/                                      SOLE   SHARED   NO
ISSUER                  CLASS       CUSIP     VALUE      VAL    PRN  CALL  DISCRETION        MANAGERS         VOTING  VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
QUINSTREET INC      Common equity 74874Q100     4266     187811 SH         DEFINED    1,2,6,8                   187811
                    shares
UNILIFE CORP        Common equity 90478E103     4975     877666 SH         DEFINED    1,2,6                     877666
                    shares
ANTHERA             Common equity 03674U102      485      71890 SH         DEFINED    1,2                        71890
 PHARMACEUTCLS INC  shares
ACCURIDE CORP       Common Stock  00439T206      351      25300 SH         DEFINED    1                          25300
BALTIC TRADING LTD  Common equity Y0553W103     2484     272193 SH         DEFINED    1,2                       272193
                    shares
SENSATA             Common equity N7902X106     2030      58452 SH         DEFINED    1,2,5,8                    58452
 TECHNOLOGIES HLDG  shares
 NV
AVEO                Common equity 053588109     2353     175746 SH         DEFINED    1,2                       175746
 PHARMACEUTICALS    shares
 INC
SEMGROUP CORP       Common equity 81663A105     2254      80053 SH         DEFINED    1,5                        80053
                    shares
FINANCIAL ENGINES   Common Stock  317485100     6479     235062 SH         DEFINED    1,2,6,8                   235062
 INC
CALIX INC           Common equity 13100M509     3565     175486 SH         DEFINED    1,2,6                     175486
                    shares
FIRST INTERSTATE    Common equity 32055Y201     2753     202508 SH         DEFINED    1,2                       202508
 BANCSYSTEM         shares
MAXLINEAR INC       Common equity 57776J100      888     108730 SH         DEFINED    1,2,6                     108730
                    shares
MERU NETWORKS INC   Common equity 59047Q103     1935      95291 SH         DEFINED    1,2,6                      95291
                    shares
SS&C TECHNOLOGIES   Common equity 78467J100     5989     293326 SH         DEFINED    1,2,6,8                   293326
 HLDGS INC          shares
SCORPIO TANKERS INC Common equity Y7542C106     2452     237958 SH         DEFINED    1,2                       237958
                    shares
ANNALY CAPITAL MGMT USA: Bond      035710AA     4233    3621000 SH         DEFINED    2                        3621000
VIRGIN MEDIA INC    An issue in   92769LAB7    10692    6236000 SH         DEFINED    2                        6236000
 144A               any currency
                    issued on a
                    private basis
PRIMERICA INC       Preferred     74164M108    11589     454322 SH         DEFINED    1,2,5,6,8                 454322
                    equity shares
METALS USA HOLDINGS Common equity 59132A104     3151     192508 SH         DEFINED    1,2,6                     192508
 CORP               shares
GOLUB CAPITAL BDC   Common equity 38173M102     1566      99283 SH         DEFINED    1,2                        99283
 INC                shares
CHATHAM LODGING     Real Estate   16208T102     2688     165207 SH         DEFINED    1,2                       165207
 TRUST              Investment
                    Trust
VIMPELCOM LTD       Common equity 92719A106    13167     932546 SH         DEFINED    1,2,6                     932546
                    shares
ALIMERA SCIENCES    Common equity 016259103      961     123237 SH         DEFINED    1,2                       123237
 INC                shares
CODEXIS INC         Common Stock  192005106     2471     208403 SH         DEFINED    1,2,6                     208403
DYNAVOX INC         Common equity 26817F104      797     144385 SH         DEFINED    1,2                       144385
                    shares
GLOBAL GEOPHYSICAL  Common equity 37946S107     2071     143413 SH         DEFINED    1,2,6                     143413
 SVCS INC           shares
SPS COMMERCE INC    Common equity 78463M107     1204      77688 SH         DEFINED    1,2                        77688
                    shares
