[X]
|
ANNUAL
REPORT PURSUANT TO SECTION 15(d)
|
OF
THE SECURITIES EXCHANGE ACT OF 1934
|
[ ]
|
TRANSITION
REPORT PURSUANT TO SECTION 15(d)
|
OF
THE SECURITIES EXCHANGE ACT OF 1934
|
SIGNATURES
|
|
REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
|
|
FINANCIAL
STATEMENTS:
|
|
Statements
of Net Assets Available for Benefits as of December 31, 2007 and
2006
|
|
Statements
of Changes in Net Assets Available for Benefits for the Years Ended
December 31, 2007
and
2006
|
|
Notes
to Financial Statements as of December 31, 2007 and 2006, and for the
Years then Ended
|
|
SUPPLEMENTAL
SCHEDULES:
|
|
Schedule
of Assets (Held at End of Year) as of December 31, 2007
|
|
Schedule of Assets (Acquired and Disposed of Within Year) for Plan Year ended December 31, 2007 | |
EXHIBITS:
|
|
Exhibit
Index
|
|
Consent
of Independent Registered Public Accounting Firm
|
|
2007
|
2006
|
|||||||
ASSETS
|
||||||||
Investments: | ||||||||
Participant –
directed investments (at fair value)
|
$ | 3,127,587,464 | $ | 2,895,323,884 | ||||
Participant
Loans
|
58,519,891 | 55,239,294 | ||||||
Total
Investments
|
$ | 3,186,107,355 | $ | 2,950,563,178 | ||||
NET
ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE
|
$ | 3,186,107,355 | $ | 2,950,563,178 |
2007
|
2006
|
|||||||
NET
INVESTMENT INCOME
|
||||||||
Interest
|
$ | 49,794,619 | $ | 44,815,428 | ||||
Dividends
|
23,187,005 | 29,661,277 | ||||||
Net
Appreciation in Fair Value of Investments
|
152,440,809 | 216,080,147 | ||||||
TOTAL
|
225,422,433 | 290,556,852 | ||||||
CONTRIBUTIONS
|
||||||||
Participants | 159,162,020 | 145,140,492 | ||||||
Employer | 64,382,410 | 60,107,657 | ||||||
TOTAL
|
223,544,430 | 205,248,149 | ||||||
Distributions
To Participants
|
(206,175,376 | ) | (377,061,437 | ) | ||||
ADMINISTRATIVE
AND MANAGEMENT FEES
|
||||||||
Professional Fees | (772,380 | ) | (480,436 | ) | ||||
Investment Advisory and Management Fees | (6,047,575 | ) | (3,501,192 | ) | ||||
Other Fees | (427,355 | ) | (259,128 | ) | ||||
TOTAL
|
(7,247,310 | ) | (4,240,756 | ) | ||||
INCREASE
IN NET ASSETS
|
235,544,177 | 114,502,808 | ||||||
NET
ASSETS AVAILABLE FOR BENEFITS
BEGINNING OF YEAR
|
2,950,563,178 | 2,836,060,370 | ||||||
NET
ASSETS AVAILABLE FOR BENEFITS
END OF YEAR
|
$ | 3,186,107,355 | $ | 2,950,563,178 |
2007
|
2006
|
|||||||
American
Electric Power Company, Inc. Common Stock
|
$ | 343,008,731 | $ | 401,083,727 | ||||
Intermediate
Bond Fund - JPMorgan Chase Bank
|
$ | - | $ | 828,681,084 | ||||
EB
Daily Liquidity Aggregate Bond Index Fund
|
$ | 229,257,540 | $ | 185,242,997 | ||||
EB
Daily Liquidity Stock Index Fund
|
$ | 418,665,678 | $ | 339,905,703 | ||||
EB
Daily Liquidity International Stock Index Fund
|
$ | 226,251,737 | $ | - |
Year
Ended
December
31,
|
||||||||
2007
|
2006
|
|||||||
Investment
at Fair Value:
|
||||||||
American
Electric Power Company, Inc. –
Common
Stock
|
$ | 36,819,913 | $ | 50,371,670 | ||||
Investments
at Estimated Fair Value:
|
||||||||
Securities,
Mutual Funds and Group Annuity,
Bank
Investment and Other Fixed Income
Contracts
|
$ | 115,620,896 | $ | 165,708,477 | ||||
Total
Net Appreciation
|
$ | 152,440,809 | $ | 216,080,147 |
Identity
of Issuer, Borrower, Lessor or Similar Party
|
Number
of
SHARES/UNITS
|
FAIR
VALUE
|
|||
INVESTMENT
CONTRACTS:
|
|||||
Stable
Value Wrap
Bank
of America
variable
annual yield (5.5% at
December
31, 2007) with an
indeterminate
maturity date
|
-
|
$
|
5,016,981
|
||
Stable
Value Wrap
UBS
variable
annual yield (5.5% at
December
31, 2007) with an
indeterminate
maturity date
|
-
|
5,016,981
|
|||
Stable
Value Wrap
IXIS
variable
annual yield (5.5% at
December
31, 2007) with an
indeterminate
maturity date
|
-
|
5,016,981
|
|||
Stable
Value Wrap
State
Street Bank
variable
annual yield (5.5% at
December
31, 2007) with an
indeterminate
maturity date
|
-
|
5,016,981
|
|||
Subtotal
|
$
|
20,067,924
|
|||
Intermediate
Bond Fund-
JPMorgan
Chase Bank
|
-
|
$
|
794,926,246
|
||
U.S.
Treasury Notes
(4.875%,
due at May 31, 2009)
|
742,899
|
||||
U.S.
Treasury Notes
(4.875%,
due at June 30, 2009)
|
|
||||
JPMorgan
Chase Bank
Liquidity
Fund
|
-
|
11,407,259
|
|||
Cash
|
-
|
||||
TOTAL
– INVESTMENT CONTRACTS
|
$
|
827,713,550
|
Number
of
|
||||||
AEP
STOCK FUND:
|
SHARES/UNITS
|
FAIR
VALUE
|
||||
American
Electric Power Company, Inc. Common Stock $6.50 par
value
|
7,367,026
|
Shares
|
$
|
343,008,731
|
||
JP
Morgan Liquid Assets Money Market Fund
|
1,967,665
|
Units
|
1,967,665
|
|||
TOTAL
- AEP STOCK FUND
|
$
|
344,976,396
|
||||
PARTICIPANT LOANS
(interest rate ranging from 5.00% through 9.25% maturing through December
2021)
|
$
|
58,519,891
|
||||
Number
of
|
||||||
Identity
of Issuer, Borrower, Lessor or Similar Party
|
SHARES/UNITS
|
FAIR
VALUE
|
||||
Cash
Equivalents
|
||||||
(VAN
2) JPMORGAN DOMESTIC LIQUIDITY
|
15,375,836
|
Units
|
$
|
15,464,515
|
||
CASH
ACCOUNT
|
5,615,991
|
Units
|
5,615,991
|
|||
CASH
– COMMINGLED FUNDS
|
1,895,233
|
Units
|
1,895,233
|
|||
Cash
|
(1,072,829)
|
Units
|
* |
(1,072,829)
|
||
Total
Cash Equivalents
|
$
|
21,902,910
|
||||
Common/Collective
Trusts
|
||||||
Alliance
Bernstein Int’l Style Blend
|
8,354,369
|
Units
|
122,558,590
|
|||
EB
Daily Liquidity Aggregate Bond Index Fund
|
1,415,817
|
Units
|
229,257,540
|
|||
EB
Daily Liquidity Stock Index Fund
|
1,256,571
|
Units
|
418,665,678
|
|||
Income
- EB Daily Liquidity International Stock Index Fund
|
1,779,762
|
Units
|
226,251,737
|
|||
Income
- EB Daily Liquidity Small Cap Stock Index Fund
|
850,960
|
Units
|
91,006,394
|
|||
JPMCB
Emerging Markets
|
294,841
|
Units
|
15,647,202
|
|||
JPMCB
Liquidity Fund
|
8,526,920
|
Units
|
8,526,920
|
|||
JPMCB
Strategic Property Fund
|
28,752
|
Units
|
53,871,656
|
|||
JPMCB
US Real Estate Securities Fund
|
412,389
|
Units
|
14,462,486
|
|||
Total
Common/Collective Trusts
|
$
|
1,180,248,203
|
||||
Derivatives
|
||||||
W/CALL
EURO DOLLAR FUT OPT 95.000DUE 17/MAR/2008
|
(7)
|
Units
|
* |
(13,475)
|
||
W/CALL
US TREASURY NOTE 10 111.000DUE 22/FEB/2008
|
(11)
|
Units
|
* |
(31,281)
|
||
W/CALL
US TREASURY NOTE 10 114.000DUE 22/FEB/2008
|
(1)
|
Units
|
* |
(1,125)
|
||
W/PUT
US TREASURY NOTE 10 109.000DUE 22/FEB/2008
|
(3)
|
Units
|
* |
(422)
|
||
W/PUT
US TREASURY NOTE 10 108.000DUE 22/FEB/2008
|
(7)
|
Units
|
* |
(438)
|
||
W/PUT
US TREASURY NOTE 10 107.000DUE 22/FEB/2008
|
(4)
|
Units
|
* |
(188)
|
||
W/CALL
US TRAS NTS 5 YERS 110.000DUE 22/FEB/2008
|
(2)
|
Units
|
* |
(2,250)
|
||
W/PUT
EURO DOLLAR OPTION 95.500DUE 17/MAR/2008
|
(7)
|
Units
|
* |
(963)
|
||
W/PUT
EURO DOLLAR OPTION 95.500DUE 16/JUN/2008
|
(1)
|
Units
|
* |
(88)
|
||
W/PUT
USA TREAS NTS FUT 10 110.500DUE 22/FEB/2008
|
(18)
|
Units
|
* |
(6,188)
|
||
W/CALL
USA TREAS NTS FUT 10 116.000DUE 22/FEB/2008
|
(6)
|
Units
|
* |
(3,281)
|
||
W/PUT
USA TREAS NTS FUT 10 111.000DUE 22/FEB/2008
|
(2)
|
Units
|
* |
(906)
|
||
W/PUT
USA TREAS NTS FUT 10 110.000DUE 22/FEB/2008
|
(1)
|
Units
|
* |
(250)
|
||
W/PUT
USA TREAS NTS FUT 10 109.500DUE 22/FEB/2008
|
(10)
|
Units
|
* |
(1,875)
|
||
W/CALL
USA TREAS NTS FUT 10 114.000DUE 22/FEB/2008
|
(7)
|
Units
|
* |
(7,875)
|
||
W/PUT
USA TREAS NTS FUT 10 109.000DUE 22/FEB/2008
|
(9)
|
Units
|
* |
(1,266)
|
||
W/CALL
USA TREAS NTS FUT 10 113.500DUE 22/FEB/2008
|
(16)
|
Units
|
* |
(21,250)
|
||
W/PUT
USA TREAS NTS FUT 10 107.000DUE 22/FEB/2008
|
(3)
|
Units
|
* |
(141)
|
||
W/PUT
USA TREAS NTS FUT 10 112.000DUE 22/FEB/2008
|
(11)
|
Units
|
* |
(8,250)
|
||
W/PUT
USA TREAS BDS 115.000DUE 22/FEB/2008
|
(1)
|
Units
|
* |
(1,406)
|
||
W/PUT
USA TREAS BDS 112.000DUE 22/FEB/2008
|
(1)
|
Units
|
* |
(578)
|
||
W/CALL
USA TREAS BDS OPT 116.000DUE 22/FEB/2008
|
(3)
|
Units
|
* |
(6,656)
|
||
W/PUT
USA TREAS BDS OPT 109.000DUE 22/FEB/2008
|
(3)
|
Units
|
* |
(609)
|
||
W/PUT
USA TREAS BDS OPT 108.000DUE 22/FEB/2008
|
(1)
|
Units
|
* |
(141)
|
||
W/PUT
USA TREAS BDS OPT 113.000DUE 22/FEB/2008
|
(4)
|
Units
|
* |
(3,125)
|
||
W/PUT
USA TREAS BDS 114.000DUE 22/FEB/2008
|
(1)
|
Units
|
* |
(1,063)
|
||
W/PUT
USTN 5 YR FUTURE 109.500DUE 22/FEB/2008
|
(2)
|
Units
|
* |
(1,219)
|
||
W/PUT
USTN 5 YR FUTURE 109.000DUE 22/FEB/2008
|
(7)
|
Units
|
* |
(3,063)
|
||
W/PUT
USTN 5 YR FUTURE 108.000DUE 22/FEB/2008
|
(2)
|
Units
|
* |
(406)
|
||
W/PUT
USTN 5 YR FUTURE 107.000DUE 22/FEB/2008
|
(2)
|
Units
|
* |
(156)
|
||
Total
Derivatives
|
$
|
(119,934)
|
||||
Corporate
Stocks
|
||||||
3M
CO COM STK USD0.01
|
20,900
|
Units
|
1,762,288
|
|||
AARON
RENTS INC COM VTG USD0.5
|
9,300
|
Units
|
179,081
|
|||
ABB
LTD ADR EACH REPR I CHF2.50(SPON)
|
71,300
|
Units
|
2,053,440
|
|||
ABBOTT
LABS COM NPV
|
79,700
|
Units
|
4,475,155
|
|||
ABERCROMBIE
& FITCH CO CLASS'A'COM STK USD0.01
|
2,110
|
Units
|
168,737
|
|||
ABM
INDUSTRIES INC COM STK USD0.01
|
8,530
|
Units
|
173,927
|
|||
ACCENTURE
COM STK CLS'A'USD0.0000225
|
41,100
|
Units
|
1,480,833
|
|||
ACCO
BRANDS CORP COM STK USD0.01
|
18,950
|
Units
|
303,958
|
|||
ACE
LTD COM STK NPV
|
36,700
|
Units
|
2,277,235
|
|||
ACUITY
BRANDS INC COM STK USD0.01
|
13,385
|
Units
|
602,325
|
|||
ACXIOM
CORP COM STK USD0.10
|
12,410
|
Units
|
145,569
|
|||
ADOBE
SYSTEMS INC COM STK USD0.0001
|
144,300
|
Units
|
6,165,939
|
|||
ADVANCE
AMER CASH ADVANCE CTRS INC COM USD0.01
|
6,700
|
Units
|
68,072
|
|||
ADVANCE
AUTO PARTS INC COM STK USD0.0001
|
8,545
|
Units
|
325,150
|
|||
ADVANTA
CORP CLASS'B'NON VTG USD0.01
|
9,762
|
Units
|
78,779
|
|||
AETNA
INC NEW COM STK USD0.001
|
40,800
|
Units
|
2,355,384
|
|||
AFC
ENTERPRISES INC COM STK USD0.001
|
3,000
|
Units
|
33,960
|
|||
AFFILIATED
MANAGERS GROUP INC COM STK USD0.01
|
13,200
|
Units
|
1,550,472
|
|||
AFFYMETRIX
INC COM STK USD0.01
|
44,200
|
Units
|
1,022,788
|
|||
AIR
METHODS CORP COM STK USD0.06
|
2,400
|
Units
|
119,208
|
|||
AIR
PRODUCTS & CHEMICALS INC COM STK USD1
|
7,900
|
Units
|
782,179
|
|||
AKAMAI
TECHNOLOGIES COM STK USD0.01
|
83,800
|
Units
|
2,899,480
|
|||
ALCON
INC CHF0.20
|
25,400
|
Units
|
3,633,216
|
|||
ALEXANDRIA
REAL ESTATE EQUITIES INC COM STK USD0.01
|
2,000
|
Units
|
204,900
|
|||
ALLIANCE
IMAGING INC COM STK USD0.01
|
12,405
|
Units
|
119,336
|
|||
ALLIANT
TECHSYSTEMS INC COM STK USD0.01
|
2,520
|
Units
|
286,675
|
|||
ALLIANZ
SE ADR EACH REP 1/10 ORD SH
|
103,300
|
Units
|
2,195,125
|
|||
ALLIED
WASTE INDUSTRIES INC COM STK USD0.01
|
28,145
|
Units
|
310,158
|
|||
ALLSTATE
CORP COM USD0.01
|
42,100
|
Units
|
2,212,943
|
|||
ALPHARMA
INC CLASS'A'COM STK USD0.20
|
12,530
|
Units
|
252,480
|
|||
ALTRIA
GROUP INC COM STK USD0.333
|
29,300
|
Units
|
2,236,469
|
|||
AMEDISYS
INC COM STK USD0.001
|
3,979
|
Units
|
193,061
|
|||
AMERICAN
EAGLE OUTFITTER COM STK USD0.01
|
64,100
|
Units
|
1,337,767
|
|||
AMERICAN
EQUITY INVT LIFE HLDG CO COM STK USD1
|
17,725
|
Units
|
146,940
|
|||
AMERICAN
EXPRESS CO COM USD0.20
|
41,800
|
Units
|
2,174,436
|
|||
AMERICAN
INTERNATIONAL GROUP INC COM STK USD2.50
|
93,100
|
Units
|
5,427,730
|
|||
AMERISOURCEBERGEN
CORP COM STK NPV
|
50,500
|
Units
|
2,265,935
|
|||
AMERISTAR
CASINOS INC COM STK USD0.01
|
3,700
|
Units
|
101,898
|
|||
AMPHENOL
CORP CLASS'A'COM STK USD0.001
|
78,800
|
Units
|
3,655,239
|
|||
ANHEUSER-BUSCH
COS COM USD1
|
42,200
|
Units
|
2,208,748
|
|||
ANNTAYLOR
STORES CORP COM STK USD0.0068
|
4,600
|
Units
|
117,576
|
|||
ANWORTH
MORTGAGE ASSET CORP COM STK USD0.01
|
23,490
|
Units
|
196,846
|
|||
APARTMENT
INVESTMENT & MANAGEMENT COM STK USD0.01 CLASS'A'
|
11,900
|
Units
|
443,156
|
|||
APOGEE
ENTERPRISES INC COM STK USD0.33 1/3
|
4,300
|
Units
|
73,573
|
|||
APOLLO
INVESTMENT CORP COM STK USD0.001
|
20,335
|
Units
|
346,712
|
|||
APPLE
INC COM STK NPV
|
31,400
|
Units
|
6,219,712
|
|||
APTARGROUP
INC COM STK USD0.01
|
45,200
|
Units
|
1,849,132
|
|||
ARES
CAPITAL CORP COM STK USD0.001
|
16,185
|
Units
|
236,787
|
|||
ARGO
GROUP INTL HLDGS COM STK USD0.01
|
5,319
|
Units
|
224,089
|
|||
ARROW
ELECTRONICS INC COM STK USD1
|
42,525
|
Units
|
1,670,382
|
|||
ASBURY
AUTOMOTIVE GROUP INC COM STK USD0.01
|
20,550
|
Units
|
309,278
|
|||
ASHLAND
INC COM STK USD1
|
17,100
|
Units
|
811,053
|
|||
ASPEN
INSURANCE HLDGS COM STK USD0.15144558
|
18,515
|
Units
|
533,973
|
|||
ASSURANT
INC COM STK USD0.01
|
6,260
|
Units
|
418,794
|
|||
ASTRAZENECA
ADR EACH REP 1 ORD USD0.25(MGT)
|
44,200
|
Units
|
1,892,644
|
|||
ATMEL
CORP COM STK USD0.001
|
172,400
|
Units
|
744,768
|
|||
ATMI
INC COM STK USD0.01
|
3,600
|
Units
|
116,100
|
|||
ATWOOD
OCEANICS INC COM STK USD1
|
8,600
|
Units
|
862,064
|
|||
AUTODESK
INC COM STK NPV
|
52,200
|
Units
|
2,597,472
|
|||
AUTOLIV
INC COM STK USD1
|
31,700
|
Units
|
1,670,907
|
|||
AUTOZONE
INC COM STK USD0.01
|
15,200
|
Units
|
1,822,632
|
|||
AVID
TECHNOLOGIES INC COM STK USD0.01
|
5,660
|
Units
|
160,404
|
|||
AVNET
INC COM STK USD1
|
38,020
|
Units
|
1,329,559
|
|||
BALL
CORP COM STK NPV
|
16,100
|
Units
|
724,500
|
|||
BANK
OF HAWAII CORP COM STK USD2
|
3,200
|
Units
|
163,648
|
|||
BANKUNITED
FINANCIAL CORP COM STK USD0.01 CLASS'A'
|
36,495
|
Units
|
251,816
|
|||
BANNER
CORP COM STK USD0.01
|
2,500
|
Units
|
72,525
|
|||
BARR
PHARMACEUTICALS INC COM STK USD0.01
|
30,700
|
Units
|
1,630,170
|
|||
BAXTER
INTL INC COM USD1
|
55,700
|
Units
|
3,245,696
|
|||
BECKMAN
COULTER INC COM STK USD0.10
|
23,646
|
Units
|
1,721,429
|
|||
BEL
FUSE INC CLASS'B'SHS USD0.1
|
4,000
|
Units
|
117,080
|
|||
BELDEN
INC COM STK USD0.01
|
11,485
|
Units
|
511,536
|
|||
BENCHMARK
ELECTRONICS INC COM STK USD0.10
|
8,270
|
Units
|
146,627
|
|||
BERKLEY(W.R.)CORP
COM STK USD0.20
|
33,000
|
Units
|
985,380
|
|||
BIG
5 SPORTING GOODS CORP COM STK USD0.01
|
3,400
|
Units
|
49,028
|
|||
BIO
RAD LABORATORIES INC CLASS'A'COM STK USD0.0001
|
1,100
|
Units
|
113,982
|
|||
BJ
SERVICES COM STK USD0.10
|
39,700
|
Units
|
965,107
|
|||
BJS
WHOLESALE CLUB INC COM STK USD0.01
|
10,975
|
Units
|
371,284
|
|||
BLACK
BOX CORP COM STK USD0.001
|
4,700
|
Units
|
170,329
|
|||
BLOCK(H
& R) INC COM STK NPV
|
14,540
|
Units
|
270,008
|
|||
BOEING
CO COM STK USD5
|
21,900
|
Units
|
1,915,374
|
|||
BOK
FINANCIAL CORP COM STK USD0.00006
|
2,500
|
Units
|
129,250
|
|||
BORG-WARNER
INC COM STK USD0.01
|
40,400
|
Units
|
1,955,764
|
|||
BRADY
CORP 'A'NON.V USD0.01
|
9,890
|
Units
|
347,040
|
|||
BRISTOW
GROUP INC COM STK USD0.01
|
8,620
|
Units
|
488,323
|
|||
BROADRIDGE
FINANCIAL SOL COM STK NPV
|
16,085
|
Units
|
361,803
|
|||
BROOKS
AUTOMATION INC
|
62,400
|
Units
|
824,304
|
|||
BROWN
SHOE CO INC COM STK USD3.75
|
8,545
|
Units
|
130,241
|
|||
BUCYRUS
INTERNATIONAL INC COM STK USD0.01
|
14,300
|
Units
|
1,421,277
|
|||
CABLEVISION
SYSTEMS CORP NY GROUP COM STK USD0.01
|
65,500
|
Units
|
1,604,750
|
|||
CABOT
CORP COM STK USD1
|
2,400
|
Units
|
80,016
|
|||
CABOT
OIL & GAS CO COM USD0.10
|
4,800
|
Units
|
193,776
|
|||
CACI
INTL INC CLASS A COM
|
12,000
|
Units
|
537,240
|
|||
CADENCE
DESIGN SYSTEMS INC COM STK USD0.01
|
101,100
|
Units
|
1,719,711
|
|||
CAE
INC COM NPV
|
120,400
|
Units
|
1,609,748
|
|||
CAMBREX
CORP COM STK USD0.10
|
8,500
|
Units
|
71,230
|
|||
CAMECO
CORP COM NPV
|
80,000
|
Units
|
3,188,868
|
|||
CARLISLE
COS INC COM STK USD1
|
19,600
|
Units
|
725,788
|
|||
CARTERS
INC COM STK USD0.01
|
83,700
|
Units
|
1,619,595
|
|||
CEC
ENTERTAINMENT COM STK USD0.10
|
6,300
|
Units
|
163,548
|
|||
CEMEX
S.A.B. DE C.V. ADR EACH REP 10 CPO(SPON)
|
31,688
|
Units
|
819,135
|
|||
CENTENNIAL
COMMUNICATIONS CORP CLASS'A'COM STK USD0.01
|
101,100
|
Units
|
939,219
|
|||
CENTRAL
PAC FINL CORP COM
|
6,600
|
Units
|
121,836
|
|||
CEPHALON
INC COM STK USD0.01
|
18,700
|
Units
|
1,341,912
|
|||
CHAMPION
ENTERPRISES INC COM STK USD1
|
37,330
|
Units
|
351,649
|
|||
CHARLOTTE
RUSSE HLDG INC COM STK USD0.01
|
15,735
|
Units
|
254,120
|
|||
CHARMING
SHOPPES INC COM STK USD0.10
|
57,425
|
Units
|
310,669
|
|||
CHECKPOINT
SYSTEMS COM STK USD0.10
|
5,100
|
Units
|
132,498
|
|||
CHEVRON
CORP COM STK USD0.75
|
24,400
|
Units
|
2,277,252
|
|||
CHICAGO
BRIDGE & IRON CO N.V. EUR0.01 (REG)
|
1,600
|
Units
|
96,704
|
|||
CHILDRENS
PLACE RETAIL STORE INC COM STK USD0.10
|
1,610
|
Units
|
41,747
|
|||
CIBER
INC COM STK USD0.01
|
23,100
|
Units
|
141,141
|
|||
CIENA
CORP COM STK USD0.01.