THL CREDIT INC      Closed end    872438106     1626     118951 SH         DEFINED    1,2,6                     118951
                    mutual fund
EXCEL TRUST INC     Real Estate   30068C109     2646     224477 SH         DEFINED    1,2                       224477
                    Investment
                    Trust
CONVIO INC          Common equity 21257W105      904      77768 SH         DEFINED    1,2                        77768
                    shares
ALPHA AND OMEGA     Common Stock  G6331P104      948      74854 SH         DEFINED    1,2                        74854
 SEMICONDUCTR
DRYSHIPS INC        USA: Bond      262498AB     3530    3476000 SH         DEFINED    2                        3476000
DOUGLAS DYNAMICS    Common equity 25960R105     2562     179735 SH         DEFINED    1,2                       179735
 INC                shares
SIX FLAGS           Common equity 83001A102     5783      80314 SH         DEFINED    1,2,8                      80314
 ENTERTAINMENT CORP shares
EXPRESS INC         Common equity 30219E103     5762     294813 SH         DEFINED    1,2,6,8                   294813
                    shares
ROADRUNNER TRANS    Common equity 76973Q105     2456     163137 SH         DEFINED    1,2                       163137
 SVCS HLDGS         shares
TELENAV INC         Common Stock  879455103     1998     168260 SH         DEFINED    1,2                       168260
NORANDA ALUMINUM    Common equity 65542W107     4560     284266 SH         DEFINED    1,2                       284266
 HOLDING CP         shares
MPG OFFICE TRUST    Real Estate   553274101     3506     945336 SH         DEFINED    1,2                       945336
 INC                Investment
                    Trust
SPANSION INC        Common equity 84649R200     5471     293138 SH         DEFINED    1,2,8                     293138
                    shares
ACCRETIVE HEALTH    Common equity 00438V103     5463     196835 SH         DEFINED    1,2,6                     196835
 INC                shares
REACHLOCAL INC      Common equity 75525F104     1685      84245 SH         DEFINED    1,2,6                      84245
                    shares
FIRST AMERICAN      Common equity 31847R102    64113    3885478 SH         DEFINED    1,2,5,6,8,10,12,17       3875408         10070
 FINANCIAL CP       shares
FURIEX              Common Stock  36106P101     3384     200605 SH         DEFINED    1,2,5,6                   200605
 PHARMACEUTICALS
 INC
CBOE HOLDINGS INC   Common equity 12503M108     3640     125687 SH         DEFINED    1,2,8                     125687
                    shares
BROADSOFT INC       Common equity 11133B409     6062     127055 SH         DEFINED    1,2,6                     127055
                    shares
QEP RESOURCES INC   Common equity 74733V100   319831    7889351 SH         DEFINED    1,2,5,6,8,10,12,18       7889351
                    shares
HIGHER ONE HOLDINGS Common equity 42983D104     2779     192523 SH         DEFINED    1,2,6,8                   192523
 INC                shares
OASIS PETROLEUM INC Common equity 674215108    50463    1595794 SH         DEFINED    1,2,6,8                  1595794
                    shares
MOTRICITY INC       Common equity 620107102     1595     105993 SH         DEFINED    1,2                       105993
                    shares
VISHAY PRECISION    Common equity 92835K103     2738     174659 SH         DEFINED    1,2,5,6,8                 174659
 GROUP INC          shares
HUDSON PACIFIC      Common equity 444097109     3222     219204 SH         DEFINED    1,2                       219204
 PPTYS INC          shares
SMURFIT-STONE       Common equity 83272A104     6890     178289 SH         DEFINED    1,2,5,8                   178289
 CONTAINER CORP     shares
FABRINET            Common equity G3323L100     3018     149752 SH         DEFINED    1,2,6                     149752
                    shares
TESLA MOTORS INC    Common equity 88160R101     4399     158832 SH         DEFINED    1,6,8                     158832
                    shares
GOLDCORP INC 144A   USA: Bond     380956AB8     6663    5233000 SH         DEFINED    2                        5233000