|
40,900
|
Units
|
1,395,099
|
|||
CIGNA
CORP COM STK USD0.25
|
46,700
|
Units
|
2,509,658
|
|||
CIMAREX
ENERGY CO COM STK USD0.01
|
3,400
|
Units
|
144,602
|
|||
CINCINNATI
BELL NC USD0.01
|
251,700
|
Units
|
1,195,575
|
|||
CISCO
SYSTEMS INC COM STK USD0.001
|
194,100
|
Units
|
5,254,287
|
|||
CIT
GROUP INC COM STK USD0.01
|
82,700
|
Units
|
1,987,281
|
|||
CITIGROUP
INC COM STK USD0.01
|
71,200
|
Units
|
2,096,128
|
|||
CITIZENS
REPUBLIC BANCORP INC COM STK NPV
|
16,600
|
Units
|
240,866
|
|||
CLARCOR
INC COM STK USD1
|
8,700
|
Units
|
330,339
|
|||
CLEVELAND
CLIFFS INC COM STK USD1
|
16,500
|
Units
|
1,663,200
|
|||
CME
GROUP INC COM STK USD0.01 CLASS'A'
|
2,800
|
Units
|
1,920,800
|
|||
CMS
ENERGY CORP COM STK USD0.01
|
58,200
|
Units
|
1,011,516
|
|||
CNET
NETWORKS INC COM STK USD0.0001
|
79,500
|
Units
|
726,630
|
|||
COACH
INC COM STK USD0.01
|
76,500
|
Units
|
2,339,370
|
|||
COGNEX
CORP COM STK USD0.002
|
29,600
|
Units
|
596,440
|
|||
COGNIZANT
TECHNOLO COM CL'A'USD0.01
|
40,400
|
Units
|
1,371,176
|
|||
COLGATE-PALMOLIVE
CO COM STK USD1
|
62,100
|
Units
|
4,841,316
|
|||
COLUMBIA
BANKING SYSTEMS INC COM STK NPV
|
2,100
|
Units
|
62,433
|
|||
COMERICA
INC COM STK USD5
|
26,400
|
Units
|
1,166,088
|
|||
COMMSCOPE
INC COM STK USD0.01
|
3,334
|
Units
|
164,066
|
|||
COMPLETE
PRODUCTION SERVICES INC COM STK USD0.01
|
58,300
|
Units
|
1,047,651
|
|||
COMPTON
PETROLEUM CORP COM NPV
|
16,070
|
Units
|
147,844
|
|||
COMPUTER
SCIENCES CORP COM STK USD1
|
46,200
|
Units
|
2,285,514
|
|||
COMSTOCK
RESOURCES INC COM STK USD0.50
|
8,915
|
Units
|
303,110
|
|||
COMTECH
TELECOMMUNICATIONS COM STK USD0.10
|
11,000
|
Units
|
594,110
|
|||
COMVERSE
TECHNOLOGY INC COM USD0.10
|
14,480
|
Units
|
249,780
|
|||
CONOCOPHILLIPS
COM STK USD1.25
|
26,600
|
Units
|
2,348,780
|
|||
CONSECO
INC COM STK USD0.01
|
13,665
|
Units
|
171,632
|
|||
CONSOL
ENERGY INC COM STK USD0.01
|
4,200
|
Units
|
300,384
|
|||
CORE
LABORATORIES NV EUR0.01
|
900
|
Units
|
112,248
|
|||
CORN
PRODUCTS INTERNATIONAL INC COM STK USD0.01
|
3,800
|
Units
|
139,650
|
|||
COSTCO
WHOLESALE CORP COM STK USD0.005
|
29,800
|
Units
|
2,078,848
|
|||
COVENTRY
HEALTHCAR COM STK USD0.01
|
18,800
|
Units
|
1,113,900
|
|||
COWEN
GROUP INC COM STK NPV
|
10,080
|
Units
|
95,861
|
|||
CRANE
CO COM STK USD1
|
39,400
|
Units
|
1,690,260
|
|||
CREDIT
SUISSE GROUP ADR-EACH REPR 1 ORD(DT BK)LEVEL II
|
35,700
|
Units
|
2,145,570
|
|||
CROWN
MEDIA HOLDINGS CLASS'A'COM STK USD0.01
|
42,600
|
Units
|
276,900
|
|||
CSG
SYSTEMS INTL INC COM STK USD0.01
|
4,700
|
Units
|
69,184
|
|||
CUMMINS
INC COM STK USD2.50
|
32,900
|
Units
|
4,190,473
|
|||
CVS
CAREMARK CORP COM STK USD0.01
|
47,300
|
Units
|
1,880,175
|
|||
CYTEC
INDUSTRIES INC COM STK USD0.01
|
6,260
|
Units
|
385,491
|
|||
DARDEN
RESTAURANTS INC COM STK NPV
|
38,800
|
Units
|
1,075,148
|
|||
DAVITA
INC COM STK USD0.001
|
16,910
|
Units
|
952,879
|
|||
DEL
MONTE FOODS COM STK USD0.01
|
24,975
|
Units
|
236,264
|
|||
DELPHI
FINANCIAL GROUP INC CLASS'A'COM STK USD0.01
|
7,400
|
Units
|
261,072
|
|||
DIEBOLD
INC COM STK USD1.25
|
6,080
|
Units
|
176,198
|
|||
DISCOVERY
HLDG CO CLASS'A'COM STK USD0.01
|
50,900
|
Units
|
1,279,626
|
|||
DOMINION
RESOURCES INC(VIRGINIA) COM STK NPV
|
21,200
|
Units
|
1,005,940
|
|||
DOMTAR
CORPORATION COM STK USD0.01
|
21,065
|
Units
|
161,990
|
|||
DONNELLEY(R.R.)&
SONS CO COM STK USD1.25
|
31,300
|
Units
|
1,181,262
|
|||
DREAMWORKS
ANIMATION SKG INC CLASS 'A' COM STK USD0.01
|
31,000
|
Units
|
791,740
|
|||
DRS
TECHNOLOGIES INC COM STK USD0.01
|
8,460
|
Units
|
459,124
|
|||
DST
SYSTEMS INC DELAWARE COM STK USD0.01
|
29,900
|
Units
|
2,468,245
|
|||
DTE
ENERGY CO COM STK NPV
|
20,000
|
Units
|
889,800
|
|||
DUKE
REALTY CORP COM STK USD0.01
|
40,000
|
Units
|
1,043,200
|
|||
EARTHLINK
INC COM STK USD0.01
|
31,970
|
Units
|
226,028
|
|||
EAST
WEST BANCORP INC COM STK USD0.01
|
3,600
|
Units
|
87,228
|
|||
EASTMAN
CHEMICAL CO COM STK USD0.01
|
12,200
|
Units
|
750,666
|
|||
EATON
CORP COM USD0.50
|
23,800
|
Units
|
2,307,410
|
|||
EBAY
INC COM STK USD0.001
|
45,200
|
Units
|
1,500,188
|
|||
EDISON
INTERNATIONAL COM STK NPV
|
17,300
|
Units
|
928,578
|
|||
EDUCATION
REALTY TRUST INC COM STK USD0.01
|
9,400
|
Units
|
105,656
|
|||
EL
PASO ELECTRIC CO COM STK NPV
|
12,300
|
Units
|
314,511
|
|||
ELAN
CORP ADR-EACH CNV INTO 1 ORD EUR0.05
|
49,700
|
Units
|
1,092,406
|
|||
ELECTRONIC
ARTS COM STK USD0.01
|
48,900
|
Units
|
2,856,249
|
|||
ELECTRONICS
FOR IMAGING INC COM STK USD0.01
|
14,400
|
Units
|
323,712
|
|||
EMULEX
CORP COM STK USD0.10
|
20,945
|
Units
|
341,822
|
|||
ENCORE
ACQUISITION CO COM STK USD0.01
|
7,695
|
Units
|
256,782
|
|||
ENDO
PHARMACEUTICAL HLDGS INC COM STK NPV
|
30,700
|
Units
|
818,769
|
|||
ENDURANCE
SPECIALTY HLDGS COM STK USD1
|
11,900
|
Units
|
496,587
|
|||
ENERGEN
CORP COM STK USD0.01
|
11,900
|
Units
|
764,337
|
|||
ENERGY
EAST CORP COM STK USD0.01
|
6,000
|
Units
|
163,260
|
|||
ENERSYS
COM USD0.01
|
10,415
|
Units
|
259,958
|
|||
ENI
ADR EACH REP 2 ORD (MGT)
|
30,100
|
Units
|
2,180,143
|
|||
ENTERCOM
COMMUNICATIONS COM STK USD0.01
|
16,300
|
Units
|
223,147
|
|||
ENTERGY
CORP COM STK USD0.01
|
8,200
|
Units
|
980,064
|
|||
EQUIFAX
INC COM STK USD1.25
|
71,450
|
Units
|
2,597,922
|
|||
EVEREST
RE GROUP COM STK USD0.01
|
4,070
|
Units
|
408,628
|
|||
FAIRCHILD
SEMICONDUCTOR INTL INC
|
23,300
|
Units
|
336,219
|
|||
FAMILY
DOLLAR STORES INC COM STK USD0.10
|
31,200
|
Units
|
602,483
|
|||
FANNIE
MAE GOVT AG 8.25% BDS 31/12/49 SER'S'
|
5,000
|
Units
|
128,750
|
|||
FANNIE
MAE NON CUM PRF SER'O'
|
200
|
Units
|
9,219
|
|||
FED
HOME LOAN MTG 8.375% PRF 31/12/12 USD25
|
6,000
|
Units
|
156,900
|
|||
FEI
CO COM STK NPV
|
3,400
|
Units
|
84,422
|
|||
FERRO
CORP COM STK USD1
|
9,200
|
Units
|
190,716
|
|||
FIRST
AMERICAN CORP COM STK USD1
|
8,220
|
Units
|
282,321
|
|||
FIRST
FINANCIAL BANKSHARES INC COM STK USD10
|
1,500
|
Units
|
57,179
|
|||
FIRST
MIDWEST BANCORP COM STK USD0.01
|
3,900
|
Units
|
120,549
|
|||
FIRST
PLACE FINANCIAL/OHIO COM STK USD0.01
|
6,900
|
Units
|
96,531
|
|||
FIRSTENERGY
CORP COM STK USD0.10
|
14,300
|
Units
|
1,034,462
|
|||
FISERV
INC COM STK USD0.01
|
26,500
|
Units
|
1,470,485
|
|||
FLEXTRONICS
INTERNATIONAL ORD USD0.01
|
74,000
|
Units
|
892,440
|
|||
FLIR
SYSTEMS INC COM STK USD0.01
|
42,054
|
Units
|
1,316,290
|
|||
FLUSHING
FINANCIAL CORP COM STK USD0.01
|
44,700
|
Units
|
717,435
|
|||
FOOT
LOCKER INC COM STK USD0.01
|
46,065
|
Units
|
629,248
|
|||
FOREST
OIL CORP COM STK USD0.10
|
1,100
|
Units
|
55,924
|
|||
FORESTAR
REAL ESTATE GROUP INC COM STK USD1
|
5,500
|
Units
|
129,745
|
|||
FORRESTER
RESEARCH INC COM STK USD0.01
|
3,200
|
Units
|
89,664
|
|||
FOUNDRY
NETWORKS INC COM STK USD0.0001
|
82,800
|
Units
|
1,450,656
|
|||
FREEPORT-MCMORAN
COPPER & GOLD INC COM STK USD0.10
|
8,400
|
Units
|
860,496
|
|||
FRIEDMAN
BILLINGS RAMSEY GROUP INC CLASS'A'COM STK USD0.01
|
110,205
|
Units
|
346,044
|
|||
FULLER(H.B.)CO
COM STK USD1
|
12,400
|
Units
|
278,380
|
|||
G
& K SERVICES INC CLASS'A'COM STK USD0.50
|
7,210
|
Units
|
270,519
|
|||
GAMESTOP
CORPORATION NEW CLASS 'A' COM USD0.001
|
30,100
|
Units
|
1,869,511
|
|||
GAP
INC COM STK USD0.05
|
93,000
|
Units
|
1,979,040
|
|||
GARMIN
COM STK USD0.01
|
5,300
|
Units
|
514,100
|
|||
GENCORP
INC COM STK USD0.10
|
69,700
|
Units
|
812,702
|
|||
GENENTECH
INC COM USD0.02
|
41,100
|
Units
|
2,756,577
|
|||
GENERAL
CABLE CORP COM STK USD0.01
|
13,800
|
Units
|
1,011,264
|
|||
GENERAL
COMMUNICATIONS CLASS'A'COM NPV
|
18,100
|
Units
|
158,375
|
|||
GENERAL
DYNAMICS CORP COM STK USD1
|
17,200
|
Units
|
1,530,628
|
|||
GENERAL
ELECTRIC CO. COM STK USD0.06
|
141,700
|
Units
|
5,297,490
|
|||
GENERAL
MILLS INC COM STK USD0.1
|
37,700
|
Units
|
2,148,900
|
|||
GENWORTH
FINANCIAL INC COM STK USD0.001
|
24,300
|
Units
|
618,435
|
|||
GEVITY
HR INC COM USD0.01
|
20,420
|
Units
|
157,030
|
|||
GILDAN
ACTIVEWEAR INC COM NPV
|
33,300
|
Units
|
1,370,628
|
|||
GILEAD
SCIENCES INC COM STK USD0.001
|
197,200
|
Units
|
9,073,172
|
|||
GLOBAL
PAYMENTS INC COM STK USD0.001
|
6,900
|
Units
|
320,988
|
|||
GOLDMAN
SACHS GROUP INC COM STK USD0.01
|
21,100
|
Units
|
4,537,555
|
|||
GOODRICH
CORP COM STK USD5
|
34,200
|
Units
|
2,422,557
|
|||
GOOGLE
INC COM STK USD0.001 CLS'A'
|
12,700
|
Units
|
8,781,796
|
|||
GRACO
INC COM STK USD1
|
51,500
|
Units
|
1,918,890
|
|||
GRAY
TELEVISION INC.
|
50,900
|
Units
|
409,745
|
|||
GREATBATCH
INC COM STK USD0.001
|
3,361
|
Units
|
67,186
|
|||
GREIF
INC COM STK CLASS'A' NPV
|
1,400
|
Units
|
91,910
|
|||
GRIFFON
CORP COM STK USD0.25
|
13,440
|
Units
|
167,328
|
|||
GROUP
1 AUTOMOTIVE INC COM STK NPV
|
6,365
|
Units
|
151,169
|
|||
GUARANTY
FINANCIAL GROUP INC COM STK USD1.00 'WI'
|
5,500
|
Units
|
88,000
|
|||
GUESS
INC COM STK USD0.01
|
38,800
|
Units
|
1,473,236
|
|||
GYMBOREE
CORP COM STK USD0.001
|
63,600
|
Units
|
1,937,256
|
|||
HAEMONETICS
CORP COM STK USD0.01
|
6,825
|
Units
|
430,112
|
|||
HANMI
FINANCIAL CORP COM STK USD0.001
|
300
|
Units
|
2,658
|
|||
HANOVER
INSURANCE GROUP INC COM STK USD0.01
|
12,530
|
Units
|
573,874
|
|||
HANSEN
NATURAL CORP COM STK USD0.005
|
17,700
|
Units
|
783,933
|
|||
HARLEYSVILLE
GROUP INC COM STK USD1
|
1,100
|
Units
|
38,918
|
|||
HARMONIC
INC COM STK USD0.001
|
170,400
|
Units
|
1,785,792
|
|||
HARRAHS
ENTERTAINMENT INC COM STK USD0.10
|
13,000
|
Units
|
1,153,750
|
|||
HARRIS
CORP COM STK USD1
|
6,665
|
Units
|
417,762
|
|||
HARRIS
STRATEX NETWORKS INC COM STK USD0.01 CLS'A'
|
11,400
|
Units
|
190,380
|
|||
HARSCO
CORP COM STK USD1.25
|
39,800
|
Units
|
2,549,986
|
|||
HARTE-HANKS
INC COM STK USD1
|
18,400
|
Units
|
318,320
|
|||
HARTFORD
FINANCIAL SERVICES GRP INC COM STK USD0.01
|
24,800
|
Units
|
2,173,707
|
|||
HASBRO
INC COM STK USD0.50
|
63,500
|
Units
|
1,624,330
|
|||
HEALTH
CARE REIT INC COM STK USD1
|
5,661
|
Units
|
252,990
|
|||
HEALTH
NET INC COM STK USD0.001
|
16,100
|
Units
|
777,630
|
|||
HEALTHSPRING
USD0.01
|
8,380
|
Units
|
159,639
|
|||
HEIDRICK
& STRUGGLES COM STK USD0.01
|
18,500
|
Units
|
686,535
|
|||
HELIX
ENERGY SOLUTIONS GROUP INC COM STK NPV
|
26,520
|
Units
|
1,100,580
|
|||
HELMERICH
& PAYNE INC COM STK USD0.10
|
46,700
|
Units
|
1,871,269
|
|||
HERCULES
OFFSHORE INC COM STK NPV
|
62,400
|
Units
|
1,483,872
|
|||
HESS
CORPORATION COM USD1
|
24,700
|
Units
|
2,494,222
|
|||
HEWITT
ASSOCIATES COM USD0.01 CLASS A
|
7,710
|
Units
|
295,216
|
|||
HEWLETT-PACKARD
CO COM STK USD0.01
|
129,800
|
Units
|
6,561,200
|
|||
HEXCEL
CORP COM STK USD0.01
|
61,700
|
Units
|
1,498,076
|
|||
HILB
ROGAL & HOBBS COM STK NPV
|
4,880
|
Units
|
197,982
|
|||
HOLOGIC
INC COM STK USD0.01
|
35,605
|
Units
|
2,443,927
|
|||
HOME
PROPERTIES INC COM STK USD0.01
|
8,700
|
Units
|
390,195
|
|||
HORACE
MANN EDUCATORS CORP COM STK USD0.001
|
8,940
|
Units
|
169,324
|
|||
HORNBECK
OFFSHORE SERVICES INC COM STK USD0.01
|
7,826
|
Units
|
351,779
|
|||
HOSPIRA
INC COM STK USD0.01
|
36,800
|
Units
|
1,569,152
|
|||
HUB
GROUP INC CLASS'A'COM SHS USD0.01
|
60,800
|
Units
|
1,616,064
|
|||
HUMAN
GENOME SCIENCES COM STK USD0.01
|
92,500
|
Units
|
965,700
|
|||
HUMANA
INC COM STK USD0.166
|
27,800
|
Units
|
2,093,618
|
|||
IBERIABANK
CORP COM STK USD1
|
3,700
|
Units
|
174,233
|
|||
ICT
GROUP INC COM STK USD0.01
|
8,500
|
Units
|
101,575
|
|||
IDACORP
INC COM STK NPV
|
25,200
|
Units
|
887,544
|
|||
IKON
OFFICE SOLUTIONS COM STK NPV
|
30,180
|
Units
|
392,944
|
|||
IMATION
CORP COM STK USD0.01
|
10,490
|
Units
|
220,290
|
|||
IMS
HEALTH INC COM STK USD0.01
|
35,600
|
Units
|
820,224
|
|||
INFINITY
PROPERTY & CASUALTY CORP COM NPV
|
3,825
|
Units
|
138,197
|
|||
INFOSYS
TECHNOLOGIES ADR EACH REPR 1ORD INR5
|
35,800
|
Units
|
1,623,888
|
|||
ING
GROEP N.V. ADR-EACH REPR 1 ORD(SPONS)
|
55,200
|
Units
|
2,147,832
|
|||
INGRAM
MICRO INC CLASS'A'COM STK USD0.01
|
26,590
|
Units
|
479,684
|
|||
INSIGHT
ENTERPRISE INC COM STK USD0.01
|
16,585
|
Units
|
302,510
|
|||
INTEGRATED
DEVICE TECHNOLOGY INC COM STK USD0.001
|
40,400
|
Units
|
456,924
|
|||
INTERACTIVE
DATA CORP COM STK NPV
|
10,500
|
Units
|
346,605
|
|||
INTERCONTINENTAL
EXCHANGE INC COM STK USD0.01
|
6,700
|
Units
|
1,289,750
|
|||
INTERMEC
INC COM STK USD0.01
|
38,700
|
Units
|
785,997
|
|||
INTERNATIONAL
BUS MACH CORP COM STK USD0.20
|
14,400
|
Units
|
1,556,640
|
|||
INTERNATIONAL
FLAVORS & FRAGRANCES COM STK USD0.125
|
18,400
|
Units
|
890,169
|
|||
INTERNATIONAL
GAME TECHNOLOGY COM STK USD0.000625
|
41,500
|
Units
|
1,829,003
|
|||
INTERNATIONAL
SPEEDWAY CORP CLASS'A'COM STK USD0.01
|
11,465
|
Units
|
472,129
|
|||
INVACARE
CORP COM STK NPV
|
14,500
|
Units
|
365,581
|
|||
INVENTIV
HEALTH INC COM STK USD0.001
|
5,100
|
Units
|
157,896
|
|||
INVESCO
LTD COM STK USD0.10
|
74,800
|
Units
|
2,347,224
|
|||
INVITROGEN
COM STK USD0.01
|
18,000
|
Units
|
1,681,380
|
|||
ION
GEOPHYSICAL CORPORATION COM STK USD0.01
|
91,900
|
Units
|
1,450,182
|
|||
IPC
HLDGS COM STK USD0.01
|
29,750
|
Units
|
858,883
|
|||
ISIS
PHARMACEUTICAL COM STK USD0.001
|
66,900
|
Units
|
1,053,675
|
|||
JACK
IN THE BOX INC COM STK USD0.01
|
6,200
|
Units
|
159,774
|
|||
JARDEN
CORP COM STK NPV
|
16,025
|
Units
|
378,350
|
|||
JOHNSON
& JOHNSON COM STK USD1
|
31,100
|
Units
|
2,074,370
|
|||
JOHNSON
CONTROLS INC COM STK USD0.01388
|
44,100
|
Units
|
1,595,097
|
|||
JONES
APPAREL GROUP INC COM STK USD0.01
|
11,465
|
Units
|
183,325
|
|||
JOS
A BANK CLOTHIERS COM STK USD0.01
|
46,856
|
Units
|
1,333,053
|
|||
JOURNAL
COMMUNICATIONS INC COM STK USD0.01
|
25,470
|
Units
|
227,702
|
|||
JPMORGAN
CHASE & CO COM STK USD1
|
48,900
|
Units
|
2,134,485
|
|||
JUNIPER
NETWORKS COM STK USD0.00001
|
61,100
|
Units
|
2,028,520
|
|||
KADANT
INC COM STK USD0.01
|
4,600
|
Units
|
136,482
|
|||
KENNAMETAL
INC CAP STK USD1.25
|
11,400
|
Units
|
431,604
|
|||
KFORCE
INC COM STK USD0.01
|
5,092
|
Units
|
49,647
|
|||
KIMBERLY-CLARK
CORP COM STK USD1.25
|
30,300
|
Units
|
2,117,061
|
|||
KINDRED
HEALTHCARE INC COM STK USD0.25
|
21,475
|
Units
|
536,446
|
|||
KKR
FINANCIAL HLDGS LLC COM STK USD0.01
|
24,024
|
Units
|
337,537
|
|||
KLA
TENCOR CORP COM STK USD0.001
|
17,300
|
Units
|
833,168
|
|||
KNOLL
INC COM STK USD1
|
30,180
|
Units
|
495,857
|
|||
L-1
IDENTITY SOLUTIONS INC COM STK USD0.001
|
37,700
|
Units
|
676,715
|
|||
LABORATORY
CORP OF AMERICA HOLDINGS COM STK USD0.1
|
28,700
|
Units
|
2,167,711
|
|||
LAKELAND
FINANCIAL CORP COM STK USD0.01
|
3,400
|
Units
|
71,060
|
|||
LAKES
ENTERTAINMENT, INC.
|
38,410
|
Units
|
266,181
|
|||
LAM
RESEARCH CORP COM STK USD0.001
|
101,900
|
Units
|
4,405,137
|
|||
LANCE
INC COM STK USD0.833
|
8,400
|
Units
|
171,528
|
|||
LANDSTAR
SYSTEMS INC COM STK USD0.01
|
2,500
|
Units
|
105,375
|
|||
LAZARD
LTD COM STK CLASS 'A' USD0.01
|
61,600
|
Units
|
2,505,888
|
|||
LEHMAN
BROS HLDGS INC COM STK USD0.10
|
33,800
|
Units
|
2,211,872
|
|||
LENNOX
INTERNATIONAL INC COM STK USD0.01
|
14,890
|
Units
|
618,881
|
|||
LEXINGTON
REALTY TRUST COM STK USD0.0001
|
12,255
|
Units
|
209,286
|
|||
LEXMARK
INTERNATIONAL INC CLASS'A'COM STK USD0.01
|
7,700
|
Units
|
268,422
|
|||
LIFEPOINT
HOSPITALS INC COM STK USD0.01
|
22,205
|
Units
|
660,377
|
|||
LIN
TV CORP COM STK USD0.01
|
78,600
|
Units
|
956,562
|
|||
LINCARE
HLDGS INC COM STK USD0.01
|
25,380
|
Units
|
892,361
|
|||
LINCOLN
NATIONAL CORP COM STK USD1.25
|
15,600
|
Units
|
908,232
|
|||
LIVE
NATION INC COM STK USD0.01
|
27,605
|
Units
|
400,825
|
|||
LOCKHEED
MARTIN CORP COM STK USD1
|
13,400
|
Units
|
1,410,484
|
|||
LODGENET
INTERATIVE CORP
|
48,900
|
Units
|
852,816
|
|||
MAGELLAN
HEALTH SERVICES INC
|
4,240
|
Units
|
197,711
|
|||
MANPOWER
INC COM STK USD0.01
|
42,500
|
Units
|
2,418,250
|
|||
MARATHON
OIL CORP COM STK USD1
|
83,400
|
Units
|
5,075,724
|
|||
MARRIOTT
INTERNATIONAL INC COM STK USD0.01 CL'A'
|
86,500
|
Units
|
2,962,188
|
|||
MASSEY
ENERGY COM COM STK USD0.625
|
7,640
|
Units
|
273,522
|
|||
MATTHEWS
INTL CORP CLASS'A'COM STK USD1
|
7,895
|
Units
|
370,039
|
|||
MAX
CAPITAL GROUP COM STK USD1
|
31,905
|
Units
|
893,021
|
|||
MAXIMUS
INC COM STK NPV
|
7,966
|
Units
|
307,567
|
|||
MB
FINANCIAL INC COM STK USD0.01
|
4,400
|
Units
|
135,652
|
|||
MBIA
INC COM STK USD1
|
45,400
|
Units
|
882,250
|
|||
MCAFEE
INC COM STK USD0.01
|
16,910
|
Units
|
634,125
|
|||
MCCLATCHY
CO CLASS'A'COM STK USD0.01
|
12,300
|
Units
|
156,210
|
|||
MCDONALD'S
CORP COM STK USD0.01
|
33,000
|
Units
|
1,944,030
|
|||
MCKESSON
CORP COM STK USD0.01
|
32,400
|
Units
|
2,124,468
|
|||
MDC
HLDGS INC COM STK USD0.01
|
10,405
|
Units
|
386,338
|
|||
MEADWESTVACO
CORPORATION COM NPV
|
24,800
|
Units
|
776,240
|
|||
MEDAREX
INC COM STK USD0.01
|
91,200
|
Units
|
950,304
|
|||
MEDIA
GENERAL INC CLASS'A'COM USD5
|
28,500
|
Units
|
605,625
|
|||
MEMC
ELECTRONICS MATERIALS INC COM STK USD0.01
|
14,700
|
Units
|
1,300,803
|
|||
MENTOR
CORP COM STK USD0.10
|
8,995
|
Units
|
353,550
|
|||
MERCK
& CO INC COM STK USD0.01
|
88,400
|
Units
|
5,170,858
|
|||
MERRILL
LYNCH & CO INC COM STK USD1.333
|
64,400
|
Units
|
3,456,992
|
|||
METLIFE
INC COM STK USD0.01
|
35,500
|
Units
|
2,187,510
|
|||
METTLER
TOLEDO COM STK USD0.01
|
8,300
|
Units
|
944,540
|
|||
MFA
MORTGAGE INVESTMENTS COM SHS
|
50,915
|
Units
|
478,533
|
|||
MICROCHIP
TECHNOLOGY COM STK USD0.001
|
18,600
|
Units
|
584,412
|
|||
MICROSOFT
CORP COM STK USD0.00000625
|
229,800
|
Units
|
8,180,880
|
|||
MICROSTRATEGY
INC.
|
1,600
|
Units
|
152,160
|
|||
MILLENNIUM
PHARMACEUTICALS INC COM STK USD0.001
|
89,700
|
Units
|
1,343,706
|
|||
MILLER(HERMAN)
INC COM STK USD0.20
|
52,500
|
Units
|
1,705,913
|
|||
MINERALS
TECHNOLOGIES INC COM STK USD0.10
|
1,900
|
Units
|
127,205
|
|||
MOLINA
HEALTHCARE INC COM STK USD0.001
|
4,500
|
Units
|
174,150
|
|||
MONEYGRAM
INTERNATIONAL INC COM USD0.01
|
25,960
|
Units
|
399,485
|
|||
MONRO
MUFFLER BRAKE INC COM STK USD0.01
|
3,300
|
Units
|
64,317
|
|||
MONSANTO
CO NEW(DELAWARE) COM STK USD0.01
|
46,500
|
Units
|
5,193,585
|
|||
MOOG
INC CLASS'A'(LIM.V)USD1
|
4,900
|
Units
|
224,469
|
|||
MORGAN
STANLEY COM STK USD0.01
|
45,000
|
Units
|
2,389,950
|
|||
MPS
GROUP INC COM STK USD0.01
|
22,940
|
Units
|
250,964
|
|||
MYLAN
INC COM STK USD0.50
|
36,100
|
Units
|
507,566
|
|||
MYRIAD
GENETICS IN COM USD0.01
|
62,100
|
Units
|
2,882,682
|
|||
NATIONAL
FINANCIAL PARTNERS COM STK USD0.10
|
8,555
|
Units
|
391,714
|
|||
NATIONAL
OILWELL VARCO INC COM STK USD0.01
|
12,400
|
Units
|
910,904
|
|||
NATIONAL
SEMICONDUCTOR CORP COM STK USD0.50
|
58,000
|
Units
|
1,316,600
|
|||
NATIONWIDE
FINANCIAL SOLUTIONS INC CLASS'A'COM STK USD0.01
|
5,535
|
Units
|
250,569
|
|||
NAVIGANT
CONSULTING INC COM STK USD0.001
|
7,200
|
Units
|
98,424
|
|||
NAVIGATORS
GROUP INC COM STK USD0.10
|
2,000
|
Units
|
130,000
|
|||
NEENAH
PAPER INC COM STK USD0.01
|
4,305
|
Units
|
125,491
|
|||
NETWORK
APPLIANCE INC COM STK NPV
|
40,200
|
Units
|
1,003,392
|
|||
NEW
YORK TIMES CO COM CLASS'A'STK USD0.10
|
18,785
|
Units
|
329,301
|
|||
NEWPARK
RESOURCES INC COM STK USD0.01
|
26,685
|
Units
|
145,433
|
|||
NEWS
CORP CLASS'A'NON VTG COM STKUSD0.01
|
42,800
|
Units
|
876,972
|
|||
NII
HOLDINGS INC COM STK USD0.001
|
46,500
|
Units
|
2,246,880
|
|||
NIKE
INC CLASS'B'COM STK NPV
|
79,300
|
Units
|
5,112,655
|
|||
NISOURCE
INC COM STK NPV
|
53,500
|
Units
|
1,010,615
|
|||
NOBLE
CORP COM STK USD0.1
|
36,800
|
Units
|
2,079,568
|
|||
NOBLE
ENERGY INC COM USD3.33 1/3
|
14,800
|
Units
|
1,176,896
|
|||
NOBLE
INTERNATIONAL LD COM STK NPV
|
3,900
|
Units
|
63,609
|
|||
NOKIA
CORP ADR EACH REPR 1 EUR0.06
|
88,300
|
Units
|
3,389,837
|
|||
NORDSON
CORP COM STK NPV
|
3,660
|
Units
|
212,819
|
|||
NORTHROP
GRUMMAN CORP COM STK USD1
|
17,800
|
Units
|
1,399,792
|
|||
NORTHWEST
NATURAL GAS CO COM STK USD3.167
|
5,900
|
Units
|
287,094
|
|||
NOVELLUS
SYSTEMS INC COM STK NPV
|
50,300
|
Units
|
1,386,771
|
|||
NU
SKIN ENTERPRISES INC CLASS'A'COM STK USD0.001
|
39,890
|
Units
|
655,393
|
|||
NUCOR
CORP COM STK USD0.40
|
13,400
|
Units
|
801,722
|
|||
NVIDIA
CORP COM STK USD0.001
|
46,350
|
Units
|
1,576,827
|
|||
NYSE
EURONEXT INC COM STK USD0.01
|
35,000
|
Units
|
3,071,950
|
|||
OCCIDENTAL
PETROLEUM CORP COM USD0.20
|
70,200
|
Units
|
5,422,398
|
|||
OCEANEERING
INTERNATIONAL INC COM STK USD0.25
|
4,800
|
Units
|
323,280
|
|||
OLD
DOMINION FREIGHT LINE INC COM STK USD0.10
|
5,200
|
Units
|
120,172
|
|||
OLIN
CORP COM STK USD1
|
10,010
|
Units
|
193,493
|
|||
OMNICARE
INC COM STK USD1
|
44,665
|
Units
|
1,018,809
|
|||
ONEOK
INC COM STK NPV
|
22,700
|
Units
|
1,016,279
|
|||
OPENTV
CORP NPV CLASS'A'
|
122,900
|
Units
|
162,228
|
|||
ORACLE
CORP COM STK USD0.01
|
66,800
|
Units
|
1,508,344
|
|||
O'REILLY
AUTOMOTIVE INC COM STK USD0.01
|
35,900
|
Units
|
1,164,237
|
|||
OSHKOSH
CORPORATION
|
38,800
|
Units
|
1,833,688
|
|||
OSI
PHARMACEUTICALS INC COM STK USD0.01
|
24,200
|
Units
|
1,173,942
|
|||
OVERSEAS
SHIPHOLDING GROUP INC COM STK USD1
|
21,900
|
Units
|
1,630,017
|
|||
OWENS
& MINOR INC COM STK USD2
|
7,845
|
Units
|
332,863
|
|||
OXFORD
INDUSTRIES INC COM STK USD1
|
19,245
|
Units
|
495,944
|
|||
PACER
INTL INC COM
|
15,650
|
Units
|
230,871
|
|||
PACIFIC
CONTINETAL CORP COM STK USD1
|
4,800
|
Units
|
59,808
|
|||
PACIFIC
SUNWEAR OF CALIFORNIA INC COM STK USD0.01
|
10,075
|
Units
|
142,158
|
|||
PACTIV
CORP COM STK USD0.01
|
29,000
|
Units
|
772,270
|
|||
PALL
CORP COM STK USD0.10
|
44,900
|
Units
|
1,810,368
|
|||
PALM
INC COM STK USD0.001
|
79,600
|
Units
|
504,664
|
|||
PANTRY
INC COM STK USD0.01
|
5,500
|
Units
|
143,715
|
|||
PARAMETRIC
TECHNOLOGY CORP NEW COM STK USD0.01
|
14,100
|
Units
|
251,685
|
|||
PARKER-HANNIFIN
CORP COM STK USD0.50
|
20,850
|
Units
|
1,570,214
|
|||
PARKWAY
PROPERTIES INC COM STK USD0.001
|
3,200
|
Units
|
118,336
|
|||
PARTNERRE
COM STK USD1
|
7,800
|
Units
|
643,734
|
|||
PDL
BIOPHARMA INC COM STK USD0.01
|
78,100
|
Units
|
1,368,312
|
|||
PENNEY(J.C.)CO
INC COM STK USD0.50
|
26,300
|
Units
|
1,156,937
|
|||
PEPSICO
INC CAP STK USD0.0166
|
55,800
|
Units
|
4,256,520
|
|||
PERFORMANCE
FOODS GROUP INC COM STK USD0.01
|
8,785
|
Units
|
236,053
|
|||
PEROT
SYSTEMS CLASS'A'COM STK USD0.01
|
157,310
|
Units
|
2,123,685
|
|||
PERRIGO
CO COM STK NPV
|
19,265
|
Units
|
674,468
|
|||
PETROHAWK
ENERGY CORP COM USD0.001
|
33,025
|
Units
|
571,663
|
|||
PFIZER
INC COM STK USD0.05
|
86,200
|
Units
|
1,959,326
|
|||
PHH
CORP COM STK NPV
|
12,690
|
Units
|
223,852
|
|||
PHILADELPHIA
CONSOLIDATED HOLDINGS COM STK NPV
|
5,800
|
Units
|
228,230
|
|||
PHOTRONICS
INC COM STK USD0.01
|
65,615
|
Units
|
818,219
|
|||
PINNACLE
WEST CAPITAL CORP COM STK USD2.50
|
20,800
|
Units
|
882,128
|
|||
PLATINUM
UNDERWRITERS HLDGS LTD SHS
|
29,360
|
Units
|
1,044,042
|
|||
POLYCOM
INC COM STK USD0.0005
|
26,000
|
Units
|
722,280
|
|||
POTASH
CORP OF SASKATCHEWAN INC COM NPV
|
14,700
|
Units
|
2,116,212
|
|||
PPG
INDUSTRIES INC COM STK USD1.666
|
11,000
|
Units
|
772,530
|
|||
PRAXAIR
INC COM STK USD0.01
|
9,300
|
Units
|
825,003
|
|||
PRECISION
CASTPARTS CORP COM NPV
|
40,100
|
Units
|
5,561,870
|
|||
PREFERRED
BK LOS ANGELES CALIFORNIA COM STK USD0.01
|
2,100
|
Units
|
54,642
|
|||
PRICELINE.COM
INC COM STK USD0.008
|
33,300
|
Units
|
3,824,838
|
|||
PROASSURANCE
CORP COM STK USD0.01
|
5,855
|
Units
|
321,557
|
|||
PROGRESS
SOFTWARE CORP COM STK USD0.01
|
5,200
|
Units
|
175,136
|
|||
PROSPERITY
BANCSHARES INC COM STK USD1
|
7,900
|
Units
|
233,131
|
|||
PROTECTIVE
LIFE CORP COM STK USD0.50
|
10,905
|
Units
|
447,323
|
|||
PSYCHIATRIC
SOLUTIONS INC COM STK USD0.01
|
34,700
|
Units
|
1,127,750
|
|||
PUGET
ENERGY INC COM STK NPV
|
17,515
|
Units
|
480,436
|
|||
PULTE
HOMES INC COM STK USD0.01
|
52,970
|
Units
|
560,444
|
|||
QUALCOMM
INC COM STK USD0.0001
|
70,600
|
Units
|
2,788,162
|
|||
QUESTAR
CORP COM STK NPV
|
16,500
|
Units
|
892,650
|
|||
QWEST
COMMUNICATIONS INTL INC COM STK USD0.01
|
144,500
|
Units
|
1,012,945
|
|||
R.H.
DONNELLEY CORP COM STK USD1
|
11,400
|
Units
|
415,872
|
|||
RAMCO-GERSHENSON
PROPERTIES TRUST SBI USD0.01
|
9,300
|
Units
|
203,042
|
|||
RAYONIER
INC COM STK NPV
|
6,800
|
Units
|
321,232
|
|||
RC2
CORP COM STK USD0.01
|
8,500
|
Units
|
238,595
|
|||
REDWOOD
TRUST INC COM STK USD0.01
|
10,205
|
Units
|
357,268
|
|||
REGENERON
PHARMACEUTICALS INC COM STK USD0.001
|
54,100
|
Units
|
1,306,515
|
|||
REGIS
CORP COM STK USD0.05
|
4,545
|
Units
|
127,078
|
|||
REHABCARE
GROUP INC COM
|
11,875
|
Units
|
267,900
|
|||
REINSURANCE
GROUP OF AMERICA COM STK USD0.01
|
5,210
|
Units
|
273,421
|
|||
RELIANCE
STEEL & ALUMINIUM COM STK NPV
|
16,100
|
Units
|
873,708
|
|||
RENT-A-CENTER
INC COM STK USD0.01
|
13,705
|
Units
|
198,997
|
|||
RESEARCH
IN MOTION COM NPV
|
51,600
|
Units
|
5,851,440
|
|||
REYNOLDS
AMERICAN INC COM STK USD0.0001
|
31,000
|
Units
|
2,071,110
|
|||
RF
MICRO DEVICES INC COM STK NPV
|
150,000
|
Units
|
856,500
|
|||
ROBERT
HALF INTERNATIONAL INC COM STK USD1
|
32,600
|
Units
|
881,504
|
|||
ROCHE
HLDG AG ADR-REPR GENUS PTG CERT NPV SPONS(BNY)
|
41,800
|
Units
|
3,610,864
|
|||
ROCK-TENN
CO CLASS'A'COM STK USD0.01
|
5,285
|
Units
|
134,292
|
|||
ROCKWELL
COLLINS INC COM STK USD0.01
|
20,400
|
Units
|
1,468,188
|
|||
ROHM
& HAAS CO COM STK USD2.50
|
13,800
|
Units
|
732,366
|
|||
ROWAN
COS INC COM USD0.125
|
25,500
|
Units
|
1,006,230
|
|||
ROYAL
DUTCH SHELL ADR EACH REPR 2'A'SHS
|
28,700
|
Units
|
2,416,540
|
|||
RTI
INTERNATIONAL METALS INC COM STK USD0.01
|
15,700
|
Units
|
1,082,201
|
|||
RUDDICK
CORP COM STK USD1
|
16,600
|
Units
|
577,610
|
|||
RYDER
SYSTEM INC COM STK USD0.50
|
1,400
|
Units
|
65,814
|
|||
SAFECO
CORP COM STK NPV
|
21,600
|
Units
|
1,202,688
|
|||
SAFETY
INSURANCE GROUP INC COM STK USD0.01
|
4,925
|
Units
|
180,354
|
|||
SAKS
INC COM STK USD0.10
|
71,900
|
Units
|
1,492,644
|
|||
SANOFI-AVENTIS
ADR ECH REP 1/2 ORD EUR2 SPON
|
45,500
|
Units
|
2,071,615
|
|||
SAP
AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
|
28,100
|
Units
|
1,434,505
|
|||
SARA
LEE CORP COM STK USD0.01
|
54,600
|
Units
|
883,617
|
|||
SCANA
CORP(NEW) COM STK NPV
|
44,100
|
Units
|
1,875,491
|
|||
SCHERING-PLOUGH
CORP COM STK USD0.50
|
53,400
|
Units
|
1,422,576
|
|||
SCHLUMBERGER
COM STK USD0.01
|
19,100
|
Units
|
1,882,262
|
|||
SCHOLASTIC
CORP COM STK USD0.01
|
9,765
|
Units
|
340,701
|
|||
SCHWAB(CHARLES)CORP
COM STK USD0.01
|
171,600
|
Units
|
4,384,380
|
|||
SCOTTS
MIRACLE-GRO CO CLASS'A'COM STK NPV
|
14,420
|
Units
|
539,596
|
|||
SEACHANGE
INTERNATIONAL INC COM STK USD0.01
|
60,700
|
Units
|
438,861
|
|||
SEAGATE
TECHNOLOGY HLDGS COM STK USD0.00001
|
54,200
|
Units
|
1,382,100
|
|||
SEALED
AIR CORP COM STK USD0.1
|
38,000
|
Units
|
879,320
|
|||
SEALY
CORP COM STK USD0.01
|
30,905
|
Units
|
345,827
|
|||
SEPRACOR
INC COM STK USD0.1
|
12,600
|
Units
|
330,750
|
|||
SHERWIN-WILLIAMS
CO COM STK USD1
|
28,500
|
Units
|
1,654,140
|
|||
SIERRA
PACIFIC RESOURCES COM STK USD0.01
|
17,080
|
Units
|
290,018
|
|||
SILGAN
HLDGS INC COM STK USD0.01
|
8,215
|
Units
|
426,687
|
|||
SIMON
PROPERTY GROUP INC COM STK USD0.0001
|
6,300
|
Units
|
547,218
|
|||
SINCLAIR
BROADCAST GROUP INC CLASS'A'COM STK USD0.01
|
48,100
|
Units
|
403,319
|
|||
SKYWEST
INC COM STK NPV
|
4,100
|
Units
|
110,208
|
|||
SMITHFIELD
FOODS COM STK USD0.5
|
12,843
|
Units
|
371,420
|
|||
SMUCKER(J.M.)CO
COM STK NPV
|
11,735
|
Units
|
603,648
|
|||
SONOCO
PRODUCTS CO COM STK NPV
|
35,800
|
Units
|
1,169,944
|
|||
SOTHEBYS
HOLDINGS INC CLASS'A' COM STK
|
21,700
|
Units
|
826,770
|
|||
SOUTHWEST
BANCORP INC OKLAHOMA COM STK USD1
|
3,100
|
Units
|
57,110
|
|||
SOUTHWESTERN
ENERGY CO COM STK USD0.10
|
9,500
|
Units
|
529,340
|
|||
SPARTAN
STORES INC COM STK USD0.01
|
6,900
|
Units
|
157,665
|
|||
ST
JOE CO COM STK NPV
|
5,565
|
Units
|
197,613
|
|||
ST
MARY LAND & EXPLORATION COM STK USD0.01
|
56,100
|
Units
|
2,166,021
|
|||
ST.JUDE
MEDICAL INC COM STK USD0.10
|
71,100
|
Units
|
2,889,504
|
|||
STANCORP
FINANCIAL GROUP COM STK NPV
|
4,500
|
Units
|
226,710
|
|||
STANDEX
INTERNATIONAL CORP COM STK USD1.5
|
10,400
|
Units
|
181,480
|
|||
STANLEY
WORKS COM STK USD2.50
|
7,735
|
Units
|
374,993
|
|||
STATE
AUTO FINANCIAL CORP COM STK NPV
|
6,540
|
Units
|
172,002
|
|||
STATOILHYDRO
ASA ADR EACH REP 1 ORD NOK2.50 LVL111(BNY)
|
73,800
|
Units
|
2,252,376
|
|||
STEEL
DYNAMICS INC COM STK USD0.01
|
15,200
|
Units
|
907,744
|
|||
STEINER
LEISURE COM STK USD0.01
|
29,800
|
Units
|
1,315,968
|
|||
STERIS
CORP COM STK NPV
|
8,955
|
Units
|
258,262
|
|||
STIFEL
FINANCIAL CORP COM STK USD0.15
|
3,100
|
Units
|
162,967
|
|||
STILLWATER
MINING CO COM STK USD0.01
|
114,100
|
Units
|
1,102,206
|
|||
STUDENT
LOAN CORPORATION COM STK USD0.01
|
2,305
|
Units
|
253,550
|
|||
SUN
COMMUNITIES INC COM STK USD0.01
|
5,400
|
Units
|
113,778
|
|||
SUNOCO
INC COM STK USD1
|
57,600
|
Units
|
4,172,544
|
|||
SUNPOWER
CORP COM STK USD0.001 CLASS'A'
|
14,500
|
Units
|
1,890,655
|
|||
SWIFT
ENERGY CO COM STK USD0.01
|
4,000
|
Units
|
176,120
|
|||
SY
BANCORP INC COM STK NPV
|
3,000
|
Units
|
72,460
|
|||
SYBASE
INC COM STK USD0.001
|
9,800
|
Units
|
255,682
|
|||
SYCAMORE
NETWORK USD0.001
|
53,135
|
Units
|
204,038
|
|||
SYKES
ENTERPRISES INC COM STK USD0.01
|
9,500
|
Units
|
171,000
|
|||
SYMMETRY
MEDICAL INC COM STK USD0.0001
|
21,315
|
Units
|
371,520
|
|||
TANGER
FACTORY OUTLET CENTERS COM STK USD0.01
|
3,700
|
Units
|
139,527
|
|||
TAUBMAN
CENTRES INC COM STK USD0.01
|
3,700
|
Units
|
183,539
|
|||
TECHNITROL
INC COM STK USD0.125
|
32,495
|
Units
|
928,707
|
|||
TEMPLE-INLAND
INC COM STK USD1
|
16,500
|
Units
|
344,025
|
|||
TEMPUR
PEDIC INTERNATIONAL INC COM STK USD0.01
|
8,420
|
Units
|
218,667
|
|||
TENNECO
INC COM STK USD0.01
|
3,732
|
Units
|
97,293
|
|||
TERADYNE
INC COM STK USD0.125
|
18,230
|
Units