HARTFORD FINL SVCS  USA: Bond     416515708     3410     131200 SH         DEFINED    2                         131200
 GRP
MYLAN INC 144A      USA: Bond     628530AJ6     6597    3570000 SH         DEFINED    2                        3570000
PPL CORPORATION     USA: Bond     69351T601     7557     142474 SH         DEFINED    2                         142474
SBA COMMUNICATIONS  Common equity 78388JAM8     4208    2837000 SH         DEFINED    2                        2837000
 CORP 144A          shares
QUAD/GRAPHICS INC   Common equity 747301109      691      16228 SH         DEFINED    1,2                        16228
                    shares
BABCOCK & WILCOX CO Common equity 05615F102    54632    1636748 SH         DEFINED    1,2,5,6,8,10,12          1636748
                    shares
QLIK TECHNOLOGIES   Common Stock  74733T105     7246     278674 SH         DEFINED    1,2,8                     278674
 INC
REALD INC           Common equity 75604L105     8020     293240 SH         DEFINED    1,2,6,8                   293240
                    shares
CAMELOT INFO        American      13322V105      223      13425 SH         DEFINED    2                          13425
 SYSTEMS INC-ADR    Depository
                    Receipt
AMERESCO INC        Common equity 02361E108     1614     114038 SH         DEFINED    1,2                       114038
                    shares
GREEN DOT CORP      Common equity 39304D102     2021      47095 SH         DEFINED    1,2,8                      47095
                    shares
LYONDELLBASELL      Common equity N53745100    62654    1584223 SH         DEFINED    1,2,5,6,8,10,12,18       1584223
 INDUSTRIES NV      shares
ENVESTNET INC       Common equity 29404K106     1428     106467 SH         DEFINED    1,2                       106467
                    shares
MOLYCORP INC        Common equity 608753109    77526    1291716 SH         DEFINED    1,2,5,6,8                1291716
                    shares
GORDMANS STORES INC Common equity 38269P100     1209      68065 SH         DEFINED    1,2                        68065
                    shares
INTRALINKS HOLDINGS Common equity 46118H104     4970     185858 SH         DEFINED    1,2,8                     185858
 INC                shares
NUPATHE INC         Common equity 67059M100      375      47965 SH         DEFINED    1                          47965
                    shares
MEDIAMIND           Common equity 58449C100      955      68971 SH         DEFINED    1,2                        68971
 TECHNOLOGIES INC   shares
REALPAGE INC        Common equity 75606N109     7965     287256 SH         DEFINED    1,2,8                     287256
                    shares
CORESITE REALTY     Real Estate   21870Q105     4295     271276 SH         DEFINED    1,2                       271276
 CORP               Investment
                    Trust
VISTEON CORP        Common Stock  92839U206     1972      31568 SH         DEFINED    1,2,17                     29078          2490
AMYRIS INC          Common Stock  03236M101     2273      79627 SH         DEFINED    1,2                        79627
CAMPUS CREST        Real Estate   13466Y105     7055     596368 SH         DEFINED    1,2,3,8                   596368
 COMMUNITIES INC    Investment
                    Trust
KEYW HOLDING CORP   Common equity 493723100     1818     148000 SH         DEFINED    1,2                       148000
                    shares
SANDISK CORP        Common equity  80004CAD     6295    5544000 SH         DEFINED    2                        5544000
                    shares
ANGLOGOLD HLDGS     USA: Bond      03512Q20     5252      98112 SH         DEFINED    2                          98112
BODY CENTRAL CORP   Common equity 09689U102     2050      88189 SH         DEFINED    1,2                        88189
                    shares
TOWER INTERNATIONAL Common equity 891826109     1510      89300 SH         DEFINED    1,2                        89300
 INC                shares
NETSPEND HOLDINGS   Common equity 64118V106     5711     542882 SH         DEFINED    1,2                       542882
 INC                shares
BRAVO BRIO          Common equity 10567B109     3023     170880 SH         DEFINED    1,2                       170880