|
188,498
|
|||
TEREX
CORP COM STK USD0.01
|
29,900
|
Units
|
1,960,543
|
|||
TESORO
CORP COM STK USD0.1666
|
39,700
|
Units
|
1,893,690
|
|||
TEVA
PHARMACEUTICAL INDUSTRIES ADR EACH CNV INTO 1 ORD ILS0.10
|
61,700
|
Units
|
2,867,816
|
|||
THE
MOSAIC COMPANY
|
50,900
|
Units
|
4,801,906
|
|||
THERAVANCE
INC COM STK USD1
|
38,800
|
Units
|
756,600
|
|||
THERMO
FISHER SCIENTIFIC INC COM STK USD1
|
66,200
|
Units
|
3,818,416
|
|||
THOMAS
& BETTS CORP COM STK USD0.10
|
41,300
|
Units
|
2,025,352
|
|||
TIFFANY
& CO COM STK USD0.01
|
35,100
|
Units
|
1,620,918
|
|||
TIME
WARNER TEL USD0.01 A
|
50,000
|
Units
|
1,014,500
|
|||
TORCHMARK
CORP COM STK USD1
|
31,400
|
Units
|
1,900,642
|
|||
TOTAL
S A SPONSORED ADR(CNV 1/2 SHS EUR10)
|
26,400
|
Units
|
2,180,640
|
|||
TOWER
GROUP INC COM STK USD0.01
|
3,200
|
Units
|
106,880
|
|||
TRIQUINT
SEMI CONDUCTOR INC COM STK USD0.001
|
165,700
|
Units
|
1,098,591
|
|||
TRIUMPH
GROUP INC COM STK USD0.001
|
5,500
|
Units
|
452,925
|
|||
TRUE
RELIGION APPAREL INC COM STK USD0.00001
|
32,400
|
Units
|
691,740
|
|||
TRUEBLUE
INC COM STK NPV
|
4,817
|
Units
|
69,750
|
|||
TRUSTMARK
CORP COM STK NPV
|
6,200
|
Units
|
157,232
|
|||
TUPPERWARE
BRANDS CORP COM STK USD0.01
|
8,135
|
Units
|
270,583
|
|||
UAP
HLDG CORP COM STK USD0.001
|
13,065
|
Units
|
504,309
|
|||
UBS
AG CHF0.80
|
45,200
|
Units
|
2,079,200
|
|||
UCBH
HLDGS INC COM STK USD0.01
|
4,200
|
Units
|
59,598
|
|||
ULTRA
PETROLEUM CORP COM NPV
|
23,300
|
Units
|
1,665,950
|
|||
UNIFI
INC COM STK USD0.10
|
102,900
|
Units
|
249,018
|
|||
UNITED
AMERICA INDEMNITY LTD COM STK
|
4,800
|
Units
|
95,616
|
|||
UNITED
BANKSHARES INC COM STK USD2.50
|
8,000
|
Units
|
226,480
|
|||
UNITED
RENTALS INC COM STK USD0.01
|
20,200
|
Units
|
370,872
|
|||
UNITED
STATES CELLULAR CORP COM STK USD1
|
21,300
|
Units
|
1,791,330
|
|||
UNITED
STATES STEEL CORP COM STK USD1
|
17,300
|
Units
|
2,091,743
|
|||
UNITED
STATIONERS INC COM STK USD0.10
|
10,100
|
Units
|
466,721
|
|||
UNITED
TECHNOLOGIES CORP COM STK USD1
|
48,400
|
Units
|
3,704,536
|
|||
UNITEDHEALTH
GROUP INC COM STK USD0.01
|
42,800
|
Units
|
2,490,960
|
|||
UNIVERSAL
CORP COM STK NPV
|
3,660
|
Units
|
187,465
|
|||
UNIVERSAL
TECHNICAL INSTITUTE COM STK USD0.0001
|
12,770
|
Units
|
217,090
|
|||
URBAN
OUTFITTERS INC COM STK USD0.0001
|
16,100
|
Units
|
438,886
|
|||
URS
CORP COM STK USD0.01
|
31,600
|
Units
|
1,716,828
|
|||
USEC
INC COM STK USD0.10
|
86,945
|
Units
|
782,505
|
|||
VALASSIS
COMMUNICATIONS INC COM STK USD0.01
|
19,275
|
Units
|
225,325
|
|||
VALERO
ENERGY CORP(NEW) COM STK USD0.01
|
34,000
|
Units
|
2,381,020
|
|||
VALSPAR
CORP COM STK USD0.50
|
44,700
|
Units
|
1,013,796
|
|||
VARIAN
SEMICONDUCT EQUIP ASSOC INC COM STK USD1
|
31,100
|
Units
|
1,150,700
|
|||
VECTREN
CORP COM NPV
|
15,300
|
Units
|
443,853
|
|||
VERIGY
LTD COM NPV
|
10,170
|
Units
|
276,319
|
|||
VF
CORP COM STK NPV
|
15,800
|
Units
|
1,084,828
|
|||
VIAD
CORP COM STOCK USD1.5
|
8,100
|
Units
|
256,210
|
|||
VISHAY
INTL USD0.10
|
96,000
|
Units
|
1,095,360
|
|||
VITAL
SIGNS COM STK NPV
|
3,575
|
Units
|
183,121
|
|||
WALT
DISNEY(HLDG)CO DISNEY COM STK USD0.01
|
129,600
|
Units
|
4,229,688
|
|||
WARNACO
GROUP INC CLS'A'COM STK USD0.01
|
19,520
|
Units
|
679,296
|
|||
WATERS
CORP COM STK USD0.01
|
18,500
|
Units
|
1,462,795
|
|||
WATSON
WYATT WORLDWIDE INC CLASS'A'COM STK USD0.01
|
11,710
|
Units
|
544,361
|
|||
WAUSAU
PAPER CORP COM STK NPV
|
9,600
|
Units
|
86,304
|
|||
WERNER
ENTERPRISES INC COM STK USD0.01
|
64,200
|
Units
|
1,093,326
|
|||
WEST
COAST BANCORP ORE COM STK USD0.01
|
4,100
|
Units
|
75,850
|
|||
WESTAMERICA
BANCORP COM STK NPV
|
5,000
|
Units
|
222,750
|
|||
WESTERN
DIGITAL CORP COM STK USD0.01
|
49,000
|
Units
|
1,480,290
|
|||
WESTERN
UNION COMPANY (THE) COM STK USD0.01
|
30,300
|
Units
|
735,684
|
|||
WHIRLPOOL
CORP COM STK USD1
|
10,300
|
Units
|
840,789
|
|||
WHITING
PETROLEUM CORP COM STK USD0.001
|
6,660
|
Units
|
384,016
|
|||
WHOLE
FOODS MARKET INC COM STK NPV
|
49,800
|
Units
|
2,031,840
|
|||
WILLIS
GROUP HOLDINGS COM STK USD0.000115
|
7,565
|
Units
|
289,182
|
|||
WINNEBAGO
INDUSTRIES INC COM STK USD0.50
|
19,195
|
Units
|
405,904
|
|||
WORLD
FUEL SERVICES CORP COM STK USD0.01
|
4,720
|
Units
|
137,203
|
|||
WSFS
FINANCIAL CORP COM STK USD0.01
|
1,900
|
Units
|
95,380
|
|||
WYETH
COM USD0.333
|
84,700
|
Units
|
3,742,893
|
|||
XEROX
CORP COM STK USD1
|
97,600
|
Units
|
1,584,292
|
|||
XM
SATELLITE RADIO HLDGS CLASS'A'COM STK USD0.01
|
70,100
|
Units
|
858,024
|
|||
XOMA
LTD COM STK USD0.0005
|
196,700
|
Units
|
666,813
|
|||
YAHOO
INC COM STK USD0.001
|
52,500
|
Units
|
1,221,150
|
|||
ZALE
CORP COM STK USD0.01
|
7,410
|
Units
|
119,005
|
|||
ZEP
INC COM STK USD0.01
|
1,000
|
Units
|
13,870
|
|||
ZUMIEZ
INC COM STK NPV
|
14,800
|
Units
|
360,528
|
|||
ABERCROMBIE
& FITCH CO CLASS'A'COM STK USD0.01
|
(55)
|
Units
|
* |
4,493
|
||
ABM
INDUSTRIES INC COM STK USD0.01
|
(215)
|
Units
|
* |
4,419
|
||
ACCO
BRANDS CORP COM STK USD0.01
|
(480)
|
Units
|
* |
7,830
|
||
ACUITY
BRANDS INC COM STK USD0.01
|
(290)
|
Units
|
* |
12,936
|
||
ACXIOM
CORP COM STK USD0.10
|
(315)
|
Units
|
* |
3,704
|
||
ADOBE
SYSTEMS INC COM STK USD0.0001
|
(2,200)
|
Units
|
* |
94,513
|
||
ADVANCE
AUTO PARTS INC COM STK USD0.0001
|
(215)
|
Units
|
* |
8,246
|
||
ADVANTA
CORP CLASS'B'NON VTG USD0.01
|
(245)
|
Units
|
* |
1,978
|
||
AKAMAI
TECHNOLOGIES COM STK USD0.01
|
(900)
|
Units
|
* |
32,067
|
||
ALCON
INC CHF0.20
|
(400)
|
Units
|
* |
57,942
|
||
ALLIANT
TECHSYSTEMS INC COM STK USD0.01
|
(65)
|
Units
|
* |
7,587
|
||
ALLIED
WASTE INDUSTRIES INC COM STK USD0.01
|
(715)
|
Units
|
* |
7,910
|
||
ALPHARMA
INC CLASS'A'COM STK USD0.20
|
(315)
|
Units
|
* |
6,606
|
||
AMEDISYS
INC COM STK USD0.001
|
(100)
|
Units
|
* |
4,924
|
||
AMERICAN
EQUITY INVT LIFE HLDG CO COM STK USD1
|
(450)
|
Units
|
* |
|
||
AMERICAN
EXPRESS CO COM USD0.20
|
(700)
|
Units
|
* |
35,746
|
||
AMERICAN
INTERNATIONAL GROUP INC COM STK USD2.50
|
(1,000)
|
Units
|
* |
57,913
|
||
AMPHENOL
CORP CLASS'A'COM STK USD0.001
|
(2,000)
|
Units
|
* |
94,107
|
||
APOLLO
INVESTMENT CORP COM STK USD0.001
|
(515)
|
Units
|
* |
8,849
|
||
APPLE
INC COM STK NPV
|
(500)
|
Units
|
* |
99,716
|
||
APTARGROUP
INC COM STK USD0.01
|
(900)
|
Units
|
* |
37,475
|
||
ARES
CAPITAL CORP COM STK USD0.001
|
(410)
|
Units
|
* |
6,188
|
||
ARROW
ELECTRONICS INC COM STK USD1
|
(230)
|
Units
|
* |
9,193
|
||
ASBURY
AUTOMOTIVE GROUP INC COM STK USD0.01
|
(380)
|
Units
|
* |
5,763
|
||
ASPEN
INSURANCE HLDGS COM STK USD0.15144558
|
(300)
|
Units
|
* |
8,859
|
||
ASSURANT
INC COM STK USD0.01
|
(160)
|
Units
|
* |
10,844
|
||
ATMI
INC COM STK USD0.01
|
(1,000)
|
Units
|
* |
32,609
|
||
AVID
TECHNOLOGIES INC COM STK USD0.01
|
(145)
|
Units
|
* |
4,226
|
||
AVNET
INC COM STK USD1
|
(185)
|
Units
|
* |
6,551
|
||
BANKUNITED
FINANCIAL CORP COM STK USD0.01 CLASS'A'
|
(925)
|
Units
|
* |
6,606
|
||
BANNER
CORP COM STK USD0.01
|
(1,000)
|
Units
|
* |
28,940
|
||
BAXTER
INTL INC COM USD1
|
(900)
|
Units
|
* |
52,949
|
||
BECKMAN
COULTER INC COM STK USD0.10
|
(400)
|
Units
|
* |
28,892
|
||
BELDEN
INC COM STK USD0.01
|
(135)
|
Units
|
* |
6,245
|
||
BELDEN
INC COM STK USD0.01
|
2,700
|
Units
|
(122,399)
|
|||
BENCHMARK
ELECTRONICS INC COM STK USD0.10
|
(210)
|
Units
|
* |
3,811
|
||
BJS
WHOLESALE CLUB INC COM STK USD0.01
|
(280)
|
Units
|
* |
9,643
|
||
BLACK
BOX CORP COM STK USD0.001
|
(800)
|
Units
|
* |
29,757
|
||
BLOCK(H
& R) INC COM STK NPV
|
(370)
|
Units
|
* |
6,659
|
||
BOEING
CO COM STK USD5
|
(400)
|
Units
|
* |
35,149
|
||
BRADY
CORP 'A'NON.V USD0.01
|
(250)
|
Units
|
* |
9,141
|
||
BRISTOW
GROUP INC COM STK USD0.01
|
(220)
|
Units
|
* |
12,517
|
||
BROADRIDGE
FINANCIAL SOL COM STK NPV
|
(405)
|
Units
|
* |
9,281
|
||
BROWN
SHOE CO INC COM STK USD3.75
|
(215)
|
Units
|
* |
3,422
|
||
CACI
INTL INC CLASS A COM
|
1,100
|
Units
|
(50,313)
|
|||
CACI
INTL INC CLASS A COM
|
900
|
Units
|
(40,008)
|
|||
CADENCE
DESIGN SYSTEMS INC COM STK USD0.01
|
(1,800)
|
Units
|
* |
30,456
|
||
CHAMPION
ENTERPRISES INC COM STK USD1
|
5,475
|
Units
|
(51,630)
|
|||
CHARLOTTE
RUSSE HLDG INC COM STK USD0.01
|
(400)
|
Units
|
* |
6,447
|
||
CHARMING
SHOPPES INC COM STK USD0.10
|
(760)
|
Units
|
* |
4,060
|
||
CHARMING
SHOPPES INC COM STK USD0.10
|
(7,900)
|
Units
|
* |
42,422
|
||
CHECKPOINT
SYSTEMS COM STK USD0.10
|
(1,500)
|
Units
|
* |
34,079
|
||
CIENA
CORP COM STK USD0.01.
|
(700)
|
Units
|
* |
24,018
|
||
CISCO
SYSTEMS INC COM STK USD0.001
|
(3,300)
|
Units
|
* |
90,666
|
||
CLARCOR
INC COM STK USD1
|
(700)
|
Units
|
* |
27,153
|
||
CLEVELAND
CLIFFS INC COM STK USD1
|
(400)
|
Units
|
* |
41,839
|
||
CLEVELAND
CLIFFS INC COM STK USD1
|
(500)
|
Units
|
* |
52,196
|
||
COACH
INC COM STK USD0.01
|
(1,300)
|
Units
|
* |
39,390
|
||
COLGATE-PALMOLIVE
CO COM STK USD1
|
(1,100)
|
Units
|
* |
86,712
|
||
COMPTON
PETROLEUM CORP COM NPV
|
(405)
|
Units
|
* |
3,769
|
||
COMSTOCK
RESOURCES INC COM STK USD0.50
|
(185)
|
Units
|
* |
6,412
|
||
COMSTOCK
RESOURCES INC COM STK USD0.50
|
(900)
|
Units
|
* |
31,284
|
||
COMTECH
TELECOMMUNICATIONS COM STK USD0.10
|
300
|
Units
|
(16,634)
|
|||
COMVERSE
TECHNOLOGY INC COM USD0.10
|
(365)
|
Units
|
* |
6,256
|
||
CONSECO
INC COM STK USD0.01
|
(345)
|
Units
|
* |
4,263
|
||
CONSOL
ENERGY INC COM STK USD0.01
|
(200)
|
Units
|
* |
14,323
|
||
COSTCO
WHOLESALE CORP COM STK USD0.005
|
(500)
|
Units
|
* |
35,009
|
||
COWEN
GROUP INC COM STK NPV
|
(255)
|
Units
|
* |
2,678
|
||
CVS
CAREMARK CORP COM STK USD0.01
|
1,600
|
Units
|
(63,414)
|
|||
CVS
CAREMARK CORP COM STK USD0.01
|
3,000
|
Units
|
(118,955)
|
|||
CYTEC
INDUSTRIES INC COM STK USD0.01
|
(160)
|
Units
|
* |
9,930
|
||
DAVITA
INC COM STK USD0.001
|
(430)
|
Units
|
* |
24,362
|
||
DEL
MONTE FOODS COM STK USD0.01
|
(630)
|
Units
|
* |
5,759
|
||
DIEBOLD
INC COM STK USD1.25
|
(155)
|
Units
|
* |
4,579
|
||
DOMTAR
CORPORATION COM STK USD0.01
|
(535)
|
Units
|
* |
4,196
|
||
DONNELLEY(R.R.)&
SONS CO COM STK USD1.25
|
(900)
|
Units
|
* |
34,469
|
||
DRS
TECHNOLOGIES INC COM STK USD0.01
|
(215)
|
Units
|
* |
11,823
|
||
EARTHLINK
INC COM STK USD0.01
|
(810)
|
Units
|
* |
5,825
|
||
EATON
CORP COM USD0.50
|
(600)
|
Units
|
* |
59,345
|
||
EBAY
INC COM STK USD0.001
|
(800)
|
Units
|
* |
26,996
|
||
EDUCATION
REALTY TRUST INC COM STK USD0.01
|
(2,400)
|
Units
|
* |
26,516
|
||
ELAN
CORP ADR-EACH CNV INTO 1 ORD EUR0.05
|
(800)
|
Units
|
* |
17,403
|
||
ELECTRONIC
ARTS COM STK USD0.01
|
(800)
|
Units
|
* |
46,707
|
||
ELECTRONICS
FOR IMAGING INC COM STK USD0.01
|
(365)
|
Units
|
* |
8,223
|
||
EMULEX
CORP COM STK USD0.10
|
(530)
|
Units
|
* |
8,852
|
||
ENCORE
ACQUISITION CO COM STK USD0.01
|
(195)
|
Units
|
* |
6,617
|
||
ENDURANCE
SPECIALTY HLDGS COM STK USD1
|
1,000
|
Units
|
(42,405)
|
|||
ENDURANCE
SPECIALTY HLDGS COM STK USD1
|
300
|
Units
|
(12,644)
|
|||
ENERSYS
COM USD0.01
|
(265)
|
Units
|
* |
6,570
|
||
EQUIFAX
INC COM STK USD1.25
|
(485)
|
Units
|
* |
17,602
|
||
EVEREST
RE GROUP COM STK USD0.01
|
(105)
|
Units
|
* |
10,587
|
||
FAMILY
DOLLAR STORES INC COM STK USD0.10
|
(2,100)
|
Units
|
* |
40,067
|
||
FIRST
AMERICAN CORP COM STK USD1
|
(210)
|
Units
|
* |
7,302
|
||
FIRST
FINANCIAL BANKSHARES INC COM STK USD10
|
(700)
|
Units
|
* |
26,978
|
||
FLIR
SYSTEMS INC COM STK USD0.01
|
3,100
|
Units
|
(96,037)
|
|||
FOOT
LOCKER INC COM STK USD0.01
|
(865)
|
Units
|
* |
11,649
|
||
FOREST
OIL CORP COM STK USD0.10
|
(700)
|
Units
|
* |
36,042
|
||
FORRESTER
RESEARCH INC COM STK USD0.01
|
(1,200)
|
Units
|
* |
33,615
|
||
FRIEDMAN
BILLINGS RAMSEY GROUP INC CLASS'A'COM STK
|
(2,790)
|
Units
|
* |
8,712
|
||
G
& K SERVICES INC CLASS'A'COM STK USD0.50
|
(125)
|
Units
|
* |
4,913
|
||
GENENTECH
INC COM USD0.02
|
(700)
|
Units
|
* |
47,026
|
||
GENERAL
ELECTRIC CO. COM STK USD0.06
|
(2,400)
|
Units
|
* |
89,385
|
||
GENWORTH
FINANCIAL INC COM STK USD0.001
|
3,600
|
Units
|
(91,720)
|
|||
GEVITY
HR INC COM USD0.01
|
(690)
|
Units
|
* |
5,554
|
||
GEVITY
HR INC COM USD0.01
|
(3,400)
|
Units
|
* |
27,580
|
||
GILEAD
SCIENCES INC COM STK USD0.001
|
(2,700)
|
Units
|
* |
125,280
|
||
GLOBAL
PAYMENTS INC COM STK USD0.001
|
(600)
|
Units
|
* |
27,048
|
||
GOLDMAN
SACHS GROUP INC COM STK USD0.01
|
(200)
|
Units
|
* |
42,718
|
||
GOOGLE
INC COM STK USD0.001 CLS'A'
|
(200)
|
Units
|
* |
140,805
|
||
GRIFFON
CORP COM STK USD0.25
|
(340)
|
Units
|
* |
4,450
|
||
GROUP
1 AUTOMOTIVE INC COM STK NPV
|
(160)
|
Units
|
* |
3,999
|
||
HAEMONETICS
CORP COM STK USD0.01
|
(175)
|
Units
|
* |
10,976
|
||
HANMI
FINANCIAL CORP COM STK USD0.001
|
(500)
|
Units
|
* |
4,502
|
||
HANMI
FINANCIAL CORP COM STK USD0.001
|
(400)
|
Units
|
* |
3,472
|
||
HANOVER
INSURANCE GROUP INC COM STK USD0.01
|
(315)
|
Units
|
* |
14,363
|
||
HARRIS
CORP COM STK USD1
|
(170)
|
Units
|
* |
10,686
|
||
HARSCO
CORP COM STK USD1.25
|
(800)
|
Units
|
* |
52,719
|
||
HEALTHSPRING
USD0.01
|
(210)
|
Units
|
* |
3,987
|
||
HELIX
ENERGY SOLUTIONS GROUP INC COM STK NPV
|
(670)
|
Units
|
* |
27,909
|
||
HEWITT
ASSOCIATES COM USD0.01 CLASS A
|
(195)
|
Units
|
* |
7,510
|
||
HEWLETT-PACKARD
CO COM STK USD0.01
|
(1,700)
|
Units
|
* |
87,629
|
||
HILB
ROGAL & HOBBS COM STK NPV
|
(125)
|
Units
|
* |
5,195
|
||
HOLOGIC
INC COM STK USD0.01
|
(400)
|
Units
|
* |
27,856
|
||
HORACE
MANN EDUCATORS CORP COM STK USD0.001
|
(225)
|
Units
|
* |
4,383
|
||
HORNBECK
OFFSHORE SERVICES INC COM STK USD0.01
|
(120)
|
Units
|
* |
5,507
|
||
IDACORP
INC COM STK NPV
|
(1,300)
|
Units
|
* |
45,642
|
||
IKON
OFFICE SOLUTIONS COM STK NPV
|
(765)
|
Units
|
* |
10,200
|
||
IMATION
CORP COM STK USD0.01
|
(265)
|
Units
|
* |
5,721
|
||
INFINITY
PROPERTY & CASUALTY CORP COM NPV
|
(95)
|
Units
|
* |
3,495
|
||
INFOSYS
TECHNOLOGIES ADR EACH REPR 1ORD INR5
|
(600)
|
Units
|
* |
27,321
|
||
INGRAM
MICRO INC CLASS'A'COM STK USD0.01
|
(675)
|
Units
|
* |
12,399
|
||
INSIGHT
ENTERPRISE INC COM STK USD0.01
|
(280)
|
Units
|
* |
5,349
|
||
INTEGRATED
DEVICE TECHNOLOGY INC COM STK USD0.001
|
(2,200)
|
Units
|
* |
24,882
|
||
INTERACTIVE
DATA CORP COM STK NPV
|
(800)
|
Units
|
* |
25,712
|
||
INTERNATIONAL
FLAVORS & FRAGRANCES COM STK
|
(600)
|
Units
|
* |
29,106
|
||
INTERNATIONAL
GAME TECHNOLOGY COM STK USD0.000625
|
(700)
|
Units
|
* |
31,126
|
||
INTERNATIONAL
SPEEDWAY CORP CLASS'A'COM STK
|
(290)
|
Units
|
* |
12,115
|
||
INVACARE
CORP COM STK NPV
|
(365)
|
Units
|
* |
9,151
|
||
IPC
HLDGS COM STK USD0.01
|
(635)
|
Units
|
* |
18,864
|
||
JARDEN
CORP COM STK NPV
|
(405)
|
Units
|
* |
9,443
|
||
JONES
APPAREL GROUP INC COM STK USD0.01
|
(290)
|
Units
|
* |
4,725
|
||
JOURNAL
COMMUNICATIONS INC COM STK USD0.01
|
(355)
|
Units
|
* |
3,256
|
||
JUNIPER
NETWORKS COM STK USD0.00001
|
(1,000)
|
Units
|
* |
33,936
|
||
KINDRED
HEALTHCARE INC COM STK USD0.25
|
(545)
|
Units
|
* |
13,909
|
||
KKR
FINANCIAL HLDGS LLC COM STK USD0.01
|
(610)
|
Units
|
* |
8,767
|
||
KNOLL
INC COM STK USD1
|
(620)
|
Units
|
* |
10,318
|
||
LAKELAND
FINANCIAL CORP COM STK USD0.01
|
(1,400)
|
Units
|
* |
29,495
|
||
LANCE
INC COM STK USD0.833
|
(1,300)
|
Units
|
* |
27,411
|
||
LANDSTAR
SYSTEMS INC COM STK USD0.01
|
(700)
|
Units
|
* |
29,659
|
||
LAZARD
LTD COM STK CLASS 'A' USD0.01
|
(1,100)
|
Units
|
* |
44,472
|
||
LENNOX
INTERNATIONAL INC COM STK USD0.01
|
(375)
|
Units
|
* |
15,300
|
||
LEXINGTON
REALTY TRUST COM STK USD0.0001
|
(310)
|
Units
|
* |
4,612
|
||
LEXMARK
INTERNATIONAL INC CLASS'A'COM STK USD0.01
|
(195)
|
Units
|
* |
6,915
|
||
LIFEPOINT
HOSPITALS INC COM STK USD0.01
|
(560)
|
Units
|
* |
16,689
|
||
LINCARE
HLDGS INC COM STK USD0.01
|
(640)
|
Units
|
* |
22,795
|
||
LIVE
NATION INC COM STK USD0.01
|
(700)
|
Units
|
* |
10,317
|
||
MAGELLAN
HEALTH SERVICES INC
|
(105)
|
Units
|
* |
5,072
|
||
MARATHON
OIL CORP COM STK USD1
|
(800)
|
Units
|
* |
50,032
|
||
MARRIOTT
INTERNATIONAL INC COM STK USD0.01 CL'A'
|
(1,500)
|
Units
|
* |
50,927
|
||
MASSEY
ENERGY COM COM STK USD0.625
|
(195)
|
Units
|
* |
7,188
|
||
MATTHEWS
INTL CORP CLASS'A'COM STK USD1
|
(200)
|
Units
|
* |
9,754
|
||
MAX
CAPITAL GROUP COM STK USD1
|
(630)
|
Units
|
* |
18,161
|
||
MAXIMUS
INC COM STK NPV
|
(110)
|
Units
|
* |
4,224
|
||
MCAFEE
INC COM STK USD0.01
|
(430)
|
Units
|
* |
15,981
|
||
MDC
HLDGS INC COM STK USD0.01
|
(265)
|
Units
|
* |
10,150
|
||
MENTOR
CORP COM STK USD0.10
|
(230)
|
Units
|
* |
8,823
|
||
MERCK
& CO INC COM STK USD0.01
|
(900)
|
Units
|
* |
52,754
|
||
MERRILL
LYNCH & CO INC COM STK USD1.333
|
(400)
|
Units
|
* |
21,191
|
||
MFA
MORTGAGE INVESTMENTS COM SHS
|
(1,290)
|
Units
|
* |
11,834
|
||
MICROCHIP
TECHNOLOGY COM STK USD0.001
|
(1,200)
|
Units
|
* |
38,171
|
||
MICROSOFT
CORP COM STK USD0.00000625
|
(3,200)
|
Units
|
* |
115,075
|
||
MILLER(HERMAN)
INC COM STK USD0.20
|
(1,200)
|
Units
|
* |
40,085
|
||
MILLER(HERMAN)
INC COM STK USD0.20
|
(2,500)
|
Units
|
* |
82,913
|
||
MINERALS
TECHNOLOGIES INC COM STK USD0.10
|
(500)
|
Units
|
* |
34,139
|
||
MONEYGRAM
INTERNATIONAL INC COM USD0.01
|
(465)
|
Units
|
* |
7,029
|
||
MONSANTO
CO NEW(DELAWARE) COM STK USD0.01
|
(800)
|
Units
|
* |
89,970
|
||
MOOG
INC CLASS'A'(LIM.V)USD1
|
(700)
|
Units
|
* |
33,196
|
||
MPS
GROUP INC COM STK USD0.01
|
(580)
|
Units
|
* |
6,602
|
||
MYLAN
INC COM STK USD0.50
|
(600)
|
Units
|
* |
8,318
|
||
NATIONAL
FINANCIAL PARTNERS COM STK USD0.10
|
(215)
|
Units
|
* |
9,970
|
||
NATIONWIDE
FINANCIAL SOLUTIONS INC CLASS'A'COM STK
|
(140)
|
Units
|
* |
6,348
|
||
NEENAH
PAPER INC COM STK USD0.01
|
(110)
|
Units
|
* |
3,281
|
||
NEW
YORK TIMES CO COM CLASS'A'STK USD0.10
|
(475)
|
Units
|
* |
8,195
|
||
NEWPARK
RESOURCES INC COM STK USD0.01
|
(675)
|
Units
|
* |
3,620
|
||
NEWS
CORP CLASS'A'NON VTG COM STKUSD0.01
|
(700)
|
Units
|
* |
14,480
|
||
NIKE
INC CLASS'B'COM STK NPV
|
(800)
|
Units
|
* |
51,785
|
||
NOBLE
CORP COM STK USD0.1
|
(1,100)
|
Units
|
* |
62,534
|
||
NOKIA
CORP ADR EACH REPR 1 EUR0.06
|
(800)
|
Units
|
* |
31,064
|
||
NORDSON
CORP COM STK NPV
|
(95)
|
Units
|
* |
5,649
|
||
NU
SKIN ENTERPRISES INC CLASS'A'COM STK USD0.001
|
(1,010)
|
Units
|
* |
16,782
|
||
NYSE
EURONEXT INC COM STK USD0.01
|
(600)
|
Units
|
* |
51,832
|
||
OCCIDENTAL
PETROLEUM CORP COM USD0.20
|
(600)
|
Units
|
* |
46,959
|
||
OLIN
CORP COM STK USD1
|
(255)
|
Units
|
* |
4,965
|
||
OMNICARE
INC COM STK USD1
|
(1,130)
|
Units
|
* |
25,561
|
||
OWENS
& MINOR INC COM STK USD2
|
(200)
|
Units
|
* |
8,545
|
||
OXFORD
INDUSTRIES INC COM STK USD1
|
(280)
|
Units
|
* |
7,304
|
||
OXFORD
INDUSTRIES INC COM STK USD1
|
(1,700)
|
Units
|
* |
44,067
|
||
PACER
INTL INC COM
|
(225)
|
Units
|
* |
3,247
|
||
PACIFIC
SUNWEAR OF CALIFORNIA INC COM STK USD0.01
|
(255)
|
Units
|
* |
3,711
|
||
PARTNERRE
COM STK USD1
|
(200)
|
Units
|
* |
16,022
|
||
PENNEY(J.C.)CO
INC COM STK USD0.50
|
(400)
|
Units
|
* |
17,225
|
||
PEPSICO
INC CAP STK USD0.0166
|
(1,000)
|
Units
|
* |
76,910
|
||
PERFORMANCE
FOODS GROUP INC COM STK USD0.01
|
(220)
|
Units
|
* |
5,932
|
||
PEROT
SYSTEMS CLASS'A'COM STK USD0.01
|
(880)
|
Units
|
* |
12,387
|
||
PERRIGO
CO COM STK NPV
|
(490)
|
Units
|
* |
17,823
|
||
PETROHAWK
ENERGY CORP COM USD0.001
|
(835)
|
Units
|
* |
14,853
|
||
PHH
CORP COM STK NPV
|
(320)
|
Units
|
* |
5,948
|
||
PHOTRONICS
INC COM STK USD0.01
|
(265)
|
Units
|
* |
3,377
|
||
PINNACLE
WEST CAPITAL CORP COM STK USD2.50
|
(1,200)
|
Units
|
* |
51,025
|
||
PLATINUM
UNDERWRITERS HLDGS LTD SHS
|
(560)
|
Units
|
* |
20,228
|
||
POTASH
CORP OF SASKATCHEWAN INC COM NPV
|
(300)
|
Units
|
* |
43,913
|
||
PRICELINE.COM
INC COM STK USD0.008
|
(600)
|
Units
|
* |
71,489
|
||
PRICELINE.COM
INC COM STK USD0.008
|
(100)
|
Units
|
* |
11,881
|
||
PROASSURANCE
CORP COM STK USD0.01
|
(150)
|
Units
|
* |
8,391
|
||
PROSPERITY
BANCSHARES INC COM STK USD1
|
(1,200)
|
Units
|
* |
35,495
|
||
PROTECTIVE
LIFE CORP COM STK USD0.50
|
(275)
|
Units
|
* |
11,453
|
||
PUGET
ENERGY INC COM STK NPV
|
(445)
|
Units
|
* |
12,285
|
||
PULTE
HOMES INC COM STK USD0.01
|
(525)
|
Units
|
* |
5,676
|
||
QUALCOMM
INC COM STK USD0.0001
|
(1,200)
|
Units
|
* |
47,255
|
||
RAYONIER
INC COM STK NPV
|
(700)
|
Units
|
* |
33,193
|
||
REDWOOD
TRUST INC COM STK USD0.01
|
(260)
|
Units
|
* |
8,905
|
||
REGIS
CORP COM STK USD0.05
|
1,575
|
Units
|
(44,506)
|
|||
REGIS
CORP COM STK USD0.05
|
335
|
Units
|
(9,446)
|
|||
REHABCARE
GROUP INC COM
|
(300)
|
Units
|
* |
6,597
|
||
REINSURANCE
GROUP OF AMERICA COM STK USD0.01
|
(130)
|
Units
|
* |
6,828
|
||
RENT-A-CENTER
INC COM STK USD0.01
|
3,345
|
Units
|
(48,659)
|
|||
RESEARCH
IN MOTION COM NPV
|
(900)
|
Units
|
* |
105,707
|
||
ROCHE
HLDG AG ADR-REPR GENUS PTG CERT NPV
|
(700)
|
Units
|
* |
60,170
|
||
ROCK-TENN
CO CLASS'A'COM STK USD0.01
|
(135)
|
Units
|
* |
3,531
|
||
RUDDICK
CORP COM STK USD1
|
(800)
|
Units
|
* |
28,488
|
||
SAFETY
INSURANCE GROUP INC COM STK USD0.01
|
(125)
|
Units
|
* |
4,676
|
||
SAKS
INC COM STK USD0.10
|
(1,200)
|
Units
|
* |
24,437
|
||
SARA
LEE CORP COM STK USD0.01
|
(1,500)
|
Units
|
* |
24,315
|
||
SCHERING-PLOUGH
CORP COM STK USD0.50
|
(900)
|
Units
|
* |
24,243
|
||
SCHLUMBERGER
COM STK USD0.01
|
(300)
|
Units
|
* |
29,737
|
||
SCHOLASTIC
CORP COM STK USD0.01
|
(205)
|
Units
|
* |
7,272
|
||
SCHWAB(CHARLES)CORP
COM STK USD0.01
|
(2,900)
|
Units
|
* |
72,708
|
||
SCOTTS
MIRACLE-GRO CO CLASS'A'COM STK NPV
|
(85)
|
Units
|
* |
3,200
|
||
SEALY
CORP COM STK USD0.01
|
(780)
|
Units
|
* |
9,374
|
||
SEPRACOR
INC COM STK USD0.1
|
1,700
|
Units
|
(45,976)
|
|||
SIERRA
PACIFIC RESOURCES COM STK USD0.01
|
(430)
|
Units
|
* |
7,453
|
||
SILGAN
HLDGS INC COM STK USD0.01
|
(210)
|
Units
|
* |
11,020
|
||
SMITHFIELD
FOODS COM USD0.5
|
(325)
|
Units
|
* |
9,520
|
||
SMUCKER(J.M.)CO
COM STK NPV
|
(140)
|
Units
|
* |
7,185
|
||
SONOCO
PRODUCTS CO COM STK NPV
|
(1,100)
|
Units
|
* |
36,211
|
||
SOUTHWESTERN
ENERGY CO COM STK USD0.10
|
(200)
|
Units
|
* |
11,014
|
||
SPARTAN
STORES INC COM STK USD0.01
|
(1,300)
|
Units
|
* |
27,493
|
||
ST
JOE CO COM STK NPV
|
(140)
|
Units
|
* |
4,759
|
||
ST
MARY LAND & EXPLORATION COM STK USD0.01
|
800
|
Units
|
(31,124)
|
|||
ST
MARY LAND & EXPLORATION COM STK USD0.01
|
800
|
Units
|
(31,205)
|
|||
ST
MARY LAND & EXPLORATION COM STK USD0.01
|
1,600
|
Units
|
(62,655)
|
|||
ST.JUDE
MEDICAL INC COM STK USD0.10
|
(1,200)
|
Units
|
* |
49,557
|
||
STANLEY
WORKS COM STK USD2.50
|
(195)
|
Units
|
* |
9,507
|
||
STATE
AUTO FINANCIAL CORP COM STK NPV
|
(165)
|
Units
|
* |
4,592
|
||
STEINER
LEISURE COM STK USD0.01
|
(2,000)
|
Units
|
* |
91,366
|
||
STERIS
CORP COM STK NPV
|
(225)
|
Units
|
* |
6,668
|
||
STUDENT
LOAN CORPORATION COM STK USD0.01
|
(60)
|
Units
|
* |
6,721
|
||
SUNPOWER
CORP COM STK USD0.001 CLASS'A'
|
(200)
|
Units
|
* |
26,930
|
||
SY
BANCORP INC COM STK NPV
|
(1,000)
|
Units
|
* |
24,260
|
||
SYCAMORE
NETWORK USD0.001
|
(1,345)
|
Units
|
* |
5,221
|
||
SYMMETRY
MEDICAL INC COM STK USD0.0001
|
(540)
|
Units
|
* |
9,519
|
||
TECHNITROL
INC COM STK USD0.125
|
(550)
|
Units
|
* |
16,353
|
||
TEMPUR
PEDIC INTERNATIONAL INC COM STK USD0.01
|
(215)
|
Units
|
* |
5,818
|
||
TERADYNE
INC COM STK USD0.125
|
(460)
|
Units
|
* |
4,805
|
||
TEVA
PHARMACEUTICAL INDUSTRIES ADR EACH CNV INTO 1
|
(1,100)
|
Units
|
* |
51,267
|
||
THERMO
FISHER SCIENTIFIC INC COM STK USD1
|
700
|
Units
|
(40,987)
|
|||
THOMAS
& BETTS CORP COM STK USD0.10
|
400
|
Units
|
(20,259)
|
|||
TRIUMPH
GROUP INC COM STK USD0.001
|
(300)
|
Units
|
* |
24,759
|
||
TRUE
RELIGION APPAREL INC COM STK USD0.00001
|
(1,000)
|
Units
|
* |
21,460
|
||
TRUE
RELIGION APPAREL INC COM STK USD0.00001
|
(1,900)
|
Units
|
* |
40,754
|
||
TUPPERWARE
BRANDS CORP COM STK USD0.01
|
(205)
|
Units
|
* |
6,878
|
||
UAP
HLDG CORP COM STK USD0.001
|
(330)
|
Units
|
* |
12,735
|
||
ULTRA
PETROLEUM CORP COM NPV
|
(600)
|
Units
|
* |
41,184
|
||
ULTRA
PETROLEUM CORP COM NPV
|
(1,000)
|
Units
|
* |
70,233
|
||
ULTRA
PETROLEUM CORP COM NPV
|
(800)
|
Units
|
* |
57,168
|
||
UNITED
AMERICA INDEMNITY LTD COM STK
|
(120)
|
Units
|
* |
2,467
|
||
UNITED
STATIONERS INC COM STK USD0.10
|
(800)
|
Units
|
* |
37,378
|
||
UNITED
TECHNOLOGIES CORP COM STK USD1
|
(800)
|
Units
|
* |
61,527
|
||
UNIVERSAL
CORP COM STK NPV
|
(95)
|
Units
|
* |
4,950
|
||
UNIVERSAL
TECHNICAL INSTITUTE COM STK USD0.0001
|
(325)
|
Units
|
* |
5,573
|
||
URBAN
OUTFITTERS INC COM STK USD0.0001
|
(300)
|
Units
|
* |
8,087
|
||
URS
CORP COM STK USD0.01
|
(800)
|
Units
|
* |
42,933
|
||
USEC
INC COM STK USD0.10
|
(2,200)
|
Units
|
* |
20,003
|
||
VALASSIS
COMMUNICATIONS INC COM STK USD0.01
|
(490)
|
Units
|
* |
5,915
|
||
VERIGY
LTD COM NPV
|
(255)
|
Units
|
* |
6,610
|
||
VITAL
SIGNS COM STK NPV
|
(90)
|
Units
|
* |
4,690
|
||
WALT
DISNEY(HLDG)CO DISNEY COM STK USD0.01
|
(2,200)
|
Units
|
* |
71,220
|
||
WARNACO
GROUP INC CLS'A'COM STK USD0.01
|
(495)
|
Units
|
* |
17,515
|
||
WATSON
WYATT WORLDWIDE INC CLASS'A'COM STK USD0.01
|
(295)
|
Units
|
* |
13,919
|
||
WAUSAU
PAPER CORP COM STK NPV
|
(2,600)
|
Units
|
* |
23,928
|
||
WHITING
PETROLEUM CORP COM STK USD0.001
|
(170)
|
Units
|
* |
9,831
|
||
WHOLE
FOODS MARKET INC COM STK NPV
|
(900)
|
Units
|
* |
37,185
|
||
WILLIS
GROUP HOLDINGS COM STK USD0.000115
|
(190)
|
Units
|
* |
7,260
|
||
WINNEBAGO
INDUSTRIES INC COM STK USD0.50
|
(485)
|
Units
|
* |
10,503
|
||
WORLD
FUEL SERVICES CORP COM STK USD0.01
|
(120)
|
Units
|
* |
3,574
|
||
WSFS
FINANCIAL CORP COM STK USD0.01
|
(500)
|
Units
|
* |
26,327
|
||
WYETH
COM USD0.333
|
(700)
|
Units
|
* |
30,772
|
||
YAHOO
INC COM STK USD0.001
|
(900)
|
Units
|
* |
21,026
|
||
ZALE
CORP COM STK USD0.01
|
(190)
|
Units
|
* |
2,964
|
||
ZUMIEZ
INC COM STK NPV
|
(800)
|
Units
|
* |
21,562
|
||
Total
Corporate Stock
|
$
|
673,370,308
|
||||
Corporate
Debt Securities
|
||||||
AIFUL
CORPORATION 5% DUE 10/AUG/2005
|
70,000
|
Units
|
70,069
|
|||
AIR
2 US 8.027% NTS 01/OCT/2020 USD1000 SER'A' 144A
|
93,921
|
Units
|
96,276
|
|||
ALTERNATIVE
LOAN TRUST 2006-OA 4-A-1 VARIABLE 25-Aug-46
|
273,633
|
Units
|
258,383
|
|||
ALTERNATIVE
LOAN TRUST 2007-AL A-1 VARIABLE 25-Jun-37
|
295,721
|
Units
|
278,738
|
|||
ALTRIA
GROUP INC 7.00% 04/NOV/2013
|
70,000
|
Units
|
79,059
|
|||
AMERICA
MOVIL SAB DE CV SR NT 5.625% 15/NOV/2017
|
40,000
|
Units
|
39,465
|
|||
AMERICAN
EXPRESS CO FLTG RTE DEB 01/SEP/2066 USD1000
|
50,000
|
Units
|
51,838
|
|||
AMERICAN
HOME MORTGAGE ASSETS TRUST 2006-2 2A1 VARIABLE 25/SEP/2046
|
267,530
|
Units
|
249,804
|
|||
AMERICAN
HOME MORTGAGE ASSETS TRUST 2006-3 3A12 VAR 25/OCT/2046
|
240,857
|
Units
|
231,068
|
|||
AMERICAN
HOME MORTGAGE ASSETS TRUST 2006-4 I-A-1- VARIABLE
25/OCT/2046
|
326,690
|
Units
|
303,903
|
|||
AMERICAN
INTERNATIONAL GROUP INC 5.85% MTN 16/JAN/2018 USD1000
TR'79'
|
20,000
|
Units
|
20,193
|
|||
ANADARKO
FINANCE CORP 7.5% BDS 01/MAY/2031 USD1000
|
140,000
|
Units
|
159,154
|
|||
ANADARKO
PETROLEUM CORP 5.79% SR FLTG RATE NTS 15/SEP/2009 USD1000
|
110,000
|
Units
|
108,545
|
|||
ANADARKO
PETROLEUM CORP 6.45% SNR NTS 15/SEP/2036 USD1000
|
100,000
|
Units
|
103,733
|
|||
AOL
TIME WARNER INC 6.875% NTS 01/MAY/2012 USD1000
|
100,000
|
Units
|
106,447
|
|||
AOL
TIME WARNER INC 7.7% BDS 01/MAY/2032 USD1000
|
30,000
|
Units
|
33,717
|
|||
BAC
CAPITAL TRUST XIV VAR NTS PERP USD1000
|
10,000
|
Units
|
9,041
|
|||
BANC
OF AMERICA COMMERCIAL MORTGAGE TRUST 2006-3 A-4 VARIABLE
10/JUL/2044
|
430,000
|
Units
|
448,887
|
|||
BANC
OF AMERICA COMMERCIAL MORTGAGE TRUST 2007-3 A-4 VARIABLE
10/JUN/2049
|
90,000
|
Units
|
92,436
|
|||
BANC
OF AMERICA FUNDING 2006-E TRUST 2006-E 2-A-1 VARIABLE
20/JUN/2036
|
226,624
|
Units
|
228,827
|
|||
BANC
OF AMERICA FUNDING 2006-G TRUST 2006-G 2-A-2 VARIABLE
20/JUL/2036
|
253,099
|
Units
|
252,651
|
|||
BANK
OF AMERICA CORP 5.375% BDS 15/AUG/2011 USD1000
|
60,000
|
Units
|
62,409
|
|||
BAYVIEW
COMMERCIAL ASSET TRUST 2005-3A A1 VAR 25/NOV/2035 144A
|
358,602
|
Units
|
333,223
|
|||
BAYVIEW
COMMERCIAL ASSET TRUST 2005-4 A-2 14 VARIABLE 25/JAN/2036
|
213,880
|
Units
|
201,188
|
|||
BEAR
STEARNS ALT-A TR 2004-11 MTG PASSTHRU CTF CL II-A-2
|
155,180
|
Units
|
160,640
|
|||
BEAR
STEARNS ALT-A TRUST 2004-11 II-A-6 VARIABLE 25-Nov-34
|
100,496
|
Units
|
97,373
|
|||
BEAR
STEARNS CO 6.4% BDS 02/OCT/2017 USD1000
|
120,000
|
Units
|
117,838
|
|||
BEAR
STEARNS MORTGAGE FUNDING TRUST MORTGAGE PASS- VAR
25/MAR/2037
|
381,250
|
Units
|
381,896
|
|||
BEAR
STEARNS SECURITIES TRUST 01-3 A-1 VARIABLE 25-Oct-32
|
12,563
|
Units
|
12,453
|
|||
CAPITAL
CORP AMERICA FLTG RATE NTS 17/APR/2009 USD1000
|
10,000
|
Units
|
7,276
|
|||
CARDINAL
HEALTH INC 5.85% NTS 15/DEC/2017 USD1000
|
100,000
|
Units
|
100,405
|
|||
C-BASS
MORTGAGE LOAN ASSET BACKED CERTIFICATES 2006-MH AF-3 1 VARIABLE
25/OCT/2036
|
99,631
|
Units
|
102,490
|
|||
CE
ELEC UK FDG CO SRNT144A6.995% 30/DEC/2007
|
250,000
|
Units
|
250,000
|
|||
CITIGROUP
INC 4.125% 22/FEB/2010
|
140,000
|
Units
|
140,021
|
|||
CLEAR
CHANNEL COMMUNICATIONS INC 6.25% BDS 15/MAR/2011 USD1000
|
80,000
|
Units
|
73,872
|
|||
COMCAST
CORP 6.5% BDS 15/JAN/2017 USD1000
|
90,000
|
Units
|
96,536
|
|||
COMCAST
CORP 6.50 15/JAN/2015
|
210,000
|
Units
|
225,490
|
|||
COMM
2006-C8 A-4 5.306% 10/DEC/2046
|
310,000
|
Units
|
310,448
|
|||
CONOCO
INC 6.95% SNR NTS 15/APR/2029 USD1000
|
270,000
|
Units
|
312,327
|
|||
COUNTRYWIDE
ALTERNATIVE LOAN TRUST SER#2005-59 FLTG RTE DUE
20/NOV/2035
|
232,003
|
Units
|
217,334
|
|||
COUNTRYWIDE
FINANCIAL CORP 5.8% BDS 07/JUN/2012 USD1000
|
70,000
|
Units
|
51,406
|
|||
COUNTRYWIDE
FINANCIAL CORP 6.25% NTS 15/MAY/2016 10000
|
400,000
|
Units
|
233,422
|
|||
COUNTRYWIDE
HOME EQUITY LOAN TRUST 2004-R CL 2A
|
195,696
|
Units
|
190,794
|
|||
CREDIT
SUISSE COMMERCIAL MTG TRUST 5.467% CMO 15/SEP/2039 USD1000
CL'A3'
|
360,000
|
Units
|
364,453
|
|||
CREDIT
SUISSE GUERNSEY 5.86% BDS PERP USD2000
|
40,000
|
Units
|
36,111
|
|||
CREDIT
SUISSE MORTGAGE CAPITAL CERTIFICATE 2007-C4 A4 VAR
15/SEPT/2039
|
840,000
|
Units
|
874,731
|
|||
CSMC
TRUST 2006-CF2 VAR 25/MAY/2036
|
197,171
|
Units
|
177,714
|
|||
CVS
CORP 126650AQ3 5.789% 10/JAN/2026
|
35,931
|
Units
|
35,214
|
|||
CVS
CORP BDS PASSTHRU CT 6.036% 10/DEC/2028 USD1000 '144A'
|
221,967
|
Units
|
213,905
|
|||
CVS
LEASE PASS THROUGH 5.88% 10/JAN/2028
|
2,868
|
Units
|
2,789
|
|||
CWABS
ASSET-BACKED NOTE TRUST 2006-SD A-1 14 VARIABLE
25/JUL/2036
|
224,836
|
Units
|
191,305
|
|||
CWALT
2006-0A17 FR CMO 20/DEC/2046 USD1000 '
|
325,553
|
Units
|
306,681
|
|||
CWALT
INC 12667GPB3 20/JUL/2035
|
210,372
|
Units
|
198,760
|
|||
CWALT