 RESTAURANT GP INC  shares
VERA BRADLEY INC    Common equity 92335C106     9672     229187 SH         DEFINED    1,2                       229187
                    shares
AEGERION            Common equity 00767E102      983      59325 SH         DEFINED    1,2                        59325
 PHARMACEUTICALS    shares
 INC
CHEMTURA CORP       Common equity 163893209     1011      58762 SH         DEFINED    1                          58762
                    shares
PACIFIC BIOSCIENCES Common equity 69404D108     2837     202000 SH         DEFINED    1,2                       202000
 OF CALIF           shares
EXAMWORKS GROUP INC Common equity 30066A105     3493     157200 SH         DEFINED    1,2                       157200
                    shares
SEACUBE CONTAINER   Common Stock  G79978105     2321     144905 SH         DEFINED    1,2                       144905
 LEASING
FRESH MARKET INC    Common equity 35804H106    10619     281327 SH         DEFINED    1,2,6                     281327
                    shares
HOWARD HUGHES CORP  Common equity 44267D107    25514     361199 SH         DEFINED    1,2,5,6                   361199
                    shares
PRIMO WATER CORP    Common equity 74165N105     1632     133100 SH         DEFINED    1,2                       133100
                    shares
SABRA HEALTH CARE   Common equity 78573L106     8644     490707 SH         DEFINED    1,2,5,6,8                 490707
 REIT INC           shares
SUN HEALTHCARE      Common equity 86677E100     7295     518475 SH         DEFINED    1,2,5,6,8                 518475
 GROUP INC          shares
COMPLETE GENOMICS   Common equity 20454K104      558      61700 SH         DEFINED    1                          61700
 INC                shares
INPHI CORP          Common equity 45772F107     2202     104831 SH         DEFINED    1,2                       104831
                    shares
BOOZ ALLEN HAMILTON Common equity 099502106     1238      68696 SH         DEFINED    1,2                        68696
 HLDG CP            shares
GENERAL MOTORS CO   Common equity 37045V100   106915    3445533 SH         DEFINED    1,2,5,6,8,10,12,18       3445533
                    shares
LPL INVESTMENT      Common equity 50213H100     5351     149385 SH         DEFINED    1,2,6                     149385
 HOLDINGS INC       shares
ZOGENIX INC         Common equity 98978L105      494      98000 SH         DEFINED    1                          98000
                    shares
ANACOR              Common equity 032420101     1219     175900 SH         DEFINED    1,2                       175900
 PHARMACEUTICALS    shares
 INC
APACHE CORP         USA: Bond     037411808    10881     154300 SH         DEFINED    2                         154300
GENERAL MOTORS      USA: Bond     37045V209    28853     599227 SH         DEFINED    2                         599227
LIBERTY GLOBAL INC  USA: Bond     530555AB7     8801    5171000 SH         DEFINED    2                        5171000
 144A
STANLEY BLACK &     USA: Bond     854502309     4893      40632 SH         DEFINED    2                          40632
 DECKER I
FXCM INC            Common equity 302693106     3420     262507 SH         DEFINED    1,2                       262507
                    shares
TARGA RESOURCES     Common equity 87612G101     7201     198810 SH         DEFINED    1,2,5                     198810
 CORP               shares
FIRST REPUBLIC BANK Investments   33616C100      224       7247 SH         DEFINED    1,2                         7247
                    that contain
                    a pool of
                    securities
                    representing
                    a specific
                    index  and
                    are built
                    like mutu
ABITIBIBOWATER INC  Common equity 003687209    37056    1379108 SH         DEFINED    1,2,19                     97640
                    shares
FLEETCOR            Common equity 339041105     2208      67624 SH         DEFINED    1,2                        67624
 TECHNOLOGIES INC   shares
GAIN CAPITAL        Common equity 36268W100      215      28000 SH         DEFINED    1                          28000