INC 2005-44 MTG PASSTHRU CTF 1A1 FLT
|
327,139
|
Units
|
312,346
|
|||
CWHEQ
REVOLVING HOME EQUITY LOAN RESECURITIZATION TRUST 2006-RE 04-F-1 VARIABLE
15/MAY/2034
|
215,649
|
Units
|
216,124
|
|||
CWMBS
INC 12669GUX7 25/MAR/2035
|
167,003
|
Units
|
159,391
|
|||
CWMBS,
INC. 2003-60 DUE 25/FEB/2034
|
301,802
|
Units
|
303,583
|
|||
DAIMLERCHRYSLER
NA HLDGS 5.875% BDS 15/MAR/2011 USD100000
|
170,000
|
Units
|
175,440
|
|||
DELTA
AIR LINES INC 6.619% ASSET BKD NTS 18/MAR/2011 USD1000
|
84,382
|
Units
|
83,960
|
|||
DELTA
AIR LINES INC 6.821% 10/AUG/2022 144A
|
100,000
|
Units
|
96,141
|
|||
DEUTSCHE
TELEKOM INTL FINANCE B.V. 5.75% BDS 23/MAR/2016 USD1000
|
70,000
|
Units
|
71,161
|
|||
DOMINION
RESOURCES INC 5.7% 17/SEP/2012
|
130,000
|
Units
|
135,633
|
|||
DRIVE
AUTO RECEIVABLES TRUST 2006-2 A-3 14 5.330% 15-Apr-14
|
320,000
|
Units
|
322,644
|
|||
DUKE
ENERGY CORP 5.625% DUE 30/NOV/2012
|
170,000
|
Units
|
177,264
|
|||
EXELON
CORP 5.625% BDS 15/JUN/2035 USD1000
|
35,000
|
Units
|
31,344
|
|||
FIRSTENERGY
CORP 6.45% BDS 15/NOV/2011 USD1000
|
70,000
|
Units
|
72,860
|
|||
FIRSTENERGY
CORP 7.375% BDS 15/NOV/2031 USD1000
|
165,000
|
Units
|
182,599
|
|||
GE
CAPITAL COMMERCIAL MORTGAGE CORP 5.489% MTG BDS 10/02/17
USD1000
|
100,000
|
Units
|
101,593
|
|||
GENERAL
ELECTRIC CAPITAL CORP FLTG RATE NTS 15/NOV/2067 USD5000
TR'804'
|
180,000
|
Units
|
187,328
|
|||
GLITNIR
BANKI HF 6.33% NTS 28/JUL/2011 USD1000 144A'
|
150,000
|
Units
|
150,676
|
|||
GLITNIR
BANKI HF 6.375% NTS 25/SEP/2012 USD1000 144A'
|
100,000
|
Units
|
99,797
|
|||
GMAC
COMMERCIAL MORTGAGE SECURITIES INC 2006-C1 A-4 VARIABLE
10/NOV/2045
|
300,000
|
Units
|
299,283
|
|||
GOLDMAN
SACHS CAPITAL II 5.793% BDS PERPETUAL USD1000
|
10,000
|
Units
|
8,952
|
|||
GOLDMAN
SACHS GROUP LP 4.500 15JNE15/JUN/2010
|
110,000
|
Units
|
109,858
|
|||
GREENPOINT
MORTGAGE FUNDING TRUST 2006-AR 1-A1A VARIABLE 25/OCT/2046
|
295,279
|
Units
|
285,769
|
|||
GREENPOINT
MORTGAGE FUNDING TRUST 2006-AR 1-A1B VARIABLE 25/JAN/2047
|
346,336
|
Units
|
334,796
|
|||
GREENPOINT
MORTGAGE FUNDING TRUST 2006-AR A1-A VARIABLE 25/SEP/2046
|
268,681
|
Units
|
261,207
|
|||
GSAA
HOME EQUITY TRUST SER 2005-5 CL A4
|
152,610
|
Units
|
152,004
|
|||
HARBORVIEW
MORTGAGE LOAN TRUST 02/OCT/2007A-1A VARIABLE 25/OCT/2037
|
353,986
|
Units
|
341,195
|
|||
HARBORVIEW
MORTGAGE LOAN TRUST 2006-7 2A1A VAR 19-Sep-36
|
265,735
|
Units
|
248,416
|
|||
HARBORVIEW
MORTGAGE LOAN TRUST 2006-9 2A1A VAR 19-Nov-36
|
304,775
|
Units
|
286,504
|
|||
HARBORVIEW
MTG LN TR 2005-7 MTG
|
335,769
|
Units
|
320,042
|
|||
HBOS
CAPITAL FDG FR NTS 29/DEC/2049 USD1000
|
20,000
|
Units
|
18,717
|
|||
HOLDINGS
III LTD 25/SEP/2037
|
366,460
|
Units
|
365,188
|
|||
HOLDINGS
III LTD 25/SEP/2037
|
393,808
|
Units
|
388,185
|
|||
HOUSEHOLD
FINANCE CORP 4.625% DUE 15/JAN/2008
|
300,000
|
Units
|
306,349
|
|||
HYPOTHEKENBANK
IN ESSEN 5% MTN 20/JAN/2012 USD1000 144A'
|
10,000
|
Units
|
10,378
|
|||
ILFC
E-CAPITAL TRUST II FRN BDS 21/DEC/2065 USD1000 '144A'
|
100,000
|
Units
|
95,758
|
|||
IMPERIAL
CMB TRUST SERIES 2003-4 DUE 25FEB25/FEB/2033
|
8,797
|
Units
|
8,416
|
|||
INDYMAC
INDA 2007-AR7 1-A-1 25/NOV/2037 FLT
|
57,261
|
Units
|
57,650
|
|||
IXIS
REAL ESTATE CAPITAL TRUST 2006-HE A-1 VARIABLE 25/AUG/2036
|
58,925
|
Units
|
58,582
|
|||
JPMORGAN
CHASE & CO 5.125% 15/SEP/2014
|
270,000
|
Units
|
268,723
|
|||
JPMORGAN
CHASE & CO 5.15% 01/OCT/2015
|
140,000
|
Units
|
136,831
|
|||
KERR
MCGEE CORP 6.95% 01/JUL/2024
|
80,000
|
Units
|
88,236
|
|||
KEY
BANK NA 5.5% 17/SEPT/2012
|
20,000
|
Units
|
20,672
|
|||
KINDER
MORGAN ENER PART
|
70,000
|
Units
|
68,068
|
|||
KINDER
MORGAN ENERGY PARTNERS 6% SNR NTS 01/FEB/2017 USD1000
|
20,000
|
Units
|
20,499
|
|||
KONINKLIJKE
KPN NV 8% BDS 01/OCT/2010 USD1000
|
120,000
|
Units
|
131,096
|
|||
LANDSBANKI
ISLAND 6.1% NTS 25/AUG/2011 USD1000 144A'
|
150,000
|
Units
|
151,036
|
|||
LEHMAN
BROS CAP TR VII VAR PERP
|
90,000
|
Units
|
80,673
|
|||
LEHMAN
BROS HLDGS INC 5.25% FR MTN '700' 06/FEB/2012 USD1000
|
50,000
|
Units
|
50,532
|
|||
LEHMAN
BROS HLDGS INC 6.2% BDS 26/SEP/2014 USD1000
|
30,000
|
Units
|
31,045
|
|||
LEHMAN
BROS HLDGS INC MTN BE VR 28/AUG/2007-15/SEP/2022
|
290,000
|
Units
|
287,339
|
|||
LEHMAN
XS TRUST 2006-14 1-A1B VARIABLE 25/SEP/2046
|
334,194
|
Units
|
312,599
|
|||
LEHMAN
XS TRUST 2006-2N 1-A1 VARIABLE 25/FEB/2046
|
345,909
|
Units
|
328,473
|
|||
LEHMAN
XS TRUST 2006-GP 3-A1A VAR 25/AUG/2046
|
240,868
|
Units
|
236,542
|
|||
MASTR
ADJUSTABLE RATE MORTGAGES TRUST 2007-3 1-2A1 VARIABLE
25/MAY/2047
|
354,699
|
Units
|
336,271
|
|||
MERRILL
LYNCH FIRST FRANKLIN MORTGAGE LOAN TRUST 2007-H1 2-A1 VARIABLE
25/OCT/2037
|
379,644
|
Units
|
371,802
|
|||
MERRILL
LYNCH MORTGAGE TRUST 2006-C1 A-4 VARIABLE 12-May-39
|
400,000
|
Units
|
413,733
|
|||
MERRILL
LYNCH/COUNTRYWIDE COMMERCIAL MGTE TRUST 2007-5 A4 5.378%
12/AUG/2048
|
90,000
|
Units
|
90,420
|
|||
METLIFE
INC BDS 6.4% 15/DEC/2066 USD1000
|
195,000
|
Units
|
179,295
|
|||
MORGAN
STANLEY 3.625% 01/APR/2008
|
40,000
|
Units
|
40,193
|
|||
MORGAN
STANLEY 5.625% BDS 09/JAN/2012 USD1000
|
130,000
|
Units
|
135,736
|
|||
MORGAN
STANLEY BDS 18/OCT/2016 USD100000
|
30,000
|
Units
|
28,344
|
|||
MORGAN
STANLEY MORTGAGE LOAN TRUST 4.215% CMO 25/AUG/2034 USD
|
30,802
|
Units
|
31,197
|
|||
NELNET
STUDENT LN TR 2005-2 A2
|
43,657
|
Units
|
43,695
|
|||
NEWS
AMERICA INC 6.65% BDS 15/NOV/2037 USD1000 144A'
|
10,000
|
Units
|
10,402
|
|||
NORTHWEST
AIRLINES CORP 7.575% BDS 1/3/2019 USD1000 SER'992A'
|
42,653
|
Units
|
43,730
|
|||
PACIFIC
GAS & ELECTRIC 6.05% 01/MAR/2034
|
70,000
|
Units
|
71,295
|
|||
PACIFIC
GAS & ELECTRIC CO 5.8% SNR NTS 01/MAR/2037 USD1000
|
10,000
|
Units
|
9,836
|
|||
PEMEX
PROJECT FUNDING MASTER TRUST 6.625% BDS 15/JUN/2035
USD1000
|
60,000
|
Units
|
63,419
|
|||
PETROBRAS
INTERNATIONAL FINANCE 6.125% NTS 06/OCT/2016 USD1000
|
90,000
|
Units
|
93,102
|
|||
RESIDENTIAL
ACCREDIT LOANS INC 2006-QO8 I-A1B VAR 25-Oct-46
|
416,845
|
Units
|
384,293
|
|||
RESIDENTIAL
CAP LLC VAR 22/MAY/2009
|
20,000
|
Units
|
14,365
|
|||
RESIDENTIAL
CAPITAL CORP VAR BDS 22/FEB/2011 USD1000
|
465,000
|
Units
|
301,540
|
|||
RESIDENTIAL
CAPITAL LLC 6.5% BDS 01/JUN/2012 USD1000
|
30,000
|
Units
|
18,653
|
|||
RESONA
PFD GLOBAL SECS VAR PERP 144A
|
60,000
|
Units
|
61,362
|
|||
SECURITIZED
ASSET BACKED RECEIVABLES LLC TRUST 2007-BR A-2 VARIABLE
25/FEB/2037
|
370,113
|
Units
|
325,840
|
|||
SHINSEI
FIN CAYMAN LTD 6.418%/FR PRF SEC 29/1/49 USD1000'144A'
|
110,000
|
Units
|
96,574
|
|||
SIERRA
TIMESHARE RECEIVABLES FUNDING LLC 2006-1 A-2 14 VARIABLE
20/MAY/2018
|
168,877
|
Units
|
168,056
|
|||
SIGMA
FIN INC MTN VAR 22/JUN/2017
|
140,000
|
Units
|
134,168
|
|||
SLM
CORP 5% MTN 01/OCT/2013 USD1000
|
45,000
|
Units
|
40,005
|
|||
SLM
CORP 5.625% 01/AUG/2033
|
245,000
|
Units
|
195,112
|
|||
SLM
CORP 78442FCJ5 5.375% 15/MAY/2014
|
20,000
|
Units
|
17,919
|
|||
SLM
CORP EXTN FLT RT NTS BK EN VR 20/APR/2007-18/APR/2008
|
120,000
|
Units
|
118,930
|
|||
SMFG
PREFERRED CAPITAL VAR BDS PERPETUAL USD100000 144A'
|
100,000
|
Units
|
94,765
|
|||
SOUTHERN
NATURAL GAS CO 5.9% NTS 15/03/17 USD1000 144A'
|
20,000
|
Units
|
19,966
|
|||
SPRINT
CAP CORP NT 8.375% DUE 15/MAR/2012
|
190,000
|
Units
|
210,460
|
|||
STRUCTURED
ASSET MORTGAGE INVESTMENTS II TRUST 2006-AR I-A-3 VARIABLE
25/JUL/2036
|
266,235
|
Units
|
252,381
|
|||
STRUCTURED
ASSET MORTGAGE INVESTMENTS INC 2006-AR7 A1A VAR
25/AUG/2036
|
318,903
|
Units
|
306,915
|
|||
SUNTRUST
CAPITAL VIII 6.1% NTS 15/12/36 USD1000
|
120,000
|
Units
|
100,207
|
|||
TELECOM
ITALIA CAPITAL 5.25% 01OCT20015
|
70,000
|
Units
|
69,116
|
|||
TERWIN
MORTGAGE TRUST TMTS 20 AF-3 VARIABLE 25-Jul-36
|
200,000
|
Units
|
199,880
|
|||
THORNBURG
MORTGAGE SECURITIES TRUST 2005-2 A4 FLT 25-Jul-45
|
326,957
|
Units
|
327,139
|
|||
THORNBURG
MORTGAGE SECURITIES TRUST 2005-4 A-3 VARIABLE 25/DEC/2035
|
348,940
|
Units
|
348,398
|
|||
THORNBURG
MORTGAGE SECURITIES TRUST 2007-4 3A-1 VARIABLE 25/SEP/2037
|
353,857
|
Units
|
352,517
|
|||
THORNBURG
MORTGAGE SECURTIES TRUST SERIES 2005-2 CL A3 VAR
25/JUL/2045
|
306,166
|
Units
|
306,237
|
|||
THORNBURG
MTG TR 2007-4 2A-1 25/SEP/2037 FLT
|
394,190
|
Units
|
397,604
|
|||
TNK-BP
FINANCE SA 7.875% MTN 13/MAR/2018 USD'144
|
200,000
|
Units
|
201,044
|
|||
TRAVELERS
COS INC VAR 15/MAR/2067
|
120,000
|
Units
|
114,760
|
|||
TYCO
INTERNATIONAL 6% NTS 15/NOV/2013 USD1000
|
220,000
|
Units
|
227,811
|
|||
VALE
OVERSEAS LIMITED 6.875% GTD NTS 21/NOV/2036 USD1000
|
165,000
|
Units
|
168,176
|
|||
VERIZON
GLOBAL FUNDING CORP 7.375% BDS 01/SEP/2012 USD1000
|
40,000
|
Units
|
45,148
|
|||
WACHOVIA
CORP 5.75% BDS 15/JUN/2017 USD1000
|
30,000
|
Units
|
29,893
|
|||
WACHOVIA
CORPORATION 5.25% 01/AUG/2014
|
220,000
|
Units
|
219,914
|
|||
WACHOVIA
MTG LN TR 2005-A 1-A-1 20/SEP/2035 FLT
|
245,255
|
Units
|
247,057
|
|||
WAL-MART
STORES INC 5.8% NTS 15/FEB/2018 USD1000
|
120,000
|
Units
|
126,340
|
|||
WAMU
MORTGAGE PASS-THROUGH CERTIFICATES 2005-AR A-1A2 VARIABLE
25/DEC/2045
|
525,223
|
Units
|
498,105
|
|||
WAMU
MORTGAGE PASS-THROUGH CERTIFICATES 2005-AR A-1A2 VARIABLE
25/DEC/2045
|
148,939
|
Units
|
140,870
|
|||
WAMU
MORTGAGE PASS-THROUGH CERTIFICATES 2006-AR 1-A1 VARIABLE
25/SEP/2036
|
149,617
|
Units
|
151,921
|
|||
WAMU
MORTGAGE PASS-THROUGH TRUST 2005 AR14 1A1
|
129,253
|
Units
|
129,183
|
|||
WAMU
MTG CERT 2007-OA6 1A-1B 25/JUL/2047 FLT
|
375,799
|
Units
|
348,721
|
|||
WASHINGTON
MUTUAL BK FA 5.50% 15/JAN/2013
|
140,000
|
Units
|
127,771
|
|||
WASHINGTON
MUTUAL INC 5.25% 15/SEP/2017
|
90,000
|
Units
|
76,453
|
|||
WASHINGTON
MUTUAL MORTGAGE PASS-THROUGH CERTIFICATES WMALT 2007-OA A-1A
VARIABLE
|
367,768
|
Units
|
352,427
|
|||
WASTE
MGMT INC DEL SR NT 6.375% 15/NOV/2012
|
130,000
|
Units
|
138,510
|
|||
WELLPOINT
INC 5.875% BDS 15/JUN/2017 USD1000
|
10,000
|
Units
|
10,094
|
|||
WELLS
FARGO CAPITAL VAR BDS 01/DEC/2086 USD100000
|
100,000
|
Units
|
93,604
|
|||
WELLS
FARGO MORTGAGE BACKED SECURITIES TRUST 2006-AR II-A-3 VARIABLE
25/APR/2036
|
278,330
|
Units
|
278,917
|
|||
WEYERHAEUSER
CO 6.75% NTS 15/MAR/2012 USD1000
|
90,000
|
Units
|
96,301
|
|||
WISCONSIN
POWER & LIGHT CO 6.375% DEB 15/AUG/2037 USD1000
|
20,000
|
Units
|
21,196
|
|||
WYETH
5.95% BDS 01/APR/2037 USD2000
|
70,000
|
Units
|
71,227
|
|||
Total
Corporate Debt Securities
|
$
|
29,092,550
|
||||
Government
Bonds
|
||||||
UNITED
MEXICAN STATES 6.75% NTS 27/SEP/2034 USD1000'GMTN'
|
257,000
|
Units
|
288,386
|
|||
UNITED
STATES OF AMER TREAS BONDS 2% BDS 15/JAN/2026 USD1000
|
290,000
|
Units
|
306,865
|
|||
UNITED
STATES OF AMER TREAS BONDS 2.375% BDS 15/JAN/2025 USD1000
|
700,000
|
Units
|
823,111
|
|||
UNITED
STATES OF AMER TREAS BONDS TIPS 3.375% BDS 15/APR/2032
USD1000
|
30,000
|
Units
|
45,480
|
|||
UNITED
STATES OF AMER TREAS NOTES 2.625% 15/JUL/2017 USD1000
|
20,000
|
Units
|
22,000
|
|||
UNITED
STATES OF AMER TREAS NOTES FLT TIPS 15/APR/2029 USD1000
|
110,000
|
Units
|
186,124
|
|||
UNITED
STATES OF AMER TREAS NOTES NTS VAR 15/JAN/2027 USD1000
|
600,000
|
Units
|
664,216
|
|||
UNITED
STATES OF AMER TREAS STRIP 0% 15/MAY/2030 USD1000
|
70,000
|
Units
|
25,361
|
|||
US
TREAS NTS 04.500% 30/SEP/2011
|
520,000
|
Units
|
548,452
|
|||
US
TREAS NTS 04.750% 31/JAN/2012
|
40,000
|
Units
|
42,958
|
|||
US
TREASURY NOTES (CBT) 5% NTS 15/MAY/2037 USD1000
|
500,000
|
Units
|
548,189
|
|||
USA
TREASURY NTS FLT DEB 15/JAN/2017 USD1000
|
20,000
|
Units
|
22,094
|
|||
US
Treasury Note - 4.625%, 2/28.2008 (912828EY)
|
4,495,000
|
Units
|
4,506,053
|
|||
AMERICAN
ELECTRIC POWER CO INC COM STK USD6.50
|
(58,281)
|
Units
|
* |
2,743,886
|
||
RUSSIAN
FEDERATION MINISTRY FINANCE 5% STP UP BDS 31/MAR/2030 USD1000
REG’S
|
300,000
|
Units
|
347,132
|
|||
Total
Government Bonds
|
$
|
11,120,307
|
||||
Mortgage
Backed Securities
|
||||||
FEDERAL
HOME LN BKS CONS BD 4.6% 29/OCT/2008
|
200,000
|
Units
|
201,865
|
|||
FEDERAL
HOME LOAN BANKS 4.875% BDS 18/NOV/2011 USD10000
|
140,000
|
Units
|
146,086
|
|||
FEDERAL
HOME LOAN MTG CORP
|
90,000
|
Units
|
90,607
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6% BDS 18/APR/2036 USD1000 'REGS'
|
60,000
|
Units
|
65,070
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6% MTG BCKD P/THRU 15/1/34 USD1000
|
100,000
|
Units
|
101,531
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6.5% MTG BKD P/THRU 15/1/32
USD1000
|
2,380,000
|
Units
|
2,446,193
|
|||
FHLMC
MORTPASS 5.89% 01/FEB/2037 1G PN# 1G2628
|
451,671
|
Units
|
461,952
|
|||
FHLMC
MORTPASS 5.901% 01/APR/2037 1N PN# 1N1454
|
456,833
|
Units
|
466,220
|
|||
FHLMC
MORTPASS 6.116% 01/SEP/2037 1G PN# 1G2201
|
196,436
|
Units
|
200,073
|
|||
FHLMCGLD
MORTPASS 5.5% 01/JAN/2038 G0 PN# G03696
|
2,100,000
|
Units
|
2,105,290
|
|||
FHLMCGLD
MORTPASS 5.5% 01/NOV/2035 A3 PN# A39803
|
251,119
|
Units
|
251,849
|
|||
FHLMCGLD
MORTPASS 5.5% 01/NOV/2037 G0 PN# G03695
|
1,200,000
|
Units
|
1,203,174
|
|||
FHLMCGLD
MORTPASS 6% 01/DEC/2037 G0 PN# G03698
|
1,200,000
|
Units
|
1,223,920
|
|||
FHLMCGLD
MORTPASS 6% 01/JAN/2038 G0 PN# G03697
|
500,000
|
Units
|
509,967
|
|||
FHLMCGLD
MORTPASS 6% 01/OCT/2037 G0 PN# G03441
|
189,383
|
Units
|
193,158
|
|||
FNMA
MORTPASS 5.5% 01/NOV/2036 CL PN# 745959
|
597,543
|
Units
|
599,636
|
|||
FNMA
MORTPASS 6.5% 01/AUG/2037 CL PN# 936879
|
558,163
|
Units
|
576,779
|
|||
FNMA
MORTPASS 6.5% 01/NOV/2037 CL PN# 956793
|
340,949
|
Units
|
352,320
|
|||
FNMA
TBA 15YR TBA 05.000% JAN
|
1,000,000
|
Units
|
1,000,938
|
|||
FNMA
TBA 5.5% MBPT 15/1/19 USD1000
|
2,000,000
|
Units
|
2,025,624
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
14,600,000
|
Units
|
14,244,125
|
|||
TBA
FNMA SF 5.50 30 YRS JAN
|
450,000
|
Units
|
449,438
|
|||
TBA
GNMA I SF 6.00 30 YRS JAN
|
2,300,000
|
Units
|
2,354,625
|
|||
TBA
GNMA I SF 6.50 30 YRS JAN
|
700,000
|
Units
|
722,750
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6% MTG BCKD P/THRU
|
100,000
|
Units
|
(100,563)
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6.5% MTG BKD
|
1,500,000
|
Units
|
(1,543,359)
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6.5% MTG BKD
|
100,000
|
Units
|
(102,820)
|
|||
FEDERAL
NATIONAL MORTGAGE ASSOC 6.5% MTG BKD
|
780,000
|
Units
|
(801,938)
|
|||
FNMA
TBA 15YR TBA 05.000% JAN
|
1,000,000
|
Units
|
(989,531)
|
|||
FNMA
TBA 5.5% MBPT 15/1/19 USD1000
|
2,000,000
|
Units
|
(2,009,063)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
(200,000)
|
Units
|
* |
194,281
|
||
FNMA
TBA SF 5.0 30 YR JAN
|
300,000
|
Units
|
(288,750)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
300,000
|
Units
|
(288,563)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
100,000
|
Units
|
(96,172)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(192,500)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
6,200,000
|
Units
|
(6,066,313)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
1,000,000
|
Units
|
(984,023)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(196,711)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(196,867)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
2,000,000
|
Units
|
(1,966,250)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(196,664)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(196,688)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
300,000
|
Units
|
(295,090)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(196,906)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
800,000
|
Units
|
(786,750)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
1,900,000
|
Units
|
(1,867,270)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
300,000
|
Units
|
(294,867)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(195,938)
|
|||
FNMA
TBA SF 5.0 30 YR JAN
|
200,000
|
Units
|
(193,656)
|
|||
TBA
FNMA SF 5.50 30 YRS JAN
|
200,000
|
Units
|
(198,375)
|
|||
TBA
FNMA SF 5.50 30 YRS JAN
|
250,000
|
Units
|
(248,047)
|
|||
TBA
GNMA I SF 6.00 30 YRS JAN
|
300,000
|
Units
|
(307,734)
|
|||
TBA
GNMA I SF 6.00 30 YRS JAN
|
2,000,000
|
Units
|
(2,043,750)
|
|||
TBA
GNMA I SF 6.50 30 YRS JAN
|
700,000
|
Units
|
(724,281)
|
|||
Total
Mortgage Backed Securities
|
$
|
8,618,034
|
||||
Registered
Investment Companies
|
||||||
ACCESSOR
INTERNATL EQUITY ADV CLASS
|
8,966
|
Units
|
214,568
|
|||
AIM
CHINA FD CLASS A
|
1,198
|
Units
|
27,238
|
|||
AIM
CHINA FD CL B
|
99
|
Units
|
2,217
|
|||
AIM
ENERGY CLASS B
|
147
|
Units
|
6,191
|
|||
AIM
ENERGY INVESTOR CLASS
|
121
|
Units
|
5,410
|
|||
AIM
INTERNATIONAL CORE EQUITY INV CL
|
5,103
|
Units
|
74,299
|
|||
ALGER
CAPITAL APPREC INSTITUIONAL CL R
|
1,156
|
Units
|
24,656
|
|||
ALLIANCEBER
GLOBAL BOND CLASS A
|
8,094
|
Units
|
65,725
|
|||
ALLIANCEBER
INTL VALUE ADVISOR
|
1,106
|
Units
|
24,925
|
|||
ALLIANZ
NFJ DIVIDEND VALUE FD CL D
|
2,232
|
Units
|
36,966
|
|||
ALLIANZ
RCM TECHNOLOGY CL A
|
227
|
Units
|
11,486
|
|||
ALLIANZ
RCM TECHNOLOGY CL D
|
316
|
Units
|
15,832
|
|||
ALPINE
DYNAMIC DIVID FUND
|
7,775
|
Units
|
94,000
|
|||
ALPINE
INTERNATIONAL REAL ESTATE EQUITY Y
|
5,814
|
Units
|
227,792
|
|||
AMANA
MUTUAL FUND TRUST GROWTH
|
28,600
|
Units
|
657,807
|
|||
AMANA
MUTUAL FUND TRUST INCOME
|
2,866
|
Units
|
88,782
|
|||
AMERICAN
AMCAP CLASS A
|
808
|
Units
|
16,293
|
|||
AMERICAN
BALANCED CLASS R3
|
400
|
Units
|
7,706
|
|||
AMERICAN
BALANCED CL R5
|
1,571
|
Units
|
30,353
|
|||
AMERICAN
BEACON BALANCED
|
1,754
|
Units
|
23,363
|
|||
AMERICAN
BEACON ERMG MKTS PLANAHEAD CL
|
1,361
|
Units
|
25,397
|
|||
AMERICAN
BEACON LARGE CAP VALUE PLAN
|
3,220
|
Units
|
72,100
|
|||
AMERICAN
BOND FUND OF AMERICA CLASS F
|
6,912
|
Units
|
90,271
|
|||
AMERICAN
BOND FUND OF AMERICA CL R3
|
5,308
|
Units
|
69,317
|
|||
AMERICAN
CAPITAL INCOME BUILDER CL A
|
2,555
|
Units
|
159,844
|
|||
AMERICAN
CAPITAL INCOME BUILDER CL F
|
637
|
Units
|
39,875
|
|||
AMERICAN
CAPITAL INCOME BUILDER CL R3
|
276
|
Units
|
17,293
|
|||
AMERICAN
CAPITAL INCOME BUILDER R5
|
516
|
Units
|
32,264
|
|||
AMERICAN
CAPITAL WORLD BOND CLASS F
|
2,315
|
Units
|
45,555
|
|||
AMERICAN
CAPITAL WOR LD BOND FD R5
|
4,216
|
Units
|
83,392
|
|||
AMERICAN
CAPITAL WORLD GRTH & INC A
|
888
|
Units
|
39,614
|
|||
AMERICAN
CAPITAL WORLD GRWTH & INC R5
|
1,272
|
Units
|
56,739
|
|||
AMERICAN
CENTURY CAPITAL VAL INV SHR
|
1,800
|
Units
|
13,971
|
|||
AMERICAN
CENTURY EMERGING MARKETS INV
|
12,648
|
Units
|
145,835
|
|||
AMERICAN
CENTURY EQUITY GROWTH
|
1,051
|
Units
|
25,428
|
|||
AMERICAN
CENTURY EQUITY INCOME
|
17,937
|
Units
|
139,906
|
|||
AMERICAN
CENTURY GLOBAL GOLD
|
5,314
|
Units
|
118,720
|
|||
AMERICAN
CENTURY HERITAGE
|
5,500
|
Units
|
120,624
|
|||
AMERICAN
CENTURY INFLATION ADJ TREAS
|
711
|
Units
|
7,996
|
|||
AMERICAN
CENTURY INTERNATIONAL BOND
|
3,973
|
Units
|
57,682
|
|||
AMERICAN
CENTURY MID CAP VALUE INV SHS
|
703
|
Units
|
7,947
|
|||
AMERICAN
CENTURY NEW OPP II CL C
|
1,328
|
Units
|
11,531
|
|||
AMERICAN
CENTURY ONE CHOICE VERY AGGR INV
|
218
|
Units
|
3,228
|
|||
AMERICAN
CENTURY REAL ESTATE
|
417
|
Units
|
8,823
|
|||
AMERICAN
CENTURY TAX FREE BOND
|
298
|
Units
|
3,202
|
|||
AMERICAN
CENTURY UTILITIES
|
3,788
|
Units
|
71,295
|
|||
AMERICAN
CENTURY VISTA
|
183
|
Units
|
3,955
|
|||
AMERICAN
EUROPACIFIC GROWTH CLASS A
|
414
|
Units
|
21,067
|
|||
AMERICAN
EUROPACIFIC GROWTH CLASS F
|
186
|
Units
|
9,439
|
|||
AMERICAN
EUROPACIFIC GROWTH CL R5
|
598
|
Units
|
30,440
|
|||
AMERICAN
FUNDAMENTAL INVESTORS R3
|
785
|
Units
|
33,261
|
|||
AMERICAN
FUNDAMENTAL INVESTORS R5
|
3,236
|
Units
|
137,397
|
|||
AMERICAN
GROWTH FUND OF AMERICA CLASS F
|
1,503
|
Units
|
50,802
|
|||
AMERICAN
GROWTH FUND OF AMERICA CL R3
|
238
|
Units
|
7,986
|
|||
AMERICAN
GROWTH FUND OF AMERICA CL R5
|
6,245
|
Units
|
212,337
|
|||
AMERICAN
HIGH INCOME TRUST R3
|
3,275
|
Units
|
38,847
|
|||
AMERICAN
INCOME FUND OF AMERICA CLASS A
|
5,362
|
Units
|
103,906
|
|||
AMERICAN
INCOME FUND OF AMERICA R5
|
886
|
Units
|
17,171
|
|||
AMERICAN
INCOME FUND OF AMER R1
|
261
|
Units
|
5,038
|
|||
AMERICAN
INVESTMENT CO OF AMERICA CL F
|
122
|
Units
|
4,015
|
|||
AMERICAN
NEW PERSPECTIVE CLASS A
|
4,040
|
Units
|
137,122
|
|||
AMERICAN
SMALLCAP WORLD CLASS C
|
394
|
Units
|
15,300
|
|||
AMERICAN
SMALLCAP WORLD CLASS F
|
1,168
|
Units
|
47,322
|
|||
AMERICAN
WORLD GROWTH INCOME CL R3
|
1,027
|
Units
|
45,587
|
|||
ARIEL
FUND
|
178
|
Units
|
8,259
|
|||
ARTISAN
INTERNAT'L INVESTOR CLASS
|
849
|
Units
|
25,381
|
|||
ARTISAN OPPORTUNISTIC
VALUE
|
990
|
Units
|
10,282
|
|||
ASTON/OPTIMUM
MID CAP CL N
|
1,245
|
Units
|
35,259
|
|||
ASTON/TAMRO LARGE CAP
VALUE CL N
|
1,829
|
Units
|
22,921
|
|||
BARON
ASSET
|
1,225
|
Units
|
78,091
|
|||
BARON
GROWTH
|
406
|
Units
|
20,585
|
|||
BARON
PARTNERS FUND
|
6,747
|
Units
|
160,310
|
|||
BASIC
MATERIAL ULTRA SEC PRO FD INVESTOR
|
425
|
Units
|
27,207
|
|||
BLACKROCK
GLOBAL RESOURCES PORT CL A
|
74
|
Units
|
4,341
|
|||
BLACKROCK
HEALTH SCIENCES OPP PRT A
|
176
|
Units
|
5,278
|
|||
BLACKROCK
HIGH YIELD BOND CLASS A
|
2,800
|
Units
|
21,704
|
|||
BLACKROCK
LARGE CAP VALUE FD CL A
|
577
|
Units
|
10,660
|
|||
BLACKROCK
LATIN AMERICA FD CL A
|
22
|
Units
|
1,450
|
|||
BLACKROCK
LATIN AMERICA FD CL C
|
22
|
Units
|
1,366
|
|||
BRANDYWINE
BLUE
|
6,484
|
Units
|
228,834
|
|||
BRIDGEWAY
AGGRESSIVE INVESTOR 2
|
3,446
|
Units
|
75,097
|
|||
BRIDGEWAY
BALANCED PORTFOLIO
|
738
|
Units
|
9,738
|
|||
BRIDGEWAY
LARGE CAP GROWTH CL N
|
770
|
Units
|
11,535
|
|||
BRIDGEWAY
SMALL CAP GROWTH CL N
|
3,770
|
Units
|
57,490
|
|||
BRIDGEWAY
SMALL CAP VALUE FUND CL N
|
606
|
Units
|
10,466
|
|||
BRIDGEWAY
ULTRA SMALL CO MARKET
|
3,057
|
Units
|
54,353
|
|||
BUFFALO
BALANCED FUND
|
732
|
Units
|
8,811
|
|||
BUFFALO
HIGH YIELD
|
369
|
Units
|
4,024
|
|||
BUFFALO
MID CAP FUND
|
6,433
|
Units
|
98,353
|
|||
BUFFALO SCIENCE
& TECHNOLOGY FD
|
498
|
Units
|
6,690
|
|||
CAMBIAR
OPPORTUNITY INVESTOR CL
|
257
|
Units
|
4,885
|
|||
COHEN
& STEERS REALTY SHARES
|
998
|
Units
|
58,662
|
|||
COLUMBIA
GREATER CHINA FD CL Z
|
251
|
Units
|
17,256
|
|||
COLUMBIA
MID CAP VALUE PRIMARY Z
|
1,385
|
Units
|
20,327
|
|||
COLUMBIA
SMALL CAP VALUE II CL A
|
208
|
Units
|
2,804
|
|||
CONSUMER
GOODS ULTRA SECTOR PRO FDS -INV
|
476
|
Units
|
19,442
|
|||
DAVIS
NEW YORK VENTURE INSTL CL Y
|
4,548
|
Units
|
183,974
|
|||
DELAFIELD
FUND INC
|
2,044
|
Units
|
49,703
|
|||
DIAMOND
HILL FINANCIAL LONG/SHT A
|
529
|
Units
|
8,572
|
|||
DIAMOND
HILL LARGE CAP CLASS A
|
2,015
|
Units
|
32,739
|
|||
DIAMOND
HILL LONG SHORT CLASS A
|
2,154
|
Units
|
39,612
|
|||
DIAMOND
HILL LONG SHORT CLASS C
|
1,109
|
Units
|
19,568
|
|||
DIREXION
10 YEAR NOTE BULL 2.5X INVST
|
898
|
Units
|
19,551
|
|||
DIREXION
COMMODITY BULL 2X INVESTOR
|
647
|
Units
|
23,387
|
|||
DIREXION
HIGH YIELD BEAR INVESTOR SHS
|
2,627
|
Units
|
49,196
|
|||
DIREXION
LATIN AMERICA BULL 2X INV
|
545
|
Units
|
16,892
|
|||
DIREXION
SMALL CAP BEAR 2.5X INV CL
|
1,497
|
Units
|
17,081
|
|||
DODGE
& COX INCOME
|
5,683
|
Units
|
71,094
|
|||
DODGE
& COX INTERNATL STOCK FUND
|
19,741
|
Units
|
908,503
|
|||
DREYFUS
PREMIER GREATER CHINA CL C
|
1,506
|
Units
|
68,363
|
|||
DREYFUS
PREMIER GREATER CHINA CL I
|
5,092
|
Units
|
252,652
|
|||
DREYFUS
PREMIER INTL GROWTH CLASS A
|
63
|
Units
|
912
|
|||
DREYFUS
PREMIER S&P STARS OPPR CL T
|
129
|
Units
|
3,136
|
|||
DREYFUS S&P
500 STOCK INDEX FUND
|
98
|
Units
|
2,985
|
|||
DWS
CORE FIXED INCOME CLASS S
|
2,090
|
Units
|
22,359
|
|||
DWS
GLOBAL OPPORTUNITIES CL S
|
288
|
Units
|
12,485
|
|||
DWS
GLOBAL THEMATIC CL S
|
393
|
Units
|
11,243
|
|||
DWS
GOLD & PRECIOUS METALS CL S
|
575
|
Units
|
12,361
|
|||
EATON
VANCE GREATER INDIA FUND CLASS B
|
84
|
Units
|
2,792
|
|||
EATON
VANCE TAX MNGD EMERGING MKTS INSTL
|
2,688
|
Units
|
143,078
|
|||
EVERGREEN
EMERG MKTS GROWTH FUND CLASS C
|
794
|
Units
|
17,573
|
|||
EVERGREEN
GLOBAL OPPORTUNITIES CL C
|
499
|
Units
|
14,598
|
|||
EXCELSIOR
EMERGING MARKETS
|
1,381
|
Units
|
23,069
|
|||
EXCELSIOR
ENERGY & NATURAL RESOURCES
|
402
|
Units
|
10,220
|
|||
EXCELSIOR
INTERNATL
|
1,566
|
Units
|
31,754
|
|||
EXCELSIOR
LARGE CAP GROWTH
|
3,047
|
Units
|
37,996
|
|||
EXCELSIOR
MID CAP VALUE & RESTRUCTING
|
489
|
Units
|
10,316
|
|||
EXCELSIOR
SMALL CAP
|
133
|
Units
|
2,467
|
|||
EXCELSIOR
VALUE AND RESTRUCTURING
|
7,554
|
Units
|
429,238
|
|||
FAIRHOLME
FUND
|
22,049
|
Units
|
702,497
|
|||
FALLING
US DOLLAR PRO FUND INV CLASS
|
557
|
Units
|
16,575
|
|||
FAM
VALUE
|
214
|
Units
|
9,740
|
|||
FBR
FOCUS FUND
|
937
|
Units
|
50,995
|
|||
FBR
LARGE CAP FINANCIAL
|
106
|
Units
|
1,481
|
|||
FBR
SMALL CAP FINANCIAL
|
1,116
|
Units
|
17,697
|
|||
FEDERATED
BOND CLASS F
|
2,756
|
Units
|
24,388
|
|||
FEDERATED
HIGH YIELD INSTL FUND
|
6,161
|
Units
|
35,921
|
|||
FIDELITY
ADVISOR DIVERSIFIED INT'L I
|
750
|
Units
|
16,632
|
|||
FIDELITY
ADVISOR EMERGING ASIA CL I
|
927
|
Units
|
28,881
|
|||
FIDELITY
ADVISOR HIGH INCOME ADV CL I
|
299
|
Units
|
2,898
|
|||
FIDELITY
ADVISOR LEVERGED CO STK CL I
|
1,532
|
Units
|
59,217
|
|||
FIDELITY
ADVISOR UTILITIES CLASS A
|
129
|
Units
|
2,976
|
|||
FIDELITY
BALANCED
|
1,768
|
Units
|
34,672
|
|||
FIDELITY
CANADA
|
4,346
|
Units
|
266,855
|
|||
FIDELITY
CAPITAL & INCOME
|
12,847
|
Units
|
111,513
|
|||
FIDELITY
CHINA REGION
|
1,973
|
Units
|
61,509
|
|||
FIDELITY
DISCIPLINED EQUITY
|
267
|
Units
|
7,894
|
|||
FIDELITY
EMERGING MARKETS
|
2,693
|
Units
|
91,158
|
|||
FIDELITY
EUROPE
|
1,008
|
Units
|
42,482
|
|||
FIDELITY
EUROPE CAPITAL APPRECIATION
|
757
|
Units
|
20,133
|
|||
FIDELITY
EXPORT & MULTINATIONAL
|
523
|
Units
|
13,454
|
|||
FIDELITY
FLOATING RATE HIGH INCOME
|
11,184
|
Units
|
107,029
|
|||
FIDELITY
FREEDOM 2020
|
2,816
|
Units
|
44,528
|
|||
FIDELITY
INT'L DISCOVERY
|
1,003
|
Units
|
43,221
|
|||
FIDELITY
INTL SMALL CAP OPP FUND
|
378
|
Units
|
5,454
|
|||
FIDELITY
LATIN AMERICA
|
1,671
|
Units
|
103,615
|
|||
FIDELITY
LEVERAGED COMPANY STOCK
|
9,308
|
Units
|
300,912
|
|||
FIDELITY
MID CAP VALUE
|
1,522
|
Units
|
24,772
|
|||
FIDELITY
NORDIC
|
601
|
Units
|
27,250
|
|||
FIDELITY
OTC PORT
|
422
|
Units
|
22,041
|
|||
FIDELITY
OVERSEAS
|
289
|
Units
|
13,982
|
|||
FIDELITY
PACIFIC BASIN
|
546
|
Units
|
16,491
|
|||
FIDELITY
PURITAN
|
4,729
|
Units
|
89,996
|
|||
FIDELITY
REAL ESTATE INVESTMENT
|
1,053
|
Units
|
27,365
|
|||
FIDELITY
SELECT CHEMICALS
|
134
|
Units
|
11,054
|
|||
FIDELITY
SELECT CONSTRUCTN & HOUSING
|
251
|
Units
|
8,493
|
|||
FIDELITY
SELECT CONSUMER STPLES PORT
|
62
|
Units
|
4,126
|
|||
FIDELITY
SELECT DEFENSE & AEROSPACE
|
500
|
Units
|
44,238
|
|||
FIDELITY
SELECT ENERGY
|
867
|
Units
|
57,814
|
|||
FIDELITY
SELECT ENERGY SERVICE
|
743
|
Units
|
75,511
|
|||
FIDELITY
SELECT ENVIRONMENTAL SVCS
|
839
|
Units
|
16,240
|
|||
FIDELITY
SELECT FINANCIAL SVCS
|
105
|
Units
|
10,044
|
|||
FIDELITY
SELECT GOLD
|
347
|
Units
|
13,854
|
|||
FIDELITY
SELECT INDUSTRIAL EQUIPMENT
|
675
|
Units
|
24,260
|
|||
FIDELITY
SELECT INDUSTRIALS PORT
|
773
|
Units
|
17,210
|
|||
FIDELITY
SELECT MATERIALS PORTFOLIO
|
396
|
Units
|
23,184
|
|||
FIDELITY
SELECT MEDICAL DELIVERY
|
392
|
Units
|
20,617
|
|||
FIDELITY
SELECT MEDICAL EQUIP&SYSTEM
|
1,117
|
Units
|
27,768
|
|||
FIDELITY
SELECT NATURAL GAS
|
1,287
|
Units
|
62,424
|
|||
FIDELITY
SELECT NATURAL RESOURCES
|
1,225
|
Units
|
49,051
|
|||
FIDELITY
SELECT TECHNOLOGY
|
79
|
Units
|
6,437
|
|||
FIDELITY
SELECT TRANSPORT
|
279
|
Units
|
12,743
|
|||
FIDELITY
SELECT WIRELESS PORTFOLIOS
|
1,589
|
Units
|
13,729
|
|||
FIDELITY
SOUTHEAST ASIA
|
4,063
|
Units
|
161,127
|
|||
FIDELITY
STRATEGIC INCOME
|
9,061
|
Units
|
94,964
|
|||
FIDELITY
VALUE
|
105
|
Units
|
7,875
|
|||
FIRST
EAGLE GOLD CLASS A
|
3,311
|
Units
|
79,361
|
|||
FMI
LARGE CAP FUND
|
3,164
|
Units
|
48,285
|
|||
FORWARD
HOOVER SMALL CAP EQUITY INV CL
|
2,471
|
Units
|
48,712
|
|||
FORWARD
INTERNATIONL EQUITY FUND
|
11
|
Units
|
204
|
|||
FORWARD
INTERNTL SMALL CO INVESTOR CL
|
1,150
|
Units
|
20,747
|
|||
FPA
NEW INCOME
|
1,768
|
Units
|
19,356
|
|||
FRANKLIN
GOLD AND PRECIOUS METALS CL C
|
116
|
Units
|
4,104
|
|||
FRANKLIN
INCOME CLASS C
|
10,840
|
Units
|
28,183
|
|||
FRANKLIN
STRATEGIC INCOME C
|
3,927
|
Units
|
40,170
|
|||
GABELLI
ASSET FUND
|
835
|
Units
|
41,593
|
|||
GABELLI
EQUITY INCOME FUND
|
1,600
|
Units
|
35,503
|
|||
GAMCO
GOLD FUND
|
2,049
|
Units
|
58,200
|
|||
GLOBAL
EMERGING MARKETS
|
990
|
Units
|
16,618
|
|||
GOLDMAN
SACHS ASSET ALLOC GRWTH STRAT A
|
10,055
|
Units
|
144,293
|
|||
GOLDMAN
SACHS BRIC FD CL C
|
66
|
Units
|
1,231
|
|||
GREENSPRING
FUND
|
181
|
Units
|
4,275
|
|||
GUINNESS
ATKINSON CHINA & HONG KONG
|
360
|
Units
|
15,506
|
|||
GUINNESS
ATKINSON GLOBAL ENERGY
|
226
|
Units
|
7,216
|
|||
HARBOR
BOND INST
|
22,298
|
Units
|
265,573
|
|||
HARBOR
CAPITAL APPRECIATION INV CL
|
1,978
|
Units
|
73,092
|
|||
HARBOR
INTERNATIONAL GROWTH INV CLASS
|
773
|
Units
|
12,486
|
|||
HARBOR
INTERNATIONAL INSTITUTIONAL FD
|
1,615
|
Units
|
115,242
|
|||
HARBOR
INTERNATIONAL INVESTOR SHARES
|
2,350
|
Units
|
166,213
|
|||
HARDING
LOEVNER EMERGING MKT PORT
|
629
|
Units
|
36,133
|
|||
HARTFORD
CAPITAL APPRECIATION CL A
|
2,084
|
Units
|
84,302
|
|||
HARTFORD
CAPITAL APPRECIATION CL B
|
137
|
Units
|
4,948
|
|||
HARTFORD
CAPITAL APPRECIATION CL C
|
731
|
Units
|
26,537
|
|||
HARTFORD
GLOBAL HEALTH CL C
|
1,184
|
Units
|
18,993
|
|||
HEARTLAND
SELECT VALUE
|
1,794
|
Units
|
47,495
|
|||
HEARTLAND
VALUE
|
306
|
Units
|
12,706
|
|||
HENNESSY
BALANCED
|
427
|
Units
|
4,825
|
|||
HENNESSY
CORNERSTONE GROWTH
|
514
|
Units
|
7,989
|
|||
HODGES
FUND
|
315
|
Units
|
8,628
|
|||
HUSSMAN
STRATEGIC GROWTH
|
4,777
|
Units
|
74,379
|
|||
ICON
ENERGY
|
3,255
|
Units
|
109,510
|
|||
ICON
FINANCIAL FUND
|
224
|
Units
|
2,765
|
|||
ICON
HEALTHCARE
|
1,366
|
Units
|
22,097
|
|||
ICON
LONG SHORT CLASS I
|
1,588
|
Units
|
29,069
|
|||
ICON
MATERIALS
|
2,527
|
Units
|
32,899
|
|||
ICON
TELECOMM AND UTILITIES
|
294
|
Units
|
2,505
|
|||
ING
CORPORATE LEADER TRUST
|
2,748
|
Units
|
63,155
|
|||
ING
REAL ESTATE FUND CLASS C
|
100
|
Units
|
1,449
|
|||
IVY
GLOBAL NATURAL RESOURCES CLASS B
|
51
|
Units
|
1,858
|
|||
IVY
INTERNATIONAL GROWTH FUND CL Y
|
164
|
Units
|
6,649
|
|||
JAMES
ADVANTAGE SMALL CAP
|
2,089
|
Units
|
45,644
|
|||
JAMES
BALANCED: GOLDEN RAINBOW FUND
|
3,591
|
Units
|
66,082
|
|||
JANUS
ADVISER ORION CL R
|
613
|
Units
|
9,789
|
|||
JANUS
CONTRARIAN FUND
|
27,448
|
Units
|
533,597
|
|||
JANUS
CORE FUNDAMENTAL EQUITY
|
755
|
Units
|
20,000
|
|||
JANUS
MID CAP VALUE INVST SHS
|
19,081
|
Units