 HOLDINGS INC       shares
RIGNET INC          Common equity 766582100      389      21446 SH         DEFINED    1,2                        21446
                    shares
WALKER & DUNLOP INC Common equity 93148P102      661      54400 SH         DEFINED    1,2                        54400
                    shares
QAD INC             Common Stock  74727D306     1402     130437 SH         DEFINED    1,2                       130437
SWIFT               Common Stock  87074U101      604      41100 SH         DEFINED    1                          41100
 TRANSPORTATION CO
FORTEGRA FINANCIAL  Closed end    34954W104      225      19800 SH         DEFINED    1                          19800
 CORP               mutual fund
MOTOROLA MOBILITY   Common equity 620097105   256287   10503676 SH         DEFINED    1,2,5,6,8,10,12,18      10503676
 HLDGS INC          shares
AMERICAN ASSETS     Real Estate   024013104     8559     402439 SH         DEFINED    1,2,3,8                   402439
 TRUST INC          Investment
                    Trust
KINROSS GOLD CORP   Option        496902404      487      28500 SH  OPTION DEFINED    18                         28500
 EQUITY OPTION
MEDLEY CAPITAL CORP Common Stock  58503F106      883      72444 SH         DEFINED    1,2                        72444
YAMANA GOLD INC     Option        98462Y100      316      30778 SH  OPTION DEFINED    18                         30778
 EQUITY OPTION
GOLD FIELDS LTD     Option        38059T106      193      14434 SH  OPTION DEFINED    18                         14434
 EQUITY OPTION
GOLDCORP INC EQUITY Option        380956409      487      11145 SH  OPTION DEFINED    18                         11145
 OPTION
FAIRPOINT           Common equity 305560302      202      12000 SH         DEFINED    1                          12000
 COMMUNICATIONS INC shares
DEMAND MEDIA INC    Miscellaneous 24802N109     1670      70900 SH         DEFINED    1,2                        70900
NIELSEN HOLDINGS NV Common Stock  N63218106    20333     744706 SH         DEFINED    1,2,5,6                   744706
BANKUNITED INC      Common equity 06652K103      466      16200 SH         DEFINED    1,2                        16200
                    shares
EPOCRATES INC       Common equity 29429D103      456      23000 SH         DEFINED    1,2                        23000
                    shares
NEOPHOTONICS CORP   Common equity 64051T100      354      31300 SH         DEFINED    1                          31300
                    shares
ENDOCYTE INC        Common equity 29269A102      534      62400 SH         DEFINED    1,2                        62400
                    shares
IMPERIAL HOLDINGS   Common equity 452834104     2117     208666 SH         DEFINED    1,2                       208666
 INC                shares
GEVO INC            Common equity 374396109      398      20200 SH         DEFINED    1,2                        20200
                    shares
SUMMIT HOTEL        Common equity 866082100     2280     229457 SH         DEFINED    1,2                       229457
 PROPERTIES INC     shares
KINDER MORGAN INC   Common equity 49456B101     8853     298662 SH         DEFINED    1,2,5                     298662
                    shares
OCCIDENTAL PET CORP Option        674599105     1091      14138 SH  OPTION DEFINED    18                         14138
 EQUITY OPTION
SUNOCO INC EQUITY   Option        86764P109      523      15040 SH  OPTION DEFINED    18                         15040
 OPTION
SOLAR SENIOR        Common equity 83416M105     1255      67358 SH         DEFINED    1,2                        67358
 CAPITAL LTD        shares
MARATHON OIL CORP   Option        565849106      662      21358 SH  OPTION DEFINED    18                         21358
 EQUITY OPTION
HCA HOLDINGS INC    Common Stock  40412C101     2984      88100 SH         DEFINED    1,2                        88100
COEUR D`ALENE MINES Option        192108504      244      15456 SH  OPTION DEFINED    18                         15456
 CORP EQUITY OPTION
SILVER WHEATON CORP Option        828336107      558      27769 SH  OPTION DEFINED    18                         27769
 EQUITY OPTION
TOTAL MARKET
VALUE: 616096959