|
427,979
|
|||
JANUS
ORION FUND
|
16,922
|
Units
|
220,151
|
|||
JANUS
OVERSEAS
|
17,138
|
Units
|
923,899
|
|||
JANUS
RESEARCH FUND
|
901
|
Units
|
27,954
|
|||
JENNISON
NATURAL RESOURCES FD CL Z
|
745
|
Units
|
45,662
|
|||
JENNISON
UTILITY CL C
|
2,072
|
Units
|
29,220
|
|||
JENSEN
PORTFOLIO CLASS J
|
2,106
|
Units
|
59,886
|
|||
JPMORGAN
CAPITAL GROWTH CL A
|
31
|
Units
|
1,283
|
|||
JPMORGAN
DIVERSIF MID CAP GROWTH CL A
|
59
|
Units
|
1,315
|
|||
JPMORGAN
EMERGING MARKETS DEBT SELECT
|
1,060
|
Units
|
8,964
|
|||
JPMORGAN
EMERGING MARKETS EQUITY CL A
|
4,382
|
Units
|
109,762
|
|||
JPMORGAN
EMERGING MRKTS EQ CL C
|
395
|
Units
|
9,739
|
|||
JPMORGAN
INTERNATL EQUITY INDEX CL A
|
499
|
Units
|
14,613
|
|||
JPMORGAN
INTERNATL VALUE FUND CLASS A
|
5,067
|
Units
|
93,133
|
|||
JPMORGAN
INTERNTL EQUITY FUND CLASS A
|
399
|
Units
|
12,679
|
|||
JPMORGAN
INTREPID EUROPEAN CLASS A
|
2,090
|
Units
|
59,286
|
|||
JPMORGAN
INTREPID MID CAP FUND CLASS A
|
4,640
|
Units
|
71,834
|
|||
JPMORGAN
REALTY INCOME FUND CLASS A
|
634
|
Units
|
6,821
|
|||
JPMORGAN
US REAL ESTATE CLASS A
|
497
|
Units
|
8,494
|
|||
JPMORGAN
VALUE ADVANTAGE CL A
|
235
|
Units
|
4,288
|
|||
JPMORGAN
VALUE OPPORTUNITIES CL A
|
65
|
Units
|
1,117
|
|||
JULIUS
BAER GLOBAL EQUITY CLASS A
|
124
|
Units
|
5,558
|
|||
JULIUS
BAER INTL EQUITY FUND II CL A
|
7,466
|
Units
|
127,815
|
|||
KEELEY
SMALL CAP VALUE FD INC
|
5
|
Units
|
140
|
|||
KINETICS
PARADIGM FUND
|
4,196
|
Units
|
130,034
|
|||
KINETICS
SMALL CAP OPPORTUNITIES
|
1,136
|
Units
|
36,273
|
|||
LAZARD
EMERGING MKTS OPEN CLASS
|
6,048
|
Units
|
146,182
|
|||
LEGG
MASON PRTN GLOB HI YIELD BOND CL C
|
445
|
Units
|
3,563
|
|||
LEUTHOLD
ASSETT ALLOCATION FD
|
3,739
|
Units
|
42,133
|
|||
LOOMIS
SAYLES BOND RETAIL SHARES
|
42,176
|
Units
|
613,240
|
|||
LOOMIS
SAYLES GLOBAL BOND RETAIL
|
2,028
|
Units
|
32,056
|
|||
MAINSTAY
ICAP INTERNATIONAL FD I
|
221
|
Units
|
8,471
|
|||
MAINSTAY
ICAP SELECT EQUITY FD CL I
|
17,997
|
Units
|
699,019
|
|||
MANAGERS
BOND
|
2,011
|
Units
|
50,966
|
|||
MANAGERS
FREMONT BOND FUND
|
2,064
|
Units
|
21,795
|
|||
MARSHALL
MID CAP VALUE CL Y
|
1,598
|
Units
|
21,179
|
|||
MARSHALL
SMALL CAP GROWTH CL Y
|
1,034
|
Units
|
17,178
|
|||
MARSICO
21ST CENTURY FUND
|
25,870
|
Units
|
451,174
|
|||
MARSICO
FOCUS
|
6,476
|
Units
|
129,454
|
|||
MARSICO
GROWTH FUND
|
6,879
|
Units
|
152,982
|
|||
MARSICO
INTERNAT'L OPPORTUNITIES
|
2,504
|
Units
|
45,095
|
|||
MATTHEWS
ASIAN TECHNOLOGY FUND
|
4,775
|
Units
|
46,797
|
|||
MATTHEWS
ASIA PACIF EQUITY INCOME FD
|
547
|
Units
|
6,563
|
|||
MATTHEWS
ASIA PACIFIC FUND
|
1,046
|
Units
|
18,089
|
|||
MATTHEWS
CHINA FUND
|
1,404
|
Units
|
55,795
|
|||
MATTHEWS
INDIA FUND
|
6,289
|
Units
|
153,712
|
|||
MATTHEWS
KOREA FUND
|
3,477
|
Units
|
22,811
|
|||
MERGER
FUND
|
209
|
Units
|
3,135
|
|||
MERIDIAN
VALUE FUND
|
675
|
Units
|
21,556
|
|||
MERK
HARD CURRENCY FUND INVESTOR CL
|
11,944
|
Units
|
137,955
|
|||
METZLER
PAYDEN EURO EMERGING MKTS CL
|
2,235
|
Units
|
84,634
|
|||
MFS
SECTOR ROTATIONAL CL C
|
976
|
Units
|
18,802
|
|||
MIDAS
FUND
|
4,459
|
Units
|
25,152
|
|||
MOBILE
TELCOMM ULTRA SECTOR PRO FD INVSTR
|
299
|
Units
|
4,057
|
|||
MUHLENKAMP
FUND
|
2,515
|
Units
|
163,446
|
|||
MUTUAL
SERIES DISCOVERY CLASS Z
|
3,869
|
Units
|
125,560
|
|||
MUTUAL
SERIES EUROPEAN CLASS Z
|
1,231
|
Units
|
32,411
|
|||
MUTUAL
SERIES FINCL SERVICES CLASS Z
|
203
|
Units
|
3,797
|
|||
MUTUAL
SERIES MUTUAL BEACON CLASS C
|
2,372
|
Units
|
36,717
|
|||
MUTUAL
SERIES SHARES CLASS Z
|
101
|
Units
|
2,571
|
|||
NATIONWIDE
CHINA OPP CL A
|
474
|
Units
|
12,055
|
|||
NEUBERGER
BERMAN INT'L INVESTOR CLASS
|
920
|
Units
|
19,235
|
|||
NEUBERGER
BERMAN INT'L TRUST CLASS
|
1,387
|
Units
|
31,958
|
|||
NEUBERGER
BERMAN PARTNERS INVESTOR
|
4,650
|
Units
|
152,600
|
|||
NEUBERGER
BERMAN REAL ESTATE TRUST CL
|
111
|
Units
|
1,206
|
|||
NEUBERGER
BERMAN REGENCY INVESTOR
|
623
|
Units
|
10,592
|
|||
NORTHERN
GLOBAL REAL ESTATE INDEX FD
|
402
|
Units
|
4,332
|
|||
NORTHERN
SMALL CAP VALUE
|
1,868
|
Units
|
25,950
|
|||
OAKMARK
FUND I
|
253
|
Units
|
10,232
|
|||
OAKMARK
GLOBAL SELECT FD CL 1
|
623
|
Units
|
6,352
|
|||
OAKMARK
SELECT I
|
5,742
|
Units
|
146,203
|
|||
OBERWEIS
CHINA OPPORTUNITIES FUND
|
9,772
|
Units
|
283,984
|
|||
OBERWEIS
INTL OPPORTUNITIES FUND
|
138
|
Units
|
1,943
|
|||
OIL
EQUIPMENT SCVS DIST ULTRA SVCS CL
|
394
|
Units
|
16,280
|
|||
OIL
& GAS ULTRA SECT PRO FDS -INVESTOR
|
1,971
|
Units
|
117,023
|
|||
OLD
MUTUAL CLAY FIN CHINA FD A
|
648
|
Units
|
13,739
|
|||
OLD
MUTUAL COLUMBUS CIRCLE TECH&COMM Z
|
290
|
Units
|
4,942
|
|||
OPPENHEIMER
GOLD & SPL MINERALS CL N
|
815
|
Units
|
28,390
|
|||
OPPENHEIMER
INTERNAT'L BD CL N
|
2,442
|
Units
|
15,505
|
|||
PARNASSUS
FIXED INCOME FUND
|
1,501
|
Units
|
24,456
|
|||
PERMANENT
PORTFOLIO FD INC
|
3,641
|
Units
|
131,227
|
|||
PERRITT
EMERGING OPPORTUNITIES FUND
|
975
|
Units
|
12,858
|
|||
PERRITT
MICROCAP OPPORTUNITIES
|
635
|
Units
|
16,963
|
|||
PHOENIX
FOREIGN OPPORTUNITES CL A
|
852
|
Units
|
24,680
|
|||
PIMCO
COMMODITY REAL RETURN CL D
|
6,689
|
Units
|
107,832
|
|||
PIMCO
DEVELOPING LOCAL MKTS D
|
5,821
|
Units
|
61,467
|
|||
PIMCO
FLOATING RATE INCOME CL D
|
1,429
|
Units
|
14,057
|
|||
PIMCO
REAL RETURN CLASS C
|
1,851
|
Units
|
20,285
|
|||
PIMCO
REAL RETURN CLASS D
|
6,768
|
Units
|
74,172
|
|||
PIMCO
STOCKS PLUS CLASS D
|
939
|
Units
|
10,304
|
|||
PIMCO
TOTAL RETURN CLASS A
|
729
|
Units
|
7,792
|
|||
PIMCO
TOTAL RETURN CLASS D
|
11,442
|
Units
|
122,318
|
|||
POLARIS
GLOBAL VALUE
|
2,103
|
Units
|
36,797
|
|||
PRECIOUS
METALS ULTRA SEC PRO INVST
|
1,651
|
Units
|
78,916
|
|||
PRO
FUNDS ULTRA SHORT MID-CAP-INV CL
|
797
|
Units
|
10,286
|
|||
PRUDENT
GLOBAL INC FUNDS
|
4,502
|
Units
|
58,259
|
|||
PUTNAM
GLOBAL NATURAL RESOURCE C
|
960
|
Units
|
28,988
|
|||
QUANT
FOREIGN VALUE FUND ORDINARY SHS
|
1,141
|
Units
|
23,134
|
|||
QUANTITATIVE
EMRG MKTS FD-ORDINARY SHS
|
1,891
|
Units
|
59,193
|
|||
RAINIER
MID CAP EQ PORTFOLIO
|
1,270
|
Units
|
56,169
|
|||
REAL
ESTATE ULTRA SECTOR PRO FD INVSTR
|
62
|
Units
|
2,306
|
|||
RISING
RATES OPP 10 PROFUND INV CLASS
|
528
|
Units
|
14,880
|
|||
ROYCE
MICROCAP INVESTMENT CLASS
|
380
|
Units
|
5,981
|
|||
ROYCE
OPPORTUNITY FUND INVEST CLASS
|
8,431
|
Units
|
92,912
|
|||
ROYCE
PENNSYLVANIA MUTUAL INVST CLASS
|
13,434
|
Units
|
145,351
|
|||
ROYCE
SPECIAL EQUITY INVESTMENT CL
|
1,634
|
Units
|
29,847
|
|||
ROYCE
TOTAL RETURN FD INVESTMENT CL
|
5,627
|
Units
|
72,753
|
|||
ROYCE
VALUE FUND SERVICE CL
|
4,830
|
Units
|
51,390
|
|||
ROYCE
VALUE PLUS SERVICE CLASS
|
31,937
|
Units
|
441,048
|
|||
RS
GLOBAL NATURAL RESOURCES CL A
|
717
|
Units
|
27,233
|
|||
RS
VALUE FUND CL A
|
1,556
|
Units
|
40,879
|
|||
RYDEX
BASIC MATERIALS ADVISOR CL
|
546
|
Units
|
26,806
|
|||
RYDEX
BIOTECHNOLOGY INV CLASS
|
113
|
Units
|
2,613
|
|||
RYDEX
INVERSE S&P 500 STRATEGY INV CL
|
4,277
|
Units
|
155,052
|
|||
RYDEX
OTC INVESTOR CLASS
|
5,121
|
Units
|
70,669
|
|||
RYDEX
PRECIOUS METALS INVESTOR CL
|
712
|
Units
|
48,144
|
|||
RYDEX
RUSSELL 2000 2X STRATEGY CL H
|
5,862
|
Units
|
140,326
|
|||
RYDEX
WEAKENING DOLLAR 2X STRAT CL H
|
7,189
|
Units
|
184,537
|
|||
SCHNEIDER
VALUE FUND
|
3,983
|
Units
|
85,402
|
|||
SCHWAB
HEALTH CARE FUND
|
536
|
Units
|
8,839
|
|||
SELECTED
AMERICAN SHARES CL D
|
958
|
Units
|
45,806
|
|||
SELECTED
AMERICAN SHARES CL S
|
3,043
|
Units
|
145,411
|
|||
SENTINEL
MID CAP VALUE CL C
|
592
|
Units
|
8,913
|
|||
SHORT
SMALL CAP PRO FUND INVESTOR
|
1,937
|
Units
|
30,585
|
|||
SOUND
MIND INVESTING FUND
|
4,281
|
Units
|
56,379
|
|||
SOUND
SHORE FD INC
|
821
|
Units
|
29,289
|
|||
SPARTAN
500 INDEX INVESTOR CLASS
|
515
|
Units
|
52,223
|
|||
SPARTAN
INTL INDEX INVESTOR CLASS
|
572
|
Units
|
27,044
|
|||
SSGA
EMERGING MARKETS
|
2,094
|
Units
|
63,036
|
|||
SSGA
INTERNATIONAL STOCK SELECTION
|
13,281
|
Units
|
187,532
|
|||
SSGA
TUCKERMAN ACTIVE REIT
|
277
|
Units
|
3,872
|
|||
STRATTON
SMALL CAP VALUE FUND
|
1,927
|
Units
|
88,899
|
|||
TAMARACK
MICROCAP VALUE CL S
|
1,839
|
Units
|
35,062
|
|||
TEMPLETON
GROWTH CLASS R
|
764
|
Units
|
18,219
|
|||
THIRD
AVENUE VALUE
|
4,604
|
Units
|
279,733
|
|||
THORNBURG
INTL VALUE CL A
|
1,422
|
Units
|
47,223
|
|||
THORNBURG
INTL VALUE CL INSTL
|
2,622
|
Units
|
88,855
|
|||
TIAA-CREF
INSTL LRG CAP VALUE -RETAIL
|
198
|
Units
|
2,868
|
|||
TIAA-CREF
INSTL MID CAP VALUE -RETAIL
|
3,419
|
Units
|
61,235
|
|||
TIAA-CREF
INSTL REAL ESTATE SEC - RETAIL
|
3,697
|
Units
|
40,523
|
|||
TOCQUEVILLE
FUND
|
674
|
Units
|
17,285
|
|||
TOCQUEVILLE
GOLD FUND
|
1,950
|
Units
|
95,256
|
|||
TRANSAMERICA
PREMIER EQUITY
|
6,294
|
Units
|
161,136
|
|||
T
ROWE PRICE AFRICA & MIDDLE EAST FD
|
840
|
Units
|
10,827
|
|||
T
ROWE PRICE BLUE CHIP GROWTH ADV CL
|
250
|
Units
|
10,050
|
|||
T
ROWE PRICE BLUE CHIP GROWTH INC
|
188
|
Units
|
7,551
|
|||
T
ROWE PRICE CAP APPRECIATION
|
15,314
|
Units
|
304,743
|
|||
T
ROWE PRICE CAPITAL APPRECIATION ADV CL
|
1,389
|
Units
|
27,521
|
|||
T-ROWE
PRICE EMERG EURO & MEDITERRANEAN
|
4,745
|
Units
|
177,287
|
|||
T
ROWE PRICE EMERGING MKTS STOCK
|
5,961
|
Units
|
255,827
|
|||
T
ROWE PRICE EQUITY INCOME
|
3,143
|
Units
|
88,327
|
|||
T
ROWE PRICE EQUITY INCOME ADVISOR CL
|
184
|
Units
|
5,153
|
|||
T
ROWE PRICE EQUITY INDEX TR FD
|
288
|
Units
|
11,334
|
|||
T
ROWE PRICE EXTEND EQU MKT INDEX FUND
|
1,388
|
Units
|
22,136
|
|||
T
ROWE PRICE GLOBAL STOCK
|
1,806
|
Units
|
45,446
|
|||
T
ROWE PRICE GLOBAL TECHNOLOGY
|
683
|
Units
|
5,198
|
|||
T
ROWE PRICE GROWTH STOCK
|
10,074
|
Units
|
339,082
|
|||
T
ROWE PRICE HEALTH SCIENCES
|
1,236
|
Units
|
35,001
|
|||
T
ROWE PRICE INTERNATIONAL BOND
|
826
|
Units
|
8,339
|
|||
T
ROWE PRICE INTL DISCOVERY FUND
|
729
|
Units
|
35,573
|
|||
T
ROWE PRICE INTL EQUITY INDEX
|
1,688
|
Units
|
26,725
|
|||
T
ROWE PRICE INT'L GROWTH & INCOME
|
300
|
Units
|
5,330
|
|||
T
ROWE PRICE LATIN AMERICA FUND
|
4,982
|
Units
|
268,492
|
|||
T
ROWE PRICE MEDIA & TELECOMMUNICATIONS
|
419
|
Units
|
20,318
|
|||
T
ROWE PRICE NEW ASIA
|
3,601
|
Units
|
77,717
|
|||
T
ROWE PRICE NEW ERA
|
1,185
|
Units
|
72,501
|
|||
T
ROWE PRICE NEW HORIZONS FD INC
|
16,122
|
Units
|
491,888
|
|||
T
ROWE PRICE PERSNL STRATEGY INCOME
|
1,066
|
Units
|
16,725
|
|||
T
ROWE PRICE PERSONAL STRAT GRWTH
|
131
|
Units
|
3,195
|
|||
T
ROWE PRICE REAL ESTATE FUND
|
515
|
Units
|
9,882
|
|||
T
ROWE PRICE RET 2040 FD
|
610
|
Units
|
11,717
|
|||
T
ROWE PRICE SPECTRUM INCOME
|
1,602
|
Units
|
19,566
|
|||
T
ROWE PRICE US TREAS INTERMEDIATE
|
66,432
|
Units
|
368,033
|
|||
T
ROWE PRICE VALUE
|
575
|
Units
|
14,876
|
|||
TURNER
NEW ENTERPRISE INV CL
|
4,026
|
Units
|
35,590
|
|||
ULTRA
BEAR PRO FUND SERVICE SHARES
|
4,041
|
Units
|
52,044
|
|||
ULTRA
EMERGING MRKTS PRO FD INVT CL
|
1
|
Units
|
61
|
|||
ULTRA
INTL PRO FD INVT CL
|
571
|
Units
|
20,761
|
|||
ULTRA
MID CAP PRO FUND INVESTOR SHS
|
1,030
|
Units
|
52,473
|
|||
ULTRA
NASDAQ-100 PRO FUND INVESTOR CLASS
|
1,699
|
Units
|
56,031
|
|||
ULTRA
SHORT DOW 30 INVESTOR SHARES
|
3,524
|
Units
|
56,805
|
|||
ULTRA
SHORT EMERGING MRKTS PRO FD INV CL
|
5,981
|
Units
|
43,186
|
|||
ULTRA
SHORT NASDAQ- 100 PROFUND INVESTOR
|
6,787
|
Units
|
62,103
|
|||
UMB
SCOUT INTERNATIONAL
|
2,338
|
Units
|
87,401
|
|||
UMB
SCOUT SMALL CAP
|
1,725
|
Units
|
30,427
|
|||
US
GLOBAL CHINA REGION OPPORTUNITY
|
7,176
|
Units
|
91,425
|
|||
US
GLOBAL REGION EAST EUROPEAN
|
2,300
|
Units
|
114,709
|
|||
US
GLOBAL RESOURCES
|
19,549
|
Units
|
342,099
|
|||
US
GOLD AND PRECIOUS METALS
|
6,791
|
Units
|
109,533
|
|||
US
WORLD PRECIOUS MINERALS
|
9,774
|
Units
|
256,566
|
|||
UTILITIES
ULTRA SECTOR PRO FUND INV
|
990
|
Units
|
28,660
|
|||
VALUE
LINE EMERGING OPPORTUNITY
|
1,302
|
Units
|
44,285
|
|||
VALUE
LINE INCOME
|
1,207
|
Units
|
10,197
|
|||
VALUE
LINE PREMIER GROWTH FUND
|
1,275
|
Units
|
37,447
|
|||
VAN
ECK EMERGING MARKETS CL C
|
2,549
|
Units
|
40,944
|
|||
VANGUARD
500 INDEX FD INVESTOR SHS
|
728
|
Units
|
98,348
|
|||
VANGUARD
ASSET ALLOCATION
|
4,651
|
Units
|
139,473
|
|||
VANGUARD
CAPITAL VALUE
|
626
|
Units
|
6,355
|
|||
VANGUARD
DEVELOPED MRKTS INDEX INV
|
2,251
|
Units
|
30,540
|
|||
VANGUARD
EMERGING MARKETS STOCK INDEX
|
1,195
|
Units
|
39,584
|
|||
VANGUARD
ENERGY
|
3,980
|
Units
|
327,898
|
|||
VANGUARD
EUROPEAN STOCK INDEX
|
338
|
Units
|
13,427
|
|||
VANGUARD
GLOBAL EQUITY
|
1,565
|
Units
|
37,117
|
|||
VANGUARD
GROWTH INDEX
|
111
|
Units
|
3,688
|
|||
VANGUARD
INDEX TRUST SMALL CAP GROWTH
|
928
|
Units
|
18,567
|
|||
VANGUARD
INFLATION PROCTED SEC ADM CL
|
4,963
|
Units
|
121,344
|
|||
VANGUARD
INFLATION PROTECTED SECS
|
270
|
Units
|
3,365
|
|||
VANGUARD
INTERNATL VALUE PORTFOLIO
|
1,317
|
Units
|
55,269
|
|||
VANGUARD
INT'L GROWTH PORTFOLIO
|
795
|
Units
|
19,729
|
|||
VANGUARD
LONG-TERM BOND INDEX PORT
|
2,558
|
Units
|
29,795
|
|||
VANGUARD
LONG TERM INVMT GRADE INV
|
486
|
Units
|
4,401
|
|||
VANGUARD
MID CAP GRWTH INDX CL INVES
|
234
|
Units
|
5,961
|
|||
VANGUARD
MID CAP INDEX
|
2,307
|
Units
|
47,765
|
|||
VANGUARD
REIT INDEX FUND
|
388
|
Units
|
7,930
|
|||
VANGUARD
SMALL CAP STOCK INDEX TRUST
|
1,381
|
Units
|
44,980
|
|||
VANGUARD
STRATEGIC SMALL CAP EQ INVT
|
2,920
|
Units
|
56,442
|
|||
VANGUARD
TARGET RET 2015 FD INVESTOR CL
|
2,306
|
Units
|
30,120
|
|||
VANGUARD
TOTAL INTL STOCK INDEX FUND
|
6,304
|
Units
|
125,383
|
|||
VANGUARD
TOTAL STOCK MARKET
|
8,322
|
Units
|
294,256
|
|||
VANGUARD
VALUE INDEX
|
501
|
Units
|
12,991
|
|||
VANGUARD/WELLESLEY
INCOME
|
1,390
|
Units
|
30,338
|
|||
VANGUARD
WELLINGTON FUND
|
460
|
Units
|
14,997
|
|||
VANGUARD
WINDSOR II
|
2,506
|
Units
|
78,334
|
|||
VAN
KAMPEN COMSTOCK CLASS C
|
1,834
|
Units
|
32,083
|
|||
VAN
KAMPEN REAL ESTATE SEC CLASS C
|
1,170
|
Units
|
22,219
|
|||
VAN
WAGONER EMERGING GROWTH FUND
|
2,111
|
Units
|
8,951
|
|||
VAN
WAGONER SMALL CAP GROWTH
|
1,072
|
Units
|
9,400
|
|||
WASATCH
EMERGING MARKETS SMALL CAP FD
|
1,167
|
Units
|
2,288
|
|||
WASATCH
GLOBAL SCIENCE & TECHNOLOGY
|
1,939
|
Units
|
29,592
|
|||
WASATCH
INTERNATIONAL GROWTH
|
446
|
Units
|
8,906
|
|||
WASATCH
ULTRA GROWTH
|
627
|
Units
|
15,143
|
|||
WELLS
FARGO ASIA PACIFIC FD-INVESTOR
|
2,921
|
Units
|
39,224
|
|||
WELLS
FARGO MID CAP DISCIPLINED FD-INVES
|
211
|
Units
|
4,129
|
|||
WESTCORE
PLUS BOND FUND
|
1,525
|
Units
|
16,087
|
|||
WESTERN
ASSET CORE PLUS INSTITUTIONAL
|
1,277
|
Units
|
13,013
|
|||
WESTPORT
SELECT CAP CLASS I
|
1,290
|
Units
|
30,697
|
|||
WILLIAM
BLAIR VALUE DISCOVERY CLASS N
|
893
|
Units
|
10,102
|
|||
WINTERGREEN
FUND
|
11,611
|
Units
|
169,398
|
|||
WRIGHT
INTERNATIONAL BLUE CHIP
|
439
|
Units
|
9,858
|
|||
YACKTMAN
FOCUSED FD
|
2,226
|
Units
|
31,164
|
|||
Total
Registered Investment Companies
|
$
|
30,916,663
|
||||
Net Assets Pending Settlement | $ | (251,525) | ||||
TOTAL
INVESTMENTS
|
$
|
3,186,107,355
|
||||
Number
of
|
||||||||||
AEP
STOCK FUND:
|
SHARES/UNITS
|
FAIR
VALUE
|
||||||||
American
Electric Power Company, Inc. Common Stock $6.50 par
value
|
(1,902,102 | ) |
Shares
|
$ | 88,447,560 | |||||
TOTAL
- AEP STOCK FUND
|
$ | 88,447,560 |
Exhibit
Number
|
Description
|
||
23
|
Consent
of Independent Registered Public Accounting
Firm
|